0001752724-23-273823.txt : 20231129 0001752724-23-273823.hdr.sgml : 20231129 20231129144050 ACCESSION NUMBER: 0001752724-23-273823 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230930 FILED AS OF DATE: 20231129 DATE AS OF CHANGE: 20231129 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: 231451273 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 S000031773 Portfolio Optimization Moderate Portfolio C000098941 Class I C000211245 Class P NPORT-P 1 primary_doc.xml NPORT-P false 0000813900 XXXXXXXX S000031773 C000211245 C000098941 PACIFIC SELECT FUND 811-05141 0000813900 549300KH2YJL0X2VEL27 700 NEWPORT CTR DR P O BOX 7500 NEWPORT BEACH 92660 949-219-3233 Portfolio Optimization Moderate Portfolio S000031773 549300WM7D81OKHLYD60 2023-12-31 2023-09-30 N 6673679179.26 2402619.91 6671276559.35 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 0.00000000 N PACIFIC SELECT FD N/A PACIFIC SELECT FD INTL VALUE PORTFOLIO CL P 69480V808 11278313.43000000 NS USD 199915334.86000000 2.996657882213 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD HIGH YIELD BD PORTFOLIO CL P 69480V725 13301120.50000000 NS USD 137088916.23000000 2.054912804324 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD MID CAP GROWTH PORTFOLIO CL P 69480V675 6297377.79000000 NS USD 162117489.67000000 2.430081982477 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD MID CAP VALUE PORTFOLIO CL P 69480V865 3369560.65000000 NS USD 133319032.71000000 1.998403626711 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD INTL SMALL CAP PORTFOLIO CL P 69480V881 2069239.89000000 NS USD 33276539.20000000 0.498803173634 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD EMERGING MKTS PORTFOLIO CL P 69480V733 7416029.68000000 NS USD 130872403.61000000 1.961729549745 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD SMALL CAP EQUITY PORTFOLIO CL 69480V659 1142911.78000000 NS USD 39431714.65000000 0.591067006429 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD INFLATION MANAGED PORTFOLIO CL 69480V691 5142460.54000000 NS USD 67994425.72000000 1.019211617373 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD MANAGED BD PORTFOLIO CL P 69480V717 39169345.44000000 NS USD 550898669.01000000 8.257769920179 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD DIVIDEND GROWTH PORTFOLIO CL P 69480V840 6074653.43000000 NS USD 228556344.73000000 3.425976163582 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD EMERGING MKT DEBT PORT CL P 694809229 5736001.25000000 NS USD 67389387.74000000 1.010142318947 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD REAL ESTATE PORTFOLIO CL P 69480V667 1060018.19000000 NS USD 32480276.00000000 0.486867478975 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD 69480V469 40072833.09000000 NS USD 321174179.81000000 4.814283697471 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD GROWTH PORTFOLIO CL P 69480V790 4168259.00000000 NS USD 243748815.23000000 3.653705749739 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD MAIN STR CORE PORTFOLIO CL P 69480V741 6134078.41000000 NS USD 425742103.89000000 6.381718702596 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD LARGE CAP VALUE PORTFOLIO CL P 69480V832 8225059.24000000 NS USD 304328688.69000000 4.561775935723 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD DIVERSIFIED BD PORTFOLIO CL P 69480V816 40222332.07000000 NS USD 518469279.28000000 7.771665207813 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD SMALL CAP VALUE PORTFOLIO CL P 69480V758 1416594.11000000 NS USD 42596365.69000000 0.638503970132 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD MID CAP EQUITY PORTFOLIO CL P 69480V782 1845729.46000000 NS USD 66475583.59000000 0.996444728360 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD INTERMEDIATE BD FD CL P 69480V535 54001561.51000000 NS USD 467365370.32000000 7.005636270092 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD EQUITY INDEX PORTFOLIO CL P 69480V873 2079657.80000000 NS USD 238028660.60000000 3.567962720214 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD SHORT DURATION BD PORTFOLIO CL 69480V824 53825893.26000000 NS USD 588638515.43000000 8.823476439527 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD CORE INCOME PORTFOLIO CL P 69480V592 27613016.98000000 NS USD 315124305.89000000 4.723598296166 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD FOCUSED GROWTH PORTFOLIO CL P 69480V642 4969491.77000000 NS USD 255141509.37000000 3.824478075525 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD VALUE ADVANTAGE PORTFOLIO CL P 69480V584 10863008.04000000 NS USD 256961598.14000000 3.851760541689 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD DEVELOPING GROWTH PORTFOLIO CL 69480V709 1699875.48000000 NS USD 49045674.17000000 0.735176749662 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD LARGE CAP GROWTH PORTFOLIO CL 69480V774 14593873.23000000 NS USD 338688962.09000000 5.076823889354 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD COMSTOCK PORTFOLIO CL P 69480V683 13440797.98000000 NS USD 289554909.21000000 4.340322375095 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD INTL LARGE CAP PORTFOLIO CL P 69480V766 10165402.70000000 NS USD 136582584.44000000 2.047323075649 Long EC RF US N 1 N N N PACIFIC SELECT FD N/A PACIFIC SELECT FD SMALL CAP INDEX PORTFOLIO CL P 69480V857 1121969.74000000 NS USD 32653838.67000000 0.489469120032 Long EC RF US N 1 N N N 2023-10-27 PACIFIC SELECT FUND Trevor Smith Trevor Smith Assistant Vice President XXXX NPORT-EX 2 NPORT_PS3M_79146956_0923.htm FOR VALIDATION PURPOSES ONLY - [573524.TX]

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

CORPORATE BONDS & NOTES - 49.3%

 

Basic Materials - 0.8%

 

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

    $4,200,000       $3,358,553  

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

    4,100,000       3,461,523  
   

 

 

 
    6,820,076  
   

 

 

 

Communications - 2.7%

   

AT&T, Inc.

   

3.500% due 09/15/53

    2,953,000       1,826,129  

3.850% due 06/01/60

    1,900,000       1,212,600  

Charter Communications Operating LLC
/Charter Communications Operating Capital

 

3.500% due 06/01/41

    2,600,000       1,645,974  

3.850% due 04/01/61

    5,200,000       2,909,553  

Comcast Corp.

   

4.800% due 05/15/33

    3,350,000       3,144,138  

5.350% due 05/15/53

    3,000,000       2,737,836  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    2,000,000       1,842,909  

2.250% due 11/15/31

    1,000,000       762,478  

3.375% due 04/15/29

    600,000       528,273  

5.050% due 07/15/33

    3,900,000       3,619,824  

5.200% due 01/15/33

    1,000,000       944,401  

Verizon Communications, Inc.

   

1.680% due 10/30/30

    1,200,000       912,987  

3.400% due 03/22/41

    2,800,000       1,986,394  
   

 

 

 
    24,073,496  
   

 

 

 

Consumer, Cyclical - 5.1%

   

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

    5,654,601       4,679,230  

American Airlines Pass-Through Trust Class AA
3.200% due 12/15/29

    2,753,150       2,481,429  

3.600% due 03/22/29

    2,514,354       2,320,415  

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

    591,500       515,230  

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

    2,000,000       1,861,750  

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

 

3.350% due 12/15/30 ~

    901,245       802,295  

4.625% due 12/20/25 ~

    351,396       347,172  

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

    2,466,328       2,128,647  

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

    1,054,180       1,029,499  

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

    260,584       243,380  

Delta Air Lines, Inc./SkyMiles IP Ltd.
4.500% due 10/20/25 ~

    2,727,302       2,650,077  

4.750% due 10/20/28 ~

    2,000,000       1,901,424  

Ford Motor Credit Co. LLC

   

2.300% due 02/10/25

    2,325,000       2,183,017  

3.375% due 11/13/25

    1,050,000       975,099  

4.542% due 08/01/26

    1,550,000       1,456,368  

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

    1,900,000       1,686,668  
   

Principal

Amount

   

Value

 

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc.
4.875% due 07/01/31 ~

    $3,450,000       $2,816,016  

Kohl’s Corp.
4.625% due 05/01/31

    1,750,000       1,178,538  

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

    1,189,000       1,016,219  

Marriott International, Inc.
2.750% due 10/15/33

    2,500,000       1,887,877  

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

    3,375,000       2,906,482  

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

    2,000,000       1,795,740  

U.S. Airways Pass-Through Trust
4.625% due 12/03/26

    815,682       785,653  

United Airlines Pass-Through Trust
5.800% due 07/15/37

    2,750,000       2,683,636  

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

    341,313       295,115  

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

    545,219       495,484  

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

    2,750,000       2,128,345  
   

 

 

 
      45,250,805  
   

 

 

 

Consumer, Non-Cyclical - 6.9%

 

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

    1,650,000       1,545,432  

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)
4.900% due 02/01/46

    1,525,000       1,330,065  

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

    6,500,000       5,153,727  

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

    2,500,000       2,418,050  

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

    2,000,000       1,800,896  

Cencora, Inc.
2.700% due 03/15/31

    3,500,000       2,851,429  

Cigna Group
5.400% due 03/15/33

    4,250,000       4,124,185  

Constellation Brands, Inc.
4.900% due 05/01/33

    1,000,000       928,731  

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

    1,450,000       1,359,634  

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

    2,150,000       2,051,845  

HCA, Inc.
5.200% due 06/01/28

    3,000,000       2,900,946  

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

    2,600,000       2,365,494  

IQVIA, Inc.
5.700% due 05/15/28 ~

    2,200,000       2,140,138  

JBS USA LUX SA/JBS USA Food Co./JBS Luxembourg SARL
6.750% due 03/15/34 ~

    1,650,000       1,606,927  

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

    3,000,000       2,266,085  

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

    1,725,000       1,363,167  

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

    3,700,000       2,885,467  

Mars, Inc.
4.650% due 04/20/31 ~

    1,000,000       951,978  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

1

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

McCormick & Co., Inc.
4.950% due 04/15/33

    $2,100,000       $1,955,799  

Merck & Co., Inc.
5.150% due 05/17/63

    3,900,000       3,559,973  

Pfizer Investment Enterprises Pte. Ltd.

   

4.750% due 05/19/33

    2,200,000       2,080,493  

5.340% due 05/19/63

    1,000,000       914,316  

UnitedHealth Group, Inc.

   

4.750% due 05/15/52

    3,000,000       2,559,786  

5.050% due 04/15/53

    4,000,000       3,582,016  

Universal Health Services, Inc.
2.650% due 10/15/30

    2,000,000       1,560,177  

2.650% due 01/15/32

    2,675,000       2,007,087  

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

    4,750,000       3,096,426  
   

 

 

 
      61,360,269  
   

 

 

 

Energy - 3.2%

 

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

    3,000,000       2,719,780  

Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.
7.375% due 02/01/31 ~

    3,700,000       3,772,539  

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

    1,750,000       1,668,570  

Energy Transfer LP

   

5.000% due 05/15/44

    3,050,000       2,388,293  

5.750% due 02/15/33

    3,700,000       3,560,707  

6.500% due 11/15/26

    1,000,000       921,350  

Enterprise Products Operating LLC
5.375% due 02/15/78

    446,000       371,953  

MPLX LP 4.950% due 03/14/52

    1,000,000       783,594  

5.200% due 12/01/47

    1,600,000       1,296,055  

5.650% due 03/01/53

    4,150,000       3,572,079  

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

    1,400,000       800,142  

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

    2,700,000       2,659,303  

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

    4,350,000       3,665,158  
   

 

 

 
      28,179,523  
   

 

 

 

Financial - 15.3%

 

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

 

3.300% due 01/30/32

    2,000,000       1,590,650  

5.750% due 06/06/28

    1,200,000       1,173,262  

Air Lease Corp.
3.000% due 02/01/30

    2,500,000       2,058,324  

4.650% due 06/15/26

    2,700,000       2,384,474  

Allianz SE (Germany)
6.350% due 09/06/53 ~

    800,000       774,334  

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

    2,250,000       2,159,322  

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

    2,150,000       1,321,460  

Bank of America Corp.

   

2.482% due 09/21/36

    2,500,000       1,820,880  

2.687% due 04/22/32

    2,000,000       1,572,807  

2.972% due 02/04/33

    2,000,000       1,577,864  

4.375% due 01/27/27

    1,500,000       1,260,823  

5.015% due 07/22/33

    3,000,000       2,761,523  

BNP Paribas SA (France)

   

4.625% due 02/25/31 ~

    1,200,000       855,091  

8.500% due 08/14/28 ~

    2,350,000       2,304,933  

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

    1,000,000       701,304  
   

Principal

Amount

   

Value

 

Citigroup, Inc.

   

4.150% due 11/15/26

    $1,750,000       $1,405,042  

4.600% due 03/09/26

    3,000,000       2,897,104  

4.658% due 05/24/28

    2,000,000       1,912,159  

6.174% due 05/25/34

    4,300,000       4,112,131  

6.270% due 11/17/33

    2,000,000       1,995,463  

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

    2,000,000       1,105,254  

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

    2,600,000       2,020,626  

Goldman Sachs Group, Inc.
2.615% due 04/22/32

    4,000,000       3,126,160  

3.102% due 02/24/33

    5,200,000       4,160,157  

4.482% due 08/23/28

    4,000,000       3,787,289  

7.500% due 02/10/29

    1,500,000       1,486,288  

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

    1,200,000       782,344  

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

    3,700,000       2,846,851  

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

    1,450,000       1,092,733  

JPMorgan Chase & Co.
2.963% due 01/25/33

    8,450,000       6,729,820  

4.851% due 07/25/28

    4,000,000       3,856,823  

4.912% due 07/25/33

    2,150,000       1,979,010  

5.717% due 09/14/33

    5,850,000       5,627,068  

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

    2,650,000       1,571,153  

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

    1,800,000       1,254,749  

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

    4,050,000       3,728,649  

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

    900,000       853,267  

Morgan Stanley

   

2.475% due 01/21/28

    2,200,000       1,962,415  

2.484% due 09/16/36

    9,100,000       6,616,825  

2.943% due 01/21/33

    3,000,000       2,363,559  

5.123% due 02/01/29

    2,000,000       1,926,762  

6.342% due 10/18/33

    2,000,000       2,012,460  

Nasdaq, Inc.
5.950% due 08/15/53

    2,450,000       2,290,369  

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

    3,500,000       2,239,616  

OneMain Finance Corp.

   

5.375% due 11/15/29

    1,750,000       1,467,725  

6.125% due 03/15/24

    1,050,000       1,047,667  

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

    1,200,000       1,031,658  

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

    1,550,000       1,490,076  

Prologis LP
5.125% due 01/15/34

    2,500,000       2,363,111  

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

    1,900,000       1,841,432  

Public Storage Operating Co.
5.100% due 08/01/33

    1,650,000       1,578,305  

State Street Corp.
5.159% due 05/18/34

    1,800,000       1,675,313  

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

    2,850,000       2,698,760  

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

    2,000,000       1,528,015  

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

    3,000,000       2,643,343  

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

    1,000,000       839,713  

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

   

3.750% due 02/15/27 ~

    1,500,000       1,362,448  

4.625% due 12/01/29 ~

    7,750,000       6,884,325  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

2

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Wells Fargo & Co.

   

4.400% due 06/14/46

    $2,200,000       $1,630,671  

4.897% due 07/25/33

    1,000,000       905,434  

5.557% due 07/25/34

    1,950,000       1,847,488  
   

 

 

 
      134,894,681  
   

 

 

 

Industrial - 3.7%

 

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

    4,289,000       3,920,331  

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

    2,000,000       1,916,490  

Flowserve Corp.

   

2.800% due 01/15/32

    5,589,000       4,279,964  

3.500% due 10/01/30

    443,000       369,641  

HEICO Corp.
5.350% due 08/01/33

    2,600,000       2,464,355  

Ingersoll Rand, Inc.
5.700% due 08/14/33

    3,500,000       3,379,581  

Jabil, Inc.
5.450% due 02/01/29

    2,100,000       2,045,011  

Masco Corp.
7.750% due 08/01/29

    950,000       1,031,007  

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

    4,100,000       3,122,558  

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

    1,700,000       1,610,390  

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

    4,271,000       4,200,339  

Veralto Corp.
5.450% due 09/18/33 ~

    1,300,000       1,258,251  

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

    3,650,000       3,281,680  
   

 

 

 
      32,879,598  
   

 

 

 

Technology - 3.8%

 

Booz Allen Hamilton, Inc.
5.950% due 08/04/33

    850,000       830,322  

Broadcom, Inc.

   

3.137% due 11/15/35 ~

    5,500,000       4,011,846  

4.926% due 05/15/37 ~

    1,500,000       1,293,655  

Concentrix Corp.
6.850% due 08/02/33

    3,700,000       3,421,054  

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

    4,050,000       3,929,533  

Intel Corp.
5.700% due 02/10/53

    2,500,000       2,346,180  

Kyndryl Holdings, Inc.

   

2.050% due 10/15/26

    2,500,000       2,183,331  

3.150% due 10/15/31

    3,000,000       2,274,479  

Marvell Technology, Inc.
5.950% due 09/15/33

    2,250,000       2,209,644  

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

    5,000,000       4,755,728  

Oracle Corp.

   

3.950% due 03/25/51

    4,500,000       3,088,006  

6.150% due 11/09/29

    850,000       863,305  

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

    600,000       469,698  

Texas Instruments, Inc.
5.050% due 05/18/63

    2,000,000       1,775,339  
   

 

 

 
      33,452,120  
   

 

 

 

Utilities - 7.8%

 

AES Corp.
5.450% due 06/01/28

    4,000,000       3,864,396  

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

    1,750,000       1,695,387  

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

    1,650,000       1,478,213  
   

Principal

Amount

   

Value

 

Arizona Public Service Co.
5.550% due 08/01/33

    $2,050,000       $1,989,486  

Boston Gas Co.
6.119% due 07/20/53 ~

    1,550,000       1,466,093  

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

    2,175,000       2,060,707  

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

    1,550,000       1,346,038  

DPL, Inc.
4.350% due 04/15/29

    1,125,000       931,055  

Duke Energy Corp.
6.100% due 09/15/53

    1,750,000       1,699,749  

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

    1,000,000       945,493  

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

    3,400,000       3,298,124  

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

    2,650,000       2,017,801  

Edison International
8.125% due 06/15/53

    5,000,000       5,017,510  

Eversource Energy
5.125% due 05/15/33

    3,500,000       3,258,178  

FirstEnergy Corp.
4.150% due 07/15/27

    2,500,000       2,325,814  

Florida Power & Light Co.
4.625% due 05/15/30

    3,350,000       3,198,700  

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

    3,000,000       2,633,549  

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

    1,500,000       925,312  

National Grid PLC (United Kingdom)
5.809% due 06/12/33

    2,400,000       2,333,766  

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

    2,650,000       2,556,634  

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

    3,350,000       3,281,922  

NSTAR Electric Co.

   

4.550% due 06/01/52

    2,050,000       1,666,115  

4.950% due 09/15/52

    1,650,000       1,423,611  

PacifiCorp
5.500% due 05/15/54

    2,050,000       1,743,450  

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

    1,200,000       876,051  

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

    881,290       821,797  

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

    1,000,000       829,612  

Sempra

   

4.125% due 04/01/52

    2,350,000       1,904,813  

5.500% due 08/01/33

    4,100,000       3,926,767  

Southern Co.
5.700% due 03/15/34

    1,400,000       1,372,597  

Southern Co. Gas Capital Corp.
5.750% due 09/15/33

    2,750,000       2,697,857  

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

    1,900,000       1,143,840  

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

    987,820       925,880  

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

    350,000       328,536  

Vistra Operations Co. LLC
6.950% due 10/15/33 ~

    800,000       785,592  
   

 

 

 
      68,770,445  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $487,020,614)

 

    435,681,013  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

3

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

SENIOR LOAN NOTES - 12.4%

 

Communications - 0.2%

 

SBA Senior Finance II LLC Term B
7.170% (SOFR + 1.750%)
due 04/11/25 §

    $1,994,737       $1,996,676  
   

 

 

 

Consumer, Cyclical - 3.8%

 

ClubCorp Holdings, Inc. Term B
8.181% (USD LIBOR + 2.750%)
due 09/18/24 §

    3,367,917       3,323,012  

Hilton Domestic Operating Co., Inc. Term B2
7.170% (SOFR + 1.750%)
due 06/22/26 §

    3,500,000       3,502,656  

Hilton Grand Vacations Borrower LLC Term B

 

due 08/02/28 §

    4,500,000       4,500,000  

8.431% (SOFR + 3.000%)
due 10/31/23 §

    4,488,550       4,500,467  

Marriott Ownership Resorts, Inc. Term B
7.166% (SOFR + 1.750%)
due 08/29/25 §

    4,231,949       4,233,007  

SeaWorld Parks & Entertainment, Inc. Term B
8.431% (SOFR + 3.000%)
due 08/25/28 §

    6,897,215       6,891,470  

Stars Group Holdings BV Term B (Canada)
7.902% (SOFR + 2.250%)
due 07/21/26 §

    4,492,464       4,495,582  

United Airlines, Inc. Term B
9.182% (SOFR + 3.750%)
due 04/21/28 §

    2,471,716       2,487,726  
   

 

 

 
      33,933,920  
   

 

 

 

Consumer, Non-Cyclical - 2.8%

 

Allied Universal Holdco LLC Term B
9.166% (SOFR + 3.750%)
due 05/12/28 §

    2,121,674       2,053,804  

CoreLogic, Inc. Term B
8.931% (SOFR + 3.500%)
due 06/02/28 §

    2,695,000       2,496,804  

GTCR W Merger Sub LLC Term B
due 09/20/30 §

    1,000,000       1,000,392  

Heartland Dental LLC Term B
10.331% (SOFR + 5.000%)
due 04/28/28 §

    464,995       460,636  

Pathway Vet Alliance LLC Term B
9.181% (SOFR + 3.750%)
due 03/31/27 §

    6,367,587       5,965,066  

Pearl Intermediate Parent LLC
8.166% (SOFR + 2.750%)
due 02/14/25 §

    1,545,911       1,541,564  

PetVet Care Centers LLC Term B3
8.916% (SOFR + 3.500%)
due 02/14/25 §

    5,592,977       5,572,585  

Sunshine Luxembourg VII SARL Term B (Luxembourg)
9.240% (SOFR + 3.750%)
due 10/01/26 §

    2,695,112       2,694,737  

Verscend Holding Corp. Term B
9.431% (SOFR + 4.000%)
due 08/27/25 §

    2,480,964       2,485,036  
   

 

 

 
      24,270,624  
   

 

 

 

Financial - 2.7%

 

AssuredPartners, Inc. Term B
8.931% (SOFR + 3.500%)
due 02/12/27 §

    2,691,527       2,690,327  
   

Principal

Amount

   

Value

 

Avolon TLB Borrower 1 LLC Term B6 (Ireland)
7.825% (SOFR + 2.500%)
due 06/22/28 §

    $3,491,250       $3,495,830  

Delos Aircraft Leasing DAC Term B (Ireland)
7.390% (SOFR + 2.000%)
due 10/14/27 §

    3,000,000       3,004,500  

HUB International Ltd. Term B
9.584% (SOFR + 4.250%)
due 06/20/30 §

    5,500,000       5,523,452  

NFP Corp. Term B
8.681% (SOFR + 3.250%)
due 02/16/27 §

    1,507,969       1,491,790  

USI, Inc. Term B
9.140% (SOFR + 3.750%)
due 11/22/29 §

    7,739,657       7,745,701  
   

 

 

 
      23,951,600  
   

 

 

 

Industrial - 1.6%

 

Proampac PG Borrower LLC Term B
9.391% (SOFR + 3.750%)
due 11/03/25 §

    3,449,978       3,436,323  

Roper Industrial Products Investment Co. LLC
9.890% (SOFR + 4.500%)
due 11/22/29 §

    2,992,481       3,002,368  

Titan Acquisition Ltd. Term B (Canada)
8.652% (USD LIBOR + 3.000%)
due 03/28/25 §

    2,992,084       2,969,895  

TransDigm, Inc. Term I
8.640% (SOFR + 3.250%)
due 08/24/28 §

    2,753,187       2,756,893  

Vertical U.S. Newco, Inc. Term B (Germany)
9.396% (USD LIBOR + 3.500%)
due 07/30/27 §

    1,995,000       1,992,921  
   

 

 

 
      14,158,400  
   

 

 

 

Technology - 1.3%

 

CDK Global, Inc. Term B
9.640% (SOFR + 4.250%)
due 07/06/29 §

    2,982,475       2,986,513  

Epicor Software Corp. Term C
8.683% (SOFR + 3.250%)
due 07/30/27 §

    1,994,859       1,995,338  

Ultimate Software Group, Inc.
8.618% (SOFR + 3.250%)
due 05/04/26 §

    6,143,402       6,137,117  
   

 

 

 
      11,118,968  
   

 

 

 

Total Senior Loan Notes
(Cost $109,069,252)

      109,430,188  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 3.3%

 

Fannie Mae - 0.6%

 

5.000% due 04/01/38

    3,684,559       3,593,332  

5.500% due 05/01/38

    1,569,457       1,553,741  
   

 

 

 
      5,147,073  
   

 

 

 

Freddie Mac - 2.4%

 

4.500% due 05/01/38

    4,163,098       3,992,927  

5.000% due 01/01/53

    2,150,339       2,031,558  

5.500% due 04/01/38 - 06/01/53

    13,131,141       12,824,435  

6.500% due 07/01/53

    2,171,691       2,183,504  
   

 

 

 
      21,032,424  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

4

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Government National Mortgage Association - 0.3%

 

6.000% due 12/20/52

    $3,290,513       $3,265,461  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $30,180,664)

 

    29,444,958  
   

 

 

 

ASSET-BACKED SECURITIES - 17.5%

 

Automobile Other - 0.8%

 

AmeriCredit Automobile Receivables Trust

   

0.760% due 12/18/25

    2,004,925       1,975,051  

0.890% due 10/19/26

    1,050,000       982,559  

1.410% due 08/18/27

    1,500,000       1,360,692  

Ford Credit Auto Owner Trust
2.040% due 12/15/26

    500,000       490,529  

Santander Drive Auto Receivables Trust

   

0.750% due 02/17/26

    137,226       136,921  

4.420% due 11/15/27

    1,700,000       1,661,829  

5.610% due 07/17/28

    750,000       743,663  
   

 

 

 
      7,351,244  
   

 

 

 

Automobile Sequential - 3.9%

 

Ally Auto Receivables Trust

   

5.070% due 04/15/27

    3,000,000       2,973,076  

5.460% due 05/15/28

    1,900,000       1,897,245  

Ford Credit Auto Owner Trust

   

0.790% due 11/15/25

    1,981,854       1,946,262  

1.290% due 06/15/26

    453,751       440,065  

3.190% due 07/15/31 ~

    3,000,000       2,896,106  

3.880% due 11/15/34 ~

    2,650,000       2,493,421  

5.140% due 03/15/26

    2,484,911       2,475,413  

5.270% due 05/17/27

    2,000,000       1,987,231  

5.280% due 02/15/36 ~

    3,350,000       3,304,448  

5.570% due 06/15/26

    3,500,000       3,490,795  

GM Financial Consumer Automobile Receivables Trust
5.100% due 05/18/26

    1,800,000       1,790,720  

GM Financial Revolving Receivables Trust
5.120% due 04/11/35 ~

    2,400,000       2,360,669  

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

    1,580,000       1,471,831  

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

    314,457       313,781  

Santander Drive Auto Receivables Trust
5.610% due 10/15/27

    1,350,000       1,343,656  

Toyota Auto Loan Extended Note Trust
4.930% due 06/25/36 ~

    2,650,000       2,591,780  

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

    835,994       808,856  
   

 

 

 
      34,585,355  
   

 

 

 

Other Asset-Backed Securities - 12.8%

 

AIMCO CLO 11 Ltd. (Cayman)
6.700% (SOFR + 1.392%)
due 10/17/34 § ~

    1,500,000       1,492,213  

Buttermilk Park CLO Ltd. (Cayman)
6.670% (SOFR + 1.362%)
due 10/15/31 § ~

    1,200,000       1,199,731  

Carlyle Global Market Strategies CLO Ltd.
7.311% (SOFR + 1.942%)
due 08/14/30 § ~

    2,000,000       1,991,713  

CIFC Funding Ltd. (Cayman)

   

6.452% (SOFR + 1.132%)
due 04/19/29 § ~

    2,208,362       2,200,994  

6.672% (SOFR + 1.362%)
due 07/18/31 § ~

    3,630,000       3,632,619  
   

Principal

Amount

   

Value

 

Dryden 55 CLO Ltd. (Cayman)
7.470% (SOFR + 2.162%)
due 04/15/31 § ~

    $1,000,000       $974,493  

Dryden 58 CLO Ltd. (Cayman)

   

7.070% (SOFR + 1.762%)
due 07/17/31 § ~

    1,000,000       986,714  

7.370% (SOFR + 2.062%)
due 07/17/31 § ~

    1,000,000       986,840  

Dryden 61 CLO Ltd. (Cayman)
6.560% (SOFR + 1.252%)
due 01/17/32 § ~

    2,250,000       2,237,257  

Dryden 64 CLO Ltd. (Cayman)
6.972% (SOFR + 1.662%)
due 04/18/31 § ~

    800,000       789,117  

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

    208,698       197,265  

Madison Park Funding XXVIII Ltd. (Cayman)
7.170% (SOFR + 1.862%)
due 07/15/30 § ~

    1,400,000       1,398,962  

Magnetite CLO XVIII Ltd. (Cayman)
6.506% (SOFR + 1.142%)
due 11/15/28 § ~

    1,410,903       1,406,297  

Magnetite XII Ltd. (Cayman)
6.670% (SOFR + 1.362%)
due 10/15/31 § ~

    4,775,000       4,766,562  

Magnetite XIV-R Ltd. (Cayman)
6.692% (SOFR + 1.382%)
due 10/18/31 § ~

    2,500,000       2,496,273  

Magnetite XIX Ltd. (Cayman)
6.620% (SOFR + 1.312%)
due 04/17/34 § ~

    4,500,000       4,467,953  

Magnetite XXI Ltd. (Cayman)
6.608% (SOFR + 1.282%)
due 04/20/34 § ~

    5,000,000       4,956,448  

Magnetite XXII Ltd. (Cayman)
7.170% (SOFR + 1.862%)
due 04/15/31 § ~

    1,500,000       1,490,098  

Magnetite XXIX Ltd. (Cayman)
6.560% (SOFR + 1.252%)
due 01/15/34 § ~

    1,300,000       1,297,692  

MVW LLC
1.740% due 10/20/37 ~

    117,765       108,513  

MVW Owner Trust
4.930% due 10/20/40 ~

    1,804,465       1,754,189  

Navient Private Education Refi Loan Trust

   

0.840% due 05/15/69 ~

    276,948       239,788  

0.940% due 07/15/69 ~

    4,077,830       3,515,511  

1.220% due 07/15/69 ~

    610,284       543,623  

1.310% due 01/15/69 ~

    429,479       388,994  

1.690% due 05/15/69 ~

    2,064,145       1,839,864  

2.230% due 07/15/70 ~

    4,013,246       3,468,000  

2.460% due 11/15/68 ~

    312,885       289,257  

2.640% due 05/15/68 ~

    347,528       326,363  

4.160% due 10/15/70 ~

    3,485,810       3,258,375  

5.510% due 10/15/71 ~

    5,363,371       5,258,946  

Navient Student Loan Trust

   

1.310% due 12/26/69 ~

    1,085,924       905,448  

1.320% due 08/26/69 ~

    902,548       769,301  

3.390% due 12/15/59 ~

    1,482,237       1,402,177  

6.029% (SOFR + 0.714%)
due 12/26/69 § ~

    652,207       645,350  

6.479% (SOFR + 1.164%)
due 06/25/69 § ~

    655,832       654,384  

Neuberger Berman Loan Advisers CLO 25 Ltd. (Cayman)
6.922% (SOFR + 1.612%)
due 10/18/29 § ~

    1,500,000       1,476,468  

Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman)
6.628% (SOFR + 1.302%)
due 04/20/31 § ~

    1,000,000       996,002  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

5

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

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

    $1,350,000       $1,296,809  

Palmer Square CLO Ltd. (Cayman)

   

6.670% (SOFR + 1.362%)
due 07/16/31 § ~

    1,000,000       999,258  

6.706% (SOFR + 1.342%)
due 11/15/31 § ~

    4,000,000       3,978,963  

Palmer Square Loan Funding Ltd. (Cayman)

 

 

6.388% (SOFR + 1.062%)
due 07/20/29 § ~

    1,850,381       1,842,993  

6.488% (SOFR + 1.162%)
due 04/20/29 § ~

    1,101,318       1,102,090  

6.891% (SOFR + 1.512%)
due 05/20/29 § ~

    4,000,000       3,952,026  

6.970% (SOFR + 1.662%)
due 10/15/29 § ~

    4,800,000       4,746,818  

6.988% (SOFR + 1.662%)
due 07/20/29 § ~

    2,500,000       2,479,061  

SLM Student Loan Trust
5.866% (SOFR + 0.812%)
due 10/25/64 § ~

    494,944       487,471  

SMB Private Education Loan Trust

   

1.070% due 01/15/53 ~

    1,506,895       1,289,722  

1.290% due 07/15/53 ~

    629,949       560,830  

1.680% due 02/15/51 ~

    867,885       773,165  

2.230% due 09/15/37 ~

    2,002,827       1,841,686  

2.340% due 09/15/34 ~

    137,029       133,009  

2.700% due 05/15/31 ~

    150,310       146,630  

2.820% due 10/15/35 ~

    558,588       533,577  

2.880% due 09/15/34 ~

    1,119,699       1,076,503  

3.440% due 07/15/36 ~

    808,940       771,003  

3.500% due 02/15/36 ~

    456,355       436,841  

3.600% due 01/15/37 ~

    512,643       490,385  

3.630% due 11/15/35 ~

    422,920       405,323  

4.480% due 05/16/50 ~

    1,248,683       1,189,911  

5.670% due 11/15/52 ~

    1,750,000       1,726,194  

6.177% (SOFR + 0.844%)
due 01/15/53 § ~

    3,665,361       3,610,149  

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

    617,586       565,713  

Stratus CLO Ltd. (Cayman)
6.988% (SOFR + 1.662%)
due 12/29/29 § ~

    4,000,000       3,962,128  

Tiaa CLO III Ltd. (Cayman)
6.720% (SOFR + 1.412%)
due 01/16/31 § ~

    1,659,495       1,658,147  

Verizon Master Trust
4.730% due 04/21/31 ~

    4,200,000       4,090,745  
   

 

 

 
      112,956,944  
   

 

 

 

Total Asset-Backed Securities
(Cost $157,808,223)

      154,893,543  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 16.6%

 

U.S. Treasury Bonds - 8.8%

 

1.125% due 05/15/40

    6,000,000       3,446,485  

1.250% due 05/15/50

    3,750,000       1,770,191  

1.375% due 08/15/50

    2,750,000       1,342,774  

1.750% due 08/15/41

    5,500,000       3,427,402  

1.875% due 11/15/51

    3,350,000       1,868,279  

2.000% due 02/15/50

    1,750,000       1,021,631  

2.000% due 08/15/51

    2,500,000       1,443,164  

2.250% due 08/15/46

    1,950,000       1,237,031  

2.250% due 02/15/52

    7,500,000       4,605,029  

2.500% due 02/15/46

    6,500,000       4,364,395  

2.750% due 11/15/47

    3,500,000       2,441,660  

2.875% due 05/15/52

    8,250,000       5,851,377  

3.000% due 08/15/52

    10,000,000       7,289,453  

3.625% due 02/15/53

    23,000,000       19,027,109  
   

Principal

Amount

   

Value

 

3.875% due 02/15/43

    $15,000,000       $13,057,031  

4.000% due 11/15/42

    6,000,000       5,326,406  
   

 

 

 
      77,519,417  
   

 

 

 

U.S. Treasury Notes - 7.8%

 

0.625% due 05/15/30

    8,500,000       6,579,863  

1.125% due 02/15/31

    6,000,000       4,733,906  

1.875% due 02/28/29

    21,000,000       18,240,469  

2.750% due 08/15/32

    9,000,000       7,794,844  

3.375% due 05/15/33

    1,000,000       907,031  

3.500% due 02/15/33

    15,000,000       13,764,844  

4.000% due 02/29/28

    17,000,000       16,562,383  
   

 

 

 
      68,583,340  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $175,547,371)

      146,102,757  
   

 

 

 

SHORT-TERM INVESTMENTS - 1.8%

 

Repurchase Agreements - 1.8%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $15,929,167; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $16,241,145)

    15,922,599       15,922,599  
   

 

 

 

Total Short-Term Investments
(Cost $15,922,599)

      15,922,599  
   

 

 

 

TOTAL INVESTMENTS - 100.9%
(Cost $975,548,723)

 

    891,475,058  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.9%)

 

    (7,971,307
   

 

 

 

NET ASSETS - 100.0%

      $883,503,751  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

6

PACIFIC SELECT FUND

CORE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

          

Total Value at

September 30, 2023

    

Level 1

Quoted Price

    

Level 2

Significant

Observable Inputs

    

Level 3

Significant

Unobservable Inputs

 

Assets

 

Corporate Bonds & Notes

     $435,681,013        $-        $435,681,013        $-  
 

Senior Loan Notes

     109,430,188        -        109,430,188        -  
 

Mortgage-Backed Securities

     29,444,958        -        29,444,958        -  
 

Asset-Backed Securities

     154,893,543        -        154,893,543        -  
 

U.S. Treasury Obligations

     146,102,757        -        146,102,757        -  
 

Short-Term Investments

     15,922,599        -        15,922,599        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $891,475,058        $-        $891,475,058        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

7

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

CORPORATE BONDS & NOTES - 37.7%

 

Basic Materials - 1.4%

   

Anglo American Capital PLC (South Africa)

   

3.625% due 09/11/24 ~

    $500,000       $487,978  

4.000% due 09/11/27 ~

    1,080,000       1,009,238  

4.750% due 04/10/27 ~

    750,000       719,234  

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

    630,000       632,417  

Barrick North America Finance LLC (Canada)

   

5.700% due 05/30/41

    823,000       789,682  

5.750% due 05/01/43

    550,000       530,455  

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

    720,000       650,611  

First Quantum Minerals Ltd. (Zambia)
8.625% due 06/01/31 ~

    390,000       388,608  

Freeport-McMoRan, Inc.

   

4.550% due 11/14/24

    120,000       117,936  

4.625% due 08/01/30

    500,000       451,131  

5.450% due 03/15/43

    2,310,000       1,972,510  

Glencore Funding LLC (Australia)

   

4.000% due 03/27/27 ~

    1,730,000       1,624,991  

4.125% due 03/12/24 ~

    1,070,000       1,060,977  

4.625% due 04/29/24 ~

    2,000,000       1,980,292  

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

    1,260,000       1,198,701  

OCP SA (Morocco)

   

3.750% due 06/23/31 ~

    970,000       768,556  

4.500% due 10/22/25 ~

    1,170,000       1,128,789  

5.125% due 06/23/51 ~

    950,000       632,277  

Orbia Advance Corp. SAB de CV (Mexico)

   

1.875% due 05/11/26 ~

    2,050,000       1,829,643  

2.875% due 05/11/31 ~

    2,140,000       1,667,101  

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

    2,340,000       2,025,079  

Suzano Austria GmbH (Brazil)

   

3.125% due 01/15/32

    1,560,000       1,199,564  

3.750% due 01/15/31

    2,420,000       1,991,263  

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

    993,000       1,000,012  

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

    1,810,000       1,700,558  
   

 

 

 
      27,557,603  
   

 

 

 

Communications - 4.5%

   

Alphabet, Inc.

   

1.100% due 08/15/30

    690,000       537,378  

1.900% due 08/15/40

    960,000       600,977  

2.050% due 08/15/50

    230,000       125,708  

Amazon.com, Inc.

   

0.800% due 06/03/25

    720,000       667,677  

1.200% due 06/03/27

    1,720,000       1,494,954  

1.500% due 06/03/30

    1,310,000       1,037,754  

2.100% due 05/12/31

    1,120,000       898,741  

2.500% due 06/03/50

    690,000       404,668  

3.150% due 08/22/27

    1,070,000       995,876  

3.300% due 04/13/27

    530,000       498,914  

3.450% due 04/13/29

    1,130,000       1,044,000  

3.600% due 04/13/32

    830,000       736,263  

3.875% due 08/22/37

    800,000       683,336  

4.050% due 08/22/47

    1,720,000       1,383,753  

4.250% due 08/22/57

    390,000       312,563  

4.950% due 12/05/44

    190,000       177,310  

AT&T, Inc.

   

2.250% due 02/01/32

    250,000       188,233  

2.300% due 06/01/27

    1,990,000       1,762,751  

2.550% due 12/01/33

    270,000       198,398  

3.500% due 09/15/53

    510,000       315,383  
   

Principal

Amount

   

Value

 

3.550% due 09/15/55

    $1,384,000       $848,096  

3.650% due 09/15/59

    550,000       334,997  

3.800% due 12/01/57

    180,000       114,143  

4.350% due 03/01/29

    900,000       837,792  

4.350% due 06/15/45

    744,000       557,391  

5.350% due 09/01/40

    490,000       437,036  

5.550% due 08/15/41

    550,000       494,271  

Charter Communications Operating LLC
/Charter Communications Operating Capital

 

3.500% due 03/01/42

    370,000       228,888  

4.200% due 03/15/28

    2,020,000       1,854,739  

4.400% due 04/01/33

    380,000       323,376  

4.800% due 03/01/50

    230,000       160,997  

4.908% due 07/23/25

    1,970,000       1,925,634  

5.125% due 07/01/49

    330,000       240,838  

5.375% due 04/01/38

    1,590,000       1,301,487  

5.375% due 05/01/47

    200,000       152,545  

5.750% due 04/01/48

    240,000       191,815  

6.384% due 10/23/35

    270,000       251,735  

6.484% due 10/23/45

    650,000       568,032  

6.834% due 10/23/55

    370,000       327,303  

Comcast Corp.

   

2.800% due 01/15/51

    620,000       363,343  

2.937% due 11/01/56

    254,000       144,475  

3.150% due 03/01/26

    490,000       465,438  

3.250% due 11/01/39

    190,000       138,955  

3.300% due 04/01/27

    1,510,000       1,406,486  

3.400% due 04/01/30

    1,000,000       882,571  

3.400% due 07/15/46

    170,000       115,977  

3.450% due 02/01/50

    240,000       162,434  

3.750% due 04/01/40

    260,000       201,560  

3.950% due 10/15/25

    1,560,000       1,513,957  

3.969% due 11/01/47

    4,290,000       3,204,545  

3.999% due 11/01/49

    240,000       178,329  

4.000% due 08/15/47

    340,000       254,302  

4.000% due 03/01/48

    270,000       202,653  

4.150% due 10/15/28

    2,240,000       2,122,714  

4.250% due 10/15/30

    1,630,000       1,502,073  

4.950% due 10/15/58

    140,000       120,621  

5.650% due 06/15/35

    290,000       286,728  

6.500% due 11/15/35

    307,000       325,598  

CSC Holdings LLC

   

3.375% due 02/15/31 ~

    330,000       225,216  

4.125% due 12/01/30 ~

    5,860,000       4,153,094  

4.500% due 11/15/31 ~

    3,060,000       2,169,201  

DISH DBS Corp.

   

5.125% due 06/01/29

    1,120,000       622,580  

5.250% due 12/01/26 ~

    690,000       587,691  

5.875% due 11/15/24

    1,361,000       1,268,974  

7.750% due 07/01/26

    690,000       518,580  

FOX Corp.
5.476% due 01/25/39

    1,010,000       873,592  

Prosus NV (China)

   

3.061% due 07/13/31 ~

    4,880,000       3,625,551  

3.832% due 02/08/51 ~

    450,000       248,815  

4.027% due 08/03/50 ~

    2,450,000       1,404,470  

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

    1,420,000       1,643,971  

Sprint LLC
7.625% due 02/15/25

    910,000       924,040  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    410,000       377,796  

2.550% due 02/15/31

    2,510,000       1,998,181  

2.625% due 02/15/29

    1,290,000       1,094,111  

2.875% due 02/15/31

    950,000       771,094  

3.000% due 02/15/41

    330,000       218,819  

3.375% due 04/15/29

    480,000       422,618  

3.500% due 04/15/25

    3,080,000       2,972,683  

3.500% due 04/15/31

    2,920,000       2,471,953  

3.750% due 04/15/27

    330,000       308,469  

3.875% due 04/15/30

    2,600,000       2,304,507  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

8

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

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

    $1,050,000       $865,157  

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

    990,000       1,064,952  

Time Warner Cable LLC

   

5.500% due 09/01/41

    250,000       195,726  

6.550% due 05/01/37

    520,000       471,972  

6.750% due 06/15/39

    1,310,000       1,200,026  

7.300% due 07/01/38

    2,580,000       2,487,131  

Verizon Communications, Inc.

   

1.750% due 01/20/31

    1,620,000       1,221,433  

2.100% due 03/22/28

    970,000       833,563  

2.550% due 03/21/31

    705,000       561,714  

2.625% due 08/15/26

    1,970,000       1,820,406  

2.650% due 11/20/40

    630,000       399,080  

2.875% due 11/20/50

    290,000       167,790  

3.150% due 03/22/30

    860,000       734,366  

3.850% due 11/01/42

    960,000       710,305  

4.000% due 03/22/50

    510,000       365,808  

4.125% due 03/16/27

    286,000       272,139  

4.125% due 08/15/46

    980,000       733,017  

4.329% due 09/21/28

    715,000       672,133  

4.400% due 11/01/34

    1,750,000       1,518,646  

4.500% due 08/10/33

    3,720,000       3,313,780  

4.862% due 08/21/46

    60,000       49,645  

5.500% due 03/16/47

    250,000       232,109  
   

 

 

 
      89,905,415  
   

 

 

 

Consumer, Cyclical - 3.5%

   

Costco Wholesale Corp.

   

1.375% due 06/20/27

    1,480,000       1,294,565  

1.600% due 04/20/30

    1,160,000       932,037  

Delta Air Lines, Inc./SkyMiles IP Ltd.

   

4.500% due 10/20/25 ~

    1,350,010       1,311,784  

4.750% due 10/20/28 ~

    1,650,000       1,568,675  

Ford Motor Co.

   

4.750% due 01/15/43

    300,000       219,293  

6.100% due 08/19/32

    1,000,000       942,943  

Ford Motor Credit Co. LLC

   

2.900% due 02/16/28

    650,000       554,236  

3.625% due 06/17/31

    1,770,000       1,432,103  

3.664% due 09/08/24

    270,000       261,499  

4.000% due 11/13/30

    4,360,000       3,645,550  

4.125% due 08/17/27

    1,590,000       1,449,485  

5.113% due 05/03/29

    300,000       274,921  

5.125% due 06/16/25

    760,000       736,381  

7.350% due 11/04/27

    1,390,000       1,420,811  

7.350% due 03/06/30

    480,000       486,616  

General Motors Co.

   

5.150% due 04/01/38

    440,000       367,833  

5.600% due 10/15/32

    590,000       551,348  

5.950% due 04/01/49

    660,000       560,380  

6.125% due 10/01/25

    140,000       139,908  

6.250% due 10/02/43

    570,000       511,233  

General Motors Financial Co., Inc.
4.350% due 01/17/27

    520,000       489,669  

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

    270,000       230,854  

Home Depot, Inc.

   

2.500% due 04/15/27

    730,000       666,413  

2.700% due 04/15/30

    860,000       734,946  

3.300% due 04/15/40

    480,000       358,077  

3.350% due 04/15/50

    1,490,000       1,016,824  

3.900% due 12/06/28

    190,000       179,493  

3.900% due 06/15/47

    210,000       160,593  

Las Vegas Sands Corp.

   

2.900% due 06/25/25

    5,000,000       4,664,326  

3.200% due 08/08/24

    3,400,000       3,291,491  

Lennar Corp.

   

4.500% due 04/30/24

    1,040,000       1,030,327  

4.750% due 05/30/25

    200,000       195,727  
   

Principal

Amount

   

Value

 

Lowe’s Cos., Inc.
4.500% due 04/15/30

    $500,000       $466,748  

McDonald’s Corp.

   

1.450% due 09/01/25

    260,000       240,830  

3.300% due 07/01/25

    580,000       558,845  

3.500% due 07/01/27

    1,390,000       1,302,588  

3.600% due 07/01/30

    730,000       652,171  

3.625% due 09/01/49

    190,000       133,967  

3.700% due 01/30/26

    1,220,000       1,173,765  

3.800% due 04/01/28

    740,000       696,328  

4.200% due 04/01/50

    1,320,000       1,026,033  

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

    90,000       75,428  

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

    1,005,000       996,755  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    1,540,000       1,319,624  

3.875% due 01/15/28 ~

    1,550,000       1,391,699  

Newell Brands, Inc.
5.200% due 04/01/26

    10,000       9,433  

NIKE, Inc.

   

2.750% due 03/27/27

    1,060,000       979,738  

3.250% due 03/27/40

    750,000       568,543  

3.375% due 03/27/50

    970,000       692,885  

Nissan Motor Co. Ltd. (Japan)

   

3.522% due 09/17/25 ~

    2,700,000       2,551,578  

4.345% due 09/17/27 ~

    2,620,000       2,392,733  

Sands China Ltd. (Macau)

   

2.550% due 03/08/27

    1,590,000       1,380,437  

3.100% due 03/08/29

    2,010,000       1,664,553  

4.300% due 01/08/26

    950,000       888,282  

5.375% due 08/08/25

    3,980,000       3,858,038  

5.650% due 08/08/28

    1,010,000       951,385  

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

    1,409,999       1,410,544  

Target Corp.
2.250% due 04/15/25

    990,000       943,730  

United Airlines, Inc.

   

4.375% due 04/15/26 ~

    90,000       83,321  

4.625% due 04/15/29 ~

    1,870,000       1,609,276  

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

    1,320,000       1,201,923  

Walmart, Inc.

   

1.500% due 09/22/28

    390,000       331,055  

1.800% due 09/22/31

    450,000       354,398  

Warnermedia Holdings, Inc.

   

3.755% due 03/15/27

    570,000       526,482  

4.054% due 03/15/29

    730,000       650,750  

4.279% due 03/15/32

    2,260,000       1,919,671  

5.141% due 03/15/52

    140,000       104,109  

6.412% due 03/15/26

    1,060,000       1,060,265  

Wynn Macau Ltd. (Macau)
5.625% due 08/26/28 ~

    2,500,000       2,170,119  

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.
7.125% due 02/15/31 ~

    820,000       779,356  
   

 

 

 
      70,797,726  
   

 

 

 

Consumer, Non-Cyclical - 5.6%

   

Abbott Laboratories

   

3.750% due 11/30/26

    885,000       849,677  

4.750% due 11/30/36

    1,000,000       951,011  

4.900% due 11/30/46

    760,000       692,802  

AbbVie, Inc.

   

2.600% due 11/21/24

    2,660,000       2,565,325  

2.950% due 11/21/26

    1,110,000       1,030,536  

3.200% due 11/21/29

    2,700,000       2,384,001  

3.600% due 05/14/25

    1,600,000       1,547,076  

3.750% due 11/14/23

    370,000       369,103  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

9

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

3.800% due 03/15/25

    $2,430,000       $2,362,785  

4.250% due 11/21/49

    1,930,000       1,529,359  

Altria Group, Inc.

   

2.350% due 05/06/25

    2,240,000       2,119,703  

2.450% due 02/04/32

    470,000       354,793  

3.400% due 02/04/41

    2,610,000       1,697,535  

3.875% due 09/16/46

    820,000       538,764  

4.400% due 02/14/26

    1,988,000       1,930,601  

5.800% due 02/14/39

    250,000       231,952  

5.950% due 02/14/49

    2,440,000       2,194,422  

6.200% due 02/14/59

    270,000       252,796  

Amgen, Inc.

   

3.625% due 05/22/24

    410,000       404,322  

4.663% due 06/15/51

    289,000       234,139  

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

 

3.650% due 02/01/26

    410,000       393,886  

4.900% due 02/01/46

    580,000       505,861  

Anheuser-Busch InBev Worldwide, Inc. (Belgium)

 

3.500% due 06/01/30

    1,640,000       1,460,184  

4.000% due 04/13/28

    1,010,000       956,451  

4.350% due 06/01/40

    1,540,000       1,310,370  

4.750% due 01/23/29

    590,000       572,276  

5.550% due 01/23/49

    1,850,000       1,774,125  

BAT Capital Corp. (United Kingdom)

   

3.557% due 08/15/27

    1,025,000       938,279  

4.540% due 08/15/47

    950,000       654,642  

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

    750,000       679,460  

Bausch Health Cos., Inc.

   

5.000% due 02/15/29 ~

    2,560,000       984,348  

5.250% due 01/30/30 ~

    7,880,000       2,970,026  

6.250% due 02/15/29 ~

    2,740,000       1,086,259  

7.250% due 05/30/29 ~

    800,000       322,312  

Becton Dickinson & Co.

   

3.363% due 06/06/24

    1,400,000       1,375,569  

3.734% due 12/15/24

    272,000       265,402  

4.685% due 12/15/44

    714,000       600,821  

Bristol-Myers Squibb Co.

   

3.200% due 06/15/26

    959,000       910,057  

3.400% due 07/26/29

    473,000       428,784  

Centene Corp.

   

3.375% due 02/15/30

    370,000       309,027  

4.625% due 12/15/29

    380,000       342,682  

Cigna Group

   

4.125% due 11/15/25

    1,010,000       978,199  

4.375% due 10/15/28

    3,500,000       3,312,726  

4.900% due 12/15/48

    2,350,000       1,982,545  

Coca-Cola Co.

   

1.450% due 06/01/27

    700,000       618,747  

2.500% due 06/01/40

    70,000       47,697  

2.600% due 06/01/50

    370,000       226,481  

3.375% due 03/25/27

    1,180,000       1,118,212  

CommonSpirit Health
4.350% due 11/01/42

    420,000       337,720  

Constellation Brands, Inc.

   

2.250% due 08/01/31

    220,000       171,574  

3.600% due 05/09/24

    620,000       611,069  

4.350% due 05/09/27

    640,000       612,715  

CVS Health Corp.

   

1.875% due 02/28/31

    430,000       328,179  

2.125% due 09/15/31

    910,000       696,408  

3.625% due 04/01/27

    550,000       514,122  

3.750% due 04/01/30

    670,000       592,494  

3.875% due 07/20/25

    1,278,000       1,235,309  

4.125% due 04/01/40

    580,000       451,199  

4.250% due 04/01/50

    180,000       133,356  

5.050% due 03/25/48

    4,440,000       3,692,305  

5.125% due 07/20/45

    1,440,000       1,212,955  

CVS Pass-Through Trust
6.036% due 12/10/28

    1,509,557       1,494,032  
   

Principal

Amount

   

Value

 

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

    $2,730,000       $2,722,555  

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

    2,090,000       1,858,637  

Elevance Health, Inc.

   

3.350% due 12/01/24

    560,000       543,716  

3.650% due 12/01/27

    460,000       426,635  

4.100% due 05/15/32

    450,000       401,081  

4.550% due 05/15/52

    720,000       583,458  

Gilead Sciences, Inc.

   

3.650% due 03/01/26

    730,000       699,093  

4.750% due 03/01/46

    920,000       788,786  

HCA, Inc.

   

3.500% due 09/01/30

    450,000       380,876  

4.500% due 02/15/27

    110,000       105,051  

5.000% due 03/15/24

    1,333,000       1,326,373  

5.250% due 06/15/26

    180,000       176,267  

5.375% due 02/01/25

    517,000       511,798  

5.375% due 09/01/26

    440,000       431,972  

5.500% due 06/15/47

    450,000       384,557  

5.625% due 09/01/28

    200,000       195,132  

5.875% due 02/01/29

    630,000       620,063  

Hershey Co.
0.900% due 06/01/25

    340,000       315,359  

Humana, Inc.

   

3.950% due 03/15/27

    661,000       627,396  

4.500% due 04/01/25

    300,000       294,674  

4.625% due 12/01/42

    1,090,000       892,140  

4.800% due 03/15/47

    130,000       108,417  

Johnson & Johnson
3.625% due 03/03/37

    2,090,000       1,762,962  

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

    1,550,000       1,482,210  

Kraft Heinz Foods Co.

   

3.000% due 06/01/26

    587,000       550,501  

4.250% due 03/01/31

    420,000       382,866  

4.375% due 06/01/46

    560,000       436,719  

4.625% due 10/01/39

    30,000       25,365  

5.000% due 06/04/42

    210,000       182,045  

5.200% due 07/15/45

    990,000       865,963  

5.500% due 06/01/50

    830,000       757,458  

6.750% due 03/15/32

    50,000       52,850  

6.875% due 01/26/39

    140,000       146,967  

7.125% due 08/01/39 ~

    30,000       31,853  

Mars, Inc.

   

2.700% due 04/01/25 ~

    900,000       862,574  

3.200% due 04/01/30 ~

    590,000       518,491  

Merck & Co., Inc.
1.450% due 06/24/30

    800,000       627,231  

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

    1,540,000       1,441,394  

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

    630,000       589,779  

PepsiCo, Inc.

   

1.625% due 05/01/30

    620,000       498,463  

2.250% due 03/19/25

    190,000       181,569  

2.625% due 03/19/27

    190,000       175,352  

2.875% due 10/15/49

    400,000       262,001  

Pfizer, Inc.

   

0.800% due 05/28/25

    20,000       18,539  

1.700% due 05/28/30

    620,000       497,434  

2.625% due 04/01/30

    780,000       666,540  

Philip Morris International, Inc.
2.100% due 05/01/30

    260,000       207,670  

Procter & Gamble Co.

   

2.800% due 03/25/27

    300,000       278,485  

3.000% due 03/25/30

    650,000       577,768  

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

    1,090,000       904,039  

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

    510,000       520,696  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

10

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

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

    $280,000       $248,653  

Teva Pharmaceutical Finance
Netherlands III BV (Israel)

 

3.150% due 10/01/26

    7,115,000       6,347,365  

4.100% due 10/01/46

    1,800,000       1,129,006  

4.750% due 05/09/27

    730,000       670,712  

5.125% due 05/09/29

    5,940,000       5,376,442  

7.125% due 01/31/25

    1,140,000       1,145,115  

8.125% due 09/15/31

    540,000       559,333  

UnitedHealth Group, Inc.

   

1.250% due 01/15/26

    590,000       537,768  

2.000% due 05/15/30

    560,000       453,729  

2.300% due 05/15/31

    320,000       258,717  

3.125% due 05/15/60

    200,000       121,382  

3.875% due 08/15/59

    570,000       406,429  

4.000% due 05/15/29

    720,000       674,186  

4.200% due 05/15/32

    380,000       346,956  

4.250% due 06/15/48

    420,000       335,884  

4.450% due 12/15/48

    410,000       339,094  

5.700% due 10/15/40

    10,000       9,841  

5.800% due 03/15/36

    860,000       872,683  
   

 

 

 
      113,182,682  
   

 

 

 

Energy - 6.0%

   

BP Capital Markets America, Inc.

   

3.000% due 02/24/50

    2,570,000       1,604,736  

3.119% due 05/04/26

    920,000       869,833  

3.410% due 02/11/26

    1,200,000       1,147,424  

3.633% due 04/06/30

    540,000       486,553  

Cameron LNG LLC

   

2.902% due 07/15/31 ~

    540,000       447,050  

3.302% due 01/15/35 ~

    1,730,000       1,379,012  

Cheniere Energy Partners LP

   

3.250% due 01/31/32

    1,340,000       1,066,510  

4.000% due 03/01/31

    400,000       342,400  

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

    1,020,000       938,774  

Chevron Corp.

   

1.554% due 05/11/25

    600,000       564,678  

1.995% due 05/11/27

    720,000       645,614  

3.078% due 05/11/50

    220,000       147,810  

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

    1,110,000       1,055,660  

Columbia Pipelines Operating Co. LLC

   

6.036% due 11/15/33 ~

    2,290,000       2,236,547  

6.544% due 11/15/53 ~

    760,000       743,842  

ConocoPhillips
6.500% due 02/01/39

    370,000       396,714  

Continental Resources, Inc.

   

2.268% due 11/15/26 ~

    560,000       496,414  

3.800% due 06/01/24

    730,000       718,427  

4.375% due 01/15/28

    660,000       612,477  

4.900% due 06/01/44

    290,000       213,369  

5.750% due 01/15/31 ~

    1,300,000       1,221,838  

Coterra Energy, Inc.

   

3.900% due 05/15/27

    1,620,000       1,522,238  

4.375% due 03/15/29

    1,710,000       1,584,498  

Devon Energy Corp.

   

4.750% due 05/15/42

    70,000       55,697  

5.000% due 06/15/45

    2,910,000       2,347,542  

5.600% due 07/15/41

    1,240,000       1,098,500  

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

    2,320,000       2,060,379  

Ecopetrol SA (Colombia)

   

4.625% due 11/02/31

    850,000       649,716  

5.875% due 05/28/45

    3,880,000       2,560,275  

Energy Transfer LP

   

2.900% due 05/15/25

    1,010,000       959,954  

3.750% due 05/15/30

    2,010,000       1,752,058  
   

Principal

Amount

   

Value

 

4.950% due 06/15/28

    $680,000       $651,204  

5.250% due 04/15/29

    410,000       393,322  

5.300% due 04/01/44

    160,000       130,415  

5.400% due 10/01/47

    590,000       487,371  

6.250% due 04/15/49

    1,030,000       946,659  

6.750% due 05/15/25

    1,950,000       1,809,414  

7.125% due 05/15/30

    890,000       769,557  

7.600% due 02/01/24

    1,560,000       1,562,857  

9.654% (USD LIBOR + 4.028%)
due 10/16/23 §

    390,000       365,051  

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

    520,000       519,226  

Enterprise Products Operating LLC

   

2.800% due 01/31/30

    2,460,000       2,090,083  

3.700% due 01/31/51

    1,180,000       836,293  

3.950% due 01/31/60

    400,000       281,457  

4.150% due 10/16/28

    1,040,000       975,733  

4.200% due 01/31/50

    2,100,000       1,623,202  

4.800% due 02/01/49

    470,000       398,709  

4.850% due 03/15/44

    420,000       361,212  

6.650% due 10/15/34

    520,000       550,576  

7.550% due 04/15/38

    360,000       401,252  

EOG Resources, Inc.

   

3.900% due 04/01/35

    1,460,000       1,240,619  

4.150% due 01/15/26

    1,040,000       1,010,348  

4.375% due 04/15/30

    80,000       75,454  

4.950% due 04/15/50

    890,000       788,841  

EQT Corp.

   

3.125% due 05/15/26 ~

    50,000       46,309  

3.625% due 05/15/31 ~

    900,000       762,282  

3.900% due 10/01/27

    1,430,000       1,323,821  

5.000% due 01/15/29

    630,000       592,798  

6.125% due 02/01/25

    67,000       66,833  

Exxon Mobil Corp.

   

2.992% due 03/19/25

    1,910,000       1,844,889  

3.043% due 03/01/26

    750,000       711,518  

3.482% due 03/19/30

    1,300,000       1,174,592  

4.114% due 03/01/46

    2,150,000       1,728,298  

4.327% due 03/19/50

    220,000       180,805  

Halliburton Co.
3.800% due 11/15/25

    79,000       76,417  

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

    1,500,000       1,225,786  

Kinder Morgan, Inc.

   

4.300% due 03/01/28

    450,000       423,745  

5.200% due 03/01/48

    60,000       49,166  

5.550% due 06/01/45

    210,000       180,698  

MPLX LP

   

4.500% due 04/15/38

    1,510,000       1,224,645  

4.700% due 04/15/48

    520,000       394,667  

4.800% due 02/15/29

    930,000       882,828  

4.875% due 12/01/24

    1,190,000       1,173,533  

5.200% due 03/01/47

    70,000       57,250  

5.500% due 02/15/49

    730,000       618,895  

Occidental Petroleum Corp.

   

3.000% due 02/15/27

    870,000       783,806  

4.100% due 02/15/47

    2,510,000       1,660,805  

4.200% due 03/15/48

    1,200,000       830,390  

4.400% due 04/15/46

    510,000       374,807  

4.625% due 06/15/45

    1,280,000       922,029  

6.450% due 09/15/36

    1,610,000       1,582,630  

7.875% due 09/15/31

    2,702,000       2,926,498  

ONEOK, Inc.

   

5.550% due 11/01/26

    460,000       457,112  

5.800% due 11/01/30

    710,000       695,482  

6.050% due 09/01/33

    1,470,000       1,445,038  

6.625% due 09/01/53

    1,920,000       1,882,348  

Petrobras Global Finance BV (Brazil)

   

5.299% due 01/27/25

    8,001,000       7,875,612  

6.250% due 03/17/24

    150,000       149,853  

7.250% due 03/17/44

    1,270,000       1,248,524  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

11

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Petroleos Mexicanos (Mexico)

   

6.375% due 01/23/45

    $520,000       $304,094  

6.750% due 09/21/47

    160,000       94,967  

6.875% due 08/04/26

    1,350,000       1,245,626  

Pioneer Natural Resources Co.

   

1.125% due 01/15/26

    410,000       370,704  

1.900% due 08/15/30

    780,000       612,499  

2.150% due 01/15/31

    1,020,000       805,542  

Reliance Industries Ltd. (India)

   

2.875% due 01/12/32 ~

    850,000       678,958  

3.625% due 01/12/52 ~

    2,500,000       1,598,375  

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

    140,000       139,732  

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

    1,232,000       1,145,268  

Shell International Finance BV (Netherlands)

   

2.750% due 04/06/30

    1,070,000       920,839  

2.875% due 05/10/26

    560,000       528,503  

3.250% due 04/06/50

    970,000       645,010  

4.375% due 05/11/45

    1,010,000       830,024  

4.550% due 08/12/43

    1,200,000       1,019,861  

Southwestern Energy Co.

   

4.750% due 02/01/32

    770,000       661,714  

5.375% due 02/01/29

    60,000       55,314  

5.375% due 03/15/30

    250,000       228,064  

Targa Resources Corp.

   

4.950% due 04/15/52

    400,000       308,185  

5.200% due 07/01/27

    210,000       205,903  

Targa Resources Partners LP/Targa
Resources Partners Finance Corp.

 

4.000% due 01/15/32

    170,000       143,236  

4.875% due 02/01/31

    770,000       690,555  

5.000% due 01/15/28

    450,000       428,441  

5.500% due 03/01/30

    540,000       506,048  

6.500% due 07/15/27

    530,000       534,616  

6.875% due 01/15/29

    270,000       270,495  

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

    90,000       80,648  

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

    4,600,000       3,845,685  

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

    1,150,000       894,137  

Western Midstream Operating LP

   

3.100% due 02/01/25

    1,120,000       1,072,664  

4.050% due 02/01/30

    2,824,000       2,471,515  

4.500% due 03/01/28

    680,000       633,371  

4.650% due 07/01/26

    460,000       442,304  

5.250% due 02/01/50

    600,000       468,107  

5.300% due 03/01/48

    130,000       101,629  

5.500% due 08/15/48

    960,000       764,317  

Williams Cos., Inc.

   

3.750% due 06/15/27

    330,000       306,988  

7.500% due 01/15/31

    5,385,000       5,737,582  

7.750% due 06/15/31

    100,000       107,508  
   

 

 

 
      119,669,131  
   

 

 

 

Financial - 13.2%

   

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

    2,220,000       2,152,259  

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

   

2.450% due 10/29/26

    920,000       824,496  

3.000% due 10/29/28

    1,840,000       1,578,553  

3.150% due 02/15/24

    2,180,000       2,155,439  

3.300% due 01/30/32

    780,000       620,353  

Air Lease Corp.

   

3.375% due 07/01/25

    1,160,000       1,102,569  

5.300% due 02/01/28

    1,230,000       1,189,153  

American Express Co.

   

3.375% due 05/03/24

    1,180,000       1,161,992  

4.050% due 05/03/29

    1,150,000       1,070,920  
   

Principal

Amount

   

Value

 

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

    $1,887,000       $1,780,993  

Banco Santander SA (Spain)

   

2.746% due 05/28/25

    400,000       376,818  

4.175% due 03/24/28

    200,000       184,762  

Bank of America Corp.

   

2.572% due 10/20/32

    3,040,000       2,337,469  

2.592% due 04/29/31

    2,550,000       2,050,407  

2.972% due 02/04/33

    1,920,000       1,514,750  

3.419% due 12/20/28

    3,934,000       3,530,413  

3.974% due 02/07/30

    3,230,000       2,902,340  

4.000% due 04/01/24

    2,280,000       2,259,092  

4.083% due 03/20/51

    3,820,000       2,827,374  

4.125% due 01/22/24

    3,295,000       3,278,674  

4.200% due 08/26/24

    4,930,000       4,845,442  

4.250% due 10/22/26

    310,000       294,601  

4.330% due 03/15/50

    1,190,000       923,600  

4.450% due 03/03/26

    660,000       635,856  

5.000% due 01/21/44

    370,000       326,072  

Bank of Montreal (Canada)

   

1.850% due 05/01/25

    2,120,000       1,990,163  

3.803% due 12/15/32

    550,000       480,846  

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

    970,000       909,441  

Bank of Nova Scotia (Canada)

   

1.300% due 06/11/25

    690,000       638,580  

4.588% due 05/04/37

    980,000       817,462  

Barclays PLC (United Kingdom)

   

4.972% due 05/16/29

    2,496,000       2,333,101  

5.088% due 06/20/30

    4,250,000       3,800,384  

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

    2,370,000       1,944,923  

BNP Paribas SA (France)

   

2.219% due 06/09/26 ~

    2,260,000       2,109,612  

2.824% due 01/26/41 ~

    910,000       556,319  

3.375% due 01/09/25 ~

    910,000       878,531  

4.375% due 03/01/33 ~

    970,000       861,705  

4.400% due 08/14/28 ~

    2,110,000       1,962,845  

4.625% due 03/13/27 ~

    1,110,000       1,053,015  

4.705% due 01/10/25 ~

    2,360,000       2,348,469  

5.125% due 01/13/29 ~

    2,280,000       2,202,327  

5.198% due 01/10/30 ~

    920,000       874,356  

8.500% due 08/14/28 ~

    1,750,000       1,716,440  

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

    1,370,000       1,348,550  

Charles Schwab Corp.

   

5.875% due 08/24/26

    2,440,000       2,432,918  

6.136% due 08/24/34

    480,000       467,187  

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

    440,000       417,651  

Citigroup, Inc.

   

3.106% due 04/08/26

    1,310,000       1,250,473  

3.980% due 03/20/30

    2,000,000       1,797,153  

4.075% due 04/23/29

    2,840,000       2,615,165  

4.400% due 06/10/25

    3,030,000       2,940,833  

4.412% due 03/31/31

    890,000       800,835  

4.450% due 09/29/27

    1,330,000       1,249,187  

4.650% due 07/30/45

    2,171,000       1,747,052  

4.650% due 07/23/48

    1,430,000       1,158,433  

4.658% due 05/24/28

    730,000       697,938  

4.750% due 05/18/46

    440,000       344,812  

4.910% due 05/24/33

    1,920,000       1,748,229  

5.300% due 05/06/44

    240,000       205,349  

5.500% due 09/13/25

    630,000       622,636  

5.950% due 05/15/25

    2,220,000       2,120,968  

6.300% due 05/15/24

    2,520,000       2,459,018  

6.625% due 06/15/32

    480,000       484,941  

6.675% due 09/13/43

    580,000       577,571  

8.125% due 07/15/39

    200,000       235,376  

9.699% (SOFR + 4.330%)
due 10/30/23 §

    1,820,000       1,820,234  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

12

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Cooperatieve Rabobank UA (Netherlands)

 

1.339% due 06/24/26 ~

    $250,000       $230,136  

3.649% due 04/06/28 ~

    1,560,000       1,434,843  

3.758% due 04/06/33 ~

    1,160,000       968,139  

4.375% due 08/04/25

    3,420,000       3,301,327  

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

    1,500,000       1,394,978  

Credit Suisse AG (Switzerland)

   

2.950% due 04/09/25

    1,580,000       1,501,868  

7.500% due 02/15/28

    3,400,000       3,558,287  

7.950% due 01/09/25

    3,210,000       3,267,976  

Danske Bank AS (Denmark)

   

3.244% due 12/20/25 ~

    800,000       766,496  

5.375% due 01/12/24 ~

    1,470,000       1,464,237  

6.259% due 09/22/26 ~

    820,000       819,994  

Goldman Sachs Capital II
6.439% (SOFR + 1.029%)
due 10/30/23 §

    298,000       244,996  

Goldman Sachs Group, Inc.

   

2.908% due 07/21/42

    370,000       239,290  

3.210% due 04/22/42

    160,000       108,577  

3.500% due 04/01/25

    2,050,000       1,974,439  

3.500% due 11/16/26

    40,000       37,221  

3.615% due 03/15/28

    710,000       655,360  

3.625% due 02/20/24

    420,000       416,083  

4.223% due 05/01/29

    1,000,000       925,400  

4.250% due 10/21/25

    3,150,000       3,036,321  

4.750% due 10/21/45

    20,000       16,859  

5.150% due 05/22/45

    3,100,000       2,660,462  

5.950% due 01/15/27

    1,733,000       1,727,794  

6.250% due 02/01/41

    3,450,000       3,483,852  

6.750% due 10/01/37

    1,485,000       1,505,095  

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

    690,000       634,061  

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

    1,240,000       1,279,311  

HSBC Holdings PLC (United Kingdom)

   

2.099% due 06/04/26

    200,000       186,472  

3.973% due 05/22/30

    1,480,000       1,302,350  

4.250% due 03/14/24

    2,070,000       2,052,257  

4.250% due 08/18/25

    1,100,000       1,058,292  

4.762% due 03/29/33

    1,190,000       1,014,059  

Intercontinental Exchange, Inc.

   

4.600% due 03/15/33

    980,000       900,631  

4.950% due 06/15/52

    540,000       467,297  

Intesa Sanpaolo SpA (Italy)

   

5.017% due 06/26/24 ~

    10,470,000       10,223,242  

5.710% due 01/15/26 ~

    350,000       334,300  

JPMorgan Chase & Co.

   

2.083% due 04/22/26

    3,000,000       2,816,640  

2.522% due 04/22/31

    2,660,000       2,157,406  

3.109% due 04/22/51

    460,000       285,823  

3.875% due 09/10/24

    1,760,000       1,724,497  

4.023% due 12/05/24

    2,730,000       2,718,021  

4.203% due 07/23/29

    3,010,000       2,790,425  

4.250% due 10/01/27

    870,000       826,006  

4.452% due 12/05/29

    4,010,000       3,744,303  

4.950% due 06/01/45

    2,540,000       2,174,387  

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

    350,000       305,238  

Lloyds Banking Group PLC (United Kingdom)

   

3.900% due 03/12/24

    1,910,000       1,891,088  

4.375% due 03/22/28

    2,430,000       2,266,297  

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

    880,000       678,559  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

3.837% due 04/17/26

    910,000       879,045  

4.080% due 04/19/28

    940,000       883,283  

Morgan Stanley

   

2.188% due 04/28/26

    3,400,000       3,195,225  

2.699% due 01/22/31

    2,830,000       2,315,278  

3.622% due 04/01/31

    3,040,000       2,620,239  

3.772% due 01/24/29

    200,000       182,470  
   

Principal

Amount

   

Value

 

4.431% due 01/23/30

    $170,000       $157,330  

National Securities Clearing Corp.
1.500% due 04/23/25 ~

    1,000,000       938,788  

Natwest Group PLC (United Kingdom)

   

4.892% due 05/18/29

    360,000       336,908  

5.076% due 01/27/30

    500,000       466,350  

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

    840,000       773,505  

Nuveen LLC
4.000% due 11/01/28 ~

    1,500,000       1,391,394  

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

    630,000       626,968  

PNC Financial Services Group, Inc.

   

5.582% due 06/12/29

    1,890,000       1,834,423  

5.812% due 06/12/26

    590,000       585,456  

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

    640,000       590,696  

Royal Bank of Canada (Canada)

   

1.150% due 06/10/25

    1,170,000       1,082,342  

3.875% due 05/04/32

    570,000       497,215  

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

    408,000       297,976  

Standard Chartered PLC (United Kingdom)
7.141% (USD LIBOR + 1.510%)
due 01/30/27 § ~

    3,900,000       3,638,129  

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

    132,000       139,124  

Toronto-Dominion Bank (Canada)

   

1.150% due 06/12/25

    1,720,000       1,593,105  

4.456% due 06/08/32

    1,940,000       1,740,918  

Truist Financial Corp.
6.047% due 06/08/27

    1,100,000       1,088,416  

U.S. Bancorp

   

1.450% due 05/12/25

    2,450,000       2,286,188  

2.215% due 01/27/28

    170,000       150,053  

5.775% due 06/12/29

    1,180,000       1,149,243  

5.836% due 06/12/34

    460,000       434,206  

UBS Group AG (Switzerland)

   

2.193% due 06/05/26 ~

    1,718,000       1,598,496  

2.593% due 09/11/25 ~

    250,000       240,708  

2.746% due 02/11/33 ~

    850,000       643,100  

3.091% due 05/14/32 ~

    2,240,000       1,770,615  

4.125% due 09/24/25 ~

    1,050,000       1,006,907  

4.194% due 04/01/31 ~

    3,760,000       3,285,118  

4.488% due 05/12/26 ~

    1,050,000       1,017,328  

4.550% due 04/17/26

    440,000       422,688  

4.751% due 05/12/28 ~

    1,350,000       1,276,112  

7.000% due 01/31/24 ~

    7,030,000       6,944,789  

9.016% due 11/15/33 ~

    780,000       901,364  

Visa, Inc.

   

3.150% due 12/14/25

    2,010,000       1,919,159  

4.300% due 12/14/45

    1,570,000       1,330,445  

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

    6,230,000       5,994,563  

Wells Fargo & Co.

   

2.188% due 04/30/26

    1,310,000       1,230,335  

2.879% due 10/30/30

    980,000       816,286  

3.000% due 10/23/26

    2,240,000       2,058,198  

3.350% due 03/02/33

    590,000       477,174  

3.750% due 01/24/24

    1,700,000       1,687,877  

4.150% due 01/24/29

    1,150,000       1,056,512  

4.400% due 06/14/46

    1,650,000       1,223,003  

4.478% due 04/04/31

    3,350,000       3,040,255  

4.650% due 11/04/44

    1,600,000       1,245,960  

4.750% due 12/07/46

    2,550,000       1,993,343  

4.900% due 11/17/45

    1,490,000       1,196,931  

5.013% due 04/04/51

    7,140,000       6,006,210  

5.375% due 11/02/43

    2,030,000       1,762,492  

5.557% due 07/25/34

    1,150,000       1,089,544  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

13

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

5.574% due 07/25/29

    $1,060,000       $1,034,552  

5.606% due 01/15/44

    1,567,000       1,391,563  
   

 

 

 
    266,052,317  
   

 

 

 

Industrial - 1.9%

   

3M Co.

   

2.375% due 08/26/29

    990,000       828,592  

3.050% due 04/15/30

    340,000       294,192  

3.700% due 04/15/50

    2,220,000       1,586,037  

Ball Corp.
3.125% due 09/15/31

    1,220,000       957,136  

Boeing Co.

   

2.196% due 02/04/26

    1,190,000       1,092,910  

2.700% due 02/01/27

    610,000       552,683  

3.200% due 03/01/29

    1,480,000       1,300,724  

3.250% due 02/01/35

    3,350,000       2,578,228  

3.550% due 03/01/38

    460,000       337,685  

3.750% due 02/01/50

    1,380,000       939,074  

4.875% due 05/01/25

    1,340,000       1,317,193  

5.150% due 05/01/30

    1,900,000       1,816,039  

5.705% due 05/01/40

    2,190,000       2,022,079  

5.805% due 05/01/50

    1,720,000       1,558,957  

5.930% due 05/01/60

    150,000       134,872  

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

    130,000       106,761  

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

    100,000       67,583  

Deere & Co.

   

3.100% due 04/15/30

    370,000       325,626  

3.750% due 04/15/50

    760,000       601,553  

Eaton Corp.
4.150% due 11/02/42

    410,000       334,116  

General Dynamics Corp.

   

3.250% due 04/01/25

    420,000       406,324  

4.250% due 04/01/40

    100,000       85,042  

4.250% due 04/01/50

    340,000       279,792  

L3Harris Technologies, Inc.

   

4.854% due 04/27/35

    370,000       337,246  

5.054% due 04/27/45

    570,000       497,130  

Lockheed Martin Corp.

   

3.550% due 01/15/26

    605,000       582,515  

3.900% due 06/15/32

    600,000       538,444  

4.150% due 06/15/53

    2,290,000       1,809,643  

4.500% due 05/15/36

    580,000       529,389  

Northrop Grumman Corp.

   

2.930% due 01/15/25

    1,790,000       1,726,750  

3.250% due 01/15/28

    2,110,000       1,936,360  

5.250% due 05/01/50

    890,000       822,254  

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

    870,000       821,677  

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

    1,000,000       971,610  

RTX Corp.

   

2.250% due 07/01/30

    640,000       515,445  

3.030% due 03/15/52

    1,010,000       608,793  

3.150% due 12/15/24

    750,000       726,289  

3.950% due 08/16/25

    950,000       919,679  

4.125% due 11/16/28

    390,000       363,918  

4.500% due 06/01/42

    1,320,000       1,081,366  

Union Pacific Corp.

   

2.150% due 02/05/27

    650,000       587,300  

2.400% due 02/05/30

    840,000       703,532  

2.891% due 04/06/36

    1,060,000       803,825  

3.750% due 07/15/25

    430,000       416,719  

3.750% due 02/05/70

    1,950,000       1,308,280  

3.839% due 03/20/60

    365,000       256,593  

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

    570,000       501,549  
   

 

 

 
      38,889,504  
   

 

 

 
   

Principal
Amount

   

Value

 

Technology - 1.3%

   

Apple, Inc.

   

1.125% due 05/11/25

    $2,110,000       $1,974,120  

2.450% due 08/04/26

    1,610,000       1,496,216  

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

    4,110,000       2,997,943  

Intel Corp.

   

1.600% due 08/12/28

    530,000       448,436  

3.050% due 08/12/51

    240,000       146,117  

3.700% due 07/29/25

    620,000       600,393  

4.750% due 03/25/50

    920,000       761,500  

5.125% due 02/10/30

    880,000       863,978  

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

    2,800,000       2,752,972  

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

    530,000       506,708  

Microsoft Corp.

   

2.525% due 06/01/50

    41,000       24,991  

2.921% due 03/17/52

    1,497,000       982,904  

3.041% due 03/17/62

    908,000       575,550  

3.300% due 02/06/27

    960,000       911,326  

3.450% due 08/08/36

    72,000       60,769  

NVIDIA Corp.

   

2.850% due 04/01/30

    580,000       506,334  

3.500% due 04/01/40

    1,520,000       1,197,688  

3.500% due 04/01/50

    1,250,000       911,872  

3.700% due 04/01/60

    1,590,000       1,166,183  

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

    1,030,000       978,606  

Oracle Corp.

   

1.650% due 03/25/26

    2,150,000       1,948,006  

2.875% due 03/25/31

    1,830,000       1,495,605  

2.950% due 04/01/30

    260,000       218,892  

4.650% due 05/06/30

    900,000       842,130  

Salesforce, Inc.
3.700% due 04/11/28

    680,000       641,932  

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

    890,000       720,859  
   

 

 

 
      25,732,030  
   

 

 

 

Utilities - 0.3%

   

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

    586,000       589,418  

Consolidated Edison Co. of New York, Inc.

   

3.350% due 04/01/30

    390,000       342,741  

3.950% due 04/01/50

    470,000       347,976  

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

    1,390,000       1,276,430  

Pacific Gas & Electric Co.

   

2.100% due 08/01/27

    810,000       693,100  

2.500% due 02/01/31

    350,000       266,525  

3.300% due 08/01/40

    210,000       134,715  

3.500% due 08/01/50

    490,000       292,280  

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

    2,130,000       2,150,921  
   

 

 

 
      6,094,106  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $875,742,212)

 

    757,880,514  
   

 

 

 

SENIOR LOAN NOTES - 3.1%

 

Communications - 0.2%

   

Charter Communications Operating LLC

   

Term B1

7.116% (SOFR + 1.750%)

due 04/30/25 §

    919,715       921,396  

Term B2

7.116% (SOFR + 1.750%)

due 02/01/27 §

    7,348       7,349  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

14

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Virgin Media Bristol LLC

   

Term N
7.947% (SOFR + 2.500%)
due 01/31/28 §

    $1,811,848       $1,764,995  

Term Q
8.697% (SOFR + 3.250%)
due 01/31/29 §

    620,000       606,970  
   

 

 

 
      3,300,710  
   

 

 

 

Consumer, Cyclical - 0.8%

   

Air Canada Term B (Canada)
9.128% (SOFR + 3.500%)
due 08/11/28 §

    1,649,125       1,652,659  

Alterra Mountain Co. Term B
8.931% (SOFR + 3.500%)
due 08/17/28 §

    1,337,525       1,340,869  

Caesars Entertainment Corp. Term B
8.666% (SOFR + 3.250%)
due 02/06/30 §

    159,200       159,310  

Great Outdoors Group LLC Term B1
9.402% (SOFR + 3.750%)
due 03/06/28 §

    1,017,529       1,016,893  

GVC Holdings Gibraltar Ltd. Term B4 (United Kingdom)
7.990% (SOFR + 2.500%)
due 03/29/27 §

    285,128       284,879  

Harbor Freight Tools USA, Inc. Term B
8.181% (SOFR + 2.750%)
due 10/19/27 §

    2,598,097       2,581,680  

PCI Gaming Authority Term B
7.931% (SOFR + 2.500%)
due 05/29/26 §

    1,637,523       1,638,692  

Scientific Games International, Inc. Term B
8.434% (SOFR + 3.000%)
due 04/14/29 §

    1,859,180       1,860,342  

SkyMiles IP Ltd. Term B
9.076% (SOFR + 3.750%)
due 10/20/27 §

    527,000       547,421  

Solis IV BV Term B1 (Netherlands)
8.891% (SOFR + 3.500%)
due 02/26/29 §

    1,266,716       1,236,632  

Station Casinos LLC Term B
7.666% (SOFR + 2.250%)
due 02/08/27 §

    1,034,721       1,034,133  

UFC Holdings LLC Term B
8.369% (SOFR + 2.750%)
due 04/29/26 §

    1,275,031       1,275,269  

United Airlines, Inc. Term B
9.182% (SOFR + 3.750%)
due 04/21/28 §

    847,307       852,795  
   

 

 

 
      15,481,574  
   

 

 

 

Consumer, Non-Cyclical - 0.8%

   

Allied Universal Holdco LLC Term B
9.166% (SOFR + 3.750%)
due 05/12/28 §

    2,817,146       2,727,029  

Belron Finance U.S. LLC Term B
7.881% (SOFR + 2.250%)
due 11/13/25 §

    643,120       644,426  

Eyecare Partners LLC
9.181% (SOFR + 3.750%)
due 02/18/27 §

    638,358       458,820  

Gainwell Acquisition Corp. Term B
9.490% (SOFR + 4.000%)
due 10/01/27 §

    1,420,894       1,388,924  

Garda World Security Corp. Term B (Canada)
9.746% (SOFR + 4.250%)
due 10/30/26 §

    631,822       632,849  
   

Principal
Amount

   

Value

 

Global Medical Response, Inc. Term B
9.780% (SOFR + 4.250%)
due 10/02/25 §

    $2,905,271       $2,036,595  

ICON Luxembourg SARL Term B (Luxembourg)
7.902% (SOFR + 2.250%)
due 07/03/28 §

    1,471,833       1,473,059  

Medline Borrower LP Term B
8.681% (SOFR + 3.250%)
due 10/23/28 §

    12,981       12,965  

Phoenix Guarantor, Inc.

 

Term B
8.681% (SOFR + 3.250%)
due 03/05/26 §

    1,442,101       1,435,148  

Term B3
8.931% (SOFR + 3.500%)
due 03/05/26 §

    279,080       277,735  

PRA Health Sciences, Inc. Term B
7.902% (SOFR + 2.250%)
due 07/03/28 §

    366,708       367,013  

Prime Security Services Borrower LLC
8.192% (SOFR + 2.750%)
due 09/23/26 §

    970,409       970,299  

Sotera Health Holdings LLC
8.181% (SOFR + 2.750%)
due 12/11/26 §

    1,490,000       1,486,974  

Trans Union LLC Term B5
7.166% (SOFR + 1.750%)
due 11/16/26 §

    988,280       988,332  

Triton Water Holdings, Inc. Term B
8.902% (SOFR + 3.250%)
due 03/31/28 §

    1,898,273       1,860,476  

Verscend Holding Corp. Term B
9.431% (SOFR + 4.000%)
due 08/27/25 §

    174,015       174,300  
   

 

 

 
      16,934,944  
   

 

 

 

Diversified - 0.1%

   

First Eagle Holdings, Inc. Term B
7.990% (SOFR + 2.500%)
due 02/01/27 §

    929,920       923,062  
   

 

 

 

Financial - 0.5%

   

Allspring Buyer LLC Term B
8.650% (SOFR + 3.250%)
due 11/01/28 §

    661,991       655,371  

AmWINS Group, Inc.

 

Term B
7.681% (SOFR + 2.250%)
due 02/19/28 §

    303,620       302,007  

8.181% (SOFR + 2.750%)
due 02/19/28 §

    218,350       218,584  

Asurion LLC

 

Term B8
8.681% (SOFR + 3.250%)
due 12/23/26 §

    1,415,462       1,391,773  

Term B9
8.681% (SOFR + 3.250%)
due 07/31/27 §

    131,511       128,069  

Term B11
9.666% (SOFR + 4.250%)
due 08/19/28 §

    1,940,991       1,898,936  

Castlelake Aviation Ltd. Term B
8.421% (SOFR + 2.750%)
due 10/22/26 §

    1,061,960       1,062,042  

Citadel Securities LP Term B
7.816% (SOFR + 2.500%)
due 07/29/30 §

    156,948       156,826  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

15

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Deerfield Dakota Holding LLC Term B
9.140% (SOFR + 3.750%)
due 04/09/27 §

    $1,303,833       $1,276,670  

Setanta Aircraft Leasing DAC Term B (Ireland)
7.652% (SOFR + 2.000%)
due 11/05/28 §

    2,290,000       2,292,505  

VFH Parent LLC Term B
8.418% (SOFR + 3.000%)
due 01/13/29 §

    1,574,100       1,566,229  
   

 

 

 
      10,949,012  
   

 

 

 

Industrial - 0.3%

   

Ali Group North America Corp. Term B
7.431% (SOFR + 2.000%)
due 07/30/29 §

    894,049       894,328  

Brown Group Holding LLC Term B
8.068% (SOFR + 2.750%)
due 06/07/28 §

    2,231,198       2,215,659  

Genesee & Wyoming, Inc.
7.490% (SOFR + 2.000%)
due 12/30/26 §

    1,799,990       1,800,597  

GFL Environmental, Inc. Term B (Canada)
7.823% (SOFR + 2.500%)
due 05/31/27 § ±

    54,808       54,843  

II-VI, Inc. Term B
8.181% (SOFR + 2.750%)
due 07/02/29 §

    1,378,018       1,378,879  
   

 

 

 
      6,344,306  
   

 

 

 

Technology - 0.4%

 

AthenaHealth Group, Inc. Term B
8.568% (SOFR + 3.250%)
due 02/15/29 §

    1,262,399       1,241,359  

Cloudera, Inc. Term B
9.166% (SOFR + 3.750%)
due 10/08/28 §

    711,488       703,662  

Dcert Buyer, Inc. Term B
9.316% (SOFR + 4.000%)
due 10/16/26 §

    2,489,348       2,477,536  

Magenta Buyer LLC
10.631% (SOFR + 5.000%)
due 07/27/28 §

    511,689       384,132  

Peraton Corp. Term B
9.166% (SOFR + 3.750%)
due 02/01/28 §

    3,267,089       3,262,665  
   

 

 

 
      8,069,354  
   

 

 

 

Total Senior Loan Notes
(Cost $63,355,153)

 

    62,002,962  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 43.4%

 

Collateralized Mortgage Obligations - Commercial - 5.6%

 

 

280 Park Avenue Mortgage Trust
6.510% (SOFR + 0.930%)
due 09/15/34 § ~

    1,340,000       1,304,362  

Bank 2019-BN17(IO)
1.159% due 04/15/52 §

    35,756,448       1,531,259  

BANK 2019-BNK22
2.978% due 11/15/62

    1,200,000       1,014,649  

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

    2,040,000       1,931,068  

BANK 2023-BNK46
5.745% due 08/15/56

    1,050,000       1,043,298  

BBCCRE Trust
4.715% due 08/10/33 § ~

    4,965,000       3,694,050  

Benchmark Mortgage Trust
6.363% due 07/15/56 §

    470,000       475,739  
   

Principal
Amount

   

Value

 

BHMS Mortgage Trust
6.879% (SOFR + 1.547%)
due 07/15/35 § ~

    $3,500,000       $3,458,532  

BX Commercial Mortgage Trust

   

6.297% (SOFR + 0.964%)
due 11/15/38 § ~

    2,480,000       2,435,529  

11.203% (SOFR + 5.871%)
due 06/15/40 § ~

    4,110,000       4,115,082  

BX Trust
5.045% due 02/15/28 ~

    1,240,000       1,167,956  

CENT Trust
7.952% (SOFR + 2.620%)
due 09/15/28 § ~

    1,240,000       1,242,754  

Citigroup Commercial Mortgage Trust

   

2.896% due 11/15/49

    1,835,476       1,674,610  

4.175% due 07/10/47 §

    1,970,000       1,839,917  

Commercial Mortgage Trust

   

4.300% due 10/10/46

    510,000       447,335  

4.737% due 08/15/45 § ~

    1,075,161       976,689  

4.762% due 10/10/46 §

    450,000       324,173  

5.112% due 10/10/46 §

    220,000       82,645  

Commercial Mortgage Trust (IO)
1.022% due 10/15/45 §

    192,392       9  

Credit Suisse Mortgage Capital Certificates
8.030% (SOFR + 2.697%)
due 05/15/36 § ~

    5,416,524       5,339,488  

Credit Suisse Mortgage Trust

   

3.953% due 09/15/37 ~

    6,800,000       5,821,947  

4.373% due 09/15/37 ~

    1,700,000       913,471  

10.794% (PRIME + 2.294%)
due 07/15/32 § ~

    3,750,000       3,448,146  

CSMC Trust
8.028% (SOFR + 2.695%)
due 06/15/39 § ~

    1,830,000       1,818,935  

DBJPM Mortgage Trust
2.890% due 08/10/49

    2,010,000       1,830,153  

Fannie Mae

   

2.232% due 02/25/27

    2,002,033       1,856,769  

2.560% due 09/25/29

    964,060       847,500  

2.720% due 10/25/31 §

    366,686       309,175  

3.209% due 04/25/28 §

    70,930       65,435  

Fannie Mae (IO)
0.671% due 06/25/29 §

    9,344,821       233,256  

Fannie Mae - Aces

   

2.500% due 10/25/37

    422,794       351,563  

3.061% due 05/25/27 §

    476,628       443,300  

3.894% due 08/25/32 §

    600,000       537,897  

Federal Home Loan Mortgage Corp.

   

Multifamily Structured Pass-Through

   

Certificates (IO)

   

0.419% due 05/25/33 §

    19,999,700       458,771  

0.488% due 06/25/32 §

    18,314,256       495,664  

0.810% due 12/25/30 §

    22,410,751       902,409  

Federal Home Loan Mortgage Corp. Multifamily WI Certificates
4.500% due 12/25/33

    500,000       469,014  

Freddie Mac (IO)

   

0.578% due 02/25/36 §

    4,982,724       187,665  

0.653% due 12/25/27 §

    5,971,270       115,508  

0.867% due 03/25/28 §

    6,081,661       139,809  

1.666% due 08/27/28 §

    4,000,000       260,528  

Freddie Mac Multifamily Structured

   

Pass-Through Certificates

   

0.123% due 07/25/33 §

    16,000,000       252,275  

0.495% due 12/25/31 §

    29,926,588       680,998  

1.558% due 04/25/30

    900,000       721,949  

3.000% due 09/25/29

    100,000       89,285  

4.412% due 03/25/30

    500,000       478,371  

Freddie Mac Multifamily Structured

   

Pass-Through Certificates (IO)

   

0.352% due 06/25/54 §

    22,527,180       412,734  

0.403% due 03/25/32 §

    6,895,883       144,118  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

16

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

0.450% due 04/25/55 §

    $13,200,447       $322,424  

0.612% due 03/25/31 §

    16,862,143       498,121  

0.746% due 10/25/26 §

    16,555,278       246,679  

1.014% due 06/25/29 §

    7,211,919       290,774  

1.283% due 06/25/29 §

    6,050,000       338,776  

1.365% due 06/25/27 §

    1,448,086       36,359  

1.410% due 07/25/26 §

    4,945,670       138,712  

1.477% due 01/25/30 §

    3,479,055       232,661  

Government National Mortgage Association

   

1.450% due 01/16/63

    2,396,331       1,731,901  

1.850% due 02/16/61

    1,700,000       766,773  

2.000% due 06/16/64

    5,999,692       4,289,145  

2.200% due 10/16/63

    2,000,000       1,375,264  

2.839% due 11/16/47 §

    894,131       771,406  

3.000% due 10/16/64 §

    2,900,000       1,986,961  

Government National Mortgage Association (IO)

   

0.062% due 10/16/48 §

    4,498,162       6,181  

0.325% due 01/16/53 §

    24,413,076       164,276  

0.448% due 08/16/58 §

    1,226,077       29,298  

0.504% due 12/16/59 §

    1,837,085       61,981  

0.506% due 04/16/57 §

    1,598,070       45,119  

0.526% due 02/16/59 §

    1,854,591       56,152  

0.567% due 01/16/63 §

    4,873,805       234,942  

0.570% due 11/16/47 §

    7,860,467       112,219  

0.571% due 02/16/62 §

    3,408,930       167,286  

0.592% due 07/16/58 §

    1,019,268       28,911  

0.611% due 06/16/64 §

    5,999,692       368,650  

0.640% due 02/16/61 §

    2,132,462       106,124  

0.665% due 11/16/55 §

    6,564,612       166,547  

0.805% due 01/16/61 §

    12,272,863       704,769  

0.826% due 05/16/63 §

    4,614,870       269,606  

0.840% due 05/16/60 §

    1,744,558       95,709  

0.870% due 10/16/62 §

    2,709,937       162,798  

0.913% due 11/16/60 §

    5,629,863       336,602  

1.422% due 10/16/60 §

    30,354,402       2,645,234  

GS Mortgage Securities Corp. Trust

   

6.598% (SOFR + 1.264%)
due 05/15/26 § ~

    2,360,000       2,087,774  

7.248% (SOFR + 1.914%)
due 09/15/31 § ~

    3,814,234       3,186,247  

GS Mortgage Securities Trust

   

3.164% due 05/10/50

    3,038,756       2,787,822  

3.777% due 05/10/50 §

    3,880,000       3,647,621  

4.160% due 05/10/50 §

    550,000       498,478  

5.161% due 11/10/46 §

    759,703       754,800  

JP Morgan Chase Commercial

   

Mortgage Securities Trust

   

2.822% due 08/15/49

    3,400,000       3,081,363  

4.776% due 08/15/48 §

    2,470,000       2,064,027  

5.032% due 01/15/47 §

    510,000       462,295  

6.561% due 02/15/51 §

    5,685       5,101  

Med Trust
10.697% (SOFR + 5.364%)
due 11/15/38 § ~

    3,134,955       2,976,585  

MHC Commercial Mortgage Trust
6.247% (SOFR + 0.915%)
due 04/15/38 § ~

    1,143,889       1,129,306  

ML-CFC Commercial Mortgage Trust

   

5.450% due 08/12/48 §

    423,626       107,035  

5.450% due 08/12/48 § ~

    53,488       13,514  

6.193% due 09/12/49 §

    40,423       38,809  

Ready Capital Mortgage Financing LLC

   

6.634% (SOFR + 1.314%)
due 11/25/36 § ~

    4,097,663       4,051,745  

7.787% (SOFR + 2.467%)
due 06/25/37 § ~

    799,277       801,464  

SG Commercial Mortgage Securities Trust
2.779% due 10/10/48

    1,120,000       1,037,511  

SHOW Trust
8.314% (SOFR + 2.984%)
due 01/15/27 § ~

    1,250,000       1,253,112  
   

Principal
Amount

   

Value

 

SLG Office Trust
2.585% due 07/15/41 ~

    $1,280,000       $1,000,885  

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

    320,044       305,543  

WFRBS Commercial Mortgage Trust

   

4.204% due 11/15/47 §

    3,830,000       3,294,418  

4.723% due 03/15/47 §

    340,000       318,199  

WFRBS Commercial Mortgage Trust (IO)
1.110% due 03/15/47 §

    5,296,942       7,840  
   

 

 

 
      112,085,643  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 6.7%

 

Adjustable Rate Mortgage Trust

   

3.892% due 10/25/35 §

    1,132,286       966,256  

5.934% (SOFR + 0.614%) due 03/25/36 §

    332,496       94,526  

Alternative Loan Trust

   

4.985% (16.688% - SOFR)
due 06/25/35 §

    2,043,535       1,445,913  

6.000% due 03/25/27

    9,580       9,309  

6.500% due 09/25/36

    972,480       538,248  

6.863% (28.142% - SOFR)
due 07/25/36 §

    705,087       501,857  

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

    4,721,343       4,515,689  

Chevy Chase Funding LLC Mortgage-Backed Certificates
5.614% (SOFR + 0.294%)
due 08/25/47 § ~

    117,565       96,834  

CHL Mortgage Pass-Through Trust

   

5.500% due 07/25/35

    407,029       185,250  

5.750% due 02/25/37

    3,080,430       1,468,750  

Citigroup Mortgage Loan Trust, Inc.

   

4.246% due 04/25/37 §

    195,703       173,582  

6.500% due 10/25/36 § ~

    1,263,343       685,504  

Connecticut Avenue Securities Trust

   

7.479% (SOFR + 2.164%)
due 01/25/40 § ~

    1,029,033       1,033,253  

7.529% (SOFR + 2.214%)
due 10/25/39 § ~

    187,737       188,039  

9.529% (SOFR + 4.214%)
due 09/25/31 § ~

    1,010,000       1,057,058  

Credit Suisse Mortgage Trust

   

2.000% due 01/25/60 ~

    1,377,320       1,158,135  

3.500% due 02/25/48 § ~

    6,700,353       5,769,084  

CSMC Trust

   

1.101% due 05/25/66 § ~

    1,565,225       1,263,483  

2.962% due 07/25/57 § ~

    9,880,000       8,621,604  

8.815% (SOFR + 3.500%)
due 10/25/66 § ~

    4,796,446       4,667,810  

Fannie Mae

   

2.000% due 04/25/41 - 04/25/50

    4,543,642       3,768,535  

3.000% due 11/25/42

    1,054,418       918,799  

4.000% due 07/25/40

    1,715,924       1,662,242  

5.779% (SOFR + 0.464%)
due 05/25/34 §

    158,470       156,745  

6.000% due 05/25/42

    427,626       434,092  

6.500% due 06/25/39

    16,893       17,015  

7.000% due 05/25/42

    170,665       179,737  

Fannie Mae (IO)

   

0.000% due 08/25/44 - 08/25/55 §

    1,493,421       66,190  

0.483% due 10/25/35 §

    145,575       8,382  

0.721% (6.036% - SOFR)
due 09/25/41 - 08/25/45 §

    3,873,086       262,949  

0.729% due 03/25/36 §

    87,008       4,512  

1.051% (6.366% - SOFR)
due 04/25/40 §

    230,351       19,919  

1.171% (6.486% - SOFR)
due 07/25/42 §

    152,827       14,036  

1.221% (6.536% - SOFR)
due 03/25/42 §

    544,924       28,941  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

17

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

1.299% due 07/25/36 §

    $152,824       $13,254  

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

    3,122,271       486,256  

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

    1,457,672       62,780  

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

    886,848       105,226  

4.000% due 11/25/41

    987,072       179,887  

4.500% due 11/25/39

    132,027       24,583  

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

    357,208       66,224  

5.000% due 01/25/39 §

    90,282       17,969  

5.500% due 01/25/39 §

    86,204       18,671  

5.644% due 12/25/36 §

    659,844       47,922  

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

    371,014       80,350  

Fannie Mae (PO)
due 03/25/42

    71,466       62,631  

Fannie Mae Connecticut Avenue Securities

   

10.429% (SOFR + 5.114%)
due 11/25/24 §

    19,042       19,109  

10.679% (SOFR + 5.364%)
due 10/25/23 §

    559,911       563,637  

Fannie Mae REMICS

   

2.000% due 08/25/50 - 04/25/51

    3,459,278       2,586,032  

2.500% due 02/25/44

    3,819,149       3,102,878  

Freddie Mac

   

3.000% due 08/15/48

    340,235       288,930  

4.000% due 04/25/52

    1,200,000       1,023,826  

5.000% due 02/15/30

    522,116       516,362  

6.000% due 05/15/36

    774,483       787,047  

6.428% (SOFR + 1.114%)
due 02/15/32 §

    26,002       24,918  

7.115% (SOFR + 1.800%)
due 01/25/51 § ~

    2,072,393       2,066,455  

7.729% (SOFR + 2.414%)
due 01/25/50 § ~

    2,570,000       2,586,783  

Freddie Mac (IO)

   

0.000% due 04/15/41 §

    485,693       20,924  

0.250% due 01/15/38 §

    42,569       381  

0.522% (5.836% - SOFR)
due 10/15/41 §

    402,401       27,686  

0.572% (5.886% - SOFR)
due 05/15/44 §

    2,174,458       157,847  

0.602% (5.916% - SOFR)
due 09/15/37 §

    599,433       36,700  

0.622% (5.936% - SOFR)
due 08/15/39 §

    565,483       34,737  

0.802% (6.116% - SOFR)
due 01/15/40 §

    102,315       7,281  

0.822% (6.136% - SOFR)
due 09/15/42 §

    350,409       23,325  

0.862% (6.176% - SOFR)
due 11/15/36 §

    198,922       13,781  

2.000% due 10/25/50

    2,077,515       273,559  

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

    11,300,442       1,723,820  

3.000% due 12/15/31

    270,888       12,953  

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

    777,384       57,065  

4.000% due 04/15/43

    46,707       1,537  

Freddie Mac REMICS
3.000% due 09/15/44

    2,357,142       1,950,516  

Freddie Mac REMICS (IO)
2.000% due 03/25/51

    5,094,920       589,366  

Freddie Mac STACR Trust
7.279% (SOFR + 1.964%)
due 02/25/50 § ~

    1,571,410       1,574,735  

Freddie Mac Structured Agency Credit Risk Debt Notes
14.779% (SOFR + 9.464%)
due 04/25/28 §

    2,830,553       3,094,401  

Government National Mortgage Association

   

1.250% due 07/20/50

    1,217,043       909,917  

2.500% due 10/20/51 - 01/20/52

    2,685,854       2,113,075  

2.750% due 03/20/48

    479,602       411,003  

3.000% due 07/20/49

    2,193,900       1,880,891  

4.941% (SOFR + 0.564%)
due 07/20/70 §

    481,617       467,228  
   

Principal
Amount

   

Value

 

5.531% (SOFR + 0.614%)
due 07/20/70 §

    $534,980       $521,075  

5.732% (SOFR + 0.414%)
due 02/20/68 - 07/20/68 §

    1,410,619       1,396,849  

5.832% (SOFR + 0.514%)
due 08/20/70 §

    127,138       125,557  

5.932% (SOFR + 0.614%)
due 03/20/61 §

    511,520       509,534  

6.443% (SOFR + 1.114%)
due 05/20/60 §

    138,621       138,861  

Government National Mortgage Association (IO)

   

0.000%) due 11/20/42 §

    120,085       3,440  

0.655% (5.986% - SOFR)
due 08/16/42 §

    396,041       32,150  

0.705% (6.036% - SOFR)
due 06/16/43 §

    337,927       10,127  

0.755% (6.086% - SOFR)
due 10/16/42 §

    537,993       43,065  

1.041% (6.366% - SOFR)
due 04/20/40 §

    55,961       5,181  

1.111% (6.436% - SOFR)
due 06/20/40 §

    1,091,067       102,644  

1.155% (6.486% - SOFR)
due 04/16/42 §

    1,075,086       114,982  

1.211% (6.536% - SOFR)
due 01/20/40 §

    10,010       52  

2.000% due 12/20/50

    7,231,891       781,625  

2.500% due 08/20/50 - 05/20/51

    23,706,209       3,192,875  

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

    3,053,161       502,001  

4.000% due 04/16/45

    586,333       112,520  

5.000% due 10/20/44

    2,819,434       591,744  

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

    1,744,814       1,491,050  

Impac CMB Trust
5.954% (SOFR + 0.634%)
due 11/25/35 §

    893,632       778,536  

IndyMac INDX Mortgage Loan Trust

   

4.251% due 01/25/36 §

    7,326,358       6,608,041  

5.954% (SOFR + 0.634%)
due 06/25/35 §

    814,828       638,563  

JP Morgan Mortgage Trust

   

3.500% due 09/25/48 § ~

    723,815       622,225  

3.500% due 10/25/48 § ~

    1,530,600       1,312,190  

5.827% due 08/25/35 §

    250,848       233,546  

Legacy Mortgage Asset Trust

   

1.750% due 04/25/61 § ~

    1,836,156       1,704,690  

2.250% due 07/25/67 § ~

    3,443,897       3,194,240  

Lehman Mortgage Trust

   

5.500% (SOFR + 0.864%)
due 12/25/35 §

    2,692,123       1,264,495  

6.000% due 05/25/37

    15,235       14,732  

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

    2,689       1,957  

Merrill Lynch Mortgage Investors Trust
4.415% due 06/25/35 §

    435,508       407,105  

Morgan Stanley Mortgage Loan Trust

   

4.242% due 07/25/34 §

    116,299       111,279  

4.627% due 07/25/35 §

    450,243       372,007  

Morgan Stanley Resecuritization Trust
4.230% (US FED + 0.710%)
due 12/27/46 § ~

    5,055,662       4,358,475  

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

    992,688       874,819  

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

    1,677,082       1,533,514  

PMT Credit Risk Transfer Trust
9.182% (SOFR + 3.864%)
due 05/30/25 § ~

    3,973,812       3,972,952  

PRKCM Trust
2.071% due 11/25/56 § ~

    1,941,783       1,587,611  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

18

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

RAAC Trust
6.000% due 09/25/34

    $8,416       $7,802  

Radnor RE Ltd. (Bermuda)
8.015% (SOFR + 2.700%)
due 12/27/33 § ~

    8,010,000       8,130,375  

Residential Asset Securitization Trust

   

5.934% (SOFR + 0.614%)
due 07/25/36 §

    306,312       223,224  

6.000% due 08/25/36

    681,743       415,955  

Structured Adjustable Rate Mortgage Loan Trust

   

4.169% due 05/25/36 §

    1,089,650       681,212  

4.360% due 08/25/36 §

    2,565,031       1,786,866  

Verus Securitization Trust

   

4.910% due 06/25/67 § ~

    1,589,275       1,539,501  

6.743% due 03/25/68 § ~

    3,802,476       3,780,940  

WaMu Mortgage Pass-Through Certificates Trust

   

3.523% due 10/25/36 §

    382,012       338,309  

4.554% due 07/25/37 §

    1,385,923       1,265,928  

5.626% (US FED + 1.000%)
due 08/25/46 §

    3,290,273       2,990,292  

5.684% due 09/25/33 §

    54,824       50,496  

Washington Mutual Mortgage Pass

   

-Through Certificates Trust

   

5.326% (US FED + 0.700%)
due 01/25/47 §

    3,037,038       2,409,451  

6.000% due 07/25/36

    357,762       241,022  
   

 

 

 
      135,224,418  
   

 

 

 

Fannie Mae - 15.2%

 

due 10/01/52 #

    300,000       238,160  

due 10/01/53 #

    3,400,000       3,415,672  

due 10/01/53 #

    7,600,000       7,500,844  

due 10/01/53 #

    6,400,000       6,185,250  

due 10/01/53 #

    14,700,000       11,184,633  

due 10/01/53 #

    200,000       165,398  

due 10/01/53 #

    500,000       430,039  

due 10/01/53 #

    3,400,000       3,207,953  

1.500% due 01/01/42 - 03/01/51

    4,378,020       3,187,233  

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

    66,590,934       51,873,034  

2.149% due 02/01/32 §

    716,171       571,474  

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

    64,368,092       51,652,355  

2.810% due 04/01/25

    130,000       124,678  

2.930% due 06/01/30

    243,650       214,677  

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

    58,821,961       49,793,868  

3.200% due 02/01/29

    88,613       80,899  

3.250% due 05/01/29

    173,369       157,844  

3.345% due 06/01/32

    300,000       261,087  

3.450% due 03/01/29

    151,231       139,404  

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

    40,046,125       35,150,770  

3.800% due 06/01/30

    2,200,000       2,024,539  

3.850% due 08/01/32

    400,000       355,378  

3.900% due 08/01/32

    500,000       445,992  

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

    25,477,682       23,017,233  

4.060% due 07/01/32

    600,000       542,326  

4.310% due 02/01/30

    800,000       761,174  

4.420% due 04/01/33

    199,254       186,644  

4.490% due 06/01/28

    1,600,000       1,553,002  

4.500% due 04/01/31 - 08/01/58

    18,390,977       17,164,008  

4.680% due 07/01/33

    100,000       95,842  

4.740% due 06/01/30

    400,000       383,869  

4.830% due 09/01/28

    1,600,000       1,576,473  

4.880% due 09/01/28

    400,000       395,006  

5.000% due 01/01/39 - 05/01/53

    8,746,087       8,389,937  

5.340% due 09/01/28

    300,000       302,365  

5.500% due 04/01/37 - 09/01/53

    12,710,422       12,324,118  

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

    6,248,031       6,203,494  

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

    2,885,855       2,934,538  

7.000% due 02/01/39

    367,253       381,992  
   

 

 

 
      304,573,202  
   

 

 

 
   

Principal
Amount

   

Value

 

Freddie Mac - 8.7%

 

1.500% due 11/01/40 - 02/01/51

    $13,323,241       $10,245,572  

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

    47,725,688       37,511,107  

2.105% (UST + 1.285%)
due 03/01/47 §

    601,118       566,343  

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

    58,906,086       47,442,737  

2.871% (RFUCC + 1.619%)
due 11/01/47 §

    1,637,863       1,550,800  

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

    12,202,852       10,295,638  

3.005% (RFUCC + 1.628%)
due 11/01/48 §

    4,543,178       4,215,658  

3.097% (RFUCC + 1.621%)
due 02/01/50 §

    1,682,563       1,586,729  

3.500% due 01/01/38 - 06/01/52

    9,956,925       8,651,067  

4.000% due 10/01/42 - 02/01/53

    21,171,446       19,215,716  

4.500% due 12/01/43 - 12/01/52

    11,916,777       11,138,530  

4.600% due 02/01/30

    700,000       665,422  

5.000% due 12/01/35 - 06/01/53

    6,825,354       6,522,668  

5.500% due 08/01/37 - 07/01/53

    9,676,408       9,390,608  

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

    1,815,234       1,837,155  

6.500% due 09/01/39 - 05/01/53

    4,104,418       4,148,815  

7.000% due 03/01/39

    101,280       107,061  
   

 

 

 
      175,091,626  
   

 

 

 

Government National Mortgage Association - 7.2%

 

due 10/20/53 #

    100,000       79,074  

due 10/20/53 #

    600,000       508,594  

due 10/20/53 #

    10,700,000       10,139,922  

due 10/20/53 #

    7,300,000       7,084,422  

due 10/20/53 #

    7,100,000       7,035,656  

due 10/20/53 #

    400,000       402,281  

2.000% due 02/20/51

    4,438,654       3,522,733  

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

    21,329,724       17,345,270  

3.000% due 09/15/42 - 04/20/53

    42,094,194       35,759,634  

3.500% due 06/20/44 - 02/20/53

    21,541,590       19,025,375  

4.000% due 02/20/33 - 04/20/53

    14,662,917       13,386,654  

4.500% due 01/20/40 - 09/20/52

    15,400,150       14,428,114  

5.000% due 01/15/40 - 03/20/53

    12,546,961       12,034,150  

5.500% due 06/15/36 - 02/20/53

    2,577,977       2,517,803  

5.769% (RFUCC + 0.622%)
due 08/20/60 §

    225,493       224,679  

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

    1,846,721       1,912,387  

6.500% due 10/20/37

    255,670       266,506  
   

 

 

 
      145,673,254  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $970,194,807)

      872,648,143  
   

 

 

 

ASSET-BACKED SECURITIES - 3.1%

 

Automobile Sequential - 0.3%

 

Avis Budget Rental Car Funding AESOP LLC

   

5.780% due 04/20/28 ~

    4,140,000       4,105,732  

6.020% due 02/20/30 ~

    1,780,000       1,774,781  

Ent Auto Receivables Trust
6.260% due 11/15/29 ~

    1,010,000       1,011,027  
   

 

 

 
      6,891,540  
   

 

 

 

Home Equity Other - 0.0%

 

Citigroup Mortgage Loan Trust, Inc.
5.504% (SOFR + 0.184%)
due 05/25/37 §

    141,819       92,072  
   

 

 

 

Manufactured Housing Other - 0.2%

 

Origen Manufactured Housing Contract Trust 6.850% due 10/15/37 §

    2,156,916       1,942,378  

7.134% due 04/15/37 §

    1,452,709       1,332,903  
   

 

 

 
      3,275,281  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

19

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Other Asset-Backed Securities - 2.6%

   

ACRES Commercial Realty Ltd.
6.647% (SOFR + 1.314%)
due 06/15/36 § ~

    $2,202,966       $2,149,494  

Arbor Realty Commercial Real Estate Notes Ltd.
6.797% (SOFR + 1.464%)
due 11/15/36 § ~

    3,107,000       3,075,514  

College Ave Student Loans LLC
3.280% due 12/28/48 ~

    1,241,602       1,141,981  

College Avenue Student Loans LLC
6.834% (SOFR + 1.514%)
due 12/28/48 § ~

    1,484,425       1,479,353  

Credit Suisse European Mortgage Capital Ltd. (Ireland)
8.531% (USD LIBOR + 2.900%)
due 08/09/24 § ~

    3,968,250       3,862,638  

Credit-Based Asset Servicing & Securitization LLC
6.214% (SOFR + 0.894%)
due 07/25/33 §

    533,415       506,821  

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

    2,308,875       1,786,189  

ECMC Group Student Loan Trust
6.779% (SOFR + 1.464%)
due 07/26/66 § ~

    3,458,785       3,454,818  

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

    535,995       491,271  

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

    1,710,082       1,560,445  

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

    1,574,593       1,389,528  

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

    460,720       424,073  

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

    1,827,780       1,345,527  

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

    4,572,965       3,768,323  

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

    4,146,231       4,026,612  

MF1 Ltd. (Cayman)
6.677% (SOFR + 1.350%)
due 02/19/37 § ~

    3,655,000       3,609,605  

National Collegiate Student Loan Trust
5.794% (USD LIBOR + 0.360%)
due 01/26/32 §

    1,200,000       925,473  

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

    2,911,077       2,611,690  

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

    4,211,111       3,737,941  

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

    437,821       401,987  

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

    1,229,156       1,061,816  

Stonepeak ABS
2.301% due 02/28/33 ~

    5,386,805       4,889,878  

Structured Asset Investment Loan Trust
6.434% (SOFR + 1.114%)
due 10/25/33 §

    176,326       178,903  

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

    1,903,643       1,571,790  

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

    2,155,086       1,859,753  
   

Principal
Amount

   

Value

 

United States Small Business Administration

   

2.690% due 07/01/44

    $1,132,865       $953,352  

2.980% due 04/01/39

    622,030       551,121  
   

 

 

 
      52,815,896  
   

 

 

 

Total Asset-Backed Securities
(Cost $67,553,149)

      63,074,789  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 7.0%

   

U.S. Treasury Bonds - 4.9%

   

1.875% due 11/15/51 ‡

    8,375,000       4,670,698  

2.000% due 08/15/51

    10,880,000       6,280,650  

2.375% due 05/15/51 ‡

    16,210,000       10,284,485  

3.000% due 02/15/49

    1,000,000       731,133  

3.250% due 05/15/42

    150,000       119,563  

3.375% due 11/15/48

    10,000       7,846  

3.625% due 08/15/43

    1,020,000       851,361  

3.625% due 02/15/44 ‡

    2,697,000       2,243,409  

3.625% due 02/15/53

    1,070,000       885,174  

3.625% due 05/15/53 ‡

    48,690,000       40,325,210  

3.875% due 05/15/43

    4,350,000       3,782,461  

4.000% due 11/15/52 ‡

    20,540,000       18,209,994  

4.125% due 08/15/53

    3,470,000       3,150,652  

4.375% due 08/15/43

    8,290,000       7,735,606  
   

 

 

 
      99,278,242  
   

 

 

 

U.S. Treasury Inflation Protected Securities - 1.0%

 

 

1.125% due 01/15/33 ^

    21,826,636       19,726,813  

1.500% due 02/15/53 ^

    267,363       221,451  
   

 

 

 
      19,948,264  
   

 

 

 

U.S. Treasury Notes - 1.1%

 

 

3.875% due 08/15/33

    1,040,000       982,800  

4.000% due 07/31/30

    600,000       578,062  

4.125% due 08/31/30

    21,140,000       20,522,316  
   

 

 

 
      22,083,178  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $171,653,484)

      141,309,684  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 6.3%

 

Argentine Republic Government (Argentina)

   

0.750% due 07/09/30

    1,114,820       319,766  

1.000% due 07/09/29

    412,501       115,501  

3.500% due 07/09/41 §

    4,140,000       1,069,305  

Brazilian Government (Brazil)

   

4.625% due 01/13/28

    580,000       558,510  

4.750% due 01/14/50

    3,780,000       2,624,429  

5.000% due 01/27/45

    4,390,000       3,260,739  

5.625% due 01/07/41

    560,000       469,697  

5.625% due 02/21/47

    3,600,000       2,865,219  

Colombia Government (Colombia)

   

3.250% due 04/22/32

    1,810,000       1,304,816  

4.125% due 02/22/42

    1,850,000       1,125,120  

5.625% due 02/26/44

    2,180,000       1,566,446  

Indonesia Government (Indonesia)

   

4.350% due 01/11/48

    770,000       614,198  

4.750% due 07/18/47 ~

    400,000       342,986  

Indonesia Treasury (Indonesia)

   

6.375% due 04/15/32

    IDR 37,919,000,000       2,395,828  

6.500% due 02/15/31

    254,574,000,000       16,174,632  

7.000% due 05/15/27

    70,468,000,000       4,628,683  

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

    $1,290,000       1,098,523  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

20

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Kenya Government (Kenya)

   

6.300% due 01/23/34 ~

    $2,870,000       $1,916,950  

7.250% due 02/28/28 ~

    510,000       411,733  

Mexican Bonos (Mexico)

   

7.750% due 11/23/34

    MXN 346,790,000       16,974,453  

7.750% due 11/13/42

    660,067,500       30,527,293  

8.000% due 11/07/47

    346,070,000       16,349,834  

8.500% due 05/31/29

    55,030,000       2,954,869  

10.000% due 12/05/24

    28,960,000       1,642,617  

Mexico Government (Mexico)

   

4.600% due 02/10/48

    $3,370,000       2,467,391  

5.750% due 10/12/10

    1,450,000       1,156,802  

Nigeria Government (Nigeria)

   

6.500% due 11/28/27 ~

    650,000       543,868  

7.143% due 02/23/30 ~

    750,000       593,421  

Panama Government (Panama)

   

2.252% due 09/29/32

    2,630,000       1,910,061  

4.500% due 04/01/56

    1,230,000       813,234  

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

    790,000       652,570  

Peruvian Government (Peru)

   

2.783% due 01/23/31

    1,600,000       1,314,214  

5.625% due 11/18/50

    950,000       881,347  

Provincia de Buenos Aires (Argentina)
6.375% due 09/01/37 § ~

    4,542,772       1,495,230  

Provincia de Buenos Aires/Government Bonds (Argentina)
6.375% due 09/01/37 § ~

    430,000       141,532  

Russian Federal (Russia)

   

6.900% due 05/23/29 * Y

    RUB 41,030,000       144,562  

7.050% due 01/19/28 * Y

    456,293,000       1,607,664  

7.700% due 03/16/39 * Y

    238,050,000       629,044  

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

    $990,000       659,942  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $155,133,217)

      126,323,029  
   

 

 

 

SHORT-TERM INVESTMENTS - 0.3%

 

 

Repurchase Agreements - 0.3%

 

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $5,121,715; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $5,222,047)

    5,119,603       5,119,603  
   

 

 

 

Total Short-Term Investments
(Cost $5,119,603)

      5,119,603  
   

 

 

 

TOTAL INVESTMENTS - 100.9%
(Cost $2,308,751,625)

      2,028,358,724  
   

 

 

 

DERIVATIVES - 0.5%

 

    9,389,646  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (1.4%)

 

    (28,240,228
   

 

 

 

NET ASSETS - 100.0%

 

    $2,009,508,142  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $2,381,270 or 0.1% of the Fund’s net assets were in default.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

21

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CBOT 5 Year U.S. Treasury Notes

   12/23        2,855            $303,429,258        $300,801,015        ($2,628,243

CBOT U.S. Long Bond

   12/23        2,131            254,954,427        242,467,843        (12,486,584

CBOT Ultra 10 Year U.S. Treasury Notes

   12/23        386            44,270,043        43,063,125        (1,206,918

CME 3 Month USD SOFR

   03/25        937            224,642,344        223,497,925        (1,144,419

CME 3 Month USD SOFR

   06/25        91            21,765,803        21,770,612        4,809  

CME 3 Month USD SOFR

   03/26        1,692            406,672,855        406,270,350        (402,505

CME Australian Dollar Currency

   12/23        159            10,231,445        10,263,450        32,005  

CME British Pound Currency

   12/23        63            4,908,842        4,807,688        (101,154

CME Euro Currency

   12/23        307            41,306,274        40,725,468        (580,806

CME Japanese Yen Currency

   12/23        418            36,064,314        35,412,438        (651,876

CME Mexican Peso Currency

   12/23        1,050            29,650,396        29,778,000        127,604  

CME Ultra Long Term U.S. Treasury Bond

   12/23        1,287            163,058,056        152,750,813        (10,307,243

Eurex 10 Year Euro BUND

   12/23        49            6,838,327        6,664,228        (174,099

Eurex 5 Year Euro BOBL

   12/23        77            9,501,626        9,423,006        (78,620

Eurex French Government Bond

   12/23        118            15,731,862        15,369,879        (361,983

ICE Long Gilt

   12/23        181            20,725,971        20,794,114        68,143  
                

 

 

 
     (29,891,889
                

 

 

 

Short Futures Outstanding

                                  

CBOT 2 Year U.S. Treasury Notes

   12/23        699            141,942,019        141,694,945        247,074  

CBOT 10 Year U.S. Treasury Notes

   12/23        4,530            498,640,709        489,523,125        9,117,584  

CBOT 30 Day Federal Funds

   10/23        89            35,109,452        35,110,527        (1,075

CME 3 Month USD SOFR

   12/23        1,628            385,450,360        385,144,100        306,260  

CME 3 Month USD SOFR

   03/24        2,356            561,655,340        556,899,500        4,755,840  

CME 3 Month USD SOFR

   06/24        1,245            294,610,253        294,520,313        89,940  

CME Canadian Dollar Currency

   12/23        38            2,801,303        2,805,730        (4,427

Eurex 30 Year Euro BUXL

   12/23        72            10,041,924        9,314,289        727,635  

TSE Japanese 10 Year Bond

   12/23        57            55,692,365        55,291,221        401,144  
                

 

 

 
                   15,639,975  
                

 

 

 

Total Futures Contracts

 

     ($14,251,914
                

 

 

 

 

(c)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
         Currency
Sold
         Settlement
Month
       Counterparty               Unrealized
Appreciation
    Unrealized
Depreciation
 
AUD      58,103,161       USD      38,774,900       10/23       BNP           $-       ($1,396,936
AUD      5,780,000       USD      3,794,543       11/23       MSC           -       (74,102
CAD      47,774,567       USD      36,048,123       10/23       BNP           -       (866,158
INR      347,679,333       USD      4,207,156       10/23       MSC           -       (27,338
JPY      3,521,104,936       USD      25,202,523       10/23       MSC           -       (1,576,619
MXN      38,787,000       USD      2,193,835       10/23       BOA           28,499       -  
MXN      128,853,000       USD      7,343,758       10/23       GSC           46,197       -  
MXN      179,229,803       USD      10,428,249       10/23       MSC           -       (157,975
NOK      125,617,894       EUR      10,831,062       10/23       BNP           290,103       -  
USD      3,773,265       AUD      5,750,000       11/23       JPM           72,134       -  
USD      14,395,982       CAD      19,328,344       10/23       BNP           162,276       -  
USD      20,629,107       CNH      148,329,685       10/23       MSC           297,447       -  
USD      31,937,326       EUR      28,925,070       10/23       MSC           1,335,010       -  
USD      25,674,045       GBP      19,951,493       10/23       MSC           1,328,722       -  
USD      24,035,982       IDR      362,847,182,811       10/23       JPM           601,887       -  
USD      12,462,368       MXN      213,467,901       10/23       CIT           219,418       -  
USD      38,511,391       MXN      664,773,770       10/23       GSC           474,707       -  
USD      12,884,382       MXN      220,526,533       10/23       MSC           259,717       -  
ZAR      57,802,295       USD      3,046,475       10/23       JPM           1,933       -  
                       

 

 

   

 

 

 

Total Forward Foreign Currency Contracts

          $5,118,050       ($4,099,128
       

 

 

   

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

22

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(d)

As of September 30, 2023, purchased options outstanding were as follows:

Foreign Currency Options

 

Description    Exercise
Price
     Expiration
Date
     Counterparty    Notional
Amount
     Cost      Value  

Put - MXN versus USD

     MXN 17.13        10/04/23      GSC      $21,033,532        $281,429        $17,879  

Put - AUD versus USD

     $0.67        11/02/23      JPM      10,530,000        125,517        15,163  
              

 

 

    

 

 

 
     $406,946         $33,042   
  

 

 

    

 

 

 

Options on Futures

 

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

Call - CME Euro Currency (10/23)

     $1.10      10/06/23    CME    27      $3,712,500        $20,642        $169  

Call - CME Australian Dollar Currency (10/23)

     64.50      10/06/23    CME    13      838,500        8,093        4,810  

Call - CME Australian Dollar Currency (10/23)

     65.00      10/06/23    CME    26      1,690,000        14,755        4,160  

Call - CME Japanese Yen Currency (10/23)

     69.50      10/06/23    CME    13      1,129,375        8,970        244  

Call - CBOT 5 Year U.S. Treasury Notes (10/23)

     105.25      10/06/23    CME    26      2,736,500        8,475        8,734  

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     105.25      10/27/23    CME    52      5,473,000        30,356        32,094  

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     105.50      10/27/23    CME    13      1,371,500        6,929        6,398  

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     106.00      10/27/23    CME    408      43,248,000        266,807        124,313  

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     106.25      10/27/23    CME    142      15,087,500        90,105        33,281  

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     106.50      10/27/23    CME    52      5,538,000        29,949        9,344  

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     108.25      10/27/23    CME    26      2,814,500        21,576        20,312  

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     108.50      10/27/23    CME    17      1,844,500        14,904        11,422  

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     110.50      10/27/23    CME    17      1,878,500        12,514        2,656  

Call - CBOT U.S. Long Bond (11/23)

     119.00      10/27/23    CME    70      8,330,000        100,059        18,594  

Call - CBOT U.S. Long Bond (11/23)

     120.00      10/27/23    CME    17      2,040,000        26,467        3,188  
                 

 

 

    

 

 

 
                    660,601        279,719  
                 

 

 

    

 

 

 

Put - CME 1 Year Mid-Curve 3 Month SOFR (10/23)

     97.00      10/13/23    CME    793      192,302,500        854,340        3,152,175  

Put - CME 1 Year Mid-Curve 3 Month SOFR (12/23)

     95.88      12/15/23    CME    416      99,710,000        374,399        608,400  

Put - CME 1 Year Mid-Curve 3 Month SOFR (12/23)

     96.00      12/15/23    CME    973      233,520,000        895,443        1,666,262  
                 

 

 

    

 

 

 
     2,124,182        5,426,837  
                 

 

 

    

 

 

 

Total Options on Futures

 

     $2,784,783        $5,706,556  
                 

 

 

    

 

 

 

Total Purchased Options

 

     $3,191,729        $5,739,598  
                 

 

 

    

 

 

 

 

(e)

As of September 30, 2023, premiums received, and value of written options outstanding were as follows:

Foreign Currency Options

 

Description    Exercise
Price
     Expiration
Date
     Counterparty    Notional
Amount
     Premium      Value  

Put - MXN versus USD

     MXN 17.07        10/10/23      BOA        $8,310,000          $61,328        ($12,681
              

 

 

    

 

 

 

Options on Futures

 

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

Call - CBOT U.S. Long Bond (10/23)

     $115.00      10/06/23    CME    18      $2,070,000        $10,969        ($7,594

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     106.75      10/27/23    CME    104      11,102,000        47,758        (13,813

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     107.00      10/27/23    CME    17      1,819,000        6,877        (1,727

Call - CBOT 5 Year U.S. Treasury Notes (11/23)

     107.50      10/27/23    CME    86      9,245,000        45,539        (5,375

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     109.00      10/27/23    CME    26      2,834,000        12,346        (12,187

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     109.50      10/27/23    CME    87      9,526,500        44,709        (28,547

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     111.00      10/27/23    CME    103      11,433,000        83,056        (11,266

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     112.00      10/27/23    CME    17      1,904,000        7,408        (797

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     112.50      10/27/23    CME    86      9,675,000        41,523        (2,687

Call - CBOT 10 Year U.S. Treasury Notes (11/23)

     113.00      10/27/23    CME    104      11,752,000        51,523        (3,250

Call - CBOT U.S. Long Bond (11/23)

     115.00      10/27/23    CME    9      1,035,000        11,375        (11,531

Call - CBOT U.S. Long Bond (11/23)

     116.00      10/27/23    CME    44      5,104,000        41,705        (39,875

Call - CBOT U.S. Long Bond (11/23)

     117.00      10/27/23    CME    86      10,062,000        80,929        (52,406

Call - CBOT U.S. Long Bond (11/23)

     118.00      10/27/23    CME    6      708,000        2,614        (2,437

Call - CBOT 10 Year U.S. Treasury Notes (12/23)

     109.00      11/24/23    CME    26      2,834,000        20,877        (21,938
                 

 

 

    

 

 

 
                    509,208        (215,430
                 

 

 

    

 

 

 

Put - CME 1 Year Mid-Curve 3 Month SOFR (10/23)

     96.25      10/13/23    CME    793      190,815,625        290,785        (1,670,256

Put - CME 1 Year Mid-Curve 3 Month SOFR (10/23)

     96.50      10/13/23    CME    793      191,311,250        429,685        (2,160,925

Put - CBOT 5 Year U.S. Treasury Notes (11/23)

     106.00      10/27/23    CME    35      3,710,000        19,353        (33,086

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

23

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

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

Put - CBOT 10 Year U.S. Treasury Notes (11/23)

     $108.00        10/27/23        CME        87        $9,396,000        $61,021        ($73,406

Put - CBOT 10 Year U.S. Treasury Notes (11/23)

     109.00        10/27/23        CME        17        1,853,000        12,314        (23,906

Put - CBOT U.S. Long Bond (11/23)

     111.00        10/27/23        CME        156        17,316,000        107,464        (134,062

Put - CBOT U.S. Long Bond (11/23)

     116.00        10/27/23        CME        52        6,032,000        60,848        (162,500

Put - CBOT U.S. Long Bond (11/23)

     118.00        10/27/23        CME        52        6,136,000        75,473        (239,688

Put - CME 1 Year Mid-Curve 3 Month SOFR (12/23)

     95.25        12/15/23        CME        832        198,120,000        331,053        (400,400

Put - CME 1 Year Mid-Curve 3 Month SOFR (12/23)

     95.38        12/15/23        CME        1,946        463,999,375        812,326        (1,228,413
                 

 

 

    

 

 

 
     2,200,322        (6,126,642
                 

 

 

    

 

 

 

Total Options on Futures

                    $2,709,530        ($6,342,072
                 

 

 

    

 

 

 

Total Written Options

                    $2,770,858        ($6,354,753
                 

 

 

    

 

 

 

 

(f)

As of September 30, 2023, swap agreements outstanding 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
09/30/23 (2)

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

Apache Corp.

  Q      1.000%        06/20/26        ICE        0.695%        $ 3,337,000       $26,894       ($165,771     $192,665  

Apache Corp.

  Q      1.000%        12/20/26        ICE        0.822%        8,446,000       47,246       (247,245     294,491  
                  

 

 

   

 

 

   

 

 

 
                     $74,140       ($413,016     $487,156  
                  

 

 

   

 

 

   

 

 

 

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.NA.HY.S41

  Q      5.000%        12/20/28      ICE      $ 26,144,600       ($294,132     ($187,143     ($106,989
               

 

 

   

 

 

   

 

 

 

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

 

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

CDX.NA.IG.S41

  Q      1.000%        12/20/28      ICE      $ 310,474,900       $3,885,531       $4,101,672       ($216,141
               

 

 

   

 

 

   

 

 

 

Total Credit Default Swaps

 

    $3,665,539       $3,501,513       $164,026  
               

 

 

   

 

 

   

 

 

 

 

  (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. 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 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.

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

24

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

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)
 
4.000%   1 Day USD SOFR   A/ A    LCH      02/29/28       $108,980,000       ($1,521,153     ($20,067     ($1,501,086
4.180%   1 Day USD SOFR   A/ A    LCH      02/29/28       167,380,000       (1,178,427     128,658       (1,307,085
10.230%   Brazil CETIP Interbank   Z/ Z    CME      01/02/29       BRL 168,630,000       (1,002,180     -       (1,002,180
7.450%   28 Day MXN TIIE   L/ L    CME      07/18/29       MXN 331,270,000       (1,776,191     231,686       (2,007,877
7.440%   28 Day MXN TIIE   L/ L    CME      07/20/29       594,730,000       (3,198,123     303,480       (3,501,603
             

 

 

   

 

 

   

 

 

 
                ($8,676,074     $643,757       ($9,319,831
             

 

 

   

 

 

   

 

 

 

 

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)
 
5.410%   1 Day USD Fed Funds   Z/ Z    CME      01/31/24       $491,299,000       $18,065       $-       $18,065  
2.850%   1 Day USD SOFR   A/ A    CME      02/15/29       27,350,000       2,332,672       76,991       2,255,681  
3.270%   1 Day USD SOFR   A/ A    CME      04/30/29       19,902,000       1,216,675       118,951       1,097,724  
3.850%   1 Day USD SOFR   A/ A    CME      06/30/29       11,482,000       327,332       (3,961     331,293  
0.641%   1 Day JPY TONAR   S/ S    CME      05/09/46       JPY 2,649,800,000       2,896,294       3,543       2,892,751  
1.520%   1 Day USD SOFR   A/ A    CME      02/15/47       $16,888,000       6,953,707       (10,812     6,964,519  
2.600%   1 Day USD SOFR   A/ A    CME      02/15/48       11,792,000       2,925,509       1,338,839       1,586,670  
3.050%   1 Day USD SOFR   A/ A    CME      02/15/48       33,779,000       5,983,666       1,199,231       4,784,435  
3.150%   1 Day USD SOFR   A/ A    CME      05/15/48       29,222,000       4,604,517       (6,459,313     11,063,830  
2.500%   1 Day USD SOFR   A/ A    CME      04/21/52       5,275,000       1,418,967       20,337       1,398,630  
             

 

 

   

 

 

   

 

 

 
                $28,677,404       ($3,716,194     $32,393,598  
             

 

 

   

 

 

   

 

 

 

Total Interest Rate Swaps

      $20,001,330       ($3,072,437     $23,073,767  
             

 

 

   

 

 

   

 

 

 

Total Swap Agreements

      $23,666,869       $429,076       $23,237,793  
             

 

 

   

 

 

   

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

25

PACIFIC SELECT FUND

DIVERSIFIED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(g)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $757,880,514        $-        $757,880,514        $-  
 

Senior Loan Notes

     62,002,962        -        61,948,119        54,843  
 

Mortgage-Backed Securities

     872,648,143        -        872,648,143        -  
 

Asset-Backed Securities

     63,074,789        -        63,074,789        -  
 

U.S. Treasury Obligations

     141,309,684        -        141,309,684        -  
 

Foreign Government Bonds & Notes

     126,323,029        -        126,323,029        -  
 

Short-Term Investments

     5,119,603        -        5,119,603        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     487,156        -        487,156        -  
 

Foreign Currency Contracts

           
 

Futures

     159,609        159,609        -        -  
 

Forward Foreign Currency Contracts

     5,118,050        -        5,118,050        -  
 

Purchased Options

     42,425        -        42,425        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     5,320,084        159,609        5,160,475        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     15,718,429        15,718,429        -        -  
 

Purchased Options

     5,697,173        -        5,697,173        -  
 

Swaps

     32,393,598        -        32,393,598        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     53,809,200        15,718,429        38,090,771        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     59,616,440        15,878,038        43,738,402        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     2,087,975,164        15,878,038        2,072,042,283        54,843  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (323,130      -        (323,130      -  
 

Foreign Currency Contracts

           
 

Futures

     (1,338,263      (1,338,263      -        -  
 

Forward Foreign Currency Contracts

     (4,099,128      -        (4,099,128      -  
 

Written Options

     (12,681      -        (12,681      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     (5,450,072      (1,338,263      (4,111,809      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     (28,791,689      (28,791,689      -        -  
 

Written Options

     (6,342,072      -        (6,342,072      -  
 

Swaps

     (9,319,831      -        (9,319,831      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (44,453,592      (28,791,689      (15,661,903      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (50,226,794      (30,129,952      (20,096,842      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (50,226,794      (30,129,952      (20,096,842      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $2,037,748,370        ($14,251,914      $2,051,945,441        $54,843  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

26

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

EXCHANGE-TRADED FUNDS - 3.2%

 

Invesco Senior Loan ETF

    213,810       $4,487,872  

iShares iBoxx High Yield Corporate Bond

    39,920       2,942,902  

SPDR Bloomberg Short Term High Yield Bond

    62,000       1,516,520  
   

 

 

 
      8,947,294  
   

 

 

 

Total Exchange-Traded Funds
(Cost $9,029,627)

      8,947,294  
   

 

 

 
   

Principal

Amount

       

CORPORATE BONDS & NOTES - 4.1%

   

Consumer, Non-Cyclical - 1.6%

   

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

    $2,000,000       1,897,820  

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

    3,000,000       2,494,776  

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

    125,000       95,022  
   

 

 

 
      4,487,618  
   

 

 

 

Financial - 2.3%

   

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

    2,000,000       1,944,800  

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

    4,550,000       4,506,837  
   

 

 

 
      6,451,637  
   

 

 

 

Technology - 0.2%

   

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

    500,000       485,206  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $11,965,822)

      11,424,461  
   

 

 

 

SENIOR LOAN NOTES - 91.3%

   

Basic Materials - 0.4%

   

Lonza Group AG Term B
9.415% (SOFR + 3.925%)
due 07/03/28 §

    609,285       542,264  

Nouryon Finance BV Term B
9.427% (SOFR + 4.000%)
due 04/03/28 §

    498,750       494,885  
   

 

 

 
      1,037,149  
   

 

 

 

Communications - 3.4%

   

CNT Holdings I Corp.

   

(2nd Lien)
12.050% (SOFR + 6.750%)
due 11/06/28 §

    1,620,000       1,624,050  

Term B
8.800% (SOFR + 3.500%)
due 11/08/27 §

    1,496,164       1,494,026  

MH Sub I LLC
9.181% (SOFR + 3.750%)
due 09/13/24 §

    2,977,124       2,982,087  

SBA Senior Finance II LLC Term B
7.170% (SOFR + 1.750%)
due 04/11/25 §

    2,400,155       2,402,488  
   

Principal

Amount

   

Value

 

Virgin Media Bristol LLC Term Y
8.311% (SOFR + 3.250%)
due 03/31/31 §

    $500,000       $489,166  

Xplornet Communications, Inc. (2nd Lien) (Canada)
12.505% (SOFR + 7.000%)
due 10/01/29 §

    500,000       251,250  
   

 

 

 
      9,243,067  
   

 

 

 

Consumer, Cyclical - 9.7%

   

Aramark Services, Inc. Term B6
7.931% (SOFR + 2.500%)
due 06/22/30 §

    249,375       249,271  

BCPE Empire Holdings, Inc.
10.066% (SOFR + 4.750%)
due 12/11/28 §

    3,251,452       3,255,262  

Caesars Entertainment Corp. Term B
8.666% (SOFR + 3.250%)
due 02/06/30 §

    2,487,500       2,489,226  

Carnival Corp. Term B

   

8.327% (SOFR + 3.000%)
due 08/08/27 §

    2,992,500       2,991,252  

8.681% (SOFR + 3.250%)
due 10/18/28 §

    1,826,061       1,819,783  

ClubCorp Holdings, Inc. Term B
8.181% (USD LIBOR + 2.750%)
due 09/18/24 §

    4,437,234       4,378,073  

Fertitta Entertainment LLC Term B
9.316% (SOFR + 4.000%)
due 01/27/29 §

    1,450,636       1,438,767  

K-Mac Holdings Corp. (2nd Lien)
12.166% (SOFR + 6.750%)
due 07/30/29 §

    500,000       478,125  

New Red Finance, Inc. Term B5 (Canada)
7.566% (SOFR + 2.250%)
due 09/23/30 §

    250,000       249,557  

SeaWorld Parks & Entertainment, Inc. Term B
8.431% (SOFR + 3.000%)
due 08/25/28 §

    1,984,810       1,983,157  

Springs Windows Fashions LLC Term B
9.431% (SOFR + 4.000%)
due 10/06/28 §

    1,816,456       1,548,529  

SRS Distribution, Inc. Term B
8.931% (SOFR + 3.500%)
due 06/02/28 §

    3,851,345       3,820,053  

Tacala LLC Term B
9.431% (SOFR + 3.500%)
due 02/05/27 §

    872,692       870,442  

Whatabrands LLC Term B
8.431% (SOFR + 3.000%)
due 08/03/28 §

    1,296,701       1,293,639  
   

 

 

 
      26,865,136  
   

 

 

 

Consumer, Non-Cyclical - 23.3%

   

8th Avenue Food & Provisions, Inc. Term B
9.181% (SOFR + 3.750%)
due 10/01/25 §

    1,870,092       1,793,730  

Allied Universal Holdco LLC Term B
10.066% (SOFR + 4.750%)
due 05/12/28 §

    3,375,000       3,328,594  

Bausch & Lomb Corp.
due 09/14/28 ±

    500,000       494,375  

Bausch & Lomb Corp. Term B
8.755% (SOFR + 3.250%)
due 05/10/27 §

    1,830,115       1,780,114  

CoreLogic, Inc. (2nd Lien)
11.931% (SOFR + 6.500%)
due 06/04/29 §

    1,100,000       923,312  

Term B
8.931% (SOFR + 3.500%)
due 06/02/28 §

    997,455       924,101  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

27

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Curium Bidco SARL Term B (Luxembourg)
9.890% (SOFR + 4.500%)
due 07/31/29 § ±

    $1,745,626       $1,745,626  

EyeCare Partners LLC
9.916% (SOFR + 4.500%)
due 11/15/28 §

    498,744       372,811  

Gainwell Acquisition Corp.

 

(2nd Lien)
13.369% (SOFR + 8.000%)
due 10/02/28 §

    1,125,000       1,108,125  

Term B
9.490% (SOFR + 4.000%)
due 10/01/27 §

    2,196,792       2,147,365  

GTCR W Merger Sub LLC Term B
due 09/20/30

    5,000,000       5,001,960  

Heartland Dental LLC Term B
10.331% (SOFR + 5.000%)
due 04/28/28 §

    2,003,944       1,985,157  

Mavis Tire Express Services Corp. Term B
9.431% (SOFR + 4.000%)
due 05/04/28 §

    2,504,103       2,503,058  

Medline Borrower LP Term B
8.681% (SOFR + 3.250%)
due 10/23/28 §

    1,994,937       1,992,443  

Midwest Veterinary Partners LLC
9.431% (SOFR + 4.000%)
due 04/27/28 §

    1,987,702       1,972,795  

Naked Juice LLC
8.740% (SOFR + 3.250%)
due 01/24/29 §

    1,619,331       1,545,044  

Pathway Vet Alliance LLC Term B
9.181% (SOFR + 3.750%)
due 03/31/27 §

    4,929,018       4,617,436  

Pearl Intermediate Parent LLC

 

(2nd Lien)
11.661% (SOFR + 6.250%)
due 02/13/26 §

    2,950,000       2,918,656  

Term B
8.666% (SOFR + 3.250%)
due 02/14/25 §

    1,345,959       1,342,174  

8.166% (SOFR + 2.750%)
due 02/14/25 §

    3,606,908       3,596,766  

PECF USS Intermediate Holding III Corp. Term B
9.881% (SOFR + 4.250%)
due 12/15/28 §

    1,078,506       868,927  

PetVet Care Centers LLC Term B3
8.916% (SOFR + 3.500%)
due 02/14/25 §

    3,975,035       3,960,542  

Southern Veterinary Partners LLC
9.431% (SOFR + 4.000%)
due 10/05/27 §

    4,032,600       4,013,066  

Spin Holdco, Inc. Term B
9.664% (SOFR + 4.000%)
due 03/04/28 §

    1,906,446       1,654,139  

Star Parent, Inc. Term B
9.315% (SOFR + 4.000%)
due 12/28/23 §

    1,375,000       1,346,179  

Sunshine Luxembourg VII SARL Term B (Luxembourg)
9.240% (SOFR + 3.750%)
due 10/01/26 §

    7,181,966       7,180,968  

Wand NewCo 3, Inc. Term B1
8.166% (SOFR + 2.750%)
due 02/05/26 §

    3,360,135       3,358,875  
   

 

 

 
      64,476,338  
   

 

 

 
   

Principal

Amount

   

Value

 

Energy - 0.5%

   

Traverse Midstream Partners LLC Term B
9.216% (SOFR + 3.750%)
due 02/16/28 §

    $1,375,000       $1,375,574  
   

 

 

 

Financial - 11.7%

   

Acrisure LLC

 

Term B

 

8.931% (USD LIBOR + 3.500%)
due 02/15/27 §

    249,354       246,354  

9.681% (USD LIBOR + 4.250%)
due 02/15/27 §

    6,019,017       6,015,255  

Apex Group Treasury LLC Term B
9.379% (SOFR + 3.750%)
due 07/27/28 §

    3,720,889       3,691,431  

AssuredPartners, Inc. Term B
8.931% (SOFR + 3.500%)
due 02/12/27 §

    3,335,159       3,331,952  

Broadstreet Partners, Inc. Term B3
9.316% (SOFR + 4.000%)
due 01/27/29 §

    1,496,250       1,497,987  

Cushman & Wakefield U.S. Borrower LLC Term B
8.181% (SOFR + 2.750%)
due 08/21/25 §

    138,755       138,820  

Deerfield Dakota Holding LLC (2nd Lien)
12.402% (SOFR + 6.750%)
due 04/07/28 §

    5,565,000       5,277,473  

GIP Pilot Acquisition Partners LP
8.319% (SOFR + 3.000%)
due 01/04/24 § ±

    500,000       499,375  

Howden Group Holdings Ltd. Term B
(United Kingdom)
9.316% (SOFR + 4.000%)
due 04/18/30 §

    2,238,750       2,239,684  

HUB International Ltd. Term B
9.584% (SOFR + 4.250%)
due 06/20/30 §

    7,000,000       7,029,848  

NFP Corp. Term B
8.681% (SOFR + 3.250%)
due 02/16/27 §

    997,416       986,715  

USI, Inc. Term B
due 12/26/23

    1,500,000       1,500,208  
   

 

 

 
      32,455,102  
   

 

 

 

Industrial - 24.9%

   

ASP Blade Holdings, Inc. Term B
9.652% (SOFR + 4.000%)
due 10/13/28 §

    623,508       552,584  

Brown Group Holding LLC Term B2
9.172% (SOFR + 3.750%)
due 07/02/29 §

    1,278,892       1,279,492  

Chamberlain Group, Inc. Term B
8.661% (SOFR + 3.250%)
due 11/03/28 §

    2,489,867       2,457,446  

Charter NEX U.S., Inc. Term B
9.181% (SOFR + 3.750%)
due 12/01/27 §

    2,334,694       2,316,142  

Crosby U.S. Acquisition Corp.

   

10.323% (SOFR + 5.000%)
due 06/27/26 §

    746,873       747,106  

Term B

   

10.173% (SOFR + 4.75%)
due 06/26/26 §

    2,982,159       2,984,023  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

28

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Dynasty Acquisition Co., Inc.

 

Term B1

 

9.316% (SOFR + 4.000%)
due 08/24/28 §

    $4,364,063       $4,362,448  

Term B2

 

9.316% (SOFR + 4.000%)
due 08/24/28 §

    1,870,313       1,869,620  

Emrld Borrower LP Term B
8.316% (SOFR + 3.000%)
due 05/31/30 §

    2,087,156       2,086,830  

Filtration Group Corp.
9.681% (SOFR + 4.250%)
due 10/21/28 §

    2,790,916       2,795,275  

Flynn Canada Term B (Canada)
9.931% (SOFR + 4.500%)
due 07/31/28 § ±

    625,171       593,912  

Icebox Holdco III, Inc. Term B
9.402% (SOFR + 3.750%)
due 12/22/28 §

    994,943       991,419  

Kenan Advantage Group, Inc. Term B2
9.727% (SOFR + 4.000%)
due 03/24/26 § ±

    997,500       996,877  

KKR Apple Bidco LLC Term B
9.316% (SOFR + 4.000%)
due 09/22/28 §

    3,981,825       3,983,816  

LABL, Inc.
10.416% (SOFR + 5.000%)
due 10/29/28 §

    2,893,309       2,890,514  

LaserShip, Inc.
10.396% (SOFR + 4.500%)
due 05/07/28 §

    1,814,720       1,695,251  

LTI Holdings, Inc.
8.931% (SOFR + 3.500%)
due 09/06/25 §

    1,777,026       1,735,191  

Pregis TopCo Corp. Term B
9.066% (SOFR + 3.750%)
due 07/31/26 §

    1,371,438       1,371,545  

Pretium PKG Holdings, Inc.

 

(2nd Lien)

   

12.280% (SOFR + 6.750%)
due 10/01/29 §

    1,250,000       402,084  

9.530% (SOFR + 4.000%)
due 10/02/28 §

    1,583,545       978,631  

Pro Mach Group, Inc. Term B
9.431% (SOFR + 4.000%)
due 08/31/28 §

    2,426,848       2,432,915  

Proampac PG Borrower LLC Term B
9.391% (SOFR + 3.750%)
due 11/03/25 §

    3,942,883       3,927,277  

Roper Industrial Products Investment Co. LLC
9.890% (SOFR + 4.500%)
due 11/22/29 §

    3,481,877       3,493,381  

SPX FLOW, Inc. Term B
9.916% (SOFR + 4.500%)
due 04/05/29 §

    2,919,091       2,917,950  

Star U.S. Bidco LLC Term B
9.666% (SOFR + 4.250%)
due 03/17/27 §

    2,662,406       2,660,742  

Titan Acquisition Ltd. Term B (Canada)
8.652% (USD LIBOR + 3.000%)
due 03/28/25 §

    5,843,443       5,800,108  

TransDigm, Inc.

 

Term H

 

8.640% (SOFR + 3.250%)
due 02/22/27 §

    7,205,602       7,221,909  

Term I

   

8.640% (SOFR + 3.250%)
due 08/24/28 §

    2,985,000       2,989,018  

USIC Holdings, Inc. (2nd Lien)
11.931% (SOFR + 6.500%)
due 05/14/29 §

    525,000       492,844  
   

 

 

 
      69,026,350  
   

 

 

 
   

Principal

Amount

   

Value

 

Technology - 16.7%

   

Applied Systems, Inc.

 

(2nd Lien)

   

12.140% (SOFR + 6.750%)
due 09/17/27 §

    $3,003,223       $3,025,747  

9.890% (SOFR + 4.500%)
due 09/18/26 §

    2,851,744       2,863,328  

Central Parent, Inc. Term B
9.640% (SOFR + 4.250%)
due 07/06/29 §

    2,973,763       2,977,789  

Dun & Bradstreet Corp. Term B
8.167% (SOFR + 2.750%)
due 02/06/26 §

    5,719,763       5,718,333  

Epicor Software Corp.

 

(2nd Lien)

   

13.166% (SOFR + 7.750%)
due 07/31/28 §

    5,502,673       5,537,637  

Term C

   

8.683% (SOFR + 3.250%)
due 07/30/27 §

    498,715       498,834  

due 07/30/27 §

    500,000       501,250  

MKS Instruments, Inc. Term B
due 08/17/29

    1,000,000       1,001,160  

Peraton Corp.

 

(2nd Lien)

   

13.233% (SOFR + 7.750%)
due 02/01/29 §

    1,982,352       1,945,182  

Term B

   

9.166% (SOFR + 3.750%)
due 02/01/28 §

    688,872       687,939  

Polaris Newco LLC Term B
9.431% (SOFR + 4.000%)
due 06/02/28 §

    2,848,543       2,734,601  

RealPage, Inc. (2nd Lien)
11.931% (SOFR + 6.500%)
due 04/23/29 §

    5,825,549       5,856,494  

Sophia LP (2nd Lien)
13.416% (SOFR + 8.000%)
due 10/09/28 §

    4,750,000       4,779,688  

Ultimate Software Group, Inc.

 

(2nd Lien)

   

10.618% (SOFR + 5.250%)
due 05/03/27 §

    1,750,000       1,750,625  

Term B

   

9.219% (SOFR + 3.750%)
due 05/04/26 §

    994,819       995,297  

8.618% (SOFR + 3.250%)
due 05/04/26 §

    2,055,305       2,053,203  

10.022% (SOFR + 4.500%)
due 05/04/26 §

    3,241,875       3,256,464  
   

 

 

 
      46,183,571  
   

 

 

 

Utilities - 0.7%

   

Pacific Gas & Electric Co. Term B
8.431% (SOFR + 3.000%)
due 06/23/25 §

    1,989,717       1,993,981  
   

 

 

 

Total Senior Loan Notes
(Cost $251,900,670)

      252,656,268  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

29

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

SHORT-TERM INVESTMENTS - 7.9%

   

Repurchase Agreements - 7.9%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $21,828,565; collateralized by U.S. Treasury Notes: 1.375% - 3.625% due 11/15/31 - 05/15/26 and value $22,256,049)

    $21,819,564       $21,819,564  
   

 

 

 

Total Short-Term Investments
(Cost $21,819,564)

      21,819,564  
   

 

 

 

TOTAL INVESTMENTS - 106.5%
(Cost $294,715,683)

 

    294,847,587  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (6.5%)

 

    (17,991,299
   

 

 

 

NET ASSETS - 100.0%

 

    $276,856,288  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
       Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Exchange-Traded Funds

     $8,947,294          $8,947,294        $-        $-  
 

Corporate Bonds & Notes

     11,424,461          -        11,424,461        -  
 

Senior Loan Notes

     252,656,268          -        248,326,104        4,330,164  
 

Short-Term Investments

     21,819,564          -        21,819,564        -  
    

 

 

      

 

 

    

 

 

    

 

 

 
 

Total

     $294,847,587          $8,947,294        $281,570,129        $4,330,164  
    

 

 

      

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

30

PACIFIC SELECT FUND

FLOATING RATE INCOME PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

As of September 30, 2023, the reconciliation of investments for significant unobservable inputs (Level 3) used in valuing the Fund’s assets and liabilities was as follows:

 

    

Senior Loan

Notes

 

Value, Beginning of Period

    $33,014,103  

Purchases

    6,714,456  

Sales (Includes Paydowns)

    (33,066,790

Accrued Discounts (Premiums)

    49,899  

Net Realized Gains (Losses)

    (746,296

Change in Net Unrealized Appreciation (Depreciation)

    1,708,754  

Transfers In

    -  

Transfers Out

    (3,343,962
 

 

 

 

Value, End of Period

    $4,330,164  
 

 

 

 

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

    $137,671  
 

 

 

 
 

 

The table below shows transfers to/from Level 3:

 

Amount          Level Transfer         

Change in Fair Valuation Measurement Inputs

Transferred      From      To      From    To

 

 

  $3,343,962        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 $4,330,164 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 309

 

31

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 0.0%

 

Industrial - 0.0%

 

TNT Crane & Rigging, Inc. *

    11,518       $77,746  
   

 

 

 

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

      77,746  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.4%

 

iShares iBoxx High Yield Corporate Bond

    44,785       3,301,550  

SPDR Bloomberg High Yield Bond

    50,435       4,559,324  
   

 

 

 
      7,860,874  
   

 

 

 

Total Exchange-Traded Funds
(Cost $7,991,613)

 

    7,860,874  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 86.3%

 

Basic Materials - 4.3%

 

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

    $4,175,000       3,247,053  

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

    3,200,000       2,918,338  

Northern Star Resources Ltd. (Australia)
6.125% due 04/11/33 ~

    1,675,000       1,566,082  

Novelis Corp.
3.875% due 08/15/31 ~

    3,225,000       2,579,724  

4.750% due 01/30/30 ~

    3,033,000       2,628,973  

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

    2,500,000       2,450,000  

SNF Group SACA (France)
3.375% due 03/15/30 ~

    3,650,000       2,949,721  

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

    4,500,000       3,799,233  

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

    2,625,000       2,173,787  
   

 

 

 
      24,312,911  
   

 

 

 

Communications - 10.2%

 

Altice France Holding SA (Luxembourg)
10.500% due 05/15/27 ~

    1,300,000       812,586  

Altice France SA (France)
8.125% due 02/01/27 ~

    1,300,000       1,154,493  

CCO Holdings LLC/CCO Holdings Capital Corp.

   

4.250% due 02/01/31 ~

    2,700,000       2,151,936  

4.250% due 01/15/34 ~

    1,000,000       737,328  

4.750% due 03/01/30 ~

    7,900,000       6,641,501  

5.375% due 06/01/29 ~

    5,700,000       5,119,958  

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

    3,950,000       3,346,855  

Clear Channel Outdoor Holdings, Inc.
5.125% due 08/15/27 ~

    3,100,000       2,755,799  

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

    1,775,000       1,692,033  

CommScope, Inc.

   

4.750% due 09/01/29 ~

    725,000       534,223  

6.000% due 03/01/26 ~

    1,350,000       1,261,709  

8.250% due 03/01/27 ~

    2,500,000       1,637,275  

CSC Holdings LLC

   

5.250% due 06/01/24

    2,450,000       2,334,454  

5.375% due 02/01/28 ~

    450,000       366,953  
   

Principal
Amount

   

Value

 

5.750% due 01/15/30 ~

    $1,600,000       $898,825  

6.500% due 02/01/29 ~

    2,400,000       1,991,018  

11.250% due 05/15/28 ~

    1,200,000       1,197,014  

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

    6,625,000       6,684,234  

Frontier Communications Holdings LLC

   

5.000% due 05/01/28 ~

    1,550,000       1,325,355  

5.875% due 10/15/27 ~

    825,000       751,095  

8.625% due 03/15/31 ~

    2,300,000       2,168,850  

Level 3 Financing, Inc.

   

4.625% due 09/15/27 ~

    4,650,000       3,350,916  

10.500% due 05/15/30 ~

    427,000       430,195  

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

    2,800,000       1,847,510  

Outfront Media Capital LLC/Outfront Media Capital Corp.

   

4.250% due 01/15/29 ~

    850,000       675,401  

5.000% due 08/15/27 ~

    3,325,000       2,933,436  

Virgin Media Finance PLC (United Kingdom)
5.000% due 07/15/30 ~

    3,150,000       2,480,165  
   

 

 

 
      57,281,117  
   

 

 

 

Consumer, Cyclical - 19.7%

 

American Airlines Pass-Through Trust Class B

   

3.950% due 01/11/32

    1,334,970       1,162,833  

5.250% due 07/15/25

    2,143,988       2,129,209  

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

    2,220,000       2,066,543  

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

    6,613,000       5,635,407  

Caesars Entertainment, Inc.

   

4.625% due 10/15/29 ~

    6,050,000       5,131,821  

8.125% due 07/01/27 ~

    1,950,000       1,960,778  

Carnival Corp.
7.000% due 08/15/29 ~

    2,600,000       2,566,243  

Cedar Fair LP
5.250% due 07/15/29

    5,550,000       4,830,057  

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

    1,225,000       1,159,870  

Churchill Downs, Inc.
6.750% due 05/01/31 ~

    1,925,000       1,821,531  

Clarios Global LP/Clarios U.S. Finance Co.
6.750% due 05/15/28 ~

    4,125,000       4,031,631  

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

   

4.625% due 01/15/29 ~

    1,700,000       1,442,611  

6.750% due 01/15/30 ~

    4,250,000       3,469,255  

Ford Motor Co.

   

3.250% due 02/12/32

    8,350,000       6,443,222  

4.750% due 01/15/43

    1,750,000       1,279,209  

6.100% due 08/19/32

    1,125,000       1,060,811  

Ford Motor Credit Co. LLC
6.800% due 05/12/28

    700,000       699,768  

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc.

   

4.875% due 07/01/31 ~

    3,875,000       3,162,916  

5.000% due 06/01/29 ~

    1,925,000       1,672,124  

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

    3,450,000       3,065,480  

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

    4,950,000       4,230,684  

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

    4,600,000       3,674,592  

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

    7,968,000       6,566,296  

Marriott Ownership Resorts, Inc.

   

4.500% due 06/15/29 ~

    1,650,000       1,384,235  

4.750% due 01/15/28

    3,750,000       3,285,994  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

32

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

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

    $3,650,000       $3,111,844  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    1,900,000       1,628,107  

3.875% due 01/15/28 ~

    650,000       583,616  

4.000% due 10/15/30 ~

    6,700,000       5,575,363  

4.375% due 01/15/28 ~

    1,900,000       1,714,376  

Royal Caribbean Cruises Ltd.

   

7.250% due 01/15/30 ~

    2,675,000       2,654,248  

9.250% due 01/15/29 ~

    1,875,000       1,982,216  

11.625% due 08/15/27 ~

    650,000       705,590  

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

    4,650,000       4,090,744  

Six Flags Entertainment Corp.
5.500% due 04/15/27 ~

    4,375,000       4,029,222  

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

    3,100,000       2,874,149  

Viking Cruises Ltd.

   

6.250% due 05/15/25 ~

    895,000       876,845  

7.000% due 02/15/29 ~

    1,225,000       1,128,305  

9.125% due 07/15/31 ~

    2,750,000       2,754,070  

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

    175,000       158,560  

Windsor Holdings III LLC
8.500% due 06/15/30 ~

    2,450,000       2,419,974  
   

 

 

 
      110,220,349  
   

 

 

 

Consumer, Non-Cyclical - 14.6%

 

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

   

3.500% due 03/15/29 ~

    950,000       810,797  

5.875% due 02/15/28 ~

    5,875,000       5,660,936  

Allied Universal Holdco LLC/Allied Universal Finance Corp.
9.750% due 07/15/27 ~

    8,050,000       7,211,827  

Avantor Funding, Inc.

   

3.875% due 11/01/29 ~

    350,000       299,525  

4.625% due 07/15/28 ~

    2,775,000       2,532,920  

Bausch & Lomb Escrow Corp.
8.375% due 10/01/28 ~

    725,000       728,060  

Bausch Health Cos., Inc.

   

4.875% due 06/01/28 ~

    1,125,000       641,668  

11.000% due 09/30/28 ~

    1,937,000       1,319,000  

Charles River Laboratories International, Inc.

   

3.750% due 03/15/29 ~

    575,000       493,569  

4.000% due 03/15/31 ~

    2,800,000       2,372,804  

4.250% due 05/01/28 ~

    2,350,000       2,109,952  

Chobani LLC/Chobani Finance Corp., Inc.
4.625% due 11/15/28 ~

    2,400,000       2,119,284  

CHS/Community Health Systems, Inc.

   

4.750% due 02/15/31 ~

    905,000       641,735  

5.250% due 05/15/30 ~

    300,000       228,446  

5.625% due 03/15/27 ~

    2,150,000       1,846,849  

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

    3,150,000       2,394,567  

Garda World Security Corp. (Canada)
7.750% due 02/15/28 ~

    3,950,000       3,876,362  

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

    3,100,000       2,431,350  

IQVIA, Inc.
6.500% due 05/15/30 ~

    2,325,000       2,278,545  

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

    5,375,000       4,548,930  

MPH Acquisition Holdings LLC

   

5.500% due 09/01/28 ~

    675,000       574,089  

5.750% due 11/01/28 ~

    3,400,000       2,556,681  

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

    3,050,000       2,638,021  

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

    3,350,000       1,822,065  
   

Principal
Amount

   

Value

 

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

    $5,550,000       $4,801,129  

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

    2,800,000       2,339,064  

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

    8,350,000       7,160,540  

Star Parent, Inc.
9.000% due 10/01/30 ~

    2,150,000       2,175,268  

Tenet Healthcare Corp.

   

4.250% due 06/01/29

    1,075,000       926,309  

4.375% due 01/15/30

    2,300,000       1,981,218  

6.125% due 10/01/28

    2,875,000       2,701,580  

6.125% due 06/15/30

    425,000       398,990  

6.750% due 05/15/31 ~

    1,325,000       1,279,579  

U.S. Foods, Inc.

   

4.625% due 06/01/30 ~

    6,550,000       5,698,773  

7.250% due 01/15/32 ~

    250,000       250,060  
   

 

 

 
      81,850,492  
   

 

 

 

Energy - 10.2%

 

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

    6,850,000       6,279,310  

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

    3,200,000       2,881,229  

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

    4,125,000       4,004,764  

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

    5,325,000       4,725,954  

Crestwood Midstream Partners LP/Crestwood Midstream Finance Corp.
7.375% due 02/01/31 ~

    3,500,000       3,568,617  

Diamond Foreign Asset Co./Diamond Finance LLC
8.500% due 10/01/30 ~

    2,725,000       2,728,038  

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

    4,475,000       4,322,665  

EQM Midstream Partners LP

   

5.500% due 07/15/28

    1,075,000       1,010,003  

6.500% due 07/01/27 ~

    1,550,000       1,515,089  

7.500% due 06/01/30 ~

    50,000       50,268  

Genesis Energy LP/Genesis Energy Finance Corp.

   

7.750% due 02/01/28

    3,670,000       3,483,153  

8.875% due 04/15/30

    600,000       586,409  

Range Resources Corp.

   

4.750% due 02/15/30 ~

    2,450,000       2,177,376  

8.250% due 01/15/29

    1,550,000       1,590,347  

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.

   

6.000% due 12/31/30 ~

    1,750,000       1,546,624  

6.000% due 09/01/31 ~

    1,675,000       1,461,817  

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

    3,900,000       3,286,004  

USA Compression Partners LP/USA Compression Finance Corp.
6.875% due 09/01/27

    3,275,000       3,178,315  

Venture Global Calcasieu Pass LLC

   

3.875% due 08/15/29 ~

    675,000       568,730  

3.875% due 11/01/33 ~

    4,515,000       3,510,458  

4.125% due 08/15/31 ~

    675,000       554,601  

6.250% due 01/15/30 ~

    150,000       143,233  

Venture Global LNG, Inc.

   

8.125% due 06/01/28 ~

    1,600,000       1,585,397  

8.375% due 06/01/31 ~

    2,125,000       2,091,089  
   

 

 

 
      56,849,490  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

33

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Financial - 4.5%

 

Avolon Holdings Funding Ltd. (Ireland)

 

2.875% due 02/15/25 ~

    $4,100,000       $3,872,906  

3.250% due 02/15/27 ~

    1,500,000       1,337,178  

GTCR W-2 Merger Sub LLC
due 01/15/31 # ~

    2,160,000       2,165,778  

Howard Hughes Corp.

   

4.375% due 02/01/31 ~

    3,925,000       3,016,354  

5.375% due 08/01/28 ~

    2,375,000       2,095,427  

Iron Mountain, Inc. REIT

   

4.500% due 02/15/31 ~

    450,000       370,619  

4.875% due 09/15/29 ~

    3,050,000       2,676,724  

5.000% due 07/15/28 ~

    625,000       569,238  

5.250% due 03/15/28 ~

    500,000       462,846  

NFP Corp.
8.500% due 10/01/31 ~

    725,000       726,869  

OneMain Finance Corp.
3.875% due 09/15/28

    2,500,000       2,009,394  

Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer REIT
4.875% due 05/15/29 ~

    3,800,000       3,219,189  

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

   

3.750% due 02/15/27 ~

    1,750,000       1,589,522  

4.625% due 12/01/29 ~

    1,375,000       1,221,413  
   

 

 

 
      25,333,457  
   

 

 

 

Industrial - 17.9%

 

ARD Finance SA (Luxembourg)
6.500% Cash or 7.250% PIK due 06/30/27 ~

    510,980       386,322  

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.
5.250% due 08/15/27 ~

    1,000,000       835,820  

BWX Technologies, Inc.

   

4.125% due 06/30/28 ~

    5,150,000       4,558,497  

4.125% due 04/15/29 ~

    3,150,000       2,766,393  

Chart Industries, Inc.

   

7.500% due 01/01/30 ~

    1,775,000       1,786,946  

9.500% due 01/01/31 ~

    3,175,000       3,377,251  

Clydesdale Acquisition Holdings, Inc.

   

6.625% due 04/15/29 ~

    1,125,000       1,047,114  

8.750% due 04/15/30 ~

    775,000       665,833  

Emerald Debt Merger Sub LLC
6.625% due 12/15/30 ~

    2,275,000       2,192,929  

First Student Bidco, Inc./First Transit Parent, Inc.
4.000% due 07/31/29 ~

    4,650,000       3,940,154  

GFL Environmental, Inc. (Canada)

   

3.500% due 09/01/28 ~

    4,950,000       4,265,937  

3.750% due 08/01/25 ~

    1,725,000       1,636,881  

4.000% due 08/01/28 ~

    750,000       656,068  

4.375% due 08/15/29 ~

    2,000,000       1,739,750  

4.750% due 06/15/29 ~

    400,000       356,071  

Husky III Holding Ltd. (Canada)
13.000% Cash or 13.750% PIK due
02/15/25 ~

    5,174,000       5,135,298  

LABL, Inc.
5.875% due 11/01/28 ~

    2,500,000       2,248,985  

6.750% due 07/15/26 ~

    1,300,000       1,261,419  

8.250% due 11/01/29 ~

    1,025,000       838,578  

9.500% due 11/01/28 ~

    150,000       153,937  

10.500% due 07/15/27 ~

    2,650,000       2,494,545  

Madison IAQ LLC

   

4.125% due 06/30/28 ~

    1,350,000       1,166,618  

5.875% due 06/30/29 ~

    1,050,000       846,806  

Mauser Packaging Solutions Holding Co.

   

7.875% due 08/15/26 ~

    1,375,000       1,328,086  

9.250% due 04/15/27 ~

    5,000,000       4,377,374  

OT Merger Corp.
7.875% due 10/15/29 ~

    5,157,000       3,174,052  
   

Principal
Amount

   

Value

 

Owens-Brockway Glass Container, Inc.
7.250% due 05/15/31 ~

    $2,200,000       $2,153,250  

Regal Rexnord Corp.
6.400% due 04/15/33 ~

    4,200,000       4,049,859  

Sealed Air Corp.
6.125% due 02/01/28 ~

    4,850,000       4,702,490  

Sensata Technologies BV
4.000% due 04/15/29 ~

    1,100,000       948,247  

Sensata Technologies, Inc.
4.375% due 02/15/30 ~

    5,650,000       4,884,739  

Spirit AeroSystems, Inc.
9.375% due 11/30/29 ~

    2,725,000       2,776,462  

SPX FLOW, Inc.
8.750% due 04/01/30 ~

    5,125,000       4,744,110  

Standard Industries, Inc.

   

3.375% due 01/15/31 ~

    450,000       348,406  

4.375% due 07/15/30 ~

    1,650,000       1,368,253  

4.750% due 01/15/28 ~

    4,425,000       3,996,877  

TK Elevator Holdco GmbH (Germany)
7.625% due 07/15/28 ~

    3,081,000       2,808,217  

TK Elevator U.S. Newco, Inc. (Germany)
5.250% due 07/15/27 ~

    3,200,000       2,936,523  

TransDigm, Inc.

   

4.625% due 01/15/29

    925,000       808,908  

4.875% due 05/01/29

    2,450,000       2,155,687  

5.500% due 11/15/27

    1,525,000       1,429,451  

6.250% due 03/15/26 ~

    2,875,000       2,827,435  

6.750% due 08/15/28 ~

    2,975,000       2,932,572  

6.875% due 12/15/30 ~

    1,150,000       1,128,977  
   

 

 

 
      100,238,127  
   

 

 

 

Technology - 2.5%

 

Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc.
8.000% due 06/15/29 ~

    2,250,000       2,243,700  

Entegris Escrow Corp.
4.750% due 04/15/29 ~

    4,475,000       4,027,112  

Entegris, Inc.
4.375% due 04/15/28 ~

    1,675,000       1,492,802  

NCR Atleos Escrow Corp.
9.500% due 04/01/29 ~

    1,200,000       1,161,882  

Open Text Corp. (Canada)
3.875% due 12/01/29 ~

    650,000       535,027  

Open Text Holdings, Inc. (Canada)
4.125% due 12/01/31 ~

    4,350,000       3,475,430  

Rackspace Technology Global, Inc.
3.500% due 02/15/28 ~

    2,025,000       948,525  
   

 

 

 
      13,884,478  
   

 

 

 

Utilities - 2.4%

 

Calpine Corp.
5.125% due 03/15/28 ~

    4,950,000       4,413,337  

Vistra Operations Co. LLC

   

4.375% due 05/01/29 ~

    6,450,000       5,550,592  

5.000% due 07/31/27 ~

    3,350,000       3,083,469  

7.750% due 10/15/31 ~

    125,000       123,251  
   

 

 

 
      13,170,649  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $521,971,341)

      483,141,070  
   

 

 

 

SENIOR LOAN NOTES - 1.4%

 

Consumer, Cyclical - 1.4%

 

K-Mac Holdings Corp. (2nd Lien)
12.166% (SOFR + 6.750%)
due 07/30/29 §

    1,750,000       1,673,438  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

34

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SRS Distribution, Inc. Term B
8.931% (SOFR + 3.500%)
due 06/02/28 §

    $3,979,695       $3,947,360  

Tacala LLC (2nd Lien)
13.431% (SOFR + 7.500%)
due 02/04/28 §

    2,250,000       2,176,875  
   

 

 

 
      7,797,673  
   

 

 

 

Technology - 0.0%

 

Ultimate Software Group, Inc. (1st Lien)
8.618% (SOFR + 3.250%)
due 05/04/26 §

    616       615  
   

 

 

 

Total Senior Loan Notes
(Cost $7,880,535)

      7,798,288  
   

 

 

 

ASSET-BACKED SECURITIES - 5.7%

 

Other Asset-Backed Securities - 5.7%

 

AIMCO CLO (Cayman)
12.170% (SOFR + 6.862%)
due 10/17/34 § ~

    500,000       496,707  

AIMCO CLO 10 Ltd. (Cayman)
11.557% (SOFR + 6.212%)
due 07/22/32 § ~

    2,200,000       2,126,666  

Benefit Street Partners CLO V-B Ltd. (Cayman)
11.538% (SOFR + 6.212%)
due 04/20/31 § ~

    1,250,000       1,202,578  

Benefit Street Partners CLO XVI Ltd. (Cayman)
12.270% (SOFR + 6.962%)
due 01/17/32 § ~

    4,000,000       3,844,165  

Burnham Park CLO Ltd. (Cayman)
10.988% (SOFR + 5.662%)
due 10/20/29 § ~

    500,000       460,230  

CarVal CLO III Ltd. (Cayman)
12.028% (SOFR + 6.702%)
due 07/20/32 § ~

    3,975,000       3,736,896  

CIFC Funding Ltd. (Cayman)

   

11.720% (SOFR + 6.412%)
due 01/15/32 § ~

    1,000,000       949,863  

12.970% (SOFR + 7.662%)
due 01/16/33 § ~

    4,550,000       4,548,574  

Clover CLO LLC
12.188% (SOFR + 6.862%)
due 04/20/32 § ~

    500,000       495,251  

Dryden 55 CLO Ltd. (Cayman)

   

10.970% (SOFR + 5.662%)
due 04/15/31 § ~

    1,000,000       907,930  

12.770% (SOFR + 7.462%)
due 04/15/31 § ~

    250,000       176,797  

Eaton Vance CLO Ltd.
11.820% (SOFR + 6.512%)
due 10/15/34 § ~

    500,000       489,156  

Magnetite VIII Ltd. (Cayman)
13.010% (SOFR + 7.702%)
due 04/15/31 § ~

    2,000,000       1,723,485  

Magnetite XXIII Ltd. (Cayman)
11.913% (SOFR + 6.562%)
due 01/25/35 § ~

    500,000       494,971  

Neuberger Berman Loan Advisers CLO 31 Ltd. (Cayman)
12.088% (SOFR + 6.762%)
due 04/20/31 § ~

    2,500,000       2,357,422  
   

Principal
Amount

   

Value

 

Neuberger Berman Loan Advisers CLO 35 Ltd. (Cayman)
12.582% (SOFR + 7.262%)
due 01/19/33 § ~

    $2,100,000       $2,085,139  

OCP CLO Ltd. (Cayman)
11.438% (SOFR + 6.112%)
due 07/20/31 § ~

    1,330,000       1,271,477  

Parallel Ltd. (Cayman)
12.788% (SOFR + 7.462%)
due 10/20/34 § ~

    2,000,000       1,860,759  

Rad CLO 2 Ltd. (Cayman)
13.020% (SOFR + 7.712%)
due 10/15/31 § ~

    1,750,000       1,372,645  

RR 19 Ltd. (Cayman)
12.070% (SOFR + 6.762%)
due 10/15/35 § ~

    625,000       620,296  

Trimaran Cavu Ltd. (Cayman)
12.942% (SOFR + 7.732%)
due 01/18/35 § ~

    750,000       717,173  
   

 

 

 

Total Asset-Backed Securities
(Cost $32,660,163)

      31,938,180  
   

 

 

 

SHORT-TERM INVESTMENTS - 4.1%

 

Repurchase Agreements - 4.1%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $22,783,626; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $23,229,737)

    22,774,231       22,774,231  
   

 

 

 

Total Short-Term Investments
(Cost $22,774,231)

      22,774,231  
   

 

 

 

TOTAL INVESTMENTS - 98.9%
(Cost $597,669,297)

      553,590,389  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.1%

      6,078,262  
   

 

 

 

NET ASSETS - 100.0%

      $559,668,651  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

35

PACIFIC SELECT FUND

HIGH YIELD BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $77,746        $-        $77,746        $-  
 

Exchange-Traded Funds

     7,860,874        7,860,874        -        -  
 

Corporate Bonds & Notes

     483,141,070        -        483,141,070        -  
 

Senior Loan Notes

     7,798,288        -        7,798,288        -  
 

Asset-Backed Securities

     31,938,180        -        31,938,180        -  
 

Short-Term Investments

     22,774,231        -        22,774,231        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $553,590,389        $7,860,874        $545,729,515        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

36

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

    

Principal
Amount

  

Value

 

CORPORATE BONDS & NOTES - 3.1%

     

Financial - 3.1%

     

Avolon Holdings Funding Ltd. (Ireland)
2.528% due 11/18/27 ~

   $6,000      $5,069  

Bank of America Corp.
5.875% due 03/15/28

   410,000      372,449  

Jyske Realkredit AS (Denmark)

 

0.500% due 10/01/43

   DKK 1,772,405      186,877  

1.000% due 10/01/50 ~

   22,726,422      2,263,155  

1.000% due 10/01/53

   5,504,405      501,365  

1.500% due 10/01/53

   3,313,745      333,306  

2.500% due 10/01/47

   681   

 

83

 

Nordea Kredit Realkreditaktieselskab (Denmark)

 

0.500% due 10/01/43

   698,045      73,706  

1.000% due 10/01/50 ~

   5,660,815      564,454  

1.000% due 10/01/50

   8,514,094      792,237  

1.500% due 10/01/53

   5,199,214      501,433  

2.000% due 10/01/53

   999,840      96,100  

2.000% due 10/01/53 ~

   199,872      21,425  

2.500% due 10/01/47

   341      41  

Nykredit Realkredit AS (Denmark)

 

0.500% due 10/01/43 ~

   5,284,154      557,670  

1.000% due 10/01/50 ~

   20,785,295      2,069,607  

1.000% due 10/01/53 ~

   496,221      45,159  

1.500% due 10/01/53 ~

   8,725,340      897,139  

2.500% due 10/01/47 ~

   1,832      223  

Realkredit Danmark AS (Denmark)

 

1.000% due 10/01/50 ~

   4,794,872      477,485  

1.000% due 10/01/53 ~

   7,114,941      656,536  

1.500% due 10/01/53 ~

   496,657      48,406  

2.000% due 10/01/53 ~

   1,593,050      151,741  

2.500% due 04/01/47 ~

   8,426      1,027  

UBS Group AG (Switzerland)

 

0.650% due 01/14/28 ~

   EUR 100,000      92,321  

4.663% (EUR LIBOR + 1.000%)
due 01/16/26 § ~

   100,000      105,699  

7.750% due 03/01/29 ~

   100,000      116,920  

UniCredit SpA (Italy)
7.830% due 12/04/23 ~

   $1,750,000      1,752,203  
     

 

 

 
        12,683,836  
     

 

 

 

Technology - 0.0%

 

VMware, Inc.
3.900% due 08/21/27

   100,000      93,216  
     

 

 

 

Total Corporate Bonds & Notes
(Cost $18,487,743)

     12,777,052  
  

 

 

 

MORTGAGE-BACKED SECURITIES - 13.5%

  

Collateralized Mortgage Obligations - Commercial - 0.5%

  

BAMLL Commercial Mortgage Securities Trust
6.498% (SOFR + 1.164%)
due 09/15/38 § ~

   500,000      474,152  

GS Mortgage Securities Corp. II
8.733% (SOFR + 3.400%)
due 08/15/39 § ~

   1,600,000      1,599,553  
     

 

 

 
        2,073,705  
     

 

 

 
    

Principal
Amount

  

Value

 

Collateralized Mortgage Obligations - Residential - 2.9%

  

Angel Oak Mortgage Trust
1.469% due 06/25/65 § ~

   $204,937    $ 190,188  

Bear Stearns Adjustable Rate Mortgage Trust
5.125% due 01/25/35 §

   59,840      49,431  

Chevy Chase Funding LLC Mortgage-Backed Certificates
5.794% (SOFR + 0.474%)
due 03/25/35 § ~

   164,491      157,074  

Citigroup Mortgage Loan Trust, Inc.

 

4.091% due 05/25/42 § ~

   523,503      479,682  

6.980% (UST + 2.400%)
due 05/25/35 §

   4,792      4,641  

Eurosail-UK PLC (United Kingdom)
6.288% (SONIO + 1.069%)
due 06/13/45 § ~

   GBP 321,164      389,109  

Fannie Mae REMICS

 

4.780% due 05/25/35 §

   $186,160      188,726  

5.462% (SOFR + 0.174%)
due 07/25/37 §

   228,336      221,481  

5.552% (SOFR + 0.264%)
due 08/25/34 §

   13,377      13,033  

5.779% (SOFR + 0.464%)
due 07/25/37 §

   2,128      2,083  

Freddie Mac
5.878% (SOFR + 0.564%)
due 09/15/42 §

   557,586      539,620  

Freddie Mac REMICS

 

4.850% (SOFR + 0.464%)
due 07/15/44 §

   271,785      260,720  

5.778% (SOFR + 0.464%)
due 01/15/47 §

   910,374      872,463  

Government National Mortgage Association REMICS

 

6.214% (SOFR + 0.900%)
due 10/20/72 §

   2,412,587      2,385,930  

6.246% (SOFR + 0.865%)
due 08/20/68 §

   601,319      587,037  

6.414% (SOFR + 1.100%)
due 05/20/73 §

   506,430      508,607  

6.464% (SOFR + 1.465%)
due 04/20/67 §

   525,992      524,038  

Great Hall Mortgages No 1 PLC (United Kingdom)

 

5.468% (SONIO + 0.249%)
due 03/18/39 § ~

   GBP 4,426      5,357  

5.488% (SONIO + 0.269%)
due 06/18/38 § ~

   3,582      4,356  

GSMPS Mortgage Loan Trust
7.000% due 06/25/43 ~

   $120,996      118,579  

GSR Mortgage Loan Trust
4.796% due 01/25/35 §

   63,200      57,793  

HarborView Mortgage Loan Trust
6.119% (SOFR + 0.794%)
due 06/20/35 §

   1,557,231      1,400,894  

Impac CMB Trust
6.434% (SOFR + 1.114%)
due 07/25/33 § W ±

   13,187      12,768  

JP Morgan Mortgage Trust
5.678% due 07/25/35 § W ±

   31,397      29,726  

Mellon Residential Funding Corp. Mortgage
Pass-Through Certificate Trust

 

5.887% (SOFR + 0.554%)
due 12/15/30 §

   49,799      46,654  

6.147% (SOFR + 0.814%)
due 11/15/31 §

   68,853      65,117  

New Residential Mortgage Loan Trust
3.250% due 02/25/59 § ~

   315,713      295,695  

Residential Mortgage Securities 32 PLC (United Kingdom)
6.469% (SONIO + 1.250%)
due 06/20/70 § ~

   GBP 394,271      482,640  

Sequoia Mortgage Trust
6.142% (SOFR + 0.814%)
due 10/19/26 § W ±

   $39,014      36,805  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

37

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

    

Principal
Amount

  

Value

 

Structured Adjustable Rate Mortgage Loan Trust
6.379% due 02/25/34 §

   $ 15,112      $ 14,034  

Structured Asset Mortgage Investments II Trust

  

5.942% (SOFR + 0.614%)
due 07/19/35 §

   164,444      147,049  

6.102% (SOFR + 0.774%)
due 10/19/34 §

   76,782      71,332  

Thornburg Mortgage Securities Trust
6.054% (SOFR + 0.734%)
due 06/25/44 §

   992,528      898,701  

Towd Point Mortgage Funding PLC (United Kingdom)
6.304% (SONIO + 1.144%)
due 10/20/51 § ~

   GBP 601,536      734,918  

WaMu Mortgage Pass-Through Certificates Trust
3.844% due 08/25/35 § W ±

   $17,215      14,983  
     

 

 

 
        11,811,264  
     

 

 

 

Fannie Mae - 10.1%

     

due 10/01/53 #

   3,668,000      3,265,953  

due 10/01/53 #

   5,000,000      5,023,047  

due 11/01/53 #

   12,000,000      10,695,937  

due 11/01/53 #

   7,500,000      6,888,867  

due 11/01/53 #

   3,300,000      3,114,633  

due 11/01/53 #

   9,500,000      9,179,004  

due 11/01/53 #

   3,400,000      3,413,547  

3.175% (RFUCC + 0.675%)

due 02/01/36 §

   28,645      28,062  

3.522% (RFUCC + 1.272%)

due 11/01/35 §

   19,492      19,090  

3.621% (RFUCC + 1.371%)

due 12/01/34 §

   16,564      16,186  

4.030% (RFUCC + 1.780%

due 11/01/35 §

   7,567      7,442  

4.192% (RFUCC + 1.942%)

due 09/01/35 §

   50      50  

4.394% (RFUCC + 1.644%)

due 03/01/35 §

   73,085      71,782  

4.663% (RFUCC + 1.538%)

due 01/01/36 §

   5,929      5,820  

5.000% (US FED + 1.250%)

due 08/01/24 §

   727      720  

5.326% (RFUCC + 2.000%)

due 04/01/35 §

   79,965      78,023  

5.630% (US FED + 1.200%)
due 11/01/42 - 10/01/44 §

   62,333      60,296  

5.850% (RFUCC + 1.725%)

due 05/01/35 §

   565      554  
     

 

 

 
        41,869,013  
     

 

 

 

Freddie Mac - 0.0%

 

4.350% (UST + 2.225%)

due 01/01/34 §

   31,661      31,707  

4.815% (RFUCC + 1.815%)

due 03/01/36 §

   338      330  

5.981% (RFUCC + 1.731%)

due 08/01/35 §

   1,152      1,140  
     

 

 

 
        33,177  
     

 

 

 

Government National Mortgage Association - 0.0%

 

2.625% (UST + 1.500%)

due 07/20/25 §

   1,959      1,930  

2.750% (UST + 1.500%)

due 11/20/26 §

   1,832      1,775  

3.000% (UST + 1.500%)
due 10/20/24 - 12/20/26 §

   1,795      1,751  
    

Principal
Amount

  

Value

 

3.625% (UST + 1.500%)
due 02/20/25 - 01/20/27 §

   $2,945      $2,859  

4.000% (UST + 1.500%)

due 05/20/26 §

   2,147      2,098  
     

 

 

 
        10,413  
     

 

 

 

Total Mortgage-Backed Securities
(Cost $56,886,719)

        55,797,572  
     

 

 

 

ASSET-BACKED SECURITIES - 11.1%

 

Home Equity Other - 0.9%

 

ABFC Trust

     

6.034% (SOFR + 0.714%)
due 10/25/34 §

   6,776      6,823  

6.134% (SOFR + 0.814%)
due 06/25/34 §

   874,842      846,612  

ACE Securities Corp. Home Equity Loan Trust
6.214% (SOFR + 0.894%)
due 04/25/34 §

   593,176      549,030  

Citigroup Mortgage Loan Trust, Inc.
5.724% (SOFR + 0.404%)
due 09/25/36 § ~

   237,727      225,219  

Freddie Mac Structured Pass-Through Certificates
5.559% (USD LIBOR + 0.260%)
due 08/25/31 §

   40,053      40,257  

Home Equity Asset Trust

 

6.289% (SOFR + 0.969%)
due 08/25/34 §

   103,164      100,368  

6.634% (SOFR + 1.314%)
due 07/25/35 §

   899,875      859,406  

Merrill Lynch Mortgage Investors Trust
6.154% (SOFR + 0.834%)
due 10/25/35 §

   622,129      582,106  

Morgan Stanley ABS Capital I, Inc. Trust
6.094% (SOFR + 0.774%)
due 01/25/35 §

   464,749      445,080  

Renaissance Home Equity Loan Trust
6.194% (SOFR + 0.874%)
due 12/25/32 § W ±

   163,417      144,299  
     

 

 

 
        3,799,200  
     

 

 

 

Other Asset-Backed Securities - 10.2%

 

522 Funding CLO Ltd.
6.628% (SOFR + 1.302%)
due 10/20/31 § ~

   1,100,000      1,095,703  

ACAS CLO Ltd. (Cayman)
6.462% (SOFR + 1.152%)
due 10/18/28 § ~

   300,831      299,922  

Apidos CLO XXVI Ltd. (Cayman)
6.472% (SOFR + 1.162%)
due 07/18/29 § ~

   272,838      272,444  

Apidos CLO XXVII Ltd. (Cayman)
6.500% (SOFR + 1.192%)
due 07/17/30 § ~

   279,953      279,238  

Ares European CLO VI DAC (Ireland)
4.273% (EUR LIBOR + 0.610%)
due 04/15/30 § ~

   EUR 491,224      512,173  

Ares European CLO X DAC (Ireland)
4.443% (EUR LIBOR + 0.780%)
due 10/15/31 § ~

   899,608      936,322  

ARES L CLO Ltd. (Cayman)
6.620% (SOFR + 1.312%)
due 01/15/32 § ~

   $810,000      807,835  

ARES LII CLO Ltd. (Cayman)
6.657% (SOFR + 1.312%)
due 04/22/31 § ~

   300,000      298,572  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

38

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

    

Principal
Amount

  

Value

 

Atlas Senior Loan Fund Ltd. (Cayman)
6.720% (SOFR + 1.412%)
due 01/16/30 § ~

   $ 379,967      $ 379,935  

BDS LLC
7.127% (SOFR + 1.800%)
due 03/19/39 § ~

   1,000,000      993,723  

Benefit Street Partners CLO XVII Ltd. (Cayman)
6.650% (SOFR + 1.342%)
due 07/15/32 § ~

   1,800,000      1,794,452  

Black Diamond CLO DAC (Ireland)
4.565% (EUR LIBOR + 0.860%)
due 01/20/32 § ~

   EUR 445,416      467,686  

Carlyle Euro CLO DAC (Ireland)
4.411% (EUR LIBOR + 0.630%)
due 08/15/30 § ~

   452,576      472,617  

Carlyle Global Market Strategies CLO Ltd.

 

6.581% (SOFR + 1.212%)
due 08/14/30 § ~

   $327,454      326,366  

6.687% (SOFR + 1.342%)
due 04/22/32 § ~

   500,000      498,461  

Carlyle Global Market Strategies Euro CLO Ltd. (Ireland)
4.531% (EUR LIBOR + 0.750%)
due 11/15/31 § ~

   EUR 1,699,253      1,765,583  

Catamaran CLO Ltd. (Cayman)
6.707% (SOFR + 1.362%)
due 04/22/30 § ~

   $314,131      313,502  

CBAM Ltd. (Cayman)
6.838% (SOFR + 1.512%)
due 07/20/30 § ~

   522,559      522,972  

CIFC Funding Ltd. (Cayman)

 

6.557% (SOFR + 1.212%)
due 10/24/30 § ~

   374,270      373,858  

6.572% (SOFR + 1.262%)
due 04/18/31 § ~

   500,000      498,998  

Credit-Based Asset Servicing & Securitization LLC
3.586% (SOFR + 1.164%)
due 06/25/35 §

   1,083,000      1,018,674  

Crestline Denali CLO XIV Ltd. (Cayman)
6.747% (SOFR + 1.402%)
due 10/23/31 § ~

   297,050      296,160  

Crestline Denali CLO XV Ltd. (Cayman)
6.618% (SOFR + 1.292%)
due 04/20/30 § ~

   261,629      261,171  

Dryden 52 Euro CLO DAC (Ireland)
4.641% (EUR LIBOR + 0.860%)
due 05/15/34 § ~

   EUR 400,000      415,702  

Dryden 64 CLO Ltd. (Cayman)
6.542% (SOFR + 1.232%)
due 04/18/31 § ~

   $594,183      591,603  

Dryden XXVI Senior Loan Fund (Cayman)
6.470% (SOFR + 1.162%)
due 04/15/29 § ~

   1,302,917      1,298,128  

Gallatin CLO VIII Ltd. (Cayman)
6.660% (SOFR + 1.352%)
due 07/15/31 § ~

   300,000      299,162  

GoldenTree Loan Management U.S. CLO 2 Ltd. (Cayman)
6.498% (SOFR + 1.172%)
due 11/20/30 § ~

   271,711      271,091  

Goldentree Loan Opportunities XI Ltd. (Cayman)
6.642% (SOFR + 1.332%)
due 01/18/31 § ~

   557,468      557,484  

HalseyPoint CLO 3 Ltd. (Cayman)
7.081% (SOFR + 1.712%)
due 11/30/32 § ~

   950,000      950,266  
    

Principal
Amount

  

Value

 

Harvest CLO XXII DAC (Ireland)
4.513% (EUR LIBOR + 0.850%)
due 01/15/32 § ~

   EUR 1,200,000    $ 1,242,843  

KKR CLO 9 Ltd. (Cayman)
6.520% (SOFR + 1.212%)
due 07/15/30 § ~

   $230,698      229,719  

LCM CLO XIII LP (Cayman)
6.452% (SOFR + 1.132%)
due 07/19/27 § ~

   455,731      455,521  

LCM XV LP (Cayman)
6.588% (SOFR + 1.262%)
due 07/20/30 § ~

   954,810      954,796  

LCM XVIII LP (Cayman)
6.608% (SOFR + 1.282%)
due 04/20/31 § ~

   926,193      922,623  

LoanCore Issuer Ltd. (Cayman)
6.863% (SOFR + 1.550%)
due 01/17/37 § ~

   600,000      594,936  

Madison Park Euro Funding IX DAC (Ireland)
4.543% (EUR LIBOR + 0.880%)
due 07/15/35 § ~

   EUR 1,000,000      1,027,659  

Magnetite CLO XVIII Ltd. (Cayman)
6.506% (SOFR + 1.142%)
due 11/15/28 § ~

   $211,635      210,944  

Man GLG Euro CLO II DAC (Ireland)
4.533% (EUR LIBOR + 0.870%)
due 01/15/30 § ~

   EUR 98,848      104,051  

MF1 LLC
7.477% (SOFR + 2.150%)
due 06/19/37 § ~

   $600,000      600,894  

MidOcean Credit CLO II (Cayman)
6.661% (SOFR + 1.292%)
due 01/29/30 § ~

   184,911      185,119  

Midocean Credit CLO VIII (Cayman)
6.691% (SOFR + 1.312%)
due 02/20/31 § ~

   276,812      276,662  

Morgan Stanley ABS Capital I, Inc. Trust
6.409% (SOFR + 1.089%)
due 07/25/34 §

   71,514      69,968  

OAK Hill European Credit Partners VII DAC (Ireland)
4.445% (EUR LIBOR + 0.740%)
due 10/20/31 § ~

   EUR 599,815      624,675  

Oaktree CLO Ltd. (Cayman)
6.717% (SOFR + 1.372%)
due 04/22/30 § ~

   $300,000      297,715  

Octagon Investment Partners Ltd. (Cayman)
6.530% (SOFR + 1.222%)
due 04/16/31 § ~

   600,000      598,558  

OSD CLO Ltd. (Cayman)
6.440% (SOFR + 1.132%)
due 04/17/31 § ~

   1,412,463      1,405,067  

OZLM CLO XXIV Ltd. (Cayman)
6.748% (SOFR + 1.422%)
due 07/20/32 § ~

   200,000      197,332  

OZLM VIII Ltd. (Cayman)
6.550% (SOFR + 1.242%)
due 10/17/29 § ~

   181,241      181,305  

Palmer Square Loan Funding Ltd. (Cayman)

 

6.370% (SOFR + 1.062%)
due 10/15/29 § ~

   575,842      573,263  

6.388% (SOFR + 1.062%)
due 07/20/29 § ~

   493,435      491,465  

Rad CLO 5 Ltd. (Cayman)
6.727% (SOFR + 1.382%)
due 07/24/32 § ~

   500,000      498,647  

Regatta VIII Funding Ltd. (Cayman)
6.820% (SOFR + 1.512%)
due 10/17/30 § ~

   599,413      599,314  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

39

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

    

Principal
Amount

  

Value

 

Romark CLO Ltd. (Cayman)
6.637% (SOFR + 1.292%)
due 10/23/30 § ~

   $458,847    $ 457,244  

Saranac CLO VI Ltd. (Jersey)
6.807% (SOFR + 1.402%)
due 08/13/31 § ~

   300,000      299,191  

Saxon Asset Securities Trust
5.744% (SOFR + 0.424%)
due 09/25/37 §

   125,753      118,430  

Segovia European CLO 6- DAC (Ireland)
4.585% (EUR LIBOR + 0.880%)
due 07/20/32 § ~

   EUR 400,000      416,542  

SLM Student Loan Trust
5.866% (SOFR + 0.812%)
due 10/25/64 § ~

   $582,287      573,495  

Sound Point CLO IX Ltd. (Cayman)
6.798% (SOFR + 1.472%)
due 07/20/32 § ~

   600,000      591,774  

Sound Point CLO XIV Ltd. (Cayman)
6.597% (SOFR + 1.252%)
due 01/23/29 § ~

   895      896  

Sound Point CLO XV Ltd. (Cayman)
6.507% (SOFR + 1.162%)
due 01/23/29 § ~

   89,813      89,783  

Stratus CLO Ltd. (Cayman)
6.538% (SOFR + 1.212%)
due 12/29/29 § ~

   304,296      303,177  

Structured Asset Securities Corp. Mortgage Loan Trust
6.944% (SOFR + 1.614%)
due 04/25/35 §

   134,862      132,394  

TCW CLO Ltd. (Cayman)
6.583% (SOFR + 1.232%)
due 04/25/31 § ~

   473,358      472,262  

THL Credit Wind River CLO Ltd. (Cayman)
6.650% (SOFR + 1.342%)
due 07/15/31 § ~

   300,000      298,283  

TRTX Issuer Ltd. (Cayman)
6.963% (SOFR + 1.650%)
due 02/15/39 § ~

   500,000      488,750  

TSTAT Ltd. (Bermuda)
7.626% (SOFR + 2.300%)
due 07/20/31 § ~

   539,744      540,583  

United States Small Business Administration
5.290% due 12/01/27

   283,743      277,995  

Venture XIV CLO Ltd. (Cayman)
6.680% (SOFR + 1.292%)
due 08/28/29 § ~

   239,153      239,265  

Venture XVII CLO Ltd. (Cayman)
6.450% (SOFR + 1.142%)
due 04/15/27 § ~

   1,018,320      1,017,983  

Venture XXIV CLO Ltd. (Cayman)
6.488% (SOFR + 1.162%)
due 10/20/28 § ~

   231,467      231,220  

Venture XXVIII CLO Ltd. (Cayman)
6.578% (SOFR + 1.252%)
due 07/20/30 § ~

   270,420      268,777  

Vibrant CLO XI Ltd. (Cayman)
6.708% (SOFR + 1.382%)
due 07/20/32 § ~

   300,000      297,986  

Voya CLO Ltd. (Cayman)

 

6.520% (SOFR + 1.212%)
due 04/17/30 § ~

   1,408,945      1,405,739  

6.673% (SOFR + 1.362%)
due 07/14/31 § ~

   495,444      494,883  

Wellfleet CLO Ltd. (Cayman)

 

6.498% (SOFR + 1.172%)
due 04/20/28 § ~

   125,020      124,985  
    

Principal
Amount

  

Value

 

6.670% (SOFR + 1.362%)
due 07/17/31 § ~

   $2,000,000    $ 1,990,845  
     

 

 

 
        42,345,361  
     

 

 

 

Total Asset-Backed Securities
(Cost $46,912,072)

     46,144,561  
  

 

 

 

U.S. TREASURY OBLIGATIONS - 79.8%

 

U.S. Treasury Inflation Protected Securities - 79.8%

 

0.125% due 10/15/24 ^ ‡

   1,191,400      1,155,101  

0.125% due 04/15/25 ^ ‡

   3,988,024      3,804,880  

0.125% due 10/15/25 ^

   19,447,395      18,431,607  

0.125% due 04/15/26 ^

   6,643,749      6,208,265  

0.125% due 07/15/26 ^

   14,442,509      13,502,276  

0.125% due 10/15/26 ^

   17,458,896      16,239,527  

0.125% due 04/15/27 ^

   5,629,572      5,169,352  

0.125% due 01/15/30 ^

   14,192,481      12,378,605  

0.125% due 07/15/30 ^

   11,570,063      10,032,147  

0.125% due 01/15/31 ^

   12,570,360      10,756,229  

0.125% due 07/15/31 ^ ‡

   3,227,558      2,742,216  

0.125% due 02/15/51 ^ ‡

   2,359,881      1,316,365  

0.125% due 02/15/52 ^

   2,964,762      1,631,313  

0.250% due 01/15/25 ^ ‡

   2,710,155      2,607,027  

0.250% due 07/15/29 ^

   12,077,648      10,765,313  

0.250% due 02/15/50 ^

   3,257,696      1,921,319  

0.375% due 07/15/25 ^

   10,003,427      9,578,349  

0.375% due 01/15/27 ^ ‡

   1,062,944      988,992  

0.375% due 07/15/27 ^ ‡

   19,315,406      17,917,092  

0.500% due 01/15/28 ^

   11,872,516      10,946,662  

0.625% due 01/15/24 ^

   2,227,068      2,205,788  

0.625% due 01/15/26 ^

   3,809,149      3,621,884  

0.625% due 07/15/32 ^

   26,103,488      22,762,351  

0.625% due 02/15/43 ^

   8,282,910      6,028,140  

0.750% due 07/15/28 ^

   60,887      56,679  

0.750% due 02/15/42 ^

   8,458,875      6,415,021  

0.750% due 02/15/45 ^

   9,571,419      6,966,951  

0.875% due 01/15/29 ^

   23,012,040      21,361,658  

0.875% due 02/15/47 ^

   6,715,083      4,903,252  

1.000% due 02/15/46 ^

   6,747,014      5,128,934  

1.000% due 02/15/48 ^

   7,809,228      5,817,976  

1.000% due 02/15/49 ^

   5,587,804      4,130,472  

1.125% due 01/15/33 ^ ‡

   102,617      92,745  

1.375% due 02/15/44 ^

   9,329,742      7,810,965  

1.500% due 02/15/53 ^

   2,262,304      1,873,811  

1.625% due 10/15/27 ^ ‡

   12,345,030      11,990,174  

1.750% due 01/15/28 ^ ‡

   2,624,885      2,550,361  

2.000% due 01/15/26 ^

   7,633,272      7,485,093  

2.125% due 02/15/40 ^

   3,210,302      3,114,625  

2.125% due 02/15/41 ^

   2,805,598      2,716,627  

2.375% due 01/15/25 ^

   13,466,086      13,307,025  

2.375% due 01/15/27 ^ ‡

   136,417      135,419  

2.500% due 01/15/29 ^

   7,119,201      7,170,406  

3.625% due 04/15/28 ^

   13,523,073      14,214,663  

3.875% due 04/15/29 ^

   9,976,789      10,746,297  
     

 

 

 
        330,699,954  
     

 

 

 

Total U.S. Treasury Obligations
(Cost $385,096,278)

     330,699,954  
  

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 9.1%

 

Canadian Government (Canada)
4.250% due 12/01/26 ^

   CAD 2,699,715      2,102,130  

French Republic Government OAT (France)

 

0.100% due 03/01/26 ^ ~

   EUR 4,094,405      4,262,268  

0.100% due 07/25/31 ^ ~

   1,171,650      1,179,183  

0.100% due 07/25/38 ^ ~

   2,415,819      2,219,550  

0.250% due 07/25/24 ^ ~

   1,995,056      2,106,636  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

40

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Italy Buoni Poliennali Del Tesoro (Italy)

 

0.400% due 05/15/30 ^ ~

    EUR 2,494,737       $2,351,174  

1.400% due 05/26/25 ^ ~

    12,060,960       12,565,076  

Japanese Government CPI Linked (Japan)

 

0.005% due 03/10/31 ^

    JPY 4,256,960       30,281  

0.100% due 03/10/28 ^

    516,071,010       3,643,301  

0.100% due 03/10/29 ^

    1,061,202,609       7,484,660  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $43,248,628)

 

    37,944,259  
   

 

 

 

SHORT-TERM INVESTMENTS - 6.3%

 

Commercial Paper - 0.4%

 

AT&T, Inc.
5.700% due 03/19/24 ~

    $1,700,000       1,653,289  
   

 

 

 

Repurchase Agreements - 5.9%

 

Deutsche Bank Securities Inc.
5.330% due 10/04/23
(Dated 09/27/23, repurchase price of $22,553,100; collateralized by U.S. Treasury Bond: 0.750% due 07/15/28 and value $22,539,988)

    22,529,750       22,529,750  

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $2,029,270; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $2,069,077)

    2,028,433       2,028,433  
 

 

 

 
      24,558,183  
   

 

 

 

U.S. Treasury Bills - 0.0%

 

5.398% due 10/19/23 ‡

    2,000       1,995  
   

 

 

 

Total Short-Term Investments
(Cost $26,214,420)

 

    26,213,467  
 

 

 

 

TOTAL INVESTMENTS - 122.9%
(Cost $576,845,860)

 

    509,576,865  
 

 

 

 

TOTAL SECURITIES SOLD SHORT - (5.4%)
(Proceeds $22,775,966)

 

    (22,501,706
 

 

 

 

DERIVATIVES - 0.1%

 

    580,339  
 

 

 

 

OTHER ASSETS & LIABILITIES, NET - (17.6%)

 

    (73,110,243
 

 

 

 

NET ASSETS - 100.0%

 

    $414,545,255  
 

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $238,581 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

(b)

As of September 30, 2023, the average amount of borrowings by the Fund on reverse repurchase agreements during the period was $10,260,776 at a weighted average interest rate of 4.8%. As of September 30, 2023, the average amount of borrowings by the Fund on sale-buyback financing transactions during the period was $15,785,919 at a weighted average interest rate of 2.2%.

