AQUARIUS INTERNATIONAL FUND
|
PORTFOLIO OF INVESTMENTS
|
May 31, 2022 (UNAUDITED)
|
Number
|
|||||
of Shares
|
Value
|
||||
COMMON STOCKS - 90.5%
|
|||||
Advertising — 0.1%
|
|||||
Dentsu, Inc.
|
1,800
|
$ |
59,925
|
||
Publicis Groupe SA
|
2,188
|
119,851
|
|||
WPP, PLC
|
3,536
|
41,051
|
|||
220,827
|
|||||
Aerospace/Defense — 0.8%
|
|||||
Airbus Group SE
|
1,204
|
141,104
|
|||
BAE Systems PLC, SP ADR
|
1,669
|
63,672
|
|||
Elbit Systems Ltd.
|
139
|
28,463
|
|||
MTU Aero Engines AG, ADR
|
562
|
55,846
|
|||
Safran SA
|
629
|
65,171
|
|||
Thales SA
|
21,868
|
2,670,396
|
|||
3,024,652
|
|||||
Agriculture — 0.3%
|
|||||
British American Tabacco, PLC, SP ADR
|
5,128
|
226,863
|
|||
Imperial Brands, PLC, SP ADR
|
3,146
|
71,603
|
|||
Japan Tobacco, Inc.
|
5,300
|
96,470
|
|||
RLX Technology, Inc., ADR*
|
14,396
|
28,504
|
|||
SLC Agricola SA
|
62,396
|
726,950
|
|||
Swedish Match
|
4,980
|
51,471
|
|||
1,201,861
|
|||||
Airlines — 1.1%
|
|||||
China Airlines Ltd.
|
369,000
|
342,756
|
|||
Ryanair Holding, PLC, SP ADR*
|
40,967
|
3,572,322
|
|||
3,915,078
|
|||||
Apparel — 2.2%
|
|||||
Adidas AG
|
16,047
|
3,188,016
|
|||
Gildan Activewear, Inc.
|
5,757
|
181,230
|
|||
Hermes International
|
80
|
95,653
|
|||
LVMH Moet Hennessy Louis Vuitton SE
|
6,925
|
4,470,957
|
|||
LVMH Moet Hennessy Louis Vuitton SE, ADR
|
2,000
|
258,000
|
|||
Shenzhou International Group Holdings Ltd.
|
6,400
|
87,864
|
|||
8,281,720
|
|||||
Auto Manufacturers — 0.7%
|
|||||
Bayerische Motoren Werke AG, SP ADR
|
3,309
|
96,060
|
|||
BYD Co., Ltd., Class H
|
11,500
|
408,725
|
|||
Daimler AG
|
3,623
|
258,173
|
|||
Daimler Truck Holding AG*
|
1,811
|
56,694
|
|||
Ferrari NV
|
141
|
27,513
|
|||
Ferrari NV, ADR
|
642
|
125,171
|
|||
Hyundai Motor Co.
|
353
|
53,790
|
|||
Iveco Group NV*
|
1,324
|
8,435
|
|||
NIO, Inc., ADR*
|
3,625
|
63,039
|
|||
Nissan Motor Co., Ltd.
|
10,100
|
39,259
|
|||
Sinotruk Hong Kong Ltd.
|
22,500
|
31,911
|
|||
Stellantis NV
|
5,160
|
77,425
|
|||
Tata Motors, Ltd., SP ADR*
|
32,755
|
933,517
|
|||
Toyota Motor Corp.
|
3,000
|
49,910
|
|||
Toyota Motor Corp., SP ADR*
|
1,862
|
309,781
|
|||
Volkswagen AG, ADR
|
5,060
|
113,698
|
|||
Volvo AB, Class B
|
3,636
|
63,772
|
|||
2,716,873
|
|||||
Auto Parts & Equipment — 0.2%
|
|||||
Contemporary Amperex Technology Co., Ltd., Class A
|
6,322
|
386,006
|
|||
Faurecia SE
|
87
|
2,421
|
|||
Magna International, Inc.
|
3,010
|
195,409
|
|||
Michelin
|
463
|
60,361
|
|||
Vitesco Technologies Group AG*, Class A
|
88
|
4,167
|
|||
648,364
|
|||||
Banks — 8.9%
|
|||||
Australia & New Zealand Banking Group Ltd.
|
5,980
|
107,198
|
|||
Banco do Brasil SA*
|
47,600
|
366,073
|
|||
Banco Santander Brasil SA, ADR*
|
4,351
|
30,936
|
|||
Banco Santander SA
|
37,238
|
120,793
|
|||
Bangkok Bank
|
332,100
|
1,274,510
|
|||
Bank Central Asia Tbk PT
|
2,351,815
|
1,244,349
|
|||
Bank Leumi Le Israel
|
355,246
|
3,537,048
|
|||
Bank Mandiri Persero Tbk PT, ADR
|
2,657
|
30,808
|
|||
Bank Montreal
|
867
|
94,408
|
|||
Bank of Ireland Group, PLC
|
605,778
|
4,092,679
|
|||
Bank of Nova Scotia, (The)
|
2,203
|
149,165
|
|||
Bank Rakyat Indonesia Persero Tbk PT, ADR
|
1,382
|
21,884
|
|||
Barclays, PLC
|
126,063
|
268,714
|
|||
Bendigo & Adelaide Bank Ltd.