(c)

As of September 30, 2023, securities sold short outstanding were as follows:

 

Description   Principal
Amount
    Value  

U.S. Treasury Obligations - (5.4%)

 

U.S. Treasury Inflation Protected Securities 0.750% due 07/15/28 ^

    ($24,171,941     ($22,501,706
   

 

 

 

Total Securities Sold Short
(Proceeds $22,775,966)

      ($22,501,706
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

41

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(d)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CBOT 2 Year U.S. Treasury Notes

     12/23          102            $20,693,058        $20,676,516        ($16,542

CBOT 10 Year U.S. Treasury Notes

     12/23          141            15,524,520        15,236,812        (287,708

CME Ultra Long Term U.S. Treasury Bond

     12/23          78            10,014,464        9,257,625        (756,839

Euro-BTP Italian Bond

     12/23          20            2,396,339        2,320,241        (76,098
                

 

 

 
                   (1,137,187
                

 

 

 

Short Futures Outstanding

                                    

CBOT 5 Year U.S. Treasury Notes

     12/23          419            44,423,354        44,145,578        277,776  

CBOT U.S. Long Bond

     12/23          250            29,986,393        28,445,312        1,541,081  

CBOT Ultra 10 Year U.S. Treasury Notes

     12/23          30            3,359,027        3,346,875        12,152  

CME 3 Month USD SOFR

     12/23          271            64,596,237        64,111,825        484,412  

Eurex 2 Year Euro SCHATZ

     12/23          560            62,354,262        62,160,385        193,877  

Eurex 5 Year Euro BOBL

     12/23          61            7,573,592        7,464,979        108,613  

Eurex 10 Year Euro BUND

     12/23          110            15,288,427        14,960,512        327,915  

Eurex 30 Year Euro BUXL

     12/23          22            3,096,748        2,846,033        250,715  

Eurex French Government Bond

     12/23          44            5,890,414        5,731,141        159,273  

EUX Short term Euro-BTP

     12/23          63            6,982,844        6,937,094        45,750  

SFE 3 Year Australian Bond

     12/23          16            1,091,739        1,083,666        8,073  
                

 

 

 
                   3,409,637  
                

 

 

 

Total Futures Contracts

                   $2,272,450  
                

 

 

 

 

(e)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
         Currency
Sold
          Settlement
Month
        Counterparty        Unrealized
Appreciation
    Unrealized
Depreciation
 
CAD      2,707,682       USD      2,002,442        10/23      HSB       $-       ($8,934
DKK      36,736,695       USD      5,202,050        10/23      BOA       5,542       -  
DKK      38,797,935       USD      5,485,448        10/23      JPM       14,334       -  
DKK      1,525,000       USD      217,038        11/23      CIT       -       (527
EUR      31,412,000       USD      33,287,296        10/23      BNP       -       (76,956
EUR      927,000       USD      994,626        10/23      HSB       -       (14,555
EUR      281,000       USD      298,182        11/23      BNP       -       (729
GBP      1,348,000       USD      1,637,550        10/23      TDB       7,144       -  
JPY      82,600,000       USD      570,470        10/23      BNP       -       (17,740
JPY      1,016,126,846       USD      6,834,321        10/23      DUB       -       (34,757
JPY      633,552,025       USD      4,249,149        10/23      TDB       -       (9,642
NZD      308,146       USD      183,524        10/23      BNP       1,164       -  
NZD      308,146       USD      183,723        11/23      BOA       966       -  
USD      69,985       AUD      108,000        10/23      BNP       547       -  
USD      1,989,274       CAD      2,707,702        10/23      BOA       -       (4,249
USD      2,002,442       CAD      2,706,591        11/23      HSB       8,909       -  
USD      5,757,480       DKK      39,388,936        10/23      BNP       173,921       -  
USD      5,291,524       DKK      36,157,301        10/23      BOA       166,064       -  
USD      5,202,050       DKK      36,679,472        11/23      BOA       -       (5,504
USD      5,485,448       DKK      38,737,660        11/23      JPM       -       (14,317
USD      633,250       EUR      583,000        10/23      BNP       16,873       -  
USD      34,334,270       EUR      31,756,000        10/23      HSB       760,236       -  
USD      33,328,101       EUR      31,412,000        11/23      BNP       76,792       -  
USD      1,695,792       GBP      1,348,000        10/23      HSB       51,098       -  
USD      1,637,831       GBP      1,348,000        11/23      TDB       -       (7,168
USD      1,598,034       JPY      232,777,942        10/23      HSB       40,366       -  
USD      758,508       JPY      112,000,000        10/23      MSC       9,043       -  
USD      8,561,361       JPY      1,249,674,030        10/23      TDB       198,981       -  
USD      1,157,239       JPY      168,058,859        10/23      UBS       32,648       -  
USD      6,834,321       JPY      1,011,307,966        11/23      DUB       34,536       -  
USD      4,452,444       JPY      660,687,778        11/23      TDB       10,143       -  
USD      183,717       NZD      308,146        10/23      BOA       -       (971
                       

 

 

   

 

 

 

Total Forward Foreign Currency Contracts

           $1,609,307       ($196,049
                       

 

 

   

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

42

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(f)

As of September 30, 2023, purchased options outstanding 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 - 30 Year Interest Rate Swap

  Receive      3 Month USD LIBOR         2.237%       11/17/23     DUB              $4,100,000           $254,483        $1,415,121   
               

 

 

    

 

 

 

 

(g)

As of September 30, 2023, premiums received and value of written options outstanding 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        ($1

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        (53,215
                 

 

 

    

 

 

 
                    $197,572        ($53,216
                 

 

 

    

 

 

 

Interest Rate Swaptions

 

Description   Pay/Receive
Floating Rate
    Floating Rate
Index
    Exercise
Rate
    Expiration
Date
     Counter-
party
    Notional
Amount
     Premium      Value  

Call - 2 Year Interest Rate Swap

    Receive       6 Month EUR LIBOR       2.900%       08/29/25        GSC       EUR 2,900,000        $37,692        ($26,418

Call - 2 Year Interest Rate Swap

    Receive       6 Month EUR LIBOR       2.800%       09/01/25        GSC       16,700,000        210,240        (138,669
               

 

 

    

 

 

 
                  247,932        (165,087
               

 

 

    

 

 

 

Put - 2 Year Interest Rate Swap

    Pay       SOFR       4.613%       10/27/23        MSC       $29,900,000        161,833        (191,004

Put - 5 Year Interest Rate Swap

    Pay       3 Month USD LIBOR       2.340%       11/17/23        DUB       20,200,000        254,520        (2,022,059

Put - 2 Year Interest Rate Swap

    Pay       6 Month EUR LIBOR       2.900%       08/29/25        GSC       EUR 2,900,000        37,692        (37,433

Put - 2 Year Interest Rate Swap

    Pay       6 Month EUR LIBOR       2.800%       09/01/25        GSC       16,700,000        210,240        (233,558
               

 

 

    

 

 

 
                  664,285        (2,484,054
               

 

 

    

 

 

 

Total Interest Rate Swaptions

                  $912,217        ($2,649,141
               

 

 

    

 

 

 

Total Written Options

                  $1,109,789        ($2,702,357
               

 

 

    

 

 

 

 

(h)

As of September 30, 2023, swap agreements outstanding 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
09/30/23 (2)
     Notional
Amount (3)
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

General Electric Co.

  Q      1.000%        12/20/23      ICE      0.276%        $300,000        $621        $421        $200  
                   

 

 

    

 

 

    

 

 

 

 

  (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)
 
(0.526)%    3 Month EUR LIBOR    A/Q    LCH      11/21/23        EUR 16,000,000        ($256,897      ($80,750      ($176,147
0.550%    6 Month EUR LIBOR    A/S    LCH      08/10/24        200,000        (7,279      (5,318      (1,961
2.420%    U.S. CPI Urban Consumers    Z/Z    LCH      08/24/24        $3,700,000        (8,516      -        (8,516
2.500%    U.S. CPI Urban Consumers    Z/Z    LCH      09/07/24        8,500,000        (8,148      -        (8,148
2.510%    U.S. CPI Urban Consumers    Z/Z    LCH      09/08/24        4,300,000        (3,725      -        (3,725
2.560%    U.S. CPI Urban Consumers    Z/Z    LCH      09/12/24        400,000        (128      -        (128

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

43

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Receive    Pay    Payment
Frequency
Receive Rate/
Pay Rate
   Exchange      Expiration
Date
     Notional
Amount
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 
2.565%    U.S. CPI Urban Consumers    Z/Z      LCH        09/12/24        $3,800,000        ($1,034      $-        ($1,034
0.700%    6 Month EUR LIBOR    A/S      LCH        04/11/27        EUR 700,000        (77,516      (63,019      (14,497
0.650%    6 Month EUR LIBOR    A/S      LCH        04/12/27        1,400,000        (157,652      (128,506      (29,146
0.650%    6 Month EUR LIBOR    A/S      LCH        05/11/27        900,000        (101,442      (84,444      (16,998
1.000%    6 Month EUR LIBOR    A/S      LCH        05/13/27        1,600,000        (158,119      (130,400      (27,719
1.000%    6 Month EUR LIBOR    A/S      LCH        05/18/27        700,000        (69,222      (57,230      (11,992
1.954%    U.S. CPI Urban Consumers    Z/Z      LCH        06/03/29        $2,350,000        (317,079      (305,429      (11,650
1.998%    U.S. CPI Urban Consumers    Z/Z      LCH        07/25/29        7,700,000        (992,011      (954,413      (37,598
1.760%    U.S. CPI Urban Consumers    Z/Z      LCH        11/04/29        3,100,000        (474,694      (462,962      (11,732
1.883%    U.S. CPI Urban Consumers    Z/Z      LCH        11/20/29        700,000        (99,644      (96,657      (2,987
1.380%    Eurostat Eurozone HICP    Z/Z      LCH        03/15/31        EUR 5,300,000        (1,181,597      (1,165,781      (15,816
2.879%    6 Month EUR LIBOR    A/S      LCH        08/15/32        7,600,000        (310,741      1,218        (311,959
3.085%    1 Day USD SOFR    A/A      LCH        02/13/34        $21,200,000        (1,899,073      (342,582      (1,556,491
3.000%    6 Month EUR LIBOR    A/S      LCH        03/20/34        EUR 31,720,000        (986,082      (382,521      (603,561
2.488%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/37        1,620,000        (114,328      (101,271      (13,057
2.421%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/52        240,000        (35,049      (30,243      (4,806
2.590%    Eurostat Eurozone HICP    Z/Z      LCH        12/15/52        900,000        (51,456      (20,415      (31,041
2.700%    Eurostat Eurozone HICP    Z/Z      LCH        04/15/53        900,000        (14,680      6,016        (20,696
2.763%    Eurostat Eurozone HICP    Z/Z      LCH        09/15/53        600,000        338        842        (504
1.800%    1 Day USD SOFR    S/Q      LCH        11/21/53        $1,100,000        (444,317      (289,732      (154,585
                 

 

 

    

 

 

    

 

 

 
                    ($7,770,091      ($4,693,597      ($3,076,494
                 

 

 

    

 

 

    

 

 

 

 

            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)
 
4.250%    1 Day USD SOFR    A/A      CME        12/20/25        $48,500,000        $506,417        $215,876        $290,541  
4.250%    1 Day USD SOFR    A/A      LCH        12/20/25        16,300,000        170,529        (67,185      237,714  
2.314%    U.S. CPI Urban Consumers    Z/Z      LCH        02/26/26        2,100,000        214,514        203,223        11,291  
2.419%    U.S. CPI Urban Consumers    Z/Z      LCH        03/05/26        2,800,000        271,594        255,476        16,118  
2.768%    U.S. CPI Urban Consumers    Z/Z      LCH        05/13/26        1,700,000        129,999        118,816        11,183  
2.813%    U.S. CPI Urban Consumers    Z/Z      LCH        05/14/26        1,000,000        74,128        67,532        6,596  
2.703%    U.S. CPI Urban Consumers    Z/Z      LCH        05/25/26        1,210,000        95,060        86,786        8,274  
2.965%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        EUR 800,000        30,775        30,996        (221
3.000%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        1,300,000        47,602        47,984        (382
3.130%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/27        300,000        8,915        9,023        (108
1.798%    U.S. CPI Urban Consumers    Z/Z      LCH        08/25/27        $900,000        132,823        129,014        3,809  
1.890%    U.S. CPI Urban Consumers    Z/Z      LCH        08/27/27        1,000,000        141,224        136,951        4,273  
0.300%    1 Day JPY TONAR    S/S      LCH        09/20/27        JPY 377,560,000        22,696        (3,917      26,613  
2.573%    U.S. CPI Urban Consumers    Z/Z      LCH        08/26/28        $400,000        26,139        23,914        2,225  
2.645%    U.S. CPI Urban Consumers    Z/Z      LCH        09/10/28        500,000        28,955        26,276        2,679  
0.550%    1 Day JPY TONAR    A/A      LCH        09/14/28        JPY 690,000,000        2,792        (7,921      10,713  
1.840%    1 Day USD SOFR    S/Q      LCH        11/21/28        $5,500,000        671,162        441,159        230,003  
2.311%    U.S. CPI Urban Consumers    Z/Z      LCH        02/24/31        5,100,000        561,883        535,506        26,377  
0.500%    1 Day JPY TONAR    A/A      LCH        12/15/31        JPY 1,174,000,000        186,314        22,524        163,790  
2.600%    Eurostat Eurozone HICP    Z/Z      LCH        05/15/32        EUR 1,500,000        78,510        71,769        6,741  
2.720%    Eurostat Eurozone HICP    Z/Z      LCH        06/15/32        1,400,000        33,957        27,531        6,426  
2.470%    Eurostat Eurozone HICP    Z/Z      LCH        07/15/32        800,000        39,402        35,407        3,995  
0.850%    1 Day JPY TONAR    A/A      LCH        09/20/33        JPY 70,000,000        5,530        300        5,230  
0.190%    6 Month EUR LIBOR    A/S      LCH        11/04/52        EUR 1,500,000        877,919        748,653        129,266  
0.195%    6 Month EUR LIBOR    A/S      LCH        11/04/52        1,550,000        905,596        771,980        133,616  
0.197%    6 Month EUR LIBOR    A/S      LCH        11/08/52        2,800,000        1,634,226        1,393,736        240,490  
2.865%    1 Day USD SOFR    A/A      LCH        02/13/54        $9,400,000        1,744,369        240,548        1,503,821  
2.750%    6 Month EUR LIBOR    A/S      LCH        03/20/54        EUR 7,890,000        481,818        96,604        385,214  
                 

 

 

    

 

 

    

 

 

 
     $9,124,848        $5,658,561        $3,466,287  
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

              $1,354,757        $964,964        $389,793  
                 

 

 

    

 

 

    

 

 

 

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 0.125% due 10/15/24    5.490%    Z    MSC      10/17/23        $10,000,000        ($20,142      $-        ($20,142
U.S. Treasury Inflation Protected Securities 0.250% due 01/15/25    5.490%    Z    MSC      10/17/23        10,000,000        (39,193      -        (39,193
U.S. Treasury Inflation Protected Securities 0.125% due 04/15/25    5.490%    Z    MSC      10/17/23        15,000,000        (60,973      -        (60,973

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

44

PACIFIC SELECT FUND

INFLATION MANAGED PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

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 0.625% due 01/15/26    5.560%    Z    MSC      10/10/23        $10,000,000        ($57,506      $-        ($57,506
U.S. Treasury Inflation Protected Securities 0.375% due 01/15/27    5.490%    Z    MSC      10/17/23        20,000,000        (164,494      -        (164,494
U.S. Treasury Inflation Protected Securities 0.750% due 07/15/28    5.560%    Z    MSC      10/10/23        25,000,000        (404,386      -        (404,386
U.S. Treasury Inflation Protected Securities 0.125% due 07/15/31    5.490%    Z    MSC      10/17/23        20,000,000        (400,598      -        (400,598
U.S. Treasury Inflation Protected Securities 0.125% due 01/15/32    5.560%    Z    MSC      10/10/23        30,000,000        (1,060,834      -        (1,060,834
                 

 

 

    

 

 

    

 

 

 
     ($2,208,126      $-        ($2,208,126
                 

 

 

    

 

 

    

 

 

 

Total Swap Agreements

 

     ($852,748      $965,385        ($1,818,133
                 

 

 

    

 

 

    

 

 

 

 

(i)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $12,777,052        $-        $12,777,052        $-  
 

Mortgage-Backed Securities

           
 

Collateralized Mortgage Obligations - Commercial

     2,073,705        -        2,073,705        -  
 

Collateralized Mortgage Obligations - Residential

     11,811,264        -        11,716,982        94,282  
 

Fannie Mae

     41,869,013        -        41,869,013        -  
 

Freddie Mac

     33,177        -        33,177        -  
 

Government National Mortgage Association

     10,413        -        10,413        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Mortgage-Backed Securities

     55,797,572        -        55,703,290        94,282  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Asset-Backed Securities

           
 

Home Equity Other

     3,799,200        -        3,654,901        144,299  
 

Other Asset-Backed Securities

     42,345,361        -        42,345,361        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset-Backed Securities

     46,144,561        -        46,000,262        144,299  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

U.S. Treasury Obligations

     330,699,954        -        330,699,954        -  
 

Foreign Government Bonds & Notes

     37,944,259        -        37,944,259        -  
 

Short-Term Investments

     26,213,467        -        26,213,467        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     200        -        200        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     1,609,307        -        1,609,307        -  
 

Interest Rate Contracts

           
 

Futures

     3,409,637        3,409,637        -        -  
 

Purchased Options

     1,415,121        -        1,415,121        -  
 

Swaps

     3,466,998        -        3,466,998        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     8,291,756        3,409,637        4,882,119        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     9,901,263        3,409,637        6,491,626        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     519,478,128        3,409,637        515,829,910        238,581  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Sale-buyback Financing Transactions

     (260,883,407      -        (260,883,407      -  
 

Securities Sold Short

           
 

Mortgage-Backed Securities

     (22,501,706      -        (22,501,706      -  
 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (196,049      -        (196,049      -  
 

Interest Rate Contracts

           
 

Futures

     (1,137,187      (1,137,187      -        -  
 

Written Options

     (2,702,357      -        (2,702,357      -  
 

Swaps

     (5,285,331      -        (5,285,331      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (9,124,875      (1,137,187      (7,987,688      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (9,320,924      (1,137,187      (8,183,737      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (292,706,037      (1,137,187      (291,568,850      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $226,772,091        $2,272,450        $224,261,060        $238,581  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

45

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 27.7%

 

Basic Materials - 0.7%

 

BHP Billiton Finance USA Ltd. (Australia)

   

5.250% due 09/08/30

    $1,120,000       $1,094,669  

5.500% due 09/08/53

    890,000       852,614  

CF Industries, Inc.
4.950% due 06/01/43

    960,000       780,181  

DuPont de Nemours, Inc.
5.319% due 11/15/38

    685,000       641,969  

EIDP, Inc.

   

4.500% due 05/15/26

    788,000       767,842  

4.800% due 05/15/33

    825,000       769,909  

Glencore Funding LLC (Australia)

   

2.500% due 09/01/30 ~

    760,000       601,348  

5.400% due 05/08/28 ~

    845,000       824,331  

LYB International Finance III LLC
1.250% due 10/01/25

    329,000       299,909  

Nutrien Ltd. (Canada)
5.000% due 04/01/49

    375,000       308,899  

Steel Dynamics, Inc.
1.650% due 10/15/27

    750,000       637,415  

Vale Overseas Ltd. (Brazil)
3.750% due 07/08/30

    780,000       665,668  
   

 

 

 
    8,244,754  
   

 

 

 

Communications - 1.6%

 

Amazon.com, Inc.

   

3.875% due 08/22/37

    800,000       683,336  

3.950% due 04/13/52

    875,000       676,935  

AT&T, Inc.

   

2.750% due 06/01/31

    3,710,000       2,969,818  

3.550% due 09/15/55

    1,434,000       878,736  

5.400% due 02/15/34

    400,000       374,532  

Charter Communications Operating LLC/Charter Communications Operating Capital

   

2.800% due 04/01/31

    3,050,000       2,380,068  

3.500% due 06/01/41

    1,285,000       813,491  

3.700% due 04/01/51

    860,000       500,987  

Comcast Corp.

   

2.650% due 02/01/30

    1,500,000       1,267,766  

2.800% due 01/15/51

    736,000       431,323  

3.250% due 11/01/39

    1,970,000       1,440,740  

5.350% due 05/15/53

    1,000,000       912,612  

Corning, Inc.
5.750% due 08/15/40

    300,000       282,588  

Cox Communications, Inc.
2.950% due 10/01/50 ~

    555,000       306,720  

Deutsche Telekom AG (Germany)
3.625% due 01/21/50 ~

    700,000       478,754  

Discovery Communications LLC
3.625% due 05/15/30

    980,000       829,935  

Meta Platforms, Inc.
5.600% due 05/15/53

    760,000       719,897  

Paramount Global
2.900% due 01/15/27

    575,000       509,962  

Sprint Capital Corp.
6.875% due 11/15/28

    357,000       368,913  

Sprint LLC
7.625% due 03/01/26

    244,000       250,952  

T-Mobile USA, Inc.
5.050% due 07/15/33

    895,000       830,703  

Verizon Communications, Inc.

   

2.650% due 11/20/40

    2,046,000       1,296,059  

3.700% due 03/22/61

    600,000       382,150  

5.050% due 05/09/33

    1,255,000       1,173,235  
   

 

 

 
    20,760,212  
 

 

 

 
   

Principal
Amount

   

Value

 

Consumer, Cyclical - 2.2%

 

7-Eleven, Inc.

   

1.800% due 02/10/31 ~

    $1,780,000       $1,350,740  

2.500% due 02/10/41 ~

    283,000       173,311  

Alimentation Couche-Tard, Inc. (Canada)
3.625% due 05/13/51 ~

    875,000       542,938  

American Airlines Pass-Through Trust Class A
3.650% due 12/15/29

    1,129,140       985,492  

American Airlines Pass-Through Trust Class AA
3.200% due 12/15/29

    1,449,760       1,306,676  

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

    2,057,510       1,792,206  

Delta Air Lines Pass-Through Trust Class A
2.500% due 12/10/29

    1,858,025       1,631,689  

General Motors Financial Co., Inc.

   

2.700% due 06/10/31

    230,000       176,208  

3.800% due 04/07/25

    390,000       376,036  

Hasbro, Inc.
3.900% due 11/19/29

    682,000       603,754  

Home Depot, Inc.
4.950% due 09/15/52

    625,000       559,451  

Hyundai Capital America

   

1.300% due 01/08/26 ~

    1,825,000       1,644,031  

1.800% due 01/10/28 ~

    395,000       331,204  

2.650% due 02/10/25 ~

    600,000       573,346  

5.650% due 06/26/26 ~

    3,024,000       2,999,339  

JetBlue Pass-Through Trust Class B
7.750% due 05/15/30

    1,056,989       1,066,737  

Lear Corp.
2.600% due 01/15/32

    265,000       200,374  

Lowe’s Cos., Inc.
4.500% due 04/15/30

    1,000,000       933,496  

MDC Holdings, Inc.
2.500% due 01/15/31

    471,000       352,106  

O’Reilly Automotive, Inc.
3.900% due 06/01/29

    1,135,000       1,045,827  

Starbucks Corp.

   

2.550% due 11/15/30

    2,000,000       1,643,593  

3.350% due 03/12/50

    565,000       371,878  

4.800% due 02/15/33

    1,200,000       1,130,195  

Stellantis Finance U.S., Inc.
1.711% due 01/29/27 ~

    791,000       688,557  

United Airlines Pass-Through Trust Class A

   

3.100% due 04/07/30

    453,926       390,680  

3.700% due 09/01/31

    1,150,716       988,339  

United Airlines Pass-Through Trust Class B

   

3.650% due 04/07/27

    1,155,723       1,090,116  

3.650% due 07/07/27

    1,607,963       1,507,214  

Volkswagen Group of America Finance LLC (Germany)
1.250% due 11/24/25 ~

    1,500,000       1,362,284  
   

 

 

 
    27,817,817  
 

 

 

 

Consumer, Non-Cyclical - 3.4%

   

AbbVie, Inc.

   

3.200% due 11/21/29

    1,675,000       1,478,964  

4.050% due 11/21/39

    2,120,000       1,735,465  

4.250% due 11/21/49

    910,000       721,097  

Altria Group, Inc.
2.450% due 02/04/32

    835,000       630,323  

Amgen, Inc.

   

3.150% due 02/21/40

    1,125,000       794,612  

5.250% due 03/02/33

    995,000       951,619  

5.600% due 03/02/43

    500,000       465,152  

5.650% due 03/02/53

    535,000       501,095  

AstraZeneca PLC (United Kingdom)
6.450% due 09/15/37

    205,000       221,669  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

46

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Baptist Healthcare System Obligated Group 3.540% due 08/15/50

    $540,000       $360,120  

BAT Capital Corp. (United Kingdom)
2.259% due 03/25/28

    3,125,000       2,645,027  

Bon Secours Mercy Health, Inc.
3.205% due 06/01/50

    700,000       440,285  

Boston Scientific Corp.

   

4.550% due 03/01/39

    167,000       143,855  

6.500% due 11/15/35

    215,000       225,519  

Bristol-Myers Squibb Co.
4.125% due 06/15/39

    1,000,000       834,595  

Bunge Ltd. Finance Corp.
2.750% due 05/14/31

    805,000       652,640  

CommonSpirit Health

   

2.782% due 10/01/30

    1,065,000       877,335  

3.910% due 10/01/50

    650,000       461,641  

CVS Health Corp.

   

4.875% due 07/20/35

    850,000       760,619  

5.050% due 03/25/48

    430,000       357,588  

5.250% due 02/21/33

    900,000       853,036  

CVS Pass-Through Trust
4.163% due 08/11/36 ~

    471,396       403,504  

DH Europe Finance II SARL
3.250% due 11/15/39

    285,000       214,273  

Element Fleet Management Corp. (Canada) 6.271% due 06/26/26 ~

    535,000       533,456  

Elevance Health, Inc.
2.250% due 05/15/30

    1,135,000       924,032  

Gilead Sciences, Inc.

   

1.650% due 10/01/30

    1,125,000       878,979  

2.600% due 10/01/40

    675,000       446,110  

Global Payments, Inc.

   

3.200% due 08/15/29

    1,234,000       1,050,277  

5.300% due 08/15/29

    285,000       271,989  

Haleon U.S. Capital LLC
3.375% due 03/24/29

    300,000       269,170  

HCA, Inc.

   

5.250% due 06/15/26

    2,430,000       2,379,600  

5.500% due 06/15/47

    700,000       598,200  

JBS USA LUX SA/JBS USA Food Co./JBS Luxembourg SARL
6.750% due 03/15/34 ~

    900,000       876,505  

Kellogg Co.
5.250% due 03/01/33

    775,000       741,289  

Keurig Dr Pepper, Inc.
3.200% due 05/01/30

    400,000       345,237  

Kraft Heinz Foods Co.

   

4.375% due 06/01/46

    360,000       280,748  

4.625% due 10/01/39

    640,000       541,110  

Kroger Co.
1.700% due 01/15/31

    1,300,000       980,579  

MedStar Health, Inc.
3.626% due 08/15/49

    520,000       349,413  

Merck & Co., Inc.

   

5.000% due 05/17/53

    530,000       482,426  

5.150% due 05/17/63

    410,000       374,253  

MultiCare Health System
2.803% due 08/15/50

    560,000       313,888  

MyMichigan Health
3.409% due 06/01/50

    1,000,000       643,997  

Nationwide Children’s Hospital, Inc.
4.556% due 11/01/52

    150,000       127,510  

PeaceHealth Obligated Group
3.218% due 11/15/50

    655,000       393,422  

Pfizer Investment Enterprises Pte. Ltd.

   

4.750% due 05/19/33

    505,000       477,568  

5.300% due 05/19/53

    1,245,000       1,157,715  

Piedmont Healthcare, Inc.
2.864% due 01/01/52

    515,000       302,341  

Quanta Services, Inc.
2.350% due 01/15/32

    890,000       668,473  
   

Principal
Amount

   

Value

 

Regeneron Pharmaceuticals, Inc.
1.750% due 09/15/30

    $1,125,000       $866,327  

Royalty Pharma PLC
2.150% due 09/02/31

    84,000       62,904  

S&P Global, Inc.
2.700% due 03/01/29

    853,000       746,404  

Smithfield Foods, Inc.
3.000% due 10/15/30 ~

    1,025,000       784,336  

Takeda Pharmaceutical Co. Ltd. (Japan)
3.025% due 07/09/40

    1,695,000       1,177,716  

Thermo Fisher Scientific, Inc.
2.000% due 10/15/31

    835,000       648,058  

Triton Container International Ltd. (Bermuda)
2.050% due 04/15/26 ~

    1,100,000       980,589  

Tyson Foods, Inc.
3.550% due 06/02/27

    850,000       788,251  

UnitedHealth Group, Inc.

   

2.750% due 05/15/40

    945,000       642,832  

3.250% due 05/15/51

    525,000       345,552  

5.875% due 02/15/53

    420,000       422,043  

University of Miami
4.063% due 04/01/52

    240,000       183,648  

Verisk Analytics, Inc.
5.750% due 04/01/33

    660,000       656,994  

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

    340,000       221,639  

Viterra Finance BV (Netherlands)
3.200% due 04/21/31 ~

    1,000,000       805,960  

Zoetis, Inc.
5.600% due 11/16/32

    715,000       712,219  
   

 

 

 
    43,183,792  
 

 

 

 

Energy - 1.4%

   

Aker BP ASA (Norway)
2.000% due 07/15/26 ~

    207,000       184,847  

BG Energy Capital PLC (United Kingdom)
5.125% due 10/15/41 ~

    280,000       242,732  

Boardwalk Pipelines LP
4.450% due 07/15/27

    480,000       452,278  

BP Capital Markets America, Inc.

   

3.633% due 04/06/30

    1,685,000       1,518,225  

4.812% due 02/13/33

    860,000       805,415  

Coterra Energy, Inc.
3.900% due 05/15/27

    495,000       465,128  

DT Midstream, Inc.
4.300% due 04/15/32 ~

    790,000       673,254  

Enbridge, Inc. (Canada)
5.700% due 03/08/33

    700,000       671,009  

Energy Transfer LP

   

3.900% due 07/15/26

    2,470,000       2,338,976  

4.150% due 09/15/29

    605,000       548,402  

6.100% due 02/15/42

    455,000       411,380  

Exxon Mobil Corp.
4.114% due 03/01/46

    1,060,000       852,091  

Flex Intermediate Holdco LLC

   

3.363% due 06/30/31 ~

    475,000       369,810  

4.317% due 12/30/39 ~

    335,000       230,960  

Galaxy Pipeline Assets Bidco Ltd. (United Arab Emirates)
2.940% due 09/30/40 ~

    522,418       403,862  

Gray Oak Pipeline LLC
2.600% due 10/15/25 ~

    1,685,000       1,554,218  

HF Sinclair Corp.
5.875% due 04/01/26

    842,000       839,735  

Kinder Morgan, Inc.
5.050% due 02/15/46

    310,000       248,332  

MPLX LP
4.500% due 04/15/38

    580,000       470,393  

NGPL PipeCo LLC
3.250% due 07/15/31 ~

    860,000       684,846  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

47

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Phillips 66 Co.

   

3.550% due 10/01/26

    $560,000       $527,757  

5.300% due 06/30/33

    620,000       593,828  

Pioneer Natural Resources Co.
1.900% due 08/15/30

    760,000       596,794  

Sabine Pass Liquefaction LLC
4.500% due 05/15/30

    300,000       275,227  

Saudi Arabian Oil Co. (Saudi Arabia)
1.625% due 11/24/25 ~

    200,000       182,996  

Suncor Energy, Inc. (Canada)
5.950% due 12/01/34

    690,000       664,989  

TotalEnergies Capital International SA (France)
2.986% due 06/29/41

    1,130,000       788,799  
   

 

 

 
    17,596,283  
 

 

 

 

Financial - 12.0%

   

ABN AMRO Bank NV (Netherlands)

   

2.470% due 12/13/29 ~

    400,000       330,625  

6.339% due 09/18/27 ~

    600,000       598,757  

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

   

2.450% due 10/29/26

    470,000       421,210  

3.300% due 01/30/32

    550,000       437,429  

6.100% due 01/15/27

    970,000       965,742  

6.500% due 07/15/25

    300,000       300,446  

AIB Group PLC (Ireland)

   

4.263% due 04/10/25 ~

    600,000       591,551  

6.608% due 09/13/29 ~

    405,000       403,579  

Air Lease Corp.

   

2.875% due 01/15/26

    610,000       568,236  

3.375% due 07/01/25

    2,555,000       2,428,504  

Alexandria Real Estate Equities, Inc. REIT
3.375% due 08/15/31

    1,130,000       946,359  

American International Group, Inc.
4.375% due 06/30/50

    770,000       598,075  

American Tower Corp. REIT

   

2.950% due 01/15/51

    229,000       129,372  

3.100% due 06/15/50

    351,000       205,122  

5.900% due 11/15/33

    1,060,000       1,035,615  

ANZ New Zealand International Ltd. (New Zealand)
5.355% due 08/14/28 ~

    690,000       677,855  

Athene Global Funding

   

1.450% due 01/08/26 ~

    905,000       807,245  

2.500% due 01/14/25 ~

    1,418,000       1,340,875  

2.500% due 03/24/28 ~

    885,000       751,157  

Australia & New Zealand Banking

Group Ltd. (Australia)
4.400% due 05/19/26 ~

    1,140,000       1,087,483  

Aviation Capital Group LLC
5.500% due 12/15/24 ~

    1,000,000       983,531  

Avolon Holdings Funding Ltd. (Ireland)

   

2.125% due 02/21/26 ~

    305,000       273,388  

2.528% due 11/18/27 ~

    5,605,000       4,735,707  

4.250% due 04/15/26 ~

    765,000       719,342  

Banco Santander SA (Spain)

   

1.722% due 09/14/27

    200,000       174,976  

1.849% due 03/25/26

    2,000,000       1,799,491  

5.147% due 08/18/25

    400,000       391,723  

Bank of America Corp.

   

1.197% due 10/24/26

    1,385,000       1,252,767  

2.676% due 06/19/41

    1,900,000       1,217,790  

3.705% due 04/24/28

    6,445,000       5,939,106  

4.376% due 04/27/28

    740,000       698,955  

5.080% due 01/20/27

    900,000       879,910  

5.202% due 04/25/29

    1,060,000       1,021,574  

5.288% due 04/25/34

    1,460,000       1,359,361  

5.819% due 09/15/29

    1,560,000       1,541,502  

5.872% due 09/15/34

    940,000       915,281  
   

Principal
Amount

   

Value

 

Bank of Ireland Group PLC (Ireland)

   

2.029% due 09/30/27 ~

    $1,212,000       $1,063,392  

6.253% due 09/16/26 ~

    903,000       898,072  

Bank of Montreal (Canada)

   

5.300% due 06/05/26

    750,000       740,105  

5.717% due 09/25/28

    940,000       930,479  

Bank of Nova Scotia (Canada)
4.850% due 02/01/30

    1,081,000       1,018,613  

Banque Federative du Credit Mutuel SA (France)

   

1.604% due 10/04/26 ~

    1,365,000       1,203,049  

5.790% due 07/13/28 ~

    570,000       566,094  

5.896% due 07/13/26 ~

    660,000       656,649  

Barclays PLC (United Kingdom)

   

2.894% due 11/24/32

    358,000       269,662  

6.224% due 05/09/34

    945,000       895,842  

6.496% due 09/13/27

    260,000       259,415  

Berkshire Hathaway Finance Corp.
3.850% due 03/15/52

    1,285,000       959,344  

BNP Paribas SA (France)

   

1.904% due 09/30/28 ~

    550,000       465,774  

2.159% due 09/15/29 ~

    874,000       721,251  

BPCE SA (France)

   

1.652% due 10/06/26 ~

    1,670,000       1,516,305  

3.116% due 10/19/32 ~

    660,000       492,424  

5.975% due 01/18/27 ~

    1,810,000       1,791,076  

Brixmor Operating Partnership LP REIT

   

2.250% due 04/01/28

    400,000       337,260  

2.500% due 08/16/31

    260,000       196,849  

4.125% due 05/15/29

    600,000       534,986  

Brookfield Finance, Inc. (Canada)
3.500% due 03/30/51

    1,200,000       747,775  

Brown & Brown, Inc.
2.375% due 03/15/31

    1,125,000       870,404  

CaixaBank SA (Spain)
6.684% due 09/13/27 ~

    850,000       849,988  

Camden Property Trust REIT
3.150% due 07/01/29

    1,100,000       975,692  

Capital One Financial Corp.
3.800% due 01/31/28

    1,930,000       1,741,986  

Citigroup, Inc.

   

2.520% due 11/03/32

    225,000       171,281  

3.057% due 01/25/33

    1,909,000       1,509,852  

3.520% due 10/27/28

    1,140,000       1,031,913  

Commonwealth Bank of Australia (Australia)
3.305% due 03/11/41 ~

    660,000       423,194  

Corebridge Financial, Inc.

   

3.650% due 04/05/27

    985,000       912,600  

3.850% due 04/05/29

    270,000       242,751  

Credit Agricole SA (France)
due 10/03/29 # ~

    500,000       500,300  

2.811% due 01/11/41 ~

    250,000       154,227  

4.375% due 03/17/25 ~

    1,125,000       1,087,537  

5.514% due 07/05/33 ~

    290,000       279,444  

5.589% due 07/05/26 ~

    565,000       560,894  

Credit Suisse AG (Switzerland)

   

1.250% due 08/07/26

    1,175,000       1,027,329  

7.950% due 01/09/25

    1,117,000       1,137,174  

Crown Castle, Inc. REIT
2.900% due 04/01/41

    2,000,000       1,285,986  

Danske Bank AS (Denmark)
6.466% due 01/09/26 ~

    460,000       459,335  

Deutsche Bank AG (Germany)

   

2.129% due 11/24/26

    1,220,000       1,103,689  

6.720% due 01/18/29

    365,000       363,027  

7.146% due 07/13/27

    570,000       574,074  

DNB Bank ASA (Norway)
1.605% due 03/30/28 ~

    805,000       692,032  

Empower Finance 2020 LP (Canada)
3.075% due 09/17/51 ~

    625,000       374,774  

Equinix, Inc. REIT
2.900% due 11/18/26

    840,000       771,821  

Extra Space Storage LP
2.400% due 10/15/31

    1,230,000       942,485  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

48

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

F&G Global Funding
1.750% due 06/30/26 ~

    $ 460,000       $ 406,439  

Federal Realty OP LP REIT
1.250% due 02/15/26

    785,000       705,655  

Federation des Caisses Desjardins du Quebec (Canada)

   

4.400% due 08/23/25 ~

    745,000       721,322  

5.700% due 03/14/28 ~

    800,000       790,323  

Fidelity & Guaranty Life Holdings, Inc.
5.500% due 05/01/25 ~

    390,000       380,907  

Goldman Sachs Group, Inc.

   

1.431% due 03/09/27

    925,000       823,780  

1.948% due 10/21/27

    2,713,000       2,396,328  

2.640% due 02/24/28

    716,000       638,714  

3.691% due 06/05/28

    1,785,000       1,645,931  

4.250% due 10/21/25

    1,850,000       1,783,236  

Healthcare Realty Holdings LP REIT
2.000% due 03/15/31

    1,125,000       844,163  

Healthpeak OP LLC REIT

   

2.125% due 12/01/28

    813,000       683,543  

2.875% due 01/15/31

    1,130,000       919,494  

HSBC Holdings PLC (United Kingdom)

   

2.013% due 09/22/28

    4,175,000       3,545,493  

2.206% due 08/17/29

    495,000       408,257  

Huntington National Bank
5.650% due 01/10/30

    1,293,000       1,219,400  

ING Groep NV (Netherlands)

   

1.726% due 04/01/27

    675,000       604,257  

6.083% due 09/11/27

    800,000       796,857  

KBC Group NV (Belgium)
6.324% due 09/21/34 ~

    1,200,000       1,165,714  

KeyCorp
4.789% due 06/01/33

    115,000       95,927  

Lloyds Banking Group PLC (United Kingdom)

   

1.627% due 05/11/27

    590,000       523,598  

4.716% due 08/11/26

    1,150,000       1,118,699  

LSEGA Financing PLC (United Kingdom)
2.000% due 04/06/28 ~

    1,160,000       986,216  

Macquarie Group Ltd. (Australia)

   

1.340% due 01/12/27 ~

    1,075,000       962,131  

2.871% due 01/14/33 ~

    600,000       454,013  

6.207% due 11/22/24 ~

    2,736,000       2,735,924  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

1.538% due 07/20/27

    500,000       443,060  

3.741% due 03/07/29

    2,065,000       1,878,799  

5.242% due 04/19/29

    210,000       204,257  

5.441% due 02/22/34

    560,000       534,699  

Mizuho Financial Group, Inc. (Japan)

   

1.234% due 05/22/27

    515,000       454,705  

5.778% due 07/06/29

    2,440,000       2,407,322  

Morgan Stanley

   

2.475% due 01/21/28

    1,600,000       1,427,211  

3.217% due 04/22/42

    805,000       555,115  

4.457% due 04/22/39

    855,000       714,743  

5.123% due 02/01/29

    440,000       423,888  

5.164% due 04/20/29

    1,110,000       1,068,344  

5.424% due 07/21/34

    295,000       278,398  

5.449% due 07/20/29

    430,000       419,197  

Mutual of Omaha Cos Global Funding
5.800% due 07/27/26 ~

    600,000       594,607  

Nasdaq, Inc.
5.550% due 02/15/34

    295,000       281,727  

Natwest Group PLC (United Kingdom)

   

4.445% due 05/08/30

    515,000       465,194  

4.892% due 05/18/29

    1,400,000       1,310,196  

NatWest Markets PLC (United Kingdom)
1.600% due 09/29/26 ~

    1,000,000       879,492  

New York Life Insurance Co.
3.750% due 05/15/50 ~

    1,140,000       788,761  
   

Principal

Amount

   

Value

 

NNN REIT, Inc.
5.600% due 10/15/33

    $ 250,000       $ 235,816  

Nomura Holdings, Inc. (Japan)
6.070% due 07/12/28

    1,600,000       1,583,160  

Nordea Bank Abp (Finland)
5.375% due 09/22/27 ~

    580,000       566,741  

Northwestern Mutual Global Funding
1.700% due 06/01/28 ~

    490,000       414,657  

Physicians Realty LP REIT
2.625% due 11/01/31

    315,000       237,579  

PNC Financial Services Group, Inc.
5.068% due 01/24/34

    503,000       456,475  

Public Storage Operating Co. REIT

   

1.950% due 11/09/28

    382,000       323,809  

2.250% due 11/09/31

    320,000       250,521  

Realty Income Corp. REIT

   

1.800% due 03/15/33

    705,000       495,903  

4.850% due 03/15/30

    810,000       763,989  

Sabra Health Care LP REIT
3.200% due 12/01/31

    515,000       385,884  

Santander UK Group Holdings PLC
(United Kingdom)

   

1.532% due 08/21/26

    1,000,000       906,903  

1.673% due 06/14/27

    560,000       490,151  

6.534% due 01/10/29

    1,400,000       1,387,974  

6.833% due 11/21/26

    706,000       710,236  

Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia)
3.625% due 01/28/26 ~

    1,225,000       1,164,408  

Societe Generale SA (France)

   

1.792% due 06/09/27 ~

    455,000       401,353  

4.250% due 04/14/25 ~

    1,935,000       1,858,886  

Standard Chartered PLC (United Kingdom)

   

1.214% due 03/23/25 ~

    2,520,000       2,464,782  

1.456% due 01/14/27 ~

    565,000       504,839  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

5.520% due 01/13/28

    1,600,000       1,579,014  

5.716% due 09/14/28

    1,300,000       1,283,622  

Swedbank AB (Sweden)

   

6.136% due 09/12/26 ~

    880,000       876,897  

Teachers Insurance & Annuity Association of America

   

3.300% due 05/15/50 ~

    555,000       351,733  

Toronto-Dominion Bank (Canada)

   

5.523% due 07/17/28

    510,000       503,672  

5.532% due 07/17/26

    1,365,000       1,355,476  

Truist Financial Corp.

   

5.122% due 01/26/34

    520,000       465,193  

6.047% due 06/08/27

    470,000       465,051  

UBS Group AG (Switzerland)

   

1.305% due 02/02/27 ~

    940,000       835,950  

3.869% due 01/12/29 ~

    1,115,000       1,010,569  

4.282% due 01/09/28 ~

    1,135,000       1,044,128  

UDR, Inc. REIT

   

1.900% due 03/15/33

    185,000       130,182  

2.100% due 08/01/32

    1,130,000       817,118  

UniCredit SpA (Italy)

   

1.982% due 06/03/27 ~

    1,440,000       1,272,773  

5.861% due 06/19/32 ~

    315,000       286,866  

Wells Fargo & Co.

   

2.393% due 06/02/28

    1,600,000       1,403,668  

4.611% due 04/25/53

    780,000       611,374  

5.557% due 07/25/34

    470,000       445,292  

5.574% due 07/25/29

    1,350,000       1,317,590  

Welltower OP LLC REIT

   

2.800% due 06/01/31

    1,200,000       961,739  

Westpac Banking Corp. (Australia)

   

3.133% due 11/18/41

    541,000       333,160  

5.405% due 08/10/33

    780,000       710,894  

WP Carey, Inc. REIT

   

2.250% due 04/01/33

    325,000       232,487  

2.400% due 02/01/31

    1,130,000       876,287  
   

 

 

 
      152,098,683  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

49

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Industrial - 1.4%

   

BAE Systems PLC (United Kingdom)
3.400% due 04/15/30 ~

    $ 935,000       $ 814,895  

Boeing Co.

   

2.700% due 02/01/27

    2,115,000       1,916,270  

2.750% due 02/01/26

    162,000       151,384  

3.100% due 05/01/26

    2,537,000       2,370,111  

Canadian Pacific Railway Co. (Canada)
4.700% due 05/01/48

    1,500,000       1,243,749  

CRH America, Inc.
3.875% due 05/18/25 ~

    450,000       435,002  

CSX Corp.
3.800% due 11/01/46

    1,000,000       733,014  

Graphic Packaging International LLC
1.512% due 04/15/26 ~

    594,000       529,717  

L3Harris Technologies, Inc.
5.400% due 07/31/33

    690,000       663,544  

Masco Corp.
2.000% due 10/01/30

    1,125,000       862,122  

Norfolk Southern Corp.
3.050% due 05/15/50

    400,000       248,693  

Northrop Grumman Corp.
3.850% due 04/15/45

    1,120,000       835,609  

Otis Worldwide Corp. 3.112% due 02/15/40

    500,000       357,521  

5.250% due 08/16/28

    770,000       757,412  

Penske Truck Leasing Co. LP/PTL Finance Corp. 1.200% due 11/15/25 ~

    1,365,000       1,228,534  

6.050% due 08/01/28 ~

    800,000       790,556  

RTX Corp.

   

2.250% due 07/01/30

    975,000       785,249  

3.750% due 11/01/46

    1,530,000       1,085,300  

5.150% due 02/27/33

    604,000       572,261  

Siemens Financieringsmaatschappij NV (Germany)
3.300% due 09/15/46 ~

    860,000       595,645  

Union Pacific Corp.
3.550% due 08/15/39

    765,000       589,466  
   

 

 

 
      17,566,054  
   

 

 

 

Technology - 1.7%

   

Analog Devices, Inc.
2.800% due 10/01/41

    259,000       173,115  

Apple, Inc.
3.950% due 08/08/52

    2,000,000       1,569,991  

Broadcom, Inc.

   

1.950% due 02/15/28 ~

    2,800,000       2,388,899  

3.187% due 11/15/36 ~

    148,000       106,322  

CGI, Inc. (Canada)
2.300% due 09/14/31

    925,000       694,849  

Dell International LLC/EMC Corp.
6.200% due 07/15/30

    695,000       701,078  

Intel Corp.

   

4.900% due 08/05/52

    780,000       655,072  

5.625% due 02/10/43

    160,000       152,730  

5.700% due 02/10/53

    270,000       253,387  

Intuit, Inc.

   

5.200% due 09/15/33

    770,000       750,219  

5.500% due 09/15/53

    240,000       230,436  

KLA Corp.
3.300% due 03/01/50

    1,455,000       968,576  

Leidos, Inc.
2.300% due 02/15/31

    1,185,000       912,023  

Marvell Technology, Inc.
5.750% due 02/15/29

    850,000       842,558  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

2.500% due 05/11/31

    1,870,000       1,461,213  

3.250% due 05/11/41

    895,000       602,674  

Oracle Corp.

   
   

Principal

Amount

   

Value

 

3.800% due 11/15/37

    $ 575,000       $ 438,952  

3.950% due 03/25/51

    645,000       442,614  

4.900% due 02/06/33

    850,000       783,831  

5.550% due 02/06/53

    600,000       526,129  

QUALCOMM, Inc.
4.500% due 05/20/52

    300,000       246,253  

Roper Technologies, Inc.
1.750% due 02/15/31

    825,000       626,466  

Take-Two Interactive Software, Inc.
3.700% due 04/14/27

    886,000       830,048  

Texas Instruments, Inc.
5.050% due 05/18/63

    670,000       594,739  

TSMC Global Ltd. (Taiwan)
1.375% due 09/28/30 ~

    1,385,000       1,056,719  

VMware, Inc.

   

1.400% due 08/15/26

    1,028,000       907,162  

4.700% due 05/15/30

    2,415,000       2,225,474  
   

 

 

 
      21,141,529  
   

 

 

 

Utilities - 3.3%

   

APA Infrastructure Ltd. (Australia)
4.200% due 03/23/25 ~

    450,000       437,754  

Atmos Energy Corp.
1.500% due 01/15/31

    705,000       536,235  

Baltimore Gas & Electric Co.
5.400% due 06/01/53

    930,000       856,189  

CenterPoint Energy Resources Corp.
1.750% due 10/01/30

    560,000       433,706  

Commonwealth Edison Co.
3.650% due 06/15/46

    1,300,000       917,523  

Constellation Energy Generation LLC

   

3.250% due 06/01/25

    2,330,000       2,222,014  

5.800% due 03/01/33

    819,000       799,460  

Consumers Energy Co.
3.250% due 08/15/46

    265,000       178,170  

Dominion Energy, Inc.
3.300% due 04/15/41

    1,000,000       684,052  

DTE Electric Co.
3.250% due 04/01/51

    500,000       323,275  

DTE Energy Co.
4.875% due 06/01/28

    750,000       725,354  

Duke Energy Corp.

   

3.750% due 09/01/46

    1,500,000       1,038,609  

6.100% due 09/15/53

    850,000       825,593  

Duke Energy Indiana LLC
3.250% due 10/01/49

    395,000       251,756  

Duquesne Light Holdings, Inc.
2.775% due 01/07/32 ~

    800,000       595,641  

Edison International
5.750% due 06/15/27

    255,000       252,811  

Emera U.S. Finance LP (Canada)
4.750% due 06/15/46

    550,000       406,651  

Entergy Arkansas LLC
2.650% due 06/15/51

    995,000       555,986  

Entergy Louisiana LLC

   

2.900% due 03/15/51

    260,000       153,460  

4.000% due 03/15/33

    430,000       373,745  

Entergy Mississippi LLC
5.000% due 09/01/33

    1,115,000       1,049,220  

Evergy, Inc.
2.900% due 09/15/29

    1,160,000       991,996  

Eversource Energy
5.125% due 05/15/33

    755,000       702,836  

Fells Point Funding Trust
3.046% due 01/31/27 ~

    2,370,000       2,150,392  

FirstEnergy Transmission LLC
4.550% due 04/01/49 ~

    525,000       412,084  

Fortis, Inc. (Canada)
3.055% due 10/04/26

    750,000       687,782  

ITC Holdings Corp.

   

2.950% due 05/14/30 ~

    360,000       298,920  

4.950% due 09/22/27 ~

    1,792,000       1,747,150  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

50

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Jersey Central Power & Light Co.
4.300% due 01/15/26 ~

    $ 1,130,000       $ 1,089,631  

MidAmerican Energy Co.
5.850% due 09/15/54

    380,000       375,060  

Monongahela Power Co.
5.850% due 02/15/34 ~

    320,000       314,431  

Nevada Power Co.
6.000% due 03/15/54

    350,000       342,220  

NextEra Energy Capital Holdings, Inc.
5.749% due 09/01/25

    1,420,000       1,416,476  

NRG Energy, Inc.

   

2.000% due 12/02/25 ~

    430,000       389,330  

2.450% due 12/02/27 ~

    1,020,000       865,503  

Ohio Power Co.
5.000% due 06/01/33

    825,000       775,121  

Pacific Gas & Electric Co.

   

2.950% due 03/01/26

    1,490,000       1,373,565  

3.450% due 07/01/25

    475,000       450,856  

3.750% due 08/15/42

    191,000       122,801  

4.300% due 03/15/45

    325,000       220,441  

6.400% due 06/15/33

    765,000       738,117  

PacifiCorp

   

4.150% due 02/15/50

    450,000       316,832  

5.500% due 05/15/54

    29,000       24,663  

PG&E Recovery Funding LLC
5.536% due 07/15/49

    975,000       920,291  

PG&E Wildfire Recovery Funding LLC

   

4.263% due 06/01/38

    325,000       294,298  

5.099% due 06/01/54

    415,000       373,234  

5.212% due 12/01/49

    225,000       205,557  

Public Service Co. of Oklahoma
5.250% due 01/15/33

    930,000       885,527  

Puget Energy, Inc.
2.379% due 06/15/28

    330,000       282,593  

San Diego Gas & Electric Co.
2.950% due 08/15/51

    1,100,000       668,264  

SCE Recovery Funding LLC

   

4.697% due 06/15/42

    595,000       554,794  

5.112% due 12/14/49

    240,000       217,719  

Sierra Pacific Power Co.
5.900% due 03/15/54 ~

    630,000       604,893  

Sigeco Securitization I LLC
5.026% due 11/15/38

    604,000       576,855  

Southern California Edison Co.

   

1.200% due 02/01/26

    540,000       487,642  

4.125% due 03/01/48

    1,290,000       957,422  

5.875% due 12/01/53

    841,000       792,287  

Southern California Gas Co.
6.350% due 11/15/52

    600,000       614,717  

Southern Co.
5.700% due 03/15/34

    450,000       441,192  

Southern Co. Gas Capital Corp.
4.400% due 06/01/43

    1,000,000       761,457  

Southern Power Co.
5.150% due 09/15/41

    895,000       770,415  

Union Electric Co.
3.900% due 04/01/52

    520,000       381,295  

Vistra Operations Co. LLC
4.875% due 05/13/24 ~

    1,063,000       1,052,168  

WEC Energy Group, Inc.
1.375% due 10/15/27

    615,000       521,601  
   

 

 

 
      41,787,632  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $402,806,294)

 

    350,196,756  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 31.5%

 

Collateralized Mortgage Obligations - Commercial - 3.2%

 

   

Principal

Amount

   

Value

 

ACRE Commercial Mortgage Ltd. CLO
6.275% (SOFR + 0.944%)
due 12/18/37 § ~

    $ 969,643       $ 963,328  

6.845% (SOFR + 1.514%)

due 12/18/37 § ~

    1,198,000       1,158,280  

BAMLL RE-Remic Trust
1.923% due 11/26/47 § ~

    1,955,000       1,826,613  

BPR Trust
6.697% (SOFR + 1.364%)
due 02/15/29 § ~

    1,790,000       1,770,351  

Commercial Mortgage Trust
2.399% due 01/10/38 § ~

    1,900,000       1,560,446  

Fannie Mae

   

1.764% due 11/25/31 §

    3,500,000       2,703,671  

2.680% due 06/25/32 §

    4,798,000       3,894,171  

Freddie Mac
7.115% (SOFR + 1.800%)
due 07/25/41 § ~

    3,581,288       3,363,173  

Freddie Mac (IO)

   

1.290% due 11/25/30 §

    18,945,000       1,305,375  

1.306% due 10/25/30 §

    15,300,000       1,039,459  

1.467% due 12/25/29 §

    8,830,000       500,412  

Freddie Mac Multifamily Structured Pass-Through
Certificates

 

 

1.981% due 12/25/31 §

    3,800,000       2,959,520  

2.920% due 06/25/32

    2,100,000       1,762,067  

3.820% due 12/25/32 §

    2,900,000       2,597,658  

FREMF Mortgage Trust

   

3.693% due 01/25/26 § ~

    2,100,000       1,786,551  

4.010% due 01/25/50 § ~

    2,385,000       2,231,130  

4.191% due 04/25/48 § ~

    2,000,000       1,895,300  

4.283% due 08/25/47 § ~

    2,000,000       1,954,160  

MHC Commercial Mortgage Trust
7.547% (SOFR + 2.215%)
due 04/15/38 § ~

    691,868       680,711  

PFP Ltd. (Cayman)
6.847% (SOFR + 1.514%)
due 04/14/38 § ~

    1,570,922       1,530,506  

SLG Office Trust
2.585% due 07/15/41 ~

    2,470,000       1,931,396  

Wells Fargo Commercial Mortgage Trust
6.598% (SOFR + 1.264%)
due 02/15/40 § ~

    692,901       663,259  
   

 

 

 
      40,077,537  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 4.0%

 

Anchor Mortgage Trust
2.600% due 10/25/26 ~

    805,053       752,312  

Antler Mortgage Trust
2.115% due 11/25/24 § ~

    911,803       903,340  

Connecticut Avenue Securities Trust
8.015% (SOFR + 2.700%)
due 07/25/43 § ~

    3,450,000       3,476,552  

Credit Suisse Mortgage Trust
3.023% due 08/25/60 § ~

    1,443,044       1,419,195  

CSMC Trust
1.668% due 09/27/60 § ~

    2,400,165       2,220,750  

Fannie Mae REMICS
3.500% due 11/25/57

    3,781,872       3,528,669  

Freddie Mac REMICS

   

1.500% due 01/25/51

    2,733,079       2,069,321  

2.000% due 12/25/51

    2,241,609       1,878,458  

3.500% due 01/15/48

    4,861,887       4,082,495  

Government National Mortgage Association

   

4.653% (SOFR + 1.394%)

due 02/20/71 §

    3,166,248       3,198,393  

6.712% (SOFR + 1.394%)

due 01/20/71 §

    4,612,111       4,612,689  

Government National Mortgage Association (IO)
0.601% due 03/20/71 §

    40,541,711       812,355  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

51

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

LHOME Mortgage Trust
2.090% due 02/25/26 § ~

    $232,004       $231,065  

Seasoned Credit Risk Transfer Trust

   

2.000% due 05/25/60

    5,164,648       3,931,019  

3.000% due 05/25/60

    9,981,767       8,881,351  

3.000% due 10/25/62

    3,082,354       2,507,236  

3.250% due 11/25/61

    1,627,410       1,349,483  

3.500% due 11/25/57

    2,328,297       1,984,487  

Towd Point Mortgage Trust

   

2.918% due 11/30/60 § ~

    3,258,019       2,588,996  

4.000% due 11/25/47 § ~

    682,677       628,589  
   

 

 

 
      51,056,755  
   

 

 

 

Fannie Mae - 16.6%

 

due 10/01/52 #

    1,901,782       1,509,759  

0.970% due 07/01/27

    5,593,335       4,789,526  

1.090% due 04/01/28

    2,870,623       2,408,507  

1.275% due 04/01/30

    3,596,490       2,835,035  

1.370% due 03/01/30

    3,569,753       2,851,642  

1.410% due 12/01/30

    10,170,000       7,823,625  

1.440% due 01/01/31

    1,400,000       1,076,628  

1.460% due 12/01/30

    5,000,000       3,861,503  

1.560% due 01/01/31

    2,700,000       2,096,088  

1.754% due 03/01/32 §

    3,297,814       2,546,551  

1.815% due 01/01/31

    1,011,762       811,983  

1.870% due 05/01/31

    6,400,000       5,069,408  

1.960% due 09/01/33

    3,750,000       2,795,408  

2.010% due 01/01/32

    2,200,000       1,735,050  

2.140% due 12/01/33

    2,550,000       1,980,177  

2.160% due 12/01/33

    3,100,000       2,411,543  

2.290% due 01/01/37

    3,987,165       3,009,670  

2.320% due 02/01/35

    1,912,000       1,442,342  

2.500% due 11/01/51 - 03/01/62

    18,347,813       14,455,089  

2.510% due 10/01/30

    2,730,000       2,289,355  

2.550% due 10/01/30

    905,000       769,049  

3.000% due 05/01/47 - 06/01/62

    27,105,901       22,567,647  

3.040% due 07/01/32

    2,970,659       2,565,408  

3.080% due 05/01/32

    1,875,000       1,599,291  

3.140% due 07/01/32

    1,710,000       1,456,502  

3.190% due 07/01/33

    1,754,816       1,513,037  

3.260% due 02/01/31

    800,000       703,994  

3.500% due 01/01/50 - 03/01/61

    9,098,794       7,867,569  

3.510% due 09/01/32

    5,000,000       4,375,588  

3.540% due 10/01/32

    2,676,263       2,374,421  

3.610% due 01/01/37

    2,473,457       2,240,186  

3.650% due 10/01/32

    4,566,000       4,038,244  

3.670% due 09/01/32

    546,000       481,273  

3.700% due 10/01/32

    3,958,878       3,522,815  

3.730% due 10/01/32

    4,916,406       4,376,610  

3.750% due 09/01/32

    2,610,000       2,348,041  

3.790% due 12/01/30

    2,610,000       2,376,677  

3.800% due 09/01/32

    2,210,061       1,980,109  

3.805% due 11/01/32

    1,470,000       1,315,684  

3.810% due 10/01/32

    3,930,000       3,521,257  

3.830% due 09/01/32

    2,500,000       2,245,269  

3.870% due 03/01/30

    4,592,000       4,247,460  

3.895% due 02/01/33

    3,600,000       3,239,488  

3.910% due 08/01/32

    1,300,000       1,172,333  

4.000% due 10/01/43 - 04/01/52

    4,126,005       3,716,807  

4.090% due 09/01/31 - 02/01/34

    4,484,000       4,065,672  

4.100% due 06/01/33

    4,000,000       3,657,283  

4.210% due 02/01/33

    3,000,000       2,769,953  

4.510% due 10/01/32

    4,160,000       3,952,300  

4.550% due 10/01/32 - 09/01/33

    4,155,000       3,945,596  

4.600% due 10/01/32

    4,000,000       3,813,907  

4.900% due 12/01/32

    3,045,000       2,968,092  

5.000% due 12/01/49 - 12/01/61

    21,010,712       19,973,123  

5.500% due 09/01/52 - 05/01/58

    7,626,172       7,476,442  

6.000% due 12/01/61

    2,727,141       2,803,436  
   

 

 

 
      209,839,452  
   

 

 

 
   

Principal
Amount

   

Value

 

Freddie Mac - 1.0%

   

2.500% due 07/01/50

    $3,694,016       $2,960,564  

3.000% due 10/01/51 - 02/01/52

    4,694,945       3,925,274  

3.500% due 04/01/37

    1,173,501       1,077,035  

3.700% due 06/01/34

    5,000,000       4,399,022  
   

 

 

 
      12,361,895  
   

 

 

 

Government National Mortgage Association - 6.7%

 

 

2.500% due 10/20/45 - 10/20/50

    2,954,968       2,403,604  

2.808% due 07/20/71 §

    2,451,467       2,057,006  

2.931% due 10/20/70 §

    1,889,131       1,638,644  

3.000% due 08/20/50 - 03/20/52

    4,915,779       4,172,121  

3.073% due 09/20/70 §

    5,675,742       4,884,356  

3.090% due 12/20/71 §

    2,961,838       2,509,513  

3.500% due 10/20/50 - 03/20/52

    17,586,086       15,415,694  

4.000% due 12/20/51 - 03/20/52

    4,588,981       4,123,317  

4.500% due 07/20/52 - 09/20/52

    9,455,339       8,805,053  

5.000% due 07/20/52 - 06/20/63

    16,889,943       16,122,366  

5.500% due 09/20/52 - 07/20/53

    4,626,626       4,504,110  

6.843% (UST + 1.737%)
due 10/20/71 §

    2,488,980       2,560,326  

6.912% (UST + 1.837%)
due 08/20/71 §

    2,331,367       2,408,228  

6.962% (UST + 1.703%)
due 03/20/72 §

    1,978,144       2,038,353  

6.986% (UST + 1.727%)
due 02/20/72 §

    1,976,349       2,035,814  

7.059% (UST + 1.923%)
due 08/20/72 §

    4,496,938       4,672,319  

7.077% (UST + 1.830%)
due 07/20/72 §

    3,666,666       3,812,023  
   

 

 

 
      84,162,847  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $450,475,620)

      397,498,486  
   

 

 

 

ASSET-BACKED SECURITIES - 12.7%

   

Automobile Other - 3.1%

   

American Credit Acceptance Receivables Trust
5.830% due 10/13/28 ~

    1,617,000       1,575,335  

AmeriCredit Automobile Receivables Trust
1.210% due 12/18/26

    3,060,000       2,806,380  

Carvana Auto Receivables Trust
3.430% due 01/15/26 ~

    1,070,769       1,063,327  

Credit Acceptance Auto Loan Trust

   

1.640% due 06/17/30 ~

    3,815,000       3,622,375  

2.730% due 11/15/29 ~

    2,500,000       2,496,284  

Drive Auto Receivables Trust
3.180% due 10/15/26

    1,291,932       1,290,312  

DT Auto Owner Trust

   

1.100% due 02/16/27 ~

    1,155,000       1,129,609  

2.960% due 04/15/25 ~

    604,152       602,201  

Exeter Automobile Receivables Trust
5.980% due 12/15/28

    3,400,000       3,336,579  

Flagship Credit Auto Trust

   

2.180% due 02/16/27 ~

    1,762,000       1,649,973  

6.000% due 07/17/28 ~

    3,148,000       3,049,007  

GLS Auto Receivables Issuer Trust

   

1.140% due 11/17/25 ~

    184,708       183,353  

1.640% due 10/15/26 ~

    425,000       409,540  

5.340% due 06/15/28 ~

    1,889,000       1,854,006  

6.420% due 06/15/28 ~

    2,000,000       1,976,515  

Santander Consumer Auto Receivables Trust
1.570% due 01/15/27 ~

    1,400,000       1,287,237  

Santander Drive Auto Receivables Trust
4.430% due 03/15/27

    1,539,000       1,509,838  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

52

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Tricolor Auto Securitization Trust
1.920% due 05/15/26 ~

    $363,716       $361,838  

United Auto Credit Securitization Trust
1.140% due 06/10/26 ~

    337,445       334,822  

Westlake Automobile Receivables Trust

   

5.480% due 09/15/27 ~

    3,300,000       3,223,907  

6.020% due 09/15/28 ~

    2,100,000       2,087,655  

6.680% due 04/17/28 ~

    2,900,000       2,891,334  
   

 

 

 
      38,741,427  
   

 

 

 

Automobile Sequential - 0.1%

   

Credit Acceptance Auto Loan Trust
6.390% due 08/15/33 ~

    1,600,000       1,596,911  

Credito Real USA Auto Receivables Trust
1.350% due 02/16/27 ~

    95,990       95,192  

FHF Trust
1.270% due 03/15/27 ~

    115,672       111,781  
   

 

 

 
      1,803,884  
   

 

 

 

Credit Card Other - 0.4%

 

Consumer Receivables Asset Investment Trust
9.058% (SOFR + 3.750%)
due 12/15/24 § ~

    355,781       356,826  

Continental Finance Credit Card ABS Master Trust

   

2.240% due 12/15/28 ~

    2,170,000       2,108,577  

6.190% due 10/15/30 ~

    2,870,000       2,774,022  
   

 

 

 
      5,239,425  
   

 

 

 

Manufactured Housing Sequential - 0.3%

 

Cascade MH Asset Trust

   

2.708% due 02/25/46 ~

    1,420,000       1,055,666  

4.250% due 08/25/54 § ~

    3,307,381       2,908,429  
   

 

 

 
      3,964,095  
   

 

 

 

Other Asset-Backed Securities - 8.8%

 

Ajax Mortgage Loan Trust
2.239% due 06/25/66 § ~

    1,202,007       1,142,065  

American Homes 4 Rent Trust
5.885% due 04/17/52 ~

    2,135,000       2,102,084  

AMSR Trust
2.006% due 11/17/37 ~

    2,120,000       1,919,764  

2.327% due 10/17/38 ~

    1,342,000       1,142,011  

2.751% due 06/17/38 ~

    3,650,000       2,953,159  

4.000% due 10/17/39 ~

    3,000,000       2,595,817  

Aqua Finance Trust
3.970% due 07/17/46 ~

    1,225,000       1,053,367  

Business Jet Securities LLC

   

2.918% due 04/15/36 ~

    3,632,052       3,230,586  

2.981% due 11/15/35 ~

    812,367       762,202  

Cars Net Lease Mortgage Notes
3.100% due 12/15/50 ~

    424,088       345,490  

CFIN Issuer LLC
3.250% due 02/16/26 ~

    1,717,623       1,619,579  

CFMT LLC
1.374% due 02/25/31 § ~

    3,815,000       3,628,393  

DataBank Issuer
2.060% due 02/27/51 ~

    1,300,000       1,143,381  

Diversified Abs Phase VI LLC
7.500% due 11/28/39

    1,670,200       1,619,288  

FirstKey Homes Trust

   

2.389% due 08/17/38 ~

    5,500,000       4,780,942  

5.197% due 05/17/39 ~

    915,000       850,205  

FMC GMSR Issuer Trust

   

3.620% due 07/25/26 § ~

    4,600,000       3,782,906  

3.690% due 02/25/24

    4,260,000       4,081,647  

3.850% due 10/25/26 § ~

    2,100,000       1,728,436  

4.450% due 01/25/26 § ~

    2,700,000       2,343,863  

6.190% due 04/25/27 ~

    3,000,000       2,789,383  

7.900% due 07/25/27 ~

    3,000,000       2,960,559  
   

Principal
Amount

   

Value

 

Goodgreen Trust (Jersey)
5.900% due 01/17/61 ~

    $1,975,164       $1,850,406  

Hilton Grand Vacations Trust
4.300% due 01/25/37 ~

    1,700,750       1,631,596  

Jonah Energy Abs I LLC
7.200% due 12/10/37 ~

    1,421,442       1,386,929  

Jonah Energy LLC
7.800% due 11/10/37 ~

    1,768,294       1,711,885  

LendingPoint Asset Securitization Trust
2.731% due 10/15/28 ~

    24,053       24,053  

LFT CRE Ltd.
7.397% (SOFR + 2.064%)
due 06/15/39 § ~

    2,590,000       2,427,801  

LP LMS Asset Securitization Trust
1.750% due 01/15/29 ~

    419,723       415,439  

Mariner Finance Issuance Trust
2.960% due 07/20/32 ~

    84,209       84,018  

MVW LLC
1.140% due 01/22/41 ~

    601,788       546,829  

New Residential Mortgage Loan Trust
4.000% due 09/04/39 ~

    2,537,000       2,170,527  

NRZ Excess Spread-Collateralized Notes 2.981% due 03/25/26 ~

    1,133,757       1,034,144  

3.104% due 07/25/26 ~

    2,458,553       2,199,596  

3.228% due 05/25/26 ~

    1,344,442       1,224,277  

3.844% due 12/25/25 ~

    873,755       815,859  

Octane Receivables Trust

   

2.890% due 03/20/26 ~

    2,600,000       2,532,975  

6.290% due 07/20/28 ~

    2,613,000       2,581,043  

OneMain Financial Issuance Trust
3.450% due 09/14/35 ~

    675,000       576,270  

Pagaya AI Technology in Housing Trust
4.250% due 08/25/25 ~

    3,000,000       2,856,366  

PNMAC GMSR Issuer Trust
9.565% (SOFR + 4.250%)
due 05/25/27 § ~

    1,730,000       1,734,767  

PRET LLC
2.487% due 10/25/51 § ~

    3,160,262       2,880,880  

Pretium Mortgage Credit Partners I LLC
2.240% due 09/27/60 § ~

    1,540,911       1,491,895  

Progress Residential Trust

   

2.106% due 04/17/38 ~

    3,250,000       2,852,020  

2.409% due 05/17/38 ~

    1,570,000       1,366,084  

2.425% due 07/17/38 ~

    2,530,000       2,191,819  

2.538% due 05/17/26 ~

    1,650,000       1,442,372  

2.547% due 04/19/38 ~

    2,550,000       2,242,848  

2.811% due 11/17/40 ~

    1,000,000       798,842  

5.200% due 04/17/39 ~

    1,685,000       1,550,618  

PRPM LLC

   

2.115% due 01/25/26 § ~

    1,244,225       1,177,543  

2.115% due 03/25/26 § ~

    807,829       777,809  

Regional Management Issuance Trust

   

1.680% due 03/17/31 ~

    1,217,000       1,145,687  

2.420% due 03/17/31 ~

    895,000       795,971  

3.800% due 10/15/30 ~

    2,000,000       1,803,948  

SCF Equipment Leasing LLC
1.540% due 10/21/30 ~

    2,055,000       1,882,850  

Sierra Timeshare Receivables Funding LLC
1.340% due 11/20/37 ~

    443,183       413,585  

Upstart Securitization Trust
5.980% due 08/20/32 ~

    2,249,450       2,233,674  

VCAT LLC
2.289% due 12/26/50 § ~

    1,001,467       971,984  

VOLT XCII LLC
1.893% due 02/27/51 § ~

    508,075       479,905  

VOLT XCIII LLC
1.893% due 02/27/51 § ~

    1,893,723       1,768,198  

VOLT XCIV LLC
2.240% due 02/27/51 § ~

    1,303,945       1,234,602  

VOLT XCIX LLC
2.116% due 04/25/51 § ~

    901,006       842,483  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

53

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

VOLT XCVI LLC
2.116% due 03/27/51 § ~

    $1,008,170       $958,598  

VOLT XCVII LLC
2.240% due 04/25/51 § ~

    1,071,398       1,002,891  
   

 

 

 
      110,687,013  
   

 

 

 

Total Asset-Backed Securities
(Cost $170,834,575)

      160,435,844  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 27.1%

 

U.S. Treasury Bonds - 10.0%

 

1.125% due 08/15/40

    6,945,000       3,950,783  

1.250% due 05/15/50

    127,000       59,951  

1.375% due 08/15/50

    11,770,000       5,747,070  

1.625% due 11/15/50

    6,885,000       3,608,036  

1.875% due 02/15/51

    7,498,800       4,204,747  

1.875% due 11/15/51

    8,070,000       4,500,601  

2.000% due 11/15/41

    5,200,000       3,376,445  

2.000% due 08/15/51

    6,815,000       3,934,065  

2.250% due 05/15/41

    13,162,000       9,036,022  

2.250% due 08/15/46

    950,000       602,656  

2.375% due 02/15/42

    4,790,000       3,312,491  

2.375% due 05/15/51

    260,000       164,958  

2.750% due 08/15/42

    5,700,000       4,180,483  

2.875% due 08/15/45

    4,210,000       3,050,606  

2.875% due 05/15/52

    21,300,000       15,107,191  

3.125% due 02/15/43

    368,000       284,977  

3.250% due 05/15/42

    43,715,000       34,844,782  

3.625% due 02/15/53

    13,750,000       11,374,902  

3.875% due 08/15/40

    2,000,000       1,776,445  

3.875% due 02/15/43

    12,435,000       10,824,279  

3.875% due 05/15/43

    260,000       226,078  

4.250% due 05/15/39

    2,000,000       1,886,563  
   

 

 

 
      126,054,131  
   

 

 

 

U.S. Treasury Notes - 17.0%

   

0.375% due 01/31/26

    115,000       103,540  

1.250% due 03/31/28

    5,485,000       4,734,883  

1.500% due 02/15/30

    1,075,000       891,326  

1.625% due 05/15/31

    565,000       458,842  

1.875% due 02/28/27

    4,745,000       4,319,433  

1.875% due 02/28/29

    7,300,000       6,340,734  

1.875% due 02/15/32

    6,000,000       4,874,766  

2.500% due 02/28/26

    270,000       255,356  

2.625% due 07/31/29

    28,130,000       25,243,378  

2.750% due 07/31/27

    65,080,000       60,633,714  

2.875% due 04/30/29

    15,475,000       14,134,841  

2.875% due 05/15/32

    6,175,000       5,421,216  

3.125% due 08/31/27

    1,925,000       1,817,095  

3.125% due 08/31/29

    1,900,000       1,751,266  

3.250% due 06/30/29

    7,400,000       6,877,953  

3.375% due 05/15/33

    8,395,000       7,614,527  

3.500% due 04/30/28

    52,000,000       49,568,594  

3.500% due 04/30/30

    10,800,000       10,109,391  

3.500% due 02/15/33

    2,555,000       2,344,612  

4.125% due 07/31/28

    7,000,000       6,849,609  
   

 

 

 
      214,345,076  
   

 

 

 

U.S. Treasury Strip Coupon - 0.1%

   

0.000% due 11/15/40

    2,320,00       972,584  

0.000% due 02/15/41

    1,486,372       614,694  
   

 

 

 
      1,587,278  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $407,929,085)

 

    341,986,485  
 

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 0.4%

 

Chile Government (Chile)
2.550% due 01/27/32

    272,000       220,315  

Mexico Government (Mexico)

   

2.659% due 05/24/31

    596,000       471,754  
   

Principal
Amount

   

Value

 

3.500% due 02/12/34

    $868,000       $680,865  

3.750% due 01/11/28

    730,000       677,013  

4.400% due 02/12/52

    475,000       330,405  

4.600% due 01/23/46

    480,000       355,487  

4.875% due 05/19/33

    1,000,000       898,059  

6.338% due 05/04/53

    200,000       182,513  

Panama Government (Panama)

   

3.160% due 01/23/30

    480,000       404,621  

4.500% due 04/16/50

    415,000       283,675  

Saudi Government (Saudi Arabia)
2.250% due 02/02/33 ~

    338,000       259,550  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $6,040,840)

 

    4,764,257  
 

 

 

 

MUNICIPAL BONDS - 0.2%

 

California State Build America Bonds
7.350% due 11/01/39

    1,000,000       1,140,689  

Oklahoma Development Finance Authority
4.714% due 05/01/52

    445,000       401,909  

Texas Natural Gas Securitization Finance Corp.

   

5.102% due 04/01/35

    445,000       436,801  

5.169% due 04/01/41

    745,000       712,638  

University of California
3.706% due 05/15/20

    675,000       419,868  
   

 

 

 

Total Municipal Bonds
(Cost $3,874,526)

 

    3,111,905  
 

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $1,441,960,940)

      1,257,993,733  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

 

    5,611,251  
 

 

 

 

NET ASSETS - 100.0%

 

    $1,263,604,984  
 

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

54

PACIFIC SELECT FUND

INTERMEDIATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $350,196,756        $-        $350,196,756        $-  
 

Mortgage-Backed Securities

     397,498,486        -        397,498,486        -  
 

Asset-Backed Securities

     160,435,844        -        160,435,844        -  
 

U.S. Treasury Obligations

     341,986,485        -        341,986,485        -  
 

Foreign Government Bonds & Notes

     4,764,257        -        4,764,257        -  
 

Municipal Bonds

     3,111,905        -        3,111,905        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     1,257,993,733        -        1,257,993,733        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Due to Custodian

     (126,731      -        (126,731      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (126,731      -        (126,731      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,257,867,002        $-        $1,257,867,002        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

55

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 0.1%

 

Energy - 0.1%

 

Drillco Holdings Luxembourg SA * W ± (Luxembourg)

    34,768       $912,660  
   

 

 

 

Financial - 0.0%

 

CBL & Associates Properties, Inc. REIT

    9,021       189,261  
   

 

 

 

Total Common Stocks
(Cost $820,792)

      1,101,921  
   

 

 

 
   

Principal

Amount

       

CORPORATE BONDS & NOTES - 34.4%

 

Communications - 0.6%

 

AT&T, Inc.
1.700% due 03/25/26

    $3,700,000       3,358,063  

Charter Communications Operating LLC/ Charter Communications Operating Capital
3.850% due 04/01/61

    7,500,000       4,196,471  

T-Mobile USA, Inc.
3.375% due 04/15/29

    7,200,000       6,339,273  
   

 

 

 
      13,893,807  
   

 

 

 

Consumer, Cyclical - 3.9%

 

Air Canada Pass-Through Trust (Canada)
3.750% due 06/15/29 ~

    1,457,391       1,336,138  

Alaska Airlines Pass-Through Trust
4.800% due 02/15/29 ~

    4,971,429       4,774,684  

American Airlines Pass-Through Trust A

   

2.875% due 01/11/36

    4,500,022       3,723,805  

3.250% due 04/15/30

    2,090,298       1,792,380  

4.000% due 01/15/27

    542,822       514,785  

American Airlines Pass-Through Trust AA
3.000% due 04/15/30

    3,207,543       2,875,852  

American Honda Finance Corp.
5.958% (SOFR + 0.670%)
due 01/10/25 §

    4,600,000       4,603,657  

Daimler Truck Finance North America LLC (Germany)
6.094% (SOFR + 0.750%)
due 12/13/24 § ~

    6,650,000       6,641,386  

Ford Motor Credit Co. LLC

   

2.748% due 06/14/24

    GBP 300,000       354,354  

3.021% due 03/06/24

    EUR 1,900,000       1,993,022  

3.375% due 11/13/25

    $2,300,000       2,135,932  

Hyatt Hotels Corp.
1.800% due 10/01/24

    7,200,000       6,909,974  

Hyundai Capital America

   

1.650% due 09/17/26 ~

    7,200,000       6,357,265  

5.650% due 06/26/26 ~

    3,400,000       3,372,273  

6.491% (SOFR + 1.150%)
due 08/04/25 § ~

    3,100,000       3,101,893  

JetBlue Pass-Through Trust Class A
4.000% due 05/15/34

    7,360,386       6,641,123  

Nissan Motor Acceptance Co. LLC
2.750% due 03/09/28 ~

    5,900,000       4,943,045  

Toyota Motor Credit Corp.

   

5.830% (SOFR + 0.520%)
due 08/22/24 §

    3,500,000       3,503,807  

6.060% (SOFR + 0.750%)
due 12/11/23 §

    3,300,000       3,303,196  
   

Principal

Amount

    Value  

United Airlines Pass-Through Trust

   

2.700% due 11/01/33

    $4,192,767       $3,468,710  

5.800% due 07/15/37

    4,700,000       4,586,578  

Volkswagen Group of America Finance LLC (Germany)

   

4.625% due 11/13/25 ~

    1,000,000       975,367  

5.650% due 09/12/28 ~

    6,200,000       6,101,158  
   

 

 

 
      84,010,384  
   

 

 

 

Consumer, Non-Cyclical - 2.5%

   

Bacardi Ltd. (Bermuda)
4.450% due 05/15/25 ~

    6,700,000       6,504,759  

BAT International Finance PLC
(United Kingdom)
5.931% due 02/02/29

    4,700,000       4,616,334  

Becton Dickinson & Co.
1.957% due 02/11/31

    7,900,000       6,172,308  

CommonSpirit Health
6.073% due 11/01/27

    4,200,000       4,239,999  

Constellation Brands, Inc.
3.700% due 12/06/26

    4,400,000       4,156,871  

CVS Pass-Through Trust
6.943% due 01/10/30

    136,082       136,279  

Duke University
2.682% due 10/01/44

    9,600,000       6,447,139  

Elevance Health, Inc.
2.375% due 01/15/25

    3,400,000       3,248,587  

General Mills, Inc.
6.580% (SOFR + 1.272%)
due 10/17/23 §

    1,000,000       1,000,270  

HCA, Inc.
3.375% due 03/15/29

    7,300,000       6,399,472  

Imperial Brands Finance PLC (United Kingdom)

   

3.125% due 07/26/24 ~

    6,200,000       6,043,317  

3.875% due 07/26/29 ~

    3,300,000       2,907,440  

Mylan, Inc.
4.200% due 11/29/23

    1,500,000       1,495,407  
   

 

 

 
      53,368,182  
   

 

 

 

Energy - 1.5%

   

FORESEA Holding SA (Luxembourg)
7.500% due 06/15/30 ~

    358,998       337,817  

Midwest Connector Capital Co. LLC
3.900% due 04/01/24 ~

    4,100,000       4,035,559  

Odebrecht Oil & Gas Finance Ltd. (Brazil)
0.000% due 10/30/23 ~

    1,012,000       23,908  

ONEOK, Inc.
6.625% due 09/01/53

    4,100,000       4,019,598  

Petroleos Mexicanos (Mexico)
10.000% due 02/07/33 ~

    1,900,000       1,693,149  

Pioneer Natural Resources Co.
5.100% due 03/29/26

    2,300,000       2,271,221  

Rio Oil Finance Trust (Brazil)

   

9.250% due 07/06/24 ~

    367,754       370,926  

9.750% due 01/06/27 ~

    2,752,127       2,844,970  

Sabine Pass Liquefaction LLC
4.500% due 05/15/30

    6,800,000       6,238,469  

Targa Resources Corp.
5.200% due 07/01/27

    6,600,000       6,471,229  

Western Midstream Operating LP
6.350% due 01/15/29

    3,900,000       3,911,669  
   

 

 

 
      32,218,515  
   

 

 

 

Financial - 18.5%

   

AerCap Ireland Capital DAC/AerCap Global Aviation Trust (Ireland)
6.100% due 01/15/27

    2,800,000       2,787,710  

American Tower Corp. REIT
2.100% due 06/15/30

    8,000,000       6,233,257  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

56

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

    Value  

Aviation Capital Group LLC
4.125% due 08/01/25 ~

    $6,620,000       $6,301,030  

Banco Bilbao Vizcaya Argentaria SA (Spain)
1.125% due 09/18/25

    3,400,000       3,096,667  

Banco Espirito Santo SA (Portugal)

   

2.625% * Y ~

    EUR 1,000,000       290,744  

4.750% * Y ~

    5,600,000       1,628,165  

Bank of America Corp.

   

5.015% due 07/22/33

    $6,500,000       5,983,299  

5.819% due 09/15/29

    5,500,000       5,434,781  

Bank of America NA
6.362% (SOFR + 1.020%)
due 08/18/26 §

    4,200,000       4,218,526  

Bank of Ireland Group PLC (Ireland)
6.253% due 09/16/26 ~

    6,400,000       6,365,075  

Bank of Montreal (Canada)
4.689% due 07/28/29 ~

    5,500,000       5,368,823  

Bank of Nova Scotia (Canada)
5.450% due 06/12/25

    1,000,000       990,632  

Barclays PLC (United Kingdom)

   

3.375% due 04/02/25 ~

    EUR  900,000       945,923  

7.224% (SOFR + 1.880%)
due 09/13/27 §

    $3,600,000       3,615,019  

7.385% due 11/02/28

    4,000,000       4,105,775  

BGC Partners, Inc.

   

3.750% due 10/01/24

    700,000       673,839  

8.000% due 05/25/28 ~

    2,400,000       2,364,560  

BNP Paribas SA (France)

   

1.904% due 09/30/28 ~

    3,600,000       3,048,702  

3.132% due 01/20/33 ~

    7,800,000       6,135,886  

CaixaBank SA (Spain)
6.684% due 09/13/27 ~

    3,700,000       3,699,947  

Citibank NA
5.864% due 09/29/25

    3,100,000       3,103,588  

Citigroup, Inc.

 

2.572% due 06/03/31

    8,100,000       6,462,227  

3.070% due 02/24/28

    3,600,000       3,266,851  

Cooperatieve Rabobank UA (Netherlands)

   

4.655% due 08/22/28 ~

    6,700,000       6,365,515  

5.500% due 07/18/25

    300,000       298,728  

Corebridge Global Funding
5.750% due 07/02/26 ~

    1,400,000       1,383,864  

Credit Suisse AG (Switzerland)

   

7.500% due 02/15/28

    2,000,000       2,093,110  

7.950% due 01/09/25

    2,000,000       2,036,122  

Crown Castle, Inc. REIT

   

2.250% due 01/15/31

    7,900,000       6,137,103  

3.700% due 06/15/26

    2,277,000       2,154,920  

CTP NV (Netherlands)
0.875% due 01/20/26 ~

    EUR 2,100,000       1,978,352  

CubeSmart LP REIT
2.500% due 02/15/32

    $3,200,000       2,436,774  

Deutsche Bank AG (Germany)
3.961% due 11/26/25

    13,500,000       13,043,770  

Digital Realty Trust LP REIT
3.600% due 07/01/29

    4,500,000       3,979,483  

EPR Properties REIT
4.500% due 04/01/25

    2,200,000       2,121,045  

Essex Portfolio LP REIT
3.375% due 04/15/26

    3,500,000       3,307,378  

Extra Space Storage LP
3.875% due 12/15/27

    2,600,000       2,384,961  

Federation des Caisses Desjardins du Quebec (Canada)
4.400% due 08/23/25 ~

    7,000,000       6,777,522  

GA Global Funding Trust
1.250% due 12/08/23 ~

    7,000,000       6,931,400  

GLP Capital LP/GLP Financing II, Inc. REIT
4.000% due 01/15/30

    1,800,000       1,528,650  

Goldman Sachs Group, Inc.

   

3.500% due 04/01/25

    3,400,000       3,274,679  
   

Principal

Amount

    Value  

5.798% due 08/10/26

    $2,900,000       $2,878,713  

6.407% (SOFR + 1.065%)
due 08/10/26 §

    2,900,000       2,901,101  

Host Hotels & Resorts LP REIT

   

3.875% due 04/01/24

    700,000       691,296  

4.000% due 06/15/25

    1,350,000       1,300,962  

HSBC Holdings PLC (United Kingdom)
7.390% due 11/03/28

    8,500,000       8,796,838  

HSBC USA, Inc.
5.625% due 03/17/25

    4,600,000       4,574,090  

ING Groep NV (Netherlands)
6.905% (SOFR + 1.560%)
due 09/11/27 §

    4,700,000       4,716,277  

Intesa Sanpaolo SpA (Italy)
3.250% due 09/23/24 ~

    7,300,000       7,075,736  

JPMorgan Chase & Co.

   

2.083% due 04/22/26

    800,000       751,104  

4.851% due 07/25/28

    4,800,000       4,628,187  

4.912% due 07/25/33

    6,400,000       5,891,006  

5.546% due 12/15/25

    4,300,000       4,271,805  

KBC Group NV (Belgium)
5.796% due 01/19/29 ~

    2,600,000       2,541,299  

Kilroy Realty LP REIT
4.375% due 10/01/25

    2,600,000       2,491,841  

Lloyds Banking Group PLC (United Kingdom)

   

4.450% due 05/08/25

    4,500,000       4,376,036  

5.985% due 08/07/27

    2,300,000       2,280,019  

Logicor Financing SARL (Luxembourg)
1.625% due 01/17/30 ~

    EUR 2,300,000       1,844,460  

Manulife Financial Corp. (Canada)
4.150% due 03/04/26

    $500,000       483,227  

MassMutual Global Funding II

   

5.050% due 12/07/27 ~

    4,000,000       3,937,680  

6.283% (SOFR + 0.980%)
due 07/10/26 § ~

    3,000,000       3,006,152  

Mid-America Apartments LP REIT
4.200% due 06/15/28

    3,000,000       2,821,627  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

1.412% due 07/17/25

    6,900,000       6,368,102  

5.133% due 07/20/33

    6,500,000       6,091,016  

6.287% (SOFR + 0.940%)
due 02/20/26 §

    500,000       500,378  

Mizuho Financial Group, Inc. (Japan)

   

2.201% due 07/10/31

    8,700,000       6,733,720  

5.414% due 09/13/28

    3,300,000       3,231,627  

Morgan Stanley
4.889% due 07/20/33

    6,500,000       5,909,495  

Natwest Group PLC (United Kingdom)
2.000% due 03/04/25 ~

    EUR 4,600,000       4,812,407  

NNN REIT, Inc.
3.500% due 10/15/27

    $5,600,000       5,118,237  

Nomura Holdings, Inc. (Japan)

   

2.172% due 07/14/28

    500,000       415,241  

2.679% due 07/16/30

    6,700,000       5,324,356  

5.842% due 01/18/28

    1,700,000       1,676,720  

6.181% due 01/18/33

    2,500,000       2,472,998  

Northwestern Mutual Global Funding
4.900% due 06/12/28 ~

    3,700,000       3,606,410  

Omega Healthcare Investors, Inc. REIT
4.750% due 01/15/28

    590,000       546,567  

Pricoa Global Funding I
4.200% due 08/28/25 ~

    4,500,000       4,376,601  

Principal Life Global Funding II
5.500% due 06/28/28 ~

    6,300,000       6,184,963  

Protective Life Global Funding
5.209% due 04/14/26 ~

    3,200,000       3,136,613  

Public Storage Operating Co. REIT
3.094% due 09/15/27

    600,000       553,604  

Regency Centers LP REIT
4.125% due 03/15/28

    3,500,000       3,244,222  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

57

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

    Value  

Santander Holdings USA, Inc.
2.490% due 01/06/28

    $6,025,000       $5,234,943  

Scentre Group Trust 1/Scentre Group Trust 2 REIT (Australia)
3.625% due 01/28/26 ~

    7,300,000       6,938,920  

Societe Generale SA (France)
3.337% due 01/21/33 ~

    8,000,000       6,213,079  

Spirit Realty LP REIT
3.200% due 01/15/27

    8,100,000       7,346,886  

Standard Chartered PLC (United Kingdom)

   

1.456% due 01/14/27 ~

    4,000,000       3,574,084  

6.273% (SOFR + 0.930%)
due 11/23/25 § ~

    5,400,000       5,381,050  

STORE Capital Corp. REIT
4.500% due 03/15/28

    7,600,000       6,692,699  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

1.902% due 09/17/28

    6,000,000       4,956,548  

5.464% due 01/13/26

    1,600,000       1,584,468  

Synchrony Bank
5.625% due 08/23/27

    5,600,000       5,230,301  

Tesco Property Finance 4 PLC
(United Kingdom)
5.801% due 10/13/40 ~

    GBP 183,913       210,101  

Tesco Property Finance 5 PLC
(United Kingdom)
5.661% due 10/13/41 ~

    94,454       105,996  

Toronto-Dominion Bank (Canada)
4.701% due 06/05/27 ~

    $3,400,000       3,341,800  

Truist Financial Corp.
5.900% due 10/28/26

    6,000,000       5,935,709  

UBS Group AG (Switzerland)

   

3.869% due 01/12/29 ~

    9,100,000       8,247,696  

5.711% due 01/12/27 ~

    2,800,000       2,765,377  

6.537% due 08/12/33 ~

    8,500,000       8,405,955  

UniCredit SpA (Italy)
7.830% due 12/04/23 ~

    8,700,000       8,710,950  

Virgin Money UK PLC (United Kingdom)
4.000% due 09/03/27 ~

    GBP 500,000       558,823  

Wells Fargo & Co.

   

2.393% due 06/02/28

    $2,200,000       1,930,044  

4.808% due 07/25/28

    600,000       572,687  

5.574% due 07/25/29

    4,700,000       4,587,166  

Wells Fargo Bank NA

   

5.450% due 08/07/26

    2,700,000       2,682,817  

5.550% due 08/01/25

    2,000,000       1,994,059  
   

 

 

 
      400,119,293  
   

 

 

 

Industrial - 1.2%

   

Boeing Co.
1.433% due 02/04/24

    3,500,000       3,444,691  

Canadian Pacific Railway Co. (Canada)
3.125% due 06/01/26

    9,800,000       9,206,679  

Fortune Brands Innovations, Inc.
3.250% due 09/15/29

    8,200,000       7,114,639  

GATX Corp.
4.000% due 06/30/30

    7,400,000       6,512,069  
   

 

 

 
      26,278,078  
   

 

 

 

Technology - 2.1%

   

Amdocs Ltd.
2.538% due 06/15/30

    4,700,000       3,773,618  

Broadcom, Inc.

   

2.600% due 02/15/33 ~

    1,800,000       1,343,046  

3.137% due 11/15/35 ~

    7,388,000       5,389,003  

3.469% due 04/15/34 ~

    3,639,000       2,859,587  

Dell International LLC/EMC Corp.
5.850% due 07/15/25

    9,200,000       9,189,595  

NXP BV/NXP Funding LLC (China)
4.875% due 03/01/24

    5,900,000       5,871,101  
   

Principal

Amount

    Value  

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

    $4,000,000       $3,804,582  

Open Text Corp. (Canada)
6.900% due 12/01/27 ~

    8,100,000       8,125,726  

Oracle Corp.

   

2.875% due 03/25/31

    2,900,000       2,370,084  

6.150% due 11/09/29

    2,700,000       2,742,264  
   

 

 

 
      45,468,606  
   

 

 

 

Utilities - 4.1%

   

AES Corp.
5.450% due 06/01/28

    4,000,000       3,864,396  

DTE Electric Co.
4.050% due 05/15/48

    100,000       76,043  

Enel Finance America LLC (Italy)
7.100% due 10/14/27 ~

    2,900,000       3,001,549  

Enel Finance International NV (Italy)
2.250% due 07/12/31 ~

    7,500,000       5,673,362  

Entergy Louisiana LLC
2.350% due 06/15/32

    7,700,000       5,930,323  

Evergy, Inc.
2.450% due 09/15/24

    8,800,000       8,503,982  

National Grid PLC (United Kingdom)
5.602% due 06/12/28

    3,400,000       3,365,595  

National Rural Utilities Cooperative Finance Corp.
4.800% due 03/15/28

    2,600,000       2,537,225  

New York State Electric & Gas Corp.
2.150% due 10/01/31 ~

    7,200,000       5,382,217  

NextEra Energy Capital Holdings, Inc.
2.250% due 06/01/30

    9,600,000       7,692,286  

Pacific Gas & Electric Co.

   

1.700% due 11/15/23

    3,300,000       3,281,746  

2.950% due 03/01/26

    2,100,000       1,935,898  

3.500% due 06/15/25

    2,400,000       2,281,905  

5.450% due 06/15/27

    4,800,000       4,623,404  

6.400% due 06/15/33

    4,800,000       4,631,324  

Pennsylvania Electric Co.
3.600% due 06/01/29 ~

    4,300,000       3,837,703  

ReNew Wind Energy AP2/ReNew Power Pvt Ltd. other 9 Subsidiaries (India)
4.500% due 07/14/28 ~

    5,900,000       4,964,227  

Southern California Edison Co.
2.500% due 06/01/31

    7,000,000       5,571,012  

Southern Co.
3.250% due 07/01/26

    5,700,000       5,347,594  

WEC Energy Group, Inc.
1.800% due 10/15/30

    8,400,000       6,397,957  
   

 

 

 
      88,899,748  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $810,101,935)

      744,256,613  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 71.5%

 

Collateralized Mortgage Obligations - Commercial - 8.0%

 

1211 Avenue of the Americas Trust
3.901% due 08/10/35 ~

    9,600,000       8,987,635  

Arbor Multifamily Mortgage Securities Trust
2.756% due 05/15/53 ~

    4,900,000       4,080,274  

AREIT LLC
7.573% (SOFR + 2.242%)
due 06/17/39 § ~

    5,600,000       5,598,891  

Ashford Hospitality Trust
6.505% (SOFR + 1.172%)
due 06/15/35 § ~

    5,254,048       5,197,455  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

58

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

    Value  

Atrium Hotel Portfolio Trust
6.580% (SOFR + 1.247%)
due 06/15/35 § ~

    $6,500,000       $6,376,189  

Austin Fairmont Hotel Trust
6.430% (SOFR + 1.097%)
due 09/15/32 § ~

    4,500,000       4,479,452  

BAMLL Commercial Mortgage Securities Trust
6.498% (SOFR + 1.164%)
due 09/15/38 § ~

    7,000,000       6,638,126  

BDS LLC
7.464% (SOFR + 2.137%)
due 08/19/38 § ~

    6,500,000       6,478,478  

Benchmark Mortgage Trust
3.458% due 03/15/55

    6,500,000       5,493,003  

BX Commercial Mortgage Trust
6.135% (SOFR + 0.803%)
due 10/15/38 § ~

    4,582,111       4,480,757  

Cantor Commercial Real Estate Lending
2.874% due 11/15/52

    6,200,000       5,175,069  

CFCRE Commercial Mortgage Trust
3.060% due 11/10/49

    3,199,545       3,060,832  

Citigroup Commercial Mortgage Trust

   

2.984% due 11/15/49

    4,442,326       4,260,231  

3.778% due 09/10/58

    5,900,000       5,538,539  

CLNC Ltd. (Cayman)
6.692% (SOFR + 1.364%)
due 08/20/35 § ~

    209,309       209,518  

DBGS Mortgage Trust
3.843% due 04/10/37 ~

    8,700,000       6,937,157  

DBWF Mortgage Trust
6.508% (SOFR + 1.177%)
due 12/19/30 § ~

    6,600,000       6,559,746  

DOLP Trust
2.956% due 05/10/41 ~

    7,000,000       5,346,389  

Extended Stay America Trust
6.527% (SOFR + 1.194%)
due 07/15/38 § ~

    6,653,413       6,603,374  

GS Mortgage Securities Corp. II
8.733% (SOFR + 3.400%)
due 08/15/39 § ~

    6,700,000       6,698,130  

GS Mortgage Securities Trust
3.722% due 10/10/49 § ~

    7,000,000       5,699,907  

JP Morgan Chase Commercial Mortgage Securities Trust
6.830% (SOFR + 1.497%)
due 12/15/31 § ~

    3,269,759       2,796,411  

6.948% (SOFR + 1.364%)
due 09/15/29 § ~

    1,902,780       1,759,308  

Manhattan West 2020-1MW Mortgage Trust
2.130% due 09/10/39 ~

    8,600,000       7,374,737  

MF1 Multifamily Housing Mortgage Loan Trust
6.297% (SOFR + 0.964%)
due 07/15/36 § ~

    2,219,811       2,197,660  

Morgan Stanley Bank of America Merrill Lynch Trust
3.150% due 03/15/48

    1,630,680       1,591,245  

Morgan Stanley Capital I Trust
2.509% due 04/05/42 § ~

    4,900,000       3,564,591  

NYO Commercial Mortgage Trust
6.543% (SOFR + 1.209%)
due 11/15/38 § ~

    11,200,000       10,008,896  

One New York Plaza Trust
6.398% (SOFR + 1.064%)
due 01/15/36 § ~

    3,780,000       3,597,266  

PFP Ltd. (Bermuda)
7.607% (SOFR + 2.274%)
due 08/19/35 § ~

    6,400,000       6,408,429  
   

Principal

Amount

    Value  

Ready Capital Mortgage Financing LLC
7.872% (SOFR + 2.552%)
due 10/25/39 § ~

    $6,091,339       $6,087,252  

STWD Ltd. (Cayman)
6.527% (SOFR + 1.194%)
due 07/15/38 § ~

    3,301,342       3,240,267  

STWD Mortgage Trust (Cayman)
6.305% (SOFR + 0.972%)
due 11/15/36 § ~

    7,100,000       6,926,470  

Wells Fargo Commercial Mortgage Trust
3.809% due 12/15/48

    4,837,000       4,582,751  
   

 

 

 
      174,034,435  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 8.7%

 

Alternative Loan Trust (Switzerland)
6.054% (SOFR + 0.734%)
due 10/25/35 § W ±

    82       80  

Alternative Loan Trust (IO)
0.000% (4.886% - SOFR)
due 05/25/35 §

    619,924       12,375  

Banc of America Funding Trust

   

3.310% due 08/25/47 § ~

    3,218,571       2,627,519  

4.757% due 02/20/36 §

    208,541       192,714  

Banc of America Mortgage Trust
6.000% due 05/25/37

    1,738,736       1,325,529  

BCAP LLC Trust

   

4.534% due 03/26/37 § ~

    118,262       114,181  

5.250% due 02/26/36 § ~

    946,401       398,754  

Bear Stearns Adjustable Rate Mortgage Trust
4.459% due 08/25/33 §

    418,736       382,979  

Bear Stearns ALT-A Trust
4.399% due 01/25/36 §

    628,313       573,082  

Bear Stearns Structured Products, Inc. Trust 4.335% due 12/26/46 §

    361,271       285,211  

4.710% due 01/26/36 §

    352,645       282,648  

CHL Mortgage Pass-Through Trust

   

4.697% due 05/20/34 §

    311,781       289,129  

6.074% (SOFR + 0.754%)
due 03/25/35 §

    372,549       344,389  

6.500% due 10/25/37

    735,013       306,543  

Citigroup Mortgage Loan Trust
4.524% due 08/25/36 §

    390,719       340,129  

Citigroup Mortgage Loan Trust, Inc.
5.282% due 08/25/35 §

    61,225       50,165  

Credit Suisse First Boston Mortgage Securities Corp.
5.823% due 03/25/32 § ~

    75,853       70,173  

DSLA Mortgage Loan Trust
5.726% due 07/19/44 §

    265,922       243,362  

Fannie Mae REMICS

   

4.976% due 10/25/42 §

    305,064       299,446  

5.462% (SOFR + 0.174%)
due 07/25/37 §

    47,570       46,142  

5.809% (SOFR + 0.494%)
due 11/25/42 §

    1,057,114       1,035,867  

5.828% (SOFR + 0.514%)
due 04/18/28 §

    8,530       8,509  

5.878% (SOFR + 0.564%)
due 10/18/30 §

    152       151  

Fannie Mae REMICS (IO)
1.271% (6.586% - SOFR)
due 10/25/35 §

    1,387       99  

First Horizon Alternative Mortgage Securities Trust

   

4.974% due 03/25/35 §

    309,139       185,247  

6.440% due 06/25/34 §

    1,112,303       1,035,715  

Freddie Mac
7.500% due 09/20/26

    15,515       15,596  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

59

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

    Value  

Freddie Mac REMICS

 

4.588% (SOFR + 0.464%)
due 08/15/40 §

    $2,175,572       $2,091,810  

4.866% (SOFR + 0.464%)
due 10/15/40 §

    2,090,803       2,004,688  

5.618% (SOFR + 0.304%)
due 10/15/43 §

    2,489,170       2,422,773  

5.778% (SOFR + 0.464%)
due 12/15/29 §

    3,817       3,787  

Freddie Mac Structured Pass-Through Certificates

   

5.826% (US FED + 1.200%)
due 10/25/44 §

    462,560       417,285  

6.026% (US FED + 1.400%)
due 07/25/44 §

    2,235,678       2,041,536  

Government National Mortgage Association

   

5.814% (SOFR + 0.500%)
due 01/20/72 §

    2,518,441       2,452,088  

6.114% (SOFR + 0.800%)
due 01/20/73 §

    4,564,819       4,534,201  

6.194% (SOFR + 0.880%)
due 02/20/73 §

    5,129,913       5,117,475  

6.214% (SOFR + 0.900%)
due 01/20/73 §

    7,528,077       7,518,805  

Government National Mortgage Association
REMICS

   

4.646% (SOFR + 0.864%)
due 01/20/66 §

    3,514,695       3,480,522  

5.755% (SOFR + 0.664%)
due 05/20/65 §

    840,497       832,210  

5.932% (SOFR + 0.614%)
due 04/20/64 §

    917,799       914,942  

6.032% (SOFR + 0.714%)
due 07/20/65 - 20/65 §

    5,291,618       5,249,468  

6.064% (SOFR + 0.750%)
due 10/20/72 §

    4,327,117       4,301,401  

6.194% (SOFR + 0.880%)
due 03/20/73 §

    5,021,104       5,008,896  

6.334% (SOFR + 1.020%)
due 12/20/72 §

    3,147,868       3,164,453  

6.464% (SOFR + 1.465%)
due 04/20/67 §

    4,303,568       4,287,585  

Great Hall Mortgages No. 1 PLC
(United Kingdom)
5.802% (USD LIBOR + 0.130%)
due 06/18/39 § ~

    1,038,648       1,030,354  

GreenPoint Mortgage Funding Trust
5.974% (SOFR + 0.654%)
due 11/25/45 §

    18,664       15,998  

GS Mortgage-Backed Securities Corp. Trust
2.500% due 06/25/52 § ~

    6,186,302       4,710,391  

HarborView Mortgage Loan Trust
5.594% (SOFR + 0.434%)
due 05/25/38 §

    627,138       495,852  

Impac CMB Trust
5.974% (SOFR + 0.384%)
due 05/25/35 §

    22,792       20,744  

IndyMac ARM Trust
5.292% due 01/25/32 § W ±

    6,004       5,402  

JP Morgan Alternative Loan Trust

 

5.794% (SOFR + 0.474%)
due 05/25/36 §

    1,771,780       1,527,257  

6.000% due 12/27/36 ~

    870,521       458,692  

JP Morgan Mortgage Trust

 

4.038% due 12/26/37 § ~

    3,097,694       2,639,217  

5.734% (SOFR + 0.414%)
due 10/25/35 §

    998,366       714,123  

Legacy Mortgage Asset Trust
5.882% due 10/25/59 § ~

    5,068,951       5,043,677  

Lehman Mortgage Trust
5.750% due 02/25/37

    4,917,548       3,137,416  

MASTR Adjustable Rate Mortgages Trust
5.133% due 04/21/34 § W ±

    6,941       6,483  
   

Principal

Amount

    Value  

MASTR Alternative Loan Trust
5.834% (SOFR + 0.514%)
due 03/25/36 §

    $689,361       $74,844  

Merrill Lynch Mortgage Investors Trust
4.415% due 06/25/35 §

    12,894       12,070  

Metlife Securitization Trust
3.750% due 03/25/57 § ~

    4,338,674       4,006,334  

New Residential Mortgage Loan Trust

 

3.000% due 03/25/52 § ~

    6,264,784       4,973,855  

3.500% due 12/25/57 § ~

    3,569,934       3,338,882  

6.864% due 10/25/63 § ~

    4,300,000       4,310,691  

OBX Trust

 

6.084% (SOFR + 0.764%)
due 06/25/57 § ~

    3,510,759       3,343,615  

6.120% due 11/25/62 § ~

    4,561,342       4,530,564  

PHH Alternative Mortgage Trust
5.754% (SOFR + 0.434%)
due 02/25/37 §

    6,497,460       4,781,102  

PRKCM Trust
5.335% due 08/25/57 § ~

    4,070,568       3,968,408  

RBSSP Resecuritization Trust
6.250% due 12/26/36 § ~

    632,594       219,845  

Reperforming Loan REMIC Trust
5.774% (SOFR + 0.454%)
due 06/25/35 § ~

    794,807       729,512  

Residential Asset Securitization Trust (IO)
0.000% (4.836% - SOFR)
due 11/25/35 §

    1,695,657       50,187  

Resloc UK PLC (United Kingdom)
4.005% (EUR LIBOR + 0.160%)
due 12/15/43 § ~

    EUR 1,629,489       1,657,599  

RFMSI Trust
5.092% due 09/25/35 §

    $360,415       239,975  

Ripon Mortgages PLC (United Kingdom)
5.919% (SONIO + 0.700%)
due 08/28/56 § ~

    GBP 7,317,206       8,901,484  

RMAC Securities No. 1 PLC
(United Kingdom)
5.808% (SONIO + 0.589%)
due 06/12/44 § ~

    3,435,942       3,932,604  

Seasoned Credit Risk Transfer Trust
13.015% due 09/25/60 § ~

    $2,988,133       2,077,275  

Sequoia Mortgage Trust
6.139% (USD LIBOR + 0.700%)
due 07/20/33 §

    190,651       172,826  

Structured Adjustable Rate Mortgage Loan Trust
4.143% due 01/25/35 §

    48,986       48,134  

Structured Asset Mortgage Investments II Trust

   

5.854% (SOFR + 0.534%)
due 05/25/36 §

    383,286       248,738  

5.894% (SOFR + 0.574%)
due 02/25/36 §

    557,109       430,689  

5.942% (SOFR + 0.614%)
due 07/19/35 §

    59,409       54,756  

5.994% (SOFR + 0.674%)
due 02/25/36 §

    332,472       270,472  

Structured Asset Mortgage Investments Trust
6.102% (SOFR + 0.774%)
due 09/19/32 §

    11,689       11,180  

Structured Asset Securities Corp. Trust
5.750% due 04/25/35

    2,259,713       1,287,337  

Suntrust Alternative Loan Trust (IO)
0.000% (4.986% - SOFR)
due 12/25/35 §

    1,924,271       30,230  

Towd Point Mortgage Funding (United Kingdom)
6.509% (SONIO + 1.350%)
due 07/20/45 § ~

    GBP 16,285,542       19,870,783  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

60

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

    Value  

Towd Point Mortgage Funding PLC (United Kingdom)
6.284% (SONIO + 1.144%)
due 10/20/51 § ~

    GBP 6,648,556       $8,122,773  

Towd Point Mortgage Trust
3.750% due 07/25/62 § ~

    $4,132,908       3,741,421  

UWM Mortgage Trust

   

2.500% due 11/25/51 § ~

    6,118,621       4,670,438  

2.500% due 12/25/51 § ~

    6,187,297       4,722,859  

Verus Securitization Trust
5.850% due 12/25/67 § ~

    4,503,491       4,446,967  

Wachovia Mortgage Loan Trust LLC Trust
4.292% due 05/20/36 § W ±

    45,774       42,790  

WaMu Mortgage Pass-Through Certificates Trust

   

4.035% due 01/25/36 §

    313,720       280,895  

5.704% (SOFR + 0.654%)
due 12/25/45 §

    16,518       15,481  

6.014% (SOFR + 0.694%)
due 10/25/45 §

    16,437       15,304  

Washington Mutual Mortgage Pass-Through Certificates Trust

   

5.456% (US FED + 0.830%) due 11/25/46 §

    860,280       697,240  

6.000% due 07/25/36

    1,155,518       864,519  

Washington Mutual Mortgage Pass-Through Certificates Trust (IO)

   

0.000% (4.836% - SOFR) due 11/25/35 §

    1,937,288       50,846  

0.000% (4.736% - SOFR) due 11/25/35 §

    6,451,143       103,212  

Washington Mutual MSC Mortgage Pass-Through Certificates Trust
4.975% due 02/25/33 § W ±

    1,671       1,597  
   

 

 

 
      187,465,598  
   

 

 

 

Fannie Mae - 50.7%

 

due 10/01/53 #

    56,200,000       53,025,578  

due 10/01/53 #

    5,000,000       5,023,047  

due 10/01/53 #

    36,831,368       32,794,305  

due 11/01/53 #

    26,300,000       20,911,537  

due 11/01/53 #

    178,800,000       148,089,702  

due 11/01/53 #

    149,300,000       128,526,305  

due 11/01/53 #

    114,468,632       102,029,111  

due 11/01/53 #

    111,500,000       102,414,493  

due 11/01/53 #

    166,000,000       156,675,470  

due 11/01/53 #

    157,900,000       152,564,704  

due 11/01/53 #

    24,100,000       23,774,274  

3.000% due 04/01/27 - 06/01/52

    41,913,371       34,783,533  

3.000% due 08/01/52

    27,603,268       22,863,142  

3.000% due 09/01/52

    52,259,090       43,300,408  

3.500% due 05/01/33 - 08/01/52

    13,031,925       11,743,038  

3.585% (RFUCC + 1.335%) due 12/01/34 §

    160,602       157,182  

3.645% (RFUCC + 1.395%) due 12/01/34 §

    1,449       1,415  

3.820% (UST + 1.695%) due 02/01/33 §

    130,190       128,999  

3.844% (US FED + 1.271%) due 03/01/33 §

    71,471       69,393  

4.000% due 04/01/24 - 10/01/52

    5,945,695       5,381,085  

4.050% (UST + 1.925%) due 02/01/33 §

    1,812       1,768  

4.090% (RFUCC + 1.840%) due 09/01/35 §

    14,120       14,017  

4.150% (UST + 2.025%) due 01/01/34 §

    3,416       3,463  

4.289% (US FED + 1.255%) due 05/01/36 §

    7,480       7,247  

4.314% (RFUCC + 1.688%) due 03/01/33 §

    1,779       1,750  

4.378% (UST + 2.068%) due 03/01/34 §

    1,946       1,891  
   

Principal

Amount

   

Value

 

4.474% (US FED + 1.255%) due 05/01/36 §

    $252,917       $245,302  

4.500% due 01/01/24 - 05/01/53

    8,759,405       8,067,957  

4.512% (US FED + 1.259%) due 05/01/36 §

    5,714       5,634  

4.663% (RFUCC + 1.413%) due 07/01/33 §

    6,975       6,801  

4.663% (RFUCC + 1.538%) due 01/01/36 §

    5,155       5,061  

4.691% (RFUCC + 1.373%) due 09/01/35 §

    32,094       31,451  

4.830% (RFUCC + 1.455%) due 04/01/35 §

    62,133       60,563  

5.000% due 05/01/25 - 07/01/53

    31,556,676       29,831,121  

5.000% (RFUCC + 2.250%) due 06/01/34 §

    1,648       1,619  

5.055% (UST + 2.055%) due 04/01/34 §

    40,295       39,839  

5.390% (UST + 2.360%) due 11/01/34 §

    671,455       686,673  

5.500% due 12/01/23 - 09/01/41

    2,028,072       2,021,014  

5.505% (RFUCC + 1.255%) due 07/01/35 §

    118,367       116,664  

5.514% (US FED + 1.735%) due 09/01/34 §

    20,180       20,207  

5.559% (RFUCC + 1.315%) due 08/01/35 §

    94,623       92,800  

5.630% (US FED + 1.200%) due 08/01/42 - 10/01/44 §

    366,548       354,267  

6.000% due 02/01/24 - 09/01/39

    1,180,428       1,185,856  

6.500% due 09/01/28 - 09/01/53

    9,019,970       9,070,274  

6.793% (RFUCC + 1.550%) due 09/01/33 §

    8,515       8,557  

7.230% (RFUCC + 1.605%) due 08/01/36 §

    16,659       16,680  

7.500% due 01/01/33

    6,568       6,692  

8.000% due 05/01/30

    1,036       1,039  
   

 

 

 
      1,096,162,928  
   

 

 

 

Freddie Mac - 3.9%

 

3.000% due 04/01/52 - 08/01/52

    24,688,729       20,446,976  

3.500% due 08/01/27 - 08/01/52

    8,472,267       7,396,695  

4.000% due 11/01/33 - 10/01/52

    5,194,952       4,679,464  

4.262% (UST + 2.137%) due 01/01/28 §

    1,931       1,885  

4.583% (UST + 2.249%) due 03/01/32 §

    9,913       9,658  

4.624% (UST + 2.249%)

due 03/01/32 §

    13,460       13,170  

5.000% due 12/01/52 - 09/01/53

    52,027,434       49,182,910  

5.358% (RFUCC + 1.345%) due 09/01/35 §

    62,009       62,206  

5.500% due 12/01/24 - 05/01/40

    2,005,598       2,001,094  

6.000% due 05/01/29

    3,748       3,704  

6.000% (UST + 2.250%) due 07/01/32 §

    5,618       5,537  

7.000% due 10/01/37

    9,542       9,788  
   

 

 

 
      83,813,087  
   

 

 

 

Government National Mortgage Association - 0.2%

 

2.625% (UST + 1.500%) due 07/20/24 - 09/20/32 §

    64,600       62,743  

2.750% (UST + 1.500%) due 10/20/23 - 12/20/32 §

    65,320       63,050  

3.000% (UST + 1.500%) due 10/20/24 - 09/20/30 §

    10,295       9,964  

3.500% (UST + 1.500%) due 11/20/24 §

    1,316       1,296  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

61

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

3.500% (UST + 2.000%)
due 11/20/24 §

    $3,899       $3,839  

3.625% (UST + 1.500%)
due 01/20/24 - 03/20/33 §

    91,855       89,311  

3.875% (UST + 1.500%)
due 04/20/24 - 06/20/32 §

    87,349       85,588  

4.000% (UST + 1.500%)
due 06/20/25 - 06/20/27 §

    531       521  

4.000% due 03/15/44 - 09/15/49

    860,236       784,482  

4.125% (UST + 2.000%)
due 03/20/29 §

    16,861       16,490  

5.000% due 05/15/33 - 07/20/49

    4,392,720       4,323,214  

6.000% due 06/15/38 - 09/15/38

    2,178       2,172  

7.500% due 07/15/31 - 12/15/31

    11,279       11,717  

8.000% due 12/15/29 - 08/15/32

    109,549       110,889  

8.500% due 09/15/29 - 12/15/30

    94,290       94,402  
   

 

 

 
      5,659,678  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $1,622,702,656)

 

    1,547,135,726  
   

 

 

 

ASSET-BACKED SECURITIES - 16.2%

 

Automobile Sequential - 1.1%

 

Ally Auto Receivables Trust
5.760% due 11/15/26

    4,600,000       4,597,808  

BMW Vehicle Owner Trust
5.593% due 07/25/24

    2,566,975       2,567,123  

CarMax Auto Owner Trust
5.720% due 11/16/26

    3,500,000       3,497,990  

GLS Auto Receivables Issuer Trust
3.550% due 01/15/26 ~

    2,005,729       1,992,270  

GM Financial Consumer Automobile Receivables Trust
5.560% due 07/16/24

    2,881,242       2,881,475  

Hyundai Auto Receivables Trust
5.581% due 07/15/24

    2,612,572       2,612,850  

Santander Drive Auto Receivables Trust
4.370% due 05/15/25

    574,623       574,298  

Tesla Auto Lease Trust
5.860% due 08/20/25 ~

    2,400,000       2,397,077  

Toyota Auto Loan Extended Note Trust
4.930% due 06/25/36 ~

    2,400,000       2,347,273  
   

 

 

 
      23,468,164  
   

 

 

 

Credit Card Bullet - 0.3%

   

Discover Card Execution Note Trust
6.047% (SOFR + 0.714%)
due 12/15/26 §

    6,600,000       6,606,707  
   

 

 

 

Home Equity Other - 1.7%

   

ABFC Trust
6.259% (SOFR + 0.939%)
due 07/25/35 §

    4,310,464       3,946,390  

Asset-Backed Securities Corp. Home Equity Loan Trust
6.454% (SOFR + 1.134%)
due 07/25/35 §

    1,919,494       1,811,850  

Citigroup Mortgage Loan Trust, Inc.

 

5.734% (SOFR + 0.414%)
due 12/25/36 §

    8,641,880       3,407,852  

5.754% (SOFR + 0.434%)
due 12/25/36 § ~

    1,799,520       1,008,937  

GSAA Home Equity Trust
5.774% (SOFR + 0.454%)
due 09/25/36 §

    8,438,923       1,972,339  
   

Principal

Amount

   

Value

 

Home Equity Asset Trust
6.214% (SOFR + 0.894%)
due 10/25/34 §

    $1,156,386       $1,133,324  

Imc Home Equity Loan Trust
5.432% due 08/20/29 § W ±

    353       334  

IXIS Real Estate Capital Trust
5.634% (SOFR + 0.314%)
due 01/25/37 §

    10,204,452       3,653,698  

Mastr Asset-Backed Securities Trust
5.934% (SOFR + 0.614%)
due 04/25/36 §

    7,114,071       1,692,809  

Morgan Stanley ABS Capital I, Inc. Trust

   

5.494% (SOFR + 0.174%)
due 05/25/37 §

    138,374       115,644  

5.614% (SOFR + 0.294%)
due 03/25/37 §

    2,283,940       978,431  

5.614% (SOFR + 0.294%)
due 05/25/37 §

    6,051,516       5,057,396  

5.684% (SOFR + 0.364%)
due 03/25/37 §

    3,824,272       1,638,274  

Morgan Stanley Capital I, Inc. Trust
5.794% (SOFR + 0.474%)
due 03/25/36 §

    1,461,809       1,152,009  

Option One Mortgage Loan Trust

   

5.574% (SOFR + 0.254%)
due 02/25/37 §

    4,142,835       2,658,736  

5.654% (SOFR + 0.334%)
due 02/25/37 §

    11,503,779       5,778,560  

Renaissance Home Equity Loan Trust
3.925% (SOFR + 0.994%)
due 08/25/33 §

    135,739       121,350  

Terwin Mortgage Trust
5.854% (SOFR + 0.534%)
due 04/25/37 § ~ W ±

    144,308       134,858  
   

 

 

 
      36,262,791  
   

 

 

 

Other Asset-Backed Securities - 13.1%

   

ACAS CLO Ltd. (Cayman)
6.462% (SOFR + 1.152%)
due 10/18/28 § ~

    5,264,536       5,248,631  

Apres Static CLO Ltd. (Cayman)
6.640% (SOFR + 1.332%)
due 10/15/28 § ~

    1,218,696       1,219,416  

Ares XL CLO Ltd. (Cayman)
6.440% (SOFR + 1.132%)
due 01/15/29 § ~

    4,030,211       4,023,980  

Argent Securities, Inc. Asset-Backed
Pass-Through Certificates
6.194% (SOFR + 0.874%)
due 02/25/36 §

    1,514,926       1,147,454  

Avoca CLO XVII DAC (Netherlands)
4.483% (EUR LIBOR + 0.820%)
due 10/15/32 § ~

    EUR 6,000,000       6,229,165  

Benefit Street Partners CLO XVI Ltd. (Cayman)
6.600% (SOFR + 1.292%)
due 01/17/32 § ~

    $7,000,000       6,981,277  

Benefit Street Partners CLO XVII Ltd. (Cayman)
6.650% (SOFR + 1.342%)
due 07/15/32 § ~

    7,000,000       6,978,423  

BSPDF Issuer Ltd. (Cayman)
6.647% (SOFR + 1.314%)
due 10/15/36 § ~

    7,000,000       6,847,708  

Catamaran CLO Ltd. (Cayman)
6.707% (SOFR + 1.362%)
due 04/22/30 § ~

    7,067,950       7,053,790  

CIT Mortgage Loan Trust
6.784% (SOFR + 1.464%)
due 10/25/37 § ~

    113,910       113,866  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

62

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Countrywide Asset-Backed Certificates
6.334% (SOFR + 1.014%)
due 03/25/47 § ~

    $1,282,389       $958,543  

CVC Cordatus Loan Fund XI DAC (Ireland)
4.313% (EUR LIBOR + 0.650%)
due 10/15/31 § ~

    EUR 6,097,934       6,332,107  

CWABS Asset-Backed Certificates Trust

 

5.574% (SOFR + 0.254%)
due 06/25/47 §

    $4,466,817       3,933,806  

5.664% (SOFR + 0.344%)
due 10/25/47 §

    215,138       210,532  

5.714% (SOFR + 0.394%)
due 03/25/37 §

    2,042,452       1,920,806  

DLLAD LLC
5.190% due 04/20/26 ~

    4,100,000       4,075,803  

Dryden 52 Euro CLO DAC (Ireland)
4.641% (EUR LIBOR + 0.860%)
due 05/15/34 § ~

    EUR 5,600,000       5,819,833  

Elmwood CLO VII Ltd. (Cayman)
due 01/17/34 § # ~

    $3,000,000       3,000,000  

FBR Securitization Trust
6.199% (SOFR + 0.879%)
due 09/25/35 §

    28,381,451       27,341,558  

First Franklin Mortgage Loan Trust
5.744% (SOFR + 0.424%)
due 10/25/36 §

    13,900,000       10,938,686  

Golub Capital Partners CLO 26B Ltd. (Cayman)
6.608% (SOFR + 1.282%)
due 04/20/31 § ~

    4,707,669       4,699,667  

Halseypoint CLO II Ltd. (Cayman)
6.688% (SOFR + 1.362%)
due 07/20/31 § ~

    6,417,836       6,410,181  

Harvest CLO XI DAC (Ireland)
4.608% (EUR LIBOR + 0.650%)
due 06/26/30 § ~

    EUR 4,521,755       4,714,109  

Home Equity Mortgage Loan Asset-Backed Trust
5.754% (SOFR + 0.434%)
due 04/25/37 §

    $3,365,001       2,897,484  

HSI Asset Securitization Corp. Trust
5.929% (SOFR + 0.609%)
due 02/25/36 §

    424,731       393,182  

JP Morgan Mortgage Acquisition Trust
5.869% (SOFR + 0.549%)
due 05/25/36 §

    9,227,900       8,624,543  

Kubota Credit Owner Trust
5.610% due 07/15/26 ~

    3,500,000       3,487,361  

LCCM CLO Trust
6.647% (SOFR + 1.314%)
due 12/13/38 § ~

    7,971,997       7,785,142  

LCM CLO XIII LP (Cayman)
6.452% (SOFR + 1.132%)
due 07/19/27 § ~

    2,658,429       2,657,207  

LCM CLO XXIV Ltd. (Cayman)
6.568% (SOFR + 1.242%)
due 03/20/30 § ~

    582,370       580,582  

LCM CLO XXV Ltd. (Cayman)
6.426% (SOFR + 1.100%)
due 07/20/30 § ~

    5,196,193       5,207,797  

Lehman ABS Mortgage Loan CLO Trust
5.524% (SOFR + 0.204%)
due 06/25/37 § ~

    773,018       490,147  

LFT CRE CLO Ltd.
6.617% (SOFR + 1.284%)
due 06/15/39 § ~

    7,000,000       6,933,941  

Magnetite CLO XVIII Ltd. (Cayman)
6.506% (SOFR + 1.142%)
due 11/15/28 § ~

    4,938,162       4,922,040  

Marathon Static CLO Ltd. (Cayman)
7.152% (SOFR + 1.750%)
due 07/20/30 § ~

    4,500,000       4,500,106  
   

Principal

Amount

   

Value

 

Marble Point CLO X Ltd. (Cayman)
6.610% (SOFR + 1.302%)
due 10/15/30 § ~

    $5,759,938       $5,750,487  

Merrill Lynch Mortgage Investors Trust
6.184% (SOFR + 0.864%)
due 09/25/35 §

    906,803       868,783  

MKS CLO Ltd. (Cayman)
6.588% (SOFR + 1.262%)
due 07/20/30 § ~

    4,106,911       4,102,210  

Morgan Stanley ABS Capital I, Inc. Trust
5.654% (SOFR + 0.334%)
due 11/25/36 §

    5,280,515       2,466,393  

Nelnet Student Loan Trust

 

6.640% due 02/20/41 ~

    2,177,588       2,158,518  

7.514% (SOFR + 2.200%)
due 02/20/41 § ~

    2,177,588       2,162,720  

OZLM VI Ltd. (Cayman)
6.650% (SOFR + 1.342%)
due 04/17/31 § ~

    5,787,690       5,774,245  

OZLM VIII Ltd. (Cayman)
6.550% (SOFR + 1.242%)
due 10/17/29 § ~

    4,833,093       4,834,813  

Park Place Securities, Inc. Asset-Backed Pass-Through Certificates
6.259% (SOFR + 0.939%)
due 07/25/35 §

    6,700,000       6,256,408  

RAAC Trust
6.084% (SOFR + 0.764%)
due 06/25/47 §

    1,399,481       1,341,546  

Saranac CLO VI Ltd. (Jersey)
6.807% (SOFR + 1.402%)
due 08/13/31 § ~

    6,800,000       6,781,653  

Saranac CLO VII Ltd. (Jersey)
6.871% (SOFR + 1.492%)
due 11/20/29 § ~

    1,211,563       1,207,751  

Saxon Asset Securities Trust
6.094% (SOFR + 0.774%)
due 10/25/35 §

    2,181,611       2,033,597  

Securitized Asset-Backed Receivables LLC Trust
6.094% (SOFR + 0.774%)
due 08/25/35 §

    3,441,576       2,686,520  

Sound Point CLO XVI Ltd. (Cayman)
6.593% (SOFR + 1.242%)
due 07/25/30 § ~

    5,581,342       5,568,580  

Sound Point CLO XVII Ltd. (Cayman)
6.568% (SOFR + 1.242%)
due 10/20/30 § ~

    4,395,412       4,381,837  

Soundview Home Loan Trust
5.544% (SOFR + 0.224%)
due 02/25/37 §

    1,372,920       386,203  

Stratus CLO Ltd. (Cayman)
6.488% (SOFR + 1.162%)
due 12/28/29 § ~

    5,490,426       5,474,152  

Structured Asset Investment Loan Trust
6.054% (SOFR + 0.734%)
due 01/25/36 §

    4,371,390       3,981,452  

Structured Asset Securities Corp. Mortgage Loan Trust

 

5.704% (SOFR + 0.384%)
due 03/25/36 §

    1,248,271       1,138,682  

5.774% (SOFR + 0.454%)
due 12/25/36 § W ±

    159,337       148,560  

Symphony CLO Ltd. (Bermuda)
due 04/25/34 § # ~

    4,400,000       4,400,000  

THL Credit Wind River CLO Ltd. (Cayman)

 

6.572% (SOFR + 1.262%)
due 10/18/30 § ~

    3,302,190       3,292,984  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

63

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

6.650% (SOFR + 1.342%)
due 07/15/31 § ~

    $7,000,000       $6,959,938  

Tikehau CLO DAC (Ireland)
4.603% (EUR LIBOR + 0.870%)
due 08/04/34 § ~

    EUR 6,000,000       6,235,692  

TRTX Issuer Ltd. (Cayman)
6.963% (SOFR + 1.650%)
due 02/15/39 § ~

    $6,600,000       6,451,500  

Venture XXIX CLO Ltd. (Cayman)
6.616% (SOFR + 1.252%)
due 09/07/30 § ~

    219,732       219,169  

Venture XXVIII CLO Ltd. (Cayman)
6.578% (SOFR + 1.252%)
due 07/20/30 § ~

    5,949,233       5,924,960  

Voya CLO Ltd. (Cayman)
6.520% (SOFR + 1.212%)
due 04/17/30 § ~

    5,190,850       5,179,037  

Wellfleet CLO Ltd. (Cayman)
6.478% (SOFR + 1.152%)
due 04/20/29 § ~

    1,963,174       1,961,918  
   

 

 

 
      284,809,181  
   

 

 

 

Total Asset-Backed Securities
(Cost $366,445,424)

 

    351,146,843  
   

 

 

 

U.S. GOVERNMENT AGENCY ISSUES - 1.5%

 

Freddie Mac
0.680% due 08/06/25

    35,600,000       32,728,073  
   

 

 

 

Total U.S. Government Agency Issues
(Cost $35,600,000)

 

    32,728,073  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 15.8%

 

U.S. Treasury Bonds - 12.0%

 

1.375% due 11/15/40

    25,850,000       15,310,066  

1.625% due 11/15/50 ‡

    10,200,000       5,345,238  

1.875% due 02/15/41 ‡

    4,700,000       3,033,887  

2.000% due 02/15/50 ‡

    2,900,000       1,692,988  

2.250% due 08/15/49 ‡

    2,800,000       1,743,820  

2.500% due 02/15/45 ‡

    1,300,000       883,162  

2.750% due 08/15/42

    26,200,000       19,215,551  

2.875% due 05/15/43 ‡

    5,500,000       4,076,768  

2.875% due 08/15/45

    22,000,000       15,941,406  

3.000% due 02/15/49 ‡

    2,050,000       1,498,822  

3.125% due 02/15/42 ‡

    8,000,000       6,272,969  

3.125% due 08/15/44

    35,400,000       27,058,875  

3.250% due 05/15/42

    72,200,000       57,549,886  

3.375% due 05/15/44

    26,300,000       20,995,311  

3.625% due 02/15/44 ‡

    13,500,000       11,229,522  

3.750% due 11/15/43

    20,900,000       17,745,406  

3.875% due 05/15/43

    13,400,000       11,651,719  

4.250% due 05/15/39 ‡

    4,900,000       4,622,078  

4.375% due 11/15/39

    20,700,000       19,712,707  

4.500% due 08/15/39 ‡

    7,700,000       7,459,525  

4.625% due 02/15/40 ‡

    5,500,000       5,388,389  
   

 

 

 
      258,428,095  
   

 

 

 

U.S. Treasury Inflation Protected Securities - 3.6%

 

0.125% due 10/15/24 ^ ‡

    1,072,260       1,039,591  

0.125% due 07/15/31 ^

    16,194,816       13,759,528  

0.125% due 01/15/32 ^

    4,851,880       4,067,806  

0.125% due 02/15/52 ^

    1,317,672       725,028  

0.250% due 01/15/25 ^

    10,453,455       10,055,677  

0.250% due 02/15/50 ^

    1,188,940       701,212  

0.500% due 04/15/24 ^ ‡

    1,333,178       1,309,812  

0.625% due 07/15/32 ^

    20,094,155       17,521,637  
   

Principal
Amount

   

Value

 

0.750% due 02/15/45 ^

    $7,269,192       $5,290,826  

0.875% due 02/15/47 ^

    2,405,932       1,756,775  

1.000% due 02/15/46 ^

    1,161,054       882,608  

1.000% due 02/15/48 ^

    12,519,556       9,327,232  

1.000% due 02/15/49 ^

    1,700,636       1,257,100  

1.250% due 04/15/28 ^

    7,643,100       7,269,569  

1.500% due 02/15/53 ^

    4,216,112       3,492,103  
   

 

 

 
      78,456,504  
   

 

 

 

U.S. Treasury Notes - 0.0%

 

2.250% due 08/15/27 ‡

    20,000       18,280  
   

 

 

 

U.S. Treasury Strip Coupon - 0.2%

   

0.000% due 02/15/42

    12,200,000       4,788,433  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $435,248,071)

 

    341,691,312  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 1.7%

 

Brazil Letras do Tesouro Nacional (Brazil)
11.714% due 01/01/24

    BRL 22,000,000       4,254,956  

Chile Government (Chile)
3.500% due 01/31/34

    $7,000,000       5,801,289  

Hydro-Quebec (Canada)
8.625% due 06/15/29

    1,000,000       1,151,582  

Italy Buoni Poliennali Del Tesoro (Italy)
1.300% due 05/15/28 ^ ~

    EUR 5,884,032       6,044,593  

Mexico Udibonos (Mexico)

 

2.750% due 11/27/31 ^

    MXN 33,449,039       1,620,662  

4.000% due 11/30/28 ^

    2,439,812       132,038  

Romanian Government (Romania)
3.000% due 02/27/27 ~

    $6,500,000       5,919,985  

Saudi Government (Saudi Arabia)
4.875% due 07/18/33 ~

    5,000,000       4,761,310  

State of Israel (Israel)
3.800% due 05/13/60 ~

    9,000,000       6,021,819  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $41,324,072)

 

    35,708,234  
   

 

 

 

SHORT-TERM INVESTMENTS - 1.7%

 

Commercial Paper - 0.6%

 

American Electric Power Co., Inc.
5.580% due 10/23/23

    4,400,000       4,383,826  

AT&T, Inc.
5.700% due 03/19/24

    5,800,000       5,640,633  

Enel Finance America LLC (Italy)
5.550% due 10/18/23

    2,050,000       2,044,069  

Fidelity National Information Services, Inc.
5.530% due 10/04/23

    1,450,000       1,448,908  
   

 

 

 
      13,517,436  
   

 

 

 

Foreign Government Issues - 0.5%

 

Japan Treasury Discount Bills (Japan)
0.205% due 10/30/23

    JPY1,660,000,000       11,110,008  
   

 

 

 

Repurchase Agreements - 0.5%

 

BNP Paribas SA
5.320% due 10/02/23
(Dated 09/29/23, repurchase price of $3,101,374; collateralized by U.S.Treasury Notes: 0.500% due 08/31/27 and value $3,158,768)

    $3,100,000       3,100,000  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

64

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $8,694,827; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $8,865,075)

    JPY 8,691,242       8,691,242  
   

 

 

 
      11,791,242  
   

 

 

 

U.S. Treasury Bills —0.1%

   

3.255% due 10/05/23

    $639,000       638,720  
   

 

 

 

Total Short-Term Investments
(Cost $37,886,055)

      37,057,406  
   

 

 

 

TOTAL INVESTMENTS - 142.9%
(Cost $3,350,129,005)

 

    3,090,826,128  
   

 

 

 

TOTAL SECURITIES SOLD SHORT - (1.8%)
(Proceeds $39,913,896)

 

    (39,308,352
   

 

 

 

DERIVATIVES - 0.7%

      16,740,078  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (41.8%)

 

    (904,610,986
   

 

 

 

NET ASSETS - 100.0%

      $2,163,646,868  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1,252,764 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

(b)

As of September 30, 2023, investments with a total aggregate value of $1,918,909 or 0.1% of the Fund’s net assets were in default.

 

(c)

As of September 30, 2023, the average amount of borrowings by the Fund on reverse repurchase agreements during the period was $53,015,751 at a weighted average interest rate of 4.8%. As of September 30, 2023, the average amount of borrowings by the Fund on sale-buyback financing transactions during the period was $195,126 at a weighted average interest rate of 2.9%.

 

(d)

As of September 30, 2023, securities sold short outstanding were as follows:

 

Description   Principal
Amount
    Value  

Mortgage-Backed Securities - (1.8%)

 

Fannie Mae

   

2.000% due 11/01/53

    ($16,800,000     ($12,795,563

5.000% due 10/01/53

    (28,100,000     (26,512,789
   

 

 

 

Total Securities Sold Short
(Proceeds $39,913,896)

 

    ($39,308,352
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

65

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(e)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CBOT 5 Year U.S. Treasury Notes

   12/23        2,277            $241,909,614        $239,903,297        ($2,006,317

CME 3 Month USD SOFR

   03/24        498            120,335,517        117,714,750        (2,620,767

CME 3 Month USD SOFR

   09/24        998            236,627,177        236,563,425        (63,752

CME Ultra Long Term U.S. Treasury Bond

   12/23        62            7,903,160        7,358,625        (544,535

Eurex 5 Year Euro BOBL

   12/23        142            17,630,593        17,377,491        (253,102
                

 

 

 
     (5,488,473
                

 

 

 

Short Futures Outstanding

                                  

CBOT 2 Year U.S. Treasury Notes

   12/23        595            121,042,316        120,613,008        429,308  

CBOT 10 Year U.S. Treasury Notes

   12/23        1,249            137,393,414        134,970,062        2,423,352  

CBOT 30 Day Federal Funds

   10/23        172            67,834,090        67,854,053        (19,963

CBOT U.S. Long Bond

   12/23        18            2,131,208        2,048,063        83,145  

CBOT Ultra 10 Year U.S. Treasury Notes

   12/23        1,322            151,113,310        147,485,625        3,627,685  

CME 3 Month USD SOFR

   12/24        998            237,371,135        237,249,550        121,585  

Eurex 10 Year Euro BUND

   12/23        642            89,405,026        87,314,987        2,090,039  

TSE Japanese 10 Year Bond

   12/23        33            32,265,972        32,010,707        255,265  
                

 

 

 
     9,010,416  
                

 

 

 

Total Futures Contracts

 

     $3,521,943  
                

 

 

 

 

(f)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
       Counterparty        Unrealized
Appreciation
     Unrealized
Depreciation
 
AUD      49,082,000        USD      32,236,262        11/23     SCB       $-        ($633,964
CAD      6,725,601        USD      4,973,858        10/23     HSB       -        (22,191
DKK      3,805,792        USD      538,914        10/23     BOA       574        -  
DKK      4,019,335        USD      568,274        10/23     JPM       1,485        -  
EUR      978,000        USD      1,034,655        11/23     HSB       1,192        -  
EUR      1,028,000        USD      1,107,367        11/23     SCB       -        (18,562
IDR      4,791,821,108        USD      310,889        03/24     BNP       -        (2,005
IDR      31,676,915,845        USD      2,057,235        03/24     GSC       -        (15,319
IDR      47,119,896,115        USD      3,056,679        03/24     HSB       -        (19,298
IDR      38,685,749,324        USD      2,505,716        03/24     JPM       -        (12,006
IDR      21,352,637,062        USD      1,388,226        03/24     MSC       -        (11,820
IDR      4,193,448,586        USD      273,697        03/24     SCB       -        (3,384
INR      123,235,844        USD      1,478,162        12/23     SCB       -        (817
INR      490,001,362        USD      5,937,881        12/23     JPM       -        (63,769
INR      134,502,249        USD      1,610,680        12/23     TDB       1,726        -  
JPY      168,300,000        USD      1,157,802        11/23     SCB       -        (23,841
JPY      1,496,242,747        USD      10,584,102        11/23     TDB       -        (502,816
JPY      268,570,256        USD      1,894,936        11/23     UBS       -        (85,381
PEN      4,932,555        USD      1,327,633        11/23     CIT       -        (27,677
THB      239,954,897        USD      6,733,308        10/23     BNP       -        (134,009
THB      135,854,488        USD      3,820,763        10/23     DUB       -        (84,459
TWD      63,332,641        USD      2,010,228        03/24     BNP       -        (19,664
TWD      34,381,482        USD      1,089,228        03/24     SCB       -        (8,607
USD      162,239        AUD      254,000        11/23     CIT       -        (1,303
USD      4,342,360        BRL      22,000,000        01/24     GSC       14,079        -  
USD      1,608,676        CAD      2,189,651        10/23     BOA       -        (3,436
USD      2,654,102        CAD      3,564,000        10/23     GSC       30,137        -  
USD      723,835        CAD      972,000        10/23     HSB       8,208        -  
USD      4,973,858        CAD      6,722,891        11/23     HSB       22,130        -  
USD      143,482        CNH      1,034,620        03/24     JPM       389        -  
USD      596,455        DKK      4,080,555        10/23     BNP       18,018        -  
USD      548,184        DKK      3,745,774        10/23     BOA       17,204        -  
USD      538,914        DKK      3,799,864        11/23     BOA       -        (570
USD      568,274        DKK      4,013,090        11/23     JPM       -        (1,483
USD      2,454,407        EUR      2,291,000        11/23     CIT        27,898        -  
USD      37,789,703        EUR      34,259,094        11/23     DUB       1,504,235        -  
USD      26,679,807        EUR      24,188,906        11/23     UBS       1,060,164        -  
USD      7,988,752        GBP      6,270,518        11/23     CIT        336,193        -  
USD      53,793,084        GBP      42,182,482        11/23     JPM       2,313,457        -  
USD      9,206,206        IDR      141,700,078,279        03/24     MSC       72,121        -  

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

66

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
       Counterparty          Unrealized
Appreciation
       Unrealized
Depreciation
 

USD

     63,096        INR      5,252,070        12/23       BOA         $135          $-  

USD

     42,633        INR      3,562,733        12/23       JPM         -          (77

USD

     42,365        INR      3,530,593        12/23       JPM         40          -  

USD

     40,756        INR      3,392,927        12/23       SCB         82          -  

USD

     12,011,969        JPY      1,660,000,000        10/23       HSB         855,893          -  

USD

     751,377        MXN      13,286,000        10/23       GSC         -          (9,335

USD

     1,327        MXN      22,985        12/23       CIT         24          -  

USD

     1,022,987        MXN      17,746,867        12/23       GSC         16,889          -  

USD

     2,723,391        PEN      10,124,479        11/23       CIT         55,685          -  

USD

     8,499,332        SGD      11,531,554        12/23       JPM         33,756          -  

USD

     1,535,847        TWD      48,575,031        12/23       JPM         21,581          -  

USD

     787,527        TWD      24,684,246        12/23       MSC         18,026          -  

USD

     825,249        TWD      25,982,140        12/23       SCB         15,288          -  
                       

 

 

      

 

 

 

Total Forward Foreign Currency Contracts

            $6,446,609          ($1,705,793
                       

 

 

      

 

 

 

 

(g)

As of September 30, 2023, purchased options outstanding were as follows:

Foreign Currency Options

 

Description            Exercise
Price
   Expiration
Date
     Counter-
party
   Notional
Amount
     Cost      Value  

Put – GBP versus USD

     GBP      1.20      09/26/24      GSC        $5,700,000        $188,045         $175,130   
                 

 

 

    

 

 

 

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        3.850%        03/04/24        BOA        $6,100,000        $146,146        $249,500  
                    

 

 

    

 

 

 

Total Purchased Options

                       $334,191        $424,630  
                    

 

 

    

 

 

 

 

(h)

As of September 30, 2023, premiums received, and value of written options outstanding were as follows:

Foreign Currency Options

 

Description            Exercise
Price
   Expiration
Date
     Counter-
party
   Notional
Amount
     Premium      Value  

Put – GBP versus USD

     GBP      1.10      09/26/24      GSC      $11,400,000        $116,845        ($105,988
                 

 

 

    

 

 

 

Interest Rate Swaptions

 

Description    Pay/Receive
Floating Rate
     Floating Rate
Index
     Exercise
Rate
     Expiration
Date
     Counter-
party
     Notional
Amount
     Premium      Value  

Call - 1 Year Interest Rate Swap

     Receive        SOFR        2.910%        11/10/23        GSC        $9,300,000        $61,729        ($4

Call - 1 Year Interest Rate Swap

     Receive        SOFR        2.150%        11/20/23        GSC        9,600,000        33,480        (2
                    

 

 

    

 

 

 
                       95,209        (6
                    

 

 

    

 

 

 

Put - 1 Year Interest Rate Swap

     Pay        SOFR        2.910%        11/10/23        GSC        9,300,000        61,729        (220,331

Put -1 Year Interest Rate Swap

     Pay        SOFR        3.650%        11/20/23        GSC        9,600,000        33,480        (158,145

Put - 1 Year Interest Rate Swap

     Pay        SOFR        5.100%        03/04/24        BOA        50,800,000        146,685        (151,877
                    

 

 

    

 

 

 
                       241,894        (530,353
                    

 

 

    

 

 

 

Total Interest Rate Swaptions

                       $337,103        ($530,359
                    

 

 

    

 

 

 

Options on Futures

 

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

Put - 3 Month SOFR (12/23)

     $96.75        12/15/23        CME        9        $2,176,875        $14,625        ($49,500
                 

 

 

    

 

 

 

Total Written Options

                    $468,573        ($685,847
                 

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

67

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(i)

As of September 30, 2023, swap agreements outstanding 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
09/30/23 (2)
     Notional
Amount (3)
     Value      Upfront
Premiums
Paid
(Received)
     Unrealized
Appreciation
(Depreciation)
 

Banco do Brasil SA

     Q        1.000%        12/20/24        JPM        1.589%        $2,500,000        ($16,724      ($37,899      $21,175  

South Africa Government

     Q        1.000%        12/20/26        MSC        2.004%        4,800,000        (139,043      (140,362      1,319  

Colombia Government

     Q        1.000%        06/20/27        GSC        1.696%        4,600,000        (105,761      (135,411      29,650  

Colombia Government

     Q        1.000%        06/20/27        MSC        1.696%        1,600,000        (36,787      (64,813      28,026  

Colombia Government

     Q        1.000%        12/20/27        GSC        1.883%        2,100,000        (68,525      (154,133      85,608  

Colombia Government

     Q        1.000%        12/20/27        MSC        1.883%        1,900,000        (61,999      (139,453      77,454  
                    

 

 

    

 

 

    

 

 

 
     (428,839      (672,071      243,232  
                    

 

 

    

 

 

    

 

 

 
                          Exchange                                     

Barclays Bank PLC

     Q        1.000%        12/20/23        ICE        0.533%        EUR2,400,000        3,392        567        2,825  

General Electric Co.

     Q        1.000%        12/20/23        ICE        0.202%        $2,900,000        6,005        (6,074      12,079  

General Electric Co.

     Q        1.000%        06/20/24        ICE        0.215%        3,950,000        23,294        (11,667      34,961  

General Electric Co.

     Q        1.000%        12/20/24        ICE        0.268%        2,200,000        19,823        (8,573      28,396  

Boeing Co.

     Q        1.000%        06/20/25        ICE        0.493%        6,900,000        59,753        (61,436      121,189  

Rolls-Royce PLC

     Q        1.000%        06/20/25        ICE        0.912%        EUR4,300,000        7,840        (253,206      261,046  

Verizon Communications, Inc.

     Q        1.000%        12/20/26        ICE        0.844%        $7,300,000        35,677        107,824        (72,147

AT&T, Inc.

     Q        1.000%        06/20/28        ICE        1.046%        6,000,000        (9,651      (25,384      15,733  

British Telecommunications PLC

     Q        1.000%        06/20/28        ICE        0.919%        EUR6,200,000        24,309        (23,042      47,351  

T-Mobile USA, Inc.

     Q        5.000%        06/20/28        ICE        0.909%        $2,400,000        411,948        392,691        19,257  
                    

 

 

    

 

 

    

 

 

 
                       582,390        111,700        470,690  
                    

 

 

    

 

 

    

 

 

 

Total Credit Default Swaps on Corporate and Sovereign Issues – Sell Protection

 

        $153,551        ($560,371      $713,922  
                    

 

 

    

 

 

    

 

 

 

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.NA.HY.S35

     Q        5.000%        12/20/25        ICE        $2,450,000        ($82,960      ($77,951      ($5,009

CDX.NA.HY.S36

     Q        5.000%        06/20/26        ICE        4,704,000        (163,131      (239,122      75,991  
                 

 

 

    

 

 

    

 

 

 
                    ($246,091      ($317,073      $70,982  
                 

 

 

    

 

 

    

 

 

 

Total Credit Default Swaps

                    ($92,540      ($877,444      $784,904  
                 

 

 

    

 

 

    

 

 

 

 

(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 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.

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

68

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

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        JPY21,440,000,000        $56,192        $89,012        ($32,820
4.000%    1 Day CAD Overnight Repo      S/S        LCH        06/21/25        CAD163,400,000        (2,431,985      (1,618,310      (813,675
4.820%    1 Day CAD Overnight Repo      S/S        LCH        07/13/25        13,900,000        (44,233      -        (44,233
4.750%    1 Day CAD Overnight Repo      S/S        LCH        07/14/25        34,800,000        (144,676      -        (144,676
3.750%    1 Day CAD Overnight Repo      S/S        LCH        09/20/25        103,800,000        (1,795,352      (1,600,804      (194,548
1.000%    6 Month EUR LIBOR      A/S        LCH        05/18/27        EUR29,000,000        (2,867,775      (428,107      (2,439,668
2.547%    6 Month EUR LIBOR      A/S        LCH        03/09/33        4,500,000        (255,717      (95,736      (159,981
4.500%    6 Month AUD BBSW      S/S        LCH        09/20/33        AUD9,000,000        (115,744      (97,555      (18,189
3.000%    6 Month EUR LIBOR      A/S        LCH        03/20/34        EUR99,900,000        (3,105,597      (1,361,449      (1,744,148
0.450%    1 Day JPY TONAR      A/A        LCH        12/15/51        JPY310,000,000        (515,427      (213,872      (301,555
                 

 

 

    

 

 

    

 

 

 
     ($11,220,314      ($5,326,821      ($5,893,493
                 

 

 

    

 

 

    

 

 

 

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)
 
5.388%    1 Day USD SOFR      A/A        LCH        10/18/24        $41,700,000        $11,922        $-        $11,922  
3.750%    1 Day USD SOFR      A/A        LCH        06/21/25        107,200,000        2,853,900        1,632,356        1,221,544  
4.600%    1 Day USD SOFR      A/A        LCH        07/17/25        15,300,000        148,014        (1,821      149,835  
3.500%    1 Day USD SOFR      A/A        LCH        09/20/25        66,700,000        1,883,121        1,443,563        439,558  
1.750%    1 Day USD SOFR      A/A        CME        06/15/32        34,800,000        6,686,862        4,734,122        1,952,740  
3.156%    1 Day USD SOFR      A/A        LCH        03/10/33        27,600,000        979,557        -        979,557  
0.750%    1 Day JPY TONAR      S/S        LCH        03/20/38        JPY 50,000,000        23,955        (17,194      41,149  
0.800%    1 Day JPY TONAR      S/S        LCH        10/22/38        220,000,000        99,517        108        99,409  
0.705%    1 Day JPY TONAR      S/S        LCH        10/31/38        170,000,000        92,905        8,545        84,360  
0.785%    1 Day JPY TONAR      S/S        LCH        11/12/38        310,000,000        146,935        865        146,070  
0.750%    1 Day JPY TONAR      S/S        LCH        12/20/38        42,800,000        22,314        (18,009      40,323  
0.500%    1 Day JPY TONAR      A/A        LCH        03/15/42        1,394,400,000        1,357,015        387,369        969,646  
0.662%    1 Day JPY TONAR      A/A        LCH        04/19/42        138,000,000        110,126        -        110,126  
0.800%    1 Day JPY TONAR      A/A        LCH        06/15/52        3,770,000,000        4,304,082        (6,781      4,310,863  
1.750%    1 Day USD SOFR      A/A        CME        12/21/52        $11,600,000        4,724,442        2,100,700        2,623,742  
2.750%    6 Month EUR LIBOR      A/S        LCH        03/20/54        EUR 19,500,000        1,190,804        565,991        624,813  
4.250%    1 Day GBP SONIA      A/A        LCH        03/20/54        GBP 1,100,000        (13,439      (54,907      41,468  
                 

 

 

    

 

 

    

 

 

 
     $24,622,032        $10,774,907        $13,847,125  
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

       $13,401,718        $5,448,086        $7,953,632  
                 

 

 

    

 

 

    

 

 

 

Total Swap Agreements

       $13,309,178        $4,570,642        $8,738,536  
                 

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

69

PACIFIC SELECT FUND

MANAGED BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(j)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Energy

     $912,660        $-        $-        $912,660  
 

Financial

     189,261        189,261        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,101,921        189,261        -        912,660  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Corporate Bonds & Notes

     744,256,613        -        744,256,613        -  
 

Mortgage-Backed Securities

           
 

Collateralized Mortgage Obligations - Commercial

     174,034,435        -        174,034,435        -  
 

Collateralized Mortgage Obligations - Residential

     187,465,598        -        187,409,246        56,352  
 

Fannie Mae

     1,096,162,928        -        1,096,162,928        -  
 

Freddie Mac

     83,813,087        -        83,813,087        -  
 

Government National Mortgage Association

     5,659,678        -        5,659,678        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Mortgage-Backed Securities

     1,547,135,726        -        1,547,079,374        56,352  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Asset-Backed Securities

           
 

Automobile Sequential

     23,468,164        -        23,468,164        -  
 

Credit Card Bullet

     6,606,707        -        6,606,707        -  
 

Home Equity Other

     36,262,791        -        36,127,599        135,192  
 

Other Asset-Backed Securities

     284,809,181        -        284,660,621        148,560  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset-Backed Securities

     351,146,843        -        350,863,091        283,752  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

U.S. Government Agency Issues

     32,728,073        -        32,728,073        -  
 

U.S. Treasury Obligations

     341,691,312        -        341,691,312        -  
 

Foreign Government Bonds & Notes

     35,708,234        -        35,708,234        -  
 

Short-Term Investments

     37,057,406        -        37,057,406        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     862,060        -        862,060        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     6,446,609        -        6,446,609        -  
 

Purchased Options

     175,130        -        175,130        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     6,621,739        -        6,621,739        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     9,030,379        9,030,379        -        -  
 

Purchased Options

     249,500        -        249,500        -  
 

Swaps

     13,847,125        -        13,847,125        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     23,127,004        9,030,379        14,096,625        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     30,610,803        9,030,379        21,580,424        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     3,121,436,931        9,219,640        3,110,964,527        1,252,764  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Securities Sold Short

           
 

Mortgage-Backed Securities

     (39,308,352      -        (39,308,352      -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (77,156      -        (77,156      -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (1,705,793      -        (1,705,793      -  
 

Written Options

     (105,988      -        (105,988      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Foreign Currency Contracts

     (1,811,781      -       
(1,811,781

     -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Interest Rate Contracts

           
 

Futures

     (5,508,436      (5,508,436      -        -  
 

Written Options

     (579,859      -        (579,859      -  
 

Swaps

     (5,893,493      -        (5,893,493      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (11,981,788      (5,508,436      (6,473,352      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (13,870,725      (5,508,436      (8,362,289      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (53,179,077      (5,508,436      (47,670,641      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $3,068,257,854        $3,711,204        $3,063,293,886        $1,252,764  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

70

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

CORPORATE BONDS & NOTES - 49.2%

 

Basic Materials - 1.7%

 

ArcelorMittal SA (Luxembourg)
3.600% due 07/16/24

    $1,585,000       $1,553,211  

Celanese U.S. Holdings LLC

   

6.050% due 03/15/25

    2,030,000       2,023,229  

6.350% due 11/15/28

    1,450,000       1,432,521  

Celulosa Arauco y Constitucion SA (Chile)
4.500% due 08/01/24

    1,300,000       1,274,227  

Ecolab, Inc.

   

1.650% due 02/01/27

    1,425,000       1,265,135  

5.250% due 01/15/28

    3,135,000       3,131,287  

LG Chem Ltd. (South Korea)
3.250% due 10/15/24 ~

    3,000,000       2,918,057  

LYB International Finance III LLC
1.250% due 10/01/25

    2,618,000       2,386,513  

Nucor Corp. 2.000% due 06/01/25

    1,145,000       1,075,652  

3.950% due 05/23/25

    1,780,000       1,727,286  

Nutrien Ltd. (Canada)
4.900% due 03/27/28

    1,520,000       1,469,064  

POSCO (South Korea)

   

4.375% due 08/04/25 ~

    2,000,000       1,947,252  

5.625% due 01/17/26 ~

    4,500,000       4,482,217  

Sherwin-Williams Co.

   

4.050% due 08/08/24

    480,000       472,599  

4.250% due 08/08/25

    1,470,000       1,430,024  

Steel Dynamics, Inc.
2.800% due 12/15/24

    2,000,000       1,925,975  

Westlake Corp.
0.875% due 08/15/24

    2,505,000       2,396,496  
   

 

 

 
      32,910,745  
   

 

 

 

Communications - 2.9%

 

AT&T, Inc.
4.100% due 02/15/28

    1,100,000       1,027,602  

Charter Communications Operating LLC/ Charter Communications Operating Capital
4.908% due 07/23/25

    13,049,000       12,755,126  

Cox Communications, Inc.

   

3.150% due 08/15/24 ~

    4,606,000       4,495,199  

3.500% due 08/15/27 ~

    895,000       818,357  

Crown Castle Towers LLC
4.241% due 07/15/48 ~

    1,040,000       955,383  

KT Corp. (South Korea)
4.000% due 08/08/25 ~

    1,680,000       1,629,719  

Meta Platforms, Inc.
4.600% due 05/15/28

    2,305,000       2,255,611  

NBN Co. Ltd. (Australia)
1.450% due 05/05/26 ~

    3,725,000       3,348,276  

NTT Finance Corp. (Japan)

   

0.583% due 03/01/24 ~

    1,065,000       1,042,060  

4.142% due 07/26/24 ~

    440,000       433,888  

4.239% due 07/25/25 ~

    885,000       861,321  

Rogers Communications, Inc. (Canada)

   

2.950% due 03/15/25

    5,060,000       4,827,587  

3.200% due 03/15/27

    4,345,000       3,975,976  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    1,895,000       1,746,157  

3.500% due 04/15/25

    3,470,000       3,349,094  

Verizon Communications, Inc.

   

0.850% due 11/20/25

    5,120,000       4,633,648  

1.450% due 03/20/26

    4,550,000       4,109,499  

2.625% due 08/15/26

    5,110,000       4,721,968  
   

 

 

 
      56,986,471  
   

 

 

 
   

Principal

Amount

   

Value

 

Consumer, Cyclical - 4.6%

 

7-Eleven, Inc.
0.800% due 02/10/24 ~

    $2,285,000       $2,241,820  

Advance Auto Parts, Inc.
5.900% due 03/09/26

    935,000       903,363  

American Airlines Pass-Through Trust Class B
3.700% due 04/15/27

    810,929       770,680  

Aptiv PLC/Aptiv Corp.
2.396% due 02/18/25

    2,665,000       2,536,775  

AutoZone, Inc.
3.625% due 04/15/25

    1,820,000       1,760,613  

Brunswick Corp.
0.850% due 08/18/24

    4,840,000       4,617,217  

Daimler Truck Finance North America LLC
(Germany)

 

 

1.625% due 12/13/24 ~

    3,665,000       3,483,487  

5.150% due 01/16/26 ~

    965,000       952,667  

5.200% due 01/17/25 ~

    1,325,000       1,313,448  

General Motors Financial Co., Inc.

   

2.900% due 02/26/25

    6,670,000       6,366,302  

5.400% due 04/06/26

    1,770,000       1,733,835  

Genuine Parts Co.
1.750% due 02/01/25

    1,440,000       1,357,408  

Hasbro, Inc.
3.000% due 11/19/24

    6,300,000       6,081,786  

Hyundai Capital America

   

0.800% due 01/08/24 ~

    2,570,000       2,534,165  

0.875% due 06/14/24 ~

    2,765,000       2,667,013  

1.000% due 09/17/24 ~

    1,805,000       1,720,037  

5.500% due 03/30/26 ~

    1,575,000       1,554,887  

5.600% due 03/30/28 ~

    2,255,000       2,207,541  

Hyundai Capital Services, Inc. (South Korea)
2.125% due 04/24/25 ~

    1,385,000       1,303,911  

Lowe’s Cos., Inc.

   

3.350% due 04/01/27

    1,125,000       1,048,020  

4.400% due 09/08/25

    4,272,000       4,177,667  

4.800% due 04/01/26

    2,260,000       2,218,259  

Marriott International, Inc.

   

3.750% due 03/15/25

    650,000       629,994  

4.900% due 04/15/29

    685,000       653,481  

5.450% due 09/15/26

    975,000       966,422  

5.750% due 05/01/25

    655,000       653,948  

Mattel, Inc.

   

3.375% due 04/01/26 ~

    2,250,000       2,082,993  

5.875% due 12/15/27 ~

    1,870,000       1,819,805  

Mercedes-Benz Finance North America LLC (Germany)
4.800% due 03/30/26 ~

    2,425,000       2,383,356  

Nordstrom, Inc.
2.300% due 04/08/24

    320,000       313,642  

Ross Stores, Inc.

   

0.875% due 04/15/26

    1,960,000       1,741,070  

4.600% due 04/15/25

    7,315,000       7,171,366  

Stellantis Finance U.S., Inc.
1.711% due 01/29/27 ~

    2,615,000       2,276,330  

United Airlines Pass-Through Trust Class B
3.500% due 11/01/29

    491,240       443,229  

Volkswagen Group of America Finance LLC
(Germany)

 

0.875% due 11/22/23 ~

    1,415,000       1,405,539  

3.950% due 06/06/25 ~

    2,440,000       2,360,895  

5.700% due 09/12/26 ~

    1,700,000       1,691,485  

5.800% due 09/12/25 ~

    1,995,000       1,986,927  

Warnermedia Holdings, Inc.

   

3.755% due 03/15/27

    6,730,000       6,216,181  

6.412% due 03/15/26

    1,595,000       1,595,398  
   

 

 

 
      89,942,962  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

71

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Consumer, Non-Cyclical - 8.0%

 

AbbVie, Inc. 2.600% due 11/21/24

    $10,040,000       $9,682,657  

2.950% due 11/21/26

    7,105,000       6,596,360  

3.200% due 05/14/26

    685,000       647,326  

Amgen, Inc.
5.250% due 03/02/25

    2,395,000       2,377,648  

Astrazeneca Finance LLC (United Kingdom)
1.200% due 05/28/26

    4,930,000       4,431,119  

BAT International Finance PLC (United Kingdom)

   

1.668% due 03/25/26

    3,270,000       2,947,294  

4.448% due 03/16/28

    6,415,000       5,985,027  

Bayer U.S. Finance II LLC (Germany)
3.875% due 12/15/23 ~

    3,750,000       3,734,505  

Becton Dickinson & Co.

   

3.363% due 06/06/24

    1,616,000       1,587,799  

3.734% due 12/15/24

    1,473,000       1,437,269  

4.693% due 02/13/28

    4,860,000       4,713,890  

Cardinal Health, Inc.

   

3.079% due 06/15/24

    1,285,000       1,258,446  

3.500% due 11/15/24

    2,100,000       2,039,627  

Coca-Cola Europacific Partners PLC (United Kingdom)
0.800% due 05/03/24 ~

    8,235,000       7,995,739  

CSL Finance PLC (Australia)
3.850% due 04/27/27 ~

    1,255,000       1,189,685  

CVS Health Corp.

   

2.875% due 06/01/26

    1,540,000       1,435,000  

3.000% due 08/15/26

    1,435,000       1,334,774  

5.000% due 02/20/26

    3,440,000       3,387,251  

Elevance Health, Inc.
5.350% due 10/15/25

    1,130,000       1,123,177  

ERAC USA Finance LLC
4.600% due 05/01/28 ~

    4,305,000       4,133,836  

HCA, Inc. 3.125% due 03/15/27

    3,505,000       3,185,931  

5.375% due 02/01/25

    2,085,000       2,064,021  

Health Care Service Corp. A Mutual Legal Reserve Co.
1.500% due 06/01/25 ~

    5,295,000       4,902,902  

HPHT Finance 19 Ltd. (Hong Kong)
2.875% due 11/05/24 ~

    1,880,000       1,817,777  

HPHT Finance 21 II Ltd. (Hong Kong)
1.500% due 09/17/26 ~

    3,450,000       3,054,316  

Humana, Inc.

   

1.350% due 02/03/27

    1,675,000       1,460,112  

3.850% due 10/01/24

    2,120,000       2,077,418  

5.750% due 03/01/28

    1,050,000       1,054,324  

Imperial Brands Finance PLC (United Kingdom)

   

3.125% due 07/26/24 ~

    6,615,000       6,447,830  

4.250% due 07/21/25 ~

    3,045,000       2,934,152  

JDE Peet’s NV (Netherlands)
0.800% due 09/24/24 ~

    2,060,000       1,955,798  

Kenvue, Inc.
5.350% due 03/22/26 ~

    1,500,000       1,497,019  

Mars, Inc.
4.550% due 04/20/28 ~

    4,490,000       4,352,209  

Mondelez International Holdings Netherlands BV
4.250% due 09/15/25 ~

    1,960,000       1,909,391  

Mondelez International, Inc.
2.625% due 03/17/27

    2,570,000       2,340,683  

PeaceHealth Obligated Group
1.375% due 11/15/25

    455,000       413,203  
   

Principal

Amount

   

Value

 

Pelabuhan Indonesia Persero PT (Indonesia)
4.875% due 10/01/24 ~

    $5,400,000       $5,327,146  

Perrigo Finance Unlimited Co.
3.900% due 12/15/24

    5,480,000       5,288,733  

Pfizer Investment Enterprises Pte. Ltd.
4.450% due 05/19/28

    3,430,000       3,308,263  

Philip Morris International, Inc.

   

4.875% due 02/13/26

    2,860,000       2,813,751  

5.000% due 11/17/25

    2,030,000       2,006,547  

S&P Global, Inc.
2.450% due 03/01/27

    4,790,000       4,366,055  

UnitedHealth Group, Inc.

   

3.700% due 05/15/27

    2,755,000       2,612,680  

4.250% due 01/15/29

    4,740,000       4,514,281  

5.150% due 10/15/25

    2,305,000       2,298,753  

5.250% due 02/15/28

    1,300,000       1,302,775  

Utah Acquisition Sub, Inc.
3.950% due 06/15/26

    5,570,000       5,219,720  

Viatris, Inc.
1.650% due 06/22/25

    3,440,000       3,178,906  

Viterra Finance BV (Netherlands)
4.900% due 04/21/27 ~

    3,270,000       3,135,455  
   

 

 

 
      154,878,580  
   

 

 

 

Energy - 3.2%

 

Aker BP ASA (Norway)
2.000% due 07/15/26 ~

    905,000       808,147  

Canadian Natural Resources Ltd. (Canada)

   

2.050% due 07/15/25

    5,520,000       5,153,980  

3.800% due 04/15/24

    500,000       493,609  

Cheniere Corpus Christi Holdings LLC
5.875% due 03/31/25

    5,410,000       5,371,401  

Columbia Pipelines Holding Co. LLC
6.055% due 08/15/26 ~

    495,000       496,746  

DCP Midstream Operating LP
5.375% due 07/15/25

    6,065,000       5,989,371  

Enbridge, Inc. (Canada)

   

2.150% due 02/16/24

    2,350,000       2,316,708  

2.500% due 01/15/25

    4,505,000       4,307,252  

2.500% due 02/14/25

    1,980,000       1,887,313  

Energy Transfer LP

   

2.900% due 05/15/25

    890,000       845,900  

4.250% due 04/01/24

    135,000       133,804  

4.900% due 02/01/24

    2,360,000       2,351,472  

5.875% due 01/15/24

    8,465,000       8,460,649  

Gray Oak Pipeline LLC
2.600% due 10/15/25 ~

    1,435,000       1,323,622  

ONEOK, Inc.
5.550% due 11/01/26

    2,270,000       2,255,750  

Ovintiv, Inc.
5.650% due 05/15/25

    2,710,000       2,695,497  

Pioneer Natural Resources Co.
5.100% due 03/29/26

    2,130,000       2,103,348  

Sabine Pass Liquefaction LLC

   

5.625% due 03/01/25

    3,935,000       3,911,239  

5.750% due 05/15/24

    705,000       703,649  

TransCanada PipeLines Ltd. (Canada)
6.203% due 03/09/26

    4,375,000       4,370,307  

Williams Cos., Inc.

   

4.300% due 03/04/24

    1,190,000       1,181,164  

5.400% due 03/02/26

    5,700,000       5,657,613  
   

 

 

 
      62,818,541  
   

 

 

 

Financial - 21.0%

 

ABN AMRO Bank NV (Netherlands)
6.339% due 09/18/27 ~

    1,700,000       1,696,478  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

72

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

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

   

1.650% due 10/29/24

    $8,945,000       $8,512,073  

4.875% due 01/16/24

    2,405,000       2,395,606  

6.100% due 01/15/27

    980,000       975,698  

Ally Financial, Inc.
3.875% due 05/21/24

    4,605,000       4,520,199  

American Express Co.
2.250% due 03/04/25

    4,055,000       3,854,668  

American Tower Corp. REIT
2.400% due 03/15/25

    1,730,000       1,640,983  

Athene Global Funding

   

1.716% due 01/07/25 ~

    5,985,000       5,621,300  

2.514% due 03/08/24 ~

    7,235,000       7,108,047  

Avolon Holdings Funding Ltd. (Ireland)

   

2.125% due 02/21/26 ~

    4,385,000       3,930,519  

2.875% due 02/15/25 ~

    3,500,000       3,306,139  

3.950% due 07/01/24 ~

    1,125,000       1,101,494  

5.125% due 10/01/23 ~

    1,890,000       1,890,000  

6.375% due 05/04/28 ~

    1,065,000       1,047,403  

Banco del Estado de Chile (Chile)
2.704% due 01/09/25 ~

    1,010,000       966,904  

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand (Mexico)
5.375% due 04/17/25 ~

    3,955,000       3,889,663  

Banco Santander SA (Spain)

   

3.496% due 03/24/25

    3,600,000       3,461,363  

5.742% due 06/30/24

    600,000       598,949  

Bank of America Corp.

   

0.810% due 10/24/24

    2,500,000       2,490,453  

0.976% due 04/22/25

    4,375,000       4,239,504  

1.734% due 07/22/27

    3,150,000       2,792,249  

1.843% due 02/04/25

    2,880,000       2,833,079  

3.384% due 04/02/26

    3,705,000       3,546,904  

3.841% due 04/25/25

    2,435,000       2,400,887  

5.080% due 01/20/27

    2,000,000       1,955,355  

Bank of Ireland Group PLC (Ireland)
4.500% due 11/25/23 ~

    5,470,000       5,453,098  

Bank of Montreal (Canada)

   

3.700% due 06/07/25

    4,725,000       4,555,805  

4.250% due 09/14/24

    2,390,000       2,349,990  

5.300% due 06/05/26

    2,695,000       2,659,445  

5.920% due 09/25/25

    4,000,000       3,992,565  

Bank of New York Mellon Corp.

   

4.414% due 07/24/26

    3,390,000       3,295,083  

4.947% due 04/26/27

    3,310,000       3,231,612  

5.148% due 05/22/26

    2,360,000       2,338,774  

Banque Federative du Credit Mutuel SA (France)

 

 

0.650% due 02/27/24 ~

    3,695,000       3,616,880  

0.998% due 02/04/25 ~

    2,850,000       2,659,478  

4.935% due 01/26/26 ~

    2,215,000       2,156,749  

Barclays PLC (United Kingdom)

   

1.007% due 12/10/24

    3,335,000       3,298,899  

5.304% due 08/09/26

    2,155,000       2,111,349  

7.325% due 11/02/26

    2,470,000       2,508,157  

BPCE SA (France)
5.700% due 10/22/23 ~

    5,665,000       5,659,701  

Brighthouse Financial Global Funding
1.000% due 04/12/24 ~

    3,485,000       3,392,081  

Brixmor Operating Partnership LP REIT
3.650% due 06/15/24

    3,295,000       3,215,276  

CaixaBank SA (Spain)

   

6.208% due 01/18/29 ~

    3,770,000       3,691,116  

6.684% due 09/13/27 ~

    4,330,000       4,329,938  

Canadian Imperial Bank of Commerce (Canada)
5.144% due 04/28/25

    6,030,000       5,952,848  

Capital One Financial Corp.

   

2.636% due 03/03/26

    3,675,000       3,469,669  

3.900% due 01/29/24

    1,290,000       1,280,291  

4.250% due 04/30/25

    515,000       498,962  

4.985% due 07/24/26

    2,830,000       2,746,987  

6.312% due 06/08/29

    1,495,000       1,461,830  
   

Principal

Amount

   

Value

 

Charles Schwab Corp.

   

2.450% due 03/03/27

    $7,145,000       $6,368,154  

3.200% due 03/02/27

    1,640,000       1,503,158  

Citigroup, Inc.

   

0.981% due 05/01/25

    3,600,000       3,484,923  

3.106% due 04/08/26

    1,845,000       1,761,162  

4.140% due 05/24/25

    3,580,000       3,529,978  

CNO Global Funding

   

1.650% due 01/06/25 ~

    3,575,000       3,350,444  

1.750% due 10/07/26 ~

    4,220,000       3,709,180  

Corebridge Financial, Inc.
3.500% due 04/04/25

    2,720,000       2,610,579  

Credicorp Ltd. (Peru)
2.750% due 06/17/25 ~

    665,000       623,616  

Credit Suisse AG (Switzerland)
0.495% due 02/02/24

    3,430,000       3,363,670  

Crown Castle International Corp. REIT
2.900% due 03/15/27

    1,635,000       1,484,318  

Crown Castle, Inc. REIT

   

1.050% due 07/15/26

    2,400,000       2,107,462  

4.450% due 02/15/26

    4,410,000       4,272,352  

5.000% due 01/11/28

    555,000       536,621  

Danske Bank AS (Denmark)

   

3.773% due 03/28/25 ~

    2,410,000       2,374,511  

5.375% due 01/12/24 ~

    4,255,000       4,238,319  

6.259% due 09/22/26 ~

    1,350,000       1,349,990  

Discover Bank
2.450% due 09/12/24

    640,000       615,307  

Discover Financial Services
3.950% due 11/06/24

    1,155,000       1,123,689  

Equitable Financial Life Global Funding

   

1.000% due 01/09/26 ~

    215,000       191,004  

1.100% due 11/12/24 ~

    3,520,000       3,324,933  

Essex Portfolio LP REIT
3.875% due 05/01/24

    1,500,000       1,478,989  

Fifth Third Bancorp
6.339% due 07/27/29

    1,145,000       1,131,717  

Fifth Third Bank NA

   

2.250% due 02/01/27

    655,000       574,402  

5.852% due 10/27/25

    6,710,000       6,603,531  

First American Financial Corp.
4.600% due 11/15/24

    615,000       603,392  

Goldman Sachs Group, Inc.

   

0.925% due 10/21/24

    2,215,000       2,197,540  

1.757% due 01/24/25

    3,640,000       3,582,713  

3.500% due 04/01/25

    3,620,000       3,486,571  

4.482% due 08/23/28

    2,920,000       2,764,721  

5.700% due 11/01/24

    1,500,000       1,494,790  

5.849% (SOFR + 0.505%)

due 09/10/24 §

    2,430,000       2,424,585  

GTP Acquisition Partners I LLC
3.482% due 06/15/50 ~

    9,535,000       9,127,305  

HSBC Holdings PLC (United Kingdom)

   

1.162% due 11/22/24

    2,260,000       2,238,842  

1.645% due 04/18/26

    5,875,000       5,462,320  

Huntington National Bank
5.699% due 11/18/25

    1,465,000       1,432,551  

ING Groep NV (Netherlands)
6.083% due 09/11/27

    1,805,000       1,797,909  

Jackson Financial, Inc.
1.125% due 11/22/23

    2,155,000       2,138,763  

Jackson National Life Global Funding
1.750% due 01/12/25 ~

    3,835,000       3,602,828  

JPMorgan Chase & Co.

   

0.824% due 06/01/25

    3,830,000       3,687,764  

2.083% due 04/22/26

    6,250,000       5,868,000  

4.080% due 04/26/26

    3,570,000       3,465,455  

6.205% (SOFR + 0.885%)

due 04/22/27 §

    2,700,000       2,682,992  

LeasePlan Corp. NV (Netherlands)
2.875% due 10/24/24 ~

    3,960,000       3,811,296  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

73

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Lloyds Banking Group PLC (United Kingdom)
4.500% due 11/04/24

    $2,250,000       $2,200,049  

LSEGA Financing PLC (United Kingdom)
0.650% due 04/06/24 ~

    6,165,000       5,996,543  

Marsh & McLennan Cos., Inc.
3.875% due 03/15/24

    1,815,000       1,798,123  

Mitsubishi UFJ Financial Group, Inc. (Japan)
0.953% due 07/19/25

    4,020,000       3,854,079  

Morgan Stanley

   

1.164% due 10/21/25

    2,950,000       2,785,575  

2.630% due 02/18/26

    3,420,000       3,256,068  

3.620% due 04/17/25

    2,660,000       2,618,473  

5.050% due 01/28/27

    1,370,000       1,343,295  

5.790% (SOFR + 0.455%)

due 01/25/24 §

    3,095,000       3,094,688  

6.138% due 10/16/26

    3,000,000       3,003,668  

Morgan Stanley Bank NA
4.754% due 04/21/26

    2,960,000       2,894,090  

Nasdaq, Inc.
5.650% due 06/28/25

    580,000       578,430  

NatWest Markets PLC (United Kingdom)

   

0.800% due 08/12/24 ~

    1,255,000       1,199,943  

3.479% due 03/22/25 ~

    1,850,000       1,783,973  

Northern Trust Corp.
3.950% due 10/30/25

    1,955,000       1,885,604  

Northwestern Mutual Global Funding
4.350% due 09/15/27 ~

    2,840,000       2,724,795  

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

    505,000       502,570  

PNC Financial Services Group, Inc.

   

4.758% due 01/26/27

    3,290,000       3,199,048  

5.671% due 10/28/25

    4,585,000       4,551,146  

5.812% due 06/12/26

    1,260,000       1,250,296  

Principal Life Global Funding II
0.750% due 04/12/24 ~

    1,230,000       1,196,240  

Public Storage Operating Co. REIT

   

5.125% due 01/15/29

    1,120,000       1,102,963  

5.790% (SOFR + 0.470%)

due 04/23/24 §

    1,045,000       1,044,638  

QNB Finance Ltd. (Qatar)

   

2.625% due 05/12/25 ~

    4,330,000       4,105,221  

3.500% due 03/28/24 ~

    2,320,000       2,287,773  

Realty Income Corp. REIT
5.050% due 01/13/26

    625,000       616,408  

Santander Holdings USA, Inc.
2.490% due 01/06/28

    2,580,000       2,241,685  

SBA Tower Trust REIT

   

1.631% due 05/15/51 ~

    1,045,000       904,927  

1.884% due 07/15/50 ~

    725,000       656,048  

2.836% due 01/15/50 ~

    2,045,000       1,957,978  

6.599% due 01/15/28 ~

    990,000       994,342  

Simon Property Group LP REIT

   

2.000% due 09/13/24

    1,099,000       1,058,387  

3.375% due 10/01/24

    2,250,000       2,192,835  

Societe Generale SA (France)
2.625% due 10/16/24 ~

    335,000       322,076  

Standard Chartered PLC (United Kingdom)

   

0.991% due 01/12/25 ~

    1,525,000       1,500,131  

1.214% due 03/23/25 ~

    225,000       220,070  

1.822% due 11/23/25 ~

    1,825,000       1,725,149  

State Street Corp.
4.857% due 01/26/26

    1,515,000       1,490,371  

Svenska Handelsbanken AB (Sweden)
0.550% due 06/11/24 ~

    1,520,000       1,466,026  

Synchrony Financial
4.250% due 08/15/24

    4,015,000       3,922,020  

Toronto-Dominion Bank (Canada)

   

0.700% due 09/10/24

    2,920,000       2,781,819  

5.532% due 07/17/26

    3,190,000       3,167,743  
   

Principal

Amount

   

Value

 

Truist Financial Corp.
5.744% (SOFR + 0.400%)
due 06/09/25 §

    $2,995,000       $2,929,369  

UBS Group AG (Switzerland)

   

1.494% due 08/10/27 ~

    1,400,000       1,222,508  

4.488% due 05/12/26 ~

    1,135,000       1,099,683  

4.490% due 08/05/25 ~

    3,100,000       3,046,461  

6.327% due 12/22/27 ~

    1,950,000       1,947,687  

U.S. Bancorp

   

4.548% due 07/22/28

    6,290,000       5,911,135  

5.727% due 10/21/26

    1,940,000       1,924,342  

Wells Fargo & Co. 2.188% due 04/30/26

    2,725,000       2,559,285  

3.526% due 03/24/28

    2,195,000       2,016,937  

3.908% due 04/25/26

    3,760,000       3,624,000  

4.540% due 08/15/26

    3,465,000       3,366,232  

Western Union Co.
2.850% due 01/10/25

    6,945,000       6,645,062  

WP Carey, Inc. REIT
4.600% due 04/01/24

    4,000,000       3,960,828  
   

 

 

 
      408,013,681  
   

 

 

 

Industrial - 2.0%

 

Amcor Flexibles North America, Inc.
4.000% due 05/17/25

    2,745,000       2,655,940  

Amphenol Corp.

   

2.050% due 03/01/25

    3,255,000       3,097,200  

4.750% due 03/30/26

    1,250,000       1,228,142  

Canadian Pacific Railway Co. (Canada)
1.750% due 12/02/26

    2,100,000       1,874,853  

Carrier Global Corp.
2.242% due 02/15/25

    899,000       854,631  

DAE Funding LLC (United Arab Emirates)
1.550% due 08/01/24 ~

    990,000       948,391  

GATX Corp.

   

3.250% due 03/30/25

    2,908,000       2,784,426  

3.250% due 09/15/26

    210,000       194,866  

4.350% due 02/15/24

    5,655,000       5,614,107  

Mohawk Industries, Inc.
5.850% due 09/18/28

    1,560,000       1,549,253  

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

    3,870,000       3,655,047  

Parker-Hannifin Corp.
3.650% due 06/15/24

    2,800,000       2,757,148  

Penske Truck Leasing Co. LP/PTL Finance Corp.

   

3.450% due 07/01/24 ~

    2,403,000       2,357,609  

5.750% due 05/24/26 ~

    2,880,000       2,839,077  

Regal Rexnord Corp.
6.050% due 02/15/26 ~

    2,230,000       2,206,137  

Republic Services, Inc.

   

0.875% due 11/15/25

    675,000       611,027  

2.500% due 08/15/24

    1,725,000       1,676,027  

4.875% due 04/01/29

    1,015,000       987,032  

SMBC Aviation Capital Finance DAC (Ireland)
3.550% due 04/15/24 ~

    1,645,000       1,622,142  
   

 

 

 
      39,513,055  
   

 

 

 

Technology - 2.1%

 

CDW LLC/CDW Finance Corp.
5.500% due 12/01/24

    655,000       647,952  

Fidelity National Information Services, Inc. 0.600% due 03/01/24

    2,325,000       2,272,395  

4.500% due 07/15/25

    1,905,000       1,859,032  

Fiserv, Inc. 2.750% due 07/01/24

    6,545,000       6,388,840  

3.800% due 10/01/23

    1,070,000       1,070,000  

Fortinet, Inc.
1.000% due 03/15/26

    2,565,000       2,290,421  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

74

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Microchip Technology, Inc.

   

0.972% due 02/15/24

    $2,770,000       $2,719,349  

0.983% due 09/01/24

    3,900,000       3,723,849  

Micron Technology, Inc.
5.375% due 04/15/28

    3,360,000       3,245,536  

NXP BV/NXP Funding LLC (China)
4.875% due 03/01/24

    1,605,000       1,597,138  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

2.700% due 05/01/25

    2,780,000       2,641,287  

3.875% due 06/18/26

    2,030,000       1,930,826  

4.400% due 06/01/27

    480,000       455,569  

Qorvo, Inc.
1.750% due 12/15/24 ~

    1,660,000       1,561,816  

Roper Technologies, Inc.

   

1.000% due 09/15/25

    685,000       626,443  

2.350% due 09/15/24

    670,000       646,895  

Take-Two Interactive Software, Inc.

   

3.300% due 03/28/24

    110,000       108,515  

3.550% due 04/14/25

    1,520,000       1,466,469  

5.000% due 03/28/26

    3,590,000       3,523,702  

Workday, Inc.
3.500% due 04/01/27

    1,680,000       1,568,198  
   

 

 

 
      40,344,232  
   

 

 

 

Utilities - 3.7%

 

AES Corp.
3.300% due 07/15/25 ~

    2,565,000       2,432,675  

Alexander Funding Trust
1.841% due 11/15/23 ~

    1,885,000       1,872,645  

APA Infrastructure Ltd. (Australia)
4.200% due 03/23/25 ~

    7,745,000       7,534,230  

Constellation Energy Generation LLC
5.600% due 03/01/28

    1,850,000       1,838,870  

DTE Energy Co.
4.220% due 11/01/24

    3,560,000       3,494,926  

Enel Finance International NV (Italy)
1.375% due 07/12/26 ~

    4,580,000       4,046,971  

2.650% due 09/10/24 ~

    5,970,000       5,777,462  

6.800% due 10/14/25 ~

    500,000       506,006  

Israel Electric Corp. Ltd. (Israel)
5.000% due 11/12/24 ~

    3,600,000       3,555,090  

NextEra Energy Capital Holdings, Inc.
1.875% due 01/15/27

    2,360,000       2,091,219  

4.450% due 06/20/25

    3,195,000       3,117,579  

5.749% due 09/01/25

    2,045,000       2,039,925  

6.051% due 03/01/25

    1,520,000       1,522,843  

NiSource, Inc.
5.250% due 03/30/28

    535,000       524,677  

NRG Energy, Inc.
3.750% due 06/15/24 ~

    2,225,000       2,179,461  

Pacific Gas & Electric Co.
3.500% due 06/15/25

    3,760,000       3,574,984  

Sempra 3.300% due 04/01/25

    2,450,000       2,356,057  

5.400% due 08/01/26

    2,025,000       2,004,569  

Southern California Gas Co.
2.950% due 04/15/27

    1,395,000       1,280,625  

Tenaga Nasional Bhd (Malaysia)
7.500% due 11/01/25 ~

    1,200,000       1,236,414  

Vistra Operations Co. LLC

   

3.550% due 07/15/24 ~

    14,955,000       14,588,550  

5.125% due 05/13/25 ~

    3,885,000       3,789,069  
   

 

 

 
      71,364,847  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $982,849,642)

 

    956,773,114  
   

 

 

 
   

Principal

Amount

   

Value

 

MORTGAGE-BACKED SECURITIES - 13.8%

 

Collateralized Mortgage Obligations - Commercial - 4.0%

 

BAMLL Commercial Mortgage Securities Trust

   

3.218% due 04/14/33 ~

    $2,030,000       $1,894,112  

3.490% due 04/14/33 ~

    1,775,000       1,630,480  

6.480% (SOFR + 0.897%)

due 09/15/34 § ~

    5,645,000       5,620,848  

6.780% (SOFR + 1.197%)

due 09/15/34 § ~

    780,000       776,649  

7.330% (SOFR + 1.747%)

due 09/15/34 § ~

    2,015,000       1,998,684  

7.447% (SOFR + 2.114%)

due 09/15/38 § ~

    1,570,000       1,346,355  

Bank

   

2.056% due 11/15/62

    144,100       141,951  

2.263% due 08/15/61

    287,816       269,426  

BCP Trust
6.246% (SOFR + 0.913%)
due 06/15/38 § ~

    1,045,000       927,941  

Benchmark Mortgage Trust
6.035% due 07/15/56

    1,028,873       1,023,152  

BFLD Trust
7.286% (SOFR + 1.954%)
due 10/15/34 § ~

    4,575,000       4,497,884  

BPR Trust
6.597% (SOFR + 1.264%)
due 09/15/38 § ~

    1,585,000       1,497,747  

BSREP Commercial Mortgage Trust
7.347% (SOFR + 2.014%)
due 08/15/38 § ~

    663,394       535,175  

BX Commercial Mortgage Trust

   

6.527% (SOFR + 1.194%)

due 10/15/36 § ~

    1,249,500       1,242,149  

6.726% (SOFR + 1.394%)

due 06/15/36 § ~

    935,000       891,936  

8.473% (SOFR + 3.141%)

due 06/15/27 § ~

    1,815,000       1,818,269  

BX Trust
5.391% due 02/15/28 ~

    2,950,000       2,752,434  

CGDB Commercial Mortgage Trust
7.097% (SOFR + 1.764%)
due 11/15/36 § ~

    1,221,522       1,169,275  

Cold Storage Trust
6.747% (SOFR + 1.414%)
due 11/15/37 § ~

    1,484,316       1,468,938  

COMM Mortgage Trust

   

3.759% due 08/10/48

    260,000       248,339  

4.343% due 10/10/29 § ~

    1,893,000       1,638,293  

Commercial Mortgage Trust

   

3.838% due 09/10/47

    2,825,000       2,740,262  

3.926% due 03/10/48 §

    845,000       772,009  

4.080% due 08/10/47

    2,055,000       1,977,007  

4.203% due 03/10/48 §

    1,770,000       1,563,317  

4.745% due 02/10/47 §

    1,715,000       1,626,025  

4.853% due 08/10/47 § ~

    710,000       609,478  

Credit Suisse Mortgage Capital Certificates

   

6.810% (SOFR + 1.477%)

due 05/15/36 § ~

    2,134,689       2,121,844  

6.980% (SOFR + 1.647%)

due 05/15/36 § ~

    1,571,091       1,561,284  

CSAIL Commercial Mortgage Trust

   

2.360% due 06/15/52

    249,139       244,005  

Extended Stay America Trust

   

6.526% (SOFR + 1.194%)

due 07/15/38 § ~

    731,875       726,371  

7.146% (SOFR + 1.814%)

due 07/15/38 § ~

    1,634,839       1,612,786  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

75

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Fontainebleau Miami Beach Trust

   

3.144% due 12/10/36 ~

    $3,595,000       $3,436,009  

3.447% due 12/10/36 ~

    1,715,000       1,639,766  

Great Wolf Trust
7.079% (SOFR + 1.747%)
due 12/15/36 § ~

    1,055,000       1,043,163  

GS Mortgage Securities Corp. Trust
7.047% (SOFR + 1.714%)
due 05/15/26 § ~

    1,440,000       1,217,428  

GS Mortgage Securities Trust
3.433% due 05/10/50

    1,825,000       1,658,548  

JP Morgan Chase Commercial Mortgage Securities Trust

   

7.217% (SOFR + 1.884%)

due 10/15/33 § ~

    2,345,000       2,104,745  

7.547% (SOFR + 1.964%)

due 09/15/29 § ~

    1,025,000       815,044  

7.617% (SOFR + 2.284%)

due 10/15/33 § ~

    1,890,000       1,558,644  

JPMBB Commercial Mortgage Securities Trust
3.934% due 09/15/47

    2,420,000       2,356,307  

KIND Trust
7.196% (SOFR + 1.864%)
due 08/15/38 § ~

    2,050,183       1,942,464  

LSTAR Commercial Mortgage Trust
2.809% due 03/10/49 ~

    1,260,000       1,165,735  

Morgan Stanley Capital I Trust
7.247% (SOFR + 1.914%)
due 12/15/36 § ~

    775,000       306,125  

ONE Mortgage Trust

   

6.396% (SOFR + 1.064%)

due 03/15/36 § ~

    2,945,000       2,757,652  

6.546% (SOFR + 1.214%)

due 03/15/36 § ~

    1,580,000       1,456,742  

RLGH Trust
6.247% (SOFR + 0.914%)
due 04/15/36 § ~

    1,370,000       1,334,054  

WFRBS Commercial Mortgage Trust
4.045% due 03/15/47

    1,465,000       1,456,369  

WSTN Trust
7.263% due 07/05/37 § ~

    3,080,000       3,070,055  
   

 

 

 
      78,263,275  
   

 

 

 

Collateralized Mortgage Obligations - Residential - 4.5%

 

Angel Oak Mortgage Trust

   

0.909% due 01/25/66 § ~

    1,074,857       882,116  

0.985% due 04/25/66 § ~

    929,648       755,219  

1.068% due 05/25/66 § ~

    699,503       575,197  

1.579% due 05/25/65 § ~

    270,606       248,759  

2.041% due 05/25/65 § ~

    372,934       344,624  

2.872% due 04/25/65 § ~

    187,283       174,594  

4.300% due 07/25/67 § ~

    6,381,709       5,903,034  

4.800% due 09/26/67 § ~

    5,687,224       5,435,103  

Bayview MSR Opportunity Master Fund Trust (Cayman)
2.500% due 06/25/51 § ~

    1,583,490       1,341,133  

BINOM Securitization Trust
2.625% due 06/25/56 § ~

    608,397       506,941  

BRAVO Residential Funding Trust
1.699% due 04/25/60 § ~

    980,301       857,478  

CIM Trust 2.500% due 04/25/50 § ~

    1,256,900       965,671  

4.500% due 03/25/62 § ~

    2,620,317       2,449,218  

COLT Mortgage Loan Trust

   

1.167% due 06/25/66 § ~

    943,679       744,964  

1.506% due 04/27/65 § ~

    118,485       110,608  

6.503% due 04/25/68 § ~

    647,615       642,925  

Connecticut Avenue Securities Trust

   

6.315% (SOFR + 1.000%)
due 12/25/41 § ~

    807,319       802,927  
   

Principal

Amount

   

Value

 

7.615% (SOFR + 2.300%)
due 05/25/43 § ~

    $4,584,302       $4,646,308  

Deephaven Residential Mortgage Trust

   

0.899% due 04/25/66 § ~

    374,838       321,558  

0.973% due 05/25/65 § ~

    207,282       189,317  

1.260% due 04/25/66 § ~

    410,296       351,635  

Eagle RE Ltd. (Bermuda)
6.865% (SOFR + 1.550%)
due 04/25/34 § ~

    212,984       213,000  

Ellington Financial Mortgage Trust

   

0.797% due 02/25/66 § ~

    230,482       189,596  

0.931% due 06/25/66 § ~

    564,431       442,278  

1.106% due 02/25/66 § ~

    197,978       161,623  

1.291% due 06/25/66 § ~

    543,853       422,643  

1.550% due 09/25/66 § ~

    534,182       402,409  

3.046% due 11/25/59 § ~

    193,589       176,498  

Fannie Mae
3.000% due 11/25/47

    1,760,424       1,575,557  

Fannie Mae Connecticut Avenue Securities
6.629% (SOFR + 1.314%)
due 01/25/30 §

    20,631       20,633  

Flagstar Mortgage Trust

   

4.000% due 09/25/48 § ~

    178,503       170,070  

6.000% (SOFR + 0.964%)

due 03/25/50 § ~

    379,094       352,027  

Freddie Mac

   

6.615% (SOFR + 1.300%)

due 02/25/42 § ~

    3,456,856       3,449,761  

8.265% (SOFR + 2.950%)

due 06/25/42 § ~

    1,039,803       1,067,063  

Freddie Mac STACR Trust

   

6.965% (SOFR + 1.650%)

due 01/25/34 § ~

    617,030       616,798  

7.000% due 09/15/30

    76,682       77,611  

7.115% (SOFR + 1.800%)

due 11/25/41 § ~

    1,160,000       1,134,703  

7.279% (SOFR + 1.964%)

due 02/25/50 § ~

    989,084       991,177  

Freddie Mac Structured Agency Credit Risk Debt Notes
3.867% due 05/25/47 § ~

    157,477       147,877  

Galton Funding Mortgage Trust

   

2.832% due 01/25/60 § ~

    1,085,000       789,284  

3.339% due 10/25/59 § ~

    680,000       621,166  

3.500% due 11/25/57 § ~

    185,452       162,286  

4.000% due 02/25/59 § ~

    89,130       81,670  

4.500% due 02/25/59 § ~

    121,946       114,418  

GS Mortgage-Backed Securities Trust

   

2.500% due 06/25/52 § ~

    3,087,162       2,589,310  

3.928% due 07/25/44 § ~

    15,567       15,489  

Imperial Fund Mortgage Trust

   

1.516% due 09/25/56 § ~

    881,702       666,859  

4.767% due 06/25/67 § ~

    1,416,332       1,345,764  

JP Morgan Mortgage Trust

   

3.000% due 10/25/50 § ~

    416,127       345,301  

3.500% due 08/25/50 § ~

    275,185       236,067  

MFA Trust

   

0.852% due 01/25/56 § ~

    441,844       395,820  

7.177% due 10/25/58 § ~

    1,715,000       1,727,375  

New Residential Mortgage Loan Trust 2.500% due 06/25/51 § ~

    1,050,630       894,545  

2.500% due 09/25/51 § ~

    2,794,470       2,334,982  

NLT Trust
1.520% due 08/25/56 § ~

    761,092       608,395  

OBX Trust

   

3.000% due 01/25/60 § ~

    496,854       416,486  

3.000% due 05/25/60 § ~

    1,005,942       826,536  

3.500% due 12/25/49 § ~

    152,542       131,235  

3.500% due 02/25/60 § ~

    560,503       483,568  

5.542% (SOFR + 1.314%)

due 06/25/59 § ~

    109,526       104,260  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

76

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

6.184% (SOFR + 0.864%)

due 02/25/60 § ~

    $306,331       $276,121  

6.334% (SOFR + 1.014%)

due 10/25/59 § ~

    91,341       89,161  

6.384% (SOFR + 1.064%)

due 02/25/60 § ~

    500,912       455,163  

Oceanview Mortgage Trust
2.500% due 12/25/51 § ~

    1,450,370       1,220,163  

PSMC Trust
2.500% due 05/25/51 § ~

    1,157,553       992,913  

Sequoia Mortgage Trust

   

4.000% due 06/25/48 § ~

    230,288       208,348  

4.000% due 08/25/48 § ~

    57,710       55,895  

4.500% due 08/25/48 § ~

    14,246       13,855  

SG Residential Mortgage Trust

   

1.381% due 05/25/65 § ~

    344,457       300,452  

3.166% due 03/27/62 § ~

    1,901,429       1,646,289  

Starwood Mortgage Residential Trust

   

0.943% due 05/25/65 § ~

    783,744       692,295  

1.162% due 08/25/56 § ~

    2,112,616       1,741,913  

2.408% due 02/25/50 § ~

    621,384       576,160  

2.916% due 09/27/49 § ~

    665,197       630,392  

Towd Point Mortgage Trust

   

3.250% due 07/25/58 § ~

    652,489       627,596  

3.750% due 03/25/58 § ~

    776,330       725,949  

3.750% due 05/25/58 § ~

    1,408,982       1,335,890  

3.750% due 09/25/62 ~

    2,668,335       2,413,247  

TRK Trust
1.409% due 07/25/56 § ~

    391,153       330,632  

UWM Mortgage Trust
2.500% due 09/25/51 § ~

    518,853       437,855  

Verus Securitization Trust

   

0.918% due 02/25/64 § ~

    651,814       556,031  

1.031% due 02/25/66 § ~

    603,254       505,565  

1.046% due 06/25/66 § ~

    4,299,960       3,585,096  

1.052% due 01/25/66 § ~

    461,555       385,463  

1.155% due 01/25/66 § ~

    274,819       228,618  

1.373% due 09/25/66 § ~

    727,602       575,730  

1.829% due 10/25/66 § ~

    2,764,025       2,315,765  

1.977% due 03/25/60 § ~

    34,485       33,811  

2.226% due 05/25/60 § ~

    301,102       294,405  

3.288% due 01/25/67 § ~

    3,011,717       2,540,315  

3.913% due 07/25/59 § ~

    277,438       268,259  

4.117% due 07/25/59 § ~

    370,156       357,919  

6.438% due 03/25/68 § ~

    1,680,804       1,667,121  

6.939% due 09/25/68 § ~

    1,360,000       1,359,979  

Vista Point Securitization Trust
2.496% due 04/25/65 § ~

    201,801       181,531  

Wells Fargo Mortgage-Backed Securities Trust

   

2.500% due 12/25/50 § ~

    2,142,804       1,835,167  

2.500% due 09/25/51 § ~

    1,631,412       1,377,962  
   

 

 

 
      87,590,495  
   

 

 

 

Fannie Mae - 3.0%

 

due 10/01/53 #

    8,920,000       8,627,011  

2.000% due 10/01/50

    652,783       501,078  

2.500% due 11/01/51 - 01/01/52

    3,306,893       2,643,395  

3.000% due 09/01/28 - 06/01/52

    8,963,999       7,718,975  

3.500% due 01/01/44 - 01/01/52

    1,465,617       1,282,989  

3.963% (RFUCC + 1.502%) due 02/01/33 §

    14,818       14,542  

4.000% due 03/01/41 - 09/01/52

    5,761,640       5,140,811  

4.230% (RFUCC + 1.605%) due 04/01/33 §

    16,672       16,355  

4.399% (UST + 2.215%) due 02/01/33 §

    33,896       33,100  

4.500% due 05/01/41 - 08/01/52

    12,380,270       11,443,024  

5.000% due 07/01/24 - 10/01/52

    3,472,201       3,317,415  

5.097% (UST + 2.258%) due 06/01/35 §

    63,105       61,996  
   

Principal

Amount

   

Value

 

5.500% due 01/01/36 - 02/01/49

    $2,461,177       $2,457,042  

5.835% (UST + 2.268%) due 06/01/33 §

    187,444       190,609  

6.000% due 03/01/37 - 08/01/53

    14,397,394       14,335,682  

6.500% due 05/01/33

    214,450       217,272  

6.594% (RFUCC + 1.546%)

due 01/01/35 §

    1,983       2,010  

7.000% due 06/01/33

    119,351       120,609  
   

 

 

 
      58,123,915  
   

 

 

 

Freddie Mac - 0.9%

 

1.500% due 02/01/36

    2,434,682       2,043,849  

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

    4,563,176       3,657,194  

3.000% due 06/01/52

    892,247       739,060  

3.500% due 02/01/52

    2,584,177       2,235,405  

4.000% due 12/01/49 - 09/01/52

    1,170,649       1,046,536  

4.076% (UST + 1.951%)

due 02/01/35 §

    52,577       51,209  

4.269% (UST + 2.179%)

due 09/01/35 §

    84,719       84,802  

4.500% due 09/01/37 - 05/01/50

    3,047,435       2,918,509  

4.883% (UST + 2.250%)

due 08/01/35 §

    137,905       139,634  

5.000% due 12/01/41 - 03/01/50

    1,951,939       1,876,535  

5.500% due 07/01/38 - 06/01/41

    244,557       244,159  

6.000% due 02/01/53

    1,334,987       1,331,123  

7.000% due 03/01/39

    152,691       157,977  

7.500% due 06/01/38

    130,956       134,027  
   

 

 

 
      16,660,019  
   

 

 

 

Government National Mortgage Association - 1.4%

 

due 10/20/53 #

    7,990,000       7,737,734  

2.625% (UST + 1.500%)

due 09/20/34 §

    253,152       246,085  

3.000% due 09/20/47

    2,320,248       1,993,974  

3.500% due 07/20/52

    6,781,883       5,945,826  

3.625% (UST + 1.500%)

due 01/20/35 §

    403,480       395,805  

4.000% due 10/20/50 - 10/20/52

    2,912,374       2,632,152  

4.500% due 08/20/47 - 10/20/52

    7,199,774       6,659,499  

5.000% due 12/20/34 - 05/20/48

    1,258,979       1,219,971  

5.500% due 09/15/45 - 02/20/49

    1,123,298       1,116,122  

6.000% due 07/15/36

    155,754       159,680  
   

 

 

 
      28,106,848  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $289,197,747)

      268,744,552  
   

 

 

 

ASSET-BACKED SECURITIES - 14.9%

 

Auto Floor Plan Other - 0.2%

 

Ford Credit Floorplan Master Owner Trust A

   

5.750% due 05/15/28 ~

    1,485,000       1,454,921  

6.620% due 05/15/28 ~

    1,765,000       1,728,541  
      3,183,462  

Automobile Other - 4.7%

 

AmeriCredit Automobile Receivables Trust

   

0.890% due 10/19/26

    1,665,000       1,558,058  

0.970% due 02/18/26

    118,884       118,503  

1.060% due 08/18/26

    980,000       932,931  

1.210% due 12/18/26

    1,030,000       944,631  

1.290% due 06/18/27

    2,095,000       1,893,649  

1.590% due 10/20/25

    770,993       760,886  

1.800% due 12/18/25

    1,175,000       1,137,888  

2.770% due 04/19/27

    4,310,000       4,095,411  

4.810% due 04/18/28

    4,195,000       4,099,234  

5.800% due 12/18/28

    1,150,000       1,136,026  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

77

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Avis Budget Rental Car Funding AESOP LLC
4.950% due 03/20/25 ~

    $745,000       $741,062  

CarMax Auto Owner Trust

   

1.090% due 03/16/26

    2,730,000       2,617,761  

5.470% due 02/15/29

    555,000       548,438  

5.570% due 11/15/28

    2,495,000       2,433,556  

5.610% due 02/15/29

    1,695,000       1,669,592  

6.440% due 12/16/30

    1,160,000       1,144,618  

6.550% due 10/15/29

    1,625,000       1,588,153  

Exeter Automobile Receivables Trust

   

2.560% due 06/15/28

    405,000       391,422  

3.850% due 07/17/28

    2,130,000       2,069,615  

5.980% due 12/15/28

    945,000       927,373  

6.510% due 12/15/27

    2,940,000       2,937,587  

6.690% due 06/15/29

    245,000       243,799  

Ford Credit Auto Lease Trust

   

4.180% due 10/15/25

    3,385,000       3,302,660  

5.540% due 12/15/26

    1,060,000       1,036,102  

6.200% due 02/15/27

    755,000       755,099  

6.430% due 04/15/27

    1,425,000       1,423,670  

Ford Credit Auto Owner Trust

   

1.740% due 04/15/33 ~

    1,470,000       1,335,523  

2.290% due 08/15/31 ~

    2,390,000       2,264,331  

5.070% due 01/15/29

    3,820,000       3,724,022  

GM Financial Automobile Leasing Trust

   

5.130% due 08/20/26

    2,425,000       2,379,988  

5.760% due 01/20/27

    2,920,000       2,875,556  

GM Financial Consumer Automobile Receivables Trust

   

1.050% due 05/18/26

    1,005,000       959,868  

5.030% due 09/18/28

    520,000       508,498  

5.210% due 12/18/28

    1,090,000       1,070,877  

GMF Floorplan Owner Revolving Trust
5.730% due 06/15/28 ~

    5,330,000       5,289,261  

Hyundai Auto Receivables Trust
1.600% due 12/15/26

    1,360,000       1,310,462  

Santander Bank Auto Credit-Linked Notes

   

5.916% due 08/16/32 ~

    448,515       446,011  

6.451% due 12/15/32 ~

    1,681,351       1,677,044  

6.493% due 06/15/33 ~

    1,800,204       1,798,966  

6.736% due 06/15/33 ~

    960,665       958,750  

Santander Bank NA - SBCLN
1.833% due 12/15/31 ~

    154,974       151,083  

Santander Consumer Auto Receivables Trust
1.290% due 04/15/26 ~

    1,810,000       1,785,281  

Santander Drive Auto Receivables Trust

   

3.760% due 07/16/29

    3,340,000       3,187,957  

4.740% due 10/16/28

    1,330,000       1,293,341  

5.090% due 05/15/30

    905,000       884,117  

5.240% due 05/15/28

    3,500,000       3,442,511  

Santander Retail Auto Lease Trust

   

0.830% due 03/20/26 ~

    4,240,000       4,114,889  

1.110% due 03/20/26 ~

    1,290,000       1,243,026  

3.850% due 03/22/27 ~

    990,000       959,275  

SFS Auto Receivables Securitization Trust
5.710% due 01/22/30 ~

    1,895,000       1,864,401  

World Omni Auto Receivables Trust

   

1.640% due 08/17/26

    825,000       806,118  

2.550% due 09/15/28

    1,105,000       1,016,152  

World Omni Select Auto Trust

   

0.840% due 06/15/26

    730,424       722,465  

1.250% due 10/15/26

    1,375,000       1,332,164  

1.440% due 11/15/27

    540,000       489,570  

5.870% due 08/15/28

    1,200,000       1,196,092  
   

 

 

 
      91,595,323  
   

 

 

 

Automobile Sequential - 1.1%

   

ARI Fleet Lease Trust
5.410% due 02/17/32 ~

    4,110,000       4,075,722  
   

Principal

Amount

   

Value

 

Avis Budget Rental Car Funding AESOP LLC

   

2.330% due 08/20/26 ~

    $930,000       $872,217  

3.350% due 09/22/25 ~

    1,355,000       1,325,538  

Enterprise Fleet Financing LLC
5.560% due 04/22/30 ~

    5,770,000       5,728,814  

Exeter Automobile Receivables Trust
5.700% due 08/17/26

    305,000       304,328  

Ford Credit Auto Owner Trust
5.220% due 03/15/30

    2,225,000       2,170,735  

GM Financial Consumer Automobile Receivables Trust
1.490% due 12/16/24

    331       331  

Hyundai Auto Receivables Trust
1.410% due 11/15/24

    33,232       33,170  

Navistar Financial Dealer Note Master Owner Trust II
6.180% due 08/25/28 ~

    1,540,000       1,537,325  

Nissan Auto Receivables Owner Trust
1.380% due 12/16/24

    36,813       36,702  

Santander Bank Auto Credit-Linked Notes
6.024% due 12/15/32 ~

    400,736       397,997  

Santander Drive Auto Receivables Trust
6.180% due 02/16/27

    4,480,000       4,484,853  

Volkswagen Auto Loan Enhanced Trust
1.260% due 08/20/26

    1,045,000       1,035,727  
   

 

 

 
      22,003,459  
   

 

 

 

Other Asset-Backed Securities - 8.9%

   

Amur Equipment Finance Receivables X LLC
1.640% due 10/20/27 ~

    492,801       474,008  

Amur Equipment Finance Receivables XII LLC
6.090% due 12/20/29 ~

    3,620,000       3,624,765  

Ballyrock CLO 15 Ltd. (Cayman)
6.630% (SOFR + 1.322%)
due 04/15/34 § ~

    1,215,000       1,208,972  

Blackbird Capital Aircraft Lease Securitization Ltd.
2.487% due 12/16/41 § ~

    438,058       422,353  

BRE Grand Islander Timeshare Issuer LLC
3.280% due 09/26/33 ~

    250,010       235,076  

CBAM Ltd. (Cayman)
6.850% (SOFR + 1.542%)
due 02/12/30 § ~

    4,817,270       4,820,657  

Cedar Funding XIV CLO Ltd. (Cayman)
6.670% (SOFR + 1.362%)
due 07/15/33 § ~

    2,230,000       2,223,292  

CIFC Funding Ltd. (Cayman)

   

6.620% (SOFR + 1.312%)

due 07/15/33 § ~

    4,185,000       4,173,420  

6.657% (SOFR + 1.312%)

due 04/24/30 § ~

    3,611,125       3,610,687  

Dell Equipment Finance Trust
5.650% due 01/22/29 ~

    3,485,000       3,484,286  

DLLAA LLC
5.640% due 02/22/28 ~

    2,165,000       2,164,393  

Driven Brands Funding LLC
4.739% due 04/20/48 ~

    985,400       951,826  

Dryden 77 CLO Ltd. (Cayman)
6.761% (SOFR + 1.382%)
due 05/20/34 § ~

    4,680,000       4,648,542  

Dryden 86 CLO Ltd. (Cayman)
6.670% (SOFR + 1.362%)
due 07/17/34 § ~

    5,775,000       5,717,852  

Elara HGV Timeshare Issuer LLC

   

2.610% due 01/25/34 ~

    1,272,292       1,196,734  

2.690% due 03/25/30 ~

    180,876       173,927  

due 02/25/38 # ~

    1,545,000       1,546,394  

due 02/25/38 # ~

    1,330,000       1,331,331  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

78

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Finance of America HECM Buyout
4.000% due 08/01/32 § ~

    $1,678,246       $1,629,308  

FirstKey Homes Trust

   

1.339% due 08/17/37 ~

    2,937,526       2,689,648  

1.567% due 10/19/37 ~

    843,000       766,011  

1.968% due 10/19/37 ~

    5,395,000       4,903,653  

2.241% due 08/17/37 ~

    3,355,000       3,072,540  

GoldenTree Loan Management U.S. CLO 1 Ltd. (Cayman)
6.718% (SOFR + 1.392%)
due 10/20/34 § ~

    4,870,000       4,844,727  

Hardee’s Funding LLC
4.959% due 06/20/48 ~

    3,785,750       3,579,206  

Hilton Grand Vacations Trust

   

2.660% due 12/26/28 ~

    132,301       131,797  

2.740% due 02/25/39 ~

    581,089       544,740  

2.960% due 12/26/28 ~

    36,877       36,702  

3.610% due 06/20/34 ~

    756,532       715,085  

6.110% due 01/25/38 ~

    3,343,540       3,334,369  

6.940% due 01/25/38 ~

    625,097       623,913  

HPEFS Equipment Trust

   

1.290% due 03/20/29 ~

    1,710,000       1,637,593  

5.910% due 04/20/28 ~

    1,495,000       1,496,421  

6.130% due 08/20/29 ~

    3,555,000       3,536,788  

6.480% due 01/21/31 ~

    635,000       636,208  

6.970% due 07/21/31 ~

    630,000       631,844  

KKR CLO 29 Ltd. (Cayman)
6.770% (SOFR + 1.462%)
due 01/15/32 § ~

    2,500,000       2,501,798  

Madison Park Funding XXIII Ltd. (Cayman)
6.589% (SOFR + 1.232%)
due 07/27/31 § ~

    2,550,715       2,540,929  

7.169% (SOFR + 1.812%)

due 07/27/31 § ~

    3,290,000       3,278,825  

Madison Park Funding XXXIII Ltd. (Cayman)
6.598% (SOFR + 1.290%)
due 10/15/32 § ~

    3,565,000       3,540,968  

Madison Park Funding XXXV Ltd. (Cayman)

   

6.578% (SOFR + 1.252%)

due 04/20/32 § ~

    5,565,000       5,548,600  

Magnetite XXV Ltd. (Cayman)

   

6.813% (SOFR + 1.462%)

due 01/25/32 § ~

    1,640,000       1,639,176  

7.163% (SOFR + 1.812%)

due 01/25/32 § ~

    1,235,000       1,225,574  

MMAF Equipment Finance LLC
5.610% due 07/10/28 ~

    4,025,000       4,006,544  

MVW LLC

   

2.230% due 05/20/39 ~

    287,403       256,983  

2.730% due 10/20/37 ~

    247,307       230,475  

MVW Owner Trust

   

2.420% due 12/20/34 ~

    86,209       84,186  

2.750% due 12/20/34 ~

    29,358       28,660  

2.890% due 11/20/36 ~

    659,798       632,196  

2.990% due 12/20/34 ~

    79,219       77,111  

4.930% due 10/20/40 ~

    2,995,412       2,911,954  

Navient Private Education Refi Loan Trust

   

1.170% due 09/16/69 ~

    443,135       392,508  

1.220% due 07/15/69 ~

    367,442       327,306  

1.310% due 01/15/69 ~

    205,854       186,449  

1.690% due 05/15/69 ~

    662,851       594,681  

2.150% due 11/15/68 ~

    3,375,055       3,079,892  

2.400% due 10/15/68 ~

    514,432       472,551  

2.460% due 11/15/68 ~

    910,494       841,737  

2.640% due 05/15/68 ~

    957,440       899,129  

3.420% due 01/15/43 ~

    1,196,230       1,150,879  

Nelnet Student Loan Trust
1.320% due 04/20/62 ~

    858,096       768,675  
   

Principal

Amount

   

Value

 

Neuberger Berman Loan Advisers CLO 26 Ltd. (Cayman)
6.972% (SOFR + 1.662%)
due 10/18/30 § ~

    $2,155,000       $2,127,295  

Neuberger Berman Loan Advisers CLO 32 Ltd. (Cayman)
6.572% (SOFR + 1.252%)
due 01/20/32 § ~

    3,755,000       3,747,749  

Neuberger Berman Loan Advisers CLO 40 Ltd. (Cayman)
6.630% (SOFR + 1.322%)
due 04/16/33 § ~

    1,085,000       1,080,526  

OCP CLO Ltd. (Cayman)

   

6.708% (SOFR + 1.382%)

due 07/20/29 § ~

    3,430,373       3,425,204  

7.120% (SOFR + 1.812%)

due 07/15/30 § ~

    2,710,000       2,681,835  

Octane Receivables Trust

   

1.210% due 09/20/28 ~

    765,587       740,869  

4.900% due 05/22/28 ~

    1,290,000       1,254,744  

5.870% due 05/21/29 ~

    1,023,808       1,020,274  

5.880% due 06/20/31 ~

    5,030,000       5,013,757  

5.960% due 07/20/29 ~

    940,000       928,666  

6.480% due 07/20/29 ~

    685,000       685,912  

6.740% due 08/20/29 ~

    225,000       225,508  

7.580% due 09/20/29 ~

    195,000       195,649  

Palmer Square CLO Ltd. (Cayman)
6.706% (SOFR + 1.342%)
due 11/15/31 § ~

    4,505,000       4,481,307  

Progress Residential Trust

   

1.495% due 10/17/27 ~

    5,622,000       5,112,713  

2.078% due 06/17/37 ~

    459,432       429,897  

2.937% due 10/17/36 ~

    920,000       887,166  

4.451% due 07/20/39 ~

    1,627,634       1,538,210  

Sierra Timeshare Receivables Funding LLC

   

1.800% due 09/20/38 ~

    1,205,285       1,121,780  

3.200% due 01/20/36 ~

    2,316,476       2,273,283  

3.510% due 07/20/37 ~

    267,097       253,447  

SMB Private Education Loan Trust

   

1.290% due 07/15/53 ~

    1,170,486       1,042,058  

1.310% due 07/17/51 ~

    1,884,715       1,664,714  

1.600% due 09/15/54 ~

    3,505,558       3,109,253  

6.167% (SOFR + 0.834%)

due 01/15/37 § ~

    1,425,388       1,409,275  

6.947% (SOFR + 1.614%)

due 04/15/32 § ~

    378,394       378,919  

Symphony CLO XXIII Ltd. (Cayman)
6.590% (SOFR + 1.282%)
due 01/15/34 § ~

    3,645,000       3,642,780  

Symphony CLO XXVI Ltd. (Cayman)
6.668% (SOFR + 1.342%)
due 04/20/33 § ~

    1,110,000       1,105,230  

Symphony Static CLO I Ltd. (Cayman)
7.063% (SOFR + 1.712%)
due 10/25/29 § ~

    2,825,000       2,766,500  

TCI-Flatiron CLO Ltd. (Cayman)
7.031% (SOFR + 1.662%)
due 01/29/32 § ~

    2,175,000       2,143,020  

Verdant Receivables LLC
6.240% due 01/13/31 ~

    2,490,000       2,479,270  
   

 

 

 
      173,003,664  
   

 

 

 

Total Asset-Backed Securities
(Cost $294,072,660)

 

    289,785,908  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

79

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

U.S. GOVERNMENT AGENCY ISSUES - 0.2%

 

 

Federal Home Loan Banks
5.000% due 02/28/25

    $4,190,000       $4,169,627  
   

 

 

 

Total U.S. Government Agency Issues
(Cost $4,186,019)

      4,169,627  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 19.7%

   

U.S. Treasury Notes - 19.7%

   

due 09/30/25 #

    97,510,000       97,422,393  

2.750% due 05/15/25

    57,850,000       55,660,287  

3.875% due 04/30/25 ‡

    119,250,000       116,834,721  

4.000% due 12/15/25

    4,265,000       4,176,868  

4.250% due 05/31/25

    56,385,000       55,552,441  

4.500% due 11/15/25

    28,750,000       28,450,146  

5.000% due 08/31/25

    25,045,000       24,996,084  
   

 

 

 
      383,092,940  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $388,690,438)

 

    383,092,940  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 0.7%

 

 

Korea Electric Power Corp. (South Korea)
5.375% due 07/31/26 ~

    5,300,000       5,273,113  

Korea Housing Finance Corp. (South Korea)
4.625% due 02/24/28 ~

    3,300,000       3,187,998  

Korea Hydro & Nuclear Power Co. Ltd. (South Korea)

   

1.250% due 04/27/26 ~

    1,790,000       1,602,523  

4.250% due 07/27/27 ~

    1,480,000       1,420,327  

5.000% due 07/18/28 ~

    3,400,000       3,333,306  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $15,222,743)

 

    14,817,267  
   

 

 

 

MUNICIPAL BONDS - 0.1%

   

Golden State Tobacco Securitization Corp.
1.711% due 06/01/24

    1,505,000       1,463,159  
   

 

 

 

Total Municipal Bonds
(Cost $1,505,000)

      1,463,159  
   

 

 

 

SHORT-TERM INVESTMENTS - 6.7%

   

Commercial Paper - 0.5%

   

Jabil, Inc.
6.194% due 10/20/23 ~

    5,000,000       4,981,771  

Syngenta Wilmington, Inc. (Switzerland)
6.419% due 10/23/23 ~

    5,085,000       5,064,535  
   

 

 

 
      10,046,306  
   

 

 

 

Repurchase Agreements - 6.2%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23 (Dated 09/29/23, repurchase price of $119,906,621; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $122,254,366)

    119,857,180       119,857,180  
   

 

 

 
   

        

    

 

Value

 

Total Short-Term Investments
(Cost $129,906,559)

    $129,903,486  
   

 

 

 

TOTAL INVESTMENTS - 105.3%
(Cost $2,105,630,808)

    2,048,750,053  
   

 

 

 

DERIVATIVES - 0.1%

    805,182  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (5.4%)

    (104,538,967
   

 

 

 

NET ASSETS - 100.0%

    $1,945,016,268  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

80

PACIFIC SELECT FUND

SHORT DURATION BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CBOT 2 Year U.S. Treasury Notes

     12/23          2,384            $484,352,064        $483,262,876        ($1,089,188
                

 

 

 

Short Futures Outstanding

                

CBOT 5 Year U.S. Treasury Notes

     12/23          306            32,469,425        32,239,969        229,456  

CBOT 10 Year U.S. Treasury Notes

     12/23          322            35,394,387        34,796,125        598,262  

CBOT Ultra 10 Year U.S. Treasury Notes

     12/23          316            36,025,562        35,253,750        771,812  

CME Ultra Long Term U.S. Treasury Bond

     12/23          68            8,365,590        8,070,750        294,840  
                

 

 

 
                   1,894,370  
                

 

 

 

Total Futures Contracts

                   $805,182  
                

 

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $956,773,114        $-        $956,773,114        $-  
 

Mortgage-Backed Securities

     268,744,552        -        268,744,552        -  
 

Asset-Backed Securities

     289,785,908        -        289,785,908        -  
 

U.S. Government Agency Issues

     4,169,627        -        4,169,627        -  
 

U.S. Treasury Obligations

     383,092,940        -        383,092,940        -  
 

Foreign Government Bonds & Notes

     14,817,267        -        14,817,267        -  
 

Municipal Bonds

     1,463,159        -        1,463,159        -  
 

Short-Term Investments

     129,903,486        -        129,903,486        -  
 

Derivatives:

           
 

Interest Rate Contracts

           
 

Futures

     1,894,370        1,894,370        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     2,050,644,423        1,894,370        2,048,750,053        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Interest Rate Contracts

           
 

Futures

     (1,089,188      (1,089,188      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (1,089,188      (1,089,188      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $2,049,555,235        $805,182        $2,048,750,053        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

81

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 31.8%

 

Azerbaijan - 0.3%

 

SOCAR Turkey Enerji AS via Steas Funding
1 DAC
7.230% due 03/17/26 ~

    $720,000       $700,725  
   

 

 

 

Brazil - 3.3%

 

Acu Petroleo Luxembourg SARL
7.500% due 07/13/35 ~

    1,644,212       1,504,755  

Aegea Finance SARL
due 01/20/31 # ~

    625,000       630,603  

Globo Comunicacao e Participacoes SA

 

4.875% due 01/22/30 ~

    1,275,000       1,060,216  

5.500% due 01/14/32 ~

    700,000       575,563  

Minerva Luxembourg SA
8.875% due 09/13/33 ~

    2,200,000       2,186,293  

Samarco Mineracao SA
5.750% due 10/24/23 * Y ~

    1,150,000       905,625  

Usiminas International SARL
5.875% due 07/18/26 ~

    400,000       384,666  
   

 

 

 
      7,247,721  
   

 

 

 

China - 0.4%

 

Country Garden Holdings Co. Ltd.

 

4.200% due 02/06/26 ~

    1,300,000       91,650  

6.150% due 09/17/25 ~

    200,000       13,828  

7.250% due 04/08/26 ~

    1,775,000       117,594  

Powerlong Real Estate Holdings Ltd.

 

4.900% due 05/13/26 ~

    400,000       37,124  

6.250% due 08/10/24 ~

    300,000       28,500  

Prosus NV
4.193% due 01/19/32 ~

    725,000       578,409  
   

 

 

 
      867,105  
   

 

 

 

Colombia - 0.3%

 

Ecopetrol SA
8.875% due 01/13/33

    700,000       684,296  
   

 

 

 

Czech Republic - 1.3%

 

Energo-Pro AS
8.500% due 02/04/27 ~

    2,000,000       1,961,080  

Raiffeisenbank AS
7.125% due 01/19/26 ~

    EUR 900,000       957,716  
   

 

 

 
      2,918,796  
   

 

 

 

Ghana - 1.0%

 

Kosmos Energy Ltd.

 

7.125% due 04/04/26 ~

    $900,000       848,255  

7.500% due 03/01/28 ~

    1,125,000       1,011,178  

7.750% due 05/01/27 ~

    500,000       462,622  
   

 

 

 
      2,322,055  
   

 

 

 

Hong Kong - 0.9%

 

Melco Resorts Finance Ltd.

 

5.250% due 04/26/26 ~

    350,000       325,047  

5.625% due 07/17/27 ~

    675,000       604,325  

5.750% due 07/21/28 ~

    1,100,000       964,920  
   

 

 

 
      1,894,292  
   

 

 

 
   

Principal
Amount

   

Value

 

Hungary - 0.2%

 

OTP Bank Nyrt
7.350% due 03/04/26 ~

    EUR 450,000       $484,586  
   

 

 

 

Israel - 5.3%

 

Bank Leumi Le-Israel BM

 

5.125% due 07/27/27 ~

    $275,000       267,734  

7.129% due 07/18/33 ~

    1,650,000       1,623,207  

Energian Israel Finance Ltd.

 

4.875% due 03/30/26 ~

    525,000       489,038  

5.375% due 03/30/28 ~

    1,275,000       1,147,404  

8.500% due 09/30/33 ~

    2,450,000       2,448,163  

Israel Discount Bank Ltd.
5.375% due 01/26/28 ~

    2,275,000       2,216,942  

Leviathan Bond Ltd.

 

6.125% due 06/30/25 ~

    1,650,000       1,611,192  

6.500% due 06/30/27 ~

    2,000,000       1,902,500  
   

 

 

 
      11,706,180  
   

 

 

 

Kazakhstan - 2.1%

 

KazMunayGas National Co. JSC

 

5.375% due 04/24/30 ~

    1,525,000       1,390,025  

5.750% due 04/19/47 ~

    425,000       331,398  

6.375% due 10/24/48 ~

    700,000       572,034  

Tengizchevroil Finance Co. International Ltd.
4.000% due 08/15/26 ~

    2,700,000       2,434,873  
   

 

 

 
      4,728,330  
   

 

 

 

Kuwait - 0.1%

 

MEGlobal BV
4.250% due 11/03/26 ~

    200,000       190,270  
   

 

 

 

Macau - 0.6%

 

MGM China Holdings Ltd.
5.250% due 06/18/25 ~

    775,000       740,939  

Studio City Finance Ltd.
6.500% due 01/15/28 ~

    600,000       509,301  
   

 

 

 
      1,250,240  
   

 

 

 

Mexico - 4.6%

 

Banco Mercantil del Norte SA
5.875% due 01/24/27 ~

    2,200,000       1,881,009  

BBVA Bancomer SA
8.450% due 06/29/38 ~

    2,550,000       2,515,216  

Cemex SAB de CV
9.125% due 03/14/28 ~

    2,050,000       2,136,623  

Comision Federal de Electricidad
5.000% due 09/29/36 ~

    1,129,600       960,160  

Petroleos Mexicanos

 

6.490% due 01/23/27

    1,400,000       1,243,362  

6.750% due 09/21/47

    500,000       296,773  

7.690% due 01/23/50

    1,675,000       1,077,546  
   

 

 

 
      10,110,689  
   

 

 

 

Multi-National - 1.1%

 

European Bank for Reconstruction & Development
6.300% due 10/26/27

    INR 126,000,000       1,463,676  

Inter-American Development Bank

 

5.000% due 02/12/24

    32,850,000       391,841  

5.700% due 11/12/24

    54,000,000       639,375  
   

 

 

 
      2,494,892  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

82

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Nigeria - 0.5%

 

BOI Finance BV
7.500% due 02/16/27 ~

    EUR 1,250,000       $1,123,030  
   

 

 

 

Romania - 0.3%

 

Banca Comerciala Romana SA
7.625% due 05/19/27 ~

    600,000       654,984  
   

 

 

 

Saudi Arabia - 2.5%

 

Greensaif Pipelines Bidco SARL
6.129% due 02/23/38 ~

    $2,450,000       2,394,799  

Saudi Arabian Oil Co.
3.500% due 04/16/29 ~

    2,500,000       2,256,993  

TMS Issuer SARL
5.780% due 08/23/32 ~

    1,000,000       1,003,700  
   

 

 

 
      5,655,492  
   

 

 

 

South Africa - 1.6%

 

Sasol Financing USA LLC
8.750% due 05/03/29 ~

    1,625,000       1,564,015  

Transnet SOC Ltd.
8.250% due 02/06/28 ~

    2,100,000       2,015,727  
   

 

 

 
      3,579,742  
   

 

 

 

Tanzania - 0.8%

 

HTA Group Ltd.
7.000% due 12/18/25 ~

    1,737,000       1,677,638  
   

 

 

 

Ukraine - 0.1%

 

NPC Ukrenergo

 

6.875% due 11/09/28 Y ~

    725,000       185,152  

6.875% due 11/09/28 * Y ~

    450,000       124,547  
   

 

 

 
      309,699  
   

 

 

 

United Arab Emirates - 2.0%

 

Galaxy Pipeline Assets Bidco Ltd.
2.160% due 03/31/34 ~

    4,701,630       3,927,884  

MAF Global Securities Ltd.
7.875% due 06/30/27 ~

    525,000       528,809  
   

 

 

 
      4,456,693  
   

 

 

 

United Kingdom - 2.4%

 

HSBC Holdings PLC

 

5.210% due 08/11/28

    675,000       650,148  

6.254% due 03/09/34

    2,225,000       2,176,310  

Standard Chartered PLC
6.187% due 07/06/27 ~

    2,425,000       2,416,396  
   

 

 

 
      5,242,854  
   

 

 

 

Venezuela - 0.1%

 

Petroleos de Venezuela SA

 

5.375% due 04/12/27 * Y ~

    1,432,000       82,340  

9.750% due 05/17/35 * Y ~

    2,733,498       157,176  

12.750% * Y ~

    1,152,000       66,240  
   

 

 

 
      305,756  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $75,174,694)

      70,606,065  
   

 

 

 
   

Principal
Amount

   

Value

 

FOREIGN GOVERNMENT BONDS & NOTES - 51.3%

 

Argentina - 1.1%

 

Argentina Government International Bonds
3.625% due 07/09/25 §

    $5,325,000       $1,326,753  

Provincia de Buenos Aires/Government Bonds
6.375% due 09/09/37 § ~

    3,600,000       1,184,921  
   

 

 

 
      2,511,674  
   

 

 

 

Bahamas - 1.0%

 

Bahamas Government

 

6.000% due 11/21/28 ~

    2,450,000       2,040,201  

9.000% due 06/16/29 ~

    250,000       225,125  
   

 

 

 
      2,265,326  
   

 

 

 

Brazil - 5.2%

 

Brazil Notas do Tesouro Nacional Class F
10.000% due 01/01/27

    BRL 58,900,000       11,458,525  
   

 

 

 

Chile - 1.0%

 

Chile Government (Chile)
3.240% due 02/06/28

    $2,500,000       2,297,244  
   

 

 

 

Colombia - 4.1%

 

Colombia Government

 

4.500% due 03/15/29

    1,700,000       1,481,238  

5.200% due 05/15/49

    1,250,000       823,569  

7.500% due 02/02/34

    1,075,000       1,018,262  

Colombia TES

 

13.250% due 02/09/33

    COP 4,200,000,000       1,112,735  

6.000% due 04/28/28

    23,200,000,000       4,694,034  
   

 

 

 
      9,129,838  
   

 

 

 

Czech Republic - 2.5%

 

Czech Republic Government

 

2.750% due 07/23/29

    CZK 44,700,000       1,745,439  

5.750% due 03/29/29

    82,200,000       3,728,487  
   

 

 

 
      5,473,926  
   

 

 

 

Ecuador - 0.8%

 

Ecuador Government
3.500% due 07/31/35 § ~

    $4,975,000       1,865,085  
   

 

 

 

Egypt - 1.0%

 

Egypt Government

 

7.300% due 09/30/33 ~

    1,775,000       991,361  

7.903% due 02/21/48 ~

    1,075,000       553,894  

8.500% due 01/31/47 ~

    1,075,000       576,877  
   

 

 

 
      2,122,132  
   

 

 

 

El Salvador - 1.3%

 

El Salvador Government

 

7.625% due 09/21/34 ~

    500,000       349,687  

7.625% due 02/01/41 ~

    1,225,000       842,853  

7.650% due 06/15/35 ~

    980,000       696,356  

8.625% due 02/28/29 ~

    1,250,000       1,025,478  
   

 

 

 
      2,914,374  
   

 

 

 

Gabon - 0.6%

 

Gabon Government

   

6.625% due 02/06/31 ~

    1,650,000       1,231,312  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

83

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Ghana - 1.3%

 

Ghana Government

 

7.750% due 04/07/29 * Y ~

    $1,500,000       $667,958  

8.125% due 03/26/32 * Y ~

    850,000       376,673  

8.625% due 04/07/34 * Y ~

    4,300,000       1,914,145  
   

 

 

 
      2,958,776  
   

 

 

 

Guatemala - 0.4%

 

Guatemala Government
6.600% due 06/13/36 ~

    875,000       841,024  
   

 

 

 

Hungary - 0.7%

 

Magyar Export-Import Bank Zrt
6.125% due 12/04/27 ~

    1,500,000       1,478,289  
   

 

 

 

Indonesia - 2.6%

 

Indonesia Treasury

 

5.125% due 04/15/27

    IDR 4,300,000,000       267,454  

6.375% due 08/15/28

    47,400,000,000       3,050,346  

6.500% due 02/15/31

    14,100,000,000       895,859  

7.000% due 02/15/33

    22,100,000,000       1,442,055  
   

 

 

 
      5,655,714  
   

 

 

 

Iraq - 1.8%

 

Iraq Government

   

5.800% due 01/15/28 ~

    $4,373,438       4,055,742  
   

 

 

 

Ivory Coast - 1.8%

 

Ivory Coast Government

 

4.875% due 01/30/32 ~

    EUR 2,075,000       1,675,510  

5.875% due 10/17/31 ~

    586,000       513,079  

6.625% due 03/22/48 ~

    2,350,000       1,715,052  
   

 

 

 
      3,903,641  
   

 

 

 

Mexico - 7.2%

 

Mexican Bonos

 

7.500% due 06/03/27

    MXN 116,900,000       6,128,907  

7.750% due 11/23/34

    125,800,000       6,157,577  

Mexico Government

 

4.875% due 05/19/33

    $2,450,000       2,200,245  

6.350% due 02/09/35

    1,525,000       1,494,633  
   

 

 

 
      15,981,362  
   

 

 

 

Nigeria - 0.7%

 

Nigeria Government

 

7.625% due 11/28/47 ~

    400,000       267,604  

7.875% due 02/16/32 ~

    950,000       750,434  

8.250% due 09/28/51 ~

    825,000       573,519  
   

 

 

 
      1,591,557  
   

 

 

 

Peru - 2.8%

 

Peru Government

 

5.400% due 08/12/34

    PEN 18,400,000       4,150,937  

6.150% due 08/12/32

    8,200,000       2,016,491  
   

 

 

 
      6,167,428  
   

 

 

 

Poland - 1.0%

 

Republic of Poland Government
5.500% due 11/16/27

    $2,200,000       2,208,690  
   

 

 

 
   

Principal
Amount

   

Value

 

Qatar - 0.3%

 

Qatar Government
4.500% due 04/23/28 ~

    $675,000       $664,099  
   

 

 

 

Romania - 3.3%

 

Romanian Government

 

3.624% due 05/26/30 ~

    EUR 775,000       706,747  

4.850% due 07/25/29

    RON 6,700,000       1,306,505  

5.000% due 02/12/29

    7,900,000       1,557,231  

6.375% due 09/18/33 ~

    EUR 1,950,000       2,032,470  

6.625% due 09/27/29 ~

    1,625,000       1,769,553  
   

 

 

 
      7,372,506  
   

 

 

 

Saudi Arabia - 1.6%

 

Saudi Government

 

4.500% due 10/26/46 ~

    $3,425,000       2,708,983  

5.000% due 01/18/53 ~

    1,075,000       895,275  
   

 

 

 
      3,604,258  
   

 

 

 

Senegal - 1.6%

 

Senegal Government

 

4.750% due 03/13/28 ~

    EUR 1,475,000       1,331,843  

5.375% due 06/08/37 ~

    1,575,000       1,071,786  

6.750% due 03/13/48 ~

    $1,825,000       1,227,586  
   

 

 

 
      3,631,215  
   

 

 

 

South Africa - 2.5%

 

Republic of South Africa Government

 

8.000% due 01/31/30

    ZAR 118,200,000       5,451,855  

8.750% due 01/31/44

    1,000       37  

8.750% due 02/28/48

    2,000       73  
   

 

 

 
      5,451,965  
   

 

 

 

Tunisia - 1.1%

 

Tunisian Republic
6.375% due 07/15/26 ~

    EUR 3,775,000       2,414,843  
   

 

 

 

Ukraine - 1.5%

 

State Agency of Roads of Ukraine
6.250% due 06/24/30 Y ~

    $3,100,000       840,952  

Ukraine Government

 

6.876% due 05/21/31 * Y ~

    1,300,000       346,951  

7.750% due 09/01/26 * Y ~

    375,000       113,533  

7.750% due 09/01/29 * Y ~

    425,000       120,886  

7.750% due 08/01/41 * § Y ~

    4,275,000       1,976,085  
   

 

 

 
      3,398,407  
   

 

 

 

Venezuela - 0.3%

 

Venezuela Government

 

7.750% * Y ~

    913,000       63,910  

8.250% due 10/13/24 * Y ~

    1,784,900       169,586  

9.000% * Y ~

    816,000       71,400  

11.750% due 10/21/26 * Y ~

    2,249,400       230,563  

12.750% * Y ~

    1,624,000       166,460  
   

 

 

 
      701,919  
   

 

 

 

Zambia - 0.2%

 

Zambia Government
8.500% due 04/14/24 * Y ~

    950,000       523,965  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $118,799,327)

      113,874,836  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

84

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 13.5%

 

Repurchase Agreements - 13.5%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $30,017,053; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $30,604,826)

    30,004,676       30,004,676  
   

 

 

 

Total Short-Term Investments
(Cost $30,004,676)

      30,004,676  
   

 

 

 

TOTAL INVESTMENTS - 96.6%
(Cost $223,978,697)

      214,485,577  
   

 

 

 

DERIVATIVES - (0.3%)

      (739,061
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 3.7%

 

    8,176,820  
   

 

 

 

NET ASSETS - 100.0%

      $221,923,336  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $9,104,147 or 4.1% of the Fund’s net assets were in default.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

85

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CBOT 5 Year U.S. Treasury Notes

     12/23          162            $17,212,030        $17,068,219        ($143,811

CBOT 10 Year U.S. Treasury Notes

     12/23          231            25,421,210        24,962,437        (458,773
                

 

 

 

Total Futures Contracts

                   ($602,584
                

 

 

 

 

(c)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
         

Currency
Sold

        Settlement
Month
       Counterparty        Unrealized
Appreciation
     Unrealized
Depreciation
 
EUR      2,800,000        USD    2,996,040      10/23     CIT       $-        ($33,251
EUR      600,000        USD    632,359      10/23     CIT       2,328        -  
EUR      800,000        USD    858,376      10/23     JPM       -        (12,128
INR      329,800,000        USD    3,956,590      10/23     CIT       6,995        -  
USD      2,482,774        BRL    12,100,000      10/23     GSC       83,465        -  
USD      10,104,020        CNH    73,800,000      10/23     CIT       -        (13,882
USD      5,601,850        CZK    127,910,000      10/23     CIT       63,349        -  
USD      5,381,922        EUR    5,025,000      10/23     CIT       64,257        -  
USD      18,971,738        EUR    17,672,000      10/23     JPM       278,100        -  
USD      1,859,172        MXN    31,900,000      10/23     CIT       35,804        -  
USD      2,248,677        PEN    8,500,000      10/23     CIT       7,490        -  
USD      5,842,298        ZAR    110,850,000      10/23     CIT       -        (667
USD      5,378,454        ZAR    101,000,000      10/23     JPM       54,688        -  
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

        $596,476        ($59,928
                       

 

 

    

 

 

 

 

(d)

As of September 30, 2023, swap agreements outstanding 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
09/30/23 (2)
  Notional
Amount (3)
    Value     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

China Development Bank

  Q     1.000%       12/20/25     GSC   0.512%     $3,500,000       ($37,851     ($38,131     $280  

Industrial & Commercial Bank of China Ltd.

  Q     1.000%       12/20/25     GSC   0.520%     5,550,000       (60,794     (57,363     (3,431

Bank of China Ltd.

  Q     1.000%       12/20/25     GSC   0.523%     6,300,000       (67,251     (64,188     (3,063

China Construction Bank Corp.

  Q     1.000%       12/20/25     GSC   0.535%     5,550,000       (61,509     (57,363     (4,146
             

 

 

   

 

 

   

 

 

 
                ($227,405     ($217,045     ($10,360
             

 

 

   

 

 

   

 

 

 

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.NA.HY.S40

    Q       5.000%       06/20/28       ICE           $16,150,000       ($307,734     ($193,938     ($113,796

iTraxx Europe Crossover S39

    Q       5.000%       06/20/28       ICE           EUR 15,194,564       (830,018     12,957       (842,975

CDX.NA.HY.S41

    Q       5.000%       12/20/28       ICE           $12,950,000       (145,883     (110,075     (35,808

iTraxx Europe Crossover S40

    Q       5.000%       12/20/28       ICE           EUR 8,500,000       (283,718     (344,779     61,061  
           

 

 

   

 

 

   

 

 

 
              ($1,567,353     ($635,835     ($931,518
           

 

 

   

 

 

   

 

 

 

Credit Default Swaps on Credit Indices - Sell Protection (4)

 

Referenced Obligation   Payment
Frequency
    Fixed Deal
Receive
Rate
    Expiration
Date
    Exchange    

Notional
Amount (3)

    Value (5)     Upfront
Premiums
Paid
(Received)
    Unrealized
Appreciation
(Depreciation)
 

CDX.NA.HY.S40

    Q       5.000%       06/20/28       ICE           $16,150,000       $ 304,117       $297,831       $6,286  

iTraxx Europe Crossover S39

    Q       5.000%       06/20/28       ICE           EUR 15,194,564       830,018       (12,957     842,975  
           

 

 

   

 

 

   

 

 

 
              $1,134,135       $284,874       $849,261  
           

 

 

   

 

 

   

 

 

 

Total Credit Default Swaps

              ($660,623     ($568,006     ($92,617
           

 

 

   

 

 

   

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

86

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

  (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)
 
9.836%    28 Day MXN TIIE    M/M    LCH      12/17/25        MXN  679,000,000        ($359,860      $1,714        ($361,574
10.165%    Brazil CETIP Interbank    Z/Z    LCH      01/04/27        BRL 48,780,411        (184,489      -        (184,489
3.862%    3 Month ILS TELBOR    A/A    LCH      12/20/28        ILS 52,000,000        (251,305      -        (251,305
3.721%    3 Month KRW KWCDC    Q/Q    LCH      12/20/28        KRW 15,100,000,000        (40,938      -        (40,938
                 

 

 

    

 

 

    

 

 

 
                    ($836,592      $1,714        ($838,306
                 

 

 

    

 

 

    

 

 

 

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)
 
5.630%    1 Day CLP CAMARA    S/S    LCH      12/20/25        CLP 33,100,000,000        $ 257,727        ($171      $257,898  
                 

 

 

    

 

 

    

 

 

 

Total Interest Rate Swaps

       ($578,865      $1,543        ($580,408
  

 

 

    

 

 

    

 

 

 

Total Swap Agreements

       ($1,239,488      ($566,463      ($673,025
  

 

 

    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

87

PACIFIC SELECT FUND

EMERGING MARKETS DEBT PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(e)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $70,606,065        $-        $70,606,065        $-  
 

Foreign Government Bonds & Notes

     113,874,836        -        113,874,836        -  
 

Short-Term Investments

     30,004,676        -        30,004,676        -  
 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     910,602        -        910,602        -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     596,476        -        596,476        -  
 

Interest Rate Contracts

           
 

Swaps

     257,898        -        257,898        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Asset - Derivatives

     1,764,976        -        1,764,976        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     216,250,553        -        216,250,553        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Credit Contracts

           
 

Swaps

     (1,003,219      -        (1,003,219      -  
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (59,928      -        (59,928      -  
 

Interest Rate Contracts

           
 

Futures

     (602,584      (602,584      -        -  
 

Swaps

     (838,306      -        (838,306      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Interest Rate Contracts

     (1,440,890      (602,584      (838,306      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (2,504,037      (602,584      (1,901,453      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (2,504,037      (602,584      (1,901,453      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $213,746,516        ($602,584      $214,349,100        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

88

PACIFIC SELECT FUND

DIVIDEND GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 0.1%

 

Consumer, Cyclical - 0.1%

 

Dr Ing hc F Porsche AG ~

    18,711       $1,755,599  
   

 

 

 

Total Preferred Stocks
(Cost $1,622,527)

      1,755,599  
   

 

 

 

COMMON STOCKS - 96.9%

   

Basic Materials - 3.0%

 

Air Products & Chemicals, Inc.

    18,672       5,291,645  

Linde PLC

    37,245       13,868,176  

Nutrien Ltd. (Canada)

    56,633       3,497,654  

RPM International, Inc.

    29,961       2,840,602  

Sherwin-Williams Co.

    29,546       7,535,707  
   

 

 

 
    33,033,784  
 

 

 

 

Communications - 0.4%

 

T-Mobile U.S., Inc. *

    22,600       3,165,130  

Walt Disney Co. *

    11,779       954,688  
   

 

 

 
    4,119,818  
 

 

 

 

Consumer, Cyclical - 9.3%

 

Costco Wholesale Corp.

    12,155       6,867,089  

Cummins, Inc.

    19,751       4,512,314  

Dollar General Corp.

    24,916       2,636,113  

Hilton Worldwide Holdings, Inc.

    84,275       12,656,420  

Home Depot, Inc.

    44,993       13,595,085  

Las Vegas Sands Corp.

    81,054       3,715,515  

Marriott International, Inc. Class A

    14,697       2,888,842  

McDonald’s Corp.

    45,410       11,962,810  

NIKE, Inc. Class B

    49,399       4,723,532  

Ross Stores, Inc.

    120,779       13,641,988  

Target Corp.

    29,023       3,209,073  

Tractor Supply Co.

    19,058       3,869,727  

Walmart, Inc.

    76,911       12,300,376  

Yum! Brands, Inc.

    50,940       6,364,444  
   

 

 

 
    102,943,328  
 

 

 

 

Consumer, Non-Cyclical - 26.5%

 

AbbVie, Inc.

    91,290       13,607,687  

AstraZeneca PLC ADR (United Kingdom)

    197,838       13,397,589  

Automatic Data Processing, Inc.

    26,219       6,307,767  

Avery Dennison Corp.

    48,004       8,768,891  

Becton Dickinson & Co.

    61,560       15,915,107  

Cigna Group

    20,923       5,985,443  

Coca-Cola Co.

    228,593       12,796,636  

Colgate-Palmolive Co.

    92,191       6,555,702  

Constellation Brands, Inc. Class A

    22,215       5,583,296  

Danaher Corp.

    60,323       14,966,136  

Diageo PLC (United Kingdom)

    128,266       4,728,923  

Elevance Health, Inc.

    19,368       8,433,215  

Eli Lilly & Co.

    31,357       16,842,785  

Equifax, Inc.

    21,130       3,870,593  

GE HealthCare Technologies, Inc. *

    85,784       5,836,743  

Johnson & Johnson

    51,035       7,948,701  

Kenvue, Inc.

    272,821       5,478,246  

McKesson Corp.

    38,426       16,709,546  

Medtronic PLC

    44,637       3,497,755  

Mondelez International, Inc. Class A

    228,417       15,852,140  

Nestle SA

    44,107       4,992,736  

PepsiCo, Inc.

    78,194       13,249,191  

Philip Morris International, Inc.

    150,194       13,904,961  

S&P Global, Inc.

    15,546       5,680,664  

Stryker Corp.

    42,122       11,510,679  
   

Shares

   

Value

 

Thermo Fisher Scientific, Inc.

    34,326       $17,374,792  

UnitedHealth Group, Inc.

    48,338       24,371,536  

Zoetis, Inc.

    54,449       9,473,037  
   

 

 

 
    293,640,497  
 

 

 

 

Energy - 4.8%

 

EOG Resources, Inc.

    86,212       10,928,233  

EQT Corp.

    171,893       6,975,418  

Exxon Mobil Corp.

    135,406       15,921,038  

Schlumberger NV

    217,698       12,691,793  

TotalEnergies SE (France)

    41,002       2,695,854  

Williams Cos., Inc.

    127,232       4,286,446  
   

 

 

 
    53,498,782  
 

 

 

 

Financial - 17.1%

 

American Express Co.

    53,486       7,979,576  

American Tower Corp. REIT

    55,538       9,133,224  

Aon PLC Class A

    33,481       10,855,210  

Bank of America Corp.

    387,111       10,599,099  

Charles Schwab Corp.

    175,883       9,655,977  

Chubb Ltd.

    99,236       20,658,950  

Equity Residential REIT

    195,273       11,464,478  

Goldman Sachs Group, Inc.

    15,979       5,170,325  

Hartford Financial Services Group, Inc.

    87,769       6,223,700  

JPMorgan Chase & Co.

    142,141       20,613,288  

Marsh & McLennan Cos., Inc.

    105,299       20,038,400  

Morgan Stanley

    137,724       11,247,919  

Progressive Corp.

    53,686       7,478,460  

Rexford Industrial Realty, Inc. REIT

    114,992       5,674,855  

Visa, Inc. Class A

    100,685       23,158,557  

Wells Fargo & Co.

    231,153       9,444,911  
   

 

 

 
    189,396,929  
 

 

 

 

Industrial - 13.8%

 

Agilent Technologies, Inc.

    81,741       9,140,279  

Amphenol Corp. Class A

    125,825       10,568,042  

Ball Corp.

    69,084       3,439,001  

General Electric Co.

    169,567       18,745,632  

Honeywell International, Inc.

    81,197       15,000,334  

Howmet Aerospace, Inc.

    174,444       8,068,035  

Illinois Tool Works, Inc.

    24,750       5,700,172  

JB Hunt Transport Services, Inc.

    33,994       6,408,549  

Northrop Grumman Corp.

    26,005       11,447,141  

Old Dominion Freight Line, Inc.

    18,162       7,430,801  

Otis Worldwide Corp.

    67,494       5,420,443  

Schneider Electric SE

    34,483       5,682,525  

Stanley Black & Decker, Inc.

    66,898       5,591,335  

TE Connectivity Ltd.

    70,095       8,658,835  

Trane Technologies PLC

    32,624       6,619,736  

Union Pacific Corp.

    68,070       13,861,094  

Waste Connections, Inc.

    85,492       11,481,575  
   

 

 

 
    153,263,529  
 

 

 

 

Technology - 19.2%

 

Accenture PLC Class A

    66,798       20,514,334  

Apple, Inc.

    283,923       48,610,457  

Applied Materials, Inc.

    81,554       11,291,151  

Broadridge Financial Solutions, Inc.

    69,774       12,493,035  

KLA Corp.

    25,656       11,767,381  

Microchip Technology, Inc.

    116,213       9,070,425  

Microsoft Corp.

    207,592       65,547,174  

QUALCOMM, Inc.

    35,515       3,944,296  

Roper Technologies, Inc.

    36,370       17,613,263  

Texas Instruments, Inc.

    72,774       11,571,794  
   

 

 

 
    212,423,310  
 

 

 

 

Utilities - 2.8%

 

Ameren Corp.

    118,022       8,831,586  

Atmos Energy Corp.

    49,888       5,284,636  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

89

PACIFIC SELECT FUND

DIVIDEND GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

CMS Energy Corp.

    137,377       $7,296,092  

NextEra Energy, Inc.

    77,921       4,464,094  

WEC Energy Group, Inc.

    65,752       5,296,324  
   

 

 

 
    31,172,732  
 

 

 

 

Total Common Stocks
(Cost $814,109,520)

      1,073,492,709  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.8%

 

Repurchase Agreements - 2.8%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $30,573,891; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $31,172,558)

    $30,561,285       30,561,285  
   

 

 

 

Total Short-Term Investments
(Cost $30,561,285)

      30,561,285  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $846,293,332)

      1,105,809,593  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

      2,256,708  
   

 

 

 

NET ASSETS - 100.0%

      $1,108,066,301  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Preferred Stocks

     $1,755,599        $-        $1,755,599        $-  
 

Common Stocks

           
 

Basic Materials

     33,033,784        33,033,784        -        -  
 

Communications

     4,119,818        4,119,818        -        -  
 

Consumer, Cyclical

     102,943,328        102,943,328        -        -  
 

Consumer, Non-Cyclical

     293,640,497        283,918,838        9,721,659        -  
 

Energy

     53,498,782        50,802,928        2,695,854        -  
 

Financial

     189,396,929        189,396,929        -        -  
 

Industrial

     153,263,529        147,581,004        5,682,525        -  
 

Technology

     212,423,310        212,423,310        -        -  
 

Utilities

     31,172,732        31,172,732        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,073,492,709        1,055,392,671        18,100,038        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     30,561,285        -        30,561,285        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,105,809,593        $1,055,392,671        $50,416,922        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

90

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.1%

 

Basic Materials - 2.0%

 

Air Products & Chemicals, Inc.

    25,212       $7,145,081  

Albemarle Corp.

    13,583       2,309,653  

Celanese Corp.

    10,995       1,380,092  

CF Industries Holdings, Inc.

    21,289       1,825,319  

Dow, Inc.

    79,905       4,119,902  

DuPont de Nemours, Inc.

    52,575       3,921,569  

Eastman Chemical Co.

    12,689       973,500  

Ecolab, Inc.

    27,911       4,728,123  

FMC Corp.

    14,448       967,583  

Freeport-McMoRan, Inc.

    161,705       6,029,980  

International Flavors & Fragrances, Inc.

    29,169       1,988,451  

International Paper Co.

    38,497       1,365,489  

Linde PLC

    55,123       20,525,049  

LyondellBasell Industries NV Class A

    28,992       2,745,542  

Mosaic Co.

    38,002       1,352,871  

Newmont Corp.

    91,689       3,387,909  

Nucor Corp.

    28,474       4,451,910  

PPG Industries, Inc.

    26,246       3,406,731  

Sherwin-Williams Co.

    26,727       6,816,721  

Steel Dynamics, Inc.

    17,533       1,879,888  
   

 

 

 
    81,321,363  
   

 

 

 

Communications - 13.6%

   

Airbnb, Inc. Class A *

    48,165       6,608,720  

Alphabet, Inc. Class A *

    670,245       87,708,261  

Alphabet, Inc. Class C *

    570,140       75,172,959  

Amazon.com, Inc. *

    1,025,715       130,388,891  

Arista Networks, Inc. *

    27,867       5,125,577  

AT&T, Inc.

    809,721       12,162,009  

Booking Holdings, Inc. *

    4,032       12,434,486  

CDW Corp.

    15,320       3,090,963  

Charter Communications, Inc. Class A *

    11,485       5,051,333  

Cisco Systems, Inc.

    460,355       24,748,685  

Comcast Corp. Class A

    464,945       20,615,661  

Corning, Inc.

    87,934       2,679,349  

eBay, Inc.

    60,051       2,647,648  

Etsy, Inc. *

    14,276       921,944  

Expedia Group, Inc. *

    15,963       1,645,306  

F5, Inc. *

    7,043       1,134,909  

FactSet Research Systems, Inc.

    4,457       1,948,868  

Fox Corp. Class A

    30,451       950,071  

Fox Corp. Class B

    14,368       414,948  

Gen Digital, Inc.

    65,904       1,165,183  

Interpublic Group of Cos., Inc.

    45,604       1,307,011  

Juniper Networks, Inc.

    36,259       1,007,637  

Match Group, Inc. *

    30,383       1,190,254  

Meta Platforms, Inc. Class A *

    250,732       75,272,254  

Motorola Solutions, Inc.

    18,887       5,141,797  

Netflix, Inc. *

    50,062       18,903,411  

News Corp. Class A

    44,294       888,538  

News Corp. Class B

    11,270       235,205  

Omnicom Group, Inc.

    22,852       1,702,017  

Palo Alto Networks, Inc. *

    34,529       8,094,979  

Paramount Global Class B

    56,064       723,225  

T-Mobile U.S., Inc. *

    58,477       8,189,704  

VeriSign, Inc. *

    10,174       2,060,540  

Verizon Communications, Inc.

    474,882       15,390,926  

Walt Disney Co. *

    206,756       16,757,574  

Warner Bros Discovery, Inc. *

    249,694       2,711,677  
   

 

 

 
    556,192,520  
   

 

 

 

Consumer, Cyclical - 9.1%

   

Alaska Air Group, Inc. *

    13,969       517,971  

American Airlines Group, Inc. *

    73,874       946,326  
   

Shares

   

Value

 

Aptiv PLC *

    31,299     $ 3,085,768  

AutoZone, Inc. *

    2,048       5,201,899  

Bath & Body Works, Inc.

    24,241       819,346  

Best Buy Co., Inc.

    22,158       1,539,316  

BorgWarner, Inc.

    27,071       1,092,856  

Caesars Entertainment, Inc. *

    25,691       1,190,778  

CarMax, Inc. *

    17,570       1,242,726  

Carnival Corp. *

    111,201       1,525,678  

Chipotle Mexican Grill, Inc. *

    3,135       5,742,787  

Copart, Inc. *

    96,284       4,148,878  

Costco Wholesale Corp.

    50,039       28,270,033  

Cummins, Inc.

    16,322       3,728,924  

Darden Restaurants, Inc.

    13,788       1,974,717  

Delta Air Lines, Inc.

    72,066       2,666,442  

Dollar General Corp.

    24,746       2,618,127  

Dollar Tree, Inc. *

    24,023       2,557,248  

Domino’s Pizza, Inc.

    3,903       1,478,417  

DR Horton, Inc.

    34,843       3,744,577  

Fastenal Co.

    65,940       3,602,962  

Ford Motor Co.

    442,311       5,493,503  

General Motors Co.

    156,119       5,147,243  

Genuine Parts Co.

    16,283       2,350,940  

Hasbro, Inc.

    15,081       997,457  

Hilton Worldwide Holdings, Inc.

    30,042       4,511,708  

Home Depot, Inc.

    113,576       34,318,124  

Las Vegas Sands Corp.

    37,334       1,711,391  

Lennar Corp. Class A

    28,430       3,190,699  

Live Nation Entertainment, Inc. *

    16,213       1,346,328  

LKQ Corp.

    29,051       1,438,315  

Lowe’s Cos., Inc.

    66,198       13,758,592  

Marriott International, Inc. Class A

    28,301       5,562,845  

McDonald’s Corp.

    82,299       21,680,849  

MGM Resorts International

    33,075       1,215,837  

NIKE, Inc. Class B

    138,333       13,227,401  

Norwegian Cruise Line Holdings Ltd. *

    48,659       801,900  

NVR, Inc. *

    338       2,015,595  

O’Reilly Automotive, Inc. *

    6,809       6,188,428  

PACCAR, Inc.

    59,253       5,037,690  

Pool Corp.

    4,427       1,576,455  

PulteGroup, Inc.

    25,006       1,851,694  

Ralph Lauren Corp.

    4,766       553,285  

Ross Stores, Inc.

    38,056       4,298,425  

Royal Caribbean Cruises Ltd. *

    24,428       2,250,796  

Southwest Airlines Co.

    67,815       1,835,752  

Starbucks Corp.

    129,104       11,783,322  

Tapestry, Inc.

    28,065       806,869  

Target Corp.

    52,252       5,777,504  

Tesla, Inc. *

    311,950       78,056,129  

TJX Cos., Inc.

    130,513       11,599,995  

Tractor Supply Co.

    12,539       2,546,044  

Ulta Beauty, Inc. *

    5,652       2,257,691  

United Airlines Holdings, Inc. *

    38,529       1,629,777  

VF Corp.

    36,418       643,506  

Walgreens Boots Alliance, Inc.

    81,786       1,818,921  

Walmart, Inc.

    161,230       25,785,514  

Whirlpool Corp.

    6,457       863,301  

WW Grainger, Inc.

    5,027       3,477,880  

Wynn Resorts Ltd.

    10,715       990,173  

Yum! Brands, Inc.

    31,925       3,988,709  
   

 

 

 
    372,082,363  
   

 

 

 

Consumer, Non-Cyclical - 19.8%

   

Abbott Laboratories

    195,859       18,968,944  

AbbVie, Inc.

    199,121       29,680,976  

Align Technology, Inc. *

    8,087       2,469,123  

Altria Group, Inc.

    200,476       8,430,016  

Amgen, Inc.

    60,637       16,296,800  

Archer-Daniels-Midland Co.

    59,969       4,522,862  

Automatic Data Processing, Inc.

    46,813       11,262,272  

Avery Dennison Corp.

    9,367       1,711,070  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

91

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Baxter International, Inc.

    57,089       $2,154,539  

Becton Dickinson & Co.

    32,308       8,352,587  

Bio-Rad Laboratories, Inc. Class A *

    2,240       802,928  

Bio-Techne Corp.

    17,632       1,200,210  

Biogen, Inc. *

    16,379       4,209,567  

Boston Scientific Corp. *

    163,109       8,612,155  

Bristol-Myers Squibb Co.

    236,004       13,697,672  

Brown-Forman Corp. Class B

    20,644       1,190,952  

Bunge Ltd.

    16,867       1,825,853  

Campbell Soup Co.

    22,767       935,268  

Cardinal Health, Inc.

    29,069       2,523,771  

Catalent, Inc. *

    21,035       957,724  

Cencora, Inc.

    18,691       3,363,819  

Centene Corp. *

    60,752       4,184,598  

Charles River Laboratories International, Inc. *

    5,633       1,103,955  

Church & Dwight Co., Inc.

    27,868       2,553,545  

Cigna Group

    33,307       9,528,134  

Cintas Corp.

    9,755       4,692,253  

Clorox Co.

    14,269       1,870,095  

Coca-Cola Co.

    441,144       24,695,241  

Colgate-Palmolive Co.

    93,131       6,622,545  

Conagra Brands, Inc.

    54,974       1,507,387  

Constellation Brands, Inc. Class A

    18,257       4,588,532  

Cooper Cos., Inc.

    5,567       1,770,362  

Corteva, Inc.

    80,999       4,143,909  

CoStar Group, Inc. *

    46,979       3,612,215  

CVS Health Corp.

    145,704       10,173,053  

Danaher Corp.

    74,193       18,407,283  

DaVita, Inc. *

    6,693       632,689  

Dentsply Sirona, Inc.

    24,679       843,035  

Dexcom, Inc. *

    44,330       4,135,989  

Edwards Lifesciences Corp. *

    68,506       4,746,096  

Elevance Health, Inc.

    26,516       11,545,597  

Eli Lilly & Co.

    90,082       48,385,745  

Equifax, Inc.

    14,004       2,565,253  

Estee Lauder Cos., Inc. Class A

    26,101       3,772,900  

FleetCor Technologies, Inc. *

    8,377       2,138,983  

Gartner, Inc. *

    9,128       3,136,472  

GE HealthCare Technologies, Inc. *

    40,965       2,787,259  

General Mills, Inc.

    66,982       4,286,178  

Gilead Sciences, Inc.

    140,967       10,564,067  

Global Payments, Inc.

    29,179       3,366,965  

HCA Healthcare, Inc.

    22,737       5,592,847  

Henry Schein, Inc. *

    14,141       1,049,969  

Hershey Co.

    16,549       3,311,124  

Hologic, Inc. *

    27,402       1,901,699  

Hormel Foods Corp.

    32,734       1,244,874  

Humana, Inc.

    13,935       6,779,656  

IDEXX Laboratories, Inc. *

    9,491       4,150,130  

Illumina, Inc. *

    18,171       2,494,515  

Incyte Corp. *

    21,164       1,222,644  

Insulet Corp. *

    7,813       1,246,095  

Intuitive Surgical, Inc. *

    39,715       11,608,297  

IQVIA Holdings, Inc. *

    20,879       4,107,943  

J M Smucker Co.

    11,318       1,391,095  

Johnson & Johnson

    272,031       42,368,828  

Kellogg Co.

    28,444       1,692,702  

Kenvue, Inc.

    196,593       3,947,587  

Keurig Dr Pepper, Inc.

    113,650       3,587,931  

Kimberly-Clark Corp.

    37,996       4,591,817  

Kraft Heinz Co.

    91,974       3,094,005  

Kroger Co.

    75,247       3,367,303  

Laboratory Corp. of America Holdings

    10,118       2,034,224  

Lamb Weston Holdings, Inc.

    16,937       1,565,995  

MarketAxess Holdings, Inc.

    4,303       919,293  

McCormick & Co., Inc.

    28,263       2,137,813  

McKesson Corp.

    15,370       6,683,645  

Medtronic PLC

    150,643       11,804,386  

Merck & Co., Inc.

    286,437       29,488,689  

Moderna, Inc. *

    36,760       3,796,940  

Molina Healthcare, Inc. *

    6,482       2,125,383  
   

Shares

   

Value

 

Molson Coors Beverage Co. Class B

    20,130       $1,280,067  

Mondelez International, Inc. Class A

    153,990       10,686,906  

Monster Beverage Corp. *

    83,531       4,422,966  

Moody’s Corp.

    17,827       5,636,363  

Organon & Co.

    28,657       497,486  

PayPal Holdings, Inc. *

    124,044       7,251,612  

PepsiCo, Inc.

    155,441       26,337,923  

Pfizer, Inc.

    639,985       21,228,302  

Philip Morris International, Inc.

    175,198       16,219,831  

Procter & Gamble Co.

    266,302       38,842,810  

Quanta Services, Inc.

    16,274       3,044,377  

Quest Diagnostics, Inc.

    12,931       1,575,772  

Regeneron Pharmaceuticals, Inc. *

    12,058       9,923,252  

ResMed, Inc.

    16,602       2,454,938  

Revvity, Inc.

    13,889       1,537,512  

Robert Half, Inc.

    12,427       910,651  

Rollins, Inc.

    27,278       1,018,288  

S&P Global, Inc.

    36,760       13,432,472  

STERIS PLC

    11,184       2,453,993  

Stryker Corp.

    38,109       10,414,046  

Sysco Corp.

    57,397       3,791,072  

Teleflex, Inc.

    5,288       1,038,616  

Thermo Fisher Scientific, Inc.

    43,719       22,129,246  

Tyson Foods, Inc. Class A

    32,118       1,621,638  

United Rentals, Inc.

    7,774       3,456,087  

UnitedHealth Group, Inc.

    104,644       52,760,458  

Universal Health Services, Inc. Class B

    7,429       934,048  

Verisk Analytics, Inc.

    16,521       3,902,921  

Vertex Pharmaceuticals, Inc. *

    29,311       10,192,607  

Viatris, Inc.

    136,711       1,347,970  

Waters Corp. *

    6,649       1,823,222  

West Pharmaceutical Services, Inc.

    8,209       3,080,099  

Zimmer Biomet Holdings, Inc.

    23,807       2,671,622  

Zoetis, Inc.

    51,701       8,994,940  
   

 

 

 
    811,750,985  
   

 

 

 

Energy - 4.8%

   

APA Corp.

    34,671       1,424,978  

Baker Hughes Co.

    113,343       4,003,275  

Chevron Corp.

    200,436       33,797,518  

ConocoPhillips

    135,279       16,206,424  

Coterra Energy, Inc.

    85,334       2,308,285  

Devon Energy Corp.

    73,380       3,500,226  

Diamondback Energy, Inc.

    20,381       3,156,609  

Enphase Energy, Inc. *

    15,774       1,895,246  

EOG Resources, Inc.

    65,860       8,348,414  

EQT Corp.

    41,200       1,671,896  

Exxon Mobil Corp.

    452,236       53,173,909  

First Solar, Inc. *

    11,176       1,805,930  

Halliburton Co.

    101,139       4,096,130  

Hess Corp.

    31,224       4,777,272  

Kinder Morgan, Inc.

    221,165       3,666,916  

Marathon Oil Corp.

    69,387       1,856,102  

Marathon Petroleum Corp.

    45,170       6,836,028  

Occidental Petroleum Corp.

    74,956       4,863,145  

ONEOK, Inc.

    65,910       4,180,671  

Phillips 66

    50,304       6,044,026  

Pioneer Natural Resources Co.

    26,305       6,038,313  

Schlumberger NV

    161,370       9,407,871  

SolarEdge Technologies, Inc. *

    6,567       850,492  

Targa Resources Corp.

    25,252       2,164,601  

Valero Energy Corp.

    39,894       5,653,379  

Williams Cos., Inc.

    137,238       4,623,548  
   

 

 

 
    196,351,204  
   

 

 

 

Financial - 13.7%

   

Aflac, Inc.

    61,659       4,732,328  

Alexandria Real Estate Equities, Inc. REIT

    18,195       1,821,320  

Allstate Corp.

    29,061       3,237,686  

American Express Co.

    65,726       9,805,662  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

92

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

American International Group, Inc.

    79,583       $4,822,730  

American Tower Corp. REIT

    52,505       8,634,447  

Ameriprise Financial, Inc.

    11,569       3,814,068  

Aon PLC Class A

    22,892       7,422,044  

Arch Capital Group Ltd. *

    41,552       3,312,110  

Arthur J Gallagher & Co.

    24,500       5,584,285  

Assurant, Inc.

    5,817       835,205  

AvalonBay Communities, Inc. REIT

    16,004       2,748,527  

Bank of America Corp.

    780,993       21,383,588  

Bank of New York Mellon Corp.

    81,940       3,494,741  

Berkshire Hathaway, Inc. Class B *

    206,019       72,168,456  

BlackRock, Inc.

    15,855       10,250,099  

Blackstone, Inc.

    80,180       8,590,485  

Boston Properties, Inc. REIT

    15,602       928,007  

Brown & Brown, Inc.

    26,420       1,845,173  

Camden Property Trust REIT

    12,249       1,158,510  

Capital One Financial Corp.

    43,017       4,174,800  

Cboe Global Markets, Inc.

    11,891       1,857,493  

CBRE Group, Inc. Class A *

    35,103       2,592,708  

Charles Schwab Corp.

    167,424       9,191,578  

Chubb Ltd.

    46,400       9,659,552  

Cincinnati Financial Corp.

    17,742       1,814,829  

Citigroup, Inc.

    217,545       8,947,626  

Citizens Financial Group, Inc.

    53,926       1,445,217  

CME Group, Inc.

    40,883       8,185,594  

Comerica, Inc.

    13,906       577,794  

Crown Castle, Inc. REIT

    49,114       4,519,961  

Digital Realty Trust, Inc. REIT

    32,250       3,902,895  

Discover Financial Services

    28,977       2,510,278  

Equinix, Inc. REIT

    10,521       7,640,981  

Equity Residential REIT

    39,346       2,310,004  

Essex Property Trust, Inc. REIT

    7,361       1,561,194  

Everest Group Ltd.

    4,342       1,613,791  

Extra Space Storage, Inc. REIT

    24,092       2,929,105  

Federal Realty Investment Trust REIT

    8,328       754,767  

Fifth Third Bancorp

    77,136       1,953,855  

Franklin Resources, Inc.

    31,577       776,163  

Globe Life, Inc.

    10,410       1,131,879  

Goldman Sachs Group, Inc.

    37,160       12,023,861  

Hartford Financial Services Group, Inc.

    35,065       2,486,459  

Healthpeak Properties, Inc. REIT

    61,010       1,120,144  

Host Hotels & Resorts, Inc. REIT

    83,118       1,335,706  

Huntington Bancshares, Inc.

    169,115       1,758,796  

Intercontinental Exchange, Inc.

    63,421       6,977,578  

Invesco Ltd.

    50,174       728,526  

Invitation Homes, Inc. REIT

    63,897       2,024,896  

Iron Mountain, Inc. REIT

    33,579       1,996,272  

JPMorgan Chase & Co.

    328,298       47,609,776  

KeyCorp

    103,882       1,117,770  

Kimco Realty Corp. REIT

    67,408       1,185,707  

Loews Corp.

    20,669       1,308,554  

M&T Bank Corp.

    18,819       2,379,663  

Marsh & McLennan Cos., Inc.

    55,840       10,626,352  

Mastercard, Inc. Class A

    93,992       37,212,373  

MetLife, Inc.

    70,932       4,462,332  

Mid-America Apartment Communities, Inc. REIT

    12,943       1,665,117  

Morgan Stanley

    144,133       11,771,342  

Nasdaq, Inc.

    38,864       1,888,402  

Northern Trust Corp.

    23,614       1,640,701  

PNC Financial Services Group, Inc.

    44,919       5,514,706  

Principal Financial Group, Inc.

    25,167       1,813,786  

Progressive Corp.

    66,624       9,280,723  

Prologis, Inc. REIT

    104,639       11,741,542  

Prudential Financial, Inc.

    41,373       3,925,884  

Public Storage REIT

    17,803       4,691,447  

Raymond James Financial, Inc.

    21,934       2,202,832  

Realty Income Corp. REIT

    80,071       3,998,746  

Regency Centers Corp. REIT

    17,121       1,017,672  

Regions Financial Corp.

    108,560       1,867,232  

SBA Communications Corp. REIT

    12,484       2,498,922  

Simon Property Group, Inc. REIT

    36,637       3,957,895  
   

Shares

   

Value

 

State Street Corp.

    35,997       $2,410,359  

Synchrony Financial

    46,230       1,413,251  

T Rowe Price Group, Inc.

    25,299       2,653,106  

Travelers Cos., Inc.

    26,312       4,297,013  

Truist Financial Corp.

    150,486       4,305,404  

UDR, Inc. REIT

    33,910       1,209,570  

U.S. Bancorp

    175,889       5,814,890  

Ventas, Inc. REIT

    46,222       1,947,333  

VICI Properties, Inc. REIT

    115,942       3,373,912  

Visa, Inc. Class A

    181,517       41,750,725  

W R Berkley Corp.

    23,655       1,501,856  

Wells Fargo & Co.

    413,329       16,888,623  

Welltower, Inc. REIT

    58,600       4,800,512  

Weyerhaeuser Co. REIT

    81,743       2,506,240  

Willis Towers Watson PLC

    11,941       2,495,191  

Zions Bancorp NA

    17,603       614,169  
   

 

 

 
    560,455,403  
   

 

 

 

Industrial - 7.4%

   

3M Co.

    62,310       5,833,462  

Agilent Technologies, Inc.

    33,600       3,757,152  

Allegion PLC

    10,056       1,047,835  

Amcor PLC

    162,973       1,492,833  

AMETEK, Inc.

    26,529       3,919,925  

Amphenol Corp. Class A

    67,233       5,646,900  

AO Smith Corp.

    14,802       978,856  

Axon Enterprise, Inc. *

    7,756       1,543,366  

Ball Corp.

    35,791       1,781,676  

Boeing Co. *

    64,377       12,339,783  

Carrier Global Corp.

    93,602       5,166,830  

Caterpillar, Inc.

    57,630       15,732,990  

CH Robinson Worldwide, Inc.

    13,856       1,193,417  

CSX Corp.

    226,653       6,969,580  

Deere & Co.

    30,674       11,575,754  

Dover Corp.

    16,269       2,269,688  

Eaton Corp. PLC

    45,208       9,641,962  

Emerson Electric Co.

    65,108       6,287,480  

Expeditors International of Washington, Inc.

    17,019       1,950,888  

FedEx Corp.

    26,378       6,988,060  

Fortive Corp.

    39,097       2,899,434  

Garmin Ltd.

    17,915       1,884,658  

Generac Holdings, Inc. *

    7,119       775,686  

General Dynamics Corp.

    25,407       5,614,185  

General Electric Co.

    123,426       13,644,744  

Honeywell International, Inc.

    75,273       13,905,934  

Howmet Aerospace, Inc.

    40,665       1,880,756  

Huntington Ingalls Industries, Inc.

    4,604       941,886  

IDEX Corp.

    8,297       1,725,942  

Illinois Tool Works, Inc.

    31,020       7,144,216  

Ingersoll Rand, Inc.

    45,835       2,920,606  

Jacobs Solutions, Inc.

    14,550       1,986,075  

JB Hunt Transport Services, Inc.

    9,458       1,783,022  

Johnson Controls International PLC

    77,877       4,143,835  

Keysight Technologies, Inc. *

    20,360       2,693,832  

L3Harris Technologies, Inc.

    21,529       3,748,630  

Lockheed Martin Corp.

    25,216       10,312,335  

Martin Marietta Materials, Inc.

    7,051       2,894,295  

Masco Corp.

    24,488       1,308,884  

Mettler-Toledo International, Inc. *

    2,498       2,767,959  

Mohawk Industries, Inc. *

    5,906       506,794  

Nordson Corp.

    5,993       1,337,458  

Norfolk Southern Corp.

    25,572       5,035,894  

Northrop Grumman Corp.

    16,072       7,074,734  

Old Dominion Freight Line, Inc.

    10,124       4,142,133  

Otis Worldwide Corp.

    46,427       3,728,552  

Packaging Corp. of America

    10,504       1,612,889  

Parker-Hannifin Corp.

    14,499       5,647,651  

Pentair PLC

    18,808       1,217,818  

Republic Services, Inc.

    22,937       3,268,752  

Rockwell Automation, Inc.

    12,844       3,671,714  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

93

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RTX Corp.

    165,298       $11,896,497  

Sealed Air Corp.

    16,000       525,760  

Snap-on, Inc.

    6,242       1,592,085  

Stanley Black & Decker, Inc.

    16,912       1,413,505  

TE Connectivity Ltd.

    35,584       4,395,692  

Teledyne Technologies, Inc. *

    5,427       2,217,364  

Textron, Inc.

    22,859       1,786,202  

Trane Technologies PLC

    25,612       5,196,931  

TransDigm Group, Inc. *

    6,234       5,256,072  

Trimble, Inc. *

    28,669       1,544,112  

Union Pacific Corp.

    69,007       14,051,895  

United Parcel Service, Inc. Class B

    81,339       12,678,310  

Vulcan Materials Co.

    15,124       3,055,351  

Waste Management, Inc.

    41,676       6,353,089  

Westinghouse Air Brake Technologies Corp.

    20,015       2,126,994  

Westrock Co.

    27,481       983,820  

Xylem, Inc.

    27,131       2,469,735  
   

 

 

 
    305,883,154  
   

 

 

 

Technology - 26.3%

   

Accenture PLC Class A

    71,260       21,884,659  

Activision Blizzard, Inc.

    80,763       7,561,840  

Adobe, Inc. *

    51,491       26,255,261  

Advanced Micro Devices, Inc. *

    182,523       18,767,015  

Akamai Technologies, Inc. *

    17,441       1,858,164  

Analog Devices, Inc.

    56,645       9,917,973  

ANSYS, Inc. *

    9,838       2,927,297  

Apple, Inc.

    1,660,212       284,244,897  

Applied Materials, Inc.

    94,865       13,134,059  

Autodesk, Inc. *

    24,443       5,057,501  

Broadcom, Inc.

    46,621       38,722,470  

Broadridge Financial Solutions, Inc.

    13,133       2,351,464  

Cadence Design Systems, Inc. *

    30,632       7,177,078  

Ceridian HCM Holding, Inc. *

    17,149       1,163,560  

Cognizant Technology Solutions Corp. Class A

    56,792       3,847,090  

DXC Technology Co. *

    21,042       438,305  

Electronic Arts, Inc.

    27,850       3,353,140  

EPAM Systems, Inc. *

    6,682       1,708,521  

Fair Isaac Corp. *

    2,763       2,399,748  

Fidelity National Information Services, Inc.

    66,341       3,666,667  

Fiserv, Inc. *

    68,868       7,779,329  

Fortinet, Inc. *

    73,645       4,321,489  

Hewlett Packard Enterprise Co.

    147,770       2,566,765  

HP, Inc.

    100,376       2,579,663  

Intel Corp.

    470,292       16,718,881  

International Business Machines Corp.

    102,632       14,399,270  

Intuit, Inc.

    31,565       16,127,821  

Jack Henry & Associates, Inc.

    8,352       1,262,321  

KLA Corp.

    15,482       7,100,974  

Lam Research Corp.

    15,157       9,499,953  

Leidos Holdings, Inc.

    15,121       1,393,551  

Microchip Technology, Inc.

    61,704       4,815,997  

Micron Technology, Inc.

    122,972       8,365,785  

Microsoft Corp.

    839,333       265,019,395  

Monolithic Power Systems, Inc.

    5,170       2,388,540  

MSCI, Inc.

    8,911       4,572,056  

NetApp, Inc.

    23,533       1,785,684  

NVIDIA Corp.

    279,033       121,376,565  

NXP Semiconductors NV (China)

    29,127       5,823,070  

ON Semiconductor Corp. *

    48,646       4,521,646  

Oracle Corp.

    177,844       18,837,236  

Paychex, Inc.

    36,286       4,184,864  

Paycom Software, Inc.

    5,716       1,481,987  

PTC, Inc. *

    11,906       1,686,842  

Qorvo, Inc. *

    10,835       1,034,417  

QUALCOMM, Inc.

    126,756       14,077,521  

Roper Technologies, Inc.

    11,984       5,803,612  

Salesforce, Inc. *

    110,032       22,312,289  

Seagate Technology Holdings PLC

    21,636       1,426,894  

ServiceNow, Inc. *

    22,980       12,844,901  
   

Shares

   

Value

 

Skyworks Solutions, Inc.

    17,456       $1,720,987  

Synopsys, Inc. *

    17,341       7,958,999  

Take-Two Interactive Software, Inc. *

    17,842       2,504,838  

Teradyne, Inc.

    18,041       1,812,399  

Texas Instruments, Inc.

    102,536       16,304,249  

Tyler Technologies, Inc. *

    4,643       1,792,848  

Western Digital Corp. *

    34,800       1,587,924  

Zebra Technologies Corp. Class A *

    5,848       1,383,227  
   

 

 

 
    1,077,611,498  
   

 

 

 

Utilities - 2.4%

   

AES Corp.

    75,668       1,150,154  

Alliant Energy Corp.

    28,136       1,363,189  

Ameren Corp.

    29,641       2,218,036  

American Electric Power Co., Inc.

    57,887       4,354,260  

American Water Works Co., Inc.

    22,291       2,760,295  

Atmos Energy Corp.

    16,538       1,751,870  

CenterPoint Energy, Inc.

    71,434       1,918,003  

CMS Energy Corp.

    32,240       1,712,266  

Consolidated Edison, Inc.

    38,810       3,319,419  

Constellation Energy Corp.

    36,008       3,927,753  

Dominion Energy, Inc.

    96,256       4,299,755  

DTE Energy Co.

    21,893       2,173,537  

Duke Energy Corp.

    87,576       7,729,458  

Edison International

    43,214       2,735,014  

Entergy Corp.

    23,801       2,201,592  

Evergy, Inc.

    25,703       1,303,142  

Eversource Energy

    40,278       2,342,166  

Exelon Corp.

    111,735       4,222,466  

FirstEnergy Corp.

    58,295       1,992,523  

NextEra Energy, Inc.

    228,971       13,117,749  

NiSource, Inc.

    46,075       1,137,131  

NRG Energy, Inc.

    27,231       1,048,938  

PG&E Corp. *

    236,245       3,810,632  

Pinnacle West Capital Corp.

    13,040       960,787  

PPL Corp.

    82,607       1,946,221  

Public Service Enterprise Group, Inc.

    55,682       3,168,863  

Sempra

    71,296       4,850,267  

Southern Co.

    124,013       8,026,121  

WEC Energy Group, Inc.

    35,918       2,893,195  

Xcel Energy, Inc.

    63,216       3,617,219  
   

 

 

 
    98,052,021  
   

 

 

 

Total Common Stocks
(Cost $2,340,276,024)

 

    4,059,700,511  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.8%

   

Repurchase Agreements - 0.8%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $30,931,472; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $31,537,099)

    $30,918,718       30,918,718  
   

 

 

 

Total Short-Term Investments
(Cost $30,918,718)

      30,918,718  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $2,371,194,742)

      4,090,619,229  
   

 

 

 

DERIVATIVES - (0.0%)

      (1,242,708
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

 

    3,960,140  
   

 

 

 

NET ASSETS - 100.0%

      $4,093,336,661  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

94

PACIFIC SELECT FUND

EQUITY INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini Standard & Poor’s 500 Index

   12/23        157              $35,197,883        $33,955,175        ($1,242,708
                

 

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $4,059,700,511        $4,059,700,511        $-        $-  
 

Short-Term Investments

     30,918,718        -        30,918,718        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     4,090,619,229        4,059,700,511        30,918,718        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (1,242,708      (1,242,708      -        -  
 

Total Liabilities

     (1,242,708      (1,242,708      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $4,089,376,521        $4,058,457,803        $30,918,718        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

95

PACIFIC SELECT FUND

FOCUSED GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 97.3%

 

Basic Materials - 3.8%

 

Freeport-McMoRan, Inc.

    234,942       $8,760,987  

Linde PLC

    43,945       16,362,921  

Sherwin-Williams Co.

    28,957       7,385,483  
   

 

 

 
    32,509,391  
   

 

 

 

Communications - 18.5%

 

Alphabet, Inc. Class C *

    325,976       42,979,936  

Amazon.com, Inc. *

    412,337       52,416,280  

Booking Holdings, Inc. *

    7,135       22,003,983  

Meta Platforms, Inc. Class A *

    142,002       42,630,420  
   

 

 

 
    160,030,619  
   

 

 

 

Consumer, Cyclical - 8.1%

 

Caesars Entertainment, Inc. *

    182,987       8,481,447  

Core & Main, Inc. Class A *

    811,063       23,399,168  

LVMH Moet Hennessy Louis Vuitton SE (France)

    20,498       15,472,514  

Rivian Automotive, Inc. Class A *

    237,483       5,766,087  

TJX Cos., Inc.

    188,958       16,794,587  
   

 

 

 
    69,913,803  
   

 

 

 

Consumer, Non-Cyclical - 14.6%

 

AbbVie, Inc.

    139,724       20,827,259  

Argenx SE ADR * (Netherlands)

    12,912       6,347,927  

CoStar Group, Inc. *

    246,021       18,916,555  

Danaher Corp.

    105,173       26,093,421  

Illumina, Inc. *

    101,302       13,906,739  

ImmunoGen, Inc. *

    272,638       4,326,765  

Madrigal Pharmaceuticals, Inc. *

    33,421       4,880,803  

Teleflex, Inc.

    85,161       16,726,472  

UnitedHealth Group, Inc.

    19,816       9,991,029  

Vaxcyte, Inc. *

    82,383       4,199,885  
   

 

 

 
    126,216,855  
   

 

 

 

Financial - 10.7%

 

American Tower Corp. REIT

    84,942       13,968,712  

Cullen/Frost Bankers, Inc.

    106,870       9,747,613  

Mastercard, Inc. Class A

    71,925       28,475,827  

Progressive Corp.

    131,769       18,355,421  

Visa, Inc. Class A

    96,483       22,192,055  
   

 

 

 
    92,739,628  
   

 

 

 

Industrial - 7.8%

 

Crown Holdings, Inc.

    190,625       16,866,500  

Deere & Co.

    64,266       24,252,703  

Howmet Aerospace, Inc.

    560,525       25,924,281  
   

 

 

 
    67,043,484  
   

 

 

 

Technology - 33.8%

 

Adobe, Inc. *

    28,365       14,463,313  

Advanced Micro Devices, Inc. *

    132,806       13,655,113  

Apple, Inc.

    338,914       58,025,466  

ASML Holding NV (Netherlands)

    29,183       17,178,865  

Atlassian Corp. Class A *

    79,346       15,989,012  

Microsoft Corp.

    288,289       91,027,252  

NVIDIA Corp.

    90,180       39,227,398  

Texas Instruments, Inc.

    89,896       14,294,363  

Workday, Inc. Class A *

    133,401       28,661,205  
   

 

 

 
    292,521,987  
   

 

 

 

Total Common Stocks
(Cost $784,821,660)

      840,975,767  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 3.0%

 

Repurchase Agreements - 0.0%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $109,758; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $111,985)

    $109,713       $109,713  
   

 

 

 

U.S. Government Agency Issues - 3.0%

 

Federal Home Loan Bank
0.000% due 10/02/23

    26,100,000       26,100,000  
   

 

 

 

Total Short-Term Investments
(Cost $26,205,943)

      26,209,713  
   

 

 

 

TOTAL INVESTMENTS - 100.3%
(Cost $811,027,603)

      867,185,480  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.3%)

      (3,000,076
   

 

 

 

NET ASSETS - 100.0%

      $864,185,404  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

96

PACIFIC SELECT FUND

FOCUSED GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $32,509,391        $32,509,391        $-        $-  
 

Communications

     160,030,619        160,030,619        -        -  
 

Consumer, Cyclical

     69,913,803        54,441,289        15,472,514        -  
 

Consumer, Non-Cyclical

     126,216,855        126,216,855        -        -  
 

Financial

     92,739,628        92,739,628        -        -  
 

Industrial

     67,043,484        67,043,484        -        -  
 

Technology

     292,521,987        292,521,987        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     840,975,767        825,503,253        15,472,514        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     26,209,713        -        26,209,713        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $867,185,480        $825,503,253        $41,682,227        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

97

PACIFIC SELECT FUND

GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.8%

 

Basic Materials - 3.2%

 

Air Products & Chemicals, Inc.

    47,245       $13,389,233  

Linde PLC

    55,912       20,818,833  

Sherwin-Williams Co.

    31,755       8,099,113  
   

 

 

 
    42,307,179  
   

 

 

 

Communications - 18.9%

 

Alphabet, Inc. Class A *

    612,247       80,118,642  

Alphabet, Inc. Class C *

    167,477       22,081,842  

Amazon.com, Inc. *

    577,465       73,407,351  

Arista Networks, Inc. *

    27,543       5,065,984  

Meta Platforms, Inc. Class A *

    174,954       52,522,940  

Spotify Technology SA *

    50,878       7,867,774  

Uber Technologies, Inc. *

    151,239       6,955,482  
   

 

 

 
    248,020,015  
   

 

 

 

Consumer, Cyclical - 3.9%

 

Chipotle Mexican Grill, Inc. *

    1,440       2,637,835  

Hilton Worldwide Holdings, Inc.

    98,611       14,809,400  

Las Vegas Sands Corp.

    63,859       2,927,297  

Lululemon Athletica, Inc. *

    14,423       5,561,653  

LVMH Moet Hennessy Louis Vuitton SE (France)

    19,541       14,750,141  

O’Reilly Automotive, Inc. *

    11,790       10,715,460  
   

 

 

 
    51,401,786  
   

 

 

 

Consumer, Non-Cyclical - 16.5%

 

Argenx SE ADR * (Netherlands)

    7,917       3,892,235  

Becton Dickinson & Co.

    60,633       15,675,450  

Boston Scientific Corp. *

    519,385       27,423,528  

Colgate-Palmolive Co.

    60,497       4,301,942  

CoStar Group, Inc. *

    205,978       15,837,648  

Eli Lilly & Co.

    62,664       33,658,714  

Estee Lauder Cos., Inc. Class A

    48,081       6,950,109  

Gartner, Inc. *

    29,157       10,018,637  

ICON PLC ADR *

    18,014       4,435,948  

Novo Nordisk AS ADR (Denmark)

    20,882       1,899,009  

Regeneron Pharmaceuticals, Inc. *

    6,640       5,464,454  

STERIS PLC

    26,969       5,917,538  

Thermo Fisher Scientific, Inc.

    30,472       15,424,012  

UnitedHealth Group, Inc.

    7,533       3,798,063  

Verisk Analytics, Inc.

    113,181       26,737,879  

Vertex Pharmaceuticals, Inc. *

    67,209       23,371,258  

Zoetis, Inc.

    67,497       11,743,128  
   

 

 

 
    216,549,552  
   

 

 

 

Energy - 0.9%

 

Hess Corp.

    78,722       12,044,466  
   

 

 

 

Financial - 9.5%

 

Aon PLC Class A

    27,674       8,972,464  

Arthur J Gallagher & Co.

    41,871       9,543,657  

CME Group, Inc.

    33,878       6,783,053  

Mastercard, Inc. Class A

    136,965       54,225,813  

Visa, Inc. Class A

    199,836       45,964,279  
   

 

 

 
    125,489,266  
   

 

 

 

Industrial - 8.9%

 

AMETEK, Inc.

    113,029       16,701,165  

Amphenol Corp. Class A

    129,422       10,870,154  

Canadian Pacific Kansas City Ltd. (NYSE) (Canada)

    125,869       9,365,912  

Caterpillar, Inc.

    14,430       3,939,390  

Eaton Corp. PLC

    90,484       19,298,428  
   

Shares

   

Value

 

Howmet Aerospace, Inc.

    176,529       $8,164,466  

Johnson Controls International PLC

    168,064       8,942,685  

Martin Marietta Materials, Inc.

    12,428       5,101,445  

Rockwell Automation, Inc.

    34,296       9,804,198  

Vulcan Materials Co.

    122,982       24,844,824  
   

 

 

 
    117,032,667  
   

 

 

 

Technology - 37.0%

 

Adobe, Inc. *

    12,463       6,354,884  

Apple, Inc.

    413,870       70,858,683  

Applied Materials, Inc.

    47,057       6,515,042  

ASML Holding NV (Netherlands)

    30,164       17,756,340  

Autodesk, Inc. *

    13,688       2,832,184  

Cadence Design Systems, Inc. *

    99,304       23,266,927  

Datadog, Inc. Class A *

    12,610       1,148,645  

Intuit, Inc.

    31,393       16,039,939  

KLA Corp.

    17,451       8,004,076  

Lam Research Corp.

    18,132       11,364,593  

Marvell Technology, Inc.

    55,800       3,020,454  

Microsoft Corp.

    530,647       167,551,790  

MSCI, Inc.

    43,217       22,173,778  

NVIDIA Corp.

    187,135       81,401,854  

ServiceNow, Inc. *

    34,926       19,522,237  

Synopsys, Inc. *

    39,669       18,206,881  

Take-Two Interactive Software, Inc. *

    47,213       6,628,233  

Veeva Systems, Inc. Class A *

    21,502       4,374,582  
   

 

 

 
    487,021,122  
   

 

 

 

Total Common Stocks
(Cost $939,393,092)

      1,299,866,053  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.9%

 

U.S. Government Agency Issues - 0.9%

 

Federal Home Loan Bank
0.000% due 10/02/23

    $12,366,000       12,366,000  
   

 

 

 

Total Short-Term Investments
(Cost $12,364,214)

      12,366,000  
   

 

 

 

TOTAL INVESTMENTS - 99.7%
(Cost $951,757,306)

      1,312,232,053  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

 

    3,801,706  
   

 

 

 

NET ASSETS - 100.0%

      $1,316,033,759  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

98

PACIFIC SELECT FUND

GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $42,307,179        $42,307,179        $-        $-  
 

Communications

     248,020,015        248,020,015        -        -  
 

Consumer, Cyclical

     51,401,786        36,651,645        14,750,141        -  
 

Consumer, Non-Cyclical

     216,549,552        216,549,552        -        -  
 

Energy

     12,044,466        12,044,466        -        -  
 

Financial

     125,489,266        125,489,266        -        -  
 

Industrial

     117,032,667        117,032,667        -        -  
 

Technology

     487,021,122        487,021,122        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,299,866,053        1,285,115,912        14,750,141        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     12,366,000        -        12,366,000        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,312,232,053        $1,285,115,912        $27,116,141        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

99

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 97.1%

 

Basic Materials - 2.3%

 

Air Products & Chemicals, Inc.

    2,349       $665,706  

Dow, Inc.

    16,935       873,168  

Eastman Chemical Co. ‡

    6,880       527,834  

Freeport-McMoRan, Inc.

    8,292       309,209  

Linde PLC

    4,052       1,508,762  

LyondellBasell Industries NV Class A

    4,758       450,583  

Nucor Corp.

    2,180       340,843  

PPG Industries, Inc. ‡

    3,255       422,499  
   

 

 

 
      5,098,604  
   

 

 

 

Communications - 13.1%

 

Alphabet, Inc. Class A * ‡

    35,475       4,642,258  

Alphabet, Inc. Class C * ‡

    29,489       3,888,125  

Amazon.com, Inc. * ‡

    62,634       7,962,034  

Booking Holdings, Inc. * ‡

    507       1,563,563  

Charter Communications, Inc. Class A * ‡

    2,383       1,048,091  

Comcast Corp. Class A ‡

    42,504       1,884,627  

Corning, Inc.

    7,536       229,622  

Expedia Group, Inc. *

    6,978       719,222  

Meta Platforms, Inc. Class A * ‡

    15,883       4,768,235  

Motorola Solutions, Inc.

    1,390       378,414  

Netflix, Inc. * ‡

    2,618       988,557  

T-Mobile U.S., Inc. * ‡

    3,074       430,514  

Uber Technologies, Inc. *

    9,625       442,654  

Warner Bros Discovery, Inc. *

    10,323       112,108  
   

 

 

 
      29,058,024  
   

 

 

 

Consumer, Cyclical - 8.4%

 

Aptiv PLC *

    4,779       471,162  

AutoNation, Inc. *

    2,552       386,373  

AutoZone, Inc. *

    478       1,214,115  

Best Buy Co., Inc. ‡

    8,651       600,985  

Burlington Stores, Inc. *

    2,050       277,365  

Chipotle Mexican Grill, Inc. *

    613       1,122,912  

Costco Wholesale Corp. ‡

    3,650       2,062,104  

Delta Air Lines, Inc.

    11,932       441,484  

Domino’s Pizza, Inc.

    475       179,925  

Lennar Corp. Class A

    1,851       207,738  

LKQ Corp.

    3,666       181,504  

Lowe’s Cos., Inc. ‡

    10,379       2,157,171  

Marriott International, Inc. Class A

    3,893       765,208  

NIKE, Inc. Class B ‡

    9,462       904,756  

O’Reilly Automotive, Inc. *

    323       293,562  

Royal Caribbean Cruises Ltd. *

    1,249       115,083  

Tesla, Inc. * ‡

    15,009       3,755,552  

TJX Cos., Inc. ‡

    8,930       793,698  

Toll Brothers, Inc.

    3,606       266,700  

Walmart, Inc. ‡

    9,050       1,447,366  

Whirlpool Corp.

    885       118,325  

Yum! Brands, Inc.

    6,278       784,373  
   

 

 

 
      18,547,461  
   

 

 

 

Consumer, Non-Cyclical - 18.4%

 

Abbott Laboratories ‡

    12,989       1,257,985  

AbbVie, Inc. ‡

    18,727       2,791,447  

Altria Group, Inc. ‡

    6,325       265,966  

Baxter International, Inc.

    11,949       450,955  

Becton Dickinson & Co.

    1,688       436,399  

Biogen, Inc. *

    2,579       662,829  

BioMarin Pharmaceutical, Inc. *

    2,312       204,566  

Boston Scientific Corp. * ‡

    18,744       989,683  

Bristol-Myers Squibb Co. ‡

    30,734       1,783,801  

Centene Corp. * ‡

    9,282       639,344  

Church & Dwight Co., Inc.

    6,153       563,799  

Cintas Corp.

    742       356,909  

Coca-Cola Co. ‡

    47,588       2,663,976  
   

Shares

   

Value

 

Colgate-Palmolive Co. ‡

    1,772       $126,007  

Constellation Brands, Inc. Class A ‡

    1,674       420,726  

CVS Health Corp.

    4,451       310,769  

Danaher Corp. ‡

    5,916       1,467,760  

Dexcom, Inc. *

    2,305       215,057  

Elevance Health, Inc. ‡

    2,238       974,470  

Eli Lilly & Co. ‡

    4,447       2,388,617  

FleetCor Technologies, Inc. *

    3,291       840,324  

Humana, Inc.

    1,219       593,068  

Intuitive Surgical, Inc. * ‡

    2,805       819,873  

Johnson & Johnson

    12,808       1,994,846  

Kenvue, Inc.

    29,635       595,071  

McKesson Corp.

    990       430,502  

Medtronic PLC

    8,468       663,553  

Merck & Co., Inc. ‡

    10,180       1,048,031  

Mondelez International, Inc. Class A ‡

    21,500       1,492,100  

Monster Beverage Corp. *

    6,966       368,850  

Neurocrine Biosciences, Inc. *

    1,276       143,550  

PepsiCo, Inc. ‡

    8,321       1,409,910  

Philip Morris International, Inc. ‡

    6,566       607,880  

Procter & Gamble Co. ‡

    9,207       1,342,933  

Regeneron Pharmaceuticals, Inc. * ‡

    1,645       1,353,769  

ResMed, Inc.

    822       121,549  

S&P Global, Inc. ‡

    2,245       820,345  

Sarepta Therapeutics, Inc. *

    1,862       225,712  

Stryker Corp.

    2,077       567,582  

Thermo Fisher Scientific, Inc. ‡

    2,691       1,362,103  

UnitedHealth Group, Inc. ‡

    7,246       3,653,361  

Vertex Pharmaceuticals, Inc. * ‡

    3,808       1,324,194  
   

 

 

 
      40,750,171  
   

 

 

 

Energy - 4.6%

 

Baker Hughes Co.

    8,636       305,024  

Chevron Corp. ‡

    6,681       1,126,550  

ConocoPhillips ‡

    18,795       2,251,641  

Diamondback Energy, Inc. ‡

    8,533       1,321,591  

EOG Resources, Inc. ‡

    12,472       1,580,951  

Exxon Mobil Corp. ‡

    26,629       3,131,038  

Marathon Oil Corp.

    17,419       465,958  
   

 

 

 
      10,182,753  
   

 

 

 

Financial - 14.0%

 

Aflac, Inc.

    7,248       556,284  

American Express Co.

    2,209       329,561  

Bank of America Corp. ‡

    85,025       2,327,985  

Berkshire Hathaway, Inc. Class B * ‡

    9,161       3,209,098  

Blackstone, Inc.

    1,760       188,566  

Charles Schwab Corp.

    8,915       489,434  

Chubb Ltd.

    3,015       627,663  

Citigroup, Inc. ‡

    19,868       817,171  

CME Group, Inc.

    7,328       1,467,212  

Digital Realty Trust, Inc. REIT

    5,185       627,489  

Equity LifeStyle Properties, Inc. REIT

    5,977       380,795  

Fifth Third Bancorp

    20,259       513,160  

Globe Life, Inc.

    5,813       632,047  

Intercontinental Exchange, Inc. ‡

    7,730       850,455  

Mastercard, Inc. Class A ‡

    8,822       3,492,718  

Morgan Stanley ‡

    12,323       1,006,419  

Progressive Corp. ‡

    10,666       1,485,774  

Prologis, Inc. REIT

    12,723       1,427,648  

Raymond James Financial, Inc.

    4,901       492,207  

SBA Communications Corp. REIT

    3,321       664,765  

State Street Corp.

    2,663       178,314  

Sun Communities, Inc. REIT ‡

    3,808       450,639  

Travelers Cos., Inc. ‡

    7,303       1,192,653  

Truist Financial Corp. ‡

    33,400       955,574  

U.S. Bancorp

    31,486       1,040,927  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

100

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

UDR, Inc. REIT

    11,775       $420,014  

Ventas, Inc. REIT

    17,638       743,089  

Visa, Inc. Class A ‡

    10,909       2,509,179  

Wells Fargo & Co. ‡

    44,201       1,806,053  
   

 

 

 
      30,882,893  
   

 

 

 

Industrial - 7.8%

 

CSX Corp.

    14,184       436,158  

Deere & Co. ‡

    5,124       1,933,695  

Dover Corp.

    3,592       501,120  

Eaton Corp. PLC

    6,662       1,420,872  

FedEx Corp.

    2,689       712,370  

Honeywell International, Inc. ‡

    12,291       2,270,639  

Howmet Aerospace, Inc.

    11,681       540,246  

Keysight Technologies, Inc. *

    1,973       261,048  

Masco Corp. ‡

    9,245       494,145  

Norfolk Southern Corp. ‡

    2,655       522,849  

Otis Worldwide Corp.

    12,981       1,042,504  

Parker-Hannifin Corp. ‡

    1,933       752,942  

RTX Corp. ‡

    18,989       1,366,638  

Textron, Inc.

    11,761       919,005  

Trane Technologies PLC

    7,944       1,611,917  

Union Pacific Corp. ‡

    2,854       581,160  

United Parcel Service, Inc. Class B ‡

    11,613       1,810,118  
   

 

 

 
      17,177,426  
   

 

 

 

Technology - 26.2%

 

Accenture PLC Class A

    5,022       1,542,307  

Adobe, Inc. * ‡

    4,767       2,430,693  

Advanced Micro Devices, Inc. * ‡

    16,466       1,693,034  

Analog Devices, Inc. ‡

    10,036       1,757,203  

Apple, Inc. ‡

    88,772       15,198,654  

Cadence Design Systems, Inc. *

    1,826       427,832  

Cognizant Technology Solutions Corp. Class A

    13,476       912,864  

DocuSign, Inc. *

    1,614       67,788  

Intuit, Inc. ‡

    2,896       1,479,682  

Lam Research Corp. ‡

    2,929       1,835,809  

Leidos Holdings, Inc. ‡

    5,132       472,965  

Microsoft Corp. ‡

    47,995       15,154,421  

NVIDIA Corp. ‡

    15,954       6,939,831  

NXP Semiconductors NV

    9,460       1,891,243  

Oracle Corp. ‡

    9,459       1,001,897  

Qorvo, Inc. *

    4,114       392,764  

Salesforce, Inc. * ‡

    3,739       758,195  

Seagate Technology Holdings PLC

    11,209       739,234  

ServiceNow, Inc. *

    1,354       756,832  

Teradyne, Inc.

    5,209       523,296  

Texas Instruments, Inc. ‡

    13,335       2,120,398  
   

 

 

 
      58,096,942  
   

 

 

 

Utilities - 2.3%

 

Ameren Corp.

    1,915       143,299  

CenterPoint Energy, Inc. ‡

    17,682       474,762  

CMS Energy Corp.

    4,244       225,399  

Constellation Energy Corp.

    2,899       316,223  

Dominion Energy, Inc.

    7,383       329,798  

NextEra Energy, Inc. ‡

    25,634       1,468,572  

PG&E Corp. *

    59,499       959,719  

Public Service Enterprise Group, Inc.

    21,035       1,197,102  
   

 

 

 
      5,114,874  
   

 

 

 

Total Common Stocks
(Cost $203,645,605)

      214,909,148  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 2.8%

 

Repurchase Agreements - 2.8%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $6,265,162; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $6,387,852)

    $6,262,578       $6,262,578  
   

 

 

 

Total Short-Term Investments
(Cost $6,262,578)

      6,262,578  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $209,908,183)

      221,171,726  
   

 

 

 

DERIVATIVES - (0.2%)

      (233,917
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

      556,587  
   

 

 

 

NET ASSETS - 100.0%

      $221,494,396  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

101

PACIFIC SELECT FUND

HEDGED EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini Standard & Poor’s 500 Index

   12/23        30              $6,691,664        $6,488,250        ($203,414
                

 

 

 

 

(b)

As of September 30, 2023, purchased options outstanding were as follows:

 


Options on Indices

                                                
Description    Exercise
Price
     Expiration
Date
     Counter-
party
     Number of
Contracts
     Notional
Amount
     Cost      Value  

Put - S&P 500 Index

     4,055.00        12/29/23        CBOE        517        $209,643,500        $2,877,105        $2,876,588  
                 

 

 

    

 

 

 

Total Purchased Options

                    $2,877,105        $2,876,588  
                 

 

 

    

 

 

 

 

(c)

As of September 30, 2023, premiums received, and value of written options outstanding were as follows:

 

Options on Indices

                                              
Description    Exercise
Price
     Expiration
Date
     Counter-
party
   Number of
Contracts
     Notional
Amount
     Premium      Value  

Call - S&P 500 Index

     4,515.00        12/29/23      CBOE      517        $233,425,500        $2,409,220        ($2,409,737)  
                 

 

 

    

 

 

 

Put - S&P 500 Index

     3,420.00        12/29/23      CBOE      517        176,814,000        496,837        (497,354
                 

 

 

    

 

 

 

Total Written Options

 

     $2,906,057        ($2,907,091)  
                 

 

 

    

 

 

 

 

 

(d)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $214,909,148        $214,909,148        $-        $-  
 

Short-Term Investments

     6,262,578        -        6,262,578        -  
 

Derivatives:

           
 

Equity Contracts

           
 

Purchased Options

     2,876,588        -        2,876,588        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     224,048,314        214,909,148        9,139,166        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Due to Custodian

     (4,980      -        (4,980      -  
 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (203,414      (203,414      -        -  
 

Written Options

     (2,907,091      -        (2,907,091      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities - Derivatives

     (3,110,505      (203,414      (2,907,091      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (3,115,485      (203,414      (2,912,071      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $220,932,829        $214,705,734        $6,227,095        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

102

PACIFIC SELECT FUND

LARGE-CAP CORE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.7%

 

Basic Materials - 2.0%

 

Eastman Chemical Co.

    129,069       $9,902,174  

PPG Industries, Inc.

    172,777       22,426,454  
   

 

 

 
    32,328,628  
   

 

 

 

Communications - 11.1%

 

Alphabet, Inc. Class A *

    400,163       52,365,330  

Amazon.com, Inc. *

    504,996       64,195,091  

Meta Platforms, Inc. Class A *

    148,222       44,497,727  

Uber Technologies, Inc. *

    339,341       15,606,293  
   

 

 

 
    176,664,441  
   

 

 

 

Consumer, Cyclical - 6.4%

 

Lowe’s Cos., Inc.

    175,595       36,495,665  

McDonald’s Corp.

    114,482       30,159,138  

Tesla, Inc. *

    70,656       17,679,544  

TJX Cos., Inc.

    194,603       17,296,315  
   

 

 

 
    101,630,662  
   

 

 

 

Consumer, Non-Cyclical - 18.1%

 

AbbVie, Inc.

    348,703       51,977,669  

Biogen, Inc. *

    62,772       16,133,032  

Bristol-Myers Squibb Co.

    433,711       25,172,586  

Coca-Cola Co.

    670,145       37,514,717  

Danaher Corp.

    82,134       20,377,445  

Eli Lilly & Co.

    17,698       9,506,127  

Regeneron Pharmaceuticals, Inc. *

    40,222       33,101,097  

S&P Global, Inc.

    56,936       20,804,984  

UnitedHealth Group, Inc.

    108,427       54,667,809  

Vertex Pharmaceuticals, Inc. *

    52,594       18,289,038  
   

 

 

 
    287,544,504  
   

 

 

 

Energy - 5.2%

 

Baker Hughes Co.

    852,193       30,099,457  

ConocoPhillips

    171,888       20,592,182  

Pioneer Natural Resources Co.

    134,855       30,955,965  
   

 

 

 
    81,647,604  
   

 

 

 

Financial - 14.7%

 

American Express Co.

    170,925       25,500,301  

Ameriprise Financial, Inc.

    66,179       21,817,893  

Mastercard, Inc. Class A

    115,296       45,646,839  

Morgan Stanley

    425,268       34,731,637  

Progressive Corp.

    195,574       27,243,458  

Prologis, Inc. REIT

    230,485       25,862,722  

U.S. Bancorp

    428,144       14,154,441  

Wells Fargo & Co.

    913,174       37,312,290  
   

 

 

 
    232,269,581  
   

 

 

 

Industrial - 10.6%

 

Deere & Co.

    96,724       36,501,703  

Eaton Corp. PLC

    148,699       31,714,523  

Howmet Aerospace, Inc.

    181,345       8,387,206  

Norfolk Southern Corp.

    109,954       21,653,241  

Northrop Grumman Corp.

    72,565       31,942,388  

Trane Technologies PLC

    89,786       18,218,477  

Vulcan Materials Co.

    96,663       19,527,859  
   

 

 

 
    167,945,397  
   

 

 

 

Technology - 27.4%

 

Accenture PLC Class A

    64,444       19,791,397  

Advanced Micro Devices, Inc. *

    125,397       12,893,319  
   

Shares

   

Value

 

Analog Devices, Inc.

    70,202       $12,291,668  

Apple, Inc.

    495,245       84,790,896  

ASML Holding NV (Netherlands)

    7,644       4,499,717  

Intuit, Inc.

    29,229       14,934,265  

Microsoft Corp.

    465,813       147,080,455  

NVIDIA Corp.

    136,620       59,428,334  

NXP Semiconductors NV (China)

    216,802       43,343,056  

Oracle Corp.

    272,526       28,865,954  

Seagate Technology Holdings PLC

    98,507       6,496,537  
   

 

 

 
    434,415,598  
   

 

 

 

Utilities - 4.2%

 

NextEra Energy, Inc.

    694,694       39,799,019  

PG&E Corp. *

    1,696,234       27,360,255  
   

 

 

 
    67,159,274  
   

 

 

 

Total Common Stocks
(Cost $1,499,096,731)

      1,581,605,689  
   

 

 

 
   

Principal

Amount

       

SHORT-TERM INVESTMENTS - 0.6%

 

Repurchase Agreements - 0.6%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of
$9,187,841; collateralized by U.S.
Treasury Notes: 1.375% due 11/15/31
and value $9,367,770)

    $9,184,053       9,184,053  
   

 

 

 

Total Short-Term Investments
(Cost $9,184,053)

      9,184,053  
   

 

 

 

TOTAL INVESTMENTS - 100.3%
(Cost $1,508,280,784)

      1,590,789,742  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.3%)

 

    (5,171,164
   

 

 

 

NET ASSETS - 100.0%

      $1,585,618,578  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

103

PACIFIC SELECT FUND

LARGE-CAP CORE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $1,581,605,689        $1,581,605,689        $-        $-  
 

Short-Term Investments

     9,184,053        -        9,184,053        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,590,789,742        $1,581,605,689        $9,184,053        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

104

PACIFIC SELECT FUND

LARGE-CAP GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

COMMON STOCKS - 100.0%

 

Basic Materials - 0.0%

 

Codexis, Inc. *

    177,594       $335,653  
   

 

 

 

Communications - 17.4%

 

Airbnb, Inc. Class A *

    66,871       9,175,370  

Alphabet, Inc. Class A *

    435,511       56,990,969  

Amazon.com, Inc. *

    335,605       42,662,108  

Booking Holdings, Inc. *

    2,314       7,136,260  

MercadoLibre, Inc. * (Brazil)

    8,444       10,705,979  

Netflix, Inc. *

    49,467       18,678,739  

Nice Ltd. ADR * (Israel)

    20,249       3,442,330  

Shopify, Inc. Class A * (Canada)

    75,600       4,125,492  

Uber Technologies, Inc. *

    942,192       43,331,410  
   

 

 

 
    196,248,657  
   

 

 

 

Consumer, Cyclical - 8.6%

 

BYD Co. Ltd. Class H (China)

    160,000       4,929,635  

Dollarama, Inc. (Canada)

    9,000       620,077  

Ferguson PLC

    65,099       10,713,350  

Floor & Decor Holdings, Inc. Class A *

    39,777       3,599,819  

Flutter Entertainment PLC * (Australia)

    48,201       7,842,606  

Kura Sushi USA, Inc. Class A *

    18,077       1,195,251  

LVMH Moet Hennessy Louis Vuitton SE (France)

    8,480       6,400,962  

Ryanair Holdings PLC ADR * (Ireland)

    57,069       5,547,677  

Samsonite International SA * ~

    2,011,032       6,877,178  

TJX Cos., Inc.

    144,654       12,856,848  

Universal Music Group NV (Netherlands)

    876,396       22,870,579  

Warner Music Group Corp. Class A

    430,024       13,502,754  
   

 

 

 
    96,956,736  
   

 

 

 

Consumer, Non-Cyclical - 20.5%

 

2seventy bio, Inc. *

    9,122       35,758  

Aclaris Therapeutics, Inc. *

    25,112       172,017  

Affimed NV * (Germany)

    54,069       25,840  

Alnylam Pharmaceuticals, Inc. *

    43,106       7,634,073  

Arcellx, Inc. *

    9,348       335,406  

Arrowhead Pharmaceuticals, Inc. *

    2,134       57,341  

AstraZeneca PLC ADR (United Kingdom)

    94,564       6,403,874  

Axonics, Inc. *

    23,000       1,290,760  

Beam Therapeutics, Inc. *

    11,895       286,075  

Bio-Techne Corp.

    40,383       2,748,871  

BioMarin Pharmaceutical, Inc. *

    25,200       2,229,696  

Blueprint Medicines Corp. *

    6,400       321,408  

Boston Beer Co., Inc. Class A *

    8,138       3,169,995  

Boston Scientific Corp. *

    325,571       17,190,149  

Bruker Corp.

    78,159       4,869,306  

Charles River Laboratories International, Inc. *

    18,885       3,701,082  

Cytokinetics, Inc. *

    29,649       873,459  

Danaher Corp.

    22,950       5,693,895  

Eli Lilly & Co.

    50,334       27,035,901  

Equifax, Inc.

    78,488       14,377,432  

Estee Lauder Cos., Inc. Class A

    26,900       3,888,395  

Evelo Biosciences, Inc. *

    2,066       8,099  

Galapagos NV ADR * (Belgium)

    67,803       2,342,594  

Gamida Cell Ltd. * (Israel)

    334,500       344,535  

Gartner, Inc. *

    11,985       4,118,166  

Genmab AS * (Denmark)

    4,870       1,724,226  

HealthEquity, Inc. *

    167,728       12,252,530  

Hookipa Pharma, Inc. *

    107,259       66,071  

Immunocore Holdings PLC ADR *
(United Kingdom)

    28,357       1,471,728  

Insmed, Inc. *

    107,027       2,702,432  

Inspire Medical Systems, Inc. *

    10,800       2,143,152  

Kenvue, Inc.

    22,600       453,808  

Lantheus Holdings, Inc. *

    11,900       826,812  
   

    

Shares

   

    

Value

 

Legend Biotech Corp. ADR *

    26,600       $1,786,722  

Monster Beverage Corp. *

    191,841       10,157,981  

Penumbra, Inc. *

    8,225       1,989,710  

Regeneron Pharmaceuticals, Inc. *

    12,643       10,404,683  

Repligen Corp. *

    26,555       4,222,511  

Revance Therapeutics, Inc. *

    85,405       979,595  

Sarepta Therapeutics, Inc. *

    9,000       1,090,980  

Sartorius Stedim Biotech (France)

    16,000       3,806,455  

Seagen, Inc. *

    40,631       8,619,867  

Synlogic, Inc. *

    6,547       18,396  

Thermo Fisher Scientific, Inc.

    13,728       6,948,702  

TransUnion

    69,571       4,994,502  

UnitedHealth Group, Inc.

    35,285       17,790,344  

Vertex Pharmaceuticals, Inc. *

    74,518       25,912,889  

Vor BioPharma, Inc. *

    76,132       161,400  

XOMA Corp. *

    46,575       656,242  
   

 

 

 
    230,335,865  
   

 

 

 

Energy - 4.1%

 

Baker Hughes Co.

    177,497       6,269,194  

Cheniere Energy, Inc.

    109,417       18,158,845  

New Fortress Energy, Inc.

    76,868       2,519,733  

Range Resources Corp.

    190,100       6,161,141  

Reliance Industries Ltd. GDR ~ (India)

    206,898       11,560,312  

Southwestern Energy Co. *

    296,000       1,909,200  
   

 

 

 
    46,578,425  
   

 

 

 

Financial - 4.8%

 

Apollo Global Management, Inc.

    12,700       1,139,952  

Arthur J Gallagher & Co.

    43,889       10,003,620  

BRP Group, Inc. Class A *

    115,199       2,676,073  

CME Group, Inc.

    63,822       12,778,441  

HDFC Bank Ltd. ADR (India)

    7,466       440,568  

Marsh & McLennan Cos., Inc.

    27,383       5,210,985  

Mastercard, Inc. Class A

    54,249       21,477,721  

Rocket Cos., Inc. Class A *

    28,400       232,312  
   

 

 

 
    53,959,672  
   

 

 

 

Industrial - 7.3%

 

Agilent Technologies, Inc.

    9,900       1,107,018  

Aspen Aerogels, Inc. *

    81,813       703,592  

Bloom Energy Corp. Class A *

    13,957       185,070  

Eaton Corp. PLC

    66,248       14,129,373  

Energy Recovery, Inc. *

    44,813       950,484  

Flex Ltd. *

    269,011       7,257,917  

General Electric Co.

    156,539       17,305,386  

HD Hyundai Electric Co. Ltd. (South Korea)

    4,980       244,734  

Hubbell, Inc.

    9,856       3,088,969  

Ingersoll Rand, Inc.

    180,162       11,479,922  

Jabil, Inc.

    66,137       8,392,124  

Parker-Hannifin Corp.

    19,015       7,406,723  

Universal Display Corp.

    41,877       6,574,270  

Westinghouse Air Brake Technologies Corp.

    30,099       3,198,621  
   

 

 

 
    82,024,203  
   

 

 

 

Technology - 37.3%

 

AIXTRON SE (Germany)

    118,310       4,333,548  

Allegro MicroSystems, Inc. * (Japan)

    54,131       1,728,944  

Apple, Inc.

    286,926       49,124,600  

ASML Holding NV (Netherlands)

    8,858       5,214,350  

BE Semiconductor Industries NV (Netherlands)

    63,577       6,218,237  

Confluent, Inc. Class A *

    194,373       5,755,385  

HubSpot, Inc. *

    16,810       8,278,925  

KBR, Inc.

    201,300       11,864,622  

KLA Corp.

    14,387       6,598,741  

Manhattan Associates, Inc. *

    40,081       7,922,410  

Microsoft Corp.

    499,393       157,683,340  

MongoDB, Inc. *

    34,094       11,791,751  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

105

PACIFIC SELECT FUND

LARGE-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Monolithic Power Systems, Inc.

    7,128       $3,293,136  

NVIDIA Corp.

    189,493       82,427,560  

NXP Semiconductors NV (China)

    46,123       9,220,910  

Oracle Corp.

    160,471       16,997,088  

ServiceNow, Inc. *

    7,008       3,917,192  

Simulations Plus, Inc.

    15,078       628,753  

SiTime Corp. *

    46,980       5,367,465  

Snowflake, Inc. Class A *

    29,400       4,491,438  

Taiwan Semiconductor Manufacturing Co. Ltd. ADR (Taiwan)

    194,453       16,897,966  

Volue ASA * (Norway)

    193,469       393,390  
   

 

 

 
    420,149,751  
   

 

 

 

Total Common Stocks
(Cost $994,426,866)

      1,126,588,962  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.3%

 

Repurchase Agreements - 0.3%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of
$3,050,317; collateralized by U.S. Treasury
Notes: 3.625% due 05/15/26 and value
$3,110,134)

    $3,049,059       3,049,059  
   

 

 

 

Total Short-Term Investments
(Cost $3,049,059)

      3,049,059  
   

 

 

 

TOTAL INVESTMENTS - 100.3%
(Cost $997,475,925)

      1,129,638,021  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.3%)

 

    (3,551,673
   

 

 

 

NET ASSETS - 100.0%

      $1,126,086,348  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

106

PACIFIC SELECT FUND

LARGE-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $335,653        $335,653        $-        $-  
 

Communications

     196,248,657        196,248,657        -        -  
 

Consumer, Cyclical

     96,956,736        37,322,426        59,634,310        -  
 

Consumer, Non-Cyclical

     230,335,865        224,805,184        5,530,681        -  
 

Energy

     46,578,425        44,515,411        2,063,014        -  
 

Financial

     53,959,672        53,959,672        -        -  
 

Industrial

     82,024,203        81,779,469        244,734        -  
 

Technology

     420,149,751        409,597,966        10,551,785        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     1,126,588,962        1,048,564,438        78,024,524        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     3,049,059        -        3,049,059        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     1,129,638,021        1,048,564,438        81,073,583        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Due to Custodian

     (311      -        (311      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (311      -        (311      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,129,637,710        $1,048,564,438        $81,073,272        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

107

PACIFIC SELECT FUND

LARGE-CAP VALUE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 96.9%

 

Basic Materials - 4.7%

 

Air Products & Chemicals, Inc.

    119,777       $33,944,802  

Sherwin-Williams Co.

    73,148       18,656,397  
   

 

 

 
    52,601,199  
   

 

 

 

Communications - 10.9%

 

Alphabet, Inc. Class A *

    119,684       15,661,848  

Charter Communications, Inc. Class A *

    59,413       26,131,026  

Comcast Corp. Class A

    571,378       25,334,900  

Meta Platforms, Inc. Class A *

    80,508       24,169,307  

Motorola Solutions, Inc.

    115,399       31,416,224  
   

 

 

 
      122,713,305  
   

 

 

 

Consumer, Cyclical - 1.6%

 

Home Depot, Inc.

    60,702       18,341,716  
   

 

 

 

Consumer, Non-Cyclical - 16.6%

 

Becton Dickinson & Co.

    107,653       27,831,530  

Elevance Health, Inc.

    58,153       25,320,979  

Haleon PLC ADR

    2,201,527       18,338,720  

Johnson & Johnson

    158,960       24,758,020  

McKesson Corp.

    63,272       27,513,829  

Merck & Co., Inc.

    128,388       13,217,545  

PepsiCo, Inc.

    98,131       16,627,317  

UnitedHealth Group, Inc.

    64,933       32,738,569  
   

 

 

 
    186,346,509  
   

 

 

 

Energy - 10.7%

 

Chevron Corp.

    189,182       31,899,869  

ConocoPhillips

    467,041       55,951,512  

Enterprise Products Partners LP

    1,202,769       32,919,787  
   

 

 

 
    120,771,168  
   

 

 

 

Financial - 24.0%

 

American Express Co.

    210,623       31,422,845  

American Tower Corp. REIT

    85,249       14,019,198  

Bank of America Corp.

    1,091,927       29,896,961  

Berkshire Hathaway, Inc. Class B *

    62,111       21,757,483  

Charles Schwab Corp.

    596,745       32,761,300  

JPMorgan Chase & Co.

    314,443       45,600,524  

Marsh & McLennan Cos., Inc.

    105,205       20,020,512  

Progressive Corp.

    159,639       22,237,713  

Travelers Cos., Inc.

    117,055       19,116,252  

U.S. Bancorp

    380,009       12,563,098  

Visa, Inc. Class A

    85,714       19,715,077  
   

 

 

 
    269,110,963  
   

 

 

 

Industrial - 14.4%

 

Deere & Co.

    69,166       26,101,865  

Illinois Tool Works, Inc.

    75,983       17,499,645  

Martin Marietta Materials, Inc.

    39,178       16,081,785  

Northrop Grumman Corp.

    46,200       20,336,778  

Otis Worldwide Corp.

    165,213       13,268,256  

RTX Corp.

    187,003       13,458,606  

TE Connectivity Ltd.

    199,714       24,670,670  

United Parcel Service, Inc. Class B

    118,418       18,457,814  

Vertiv Holdings Co.

    312,295       11,617,374  
   

 

 

 
    161,492,793  
   

 

 

 

Technology - 8.1%

 

 

Intel Corp.

    1,350,777       48,020,122  

Lam Research Corp.

    29,191       18,296,043  
   

Shares

   

Value

 

Microsoft Corp.

    41,886       $13,225,505  

Oracle Corp.

    107,118       11,345,939  
   

 

 

 
    90,887,609  
   

 

 

 

Utilities - 5.9%

 

Edison International

    384,161       24,313,550  

Sempra

    625,264       42,536,710  
   

 

 

 
    66,850,260  
   

 

 

 

Total Common Stocks
(Cost $793,063,020)

      1,089,115,522  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.7%

 

Repurchase Agreements - 2.7%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $30,268,042; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $30,860,769)

    $30,255,562       30,255,562  
   

 

 

 

Total Short-Term Investments
(Cost $30,255,562)

      30,255,562  
   

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $823,318,582)

      1,119,371,084  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

      4,204,621  
   

 

 

 

NET ASSETS - 100.0%

      $1,123,575,705  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

108

PACIFIC SELECT FUND

LARGE-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $1,089,115,522        $1,089,115,522        $-        $-  
 

Short-Term Investments

     30,255,562        -        30,255,562        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,119,371,084        $1,089,115,522        $30,255,562        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

109

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 99.5%

 

Basic Materials - 3.1%

 

Agnico Eagle Mines Ltd. (Canada)

    57,806       $2,627,283  

Alamos Gold, Inc. Class A (Canada)

    190,937       2,155,679  

Cameco Corp. (Canada)

    74,193       2,941,011  

CF Industries Holdings, Inc.

    9,067       777,405  

Freeport-McMoRan, Inc.

    27,887       1,039,906  

Hecla Mining Co.

    258,303       1,009,965  

Huntsman Corp.

    42,576       1,038,854  

Mosaic Co.

    15,864       564,758  

Nucor Corp.

    18,207       2,846,664  

Westlake Corp.

    17,651       2,200,550  
   

 

 

 
    17,202,075  
   

 

 

 

Communications - 1.2%

 

Arista Networks, Inc. *

    30,228       5,559,836  

Fox Corp. Class A

    14,322       446,846  

Zillow Group, Inc. Class A *

    10,297       461,203  
   

 

 

 
    6,467,885  
   

 

 

 

Consumer, Cyclical - 13.3%

 

Brunswick Corp.

    31,132       2,459,428  

Casey’s General Stores, Inc.

    17,502       4,752,143  

Chipotle Mexican Grill, Inc. *

    2,162       3,960,416  

Copart, Inc. *

    49,618       2,138,040  

Darden Restaurants, Inc.

    9,822       1,406,707  

Delta Air Lines, Inc.

    135,418       5,010,466  

DR Horton, Inc.

    18,307       1,967,453  

Floor & Decor Holdings, Inc. Class A *

    9,420       852,510  

Las Vegas Sands Corp.

    95,325       4,369,698  

Lear Corp.

    11,795       1,582,889  

Live Nation Entertainment, Inc. *

    39,465       3,277,174  

LKQ Corp.

    22,480       1,112,985  

Lululemon Athletica, Inc. *

    15,464       5,963,073  

Murphy USA, Inc.

    12,110       4,138,350  

NVR, Inc. *

    702       4,186,237  

O’Reilly Automotive, Inc. *

    4,675       4,248,920  

Polaris, Inc.

    16,404       1,708,313  

Ross Stores, Inc.

    19,061       2,152,940  

Southwest Airlines Co.

    35,775       968,429  

Texas Roadhouse, Inc.

    29,644       2,848,788  

Thor Industries, Inc.

    6,475       615,967  

TKO Group Holdings, Inc.

    27,574       2,317,870  

Tractor Supply Co.

    18,512       3,758,862  

Ulta Beauty, Inc. *

    5,157       2,059,964  

Vail Resorts, Inc.

    14,327       3,179,018  

WW Grainger, Inc.

    3,305       2,286,531  

YETI Holdings, Inc. *

    11,707       564,511  
   

 

 

 
    73,887,682  
   

 

 

 

Consumer, Non-Cyclical - 20.9%

 

Albertsons Cos., Inc. Class A

    152,449       3,468,215  

Align Technology, Inc. *

    889       271,429  

BioMarin Pharmaceutical, Inc. *

    127,464       11,278,015  

Booz Allen Hamilton Holding Corp.

    27,222       2,974,548  

Cencora, Inc.

    37,542       6,756,434  

Centene Corp. *

    72,313       4,980,919  

Corteva, Inc.

    43,902       2,246,026  

CoStar Group, Inc. *

    30,575       2,350,912  

Darling Ingredients, Inc. *

    98,701       5,152,192  

Edwards Lifesciences Corp. *

    86,335       5,981,289  

Exelixis, Inc. *

    62,272       1,360,643  

FTI Consulting, Inc. *

    4,907       875,458  

Gartner, Inc. *

    13,457       4,623,960  

Henry Schein, Inc. *

    38,335       2,846,374  
   

Shares

   

Value

 

Hershey Co.

    18,316       $3,664,665  

Insulet Corp. *

    8,413       1,341,789  

Lamb Weston Holdings, Inc.

    13,331       1,232,584  

Molina Healthcare, Inc. *

    10,697       3,507,439  

Monster Beverage Corp. *

    75,055       3,974,162  

Morningstar, Inc.

    4,997       1,170,497  

Neurocrine Biosciences, Inc. *

    51,471       5,790,488  

Omnicell, Inc. *

    32,871       1,480,510  

Quanta Services, Inc.

    131,054       24,516,272  

RB Global, Inc. (Canada)

    79,800       4,987,500  

Tyson Foods, Inc. Class A

    51,899       2,620,381  

U-Haul Holding Co.

    44,558       2,334,394  

United Rentals, Inc.

    9,404       4,180,736  
   

 

 

 
    115,967,831  
   

 

 

 

Energy - 7.2%

 

Baker Hughes Co.

    127,349       4,497,967  

Cheniere Energy, Inc.

    17,357       2,880,568  

Enphase Energy, Inc. *

    4,378       526,017  

Halliburton Co.

    27,512       1,114,236  

Hess Corp.

    40,299       6,165,747  

Noble Corp. PLC

    166,843       8,450,598  

Pioneer Natural Resources Co.

    36,279       8,327,844  

Transocean Ltd. *

    555,444       4,560,195  

Valero Energy Corp.

    23,728       3,362,495  
   

 

 

 
    39,885,667  
   

 

 

 

Financial - 15.9%

 

Agree Realty Corp. REIT

    88,905       4,911,112  

Arch Capital Group Ltd. *

    71,222       5,677,106  

Axis Capital Holdings Ltd.

    60,574       3,414,556  

Brown & Brown, Inc.

    81,465       5,689,516  

Cboe Global Markets, Inc.

    88,721       13,859,107  

Citizens Financial Group, Inc.

    161,794       4,336,079  

Commerce Bancshares, Inc.

    16,779       805,056  

EastGroup Properties, Inc. REIT

    31,795       5,294,821  

Evercore, Inc. Class A

    48,138       6,637,268  

Everest Group Ltd.

    10,475       3,893,243  

First American Financial Corp.

    50,714       2,864,834  

First Horizon Corp.

    695,766       7,667,341  

Host Hotels & Resorts, Inc. REIT

    72,916       1,171,760  

Kinsale Capital Group, Inc.

    13,389       5,544,787  

Mid-America Apartment Communities, Inc. REIT

    25,758       3,313,767  

STAG Industrial, Inc. REIT

    246,684       8,513,065  

White Mountains Insurance Group Ltd.

    3,141       4,697,962  
   

 

 

 
    88,291,380  
   

 

 

 

Industrial - 15.2%

 

AGCO Corp.

    14,777       1,747,824  

Agilent Technologies, Inc.

    47,532       5,315,028  

AMETEK, Inc.

    24,301       3,590,716  

Builders FirstSource, Inc. *

    8,647       1,076,465  

BWX Technologies, Inc.

    31,394       2,353,922  

Carrier Global Corp.

    65,642       3,623,438  

Chart Industries, Inc. *

    69,316       11,722,722  

Clean Harbors, Inc. *

    25,060       4,194,042  

Eagle Materials, Inc.

    28,432       4,734,497  

Flex Ltd. *

    94,092       2,538,602  

Garmin Ltd.

    7,722       812,354  

Generac Holdings, Inc. *

    9,611       1,047,215  

Hubbell, Inc.

    28,370       8,891,442  

Huntington Ingalls Industries, Inc.

    8,471       1,732,997  

Ingersoll Rand, Inc.

    16,689       1,063,423  

Keysight Technologies, Inc. *

    23,922       3,165,120  

Kirby Corp. *

    10,759       890,845  

Knight-Swift Transportation Holdings, Inc.

    31,254       1,567,388  

L3Harris Technologies, Inc.

    3,170       551,960  

Martin Marietta Materials, Inc.

    6,443       2,644,723  

Owens Corning

    27,714       3,780,467  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

110

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Parker-Hannifin Corp.

    7,674       $2,989,176  

Rockwell Automation, Inc.

    1,737       496,556  

Textron, Inc.

    64,862       5,068,317  

Timken Co.

    51,679       3,797,890  

Universal Display Corp.

    10,465       1,642,900  

Vulcan Materials Co.

    16,053       3,243,027  
   

 

 

 
    84,283,056  
   

 

 

 

Technology - 17.0%

 

AppLovin Corp. Class A *

    130,695       5,222,572  

Cadence Design Systems, Inc. *

    11,752       2,753,494  

Crowdstrike Holdings, Inc. Class A *

    35,370       5,920,231  

Dell Technologies, Inc. Class C

    59,346       4,088,939  

DXC Technology Co. *

    54,490       1,135,027  

Jack Henry & Associates, Inc.

    10,502       1,587,272  

KLA Corp.

    2,885       1,323,234  

Lumentum Holdings, Inc. *

    32,429       1,465,142  

Marvell Technology, Inc.

    94,431       5,111,550  

Microchip Technology, Inc.

    7,393       577,024  

Monolithic Power Systems, Inc.

    4,816       2,224,992  

ON Semiconductor Corp. *

    44,418       4,128,653  

Palantir Technologies, Inc. Class A *

    1,614,817       25,837,072  

Paycom Software, Inc.

    3,923       1,017,116  

Pure Storage, Inc. Class A *

    114,109       4,064,562  

Skyworks Solutions, Inc.

    25,345       2,498,763  

Splunk, Inc. *

    38,296       5,600,790  

Take-Two Interactive Software, Inc. *

    25,733       3,612,656  

Teradata Corp. *

    156,886       7,063,008  

Teradyne, Inc.

    47,989       4,820,975  

Workday, Inc. Class A *

    16,109       3,461,019  

Zebra Technologies Corp. Class A *

    1,692       400,209  
   

 

 

 
    93,914,300  
   

 

 

 

Utilities - 5.7%

 

Atmos Energy Corp.

    53,105       5,625,413  

CenterPoint Energy, Inc.

    462,595       12,420,676  

Evergy, Inc.

    76,955       3,901,618  

PPL Corp.

    282,419       6,653,792  

WEC Energy Group, Inc.

    36,632       2,950,707  
   

 

 

 
    31,552,206  
   

 

 

 

Total Common Stocks
(Cost $536,078,596)

      551,452,082  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.3%

   

Repurchase Agreements - 0.3%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $1,913,830; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $1,951,385)

    $1,913,041       1,913,041  
   

 

 

 
         

Value

 

Total Short-Term Investments
(Cost $1,913,041)

      $1,913,041  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $537,991,637)

      553,365,123  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

 

    1,185,587  
   

 

 

 

NET ASSETS - 100.0%

      $554,550,710  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

111

PACIFIC SELECT FUND

MID-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $551,452,082        $551,452,082        $-        $-  
 

Short-Term Investments

     1,913,041        -        1,913,041        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $553,365,123        $551,452,082        $1,913,041        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

112

PACIFIC SELECT FUND

MID-CAP GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 100.0%

   

Communications - 7.1%

   

Arista Networks, Inc. *

    20,150       $3,706,190  

FactSet Research Systems, Inc.

    16,925       7,400,625  

Pinterest, Inc. Class A *

    854,988       23,110,326  

Trade Desk, Inc. Class A *

    230,710       18,029,986  
   

 

 

 
      52,247,127  
   

 

 

 

Consumer, Cyclical - 17.5%

   

BorgWarner, Inc.

    433,766       17,511,133  

Copart, Inc. *

    273,905       11,802,567  

Fastenal Co.

    225,575       12,325,418  

Floor & Decor Holdings, Inc. Class A *

    154,807       14,010,034  

Foot Locker, Inc.

    289,113       5,016,111  

Fox Factory Holding Corp. *

    47,115       4,668,154  

Levi Strauss & Co. Class A

    543,412       7,379,535  

Lululemon Athletica, Inc. *

    30,914       11,920,748  

National Vision Holdings, Inc. *

    274,111       4,435,116  

On Holding AG Class A * (Switzerland)

    388,815       10,816,833  

Pool Corp.

    45,634       16,250,267  

Vail Resorts, Inc.

    59,671       13,240,398  
   

 

 

 
      129,376,314  
   

 

 

 

Consumer, Non-Cyclical - 29.8%

   

Bio-Techne Corp.

    190,905       12,994,903  

Brown-Forman Corp. Class B

    199,751       11,523,635  

Cooper Cos., Inc.

    34,624       11,010,778  

CoStar Group, Inc. *

    428,321       32,933,602  

Dexcom, Inc. *

    224,054       20,904,238  

Edwards Lifesciences Corp. *

    151,577       10,501,255  

Envista Holdings Corp. *

    374,716       10,447,082  

GE HealthCare Technologies, Inc. *

    54,997       3,741,996  

Genmab AS ADR * (Denmark)

    267,501       9,434,760  

IDEXX Laboratories, Inc. *

    26,799       11,718,399  

Inspire Medical Systems, Inc. *

    35,300       7,004,932  

Intuitive Surgical, Inc. *

    53,109       15,523,230  

Ionis Pharmaceuticals, Inc. *

    117,275       5,319,594  

MarketAxess Holdings, Inc.

    85,364       18,237,165  

Repligen Corp. *

    96,634       15,365,772  

Rollins, Inc.

    97,637       3,644,789  

West Pharmaceutical Services, Inc.

    32,220       12,089,266  

WillScot Mobile Mini Holdings Corp. *

    204,177       8,491,722  
   

 

 

 
      220,887,118  
   

 

 

 

Financial - 1.4%

   

Kinsale Capital Group, Inc.

    25,296       10,475,832  
   

 

 

 

Industrial - 22.1%

   

Agilent Technologies, Inc.

    89,827       10,044,455  

AO Smith Corp.

    170,854       11,298,575  

oherent Corp. *

    250,883       8,188,821  

Generac Holdings, Inc. *

    101,136       11,019,778  

HEICO Corp. Class A

    117,509       15,184,513  

Howmet Aerospace, Inc.

    202,158       9,349,807  

Keysight Technologies, Inc. *

    74,062       9,799,143  

Lincoln Electric Holdings, Inc.

    54,725       9,948,458  

Littelfuse, Inc.

    36,815       9,105,086  

Martin Marietta Materials, Inc.

    25,464       10,452,463  

Mettler-Toledo International, Inc. *

    4,644       5,145,877  

Novanta, Inc. *

    69,457       9,962,912  

Trex Co., Inc. *

    181,025       11,156,571  

Trimble, Inc. *

    226,821       12,216,579  

Universal Display Corp.

    89,027       13,976,349  

Westinghouse Air Brake Technologies Corp.

    66,325       7,048,358  
   

 

 

 
      163,897,745  
   

 

 

 
   

Shares

   

Value

 

Technology - 22.1%

   

Crowdstrike Holdings, Inc. Class A *

    85,349       $14,285,716  

DocuSign, Inc. *

    62,781       2,636,802  

DoubleVerify Holdings, Inc. *

    256,533       7,170,097  

EngageSmart, Inc. *

    243,137       4,374,035  

HubSpot, Inc. *

    19,994       9,847,045  

Lattice Semiconductor Corp. *

    97,124       8,345,865  

Microchip Technology, Inc.

    191,967       14,983,024  

Monolithic Power Systems, Inc.

    37,174       17,174,388  

Paycom Software, Inc.

    52,454       13,599,749  

Teradyne, Inc.

    148,929       14,961,407  

Tyler Technologies, Inc. *

    40,709       15,719,373  

Veeva Systems, Inc. Class A *

    61,579       12,528,248  

Workday, Inc. Class A *

    45,396       9,753,331  

Workiva, Inc. *

    109,213       11,067,645  

Zebra Technologies Corp. Class A *

    30,704       7,262,417  
   

 

 

 
      163,709,142  
   

 

 

 

Total Common Stocks
(Cost $743,635,115)

      740,593,278  
   

 

 

 
   

Principal

Amount

       

SHORT-TERM INVESTMENTS - 0.4%

   

Repurchase Agreements - 0.4%

   

Fixed Income Clearing Corp. 4.950% due 10/02/23 (Dated 09/29/23, repurchase price of $2,647,075; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $2,698,930)

    $2,645,984       2,645,984  
   

 

 

 

Total Short-Term Investments
(Cost $2,645,984)

      2,645,984  
   

 

 

 

TOTAL INVESTMENTS - 100.4%
(Cost $746,281,099)

      743,239,262  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.4%)

 

    (2,923,719
   

 

 

 

NET ASSETS - 100.0%

      $740,315,543  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

113

PACIFIC SELECT FUND

MID-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Common Stocks

     $740,593,278        $740,593,278        $-        $-  
 

Short-Term Investments

     2,645,984        -        2,645,984        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $743,239,262        $740,593,278        $2,645,984        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

114

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 97.8%

 

Basic Materials - 3.7%

 

Axalta Coating Systems Ltd. *

    93,199       $2,507,053  

CF Industries Holdings, Inc.

    32,055       2,748,396  

DuPont de Nemours, Inc.

    63,290       4,720,801  

FMC Corp.

    27,201       1,821,651  

PPG Industries, Inc.

    34,949       4,536,380  
   

 

 

 
    16,334,281  
   

 

 

 

Communications - 3.5%

 

CDW Corp.

    8,974       1,810,594  

eBay, Inc.

    67,105       2,958,660  

Expedia Group, Inc. *

    30,232       3,116,012  

Gen Digital, Inc.

    171,474       3,031,661  

Interpublic Group of Cos., Inc.

    63,802       1,828,565  

Match Group, Inc. *

    43,472       1,703,016  

TEGNA, Inc.

    83,904       1,222,481  
   

 

 

 
    15,670,989  
   

 

 

 

Consumer, Cyclical - 13.3%

 

Alaska Air Group, Inc. *

    39,642       1,469,925  

AutoZone, Inc. *

    2,874       7,299,931  

Boyd Gaming Corp.

    31,908       1,940,964  

Churchill Downs, Inc.

    6,989       811,004  

Darden Restaurants, Inc.

    17,321       2,480,714  

Domino’s Pizza, Inc.

    4,118       1,559,857  

Ferguson PLC

    24,828       4,083,461  

Gentex Corp.

    94,731       3,082,547  

Harley-Davidson, Inc.

    66,834       2,209,532  

International Game Technology PLC

    43,458       1,317,646  

Las Vegas Sands Corp.

    43,058       1,973,779  

Lear Corp.

    10,063       1,350,455  

LKQ Corp.

    27,156       1,344,493  

Marriott International, Inc. Class A

    18,756       3,686,679  

NVR, Inc. *

    462       2,755,045  

Polaris, Inc.

    30,663       3,193,245  

Ralph Lauren Corp.

    12,233       1,420,129  

Resideo Technologies, Inc. *

    95,281       1,505,440  

Ross Stores, Inc.

    42,315       4,779,479  

Tempur Sealy International, Inc.

    90,525       3,923,353  

WESCO International, Inc.

    10,006       1,439,063  

Whirlpool Corp.

    20,386       2,725,608  

Wyndham Hotels & Resorts, Inc.

    40,494       2,815,953  
   

 

 

 
    59,168,302  
   

 

 

 

Consumer, Non-Cyclical - 14.8%

 

AMN Healthcare Services, Inc. *

    18,716       1,594,229  

ASGN, Inc. *

    16,733       1,366,751  

Avantor, Inc. *

    154,467       3,256,164  

Avery Dennison Corp.

    16,945       3,095,343  

Cencora, Inc.

    40,972       7,373,731  

Centene Corp. *

    30,571       2,105,731  

Coca-Cola Europacific Partners PLC (United Kingdom)

    37,082       2,316,883  

Corteva, Inc.

    81,542       4,171,689  

FleetCor Technologies, Inc. *

    9,170       2,341,468  

Fortrea Holdings, Inc. *

    62,637       1,790,792  

Global Payments, Inc.

    12,067       1,392,411  

H&R Block, Inc.

    43,700       1,881,722  

HCA Healthcare, Inc.

    6,523       1,604,528  

Humana, Inc.

    4,545       2,211,233  

ICON PLC *

    22,014       5,420,948  

IQVIA Holdings, Inc. *

    7,707       1,516,352  

Kenvue, Inc.

    95,116       1,909,929  

Laboratory Corp. of America Holdings

    7,162       1,439,920  
   

Shares

   

Value

 

Molina Healthcare, Inc. *

    11,263       $3,693,025  

RB Global, Inc. (Canada)

    57,620       3,601,250  

Robert Half, Inc.

    24,961       1,829,142  

TransUnion

    32,214       2,312,643  

US Foods Holding Corp. *

    126,551       5,024,075  

Zimmer Biomet Holdings, Inc.

    24,509       2,750,400  
   

 

 

 
    66,000,359  
   

 

 

 

Energy - 6.2%

 

Devon Energy Corp.

    51,307       2,447,344  

Diamondback Energy, Inc.

    14,092       2,182,569  

Halliburton Co.

    172,499       6,986,209  

Marathon Petroleum Corp.

    19,836       3,001,980  

Pioneer Natural Resources Co.

    12,914       2,964,409  

Schlumberger NV

    59,356       3,460,455  

Teck Resources Ltd. Class B (Canada)

    52,739       2,272,523  

Valero Energy Corp.

    12,229       1,732,972  

Weatherford International PLC *

    29,948       2,705,203  
   

 

 

 
    27,753,664  
   

 

 

 

Financial - 21.0%

 

Aflac, Inc.

    37,776       2,899,308  

American Homes 4 Rent Class A REIT

    61,647       2,076,887  

Ameriprise Financial, Inc.

    28,778       9,487,531  

Aon PLC Class A

    8,963       2,905,984  

Arch Capital Group Ltd. *

    29,269       2,333,032  

Ares Management Corp. Class A

    32,772       3,371,256  

Arthur J Gallagher & Co.

    15,533       3,540,437  

Discover Financial Services

    59,438       5,149,114  

East West Bancorp, Inc.

    28,914       1,524,057  

EastGroup Properties, Inc. REIT

    9,107       1,516,589  

Equity LifeStyle Properties, Inc. REIT

    20,915       1,332,495  

Equity Residential REIT

    45,115       2,648,702  

Essex Property Trust, Inc. REIT

    11,812       2,505,207  

Evercore, Inc. Class A

    18,046       2,488,182  

Everest Group Ltd.

    10,403       3,866,483  

Fifth Third Bancorp

    170,709       4,324,059  

First American Financial Corp.

    54,169       3,060,007  

Globe Life, Inc.

    30,802       3,349,101  

Healthpeak Properties, Inc. REIT

    103,976       1,908,999  

Huntington Bancshares, Inc.

    345,260       3,590,704  

Lamar Advertising Co. Class A REIT

    37,288       3,112,429  

LPL Financial Holdings, Inc.

    13,525       3,214,216  

Regency Centers Corp. REIT

    69,066       4,105,283  

RenaissanceRe Holdings Ltd. (Bermuda)

    9,546       1,889,344  

Rexford Industrial Realty, Inc. REIT

    29,164       1,439,243  

Rocket Cos., Inc. Class A *

    100,349       820,855  

Ryan Specialty Holdings, Inc. *

    17,061       825,752  

Simon Property Group, Inc. REIT

    34,991       3,780,078  

SLM Corp.

    57,606       784,594  

Synchrony Financial

    33,247       1,016,361  

Travelers Cos., Inc.

    7,809       1,275,288  

VICI Properties, Inc. REIT

    78,566       2,286,271  

Voya Financial, Inc.

    16,719       1,110,977  

Welltower, Inc. REIT

    44,254       3,625,288  
   

 

 

 
    93,164,113  
   

 

 

 

Industrial - 21.7%

 

Advanced Drainage Systems, Inc.

    14,269       1,624,240  

Allegion PLC

    40,255       4,194,571  

AMETEK, Inc.

    53,994       7,978,153  

Atkore, Inc. *

    4,659       695,076  

Builders FirstSource, Inc. *

    11,891       1,480,311  

BWX Technologies, Inc.

    50,911       3,817,307  

Curtiss-Wright Corp.

    19,955       3,903,797  

Dover Corp.

    41,725       5,821,055  

Eaton Corp. PLC

    17,357       3,701,901  

Expeditors International of Washington, Inc.

    35,460       4,064,780  

Flex Ltd. *

    78,131       2,107,974  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

115

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Fortive Corp.

    35,801       $2,655,002  

Frontdoor, Inc. *

    78,568       2,403,395  

Garmin Ltd.

    23,589       2,481,563  

Hexcel Corp.

    35,605       2,319,310  

Howmet Aerospace, Inc.

    132,422       6,124,517  

ITT, Inc.

    18,545       1,815,741  

L3Harris Technologies, Inc.

    6,736       1,172,872  

Landstar System, Inc.

    19,475       3,445,907  

Masco Corp.

    80,782       4,317,798  

Mohawk Industries, Inc. *

    2,514       215,726  

Norfolk Southern Corp.

    19,461       3,832,455  

nVent Electric PLC

    54,884       2,908,303  

Otis Worldwide Corp.

    44,539       3,576,927  

Packaging Corp. of America

    13,773       2,114,844  

Parker-Hannifin Corp.

    19,474       7,585,512  

TE Connectivity Ltd.

    29,996       3,705,406  

Textron, Inc.

    81,027       6,331,450  
   

 

 

 
    96,395,893  
   

 

 

 

Technology - 9.1%

 

Check Point Software Technologies Ltd. * (Israel)

    32,620       4,347,594  

Cognizant Technology Solutions Corp. Class A

    46,565       3,154,313  

Dell Technologies, Inc. Class C

    65,309       4,499,790  

Fidelity National Information Services, Inc.

    25,006       1,382,082  

KLA Corp.

    3,375       1,547,977  

Leidos Holdings, Inc.

    16,638       1,533,358  

Microchip Technology, Inc.

    32,931       2,570,265  

NetApp, Inc.

    25,407       1,927,883  

NXP Semiconductors NV (China)

    10,654       2,129,948  

Qorvo, Inc. *

    24,005       2,291,757  

Science Applications International Corp.

    23,418       2,471,536  

SS&C Technologies Holdings, Inc.

    63,288       3,325,152  

Take-Two Interactive Software, Inc. *

    22,083       3,100,232  

Teradyne, Inc.

    39,943       4,012,674  

Zebra Technologies Corp. Class A *

    8,244       1,949,953  
   

 

 

 
    40,244,514  
   

 

 

 

Utilities - 4.5%

 

American Electric Power Co., Inc.

    46,804       3,520,597  

CenterPoint Energy, Inc.

    252,893       6,790,177  

DTE Energy Co.

    26,078       2,589,024  

Entergy Corp.

    47,090       4,355,825  

FirstEnergy Corp.

    75,684       2,586,879  
   

 

 

 
    19,842,502  
   

 

 

 

Total Common Stocks
(Cost $372,011,440)

      434,574,617  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.3%

   

Repurchase Agreements - 2.3%

   

State Street Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $10,382,452; collateralized by U.S. Treasury Notes and Federal Home Loan Mortgage Corp: 1.500% - 3.500% due 01/31/27 - 10/01/47 and value $10,585,776)

    $10,378,171       10,378,171  
   

 

 

 
         

Value

 

Total Short-Term Investments
(Cost $10,378,171)

      $10,378,171  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $382,389,611)

      444,952,788  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

 

    (615,362
   

 

 

 

NET ASSETS - 100.0%

      $444,337,426  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

116

PACIFIC SELECT FUND

MID-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $434,574,617        $434,574,617        $-        $-  
 

Short-Term Investments

     10,378,171        -        10,378,171        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $444,952,788        $434,574,617        $10,378,171        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

117

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Chinook Therapeutics, Inc. - Contingent
Value Rights * W

    3,680       $1,582  

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       -  
   

 

 

 
    1,973  
   

 

 

 

Total Rights
(Cost $1,435)

      1,973  
   

 

 

 

COMMON STOCKS - 98.5%

 

Basic Materials - 4.3%

 

5E Advanced Materials, Inc. *

    806       1,822  

AdvanSix, Inc.

    2,335       72,572  

Alcoa Corp.

    1,608       46,728  

American Vanguard Corp.

    2,008       21,947  

Ashland, Inc.

    636       51,948  

Avient Corp.

    49,261       1,739,898  

Caledonia Mining Corp. PLC (South Africa)

    1,328       13,094  

Carpenter Technology Corp.

    4,248       285,508  

Centrus Energy Corp. Class A *

    1,081       61,358  

Codexis, Inc. *

    5,527       10,446  

Coeur Mining, Inc. *

    29,442       65,361  

Commercial Metals Co.

    20,220       999,070  

Constellium SE *

    4,200       76,440  

Contango ORE, Inc. *

    119       2,159  

Dakota Gold Corp. *

    1,458       3,762  

Danimer Scientific, Inc. *

    7,699       15,937  

Ecovyst, Inc. *

    6,573       64,678  

Elementis PLC * (United Kingdom)

    1,497,351       2,258,498  

Encore Energy Corp. * (Canada)

    12,800       41,728  

Energy Fuels, Inc. *

    2,040       16,769  

Glatfelter Corp. *

    3,399       6,798  

Haynes International, Inc.

    1,083       50,381  

HB Fuller Co.

    509       34,922  

Hecla Mining Co.

    42,572       166,457  

i-80 Gold Corp. * (Canada)

    15,881       24,298  

Innospec, Inc.

    260       26,572  

Intrepid Potash, Inc. *

    934       23,499  

Kaiser Aluminum Corp.

    105       7,902  

Koppers Holdings, Inc.

    1,804       71,348  

Kronos Worldwide, Inc.

    1,867       14,469  

Mativ Holdings, Inc.

    4,772       68,049  

Minerals Technologies, Inc.

    2,877       157,545  

Oil-Dri Corp. of America

    316       19,513  

Olin Corp.

    5,226       261,195  

Origin Materials, Inc. *

    9,596       12,283  

Perimeter Solutions SA *

    13,559       61,558  

Piedmont Lithium, Inc. *

    1,084       43,035  

PolyMet Mining Corp. * (Canada)

    2,143       4,457  

Rayonier Advanced Materials, Inc. *

    5,277       18,681  

Rogers Corp. *

    399       52,457  

Schnitzer Steel Industries, Inc. Class A

    2,286       63,665  

Stepan Co.

    1,669       125,125  

Terawulf, Inc. *

    11,741       14,794  

Trinseo PLC

    3,160       25,817  

Tronox Holdings PLC

    106,427       1,430,379  

Uranium Energy Corp. *

    32,631       168,050  

Valhi, Inc.

    283       3,753  
   

 

 

 
    8,806,725  
   

 

 

 
   

Shares

   

Value

 

Communications - 1.9%

 

1-800-Flowers.com, Inc. Class A *

    2,093       $14,651  

ADTRAN Holdings, Inc.

    6,820       56,129  

Advantage Solutions, Inc. *

    7,277       20,667  

Allbirds, Inc. Class A *

    9,147       10,153  

AMC Networks, Inc. Class A *

    2,692       31,712  

Anterix, Inc. *

    95       2,981  

ATN International, Inc.

    972       30,676  

Aviat Networks, Inc. *

    984       30,701  

BARK, Inc. *

    11,595       13,914  

Blacksky Technology, Inc. *

    11,129       13,021  

Blade Air Mobility, Inc. *

    5,081       13,160  

Boston Omaha Corp. Class A *

    1,849       30,305  

Bumble, Inc. Class A *

    8,892       132,669  

Clear Channel Outdoor Holdings, Inc. *

    33,605       53,096  

Clearfield, Inc. *

    28,439       815,062  

Cogent Communications Holdings, Inc.

    1,398       86,536  

Consolidated Communications Holdings, Inc. *

    5,437       18,594  

ContextLogic, Inc. Class A *

    2,105       9,283  

DHI Group, Inc. *

    4,226       12,932  

DigitalBridge Group, Inc.

    9,781       171,950  

DZS, Inc. *

    1,951       4,097  

EchoStar Corp. Class A *

    2,951       49,429  

ePlus, Inc. *

    2,203       139,935  

Eventbrite, Inc. Class A *

    827       8,154  

EW Scripps Co. Class A *

    2,621       14,363  

Figs, Inc. Class A *

    1,459       8,608  

fuboTV, Inc. *

    24,918       66,531  

Gannett Co., Inc. *

    13,176       32,281  

Globalstar, Inc. *

    7,561       9,905  

Gogo, Inc. *

    5,298       63,205  

Gray Television, Inc.

    6,825       47,229  

HealthStream, Inc.

    1,263       27,255  

IDT Corp. Class B *

    274       6,042  

iHeartMedia, Inc. Class A *

    8,979       28,374  

KVH Industries, Inc. *

    1,367       6,972  

Lands’ End, Inc. *

    1,379       10,301  

Liberty Latin America Ltd. Class A *

    2,986       24,366  

Liberty Latin America Ltd. Class C *

    12,974       105,868  

Liquidity Services, Inc. *

    836       14,730  

Lumen Technologies, Inc. *

    89,894       127,649  

Magnite, Inc. *

    6,816       51,393  

MediaAlpha, Inc. Class A *

    150       1,239  

Mondee Holdings, Inc. *

    514       1,835  

NETGEAR, Inc. *

    2,543       32,016  

Nextdoor Holdings, Inc. *

    5,630       10,247  

Open Lending Corp. Class A *

    560       4,099  

Opendoor Technologies, Inc. *

    45,241       119,436  

Overstock.com, Inc. *

    3,946       62,426  

Preformed Line Products Co.

    119       19,347  

Ribbon Communications, Inc. *

    7,985       21,400  

Scholastic Corp.

    2,409       91,879  

Shenandoah Telecommunications Co.

    4,239       87,366  

Sinclair, Inc.

    2,440       27,377  

Solo Brands, Inc. Class A *

    543       2,769  

Spok Holdings, Inc.

    1,442       20,577  

Squarespace, Inc. Class A *

    2,708       78,451  

Stagwell, Inc. *

    6,974       32,708  

Stitch Fix, Inc. Class A *

    3,747       12,927  

TEGNA, Inc.

    17,841       259,943  

Telephone & Data Systems, Inc.

    8,739       160,011  

Terran Orbital Corp. *

    7,332       6,103  

Thryv Holdings, Inc. *

    2,816       52,856  

TrueCar, Inc. *

    8,358       17,301  

Tucows, Inc. Class A *

    551       11,246  

Urban One, Inc. *

    1,785       8,971  

Viavi Solutions, Inc. *

    3,386       30,948  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

118

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Vivid Seats, Inc. Class A *

    1,404       $9,014  

WideOpenWest, Inc. *

    4,700       35,955  

Ziff Davis, Inc. *

    3,184       202,789  
   

 

 

 
    3,836,115  
   

 

 

 

Consumer, Cyclical - 14.0%

 

A-Mark Precious Metals, Inc.

    1,627       47,720  

Abercrombie & Fitch Co. Class A *

    2,051       115,615  

Adient PLC *

    67,130       2,463,671  

Aeva Technologies, Inc. *

    7,276       5,565  

Allegiant Travel Co.

    1,269       97,535  

America’s Car-Mart, Inc. *

    512       46,587  

American Axle & Manufacturing Holdings, Inc. *

    10,104       73,355  

American Eagle Outfitters, Inc.

    12,432       206,496  

Asbury Automotive Group, Inc. *

    1,824       419,648  

Aurora Innovation, Inc. *

    29,294       68,841  

Bally’s Corp. *

    1,147       15,037  

Beacon Roofing Supply, Inc. *

    4,257       328,513  

Beazer Homes USA, Inc. *

    2,640       65,762  

Big 5 Sporting Goods Corp.

    2,154       15,100  

Big Lots, Inc.

    2,393       12,228  

Biglari Holdings, Inc. Class B *

    55       9,130  

BJ’s Restaurants, Inc. *

    713       16,727  

Blue Bird Corp. *

    1,460       31,171  

Bluegreen Vacations Holding Corp.

    217       7,960  

BlueLinx Holdings, Inc. *

    760       62,388  

Bowlero Corp. *

    324       3,117  

Boyd Gaming Corp.

    7,362       447,830  

Brinker International, Inc. *

    22,373       706,763  

Brunswick Corp.

    10,038       793,002  

Build-A-Bear Workshop, Inc.

    308       9,058  

Caleres, Inc.

    3,027       87,057  

Carrols Restaurant Group, Inc. *

    3,243       21,371  

Carter’s, Inc.

    11,224       776,140  

Carvana Co. *

    4,734       198,733  

Cato Corp. Class A

    1,574       12,057  

Century Casinos, Inc. *

    307       1,575  

Century Communities, Inc.

    6,937       463,253  

Chico’s FAS, Inc. *

    10,337       77,321  

Children’s Place, Inc. *

    27,752       750,137  

Chuy’s Holdings, Inc. *

    282       10,034  

Cinemark Holdings, Inc. *

    1,514       27,782  

Clarus Corp.

    2,214       16,738  

Clean Energy Fuels Corp. *

    14,825       56,780  

Commercial Vehicle Group, Inc. *

    2,549       19,780  

CompX International, Inc.

    141       2,621  

Cooper-Standard Holdings, Inc. *

    1,010       13,554  

Daktronics, Inc. *

    3,453       30,801  

Dalata Hotel Group PLC (Ireland)

    146,927       623,684  

Dana, Inc.

    11,525       169,072  

Denny’s Corp. *

    1,173       9,935  

Designer Brands, Inc. Class A

    4,304       54,489  

Destination XL Group, Inc. *

    5,314       23,807  

Dine Brands Global, Inc.

    144       7,121  

Dr. Martens PLC (United Kingdom)

    371,426       636,254  

Dream Finders Homes, Inc. Class A *

    1,192       26,498  

Duluth Holdings, Inc. Class B *

    1,289       7,747  

El Pollo Loco Holdings, Inc.

    2,440       21,838  

Escalade, Inc.

    751       11,498  

Ethan Allen Interiors, Inc.

    2,012       60,159  

Everi Holdings, Inc. *

    2,748       36,329  

EVgo, Inc. *

    7,702       26,033  

EVI Industries, Inc. *

    114       2,829  

Fiesta Restaurant Group, Inc. *

    1,535       12,986  

First Watch Restaurant Group, Inc. *

    1,105       19,105  

Foot Locker, Inc.

    7,296       126,586  

Forestar Group, Inc. *

    1,620       43,643  

Fossil Group, Inc. *

    3,701       7,624  

Full House Resorts, Inc. *

    405       1,729  
   

Shares

   

Value

 

Funko, Inc. Class A *

    992       $7,589  

G-III Apparel Group Ltd. *

    3,629       90,435  

Genesco, Inc. *

    1,041       32,084  

Global Industrial Co.

    276       9,246  

GMS, Inc. *

    2,467       157,814  

Goodyear Tire & Rubber Co. *

    24,848       308,861  

Green Brick Partners, Inc. *

    1,541       63,967  

Group 1 Automotive, Inc.

    2,030       545,481  

GrowGeneration Corp. *

    5,337       15,584  

Guess?, Inc.

    2,274       49,209  

Hanesbrands, Inc.

    10,516       41,643  

Haverty Furniture Cos., Inc.

    1,317       37,903  

Hawaiian Holdings, Inc. *

    4,628       29,295  

Hibbett, Inc.

    185       8,789  

Hilton Grand Vacations, Inc. *

    52,249       2,126,534  

HNI Corp.

    22,996       796,351  

Holley, Inc. *

    4,952       24,710  

Hooker Furnishings Corp.

    976       18,983  

Hovnanian Enterprises, Inc. Class A *

    435       44,222  

Hudson Technologies, Inc. *

    3,311       44,036  

Hyliion Holdings Corp. *

    12,561       14,822  

indie Semiconductor, Inc. Class A * (China)

    834       5,254  

Interface, Inc.

    5,020       49,246  

iRobot Corp. *

    263       9,968  

J Jill, Inc. *

    332       9,827  

Jack in the Box, Inc.

    10,788       745,019  

JAKKS Pacific, Inc. *

    619       11,507  

JetBlue Airways Corp. *

    29,535       135,861  

Johnson Outdoors, Inc. Class A

    460       25,157  

KB Home

    6,378       295,174  

La-Z-Boy, Inc.

    3,783       116,819  

Landsea Homes Corp. *

    1,129       10,150  

Lazydays Holdings, Inc. *

    1,032       7,843  

LCI Industries

    11,494       1,349,625  

Leslie’s, Inc. *

    14,200       80,372  

LGI Homes, Inc. *

    1,687       167,840  

Life Time Group Holdings, Inc. *

    2,774       42,193  

Light & Wonder, Inc. *

    4,262       304,008  

Lindblad Expeditions Holdings, Inc. *

    2,699       19,433  

Lions Gate Entertainment Corp. Class A *

    2,070       17,554  

Lions Gate Entertainment Corp. Class B *

    2,958       23,279  

M/I Homes, Inc. *

    5,981       502,643  

Madison Square Garden Entertainment Corp. *

    520       17,113  

Malibu Boats, Inc. Class A *

    654       32,059  

Marcus Corp.

    2,113       32,751  

MarineMax, Inc. *

    1,931       63,375  

Mattel, Inc. *

    149,912       3,302,561  

MDC Holdings, Inc.

    5,173       213,283  

Meritage Homes Corp.

    5,060       619,293  

Methode Electronics, Inc.

    3,085       70,492  

Microvast Holdings, Inc. *

    9,719       18,369  

Miller Industries, Inc.

    906       35,524  

MillerKnoll, Inc.

    6,631       162,128  

Movado Group, Inc.

    1,363       37,278  

MRC Global, Inc. *

    4,826       49,466  

National Vision Holdings, Inc. *

    6,444       104,264  

Nikola Corp. *

    53,459       83,931  

Nu Skin Enterprises, Inc. Class A

    4,495       95,339  

ODP Corp. *

    2,905       134,066  

OneWater Marine, Inc. Class A *

    1,021       26,158  

OPENLANE, Inc. *

    9,467       141,248  

Oxford Industries, Inc.

    328       31,531  

Papa John’s International, Inc.

    639       43,593  

Patrick Industries, Inc.

    1,644       123,399  

PC Connection, Inc.

    1,030       54,981  

PetMed Express, Inc.

    1,848       18,942  

PriceSmart, Inc.

    656       48,826  

Purple Innovation, Inc.

    5,475       9,362  

Red Rock Resorts, Inc. Class A

    1,964       80,524  

Reservoir Media, Inc. *

    1,737       10,596  

Resideo Technologies, Inc. *

    12,909       203,962  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

119

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

REV Group, Inc.

    2,689       $ 43,024  

Rocky Brands, Inc.

    506       7,438  

Rush Enterprises, Inc. Class A

    5,442       222,197  

Rush Enterprises, Inc. Class B

    855       38,723  

Sally Beauty Holdings, Inc. *

    431       3,612  

Savers Value Village, Inc. *

    1,110       20,724  

ScanSource, Inc. *

    2,210       66,985  

SeaWorld Entertainment, Inc. *

    151       6,984  

SES AI Corp. *

    9,712       22,046  

Shoe Carnival, Inc.

    1,674       40,226  

Signet Jewelers Ltd. (NYSE)

    3,948       283,506  

Six Flags Entertainment Corp. *

    1,280       30,093  

Skyline Champion Corp. *

    2,089       133,111  

SkyWest, Inc. *

    3,854       161,637  

Sleep Number Corp. *

    850       20,901  

Snap One Holdings Corp. *

    1,560       14,414  

Solid Power, Inc. *

    13,232       26,729  

Sonic Automotive, Inc. Class A

    1,382       66,004  

Sphere Entertainment Co. *

    2,316       86,063  

Spirit Airlines, Inc.

    9,571       157,921  

Sportsman’s Warehouse Holdings, Inc. *

    2,895       12,999  

Standard Motor Products, Inc.

    1,881       63,239  

Steelcase, Inc. Class A

    8,175       91,315  

Sun Country Airlines Holdings, Inc. *

    1,501       22,275  

Sweetgreen, Inc. Class A *

    1,620       19,035  

Taylor Morrison Home Corp. *

    11,537       491,592  

ThredUp, Inc. Class A *

    4,983       19,982  

Tile Shop Holdings, Inc. *

    2,641       14,499  

Tilly’s, Inc. Class A *

    1,746       14,178  

Titan International, Inc. *

    4,496       60,381  

Titan Machinery, Inc. *

    1,853       49,253  

Topgolf Callaway Brands Corp. *

    12,758       176,571  

Traeger, Inc. *

    3,205       8,750  

Tri Pointe Homes, Inc. *

    8,785       240,270  

TuSimple Holdings, Inc. Class A *

    13,735       21,427  

UniFirst Corp.

    1,319       215,010  

United Homes Group, Inc. *

    455       2,548  

Urban Outfitters, Inc. *

    3,782       123,634  

Vera Bradley, Inc. *

    2,336       15,441  

Veritiv Corp.

    1,154       194,911  

Virgin Galactic Holdings, Inc. *

    10,216       18,389  

Vista Outdoor, Inc. *

    5,088       168,515  

Vizio Holding Corp. Class A *

    806       4,360  

VOXX International Corp. *

    1,183       9,440  

VSE Corp.

    1,118       56,392  

Weyco Group, Inc.

    543       13,765  

Winmark Corp.

    248       92,536  

Winnebago Industries, Inc.

    2,609       155,105  

Wolverine World Wide, Inc.

    705       5,682  

Workhorse Group, Inc. *

    15,729       6,518  

Xperi, Inc. *

    3,809       37,557  

Xponential Fitness, Inc. Class A *

    313       4,851  

Zumiez, Inc. *

    1,512       26,914  
   

 

 

 
    28,733,935  
   

 

 

 

Consumer, Non-Cyclical - 13.9%

 

23andMe Holding Co. Class A *

    23,562       23,037  

2seventy bio, Inc. *

    4,595       18,012  

2U, Inc. *

    6,680       16,500  

4D Molecular Therapeutics, Inc. *

    3,134       39,896  

Aadi Bioscience, Inc. *

    1,566       7,579  

Aaron’s Co., Inc.

    2,740       28,688  

ABM Industries, Inc.

    5,838       233,578  

Acacia Research Corp. *

    3,393       12,384  

ACCO Brands Corp.

    8,365       48,015  

Accolade, Inc. *

    375       3,968  

ACELYRIN, Inc. *

    1,520       15,458  

Acrivon Therapeutics, Inc. *

    796       7,610  

AdaptHealth Corp. *

    4,038       36,746  

Adaptive Biotechnologies Corp. *

    2,560       13,952  
   

    

Shares

   

Value

 

Addus HomeCare Corp. *

    715       $ 60,911  

Adicet Bio, Inc. *

    2,772       3,798  

ADMA Biologics, Inc. *

    8,701       31,150  

Adtalem Global Education, Inc. *

    3,827       163,987  

Agenus, Inc. *

    26,564       30,017  

Agiliti, Inc. *

    348       2,259  

Agios Pharmaceuticals, Inc. *

    4,897       121,201  

Alico, Inc.

    627       15,650  

Alight, Inc. Class A *

    35,372       250,787  

Allakos, Inc. *

    5,968       13,547  

Allogene Therapeutics, Inc. *

    7,128       22,596  

Allovir, Inc. *

    3,899       8,383  

Alphatec Holdings, Inc. *

    4,107       53,268  

Alpine Immune Sciences, Inc. *

    1,429       16,362  

Altimmune, Inc. *

    4,440       11,544  

ALX Oncology Holdings, Inc. *

    1,609       7,723  

American Well Corp. Class A *

    22,402       26,210  

Amneal Pharmaceuticals, Inc. *

    10,436       44,040  

AnaptysBio, Inc. *

    306       5,496  

Andersons, Inc.

    2,865       147,576  

AngioDynamics, Inc. *

    3,342       24,430  

ANI Pharmaceuticals, Inc. *

    265       15,386  

Anika Therapeutics, Inc. *

    1,302       24,256  

Annexon, Inc. *

    3,918       9,246  

API Group Corp. *

    5,948       154,232  

Apogee Therapeutics, Inc. *

    912       19,426  

Arbutus Biopharma Corp. *

    3,841       7,797  

Arcturus Therapeutics Holdings, Inc. *

    1,910       48,801  

Arcus Biosciences, Inc. *

    3,182       57,117  

Ardelyx, Inc. *

    6,443       26,287  

Arlo Technologies, Inc. *

    863       8,889  

ARS Pharmaceuticals, Inc. *

    1,598       6,040  

Artivion, Inc. *

    3,000       45,480  

Arvinas, Inc. *

    285       5,597  

ASGN, Inc. *

    3,127       255,413  

Assertio Holdings, Inc. *

    7,867       20,140  

Astria Therapeutics, Inc. *

    331       2,469  

Atara Biotherapeutics, Inc. *

    6,720       9,946  

Atea Pharmaceuticals, Inc. *

    6,535       19,605  

AtriCure, Inc. *

    1,176       51,509  

Aura Biosciences, Inc. *

    2,498       22,407  

Avanos Medical, Inc. *

    4,099       82,882  

Aveanna Healthcare Holdings, Inc. *

    2,844       3,384  

Avidity Biosciences, Inc. *

    6,378       40,692  

B&G Foods, Inc.

    6,252       61,832  

Bakkt Holdings, Inc. *

    5,470       6,400  

Barrett Business Services, Inc.

    41       3,700  

Beam Therapeutics, Inc. *

    612       14,719  

BellRing Brands, Inc. *

    8,682       357,959  

Benson Hill, Inc. *

    15,715       5,210  

Beyond Air, Inc. *

    524       1,210  

BioAtla, Inc. *

    3,983       6,771  

BioCryst Pharmaceuticals, Inc. *

    4,224       29,906  

Biohaven Ltd. *

    5,168       134,420  

BioLife Solutions, Inc. *

    302       4,171  

Biote Corp. Class A *

    534       2,734  

Bluebird Bio, Inc. *

    9,088       27,628  

BRC, Inc. Class A *

    738       2,649  

Bridgebio Pharma, Inc. *

    3,076       81,114  

BrightView Holdings, Inc. *

    3,828       29,667  

Brookdale Senior Living, Inc. *

    16,350       67,689  

Butterfly Network, Inc. *

    12,958       15,290  

Cabaletta Bio, Inc. *

    261       3,972  

Cal-Maine Foods, Inc.

    189       9,151  

Cano Health, Inc. *

    20,341       5,158  

Cara Therapeutics, Inc. *

    4,121       6,923  

CareDx, Inc. *

    4,469       31,283  

CareMax, Inc. *

    7,035       14,914  

Caribou Biosciences, Inc. *

    6,526       31,194  

Carisma Therapeutics, Inc.

    2,447       10,351  

Cass Information Systems, Inc.

    128       4,768  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

120

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Castle Biosciences, Inc. *

    1,375       $ 23,224  

Celcuity, Inc. *

    1,514       13,838  

Celldex Therapeutics, Inc. *

    3,009       82,808  

Central Garden & Pet Co. *

    931       41,094  

Central Garden & Pet Co. Class A *

    3,421       137,148  

Century Therapeutics, Inc. *

    2,465       4,930  

Chegg, Inc. *

    1,546       13,790  

Cimpress PLC * (Ireland)

    671       46,977  

Cipher Mining, Inc. *

    3,344       7,792  

Citius Pharmaceuticals, Inc. *

    9,416       6,444  

Cogent Biosciences, Inc. *

    3,250       31,688  

Coherus Biosciences, Inc. *

    1,451       5,427  

Colliers International Group, Inc. (Canada)

    3,502       333,565  

Community Health Systems, Inc. *

    11,464       33,246  

Compass Therapeutics, Inc. *

    7,256       14,294  

CompoSecure, Inc. *

    266       1,716  

CoreCivic, Inc. *

    10,109       113,726  

CorMedix, Inc. *

    792       2,930  

Crinetics Pharmaceuticals, Inc. *

    4,739       140,938  

Cross Country Healthcare, Inc. *

    2,536       62,867  

Cullinan Oncology, Inc. *

    2,215       20,046  

Cutera, Inc. *

    1,378       8,296  

CVRx, Inc. *

    207       3,140  

Cytokinetics, Inc. *

    618       18,206  

Day One Biopharmaceuticals, Inc. *

    416       5,104  

Deciphera Pharmaceuticals, Inc. *

    3,077       39,139  

Deluxe Corp.

    3,861       72,934  

Design Therapeutics, Inc. *

    2,728       6,438  

Disc Medicine, Inc. *

    61       2,866  

Distribution Solutions Group, Inc. *

    78       2,028  

Dole PLC

    2,736       31,683  

Duckhorn Portfolio, Inc. *

    3,204       32,873  

Dynavax Technologies Corp. *

    1,921       28,373  

Dyne Therapeutics, Inc. *

    2,728       24,443  

Eagle Pharmaceuticals, Inc. *

    939       14,808  

Edgewell Personal Care Co.

    4,538       167,724  

Edgewise Therapeutics, Inc. *

    3,700       21,201  

Editas Medicine, Inc. *

    7,196       56,129  

Embecta Corp.

    4,510       67,876  

Emerald Holding, Inc. *

    1,491       6,739  

Emergent BioSolutions, Inc. *

    4,563       15,514  

Enanta Pharmaceuticals, Inc. *

    1,598       17,850  

Enhabit, Inc. *

    4,551       51,199  

Enliven Therapeutics, Inc. *

    2,100       28,686  

Ennis, Inc.

    2,346       49,782  

Entrada Therapeutics, Inc. *

    1,933       30,541  

Envista Holdings Corp. *

    52,361       1,459,825  

EQRx, Inc. *

    27,436       60,908  

Erasca, Inc. *

    7,006       13,802  

European Wax Center, Inc. Class A *

    217       3,515  

EyePoint Pharmaceuticals, Inc. *

    987       7,886  

Fate Therapeutics, Inc. *

    7,874       16,693  

Fennec Pharmaceuticals, Inc. * (Canada)

    1,104       8,291  

FibroGen, Inc. *

    8,190       7,067  

First Advantage Corp.

    4,398       60,648  

FiscalNote Holdings, Inc. *

    4,821       10,028  

Forafric Global PLC * (Gibraltar)

    289       3,263  

Fresh Del Monte Produce, Inc.

    2,992       77,313  

Fulgent Genetics, Inc. *

    1,780       47,597  

Genelux Corp. *

    1,187       29,070  

Generation Bio Co. *

    3,777       14,315  

GEO Group, Inc. *

    10,758       88,000  

Geron Corp. *

    10,852       23,006  

Glanbia PLC (Ireland)

    179,833       2,967,905  

Graham Holdings Co. Class B

    315       183,645  

Graphite Bio, Inc. *

    2,395       5,940  

Green Dot Corp. Class A *

    4,101       57,127  

Gritstone bio, Inc. *

    8,026       13,805  

Hackett Group, Inc.

    206       4,860  

Hain Celestial Group, Inc. *

    7,858       81,487  

Healthcare Services Group, Inc.

    205       2,138  
   

    

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Heidrick & Struggles International, Inc.

    1,792       $ 44,836  

Helen of Troy Ltd. *

    2,122       247,340  

Herbalife Ltd. *

    2,437       34,094  

Herc Holdings, Inc.

    13,069       1,554,427  

HF Foods Group, Inc. *

    3,731       14,812  

HilleVax, Inc. *

    1,281       17,229  

Hostess Brands, Inc. *

    9,469       315,412  

Humacyte, Inc. *

    867       2,540  

ICF International, Inc.

    2,088       252,251  

Icosavax, Inc. *

    2,566       19,887  

Ideaya Biosciences, Inc. *

    1,750       47,215  

IGM Biosciences, Inc. *

    1,105       9,227  

Ikena Oncology, Inc. *

    1,848       8,002  

Immuneering Corp. Class A *

    451       3,464  

ImmunityBio, Inc. *

    1,869       3,159  

ImmunoGen, Inc. *

    8,793       139,545  

Inari Medical, Inc. *

    325       21,255  

Information Services Group, Inc.

    1,461       6,399  

Ingles Markets, Inc. Class A

    1,226       92,355  

Inhibrx, Inc. *

    1,065       19,543  

Innoviva, Inc. *

    4,680       60,793  

Inogen, Inc. *

    2,112       11,025  

Inozyme Pharma, Inc. *

    2,981       12,520  

Integer Holdings Corp. *

    21,739       1,704,990  

Intellia Therapeutics, Inc. *

    6,694       211,664  

Invitae Corp. *

    1,514       916  

Iovance Biotherapeutics, Inc. *

    20,139       91,632  

Ironwood Pharmaceuticals, Inc. *

    7,206       69,394  

iTeos Therapeutics, Inc. *

    2,295       25,130  

Janux Therapeutics, Inc. *

    1,402       14,132  

John Wiley & Sons, Inc. Class A

    3,748       139,313  

KalVista Pharmaceuticals, Inc. *

    2,264       21,802  

Kelly Services, Inc. Class A

    2,820       51,296  

Kezar Life Sciences, Inc. *

    6,775       8,062  

Kforce, Inc.

    17,213       1,026,928  

Kiniksa Pharmaceuticals Ltd. Class A *

    2,670       46,378  

Kodiak Sciences, Inc. *

    2,937       5,287  

Korn Ferry

    4,602       218,319  

Krispy Kreme, Inc.

    5,186       64,669  

Kura Oncology, Inc. *

    6,169       56,261  

Larimar Therapeutics, Inc. *

    2,226       8,793  

Laureate Education, Inc.

    1,631       22,997  

Lexicon Pharmaceuticals, Inc. *

    3,735       4,071  

LifeStance Health Group, Inc. *

    4,389       30,152  

Ligand Pharmaceuticals, Inc. *

    1,247       74,720  

Limoneira Co.

    1,486       22,766  

Lincoln Educational Services Corp. *

    2,206       18,641  

Liquidia Corp. *

    1,182       7,494  

LivaNova PLC *

    4,510       238,489  

LiveRamp Holdings, Inc. *

    5,834       168,253  

Longboard Pharmaceuticals, Inc. *

    816       4,537  

Lyell Immunopharma, Inc. *

    15,792       23,214  

MacroGenics, Inc. *

    3,860       17,988  

MannKind Corp. *

    4,223       17,441  

Maple Leaf Foods, Inc. (Canada)

    78,256       1,503,760  

MarketWise, Inc.

    3,146       5,034  

Marqeta, Inc. Class A *

    37,606       224,884  

Matthews International Corp. Class A

    1,952       75,952  

MaxCyte, Inc. *

    7,537       23,515  

MeiraGTx Holdings PLC *

    899       4,414  

Mersana Therapeutics, Inc. *

    3,686       4,681  

MiMedx Group, Inc. *

    10,225       74,540  

Mineralys Therapeutics, Inc. *

    961       9,139  

Mission Produce, Inc. *

    3,730       36,106  

Monro, Inc.

    2,781       77,228  

Monte Rosa Therapeutics, Inc. *

    2,513       12,037  

Morphic Holding, Inc. *

    348       7,973  

Multiplan Corp. *

    34,946       58,709  

Myriad Genetics, Inc. *

    7,188       115,296  

Nano-X Imaging Ltd. * (Israel)

    3,858       25,308  

NanoString Technologies, Inc. *

    562       967  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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National HealthCare Corp.

    1,080       $ 69,098  

Natural Grocers by Vitamin Cottage, Inc. Class C

    789       10,186  

Nature’s Sunshine Products, Inc. *

    1,180       19,553  

Nautilus Biotechnology, Inc. SPAC *

    4,475       14,141  

Neogen Corp. *

    19,245       356,802  

NeoGenomics, Inc. *

    10,332       127,084  

Nevro Corp. *

    2,147       41,265  

NGM Biopharmaceuticals, Inc. *

    4,182       4,475  

Nkarta, Inc. *

    2,614       3,633  

Novavax, Inc. *

    1,528       11,063  

Nurix Therapeutics, Inc. *

    4,212       33,106  

Nuvation Bio, Inc. *

    13,497       18,086  

Ocean Biomedical, Inc. *

    717       2,796  

Olema Pharmaceuticals, Inc. *

    2,469       30,492  

Omeros Corp. *

    3,257       9,510  

OmniAb, Inc. *

    8,478       44,001  

Omnicell, Inc. *

    2,014       90,711  

OPKO Health, Inc. *

    34,815       55,704  

OraSure Technologies, Inc. *

    6,420       38,071  

Organogenesis Holdings, Inc. *

    5,798       18,438  

ORIC Pharmaceuticals, Inc. *

    3,579       21,653  

Orthofix Medical, Inc. *

    3,181       40,908  

OrthoPediatrics Corp. *

    150       4,800  

Oscar Health, Inc. Class A *

    12,631       70,355  

Ovid therapeutics, Inc. *

    5,165       19,834  

Owens & Minor, Inc. *

    6,589       106,478  

Pacific Biosciences of California, Inc. *

    10,030       83,751  

Patterson Cos., Inc.

    5,898       174,817  

Paysafe Ltd. *

    2,756       33,044  

Pediatrix Medical Group, Inc. *

    7,377       93,762  

PepGen, Inc. *

    644       3,272  

Perdoceo Education Corp.

    5,941       101,591  

Performant Financial Corp. *

    1,568       3,544  

PetIQ, Inc. *

    418       8,235  

Phathom Pharmaceuticals, Inc. *

    1,984       20,574  

Phibro Animal Health Corp. Class A

    1,249       15,950  

PMV Pharmaceuticals, Inc. *

    3,363       20,649  

Point Biopharma Global, Inc. SPAC *

    7,771       51,833  

Poseida Therapeutics, Inc. *

    6,179       14,706  

Precigen, Inc. *

    12,328       17,506  

Prelude Therapeutics, Inc. *

    769       2,376  

Prestige Consumer Healthcare, Inc. *

    4,370       249,920  

Primo Water Corp.

    11,956       164,993  

PROG Holdings, Inc. *

    3,312       109,992  

ProKidney Corp. *

    2,911       13,332  

Protagonist Therapeutics, Inc. *

    1,821       30,374  

Protalix BioTherapeutics, Inc. *

    4,723       7,840  

PTC Therapeutics, Inc. *

    1,215       27,228  

Pulse Biosciences, Inc. *

    980       3,949  

QinetiQ Group PLC (United Kingdom)

    399,513       1,547,285  

Quad/Graphics, Inc. *

    2,599       13,073  

Quanex Building Products Corp.

    2,905       81,834  

Quanterix Corp. *

    2,578       69,967  

Quantum-Si, Inc. *

    8,509       14,125  

Rallybio Corp. *

    2,819       9,500  

RAPT Therapeutics, Inc. *

    667       11,086  

Recursion Pharmaceuticals, Inc. Class A *

    11,940       91,341  

REGENXBIO, Inc. *

    3,528       58,071  

Relay Therapeutics, Inc. *

    8,001       67,288  

Reneo Pharmaceuticals, Inc. *

    444       3,381  

Rent the Runway, Inc. Class A *

    4,318       2,939  

Repay Holdings Corp. *

    7,064       53,616  

Replimune Group, Inc. *

    3,550       60,741  

Resources Connection, Inc.

    2,955       44,059  

Rigel Pharmaceuticals, Inc. *

    2,637       2,848  

Riot Platforms, Inc. *

    4,519       42,162  

Rocket Pharmaceuticals, Inc. *

    604       12,376  

Sabre Corp. *

    21,940       98,511  

Sage Therapeutics, Inc. *

    293       6,030  

Sagimet Biosciences, Inc. Class A *

    260       2,288  
   

    

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Sana Biotechnology, Inc. *

    7,854       $ 30,395  

Sangamo Therapeutics, Inc. *

    11,843       7,103  

Savara, Inc. *

    7,282       27,526  

Scholar Rock Holding Corp. *

    3,759       26,689  

Scilex Holding Co. *

    6,965       9,751  

SEACOR Marine Holdings, Inc. *

    2,134       29,620  

Seer, Inc. *

    5,538       12,239  

Selecta Biosciences, Inc. *

    7,871       8,343  

Seneca Foods Corp. Class A *

    475       25,569  

Seres Therapeutics, Inc. *

    2,969       7,066  

SomaLogic, Inc. *

    13,090       31,285  

SpartanNash Co.

    3,007       66,154  

Sterling Check Corp. *

    2,583       32,597  

Stoke Therapeutics, Inc. *

    2,530       9,968  

StoneCo Ltd. Class A * (Brazil)

    10,134       108,130  

Strategic Education, Inc.

    1,991       149,823  

SunOpta, Inc. * (Canada)

    518       1,746  

Surgery Partners, Inc. *

    578       16,907  

Sutro Biopharma, Inc. *

    5,169       17,936  

Syndax Pharmaceuticals, Inc. *

    1,003       14,564  

Tango Therapeutics, Inc. *

    3,965       44,646  

Taro Pharmaceutical Industries Ltd. *

    738       27,830  

Tarsus Pharmaceuticals, Inc. *

    2,102       37,353  

Tejon Ranch Co. *

    1,849       29,991  

Tenaya Therapeutics, Inc. *

    4,212       10,741  

Terns Pharmaceuticals, Inc. *

    1,293       6,504  

Textainer Group Holdings Ltd. (China)

    3,686       137,303  

Theravance Biopharma, Inc. *

    4,981       42,986  

Theseus Pharmaceuticals, Inc. *

    1,655       4,452  

Third Harmonic Bio, Inc. *

    1,802       11,515  

Thorne HealthTech, Inc. *

    708       7,215  

Travere Therapeutics, Inc. *

    365       3,263  

TreeHouse Foods, Inc. *

    3,993       174,015  

Trevi Therapeutics, Inc. *

    3,729       8,129  

Triton International Ltd. * (Bermuda)

    4,093       336,690  

TrueBlue, Inc. *

    2,716       39,844  

Turnstone Biologics Corp. *

    588       2,317  

Twist Bioscience Corp. *

    4,973       100,753  

Tyra Biosciences, Inc. *

    813       11,195  

United Natural Foods, Inc. *

    5,244       74,150  

Universal Corp.

    2,140       101,029  

Universal Technical Institute, Inc. *

    2,272       19,039  

Upbound Group, Inc.

    310       9,130  

UroGen Pharma Ltd. *

    283       3,965  

Utah Medical Products, Inc.

    11       946  

V2X, Inc. *

    1,033       53,365  

Vanda Pharmaceuticals, Inc. *

    4,909       21,207  

Varex Imaging Corp. *

    3,470       65,201  

Vector Group Ltd.

    10,633       113,135  

Vera Therapeutics, Inc. *

    1,454       19,934  

Veracyte, Inc. *

    6,359       141,996  

Verve Therapeutics, Inc. *

    4,447       58,967  

Vicarious Surgical, Inc. *

    3,422       2,021  

Vigil Neuroscience, Inc. *

    1,411       7,605  

Village Super Market, Inc. Class A

    758       17,161  

Vir Biotechnology, Inc. *

    6,944       65,065  

Viridian Therapeutics, Inc. *

    819       12,563  

Vor BioPharma, Inc. *

    3,426       7,263  

Waldencast PLC Class A *

    3,124       29,428  

WaVe Life Sciences Ltd. *

    5,224       30,038  

Weis Markets, Inc.

    1,440       90,720  

Willdan Group, Inc. *

    1,082       22,105  

WillScot Mobile Mini Holdings Corp. *

    12,909       536,885  

WW International, Inc. *

    4,879       54,011  

X4 Pharmaceuticals, Inc. *

    5,760       6,278  

Xencor, Inc. *

    2,368       47,715  

XOMA Corp. *

    609       8,581  

Y-mAbs Therapeutics, Inc. *

    1,754       9,559  

Zevia PBC Class A *

    999       2,218  

Zevra Therapeutics, Inc. *

    3,172       15,289  

Zimvie, Inc. *

    2,200       20,702  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

122

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SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Zura Bio Ltd. * (United Kingdom)

    1,151       $ 7,597  

Zymeworks, Inc. *

    4,778       30,293  
   

 

 

 
    28,460,254  
   

 

 

 

Energy - 9.4%

 

Alpha Metallurgical Resources, Inc.

    1,026       266,483  

Amplify Energy Corp. *

    3,331       24,483  

Arch Resources, Inc.

    1,603       273,568  

Archrock, Inc.

    9,973       125,660  

Aris Water Solutions, Inc. Class A

    2,560       25,549  

Atlas Energy Solutions, Inc. Class A

    1,248       27,743  

Berry Corp.

    6,954       57,023  

Bristow Group, Inc. *

    2,133       60,087  

California Resources Corp.

    6,317       353,815  

Callon Petroleum Co. *

    5,411       211,678  

Chord Energy Corp.

    3,683       596,904  

Civitas Resources, Inc.

    6,127       495,490  

Cleanspark, Inc. *

    8,498       32,377  

CNX Resources Corp. *

    14,020       316,572  

Comstock Resources, Inc.

    8,200       90,446  

CONSOL Energy, Inc.

    2,946       309,065  

Core Laboratories, Inc.

    2,771       66,532  

Crescent Energy Co. Class A

    2,140       27,050  

Crescent Point Energy Corp. (Canada)

    426,114       3,532,519  

CVR Energy, Inc.

    258       8,780  

Delek U.S. Holdings, Inc.

    5,749       163,329  

Diamond Offshore Drilling, Inc. *

    8,904       130,711  

DMC Global, Inc. *

    1,153       28,214  

Dril-Quip, Inc. *

    3,068       86,426  

Earthstone Energy, Inc. Class A *

    5,062       102,455  

Energy Vault Holdings, Inc. *

    8,094       20,640  

Eneti, Inc.

    2,121       21,380  

Eos Energy Enterprises, Inc. *

    1,306       2,808  

Equitrans Midstream Corp.

    27,450       257,206  

Excelerate Energy, Inc. Class A

    393       6,697  

Expro Group Holdings NV *

    4,824       112,061  

Forum Energy Technologies, Inc. *

    847       20,345  

FuelCell Energy, Inc. *

    35,880       45,926  

FutureFuel Corp.

    2,054       14,727  

Gevo, Inc. *

    21,805       25,948  

Golar LNG Ltd. (Cameroon)

    8,399       203,760  

Granite Ridge Resources, Inc.

    2,364       14,420  

Green Plains, Inc. *

    80,346       2,418,415  

Gulfport Energy Corp. *

    966       114,626  

Hallador Energy Co. *

    1,952       28,148  

Helix Energy Solutions Group, Inc. *

    12,618       140,943  

Helmerich & Payne, Inc.

    8,580       361,733  

HighPeak Energy, Inc.

    220       3,714  

Kinetik Holdings, Inc.

    1,367       46,136  

KLX Energy Services Holdings, Inc. *

    998       11,826  

Kodiak Gas Services, Inc. *

    881       15,752  

Liberty Energy, Inc.

    13,761       254,854  

Magnolia Oil & Gas Corp. Class A

    1,112       25,476  

Mammoth Energy Services, Inc. *

    2,022       9,382  

Matador Resources Co.

    8,240       490,115  

Maxeon Solar Technologies Ltd. *

    739       8,565  

Murphy Oil Corp.

    13,154       596,534  

Nabors Industries Ltd. *

    81       9,974  

NACCO Industries, Inc. Class A

    404       14,168  

Newpark Resources, Inc. *

    6,691       46,235  

Noble Corp. PLC

    1,653       83,724  

Northern Oil & Gas, Inc.

    781       31,420  

NOW, Inc. *

    9,453       112,207  

Oil States International, Inc. *

    5,686       47,592  

Par Pacific Holdings, Inc. *

    2,991       107,496  

Patterson-UTI Energy, Inc.

    29,472       407,892  

PBF Energy, Inc. Class A

    10,036       537,227  

Peabody Energy Corp.

    11,007       286,072  

Permian Resources Corp.

    20,488       286,012  

PrimeEnergy Resources Corp. *

    53       6,147  
   

    

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Value

 

ProFrac Holding Corp. Class A *

    1,818       $ 19,780  

ProPetro Holding Corp. *

    8,904       94,649  

Ramaco Resources, Inc. Class A

    2,044       22,464  

Ramaco Resources, Inc. Class B *

    409       4,879  

Ranger Energy Services, Inc.

    1,389       19,696  

REX American Resources Corp. *

    1,051       42,797  

Ring Energy, Inc. *

    10,020       19,539  

RPC, Inc.

    7,386       66,031  

SandRidge Energy, Inc.

    2,116       33,137  

Seadrill Ltd. * (Norway)

    4,429       198,375  

Select Water Solutions, Inc.

    7,149       56,834  

SilverBow Resources, Inc. *

    1,375       49,184  

Sitio Royalties Corp. Class A

    3,958       95,823  

SM Energy Co.

    10,582       419,576  

Solaris Oilfield Infrastructure, Inc. Class A

    2,381       25,381  

Stem, Inc. *

    12,615       53,488  

SunCoke Energy, Inc.

    7,369       74,795  

Sunnova Energy International, Inc. *

    4,574       47,890  

Talos Energy, Inc. *

    9,724       159,862  

TechnipFMC PLC (United Kingdom)

    131,561       2,675,951  

Tellurian, Inc. *

    43,640       50,622  

U.S. Silica Holdings, Inc. *

    6,616       92,889  

VAALCO Energy, Inc.

    8,152       35,787  

Verde Clean Fuels, Inc. *

    454       1,712  

Vital Energy, Inc. *

    1,502       83,241  

Vitesse Energy, Inc.

    2,154       49,305  

Warrior Met Coal, Inc.

    4,601       235,019  
   

 

 

 
    19,389,968  
   

 

 

 

Financial - 30.6%

 

1st Source Corp.

    1,482       62,377  

Acadia Realty Trust REIT

    8,315       119,320  

ACNB Corp.

    782       24,719  

AFC Gamma, Inc. REIT

    1,342       15,755  

Alerus Financial Corp.

    1,569       28,524  

Alexander & Baldwin, Inc. REIT *

    76,495       1,279,761  

Alpine Income Property Trust, Inc. REIT

    1,188       19,436  

Amalgamated Financial Corp.

    1,558       26,829  

Ambac Financial Group, Inc. *

    3,934       47,444  

Amerant Bancorp, Inc.

    2,363       41,211  

American Assets Trust, Inc. REIT

    4,447       86,494  

American Coastal Insurance Corp. Class C *

    1,744       12,836  

American Equity Investment Life Holding Co . *

    6,873       368,668  

American National Bankshares, Inc.

    925       35,094  

American Realty Investors, Inc. *

    134       1,959  

Ameris Bancorp

    5,808       222,969  

AMERISAFE, Inc.

    813       40,707  

Ames National Corp.

    739       12,260  

Angel Oak Mortgage, Inc. REIT

    1,127       9,613  

Anywhere Real Estate, Inc. *

    8,688       55,864  

Apartment Investment & Management Co. Class A REIT *

    12,994       88,359  

Apollo Commercial Real Estate Finance, Inc. REIT

    12,457       126,189  

Apple Hospitality REIT, Inc.

    19,037       292,028  

Arbor Realty Trust, Inc. REIT

    15,835       240,375  

Ares Commercial Real Estate Corp. REIT

    4,698       44,725  

Argo Group International Holdings Ltd.

    2,796       83,433  

Armada Hoffler Properties, Inc. REIT

    6,209       63,580  

ARMOUR Residential REIT, Inc.

    19,810       84,192  

Arrow Financial Corp.

    1,430       24,332  

Artisan Partners Asset Management, Inc. Class A

    1,545       57,814  

Associated Banc-Corp.

    13,309       227,717  

Atlantic Union Bankshares Corp.

    16,695       480,482  

Atlanticus Holdings Corp. *

    421       12,761  

Avantax, Inc. *

    398       10,181  

Axos Financial, Inc. *

    4,430       167,720  

Banc of California, Inc.

    4,789       59,288  

BancFirst Corp.

    1,661       144,059  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

123

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Banco Latinoamericano de Comercio Exterior SA (Panama)

    2,336       $ 49,523  

Bank First Corp.

    809       62,414  

Bank of Hawaii Corp.

    3,335       165,716  

Bank of Marin Bancorp

    1,350       24,678  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    4,084       110,595  

Bank7 Corp.

    193       4,344  

BankUnited, Inc.

    6,636       150,637  

Bankwell Financial Group, Inc.

    580       14,077  

Banner Corp.

    3,027       128,284  

Bar Harbor Bankshares

    1,345       31,782  

BayCom Corp.

    1,032       19,825  

BCB Bancorp, Inc.

    1,414       15,752  

Berkshire Hills Bancorp, Inc.

    4,011       80,421  

BGC Group, Inc. Class A

    14,294       75,472  

Bit Digital, Inc. * (China)

    5,666       12,125  

Blackstone Mortgage Trust, Inc. Class A REIT

    15,174       330,034  

Blue Foundry Bancorp *

    2,132       17,845  

Blue Ridge Bankshares, Inc.

    1,471       6,649  

Braemar Hotels & Resorts, Inc. REIT

    6,177       17,110  

Brandywine Realty Trust REIT

    15,654       71,069  

Bread Financial Holdings, Inc.

    19,058       651,784  

Bridgewater Bancshares, Inc. *

    1,782       16,893  

Brightsphere Investment Group, Inc.

    1,731       33,564  

BrightSpire Capital, Inc. REIT

    11,622       72,754  

Broadstone Net Lease, Inc. REIT

    16,673       238,424  

Brookline Bancorp, Inc.

    7,924       72,188  

BRT Apartments Corp. REIT

    1,064       18,375  

Burke & Herbert Financial Services Corp.

    529       24,580  

Business First Bancshares, Inc.

    2,141       40,165  

Byline Bancorp, Inc.

    2,259       44,525  

C&F Financial Corp.

    253       13,561  

Cadence Bank

    16,045       340,475  

Cambridge Bancorp

    683       42,544  

Camden National Corp.

    17,695       499,353  

Cannae Holdings, Inc. *

    6,451       120,247  

Capital Bancorp, Inc.

    982       18,786  

Capital City Bank Group, Inc.

    743       22,164  

Capitol Federal Financial, Inc.

    11,458       54,655  

Capstar Financial Holdings, Inc.

    1,745       24,762  

CareTrust REIT, Inc.

    8,087       165,783  

Carter Bankshares, Inc. *

    2,137       26,777  

Cathay General Bancorp

    6,157       214,017  

CBL & Associates Properties, Inc. REIT

    535       11,224  

Centerspace REIT

    1,355       81,652  

Central Pacific Financial Corp.

    2,426       40,466  

Central Valley Community Bancorp

    894       12,614  

Chatham Lodging Trust REIT

    4,353       41,658  

Chemung Financial Corp.

    269       10,655  

Chicago Atlantic Real Estate Finance, Inc. REIT

    1,444       21,256  

Chimera Investment Corp. REIT

    20,392       111,340  

ChoiceOne Financial Services, Inc.

    558       10,959  

Citizens & Northern Corp.

    1,315       23,078  

Citizens Financial Services, Inc.

    288       13,801  

City Holding Co.

    1,192       107,697  

City Office REIT, Inc.

    3,716       15,793  

Civista Bancshares, Inc.

    1,339       20,754  

Claros Mortgage Trust, Inc. REIT

    8,048       89,172  

Clipper Realty, Inc. REIT

    107       554  

CNB Financial Corp.

    1,810       32,779  

CNO Financial Group, Inc.

    93,442       2,217,379  

Codorus Valley Bancorp, Inc.

    806       15,024  

Colony Bankcorp, Inc.

    1,455       14,543  

Columbia Banking System, Inc.

    121,330       2,462,999  

Columbia Financial, Inc. *

    1,449       22,764  

Community Bank System, Inc.

    4,685       197,754  

Community Healthcare Trust, Inc. REIT

    813       24,146  

Community Trust Bancorp, Inc.

    1,354       46,388  

Compass Diversified Holdings

    5,542       104,023  

Compass, Inc. Class A *

    4,195       12,166  
   

    

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ConnectOne Bancorp, Inc.

    3,258       $ 58,090  

Consumer Portfolio Services, Inc. *

    894       8,109  

COPT Defense Properties REIT

    9,993       238,133  

CrossFirst Bankshares, Inc. *

    4,078       41,147  

CTO Realty Growth, Inc. REIT

    2,093       33,928  

Cushman & Wakefield PLC *

    10,623       80,947  

Customers Bancorp, Inc. *

    2,500       86,125  

CVB Financial Corp.

    11,730       194,366  

DiamondRock Hospitality Co. REIT

    18,572       149,133  

Dime Community Bancshares, Inc.

    3,182       63,513  

Diversified Healthcare Trust REIT

    21,155       41,041  

Donegal Group, Inc. Class A

    1,194       17,020  

Douglas Elliman, Inc.

    6,928       15,657  

Douglas Emmett, Inc. REIT

    11,076       141,330  

Dynex Capital, Inc. REIT

    4,732       56,500  

Eagle Bancorp, Inc.

    2,625       56,306  

Easterly Government Properties, Inc. REIT

    8,236       94,137  

Eastern Bankshares, Inc.

    13,633       170,958  

eHealth, Inc. *

    1,652       12,225  

Ellington Financial, Inc. REIT

    5,658       70,555  

Elme Communities REIT

    7,971       108,724  

Empire State Realty Trust, Inc. Class A REIT

    11,677       93,883  

Employers Holdings, Inc.

    2,309       92,245  

Enact Holdings, Inc.

    2,632       71,669  

Encore Capital Group, Inc. *

    2,043       97,574  

Enova International, Inc. *

    2,717       138,214  

Enstar Group Ltd. *

    1,052       254,584  

Enterprise Bancorp, Inc.

    826       22,616  

Enterprise Financial Services Corp.

    3,187       119,512  

Equity Bancshares, Inc. Class A

    1,348       32,446  

Equity Commonwealth REIT

    9,308       170,988  

Esquire Financial Holdings, Inc.

    54       2,467  

ESSA Bancorp, Inc.

    693       10,402  

Essent Group Ltd.

    9,312       440,364  

Essential Properties Realty Trust, Inc. REIT

    12,281       265,638  

Evans Bancorp, Inc.

    426       11,417  

F&G Annuities & Life, Inc.

    1,608       45,120  

Farmers & Merchants Bancorp, Inc.

    1,134       19,879  

Farmers National Banc Corp.

    3,176       36,715  

Farmland Partners, Inc. REIT

    4,323       44,354  

FB Financial Corp.

    3,201       90,780  

Federal Agricultural Mortgage Corp. Class C

    661       101,992  

Fidelis Insurance Holdings Ltd. * (Bermuda)

    954       14,005  

Fidelity D&D Bancorp, Inc.

    409       18,569  

Finance Of America Cos., Inc. Class A *

    4,239       5,426  

Financial Institutions, Inc.

    1,290       21,711  

First BanCorp

    14,340       193,016  

First Bancorp, Inc.

    862       20,257  

First Bancshares, Inc.

    2,776       74,869  

First Bank

    1,761       18,984  

First Busey Corp.

    4,542       87,297  

First Business Financial Services, Inc.

    747       22,417  

First Commonwealth Financial Corp.

    25,933       316,642  

First Community Bankshares, Inc.

    1,586       46,708  

First Community Corp.

    668       11,536  

First Financial Bancorp

    8,273       162,151  

First Financial Corp.

    1,071       36,211  

First Foundation, Inc.

    4,600       27,968  

First Interstate BancSystem, Inc. Class A

    79,634       1,986,072  

First Merchants Corp.

    5,240       145,777  

First Mid Bancshares, Inc.

    1,682       44,674  

First of Long Island Corp.

    1,875       21,581  

First Western Financial, Inc. *

    790       14,339  

FirstCash Holdings, Inc.

    15,680       441,235  

Five Star Bancorp

    742       14,885  

Flushing Financial Corp.

    2,468       32,405  

Forge Global Holdings, Inc. *

    9,188       18,652  

Four Corners Property Trust, Inc. REIT

    6,893       152,956  

Franklin BSP Realty Trust, Inc. REIT

    7,329       97,036  

FRP Holdings, Inc. *

    601       32,436  

FS Bancorp, Inc.

    385       11,358  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

124

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

FTAI Infrastructure, Inc.

    8,722       $ 28,085  

Fulton Financial Corp.

    14,461       175,123  

FVCBankcorp, Inc. *

    1,543       19,766  

GCM Grosvenor, Inc. Class A

    170       1,319  

Genworth Financial, Inc. Class A *

    42,007       246,161  

German American Bancorp, Inc.

    24,820       672,374  

Getty Realty Corp. REIT

    4,036       111,918  

Glacier Bancorp, Inc.

    9,840       280,440  

Gladstone Commercial Corp. REIT

    2,915       35,446  

Gladstone Land Corp. REIT

    3,019       42,960  

Global Medical REIT, Inc.

    5,488       49,227  

Global Net Lease, Inc. REIT

    17,379       167,012  

GoHealth, Inc. Class A *

    386       5,593  

Granite Point Mortgage Trust, Inc. REIT

    4,374       21,345  

Great Southern Bancorp, Inc.

    817       39,151  

Greene County Bancorp, Inc.

    304       7,311  

Greenlight Capital Re Ltd. Class A *

    2,038       21,888  

Guaranty Bancshares, Inc.

    770       22,091  

Hamilton Lane, Inc. Class A

    1,310       118,476  

Hancock Whitney Corp.

    7,649       282,937  

Hanmi Financial Corp.

    2,797       45,395  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    8,503       180,264  

Hanover Insurance Group, Inc.

    25,565       2,837,204  

HarborOne Bancorp, Inc.

    3,590       34,177  

HBT Financial, Inc.

    1,208       22,034  

Heartland Financial USA, Inc.

    3,735       109,921  

Heritage Commerce Corp.

    5,359       45,391  

Heritage Financial Corp.

    3,198       52,159  

Hersha Hospitality Trust Class A REIT

    2,647       26,099  

Highwoods Properties, Inc. REIT

    51,228       1,055,809  

Hilltop Holdings, Inc.

    4,121       116,872  

Hingham Institution For Savings

    135       25,211  

Hippo Holdings, Inc. *

    806       6,424  

Home Bancorp, Inc.

    604       19,249  

Home BancShares, Inc.

    16,814       352,085  

HomeStreet, Inc.

    1,585       12,347  

HomeTrust Bancshares, Inc.

    1,130       24,487  

Hope Bancorp, Inc.

    10,282       90,996  

Horace Mann Educators Corp.

    64,141       1,884,463  

Horizon Bancorp, Inc.

    3,931       41,983  

Hudson Pacific Properties, Inc. REIT

    11,919       79,261  

Independence Realty Trust, Inc. REIT

    20,099       282,793  

Independent Bank Corp.

    3,892       191,058  

Independent Bank Corp. MI

    1,774       32,535  

Independent Bank Group, Inc.

    3,221       127,391  

Innovative Industrial Properties, Inc. REIT

    2,473       187,107  

International Bancshares Corp.

    4,719       204,521  

InvenTrust Properties Corp. REIT

    6,036       143,717  

Invesco Mortgage Capital, Inc. REIT

    3,822       38,258  

Investors Title Co.

    79       11,699  

Jackson Financial, Inc. Class A

    7,306       279,235  

James River Group Holdings Ltd.

    3,153       48,399  

JBG SMITH Properties REIT

    9,641       139,409  

John Marshall Bancorp, Inc.

    1,089       19,439  

Kearny Financial Corp.

    4,931       34,172  

Kennedy-Wilson Holdings, Inc.

    10,520       155,065  

Kite Realty Group Trust REIT

    19,308       413,577  

KKR Real Estate Finance Trust, Inc. REIT

    5,312       63,053  

Ladder Capital Corp. REIT

    10,046       103,072  

Lakeland Bancorp, Inc.

    5,648       71,278  

Lakeland Financial Corp.

    2,078       98,622  

LCNB Corp.

    850       12,130  

Legacy Housing Corp. *

    842       16,343  

Lemonade, Inc. *

    3,798       44,133  

LendingClub Corp . *

    9,269       56,541  

LendingTree, Inc. *

    794       12,307  

Live Oak Bancshares, Inc.

    3,010       87,139  

LTC Properties, Inc. REIT

    3,716       119,395  

Luther Burbank Corp.

    1,257       10,559  

LXP Industrial Trust REIT

    25,660       228,374  
   

    

Shares

   

Value

 

Macatawa Bank Corp.

    2,049       $ 18,359  

Macerich Co. REIT

    19,108       208,468  

Maiden Holdings Ltd. *

    7,589       13,357  

MainStreet Bancshares, Inc.

    548       11,256  

Marcus & Millichap, Inc.

    1,288       37,790  

MBIA, Inc. *

    4,317       31,126  

McGrath RentCorp

    35,820       3,590,597  

Mercantile Bank Corp.

    1,431       44,232  

Merchants Bancorp

    1,420       39,362  

Mercury General Corp.

    2,376       66,599  

Metrocity Bankshares, Inc.

    1,622       31,921  

Metropolitan Bank Holding Corp. *

    839       30,439  

MFA Financial, Inc. REIT

    8,939       85,904  

Mid Penn Bancorp, Inc.

    1,281       25,787  

Middlefield Banc Corp.

    645       16,389  

Midland States Bancorp, Inc.

    1,928       39,601  

MidWestOne Financial Group, Inc.

    1,248       25,372  

Moelis & Co. Class A

    2,470       111,471  

Mr Cooper Group, Inc. *

    5,761       308,559  

MVB Financial Corp.

    999       22,557  

National Bank Holdings Corp. Class A

    2,994       89,101  

National Bankshares, Inc.

    449       11,243  

National Health Investors, Inc. REIT

    3,367       172,929  

National Western Life Group, Inc. Class A

    199       87,061  

Navient Corp.

    7,858       135,315  

NBT Bancorp, Inc.

    3,732       118,267  

Nelnet, Inc. Class A

    1,289       115,133  

NETSTREIT Corp. REIT

    6,047       94,212  

New York Mortgage Trust, Inc. REIT

    8,182       69,465  

Newmark Group, Inc. Class A

    12,374       79,565  

NewtekOne, Inc.

    2,024       29,854  

NexPoint Diversified Real Estate Trust REIT

    2,847       24,797  

Nexpoint Real Estate Finance, Inc. REIT

    695       11,370  

NexPoint Residential Trust, Inc. REIT

    1,420       45,696  

NI Holdings, Inc. *

    657       8,456  

Nicolet Bankshares, Inc.

    1,151       80,317  

NMI Holdings, Inc. Class A *

    6,717       181,964  

Northeast Bank

    564       24,872  

Northeast Community Bancorp, Inc.

    1,143       16,871  

Northfield Bancorp, Inc.

    3,846       36,345  

Northrim BanCorp, Inc.

    494       19,572  

Northwest Bancshares, Inc.

    11,351       116,121  

Norwood Financial Corp.

    579       14,915  

Oak Valley Bancorp

    590       14,797  

OceanFirst Financial Corp.

    5,257       76,069  

Ocwen Financial Corp. *

    576       14,907  

Office Properties Income Trust REIT

    4,228       17,335  

OFG Bancorp

    4,123       123,113  

Old National Bancorp

    25,945       377,240  

Old Second Bancorp, Inc.

    3,928       53,460  

One Liberty Properties, Inc. REIT

    1,433       27,041  

OppFi, Inc. *

    1,579       3,979  

Orange County Bancorp, Inc.

    424       18,304  

Orchid Island Capital, Inc. REIT

    3,979       33,861  

Origin Bancorp, Inc.

    2,556       73,792  

Orion Office REIT, Inc.

    4,930       25,685  

Orrstown Financial Services, Inc.

    898       18,867  

Outfront Media, Inc. REIT

    6,955       70,245  

Pacific Premier Bancorp, Inc.

    8,372       182,175  

PacWest Bancorp

    10,302       81,489  

Pagseguro Digital Ltd. Class A * (Brazil)

    6,718       57,842  

Paramount Group, Inc. REIT

    16,924       78,189  

Park National Corp.

    1,280       120,986  

Parke Bancorp, Inc.

    931       15,166  

Pathward Financial, Inc.

    1,598       73,652  

PCB Bancorp

    939       14,508  

Peakstone Realty Trust REIT *

    3,171       52,765  

Peapack-Gladstone Financial Corp.

    1,575       40,399  

Pebblebrook Hotel Trust REIT

    10,884       147,914  

Penns Woods Bancorp, Inc.

    490       10,329  

PennyMac Financial Services, Inc.

    2,128       141,725  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

125

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

PennyMac Mortgage Investment Trust REIT

    7,804       $ 96,770  

Peoples Bancorp, Inc.

    38,650       980,937  

Peoples Financial Services Corp.

    615       24,661  

Phillips Edison & Co., Inc. REIT

    8,609       288,746  

Physicians Realty Trust REIT

    21,038       256,453  

Piedmont Office Realty Trust, Inc. Class A REIT

    11,365       63,871  

Pioneer Bancorp, Inc. *

    989       8,446  

Piper Sandler Cos.

    5,985       869,680  

Plumas Bancorp

    370       12,632  

Plymouth Industrial REIT, Inc.

    3,789       79,380  

Ponce Financial Group, Inc. *

    1,825       14,272  

Postal Realty Trust, Inc. Class A REIT

    1,840       24,840  

PotlatchDeltic Corp. REIT

    6,982       316,913  

PRA Group, Inc. *

    3,378       64,891  

Preferred Bank

    787       48,991  

Premier Financial Corp.

    3,102       52,920  

Primis Financial Corp.

    1,810       14,751  

Princeton Bancorp, Inc.

    418       12,118  

ProAssurance Corp.

    4,607       87,026  

Provident Financial Services, Inc.

    6,483       99,125  

QCR Holdings, Inc.

    1,492       72,392  

Radian Group, Inc.

    13,823       347,096  

RBB Bancorp

    1,494       19,093  

RE/MAX Holdings, Inc. Class A

    1,563       20,225  

Ready Capital Corp. REIT

    14,240       143,966  

Red River Bancshares, Inc.

    408       18,752  

Redwood Trust, Inc. REIT

    9,965       71,050  

Regional Management Corp.

    607       16,802  

Renasant Corp.

    4,861       127,310  

Republic Bancorp, Inc. Class A

    719       31,672  

Retail Opportunity Investments Corp. REIT

    11,040       136,675  

RLJ Lodging Trust REIT

    14,003       137,089  

RMR Group, Inc. Class A

    433       10,617  

RPT Realty REIT

    7,636       80,636  

S&T Bancorp, Inc.

    3,446       93,318  

Sabra Health Care REIT, Inc.

    20,512       285,937  

Safehold, Inc. REIT

    3,891       69,260  

Safety Insurance Group, Inc.

    1,298       88,511  

Sandy Spring Bancorp, Inc.

    3,851       82,527  

Saul Centers, Inc. REIT

    142       5,008  

Sculptor Capital Management, Inc.

    778       9,025  

Seacoast Banking Corp. of Florida

    36,409       799,542  

Security National Financial Corp. Class A *

    900       7,056  

Selectquote, Inc. *

    12,121       14,182  

Service Properties Trust REIT

    14,763       113,527  

ServisFirst Bancshares, Inc.

    2,994       156,197  

Shore Bancshares, Inc.

    2,639       27,762  

Sierra Bancorp

    1,188       22,524  

Simmons First National Corp. Class A

    11,294       191,546  

SiriusPoint Ltd. * (Bermuda)

    7,438       75,644  

SITE Centers Corp. REIT

    17,074       210,522  

Skyward Specialty Insurance Group, Inc. *

    1,483       40,575  

SL Green Realty Corp. REIT

    5,339       199,145  

SmartFinancial, Inc.

    1,404       30,003  

South Plains Financial, Inc.

    977       25,832  

Southern First Bancshares, Inc. *

    708       19,074  

Southern Missouri Bancorp, Inc.

    745       28,824  

Southern States Bancshares, Inc.

    528       11,928  

Southside Bancshares, Inc.

    2,573       73,845  

SouthState Corp.

    37,808       2,546,747  

STAG Industrial, Inc. REIT

    7,804       269,316  

Star Holdings *

    1,253       15,688  

Stellar Bancorp, Inc.

    4,036       86,048  

Sterling Bancorp, Inc. *

    1,711       9,992  

Stewart Information Services Corp.

    2,374       103,981  

Stock Yards Bancorp, Inc.

    304       11,944  

StoneX Group, Inc. *

    1,415       137,142  

Stratus Properties, Inc. *

    540       14,796  

Summit Financial Group, Inc.

    977       22,022  

Summit Hotel Properties, Inc. REIT

    9,740       56,492  
   

    

Shares

   

Value

 

Sunstone Hotel Investors, Inc. REIT

    158,615       $ 1,483,050  

SWK Holdings Corp. *

    130       2,048  

Tanger Factory Outlet Centers, Inc. REIT

    4,753       107,418  

Terreno Realty Corp. REIT

    7,239       411,175  

Texas Capital Bancshares, Inc. *

    4,249       250,266  

Third Coast Bancshares, Inc. *

    993       16,980  

Timberland Bancorp, Inc.

    658       17,832  

Tiptree, Inc.

    1,647       27,604  

Tompkins Financial Corp.

    1,214       59,474  

Towne Bank

    6,182       141,753  

TPG RE Finance Trust, Inc. REIT

    6,335       42,635  

Transcontinental Realty Investors, Inc. REIT *

    176       5,389  

TriCo Bancshares

    30,518       977,492  

Triumph Financial, Inc. *

    1,967       127,442  

TrustCo Bank Corp.

    1,589       43,364  

Trustmark Corp.

    5,389       117,103  

Two Harbors Investment Corp. REIT

    8,641       114,407  

UMB Financial Corp.

    3,905       242,305  

UMH Properties, Inc. REIT

    4,237       59,403  

United Bankshares, Inc.

    11,520       317,837  

United Community Banks, Inc.

    10,106       256,793  

United Fire Group, Inc.

    1,913       37,782  

Uniti Group, Inc. REIT

    21,101       99,597  

Unity Bancorp, Inc.

    584       13,683  

Universal Insurance Holdings, Inc.

    1,815       25,446  

Univest Financial Corp.

    2,534       44,041  

Urban Edge Properties REIT

    10,132       154,614  

USCB Financial Holdings, Inc. *

    1,135       11,929  

Valley National Bancorp

    38,173       326,761  

Velocity Financial, Inc. *

    901       10,181  

Veris Residential, Inc. REIT

    7,092       117,018  

Veritex Holdings, Inc.

    4,088       73,380  

Victory Capital Holdings, Inc. Class A

    268       8,935  

Virginia National Bankshares Corp.

    412       12,504  

Virtus Investment Partners, Inc.

    531       107,257  

Walker & Dunlop, Inc.

    2,799       207,798  

Washington Federal, Inc.

    5,837       149,544  

Washington Trust Bancorp, Inc.

    1,542       40,601  

Waterstone Financial, Inc.

    1,613       17,662  

WesBanco, Inc.

    5,143       125,592  

West BanCorp, Inc.

    1,481       24,155  

Westamerica BanCorp

    1,596       69,027  

Whitestone REIT

    4,399       42,362  

World Acceptance Corp. *

    332       42,184  

WSFS Financial Corp.

    51,006       1,861,719  

Xenia Hotels & Resorts, Inc. REIT

    9,828       115,774  
   

 

 

 
    62,736,209  
   

 

 

 

Industrial - 16.5%

 

908 Devices, Inc. *

    2,123       14,139  

AAR Corp. *

    3,078       183,233  

AerSale Corp. *

    2,202       32,898  

Air Transport Services Group, Inc. *

    5,031       104,997  

Albany International Corp. Class A

    348       30,025  

American Woodmark Corp. *

    1,340       101,317  

AMMO, Inc. *

    7,327       14,801  

Apogee Enterprises, Inc.

    1,227       57,767  

ArcBest Corp.

    1,276       129,705  

Archer Aviation, Inc. Class A *

    13,410       67,855  

Arcosa, Inc.

    4,285       308,092  

Ardmore Shipping Corp. (Ireland)

    3,667       47,708  

Argan, Inc.

    1,132       51,529  

Aspen Aerogels, Inc. *

    4,712       40,523  

Astec Industries, Inc.

    2,019       95,115  

Astronics Corp. *

    2,325       36,875  

Atmus Filtration Technologies, Inc. *

    47,994       1,000,675  

AZZ, Inc.

    2,209       100,686  

Babcock & Wilcox Enterprises, Inc. *

    4,896       20,612  

Barnes Group, Inc.

    4,286       145,595  

Bel Fuse, Inc. Class B

    874       41,707  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

126

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Belden, Inc.

    1,412       $ 136,329  

Benchmark Electronics, Inc.

    48,475       1,176,004  

Blink Charging Co. *

    1,742       5,331  

Boise Cascade Co.

    3,495       360,125  

CECO Environmental Corp. *

    2,640       42,161  

Chart Industries, Inc. *

    1,464       247,592  

Chase Corp.

    96       12,214  

CIRCOR International, Inc. *

    192       10,704  

Clearwater Paper Corp . *

    1,507       54,629  

Coherent Corp. *

    8,632       281,749  

Columbus McKinnon Corp.

    47,167       1,646,600  

Comtech Telecommunications Corp.

    2,519       22,041  

Concrete Pumping Holdings, Inc. *

    838       7,190  

Core Molding Technologies, Inc. *

    641       18,262  

Costamare, Inc. (Monaco)

    4,137       39,798  

Covenant Logistics Group, Inc.

    746       32,712  

CryoPort, Inc. *

    433       5,936  

CTS Corp.

    1,781       74,339  

DHT Holdings, Inc.

    12,068       124,300  

Dorian LPG Ltd.

    1,092       31,373  

Ducommun, Inc. *

    1,146       49,862  

DXP Enterprises, Inc. *

    1,218       42,557  

Eagle Bulk Shipping, Inc.

    826       34,717  

Eastman Kodak Co. *

    5,296       22,296  

Encore Wire Corp.

    1,416       258,363  

EnerSys

    255       24,141  

EnPro Industries, Inc.

    1,839       222,868  

Enviri Corp. *

    6,890       49,746  

ESCO Technologies, Inc.

    925       96,607  

ESS Tech, Inc. *

    8,795       16,535  

Evolv Technologies Holdings, Inc. *

    8,209       39,896  

FARO Technologies, Inc. *

    1,482       22,571  

FLEX LNG Ltd. * (Norway)

    831       25,063  

Fluor Corp. *

    926       33,984  

GATX Corp.

    2,925       318,328  

Genco Shipping & Trading Ltd.

    3,604       50,420  

Gencor Industries, Inc. *

    796       11,247  

Gibraltar Industries, Inc. *

    1,203       81,215  

Golden Ocean Group Ltd. * (Norway)

    10,735       84,592  

GoPro, Inc. Class A *

    11,844       37,190  

Gorman-Rupp Co.

    1,574       51,785  

GrafTech International Ltd.

    7,324       28,051  

Granite Construction, Inc.

    3,372       128,203  

Great Lakes Dredge & Dock Corp. *

    5,696       45,397  

Greenbrier Cos., Inc.

    2,687       107,480  

Greif, Inc. Class A

    2,175       145,312  

Greif, Inc. Class B

    439       29,220  

Griffon Corp.

    1,546       61,330  

Heartland Express, Inc.

    4,079       59,921  

Heritage-Crystal Clean, Inc. *

    1,289       58,456  

Hillman Solutions Corp . *

    17,105       141,116  

Himalaya Shipping Ltd. * (Bermuda)

    667       3,222  

Hub Group, Inc. Class A *

    2,788       218,970  

Ichor Holdings Ltd. *

    2,556       79,134  

INNOVATE Corp. *

    3,851       6,239  

Insteel Industries, Inc.

    13,230       429,446  

International Seaways, Inc.

    3,587       161,415  

Intevac, Inc. *

    2,028       6,307  

Iteris, Inc. *

    1,353       5,601  

Itron, Inc. *

    3,641       220,572  

JELD-WEN Holding, Inc. *

    7,586       101,349  

Joby Aviation, Inc. *

    16,521       106,560  

Kaman Corp.

    2,428       47,710  

Kennametal, Inc.

    7,166       178,290  

Kimball Electronics, Inc. *

    1,616       44,246  

Knife River Corp. *

    4,974       242,880  

Knowles Corp. *

    143,619       2,126,997  

Kratos Defense & Security Solutions, Inc. *

    10,952       164,499  

Latham Group, Inc. *

    3,639       10,189  

Li-Cycle Holdings Corp. * (Canada)

    12,322       43,743  

Limbach Holdings, Inc. *

    644       20,434  
   

    

Shares

   

Value

 

Louisiana-Pacific Corp.

    18,966       $ 1,048,251  

LSB Industries, Inc. *

    4,728       48,367  

LSI Industries, Inc.

    490       7,781  

Luxfer Holdings PLC (United Kingdom)

    2,364       30,850  

Manitowoc Co., Inc. *

    3,184       47,919  

Marten Transport Ltd.

    1,083       21,346  

Masonite International Corp. *

    16,464       1,534,774  

Masterbrand, Inc. *

    11,463       139,275  

Matson, Inc.

    3,127       277,427  

Mayville Engineering Co., Inc. *

    907       9,950  

Melrose Industries PLC (United Kingdom)

    168,282       959,274  

Mirion Technologies, Inc. *

    17,675       132,032  

Mistras Group, Inc. *

    1,806       9,843  

Modine Manufacturing Co. *

    1,619       74,069  

Moog, Inc. Class A

    1,995       225,355  

Mueller Industries, Inc.

    2,793       209,922  

Mueller Water Products, Inc. Class A

    118,906       1,507,728  

National Presto Industries, Inc.

    445       32,245  

NL Industries, Inc.

    952       4,522  

nLight, Inc. *

    4,003       41,631  

Nordic American Tankers Ltd.

    17,739       73,085  

Northwest Pipe Co. *

    896       27,032  

NV5 Global, Inc. *

    109       10,489  

NVE Corp.

    35       2,875  

O-I Glass, Inc. *

    2,071       34,648  

Olympic Steel, Inc.

    874       49,128  

Overseas Shipholding Group, Inc. Class A *

    5,399       23,702  

Pactiv Evergreen, Inc.

    3,762       30,585  

PAM Transportation Services, Inc. *

    502       10,818  

Pangaea Logistics Solutions Ltd.

    2,893       17,011  

Park Aerospace Corp.

    1,636       25,407  

Park-Ohio Holdings Corp.

    751       14,952  

Plexus Corp. *

    283       26,313  

Powell Industries, Inc.

    823       68,227  

Primoris Services Corp.

    59,209       1,937,911  

Proto Labs, Inc. *

    2,312       61,037  

PureCycle Technologies, Inc. *

    8,024       45,015  

Radiant Logistics, Inc. *

    3,308       18,690  

Ranpak Holdings Corp. *

    4,021       21,874  

Regal Rexnord Corp.

    8,565       1,223,767  

RXO, Inc. *

    1,352       26,675  

Ryerson Holding Corp.

    21,711       631,573  

Safe Bulkers, Inc. (Greece)

    5,583       18,089  

Sanmina Corp. *

    4,793       260,164  

Scorpio Tankers, Inc. (Monaco)

    4,351       235,476  

Senior PLC (United Kingdom)

    657,800       1,308,208  

SFL Corp. Ltd. (Norway)

    10,068       112,258  

SmartRent, Inc. *

    15,922       41,556  

Smith & Wesson Brands, Inc.

    4,151       53,589  

Southland Holdings, Inc. *

    349       2,118  

SPX Technologies, Inc. *

    654       53,236  

Standex International Corp.

    191       27,827  

Stantec, Inc. (Canada)

    11,920       773,429  

Sterling Infrastructure, Inc. *

    322       23,661  

Stoneridge, Inc. *

    1,827       36,668  

Sturm Ruger & Co., Inc.

    92       4,795  

Summit Materials, Inc. Class A *

    13,755       428,331  

Teekay Corp. * (Bermuda)

    5,685       35,076  

Teekay Tankers Ltd. Class A (Canada)

    2,140       89,088  

Tennant Co.

    771       57,170  

Terex Corp.

    2,470       142,321  

Thermon Group Holdings, Inc. *

    2,653       72,878  

Timken Co.

    811       59,600  

TimkenSteel Corp. *

    3,830       83,188  

Tredegar Corp.

    2,091       11,312  

TriMas Corp.

    3,639       90,102  

Trinity Industries, Inc.

    5,811       141,498  

Triumph Group, Inc. *

    5,714       43,769  

TTM Technologies, Inc. *

    9,185       118,303  

Turtle Beach Corp. *

    1,466       13,304  

Tutor Perini Corp. *

    3,585       28,071  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

127

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

UFP Industries, Inc.

    28,792       $ 2,948,301  

Universal Logistics Holdings, Inc.

    605       15,234  

Vishay Intertechnology, Inc.

    11,333       280,152  

Werner Enterprises, Inc.

    4,736       184,467  

Willis Lease Finance Corp. *

    235       9,941  

World Kinect Corp.

    5,454       122,333  

Worthington Industries, Inc.

    2,724       168,398  

Xometry, Inc. Class A *

    2,642       44,861  

Zurn Elkay Water Solutions Corp. Class C

    47,115       1,320,162  
   

 

 

 
    33,753,824  
   

 

 

 

Technology - 5.5%

 

3D Systems Corp. *

    11,398       55,964  

ACI Worldwide, Inc. *

    157,839       3,560,848  

ACM Research, Inc. Class A *

    3,499       63,349  

Adeia, Inc.

    1,215       12,976  

Alpha & Omega Semiconductor Ltd. *

    2,051       61,202  

Ambarella, Inc. *

    1,252       66,394  

American Software, Inc. Class A

    709       8,125  

Amkor Technology, Inc.

    9,017       203,784  

Asure Software, Inc. *

    1,361       12,875  

Atomera, Inc. *

    563       3,524  

Avid Technology, Inc . *

    839       22,544  

AvidXchange Holdings, Inc. *

    1,251       11,860  

Bandwidth, Inc. Class A *

    1,553       17,502  

Brightcove, Inc. *

    3,978       13,088  

C3.ai, Inc. Class A *

    1,327       33,865  

Cantaloupe, Inc. *

    1,664       10,400  

Cardlytics, Inc. *

    2,934       48,411  

Cerence, Inc. *

    3,577       72,864  

CEVA, Inc. *

    293       5,681  

Climb Global Solutions, Inc.

    76       3,269  

Cohu, Inc. *

    51,921       1,788,159  

CommVault Systems, Inc. *

    245       16,564  

Computer Programs & Systems, Inc. *

    1,240       19,766  

Conduent, Inc. *

    15,645       54,445  

Consensus Cloud Solutions, Inc. *

    797       20,068  

CS Disco, Inc. *

    2,012       13,360  

Daily Journal Corp. *

    91       26,754  

Definitive Healthcare Corp. *

    2,609       20,846  

Desktop Metal, Inc. Class A *

    24,335       35,529  

Digi International, Inc. *

    350       9,450  

Digital Turbine, Inc. *

    6,086       36,820  

Diodes, Inc. *

    861       67,881  

Donnelley Financial Solutions, Inc. *

    605       34,049  

E2open Parent Holdings, Inc. *

    15,068       68,409  

Ebix, Inc.

    1,710       16,895  

EverCommerce, Inc. *

    470       4,714  

Fastly, Inc. Class A *

    1,658       31,784  

Grid Dynamics Holdings, Inc. *

    1,044       12,716  

Health Catalyst, Inc. *

    2,146       21,718  

HireRight Holdings Corp. *

    1,424       13,542  

Immersion Corp.

    2,815       18,607  

IonQ, Inc. *

    11,904       177,132  

Kulicke & Soffa Industries, Inc. (Singapore)

    1,444       70,222  

Matterport, Inc. *

    21,937       47,603  

MeridianLink, Inc. *

    766       13,068  

Mitek Systems, Inc. *

    275       2,948  

N-Able, Inc. *

    578       7,456  

Navitas Semiconductor Corp. *

    8,087       56,205  

NetScout Systems, Inc. *

    25,989       728,212  

NextGen Healthcare, Inc. *

    2,041       48,433  

NextNav, Inc. *

    623       3,202  

Olo, Inc. Class A *

    3,770       22,846  

ON24, Inc.

    2,783       17,616  

OneSpan, Inc. *

    300       3,225  

Onto Innovation, Inc. *

    14,094       1,797,267  

Outbrain, Inc. *

    3,440       16,753  

PAR Technology Corp. *

    2,147       82,745  

Parsons Corp. *

    1,997       108,537  
   

    

Shares

   

Value

 

Photronics, Inc. *

    5,399       $ 109,114  

Planet Labs PBC *

    1,559       4,053  

Playstudios, Inc. *

    7,771       24,712  

PROS Holdings, Inc. *

    1,091       37,770  

PubMatic, Inc. Class A *

    3,141       38,006  

Rackspace Technology, Inc. *

    6,407       15,056  

Richardson Electronics Ltd.

    1,085       11,859  

Semtech Corp. *

    5,642       145,282  

Sharecare, Inc. *

    24,559       23,095  

Skillsoft Corp. *

    8,826       7,823  

SMART Global Holdings, Inc. *

    3,362       81,865  

SolarWinds Corp. *

    4,717       44,529  

Synaptics, Inc. *

    3,186       284,956  

System1, Inc. *

    2,370       2,868  

Tingo Group, Inc. *

    10,136       10,389  

Ultra Clean Holdings, Inc. *

    3,965       117,642  

Unisys Corp. *

    5,513       19,020  

Veeco Instruments, Inc. *

    4,536       127,507  

Veradigm, Inc. *

    9,480       124,567  

Verint Systems, Inc. *

    453       10,414  

Vimeo, Inc. *

    4,272       15,123  

Vishay Precision Group, Inc. *

    1,066       35,796  

Vuzix Corp. *

    5,624       20,415  

Xerox Holdings Corp.

    10,153       159,301  
   

 

 

 
    11,295,233  
   

 

 

 

Utilities - 2.4%

 

ALLETE, Inc.

    5,080       268,224  

Altus Power, Inc. *

    5,511       28,933  

Artesian Resources Corp. Class A

    232       9,742  

Avista Corp.

    6,630       214,613  

Black Hills Corp.

    12,098       612,038  

Brookfield Infrastructure Corp. Class A (Canada)

    7,831       276,747  

California Water Service Group

    3,486       164,923  

Chesapeake Utilities Corp.

    556       54,349  

Consolidated Water Co. Ltd. (Cayman)

    982       27,928  

Genie Energy Ltd. Class B

    771       11,357  

IDACORP, Inc.

    5,564       521,069  

MGE Energy, Inc.

    1,586       108,657  

New Jersey Resources Corp.

    4,049       164,511  

Northwest Natural Holding Co.

    3,202       122,188  

Northwestern Energy Group, Inc.

    5,297       254,574  

ONE Gas, Inc.

    4,883       333,411  

Ormat Technologies, Inc.

    1,676       117,186  

Otter Tail Corp.

    1,717       130,355  

PNM Resources, Inc.

    6,704       299,065  

Portland General Electric Co.

    8,572       346,995  

RGC Resources, Inc.

    655       11,331  

SJW Group

    2,820       169,510  

Southwest Gas Holdings, Inc. *

    5,454       329,476  

Spire, Inc.

    4,528       256,194  

Unitil Corp.

    995       42,496  
   

 

 

 
    4,875,872  
   

 

 

 

Total Common Stocks
(Cost $225,592,293)

      201,888,135  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

128

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 1.5%

 

Repurchase Agreements - 0.6%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $1,273,864; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $1,298,926)

    $1,273,338       1,273,338  
   

 

 

 

U.S. Government Agency Issues - 0.9%

 

Federal Home Loan Bank
0.000% due 10/02/23

    1,835,000       1,835,000  
   

 

 

 

Total Short-Term Investments
(Cost $3,108,073)

      3,108,338  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $228,701,801)

      204,998,446  
   

 

 

 

DERIVATIVES - (0.0%)

      (23,435
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    4,732  
   

 

 

 

NET ASSETS - 100.0%

      $204,979,743  
   

 

 

 
   

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1,973 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

129

PACIFIC SELECT FUND

SMALL-CAP EQUITY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME Micro E-Mini Russell

   12/23        155                $1,417,350        $1,393,915        ($23,435
                  

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Consumer, Non-Cyclical

     $1,973        $-        $1,582        $391  
 

Common Stocks

           
 

Basic Materials

     8,806,725        6,548,227        2,258,498        -  
 

Communications

     3,836,115        3,836,115        -        -  
 

Consumer, Cyclical

     28,733,935        28,097,681        636,254        -  
 

Consumer, Non-Cyclical

     28,460,254        26,566,528        1,893,726        -  
 

Energy

     19,389,968        19,389,968        -        -  
 

Financial

     62,736,209        62,736,209        -        -  
 

Industrial

     33,753,824        32,794,550        959,274        -  
 

Technology

     11,295,233        11,295,233        -        -  
 

Utilities

     4,875,872        4,875,872        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     201,888,135        196,140,383        5,747,752        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     3,108,338        -        3,108,338        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     204,998,446        196,140,383        8,857,672        391  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (23,435      (23,435      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (23,435      (23,435      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $204,975,011        $196,116,948        $8,857,672        $391  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

130

PACIFIC SELECT FUND

SMALL-CAP GROWTH PORTFOLIO

Schedule of Investments

September 30, 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 - 95.8%

 

Basic Materials - 2.9%

 

Ashland, Inc.

    30,436       2,486,013  

Axalta Coating Systems Ltd. *

    107,558       2,893,310  

Element Solutions, Inc.

    113,962       2,234,795  
   

 

 

 
    7,614,118  
 

 

 

 

Communications - 1.7%

   

Q2 Holdings, Inc. *

    88,180       2,845,569  

Vivid Seats, Inc. Class A *

    252,714       1,622,424  
   

 

 

 
    4,467,993  
 

 

 

 

Consumer, Cyclical - 9.3%

   

Brunswick Corp.

    31,442       2,483,918  

Deckers Outdoor Corp. *

    5,007       2,574,049  

Five Below, Inc. *

    16,798       2,702,798  

Funko, Inc. Class A *

    95,780       732,717  

Genius Sports Ltd. * (United Kingdom)

    340,226       1,813,405  

Ollie’s Bargain Outlet Holdings, Inc. *

    37,927       2,927,206  

On Holding AG Class A * (Switzerland)

    37,197       1,034,820  

Penn Entertainment, Inc. *

    132,345       3,037,318  

Petco Health & Wellness Co., Inc. *

    256,128       1,047,563  

Skechers USA, Inc. Class A *

    54,948       2,689,705  

Visteon Corp. *

    22,494       3,105,746  
   

 

 

 
    24,149,245  
 

 

 

 

Consumer, Non-Cyclical - 24.8%

   

Abcam PLC ADR * (United Kingdom)

    111,151       2,515,347  

ACELYRIN, Inc. *

    49,887       507,351  

Adaptive Biotechnologies Corp. *

    120,478       656,605  

Allovir, Inc. *

    67,907       146,000  

Amicus Therapeutics, Inc. *

    130,706       1,589,385  

Annexon, Inc. *

    64,988       153,372  

Ascendis Pharma AS ADR * (Denmark)

    8,001       749,214  

BioAtla, Inc. *

    43,207       73,452  

Boyd Group Services, Inc. (Canada)

    14,937       2,656,163  

Bruker Corp.

    34,946       2,177,136  

Certara, Inc. *

    161,874       2,353,648  

Collegium Pharmaceutical, Inc. *

    53,078       1,186,293  

Duckhorn Portfolio, Inc. *

    258,798       2,655,267  

elf Beauty, Inc. *

    12,059       1,324,440  

Envista Holdings Corp. *

    96,004       2,676,592  

European Wax Center, Inc. Class A *

    169,034       2,738,351  

Harmony Biosciences Holdings, Inc. *

    39,691       1,300,674  

HealthEquity, Inc. *

    50,091       3,659,148  

Immunocore Holdings PLC ADR *
(United Kingdom)

    23,994       1,245,289  

Inari Medical, Inc. *

    32,151       2,102,675  

Kymera Therapeutics, Inc. *

    32,659       453,960  

Legend Biotech Corp. ADR *

    20,281       1,362,275  

Lyell Immunopharma, Inc. *

    85,941       126,333  

Maravai LifeSciences Holdings, Inc. Class A *

    85,673       856,730  

Masimo Corp. *

    25,294       2,217,778  

MaxCyte, Inc. *

    154,563       482,237  

Neurocrine Biosciences, Inc. *

    13,184       1,483,200  

Nuvei Corp. ~ (Canada)

    35,423       531,345  
   

Shares

   

Value

 

Oatly Group AB ADR *

    551,059       $493,804  

Optinose, Inc. *

    238,386       293,215  

Oxford Nanopore Technologies PLC *
(United Kingdom)

    272,219       682,868  

Paylocity Holding Corp. *

    9,057       1,645,657  

Prelude Therapeutics, Inc. *

    41,703       128,862  

PROCEPT BioRobotics Corp. *

    52,325       1,716,783  

RB Global, Inc. (Canada)

    88,087       5,505,437  

Remitly Global, Inc. *

    89,522       2,257,745  

Sabre Corp. *

    406,199       1,823,833  

Sana Biotechnology, Inc. *

    66,462       257,208  

Shockwave Medical, Inc. *

    13,354       2,658,781  

Silk Road Medical, Inc. *

    46,509       697,170  

SpringWorks Therapeutics, Inc. *

    31,248       722,454  

TriNet Group, Inc. *

    17,015       1,981,907  

U.S. Foods Holding Corp. *

    87,478       3,472,877  
   

 

 

 
    64,318,861  
 

 

 

 

Energy - 5.7%

   

ChampionX Corp.

    113,014       4,025,559  

Matador Resources Co.

    54,920       3,266,642  

Permian Resources Corp.

    240,142       3,352,382  

TechnipFMC PLC (United Kingdom)

    205,854       4,187,070  
   

 

 

 
    14,831,653  
 

 

 

 

Financial - 5.2%

   

Corp. Inmobiliaria Vesta SAB de CV ADR (Mexico)

    51,008       1,676,633  

GCM Grosvenor, Inc. Class A

    260,777       2,023,629  

Hamilton Lane, Inc. Class A

    26,019       2,353,158  

STAG Industrial, Inc. REIT

    135,005       4,659,023  

WisdomTree, Inc.

    385,511       2,698,577  
   

 

 

 
    13,411,020  
 

 

 

 

Industrial - 22.3%

   

Advanced Energy Industries, Inc.

    42,547       4,387,447  

AeroVironment, Inc. *

    13,376       1,491,825  

AZEK Co., Inc. *

    74,593       2,218,396  

Cactus, Inc. Class A

    57,092       2,866,589  

Crane Co.

    47,068       4,181,521  

CryoPort, Inc. *

    104,740       1,435,985  

Gerresheimer AG (Germany)

    27,355       2,866,290  

GFL Environmental, Inc. (Canada)

    192,483       6,113,260  

Jacobs Solutions, Inc.

    38,451       5,248,561  

Knight-Swift Transportation Holdings, Inc.

    62,965       3,157,695  

Littelfuse, Inc.

    13,113       3,243,107  

NEXTracker, Inc. Class A *

    17,612       707,298  

nVent Electric PLC

    82,026       4,346,558  

Sensata Technologies Holding PLC

    143,410       5,423,766  

Summit Materials, Inc. Class A *

    128,596       4,004,479  

TopBuild Corp. *

    13,066       3,287,406  

XPO, Inc. *

    37,524       2,801,542  
   

 

 

 
    57,781,725  
 

 

 

 

Technology - 23.9%

   

ACV Auctions, Inc. Class A *

    130,747       1,984,740  

Alkami Technology, Inc. *

    172,161       3,136,773  

Allegro MicroSystems, Inc. * (Japan)

    81,317       2,597,265  

AvidXchange Holdings, Inc. *

    109,805       1,040,951  

CACI International, Inc. Class A *

    11,983       3,761,823  

Corsair Gaming, Inc. *

    55,081       800,327  

Definitive Healthcare Corp. *

    156,109       1,247,311  

DoubleVerify Holdings, Inc. *

    141,293       3,949,139  

ExlService Holdings, Inc. *

    170,747       4,787,746  

Five9, Inc. *

    61,419       3,949,242  

FormFactor, Inc. *

    79,964       2,793,942  

KBR, Inc.

    78,505       4,627,085  

Keywords Studios PLC (Ireland)

    120,846       2,272,102  

Kinaxis, Inc. * (Canada)

    23,410       2,640,121  

Nova Ltd. * (Israel)

    21,246       2,388,900  

Onto Innovation, Inc. *

    20,856       2,659,557  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

131

PACIFIC SELECT FUND

SMALL-CAP GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Outset Medical, Inc. *

    54,242       $590,153  

PagerDuty, Inc. *

    110,113       2,476,441  

Paycor HCM, Inc. *

    138,685       3,166,179  

Procore Technologies, Inc. *

    46,084       3,010,207  

Rapid7, Inc. *

    50,584       2,315,736  

Thoughtworks Holding, Inc. *

    411,336       1,678,251  

WNS Holdings Ltd. ADR * (India)

    59,205       4,053,174  
   

 

 

 
    61,927,165  
 

 

 

 

Total Common Stocks
(Cost $278,778,722)

      248,501,780  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 3.9%

 

U.S. Government Agency Issues - 3.9%

 

Federal Home Loan Bank
0.000% due 10/02/23

    $10,223,000       10,223,000  
   

 

 

 

Total Short-Term Investments
(Cost $10,221,523)

      10,223,000  
   

 

 

 

TOTAL INVESTMENTS - 99.7%
(Cost $289,000,982)

      258,724,780  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

 

    662,096  
 

 

 

 

NET ASSETS - 100.0%

 

    $259,386,876  
 

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $7,614,118        $7,614,118        $-        $-  
 

Communications

     4,467,993        4,467,993        -        -  
 

Consumer, Cyclical

     24,149,245        24,149,245        -        -  
 

Consumer, Non-Cyclical

     64,318,861        64,318,861        -        -  
 

Energy

     14,831,653        14,831,653        -        -  
 

Financial

     13,411,020        13,411,020        -        -  
 

Industrial

     57,781,725        54,915,435        2,866,290        -  
 

Technology

     61,927,165        59,655,063        2,272,102        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     248,501,780        243,363,388        5,138,392        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     10,223,000        -        10,223,000        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $258,724,780        $243,363,388        $15,361,392        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

132

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Chinook Therapeutics, Inc. -
Contingent Value Rights * W

    15,650       $6,730  

Contra Aduro Biotechnologies, Inc. - Contingent Value Rights * W ±

    3,861       9,803  

OmniAb, Inc. $12.50 - Earn Out Shares * W ±

    1,693       -  

OmniAb, Inc. $15.00 - Earn Out Shares * W ±

    1,693       -  
   

 

 

 
    16,533  
 

 

 

 

Utilities - 0.0%

   

Gtx, Inc. - Contingent Value Rights * W ±

    216       221  
   

 

 

 

Total Rights
(Cost $6,546)

      16,754  
   

 

 

 

COMMON STOCKS - 98.7%

 

Basic Materials - 3.4%

 

5E Advanced Materials, Inc. *

    11,337       25,622  

AdvanSix, Inc.

    7,074       219,860  

American Vanguard Corp.

    7,396       80,838  

ATI, Inc. *

    34,998       1,440,168  

Avient Corp.

    24,735       873,640  

Balchem Corp.

    8,586       1,065,007  

Cabot Corp.

    14,951       1,035,656  

Caledonia Mining Corp. PLC (South Africa)

    3,545       34,954  

Carpenter Technology Corp.

    12,979       872,319  

Centrus Energy Corp. Class A *

    3,326       188,784  

Century Aluminum Co. *

    14,853       106,793  

Codexis, Inc. *

    19,484       36,825  

Coeur Mining, Inc. *

    85,518       189,850  

Commercial Metals Co.

    31,501       1,556,464  

Compass Minerals International, Inc.

    9,263       258,901  

Constellium SE *

    35,118       639,148  

Contango ORE, Inc. *

    766       13,895  

Dakota Gold Corp. *

    14,809       38,207  

Danimer Scientific, Inc. *

    25,743       53,288  

Ecovyst, Inc. *

    25,155       247,525  

Encore Energy Corp. * (Canada)

    37,890       123,521  

Energy Fuels, Inc. *

    42,466       349,071  

Glatfelter Corp. *

    12,856       25,712  

Hawkins, Inc.

    5,035       296,310  

Haynes International, Inc.

    3,199       148,817  

HB Fuller Co.

    14,551       998,344  

Hecla Mining Co.

    164,067       641,502  

i-80 Gold Corp. * (Canada)

    49,398       75,579  

Ingevity Corp. *

    9,761       464,721  

Innospec, Inc.

    6,774       692,303  

Intrepid Potash, Inc. *

    3,035       76,361  

Ivanhoe Electric, Inc. *

    15,013       178,655  

Kaiser Aluminum Corp.

    4,444       334,455  

Koppers Holdings, Inc.

    5,257       207,914  

Kronos Worldwide, Inc.

    6,400       49,600  

Lightwave Logic, Inc. *

    31,166       139,312  

Livent Corp. *

    49,245       906,600  

Mativ Holdings, Inc.

    15,234       217,237  

Minerals Technologies, Inc.

    8,683       475,481  

Novagold Resources, Inc. * (Canada)

    63,984       245,699  

Oil-Dri Corp. of America

    1,236       76,323  

Origin Materials, Inc. *

    29,507       37,769  

Orion SA (Germany)

    15,160       322,605  

Perimeter Solutions SA *

    40,559       184,138  
   

Shares

   

Value

 

Perpetua Resources Corp. *

    8,988       $29,301  

Piedmont Lithium, Inc. *

    4,848       192,466  

PolyMet Mining Corp. * (Canada)

    6,688       13,911  

Quaker Chemical Corp.

    3,774       603,840  

Rayonier Advanced Materials, Inc. *

    17,403       61,607  

Rogers Corp. *

    4,715       619,881  

Schnitzer Steel Industries, Inc. Class A

    6,946       193,446  

Sensient Technologies Corp.

    11,411       667,315  

Stepan Co.

    5,690       426,579  

Sylvamo Corp.

    9,961       437,686  

Terawulf, Inc. *

    36,413       45,880  

Trinseo PLC

    9,800       80,066  

Tronox Holdings PLC

    31,498       423,333  

U.S. Lime & Minerals, Inc.

    588       118,188  

Uranium Energy Corp. *

    100,960       519,944  

Valhi, Inc.

    693       9,189  
   

 

 

 
    20,688,405  
 

 

 

 

Communications - 3.5%

 

1-800-Flowers.com, Inc. Class A *

    7,662       53,634  

A10 Networks, Inc.

    19,398       291,552  

ADTRAN Holdings, Inc.

    21,613       177,875  

Advantage Solutions, Inc. *

    24,694       70,131  

Allbirds, Inc. Class A *

    26,001       28,861  

AMC Networks, Inc. Class A *

    8,364       98,528  

Anterix, Inc. *

    3,536       110,960  

AST SpaceMobile, Inc. *

    21,465       81,567  

ATN International, Inc.

    3,134       98,909  

Aviat Networks, Inc. *

    2,940       91,728  

BARK, Inc. *

    31,852       38,222  

Blacksky Technology, Inc. *

    32,746       38,313  

Blade Air Mobility, Inc. *

    15,595       40,391  

Boston Omaha Corp. Class A *

    6,130       100,471  

Bumble, Inc. Class A *

    27,511       410,464  

Calix, Inc. *

    15,839       726,060  

Cambium Networks Corp. *

    3,080       22,576  

Cargurus, Inc. *

    26,179       458,656  

CarParts.com, Inc. *

    13,897       57,256  

Cars.com, Inc. *

    17,745       299,181  

Clear Channel Outdoor Holdings, Inc. *

    103,484       163,505  

Clearfield, Inc. *

    3,559       102,001  

Cogent Communications Holdings, Inc.

    11,730       726,087  

CommScope Holding Co., Inc. *

    57,266       192,414  

Consolidated Communications Holdings, Inc. *

    20,547       70,271  

ContextLogic, Inc. Class A *

    6,135       27,055  

Couchbase, Inc. *

    9,105       156,242  

Credo Technology Group Holding Ltd. *

    26,620       405,955  

DHI Group, Inc. *

    12,431       38,039  

DigitalBridge Group, Inc.

    44,387       780,323  

DZS, Inc. *

    6,055       12,715  

EchoStar Corp. Class A *

    9,664       161,872  

Entravision Communications Corp. Class A

    16,640       60,736  

ePlus, Inc. *

    7,206       457,725  

Eventbrite, Inc. Class A *

    21,386       210,866  

EverQuote, Inc. Class A *

    5,385       38,934  

EW Scripps Co. Class A *

    16,290       89,269  

Extreme Networks, Inc. *

    34,451       834,059  

Figs, Inc. Class A *

    35,864       211,598  

fuboTV, Inc. *

    76,420       204,041  

Gambling.com Group Ltd. * (Malta)

    2,447       32,007  

Gannett Co., Inc. *

    39,559       96,920  

Globalstar, Inc. *

    193,182       253,068  

Gogo, Inc. *

    17,868       213,165  

Gray Television, Inc.

    22,223       153,783  

Grindr, Inc. * (Singapore)

    10,321       59,346  

Harmonic, Inc. *

    29,248       281,658  

HealthStream, Inc.

    6,408       138,285  

Hims & Hers Health, Inc. *

    33,010       207,633  

IDT Corp. Class B *

    4,166       91,860  

iHeartMedia, Inc. Class A *

    27,016       85,371  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

133

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Infinera Corp. *

    53,103       $221,971  

InterDigital, Inc.

    7,327       587,918  

KVH Industries, Inc. *

    5,055       25,780  

Lands’ End, Inc. *

    4,088       30,537  

Liberty Latin America Ltd. Class A *

    9,569       78,083  

Liberty Latin America Ltd. Class C *

    39,329       320,925  

Liquidity Services, Inc. *

    6,539       115,217  

Lumen Technologies, Inc. *

    270,186       383,664  

Luna Innovations, Inc. *

    8,391       49,171  

Magnite, Inc. *

    36,232       273,189  

MediaAlpha, Inc. Class A *

    7,196       59,439  

Mondee Holdings, Inc. *

    11,749       41,944  

Nerdy, Inc. *

    16,070       59,459  

NETGEAR, Inc. *

    8,143       102,520  

Nextdoor Holdings, Inc. *

    39,792       72,421  

Ooma, Inc. *

    5,971       77,683  

Open Lending Corp. Class A *

    26,905       196,945  

Opendoor Technologies, Inc. *

    149,232       393,972  

OptimizeRx Corp. *

    4,522       35,181  

Overstock.com, Inc. *

    12,286       194,364  

Perficient, Inc. *

    9,414       544,694  

Preformed Line Products Co.

    730       118,683  

Q2 Holdings, Inc. *

    15,455       498,733  

QuinStreet, Inc. *

    14,148       126,908  

Revolve Group, Inc. *

    11,485       156,311  

Ribbon Communications, Inc. *

    23,089       61,879  

Rover Group, Inc. *

    25,790       161,445  

Scholastic Corp.

    7,485       285,478  

Shenandoah Telecommunications Co.

    12,773       263,252  

Shutterstock, Inc.

    6,597       251,016  

Sinclair, Inc.

    8,879       99,622  

Solo Brands, Inc. Class A *

    5,125       26,137  

Spok Holdings, Inc.

    4,396       62,731  

Sprinklr, Inc. Class A *

    27,857       385,541  

Squarespace, Inc. Class A *

    11,952       346,249  

Stagwell, Inc. *

    21,815       102,312  

Stitch Fix, Inc. Class A *

    23,149       79,864  

TechTarget, Inc. *

    7,109       215,829  

TEGNA, Inc.

    55,452       807,936  

Telephone & Data Systems, Inc.

    26,743       489,664  

Terran Orbital Corp. *

    23,670       19,703  

Thryv Holdings, Inc. *

    7,997       150,104  

Townsquare Media, Inc. Class A

    2,508       21,870  

TrueCar, Inc. *

    24,636       50,997  

Tucows, Inc. Class A *

    2,783       56,801  

Upwork, Inc. *

    33,161       376,709  

Urban One, Inc. *

    4,210       21,154  

Value Line, Inc.

    334       14,602  

Viavi Solutions, Inc. *

    60,790       555,621  

Vivid Seats, Inc. Class A *

    6,633       42,584  

WideOpenWest, Inc. *

    15,069       115,278  

Yelp, Inc. *

    18,257       759,309  

Ziff Davis, Inc. *

    12,777       813,767  
   

 

 

 
      21,255,304  
   

 

 

 

Consumer, Cyclical - 11.4%

   

A-Mark Precious Metals, Inc.

    4,974       145,887  

Abercrombie & Fitch Co. Class A *

    13,117       739,405  

Academy Sports & Outdoors, Inc.

    20,088       949,560  

Accel Entertainment, Inc. *

    14,056       153,913  

Acushnet Holdings Corp.

    8,442       447,764  

Adient PLC *

    25,839       948,291  

Aeva Technologies, Inc. *

    30,039       22,977  

Allegiant Travel Co.

    4,301       330,575  

America’s Car-Mart, Inc. *

    1,621       147,495  

American Axle & Manufacturing Holdings, Inc. *

    31,386       227,862  

American Eagle Outfitters, Inc.

    49,754       826,414  

Arko Corp.

    21,757       155,563  

Asbury Automotive Group, Inc. *

    5,609       1,290,463  
   

Shares

   

Value

 

Atlanta Braves Holdings, Inc. Class A *

    2,808       $109,709  

Atlanta Braves Holdings, Inc. Class C *

    12,142       433,834  

Aurora Innovation, Inc. *

    89,815       211,065  

Bally’s Corp. *

    7,882       103,333  

Beacon Roofing Supply, Inc. *

    14,671       1,132,161  

Beazer Homes USA, Inc. *

    7,807       194,472  

Big 5 Sporting Goods Corp.

    5,932       41,583  

Big Lots, Inc.

    7,694       39,316  

Biglari Holdings, Inc. Class B *

    230       38,180  

BJ’s Restaurants, Inc. *

    6,392       149,956  

Bloomin’ Brands, Inc.

    23,639       581,283  

Blue Bird Corp. *

    5,026       107,305  

Bluegreen Vacations Holding Corp.

    2,658       97,495  

BlueLinx Holdings, Inc. *

    2,289       187,904  

Boot Barn Holdings, Inc. *

    7,996       649,195  

Bowlero Corp. *

    8,239       79,259  

Brinker International, Inc. *

    11,930       376,869  

Buckle, Inc.

    7,959       265,751  

Build-A-Bear Workshop, Inc.

    3,742       110,052  

Caleres, Inc.

    9,093       261,515  

Camping World Holdings, Inc. Class A

    11,105       226,653  

Carrols Restaurant Group, Inc. *

    9,201       60,635  

Carvana Co. *

    26,113       1,096,224  

Cato Corp. Class A

    5,395       41,326  

Cavco Industries, Inc. *

    2,375       630,942  

Century Casinos, Inc. *

    7,401       37,967  

Century Communities, Inc.

    7,755       517,879  

Cheesecake Factory, Inc.

    12,932       391,840  

Chico’s FAS, Inc. *

    34,362       257,028  

Children’s Place, Inc. *

    3,065       82,847  

Chuy’s Holdings, Inc. *

    4,772       169,788  

Cinemark Holdings, Inc. *

    29,668       544,408  

Clarus Corp.

    6,816       51,529  

Clean Energy Fuels Corp. *

    47,494       181,902  

Commercial Vehicle Group, Inc. *

    8,348       64,780  

CompX International, Inc.

    719       13,366  

Cooper-Standard Holdings, Inc. *

    4,458       59,826  

Cracker Barrel Old Country Store, Inc.

    5,996       402,931  

Daktronics, Inc. *

    9,866       88,005  

Dana, Inc.

    35,257       517,220  

Dave & Buster’s Entertainment, Inc. *

    9,759       361,766  

Denny’s Corp. *

    14,657       124,145  

Designer Brands, Inc. Class A

    13,394       169,568  

Destination XL Group, Inc. *

    15,629       70,018  

Dillard’s, Inc. Class A

    917       303,353  

Dine Brands Global, Inc.

    4,348       215,009  

Dorman Products, Inc. *

    7,162       542,593  

Douglas Dynamics, Inc.

    5,789       174,712  

Dragonfly Energy Holdings Corp. *

    4,273       6,580  

Dream Finders Homes, Inc. Class A *

    6,262       139,204  

Duluth Holdings, Inc. Class B *

    3,374       20,278  

El Pollo Loco Holdings, Inc.

    8,233       73,685  

Envela Corp. *

    831       3,939  

Escalade, Inc.

    1,761       26,961  

Ethan Allen Interiors, Inc.

    6,270       187,473  

Everi Holdings, Inc. *

    23,005       304,126  

EVgo, Inc. *

    27,092       91,571  

EVI Industries, Inc. *

    1,044       25,912  

Fiesta Restaurant Group, Inc. *

    3,847       32,546  

First Watch Restaurant Group, Inc. *

    5,905       102,097  

FirstCash, Inc.

    10,105       1,014,340  

Fisker, Inc. *

    53,146       341,197  

Foot Locker, Inc.

    22,624       392,526  

Forestar Group, Inc. *

    4,745       127,830  

Fossil Group, Inc. *

    14,174       29,198  

Fox Factory Holding Corp. *

    11,470       1,136,448  

Frontier Group Holdings, Inc. *

    10,591       51,260  

Full House Resorts, Inc. *

    9,322       39,805  

Funko, Inc. Class A *

    9,070       69,385  

G-III Apparel Group Ltd. *

    11,416       284,487  

Genesco, Inc. *

    3,464       106,760  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

134

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SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

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Value

 

Gentherm, Inc. *

    9,006       $488,666  

Global Business Travel Group I *

    8,135       44,742  

Global Industrial Co.

    3,607       120,834  

GMS, Inc. *

    11,000       703,670  

Golden Entertainment, Inc.

    5,662       193,527  

Goodyear Tire & Rubber Co. *

    76,140       946,420  

Green Brick Partners, Inc. *

    6,963       289,034  

Group 1 Automotive, Inc.

    3,743       1,005,782  

GrowGeneration Corp. *

    17,333       50,612  

Guess?, Inc.

    7,571       163,836  

H&E Equipment Services, Inc.

    8,812       380,590  

Hanesbrands, Inc.

    95,170       376,873  

Haverty Furniture Cos., Inc.

    3,582       103,090  

Hawaiian Holdings, Inc. *

    15,025       95,108  

Hibbett, Inc.

    3,533       167,853  

Hilton Grand Vacations, Inc. *

    22,141       901,139  

HNI Corp.

    12,488       432,459  

Holley, Inc. *

    13,491       67,320  

Hooker Furnishings Corp.

    2,387       46,427  

Hovnanian Enterprises, Inc. Class A *

    1,399       142,222  

Hudson Technologies, Inc. *

    11,587       154,107  

Hyliion Holdings Corp. *

    40,985       48,362  

IMAX Corp. *

    12,581       243,065  

indie Semiconductor, Inc. Class A * (China)

    36,666       230,996  

Installed Building Products, Inc.

    6,476       808,788  

Interface, Inc.

    16,564       162,493  

International Game Technology PLC

    29,254       886,981  

iRobot Corp. *

    7,514       284,781  

J Jill, Inc. *

    1,182       34,987  

Jack in the Box, Inc.

    5,609       387,358  

JAKKS Pacific, Inc. *

    1,543       28,684  

JetBlue Airways Corp. *

    90,081       414,373  

Johnson Outdoors, Inc. Class A

    1,483       81,105  

KB Home

    19,621       908,060  

Kontoor Brands, Inc.

    15,124       664,095  

Kura Sushi USA, Inc. Class A *

    1,586       104,866  

La-Z-Boy, Inc.

    11,979       369,911  

Landsea Homes Corp. *

    3,087       27,752  

Lazydays Holdings, Inc. *

    3,740       28,424  

LCI Industries

    6,732       790,471  

Leslie’s, Inc. *

    48,801       276,214  

LGI Homes, Inc. *

    5,647       561,820  

Life Time Group Holdings, Inc. *

    12,496       190,064  

Light & Wonder, Inc. *

    24,605       1,755,075  

Lindblad Expeditions Holdings, Inc. *

    9,393       67,630  

Lions Gate Entertainment Corp. Class A *

    15,888       134,730  

Lions Gate Entertainment Corp. Class B *

    31,197       245,520  

Livewire Group, Inc. * (Cayman)

    2,710       18,780  

Loop Media, Inc. *

    9,470       4,707  

Lovesac Co . *

    3,679       73,286  

Luminar Technologies, Inc. *

    74,013       336,759  

M/I Homes, Inc. *

    7,330       616,013  

Madison Square Garden Entertainment Corp. *

    11,722       385,771  

Malibu Boats, Inc. Class A *

    5,379       263,679  

Marcus Corp.

    5,942       92,101  

Marine Products Corp.

    2,063       29,315  

MarineMax, Inc. *

    5,854       192,128  

MasterCraft Boat Holdings, Inc. *

    4,460       99,101  

MDC Holdings, Inc.

    15,938       657,124  

Meritage Homes Corp.

    9,783       1,197,341  

Methode Electronics, Inc.

    9,523       217,601  

Microvast Holdings, Inc. *

    28,407       53,689  

Miller Industries, Inc.

    3,086       121,002  

MillerKnoll, Inc.

    20,537       502,130  

Monarch Casino & Resort, Inc.

    3,702       229,894  

Movado Group, Inc.

    3,883       106,200  

MRC Global, Inc. *

    23,331       239,143  

National Vision Holdings, Inc. *

    20,998       339,748  

Nikola Corp. *

    164,338       258,011  

Noodles & Co. *

    11,028       27,129  

Nu Skin Enterprises, Inc. Class A

    13,947       295,816  
   

Shares

   

Value

 

ODP Corp. *

    8,922       $411,750  

ONE Group Hospitality, Inc. *

    5,568       30,624  

OneSpaWorld Holdings Ltd. * (Bahamas)

    22,587       253,426  

OneWater Marine, Inc. Class A *

    3,002       76,911  

OPENLANE, Inc. *

    29,195       435,589  

Oxford Industries, Inc.

    4,055       389,807  

Papa John’s International, Inc.

    8,854       604,020  

Patrick Industries, Inc.

    5,943       446,082  

PC Connection, Inc.

    3,168       169,108  

PetMed Express, Inc.

    5,625       57,656  

Portillo’s, Inc. Class A *

    12,335       189,836  

Potbelly Corp. *

    6,190       48,282  

PriceSmart, Inc.

    7,152       532,323  

Purple Innovation, Inc.

    16,412       28,065  

RCI Hospitality Holdings, Inc.

    2,406       145,948  

Red Robin Gourmet Burgers, Inc. *

    4,105       33,004  

Red Rock Resorts, Inc. Class A

    12,952       531,032  

Reservoir Media, Inc. *

    5,058       30,854  

Resideo Technologies, Inc. *

    39,132       618,286  

REV Group, Inc.

    8,098       129,568  

Rocky Brands, Inc.

    1,966       28,900  

Rush Enterprises, Inc. Class A

    16,860       688,394  

Rush Enterprises, Inc. Class B

    2,448       110,870  

Rush Street Interactive, Inc. *

    15,494       71,582  

Sally Beauty Holdings, Inc. *

    28,605       239,710  

Savers Value Village, Inc. *

    6,746       125,948  

ScanSource, Inc. *

    7,177       217,535  

SeaWorld Entertainment, Inc. *

    9,825       454,406  

SES AI Corp. *

    33,991       77,160  

Shake Shack, Inc. Class A *

    10,092       586,042  

Shoe Carnival, Inc.

    5,148       123,706  

Shyft Group, Inc.

    9,179       137,410  

Signet Jewelers Ltd. (NYSE)

    12,106       869,332  

Six Flags Entertainment Corp. *

    19,720       463,617  

Skyline Champion Corp. *

    14,537       926,298  

SkyWest, Inc. *

    11,905       499,296  

Sleep Number Corp. *

    6,003       147,614  

Snap One Holdings Corp. *

    6,258       57,824  

Solid Power, Inc. *

    43,183       87,230  

Sonic Automotive, Inc. Class A

    4,243       202,646  

Sonos, Inc. *

    34,594       446,609  

Sovos Brands, Inc. *

    13,767       310,446  

Sphere Entertainment Co. *

    7,019       260,826  

Spirit Airlines, Inc.

    29,737       490,660  

Sportsman’s Warehouse Holdings, Inc. *

    10,339       46,422  

Standard Motor Products, Inc.

    5,668       190,558  

Steelcase, Inc. Class A

    24,411       272,671  

Steven Madden Ltd.

    20,726       658,465  

Sun Country Airlines Holdings, Inc. *

    9,977       148,059  

Super Group SGHC Ltd. * (Guernsey)

    34,549       127,486  

Sweetgreen, Inc. Class A *

    26,395       310,141  

Taylor Morrison Home Corp. *

    28,269       1,204,542  

ThredUp, Inc. Class A *

    19,238       77,144  

Tile Shop Holdings, Inc. *

    8,920       48,971  

Tilly’s, Inc. Class A *

    6,305       51,197  

Titan International, Inc. *

    14,386       193,204  

Titan Machinery, Inc. *

    5,399       143,505  

Topgolf Callaway Brands Corp. *

    39,227       542,902  

Torrid Holdings, Inc. *

    3,599       7,954  

Traeger, Inc. *

    9,951       27,166  

Tri Pointe Homes, Inc. *

    26,496       724,666  

TuSimple Holdings, Inc. Class A *

    46,369       72,336  

UniFirst Corp.

    4,072       663,777  

United Homes Group, Inc. *

    2,451       13,726  

Urban Outfitters, Inc. *

    17,632       576,390  

Vera Bradley, Inc. *

    6,105       40,354  

Veritiv Corp.

    3,524       595,204  

Virgin Galactic Holdings, Inc. *

    67,991       122,384  

Vista Outdoor, Inc. *

    15,438       511,307  

Visteon Corp. *

    7,546       1,041,876  

Vizio Holding Corp. Class A *

    19,665       106,388  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

135

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

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Value

 

VOXX International Corp. *

    2,456       $19,599  

VSE Corp.

    3,445       173,766  

Wabash National Corp.

    12,847       271,329  

Warby Parker, Inc. Class A *

    22,961       302,167  

Weyco Group, Inc.

    1,756       44,515  

Winmark Corp.

    737       274,997  

Winnebago Industries, Inc.

    7,959       473,163  

Wolverine World Wide, Inc.

    22,006       177,368  

Workhorse Group, Inc. *

    50,408       20,889  

XPEL, Inc. *

    6,032       465,127  

Xperi, Inc. *

    11,679       115,155  

Xponential Fitness, Inc. Class A *

    6,425       99,587  

Zumiez, Inc. *

    4,234       75,365  
   

 

 

 
      70,347,712  
   

 

 

 

Consumer, Non-Cyclical - 22.6%

 

23andMe Holding Co. Class A *

    71,199       69,611  

2seventy bio, Inc. *

    13,604       53,328  

2U, Inc. *

    22,224       54,893  

4D Molecular Therapeutics, Inc. *

    10,653       135,613  

89bio, Inc. *

    16,692       257,724  

Aadi Bioscience, Inc. *

    4,854       23,493  

Aaron’s Co., Inc.

    8,577       89,801  

ABM Industries, Inc.

    17,969       718,940  

Acacia Research Corp. *

    9,931       36,248  

ACADIA Pharmaceuticals, Inc. *

    32,550       678,342  

ACCO Brands Corp.

    26,556       152,431  

Accolade, Inc. *

    17,948       189,890  

Accuray, Inc. *

    23,942       65,122  

ACELYRIN, Inc. *

    9,172       93,279  

Aclaris Therapeutics, Inc. *

    18,900       129,465  

Acrivon Therapeutics, Inc. *

    3,469       33,164  

Actinium Pharmaceuticals, Inc. *

    6,707       39,705  

AdaptHealth Corp. *

    25,797       234,753  

Adaptive Biotechnologies Corp. *

    31,382       171,032  

Addus HomeCare Corp. *

    4,172       355,413  

Adicet Bio, Inc. *

    8,114       11,116  

ADMA Biologics, Inc. *

    57,137       204,550  

Adtalem Global Education, Inc. *

    11,638       498,688  

Aerovate Therapeutics, Inc. *

    2,539       34,454  

Agenus, Inc. *

    93,420       105,565  

Agiliti, Inc. *

    7,750       50,298  

Agios Pharmaceuticals, Inc. *

    15,494       383,476  

AirSculpt Technologies, Inc. *

    2,943       20,130  

Akero Therapeutics, Inc. *

    13,901       703,113  

Akoya Biosciences, Inc. *

    4,926       22,906  

Alarm.com Holdings, Inc. *

    12,995       794,514  

Aldeyra Therapeutics, Inc. *

    12,256       81,870  

Alector, Inc. *

    16,790       108,799  

Alico, Inc.

    2,189       54,637  

Alight, Inc. Class A *

    108,313       767,939  

Alkermes PLC *

    44,827       1,255,604  

Allakos, Inc. *

    17,704       40,188  

Allogene Therapeutics, Inc. *

    22,463       71,208  

Allovir, Inc. *

    11,603       24,946  

Alphatec Holdings, Inc. *

    22,096       286,585  

Alpine Immune Sciences, Inc. *

    8,597       98,436  

Alta Equipment Group, Inc.

    6,185       74,591  

Altimmune, Inc. *

    12,878       33,483  

ALX Oncology Holdings, Inc. *

    5,781       27,749  

American Well Corp. Class A *

    67,311       78,754  

Amicus Therapeutics, Inc. *

    75,429       917,217  

AMN Healthcare Services, Inc. *

    10,748       915,515  

Amneal Pharmaceuticals, Inc. *

    32,772       138,298  

Amphastar Pharmaceuticals, Inc. *

    10,268       472,225  

Amylyx Pharmaceuticals, Inc. *

    13,771       252,147  

AnaptysBio, Inc. *

    5,435       97,613  

Anavex Life Sciences Corp. *

    19,000       124,450  

Andersons, Inc.

    8,672       446,695  

AngioDynamics, Inc. *

    10,544       77,077  
   

Shares

   

Value

 

ANI Pharmaceuticals, Inc. *

    3,990       $231,659  

Anika Therapeutics, Inc. *

    3,717       69,248  

Annexon, Inc. *

    11,062       26,106  

API Group Corp. *

    56,452       1,463,800  

Apogee Therapeutics, Inc. *

    5,289       112,656  

Arbutus Biopharma Corp. *

    30,997       62,924  

Arcellx, Inc. *

    10,167       364,792  

Arcturus Therapeutics Holdings, Inc. *

    6,511       166,356  

Arcus Biosciences, Inc. *

    14,271       256,164  

Arcutis Biotherapeutics, Inc. *

    14,169       75,237  

Ardelyx, Inc. *

    56,681       231,258  

Arlo Technologies, Inc. *

    23,889       246,057  

Arrowhead Pharmaceuticals, Inc. *

    27,182       730,380  

ARS Pharmaceuticals, Inc. *

    6,025       22,775  

Artivion, Inc. *

    10,719       162,500  

Arvinas, Inc. *

    13,423       263,628  

ASGN, Inc. *

    13,143       1,073,520  

Assertio Holdings, Inc. *

    22,734       58,199  

Astria Therapeutics, Inc. *

    6,612       49,326  

Atara Biotherapeutics, Inc. *

    25,754       38,116  

Atea Pharmaceuticals, Inc. *

    21,675       65,025  

AtriCure, Inc. *

    12,809       561,034  

Atrion Corp.

    361       149,154  

Aura Biosciences, Inc. *

    7,457       66,889  

Aurinia Pharmaceuticals, Inc. * (Canada)

    36,509       283,675  

Avanos Medical, Inc. *

    12,690       256,592  

Aveanna Healthcare Holdings, Inc. *

    15,325       18,237  

Avid Bioservices, Inc. *

    16,291       153,787  

Avidity Biosciences, Inc. *

    19,253       122,834  

Avita Medical, Inc. *

    6,750       98,618  

Axogen, Inc. *

    11,451       57,255  

Axonics, Inc. *

    13,269       744,656  

Axsome Therapeutics, Inc. *

    9,515       665,003  

B&G Foods, Inc.

    19,313       191,006  

Bakkt Holdings, Inc. *

    22,825       26,705  

Barrett Business Services, Inc.

    1,784       160,988  

Beam Therapeutics, Inc. *

    19,031       457,696  

Beauty Health Co. *

    23,615       142,162  

BellRing Brands, Inc. *

    36,221       1,493,392  

Benson Hill, Inc. *

    48,043       15,926  

Beyond Air, Inc. *

    6,824       15,763  

Beyond Meat, Inc. *

    16,288       156,691  

BioAtla, Inc. *

    11,616       19,747  

BioCryst Pharmaceuticals, Inc. *

    50,952       360,740  

Biohaven Ltd. *

    15,383       400,112  

BioLife Solutions, Inc. *

    9,481       130,933  

Biomea Fusion, Inc. *

    5,321       73,217  

Biote Corp. Class A *

    2,509       12,846  

Bioxcel Therapeutics, Inc. *

    5,161       13,057  

Bluebird Bio, Inc. *

    29,315       89,118  

Blueprint Medicines Corp. *

    16,385       822,855  

BRC, Inc. Class A *

    10,298       36,970  

Bridgebio Pharma, Inc. *

    30,909       815,070  

Bright Green Corp. *

    15,824       6,265  

BrightView Holdings, Inc. *

    11,545       89,474  

Brink’s Co.

    12,423       902,407  

Brookdale Senior Living, Inc. *

    48,455       200,604  

Butterfly Network, Inc. *

    39,616       46,747  

Cabaletta Bio, Inc. *

    9,418       143,342  

Cal-Maine Foods, Inc.

    10,220       494,852  

Calavo Growers, Inc.

    4,921       124,157  

Cano Health, Inc. *

    64,630       16,390  

Cara Therapeutics, Inc. *

    12,408       20,845  

CareDx, Inc. *

    14,543       101,801  

CareMax, Inc. *

    20,803       44,102  

Caribou Biosciences, Inc. *

    20,241       96,752  

Carisma Therapeutics, Inc.

    7,211       30,503  

Carriage Services, Inc.

    3,507       99,073  

Cass Information Systems, Inc.

    3,612       134,547  

Cassava Sciences, Inc. *

    10,696       177,981  

Castle Biosciences, Inc. *

    6,778       114,480  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

136

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Catalyst Pharmaceuticals, Inc. *

    26,621       $311,199  

CBIZ, Inc. *

    13,042       676,880  

Celcuity, Inc. *

    4,441       40,591  

Celldex Therapeutics, Inc. *

    12,962       356,714  

Central Garden & Pet Co. *

    2,832       125,004  

Central Garden & Pet Co. Class A *

    10,573       423,872  

Century Therapeutics, Inc. *

    6,092       12,184  

Cerevel Therapeutics Holdings, Inc. *

    16,678       364,081  

Cerus Corp. *

    48,351       78,329  

Chefs’ Warehouse, Inc. *

    9,285       196,656  

Chegg, Inc. *

    31,079       277,225  

Cimpress PLC * (Ireland)

    4,842       338,988  

Cipher Mining, Inc. *

    11,672       27,196  

Citius Pharmaceuticals, Inc. *

    30,842       21,108  

ClearPoint Neuro, Inc. *

    5,685       28,482  

Coca-Cola Consolidated, Inc.

    1,279       813,853  

Cogent Biosciences, Inc. *

    21,961       214,120  

Coherus Biosciences, Inc. *

    26,989       100,939  

Collegium Pharmaceutical, Inc. *

    8,932       199,630  

Community Health Systems, Inc. *

    35,405       102,675  

Compass Therapeutics, Inc. *

    23,787       46,860  

CompoSecure, Inc. *

    3,159       20,376  

CONMED Corp.

    8,367       843,812  

Corcept Therapeutics, Inc. *

    21,688       590,890  

CoreCivic, Inc. *

    30,500       343,125  

CorMedix, Inc. *

    16,302       60,317  

CorVel Corp. *

    2,363       464,684  

Coursera, Inc. *

    35,323       660,187  

CPI Card Group, Inc. *

    952       17,631  

CRA International, Inc.

    1,840       185,398  

Crinetics Pharmaceuticals, Inc. *

    17,441       518,695  

Cross Country Healthcare, Inc. *

    9,393       232,852  

Cue Biopharma, Inc. *

    8,606       19,794  

Cullinan Oncology, Inc. *

    6,382       57,757  

Custom Truck One Source, Inc. *

    15,744       97,613  

Cutera, Inc. *

    4,734       28,499  

CVRx, Inc. *

    2,942       44,630  

Cymabay Therapeutics, Inc. *

    26,974       402,182  

Cytek Biosciences, Inc. *

    32,763       180,852  

Cytokinetics, Inc. *

    25,017       737,001  

Day One Biopharmaceuticals, Inc. *

    16,974       208,271  

Deciphera Pharmaceuticals, Inc. *

    13,903       176,846  

Deluxe Corp.

    11,564       218,444  

Denali Therapeutics, Inc. *

    31,678       653,517  

Design Therapeutics, Inc. *

    9,609       22,677  

Disc Medicine, Inc. *

    2,430       114,161  

Distribution Solutions Group, Inc. *

    2,434       63,284  

DocGo, Inc. *

    22,021       117,372  

Dole PLC

    18,666       216,152  

Duckhorn Portfolio, Inc. *

    11,347       116,420  

Dynavax Technologies Corp. *

    34,448       508,797  

Dyne Therapeutics, Inc. *

    11,359       101,777  

Eagle Pharmaceuticals, Inc. *

    2,602       41,034  

Edgewell Personal Care Co.

    13,942       515,296  

Edgewise Therapeutics, Inc. *

    11,607       66,508  

Editas Medicine, Inc. *

    22,351       174,338  

elf Beauty, Inc. *

    14,417       1,583,419  

Embecta Corp.

    15,577       234,434  

Emerald Holding, Inc. *

    3,581       16,186  

Emergent BioSolutions, Inc. *

    14,083       47,882  

Enanta Pharmaceuticals, Inc. *

    5,538       61,859  

Enhabit, Inc. *

    13,216       148,680  

Enliven Therapeutics, Inc. *

    6,174       84,337  

Ennis, Inc.

    7,255       153,951  

Ensign Group, Inc.

    14,835       1,378,617  

Entrada Therapeutics, Inc. *

    5,715       90,297  

EQRx, Inc. *

    86,081       191,100  

Erasca, Inc. *

    22,117       43,570  

European Wax Center, Inc. Class A *

    8,793       142,447  

EVERTEC, Inc.

    17,413       647,415  
   

Shares

   

Value

 

Evolus, Inc. *

    10,779       $98,520  

Eyenovia, Inc. *

    6,160       10,226  

EyePoint Pharmaceuticals, Inc. *

    6,947       55,507  

Fate Therapeutics, Inc. *

    23,469       49,754  

Fennec Pharmaceuticals, Inc. * (Canada)

    4,558       34,231  

FibroGen, Inc. *

    24,328       20,993  

First Advantage Corp.

    14,783       203,858  

FiscalNote Holdings, Inc. *

    17,475       36,348  

Flywire Corp. *

    25,814       823,208  

Foghorn Therapeutics, Inc. *

    5,573       27,865  

Forafric Global PLC * (Gibraltar)

    571       6,447  

Forrester Research, Inc. *

    3,244       93,752  

Franklin Covey Co. *

    3,036       130,305  

Fresh Del Monte Produce, Inc.

    9,490       245,222  

Fulgent Genetics, Inc. *

    5,403       144,476  

Genelux Corp. *

    5,019       122,915  

Generation Bio Co . *

    13,156       49,861  

GEO Group, Inc. *

    33,214       271,691  

Geron Corp. *

    133,606       283,245  

Glaukos Corp. *

    12,584       946,946  

Graham Holdings Co. Class B

    998       581,834  

Graphite Bio, Inc. *

    6,680       16,566  

Green Dot Corp. Class A *

    13,260       184,712  

Gritstone bio, Inc. *

    23,677       40,724  

Guardant Health, Inc. *

    30,622       907,636  

Hackett Group, Inc.

    6,645       156,756  

Haemonetics Corp. *

    13,646       1,222,409  

Hain Celestial Group, Inc. *

    23,949       248,351  

Halozyme Therapeutics, Inc. *

    35,108       1,341,126  

Harmony Biosciences Holdings, Inc. *

    8,808       288,638  

Harrow, Inc. *

    7,965       114,457  

Harvard Bioscience, Inc. *

    9,903       42,583  

Healthcare Services Group, Inc.

    20,431       213,095  

HealthEquity, Inc. *

    22,613       1,651,880  

Heidrick & Struggles International, Inc.

    5,551       138,886  

Helen of Troy Ltd. *

    6,422       748,548  

Herbalife Ltd. *

    26,623       372,456  

Herc Holdings, Inc.

    7,711       917,146  

Heron Therapeutics, Inc. *

    28,366       29,217  

HF Foods Group, Inc. *

    10,129       40,212  

HilleVax, Inc. *

    5,782       77,768  

HireQuest, Inc.

    1,321       20,383  

Hostess Brands, Inc. *

    35,765       1,191,332  

Humacyte, Inc. *

    16,084       47,126  

Huron Consulting Group, Inc. *

    5,148       536,216  

I3 Verticals, Inc. Class A *

    6,213       131,343  

ICF International, Inc.

    5,051       610,211  

Icosavax, Inc. *

    7,606       58,947  

Ideaya Biosciences, Inc. *

    14,619       394,421  

IGM Biosciences, Inc. *

    3,557       29,701  

Ikena Oncology, Inc. *

    5,262       22,784  

Immuneering Corp. Class A *

    5,394       41,426  

ImmunityBio, Inc. *

    29,909       50,546  

ImmunoGen, Inc. *

    64,808       1,028,503  

Immunovant, Inc. *

    14,468       555,427  

Inari Medical, Inc. *

    14,510       948,954  

Information Services Group, Inc.

    9,851       43,147  

InfuSystem Holdings, Inc. *

    3,934       37,924  

Ingles Markets, Inc. Class A

    3,806       286,706  

Inhibrx, Inc. *

    9,411       172,692  

Inmode Ltd . *

    20,771       632,685  

Innovage Holding Corp. *

    5,223       31,286  

Innoviva, Inc. *

    16,148       209,763  

Inogen, Inc. *

    6,640       34,661  

Inozyme Pharma, Inc. *

    8,784       36,893  

Insmed, Inc. *

    35,549       897,612  

Insperity, Inc.

    9,837       960,091  

Integer Holdings Corp. *

    8,890       697,243  

Intellia Therapeutics, Inc. *

    23,771       751,639  

Inter Parfums, Inc.

    5,021       674,521  

Intercept Pharmaceuticals, Inc. *

    10,990       203,755  

Intra-Cellular Therapies, Inc. *

    25,489       1,327,722  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

137

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

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Value

 

Invitae Corp. *

    72,554       $43,910  

Iovance Biotherapeutics, Inc. *

    62,004       282,118  

iRadimed Corp.

    2,073       91,979  

iRhythm Technologies, Inc. *

    8,262       778,776  

Ironwood Pharmaceuticals, Inc. *

    36,012       346,796  

iTeos Therapeutics, Inc. *

    6,653       72,850  

J & J Snack Foods Corp.

    4,111       672,765  

Janux Therapeutics, Inc. *

    4,413       44,483  

John B Sanfilippo & Son, Inc.

    2,349       232,081  

John Wiley & Sons, Inc. Class A

    11,553       429,425  

Joint Corp. *

    3,930       35,331  

KalVista Pharmaceuticals, Inc. *

    6,622       63,770  

Karyopharm Therapeutics, Inc. *

    30,474       40,835  

Kelly Services, Inc. Class A

    8,416       153,087  

Keros Therapeutics, Inc. *

    6,020       191,918  

Kezar Life Sciences, Inc. *

    19,013       22,625  

Kforce, Inc.

    5,345       318,883  

Kiniksa Pharmaceuticals Ltd. Class A *

    8,746       151,918  

Kodiak Sciences, Inc. *

    9,520       17,136  

Korn Ferry

    14,109       669,331  

KORU Medical Systems, Inc. *

    6,804       18,371  

Krispy Kreme, Inc.

    24,217       301,986  

Krystal Biotech, Inc. *

    5,825       675,700  

Kura Oncology, Inc. *

    19,728       179,919  

Kymera Therapeutics, Inc. *

    10,398       144,532  

Lancaster Colony Corp.

    5,218       861,127  

Lantheus Holdings, Inc. *

    18,383       1,277,251  

Larimar Therapeutics, Inc. *

    6,325       24,984  

Laureate Education, Inc.

    36,110       509,151  

Legalzoom.com, Inc. *

    28,130       307,742  

LeMaitre Vascular, Inc.

    5,430       295,826  

Lexicon Pharmaceuticals, Inc. *

    24,799       27,031  

LifeStance Health Group, Inc. *

    28,468       195,575  

Ligand Pharmaceuticals, Inc. *

    4,381       262,510  

Limoneira Co.

    3,965       60,744  

Lincoln Educational Services Corp. *

    6,454       54,536  

Lineage Cell Therapeutics, Inc. *

    31,120       36,722  

Liquidia Corp. *

    12,971       82,236  

LivaNova PLC *

    14,907       788,282  

LiveRamp Holdings, Inc. *

    17,835       514,361  

Longboard Pharmaceuticals, Inc. *

    3,716       20,661  

Lyell Immunopharma, Inc. *

    48,670       71,545  

MacroGenics, Inc. *

    16,274       75,837  

Madrigal Pharmaceuticals, Inc. *

    3,643       532,024  

MannKind Corp. *

    70,182       289,852  

Marathon Digital Holdings, Inc. *

    45,514       386,869  

Marinus Pharmaceuticals, Inc. *

    13,393       107,814  

MarketWise, Inc.

    8,455       13,528  

Marqeta, Inc. Class A *

    132,519       792,464  

Matthews International Corp. Class A

    8,087       314,665  

MaxCyte, Inc. *

    23,744       74,081  

Medifast, Inc.

    3,048       228,143  

MeiraGTx Holdings PLC *

    9,359       45,953  

Merit Medical Systems, Inc. *

    15,465       1,067,394  

Merrimack Pharmaceuticals, Inc. *

    2,525       31,133  

Mersana Therapeutics, Inc. *

    27,499       34,924  

MGP Ingredients, Inc.

    4,323       455,990  

MiMedx Group, Inc. *

    31,650       230,728  

Mineralys Therapeutics, Inc. *

    3,713       35,311  

Mirum Pharmaceuticals, Inc. *

    6,608       208,813  

Mission Produce, Inc. *

    12,456       120,574  

ModivCare, Inc. *

    3,350       105,559  

Monro, Inc.

    8,610       239,100  

Monte Rosa Therapeutics, Inc. *

    8,298       39,747  

Morphic Holding, Inc. *

    9,361       214,461  

Multiplan Corp. *

    106,862       179,528  

Myriad Genetics, Inc. *

    21,786       349,447  

Nano-X Imaging Ltd. * (Israel)

    12,598       82,643  

NanoString Technologies, Inc. *

    12,958       22,288  

Nathan’s Famous, Inc.

    756       53,419  

National Beverage Corp. *

    6,197       291,383  
   

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Value

 

National HealthCare Corp.

    3,484       $222,906  

National Research Corp.

    3,989       176,992  

Natural Grocers by Vitamin Cottage, Inc. Class C

    2,889       37,297  

Nature’s Sunshine Products, Inc. *

    3,409       56,487  

Nautilus Biotechnology, Inc. SPAC *

    13,513       42,701  

Neogen Corp. *

    58,807       1,090,282  

NeoGenomics, Inc. *

    34,677       426,527  

Nevro Corp. *

    9,450       181,629  

NGM Biopharmaceuticals, Inc. *

    11,285       12,075  

Nkarta, Inc. *

    9,173       12,750  

Novavax, Inc. *

    23,869       172,812  

Nurix Therapeutics, Inc. *

    12,900       101,394  

Nuvalent, Inc. Class A *

    6,420       295,127  

Nuvation Bio, Inc. *

    39,687       53,181  

Nuvectis Pharma, Inc. *

    1,636       21,088  

Ocean Biomedical, Inc. *

    1,777       6,930  

Ocular Therapeutix, Inc. *

    22,034       69,187  

Olema Pharmaceuticals, Inc. *

    7,332       90,550  

Omega Therapeutics, Inc. *

    6,249       13,435  

Omeros Corp. *

    16,105       47,027  

OmniAb, Inc. *

    25,195       130,762  

Omnicell, Inc. *

    12,021       541,426  

OPKO Health, Inc. *

    114,128       182,605  

Optinose, Inc. *

    16,504       20,300  

Option Care Health, Inc. *

    45,705       1,478,557  

OraSure Technologies, Inc. *

    20,519       121,678  

Orchestra BioMed Holdings, Inc. *

    4,360       38,019  

Organogenesis Holdings, Inc. *

    19,948       63,435  

ORIC Pharmaceuticals, Inc. *

    10,604       64,154  

Orthofix Medical, Inc. *

    9,501       122,183  

OrthoPediatrics Corp. *

    4,138       132,416  

Oscar Health, Inc. Class A *

    42,111       234,558  

Outlook Therapeutics, Inc. *

    40,599       8,972  

Ovid therapeutics, Inc. *

    14,981       57,527  

Owens & Minor, Inc. *

    19,900       321,584  

P3 Health Partners, Inc. *

    11,463       16,851  

Pacific Biosciences of California, Inc. *

    67,780       565,963  

Pacira BioSciences, Inc. *

    12,545       384,881  

Paragon 28, Inc. *

    11,730       147,211  

Patterson Cos., Inc.

    23,257       689,337  

Payoneer Global, Inc. *

    68,686       420,358  

Paysafe Ltd. *

    8,666       103,905  

PDS Biotechnology Corp. *

    7,081       35,759  

Pediatrix Medical Group, Inc. *

    21,990       279,493  

Pennant Group, Inc. *

    7,562       84,165  

PepGen, Inc. *

    3,473       17,643  

Perdoceo Education Corp.

    17,601       300,977  

Performant Financial Corp. *

    17,570       39,708  

PetIQ, Inc. *

    7,522       148,183  

Phathom Pharmaceuticals, Inc. *

    8,393       87,035  

Phibro Animal Health Corp. Class A

    5,008       63,952  

Pliant Therapeutics, Inc. *

    15,236       264,192  

PMV Pharmaceuticals, Inc. *

    10,583       64,980  

Point Biopharma Global, Inc. SPAC *

    24,011       160,153  

Poseida Therapeutics, Inc. *

    17,865       42,519  

Precigen, Inc. *

    34,261       48,651  

Prelude Therapeutics, Inc. *

    2,107       6,511  

Prestige Consumer Healthcare, Inc. *

    13,334       762,571  

Prime Medicine, Inc. *

    10,696       102,040  

Primo Water Corp.

    42,625       588,225  

Priority Technology Holdings, Inc. *

    6,741       21,841  

PROCEPT BioRobotics Corp. *

    9,748       319,832  

PROG Holdings, Inc. *

    12,350       410,143  

Progyny, Inc. *

    21,064       716,597  

ProKidney Corp. *

    12,340       56,517  

Protagonist Therapeutics, Inc. *

    15,584       259,941  

Protalix BioTherapeutics, Inc. *

    13,792       22,895  

Prothena Corp. PLC * (Ireland)

    11,075       534,369  

PTC Therapeutics, Inc. *

    19,094       427,897  

Pulmonx Corp. *

    9,917       102,443  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

138

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Pulse Biosciences, Inc. *

    3,868       $15,588  

Quad/Graphics, Inc. *

    10,046       50,531  

Quanex Building Products Corp.

    8,705       245,220  

Quanterix Corp. *

    9,476       257,179  

Quantum-Si, Inc. *

    29,849       49,549  

Quipt Home Medical Corp. *

    8,631       43,932  

RadNet, Inc. *

    16,116       454,310  

Rain Oncology, Inc. *

    15,622       13,463  

Rallybio Corp. *

    8,383       28,251  

RAPT Therapeutics, Inc. *

    8,381       139,292  

Recursion Pharmaceuticals, Inc. Class A *

    36,687       280,656  

REGENXBIO, Inc. *

    11,287       185,784  

Relay Therapeutics, Inc. *

    24,642       207,239  

Remitly Global, Inc. *

    35,355       891,653  

Reneo Pharmaceuticals, Inc. *

    2,156       16,418  

Rent the Runway, Inc. Class A *

    14,271       9,713  

Repay Holdings Corp. *

    21,953       166,623  

Replimune Group, Inc. *

    10,834       185,370  

Resources Connection, Inc.

    9,146       136,367  

Revance Therapeutics, Inc. *

    23,154       265,576  

REVOLUTION Medicines, Inc. *

    27,223       753,533  

Rhythm Pharmaceuticals, Inc. *

    13,849       317,488  

Rigel Pharmaceuticals, Inc. *

    46,759       50,500  

Riot Platforms, Inc. *

    46,172       430,785  

Rocket Pharmaceuticals, Inc. *

    15,018       307,719  

RxSight, Inc. *

    7,288       203,262  

Sabre Corp. *

    89,553       402,093  

Sage Therapeutics, Inc. *

    14,648       301,456  

Sagimet Biosciences, Inc. Class A *

    1,562       13,746  

Sana Biotechnology, Inc. *

    24,818       96,046  

Sanara Medtech, Inc. *

    893       27,799  

Sangamo Therapeutics, Inc. *

    39,707       23,816  

Savara, Inc. *

    25,113       94,927  

Scholar Rock Holding Corp. *

    11,723       83,233  

Scilex Holding Co. *

    18,410       25,774  

scPharmaceuticals, Inc. *

    7,529       53,606  

SEACOR Marine Holdings, Inc. *

    6,130       85,084  

Seer, Inc. *

    16,474       36,408  

Select Medical Holdings Corp.

    28,044       708,672  

Selecta Biosciences, Inc. *

    29,379       31,142  

Semler Scientific, Inc. *

    1,180       29,937  

Seneca Foods Corp. Class A *

    1,565       84,244  

Seres Therapeutics, Inc. *

    26,358       62,732  

SI-BONE, Inc. *

    9,359       198,785  

SIGA Technologies, Inc.

    13,267       69,652  

Silk Road Medical, Inc. *

    10,027       150,305  

Simply Good Foods Co. *

    24,193       835,142  

SomaLogic, Inc. *

    42,206       100,872  

SoundThinking, Inc. *

    2,409       43,121  

SP Plus Corp. *

    5,484       197,972  

SpartanNash Co.

    9,573       210,606  

SpringWorks Therapeutics, Inc. *

    15,747       364,071  

Sprouts Farmers Market, Inc. *

    28,014       1,198,999  

STAAR Surgical Co. *

    12,973       521,255  

Sterling Check Corp. *

    8,393       105,920  

Stoke Therapeutics, Inc. *

    7,532       29,676  

StoneCo Ltd. Class A * (Brazil)

    78,507       837,670  

Strategic Education, Inc.

    6,158       463,389  

Stride, Inc. *

    11,368       511,901  

Summit Therapeutics, Inc. *

    31,083       58,125  

SunOpta, Inc. * (Canada)

    23,939       80,674  

Supernus Pharmaceuticals, Inc. *

    13,188       363,593  

Surgery Partners, Inc. *

    18,564       542,997  

Surmodics, Inc. *

    3,813       122,359  

Sutro Biopharma, Inc. *

    15,888       55,131  

Syndax Pharmaceuticals, Inc. *

    17,747       257,686  

Tactile Systems Technology, Inc. *

    6,234       87,588  

Tango Therapeutics, Inc. *

    13,129       147,833  

Target Hospitality Corp. *

    8,395       133,313  

Taro Pharmaceutical Industries Ltd. *

    2,130       80,322  

Tarsus Pharmaceuticals, Inc. *

    6,297       111,898  
   

Shares

   

Value

 

Tejon Ranch Co. *

    5,981       $97,012  

Tela Bio, Inc. *

    4,026       32,208  

Tenaya Therapeutics, Inc. *

    12,368       31,538  

Terns Pharmaceuticals, Inc. *

    11,451       57,599  

Textainer Group Holdings Ltd. (China)

    11,333       422,154  

TG Therapeutics, Inc. *

    37,680       315,005  

Theravance Biopharma, Inc. *

    15,842       136,716  

Theseus Pharmaceuticals, Inc. *

    5,260       14,149  

Third Harmonic Bio, Inc. *

    5,161       32,979  

Thorne HealthTech, Inc. *

    4,618       47,057  

Transcat, Inc. *

    2,020       197,899  

TransMedics Group, Inc. *

    8,531       467,072  

Travere Therapeutics, Inc. *

    19,685       175,984  

Treace Medical Concepts, Inc. *

    11,965       156,861  

TreeHouse Foods, Inc. *

    13,750       599,225  

Trevi Therapeutics, Inc. *

    10,876       23,710  

TriNet Group, Inc. *

    10,180       1,185,766  

Triton International Ltd. * (Bermuda)

    14,676       1,207,248  

TrueBlue, Inc. *

    7,717       113,208  

Turning Point Brands, Inc.

    5,078       117,251  

Turnstone Biologics Corp. *

    3,531       13,912  

Twist Bioscience Corp. *

    15,073       305,379  

Tyra Biosciences, Inc. *

    3,839       52,863  

U.S. Physical Therapy, Inc.

    3,973       364,443  

Udemy, Inc. *

    23,307       221,416  

UFP Technologies, Inc. *

    1,872       302,234  

United Natural Foods, Inc. *

    16,345       231,118  

Universal Corp.

    6,409       302,569  

Universal Technical Institute, Inc. *

    8,476       71,029  

Upbound Group, Inc.

    15,310       450,879  

UroGen Pharma Ltd. *

    5,092       71,339  

USANA Health Sciences, Inc. *

    2,971       174,130  

Utah Medical Products, Inc.

    985       84,710  

Utz Brands, Inc.

    19,823       266,223  

V2X, Inc. *

    3,277       169,290  

Vanda Pharmaceuticals, Inc. *

    14,200       61,344  

Varex Imaging Corp. *

    10,049       188,821  

Vaxcyte, Inc. *

    25,364       1,293,057  

Vaxxinity, Inc. Class A *

    11,045       15,132  

Vector Group Ltd.

    38,892       413,811  

Ventyx Biosciences, Inc. *

    12,589       437,216  

Vera Therapeutics, Inc. *

    9,306       127,585  

Veracyte, Inc. *

    19,793       441,978  

Vericel Corp. *

    12,677       424,933  

Verrica Pharmaceuticals, Inc. *

    5,294       20,567  

Verve Therapeutics, Inc. *

    13,763       182,497  

Viad Corp. *

    5,741       150,414  

Vicarious Surgical, Inc. *

    18,531       10,946  

Viemed Healthcare, Inc. *

    7,495       50,441  

Vigil Neuroscience, Inc. *

    4,068       21,927  

Viking Therapeutics, Inc. *

    25,775       285,329  

Village Super Market, Inc. Class A

    2,310       52,298  

Vir Biotechnology, Inc. *

    22,936       214,910  

Viridian Therapeutics, Inc. *

    11,409       175,014  

Vita Coco Co., Inc. *

    7,497       195,222  

Vital Farms, Inc. *

    8,027       92,953  

Vor BioPharma, Inc. *

    10,063       21,334  

Voyager Therapeutics, Inc. *

    8,477       65,697  

Waldencast PLC Class A *

    9,286       87,474  

WaVe Life Sciences Ltd. *

    15,422       88,677  

WD-40 Co.

    3,696       751,175  

Weis Markets, Inc.

    4,410       277,830  

Westrock Coffee Co. *

    7,316       64,820  

Willdan Group, Inc. *

    3,216       65,703  

WW International, Inc. *

    15,006       166,116  

X4 Pharmaceuticals, Inc. *

    33,620       36,646  

Xencor, Inc. *

    15,446       311,237  

Xeris Biopharma Holdings, Inc. *

    37,515       69,778  

XOMA Corp. *

    1,671       23,544  

Y-mAbs Therapeutics, Inc. *

    9,957       54,266  

Zentalis Pharmaceuticals, Inc. *

    15,806       317,068  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

139

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Zevia PBC Class A *

    6,773       $15,036  

Zevra Therapeutics, Inc. *

    9,296       44,807  

Zimvie, Inc. *

    6,970       65,588  

ZipRecruiter, Inc. Class A *

    18,094       216,947  

Zura Bio Ltd. * (United Kingdom)

    1,989       13,127  

Zymeworks, Inc. *

    13,338       84,563  

Zynex, Inc. *

    6,493       51,944  
   

 

 

 
    139,092,148  
   

 

 

 

Energy - 8.4%

 

Alpha Metallurgical Resources, Inc.

    3,401       883,342  

Amplify Energy Corp. *

    9,684       71,177  

Arch Resources, Inc.

    5,027       857,908  

Archrock, Inc.

    37,344       470,534  

Aris Water Solutions, Inc. Class A

    8,175       81,587  

Array Technologies, Inc. *

    41,087       911,721  

Atlas Energy Solutions, Inc. Class A

    4,681       104,059  

Berry Corp.

    22,531       184,754  

Borr Drilling Ltd. * (Mexico)

    58,822       417,636  

Bristow Group, Inc. *

    6,213       175,020  

California Resources Corp.

    19,423       1,087,882  

Callon Petroleum Co. *

    16,547       647,319  

ChampionX Corp.

    53,815       1,916,890  

Chord Energy Corp.

    11,353       1,839,981  

Civitas Resources, Inc.

    18,840       1,523,591  

Cleanspark, Inc. *

    29,999       114,296  

CNX Resources Corp. *

    43,318       978,120  

Comstock Resources, Inc.

    24,771       273,224  

CONSOL Energy, Inc.

    9,065       951,009  

Core Laboratories, Inc.

    12,568       301,758  

Crescent Energy Co. Class A

    11,431       144,488  

CVR Energy, Inc.

    8,910       303,207  

Delek U.S. Holdings, Inc.

    18,718       531,778  

Denbury, Inc. *

    13,734       1,346,069  

Diamond Offshore Drilling, Inc. *

    27,758       407,487  

DMC Global, Inc. *

    5,294       129,544  

Dril-Quip, Inc. *

    8,931       251,586  

Earthstone Energy, Inc. Class A *

    15,106       305,745  

Empire Petroleum Corp. *

    2,766       26,637  

Energy Vault Holdings, Inc. *

    27,544       70,237  

Eneti, Inc.

    6,442       64,935  

Enviva, Inc.

    9,490       70,890  

Eos Energy Enterprises, Inc. *

    29,755       63,973  

Equitrans Midstream Corp.

    118,061       1,106,232  

Evolution Petroleum Corp.

    7,880       53,899  

Excelerate Energy, Inc. Class A

    5,325       90,738  

Expro Group Holdings NV *

    23,557       547,229  

Fluence Energy, Inc. *

    10,582       243,280  

Forum Energy Technologies, Inc. *

    2,275       54,646  

FuelCell Energy, Inc. *

    111,523       142,749  

FutureFuel Corp.

    7,097       50,886  

Gevo, Inc. *

    70,791       84,241  

Golar LNG Ltd. (Cameroon)

    27,268       661,522  

Granite Ridge Resources, Inc.

    6,005       36,631  

Green Plains, Inc. *

    10,265       308,977  

Gulfport Energy Corp. *

    2,984       354,081  

Hallador Energy Co. *

    5,529       79,728  

Helix Energy Solutions Group, Inc. *

    38,090       425,465  

Helmerich & Payne, Inc.

    26,522       1,118,168  

HighPeak Energy, Inc.

    2,892       48,817  

Kinetik Holdings, Inc.

    4,740       159,975  

KLX Energy Services Holdings, Inc. *

    3,095       36,676  

Kodiak Gas Services, Inc. *

    4,160       74,381  

Kosmos Energy Ltd. * (Ghana)

    123,293       1,008,537  

Liberty Energy, Inc.

    45,534       843,290  

Magnolia Oil & Gas Corp. Class A

    49,887       1,142,911  

Mammoth Energy Services, Inc. *

    5,587       25,924  

Matador Resources Co.

    30,578       1,818,779  

Maxeon Solar Technologies Ltd. *

    7,282       84,398  

Montauk Renewables, Inc. *

    18,769       170,986  
   

Shares

   

Value

 

Murphy Oil Corp.

    40,435       $1,833,727  

Nabors Industries Ltd. *

    2,509       308,958  

NACCO Industries, Inc. Class A

    1,080       37,876  

Newpark Resources, Inc. *

    21,149       146,140  

NextDecade Corp. *

    8,872       45,425  

Noble Corp. PLC

    29,993       1,519,145  

Northern Oil & Gas, Inc.

    22,211       893,549  

NOW, Inc. *

    29,266       347,387  

Oceaneering International, Inc. *

    27,215       699,970  

Oil States International, Inc. *

    17,196       143,931  

Par Pacific Holdings, Inc. *

    15,334       551,104  

Patterson-UTI Energy, Inc.

    95,386       1,320,142  

PBF Energy, Inc. Class A

    30,840       1,650,865  

Peabody Energy Corp.

    33,429       868,820  

Permian Resources Corp.

    74,417       1,038,861  

PrimeEnergy Resources Corp. *

    75       8,699  

ProFrac Holding Corp. Class A *

    6,958       75,703  

ProPetro Holding Corp. *

    26,847       285,384  

Ramaco Resources, Inc. Class A

    6,187       67,995  

Ramaco Resources, Inc. Class B *

    1,237       14,757  

Ranger Energy Services, Inc.

    4,423       62,718  

REX American Resources Corp. *

    4,669       190,122  

Riley Exploration Permian, Inc.

    2,219       70,542  

Ring Energy, Inc. *

    29,944       58,391  

RPC, Inc.

    21,688       193,891  

SandRidge Energy, Inc.

    5,917       92,660  

Seadrill Ltd. * (Norway)

    13,636       610,756  

Select Water Solutions, Inc.

    22,204       176,522  

Shoals Technologies Group, Inc. Class A *

    46,054       840,486  

SilverBow Resources, Inc. *

    4,715       168,656  

Sitio Royalties Corp. Class A

    22,033       533,419  

SM Energy Co.

    32,388       1,284,184  

Solaris Oilfield Infrastructure, Inc. Class A

    8,990       95,833  

Stem, Inc. *

    37,641       159,598  

SunCoke Energy, Inc.

    23,274       236,231  

Sunnova Energy International, Inc. *

    26,793       280,523  

SunPower Corp. *

    23,028       142,083  

Talos Energy, Inc. *

    30,270       497,639  

Tellurian, Inc. *

    143,054       165,943  

TETRA Technologies, Inc. *

    34,967       223,089  

Tidewater, Inc. *

    12,931       919,006  

TPI Composites, Inc. *

    11,288       29,913  

U.S. Silica Holdings, Inc. *

    19,962       280,267  

VAALCO Energy, Inc.

    29,265       128,473  

Valaris Ltd. *

    16,697       1,251,941  

Verde Clean Fuels, Inc. *

    1,130       4,260  

Vertex Energy, Inc. *

    18,034       80,251  

Vital Energy, Inc. *

    4,556       252,494  

Vitesse Energy, Inc.

    6,654       152,310  

W&T Offshore, Inc. *

    26,922       117,918  

Warrior Met Coal, Inc.

    14,191       724,876  

Weatherford International PLC *

    19,256       1,739,395  
   

 

 

 
    51,904,358  
   

 

 

 

Financial - 20.6%

 

1st Source Corp.

    4,422       186,122  

Acadia Realty Trust REIT

    24,153       346,596  

ACNB Corp.

    2,162       68,341  

AFC Gamma, Inc. REIT

    4,115       48,310  

Alerus Financial Corp.

    5,194       94,427  

Alexander & Baldwin, Inc. REIT *

    21,005       351,414  

Alexander’s, Inc. REIT

    658       119,907  

Alpine Income Property Trust, Inc. REIT

    3,888       63,608  

AlTi Global, Inc. *

    5,444       37,890  

Amalgamated Financial Corp.

    5,172       89,062  

Ambac Financial Group, Inc. *

    12,470       150,388  

Amerant Bancorp, Inc.

    7,762       135,369  

American Assets Trust, Inc. REIT

    13,629       265,084  

American Coastal Insurance Corp. Class C *

    5,229       38,485  

American Equity Investment Life Holding Co. *

    21,091       1,131,321  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

140

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

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Value

 

American National Bankshares, Inc.

    2,720       $103,197  

American Realty Investors, Inc. *

    308       4,503  

Ameris Bancorp

    17,990       690,636  

AMERISAFE, Inc.

    5,085       254,606  

Ames National Corp.

    1,904       31,587  

Angel Oak Mortgage, Inc. REIT

    3,681       31,399  

Anywhere Real Estate, Inc. *

    29,152       187,447  

Apartment Investment & Management Co. Class A REIT *

    40,850       277,780  

Apollo Commercial Real Estate Finance, Inc. REIT

    37,921       384,140  

Apple Hospitality REIT, Inc.

    58,715       900,688  

Applied Digital Corp. *

    18,677       116,544  

Arbor Realty Trust, Inc. REIT

    44,628       677,453  

Ares Commercial Real Estate Corp. REIT

    14,675       139,706  

Argo Group International Holdings Ltd.

    8,821       263,219  

Armada Hoffler Properties, Inc. REIT

    18,168       186,040  

ARMOUR Residential REIT, Inc.

    62,280       264,690  

Arrow Financial Corp.

    4,428       75,364  

Artisan Partners Asset Management, Inc. Class A

    16,209       606,541  

AssetMark Financial Holdings, Inc. *

    5,895       147,847  

Associated Banc-Corp.

    41,189       704,744  

Atlantic Union Bankshares Corp.

    20,360       585,961  

Atlanticus Holdings Corp. *

    1,279       38,766  

Avantax, Inc. *

    10,703       273,783  

Axos Financial, Inc. *

    15,615       591,184  

B Riley Financial, Inc.

    5,054       207,163  

Banc of California, Inc.

    12,967       160,531  

BancFirst Corp.

    5,937       514,916  

Banco Latinoamericano de Comercio Exterior SA (Panama)

    7,106       150,647  

Bancorp, Inc. *

    14,708       507,426  

Bank First Corp.

    2,520       194,418  

Bank of Hawaii Corp.

    9,870       490,440  

Bank of Marin Bancorp

    4,931       90,139  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    13,788       373,379  

Bank7 Corp.

    510       11,480  

BankUnited, Inc.

    20,187       458,245  

Bankwell Financial Group, Inc.

    1,898       46,064  

Banner Corp.

    9,125       386,717  

Bar Harbor Bankshares

    4,199       99,222  

BayCom Corp.

    3,365       64,642  

BCB Bancorp, Inc.

    4,808       53,561  

Berkshire Hills Bancorp, Inc.

    11,394       228,450  

BGC Group, Inc. Class A

    85,462       451,239  

Bit Digital, Inc. * (China)

    20,274       43,386  

Blackstone Mortgage Trust, Inc. Class A REIT

    46,601       1,013,572  

Blue Foundry Bancorp *

    7,307       61,160  

Blue Ridge Bankshares, Inc.

    4,942       22,338  

Braemar Hotels & Resorts, Inc. REIT

    18,208       50,436  

Brandywine Realty Trust REIT

    48,359       219,550  

Bread Financial Holdings, Inc.

    8,017       274,181  

Bridgewater Bancshares, Inc. *

    6,000       56,880  

Brightsphere Investment Group, Inc.

    8,467       164,175  

BrightSpire Capital, Inc. REIT

    34,934       218,687  

Broadstone Net Lease, Inc. REIT

    50,490       722,007  

Brookfield Business Corp. Class A (Canada)

    7,170       129,634  

Brookline Bancorp, Inc.

    23,849       217,264  

BRP Group, Inc. Class A *

    16,411       381,228  

BRT Apartments Corp. REIT

    3,643       62,915  

Burke & Herbert Financial Services Corp.

    1,672       77,689  

Business First Bancshares, Inc.

    6,834       128,206  

Byline Bancorp, Inc.

    6,572       129,534  

C&F Financial Corp.

    697       37,359  

Cadence Bank

    46,120       978,666  

Cambridge Bancorp

    2,257       140,589  

Camden National Corp.

    4,127       116,464  

Cannae Holdings, Inc. *

    19,264       359,081  

Capital Bancorp, Inc.

    2,234       42,736  

Capital City Bank Group, Inc.

    3,827       114,159  
   

Shares

   

Value

 

Capitol Federal Financial, Inc.

    33,292       $158,803  

Capstar Financial Holdings, Inc.

    5,885       83,508  

CareTrust REIT, Inc.

    27,561       565,000  

Carter Bankshares, Inc. *

    6,979       87,447  

Cathay General Bancorp

    18,802       653,558  

CBL & Associates Properties, Inc. REIT

    7,378       154,790  

Centerspace REIT

    4,087       246,283  

Central Pacific Financial Corp.

    6,796       113,357  

Central Valley Community Bancorp

    2,544       35,896  

Chatham Lodging Trust REIT

    13,379       128,037  

Chemung Financial Corp.

    710       28,123  

Chicago Atlantic Real Estate Finance, Inc. REIT

    4,445       65,430  

Chimera Investment Corp. REIT

    62,960       343,762  

ChoiceOne Financial Services, Inc.

    1,666       32,720  

Citizens & Northern Corp.

    4,459       78,255  

Citizens Financial Services, Inc.

    1,059       50,747  

City Holding Co.

    4,031       364,201  

City Office REIT, Inc.

    12,675       53,869  

Civista Bancshares, Inc.

    4,343       67,317  

Claros Mortgage Trust, Inc. REIT

    24,334       269,621  

Clipper Realty, Inc. REIT

    4,893       25,346  

CNB Financial Corp.

    5,235       94,806  

CNO Financial Group, Inc.

    30,872       732,593  

Coastal Financial Corp. *

    2,871       123,195  

Codorus Valley Bancorp, Inc.

    2,326       43,357  

Cohen & Steers, Inc.

    6,989       438,140  

Colony Bankcorp, Inc.

    4,665       46,627  

Columbia Financial, Inc. *

    7,589       119,223  

Community Bank System, Inc.

    14,574       615,169  

Community Healthcare Trust, Inc. REIT

    6,975       207,157  

Community Trust Bancorp, Inc.

    4,268       146,222  

Compass Diversified Holdings

    17,056       320,141  

Compass, Inc. Class A *

    81,017       234,949  

ConnectOne Bancorp, Inc.

    10,790       192,386  

Consumer Portfolio Services, Inc. *

    2,941       26,675  

COPT Defense Properties REIT

    30,496       726,720  

Crawford & Co. Class A

    4,680       43,711  

CrossFirst Bankshares, Inc. *

    11,653       117,579  

CTO Realty Growth, Inc. REIT

    7,044       114,183  

Cushman & Wakefield PLC *

    43,347       330,304  

Customers Bancorp, Inc. *

    7,737       266,540  

CVB Financial Corp.

    35,939       595,509  

Diamond Hill Investment Group, Inc.

    751       126,596  

DiamondRock Hospitality Co. REIT

    57,973       465,523  

Dime Community Bancshares, Inc.

    9,431       188,243  

Diversified Healthcare Trust REIT

    62,519       121,287  

Donegal Group, Inc. Class A

    4,250       60,584  

Douglas Elliman, Inc.

    21,679       48,995  

Douglas Emmett, Inc. REIT

    21,295       271,724  

Dynex Capital, Inc. REIT

    13,884       165,775  

Eagle Bancorp, Inc.

    5,888       126,298  

Easterly Government Properties, Inc. REIT

    26,529       303,226  

Eastern Bankshares, Inc.

    42,463       532,486  

eHealth, Inc. *

    6,957       51,482  

Ellington Financial, Inc. REIT

    17,910       223,338  

Elme Communities REIT

    23,704       323,323  

Empire State Realty Trust, Inc. Class A REIT

    37,332       300,149  

Employers Holdings, Inc.

    7,009       280,010  

Enact Holdings, Inc.

    8,054       219,310  

Encore Capital Group, Inc. *

    6,183       295,300  

Enova International, Inc. *

    8,269       420,644  

Enstar Group Ltd. *

    3,217       778,514  

Enterprise Bancorp, Inc.

    2,665       72,968  

Enterprise Financial Services Corp.

    9,819       368,212  

Equity Bancshares, Inc. Class A

    4,136       99,554  

Equity Commonwealth REIT

    28,666       526,594  

Esquire Financial Holdings, Inc.

    1,920       87,725  

ESSA Bancorp, Inc.

    1,983       29,765  

Essent Group Ltd.

    28,743       1,359,256  

Essential Properties Realty Trust, Inc. REIT

    42,631       922,109  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

141

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Evans Bancorp, Inc.

    1,257       $33,688  

eXp World Holdings, Inc.

    18,930       307,423  

F&G Annuities & Life, Inc.

    4,833       135,614  

Farmers & Merchants Bancorp, Inc.

    3,857       67,613  

Farmers National Banc Corp.

    10,298       119,045  

Farmland Partners, Inc. REIT

    13,795       141,537  

FB Financial Corp.

    9,595       272,114  

Federal Agricultural Mortgage Corp. Class C

    2,423       373,869  

Fidelis Insurance Holdings Ltd. * (Bermuda)

    4,336       63,652  

Fidelity D&D Bancorp, Inc.

    1,200       54,480  

Finance Of America Cos., Inc. Class A *

    13,751       17,601  

Financial Institutions, Inc.

    4,452       74,927  

First BanCorp

    48,437       651,962  

First Bancorp, Inc.

    2,438       57,293  

First Bancshares, Inc.

    8,289       223,554  

First Bank

    4,430       47,755  

First Busey Corp.

    14,756       283,610  

First Business Financial Services, Inc.

    2,084       62,541  

First Commonwealth Financial Corp.

    26,911       328,583  

First Community Bankshares, Inc.

    4,815       141,802  

First Community Corp.

    1,369       23,643  

First Financial Bancorp

    25,021       490,412  

First Financial Bankshares, Inc.

    35,253       885,555  

First Financial Corp.

    3,676       124,286  

First Foundation, Inc.

    13,303       80,882  

First Interstate BancSystem, Inc. Class A

    22,480       560,651  

First Merchants Corp.

    16,682       464,093  

First Mid Bancshares, Inc.

    5,628       149,480  

First of Long Island Corp.

    5,564       64,042  

First Western Financial, Inc. *

    2,110       38,297  

FirstCash Holdings, Inc.

    10,320       290,405  

Five Star Bancorp

    3,543       71,073  

Flushing Financial Corp.

    8,348       109,609  

Forge Global Holdings, Inc. *

    30,558       62,033  

Four Corners Property Trust, Inc. REIT

    24,226       537,575  

Franklin BSP Realty Trust, Inc. REIT

    22,518       298,138  

FRP Holdings, Inc. *

    1,863       100,546  

FS Bancorp, Inc.

    1,310       38,645  

FTAI Aviation Ltd.

    26,750       950,962  

FTAI Infrastructure, Inc.

    25,931       83,498  

Fulton Financial Corp.

    44,113       534,208  

FVCBankcorp, Inc. *

    3,783       48,460  

GCM Grosvenor, Inc. Class A

    11,898       92,328  

Genworth Financial, Inc. Class A *

    126,731       742,644  

German American Bancorp, Inc.

    7,922       214,607  

Getty Realty Corp. REIT

    12,137       336,559  

Glacier Bancorp, Inc.

    30,166       859,731  

Gladstone Commercial Corp. REIT

    10,875       132,240  

Gladstone Land Corp. REIT

    9,528       135,583  

Global Medical REIT, Inc.

    16,489       147,906  

Global Net Lease, Inc. REIT

    52,911       508,475  

GoHealth, Inc. Class A *

    1,146       16,606  

Goosehead Insurance, Inc. Class A *

    5,827       434,286  

Granite Point Mortgage Trust, Inc. REIT

    15,191       74,132  

Great Southern Bancorp, Inc.

    2,460       117,883  

Greene County Bancorp, Inc.

    1,884       45,310  

Greenlight Capital Re Ltd. Class A *

    7,649       82,150  

Guaranty Bancshares, Inc.

    2,295       65,844  

Hamilton Lane, Inc. Class A

    9,846       890,472  

Hancock Whitney Corp.

    23,408       865,862  

Hanmi Financial Corp.

    8,694       141,104  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    28,199       597,819  

HarborOne Bancorp, Inc.

    12,421       118,248  

HBT Financial, Inc.

    3,469       63,275  

HCI Group, Inc.

    1,797       97,559  

Heartland Financial USA, Inc.

    11,395       335,355  

Heritage Commerce Corp.

    17,738       150,241  

Heritage Financial Corp.

    9,657       157,506  

Hersha Hospitality Trust Class A REIT

    7,973       78,614  

Hilltop Holdings, Inc.

    12,627       358,102  
   

Shares

   

Value

 

Hingham Institution For Savings

    444       $82,917  

Hippo Holdings, Inc. *

    2,639       21,033  

Home Bancorp, Inc.

    2,196       69,987  

Home BancShares, Inc.

    51,593       1,080,357  

HomeStreet, Inc.

    5,106       39,776  

HomeTrust Bancshares, Inc.

    4,310       93,398  

Hope Bancorp, Inc.

    30,631       271,084  

Horace Mann Educators Corp.

    10,803       317,392  

Horizon Bancorp, Inc.

    11,663       124,561  

Hudson Pacific Properties, Inc. REIT

    37,397       248,690  

Independence Realty Trust, Inc. REIT

    61,022       858,580  

Independent Bank Corp.

    11,952       586,724  

Independent Bank Corp. MI

    5,801       106,390  

Independent Bank Group, Inc.

    9,758       385,929  

Innovative Industrial Properties, Inc. REIT

    7,642       578,194  

International Bancshares Corp.

    14,618       633,544  

International Money Express, Inc. *

    9,325       157,872  

InvenTrust Properties Corp. REIT

    19,168       456,390  

Invesco Mortgage Capital, Inc. REIT

    11,310       113,213  

Investors Title Co.

    373       55,238  

Jackson Financial, Inc. Class A

    22,447       857,924  

James River Group Holdings Ltd.

    9,238       141,803  

JBG SMITH Properties REIT

    29,657       428,840  

John Marshall Bancorp, Inc.

    3,207       57,245  

Kearny Financial Corp.

    16,274       112,779  

Kennedy-Wilson Holdings, Inc.

    32,985       486,199  

Kingsway Financial Services, Inc. * (Canada)

    3,503       26,448  

Kite Realty Group Trust REIT

    58,883       1,261,274  

KKR Real Estate Finance Trust, Inc. REIT

    16,175       191,997  

Ladder Capital Corp. REIT

    30,782       315,823  

Lakeland Bancorp, Inc.

    17,688       223,223  

Lakeland Financial Corp.

    6,547       310,721  

LCNB Corp.

    3,120       44,522  

Legacy Housing Corp. *

    2,286       44,371  

Lemonade, Inc. *

    14,107       163,923  

LendingClub Corp. *

    27,728       169,141  

LendingTree, Inc. *

    3,022       46,841  

Live Oak Bancshares, Inc.

    9,463       273,954  

LTC Properties, Inc. REIT

    11,452       367,953  

Luther Burbank Corp.

    2,454       20,614  

LXP Industrial Trust REIT

    79,535       707,861  

Macatawa Bank Corp.

    7,514       67,325  

Macerich Co. REIT

    58,240       635,398  

Maiden Holdings Ltd. *

    17,861       31,435  

MainStreet Bancshares, Inc.

    1,894       38,903  

Marcus & Millichap, Inc.

    6,395       187,629  

Maui Land & Pineapple Co., Inc. *

    1,508       19,981  

MBIA, Inc. *

    13,661       98,496  

McGrath RentCorp

    6,653       666,897  

Mercantile Bank Corp.

    4,456       137,735  

Merchants Bancorp

    4,198       116,369  

Mercury General Corp.

    7,482       209,720  

Metrocity Bankshares, Inc.

    5,458       107,413  

Metropolitan Bank Holding Corp. *

    2,959       107,353  

MFA Financial, Inc. REIT

    27,699       266,187  

Mid Penn Bancorp, Inc.

    4,078       82,090  

Middlefield Banc Corp.

    1,846       46,907  

Midland States Bancorp, Inc.

    6,065       124,575  

MidWestOne Financial Group, Inc.

    4,126       83,882  

Moelis & Co. Class A

    17,370       783,908  

Mr Cooper Group, Inc. *

    17,783       952,457  

MVB Financial Corp.

    3,422       77,269  

National Bank Holdings Corp. Class A

    8,360       248,794  

National Bankshares, Inc.

    1,326       33,203  

National Health Investors, Inc. REIT

    11,664       599,063  

National Western Life Group, Inc. Class A

    618       270,369  

Navient Corp.

    25,177       433,548  

NBT Bancorp, Inc.

    11,309       358,382  

Nelnet, Inc. Class A

    3,870       345,668  

NerdWallet, Inc. Class A *

    9,453       84,037  

NETSTREIT Corp. REIT

    18,872       294,026  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

142

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

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Value

 

New York Mortgage Trust, Inc. REIT

    25,592       $217,276  

Newmark Group, Inc. Class A

    37,322       239,980  

NewtekOne, Inc.

    6,627       97,748  

NexPoint Diversified Real Estate Trust REIT

    9,351       81,447  

Nexpoint Real Estate Finance, Inc. REIT

    3,070       50,225  

NexPoint Residential Trust, Inc. REIT

    5,984       192,565  

NI Holdings, Inc. *

    2,437       31,364  

Nicolet Bankshares, Inc.

    3,534       246,603  

NMI Holdings, Inc. Class A *

    22,051       597,362  

Northeast Bank

    1,878       82,820  

Northeast Community Bancorp, Inc.

    3,646       53,815  

Northfield Bancorp, Inc.

    10,985       103,808  

Northrim BanCorp, Inc.

    1,526       60,460  

Northwest Bancshares, Inc.

    32,331       330,746  

Norwood Financial Corp.

    2,376       61,206  

Oak Valley Bancorp

    2,000       50,160  

OceanFirst Financial Corp.

    15,753       227,946  

Ocwen Financial Corp. *

    1,643       42,521  

Office Properties Income Trust REIT

    13,833       56,715  

OFG Bancorp

    12,930       386,090  

Old National Bancorp

    79,244       1,152,208  

Old Second Bancorp, Inc.

    12,234       166,505  

One Liberty Properties, Inc. REIT

    4,590       86,613  

OppFi, Inc. *

    2,693       6,786  

Orange County Bancorp, Inc.

    1,670       72,094  

Orchid Island Capital, Inc. REIT

    12,889       109,685  

Origin Bancorp, Inc.

    8,095       233,703  

Orion Office REIT, Inc.

    15,190       79,140  

Orrstown Financial Services, Inc.

    3,134       65,845  

Outfront Media, Inc. REIT

    39,907       403,061  

P10, Inc. Class A

    10,152       118,271  

Pacific Premier Bancorp, Inc.

    24,843       540,584  

PacWest Bancorp

    33,136       262,106  

Pagseguro Digital Ltd. Class A * (Brazil)

    53,293       458,853  

Palomar Holdings, Inc. *

    6,634       336,675  

Paramount Group, Inc. REIT

    53,098       245,313  

Park National Corp.

    3,876       366,360  

Parke Bancorp, Inc.

    3,261       53,122  

Pathward Financial, Inc.

    7,174       330,650  

Patria Investments Ltd. Class A (Cayman)

    14,004       204,178  

Paysign, Inc. *

    6,943       13,539  

PCB Bancorp

    3,596       55,558  

Peakstone Realty Trust REIT *

    9,859       164,054  

Peapack-Gladstone Financial Corp.

    4,693       120,375  

Pebblebrook Hotel Trust REIT

    32,851       446,445  

Penns Woods Bancorp, Inc.

    1,539       32,442  

PennyMac Financial Services, Inc.

    6,899       459,473  

PennyMac Mortgage Investment Trust REIT

    24,429       302,920  

Peoples Bancorp, Inc.

    9,816       249,130  

Peoples Financial Services Corp.

    1,981       79,438  

Perella Weinberg Partners

    11,157       113,578  

Phillips Edison & Co., Inc. REIT

    31,845       1,068,081  

Physicians Realty Trust REIT

    65,792       802,004  

Piedmont Office Realty Trust, Inc. Class A REIT

    33,102       186,033  

Pioneer Bancorp, Inc. *

    3,302       28,199  

Piper Sandler Cos.

    4,727       686,880  

PJT Partners, Inc. Class A

    6,422       510,164  

Plumas Bancorp

    1,142       38,988  

Plymouth Industrial REIT, Inc.

    11,888       249,054  

Ponce Financial Group, Inc. *

    5,820       45,512  

Postal Realty Trust, Inc. Class A REIT

    5,903       79,691  

PotlatchDeltic Corp. REIT

    21,386       970,711  

PRA Group, Inc. *

    10,292       197,709  

Preferred Bank

    2,729       169,880  

Premier Financial Corp.

    9,560       163,094  

Primis Financial Corp.

    6,934       56,512  

Princeton Bancorp, Inc.

    1,149       33,310  

ProAssurance Corp.

    13,737       259,492  

Provident Financial Services, Inc.

    19,430       297,085  

QCR Holdings, Inc.

    4,401       213,537  
   

Shares

   

Value

 

Radian Group, Inc.

    42,876       $1,076,616  

RBB Bancorp

    4,998       63,874  

RE/MAX Holdings, Inc. Class A

    4,707       60,909  

Ready Capital Corp. REIT

    44,290       447,772  

Red River Bancshares, Inc.

    1,125       51,705  

Redfin Corp. *

    29,053       204,533  

Redwood Trust, Inc. REIT

    31,017       221,151  

Regional Management Corp.

    2,179       60,315  

Renasant Corp.

    14,687       384,653  

Republic Bancorp, Inc. Class A

    2,481       109,288  

Retail Opportunity Investments Corp. REIT

    34,663       429,128  

RLJ Lodging Trust REIT

    42,621       417,260  

RMR Group, Inc. Class A

    4,505       110,463  

RPT Realty REIT

    23,181       244,791  

Ryman Hospitality Properties, Inc. REIT

    15,570       1,296,670  

S&T Bancorp, Inc.

    10,245       277,435  

Sabra Health Care REIT, Inc.

    62,601       872,658  

Safehold, Inc. REIT

    12,015       213,867  

Safety Insurance Group, Inc.

    3,743       255,235  

Sandy Spring Bancorp, Inc.

    12,746       273,147  

Saul Centers, Inc. REIT

    3,067       108,173  

Sculptor Capital Management, Inc.

    6,599       76,548  

Seacoast Banking Corp. of Florida

    21,628       474,951  

Security National Financial Corp. Class A *

    2,026       15,884  

Selective Insurance Group, Inc.

    16,324       1,684,147  

Selectquote, Inc. *

    38,528       45,078  

Service Properties Trust REIT

    44,592       342,912  

ServisFirst Bancshares, Inc.

    13,709       715,199  

Shore Bancshares, Inc.

    8,183       86,085  

Sierra Bancorp

    4,016       76,143  

Silvercrest Asset Management Group, Inc. Class A

    2,703       42,897  

Simmons First National Corp. Class A

    32,914       558,221  

SiriusPoint Ltd. * (Bermuda)

    24,256       246,684  

SITE Centers Corp. REIT

    51,548       635,587  

Skyward Specialty Insurance Group, Inc. *

    6,475       177,156  

SL Green Realty Corp. REIT

    15,273       569,683  

SmartFinancial, Inc.

    3,979       85,031  

South Plains Financial, Inc.

    2,964       78,368  

Southern First Bancshares, Inc. *

    2,115       56,978  

Southern Missouri Bancorp, Inc.

    2,466       95,410  

Southern States Bancshares, Inc.

    2,252       50,873  

Southside Bancshares, Inc.

    8,002       229,657  

SouthState Corp.

    20,860       1,405,130  

St. Joe Co.

    9,271       503,693  

Star Holdings *

    3,395       42,505  

Stellar Bancorp, Inc.

    13,569       289,291  

StepStone Group, Inc. Class A

    14,887       470,131  

Sterling Bancorp, Inc. *

    5,290       30,894  

Stewart Information Services Corp.

    7,083       310,235  

Stock Yards Bancorp, Inc.

    7,339       288,349  

StoneX Group, Inc. *

    4,838       468,899  

Stratus Properties, Inc. *

    1,416       38,798  

Summit Financial Group, Inc.

    3,094       69,739  

Summit Hotel Properties, Inc. REIT

    29,249       169,644  

Sunstone Hotel Investors, Inc. REIT

    57,423       536,905  

SWK Holdings Corp. *

    1,531       24,113  

Tanger Factory Outlet Centers, Inc. REIT

    27,668       625,297  

Terreno Realty Corp. REIT

    22,249       1,263,743  

Texas Capital Bancshares, Inc. *

    12,928       761,459  

Third Coast Bancshares, Inc. *

    3,504       59,918  

Timberland Bancorp, Inc.

    2,149       58,238  

Tiptree, Inc.

    6,469       108,420  

Tompkins Financial Corp.

    3,821       187,191  

Towne Bank

    19,314       442,870  

TPG RE Finance Trust, Inc. REIT

    19,270       129,687  

Transcontinental Realty Investors, Inc. REIT *

    349       10,686  

TriCo Bancshares

    8,617       276,003  

Triumph Financial, Inc. *

    5,994       388,351  

Trupanion, Inc. *

    10,883       306,901  

TrustCo Bank Corp.

    5,333       145,538  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

143

PACIFIC SELECT FUND

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Trustmark Corp.

    16,544       $359,501  

Two Harbors Investment Corp. REIT

    26,352       348,900  

UMB Financial Corp.

    11,853       735,479  

UMH Properties, Inc. REIT

    15,428       216,301  

United Bankshares, Inc.

    35,278       973,320  

United Community Banks, Inc.

    30,985       787,329  

United Fire Group, Inc.

    5,938       117,276  

Uniti Group, Inc. REIT

    66,310       312,983  

Unity Bancorp, Inc.

    2,261       52,975  

Universal Health Realty Income Trust REIT

    3,500       141,505  

Universal Insurance Holdings, Inc.

    6,721       94,228  

Univest Financial Corp.

    8,159       141,803  

Upstart Holdings, Inc. *

    19,590       559,099  

Urban Edge Properties REIT

    31,929       487,237  

USCB Financial Holdings, Inc. *

    2,558       26,885  

Valley National Bancorp

    117,470       1,005,543  

Velocity Financial, Inc. *

    2,465       27,855  

Veris Residential, Inc. REIT

    21,394       353,001  

Veritex Holdings, Inc.

    13,677       245,502  

Victory Capital Holdings, Inc. Class A

    7,653       255,151  

Virginia National Bankshares Corp.

    1,504       45,646  

Virtus Investment Partners, Inc.

    1,880       379,741  

Walker & Dunlop, Inc.

    8,603       638,687  

Washington Federal, Inc.

    17,448       447,018  

Washington Trust Bancorp, Inc.

    4,573       120,407  

Waterstone Financial, Inc.

    5,473       59,929  

WesBanco, Inc.

    15,577       380,390  

West BanCorp, Inc.

    4,871       79,446  

Westamerica BanCorp

    6,938       300,068  

Whitestone REIT

    14,451       139,163  

WisdomTree, Inc.

    37,968       265,776  

World Acceptance Corp. *

    1,113       141,418  

WSFS Financial Corp.

    16,763       611,849  

Xenia Hotels & Resorts, Inc. REIT

    30,651       361,069  
   

 

 

 
    126,938,051  
   

 

 

 

Industrial - 14.9%

 

374Water, Inc. *

    14,856       18,421  

908 Devices, Inc. *

    6,002       39,973  

AAON, Inc.

    18,292       1,040,266  

AAR Corp. *

    9,377       558,213  

Advanced Energy Industries, Inc.

    10,220       1,053,886  

AeroVironment, Inc. *

    7,093       791,082  

AerSale Corp. *

    7,056       105,417  

Air Transport Services Group, Inc. *

    15,337       320,083  

Akoustis Technologies, Inc. *

    18,777       14,137  

Alamo Group, Inc.

    2,728       471,562  

Albany International Corp. Class A

    8,499       733,294  

Allient, Inc.

    3,446       106,550  

American Woodmark Corp. *

    4,401       332,760  

AMMO, Inc. *

    24,273       49,031  

Amprius Technologies, Inc. *

    1,179       5,588  

Apogee Enterprises, Inc.

    6,030       283,892  

Applied Industrial Technologies, Inc.

    10,459       1,617,066  

ArcBest Corp.

    6,566       667,434  

Archer Aviation, Inc. Class A *

    42,174       213,400  

Arcosa, Inc.

    13,155       945,845  

Ardmore Shipping Corp. (Ireland)

    10,774       140,170  

Argan, Inc.

    3,217       146,438  

Aspen Aerogels, Inc. *

    13,861       119,205  

Astec Industries, Inc.

    5,995       282,424  

Astronics Corp. *

    7,034       111,559  

Atkore, Inc. *

    10,425       1,555,306  

Atmus Filtration Technologies, Inc. *

    4,356       90,823  

AZZ, Inc.

    6,648       303,016  

Babcock & Wilcox Enterprises, Inc. *

    15,816       66,585  

Badger Meter, Inc.

    7,887       1,134,703  

Barnes Group, Inc.

    13,503       458,697  

Bel Fuse, Inc. Class B

    2,738       130,657  

Belden, Inc.

    11,566       1,116,697  
   

Shares

   

Value

 

Benchmark Electronics, Inc.

    9,797       $237,675  

Blink Charging Co. *

    13,647       41,760  

Bloom Energy Corp. Class A *

    52,091       690,727  

Boise Cascade Co.

    10,660       1,098,406  

Bowman Consulting Group Ltd. *

    2,909       81,539  

Cactus, Inc. Class A

    17,479       877,621  

Cadre Holdings, Inc.

    5,135       136,848  

Casella Waste Systems, Inc. Class A *

    15,140       1,155,182  

CECO Environmental Corp. *

    8,499       135,729  

Charge Enterprises, Inc. *

    35,341       17,572  

Chart Industries, Inc. *

    11,605       1,962,638  

Chase Corp.

    1,970       250,643  

CIRCOR International, Inc. *

    5,488       305,956  

Clearwater Paper Corp. *

    4,741       171,861  

Columbus McKinnon Corp.

    7,211       251,736  

Comfort Systems USA, Inc.

    9,572       1,631,165  

Comtech Telecommunications Corp.

    7,330       64,138  

Concrete Pumping Holdings, Inc. *

    7,352       63,080  

Construction Partners, Inc. Class A *

    11,088       405,377  

Core Molding Technologies, Inc. *

    2,036       58,006  

Costamare, Inc. (Monaco)

    12,576       120,981  

Covenant Logistics Group, Inc.

    2,358       103,398  

CryoPort, Inc. *

    10,825       148,411  

CSW Industrials, Inc.

    4,161       729,174  

CTS Corp.

    8,529       356,000  

Daseke, Inc. *

    11,415       58,559  

DHT Holdings, Inc.

    37,261       383,788  

Dorian LPG Ltd.

    8,779       252,221  

Ducommun, Inc. *

    3,501       152,329  

DXP Enterprises, Inc. *

    4,005       139,935  

Dycom Industries, Inc. *

    7,661       681,829  

Eagle Bulk Shipping, Inc.

    2,620       110,119  

Eastman Kodak Co. *

    16,400       69,044  

Encore Wire Corp.

    4,319       788,045  

Energizer Holdings, Inc.

    19,754       632,918  

Energy Recovery, Inc. *

    15,179       321,947  

Enerpac Tool Group Corp.

    14,947       395,049  

EnerSys

    11,116       1,052,352  

Enovix Corp. *

    37,015       464,538  

EnPro Industries, Inc.

    5,623       681,451  

Enviri Corp. *

    22,315       161,114  

ESCO Technologies, Inc.

    6,846       714,996  

ESS Tech, Inc. *

    27,490       51,681  

Eve Holding, Inc. *

    4,758       39,444  

Evolv Technologies Holdings, Inc. *

    30,217       146,855  

Exponent, Inc.

    13,675       1,170,580  

Fabrinet * (Thailand)

    9,927       1,654,037  

FARO Technologies, Inc. *

    5,625       85,669  

Federal Signal Corp.

    16,072       959,981  

FLEX LNG Ltd. * (Norway)

    7,906       238,445  

Fluor Corp. *

    38,792       1,423,666  

Forward Air Corp.

    7,179       493,484  

Franklin Electric Co., Inc.

    12,371       1,103,864  

Frontdoor, Inc. *

    22,410       685,522  

GATX Corp.

    9,496       1,033,450  

Genco Shipping & Trading Ltd.

    10,958       153,302  

Gencor Industries, Inc. *

    3,054       43,153  

Gibraltar Industries, Inc. *

    8,286       559,388  

Golden Ocean Group Ltd. * (Norway)

    34,268       270,032  

GoPro, Inc. Class A *

    36,282       113,925  

Gorman-Rupp Co.

    5,805       190,985  

GrafTech International Ltd.

    54,729       209,612  

Granite Construction, Inc.

    11,934       453,731  

Great Lakes Dredge & Dock Corp. *

    18,291       145,779  

Greenbrier Cos., Inc.

    8,470       338,800  

Greif, Inc. Class A

    6,792       453,774  

Greif, Inc. Class B

    1,362       90,655  

Griffon Corp.

    11,848       470,010  

Heartland Express, Inc.

    11,709       172,005  

Helios Technologies, Inc.

    8,736       484,673  

Heritage-Crystal Clean, Inc. *

    4,871       220,900  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

144

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Hillenbrand, Inc.

    18,850       $797,544  

Hillman Solutions Corp. *

    52,297       431,450  

Himalaya Shipping Ltd. * (Bermuda)

    1,383       6,680  

Hub Group, Inc. Class A *

    8,498       667,433  

Hyster-Yale Materials Handling, Inc.

    2,776       123,754  

Ichor Holdings Ltd. *

    7,313       226,410  

IES Holdings, Inc. *

    2,197       144,716  

INNOVATE Corp. *

    11,555       18,719  

Insteel Industries, Inc.

    5,299       172,006  

International Seaways, Inc.

    10,985       494,325  

Intevac, Inc. *

    4,951       15,398  

Iteris, Inc. *

    9,159       37,918  

Itron, Inc. *

    12,271       743,377  

Janus International Group, Inc. *

    22,097       236,438  

JELD-WEN Holding, Inc. *

    22,549       301,255  

Joby Aviation, Inc. *

    75,538       487,220  

John Bean Technologies Corp.

    8,596       903,783  

Kadant, Inc.

    3,154       711,385  

Kaman Corp.

    7,854       154,331  

Karat Packaging, Inc.

    1,306       30,116  

Kennametal, Inc.

    21,714       540,244  

Kimball Electronics, Inc. *

    6,175       169,072  

Knife River Corp. *

    15,280       746,122  

Knowles Corp. *

    24,139       357,499  

Kratos Defense & Security Solutions, Inc. *

    33,618       504,942  

LanzaTech Global, Inc. *

    5,941       27,744  

Latham Group, Inc. *

    12,303       34,448  

Leonardo DRS, Inc. *

    13,274       221,676  

Li-Cycle Holdings Corp. * (Canada)

    35,781       127,023  

Limbach Holdings, Inc. *

    2,187       69,394  

Lindsay Corp.

    2,958       348,097  

LSB Industries, Inc. *

    14,340       146,698  

LSI Industries, Inc.

    7,491       118,957  

Luxfer Holdings PLC (United Kingdom)

    6,787       88,570  

Manitowoc Co., Inc. *

    9,869       148,528  

Marten Transport Ltd.

    15,506       305,623  

Masonite International Corp. *

    5,972       556,710  

Masterbrand, Inc. *

    35,643       433,062  

Materion Corp.

    5,551       565,702  

Matson, Inc.

    9,636       854,906  

Mayville Engineering Co., Inc. *

    2,789       30,595  

Mesa Laboratories, Inc.

    1,427       149,935  

MicroVision, Inc. *

    47,491       104,005  

Mirion Technologies, Inc. *

    53,511       399,727  

Mistras Group, Inc. *

    4,998       27,239  

Modine Manufacturing Co. *

    13,894       635,651  

Montrose Environmental Group, Inc. *

    7,599       222,347  

Moog, Inc. Class A

    7,703       870,131  

Mueller Industries, Inc.

    15,179       1,140,854  

Mueller Water Products, Inc. Class A

    41,534       526,651  

Myers Industries, Inc.

    9,513       170,568  

MYR Group, Inc. *

    4,452       599,952  

Napco Security Technologies, Inc.

    8,336       185,476  

National Presto Industries, Inc.

    1,361       98,618  

NEXTracker, Inc. Class A *

    13,399       538,104  

NL Industries, Inc.

    2,103       9,989  

nLight, Inc. *

    12,119       126,038  

Nordic American Tankers Ltd.

    54,274       223,609  

Northwest Pipe Co. *

    2,663       80,343  

Novanta, Inc. *

    9,704       1,391,942  

NuScale Power Corp. *

    14,548       71,285  

NV5 Global, Inc. *

    3,787       364,423  

NVE Corp.

    1,310       107,603  

O-I Glass, Inc. *

    42,008       702,794  

Olympic Steel, Inc.

    2,532       142,324  

Omega Flex, Inc.

    916       72,117  

OSI Systems, Inc. *

    4,334       511,585  

Overseas Shipholding Group, Inc. Class A *

    17,399       76,382  

Pactiv Evergreen, Inc.

    12,227       99,406  

PAM Transportation Services, Inc. *

    2,014       43,402  

Pangaea Logistics Solutions Ltd.

    8,909       52,385  
   

Shares

   

Value

 

Park Aerospace Corp.

    5,378       $83,520  

Park-Ohio Holdings Corp.

    2,044       40,696  

PGT Innovations, Inc. *

    15,353       426,046  

Plexus Corp. *

    7,432       691,027  

Powell Industries, Inc.

    2,377       197,053  

Primoris Services Corp.

    14,675       480,313  

Proto Labs, Inc. *

    7,484       197,578  

Pure Cycle Corp. *

    5,726       54,970  

PureCycle Technologies, Inc. *

    31,807       178,437  

Radiant Logistics, Inc. *

    11,157       63,037  

Ranpak Holdings Corp. *

    12,405       67,483  

Redwire Corp. *

    1,119       3,234  

Rocket Lab USA, Inc. *

    75,662       331,400  

RXO, Inc. *

    31,486       621,219  

Ryerson Holding Corp.

    6,625       192,721  

Safe Bulkers, Inc. (Greece)

    19,002       61,566  

Sanmina Corp. *

    15,686       851,436  

Scorpio Tankers, Inc. (Monaco)

    13,410       725,749  

SFL Corp. Ltd. (Norway)

    31,383       349,920  

Sight Sciences, Inc. *

    6,414       21,615  

Simpson Manufacturing Co., Inc.

    11,622       1,741,092  

SKYX Platforms Corp. *

    13,296       18,880  

SmartRent, Inc. *

    49,437       129,031  

Smith & Wesson Brands, Inc.

    12,689       163,815  

Southland Holdings, Inc. *

    2,263       13,736  

SPX Technologies, Inc. *

    11,973       974,602  

Standex International Corp.

    3,173       462,274  

Sterling Infrastructure, Inc. *

    7,997       587,620  

Stoneridge, Inc. *

    7,159       143,681  

Sturm Ruger & Co., Inc.

    4,755       247,831  

Summit Materials, Inc. Class A *

    32,336       1,006,943  

Teekay Corp. * (Bermuda)

    19,788       122,092  

Teekay Tankers Ltd. Class A (Canada)

    6,299       262,227  

Tennant Co.

    5,088       377,275  

Terex Corp.

    18,194       1,048,338  

Thermon Group Holdings, Inc. *

    9,371       257,421  

TimkenSteel Corp. *

    11,882       258,077  

Transphorm, Inc. *

    5,790       12,854  

Tredegar Corp.

    7,911       42,799  

TriMas Corp.

    11,117       275,257  

Trinity Industries, Inc.

    22,151       539,377  

Triumph Group, Inc. *

    17,961       137,581  

TTM Technologies, Inc. *

    27,907       359,442  

Turtle Beach Corp. *

    4,263       38,687  

Tutor Perini Corp. *

    11,284       88,354  

UFP Industries, Inc.

    16,274       1,666,458  

Universal Logistics Holdings, Inc.

    1,745       43,939  

Vicor Corp. *

    6,066       357,227  

Vishay Intertechnology, Inc.

    34,882       862,283  

Watts Water Technologies, Inc. Class A

    7,323       1,265,561  

Werner Enterprises, Inc.

    16,819       655,100  

Willis Lease Finance Corp. *

    961       40,650  

World Kinect Corp.

    16,885       378,731  

Worthington Industries, Inc.

    8,327       514,775  

Xometry, Inc. Class A *

    9,527       161,768  

Zurn Elkay Water Solutions Corp. Class C

    40,233       1,127,329  
   

 

 

 
    91,504,321  
   

 

 

 

Technology - 11.1%

 

3D Systems Corp. *

    33,952       166,704  

8x8, Inc. *

    31,623       79,690  

ACI Worldwide, Inc. *

    29,334       661,775  

ACM Research, Inc. Class A *

    13,302       240,833  

ACV Auctions, Inc. Class A *

    34,025       516,499  

Adeia, Inc.

    29,025       309,987  

Aehr Test Systems *

    6,977       318,849  

Agilysys, Inc. *

    5,566       368,247  

Alignment Healthcare, Inc. *

    21,716       150,709  

Alkami Technology, Inc. *

    10,631       193,697  

Alpha & Omega Semiconductor Ltd. *

    6,115       182,472  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

145

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Altair Engineering, Inc. Class A *

    14,662       $917,255  

Ambarella, Inc. *

    10,326       547,588  

American Software, Inc. Class A

    8,132       93,193  

Amkor Technology, Inc.

    27,655       625,003  

Amplitude, Inc. Class A *

    18,497       214,010  

Apollo Medical Holdings, Inc. *

    11,442       352,986  

Appfolio, Inc. Class A *

    5,187       947,302  

Appian Corp. Class A *

    11,145       508,323  

Asana, Inc. Class A *

    21,558       394,727  

Asure Software, Inc. *

    5,221       49,391  

Atomera, Inc. *

    6,243       39,081  

AvePoint, Inc. *

    41,079       276,051  

Avid Technology, Inc. *

    9,399       252,551  

AvidXchange Holdings, Inc. *

    40,615       385,030  

Axcelis Technologies, Inc. *

    8,854       1,443,645  

Bandwidth, Inc. Class A *

    6,640       74,833  

BigBear.ai Holdings, Inc. *

    7,716       11,651  

BigCommerce Holdings, Inc. *

    19,002       187,550  

Blackbaud, Inc. *

    11,777       828,159  

Blackline, Inc. *

    15,086       836,820  

Box, Inc. Class A *

    38,391       929,446  

Braze, Inc. Class A *

    14,174       662,351  

Brightcove, Inc. *

    12,051       39,648  

C3.ai, Inc. Class A *

    16,183       412,990  

Cantaloupe, Inc. *

    16,603       103,769  

Cardlytics, Inc. *

    8,971       148,021  

Cerence, Inc. *

    11,241       228,979  

CEVA, Inc. *

    6,475       125,550  

Clear Secure, Inc. Class A

    22,414       426,763  

Climb Global Solutions, Inc.

    1,242       53,418  

Cohu, Inc. *

    12,683       436,802  

CommVault Systems, Inc. *

    11,879       803,139  

Computer Programs & Systems, Inc. *

    4,031       64,254  

Conduent, Inc. *

    47,287       164,559  

Consensus Cloud Solutions, Inc. *

    5,162       129,979  

CoreCard Corp. *

    1,548       30,960  

Corsair Gaming, Inc. *

    9,645       140,142  

Cricut, Inc. Class A

    12,731       118,271  

CS Disco, Inc. *

    7,156       47,516  

CSG Systems International, Inc.

    8,722       445,869  

CXApp, Inc. *

    471       852  

Daily Journal Corp. *

    344       101,136  

Definitive Healthcare Corp. *

    12,369       98,828  

Desktop Metal, Inc. Class A *

    77,111       112,582  

Digi International, Inc. *

    9,707       262,089  

Digimarc Corp. *

    3,820       124,112  

Digital Turbine, Inc. *

    25,475       154,124  

DigitalOcean Holdings, Inc. *

    17,144       411,970  

Diodes, Inc. *

    12,288       968,786  

Domo, Inc. Class B *

    8,752       85,857  

Donnelley Financial Solutions, Inc. *

    6,807       383,098  

Duolingo, Inc. *

    7,726       1,281,512  

E2open Parent Holdings, Inc. *

    46,185       209,680  

Ebix, Inc.

    7,481       73,912  

eGain Corp. *

    5,873       36,001  

Enfusion, Inc. Class A *

    10,067       90,301  

EngageSmart, Inc. *

    13,616       244,952  

Envestnet, Inc. *

    13,548       596,518  

Everbridge, Inc. *

    11,006       246,754  

EverCommerce, Inc. *

    6,233       62,517  

Evolent Health, Inc. Class A *

    29,463       802,277  

ExlService Holdings, Inc. *

    43,595       1,222,404  

Expensify, Inc. Class A *

    15,132       49,179  

Fastly, Inc. Class A *

    32,175       616,795  

FormFactor, Inc. *

    20,913       730,700  

Freshworks, Inc. Class A *

    43,506       866,639  

Grid Dynamics Holdings, Inc. *

    15,176       184,844  

Health Catalyst, Inc. *

    15,442       156,273  

HireRight Holdings Corp. *

    3,348       31,839  

IBEX Holdings Ltd. *

    2,665       41,174  

Immersion Corp.

    8,513       56,271  
   

Shares

   

Value

 

Impinj, Inc. *

    6,095       $335,408  

Innodata, Inc. *

    6,678       56,963  

Insight Enterprises, Inc. *

    7,811       1,136,500  

Inspired Entertainment, Inc. *

    5,923       70,839  

Instructure Holdings, Inc. *

    4,867       123,622  

Intapp, Inc. *

    6,003       201,221  

Integral Ad Science Holding Corp. *

    13,039       155,034  

inTEST Corp. *

    2,510       38,077  

IonQ, Inc. *

    43,474       646,893  

Jamf Holding Corp. *

    18,761       331,319  

Kaltura, Inc. *

    20,900       36,157  

Kulicke & Soffa Industries, Inc. (Singapore)

    14,631       711,506  

LivePerson, Inc. *

    20,599       80,130  

LiveVox Holdings, Inc. *

    6,467       21,600  

MACOM Technology Solutions Holdings, Inc. *

    14,775       1,205,344  

Matterport, Inc. *

    68,396       148,419  

Maximus, Inc.

    16,407       1,225,275  

MaxLinear, Inc. *

    20,530       456,792  

MeridianLink, Inc. *

    6,942       118,431  

MicroStrategy, Inc. Class A *

    2,979       977,946  

Mitek Systems, Inc. *

    12,097       129,680  

Model N, Inc. *

    10,009       244,320  

N-Able, Inc. *

    18,794       242,443  

Navitas Semiconductor Corp. *

    29,529       205,227  

NetScout Systems, Inc. *

    18,384       515,120  

NextGen Healthcare, Inc. *

    14,849       352,367  

NextNav, Inc. *

    13,649       70,156  

Olo, Inc. Class A *

    27,897       169,056  

ON24, Inc.

    8,834       55,919  

OneSpan, Inc. *

    10,665       114,649  

Onto Innovation, Inc. *

    13,244       1,688,875  

Outbrain, Inc. *

    11,464       55,830  

Outset Medical, Inc. *

    13,435       146,173  

PagerDuty, Inc. *

    24,278       546,012  

PAR Technology Corp. *

    7,150       275,561  

Parsons Corp. *

    11,119       604,318  

PDF Solutions, Inc. *

    8,366       271,058  

Photronics, Inc. *

    16,051       324,391  

Phreesia, Inc. *

    13,781       257,429  

Pitney Bowes, Inc.

    36,845       111,272  

Planet Labs PBC *

    45,273       117,710  

PlayAGS, Inc. *

    8,986       58,589  

Playstudios, Inc. *

    23,050       73,299  

Power Integrations, Inc.

    15,252       1,163,880  

PowerSchool Holdings, Inc. Class A *

    14,838       336,229  

Privia Health Group, Inc. *

    29,900       687,700  

Progress Software Corp.

    11,604       610,138  

PROS Holdings, Inc. *

    12,021       416,167  

PubMatic, Inc. Class A *

    11,723       141,848  

Qualys, Inc. *

    10,060       1,534,653  

Rackspace Technology, Inc. *

    23,338       54,844  

Rambus, Inc. *

    29,589       1,650,770  

Rapid7, Inc. *

    16,203       741,773  

Red Violet, Inc. *

    2,802       56,068  

Richardson Electronics Ltd.

    2,917       31,883  

Rimini Street, Inc. *

    12,495       27,489  

Sapiens International Corp. NV (Israel)

    8,030       228,293  

Schrodinger, Inc. *

    14,739       416,672  

SEMrush Holdings, Inc. Class A *

    8,386       71,281  

Semtech Corp. *

    17,224       443,518  

Sharecare, Inc. *

    83,457       78,483  

Silicon Laboratories, Inc. *

    8,636       1,000,826  

Simulations Plus, Inc.

    4,218       175,891  

SiTime Corp. *

    4,622       528,063  

Skillsoft Corp. *

    22,120       19,607  

SkyWater Technology, Inc. *

    4,267       25,687  

SMART Global Holdings, Inc. *

    13,085       318,620  

SolarWinds Corp. *

    13,154       124,174  

SoundHound AI, Inc. Class A *

    38,582       77,550  

Sprout Social, Inc. Class A *

    12,924       644,649  

SPS Commerce, Inc. *

    9,911       1,690,916  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

146

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Super Micro Computer, Inc. *

    12,560       $3,444,203  

Synaptics, Inc. *

    10,758       962,195  

System1, Inc. *

    7,040       8,518  

Tenable Holdings, Inc. *

    30,820       1,380,736  

Thoughtworks Holding, Inc. *

    24,944       101,772  

Tingo Group, Inc. *

    29,289       30,021  

TTEC Holdings, Inc.

    5,453       142,978  

Ultra Clean Holdings, Inc. *

    12,071       358,147  

Unisys Corp. *

    18,871       65,105  

Varonis Systems, Inc. *

    29,380       897,265  

Veeco Instruments, Inc. *

    13,840       389,042  

Velo3D, Inc. *

    23,543       36,727  

Veradigm, Inc. *

    29,643       389,509  

Verint Systems, Inc. *

    17,441       400,969  

Veritone, Inc. *

    8,078       20,841  

Verra Mobility Corp. *

    38,212       714,564  

Viant Technology, Inc. Class A *

    3,169       17,746  

Vimeo, Inc. *

    41,420       146,627  

Vishay Precision Group, Inc. *

    3,263       109,572  

Vuzix Corp. *

    16,544       60,055  

Weave Communications, Inc. *

    8,919       72,690  

Workiva, Inc. *

    13,306       1,348,430  

Xerox Holdings Corp.

    31,584       495,553  

Yext, Inc. *

    29,752       188,330  

Zeta Global Holdings Corp. Class A *

    36,225       302,479  

Zuora, Inc. Class A *

    35,995       296,599  
   

 

 

 
    68,376,288  
   

 

 

 

Utilities - 2.8%

 

ALLETE, Inc.

    15,597       823,522  

Altus Power, Inc. *

    17,271       90,673  

Ameresco, Inc. Class A *

    8,757       337,670  

American States Water Co.

    10,072       792,465  

Artesian Resources Corp. Class A

    2,171       91,160  

Avista Corp.

    19,936       645,328  

Black Hills Corp.

    18,023       911,783  

Brookfield Infrastructure Corp. Class A (Canada)

    26,765       945,875  

Cadiz, Inc. *

    11,057       36,599  

California Water Service Group

    15,553       735,812  

Chesapeake Utilities Corp.

    4,725       461,869  

Consolidated Water Co. Ltd. (Cayman)

    4,027       114,528  

FTC Solar, Inc. *

    16,442       21,046  

Genie Energy Ltd. Class B

    4,744       69,879  

Global Water Resources, Inc.

    4,109       40,063  

MGE Energy, Inc.

    9,930       680,304  

Middlesex Water Co.

    4,750       314,687  

New Jersey Resources Corp.

    26,425       1,073,648  

Northwest Natural Holding Co.

    9,666       368,854  

Northwestern Energy Group, Inc.

    16,549       795,345  

ONE Gas, Inc.

    15,020       1,025,566  

Ormat Technologies, Inc.

    14,354       1,003,632  

Otter Tail Corp.

    11,200       850,304  

PNM Resources, Inc.

    22,936       1,023,175  

Portland General Electric Co.

    26,431       1,069,927  

RGC Resources, Inc.

    2,124       36,745  

SJW Group

    8,755       526,263  

Southwest Gas Holdings, Inc. *

    16,810       1,015,492  

Spire, Inc.

    13,911       787,084  

Unitil Corp.

    4,173       178,229  

York Water Co.

    3,936       147,561  
   

 

 

 
    17,015,088  
   

 

 

 

Total Common Stocks
(Cost $580,663,098)

      607,121,675  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 1.2%

 

Repurchase Agreements - 1.2%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $7,192,208; collateralized by U.S.
Treasury Notes: 3.625% due 05/15/26
and value $7,333,044)

    $7,189,242       7,189,242  
   

 

 

 

Total Short-Term Investments
(Cost $7,189,242)

      7,189,242  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $587,858,886)

 

    614,327,671  
   

 

 

 

DERIVATIVES - (0.1%)

 

    (249,571
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.2%

 

    933,032  
   

 

 

 

NET ASSETS - 100.0%

 

    $ 615,011,132  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

147

PACIFIC SELECT FUND

SMALL-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $16,754 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini Russell Index

   12/23        100                $9,242,571        $8,993,000        ($249,571
                  

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Consumer, Non-Cyclical

     $16,533        $-        $6,730        $9,803  
 

Utilities

     221        -        -        221  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Rights

     16,754        -        6,730        10,024  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Basic Materials

     20,688,405        20,688,405        -        -  
 

Communications

     21,255,304        21,255,304        -        -  
 

Consumer, Cyclical

     70,347,712        70,347,712        -        -  
 

Consumer, Non-Cyclical

     139,092,148        137,859,126        1,233,022        -  
 

Energy

     51,904,358        51,904,358        -        -  
 

Financial

     126,938,051        126,938,051        -        -  
 

Industrial

     91,504,321        91,504,321        -        -  
 

Technology

     68,376,288        68,376,288        -        -  
 

Utilities

     17,015,088        17,015,088        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     607,121,675        605,888,653        1,233,022        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     7,189,242        -        7,189,242        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     614,327,671        605,888,653        8,428,994        10,024  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (249,571      (249,571      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (249,571      (249,571      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $614,078,100        $605,639,082        $8,428,994        $10,024  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

148

PACIFIC SELECT FUND

SMALL-CAP VALUE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

    
Value

 

COMMON STOCKS - 99.3%

 

Basic Materials - 4.8%

 

AdvanSix, Inc.

    74,200       $2,306,136  

ATI, Inc. *

    49,099       2,020,424  

Element Solutions, Inc.

    134,360       2,634,800  

Haynes International, Inc.

    71,831       3,341,578  

HB Fuller Co.

    28,092       1,927,392  
   

 

 

 
    12,230,330  
   

 

 

 

Communications - 2.4%

   

A10 Networks, Inc.

    188,454       2,832,464  

Calix, Inc. *

    3,811       174,696  

Casa Systems, Inc. *

    391,021       331,390  

Criteo SA ADR * (France)

    97,653       2,851,468  
   

 

 

 
    6,190,018  
   

 

 

 

Consumer, Cyclical - 15.7%

   

Alaska Air Group, Inc. *

    59,190       2,194,765  

Blue Bird Corp. *

    148,006       3,159,928  

Citi Trends, Inc. *

    78,399       1,742,026  

Dana, Inc.

    178,618       2,620,326  

Dine Brands Global, Inc.

    52,445       2,593,405  

Genesco, Inc. *

    88,850       2,738,357  

Goodyear Tire & Rubber Co. *

    269,414       3,348,816  

Hilton Grand Vacations, Inc. *

    53,696       2,185,427  

IMAX Corp. *

    122,760       2,371,723  

KB Home

    52,931       2,449,647  

Papa John’s International, Inc.

    38,061       2,596,522  

REV Group, Inc.

    211,601       3,385,616  

Sally Beauty Holdings, Inc. *

    37,681       315,767  

Shyft Group, Inc.

    190,043       2,844,944  

Six Flags Entertainment Corp. *

    126,590       2,976,131  

Taylor Morrison Home Corp. *

    67,281       2,866,843  
   

 

 

 
    40,390,243  
   

 

 

 

Consumer, Non-Cyclical - 14.7%

   

ABM Industries, Inc.

    81,350       3,254,814  

Acadia Healthcare Co., Inc. *

    38,659       2,718,114  

Adtalem Global Education, Inc. *

    81,706       3,501,102  

AMN Healthcare Services, Inc. *

    28,630       2,438,703  

Envista Holdings Corp. *

    88,330       2,462,640  

Fortrea Holdings, Inc. *

    89,259       2,551,915  

Hain Celestial Group, Inc. *

    196,475       2,037,446  

Herc Holdings, Inc.

    24,480       2,911,651  

ICF International, Inc.

    26,930       3,253,413  

Integra LifeSciences Holdings Corp. *

    75,765       2,893,465  

Korn Ferry

    69,540       3,298,978  

Nomad Foods Ltd. * (United Kingdom)

    222,635       3,388,505  

Pediatrix Medical Group, Inc. *

    248,067       3,152,932  
   

 

 

 
    37,863,678  
   

 

 

 

Energy - 6.0%

 

ChampionX Corp.

    119,020       4,239,492  

HF Sinclair Corp.

    54,520       3,103,824  

Magnolia Oil & Gas Corp. Class A

    188,743       4,324,102  

Northern Oil & Gas, Inc.

    93,360       3,755,873  
   

 

 

 
    15,423,291  
   

 

 

 

Financial - 28.3%

   

1st Source Corp.

    59,270       2,494,674  

Apartment Income REIT Corp.

    95,750       2,939,525  

Associated Banc-Corp.

    159,356       2,726,581  

Bank of Marin Bancorp

    63,348       1,158,001  

BankUnited, Inc.

    72,355       1,642,459  

Berkshire Hills Bancorp, Inc.

    137,150       2,749,858  

Broadstone Net Lease, Inc. REIT

    181,664       2,597,795  

Carter Bankshares, Inc. *

    122,468       1,534,524  

Comerica, Inc.

    53,850       2,237,468  

First BanCorp

    235,298       3,167,111  

First Busey Corp.

    165,029       3,171,857  
   

Shares

   

    
Value

 

First Industrial Realty Trust, Inc. REIT

    62,104       $2,955,529  

Hanover Insurance Group, Inc.

    24,027       2,666,516  

HarborOne Bancorp, Inc.

    226,777       2,158,917  

Heritage Financial Corp.

    181,166       2,954,818  

Independent Bank Group, Inc.

    17,598       696,001  

Moelis & Co. Class A

    65,390       2,951,051  

National Storage Affiliates Trust REIT

    73,073       2,319,337  

NETSTREIT Corp. REIT

    170,060       2,649,535  

Nicolet Bankshares, Inc.

    22,938       1,600,614  

Pacific Premier Bancorp, Inc.

    114,902       2,500,268  

Peoples Bancorp, Inc.

    60,213       1,528,206  

Physicians Realty Trust REIT

    204,180       2,488,954  

Premier Financial Corp.

    129,051       2,201,610  

Ryman Hospitality Properties, Inc. REIT

    11,044       919,744  

Selective Insurance Group, Inc.

    27,101       2,796,010  

STAG Industrial, Inc. REIT

    93,385       3,222,716  

Synovus Financial Corp.

    32,943       915,815  

Texas Capital Bancshares, Inc. *

    54,757       3,225,187  

TriCo Bancshares

    77,809       2,492,222  

WSFS Financial Corp.

    79,877       2,915,511  
   

 

 

 
    72,578,414  
   

 

 

 

Industrial - 15.4%

   

ArcBest Corp.

    30,860       3,136,919  

Belden, Inc.

    32,071       3,096,455  

Cactus, Inc. Class A

    67,317       3,379,987  

Dycom Industries, Inc. *

    38,603       3,435,667  

Fluor Corp. *

    118,509       4,349,280  

Great Lakes Dredge & Dock Corp. *

    410,799       3,274,068  

Hillman Solutions Corp. *

    348,997       2,879,225  

Ichor Holdings Ltd. *

    83,530       2,586,089  

International Seaways, Inc.

    85,900       3,865,500  

Masonite International Corp. *

    20,459       1,907,188  

Spirit AeroSystems Holdings, Inc. Class A

    106,491       1,718,765  

Star Bulk Carriers Corp. (Greece)

    121,330       2,339,242  

TTM Technologies, Inc. *

    272,973       3,515,892  
   

 

 

 
    39,484,277  
   

 

 

 

Technology - 9.3%

   

ACI Worldwide, Inc. *

    124,520       2,809,171  

Amkor Technology, Inc.

    109,610       2,477,186  

Cohu, Inc. *

    75,720       2,607,797  

CommVault Systems, Inc. *

    38,748       2,619,752  

Crane NXT Co.

    35,020       1,946,062  

FormFactor, Inc. *

    93,979       3,283,626  

Grid Dynamics Holdings, Inc. *

    174,201       2,121,768  

Kulicke & Soffa Industries, Inc. (Singapore)

    18,014       876,021  

Magnachip Semiconductor Corp. * (South Korea)

    215,632       1,791,902  

SMART Global Holdings, Inc. *

    101,536       2,472,402  

Unisys Corp. *

    281,212       970,181  
   

 

 

 
    23,975,868  
   

 

 

 

Utilities - 2.7%

   

IDACORP, Inc.

    39,020       3,654,223  

Portland General Electric Co.

    82,907       3,356,075  
   

 

 

 
    7,010,298  
   

 

 

 

Total Common Stocks
(Cost $301,033,729)

      255,146,417  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

149

PACIFIC SELECT FUND

SMALL-CAP VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 0.7%

   

Repurchase Agreements - 0.7%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $1,883,881; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $1,920,835)

    $1,883,104       $1,883,104  
   

 

 

 

Total Short-Term Investments
(Cost $1,883,104)

      1,883,104  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $302,916,833)

      257,029,521  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (9,498
   

 

 

 

NET ASSETS - 100.0%

      $257,020,023  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $255,146,417        $255,146,417        $-        $-  
 

Short-Term Investments

     1,883,104        -        1,883,104        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $257,029,521        $255,146,417        $1,883,104        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

150

PACIFIC SELECT FUND

VALUE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

    
Value

 

COMMON STOCKS - 96.8%

 

Basic Materials - 0.6%

 

Akzo Nobel NV (Netherlands)

    75,609       $5,451,290  
   

 

 

 

Communications - 6.9%

   

BCE, Inc. (Canada)

    121,912       4,653,884  

Cisco Systems, Inc.

    274,312       14,747,013  

F5, Inc. *

    89,244       14,380,778  

Juniper Networks, Inc.

    223,288       6,205,174  

Verizon Communications, Inc.

    414,618       13,437,769  

Walt Disney Co. *

    115,564       9,366,462  
   

 

 

 
    62,791,080  
   

 

 

 

Consumer, Cyclical - 4.3%

   

Dollar Tree, Inc. *

    114,163       12,152,651  

General Motors Co.

    180,920       5,964,932  

Southwest Airlines Co.

    289,886       7,847,214  

Walmart, Inc.

    86,136       13,775,731  
   

 

 

 
    39,740,528  
   

 

 

 

Consumer, Non-Cyclical - 37.8%

   

Anheuser-Busch InBev SA (Belgium)

    89,812       4,978,831  

Automatic Data Processing, Inc.

    38,423       9,243,805  

Becton Dickinson & Co.

    44,759       11,571,544  

Cigna Group

    42,295       12,099,331  

Colgate-Palmolive Co.

    274,153       19,495,020  

Conagra Brands, Inc.

    505,218       13,853,078  

CVS Health Corp.

    130,190       9,089,866  

Henry Schein, Inc. *

    199,891       14,841,907  

Johnson & Johnson

    280,539       43,693,949  

Kenvue, Inc.

    529,638       10,635,131  

Kimberly-Clark Corp.

    134,516       16,256,259  

Koninklijke Ahold Delhaize NV (Netherlands)

    245,631       7,403,241  

Medtronic PLC

    500,320       39,205,075  

Merck & Co., Inc.

    80,400       8,277,180  

Mondelez International, Inc. Class A

    197,760       13,724,544  

PepsiCo, Inc.

    31,933       5,410,728  

Pfizer, Inc.

    240,340       7,972,078  

Procter & Gamble Co.

    68,240       9,953,486  

Quest Diagnostics, Inc.

    140,216       17,086,722  

Roche Holding AG

    35,889       9,797,734  

Unilever PLC ADR (United Kingdom)

    364,380       18,000,372  

Universal Health Services, Inc. Class B

    99,211       12,473,799  

Zimmer Biomet Holdings, Inc.

    274,116       30,761,297  
   

 

 

 
    345,824,977  
   

 

 

 

Energy - 9.6%

   

Baker Hughes Co.

    323,540       11,427,433  

Chevron Corp.

    40,823       6,883,574  

ConocoPhillips

    84,552       10,129,330  

Enterprise Products Partners LP

    266,631       7,297,690  

Exxon Mobil Corp.

    239,629       28,175,578  

Shell PLC (Netherlands)

    250,377       7,935,503  

TotalEnergies SE ADR (France)

    246,006       16,177,354  
   

 

 

 
    88,026,462  
   

 

 

 

Financial - 18.7%

   

Allstate Corp.

    180,661       20,127,442  

Bank of New York Mellon Corp.

    405,124       17,278,539  

Berkshire Hathaway, Inc. Class B *

    106,265       37,224,630  

BlackRock, Inc.

    20,309       13,129,565  

Charles Schwab Corp.

    213,017       11,694,633  

Chubb Ltd.

    33,118       6,894,505  

JPMorgan Chase & Co.

    149,021       21,611,026  

MetLife, Inc.

    76,103       4,787,640  

Northern Trust Corp.

    82,009       5,697,985  

Truist Financial Corp.

    427,756       12,238,099  

U.S. Bancorp

    400,921       13,254,448  

Willis Towers Watson PLC

    32,993       6,894,217  
   

 

 

 
    170,832,729  
   

 

 

 
   

Shares

   

    
Value

 

Industrial - 11.6%

   

Emerson Electric Co.

    56,411       $5,447,610  

Norfolk Southern Corp.

    58,970       11,612,962  

nVent Electric PLC

    110,139       5,836,266  

Oshkosh Corp.

    94,706       9,037,794  

Packaging Corp. of America

    90,484       13,893,818  

RTX Corp.

    316,772       22,798,081  

Siemens AG (Germany)

    33,413       4,775,006  

Sonoco Products Co.

    217,588       11,825,908  

TE Connectivity Ltd.

    74,021       9,143,814  

United Parcel Service, Inc. Class B

    76,183       11,874,644  
   

 

 

 
    106,245,903  
   

 

 

 

Technology - 1.2%

   

Texas Instruments, Inc.

    72,168       11,475,434  
   

 

 

 

Utilities - 6.1%

   

Duke Energy Corp.

    193,766       17,101,787  

Edison International

    148,586       9,404,008  

Eversource Energy

    156,111       9,077,855  

Pinnacle West Capital Corp.

    68,371       5,037,575  

Xcel Energy, Inc.

    259,599       14,854,255  
   

 

 

 
    55,475,480  
   

 

 

 

Total Common Stocks
(Cost $925,720,535)

      885,863,883  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.0%

   

iShares Russell 1000 Value

    59,530       9,037,844  
   

 

 

 

Total Exchange-Traded Funds
(Cost $9,163,334)

      9,037,844  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.1%

   

Repurchase Agreements - 2.1%

   

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $19,195,589; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $19,571,482)

    $19,187,674       19,187,674  
   

 

 

 

Total Short-Term Investments
(Cost $19,187,674)

      19,187,674  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $954,071,543)

      914,089,401  
   

 

 

 

DERIVATIVES - 0.0%

      138,695  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

 

    474,004  
   

 

 

 

NET ASSETS - 100.0%

      $914,702,100  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

151

PACIFIC SELECT FUND

VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
          Currency
Sold
         

Settlement

Month

         Counterparty          Unrealized
Appreciation
     Unrealized
Depreciation
 
CAD      165,379        USD      122,643          12/23         GSC         $-        ($727
USD      4,081,449        CAD      5,503,113          12/23         GSC         24,627        -  
USD      8,424,297        CHF      7,608,109          12/23         MSC         37,553        -  
USD      11,105,028        EUR      10,447,435          12/23         BOA         17,536        -  
USD      11,107,033        EUR      10,447,435          12/23         JPM         19,542        -  
USD      11,109,259        EUR      10,447,435          12/23         MSC         21,766        -  
USD      22,359,652        GBP      18,300,583          12/23         GSC         18,398        -  
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

 

          $139,422        ($727
                       

 

 

    

 

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $5,451,290        $-        $5,451,290        $-  
 

Communications

     62,791,080        62,791,080        -        -  
 

Consumer, Cyclical

     39,740,528        39,740,528        -        -  
 

Consumer, Non-Cyclical

     345,824,977        323,645,171        22,179,806        -  
 

Energy

     88,026,462        80,090,959        7,935,503        -  
 

Financial

     170,832,729        170,832,729        -        -  
 

Industrial

     106,245,903        101,470,897        4,775,006        -  
 

Technology

     11,475,434        11,475,434        -        -  
 

Utilities

     55,475,480        55,475,480        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     885,863,883        845,522,278        40,341,605        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     9,037,844        9,037,844        -        -  
 

Short-Term Investments

     19,187,674        -        19,187,674        -  
 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     139,422        -        139,422        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     914,228,823        854,560,122        59,668,701        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     (727      -        (727      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (727      -        (727      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $914,228,096        $854,560,122        $59,667,974        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

152

PACIFIC SELECT FUND

VALUE ADVANTAGE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

    
Value

 

COMMON STOCKS - 97.4%

 

Basic Materials - 0.5%

 

Axalta Coating Systems Ltd. *

    150,345       $4,044,280  
   

 

 

 

Communications - 6.5%

 

Alphabet, Inc. Class C *

    38,922       5,131,866  

Booking Holdings, Inc. *

    2,106       6,494,799  

CDW Corp.

    13,233       2,669,890  

Cisco Systems, Inc.

    76,395       4,106,995  

IAC, Inc. *

    91,788       4,625,197  

Liberty Broadband Corp. Class C *

    56,997       5,204,966  

Liberty Media Corp. - Liberty SiriusXM Class C *

    191,592       4,877,932  

Meta Platforms, Inc. Class A *

    15,284       4,588,410  

Nexstar Media Group, Inc.

    21,154       3,032,849  

T-Mobile U.S., Inc. *

    22,911       3,208,686  

Verizon Communications, Inc.

    110,040       3,566,396  
   

 

 

 
    47,507,986  
   

 

 

 

Consumer, Cyclical - 7.3%

 

AutoZone, Inc. *

    3,092       7,853,649  

Bath & Body Works, Inc.

    107,305       3,626,909  

Best Buy Co., Inc.

    44,051       3,060,223  

Columbia Sportswear Co.

    51,130       3,788,733  

Dick’s Sporting Goods, Inc.

    34,725       3,770,441  

Dollar General Corp.

    16,036       1,696,609  

Home Depot, Inc.

    14,938       4,513,666  

Liberty Media Corp. - Liberty Live Class C *

    55,924       1,795,160  

Lowe’s Cos., Inc.

    29,812       6,196,126  

Murphy USA, Inc.

    13,358       4,564,829  

Newell Brands, Inc.

    351,196       3,171,300  

Ralph Lauren Corp.

    46,268       5,371,252  

Texas Roadhouse, Inc.

    45,766       4,398,113  
   

 

 

 
    53,807,010  
   

 

 

 

Consumer, Non-Cyclical - 20.0%

 

AbbVie, Inc.

    89,683       13,368,148  

Albertsons Cos., Inc. Class A

    202,101       4,597,798  

Bristol-Myers Squibb Co.

    206,491       11,984,738  

Cencora, Inc.

    59,506       10,709,295  

Cigna Group

    17,967       5,139,820  

CVS Health Corp.

    66,270       4,626,971  

FleetCor Technologies, Inc. *

    16,526       4,219,749  

Fortrea Holdings, Inc. *

    45,066       1,288,437  

HCA Healthcare, Inc.

    26,485       6,514,780  

Henry Schein, Inc. *

    52,325       3,885,131  

Johnson & Johnson

    56,063       8,731,812  

Kenvue, Inc.

    229,327       4,604,886  

Keurig Dr Pepper, Inc.

    191,667       6,050,927  

Kraft Heinz Co.

    166,750       5,609,470  

Laboratory Corp. of America Holdings

    25,424       5,111,495  

Medtronic PLC

    43,498       3,408,503  

Merck & Co., Inc.

    48,951       5,039,506  

Philip Morris International, Inc.

    68,216       6,315,437  

Post Holdings, Inc. *

    68,470       5,870,618  

Procter & Gamble Co.

    56,269       8,207,396  

Quest Diagnostics, Inc.

    26,083       3,178,474  

Regeneron Pharmaceuticals, Inc. *

    8,179       6,730,990  

UnitedHealth Group, Inc.

    9,039       4,557,374  

Vertex Pharmaceuticals, Inc. *

    11,681       4,061,951  

Zimmer Biomet Holdings, Inc.

    30,312       3,401,613  
   

 

 

 
    147,215,319  
   

 

 

 

Energy - 9.0%

 

Chevron Corp.

    100,085       16,876,333  

ConocoPhillips

    128,549       15,400,170  

Coterra Energy, Inc.

    132,554       3,585,586  

EOG Resources, Inc.

    58,053       7,358,798  
   

Shares

   

    
Value

 

Kinder Morgan, Inc.

    439,697       $7,290,176  

Phillips 66

    65,616       7,883,763  

Williams Cos., Inc.

    234,109       7,887,132  
   

 

 

 
    66,281,958  
   

 

 

 

Financial - 33.2%

 

American Express Co.

    34,728       5,181,070  

American Homes 4 Rent Class A REIT

    156,113       5,259,447  

Apple Hospitality REIT, Inc.

    197,738       3,033,301  

Bank of America Corp.

    456,429       12,497,026  

Berkshire Hathaway, Inc. Class B *

    70,500       24,696,150  

Brixmor Property Group, Inc. REIT

    240,471       4,996,987  

Capital One Financial Corp.

    163,269       15,845,256  

CBRE Group, Inc. Class A *

    73,510       5,429,449  

Charles Schwab Corp.

    86,303       4,738,035  

Chubb Ltd.

    24,634       5,128,306  

Citigroup, Inc.

    55,539       2,284,319  

Citizens Financial Group, Inc.

    166,698       4,467,506  

CNA Financial Corp.

    69,081       2,718,337  

EastGroup Properties, Inc. REIT

    13,100       2,181,543  

Fairfax Financial Holdings Ltd. (Canada)

    6,073       4,973,483  

Federal Realty Investment Trust REIT

    45,570       4,130,009  

First Citizens BancShares, Inc. Class A

    3,906       5,390,671  

Hartford Financial Services Group, Inc.

    37,756       2,677,278  

Kimco Realty Corp. REIT

    387,167       6,810,268  

Lamar Advertising Co. Class A REIT

    52,325       4,367,568  

Loews Corp.

    219,465       13,894,329  

M&T Bank Corp.

    106,736       13,496,767  

MGIC Investment Corp.

    234,595       3,915,391  

Mid-America Apartment Communities, Inc. REIT

    43,631       5,613,128  

Morgan Stanley

    49,393       4,033,926  

Northern Trust Corp.

    58,732       4,080,699  

PNC Financial Services Group, Inc.

    49,432       6,068,767  

Progressive Corp.

    28,533       3,974,647  

Public Storage REIT

    21,826       5,751,587  

Rayonier, Inc. REIT

    166,980       4,752,251  

Regions Financial Corp.

    406,625       6,993,950  

State Street Corp.

    47,136       3,156,227  

T Rowe Price Group, Inc.

    26,515       2,780,628  

Travelers Cos., Inc.

    46,399       7,577,421  

W R Berkley Corp.

    61,833       3,925,777  

Wells Fargo & Co.

    379,502       15,506,452  

Welltower, Inc. REIT

    31,438       2,575,401  

Weyerhaeuser Co. REIT

    289,612       8,879,504  
   

 

 

 
    243,782,861  
   

 

 

 

Industrial - 14.1%

 

Carlisle Cos., Inc.

    18,661       4,838,051  

Dover Corp.

    44,579       6,219,216  

Eaton Corp. PLC

    25,229       5,380,841  

Energizer Holdings, Inc.

    101,641       3,256,578  

FedEx Corp.

    17,743       4,700,476  

Fortune Brands Innovations, Inc.

    80,018       4,973,919  

General Dynamics Corp.

    26,054       5,757,152  

Honeywell International, Inc.

    25,501       4,711,055  

ITT, Inc.

    17,005       1,664,959  

Martin Marietta Materials, Inc.

    22,596       9,275,206  

Middleby Corp. *

    28,523       3,650,944  

Mohawk Industries, Inc. *

    55,625       4,773,181  

Norfolk Southern Corp.

    8,982       1,768,825  

Northrop Grumman Corp.

    8,933       3,932,217  

Packaging Corp. of America

    55,452       8,514,655  

RTX Corp.

    82,478       5,935,942  

Silgan Holdings, Inc.

    58,099       2,504,648  

TD SYNNEX Corp.

    45,872       4,580,778  

Timken Co.

    44,159       3,245,245  

Union Pacific Corp.

    28,915       5,887,961  

United Parcel Service, Inc. Class B

    14,231       2,218,186  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

153

PACIFIC SELECT FUND

VALUE ADVANTAGE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    
Shares

   

    
Value

 

Vulcan Materials Co.

    13,945       $2,817,169  

Westrock Co.

    91,244       3,266,535  
   

 

 

 
    103,873,739  
   

 

 

 

Technology - 2.8%

 

Analog Devices, Inc.

    18,689       3,272,257  

International Business Machines Corp.

    27,493       3,857,268  

NXP Semiconductors NV (China)

    31,029       6,203,318  

Texas Instruments, Inc.

    44,996       7,154,814  
   

 

 

 
    20,487,657  
   

 

 

 

Utilities - 4.0%

 

Dominion Energy, Inc.

    103,596       4,627,633  

Edison International

    60,887       3,853,538  

Entergy Corp.

    22,627       2,092,998  

NextEra Energy, Inc.

    84,549       4,843,812  

PG&E Corp. *

    328,782       5,303,254  

Public Service Enterprise Group, Inc.

    57,999       3,300,723  

Xcel Energy, Inc.

    90,331       5,168,740  
   

 

 

 
      29,190,698  
   

 

 

 

Total Common Stocks
(Cost $600,896,068)

      716,191,508  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 2.7%

 

Repurchase Agreements - 2.7%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $19,860,252; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $20,249,112)

    $19,852,063       19,852,063  
   

 

 

 

Total Short-Term Investments
(Cost $19,852,063)

      19,852,063  
   

 

 

 

TOTAL INVESTMENTS - 100.1%
(Cost $620,748,131)

      736,043,571  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.1%)

      (695,839
   

 

 

 

NET ASSETS - 100.0%

      $735,347,732  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

154

PACIFIC SELECT FUND

VALUE ADVANTAGE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $716,191,508        $716,191,508        $-        $-  
 

Short-Term Investments

     19,852,063        -        19,852,063        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $736,043,571        $716,191,508        $19,852,063        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

155

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

RIGHTS - 0.0%

 

Brazil - 0.0%

 

Localiza Rent a Car SA *

    1,264       $4,024  
   

 

 

 

Total Rights
(Cost $0)

      4,024  
   

 

 

 

WARRANTS - 0.1%

 

Switzerland - 0.1%

 

Cie Financiere Richemont SA Exercise @ CHF 67.00 Exp 11/22/23 *

    535,142       397,432  
   

 

 

 

Total Warrants
(Cost $0)

      397,432  
   

 

 

 

PREFERRED STOCKS - 1.2%

 

Brazil - 1.2%

 

Banco Bradesco SA

    1,516,972       4,315,624  

Itau Unibanco Holding SA

    622,700       3,370,834  
   

 

 

 
    7,686,458  
   

 

 

 

Total Preferred Stocks
(Cost $8,714,687)

      7,686,458  
   

 

 

 

COMMON STOCKS - 93.2%

 

Brazil - 6.0%

 

Ambev SA

    4,851,121       12,652,455  

Arezzo Industria e Comercio SA

    109,567       1,415,976  

B3 SA - Brasil Bolsa Balcao

    2,180,900       5,332,337  

Localiza Rent a Car SA

    172,500       2,009,649  

NU Holdings Ltd. Class A *

    1,143,790       8,292,477  

Raia Drogasil SA

    56,400       309,908  

Vale SA ADR

    466,499       6,251,087  

WEG SA

    397,775       2,870,219  
   

 

 

 
    39,134,108  
   

 

 

 

Chile - 1.0%

 

Antofagasta PLC

    149,653       2,597,939  

Banco Santander Chile

    91,863,639       4,249,393  
   

 

 

 
    6,847,332  
   

 

 

 

China - 24.0%

 

BeiGene Ltd. ADR *

    33,857       6,089,859  

H World Group Ltd. *

    58,500       230,049  

H World Group Ltd. ADR *

    722,464       28,486,756  

Meituan Class B * ~

    421,672       6,104,204  

MicroTech Medical Hangzhou Co. Ltd. Class H * ~

    252,100       135,532  

NetEase, Inc. ADR

    172,008       17,228,321  

New Horizon Health Ltd. * ~

    850,500       2,031,142  

PDD Holdings, Inc. ADR *

    96,981       9,510,927  

Silergy Corp.

    98,000       928,925  

Tencent Holdings Ltd.

    465,625       18,049,456  

Wuxi Biologics Cayman, Inc. * ~

    327,000       1,900,477  

Yum China Holdings, Inc.

    641,606       35,750,286  

Zai Lab Ltd. ADR *

    83,157       2,021,547  

ZTO Express Cayman, Inc.

    72,827       1,758,854  

ZTO Express Cayman, Inc. ADR

    1,083,370       26,185,053  
   

 

 

 
    156,411,388  
   

 

 

 
   

    

Shares

   

    

Value

 

France - 5.4%

 

L’Oreal SA

    3,371       $1,396,983  

Pernod Ricard SA

    153,688       25,587,500  

TotalEnergies SE

    130,308       8,567,662  
   

 

 

 
    35,552,145  
   

 

 

 

Hong Kong - 0.7%

 

AIA Group Ltd.

    585,218       4,732,741  
   

 

 

 

India - 19.2%

 

Havells India Ltd.

    186,011       3,103,378  

HCL Technologies Ltd.

    135,672       2,010,852  

HDFC Bank Ltd.

    2,292,498       42,044,180  

Kotak Mahindra Bank Ltd.

    1,702,957       35,489,625  

Oberoi Realty Ltd.

    492,540       6,826,953  

Tata Consultancy Services Ltd.

    847,089       35,867,595  
   

 

 

 
    125,342,583  
   

 

 

 

Indonesia - 1.0%

 

P.T. Bank Central Asia Tbk

    9,071,500       5,168,348  

P.T. Bank Rakyat Indonesia Persero Tbk

    4,645,900       1,569,073  
   

 

 

 
    6,737,421  
   

 

 

 

Italy - 1.9%

 

Ermenegildo Zegna NV

    206,145       2,869,539  

PRADA SpA

    1,617,000       9,476,515  
   

 

 

 
    12,346,054  
   

 

 

 

Japan - 0.6%

 

Daiichi Sankyo Co. Ltd.

    147,100       4,027,201  
   

 

 

 

Mexico - 11.6%

 

America Movil SAB de CV ADR

    710,070       12,298,412  

Fomento Economico Mexicano SAB de CV

    1,156,168       12,626,794  

Grupo Mexico SAB de CV

    7,311,863       34,609,415  

Wal-Mart de Mexico SAB de CV

    4,250,186       15,998,405  
   

 

 

 
    75,533,026  
   

 

 

 

Netherlands - 0.5%

 

Argenx SE ADR *

    6,879       3,381,923  
   

 

 

 

Peru - 0.9%

 

Credicorp Ltd.

    47,727       6,107,624  
   

 

 

 

Philippines - 1.1%

 

SM Investments Corp.

    472,999       7,047,323  
   

 

 

 

Poland - 0.0%

 

Allegro.eu SA * ~

    26,647       195,611  
   

 

 

 

Portugal - 1.1%

 

Galp Energia SGPS SA

    476,548       7,058,683  
   

 

 

 

Russia - 0.0%

 

Novatek PJSC GDR (LI) * W ±

    258,603       -  

Polyus PJSC GDR * W ±

    41,905       -  

Sberbank of Russia PJSC * W ±

    156,504       -  

Yandex NV Class A * W ±

    4,890       -  
   

 

 

 
    -  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

156

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

South Africa - 0.6%

 

FirstRand Ltd.

    1,172,281       $3,947,562  
   

 

 

 

South Korea - 6.6%

 

Kakao Corp.

    73,226       2,389,848  

LG Chem Ltd.

    30,780       11,269,672  

LG H&H Co. Ltd.

    5,233       1,726,417  

Samsung Biologics Co. Ltd. * ~

    20,744       10,471,298  

Samsung Electronics Co. Ltd.

    335,419       16,956,809  
   

 

 

 
    42,814,044  
   

 

 

 

Switzerland - 2.7%

 

Cie Financiere Richemont SA Class A

    142,950       17,408,912  
   

 

 

 

Taiwan - 8.3%

 

MediaTek, Inc.

    28,000       640,160  

Taiwan Semiconductor Manufacturing Co. Ltd.

    3,268,376       53,294,900  
   

 

 

 
    53,935,060  
   

 

 

 

Total Common Stocks
(Cost $620,488,874)

      608,560,741  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 5.5%

 

Repurchase Agreements - 5.5%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $35,631,962; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $36,329,658)

    $35,617,269       35,617,269  
   

 

 

 

Total Short-Term Investments
(Cost $35,617,269)

      35,617,269  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $664,820,830)

      652,265,924  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    304,712  

NET ASSETS - 100.0%

      $652,570,636  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

157

PACIFIC SELECT FUND

EMERGING MARKETS PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

     $4,024        $4,024        $-        $-  
 

Warrants

     397,432        397,432        -        -  
 

Preferred Stocks

     7,686,458        7,686,458        -        -  
 

Common Stocks

           
 

Brazil

     39,134,108        39,134,108        -        -  
 

Chile

     6,847,332        -        6,847,332        -  
 

China

     156,411,388        125,408,281        31,003,107        -  
 

France

     35,552,145        -        35,552,145        -  
 

Hong Kong

     4,732,741        -        4,732,741        -  
 

India

     125,342,583        -        125,342,583        -  
 

Indonesia

     6,737,421        -        6,737,421        -  
 

Italy

     12,346,054        2,869,539        9,476,515        -  
 

Japan

     4,027,201        -        4,027,201        -  
 

Mexico

     75,533,026        75,533,026        -        -  
 

Netherlands

     3,381,923        3,381,923        -        -  
 

Peru

     6,107,624        6,107,624        -        -  
 

Philippines

     7,047,323        -        7,047,323        -  
 

Poland

     195,611        -        195,611        -  
 

Portugal

     7,058,683        -        7,058,683        -  
 

South Africa

     3,947,562        -        3,947,562        -  
 

South Korea

     42,814,044        -        42,814,044        -  
 

Switzerland

     17,408,912        -        17,408,912        -  
 

Taiwan

     53,935,060        -        53,935,060        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     608,560,741        252,434,501        356,126,240        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     35,617,269        -        35,617,269        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $652,265,924        $260,522,415        $391,743,509        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

158

PACIFIC SELECT FUND

INTERNATIONAL GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

COMMON STOCKS - 99.6%

 

Australia - 2.5%

 

Brambles Ltd.

    1,195,891       $10,986,088  

Computershare Ltd.

    523,370       8,721,713  
   

 

 

 
    19,707,801  
   

 

 

 

Brazil - 0.5%

 

 

MercadoLibre, Inc. *

    3,084       3,910,142  
   

 

 

 

Canada - 8.7%

 

CAE, Inc. *

    363,458       8,485,370  

Canadian Pacific Kansas City Ltd.

    287,533       21,372,598  

Loblaw Cos. Ltd.

    138,390       11,757,928  

Shopify, Inc. Class A *

    64,593       3,524,840  

Suncor Energy, Inc.

    474,010       16,301,128  

Thomson Reuters Corp.

    62,473       7,642,565  
   

 

 

 
    69,084,429  
   

 

 

 

China - 1.5%

 

 

Tencent Holdings Ltd.

    225,953       8,758,827  

Zai Lab Ltd. *

    456,200       1,116,358  

Zai Lab Ltd. ADR *

    85,128       2,069,461  
   

 

 

 
    11,944,646  
   

 

 

 

Denmark - 4.5%

 

 

Novo Nordisk AS Class B

    394,500       35,919,691  
   

 

 

 

France - 12.4%

 

Airbus SE

    93,802       12,555,255  

Edenred SE

    82,636       5,169,379  

EssilorLuxottica SA

    51,536       8,964,460  

Kering SA

    27,873       12,664,455  

L’Oreal SA

    34,515       14,303,432  

LVMH Moet Hennessy Louis Vuitton SE

    35,203       26,572,296  

Safran SA

    119,312       18,697,284  
   

 

 

 
    98,926,561  
   

 

 

 

Germany - 7.8%

 

 

BioNTech SE ADR *

    16,884       1,834,278  

Deutsche Boerse AG

    87,740       15,152,416  

Deutsche Telekom AG

    993,155       20,833,207  

SAP SE

    169,186       21,899,780  

Schott Pharma AG & Co. KGaA *

    60,942       2,038,595  
   

 

 

 
    61,758,276  
   

 

 

 

Hong Kong - 3.6%

 

 

AIA Group Ltd.

    1,991,292       16,103,861  

Hong Kong Exchanges & Clearing Ltd.

    345,083       12,806,983  
   

 

 

 
    28,910,844  
   

 

 

 

Israel - 0.8%

 

 

Nice Ltd. ADR *

    39,088       6,644,960  
   

 

 

 

Italy - 1.0%

 

Intesa Sanpaolo SpA

    3,222,016       8,252,282  
   

 

 

 

Japan - 13.4%

 

Daiichi Sankyo Co. Ltd.

    522,055       14,292,456  

Keyence Corp.

    35,115       12,986,425  

MonotaRO Co. Ltd.

    233,220       2,486,403  
   

    

Shares

   

    

Value

 

Nomura Research Institute Ltd.

    147,738       $3,839,964  

Olympus Corp.

    1,104,649       14,342,191  

Recruit Holdings Co. Ltd.

    119,142       3,645,151  

Shiseido Co. Ltd.

    290,709       10,187,646  

SMC Corp.

    4,200       1,882,701  

Sony Group Corp.

    265,692       21,727,110  

Tokyo Electron Ltd.

    153,068       20,907,901  
   

 

 

 
    106,297,948  
   

 

 

 

Netherlands - 4.5%

 

 

Adyen NV * ~

    2,729       2,023,373  

Argenx SE *

    24,633       12,041,281  

ASML Holding NV

    37,410       22,025,137  
   

 

 

 
    36,089,791  
   

 

 

 

New Zealand - 0.5%

 

 

Xero Ltd. *

    59,393       4,271,416  
   

 

 

 

Portugal - 2.0%

 

EDP - Energias de Portugal SA

    3,820,752       15,886,476  
   

 

 

 

Spain - 5.8%

 

Amadeus IT Group SA

    189,924       11,471,918  

Cellnex Telecom SA ~

    132,367       4,603,989  

Iberdrola SA

    720,633       8,059,882  

Industria de Diseno Textil SA

    595,960       22,176,889  
   

 

 

 
    46,312,678  
   

 

 

 

Sweden - 2.7%

 

 

Atlas Copco AB Class A

    796,986       10,704,054  

Sandvik AB

    564,204       10,381,549  
   

 

 

 
    21,085,603  
   

 

 

 

Switzerland - 4.1%

 

 

Alcon, Inc.

    203,997       15,741,916  

Givaudan SA

    3,088       10,054,005  

Straumann Holding AG

    53,337       6,788,676  
   

 

 

 
    32,584,597  
   

 

 

 

United Kingdom - 11.9%

 

 

3i Group PLC

    360,728       9,079,752  

AstraZeneca PLC

    100,770       13,592,302  

Diageo PLC

    403,597       14,879,852  

London Stock Exchange Group PLC

    278,454       27,908,284  

RELX PLC

    484,098       16,333,425  

Rentokil Initial PLC

    1,676,768       12,449,354  
   

 

 

 
    94,242,969  
   

 

 

 

United States - 11.4%

 

 

Accenture PLC Class A

    51,925       15,946,687  

CRH PLC

    233,314       12,817,428  

Haleon PLC

    3,435,811       14,241,731  

Linde PLC

    37,201       13,851,792  

Nestle SA

    279,050       31,587,343  

SolarEdge Technologies, Inc. *

    13,932       1,804,333  
   

 

 

 
    90,249,314  
   

 

 

 

Total Common Stocks
(Cost $843,253,930)

      792,080,424  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

159

PACIFIC SELECT FUND

INTERNATIONAL GROWTH PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

         

Value

 

TOTAL INVESTMENTS - 99.6%
(Cost $843,253,930)

      $792,080,424  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

 

    3,308,293  
   

 

 

 

NET ASSETS - 100.0%

      $795,388,717  
   

 

 

 
 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Australia

     $19,707,801        $-        $19,707,801        $-  
 

Brazil

     3,910,142        3,910,142        -        -  
 

Canada

     69,084,429        69,084,429        -        -  
 

China

     11,944,646        2,069,461        9,875,185        -  
 

Denmark

     35,919,691        -        35,919,691        -  
 

France

     98,926,561        -        98,926,561        -  
 

Germany

     61,758,276        3,872,873        57,885,403        -  
 

Hong Kong

     28,910,844        -        28,910,844        -  
 

Israel

     6,644,960        6,644,960        -        -  
 

Italy

     8,252,282        -        8,252,282        -  
 

Japan

     106,297,948        -        106,297,948        -  
 

Netherlands

     36,089,791        -        36,089,791        -  
 

New Zealand

     4,271,416        -        4,271,416        -  
 

Portugal

     15,886,476        -        15,886,476        -  
 

Spain

     46,312,678        -        46,312,678        -  
 

Sweden

     21,085,603        -        21,085,603        -  
 

Switzerland

     32,584,597        -        32,584,597        -  
 

United Kingdom

     94,242,969        -        94,242,969        -  
 

United States

     90,249,314        37,851,172        52,398,142        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     792,080,424        123,433,037        668,647,387        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $792,080,424        $123,433,037        $668,647,387        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

160

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

COMMON STOCKS - 98.2%

 

Australia - 0.9%

 

Rio Tinto PLC

    124,332       $7,807,110  
   

 

 

 

Belgium - 0.6%

 

KBC Group NV

    88,811       5,529,071  
   

 

 

 

Canada - 4.0%

 

Canadian National Railway Co.

    107,908       11,689,673  

Intact Financial Corp.

    45,165       6,584,630  

Suncor Energy, Inc.

    225,537       7,756,181  

Toronto-Dominion Bank

    166,869       10,053,297  
   

 

 

 
    36,083,781  
   

 

 

 

China - 2.3%

 

NetEase, Inc.

    374,600       7,511,194  

Tencent Holdings Ltd.

    194,223       7,528,847  

Yum China Holdings, Inc.

    103,433       5,763,287  
   

 

 

 
    20,803,328  
   

 

 

 

Denmark - 3.0%

 

Carlsberg AS Class B

    54,791       6,908,323  

Novo Nordisk AS Class B

    219,212       19,959,512  
   

 

 

 
    26,867,835  
   

 

 

 

France - 15.8%

 

Air Liquide SA

    157,546       26,535,708  

Capgemini SE

    109,815       19,162,035  

Cie de Saint-Gobain SA

    169,655       10,153,915  

Cie Generale des Etablissements Michelin SCA

    205,832       6,299,892  

Dassault Systemes SE

    126,700       4,705,945  

Engie SA

    805,294       12,350,116  

EssilorLuxottica SA

    79,908       13,899,645  

L’Oreal SA

    17,814       7,382,336  

Legrand SA

    89,609       8,233,838  

LVMH Moet Hennessy Louis Vuitton SE

    27,670       20,886,158  

Pernod Ricard SA

    73,902       12,303,937  
   

 

 

 
    141,913,525  
   

 

 

 

Germany - 9.3%

 

Bayer AG

    235,520       11,310,704  

Beiersdorf AG

    134,155       17,304,523  

Deutsche Boerse AG

    93,654       16,173,745  

Merck KGaA

    87,113       14,522,376  

MTU Aero Engines AG

    24,581       4,451,853  

SAP SE

    149,461       19,346,536  
   

 

 

 
    83,109,737  
   

 

 

 

Hong Kong - 2.4%

 

AIA Group Ltd.

    1,867,607       15,103,603  

Prudential PLC

    579,926       6,233,815  
   

 

 

 
    21,337,418  
   

 

 

 

India - 2.0%

 

HDFC Bank Ltd.

    604,752       11,091,090  

Tata Consultancy Services Ltd.

    152,530       6,458,453  
   

 

 

 
    17,549,543  
   

 

 

 
   

    

Shares

   

    

Value

 

Ireland - 1.3%

 

Ryanair Holdings PLC ADR *

    116,856       $11,359,572  
   

 

 

 

Israel - 1.4%

 

Check Point Software Technologies Ltd. *

    92,002       12,262,027  
   

 

 

 

Italy - 2.8%

 

Eni SpA

    754,984       12,127,918  

Intesa Sanpaolo SpA

    4,978,340       12,750,609  
   

 

 

 
    24,878,527  
   

 

 

 

Japan - 14.1%

 

Daikin Industries Ltd.

    79,800       12,510,378  

Denso Corp.

    726,800       11,662,142  

Hitachi Ltd.

    307,100       19,033,300  

Hoya Corp.

    77,600       7,947,593  

Koito Manufacturing Co. Ltd.

    227,800       3,435,159  

Kose Corp.

    62,000       4,493,886  

Kubota Corp.

    239,000       3,515,885  

Kyocera Corp.

    190,900       9,678,191  

Mitsubishi Electric Corp.

    512,300       6,329,190  

Olympus Corp.

    609,800       7,917,328  

Seven & i Holdings Co. Ltd.

    112,200       4,392,650  

Shin-Etsu Chemical Co. Ltd.

    171,600       4,984,232  

SMC Corp.

    19,300       8,651,461  

Sony Group Corp.

    153,900       12,585,257  

Terumo Corp.

    273,300       7,234,482  

ZOZO, Inc.

    92,800       1,699,277  
   

 

 

 
    126,070,411  
   

 

 

 

Netherlands - 3.3%

 

Akzo Nobel NV

    148,156       10,681,815  

ING Groep NV

    1,058,975       13,957,361  

Randstad NV

    84,317       4,658,183  
   

 

 

 
    29,297,359  
   

 

 

 

Portugal - 0.9%

 

Galp Energia SGPS SA

    539,084       7,984,974  
   

 

 

 

Singapore - 1.2%

 

DBS Group Holdings Ltd.

    455,514       11,187,258  
   

 

 

 

South Korea - 0.7%

 

Samsung Electronics Co. Ltd.

    128,630       6,502,775  
   

 

 

 

Spain - 0.9%

 

Amadeus IT Group SA

    141,836       8,567,274  
   

 

 

 

Switzerland - 9.0%

 

Cie Financiere Richemont SA Class A

    124,455       15,156,531  

Julius Baer Group Ltd.

    114,620       7,336,581  

Novartis AG

    149,747       15,293,456  

Sika AG

    26,040       6,597,514  

Sonova Holding AG

    27,262       6,452,279  

UBS Group AG (XVTX)

    678,985       16,724,887  

Zurich Insurance Group AG

    28,521       13,049,937  
   

 

 

 
    80,611,185  
   

 

 

 

Taiwan - 1.2%

 

Taiwan Semiconductor Manufacturing Co. Ltd. ADR

    121,401       10,549,747  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

161

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

United Kingdom - 8.6%

 

Compass Group PLC

    805,130       $19,598,136  

Diageo PLC

    325,803       12,011,736  

London Stock Exchange Group PLC

    114,857       11,511,639  

Reckitt Benckiser Group PLC

    47,885       3,376,885  

RELX PLC

    452,576       15,270,218  

Rolls-Royce Holdings PLC *

    3,062,496       8,205,597  

Tesco PLC

    2,241,459       7,209,613  
   

 

 

 
    77,183,824  
   

 

 

 

United States - 12.5%

 

Experian PLC

    411,153       13,447,814  

Linde PLC

    37,903       14,113,182  

Nestle SA

    262,721       29,738,965  

QIAGEN NV *

    208,601       8,416,961  

Roche Holding AG

    79,171       21,613,765  

Schneider Electric SE

    151,692       24,997,639  
   

 

 

 
    112,328,326  
   

 

 

 

Total Common Stocks
(Cost $760,241,314)

      879,784,607  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 1.0%

 

U.S. Government Agency Issues - 1.0%

 

Federal Home Loan Bank
0.000% due 10/02/23

    $8,472,000       8,472,000  
   

 

 

 

Total Short-Term Investments
(Cost $8,470,776)

      8,472,000  
   

 

 

 

TOTAL INVESTMENTS - 99.2%
(Cost $768,712,090)

      888,256,607  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.8%

      7,372,651  
   

 

 

 

NET ASSETS - 100.0%

      $895,629,258  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

162

PACIFIC SELECT FUND

INTERNATIONAL LARGE-CAP PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Common Stocks            
 

Australia

     $7,807,110        $-        $7,807,110        $-  
 

Belgium

     5,529,071        -        5,529,071        -  
 

Canada

     36,083,781        36,083,781        -        -  
 

China

     20,803,328        5,763,287        15,040,041        -  
 

Denmark

     26,867,835        -        26,867,835        -  
 

France

     141,913,525        -        141,913,525        -  
 

Germany

     83,109,737        -        83,109,737        -  
 

Hong Kong

     21,337,418        -        21,337,418        -  
 

India

     17,549,543        -        17,549,543        -  
 

Ireland

     11,359,572        11,359,572        -        -  
 

Israel

     12,262,027        12,262,027        -        -  
 

Italy

     24,878,527        -        24,878,527        -  
 

Japan

     126,070,411        -        126,070,411        -  
 

Netherlands

     29,297,359        -        29,297,359        -  
 

Portugal

     7,984,974        -        7,984,974        -  
 

Singapore

     11,187,258        -        11,187,258        -  
 

South Korea

     6,502,775        -        6,502,775        -  
 

Spain

     8,567,274        -        8,567,274        -  
 

Switzerland

     80,611,185        -        80,611,185        -  
 

Taiwan

     10,549,747        10,549,747        -        -  
 

United Kingdom

     77,183,824        -        77,183,824        -  
 

United States

     112,328,326        14,113,182        98,215,144        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     879,784,607        90,131,596        789,653,011        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
  Short-Term Investments      8,472,000        -        8,472,000        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $888,256,607        $90,131,596        $798,125,011        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

163

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 95.7%

 

Australia - 3.6%

 

EBOS Group Ltd.

    41,460       $849,339  

GUD Holdings Ltd.

    222,643       1,674,397  

Imdex Ltd.

    998,017       993,722  

Inghams Group Ltd.

    945,045       2,008,835  

Nanosonics Ltd. *

    303,498       817,546  

Servcorp Ltd.

    189,984       377,444  

SomnoMed Ltd. *

    474,460       218,114  
   

 

 

 
    6,939,397  
   

 

 

 

Austria - 2.4%

 

Eurotelesites AG *

    36,300       158,886  

Mayr Melnhof Karton AG

    12,500       1,685,900  

Strabag SE

    15,800       623,399  

Telekom Austria AG *

    140,000       976,899  

Wienerberger AG

    44,900       1,136,434  
   

 

 

 
    4,581,518  
   

 

 

 

Belgium - 1.5%

 

Econocom Group SA NV

    327,600       864,156  

Fagron

    116,200       1,976,018  
   

 

 

 
    2,840,174  
   

 

 

 

Brazil - 1.5%

 

Atacadao SA

    319,200       565,175  

Hypera SA

    184,042       1,359,843  

LOG Commercial Properties e Participacoes SA

    267,295       1,082,676  
   

 

 

 
    3,007,694  
   

 

 

 

Canada - 3.0%

 

CCL Industries, Inc. Class B

    32,500       1,364,126  

ECN Capital Corp.

    147,500       249,770  

North West Co., Inc.

    52,300       1,316,886  

Open Text Corp.

    40,700       1,428,433  

Parkland Corp.

    35,300       1,032,556  

Quebecor, Inc. Class A *

    22,000       485,919  
   

 

 

 
    5,877,690  
   

 

 

 

Cayman - 0.2%

 

Patria Investments Ltd. Class A

    25,300       368,874  
   

 

 

 

China - 3.0%

 

Best Pacific International Holdings Ltd.

    2,187,726       279,369  

Chervon Holdings Ltd.

    45,700       136,850  

Far East Horizon Ltd.

    1,957,657       1,408,192  

Precision Tsugami China Corp. Ltd.

    1,039,972       1,069,063  

Qingdao Port International Co. Ltd. Class H ~

    2,599,372       1,281,164  

Shenzhen YUTO Packaging Technology Co. Ltd. Class A

    357,016       1,208,522  

Xingda International Holdings Ltd.

    2,210,865       394,455  
   

 

 

 
    5,777,615  
   

 

 

 

Denmark - 0.6%

 

Spar Nord Bank AS

    76,315       1,180,532  
   

 

 

 

Finland - 1.1%

 

Huhtamaki OYJ

    42,200       1,387,354  

Nanoform Finland PLC *

    81,300       152,999  

Tokmanni Group Corp.

    40,000       555,412  
   

 

 

 
    2,095,765  
   

 

 

 
   

Shares

   

Value

 

France - 3.0%

 

Altarea SCA REIT

    9,785       $ 897,078  

Antin Infrastructure Partners SA

    31,100       401,984  

ARGAN SA REIT

    13,041       870,410  

Elior Group SA * ~

    283,000       578,203  

Lectra

    27,600       750,044  

Maisons du Monde SA ~

    93,000       714,561  

Thermador Groupe

    18,700       1,557,921  
   

 

 

 
    5,770,201  
   

 

 

 

Germany - 4.3%

 

DWS Group GmbH & Co. KGaA ~

    25,300       859,110  

JOST Werke SE ~

    28,000       1,342,035  

Norma Group SE

    37,873       699,799  

Rheinmetall AG

    5,970       1,535,791  

Stabilus SE

    18,100       1,011,299  

Takkt AG

    81,900       1,111,800  

Talanx AG *

    29,500       1,867,053  
   

 

 

 
    8,426,887  
   

 

 

 

Greece - 0.9%

 

Mytilineos SA

    46,700       1,718,921  
   

 

 

 

Hong Kong - 1.7%

 

ASMPT Ltd.

    178,256       1,588,197  

Sino Land Co. Ltd.

    953,514       1,072,356  

WH Group Ltd. ~

    1,083,000       566,861  
   

 

 

 
    3,227,414  
   

 

 

 

Hungary - 1.1%

 

Richter Gedeon Nyrt

    88,586       2,144,214  
   

 

 

 

Indonesia - 1.0%

 

P.T. Avia Avian Tbk

    15,679,383       568,130  

P.T. Selamat Sempurna Tbk

    9,767,100       1,339,777  
   

 

 

 
    1,907,907  
   

 

 

 

Ireland - 2.1%

 

AerCap Holdings NV *

    18,387       1,152,313  

Dalata Hotel Group PLC

    250,600       1,063,762  

Irish Residential Properties REIT PLC REIT à

    1,146,000       1,124,469  

Mincon Group PLC

    818,000       691,864  
   

 

 

 
    4,032,408  
   

 

 

 

Italy - 1.3%

 

Banca Generali SpA

    30,700       1,082,746  

Recordati Industria Chimica e Farmaceutica SpA

    29,700       1,399,621  
   

 

 

 
    2,482,367  
   

 

 

 

Japan - 20.6%

 

Amano Corp.

    68,300       1,499,014  

ASKUL Corp.

    98,600       1,291,762  

Bank of Kyoto Ltd. *

    14,000       794,800  

Capcom Co. Ltd.

    31,900       1,148,135  

Daiichikosho Co. Ltd.

    47,900       777,236  

Daikyonishikawa Corp.

    8,100       43,586  

Daiwa Industries Ltd.

    77,400       714,229  

Dexerials Corp.

    47,700       1,174,495  

Dip Corp.

    36,500       898,546  

GMO internet group, Inc.

    78,000       1,206,060  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

164

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Hokuhoku Financial Group, Inc.

    55,000       $ 587,913  

Inaba Denki Sangyo Co. Ltd.

    56,400       1,219,747  

Isuzu Motors Ltd.

    102,500       1,288,589  

Kamigumi Co. Ltd.

    62,000       1,276,827  

Maruwa Co. Ltd.

    8,000       1,251,813  

Meitec Corp.

    69,200       1,251,503  

Minebea Mitsumi, Inc.

    74,000       1,205,686  

Mitani Corp.

    71,400       669,855  

Nishimoto Co. Ltd.

    36,419       1,179,648  

NOF Corp.

    37,300       1,489,080  

NSD Co. Ltd.

    88,200       1,671,870  

PALTAC Corp.

    43,300       1,356,391  

Park24 Co. Ltd. *

    53,200       674,081  

Persol Holdings Co. Ltd.

    486,000       789,368  

Prestige International, Inc.

    78,000       322,332  

Relo Group, Inc.

    75,000       810,868  

Renesas Electronics Corp. *

    121,400       1,854,379  

Roland Corp.

    48,000       1,314,184  

S Foods, Inc.

    82,300       1,841,451  

San-Ai Obbli Co. Ltd.

    107,700       1,141,189  

Ship Healthcare Holdings, Inc.

    103,100       1,562,498  

SUMCO Corp.

    89,000       1,158,154  

TechnoPro Holdings, Inc.

    55,300       1,201,852  

TIS, Inc.

    49,000       1,077,469  

TKC Corp.

    24,700       600,796  

Tsuruha Holdings, Inc.

    25,700       1,726,280  
   

 

 

 
    40,071,686  
   

 

 

 

Mexico - 2.8%

 

Bolsa Mexicana de Valores SAB de CV

    811,459       1,523,043  

Gruma SAB de CV Class B

    122,366       2,095,757  

Grupo Comercial Chedraui SA de CV

    311,300       1,827,877  
   

 

 

 
    5,446,677  
   

 

 

 

Netherlands - 1.4%

 

Acomo NV

    69,100       1,442,125  

Arcadis NV

    28,900       1,296,674  
   

 

 

 
    2,738,799  
   

 

 

 

Norway - 1.3%

 

Europris ASA ~

    275,600       1,536,429  

SpareBank 1 SMN

    77,300       988,757  
   

 

 

 
    2,525,186  
   

 

 

 

Peru - 0.6%

 

Intercorp Financial Services, Inc.

    50,995       1,148,407  
   

 

 

 

Philippines - 1.7%

 

Century Pacific Food, Inc.

    4,041,055       1,999,957  

Robinsons Land Corp.

    5,189,749       1,389,437  
   

 

 

 
    3,389,394  
   

 

 

 

Singapore - 1.6%

 

Hour Glass Ltd.

    604,682       858,144  

HRnetgroup Ltd.

    1,787,935       962,156  

Mapletree Industrial Trust REIT

    836,869       1,381,479  
   

 

 

 
    3,201,779  
   

 

 

 

South Korea - 1.9%

 

Hyundai Marine & Fire Insurance Co. Ltd.

    34,854       836,880  

Soulbrain Co. Ltd.

    9,900       1,677,357  

Vitzrocell Co. Ltd.

    80,600       1,156,371  
   

 

 

 
    3,670,608  
   

 

 

 
   

Shares

   

Value

 

Spain - 4.1%

 

Cia de Distribucion Integral Logista Holdings SA

    88,300      
$
2,256,491
 
 

CIE Automotive SA

    57,100       1,543,567  

Grupo Catalana Occidente SA

    55,700       1,793,255  

Indra Sistemas SA

    59,800       864,090  

Prosegur Cia de Seguridad SA

    479,800       771,745  

Viscofan SA

    10,700       653,242  
   

 

 

 
    7,882,390  
   

 

 

 

Sweden - 1.6%

 

Alligo AB Class B

    44,680       418,764  

Granges AB

    143,000       1,345,200  

Hexpol AB

    111,900       991,497  

Nordnet AB publ

    27,300       359,025  
   

 

 

 
    3,114,486  
   

 

 

 

Taiwan - 3.5%

 

International Games System Co. Ltd.

    100,350       2,030,408  

Sporton International, Inc.

    160,639       1,258,302  

Test Research, Inc.

    454,727       857,193  

Tripod Technology Corp.

    259,609       1,550,326  

Yageo Corp.

    68,964       1,122,996  
   

 

 

 
    6,819,225  
   

 

 

 

Thailand - 0.5%

 

Star Petroleum Refining PCL

    4,310,277       1,072,113  
   

 

 

 

United Kingdom - 16.1%

 

Ashtead Technology Holdings PLC

    389,500       2,076,750  

B&M European Value Retail SA

    313,333       2,234,951  

Bodycote PLC

    128,844       1,025,747  

Cab Payments Holdings PLC *

    150,000       424,595  

DCC PLC

    9,400       526,302  

Direct Line Insurance Group PLC *

    450,000       941,412  

Grainger PLC

    534,688       1,523,943  

Harbour Energy PLC

    263,590       825,472  

Hiscox Ltd.

    126,770       1,549,971  

Indivior PLC *

    30,000       648,899  

Informa PLC

    209,644       1,914,357  

J D Wetherspoon PLC *

    133,814       1,128,988  

JET2 PLC

    96,980       1,275,193  

John Wood Group PLC *

    724,168       1,364,422  

Lancashire Holdings Ltd.

    306,811       2,208,607  

LSL Property Services PLC

    267,604       848,909  

On the Beach Group PLC  * ~

    666,849       856,051  

Pets at Home Group PLC

    207,100       841,672  

Premier Foods PLC

    806,100       1,180,227  

Rathbones Group PLC

    25,300       535,743  

Sabre Insurance Group PLC ~

    774,986       1,431,578  

Savills PLC

    101,685       1,073,790  

Tate & Lyle PLC

    222,887       1,864,179  

Vistry Group PLC

    110,296       1,220,105  

WH Smith PLC

    103,354       1,687,496  
   

 

 

 
    31,209,359  
   

 

 

 

United States - 5.7%

 

Adient PLC *

    29,700       1,089,990  

Adtalem Global Education, Inc. *

    35,800       1,534,030  

Antero Resources Corp. *

    52,341       1,328,415  

GCC SAB de CV

    254,110       2,390,260  

GrafTech International Ltd.

    144,691       554,166  

Impro Precision Industries Ltd. ~

    1,709,821       578,205  

Ovintiv, Inc.

    25,300       1,203,521  

RHI Magnesita NV

    54,500       1,839,690  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

165

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Westrock Co.

    15,000       $537,000  
   

 

 

 
      11,055,277  
   

 

 

 

Total Common Stocks
(Cost $202,239,687)

      185,724,964  
   

 

 

 

EXCHANGE-TRADED FUNDS - 3.1%

 

iShares MSCI India

    135,700       6,000,654  
   

 

 

 

Total Exchange-Traded Funds
(Cost $6,422,928)

      6,000,654  
   

 

 

 
   

Principal

Amount

       

SHORT-TERM INVESTMENTS - 0.3%

 

 

Repurchase Agreements - 0.3%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of
$656,919; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $669,825)

    $656,649       656,649  
   

 

 

 

Total Short-Term Investments
(Cost $656,649)

      656,649  
   

 

 

 

TOTAL INVESTMENTS - 99.1%
(Cost $209,319,264)

      192,382,267  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.9%

      1,668,139  
   

 

 

 

NET ASSETS - 100.0%

      $194,050,406  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, restricted security was as follows:

 

Issuer and Acquisition
Date
  Cost   Value     Value as a %
of Net Assets
 

Irish Residential Properties REIT PLC Acq 10/20/21

  $2,015,063     $1,124,469       0.6%  

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

166

PACIFIC SELECT FUND

INTERNATIONAL SMALL-CAP PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows::

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Common Stocks            
 

Australia

     $6,939,397        $595,558        $6,343,839        $-  
 

Austria

     4,581,518        1,135,785        3,445,733        -  
 

Belgium

     2,840,174        864,156        1,976,018        -  
 

Brazil

     3,007,694        3,007,694        -        -  
 

Canada

     5,877,690        5,877,690        -        -  
 

Cayman

     368,874        368,874        -        -  
 

China

     5,777,615        1,485,282        4,292,333        -  
 

Denmark

     1,180,532        -        1,180,532        -  
 

Finland

     2,095,765        152,999        1,942,766        -  
 

France

     5,770,201        1,557,921        4,212,280        -  
 

Germany

     8,426,887        1,111,800        7,315,087        -  
 

Greece

     1,718,921        -        1,718,921        -  
 

Hong Kong

     3,227,414        -        3,227,414        -  
 

Hungary

     2,144,214        2,144,214        -        -  
 

Indonesia

     1,907,907        1,907,907        -        -  
 

Ireland

     4,032,408        2,907,939        1,124,469        -  
 

Italy

     2,482,367        -        2,482,367        -  
 

Japan

     40,071,686        -        40,071,686        -  
 

Mexico

     5,446,677        5,446,677        -        -  
 

Netherlands

     2,738,799        1,442,125        1,296,674        -  
 

Norway

     2,525,186        -        2,525,186        -  
 

Peru

     1,148,407        1,148,407        -        -  
 

Philippines

     3,389,394        1,999,957        1,389,437        -  
 

Singapore

     3,201,779        858,144        2,343,635        -  
 

South Korea

     3,670,608        -        3,670,608        -  
 

Spain

     7,882,390        -        7,882,390        -  
 

Sweden

     3,114,486        418,764        2,695,722        -  
 

Taiwan

     6,819,225        -        6,819,225        -  
 

Thailand

     1,072,113        -        1,072,113        -  
 

United Kingdom

     31,209,359        14,787,313        16,422,046        -  
 

United States

     11,055,277        8,637,382        2,417,895        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     185,724,964        57,856,588        127,868,376        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     6,000,654        6,000,654        -        -  
 

Short-Term Investments

     656,649        -        656,649        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $192,382,267        $63,857,242        $128,525,025        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

167

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

PREFERRED STOCKS - 2.3%

 

Brazil - 0.5%

 

Raizen SA

    5,901,400       $4,203,084  
   

 

 

 

Germany - 1.8%

 

Henkel AG & Co. KGaA

    87,215       6,210,534  

Volkswagen AG

    85,183       9,787,473  
   

 

 

 
    15,998,007  
   

 

 

 

Total Preferred Stocks
(Cost $20,936,827)

      20,201,091  
   

 

 

 

COMMON STOCKS - 94.8%

 

Austria - 1.9%

 

ams-OSRAM AG *

    413,884       1,936,492  

Erste Group Bank AG

    240,898       8,319,863  

Mondi PLC

    389,676       6,500,517  
   

 

 

 
    16,756,872  
   

 

 

 

Belgium - 1.2%

 

Ageas SA

    162,066       6,674,915  

Proximus SADP

    485,409       3,944,077  
   

 

 

 
    10,618,992  
   

 

 

 

Brazil - 3.1%

 

Atacadao SA

    1,873,730       3,317,623  

Banco Bradesco SA ADR

    3,020,360       8,608,026  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    402,737       4,889,843  

Telefonica Brasil SA

    822,041       7,061,649  

Ultrapar Participacoes SA

    920,004       3,431,792  
   

 

 

 
    27,308,933  
   

 

 

 

Burkina Faso - 0.3%

 

Endeavour Mining PLC

    130,036       2,548,543  
   

 

 

 

Canada - 1.2%

 

ARC Resources Ltd.

    261,206       4,169,296  

Barrick Gold Corp.

    450,240       6,540,206  
   

 

 

 
    10,709,502  
   

 

 

 

China - 0.8%

 

Alibaba Group Holding Ltd. *

    400,219       4,339,247  

Baidu, Inc. Class A *

    64,557       1,086,538  

Dongfeng Motor Group Co. Ltd. Class H

    5,475,576       2,153,957  
   

 

 

 
    7,579,742  
   

 

 

 

Finland - 1.0%

 

Nokia OYJ (OMXH)

    1,692,236       6,362,929  

Wartsila OYJ Abp

    194,933       2,209,357  
   

 

 

 
    8,572,286  
   

 

 

 

France - 12.0%

 

AXA SA

    467,677       13,875,444  

BNP Paribas SA

    174,846       11,117,806  

Carrefour SA

    432,829       7,433,882  

Cie de Saint-Gobain SA

    161,295       9,653,566  

Dassault Aviation SA

    9,742       1,834,905  

Engie SA

    876,425       13,440,992  

Orange SA

    772,547       8,861,319  
   

Shares

   

Value

 

Renault SA

    154,071       $6,304,041  

Societe Generale SA

    373,680       9,042,160  

TotalEnergies SE

    311,167       20,459,018  

Valeo SE

    293,895       5,043,226  
   

 

 

 
    107,066,359  
   

 

 

 

Germany - 6.2%

 

BASF SE

    173,531       7,854,871  

Ceconomy AG *

    434,924       918,107  

Continental AG

    70,727       4,969,425  

Daimler Truck Holding AG

    272,231       9,425,792  

Evonik Industries AG

    360,533       6,576,188  

Fresenius SE & Co. KGaA

    291,729       9,061,166  

Heidelberg Materials AG

    149,776       11,600,206  

Mercedes-Benz Group AG

    71,629       4,985,144  
   

 

 

 
    55,390,899  
   

 

 

 

Hong Kong - 1.2%

 

CK Asset Holdings Ltd.

    1,145,751       6,018,160  

WH Group Ltd.  ~

    8,430,195       4,412,512  
   

 

 

 
    10,430,672  
   

 

 

 

India - 1.0%

 

Canara Bank

    1,210,661       5,463,946  

Oil & Natural Gas Corp. Ltd.

    1,356,305       3,122,454  
   

 

 

 
    8,586,400  
   

 

 

 

Ireland - 1.4%

 

AIB Group PLC

    1,324,079       5,934,802  

Bank of Ireland Group PLC

    640,349       6,259,803  
   

 

 

 
    12,194,605  
   

 

 

 

Italy - 4.5%

 

BPER Banca

    1,922,919       5,844,673  

Eni SpA

    982,581       15,783,993  

UniCredit SpA

    771,181       18,374,451  
   

 

 

 
    40,003,117  
   

 

 

 

Japan - 22.2%

 

Alfresa Holdings Corp.

    226,550       3,714,353  

Alps Alpine Co. Ltd.

    283,366       2,456,561  

Amada Co. Ltd.

    310,930       3,125,866  

Dai-ichi Life Holdings, Inc.

    414,375       8,554,486  

DeNA Co. Ltd.

    215,491       2,165,028  

Eisai Co. Ltd.

    44,674       2,476,001  

Hakuhodo DY Holdings, Inc.

    322,210       2,646,650  

Hino Motors Ltd. *

    576,768       2,200,115  

Honda Motor Co. Ltd.

    419,350       4,717,558  

Isuzu Motors Ltd.

    542,201       6,816,336  

Japan Airlines Co. Ltd.

    232,217       4,511,784  

JGC Holdings Corp.

    307,050       4,266,322  

Kirin Holdings Co. Ltd.

    494,637       6,925,135  

Kubota Corp.

    405,240       5,961,411  

Makita Corp.

    230,548       5,685,128  

Mitsubishi Estate Co. Ltd.

    508,137       6,629,163  

Mitsubishi Gas Chemical Co., Inc.

    306,920       4,125,314  

Mitsubishi UFJ Financial Group, Inc.

    1,027,523       8,707,390  

MS&AD Insurance Group Holdings, Inc.

    261,805       9,580,570  

Nikon Corp.

    286,292       3,015,197  

Nippon Television Holdings, Inc.

    267,327       2,702,985  

Nissan Motor Co. Ltd.

    1,951,628       8,613,007  

Nomura Holdings, Inc.

    959,475       3,842,149  

Ono Pharmaceutical Co. Ltd.

    299,630       5,746,414  

Resona Holdings, Inc.

    1,213,555       6,709,964  

Stanley Electric Co. Ltd.

    229,406       3,622,568  

Subaru Corp.

    305,978       5,949,581  

Sumitomo Electric Industries Ltd.

    577,903       6,961,949  

Sumitomo Heavy Industries Ltd.

    146,361       3,706,317  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

168

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Sumitomo Mitsui Trust Holdings, Inc.

    261,267       $9,835,926  

Sumitomo Rubber Industries Ltd.

    339,757       3,751,297  

T&D Holdings, Inc.

    772,306       12,700,571  

Taiheiyo Cement Corp.

    137,721       2,440,398  

Takeda Pharmaceutical Co. Ltd.

    234,818       7,278,536  

THK Co. Ltd.

    246,909       4,507,126  

Tsuruha Holdings, Inc.

    63,426       4,260,351  

Yamato Holdings Co. Ltd.

    432,877       7,045,603  
   

 

 

 
    197,955,110  
   

 

 

 

Luxembourg - 0.3%

 

RTL Group SA *

    83,740       2,871,552  
   

 

 

 

Malaysia - 0.4%

 

CIMB Group Holdings Bhd

    3,395,998       3,923,193  
   

 

 

 

Mexico - 0.3%

 

Fresnillo PLC

    365,385       2,449,575  
   

 

 

 

Netherlands - 7.3%

 

ABN AMRO Bank NV GDR ~

    624,826       8,830,387  

ING Groep NV

    656,461       8,652,200  

Koninklijke Philips NV *

    523,147       10,437,958  

NN Group NV

    222,134       7,121,211  

Shell PLC

    919,949       29,157,063  

VEON Ltd. ADR *

    60,476       1,179,282  
   

 

 

 
    65,378,101  
   

 

 

 

Norway - 0.1%

 

Norsk Hydro ASA

    166,171       1,039,871  
   

 

 

 

Russia - 0.0%

 

Gazprom PJSC * W ±

    340,336       -  

Gazprom PJSC ADR (OTC) * W ±

    143,066       -  

LUKOIL PJSC ADR (OTC) * W ±

    24,064       -  

Mobile TeleSystems PJSC ADR * W ±

    327,186       1  

Sberbank of Russia PJSC * W ±

    927,996       -  
   

 

 

 
    1  
   

 

 

 

South Africa - 1.4%

 

Anglo American PLC

    199,394       5,475,278  

MTN Group Ltd.

    483,587       2,882,303  

Old Mutual Ltd.

    6,004,985       3,824,922  
   

 

 

 
    12,182,503  
   

 

 

 

South Korea - 4.7%

 

Coway Co. Ltd.

    92,556       2,825,595  

Hankook Tire & Technology Co. Ltd.

    128,508       3,758,991  

Hyundai Mobis Co. Ltd.

    46,701       8,311,768  

KB Financial Group, Inc.

    253,101       10,323,201  

KT Corp. ADR

    583,730       7,483,419  

Shinhan Financial Group Co. Ltd.

    367,636       9,675,508  
   

 

 

 
    42,378,482  
   

 

 

 

Spain - 0.2%

 

CaixaBank SA (SIBE)

    544,511       2,169,327  
   

 

 

 

Sweden - 1.8%

 

SKF AB Class B

    588,712       9,773,526  

Telefonaktiebolaget LM Ericsson Class B

    1,346,402       6,559,346  
   

 

 

 
    16,332,872  
   

 

 

 
   

Shares

   

Value

 

Switzerland - 5.5%

 

Adecco Group AG

    199,161       $8,180,162  

Novartis AG

    198,176       20,239,444  

Swatch Group AG

    29,409       7,532,290  

UBS Group AG (XVTX)

    530,207       13,060,159  
   

 

 

 
    49,012,055  
   

 

 

 

Taiwan - 1.0%

 

Catcher Technology Co. Ltd.

    743,139       4,205,723  

Hon Hai Precision Industry Co. Ltd.

    1,429,362       4,607,169  
   

 

 

 
    8,812,892  
   

 

 

 

Thailand - 0.9%

 

Kasikornbank PCL

    2,355,235       8,135,439  

Kasikornbank PCL NVDR

    112,245       387,426  
   

 

 

 
    8,522,865  
   

 

 

 

United Kingdom - 10.4%

 

Babcock International Group PLC *

    637,190       3,202,489  

BP PLC

    2,819,282       18,172,906  

British American Tobacco PLC

    499,780       15,692,432  

British Land Co. PLC REIT

    685,134       2,638,898  

BT Group PLC

    4,144,451       5,885,373  

CK Hutchison Holdings Ltd.

    1,212,767       6,438,685  

easyJet PLC *

    1,139,408       5,905,936  

J Sainsbury PLC

    1,066,179       3,283,326  

Kingfisher PLC

    1,943,517       5,275,893  

Land Securities Group PLC REIT

    470,599       3,373,266  

Standard Chartered PLC

    1,532,243       14,092,848  

WPP PLC

    1,057,937       9,425,490  
   

 

 

 
    93,387,542  
   

 

 

 

United States - 2.5%

 

GSK PLC

    934,261       16,904,325  

Toppan Holdings, Inc. *

    91,338       5,846,445  
   

 

 

 
    22,750,770  
   

 

 

 

Total Common Stocks
(Cost $805,228,522)

      846,933,633  
   

 

 

 

EXCHANGE-TRADED FUNDS - 0.4%

 

iShares Core MSCI EAFE

    55,269       3,556,560  
   

 

 

 

Total Exchange-Traded Funds
(Cost $3,669,641)

      3,556,560  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

169

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

SHORT-TERM INVESTMENTS - 1.5%

 

 

Repurchase Agreements - 1.5%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $13,732,102; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $14,001,055)

    $13,726,439       $13,726,439  
   

 

 

 

Total Short-Term Investments
(Cost $13,726,439)

      13,726,439  
   

 

 

 

TOTAL INVESTMENTS - 99.0%
(Cost $843,561,429)

      884,417,723  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.0%

      8,896,845  
   

 

 

 

NET ASSETS - 100.0%

      $893,314,568  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

170

PACIFIC SELECT FUND

INTERNATIONAL VALUE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Preferred Stocks            
 

Brazil

     $4,203,084        $4,203,084        $-          $-    
 

Germany

     15,998,007        -          15,998,007        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Preferred Stocks

     20,201,091        4,203,084        15,998,007        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Austria

     16,756,872        -          16,756,872        -    
 

Belgium

     10,618,992        -          10,618,992        -    
 

Brazil

     27,308,933        27,308,933        -          -    
 

Burkina Faso

     2,548,543        2,548,543        -          -    
 

Canada

     10,709,502        10,709,502        -          -    
 

China

     7,579,742        -          7,579,742        -    
 

Finland

     8,572,286        -          8,572,286        -    
 

France

     107,066,359        -          107,066,359        -    
 

Germany

     55,390,899        -          55,390,899        -    
 

Hong Kong

     10,430,672        -          10,430,672        -    
 

India

     8,586,400        -          8,586,400        -    
 

Ireland

     12,194,605        -          12,194,605        -    
 

Italy

     40,003,117        -          40,003,117        -    
 

Japan

     197,955,110        -          197,955,110        -    
 

Luxembourg

     2,871,552        -          2,871,552        -    
 

Malaysia

     3,923,193        -          3,923,193        -    
 

Mexico

     2,449,575        -          2,449,575        -    
 

Netherlands

     65,378,101        1,179,282        64,198,819        -    
 

Norway

     1,039,871        -          1,039,871        -    
 

Russia

     1        -          -          1  
 

South Africa

     12,182,503        6,707,225        5,475,278        -    
 

South Korea

     42,378,482        7,483,419        34,895,063        -    
 

Spain

     2,169,327        -          2,169,327        -    
 

Sweden

     16,332,872        -          16,332,872        -    
 

Switzerland

     49,012,055        -          49,012,055        -    
 

Taiwan

     8,812,892        -          8,812,892        -    
 

Thailand

     8,522,865        -          8,522,865        -    
 

United Kingdom

     93,387,542        -          93,387,542        -    
 

United States

     22,750,770        -          22,750,770        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     846,933,633        55,936,904        790,996,728        1  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     3,556,560        3,556,560        -          -    
 

Short-Term Investments

     13,726,439        -          13,726,439        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $884,417,723        $63,696,548        $820,721,174        $1  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

171

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 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 06/08/26 *

    3,646       729  

Nuvation Bio, Inc. Exercise @ $ 11.50 Exp 07/07/27 *

    3,472       347  
   

 

 

 
    1,076  
 

 

 

 

Total Warrants
(Cost $16,587)

      1,076  
   

 

 

 

COMMON STOCKS - 96.0%

 

Consumer, Non-Cyclical - 95.3%

 

10X Genomics, Inc. Class A *

    6,962       287,182  

Abbott Laboratories

    76,683       7,426,749  

AbbVie, Inc.

    80,278       11,966,239  

Abcam PLC ADR * (United Kingdom)

    50,206       1,136,162  

Alcon, Inc. (Switzerland)

    66,038       5,088,888  

Align Technology, Inc. *

    6,098       1,861,841  

Alkermes PLC *

    23,442       656,610  

Alnylam Pharmaceuticals, Inc. *

    11,190       1,981,749  

Amgen, Inc.

    52,406       14,084,637  

Argenx SE ADR * (Netherlands)

    10,801       5,310,096  

AstraZeneca PLC (United Kingdom)

    17,082       2,304,095  

Avantor, Inc. *

    60,700       1,279,556  

Baxter International, Inc.

    78,556       2,964,703  

Becton Dickinson & Co.

    26,542       6,861,903  

BeiGene Ltd. ADR * (China)

    4,586       824,884  

Bio-Techne Corp.

    7,481       509,232  

Biogen, Inc. *

    27,715       7,123,032  

BioMarin Pharmaceutical, Inc. *

    30,603       2,707,753  

Biomea Fusion, Inc. *

    6,443       88,656  

Blueprint Medicines Corp. *

    18,950       951,669  

Boston Scientific Corp. *

    305,146       16,111,709  

Bristol-Myers Squibb Co.

    29,149       1,691,808  

Catalent, Inc. *

    14,327       652,308  

Cencora, Inc.

    42,098       7,576,377  

Centene Corp. *

    36,016       2,480,782  

Cerevel Therapeutics Holdings, Inc. *

    14,812       323,346  

Cigna Group

    20,882       5,973,714  

Cooper Cos., Inc.

    9,373       2,980,708  

CureVac NV * (Germany)

    14,720       100,538  

Daiichi Sankyo Co. Ltd. (Japan)

    23,900       654,317  

Danaher Corp.

    39,327       9,757,029  

Dexcom, Inc. *

    19,757       1,843,328  

Edwards Lifesciences Corp. *

    21,613       1,497,349  

Elanco Animal Health, Inc. *

    66,277       744,953  

Elevance Health, Inc.

    13,817       6,016,198  

Eli Lilly & Co.

    63,970       34,360,206  

Envista Holdings Corp. *

    15,284       426,118  

Exact Sciences Corp. *

    13,295       906,985  

Frequency Therapeutics, Inc. *

    19,740       7,227  

GE HealthCare Technologies, Inc. *

    28,921       1,967,785  

Genmab AS * (Denmark)

    2,011       711,996  

Genmab AS ADR * (Denmark)

    13,702       483,270  

Gilead Sciences, Inc.

    128,941       9,662,839  

Glaukos Corp. *

    3,661       275,490  
   

Shares

   

Value

 

Guardant Health, Inc. *

    10,371       $307,396  

HCA Healthcare, Inc.

    14,924       3,671,005  

Hologic, Inc. *

    7,972       553,257  

Horizon Therapeutics PLC *

    5,457       631,320  

Humana, Inc.

    10,596       5,155,166  

IDEXX Laboratories, Inc. *

    5,164       2,258,062  

Illumina, Inc. *

    5,620       771,514  

Immuneering Corp. Class A *

    11,507       88,374  

Immunocore Holdings PLC ADR *
(United Kingdom)

    8,586       445,613  

ImmunoGen, Inc. *

    12,741       202,200  

Incyte Corp. *

    18,956       1,095,088  

Inspire Medical Systems, Inc. *

    3,972       788,204  

Intuitive Surgical, Inc. *

    42,960       12,556,778  

Ionis Pharmaceuticals, Inc. *

    19,677       892,549  

IQVIA Holdings, Inc. *

    11,591       2,280,529  

Johnson & Johnson

    48,080       7,488,460  

Karuna Therapeutics, Inc. *

    1,805       305,207  

Legend Biotech Corp. ADR  *

    22,053       1,481,300  

Masimo Corp. *

    10,387       910,732  

McKesson Corp.

    17,509       7,613,789  

Medtronic PLC

    73,689       5,774,270  

Merck & Co., Inc.

    149,205       15,360,655  

Merus NV * (Netherlands)

    16,047       378,388  

Mirati Therapeutics, Inc. *

    10,819       471,276  

Moderna, Inc. *

    24,369       2,517,074  

Monte Rosa Therapeutics, Inc. *

    22,869       109,542  

MoonLake Immunotherapeutics *

    12,461       710,277  

Morphic Holding, Inc. *

    5,314       121,744  

Nautilus Biotechnology, Inc. SPAC *

    13,880       43,861  

Neurocrine Biosciences, Inc. *

    6,698       753,525  

Novo Nordisk AS Class B (Denmark)

    44,642       4,064,707  

Novocure Ltd. *

    20,133       325,148  

Nuvalent, Inc. Class A *

    9,541       438,600  

Omnicell, Inc. *

    3,687       166,062  

Orchestra BioMed Holdings, Inc. *

    12,419       108,294  

Penumbra, Inc. *

    13,520       3,270,623  

Pfizer, Inc.

    194,201       6,441,647  

PMV Pharmaceuticals, Inc. *

    14,248       87,483  

Prime Medicine, Inc. *

    16,502       157,429  

Protagonist Therapeutics, Inc. *

    19,124       318,988  

Prothena Corp. PLC * (Ireland)

    4,585       221,226  

PTC Therapeutics, Inc. *

    13,615       305,112  

QIAGEN NV *

    22,798       923,319  

Quest Diagnostics, Inc.

    19,745       2,406,126  

Rapid Micro Biosystems, Inc. Class A *

    16,316       17,621  

Regeneron Pharmaceuticals, Inc. *

    6,305       5,188,763  

Repligen Corp. *

    5,582       887,594  

REVOLUTION Medicines, Inc. *

    18,765       519,415  

Rhythm Pharmaceuticals, Inc. *

    35,833       821,471  

Rocket Pharmaceuticals, Inc. *

    12,602       258,215  

Sanofi

    18,405       1,976,241  

Sarepta Therapeutics, Inc. *

    25,022       3,033,167  

Seagen, Inc. *

    16,178       3,432,163  

STERIS PLC

    6,869       1,507,196  

Structure Therapeutics, Inc. ADR *

    9,293       468,553  

Stryker Corp.

    28,258       7,722,064  

Tenaya Therapeutics, Inc. *

    19,591       49,957  

Thermo Fisher Scientific, Inc.

    22,289       11,282,023  

Ultragenyx Pharmaceutical, Inc. *

    4,734       168,767  

UnitedHealth Group, Inc.

    62,300       31,411,037  

Vaxcyte, Inc. *

    8,315       423,899  

Vertex Pharmaceuticals, Inc. *

    34,199       11,892,360  

Viking Therapeutics, Inc. *

    11,921       131,965  

West Pharmaceutical Services, Inc.

    10,860       4,074,781  

Zoetis, Inc.

    24,166       4,204,401  
   

 

 

 
    367,065,588  
 

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

172

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Industrial - 0.7%

 

Agilent Technologies, Inc.

    16,139       $1,804,663  

Mettler-Toledo International, Inc. *

    610       675,923  
   

 

 

 
      2,480,586  
   

 

 

 

Total Common Stocks
(Cost $327,461,745)

      369,546,174  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 3.6%

 

 

Repurchase Agreements - 3.6%

 

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $13,996,846; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $14,270,899)

    $13,991,074       13,991,074  
   

 

 

 

Total Short-Term Investments
(Cost $13,991,074)

      13,991,074  
   

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $341,480,711)

      383,569,246  
   

 

 

 

DERIVATIVES - 0.1%

      167,156  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

      1,269,340  
   

 

 

 

NET ASSETS - 100.0%

      $385,005,742  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

173

PACIFIC SELECT FUND

HEALTH SCIENCES PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, an investment with a value of $30,922 or less than 0.1% of the Fund’s net assets was determined by a valuation committee established under the Valuation Policy.

 

(b)

As of September 30, 2023, forward foreign currency contracts outstanding were as follows:

 

Currency
Purchased
          Currency
Sold
          Settlement
Month
         Counterparty          Unrealized
Appreciation
     Unrealized
Depreciation
 
USD      3,364,415        EUR      3,123,000          12/23         HSB       $ 51,813      $ -    
USD      4,274,313        EUR      3,967,300          12/23         JPM         66,153        -    
USD      2,248,715        GBP      1,801,900          12/23         UBS         49,190        -    
                       

 

 

    

 

 

 

Total Forward Foreign Currency Contracts

 

        $ 167,156      $ -    
                       

 

 

    

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

     $30,922        $-        $-        $30,922  
 

Warrants

     1,076        1,076        -        -  
 

Common Stocks

           
 

Consumer, Non-Cyclical

     367,065,588        357,354,232        9,711,356        -  
 

Industrial

     2,480,586        2,480,586        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     369,546,174        359,834,818        9,711,356        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     13,991,074        -        13,991,074        -  
 

Derivatives:

           
 

Foreign Currency Contracts

           
 

Forward Foreign Currency Contracts

     167,156        -        167,156        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $383,736,402        $359,835,894        $23,869,586        $30,922  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

174

PACIFIC SELECT FUND

REAL ESTATE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 99.2%

 

Consumer, Cyclical - 0.8%

 

Marriott Vacations Worldwide Corp.

    26,999       $2,716,909  
   

 

 

 

Financial - 98.4%

 

Agree Realty Corp. REIT

    65,791       3,634,295  

Alexandria Real Estate Equities, Inc. REIT

    95,635       9,573,063  

American Homes 4 Rent Class A REIT

    348,998       11,757,743  

American Tower Corp. REIT

    68,761       11,307,746  

Apartment Income REIT Corp.

    178,186       5,470,310  

Apple Hospitality REIT, Inc.

    206,986       3,175,165  

AvalonBay Communities, Inc. REIT

    92,971       15,966,840  

Boston Properties, Inc. REIT

    39,365       2,341,430  

Broadstone Net Lease, Inc. REIT

    294,924       4,217,413  

Cousins Properties, Inc. REIT

    180,556       3,677,926  

CubeSmart REIT

    57,535       2,193,810  

DiamondRock Hospitality Co. REIT

    257,659       2,069,002  

Digital Realty Trust, Inc. REIT

    113,977       13,793,497  

Equinix, Inc. REIT

    26,195       19,024,381  

Equity LifeStyle Properties, Inc. REIT

    82,464       5,253,781  

Equity Residential REIT

    47,882       2,811,152  

Essex Property Trust, Inc. REIT

    55,193       11,705,883  

Extra Space Storage, Inc. REIT

    119,952       14,583,764  

First Industrial Realty Trust, Inc. REIT

    126,198       6,005,763  

Gaming & Leisure Properties, Inc. REIT

    162,782       7,414,720  

Healthcare Realty Trust, Inc. REIT

    196,458       2,999,914  

InvenTrust Properties Corp. REIT

    74,860       1,782,417  

Invitation Homes, Inc. REIT

    385,806       12,226,192  

Kilroy Realty Corp. REIT

    113,041       3,573,226  

National Health Investors, Inc. REIT

    52,082       2,674,932  

NETSTREIT Corp. REIT

    119,771       1,866,032  

Prologis, Inc. REIT

    207,759       23,312,637  

Public Storage REIT

    25,499       6,719,496  

Regency Centers Corp. REIT

    178,222       10,593,516  

Rexford Industrial Realty, Inc. REIT

    216,539       10,686,200  

Sabra Health Care REIT, Inc.

    413,692       5,766,866  

Simon Property Group, Inc. REIT

    41,321       4,463,908  

Sun Communities, Inc. REIT

    95,377       11,286,914  

Terreno Realty Corp. REIT

    96,941       5,506,249  

Ventas, Inc. REIT

    403,178       16,985,889  

VICI Properties, Inc. REIT

    498,181       14,497,067  

Welltower, Inc. REIT

    251,530       20,605,338  
   

 

 

 
    311,524,477  
 

 

 

 

Total Common Stocks
(Cost $348,007,297)

      314,241,386  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 0.4%

 

 

Repurchase Agreements - 0.4%

 

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $1,125,625; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $1,147,674)

    $1,125,160       $1,125,160  
   

 

 

 

Total Short-Term Investments
(Cost $1,125,160)

      1,125,160  
   

 

 

 

TOTAL INVESTMENTS - 99.6%
(Cost $349,132,457)

      315,366,546  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.4%

      1,187,760  
   

 

 

 

NET ASSETS - 100.0%

      $316,554,306  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

175

PACIFIC SELECT FUND

REAL ESTATE PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $314,241,386        $314,241,386        $-          $-    
 

Short-Term Investments

     1,125,160        -          1,125,160        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $315,366,546        $314,241,386        $1,125,160        $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

176

PACIFIC SELECT FUND

TECHNOLOGY PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

WARRANTS - 0.0%

   

Technology - 0.0%

   

Constellation Software, Inc. Exercise @ $ 1.00 Exp 03/31/40*

    1,808       $-    
   

 

 

 

Total Warrants
(Cost $0)

      -    
   

 

 

 

COMMON STOCKS - 98.9%

 

Communications - 26.0%

 

Alphabet, Inc. Class A *

    204,477       26,757,860  

Amazon.com, Inc. *

    19,697       2,503,883  

Arista Networks, Inc. *

    12,314       2,264,914  

Booking Holdings, Inc. *

    1,751       5,399,996  

FactSet Research Systems, Inc.

    4,470       1,954,552  

Meta Platforms, Inc. Class A *

    53,089       15,937,849  

Palo Alto Networks, Inc. *

    23,565       5,524,579  

Pinterest, Inc. Class A *

    97,299       2,629,992  

Shopify, Inc. Class A * (Canada)

    80,594       4,398,014  
   

 

 

 
      67,371,639  
   

 

 

 

Consumer, Cyclical - 0.7%

 

Mobileye Global, Inc. Class A * (Israel)

    43,099       1,790,764  
   

 

 

 

Consumer, Non-Cyclical - 5.7%

   

Dun & Bradstreet Holdings, Inc.

    106,501       1,063,945  

Equifax, Inc.

    5,897       1,080,213  

FleetCor Technologies, Inc. *

    5,545       1,415,860  

Gartner, Inc. *

    10,433       3,584,883  

PayPal Holdings, Inc. *

    15,114       883,564  

S&P Global, Inc.

    4,528       1,654,577  

Verisk Analytics, Inc.

    13,345       3,152,623  

WEX, Inc. *

    10,413       1,958,581  
   

 

 

 
      14,794,246  
   

 

 

 

Financial - 3.5%

 

Aon PLC Class A

    9,037       2,929,976  

Arthur J Gallagher & Co.

    21,179       4,827,330  

Mastercard, Inc. Class A

    3,151       1,247,512  
   

 

 

 
      9,004,818  
   

 

 

 

Industrial - 3.2%

 

Amphenol Corp. Class A

    42,108       3,536,651  

Hitachi Ltd. (Japan)

    77,400       4,797,061  
   

 

 

 
      8,333,712  
   

 

 

 

Technology - 59.8%

 

Accenture PLC Class A

    25,482       7,825,777  

Adobe, Inc. *

    9,179       4,680,372  

Advanced Micro Devices, Inc. *

    47,049       4,837,578  

Broadcom, Inc.

    13,002       10,799,201  

Cadence Design Systems, Inc. *

    22,563       5,286,511  

Constellation Software, Inc. (Canada)

    1,827       3,771,792  

Descartes Systems Group, Inc. * (Canada)

    31,288       2,296,411  

HubSpot, Inc. *

    6,675       3,287,438  

Intel Corp.

    41,786       1,485,492  

Intuit, Inc.

    13,258       6,774,043  

KLA Corp.

    7,314       3,354,639  

Lam Research Corp.

    3,923       2,458,819  

Marvell Technology, Inc.

    75,995       4,113,609  

Microsoft Corp.

    103,003       32,523,197  

MSCI, Inc.

    3,383       1,735,750  

NVIDIA Corp.

    59,991       26,095,485  

Oracle Corp.

    53,770       5,695,318  

Salesforce, Inc. *

    36,850       7,472,443  

ServiceNow, Inc. *

    16,238       9,076,392  

Synopsys, Inc. *

    6,006       2,756,574  

Take-Two Interactive Software, Inc. *

    19,305       2,710,229  

Topicus.com, Inc. * (Netherlands)

    18,506       1,222,425  

Tyler Technologies, Inc. *

    5,427       2,095,582  
   

Shares

   

Value

 

VMware, Inc. Class A *

    14,730       $2,452,250  
   

 

 

 
      154,807,327  
   

 

 

 

Total Common Stocks
(Cost $207,273,503)

      256,102,506  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 1.1%

 

U.S. Government Agency Issues - 1.1%

 

Federal Home Loan Bank
0.000% due 10/02/23

    $2,874,000       2,874,000  
   

 

 

 

Total Short-Term Investments
(Cost $2,873,585)

      2,874,000  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $210,147,088)

      258,976,506  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (14,985
   

 

 

 

NET ASSETS - 100.0%

      $258,961,521  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

177

PACIFIC SELECT FUND

TECHNOLOGY PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

  Common Stocks            
 

Communications

     $67,371,639        $67,371,639        $-          $-    
 

Consumer, Cyclical

     1,790,764        1,790,764        -          -    
 

Consumer, Non-Cyclical

     14,794,246        14,794,246        -          -    
 

Financial

     9,004,818        9,004,818        -          -    
 

Industrial

     8,333,712        3,536,651        4,797,061        -    
 

Technology

     154,807,327        154,807,327        -          -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     256,102,506        251,305,445        4,797,061        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
  Short-Term Investments      2,874,000        -          2,874,000        -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $258,976,506        $251,305,445        $7,671,061        $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

178

PACIFIC SELECT FUND

ESG DIVERSIFIED PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

MUTUAL FUNDS - 100.2%

 

Aristotle ESG Core Bond Fund Class I

    500,939       $4,107,702  

BlackRock Advantage ESG Emerging Markets Equity Fund Class K

    71,093       559,502  

Calvert Green Bond Fund Class R6

    308,768       4,137,492  

Calvert High Yield Bond Fund Class R6

    43,751       1,008,462  

Calvert Small Cap Fund Class R6

    27,425       823,836  

Calvert US Mid Cap Core Responsible Index Fund Class R6

    50,238       1,682,957  

Fidelity International Sustainability Index Fund Institutional

    297,150       3,241,911  

Fidelity US Sustainability Index Fund Institutional

    566,398       10,852,187  

PIMCO Low Duration ESG Fund Institutional

    214,040       1,883,550  
   

 

 

 

Total Mutual Funds
(Cost $28,976,315)

      28,297,599  
   

 

 

 

TOTAL INVESTMENTS - 100.2%
(Cost $28,976,315)

      28,297,599  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.2%)

 

    (42,545
   

 

 

 

NET ASSETS - 100.0%

      $28,255,054  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Mutual Funds

     $28,297,599        $28,297,599        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

179

PACIFIC SELECT FUND

ESG DIVERSIFIED GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

MUTUAL FUNDS - 100.2%

 

Aristotle ESG Core Bond Fund Class I

    112,422       $921,859  

BlackRock Advantage ESG Emerging Markets Equity Fund Class K

    57,839       455,195  

Calvert Green Bond Fund Class R6

    69,316       928,832  

Calvert High Yield Bond Fund Class R6

    23,245       535,795  

Calvert Small Cap Fund Class R6

    21,243       638,154  

Calvert US Mid Cap Core Responsible Index Fund Class R6

    27,252       912,938  

Fidelity International Sustainability Index Fund Institutional

    198,253       2,162,938  

Fidelity US Sustainability Index Fund Institutional

    290,870       5,573,066  

PIMCO Low Duration ESG Fund Institutional

    114,807       1,010,302  
   

 

 

 

Total Mutual Funds
(Cost $13,335,291)

      13,139,079  
   

 

 

 

TOTAL INVESTMENTS - 100.2%
(Cost $13,335,291)

      13,139,079  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.2%)

 

    (26,418
   

 

 

 

NET ASSETS - 100.0%

      $13,112,661  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
    

Level 2

Significant
Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Mutual Funds

     $13,139,079        $13,139,079        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

180

PACIFIC SELECT FUND

PSF AVANTIS BALANCED ALLOCATION PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

EXCHANGE-TRADED FUNDS - 78.6%

 

American Century Diversified Corporate Bond  *

    432,286       $19,233,182  

Avantis Core Fixed Income *

    1,243,393       49,275,664  

Avantis Emerging Markets Equity *

    150,416       7,940,461  

Avantis International Equity *

    657,592       36,594,995  

Avantis Real Estate *

    80,745       3,033,590  

Avantis Short-Term Fixed Income *

    391,148       17,808,851  

Avantis US Equity *

    1,464,515       107,290,369  

Avantis US Small Cap Value *

    81,361       6,342,090  
   

 

 

 
    247,519,202  
   

 

 

 

Total Exchange-Traded Funds
(Cost $237,560,794)

      247,519,202  
   

 

 

 

MUTUAL FUNDS - 21.4%

 

American Century Diversified Bond Fund Class I *

    3,674,963       32,413,177  

American Century Short Duration Bond Fund Class I *

    496,406       4,770,461  

American Century Small Cap Growth Fund Class I *

    337,735       5,967,785  

American Century Ultra Fund Class I *

    328,016       24,027,203  
   

 

 

 

Total Mutual Funds
(Cost $69,634,916)

      67,178,626  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $307,195,710)

      314,697,828  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    51,758  
   

 

 

 

NET ASSETS - 100.0%

      $314,749,586  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
    

Level 2

Significant
Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Exchange-Traded Funds

     $247,519,202        $247,519,202        $-          $-    
 

Mutual Funds

     67,178,626        67,178,626        -          -    
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $314,697,828        $314,697,828        $-          $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

181

PACIFIC SELECT FUND

PACIFIC DYNAMIX - CONSERVATIVE GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

PD 1-3 Year Corporate Bond Portfolio Class P *

    4,015,647       $45,010,865  

PD Aggregate Bond Index Portfolio Class P *

    18,573,739       222,057,720  

PD High Yield Bond Market Portfolio Class P *

    1,106,612       19,868,939  

PD Large-Cap Growth Index Portfolio Class P *

    820,449       59,569,364  

PD Large-Cap Value Index Portfolio Class P *

    1,534,334       62,429,233  

PD Mid-Cap Index Portfolio Class P *

    1,819,821       21,439,981  

PD Small-Cap Growth Index Portfolio Class P *

    64,366       2,347,225  

PD Small-Cap Value Index Portfolio Class P *

    154,056       4,741,333  

PD Emerging Markets Index Portfolio Class P *

    437,287       7,185,153  

PD International Large-Cap Index Portfolio Class P *

    1,770,221       40,817,243  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $470,324,530)

      485,467,056  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $470,324,530)

      485,467,056  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (193,733
   

 

 

 

NET ASSETS - 100.0%

      $485,273,323  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $485,467,056        $485,467,056        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

182

PACIFIC SELECT FUND

PACIFIC DYNAMIX - MODERATE GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

PD 1-3 Year Corporate Bond Portfolio Class P *

    14,194,208       $159,101,023  

PD Aggregate Bond Index Portfolio Class P *

    57,939,055       692,688,464  

PD High Yield Bond Market Portfolio Class P *

    4,738,986       85,087,307  

PD Large-Cap Growth Index Portfolio Class P *

    6,263,844       454,791,247  

PD Large-Cap Value Index Portfolio Class P *

    10,975,286       446,564,260  

PD Mid-Cap Index Portfolio Class P *

    12,864,882       151,565,927  

PD Small-Cap Growth Index Portfolio Class P *

    630,017       22,974,781  

PD Small-Cap Value Index Portfolio Class P *

    1,130,971       34,807,547  

PD Emerging Markets Index Portfolio Class P *

    2,853,620       46,888,429  

PD International Large-Cap Index Portfolio Class P *

    11,722,031       270,283,150  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $2,118,803,779)

      2,364,752,135  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $2,118,803,779)

      2,364,752,135  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (888,719
   

 

 

 

NET ASSETS - 100.0%

      $2,363,863,416  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $2,364,752,135        $2,364,752,135        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

183

PACIFIC SELECT FUND

PACIFIC DYNAMIX - GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    
Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

   

PD 1-3 Year Corporate Bond Portfolio Class P *

    11,666,439       $130,767,584  

PD Aggregate Bond Index Portfolio Class P *

    21,349,034       255,237,669  

PD High Yield Bond Market Portfolio Class P *

    4,650,249       83,494,052  

PD Large-Cap Growth Index Portfolio Class P *

    5,149,055       373,851,119  

PD Large-Cap Value Index Portfolio Class P *

    9,699,928       394,672,292  

PD Mid-Cap Index Portfolio Class P *

    11,330,871       133,493,178  

PD Small-Cap Growth Index Portfolio Class P *

    961,889       35,077,135  

PD Small-Cap Value Index Portfolio Class P *

    1,151,098       35,427,004  

PD Emerging Markets Index Portfolio Class P *

    3,811,876       62,633,741  

PD International Large-Cap Index Portfolio Class P *

    12,837,346       295,999,749  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,693,418,677)

      1,800,653,523  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,693,418,677)

      1,800,653,523  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (644,386
   

 

 

 

NET ASSETS - 100.0%

      $1,800,009,137  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,800,653,523        $1,800,653,523        $-          $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

184

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION CONSERVATIVE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    
Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

   

Core Income Portfolio Class P *

    7,998,849       $91,284,180  

Diversified Bond Portfolio Class P *

    11,698,725       150,797,560  

Floating Rate Income Portfolio Class P *

    718,820       10,995,102  

High Yield Bond Portfolio Class P *

    3,667,136       37,795,594  

Inflation Managed Portfolio Class P *

    2,430,490       32,136,327  

Intermediate Bond Portfolio Class P *

    15,658,925       135,522,738  

Managed Bond Portfolio Class P *

    12,001,076       168,789,571  

Short Duration Bond Portfolio Class P *

    12,969,300       141,831,913  

Emerging Markets Debt Portfolio Class P *

    2,711,033       31,850,562  

Equity Index Portfolio Class P *

    81,909       9,374,936  

Focused Growth Portfolio Class P *

    321,190       16,490,402  

Growth Portfolio Class P *

    283,966       16,605,581  

Large-Cap Core Portfolio Class P *

    419,513       29,116,732  

Large-Cap Growth Portfolio Class P *

    870,542       20,203,193  

Large-Cap Value Portfolio Class P *

    526,864       19,494,064  

Mid-Cap Equity Portfolio Class P *

    290,780       10,472,685  

Mid-Cap Growth Portfolio Class P *

    793,671       20,431,989  

Mid-Cap Value Portfolio Class P *

    398,141       15,752,726  

Small-Cap Equity Portfolio Class P *

    75,025       2,588,445  

Small-Cap Value Portfolio Class P *

    85,837       2,581,075  

Value Portfolio Class P *

    997,915       21,498,064  

Value Advantage Portfolio Class P *

    777,916       18,401,408  

Emerging Markets Portfolio Class P *

    584,195       10,309,425  

International Growth Portfolio Class P *

    2,742,131       21,977,525  

International Large-Cap Portfolio Class P *

    533,840       7,172,688  

International Value Portfolio Class P *

    993,857       17,616,747  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,104,147,936)

      1,061,091,232  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,104,147,936)

      1,061,091,232  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (392,847
   

 

 

 

NET ASSETS - 100.0%

      $1,060,698,385  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,061,091,232        $1,061,091,232        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

185

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION MODERATE-CONSERVATIVE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

   

Core Income Portfolio Class P *

    9,627,986       $109,876,170  

Diversified Bond Portfolio Class P *

    14,148,883       182,380,310  

Floating Rate Income Portfolio Class P *

    517,329       7,913,087  

High Yield Bond Portfolio Class P *

    3,770,261       38,858,455  

Inflation Managed Portfolio Class P *

    1,749,172       23,127,829  

Intermediate Bond Portfolio Class P *

    18,900,555       163,577,956  

Managed Bond Portfolio Class P *

    14,276,718       200,795,409  

Short Duration Bond Portfolio Class P *

    14,359,692       157,037,202  

Emerging Markets Debt Portfolio Class P *

    1,951,057       22,921,982  

Dividend Growth Portfolio Class P *

    539,019       20,280,362  

Equity Index Portfolio Class P *

    255,443       29,236,909  

Focused Growth Portfolio Class P *

    635,677       32,636,660  

Growth Portfolio Class P *

    613,102       35,852,608  

Large-Cap Core Portfolio Class P *

    927,316       64,361,363  

Large-Cap Growth Portfolio Class P *

    2,634,581       61,142,340  

Large-Cap Value Portfolio Class P *

    1,352,736       50,051,468  

Mid-Cap Equity Portfolio Class P *

    418,537       15,073,978  

Mid-Cap Growth Portfolio Class P *

    856,778       22,056,598  

Mid-Cap Value Portfolio Class P *

    573,065       22,673,736  

Small-Cap Equity Portfolio Class P *

    172,775       5,960,944  

Small-Cap Growth Portfolio Class P *

    179,879       5,189,962  

Small-Cap Index Portfolio Class P *

    178,089       5,183,109  

Small-Cap Value Portfolio Class P *

    197,674       5,943,972  

Value Portfolio Class P *

    2,277,136       49,056,315  

Value Advantage Portfolio Class P *

    1,695,530       40,107,321  

Emerging Markets Portfolio Class P *

    1,261,222       22,257,081  

International Growth Portfolio Class P *

    6,975,690       55,908,487  

International Large-Cap Portfolio Class P *

    1,536,721       20,647,414  

International Value Portfolio Class P *

    2,427,499       43,028,984  

Real Estate Portfolio Class P *

    240,372       7,365,285  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,500,127,009)

      1,520,503,296  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,500,127,009)

      1,520,503,296  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (563,689
   

 

 

 

NET ASSETS - 100.0%

      $1,519,939,607  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,520,503,296        $1,520,503,296        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

186

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION MODERATE PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    27,601,338       $314,991,022  

Diversified Bond Portfolio Class P *

    40,204,988       518,245,706  

High Yield Bond Portfolio Class P *

    13,295,558       137,031,590  

Inflation Managed Portfolio Class P *

    5,140,293       67,965,763  

Intermediate Bond Portfolio Class P *

    53,978,710       467,167,594  

Managed Bond Portfolio Class P *

    39,152,736       550,665,064  

Short Duration Bond Portfolio Class P *

    53,803,615       588,394,878  

Emerging Markets Debt Portfolio Class P *

    5,733,562       67,360,725  

Dividend Growth Portfolio Class P *

    6,072,025       228,457,457  

Equity Index Portfolio Class P *

    2,078,756       237,925,473  

Focused Growth Portfolio Class P *

    4,967,314       255,029,723  

Growth Portfolio Class P *

    4,166,445       243,642,761  

Large-Cap Core Portfolio Class P *

    6,131,415       425,557,226  

Large-Cap Growth Portfolio Class P *

    14,587,513       338,541,347  

Large-Cap Value Portfolio Class P *

    8,221,534       304,198,271  

Mid-Cap Equity Portfolio Class P *

    1,844,934       66,446,920  

Mid-Cap Growth Portfolio Class P *

    6,294,594       162,045,832  

Mid-Cap Value Portfolio Class P *

    3,368,112       133,261,706  

Small-Cap Equity Portfolio Class P *

    1,142,413       39,414,517  

Small-Cap Growth Portfolio Class P *

    1,699,130       49,024,177  

Small-Cap Index Portfolio Class P *

    1,121,477       32,639,507  

Small-Cap Value Portfolio Class P *

    1,415,975       42,577,735  

Value Portfolio Class P *

    13,435,010       289,430,224  

Value Advantage Portfolio Class P *

    10,858,343       256,851,245  

Emerging Markets Portfolio Class P *

    7,412,781       130,815,077  

International Growth Portfolio Class P *

    40,055,130       321,032,297  

International Large-Cap Portfolio Class P *

    10,160,923       136,522,392  

International Small-Cap Portfolio Class P *

    2,068,349       33,262,208  

International Value Portfolio Class P *

    11,273,543       199,830,778  

Real Estate Portfolio Class P *

    1,059,550       32,465,944  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $6,234,601,973)

      6,670,795,159  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $6,234,601,973)

      6,670,795,159  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (2,384,919
   

 

 

 

NET ASSETS - 100.0%

      $6,668,410,240  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $6,670,795,159        $6,670,795,159        $-        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

187

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    24,597,337       $280,708,864  

Diversified Bond Portfolio Class P *

    36,239,917       467,135,609  

High Yield Bond Portfolio Class P *

    9,285,728       95,703,992  

Inflation Managed Portfolio Class P *

    2,393,359       31,645,366  

Intermediate Bond Portfolio Class P *

    48,444,714       419,272,722  

Managed Bond Portfolio Class P *

    39,591,229       556,832,271  

Short Duration Bond Portfolio Class P *

    44,208,090       483,458,479  

Emerging Markets Debt Portfolio Class P *

    5,339,207       62,727,654  

Dividend Growth Portfolio Class P *

    5,900,240       221,994,120  

Equity Index Portfolio Class P *

    1,989,538       227,713,994  

Focused Growth Portfolio Class P *

    4,744,236       243,576,530  

Growth Portfolio Class P *

    3,984,697       233,014,599  

Large-Cap Core Portfolio Class P *

    5,886,695       408,572,173  

Large-Cap Growth Portfolio Class P *

    12,397,152       287,708,303  

Large-Cap Value Portfolio Class P *

    6,982,945       258,370,219  

Mid-Cap Equity Portfolio Class P *

    2,061,640       74,251,795  

Mid-Cap Growth Portfolio Class P *

    5,627,230       144,865,439  

Mid-Cap Value Portfolio Class P *

    2,979,625       117,890,965  

Small-Cap Equity Portfolio Class P *

    1,507,122       51,997,351  

Small-Cap Growth Portfolio Class P *

    1,371,306       39,565,614  

Small-Cap Index Portfolio Class P *

    1,462,090       42,552,715  

Small-Cap Value Portfolio Class P *

    608,587       18,299,958  

Value Portfolio Class P *

    12,798,561       275,719,210  

Value Advantage Portfolio Class P *

    10,374,132       245,397,353  

Emerging Markets Portfolio Class P *

    6,903,065       121,819,994  

International Growth Portfolio Class P *

    36,547,267       292,917,612  

International Large-Cap Portfolio Class P *

    10,363,389       139,242,727  

International Small-Cap Portfolio Class P *

    3,852,184       61,949,010  

International Value Portfolio Class P *

    13,700,917       242,857,543  

Real Estate Portfolio Class P *

    1,973,359       60,466,181  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $5,624,288,506)

      6,208,228,362  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $5,624,288,506)

      6,208,228,362  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.0%)

 

    (2,191,753
   

 

 

 

NET ASSETS - 100.0%

      $6,206,036,609  
   

 

 

 

        

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $6,208,228,362        $6,208,228,362        $-          $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 213

 

188

PACIFIC SELECT FUND

PORTFOLIO OPTIMIZATION AGGRESSIVE-GROWTH PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

AFFILIATED MUTUAL FUNDS - 100.0%

 

Core Income Portfolio Class P *

    3,342,135       $38,140,990  

Diversified Bond Portfolio Class P *

    4,933,953       63,599,076  

High Yield Bond Portfolio Class P *

    2,245,772       23,146,204  

Intermediate Bond Portfolio Class P *

    6,607,123       57,182,433  

Managed Bond Portfolio Class P *

    3,245,889       45,651,926  

Short Duration Bond Portfolio Class P *

    12,830,032       140,308,884  

Emerging Markets Debt Portfolio Class P *

    1,291,317       15,171,037  

Dividend Growth Portfolio Class P *

    1,744,147       65,622,807  

Equity Index Portfolio Class P *

    559,224       64,006,401  

Focused Growth Portfolio Class P *

    1,147,469       58,912,860  

Growth Portfolio Class P *

    887,667       51,908,408  

Large-Cap Core Portfolio Class P *

    1,413,055       98,074,549  

Large-Cap Growth Portfolio Class P *

    3,732,101       86,613,167  

Large-Cap Value Portfolio Class P *

    1,831,302       67,758,520  

Mid-Cap Equity Portfolio Class P *

    706,391       25,441,282  

Mid-Cap Growth Portfolio Class P *

    1,502,833       38,688,417  

Mid-Cap Value Portfolio Class P *

    625,825       24,761,204  

Small-Cap Equity Portfolio Class P *

    450,289       15,535,481  

Small-Cap Growth Portfolio Class P *

    790,912       22,819,786  

Small-Cap Index Portfolio Class P *

    429,410       12,497,549  

Small-Cap Value Portfolio Class P *

    269,861       8,114,591  

Value Portfolio Class P *

    2,782,413       59,941,477  

Value Advantage Portfolio Class P *

    3,398,349       80,387,051  

Emerging Markets Portfolio Class P *

    2,921,783       51,561,391  

International Growth Portfolio Class P *

    12,484,646       100,061,454  

International Large-Cap Portfolio Class P *

    3,596,323       48,320,284  

International Small-Cap Portfolio Class P *

    1,397,527       22,474,366  

International Value Portfolio Class P *

    5,034,943       89,247,589  

Real Estate Portfolio Class P *

    715,926       21,936,869  
   

 

 

 

Total Affiliated Mutual Funds
(Cost $1,328,643,638)

      1,497,886,053  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $1,328,643,638)

      1,497,886,053  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    (534,224
   

 

 

 

NET ASSETS - 100.0%

      $1,497,351,829  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Affiliated Mutual Funds

     $1,497,886,053        $1,497,886,053        $-          $-    
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

189

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 99.3%

 

Basic Materials - 1.6%

 

Air Products & Chemicals, Inc.
1.500% due 10/15/25

    $350,000       $323,849  

BHP Billiton Finance USA Ltd. (Australia)

   

4.875% due 02/27/26

    500,000       493,197  

5.250% due 09/08/26

    250,000       248,469  

Celanese U.S. Holdings LLC
6.050% due 03/15/25

    600,000       597,999  

DuPont de Nemours, Inc.
4.493% due 11/15/25

    750,000       732,411  

Eastman Chemical Co.
3.800% due 03/15/25

    250,000       242,506  

EIDP, Inc.

   

1.700% due 07/15/25

    250,000       232,967  

4.500% due 05/15/26

    180,000       175,395  

Freeport-McMoRan, Inc.
4.550% due 11/14/24

    350,000       343,980  

Linde, Inc.
4.700% due 12/05/25

    250,000       247,140  

LYB International Finance III LLC
1.250% due 10/01/25

    350,000       319,053  

Nucor Corp.
2.000% due 06/01/25

    250,000       234,859  

Nutrien Ltd. (Canada)
5.950% due 11/07/25

    570,000       570,813  

PPG Industries, Inc.
1.200% due 03/15/26

    250,000       224,499  

Steel Dynamics, Inc.
2.800% due 12/15/24

    150,000       144,448  

Suzano International Finance BV (Brazil)
4.000% due 01/14/25

    250,000       242,638  
   

 

 

 
      5,374,223  
   

 

 

 

Communications - 6.0%

 

Alibaba Group Holding Ltd. (China)
3.600% due 11/28/24

    1,000,000       974,526  

Alphabet, Inc.
1.998% due 08/15/26

    1,000,000       920,443  

Amazon.com, Inc.

   

0.800% due 06/03/25

    350,000       324,565  

1.000% due 05/12/26

    500,000       449,708  

3.000% due 04/13/25

    250,000       241,623  

4.600% due 12/01/25

    250,000       246,869  

4.700% due 11/29/24

    950,000       941,514  

5.200% due 12/03/25

    250,000       249,938  

AT&T, Inc.

   

2.950% due 07/15/26

    350,000       325,429  

5.539% due 02/20/26

    300,000       297,651  

Baidu, Inc. (China)
4.125% due 06/30/25

    750,000       726,911  

Booking Holdings, Inc.
3.600% due 06/01/26

    500,000       476,533  

Charter Communications Operating LLC/ Charter Communications Operating Capital
4.908% due 07/23/25

    1,250,000       1,221,849  

Cisco Systems, Inc.
3.500% due 06/15/25

    250,000       242,353  

Comcast Corp.

   

3.150% due 03/01/26

    500,000       474,937  

3.375% due 08/15/25

    500,000       481,009  

5.250% due 11/07/25

    355,000       353,464  

Discovery Communications LLC

   

3.900% due 11/15/24

    200,000       194,557  

3.950% due 06/15/25

    1,250,000       1,204,693  
   

Principal
Amount

   

Value

 

eBay, Inc.

   

1.400% due 05/10/26

    $350,000       $313,592  

1.900% due 03/11/25

    250,000       236,540  

5.900% due 11/22/25

    175,000       175,380  

Expedia Group, Inc.
5.000% due 02/15/26

    250,000       244,931  

Fox Corp.
3.050% due 04/07/25

    500,000       479,950  

Omnicom Group, Inc./Omnicom Capital, Inc.
3.600% due 04/15/26

    250,000       237,548  

Paramount Global
4.000% due 01/15/26

    750,000       710,355  

Rogers Communications, Inc. (Canada)

   

2.950% due 03/15/25

    610,000       581,982  

3.625% due 12/15/25

    250,000       236,764  

Sprint LLC
7.625% due 03/01/26

    1,250,000       1,285,616  

T-Mobile USA, Inc.

   

2.250% due 02/15/26

    1,000,000       921,455  

3.500% due 04/15/25

    250,000       241,289  

TCI Communications, Inc.
7.875% due 02/15/26

    250,000       262,028  

Thomson Reuters Corp. (Canada)
3.350% due 05/15/26

    250,000       236,243  

TWDC Enterprises 18 Corp.

   

1.850% due 07/30/26

    500,000       454,026  

3.000% due 02/13/26

    250,000       236,495  

3.150% due 09/17/25

    500,000       478,695  

Verizon Communications, Inc.

   

1.450% due 03/20/26

    1,000,000       903,187  

2.625% due 08/15/26

    750,000       693,048  

3.376% due 02/15/25

    500,000       483,984  

Walt Disney Co.
3.350% due 03/24/25

    250,000       242,023  
   

 

 

 
      20,003,703  
   

 

 

 

Consumer, Cyclical - 7.5%

 

American Honda Finance Corp.

   

1.000% due 09/10/25

    350,000       320,809  

1.200% due 07/08/25

    750,000       695,141  

4.600% due 04/17/25

    500,000       492,187  

5.250% due 07/07/26

    210,000       208,767  

AutoNation, Inc.
3.500% due 11/15/24

    250,000       241,569  

AutoZone, Inc.
5.050% due 07/15/26

    185,000       182,368  

Dollar Tree, Inc.
4.000% due 05/15/25

    500,000       484,142  

DR Horton, Inc.

   

2.500% due 10/15/24

    250,000       241,321  

2.600% due 10/15/25

    250,000       234,040  

General Motors Co.
6.125% due 10/01/25

    350,000       349,771  

General Motors Financial Co., Inc.

   

1.200% due 10/15/24

    1,115,000       1,060,172  

1.500% due 06/10/26

    500,000       442,026  

2.750% due 06/20/25

    1,650,000       1,554,048  

2.900% due 02/26/25

    350,000       334,064  

5.400% due 04/06/26

    280,000       274,279  

6.050% due 10/10/25

    300,000       298,739  

Genuine Parts Co.
1.750% due 02/01/25

    250,000       235,661  

Harley-Davidson, Inc.
3.500% due 07/28/25

    250,000       238,767  

Hasbro, Inc.
3.000% due 11/19/24

    250,000       241,341  

Home Depot, Inc.

   

3.350% due 09/15/25

    1,000,000       962,556  

4.000% due 09/15/25

    80,000       78,116  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

190

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Honda Motor Co. Ltd. (Japan)
2.271% due 03/10/25

    $165,000       $157,300  

Hyatt Hotels Corp.
1.800% due 10/01/24

    590,000       566,234  

Lennar Corp.
5.250% due 06/01/26

    250,000       246,391  

Lowe’s Cos., Inc.

   

4.400% due 09/08/25

    1,055,000       1,031,704  

4.800% due 04/01/26

    140,000       137,414  

Magna International, Inc. (Canada)
5.980% due 03/21/26

    250,000       250,223  

Marriott International, Inc.

   

3.750% due 10/01/25

    250,000       240,426  

5.450% due 09/15/26

    85,000       84,252  

5.750% due 05/01/25

    500,000       499,197  

McDonald’s Corp.
3.700% due 01/30/26

    1,250,000       1,202,628  

PACCAR Financial Corp.

   

2.850% due 04/07/25

    100,000       96,078  

3.550% due 08/11/25

    850,000       822,688  

4.950% due 10/03/25

    100,000       99,193  

5.050% due 08/10/26

    110,000       109,511  

PVH Corp.
4.625% due 07/10/25

    250,000       242,042  

Ralph Lauren Corp.
3.750% due 09/15/25

    250,000       241,584  

Sands China Ltd. (Macau)
4.300% due 01/08/26

    500,000       467,517  

Southwest Airlines Co.
5.250% due 05/04/25

    500,000       494,360  

Starbucks Corp.
4.750% due 02/15/26

    845,000       832,789  

Tapestry, Inc.
4.250% due 04/01/25

    200,000       194,548  

TJX Cos., Inc.
2.250% due 09/15/26

    250,000       229,769  

Toyota Motor Corp. (Japan)
5.275% due 07/13/26

    170,000       169,720  

Toyota Motor Credit Corp.

   

1.125% due 06/18/26

    500,000       446,718  

1.450% due 01/13/25

    650,000       617,457  

3.000% due 04/01/25

    350,000       337,388  

3.650% due 08/18/25

    620,000       600,025  

3.950% due 06/30/25

    175,000       170,380  

4.450% due 05/18/26

    500,000       489,055  

5.000% due 08/14/26

    750,000       742,860  

5.400% due 11/10/25

    100,000       99,984  

5.600% due 09/11/25

    250,000       250,471  

United Airlines Pass-Through Trust
4.300% due 02/15/27

    553,252       529,840  

VF Corp.
2.400% due 04/23/25

    250,000       235,710  

Walgreens Boots Alliance, Inc.

   

3.450% due 06/01/26

    500,000       463,417  

3.800% due 11/18/24

    500,000       486,909  

Walmart, Inc.

   

3.050% due 07/08/26

    350,000       332,236  

3.900% due 09/09/25

    870,000       848,411  

4.000% due 04/15/26

    135,000       131,501  

Warnermedia Holdings, Inc.
3.638% due 03/15/25

    250,000       241,196  

Whirlpool Corp.
3.700% due 05/01/25

    350,000       338,914  

WW Grainger, Inc.
1.850% due 02/15/25

    150,000       142,571  
   

 

 

 
      25,090,495  
   

 

 

 

Consumer, Non-Cyclical - 13.8%

 

Abbott Laboratories
3.875% due 09/15/25

    350,000       340,762  
   

Principal
Amount

   

Value

 

AbbVie, Inc.

   

2.600% due 11/21/24

    $1,350,000       $1,301,951  

3.200% due 05/14/26

    500,000       472,501  

3.600% due 05/14/25

    250,000       241,731  

3.800% due 03/15/25

    350,000       340,319  

Altria Group, Inc.

   

2.350% due 05/06/25

    250,000       236,574  

4.400% due 02/14/26

    500,000       485,564  

Amgen, Inc.

   

2.600% due 08/19/26

    750,000       692,514  

3.125% due 05/01/25

    750,000       720,874  

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Belgium)
3.650% due 02/01/26

    1,100,000       1,056,766  

Astrazeneca Finance LLC (United Kingdom)
1.200% due 05/28/26

    500,000       449,404  

AstraZeneca PLC (United Kingdom)
3.375% due 11/16/25

    1,000,000       959,799  

Automatic Data Processing, Inc.
3.375% due 09/15/25

    250,000       241,164  

BAT International Finance PLC (United Kingdom)
1.668% due 03/25/26

    750,000       675,985  

Baxalta, Inc.
4.000% due 06/23/25

    250,000       242,593  

Baxter International, Inc.
2.600% due 08/15/26

    500,000       458,459  

Biogen, Inc.
4.050% due 09/15/25

    850,000       821,369  

Boston Scientific Corp.
1.900% due 06/01/25

    500,000       470,049  

Bristol-Myers Squibb Co.
3.200% due 06/15/26

    500,000       474,482  

Brown-Forman Corp.
3.500% due 04/15/25

    200,000       193,768  

Bunge Ltd. Finance Corp.

   

1.630% due 08/17/25

    250,000       231,231  

3.250% due 08/15/26

    250,000       233,823  

Campbell Soup Co.
3.950% due 03/15/25

    250,000       242,962  

Cencora, Inc.
3.250% due 03/01/25

    150,000       144,921  

Cigna Group

   

1.250% due 03/15/26

    250,000       225,110  

3.250% due 04/15/25

    750,000       721,818  

4.125% due 11/15/25

    250,000       242,129  

4.500% due 02/25/26

    250,000       243,136  

Cintas Corp. No. 2
3.450% due 05/01/25

    250,000       241,605  

Colgate-Palmolive Co.

   

3.100% due 08/15/25

    50,000       48,139  

4.800% due 03/02/26

    145,000       144,372  

CommonSpirit Health
1.547% due 10/01/25

    500,000       458,785  

Conagra Brands, Inc.
4.600% due 11/01/25

    300,000       292,037  

Constellation Brands, Inc.

   

4.400% due 11/15/25

    500,000       486,531  

4.750% due 11/15/24

    150,000       148,152  

5.000% due 02/02/26

    85,000       83,499  

CVS Health Corp.

   

2.875% due 06/01/26

    500,000       465,909  

3.875% due 07/20/25

    250,000       241,649  

4.100% due 03/25/25

    250,000       244,295  

5.000% due 02/20/26

    705,000       694,189  

DH Europe Finance II SARL
2.200% due 11/15/24

    600,000       577,145  

Diageo Capital PLC (United Kingdom)
1.375% due 09/29/25

    750,000       693,482  

Elevance Health, Inc.
2.375% due 01/15/25

    250,000       238,867  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

191

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.900% due 02/08/26

    $1,070,000       $1,049,893  

Equifax, Inc.

   

2.600% due 12/01/24

    250,000       240,284  

2.600% due 12/15/25

    250,000       232,786  

GE HealthCare Technologies, Inc.
5.600% due 11/15/25

    1,000,000       994,423  

General Mills, Inc.
4.000% due 04/17/25

    500,000       486,459  

Gilead Sciences, Inc.
3.650% due 03/01/26

    500,000       478,831  

Global Payments, Inc.

   

1.200% due 03/01/26

    350,000       312,319  

1.500% due 11/15/24

    460,000       437,118  

GXO Logistics, Inc.
1.650% due 07/15/26

    250,000       219,825  

Haleon UK Capital PLC
3.125% due 03/24/25

    350,000       336,271  

HCA, Inc.

   

5.250% due 04/15/25

    350,000       345,794  

5.375% due 09/01/26

    500,000       490,877  

5.875% due 02/15/26

    1,000,000       994,702  

Hershey Co.
3.200% due 08/21/25

    500,000       481,308  

Illumina, Inc.
5.800% due 12/12/25

    350,000       347,850  

J M Smucker Co.
3.500% due 03/15/25

    250,000       242,054  

Johnson & Johnson

   

0.550% due 09/01/25

    750,000       686,408  

2.450% due 03/01/26

    250,000       234,905  

Kenvue, Inc.
5.350% due 03/22/26 ~

    500,000       499,006  

Keurig Dr Pepper, Inc.
3.400% due 11/15/25

    250,000       238,623  

Kraft Heinz Foods Co.
3.000% due 06/01/26

    500,000       468,910  

Kroger Co.
3.500% due 02/01/26

    350,000       333,322  

Laboratory Corp. of America Holdings
1.550% due 06/01/26

    250,000       224,042  

McCormick & Co., Inc.
0.900% due 02/15/26

    600,000       537,996  

McKesson Corp.
0.900% due 12/03/25

    250,000       225,939  

Mead Johnson Nutrition Co. (United Kingdom)
4.125% due 11/15/25

    250,000       242,287  

Merck & Co., Inc.

   

0.750% due 02/24/26

    250,000       225,288  

2.750% due 02/10/25

    750,000       724,730  

Molson Coors Beverage Co.
3.000% due 07/15/26

    750,000       697,348  

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

    500,000       467,985  

Novartis Capital Corp. (Switzerland)
3.000% due 11/20/25

    750,000       715,032  

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

    750,000       702,118  

PeaceHealth Obligated Group
1.375% due 11/15/25

    250,000       227,035  

PepsiCo, Inc.

   

2.750% due 04/30/25

    250,000       239,980  

2.850% due 02/24/26

    500,000       473,522  

3.500% due 07/17/25

    250,000       242,330  

4.550% due 02/13/26

    195,000       192,983  

Pfizer Investment Enterprises Pte. Ltd.

   

4.450% due 05/19/26

    780,000       762,142  

4.650% due 05/19/25

    450,000       443,946  

Pfizer, Inc.

   

0.800% due 05/28/25

    650,000       602,516  

2.750% due 06/03/26

    350,000       328,471  
   

Principal
Amount

   

Value

 

Philip Morris International, Inc.

   

0.875% due 05/01/26

    $250,000       $222,965  

1.500% due 05/01/25

    750,000       702,194  

3.375% due 08/11/25

    250,000       240,134  

4.875% due 02/13/26

    985,000       969,072  

5.000% due 11/17/25

    240,000       237,227  

Procter & Gamble Co.

   

0.550% due 10/29/25

    250,000       227,426  

2.700% due 02/02/26

    500,000       473,684  

4.100% due 01/26/26

    50,000       48,920  

Quanta Services, Inc.
0.950% due 10/01/24

    250,000       236,570  

Quest Diagnostics, Inc.
3.500% due 03/30/25

    250,000       241,224  

Reynolds American, Inc. (United Kingdom)
4.450% due 06/12/25

    350,000       340,284  

Shire Acquisitions Investments Ireland DAC
3.200% due 09/23/26

    750,000       700,651  

Stryker Corp.

   

3.375% due 11/01/25

    250,000       239,348  

3.500% due 03/15/26

    250,000       238,369  

Sysco Corp.
3.750% due 10/01/25

    250,000       240,332  

Thermo Fisher Scientific, Inc.

   

1.215% due 10/18/24

    1,000,000       953,657  

4.953% due 08/10/26

    250,000       247,518  

Unilever Capital Corp. (United Kingdom)
2.000% due 07/28/26

    250,000       229,266  

UnitedHealth Group, Inc.

   

1.150% due 05/15/26

    500,000       449,960  

3.100% due 03/15/26

    350,000       332,343  

5.000% due 10/15/24

    125,000       124,490  

5.150% due 10/15/25

    405,000       403,902  

Utah Acquisition Sub, Inc.
3.950% due 06/15/26

    750,000       702,835  

Verisk Analytics, Inc.
4.000% due 06/15/25

    250,000       242,618  

Zoetis, Inc.
5.400% due 11/14/25

    595,000       592,608  
   

 

 

 
      46,285,669  
   

 

 

 

Energy - 5.5%

 

Boardwalk Pipelines LP
4.950% due 12/15/24

    500,000       492,899  

BP Capital Markets America, Inc.

   

3.119% due 05/04/26

    750,000       709,103  

3.410% due 02/11/26

    250,000       239,047  

Canadian Natural Resources Ltd. (Canada)
3.900% due 02/01/25

    500,000       485,638  

Cheniere Corpus Christi Holdings LLC
5.875% due 03/31/25

    500,000       496,433  

Chevron Corp.

   

1.554% due 05/11/25

    250,000       235,283  

2.954% due 05/16/26

    750,000       709,554  

Chevron USA, Inc.
0.687% due 08/12/25

    250,000       229,691  

Columbia Pipeline Group, Inc.
4.500% due 06/01/25

    250,000       243,290  

ConocoPhillips Co.
2.400% due 03/07/25

    22,000       21,044  

Devon Energy Corp.
5.850% due 12/15/25

    500,000       497,629  

Enbridge, Inc. (Canada)

   

2.500% due 01/15/25

    250,000       239,026  

2.500% due 02/14/25

    540,000       514,722  

Energy Transfer LP

   

3.900% due 07/15/26

    250,000       236,738  

4.050% due 03/15/25

    500,000       486,381  

4.750% due 01/15/26

    250,000       243,341  

5.950% due 12/01/25

    250,000       249,376  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

192

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Enterprise Products Operating LLC
5.050% due 01/10/26

    $555,000       $549,146  

EQT Corp.
6.125% due 02/01/25

    500,000       498,755  

Exxon Mobil Corp.

   

2.275% due 08/16/26

    250,000       231,301  

2.709% due 03/06/25

    500,000       481,762  

2.992% due 03/19/25

    1,000,000       965,910  

3.043% due 03/01/26

    850,000       806,387  

Halliburton Co.
3.800% due 11/15/25

    250,000       241,825  

HF Sinclair Corp.
5.875% due 04/01/26

    239,000       238,357  

Kinder Morgan, Inc.
4.300% due 06/01/25

    250,000       243,666  

Marathon Petroleum Corp.
4.700% due 05/01/25

    750,000       734,725  

MPLX LP

   

1.750% due 03/01/26

    250,000       226,765  

4.875% due 06/01/25

    500,000       490,571  

Occidental Petroleum Corp.
5.875% due 09/01/25

    500,000       497,955  

ONEOK, Inc.
2.200% due 09/15/25

    700,000       651,750  

Ovintiv, Inc.

   

5.375% due 01/01/26

    250,000       246,586  

5.650% due 05/15/25

    85,000       84,545  

Phillips 66
1.300% due 02/15/26

    500,000       452,276  

Pioneer Natural Resources Co.
5.100% due 03/29/26

    240,000       236,997  

Plains All American Pipeline LP/PAA
Finance Corp.
3.600% due 11/01/24

    850,000       827,268  

Sabine Pass Liquefaction LLC
5.625% due 03/01/25

    250,000       248,490  

Shell International Finance BV (Netherlands)

   

2.500% due 09/12/26

    500,000       463,441  

2.875% due 05/10/26

    1,000,000       943,756  

TotalEnergies Capital International SA (France)
2.434% due 01/10/25

    350,000       336,558  

TransCanada PipeLines Ltd. (Canada)
1.000% due 10/12/24

    400,000       380,121  

Transcontinental Gas Pipe Line Co. LLC
7.850% due 02/01/26

    250,000       260,009  

Western Midstream Operating LP
4.650% due 07/01/26

    500,000       480,766  

Williams Cos., Inc.
5.400% due 03/02/26

    280,000       277,918  
   

 

 

 
      18,426,801  
   

 

 

 

Financial - 46.1%

 

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

   

1.650% due 10/29/24

    1,435,000       1,365,548  

1.750% due 10/29/24

    250,000       238,420  

6.500% due 07/15/25

    250,000       250,372  

Air Lease Corp.

   

2.300% due 02/01/25

    650,000       616,045  

2.875% due 01/15/26

    750,000       698,651  

3.375% due 07/01/25

    250,000       237,623  

Aircastle Ltd.
4.250% due 06/15/26

    250,000       236,648  

Alexandria Real Estate Equities, Inc. REIT
3.450% due 04/30/25

    250,000       240,992  

Allied World Assurance Co. Holdings Ltd.
4.350% due 10/29/25

    250,000       239,170  
   

Principal
Amount

   

Value

 

Allstate Corp.
0.750% due 12/15/25

    $250,000       $224,995  

Ally Financial, Inc.
5.800% due 05/01/25

    250,000       245,674  

American Express Co.

   

3.000% due 10/30/24

    250,000       242,455  

3.950% due 08/01/25

    450,000       435,451  

4.200% due 11/06/25

    1,000,000       969,968  

4.900% due 02/13/26

    45,000       44,162  

4.990% due 05/01/26

    500,000       491,392  

5.389% due 07/28/27

    500,000       493,136  

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

    583,000       550,249  

American Tower Corp. REIT

   

1.300% due 09/15/25

    250,000       228,916  

1.600% due 04/15/26

    500,000       449,259  

4.400% due 02/15/26

    500,000       484,468  

Ameriprise Financial, Inc.
2.875% due 09/15/26

    250,000       233,100  

Aon Global Ltd.
3.875% due 12/15/25

    750,000       721,853  

Ares Capital Corp.

   

2.150% due 07/15/26

    250,000       219,477  

3.250% due 07/15/25

    250,000       234,286  

4.250% due 03/01/25

    500,000       480,983  

Australia & New Zealand Banking Group Ltd. (Australia)

   

due 10/03/25 #

    400,000       400,334  

3.700% due 11/16/25

    250,000       240,594  

5.088% due 12/08/25

    250,000       247,640  

AvalonBay Communities, Inc. REIT

   

2.950% due 05/11/26

    250,000       234,412  

3.500% due 11/15/24

    250,000       243,503  

Banco Bilbao Vizcaya Argentaria SA (Spain)

   

1.125% due 09/18/25

    250,000       227,696  

5.862% due 09/14/26

    200,000       197,950  

Banco Santander SA (Spain)

   

1.722% due 09/14/27

    200,000       174,976  

1.849% due 03/25/26

    200,000       179,949  

3.496% due 03/24/25

    400,000       384,596  

5.147% due 08/18/25

    1,310,000       1,282,893  

Bank of America Corp.

   

1.319% due 06/19/26

    2,700,000       2,476,921  

1.530% due 12/06/25

    350,000       330,593  

1.734% due 07/22/27

    1,000,000       886,428  

3.366% due 01/23/26

    2,750,000       2,644,738  

3.559% due 04/23/27

    1,000,000       938,476  

4.000% due 01/22/25

    1,000,000       973,570  

4.450% due 03/03/26

    700,000       674,393  

4.827% due 07/22/26

    1,150,000       1,121,520  

5.080% due 01/20/27

    950,000       928,794  

5.933% due 09/15/27

    750,000       744,666  

Bank of America NA

   

5.526% due 08/18/26

    500,000       497,749  

5.650% due 08/18/25

    500,000       498,865  

Bank of Montreal (Canada)

   

1.850% due 05/01/25

    250,000       234,689  

3.700% due 06/07/25

    1,610,000       1,552,348  

5.300% due 06/05/26

    350,000       345,382  

5.920% due 09/25/25

    250,000       249,535  

Bank of New York Mellon
5.148% due 05/22/26

    250,000       247,751  

Bank of New York Mellon Corp.

   

2.800% due 05/04/26

    250,000       233,691  

4.414% due 07/24/26

    1,490,000       1,448,281  

4.947% due 04/26/27

    730,000       712,712  

Bank of Nova Scotia (Canada)

   

1.350% due 06/24/26

    350,000       311,101  

2.700% due 08/03/26

    1,000,000       921,534  

3.450% due 04/11/25

    1,120,000       1,078,614  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

193

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.500% due 12/16/25

    $250,000       $241,671  

4.750% due 02/02/26

    580,000       566,352  

5.450% due 06/12/25

    125,000       123,829  

Barclays PLC (United Kingdom)

   

2.852% due 05/07/26

    1,500,000       1,415,527  

4.375% due 01/12/26

    250,000       239,658  

5.200% due 05/12/26

    250,000       240,938  

5.829% due 05/09/27

    1,065,000       1,046,300  

6.496% due 09/13/27

    250,000       249,437  

7.325% due 11/02/26

    250,000       253,862  

Berkshire Hathaway, Inc.
3.125% due 03/15/26

    750,000       715,915  

Blackstone Private Credit Fund

   

2.350% due 11/22/24

    200,000       189,852  

2.700% due 01/15/25

    115,000       108,976  

7.050% due 09/29/25

    600,000       601,110  

Blackstone Secured Lending Fund
2.750% due 09/16/26

    350,000       307,891  

Blue Owl Capital Corp.

   

3.400% due 07/15/26

    350,000       313,989  

4.000% due 03/30/25

    350,000       332,963  

BNP Paribas SA (France)
4.250% due 10/15/24

    250,000       244,915  

Boston Properties LP REIT

   

3.200% due 01/15/25

    350,000       335,567  

3.650% due 02/01/26

    500,000       469,380  

Brixmor Operating Partnership LP REIT
3.850% due 02/01/25

    150,000       144,592  

Brookfield Corp. (Canada)
4.000% due 01/15/25

    350,000       340,496  

Brookfield Finance, Inc. (Canada)
4.250% due 06/02/26

    250,000       239,932  

Canadian Imperial Bank of Commerce (Canada)

   

due 10/02/26 #

    350,000       350,060  

0.950% due 10/23/25

    250,000       226,780  

1.250% due 06/22/26

    250,000       221,649  

3.300% due 04/07/25

    35,000       33,651  

3.945% due 08/04/25

    700,000       676,108  

5.144% due 04/28/25

    250,000       246,801  

5.615% due 07/17/26

    200,000       199,136  

Capital One Financial Corp.

   

2.636% due 03/03/26

    435,000       410,696  

3.200% due 02/05/25

    250,000       239,623  

4.200% due 10/29/25

    1,000,000       953,757  

4.985% due 07/24/26

    150,000       145,600  

Capital One NA
2.280% due 01/28/26

    750,000       708,692  

Charles Schwab Corp.

   

0.900% due 03/11/26

    1,000,000       886,916  

1.150% due 05/13/26

    350,000       310,188  

5.875% due 08/24/26

    165,000       164,521  

Citibank NA
5.864% due 09/29/25

    565,000       565,654  

Citigroup, Inc.

   

1.122% due 01/28/27

    1,300,000       1,158,749  

1.281% due 11/03/25

    650,000       614,131  

3.106% due 04/08/26

    500,000       477,280  

3.290% due 03/17/26

    2,250,000       2,153,839  

3.400% due 05/01/26

    500,000       469,843  

4.400% due 06/10/25

    1,000,000       970,572  

5.610% due 09/29/26

    750,000       742,532  

Citizens Bank NA
6.064% due 10/24/25

    250,000       241,314  

CME Group, Inc.
3.000% due 03/15/25

    150,000       144,583  

CNA Financial Corp.
4.500% due 03/01/26

    350,000       338,926  

CNO Financial Group, Inc.
5.250% due 05/30/25

    250,000       245,106  
   

Principal
Amount

   

Value

 

Commonwealth Bank of Australia (Australia)

   

5.316% due 03/13/26

    $500,000       $498,234  

5.499% due 09/12/25

    300,000       299,573  

Cooperatieve Rabobank UA (Netherlands)
due 10/05/26 #

    750,000       748,071  

1.375% due 01/10/25

    100,000       94,640  

3.750% due 07/21/26

    250,000       232,932  

4.375% due 08/04/25

    550,000       530,915  

5.500% due 07/18/25

    440,000       438,135  

Corebridge Financial, Inc.
3.500% due 04/04/25

    500,000       479,886  

Credit Suisse AG (Switzerland)

   

1.250% due 08/07/26

    500,000       437,161  

3.700% due 02/21/25

    1,875,000       1,807,927  

Crown Castle, Inc.

   

1.050% due 07/15/26

    250,000       219,527  

4.450% due 02/15/26

    500,000       484,394  

Crown Castle, Inc. REIT
3.700% due 06/15/26

    500,000       473,193  

Deutsche Bank AG (Germany)

   

3.961% due 11/26/25

    500,000       483,103  

4.100% due 01/13/26

    350,000       332,051  

4.162% due 05/13/25

    600,000       581,979  

6.119% due 07/14/26

    165,000       163,286  

7.146% due 07/13/27

    985,000       992,040  

Discover Bank
3.450% due 07/27/26

    250,000       227,467  

Discover Financial Services

   

3.950% due 11/06/24

    600,000       583,734  

4.500% due 01/30/26

    250,000       239,182  

EPR Properties REIT
4.500% due 04/01/25

    200,000       192,822  

Equinix, Inc. REIT

   

1.000% due 09/15/25

    350,000       318,177  

1.450% due 05/15/26

    350,000       312,717  

2.625% due 11/18/24

    250,000       240,629  

Fifth Third Bancorp
2.375% due 01/28/25

    250,000       237,482  

Fifth Third Bank NA

   

3.950% due 07/28/25

    500,000       481,116  

5.852% due 10/27/25

    320,000       314,922  

FS KKR Capital Corp.

   

1.650% due 10/12/24

    200,000       190,099  

4.125% due 02/01/25

    500,000       480,616  

GLP Capital LP/GLP Financing II, Inc. REIT
5.250% due 06/01/25

    350,000       343,117  

Goldman Sachs Group, Inc.

   

0.855% due 02/12/26

    2,000,000       1,854,218  

1.542% due 09/10/27

    1,000,000       875,919  

3.500% due 04/01/25

    350,000       337,099  

3.750% due 05/22/25

    500,000       482,092  

3.750% due 02/25/26

    250,000       237,749  

4.250% due 10/21/25

    250,000       240,978  

5.700% due 11/01/24

    885,000       881,926  

5.798% due 08/10/26

    355,000       352,394  

Golub Capital BDC, Inc.
2.500% due 08/24/26

    250,000       219,258  

Host Hotels & Resorts LP REIT
4.000% due 06/15/25

    250,000       240,919  

HSBC Holdings PLC (United Kingdom)

   

1.645% due 04/18/26

    1,850,000       1,720,050  

2.099% due 06/04/26

    250,000       233,090  

2.633% due 11/07/25

    350,000       335,492  

2.999% due 03/10/26

    200,000       190,651  

3.900% due 05/25/26

    750,000       709,939  

4.180% due 12/09/25

    900,000       876,049  

4.292% due 09/12/26

    500,000       480,557  

5.887% due 08/14/27

    1,000,000       988,193  

7.336% due 11/03/26

    200,000       204,211  

ING Groep NV (Netherlands)

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

194

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.869% due 03/28/26

    $750,000       $724,057  

6.083% due 09/11/27

    200,000       199,214  

JPMorgan Chase & Co.

   

1.045% due 11/19/26

    2,250,000       2,022,651  

1.561% due 12/10/25

    250,000       236,343  

2.083% due 04/22/26

    2,300,000       2,159,424  

2.301% due 10/15/25

    250,000       239,858  

3.200% due 06/15/26

    1,000,000       940,653  

3.960% due 01/29/27

    500,000       478,095  

5.546% due 12/15/25

    3,500,000       3,477,050  

7.750% due 07/15/25

    250,000       258,197  

KeyBank NA

   

4.150% due 08/08/25

    250,000       235,531  

4.700% due 01/26/26

    1,000,000       948,575  

Kilroy Realty LP REIT
3.450% due 12/15/24

    750,000       720,890  

Kimco Realty OP LLC REIT
3.300% due 02/01/25

    150,000       144,384  

Lazard Group LLC
3.750% due 02/13/25

    250,000       241,598  

Lloyds Banking Group PLC (United Kingdom)

   

1.627% due 05/11/27

    500,000       443,727  

3.511% due 03/18/26

    200,000       191,878  

4.450% due 05/08/25

    250,000       243,113  

4.500% due 11/04/24

    250,000       244,450  

4.650% due 03/24/26

    350,000       335,265  

4.716% due 08/11/26

    200,000       194,556  

5.985% due 08/07/27

    775,000       768,267  

Main Street Capital Corp.
3.000% due 07/14/26

    250,000       221,039  

Manufacturers & Traders Trust Co.

   

4.650% due 01/27/26

    250,000       238,353  

5.400% due 11/21/25

    250,000       242,519  

Manulife Financial Corp. (Canada)
4.150% due 03/04/26

    250,000       241,613  

Marsh & McLennan Cos., Inc.

   

3.500% due 03/10/25

    250,000       242,385  

3.750% due 03/14/26

    500,000       479,564  

Mastercard, Inc.
2.000% due 03/03/25

    250,000       238,373  

Mid-America Apartments LP REIT
1.100% due 09/15/26

    250,000       220,435  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

0.962% due 10/11/25

    350,000       331,070  

1.412% due 07/17/25

    2,250,000       2,076,555  

5.541% due 04/17/26

    200,000       198,323  

5.719% due 02/20/26

    700,000       696,172  

Mizuho Financial Group, Inc. (Japan)

   

2.651% due 05/22/26

    350,000       330,119  

2.839% due 09/13/26

    500,000       458,709  

Morgan Stanley

   

0.864% due 10/21/25

    1,500,000       1,413,792  

1.164% due 10/21/25

    1,555,000       1,468,328  

2.188% due 04/28/26

    1,000,000       939,772  

3.125% due 07/27/26

    1,000,000       929,252  

3.875% due 01/27/26

    500,000       478,202  

4.000% due 07/23/25

    1,900,000       1,837,658  

4.679% due 07/17/26

    345,000       336,166  

5.050% due 01/28/27

    300,000       294,152  

6.138% due 10/16/26

    750,000       750,917  

Morgan Stanley Bank NA

   

4.754% due 04/21/26

    360,000       351,984  

5.479% due 07/16/25

    690,000       687,704  

Nasdaq, Inc.
5.650% due 06/28/25

    45,000       44,878  

National Australia Bank Ltd. (Australia)

   

2.500% due 07/12/26

    250,000       231,078  

3.375% due 01/14/26

    1,000,000       955,229  

4.966% due 01/12/26

    250,000       247,113  
   

Principal
Amount

   

Value

 

5.200% due 05/13/25

    $335,000       $333,045  

National Bank of Canada (Canada)
5.250% due 01/17/25

    400,000       397,040  

Natwest Group PLC (United Kingdom)

   

4.800% due 04/05/26

    250,000       241,587  

5.847% due 03/02/27

    500,000       493,686  

7.472% due 11/10/26

    750,000       765,287  

Nomura Holdings, Inc. (Japan)

   

1.653% due 07/14/26

    350,000       309,440  

1.851% due 07/16/25

    250,000       231,394  

2.648% due 01/16/25

    450,000       429,472  

5.709% due 01/09/26

    500,000       494,871  

Northern Trust Corp.
3.950% due 10/30/25

    250,000       241,126  

Oaktree Specialty Lending Corp.
3.500% due 02/25/25

    150,000       142,991  

Old Republic International Corp.
4.875% due 10/01/24

    150,000       147,732  

PNC Bank NA
3.875% due 04/10/25

    250,000       241,232  

PNC Financial Services Group, Inc.

   

1.150% due 08/13/26

    750,000       661,590  

2.600% due 07/23/26

    250,000       230,874  

4.758% due 01/26/27

    90,000       87,512  

5.671% due 10/28/25

    200,000       198,523  

5.812% due 06/12/26

    290,000       287,767  

Prudential Financial, Inc.
1.500% due 03/10/26

    500,000       453,813  

Radian Group, Inc.
6.625% due 03/15/25

    250,000       248,752  

Royal Bank of Canada (Canada)

   

0.750% due 10/07/24

    500,000       474,503  

1.150% due 06/10/25

    250,000       231,270  

1.600% due 01/21/25

    250,000       236,773  

3.375% due 04/14/25

    250,000       241,265  

4.650% due 01/27/26

    1,500,000       1,460,071  

4.875% due 01/12/26

    200,000       196,351  

4.950% due 04/25/25

    715,000       704,800  

5.200% due 07/20/26

    500,000       494,726  

Santander Holdings USA, Inc.

   

4.500% due 07/17/25

    250,000       242,484  

5.807% due 09/09/26

    60,000       59,041  

Santander UK Group Holdings PLC
(United Kingdom)

   

1.532% due 08/21/26

    750,000       680,177  

6.833% due 11/21/26

    300,000       301,800  

Simon Property Group LP REIT

   

3.375% due 10/01/24

    350,000       341,108  

3.500% due 09/01/25

    750,000       720,122  

SITE Centers Corp. REIT
3.625% due 02/01/25

    250,000       238,125  

Sixth Street Specialty Lending, Inc.
2.500% due 08/01/26

    250,000       220,740  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

1.402% due 09/17/26

    500,000       439,929  

2.632% due 07/14/26

    250,000       229,597  

3.784% due 03/09/26

    250,000       238,136  

5.464% due 01/13/26

    1,785,000       1,767,672  

5.880% due 07/13/26

    520,000       519,592  

Synchrony Bank
5.400% due 08/22/25

    250,000       241,051  

Synchrony Financial

   

3.700% due 08/04/26

    250,000       225,833  

4.875% due 06/13/25

    130,000       124,687  

Toronto-Dominion Bank (Canada)

   

0.750% due 09/11/25

    250,000       227,640  

0.750% due 01/06/26

    500,000       446,351  

1.150% due 06/12/25

    250,000       231,556  

1.250% due 09/10/26

    1,000,000       881,237  

5.103% due 01/09/26

    200,000       197,411  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

195

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

5.532% due 07/17/26

    $500,000       $496,511  

Truist Bank

   

2.150% due 12/06/24

    400,000       381,731  

2.636% due 09/17/29

    1,050,000       975,171  

3.300% due 05/15/26

    250,000       230,746  

3.625% due 09/16/25

    250,000       236,291  

Truist Financial Corp.

   

1.200% due 08/05/25

    250,000       229,424  

3.700% due 06/05/25

    350,000       336,143  

4.260% due 07/28/26

    1,200,000       1,155,620  

6.047% due 06/08/27

    115,000       113,789  

UBS AG (Switzerland)
5.800% due 09/11/25

    500,000       498,232  

UBS Group AG (Switzerland)

   

3.750% due 03/26/25

    750,000       721,665  

4.550% due 04/17/26

    500,000       480,328  

U.S. Bancorp

   

3.100% due 04/27/26

    500,000       464,851  

5.727% due 10/21/26

    95,000       94,233  

U.S. Bank NA

   

2.050% due 01/21/25

    500,000       475,130  

2.800% due 01/27/25

    350,000       335,635  

Ventas Realty LP REIT

   

2.650% due 01/15/25

    350,000       333,807  

4.125% due 01/15/26

    250,000       239,412  

Visa, Inc.
3.150% due 12/14/25

    1,150,000       1,098,026  

Vornado Realty LP REIT
3.500% due 01/15/25

    250,000       237,419  

Wachovia Corp.
7.574% due 08/01/26

    500,000       519,418  

Wells Fargo & Co.

   

2.164% due 02/11/26

    2,000,000       1,888,671  

2.188% due 04/30/26

    250,000       234,797  

2.406% due 10/30/25

    500,000       479,322  

3.000% due 04/22/26

    1,500,000       1,397,792  

3.196% due 06/17/27

    750,000       696,736  

3.908% due 04/25/26

    295,000       284,330  

4.540% due 08/15/26

    1,650,000       1,602,968  

Wells Fargo Bank NA

   

5.450% due 08/07/26

    315,000       312,995  

5.550% due 08/01/25

    315,000       314,064  

Welltower OP LLC REIT
4.000% due 06/01/25

    500,000       483,330  

Western Union Co.
2.850% due 01/10/25

    250,000       239,203  

Westpac Banking Corp. (Australia)

   

2.700% due 08/19/26

    500,000       463,824  

2.850% due 05/13/26

    350,000       328,484  

2.894% due 02/04/30

    1,500,000       1,414,643  

3.735% due 08/26/25

    250,000       242,000  

WP Carey, Inc. REIT
4.000% due 02/01/25

    250,000       243,236  
   

 

 

 
      154,440,946  
   

 

 

 

Industrial - 6.7%

 

3M Co.

   

2.000% due 02/14/25

    250,000       237,114  

3.000% due 08/07/25

    500,000       476,523  

Amcor Flexibles North America, Inc.
4.000% due 05/17/25

    350,000       338,644  

Amphenol Corp.
4.750% due 03/30/26

    255,000       250,541  

Berry Global, Inc.
1.570% due 01/15/26

    250,000       226,069  

Boeing Co.

   

2.196% due 02/04/26

    2,500,000       2,296,030  

2.250% due 06/15/26

    250,000       227,602  

2.850% due 10/30/24

    150,000       144,965  
   

Principal
Amount

   

Value

 

Burlington Northern Santa Fe LLC

   

3.000% due 04/01/25

    $350,000       $338,442  

7.000% due 12/15/25

    250,000       258,360  

Canadian Pacific Railway Co. (Canada)

   

1.350% due 12/02/24

    725,000       687,523  

2.900% due 02/01/25

    150,000       144,473  

Carlisle Cos., Inc.
3.500% due 12/01/24

    150,000       145,655  

Carrier Global Corp.
2.242% due 02/15/25

    350,000       332,726  

Caterpillar Financial Services Corp.

   

0.800% due 11/13/25

    250,000       227,091  

2.400% due 08/09/26

    250,000       231,618  

3.400% due 05/13/25

    650,000       628,730  

3.650% due 08/12/25

    200,000       193,824  

4.350% due 05/15/26

    250,000       244,467  

4.800% due 01/06/26

    625,000       618,267  

4.900% due 01/17/25

    200,000       198,677  

5.150% due 08/11/25

    500,000       497,507  

CNH Industrial Capital LLC

   

1.450% due 07/15/26

    350,000       312,030  

1.875% due 01/15/26

    250,000       229,299  

3.950% due 05/23/25

    95,000       92,093  

5.450% due 10/14/25

    65,000       64,518  

Flex Ltd.
3.750% due 02/01/26

    600,000       570,562  

Fortive Corp.
3.150% due 06/15/26

    250,000       233,855  

General Dynamics Corp.

   

2.125% due 08/15/26

    500,000       459,831  

3.250% due 04/01/25

    250,000       241,860  

Hexcel Corp.
4.950% due 08/15/25

    250,000       243,791  

Honeywell International, Inc.
4.850% due 11/01/24

    100,000       99,360  

John Deere Capital Corp.

   

1.050% due 06/17/26

    500,000       447,692  

2.650% due 06/10/26

    500,000       466,899  

3.400% due 06/06/25

    555,000       536,940  

3.450% due 03/13/25

    150,000       146,019  

4.550% due 10/11/24

    110,000       108,917  

4.750% due 06/08/26

    215,000       212,176  

4.800% due 01/09/26

    165,000       163,128  

4.950% due 06/06/25

    85,000       84,475  

5.050% due 03/03/26

    600,000       596,617  

5.150% due 09/08/26

    100,000       99,720  

5.300% due 09/08/25

    100,000       99,799  

Keysight Technologies, Inc.
4.550% due 10/30/24

    250,000       245,761  

Legrand France SA (France)
8.500% due 02/15/25

    100,000       103,836  

Lennox International, Inc.
1.350% due 08/01/25

    250,000       230,385  

Lockheed Martin Corp.
3.550% due 01/15/26

    500,000       481,417  

Norfolk Southern Corp.
2.900% due 06/15/26

    250,000       234,369  

Owens Corning
4.200% due 12/01/24

    150,000       146,841  

Regal Rexnord Corp.
6.050% due 02/15/26 ~

    500,000       494,650  

Republic Services, Inc.
0.875% due 11/15/25

    500,000       452,612  

RTX Corp.
5.000% due 02/27/26

    805,000       795,512  

Ryder System, Inc.
4.625% due 06/01/25

    500,000       488,554  

Stanley Black & Decker, Inc.

   

3.400% due 03/01/26

    250,000       236,539  

6.272% due 03/06/26

    750,000       754,988  

TD SYNNEX Corp.
1.750% due 08/09/26

    250,000       219,845  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

196

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Trane Technologies Financing Ltd.
3.500% due 03/21/26

    $250,000       $237,415  

Tyco Electronics Group SA
4.500% due 02/13/26

    620,000       606,447  

Union Pacific Corp.

   

2.750% due 03/01/26

    750,000       705,178  

4.750% due 02/21/26

    65,000       64,212  

United Parcel Service, Inc.
3.900% due 04/01/25

    400,000       390,371  

Waste Management, Inc.
0.750% due 11/15/25

    500,000       453,616  

WRKCo, Inc.

   

3.750% due 03/15/25

    250,000       242,808  

4.650% due 03/15/26

    250,000       242,341  
   

 

 

 
      22,282,126  
   

 

 

 

Technology - 7.2%

 

Analog Devices, Inc.
2.950% due 04/01/25

    200,000       192,598  

Apple, Inc.

   

0.550% due 08/20/25

    350,000       321,186  

1.125% due 05/11/25

    1,500,000       1,403,403  

2.050% due 09/11/26

    500,000       459,676  

2.450% due 08/04/26

    1,000,000       929,327  

2.500% due 02/09/25

    600,000       577,560  

3.200% due 05/13/25

    350,000       338,594  

3.250% due 02/23/26

    500,000       477,930  

Applied Materials, Inc.
3.900% due 10/01/25

    250,000       242,977  

Broadcom, Inc.

   

3.150% due 11/15/25

    500,000       472,772  

3.459% due 09/15/26

    250,000       234,837  

Broadridge Financial Solutions, Inc.
3.400% due 06/27/26

    250,000       235,047  

CDW LLC/CDW Finance Corp.
4.125% due 05/01/25

    250,000       241,828  

Dell International LLC/EMC Corp.
6.020% due 06/15/26

    1,500,000       1,506,104  

Fidelity National Information Services, Inc.

   

1.150% due 03/01/26

    500,000       448,203  

4.500% due 07/15/25

    110,000       107,346  

Fiserv, Inc.
3.850% due 06/01/25

    750,000       725,266  

Genpact Luxembourg SARL
3.375% due 12/01/24

    250,000       240,857  

Hewlett Packard Enterprise Co.
4.900% due 10/15/25

    1,100,000       1,080,122  

HP, Inc.
2.200% due 06/17/25

    500,000       470,288  

Intel Corp.

   

2.600% due 05/19/26

    250,000       233,997  

4.875% due 02/10/26

    920,000       909,166  

International Business Machines Corp.

   

3.300% due 05/15/26

    750,000       711,855  

4.000% due 07/27/25

    900,000       876,693  

4.500% due 02/06/26

    250,000       244,601  

Intuit, Inc.

   

0.950% due 07/15/25

    250,000       230,481  

5.250% due 09/15/26

    250,000       249,461  

Lam Research Corp.

   

3.750% due 03/15/26

    250,000       240,651  

3.800% due 03/15/25

    250,000       243,623  

Microchip Technology, Inc.
4.250% due 09/01/25

    350,000       338,723  

Micron Technology, Inc.
4.975% due 02/06/26

    350,000       342,590  

Microsoft Corp.

   

2.400% due 08/08/26

    1,000,000       929,335  

2.700% due 02/12/25

    250,000       241,462  

3.125% due 11/03/25

    1,200,000       1,150,034  
   

Principal
Amount

   

Value

 

NetApp, Inc.
1.875% due 06/22/25

    $600,000       $561,366  

NVIDIA Corp.
3.200% due 09/16/26

    500,000       473,750  

NXP BV/NXP Funding LLC (China)
5.350% due 03/01/26

    750,000       739,260  

Oracle Corp.

   

1.650% due 03/25/26

    500,000       453,025  

2.500% due 04/01/25

    350,000       333,312  

2.650% due 07/15/26

    350,000       322,825  

2.950% due 11/15/24

    1,950,000       1,890,133  

QUALCOMM, Inc.
3.450% due 05/20/25

    250,000       242,067  

Roper Technologies, Inc.
1.000% due 09/15/25

    250,000       228,629  

Skyworks Solutions, Inc.
1.800% due 06/01/26

    250,000       222,650  

Take-Two Interactive Software, Inc.
5.000% due 03/28/26

    500,000       490,766  

Texas Instruments, Inc.

   

1.375% due 03/12/25

    150,000       141,684  

4.700% due 11/18/24

    50,000       49,491  

Western Digital Corp.
4.750% due 02/15/26

    500,000       476,892  
   

 

 

 
      24,274,443  
   

 

 

 

Utilities - 4.9%

 

American Electric Power Co., Inc.
5.699% due 08/15/25

    340,000       338,404  

Appalachian Power Co.
3.400% due 06/01/25

    500,000       479,680  

Avangrid, Inc.

   

3.150% due 12/01/24

    250,000       241,131  

3.200% due 04/15/25

    350,000       334,746  

Baltimore Gas & Electric Co.
2.400% due 08/15/26

    250,000       230,238  

CenterPoint Energy, Inc.

   

1.450% due 06/01/26

    250,000       224,102  

5.250% due 08/10/26

    250,000       246,903  

Cleco Corporate Holdings LLC
3.743% due 05/01/26

    350,000       326,646  

CMS Energy Corp.
3.000% due 05/15/26

    250,000       233,675  

Commonwealth Edison Co.
2.550% due 06/15/26

    250,000       232,683  

DTE Energy Co.
4.220% due 11/01/24

    150,000       147,258  

Duke Energy Corp.

   

0.900% due 09/15/25

    750,000       682,593  

5.000% due 12/08/25

    90,000       88,770  

Eastern Energy Gas Holdings LLC
2.500% due 11/15/24

    400,000       384,872  

Edison International
4.700% due 08/15/25

    100,000       97,375  

Emera U.S. Finance LP (Canada)
3.550% due 06/15/26

    500,000       469,961  

Entergy Louisiana LLC

   

0.950% due 10/01/24

    145,000       138,294  

5.400% due 11/01/24

    750,000       746,862  

Evergy Kansas Central, Inc.
2.550% due 07/01/26

    250,000       231,737  

Eversource Energy

   

0.800% due 08/15/25

    250,000       227,999  

2.900% due 10/01/24

    500,000       484,677  

Exelon Corp.
3.950% due 06/15/25

    250,000       242,076  

Florida Power & Light Co.
2.850% due 04/01/25

    350,000       336,298  

Georgia Power Co.
3.250% due 04/01/26

    250,000       235,896  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

197

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

National Fuel Gas Co.
5.200% due 07/15/25

    $250,000       $245,180  

National Rural Utilities Cooperative Finance Corp.

   

1.000% due 10/18/24

    315,000       299,688  

1.000% due 06/15/26

    500,000       444,697  

1.875% due 02/07/25

    200,000       190,066  

4.450% due 03/13/26

    565,000       552,099  

NextEra Energy Capital Holdings, Inc.
4.450% due 06/20/25

    1,370,000       1,336,803  

Oncor Electric Delivery Co. LLC
2.950% due 04/01/25

    250,000       240,216  

Pacific Gas & Electric Co.

   

2.950% due 03/01/26

    750,000       691,392  

3.150% due 01/01/26

    250,000       232,621  

4.950% due 06/08/25

    50,000       48,845  

Pinnacle West Capital Corp.
1.300% due 06/15/25

    250,000       231,187  

PPL Capital Funding, Inc.
3.100% due 05/15/26

    250,000       234,712  

Puget Energy, Inc.
3.650% due 05/15/25

    250,000       239,761  

Sempra
5.400% due 08/01/26

    500,000       494,955  

Southern California Edison Co.

   

1.200% due 02/01/26

    750,000       677,281  

4.200% due 06/01/25

    65,000       63,311  

Southern California Gas Co.

   

2.600% due 06/15/26

    250,000       231,921  

3.200% due 06/15/25

    250,000       240,205  

Southern Co. Gas Capital Corp.
3.250% due 06/15/26

    250,000       235,196  

Southern Power Co.
0.900% due 01/15/26

    1,000,000       896,791  

Virginia Electric & Power Co.
3.150% due 01/15/26

    500,000       473,992  

WEC Energy Group, Inc.

   

4.750% due 01/09/26

    385,000       377,265  

5.600% due 09/12/26

    190,000       190,038  
   

 

 

 
      16,271,098  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $338,178,449)

 

    332,449,504  
   

 

 

 
   

Shares

       

SHORT-TERM INVESTMENTS - 2.3%

   

Money Market Funds - 2.3%

   

BlackRock Liquidity Funds: T-Fund
Institutional Shares 5.234%

    7,864,051       7,864,051  
   

 

 

 

Total Short-Term Investments
(Cost $7,864,051)

      7,864,051  
   

 

 

 

TOTAL INVESTMENTS - 101.6%
(Cost $346,042,500)

 

    340,313,555  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (1.6%)

 

    (5,433,564
   

 

 

 

NET ASSETS - 100.0%

      $334,879,991  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

198

PACIFIC SELECT FUND

PD 1-3 YEAR CORPORATE BOND PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $332,449,504        $-        $332,449,504        $-  
 

Short-Term Investments

     7,864,051        7,864,051        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $340,313,555        $7,864,051        $332,449,504        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

199

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

CORPORATE BONDS & NOTES - 26.5%

 

Basic Materials - 0.6%

 

Air Products & Chemicals, Inc.
4.800% due 03/03/33

    $100,000       $96,046  

Albemarle Corp.

   

5.050% due 06/01/32

    100,000       90,806  

5.450% due 12/01/44

    50,000       43,134  

ArcelorMittal SA (Luxembourg)
6.550% due 11/29/27

    200,000       202,995  

BHP Billiton Finance USA Ltd. (Australia)

   

5.000% due 09/30/43

    500,000       451,813  

5.100% due 09/08/28

    250,000       245,485  

Celanese U.S. Holdings LLC

   

1.400% due 08/05/26

    25,000       21,783  

6.165% due 07/15/27

    250,000       246,645  

6.350% due 11/15/28

    180,000       177,830  

Dow Chemical Co.

   

2.100% due 11/15/30

    250,000       198,654  

3.600% due 11/15/50

    250,000       168,081  

4.250% due 10/01/34

    141,000       122,711  

4.800% due 05/15/49

    65,000       52,383  

DuPont de Nemours, Inc.

   

4.493% due 11/15/25

    350,000       341,792  

4.725% due 11/15/28

    150,000       145,088  

5.319% due 11/15/38

    65,000       60,917  

5.419% due 11/15/48

    75,000       68,858  

Eastman Chemical Co.

   

3.800% due 03/15/25

    100,000       97,002  

4.650% due 10/15/44

    50,000       38,513  

4.800% due 09/01/42

    100,000       80,772  

Ecolab, Inc.

   

1.650% due 02/01/27

    100,000       88,781  

2.125% due 02/01/32

    100,000       78,505  

2.700% due 12/15/51

    100,000       58,620  

EIDP, Inc.
4.800% due 05/15/33

    200,000       186,645  

Freeport-McMoRan, Inc.

   

4.125% due 03/01/28

    150,000       137,605  

4.625% due 08/01/30

    100,000       90,226  

5.450% due 03/15/43

    100,000       85,390  

Georgia-Pacific LLC
8.875% due 05/15/31

    100,000       118,413  

Huntsman International LLC
4.500% due 05/01/29

    45,000       40,727  

International Paper Co.

   

4.350% due 08/15/48

    54,000       41,924  

6.000% due 11/15/41

    200,000       192,533  

Kinross Gold Corp. (Canada)
6.250% due 07/15/33 ~

    100,000       96,203  

Linde, Inc.

   

1.100% due 08/10/30

    50,000       38,450  

2.000% due 08/10/50

    30,000       15,301  

4.700% due 12/05/25

    100,000       98,856  

LYB International Finance III LLC

   

1.250% due 10/01/25

    20,000       18,232  

2.250% due 10/01/30

    25,000       19,898  

3.375% due 10/01/40

    30,000       20,443  

3.625% due 04/01/51

    40,000       25,524  

3.800% due 10/01/60

    30,000       18,447  

4.200% due 05/01/50

    300,000       211,655  

LyondellBasell Industries NV
4.625% due 02/26/55

    75,000       55,680  

Mosaic Co.
5.450% due 11/15/33

    163,000       153,381  

NewMarket Corp.
2.700% due 03/18/31

    100,000       78,565  
   

Principal
Amount

   

Value

 

Newmont Corp.

   

2.250% due 10/01/30

    $65,000       $51,806  

2.600% due 07/15/32

    100,000       78,417  

5.875% due 04/01/35

    100,000       98,805  

Nucor Corp.

   

2.000% due 06/01/25

    250,000       234,859  

2.979% due 12/15/55

    25,000       14,287  

Nutrien Ltd. (Canada)

   

2.950% due 05/13/30

    50,000       41,781  

4.200% due 04/01/29

    55,000       50,977  

5.250% due 01/15/45

    139,000       118,287  

5.950% due 11/07/25

    35,000       35,050  

PPG Industries, Inc.

   

1.200% due 03/15/26

    70,000       62,860  

2.800% due 08/15/29

    50,000       43,278  

Reliance Steel & Aluminum Co.
1.300% due 08/15/25

    40,000       36,690  

Rio Tinto Finance USA Ltd. (Australia)

   

2.750% due 11/02/51

    50,000       29,946  

7.125% due 07/15/28

    50,000       53,695  

Rio Tinto Finance USA PLC (Australia)
4.750% due 03/22/42

    200,000       176,935  

RPM International, Inc.
5.250% due 06/01/45

    50,000       41,555  

Sherwin-Williams Co.

   

3.450% due 06/01/27

    60,000       55,899  

3.950% due 01/15/26

    150,000       144,577  

4.000% due 12/15/42

    50,000       37,470  

4.500% due 06/01/47

    29,000       23,234  

Southern Copper Corp. (Mexico)

   

5.250% due 11/08/42

    150,000       129,813  

7.500% due 07/27/35

    50,000       55,045  

Steel Dynamics, Inc.

   

1.650% due 10/15/27

    10,000       8,499  

2.400% due 06/15/25

    15,000       14,100  

3.250% due 01/15/31

    40,000       33,895  

3.250% due 10/15/50

    20,000       12,181  

Suzano Austria GmbH (Brazil)

   

2.500% due 09/15/28

    40,000       33,271  

3.125% due 01/15/32

    40,000       30,758  

3.750% due 01/15/31

    125,000       102,854  

Suzano International Finance BV (Brazil)
5.500% due 01/17/27

    50,000       49,028  

Vale Overseas Ltd. (Brazil)

   

6.125% due 06/12/33

    250,000       241,757  

6.875% due 11/21/36

    150,000       151,059  

Westlake Corp.
4.375% due 11/15/47

    100,000       73,425  
   

 

 

 
      7,287,405  
   

 

 

 

Communications - 2.4%

 

Alibaba Group Holding Ltd. (China)

   

2.700% due 02/09/41

    350,000       210,057  

3.600% due 11/28/24

    200,000       194,905  

Alphabet, Inc.

   

0.800% due 08/15/27

    150,000       128,751  

1.900% due 08/15/40

    150,000       93,903  

1.998% due 08/15/26

    200,000       184,089  

2.250% due 08/15/60

    150,000       80,230  

Amazon.com, Inc.

   

0.800% due 06/03/25

    565,000       523,941  

1.000% due 05/12/26

    100,000       89,942  

1.500% due 06/03/30

    85,000       67,335  

1.650% due 05/12/28

    100,000       86,123  

2.100% due 05/12/31

    100,000       80,245  

2.500% due 06/03/50

    40,000       23,459  

2.700% due 06/03/60

    300,000       169,982  

2.875% due 05/12/41

    100,000       70,719  

3.000% due 04/13/25

    400,000       386,596  

3.100% due 05/12/51

    100,000       66,062  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

200

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

3.250% due 05/12/61

    $100,000       $64,166  

3.300% due 04/13/27

    150,000       141,202  

3.600% due 04/13/32

    200,000       177,413  

3.875% due 08/22/37

    195,000       166,563  

3.950% due 04/13/52

    150,000       116,046  

4.050% due 08/22/47

    70,000       56,315  

4.100% due 04/13/62

    100,000       76,207  

4.250% due 08/22/57

    100,000       80,144  

4.550% due 12/01/27

    100,000       97,981  

4.600% due 12/01/25

    100,000       98,748  

4.700% due 12/01/32

    100,000       95,545  

5.200% due 12/03/25

    50,000       49,988  

America Movil SAB de CV (Mexico)

   

2.875% due 05/07/30

    200,000       167,631  

6.375% due 03/01/35

    125,000       129,754  

AT&T, Inc.

   

1.650% due 02/01/28

    300,000       253,343  

2.250% due 02/01/32

    165,000       124,234  

2.550% due 12/01/33

    250,000       183,702  

2.750% due 06/01/31

    100,000       80,049  

3.500% due 06/01/41

    200,000       139,048  

3.500% due 09/15/53

    597,000       369,183  

3.550% due 09/15/55

    433,000       265,337  

3.650% due 06/01/51

    350,000       225,842  

3.650% due 09/15/59

    121,000       73,699  

3.800% due 12/01/57

    200,000       126,826  

3.850% due 06/01/60

    45,000       28,719  

4.250% due 03/01/27

    100,000       95,352  

4.300% due 12/15/42

    393,000       303,375  

4.350% due 03/01/29

    150,000       139,632  

4.350% due 06/15/45

    177,000       132,605  

4.500% due 05/15/35

    90,000       76,821  

4.550% due 03/09/49

    100,000       76,188  

4.850% due 03/01/39

    70,000       59,292  

5.350% due 09/01/40

    161,000       143,598  

5.400% due 02/15/34

    150,000       140,449  

5.539% due 02/20/26

    300,000       297,650  

Baidu, Inc. (China)

   

1.625% due 02/23/27

    200,000       175,573  

2.375% due 08/23/31

    200,000       154,603  

Bell Telephone Co. of Canada or Bell
Canada (Canada)

   

2.150% due 02/15/32

    40,000       30,496  

3.200% due 02/15/52

    20,000       12,322  

3.650% due 08/15/52

    70,000       47,021  

4.464% due 04/01/48

    65,000       50,522  

Booking Holdings, Inc.

   

3.600% due 06/01/26

    50,000       47,653  

4.625% due 04/13/30

    200,000       189,940  

British Telecommunications PLC
(United Kingdom)

   

5.125% due 12/04/28

    200,000       192,351  

9.625% due 12/15/30

    50,000       58,915  

Charter Communications Operating LLC/Charter Communications Operating Capital

   

3.500% due 06/01/41

    60,000       37,984  

3.750% due 02/15/28

    100,000       90,217  

3.850% due 04/01/61

    335,000       187,442  

3.900% due 06/01/52

    175,000       104,750  

4.200% due 03/15/28

    200,000       183,637  

4.400% due 12/01/61

    100,000       61,689  

4.800% due 03/01/50

    350,000       244,995  

4.908% due 07/23/25

    150,000       146,622  

5.125% due 07/01/49

    100,000       72,981  

5.375% due 05/01/47

    50,000       38,136  

6.384% due 10/23/35

    70,000       65,265  

6.484% due 10/23/45

    165,000       144,193  

6.834% due 10/23/55

    50,000       44,230  

Cisco Systems, Inc.

   

2.950% due 02/28/26

    50,000       47,510  

5.900% due 02/15/39

    300,000       309,647  
   

Principal
Amount

   

Value

 

Comcast Corp.

   

1.500% due 02/15/31

    $700,000       $529,141  

1.950% due 01/15/31

    140,000       109,514  

2.350% due 01/15/27

    40,000       36,249  

2.450% due 08/15/52

    100,000       54,312  

2.800% due 01/15/51

    55,000       32,232  

2.987% due 11/01/63

    101,000       55,911  

3.300% due 02/01/27

    100,000       93,419  

3.400% due 07/15/46

    55,000       37,522  

3.750% due 04/01/40

    155,000       120,161  

3.950% due 10/15/25

    350,000       339,670  

3.999% due 11/01/49

    211,000       156,781  

4.000% due 08/15/47

    100,000       74,795  

4.049% due 11/01/52

    97,000       72,045  

4.150% due 10/15/28

    95,000       90,026  

4.250% due 10/15/30

    420,000       387,037  

4.400% due 08/15/35

    77,000       68,093  

4.600% due 10/15/38

    85,000       74,556  

4.700% due 10/15/48

    325,000       275,217  

4.750% due 03/01/44

    300,000       252,588  

4.800% due 05/15/33

    200,000       187,710  

4.950% due 10/15/58

    80,000       68,926  

5.350% due 11/15/27

    65,000       64,996  

5.500% due 05/15/64

    200,000       182,187  

Corning, Inc.

   

4.375% due 11/15/57

    100,000       75,263  

4.700% due 03/15/37

    50,000       44,295  

5.350% due 11/15/48

    100,000       88,972  

Deutsche Telekom International Finance BV (Germany)
8.750% due 06/15/30

    185,000       211,994  

Discovery Communications LLC

   

3.450% due 03/15/25

    100,000       96,164  

3.625% due 05/15/30

    250,000       211,718  

3.950% due 03/20/28

    60,000       54,691  

4.000% due 09/15/55

    118,000       70,887  

5.200% due 09/20/47

    30,000       22,770  

eBay, Inc.

   

1.900% due 03/11/25

    50,000       47,308  

2.700% due 03/11/30

    100,000       83,190  

3.600% due 06/05/27

    50,000       46,523  

5.900% due 11/22/25

    70,000       70,152  

Expedia Group, Inc.
3.800% due 02/15/28

    250,000       228,575  

Fox Corp.

   

3.050% due 04/07/25

    150,000       143,985  

5.576% due 01/25/49

    200,000       167,715  

Interpublic Group of Cos., Inc.

   

2.400% due 03/01/31

    100,000       78,621  

3.375% due 03/01/41

    70,000       46,536  

JD.com, Inc. (China)
4.125% due 01/14/50

    200,000       137,627  

Juniper Networks, Inc.
3.750% due 08/15/29

    100,000       89,233  

Meta Platforms, Inc.

   

3.500% due 08/15/27

    200,000       188,714  

3.850% due 08/15/32

    200,000       177,538  

4.450% due 08/15/52

    200,000       158,452  

4.600% due 05/15/28

    200,000       195,715  

4.650% due 08/15/62

    200,000       159,329  

4.950% due 05/15/33

    100,000       95,890  

5.750% due 05/15/63

    100,000       94,375  

Motorola Solutions, Inc.

   

2.750% due 05/24/31

    100,000       79,058  

4.600% due 02/23/28

    100,000       95,680  

Omnicom Group, Inc.
2.600% due 08/01/31

    100,000       79,299  

Omnicom Group, Inc./Omnicom Capital, Inc.
3.600% due 04/15/26

    50,000       47,510  

Orange SA (France)

   

5.375% due 01/13/42

    150,000       136,795  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

201

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

9.000% due 03/01/31

    $50,000       $59,089  

Paramount Global

   

2.900% due 01/15/27

    50,000       44,344  

3.375% due 02/15/28

    55,000       47,723  

4.200% due 05/19/32

    300,000       238,629  

4.375% due 03/15/43

    70,000       45,320  

5.900% due 10/15/40

    50,000       38,986  

6.875% due 04/30/36

    100,000       90,995  

7.875% due 07/30/30

    100,000       101,094  

Rogers Communications, Inc. (Canada)

   

3.200% due 03/15/27

    65,000       59,479  

3.800% due 03/15/32

    65,000       54,043  

4.300% due 02/15/48

    85,000       59,620  

4.350% due 05/01/49

    75,000       53,507  

4.500% due 03/15/43

    25,000       18,884  

4.550% due 03/15/52

    100,000       73,019  

5.000% due 03/15/44

    100,000       80,935  

Sprint LLC
7.625% due 03/01/26

    300,000       308,548  

T-Mobile USA, Inc.

   

2.250% due 11/15/31

    50,000       38,124  

2.400% due 03/15/29

    25,000       21,058  

2.550% due 02/15/31

    300,000       238,826  

2.700% due 03/15/32

    55,000       43,044  

3.000% due 02/15/41

    20,000       13,262  

3.300% due 02/15/51

    50,000       31,314  

3.400% due 10/15/52

    150,000       93,778  

3.500% due 04/15/25

    200,000       193,031  

3.600% due 11/15/60

    220,000       136,243  

3.750% due 04/15/27

    500,000       467,378  

3.875% due 04/15/30

    300,000       265,905  

4.500% due 04/15/50

    200,000       153,471  

4.800% due 07/15/28

    500,000       480,775  

4.950% due 03/15/28

    60,000       58,255  

5.050% due 07/15/33

    160,000       148,506  

5.200% due 01/15/33

    130,000       122,772  

5.650% due 01/15/53

    65,000       59,422  

5.800% due 09/15/62

    95,000       86,768  

Telefonica Emisiones SA (Spain)

   

5.213% due 03/08/47

    150,000       119,612  

7.045% due 06/20/36

    150,000       154,443  

Telefonica Europe BV (Spain)
8.250% due 09/15/30

    250,000       278,302  

TELUS Corp. (Canada)

   

3.400% due 05/13/32

    50,000       40,835  

4.600% due 11/16/48

    100,000       77,743  

Thomson Reuters Corp. (Canada)

   

5.650% due 11/23/43

    150,000       131,140  

5.850% due 04/15/40

    25,000       23,207  

Time Warner Cable LLC

   

5.875% due 11/15/40

    150,000       124,384  

6.550% due 05/01/37

    100,000       90,764  

6.750% due 06/15/39

    50,000       45,802  

7.300% due 07/01/38

    150,000       144,601  

VeriSign, Inc.
2.700% due 06/15/31

    80,000       63,780  

Verizon Communications, Inc.

   

0.850% due 11/20/25

    100,000       90,501  

1.450% due 03/20/26

    40,000       36,127  

1.500% due 09/18/30

    90,000       68,319  

1.750% due 01/20/31

    100,000       75,397  

2.100% due 03/22/28

    60,000       51,561  

2.355% due 03/15/32

    500,000       381,622  

2.550% due 03/21/31

    140,000       111,546  

2.650% due 11/20/40

    450,000       285,057  

2.850% due 09/03/41

    45,000       29,123  

2.875% due 11/20/50

    100,000       57,859  

2.987% due 10/30/56

    383,000       212,825  

3.000% due 11/20/60

    90,000       48,789  

3.150% due 03/22/30

    500,000       426,957  

3.376% due 02/15/25

    200,000       193,594  
   

Principal
Amount

   

Value

 

3.400% due 03/22/41

    $580,000       $411,467  

3.550% due 03/22/51

    55,000       36,222  

3.700% due 03/22/61

    45,000       28,661  

4.000% due 03/22/50

    250,000       179,318  

4.125% due 03/16/27

    300,000       285,461  

4.272% due 01/15/36

    57,000       48,609  

4.329% due 09/21/28

    250,000       235,012  

Vodafone Group PLC (United Kingdom)

   

5.125% due 06/19/59

    100,000       79,448  

5.625% due 02/10/53

    425,000       377,039  

6.150% due 02/27/37

    150,000       147,836  

7.875% due 02/15/30

    50,000       54,972  

Walt Disney Co.

   

1.750% due 01/13/26

    70,000       64,489  

2.000% due 09/01/29

    35,000       28,968  

2.650% due 01/13/31

    310,000       256,811  

2.750% due 09/01/49

    45,000       26,659  

3.350% due 03/24/25

    350,000       338,832  

3.375% due 11/15/26

    200,000       188,622  

3.600% due 01/13/51

    200,000       138,849  

4.700% due 03/23/50

    200,000       169,561  

5.400% due 10/01/43

    100,000       93,391  

6.400% due 12/15/35

    39,000       40,828  

6.650% due 11/15/37

    150,000       161,152  

Weibo Corp. (China)
3.375% due 07/08/30

    200,000       156,320  
   

 

 

 
    27,873,906  
   

 

 

 

Consumer, Cyclical - 1.5%

 

American Airlines Pass-Through Trust Class AA
3.200% due 12/15/29

    104,550       94,231  

American Honda Finance Corp.

   

1.200% due 07/08/25

    50,000       46,343  

1.500% due 01/13/25

    150,000       142,360  

2.000% due 03/24/28

    45,000       38,971  

2.250% due 01/12/29

    150,000       128,394  

5.000% due 05/23/25

    300,000       296,867  

Aptiv PLC

   

3.100% due 12/01/51

    200,000       114,495  

4.400% due 10/01/46

    100,000       71,433  

AutoNation, Inc.
4.500% due 10/01/25

    100,000       96,589  

AutoZone, Inc.

   

1.650% due 01/15/31

    85,000       63,974  

3.750% due 06/01/27

    100,000       94,293  

4.750% due 02/01/33

    65,000       59,157  

Best Buy Co., Inc.
4.450% due 10/01/28

    50,000       47,530  

BorgWarner, Inc.
2.650% due 07/01/27

    25,000       22,336  

Choice Hotels International, Inc.
3.700% due 12/01/29

    25,000       21,606  

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

    15,813       15,443  

Costco Wholesale Corp.

   

1.375% due 06/20/27

    200,000       174,941  

1.750% due 04/20/32

    200,000       153,220  

Cummins, Inc.

   

0.750% due 09/01/25

    35,000       32,005  

1.500% due 09/01/30

    100,000       78,181  

2.600% due 09/01/50

    100,000       57,897  

Darden Restaurants, Inc.
3.850% due 05/01/27

    130,000       122,067  

Delta Air Lines Pass- Through Trust Class AA
2.000% due 12/10/29

    41,031       35,848  

Dick’s Sporting Goods, Inc.
3.150% due 01/15/32

    300,000       230,887  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

202

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Dollar General Corp.

 

3.875% due 04/15/27

    $50,000       $46,877  

4.150% due 11/01/25

    25,000       24,095  

5.200% due 07/05/28

    140,000       135,901  

Dollar Tree, Inc.

 

2.650% due 12/01/31

    100,000       77,540  

4.200% due 05/15/28

    45,000       41,869  

DR Horton, Inc.
1.300% due 10/15/26

    85,000       74,594  

General Motors Co.

 

4.200% due 10/01/27

    50,000       46,636  

5.400% due 10/15/29

    250,000       238,440  

5.400% due 04/01/48

    50,000       39,541  

6.125% due 10/01/25

    250,000       249,836  

6.250% due 10/02/43

    100,000       89,690  

6.750% due 04/01/46

    25,000       23,390  

General Motors Financial Co., Inc.

 

1.250% due 01/08/26

    500,000       447,041  

2.700% due 06/10/31

    100,000       76,612  

3.500% due 11/07/24

    100,000       97,141  

3.600% due 06/21/30

    350,000       293,176  

4.000% due 10/06/26

    50,000       46,876  

4.300% due 04/06/29

    100,000       89,763  

5.000% due 04/09/27

    60,000       57,618  

5.400% due 04/06/26

    75,000       73,468  

5.800% due 06/23/28

    250,000       244,371  

Hasbro, Inc.

 

3.500% due 09/15/27

    30,000       27,678  

3.900% due 11/19/29

    100,000       88,527  

Home Depot, Inc.

 

1.375% due 03/15/31

    300,000       227,175  

2.125% due 09/15/26

    100,000       91,799  

2.375% due 03/15/51

    200,000       109,574  

2.700% due 04/15/30

    300,000       256,376  

3.000% due 04/01/26

    25,000       23,716  

3.250% due 04/15/32

    65,000       55,790  

3.350% due 09/15/25

    45,000       43,315  

3.500% due 09/15/56

    55,000       37,362  

3.625% due 04/15/52

    250,000       179,106  

3.900% due 12/06/28

    40,000       37,788  

4.200% due 04/01/43

    300,000       246,068  

4.500% due 12/06/48

    100,000       83,842  

5.875% due 12/16/36

    75,000       77,350  

Honda Motor Co. Ltd. (Japan)
2.271% due 03/10/25

    250,000       238,333  

Hyatt Hotels Corp.

 

4.850% due 03/15/26

    25,000       24,443  

5.750% due 01/30/27

    95,000       94,435  

JetBlue Pass-Through Trust Class A
4.000% due 05/15/34

    12,546       11,320  

Lear Corp.

 

2.600% due 01/15/32

    100,000       75,613  

3.550% due 01/15/52

    100,000       61,086  

Leggett & Platt, Inc.
3.800% due 11/15/24

    50,000       48,732  

LKQ Corp.
5.750% due 06/15/28 ~

    300,000       293,295  

Lowe’s Cos., Inc.

 

1.300% due 04/15/28

    20,000       16,681  

1.700% due 09/15/28

    25,000       20,888  

1.700% due 10/15/30

    20,000       15,350  

2.625% due 04/01/31

    100,000       80,966  

2.800% due 09/15/41

    50,000       32,333  

3.000% due 10/15/50

    15,000       8,868  

3.500% due 04/01/51

    50,000       32,398  

3.650% due 04/05/29

    35,000       31,782  

3.700% due 04/15/46

    250,000       173,534  

3.750% due 04/01/32

    200,000       173,261  

4.250% due 04/01/52

    50,000       36,922  

4.450% due 04/01/62

    250,000       182,739  

4.500% due 04/15/30

    250,000       233,374  
   

Principal
Amount

   

Value

 

5.150% due 07/01/33

    $300,000       $284,749  

Magna International, Inc. (Canada)

 

4.150% due 10/01/25

    25,000       24,243  

5.980% due 03/21/26

    200,000       200,178  

Marriott International, Inc.

 

2.750% due 10/15/33

    150,000       113,273  

3.125% due 06/15/26

    200,000       187,066  

3.500% due 10/15/32

    40,000       32,752  

McDonald’s Corp.

 

3.375% due 05/26/25

    100,000       96,604  

3.500% due 03/01/27

    50,000       47,091  

3.500% due 07/01/27

    300,000       281,134  

3.600% due 07/01/30

    100,000       89,338  

3.700% due 02/15/42

    200,000       150,471  

3.800% due 04/01/28

    25,000       23,525  

4.200% due 04/01/50

    150,000       116,595  

4.450% due 09/01/48

    10,000       8,203  

4.875% due 07/15/40

    10,000       8,791  

4.950% due 08/14/33

    250,000       238,577  

Mercedes-Benz Finance North America LLC (Germany)
8.500% due 01/18/31

    50,000       59,258  

NIKE, Inc.

 

2.850% due 03/27/30

    350,000       303,398  

3.375% due 11/01/46

    200,000       143,849  

3.625% due 05/01/43

    25,000       19,599  

O’Reilly Automotive, Inc.

 

4.350% due 06/01/28

    100,000       95,564  

4.700% due 06/15/32

    50,000       45,855  

PACCAR Financial Corp.

 

1.100% due 05/11/26

    70,000       63,053  

2.000% due 02/04/27

    70,000       62,979  

3.550% due 08/11/25

    100,000       96,787  

PulteGroup, Inc.
5.500% due 03/01/26

    200,000       198,728  

Ralph Lauren Corp.
3.750% due 09/15/25

    50,000       48,317  

Ross Stores, Inc.

 

0.875% due 04/15/26

    100,000       88,830  

1.875% due 04/15/31

    100,000       76,383  

Southwest Airlines Co.
5.250% due 05/04/25

    180,000       177,970  

Starbucks Corp.

 

2.450% due 06/15/26

    50,000       46,323  

3.500% due 03/01/28

    100,000       92,615  

3.500% due 11/15/50

    200,000       135,255  

3.550% due 08/15/29

    100,000       90,531  

3.750% due 12/01/47

    35,000       24,821  

4.300% due 06/15/45

    35,000       27,416  

4.450% due 08/15/49

    100,000       79,383  

4.800% due 02/15/33

    70,000       65,928  

Tapestry, Inc.
4.125% due 07/15/27

    23,000       21,202  

Target Corp.

 

1.950% due 01/15/27

    250,000       225,916  

2.250% due 04/15/25

    150,000       142,989  

2.950% due 01/15/52

    200,000       122,210  

3.375% due 04/15/29

    100,000       91,808  

4.800% due 01/15/53

    35,000       29,970  

Toyota Motor Corp. (Japan)
5.118% due 07/13/28

    250,000       248,815  

Toyota Motor Credit Corp.

 

0.800% due 10/16/25

    50,000       45,517  

1.125% due 06/18/26

    200,000       178,687  

1.150% due 08/13/27

    120,000       102,899  

1.800% due 02/13/25

    50,000       47,538  

1.900% due 04/06/28

    100,000       86,824  

2.150% due 02/13/30

    100,000       82,551  

3.050% due 03/22/27

    200,000       185,537  

3.200% due 01/11/27

    100,000       93,571  

3.950% due 06/30/25

    175,000       170,380  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

203

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.700% due 01/12/33

    $300,000       $283,734  

United Airlines Pass-Through Trust Class A

   

4.000% due 10/11/27

    60,114       57,177  

5.875% due 04/15/29

    61,455       61,003  

United Airlines Pass-Through Trust Class AA

   

2.700% due 11/01/33

    214,749       177,664  

2.875% due 04/07/30

    106,389       93,940  

3.100% due 01/07/30

    34,170       30,945  

Walgreens Boots Alliance, Inc.
3.450% due 06/01/26

    30,000       27,805  

Walmart, Inc.

   

1.050% due 09/17/26

    150,000       133,819  

1.800% due 09/22/31

    300,000       236,265  

2.500% due 09/22/41

    250,000       167,496  

2.650% due 12/15/24

    100,000       96,934  

2.650% due 09/22/51

    200,000       123,758  

3.050% due 07/08/26

    65,000       61,701  

3.250% due 07/08/29

    80,000       73,155  

4.500% due 04/15/53

    200,000       172,335  

Warnermedia Holdings, Inc.

   

3.638% due 03/15/25

    300,000       289,435  

4.279% due 03/15/32

    300,000       254,824  

5.050% due 03/15/42

    300,000       232,183  

5.141% due 03/15/52

    400,000       297,455  

Whirlpool Corp.

   

2.400% due 05/15/31

    5,000       3,956  

4.600% due 05/15/50

    50,000       39,051  

4.700% due 05/14/32

    30,000       27,481  

4.750% due 02/26/29

    60,000       57,290  

WW Grainger, Inc.

   

1.850% due 02/15/25

    25,000       23,762  

3.750% due 05/15/46

    50,000       37,229  

4.600% due 06/15/45

    20,000       17,133  
   

 

 

 
    17,124,738  
   

 

 

 

Consumer, Non-Cyclical - 4.4%

 

Abbott Laboratories

   

2.950% due 03/15/25

    100,000       96,681  

3.750% due 11/30/26

    227,000       217,940  

4.750% due 11/30/36

    100,000       95,101  

4.900% due 11/30/46

    100,000       91,158  

6.150% due 11/30/37

    25,000       26,792  

AbbVie, Inc.

   

2.600% due 11/21/24

    80,000       77,153  

2.950% due 11/21/26

    455,000       422,427  

3.200% due 05/14/26

    100,000       94,500  

3.200% due 11/21/29

    175,000       154,519  

3.600% due 05/14/25

    175,000       169,211  

3.800% due 03/15/25

    70,000       68,064  

4.050% due 11/21/39

    70,000       57,303  

4.250% due 11/21/49

    300,000       237,724  

4.300% due 05/14/36

    50,000       43,902  

4.400% due 11/06/42

    125,000       104,008  

4.500% due 05/14/35

    160,000       144,661  

4.625% due 10/01/42

    100,000       84,313  

4.700% due 05/14/45

    50,000       42,646  

4.750% due 03/15/45

    330,000       283,584  

Adventist Health System
3.630% due 03/01/49

    15,000       9,798  

Advocate Health & Hospitals Corp.
3.387% due 10/15/49

    50,000       34,480  

Aetna, Inc.

   

3.500% due 11/15/24

    100,000       97,415  

3.875% due 08/15/47

    30,000       21,047  

4.125% due 11/15/42

    100,000       74,469  

Altria Group, Inc.

   

2.350% due 05/06/25

    75,000       70,972  

3.400% due 05/06/30

    50,000       42,779  

3.400% due 02/04/41

    250,000       162,599  

4.400% due 02/14/26

    13,000       12,625  
   

Principal
Amount

   

Value

 

4.450% due 05/06/50

    $75,000       $53,214  

4.500% due 05/02/43

    100,000       74,428  

4.800% due 02/14/29

    300,000       285,455  

5.800% due 02/14/39

    65,000       60,308  

5.950% due 02/14/49

    75,000       67,451  

Amgen, Inc.

   

1.900% due 02/21/25

    35,000       33,298  

2.200% due 02/21/27

    35,000       31,435  

2.300% due 02/25/31

    200,000       160,399  

2.450% due 02/21/30

    50,000       41,429  

2.770% due 09/01/53

    311,000       173,611  

3.200% due 11/02/27

    50,000       45,952  

3.350% due 02/22/32

    145,000       122,548  

3.375% due 02/21/50

    250,000       163,853  

4.200% due 03/01/33

    200,000       177,949  

4.400% due 05/01/45

    100,000       79,326  

5.150% due 03/02/28

    100,000       98,386  

5.150% due 11/15/41

    174,000       154,203  

5.250% due 03/02/25

    35,000       34,746  

5.250% due 03/02/30

    100,000       97,738  

5.250% due 03/02/33

    290,000       277,356  

5.507% due 03/02/26

    40,000       39,769  

5.600% due 03/02/43

    45,000       41,864  

5.650% due 03/02/53

    480,000       449,580  

5.750% due 03/02/63

    395,000       364,718  

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

   

3.650% due 02/01/26

    750,000       720,522  

4.900% due 02/01/46

    750,000       654,131  

Anheuser-Busch InBev Finance, Inc. (Belgium)
4.625% due 02/01/44

    300,000       257,263  

Anheuser-Busch InBev Worldwide, Inc. (Belgium)

   

3.500% due 06/01/30

    350,000       311,625  

4.000% due 04/13/28

    80,000       75,758  

4.375% due 04/15/38

    35,000       30,373  

4.439% due 10/06/48

    200,000       164,937  

4.600% due 04/15/48

    50,000       42,293  

4.750% due 01/23/29

    55,000       53,348  

4.900% due 01/23/31

    65,000       63,328  

5.450% due 01/23/39

    65,000       62,869  

5.550% due 01/23/49

    100,000       95,899  

5.800% due 01/23/59

    45,000       44,081  

Archer-Daniels-Midland Co.

   

2.700% due 09/15/51

    250,000       150,238  

2.900% due 03/01/32

    45,000       37,513  

4.500% due 08/15/33

    200,000       186,078  

Ascension Health
3.945% due 11/15/46

    70,000       54,263  

Astrazeneca Finance LLC (United Kingdom)

   

1.200% due 05/28/26

    35,000       31,458  

2.250% due 05/28/31

    20,000       16,126  

4.875% due 03/03/28

    150,000       147,435  

AstraZeneca PLC (United Kingdom)

   

1.375% due 08/06/30

    300,000       232,830  

3.000% due 05/28/51

    15,000       9,823  

3.125% due 06/12/27

    100,000       92,921  

3.375% due 11/16/25

    100,000       95,980  

4.000% due 09/18/42

    25,000       20,328  

4.375% due 11/16/45

    25,000       20,992  

6.450% due 09/15/37

    100,000       108,131  

Automatic Data Processing, Inc.

   

1.250% due 09/01/30

    40,000       30,905  

1.700% due 05/15/28

    40,000       34,591  

3.375% due 09/15/25

    25,000       24,116  

Avery Dennison Corp.

   

2.650% due 04/30/30

    30,000       24,493  

5.750% due 03/15/33

    100,000       98,149  

Banner Health

   

1.897% due 01/01/31

    40,000       31,217  

2.913% due 01/01/51

    50,000       30,239  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

204

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

BAT Capital Corp. (United Kingdom)

 

2.259% due 03/25/28

    $325,000       $275,083  

2.726% due 03/25/31

    250,000       193,109  

3.215% due 09/06/26

    50,000       46,404  

3.462% due 09/06/29

    50,000       42,853  

3.557% due 08/15/27

    100,000       91,539  

4.390% due 08/15/37

    70,000       53,618  

4.700% due 04/02/27

    200,000       191,581  

4.758% due 09/06/49

    50,000       35,219  

BAT International Finance PLC
(United Kingdom)
1.668% due 03/25/26

    25,000       22,533  

Baxalta, Inc.

   

4.000% due 06/23/25

    15,000       14,556  

5.250% due 06/23/45

    9,000       8,049  

Baxter International, Inc.

   

1.322% due 11/29/24

    400,000       378,793  

1.915% due 02/01/27

    100,000       88,238  

2.539% due 02/01/32

    100,000       77,471  

3.950% due 04/01/30

    150,000       133,664  

Baylor Scott & White Holdings
2.839% due 11/15/50

    200,000       120,907  

Becton Dickinson & Co.

   

2.823% due 05/20/30

    70,000       58,977  

3.734% due 12/15/24

    36,000       35,127  

3.794% due 05/20/50

    350,000       252,536  

4.669% due 06/06/47

    50,000       41,649  

Biogen, Inc.

   

2.250% due 05/01/30

    55,000       43,955  

3.150% due 05/01/50

    440,000       269,020  

Boston Scientific Corp.

   

2.650% due 06/01/30

    350,000       292,725  

4.550% due 03/01/39

    50,000       43,070  

4.700% due 03/01/49

    70,000       58,995  

Bristol-Myers Squibb Co.

   

0.750% due 11/13/25

    50,000       45,457  

1.125% due 11/13/27

    50,000       42,734  

1.450% due 11/13/30

    280,000       215,414  

2.350% due 11/13/40

    20,000       12,675  

2.550% due 11/13/50

    30,000       17,150  

2.950% due 03/15/32

    50,000       41,750  

3.200% due 06/15/26

    50,000       47,448  

3.250% due 08/01/42

    100,000       71,169  

3.400% due 07/26/29

    118,000       106,969  

3.700% due 03/15/52

    70,000       50,303  

3.900% due 02/20/28

    100,000       94,567  

3.900% due 03/15/62

    250,000       175,777  

4.125% due 06/15/39

    35,000       29,211  

4.250% due 10/26/49

    365,000       289,397  

4.350% due 11/15/47

    50,000       40,543  

Brown-Forman Corp.
4.500% due 07/15/45

    40,000       33,555  

Bunge Ltd. Finance Corp.

   

2.750% due 05/14/31

    100,000       81,073  

3.250% due 08/15/26

    20,000       18,706  

3.750% due 09/25/27

    30,000       27,954  

California Institute of Technology
3.650% due 09/01/19

    20,000       12,272  

Campbell Soup Co.

   

4.150% due 03/15/28

    100,000       94,137  

4.800% due 03/15/48

    20,000       16,205  

Cardinal Health, Inc.

   

3.410% due 06/15/27

    100,000       92,420  

3.750% due 09/15/25

    50,000       48,041  

4.368% due 06/15/47

    50,000       37,813  

4.900% due 09/15/45

    50,000       40,210  

Cencora, Inc.
3.450% due 12/15/27

    50,000       46,410  

Centene Corp.

   

2.500% due 03/01/31

    100,000       76,939  

3.000% due 10/15/30

    200,000       161,565  
   

Principal

Amount

   

Value

 

4.625% due 12/15/29

    $200,000       $180,359  

Children’s Hospital of Philadelphia
2.704% due 07/01/50

    250,000       149,068  

Church & Dwight Co., Inc.

   

2.300% due 12/15/31

    40,000       32,038  

5.000% due 06/15/52

    100,000       88,923  

Cigna Group

   

1.250% due 03/15/26

    65,000       58,529  

2.375% due 03/15/31

    60,000       47,959  

2.400% due 03/15/30

    120,000       98,593  

3.050% due 10/15/27

    30,000       27,289  

3.200% due 03/15/40

    85,000       59,825  

3.400% due 03/15/50

    65,000       42,768  

3.400% due 03/15/51

    40,000       26,213  

3.875% due 10/15/47

    50,000       35,813  

4.125% due 11/15/25

    45,000       43,583  

4.375% due 10/15/28

    80,000       75,719  

4.800% due 08/15/38

    60,000       52,899  

4.900% due 12/15/48

    555,000       468,218  

Cintas Corp. No. 2

   

3.450% due 05/01/25

    25,000       24,161  

3.700% due 04/01/27

    50,000       47,438  

Coca-Cola Co.

   

1.375% due 03/15/31

    200,000       152,837  

1.500% due 03/05/28

    60,000       51,979  

2.000% due 03/05/31

    65,000       52,375  

2.125% due 09/06/29

    100,000       85,340  

2.250% due 01/05/32

    100,000       81,153  

2.875% due 05/05/41

    100,000       71,219  

3.000% due 03/05/51

    415,000       278,942  

Colgate-Palmolive Co.

   

3.100% due 08/15/27

    50,000       46,824  

3.700% due 08/01/47

    100,000       78,544  

4.800% due 03/02/26

    60,000       59,740  

CommonSpirit Health

   

4.350% due 11/01/42

    150,000       120,614  

6.073% due 11/01/27

    80,000       80,762  

Conagra Brands, Inc.

   

4.600% due 11/01/25

    35,000       34,071  

4.850% due 11/01/28

    45,000       42,985  

5.300% due 10/01/26

    120,000       118,837  

5.300% due 11/01/38

    50,000       44,021  

5.400% due 11/01/48

    40,000       33,978  

Conopco, Inc.
7.250% due 12/15/26

    200,000       210,992  

Constellation Brands, Inc.

   

2.250% due 08/01/31

    160,000       124,781  

3.500% due 05/09/27

    15,000       13,933  

4.350% due 05/09/27

    150,000       143,605  

4.400% due 11/15/25

    35,000       34,057  

4.650% due 11/15/28

    30,000       28,632  

5.250% due 11/15/48

    30,000       26,631  

CVS Health Corp.

   

1.300% due 08/21/27

    335,000       284,871  

1.750% due 08/21/30

    200,000       154,005  

2.700% due 08/21/40

    65,000       41,025  

2.875% due 06/01/26

    100,000       93,182  

3.000% due 08/15/26

    35,000       32,555  

3.250% due 08/15/29

    65,000       56,899  

3.750% due 04/01/30

    100,000       88,432  

3.875% due 07/20/25

    200,000       193,319  

4.100% due 03/25/25

    37,000       36,156  

4.125% due 04/01/40

    300,000       233,379  

4.250% due 04/01/50

    200,000       148,174  

4.300% due 03/25/28

    72,000       68,163  

4.780% due 03/25/38

    95,000       81,856  

5.125% due 07/20/45

    105,000       88,445  

5.250% due 02/21/33

    500,000       473,909  

5.300% due 06/01/33

    80,000       75,825  

5.300% due 12/05/43

    200,000       174,756  

5.875% due 06/01/53

    200,000       185,108  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

205

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Danaher Corp.

 

2.600% due 10/01/50

    $125,000       $73,385  

2.800% due 12/10/51

    100,000       61,059  

3.350% due 09/15/25

    30,000       28,842  

4.375% due 09/15/45

    30,000       24,979  

Diageo Capital PLC (United Kingdom)

   

2.000% due 04/29/30

    350,000       284,156  

3.875% due 04/29/43

    100,000       77,587  

Dignity Health
5.267% due 11/01/64

    100,000       85,067  

Elevance Health, Inc.

   

2.550% due 03/15/31

    100,000       81,103  

3.350% due 12/01/24

    400,000       388,369  

3.600% due 03/15/51

    30,000       20,617  

3.650% due 12/01/27

    30,000       27,824  

4.375% due 12/01/47

    30,000       23,909  

4.625% due 05/15/42

    100,000       83,997  

4.650% due 01/15/43

    50,000       42,028  

4.750% due 02/15/33

    100,000       93,134  

5.500% due 10/15/32

    200,000       197,011  

Eli Lilly & Co.

   

2.250% due 05/15/50

    200,000       112,880  

3.375% due 03/15/29

    27,000       24,874  

4.700% due 02/27/33

    125,000       120,378  

4.950% due 02/27/63

    250,000       227,149  

Equifax, Inc.

   

2.350% due 09/15/31

    150,000       114,070  

2.600% due 12/01/24

    25,000       24,028  

Estee Lauder Cos., Inc.

   

1.950% due 03/15/31

    45,000       35,293  

2.000% due 12/01/24

    10,000       9,605  

2.375% due 12/01/29

    10,000       8,422  

3.125% due 12/01/49

    15,000       9,780  

3.150% due 03/15/27

    50,000       46,725  

4.150% due 03/15/47

    30,000       23,523  

Flowers Foods, Inc.
2.400% due 03/15/31

    45,000       35,412  

GE HealthCare Technologies, Inc.
5.857% due 03/15/30

    500,000       496,242  

General Mills, Inc.

   

2.250% due 10/14/31

    50,000       39,053  

3.000% due 02/01/51

    60,000       37,212  

3.200% due 02/10/27

    100,000       92,900  

4.200% due 04/17/28

    50,000       47,164  

4.950% due 03/29/33

    70,000       65,637  

5.241% due 11/18/25

    30,000       29,740  

George Washington University
4.300% due 09/15/44

    50,000       40,197  

Georgetown University
2.943% due 04/01/50

    25,000       15,504  

Gilead Sciences, Inc.

   

1.200% due 10/01/27

    45,000       38,298  

1.650% due 10/01/30

    40,000       31,253  

2.600% due 10/01/40

    450,000       297,407  

2.800% due 10/01/50

    100,000       60,477  

2.950% due 03/01/27

    100,000       92,329  

3.650% due 03/01/26

    100,000       95,766  

4.150% due 03/01/47

    75,000       59,344  

4.600% due 09/01/35

    45,000       41,218  

4.750% due 03/01/46

    50,000       42,869  

5.250% due 10/15/33

    155,000       151,246  

GlaxoSmithKline Capital PLC (United Kingdom)
3.375% due 06/01/29

    250,000       228,279  

GlaxoSmithKline Capital, Inc. (United Kingdom)

   

3.625% due 05/15/25

    85,000       82,713  

6.375% due 05/15/38

    100,000       108,637  

Global Payments, Inc.

   

2.900% due 05/15/30

    300,000       246,166  

5.400% due 08/15/32

    200,000       187,656  
   

Principal

Amount

   

Value

 

Hackensack Meridian Health, Inc.
4.500% due 07/01/57

    $100,000       $81,249  

Haleon U.S. Capital LLC

   

3.375% due 03/24/27

    250,000       232,042  

3.625% due 03/24/32

    250,000       214,526  

Haleon UK Capital PLC
3.125% due 03/24/25

    350,000       336,271  

HCA, Inc.

   

3.125% due 03/15/27

    45,000       40,904  

3.500% due 07/15/51

    350,000       218,866  

3.625% due 03/15/32

    600,000       497,662  

4.125% due 06/15/29

    35,000       31,701  

4.500% due 02/15/27

    60,000       57,301  

4.625% due 03/15/52

    25,000       18,795  

5.125% due 06/15/39

    50,000       43,363  

5.200% due 06/01/28

    165,000       159,552  

5.250% due 04/15/25

    70,000       69,159  

5.250% due 06/15/26

    75,000       73,444  

5.250% due 06/15/49

    100,000       82,278  

5.500% due 06/15/47

    75,000       64,093  

5.900% due 06/01/53

    200,000       180,332  

Hershey Co.

   

2.300% due 08/15/26

    50,000       46,465  

4.250% due 05/04/28

    140,000       135,670  

Hormel Foods Corp.

   

1.700% due 06/03/28

    35,000       29,929  

3.050% due 06/03/51

    25,000       16,070  

Humana, Inc.

   

3.700% due 03/23/29

    85,000       77,577  

3.850% due 10/01/24

    100,000       97,991  

4.625% due 12/01/42

    100,000       81,848  

5.700% due 03/13/26

    75,000       74,770  

Ingredion, Inc.
3.200% due 10/01/26

    100,000       93,613  

J M Smucker Co.

   

2.375% due 03/15/30

    65,000       52,918  

2.750% due 09/15/41

    100,000       62,972  

3.550% due 03/15/50

    50,000       32,412  

JBS USA LUX SA/JBS USA Food Co./JBS
USA Finance, Inc.
5.750% due 04/01/33

    500,000       457,907  

Johns Hopkins Health System Corp.
3.837% due 05/15/46

    50,000       37,308  

Johns Hopkins University
4.705% due 07/01/32

    30,000       28,857  

Johnson & Johnson

   

0.550% due 09/01/25

    400,000       366,084  

1.300% due 09/01/30

    70,000       55,073  

2.100% due 09/01/40

    65,000       41,647  

2.250% due 09/01/50

    100,000       57,780  

2.450% due 03/01/26

    50,000       46,981  

3.400% due 01/15/38

    50,000       40,364  

3.500% due 01/15/48

    65,000       49,210  

3.550% due 03/01/36

    25,000       21,225  

3.625% due 03/03/37

    132,000       111,345  

3.700% due 03/01/46

    25,000       19,495  

3.750% due 03/03/47

    50,000       39,435  

4.850% due 05/15/41

    50,000       46,814  

5.950% due 08/15/37

    100,000       105,878  

Kaiser Foundation Hospitals

   

2.810% due 06/01/41

    65,000       43,722  

3.002% due 06/01/51

    70,000       44,145  

3.150% due 05/01/27

    225,000       210,663  

4.150% due 05/01/47

    20,000       15,879  

Kellogg Co.

   

3.400% due 11/15/27

    100,000       91,977  

4.300% due 05/15/28

    100,000       94,435  

Kenvue, Inc.

   

5.050% due 03/22/28 ~

    200,000       197,476  

5.050% due 03/22/53 ~

    200,000       181,856  

Keurig Dr Pepper, Inc.

   
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

206

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

2.550% due 09/15/26

    $50,000       $45,908  

3.430% due 06/15/27

    35,000       32,542  

4.420% due 12/15/46

    250,000       195,572  

Kimberly-Clark Corp.

   

1.050% due 09/15/27

    25,000       21,338  

2.000% due 11/02/31

    100,000       78,985  

3.050% due 08/15/25

    50,000       48,002  

3.950% due 11/01/28

    10,000       9,522  

6.625% due 08/01/37

    100,000       109,917  

Kraft Heinz Foods Co.

   

3.875% due 05/15/27

    250,000       235,657  

4.375% due 06/01/46

    500,000       389,928  

Kroger Co.

   

3.500% due 02/01/26

    50,000       47,617  

3.950% due 01/15/50

    100,000       72,177  

4.650% due 01/15/48

    100,000       80,506  

5.150% due 08/01/43

    25,000       21,270  

Laboratory Corp. of America Holdings

   

1.550% due 06/01/26

    70,000       62,732  

2.700% due 06/01/31

    100,000       81,077  

3.600% due 09/01/27

    100,000       93,691  

4.700% due 02/01/45

    50,000       40,799  

Leland Stanford Junior University
3.647% due 05/01/48

    125,000       96,837  

Mass General Brigham, Inc.
3.342% due 07/01/60

    30,000       18,856  

Massachusetts Institute of Technology

   

3.067% due 04/01/52

    100,000       66,979  

5.600% due 07/01/11

    100,000       99,480  

Mayo Clinic
3.196% due 11/15/61

    100,000       61,940  

McCormick & Co., Inc.

   

0.900% due 02/15/26

    95,000       85,183  

3.400% due 08/15/27

    50,000       46,207  

McKesson Corp.
1.300% due 08/15/26

    165,000       146,897  

Mead Johnson Nutrition Co. (United Kingdom)
4.600% due 06/01/44

    200,000       167,897  

Medtronic Global Holdings SCA
4.500% due 03/30/33

    200,000       186,431  

Medtronic, Inc.
4.625% due 03/15/45

    65,000       57,090  

Memorial Sloan-Kettering Cancer Center
2.955% due 01/01/50

    55,000       34,162  

Merck & Co., Inc.

   

0.750% due 02/24/26

    350,000       315,403  

1.700% due 06/10/27

    50,000       44,312  

2.150% due 12/10/31

    50,000       39,560  

3.400% due 03/07/29

    200,000       182,902  

3.600% due 09/15/42

    300,000       230,080  

4.050% due 05/17/28

    250,000       240,732  

4.150% due 05/18/43

    100,000       83,527  

4.500% due 05/17/33

    120,000       112,355  

5.000% due 05/17/53

    100,000       91,024  

Molson Coors Beverage Co.

   

4.200% due 07/15/46

    40,000       30,120  

5.000% due 05/01/42

    100,000       86,359  

Mondelez International, Inc.

   

1.500% due 02/04/31

    40,000       30,057  

1.875% due 10/15/32

    300,000       224,152  

2.625% due 09/04/50

    25,000       14,455  

Moody’s Corp.

   

2.000% due 08/19/31

    100,000       77,670  

2.750% due 08/19/41

    100,000       65,114  

4.875% due 12/17/48

    50,000       42,860  

Mount Sinai Hospital
3.981% due 07/01/48

    50,000       37,689  

New York & Presbyterian Hospital
3.954% due 08/01/19

    35,000       22,949  
   

Principal

Amount

   

Value

 

Northwell Healthcare, Inc.
3.809% due 11/01/49

    $100,000       $68,930  

Northwestern University
3.662% due 12/01/57

    25,000       17,918  

Novartis Capital Corp. (Switzerland)

   

3.000% due 11/20/25

    100,000       95,338  

3.100% due 05/17/27

    30,000       28,068  

4.000% due 11/20/45

    100,000       80,804  

NYU Langone Hospitals
4.368% due 07/01/47

    25,000       20,411  

OhioHealth Corp.
2.297% due 11/15/31

    100,000       79,265  

PayPal Holdings, Inc.

   

1.650% due 06/01/25

    315,000       294,889  

2.300% due 06/01/30

    55,000       44,992  

3.250% due 06/01/50

    65,000       42,667  

4.400% due 06/01/32

    100,000       92,488  

5.050% due 06/01/52

    100,000       90,541  

PeaceHealth Obligated Group
1.375% due 11/15/25

    15,000       13,622  

PepsiCo, Inc.

   

1.625% due 05/01/30

    60,000       48,238  

1.950% due 10/21/31

    75,000       59,173  

2.375% due 10/06/26

    55,000       51,111  

2.750% due 04/30/25

    100,000       95,992  

2.750% due 03/19/30

    500,000       433,372  

2.750% due 10/21/51

    500,000       313,220  

3.450% due 10/06/46

    60,000       44,283  

3.500% due 07/17/25

    50,000       48,466  

4.200% due 07/18/52

    55,000       45,507  

Pfizer Investment Enterprises Pte. Ltd.

   

4.450% due 05/19/26

    195,000       190,536  

4.450% due 05/19/28

    250,000       241,127  

4.650% due 05/19/25

    250,000       246,636  

4.750% due 05/19/33

    265,000       250,605  

5.110% due 05/19/43

    600,000       551,367  

5.300% due 05/19/53

    80,000       74,391  

5.340% due 05/19/63

    200,000       182,863  

Pfizer, Inc.

   

0.800% due 05/28/25

    30,000       27,808  

1.700% due 05/28/30

    350,000       280,810  

1.750% due 08/18/31

    100,000       77,535  

2.550% due 05/28/40

    25,000       16,832  

2.625% due 04/01/30

    250,000       213,635  

2.700% due 05/28/50

    25,000       15,673  

3.000% due 12/15/26

    100,000       93,669  

3.600% due 09/15/28

    100,000       93,587  

3.900% due 03/15/39

    25,000       20,566  

4.100% due 09/15/38

    50,000       42,643  

4.200% due 09/15/48

    35,000       28,714  

Philip Morris International, Inc.

   

0.875% due 05/01/26

    100,000       89,186  

1.750% due 11/01/30

    100,000       76,210  

3.250% due 11/10/24

    125,000       121,572  

3.375% due 08/11/25

    50,000       48,027  

4.250% due 11/10/44

    30,000       22,900  

4.500% due 03/20/42

    200,000       159,850  

4.875% due 02/13/26

    400,000       393,532  

4.875% due 02/15/28

    100,000       96,937  

5.125% due 02/15/30

    100,000       95,952  

5.375% due 02/15/33

    100,000       94,853  

6.375% due 05/16/38

    100,000       101,966  

Pilgrim’s Pride Corp.
6.250% due 07/01/33

    200,000       188,208  

President & Fellows of Harvard College
4.875% due 10/15/40

    100,000       92,179  

Procter & Gamble Co.

   

0.550% due 10/29/25

    50,000       45,485  

1.000% due 04/23/26

    250,000       226,241  

1.200% due 10/29/30

    50,000       38,736  

3.000% due 03/25/30

    300,000       266,662  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

207

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

3.950% due 01/26/28

    $100,000       $96,812  

Providence St Joseph Health Obligated Group

   

2.700% due 10/01/51

    75,000       41,126  

3.930% due 10/01/48

    35,000       24,540  

Quanta Services, Inc.

   

0.950% due 10/01/24

    15,000       14,194  

2.350% due 01/15/32

    25,000       18,777  

3.050% due 10/01/41

    30,000       18,934  

Quest Diagnostics, Inc.

   

2.800% due 06/30/31

    70,000       57,573  

2.950% due 06/30/30

    55,000       46,214  

RELX Capital, Inc. (United Kingdom)
4.000% due 03/18/29

    100,000       93,304  

Revvity, Inc.

   

2.550% due 03/15/31

    85,000       67,007  

3.300% due 09/15/29

    30,000       26,049  

Reynolds American, Inc. (United Kingdom)
6.150% due 09/15/43

    300,000       265,424  

Royalty Pharma PLC

   

2.150% due 09/02/31

    55,000       41,187  

3.300% due 09/02/40

    300,000       196,655  

3.350% due 09/02/51

    60,000       34,776  

RWJ Barnabas Health, Inc.
3.477% due 07/01/49

    25,000       17,248  

S&P Global, Inc.

   

2.450% due 03/01/27

    250,000       227,873  

2.700% due 03/01/29

    200,000       175,007  

3.900% due 03/01/62

    250,000       180,925  

Shire Acquisitions Investments Ireland DAC
3.200% due 09/23/26

    250,000       233,550  

Smith & Nephew PLC (United Kingdom)
2.032% due 10/14/30

    250,000       192,600  

Stanford Health Care
3.027% due 08/15/51

    30,000       19,022  

Stryker Corp.

   

1.150% due 06/15/25

    250,000       232,002  

4.100% due 04/01/43

    100,000       78,449  

Sutter Health

   

2.294% due 08/15/30

    55,000       44,445  

3.361% due 08/15/50

    55,000       36,051  

5.547% due 08/15/53

    100,000       96,039  

Sysco Corp.

   

2.450% due 12/14/31

    105,000       82,315  

3.150% due 12/14/51

    125,000       76,980  

3.250% due 07/15/27

    50,000       45,986  

3.750% due 10/01/25

    25,000       24,033  

4.450% due 03/15/48

    50,000       38,931  

4.500% due 04/01/46

    25,000       19,525  

4.850% due 10/01/45

    15,000       12,199  

Takeda Pharmaceutical Co. Ltd. (Japan)

   

3.175% due 07/09/50

    250,000       158,377  

5.000% due 11/26/28

    100,000       97,909  

Thermo Fisher Scientific, Inc.

   

1.215% due 10/18/24

    250,000       238,414  

1.750% due 10/15/28

    20,000       16,934  

2.000% due 10/15/31

    35,000       27,164  

2.800% due 10/15/41

    320,000       215,927  

5.300% due 02/01/44

    100,000       93,968  

Toledo Hospital
5.750% due 11/15/38

    50,000       48,724  

Trustees of Princeton University
5.700% due 03/01/39

    50,000       51,090  

Tyson Foods, Inc.

   

3.550% due 06/02/27

    350,000       324,574  

4.000% due 03/01/26

    15,000       14,411  

4.350% due 03/01/29

    20,000       18,630  

5.100% due 09/28/48

    10,000       8,145  

Unilever Capital Corp. (United Kingdom)

   

1.750% due 08/12/31

    140,000       108,596  

4.875% due 09/08/28

    200,000       197,093  

5.000% due 12/08/33

    200,000       193,758  
   

Principal

Amount

   

Value

 

5.900% due 11/15/32

    $50,000       $51,932  

UnitedHealth Group, Inc.

   

1.150% due 05/15/26

    50,000       44,996  

2.000% due 05/15/30

    405,000       328,143  

2.300% due 05/15/31

    50,000       40,425  

2.875% due 08/15/29

    75,000       65,929  

2.900% due 05/15/50

    300,000       184,516  

3.050% due 05/15/41

    50,000       35,305  

3.250% due 05/15/51

    50,000       32,910  

3.500% due 08/15/39

    60,000       46,268  

3.700% due 12/15/25

    20,000       19,290  

3.700% due 08/15/49

    65,000       46,884  

3.750% due 07/15/25

    75,000       72,995  

3.850% due 06/15/28

    100,000       94,418  

3.875% due 12/15/28

    25,000       23,493  

3.875% due 08/15/59

    100,000       71,303  

4.200% due 05/15/32

    65,000       59,348  

4.250% due 06/15/48

    50,000       39,986  

4.450% due 12/15/48

    25,000       20,676  

4.500% due 04/15/33

    150,000       138,866  

4.750% due 07/15/45

    50,000       43,464  

5.050% due 04/15/53

    150,000       134,326  

5.150% due 10/15/25

    25,000       24,932  

5.250% due 02/15/28

    70,000       70,149  

5.350% due 02/15/33

    100,000       98,976  

5.875% due 02/15/53

    530,000       532,579  

6.875% due 02/15/38

    250,000       279,056  

University of Chicago
2.761% due 04/01/45

    10,000       7,149  

University of Notre Dame du Lac
3.394% due 02/15/48

    50,000       36,918  

University of Southern California

   

2.805% due 10/01/50

    50,000       30,785  

3.028% due 10/01/39

    50,000       37,557  

Utah Acquisition Sub, Inc.
3.950% due 06/15/26

    100,000       93,711  

Verisk Analytics, Inc.
5.750% due 04/01/33

    115,000       114,476  

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

    400,000       260,752  

Wyeth LLC

   

5.950% due 04/01/37

    50,000       51,422  

6.500% due 02/01/34

    100,000       107,628  

Yale University
2.402% due 04/15/50

    150,000       87,534  

Zimmer Biomet Holdings, Inc.
2.600% due 11/24/31

    100,000       78,841  

Zoetis, Inc.
5.600% due 11/16/32

    135,000       134,475  
   

 

 

 
    51,822,009  
   

 

 

 

Energy - 1.7%

 

Apache Corp.
5.100% due 09/01/40

    150,000       119,326  

Baker Hughes Holdings LLC
5.125% due 09/15/40

    50,000       45,176  

Baker Hughes Holdings LLC/Baker Hughes

Co.-Obligor, Inc.

   

3.337% due 12/15/27

    100,000       91,427  

4.080% due 12/15/47

    50,000       37,425  

Boardwalk Pipelines LP
4.950% due 12/15/24

    100,000       98,580  

BP Capital Markets America, Inc.

   

1.749% due 08/10/30

    130,000       102,871  

2.772% due 11/10/50

    130,000       76,675  

3.000% due 02/24/50

    150,000       93,662  

3.001% due 03/17/52

    50,000       30,722  

3.119% due 05/04/26

    25,000       23,637  

3.588% due 04/14/27

    100,000       94,326  

4.234% due 11/06/28

    400,000       380,530  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

208

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

4.812% due 02/13/33

    $535,000       $501,043  

Canadian Natural Resources Ltd. (Canada)

   

2.050% due 07/15/25

    300,000       280,108  

3.850% due 06/01/27

    50,000       46,641  

4.950% due 06/01/47

    25,000       20,702  

6.750% due 02/01/39

    90,000       89,381  

Cenovus Energy, Inc. (Canada)

   

2.650% due 01/15/32

    65,000       50,545  

3.750% due 02/15/52

    225,000       149,113  

Cheniere Corpus Christi Holdings LLC

   

3.700% due 11/15/29

    60,000       53,261  

5.125% due 06/30/27

    300,000       291,659  

Cheniere Energy Partners LP
5.950% due 06/30/33 ~

    125,000       120,715  

Chevron Corp.

   

1.554% due 05/11/25

    35,000       32,940  

1.995% due 05/11/27

    350,000       313,840  

2.236% due 05/11/30

    25,000       20,854  

2.954% due 05/16/26

    100,000       94,607  

3.326% due 11/17/25

    50,000       48,075  

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

    50,000       47,552  

ConocoPhillips Co.

   

3.758% due 03/15/42

    250,000       191,763  

4.025% due 03/15/62

    200,000       143,895  

5.050% due 09/15/33

    145,000       138,909  

6.950% due 04/15/29

    100,000       108,353  

Devon Energy Corp.

   

5.000% due 06/15/45

    105,000       84,705  

5.850% due 12/15/25

    50,000       49,763  

Diamondback Energy, Inc.

   

3.500% due 12/01/29

    100,000       88,809  

4.250% due 03/15/52

    60,000       42,673  

6.250% due 03/15/33

    300,000       300,334  

Enbridge Energy Partners LP
7.500% due 04/15/38

    50,000       52,713  

Enbridge, Inc. (Canada)

   

1.600% due 10/04/26

    55,000       48,919  

2.500% due 01/15/25

    50,000       47,805  

2.500% due 08/01/33

    400,000       296,952  

3.400% due 08/01/51

    70,000       43,775  

3.700% due 07/15/27

    100,000       93,043  

4.500% due 06/10/44

    150,000       115,834  

Energy Transfer LP

   

2.900% due 05/15/25

    40,000       38,018  

3.750% due 05/15/30

    310,000       270,218  

3.900% due 07/15/26

    100,000       94,695  

4.050% due 03/15/25

    100,000       97,276  

4.200% due 04/15/27

    100,000       94,284  

4.400% due 03/15/27

    200,000       189,659  

5.000% due 05/15/50

    350,000       274,994  

5.250% due 04/15/29

    25,000       23,983  

5.300% due 04/15/47

    100,000       81,362  

5.750% due 02/15/33

    350,000       336,824  

5.950% due 10/01/43

    100,000       88,044  

6.125% due 12/15/45

    200,000       178,167  

6.500% due 02/01/42

    100,000       95,738  

Enterprise Products Operating LLC

   

3.125% due 07/31/29

    100,000       87,929  

4.150% due 10/16/28

    50,000       46,910  

4.200% due 01/31/50

    450,000       347,829  

4.250% due 02/15/48

    25,000       19,606  

4.800% due 02/01/49

    50,000       42,416  

5.350% due 01/31/33

    100,000       97,845  

5.375% due 02/15/78

    300,000       250,193  

6.125% due 10/15/39

    115,000       115,012  

6.875% due 03/01/33

    150,000       161,949  

Equinor ASA (Norway)

   

2.375% due 05/22/30

    125,000       105,046  

3.250% due 11/18/49

    200,000       133,963  

3.950% due 05/15/43

    300,000       238,756  
   

Principal

Amount

   

Value

 

Exxon Mobil Corp.

   

2.440% due 08/16/29

    $50,000       $43,279  

2.610% due 10/15/30

    250,000       211,196  

2.992% due 03/19/25

    500,000       482,955  

2.995% due 08/16/39

    50,000       36,530  

3.043% due 03/01/26

    150,000       142,303  

3.452% due 04/15/51

    200,000       140,120  

4.114% due 03/01/46

    65,000       52,251  

4.327% due 03/19/50

    300,000       246,552  

Halliburton Co.

   

3.800% due 11/15/25

    6,000       5,804  

4.850% due 11/15/35

    50,000       45,016  

5.000% due 11/15/45

    342,000       290,328  

7.450% due 09/15/39

    25,000       27,747  

Hess Corp.

   

4.300% due 04/01/27

    50,000       47,513  

5.600% due 02/15/41

    50,000       45,208  

5.800% due 04/01/47

    50,000       45,668  

7.125% due 03/15/33

    50,000       52,844  

Kinder Morgan, Inc.

   

2.000% due 02/15/31

    210,000       160,477  

3.250% due 08/01/50

    220,000       131,018  

4.300% due 03/01/28

    300,000       282,496  

4.800% due 02/01/33

    100,000       90,218  

5.300% due 12/01/34

    70,000       64,222  

5.550% due 06/01/45

    350,000       301,164  

Magellan Midstream Partners LP

   

4.200% due 10/03/47

    50,000       35,066  

4.250% due 09/15/46

    70,000       49,589  

5.000% due 03/01/26

    50,000       49,090  

Marathon Oil Corp.

   

4.400% due 07/15/27

    100,000       94,102  

5.200% due 06/01/45

    50,000       39,369  

Marathon Petroleum Corp.

   

3.800% due 04/01/28

    30,000       27,603  

4.500% due 04/01/48

    25,000       18,559  

5.125% due 12/15/26

    50,000       49,226  

6.500% due 03/01/41

    100,000       99,046  

MPLX LP

   

2.650% due 08/15/30

    45,000       36,363  

4.250% due 12/01/27

    250,000       234,949  

4.500% due 04/15/38

    30,000       24,331  

4.700% due 04/15/48

    45,000       34,154  

4.875% due 12/01/24

    250,000       246,541  

4.900% due 04/15/58

    15,000       11,178  

4.950% due 03/14/52

    200,000       156,719  

5.650% due 03/01/53

    75,000       64,556  

NOV, Inc.
3.950% due 12/01/42

    100,000       70,285  

Occidental Petroleum Corp.

   

6.600% due 03/15/46

    300,000       295,132  

6.625% due 09/01/30

    300,000       304,302  

ONEOK, Inc.

   

2.200% due 09/15/25

    25,000       23,277  

3.100% due 03/15/30

    25,000       20,932  

4.000% due 07/13/27

    130,000       121,715  

4.350% due 03/15/29

    100,000       92,298  

4.500% due 03/15/50

    25,000       18,175  

4.550% due 07/15/28

    50,000       47,118  

4.950% due 07/13/47

    50,000       39,558  

5.200% due 07/15/48

    225,000       184,421  

Ovintiv, Inc.
6.250% due 07/15/33

    115,000       111,290  

Phillips 66

   

1.300% due 02/15/26

    20,000       18,091  

3.300% due 03/15/52

    100,000       62,943  

4.650% due 11/15/34

    200,000       179,927  

Phillips 66 Co.

   

3.550% due 10/01/26

    50,000       47,121  

4.900% due 10/01/46

    25,000       20,779  

4.950% due 12/01/27

    250,000       245,137  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

209

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Pioneer Natural Resources Co.
2.150% due 01/15/31

    $385,000       $304,052  

Plains All American Pipeline LP/PAA
Finance Corp.

   

4.500% due 12/15/26

    150,000       143,467  

4.650% due 10/15/25

    100,000       97,132  

4.700% due 06/15/44

    50,000       36,988  

Sabine Pass Liquefaction LLC

   

4.500% due 05/15/30

    205,000       188,071  

5.625% due 03/01/25

    165,000       164,004  

Schlumberger Investment SA

   

2.650% due 06/26/30

    100,000       84,719  

4.500% due 05/15/28

    50,000       48,469  

Shell International Finance BV (Netherlands)

   

2.500% due 09/12/26

    50,000       46,344  

2.750% due 04/06/30

    85,000       73,151  

2.875% due 05/10/26

    100,000       94,376  

2.875% due 11/26/41

    200,000       135,940  

3.000% due 11/26/51

    200,000       125,056  

3.250% due 05/11/25

    100,000       96,639  

3.250% due 04/06/50

    100,000       66,496  

3.625% due 08/21/42

    100,000       76,311  

3.750% due 09/12/46

    50,000       36,978  

4.000% due 05/10/46

    100,000       77,529  

4.125% due 05/11/35

    263,000       231,880  

Spectra Energy Partners LP
3.375% due 10/15/26

    20,000       18,616  

Suncor Energy, Inc. (Canada)

   

4.000% due 11/15/47

    70,000       49,461  

6.800% due 05/15/38

    200,000       202,936  

Targa Resources Corp.

   

5.200% due 07/01/27

    85,000       83,342  

6.125% due 03/15/33

    70,000       68,677  

6.250% due 07/01/52

    200,000       183,968  

TC PipeLines LP
3.900% due 05/25/27

    20,000       18,671  

Teck Resources Ltd. (Canada)
3.900% due 07/15/30

    250,000       217,513  

TotalEnergies Capital International SA (France)

   

2.434% due 01/10/25

    50,000       48,080  

2.829% due 01/10/30

    50,000       43,406  

3.127% due 05/29/50

    100,000       65,270  

3.461% due 07/12/49

    50,000       34,825  

TotalEnergies Capital SA (France)
3.883% due 10/11/28

    25,000       23,510  

TransCanada PipeLines Ltd. (Canada)

   

1.000% due 10/12/24

    420,000       399,127  

4.100% due 04/15/30

    200,000       178,958  

4.250% due 05/15/28

    50,000       46,872  

5.100% due 03/15/49

    50,000       41,619  

7.625% due 01/15/39

    50,000       55,212  

Transcontinental Gas Pipe Line Co. LLC

   

3.250% due 05/15/30

    25,000       21,471  

4.000% due 03/15/28

    50,000       46,607  

4.450% due 08/01/42

    150,000       118,653  

Valero Energy Corp.

   

2.150% due 09/15/27

    100,000       88,253  

2.800% due 12/01/31

    100,000       79,898  

6.625% due 06/15/37

    150,000       153,932  

Western Midstream Operating LP

   

4.050% due 02/01/30

    200,000       175,036  

6.150% due 04/01/33

    40,000       38,625  

Williams Cos., Inc.

   

2.600% due 03/15/31

    350,000       278,939  

3.750% due 06/15/27

    50,000       46,513  

5.100% due 09/15/45

    100,000       84,144  

5.300% due 08/15/52

    250,000       212,814  

5.400% due 03/02/26

    70,000       69,479  

5.750% due 06/24/44

    35,000       31,777  

6.300% due 04/15/40

    20,000       19,611  
   

 

 

 
    20,205,622  
   

 

 

 
   

Principal

Amount

   

Value

 

Financial - 9.9%

 

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

   

1.650% due 10/29/24

    $150,000       $142,740  

1.750% due 10/29/24

    150,000       143,052  

2.450% due 10/29/26

    150,000       134,429  

3.300% due 01/30/32

    150,000       119,299  

3.875% due 01/23/28

    150,000       136,162  

5.750% due 06/06/28

    150,000       146,658  

6.500% due 07/15/25

    250,000       250,372  

Affiliated Managers Group, Inc.
3.500% due 08/01/25

    50,000       47,533  

African Development Bank (Multi-National)

   

0.875% due 03/23/26

    400,000       361,606  

0.875% due 07/22/26

    116,000       103,745  

Air Lease Corp.

   

2.100% due 09/01/28

    300,000       249,366  

2.300% due 02/01/25

    100,000       94,776  

3.000% due 02/01/30

    100,000       82,333  

3.250% due 03/01/25

    100,000       95,752  

5.300% due 02/01/28

    300,000       290,037  

Alexandria Real Estate Equities, Inc. REIT

   

2.750% due 12/15/29

    50,000       41,723  

2.950% due 03/15/34

    40,000       30,409  

3.375% due 08/15/31

    60,000       50,249  

3.550% due 03/15/52

    70,000       44,532  

3.950% due 01/15/27

    25,000       23,508  

4.000% due 02/01/50

    100,000       69,920  

4.500% due 07/30/29

    20,000       18,539  

4.750% due 04/15/35

    20,000       17,605  

5.150% due 04/15/53

    150,000       125,398  

Allstate Corp.
3.280% due 12/15/26

    350,000       327,478  

Ally Financial, Inc.

   

5.800% due 05/01/25

    200,000       196,539  

6.992% due 06/13/29

    125,000       122,392  

American Express Co.

   

3.000% due 10/30/24

    50,000       48,491  

3.300% due 05/03/27

    415,000       382,604  

3.950% due 08/01/25

    250,000       241,917  

4.050% due 12/03/42

    125,000       99,613  

5.043% due 05/01/34

    450,000       415,188  

5.282% due 07/27/29

    250,000       243,813  

5.850% due 11/05/27

    60,000       60,461  

American Financial Group, Inc.
4.500% due 06/15/47

    50,000       37,203  

American Homes 4 Rent LP REIT
3.625% due 04/15/32

    70,000       57,970  

American International Group, Inc.

   

4.375% due 06/30/50

    100,000       77,672  

4.800% due 07/10/45

    50,000       41,909  

5.125% due 03/27/33

    165,000       153,670  

American Tower Corp. REIT

   

1.875% due 10/15/30

    200,000       151,527  

2.300% due 09/15/31

    350,000       265,864  

2.900% due 01/15/30

    50,000       41,590  

2.950% due 01/15/25

    100,000       96,152  

3.100% due 06/15/50

    50,000       29,220  

3.375% due 10/15/26

    100,000       93,168  

3.600% due 01/15/28

    100,000       90,835  

5.250% due 07/15/28

    150,000       144,995  

5.900% due 11/15/33

    65,000       63,505  

Ameriprise Financial, Inc.
5.150% due 05/15/33

    60,000       56,739  

Aon Corp.
4.500% due 12/15/28

    200,000       190,694  

Aon Corp./Aon Global Holdings PLC

   

2.050% due 08/23/31

    100,000       76,355  

2.900% due 08/23/51

    100,000       59,083  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

210

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Arch Capital Group Ltd.
3.635% due 06/30/50

    $200,000       $134,852  

Arch Capital Group U.S., Inc.
5.144% due 11/01/43

    200,000       171,777  

Ares Capital Corp.

   

2.150% due 07/15/26

    350,000       307,268  

3.250% due 07/15/25

    50,000       46,857  

Arthur J Gallagher & Co.
5.500% due 03/02/33

    265,000       254,148  

Asian Development Bank (Multi-National)

   

0.500% due 02/04/26

    400,000       360,310  

0.625% due 04/29/25

    500,000       464,925  

1.000% due 04/14/26

    200,000       181,242  

1.250% due 06/09/28

    50,000       42,721  

1.500% due 10/18/24

    150,000       143,906  

1.750% due 08/14/26

    250,000       229,206  

2.625% due 01/12/27

    200,000       186,748  

2.750% due 01/19/28

    100,000       92,244  

2.875% due 05/06/25

    225,000       216,663  

3.125% due 09/26/28

    200,000       185,851  

3.750% due 04/25/28

    345,000       330,756  

3.875% due 09/28/32

    120,000       112,375  

3.875% due 06/14/33

    250,000       233,371  

4.000% due 01/12/33

    85,000       80,268  

4.250% due 01/09/26

    250,000       245,693  

4.500% due 08/25/28

    153,000       151,369  

Asian Infrastructure Investment Bank
(Multi-National)

   

0.500% due 05/28/25

    150,000       138,307  

3.375% due 06/29/25

    200,000       193,159  

4.000% due 01/18/28

    100,000       96,405  

Assurant, Inc.
4.900% due 03/27/28

    100,000       95,641  

Assured Guaranty U.S. Holdings, Inc.
3.150% due 06/15/31

    70,000       57,945  

Athene Holding Ltd.

   

3.450% due 05/15/52

    100,000       59,575  

3.500% due 01/15/31

    20,000       16,315  

6.650% due 02/01/33

    100,000       99,368  

AvalonBay Communities, Inc. REIT

   

2.050% due 01/15/32

    200,000       155,205  

2.450% due 01/15/31

    105,000       84,817  

3.350% due 05/15/27

    25,000       23,121  

4.150% due 07/01/47

    50,000       37,637  

AXA SA (France)
8.600% due 12/15/30

    75,000       87,548  

Banco Bilbao Vizcaya Argentaria SA (Spain)
6.138% due 09/14/28

    200,000       198,344  

Banco Santander SA (Spain)

   

1.722% due 09/14/27

    200,000       174,976  

2.749% due 12/03/30

    200,000       149,225  

5.294% due 08/18/27

    200,000       193,484  

6.921% due 08/08/33

    295,000       282,276  

Bank of America Corp.

   

1.197% due 10/24/26

    100,000       90,452  

1.319% due 06/19/26

    500,000       458,689  

1.530% due 12/06/25

    200,000       188,910  

1.658% due 03/11/27

    350,000       314,115  

1.734% due 07/22/27

    410,000       363,436  

1.922% due 10/24/31

    100,000       75,482  

2.015% due 02/13/26

    100,000       94,128  

2.299% due 07/21/32

    100,000       75,822  

2.456% due 10/22/25

    50,000       48,034  

2.482% due 09/21/36

    200,000       145,670  

2.496% due 02/13/31

    100,000       80,201  

2.572% due 10/20/32

    100,000       76,890  

2.592% due 04/29/31

    500,000       402,041  

2.651% due 03/11/32

    100,000       78,752  

2.676% due 06/19/41

    350,000       224,330  

2.831% due 10/24/51

    25,000       14,726  

2.884% due 10/22/30

    50,000       41,687  

2.972% due 07/21/52

    100,000       60,440  
   

Principal

Amount

   

Value

 

3.248% due 10/21/27

    $150,000       $137,084  

3.311% due 04/22/42

    400,000       278,588  

3.366% due 01/23/26

    100,000       96,172  

3.384% due 04/02/26

    100,000       95,733  

3.419% due 12/20/28

    169,000       151,662  

3.483% due 03/13/52

    100,000       66,801  

3.500% due 04/19/26

    150,000       141,677  

3.593% due 07/21/28

    100,000       91,370  

3.824% due 01/20/28

    300,000       278,733  

3.846% due 03/08/37

    400,000       325,645  

3.875% due 08/01/25

    100,000       96,915  

3.946% due 01/23/49

    100,000       73,807  

3.950% due 04/21/25

    200,000       193,195  

3.970% due 03/05/29

    100,000       91,650  

4.078% due 04/23/40

    200,000       158,778  

4.083% due 03/20/51

    350,000       259,053  

4.183% due 11/25/27

    100,000       93,010  

4.450% due 03/03/26

    85,000       81,891  

4.750% due 04/21/45

    85,000       71,251  

5.015% due 07/22/33

    250,000       230,127  

5.080% due 01/20/27

    800,000       782,142  

5.202% due 04/25/29

    200,000       192,750  

5.288% due 04/25/34

    200,000       186,214  

5.819% due 09/15/29

    200,000       197,628  

5.872% due 09/15/34

    200,000       194,741  

6.110% due 01/29/37

    250,000       246,790  

6.204% due 11/10/28

    65,000       65,318  

7.750% due 05/14/38

    200,000       224,096  

Bank of America NA
5.650% due 08/18/25

    250,000       249,432  

Bank of Montreal (Canada)

   

0.949% due 01/22/27

    100,000       89,209  

3.700% due 06/07/25

    165,000       159,092  

5.200% due 12/12/24

    225,000       223,136  

5.203% due 02/01/28

    300,000       292,994  

5.300% due 06/05/26

    150,000       148,021  

5.920% due 09/25/25

    100,000       99,814  

Bank of New York Mellon Corp.

   

1.600% due 04/24/25

    300,000       281,270  

2.800% due 05/04/26

    50,000       46,738  

3.000% due 10/30/28

    55,000       48,623  

4.706% due 02/01/34

    130,000       117,450  

5.802% due 10/25/28

    500,000       499,238  

Bank of Nova Scotia (Canada)

   

1.300% due 06/11/25

    100,000       92,548  

1.300% due 09/15/26

    50,000       44,044  

2.450% due 02/02/32

    100,000       77,573  

3.450% due 04/11/25

    60,000       57,783  

4.588% due 05/04/37

    40,000       33,366  

4.750% due 02/02/26

    240,000       234,353  

5.250% due 12/06/24

    335,000       332,055  

Barclays PLC (United Kingdom)

   

2.645% due 06/24/31

    200,000       154,754  

2.894% due 11/24/32

    200,000       150,649  

3.330% due 11/24/42

    200,000       127,771  

4.337% due 01/10/28

    300,000       278,309  

4.375% due 01/12/26

    200,000       191,727  

4.950% due 01/10/47

    200,000       161,262  

5.829% due 05/09/27

    400,000       392,976  

6.490% due 09/13/29

    200,000       198,479  

7.385% due 11/02/28

    200,000       205,289  

Berkshire Hathaway Finance Corp.

   

1.450% due 10/15/30

    80,000       62,409  

2.500% due 01/15/51

    410,000       237,587  

2.850% due 10/15/50

    90,000       56,080  

3.850% due 03/15/52

    200,000       149,314  

4.300% due 05/15/43

    200,000       169,546  

5.750% due 01/15/40

    25,000       25,653  

BlackRock, Inc.

   

1.900% due 01/28/31

    15,000       11,865  

2.100% due 02/25/32

    100,000       77,337  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

211

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

2.400% due 04/30/30

    $45,000       $37,545  

3.200% due 03/15/27

    56,000       52,427  

3.250% due 04/30/29

    60,000       54,208  

4.750% due 05/25/33

    365,000       342,831  

Blackstone Private Credit Fund

   

2.625% due 12/15/26

    100,000       86,129  

3.250% due 03/15/27

    150,000       130,372  

7.050% due 09/29/25

    50,000       50,092  

Blackstone Secured Lending Fund
2.750% due 09/16/26

    100,000       87,969  

Blue Owl Capital Corp.

   

2.875% due 06/11/28

    100,000       82,322  

3.750% due 07/22/25

    100,000       93,746  

4.000% due 03/30/25

    25,000       23,783  

Blue Owl Credit Income Corp.

   

5.500% due 03/21/25

    100,000       96,756  

7.950% due 06/13/28 ~

    100,000       99,220  

Boston Properties LP REIT

   

2.450% due 10/01/33

    50,000       34,171  

2.550% due 04/01/32

    250,000       180,679  

3.250% due 01/30/31

    150,000       118,107  

6.500% due 01/15/34

    250,000       238,553  

Brighthouse Financial, Inc.

   

3.700% due 06/22/27

    100,000       91,382  

4.700% due 06/22/47

    50,000       34,814  

Brixmor Operating Partnership LP REIT

   

2.500% due 08/16/31

    50,000       37,856  

4.050% due 07/01/30

    10,000       8,739  

4.125% due 06/15/26

    50,000       47,130  

Brookfield Capital Finance LLC (Canada)
6.087% due 06/14/33

    250,000       243,222  

Brookfield Finance, Inc. (Canada)

   

3.500% due 03/30/51

    50,000       31,157  

4.700% due 09/20/47

    50,000       39,006  

4.850% due 03/29/29

    100,000       94,714  

Brown & Brown, Inc.

   

4.200% due 03/17/32

    35,000       30,307  

4.500% due 03/15/29

    50,000       46,315  

4.950% due 03/17/52

    200,000       159,661  

Camden Property Trust REIT

   

3.150% due 07/01/29

    30,000       26,610  

4.100% due 10/15/28

    20,000       18,717  

Canadian Imperial Bank of Commerce (Canada)

   

0.950% due 10/23/25

    20,000       18,142  

1.250% due 06/22/26

    100,000       88,660  

3.600% due 04/07/32

    45,000       38,313  

5.001% due 04/28/28

    100,000       96,079  

5.144% due 04/28/25

    200,000       197,441  

Capital One Financial Corp.

   

1.878% due 11/02/27

    100,000       87,074  

2.618% due 11/02/32

    100,000       73,418  

3.200% due 02/05/25

    200,000       191,699  

3.300% due 10/30/24

    100,000       96,844  

3.750% due 07/28/26

    250,000       231,890  

3.750% due 03/09/27

    50,000       45,796  

3.800% due 01/31/28

    200,000       180,517  

4.927% due 05/10/28

    100,000       94,943  

4.985% due 07/24/26

    100,000       97,067  

5.468% due 02/01/29

    65,000       61,910  

6.312% due 06/08/29

    65,000       63,558  

CBRE Services, Inc.
4.875% due 03/01/26

    100,000       97,343  

Charles Schwab Corp.

   

0.900% due 03/11/26

    135,000       119,734  

1.150% due 05/13/26

    75,000       66,469  

1.950% due 12/01/31

    100,000       73,563  

2.300% due 05/13/31

    150,000       116,155  

2.450% due 03/03/27

    250,000       222,819  

3.200% due 03/02/27

    100,000       91,656  

3.850% due 05/21/25

    100,000       96,671  

6.136% due 08/24/34

    100,000       97,331  
   

Principal

Amount

   

Value

 

Chubb INA Holdings, Inc.

   

1.375% due 09/15/30

    $250,000       $190,832  

2.850% due 12/15/51

    25,000       15,508  

3.050% due 12/15/61

    10,000       6,000  

3.150% due 03/15/25

    100,000       96,449  

4.150% due 03/13/43

    25,000       20,226  

Citibank NA
5.803% due 09/29/28

    250,000       250,120  

Citigroup, Inc.

   

1.122% due 01/28/27

    750,000       668,509  

1.281% due 11/03/25

    30,000       28,345  

1.462% due 06/09/27

    100,000       88,418  

2.014% due 01/25/26

    145,000       136,970  

2.520% due 11/03/32

    70,000       53,287  

2.561% due 05/01/32

    55,000       42,599  

2.572% due 06/03/31

    600,000       478,683  

2.666% due 01/29/31

    150,000       121,725  

2.904% due 11/03/42

    50,000       32,026  

2.976% due 11/05/30

    100,000       83,790  

3.057% due 01/25/33

    135,000       106,773  

3.070% due 02/24/28

    650,000       589,848  

3.106% due 04/08/26

    200,000       190,912  

3.290% due 03/17/26

    100,000       95,726  

3.400% due 05/01/26

    100,000       93,969  

3.520% due 10/27/28

    100,000       90,519  

3.668% due 07/24/28

    100,000       91,781  

3.785% due 03/17/33

    450,000       375,570  

3.875% due 03/26/25

    100,000       96,640  

3.878% due 01/24/39

    100,000       77,534  

3.887% due 01/10/28

    100,000       93,270  

4.125% due 07/25/28

    100,000       91,049  

4.300% due 11/20/26

    100,000       94,850  

4.750% due 05/18/46

    50,000       39,183  

5.300% due 05/06/44

    400,000       342,248  

6.125% due 08/25/36

    100,000       96,855  

6.174% due 05/25/34

    115,000       109,976  

6.270% due 11/17/33

    235,000       234,467  

CME Group, Inc.

   

3.000% due 03/15/25

    50,000       48,194  

3.750% due 06/15/28

    100,000       94,543  

4.150% due 06/15/48

    50,000       40,960  

CNA Financial Corp.

   

3.450% due 08/15/27

    100,000       92,418  

4.500% due 03/01/26

    50,000       48,418  

Comerica Bank
4.000% due 07/27/25

    250,000       233,525  

Commonwealth Bank of Australia (Australia)
5.499% due 09/12/25

    250,000       249,644  

Cooperatieve Rabobank UA (Netherlands)

   

3.375% due 05/21/25

    250,000       240,909  

5.250% due 05/24/41

    200,000       191,652  

Corebridge Financial, Inc.
3.650% due 04/05/27

    500,000       463,249  

Corp Andina de Fomento (Multi-National)
2.250% due 02/08/27

    200,000       178,331  

Corporate Office Properties LP REIT

   

2.250% due 03/15/26

    35,000       31,541  

2.900% due 12/01/33

    65,000       45,661  

Council Of Europe Development Bank
(Multi-National)

   

3.625% due 01/26/28

    250,000       238,830  

3.750% due 05/25/26

    300,000       290,771  

Credit Suisse AG (Switzerland)

   

3.700% due 02/21/25

    250,000       241,057  

5.000% due 07/09/27

    300,000       288,316  

Crown Castle, Inc. REIT

   

2.100% due 04/01/31

    200,000       152,736  

3.250% due 01/15/51

    200,000       121,728  

3.650% due 09/01/27

    35,000       32,157  

3.700% due 06/15/26

    35,000       33,123  

3.800% due 02/15/28

    50,000       45,896  

4.000% due 03/01/27

    40,000       37,590  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

212

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

4.300% due 02/15/29

    $60,000       $55,448  

4.450% due 02/15/26

    35,000       33,908  

4.750% due 05/15/47

    25,000       19,467  

5.000% due 01/11/28

    35,000       33,841  

CubeSmart LP REIT

   

2.000% due 02/15/31

    15,000       11,309  

3.125% due 09/01/26

    50,000       46,090  

Deutsche Bank AG (Germany)

   

2.129% due 11/24/26

    350,000       316,632  

2.552% due 01/07/28

    150,000       130,971  

3.547% due 09/18/31

    500,000       403,418  

7.146% due 07/13/27

    150,000       151,072  

Digital Realty Trust LP REIT

   

3.700% due 08/15/27

    50,000       46,210  

4.450% due 07/15/28

    100,000       93,825  

Discover Bank
3.450% due 07/27/26

    250,000       227,467  

Enstar Group Ltd.
4.950% due 06/01/29

    25,000       23,109  

EPR Properties REIT
3.600% due 11/15/31

    30,000       22,266  

Equinix, Inc. REIT

   

2.000% due 05/15/28

    35,000       29,555  

2.150% due 07/15/30

    350,000       275,177  

2.500% due 05/15/31

    100,000       78,144  

2.625% due 11/18/24

    65,000       62,563  

3.400% due 02/15/52

    10,000       6,341  

Equitable Holdings, Inc.
4.350% due 04/20/28

    300,000       279,514  

ERP Operating LP REIT

   

2.850% due 11/01/26

    70,000       64,767  

3.500% due 03/01/28

    100,000       91,977  

4.500% due 06/01/45

    75,000       57,616  

Essex Portfolio LP REIT

   

2.550% due 06/15/31

    65,000       50,509  

2.650% due 03/15/32

    30,000       23,120  

3.375% due 04/15/26

    50,000       47,248  

4.000% due 03/01/29

    25,000       22,742  

European Bank for Reconstruction & Development (Multi-National)

   

0.500% due 01/28/26

    300,000       270,264  

4.375% due 03/09/28

    120,000       118,192  

European Investment Bank (Multi-National)

   

0.375% due 03/26/26

    300,000       268,326  

0.625% due 10/21/27

    250,000       212,873  

0.750% due 10/26/26

    83,000       73,433  

1.250% due 02/14/31

    300,000       237,281  

1.375% due 03/15/27

    350,000       312,261  

1.625% due 03/14/25

    230,000       218,164  

1.625% due 10/09/29

    195,000       164,823  

2.750% due 08/15/25

    600,000       574,576  

3.625% due 07/15/30

    160,000       149,785  

3.750% due 02/14/33

    325,000       301,881  

3.875% due 03/15/28

    400,000       386,416  

4.500% due 10/16/28

    100,000       99,206  

Extra Space Storage LP REIT

   

3.900% due 04/01/29

    220,000       197,785  

4.000% due 06/15/29

    100,000       89,765  

Fairfax Financial Holdings Ltd. (Canada)
5.625% due 08/16/32

    150,000       140,295  

Federal Realty OP LP REIT

   

1.250% due 02/15/26

    300,000       269,677  

4.500% due 12/01/44

    50,000       36,956  

Fidelity National Financial, Inc.

   

3.400% due 06/15/30

    200,000       170,146  

4.500% due 08/15/28

    50,000       46,513  

Fifth Third Bancorp

   

1.707% due 11/01/27

    155,000       133,999  

2.550% due 05/05/27

    60,000       52,759  

4.772% due 07/28/30

    200,000       181,655  

6.339% due 07/27/29

    245,000       242,158  
   

Principal

Amount

   

Value

 

8.250% due 03/01/38

    $25,000       $26,680  

FS KKR Capital Corp.

   

2.625% due 01/15/27

    100,000       85,703  

3.250% due 07/15/27

    50,000       43,090  

4.125% due 02/01/25

    50,000       48,062  

Globe Life, Inc.
4.550% due 09/15/28

    50,000       47,451  

GLP Capital LP/GLP Financing II, Inc. REIT

   

3.250% due 01/15/32

    50,000       38,858  

4.000% due 01/15/31

    50,000       41,678  

5.250% due 06/01/25

    25,000       24,508  

5.375% due 04/15/26

    50,000       48,525  

5.750% due 06/01/28

    25,000       23,995  

Goldman Sachs Group, Inc.

   

1.093% due 12/09/26

    290,000       259,554  

1.431% due 03/09/27

    80,000       71,246  

1.542% due 09/10/27

    100,000       87,592  

1.948% due 10/21/27

    250,000       220,819  

2.383% due 07/21/32

    70,000       53,345  

2.615% due 04/22/32

    70,000       54,708  

2.640% due 02/24/28

    250,000       223,015  

2.650% due 10/21/32

    250,000       193,078  

2.908% due 07/21/42

    60,000       38,804  

3.102% due 02/24/33

    250,000       200,008  

3.210% due 04/22/42

    60,000       40,716  

3.436% due 02/24/43

    450,000       310,688  

3.500% due 01/23/25

    150,000       145,128  

3.500% due 04/01/25

    100,000       96,314  

3.500% due 11/16/26

    100,000       93,052  

3.615% due 03/15/28

    200,000       184,608  

3.750% due 05/22/25

    150,000       144,628  

3.750% due 02/25/26

    60,000       57,060  

3.800% due 03/15/30

    250,000       220,716  

3.814% due 04/23/29

    150,000       136,277  

3.850% due 01/26/27

    160,000       150,149  

4.017% due 10/31/38

    100,000       78,792  

4.223% due 05/01/29

    200,000       185,080  

4.411% due 04/23/39

    450,000       370,804  

4.482% due 08/23/28

    500,000       473,411  

4.750% due 10/21/45

    100,000       84,293  

6.750% due 10/01/37

    200,000       202,706  

Golub Capital BDC, Inc.
2.500% due 08/24/26

    60,000       52,622  

Hartford Financial Services Group, Inc.
2.900% due 09/15/51

    100,000       59,007  

Healthcare Realty Holdings LP REIT

   

2.000% due 03/15/31

    25,000       18,759  

3.100% due 02/15/30

    50,000       41,680  

Healthpeak OP LLC REIT

   

2.875% due 01/15/31

    200,000       162,742  

3.000% due 01/15/30

    100,000       84,586  

3.400% due 02/01/25

    7,000       6,761  

Hercules Capital, Inc.
3.375% due 01/20/27

    35,000       30,625  

Highwoods Realty LP REIT

   

4.125% due 03/15/28

    20,000       17,892  

4.200% due 04/15/29

    50,000       42,405  

Host Hotels & Resorts LP REIT

   

3.375% due 12/15/29

    25,000       21,024  

3.500% due 09/15/30

    100,000       83,015  

HSBC Holdings PLC (United Kingdom)

   

1.645% due 04/18/26

    250,000       232,439  

2.251% due 11/22/27

    250,000       220,764  

2.357% due 08/18/31

    250,000       192,181  

2.804% due 05/24/32

    200,000       155,014  

2.848% due 06/04/31

    200,000       160,055  

2.999% due 03/10/26

    200,000       190,651  

3.900% due 05/25/26

    200,000       189,317  

3.973% due 05/22/30

    290,000       255,190  

4.250% due 08/18/25

    200,000       192,417  

4.375% due 11/23/26

    200,000       189,866  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

213

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

4.762% due 03/29/33

    $300,000       $255,645  

5.210% due 08/11/28

    300,000       288,955  

5.887% due 08/14/27

    250,000       247,048  

6.254% due 03/09/34

    200,000       195,623  

6.332% due 03/09/44

    200,000       192,256  

6.547% due 06/20/34

    350,000       332,251  

6.800% due 06/01/38

    150,000       145,391  

7.336% due 11/03/26

    200,000       204,211  

Hudson Pacific Properties LP REIT
4.650% due 04/01/29

    50,000       37,690  

Huntington Bancshares, Inc.
5.023% due 05/17/33

    70,000       61,749  

ING Groep NV (Netherlands)

   

4.252% due 03/28/33

    200,000       172,839  

4.550% due 10/02/28

    200,000       187,951  

6.083% due 09/11/27

    200,000       199,214  

Inter-American Development Bank
(Multi-National)

   

0.625% due 07/15/25

    700,000       645,751  

0.875% due 04/20/26

    250,000       225,665  

1.125% due 07/20/28

    300,000       253,685  

1.125% due 01/13/31

    150,000       116,911  

1.750% due 03/14/25

    300,000       284,899  

2.000% due 06/02/26

    150,000       138,883  

2.000% due 07/23/26

    100,000       92,333  

3.200% due 08/07/42

    100,000       76,139  

3.500% due 09/14/29

    200,000       187,900  

4.000% due 01/12/28

    100,000       96,999  

4.500% due 09/13/33

    200,000       195,531  

Inter-American Investment Corp.
(Multi-National)
4.125% due 02/15/28

    150,000       145,155  

Intercontinental Exchange, Inc.

   

1.850% due 09/15/32

    65,000       47,636  

2.650% due 09/15/40

    65,000       42,602  

3.000% due 09/15/60

    65,000       36,959  

3.100% due 09/15/27

    100,000       91,718  

5.200% due 06/15/62

    350,000       307,279  

International Bank for Reconstruction & Development (Multi-National)

   

0.375% due 07/28/25

    350,000       320,770  

0.500% due 10/28/25

    200,000       182,066  

0.625% due 04/22/25

    1,100,000       1,022,499  

0.750% due 11/24/27

    195,000       166,146  

0.875% due 05/14/30

    350,000       273,250  

1.125% due 09/13/28

    160,000       134,838  

1.250% due 02/10/31

    500,000       393,121  

1.375% due 04/20/28

    250,000       215,767  

1.625% due 01/15/25

    150,000       142,906  

1.625% due 11/03/31

    190,000       151,772  

1.750% due 10/23/29

    100,000       84,711  

2.500% due 03/29/32

    200,000       169,450  

3.125% due 11/20/25

    50,000       47,990  

3.125% due 06/15/27

    600,000       566,221  

3.500% due 07/12/28

    260,000       246,488  

3.625% due 09/21/29

    250,000       236,319  

3.875% due 02/14/30

    200,000       190,277  

4.000% due 07/25/30

    180,000       171,912  

International Finance Corp. (Multi-National)

   

0.750% due 10/08/26

    100,000       88,525  

0.750% due 08/27/30

    250,000       191,727  

1.375% due 10/16/24

    90,000       86,210  

3.625% due 09/15/25

    67,000       65,133  

Invesco Finance PLC
5.375% due 11/30/43

    200,000       176,985  

Invitation Homes Operating Partnership LP REIT
2.000% due 08/15/31

    300,000       222,237  

Jackson Financial, Inc.
5.170% due 06/08/27

    55,000       53,057  

Jefferies Financial Group, Inc.

   

2.625% due 10/15/31

    100,000       76,082  
   

Principal

Amount

   

Value

 

2.750% due 10/15/32

    $40,000       $29,890  

5.875% due 07/21/28

    200,000       195,848  

JPMorgan Chase & Co.

   

1.040% due 02/04/27

    500,000       445,113  

1.045% due 11/19/26

    100,000       89,896  

1.470% due 09/22/27

    75,000       65,731  

1.561% due 12/10/25

    100,000       94,537  

1.578% due 04/22/27

    65,000       58,024  

1.764% due 11/19/31

    100,000       75,274  

2.069% due 06/01/29

    140,000       118,041  

2.083% due 04/22/26

    250,000       234,720  

2.182% due 06/01/28

    650,000       569,833  

2.301% due 10/15/25

    615,000       590,050  

2.525% due 11/19/41

    100,000       62,891  

2.545% due 11/08/32

    375,000       290,357  

2.580% due 04/22/32

    75,000       59,197  

2.595% due 02/24/26

    100,000       95,235  

2.739% due 10/15/30

    75,000       62,757  

2.947% due 02/24/28

    60,000       54,458  

2.956% due 05/13/31

    65,000       53,429  

2.963% due 01/25/33

    100,000       79,643  

3.109% due 04/22/51

    250,000       155,339  

3.157% due 04/22/42

    300,000       206,343  

3.200% due 06/15/26

    100,000       94,065  

3.328% due 04/22/52

    70,000       45,533  

3.509% due 01/23/29

    185,000       167,904  

3.540% due 05/01/28

    100,000       92,003  

3.702% due 05/06/30

    150,000       133,859  

3.882% due 07/24/38

    150,000       119,848  

3.964% due 11/15/48

    100,000       73,049  

4.032% due 07/24/48

    150,000       112,553  

4.080% due 04/26/26

    250,000       242,679  

4.452% due 12/05/29

    150,000       140,061  

4.851% due 07/25/28

    500,000       482,103  

4.912% due 07/25/33

    500,000       460,235  

5.350% due 06/01/34

    105,000       99,630  

5.500% due 10/15/40

    100,000       94,607  

5.546% due 12/15/25

    200,000       198,689  

5.600% due 07/15/41

    100,000       95,259  

5.717% due 09/14/33

    190,000       182,759  

6.400% due 05/15/38

    300,000       312,511  

KeyBank NA
5.850% due 11/15/27

    250,000       237,895  

KeyCorp

   

2.250% due 04/06/27

    350,000       297,444  

4.150% due 10/29/25

    30,000       28,431  

Kimco Realty OP LLC REIT

   

2.250% due 12/01/31

    70,000       52,628  

3.700% due 10/01/49

    25,000       16,449  

4.125% due 12/01/46

    50,000       34,752  

Kite Realty Group Trust REIT
4.750% due 09/15/30

    25,000       22,279  

Kreditanstalt fuer Wiederaufbau (Germany)

   

0.375% due 07/18/25

    250,000       229,535  

0.625% due 01/22/26

    730,000       660,416  

1.250% due 01/31/25

    500,000       473,314  

1.750% due 09/14/29

    100,000       85,046  

2.500% due 11/20/24

    375,000       362,502  

3.000% due 05/20/27

    200,000       188,195  

3.625% due 04/01/26

    155,000       150,094  

3.750% due 02/15/28

    440,000       422,312  

4.125% due 07/15/33

    400,000       380,559  

4.998% due 06/29/37

    200,000       102,246  

Landwirtschaftliche Rentenbank (Germany)

   

0.500% due 05/27/25

    200,000       184,841  

0.875% due 09/03/30

    200,000       154,285  

1.750% due 07/27/26

    100,000       91,684  

Lazard Group LLC

   

3.625% due 03/01/27

    50,000       45,886  

4.375% due 03/11/29

    50,000       46,080  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

214

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Legg Mason, Inc.
4.750% due 03/15/26

    $50,000       $48,894  

Lincoln National Corp.

   

3.625% due 12/12/26

    150,000       139,494  

3.800% due 03/01/28

    35,000       31,765  

4.350% due 03/01/48

    25,000       17,429  

Lloyds Banking Group PLC (United Kingdom)

   

3.750% due 03/18/28

    200,000       183,791  

4.582% due 12/10/25

    200,000       191,344  

5.985% due 08/07/27

    220,000       218,089  

7.953% due 11/15/33

    200,000       207,170  

LXP Industrial Trust REIT
2.375% due 10/01/31

    70,000       51,358  

M&T Bank Corp.
4.553% due 08/16/28

    65,000       60,032  

Main Street Capital Corp.
3.000% due 07/14/26

    100,000       88,416  

Manufacturers & Traders Trust Co.
4.650% due 01/27/26

    300,000       286,023  

Manulife Financial Corp. (Canada)

   

3.703% due 03/16/32

    100,000       87,594  

4.150% due 03/04/26

    50,000       48,323  

5.375% due 03/04/46

    50,000       46,218  

Markel Group, Inc.

   

3.450% due 05/07/52

    70,000       44,644  

3.500% due 11/01/27

    50,000       45,990  

5.000% due 05/20/49

    30,000       24,839  

Marsh & McLennan Cos., Inc.

   

2.375% due 12/15/31

    45,000       35,424  

3.500% due 03/10/25

    75,000       72,715  

3.750% due 03/14/26

    100,000       95,913  

4.200% due 03/01/48

    100,000       77,480  

4.375% due 03/15/29

    70,000       66,436  

5.400% due 09/15/33

    100,000       97,423  

5.750% due 11/01/32

    100,000       100,233  

Mastercard, Inc.

   

1.900% due 03/15/31

    100,000       79,526  

2.000% due 11/18/31

    200,000       157,030  

2.950% due 11/21/26

    50,000       46,854  

2.950% due 06/01/29

    50,000       44,549  

2.950% due 03/15/51

    45,000       29,218  

3.650% due 06/01/49

    50,000       37,208  

3.800% due 11/21/46

    50,000       38,650  

3.950% due 02/26/48

    15,000       11,900  

MetLife, Inc.

   

4.550% due 03/23/30

    350,000       332,216  

5.700% due 06/15/35

    100,000       98,220  

5.875% due 02/06/41

    200,000       195,318  

6.375% due 06/15/34

    100,000       103,538  

Mid-America Apartments LP REIT

   

3.600% due 06/01/27

    100,000       93,651  

3.950% due 03/15/29

    25,000       23,098  

Mitsubishi UFJ Financial Group, Inc. (Japan)

   

0.962% due 10/11/25

    200,000       189,183  

1.640% due 10/13/27

    200,000       176,443  

2.048% due 07/17/30

    200,000       155,952  

2.852% due 01/19/33

    200,000       157,342  

3.677% due 02/22/27

    100,000       94,048  

3.777% due 03/02/25

    50,000       48,492  

3.850% due 03/01/26

    200,000       191,195  

3.961% due 03/02/28

    50,000       46,947  

4.050% due 09/11/28

    150,000       139,614  

5.441% due 02/22/34

    200,000       190,964  

5.475% due 02/22/31

    200,000       193,909  

5.719% due 02/20/26

    500,000       497,266  

Mizuho Financial Group, Inc. (Japan)

   

2.201% due 07/10/31

    200,000       154,798  

3.261% due 05/22/30

    200,000       172,230  

3.663% due 02/28/27

    200,000       186,707  

5.754% due 05/27/34

    250,000       240,828  

5.778% due 07/06/29

    200,000       197,322  
   

Principal
Amount

   

Value

 

Morgan Stanley

   

0.864% due 10/21/25

    $70,000       $65,977  

1.164% due 10/21/25

    225,000       212,459  

1.512% due 07/20/27

    100,000       88,390  

1.593% due 05/04/27

    145,000       129,094  

1.794% due 02/13/32

    65,000       48,173  

2.188% due 04/28/26

    500,000       469,886  

2.239% due 07/21/32

    100,000       75,419  

2.475% due 01/21/28

    170,000       151,641  

2.484% due 09/16/36

    100,000       72,712  

2.699% due 01/22/31

    445,000       364,063  

2.802% due 01/25/52

    400,000       233,219  

2.943% due 01/21/33

    135,000       106,360  

3.125% due 07/27/26

    70,000       65,048  

3.217% due 04/22/42

    55,000       37,927  

3.591% due 07/22/28 §

    100,000       91,287  

3.622% due 04/01/31

    200,000       172,384  

3.625% due 01/20/27

    300,000       280,199  

4.300% due 01/27/45

    100,000       79,134  

4.350% due 09/08/26

    90,000       85,845  

4.431% due 01/23/30

    95,000       87,920  

4.457% due 04/22/39

    150,000       125,393  

5.050% due 01/28/27

    560,000       549,084  

5.123% due 02/01/29

    600,000       578,029  

5.164% due 04/20/29

    155,000       149,183  

5.250% due 04/21/34

    180,000       167,240  

5.449% due 07/20/29

    145,000       141,357  

5.597% due 03/24/51

    100,000       93,790  

5.948% due 01/19/38

    300,000       280,622  

6.342% due 10/18/33

    325,000       327,025  

7.250% due 04/01/32

    100,000       109,630  

Nasdaq, Inc.

   

1.650% due 01/15/31

    150,000       113,412  

2.500% due 12/21/40

    150,000       92,373  

National Australia Bank Ltd. (Australia)
5.132% due 11/22/24

    250,000       248,642  

Natwest Group PLC (United Kingdom)

   

3.032% due 11/28/35

    350,000       263,841  

3.073% due 05/22/28

    200,000       178,523  

7.472% due 11/10/26

    300,000       306,115  

NNN REIT, Inc.

   

4.300% due 10/15/28

    35,000       32,389  

5.600% due 10/15/33

    125,000       117,908  

Nomura Holdings, Inc. (Japan)

   

1.653% due 07/14/26

    100,000       88,411  

1.851% due 07/16/25

    200,000       185,115  

2.329% due 01/22/27

    300,000       264,131  

Nordic Investment Bank (Multi-National)
0.500% due 01/21/26

    300,000       270,761  

Northern Trust Corp.

   

1.950% due 05/01/30

    75,000       59,768  

3.375% due 05/08/32

    63,000       55,646  

3.650% due 08/03/28

    50,000       46,349  

4.000% due 05/10/27

    35,000       33,125  

Oaktree Specialty Lending Corp.
2.700% due 01/15/27

    50,000       43,089  

Oesterreichische Kontrollbank AG (Austria)

   

0.375% due 09/17/25

    90,000       82,043  

1.500% due 02/12/25

    300,000       284,436  

4.250% due 03/01/28

    35,000       34,248  

4.625% due 11/03/25

    70,000       69,270  

Old Republic International Corp.
3.850% due 06/11/51

    55,000       36,415  

Omega Healthcare Investors, Inc. REIT

   

4.500% due 01/15/25

    25,000       24,310  

4.750% due 01/15/28

    50,000       46,319  

ORIX Corp. (Japan)

   

3.700% due 07/18/27

    50,000       46,702  

4.000% due 04/13/32

    100,000       88,066  

Physicians Realty LP REIT
2.625% due 11/01/31

    50,000       37,711  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

215

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Piedmont Operating Partnership LP REIT

 

2.750% due 04/01/32

    $35,000       $22,832  

9.250% due 07/20/28

    200,000       202,049  

PNC Bank NA

   

2.950% due 02/23/25

    300,000       287,192  

4.050% due 07/26/28

    350,000       316,908  

PNC Financial Services Group, Inc.

   

2.550% due 01/22/30

    350,000       284,226  

5.068% due 01/24/34

    40,000       36,300  

5.582% due 06/12/29

    120,000       116,471  

5.939% due 08/18/34

    200,000       192,266  

Principal Financial Group, Inc.

   

3.700% due 05/15/29

    25,000       22,534  

4.625% due 09/15/42

    100,000       80,114  

5.375% due 03/15/33

    30,000       28,840  

Progressive Corp.

   

2.500% due 03/15/27

    40,000       36,353  

3.000% due 03/15/32

    50,000       41,932  

3.700% due 03/15/52

    175,000       124,898  

4.000% due 03/01/29

    25,000       23,620  

4.125% due 04/15/47

    100,000       78,646  

Prologis LP REIT

   

1.250% due 10/15/30

    55,000       41,098  

1.625% due 03/15/31

    100,000       75,429  

1.750% due 02/01/31

    20,000       15,332  

2.125% due 04/15/27

    25,000       22,368  

2.125% due 10/15/50

    40,000       20,098  

2.250% due 04/15/30

    30,000       24,514  

2.250% due 01/15/32

    50,000       38,778  

2.875% due 11/15/29

    40,000       34,348  

3.000% due 04/15/50

    25,000       15,273  

3.375% due 12/15/27

    60,000       55,227  

4.375% due 02/01/29

    15,000       14,190  

4.875% due 06/15/28

    200,000       195,040  

Prudential Financial, Inc.

   

1.500% due 03/10/26

    20,000       18,153  

2.100% due 03/10/30

    15,000       12,312  

3.000% due 03/10/40

    25,000       17,395  

3.700% due 10/01/50

    175,000       142,751  

3.700% due 03/13/51

    150,000       104,478  

3.935% due 12/07/49

    132,000       95,101  

4.350% due 02/25/50

    50,000       38,935  

6.625% due 06/21/40

    50,000       51,855  

Public Storage Operating Co. REIT

   

0.875% due 02/15/26

    50,000       44,925  

1.500% due 11/09/26

    50,000       44,702  

2.300% due 05/01/31

    250,000       199,843  

3.094% due 09/15/27

    30,000       27,680  

Raymond James Financial, Inc.
4.950% due 07/15/46

    100,000       82,910  

Realty Income Corp. REIT

   

1.800% due 03/15/33

    50,000       35,170  

2.200% due 06/15/28

    35,000       29,951  

2.850% due 12/15/32

    30,000       23,462  

3.000% due 01/15/27

    50,000       45,883  

3.875% due 04/15/25

    150,000       145,683  

4.625% due 11/01/25

    50,000       48,914  

4.850% due 03/15/30

    65,000       61,308  

4.875% due 06/01/26

    25,000       24,546  

4.900% due 07/15/33

    200,000       182,967  

Regency Centers LP REIT

   

3.600% due 02/01/27

    30,000       28,072  

3.700% due 06/15/30

    35,000       30,479  

4.400% due 02/01/47

    35,000       25,895  

Regions Financial Corp.
1.800% due 08/12/28

    300,000       243,667  

Reinsurance Group of America, Inc.

   

3.950% due 09/15/26

    60,000       56,704  

6.000% due 09/15/33

    50,000       48,311  

RenaissanceRe Finance, Inc. (Bermuda) 3.450% due 07/01/27

    30,000       27,487  
   

Principal
Amount

   

Value

 

Royal Bank of Canada (Canada)

   

1.150% due 06/10/25

    $490,000       $453,288  

1.150% due 07/14/26

    50,000       44,214  

2.050% due 01/21/27

    100,000       89,604  

3.625% due 05/04/27

    150,000       140,020  

4.650% due 01/27/26

    200,000       194,676  

4.900% due 01/12/28

    150,000       145,800  

5.200% due 07/20/26

    250,000       247,363  

Santander Holdings USA, Inc.

   

2.490% due 01/06/28

    70,000       60,821  

4.400% due 07/13/27

    145,000       134,642  

6.565% due 06/12/29

    100,000       97,627  

Santander UK Group Holdings PLC
(United Kingdom)

   

1.532% due 08/21/26

    200,000       181,381  

2.896% due 03/15/32

    200,000       154,607  

Simon Property Group LP REIT

   

1.375% due 01/15/27

    300,000       262,125  

2.450% due 09/13/29

    100,000       83,259  

2.650% due 07/15/30

    100,000       82,360  

3.250% due 11/30/26

    50,000       46,605  

3.250% due 09/13/49

    100,000       62,046  

3.375% due 06/15/27

    100,000       92,321  

4.250% due 11/30/46

    50,000       36,419  

5.850% due 03/08/53

    200,000       185,054  

Spirit Realty LP REIT
3.400% due 01/15/30

    50,000       41,903  

STORE Capital Corp. REIT
4.500% due 03/15/28

    150,000       132,093  

Sumitomo Mitsui Financial Group, Inc. (Japan)

   

0.948% due 01/12/26

    200,000       179,185  

1.474% due 07/08/25

    200,000       185,082  

1.710% due 01/12/31

    200,000       149,308  

1.902% due 09/17/28

    250,000       206,523  

2.296% due 01/12/41

    200,000       122,874  

2.348% due 01/15/25

    200,000       190,988  

3.010% due 10/19/26

    200,000       184,253  

3.202% due 09/17/29

    150,000       129,181  

3.364% due 07/12/27

    150,000       137,541  

3.784% due 03/09/26

    100,000       95,254  

5.766% due 01/13/33

    200,000       195,634  

5.800% due 07/13/28

    250,000       248,439  

Sun Communities Operating LP REIT

   

2.300% due 11/01/28

    65,000       53,997  

5.700% due 01/15/33

    100,000       94,693  

Synchrony Financial

   

3.700% due 08/04/26

    50,000       45,167  

3.950% due 12/01/27

    100,000       87,969  

4.875% due 06/13/25

    100,000       95,913  

Tanger Properties LP REIT
3.875% due 07/15/27

    50,000       44,144  

Toronto-Dominion Bank (Canada)

   

0.750% due 01/06/26

    200,000       178,541  

1.200% due 06/03/26

    100,000       88,724  

4.693% due 09/15/27

    200,000       192,439  

5.103% due 01/09/26

    100,000       98,706  

5.156% due 01/10/28

    500,000       488,290  

Travelers Cos., Inc.

   

3.050% due 06/08/51

    50,000       32,042  

5.450% due 05/25/53

    250,000       238,900  

6.250% due 06/15/37

    125,000       131,645  

Travelers Property Casualty Corp.
6.375% due 03/15/33

    100,000       106,389  

Truist Financial Corp.

   

1.125% due 08/03/27

    100,000       83,575  

1.200% due 08/05/25

    135,000       123,889  

1.267% due 03/02/27

    120,000       106,375  

1.887% due 06/07/29

    125,000       102,727  

1.950% due 06/05/30

    135,000       103,909  

3.700% due 06/05/25

    100,000       96,041  

4.000% due 05/01/25

    100,000       96,591  

4.873% due 01/26/29

    40,000       37,563  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

216

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

4.916% due 07/28/33

    $100,000       $84,903  

5.867% due 06/08/34

    200,000       188,386  

U.S. Bancorp

   

1.375% due 07/22/30

    150,000       109,461  

1.450% due 05/12/25

    150,000       139,971  

2.491% due 11/03/36

    200,000       141,037  

4.548% due 07/22/28

    100,000       93,977  

4.839% due 02/01/34

    200,000       176,223  

5.775% due 06/12/29

    250,000       243,484  

5.850% due 10/21/33

    30,000       28,421  

UBS AG (Switzerland)
5.800% due 09/11/25

    200,000       199,293  

UBS Group AG (Switzerland)
3.750% due 03/26/25

    250,000       240,555  

UDR, Inc. REIT

   

2.100% due 06/15/33

    100,000       70,889  

3.100% due 11/01/34

    50,000       37,784  

3.200% due 01/15/30

    50,000       42,878  

4.400% due 01/26/29

    25,000       23,122  

Unum Group

   

4.000% due 06/15/29

    70,000       63,020  

4.125% due 06/15/51

    100,000       65,857  

Ventas Realty LP REIT

   

3.000% due 01/15/30

    50,000       41,547  

3.250% due 10/15/26

    100,000       91,915  

4.000% due 03/01/28

    50,000       45,946  

4.125% due 01/15/26

    31,000       29,687  

Visa, Inc.

   

1.100% due 02/15/31

    200,000       151,084  

1.900% due 04/15/27

    250,000       224,386  

2.050% due 04/15/30

    300,000       247,861  

3.650% due 09/15/47

    25,000       19,002  

4.150% due 12/14/35

    30,000       27,144  

4.300% due 12/14/45

    100,000       84,742  

Voya Financial, Inc.

   

3.650% due 06/15/26

    50,000       47,127  

4.800% due 06/15/46

    30,000       22,907  

W R Berkley Corp.
4.000% due 05/12/50

    115,000       81,536  

Wachovia Corp.
5.500% due 08/01/35

    200,000       184,352  

Wells Fargo & Co.

   

2.188% due 04/30/26

    300,000       281,756  

2.393% due 06/02/28

    500,000       438,646  

2.406% due 10/30/25

    130,000       124,624  

3.000% due 04/22/26

    150,000       139,779  

3.000% due 10/23/26

    150,000       137,826  

3.068% due 04/30/41

    500,000       336,231  

3.196% due 06/17/27

    260,000       241,535  

3.350% due 03/02/33

    390,000       315,420  

3.526% due 03/24/28

    355,000       326,202  

3.908% due 04/25/26

    250,000       240,957  

4.150% due 01/24/29

    200,000       183,741  

4.478% due 04/04/31

    200,000       181,508  

4.540% due 08/15/26

    100,000       97,150  

4.611% due 04/25/53

    250,000       195,953  

4.808% due 07/25/28

    65,000       62,041  

4.897% due 07/25/33

    65,000       58,853  

5.013% due 04/04/51

    250,000       210,301  

5.389% due 04/24/34

    330,000       308,645  

5.557% due 07/25/34

    160,000       151,589  

5.574% due 07/25/29

    365,000       356,237  

5.606% due 01/15/44

    100,000       88,804  

Wells Fargo Bank NA

   

5.450% due 08/07/26

    250,000       248,409  

6.600% due 01/15/38

    100,000       101,461  

Welltower OP LLC REIT

   

2.050% due 01/15/29

    60,000       49,644  

2.750% due 01/15/31

    145,000       116,680  

2.750% due 01/15/32

    50,000       39,282  

2.800% due 06/01/31

    100,000       80,145  
   

Principal
Amount

   

Value

 

4.125% due 03/15/29

    $100,000       $91,416  

Westpac Banking Corp. (Australia)

   

1.953% due 11/20/28

    100,000       84,668  

2.150% due 06/03/31

    100,000       79,545  

2.700% due 08/19/26

    150,000       139,147  

2.894% due 02/04/30

    200,000       188,619  

2.963% due 11/16/40

    200,000       121,894  

3.400% due 01/25/28

    100,000       92,778  

4.043% due 08/26/27

    100,000       95,874  

4.110% due 07/24/34

    65,000       56,183  

4.421% due 07/24/39

    45,000       34,327  

5.457% due 11/18/27

    100,000       100,131  

Weyerhaeuser Co. REIT

   

4.000% due 11/15/29

    100,000       90,092  

7.375% due 03/15/32

    100,000       108,744  

Willis North America, Inc.

   

2.950% due 09/15/29

    75,000       64,004  

3.875% due 09/15/49

    35,000       23,492  

4.650% due 06/15/27

    100,000       95,781  

XL Group Ltd. (Bermuda)
5.250% due 12/15/43

    50,000       44,798  
   

 

 

 
      115,347,403  
   

 

 

 

Industrial - 1.9%

   

3M Co.

   

2.375% due 08/26/29

    300,000       251,089  

2.875% due 10/15/27

    100,000       90,459  

3.250% due 08/26/49

    200,000       127,012  

4.000% due 09/14/48

    250,000       187,925  

Agilent Technologies, Inc.
2.300% due 03/12/31

    100,000       79,224  

Allegion U.S. Holding Co., Inc.

   

3.200% due 10/01/24

    50,000       48,481  

3.550% due 10/01/27

    50,000       45,702  

Amcor Finance USA, Inc.
5.625% due 05/26/33

    65,000       62,485  

Amcor Flexibles North America, Inc.

   

2.690% due 05/25/31

    65,000       51,604  

4.000% due 05/17/25

    65,000       62,891  

Amphenol Corp.

   

2.050% due 03/01/25

    25,000       23,788  

2.200% due 09/15/31

    60,000       46,964  

4.350% due 06/01/29

    50,000       47,473  

Arrow Electronics, Inc.
3.875% due 01/12/28

    25,000       22,819  

Avnet, Inc.

   

4.625% due 04/15/26

    25,000       24,051  

6.250% due 03/15/28

    100,000       99,805  

Berry Global, Inc.
1.570% due 01/15/26

    200,000       180,855  

Boeing Co.

   

2.196% due 02/04/26

    500,000       459,206  

2.750% due 02/01/26

    50,000       46,723  

2.950% due 02/01/30

    100,000       84,216  

3.200% due 03/01/29

    200,000       175,774  

3.250% due 02/01/28

    50,000       45,125  

3.250% due 03/01/28

    25,000       22,485  

3.550% due 03/01/38

    15,000       11,011  

3.625% due 02/01/31

    30,000       25,932  

3.625% due 03/01/48

    10,000       6,500  

3.750% due 02/01/50

    100,000       68,049  

3.825% due 03/01/59

    50,000       32,009  

3.850% due 11/01/48

    35,000       23,946  

4.875% due 05/01/25

    85,000       83,553  

5.150% due 05/01/30

    150,000       143,372  

5.705% due 05/01/40

    200,000       184,665  

5.805% due 05/01/50

    400,000       362,548  

5.875% due 02/15/40

    50,000       47,327  

5.930% due 05/01/60

    150,000       134,872  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

217

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Burlington Northern Santa Fe LLC

   

3.050% due 02/15/51

    $200,000       $126,955  

3.300% due 09/15/51

    200,000       134,383  

3.550% due 02/15/50

    150,000       106,879  

3.650% due 09/01/25

    50,000       48,440  

4.125% due 06/15/47

    50,000       39,260  

4.450% due 01/15/53

    300,000       248,904  

4.700% due 09/01/45

    50,000       42,717  

5.200% due 04/15/54

    60,000       55,053  

5.750% due 05/01/40

    100,000       99,454  

Canadian National Railway Co. (Canada)

   

2.950% due 11/21/24

    100,000       96,964  

3.850% due 08/05/32

    100,000       89,150  

6.200% due 06/01/36

    50,000       52,485  

Canadian Pacific Railway Co. (Canada)

   

2.450% due 12/02/31

    200,000       172,976  

2.900% due 02/01/25

    150,000       144,473  

3.100% due 12/02/51

    200,000       125,275  

4.000% due 06/01/28

    35,000       32,900  

4.800% due 09/15/35

    20,000       18,299  

4.950% due 08/15/45

    100,000       86,370  

6.125% due 09/15/15

    30,000       29,265  

Carlisle Cos., Inc.

   

2.200% due 03/01/32

    100,000       75,812  

3.750% due 12/01/27

    50,000       46,501  

Carrier Global Corp.

   

2.242% due 02/15/25

    35,000       33,273  

2.493% due 02/15/27

    35,000       31,545  

2.722% due 02/15/30

    50,000       41,700  

3.377% due 04/05/40

    15,000       10,736  

3.577% due 04/05/50

    450,000       304,122  

Caterpillar Financial Services Corp.

   

0.800% due 11/13/25

    60,000       54,502  

0.900% due 03/02/26

    200,000       180,237  

3.400% due 05/13/25

    100,000       96,728  

4.350% due 05/15/26

    302,000       295,317  

Caterpillar, Inc.

   

2.600% due 04/09/30

    500,000       428,610  

3.250% due 09/19/49

    100,000       70,285  

3.803% due 08/15/42

    100,000       80,182  

CNH Industrial Capital LLC
1.450% due 07/15/26

    100,000       89,151  

CNH Industrial NV (United Kingdom)
3.850% due 11/15/27

    35,000       32,605  

CSX Corp.

   

3.250% due 06/01/27

    250,000       232,593  

4.100% due 11/15/32

    100,000       90,010  

4.500% due 03/15/49

    65,000       52,709  

4.650% due 03/01/68

    45,000       36,116  

5.200% due 11/15/33

    350,000       338,717  

5.500% due 04/15/41

    75,000       70,799  

Deere & Co.

   

2.875% due 09/07/49

    15,000       9,994  

3.900% due 06/09/42

    100,000       82,734  

Dover Corp.
5.375% due 03/01/41

    50,000       46,251  

Eagle Materials, Inc.
2.500% due 07/01/31

    50,000       39,134  

Eaton Corp.

   

4.000% due 11/02/32

    100,000       89,941  

4.150% due 03/15/33

    55,000       49,746  

Emerson Electric Co.

   

0.875% due 10/15/26

    35,000       30,760  

2.200% due 12/21/31

    100,000       79,646  

3.150% due 06/01/25

    100,000       96,279  

FedEx Corp.

   

3.100% due 08/05/29

    50,000       44,000  

3.875% due 08/01/42

    100,000       75,212  

4.200% due 10/17/28

    100,000       95,109  

4.400% due 01/15/47

    50,000       38,711  

4.750% due 11/15/45

    50,000       40,884  

5.250% due 05/15/50

    350,000       308,635  
   

Principal
Amount

   

Value

 

Flex Ltd.

   

3.750% due 02/01/26

    $50,000       $47,547  

4.750% due 06/15/25

    50,000       48,802  

4.875% due 06/15/29

    25,000       23,391  

Fortive Corp.
4.300% due 06/15/46

    125,000       94,091  

Fortune Brands Innovations, Inc.
5.875% due 06/01/33

    125,000       120,495  

GATX Corp.

   

3.250% due 03/30/25

    100,000       95,751  

4.550% due 11/07/28

    25,000       23,387  

5.450% due 09/15/33

    100,000       93,940  

GE Capital International Funding Co.
Unlimited Co.
4.418% due 11/15/35

    350,000       313,388  

General Dynamics Corp.

   

2.250% due 06/01/31

    5,000       4,042  

2.850% due 06/01/41

    10,000       6,880  

3.750% due 05/15/28

    180,000       169,208  

4.250% due 04/01/50

    200,000       164,583  

Honeywell International, Inc.

   

1.100% due 03/01/27

    300,000       263,244  

2.500% due 11/01/26

    100,000       92,576  

2.700% due 08/15/29

    60,000       52,455  

4.250% due 01/15/29

    375,000       358,287  

Hubbell, Inc.
3.350% due 03/01/26

    50,000       47,367  

Huntington Ingalls Industries, Inc.
2.043% due 08/16/28

    50,000       42,043  

IDEX Corp.

   

2.625% due 06/15/31

    100,000       80,243  

3.000% due 05/01/30

    15,000       12,715  

Illinois Tool Works, Inc.
4.875% due 09/15/41

    100,000       93,304  

Jabil, Inc.

   

1.700% due 04/15/26

    65,000       58,416  

3.950% due 01/12/28

    55,000       50,898  

Jacobs Engineering Group, Inc.
6.350% due 08/18/28

    200,000       199,555  

John Deere Capital Corp.

   

1.300% due 10/13/26

    250,000       223,154  

1.750% due 03/09/27

    50,000       44,516  

2.000% due 06/17/31

    100,000       79,148  

2.350% due 03/08/27

    50,000       45,368  

2.650% due 06/10/26

    100,000       93,380  

2.800% due 09/08/27

    50,000       45,825  

3.400% due 09/11/25

    50,000       48,189  

3.450% due 03/13/25

    50,000       48,673  

3.900% due 06/07/32

    20,000       18,030  

4.150% due 09/15/27

    100,000       96,438  

4.800% due 01/09/26

    65,000       64,263  

4.950% due 07/14/28

    210,000       207,191  

5.150% due 09/08/26

    100,000       99,720  

5.150% due 09/08/33

    100,000       97,830  

5.300% due 09/08/25

    100,000       99,799  

Johnson Controls International PLC

   

3.900% due 02/14/26

    19,000       18,213  

4.500% due 02/15/47

    40,000       32,005  

Johnson Controls International PLC/Tyco Fire & Security Finance SCA

   

1.750% due 09/15/30

    15,000       11,684  

4.900% due 12/01/32

    40,000       38,254  

Kennametal, Inc.
4.625% due 06/15/28

    50,000       47,176  

Keysight Technologies, Inc.
4.550% due 10/30/24

    100,000       98,304  

L3Harris Technologies, Inc.

   

2.900% due 12/15/29

    30,000       25,574  

3.850% due 12/15/26

    25,000       23,689  

4.400% due 06/15/28

    100,000       94,694  

5.400% due 07/31/33

    250,000       240,415  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

218

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Lennox International, Inc.
5.500% due 09/15/28

    $100,000       $98,192  

Lockheed Martin Corp.

   

3.550% due 01/15/26

    50,000       48,142  

3.600% due 03/01/35

    25,000       21,142  

3.800% due 03/01/45

    20,000       15,363  

3.900% due 06/15/32

    45,000       40,383  

4.150% due 06/15/53

    385,000       304,241  

4.450% due 05/15/28

    70,000       67,794  

4.500% due 05/15/36

    20,000       18,255  

4.700% due 05/15/46

    44,000       38,730  

4.750% due 02/15/34

    250,000       236,799  

6.150% due 09/01/36

    100,000       105,048  

Martin Marietta Materials, Inc.

   

2.500% due 03/15/30

    65,000       53,334  

3.450% due 06/01/27

    21,000       19,519  

Masco Corp.

   

2.000% due 02/15/31

    100,000       76,716  

3.500% due 11/15/27

    100,000       91,534  

Mohawk Industries, Inc.
3.625% due 05/15/30

    50,000       43,664  

Norfolk Southern Corp.

   

2.300% due 05/15/31

    250,000       200,628  

3.155% due 05/15/55

    20,000       12,266  

3.800% due 08/01/28

    30,000       27,976  

3.942% due 11/01/47

    63,000       46,961  

4.550% due 06/01/53

    145,000       117,198  

4.650% due 01/15/46

    50,000       41,152  

4.837% due 10/01/41

    50,000       43,395  

5.050% due 08/01/30

    70,000       67,494  

Northrop Grumman Corp.

   

3.250% due 01/15/28

    350,000       321,197  

3.850% due 04/15/45

    100,000       74,608  

4.700% due 03/15/33

    210,000       196,136  

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

    50,000       38,080  

Oshkosh Corp.
3.100% due 03/01/30

    15,000       12,815  

Otis Worldwide Corp.

   

2.056% due 04/05/25

    20,000       18,889  

2.293% due 04/05/27

    20,000       17,974  

3.112% due 02/15/40

    50,000       35,752  

3.362% due 02/15/50

    30,000       20,037  

5.250% due 08/16/28

    135,000       132,793  

Owens Corning
3.875% due 06/01/30

    150,000       132,629  

Packaging Corp. of America
3.400% due 12/15/27

    35,000       32,293  

Parker-Hannifin Corp.

   

3.250% due 06/14/29

    300,000       266,715  

4.000% due 06/14/49

    20,000       15,332  

6.250% due 05/15/38

    100,000       100,535  

Precision Castparts Corp.

   

3.250% due 06/15/25

    50,000       48,270  

4.375% due 06/15/45

    50,000       40,734  

Regal Rexnord Corp.
6.050% due 04/15/28 ~

    250,000       243,342  

Republic Services, Inc.

   

3.200% due 03/15/25

    100,000       96,638  

3.375% due 11/15/27

    120,000       110,900  

3.950% due 05/15/28

    100,000       93,971  

RTX Corp.

   

2.250% due 07/01/30

    100,000       80,538  

3.030% due 03/15/52

    250,000       150,691  

3.125% due 07/01/50

    100,000       62,295  

3.500% due 03/15/27

    200,000       186,168  

3.750% due 11/01/46

    50,000       35,467  

3.950% due 08/16/25

    25,000       24,202  

4.125% due 11/16/28

    60,000       55,987  

4.350% due 04/15/47

    200,000       155,857  

4.450% due 11/16/38

    20,000       16,851  
   

Principal
Amount

   

Value

 

4.500% due 06/01/42

    $300,000       $245,765  

4.625% due 11/16/48

    35,000       28,566  

5.375% due 02/27/53

    100,000       90,610  

Ryder System, Inc.

   

1.750% due 09/01/26

    65,000       58,283  

4.300% due 06/15/27

    75,000       71,464  

5.250% due 06/01/28

    200,000       194,822  

Snap-on, Inc.
3.100% due 05/01/50

    35,000       22,806  

Stanley Black & Decker, Inc.

   

2.750% due 11/15/50

    50,000       27,066  

4.250% due 11/15/28

    100,000       93,271  

6.272% due 03/06/26

    100,000       100,665  

Teledyne Technologies, Inc.
2.750% due 04/01/31

    200,000       161,611  

Textron, Inc.

   

3.650% due 03/15/27

    100,000       93,451  

4.000% due 03/15/26

    25,000       24,028  

Trane Technologies Financing Ltd.

   

3.800% due 03/21/29

    100,000       92,218  

5.250% due 03/03/33

    45,000       43,529  

Trimble, Inc.
4.900% due 06/15/28

    50,000       47,846  

Tyco Electronics Group SA

   

2.500% due 02/04/32

    45,000       36,052  

4.500% due 02/13/26

    60,000       58,688  

Union Pacific Corp.

   

2.375% due 05/20/31

    40,000       32,417  

2.750% due 03/01/26

    25,000       23,506  

2.891% due 04/06/36

    125,000       94,791  

2.973% due 09/16/62

    25,000       14,238  

3.000% due 04/15/27

    100,000       92,705  

3.200% due 05/20/41

    370,000       266,895  

3.250% due 08/15/25

    50,000       48,035  

3.350% due 08/15/46

    50,000       33,087  

3.550% due 05/20/61

    100,000       65,664  

3.600% due 09/15/37

    20,000       16,103  

3.750% due 07/15/25

    50,000       48,456  

3.799% due 04/06/71

    30,000       20,292  

4.750% due 02/21/26

    125,000       123,485  

4.950% due 05/15/53

    200,000       179,379  

United Parcel Service, Inc.

   

3.400% due 11/15/46

    200,000       140,029  

4.875% due 03/03/33

    260,000       250,715  

5.300% due 04/01/50

    250,000       238,392  

6.200% due 01/15/38

    50,000       53,458  

Vulcan Materials Co.

   

4.500% due 06/15/47

    100,000       80,408  

5.800% due 03/01/26

    35,000       34,843  

Waste Connections, Inc.

   

3.500% due 05/01/29

    100,000       90,885  

4.200% due 01/15/33

    70,000       62,580  

Waste Management, Inc.

   

0.750% due 11/15/25

    206,000       186,890  

2.950% due 06/01/41

    35,000       24,058  

3.150% due 11/15/27

    100,000       92,126  

4.625% due 02/15/33

    200,000       186,423  

Westinghouse Air Brake Technologies Corp.
4.700% due 09/15/28

    100,000       94,086  

WRKCo, Inc.

   

4.000% due 03/15/28

    100,000       92,772  

4.200% due 06/01/32

    50,000       44,284  

Xylem, Inc.

   

3.250% due 11/01/26

    30,000       27,968  

4.375% due 11/01/46

    25,000       18,823  
   

 

 

 
    22,399,724  
   

 

 

 

Technology - 1.9%

   

Activision Blizzard, Inc.

   

1.350% due 09/15/30

    35,000       27,354  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

219

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

2.500% due 09/15/50

    $100,000       $59,622  

3.400% due 09/15/26

    50,000       47,442  

Adobe, Inc.
1.900% due 02/01/25

    230,000       219,830  

Analog Devices, Inc.

   

2.100% due 10/01/31

    60,000       47,413  

2.800% due 10/01/41

    50,000       33,420  

2.950% due 10/01/51

    55,000       34,386  

3.450% due 06/15/27

    100,000       93,798  

3.500% due 12/05/26

    100,000       94,912  

Apple, Inc.

   

0.700% due 02/08/26

    400,000       360,717  

1.125% due 05/11/25

    65,000       60,814  

1.400% due 08/05/28

    100,000       84,765  

1.650% due 05/11/30

    410,000       332,629  

1.650% due 02/08/31

    200,000       158,541  

1.700% due 08/05/31

    100,000       78,737  

2.050% due 09/11/26

    100,000       91,935  

2.200% due 09/11/29

    100,000       85,857  

2.550% due 08/20/60

    250,000       143,430  

2.650% due 05/11/50

    100,000       61,299  

2.650% due 02/08/51

    450,000       273,182  

2.700% due 08/05/51

    100,000       60,967  

2.850% due 08/05/61

    100,000       59,122  

2.950% due 09/11/49

    65,000       42,969  

3.000% due 11/13/27

    100,000       92,467  

3.250% due 02/23/26

    570,000       544,840  

3.350% due 02/09/27

    200,000       189,222  

3.750% due 09/12/47

    75,000       58,049  

3.750% due 11/13/47

    50,000       38,823  

3.850% due 08/04/46

    35,000       27,730  

4.250% due 02/09/47

    100,000       84,899  

4.300% due 05/10/33

    250,000       236,143  

4.500% due 02/23/36

    50,000       47,683  

4.650% due 02/23/46

    445,000       396,915  

Applied Materials, Inc.

   

1.750% due 06/01/30

    30,000       24,016  

3.900% due 10/01/25

    35,000       34,017  

4.350% due 04/01/47

    45,000       38,062  

5.100% due 10/01/35

    35,000       34,472  

Autodesk, Inc.

   

2.400% due 12/15/31

    80,000       63,107  

2.850% due 01/15/30

    55,000       46,656  

Broadcom, Inc.

   

2.450% due 02/15/31 ~

    200,000       156,411  

3.419% due 04/15/33 ~

    250,000       200,064  

3.459% due 09/15/26

    26,000       24,423  

3.500% due 02/15/41 ~

    315,000       219,102  

3.750% due 02/15/51 ~

    140,000       93,688  

4.110% due 09/15/28

    211,000       194,761  

4.150% due 04/15/32 ~

    40,000       34,736  

4.300% due 11/15/32

    200,000       174,551  

4.750% due 04/15/29

    150,000       141,496  

5.000% due 04/15/30

    200,000       191,227  

Broadridge Financial Solutions, Inc.
3.400% due 06/27/26

    50,000       47,009  

CDW LLC/CDW Finance Corp.
3.569% due 12/01/31

    250,000       206,175  

Dell International LLC/EMC Corp.

   

4.900% due 10/01/26

    100,000       97,587  

5.300% due 10/01/29

    100,000       97,116  

5.850% due 07/15/25

    200,000       199,774  

6.020% due 06/15/26

    500,000       502,035  

8.100% due 07/15/36

    27,000       30,223  

8.350% due 07/15/46

    13,000       15,210  

Electronic Arts, Inc.

   

1.850% due 02/15/31

    30,000       23,327  

2.950% due 02/15/51

    20,000       12,105  

4.800% due 03/01/26

    50,000       49,106  

Fidelity National Information Services, Inc.

   

1.150% due 03/01/26

    350,000       313,742  
   

Principal

Amount

   

Value

 

1.650% due 03/01/28

    $20,000       $16,944  

2.250% due 03/01/31

    50,000       39,146  

3.100% due 03/01/41

    10,000       6,639  

Fiserv, Inc.

   

2.250% due 06/01/27

    100,000       88,812  

2.650% due 06/01/30

    100,000       82,219  

3.200% due 07/01/26

    25,000       23,387  

3.500% due 07/01/29

    245,000       218,715  

3.850% due 06/01/25

    100,000       96,702  

4.400% due 07/01/49

    40,000       30,673  

5.625% due 08/21/33

    100,000       96,932  

Genpact Luxembourg SARL
3.375% due 12/01/24

    25,000       24,086  

Hewlett Packard Enterprise Co.

   

4.900% due 10/15/25

    250,000       245,482  

6.200% due 10/15/35

    50,000       50,343  

6.350% due 10/15/45

    50,000       48,742  

HP, Inc.

   

2.650% due 06/17/31

    100,000       78,194  

4.000% due 04/15/29

    100,000       91,423  

4.200% due 04/15/32

    100,000       86,556  

4.750% due 01/15/28

    100,000       95,959  

6.000% due 09/15/41

    55,000       51,929  

Intel Corp.

   

1.600% due 08/12/28

    25,000       21,153  

2.000% due 08/12/31

    50,000       39,186  

2.450% due 11/15/29

    150,000       127,578  

2.600% due 05/19/26

    100,000       93,599  

2.800% due 08/12/41

    40,000       26,239  

3.050% due 08/12/51

    20,000       12,176  

3.200% due 08/12/61

    25,000       14,606  

3.250% due 11/15/49

    500,000       318,974  

3.700% due 07/29/25

    145,000       140,414  

4.150% due 08/05/32

    100,000       91,061  

4.875% due 02/10/26

    200,000       197,645  

4.875% due 02/10/28

    75,000       73,603  

4.900% due 08/05/52

    100,000       83,984  

5.200% due 02/10/33

    315,000       305,155  

5.625% due 02/10/43

    50,000       47,728  

5.700% due 02/10/53

    35,000       32,847  

5.900% due 02/10/63

    250,000       237,270  

International Business Machines Corp.

   

2.850% due 05/15/40

    100,000       67,514  

3.300% due 05/15/26

    300,000       284,742  

3.500% due 05/15/29

    170,000       153,795  

4.150% due 05/15/39

    100,000       81,470  

4.250% due 05/15/49

    300,000       231,836  

4.500% due 02/06/26

    250,000       244,601  

4.750% due 02/06/33

    200,000       188,327  

5.100% due 02/06/53

    200,000       175,492  

5.600% due 11/30/39

    26,000       24,879  

Intuit, Inc.

   

1.650% due 07/15/30

    15,000       11,794  

5.200% due 09/15/33

    150,000       146,147  

KLA Corp.

   

4.650% due 07/15/32

    60,000       56,891  

4.950% due 07/15/52

    100,000       87,892  

Lam Research Corp.

   

4.000% due 03/15/29

    55,000       51,824  

4.875% due 03/15/49

    25,000       21,881  

Leidos, Inc.

   

2.300% due 02/15/31

    55,000       42,330  

5.750% due 03/15/33

    45,000       43,164  

Micron Technology, Inc.

   

2.703% due 04/15/32

    20,000       15,283  

3.366% due 11/01/41

    15,000       9,893  

3.477% due 11/01/51

    25,000       15,307  

5.875% due 09/15/33

    100,000       95,326  

6.750% due 11/01/29

    250,000       254,172  

Microsoft Corp.

   

2.400% due 08/08/26

    250,000       232,334  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

220

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

2.525% due 06/01/50

    $485,000       $295,620  

2.675% due 06/01/60

    166,000       97,592  

2.921% due 03/17/52

    278,000       182,530  

3.125% due 11/03/25

    100,000       95,836  

3.300% due 02/06/27

    300,000       284,789  

3.450% due 08/08/36

    72,000       60,769  

3.700% due 08/08/46

    500,000       393,857  

NVIDIA Corp.

   

2.000% due 06/15/31

    100,000       80,085  

2.850% due 04/01/30

    250,000       218,248  

3.500% due 04/01/50

    200,000       145,900  

NXP BV/NXP Funding LLC/NXP USA, Inc. (China)

   

2.500% due 05/11/31

    100,000       78,140  

3.250% due 05/11/41

    60,000       40,403  

4.300% due 06/18/29

    150,000       137,468  

4.400% due 06/01/27

    40,000       37,964  

5.000% due 01/15/33

    50,000       46,034  

Oracle Corp.

   

1.650% due 03/25/26

    545,000       493,797  

2.300% due 03/25/28

    70,000       60,681  

2.800% due 04/01/27

    500,000       454,185  

2.875% due 03/25/31

    75,000       61,295  

2.950% due 05/15/25

    150,000       143,434  

3.250% due 11/15/27

    350,000       319,106  

3.600% due 04/01/40

    500,000       361,477  

3.650% due 03/25/41

    80,000       57,129  

3.850% due 07/15/36

    50,000       39,560  

3.850% due 04/01/60

    300,000       190,930  

3.900% due 05/15/35

    105,000       85,863  

3.950% due 03/25/51

    120,000       82,347  

4.000% due 07/15/46

    250,000       176,563  

4.100% due 03/25/61

    95,000       63,436  

4.300% due 07/08/34

    100,000       86,054  

4.375% due 05/15/55

    200,000       144,316  

6.125% due 07/08/39

    100,000       96,699  

6.250% due 11/09/32

    200,000       202,580  

6.500% due 04/15/38

    100,000       100,828  

Qorvo, Inc.
1.750% due 12/15/24 ~

    30,000       28,226  

QUALCOMM, Inc.

   

3.250% due 05/20/27

    50,000       46,668  

3.450% due 05/20/25

    150,000       145,240  

4.250% due 05/20/32

    20,000       18,572  

4.300% due 05/20/47

    30,000       24,307  

4.500% due 05/20/52

    45,000       36,938  

4.800% due 05/20/45

    150,000       133,097  

6.000% due 05/20/53

    350,000       355,356  

Roper Technologies, Inc.

   

1.750% due 02/15/31

    200,000       151,871  

3.800% due 12/15/26

    30,000       28,396  

4.200% due 09/15/28

    95,000       89,379  

Salesforce, Inc.

   

1.500% due 07/15/28

    65,000       55,319  

1.950% due 07/15/31

    80,000       63,393  

2.700% due 07/15/41

    60,000       40,673  

2.900% due 07/15/51

    100,000       62,495  

3.050% due 07/15/61

    50,000       29,939  

ServiceNow, Inc.
1.400% due 09/01/30

    65,000       49,941  

Take-Two Interactive Software, Inc.
5.000% due 03/28/26

    250,000       245,383  

Texas Instruments, Inc.

   

1.375% due 03/12/25

    250,000       236,140  

4.150% due 05/15/48

    100,000       80,721  

4.900% due 03/14/33

    60,000       58,069  

5.050% due 05/18/63

    200,000       177,534  

TSMC Arizona Corp. (Taiwan)

   

3.125% due 10/25/41

    200,000       144,724  

3.875% due 04/22/27

    200,000       190,521  

VMware, Inc.

   

1.400% due 08/15/26

    200,000       176,491  
   

Principal

Amount

   

Value

 

2.200% due 08/15/31

    $250,000       $188,759  

3.900% due 08/21/27

    30,000       27,965  

Western Digital Corp.

   

2.850% due 02/01/29

    30,000       24,114  

3.100% due 02/01/32

    55,000       40,559  
   

 

 

 
    21,773,410  
   

 

 

 

Utilities - 2.2%

 

AEP Texas, Inc.

   

3.450% due 05/15/51

    35,000       22,295  

4.700% due 05/15/32

    100,000       91,652  

5.400% due 06/01/33

    145,000       138,407  

AEP Transmission Co. LLC
4.250% due 09/15/48

    35,000       27,404  

AES Corp.

   

1.375% due 01/15/26

    75,000       66,826  

2.450% due 01/15/31

    100,000       76,991  

Alabama Power Co.

   

3.125% due 07/15/51

    100,000       61,496  

4.150% due 08/15/44

    90,000       69,471  

4.300% due 07/15/48

    15,000       11,568  

Ameren Illinois Co.

   

3.250% due 03/01/25

    50,000       48,405  

3.800% due 05/15/28

    50,000       47,060  

3.850% due 09/01/32

    50,000       43,842  

4.150% due 03/15/46

    50,000       38,738  

American Electric Power Co., Inc.

   

1.000% due 11/01/25

    30,000       27,198  

5.950% due 11/01/32

    100,000       99,822  

American Water Capital Corp.

   

2.300% due 06/01/31

    50,000       39,885  

2.950% due 09/01/27

    35,000       32,015  

3.250% due 06/01/51

    50,000       33,014  

3.450% due 06/01/29

    100,000       90,343  

3.750% due 09/01/47

    50,000       36,650  

4.300% due 12/01/42

    100,000       81,782  

4.450% due 06/01/32

    75,000       69,370  

Appalachian Power Co.

   

3.700% due 05/01/50

    150,000       101,064  

7.000% due 04/01/38

    150,000       159,749  

Arizona Public Service Co.

   

2.200% due 12/15/31

    65,000       49,261  

2.950% due 09/15/27

    50,000       45,628  

4.500% due 04/01/42

    100,000       79,459  

Atmos Energy Corp.

   

2.625% due 09/15/29

    150,000       130,098  

3.000% due 06/15/27

    30,000       27,772  

4.150% due 01/15/43

    64,000       51,290  

4.300% due 10/01/48

    50,000       39,986  

Avangrid, Inc.
3.150% due 12/01/24

    50,000       48,226  

Baltimore Gas & Electric Co.

   

2.900% due 06/15/50

    30,000       17,950  

3.200% due 09/15/49

    70,000       45,265  

3.750% due 08/15/47

    50,000       35,790  

Berkshire Hathaway Energy Co.

   

3.250% due 04/15/28

    30,000       27,181  

3.800% due 07/15/48

    25,000       17,440  

4.250% due 10/15/50

    200,000       148,512  

4.450% due 01/15/49

    50,000       38,781  

4.600% due 05/01/53

    250,000       195,584  

6.125% due 04/01/36

    99,000       99,578  

Black Hills Corp.

   

3.150% due 01/15/27

    50,000       45,877  

4.350% due 05/01/33

    30,000       25,621  

5.950% due 03/15/28

    100,000       100,045  

CenterPoint Energy Houston Electric LLC

   

2.350% due 04/01/31

    55,000       44,405  

2.400% due 09/01/26

    50,000       45,876  

3.000% due 02/01/27

    50,000       46,218  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

221

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

3.350% due 04/01/51

    $85,000       $56,771  

CenterPoint Energy Resources Corp.

   

4.000% due 04/01/28

    100,000       94,243  

5.250% due 03/01/28

    200,000       197,516  

Commonwealth Edison Co.

   

3.150% due 03/15/32

    35,000       29,560  

3.700% due 08/15/28

    20,000       18,572  

3.750% due 08/15/47

    50,000       36,060  

3.800% due 10/01/42

    100,000       75,613  

4.900% due 02/01/33

    45,000       42,875  

Connecticut Light & Power Co.

   

0.750% due 12/01/25

    150,000       135,895  

4.150% due 06/01/45

    25,000       19,608  

4.900% due 07/01/33

    100,000       95,054  

Consolidated Edison Co. of New York, Inc.

   

2.400% due 06/15/31

    50,000       40,232  

3.600% due 06/15/61

    50,000       32,458  

3.950% due 03/01/43

    100,000       75,425  

3.950% due 04/01/50

    250,000       185,094  

4.000% due 12/01/28

    100,000       93,292  

4.125% due 05/15/49

    50,000       37,197  

4.300% due 12/01/56

    50,000       36,843  

4.500% due 12/01/45

    100,000       79,844  

6.150% due 11/15/52

    70,000       70,561  

Constellation Energy Generation LLC

   

5.600% due 03/01/28

    155,000       154,068  

6.500% due 10/01/53

    55,000       55,193  

Consumers Energy Co.

   

3.250% due 08/15/46

    50,000       33,617  

3.600% due 08/15/32

    65,000       56,416  

3.800% due 11/15/28

    100,000       93,047  

4.350% due 04/15/49

    100,000       80,932  

Dominion Energy, Inc.

   

1.450% due 04/15/26

    40,000       36,009  

2.250% due 08/15/31

    45,000       34,841  

2.850% due 08/15/26

    30,000       27,733  

3.300% due 04/15/41

    30,000       20,522  

3.375% due 04/01/30

    350,000       301,317  

4.250% due 06/01/28

    50,000       47,240  

4.700% due 12/01/44

    100,000       80,083  

Dominion Energy South Carolina, Inc.

   

4.600% due 06/15/43

    100,000       83,521  

5.300% due 05/15/33

    50,000       48,563  

5.450% due 02/01/41

    50,000       46,745  

DTE Electric Co.

   

2.250% due 03/01/30

    50,000       41,355  

2.950% due 03/01/50

    50,000       31,096  

3.000% due 03/01/32

    150,000       124,245  

3.375% due 03/01/25

    50,000       48,466  

3.650% due 03/01/52

    55,000       38,749  

DTE Energy Co.

   

4.220% due 11/01/24

    75,000       73,629  

4.875% due 06/01/28

    465,000       449,720  

Duke Energy Carolinas LLC

   

3.750% due 06/01/45

    200,000       144,030  

4.950% due 01/15/33

    215,000       204,493  

5.350% due 01/15/53

    100,000       91,633  

6.050% due 04/15/38

    110,000       109,928  

6.100% due 06/01/37

    25,000       24,854  

Duke Energy Corp.

   

2.450% due 06/01/30

    160,000       130,065  

2.550% due 06/15/31

    100,000       79,376  

3.150% due 08/15/27

    50,000       45,597  

3.300% due 06/15/41

    100,000       68,588  

3.500% due 06/15/51

    100,000       64,938  

3.950% due 08/15/47

    50,000       35,336  

4.200% due 06/15/49

    65,000       47,401  

4.500% due 08/15/32

    180,000       162,044  

5.750% due 09/15/33

    200,000       196,557  

Duke Energy Florida LLC

   

1.750% due 06/15/30

    250,000       197,058  
   

Principal

Amount

   

Value

 

2.500% due 12/01/29

    $50,000       $42,437  

5.950% due 11/15/52

    40,000       39,340  

Duke Energy Indiana LLC

   

2.750% due 04/01/50

    60,000       34,479  

3.250% due 10/01/49

    50,000       31,868  

3.750% due 05/15/46

    50,000       35,376  

4.900% due 07/15/43

    100,000       86,098  

5.400% due 04/01/53

    200,000       183,335  

Duke Energy Ohio, Inc.
2.125% due 06/01/30

    35,000       28,128  

Duke Energy Progress LLC
3.700% due 09/01/28

    100,000       92,988  

Edison International

   

4.700% due 08/15/25

    200,000       194,750  

5.750% due 06/15/27

    10,000       9,914  

El Paso Electric Co.
5.000% due 12/01/44

    50,000       40,532  

Emera U.S. Finance LP (Canada)

   

3.550% due 06/15/26

    35,000       32,897  

4.750% due 06/15/46

    200,000       147,873  

Enel Chile SA (Chile)
4.875% due 06/12/28

    50,000       47,614  

Entergy Arkansas LLC

   

3.500% due 04/01/26

    50,000       47,685  

4.200% due 04/01/49

    50,000       37,503  

Entergy Corp.

   

0.900% due 09/15/25

    150,000       136,281  

2.800% due 06/15/30

    100,000       83,054  

2.950% due 09/01/26

    30,000       27,749  

Entergy Louisiana LLC

   

2.350% due 06/15/32

    100,000       77,017  

3.100% due 06/15/41

    400,000       275,707  

3.250% due 04/01/28

    50,000       45,419  

4.200% due 09/01/48

    50,000       38,034  

4.950% due 01/15/45

    40,000       33,507  

5.590% due 10/01/24

    50,000       49,898  

Essential Utilities, Inc.

   

2.400% due 05/01/31

    100,000       77,979  

5.300% due 05/01/52

    25,000       21,494  

Evergy Kansas Central, Inc.

   

3.100% due 04/01/27

    50,000       46,395  

4.100% due 04/01/43

    100,000       75,464  

5.700% due 03/15/53

    65,000       61,091  

Evergy Metro, Inc.
3.650% due 08/15/25

    50,000       47,922  

Eversource Energy

   

2.900% due 10/01/24

    50,000       48,468  

2.900% due 03/01/27

    100,000       91,385  

3.300% due 01/15/28

    100,000       91,132  

3.375% due 03/01/32

    100,000       83,026  

4.250% due 04/01/29

    25,000       23,307  

4.750% due 05/15/26

    100,000       97,801  

Exelon Corp.

   

3.950% due 06/15/25

    100,000       96,830  

4.050% due 04/15/30

    300,000       270,228  

4.100% due 03/15/52

    350,000       253,642  

4.450% due 04/15/46

    100,000       78,141  

4.950% due 06/15/35

    35,000       31,480  

5.100% due 06/15/45

    35,000       30,026  

Florida Power & Light Co.

   

2.850% due 04/01/25

    350,000       336,298  

2.875% due 12/04/51

    300,000       182,049  

3.700% due 12/01/47

    200,000       146,265  

4.950% due 06/01/35

    100,000       94,487  

5.100% due 04/01/33

    65,000       62,949  

5.690% due 03/01/40

    35,000       34,465  

5.950% due 02/01/38

    125,000       126,772  

Georgia Power Co.

   

4.300% due 03/15/42

    100,000       80,130  

4.700% due 05/15/32

    100,000       92,740  

4.950% due 05/17/33

    250,000       234,576  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

222

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

5.125% due 05/15/52

    $100,000       $88,328  

Idaho Power Co.
5.800% due 04/01/54

    200,000       191,994  

Indiana Michigan Power Co.

   

3.250% due 05/01/51

    60,000       38,095  

4.250% due 08/15/48

    25,000       18,894  

Interstate Power & Light Co.
3.500% due 09/30/49

    25,000       16,354  

ITC Holdings Corp.
3.350% due 11/15/27

    50,000       45,805  

Kentucky Utilities Co.
4.375% due 10/01/45

    40,000       31,118  

Louisville Gas & Electric Co.
4.250% due 04/01/49

    35,000       26,846  

MidAmerican Energy Co.

   

3.650% due 08/01/48

    100,000       71,458  

5.350% due 01/15/34

    75,000       74,053  

6.750% due 12/30/31

    100,000       107,015  

Mississippi Power Co.
3.950% due 03/30/28

    25,000       23,328  

National Fuel Gas Co.
3.950% due 09/15/27

    50,000       45,878  

National Rural Utilities Cooperative Finance Corp.

   

1.350% due 03/15/31

    100,000       73,336  

1.650% due 06/15/31

    200,000       149,025  

4.023% due 11/01/32

    100,000       88,224  

5.450% due 10/30/25

    100,000       99,912  

8.000% due 03/01/32

    50,000       56,614  

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

    250,000       241,192  

NextEra Energy Capital Holdings, Inc.

   

2.250% due 06/01/30

    80,000       64,102  

4.800% due 12/01/77

    100,000       86,873  

5.050% due 02/28/33

    200,000       186,760  

5.650% due 05/01/79

    100,000       92,584  

6.051% due 03/01/25

    250,000       250,468  

NiSource, Inc.

   

0.950% due 08/15/25

    200,000       182,507  

3.490% due 05/15/27

    50,000       46,380  

3.950% due 03/30/48

    50,000       35,849  

4.800% due 02/15/44

    100,000       82,539  

5.250% due 02/15/43

    100,000       88,438  

Northern States Power Co.

   

2.600% due 06/01/51

    50,000       28,380  

4.500% due 06/01/52

    75,000       61,074  

5.100% due 05/15/53

    150,000       134,566  

Oglethorpe Power Corp.
5.050% due 10/01/48

    100,000       82,042  

Ohio Edison Co.
6.875% due 07/15/36

    150,000       156,912  

Ohio Power Co.
1.625% due 01/15/31

    65,000       49,480  

Oklahoma Gas & Electric Co.

   

3.850% due 08/15/47

    50,000       35,839  

5.400% due 01/15/33

    70,000       67,808  

Oncor Electric Delivery Co. LLC

   

0.550% due 10/01/25

    70,000       63,590  

3.700% due 11/15/28

    100,000       92,745  

3.800% due 09/30/47

    50,000       36,819  

4.150% due 06/01/32

    40,000       36,464  

4.300% due 05/15/28 ~

    100,000       95,556  

5.300% due 06/01/42

    100,000       95,726  

Pacific Gas & Electric Co.

   

2.500% due 02/01/31

    100,000       76,150  

3.300% due 08/01/40

    250,000       160,375  

3.450% due 07/01/25

    400,000       379,669  

3.500% due 08/01/50

    45,000       26,842  

4.400% due 03/01/32

    100,000       84,776  

4.500% due 07/01/40

    300,000       223,573  

4.550% due 07/01/30

    300,000       265,347  

4.950% due 07/01/50

    200,000       149,336  
   

Principal

Amount

   

Value

 

6.150% due 01/15/33

    $45,000       $42,729  

6.400% due 06/15/33

    200,000       192,972  

6.700% due 04/01/53

    105,000       98,852  

6.750% due 01/15/53

    100,000       93,867  

PacifiCorp

   

2.900% due 06/15/52

    80,000       44,155  

3.500% due 06/15/29

    35,000       31,250  

4.125% due 01/15/49

    70,000       49,342  

5.350% due 12/01/53

    300,000       249,688  

PECO Energy Co.

   

2.800% due 06/15/50

    45,000       26,715  

3.000% due 09/15/49

    55,000       34,410  

3.150% due 10/15/25

    50,000       47,834  

3.900% due 03/01/48

    60,000       45,020  

PG&E Wildfire Recovery Funding LLC

   

4.451% due 12/01/49

    450,000       368,808  

4.722% due 06/01/37

    50,000       46,286  

Piedmont Natural Gas Co., Inc.

   

3.350% due 06/01/50

    225,000       139,308  

4.650% due 08/01/43

    35,000       28,472  

PPL Electric Utilities Corp.

   

3.000% due 10/01/49

    70,000       44,119  

4.150% due 10/01/45

    25,000       19,516  

4.150% due 06/15/48

    100,000       77,720  

4.750% due 07/15/43

    50,000       42,950  

5.250% due 05/15/53

    100,000       91,551  

Progress Energy, Inc.
7.750% due 03/01/31

    100,000       109,166  

Public Service Co. of Colorado

   

1.875% due 06/15/31

    200,000       153,616  

2.700% due 01/15/51

    100,000       56,099  

3.700% due 06/15/28

    50,000       46,118  

3.800% due 06/15/47

    50,000       35,260  

5.250% due 04/01/53

    115,000       100,360  

Public Service Co. of New Hampshire
2.200% due 06/15/31

    30,000       23,711  

Public Service Co. of Oklahoma
2.200% due 08/15/31

    100,000       77,448  

Public Service Electric & Gas Co.

   

0.950% due 03/15/26

    100,000       90,152  

2.050% due 08/01/50

    100,000       51,228  

3.000% due 03/01/51

    100,000       62,885  

3.100% due 03/15/32

    100,000       84,197  

3.200% due 08/01/49

    60,000       39,649  

4.050% due 05/01/48

    25,000       19,447  

Public Service Enterprise Group, Inc.
2.450% due 11/15/31

    100,000       77,621  

Puget Energy, Inc.

   

3.650% due 05/15/25

    100,000       95,904  

4.224% due 03/15/32

    70,000       59,823  

Puget Sound Energy, Inc.

   

2.893% due 09/15/51

    55,000       32,204  

5.795% due 03/15/40

    25,000       23,731  

San Diego Gas & Electric Co.

   

1.700% due 10/01/30

    95,000       73,429  

3.750% due 06/01/47

    50,000       35,566  

4.100% due 06/15/49

    100,000       74,350  

4.150% due 05/15/48

    25,000       19,091  

Sempra

   

3.400% due 02/01/28

    65,000       59,214  

3.800% due 02/01/38

    100,000       77,825  

4.125% due 04/01/52

    300,000       243,168  

Sierra Pacific Power Co.
5.900% due 03/15/54 ~

    50,000       48,007  

Southern California Edison Co.

   

2.250% due 06/01/30

    120,000       96,489  

2.850% due 08/01/29

    75,000       64,796  

2.950% due 02/01/51

    320,000       189,663  

3.650% due 03/01/28

    50,000       46,162  

3.650% due 02/01/50

    70,000       47,385  

3.700% due 08/01/25

    30,000       28,873  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

223

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

3.900% due 03/15/43

    $50,000       $36,671  

4.125% due 03/01/48

    10,000       7,422  

4.500% due 09/01/40

    50,000       40,866  

5.300% due 03/01/28

    200,000       197,560  

5.875% due 12/01/53

    300,000       282,623  

Southern California Gas Co.

   

2.600% due 06/15/26

    50,000       46,384  

5.200% due 06/01/33

    200,000       189,418  

Southern Co.

   

4.000% due 01/15/51

    350,000       324,619  

4.250% due 07/01/36

    30,000       25,132  

4.400% due 07/01/46

    450,000       349,576  

5.700% due 10/15/32

    65,000       63,917  

Southwest Gas Corp.

   

3.800% due 09/29/46

    50,000       33,612  

4.050% due 03/15/32

    60,000       51,871  

Southwestern Electric Power Co.

   

3.250% due 11/01/51

    200,000       120,404  

3.900% due 04/01/45

    50,000       34,864  

4.100% due 09/15/28

    50,000       46,457  

6.200% due 03/15/40

    50,000       48,080  

Southwestern Public Service Co.
3.750% due 06/15/49

    100,000       68,549  

Spire Missouri, Inc.
4.800% due 02/15/33

    60,000       56,451  

Tampa Electric Co.

   

4.300% due 06/15/48

    50,000       38,258  

4.450% due 06/15/49

    50,000       39,127  

Tucson Electric Power Co.

   

3.050% due 03/15/25

    50,000       48,131  

4.850% due 12/01/48

    100,000       81,596  

Union Electric Co.

   

2.625% due 03/15/51

    200,000       113,955  

3.900% due 04/01/52

    30,000       21,998  

8.450% due 03/15/39

    100,000       121,598  

Virginia Electric & Power Co.

   

2.300% due 11/15/31

    100,000       78,164  

2.400% due 03/30/32

    50,000       39,026  

2.950% due 11/15/26

    50,000       46,379  

3.150% due 01/15/26

    35,000       33,179  

3.750% due 05/15/27

    80,000       75,557  

3.800% due 09/15/47

    50,000       35,560  

4.000% due 11/15/46

    20,000       14,620  

5.000% due 04/01/33

    200,000       187,735  

8.875% due 11/15/38

    25,000       31,217  

Washington Gas Light Co.
3.650% due 09/15/49

    25,000       16,737  

WEC Energy Group, Inc.

   

2.200% due 12/15/28

    100,000       84,851  

4.750% due 01/09/26

    250,000       244,977  

4.750% due 01/15/28

    50,000       48,380  

Wisconsin Electric Power Co.
4.300% due 10/15/48

    10,000       7,838  

Wisconsin Power & Light Co.

   

3.050% due 10/15/27

    100,000       91,977  

4.950% due 04/01/33

    90,000       84,619  

Xcel Energy, Inc.

   

4.000% due 06/15/28

    50,000       46,823  

4.600% due 06/01/32

    35,000       31,789  

5.450% due 08/15/33

    200,000       191,055  
   

 

 

 
    25,843,494  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $359,162,437)

 

    309,677,711  
   

 

 

 

MORTGAGE-BACKED SECURITIES - 28.2%

 

 

Collateralized Mortgage Obligations -
Commercial - 1.6%

 

 

Bank

   

1.844% due 03/15/63

    131,250       100,929  
   

Principal

Amount

   

Value

 

1.997% due 11/15/53

    $250,000       $185,967  

2.470% due 09/15/64

    500,000       391,398  

2.649% due 01/15/63

    200,000       164,931  

2.920% due 12/15/52

    200,000       168,536  

3.175% due 09/15/60

    200,000       181,410  

3.625% due 05/15/50

    500,000       456,994  

BBCMS Mortgage Trust

   

2.299% due 02/15/54

    300,000       235,888  

2.639% due 02/15/53

    200,000       165,675  

3.662% due 04/15/55 §

    300,000       255,416  

Benchmark Mortgage Trust

   

1.850% due 09/15/53

    250,000       187,147  

1.925% due 07/15/53

    197,917       151,456  

2.576% due 11/15/54

    350,000       273,883  

2.577% due 04/15/54

    200,000       152,817  

2.732% due 02/15/53

    200,000       166,987  

4.121% due 07/15/51 §

    200,000       184,360  

5.754% due 07/15/56

    181,000       180,715  

CD Mortgage Trust
3.456% due 11/13/50

    175,000       157,799  

Citigroup Commercial Mortgage Trust
3.778% due 09/10/58

    600,000       563,241  

Commercial Mortgage Trust
4.228% due 05/10/51

    400,000       365,856  

CSAIL Commercial Mortgage Trust
3.458% due 11/15/50 §

    600,000       537,714  

Fannie Mae - Aces

   

1.270% due 07/25/30

    200,000       155,996  

1.513% due 02/25/31 §

    245,000       189,287  

1.725% due 10/25/31 §

    250,000       191,703  

1.744% due 11/25/32 §

    500,000       375,409  

1.821% due 02/25/30

    47,571       39,353  

2.723% due 10/25/24

    128,129       123,579  

2.980% due 08/25/29

    482,003       431,211  

3.003% due 01/25/28 §

    457,667       419,134  

3.061% due 05/25/27 §

    158,876       147,767  

3.086% due 12/25/27 §

    132,989       122,845  

3.758% due 08/25/30 §

    300,000       273,274  

4.190% due 07/25/28 §

    350,000       335,144  

Freddie Mac Multifamily Structured
Pass-Through Certificates

   

1.350% due 05/25/30

    575,000       453,165  

1.406% due 08/25/30

    250,000       195,611  

1.477% due 04/25/30

    107,143       85,625  

1.517% due 03/25/30

    222,222       178,589  

1.547% due 10/25/30

    200,000       157,003  

1.558% due 04/25/30

    140,000       112,303  

1.621% due 12/25/30

    186,667       146,880  

1.872% due 01/25/30

    166,667       137,417  

1.940% due 02/25/35

    352,000       252,486  

2.020% due 03/25/31

    250,000       201,565  

2.361% due 10/25/36

    250,000       178,207  

2.524% due 10/25/29

    200,000       172,942  

2.673% due 03/25/26 - 09/25/29

    800,000       739,587  

2.745% due 01/25/26

    400,000       377,997  

2.862% due 05/25/26

    491,708       463,265  

3.208% due 02/25/26

    375,000       357,942  

3.303% due 11/25/27 §

    609,000       567,932  

3.422% due 02/25/29

    196,721       181,104  

3.800% due 10/25/32 §

    350,000       313,478  

3.926% due 06/25/28

    100,000       94,912  

3.990% due 08/25/33 §

    42,000       37,809  

4.050% due 07/25/33

    318,182       289,260  

4.200% due 05/25/33

    484,691       446,440  

4.430% due 02/25/33 §

    70,370       66,075  

GS Mortgage Securities Trust
3.734% due 11/10/48

    1,000,000       943,977  

JPMDB Commercial Mortgage Securities Trust

   

2.180% due 05/13/53

    300,000       223,769  

4.274% due 12/15/48

    600,000       531,601  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

224

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal

Amount

   

Value

 

Morgan Stanley Bank of America Merrill Lynch Trust

   

3.720% due 12/15/49

    $570,000       $526,503  

3.753% due 12/15/47

    700,000       664,589  

Morgan Stanley Capital I Trust

   

2.728% due 05/15/54

    250,000       200,221  

3.596% due 12/15/49

    400,000       367,076  

Wells Fargo Commercial Mortgage Trust

   

2.626% due 04/15/54

    250,000       197,807  

2.652% due 08/15/49

    350,000       316,431  

2.925% due 04/15/50

    300,000       286,161  

3.453% due 07/15/50

    500,000       455,093  

4.184% due 06/15/51

    200,000       184,526  
   

 

 

 
    19,139,169  
   

 

 

 

Fannie Mae - 13.6%

   

due 10/01/38 #

    650,000       613,615  

due 10/01/53 #

    5,725,000       5,547,876  

1.500% due 12/01/35 - 11/01/51

    12,718,227       9,892,466  

2.000% due 11/01/35 - 04/01/52

    62,904,034       48,914,160  

2.500% due 10/01/27 - 04/01/52

    34,699,746       28,194,465  

3.000% due 02/01/27 - 05/01/52

    22,793,508       19,338,686  

3.500% due 10/01/25 - 02/01/53

    15,322,964       13,470,610  

4.000% due 04/01/24 - 05/01/53

    12,093,904       10,929,081  

4.500% due 05/01/24 - 03/01/53

    7,830,141       7,257,474  

5.000% due 03/01/25 - 06/01/53

    3,701,626       3,527,846  

5.246% (RFUCC + 1.695%) due 06/01/38 §

    735       718  

5.500% due 11/01/33 - 10/01/53

    6,710,383       6,510,593  

5.940% (RFUCC + 1.690%) due 08/01/39 §

    2,273       2,269  

6.000% due 09/01/34 - 08/01/53

    3,552,469       3,515,717  

6.500% due 09/01/36 - 07/01/53

    777,865       782,446  
   

 

 

 
    158,498,022  
   

 

 

 

Freddie Mac - 7.0%

   

1.500% due 02/01/37 - 05/01/51

    5,358,167       4,193,866  

2.000% due 09/01/35 - 03/01/52

    26,246,765       20,629,340  

2.500% due 08/01/28 - 04/01/52

    28,604,678       23,101,188  

3.000% due 09/01/26 - 08/01/52

    12,504,761       10,634,615  

3.500% due 03/01/26 - 09/01/52

    8,645,412       7,615,035  

4.000% due 02/01/25 - 01/01/53

    5,998,035       5,410,706  

4.500% due 08/01/24 - 05/01/53

    4,991,041       4,636,469  

5.000% due 12/01/31 - 07/01/53

    5,291,133       5,017,427  

5.500% due 04/01/34 - 12/01/52

    408,185       403,438  

6.000% due 04/01/36 - 05/01/40

    329,300       336,430  

6.500% due 08/01/37 - 04/01/39

    26,733       27,335  
   

 

 

 
    82,005,849  
   

 

 

 

Government National Mortgage Association - 6.0%

 

 

due 10/20/53 #

    4,225,000       3,971,806  

2.000% due 10/20/50 - 05/20/52

    16,831,532       13,339,722  

2.500% due 01/20/43 - 05/20/52

    18,162,011       14,895,297  

3.000% due 08/20/42 - 08/20/52

    12,803,086       10,933,634  

3.500% due 10/15/41 - 10/20/52

    9,787,396       8,676,915  

4.000% due 06/15/39 - 11/20/52

    6,056,646       5,517,648  

4.500% due 02/15/39 - 03/20/53

    5,079,383       4,731,798  

5.000% due 05/15/36 - 07/20/53

    3,978,558       3,790,585  

5.500% due 04/15/37 - 05/20/53

    2,659,587       2,587,254  

6.000% due 01/15/38 - 12/20/52

    701,972       698,543  

6.500% due 10/15/38 - 07/20/53

    667,741       669,955  
   

 

 

 
    69,813,157  
   

 

 

 

Total Mortgage-Backed Securities
(Cost $387,980,945)

 

    329,456,197  
   

 

 

 
   

Principal
Amount

   

Value

 

ASSET-BACKED SECURITIES - 0.4%

   

Automobile Other - 0.0%

   

Santander Drive Auto Receivables Trust
3.760% due 07/16/29

    $300,000       $286,343  

World Omni Auto Receivables Trust
0.840% due 09/15/27

    272,000       246,979  
   

 

 

 
    533,322  
   

 

 

 

Automobile Sequential - 0.2%

   

Ally Auto Receivables Trust
5.460% due 05/15/28

    83,000       82,880  

Americredit Automobile Receivables Trust
5.620% due 11/18/27

    97,000       96,710  

BMW Vehicle Owner Trust
5.470% due 02/25/28

    56,000       55,889  

Capital One Prime Auto Receivables Trust
4.870% due 02/15/28

    175,000       172,438  

CarMax Auto Owner Trust

   

4.750% due 10/15/27

    180,000       177,197  

5.280% due 05/15/28

    73,000       72,497  

Ford Credit Auto Owner Trust
5.230% due 05/15/28

    200,000       198,665  

GM Financial Automobile Leasing Trust
5.050% due 07/20/26

    90,000       89,013  

GM Financial Consumer Automobile Receivables Trust

   

4.470% due 02/16/28

    250,000       244,562  

4.660% due 02/16/28

    55,000       54,035  

Harley-Davidson Motorcycle Trust
5.050% due 12/15/27

    300,000       296,306  

Honda Auto Receivables Owner Trust
5.040% due 04/21/27

    167,000       165,397  

Hyundai Auto Receivables Trust
5.480% due 04/17/28

    44,000       43,966  

Toyota Auto Receivables Owner Trust
4.710% due 02/15/28

    250,000       245,209  

Volkswagen Auto Loan Enhanced Trust
5.020% due 06/20/28

    100,000       99,027  
   

 

 

 
    2,093,791  
   

 

 

 

Credit Card Bullet - 0.2%

   

American Express Credit Account Master Trust

   

0.900% due 11/15/26

    109,000       103,287  

3.750% due 08/15/27

    450,000       435,849  

Capital One Multi-Asset Execution Trust
1.040% due 11/15/26

    350,000       332,124  

Chase Issuance Trust
3.970% due 09/15/27

    180,000       174,987  

Citibank Credit Card Issuance Trust
6.150% due 06/15/39

    250,000       257,738  

Discover Card Execution Note Trust

   

1.030% due 09/15/28

    272,000       240,071  

5.030% due 10/15/27

    100,000       99,243  

Synchrony Card Funding LLC
3.370% due 04/15/28

    180,000       173,427  
   

 

 

 
    1,816,726  
   

 

 

 

Credit Card Other - 0.0%

   

Capital One Multi-Asset Execution Trust
4.420% due 05/15/28

    237,000       231,363  
   

 

 

 

Other Asset-Backed Securities - 0.0%

   

John Deere Owner Trust
5.180% due 03/15/28

    83,000       82,360  

Verizon Master Trust

   

0.500% due 05/20/27

    350,000       338,168  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

225

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

5.160% due 06/20/29

    $125,000       $124,241  
   

 

 

 
    544,769  
   

 

 

 

Total Asset-Backed Securities
(Cost $5,398,298)

 

    5,219,971  
   

 

 

 

U.S. GOVERNMENT AGENCY ISSUES - 0.9%

 

 

Fannie Mae

   

0.375% due 08/25/25

    95,000       86,911  

0.500% due 11/07/25

    1,115,000       1,014,164  

0.625% due 04/22/25

    430,000       400,238  

0.750% due 10/08/27

    300,000       256,637  

0.875% due 08/05/30

    500,000       386,309  

5.625% due 07/15/37

    100,000       106,780  

6.625% due 11/15/30

    500,000       553,790  

7.125% due 01/15/30

    525,000       590,828  

Federal Farm Credit Banks Funding Corp.
4.500% due 08/14/26

    300,000       297,109  

Federal Home Loan Bank

   

0.375% due 09/04/25

    475,000       434,114  

0.500% due 04/14/25

    500,000       465,163  

1.250% due 12/21/26

    300,000       267,970  

5.500% due 07/15/36

    100,000       106,868  

Federal Home Loan Banks

   

3.250% due 11/16/28

    1,000,000       935,591  

4.500% due 10/03/24

    750,000       741,841  

4.625% due 06/06/25

    225,000       223,183  

5.000% due 02/28/25

    350,000       348,298  

Freddie Mac

   

0.375% due 07/21/25

    680,000       625,100  

0.375% due 09/23/25

    825,000       752,347  

1.500% due 02/12/25

    1,250,000       1,188,303  

6.250% due 07/15/32

    475,000       525,900  

Tennessee Valley Authority

   

3.500% due 12/15/42

    100,000       76,915  

3.875% due 03/15/28

    318,000       307,103  

4.250% due 09/15/65

    200,000       158,995  

5.250% due 09/15/39

    25,000       24,496  

5.375% due 04/01/56

    50,000       49,405  

6.750% due 11/01/25

    150,000       154,291  

7.125% due 05/01/30

    50,000       56,009  
   

 

 

 

Total U.S. Government Agency Issues
(Cost $11,985,159)

 

    11,134,658  
   

 

 

 

U.S. TREASURY OBLIGATIONS - 41.1%

   

U.S. Treasury Bonds - 7.9%

   

1.125% due 05/15/40

    1,750,000       1,005,225  

1.125% due 08/15/40

    3,700,000       2,104,809  

1.250% due 05/15/50

    3,350,000       1,581,370  

1.375% due 11/15/40

    4,500,000       2,665,195  

1.375% due 08/15/50

    3,600,000       1,757,812  

1.625% due 11/15/50

    3,100,000       1,624,533  

1.750% due 08/15/41

    4,750,000       2,960,029  

1.875% due 02/15/41

    3,100,000       2,001,074  

1.875% due 02/15/51

    3,100,000       1,738,240  

1.875% due 11/15/51

    2,900,000       1,617,316  

2.000% due 11/15/41

    4,500,000       2,921,924  

2.000% due 02/15/50

    2,250,000       1,313,525  

2.000% due 08/15/51

    4,200,000       2,424,516  

2.250% due 05/15/41

    1,200,000       823,828  

2.250% due 08/15/46

    2,150,000       1,363,906  

2.250% due 08/15/49

    2,850,000       1,774,960  

2.250% due 02/15/52

    2,700,000       1,657,811  

2.375% due 02/15/42

    3,250,000       2,247,515  

2.375% due 11/15/49

    1,950,000       1,248,724  

2.375% due 05/15/51

    3,500,000       2,220,586  

2.500% due 02/15/45

    2,800,000       1,902,195  
   

Principal
Amount

   

Value

 

2.500% due 02/15/46

    $2,600,000       $1,745,758  

2.500% due 05/15/46

    1,000,000       670,137  

2.750% due 08/15/42

    450,000       330,038  

2.750% due 11/15/42

    1,850,000       1,351,187  

2.750% due 11/15/47

    2,500,000       1,744,043  

2.875% due 08/15/45

    1,000,000       724,609  

2.875% due 05/15/49

    1,275,000       909,832  

2.875% due 05/15/52

    2,750,000       1,950,459  

3.000% due 05/15/42

    1,075,000       823,089  

3.000% due 05/15/45

    1,500,000       1,114,482  

3.000% due 11/15/45

    1,900,000       1,406,037  

3.000% due 02/15/47

    500,000       367,305  

3.000% due 05/15/47

    1,700,000       1,247,740  

3.000% due 02/15/48

    2,000,000       1,463,672  

3.000% due 08/15/48

    1,500,000       1,096,846  

3.000% due 02/15/49

    2,000,000       1,462,266  

3.000% due 08/15/52

    3,000,000       2,186,836  

3.125% due 11/15/41

    975,000       766,860  

3.125% due 02/15/43

    1,000,000       774,395  

3.125% due 08/15/44

    600,000       458,625  

3.125% due 05/15/48

    2,700,000       2,022,732  

3.250% due 05/15/42

    2,000,000       1,594,180  

3.375% due 08/15/42

    3,000,000       2,431,348  

3.625% due 08/15/43

    1,525,000       1,272,869  

3.625% due 02/15/44

    500,000       415,908  

3.625% due 02/15/53

    3,350,000       2,771,340  

3.625% due 05/15/53

    3,500,000       2,898,711  

3.750% due 08/15/41

    1,300,000       1,125,516  

3.750% due 11/15/43

    1,000,000       849,062  

3.875% due 02/15/43

    750,000       652,852  

3.875% due 05/15/43

    2,500,000       2,173,828  

4.000% due 11/15/52

    2,200,000       1,950,437  

4.125% due 08/15/53

    1,000,000       907,969  

4.250% due 11/15/40

    750,000       697,778  

4.375% due 05/15/40

    1,025,000       972,749  

4.375% due 05/15/41

    775,000       730,907  

4.375% due 08/15/43

    1,000,000       933,125  

4.500% due 02/15/36

    1,750,000       1,746,650  

4.500% due 05/15/38

    500,000       489,375  

4.500% due 08/15/39

    700,000       678,139  

4.750% due 02/15/41

    1,350,000       1,335,551  

5.375% due 02/15/31

    1,100,000       1,154,527  

6.250% due 05/15/30

    1,050,000       1,145,730  
   

 

 

 
    92,500,592  
   

 

 

 

U.S. Treasury Notes - 33.2%

   

0.250% due 05/31/25

    2,750,000       2,536,123  

0.250% due 06/30/25

    3,500,000       3,217,129  

0.250% due 07/31/25

    5,000,000       4,578,711  

0.250% due 08/31/25

    3,500,000       3,194,023  

0.250% due 09/30/25

    4,200,000       3,822,492  

0.250% due 10/31/25

    6,000,000       5,441,250  

0.375% due 04/30/25

    3,000,000       2,781,562  

0.375% due 11/30/25

    2,500,000       2,265,527  

0.375% due 12/31/25

    3,500,000       3,164,629  

0.375% due 01/31/26

    4,000,000       3,601,406  

0.500% due 03/31/25

    3,000,000       2,795,977  

0.500% due 02/28/26

    3,500,000       3,151,641  

0.500% due 05/31/27

    3,500,000       3,007,949  

0.500% due 06/30/27

    1,000,000       856,836  

0.500% due 08/31/27

    2,500,000       2,128,320  

0.500% due 10/31/27

    2,000,000       1,692,227  

0.625% due 10/15/24

    2,750,000       2,617,573  

0.625% due 07/31/26

    3,250,000       2,893,008  

0.625% due 12/31/27

    5,000,000       4,228,516  

0.625% due 05/15/30

    3,350,000       2,593,240  

0.625% due 08/15/30

    3,400,000       2,610,164  

0.750% due 11/15/24

    3,500,000       3,325,000  

0.750% due 03/31/26

    2,500,000       2,261,133  

0.750% due 04/30/26

    2,500,000       2,252,441  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

226

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

0.750% due 05/31/26

    $3,000,000       $2,694,727  

0.750% due 08/31/26

    3,000,000       2,671,992  

0.750% due 01/31/28

    2,500,000       2,120,117  

0.875% due 06/30/26

    4,500,000       4,049,648  

0.875% due 09/30/26

    2,950,000       2,632,760  

0.875% due 11/15/30

    4,250,000       3,307,363  

1.000% due 12/15/24

    2,000,000       1,899,453  

1.000% due 07/31/28

    2,000,000       1,687,422  

1.125% due 01/15/25

    3,000,000       2,844,609  

1.125% due 02/28/25

    3,500,000       3,304,082  

1.125% due 10/31/26

    5,000,000       4,480,664  

1.125% due 02/28/27

    750,000       665,771  

1.125% due 02/29/28

    2,750,000       2,366,504  

1.125% due 08/31/28

    2,750,000       2,329,282  

1.125% due 02/15/31

    3,500,000       2,761,445  

1.250% due 11/30/26

    5,000,000       4,487,109  

1.250% due 12/31/26

    3,500,000       3,135,781  

1.250% due 03/31/28

    4,000,000       3,452,969  

1.250% due 04/30/28

    2,500,000       2,152,734  

1.250% due 05/31/28

    3,000,000       2,576,777  

1.250% due 06/30/28

    1,500,000       1,284,727  

1.250% due 09/30/28

    3,000,000       2,550,059  

1.250% due 08/15/31

    5,500,000       4,300,098  

1.375% due 01/31/25

    4,000,000       3,798,750  

1.375% due 08/31/26

    3,500,000       3,176,113  

1.375% due 10/31/28

    4,000,000       3,413,281  

1.375% due 12/31/28

    2,400,000       2,038,781  

1.375% due 11/15/31

    7,500,000       5,879,883  

1.500% due 10/31/24

    2,000,000       1,918,359  

1.500% due 02/15/25

    2,000,000       1,900,156  

1.500% due 08/15/26

    3,200,000       2,917,375  

1.500% due 01/31/27

    3,500,000       3,151,914  

1.500% due 11/30/28

    2,500,000       2,142,676  

1.500% due 02/15/30

    3,250,000       2,694,707  

1.625% due 02/15/26

    1,900,000       1,760,320  

1.625% due 05/15/26

    1,300,000       1,196,914  

1.625% due 10/31/26

    5,500,000       5,005,430  

1.625% due 08/15/29

    2,000,000       1,697,656  

1.625% due 05/15/31

    6,000,000       4,872,656  

1.750% due 12/31/24

    1,600,000       1,531,125  

1.750% due 03/15/25

    1,500,000       1,426,641  

1.750% due 12/31/26

    2,500,000       2,275,684  

1.750% due 01/31/29

    1,500,000       1,296,680  

1.875% due 07/31/26

    1,000,000       922,715  

1.875% due 02/28/27

    3,000,000       2,730,938  

1.875% due 02/28/29

    3,000,000       2,605,781  

1.875% due 02/15/32

    3,500,000       2,843,613  

2.000% due 02/15/25

    2,000,000       1,913,359  

2.000% due 11/15/26

    1,000,000       919,961  

2.125% due 05/15/25

    3,500,000       3,334,160  

2.125% due 05/31/26

    3,000,000       2,796,680  

2.250% due 10/31/24

    800,000       773,516  

2.250% due 11/15/24

    2,000,000       1,932,461  

2.250% due 12/31/24

    2,500,000       2,407,813  

2.250% due 11/15/25

    2,200,000       2,079,000  

2.250% due 08/15/27

    4,200,000       3,838,898  

2.250% due 11/15/27

    2,300,000       2,092,191  

2.375% due 04/30/26

    1,000,000       939,766  

2.375% due 05/15/27

    2,750,000       2,536,553  

2.375% due 03/31/29

    2,675,000       2,382,004  

2.375% due 05/15/29

    1,000,000       888,906  

2.500% due 01/31/25

    4,000,000       3,856,094  

2.500% due 03/31/27

    2,500,000       2,322,559  

2.625% due 04/15/25

    2,000,000       1,923,828  

2.625% due 05/31/27

    2,500,000       2,324,414  

2.625% due 02/15/29

    2,750,000       2,488,320  

2.625% due 07/31/29

    2,000,000       1,794,766  

2.750% due 04/30/27

    2,000,000       1,870,547  

2.750% due 07/31/27

    1,500,000       1,397,520  

2.750% due 02/15/28

    3,500,000       3,237,500  

2.750% due 05/31/29

    2,000,000       1,812,188  
   

Principal
Amount

   

Value

 

2.750% due 08/15/32

    $3,000,000       $2,598,281  

2.875% due 05/31/25

    1,200,000       1,155,984  

2.875% due 06/15/25

    1,000,000       962,852  

2.875% due 05/15/28

    2,500,000       2,317,188  

2.875% due 08/15/28

    1,750,000       1,616,221  

2.875% due 04/30/29

    2,000,000       1,826,797  

2.875% due 05/15/32

    3,500,000       3,072,754  

3.000% due 07/15/25

    1,500,000       1,445,742  

3.125% due 08/31/27

    2,500,000       2,359,863  

3.125% due 11/15/28

    3,000,000       2,793,867  

3.125% due 08/31/29

    3,000,000       2,765,156  

3.250% due 06/30/27

    4,000,000       3,801,094  

3.250% due 06/30/29

    1,750,000       1,626,543  

3.375% due 05/15/33

    4,250,000       3,854,883  

3.500% due 01/31/28

    2,100,000       2,004,434  

3.500% due 04/30/28

    2,500,000       2,383,105  

3.500% due 01/31/30

    1,500,000       1,406,191  

3.500% due 04/30/30

    1,750,000       1,638,096  

3.500% due 02/15/33

    4,750,000       4,358,867  

3.625% due 05/15/26

    3,500,000       3,392,949  

3.625% due 03/31/28

    3,250,000       3,116,191  

3.625% due 05/31/28

    3,500,000       3,354,941  

3.625% due 03/31/30

    2,000,000       1,886,797  

3.750% due 05/31/30

    2,500,000       2,373,828  

3.750% due 06/30/30

    2,000,000       1,898,594  

3.875% due 03/31/25

    2,000,000       1,960,469  

3.875% due 11/30/27

    2,500,000       2,423,828  

3.875% due 12/31/27

    1,500,000       1,453,945  

3.875% due 09/30/29

    1,500,000       1,439,121  

3.875% due 12/31/29

    2,000,000       1,916,172  

3.875% due 08/15/33

    2,000,000       1,890,000  

4.000% due 12/15/25

    3,000,000       2,938,008  

4.000% due 02/15/26

    2,500,000       2,447,363  

4.000% due 02/29/28

    5,000,000       4,871,289  

4.000% due 06/30/28

    2,750,000       2,676,899  

4.000% due 10/31/29

    1,500,000       1,448,496  

4.000% due 02/28/30

    2,000,000       1,929,063  

4.000% due 07/31/30

    1,750,000       1,686,016  

4.125% due 06/15/26

    2,500,000       2,453,906  

4.125% due 09/30/27

    1,000,000       979,336  

4.125% due 10/31/27

    3,000,000       2,936,602  

4.125% due 07/31/28

    2,000,000       1,957,031  

4.125% due 08/31/30

    1,750,000       1,698,867  

4.125% due 11/15/32

    3,450,000       3,327,902  

4.250% due 12/31/24

    3,500,000       3,453,174  

4.250% due 05/31/25

    3,000,000       2,955,703  

4.375% due 10/31/24

    1,000,000       988,926  

4.375% due 08/15/26

    4,000,000       3,950,625  

4.375% due 08/31/28

    2,500,000       2,475,391  

4.500% due 11/30/24

    3,500,000       3,465,342  

4.500% due 11/15/25

    3,500,000       3,463,496  

4.500% due 07/15/26

    2,000,000       1,981,719  

4.625% due 02/28/25

    1,500,000       1,486,582  

4.625% due 06/30/25

    2,000,000       1,983,047  

4.625% due 03/15/26

    2,000,000       1,986,328  

due 09/30/28 #

    2,500,000       2,501,758  

4.750% due 07/31/25

    1,000,000       993,418  

5.000% due 08/31/25

    4,000,000       3,992,188  
   

 

 

 
    387,957,350  
   

 

 

 

Total U.S. Treasury Obligations
(Cost $551,652,066)

 

    480,457,942  
   

 

 

 

FOREIGN GOVERNMENT BONDS & NOTES - 1.6%

 

 

Canada Government (Canada)

   

0.750% due 05/19/26

    300,000       269,239  

1.625% due 01/22/25

    150,000       142,951  

3.750% due 04/26/28

    380,000       364,996  

Chile Government (Chile)

   
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

227

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

2.550% due 07/27/33

    $250,000       $192,575  

3.100% due 01/22/61

    400,000       230,159  

3.125% due 01/21/26

    75,000       71,371  

3.500% due 01/31/34

    200,000       165,751  

3.860% due 06/21/47

    300,000       219,821  

4.950% due 01/05/36

    200,000       183,830  

Export Development Canada (Canada)

   

3.000% due 05/25/27

    200,000       187,928  

3.375% due 08/26/25

    90,000       87,110  

3.875% due 02/14/28

    100,000       96,385  

4.375% due 06/29/26

    200,000       196,991  

Export-Import Bank of Korea (South Korea)

   

0.625% due 02/09/26

    200,000       178,588  

1.625% due 01/18/27

    400,000       356,116  

5.000% due 01/11/28

    150,000       148,345  

5.125% due 01/11/33

    200,000       196,169  

Indonesia Government (Indonesia)

   

2.850% due 02/14/30

    200,000       170,546  

3.200% due 09/23/61

    200,000       119,499  

3.550% due 03/31/32

    200,000       172,932  

4.200% due 10/15/50

    300,000       230,820  

4.550% due 01/11/28

    200,000       194,223  

4.850% due 01/11/33

    200,000       190,780  

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

    200,000       170,314  

Japan Bank for International Cooperation (Japan)

   

0.625% due 07/15/25

    235,000       215,826  

1.250% due 01/21/31

    500,000       382,884  

1.875% due 07/21/26

    200,000       182,369  

1.875% due 04/15/31

    200,000       159,615  

3.250% due 07/20/28

    200,000       184,645  

4.250% due 01/26/26

    500,000       488,448  

Japan International Cooperation Agency (Japan)
3.375% due 06/12/28

    200,000       185,553  

Korea Development Bank (South Korea)

   

2.000% due 09/12/26

    200,000       181,041  

4.000% due 09/08/25

    200,000       194,184  

4.250% due 09/08/32

    200,000       183,317  

Korea International (South Korea)

   

1.750% due 10/15/31

    200,000       158,600  

2.750% due 01/19/27

    200,000       186,340  

Mexico Government (Mexico)

   

2.659% due 05/24/31

    200,000       158,307  

3.500% due 02/12/34

    200,000       156,881  

3.900% due 04/27/25

    350,000       342,526  

4.150% due 03/28/27

    200,000       192,383  

4.280% due 08/14/41

    200,000       147,944  

4.400% due 02/12/52

    400,000       278,236  

4.500% due 01/31/50

    200,000       144,647  

4.600% due 01/23/46

    250,000       185,149  

4.600% due 02/10/48

    200,000       146,433  

4.750% due 04/27/32

    350,000       315,998  

4.750% due 03/08/44

    264,000       203,318  

5.400% due 02/09/28

    300,000       296,083  

6.750% due 09/27/34

    225,000       227,718  

Panama Government (Panama)

   

3.870% due 07/23/60

    200,000       116,297  

4.500% due 05/15/47

    350,000       246,500  

6.400% due 02/14/35

    265,000       257,456  

6.700% due 01/26/36

    100,000       99,141  

6.853% due 03/28/54

    400,000       372,627  

8.875% due 09/30/27

    100,000       109,841  

Peruvian Government (Peru)

   

2.780% due 12/01/60

    200,000       107,023  

2.783% due 01/23/31

    300,000       246,415  

3.300% due 03/11/41

    250,000       173,563  

4.125% due 08/25/27

    150,000       143,216  

8.750% due 11/21/33

    200,000       238,573  

Philippine Government (Philippines)

   

1.648% due 06/10/31

    200,000       151,052  
   

Principal
Amount

   

Value

 

2.650% due 12/10/45

    $200,000       $120,932  

2.950% due 05/05/45

    200,000       127,346  

3.000% due 02/01/28

    200,000       181,530  

5.000% due 07/17/33

    200,000       192,311  

5.609% due 04/13/33

    200,000       200,878  

6.375% due 10/23/34

    250,000       264,151  

7.750% due 01/14/31

    200,000       226,503  

Province of Alberta Canada (Canada)

   

1.300% due 07/22/30

    250,000       196,673  

1.875% due 11/13/24

    350,000       335,741  

Province of British Columbia (Canada)

   

1.300% due 01/29/31

    500,000       391,184  

4.200% due 07/06/33

    100,000       93,744  

Province of Manitoba Canada (Canada)
1.500% due 10/25/28

    155,000       131,491  

Province of New Brunswick Canada (Canada)
3.625% due 02/24/28

    50,000       47,180  

Province of Ontario Canada (Canada)

   

0.625% due 01/21/26

    300,000       270,523  

1.050% due 04/14/26

    200,000       180,877  

1.050% due 05/21/27

    200,000       174,327  

2.000% due 10/02/29

    100,000       85,511  

2.125% due 01/21/32

    150,000       121,182  

2.300% due 06/15/26

    250,000       232,541  

3.625% due 04/13/28

    200,000       189,751  

Province of Quebec Canada (Canada)

   

0.600% due 07/23/25

    100,000       92,021  

1.350% due 05/28/30

    50,000       39,882  

1.500% due 02/11/25

    350,000       331,700  

1.900% due 04/21/31

    200,000       162,564  

7.500% due 09/15/29

    75,000       84,963  

Republic of Italy Government International Bond (Italy)

   

2.875% due 10/17/29

    200,000       171,827  

3.875% due 05/06/51

    200,000       130,904  

4.000% due 10/17/49

    200,000       137,076  

Republic of Poland Government (Poland)

   

5.500% due 11/16/27

    250,000       250,987  

5.750% due 11/16/32

    315,000       316,142  

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

    500,000       333,304  

Svensk Exportkredit AB (Sweden)
0.625% due 10/07/24

    560,000       532,126  

Uruguay Government International Bond (Uruguay)

   

4.125% due 11/20/45

    143,467       117,868  

4.375% due 10/27/27

    200,000       197,877  

5.100% due 06/18/50

    200,000       177,757  
   

 

 

 

Total Foreign Government Bonds & Notes
(Cost $22,272,223)

 

    19,138,962  
   

 

 

 

MUNICIPAL BONDS - 0.6%

   

American Municipal Power, Inc.

   

6.449% due 02/15/44

    25,000       26,174  

8.084% due 02/15/50

    300,000       376,204  

Bay Area Toll Authority CA

   

6.263% due 04/01/49

    25,000       26,804  

7.043% due 04/01/50

    50,000       58,170  

California State University

   

2.975% due 11/01/51

    50,000       31,822  

5.183% due 11/01/53

    200,000       183,011  

Central Puget Sound Regional Transit Authority
5.491% due 11/01/39

    25,000       24,743  

Chicago O’Hare International Airport
4.472% due 01/01/49

    50,000       42,816  

Chicago Transit Authority Sales & Transfer
Tax Receipts Revenue IL
6.899% due 12/01/40

    95,000       103,409  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

228

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

City of Atlanta GA Water & Wastewater Revenue
2.257% due 11/01/35

    $100,000       $75,421  

City of Chicago
7.750% due 01/01/42

    42,000       42,984  

City of Houston TX
3.961% due 03/01/47

    50,000       41,102  

City of New York NY
5.517% due 10/01/37

    40,000       39,470  

Commonwealth of Massachusetts

   

4.910% due 05/01/29

    100,000       98,571  

5.456% due 12/01/39

    25,000       24,944  

County of Clark Department of Aviation NV
6.820% due 07/01/45

    125,000       140,401  

Dallas Area Rapid Transit
2.613% due 12/01/48

    200,000       126,009  

Dallas Fort Worth International Airport
4.507% due 11/01/51

    100,000       84,588  

Dallas Independent School District TX Class C
6.450% due 02/15/35

    50,000       50,250  

Golden State Tobacco Securitization Corp.
4.214% due 06/01/50

    150,000       102,417  

Grand Parkway Transportation Corp.
3.236% due 10/01/52

    250,000       166,033  

JobsOhio Beverage System
2.833% due 01/01/38

    10,000       7,525  

Los Angeles Unified School District CA
6.758% due 07/01/34

    100,000       108,221  

Louisiana Local Government Environmental Facilities & Community Development Authority
5.198% due 12/01/39

    300,000       287,270  

Massachusetts School Building Authority

   

2.950% due 05/15/43

    50,000       34,676  

3.395% due 10/15/40

    20,000       15,215  

Metropolitan Transportation Authority NY

   

5.871% due 11/15/39

    25,000       23,865  

6.668% due 11/15/39

    55,000       56,121  

Municipal Electric Authority of Georgia

   

6.637% due 04/01/57

    25,000       26,629  

6.655% due 04/01/57

    95,000       101,276  

New Jersey Economic Development Authority
7.425% due 02/15/29

    125,000       132,104  

New Jersey Turnpike Authority Class A
7.102% due 01/01/41

    100,000       113,370  

New York City Municipal Water Finance Authority

   

5.952% due 06/15/42

    50,000       51,181  

6.011% due 06/15/42

    10,000       10,301  

New York City Transitional Finance Authority Future Tax Secured Revenue NY
5.572% due 11/01/38

    30,000       30,102  

New York State Urban Development Corp.

   

3.900% due 03/15/33

    50,000       45,167  

5.770% due 03/15/39

    25,000       25,063  

Pennsylvania Turnpike Commission
5.511% due 12/01/45

    75,000       71,795  

Permanent University Fund - University of Texas System
3.376% due 07/01/47

    185,000       134,621  

Port Authority of New York & New Jersey

   

3.175% due 07/15/60

    250,000       153,410  

4.031% due 09/01/48

    50,000       39,850  

4.229% due 10/15/57

    30,000       23,737  

4.458% due 10/01/62

    100,000       82,643  

5.647% due 11/01/40

    150,000       149,307  

Regents of the University of California Medical Center
4.132% due 05/15/32

    100,000       91,024  
   

Principal
Amount

   

Value

 

Rutgers The State University of New Jersey
3.915% due 05/01/19

    $15,000       $9,740  

Sales Tax Securitization Corp.
4.787% due 01/01/48

    50,000       44,169  

San Diego County Regional Transportation Commission CA
5.911% due 04/01/48

    50,000       52,607  

State Board of Administration Finance Corp.
2.154% due 07/01/30

    100,000       80,187  

State of California

   

1.700% due 02/01/28

    200,000       174,507  

3.500% due 04/01/28

    100,000       93,977  

5.125% due 03/01/38

    200,000       188,544  

7.300% due 10/01/39

    100,000       113,561  

7.500% due 04/01/34

    50,000       57,763  

7.600% due 11/01/40

    270,000       319,515  

7.625% due 03/01/40

    40,000       46,975  

State of Connecticut
5.090% due 10/01/30

    50,000       49,115  

State of Illinois
6.725% due 04/01/35

    369,231       376,145  

State of Texas
5.517% due 04/01/39

    100,000       99,511  

State of Utah
4.554% due 07/01/24

    5,000       4,969  

State of Wisconsin
3.154% due 05/01/27

    250,000       235,116  

Texas Natural Gas Securitization Finance Corp.
5.102% due 04/01/35

    400,000       392,630  

Texas Transportation Commission
2.562% due 04/01/42

    350,000       244,689  

Texas Transportation Commission State Highway Fund
5.178% due 04/01/30

    25,000       24,721  

University of California

   

3.063% due 07/01/25

    50,000       48,199  

4.767% due 05/15/15

    75,000       60,767  

4.858% due 05/15/12

    100,000       82,577  

University of Michigan

   

3.599% due 04/01/47

    80,000       64,028  

4.454% due 04/01/22

    100,000       76,613  
   

 

 

 

Total Municipal Bonds
(Cost $7,589,879)

      6,620,441  
   

 

 

 
   

Shares

       

SHORT-TERM INVESTMENTS - 1.3%

   

Money Market Funds - 1.3%

   

BlackRock Liquidity Funds: T-Fund Institutional
Shares 5.234%

    15,247,430       15,247,430  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

229

PACIFIC SELECT FUND

PD AGGREGATE BOND INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

       

Value

 

Total Short-Term Investments
(Cost $15,247,430)

      $15,247,430  
   

 

 

 

TOTAL INVESTMENTS - 100.6%
(Cost $1,361,288,437)

      1,176,953,312  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - (0.6%)

      (6,966,237
   

 

 

 

NET ASSETS - 100.0%

      $1,169,987,075  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Corporate Bonds & Notes

     $309,677,711        $-        $309,677,711        $-  
 

Mortgage-Backed Securities

     329,456,197        -        329,456,197        -  
 

Asset-Backed Securities

     5,219,971        -        5,219,971        -  
 

U.S. Government Agency Issues

     11,134,658        -        11,134,658        -  
 

U.S. Treasury Obligations

     480,457,942        -        480,457,942        -  
 

Foreign Government Bonds & Notes

     19,138,962        -        19,138,962        -  
 

Municipal Bonds

     6,620,441        -        6,620,441        -  
 

Short-Term Investments

     15,247,430        15,247,430        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $1,176,953,312        $15,247,430        $1,161,705,882        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

230

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 0.0%

 

Energy - 0.0%

 

Patterson-UTI Energy, Inc.

    306       $4,235  
   

 

 

 

Financial - 0.0%

 

Stearns Holdings LLC Class B * W ±

    3,570       -  
   

 

 

 

Total Common Stocks
(Cost $44,991)

 

    4,235  
   

 

 

 
   

Principal
Amount

       

CORPORATE BONDS & NOTES - 97.9%

 

Basic Materials - 4.3%

 

Arsenal AIC Parent LLC
8.000% due 10/01/30 ~

    $96,000       95,642  

Ashland, Inc.
3.375% due 09/01/31 ~

    200,000       155,728  

ASP Unifrax Holdings, Inc.

   

5.250% due 09/30/28 ~

    144,000       102,774  

7.500% due 09/30/29 ~

    123,000       67,033  

ATI, Inc.

   

5.125% due 10/01/31

    50,000       43,335  

5.875% due 12/01/27

    200,000       189,783  

7.250% due 08/15/30

    50,000       49,686  

Axalta Coating Systems LLC
3.375% due 02/15/29 ~

    300,000       250,043  

Carpenter Technology Corp.
6.375% due 07/15/28

    125,000       120,845  

Cerdia Finanz GmbH (Germany)
10.500% due 02/15/27 ~

    100,000       98,583  

Chemours Co.

   

4.625% due 11/15/29 ~

    100,000       80,555  

5.750% due 11/15/28 ~

    170,000       147,710  

Cleveland-Cliffs, Inc.

   

4.625% due 03/01/29 ~

    120,000       104,665  

6.250% due 10/01/40

    100,000       83,941  

6.750% due 03/15/26 ~

    137,000       136,752  

6.750% due 04/15/30 ~

    100,000       93,587  

Commercial Metals Co.

   

3.875% due 02/15/31

    200,000       167,456  

4.125% due 01/15/30

    95,000       82,813  

Compass Minerals International, Inc.
6.750% due 12/01/27 ~

    135,000       128,076  

Consolidated Energy Finance SA (Switzerland)
5.625% due 10/15/28 ~

    200,000       165,448  

Constellium SE
5.625% due 06/15/28 ~

    250,000       235,537  

Cornerstone Chemical Co.
10.250% Cash or 8.250% PIK
due 09/01/27 ~ Y *

    150,000       128,813  

CVR Partners LP/CVR Nitrogen Finance Corp.
6.125% due 06/15/28 ~

    150,000       134,961  

FMG Resources August 2006 Pty. Ltd. (Australia)

   

4.375% due 04/01/31 ~

    474,000       390,617  

5.875% due 04/15/30 ~

    100,000       91,562  

GPD Cos., Inc.
10.125% due 04/01/26 ~

    50,000       46,156  

HB Fuller Co.
4.250% due 10/15/28

    100,000       88,345  
   

Principal
Amount

   

Value

 

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

    $200,000       $155,547  

Hudbay Minerals, Inc. (Canada)
6.125% due 04/01/29 ~

    350,000       324,236  

INEOS Finance PLC (Luxembourg)
6.750% due 05/15/28 ~

    250,000       234,102  

Infrabuild Australia Pty. Ltd. (Australia)
12.000% due 10/01/24 ~

    100,000       97,654  

Ingevity Corp.
3.875% due 11/01/28 ~

    115,000       94,919  

Innophos Holdings, Inc.
9.375% due 02/15/28 ~

    125,000       119,904  

Kaiser Aluminum Corp.

   

4.500% due 06/01/31 ~

    131,000       103,944  

4.625% due 03/01/28 ~

    114,000       99,688  

Mativ Holdings, Inc.
6.875% due 10/01/26 ~

    75,000       68,528  

Mercer International, Inc. (Germany)

   

5.125% due 02/01/29

    294,000       232,222  

5.500% due 01/15/26

    150,000       141,078  

12.875% due 10/01/28 ~

    25,000       25,305  

Methanex Corp. (Canada)

   

5.125% due 10/15/27

    125,000       115,451  

5.650% due 12/01/44

    50,000       40,511  

Mineral Resources Ltd. (Australia)

   

8.000% due 11/01/27 ~

    175,000       171,919  

8.125% due 05/01/27 ~

    213,000       210,378  

due 10/01/28 # ~

    99,000       100,114  

Minerals Technologies, Inc.
5.000% due 07/01/28 ~

    16,000       14,694  

New Gold, Inc. (Canada)
7.500% due 07/15/27 ~

    165,000       154,264  

Novelis Corp.
3.250% due 11/15/26 ~

    375,000       335,376  

OCI NV (Netherlands)
4.625% due 10/15/25 ~

    160,000       151,326  

Olympus Water U.S. Holding Corp.

   

4.250% due 10/01/28 ~

    400,000       326,508  

6.250% due 10/01/29 ~

    150,000       116,091  

9.750% due 11/15/28 ~

    50,000       49,954  

Rain Carbon, Inc.
12.250% due 09/01/29 ~

    60,000       63,000  

Rayonier AM Products, Inc.
7.625% due 01/15/26 ~

    100,000       85,079  

SCIH Salt Holdings, Inc.

   

4.875% due 05/01/28 ~

    221,000       195,274  

6.625% due 05/01/29 ~

    105,000       90,104  

SK Invictus Intermediate II SARL
5.000% due 10/30/29 ~

    165,000       132,427  

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

    50,000       41,405  

Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc.
5.375% due 09/01/25 ~

    40,000       36,906  

Valvoline, Inc.

   

3.625% due 06/15/31 ~

    50,000       38,789  

4.250% due 02/15/30 ~

    176,000       173,021  

WR Grace Holdings LLC
5.625% due 08/15/29 ~

    390,000       315,849  
   

 

 

 
    8,136,013  
   

 

 

 

Communications - 15.4%

 

Acuris Finance U.S., Inc./Acuris Finance SARL
5.000% due 05/01/28 ~

    200,000       164,758  

Altice Financing SA (Luxembourg)
5.750% due 08/15/29 ~

    600,000       492,485  

Altice France Holding SA (Luxembourg)
10.500% due 05/15/27 ~

    205,000       128,139  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

231

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Altice France SA (France)

 

5.125% due 01/15/29 ~

    $350,000       $249,323  

5.125% due 07/15/29 ~

    500,000       356,203  

5.500% due 10/15/29 ~

    640,000       461,174  

AMC Networks, Inc.

   

4.250% due 02/15/29

    148,000       91,020  

4.750% due 08/01/25

    200,000       184,780  

5.000% due 04/01/24

    160,000       157,967  

ANGI Group LLC
3.875% due 08/15/28 ~

    100,000       78,367  

Arches Buyer, Inc.
4.250% due 06/01/28 ~

    250,000       213,449  

Audacy Capital Corp.
6.500% due 05/01/27 ~

    150,000       3,224  

Cable One, Inc.
4.000% due 11/15/30 ~

    110,000       83,905  

Cablevision Lightpath LLC
3.875% due 09/15/27 ~

    200,000       167,243  

CCO Holdings LLC/CCO Holdings Capital Corp.

   

4.250% due 02/01/31 ~

    945,000       753,178  

4.250% due 01/15/34 ~

    200,000       147,466  

4.500% due 08/15/30 ~

    500,000       411,059  

4.500% due 05/01/32

    879,000       690,782  

4.750% due 02/01/32 ~

    190,000       152,212  

5.125% due 05/01/27 ~

    100,000       93,276  

5.375% due 06/01/29 ~

    289,000       259,591  

5.500% due 05/01/26 ~

    225,000       217,571  

6.375% due 09/01/29 ~

    270,000       252,037  

7.375% due 03/01/31 ~

    200,000       193,291  

Cengage Learning, Inc.
9.500% due 06/15/24 ~

    4,000       4,027  

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

    180,000       152,515  

Clear Channel Outdoor Holdings, Inc.

   

5.125% due 08/15/27 ~

    400,000       355,587  

7.500% due 06/01/29 ~

    225,000       172,385  

9.000% due 09/15/28 ~

    125,000       123,928  

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

    180,000       172,073  

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

    313,000       298,370  

CommScope, Inc.

   

4.750% due 09/01/29 ~

    395,000       291,059  

6.000% due 03/01/26 ~

    230,000       214,958  

7.125% due 07/01/28 ~

    119,000       71,400  

8.250% due 03/01/27 ~

    100,000       65,491  

Connect Finco Sarl/Connect U.S. Finco LLC (United Kingdom)
6.750% due 10/01/26 ~

    227,000       212,006  

Consolidated Communications, Inc.
6.500% due 10/01/28 ~

    102,000       79,943  

CSC Holdings LLC

   

3.375% due 02/15/31 ~

    200,000       136,494  

4.125% due 12/01/30 ~

    200,000       141,744  

4.625% due 12/01/30 ~

    566,000       301,637  

5.000% due 11/15/31 ~

    300,000       161,163  

5.250% due 06/01/24

    204,000       194,379  

5.375% due 02/01/28 ~

    350,000       285,408  

7.500% due 04/01/28 ~

    200,000       130,195  

11.250% due 05/15/28 ~

    200,000       199,502  

Cumulus Media New Holdings, Inc.
6.750% due 07/01/26 ~

    100,000       75,895  

Directv Financing LLC/Directv Financing Co.-Obligor, Inc.
5.875% due 08/15/27 ~

    740,000       655,233  

DISH DBS Corp.

   

5.250% due 12/01/26 ~

    575,000       489,742  

5.750% due 12/01/28 ~

    250,000       192,656  

5.875% due 11/15/24

    365,000       340,320  

7.375% due 07/01/28

    80,000       50,541  

7.750% due 07/01/26

    218,000       163,841  
   

Principal
Amount

   

Value

 

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

    $725,000       $731,482  

EquipmentShare.com, Inc.
9.000% due 05/15/28 ~

    137,000       131,862  

Frontier Communications Holdings LLC

   

5.000% due 05/01/28 ~

    475,000       406,157  

5.875% due 10/15/27 ~

    210,000       191,188  

6.750% due 05/01/29 ~

    200,000       154,137  

8.625% due 03/15/31 ~

    150,000       141,447  

8.750% due 05/15/30 ~

    270,000       256,642  

Gannett Holdings LLC
6.000% due 11/01/26 ~

    150,000       129,512  

Gen Digital, Inc.

   

5.000% due 04/15/25 ~

    200,000       195,573  

6.750% due 09/30/27 ~

    150,000       147,190  

7.125% due 09/30/30 ~

    74,000       72,994  

Getty Images, Inc.
9.750% due 03/01/27 ~

    100,000       100,001  

Gray Escrow II, Inc.
5.375% due 11/15/31 ~

    350,000       229,505  

Gray Television, Inc.

   

5.875% due 07/15/26 ~

    75,000       67,478  

7.000% due 05/15/27 ~

    340,000       292,924  

GrubHub Holdings, Inc.
5.500% due 07/01/27 ~

    100,000       77,828  

iHeartCommunications, Inc.

   

5.250% due 08/15/27 ~

    191,000       151,663  

6.375% due 05/01/26

    200,000       172,654  

8.375% due 05/01/27

    100,000       71,875  

Iliad Holding SASU (France)
6.500% due 10/15/26 ~

    500,000       470,296  

Intelsat Jackson Holdings SA (Luxembourg)
6.500% due 03/15/30 ~

    415,000       369,078  

Lamar Media Corp.

   

3.625% due 01/15/31

    120,000       97,837  

4.875% due 01/15/29

    200,000       181,345  

Level 3 Financing, Inc.

   

3.400% due 03/01/27 ~

    240,000       224,936  

3.625% due 01/15/29 ~

    100,000       56,139  

3.875% due 11/15/29 ~

    200,000       184,503  

4.250% due 07/01/28 ~

    175,000       109,299  

4.625% due 09/15/27 ~

    400,000       288,251  

10.500% due 05/15/30 ~

    118,000       118,883  

Lumen Technologies, Inc.

   

4.000% due 02/15/27 ~

    560,000       369,502  

4.500% due 01/15/29 ~

    150,000       46,701  

Match Group Holdings II LLC

   

3.625% due 10/01/31 ~

    125,000       98,759  

4.125% due 08/01/30 ~

    150,000       123,944  

4.625% due 06/01/28 ~

    135,000       121,194  

McGraw-Hill Education, Inc.
5.750% due 08/01/28 ~

    350,000       302,421  

Midcontinent Communications/Midcontinent Finance Corp.
5.375% due 08/15/27 ~

    100,000       92,768  

Millennium Escrow Corp.
6.625% due 08/01/26 ~

    192,000       153,367  

News Corp.

   

3.875% due 05/15/29 ~

    85,000       73,190  

5.125% due 02/15/32 ~

    100,000       87,476  

Nexstar Media, Inc.

   

4.750% due 11/01/28 ~

    285,000       236,241  

5.625% due 07/15/27 ~

    238,000       212,099  

Nokia OYJ (Finland)
6.625% due 05/15/39

    50,000       44,865  

Northwest Fiber LLC/Northwest Fiber Finance Sub, Inc.

   

4.750% due 04/30/27 ~

    20,000       17,821  

6.000% due 02/15/28 ~

    200,000       163,913  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

232

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Outfront Media Capital LLC/Outfront Media Capital Corp.
5.000% due 08/15/27 ~

    $365,000       $322,016  

Paramount Global
6.250% due 02/28/57

    292,000       220,314  

Qwest Corp.
7.250% due 09/15/25

    35,000       33,922  

Radiate Holdco LLC/Radiate Finance, Inc.
6.500% due 09/15/28 ~

    83,000       43,700  

Rakuten Group, Inc. (Japan)

   

6.250% due 04/22/31 ~

    300,000       190,524  

10.250% due 11/30/24 ~

    200,000       201,286  

RCN Corp. * Y W ±

    9,000       -  

Rogers Communications, Inc. (Canada)
5.250% due 03/15/82 ~

    100,000       88,605  

Scripps Escrow II, Inc.

   

3.875% due 01/15/29 ~

    175,000       131,799  

5.375% due 01/15/31 ~

    100,000       61,563  

Scripps Escrow, Inc.
5.875% due 07/15/27 ~

    150,000       111,132  

Sinclair Television Group, Inc.
4.125% due 12/01/30 ~

    250,000       155,321  

Sirius XM Radio, Inc.

   

3.125% due 09/01/26 ~

    146,000       130,274  

4.000% due 07/15/28 ~

    275,000       235,013  

4.125% due 07/01/30 ~

    250,000       200,442  

5.000% due 08/01/27 ~

    160,000       146,305  

5.500% due 07/01/29 ~

    560,000       495,970  

Summer BC Bidco B LLC
5.500% due 10/31/26 ~

    200,000       179,577  

TEGNA, Inc.

   

4.625% due 03/15/28

    235,000       204,156  

4.750% due 03/15/26 ~

    141,000       133,758  

5.000% due 09/15/29

    224,000       188,434  

Telecom Italia Capital SA (Italy)

   

6.000% due 09/30/34

    200,000       166,950  

7.200% due 07/18/36

    500,000       445,372  

Telenet Finance Luxembourg Notes SARL (Belgium)
5.500% due 03/01/28 ~

    200,000       181,150  

Telesat Canada/Telesat LLC (Canada)
6.500% due 10/15/27 ~

    134,000       69,010  

Uber Technologies, Inc.
4.500% due 08/15/29 ~

    500,000       447,866  

Univision Communications, Inc.

   

4.500% due 05/01/29 ~

    172,000       140,233  

6.625% due 06/01/27 ~

    255,000       237,760  

7.375% due 06/30/30 ~

    206,000       188,516  

8.000% due 08/15/28 ~

    76,000       73,760  

UPC Broadband Finco BV (Netherlands)
4.875% due 07/15/31 ~

    250,000       203,147  

UPC Holding BV (Netherlands)
5.500% due 01/15/28 ~

    200,000       177,720  

Urban One, Inc.
7.375% due 02/01/28 ~

    160,000       137,470  

Viasat, Inc.
7.500% due 05/30/31 ~

    136,000       89,998  

Videotron Ltd. (Canada)

   

3.625% due 06/15/29 ~

    175,000       146,293  

5.125% due 04/15/27 ~

    200,000       189,469  

Virgin Media Secured Finance PLC (United Kingdom)

   

4.500% due 08/15/30 ~

    200,000       165,474  

5.500% due 05/15/29 ~

    223,000       198,871  

Vmed O2 UK Financing I PLC (United Kingdom)
4.750% due 07/15/31 ~

    700,000       566,348  

Vodafone Group PLC (United Kingdom)

   

3.250% due 06/04/81

    250,000       220,496  

5.125% due 06/04/81

    100,000       68,018  

7.000% due 04/04/79

    600,000       596,513  
   

Principal
Amount

   

Value

 

VZ Secured Financing BV (Netherlands)
5.000% due 01/15/32 ~

    $100,000       $78,662  

Windstream Escrow LLC/Windstream Escrow Finance Corp.
7.750% due 08/15/28 ~

    396,000       315,283  

Zayo Group Holdings, Inc.
4.000% due 03/01/27 ~

    450,000       334,485  

Ziff Davis, Inc.
4.625% due 10/15/30 ~

    215,000       182,255  

Ziggo Bond Co. BV (Netherlands)
5.125% due 02/28/30 ~

    200,000       149,423  

Ziggo BV (Netherlands)
4.875% due 01/15/30 ~

    200,000       163,179  
   

 

 

 
    29,109,764  
   

 

 

 

Consumer, Cyclical - 23.5%

 

99 Escrow Issuer, Inc.
7.500% due 01/15/26 ~

    213,000       82,365  

Acushnet Co.
due 10/15/28 # ~

    21,000       21,184  

Adams Homes, Inc.
due 10/15/28 # ~

    50,000       50,141  

Adient Global Holdings Ltd.

   

7.000% due 04/15/28 ~

    63,000       62,557  

8.250% due 04/15/31 ~

    63,000       63,154  

Advance Auto Parts, Inc.
3.900% due 04/15/30

    100,000       81,212  

Air Canada (Canada)
3.875% due 08/15/26 ~

    205,000       186,248  

Allison Transmission, Inc.
3.750% due 01/30/31 ~

    300,000       242,822  

AMC Entertainment Holdings, Inc.

   

7.500% due 02/15/29 ~

    165,000       114,869  

10.000% due 06/15/26 ~

    200,000       145,005  

American Airlines Group, Inc.
3.750% due 03/01/25 ~

    150,000       142,259  

American Airlines, Inc.

   

7.250% due 02/15/28 ~

    600,000       574,258  

11.750% due 07/15/25 ~

    700,000       753,069  

American Airlines, Inc./AAdvantage Loyalty IP Ltd.

   

5.500% due 04/20/26 ~

    215,417       210,581  

5.750% due 04/20/29 ~

    45,000       41,889  

American Axle & Manufacturing, Inc.

   

6.250% due 03/15/26

    34,000       33,015  

6.875% due 07/01/28

    150,000       136,318  

American Builders & Contractors Supply Co., Inc.
4.000% due 01/15/28 ~

    129,000       114,493  

Aramark Services, Inc.
5.000% due 04/01/25 ~

    100,000       98,405  

Asbury Automotive Group, Inc.

   

4.500% due 03/01/28

    150,000       134,458  

4.750% due 03/01/30

    218,000       186,720  

Ashton Woods USA LLC/Ashton Woods Finance Co.
6.625% due 01/15/28 ~

    250,000       236,149  

Aston Martin Capital Holdings Ltd. (Jersey)
10.500% due 11/30/25 ~

    200,000       202,707  

At Home Group, Inc.
4.875% due 07/15/28 ~

    90,000       38,394  

Bath & Body Works, Inc.

   

6.694% due 01/15/27

    195,000       189,296  

6.750% due 07/01/36

    90,000       78,958  

6.875% due 11/01/35

    300,000       268,270  

BCPE Empire Holdings, Inc.
7.625% due 05/01/27 ~

    190,000       180,684  

Beacon Roofing Supply, Inc.

   

4.500% due 11/15/26 ~

    150,000       140,220  

6.500% due 08/01/30 ~

    65,000       63,062  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

233

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Beazer Homes USA, Inc.
6.750% due 03/15/25

    $250,000       $250,080  

Bloomin’ Brands, Inc./OSI Restaurant Partners LLC
5.125% due 04/15/29 ~

    100,000       87,863  

BlueLinx Holdings, Inc.
6.000% due 11/15/29 ~

    100,000       88,213  

Boyne USA, Inc.
4.750% due 05/15/29 ~

    100,000       87,584  

Brinker International, Inc.

   

5.000% due 10/01/24 ~

    100,000       97,625  

8.250% due 07/15/30 ~

    50,000       48,173  

Brookfield Residential Properties, Inc. /Brookfield Residential U.S. LLC (Canada)

   

4.875% due 02/15/30 ~

    65,000       52,930  

5.000% due 06/15/29 ~

    100,000       82,640  

6.250% due 09/15/27 ~

    263,000       237,126  

Caesars Entertainment, Inc.

   

6.250% due 07/01/25 ~

    500,000       493,596  

7.000% due 02/15/30 ~

    550,000       535,767  

Carnival Corp.

   

4.000% due 08/01/28 ~

    725,000       629,225  

5.750% due 03/01/27 ~

    387,000       350,657  

6.650% due 01/15/28

    200,000       178,516  

7.000% due 08/15/29 ~

    52,000       51,325  

7.625% due 03/01/26 ~

    420,000       408,857  

Carnival PLC
7.875% due 06/01/27

    185,000       188,036  

Carvana Co.

   

12.000% Cash or 12.000% PIK
due 12/01/28 ~

    93,000       73,164  

13.000% Cash or 13.000% PIK
due 06/01/30 ~

    141,000       110,165  

14.000% Cash or 14.000% PIK
due 06/01/31 ~

    166,000       130,127  

CD&R Smokey Buyer, Inc.
6.750% due 07/15/25 ~

    120,000       115,781  

CEC Entertainment LLC
6.750% due 05/01/26 ~

    88,000       83,313  

Cedar Fair LP/Canada’s Wonderland Co. /Magnum Management Corp./Millennium Op

   

5.375% due 04/15/27

    280,000       262,517  

6.500% due 10/01/28

    100,000       94,683  

Churchill Downs, Inc.

   

4.750% due 01/15/28 ~

    236,000       213,106  

5.500% due 04/01/27 ~

    230,000       219,475  

6.750% due 05/01/31 ~

    110,000       104,088  

Cinemark USA, Inc.

   

5.250% due 07/15/28 ~

    200,000       177,766  

8.750% due 05/01/25 ~

    72,000       72,518  

Clarios Global LP/Clarios U.S. Finance Co.

   

6.750% due 05/15/28 ~

    47,000       45,936  

8.500% due 05/15/27 ~

    657,000       656,347  

Constellation Merger Sub, Inc.
8.500% due 09/15/25 ~

    100,000       83,636  

Cooper-Standard Automotive, Inc.

   

5.625% Cash or 10.625% PIK due 05/15/27 ~

    312,218       209,898  

13.500% Cash or 4.500% PIK due 03/31/27 ~

    4,795       4,925  

Crocs, Inc.
4.125% due 08/15/31 ~

    150,000       116,225  

Dana, Inc.

   

4.250% due 09/01/30

    100,000       80,380  

4.500% due 02/15/32

    300,000       233,383  

Dave & Buster’s, Inc.
7.625% due 11/01/25 ~

    140,000       140,079  

Dealer Tire LLC/DT Issuer LLC
8.000% due 02/01/28 ~

    250,000       234,677  

Delta Air Lines, Inc.
7.375% due 01/15/26

    90,000       91,184  
   

Principal
Amount

   

Value

 

Dream Finders Homes, Inc.
8.250% due 08/15/28 ~

    $38,000       $38,295  

eG Global Finance PLC (United Kingdom)
8.500% due 10/30/25 ~

    200,000       197,064  

Evergreen Acqco 1 LP/TVI, Inc.
9.750% due 04/26/28 ~

    180,000       185,512  

Everi Holdings, Inc.
5.000% due 07/15/29 ~

    200,000       172,376  

Ferrellgas LP/Ferrellgas Finance Corp.
5.375% due 04/01/26 ~

    240,000       225,223  

Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.
6.750% due 01/15/30 ~

    215,000       175,503  

FirstCash, Inc.

   

4.625% due 09/01/28 ~

    150,000       133,065  

5.625% due 01/01/30 ~

    175,000       157,666  

Ford Motor Co.
3.250% due 02/12/32

    565,000       435,979  

Ford Motor Credit Co. LLC

   

2.700% due 08/10/26

    380,000       339,481  

3.375% due 11/13/25

    300,000       278,600  

3.625% due 06/17/31

    240,000       194,183  

3.815% due 11/02/27

    400,000       356,603  

4.000% due 11/13/30

    200,000       167,227  

4.271% due 01/09/27

    200,000       184,930  

4.389% due 01/08/26

    250,000       236,225  

4.687% due 06/09/25

    350,000       336,707  

4.950% due 05/28/27

    200,000       187,955  

6.800% due 05/12/28

    200,000       199,934  

6.950% due 06/10/26

    200,000       199,972  

7.200% due 06/10/30

    200,000       201,245  

7.350% due 11/04/27

    250,000       255,542  

7.350% due 03/06/30

    245,000       248,377  

Forestar Group, Inc.
5.000% due 03/01/28 ~

    150,000       134,850  

Gap, Inc.

   

3.625% due 10/01/29 ~

    345,000       255,725  

3.875% due 10/01/31 ~

    145,000       102,049  

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

    200,000       177,544  

Goodyear Tire & Rubber Co.

   

5.000% due 05/31/26

    480,000       458,881  

5.250% due 07/15/31

    85,000       70,417  

5.625% due 04/30/33

    400,000       327,757  

9.500% due 05/31/25

    145,000       147,319  

GPS Hospitality Holding Co. LLC/GPS Finco, Inc.
7.000% due 08/15/28 ~

    199,000       136,946  

Group 1 Automotive, Inc.
4.000% due 08/15/28 ~

    100,000       86,917  

Hanesbrands, Inc.
9.000% due 02/15/31 ~

    195,000       186,083  

Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd.
5.750% due 01/20/26 ~

    400,000       360,459  

Hilton Domestic Operating Co., Inc.

   

3.625% due 02/15/32 ~

    50,000       40,358  

4.000% due 05/01/31 ~

    190,000       159,907  

5.375% due 05/01/25 ~

    50,000       49,253  

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc.
5.000% due 06/01/29 ~

    300,000       260,591  

Hilton Worldwide Finance LLC/Hilton Worldwide Finance Corp.
4.875% due 04/01/27

    215,000       204,731  

International Game Technology PLC

   

4.125% due 04/15/26 ~

    200,000       188,322  

6.500% due 02/15/25 ~

    200,000       199,883  

IRB Holding Corp.
7.000% due 06/15/25 ~

    250,000       250,345  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

234

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

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

    $160,000       $142,167  

JB Poindexter & Co., Inc.
7.125% due 04/15/26 ~

    119,000       115,901  

KB Home

   

6.875% due 06/15/27

    75,000       75,083  

7.250% due 07/15/30

    185,000       181,958  

KFC Holding Co./Pizza Hut Holdings LLC/Taco Bell of America LLC
4.750% due 06/01/27 ~

    200,000       190,226  

Kohl’s Corp.

   

4.250% due 07/17/25

    58,000       53,853  

4.625% due 05/01/31

    138,000       92,936  

Las Vegas Sands Corp.

   

2.900% due 06/25/25

    150,000       139,930  

3.500% due 08/18/26

    306,000       278,662  

LCM Investments Holdings II LLC

   

4.875% due 05/01/29 ~

    100,000       85,142  

8.250% due 08/01/31 ~

    77,000       74,866  

Levi Strauss & Co.
3.500% due 03/01/31 ~

    105,000       83,151  

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

    75,000       59,912  

Life Time, Inc.
5.750% due 01/15/26 ~

    122,000       118,322  

Light & Wonder International, Inc.

   

7.000% due 05/15/28 ~

    224,000       220,400  

7.250% due 11/15/29 ~

    156,000       153,052  

7.500% due 09/01/31 ~

    138,000       136,537  

Lindblad Expeditions Holdings, Inc.
9.000% due 05/15/28 ~

    100,000       99,888  

Lindblad Expeditions LLC
6.750% due 02/15/27 ~

    100,000       93,730  

Lithia Motors, Inc.

   

3.875% due 06/01/29 ~

    90,000       75,951  

4.375% due 01/15/31 ~

    150,000       124,245  

4.625% due 12/15/27 ~

    150,000       137,129  

Live Nation Entertainment, Inc.

   

3.750% due 01/15/28 ~

    160,000       141,600  

4.750% due 10/15/27 ~

    110,000       100,837  

5.625% due 03/15/26 ~

    81,000       77,860  

6.500% due 05/15/27 ~

    225,000       222,076  

LSF9 Atlantis Holdings LLC/Victra Finance Corp.
7.750% due 02/15/26 ~

    100,000       90,950  

Macy’s Retail Holdings LLC
4.300% due 02/15/43

    300,000       167,938  

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

    200,000       164,817  

Marriott Ownership Resorts, Inc.

   

4.500% due 06/15/29 ~

    135,000       113,256  

4.750% due 01/15/28

    150,000       131,440  

Melco Resorts Finance Ltd. (Hong Kong)

   

5.250% due 04/26/26 ~

    500,000       464,352  

5.375% due 12/04/29 ~

    200,000       164,956  

Meritage Homes Corp.
5.125% due 06/06/27

    200,000       189,013  

MGM China Holdings Ltd. (Macau)
4.750% due 02/01/27 ~

    200,000       179,721  

MGM Resorts International

   

4.625% due 09/01/26

    400,000       373,981  

6.750% due 05/01/25

    80,000       79,659  

Michaels Cos., Inc.

   

5.250% due 05/01/28 ~

    300,000       239,935  

7.875% due 05/01/29 ~

    115,000       75,237  

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

    259,000       220,813  

Mohegan Tribal Gaming Authority

   

8.000% due 02/01/26 ~

    260,000       239,587  

13.250% due 12/15/27 ~

    150,000       159,595  
   

Principal
Amount

   

Value

 

Murphy Oil USA, Inc.

   

3.750% due 02/15/31 ~

    $85,000       $69,484  

4.750% due 09/15/29

    99,000       89,377  

5.625% due 05/01/27

    100,000       96,610  

NCL Corp. Ltd.

   

5.875% due 03/15/26 ~

    260,000       240,345  

5.875% due 02/15/27 ~

    100,000       95,190  

7.750% due 02/15/29 ~

    100,000       92,924  

8.375% due 02/01/28 ~

    83,000       84,267  

NCL Finance Ltd.
6.125% due 03/15/28 ~

    125,000       110,458  

New Red Finance, Inc. (Canada)

   

3.500% due 02/15/29 ~

    10,000       8,569  

4.000% due 10/15/30 ~

    758,000       630,765  

5.750% due 04/15/25 ~

    50,000       49,666  

Newell Brands, Inc.

   

4.875% due 06/01/25

    165,000       158,272  

5.200% due 04/01/26

    335,000       316,020  

6.375% due 09/15/27

    168,000       160,794  

6.375% due 04/01/36

    130,000       107,101  

6.625% due 09/15/29

    90,000       85,812  

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

    125,000       117,430  

Nordstrom, Inc.

   

4.375% due 04/01/30

    410,000       315,862  

6.950% due 03/15/28

    172,000       164,035  

Odeon Finco PLC (United Kingdom)
12.750% due 11/01/27 ~

    100,000       99,589  

Ontario Gaming GTA LP (Canada)
8.000% due 08/01/30 ~

    38,000       38,036  

OPENLANE, Inc.
5.125% due 06/01/25 ~

    108,000       104,605  

Park River Holdings, Inc.
5.625% due 02/01/29 ~

    100,000       76,372  

Patrick Industries, Inc.
7.500% due 10/15/27 ~

    100,000       95,857  

Penn Entertainment, Inc.

   

4.125% due 07/01/29 ~

    200,000       163,680  

5.625% due 01/15/27 ~

    100,000       94,149  

Penske Automotive Group, Inc.
3.500% due 09/01/25

    139,000       131,675  

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

    650,000       569,825  

Premier Entertainment Sub LLC/Premier Entertainment Finance Corp.
5.625% due 09/01/29 ~

    438,000       337,783  

QVC, Inc.

   

4.450% due 02/15/25

    335,000       293,509  

4.750% due 02/15/27

    175,000       107,655  

4.850% due 04/01/24

    100,000       96,228  

Resideo Funding, Inc.
4.000% due 09/01/29 ~

    100,000       82,279  

Resorts World Las Vegas LLC/RWLV Capital, Inc.
4.625% due 04/16/29 ~

    400,000       319,788  

Ritchie Bros Holdings, Inc. (Canada)

   

6.750% due 03/15/28 ~

    81,000       80,915  

7.750% due 03/15/31 ~

    87,000       88,414  

Royal Caribbean Cruises Ltd.

   

5.500% due 08/31/26 ~

    200,000       188,953  

5.500% due 04/01/28 ~

    450,000       413,027  

7.250% due 01/15/30 ~

    230,000       228,216  

11.500% due 06/01/25 ~

    120,000       126,777  

11.625% due 08/15/27 ~

    167,000       181,282  

Scotts Miracle-Gro Co.

   

4.500% due 10/15/29

    200,000       163,734  

5.250% due 12/15/26

    100,000       92,878  

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

    112,000       98,530  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

235

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Six Flags Entertainment Corp.
7.250% due 05/15/31 ~

    $200,000       $188,000  

Sonic Automotive, Inc.
4.875% due 11/15/31 ~

    390,000       310,910  

Speedway Motorsports LLC/Speedway Funding II, Inc.
4.875% due 11/01/27 ~

    250,000       227,132  

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

    280,000       280,121  

SRS Distribution, Inc.

   

4.625% due 07/01/28 ~

    81,000       70,084  

6.000% due 12/01/29 ~

    310,000       260,746  

6.125% due 07/01/29 ~

    133,000       113,400  

Staples, Inc.
7.500% due 04/15/26 ~

    550,000       453,152  

Station Casinos LLC

   

4.500% due 02/15/28 ~

    190,000       165,949  

4.625% due 12/01/31 ~

    86,000       68,885  

Studio City Finance Ltd. (Macau)
5.000% due 01/15/29 ~

    400,000       301,288  

Suburban Propane Partners LP/Suburban Energy Finance Corp.
5.875% due 03/01/27

    300,000       286,794  

Taylor Morrison Communities, Inc.
5.750% due 01/15/28 ~

    300,000       279,796  

Tempur Sealy International, Inc.
4.000% due 04/15/29 ~

    250,000       208,910  

Tenneco, Inc.
8.000% due 11/17/28 ~

    300,000       244,500  

Thor Industries, Inc.
4.000% due 10/15/29 ~

    110,000       90,750  

Titan International, Inc.
7.000% due 04/30/28

    200,000       187,117  

TKC Holdings, Inc.
6.875% due 05/15/28 ~

    194,000       172,803  

Travel & Leisure Co.
4.625% due 03/01/30 ~

    250,000       210,681  

TRI Pointe Group, Inc./TRI Pointe Homes, Inc.
5.875% due 06/15/24

    200,000       198,785  

Tri Pointe Homes, Inc.
5.250% due 06/01/27

    100,000       93,688  

U.S. Airways Pass-Through Trust
3.950% due 05/15/27

    82,204       78,139  

Under Armour, Inc.
3.250% due 06/15/26

    300,000       269,584  

United Airlines Holdings, Inc.
4.875% due 01/15/25

    150,000       145,346  

United Airlines, Inc.

   

4.375% due 04/15/26 ~

    96,000       88,875  

4.625% due 04/15/29 ~

    300,000       258,173  

Universal Entertainment Corp. (Japan)
8.750% due 12/11/24 ~

    250,000       266,472  

Vail Resorts, Inc.
6.250% due 05/15/25 ~

    235,000       233,961  

Victoria’s Secret & Co.
4.625% due 07/15/29 ~

    188,000       136,522  

Viking Cruises Ltd.

   

5.875% due 09/15/27 ~

    27,000       24,671  

7.000% due 02/15/29 ~

    190,000       175,002  

9.125% due 07/15/31 ~

    150,000       150,222  

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

    300,000       271,816  

VistaJet Malta Finance PLC/Vista

Management Holding, Inc. (Switzerland)

   

7.875% due 05/01/27 ~

    455,000       392,499  

9.500% due 06/01/28 ~

    67,000       58,913  

Wesco Aircraft Holdings, Inc.

   

8.500% due 11/15/24 Y ~ *

    222,000       8,880  

13.125% due 11/15/27 Y ~ *

    262,000       9,170  
   

Principal
Amount

   

Value

 

Wheel Pros, Inc.
6.500% due 05/15/29 ~

    $100,000       $33,625  

White Cap Buyer LLC
6.875% due 10/15/28 ~

    170,000       150,456  

William Carter Co.
5.625% due 03/15/27 ~

    214,000       206,043  

Windsor Holdings III LLC
8.500% due 06/15/30 ~

    183,000       180,757  

Winnebago Industries, Inc.
6.250% due 07/15/28 ~

    200,000       192,541  

WMG Acquisition Corp.

   

3.000% due 02/15/31 ~

    221,000       173,813  

3.875% due 07/15/30 ~

    200,000       169,164  

Wyndham Hotels & Resorts, Inc.
4.375% due 08/15/28 ~

    106,000       95,299  

Wynn Macau Ltd. (Macau)

   

5.125% due 12/15/29 ~

    390,000       322,235  

5.625% due 08/26/28 ~

    300,000       260,414  

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.
7.125% due 02/15/31 ~

    175,000       166,326  

Yum! Brands, Inc.

   

5.350% due 11/01/43

    100,000       87,861  

6.875% due 11/15/37

    100,000       101,577  

ZF North America Capital, Inc. (Germany)

   

6.875% due 04/14/28 ~

    150,000       146,910  

7.125% due 04/14/30 ~

    150,000       147,161  
   

 

 

 
    44,213,668  
   

 

 

 

Consumer, Non-Cyclical - 13.9%

   

Acadia Healthcare Co., Inc.
5.000% due 04/15/29 ~

    225,000       202,543  

AdaptHealth LLC

   

4.625% due 08/01/29 ~

    190,000       146,046  

5.125% due 03/01/30 ~

    177,000       137,313  

ADT Security Corp.
4.875% due 07/15/32 ~

    200,000       167,260  

Adtalem Global Education, Inc.
5.500% due 03/01/28 ~

    50,000       45,853  

AHP Health Partners, Inc.
5.750% due 07/15/29 ~

    150,000       126,727  

Akumin Escrow, Inc.
7.500% due 08/01/28 ~

    100,000       66,520  

Albertsons Cos., Inc./Safeway, Inc.

/New Albertsons LP/Albertsons LLC

   

3.250% due 03/15/26 ~

    203,000       188,237  

6.500% due 02/15/28 ~

    225,000       222,641  

7.500% due 03/15/26 ~

    125,000       126,873  

Allied Universal Holdco LLC/Allied Universal Finance Corp.
9.750% due 07/15/27 ~

    297,000       266,076  

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

    566,000       471,536  

AMN Healthcare, Inc.
4.625% due 10/01/27 ~

    217,000       196,346  

APi Group DE, Inc.
4.125% due 07/15/29 ~

    150,000       126,238  

Aptim Corp.
7.750% due 06/15/25 ~

    150,000       139,500  

APX Group, Inc.
6.750% due 02/15/27 ~

    200,000       192,274  

Arrow Bidco LLC
9.500% due 03/15/24 ~

    78,000       78,076  

ASGN, Inc.
4.625% due 05/15/28 ~

    129,000       115,240  

Avis Budget Car Rental LLC/Avis Budget Finance, Inc.
5.375% due 03/01/29 ~

    90,000       80,091  

B&G Foods, Inc.

   
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

236

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

5.250% due 04/01/25

    $150,000       $147,343  

8.000% due 09/15/28 ~

    67,000       67,175  

Bausch & Lomb Escrow Corp.
8.375% due 10/01/28 ~

    195,000       195,823  

Bausch Health Cos., Inc.

   

4.875% due 06/01/28 ~

    410,000       233,852  

5.500% due 11/01/25 ~

    346,000       306,971  

5.750% due 08/15/27 ~

    140,000       83,532  

6.125% due 02/01/27 ~

    185,000       115,356  

7.000% due 01/15/28 ~

    388,000       168,857  

7.250% due 05/30/29 ~

    98,000       39,483  

9.000% due 12/15/25 ~

    50,000       45,554  

11.000% due 09/30/28 ~

    239,000       162,747  

BC Ltd. (Canada)
9.000% due 01/30/28 ~

    106,000       104,904  

Block, Inc.
3.500% due 06/01/31

    483,000       379,981  

Brink’s Co.

   

4.625% due 10/15/27 ~

    197,000       179,986  

5.500% due 07/15/25 ~

    150,000       147,184  

C&S Group Enterprises LLC
5.000% due 12/15/28 ~

    300,000       228,420  

Cano Health LLC
6.250% due 10/01/28 ~

    125,000       55,525  

Catalent Pharma Solutions, Inc.
3.500% due 04/01/30 ~

    200,000       164,927  

Central Garden & Pet Co.
4.125% due 10/15/30

    335,000       279,663  

Charles River Laboratories International, Inc.

   

3.750% due 03/15/29 ~

    133,000       114,165  

4.250% due 05/01/28 ~

    192,000       172,388  

Chobani LLC/Chobani Finance Corp., Inc.
4.625% due 11/15/28 ~

    100,000       88,303  

CHS/Community Health Systems, Inc.

   

4.750% due 02/15/31 ~

    115,000       81,546  

5.250% due 05/15/30 ~

    695,000       529,233  

5.625% due 03/15/27 ~

    105,000       90,195  

6.000% due 01/15/29 ~

    300,000       242,600  

6.125% due 04/01/30 ~

    194,000       98,991  

6.875% due 04/15/29 ~

    200,000       106,500  

CoreCivic, Inc.

   

4.750% due 10/15/27

    60,000       52,956  

8.250% due 04/15/26

    135,000       137,082  

Coty, Inc./HFC Prestige Products, Inc./HFC Prestige International U.S. LLC
6.625% due 07/15/30 ~

    119,000       116,319  

Darling Ingredients, Inc.

   

5.250% due 04/15/27 ~

    99,000       94,426  

6.000% due 06/15/30 ~

    145,000       137,439  

DaVita, Inc.

   

3.750% due 02/15/31 ~

    454,000       345,519  

4.625% due 06/01/30 ~

    400,000       328,945  

Deluxe Corp.
8.000% due 06/01/29 ~

    70,000       57,836  

Edgewell Personal Care Co.

   

4.125% due 04/01/29 ~

    125,000       106,443  

5.500% due 06/01/28 ~

    100,000       92,494  

Elanco Animal Health, Inc.
6.650% due 08/28/28

    130,000       126,750  

Embecta Corp.

   

5.000% due 02/15/30 ~

    80,000       62,498  

6.750% due 02/15/30 ~

    100,000       81,934  

Encompass Health Corp.
5.750% due 09/15/25

    100,000       98,462  

FAGE International SA/FAGE USA Dairy Industry, Inc. (Luxembourg)
5.625% due 08/15/26 ~

    100,000       96,841  

Fortrea Holdings, Inc.
7.500% due 07/01/30 ~

    140,000       136,397  

Garda World Security Corp. (Canada)

   

4.625% due 02/15/27 ~

    100,000       91,604  
   

Principal
Amount

   

Value

 

6.000% due 06/01/29 ~

    $150,000       $122,845  

9.500% due 11/01/27 ~

    78,000       74,666  

Gartner, Inc.

   

3.750% due 10/01/30 ~

    150,000       126,026  

4.500% due 07/01/28 ~

    169,000       154,381  

GEO Group, Inc.
10.500% due 06/30/28

    163,000       163,591  

Graham Holdings Co.
5.750% due 06/01/26 ~

    100,000       96,758  

Grifols SA (Spain)
4.750% due 10/15/28 ~

    200,000       170,761  

H-Food Holdings LLC/Hearthside Finance Co., Inc.
8.500% due 06/01/26 ~

    50,000       12,560  

HealthEquity, Inc.
4.500% due 10/01/29 ~

    100,000       86,263  

Heartland Dental LLC/Heartland Dental Finance Corp.
10.500% due 04/30/28 ~

    120,000       120,900  

Herbalife Nutrition Ltd./HLF Financing, Inc. 7.875% due 09/01/25 ~

    200,000       190,830  

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

    300,000       235,292  

Hologic, Inc.
4.625% due 02/01/28 ~

    191,000       175,963  

Ingles Markets, Inc.
4.000% due 06/15/31 ~

    100,000       82,233  

IQVIA, Inc.
6.500% due 05/15/30 ~

    200,000       196,004  

Jazz Securities DAC
4.375% due 01/15/29 ~

    300,000       261,804  

Kedrion SpA (Italy)
6.500% due 09/01/29 ~

    150,000       129,375  

Korn Ferry
4.625% due 12/15/27 ~

    150,000       138,162  

Kronos Acquisition Holdings, Inc./KIK Custom Products, Inc. (Canada)
5.000% due 12/31/26 ~

    255,000       232,784  

Lamb Weston Holdings, Inc.
4.875% due 05/15/28 ~

    400,000       369,301  

Land O’Lakes Capital Trust I
7.450% due 03/15/28 ~

    43,000       39,560  

Legacy LifePoint Health LLC
4.375% due 02/15/27 ~

    230,000       198,081  

Legends Hospitality Holding Co. LLC/Legends Hospitality Co.-Issuer, Inc.
5.000% due 02/01/26 ~

    100,000       98,111  

LifePoint Health, Inc.

   

9.875% due 08/15/30 ~

    142,000       137,652  

due 10/15/30 # ~

    70,000       70,000  

Mallinckrodt International Finance SA/Mallinckrodt CB LLC
11.500% due 12/15/28 Y ~ *

    250,000       222,560  

Medline Borrower LP

   

3.875% due 04/01/29 ~

    255,000       215,810  

5.250% due 10/01/29 ~

    388,000       335,816  

Metis Merger Sub LLC
6.500% due 05/15/29 ~

    100,000       84,594  

Mobius Merger Sub, Inc.
9.000% due 06/01/30 ~

    59,000       54,628  

ModivCare Escrow Issuer, Inc.
5.000% due 10/01/29 ~

    405,000       291,268  

ModivCare, Inc.
5.875% due 11/15/25 ~

    72,000       68,510  

Molina Healthcare, Inc.

   

3.875% due 05/15/32 ~

    345,000       277,120  

4.375% due 06/15/28 ~

    150,000       134,576  

MPH Acquisition Holdings LLC
5.500% due 09/01/28 ~

    290,000       246,646  

Nathan’s Famous, Inc.
6.625% due 11/01/25 ~

    13,000       12,971  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

237

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Neptune Bidco U.S., Inc.
9.290% due 04/15/29 ~

    $325,000       $294,657  

NESCO Holdings II, Inc.
5.500% due 04/15/29 ~

    100,000       87,871  

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

    63,000       54,490  

Organon & Co./Organon Foreign Debt

Co.-Issuer BV

   

4.125% due 04/30/28 ~

    504,000       438,411  

5.125% due 04/30/31 ~

    200,000       160,549  

Oriflame Investment Holding PLC (Switzerland)
5.125% due 05/04/26 ~

    200,000       72,920  

Owens & Minor, Inc.

   

4.500% due 03/31/29 ~

    80,000       65,919  

6.625% due 04/01/30 ~

    139,000       123,527  

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

    206,000       112,043  

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

    158,000       136,681  

Perrigo Finance Unlimited Co.

   

3.900% due 12/15/24

    200,000       193,019  

4.900% due 12/15/44

    200,000       148,451  

Port of Newcastle Investments Financing Pty. Ltd. (Australia)
5.900% due 11/24/31 ~

    50,000       41,462  

Post Holdings, Inc.

   

4.500% due 09/15/31 ~

    500,000       416,777  

5.750% due 03/01/27 ~

    322,000       309,541  

Prime Security Services Borrower LLC/Prime Finance, Inc.

   

3.375% due 08/31/27 ~

    100,000       87,710  

5.750% due 04/15/26 ~

    246,000       238,922  

6.250% due 01/15/28 ~

    50,000       46,366  

Primo Water Holdings, Inc. (Canada) 4.375% due 04/30/29 ~

    188,000       160,943  

Radiology Partners, Inc.
9.250% due 02/01/28 ~

    105,000       41,632  

RegionalCare Hospital Partners Holdings, Inc./LifePoint Health, Inc.
9.750% due 12/01/26 ~

    50,000       48,477  

RP Escrow Issuer LLC
5.250% due 12/15/25 ~

    150,000       109,039  

RR Donnelley & Sons Co.
9.750% due 07/31/28 ~

    75,000       75,110  

Sabre GLBL, Inc.

   

7.375% due 09/01/25 ~

    218,000       212,900  

11.250% due 12/15/27 ~

    105,000       96,414  

Sabre Global, Inc.
8.625% due 06/01/27 ~

    7,000       5,943  

Safeway, Inc.
7.250% due 02/01/31

    150,000       155,044  

SEG Holding LLC/SEG Finance Corp.
5.625% due 10/15/28 ~

    200,000       200,665  

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

    200,000       195,573  

Service Corp. International

   

3.375% due 08/15/30

    126,000       101,726  

5.125% due 06/01/29

    206,000       190,962  

Shift4 Payments LLC/Shift4 Payments Finance Sub, Inc.
4.625% due 11/01/26 ~

    50,000       47,196  

Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed
4.625% due 03/01/29 ~

    345,000       283,449  

Sotheby’s
7.375% due 10/15/27 ~

    200,000       184,362  

Sotheby’s/Bidfair Holdings, Inc.
5.875% due 06/01/29 ~

    150,000       120,532  

Spectrum Brands, Inc.
5.000% due 10/01/29 ~

    86,000       78,026  
   

Principal
Amount

   

Value

 

Star Parent, Inc.
9.000% due 10/01/30 ~

    $134,000       $135,575  

Surgery Center Holdings, Inc.
10.000% due 04/15/27 ~

    100,000       101,222  

Teleflex, Inc.
4.250% due 06/01/28 ~

    95,000       85,083  

Tenet Healthcare Corp.

   

4.375% due 01/15/30

    236,000       203,290  

4.875% due 01/01/26

    545,000       522,663  

5.125% due 11/01/27

    876,000       816,108  

6.250% due 02/01/27

    530,000       513,341  

6.750% due 05/15/31 ~

    212,000       204,733  

Toledo Hospital
5.325% due 11/15/28

    164,000       129,970  

TriNet Group, Inc.

   

3.500% due 03/01/29 ~

    115,000       96,971  

7.125% due 08/15/31 ~

    50,000       49,563  

Turning Point Brands, Inc.
5.625% due 02/15/26 ~

    100,000       93,373  

U.S. Acute Care Solutions LLC
6.375% due 03/01/26 ~

    294,000       253,303  

U.S. Foods, Inc.

   

6.875% due 09/15/28 ~

    76,000       75,935  

7.250% due 01/15/32 ~

    89,000       89,021  

United Natural Foods, Inc.
6.750% due 10/15/28 ~

    165,000       126,002  

United Rentals North America, Inc.

   

3.875% due 11/15/27

    175,000       158,584  

3.875% due 02/15/31

    400,000       333,248  

4.875% due 01/15/28

    115,000       107,533  

5.250% due 01/15/30

    142,000       131,524  

5.500% due 05/15/27

    130,000       126,466  

Verscend Escrow Corp.
9.750% due 08/15/26 ~

    325,000       325,456  

VT Topco, Inc.
8.500% due 08/15/30 ~

    68,000       67,426  

WASH Multifamily Acquisition, Inc.
5.750% due 04/15/26 ~

    255,000       238,399  

Williams Scotsman International, Inc.

   

4.625% due 08/15/28 ~

    100,000       89,610  

6.125% due 06/15/25 ~

    105,000       104,062  

Williams Scotsman, Inc.
7.375% due 10/01/31 ~

    102,000       101,507  

ZipRecruiter, Inc.
5.000% due 01/15/30 ~

    100,000       78,623  
   

 

 

 
    26,214,841  
   

 

 

 

Diversified - 0.2%

   

Benteler International AG (Austria)
10.500% due 05/15/28 ~

    200,000       200,443  

Stena AB (Sweden)
7.000% due 02/01/24 ~

    100,000       100,296  
   

 

 

 
    300,739  
   

 

 

 

Energy - 11.0%

   

Aethon United BR LP/Aethon United Finance Corp.
8.250% due 02/15/26 ~

    100,000       99,307  

Antero Midstream Partners LP

/Antero Midstream Finance Corp.

   

5.375% due 06/15/29 ~

    135,000       123,753  

5.750% due 03/01/27 ~

    200,000       191,070  

5.750% due 01/15/28 ~

    197,000       186,035  

Antero Resources Corp.
7.625% due 02/01/29 ~

    74,000       75,059  

Ascent Resources Utica Holdings LLC

/ARU Finance Corp.

   

7.000% due 11/01/26 ~

    80,000       78,221  

8.250% due 12/31/28 ~

    165,000       163,419  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

238

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Athabasca Oil Corp. (Canada)
9.750% due 11/01/26 ~

    $205,000       $213,292  

Baytex Energy Corp. (Canada)

   

8.500% due 04/30/30 ~

    128,000       129,631  

8.750% due 04/01/27 ~

    185,000       188,053  

Blue Racer Midstream LLC/Blue Racer

Finance Corp.

   

6.625% due 07/15/26 ~

    50,000       49,098  

7.625% due 12/15/25 ~

    100,000       100,467  

Bristow Group, Inc.
6.875% due 03/01/28 ~

    100,000       93,869  

Buckeye Partners LP

   

3.950% due 12/01/26

    175,000       157,324  

4.125% due 03/01/25 ~

    127,000       120,787  

4.500% due 03/01/28 ~

    105,000       92,250  

5.850% due 11/15/43

    250,000       182,741  

Callon Petroleum Co.
6.375% due 07/01/26

    155,000       152,270  

Calumet Specialty Products Partners LP/Calumet Finance Corp.
9.750% due 07/15/28 ~

    50,000       49,420  

CGG SA (France)
8.750% due 04/01/27 ~

    300,000       268,725  

Chesapeake Energy Corp.

   

5.875% due 02/01/29 ~

    185,000       174,244  

6.750% due 04/15/29 ~

    300,000       293,882  

Chord Energy Corp.
6.375% due 06/01/26 ~

    150,000       147,226  

Civitas Resources, Inc.

   

5.000% due 10/15/26 ~

    60,000       56,341  

8.375% due 07/01/28 ~

    205,000       208,844  

8.750% due 07/01/31 ~

    212,000       216,816  

CNX Midstream Partners LP
4.750% due 04/15/30 ~

    40,000       33,345  

CNX Resources Corp.

   

6.000% due 01/15/29 ~

    250,000       233,841  

7.250% due 03/14/27 ~

    23,000       22,718  

Comstock Resources, Inc.

   

5.875% due 01/15/30 ~

    270,000       234,036  

6.750% due 03/01/29 ~

    85,000       78,289  

Crescent Energy Finance LLC

   

7.250% due 05/01/26 ~

    235,000       230,550  

9.250% due 02/15/28 ~

    80,000       81,753  

Crestwood Midstream Partners LP

/Crestwood Midstream Finance Corp.

   

5.625% due 05/01/27 ~

    140,000       134,306  

5.750% due 04/01/25

    85,000       83,702  

6.000% due 02/01/29 ~

    105,000       101,460  

8.000% due 04/01/29 ~

    150,000       153,987  

CrownRock LP/CrownRock Finance, Inc.
5.625% due 10/15/25 ~

    294,000       289,589  

CSI Compressco LP/CSI Compressco Finance, Inc.
7.500% due 04/01/25 ~

    200,000       194,728  

CVR Energy, Inc.
5.750% due 02/15/28 ~

    125,000       113,252  

Delek Logistics Partners LP/Delek Logistics Finance Corp.
7.125% due 06/01/28 ~

    100,000       91,474  

Diamond Foreign Asset Co./Diamond Finance LLC
8.500% due 10/01/30 ~

    92,000       92,103  

DT Midstream, Inc.

   

4.125% due 06/15/29 ~

    95,000       82,258  

4.375% due 06/15/31 ~

    200,000       168,406  

Earthstone Energy Holdings LLC

   

8.000% due 04/15/27 ~

    190,000       194,640  

9.875% due 07/15/31 ~

    100,000       108,844  

Encino Acquisition Partners Holdings LLC
8.500% due 05/01/28 ~

    325,000       312,427  
   

Principal
Amount

   

Value

 

Enerflex Ltd. (Canada)
9.000% due 10/15/27 ~

    $30,000       $29,656  

Energy Ventures Gom LLC/EnVen Finance Corp.
11.750% due 04/15/26 ~

    80,000       83,200  

EnLink Midstream LLC

   

5.625% due 01/15/28 ~

    75,000       70,988  

6.500% due 09/01/30 ~

    245,000       237,917  

EnLink Midstream Partners LP

   

4.150% due 06/01/25

    120,000       114,666  

5.450% due 06/01/47

    50,000       39,120  

EnQuest PLC (United Kingdom)
11.625% due 11/01/27 ~

    200,000       188,756  

Enviva Partners LP/Enviva Partners Finance Corp.
6.500% due 01/15/26 ~

    260,000       212,308  

EQM Midstream Partners LP

   

4.750% due 01/15/31 ~

    108,000       93,085  

6.000% due 07/01/25 ~

    221,000       217,773  

7.500% due 06/01/27 ~

    100,000       100,297  

7.500% due 06/01/30 ~

    457,000       459,446  

FTAI Infra Escrow Holdings LLC
10.500% due 06/01/27 ~

    200,000       199,225  

Genesis Energy LP/Genesis Energy Finance Corp.
8.875% due 04/15/30

    150,000       146,602  

Global Partners LP/GLP Finance Corp.

   

6.875% due 01/15/29

    100,000       93,155  

7.000% due 08/01/27

    150,000       146,321  

Greenfire Resources Ltd. (Canada) 12.000% due 10/01/28 ~

    31,000       30,536  

Gulfport Energy Corp.
8.000% due 05/17/26 ~

    200,000       200,427  

Harbour Energy PLC (United Kingdom)
5.500% due 10/15/26 ~

    200,000       186,704  

Hess Midstream Operations LP

   

4.250% due 02/15/30 ~

    230,000       194,214  

5.625% due 02/15/26 ~

    200,000       193,453  

Hilcorp Energy I LP/Hilcorp Finance Co.

   

6.000% due 04/15/30 ~

    50,000       45,139  

6.250% due 04/15/32 ~

    250,000       222,555  

Holly Energy Partners LP/Holly

Energy Finance Corp.

   

5.000% due 02/01/28 ~

    159,000       146,460  

6.375% due 04/15/27 ~

    35,000       34,397  

Howard Midstream Energy Partners LLC

   

6.750% due 01/15/27 ~

    100,000       95,097  

8.875% due 07/15/28 ~

    100,000       100,968  

Ithaca Energy North Sea PLC (United Kingdom)
9.000% due 07/15/26 ~

    200,000       194,295  

KCA Deutag U.K. Finance PLC (United Kingdom)
9.875% due 12/01/25 ~

    100,000       101,125  

Kinetik Holdings LP
5.875% due 06/15/30 ~

    290,000       272,208  

Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp.
6.000% due 08/01/26 ~

    100,000       96,696  

Martin Midstream Partners LP/Martin Midstream Finance Corp.
11.500% due 02/15/28 ~

    275,000       279,751  

Matador Resources Co.

   

5.875% due 09/15/26

    330,000       318,820  

6.875% due 04/15/28 ~

    55,000       54,055  

Moss Creek Resources Holdings, Inc.

   

7.500% due 01/15/26 ~

    50,000       48,492  

10.500% due 05/15/27 ~

    100,000       100,509  

Murphy Oil Corp.

   

5.750% due 08/15/25

    43,000       42,973  

5.875% due 12/01/27

    117,000       113,655  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

239

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

6.375% due 07/15/28

    $323,000       $317,803  

Nabors Industries Ltd.
7.250% due 01/15/26 ~

    363,000       351,166  

Nabors Industries, Inc.
5.750% due 02/01/25

    85,000       83,280  

Neptune Energy Bondco PLC (United Kingdom)
6.625% due 05/15/25 ~

    250,000       247,875  

New Fortress Energy, Inc.

   

6.500% due 09/30/26 ~

    300,000       276,544  

6.750% due 09/15/25 ~

    100,000       95,573  

Noble Finance II LLC
8.000% due 04/15/30 ~

    90,000       91,259  

Northern Oil & Gas, Inc.
8.750% due 06/15/31 ~

    58,000       58,508  

Northriver Midstream Finance LP (Canada)
5.625% due 02/15/26 ~

    250,000       238,494  

NuStar Logistics LP
6.000% due 06/01/26

    171,000       166,077  

Oceaneering International, Inc.

   

4.650% due 11/15/24

    200,000       197,643  

6.000% due 02/01/28

    100,000       94,309  

Parkland Corp. (Canada)

   

4.500% due 10/01/29 ~

    140,000       120,055  

5.875% due 07/15/27 ~

    132,000       125,751  

Patterson-UTI Energy, Inc.
3.950% due 02/01/28

    250,000       224,727  

PBF Holding Co. LLC/PBF Finance Corp.

   

6.000% due 02/15/28

    150,000       141,613  

7.875% due 09/15/30 ~

    86,000       85,739  

Permian Resources Operating LLC
7.000% due 01/15/32 ~

    58,000       57,260  

Precision Drilling Corp. (Canada)

   

6.875% due 01/15/29 ~

    125,000       118,521  

7.125% due 01/15/26 ~

    200,000       198,249  

Puma International Financing SA (Singapore)
5.000% due 01/24/26 ~

    200,000       182,799  

Range Resources Corp.
4.750% due 02/15/30 ~

    29,000       25,773  

Rockies Express Pipeline LLC
3.600% due 05/15/25 ~

    250,000       236,190  

Sitio Royalties Operating Partnership LP/Sitio Finance Corp.
due 11/01/28 # ~

    35,000       35,109  

SM Energy Co.

   

5.625% due 06/01/25

    113,000       110,699  

6.625% due 01/15/27

    100,000       98,100  

6.750% due 09/15/26

    60,000       58,955  

Southwestern Energy Co.

   

5.375% due 03/15/30

    50,000       45,613  

5.700% due 01/23/25

    14,000       13,809  

8.375% due 09/15/28

    150,000       154,980  

Summit Midstream Holdings LLC/Summit Midstream Finance Corp.
5.750% due 04/15/25

    140,000       131,055  

Sunnova Energy Corp.

   

5.875% due 09/01/26 ~

    110,000       94,441  

11.750% due 10/01/28 ~

    31,000       29,888  

Sunoco LP/Sunoco Finance Corp.

   

4.500% due 05/15/29

    200,000       175,758  

6.000% due 04/15/27

    359,000       348,328  

7.000% due 09/15/28 ~

    80,000       79,016  

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.

   

6.000% due 12/31/30 ~

    215,000       190,014  

6.000% due 09/01/31 ~

    200,000       174,545  

7.500% due 10/01/25 ~

    300,000       299,514  

TerraForm Power Operating LLC
4.750% due 01/15/30 ~

    177,000       151,451  
   

Principal
Amount

   

Value

 

TransMontaigne Partners LP/TLP Finance Corp.
6.125% due 02/15/26

    $50,000       $42,793  

Transocean Aquila Ltd.
due 09/30/28 # ~

    21,000       21,015  

Transocean, Inc.
9.350% due 12/15/41

    490,000       433,072  

Valaris Ltd.
8.375% due 04/30/30 ~

    133,000       133,216  

Venture Global Calcasieu Pass LLC

   

4.125% due 08/15/31 ~

    544,000       446,967  

6.250% due 01/15/30 ~

    243,000       232,037  

Venture Global LNG, Inc.

   

8.125% due 06/01/28 ~

    344,000       340,860  

8.375% due 06/01/31 ~

    313,000       308,005  

Vital Energy, Inc.

   

9.500% due 01/15/25

    180,000       181,634  

9.750% due 10/15/30

    70,000       71,624  

10.125% due 01/15/28

    160,000       163,262  

W&T Offshore, Inc.
11.750% due 02/01/26 ~

    150,000       154,831  
   

 

 

 
    20,808,695  
   

 

 

 

Financial - 11.2%

   

Acrisure LLC/Acrisure Finance, Inc.

   

4.250% due 02/15/29 ~

    340,000       286,093  

7.000% due 11/15/25 ~

    275,000       267,410  

AG Issuer LLC
6.250% due 03/01/28 ~

    70,000       65,448  

AG TTMT Escrow Issuer LLC
8.625% due 09/30/27 ~

    120,000       120,842  

Alliant Holdings Intermediate LLC /Alliant Holdings Co-Issuer

   

4.250% due 10/15/27 ~

    220,000       197,212  

6.750% due 10/15/27 ~

    350,000       325,870  

6.750% due 04/15/28 ~

    80,000       77,283  

Ally Financial, Inc.

   

5.750% due 11/20/25

    300,000       291,517  

6.700% due 02/14/33

    150,000       130,365  

AmWINS Group, Inc.
4.875% due 06/30/29 ~

    85,000       74,590  

Apollo Commercial Real Estate Finance, Inc. REIT
4.625% due 06/15/29 ~

    150,000       113,290  

Aretec Escrow Issuer, Inc.
7.500% due 04/01/29 ~

    300,000       267,271  

Assurant, Inc.
7.000% due 03/27/48

    200,000       194,443  

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

    64,000       63,393  

Blackstone Mortgage Trust, Inc. REIT
3.750% due 01/15/27 ~

    250,000       210,333  

Brandywine Operating Partnership LP REIT

   

3.950% due 11/15/27

    50,000       41,416  

4.100% due 10/01/24

    50,000       48,482  

4.550% due 10/01/29

    50,000       38,927  

Brightsphere Investment Group, Inc.
4.800% due 07/27/26

    100,000       94,606  

Brookfield Property REIT, Inc./BPR Cumulus LLC/BPR Nimbus LLC/GGSI Sellco LLC

   

4.500% due 04/01/27 ~

    150,000       125,200  

5.750% due 05/15/26 ~

    300,000       275,641  

Burford Capital Global Finance LLC
6.875% due 04/15/30 ~

    200,000       183,896  

Castlelake Aviation Finance DAC
5.000% due 04/15/27 ~

    100,000       91,448  

Coinbase Global, Inc.
3.625% due 10/01/31 ~

    85,000       56,514  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

240

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Constellation Insurance, Inc.
6.800% due 01/24/30 ~

    $400,000       $356,755  

Credit Acceptance Corp.
6.625% due 03/15/26

    200,000       193,020  

CTR Partnership LP/CareTrust Capital Corp. REIT
3.875% due 06/30/28 ~

    100,000       85,617  

Curo Group Holdings Corp.
7.500% due 08/01/28 ~

    250,000       100,625  

Cushman & Wakefield U.S. Borrower LLC

   

6.750% due 05/15/28 ~

    200,000       184,741  

8.875% due 09/01/31 ~

    53,000       51,325  

Enstar Finance LLC
5.500% due 01/15/42

    250,000       199,541  

Freedom Mortgage Corp.

   

6.625% due 01/15/27 ~

    200,000       175,987  

7.625% due 05/01/26 ~

    190,000       177,299  

12.000% due 10/01/28 ~

    104,000       105,879  

12.250% due 10/01/30 ~

    74,000       75,730  

Genworth Holdings, Inc.
6.500% due 06/15/34

    100,000       86,019  

GGAM Finance Ltd. (Ireland)

   

7.750% due 05/15/26 ~

    150,000       148,975  

8.000% due 06/15/28 ~

    100,000       99,904  

Global Aircraft Leasing Co. Ltd. (Cayman)
6.500% Cash or 7.250% PIK due 09/15/24 ~

    350,000       333,919  

Global Net Lease, Inc./Global Net Lease Operating Partnership LP REIT
3.750% due 12/15/27 ~

    250,000       193,776  

goeasy Ltd. (Canada)

   

4.375% due 05/01/26 ~

    75,000       68,697  

5.375% due 12/01/24 ~

    82,000       80,843  

Greystar Real Estate Partners LLC
7.750% due 09/01/30 ~

    60,000       59,336  

GTCR AP Finance, Inc.
8.000%due 05/15/27 ~

    50,000       49,195  

GTCR W-2 Merger Sub LLC
due 01/15/31 # ~

    400,000       401,070  

HAT Holdings I LLC/HAT Holdings II LLC REIT
3.375% due 06/15/26 ~

    300,000       266,972  

Hightower Holding LLC
6.750% due 04/15/29 ~

    83,000       71,365  

Howard Hughes Corp.
4.125% due 02/01/29 ~

    400,000       320,408  

HUB International Ltd.

   

7.000% due 05/01/26 ~

    245,000       244,725  

7.250% due 06/15/30 ~

    360,000       359,734  

Hunt Cos., Inc.
5.250% due 04/15/29 ~

    200,000       157,358  

Icahn Enterprises LP/Icahn Enterprises Finance Corp.

   

4.375% due 02/01/29

    200,000       160,162  

5.250% due 05/15/27

    600,000       528,093  

6.250% due 05/15/26

    100,000       93,022  

6.375% due 12/15/25

    50,000       47,628  

Intesa Sanpaolo SpA (Italy)

   

4.950% due 06/01/42 ~

    250,000       155,275  

5.017% due 06/26/24 ~

    400,000       390,573  

Iron Mountain Information Management Services, Inc. REIT
5.000% due 07/15/32 ~

    150,000       123,467  

Iron Mountain, Inc. REIT

   

4.875% due 09/15/27 ~

    425,000       392,487  

5.000% due 07/15/28 ~

    65,000       59,201  

5.250% due 03/15/28 ~

    400,000       370,277  

5.250% due 07/15/30 ~

    125,000       109,361  

7.000% due 02/15/29 ~

    183,000       179,147  

Jane Street Group/JSG Finance, Inc.
4.500% due 11/15/29 ~

    350,000       301,196  
   

Principal
Amount

   

Value

 

Jefferies Finance LLC/JFIN Co.-Issuer Corp.
5.000% due 08/15/28 ~

    $250,000       $210,824  

Jefferson Capital Holdings LLC
6.000% due 08/15/26 ~

    5,000       4,429  

Jones Deslauriers Insurance Management, Inc. (Canada)
8.500% due 03/15/30 ~

    245,000       247,077  

Kennedy-Wilson, Inc.

   

4.750% due 03/01/29

    155,000       119,157  

4.750% due 02/01/30

    180,000       134,545  

Ladder Capital Finance Holdings LLLP /Ladder Capital Finance Corp. REIT

   

4.750% due 06/15/29 ~

    225,000       182,046  

5.250% due 10/01/25 ~

    250,000       240,945  

LD Holdings Group LLC
6.500% due 11/01/25 ~

    96,000       79,856  

Liberty Mutual Group, Inc.

   

4.125% due 12/15/51 ~

    250,000       205,941  

4.300% due 02/01/61 ~

    100,000       59,289  

Macquarie Airfinance Holdings Ltd. (United Kingdom)

   

8.125% due 03/30/29 ~

    131,000       131,259  

8.375% due 05/01/28 ~

    95,000       96,405  

Midcap Financial Issuer Trust
5.625% due 01/15/30 ~

    250,000       194,162  

MPT Operating Partnership LP/MPT Finance Corp. REIT

   

3.500% due 03/15/31

    190,000       118,881  

5.250% due 08/01/26

    500,000       426,585  

Nationstar Mortgage Holdings, Inc.
5.125% due 12/15/30 ~

    105,000       85,390  

Navient Corp.

   

5.625% due 08/01/33

    150,000       109,045  

6.750% due 06/25/25

    200,000       197,215  

6.750% due 06/15/26

    100,000       96,829  

9.375% due 07/25/30

    67,000       66,147  

NFP Corp.

   

6.875% due 08/15/28 ~

    270,000       231,638  

7.500% due 10/01/30 ~

    133,000       127,901  

8.500% due 10/01/31 ~

    50,000       50,129  

Office Properties Income Trust REIT

   

4.250% due 05/15/24

    100,000       94,974  

4.500% due 02/01/25

    250,000       204,777  

OneMain Finance Corp.

   

3.500% due 01/15/27

    355,000       304,326  

4.000% due 09/15/30

    160,000       120,253  

6.625% due 01/15/28

    216,000       199,548  

6.875% due 03/15/25

    238,000       236,339  

7.125% due 03/15/26

    210,000       205,883  

9.000% due 01/15/29

    68,000       67,848  

Osaic Holdings, Inc.
10.750% due 08/01/27 ~

    100,000       100,685  

Oxford Finance LLC/Oxford Finance Co.-Issuer II, Inc.
6.375% due 02/01/27 ~

    75,000       69,784  

Pacific Western Bank
3.250% due 05/01/31

    100,000       78,250  

Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer REIT
4.875% due 05/15/29 ~

    388,000       328,696  

PennyMac Financial Services, Inc.

   

5.375% due 10/15/25 ~

    225,000       214,140  

5.750% due 09/15/31 ~

    100,000       81,918  

PRA Group, Inc.
8.375% due 02/01/28 ~

    75,000       68,297  

Provident Funding Associates LP/PFG Finance Corp.
6.375% due 06/15/25 ~

    50,000       44,761  

Radian Group, Inc.
4.875% due 03/15/27

    150,000       140,316  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

241

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Realogy Group LLC/Realogy Co-Issuer Corp.
5.250% due 04/15/30 ~

    $273,000       $189,898  

RHP Hotel Properties LP/RHP Finance Corp. REIT

   

4.500% due 02/15/29 ~

    110,000       94,395  

7.250% due 07/15/28 ~

    66,000       64,907  

Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc.

   

2.875% due 10/15/26 ~

    339,000       298,861  

4.000% due 10/15/33 ~

    50,000       37,827  

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

    120,000       104,649  

SBA Communications Corp. REIT
3.125% due 02/01/29

    315,000       263,034  

Service Properties Trust REIT

   

4.750% due 10/01/26

    150,000       128,833  

5.500% due 12/15/27

    350,000       299,561  

SLM Corp.

   

3.125% due 11/02/26

    175,000       151,970  

4.200% due 10/29/25

    110,000       103,037  

Starwood Property Trust, Inc. REIT

   

3.625% due 07/15/26 ~

    110,000       97,655  

3.750% due 12/31/24 ~

    63,000       60,045  

4.375% due 01/15/27 ~

    125,000       109,177  

4.750% due 03/15/25

    138,000       132,196  

StoneX Group, Inc.
8.625% due 06/15/25 ~

    75,000       75,697  

Synchrony Financial
7.250% due 02/02/33

    188,000       166,096  

Synovus Financial Corp.
5.900% due 02/07/29

    100,000       93,082  

UniCredit SpA (Italy)
5.459% due 06/30/35 ~

    450,000       377,547  

United Wholesale Mortgage LLC
5.500% due 11/15/25 ~

    95,000       90,465  

Uniti Group LP/Uniti Fiber Holdings, Inc./CSL Capital LLC REIT
6.000% due 01/15/30 ~

    150,000       95,457  

Uniti Group LP/Uniti Group Finance, Inc. /CSL Capital LLC REIT

   

4.750% due 04/15/28 ~

    250,000       204,457  

6.500% due 02/15/29 ~

    275,000       180,450  

10.500% due 02/15/28 ~

    186,000       182,360  

USI, Inc.
6.875% due 05/01/25 ~

    105,000       104,304  

Western Alliance Bancorp
3.000% due 06/15/31

    200,000       159,500  
   

 

 

 
    21,042,144  
   

 

 

 

Industrial - 12.2%

   

Advanced Drainage Systems, Inc.
6.375% due 06/15/30 ~

    82,000       78,850  

AECOM
5.125% due 03/15/27

    165,000       156,451  

AmeriTex HoldCo Intermediate LLC
due 10/15/28 # ~

    63,000       62,370  

Ardagh Metal Packaging Finance USA LLC /Ardagh Metal Packaging Finance PLC

   

3.250% due 09/01/28 ~

    300,000       250,478  

6.000% due 06/15/27 ~

    200,000       192,392  

Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.
5.250% due 04/30/25 ~

    200,000       195,166  

Artera Services LLC
9.033% due 12/04/25 ~

    90,000       83,153  

Atkore, Inc.
4.250% due 06/01/31 ~

    99,000       83,359  

ATS Corp. (Canada)
4.125% due 12/15/28 ~

    200,000       177,274  
   

Principal
Amount

   

Value

 

Ball Corp.

   

4.000% due 11/15/23

    $71,000       $70,745  

4.875% due 03/15/26

    265,000       254,760  

5.250% due 07/01/25

    190,000       186,537  

6.000% due 06/15/29

    175,000       170,112  

6.875% due 03/15/28

    155,000       156,101  

Berry Global, Inc.
4.500% due 02/15/26 ~

    89,000       84,433  

Bombardier, Inc. (Canada)

   

6.000% due 02/15/28 ~

    317,000       287,904  

7.125% due 06/15/26 ~

    366,000       354,952  

7.500% due 02/01/29 ~

    115,000       109,279  

Brand Industrial Services, Inc.
10.375% due 08/01/30 ~

    206,000       206,575  

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

    400,000       328,494  

BWX Technologies, Inc.
4.125% due 04/15/29 ~

    200,000       175,644  

Calderys Financing LLC (France)
11.250% due 06/01/28 ~

    125,000       128,195  

Cascades, Inc./Cascades USA, Inc. (Canada)
5.125% due 01/15/26 ~

    250,000       239,955  

Chart Industries, Inc.

   

7.500% due 01/01/30 ~

    402,000       404,705  

9.500% due 01/01/31 ~

    100,000       106,370  

Clean Harbors, Inc.
5.125% due 07/15/29 ~

    100,000       92,113  

Clearwater Paper Corp.

   

4.750% due 08/15/28 ~

    250,000       214,030  

5.375% due 02/01/25 ~

    50,000       48,566  

Clydesdale Acquisition Holdings, Inc.
8.750% due 04/15/30 ~

    327,000       280,939  

Coherent Corp.
5.000% due 12/15/29 ~

    200,000       173,682  

Covanta Holding Corp.
5.000% due 09/01/30

    200,000       160,035  

CP Atlas Buyer, Inc.
7.000% due 12/01/28 ~

    200,000       157,111  

Crown Americas LLC/Crown Americas Capital Corp. V
4.250% due 09/30/26

    190,000       178,785  

Crown Americas LLC/Crown Americas Capital Corp. VI
4.750% due 02/01/26

    250,000       240,373  

Emerald Debt Merger Sub LLC
6.625% due 12/15/30 ~

    360,000       347,013  

Energizer Holdings, Inc.

   

4.750% due 06/15/28 ~

    100,000       86,495  

6.500% due 12/31/27 ~

    100,000       94,238  

EnerSys
4.375% due 12/15/27 ~

    150,000       136,475  

EnPro Industries, Inc.
5.750% due 10/15/26

    100,000       95,980  

F-Brasile SpA/F-Brasile U.S. LLC (Italy)
7.375% due 08/15/26 ~

    200,000       186,151  

Forward Air Corp.
due 10/15/31 # ~

    33,000       33,004  

FXI Holdings, Inc.
12.250% due 11/15/26 ~

    113,000       103,819  

GFL Environmental, Inc. (Canada)

   

3.500% due 09/01/28 ~

    400,000       344,722  

3.750% due 08/01/25 ~

    506,000       480,152  

4.250% due 06/01/25 ~

    265,000       254,937  

GrafTech Global Enterprises, Inc.
9.875% due 12/15/28 ~

    90,000       85,388  

Graphic Packaging International LLC

   

3.750% due 02/01/30 ~

    125,000       104,662  

4.125% due 08/15/24

    100,000       97,913  

4.750% due 07/15/27 ~

    200,000       188,785  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

242

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

Great Lakes Dredge & Dock Corp.
5.250% due 06/01/29 ~

    $250,000       $205,369  

Griffon Corp.
5.750% due 03/01/28

    125,000       113,608  

Hillenbrand, Inc.

   

3.750% due 03/01/31

    125,000       100,256  

5.750% due 06/15/25

    165,000       162,762  

Howmet Aerospace, Inc.

   

5.950% due 02/01/37

    147,000       138,228  

6.750% due 01/15/28

    257,000       259,071  

6.875% due 05/01/25

    12,000       12,058  

Husky III Holding Ltd. (Canada)
13.000% Cash or 13.750% PIK
due 02/15/25 ~

    200,000       198,504  

Imola Merger Corp.
4.750% due 05/15/29 ~

    530,000       465,015  

Intelligent Packaging Ltd. Finco, Inc./Intelligent Packaging Ltd. Co-Issuer LLC (Canada)
6.000% due 09/15/28 ~

    88,000       77,135  

James Hardie International Finance DAC
5.000% due 01/15/28 ~

    200,000       186,810  

Knife River Corp.
7.750% due 05/01/31 ~

    65,000       65,215  

LABL, Inc.

   

5.875% due 11/01/28 ~

    40,000       35,984  

9.500% due 11/01/28 ~

    43,000       44,129  

10.500% due 07/15/27 ~

    300,000       282,401  

Likewize Corp.
9.750% due 10/15/25 ~

    120,000       118,952  

Louisiana-Pacific Corp.
3.625% due 03/15/29 ~

    99,000       83,000  

LSB Industries, Inc.
6.250% due 10/15/28 ~

    283,000       256,691  

Madison IAQ LLC
4.125% due 06/30/28 ~

    210,000       181,474  

MasTec, Inc.
6.625% due 08/15/29 ~

    100,000       95,767  

Mauser Packaging Solutions Holding Co.

   

7.875% due 08/15/26 ~

    350,000       338,058  

9.250% due 04/15/27 ~

    505,000       442,115  

Maxim Crane Works Holdings Capital LLC
11.500% due 09/01/28 ~

    83,000       80,925  

Moog, Inc.
4.250% due 12/15/27 ~

    100,000       90,403  

Mueller Water Products, Inc.
4.000% due 06/15/29 ~

    50,000       43,599  

NAC Aviation 29 DAC (Ireland)
4.750% due 06/30/26

    217,145       198,688  

New Enterprise Stone & Lime Co., Inc.

   

5.250% due 07/15/28 ~

    120,000       107,833  

9.750% due 07/15/28 ~

    250,000       247,176  

Oscar AcquisitionCo LLC/Oscar Finance, Inc.
9.500% due 04/15/30 ~

    100,000       92,377  

Owens-Brockway Glass Container, Inc.

   

6.375% due 08/15/25 ~

    300,000       299,625  

7.250% due 05/15/31 ~

    100,000       97,875  

Pactiv Evergreen Group Issuer LLC/Pactiv Evergreen Group Issuer, Inc.
4.375% due 10/15/28 ~

    100,000       86,874  

Pactiv Evergreen Group Issuer, Inc./Pactiv Evergreen Group Issuer LLC
4.000% due 10/15/27 ~

    200,000       177,720  

Pactiv LLC

   

7.950% due 12/15/25

    100,000       99,688  

8.375% due 04/15/27

    100,000       100,063  

Railworks Holdings LP/Railworks Rally, Inc.
8.250% due 11/15/28 ~

    150,000       142,453  

Rand Parent LLC
8.500% due 02/15/30 ~

    230,000       213,047  
   

Principal
Amount

   

Value

 

Roller Bearing Co. of America, Inc.
4.375% due 10/15/29 ~

    $50,000       $43,071  

Sealed Air Corp.

   

5.000% due 04/15/29 ~

    100,000       90,030  

5.125% due 12/01/24 ~

    50,000       49,417  

6.125% due 02/01/28 ~

    107,000       103,746  

6.875% due 07/15/33 ~

    54,000       52,520  

Seaspan Corp. (Hong Kong)
5.500% due 08/01/29 ~

    121,000       97,255  

Sensata Technologies BV

   

5.000% due 10/01/25 ~

    250,000       242,632  

5.875% due 09/01/30 ~

    109,000       101,664  

Sensata Technologies, Inc.
3.750% due 02/15/31 ~

    400,000       324,140  

Silgan Holdings, Inc.
4.125% due 02/01/28

    140,000       125,408  

Spirit AeroSystems, Inc.

   

3.850% due 06/15/26

    350,000       326,540  

4.600% due 06/15/28

    55,000       42,930  

7.500% due 04/15/25 ~

    75,000       73,667  

9.375% due 11/30/29 ~

    150,000       152,833  

SPX FLOW, Inc.
8.750% due 04/01/30 ~

    167,000       154,589  

Standard Industries, Inc.

   

3.375% due 01/15/31 ~

    466,000       360,794  

5.000% due 02/15/27 ~

    460,000       426,848  

Stericycle, Inc.
3.875% due 01/15/29 ~

    324,000       279,748  

Summit Materials LLC/Summit Materials Finance Corp.

   

5.250% due 01/15/29 ~

    165,000       149,979  

6.500% due 03/15/27 ~

    175,000       171,054  

Tervita Corp. (Canada)
11.000% due 12/01/25 ~

    210,000       220,382  

Titan Acquisition Ltd./Titan Co.-Borrower LLC (Canada)
7.750% due 04/15/26 ~

    155,000       152,098  

TopBuild Corp.
4.125% due 02/15/32 ~

    35,000       28,457  

TransDigm, Inc.

   

4.625% due 01/15/29

    488,000       426,754  

6.250% due 03/15/26 ~

    590,000       580,239  

6.750% due 08/15/28 ~

    689,000       679,174  

6.875% due 12/15/30 ~

    214,000       210,088  

Trident TPI Holdings, Inc.
12.750% due 12/31/28 ~

    110,000       115,087  

TriMas Corp.
4.125% due 04/15/29 ~

    100,000       85,827  

Trinity Industries, Inc.

   

4.550% due 10/01/24

    175,000       170,607  

7.750% due 07/15/28 ~

    70,000       70,481  

Triumph Group, Inc.
9.000% due 03/15/28 ~

    137,000       135,638  

Trivium Packaging Finance BV (Netherlands)
8.500% due 08/15/27 ~

    200,000       183,011  

TTM Technologies, Inc.
4.000% due 03/01/29 ~

    390,000       323,834  

Tutor Perini Corp.
6.875% due 05/01/25 ~

    150,000       137,367  

Waste Pro USA, Inc.
5.500% due 02/15/26 ~

    240,000       224,366  

Watco Cos LLC/Watco Finance Corp.
6.500% due 06/15/27 ~

    200,000       190,163  

Weekley Homes LLC/Weekley Finance Corp.
4.875% due 09/15/28 ~

    134,000       116,436  

Werner FinCo LP/Werner FinCo, Inc.
11.500% due 06/15/28 ~

    100,000       102,750  

WESCO Distribution, Inc.

   

7.125% due 06/15/25 ~

    220,000       220,753  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

243

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

7.250% due 06/15/28 ~

    $190,000       $191,110  

XPO CNW, Inc.
6.700% due 05/01/34

    250,000       240,739  

XPO, Inc.
7.125% due 06/01/31 ~

    83,000       81,841  
   

 

 

 
    22,926,637  
   

 

 

 

Technology - 3.4%

   

Ahead DB Holdings LLC
6.625% due 05/01/28 ~

    33,000       27,947  

Alteryx, Inc.
8.750% due 03/15/28 ~

    94,000       93,691  

ams-OSRAM AG (Austria)
7.000% due 07/31/25 ~

    200,000       197,420  

AthenaHealth Group, Inc.
6.500% due 02/15/30 ~

    435,000       364,374  

Black Knight InfoServ LLC
3.625% due 09/01/28 ~

    164,000       147,395  

Capstone Borrower, Inc.
8.000% due 06/15/30 ~

    100,000       97,716  

Central Parent LLC/CDK Global II LLC/CDK Financing Co., Inc.
8.000% due 06/15/29 ~

    99,000       98,723  

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

    185,000       179,526  

Cloud Software Group, Inc.

   

6.500% due 03/31/29 ~

    475,000       420,537  

9.000% due 09/30/29 ~

    620,000       539,639  

Conduent Business Services LLC/Conduent State & Local Solutions, Inc.
6.000% due 11/01/29 ~

    100,000       85,506  

Consensus Cloud Solutions, Inc.
6.500% due 10/15/28 ~

    90,000       76,787  

Crane NXT Co.

   

4.200% due 03/15/48

    50,000       32,174  

6.550% due 11/15/36

    50,000       48,058  

Crowdstrike Holdings, Inc.
3.000% due 02/15/29

    115,000       96,971  

CWT Travel Group, Inc.
8.500% due 11/19/26 ~

    148,000       80,369  

Elastic NV
4.125% due 07/15/29 ~

    165,000       140,704  

Entegris Escrow Corp.
5.950% due 06/15/30 ~

    250,000       232,112  

Exela Intermediate LLC/Exela Finance, Inc.
11.500% Cash or 5.750% PIK due 04/15/26 ~

    250,416       45,388  

Fair Isaac Corp.

   

4.000% due 06/15/28 ~

    100,000       89,512  

5.250% due 05/15/26 ~

    100,000       96,821  

McAfee Corp.
7.375% due 02/15/30 ~

    215,000       180,248  

NCR Atleos Escrow Corp.
9.500% due 04/01/29 ~

    150,000       145,235  

NCR Corp.
5.125% due 04/15/29 ~

    96,000       84,681  

ON Semiconductor Corp.
3.875% due 09/01/28 ~

    205,000       181,724  

Open Text Corp. (Canada)
3.875% due 12/01/29 ~

    117,000       96,305  

Presidio Holdings, Inc.
4.875% due 02/01/27 ~

    150,000       138,939  

PTC, Inc.

   

3.625% due 02/15/25 ~

    77,000       74,079  

4.000% due 02/15/28 ~

    363,000       325,734  

Rackspace Technology Global, Inc.
3.500% due 02/15/28 ~

    200,000       93,682  

RingCentral, Inc.
8.500% due 08/15/30 ~

    50,000       48,348  
   

Principal
Amount

   

Value

 

Rocket Software, Inc.
6.500% due 02/15/29 ~

    $200,000       $165,268  

Science Applications International Corp.
4.875% due 04/01/28 ~

    160,000       145,403  

Seagate HDD Cayman

   

5.750% due 12/01/34

    50,000       42,282  

8.250% due 12/15/29 ~

    150,000       154,191  

8.500% due 07/15/31 ~

    150,000       154,033  

SS&C Technologies, Inc.
5.500% due 09/30/27 ~

    318,000       300,404  

Synaptics, Inc.
4.000% due 06/15/29 ~

    200,000       165,190  

Unisys Corp.
6.875% due 11/01/27 ~

    200,000       150,056  

Veritas U.S., Inc./Veritas Bermuda Ltd.
7.500% due 09/01/25 ~

    50,000       41,857  

Xerox Corp.
6.750% due 12/15/39

    150,000       114,169  

Xerox Holdings Corp.
5.500% due 08/15/28 ~

    150,000       126,334  

ZoomInfo Technologies LLC/ZoomInfo Finance Corp.
3.875% due 02/01/29 ~

    250,000       208,596  
   

 

 

 
    6,328,128  
   

 

 

 

Utilities - 2.8%

   

Algonquin Power & Utilities Corp. (Canada)
4.750% due 01/18/82

    100,000       81,627  

AmeriGas Partners LP/AmeriGas Finance Corp.

   

5.500% due 05/20/25

    65,000       63,090  

5.875% due 08/20/26

    184,000       177,183  

9.375% due 06/01/28 ~

    63,000       63,936  

Calpine Corp.

   

3.750% due 03/01/31 ~

    265,000       213,802  

4.500% due 02/15/28 ~

    107,000       96,542  

4.625% due 02/01/29 ~

    200,000       167,753  

5.000% due 02/01/31 ~

    185,000       149,815  

5.250% due 06/01/26 ~

    83,000       80,667  

Clearway Energy Operating LLC

   

3.750% due 02/15/31 ~

    35,000       27,653  

3.750% due 01/15/32 ~

    175,000       136,238  

4.750% due 03/15/28 ~

    174,000       155,803  

DPL, Inc.

   

4.125% due 07/01/25

    150,000       142,379  

4.350% due 04/15/29

    150,000       124,141  

Edison International
8.125% due 06/15/53

    200,000       200,700  

FirstEnergy Corp.

   

1.600% due 01/15/26

    100,000       90,024  

2.050% due 03/01/25

    100,000       94,062  

7.375% due 11/15/31

    450,000       491,567  

NextEra Energy Operating Partners LP

   

3.875% due 10/15/26 ~

    300,000       271,920  

4.500% due 09/15/27 ~

    158,000       143,401  

NRG Energy, Inc.

   

3.375% due 02/15/29 ~

    90,000       72,930  

3.875% due 02/15/32 ~

    639,000       480,442  

5.750% due 01/15/28

    103,000       96,686  

Pattern Energy Operations LP/Pattern Energy Operations, Inc.
4.500% due 08/15/28 ~

    185,000       160,880  

PG&E Corp.
5.000% due 07/01/28

    315,000       285,664  

Pike Corp.
5.500% due 09/01/28 ~

    171,000       149,774  

Solaris Midstream Holdings LLC
7.625% due 04/01/26 ~

    100,000       96,640  

Talen Energy Supply LLC
8.625% due 06/01/30 ~

    230,000       235,978  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

244

PACIFIC SELECT FUND

PD HIGH YIELD BOND MARKET PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Principal
Amount

   

Value

 

TransAlta Corp. (Canada)
6.500% due 03/15/40

    $100,000       $94,276  

Vistra Operations Co. LLC

   

5.000% due 07/31/27 ~

    74,000       68,112  

5.625% due 02/15/27 ~

    500,000       474,626  

7.750% due 10/15/31 ~

    179,000       176,496  
   

 

 

 
    5,364,807  
   

 

 

 

Total Corporate Bonds & Notes
(Cost $203,322,119)

 

    184,445,436  
   

 

 

 

TOTAL INVESTMENTS - 97.9%
(Cost $203,367,110)

 

    184,449,671  
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 2.1%

 

    4,002,285  

NET ASSETS - 100.0%

      $188,451,956  
   

 

 

 
 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $369,423 or 0.2% of the Fund’s net assets were in default.

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
    

Level 2

Significant
Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Common Stocks

     $4,235        $4,235        $-        $-  
 

Corporate Bonds & Notes

     184,445,436        -        184,445,436        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     184,449,671        4,235        184,445,436        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Due to Custodian

     (195,047      -        (195,047      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (195,047      -        (195,047      -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $184,254,624        $4,235        $184,250,389        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

245

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.0%

 

Basic Materials - 0.6%

 

Axalta Coating Systems Ltd. *

    926       $24,909  

Ecolab, Inc.

    8,045       1,362,823  

FMC Corp.

    728       48,754  

Linde PLC

    1,892       704,486  

PPG Industries, Inc.

    2,500       324,500  

RPM International, Inc.

    950       90,070  

Sherwin-Williams Co.

    8,247       2,103,397  

Southern Copper Corp. (Mexico)

    3,650       274,809  

Valvoline, Inc.

    1,758       56,678  
   

 

 

 
    4,990,426  
   

 

 

 

Communications - 19.1%

 

Airbnb, Inc. Class A *

    16,873       2,315,144  

Alphabet, Inc. Class A *

    247,067       32,331,188  

Alphabet, Inc. Class C *

    211,454       27,880,210  

Amazon.com, Inc. *

    374,579       47,616,483  

Arista Networks, Inc. *

    10,436       1,919,493  

Booking Holdings, Inc. *

    1,545       4,764,703  

Cable One, Inc.

    16       9,850  

CDW Corp.

    5,283       1,065,898  

Charter Communications, Inc. Class A *

    4,267       1,876,712  

Coupang, Inc. * (South Korea)

    45,141       767,397  

DoorDash, Inc. Class A *

    9,718       772,289  

eBay, Inc.

    1,296       57,141  

Etsy, Inc. *

    3,038       196,194  

Expedia Group, Inc. *

    4,324       445,675  

FactSet Research Systems, Inc.

    1,569       686,061  

Gen Digital, Inc.

    3,380       59,758  

GoDaddy, Inc. Class A *

    4,006       298,367  

Iridium Communications, Inc.

    5,078       230,998  

Liberty Broadband Corp. Class A *

    98       8,909  

Liberty Broadband Corp. Class C *

    943       86,115  

Lyft, Inc. Class A *

    13,693       144,324  

Match Group, Inc. *

    10,202       399,663  

Meta Platforms, Inc. Class A *

    91,962       27,607,912  

Motorola Solutions, Inc.

    6,326       1,722,190  

Netflix, Inc. *

    18,257       6,893,843  

Nexstar Media Group, Inc.

    459       65,807  

Okta, Inc. *

    376       30,648  

Palo Alto Networks, Inc. *

    12,530       2,937,533  

Pinterest, Inc. Class A *

    24,278       656,234  

Roku, Inc. *

    598       42,213  

Spotify Technology SA *

    5,775       893,046  

Trade Desk, Inc. Class A *

    18,337       1,433,037  

Uber Technologies, Inc. *

    80,743       3,713,371  

Ubiquiti, Inc.

    226       32,838  

VeriSign, Inc. *

    188       38,076  

Wayfair, Inc. Class A *

    1,126       68,202  
   

 

 

 
    170,067,522  
   

 

 

 

Consumer, Cyclical - 11.2%

 

Allison Transmission Holdings, Inc.

    345       20,376  

American Airlines Group, Inc. *

    9,247       118,454  

AutoZone, Inc. *

    626       1,590,034  

Best Buy Co., Inc.

    1,044       72,527  

BJ’s Wholesale Club Holdings, Inc. *

    1,800       128,466  

Brunswick Corp.

    343       27,097  

Burlington Stores, Inc. *

    2,744       371,263  

Caesars Entertainment, Inc. *

    3,260       151,101  

CarMax, Inc. *

    230       16,268  

Casey’s General Stores, Inc.

    210       57,019  

Chipotle Mexican Grill, Inc. *

    1,143       2,093,782  

Choice Hotels International, Inc.

    1,350       165,389  

Churchill Downs, Inc.

    3,018       350,209  

Copart, Inc. *

    35,704       1,538,485  
   

Shares

   

Value

 

Costco Wholesale Corp.

    18,397       $10,393,569  

Crocs, Inc. *

    2,639       232,839  

Darden Restaurants, Inc.

    2,391       342,439  

Deckers Outdoor Corp. *

    1,068       549,048  

Delta Air Lines, Inc.

    1,280       47,360  

Dick’s Sporting Goods, Inc.

    186       20,196  

Dollar General Corp.

    9,117       964,579  

Domino’s Pizza, Inc.

    1,457       551,897  

DraftKings, Inc. Class A *

    17,733       522,060  

Fastenal Co.

    17,711       967,729  

Ferguson PLC

    436       71,709  

Five Below, Inc. *

    2,325       374,093  

Floor & Decor Holdings, Inc. Class A *

    4,303       389,421  

Freshpet, Inc. *

    491       32,347  

Hilton Worldwide Holdings, Inc.

    4,829       725,219  

Home Depot, Inc.

    42,082       12,715,497  

Las Vegas Sands Corp.

    12,626       578,776  

Live Nation Entertainment, Inc. *

    1,383       114,844  

Lowe’s Cos., Inc.

    17,870       3,714,101  

Lululemon Athletica, Inc. *

    4,631       1,785,760  

Marriott International, Inc. Class A

    10,300       2,024,568  

McDonald’s Corp.

    12,540       3,303,538  

Murphy USA, Inc.

    810       276,801  

NIKE, Inc. Class B

    26,388       2,523,221  

Norwegian Cruise Line Holdings Ltd. *

    3,984       65,656  

NVR, Inc. *

    10       59,633  

O’Reilly Automotive, Inc. *

    2,111       1,918,603  

Ollie’s Bargain Outlet Holdings, Inc. *

    774       59,737  

Peloton Interactive, Inc. Class A *

    12,054       60,873  

Planet Fitness, Inc. Class A *

    1,590       78,196  

Polaris, Inc.

    185       19,266  

Pool Corp.

    1,613       574,389  

RH *

    104       27,493  

Ross Stores, Inc.

    13,039       1,472,755  

Royal Caribbean Cruises Ltd. *

    3,005       276,881  

Scotts Miracle-Gro Co.

    1,614       83,412  

SiteOne Landscape Supply, Inc. *

    560       91,532  

Skechers USA, Inc. Class A *

    592       28,978  

Starbucks Corp.

    46,972       4,287,134  

Tapestry, Inc.

    531       15,266  

Target Corp.

    19,148       2,117,194  

Tempur Sealy International, Inc.

    1,324       57,382  

Tesla, Inc. *

    114,714       28,703,737  

Texas Roadhouse, Inc.

    2,850       273,885  

TJX Cos., Inc.

    47,950       4,261,796  

TKO Group Holdings, Inc.

    1,802       151,476  

Tractor Supply Co.

    4,532       920,223  

Travel & Leisure Co.

    1,315       48,300  

Ulta Beauty, Inc. *

    2,061       823,266  

Vail Resorts, Inc.

    155       34,393  

Victoria’s Secret, Inc. *

    1,859       31,008  

Watsco, Inc.

    323       122,004  

Wendy’s Co.

    7,159       146,115  

Williams-Sonoma, Inc.

    329       51,127  

Wingstop, Inc.

    1,322       237,748  

WW Grainger, Inc.

    1,857       1,284,747  

Wyndham Hotels & Resorts, Inc.

    233       16,203  

Wynn Resorts Ltd.

    248       22,918  

YETI Holdings, Inc. *

    3,910       188,540  

Yum! Brands, Inc.

    10,244       1,279,885  
   

 

 

 
    99,813,832  
   

 

 

 

Consumer, Non-Cyclical - 15.5%

 

10X Genomics, Inc. Class A *

    3,844       158,565  

Abbott Laboratories

    4,486       434,469  

AbbVie, Inc.

    73,288       10,924,309  

agilon health, Inc. *

    9,602       170,532  

Albertsons Cos., Inc. Class A

    1,401       31,873  

Align Technology, Inc. *

    3,171       968,170  

Alnylam Pharmaceuticals, Inc. *

    4,089       724,162  

Amgen, Inc.

    15,019       4,036,506  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

246

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Apellis Pharmaceuticals, Inc. *

    3,900       $148,356  

Automatic Data Processing, Inc.

    14,773       3,554,088  

Avery Dennison Corp.

    1,175       214,637  

Avis Budget Group, Inc. *

    275       49,415  

Bio-Techne Corp.

    6,223       423,600  

BioMarin Pharmaceutical, Inc. *

    864       76,447  

Block, Inc. *

    8,235       364,481  

Booz Allen Hamilton Holding Corp.

    5,525       603,717  

Boston Beer Co., Inc. Class A *

    356       138,673  

Bright Horizons Family Solutions, Inc. *

    278       22,646  

Brown-Forman Corp. Class A

    1,570       91,217  

Brown-Forman Corp. Class B

    6,192       357,216  

Bruker Corp.

    4,558       283,963  

Cardinal Health, Inc.

    5,415       470,130  

Celsius Holdings, Inc. *

    1,989       341,312  

Cencora, Inc.

    6,718       1,209,038  

Certara, Inc. *

    2,623       38,138  

Chemed Corp.

    460       239,062  

Church & Dwight Co., Inc.

    9,022       826,686  

Cigna Group

    933       266,903  

Cintas Corp.

    3,209       1,543,561  

Clorox Co.

    5,085       666,440  

Coca-Cola Co.

    80,429       4,502,415  

Constellation Brands, Inc. Class A

    588       147,782  

CoStar Group, Inc. *

    7,076       544,074  

DaVita, Inc. *

    2,322       219,499  

Dexcom, Inc. *

    16,095       1,501,663  

Edwards Lifesciences Corp. *

    25,062       1,736,295  

Elevance Health, Inc.

    1,286       559,950  

Eli Lilly & Co.

    35,185       18,898,919  

Encompass Health Corp.

    391       26,260  

Equifax, Inc.

    3,454       632,704  

Estee Lauder Cos., Inc. Class A

    2,963       428,302  

Euronet Worldwide, Inc. *

    923       73,268  

Exact Sciences Corp. *

    2,400       163,728  

Exelixis, Inc. *

    10,391       227,043  

FleetCor Technologies, Inc. *

    2,743       700,398  

FTI Consulting, Inc. *

    241       42,997  

Gartner, Inc. *

    3,188       1,095,429  

GE HealthCare Technologies, Inc. *

    1,253       85,254  

Ginkgo Bioworks Holdings, Inc. *

    9,821       17,776  

Globus Medical, Inc. Class A *

    1,430       70,999  

Grand Canyon Education, Inc. *

    330       38,570  

H&R Block, Inc.

    4,374       188,344  

HCA Healthcare, Inc.

    1,737       427,267  

Hershey Co.

    4,521       904,562  

Horizon Therapeutics PLC *

    8,167       944,840  

Humana, Inc.

    2,247       1,093,210  

ICON PLC *

    475       116,969  

IDEXX Laboratories, Inc. *

    3,427       1,498,524  

Illumina, Inc. *

    1,999       274,423  

Incyte Corp. *

    5,770       333,333  

Inspire Medical Systems, Inc. *

    1,239       245,867  

Insulet Corp. *

    2,949       470,336  

Intuitive Surgical, Inc. *

    14,541       4,250,189  

Ionis Pharmaceuticals, Inc. *

    5,321       241,361  

IQVIA Holdings, Inc. *

    7,112       1,399,286  

Jazz Pharmaceuticals PLC *

    1,415       183,158  

Karuna Therapeutics, Inc. *

    1,387       234,528  

Kenvue, Inc.

    24,443       490,815  

Kimberly-Clark Corp.

    13,195       1,594,616  

Lamb Weston Holdings, Inc.

    5,830       539,042  

Maravai LifeSciences Holdings, Inc. Class A *

    2,487       24,870  

MarketAxess Holdings, Inc.

    1,573       336,056  

Masimo Corp. *

    1,792       157,123  

McKesson Corp.

    2,156       937,537  

Medpace Holdings, Inc. *

    1,009       244,309  

Merck & Co., Inc.

    19,459       2,003,304  

Molina Healthcare, Inc. *

    1,333       437,077  

Monster Beverage Corp. *

    30,966       1,639,650  

Moody’s Corp.

    6,024       1,904,608  

Morningstar, Inc.

    1,117       261,646  
   

Shares

   

Value

 

Natera, Inc. *

    4,493       $198,815  

Neurocrine Biosciences, Inc. *

    4,028       453,150  

Novocure Ltd. *

    4,004       64,665  

Paylocity Holding Corp. *

    1,804       327,787  

PayPal Holdings, Inc. *

    42,349       2,475,723  

Penumbra, Inc. *

    1,480       358,027  

PepsiCo, Inc.

    39,481       6,689,661  

Performance Food Group Co. *

    3,220       189,529  

Procter & Gamble Co.

    18,428       2,687,908  

Quanta Services, Inc.

    1,604       300,060  

RB Global, Inc. (Canada)

    5,893       368,312  

Regeneron Pharmaceuticals, Inc. *

    305       251,003  

Repligen Corp. *

    951       151,218  

ResMed, Inc.

    6,005       887,959  

Roivant Sciences Ltd. *

    13,654       159,479  

Rollins, Inc.

    10,603       395,810  

S&P Global, Inc.

    1,130       412,913  

Sarepta Therapeutics, Inc. *

    3,795       460,030  

Seagen, Inc. *

    5,825       1,235,774  

Service Corp. International

    2,118       121,023  

Shift4 Payments, Inc. Class A *

    2,119       117,329  

Shockwave Medical, Inc. *

    1,513       301,238  

Sotera Health Co. *

    2,714       40,656  

Stryker Corp.

    3,742       1,022,576  

Sysco Corp.

    21,120       1,394,976  

Tandem Diabetes Care, Inc. *

    340       7,062  

Thermo Fisher Scientific, Inc.

    9,894       5,008,046  

Toast, Inc. Class A *

    15,033       281,568  

U-Haul Holding Co.

    1,212       63,497  

Ultragenyx Pharmaceutical, Inc. *

    2,749       98,002  

United Rentals, Inc.

    606       269,409  

UnitedHealth Group, Inc.

    32,491       16,381,637  

Verisk Analytics, Inc.

    5,937       1,402,557  

Vertex Pharmaceuticals, Inc. *

    9,814       3,412,720  

Waters Corp. *

    2,385       653,991  

West Pharmaceutical Services, Inc.

    3,079       1,155,272  

WEX, Inc. *

    766       144,077  

WillScot Mobile Mini Holdings Corp. *

    1,938       80,601  

Zoetis, Inc.

    19,270       3,352,595  
   

 

 

 
    137,845,142  
   

 

 

 

Energy - 0.6%

 

Antero Midstream Corp.

    4,428       53,047  

APA Corp.

    11,660       479,226  

Cheniere Energy, Inc.

    10,091       1,674,702  

Enphase Energy, Inc. *

    5,444       654,097  

Halliburton Co.

    7,712       312,336  

Hess Corp.

    6,420       982,260  

New Fortress Energy, Inc.

    2,391       78,377  

ONEOK, Inc.

    962       61,020  

Ovintiv, Inc.

    4,737       225,339  

Targa Resources Corp.

    9,185       787,338  

Texas Pacific Land Corp.

    241       439,478  
   

 

 

 
    5,747,220  
   

 

 

 

Financial - 6.2%

 

American Express Co.

    8,079       1,205,306  

American Tower Corp. REIT

    19,382       3,187,370  

Ameriprise Financial, Inc.

    4,375       1,442,350  

Apollo Global Management, Inc.

    21,710       1,948,690  

Arch Capital Group Ltd. *

    1,942       154,797  

Ares Management Corp. Class A

    6,533       672,050  

Arthur J Gallagher & Co.

    464       105,760  

Blackstone, Inc.

    29,624       3,173,915  

Blue Owl Capital, Inc.

    2,604       33,748  

Brighthouse Financial, Inc. *

    553       27,064  

Brown & Brown, Inc.

    3,958       276,427  

Crown Castle, Inc. REIT

    2,043       188,017  

Equinix, Inc. REIT

    1,951       1,416,933  

Equitable Holdings, Inc.

    15,159       430,364  

Equity LifeStyle Properties, Inc. REIT

    2,639       168,131  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

247

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Everest Group Ltd.

    223       $82,882  

First Citizens BancShares, Inc. Class A

    46       63,485  

Houlihan Lokey, Inc.

    272       29,137  

Iron Mountain, Inc. REIT

    6,081       361,516  

Kinsale Capital Group, Inc.

    926       383,484  

KKR & Co., Inc.

    6,742       415,307  

Lamar Advertising Co. Class A REIT

    2,898       241,896  

Lincoln National Corp.

    615       15,184  

LPL Financial Holdings, Inc.

    3,199       760,242  

Marsh & McLennan Cos., Inc.

    16,506       3,141,092  

Mastercard, Inc. Class A

    34,865       13,803,402  

NU Holdings Ltd. Class A * (Brazil)

    64,690       469,003  

Primerica, Inc.

    1,045       202,740  

Progressive Corp.

    18,224       2,538,603  

Public Storage REIT

    3,773       994,261  

RenaissanceRe Holdings Ltd. (Bermuda)

    509       100,741  

RLI Corp.

    348       47,290  

Rocket Cos., Inc. Class A *

    2,998       24,524  

Ryan Specialty Holdings, Inc. *

    3,700       179,080  

SBA Communications Corp. REIT

    424       84,872  

Simon Property Group, Inc. REIT

    3,001       324,198  

SLM Corp.

    3,715       50,598  

Sun Communities, Inc. REIT

    1,048       124,020  

TPG, Inc.

    844       25,421  

Tradeweb Markets, Inc. Class A

    1,557       124,871  

UDR, Inc. REIT

    719       25,647  

UWM Holdings Corp.

    3,214       15,588  

Visa, Inc. Class A

    67,310       15,481,973  

Western Union Co.

    1,203       15,856  

Willis Towers Watson PLC

    521       108,868  

XP, Inc. Class A (Brazil)

    1,078       24,848  
   

 

 

 
    54,691,551  
   

 

 

 

Industrial - 4.1%

 

Advanced Drainage Systems, Inc.

    2,831       322,253  

Agilent Technologies, Inc.

    9,984       1,116,411  

Allegion PLC

    3,443       358,761  

Amphenol Corp. Class A

    12,161       1,021,402  

AO Smith Corp.

    514       33,991  

Ardagh Metal Packaging SA

    7,049       22,063  

Armstrong World Industries, Inc.

    511       36,792  

Axon Enterprise, Inc. *

    2,851       567,320  

Boeing Co. *

    3,110       596,125  

BWX Technologies, Inc.

    611       45,813  

Caterpillar, Inc.

    16,126       4,402,398  

CH Robinson Worldwide, Inc.

    3,798       327,122  

ChargePoint Holdings, Inc. *

    11,757       58,432  

CSX Corp.

    9,630       296,122  

Deere & Co.

    10,489       3,958,339  

Donaldson Co., Inc.

    1,965       117,193  

Eagle Materials, Inc.

    911       151,700  

EMCOR Group, Inc.

    634       133,387  

Expeditors International of Washington, Inc.

    812       93,079  

Graco, Inc.

    2,998       218,494  

Graphic Packaging Holding Co.

    6,283       139,985  

HEICO Corp.

    1,764       285,644  

HEICO Corp. Class A

    3,097       400,194  

Honeywell International, Inc.

    3,511       648,622  

Hubbell, Inc.

    1,036       324,693  

IDEX Corp.

    240       49,925  

Illinois Tool Works, Inc.

    10,289       2,369,660  

Jabil, Inc.

    3,445       437,136  

JB Hunt Transport Services, Inc.

    634       119,522  

Keysight Technologies, Inc. *

    1,970       260,651  

Landstar System, Inc.

    1,195       211,443  

Lincoln Electric Holdings, Inc.

    2,213       402,301  

Lockheed Martin Corp.

    9,349       3,823,367  

Mettler-Toledo International, Inc. *

    903       1,000,587  

MSA Safety, Inc.

    244       38,467  

National Instruments Corp.

    4,422       263,640  

Northrop Grumman Corp.

    319       140,421  
   

Shares

   

Value

 

Old Dominion Freight Line, Inc.

    3,821       $1,563,324  

Otis Worldwide Corp.

    954       76,616  

Rockwell Automation, Inc.

    4,781       1,366,744  

Saia, Inc. *

    114       45,446  

Sealed Air Corp.

    3,110       102,195  

Spirit AeroSystems Holdings, Inc. Class A

    421       6,795  

Tetra Tech, Inc.

    375       57,011  

TopBuild Corp. *

    81       20,380  

Toro Co.

    4,419       367,219  

Trane Technologies PLC

    2,757       559,423  

TransDigm Group, Inc. *

    376       317,017  

Trex Co., Inc. *

    4,567       281,464  

Union Pacific Corp.

    10,862       2,211,829  

United Parcel Service, Inc. Class B

    8,352       1,301,826  

Universal Display Corp.

    826       129,674  

Valmont Industries, Inc.

    44       10,569  

Vertiv Holdings Co.

    923       34,336  

Vontier Corp.

    2,057       63,602  

Vulcan Materials Co.

    1,256       253,737  

Waste Management, Inc.

    15,220       2,320,137  

Xylem, Inc.

    1,104       100,497  
   

 

 

 
    35,983,296  
   

 

 

 

Technology - 40.7%

 

Accenture PLC Class A

    26,220       8,052,424  

Adobe, Inc. *

    19,026       9,701,357  

Advanced Micro Devices, Inc. *

    37,973       3,904,384  

Allegro MicroSystems, Inc. * (Japan)

    2,782       88,857  

Alteryx, Inc. Class A *

    2,321       87,479  

ANSYS, Inc. *

    2,958       880,153  

Apple, Inc.

    620,467       106,230,155  

Applied Materials, Inc.

    29,697       4,111,550  

AppLovin Corp. Class A *

    2,289       91,468  

Atlassian Corp. Class A *

    6,017       1,212,486  

Autodesk, Inc. *

    8,944       1,850,603  

Bentley Systems, Inc. Class B

    7,571       379,761  

Broadcom, Inc.

    16,798       13,952,083  

Broadridge Financial Solutions, Inc.

    4,022       720,139  

Cadence Design Systems, Inc. *

    11,253       2,636,578  

Ceridian HCM Holding, Inc. *

    496       33,654  

Cloudflare, Inc. Class A *

    11,809       744,439  

Confluent, Inc. Class A *

    8,000       236,880  

Crowdstrike Holdings, Inc. Class A *

    8,760       1,466,249  

Datadog, Inc. Class A *

    11,318       1,030,957  

DocuSign, Inc. *

    8,275       347,550  

DoubleVerify Holdings, Inc. *

    5,252       146,793  

Doximity, Inc. Class A *

    2,096       44,477  

Dropbox, Inc. Class A *

    9,336       254,219  

Dynatrace, Inc. *

    9,987       466,693  

Elastic NV *

    3,272       265,817  

Entegris, Inc.

    304       28,549  

EPAM Systems, Inc. *

    2,273       581,183  

Fair Isaac Corp. *

    1,001       869,399  

Fiserv, Inc. *

    6,946       784,620  

Five9, Inc. *

    2,930       188,399  

Fortinet, Inc. *

    27,334       1,603,959  

Genpact Ltd.

    1,746       63,205  

Gitlab, Inc. Class A *

    3,642       164,691  

Globant SA *

    1,721       340,500  

HashiCorp, Inc. Class A *

    2,484       56,710  

HP, Inc.

    7,700       197,890  

HubSpot, Inc. *

    1,888       929,840  

Intuit, Inc.

    11,324       5,785,885  

Jack Henry & Associates, Inc.

    1,059       160,057  

KBR, Inc.

    1,925       113,460  

KLA Corp.

    5,711       2,619,407  

Lam Research Corp.

    5,289       3,314,987  

Lattice Semiconductor Corp. *

    5,780       496,675  

Manhattan Associates, Inc. *

    2,613       516,486  

Microchip Technology, Inc.

    15,959       1,245,600  

Microsoft Corp.

    309,422       97,699,997  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

248

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

MongoDB, Inc. *

    2,721       $941,085  

Monolithic Power Systems, Inc.

    1,875       866,250  

MSCI, Inc.

    1,603       822,467  

nCino, Inc. *

    506       16,091  

NetApp, Inc.

    3,657       277,493  

New Relic, Inc. *

    2,116       181,172  

Nutanix, Inc. Class A *

    2,183       76,143  

NVIDIA Corp.

    98,790       42,972,662  

Oracle Corp.

    26,019       2,755,933  

Palantir Technologies, Inc. Class A *

    77,943       1,247,088  

Paychex, Inc.

    13,409       1,546,460  

Paycom Software, Inc.

    2,199       570,135  

Paycor HCM, Inc. *

    1,065       24,314  

Pegasystems, Inc.

    1,787       77,574  

Procore Technologies, Inc. *

    3,463       226,203  

PTC, Inc. *

    2,530       358,450  

Pure Storage, Inc. Class A *

    9,327       332,228  

QUALCOMM, Inc.

    40,503       4,498,263  

RingCentral, Inc. Class A *

    3,953       117,127  

ROBLOX Corp. Class A *

    18,554       537,324  

Salesforce, Inc. *

    29,590       6,000,260  

SentinelOne, Inc. Class A *

    986       16,624  

ServiceNow, Inc. *

    8,477       4,738,304  

Smartsheet, Inc. Class A *

    5,455       220,709  

Snowflake, Inc. Class A *

    12,898       1,970,427  

Splunk, Inc. *

    6,345       927,956  

Synopsys, Inc. *

    6,324       2,902,526  

Teradata Corp. *

    3,921       176,523  

Teradyne, Inc.

    5,303       532,739  

Texas Instruments, Inc.

    15,420       2,451,934  

Twilio, Inc. Class A *

    1,092       63,915  

Tyler Technologies, Inc. *

    1,335       515,497  

UiPath, Inc. Class A *

    11,182       191,324  

Unity Software, Inc. *

    4,420       138,744  

Veeva Systems, Inc. Class A *

    6,014       1,223,548  

VMware, Inc. Class A *

    8,953       1,490,495  

Workday, Inc. Class A *

    8,233       1,768,860  

Zebra Technologies Corp. Class A *

    360       85,151  

ZoomInfo Technologies, Inc. *

    6,307       103,435  

Zscaler, Inc. *

    3,711       577,395  
   

 

 

 
    361,239,532  
   

 

 

 

Utilities - 0.0%

   

AES Corp.

    17,357       263,826  

Vistra Corp.

    4,272       141,745  
   

 

 

 
    405,571  
   

 

 

 

Total Common Stocks
(Cost $724,038,610)

 

    870,784,092  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.6%

   

iShares Russell 1000 Growth

    52,289       13,908,351  
   

 

 

 

Total Exchange-Traded Funds
(Cost $14,721,394)

 

    13,908,351  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 0.4%

   

Repurchase Agreements - 0.4%

   

Fixed Income Clearing Corp. 4.950% due 10/02/23 (Dated 09/29/23, repurchase price of $3,482,871; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $3,551,099)

    $3,481,435       3,481,435  
   

 

 

 

Total Short-Term Investments
(Cost $3,481,435)

 

    3,481,435  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $742,241,439)

 

    888,173,878  
   

 

 

 

DERIVATIVES - (0.0%)

 

    (144,881
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    185,338  
   

 

 

 

NET ASSETS - 100.0%

 

    $888,214,335  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

249

PACIFIC SELECT FUND

PD LARGE-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini NASDAQ 100 Index

     12/23          10              $3,090,950        $2,973,300        ($117,650

CME E-Mini Standard & Poor’s 500 Index

     12/23          3              676,056        648,825        (27,231
                

 

 

 

Total Futures Contracts

                   ($144,881
                

 

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

     $870,784,092        $870,784,092        $-        $-  
 

Exchange-Traded Funds

     13,908,351        13,908,351        -        -  
 

Short-Term Investments

     3,481,435        -        3,481,435        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     888,173,878        884,692,443        3,481,435        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (144,881      (144,881      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (144,881      (144,881      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $888,028,997        $884,547,562        $3,481,435        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

250

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

COMMON STOCKS - 97.8%

 

Basic Materials - 3.7%

 

Air Products & Chemicals, Inc.

    10,486       $2,971,732  

Albemarle Corp.

    5,527       939,811  

Alcoa Corp.

    8,344       242,477  

Ashland, Inc.

    2,408       196,685  

Axalta Coating Systems Ltd. *

    8,962       241,078  

Celanese Corp.

    4,729       593,584  

CF Industries Holdings, Inc.

    9,076       778,176  

Chemours Co.

    6,660       186,813  

Cleveland-Cliffs, Inc. *

    24,614       384,717  

Dow, Inc.

    33,452       1,724,785  

DuPont de Nemours, Inc.

    21,701       1,618,678  

Eastman Chemical Co.

    5,523       423,725  

Ecolab, Inc.

    2,624       444,506  

Element Solutions, Inc.

    10,395       203,846  

FMC Corp.

    5,074       339,806  

Freeport-McMoRan, Inc.

    67,537       2,518,455  

Huntsman Corp.

    8,410       205,204  

International Flavors & Fragrances, Inc.

    11,957       815,109  

International Paper Co.

    16,534       586,461  

Linde PLC

    21,017       7,825,680  

LyondellBasell Industries NV Class A

    12,233       1,158,465  

Mosaic Co.

    15,860       564,616  

MP Materials Corp. *

    5,235       99,988  

NewMarket Corp.

    317       144,248  

Newmont Corp.

    37,613       1,389,800  

Nucor Corp.

    11,899       1,860,409  

Olin Corp.

    5,973       298,530  

PPG Industries, Inc.

    8,309       1,078,508  

Reliance Steel & Aluminum Co.

    2,715       711,954  

Royal Gold, Inc.

    3,209       341,213  

RPM International, Inc.

    4,860       460,777  

Sherwin-Williams Co.

    1,891       482,299  

SSR Mining, Inc. (Canada)

    10,078       133,937  

Steel Dynamics, Inc.

    7,513       805,544  

U.S. Steel Corp.

    10,526       341,884  

Valvoline, Inc.

    6,375       205,530  

Westlake Corp.

    1,546       192,740  
   

 

 

 
    33,511,770  
   

 

 

 

Communications - 6.1%

 

AT&T, Inc.

    338,550       5,085,021  

Cable One, Inc.

    264       162,529  

CDW Corp.

    395       79,695  

Ciena Corp. *

    6,996       330,631  

Cisco Systems, Inc.

    193,899       10,424,010  

Comcast Corp. Class A

    193,599       8,584,180  

Corning, Inc.

    35,946       1,095,275  

DISH Network Corp. Class A *

    12,609       73,889  

DoorDash, Inc. Class A *

    2,947       234,198  

eBay, Inc.

    23,665       1,043,390  

Etsy, Inc. *

    2,712       175,141  

Expedia Group, Inc. *

    1,938       199,750  

F5, Inc. *

    2,899       467,145  

Fox Corp. Class A

    12,449       388,409  

Fox Corp. Class B

    6,637       191,676  

Frontier Communications Parent, Inc. *

    11,167       174,763  

GCI Liberty, Inc. (Escrow) * W ±

    4,340       —    

Gen Digital, Inc.

    21,962       388,288  

GoDaddy, Inc. Class A *

    3,058       227,760  

IAC, Inc. *

    3,777       190,323  

Interpublic Group of Cos., Inc.

    17,827       510,922  

Iridium Communications, Inc.

    470       21,380  

Juniper Networks, Inc.

    14,708       408,735  

Liberty Broadband Corp. Class A *

    516       46,909  

Liberty Broadband Corp. Class C *

    4,298       392,493  

Liberty Media Corp. - Liberty Formula One Class A *

    1,224       69,205  
   

    

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Liberty Media Corp. - Liberty Formula One Class C *

    9,394       $585,246  

Liberty Media Corp. - Liberty SiriusXM Class A *

    3,738       95,132  

Liberty Media Corp. - Liberty SiriusXM Class C *

    7,730       196,806  

Match Group, Inc. *

    831       32,554  

Motorola Solutions, Inc.

    666       181,312  

New York Times Co. Class A

    7,725       318,270  

News Corp. Class A

    18,282       366,737  

News Corp. Class B

    5,501       114,806  

Nexstar Media Group, Inc.

    1,132       162,295  

Okta, Inc. *

    6,790       553,453  

Omnicom Group, Inc.

    9,217       686,482  

Paramount Global Class A

    114       1,800  

Paramount Global Class B

    27,940       360,426  

Robinhood Markets, Inc. Class A *

    30,816       302,305  

Roku, Inc. *

    5,077       358,385  

Sirius XM Holdings, Inc.

    32,782       148,175  

T-Mobile U.S., Inc. *

    25,195       3,528,560  

TripAdvisor, Inc. *

    4,343       72,007  

Ubiquiti, Inc.

    32       4,650  

VeriSign, Inc. *

    4,020       814,171  

Verizon Communications, Inc.

    199,004       6,449,720  

Viasat, Inc. *

    5,523       101,954  

Walt Disney Co. *

    86,475       7,008,799  

Warner Bros Discovery, Inc. *

    104,132       1,130,873  

Wayfair, Inc. Class A *

    2,691       162,994  

Zillow Group, Inc. Class A *

    2,529       113,274  

Zillow Group, Inc. Class C *

    7,276       335,860  
   

 

 

 
    55,152,763  
   

 

 

 

Consumer, Cyclical - 7.1%

 

Advance Auto Parts, Inc.

    2,834       158,506  

Alaska Air Group, Inc. *

    5,972       221,442  

Allison Transmission Holdings, Inc.

    3,666       216,514  

AMC Entertainment Holdings, Inc. Class A *

    2,910       23,251  

American Airlines Group, Inc. *

    18,704       239,598  

Aptiv PLC *

    12,792       1,261,163  

Aramark

    10,771       373,754  

AutoNation, Inc. *

    1,533       232,096  

AutoZone, Inc. *

    141       358,139  

Bath & Body Works, Inc.

    11,097       375,079  

Best Buy Co., Inc.

    8,117       563,888  

BJ’s Wholesale Club Holdings, Inc. *

    3,954       282,197  

BorgWarner, Inc.

    10,818       436,723  

Boyd Gaming Corp.

    3,351       203,841  

Brunswick Corp.

    3,100       244,900  

Caesars Entertainment, Inc. *

    5,591       259,143  

Capri Holdings Ltd. *

    5,741       302,034  

CarMax, Inc. *

    6,906       488,461  

Carnival Corp. *

    46,403       636,649  

Carter’s, Inc.

    1,865       128,965  

Casey’s General Stores, Inc.

    1,492       405,108  

Columbia Sportswear Co.

    1,607       119,079  

Core & Main, Inc. Class A *

    4,267       123,103  

Cummins, Inc.

    6,702       1,531,139  

Darden Restaurants, Inc.

    3,068       439,399  

Delta Air Lines, Inc.

    28,781       1,064,897  

Dick’s Sporting Goods, Inc.

    2,524       274,056  

Dolby Laboratories, Inc. Class A

    2,900       229,854  

Dollar Tree, Inc. *

    9,856       1,049,171  

DR Horton, Inc.

    14,707       1,580,561  

Fastenal Co.

    6,731       367,782  

Ferguson PLC

    9,225       1,517,236  

Ford Motor Co.

    185,512       2,304,059  

Freshpet, Inc. *

    1,666       109,756  

GameStop Corp. Class A *

    12,964       213,387  

Gap, Inc.

    9,067       96,382  

General Motors Co.

    65,563       2,161,612  

Gentex Corp.

    11,246       365,945  

Genuine Parts Co.

    6,617       955,362  

Harley-Davidson, Inc.

    6,202       205,038  

Hasbro, Inc.

    6,328       418,534  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

251

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PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Hilton Worldwide Holdings, Inc.

    6,567       $986,232  

Hyatt Hotels Corp. Class A

    2,222       235,710  

Kohl’s Corp.

    5,646       118,340  

Las Vegas Sands Corp.

    1,133       51,937  

Lear Corp.

    2,844       381,665  

Leggett & Platt, Inc.

    5,931       150,707  

Lennar Corp. Class A

    11,755       1,319,264  

Lennar Corp. Class B

    706       72,174  

Liberty Media Corp. - Liberty Live Class A *

    986       31,473  

Liberty Media Corp. - Liberty Live Class C *

    2,334       74,921  

Lithia Motors, Inc.

    1,253       370,049  

Live Nation Entertainment, Inc. *

    5,793       481,051  

LKQ Corp.

    12,459       616,845  

Lowe’s Cos., Inc.

    7,408       1,539,679  

Lucid Group, Inc. *

    37,502       209,636  

Macy’s, Inc.

    12,793       148,527  

Madison Square Garden Sports Corp.

    936       165,017  

Marriott Vacations Worldwide Corp.

    1,712       172,279  

Mattel, Inc. *

    16,461       362,636  

McDonald’s Corp.

    20,244       5,333,079  

MGM Resorts International

    13,763       505,928  

MSC Industrial Direct Co., Inc. Class A

    2,103       206,409  

Newell Brands, Inc.

    17,427       157,366  

NIKE, Inc. Class B

    26,260       2,510,981  

Nordstrom, Inc.

    5,743       85,800  

Norwegian Cruise Line Holdings Ltd. *

    14,505       239,042  

NVR, Inc. *

    130       775,229  

O’Reilly Automotive, Inc. *

    437       397,172  

Ollie’s Bargain Outlet Holdings, Inc. *

    2,106       162,541  

PACCAR, Inc.

    24,234       2,060,375  

Penn Entertainment, Inc. *

    6,909       158,562  

Penske Automotive Group, Inc.

    1,011       168,898  

Petco Health & Wellness Co., Inc. *

    4,181       17,100  

Phinia, Inc.

    2,299       61,590  

Planet Fitness, Inc. Class A *

    2,244       110,360  

Polaris, Inc.

    2,231       232,336  

PulteGroup, Inc.

    10,393       769,602  

PVH Corp.

    2,829       216,447  

QuantumScape Corp. *

    15,218       101,808  

Ralph Lauren Corp.

    1,879       218,133  

RH *

    617       163,110  

Rivian Automotive, Inc. Class A *

    31,343       761,008  

Ross Stores, Inc.

    1,133       127,972  

Royal Caribbean Cruises Ltd. *

    7,646       704,502  

SiteOne Landscape Supply, Inc. *

    1,342       219,350  

Skechers USA, Inc. Class A *

    5,971       292,280  

Southwest Airlines Co.

    27,917       755,713  

Tapestry, Inc.

    10,611       305,066  

Tempur Sealy International, Inc.

    6,082       263,594  

Thor Industries, Inc.

    2,488       236,683  

Toll Brothers, Inc.

    5,194       384,148  

Travel & Leisure Co.

    2,141       78,639  

Under Armour, Inc. Class A *

    9,235       63,260  

Under Armour, Inc. Class C *

    9,903       63,181  

United Airlines Holdings, Inc. *

    15,267       645,794  

Vail Resorts, Inc.

    1,690       374,994  

VF Corp.

    16,672       294,594  

Victoria’s Secret, Inc. *

    948       15,813  

Walgreens Boots Alliance, Inc.

    33,619       747,687  

Walmart, Inc.

    67,665       10,821,663  

Watsco, Inc.

    1,180       445,710  

WESCO International, Inc.

    2,067       297,276  

Whirlpool Corp.

    2,591       346,417  

Williams-Sonoma, Inc.

    2,663       413,830  

Wyndham Hotels & Resorts, Inc.

    3,561       247,632  

Wynn Resorts Ltd.

    4,732       437,284  

Yum! Brands, Inc.

    1,723       215,272  
   

 

 

 
    64,237,175  
   

 

 

 

Consumer, Non-Cyclical - 23.6%

 

Abbott Laboratories

    76,702       7,428,589  
   

    

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Acadia Healthcare Co., Inc. *

    4,259       $299,450  

ADT, Inc.

    8,416       50,496  

Affirm Holdings, Inc. *

    10,454       222,357  

agilon health, Inc. *

    1,043       18,524  

Albertsons Cos., Inc. Class A

    17,873       406,611  

Alnylam Pharmaceuticals, Inc. *

    1,084       191,976  

Altria Group, Inc.

    84,460       3,551,543  

Amedisys, Inc. *

    1,500       140,100  

Amgen, Inc.

    8,083       2,172,387  

Archer-Daniels-Midland Co.

    25,252       1,904,506  

Automatic Data Processing, Inc.

    2,831       681,082  

Avantor, Inc. *

    31,337       660,584  

Avery Dennison Corp.

    2,560       467,635  

Avis Budget Group, Inc. *

    675       121,291  

Azenta, Inc. *

    3,427       172,001  

Baxter International, Inc.

    23,834       899,495  

Becton Dickinson & Co.

    13,400       3,464,302  

Bio-Rad Laboratories, Inc. Class A *

    960       344,112  

Bio-Techne Corp.

    447       30,427  

Biogen, Inc. *

    6,809       1,749,981  

BioMarin Pharmaceutical, Inc. *

    7,696       680,942  

Block, Inc. *

    16,513       730,865  

Boston Scientific Corp. *

    67,891       3,584,645  

Bright Horizons Family Solutions, Inc. *

    2,532       206,257  

Bristol-Myers Squibb Co.

    99,407       5,769,582  

Brown-Forman Corp. Class A

    431       25,041  

Brown-Forman Corp. Class B

    1,907       110,015  

Bunge Ltd.

    6,990       756,668  

Campbell Soup Co.

    8,787       360,970  

Cardinal Health, Inc.

    6,041       524,480  

Catalent, Inc. *

    8,423       383,499  

Centene Corp. *

    25,915       1,785,025  

Certara, Inc. *

    3,835       55,761  

Charles River Laboratories International, Inc. *

    2,418       473,880  

Chemed Corp.

    210       109,137  

Church & Dwight Co., Inc.

    1,279       117,195  

Cigna Group

    12,784       3,657,119  

Cintas Corp.

    480       230,885  

Clarivate PLC *

    22,630       151,847  

Coca-Cola Co.

    92,824       5,196,288  

Colgate-Palmolive Co.

    38,804       2,759,352  

Conagra Brands, Inc.

    22,140       607,079  

Constellation Brands, Inc. Class A

    6,856       1,723,118  

Cooper Cos., Inc.

    2,280       725,063  

Corteva, Inc.

    33,718       1,725,013  

CoStar Group, Inc. *

    10,830       832,719  

Coty, Inc. Class A *

    18,355       201,354  

CVS Health Corp.

    60,550       4,227,601  

Danaher Corp.

    31,123       7,721,616  

Darling Ingredients, Inc. *

    7,738       403,924  

Dentsply Sirona, Inc.

    9,777       333,982  

Driven Brands Holdings, Inc. *

    2,917       36,725  

Dun & Bradstreet Holdings, Inc.

    14,117       141,029  

Elanco Animal Health, Inc. *

    24,180       271,783  

Elevance Health, Inc.

    9,719       4,231,847  

Encompass Health Corp.

    4,239       284,691  

Enovis Corp. *

    2,526       133,196  

Envista Holdings Corp. *

    7,808       217,687  

Equifax, Inc.

    1,767       323,679  

Estee Lauder Cos., Inc. Class A

    7,445       1,076,175  

Euronet Worldwide, Inc. *

    1,193       94,700  

Exact Sciences Corp. *

    5,566       379,713  

Exelixis, Inc. *

    4,230       92,426  

FleetCor Technologies, Inc. *

    253       64,601  

Flowers Foods, Inc.

    8,596       190,659  

Fortrea Holdings, Inc. *

    4,455       127,368  

FTI Consulting, Inc. *

    1,218       217,303  

GE HealthCare Technologies, Inc. *

    17,029       1,158,653  

General Mills, Inc.

    27,770       1,777,002  

Gilead Sciences, Inc.

    59,103       4,429,179  

Ginkgo Bioworks Holdings, Inc.*

    70,244       127,142  

Global Payments, Inc.

    12,365       1,426,797  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

252

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Globus Medical, Inc. Class A *

    3,872       $192,245  

Grand Canyon Education, Inc. *

    1,097       128,217  

Grocery Outlet Holding Corp. *

    3,952       114,015  

H&R Block, Inc.

    2,690       115,831  

HCA Healthcare, Inc.

    7,666       1,885,683  

Henry Schein, Inc. *

    6,205       460,721  

Hershey Co.

    1,800       360,144  

Hertz Global Holdings, Inc. *

    6,768       82,908  

Hologic, Inc. *

    11,407       791,646  

Horizon Therapeutics PLC *

    1,308       151,323  

Hormel Foods Corp.

    14,022       533,257  

Humana, Inc.

    3,343       1,626,436  

ICON PLC *

    3,360       827,400  

ICU Medical, Inc. *

    1,018       121,152  

Illumina, Inc. *

    5,204       714,405  

Incyte Corp. *

    2,431       140,439  

Ingredion, Inc.

    3,143       309,271  

Integra LifeSciences Holdings Corp. *

    3,125       119,344  

Ionis Pharmaceuticals, Inc. *

    1,095       49,669  

IQVIA Holdings, Inc. *

    678       133,397  

J M Smucker Co.

    4,667       573,621  

Jazz Pharmaceuticals PLC *

    1,287       166,589  

Johnson & Johnson

    113,966       17,750,204  

Karuna Therapeutics, Inc. *

    190       32,127  

Kellogg Co.

    12,140       722,451  

Kenvue, Inc.

    54,239       1,089,119  

Keurig Dr Pepper, Inc.

    45,053       1,422,323  

Kimberly-Clark Corp.

    1,001       120,971  

Kraft Heinz Co.

    37,970       1,277,311  

Kroger Co.

    30,840       1,380,090  

Laboratory Corp. of America Holdings

    4,156       835,564  

Lamb Weston Holdings, Inc.

    410       37,909  

ManpowerGroup, Inc.

    2,393       175,455  

Maravai LifeSciences Holdings, Inc. Class A *

    2,328       23,280  

McCormick & Co., Inc.

    11,840       895,578  

McKesson Corp.

    4,010       1,743,749  

Medtronic PLC

    62,809       4,921,713  

Merck & Co., Inc.

    98,014       10,090,541  

Mirati Therapeutics, Inc. *

    2,008       87,468  

Mister Car Wash, Inc. *

    1,318       7,262  

Moderna, Inc. *

    15,897       1,642,001  

Molina Healthcare, Inc. *

    1,232       403,960  

Molson Coors Beverage Co. Class B

    8,221       522,773  

Mondelez International, Inc. Class A

    64,304       4,462,698  

Moody’s Corp.

    704       222,584  

Organon & Co.

    12,072       209,570  

PayPal Holdings, Inc. *

    4,907       286,863  

PepsiCo, Inc.

    20,130       3,410,827  

Performance Food Group Co. *

    3,643       214,427  

Perrigo Co. PLC

    5,881       187,898  

Pfizer, Inc.

    267,195       8,862,858  

Philip Morris International, Inc.

    73,386       6,794,076  

Pilgrim’s Pride Corp. *

    1,067       24,360  

Post Holdings, Inc. *

    2,392       205,090  

Premier, Inc. Class A

    5,460       117,390  

Procter & Gamble Co.

    90,399       13,185,598  

QIAGEN NV *

    11,014       446,067  

Quanta Services, Inc.

    5,000       935,350  

Quest Diagnostics, Inc.

    5,217       635,744  

QuidelOrtho Corp. *

    2,610       190,634  

R1 RCM, Inc. *

    7,695       115,964  

RB Global, Inc. (Canada)

    2,149       134,313  

Regeneron Pharmaceuticals, Inc. *

    4,566       3,757,635  

Repligen Corp. *

    1,394       221,660  

Revvity, Inc.

    5,858       648,481  

Reynolds Consumer Products, Inc.

    2,762       70,790  

Robert Half, Inc.

    4,928       361,124  

Royalty Pharma PLC Class A

    17,496       474,841  

S&P Global, Inc.

    13,911       5,083,219  

Seaboard Corp.

    11       41,283  

Service Corp. International

    4,332       247,530  

Spectrum Brands Holdings, Inc.

    1,866       146,201  
   

    

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STERIS PLC

    4,681       $1,027,105  

Stryker Corp.

    12,531       3,424,346  

Tandem Diabetes Care, Inc. *

    2,805       58,260  

Teladoc Health, Inc. *

    7,906       146,973  

Teleflex, Inc.

    2,276       447,029  

Tenet Healthcare Corp. *

    4,730       311,660  

Thermo Fisher Scientific, Inc.

    7,005       3,545,721  

TransUnion

    9,010       646,828  

Tyson Foods, Inc. Class A

    13,262       669,598  

U-Haul Holding Co. *

    403       21,992  

U-Haul Holding Co.

    2,504       131,185  

U.S. Foods Holding Corp. *

    10,759       427,132  

United Rentals, Inc.

    2,578       1,146,101  

United Therapeutics Corp. *

    2,186       493,752  

UnitedHealth Group, Inc.

    6,989       3,523,784  

Universal Health Services, Inc. Class B

    2,821       354,684  

Vertex Pharmaceuticals, Inc. *

    1,024       356,086  

Viatris, Inc.

    57,252       564,505  

WEX, Inc. *

    1,166       219,313  

WillScot Mobile Mini Holdings Corp. *

    6,805       283,020  

Zimmer Biomet Holdings, Inc.

    9,924       1,113,671  
   

 

 

 
    213,338,108  
   

 

 

 

Energy - 9.1%

 

Antero Midstream Corp.

    11,365       136,153  

Antero Resources Corp. *

    13,196       334,914  

APA Corp.

    1,781       73,199  

Baker Hughes Co.

    47,880       1,691,122  

Chesapeake Energy Corp.

    5,969       514,707  

Chevron Corp.

    83,836       14,136,426  

ConocoPhillips

    57,337       6,868,973  

Coterra Energy, Inc.

    35,698       965,631  

Devon Energy Corp.

    30,293       1,444,976  

Diamondback Energy, Inc.

    8,562       1,326,082  

DTE Midstream LLC *

    4,466       236,341  

EOG Resources, Inc.

    27,788       3,522,407  

EQT Corp.

    16,803       681,866  

Exxon Mobil Corp.

    189,533       22,285,290  

First Solar, Inc. *

    5,000       807,950  

Halliburton Co.

    33,926       1,374,003  

Hess Corp.

    5,774       883,422  

HF Sinclair Corp.

    6,520       371,184  

Kinder Morgan, Inc.

    92,705       1,537,049  

Marathon Oil Corp.

    29,003       775,830  

Marathon Petroleum Corp.

    20,059       3,035,729  

NOV, Inc.

    18,745       391,770  

Occidental Petroleum Corp.

    32,977       2,139,548  

ONEOK, Inc.

    19,961       1,266,126  

Ovintiv, Inc.

    6,799       323,428  

Phillips 66

    21,783       2,617,227  

Pioneer Natural Resources Co.

    11,003       2,525,739  

Plug Power, Inc. *

    26,150       198,740  

Range Resources Corp.

    10,821       350,709  

Schlumberger NV

    67,366       3,927,438  

Southwestern Energy Co. *

    53,662       346,120  

Sunrun, Inc. *

    10,140       127,358  

TechnipFMC PLC (United Kingdom)

    20,620       419,411  

Valero Energy Corp.

    16,655       2,360,180  

Williams Cos., Inc.

    57,565       1,939,365  
   

 

 

 
    81,936,413  
   

 

 

 

Financial - 23.0%

 

Affiliated Managers Group, Inc.

    1,636       213,236  

Aflac, Inc.

    28,449       2,183,461  

AGNC Investment Corp. REIT

    26,763       252,643  

Agree Realty Corp. REIT

    4,037       223,004  

Air Lease Corp.

    4,953       195,198  

Alexandria Real Estate Equities, Inc. REIT

    8,072       808,007  

Allstate Corp.

    12,397       1,381,150  

Ally Financial, Inc.

    12,565       335,234  

American Express Co.

    18,800       2,804,772  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

253

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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American Financial Group, Inc.

    3,495       $390,287  

American Homes 4 Rent Class A REIT

    16,026       539,916  

American International Group, Inc.

    34,214       2,073,368  

Americold Realty Trust, Inc. REIT

    13,079       397,732  

Annaly Capital Management, Inc. REIT

    22,925       431,219  

Aon PLC Class A

    9,559       3,099,219  

Apartment Income REIT Corp.

    7,146       219,382  

Arch Capital Group Ltd. *

    14,527       1,157,947  

Arthur J Gallagher & Co.

    9,448       2,153,483  

Assurant, Inc.

    2,463       353,638  

Assured Guaranty Ltd.

    2,613       158,139  

AvalonBay Communities, Inc. REIT

    6,756       1,160,275  

Axis Capital Holdings Ltd.

    3,510       197,859  

Bank of America Corp.

    329,386       9,018,589  

Bank of New York Mellon Corp.

    37,348       1,592,892  

Bank OZK

    5,411       200,586  

Berkshire Hathaway, Inc. Class B *

    86,669       30,360,151  

BlackRock, Inc.

    7,029       4,544,178  

Blue Owl Capital, Inc.

    19,141       248,067  

BOK Financial Corp.

    1,332       106,533  

Boston Properties, Inc. REIT

    7,597       451,870  

Brighthouse Financial, Inc. *

    3,012       147,407  

Brixmor Property Group, Inc. REIT

    14,528       301,892  

Brown & Brown, Inc.

    6,863       479,312  

Camden Property Trust REIT

    4,966       469,684  

Capital One Financial Corp.

    17,919       1,739,039  

Carlyle Group, Inc.

    9,861       297,408  

Cboe Global Markets, Inc.

    4,902       765,741  

CBRE Group, Inc. Class A *

    14,640       1,081,310  

Charles Schwab Corp.

    70,084       3,847,612  

Chubb Ltd.

    19,490       4,057,428  

Cincinnati Financial Corp.

    7,343       751,115  

Citigroup, Inc.

    91,969       3,782,685  

Citizens Financial Group, Inc.

    22,233       595,844  

CME Group, Inc.

    16,977       3,399,135  

CNA Financial Corp.

    1,353       53,241  

Coinbase Global, Inc. Class A *

    7,936       595,835  

Columbia Banking System, Inc.

    9,578       194,433  

Comerica, Inc.

    6,190       257,195  

Commerce Bancshares, Inc.

    5,333       255,877  

Cousins Properties, Inc. REIT

    6,745       137,396  

Credit Acceptance Corp. *

    281       129,294  

Crown Castle, Inc. REIT

    18,285       1,682,769  

CubeSmart REIT

    10,833       413,062  

Cullen/Frost Bankers, Inc.

    2,775       253,108  

Digital Realty Trust, Inc. REIT

    14,121       1,708,923  

Discover Financial Services

    11,975       1,037,394  

East West Bancorp, Inc.

    6,800       358,428  

EastGroup Properties, Inc. REIT

    2,137       355,875  

EPR Properties REIT

    3,448       143,230  

Equinix, Inc. REIT

    2,198       1,596,319  

Equity LifeStyle Properties, Inc. REIT

    5,607       357,222  

Equity Residential REIT

    17,628       1,034,940  

Essex Property Trust, Inc. REIT

    2,977       631,392  

Evercore, Inc. Class A

    1,715       236,464  

Everest Group Ltd.

    1,759       653,768  

Extra Space Storage, Inc. REIT

    9,976       1,212,882  

Federal Realty Investment Trust REIT

    3,877       351,373  

Fidelity National Financial, Inc.

    11,883       490,768  

Fifth Third Bancorp

    31,823       806,077  

First American Financial Corp.

    4,796       270,926  

First Citizens BancShares, Inc. Class A

    464       640,366  

First Hawaiian, Inc.

    5,494       99,167  

First Horizon Corp.

    25,073       276,304  

First Industrial Realty Trust, Inc. REIT

    6,323       300,912  

FNB Corp.

    16,225       175,068  

Franklin Resources, Inc.

    13,757       338,147  

Gaming & Leisure Properties, Inc. REIT

    12,103       551,292  

Globe Life, Inc.

    4,298       467,322  

Goldman Sachs Group, Inc.

    15,267       4,939,943  

Hanover Insurance Group, Inc.

    1,578       175,126  

Hartford Financial Services Group, Inc.

    14,373       1,019,189  
   

    

Shares

   

Value

 

Healthcare Realty Trust, Inc. REIT

    18,231       $278,387  

Healthpeak Properties, Inc. REIT

    25,606       470,126  

Highwoods Properties, Inc. REIT

    4,691       96,682  

Host Hotels & Resorts, Inc. REIT

    33,297       535,083  

Houlihan Lokey, Inc.

    2,052       219,810  

Howard Hughes Holdings, Inc. *

    1,510       111,936  

Huntington Bancshares, Inc.

    69,265       720,356  

Interactive Brokers Group, Inc. Class A

    4,823       417,479  

Intercontinental Exchange, Inc.

    26,780       2,946,336  

Invesco Ltd.

    17,723       257,338  

Invitation Homes, Inc. REIT

    28,798       912,609  

Iron Mountain, Inc. REIT

    6,879       408,957  

Janus Henderson Group PLC

    6,375       164,603  

Jefferies Financial Group, Inc.

    8,920       326,740  

Jones Lang LaSalle, Inc. *

    2,295       324,008  

JPMorgan Chase & Co.

    136,582       19,807,122  

Kemper Corp.

    2,698       113,397  

KeyCorp

    45,130       485,599  

Kilroy Realty Corp. REIT

    5,709       180,461  

Kimco Realty Corp. REIT

    29,311       515,580  

KKR & Co., Inc.

    23,017       1,417,847  

Lamar Advertising Co. Class A REIT

    1,002       83,637  

Lazard Ltd. Class A

    4,784       148,352  

Lincoln National Corp.

    7,517       185,595  

Loews Corp.

    9,056       573,335  

M&T Bank Corp.

    7,798       986,057  

Markel Group, Inc. *

    618       909,999  

Marsh & McLennan Cos., Inc.

    4,634       881,850  

Medical Properties Trust, Inc. REIT

    28,477       155,200  

MetLife, Inc.

    30,574       1,923,410  

MGIC Investment Corp.

    14,368       239,802  

Mid-America Apartment Communities, Inc. REIT

    5,436       699,341  

Morgan Stanley

    56,852       4,643,103  

Nasdaq, Inc.

    16,031       778,946  

National Storage Affiliates Trust REIT

    3,750       119,025  

New York Community Bancorp, Inc.

    34,768       394,269  

NNN REIT, Inc. REIT

    8,749       309,190  

Northern Trust Corp.

    9,542       662,978  

NU Holdings Ltd. Class A * (Brazil)

    36,590       265,278  

Old Republic International Corp.

    12,316       331,793  

Omega Healthcare Investors, Inc. REIT

    11,293       374,476  

OneMain Holdings, Inc.

    5,592       224,183  

Park Hotels & Resorts, Inc. REIT

    10,959       135,015  

Pinnacle Financial Partners, Inc.

    3,620       242,685  

PNC Financial Services Group, Inc.

    18,829       2,311,636  

Popular, Inc.

    3,247       204,593  

Primerica, Inc.

    641       124,360  

Principal Financial Group, Inc.

    11,353       818,211  

Progressive Corp.

    6,903       961,588  

Prologis, Inc. REIT

    43,625       4,895,161  

Prosperity Bancshares, Inc.

    4,044       220,722  

Prudential Financial, Inc.

    17,349       1,646,247  

Public Storage REIT

    3,083       812,432  

Raymond James Financial, Inc.

    8,940       897,844  

Rayonier, Inc. REIT

    6,985       198,793  

Realty Income Corp. REIT

    31,861       1,591,138  

Regency Centers Corp. REIT

    8,424       500,723  

Regions Financial Corp.

    43,819       753,687  

Reinsurance Group of America, Inc.

    3,220       467,512  

RenaissanceRe Holdings Ltd. (Bermuda)

    1,664       329,339  

Rexford Industrial Realty, Inc. REIT

    9,623       474,895  

Rithm Capital Corp. REIT

    23,318       216,624  

RLI Corp.

    1,363       185,218  

Rocket Cos., Inc. Class A *

    3,602       29,464  

SBA Communications Corp. REIT

    4,554       911,574  

SEI Investments Co.

    4,864       292,959  

Simon Property Group, Inc. REIT

    11,993       1,295,604  

SLM Corp.

    7,354       100,161  

SoFi Technologies, Inc. *

    42,818       342,116  

Spirit Realty Capital, Inc. REIT

    6,518       218,549  

STAG Industrial, Inc. REIT

    8,290       286,088  

Starwood Property Trust, Inc. REIT

    14,206       274,886  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

254

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Value

 

State Street Corp.

    15,044       $1,007,346  

Stifel Financial Corp.

    5,027       308,859  

Sun Communities, Inc. REIT

    4,623       547,086  

Synchrony Financial

    19,788       604,919  

Synovus Financial Corp.

    6,751       187,678  

T Rowe Price Group, Inc.

    10,424       1,093,165  

TFS Financial Corp.

    3,338       39,455  

TPG, Inc.

    2,293       69,065  

Tradeweb Markets, Inc. Class A

    3,452       276,850  

Travelers Cos., Inc.

    10,897       1,779,589  

Truist Financial Corp.

    62,703       1,793,933  

U.S. Bancorp

    72,455       2,395,362  

UDR, Inc. REIT

    14,944       533,052  

Unum Group

    9,517       468,141  

UWM Holdings Corp.

    2,320       11,252  

Ventas, Inc. REIT

    18,724       788,842  

VICI Properties, Inc. REIT

    47,444       1,380,620  

Virtu Financial, Inc. Class A

    3,656       63,139  

Vornado Realty Trust REIT

    8,797       199,516  

Voya Financial, Inc.

    4,658       309,524  

W R Berkley Corp.

    9,571       607,663  

Webster Financial Corp.

    8,233       331,872  

Wells Fargo & Co.

    173,648       7,095,257  

Welltower, Inc. REIT

    23,487       1,924,055  

Western Alliance Bancorp

    4,889       224,747  

Western Union Co.

    11,397       150,212  

Weyerhaeuser Co. REIT

    34,612       1,061,204  

White Mountains Insurance Group Ltd.

    112       167,517  

Willis Towers Watson PLC

    4,386       916,499  

Wintrust Financial Corp.

    2,827       213,439  

WP Carey, Inc. REIT

    9,847       532,526  

XP, Inc. Class A (Brazil)

    14,272       328,970  

Zions Bancorp NA

    7,044       245,765  
   

 

 

 
    208,165,892  
   

 

 

 

Industrial - 12.3%

 

3M Co.

    25,997       2,433,839  

Acuity Brands, Inc.

    1,529       260,404  

AECOM

    6,111       507,457  

AGCO Corp.

    2,932       346,797  

Agilent Technologies, Inc.

    2,552       285,365  

Allegion PLC

    331       34,490  

Amcor PLC

    70,961       650,003  

AMETEK, Inc.

    10,870       1,606,151  

Amphenol Corp. Class A

    13,698       1,150,495  

AO Smith Corp.

    5,119       338,519  

AptarGroup, Inc.

    2,988       373,620  

Ardagh Group SA * W

    291       1,587  

Armstrong World Industries, Inc.

    1,595       114,840  

Arrow Electronics, Inc. *

    2,721       340,778  

Avnet, Inc.

    4,156       200,278  

AZEK Co., Inc. *

    6,305       187,511  

Ball Corp.

    14,402       716,932  

Berry Global Group, Inc.

    5,686       352,020  

Boeing Co. *

    22,782       4,366,854  

Builders FirstSource, Inc. *

    5,961       742,085  

BWX Technologies, Inc.

    3,437       257,706  

Carlisle Cos., Inc.

    2,339       606,409  

Carrier Global Corp.

    39,379       2,173,721  

Caterpillar, Inc.

    6,105       1,666,665  

CH Robinson Worldwide, Inc.

    1,279       110,160  

Clean Harbors, Inc. *

    2,476       414,383  

CNH Industrial NV (United Kingdom)

    45,173       546,593  

Cognex Corp.

    8,178       347,074  

Coherent Corp. *

    5,235       170,870  

Crane Co.

    2,158       191,717  

Crown Holdings, Inc.

    5,011       443,373  

CSX Corp.

    84,258       2,590,933  

Curtiss-Wright Corp.

    1,834       358,785  

Deere & Co.

    823       310,584  

Donaldson Co., Inc.

    3,565       212,617  
   

    

Shares

   

Value

 

Dover Corp.

    6,567       $916,162  

Eagle Materials, Inc.

    614       102,243  

Eaton Corp. PLC

    18,830       4,016,062  

EMCOR Group, Inc.

    1,419       298,543  

Emerson Electric Co.

    26,984       2,605,845  

Esab Corp.

    2,669       187,417  

Expeditors International of Washington, Inc.

    6,205       711,279  

FedEx Corp.

    10,964       2,904,583  

Flowserve Corp.

    6,245       248,364  

Fortive Corp.

    16,713       1,239,436  

Fortune Brands Innovations, Inc.

    5,949       369,790  

Garmin Ltd.

    7,181       755,441  

Gates Industrial Corp. PLC *

    5,996       69,614  

Generac Holdings, Inc. *

    2,857       311,299  

General Dynamics Corp.

    11,572       2,557,065  

General Electric Co.

    51,266       5,667,456  

Graco, Inc.

    4,637       337,945  

Graphic Packaging Holding Co.

    7,127       158,790  

GXO Logistics, Inc. *

    5,434       318,704  

Hayward Holdings, Inc. *

    6,274       88,463  

HEICO Corp.

    131       21,213  

HEICO Corp. Class A

    230       29,721  

Hexcel Corp.

    3,983       259,453  

Honeywell International, Inc.

    27,422       5,065,940  

Howmet Aerospace, Inc.

    17,813       823,851  

Hubbell, Inc.

    1,380       432,506  

Huntington Ingalls Industries, Inc.

    1,847       377,859  

IDEX Corp.

    3,243       674,609  

Illinois Tool Works, Inc.

    2,712       624,601  

Ingersoll Rand, Inc.

    19,127       1,218,772  

ITT, Inc.

    4,002       391,836  

Jabil, Inc.

    2,177       276,240  

Jacobs Solutions, Inc.

    5,854       799,071  

JB Hunt Transport Services, Inc.

    3,170       597,608  

Johnson Controls International PLC

    32,477       1,728,101  

Keysight Technologies, Inc. *

    6,184       818,205  

Kirby Corp. *

    2,726       225,713  

Knight-Swift Transportation Holdings, Inc.

    7,564       379,335  

L3Harris Technologies, Inc.

    8,941       1,556,807  

Landstar System, Inc.

    367       64,937  

Lennox International, Inc.

    1,548       579,633  

Lincoln Electric Holdings, Inc.

    183       33,268  

Littelfuse, Inc.

    1,183       292,580  

Louisiana-Pacific Corp.

    3,060       169,126  

Martin Marietta Materials, Inc.

    2,917       1,197,370  

Masco Corp.

    10,611       567,158  

MasTec, Inc. *

    3,003       216,126  

MDU Resources Group, Inc.

    9,126       178,687  

Mercury Systems, Inc. *

    2,521       93,504  

Middleby Corp. *

    2,586       331,008  

Mohawk Industries, Inc. *

    2,487       213,409  

MSA Safety, Inc.

    1,388       218,818  

National Instruments Corp.

    1,438       85,734  

Nordson Corp.

    2,762       616,396  

Norfolk Southern Corp.

    10,742       2,115,422  

Northrop Grumman Corp.

    6,383       2,809,733  

nVent Electric PLC

    7,458       395,199  

Old Dominion Freight Line, Inc.

    343       140,335  

Oshkosh Corp.

    3,080       293,924  

Otis Worldwide Corp.

    18,386       1,476,580  

Owens Corning

    4,300       586,563  

Packaging Corp. of America

    4,237       650,591  

Parker-Hannifin Corp.

    6,040       2,352,701  

Pentair PLC

    7,664       496,244  

RBC Bearings, Inc. *

    1,299       304,135  

Regal Rexnord Corp.

    3,198       456,930  

Republic Services, Inc.

    9,762       1,391,183  

RTX Corp.

    69,102       4,973,271  

Ryder System, Inc.

    2,047       218,927  

Saia, Inc. *

    1,106       440,907  

Schneider National, Inc. Class B

    2,847       78,833  

Sealed Air Corp.

    3,234       106,269  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

255

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

Sensata Technologies Holding PLC

    7,211       $272,720  

Silgan Holdings, Inc.

    3,799       163,775  

Snap-on, Inc.

    2,416       616,225  

Sonoco Products Co.

    4,559       247,782  

Spirit AeroSystems Holdings, Inc. Class A

    4,719       76,165  

Stanley Black & Decker, Inc.

    7,359       615,065  

Stericycle, Inc. *

    4,131       184,697  

TD SYNNEX Corp.

    2,092       208,907  

Teledyne Technologies, Inc. *

    2,191       895,199  

Tetra Tech, Inc.

    2,011       305,732  

Textron, Inc.

    9,358       731,234  

Timken Co.

    2,928       215,179  

TopBuild Corp. *

    1,384       348,214  

Trane Technologies PLC

    7,588       1,539,681  

TransDigm Group, Inc. *

    2,059       1,736,005  

Trimble, Inc. *

    11,642       627,038  

Union Pacific Corp.

    16,487       3,357,248  

United Parcel Service, Inc. Class B

    24,759       3,859,185  

Universal Display Corp.

    1,289       202,360  

Valmont Industries, Inc.

    940       225,797  

Vertiv Holdings Co.

    14,869       553,127  

Vontier Corp.

    5,186       160,351  

Vulcan Materials Co.

    4,879       985,656  

Waste Management, Inc.

    1,896       289,026  

Westinghouse Air Brake Technologies Corp.

    8,394       892,030  

Westrock Co.

    12,171       435,722  

Woodward, Inc.

    2,836       352,401  

XPO, Inc. *

    5,345       399,058  

Xylem, Inc.

    9,853       896,919  
   

 

 

 
    111,115,556  
   

 

 

 

Technology - 8.1%

 

Activision Blizzard, Inc.

    34,373       3,218,344  

Advanced Micro Devices, Inc. *

    32,669       3,359,027  

Akamai Technologies, Inc. *

    7,148       761,548  

Amdocs Ltd.

    5,762       486,831  

Analog Devices, Inc.

    23,905       4,185,526  

ANSYS, Inc. *

    765       227,626  

Applied Materials, Inc.

    6,155       852,160  

AppLovin Corp. Class A *

    7,844       313,446  

Aspen Technology, Inc. *

    1,263       257,980  

Bentley Systems, Inc. Class B

    706       35,413  

BILL Holdings, Inc. *

    4,892       531,124  

Broadridge Financial Solutions, Inc.

    968       173,320  

CACI International, Inc. Class A *

    1,030       323,348  

CCC Intelligent Solutions Holdings, Inc. *

    10,125       135,169  

Ceridian HCM Holding, Inc. *

    6,369       432,137  

Cirrus Logic, Inc. *

    2,500       184,900  

Cognizant Technology Solutions Corp. Class A

    24,010       1,626,437  

Concentrix Corp.

    1,950       156,215  

Crane NXT Co.

    2,469       137,202  

Doximity, Inc. Class A *

    3,268       69,347  

Dropbox, Inc. Class A *

    1,160       31,587  

DXC Technology Co. *

    10,883       226,693  

Electronic Arts, Inc.

    12,948       1,558,939  

Entegris, Inc.

    6,574       617,364  

Fidelity National Information Services, Inc.

    27,981       1,546,510  

Fiserv, Inc. *

    20,857       2,356,007  

Genpact Ltd.

    6,033       218,395  

GLOBALFOUNDRIES, Inc. *

    3,948       229,734  

Guidewire Software, Inc. *

    3,884       349,560  

HashiCorp, Inc. Class A *

    1,477       33,720  

Hewlett Packard Enterprise Co.

    61,032       1,060,126  

HP, Inc.

    32,450       833,965  

Informatica, Inc. Class A *

    1,890       39,822  

Intel Corp.

    197,415       7,018,103  

International Business Machines Corp.

    42,967       6,028,270  

IPG Photonics Corp. *

    1,509       153,224  

Jack Henry & Associates, Inc.

    2,331       352,307  

KBR, Inc.

    3,881       228,746  

Kyndryl Holdings, Inc. *

    10,732       162,053  
   

    

Shares

   

Value

 

Lam Research Corp.

    358       $224,384  

Leidos Holdings, Inc.

    6,328       583,189  

Lumentum Holdings, Inc. *

    3,223       145,615  

Marvell Technology, Inc.

    40,394       2,186,527  

Microchip Technology, Inc.

    7,456       581,941  

Micron Technology, Inc.

    51,678       3,515,654  

MKS Instruments, Inc.

    3,074       266,024  

MSCI, Inc.

    1,832       939,963  

nCino, Inc. *

    3,329       105,862  

NCR Corp. *

    5,603       151,113  

NetApp, Inc.

    6,112       463,779  

Nutanix, Inc. Class A *

    7,857       274,052  

ON Semiconductor Corp. *

    20,379       1,894,228  

Oracle Corp.

    42,350       4,485,712  

Paycor HCM, Inc. *

    1,507       34,405  

PTC, Inc. *

    2,611       369,926  

Pure Storage, Inc. Class A *

    3,086       109,923  

Qorvo, Inc. *

    4,827       460,834  

QUALCOMM, Inc.

    6,677       741,548  

Roper Technologies, Inc.

    4,997       2,419,947  

Salesforce, Inc. *

    11,011       2,232,811  

Science Applications International Corp.

    2,621       276,620  

SentinelOne, Inc. Class A *

    8,204       138,319  

Skyworks Solutions, Inc.

    7,444       733,904  

SS&C Technologies Holdings, Inc.

    10,472       550,199  

Take-Two Interactive Software, Inc. *

    7,793       1,094,059  

Teradyne, Inc.

    1,311       131,703  

Texas Instruments, Inc.

    25,412       4,040,762  

Twilio, Inc. Class A *

    6,683       391,156  

Tyler Technologies, Inc. *

    511       197,318  

UiPath, Inc. Class A *

    4,406       75,387  

Unity Software, Inc. *

    8,089       253,914  

Western Digital Corp. *

    14,814       675,963  

Wolfspeed, Inc. *

    5,947       226,581  

Zebra Technologies Corp. Class A *

    2,016       476,844  

Zoom Video Communications, Inc. Class A *

    11,961       836,552  

ZoomInfo Technologies, Inc. *

    7,585       124,394  
   

 

 

 
    72,923,337  
   

 

 

 

Utilities - 4.8%

 

AES Corp.

    13,082       198,846  

Alliant Energy Corp.

    11,872       575,198  

Ameren Corp.

    12,347       923,926  

American Electric Power Co., Inc.

    24,350       1,831,607  

American Water Works Co., Inc.

    9,209       1,140,351  

Atmos Energy Corp.

    6,748       714,816  

Avangrid, Inc.

    3,279       98,927  

Brookfield Renewable Corp. Class A

    5,909       141,461  

CenterPoint Energy, Inc.

    29,605       794,894  

Clearway Energy, Inc. Class A

    1,745       34,760  

Clearway Energy, Inc. Class C

    4,123       87,243  

CMS Energy Corp.

    13,608       722,721  

Consolidated Edison, Inc.

    16,400       1,402,692  

Constellation Energy Corp.

    15,486       1,689,213  

Dominion Energy, Inc.

    39,517       1,765,224  

DTE Energy Co.

    9,721       965,101  

Duke Energy Corp.

    36,448       3,216,901  

Edison International

    17,864       1,130,613  

Entergy Corp.

    9,967       921,948  

Essential Utilities, Inc.

    11,280       387,242  

Evergy, Inc.

    10,522       533,465  

Eversource Energy

    16,469       957,672  

Exelon Corp.

    46,992       1,775,828  

FirstEnergy Corp.

    25,632       876,102  

Hawaiian Electric Industries, Inc.

    5,387       66,314  

IDACORP, Inc.

    2,342       219,328  

National Fuel Gas Co.

    4,477       232,401  

NextEra Energy, Inc.

    95,728       5,484,257  

NiSource, Inc.

    20,026       494,242  

NRG Energy, Inc.

    10,920       420,638  

OGE Energy Corp.

    9,600       319,968  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

256

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

Value

 

PG&E Corp. *

    94,434       $1,523,220  

Pinnacle West Capital Corp.

    5,484       404,061  

PPL Corp.

    34,676       816,967  

Public Service Enterprise Group, Inc.

    23,505       1,337,670  

Sempra

    29,785       2,026,274  

Southern Co.

    51,526       3,334,763  

UGI Corp.

    9,820       225,860  

Vistra Corp.

    12,483       414,186  

WEC Energy Group, Inc.

    14,914       1,201,323  

Xcel Energy, Inc.

    26,043       1,490,180  
   

 

 

 
    42,898,403  
   

 

 

 

Total Common Stocks
(Cost $819,752,781)

      883,279,417  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.7%

 

iShares Russell 1000 Value

    103,290       15,681,488  
   

 

 

 

Total Exchange-Traded Funds
(Cost $16,277,247)

      15,681,488  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.4%

 

Repurchase Agreements - 0.4%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $3,966,847; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $4,044,520)

    $3,965,211       3,965,211  
   

 

 

 

Total Short-Term Investments
(Cost $3,965,211)

      3,965,211  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $839,995,239)

      902,926,116  
   

 

 

 

DERIVATIVES - (0.0%)

      (182,646
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

      923,403  
   

 

 

 

NET ASSETS - 100.0%

      $903,666,873  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1,587 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

257

PACIFIC SELECT FUND

PD LARGE-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini Standard & Poor’s 500 Index

     12/23          12              $2,704,939        $2,595,299        ($109,640

CME E-Mini Standard & Poor’s MidCap 400 Index

     12/23          9              2,341,366        2,268,360        (73,006
                

 

 

 

Total Futures Contracts

                   ($182,646
                

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted
Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $33,511,770        $33,511,770        $-        $-  
 

Communications

     55,152,763        55,152,763        -        -  
 

Consumer, Cyclical

     64,237,175        64,237,175        -        -  
 

Consumer, Non-Cyclical

     213,338,108        213,338,108        -        -  
 

Energy

     81,936,413        81,936,413        -        -  
 

Financial

     208,165,892        208,165,892        -        -  
 

Industrial

     111,115,556        111,113,969        1,587        -  
 

Technology

     72,923,337        72,923,337        -        -  
 

Utilities

     42,898,403        42,898,403        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     883,279,417        883,277,830        1,587        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     15,681,488        15,681,488        -        -  
 

Short-Term Investments

     3,965,211        -           3,965,211        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     902,926,116        898,959,318        3,966,798        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (182,646      (182,646      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (182,646      (182,646      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $902,743,470        $898,776,672        $3,966,798        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

258

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

COMMON STOCKS - 98.4%

 

Basic Materials - 3.7%

 

Albemarle Corp.

    3,673       $624,557  

Alcoa Corp.

    5,739       166,775  

Ashland, Inc.

    1,500       122,520  

Axalta Coating Systems Ltd. *

    7,075       190,318  

Celanese Corp.

    3,143       394,509  

CF Industries Holdings, Inc.

    6,217       533,046  

Chemours Co.

    4,804       134,752  

Cleveland-Cliffs, Inc. *

    16,158       252,550  

DuPont de Nemours, Inc.

    14,481       1,080,138  

Eastman Chemical Co.

    3,770       289,234  

Element Solutions, Inc.

    7,258       142,329  

FMC Corp.

    3,971       265,938  

Huntsman Corp.

    5,284       128,930  

International Flavors & Fragrances, Inc.

    8,121       553,609  

International Paper Co.

    11,013       390,631  

LyondellBasell Industries NV Class A

    8,229       779,286  

Mosaic Co.

    10,524       374,654  

MP Materials Corp. *

    3,386       64,673  

NewMarket Corp.

    186       84,637  

Nucor Corp.

    7,951       1,243,139  

Olin Corp.

    4,105       205,168  

PPG Industries, Inc.

    7,396       960,001  

Reliance Steel & Aluminum Co.

    1,859       487,486  

Royal Gold, Inc.

    2,085       221,698  

RPM International, Inc.

    4,044       383,412  

SSR Mining, Inc. (Canada)

    6,705       89,109  

Steel Dynamics, Inc.

    5,109       547,787  

U.S. Steel Corp.

    6,853       222,585  

Valvoline, Inc.

    5,217       168,196  

Westlake Corp.

    984       122,675  
   

 

 

 
    11,224,342  
   

 

 

 

Communications - 5.1%

 

Cable One, Inc.

    172       105,890  

CDW Corp.

    4,254       858,287  

Ciena Corp. *

    4,548       214,939  

Corning, Inc.

    24,194       737,191  

Coupang, Inc. * (South Korea)

    34,848       592,416  

DISH Network Corp. Class A *

    8,156       47,794  

DoorDash, Inc. Class A *

    9,482       753,535  

eBay, Inc.

    16,784       740,007  

Etsy, Inc. *

    3,902       251,991  

Expedia Group, Inc. *

    4,567       470,721  

F5, Inc. *

    1,916       308,744  

FactSet Research Systems, Inc.

    1,220       533,457  

Fox Corp. Class A

    8,387       261,674  

Fox Corp. Class B

    4,231       122,191  

Frontier Communications Parent, Inc. *

    7,446       116,530  

GCI Liberty, Inc. (Escrow) * W ±

    4,166       —    

Gen Digital, Inc.

    17,615       311,433  

GoDaddy, Inc. Class A *

    4,903       365,175  

IAC, Inc. *

    2,329       117,358  

Interpublic Group of Cos., Inc.

    12,259       351,343  

Iridium Communications, Inc.

    3,993       181,642  

Juniper Networks, Inc.

    10,120       281,235  

Liberty Broadband Corp. Class A *

    464       42,182  

Liberty Broadband Corp. Class C *

    3,703       338,158  

Liberty Media Corp.- Liberty Formula One Class A *

    669       37,825  

Liberty Media Corp.- Liberty Formula One Class C *

    6,167       384,204  

Liberty Media Corp.- Liberty SiriusXM
Class A *

    2,443       62,174  

Liberty Media Corp.- Liberty SiriusXM Class C *

    4,671       118,924  
   

Shares

   

Value

 

Lyft, Inc. Class A *

    10,620       $111,935  

Match Group, Inc. *

    8,864       347,247  

New York Times Co. Class A

    5,138       211,686  

News Corp. Class A

    12,105       242,826  

News Corp. Class B

    3,397       70,895  

Nexstar Media Group, Inc.

    1,101       157,850  

Okta, Inc. *

    4,776       389,292  

Omnicom Group, Inc.

    6,275       467,362  

Paramount Global Class B

    18,342       236,612  

Pinterest, Inc. Class A *

    18,868       510,002  

Robinhood Markets, Inc. Class A *

    21,107       207,060  

Roku, Inc. *

    3,918       276,572  

Sirius XM Holdings, Inc.

    20,279       91,661  

Spotify Technology SA *

    4,459       689,540  

Trade Desk, Inc. Class A *

    13,908       1,086,910  

TripAdvisor, Inc. *

    3,324       55,112  

Ubiquiti, Inc.

    135       19,616  

VeriSign, Inc. *

    2,831       573,362  

Viasat, Inc. *

    3,696       68,228  

Warner Bros Discovery, Inc. *

    69,257       752,131  

Wayfair, Inc. Class A *

    2,567       155,483  

Zillow Group, Inc. Class A *

    1,638       73,366  

Zillow Group, Inc. Class C *

    4,911       226,692  
   

 

 

 
    15,728,460  
   

 

 

 

Consumer, Cyclical - 12.7%

 

Advance Auto Parts, Inc.

    1,806       101,010  

Alaska Air Group, Inc. *

    4,038       149,729  

Allison Transmission Holdings, Inc.

    2,923       172,632  

AMC Entertainment Holdings, Inc. Class A *

    1,906       15,229  

American Airlines Group, Inc. *

    20,653       264,565  

Aptiv PLC *

    8,518       839,790  

Aramark

    7,445       258,342  

AutoNation, Inc. *

    923       139,742  

Bath & Body Works, Inc.

    7,285       246,233  

Best Buy Co., Inc.

    6,196       430,436  

BJ’s Wholesale Club Holdings, Inc. *

    4,229       301,824  

BorgWarner, Inc.

    7,417       299,424  

Boyd Gaming Corp.

    2,362       143,680  

Brunswick Corp.

    2,276       179,804  

Burlington Stores, Inc. *

    2,055       278,042  

Caesars Entertainment, Inc. *

    6,540       303,129  

Capri Holdings Ltd. *

    3,613       190,080  

CarMax, Inc. *

    5,023       355,277  

Carnival Corp. *

    31,609       433,675  

Carter’s, Inc.

    1,089       75,304  

Casey’s General Stores, Inc.

    1,184       321,480  

Cava Group, Inc. *

    511       15,652  

Choice Hotels International, Inc.

    924       113,199  

Churchill Downs, Inc.

    2,261       262,366  

Columbia Sportswear Co.

    1,183       87,660  

Copart, Inc. *

    27,081       1,166,920  

Core & Main, Inc. Class A *

    3,265       94,195  

Crocs, Inc. *

    1,950       172,049  

Cummins, Inc.

    4,471       1,021,445  

Darden Restaurants, Inc.

    3,839       549,822  

Deckers Outdoor Corp. *

    833       428,237  

Delta Air Lines, Inc.

    20,181       746,697  

Dick’s Sporting Goods, Inc.

    1,911       207,496  

Dolby Laboratories, Inc. Class A

    1,912       151,545  

Dollar Tree, Inc. *

    6,634       706,189  

Domino’s Pizza, Inc.

    1,125       426,139  

DR Horton, Inc.

    9,817       1,055,033  

DraftKings, Inc. Class A *

    13,294       391,375  

Fastenal Co.

    17,991       983,028  

Ferguson PLC

    6,563       1,079,417  

Five Below, Inc. *

    1,742       280,288  

Floor & Decor Holdings, Inc. Class A *

    3,309       299,464  

Freshpet, Inc. *

    1,473       97,041  

GameStop Corp. Class A *

    8,684       142,939  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Gap, Inc.

    6,332       $67,309  

Gentex Corp.

    7,450       242,423  

Genuine Parts Co.

    4,461       644,079  

Harley-Davidson, Inc.

    3,985       131,744  

Hasbro, Inc.

    4,154       274,746  

Hilton Worldwide Holdings, Inc.

    8,117       1,219,011  

Hyatt Hotels Corp. Class A

    1,412       149,785  

Kohl’s Corp.

    3,579       75,016  

Lear Corp.

    1,867       250,551  

Leggett & Platt, Inc.

    4,020       102,148  

Lennar Corp. Class A

    7,831       878,873  

Lennar Corp. Class B

    398       40,688  

Liberty Media Corp. -Liberty Live Class A *

    638       20,365  

Liberty Media Corp. -Liberty Live Class C *

    1,419       45,550  

Lithia Motors, Inc.

    860       253,984  

Live Nation Entertainment, Inc. *

    4,976       413,207  

LKQ Corp.

    8,471       419,399  

Lucid Group, Inc. *

    24,197       135,261  

Macy’s, Inc.

    8,852       102,772  

Madison Square Garden Sports Corp.

    558       98,375  

Marriott Vacations Worldwide Corp.

    1,111       111,800  

Mattel, Inc. *

    11,191       246,538  

MGM Resorts International

    9,257       340,287  

MSC Industrial Direct Co., Inc. Class A

    1,490       146,244  

Murphy USA, Inc.

    632       215,973  

Newell Brands, Inc.

    12,166       109,859  

Nordstrom, Inc.

    3,642       54,411  

Norwegian Cruise Line Holdings Ltd. *

    13,440       221,491  

NVR, Inc. *

    92       548,624  

Ollie’s Bargain Outlet Holdings, Inc. *

    2,001       154,437  

PACCAR, Inc.

    16,200       1,377,324  

Peloton Interactive, Inc. Class A *

    10,032       50,662  

Penn Entertainment, Inc. *

    4,643       106,557  

Penske Automotive Group, Inc.

    658       109,925  

Petco Health & Wellness Co., Inc. *

    2,619       10,712  

Phinia, Inc.

    1,520       40,721  

Planet Fitness, Inc. Class A *

    2,738       134,655  

Polaris, Inc.

    1,726       179,746  

Pool Corp.

    1,208       430,169  

PulteGroup, Inc.

    6,899       510,871  

PVH Corp.

    2,018       154,397  

QuantumScape Corp. *

    8,632       57,748  

Ralph Lauren Corp.

    1,239       143,836  

RH *

    523       138,260  

Rivian Automotive, Inc. Class A *

    20,976       509,297  

Ross Stores, Inc.

    10,603       1,197,609  

Royal Caribbean Cruises Ltd. *

    7,349       677,137  

Scotts Miracle-Gro Co.

    1,314       67,908  

SiteOne Landscape Supply, Inc. *

    1,414       231,118  

Skechers USA, Inc. Class A *

    4,183       204,758  

Southwest Airlines Co.

    18,906       511,785  

Tapestry, Inc.

    7,504       215,740  

Tempur Sealy International, Inc.

    5,304       229,875  

Texas Roadhouse, Inc.

    2,127       204,405  

Thor Industries, Inc.

    1,652       157,155  

TKO Group Holdings, Inc.

    1,393       117,096  

Toll Brothers, Inc.

    3,392       250,872  

Tractor Supply Co.

    3,483       707,223  

Travel & Leisure Co.

    2,359       86,646  

Ulta Beauty, Inc. *

    1,591       635,525  

Under Armour, Inc. Class A *

    6,133       42,011  

Under Armour, Inc. Class C *

    6,180       39,428  

United Airlines Holdings, Inc. *

    10,389       439,455  

Vail Resorts, Inc.

    1,209       268,265  

VF Corp.

    11,133       196,720  

Victoria’s Secret, Inc. *

    2,640       44,035  

Walgreens Boots Alliance, Inc.

    22,786       506,761  

Watsco, Inc.

    1,056       398,872  

Wendy’s Co.

    5,590       114,092  

WESCO International, Inc.

    1,407       202,355  

Whirlpool Corp.

    1,701       227,424  
   

Shares

   

Value

 

Williams-Sonoma, Inc.

    2,004       $311,422  

Wingstop, Inc.

    969       174,265  

WW Grainger, Inc.

    1,406       972,727  

Wyndham Hotels & Resorts, Inc.

    2,687       186,854  

Wynn Resorts Ltd.

    3,303       305,230  

YETI Holdings, Inc. *

    2,777       133,907  

Yum! Brands, Inc.

    8,845       1,105,094  
   

 

 

 
    38,811,222  
 

 

 

 

Consumer, Non-Cyclical - 18.1%

 

10X Genomics, Inc. Class A *

    2,802       115,583  

Acadia Healthcare Co., Inc. *

    2,855       200,735  

ADT, Inc.

    6,803       40,818  

Affirm Holdings, Inc. *

    6,675       141,977  

agilon health, Inc. *

    8,882       157,744  

Albertsons Cos., Inc. Class A

    13,244       301,301  

Align Technology, Inc. *

    2,428       741,317  

Alnylam Pharmaceuticals, Inc. *

    3,937       697,243  

Amedisys, Inc. *

    1,042       97,323  

Apellis Pharmaceuticals, Inc. *

    3,033       115,375  

Avantor, Inc. *

    21,457       452,314  

Avery Dennison Corp.

    2,516       459,598  

Avis Budget Group, Inc. *

    665       119,494  

Azenta, Inc. *

    2,008       100,782  

Baxter International, Inc.

    16,079       606,821  

Bio-Rad Laboratories, Inc. Class A *

    668       239,445  

Bio-Techne Corp.

    4,948       336,810  

Biogen, Inc. *

    4,546       1,168,367  

BioMarin Pharmaceutical, Inc. *

    5,951       526,544  

Block, Inc. *

    17,074       755,695  

Booz Allen Hamilton Holding Corp.

    4,052       442,762  

Boston Beer Co., Inc. Class A *

    304       118,417  

Bright Horizons Family Solutions, Inc. *

    1,846       150,375  

Brown-Forman Corp. Class A

    1,481       86,046  

Brown-Forman Corp. Class B

    5,847       337,313  

Bruker Corp.

    3,381       210,636  

Bunge Ltd.

    4,666       505,095  

Campbell Soup Co.

    6,082       249,849  

Cardinal Health, Inc.

    8,067       700,377  

Catalent, Inc. *

    5,718       260,341  

Celsius Holdings, Inc. *

    1,515       259,974  

Cencora, Inc.

    5,089       915,867  

Certara, Inc. *

    3,783       55,005  

Charles River Laboratories International, Inc. *

    1,614       316,312  

Chemed Corp.

    467       242,700  

Church & Dwight Co., Inc.

    7,770       711,965  

Cintas Corp.

    2,737       1,316,524  

Clarivate PLC *

    15,559       104,401  

Clorox Co.

    3,933       515,459  

Conagra Brands, Inc.

    15,129       414,837  

Cooper Cos., Inc.

    1,545       491,325  

Corteva, Inc.

    22,512       1,151,714  

CoStar Group, Inc. *

    12,744       979,886  

Coty, Inc. Class A *

    11,550       126,704  

Darling Ingredients, Inc. *

    5,039       263,036  

DaVita, Inc. *

    1,737       164,199  

Dentsply Sirona, Inc.

    6,721       229,589  

Dexcom, Inc. *

    12,214       1,139,566  

Driven Brands Holdings, Inc. *

    2,024       25,482  

Dun & Bradstreet Holdings, Inc.

    8,184       81,758  

Elanco Animal Health, Inc. *

    15,695       176,412  

Encompass Health Corp.

    3,141       210,950  

Enovis Corp. *

    1,648       86,899  

Envista Holdings Corp. *

    5,269       146,900  

Equifax, Inc.

    3,876       710,006  

Euronet Worldwide, Inc. *

    1,435       113,910  

Exact Sciences Corp. *

    5,678       387,353  

Exelixis, Inc. *

    10,196       222,783  

FleetCor Technologies, Inc. *

    2,286       583,707  

Flowers Foods, Inc.

    6,115       135,631  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

260

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September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Fortrea Holdings, Inc. *

    2,601       $74,363  

FTI Consulting, Inc. *

    1,064       189,828  

Gartner, Inc. *

    2,415       829,818  

Ginkgo Bioworks Holdings, Inc. *

    49,994       90,489  

Global Payments, Inc.

    8,246       951,506  

Globus Medical, Inc. Class A *

    3,760       186,684  

Grand Canyon Education, Inc. *

    991       115,828  

Grocery Outlet Holding Corp. *

    2,871       82,828  

H&R Block, Inc.

    4,860       209,272  

Henry Schein, Inc. *

    4,144       307,692  

Hertz Global Holdings, Inc. *

    4,378       53,631  

Hologic, Inc. *

    7,727       536,254  

Horizon Therapeutics PLC *

    7,124       824,176  

Hormel Foods Corp.

    9,205       350,066  

ICON PLC *

    2,592       638,280  

ICU Medical, Inc. *

    602       71,644  

IDEXX Laboratories, Inc. *

    2,600       1,136,902  

Illumina, Inc. *

    5,029       690,381  

Incyte Corp. *

    5,862       338,648  

Ingredion, Inc.

    2,100       206,640  

Inspire Medical Systems, Inc. *

    919       182,366  

Insulet Corp. *

    2,204       351,516  

Integra LifeSciences Holdings Corp. *

    2,353       89,861  

Ionis Pharmaceuticals, Inc. *

    4,351       197,361  

IQVIA Holdings, Inc. *

    5,821       1,145,282  

J M Smucker Co.

    3,123       383,848  

Jazz Pharmaceuticals PLC *

    1,941       251,243  

Karuna Therapeutics, Inc. *

    1,137       192,255  

Kellogg Co.

    8,264       491,791  

Kroger Co.

    20,551       919,657  

Laboratory Corp. of America Holdings

    2,814       565,755  

Lamb Weston Holdings, Inc.

    4,622       427,350  

ManpowerGroup, Inc.

    1,642       120,391  

Maravai LifeSciences Holdings, Inc. Class A *

    3,574       35,740  

MarketAxess Holdings, Inc.

    1,177       251,454  

Masimo Corp. *

    1,365       119,683  

McCormick & Co., Inc.

    7,993       604,591  

Medpace Holdings, Inc. *

    746       180,629  

Mirati Therapeutics, Inc. *

    1,453       63,293  

Mister Car Wash, Inc. *

    2,227       12,271  

Molina Healthcare, Inc. *

    1,837       602,334  

Molson Coors Beverage Co. Class B

    5,558       353,433  

Morningstar, Inc.

    812       190,203  

Natera, Inc. *

    3,323       147,043  

Neurocrine Biosciences, Inc. *

    3,073       345,713  

Novocure Ltd. *

    3,138       50,679  

Olaplex Holdings, Inc. *

    5,197       10,134  

Organon & Co.

    8,198       142,317  

Paylocity Holding Corp. *

    1,335       242,570  

Penumbra, Inc. *

    1,153       278,922  

Performance Food Group Co. *

    4,872       286,766  

Perrigo Co. PLC

    4,337       138,567  

Pilgrim’s Pride Corp. *

    1,098       25,067  

Post Holdings, Inc. *

    1,733       148,587  

Premier, Inc. Class A

    3,496       75,164  

QIAGEN NV *

    7,230       292,815  

Quanta Services, Inc.

    4,526       846,679  

Quest Diagnostics, Inc.

    3,562       434,065  

QuidelOrtho Corp. *

    1,620       118,325  

R1 RCM, Inc. *

    4,978       75,018  

RB Global, Inc. (Canada)

    5,775       360,938  

Repligen Corp. *

    1,765       280,653  

ResMed, Inc.

    4,618       682,864  

Revvity, Inc.

    4,016       444,571  

Reynolds Consumer Products, Inc.

    1,768       45,314  

Robert Half, Inc.

    3,344       245,048  

Roivant Sciences Ltd. *

    10,993       128,398  

Rollins, Inc.

    8,075       301,440  

Royalty Pharma PLC Class A

    11,808       320,469  

Sarepta Therapeutics, Inc. *

    2,844       344,750  

Seaboard Corp.

    8       30,024  
   

Shares

   

Value

 

Seagen, Inc. *

    4,412       $936,006  

Service Corp. International

    4,576       261,473  

Shift4 Payments, Inc. Class A *

    1,652       91,471  

Shockwave Medical, Inc. *

    1,153       229,562  

Sotera Health Co. *

    3,217       48,191  

Spectrum Brands Holdings, Inc.

    1,297       101,620  

STERIS PLC

    3,113       683,054  

Tandem Diabetes Care, Inc. *

    2,077       43,139  

Teladoc Health, Inc. *

    5,259       97,765  

Teleflex, Inc.

    1,494       293,437  

Tenet Healthcare Corp. *

    3,209       211,441  

Toast, Inc. Class A *

    11,264       210,975  

TransUnion

    6,141       440,862  

Tyson Foods, Inc. Class A

    8,659       437,193  

U-Haul Holding Co.

    3,173       166,233  

U-Haul Holding Co. *

    213       11,623  

U.S. Foods Holding Corp. *

    7,204       285,999  

Ultragenyx Pharmaceutical, Inc. *

    2,174       77,503  

United Rentals, Inc.

    2,161       960,716  

United Therapeutics Corp. *

    1,435       324,123  

Universal Health Services, Inc. Class B

    1,927       242,282  

Verisk Analytics, Inc.

    4,500       1,063,080  

Viatris, Inc.

    38,043       375,104  

Waters Corp. *

    1,862       510,579  

West Pharmaceutical Services, Inc.

    2,330       874,239  

WEX, Inc. *

    1,359       255,614  

WillScot Mobile Mini Holdings Corp. *

    6,253       260,062  

Zimmer Biomet Holdings, Inc.

    6,602       740,876  
   

 

 

 
    55,411,710  
 

 

 

 

Energy - 5.7%

 

Antero Midstream Corp.

    10,932       130,965  

Antero Resources Corp. *

    8,990       228,166  

APA Corp.

    9,866       405,493  

Baker Hughes Co.

    31,972       1,129,251  

Cheniere Energy, Inc.

    7,656       1,270,590  

Chesapeake Energy Corp.

    4,034       347,852  

Coterra Energy, Inc.

    23,621       638,948  

Devon Energy Corp.

    20,206       963,826  

Diamondback Energy, Inc.

    5,701       882,971  

DTE Midstream LLC *

    3,134       165,851  

Enphase Energy, Inc. *

    4,232       508,475  

EQT Corp.

    11,464       465,209  

First Solar, Inc. *

    3,385       546,982  

Halliburton Co.

    28,357       1,148,458  

Hess Corp.

    8,782       1,343,646  

HF Sinclair Corp.

    4,488       255,502  

Marathon Oil Corp.

    19,766       528,741  

New Fortress Energy, Inc.

    2,109       69,133  

NOV, Inc.

    12,472       260,665  

ONEOK, Inc.

    14,075       892,777  

Ovintiv, Inc.

    8,120       386,268  

Phillips 66

    14,583       1,752,147  

Plug Power, Inc. *

    16,936       128,714  

Range Resources Corp.

    7,443       241,228  

Southwestern Energy Co. *

    34,876       224,950  

Sunrun, Inc. *

    6,907       86,752  

Targa Resources Corp.

    7,111       609,555  

TechnipFMC PLC (United Kingdom)

    13,956       283,865  

Texas Pacific Land Corp.

    184       335,535  

Williams Cos., Inc.

    38,469       1,296,021  
   

 

 

 
    17,528,536  
 

 

 

 

Financial - 19.6%

 

Affiliated Managers Group, Inc.

    1,156       150,673  

Aflac, Inc.

    19,024       1,460,092  

AGNC Investment Corp. REIT

    18,405       173,743  

Agree Realty Corp. REIT

    2,860       157,986  

Air Lease Corp.

    3,146       123,984  

Alexandria Real Estate Equities, Inc. REIT

    5,455       546,046  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

261

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September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Allstate Corp.

    8,258       $920,024  

Ally Financial, Inc.

    8,603       229,528  

American Financial Group, Inc.

    2,313       258,293  

American Homes 4 Rent Class A REIT

    10,588       356,710  

Americold Realty Trust, Inc. REIT

    8,586       261,100  

Ameriprise Financial, Inc.

    3,316       1,093,219  

Annaly Capital Management, Inc. REIT

    15,697       295,261  

Apartment Income REIT Corp.

    4,526       138,948  

Apollo Global Management, Inc.

    16,491       1,480,232  

Arch Capital Group Ltd. *

    11,376       906,781  

Ares Management Corp. Class A

    5,008       515,173  

Arthur J Gallagher & Co.

    6,694       1,525,763  

Assurant, Inc.

    1,681       241,358  

Assured Guaranty Ltd.

    1,711       103,550  

AvalonBay Communities, Inc. REIT

    4,445       763,384  

Axis Capital Holdings Ltd.

    2,368       133,484  

Bank of New York Mellon Corp.

    24,681       1,052,645  

Bank OZK

    3,347       124,073  

Blue Owl Capital, Inc.

    14,433       187,052  

BOK Financial Corp.

    833       66,623  

Boston Properties, Inc. REIT

    4,987       296,627  

Brighthouse Financial, Inc. *

    2,012       98,467  

Brixmor Property Group, Inc. REIT

    9,549       198,428  

Brown & Brown, Inc.

    7,540       526,594  

Camden Property Trust REIT

    3,299       312,019  

Carlyle Group, Inc.

    6,734       203,097  

Cboe Global Markets, Inc.

    3,345       522,522  

CBRE Group, Inc. Class A *

    9,743       719,618  

Cincinnati Financial Corp.

    4,883       499,482  

Citizens Financial Group, Inc.

    14,984       401,571  

CNA Financial Corp.

    888       34,943  

Coinbase Global, Inc. Class A *

    5,300       397,924  

Columbia Banking System, Inc.

    6,323       128,357  

Comerica, Inc.

    4,207       174,801  

Commerce Bancshares, Inc.

    3,666       175,895  

Cousins Properties, Inc. REIT

    4,928       100,383  

Credit Acceptance Corp. *

    195       89,723  

CubeSmart REIT

    7,112       271,181  

Cullen/Frost Bankers, Inc.

    1,899       173,208  

Digital Realty Trust, Inc. REIT

    9,450       1,143,639  

Discover Financial Services

    7,895       683,944  

East West Bancorp, Inc.

    4,465       235,350  

EastGroup Properties, Inc. REIT

    1,394       232,143  

EPR Properties REIT

    2,430       100,942  

Equitable Holdings, Inc.

    11,366       322,681  

Equity LifeStyle Properties, Inc. REIT

    5,649       359,898  

Equity Residential REIT

    11,864       696,535  

Essex Property Trust, Inc. REIT

    2,030       430,543  

Evercore, Inc. Class A

    1,152       158,838  

Everest Group Ltd.

    1,346       500,268  

Extra Space Storage, Inc. REIT

    6,577       799,632  

Federal Realty Investment Trust REIT

    2,570       232,919  

Fidelity National Financial, Inc.

    8,249       340,684  

Fifth Third Bancorp

    21,589       546,849  

First American Financial Corp.

    3,048       172,182  

First Citizens BancShares, Inc. Class A

    345       476,135  

First Hawaiian, Inc.

    4,158       75,052  

First Horizon Corp.

    17,032       187,693  

First Industrial Realty Trust, Inc. REIT

    4,201       199,926  

FNB Corp.

    10,851       117,082  

Franklin Resources, Inc.

    9,049       222,424  

Gaming & Leisure Properties, Inc. REIT

    8,002       364,491  

Globe Life, Inc.

    2,736       297,485  

Hanover Insurance Group, Inc.

    1,152       127,849  

Hartford Financial Services Group, Inc.

    9,686       686,834  

Healthcare Realty Trust, Inc. REIT

    12,128       185,195  

Healthpeak Properties, Inc. REIT

    17,400       319,464  

Highwoods Properties, Inc. REIT

    3,381       69,682  

Host Hotels & Resorts, Inc. REIT

    22,482       361,286  

Houlihan Lokey, Inc.

    1,603       171,713  

Howard Hughes Holdings, Inc. *

    1,063       78,800  
   

Shares

   

Value

 

Huntington Bancshares, Inc.

    45,745       $475,748  

Interactive Brokers Group, Inc. Class A

    3,173       274,655  

Invesco Ltd.

    11,284       163,844  

Invitation Homes, Inc. REIT

    19,440       616,054  

Iron Mountain, Inc. REIT

    9,210       547,534  

Janus Henderson Group PLC

    4,072       105,139  

Jefferies Financial Group, Inc.

    6,014       220,293  

Jones Lang LaSalle, Inc. *

    1,507       212,758  

Kemper Corp.

    1,831       76,957  

KeyCorp

    29,626       318,776  

Kilroy Realty Corp. REIT

    3,756       118,727  

Kimco Realty Corp. REIT

    19,242       338,467  

Kinsale Capital Group, Inc.

    694       287,406  

KKR & Co., Inc.

    20,398       1,256,517  

Lamar Advertising Co. Class A REIT

    2,763       230,628  

Lazard Ltd. Class A

    3,555       110,241  

Lincoln National Corp.

    5,136       126,808  

Loews Corp.

    5,849       370,300  

LPL Financial Holdings, Inc.

    2,481       589,610  

M&T Bank Corp.

    5,188       656,023  

Markel Group, Inc. *

    418       615,501  

Medical Properties Trust, Inc. REIT

    19,392       105,686  

MGIC Investment Corp.

    8,762       146,238  

Mid-America Apartment Communities, Inc. REIT

    3,693       475,104  

Nasdaq, Inc.

    10,680       518,941  

National Storage Affiliates Trust REIT

    2,428       77,065  

New York Community Bancorp, Inc.

    22,640       256,738  

NNN REIT, Inc. REIT

    5,768       203,841  

Northern Trust Corp.

    6,385       443,630  

NU Holdings Ltd. Class A * (Brazil)

    72,107       522,776  

Old Republic International Corp.

    8,303       223,683  

Omega Healthcare Investors, Inc. REIT

    7,446       246,909  

OneMain Holdings, Inc.

    3,418       137,028  

Park Hotels & Resorts, Inc. REIT

    6,563       80,856  

Pinnacle Financial Partners, Inc.

    2,421       162,304  

Popular, Inc.

    2,140       134,841  

Primerica, Inc.

    1,153       223,694  

Principal Financial Group, Inc.

    7,689       554,146  

Prosperity Bancshares, Inc.

    2,816       153,697  

Prudential Financial, Inc.

    11,578       1,098,636  

Raymond James Financial, Inc.

    5,987       601,274  

Rayonier, Inc. REIT

    4,731       134,644  

Realty Income Corp. REIT

    21,322       1,064,821  

Regency Centers Corp. REIT

    5,745       341,483  

Regions Financial Corp.

    29,726       511,287  

Reinsurance Group of America, Inc.

    2,114       306,932  

RenaissanceRe Holdings Ltd. (Bermuda)

    1,561       308,953  

Rexford Industrial Realty, Inc. REIT

    6,370       314,360  

Rithm Capital Corp. REIT

    15,582       144,757  

RLI Corp.

    1,297       176,249  

Rocket Cos., Inc. Class A *

    3,657       29,914  

Ryan Specialty Holdings, Inc. *

    3,016       145,974  

SBA Communications Corp. REIT

    3,372       674,973  

SEI Investments Co.

    3,252       195,868  

Simon Property Group, Inc. REIT

    10,240       1,106,227  

SLM Corp.

    7,219       98,323  

SoFi Technologies, Inc. *

    29,164       233,020  

Spirit Realty Capital, Inc. REIT

    4,531       151,924  

STAG Industrial, Inc. REIT

    5,724       197,535  

Starwood Property Trust, Inc. REIT

    9,442       182,703  

State Street Corp.

    10,068       674,153  

Stifel Financial Corp.

    3,272       201,032  

Sun Communities, Inc. REIT

    3,908       462,473  

Synchrony Financial

    13,172       402,668  

Synovus Financial Corp.

    4,690       130,382  

T Rowe Price Group, Inc.

    7,015       735,663  

TFS Financial Corp.

    1,778       21,016  

TPG, Inc.

    2,089       62,921  

Tradeweb Markets, Inc. Class A

    3,649       292,650  

UDR, Inc. REIT

    10,434       372,181  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

262

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PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Unum Group

    6,248       $307,339  

UWM Holdings Corp.

    2,763       13,401  

Ventas, Inc. REIT

    12,707       535,346  

VICI Properties, Inc. REIT

    31,633       920,520  

Virtu Financial, Inc. Class A

    3,027       52,276  

Vornado Realty Trust REIT

    5,645       128,029  

Voya Financial, Inc.

    3,116       207,058  

W R Berkley Corp.

    6,405       406,653  

Webster Financial Corp.

    5,519       222,471  

Welltower, Inc. REIT

    15,695       1,285,734  

Western Alliance Bancorp

    3,442       158,229  

Western Union Co.

    9,529       125,592  

Weyerhaeuser Co. REIT

    23,296       714,255  

White Mountains Insurance Group Ltd.

    74       110,681  

Willis Towers Watson PLC

    3,323       694,374  

Wintrust Financial Corp.

    1,974       149,037  

WP Carey, Inc. REIT

    6,742       364,607  

XP, Inc. Class A (Brazil)

    10,561       243,431  

Zions Bancorp NA

    4,696       163,843  
   

 

 

 
    60,045,758  
 

 

 

 

Industrial - 15.6%

 

Acuity Brands, Inc.

    968       164,860  

Advanced Drainage Systems, Inc.

    2,156       245,417  

AECOM

    4,162       345,612  

AGCO Corp.

    1,990       235,377  

Agilent Technologies, Inc.

    9,310       1,041,044  

Allegion PLC

    2,790       290,718  

Amcor PLC

    46,065       421,955  

AMETEK, Inc.

    7,253       1,071,703  

Amphenol Corp. Class A

    18,439       1,548,692  

AO Smith Corp.

    3,902       258,039  

AptarGroup, Inc.

    2,080       260,083  

Ardagh Group SA * W

    1,329       7,250  

Ardagh Metal Packaging SA

    4,302       13,465  

Armstrong World Industries, Inc.

    1,347       96,984  

Arrow Electronics, Inc. *

    1,822       228,187  

Avnet, Inc.

    2,956       142,450  

Axon Enterprise, Inc. *

    2,212       440,166  

AZEK Co., Inc. *

    3,970       118,068  

Ball Corp.

    9,798       487,744  

Berry Global Group, Inc.

    3,711       229,748  

Builders FirstSource, Inc. *

    4,049       504,060  

BWX Technologies, Inc.

    2,908       218,042  

Carlisle Cos., Inc.

    1,570       407,038  

Carrier Global Corp.

    26,337       1,453,802  

CH Robinson Worldwide, Inc.

    3,655       314,805  

ChargePoint Holdings, Inc. *

    8,238       40,943  

Clean Harbors, Inc.*

    1,575       263,592  

CNH Industrial NV (United Kingdom)

    31,081       376,080  

Cognex Corp.

    5,492       233,080  

Coherent Corp. *

    3,888       126,904  

Crane Co.

    1,459       129,618  

Crown Holdings, Inc.

    3,373       298,443  

Curtiss-Wright Corp.

    1,213       237,299  

Donaldson Co., Inc.

    3,849       229,554  

Dover Corp.

    4,437       619,006  

Eagle Materials, Inc.

    1,086       180,841  

EMCOR Group, Inc.

    1,491       313,692  

Esab Corp.

    1,837       128,994  

Expeditors International of Washington, Inc.

    4,807       551,026  

Flowserve Corp.

    4,222       167,909  

Fortive Corp.

    11,126       825,104  

Fortune Brands Innovations, Inc.

    4,019       249,821  

Garmin Ltd.

    4,887       514,112  

Gates Industrial Corp. PLC *

    3,512       40,774  

Generac Holdings, Inc. *

    1,934       210,729  

Graco, Inc.

    5,313       387,211  

Graphic Packaging Holding Co.

    9,701       216,138  

GXO Logistics, Inc. *

    3,720       218,178  
   

Shares

   

Value

 

Hayward Holdings, Inc. *

    4,284       $60,404  

HEICO Corp.

    1,434       232,208  

HEICO Corp. Class A

    2,540       328,219  

Hexcel Corp.

    2,697       175,683  

Howmet Aerospace, Inc.

    11,866       548,803  

Hubbell, Inc.

    1,704       534,051  

Huntington Ingalls Industries, Inc.

    1,246       254,907  

IDEX Corp.

    2,404       500,080  

Ingersoll Rand, Inc.

    12,736       811,538  

ITT, Inc.

    2,627       257,210  

Jabil, Inc.

    4,022       510,352  

Jacobs Solutions, Inc.

    4,001       546,137  

JB Hunt Transport Services, Inc.

    2,618       493,545  

Keysight Technologies, Inc. *

    5,644       746,758  

Kirby Corp. *

    1,929       159,721  

Knight-Swift Transportation Holdings, Inc.

    4,965       248,995  

Landstar System, Inc.

    1,140       201,712  

Lennox International, Inc.

    1,016       380,431  

Lincoln Electric Holdings, Inc.

    1,775       322,677  

Littelfuse, Inc.

    773       191,178  

Louisiana-Pacific Corp.

    1,954       107,998  

Martin Marietta Materials, Inc.

    1,942       797,152  

Masco Corp.

    7,150       382,168  

MasTec, Inc. *

    1,989       143,148  

MDU Resources Group, Inc.

    6,141       120,241  

Mercury Systems, Inc.*

    1,601       59,381  

Mettler-Toledo International, Inc. *

    684       757,920  

Middleby Corp. *

    1,691       216,448  

Mohawk Industries, Inc. *

    1,706       146,392  

MSA Safety, Inc.

    1,175       185,239  

National Instruments Corp.

    4,165       248,317  

Nordson Corp.

    1,819       405,946  

nVent Electric PLC

    5,230       277,138  

Old Dominion Freight Line, Inc.

    3,115       1,274,471  

Oshkosh Corp.

    2,080       198,494  

Otis Worldwide Corp.

    13,037       1,047,001  

Owens Corning

    2,855       389,451  

Packaging Corp. of America

    2,814       432,090  

Parker-Hannifin Corp.

    4,041       1,574,050  

Pentair PLC

    5,077       328,736  

RBC Bearings, Inc. *

    864       202,288  

Regal Rexnord Corp.

    2,103       300,477  

Republic Services, Inc.

    6,506       927,170  

Rockwell Automation, Inc.

    3,622       1,035,421  

Ryder System, Inc.

    1,367       146,201  

Saia, Inc. *

    844       336,461  

Schneider National, Inc. Class B

    1,758       48,679  

Sealed Air Corp.

    4,638       152,405  

Sensata Technologies Holding PLC

    4,840       183,049  

Silgan Holdings, Inc.

    2,541       109,543  

Snap-on, Inc.

    1,655       422,124  

Sonoco Products Co.

    3,139       170,605  

Spirit AeroSystems Holdings, Inc. Class A

    3,088       49,840  

Stanley Black & Decker, Inc.

    4,869       406,951  

Stericycle, Inc. *

    2,999       134,085  

TD SYNNEX Corp.

    1,349       134,711  

Teledyne Technologies, Inc. *

    1,482       605,516  

Tetra Tech, Inc.

    1,685       256,171  

Textron, Inc.

    6,257       488,922  

Timken Co.

    2,014       148,009  

TopBuild Corp. *

    1,007       253,361  

Toro Co.

    3,309       274,978  

Trane Technologies PLC

    7,244       1,469,880  

TransDigm Group, Inc. *

    1,657       1,397,066  

Trex Co., Inc. *

    3,453       212,808  

Trimble, Inc. *

    7,836       422,047  

Universal Display Corp.

    1,485       233,130  

Valmont Industries, Inc.

    669       160,700  

Vertiv Holdings Co.

    10,914       406,001  

Vontier Corp.

    5,038       155,775  

Vulcan Materials Co.

    4,170       842,423  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

263

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Westinghouse Air Brake Technologies Corp.

    5,671       $602,657  

Westrock Co.

    8,077       289,157  

Woodward, Inc.

    1,880       233,609  

XPO, Inc. *

    3,621       270,344  

Xylem, Inc.

    7,445       677,718  
   

 

 

 
    47,861,029  
 

 

 

 

Technology - 12.7%

 

Akamai Technologies, Inc. *

    4,894       521,407  

Allegro MicroSystems, Inc. * (Japan)

    2,157       68,895  

Alteryx, Inc. Class A *

    1,954       73,646  

Amdocs Ltd.

    3,783       319,626  

ANSYS, Inc. *

    2,730       812,311  

AppLovin Corp. Class A *

    6,644       265,494  

Aspen Technology, Inc. *

    898       183,425  

Bentley Systems, Inc. Class B

    6,110       306,478  

BILL Holdings, Inc. *

    3,261       354,047  

Broadridge Financial Solutions, Inc.

    3,678       658,546  

CACI International, Inc. Class A *

    717       225,088  

CCC Intelligent Solutions Holdings, Inc. *

    6,550       87,443  

Ceridian HCM Holding, Inc.*

    4,690       318,216  

Cirrus Logic, Inc. *

    1,788       132,240  

Cloudflare, Inc. Class A *

    9,147       576,627  

Cognizant Technology Solutions Corp. Class A

    16,026       1,085,601  

Concentrix Corp.

    1,335       106,947  

Confluent, Inc. Class A *

    5,932       175,647  

Crane NXT Co.

    1,450       80,577  

Crowdstrike Holdings, Inc. Class A *

    6,640       1,111,403  

Datadog, Inc. Class A *

    8,590       782,463  

DocuSign, Inc. *

    6,432       270,144  

DoubleVerify Holdings, Inc. *

    3,973       111,045  

Doximity, Inc. Class A *

    3,789       80,403  

Dropbox, Inc. Class A *

    7,984       217,404  

DXC Technology Co.*

    6,649       138,499  

Dynatrace, Inc. *

    7,606       355,428  

Elastic NV *

    2,365       192,133  

Electronic Arts, Inc.

    8,637       1,039,895  

Entegris, Inc.

    4,749       445,979  

EPAM Systems, Inc. *

    1,768       452,060  

Fair Isaac Corp. *

    760       660,083  

Fidelity National Information Services, Inc.

    18,663       1,031,504  

Five9, Inc. *

    2,297       147,697  

Genpact Ltd.

    5,714       206,847  

Gitlab, Inc. Class A *

    2,774       125,440  

GLOBALFOUNDRIES, Inc. *

    2,386       138,841  

Globant SA *

    1,311       259,381  

Guidewire Software, Inc. *

    2,601       234,090  

HashiCorp, Inc. Class A *

    3,007       68,650  

Hewlett Packard Enterprise Co.

    41,139       714,584  

HP, Inc.

    27,160       698,012  

HubSpot, Inc. *

    1,452       715,110  

Informatica, Inc. Class A *

    1,151       24,252  

IPG Photonics Corp. *

    908       92,198  

Jack Henry & Associates, Inc.

    2,313       349,587  

KBR, Inc.

    4,300       253,442  

Kyndryl Holdings, Inc. *

    7,234       109,233  

Lattice Semiconductor Corp. *

    4,331       372,163  

Leidos Holdings, Inc.

    4,341       400,067  

Lumentum Holdings, Inc. *

    2,232       100,842  

Manhattan Associates, Inc. *

    1,960       387,414  

Marvell Technology, Inc.

    27,019       1,462,538  

Microchip Technology, Inc.

    16,990       1,326,069  

MKS Instruments, Inc.

    2,120       183,465  

MongoDB, Inc. *

    2,063       713,509  

Monolithic Power Systems, Inc.

    1,443       666,666  

MSCI, Inc.

    2,430       1,246,784  

nCino, Inc. *

    2,267       72,091  

NCR Corp. *

    4,123       111,197  

NetApp, Inc.

    6,669       506,044  

New Relic, Inc.*

    1,734       148,465  
   

Shares

   

Value

 

Nutanix, Inc. Class A *

    7,303       $254,729  

ON Semiconductor Corp. *

    13,618       1,265,793  

Palantir Technologies, Inc. Class A *

    58,981       943,696  

Paychex, Inc.

    10,172       1,173,137  

Paycom Software, Inc.

    1,642       425,721  

Paycor HCM, Inc. *

    1,750       39,953  

Pegasystems, Inc.

    1,346       58,430  

Playtika Holding Corp.*

    767       7,386  

Procore Technologies, Inc. *

    2,532       165,390  

PTC, Inc.*

    3,643       516,140  

Pure Storage, Inc. Class A *

    8,942       318,514  

Qorvo, Inc.*

    3,069       292,997  

RingCentral, Inc. Class A *

    2,773       82,164  

ROBLOX Corp. Class A *

    14,601       422,845  

Science Applications International Corp.

    1,716       181,107  

SentinelOne, Inc. Class A *

    7,278       122,707  

Skyworks Solutions, Inc.

    5,057       498,570  

Smartsheet, Inc. Class A *

    4,054       164,025  

Splunk, Inc. *

    4,832       706,680  

SS&C Technologies Holdings, Inc.

    6,910       363,051  

Take-Two Interactive Software, Inc. *

    5,245       736,346  

Teradata Corp.*

    3,089       139,067  

Teradyne, Inc.

    4,957       497,980  

Twilio, Inc. Class A *

    5,383       315,067  

Tyler Technologies, Inc. *

    1,324       511,249  

UiPath, Inc. Class A *

    11,549       197,603  

Unity Software, Inc. *

    9,139       286,873  

Veeva Systems, Inc. Class A *

    4,563       928,342  

Western Digital Corp. *

    10,160       463,601  

Wolfspeed, Inc. *

    3,978       151,562  

Zebra Technologies Corp. Class A *

    1,628       385,071  

Zoom Video Communications, Inc. Class A *

    7,862       549,868  

ZoomInfo Technologies, Inc. *

    10,018       164,295  

Zscaler, Inc. *

    2,775       431,762  
   

 

 

 
    38,837,103  
 

 

 

 

Utilities - 5.2%

 

AES Corp.

    21,241       322,863  

Alliant Energy Corp.

    7,991       387,164  

Ameren Corp.

    8,330       623,334  

American Water Works Co., Inc.

    6,129       758,954  

Atmos Energy Corp.

    4,584       485,583  

Avangrid, Inc.

    2,307       69,602  

Brookfield Renewable Corp. Class A

    4,215       100,907  

CenterPoint Energy, Inc.

    20,074       538,987  

Clearway Energy, Inc. Class A

    1,129       22,490  

Clearway Energy, Inc. Class C

    2,667       56,434  

CMS Energy Corp.

    9,251       491,321  

Consolidated Edison, Inc.

    10,933       935,099  

Constellation Energy Corp.

    10,336       1,127,451  

DTE Energy Co.

    6,553       650,582  

Edison International

    11,889       752,455  

Entergy Corp.

    6,733       622,802  

Essential Utilities, Inc.

    7,719       264,993  

Evergy, Inc.

    7,082       359,057  

Eversource Energy

    11,088       644,767  

FirstEnergy Corp.

    17,322       592,066  

Hawaiian Electric Industries, Inc.

    3,290       40,500  

IDACORP, Inc.

    1,635       153,118  

National Fuel Gas Co.

    2,881       149,553  

NiSource, Inc.

    13,147       324,468  

NRG Energy, Inc.

    7,338       282,660  

OGE Energy Corp.

    6,363       212,079  

PG&E Corp. *

    63,198       1,019,384  

Pinnacle West Capital Corp.

    3,600       265,248  

PPL Corp.

    23,477       553,118  

Public Service Enterprise Group, Inc.

    15,665       891,495  

UGI Corp.

    6,764       155,572  

Vistra Corp.

    11,651       386,580  

WEC Energy Group, Inc.

    9,926       799,539  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

264

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Xcel Energy, Inc.

    17,363       $993,511  
   

 

 

 
    16,033,736  
   

 

 

 

Total Common Stocks
(Cost $311,408,155)

      301,481,896  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.0%

 

iShares Russell Mid-Cap

    45,947       3,181,830  
   

 

 

 

Total Exchange-Traded Funds
(Cost $3,347,627)

      3,181,830  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.6%

 

Repurchase Agreements - 0.6%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $1,754,728; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $1,789,106)

    $1,754,005       1,754,005  
   

 

 

 

Total Short-Term Investments
(Cost $1,754,005)

      1,754,005  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $316,509,787)

      306,417,731  
   

 

 

 

DERIVATIVES - (0.0%)

      (64,292
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

      146,123  
   

 

 

 

NET ASSETS - 100.0%

      $306,499,562  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $7,250 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

265

PACIFIC SELECT FUND

PD MID-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME E-Mini Standard & Poor’s 500 Index

   12/23        3              $675,761        $648,825        ($26,936

CME E-Mini Standard & Poor’s MidCap 400 Index

   12/23        5              1,297,556        1,260,200        ($37,356
                

 

 

 

Total Futures Contracts

 

     ($64,292
                

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Common Stocks

           
 

Basic Materials

     $11,224,342        $11,224,342        $-        $-  
 

Communications

     15,728,460        15,728,460        -        -  
 

Consumer, Cyclical

     38,811,222        38,811,222        -        -  
 

Consumer, Non-Cyclical

     55,411,710        55,411,710        -        -  
 

Energy

     17,528,536        17,528,536        -        -  
 

Financial

     60,045,758        60,045,758        -        -  
 

Industrial

     47,861,029        47,853,779        7,250        -  
 

Technology

     38,837,103        38,837,103        -        -  
 

Utilities

     16,033,736        16,033,736        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     301,481,896        301,474,646        7,250        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     3,181,830        3,181,830        -        -  
 

Short-Term Investments

     1,754,005        -        1,754,005        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     306,417,731        304,656,476        1,761,255        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (64,292      (64,292      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (64,292      (64,292      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $306,353,439        $304,592,184        $1,761,255        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

266

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Chinook Therapeutics, Inc.- Contingent Value Rights * W

    869       $374  

Contra Aduro Biotechnologies, Inc.- Contingent Value Rights * W ±

    758       1,924  

OmniAb, Inc. $12.50 - Earn Out Shares

* W ±

    40       -  

OmniAb, Inc. $15.00 - Earn Out Shares

* W ±

    40       -  
   

 

 

 
      2,298  
   

 

 

 

Utilities - 0.0%

 

Gtx, Inc. - Contingent Value Rights * W ±

    33       34  
   

 

 

 

Total Rights
(Cost $407)

      2,332  
   

 

 

 

COMMON STOCKS - 98.1%

 

Basic Materials - 3.9%

 

5E Advanced Materials, Inc. *

    2,097       4,739  

American Vanguard Corp.

    257       2,809  

ATI, Inc. *

    6,942       285,663  

Balchem Corp.

    1,725       213,969  

Cabot Corp.

    2,991       207,187  

Century Aluminum Co. *

    2,770       19,916  

Codexis, Inc. *

    545       1,030  

Compass Minerals International, Inc.

    1,881       52,574  

Constellium SE *

    4,233       77,041  

Contango ORE, Inc. *

    89       1,614  

Dakota Gold Corp. *

    1,981       5,111  

Ecovyst, Inc. *

    1,102       10,844  

Energy Fuels, Inc. *

    7,421       61,001  

Hawkins, Inc.

    1,052       61,910  

HB Fuller Co.

    2,603       178,592  

Hecla Mining Co.

    7,049       27,562  

i-80 Gold Corp. * (Canada)

    917       1,403  

Ingevity Corp. *

    1,969       93,744  

Innospec, Inc.

    1,178       120,392  

Ivanhoe Electric, Inc. *

    3,069       36,521  

Kaiser Aluminum Corp.

    829       62,391  

Lightwave Logic, Inc. *

    6,323       28,264  

Livent Corp. *

    9,748       179,461  

Novagold Resources, Inc. * (Canada)

    13,193       50,661  

Oil-Dri Corp. of America

    71       4,384  

Orion SA (Germany)

    3,055       65,010  

Perpetua Resources Corp. *

    2,061       6,719  

Piedmont Lithium, Inc. *

    312       12,386  

Quaker Chemical Corp.

    749       119,840  

Rogers Corp. *

    684       89,925  

Sensient Technologies Corp.

    2,271       132,808  

Stepan Co.

    140       10,496  

Sylvamo Corp.

    1,946       85,507  

U.S. Lime & Minerals, Inc.

    114       22,914  
   

 

 

 
    2,334,388  
   

 

 

 

Communications - 3.9%

 

A10 Networks, Inc.

    3,887       58,422  

Anterix, Inc. *

    625       19,612  

AST SpaceMobile, Inc. *

    4,336       16,477  

Boston Omaha Corp. Class A *

    81       1,328  

Calix, Inc. *

    3,184       145,955  

Cambium Networks Corp. *

    616       4,515  

Cargurus, Inc. *

    5,262       92,190  

CarParts.com, Inc. *

    2,763       11,384  
   

Shares

   

Value

 

Cars.com, Inc. *

    3,639       $61,354  

Clearfield, Inc. *

    693       19,861  

Cogent Communications Holdings, Inc.

    1,480       91,612  

CommScope Holding Co., Inc. *

    11,283       37,911  

Consolidated Communications Holdings, Inc. *

    375       1,282  

Couchbase, Inc. *

    1,789       30,699  

Credo Technology Group Holding Ltd. *

    5,270       80,367  

DigitalBridge Group, Inc.

    2,820       49,576  

Entravision Communications Corp. Class A

    3,343       12,202  

ePlus, Inc. *

    94       5,971  

Eventbrite, Inc. Class A *

    3,702       36,502  

EverQuote, Inc. Class A *

    1,071       7,743  

EW Scripps Co. Class A *

    1,570       8,604  

Extreme Networks, Inc. *

    6,812       164,918  

Figs, Inc. Class A *

    6,210       36,639  

Gambling.com Group Ltd. * (Malta)

    498       6,514  

Globalstar, Inc. *

    33,116       43,382  

Gogo, Inc. *

    375       4,474  

Gray Television, Inc.

    338       2,339  

Grindr, Inc. * (Singapore)

    2,278       13,098  

Harmonic, Inc. *

    6,031       58,079  

HealthStream, Inc.

    510       11,006  

Hims & Hers Health, Inc. *

    6,726       42,307  

IDT Corp. Class B *

    668       14,729  

Infinera Corp. *

    10,545       44,078  

InterDigital, Inc.

    1,443       115,786  

Liquidity Services, Inc. *

    776       13,673  

Luna Innovations, Inc. *

    1,811       10,612  

Magnite, Inc. *

    2,999       22,612  

MediaAlpha, Inc. Class A *

    946       7,814  

Mondee Holdings, Inc. *

    2,171       7,750  

Nerdy, Inc. *

    3,448       12,758  

Nextdoor Holdings, Inc. *

    4,424       8,052  

Ooma, Inc. *

    1,239       16,119  

Open Lending Corp. Class A *

    5,031       36,827  

Opendoor Technologies, Inc. *

    1,786       4,715  

OptimizeRx Corp. *

    872       6,784  

Perficient, Inc. *

    1,846       106,810  

Preformed Line Products Co.

    63       10,243  

Q2 Holdings, Inc. *

    3,075       99,230  

QuinStreet, Inc. *

    2,904       26,049  

Revolve Group, Inc. *

    2,168       29,506  

Rover Group, Inc. *

    5,138       32,164  

Shutterstock, Inc.

    1,353       51,482  

Sinclair, Inc.

    321       3,602  

Solo Brands, Inc. Class A *

    905       4,615  

Sprinklr, Inc. Class A *

    5,561       76,964  

Squarespace, Inc. Class A *

    706       20,453  

Stitch Fix, Inc. Class A *

    2,357       8,132  

TechTarget, Inc. *

    1,439       43,688  

Townsquare Media, Inc. Class A

    639       5,572  

Tucows, Inc. Class A *

    227       4,633  

Upwork, Inc. *

    6,630       75,317  

Value Line, Inc.

    55       2,405  

Viavi Solutions, Inc. *

    9,853       90,056  

Vivid Seats, Inc. Class A *

    360       2,311  

Yelp, Inc. *

    3,623       150,681  

Ziff Davis, Inc. *

    577       36,749  
   

 

 

 
    2,379,294  
   

 

 

 

Consumer, Cyclical - 10.4%

 

Abercrombie & Fitch Co. Class A *

    1,379       77,734  

Academy Sports & Outdoors, Inc.

    4,028       190,404  

Accel Entertainment, Inc. *

    2,829       30,978  

Acushnet Holdings Corp.

    1,673       88,736  

Allegiant Travel Co.

    95       7,302  

American Eagle Outfitters, Inc.

    2,254       37,439  

Arko Corp.

    4,365       31,210  

Atlanta Braves Holdings, Inc. Class A *

    549       21,449  

Atlanta Braves Holdings, Inc. Class C *

    2,437       87,074  

Bally’s Corp. *

    808       10,593  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

267

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Beacon Roofing Supply, Inc. *

    304       $23,460  

BJ’s Restaurants, Inc. *

    808       18,956  

Bloomin’ Brands, Inc.

    4,720       116,065  

Blue Bird Corp. *

    72       1,537  

Bluegreen Vacations Holding Corp.

    485       17,790  

Boot Barn Holdings, Inc. *

    1,602       130,066  

Bowlero Corp. *

    1,388       13,353  

Brinker International, Inc. *

    2,154       68,045  

Buckle, Inc.

    1,622       54,159  

Build-A-Bear Workshop, Inc.

    537       15,793  

Camping World Holdings, Inc. Class A

    2,299       46,923  

Carvana Co. *

    2,292       96,218  

Cavco Industries, Inc. *

    469       124,595  

Century Casinos, Inc. *

    1,205       6,182  

Cheesecake Factory, Inc.

    2,630       79,689  

Chuy’s Holdings, Inc. *

    780       27,752  

Cinemark Holdings, Inc. *

    4,965       91,108  

Clarus Corp.

    137       1,036  

Commercial Vehicle Group, Inc. *

    209       1,622  

Cooper-Standard Holdings, Inc. *

    282       3,784  

Cracker Barrel Old Country Store, Inc.

    1,194       80,237  

Dave & Buster’s Entertainment, Inc. *

    1,945       72,101  

Denny’s Corp. *

    2,207       18,693  

Dillard’s, Inc. Class A

    188       62,192  

Dine Brands Global, Inc.

    763       37,730  

Dorman Products, Inc. *

    1,416       107,276  

Douglas Dynamics, Inc.

    1,249       37,695  

Dragonfly Energy Holdings Corp. *

    1,333       2,053  

Dream Finders Homes, Inc. Class A *

    559       12,427  

Duluth Holdings, Inc. Class B *

    8       48  

Envela Corp. *

    395       1,872  

Everi Holdings, Inc. *

    2,896       38,285  

EVgo, Inc. *

    797       2,694  

EVI Industries, Inc. *

    218       5,411  

First Watch Restaurant Group, Inc. *

    463       8,005  

FirstCash, Inc.

    2,043       205,076  

Fisker, Inc. *

    10,685       68,598  

Fox Factory Holding Corp. *

    2,303       228,181  

Frontier Group Holdings, Inc. *

    2,017       9,762  

Full House Resorts, Inc. *

    1,588       6,781  

Funko, Inc. Class A *

    1,352       10,343  

Gentherm, Inc. *

    1,783       96,746  

Global Business Travel Group I *

    1,820       10,010  

Global Industrial Co.

    581       19,463  

GMS, Inc. *

    693       44,331  

Golden Entertainment, Inc.

    1,116       38,145  

Green Brick Partners, Inc. *

    447       18,555  

Guess?, Inc.

    219       4,739  

H&E Equipment Services, Inc.

    1,755       75,798  

Hanesbrands, Inc.

    12,877       50,993  

Hibbett, Inc.

    582       27,651  

Hilton Grand Vacations, Inc. *

    4,378       178,185  

HNI Corp.

    219       7,584  

Hudson Technologies, Inc. *

    386       5,134  

IMAX Corp. *

    2,474       47,798  

indie Semiconductor, Inc. Class A * (China)

    7,078       44,591  

Installed Building Products, Inc.

    1,280       159,859  

International Game Technology PLC

    5,863       177,766  

iRobot Corp. *

    1,353       51,279  

Jack in the Box, Inc.

    1,106       76,380  

Kontoor Brands, Inc.

    3,040       133,486  

Kura Sushi USA, Inc. Class A *

    308       20,365  

LCI Industries

    515       60,471  

Leslie’s, Inc. *

    882       4,992  

LGI Homes, Inc. *

    88       8,755  

Life Time Group Holdings, Inc. *

    776       11,803  

Light & Wonder, Inc. *

    2,306       164,487  

Lindblad Expeditions Holdings, Inc. *

    142       1,022  

Lions Gate Entertainment Corp. Class A *

    2,171       18,410  

Lions Gate Entertainment Corp. Class B *

    4,267       33,581  

Livewire Group, Inc. * (Cayman)

    632       4,380  

Loop Media, Inc. *

    2,041       1,014  
   

Shares

   

Value

 

Lovesac Co. *

    741       $14,761  

Luminar Technologies, Inc. *

    14,662       66,712  

Madison Square Garden Entertainment Corp. *

    2,003       65,919  

Malibu Boats, Inc. Class A *

    657       32,206  

Marine Products Corp.

    446       6,338  

MasterCraft Boat Holdings, Inc. *

    917       20,376  

Miller Industries, Inc.

    44       1,725  

Monarch Casino & Resort, Inc.

    739       45,892  

MRC Global, Inc. *

    1,616       16,564  

National Vision Holdings, Inc. *

    259       4,191  

Noodles & Co. *

    2,192       5,392  

ONE Group Hospitality, Inc. *

    1,210       6,655  

OneSpaWorld Holdings Ltd. * (Bahamas)

    4,439       49,806  

Oxford Industries, Inc.

    621       59,697  

Papa John’s International, Inc.

    1,384       94,416  

Patrick Industries, Inc.

    152       11,409  

Portillo’s, Inc. Class A *

    2,453       37,752  

Potbelly Corp. *

    1,445       11,271  

PriceSmart, Inc.

    971       72,271  

Qurate Retail, Inc. Class B *

    11       84  

RCI Hospitality Holdings, Inc.

    450       27,297  

Red Robin Gourmet Burgers, Inc. *

    893       7,180  

Red Rock Resorts, Inc. Class A

    1,422       58,302  

Rocky Brands, Inc.

    24       353  

Rush Street Interactive, Inc. *

    3,282       15,163  

Sally Beauty Holdings, Inc. *

    5,348       44,816  

Savers Value Village, Inc. *

    699       13,050  

SeaWorld Entertainment, Inc. *

    1,859       85,979  

SES AI Corp. *

    990       2,247  

Shake Shack, Inc. Class A *

    2,035       118,172  

Shyft Group, Inc.

    1,815       27,171  

Six Flags Entertainment Corp. *

    3,106       73,022  

Skyline Champion Corp. *

    1,613       102,780  

Sleep Number Corp. *

    639       15,713  

Sonos, Inc. *

    6,835       88,240  

Sovos Brands, Inc. *

    2,734       61,652  

Steven Madden Ltd.

    4,057       128,891  

Sun Country Airlines Holdings, Inc. *

    1,101       16,339  

Super Group SGHC Ltd. * (Guernsey)

    7,498       27,668  

Sweetgreen, Inc. Class A *

    4,238       49,796  

ThredUp, Inc. Class A *

    655       2,627  

Torrid Holdings, Inc. *

    483       1,067  

Urban Outfitters, Inc. *

    1,138       37,201  

Virgin Galactic Holdings, Inc. *

    7,510       13,518  

Visteon Corp. *

    1,519       209,728  

Vizio Holding Corp. Class A *

    3,568       19,303  

Wabash National Corp.

    2,593       54,764  

Warby Parker, Inc. Class A *

    4,635       60,997  

Wolverine World Wide, Inc.

    3,718       29,967  

Workhorse Group, Inc. *

    1,173       486  

XPEL, Inc. *

    1,221       94,151  

Xponential Fitness, Inc. Class A *

    1,173       18,181  
   

 

 

 
    6,263,543  
   

 

 

 

Consumer, Non-Cyclical - 30.0%

 

4D Molecular Therapeutics, Inc. *

    161       2,050  

89bio, Inc. *

    3,362       51,909  

ACADIA Pharmaceuticals, Inc. *

    6,526       136,002  

Accolade, Inc. *

    3,427       36,258  

Accuray, Inc. *

    4,436       12,066  

ACELYRIN, Inc. *

    786       7,994  

Aclaris Therapeutics, Inc. *

    3,660       25,071  

Actinium Pharmaceuticals, Inc. *

    1,373       8,128  

AdaptHealth Corp. *

    2,658       24,188  

Adaptive Biotechnologies Corp. *

    4,388       23,915  

Addus HomeCare Corp. *

    408       34,758  

ADMA Biologics, Inc. *

    6,208       22,225  

Aerovate Therapeutics, Inc. *

    557       7,559  

Agenus, Inc. *

    3,110       3,514  

Agiliti, Inc. *

    1,360       8,826  

AirSculpt Technologies, Inc. *

    710       4,856  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

268

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Akero Therapeutics, Inc. *

    2,763       $139,753  

Akoya Biosciences, Inc. *

    1,108       5,152  

Alarm.com Holdings, Inc. *

    2,585       158,047  

Aldeyra Therapeutics, Inc. *

    2,625       17,535  

Alector, Inc. *

    3,300       21,384  

Alkermes PLC *

    8,924       249,961  

Alphatec Holdings, Inc. *

    1,799       23,333  

Alpine Immune Sciences, Inc. *

    966       11,061  

Alta Equipment Group, Inc.

    1,205       14,532  

Amicus Therapeutics, Inc. *

    15,080       183,373  

AMN Healthcare Services, Inc. *

    2,147       182,881  

Amphastar Pharmaceuticals, Inc. *

    2,036       93,636  

Amylyx Pharmaceuticals, Inc. *

    2,767       50,664  

AnaptysBio, Inc. *

    871       15,643  

Anavex Life Sciences Corp. *

    3,912       25,624  

ANI Pharmaceuticals, Inc. *

    588       34,139  

API Group Corp. *

    7,570       196,290  

Apogee Therapeutics, Inc. *

    464       9,883  

Arbutus Biopharma Corp. *

    4,333       8,796  

Arcellx, Inc. *

    2,058       73,841  

Arcturus Therapeutics Holdings, Inc. *

    112       2,862  

Arcus Biosciences, Inc. *

    897       16,101  

Arcutis Biotherapeutics, Inc. *

    2,711       14,395  

Ardelyx, Inc. *

    7,710       31,457  

Arlo Technologies, Inc. *

    4,227       43,538  

Arrowhead Pharmaceuticals, Inc. *

    5,453       146,522  

ARS Pharmaceuticals, Inc. *

    319       1,206  

Artivion, Inc. *

    337       5,109  

Arvinas, Inc. *

    2,534       49,768  

ASGN, Inc. *

    703       57,421  

Astria Therapeutics, Inc. *

    1,254       9,355  

Atara Biotherapeutics, Inc. *

    408       604  

AtriCure, Inc. *

    1,804       79,015  

Atrion Corp.

    76       31,401  

Aurinia Pharmaceuticals, Inc. * (Canada)

    7,327       56,931  

Avid Bioservices, Inc. *

    3,417       32,257  

Avita Medical, Inc. *

    1,300       18,993  

Axogen, Inc. *

    2,124       10,620  

Axonics, Inc. *

    2,644       148,381  

Axsome Therapeutics, Inc. *

    1,895       132,442  

Barrett Business Services, Inc.

    333       30,050  

Beam Therapeutics, Inc. *

    3,375       81,169  

Beauty Health Co. *

    4,321       26,012  

BellRing Brands, Inc. *

    1,948       80,316  

Beyond Air, Inc. *

    1,269       2,931  

Beyond Meat, Inc. *

    3,127       30,082  

BioCryst Pharmaceuticals, Inc. *

    7,774       55,040  

BioLife Solutions, Inc. *

    1,669       23,049  

Biomea Fusion, Inc. *

    1,033       14,214  

Biote Corp. Class A *

    329       1,684  

BioVie, Inc. *

    337       1,149  

Bioxcel Therapeutics, Inc. *

    1,077       2,725  

Blueprint Medicines Corp. *

    3,277       164,571  

BRC, Inc. Class A *

    1,958       7,029  

Bridgebio Pharma, Inc. *

    4,323       113,998  

Bright Green Corp. *

    3,410       1,350  

Brink’s Co.

    2,486       180,583  

Cabaletta Bio, Inc. *

    1,636       24,900  

Cal-Maine Foods, Inc.

    1,924       93,160  

Calavo Growers, Inc.

    967       24,397  

Cano Health, Inc. *

    1,149       291  

Carriage Services, Inc.

    712       20,114  

Cass Information Systems, Inc.

    675       25,144  

Cassava Sciences, Inc. *

    2,192       36,475  

Castle Biosciences, Inc. *

    529       8,935  

Catalyst Pharmaceuticals, Inc. *

    5,395       63,068  

CBIZ, Inc. *

    2,555       132,605  

Celldex Therapeutics, Inc. *

    624       17,172  

Cerevel Therapeutics Holdings, Inc. *

    3,328       72,650  

Cerus Corp. *

    9,226       14,946  

Chefs’ Warehouse, Inc. *

    1,921       40,687  

Chegg, Inc. *

    5,581       49,783  
   

Shares

   

Value

 

Cimpress PLC * (Ireland)

    536       $37,525  

Citius Pharmaceuticals, Inc. *

    1,523       1,042  

ClearPoint Neuro, Inc. *

    1,191       5,967  

Coca-Cola Consolidated, Inc.

    257       163,534  

Cogent Biosciences, Inc. *

    2,350       22,913  

Coherus Biosciences, Inc. *

    4,383       16,392  

Collegium Pharmaceutical, Inc. *

    1,892       42,286  

Compass Therapeutics, Inc. *

    595       1,172  

CompoSecure, Inc. *

    780       5,031  

CONMED Corp.

    1,655       166,907  

Corcept Therapeutics, Inc. *

    4,316       117,589  

CorMedix, Inc. *

    2,793       10,334  

CorVel Corp. *

    470       92,426  

Coursera, Inc. *

    7,003       130,886  

CPI Card Group, Inc. *

    242       4,482  

CRA International, Inc.

    363       36,576  

Crinetics Pharmaceuticals, Inc. *

    492       14,632  

Cross Country Healthcare, Inc. *

    328       8,131  

Cue Biopharma, Inc. *

    1,916       4,407  

Custom Truck One Source, Inc. *

    2,884       17,881  

Cutera, Inc. *

    129       777  

CVRx, Inc. *

    553       8,389  

Cymabay Therapeutics, Inc. *

    5,236       78,069  

Cytek Biosciences, Inc. *

    6,648       36,697  

Cytokinetics, Inc. *

    4,632       136,459  

Day One Biopharmaceuticals, Inc. *

    3,075       37,730  

Deciphera Pharmaceuticals, Inc. *

    1,025       13,038  

Denali Therapeutics, Inc. *

    6,360       131,207  

Disc Medicine, Inc. *

    440       20,671  

Distribution Solutions Group, Inc. *

    462       12,012  

DocGo, Inc. *

    4,304       22,940  

Dole PLC

    2,130       24,665  

Duckhorn Portfolio, Inc. *

    455       4,668  

Dynavax Technologies Corp. *

    5,904       87,202  

Dyne Therapeutics, Inc. *

    692       6,200  

elf Beauty, Inc. *

    2,878       316,091  

Embecta Corp.

    343       5,162  

Enanta Pharmaceuticals, Inc. *

    180       2,011  

Ensign Group, Inc.

    2,942       273,400  

European Wax Center, Inc. Class A *

    1,691       27,394  

EVERTEC, Inc.

    3,508       130,427  

Evolus, Inc. *

    2,306       21,077  

Eyenovia, Inc. *

    1,506       2,500  

EyePoint Pharmaceuticals, Inc. *

    744       5,945  

Fennec Pharmaceuticals, Inc. * (Canada)

    268       2,013  

First Advantage Corp.

    259       3,572  

FiscalNote Holdings, Inc. *

    797       1,658  

Flywire Corp. *

    5,189       165,477  

Foghorn Therapeutics, Inc. *

    1,033       5,165  

Forrester Research, Inc. *

    609       17,600  

Franklin Covey Co. *

    646       27,726  

Genelux Corp. *

    243       5,951  

Geron Corp. *

    20,605       43,683  

Glaukos Corp. *

    2,527       190,157  

Guardant Health, Inc. *

    6,065       179,767  

Hackett Group, Inc.

    1,242       29,299  

Haemonetics Corp. *

    2,703       242,135  

Halozyme Therapeutics, Inc. *

    6,992       267,094  

Harmony Biosciences Holdings, Inc. *

    1,799       58,953  

Harrow, Inc. *

    1,583       22,748  

Harvard Bioscience, Inc. *

    2,188       9,408  

Healthcare Services Group, Inc.

    3,761       39,227  

HealthEquity, Inc. *

    4,536       331,355  

Herbalife Ltd. *

    3,962       55,428  

Herc Holdings, Inc.

    1,526       181,502  

Heron Therapeutics, Inc. *

    5,516       5,681  

HilleVax, Inc. *

    302       4,062  

HireQuest, Inc.

    309       4,768  

Hostess Brands, Inc. *

    1,359       45,268  

Humacyte, Inc. *

    2,673       7,832  

Huron Consulting Group, Inc. *

    1,032       107,493  

I3 Verticals, Inc. Class A *

    1,188       25,114  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

269

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

ICF International, Inc.

    1,012       $122,260  

Ideaya Biosciences, Inc. *

    1,907       51,451  

Immuneering Corp. Class A *

    885       6,797  

ImmunityBio, Inc. *

    5,125       8,661  

ImmunoGen, Inc. *

    7,512       119,215  

Immunovant, Inc. *

    2,939       112,828  

Inari Medical, Inc. *

    2,683       175,468  

Information Services Group, Inc.

    869       3,806  

InfuSystem Holdings, Inc. *

    984       9,486  

Inhibrx, Inc. *

    1,198       21,983  

Inmode Ltd. *

    4,178       127,262  

Innovage Holding Corp. *

    1,069       6,403  

Innoviva, Inc. *

    253       3,286  

Insmed, Inc. *

    7,094       179,124  

Insperity, Inc.

    1,968       192,077  

Intellia Therapeutics, Inc. *

    667       21,091  

Inter Parfums, Inc.

    988       132,728  

Intercept Pharmaceuticals, Inc. *

    2,174       40,306  

Intra-Cellular Therapies, Inc. *

    5,045       262,794  

Invitae Corp. *

    12,965       7,846  

iRadimed Corp.

    382       16,949  

iRhythm Technologies, Inc. *

    1,655       156,000  

Ironwood Pharmaceuticals, Inc. *

    3,041       29,285  

Ispire Technology, Inc. *

    193       1,766  

J & J Snack Foods Corp.

    813       133,047  

John B Sanfilippo & Son, Inc.

    494       48,807  

Joint Corp. *

    754       6,778  

Karyopharm Therapeutics, Inc. *

    6,386       8,557  

Keros Therapeutics, Inc. *

    1,236       39,404  

Kforce, Inc.

    1,064       63,478  

KORU Medical Systems, Inc. *

    1,884       5,087  

Krispy Kreme, Inc.

    1,556       19,403  

Krystal Biotech, Inc. *

    1,161       134,676  

Kymera Therapeutics, Inc. *

    2,096       29,134  

Lancaster Colony Corp.

    1,056       174,272  

Lantheus Holdings, Inc. *

    3,670       254,992  

Laureate Education, Inc.

    6,040       85,164  

Legalzoom.com, Inc. *

    5,691       62,260  

LeMaitre Vascular, Inc.

    1,070       58,294  

Lexicon Pharmaceuticals, Inc. *

    2,512       2,738  

LifeStance Health Group, Inc. *

    3,042       20,899  

Ligand Pharmaceuticals, Inc. *

    134       8,029  

Lineage Cell Therapeutics, Inc. *

    7,194       8,489  

Liquidia Corp. *

    1,872       11,868  

LivaNova PLC *

    205       10,840  

Longboard Pharmaceuticals, Inc. *

    285       1,585  

MacroGenics, Inc. *

    1,033       4,814  

Madrigal Pharmaceuticals, Inc. *

    733       107,047  

MannKind Corp. *

    11,376       46,983  

Marathon Digital Holdings, Inc. *

    9,205       78,243  

Marinus Pharmaceuticals, Inc. *

    2,624       21,123  

Marqeta, Inc. Class A *

    3,376       20,188  

Matthews International Corp. Class A

    429       16,692  

MaxCyte, Inc. *

    417       1,301  

Medifast, Inc.

    594       44,461  

MeiraGTx Holdings PLC *

    1,381       6,781  

Merit Medical Systems, Inc. *

    3,068       211,753  

Merrimack Pharmaceuticals, Inc. *

    577       7,114  

Mersana Therapeutics, Inc. *

    2,982       3,787  

MGP Ingredients, Inc.

    846       89,236  

Mineralys Therapeutics, Inc. *

    223       2,121  

Mirum Pharmaceuticals, Inc. *

    1,313       41,491  

Mission Produce, Inc. *

    324       3,136  

ModivCare, Inc. *

    669       21,080  

Morphic Holding, Inc. *

    1,641       37,595  

Nano-X Imaging Ltd. * (Israel)

    193       1,266  

NanoString Technologies, Inc. *

    2,201       3,786  

Nathan’s Famous, Inc.

    138       9,751  

National Beverage Corp. *

    1,298       61,032  

National Research Corp.

    767       34,032  

NeoGenomics, Inc. *

    629       7,737  

Nevro Corp. *

    683       13,127  
   

Shares

   

Value

 

Novavax, Inc. *

    3,753       $27,172  

Nuvalent, Inc. Class A *

    1,308       60,129  

Nuvectis Pharma, Inc. *

    378       4,872  

Ocular Therapeutix, Inc. *

    4,078       12,805  

Omega Therapeutics, Inc. *

    1,371       2,948  

Omeros Corp. *

    1,410       4,117  

Omnicell, Inc. *

    1,216       54,769  

Optinose, Inc. *

    3,945       4,852  

Option Care Health, Inc. *

    9,178       296,908  

Orchestra BioMed Holdings, Inc. *

    758       6,610  

Organogenesis Holdings, Inc. *

    519       1,650  

OrthoPediatrics Corp. *

    727       23,264  

Oscar Health, Inc. Class A *

    724       4,033  

Outlook Therapeutics, Inc. *

    8,051       1,779  

P3 Health Partners, Inc. *

    2,328       3,422  

Pacific Biosciences of California, Inc. *

    7,368       61,523  

Pacira BioSciences, Inc. *

    2,444       74,982  

Paragon 28, Inc. *

    2,302       28,890  

Patterson Cos., Inc.

    1,019       30,203  

Payoneer Global, Inc. *

    14,175       86,751  

PDS Biotechnology Corp. *

    1,552       7,838  

Pennant Group, Inc. *

    1,462       16,272  

PepGen, Inc. *

    170       864  

Performant Financial Corp. *

    2,868       6,482  

PetIQ, Inc. *

    1,197       23,581  

Phathom Pharmaceuticals, Inc. *

    362       3,754  

Phibro Animal Health Corp. Class A

    296       3,780  

Pliant Therapeutics, Inc. *

    3,091       53,598  

Prime Medicine, Inc. *

    2,073       19,776  

Primo Water Corp.

    1,134       15,649  

Priority Technology Holdings, Inc. *

    1,041       3,373  

PROCEPT BioRobotics Corp. *

    1,957       64,209  

PROG Holdings, Inc. *

    499       16,572  

Progyny, Inc. *

    4,232       143,973  

ProKidney Corp. *

    604       2,766  

Protagonist Therapeutics, Inc. *

    1,886       31,459  

Prothena Corp. PLC * (Ireland)

    2,227       107,453  

PTC Therapeutics, Inc. *

    3,069       68,776  

Pulmonx Corp. *

    1,926       19,896  

Pulse Biosciences, Inc. *

    329       1,326  

Quanterix Corp. *

    271       7,355  

Quipt Home Medical Corp. *

    2,151       10,949  

RadNet, Inc. *

    3,197       90,123  

RAPT Therapeutics, Inc. *

    1,159       19,263  

Remitly Global, Inc. *

    7,051       177,826  

Reneo Pharmaceuticals, Inc. *

    340       2,589  

Rent the Runway, Inc. Class A *

    255       174  

Revance Therapeutics, Inc. *

    4,468       51,248  

REVOLUTION Medicines, Inc. *

    5,462       151,188  

Rhythm Pharmaceuticals, Inc. *

    2,797       64,121  

Rigel Pharmaceuticals, Inc. *

    7,966       8,603  

Riot Platforms, Inc. *

    6,431       60,001  

Rocket Pharmaceuticals, Inc. *

    2,724       55,815  

RxSight, Inc. *

    1,429       39,855  

Sabre Corp. *

    4,315       19,374  

Sage Therapeutics, Inc. *

    2,665       54,846  

Sagimet Biosciences, Inc. Class A *

    153       1,346  

Sana Biotechnology, Inc. *

    395       1,529  

Sanara Medtech, Inc. *

    207       6,444  

Savara, Inc. *

    74       280  

Scilex Holding Co. *

    509       713  

scPharmaceuticals, Inc. *

    1,614       11,492  

Select Medical Holdings Corp.

    5,612       141,815  

Selecta Biosciences, Inc. *

    1,685       1,786  

Semler Scientific, Inc. *

    275       6,977  

Seres Therapeutics, Inc. *

    3,376       8,035  

SI-BONE, Inc. *

    1,837       39,018  

SIGA Technologies, Inc.

    2,525       13,256  

Silk Road Medical, Inc. *

    2,120       31,779  

Simply Good Foods Co. *

    4,897       169,044  

SoundThinking, Inc. *

    479       8,574  

SP Plus Corp. *

    1,043       37,652  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

270

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

SpringWorks Therapeutics, Inc. *

    3,175       $73,406  

Sprouts Farmers Market, Inc. *

    5,594       239,423  

STAAR Surgical Co. *

    2,616       105,111  

Sterling Check Corp. *

    117       1,477  

StoneCo Ltd. Class A * (Brazil)

    9,508       101,450  

Stride, Inc. *

    2,273       102,353  

Summit Therapeutics, Inc. *

    6,552       12,252  

SunOpta, Inc. * (Canada)

    4,521       15,236  

Supernus Pharmaceuticals, Inc. *

    2,681       73,915  

Surgery Partners, Inc. *

    3,297       96,437  

Surmodics, Inc. *

    728       23,362  

Syndax Pharmaceuticals, Inc. *

    2,968       43,095  

Tactile Systems Technology, Inc. *

    1,225       17,211  

Target Hospitality Corp. *

    1,731       27,488  

Tela Bio, Inc. *

    897       7,176  

Terns Pharmaceuticals, Inc. *

    1,593       8,013  

TG Therapeutics, Inc. *

    7,332       61,296  

Thorne HealthTech, Inc. *

    311       3,169  

Transcat, Inc. *

    390       38,208  

TransMedics Group, Inc. *

    1,699       93,020  

Travere Therapeutics, Inc. *

    3,666       32,774  

Treace Medical Concepts, Inc. *

    2,490       32,644  

TreeHouse Foods, Inc. *

    345       15,035  

TriNet Group, Inc. *

    2,031       236,571  

Triton International Ltd. * (Bermuda)

    462       38,004  

Turning Point Brands, Inc.

    879       20,296  

Turnstone Biologics Corp. *

    345       1,359  

Tyra Biosciences, Inc. *

    288       3,966  

U.S. Physical Therapy, Inc.

    787       72,192  

Udemy, Inc. *

    4,706       44,707  

UFP Technologies, Inc. *

    385       62,158  

Universal Technical Institute, Inc. *

    317       2,656  

Upbound Group, Inc.

    2,795       82,313  

UroGen Pharma Ltd. *

    900       12,609  

USANA Health Sciences, Inc. *

    629       36,866  

Utah Medical Products, Inc.

    170       14,620  

Utz Brands, Inc.

    3,901       52,390  

Vaxcyte, Inc. *

    5,054       257,653  

Vaxxinity, Inc. Class A *

    2,443       3,347  

Vector Group Ltd.

    1,319       14,034  

Ventyx Biosciences, Inc. *

    2,526       87,728  

Vera Therapeutics, Inc. *

    922       12,641  

Vericel Corp. *

    2,550       85,476  

Verrica Pharmaceuticals, Inc. *

    1,173       4,557  

Viad Corp. *

    1,082       28,348  

Vicarious Surgical, Inc. *

    1,913       1,130  

Viemed Healthcare, Inc. *

    1,853       12,471  

Viking Therapeutics, Inc. *

    5,193       57,487  

Vir Biotechnology, Inc. *

    236       2,211  

Viridian Therapeutics, Inc. *

    1,745       26,768  

Vita Coco Co., Inc. *

    1,517       39,503  

Vital Farms, Inc. *

    1,593       18,447  

Voyager Therapeutics, Inc. *

    1,811       14,035  

WD-40 Co.

    733       148,975  

Westrock Coffee Co. *

    1,592       14,105  

X4 Pharmaceuticals, Inc. *

    3,572       3,893  

Xencor, Inc. *

    1,725       34,759  

Xeris Biopharma Holdings, Inc. *

    6,950       12,927  

Y-mAbs Therapeutics, Inc. *

    972       5,297  

Zentalis Pharmaceuticals, Inc. *

    3,134       62,868  

Zevia PBC Class A *

    840       1,865  

ZipRecruiter, Inc. Class A *

    3,677       44,087  

Zynex, Inc. *

    950       7,600  
   

 

 

 
    18,133,450  
   

 

 

 

Energy - 6.1%

 

Alpha Metallurgical Resources, Inc.

    50       12,986  

Archrock, Inc.

    1,399       17,627  

Aris Water Solutions, Inc. Class A

    122       1,218  

Array Technologies, Inc. *

    8,172       181,337  

Atlas Energy Solutions, Inc. Class A

    151       3,357  
   

Shares

   

Value

 

Borr Drilling Ltd. * (Mexico)

    11,851       $84,142  

ChampionX Corp.

    10,751       382,951  

Cleanspark, Inc. *

    945       3,600  

Core Laboratories, Inc.

    842       20,216  

Crescent Energy Co. Class A

    787       9,948  

CVR Energy, Inc.

    1,523       51,828  

Denbury, Inc. *

    2,751       269,626  

DMC Global, Inc. *

    348       8,516  

Empire Petroleum Corp. *

    772       7,434  

Enviva, Inc.

    1,689       12,617  

Eos Energy Enterprises, Inc. *

    5,110       10,987  

Equitrans Midstream Corp.

    6,936       64,990  

Evolution Petroleum Corp.

    1,779       12,168  

Excelerate Energy, Inc. Class A

    784       13,359  

Expro Group Holdings NV *

    1,744       40,513  

Fluence Energy, Inc. *

    2,159       49,635  

Golar LNG Ltd. (Cameroon)

    391       9,486  

HighPeak Energy, Inc.

    524       8,845  

Kinetik Holdings, Inc.

    107       3,611  

Kodiak Gas Services, Inc. *

    250       4,470  

Kosmos Energy Ltd. * (Ghana)

    24,589       201,138  

Liberty Energy, Inc.

    584       10,816  

Magnolia Oil & Gas Corp. Class A

    9,218       211,184  

Matador Resources Co.

    1,072       63,763  

Maxeon Solar Technologies Ltd. *

    1,065       12,343  

Montauk Renewables, Inc. *

    3,524       32,104  

Nabors Industries Ltd. *

    440       54,182  

NextDecade Corp. *

    1,633       8,361  

Noble Corp. PLC

    4,950       250,717  

Northern Oil & Gas, Inc.

    3,866       155,529  

Oceaneering International, Inc. *

    5,410       139,145  

Par Pacific Holdings, Inc. *

    1,231       44,242  

Patterson-UTI Energy, Inc.

    1,135       15,708  

Permian Resources Corp.

    2,274       31,745  

ProFrac Holding Corp. Class A *

    338       3,677  

REX American Resources Corp. *

    275       11,198  

Riley Exploration Permian, Inc.

    502       15,959  

Shoals Technologies Group, Inc. Class A *

    9,255       168,904  

SilverBow Resources, Inc. *

    111       3,970  

Sitio Royalties Corp. Class A

    1,973       47,766  

Solaris Oilfield Infrastructure, Inc. Class A

    162       1,727  

Sunnova Energy International, Inc. *

    2,600       27,222  

SunPower Corp. *

    4,630       28,567  

Tellurian, Inc. *

    1,885       2,187  

TETRA Technologies, Inc. *

    6,618       42,223  

Tidewater, Inc. *

    2,562       182,081  

TPI Composites, Inc. *

    2,184       5,788  

VAALCO Energy, Inc.

    731       3,209  

Valaris Ltd. *

    3,315       248,559  

Vertex Energy, Inc. *

    3,496       15,557  

W&T Offshore, Inc. *

    5,495       24,068  

Weatherford International PLC *

    3,841       346,958  
   

 

 

 
    3,696,064  
   

 

 

 

Financial - 6.5%

 

Alexander’s, Inc. REIT

    113       20,592  

AlTi Global, Inc. *

    1,218       8,477  

AMERISAFE, Inc.

    547       27,388  

Anywhere Real Estate, Inc. *

    610       3,922  

Applied Digital Corp. *

    3,596       22,439  

Artisan Partners Asset Management, Inc. Class A

    2,104       78,732  

AssetMark Financial Holdings, Inc. *

    1,242       31,149  

Atlanticus Holdings Corp. *

    36       1,091  

Avantax, Inc. *

    1,851       47,349  

Axos Financial, Inc. *

    384       14,538  

B Riley Financial, Inc.

    1,034       42,384  

BancFirst Corp.

    172       14,918  

Bancorp, Inc. *

    2,867       98,912  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    260       7,041  

Bank7 Corp.

    82       1,846  

BayCom Corp.

    47       903  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

271

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

BGC Group, Inc. Class A

    8,007       $42,277  

Bit Digital, Inc. * (China)

    749       1,603  

Brightsphere Investment Group, Inc.

    688       13,340  

Brookfield Business Corp. Class A (Canada)

    1,440       26,035  

BRP Group, Inc. Class A *

    3,231       75,056  

Burke & Herbert Financial Services Corp.

    38       1,766  

Capital City Bank Group, Inc.

    318       9,486  

CareTrust REIT, Inc.

    515       10,558  

CBL & Associates Properties, Inc. REIT

    1,045       21,924  

Citizens Financial Services, Inc.

    50       2,396  

Clipper Realty, Inc. REIT

    547       2,833  

Coastal Financial Corp. *

    585       25,102  

Cohen & Steers, Inc.

    1,443       90,462  

Columbia Financial, Inc. *

    754       11,845  

Community Healthcare Trust, Inc. REIT

    917       27,235  

Compass, Inc. Class A *

    14,100       40,890  

Crawford & Co. Class A

    821       7,668  

Diamond Hill Investment Group, Inc.

    161       27,140  

eHealth, Inc. *

    434       3,212  

Esquire Financial Holdings, Inc.

    363       16,585  

Essential Properties Realty Trust, Inc. REIT

    952       20,592  

eXp World Holdings, Inc.

    3,860       62,686  

Federal Agricultural Mortgage Corp. Class C

    83       12,807  

Fidelis Insurance Holdings Ltd. * (Bermuda)

    185       2,716  

First BanCorp

    567       7,632  

First Financial Bankshares, Inc.

    7,141       179,382  

Five Star Bancorp

    278       5,577  

Four Corners Property Trust, Inc. REIT

    490       10,873  

FS Bancorp, Inc.

    90       2,655  

FTAI Aviation Ltd.

    5,391       191,650  

GCM Grosvenor, Inc. Class A

    2,233       17,328  

Gladstone Commercial Corp. REIT

    368       4,475  

Goosehead Insurance, Inc. Class A *

    1,153       85,933  

Greene County Bancorp, Inc.

    226       5,435  

Hamilton Lane, Inc. Class A

    1,187       107,352  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    459       9,731  

HCI Group, Inc.

    337       18,296  

HomeTrust Bancshares, Inc.

    186       4,031  

International Money Express, Inc. *

    1,738       29,424  

Investors Title Co.

    16       2,369  

Kingsway Financial Services, Inc. * (Canada)

    546       4,122  

Lakeland Financial Corp.

    102       4,841  

Lemonade, Inc. *

    515       5,984  

LendingTree, Inc. *

    171       2,651  

Marcus & Millichap, Inc.

    470       13,790  

Maui Land & Pineapple Co., Inc. *

    369       4,889  

McGrath RentCorp

    1,319       132,217  

Metropolitan Bank Holding Corp. *

    48       1,741  

Moelis & Co. Class A

    1,708       77,082  

MVB Financial Corp.

    104       2,348  

National Health Investors, Inc. REIT

    218       11,197  

NBT Bancorp, Inc.

    38       1,204  

NerdWallet, Inc. Class A *

    1,755       15,602  

NexPoint Residential Trust, Inc. REIT

    340       10,941  

NMI Holdings, Inc. Class A *

    375       10,159  

Outfront Media, Inc. REIT

    3,695       37,320  

P10, Inc. Class A

    2,159       25,152  

Pagseguro Digital Ltd. Class A * (Brazil)

    6,397       55,078  

Palomar Holdings, Inc. *

    1,323       67,142  

Pathward Financial, Inc.

    415       19,127  

Patria Investments Ltd. Class A (Cayman)

    3,089       45,038  

Paysign, Inc. *

    1,760       3,432  

PennyMac Financial Services, Inc.

    113       7,526  

Perella Weinberg Partners

    2,263       23,037  

Phillips Edison & Co., Inc. REIT

    1,120       37,565  

Piper Sandler Cos.

    781       113,487  

PJT Partners, Inc. Class A

    1,297       103,034  

Plumas Bancorp

    55       1,878  

Redfin Corp. *

    5,830       41,043  

Regional Management Corp.

    111       3,072  

RMR Group, Inc. Class A

    599       14,688  
   

Shares

   

Value

 

Ryman Hospitality Properties, Inc. REIT

    3,118       $259,667  

Saul Centers, Inc. REIT

    553       19,504  

Sculptor Capital Management, Inc.

    659       7,644  

Selective Insurance Group, Inc.

    3,259       336,231  

ServisFirst Bancshares, Inc.

    938       48,935  

Silvercrest Asset Management Group, Inc. Class A

    590       9,363  

SiriusPoint Ltd. * (Bermuda)

    440       4,475  

Skyward Specialty Insurance Group, Inc. *

    357       9,768  

St. Joe Co.

    1,850       100,511  

Stellar Bancorp, Inc.

    146       3,113  

StepStone Group, Inc. Class A

    2,916       92,087  

Stock Yards Bancorp, Inc.

    1,347       52,924  

StoneX Group, Inc. *

    117       11,340  

Tanger Factory Outlet Centers, Inc. REIT

    2,544       57,494  

Third Coast Bancshares, Inc. *

    51       872  

Tiptree, Inc.

    401       6,721  

Trupanion, Inc. *

    2,163       60,997  

UMH Properties, Inc. REIT

    506       7,094  

Universal Health Realty Income Trust REIT

    680       27,492  

Universal Insurance Holdings, Inc.

    268       3,757  

Upstart Holdings, Inc. *

    3,883       110,821  

Victory Capital Holdings, Inc. Class A

    1,350       45,009  

Virtus Investment Partners, Inc.

    52       10,503  

Westamerica BanCorp

    349       15,094  

WisdomTree, Inc.

    7,303       51,121  

World Acceptance Corp. *

    19       2,414  
   

 

 

 
    3,911,376  
   

 

 

 

Industrial - 17.1%

 

374Water, Inc. *

    3,321       4,118  

AAON, Inc.

    3,653       207,746  

Advanced Energy Industries, Inc.

    2,027       209,024  

AeroVironment, Inc. *

    1,403       156,477  

Akoustis Technologies, Inc. *

    4,001       3,012  

Alamo Group, Inc.

    541       93,517  

Albany International Corp. Class A

    1,470       126,832  

Allient, Inc.

    723       22,355  

American Woodmark Corp. *

    54       4,083  

Amprius Technologies, Inc. *

    297       1,408  

Apogee Enterprises, Inc.

    468       22,033  

Applied Industrial Technologies, Inc.

    2,079       321,434  

ArcBest Corp.

    523       53,163  

Atkore, Inc. *

    2,084       310,912  

Atmus Filtration Technologies, Inc. *

    545       11,363  

Babcock & Wilcox Enterprises, Inc. *

    325       1,368  

Badger Meter, Inc.

    1,586       228,178  

Bel Fuse, Inc. Class B

    47       2,243  

Belden, Inc.

    1,417       136,811  

Blink Charging Co. *

    1,456       4,455  

Bloom Energy Corp. Class A *

    10,403       137,944  

Bowman Consulting Group Ltd. *

    557       15,613  

Cactus, Inc. Class A

    3,491       175,283  

Cadre Holdings, Inc.

    1,023       27,263  

Casella Waste Systems, Inc. Class A *

    3,036       231,647  

Charge Enterprises, Inc. *

    6,972       3,467  

Chart Industries, Inc. *

    1,426       241,165  

Chase Corp.

    349       44,403  

CIRCOR International, Inc. *

    973       54,245  

Comfort Systems USA, Inc.

    1,908       325,142  

Concrete Pumping Holdings, Inc. *

    776       6,658  

Construction Partners, Inc. Class A *

    2,186       79,920  

Core Molding Technologies, Inc. *

    73       2,080  

CryoPort, Inc. *

    1,804       24,733  

CSW Industrials, Inc.

    829       145,274  

CTS Corp.

    1,710       71,375  

Daseke, Inc. *

    2,133       10,942  

Dorian LPG Ltd.

    1,045       30,023  

Dycom Industries, Inc. *

    1,546       137,594  

Energizer Holdings, Inc.

    3,865       123,835  

Energy Recovery, Inc. *

    3,044       64,563  

Enerpac Tool Group Corp.

    3,024       79,924  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

272

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

EnerSys

    2,072       $196,156  

Enovix Corp. *

    7,350       92,243  

ESCO Technologies, Inc.

    807       84,283  

Eve Holding, Inc. *

    1,030       8,539  

Evolv Technologies Holdings, Inc. *

    1,189       5,779  

Exponent, Inc.

    2,735       234,116  

Fabrinet * (Thailand)

    1,986       330,907  

FARO Technologies, Inc. *

    79       1,203  

Federal Signal Corp.

    3,227       192,749  

FLEX LNG Ltd. * (Norway)

    1,130       34,081  

Fluor Corp. *

    7,167       263,029  

Forward Air Corp.

    1,406       96,649  

Franklin Electric Co., Inc.

    2,490       222,183  

Frontdoor, Inc. *

    4,424       135,330  

GATX Corp.

    125       13,604  

Gibraltar Industries, Inc. *

    920       62,109  

Gorman-Rupp Co.

    294       9,673  

GrafTech International Ltd.

    5,763       22,072  

Granite Construction, Inc.

    342       13,003  

Griffon Corp.

    1,438       57,046  

Helios Technologies, Inc.

    1,760       97,645  

Heritage-Crystal Clean, Inc. *

    158       7,165  

Hillenbrand, Inc.

    3,727       157,689  

Hyster-Yale Materials Handling, Inc.

    574       25,589  

IES Holdings, Inc. *

    444       29,246  

INNOVATE Corp. *

    1,103       1,787  

Iteris, Inc. *

    1,204       4,985  

Itron, Inc. *

    246       14,903  

Janus International Group, Inc. *

    4,624       49,477  

Joby Aviation, Inc. *

    4,932       31,811  

John Bean Technologies Corp.

    1,718       180,631  

Kadant, Inc.

    626       141,194  

Karat Packaging, Inc.

    268       6,180  

Kimball Electronics, Inc. *

    289       7,913  

LanzaTech Global, Inc. *

    1,211       5,655  

Leonardo DRS, Inc. *

    2,670       44,589  

Limbach Holdings, Inc. *

    90       2,856  

Lindsay Corp.

    598       70,373  

LSI Industries, Inc.

    1,092       17,341  

Marten Transport Ltd.

    2,543       50,123  

Masonite International Corp. *

    1,192       111,118  

Materion Corp.

    1,097       111,795  

Mesa Laboratories, Inc.

    284       29,840  

MicroVision, Inc. *

    9,317       20,404  

Modine Manufacturing Co. *

    1,797       82,213  

Montrose Environmental Group, Inc. *

    1,528       44,709  

Moog, Inc. Class A

    306       34,566  

Mueller Industries, Inc.

    1,305       98,084  

Mueller Water Products, Inc. Class A

    8,343       105,789  

Myers Industries, Inc.

    2,030       36,398  

MYR Group, Inc. *

    883       118,993  

Napco Security Technologies, Inc.

    1,671       37,180  

NEXTracker, Inc. Class A *

    2,677       107,508  

Novanta, Inc. *

    1,932       277,126  

NuScale Power Corp. *

    2,753       13,490  

NV5 Global, Inc. *

    664       63,897  

NVE Corp.

    235       19,303  

O-I Glass, Inc. *

    7,122       119,151  

Omega Flex, Inc.

    172       13,542  

OSI Systems, Inc. *

    851       100,452  

PAM Transportation Services, Inc. *

    54       1,164  

PGT Innovations, Inc. *

    3,039       84,332  

Plexus Corp. *

    1,305       121,339  

Primoris Services Corp.

    164       5,368  

Pure Cycle Corp. *

    1,044       10,022  

PureCycle Technologies, Inc. *

    1,504       8,437  

Redwire Corp. *

    237       685  

Rocket Lab USA, Inc. *

    15,072       66,015  

RXO, Inc. *

    5,411       106,759  

Ryerson Holding Corp.

    106       3,084  

Sanmina Corp. *

    155       8,413  

Sight Sciences, Inc. *

    1,212       4,084  
   

Shares

   

Value

 

Simpson Manufacturing Co., Inc.

    2,314       $346,660  

SKYX Platforms Corp. *

    3,106       4,411  

SPX Technologies, Inc. *

    1,963       159,788  

Standex International Corp.

    519       75,613  

Sterling Infrastructure, Inc. *

    1,402       103,019  

Stoneridge, Inc. *

    244       4,897  

Sturm Ruger & Co., Inc.

    861       44,875  

Tennant Co.

    536       39,744  

Terex Corp.

    2,101       121,060  

Thermon Group Holdings, Inc. *

    212       5,824  

Transphorm, Inc. *

    1,723       3,825  

Trinity Industries, Inc.

    778       18,944  

UFP Industries, Inc.

    490       50,176  

Vicor Corp. *

    1,207       71,080  

Watts Water Technologies, Inc. Class A

    1,476       255,082  

Werner Enterprises, Inc.

    487       18,969  

Xometry, Inc. Class A *

    234       3,973  

Zurn Elkay Water Solutions Corp. Class C

    1,622       45,448  
   

 

 

 
    10,314,179  
   

 

 

 

Technology - 18.7%

 

8x8, Inc. *

    5,984       15,080  

ACI Worldwide, Inc. *

    5,046       113,838  

ACM Research, Inc. Class A *

    378       6,844  

ACV Auctions, Inc. Class A *

    6,835       103,755  

Adeia, Inc.

    5,133       54,820  

Aehr Test Systems *

    1,411       64,483  

Agilysys, Inc. *

    1,095       72,445  

Alignment Healthcare, Inc. *

    4,454       30,911  

Alkami Technology, Inc. *

    2,088       38,043  

Altair Engineering, Inc. Class A *

    2,902       181,549  

Ambarella, Inc. *

    1,262       66,924  

American Software, Inc. Class A

    1,418       16,250  

Amplitude, Inc. Class A *

    3,589       41,525  

Apollo Medical Holdings, Inc. *

    2,337       72,096  

Appfolio, Inc. Class A *

    1,036       189,205  

Appian Corp. Class A *

    2,211       100,844  

Asana, Inc. Class A *

    4,293       78,605  

Asure Software, Inc. *

    134       1,268  

Atomera, Inc. *

    858       5,371  

AvePoint, Inc. *

    8,366       56,220  

Avid Technology, Inc. *

    1,267       34,044  

AvidXchange Holdings, Inc. *

    7,399       70,143  

Axcelis Technologies, Inc. *

    1,758       286,642  

Bandwidth, Inc. Class A *

    245       2,761  

BigBear.ai Holdings, Inc. *

    1,569       2,369  

BigCommerce Holdings, Inc. *

    3,553       35,068  

Blackbaud, Inc. *

    2,352       165,393  

Blackline, Inc. *

    3,046       168,962  

Box, Inc. Class A *

    7,615       184,359  

Braze, Inc. Class A *

    2,829       132,199  

C3.ai, Inc. Class A *

    2,510       64,055  

Cantaloupe, Inc. *

    2,194       13,713  

CEVA, Inc. *

    1,065       20,650  

Clear Secure, Inc. Class A

    4,470       85,109  

Climb Global Solutions, Inc.

    190       8,172  

CommVault Systems, Inc. *

    2,246       151,852  

Consensus Cloud Solutions, Inc. *

    629       15,838  

CoreCard Corp. *

    402       8,040  

Corsair Gaming, Inc. *

    1,958       28,450  

Cricut, Inc. Class A

    2,541       23,606  

CSG Systems International, Inc.

    1,717       87,773  

Daily Journal Corp. *

    13       3,822  

Definitive Healthcare Corp. *

    877       7,007  

Digi International, Inc. *

    1,694       45,738  

Digimarc Corp. *

    747       24,270  

Digital Turbine, Inc. *

    1,381       8,355  

DigitalOcean Holdings, Inc. *

    3,394       81,558  

Diodes, Inc. *

    1,914       150,900  

Domo, Inc. Class B *

    1,623       15,922  

Donnelley Financial Solutions, Inc. *

    936       52,678  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

273

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Duolingo, Inc. *

    1,547       $256,601  

Ebix, Inc.

    393       3,883  

eGain Corp. *

    1,185       7,264  

Enfusion, Inc. Class A *

    2,035       18,254  

EngageSmart, Inc. *

    2,682       48,249  

Envestnet, Inc. *

    2,652       116,768  

Everbridge, Inc. *

    2,233       50,064  

EverCommerce, Inc. *

    1,017       10,201  

Evolent Health, Inc. Class A *

    5,942       161,801  

ExlService Holdings, Inc. *

    8,730       244,789  

Expensify, Inc. Class A *

    2,897       9,415  

Fastly, Inc. Class A *

    5,330       102,176  

FormFactor, Inc. *

    4,158       145,281  

Freshworks, Inc. Class A *

    8,743       174,161  

Grid Dynamics Holdings, Inc. *

    2,351       28,635  

Health Catalyst, Inc. *

    1,554       15,726  

IBEX Holdings Ltd. *

    611       9,440  

Impinj, Inc. *

    1,239       68,182  

Innodata, Inc. *

    1,386       11,823  

Insight Enterprises, Inc. *

    1,553       225,961  

Inspired Entertainment, Inc. *

    1,218       14,567  

Instructure Holdings, Inc. *

    1,011       25,679  

Intapp, Inc. *

    1,186       39,755  

Integral Ad Science Holding Corp. *

    2,570       30,557  

inTEST Corp. *

    603       9,148  

IonQ, Inc. *

    1,336       19,880  

Jamf Holding Corp. *

    3,793       66,984  

Kaltura, Inc. *

    4,655       8,053  

Kulicke & Soffa Industries, Inc. (Singapore)

    2,100       102,123  

LivePerson, Inc. *

    3,896       15,155  

LiveVox Holdings, Inc. *

    1,256       4,195  

MACOM Technology Solutions Holdings, Inc. *

    2,933       239,274  

Maximus, Inc.

    3,282       245,100  

MaxLinear, Inc. *

    4,012       89,267  

MeridianLink, Inc. *

    932       15,900  

MicroStrategy, Inc. Class A *

    597       195,983  

Mitek Systems, Inc. *

    2,104       22,555  

Model N, Inc. *

    2,025       49,430  

N-Able, Inc. *

    3,467       44,724  

Navitas Semiconductor Corp. *

    923       6,415  

NextGen Healthcare, Inc. *

    1,692       40,151  

NextNav, Inc. *

    2,853       14,664  

Olo, Inc. Class A *

    3,350       20,301  

OneSpan, Inc. *

    1,962       21,091  

Onto Innovation, Inc. *

    2,264       288,705  

Outset Medical, Inc. *

    2,605       28,342  

PagerDuty, Inc. *

    4,788       107,682  

PAR Technology Corp. *

    129       4,972  

Parsons Corp. *

    1,013       55,057  

PDF Solutions, Inc. *

    1,675       54,270  

Phreesia, Inc. *

    2,793       52,173  

Pitney Bowes, Inc.

    6,619       19,989  

Planet Labs PBC *

    8,195       21,307  

PlayAGS, Inc. *

    2,058       13,418  

Power Integrations, Inc.

    3,073       234,501  

PowerSchool Holdings, Inc. Class A *

    3,066       69,476  

Presto Automation, Inc. *

    82       117  

Privia Health Group, Inc. *

    5,970       137,310  

Progress Software Corp.

    2,345       123,300  

PROS Holdings, Inc. *

    1,749       60,550  

PubMatic, Inc. Class A *

    463       5,602  

Qualys, Inc. *

    2,009       306,473  

Rambus, Inc. *

    5,889       328,547  

Rapid7, Inc. *

    3,238       148,236  

Red Violet, Inc. *

    625       12,506  

Rimini Street, Inc. *

    2,645       5,819  

Sapiens International Corp. NV (Israel)

    1,691       48,075  

Schrodinger, Inc. *

    2,922       82,605  

SEMrush Holdings, Inc. Class A *

    1,759       14,952  

Sharecare, Inc. *

    1,176       1,106  

Silicon Laboratories, Inc. *

    1,716       198,867  

Simulations Plus, Inc.

    876       36,529  
   

Shares

   

Value

 

SiTime Corp. *

    923       $105,453  

SkyWater Technology, Inc. *

    985       5,930  

SMART Global Holdings, Inc. *

    541       13,173  

SoundHound AI, Inc. Class A *

    7,415       14,904  

Sprout Social, Inc. Class A *

    2,574       128,391  

SPS Commerce, Inc. *

    1,981       337,978  

Super Micro Computer, Inc. *

    2,503       686,373  

Synaptics, Inc. *

    166       14,847  

Tenable Holdings, Inc. *

    6,164       276,147  

Thoughtworks Holding, Inc. *

    4,908       20,025  

TTEC Holdings, Inc.

    1,036       27,164  

Varonis Systems, Inc. *

    5,872       179,331  

Velo3D, Inc. *

    5,079       7,923  

Verint Systems, Inc. *

    3,141       72,212  

Veritone, Inc. *

    1,677       4,327  

Verra Mobility Corp. *

    7,532       140,848  

Viant Technology, Inc. Class A *

    851       4,766  

Vimeo, Inc. *

    1,017       3,600  

Weave Communications, Inc. *

    1,738       14,165  

Workiva, Inc. *

    2,639       267,436  

Yext, Inc. *

    5,849       37,024  

Zeta Global Holdings Corp. Class A *

    7,340       61,289  

Zuora, Inc. Class A *

    6,993       57,622  
   

 

 

 
    11,280,563  
   

 

 

 

Utilities - 1.5%

 

Ameresco, Inc. Class A *

    1,717       66,207  

American States Water Co.

    2,002       157,517  

Artesian Resources Corp. Class A

    332       13,941  

Brookfield Infrastructure Corp. Class A (Canada)

    557       19,684  

Cadiz, Inc. *

    2,313       7,656  

California Water Service Group

    976       46,175  

Chesapeake Utilities Corp.

    602       58,845  

Consolidated Water Co. Ltd. (Cayman)

    254       7,224  

FTC Solar, Inc. *

    3,571       4,571  

Genie Energy Ltd. Class B

    560       8,249  

Global Water Resources, Inc.

    580       5,655  

MGE Energy, Inc.

    998       68,373  

Middlesex Water Co.

    959       63,534  

New Jersey Resources Corp.

    2,806       114,008  

Ormat Technologies, Inc.

    1,854       129,632  

Otter Tail Corp.

    1,183       89,813  

PNM Resources, Inc.

    519       23,153  

Unitil Corp.

    239       10,208  

York Water Co.

    764       28,642  
   

 

 

 
    923,087  
   

 

 

 

Total Common Stocks
(Cost $62,459,345)

      59,235,944  
   

 

 

 

EXCHANGE-TRADED FUNDS - 1.6%

 

iShares Russell 2000 Growth

    4,379       981,553  
   

 

 

 

Total Exchange-Traded Funds
(Cost $999,847)

      981,553  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 0.3%

 

Repurchase Agreements - 0.3%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $187,740; collateralized by U.S. Treasury
Notes: 3.625% due 05/15/26 and value $191,455)

    $187,662       187,662  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

274

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

         

Value

 

Total Short-Term Investments
(Cost $187,662)

      $187,662  
   

 

 

 

TOTAL INVESTMENTS - 100.0%
(Cost $63,647,261)

      60,407,491  
   

 

 

 

DERIVATIVES - (0.0%)

      (8,716
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.0%

 

    414  
   

 

 

 

NET ASSETS - 100.0%

      $60,399,189  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $2,332 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

275

PACIFIC SELECT FUND

PD SMALL-CAP GROWTH INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME Micro E-Mini Russell

   12/23        26              $242,534        $233,818        ($8,716
                

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

      Total Value at
September 30,
2023
     Level 1
Quoted
Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Consumer, Non-Cyclical

     $2,298        $-        $374        $1,924  
 

Utilities

     34        -        -        34  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Rights

     2,332        -        374        1,958  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Basic Materials

     2,334,388        2,334,388        -        -  
 

Communications

     2,379,294        2,379,294        -        -  
 

Consumer, Cyclical

     6,263,543        6,263,543        -        -  
 

Consumer, Non-Cyclical

     18,133,450        18,094,733        38,717        -  
 

Energy

     3,696,064        3,696,064        -        -  
 

Financial

     3,911,376        3,911,376        -        -  
 

Industrial

     10,314,179        10,314,179        -        -  
 

Technology

     11,280,563        11,280,563        -        -  
 

Utilities

     923,087        923,087        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     59,235,944        59,197,227        38,717        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     981,553        981,553        -        -  
 

Short-Term Investments

     187,662        -        187,662        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     60,407,491        60,178,780        226,753        1,958  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (8,716      (8,716      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (8,716      (8,716      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $60,398,775        $60,170,064        $226,753        $1,958  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

276

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

RIGHTS - 0.0%

 

Consumer, Non-Cyclical - 0.0%

 

Chinook Therapeutics, Inc.- Contingent Value Rights * W

    2,612       $1,123  

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       -  
   

 

 

 
    1,435  
 

 

 

 

Total Rights
(Cost $1,019)

      1,435  
   

 

 

 

COMMON STOCKS - 97.3%

 

Basic Materials - 2.8%

 

5E Advanced Materials, Inc. *

    579       1,308  

AdvanSix, Inc.

    1,710       53,147  

American Vanguard Corp.

    1,470       16,067  

Avient Corp.

    5,731       202,419  

Caledonia Mining Corp. PLC (South Africa)

    978       9,643  

Carpenter Technology Corp.

    3,046       204,722  

Centrus Energy Corp. Class A *

    781       44,330  

Codexis, Inc. *

    4,037       7,630  

Coeur Mining, Inc. *

    20,447       45,392  

Commercial Metals Co.

    7,475       369,340  

Constellium SE *

    3,081       56,074  

Contango ORE, Inc. *

    89       1,614  

Dakota Gold Corp. *

    1,066       2,750  

Danimer Scientific, Inc. *

    6,051       12,526  

Ecovyst, Inc. *

    4,821       47,439  

Encore Energy Corp. * (Canada)

    9,377       30,569  

Energy Fuels, Inc. *

    1,490       12,248  

Glatfelter Corp. *

    2,542       5,084  

Haynes International, Inc.

    798       37,123  

HB Fuller Co.

    369       25,317  

Hecla Mining Co.

    30,648       119,834  

i-80 Gold Corp. * (Canada)

    11,642       17,812  

Innospec, Inc.

    189       19,316  

Intrepid Potash, Inc. *

    694       17,461  

Kaiser Aluminum Corp.

    46       3,462  

Koppers Holdings, Inc.

    1,260       49,833  

Kronos Worldwide, Inc.

    1,369       10,610  

Mativ Holdings, Inc.

    3,473       49,525  

Minerals Technologies, Inc.

    2,060       112,806  

Oil-Dri Corp. of America

    234       14,449  

Origin Materials, Inc. *

    7,029       8,997  

Perimeter Solutions SA *

    9,718       44,120  

Piedmont Lithium, Inc. *

    754       29,934  

PolyMet Mining Corp. * (Canada)

    2,543       5,289  

Rayonier Advanced Materials, Inc. *

    3,774       13,360  

Rogers Corp. *

    294       38,652  

Schnitzer Steel Industries, Inc. Class A

    1,659       46,203  

Stepan Co.

    1,203       90,189  

Terawulf, Inc. *

    8,517       10,731  

Trinseo PLC

    2,218       18,121  

Tronox Holdings PLC

    7,408       99,563  

Uranium Energy Corp. *

    23,232       119,645  

Valhi, Inc.

    160       2,122  
   

 

 

 
    2,126,776  
 

 

 

 

Communications - 2.9%

 

1-800-Flowers.com, Inc. Class A *

    1,636       11,452  

ADTRAN Holdings, Inc.

    5,031       41,405  

Advantage Solutions, Inc. *

    5,268       14,961  
   

Shares

   

Value

 

Allbirds, Inc. Class A *

    5,467       $6,068  

AMC Networks, Inc. Class A *

    1,961       23,101  

Anterix, Inc. *

    69       2,165  

ATN International, Inc.

    701       22,124  

Aviat Networks, Inc. *

    692       21,590  

BARK, Inc. *

    8,330       9,996  

Blacksky Technology, Inc. *

    8,137       9,520  

Blade Air Mobility, Inc.*

    3,638       9,422  

Boston Omaha Corp. Class A *

    1,343       22,012  

Bumble, Inc. Class A *

    6,388       95,309  

Clear Channel Outdoor Holdings, Inc. *

    23,985       37,896  

Cogent Communications Holdings, Inc.

    1,001       61,962  

Consolidated Communications Holdings, Inc. *

    4,366       14,932  

ContextLogic, Inc. Class A *

    1,441       6,355  

DHI Group, Inc. *

    3,089       9,452  

DigitalBridge Group, Inc.

    7,035       123,675  

DZS, Inc. *

    1,420       2,982  

EchoStar Corp. Class A *

    2,123       35,560  

ePlus, Inc. *

    1,594       101,251  

Eventbrite, Inc. Class A *

    454       4,476  

EW Scripps Co. Class A *

    2,003       10,976  

Figs, Inc. Class A *

    1,062       6,266  

fuboTV, Inc. *

    17,942       47,905  

Gannett Co., Inc. *

    8,891       21,783  

Globalstar, Inc. *

    5,969       7,819  

Gogo, Inc. *

    3,856       46,002  

Gray Television, Inc.

    5,008       34,655  

HealthStream, Inc.

    937       20,220  

IDT Corp. Class B *

    204       4,498  

iHeartMedia, Inc. Class A *

    6,514       20,584  

KVH Industries, Inc. *

    1,016       5,182  

Lands’ End, Inc. *

    1,079       8,060  

Liberty Latin America Ltd. Class A *

    2,105       17,177  

Liberty Latin America Ltd. Class C *

    9,235       75,358  

Liquidity Services, Inc.*

    624       10,995  

Lumen Technologies, Inc. *

    63,446       90,093  

Magnite, Inc. *

    4,970       37,474  

MediaAlpha, Inc. Class A *

    374       3,089  

Mondee Holdings, Inc. *

    381       1,360  

NETGEAR, Inc. *

    1,850       23,292  

Nextdoor Holdings, Inc. *

    4,147       7,548  

Open Lending Corp. Class A *

    627       4,590  

Opendoor Technologies, Inc. *

    32,866       86,766  

Overstock.com, Inc. *

    2,867       45,356  

Preformed Line Products Co.

    87       14,144  

Ribbon Communications, Inc. *

    5,480       14,686  

Scholastic Corp.

    1,734       66,135  

Shenandoah Telecommunications Co.

    3,113       64,159  

Sinclair, Inc.

    1,750       19,635  

Solo Brands, Inc. Class A *

    386       1,969  

Spok Holdings, Inc.

    1,069       15,255  

Squarespace, Inc. Class A *

    1,956       56,665  

Stagwell, Inc. *

    5,022       23,553  

Stitch Fix, Inc. Class A *

    3,128       10,792  

TEGNA, Inc.

    12,809       186,627  

Telephone & Data Systems, Inc.

    6,280       114,987  

Terran Orbital Corp. *

    5,328       4,435  

Thryv Holdings, Inc. *

    1,974       37,052  

TrueCar, Inc. *

    5,465       11,313  

Tucows, Inc. Class A *

    405       8,266  

Urban One, Inc. *

    1,483       7,453  

Value Line, Inc.

    9       393  

Viavi Solutions, Inc. *

    2,511       22,951  

Vivid Seats, Inc. Class A *

    1,102       7,075  

WideOpenWest, Inc. *

    3,152       24,113  

Ziff Davis, Inc. *

    2,295       146,169  
   

 

 

 
    2,182,541  
 

 

 

 

Consumer, Cyclical - 12.2%

 

A-Mark Precious Metals, Inc.

    1,175       34,463  

Abercrombie & Fitch Co. Class A *

    1,507       84,950  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

277

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Adient PLC *

    6,075       $222,952  

Aeva Technologies, Inc. *

    4,718       3,609  

Allegiant Travel Co.

    901       69,251  

America’s Car-Mart, Inc. *

    384       34,940  

American Axle & Manufacturing Holdings, Inc. *

    7,343       53,310  

American Eagle Outfitters, Inc.

    9,027       149,938  

Asbury Automotive Group, Inc. *

    1,316       302,772  

Aurora Innovation, Inc. *

    21,196       49,811  

Bally’s Corp. *

    922       12,087  

Beacon Roofing Supply, Inc. *

    3,080       237,684  

Beazer Homes USA, Inc. *

    1,862       46,382  

Big 5 Sporting Goods Corp.

    1,348       9,449  

Big Lots, Inc.

    1,765       9,019  

Biglari Holdings, Inc. Class B *

    44       7,304  

BJ’s Restaurants, Inc. *

    513       12,035  

Blue Bird Corp. *

    1,070       22,844  

Bluegreen Vacations Holding Corp.

    158       5,795  

BlueLinx Holdings, Inc. *

    561       46,052  

Bowlero Corp. *

    234       2,251  

Brinker International, Inc. *

    256       8,087  

Build-A-Bear Workshop, Inc.

    150       4,412  

Caleres, Inc.

    2,214       63,675  

Carrols Restaurant Group, Inc. *

    2,367       15,599  

Carvana Co. *

    3,414       143,320  

Cato Corp. Class A

    1,034       7,920  

Century Casinos, Inc. *

    415       2,129  

Century Communities, Inc.

    1,808       120,738  

Chico’s FAS, Inc. *

    7,685       57,484  

Children’s Place, Inc. *

    790       21,354  

Chuy’s Holdings, Inc. *

    201       7,152  

Cinemark Holdings, Inc. *

    1,123       20,607  

Clarus Corp.

    1,653       12,497  

Clean Energy Fuels Corp. *

    10,504       40,230  

Commercial Vehicle Group, Inc. *

    1,871       14,519  

CompX International, Inc.

    120       2,231  

Cooper-Standard Holdings, Inc. *

    729       9,783  

Daktronics, Inc. *

    2,303       20,543  

Dana, Inc.

    8,325       122,128  

Denny’s Corp. *

    884       7,487  

Designer Brands, Inc. Class A

    3,156       39,955  

Destination XL Group, Inc. *

    3,893       17,441  

Dine Brands Global, Inc.

    106       5,242  

Dream Finders Homes, Inc. Class A *

    870       19,340  

Duluth Holdings, Inc. Class B *

    878       5,277  

El Pollo Loco Holdings, Inc.

    1,778       15,913  

Escalade, Inc.

    552       8,451  

Ethan Allen Interiors, Inc.

    1,475       44,102  

Everi Holdings, Inc. *

    1,937       25,607  

EVgo, Inc. *

    5,542       18,732  

EVI Industries, Inc. *

    90       2,234  

Fiesta Restaurant Group, Inc. *

    1,118       9,458  

First Watch Restaurant Group, Inc. *

    800       13,832  

Foot Locker, Inc.

    5,206       90,324  

Forestar Group, Inc. *

    1,188       32,005  

Fossil Group, Inc. *

    3,528       7,268  

Full House Resorts, Inc. *

    278       1,187  

Funko, Inc. Class A *

    724       5,539  

G-III Apparel Group Ltd. *

    2,619       65,265  

Genesco, Inc. *

    767       23,639  

Global Industrial Co.

    179       5,997  

GMS, Inc. *

    1,776       113,611  

Goodyear Tire & Rubber Co. *

    17,887       222,335  

Green Brick Partners, Inc. *

    1,121       46,533  

Group 1 Automotive, Inc.

    886       238,077  

GrowGeneration Corp. *

    3,595       10,497  

Guess?, Inc.

    1,630       35,273  

Hanesbrands, Inc.

    7,611       30,140  

Haverty Furniture Cos., Inc.

    952       27,399  

Hawaiian Holdings, Inc. *

    3,275       20,731  

Hibbett, Inc.

    135       6,414  

HNI Corp.

    2,637       91,319  

Holley, Inc. *

    3,189       15,913  
   

Shares

   

Value

 

Hooker Furnishings Corp.

    712       $13,848  

Hovnanian Enterprises, Inc. Class A *

    299       30,396  

Hudson Technologies, Inc. *

    2,428       32,292  

Hyliion Holdings Corp. *

    8,964       10,578  

indie Semiconductor, Inc. Class A * (China)

    610       3,843  

Interface, Inc.

    3,596       35,277  

iRobot Corp. *

    191       7,239  

J Jill, Inc. *

    245       7,252  

JAKKS Pacific, Inc. *

    454       8,440  

JetBlue Airways Corp. *

    20,794       95,652  

Johnson Outdoors, Inc. Class A

    361       19,743  

KB Home

    4,608       213,258  

La-Z-Boy, Inc.

    2,768       85,476  

Landsea Homes Corp. *

    911       8,190  

Lazydays Holdings, Inc. *

    756       5,746  

LCI Industries

    984       115,541  

Leslie’s, Inc. *

    10,447       59,130  

LGI Homes, Inc. *

    1,217       121,079  

Life Time Group Holdings, Inc. *

    2,029       30,861  

Light & Wonder, Inc. *

    3,076       219,411  

Lindblad Expeditions Holdings, Inc. *

    1,968       14,170  

Lions Gate Entertainment Corp. Class A *

    1,515       12,847  

Lions Gate Entertainment Corp. Class B *

    2,164       17,031  

M/I Homes, Inc. *

    1,717       144,297  

Madison Square Garden Entertainment Corp. *

    380       12,506  

Malibu Boats, Inc. Class A *

    481       23,579  

Marcus Corp.

    1,531       23,730  

MarineMax, Inc. *

    1,343       44,077  

MDC Holdings, Inc.

    3,769       155,396  

Meritage Homes Corp.

    2,322       284,190  

Methode Electronics, Inc.

    2,269       51,847  

Microvast Holdings, Inc. *

    7,083       13,387  

Miller Industries, Inc.

    666       26,114  

MillerKnoll, Inc.

    4,825       117,971  

Movado Group, Inc.

    987       26,994  

MRC Global, Inc. *

    3,508       35,957  

National Vision Holdings, Inc. *

    4,545       73,538  

Nikola Corp. *

    38,230       60,021  

Nu Skin Enterprises, Inc. Class A

    3,202       67,914  

ODP Corp. *

    2,086       96,269  

OneWater Marine, Inc. Class A *

    711       18,216  

OPENLANE, Inc. *

    6,836       101,993  

Oxford Industries, Inc.

    239       22,975  

Papa John’s International, Inc.

    457       31,177  

Patrick Industries, Inc.

    1,192       89,472  

PC Connection, Inc.

    748       39,928  

PetMed Express, Inc.

    1,357       13,909  

PriceSmart, Inc.

    479       35,652  

Purple Innovation, Inc.

    3,372       5,766  

Red Rock Resorts, Inc. Class A

    1,368       56,088  

Reservoir Media, Inc. *

    1,275       7,777  

Resideo Technologies, Inc. *

    9,304       147,003  

REV Group, Inc.

    2,076       33,216  

Rocky Brands, Inc.

    380       5,586  

Rush Enterprises, Inc. Class A

    3,893       158,951  

Rush Enterprises, Inc. Class B

    625       28,306  

Sally Beauty Holdings, Inc. *

    377       3,159  

Savers Value Village, Inc. *

    800       14,936  

ScanSource, Inc. *

    1,560       47,284  

SeaWorld Entertainment, Inc. *

    104       4,810  

SES AI Corp. *

    7,068       16,044  

Shoe Carnival, Inc.

    1,099       26,409  

Signet Jewelers Ltd. (NYSE)

    2,842       204,084  

Six Flags Entertainment Corp. *

    898       21,112  

Skyline Champion Corp. *

    1,491       95,007  

SkyWest, Inc. *

    2,801       117,474  

Sleep Number Corp. *

    621       15,270  

Snap One Holdings Corp. *

    1,149       10,617  

Solid Power, Inc. *

    9,665       19,523  

Sonic Automotive, Inc. Class A

    1,014       48,429  

Sphere Entertainment Co. *

    1,630       60,571  

Spirit Airlines, Inc.

    6,958       114,807  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

278

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Sportsman’s Warehouse Holdings, Inc. *

    2,642       $11,863  

Standard Motor Products, Inc.

    1,370       46,059  

Steelcase, Inc. Class A

    5,791       64,685  

Sun Country Airlines Holdings, Inc. *

    1,101       16,339  

Sweetgreen, Inc. Class A *

    1,179       13,853  

Taylor Morrison Home Corp. *

    6,682       284,720  

ThredUp, Inc. Class A *

    3,742       15,005  

Tile Shop Holdings, Inc. *

    1,923       10,557  

Tilly’s, Inc. Class A *

    1,303       10,580  

Titan International, Inc. *

    3,306       44,400  

Titan Machinery, Inc. *

    1,278       33,969  

Topgolf Callaway Brands Corp. *

    9,089       125,792  

Traeger, Inc. *

    2,493       6,806  

Tri Pointe Homes, Inc. *

    6,275       171,621  

TuSimple Holdings, Inc. Class A *

    10,290       16,052  

UniFirst Corp.

    954       155,512  

United Homes Group, Inc. *

    332       1,859  

Urban Outfitters, Inc. *

    2,686       87,805  

Vera Bradley, Inc. *

    1,701       11,244  

Veritiv Corp.

    837       141,369  

Virgin Galactic Holdings, Inc. *

    6,859       12,346  

Vista Outdoor, Inc. *

    3,648       120,822  

Vizio Holding Corp. Class A *

    580       3,138  

VOXX International Corp. *

    866       6,911  

VSE Corp.

    813       41,008  

Weyco Group, Inc.

    379       9,608  

Winmark Corp.

    181       67,537  

Winnebago Industries, Inc.

    1,877       111,588  

Wolverine World Wide, Inc.

    510       4,111  

Workhorse Group, Inc. *

    11,484       4,759  

Xperi, Inc. *

    2,741       27,026  

Xponential Fitness, Inc. Class A *

    228       3,534  

Zumiez, Inc. *

    974       17,337  
   

 

 

 
    9,174,296  
 

 

 

 

Consumer, Non-Cyclical - 15.2%

 

23andMe Holding Co. Class A *

    17,229       16,845  

2seventy bio, Inc. *

    3,364       13,187  

2U, Inc. *

    4,860       12,004  

4D Molecular Therapeutics, Inc. *

    2,257       28,732  

Aadi Bioscience, Inc. *

    1,143       5,532  

Aaron’s Co., Inc.

    1,854       19,411  

ABM Industries, Inc.

    4,225       169,042  

Acacia Research Corp. *

    2,482       9,059  

ACCO Brands Corp.

    6,008       34,486  

Accolade, Inc. *

    271       2,867  

ACELYRIN, Inc. *

    1,112       11,309  

Acrivon Therapeutics, Inc. *

    554       5,296  

AdaptHealth Corp. *

    2,916       26,536  

Adaptive Biotechnologies Corp. *

    2,010       10,954  

Addus HomeCare Corp. *

    522       44,469  

Adicet Bio, Inc. *

    2,267       3,106  

ADMA Biologics, Inc. *

    6,380       22,840  

Adtalem Global Education, Inc. *

    2,759       118,223  

Agenus, Inc. *

    19,243       21,745  

Agiliti, Inc. *

    253       1,642  

Agios Pharmaceuticals, Inc. *

    3,542       87,664  

Alico, Inc.

    425       10,608  

Alight, Inc. Class A *

    25,344       179,689  

Allakos, Inc. *

    4,372       9,924  

Allogene Therapeutics, Inc. *

    4,915       15,581  

Allovir, Inc. *

    2,855       6,138  

Alphatec Holdings, Inc. *

    2,998       38,884  

Alpine Immune Sciences, Inc. *

    981       11,232  

Altimmune, Inc. *

    3,253       8,458  

ALX Oncology Holdings, Inc. *

    1,227       5,890  

American Well Corp. Class A *

    16,309       19,082  

Amneal Pharmaceuticals, Inc. *

    8,017       33,832  

AnaptysBio, Inc. *

    224       4,023  

Andersons, Inc.

    2,051       105,647  

AngioDynamics, Inc. *

    2,363       17,274  
   

Shares

   

Value

 

ANI Pharmaceuticals, Inc. *

    194       $11,264  

Anika Therapeutics, Inc. *

    920       17,140  

Annexon, Inc. *

    2,869       6,771  

API Group Corp. *

    4,356       112,951  

Apogee Therapeutics, Inc. *

    653       13,909  

Arbutus Biopharma Corp. *

    2,953       5,995  

Arcturus Therapeutics Holdings, Inc. *

    1,333       34,058  

Arcus Biosciences, Inc. *

    2,323       41,698  

Ardelyx, Inc. *

    4,723       19,270  

Arlo Technologies, Inc. *

    630       6,489  

ARS Pharmaceuticals, Inc. *

    1,170       4,423  

Artivion, Inc. *

    2,049       31,063  

Arvinas, Inc. *

    207       4,065  

ASGN, Inc. *

    2,255       184,188  

Assertio Holdings, Inc. *

    5,738       14,689  

Astria Therapeutics, Inc. *

    243       1,813  

Atara Biotherapeutics, Inc. *

    6,024       8,916  

Atea Pharmaceuticals, Inc. *

    5,227       15,681  

AtriCure, Inc. *

    812       35,566  

Aura Biosciences, Inc. *

    1,830       16,415  

Avanos Medical, Inc. *

    2,966       59,973  

Aveanna Healthcare Holdings, Inc. *

    1,879       2,236  

Avidity Biosciences, Inc. *

    4,588       29,271  

B&G Foods, Inc.

    4,600       45,494  

Bakkt Holdings, Inc. *

    4,370       5,113  

Barrett Business Services, Inc.

    47       4,241  

Beam Therapeutics, Inc. *

    446       10,726  

BellRing Brands, Inc. *

    6,236       257,110  

Benson Hill, Inc. *

    11,487       3,808  

Beyond Air, Inc. *

    384       887  

BioAtla, Inc. *

    2,915       4,955  

BioCryst Pharmaceuticals, Inc. *

    3,091       21,884  

Biohaven Ltd. *

    3,734       97,121  

BioLife Solutions, Inc. *

    219       3,024  

Biote Corp. Class A *

    392       2,007  

Bluebird Bio, Inc. *

    7,071       21,496  

Bridgebio Pharma, Inc. *

    2,190       57,750  

BrightView Holdings, Inc. *

    2,692       20,863  

Brookdale Senior Living, Inc. *

    11,787       48,798  

Butterfly Network, Inc. *

    8,995       10,614  

Cabaletta Bio, Inc. *

    191       2,907  

Cal-Maine Foods, Inc.

    168       8,135  

Cano Health, Inc. *

    14,849       3,766  

Cara Therapeutics, Inc. *

    3,351       5,630  

CareDx, Inc. *

    3,198       22,386  

CareMax, Inc. *

    5,139       10,895  

Caribou Biosciences, Inc. *

    4,673       22,337  

Carisma Therapeutics, Inc.

    1,794       7,589  

Cass Information Systems, Inc.

    98       3,650  

Castle Biosciences, Inc. *

    1,004       16,958  

Celcuity, Inc. *

    1,111       10,155  

Celldex Therapeutics, Inc. *

    2,186       60,159  

Central Garden & Pet Co. *

    680       30,015  

Central Garden & Pet Co. Class A *

    2,415       96,817  

Century Therapeutics, Inc. *

    1,501       3,002  

Chegg, Inc. *

    1,128       10,062  

Cimpress PLC * (Ireland)

    491       34,375  

Cipher Mining, Inc. *

    2,772       6,459  

Citius Pharmaceuticals, Inc. *

    6,908       4,728  

Cogent Biosciences, Inc. *

    2,331       22,727  

Coherus Biosciences, Inc. *

    1,057       3,953  

Community Health Systems, Inc. *

    7,735       22,431  

Compass Therapeutics, Inc. *

    5,320       10,480  

CompoSecure, Inc. *

    106       684  

CoreCivic, Inc. *

    7,157       80,516  

CorMedix, Inc. *

    570       2,109  

Crinetics Pharmaceuticals, Inc. *

    3,415       101,562  

Cross Country Healthcare, Inc. *

    1,865       46,233  

Cullinan Oncology, Inc. *

    1,549       14,018  

Cutera, Inc. *

    875       5,267  

CVRx, Inc. *

    134       2,033  

Cytokinetics, Inc. *

    452       13,316  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

279

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Day One Biopharmaceuticals, Inc. *

    302       $3,706  

Deciphera Pharmaceuticals, Inc. *

    2,085       26,521  

Deluxe Corp.

    2,747       51,891  

Design Therapeutics, Inc. *

    2,117       4,996  

Disc Medicine, Inc. *

    45       2,114  

Distribution Solutions Group, Inc. *

    22       572  

Dole PLC

    2,021       23,403  

Duckhorn Portfolio, Inc. *

    2,354       24,152  

Dynavax Technologies Corp. *

    1,241       18,330  

Dyne Therapeutics, Inc. *

    1,998       17,902  

Eagle Pharmaceuticals, Inc. *

    688       10,850  

Edgewell Personal Care Co.

    3,227       119,270  

Edgewise Therapeutics, Inc. *

    2,835       16,245  

Editas Medicine, Inc. *

    5,156       40,217  

Embecta Corp.

    3,309       49,800  

Emerald Holding, Inc. *

    1,091       4,931  

Emergent BioSolutions, Inc. *

    3,326       11,308  

Enanta Pharmaceuticals, Inc. *

    1,164       13,002  

Enhabit, Inc. *

    3,145       35,381  

Enliven Therapeutics, Inc. *

    1,539       21,023  

Ennis, Inc.

    1,577       33,464  

Entrada Therapeutics, Inc. *

    1,417       22,389  

EQRx, Inc. *

    19,813       43,985  

Erasca, Inc. *

    5,396       10,630  

European Wax Center, Inc. Class A *

    83       1,345  

EyePoint Pharmaceuticals, Inc. *

    711       5,681  

Fate Therapeutics, Inc. *

    4,829       10,237  

Fennec Pharmaceuticals, Inc. * (Canada)

    815       6,121  

FibroGen, Inc. *

    6,003       5,180  

First Advantage Corp.

    3,226       44,487  

FiscalNote Holdings, Inc. *

    3,530       7,342  

Forafric Global PLC * (Gibraltar)

    212       2,393  

Fresh Del Monte Produce, Inc.

    2,170       56,073  

Fulgent Genetics, Inc. *

    1,291       34,521  

Genelux Corp. *

    858       21,012  

Generation Bio Co. *

    2,948       11,173  

GEO Group, Inc. *

    7,544       61,710  

Geron Corp. *

    7,955       16,865  

Graham Holdings Co. Class B

    227       132,341  

Graphite Bio, Inc. *

    1,754       4,350  

Green Dot Corp. Class A *

    2,986       41,595  

Gritstone bio, Inc. *

    5,876       10,107  

Hackett Group, Inc.

    171       4,034  

Hain Celestial Group, Inc. *

    5,585       57,916  

Healthcare Services Group, Inc.

    148       1,544  

Heidrick & Struggles International, Inc.

    1,302       32,576  

Helen of Troy Ltd. *

    1,534       178,803  

Herbalife Ltd. *

    1,635       22,874  

HF Foods Group, Inc. *

    2,381       9,453  

HilleVax, Inc. *

    1,078       14,499  

Hostess Brands, Inc. *

    6,898       229,772  

Humacyte, Inc. *

    235       689  

Icosavax, Inc. *

    1,865       14,454  

Ideaya Biosciences, Inc. *

    1,205       32,511  

IGM Biosciences, Inc. *

    805       6,722  

Ikena Oncology, Inc. *

    1,355       5,867  

Immuneering Corp. Class A *

    330       2,534  

ImmunityBio, Inc. *

    1,257       2,124  

ImmunoGen, Inc. *

    6,350       100,774  

Inari Medical, Inc. *

    236       15,434  

Information Services Group, Inc.

    896       3,924  

Ingles Markets, Inc. Class A

    902       67,948  

Inhibrx, Inc. *

    780       14,313  

Innoviva, Inc. *

    3,309       42,984  

Inogen, Inc. *

    1,626       8,488  

Inozyme Pharma, Inc. *

    2,184       9,173  

Integer Holdings Corp. *

    2,100       164,703  

Intellia Therapeutics, Inc. *

    4,798       151,713  

Invitae Corp. *

    2,973       1,799  

Iovance Biotherapeutics, Inc. *

    14,474       65,857  

Ironwood Pharmaceuticals, Inc. *

    5,302       51,058  

iTeos Therapeutics, Inc. *

    1,633       17,881  
   

Shares

   

Value

 

Janux Therapeutics, Inc. *

    1,087       $10,957  

John Wiley & Sons, Inc. Class A

    2,744       101,994  

KalVista Pharmaceuticals, Inc. *

    1,493       14,378  

Kelly Services, Inc. Class A

    2,068       37,617  

Kezar Life Sciences, Inc. *

    4,886       5,814  

Kiniksa Pharmaceuticals Ltd. Class A *

    1,968       34,184  

Kodiak Sciences, Inc. *

    2,208       3,974  

Korn Ferry

    3,308       156,932  

Krispy Kreme, Inc.

    3,735       46,575  

Kura Oncology, Inc. *

    4,417       40,283  

Larimar Therapeutics, Inc. *

    1,636       6,462  

Laureate Education, Inc.

    1,197       16,878  

Lexicon Pharmaceuticals, Inc. *

    2,918       3,181  

LifeStance Health Group, Inc. *

    3,209       22,046  

Ligand Pharmaceuticals, Inc. *

    905       54,228  

Limoneira Co.

    1,102       16,883  

Lincoln Educational Services Corp. *

    1,615       13,647  

Liquidia Corp. *

    867       5,497  

LivaNova PLC *

    3,214       169,956  

LiveRamp Holdings, Inc. *

    4,194       120,955  

Longboard Pharmaceuticals, Inc. *

    600       3,336  

Lyell Immunopharma, Inc. *

    11,506       16,914  

MacroGenics, Inc. *

    2,825       13,164  

MannKind Corp. *

    3,096       12,786  

MarketWise, Inc.

    2,302       3,683  

Marqeta, Inc. Class A *

    26,853       160,581  

Matthews International Corp. Class A

    1,379       53,657  

MaxCyte, Inc. *

    4,910       15,319  

MeiraGTx Holdings PLC *

    655       3,216  

Mersana Therapeutics, Inc. *

    2,698       3,426  

MiMedx Group, Inc. *

    7,417       54,070  

Mineralys Therapeutics, Inc. *

    681       6,476  

Mission Produce, Inc. *

    2,742       26,543  

Monro, Inc.

    1,986       55,151  

Monte Rosa Therapeutics, Inc. *

    1,787       8,560  

Morphic Holding, Inc. *

    229       5,246  

Multiplan Corp. *

    24,464       41,100  

Myriad Genetics, Inc. *

    5,189       83,232  

Nano-X Imaging Ltd. * (Israel)

    2,796       18,342  

NanoString Technologies, Inc. *

    155       267  

National HealthCare Corp.

    792       50,672  

Natural Grocers by Vitamin Cottage, Inc.

    591       7,630  

Nature’s Sunshine Products, Inc. *

    844       13,985  

Nautilus Biotechnology, Inc. SPAC *

    2,726       8,614  

Neogen Corp. *

    13,799       255,833  

NeoGenomics, Inc. *

    7,344       90,331  

Nevro Corp. *

    1,475       28,349  

NGM Biopharmaceuticals, Inc. *

    3,058       3,272  

Nkarta, Inc. *

    1,957       2,720  

Novavax, Inc. *

    1,150       8,326  

Nurix Therapeutics, Inc. *

    2,870       22,558  

Nuvation Bio, Inc. *

    8,569       11,482  

Ocean Biomedical, Inc. *

    525       2,048  

Olema Pharmaceuticals, Inc. *

    1,619       19,995  

Omeros Corp. *

    2,387       6,970  

OmniAb, Inc. *

    5,745       29,817  

Omnicell, Inc. *

    1,459       65,713  

OPKO Health, Inc. *

    25,767       41,227  

OraSure Technologies, Inc. *

    4,523       26,821  

Organogenesis Holdings, Inc. *

    4,248       13,509  

ORIC Pharmaceuticals, Inc. *

    2,352       14,230  

Orthofix Medical, Inc. *

    2,179       28,022  

OrthoPediatrics Corp. *

    109       3,488  

Oscar Health, Inc. Class A *

    9,192       51,199  

Ovid therapeutics, Inc. *

    3,797       14,580  

Owens & Minor, Inc. *

    4,667       75,419  

Pacific Biosciences of California, Inc. *

    7,316       61,089  

Patterson Cos., Inc.

    4,268       126,504  

Paysafe Ltd. *

    2,019       24,208  

Pediatrix Medical Group, Inc. *

    5,370       68,253  

PepGen, Inc. *

    471       2,393  

Perdoceo Education Corp.

    4,218       72,128  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

280

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Performant Financial Corp. *

    1,147       $2,592  

PetIQ, Inc. *

    263       5,181  

Phathom Pharmaceuticals, Inc. *

    1,431       14,839  

Phibro Animal Health Corp. Class A

    916       11,697  

PMV Pharmaceuticals, Inc. *

    2,337       14,349  

Point Biopharma Global, Inc. SPAC *

    5,596       37,325  

Poseida Therapeutics, Inc. *

    4,514       10,743  

Precigen, Inc. *

    9,035       12,830  

Prelude Therapeutics, Inc. *

    564       1,743  

Prestige Consumer Healthcare, Inc. *

    3,132       179,119  

Primo Water Corp.

    8,605       118,749  

PROG Holdings, Inc. *

    2,356       78,243  

ProKidney Corp. *

    2,077       9,513  

Protagonist Therapeutics, Inc. *

    1,335       22,268  

Protalix BioTherapeutics, Inc. *

    3,474       5,767  

PTC Therapeutics, Inc. *

    890       19,945  

Pulse Biosciences, Inc. *

    715       2,881  

Quad/Graphics, Inc. *

    1,872       9,416  

Quanex Building Products Corp.

    2,130       60,002  

Quanterix Corp. *

    1,856       50,372  

Quantum-Si, Inc. *

    6,137       10,187  

Rallybio Corp. *

    2,065       6,959  

RAPT Therapeutics, Inc. *

    488       8,111  

Recursion Pharmaceuticals, Inc. Class A *

    8,653       66,195  

REGENXBIO, Inc. *

    2,499       41,134  

Relay Therapeutics, Inc. *

    5,765       48,484  

Reneo Pharmaceuticals, Inc. *

    320       2,437  

Rent the Runway, Inc. Class A *

    3,138       2,136  

Repay Holdings Corp. *

    5,098       38,694  

Replimune Group, Inc. *

    2,567       43,921  

Resources Connection, Inc.

    2,137       31,863  

Rigel Pharmaceuticals, Inc. *

    1,943       2,098  

Riot Platforms, Inc. *

    3,277       30,574  

Rocket Pharmaceuticals, Inc. *

    442       9,057  

Sabre Corp. *

    15,920       71,481  

Sage Therapeutics, Inc. *

    215       4,425  

Sagimet Biosciences, Inc. Class A *

    187       1,646  

Sana Biotechnology, Inc. *

    5,215       20,182  

Sangamo Therapeutics, Inc. *

    9,427       5,654  

Savara, Inc. *

    5,285       19,977  

Scholar Rock Holding Corp. *

    2,674       18,985  

Scilex Holding Co. *

    6,404       8,966  

SEACOR Marine Holdings, Inc. *

    1,566       21,736  

Seer, Inc. *

    3,871       8,555  

Selecta Biosciences, Inc. *

    5,775       6,121  

Seneca Foods Corp. Class A *

    354       19,056  

Seres Therapeutics, Inc. *

    2,175       5,176  

SomaLogic, Inc. *

    9,559       22,846  

SpartanNash Co.

    2,248       49,456  

Sterling Check Corp. *

    1,854       23,397  

Stoke Therapeutics, Inc. *

    1,852       7,297  

StoneCo Ltd. Class A * (Brazil)

    7,215       76,984  

Strategic Education, Inc.

    1,446       108,811  

SunOpta, Inc. * (Canada)

    159       536  

Surgery Partners, Inc. *

    375       10,969  

Sutro Biopharma, Inc. *

    4,028       13,977  

Syndax Pharmaceuticals, Inc. *

    734       10,658  

Tango Therapeutics, Inc. *

    2,827       31,832  

Taro Pharmaceutical Industries Ltd. *

    547       20,627  

Tarsus Pharmaceuticals, Inc. *

    1,540       27,366  

Tejon Ranch Co. *

    1,299       21,070  

Tenaya Therapeutics, Inc. *

    2,983       7,607  

Terns Pharmaceuticals, Inc. *

    947       4,763  

Textainer Group Holdings Ltd. (China)

    2,656       98,936  

Theravance Biopharma, Inc. *

    3,498       30,188  

Theseus Pharmaceuticals, Inc. *

    1,277       3,435  

Third Harmonic Bio, Inc. *

    1,315       8,403  

Thorne HealthTech, Inc. *

    519       5,289  

Travere Therapeutics, Inc. *

    416       3,719  

TreeHouse Foods, Inc. *

    2,886       125,772  

Trevi Therapeutics, Inc. *

    2,726       5,943  

Triton International Ltd. * (Bermuda)

    2,945       242,256  
   

Shares

   

Value

 

TrueBlue, Inc. *

    1,987       $29,149  

Turnstone Biologics Corp. *

    424       1,671  

Twist Bioscience Corp. *

    3,627       73,483  

Tyra Biosciences, Inc. *

    595       8,193  

United Natural Foods, Inc. *

    3,702       52,346  

Universal Corp.

    1,525       71,995  

Universal Technical Institute, Inc. *

    1,660       13,911  

Upbound Group, Inc.

    227       6,685  

UroGen Pharma Ltd. *

    209       2,928  

Utah Medical Products, Inc.

    9       774  

V2X, Inc. *

    707       36,524  

Vanda Pharmaceuticals, Inc. *

    3,424       14,792  

Varex Imaging Corp. *

    2,407       45,228  

Vector Group Ltd.

    7,629       81,173  

Vera Therapeutics, Inc. *

    1,059       14,519  

Veracyte, Inc. *

    4,642       103,656  

Verve Therapeutics, Inc. *

    3,235       42,896  

Vicarious Surgical, Inc. *

    2,496       1,474  

Vigil Neuroscience, Inc. *

    1,036       5,584  

Village Super Market, Inc. Class A

    537       12,158  

Vir Biotechnology, Inc. *

    5,048       47,300  

Viridian Therapeutics, Inc. *

    600       9,204  

Vor BioPharma, Inc. *

    2,509       5,319  

Waldencast PLC Class A *

    2,240       21,101  

WaVe Life Sciences Ltd. *

    3,832       22,034  

Weis Markets, Inc.

    1,057       66,591  

Willdan Group, Inc. *

    793       16,201  

WW International, Inc. *

    3,498       38,723  

X4 Pharmaceuticals, Inc. *

    4,226       4,606  

Xencor, Inc. *

    1,610       32,441  

XOMA Corp. *

    448       6,312  

Y-mAbs Therapeutics, Inc. *

    1,283       6,992  

Zevia PBC Class A *

    733       1,627  

Zevra Therapeutics, Inc. *

    2,327       11,216  

Zimvie, Inc. *

    1,583       14,896  

Zura Bio Ltd. * (United Kingdom)

    840       5,544  

Zymeworks, Inc. *

    3,500       22,190  
   

 

 

 
    11,375,188  
 

 

 

 

Energy - 10.5%

 

Alpha Metallurgical Resources, Inc.

    741       192,460  

Amplify Energy Corp. *

    2,438       17,919  

Arch Resources, Inc.

    1,167       199,160  

Archrock, Inc.

    7,280       91,728  

Aris Water Solutions, Inc. Class A

    1,870       18,663  

Atlas Energy Solutions, Inc. Class A

    819       18,206  

Berry Corp.

    4,841       39,696  

Bristow Group, Inc. *

    1,472       41,466  

California Resources Corp.

    4,568       255,854  

Callon Petroleum Co. *

    3,912       153,037  

Chord Energy Corp.

    2,663       431,592  

Civitas Resources, Inc.

    4,399       355,747  

Cleanspark, Inc. *

    6,147       23,420  

CNX Resources Corp. *

    10,120       228,510  

Comstock Resources, Inc.

    5,782       63,775  

CONSOL Energy, Inc.

    2,126       223,039  

Core Laboratories, Inc.

    2,023       48,572  

Crescent Energy Co. Class A

    1,534       19,390  

CVR Energy, Inc.

    191       6,500  

Delek U.S. Holdings, Inc.

    4,150       117,902  

Diamond Offshore Drilling, Inc. *

    6,391       93,820  

DMC Global, Inc. *

    893       21,852  

Dril-Quip, Inc. *

    2,139       60,256  

Earthstone Energy, Inc. Class A *

    3,602       72,904  

Energy Vault Holdings, Inc. *

    6,042       15,407  

Eneti, Inc.

    1,664       16,773  

Eos Energy Enterprises, Inc. *

    938       2,017  

Equitrans Midstream Corp.

    19,695       184,542  

Excelerate Energy, Inc. Class A

    282       4,805  

Expro Group Holdings NV *

    3,525       81,886  

Forum Energy Technologies, Inc. *

    623       14,964  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

281

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

FuelCell Energy, Inc. *

    26,259       $33,612  

FutureFuel Corp.

    1,658       11,888  

Gevo, Inc. *

    14,804       17,617  

Golar LNG Ltd. (Cameroon)

    6,053       146,846  

Granite Ridge Resources, Inc.

    1,738       10,602  

Green Plains, Inc. *

    3,028       91,143  

Gulfport Energy Corp. *

    696       82,587  

Hallador Energy Co. *

    1,433       20,664  

Helix Energy Solutions Group, Inc. *

    9,151       102,217  

Helmerich & Payne, Inc.

    6,185       260,760  

HighPeak Energy, Inc.

    180       3,038  

Kinetik Holdings, Inc.

    968       32,670  

KLX Energy Services Holdings, Inc. *

    728       8,627  

Kodiak Gas Services, Inc. *

    636       11,372  

Liberty Energy, Inc.

    9,949       184,256  

Magnolia Oil & Gas Corp. Class A

    708       16,220  

Mammoth Energy Services, Inc. *

    1,483       6,881  

Matador Resources Co.

    5,945       353,609  

Maxeon Solar Technologies Ltd. *

    542       6,282  

Murphy Oil Corp.

    9,446       428,376  

Nabors Industries Ltd. *

    53       6,526  

NACCO Industries, Inc. Class A

    288       10,100  

Newpark Resources, Inc. *

    4,887       33,769  

Noble Corp. PLC

    1,208       61,185  

Northern Oil & Gas, Inc.

    593       23,856  

NOW, Inc. *

    6,717       79,731  

Oil States International, Inc. *

    4,046       33,865  

Par Pacific Holdings, Inc. *

    2,182       78,421  

Patterson-UTI Energy, Inc.

    21,136       292,522  

PBF Energy, Inc. Class A

    7,238       387,450  

Peabody Energy Corp.

    7,912       205,633  

Permian Resources Corp.

    14,742       205,798  

PrimeEnergy Resources Corp. *

    40       4,640  

ProFrac Holding Corp. Class A *

    1,311       14,264  

ProPetro Holding Corp. *

    6,207       65,980  

Ramaco Resources, Inc. Class A

    1,497       16,452  

Ramaco Resources, Inc. Class B *

    299       3,567  

Ranger Energy Services, Inc.

    1,024       14,520  

REX American Resources Corp. *

    762       31,029  

Ring Energy, Inc. *

    7,327       14,288  

RPC, Inc.

    5,393       48,213  

SandRidge Energy, Inc.

    1,583       24,790  

Seadrill Ltd. * (Norway)

    3,214       143,955  

Select Water Solutions, Inc.

    5,138       40,847  

SilverBow Resources, Inc. *

    1,008       36,056  

Sitio Royalties Corp. Class A

    2,875       69,604  

SM Energy Co.

    7,620       302,133  

Solaris Oilfield Infrastructure, Inc. Class A

    1,745       18,602  

Stem, Inc. *

    9,160       38,838  

SunCoke Energy, Inc.

    5,417       54,983  

Sunnova Energy International, Inc. *

    3,351       35,085  

Talos Energy, Inc. *

    7,071       116,247  

Tellurian, Inc. *

    31,613       36,671  

U.S. Silica Holdings, Inc. *

    4,815       67,603  

VAALCO Energy, Inc.

    5,929       26,028  

Verde Clean Fuels, Inc. *

    333       1,255  

Vital Energy, Inc. *

    1,062       58,856  

Vitesse Energy, Inc.

    1,578       36,120  

Warrior Met Coal, Inc.

    3,295       168,309  
   

 

 

 
    7,852,920  
 

 

 

 

Financial - 33.7%

 

1st Source Corp.

    1,085       45,668  

Acadia Realty Trust REIT

    6,061       86,975  

ACNB Corp.

    575       18,176  

AFC Gamma, Inc. REIT

    985       11,564  

Alerus Financial Corp.

    1,126       20,471  

Alexander & Baldwin, Inc. REIT *

    4,764       79,702  

Alpine Income Property Trust, Inc. REIT

    850       13,906  

Amalgamated Financial Corp.

    1,130       19,459  

Ambac Financial Group, Inc. *

    2,889       34,841  
   

Shares

   

Value

 

Amerant Bancorp, Inc.

    1,634       $28,497  

American Assets Trust, Inc. REIT

    3,103       60,353  

American Coastal Insurance Corp. Class C *

    1,278       9,406  

American Equity Investment Life Holding Co. *

    4,938       264,874  

American National Bankshares, Inc.

    669       25,382  

American Realty Investors, Inc. *

    146       2,135  

Ameris Bancorp

    4,184       160,624  

AMERISAFE, Inc.

    598       29,942  

Ames National Corp.

    543       9,008  

Angel Oak Mortgage REIT, Inc.

    848       7,233  

Anywhere Real Estate, Inc. *

    6,359       40,888  

Apartment Investment & Management Co. Class A REIT *

    9,571       65,083  

Apollo Commercial Real Estate Finance, Inc. REIT

    9,120       92,386  

Apple Hospitality REIT, Inc.

    13,791       211,554  

Arbor Realty Trust, Inc. REIT

    11,438       173,629  

Ares Commercial Real Estate Corp. REIT

    3,382       32,197  

Argo Group International Holdings Ltd.

    2,053       61,262  

Armada Hoffler Properties, Inc. REIT

    4,351       44,554  

ARMOUR Residential REIT, Inc.

    14,404       61,217  

Arrow Financial Corp.

    1,023       17,408  

Artisan Partners Asset Management, Inc. Class A

    1,045       39,104  

Associated Banc-Corp.

    9,553       163,452  

Atlantic Union Bankshares Corp.

    4,802       138,202  

Atlanticus Holdings Corp. *

    308       9,335  

Avantax, Inc. *

    294       7,521  

Axos Financial, Inc. *

    3,187       120,660  

Banc of California, Inc.

    3,391       41,981  

BancFirst Corp.

    1,208       104,770  

Banco Latinoamericano de Comercio Exterior SA (Panama)

    1,721       36,485  

Bank First Corp.

    587       45,287  

Bank of Hawaii Corp.

    2,445       121,492  

Bank of Marin Bancorp

    983       17,969  

Bank of NT Butterfield & Son Ltd. (Bermuda)

    2,961       80,184  

Bank7 Corp.

    141       3,174  

BankUnited, Inc.

    4,757       107,984  

Bankwell Financial Group, Inc.

    360       8,737  

Banner Corp.

    2,154       91,287  

Bar Harbor Bankshares

    952       22,496  

BayCom Corp.

    711       13,658  

BCB Bancorp, Inc.

    1,022       11,385  

Berkshire Hills Bancorp, Inc.

    2,842       56,982  

BGC Group, Inc. Class A

    10,405       54,938  

Bit Digital, Inc. * (China)

    4,150       8,881  

Blackstone Mortgage Trust, Inc. Class A REIT

    10,982       238,859  

Blue Foundry Bancorp *

    1,569       13,133  

Blue Ridge Bankshares, Inc.

    1,210       5,469  

Braemar Hotels & Resorts, Inc. REIT

    4,221       11,692  

Brandywine Realty Trust REIT

    10,915       49,554  

Bread Financial Holdings, Inc.

    3,232       110,534  

Bridgewater Bancshares, Inc. *

    1,270       12,040  

Brightsphere Investment Group, Inc.

    1,276       24,742  

BrightSpire Capital, Inc. REIT

    8,132       50,906  

Broadstone Net Lease, Inc. REIT

    11,952       170,914  

Brookline Bancorp, Inc.

    5,692       51,854  

BRT Apartments Corp. REIT

    754       13,022  

Burke & Herbert Financial Services Corp.

    387       17,982  

Business First Bancshares, Inc.

    1,546       29,003  

Byline Bancorp, Inc.

    1,608       31,694  

C&F Financial Corp.

    190       10,184  

Cadence Bank

    11,579       245,706  

Cambridge Bancorp

    499       31,083  

Camden National Corp.

    946       26,696  

Cannae Holdings, Inc. *

    4,615       86,024  

Capital Bancorp, Inc.

    639       12,224  

Capital City Bank Group, Inc.

    541       16,138  

Capitol Federal Financial, Inc.

    8,273       39,462  

Capstar Financial Holdings, Inc.

    1,270       18,021  

CareTrust REIT, Inc.

    5,908       121,114  

Carter Bankshares, Inc. *

    1,538       19,271  

Cathay General Bancorp

    4,421       153,674  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

282

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

CBL & Associates Properties, Inc. REIT

    505       $10,595  

Centerspace REIT

    994       59,898  

Central Pacific Financial Corp.

    1,693       28,239  

Central Valley Community Bancorp

    655       9,242  

Chatham Lodging Trust REIT

    3,244       31,045  

Chemung Financial Corp.

    198       7,843  

Chicago Atlantic Real Estate Finance, Inc. REIT

    1,064       15,662  

Chimera Investment Corp. REIT

    14,829       80,966  

ChoiceOne Financial Services, Inc.

    411       8,072  

Citizens & Northern Corp.

    958       16,813  

Citizens Financial Services, Inc.

    212       10,159  

City Holding Co.

    855       77,249  

City Office REIT, Inc.

    2,510       10,668  

Civista Bancshares, Inc.

    1,050       16,275  

Claros Mortgage Trust, Inc. REIT

    5,890       65,261  

Clipper Realty, Inc. REIT

    449       2,326  

CNB Financial Corp.

    1,304       23,615  

CNO Financial Group, Inc.

    7,219       171,307  

Codorus Valley Bancorp, Inc.

    592       11,035  

Colony Bankcorp, Inc.

    1,042       10,415  

Columbia Financial, Inc. *

    1,182       18,569  

Community Bank System, Inc.

    3,391       143,134  

Community Healthcare Trust, Inc. REIT

    596       17,701  

Community Trust Bancorp, Inc.

    988       33,849  

Compass Diversified Holdings

    4,020       75,455  

Compass, Inc. Class A *

    2,979       8,639  

ConnectOne Bancorp, Inc.

    2,345       41,811  

Consumer Portfolio Services, Inc. *

    502       4,553  

COPT Defense Properties REIT

    7,170       170,861  

CrossFirst Bankshares, Inc. *

    2,892       29,180  

CTO Realty Growth, Inc. REIT

    1,426       23,115  

Cushman & Wakefield PLC *

    7,949       60,571  

Customers Bancorp, Inc. *

    1,812       62,423  

CVB Financial Corp.

    8,497       140,795  

DiamondRock Hospitality Co. REIT

    13,649       109,601  

Dime Community Bancshares, Inc.

    2,204       43,992  

Diversified Healthcare Trust REIT

    15,626       30,314  

Donegal Group, Inc. Class A

    888       12,658  

Douglas Elliman, Inc.

    5,541       12,523  

Douglas Emmett, Inc. REIT

    8,144       103,917  

Dynex Capital, Inc. REIT

    3,302       39,426  

Eagle Bancorp, Inc.

    1,865       40,004  

Easterly Government Properties, Inc. REIT

    5,917       67,631  

Eastern Bankshares, Inc.

    9,810       123,017  

eHealth, Inc. *

    1,073       7,940  

Ellington Financial, Inc. REIT

    4,011       50,017  

Elme Communities REIT

    5,483       74,788  

Empire State Realty Trust, Inc. Class A REIT

    8,505       68,380  

Employers Holdings, Inc.

    1,669       66,677  

Enact Holdings, Inc.

    1,932       52,608  

Encore Capital Group, Inc. *

    1,501       71,688  

Enova International, Inc. *

    1,910       97,162  

Enstar Group Ltd. *

    759       183,678  

Enterprise Bancorp, Inc.

    622       17,030  

Enterprise Financial Services Corp.

    2,327       87,263  

Equity Bancshares, Inc. Class A

    965       23,228  

Equity Commonwealth REIT

    6,697       123,024  

Esquire Financial Holdings, Inc.

    29       1,325  

ESSA Bancorp, Inc.

    511       7,670  

Essent Group Ltd.

    6,731       318,309  

Essential Properties Realty Trust, Inc. REIT

    8,884       192,161  

Evans Bancorp, Inc.

    313       8,388  

F&G Annuities & Life, Inc.

    1,084       30,417  

Farmers & Merchants Bancorp, Inc.

    822       14,410  

Farmers National Banc Corp.

    2,307       26,669  

Farmland Partners, Inc. REIT

    3,042       31,211  

FB Financial Corp.

    2,295       65,086  

Federal Agricultural Mortgage Corp. Class C

    486       74,990  

Fidelis Insurance Holdings Ltd. * (Bermuda)

    701       10,291  

Fidelity D&D Bancorp, Inc.

    300       13,620  

Finance Of America Cos., Inc. Class A *

    3,068       3,927  

Financial Institutions, Inc.

    929       15,635  
   

Shares

   

Value

 

First BanCorp

    10,257       $138,059  

First Bancorp, Inc.

    691       16,239  

First Bancshares, Inc.

    1,951       52,618  

First Bank

    1,365       14,715  

First Busey Corp.

    3,284       63,118  

First Business Financial Services, Inc.

    485       14,555  

First Commonwealth Financial Corp.

    6,461       78,889  

First Community Bankshares, Inc.

    1,130       33,279  

First Community Corp.

    495       8,549  

First Financial Bancorp

    6,009       117,776  

First Financial Corp.

    788       26,642  

First Foundation, Inc.

    3,256       19,796  

First Interstate BancSystem, Inc. Class A

    5,229       130,411  

First Merchants Corp.

    3,732       103,824  

First Mid Bancshares, Inc.

    1,245       33,067  

First of Long Island Corp.

    1,361       15,665  

First Western Financial, Inc. *

    482       8,748  

FirstCash Holdings, Inc.

    2,572       72,376  

Five Star Bancorp

    515       10,331  

Flushing Financial Corp.

    1,798       23,608  

Forge Global Holdings, Inc. *

    6,721       13,644  

Four Corners Property Trust, Inc. REIT

    5,001       110,972  

Franklin BSP Realty Trust, Inc. REIT

    5,205       68,914  

FRP Holdings, Inc. *

    435       23,477  

FS Bancorp, Inc.

    360       10,620  

FTAI Infrastructure, Inc.

    6,375       20,528  

Fulton Financial Corp.

    10,453       126,586  

FVCBankcorp, Inc. *

    1,004       12,861  

GCM Grosvenor, Inc. Class A

    277       2,150  

Genworth Financial, Inc. Class A *

    30,164       176,761  

German American Bancorp, Inc.

    1,803       48,843  

Getty Realty Corp. REIT

    2,903       80,500  

Glacier Bancorp, Inc.

    7,077       201,695  

Gladstone Commercial Corp. REIT

    2,194       26,679  

Gladstone Land Corp. REIT

    2,146       30,538  

Global Medical REIT, Inc.

    4,075       36,553  

Global Net Lease, Inc. REIT

    12,545       120,557  

GoHealth, Inc. Class A *

    282       4,086  

Granite Point Mortgage Trust, Inc. REIT

    3,299       16,099  

Great Southern Bancorp, Inc.

    597       28,608  

Greene County Bancorp, Inc.

    223       5,363  

Greenlight Capital Re Ltd. Class A *

    1,508       16,196  

Guaranty Bancshares, Inc.

    578       16,583  

Hamilton Lane, Inc. Class A

    943       85,285  

Hancock Whitney Corp.

    5,523       204,296  

Hanmi Financial Corp.

    1,913       31,048  

Hannon Armstrong Sustainable Infrastructure Capital, Inc. REIT

    6,073       128,748  

HarborOne Bancorp, Inc.

    2,615       24,895  

HBT Financial, Inc.

    915       16,690  

Heartland Financial USA, Inc.

    2,692       79,226  

Heritage Commerce Corp.

    3,902       33,050  

Heritage Financial Corp.

    2,298       37,480  

Hersha Hospitality Trust Class A REIT

    1,974       19,464  

Hilltop Holdings, Inc.

    3,006       85,250  

Hingham Institution For Savings

    97       18,115  

Hippo Holdings, Inc. *

    730       5,818  

Home Bancorp, Inc.

    448       14,278  

Home BancShares, Inc.

    12,080       252,955  

HomeStreet, Inc.

    1,083       8,437  

HomeTrust Bancshares, Inc.

    745       16,144  

Hope Bancorp, Inc.

    7,280       64,428  

Horace Mann Educators Corp.

    2,539       74,596  

Horizon Bancorp, Inc.

    2,866       30,609  

Hudson Pacific Properties, Inc. REIT

    8,897       59,165  

Independence Realty Trust, Inc. REIT

    14,466       203,537  

Independent Bank Corp.

    2,826       138,728  

Independent Bank Corp. MI

    1,249       22,907  

Independent Bank Group, Inc.

    2,291       90,609  

Innovative Industrial Properties, Inc. REIT

    1,776       134,372  

International Bancshares Corp.

    3,434       148,830  

InvenTrust Properties Corp. REIT

    4,386       104,431  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

283

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Invesco Mortgage Capital, Inc. REIT

    2,789       $27,918  

Investors Title Co.

    58       8,589  

Jackson Financial, Inc. Class A

    5,179       197,941  

James River Group Holdings Ltd.

    2,305       35,382  

JBG SMITH Properties REIT

    6,930       100,208  

John Marshall Bancorp, Inc.

    797       14,226  

Kearny Financial Corp.

    3,613       25,038  

Kennedy-Wilson Holdings, Inc.

    7,601       112,039  

Kite Realty Group Trust REIT

    13,916       298,081  

KKR Real Estate Finance Trust, Inc. REIT

    3,803       45,142  

Ladder Capital Corp. REIT

    7,139       73,246  

Lakeland Bancorp, Inc.

    4,056       51,187  

Lakeland Financial Corp.

    1,473       69,909  

LCNB Corp.

    626       8,933  

Legacy Housing Corp. *

    660       12,811  

Lemonade, Inc. *

    2,695       31,316  

LendingClub Corp. *

    6,896       42,066  

LendingTree, Inc. *

    471       7,301  

Live Oak Bancshares, Inc.

    2,136       61,837  

LTC Properties, Inc. REIT

    2,619       84,148  

Luther Burbank Corp.

    933       7,837  

LXP Industrial Trust REIT

    18,417       163,911  

Macatawa Bank Corp.

    1,744       15,626  

Macerich Co. REIT

    13,814       150,711  

Maiden Holdings Ltd. *

    5,646       9,937  

MainStreet Bancshares, Inc.

    405       8,319  

Marcus & Millichap, Inc.

    928       27,228  

MBIA, Inc. *

    3,097       22,329  

Mercantile Bank Corp.

    1,026       31,714  

Merchants Bancorp

    1,028       28,496  

Mercury General Corp.

    1,727       48,408  

Metrocity Bankshares, Inc.

    1,188       23,380  

Metropolitan Bank Holding Corp. *

    613       22,240  

MFA Financial, Inc. REIT

    6,530       62,753  

Mid Penn Bancorp, Inc.

    865       17,412  

Middlefield Banc Corp.

    474       12,044  

Midland States Bancorp, Inc.

    1,367       28,078  

MidWestOne Financial Group, Inc.

    903       18,358  

Moelis & Co. Class A

    1,739       78,481  

Mr Cooper Group, Inc. *

    4,167       223,185  

MVB Financial Corp.

    728       16,438  

National Bank Holdings Corp. Class A

    2,236       66,543  

National Bankshares, Inc.

    332       8,313  

National Health Investors, Inc. REIT

    2,413       123,932  

National Western Life Group, Inc. Class A

    147       64,311  

Navient Corp.

    5,672       97,672  

NBT Bancorp, Inc.

    2,695       85,405  

Nelnet, Inc. Class A

    920       82,174  

NETSTREIT Corp. REIT

    4,250       66,215  

New York Mortgage Trust, Inc. REIT

    5,744       48,767  

Newmark Group, Inc. Class A

    8,871       57,041  

NewtekOne, Inc.

    1,483       21,874  

NexPoint Diversified Real Estate Trust REIT

    2,074       18,065  

Nexpoint Real Estate Finance, Inc. REIT

    597       9,767  

NexPoint Residential Trust, Inc. REIT

    1,029       33,113  

NI Holdings, Inc. *

    512       6,589  

Nicolet Bankshares, Inc.

    832       58,057  

NMI Holdings, Inc. Class A *

    4,782       129,544  

Northeast Bank

    416       18,346  

Northeast Community Bancorp, Inc.

    837       12,354  

Northfield Bancorp, Inc.

    2,752       26,006  

Northrim BanCorp, Inc.

    357       14,144  

Northwest Bancshares, Inc.

    8,175       83,630  

Norwood Financial Corp.

    426       10,974  

Oak Valley Bancorp

    434       10,885  

OceanFirst Financial Corp.

    3,719       53,814  

Ocwen Financial Corp. *

    421       10,895  

Office Properties Income Trust REIT

    2,931       12,017  

OFG Bancorp

    2,947       87,997  

Old National Bancorp

    18,579       270,139  

Old Second Bancorp, Inc.

    2,802       38,135  

One Liberty Properties, Inc. REIT

    1,048       19,776  
   

Shares

   

Value

 

OppFi, Inc. *

    431       $1,086  

Orange County Bancorp, Inc.

    310       13,383  

Orchid Island Capital, Inc. REIT

    2,777       23,632  

Origin Bancorp, Inc.

    1,901       54,882  

Orion Office REIT, Inc.

    3,770       19,642  

Orrstown Financial Services, Inc.

    625       13,131  

Outfront Media, Inc. REIT

    5,132       51,833  

Pacific Premier Bancorp, Inc.

    6,062       131,909  

PacWest Bancorp

    7,477       59,143  

Pagseguro Digital Ltd. Class A * (Brazil)

    4,925       42,404  

Paramount Group, Inc. REIT

    11,796       54,498  

Park National Corp.

    907       85,730  

Parke Bancorp, Inc.

    639       10,409  

Pathward Financial, Inc.

    1,124       51,805  

PCB Bancorp

    660       10,197  

Peakstone Realty Trust REIT *

    2,283       37,989  

Peapack-Gladstone Financial Corp.

    1,096       28,112  

Pebblebrook Hotel Trust REIT

    7,734       105,105  

Penns Woods Bancorp, Inc.

    364       7,673  

PennyMac Financial Services, Inc.

    1,511       100,633  

PennyMac Mortgage Investment Trust REIT

    5,572       69,093  

Peoples Bancorp, Inc.

    2,122       53,856  

Peoples Financial Services Corp.

    444       17,804  

Phillips Edison & Co., Inc. REIT

    6,228       208,887  

Physicians Realty Trust REIT

    15,165       184,861  

Piedmont Office Realty Trust, Inc. Class A REIT

    8,152       45,814  

Pioneer Bancorp, Inc. *

    681       5,816  

Piper Sandler Cos.

    189       27,464  

Plumas Bancorp

    273       9,320  

Plymouth Industrial REIT, Inc.

    2,769       58,011  

Ponce Financial Group, Inc. *

    1,319       10,315  

Postal Realty Trust, Inc. Class A REIT

    1,151       15,539  

PotlatchDeltic Corp. REIT

    5,030       228,312  

PRA Group, Inc. *

    2,480       47,641  

Preferred Bank

    439       27,328  

Premier Financial Corp.

    2,326       39,682  

Primis Financial Corp.

    1,296       10,562  

Princeton Bancorp, Inc.

    309       8,958  

ProAssurance Corp.

    3,381       63,867  

Provident Financial Services, Inc.

    4,650       71,099  

QCR Holdings, Inc.

    1,074       52,110  

Radian Group, Inc.

    10,014       251,452  

RBB Bancorp

    1,048       13,393  

RE/MAX Holdings, Inc. Class A

    1,141       14,765  

Ready Capital Corp. REIT

    10,220       103,324  

Red River Bancshares, Inc.

    310       14,248  

Redwood Trust, Inc. REIT

    7,233       51,571  

Regional Management Corp.

    484       13,397  

Renasant Corp.

    3,505       91,796  

Republic Bancorp, Inc. Class A

    565       24,888  

Retail Opportunity Investments Corp. REIT

    8,022       99,312  

RLJ Lodging Trust REIT

    10,007       97,969  

RMR Group, Inc. Class A

    339       8,312  

RPT Realty REIT

    5,491       57,985  

S&T Bancorp, Inc.

    2,511       67,998  

Sabra Health Care REIT, Inc.

    14,856       207,093  

Safehold, Inc. REIT

    2,773       49,359  

Safety Insurance Group, Inc.

    915       62,394  

Sandy Spring Bancorp, Inc.

    2,869       61,483  

Saul Centers, Inc. REIT

    79       2,786  

Sculptor Capital Management, Inc.

    522       6,055  

Seacoast Banking Corp. of Florida

    5,373       117,991  

Security National Financial Corp. Class A *

    666       5,221  

Selectquote, Inc. *

    8,384       9,809  

Service Properties Trust REIT

    10,421       80,137  

ServisFirst Bancshares, Inc.

    2,139       111,592  

Shore Bancshares, Inc.

    1,940       20,409  

Sierra Bancorp

    856       16,230  

Simmons First National Corp. Class A

    8,053       136,579  

SiriusPoint Ltd. * (Bermuda)

    5,189       52,772  

SITE Centers Corp. REIT

    12,285       151,474  

Skyward Specialty Insurance Group, Inc. *

    1,079       29,521  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

284

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

SL Green Realty Corp. REIT

    3,913       $145,955  

SmartFinancial, Inc.

    998       21,327  

South Plains Financial, Inc.

    782       20,676  

Southern First Bancshares, Inc. *

    493       13,281  

Southern Missouri Bancorp, Inc.

    554       21,434  

Southern States Bancshares, Inc.

    389       8,788  

Southside Bancshares, Inc.

    1,889       54,214  

SouthState Corp.

    4,837       325,820  

Star Holdings REIT *

    859       10,755  

Stellar Bancorp, Inc.

    2,962       63,150  

Sterling Bancorp, Inc. *

    1,330       7,767  

Stewart Information Services Corp.

    1,732       75,862  

Stock Yards Bancorp, Inc.

    217       8,526  

StoneX Group, Inc. *

    1,007       97,598  

Stratus Properties, Inc. *

    358       9,809  

Summit Financial Group, Inc.

    697       15,710  

Summit Hotel Properties, Inc. REIT

    6,775       39,295  

Sunstone Hotel Investors, Inc. REIT

    13,220       123,607  

SWK Holdings Corp. *

    92       1,449  

Tanger Factory Outlet Centers, Inc. REIT

    3,438       77,699  

Terreno Realty Corp. REIT

    5,233       297,234  

Texas Capital Bancshares, Inc. *

    3,060       180,234  

Third Coast Bancshares, Inc. *

    734       12,551  

Timberland Bancorp, Inc.

    405       10,976  

Tiptree, Inc.

    1,179       19,760  

Tompkins Financial Corp.

    854       41,837  

Towne Bank

    4,429       101,557  

TPG RE Finance Trust, Inc. REIT

    4,475       30,117  

Transcontinental Realty Investors, Inc. REIT *

    99       3,031  

TriCo Bancshares

    2,007       64,284  

Triumph Financial, Inc. *

    1,409       91,289  

TrustCo Bank Corp.

    1,157       31,575  

Trustmark Corp.

    3,860       83,878  

Two Harbors Investment Corp. REIT

    6,253       82,790  

UMB Financial Corp.

    2,816       174,733  

UMH Properties, Inc. REIT

    2,919       40,924  

United Bankshares, Inc.

    8,329       229,797  

United Community Banks, Inc.

    7,356       186,916  

United Fire Group, Inc.

    1,271       25,102  

Uniti Group, Inc. REIT

    15,112       71,329  

Unity Bancorp, Inc.

    507       11,879  

Universal Insurance Holdings, Inc.

    1,291       18,100  

Univest Financial Corp.

    1,803       31,336  

Urban Edge Properties REIT

    7,317       111,657  

USCB Financial Holdings, Inc. *

    630       6,621  

Valley National Bancorp

    27,592       236,188  

Velocity Financial, Inc. *

    607       6,859  

Veris Residential, Inc. REIT

    5,018       82,797  

Veritex Holdings, Inc.

    3,201       57,458  

Victory Capital Holdings, Inc. Class A

    198       6,601  

Virginia National Bankshares Corp.

    300       9,105  

Virtus Investment Partners, Inc.

    387       78,170  

Walker & Dunlop, Inc.

    2,018       149,816  

Washington Federal, Inc.

    4,177       107,015  

Washington Trust Bancorp, Inc.

    1,089       28,673  

Waterstone Financial, Inc.

    1,183       12,954  

WesBanco, Inc.

    3,636       88,791  

West BanCorp, Inc.

    1,085       17,696  

Westamerica BanCorp

    1,122       48,527  

Whitestone REIT

    3,104       29,892  

World Acceptance Corp. *

    240       30,494  

WSFS Financial Corp.

    3,877       141,511  

Xenia Hotels & Resorts, Inc. REIT

    7,034       82,861  
   

 

 

 
    25,257,022  
 

 

 

 

Industrial - 12.4%

 

908 Devices, Inc. *

    1,572       10,470  

AAR Corp. *

    2,218       132,038  

AerSale Corp. *

    1,560       23,306  

Air Transport Services Group, Inc. *

    3,537       73,817  

Albany International Corp. Class A

    235       20,276  
   

Shares

   

Value

 

American Woodmark Corp. *

    980       $74,098  

AMMO, Inc. *

    5,541       11,193  

Apogee Enterprises, Inc.

    853       40,159  

ArcBest Corp.

    932       94,738  

Archer Aviation, Inc. Class A *

    9,777       49,472  

Arcosa, Inc.

    3,080       221,452  

Ardmore Shipping Corp. (Ireland)

    2,690       34,997  

Argan, Inc.

    786       35,779  

Aspen Aerogels, Inc. *

    3,118       26,815  

Astec Industries, Inc.

    1,467       69,110  

Astronics Corp. *

    1,658       26,296  

Atmus Filtration Technologies, Inc. *

    398       8,298  

AZZ, Inc.

    1,553       70,786  

Babcock & Wilcox Enterprises, Inc. *

    3,584       15,089  

Barnes Group, Inc.

    3,057       103,846  

Bel Fuse, Inc. Class B

    594       28,346  

Belden, Inc.

    1,020       98,481  

Benchmark Electronics, Inc.

    2,296       55,701  

Blink Charging Co. *

    1,632       4,994  

Boise Cascade Co.

    2,523       259,970  

CECO Environmental Corp. *

    1,936       30,918  

Chart Industries, Inc. *

    1,055       178,422  

Chase Corp.

    70       8,906  

CIRCOR International, Inc. *

    143       7,972  

Clearwater Paper Corp. *

    1,038       37,627  

Columbus McKinnon Corp.

    1,794       62,629  

Comtech Telecommunications Corp.

    1,754       15,347  

Concrete Pumping Holdings, Inc. *

    617       5,294  

Core Molding Technologies, Inc. *

    466       13,276  

Costamare, Inc. (Monaco)

    3,068       29,514  

Covenant Logistics Group, Inc.

    548       24,030  

CryoPort, Inc. *

    457       6,265  

DHT Holdings, Inc.

    8,824       90,887  

Dorian LPG Ltd.

    805       23,128  

Ducommun, Inc. *

    828       36,026  

DXP Enterprises, Inc. *

    902       31,516  

Eagle Bulk Shipping, Inc.

    583       24,503  

Eastman Kodak Co. *

    3,833       16,137  

Encore Wire Corp.

    1,021       186,292  

EnerSys

    179       16,946  

EnPro Industries, Inc.

    1,332       161,425  

Enviri Corp. *

    5,052       36,475  

ESCO Technologies, Inc.

    678       70,810  

ESS Tech, Inc. *

    5,408       10,167  

Evolv Technologies Holdings, Inc. *

    5,914       28,742  

FARO Technologies, Inc. *

    1,085       16,525  

FLEX LNG Ltd. * (Norway)

    611       18,428  

Fluor Corp. *

    664       24,369  

GATX Corp.

    2,108       229,414  

Genco Shipping & Trading Ltd.

    2,657       37,171  

Gencor Industries, Inc. *

    587       8,294  

Gibraltar Industries, Inc. *

    844       56,978  

Golden Ocean Group Ltd. * (Norway)

    7,888       62,157  

GoPro, Inc. Class A *

    8,617       27,057  

Gorman-Rupp Co.

    1,152       37,901  

GrafTech International Ltd.

    5,370       20,567  

Granite Construction, Inc.

    2,400       91,248  

Great Lakes Dredge & Dock Corp. *

    4,132       32,932  

Greenbrier Cos., Inc.

    1,937       77,480  

Greif, Inc. Class A

    1,544       103,155  

Greif, Inc. Class B

    322       21,432  

Griffon Corp.

    1,132       44,906  

Heartland Express, Inc.

    2,999       44,055  

Heritage-Crystal Clean, Inc. *

    935       42,402  

Hillman Solutions Corp. *

    12,249       101,054  

Himalaya Shipping Ltd. * (Bermuda)

    355       1,715  

Hub Group, Inc. Class A *

    1,980       155,509  

Ichor Holdings Ltd. *

    1,777       55,016  

INNOVATE Corp. *

    2,804       4,542  

Insteel Industries, Inc.

    1,175       38,140  

International Seaways, Inc.

    2,559       115,155  

Intevac, Inc. *

    1,495       4,649  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

285

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Iteris, Inc. *

    1,000       $4,140  

Itron, Inc. *

    2,621       158,780  

JELD-WEN Holding, Inc. *

    5,400       72,144  

Joby Aviation, Inc. *

    11,712       75,542  

Kaman Corp.

    1,789       35,154  

Kennametal, Inc.

    5,085       126,515  

Kimball Electronics, Inc. *

    1,187       32,500  

Knife River Corp. *

    3,587       175,153  

Knowles Corp. *

    5,671       83,988  

Kratos Defense & Security Solutions, Inc. *

    7,930       119,109  

Latham Group, Inc. *

    2,646       7,409  

Li-Cycle Holdings Corp. * (Canada)

    8,890       31,559  

Limbach Holdings, Inc. *

    474       15,040  

LSB Industries, Inc. *

    3,457       35,365  

LSI Industries, Inc.

    359       5,701  

Luxfer Holdings PLC (United Kingdom)

    1,736       22,655  

Manitowoc Co., Inc. *

    2,187       32,914  

Marten Transport Ltd.

    677       13,344  

Masterbrand, Inc. *

    8,193       99,545  

Matson, Inc.

    2,273       201,661  

Mayville Engineering Co., Inc. *

    667       7,317  

Mirion Technologies, Inc. *

    12,615       94,234  

Mistras Group, Inc. *

    1,325       7,221  

Modine Manufacturing Co. *

    1,183       54,122  

Moog, Inc. Class A

    1,444       163,114  

Mueller Industries, Inc.

    2,011       151,147  

National Presto Industries, Inc.

    324       23,477  

NL Industries, Inc.

    509       2,418  

nLight, Inc. *

    2,734       28,434  

Nordic American Tankers Ltd.

    12,991       53,523  

Northwest Pipe Co. *

    589       17,770  

NV5 Global, Inc. *

    77       7,410  

NVE Corp.

    26       2,136  

O-I Glass, Inc. *

    1,516       25,363  

Olympic Steel, Inc.

    621       34,906  

Overseas Shipholding Group, Inc. Class A *

    3,672       16,120  

Pactiv Evergreen, Inc.

    2,748       22,341  

PAM Transportation Services, Inc. *

    369       7,952  

Pangaea Logistics Solutions Ltd.

    2,141       12,589  

Park Aerospace Corp.

    1,134       17,611  

Park-Ohio Holdings Corp.

    550       10,950  

Plexus Corp. *

    208       19,340  

Powell Industries, Inc.

    574       47,585  

Primoris Services Corp.

    3,142       102,838  

Proto Labs, Inc. *

    1,701       44,906  

PureCycle Technologies, Inc. *

    5,864       32,897  

Radiant Logistics, Inc. *

    2,481       14,018  

Ranpak Holdings Corp. *

    2,709       14,737  

RXO, Inc. *

    970       19,138  

Ryerson Holding Corp.

    1,437       41,802  

Safe Bulkers, Inc. (Greece)

    4,692       15,202  

Sanmina Corp. *

    3,472       188,460  

Scorpio Tankers, Inc. (Monaco)

    3,138       169,829  

SFL Corp. Ltd. (Norway)

    7,198       80,258  

SmartRent, Inc. *

    11,568       30,192  

Smith & Wesson Brands, Inc.

    2,814       36,329  

Southland Holdings, Inc. *

    256       1,554  

SPX Technologies, Inc. *

    480       39,072  

Standex International Corp.

    140       20,397  

Sterling Infrastructure, Inc. *

    237       17,415  

Stoneridge, Inc. *

    1,332       26,733  

Sturm Ruger & Co., Inc.

    66       3,440  

Summit Materials, Inc. Class A *

    7,562       235,481  

Teekay Corp. * (Bermuda)

    4,182       25,803  

Teekay Tankers Ltd. Class A (Canada)

    1,506       62,695  

Tennant Co.

    566       41,969  

Terex Corp.

    1,790       103,140  

Thermon Group Holdings, Inc. *

    1,859       51,067  

TimkenSteel Corp. *

    2,799       60,794  

Tredegar Corp.

    1,652       8,937  

TriMas Corp.

    2,676       66,258  

Trinity Industries, Inc.

    4,226       102,903  
   

Shares

   

Value

 

Triumph Group, Inc. *

    4,161       $31,873  

TTM Technologies, Inc. *

    6,568       84,596  

Turtle Beach Corp. *

    1,074       9,747  

Tutor Perini Corp. *

    2,698       21,125  

UFP Industries, Inc.

    3,244       332,186  

Universal Logistics Holdings, Inc.

    446       11,230  

Vishay Intertechnology, Inc.

    8,192       202,506  

Werner Enterprises, Inc.

    3,447       134,261  

Willis Lease Finance Corp. *

    171       7,233  

World Kinect Corp.

    3,878       86,984  

Worthington Industries, Inc.

    1,952       120,673  

Xometry, Inc. Class A *

    1,938       32,907  

Zurn Elkay Water Solutions Corp.

    7,547       211,467  
   

 

 

 
    9,335,382  
 

 

 

 

Technology - 3.7%

 

3D Systems Corp. *

    8,130       39,918  

ACI Worldwide, Inc. *

    962       21,703  

ACM Research, Inc. Class A *

    2,564       46,421  

Adeia, Inc.

    893       9,537  

Alpha & Omega Semiconductor Ltd. *

    1,508       44,999  

Ambarella, Inc. *

    910       48,257  

American Software, Inc. Class A

    387       4,435  

Amkor Technology, Inc.

    6,509       147,103  

Asure Software, Inc. *

    966       9,138  

Atomera, Inc. *

    413       2,585  

Avid Technology, Inc. *

    634       17,036  

AvidXchange Holdings, Inc. *

    914       8,665  

Bandwidth, Inc. Class A *

    1,161       13,084  

Brightcove, Inc. *

    2,944       9,686  

C3.ai, Inc. Class A *

    891       22,738  

Cantaloupe, Inc. *

    1,223       7,644  

Cardlytics, Inc. *

    2,091       34,502  

Cerence, Inc. *

    2,612       53,206  

CEVA, Inc. *

    215       4,169  

Climb Global Solutions, Inc.

    55       2,366  

Cohu, Inc. *

    2,963       102,046  

CommVault Systems, Inc. *

    182       12,305  

Computer Programs & Systems, Inc. *

    962       15,334  

Conduent, Inc. *

    11,265       39,202  

Consensus Cloud Solutions, Inc. *

    585       14,730  

CS Disco, Inc. *

    1,429       9,489  

Daily Journal Corp. *

    67       19,698  

Definitive Healthcare Corp. *

    1,917       15,317  

Desktop Metal, Inc. Class A *

    17,739       25,899  

Digi International, Inc. *

    258       6,966  

Digital Turbine, Inc. *

    4,448       26,910  

Diodes, Inc. *

    604       47,619  

Donnelley Financial Solutions, Inc. *

    441       24,819  

E2open Parent Holdings, Inc. *

    10,835       49,191  

Ebix, Inc.

    1,248       12,330  

EverCommerce, Inc. *

    348       3,490  

Fastly, Inc. Class A *

    1,195       22,908  

Grid Dynamics Holdings, Inc. *

    763       9,293  

Health Catalyst, Inc. *

    1,565       15,838  

HireRight Holdings Corp. *

    1,041       9,900  

Immersion Corp.

    1,972       13,035  

IonQ, Inc. *

    8,628       128,385  

Kulicke & Soffa Industries, Inc. (Singapore)

    1,068       51,937  

Matterport, Inc. *

    16,167       35,082  

MeridianLink, Inc. *

    566       9,656  

Mitek Systems, Inc. *

    221       2,369  

N-Able, Inc. *

    431       5,560  

Navitas Semiconductor Corp. *

    5,857       40,706  

NetScout Systems, Inc. *

    4,283       120,010  

NextGen Healthcare, Inc. *

    1,501       35,619  

NextNav, Inc. *

    449       2,308  

Olo, Inc. Class A *

    2,758       16,713  

ON24, Inc.

    2,103       13,312  

OneSpan, Inc. *

    222       2,387  

Onto Innovation, Inc. *

    442       56,364  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

286

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Outbrain, Inc. *

    2,767       $13,475  

PAR Technology Corp. *

    1,555       59,930  

Parsons Corp. *

    1,430       77,721  

Photronics, Inc. *

    3,873       78,273  

Planet Labs PBC *

    1,001       2,603  

Playstudios, Inc. *

    5,706       18,145  

PROS Holdings, Inc. *

    806       27,904  

PubMatic, Inc. Class A *

    2,298       27,806  

Rackspace Technology, Inc. *

    4,649       10,925  

Richardson Electronics Ltd.

    794       8,678  

Semtech Corp. *

    4,044       104,133  

Sharecare, Inc. *

    17,903       16,836  

Skillsoft Corp. *

    6,126       5,430  

SMART Global Holdings, Inc. *

    2,375       57,831  

SolarWinds Corp. *

    3,374       31,851  

Synaptics, Inc. *

    2,305       206,159  

System1, Inc. *

    1,732       2,096  

Tingo Group, Inc. *

    7,434       7,620  

Ultra Clean Holdings, Inc. *

    2,798       83,017  

Unisys Corp. *

    4,506       15,546  

Veeco Instruments, Inc. *

    3,245       91,217  

Veradigm, Inc. *

    6,951       91,336  

Verint Systems, Inc. *

    334       7,679  

Vimeo, Inc. *

    3,174       11,236  

Vishay Precision Group, Inc. *

    786       26,394  

Vuzix Corp. *

    3,442       12,494  

Xerox Holdings Corp.

    7,367       115,588  
   

 

 

 
    2,775,842  
 

 

 

 

Utilities - 3.9%

 

ALLETE, Inc.

    3,707       195,730  

Altus Power, Inc. *

    3,992       20,958  

Artesian Resources Corp. Class A

    120       5,039  

Avista Corp.

    4,789       155,020  

Black Hills Corp.

    4,261       215,564  

Brookfield Infrastructure Corp. Class A (Canada)

    5,641       199,353  

California Water Service Group

    2,495       118,038  

Chesapeake Utilities Corp.

    387       37,829  

Consolidated Water Co. Ltd. (Cayman)

    720       20,477  

Genie Energy Ltd. Class B

    567       8,352  

MGE Energy, Inc.

    1,122       76,868  

New Jersey Resources Corp.

    2,935       119,249  

Northwest Natural Holding Co.

    2,245       85,669  

Northwestern Energy Group, Inc.

    3,819       183,541  

ONE Gas, Inc.

    3,512       239,799  

Ormat Technologies, Inc.

    1,230       86,002  

Otter Tail Corp.

    1,228       93,230  

PNM Resources, Inc.

    4,865       217,028  

Portland General Electric Co.

    6,200       250,976  

RGC Resources, Inc.

    481       8,321  

SJW Group

    2,026       121,783  

Southwest Gas Holdings, Inc. *

    3,928       237,291  

Spire, Inc.

    3,271       185,073  

Unitil Corp.

    730       31,178  
   

 

 

 
    2,912,368  
   

 

 

 

Total Common Stocks
(Cost $83,309,743)

      72,992,335  
   

 

 

 

EXCHANGE-TRADED FUNDS - 2.0%

 

iShares Russell 2000 Value

    10,997       1,490,643  
   

 

 

 

Total Exchange-Traded Funds
(Cost $1,585,973)

      1,490,643  
   

 

 

 
   

Principal
Amount

   

Value

 

SHORT-TERM INVESTMENTS - 0.6%

 

Repurchase Agreements - 0.6%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $415,559; collateralized by U.S. Treasury Notes: 1.375% due 11/15/31 and value $423,765)

    $415,388       $415,388  
   

 

 

 

Total Short-Term Investments
(Cost $415,388)

      415,388  
   

 

 

 

TOTAL INVESTMENTS - 99.9%
(Cost $85,312,123)

      74,899,801  
   

 

 

 

DERIVATIVES - (0.0%)

      (17,538
   

 

 

 

OTHER ASSETS & LIABILITIES, NET - 0.1%

      93,812  
   

 

 

 

NET ASSETS - 100.0%

      $74,976,075  
   

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1,435 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

287

PACIFIC SELECT FUND

PD SMALL-CAP VALUE INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

CME Micro E-Mini Russell

   12/23        79              $727,985        $710,447        ($17,538
                

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30,
2023
     Level 1
Quoted
Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Consumer, Non-Cyclical

     $1,435        $-        $1,123        $312  
 

Common Stocks

           
 

Basic Materials

     2,126,776        2,126,776        -        -  
 

Communications

     2,182,541        2,182,541        -        -  
 

Consumer, Cyclical

     9,174,296        9,174,296        -        -  
 

Consumer, Non-Cyclical

     11,375,188        11,123,966        251,222        -  
 

Energy

     7,852,920        7,852,920        -        -  
 

Financial

     25,257,022        25,257,022        -        -  
 

Industrial

     9,335,382        9,335,382        -        -  
 

Technology

     2,775,842        2,775,842        -        -  
 

Utilities

     2,912,368        2,912,368        -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     72,992,335        72,741,113        251,222        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Exchange-Traded Funds

     1,490,643        1,490,643        -        -  
 

Short-Term Investments

     415,388        -        415,388        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     74,899,801        74,231,756        667,733        312  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (17,538      (17,538      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (17,538      (17,538      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $74,882,263        $74,214,218        $667,733        $312  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

288

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

RIGHTS - 0.0%

 

Brazil - 0.0%

 

Localiza Rent a Car SA *

    115       $366  
   

 

 

 

Chile - 0.0%

 

Banco de Credito e Inversiones SA *

    175       146  
   

 

 

 

South Korea - 0.0%

 

CosmoAM&T Co. Ltd.*

    21       414  

Hanwha Ocean Co. Ltd.*

    249       1,679  
   

 

 

 
    2,093  
   

 

 

 

Total Rights
(Cost $0)

      2,605  
   

 

 

 

PREFERRED STOCKS - 2.2%

 

Brazil - 1.4%

 

Banco Bradesco SA

    92,890       264,262  

Centrais Eletricas Brasileiras SA Class B

    4,800       38,532  

Cia Energetica de Minas Gerais

    24,745       61,093  

Gerdau SA

    20,185       96,898  

Itau Unibanco Holding SA

    85,200       461,210  

Itausa SA

    1,497       2,695  

Itausa SA

    90,873       163,611  

Petroleo Brasileiro SA

    83,400       574,743  
   

 

 

 
    1,663,044  
   

 

 

 

Chile - 0.1%

 

Sociedad Quimica y Minera de Chile SA Class B

    2,504       148,722  
   

 

 

 

Colombia - 0.1%

 

Bancolombia SA

    7,746       51,412  
   

 

 

 

Russia - 0.0%

 

Surgutneftegas PJSC * W ±

    44,600       -  
   

 

 

 

South Korea - 0.6%

 

Hyundai Motor Co.

    635       49,777  

Hyundai Motor Co.

    409       31,795  

LG Chem Ltd.

    135       31,060  

Samsung Electronics Co. Ltd.

    14,733       593,541  
   

 

 

 
    706,173  
   

 

 

 

Total Preferred Stocks
(Cost $2,621,304)

      2,569,351  
   

 

 

 

COMMON STOCKS - 95.7%

 

Brazil - 3.8%

 

Ambev SA

    83,000       216,476  

Atacadao SA

    11,200       19,831  

B3 SA - Brasil Bolsa Balcao

    102,000       249,392  

Banco Bradesco SA

    28,600       72,033  

Banco BTG Pactual SA

    20,700       127,950  

Banco do Brasil SA

    15,100       141,731  

Banco Santander Brasil SA

    6,700       34,723  

BB Seguridade Participacoes SA

    12,400       76,992  

CCR SA

    17,900       45,902  
   

    

Shares

   

    

Value

 

Centrais Eletricas Brasileiras SA

    20,800       $152,652  

Cia de Saneamento Basico do Estado de Sao Paulo SABESP

    5,900       71,635  

Cia Siderurgica Nacional SA

    11,800       28,499  

Cosan SA

    21,200       72,290  

CPFL Energia SA

    4,100       27,415  

Energisa SA

    3,800       35,342  

Eneva SA *

    15,500       37,189  

Engie Brasil Energia SA

    3,600       29,672  

Equatorial Energia SA

    17,806       113,569  

Hapvida Participacoes e Investimentos SA * ~

    91,643       85,689  

Hypera SA

    6,600       48,766  

Klabin SA

    13,500       63,947  

Localiza Rent a Car SA

    15,732       183,280  

Lojas Renner SA

    17,091       45,562  

Magazine Luiza SA *

    54,100       22,817  

Natura & Co. Holding SA *

    16,000       46,346  

Petroleo Brasileiro SA

    65,600       494,491  

PRIO SA *

    14,000       131,016  

Raia Drogasil SA

    22,524       123,765  

Rede D’Or Sao Luiz SA ~

    10,140       51,259  

Rumo SA

    22,700       103,056  

Sendas Distribuidora SA

    24,000       58,060  

Suzano SA

    13,900       150,101  

Telefonica Brasil SA

    7,300       62,710  

TIM SA

    15,100       44,730  

TOTVS SA

    9,300       49,955  

Ultrapar Participacoes SA

    12,900       48,119  

Vale SA

    59,753       803,356  

Vibra Energia SA

    20,226       76,131  

WEG SA

    29,500       212,863  
   

 

 

 
    4,459,312  
   

 

 

 

Chile - 0.4%

 

Banco de Chile

    790,955       80,473  

Banco de Credito e Inversiones SA

    1,186       30,370  

Banco Santander Chile

    1,175,227       54,363  

Cencosud SA

    22,451       42,570  

Cia Cervecerias Unidas SA

    2,298       14,590  

Cia Sud Americana de Vapores SA

    273,366       16,396  

Empresas CMPC SA

    20,033       36,883  

Empresas COPEC SA

    6,654       47,173  

Enel Americas SA *

    381,776       43,829  

Enel Chile SA

    493,227       29,972  

Falabella SA

    14,851       33,184  
   

 

 

 
    429,803  
   

 

 

 

China - 29.2%

 

360 Security Technology, Inc. Class A *

    7,700       10,369  

37 Interactive Entertainment Network Technology Group Co. Ltd. Class A

    2,300       6,875  

3SBio, Inc. * ~

    32,500       27,143  

AAC Technologies Holdings, Inc.

    13,000       22,171  

Accelink Technologies Co. Ltd. Class A

    800       3,555  

Advanced Micro-Fabrication Equipment, Inc. China Class A

    664       13,740  

AECC Aero-Engine Control Co. Ltd. Class A

    1,700       4,998  

AECC Aviation Power Co. Ltd. Class A

    2,800       14,258  

Agricultural Bank of China Ltd. Class A

    86,700       42,772  

Agricultural Bank of China Ltd. Class H

    519,000       192,997  

Aier Eye Hospital Group Co. Ltd. Class A

    9,936       24,598  

AIMA Technology Group Co. Ltd. Class A

    900       3,647  

Air China Ltd. Class A *

    12,100       13,426  

Air China Ltd. Class H *

    32,000       21,550  

Airtac International Group

    2,232       67,814  

Akeso, Inc. * ~

    9,000       41,244  

Alibaba Group Holding Ltd.*

    288,420       3,127,102  

Alibaba Health Information Technology Ltd.*

    94,000       58,078  

Aluminum Corp. of China Ltd. Class A

    11,400       9,831  

Aluminum Corp. of China Ltd. Class H

    76,000       42,277  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

289

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Amlogic Shanghai Co. Ltd. Class A *

    381       $3,293  

Angel Yeast Co. Ltd. Class A

    800       3,693  

Anhui Conch Cement Co. Ltd. Class A

    4,500       16,108  

Anhui Conch Cement Co. Ltd. Class H

    21,500       56,882  

Anhui Gujing Distillery Co. Ltd. Class A

    500       18,669  

Anhui Gujing Distillery Co. Ltd. Class B

    1,900       31,845  

Anhui Honglu Steel Construction Group Co. Ltd. Class A

    780       3,031  

Anhui Jianghuai Automobile Group Corp. Ltd. Class A *

    1,900       3,435  

Anhui Kouzi Distillery Co. Ltd. Class A

    600       4,271  

Anhui Yingjia Distillery Co. Ltd. Class A

    700       7,082  

Anjoy Foods Group Co. Ltd. Class A

    300       5,114  

Anker Innovations Technology Co. Ltd. Class A

    400       5,136  

ANTA Sports Products Ltd.

    22,400       250,641  

Apeloa Pharmaceutical Co. Ltd. Class A

    1,300       3,207  

Asia - Potash International Investment Guangzhou Co. Ltd. Class A *

    1,200       4,624  

ASR Microelectronics Co. Ltd. Class A *

    521       4,501  

Asymchem Laboratories Tianjin Co. Ltd. Class A

    380       7,918  

Autobio Diagnostics Co. Ltd. Class A

    500       3,130  

Autohome, Inc. ADR

    1,178       35,752  

Avary Holding Shenzhen Co. Ltd. Class A

    1,800       5,027  

AVIC Industry-Finance Holdings Co. Ltd. Class A

    7,800       3,764  

AviChina Industry & Technology Co. Ltd. Class H

    44,000       20,835  

Avicopter PLC Class A

    400       2,076  

BAIC BluePark New Energy Technology Co. Ltd. Class A *

    4,600       3,330  

Baidu, Inc. Class A *

    39,584       666,225  

Bank of Beijing Co. Ltd. Class A

    22,400       14,211  

Bank of Changsha Co. Ltd. Class A

    5,200       5,849  

Bank of Chengdu Co. Ltd. Class A

    3,700       6,996  

Bank of China Ltd. Class A

    31,100       16,074  

Bank of China Ltd. Class H

    1,406,000       489,819  

Bank of Communications Co. Ltd. Class A

    44,100       34,844  

Bank of Communications Co. Ltd. Class H

    152,000       91,806  

Bank of Hangzhou Co. Ltd. Class A

    6,300       9,655  

Bank of Jiangsu Co. Ltd. Class A

    17,480       17,224  

Bank of Nanjing Co. Ltd. Class A

    10,700       11,807  

Bank of Ningbo Co. Ltd. Class A

    7,010       25,922  

Bank of Shanghai Co. Ltd. Class A

    14,900       12,596  

Bank of Suzhou Co. Ltd. Class A

    4,700       4,441  

Baoshan Iron & Steel Co. Ltd. Class A

    23,800       19,887  

BeiGene Ltd. *

    12,189       168,171  

Beijing Capital International Airport Co. Ltd. Class H *

    34,000       15,724  

Beijing Dabeinong Technology Group Co. Ltd. Class A

    3,600       3,330  

Beijing E-Hualu Information Technology Co. Ltd. Class A *

    800       3,795  

Beijing Easpring Material Technology Co. Ltd. Class A

    600       3,472  

Beijing Enlight Media Co. Ltd. Class A

    3,100       3,659  

Beijing Enterprises Holdings Ltd.

    9,000       30,955  

Beijing Enterprises Water Group Ltd.

    72,000       15,672  

Beijing Kingsoft Office Software, Inc. Class A

    428       21,796  

Beijing New Building Materials PLC Class A

    1,700       7,019  

Beijing Oriental Yuhong Waterproof Technology Co. Ltd. Class A

    1,200       4,415  

Beijing Shiji Information Technology Co. Ltd. Class A *

    2,948       4,618  

Beijing Tiantan Biological Products Corp. Ltd. Class A

    2,000       7,028  

Beijing Tongrentang Co. Ltd. Class A

    1,500       11,250  

Beijing United Information Technology Co. Ltd. Class A

    486       2,216  
   

    

Shares

   

    

Value

 

Beijing Wantai Biological Pharmacy Enterprise Co. Ltd. Class A

    792       $5,223  

Beijing Yanjing Brewery Co. Ltd. Class A

    3,600       4,973  

Beijing-Shanghai High Speed Railway Co. Ltd. Class A

    35,100       24,715  

Beiqi Foton Motor Co. Ltd. Class A *

    7,500       3,563  

Bethel Automotive Safety Systems Co. Ltd. Class A

    500       5,038  

Betta Pharmaceuticals Co. Ltd. Class A

    300       2,357  

BGI Genomics Co. Ltd. Class A

    600       4,286  

Bilibili, Inc. Class Z *

    3,482       47,985  

Bloomage Biotechnology Corp. Ltd. Class A

    461       5,500  

BOC Aviation Ltd. ~

    3,700       25,778  

BOC International China Co. Ltd. Class A

    3,500       5,491  

BOE Technology Group Co. Ltd. Class A

    40,300       21,338  

Bosideng International Holdings Ltd.

    68,000       29,191  

BTG Hotels Group Co. Ltd. Class A *

    1,400       3,314  

By-health Co. Ltd. Class A

    1,500       3,909  

BYD Co. Ltd. Class A

    2,000       65,405  

BYD Co. Ltd. Class H

    18,000       554,584  

BYD Electronic International Co. Ltd.

    14,000       63,601  

C&D International Investment Group Ltd.

    12,987       31,476  

Caitong Securities Co. Ltd. Class A

    4,250       4,601  

Cambricon Technologies Corp. Ltd. Class A *

    431       7,354  

Canmax Technologies Co. Ltd. Class A

    1,040       3,676  

CECEP Solar Energy Co. Ltd. Class A

    2,000       1,588  

CECEP Wind-Power Corp. Class A

    7,120       3,189  

CETC Cyberspace Security Technology Co. Ltd. Class A

    600       1,954  

CGN Power Co. Ltd. Class H ~

    189,000       48,928  

Changchun High & New Technology Industry Group, Inc. Class A

    400       7,646  

Changjiang Securities Co. Ltd. Class A

    6,000       4,802  

Changzhou Xingyu Automotive Lighting Systems Co. Ltd. Class A

    275       5,723  

Chaozhou Three-Circle Group Co. Ltd. Class A

    2,000       8,502  

Chengxin Lithium Group Co. Ltd. Class A

    1,200       3,689  

Chifeng Jilong Gold Mining Co. Ltd. Class A *

    2,000       3,967  

China Baoan Group Co. Ltd. Class A

    2,900       4,146  

China Cinda Asset Management Co. Ltd. Class H

    168,000       16,877  

China CITIC Bank Corp. Ltd. Class H

    159,000       73,784  

China Coal Energy Co. Ltd. Class H

    36,000       28,186  

China Communications Services Corp. Ltd. Class H

    42,000       17,621  

China Conch Venture Holdings Ltd.

    25,500       21,705  

China Construction Bank Corp. Class H

    1,708,000       960,155  

China CSSC Holdings Ltd. Class A

    4,800       18,338  

China Eastern Airlines Corp. Ltd. Class A *

    17,400       10,517  

China Energy Engineering Corp. Ltd.

    34,400       10,662  

China Everbright Bank Co. Ltd. Class A

    53,900       22,689  

China Everbright Bank Co. Ltd. Class H

    49,000       14,676  

China Everbright Environment Group Ltd.

    65,000       22,336  

China Feihe Ltd. ~

    65,000       38,193  

China Film Co. Ltd. Class A *

    1,800       3,483  

China Galaxy Securities Co. Ltd. Class A

    3,200       4,850  

China Galaxy Securities Co. Ltd. Class H

    67,500       34,717  

China Gas Holdings Ltd.

    48,400       45,623  

China Great Wall Securities Co. Ltd. Class A

    3,900       4,452  

China Greatwall Technology Group Co. Ltd. Class A

    2,900       4,172  

China Hongqiao Group Ltd.

    42,000       40,899  

China International Capital Corp. Ltd. Class A

    1,500       7,725  

China International Capital Corp. Ltd. Class H ~

    28,800       52,568  

China Jinmao Holdings Group Ltd.

    107,624       13,837  

China Jushi Co. Ltd. Class A

    4,101       7,601  

China Life Insurance Co. Ltd. Class A

    2,900       14,478  

China Life Insurance Co. Ltd. Class H

    131,000       203,003  

China Literature Ltd. * ~

    7,200       26,211  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

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September 30, 2023 (Unaudited)

 

 

 

   

    

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Value

 

China Longyuan Power Group Corp. Ltd. Class H

    59,000       $51,169  

China Medical System Holdings Ltd.

    24,000       36,223  

China Meheco Co. Ltd. Class A

    2,100       3,559  

China Meidong Auto Holdings Ltd.

    12,000       6,557  

China Mengniu Dairy Co. Ltd. *

    55,000       183,455  

China Merchants Bank Co. Ltd. Class A

    21,700       98,714  

China Merchants Bank Co. Ltd. Class H

    68,500       284,385  

China Merchants Energy Shipping Co. Ltd. Class A

    8,100       7,131  

China Merchants Port Holdings Co. Ltd.

    24,797       30,824  

China Merchants Securities Co. Ltd. Class A

    7,900       15,196  

China Merchants Shekou Industrial Zone Holdings Co. Ltd. Class A

    8,300       14,139  

China Minsheng Banking Corp. Ltd. Class A

    51,900       27,293  

China Minsheng Banking Corp. Ltd. Class H

    93,500       31,940  

China National Building Material Co. Ltd. Class H

    68,000       35,563  

China National Chemical Engineering Co. Ltd. Class A

    6,100       6,521  

China National Medicines Corp. Ltd. Class A

    900       4,097  

China National Nuclear Power Co. Ltd. Class A

    20,100       20,123  

China National Software & Service Co. Ltd. Class A

    870       4,512  

China Northern Rare Earth Group High-Tech Co. Ltd. Class A

    3,900       11,669  

China Oilfield Services Ltd. Class H

    32,000       38,296  

China Overseas Land & Investment Ltd.

    67,000       138,436  

China Overseas Property Holdings Ltd.

    25,000       28,136  

China Pacific Insurance Group Co. Ltd. Class A

    7,100       28,021  

China Pacific Insurance Group Co. Ltd. Class H

    46,400       115,512  

China Petroleum & Chemical Corp. Class A

    28,200       23,446  

China Petroleum & Chemical Corp. Class H

    442,000       240,397  

China Power International Development Ltd.

    88,108       31,942  

China Railway Group Ltd. Class A

    20,900       19,626  

China Railway Group Ltd. Class H

    77,000       39,599  

China Railway Signal & Communication Corp. Ltd. Class A

    7,088       5,130  

China Rare Earth Resources & Technology Co. Ltd. Class A

    1,100       4,345  

China Resources Beer Holdings Co. Ltd.

    28,000       152,948  

China Resources Cement Holdings Ltd.

    44,000       11,248  

China Resources Gas Group Ltd.

    16,500       48,247  

China Resources Land Ltd.

    56,000       222,384  

China Resources Microelectronics Ltd. Class A

    1,380       10,251  

China Resources Mixc Lifestyle Services Ltd. ~

    12,200       49,107  

China Resources Pharmaceutical Group Ltd. ~

    28,000       18,550  

China Resources Power Holdings Co. Ltd.

    34,000       64,691  

China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. Class A

    1,000       6,862  

China Ruyi Holdings Ltd. *

    96,000       24,798  

China Shenhua Energy Co. Ltd. Class A

    7,000       30,015  

China Shenhua Energy Co. Ltd. Class H

    59,500       192,529  

China Southern Airlines Co. Ltd. Class A *

    12,700       10,690  

China Southern Airlines Co. Ltd. Class H *

    32,000       15,516  

China State Construction Engineering Corp. Ltd. Class A

    44,800       34,036  

China State Construction International Holdings Ltd.

    36,000       37,822  

China Taiping Insurance Holdings Co. Ltd.

    25,600       25,353  

China Three Gorges Renewables Group Co. Ltd. Class A

    30,400       19,928  

China Tourism Group Duty Free Corp. Ltd. Class A

    2,144       31,389  

China Tourism Group Duty Free Corp. Ltd. Class H ~

    1,300       17,173  
   

    

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Value

 

China Tower Corp. Ltd. Class H ~

    768,000       $73,367  

China Traditional Chinese Medicine Holdings Co. Ltd.

    54,000       25,156  

China United Network Communications Ltd. Class A

    34,000       22,970  

China Vanke Co. Ltd. Class A

    11,400       20,535  

China Vanke Co. Ltd. Class H

    35,700       39,270  

China XD Electric Co. Ltd. Class A

    4,500       2,992  

China Yangtze Power Co. Ltd. Class A

    25,900       79,030  

China Zhenhua Group Science & Technology Co. Ltd. Class A

    500       5,551  

China Zheshang Bank Co. Ltd. Class A

    22,580       7,931  

Chinasoft International Ltd. *

    48,000       34,051  

Chongqing Brewery Co. Ltd. Class A

    600       7,020  

Chongqing Changan Automobile Co. Ltd. Class A

    8,796       16,304  

Chongqing Fuling Zhacai Group Co. Ltd. Class A

    1,300       2,817  

Chongqing Rural Commercial Bank Co. Ltd. Class A

    10,400       5,704  

Chongqing Taiji Industry Group Co. Ltd. Class A *

    600       3,833  

Chongqing Zhifei Biological Products Co. Ltd. Class A

    2,600       17,339  

Chow Tai Fook Jewellery Group Ltd.

    35,600       53,450  

CITIC Ltd.

    102,000       93,367  

CITIC Securities Co. Ltd. Class A

    13,580       40,559  

CITIC Securities Co. Ltd. Class H

    30,575       61,724  

CMOC Group Ltd. Class A

    21,000       17,081  

CMOC Group Ltd. Class H

    63,000       40,192  

CNGR Advanced Material Co. Ltd. Class A

    700       4,867  

CNNC Hua Yuan Titanium Dioxide Co. Ltd. Class A

    4,965       3,144  

CNPC Capital Co. Ltd. Class A

    6,500       5,891  

Contemporary Amperex Technology Co. Ltd. Class A

    4,660       130,166  

COSCO SHIPPING Development Co. Ltd. Class A

    10,700       3,492  

COSCO SHIPPING Energy Transportation Co. Ltd. Class A

    3,400       6,294  

COSCO SHIPPING Energy Transportation Co. Ltd. Class H

    22,000       23,948  

COSCO SHIPPING Holdings Co. Ltd. Class A

    13,510       18,176  

COSCO SHIPPING Holdings Co. Ltd. Class H

    52,400       53,560  

COSCO SHIPPING Ports Ltd.

    24,000       15,635  

Country Garden Holdings Co. Ltd. *

    221,707       25,563  

Country Garden Services Holdings Co. Ltd.

    39,000       39,829  

CRRC Corp. Ltd. Class A

    25,800       20,647  

CRRC Corp. Ltd. Class H

    74,000       35,660  

CSC Financial Co. Ltd. Class A

    4,600       15,573  

CSPC Pharmaceutical Group Ltd.

    156,000       114,090  

Dajin Heavy Industry Co. Ltd. Class A

    800       2,852  

Daqin Railway Co. Ltd. Class A

    15,900       15,877  

Daqo New Energy Corp. ADR *

    1,014       30,694  

DaShenLin Pharmaceutical Group Co. Ltd. Class A

    888       3,073  

Datang International Power Generation Co. Ltd. Class A

    10,700       3,897  

DHC Software Co. Ltd. Class A

    3,700       3,296  

Do-Fluoride Chemicals Co. Ltd. Class A

    640       1,406  

Dong-E-E-Jiao Co. Ltd. Class A

    600       4,039  

Dongfang Electric Corp. Ltd. Class A

    2,800       6,003  

Dongfeng Motor Group Co. Ltd. Class H

    48,000       18,882  

Dongxing Securities Co. Ltd. Class A

    3,500       3,913  

Dongyue Group Ltd.

    28,000       20,969  

East Buy Holding Ltd. * ~

    7,000       32,870  

East Money Information Co. Ltd. Class A

    16,976       35,616  

Eastroc Beverage Group Co. Ltd. Class A

    300       7,529  

Ecovacs Robotics Co. Ltd. Class A

    700       4,673  

ENN Energy Holdings Ltd.

    13,800       113,715  

ENN Natural Gas Co. Ltd. Class A

    2,500       5,968  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

291

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September 30, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Eoptolink Technology, Inc.Ltd. Class A

    700       $4,414  

Eve Energy Co. Ltd. Class A

    2,200       13,661  

Everbright Securities Co. Ltd. Class A

    4,100       9,408  

Everdisplay Optronics Shanghai Co. Ltd. Class A *

    12,696       4,573  

Fangda Carbon New Material Co. Ltd. Class A *

    4,300       3,409  

Far East Horizon Ltd.

    23,000       16,544  

Farasis Energy Gan Zhou Co. Ltd. Class A *

    1,071       2,959  

FAW Jiefang Group Co. Ltd. Class A *

    3,600       4,290  

First Capital Securities Co. Ltd. Class A

    3,700       2,993  

Flat Glass Group Co. Ltd. Class A

    1,600       6,219  

Flat Glass Group Co. Ltd. Class H

    7,000       15,661  

Focus Media Information Technology Co. Ltd. Class A

    15,400       15,105  

Foshan Haitian Flavouring & Food Co. Ltd. Class A

    4,988       26,126  

Fosun International Ltd.

    44,000       27,699  

Founder Securities Co. Ltd. Class A

    8,000       8,144  

Foxconn Industrial Internet Co. Ltd. Class A

    10,600       28,747  

Fujian Sunner Development Co. Ltd. Class A

    1,648       4,340  

Fuyao Glass Industry Group Co. Ltd. Class A

    1,900       9,631  

Fuyao Glass Industry Group Co. Ltd. Class H ~

    10,800       49,402  

G-bits Network Technology Xiamen Co. Ltd. Class A

    100       5,006  

GalaxyCore, Inc. Class A

    2,019       4,255  

Ganfeng Lithium Group Co. Ltd. Class A

    2,160       13,259  

Ganfeng Lithium Group Co. Ltd. Class H ~

    6,560       26,789  

GCL Technology Holdings Ltd.

    351,000       65,080  

GD Power Development Co. Ltd. Class A

    18,800       9,472  

GDS Holdings Ltd. Class A *

    16,892       23,175  

Geely Automobile Holdings Ltd.

    105,000       123,136  

GEM Co. Ltd. Class A

    4,300       3,592  

Gemdale Corp. Class A

    4,200       3,949  

Genscript Biotech Corp. *

    20,000       52,362  

GF Securities Co. Ltd. Class A

    5,700       11,498  

GF Securities Co. Ltd. Class H

    17,600       23,515  

Giant Network Group Co. Ltd. Class A

    2,500       4,429  

GigaDevice Semiconductor, Inc. Class A

    680       9,204  

Ginlong Technologies Co. Ltd. Class A

    450       4,850  

GoerTek, Inc. Class A

    3,500       7,573  

Goldwind Science & Technology Co. Ltd. Class A

    2,800       3,540  

Gongniu Group Co. Ltd. Class A

    400       5,699  

Gotion High-tech Co. Ltd. Class A *

    1,700       5,420  

Great Wall Motor Co. Ltd. Class A

    2,500       8,848  

Great Wall Motor Co. Ltd. Class H

    41,500       49,211  

Gree Electric Appliances, Inc. of Zhuhai Class A

    3,000       14,967  

Greenland Holdings Corp. Ltd. Class A *

    14,400       5,420  

Greentown China Holdings Ltd.

    18,000       18,613  

GRG Banking Equipment Co. Ltd. Class A

    2,300       3,825  

Guangdong Haid Group Co. Ltd. Class A

    1,800       11,163  

Guangdong HEC Technology Holding Co. Ltd. Class A *

    3,900       3,551  

Guangdong Investment Ltd.

    52,000       39,634  

Guanghui Energy Co. Ltd. Class A

    6,300       6,599  

Guangzhou Automobile Group Co. Ltd. Class A

    2,800       3,856  

Guangzhou Automobile Group Co. Ltd. Class H

    60,000       29,569  

Guangzhou Baiyun International Airport Co. Ltd. Class A *

    2,800       4,305  

Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. Class A

    1,300       5,592  

Guangzhou Great Power Energy & Technology Co. Ltd. Class A *

    600       2,720  

Guangzhou Haige Communications Group, Inc. Co. Class A

    2,600       4,023  
   

    

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Value

 

Guangzhou Kingmed Diagnostics Group Co. Ltd. Class A

    600       $5,141  

Guangzhou Shiyuan Electronic Technology Co. Ltd. Class A

    600       4,173  

Guangzhou Tinci Materials Technology Co. Ltd. Class A

    2,060       7,646  

Guangzhou Yuexiu Capital Holdings Group Co. Ltd. Class A

    3,515       3,230  

Guolian Securities Co. Ltd. Class A *

    2,200       3,207  

Guosen Securities Co. Ltd. Class A

    6,700       8,483  

Guotai Junan Securities Co. Ltd. Class A

    8,000       15,993  

Guoyuan Securities Co. Ltd. Class A

    4,600       4,277  

H World Group Ltd. ADR *

    3,630       143,131  

Haidilao International Holding Ltd. ~

    29,000       77,324  

Haier Smart Home Co. Ltd. Class A

    6,800       22,102  

Haier Smart Home Co. Ltd. Class H

    42,400       132,524  

Hainan Airlines Holding Co. Ltd. Class A *

    44,200       8,979  

Hainan Airport Infrastructure Co. Ltd. Class A *

    10,600       5,795  

Haitian International Holdings Ltd.

    11,000       23,219  

Haitong Securities Co. Ltd. Class A

    9,400       12,853  

Haitong Securities Co. Ltd. Class H

    50,800       30,372  

Hang Zhou Great Star Industrial Co. Ltd. Class A

    1,100       2,939  

Hangzhou Binjiang Real Estate Group Co. Ltd. Class A

    2,600       3,426  

Hangzhou Chang Chuan Technology Co. Ltd. Class A

    800       3,675  

Hangzhou First Applied Material Co. Ltd. Class A

    1,919       7,550  

Hangzhou Lion Electronics Co. Ltd. Class A

    900       4,078  

Hangzhou Oxygen Plant Group Co. Ltd. Class A

    800       3,556  

Hangzhou Robam Appliances Co. Ltd. Class A

    1,100       4,080  

Hangzhou Silan Microelectronics Co. Ltd. Class A

    1,200       4,011  

Hangzhou Tigermed Consulting Co. Ltd. Class A

    300       2,742  

Hansoh Pharmaceutical Group Co. Ltd. ~

    20,000       27,152  

Haohua Chemical Science & Technology Co. Ltd. Class A

    900       4,076  

Hebei Hengshui Laobaigan Liquor Co. Ltd. Class A

    1,100       3,510  

Hebei Yangyuan Zhihui Beverage Co. Ltd. Class A

    1,600       5,364  

Heilongjiang Agriculture Co. Ltd. Class A

    1,500       2,706  

Henan Shenhuo Coal & Power Co. Ltd. Class A

    1,900       4,465  

Henan Shuanghui Investment & Development Co. Ltd. Class A

    3,670       13,285  

Hengan International Group Co. Ltd.

    11,000       34,998  

Hengdian Group DMEGC Magnetics Co. Ltd. Class A

    2,100       4,704  

Hengli Petrochemical Co. Ltd. Class A *

    7,500       14,821  

Hengtong Optic-electric Co. Ltd. Class A

    2,100       4,073  

Hengyi Petrochemical Co. Ltd. Class A *

    4,700       4,742  

Hesteel Co. Ltd. Class A

    12,225       3,806  

Hisense Visual Technology Co. Ltd. Class A

    1,300       4,008  

Hithink RoyalFlush Information Network Co. Ltd. Class A

    600       12,366  

Hongfa Technology Co. Ltd. Class A

    720       3,318  

Hoshine Silicon Industry Co. Ltd. Class A

    800       6,639  

Hoyuan Green Energy Co. Ltd. Class A

    726       4,167  

Hua Hong Semiconductor Ltd. * ~

    10,000       25,144  

Huadian Power International Corp. Ltd. Class A

    7,800       5,500  

Huadong Medicine Co. Ltd. Class A

    1,900       11,014  

Huafon Chemical Co. Ltd. Class A

    4,600       4,455  

Huagong Tech Co. Ltd. Class A

    1,300       5,989  

Huaibei Mining Holdings Co. Ltd. Class A

    2,000       3,834  

Hualan Biological Engineering, Inc. Class A

    1,800       5,480  

Huaneng Power International, Inc. Class A *

    10,800       11,637  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

292

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September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Huaneng Power International, Inc. Class H *

    72,000       $34,839  

Huatai Securities Co. Ltd. Class A

    7,400       16,116  

Huatai Securities Co. Ltd. Class H ~

    23,800       30,345  

Huaxi Securities Co. Ltd. Class A

    3,600       4,118  

Huaxia Bank Co. Ltd. Class A

    14,000       10,980  

Huayu Automotive Systems Co. Ltd. Class A

    3,300       8,504  

Hubei Feilihua Quartz Glass Co. Ltd. Class A

    400       2,482  

Hubei Jumpcan Pharmaceutical Co. Ltd. Class A

    1,200       4,492  

Hubei Xingfa Chemicals Group Co. Ltd. Class A

    800       2,173  

Huizhou Desay Sv Automotive Co. Ltd. Class A

    600       11,865  

Humanwell Healthcare Group Co. Ltd. Class A

    1,500       4,982  

Hunan Changyuan Lico Co. Ltd. Class A

    2,469       2,900  

Hunan Valin Steel Co. Ltd. Class A

    6,700       5,498  

Hundsun Technologies, Inc. Class A

    2,076       9,271  

Hygeia Healthcare Holdings Co. Ltd. Class C ~

    6,200       34,691  

IEIT Systems Co. Ltd. Class A

    1,600       8,239  

Iflytek Co. Ltd. Class A

    2,500       17,411  

Imeik Technology Development Co. Ltd. Class A

    200       10,733  

Industrial & Commercial Bank of China Ltd. Class A

    72,800       46,686  

Industrial & Commercial Bank of China Ltd. Class H

    1,135,000       544,392  

Industrial Bank Co. Ltd. Class A

    21,961       49,132  

Industrial Securities Co. Ltd. Class A

    8,860       7,828  

Ingenic Semiconductor Co. Ltd. Class A

    600       6,082  

Inner Mongolia BaoTou Steel Union Co. Ltd. Class A *

    48,100       11,355  

Inner Mongolia Dian Tou Energy Corp. Ltd. Class A

    2,500       4,716  

Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd. Class A

    8,200       4,601  

Inner Mongolia Yili Industrial Group Co. Ltd. Class A

    6,800       24,806  

Inner Mongolia Yitai Coal Co. Ltd. Class B *

    18,800       26,326  

Inner Mongolia Yuan Xing Energy Co. Ltd. Class A

    3,000       2,914  

Innovent Biologics, Inc. * ~

    20,500       99,574  

iQIYI, Inc. ADR *

    7,907       37,479  

Isoftstone Information Technology Group Co. Ltd. Class A

    1,200       4,376  

JA Solar Technology Co. Ltd. Class A

    3,556       12,507  

Jason Furniture Hangzhou Co. Ltd. Class A

    710       3,955  

JCET Group Co. Ltd. Class A

    1,800       7,535  

JD Health International, Inc. * ~

    19,450       99,951  

JD Logistics, Inc. * ~

    35,300       44,636  

JD.com, Inc. Class A

    41,225       599,776  

Jiangsu Eastern Shenghong Co. Ltd. Class A

    6,500       10,313  

Jiangsu Expressway Co. Ltd. Class H

    22,000       19,844  

Jiangsu Hengli Hydraulic Co. Ltd. Class A

    1,400       12,278  

Jiangsu Hengrui Pharmaceuticals Co. Ltd. Class A

    6,800       42,040  

Jiangsu King’s Luck Brewery JSC Ltd. Class A

    1,300       10,481  

Jiangsu Nhwa Pharmaceutical Co. Ltd. Class A

    1,000       3,629  

Jiangsu Pacific Quartz Co. Ltd. Class A

    300       4,389  

Jiangsu Phoenix Publishing & Media Corp. Ltd. Class A

    2,500       3,587  

Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. Class A

    1,600       28,501  

Jiangsu Yangnong Chemical Co. Ltd. Class A

    520       4,917  

Jiangsu Yoke Technology Co. Ltd. Class A

    600       5,310  

Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. Class A

    1,200       5,661  

Jiangsu Zhongtian Technology Co. Ltd. Class A

    3,400       6,936  

Jiangxi Copper Co. Ltd. Class A

    800       2,114  

Jiangxi Copper Co. Ltd. Class H

    22,000       34,317  
   

    

Shares

   

    

Value

 

Jiangxi Special Electric Motor Co. Ltd. Class A *

    2,200       $2,684  

Jinduicheng Molybdenum Co. Ltd. Class A

    4,000       6,090  

Jinko Solar Co. Ltd. Class A

    6,985       9,705  

JiuGui Liquor Co. Ltd. Class A

    400       4,865  

Jiumaojiu International Holdings Ltd. ~

    17,000       23,004  

Jizhong Energy Resources Co. Ltd. Class A

    2,400       2,217  

Joincare Pharmaceutical Group Industry Co. Ltd. Class A

    1,400       2,381  

Jointown Pharmaceutical Group Co. Ltd. Class A

    2,225       3,299  

Jonjee Hi-Tech Industrial & Commercial Holding Co. Ltd. Class A *

    700       3,309  

JOYY, Inc. ADR

    808       30,793  

Juewei Food Co. Ltd. Class A

    700       3,608  

Juneyao Airlines Co. Ltd. Class A *

    2,100       4,115  

Kanzhun Ltd. ADR *

    3,822       57,980  

KE Holdings, Inc. ADR

    11,545       179,178  

Keda Industrial Group Co. Ltd.

    2,500       3,993  

Kingboard Holdings Ltd.

    12,000       26,878  

Kingdee International Software Group Co. Ltd. *

    48,000       58,746  

Kingnet Network Co. Ltd. Class A

    2,100       3,623  

Kingsoft Corp. Ltd.

    17,000       61,257  

Kuaishou Technology * ~

    40,700       323,797  

Kuang-Chi Technologies Co. Ltd. Class A

    2,400       4,757  

Kunlun Energy Co. Ltd.

    68,000       58,518  

Kunlun Tech Co. Ltd. Class A *

    1,100       5,771  

Kweichow Moutai Co. Ltd. Class A

    1,300       322,416  

LB Group Co. Ltd. Class A

    2,200       5,553  

Lenovo Group Ltd.

    128,000       131,242  

Lens Technology Co. Ltd. Class A

    5,100       8,603  

Lepu Medical Technology Beijing Co. Ltd. Class A

    2,300       5,181  

Li Auto, Inc. Class A *

    19,746       352,380  

Li Ning Co. Ltd.

    41,500       173,291  

Liaoning Port Co. Ltd. Class A

    15,100       3,244  

Lingyi iTech Guangdong Co. Class A

    7,100       5,564  

Livzon Pharmaceutical Group, Inc. Class A

    700       3,550  

Longfor Group Holdings Ltd. ~

    33,056       59,091  

LONGi Green Energy Technology Co. Ltd. Class A

    8,102       30,397  

Lufax Holding Ltd. ADR

    12,243       12,978  

Luxi Chemical Group Co. Ltd. Class A

    2,600       4,038  

Luxshare Precision Industry Co. Ltd. Class A

    7,600       31,172  

Luzhou Laojiao Co. Ltd. Class A

    1,500       44,868  

Mango Excellent Media Co. Ltd. Class A

    1,900       7,387  

Maxscend Microelectronics Co. Ltd. Class A

    580       9,284  

Meihua Holdings Group Co. Ltd. Class A

    3,900       5,151  

Meinian Onehealth Healthcare Holdings Co. Ltd. Class A *

    4,300       4,014  

Meituan Class B * ~

    89,090       1,289,684  

Metallurgical Corp. of China Ltd. Class A

    19,200       9,675  

Microport Scientific Corp. *

    14,700       22,107  

Ming Yang Smart Energy Group Ltd. Class A

    1,900       4,111  

MINISO Group Holding Ltd. ADR

    1,691       43,797  

Minth Group Ltd.

    14,000       35,984  

Montage Technology Co. Ltd. Class A

    1,165       7,932  

Muyuan Foods Co. Ltd. Class A

    5,860       30,462  

Nanjing King-Friend Biochemical Pharmaceutical Co. Ltd. Class A

    1,243       2,164  

Nanjing Securities Co. Ltd. Class A

    4,400       4,904  

NARI Technology Co. Ltd. Class A

    8,658       26,343  

National Silicon Industry Group Co. Ltd. Class A *

    2,696       7,327  

NAURA Technology Group Co. Ltd. Class A

    500       16,543  

NavInfo Co. Ltd. Class A *

    2,500       3,480  

NetEase, Inc.

    33,905       679,837  

New China Life Insurance Co. Ltd. Class A

    2,100       10,641  

New China Life Insurance Co. Ltd. Class H

    15,000       35,977  

New Hope Liuhe Co. Ltd. Class A *

    4,600       6,941  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

293

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PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

New Oriental Education & Technology Group, Inc. *

    26,400       $156,234  

Ninestar Corp. Class A

    1,300       4,606  

Ningbo Deye Technology Co. Ltd. Class A

    540       5,735  

Ningbo Joyson Electronic Corp. Class A

    1,700       4,066  

Ningbo Orient Wires & Cables Co. Ltd. Class A

    900       4,921  

Ningbo Ronbay New Energy Technology Co. Ltd. Class A

    579       3,338  

Ningbo Shanshan Co. Ltd. Class A

    1,800       3,436  

Ningbo Tuopu Group Co. Ltd. Class A

    1,200       12,262  

Ningxia Baofeng Energy Group Co. Ltd. Class A

    7,800       15,311  

NIO, Inc. ADR *

    24,371       220,314  

Nongfu Spring Co. Ltd. Class H ~

    30,800       176,641  

North Industries Group Red Arrow Co. Ltd. Class A

    1,800       3,643  

Offcn Education Technology Co. Ltd. Class A *

    7,900       4,063  

Offshore Oil Engineering Co. Ltd. Class A

    5,200       4,618  

Oppein Home Group, Inc. Class A

    600       7,908  

Orient Securities Co. Ltd. Class A

    7,992       10,551  

Oriental Pearl Group Co. Ltd. Class A

    3,300       3,358  

Ovctek China, Inc. Class A

    1,120       3,945  

Pangang Group Vanadium Titanium & Resources Co. Ltd. Class A *

    11,100       5,594  

PDD Holdings, Inc. ADR *

    10,501       1,029,833  

People’s Insurance Co. Group of China Ltd. Class A

    30,500       24,764  

People’s Insurance Co. Group of China Ltd. Class H

    102,000       36,489  

People.cn Co. Ltd. Class A

    1,100       5,774  

Perfect World Co. Ltd. Class A

    2,497       4,526  

PetroChina Co. Ltd. Class A

    16,500       18,032  

PetroChina Co. Ltd. Class H

    380,000       284,784  

Pharmaron Beijing Co. Ltd. Class A

    1,350       5,769  

Pharmaron Beijing Co. Ltd. Class H ~

    200       474  

PICC Property & Casualty Co. Ltd. Class H

    122,000       156,220  

Ping An Bank Co. Ltd. Class A

    20,600       31,757  

Ping An Healthcare & Technology Co. Ltd. * ~

    10,000       23,270  

Ping An Insurance Group Co. of China Ltd. Class A

    12,000       79,992  

Ping An Insurance Group Co. of China Ltd. Class H

    117,000       663,583  

Piotech, Inc. Class A *

    193       6,339  

Poly Developments & Holdings Group Co. Ltd. Class A

    12,800       22,453  

Pop Mart International Group Ltd. ~

    8,600       25,296  

Postal Savings Bank of China Co. Ltd. Class A

    27,700       18,914  

Postal Savings Bank of China Co. Ltd. Class H ~

    142,000       71,504  

Power Construction Corp. of China Ltd. Class A

    18,300       13,439  

Pylon Technologies Co. Ltd. Class A

    226       4,056  

Qi An Xin Technology Group, Inc. Class A *

    840       5,921  

Qifu Technology, Inc. ADR

    1,983       30,459  

Qinghai Salt Lake Industry Co. Ltd. Class A *

    5,700       13,429  

Raytron Technology Co. Ltd. Class A

    570       3,733  

Risen Energy Co. Ltd. Class A

    1,500       3,925  

Riyue Heavy Industry Co. Ltd. Class A

    1,200       2,617  

Rockchip Electronics Co. Ltd. Class A

    400       3,369  

Rongsheng Petrochemical Co. Ltd. Class A

    10,797       17,647  

SAIC Motor Corp. Ltd. Class A

    8,100       16,482  

Sailun Group Co. Ltd. Class A

    2,700       4,686  

Sanan Optoelectronics Co. Ltd. Class A

    5,300       11,209  

Sangfor Technologies, Inc. Class A *

    500       6,397  

Sany Heavy Equipment International Holdings Co. Ltd.

    20,000       31,518  

Sany Heavy Industry Co. Ltd. Class A

    9,100       19,876  

Satellite Chemical Co. Ltd. Class A

    3,298       6,940  

SDIC Capital Co. Ltd. Class A

    6,300       5,956  

SDIC Power Holdings Co. Ltd. Class A

    8,000       12,891  

Seazen Holdings Co. Ltd. Class A *

    2,014       3,690  
   

    

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Value

 

Seres Group Co. Ltd. Class A *

    1,400       $10,775  

SF Holding Co. Ltd. Class A

    5,200       29,221  

SG Micro Corp. Class A

    417       4,439  

Shaanxi Coal Industry Co. Ltd. Class A

    10,300       26,107  

Shan Xi Hua Yang Group New Energy Co. Ltd. Class A

    2,750       3,174  

Shandong Buchang Pharmaceuticals Co. Ltd. Class A

    1,200       2,952  

Shandong Gold Mining Co. Ltd. Class A

    3,500       11,995  

Shandong Gold Mining Co. Ltd. Class H ~

    13,750       25,870  

Shandong Himile Mechanical Science & Technology Co. Ltd. Class A

    800       3,862  

Shandong Hualu Hengsheng Chemical Co. Ltd. Class A

    2,310       10,166  

Shandong Linglong Tyre Co. Ltd. Class A

    1,600       4,461  

Shandong Nanshan Aluminum Co. Ltd. Class A

    11,200       4,827  

Shandong Sun Paper Industry JSC Ltd. Class A

    2,500       4,202  

Shandong Weigao Group Medical Polymer Co. Ltd. Class H

    44,400       38,908  

Shanghai Aiko Solar Energy Co. Ltd. Class A

    1,680       5,153  

Shanghai Bairun Investment Holding Group Co. Ltd. Class A

    1,316       5,210  

Shanghai Baosight Software Co. Ltd. Class A

    1,356       8,406  

Shanghai Baosight Software Co. Ltd. Class B

    12,468       26,276  

Shanghai Construction Group Co. Ltd. Class A

    8,800       3,319  

Shanghai Electric Group Co. Ltd. Class A *

    13,000       8,339  

Shanghai Electric Power Co. Ltd. Class A

    3,600       4,370  

Shanghai Fosun Pharmaceutical Group Co. Ltd. Class A

    3,800       14,899  

Shanghai Fosun Pharmaceutical Group Co. Ltd. Class H

    6,000       14,031  

Shanghai Friendess Electronic Technology Corp. Ltd. Class A

    96       3,278  

Shanghai Fudan Microelectronics Group Co. Ltd. Class A

    291       1,906  

Shanghai Fudan Microelectronics Group Co. Ltd. Class H

    1,000       2,137  

Shanghai International Airport Co. Ltd. Class A *

    1,200       6,251  

Shanghai International Port Group Co. Ltd. Class A

    7,700       5,439  

Shanghai Jinjiang International Hotels Co. Ltd. Class A

    900       4,652  

Shanghai Junshi Biosciences Co. Ltd. Class A *

    985       5,192  

Shanghai Lingang Holdings Corp. Ltd. Class A

    2,700       4,208  

Shanghai M&G Stationery, Inc. Class A

    900       4,500  

Shanghai Moons’ Electric Co. Ltd. Class A

    400       3,796  

Shanghai Pharmaceuticals Holding Co. Ltd. Class A

    2,000       4,955  

Shanghai Pharmaceuticals Holding Co. Ltd. Class H

    14,600       22,732  

Shanghai Pudong Development Bank Co. Ltd. Class A

    31,136       30,365  

Shanghai Putailai New Energy Technology Co. Ltd. Class A

    2,139       8,593  

Shanghai RAAS Blood Products Co. Ltd. Class A

    6,500       6,211  

Shanghai Rural Commercial Bank Co. Ltd. Class A

    10,000       8,278  

Shanghai Yuyuan Tourist Mart Group Co. Ltd. Class A

    3,200       3,263  

Shanxi Coal International Energy Group Co. Ltd. Class A

    2,400       6,195  

Shanxi Coking Coal Energy Group Co. Ltd. Class A

    5,200       7,164  

Shanxi Lu’an Environmental Energy Development Co. Ltd. Class A

    3,000       7,826  

Shanxi Meijin Energy Co. Ltd. Class A *

    3,800       3,656  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

294

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Shanxi Securities Co. Ltd. Class A

    3,800       $2,999  

Shanxi Taigang Stainless Steel Co. Ltd. Class A

    6,200       3,437  

Shanxi Xinghuacun Fen Wine Factory Co. Ltd. Class A

    1,240       40,924  

Shede Spirits Co. Ltd. Class A

    400       6,913  

Shenergy Co. Ltd. Class A

    6,000       5,216  

Shenghe Resources Holding Co. Ltd. Class A

    2,300       3,434  

Shengyi Technology Co. Ltd. Class A

    2,000       4,213  

Shennan Circuits Co. Ltd. Class A

    500       4,569  

Shenwan Hongyuan Group Co. Ltd. Class A

    24,200       14,389  

Shenzhen Capchem Technology Co. Ltd. Class A

    920       5,532  

Shenzhen Dynanonic Co. Ltd. Class A

    320       3,368  

Shenzhen Energy Group Co. Ltd. Class A

    3,900       3,410  

Shenzhen Inovance Technology Co. Ltd. Class A

    1,450       13,250  

Shenzhen International Holdings Ltd.

    25,618       15,765  

Shenzhen Kaifa Technology Co. Ltd. Class A

    2,000       4,728  

Shenzhen Kangtai Biological Products Co. Ltd. Class A *

    960       3,857  

Shenzhen Kedali Industry Co. Ltd. Class A

    300       3,954  

Shenzhen Kstar Science & Technology Co. Ltd. Class A

    800       3,154  

Shenzhen Mindray Bio-Medical Electronics Co. Ltd. Class A

    1,300       48,306  

Shenzhen New Industries Biomedical Engineering Co. Ltd. Class A

    900       7,827  

Shenzhen Overseas Chinese Town Co. Ltd. Class A *

    7,900       4,598  

Shenzhen Salubris Pharmaceuticals Co. Ltd. Class A

    1,000       4,062  

Shenzhen SC New Energy Technology Corp. Class A

    400       4,174  

Shenzhen SED Industry Co. Ltd. Class A

    1,200       3,663  

Shenzhen Senior Technology Material Co. Ltd. Class A

    1,698       3,050  

Shenzhen Sunlord Electronics Co. Ltd. Class A

    600       2,364  

Shenzhen Transsion Holdings Co. Ltd. Class A

    861       17,245  

Shenzhen YUTO Packaging Technology Co. Ltd. Class A

    1,200       4,062  

Shenzhou International Group Holdings Ltd.

    14,500       137,890  

Shijiazhuang Yiling Pharmaceutical Co. Ltd. Class A

    1,520       4,892  

Shuangliang Eco-Energy Systems Co. Ltd. Class A

    2,300       3,341  

Sichuan Chuantou Energy Co. Ltd. Class A

    4,500       9,118  

Sichuan Hebang Biotechnology Co. Ltd. Class A

    9,900       3,179  

Sichuan Kelun Pharmaceutical Co. Ltd. Class A

    1,500       5,993  

Sichuan New Energy Power Co. Ltd. *

    2,000       3,265  

Sichuan Road & Bridge Co. Ltd. Class A

    7,780       9,233  

Sichuan Swellfun Co. Ltd. Class A

    582       4,840  

Sichuan Yahua Industrial Group Co. Ltd. Class A

    1,300       2,674  

Sieyuan Electric Co. Ltd. Class A

    700       4,962  

Silergy Corp.

    6,000       56,873  

Sinolink Securities Co. Ltd. Class A

    4,400       5,629  

Sinoma International Engineering Co. Class A

    3,200       4,963  

Sinoma Science & Technology Co. Ltd. Class A

    1,600       4,508  

Sinomine Resource Group Co. Ltd. Class A

    868       4,342  

Sinopec Shanghai Petrochemical Co. Ltd. Class A *

    5,400       2,288  

Sinopharm Group Co. Ltd. Class H

    23,200       67,264  

Sinotruk Hong Kong Ltd.

    12,000       23,077  

Skshu Paint Co. Ltd. Class A *

    528       4,985  

Smoore International Holdings Ltd. ~

    32,000       28,892  
   

    

Shares

   

    

Value

 

Songcheng Performance Development Co. Ltd. Class A

    2,400       $4,025  

SooChow Securities Co. Ltd. Class A

    5,410       6,260  

Southwest Securities Co. Ltd. Class A

    7,100       4,021  

Spring Airlines Co. Ltd. Class A *

    1,200       9,020  

StarPower Semiconductor Ltd. Class A

    200       4,935  

Sungrow Power Supply Co. Ltd. Class A

    1,600       19,612  

Sunny Optical Technology Group Co. Ltd.

    12,400       85,935  

Sunresin New Materials Co. Ltd. Class A

    600       4,804  

Sunwoda Electronic Co. Ltd. Class A

    2,200       5,107  

SUPCON Technology Co. Ltd. Class A

    648       4,240  

Suzhou Dongshan Precision Manufacturing Co. Ltd. Class A

    1,400       3,325  

Suzhou Maxwell Technologies Co. Ltd. Class A

    316       5,496  

Suzhou TFC Optical Communication Co. Ltd. Class A

    400       5,224  

TAL Education Group ADR *

    7,736       70,475  

Tangshan Jidong Cement Co. Ltd. Class A

    3,300       3,415  

TBEA Co. Ltd. Class A

    5,500       11,202  

TCL Technology Group Corp. Class A *

    20,300       11,374  

TCL Zhonghuan Renewable Energy Technology Co. Ltd. Class A

    4,350       13,926  

Tencent Holdings Ltd.

    117,700       4,562,515  

Tencent Music Entertainment Group ADR *

    13,162       83,974  

Thunder Software Technology Co. Ltd. Class A

    400       4,187  

Tianjin 712 Communication & Broadcasting Co. Ltd. Class A

    900       3,126  

Tianma Microelectronics Co. Ltd. Class A *

    2,700       3,417  

Tianqi Lithium Corp. Class A

    1,600       12,086  

Tianshan Aluminum Group Co. Ltd. Class A

    4,300       3,866  

Tianshui Huatian Technology Co. Ltd. Class A

    2,700       3,326  

Tingyi Cayman Islands Holding Corp.

    34,000       47,499  

Titan Wind Energy Suzhou Co. Ltd. Class A *

    2,400       4,250  

Tongcheng Travel Holdings Ltd. *

    22,000       48,120  

TongFu Microelectronics Co. Ltd. Class A

    1,200       3,160  

Tongkun Group Co. Ltd. Class A *

    2,100       4,247  

Tongling Nonferrous Metals Group Co. Ltd. Class A

    13,600       5,950  

Tongwei Co. Ltd. Class A

    4,900       21,694  

Topchoice Medical Corp. Class A *

    400       4,851  

Topsports International Holdings Ltd. ~

    33,000       24,949  

TravelSky Technology Ltd. Class H

    16,000       27,590  

Trina Solar Co. Ltd. Class A

    2,336       9,814  

Trip.com Group Ltd. *

    9,649       340,094  

Tsingtao Brewery Co. Ltd. Class A

    700       8,401  

Tsingtao Brewery Co. Ltd. Class H

    10,000       81,430  

Uni-President China Holdings Ltd.

    23,000       16,154  

Unigroup Guoxin Microelectronics Co. Ltd. Class A *

    839       10,033  

Unisplendour Corp. Ltd. Class A *

    3,100       10,019  

Universal Scientific Industrial Shanghai Co. Ltd. Class A

    2,200       4,404  

Verisilicon Microelectronics Shanghai Co. Ltd. Class A *

    623       5,128  

Vipshop Holdings Ltd. ADR *

    5,959       95,404  

Walvax Biotechnology Co. Ltd. Class A

    1,500       4,840  

Wanda Film Holding Co. Ltd. Class A *

    2,800       5,194  

Wanhua Chemical Group Co. Ltd. Class A

    3,300       40,081  

Want Want China Holdings Ltd.

    82,000       53,444  

Weibo Corp. ADR

    1,410       17,681  

Weichai Power Co. Ltd. Class A

    6,500       11,159  

Weichai Power Co. Ltd. Class H

    34,000       46,084  

Weihai Guangwei Composites Co. Ltd. Class A

    960       3,616  

Wens Foodstuffs Group Co. Ltd. Class A

    7,000       16,693  

Western Mining Co. Ltd. Class A

    2,000       3,529  

Western Securities Co. Ltd. Class A

    4,800       4,353  

Western Superconducting Technologies Co. Ltd. Class A

    702       4,398  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

295

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Will Semiconductor Co. Ltd. Class A

    1,280       $16,376  

Wingtech Technology Co. Ltd. Class A *

    1,300       7,786  

Wintime Energy Group Co. Ltd. *

    24,600       4,689  

Wuchan Zhongda Group Co. Ltd. Class A

    6,000       3,902  

Wuhan Guide Infrared Co. Ltd. Class A

    3,454       3,605  

Wuliangye Yibin Co. Ltd. Class A

    4,100       88,350  

WUS Printed Circuit Kunshan Co. Ltd. Class A

    2,100       6,481  

WuXi AppTec Co. Ltd. Class A

    2,800       33,276  

WuXi AppTec Co. Ltd. Class H ~

    6,340       75,605  

Wuxi Biologics Cayman, Inc. * ~

    67,000       389,394  

XCMG Construction Machinery Co. Ltd. Class A

    12,700       11,104  

Xiamen C & D, Inc. Class A

    2,700       3,683  

Xiamen Faratronic Co. Ltd. Class A

    200       2,655  

Xiamen Tungsten Co. Ltd. Class A

    1,600       3,769  

Xiaomi Corp. Class B * ~

    269,600       422,357  

Xinjiang Daqo New Energy Co. Ltd. Class A

    1,856       10,287  

Xinyi Solar Holdings Ltd.

    86,081       63,989  

XPeng, Inc. Class A *

    18,208       166,374  

Xtep International Holdings Ltd.

    26,000       23,948  

Yadea Group Holdings Ltd. ~

    22,000       40,739  

Yangzhou Yangjie Electronic Technology Co. Ltd. Class A

    700       3,356  

Yankuang Energy Group Co. Ltd. Class A

    4,200       11,662  

Yankuang Energy Group Co. Ltd. Class H

    40,000       75,458  

Yantai Jereh Oilfield Services Group Co. Ltd. Class A

    900       3,919  

Yealink Network Technology Corp. Ltd. Class A

    1,280       6,259  

Yifeng Pharmacy Chain Co. Ltd. Class A

    972       4,682  

Yihai International Holding Ltd. *

    9,000       15,442  

Yihai Kerry Arawana Holdings Co. Ltd. Class A

    1,500       7,087  

Yintai Gold Co. Ltd. Class A

    2,700       5,242  

Yonghui Superstores Co. Ltd. Class A *

    8,100       3,569  

YongXing Special Materials Technology Co. Ltd. Class A

    650       4,050  

Yonyou Network Technology Co. Ltd. Class A

    3,600       8,225  

Youngor Group Co. Ltd. Class A

    3,800       3,707  

YTO Express Group Co. Ltd. Class A

    3,400       7,017  

Yuan Longping High-tech Agriculture Co. Ltd. Class A *

    1,500       3,080  

Yuexiu Property Co. Ltd.

    27,480       31,588  

Yum China Holdings, Inc.

    7,316       407,648  

Yunda Holding Co. Ltd. Class A

    2,200       2,978  

Yunnan Aluminium Co. Ltd. Class A

    3,600       7,469  

Yunnan Baiyao Group Co. Ltd. Class A

    1,960       14,333  

Yunnan Botanee Bio-Technology Group Co. Ltd. Class A

    500       6,412  

Yunnan Chihong Zinc&Germanium Co. Ltd. Class A

    4,700       3,408  

Yunnan Energy New Material Co. Ltd. Class A

    1,100       9,060  

Yunnan Tin Co. Ltd. Class A

    1,800       3,538  

Yunnan Yuntianhua Co. Ltd. Class A

    1,500       3,519  

Yutong Bus Co. Ltd. Class A

    2,200       3,998  

Zai Lab Ltd. *

    16,580       40,573  

Zangge Mining Co. Ltd. Class A

    1,400       4,389  

Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. Class A

    700       26,448  

Zhaojin Mining Industry Co. Ltd. Class H

    23,500       32,396  

Zhefu Holding Group Co. Ltd. Class A

    4,100       2,182  

Zhejiang Century Huatong Group Co. Ltd. Class A *

    7,420       4,907  

Zhejiang China Commodities City Group Co. Ltd. Class A

    4,900       6,067  

Zhejiang Chint Electrics Co. Ltd. Class A

    2,200       7,044  

Zhejiang Dahua Technology Co. Ltd. Class A

    3,500       10,698  

Zhejiang Dingli Machinery Co. Ltd. Class A

    400       2,894  

Zhejiang Expressway Co. Ltd. Class H

    22,000       16,370  

Zhejiang Huahai Pharmaceutical Co. Ltd. Class A

    1,200       2,785  

Zhejiang Huayou Cobalt Co. Ltd. Class A

    1,675       8,652  
   

    

Shares

   

    

Value

 

Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. Class A

    1,400       $9,160  

Zhejiang Jiuzhou Pharmaceutical Co. Ltd. Class A

    1,200       4,770  

Zhejiang Juhua Co. Ltd. Class A

    2,600       5,418  

Zhejiang Longsheng Group Co. Ltd. Class A

    3,700       4,707  

Zhejiang NHU Co. Ltd. Class A

    3,104       6,914  

Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A

    1,800       7,344  

Zhejiang Supor Co. Ltd. Class A

    600       3,991  

Zhejiang Weiming Environment Protection Co. Ltd. Class A

    1,820       4,416  

Zhejiang Weixing New Building Materials Co. Ltd. Class A

    2,000       5,013  

Zhejiang Zheneng Electric Power Co. Ltd. Class A *

    10,800       6,284  

Zheshang Securities Co. Ltd. Class A

    3,500       4,844  

ZhongAn Online P&C Insurance Co. Ltd.
Class H * ~

    12,600       36,936  

Zhongji Innolight Co. Ltd. Class A

    900       14,367  

Zhongjin Gold Corp. Ltd. Class A

    4,600       6,869  

Zhongsheng Group Holdings Ltd.

    14,500       40,598  

Zhongtai Securities Co. Ltd. Class A

    8,000       7,801  

Zhuzhou CRRC Times Electric Co. Ltd.

    9,700       33,503  

Zhuzhou CRRC Times Electric Co. Ltd. Class A

    532       2,904  

Zhuzhou Kibing Group Co. Ltd. Class A

    2,100       2,365  

Zibo Qixiang Tengda Chemical Co. Ltd. Class A

    2,900       2,552  

Zijin Mining Group Co. Ltd. Class A

    22,200       36,927  

Zijin Mining Group Co. Ltd. Class H

    94,000       142,504  

Zoomlion Heavy Industry Science & Technology Co. Ltd. Class A

    6,800       6,391  

ZTE Corp. Class A

    4,100       18,409  

ZTE Corp. Class H

    13,600       40,925  

ZTO Express Cayman, Inc. ADR

    7,521       181,783  
   

 

 

 
    34,074,043  
   

 

 

 

Colombia - 0.1%

 

Bancolombia SA

    4,540       34,283  

Interconexion Electrica SA ESP

    7,888       28,845  
   

 

 

 
    63,128  
   

 

 

 

Czech Republic - 0.2%

 

CEZ AS

    2,824       119,946  

Komercni banka AS

    1,354       39,367  

Moneta Money Bank AS ~

    5,877       21,345  
   

 

 

 
    180,658  
   

 

 

 

Egypt - 0.1%

 

Commercial International Bank Egypt SAE

    45,125       87,687  

Eastern Co. SAE

    18,480       14,451  

EFG Holding SAE *

    16,443       7,848  
   

 

 

 
    109,986  
   

 

 

 

Greece - 0.4%

 

Alpha Services and Holdings SA *

    39,725       52,533  

Eurobank Ergasias Services and Holdings SA Class A *

    46,233       71,111  

Hellenic Telecommunications Organization SA

    3,316       48,366  

JUMBO SA

    1,997       54,895  

Motor Oil Hellas Corinth Refineries SA

    1,180       29,866  

Mytilineos SA

    1,862       68,536  

National Bank of Greece SA *

    9,774       55,026  

OPAP SA

    3,233       54,126  

Piraeus Financial Holdings SA *

    12,068       35,616  

Public Power Corp. SA *

    3,739       37,463  
   

 

 

 
    507,538  
   

 

 

 
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

296

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

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Value

 

Hong Kong - 0.1%

 

China Common Rich Renewable Energy Investments Ltd. * W ±

    122,000       $-  

Kingboard Laminates Holdings Ltd.

    17,000       11,998  

Nine Dragons Paper Holdings Ltd.

    29,000       16,266  

Orient Overseas International Ltd.

    2,500       33,298  

Sino Biopharmaceutical Ltd.

    179,000       64,432  

Vinda International Holdings Ltd.

    6,000       14,374  
   

 

 

 
    140,368  
   

 

 

 

Hungary - 0.2%

 

MOL Hungarian Oil & Gas PLC

    7,741       58,633  

OTP Bank Nyrt

    4,186       150,922  

Richter Gedeon Nyrt

    2,485       60,149  
   

 

 

 
    269,704  
   

 

 

 

India - 15.4%

 

ABB India Ltd.

    947       46,651  

Adani Enterprises Ltd.

    2,975       86,168  

Adani Green Energy Ltd. *

    5,635       66,986  

Adani Ports & Special Economic Zone Ltd.

    9,190       91,088  

Adani Power Ltd. *

    13,721       62,366  

Ambuja Cements Ltd.

    10,602       54,052  

Apollo Hospitals Enterprise Ltd.

    1,754       108,307  

Ashok Leyland Ltd.

    25,689       54,633  

Asian Paints Ltd.

    6,730       255,796  

Astral Ltd.

    2,112       48,499  

AU Small Finance Bank Ltd. ~

    2,967       25,393  

Aurobindo Pharma Ltd.

    4,697       51,616  

Avenue Supermarts Ltd. * ~

    2,837       125,308  

Axis Bank Ltd.

    40,070       498,781  

Bajaj Auto Ltd.

    1,207       73,414  

Bajaj Finance Ltd.

    4,789       449,201  

Bajaj Finserv Ltd.

    6,669       123,295  

Bajaj Holdings & Investment Ltd.

    477       40,773  

Balkrishna Industries Ltd.

    1,376       42,296  

Bandhan Bank Ltd. ~

    12,885       38,915  

Bank of Baroda

    18,439       47,346  

Berger Paints India Ltd. *

    861       5,890  

Berger Paints India Ltd.

    4,306       29,448  

Bharat Electronics Ltd.

    63,521       105,537  

Bharat Forge Ltd.

    4,551       59,726  

Bharat Petroleum Corp. Ltd.

    13,503       56,327  

Bharti Airtel Ltd.

    39,198       436,522  

Britannia Industries Ltd.

    1,892       103,322  

CG Power & Industrial Solutions Ltd.

    10,928       58,080  

Cholamandalam Investment & Finance Co. Ltd.

    7,164       104,790  

Cipla Ltd.

    9,182       130,953  

Coal India Ltd.

    26,659       94,549  

Colgate-Palmolive India Ltd.

    2,178       52,524  

Container Corp. Of India Ltd.

    4,885       42,022  

Cummins India Ltd.

    2,421       49,340  

Dabur India Ltd.

    11,027       73,065  

Divi’s Laboratories Ltd.

    2,080       94,092  

DLF Ltd.

    11,024       70,305  

Dr Reddy’s Laboratories Ltd.

    1,895       127,174  

Eicher Motors Ltd.

    2,382       98,684  

GAIL India Ltd.

    40,958       61,257  

Godrej Consumer Products Ltd. *

    7,120       84,937  

Godrej Properties Ltd. *

    2,229       41,595  

Grasim Industries Ltd.

    4,586       106,998  

Havells India Ltd.

    4,341       72,425  

HCL Technologies Ltd.

    16,586       245,828  

HDFC Asset Management Co. Ltd. ~

    1,486       47,330  

HDFC Bank Ltd.

    49,015       898,930  

HDFC Life Insurance Co. Ltd. ~

    16,947       129,801  

Hero MotoCorp Ltd.

    1,954       71,795  

Hindalco Industries Ltd.

    21,478       126,776  
   

    

Shares

   

    

Value

 

Hindustan Aeronautics Ltd. *

    2,976       $68,949  

Hindustan Petroleum Corp. Ltd. *

    10,094       30,984  

Hindustan Unilever Ltd.

    14,440       428,248  

ICICI Bank Ltd.

    91,049       1,043,130  

ICICI Lombard General Insurance Co. Ltd. ~

    4,281       67,341  

ICICI Prudential Life Insurance Co. Ltd. ~

    6,398       43,543  

IDFC First Bank Ltd. *

    57,016       65,300  

Indian Hotels Co. Ltd.

    14,770       72,921  

Indian Oil Corp. Ltd.

    50,226       54,935  

Indian Railway Catering & Tourism Corp. Ltd.

    4,269       34,929  

Indraprastha Gas Ltd.

    5,614       30,683  

Info Edge India Ltd.

    1,262       63,102  

Infosys Ltd.

    58,292       1,001,766  

InterGlobe Aviation Ltd. * ~

    2,338       66,911  

ITC Ltd.

    52,417       280,065  

Jindal Steel & Power Ltd.

    6,363       53,510  

Jio Financial Services Ltd. *

    53,331       148,482  

JSW Steel Ltd.

    10,537       98,569  

Jubilant Foodworks Ltd.

    7,025       44,967  

Kotak Mahindra Bank Ltd.

    19,200       400,128  

Larsen & Toubro Ltd.

    12,099       439,592  

LTIMindtree Ltd. ~

    1,547       96,658  

Lupin Ltd.

    3,647       51,353  

Mahindra & Mahindra Ltd.

    16,370       305,691  

Marico Ltd.

    9,205       62,145  

Maruti Suzuki India Ltd.

    2,384       303,958  

Max Healthcare Institute Ltd.

    13,525       92,389  

Mphasis Ltd.

    1,343       38,288  

MRF Ltd.

    34       43,875  

Muthoot Finance Ltd.

    2,140       32,217  

Nestle India Ltd.

    592       160,221  

NTPC Ltd.

    76,417       225,555  

Oil & Natural Gas Corp. Ltd.

    54,995       126,608  

Page Industries Ltd.

    109       51,065  

Petronet LNG Ltd.

    13,315       38,378  

PI Industries Ltd.

    1,455       60,433  

Pidilite Industries Ltd.

    2,709       79,454  

Power Finance Corp. Ltd.

    18,572       56,235  

Power Finance Corp. Ltd. *

    4,643       14,059  

Power Grid Corp. of India Ltd.

    81,397       195,378  

REC Ltd.

    20,796       71,837  

Reliance Industries Ltd.

    53,481       1,505,739  

Samvardhana Motherson International Ltd.

    42,215       48,629  

SBI Cards & Payment Services Ltd.

    5,039       47,919  

SBI Life Insurance Co. Ltd. ~

    7,879       123,591  

Shree Cement Ltd.

    160       48,962  

Shriram Finance Ltd.

    4,908       113,263  

Siemens Ltd.

    1,543       68,121  

Sona Blw Precision Forgings Ltd. ~

    7,292       51,128  

SRF Ltd.

    2,561       69,178  

State Bank of India

    31,385       225,442  

Sun Pharmaceutical Industries Ltd.

    16,829       234,268  

Supreme Industries Ltd.

    1,112       55,191  

Tata Consultancy Services Ltd.

    16,049       679,550  

Tata Consumer Products Ltd.

    9,721       102,459  

Tata Elxsi Ltd.

    610       52,934  

Tata Motors Ltd.

    29,125       220,299  

Tata Power Co. Ltd.

    24,874       78,391  

Tata Steel Ltd.

    128,373       198,555  

Tech Mahindra Ltd.

    9,378       137,680  

Titan Co. Ltd.

    6,245       236,230  

Torrent Pharmaceuticals Ltd.

    1,808       41,952  

Trent Ltd.

    3,145       78,608  

Tube Investments of India Ltd.

    1,891       67,862  

TVS Motor Co. Ltd.

    4,216       77,039  

UltraTech Cement Ltd.

    2,024       200,714  

United Spirits Ltd. *

    5,175       62,620  

UPL Ltd.

    7,799       57,749  

Varun Beverages Ltd.

    7,903       89,726  

Vedanta Ltd.

    13,216       35,229  

Wipro Ltd.

    22,724       110,665  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

297

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Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Yes Bank Ltd. *

    230,119       $47,731  

Zomato Ltd. *

    76,141       92,740  
   

 

 

 
    17,974,922  
   

 

 

 

Indonesia - 1.9%

 

Aneka Tambang Tbk

    149,200       17,461  

P.T. Adaro Energy Indonesia Tbk

    255,900       47,071  

P.T. Astra International Tbk

    353,500       141,987  

P.T. Bank Central Asia Tbk

    973,300       554,523  

P.T. Bank Mandiri Persero Tbk

    653,500       254,360  

P.T. Bank Negara Indonesia Persero Tbk

    132,600       88,449  

P.T. Bank Rakyat Indonesia Persero Tbk

    1,195,897       403,894  

P.T. Barito Pacific Tbk

    502,191       42,218  

P.T. Charoen Pokphand Indonesia Tbk *

    131,200       46,014  

P.T. GoTo Gojek Tokopedia Tbk *

    14,394,400       78,755  

P.T. Indah Kiat Pulp & Paper Tbk

    48,700       34,921  

P.T. Indofood CBP Sukses Makmur Tbk

    41,500       29,741  

P.T. Indofood Sukses Makmur Tbk

    78,000       33,390  

P.T. Kalbe Farma Tbk

    375,700       42,578  

P.T. Merdeka Copper Gold Tbk *

    214,462       39,842  

P.T. Sarana Menara Nusantara Tbk

    361,600       22,453  

P.T. Semen Indonesia Persero Tbk

    60,033       24,923  

P.T. Sumber Alfaria Trijaya Tbk

    295,900       56,672  

P.T. Telkom Indonesia Persero Tbk

    865,500       209,803  

P.T. Unilever Indonesia Tbk

    135,800       32,858  

P.T. United Tractors Tbk

    26,500       48,349  

P.T. Vale Indonesia Tbk

    44,200       16,111  
   

 

 

 
    2,266,373  
   

 

 

 

Kuwait - 0.8%

 

Agility Public Warehousing Co. KSC *

    28,559       51,434  

Boubyan Bank KSCP

    24,667       48,200  

Gulf Bank KSCP

    32,876       27,944  

Kuwait Finance House KSCP

    142,263       336,839  

Mabanee Co. KPSC

    11,735       31,292  

Mobile Telecommunications Co.

    34,543       54,365  

National Bank of Kuwait SAKP

    131,963       386,733  
   

 

 

 
    936,807  
   

 

 

 

Luxembourg - 0.1%

 

Reinet Investments SCA

    2,355       51,709  
   

 

 

 

Malaysia - 1.4%

 

AMMB Holdings Bhd

    29,500       23,226  

Axiata Group Bhd

    48,900       25,917  

CELCOMDIGI Bhd

    60,400       56,216  

CIMB Group Holdings Bhd

    111,820       129,179  

Dialog Group Bhd

    60,400       27,220  

Gamuda Bhd

    33,795       31,886  

Genting Bhd

    38,000       33,713  

Genting Malaysia Bhd

    52,800       28,073  

Hong Leong Bank Bhd

    11,500       47,725  

Hong Leong Financial Group Bhd

    4,100       15,456  

IHH Healthcare Bhd

    39,000       48,462  

Inari Amertron Bhd

    47,000       28,947  

IOI Corp. Bhd

    44,700       37,833  

Kuala Lumpur Kepong Bhd

    8,300       37,784  

Malayan Banking Bhd

    95,388       178,443  

Malaysia Airports Holdings Bhd

    14,592       22,159  

Maxis Bhd

    41,800       35,933  

MISC Bhd

    23,700       35,705  

MR DIY Group M Bhd ~

    47,950       15,402  

Nestle Malaysia Bhd

    1,200       32,331  

Petronas Chemicals Group Bhd

    48,500       74,129  

Petronas Dagangan Bhd

    5,300       25,263  

Petronas Gas Bhd

    14,100       50,571  

PPB Group Bhd

    11,400       37,585  

Press Metal Aluminium Holdings Bhd

    64,000       64,079  
   

    

Shares

   

    

Value

 

Public Bank Bhd

    254,800       $220,142  

QL Resources Bhd

    19,400       22,560  

RHB Bank Bhd

    26,268       30,352  

Sime Darby Bhd

    48,600       22,837  

Sime Darby Plantation Bhd

    37,002       33,688  

Telekom Malaysia Bhd

    20,281       21,147  

Tenaga Nasional Bhd

    46,000       97,830  
   

 

 

 
    1,591,793  
   

 

 

 

Mexico - 2.5%

 

Alfa SAB de CV Class A

    55,500       36,114  

America Movil SAB de CV

    332,100       287,556  

Arca Continental SAB de CV

    9,100       82,648  

Banco del Bajio SA ~

    13,800       43,401  

Cemex SAB de CV *

    266,100       173,608  

Coca-Cola Femsa SAB de CV

    9,085       71,304  

Fibra Uno Administracion SA de CV REIT

    51,100       85,179  

Fomento Economico Mexicano SAB de CV

    34,200       373,507  

Gruma SAB de CV Class B

    3,295       56,433  

Grupo Aeroportuario del Pacifico SAB de CV Class B

    6,900       113,409  

Grupo Aeroportuario del Sureste SAB de CV Class B

    3,375       82,607  

Grupo Bimbo SAB de CV

    23,300       112,332  

Grupo Carso SAB de CV Series A1

    10,000       73,252  

Grupo Financiero Banorte SAB de CV Class O

    45,600       382,305  

Grupo Financiero Inbursa SAB de CV Class O *

    32,200       63,319  

Grupo Mexico SAB de CV

    54,600       258,440  

Grupo Televisa SAB

    41,600       25,279  

Industrias Penoles SAB de CV *

    3,500       41,261  

Kimberly-Clark de Mexico SAB de CV Class A

    26,300       52,366  

Operadora De Sites Mexicanos SAB de CV REIT

    23,000       19,110  

Orbia Advance Corp. SAB de CV

    17,800       36,984  

Promotora y Operadora de Infraestructura SAB de CV

    3,390       30,300  

Southern Copper Corp.

    1,487       111,956  

Wal-Mart de Mexico SAB de CV

    92,100       346,680  
   

 

 

 
    2,959,350  
   

 

 

 

Peru - 0.2%

 

Cia de Minas Buenaventura SAA ADR

    3,842       32,734  

Credicorp Ltd.

    1,184       151,516  
   

 

 

 
    184,250  
   

 

 

 

Philippines - 0.6%

 

Aboitiz Equity Ventures, Inc.

    30,110       26,690  

Ayala Corp.

    4,310       47,439  

Ayala Land, Inc.

    116,100       60,328  

Bank of the Philippine Islands

    35,171       69,555  

BDO Unibank, Inc.

    41,372       103,549  

International Container Terminal Services, Inc.

    17,540       64,078  

JG Summit Holdings, Inc.

    46,850       31,487  

Jollibee Foods Corp.

    7,970       32,276  

Manila Electric Co.

    5,010       32,588  

Metropolitan Bank & Trust Co.

    32,060       30,568  

PLDT, Inc.

    1,345       27,895  

SM Investments Corp.

    4,350       64,812  

SM Prime Holdings, Inc.

    176,100       94,307  

Universal Robina Corp.

    15,530       32,635  
   

 

 

 
    718,207  
   

 

 

 

Poland - 0.7%

 

Allegro.eu SA * ~

    8,226       60,386  

Bank Polska Kasa Opieki SA

    3,199       73,563  

Budimex SA

    224       22,224  

CD Projekt SA

    1,114       31,829  

Cyfrowy Polsat SA *

    4,515       12,466  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

298

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Dino Polska SA * ~

    872       $70,670  

KGHM Polska Miedz SA

    2,418       61,600  

LPP SA

    19       56,391  

mBank SA *

    266       23,974  

ORLEN SA

    10,187       136,483  

PGE Polska Grupa Energetyczna SA *

    15,959       27,290  

Powszechna Kasa Oszczednosci Bank Polski SA *

    15,369       121,581  

Powszechny Zaklad Ubezpieczen SA

    10,543       99,584  

Santander Bank Polska SA *

    638       52,376  
   

 

 

 
    850,417  
   

 

 

 

Qatar - 0.9%

 

Barwa Real Estate Co.

    38,031       26,972  

Commercial Bank PSQC

    56,326       83,547  

Dukhan Bank

    32,618       35,580  

Industries Qatar QSC

    26,345       99,274  

Masraf Al Rayan QSC

    95,959       58,776  

Mesaieed Petrochemical Holding Co.

    78,088       39,847  

Ooredoo QPSC

    14,271       41,911  

Qatar Electricity & Water Co. QSC

    7,796       37,525  

Qatar Fuel QSC

    10,603       48,063  

Qatar Gas Transport Co. Ltd.

    44,325       45,316  

Qatar International Islamic Bank QSC

    17,522       46,212  

Qatar Islamic Bank SAQ

    28,976       147,746  

Qatar National Bank QPSC

    81,051       342,943  
   

 

 

 
    1,053,712  
   

 

 

 

Romania - 0.0%

 

NEPI Rockcastle NV *

    8,482       46,635  
   

 

 

 

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       -  

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       -  
   

    

Shares

   

    

Value

 

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 - 4.1%

 

ACWA Power Co.

    1,656       86,300  

Advanced Petrochemical Co.

    2,259       24,179  

Al Rajhi Bank

    34,435       623,843  

Alinma Bank

    17,166       153,009  

Almarai Co. JSC

    4,342       73,672  

Arab National Bank

    11,720       74,999  

Arabian Internet & Communications Services Co.

    428       36,521  

Bank Al-Jazira *

    7,127       31,947  

Bank AlBilad

    8,541       96,411  

Banque Saudi Fransi

    10,312       100,416  

Bupa Arabia for Cooperative Insurance Co.

    1,335       74,039  

Co. for Cooperative Insurance

    1,071       35,981  

Dallah Healthcare Co.

    609       23,155  

Dar Al Arkan Real Estate Development Co. *

    9,420       39,635  

Dr Sulaiman Al Habib Medical Services Group Co.

    1,527       95,965  

Elm Co.

    419       87,142  

Etihad Etisalat Co.

    6,549       77,793  

Jarir Marketing Co.

    10,465       40,460  

Mobile Telecommunications Co. Saudi Arabia

    7,832       27,482  

Mouwasat Medical Services Co.

    1,744       47,808  

Nahdi Medical Co.

    694       26,692  

National Industrialization Co. Class C *

    5,820       19,720  

Power & Water Utility Co. for Jubail & Yanbu

    1,293       21,627  

Rabigh Refining & Petrochemical Co. *

    7,400       21,374  

Riyad Bank

    25,787       190,935  

SABIC Agri-Nutrients Co.

    4,079       144,762  

Sahara International Petrochemical Co.

    6,382       64,446  

Saudi Arabian Mining Co. *

    22,623       243,553  

Saudi Arabian Oil Co. ~

    46,859       436,543  

Saudi Aramco Base Oil Co.

    901       35,751  

Saudi Awwal Bank

    17,639       162,318  

Saudi Basic Industries Corp.

    15,800       347,904  

Saudi Electricity Co.

    14,442       73,493  

Saudi Industrial Investment Group

    6,580       41,735  

Saudi Investment Bank

    8,700       36,672  

Saudi Kayan Petrochemical Co. *

    13,052       43,528  

Saudi National Bank

    51,613       451,590  

Saudi Research & Media Group *

    641       28,112  

Saudi Tadawul Group Holding Co.

    856       44,086  

Saudi Telecom Co.

    35,088       351,892  

Savola Group

    4,661       44,827  

Yanbu National Petrochemical Co.

    4,905       54,471  
   

 

 

 
    4,736,788  
   

 

 

 

South Africa - 2.8%

 

Absa Group Ltd.

    14,881       137,140  

African Rainbow Minerals Ltd.

    1,999       17,958  

Anglo American Platinum Ltd.

    1,180       44,042  

Aspen Pharmacare Holdings Ltd.

    6,550       59,440  

Bid Corp. Ltd.

    5,877       131,066  

Bidvest Group Ltd.

    5,012       72,208  

Capitec Bank Holdings Ltd.

    1,526       137,982  

Clicks Group Ltd.

    4,199       57,362  

Discovery Ltd. *

    9,568       69,312  

Exxaro Resources Ltd.

    4,347       39,577  

FirstRand Ltd.

    88,794       299,007  

Gold Fields Ltd.

    15,693       170,093  

Growthpoint Properties Ltd. REIT

    60,977       33,977  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

299

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Harmony Gold Mining Co. Ltd.

    9,910       $37,211  

Impala Platinum Holdings Ltd.

    15,230       79,335  

Kumba Iron Ore Ltd.

    1,149       27,599  

MTN Group Ltd.

    29,751       177,323  

Naspers Ltd. Class N

    3,444       551,002  

Nedbank Group Ltd.

    7,749       82,807  

Northam Platinum Holdings Ltd.

    6,353       38,526  

Old Mutual Ltd.

    84,392       53,754  

OUTsurance Group Ltd.

    14,979       33,829  

Pepkor Holdings Ltd. ~

    35,942       32,659  

Remgro Ltd.

    9,193       72,102  

Sanlam Ltd.

    31,116       107,947  

Sasol Ltd.

    10,001       137,286  

Shoprite Holdings Ltd.

    8,796       111,422  

Sibanye Stillwater Ltd.

    49,191       75,518  

Standard Bank Group Ltd.

    23,613       229,124  

Vodacom Group Ltd.

    11,073       61,851  

Woolworths Holdings Ltd.

    16,532       59,226  
   

 

 

 
    3,237,685  
   

 

 

 

South Korea - 11.3%

 

Amorepacific Corp.

    520       46,988  

BGF retail Co. Ltd.

    156       16,309  

Celltrion Healthcare Co. Ltd.

    1,862       86,917  

Celltrion Pharm, Inc. *

    317       15,693  

Celltrion, Inc.

    1,916       197,706  

CJ CheilJedang Corp.

    147       33,369  

CosmoAM&T Co. Ltd. *

    409       45,034  

Coway Co. Ltd.

    989       30,193  

DB Insurance Co. Ltd.

    819       54,267  

Doosan Bobcat, Inc.

    963       36,348  

Doosan Enerbility Co. Ltd. *

    7,803       94,886  

Ecopro BM Co. Ltd.

    858       160,277  

Ecopro Co. Ltd.

    351       232,991  

F&F Co. Ltd.

    307       25,682  

GS Holdings Corp.

    820       24,194  

Hana Financial Group, Inc.

    5,190       162,595  

Hankook Tire & Technology Co. Ltd.

    1,322       38,670  

Hanmi Pharm Co. Ltd.

    123       27,265  

Hanmi Semiconductor Co. Ltd.

    768       29,892  

Hanon Systems

    3,321       23,156  

Hanwha Aerospace Co. Ltd.

    630       48,754  

Hanwha Ocean Co. Ltd. *

    756       17,251  

Hanwha Solutions Corp. *

    1,834       40,435  

HD Hyundai Co. Ltd.

    771       37,866  

HD Hyundai Heavy Industries Co. Ltd. *

    395       35,424  

HD Korea Shipbuilding & Offshore Engineering Co. Ltd. *

    756       62,133  

HLB, Inc. *

    2,063       45,735  

HMM Co. Ltd.

    4,349       52,459  

Hotel Shilla Co. Ltd.

    558       34,921  

HYBE Co. Ltd. *

    331       58,256  

Hyundai Engineering & Construction Co. Ltd.

    1,387       37,212  

Hyundai Glovis Co. Ltd.

    334       45,586  

Hyundai Mipo Dockyard Co. Ltd. *

    427       26,179  

Hyundai Mobis Co. Ltd.

    1,073       190,971  

Hyundai Motor Co.

    2,408       340,501  

Hyundai Steel Co.

    1,541       43,349  

Industrial Bank of Korea

    4,921       40,833  

JYP Entertainment Corp.

    496       41,186  

Kakao Corp.

    5,435       177,380  

Kakao Games Corp. *

    661       12,460  

KakaoBank Corp.

    2,970       51,399  

Kakaopay Corp. *

    479       14,442  

Kangwon Land, Inc.

    1,714       19,179  

KB Financial Group, Inc.

    6,728       274,414  

Kia Corp.

    4,580       275,671  

Korea Aerospace Industries Ltd.

    1,298       46,851  

Korea Electric Power Corp. *

    4,413       58,670  

Korea Investment Holdings Co. Ltd.

    743       29,173  
   

    

Shares

   

    

Value

 

Korea Zinc Co. Ltd.

    141       $52,816  

Korean Air Lines Co. Ltd.

    3,169       51,019  

Krafton, Inc. *

    500       55,810  

KT Corp.

    1,155       28,441  

KT&G Corp.

    1,799       114,888  

Kumho Petrochemical Co. Ltd.

    313       31,057  

L&F Co. Ltd.

    449       57,302  

LG Chem Ltd.

    867       317,440  

LG Corp.

    1,647       102,381  

LG Display Co. Ltd. *

    4,137       40,152  

LG Electronics, Inc.

    1,864       139,087  

LG Energy Solution Ltd. *

    821       289,533  

LG H&H Co. Ltd.

    167       55,095  

LG Innotek Co. Ltd.

    253       45,843  

LG Uplus Corp.

    3,779       29,019  

Lotte Chemical Corp.

    331       33,605  

Lotte Energy Materials Corp.

    411       12,080  

Meritz Financial Group, Inc. *

    1,803       73,788  

Mirae Asset Securities Co. Ltd.

    4,845       23,143  

NAVER Corp.

    2,300       343,884  

NCSoft Corp.

    254       41,760  

Netmarble Corp. * ~

    384       11,958  

NH Investment & Securities Co. Ltd. Class C

    2,652       20,074  

Orion Corp.

    423       40,321  

Pan Ocean Co. Ltd.

    4,752       17,399  

Pearl Abyss Corp. *

    573       19,763  

POSCO Future M Co. Ltd.

    544       143,914  

POSCO Holdings, Inc.

    1,262       497,189  

Posco International Corp.

    939       49,332  

S-Oil Corp.

    799       46,730  

Samsung Biologics Co. Ltd. * ~

    310       156,484  

Samsung C&T Corp.

    1,450       115,609  

Samsung Electro-Mechanics Co. Ltd.

    978       99,379  

Samsung Electronics Co. Ltd.

    83,695       4,231,126  

Samsung Engineering Co. Ltd. *

    2,717       60,799  

Samsung Fire & Marine Insurance Co. Ltd.

    538       103,472  

Samsung Heavy Industries Co. Ltd. *

    11,532       66,901  

Samsung Life Insurance Co. Ltd.

    1,383       71,945  

Samsung SDI Co. Ltd.

    965       364,686  

Samsung SDS Co. Ltd.

    671       67,202  

Samsung Securities Co. Ltd.

    1,112       30,254  

Shinhan Financial Group Co. Ltd.

    7,736       203,597  

SK Biopharmaceuticals Co. Ltd. *

    558       35,629  

SK Bioscience Co. Ltd. *

    479       24,107  

SK Hynix, Inc.

    9,588       811,765  

SK IE Technology Co. Ltd. * ~

    444       24,258  

SK Innovation Co. Ltd. *

    1,131       124,094  

SK Square Co. Ltd. *

    1,763       55,352  

SK, Inc.

    631       68,228  

SKC Co. Ltd.

    337       18,920  

Woori Financial Group, Inc.

    10,579       95,899  

Yuhan Corp.

    955       53,608  
   

 

 

 
    13,209,259  
   

 

 

 

Taiwan - 14.4%

 

Accton Technology Corp.

    9,000       138,080  

Acer, Inc.

    50,000       56,339  

Advantech Co. Ltd.

    7,898       84,569  

ASE Technology Holding Co. Ltd.

    54,000       184,327  

Asia Cement Corp.

    41,000       50,506  

Asustek Computer, Inc.

    12,000       136,549  

AUO Corp. *

    116,400       59,156  

Catcher Technology Co. Ltd.

    10,000       56,594  

Cathay Financial Holding Co. Ltd. *

    167,202       230,870  

Chailease Holding Co. Ltd.

    26,798       150,477  

Chang Hwa Commercial Bank Ltd.

    97,144       51,945  

Cheng Shin Rubber Industry Co. Ltd.

    33,000       43,473  

China Airlines Ltd.

    51,000       33,550  

China Development Financial Holding Corp. *

    280,214       102,438  

China Steel Corp.

    207,000       161,985  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

300

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Chunghwa Telecom Co. Ltd.

    67,000       $240,823  

Compal Electronics, Inc.

    73,000       69,563  

CTBC Financial Holding Co. Ltd.

    310,000       235,530  

Delta Electronics, Inc.

    34,000       342,445  

E Ink Holdings, Inc.

    15,000       83,640  

E.Sun Financial Holding Co. Ltd.

    248,021       186,450  

Eclat Textile Co. Ltd.

    3,000       45,268  

eMemory Technology, Inc.

    1,000       62,784  

Eva Airways Corp.

    46,000       42,437  

Evergreen Marine Corp. Taiwan Ltd.

    18,000       64,733  

Far Eastern New Century Corp.

    52,000       46,377  

Far EasTone Telecommunications Co. Ltd.

    28,000       63,067  

Feng TAY Enterprise Co. Ltd.

    9,080       51,535  

First Financial Holding Co. Ltd.

    191,672       157,728  

Formosa Chemicals & Fibre Corp.

    62,000       118,143  

Formosa Petrochemical Corp.

    20,000       49,934  

Formosa Plastics Corp.

    67,000       165,629  

Fubon Financial Holding Co. Ltd.

    136,783       257,525  

Giant Manufacturing Co. Ltd.

    5,181       28,608  

Gigabyte Technology Co. Ltd.

    9,000       79,108  

Global Unichip Corp.

    2,000       85,164  

Globalwafers Co. Ltd.

    4,000       56,395  

Hon Hai Precision Industry Co. Ltd.

    219,000       705,888  

Hotai Motor Co. Ltd.

    5,120       104,053  

Hua Nan Financial Holdings Co. Ltd. Class C

    155,316       98,695  

Innolux Corp.

    150,390       61,339  

Inventec Corp.

    47,000       71,655  

Largan Precision Co. Ltd.

    2,000       132,497  

Lite-On Technology Corp.

    35,000       132,139  

MediaTek, Inc.

    27,000       617,297  

Mega Financial Holding Co. Ltd.

    197,140       230,452  

Micro-Star International Co. Ltd.

    13,000       66,135  

momo.com, Inc.

    1,320       20,621  

Nan Ya Plastics Corp.

    84,000       173,294  

Nan Ya Printed Circuit Board Corp.

    4,000       33,151  

Nanya Technology Corp.

    22,000       44,835  

Nien Made Enterprise Co. Ltd.

    3,000       28,802  

Novatek Microelectronics Corp.

    10,000       131,316  

Pegatron Corp.

    35,000       83,092  

PharmaEssentia Corp. *

    4,000       41,668  

Pou Chen Corp.

    39,000       34,653  

Powerchip Semiconductor Manufacturing Corp.

    54,000       44,525  

President Chain Store Corp.

    10,000       81,294  

Quanta Computer, Inc.

    47,000       351,753  

Realtek Semiconductor Corp.

    9,000       110,506  

Ruentex Development Co. Ltd. *

    27,900       30,448  

Shanghai Commercial & Savings Bank Ltd.

    68,178       91,409  

Shin Kong Financial Holding Co. Ltd. *

    227,344       65,357  

SinoPac Financial Holdings Co. Ltd.

    183,568       99,016  

Synnex Technology International Corp.

    22,000       43,694  

Taishin Financial Holding Co. Ltd.

    196,730       109,171  

Taiwan Business Bank

    109,568       44,842  

Taiwan Cement Corp.

    112,493       115,928  

Taiwan Cooperative Financial Holding Co. Ltd.

    181,366       143,910  

Taiwan High Speed Rail Corp.

    35,000       32,490  

Taiwan Mobile Co. Ltd.

    30,000       87,948  

Taiwan Semiconductor Manufacturing Co. Ltd.

    433,000       7,060,599  

Uni-President Enterprises Corp.

    85,000       184,744  

Unimicron Technology Corp.

    24,000       129,486  

United Microelectronics Corp.

    198,000       278,025  

Vanguard International Semiconductor Corp.

    16,000       33,812  

Voltronic Power Technology Corp.

    1,000       49,247  

Walsin Lihwa Corp.

    48,727       55,641  

Wan Hai Lines Ltd.

    12,500       18,728  

Winbond Electronics Corp.

    53,000       41,659  

Wistron Corp.

    46,000       145,676  

Wiwynn Corp.

    2,000       93,261  

WPG Holdings Ltd.

    28,000       52,591  

Yageo Corp.

    5,571       90,717  

Yang Ming Marine Transport Corp.

    31,000       43,680  
   

    

Shares

   

    

Value

 

Yuanta Financial Holding Co. Ltd.

    177,794       $138,113  

Zhen Ding Technology Holding Ltd.

    11,000       33,583  
   

 

 

 
    16,787,179  
   

 

 

 

Thailand - 1.8%

 

Advanced Info Service PCL

    2,800       17,486  

Advanced Info Service PCL NVDR

    18,400       114,907  

Airports of Thailand PCL *

    15,500       29,655  

Airports of Thailand PCL NVDR *

    60,700       116,132  

Asset World Corp. PCL NVDR

    142,800       15,241  

B Grimm Power PCL

    3,500       2,758  

B Grimm Power PCL NVDR

    11,300       8,904  

Bangkok Dusit Medical Services PCL NVDR

    197,700       144,796  

Bangkok Expressway & Metro PCL

    6,800       1,546  

Bangkok Expressway & Metro PCL NVDR

    129,100       29,357  

Banpu PCL NVDR

    134,900       29,570  

Berli Jucker PCL NVDR

    17,900       15,076  

BTS Group Holdings PCL NVDR

    139,100       28,584  

Bumrungrad Hospital PCL NVDR

    10,600       77,829  

Central Pattana PCL NVDR

    36,000       62,326  

Central Retail Corp. PCL NVDR

    32,300       34,271  

Charoen Pokphand Foods PCL NVDR

    68,700       39,014  

CP ALL PCL NVDR

    102,100       169,321  

CP Axtra PCL NVDR

    37,700       33,310  

Delta Electronics Thailand PCL

    9,100       20,572  

Delta Electronics Thailand PCL NVDR

    45,600       103,075  

Electricity Generating PCL NVDR

    4,200       13,940  

Energy Absolute PCL

    1,300       1,815  

Energy Absolute PCL NVDR

    28,600       39,933  

Global Power Synergy PCL NVDR

    12,600       15,434  

Gulf Energy Development PCL NVDR

    52,200       65,077  

Home Product Center PCL

    8,200       2,808  

Home Product Center PCL NVDR

    97,100       33,254  

Indorama Ventures PCL NVDR

    29,900       21,288  

Intouch Holdings PCL NVDR

    17,100       34,545  

JMT Network Services PCL NVDR

    100       131  

Kasikornbank PCL NVDR

    10,500       36,242  

Krung Thai Bank PCL NVDR

    62,200       32,378  

Krungthai Card PCL NVDR

    18,400       22,193  

Land & Houses PCL NVDR

    148,300       31,711  

Minor International PCL NVDR

    58,990       50,464  

Muangthai Capital PCL

    2,200       2,163  

Muangthai Capital PCL NVDR

    11,000       10,817  

Osotspa PCL NVDR

    24,000       16,443  

PTT Exploration & Production PCL NVDR

    24,700       115,254  

PTT Global Chemical PCL NVDR

    40,500       38,194  

PTT Oil & Retail Business PCL NVDR

    53,400       27,370  

PTT PCL

    22,100       20,269  

PTT PCL NVDR

    152,800       140,141  

Ratch Group PCL NVDR

    19,300       16,673  

SCB X PCL

    4,250       11,939  

SCB X PCL NVDR

    10,700       30,058  

SCG Packaging PCL NVDR

    22,900       23,952  

Siam Cement PCL

    500       4,123  

Siam Cement PCL NVDR

    13,400       110,481  

Thai Oil PCL

    4,014       5,531  

Thai Oil PCL NVDR

    17,783       24,505  

Thai Union Group PCL NVDR

    700       278  

True Corp. PCL NVDR

    182,474       35,437  
   

 

 

 
    2,128,571  
   

 

 

 

Turkey - 0.7%

 

Akbank T.A.S

    55,506       67,612  

Aselsan Elektronik Sanayi Ve Ticaret AS

    24,334       36,167  

BIM Birlesik Magazalar AS

    7,894       78,972  

Eregli Demir ve Celik Fabrikalari TAS *

    24,819       40,200  

Ford Otomotiv Sanayi AS

    1,250       38,523  

Haci Omer Sabanci Holding AS

    18,138       39,454  

Hektas Ticaret TAS *

    20,247       19,827  

KOC Holding AS

    13,163       70,362  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

301

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

    

Shares

   

    

Value

 

Koza Altin Isletmeleri AS

    17,120       $17,934  

Pegasus Hava Tasimaciligi AS *

    821       24,630  

Sasa Polyester Sanayi AS *

    18,854       33,818  

Tofas Turk Otomobil Fabrikasi AS

    2,226       23,959  

Turk Hava Yollari AO *

    9,543       84,230  

Turkcell Iletisim Hizmetleri AS *

    21,520       41,755  

Turkiye Is Bankasi AS Class C

    62,223       58,273  

Turkiye Petrol Rafinerileri AS

    16,720       96,866  

Turkiye Sise ve Cam Fabrikalari AS

    24,512       48,758  

Yapi ve Kredi Bankasi AS

    60,092       40,341  
   

 

 

 
    861,681  
   

 

 

 

United Arab Emirates - 1.4%

 

Abu Dhabi Commercial Bank PJSC

    51,227       120,639  

Abu Dhabi Islamic Bank PJSC

    25,877       79,328  

Abu Dhabi National Oil Co. for Distribution PJSC

    53,627       54,751  

Aldar Properties PJSC

    67,182       105,375  

Americana Restaurants International PLC

    45,015       50,247  

Dubai Islamic Bank PJSC

    51,437       81,932  

Emaar Properties PJSC

    116,226       254,353  

Emirates NBD Bank PJSC

    33,270       161,231  

Emirates Telecommunications Group Co. PJSC

    61,010       339,512  

First Abu Dhabi Bank PJSC

    77,527       287,083  

Multiply Group PJSC *

    67,948       74,014  
   

 

 

 
    1,608,465  
   

 

 

 

United Kingdom - 0.1%

 

Anglogold Ashanti PLC *

    7,349       118,073  

Pepco Group NV *

    3,087       14,261  
   

 

 

 
    132,334  
   

 

 

 

United States - 0.1%

 

JBS SA

    13,800       49,555  

Legend Biotech Corp. ADR *

    1,058       71,066  

Parade Technologies Ltd.

    1,000       30,608  
   

 

 

 
    151,229  
   

 

 

 

Total Common Stocks
(Cost $138,018,175)

      111,721,907  
   

 

 

 
   

Principal
Amount

       

SHORT-TERM INVESTMENTS - 1.9%

 

Repurchase Agreements - 1.8%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of $2,106,320; collateralized by U.S. Treasury Notes: 3.625% due 05/15/26 and value $2,147,654)

    $2,105,451       2,105,451  
   

 

 

 

U.S. Treasury Bills - 0.1%

 

5.505% due 02/22/24 ‡

    100,000       97,894  
   

 

 

 

Total Short-Term Investments
(Cost $2,203,332)

      2,203,345  
   

 

 

 

TOTAL INVESTMENTS - 99.8%
(Cost $142,842,811)

      116,497,208  
   

 

 

 

DERIVATIVES - (0.1%)

      (84,861
   

 

 

 
   

    

   

    

Value

 

OTHER ASSETS & LIABILITIES, NET - 0.3%

 

    $295,820  
   

 

 

 

NET ASSETS - 100.0%

      $116,708,167  
   

 

 

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

302

PACIFIC SELECT FUND

PD EMERGING MARKETS INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

Notes to Schedule of Investments

 

(a)

As of September 30, 2023, investments with a total aggregate value of $1 or less than 0.1% of the Fund’s net assets were determined by a valuation committee established under the Valuation Policy.

 

(b)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

ICE U.S. MSCI Emerging Markets EM Index

   12/23        59              $2,903,586        $2,818,725        ($84,861
                

 

 

 

 

(c)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
     Level 2
Significant
Observable Inputs
     Level 3
Significant
Unobservable Inputs
 

Assets

 

Rights

           
 

Brazil

     $366        $366        $-        $-  
 

Chile

     146        146        -        -  
 

South Korea

     2,093        -        2,093        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Rights

     2,605        512        2,093        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Preferred Stocks

           
 

Brazil

     1,663,044        1,660,349        2,695        -  
 

Chile

     148,722        -        148,722        -  
 

Colombia

     51,412        51,412        -        -  
 

South Korea

     706,173        -        706,173        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Preferred Stocks

     2,569,351        1,711,761        857,590        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Common Stocks

           
 

Brazil

     4,459,312        4,459,312        -        -  
 

Chile

     429,803        203,364        226,439        -  
 

China

     34,074,043        2,980,847        31,093,196        -  
 

Colombia

     63,128        63,128        -        -  
 

Czech Republic

     180,658        141,291        39,367        -  
 

Egypt

     109,986        -        109,986        -  
 

Greece

     507,538        84,761        422,777        -  
 

Hong Kong

     140,368        -        140,368        -  
 

Hungary

     269,704        60,149        209,555        -  
 

India

     17,974,922        333,025        17,641,897        -  
 

Indonesia

     2,266,373        56,672        2,209,701        -  
 

Kuwait

     936,807        386,733        550,074        -  
 

Luxembourg

     51,709        51,709        -        -  
 

Malaysia

     1,591,793        294,027        1,297,766        -  
 

Mexico

     2,959,350        2,959,350        -        -  
 

Peru

     184,250        184,250        -        -  
 

Philippines

     718,207        59,278        658,929        -  
 

Poland

     850,417        -        850,417        -  
 

Qatar

     1,053,712        283,932        769,780        -  
 

Romania

     46,635        46,635        -        -  
 

Russia

     1        -        -        1  
 

Saudi Arabia

     4,736,788        441,051        4,295,737        -  
 

South Africa

     3,237,685        1,428,463        1,809,222        -  
 

South Korea

     13,209,259        -        13,209,259        -  
 

Taiwan

     16,787,179        -        16,787,179        -  
 

Thailand

     2,128,571        -        2,128,571        -  
 

Turkey

     861,681        72,341        789,340        -  
 

United Arab Emirates

     1,608,465        644,477        963,988        -  
 

United Kingdom

     132,334        -        132,334        -  
 

United States

     151,229        120,621        30,608        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     111,721,907        15,355,416        96,366,490        1  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     2,203,345        -        2,203,345        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     116,497,208        17,067,689        99,429,518        1  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (84,861      (84,861      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (84,861      (84,861      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $116,412,347        $16,982,828        $99,429,518        $1  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

303

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

WARRANTS - 0.0%

 

Canada - 0.0%

 

Constellation Software, Inc. Exercise @ $ 1.00 Exp 03/31/40 *

    828       $-  
   

 

 

 

Total Warrants
(Cost $0)

      -  
   

 

 

 

PREFERRED STOCKS - 0.5%

 

Germany - 0.5%

 

Bayerische Motoren Werke AG

    2,636       245,361  

Dr Ing hc F Porsche AG ~

    5,173       485,367  

Henkel AG & Co. KGaA

    7,681       546,960  

Porsche Automobil Holding SE

    6,967       342,703  

Sartorius AG

    1,190       403,046  

Volkswagen AG

    9,376       1,077,296  
   

 

 

 
    3,100,733  
   

 

 

 

Total Preferred Stocks
(Cost $4,280,665)

      3,100,733  
   

 

 

 

COMMON STOCKS - 98.3%

 

Australia - 6.6%

 

ANZ Group Holdings Ltd.

    136,530       2,239,319  

Aristocrat Leisure Ltd.

    26,765       699,274  

BHP Group Ltd.

    230,143       6,464,903  

Coles Group Ltd.

    60,803       606,866  

Commonwealth Bank of Australia

    76,149       4,864,097  

Flutter Entertainment PLC *

    8,022       1,308,631  

Fortescue Metals Group Ltd.

    76,931       1,022,647  

Glencore PLC

    478,496       2,724,800  

Goodman Group REIT

    77,021       1,055,636  

Macquarie Group Ltd.

    16,679       1,786,122  

National Australia Bank Ltd.

    142,628       2,647,794  

Newcrest Mining Ltd.

    40,625       640,109  

Rio Tinto Ltd.

    16,864       1,216,364  

Rio Tinto PLC

    51,150       3,211,833  

Santos Ltd.

    147,531       743,708  

Telstra Group Ltd.

    183,712       453,886  

Transurban Group >>

    139,937       1,137,080  

Wesfarmers Ltd.

    51,539       1,744,284  

Westpac Banking Corp.

    159,416       2,154,914  

Woodside Energy Group Ltd.

    86,260       2,005,638  

Woolworths Group Ltd.

    55,365       1,325,504  
   

 

 

 
    40,053,409  
   

 

 

 

Austria - 0.0%

 

Verbund AG

    3,107       252,760  
   

 

 

 

Belgium - 0.6%

 

Anheuser-Busch InBev SA

    39,461       2,187,566  

KBC Group NV

    11,372       707,982  

UCB SA

    5,744       470,486  
   

 

 

 
    3,366,034  
   

 

 

 

Brazil - 0.1%

 

Wheaton Precious Metals Corp.

    20,573       834,886  
   

 

 

 

Canada - 10.5%

 

Agnico Eagle Mines Ltd.

    22,355       1,015,830  
   

Shares

   

Value

 

Alimentation Couche-Tard, Inc.

    35,511       $1,803,459  

Bank of Montreal

    32,402       2,733,386  

Bank of Nova Scotia

    54,142       2,426,773  

Barrick Gold Corp.

    65,881       956,990  

Barrick Gold Corp.

    13,874       199,792  

BCE, Inc.

    3,298       125,898  

Brookfield Corp.

    63,959       1,999,881  

Canadian Imperial Bank of Commerce

    41,161       1,588,862  

Canadian National Railway Co.

    25,579       2,770,046  

Canadian Natural Resources Ltd. (TSE)

    50,305       3,253,297  

Canadian Pacific Kansas City Ltd.

    42,298       3,144,050  

Cenovus Energy, Inc.

    65,051       1,354,421  

CGI, Inc. *

    9,617       947,929  

Constellation Software, Inc.

    915       1,888,993  

Enbridge, Inc.

    96,654       3,205,789  

Fairfax Financial Holdings Ltd.

    970       791,833  

Fortis, Inc.

    22,000       835,619  

Franco-Nevada Corp.

    8,721       1,164,277  

George Weston Ltd.

    2,840       314,956  

Great-West Lifeco, Inc.

    12,725       364,067  

Hydro One Ltd. ~

    14,973       381,201  

Imperial Oil Ltd.

    9,288       572,085  

Intact Financial Corp.

    7,962       1,160,784  

Loblaw Cos. Ltd.

    7,255       616,401  

Magna International, Inc.

    12,348       661,742  

Manulife Financial Corp.

    83,606       1,527,775  

National Bank of Canada

    15,355       1,020,049  

Nutrien Ltd.

    22,537       1,391,794  

Pembina Pipeline Corp.

    25,000       751,703  

Power Corp. of Canada

    26,250       668,305  

Restaurant Brands International, Inc.

    13,431       894,411  

Rogers Communications, Inc. Class B

    16,118       618,851  

Royal Bank of Canada

    62,965       5,502,629  

Shopify, Inc. Class A *

    54,492       2,974,443  

Sun Life Financial, Inc.

    26,657       1,300,614  

Suncor Energy, Inc.

    59,912       2,060,364  

TC Energy Corp.

    46,247       1,590,427  

Teck Resources Ltd. Class B

    20,700       890,942  

TELUS Corp.

    20,856       340,575  

TELUS Corp. *

    559       9,128  

Thomson Reuters Corp.

    7,218       883,006  

Toronto-Dominion Bank

    83,523       5,031,980  
   

 

 

 
    63,735,357  
   

 

 

 

China - 0.5%

 

BOC Hong Kong Holdings Ltd.

    168,000       458,618  

Budweiser Brewing Co. APAC Ltd. ~

    77,800       152,893  

Prosus NV *

    69,446       2,046,298  

Wilmar International Ltd.

    87,700       238,657  
   

 

 

 
    2,896,466  
   

 

 

 

Denmark - 3.2%

 

AP Moller - Maersk AS Class A

    138       244,218  

AP Moller - Maersk AS Class B

    220       395,757  

Carlsberg AS Class B

    4,474       564,104  

Coloplast AS Class B

    6,208       656,912  

DSV AS

    8,457       1,575,883  

Genmab AS *

    3,000       1,062,152  

Novo Nordisk AS Class B

    148,258       13,499,066  

Orsted AS ~

    8,593       467,487  

Vestas Wind Systems AS *

    45,877       981,487  
   

 

 

 
    19,447,066  
   

 

 

 

Finland - 0.8%

 

Kone OYJ Class B

    15,441       650,684  

Neste OYJ

    19,219       650,921  

Nokia OYJ (OMXH)

    243,077       913,987  

Nordea Bank Abp

    146,349       1,604,531  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

304

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Sampo OYJ Class A

    20,891       $903,149  
   

 

 

 
    4,723,272  
   

 

 

 

France - 9.9%

 

Air Liquide SA

    23,794       4,007,659  

Airbus SE

    26,931       3,604,673  

AXA SA

    83,374       2,473,612  

BNP Paribas SA

    47,665       3,030,840  

Capgemini SE

    7,491       1,307,133  

Cie de Saint-Gobain SA

    21,014       1,257,696  

Cie Generale des Etablissements Michelin SCA

    30,819       943,276  

Credit Agricole SA

    54,988       676,067  

Danone SA

    29,252       1,613,474  

Dassault Systemes SE

    30,437       1,130,504  

Engie SA

    82,977       1,272,548  

EssilorLuxottica SA

    13,395       2,330,001  

Hermes International SCA

    1,439       2,623,048  

Kering SA

    3,382       1,536,655  

L’Oreal SA

    10,957       4,540,713  

Legrand SA

    12,122       1,113,846  

LVMH Moet Hennessy Louis Vuitton SE

    12,545       9,469,348  

Orange SA

    84,595       970,327  

Pernod Ricard SA

    9,291       1,546,858  

Safran SA

    15,529       2,433,537  

Sartorius Stedim Biotech

    1,259       299,520  

Societe Generale SA

    33,045       799,610  

Thales SA

    4,775       671,093  

TotalEnergies SE

    102,148       6,716,161  

Veolia Environnement SA

    30,875       892,477  

Vinci SA

    24,145       2,671,186  
   

 

 

 
    59,931,862  
   

 

 

 

Germany - 7.3%

 

adidas AG

    7,360       1,291,007  

Allianz SE

    18,323       4,360,436  

BASF SE

    40,608       1,838,119  

Bayer AG

    44,632       2,143,424  

Bayerische Motoren Werke AG

    13,665       1,387,915  

Beiersdorf AG

    4,579       590,641  

Daimler Truck Holding AG

    22,432       776,691  

Deutsche Bank AG

    88,050       967,693  

Deutsche Boerse AG

    8,632       1,490,719  

Deutsche Telekom AG

    147,251       3,088,854  

DHL Group

    45,033       1,827,237  

E.ON SE

    101,997       1,206,217  

Fresenius SE & Co. KGaA

    19,191       596,077  

Hannover Rueck SE

    2,739       600,988  

Henkel AG & Co. KGaA

    4,732       298,360  

Infineon Technologies AG

    59,329       1,965,020  

Mercedes-Benz Group AG

    36,451       2,536,870  

Merck KGaA

    5,872       978,906  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    6,200       2,414,606  

RWE AG

    28,723       1,066,192  

SAP SE

    47,440       6,140,730  

Siemens AG

    34,527       4,934,206  

Siemens Healthineers AG ~

    12,814       648,156  

Volkswagen AG

    1,333       175,060  

Vonovia SE

    33,307       797,979  
   

 

 

 
    44,122,103  
   

 

 

 

Hong Kong - 1.9%

 

AIA Group Ltd.

    524,800       4,244,132  

CK Asset Holdings Ltd.

    89,562       470,432  

CLP Holdings Ltd.

    74,500       550,099  

Hang Seng Bank Ltd.

    34,800       431,780  

Hong Kong & China Gas Co. Ltd.

    509,150       354,260  

Hong Kong Exchanges & Clearing Ltd.

    54,700       2,030,068  

Jardine Matheson Holdings Ltd.

    7,300       338,293  
   

Shares

   

Value

 

MTR Corp. Ltd.

    70,352       $277,920  

Prudential PLC

    125,080       1,344,526  

Sun Hung Kai Properties Ltd.

    66,000       704,217  

Techtronic Industries Co. Ltd.

    62,500       603,349  
   

 

 

 
    11,349,076  
   

 

 

 

Ireland - 0.1%

 

Kerry Group PLC Class A

    7,241       605,018  
   

 

 

 

Israel - 0.1%

 

Check Point Software Technologies Ltd. *

    4,252       566,707  
   

 

 

 

Italy - 1.8%

 

Assicurazioni Generali SpA

    46,048       939,950  

Enel SpA

    369,495       2,266,017  

Eni SpA

    107,361       1,724,626  

Ferrari NV

    5,726       1,687,942  

Intesa Sanpaolo SpA

    706,030       1,808,296  

Snam SpA

    91,613       429,873  

UniCredit SpA

    83,765       1,995,817  
   

 

 

 
    10,852,521  
   

 

 

 

Japan - 18.8%

 

Advantest Corp.

    34,800       970,694  

Aeon Co. Ltd.

    29,700       588,300  

Ajinomoto Co., Inc.

    20,500       790,452  

Asahi Group Holdings Ltd.

    21,900       818,065  

Astellas Pharma, Inc.

    82,200       1,137,781  

Bandai Namco Holdings, Inc.

    27,200       553,261  

Bridgestone Corp.

    25,900       1,009,270  

Canon, Inc.

    45,400       1,093,624  

Central Japan Railway Co.

    32,500       790,335  

Chugai Pharmaceutical Co. Ltd.

    30,500       940,438  

Dai-ichi Life Holdings, Inc.

    42,700       881,512  

Daiichi Sankyo Co. Ltd.

    84,000       2,299,693  

Daikin Industries Ltd.

    12,000       1,881,260  

Daiwa House Industry Co. Ltd.

    27,000       724,663  

Denso Corp.

    78,800       1,264,415  

East Japan Railway Co.

    13,700       784,009  

Eisai Co. Ltd.

    11,500       637,373  

FANUC Corp.

    43,300       1,126,121  

Fast Retailing Co. Ltd.

    8,000       1,742,522  

FUJIFILM Holdings Corp.

    17,000       983,459  

Fujitsu Ltd.

    8,000       940,889  

Hitachi Ltd.

    42,600       2,640,243  

Honda Motor Co. Ltd.

    209,700       2,359,060  

Hoya Corp.

    16,100       1,648,921  

ITOCHU Corp.

    54,000       1,950,152  

Japan Post Bank Co. Ltd.

    65,700       571,711  

Japan Post Holdings Co. Ltd.

    102,200       817,614  

Japan Tobacco, Inc.

    54,500       1,253,938  

Kao Corp.

    21,200       785,778  

KDDI Corp.

    68,000       2,081,512  

Keyence Corp.

    8,800       3,254,465  

Kirin Holdings Co. Ltd.

    35,300       494,215  

Komatsu Ltd.

    42,000       1,132,787  

Kubota Corp.

    46,000       676,697  

Kyocera Corp.

    14,600       740,186  

M3, Inc.

    20,000       362,775  

Marubeni Corp.

    65,600       1,022,589  

Mitsubishi Corp.

    52,200       2,487,347  

Mitsubishi Electric Corp.

    87,800       1,084,722  

Mitsubishi Estate Co. Ltd.

    51,100       666,651  

Mitsubishi UFJ Financial Group, Inc.

    518,800       4,396,392  

Mitsui & Co. Ltd.

    59,700       2,165,315  

Mitsui Fudosan Co. Ltd.

    40,400       889,769  

Mizuho Financial Group, Inc.

    109,600       1,860,782  

MS&AD Insurance Group Holdings, Inc.

    19,500       713,589  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

305

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Murata Manufacturing Co. Ltd.

    78,300       $1,428,360  

Nexon Co. Ltd.

    15,500       276,964  

Nidec Corp.

    19,000       877,295  

Nintendo Co. Ltd.

    47,200       1,961,299  

Nippon Paint Holdings Co. Ltd.

    43,100       289,465  

Nippon Telegraph & Telephone Corp.

    1,357,600       1,606,903  

Nissan Motor Co. Ltd.

    105,500       465,597  

Nomura Research Institute Ltd.

    17,500       454,855  

NTT Data Group Corp.

    28,700       384,045  

Obic Co. Ltd.

    3,200       484,865  

Olympus Corp.

    57,500       746,550  

Oriental Land Co. Ltd.

    49,600       1,627,260  

ORIX Corp.

    53,300       995,239  

Otsuka Holdings Co. Ltd.

    17,700       628,440  

Panasonic Holdings Corp.

    100,300       1,132,163  

Recruit Holdings Co. Ltd.

    65,500       2,003,973  

Renesas Electronics Corp. *

    57,800       882,892  

Secom Co. Ltd.

    9,500       644,487  

Sekisui House Ltd.

    27,100       539,329  

Seven & i Holdings Co. Ltd.

    34,200       1,338,936  

Shimano, Inc.

    3,500       468,456  

Shin-Etsu Chemical Co. Ltd.

    82,800       2,404,979  

Shionogi & Co. Ltd.

    11,900       530,793  

Shiseido Co. Ltd.

    18,200       637,803  

SMC Corp.

    2,600       1,165,482  

SoftBank Corp.

    130,500       1,477,038  

SoftBank Group Corp.

    46,700       1,967,261  

Sompo Holdings, Inc.

    13,400       574,281  

Sony Group Corp.

    57,300       4,685,739  

Sumitomo Corp.

    47,500       948,001  

Sumitomo Mitsui Financial Group, Inc.

    57,700       2,834,572  

Suzuki Motor Corp.

    16,700       671,690  

Sysmex Corp.

    7,600       361,130  

Takeda Pharmaceutical Co. Ltd.

    71,900       2,228,648  

Terumo Corp.

    30,600       810,008  

Tokio Marine Holdings, Inc.

    81,900       1,896,287  

Tokyo Electron Ltd.

    21,400       2,923,074  

Toyota Industries Corp.

    6,700       527,394  

Toyota Motor Corp.

    481,800       8,643,649  

Toyota Tsusho Corp.

    9,700       570,516  

Unicharm Corp.

    18,300       647,046  

Z Holdings Corp.

    121,600       337,332  
   

 

 

 
    114,095,442  
   

 

 

 

Luxembourg - 0.1%

 

ArcelorMittal SA

    23,246       581,988  
   

 

 

 

Macau - 0.1%

 

Galaxy Entertainment Group Ltd.

    99,000       592,379  

Sands China Ltd. *

    110,400       335,724  
   

 

 

 
    928,103  
   

 

 

 

Netherlands - 5.1%

 

Adyen NV * ~

    986       731,054  

Akzo Nobel NV

    7,750       558,763  

Argenx SE *

    2,542       1,242,600  

ASML Holding NV

    18,315       10,782,956  

Heineken Holding NV

    5,889       443,802  

Heineken NV

    13,084       1,153,505  

ING Groep NV

    164,441       2,167,343  

Koninklijke Ahold Delhaize NV

    44,090       1,328,859  

Koninklijke Philips NV *

    42,191       841,805  

Shell PLC

    304,587       9,653,646  

Universal Music Group NV

    37,223       971,378  

Wolters Kluwer NV

    11,699       1,416,461  
   

 

 

 
    31,292,172  
   

 

 

 
   

Shares

   

Value

 

Norway - 0.5%

 

Aker BP ASA

    14,373       $396,868  

DNB Bank ASA

    42,035       844,557  

Equinor ASA

    40,922       1,341,097  

Telenor ASA

    31,860       361,313  
   

 

 

 
    2,943,835  
   

 

 

 

Portugal - 0.1%

 

EDP - Energias de Portugal SA

    142,532       592,640  
   

 

 

 

Singapore - 1.3%

 

DBS Group Holdings Ltd.

    82,254       2,020,128  

Grab Holdings Ltd. Class A *

    85,106       301,275  

Oversea-Chinese Banking Corp. Ltd.

    153,757       1,437,943  

Sea Ltd. ADR *

    16,575       728,471  

Singapore Telecommunications Ltd.

    375,000       663,786  

STMicroelectronics NV

    31,050       1,338,971  

United Overseas Bank Ltd.

    57,400       1,195,533  
   

 

 

 
    7,686,107  
   

 

 

 

South Africa - 0.3%

 

Anglo American PLC

    57,728       1,585,187  
   

 

 

 

Spain - 2.5%

 

Aena SME SA ~

    3,407       512,677  

Amadeus IT Group SA

    20,465       1,236,141  

Banco Bilbao Vizcaya Argentaria SA

    271,025       2,193,386  

Banco Santander SA

    735,277       2,799,985  

CaixaBank SA (SIBE)

    187,465       746,859  

Cellnex Telecom SA ~

    25,677       893,097  

EDP Renovaveis SA

    13,953       228,514  

Endesa SA

    14,472       294,526  

Iberdrola SA

    276,591       3,093,518  

Industria de Diseno Textil SA

    49,559       1,844,192  

Naturgy Energy Group SA

    5,696       154,960  

Telefonica SA

    234,878       959,557  
   

 

 

 
    14,957,412  
   

 

 

 

Sweden - 2.3%

 

Assa Abloy AB Class B

    45,529       989,280  

Atlas Copco AB Class A

    122,165       1,640,757  

Atlas Copco AB Class B

    70,750       827,424  

Epiroc AB Class A

    29,911       567,928  

Epiroc AB Class B

    17,775       284,352  

EQT AB

    16,196       319,110  

Essity AB Class B

    27,671       596,787  

Evolution AB ~

    8,325       840,069  

H & M Hennes & Mauritz AB Class B

    29,341       416,061  

Hexagon AB Class B

    94,314       802,681  

Investor AB Class B

    78,626       1,505,256  

Sandvik AB

    48,434       891,202  

Skandinaviska Enskilda Banken AB Class A

    72,088       859,423  

Svenska Handelsbanken AB Class A

    66,254       589,521  

Swedbank AB Class A

    38,568       708,934  

Telefonaktiebolaget LM Ericsson Class B

    133,024       648,061  

Volvo AB Class A

    9,049       187,917  

Volvo AB Class B

    68,602       1,413,039  
   

 

 

 
    14,087,802  
   

 

 

 

Switzerland - 5.7%

 

ABB Ltd.

    72,676       2,594,037  

Alcon, Inc.

    22,703       1,751,931  

Chocoladefabriken Lindt & Spruengli AG

    48       1,025,318  

Cie Financiere Richemont SA Class A

    23,715       2,888,089  

DSM-Firmenich AG

    8,449       713,965  

Givaudan SA

    419       1,364,193  
 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

306

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

   

Shares

   

Value

 

Kuehne & Nagel International AG

    2,469       $701,518  

Lonza Group AG

    3,383       1,564,797  

Novartis AG

    93,121       9,510,320  

Partners Group Holding AG

    1,031       1,157,395  

Schindler Holding AG

    2,916       573,662  

SGS SA

    6,808       571,365  

Sika AG

    6,649       1,684,596  

Sonova Holding AG

    2,362       559,030  

Straumann Holding AG

    5,071       645,431  

Swisscom AG

    1,177       698,891  

UBS Group AG (XVTX)

    149,420       3,680,542  

Zurich Insurance Group AG

    6,836       3,127,849  
   

 

 

 
    34,812,929  
   

 

 

 

United Arab Emirates - 0.0%

 

NMC Health PLC *

    4,009       1  
   

 

 

 

United Kingdom - 10.0%

 

3i Group PLC

    44,220       1,113,046  

Ashtead Group PLC

    19,908       1,207,273  

Associated British Foods PLC

    15,757       395,876  

AstraZeneca PLC

    70,412       9,497,481  

Aviva PLC

    124,402       588,814  

BAE Systems PLC

    138,489       1,682,896  

Barclays PLC

    706,707       1,362,127  

BP PLC

    788,318       5,081,446  

British American Tobacco PLC

    96,520       3,030,601  

BT Group PLC

    293,352       416,578  

CK Hutchison Holdings Ltd.

    121,500       645,054  

Coca-Cola Europacific Partners PLC

    9,382       586,187  

Compass Group PLC

    78,752       1,916,948  

Diageo PLC

    102,086       3,763,716  

HSBC Holdings PLC

    898,079       7,027,812  

Imperial Brands PLC

    39,225       795,734  

Legal & General Group PLC

    271,570       732,786  

Lloyds Banking Group PLC

    2,925,926       1,572,376  

London Stock Exchange Group PLC

    19,294       1,933,757  

National Grid PLC

    167,280       2,000,560  

NatWest Group PLC

    264,053       755,338  

Reckitt Benckiser Group PLC

    32,598       2,298,835  

RELX PLC

    86,067       2,903,893  

SSE PLC

    49,532       970,645  

Standard Chartered PLC

    107,762       991,144  

Tesco PLC

    325,692       1,047,583  

Unilever PLC

    114,261       5,652,125  

Vodafone Group PLC

    1,044,657       979,261  
   

 

 

 
    60,949,892  
   

 

 

 

United States - 8.1%

 

CRH PLC

    32,967       1,817,607  

CSL Ltd.

    21,914       3,530,411  

Experian PLC

    41,795       1,367,013  

Ferrovial SE

    23,137       706,997  

GSK PLC

    186,043       3,366,224  

Haleon PLC

    251,728       1,043,434  

Nestle SA

    121,301       13,730,788  

Roche Holding AG

    33,372       9,140,813  

Sanofi

    51,616       5,542,281  

Schneider Electric SE

    24,723       4,074,154  

Stellantis NV

    100,510       1,924,608  

Swiss Re AG

    13,703       1,407,303  

Holcim AG *

    23,679       1,515,667  
   

 

 

 
    49,167,300  
   

 

 

 

Total Common Stocks
(Cost $598,757,960)

      596,417,347  
   

 

 

 
   

Principal
Amount

    

Value

 

SHORT-TERM INVESTMENTS - 0.2%

 

Repurchase Agreements - 0.1%

 

Fixed Income Clearing Corp.
4.950% due 10/02/23
(Dated 09/29/23, repurchase price of
$807,959; collateralized by U.S. Treasury
Notes: 1.375% due 11/15/31 and value
$823,799)

    $807,626        $807,626  
    

 

 

 

U.S. Treasury Bills - 0.1%

 

5.505% due 02/22/24 ‡

    500,000        489,468  
    

 

 

 

Total Short-Term Investments
(Cost $1,297,033)

       1,297,094  
    

 

 

 

TOTAL INVESTMENTS - 99.0%
(Cost $604,335,658)

       600,815,174  
    

 

 

 

DERIVATIVES - (0.1%)

       (199,128
    

 

 

 

OTHER ASSETS & LIABILITIES, NET - 1.1%

 

     6,485,226  
    

 

 

 

NET ASSETS - 100.0%

       $607,101,272  
    

 

 

 

Notes to Schedule of Investments

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

307

PACIFIC SELECT FUND

PD INTERNATIONAL LARGE-CAP INDEX PORTFOLIO

Schedule of Investments (Continued)

September 30, 2023 (Unaudited)

 

 

 

(a)

As of September 30, 2023, open futures contracts outstanding were as follows:

 

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

ICE U.S. MSCI EAFE Index

     12/23          65              $6,815,687        $6,634,875        ($180,812

Montreal Exchange S&P/TSX 60 Index

     12/23          4              711,149        692,833        (18,316
                

 

 

 

Total Futures Contracts

                   ($199,128
                

 

 

 

 

(b)

Fair Value Measurements

As of September 30, 2023, the Fund’s investments, as categorized under the three-tier hierarchy of inputs used in valuing the Fund’s assets and liabilities were as follows:

 

           Total Value at
September 30, 2023
     Level 1
Quoted Price
    

Level 2

Significant
Observable Inputs

    

Level 3

Significant
Unobservable Inputs

 

Assets

 

Preferred Stocks

     $3,100,733        $-        $3,100,733        $-  
 

Common Stocks

           
 

Australia

     40,053,409        -        40,053,409        -  
 

Austria

     252,760        -        252,760        -  
 

Belgium

     3,366,034        -        3,366,034        -  
 

Brazil

     834,886        834,886        -        -  
 

Canada

     63,735,357        63,535,565        199,792        -  
 

China

     2,896,466        -        2,896,466        -  
 

Denmark

     19,447,066        -        19,447,066        -  
 

Finland

     4,723,272        -        4,723,272        -  
 

France

     59,931,862        -        59,931,862        -  
 

Germany

     44,122,103        -        44,122,103        -  
 

Hong Kong

     11,349,076        -        11,349,076        -  
 

Ireland

     605,018        -        605,018        -  
 

Israel

     566,707        566,707        -        -  
 

Italy

     10,852,521        -        10,852,521        -  
 

Japan

     114,095,442        -        114,095,442        -  
 

Luxembourg

     581,988        -        581,988        -  
 

Macau

     928,103        -        928,103        -  
 

Netherlands

     31,292,172        -        31,292,172        -  
 

Norway

     2,943,835        -        2,943,835        -  
 

Portugal

     592,640        -        592,640        -  
 

Singapore

     7,686,107        1,029,746        6,656,361        -  
 

South Africa

     1,585,187        -        1,585,187        -  
 

Spain

     14,957,412        -        14,957,412        -  
 

Sweden

     14,087,802        -        14,087,802        -  
 

Switzerland

     34,812,929        -        34,812,929        -  
 

United Arab Emirates

     1        -        1        -  
 

United Kingdom

     60,949,892        586,187        60,363,705        -  
 

United States

     49,167,300        -        49,167,300        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Common Stocks

     596,417,347        66,553,091        529,864,256        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Short-Term Investments

     1,297,094        -        1,297,094        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Assets

     600,815,174        66,553,091        534,262,083        -  
    

 

 

    

 

 

    

 

 

    

 

 

 

Liabilities

 

Derivatives:

           
 

Equity Contracts

           
 

Futures

     (199,128      (199,128      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total Liabilities

     (199,128      (199,128      -        -  
    

 

 

    

 

 

    

 

 

    

 

 

 
 

Total

     $600,616,046        $66,353,963        $534,262,083        $-  
    

 

 

    

 

 

    

 

 

    

 

 

 

 

See Supplemental Notes to Schedules of Investments   See explanation of symbols and terms, if any on page 309

 

308

PACIFIC SELECT FUND

Schedule of Investments (Continued)

Explanation of Symbols and Terms

September 30, 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 September 30, 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 September 30, 2023. If the maturity date has expired, no date will be shown.
   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 September 30, 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).
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:

BNP    BNP Paribas
BOA    Bank of America
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
SCB    Standard Chartered Bank
TDB    Toronto Dominion Bank
UBS    UBS

 

Reference Rate Abbreviations:

LIBOR    London Interbank Offered Rate
RFUCC    Refinitiv Cash Fallback 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
M    Monthly
Q    Quarterly
S    Semiannual
Z    At Maturity

 

Currency Abbreviations:

AUD    Australian Dollar
BRL    Brazilian Real
CAD    Canadian Dollar
CHF    Swiss Franc
CLP    Chilean Peso
CNH    Renminbi Offshore (Hong Kong)
CNY    Chinese Renminbi
COP    Colombian Peso
CZK    Czech Koruna
DKK    Danish Krone
EUR    Euro
GBP    British Pound
IDR    Indonesian Rupiah
INR    Indian Rupee
JPY    Japanese Yen
KRW    Korean Won
MXN    Mexican Peso
NOK    Norwegian Krone
NZD    New Zealand Dollar
PEN    Peruvian Nuevo Sol
RON    Romanian leu
RUB    Russian Ruble
SGD    Singapore Dollar
THB    Thai Baht
TWD    Taiwan Dollar
USD    United States Dollar
ZAR    South African Rand

 

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.

 

 

 

 

309

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO THE SCHEDULES OF INVESTMENTS

September 30, 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.

 

 

 

310

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO THE SCHEDULES OF INVESTMENTS (Continued)

September 30, 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.

 

 

 

311

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO THE SCHEDULES OF INVESTMENTS (Continued)

September 30, 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.

3. INVESTMENTS IN AFFILIATED FUNDS

A summary of holdings and transactions with affiliated mutual fund investments as of and for the period ended September 30, 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 September 30, 2023  
  Ending
Value
    Share
Balance
 

ESG Diversified

             

Pacific Funds ESG Core Bond Class I

    $2,482,737       $571,764       $3,121,447       ($279,123     $346,069       $-       -  
 

ESG Diversified Growth

             

Pacific Funds ESG Core Bond Class I

    $598,676       $310,122       $925,805       ($48,063     $65,070       $-       -  
 

Pacific Dynamix – Conservative Growth

             

PD 1-3 Year Corporate Bond Class P

    $28,620,678       $28,289,287       $12,785,872       $823,002       $63,770       $45,010,865       4,015,647  

PD Aggregate Bond Index Class P

    215,186,313       20,121,291       10,273,095       917,258       (3,894,047     222,057,720       18,573,739  

PD High Yield Bond Market Class P

    57,074,225       58,869       39,278,527       4,040,971       (2,026,599     19,868,939       1,106,612  

PD Large-Cap Growth Index Class P

    58,194,749       9,191,314       20,322,918       8,719,279       3,786,940       59,569,364       820,449  

PD Large-Cap Value Index Class P

    62,692,209       9,136,026       11,022,079       3,379,794       (1,756,717     62,429,233       1,534,334  

PD Mid-Cap Index Class P

    33,677,806       465,317       13,800,722       1,965,571       (867,991     21,439,981       1,819,821  

PD Small-Cap Growth Index Class P

    2,552,649       2,780,802       3,394,506       (352,476     760,756       2,347,225       64,366  

PD Small-Cap Value Index Class P

    10,265,059       208,670       5,563,548       (958,980     790,132       4,741,333       154,056  

PD Emerging Markets Index Class P

    5,255,478       5,460,124       3,846,094       (1,073,411     1,389,056       7,185,153       437,287  

PD International Large-Cap Index Class P

    44,999,269       11,242,652       17,722,829       3,289,768       (991,617     40,817,243       1,770,221  

Total

    $518,518,435       $86,954,352       $138,010,190       $20,750,776       ($2,746,317     $485,467,056    
 

Pacific Dynamix – Moderate Growth

             

PD 1-3 Year Corporate Bond Class P

    $ 96,486,802       $ 133,824,319       $ 74,677,887       $ 4,097,711       ($629,922     $ 159,101,023       14,194,208  

PD Aggregate Bond Index Class P

    622,379,275       94,430,989       13,790,916       1,287,964       (11,618,848     692,688,464       57,939,055  

PD High Yield Bond Market Class P

    192,986,161       536,371       115,611,833       10,538,830       (3,362,222     85,087,307       4,738,986  

PD Large-Cap Growth Index Class P

    418,768,631       36,265,882       95,777,629       59,206,857       36,327,506       454,791,247       6,263,844  

PD Large-Cap Value Index Class P

    438,649,925       45,216,954       47,968,626       21,740,862       (11,074,855     446,564,260       10,975,286  

PD Mid-Cap Index Class P

    204,015,410       14,202,951       71,552,061       9,094,651       (4,195,024     151,565,927       12,864,882  

PD Small-Cap Growth Index Class P

    23,305,037       13,526,049       15,707,476       (5,345,663     7,196,834       22,974,781       630,017  

PD Small-Cap Value Index Class P

    58,875,325       970,055       24,124,055       (4,233,459     3,319,681       34,807,547       1,130,971  

PD Emerging Markets Index Class P

    36,518,054       25,004,466       16,169,074       3,756,740       (2,221,757     46,888,429       2,853,620  

PD International Large-Cap Index Class P

    297,200,664       66,399,060       108,174,208       32,427,893       (17,570,259     270,283,150       11,722,031  

Total

    $2,389,185,284       $430,377,096       $583,553,765       $132,572,386       ($3,828,866     $2,364,752,135    
 

Pacific Dynamix – Growth

             

PD 1-3 Year Corporate Bond Class P

    $43,521,954       $129,292,427       $44,442,186       $290,187       $2,105,202       $130,767,584       11,666,439  

PD Aggregate Bond Index Class P

    188,906,216       74,045,030       2,627,048       37,796       (5,124,325     255,237,669       21,349,034  

PD High Yield Bond Market Class P

    112,220,115       30,151,190       63,043,716       8,121,987       (3,955,524     83,494,052       4,650,249  

PD Large-Cap Growth Index Class P

    362,031,425       31,044,893       97,296,859       55,353,134       22,718,526       373,851,119       5,149,055  

PD Large-Cap Value Index Class P

    376,623,299       58,832,228       51,681,514       21,728,575       (10,830,296     394,672,292       9,699,928  

PD Mid-Cap Index Class P

    171,705,138       3,310,748       47,075,311       6,427,765       (875,162     133,493,178       11,330,871  

PD Small-Cap Growth Index Class P

    42,159,967       2,207,046       11,561,224       (3,914,386     6,185,732       35,077,135       961,889  

PD Small-Cap Value Index Class P

    67,891,711       1,168,647       32,142,172       (4,602,047     3,110,865       35,427,004       1,151,098  

PD Emerging Markets Index Class P

    61,742,048       10,885,877       11,365,022       1,085,035       285,803       62,633,741       3,811,876  

PD International Large-Cap Index Class P

    297,637,001       62,696,826       79,592,479       23,428,833       (8,170,432     295,999,749       12,837,346  

Total

    $1,724,438,874       $403,634,912       $440,827,531       $107,956,879       $5,450,389       $1,800,653,523    
 

Portfolio Optimization Conservative

             

Core Income Class P

    $46,158,428       $52,642,887       $7,297,961       $317,720       ($536,894     $91,284,180       7,998,849  

Diversified Bond Class P

    205,012,875       1,807,853       53,447,690       2,262,265       (4,837,743     150,797,560       11,698,725  

Floating Rate Income Class P

    52,792,915       59,964       44,276,509       1,432,540       986,192       10,995,102       718,820  

High Yield Bond Class P

    81,898,298       379,887       47,606,998       6,736,845       (3,612,438     37,795,594       3,667,136  

Inflation Managed Class P

    52,729,380       98,207       20,805,868       2,012,644       (1,898,036     32,136,327       2,430,490  

Intermediate Bond Class P

    156,656,884       646,604       21,496,708       (2,589,726     2,305,684       135,522,738       15,658,925  

Managed Bond Class P

    205,336,072       503,098       37,422,465       120,788       252,078       168,789,571       12,001,076  

Short Duration Bond Class P

    140,763,058       11,447,996       13,395,027       620,204       2,395,682       141,831,913       12,969,300  

Emerging Markets Debt Class P

    29,448,610       5,735,964       4,443,267       (234,113     1,343,368       31,850,562       2,711,033  

Dividend Growth Class P

    15,141,695       1,454,031       17,420,291       5,669,845       (4,845,280     -       -  

Equity Index Class P

    10,285,707       521,052       2,774,098       1,344,162       (1,887     9,374,936       81,909  

Focused Growth Class P

    13,272,753       5,737,491       5,664,487       (514,179     3,658,824       16,490,402       321,190  

Growth Class P

    10,210,757       8,380,951       5,082,283       1,414,834       1,681,322       16,605,581       283,966  

Large-Cap Core Class P

    10,234,665       22,013,343       4,918,099       1,575,875       210,948       29,116,732       419,513  

Large-Cap Growth Class P

    9,973,586       11,590,121       5,116,595       1,808,373       1,947,708       20,203,193       870,542  

Large-Cap Value Class P

    16,343,875       6,710,585       4,766,735       2,296,603       (1,090,264     19,494,064       526,864  

Mid-Cap Equity Class P

    6,925,454       5,592,270       2,596,404       1,133,685       (582,320     10,472,685       290,780  

Mid-Cap Growth Class P

    13,612,373       10,940,943       4,686,820       (172,879     738,372       20,431,989       793,671  

Mid-Cap Value Class P

    13,899,585       10,991,000       10,425,927       4,440,434       (3,152,366     15,752,726       398,141  

Small-Cap Equity Class P

    8,531,541       317,766       6,156,984       (811,377     707,499       2,588,445       75,025  

Small-Cap Value Class P

    8,500,609       357,884       6,014,082       (977,470     714,134       2,581,075       85,837  

Value Class P

    15,260,001       10,933,838       4,477,875       1,791,894       (2,009,794     21,498,064       997,915  

Value Advantage Class P

    14,476,330       7,914,044       4,334,673       2,156,662       (1,810,955     18,401,408       777,916  

Emerging Markets Class P

    5,827,734       12,128,964       7,979,270       (634,235     966,232       10,309,425       584,195  

International Growth Class P

    2,916,351       22,793,908       3,565,078       (193,790     26,134       21,977,525       2,742,131  

International Large-Cap Class P

    5,259,173       3,325,296       1,881,002       324,728       144,493       7,172,688       533,840  

International Small-Cap Class P

    5,890,236       14,018       6,058,237       (386,919     540,902       -       -  

International Value Class P

    9,442,422       11,393,386       4,096,970       259,334       618,575       17,616,747       993,857  

Total

    $1,166,801,367       $226,433,351       $358,208,403       $31,204,747       ($5,139,830     $1,061,091,232    

 

 

 

312

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO THE SCHEDULES OF INVESTMENTS (Continued)

September 30, 2023 (Unaudited)

 

  

 

  Beginning
Value as of
January 1, 2023
    Purchase
Cost
    Sales
Proceeds
   

Net

Realized Gain
(Loss)

    Change in
Unrealized
Appreciation
(Depreciation)
    As of September 30, 2023  
  Ending
Value
    Share
Balance
 
 

Portfolio Optimization Moderate-Conservative

             

Core Income Class P

    $54,702,177       $61,716,517       $6,229,411       ($405,088     $91,975       $109,876,170       9,627,986  

Diversified Bond Class P

    243,709,531       886,185       58,900,237       4,221,579       (7,536,748     182,380,310       14,148,883  

Floating Rate Income Class P

    66,499,438       24,277       61,226,241       2,135,449       480,164       7,913,087       517,329  

High Yield Bond Class P

    116,218,895       7,844       80,907,866       7,652,515       (4,112,933     38,858,455       3,770,261  

Inflation Managed Class P

    58,007,614       88,202       35,350,957       4,524,664       (4,141,694     23,127,829       1,749,172  

Intermediate Bond Class P

    186,487,254       786,542       23,300,828       (2,780,392     2,385,380       163,577,956       18,900,555  

Managed Bond Class P

    244,071,521       691,293       44,296,798       2,306,617       (1,977,224     200,795,409       14,276,718  

Short Duration Bond Class P

    82,953,511       104,466,695       32,653,979       671,209       1,599,766       157,037,202       14,359,692  

Emerging Markets Debt Class P

    25,201,269       7,954,233       10,868,413       (128,854     763,747       22,921,982       1,951,057  

Dividend Growth Class P

    40,585,961       6,035,940       28,386,105       13,081,150       (11,036,584     20,280,362       539,019  

Equity Index Class P

    26,906,439       5,174,552       6,812,627       2,685,198       1,283,347       29,236,909       255,443  

Focused Growth Class P

    36,002,930       1,228       10,288,230       (795,749     7,716,481       32,636,660       635,677  

Growth Class P

    27,073,826       11,099,005       9,180,448       3,681,618       3,178,607       35,852,608       613,102  

Large-Cap Core Class P

    26,774,763       43,144,966       10,860,311       5,003,752       298,193       64,361,363       927,316  

Large-Cap Growth Class P

    24,980,975       36,736,304       8,058,062       3,276,800       4,206,323       61,142,340       2,634,581  

Large-Cap Value Class P

    41,573,185       14,689,281       8,242,078       3,917,328       (1,886,248     50,051,468       1,352,736  

Mid-Cap Equity Class P

    13,955,665       3,496,728       3,011,874       813,618       (180,159     15,073,978       418,537  

Mid-Cap Growth Class P

    25,044,000       1,074,418       5,631,019       2,089,064       (519,865     22,056,598       856,778  

Mid-Cap Value Class P

    34,796,383       1,356,618       14,819,500       5,572,176       (4,231,941     22,673,736       573,065  

Small-Cap Equity Class P

    10,574,472       163,381       4,748,717       (591,253     563,061       5,960,944       172,775  

Small-Cap Growth Class P

    2,438,940       3,554,560       1,031,825       424,816       (196,529     5,189,962       179,879  

Small-Cap Index Class P

    11,239,082       138,387       6,336,232       2,729,687       (2,587,815     5,183,109       178,089  

Small-Cap Value Class P

    8,102,900       318,655       2,238,667       (278,860     39,944       5,943,972       197,674  

Value Class P

    39,332,915       18,403,129       7,804,513       1,548,523       (2,423,739     49,056,315       2,277,136  

Value Advantage Class P

    38,033,267       9,250,656       7,473,022       3,688,613       (3,392,193     40,107,321       1,695,530  

Emerging Markets Class P

    24,874,021       9,226,364       12,936,573       1,664,025       (570,756     22,257,081       1,261,222  

International Growth Class P

    24,871,641       38,262,859       6,268,605       (1,086,796     129,388       55,908,487       6,975,690  

International Large-Cap Class P

    33,241,459       464,255       15,021,648       3,902,872       (1,939,524     20,647,414       1,536,721  

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       8,577,019       20,708,448       4,680,364       (191,368     43,028,984       2,427,499  

Real Estate Class P

    15,465,452       1,203,176       9,235,557       676,944       (744,730     7,365,285       240,372  

Total

    $1,651,178,857       $388,996,984       $570,051,508       $76,681,679       ($26,302,716     $1,520,503,296    
 

Portfolio Optimization Moderate

             

Core Income Class P

    $181,668,397       $144,417,546       $10,940,028       $1,022,983       ($1,177,876     $314,991,022       27,601,338  

Diversified Bond Class P

    808,973,501       11,039,850       294,748,582       526,233       (7,545,296     518,245,706       40,204,988  

Floating Rate Income Class P

    250,482,506       -       258,183,326       6,953,763       747,057       -       -  

High Yield Bond Class P

    357,046,620       -       231,612,979       33,266,770       (21,668,821     137,031,590       13,295,558  

Inflation Managed Class P

    141,721,348       16,235       74,463,894       6,174,148       (5,482,074     67,965,763       5,140,293  

Intermediate Bond Class P

    618,155,170       12,587,852       165,467,388       (18,970,591     20,862,551       467,167,594       53,978,710  

Managed Bond Class P

    808,307,970       4,035,784       266,039,928       2,498,134       1,863,104       550,665,064       39,152,736  

Short Duration Bond Class P

    320,501,058       379,632,686       120,088,310       6,273,385       2,076,059       588,394,878       53,803,615  

Emerging Markets Debt Class P

    72,800,976       -       8,439,287       (487,755     3,486,791       67,360,725       5,733,562  

Dividend Growth Class P

    264,349,903       84,188,824       134,935,057       61,999,716       (47,145,929     228,457,457       6,072,025  

Equity Index Class P

    175,555,675       76,779,399       44,840,692       17,207,628       13,223,463       237,925,473       2,078,756  

Focused Growth Class P

    237,941,873       17,251,178       49,716,902       (2,390,879     51,944,453       255,029,723       4,967,314  

Growth Class P

    190,983,577       58,879,675       52,494,645       19,300,666       26,973,488       243,642,761       4,166,445  

Large-Cap Core Class P

    174,589,455       276,626,173       65,687,769       30,095,209       9,934,158       425,557,226       6,131,415  

Large-Cap Growth Class P

    176,406,232       147,256,024       35,750,501       14,568,050       36,061,542       338,541,347       14,587,513  

Large-Cap Value Class P

    251,567,405       78,384,254       39,053,161       18,531,836       (5,232,063     304,198,271       8,221,534  

Mid-Cap Equity Class P

    81,159,789       104,946       16,754,074       4,106,735       (2,170,476     66,446,920       1,844,934  

Mid-Cap Growth Class P

    166,670,951       73,959,279       84,025,858       36,500,864       (31,059,404     162,045,832       6,294,594  

Mid-Cap Value Class P

    171,693,280       183,003       45,340,415       17,074,393       (10,348,555     133,261,706       3,368,112  

Small-Cap Equity Class P

    77,338,337       586,273       37,977,449       (5,136,920     4,604,276       39,414,517       1,142,413  

Small-Cap Growth Class P

    45,293,004       10,500,486       9,134,323       3,767,090       (1,402,080     49,024,177       1,699,130  

Small-Cap Index Class P

    48,363,019       308,688       17,012,784       7,229,773       (6,249,189     32,639,507       1,121,477  

Small-Cap Value Class P

    76,893,241       1,851,968       33,641,475       (5,396,051     2,870,052       42,577,735       1,415,975  

Value Class P

    246,034,188       84,832,403       34,748,800       6,838,216       (13,525,783     289,430,224       13,435,010  

Value Advantage Class P

    231,951,000       58,450,977       35,389,071       13,400,882       (11,562,543     256,851,245       10,858,343  

Emerging Markets Class P

    107,471,664       73,380,027       53,783,719       5,814,277       (2,067,172     130,815,077       7,412,781  

International Growth Class P

    157,635,682       199,255,740       35,172,876       (6,235,714     5,549,465       321,032,297       40,055,130  

International Large-Cap Class P

    187,242,780       1,790,433       63,929,232       16,793,591       (5,375,180     136,522,392       10,160,923  

International Small-Cap Class P

    72,621,911       475,849       42,740,207       9,975,305       (7,070,650     33,262,208       2,068,349  

International Value Class P

    272,600,151       37,738,305       134,284,712       39,563,175       (15,786,141     199,830,778       11,273,543  

Real Estate Class P

    99,145,547       139,901       66,035,300       8,604,692       (9,388,896     32,465,944       1,059,550  

Total

    $7,073,166,210       $1,834,653,758       $2,562,432,744       $349,469,604       ($24,061,669     $6,670,795,159    

 

 

 

313

PACIFIC SELECT FUND

SUPPLEMENTAL NOTES TO THE SCHEDULES OF INVESTMENTS (Continued)

September 30, 2023 (Unaudited)

 

  

 

  Beginning
Value as of
January 1, 2023
    Purchase
Cost
    Sales
Proceeds
   

Net

Realized Gain
(Loss)

    Change in
Unrealized
Appreciation
(Depreciation)
    As of September 30, 2023  
  Ending
Value
    Share
Balance
 
 

Portfolio Optimization Growth

             

Core Income Class P

    $107,736,766       $186,911,418       $10,875,744       $690,707       ($3,754,283     $280,708,864       24,597,337  

Diversified Bond Class P

    477,364,532       22,037,091       20,341,402       (255,569     (11,669,043     467,135,609       36,239,917  

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       64,502,975       175,069,897       25,061,692       (15,737,902     95,703,992       9,285,728  

Inflation Managed Class P

    128,984,410       674,886       99,213,597       (9,842,297     11,041,964       31,645,366       2,393,359  

Intermediate Bond Class P

    363,474,496       77,997,279       17,342,621       (2,144,105     (2,712,327     419,272,722       48,444,714  

Managed Bond Class P

    481,396,739       129,282,014       49,539,136       436,265       (4,743,611     556,832,271       39,591,229  

Short Duration Bond Class P

    162,943,893       529,095,825       212,405,055       4,276,122       (452,306     483,458,479       44,208,090  

Emerging Markets Debt Class P

    67,242,257       65,120,875       71,087,500       (99,414     1,551,436       62,727,654       5,339,207  

Dividend Growth Class P

    339,652,186       2,607,835       133,125,788       48,499,461       (35,639,574     221,994,120       5,900,240  

Equity Index Class P

    226,369,333       8,846,465       37,069,010       14,290,366       15,276,840       227,713,994       1,989,538  

Focused Growth Class P

    320,200,482       2,367       136,267,320       (11,238,734     70,879,735       243,576,530       4,744,236  

Growth Class P

    255,494,285       2,065       72,005,859       25,612,877       23,911,231       233,014,599       3,984,697  

Large-Cap Core Class P

    224,916,310       204,058,183       53,877,389       23,590,902       9,884,167       408,572,173       5,886,695  

Large-Cap Growth Class P

    237,581,571       83,493,739       91,176,161       34,439,974       23,369,180       287,708,303       12,397,152  

Large-Cap Value Class P

    309,209,521       2,351,030       65,787,175       26,780,777       (14,183,934     258,370,219       6,982,945  

Mid-Cap Equity Class P

    106,897,029       172,133       35,691,575       9,846,634       (6,972,426     74,251,795       2,061,640  

Mid-Cap Growth Class P

    200,854,576       36,667,630       103,888,546       42,279,031       (31,047,252     144,865,439       5,627,230  

Mid-Cap Value Class P

    241,307,151       821,626       132,962,304       60,976,926       (52,252,434     117,890,965       2,979,625  

Small-Cap Equity Class P

    84,509,932       74,260       32,624,776       9,367,659       (9,329,724     51,997,351       1,507,122  

Small-Cap Growth Class P

    38,564,519       4,847,743       5,453,013       2,267,530       (661,165     39,565,614       1,371,306  

Small-Cap Index Class P

    54,073,410       232,392       13,193,554       5,761,286       (4,320,819     42,552,715       1,462,090  

Small-Cap Value Class P

    80,662,268       79,761       58,809,550       (3,754,970     122,449       18,299,958       608,587  

Value Class P

    298,253,891       9,413,319       20,939,961       4,222,666       (15,230,705     275,719,210       12,798,561  

Value Advantage Class P

    286,645,908       4,075,108       43,703,645       16,448,506       (18,068,524     245,397,353       10,374,132  

Emerging Markets Class P

    165,549,244       2,934,472       53,308,894       15,584,865       (8,939,693     121,819,994       6,903,065  

International Growth Class P

    252,514,387       72,459,337       36,653,373       (6,598,501     11,195,762       292,917,612       36,547,267  

International Large-Cap Class P

    227,774,185       2,325,117       110,869,704       33,635,765       (13,622,636     139,242,727       10,363,389  

International Small-Cap Class P

    100,714,113       1,037,928       46,257,130       12,249,719       (5,795,620     61,949,010       3,852,184  

International Value Class P

    261,270,865       33,249,294       79,561,829       29,452,413       (1,553,200     242,857,543       13,700,917  

Real Estate Class P

    90,728,642       4,730,732       33,746,351       4,569,118       (5,815,960     60,466,181       1,973,359  

Total

    $6,488,322,528       $1,550,104,899       $2,154,085,600       $423,030,150       ($99,143,615     $6,208,228,362    
 

Portfolio Optimization Aggressive-Growth

             

Core Income Class P

    $12,345,355       $27,470,369       $1,312,894       $85,529       ($447,369     $38,140,990       3,342,135  

Diversified Bond Class P

    53,685,035       14,022,537       2,086,646       (26,759     (1,995,091     63,599,076       4,933,953  

Floating Rate Income Class P

    23,339,977       -       23,991,201       575,765       75,459       -       -  

High Yield Bond Class P

    46,658,820       15,709,167       41,590,804       5,202,179       (2,833,158     23,146,204       2,245,772  

Inflation Managed Class P

    15,220,759       220,821       15,680,849       (1,514,296     1,753,565       -       -  

Intermediate Bond Class P

    41,351,624       18,633,466       1,840,525       (226,043     (736,089     57,182,433       6,607,123  

Managed Bond Class P

    53,718,043       24,288,999       31,917,462       (943,241     505,587       45,651,926       3,245,889  

Short Duration Bond Class P

    15,426,604       150,293,112       25,934,384       241,074       282,478       140,308,884       12,830,032  

Emerging Markets Debt Class P

    15,928,504       15,709,020       16,879,627       (320,568     733,708       15,171,037       1,291,317  

Dividend Growth Class P

    90,045,861       649,262       28,390,144       10,367,836       (7,050,008     65,622,807       1,744,147  

Equity Index Class P

    59,910,883       5,197,576       9,030,680       3,659,288       4,269,334       64,006,401       559,224  

Focused Growth Class P

    85,710,523       1,281       42,391,954       (3,683,298     19,276,308       58,912,860       1,147,469  

Growth Class P

    68,602,731       1,029       29,149,226       10,066,483       2,387,391       51,908,408       887,667  

Large-Cap Core Class P

    59,479,760       41,740,912       11,595,449       5,067,627       3,381,699       98,074,549       1,413,055  

Large-Cap Growth Class P

    63,067,400       34,899,113       26,659,550       10,020,462       5,285,742       86,613,167       3,732,101  

Large-Cap Value Class P

    80,684,866       6,603,752       23,692,927       10,105,032       (5,942,203     67,758,520       1,831,302  

Mid-Cap Equity Class P

    26,820,194       35,805       2,162,496       1,131,461       (383,682     25,441,282       706,391  

Mid-Cap Growth Class P

    54,482,569       9,091,299       27,928,906       12,461,312       (9,417,857     38,688,417       1,502,833  

Mid-Cap Value Class P

    57,413,203       12,676       34,395,125       13,760,153       (12,029,703     24,761,204       625,825  

Small-Cap Equity Class P

    26,349,270       9,942       10,772,868       2,493,309       (2,544,172     15,535,481       450,289  

Small-Cap Growth Class P

    29,596,741       489,055       8,659,266       3,193,270       (1,800,014     22,819,786       790,912  

Small-Cap Index Class P

    16,638,562       59,645       4,602,484       1,979,150       (1,577,324     12,497,549       429,410  

Small-Cap Value Class P

    26,914,092       32,373       17,641,830       837,897       (2,027,941     8,114,591       269,861  

Value Class P

    78,095,772       12,189,504       27,813,035       5,471,187       (8,001,951     59,941,477       2,782,413  

Value Advantage Class P

    74,457,179       12,705,967       6,270,501       2,770,247       (3,275,841     80,387,051       3,398,349  

Emerging Markets Class P

    70,681,832       1,030,969       23,155,888       6,889,780       (3,885,302     51,561,391       2,921,783  

International Growth Class P

    70,239,534       38,569,130       8,737,849       (1,613,468     1,604,107       100,061,454       12,484,646  

International Large-Cap Class P

    66,045,878       821,325       23,807,143       7,169,375       (1,909,151     48,320,284       3,596,323  

International Small-Cap Class P

    47,804,784       339,596       28,968,742       5,642,950       (2,344,222     22,474,366       1,397,527  

International Value Class P

    80,261,729       23,635,908       22,945,409       8,986,942       (691,581     89,247,589       5,034,943  

Real Estate Class P

    28,568,254       1,975,815       8,138,969       1,110,316       (1,578,547     21,936,869       715,926  

Total

    $1,539,546,338       $ 456,439,425       $ 588,144,833       $120,960,951       ($30,915,828     $1,497,886,053    

As of September 30, 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

    33.51%  

ESG Diversified Growth

    84.47%  

 

 

 

314