|
12,614
|
94,365
|
|||
BNP Paribas SA
|
2,636
|
150,873
|
|||
BOC Hong Kong Holdings Ltd.
|
28,000
|
107,588
|
|||
CaixaBank SA
|
65,952
|
238,725
|
|||
Canadian Imperial Bank of Commerce
|
1,146
|
63,053
|
|||
China Merchants Bank Co., Ltd., Class H
|
140,798
|
890,544
|
|||
China Merchants Bank Co., Ltd., ADR
|
554
|
17,495
|
|||
Commerzbank AG*
|
18,102
|
157,866
|
|||
Commonwealth Bank Of Australia
|
4,044
|
302,596
|
|||
Concordia Financial Group Ltd.
|
11,723
|
39,899
|
|||
Credit Suisse Group AG, SP ADR*
|
4,199
|
29,603
|
|||
Dah Sing Financial Holdings Ltd.
|
222,400
|
658,397
|
|||
DBS Group Holdings Ltd.
|
128,400
|
2,894,795
|
|||
DBS Group Holdings, Ltd., SP ADR
|
1,611
|
145,634
|
|||
Deutsche Bank AG
|
8,776
|
98,116
|
|||
DNB Bank ASA
|
12,189
|
247,196
|
|||
FinecoBank Banca Fineco SpA
|
128,849
|
1,825,864
|
|||
FirstRand Ltd.
|
13,495
|
62,479
|
|||
Fukuoka Financial Group, Inc.
|
3,000
|
51,671
|
|||
Grupo Aval Acciones y Valores SA, ADR
|
8,589
|
42,172
|
|||
Grupo Financiero Banorte SAB de CV
|
170,185
|
1,100,208
|
|||
HDFC Bank Ltd.
|
153,309
|
2,721,391
|
|||
HDFC Bank, Ltd., ADR
|
10,243
|
589,689
|
|||
HSBC Holdings, PLC, SP ADR
|
9,910
|
331,589
|
|||
ICICI Bank, Ltd., SP ADR
|
71,872
|
1,383,536
|
|||
ING Groep NV
|
7,103
|
80,318
|
|||
Japan Post Bank Co., Ltd.
|
4,300
|
33,128
|
|||
Macquarie Group Ltd.
|
749
|
99,511
|
|||
Mediobanca Banca di Credito Finanziario SpA
|
3,974
|
40,769
|
|||
Mitsubishi UFJ Financial Group Inc., SP ADR*
|
53,334
|
302,404
|
|||
National Australia Bank Ltd.
|
7,689
|
172,379
|
|||
National Australia Bank, Ltd., SP ADR
|
11,208
|
125,530
|
|||
Nedbank Group, Ltd., SP ADR
|
2,666
|
40,443
|
|||
Nordea Bank Abp
|
11,504
|
117,098
|
|||
Nordea Bank Abp
|
93
|
948
|
|||
Oversea-Chinese Bank Corp., Ltd.
|
9,000
|
77,643
|
|||
Qatar National Bank QPSC
|
109,965
|
650,074
|
|||
Royal Bank Canada
|
3,116
|
325,560
|
|||
SCB X PCL*
|
217,100
|
716,899
|
|||
Shinhan Financial Group Co., Ltd., SP ADR
|
9,162
|
316,730
|
|||
Skandinaviska Enskilda Banken AB, Class A
|
2,661
|
29,431
|
|||
Societe Generale SA
|
2,392
|
64,458
|
|||
Standard Bank Group Ltd.
|
9,099
|
103,958
|
|||
Standard Chart, PLC
|
4,154
|
33,020
|
|||
Sumitomo Mitsui Financial Group Inc., SP ADR*
|
56,610
|
345,321
|
|||
Svenska Handelsbanken AB, Class A
|
293,625
|
2,893,656
|
|||
TCS Group Holding, PLC*
|
3,732
|
–
|
|||
Toronto-Dominion Bank, (The)
|
3,903
|
297,682
|
|||
UBS Group AG
|
13,717
|
258,685
|
|||
UniCredit SpA
|
3,747
|
43,934
|
|||
United Overseas Bank Ltd.
|
6,000
|
128,579
|
|||
Woori Financial Group, Inc., SP ADR*
|
4,696
|
168,962
|
|||
33,051,029
|
|||||
Beverages — 3.7%
|
|||||
Ambev SA, ADR*
|
175,318
|
518,941
|
|||
Anheuser-Busch InBev SA NV, SP ADR
|
2,087
|
118,333
|
|||
Carlsberg A/S , Class B
|
499
|
63,516
|
|||
China Resources Beer Holdings Co., Ltd.
|
14,000
|
87,257
|
|||
Coca-Cola European Partners, PLC
|
476
|
25,290
|
|||
Compania Cervecerias Unidas SA, SP ADR
|
2,146
|
30,066
|
|||
Davide Campari-Milano NV
|
2,798
|
29,920
|
|||
Diageo, PLC
|
121,315
|
5,636,434
|
|||
Diageo, PLC, SP ADR
|
2,046
|
382,541
|
|||
Endeavour Group Ltd/Australia
|
2,137
|
11,100
|
|||
Fomento Economico Mexicano SAB de CV, SP ADR
|
461
|
34,501
|
|||
Heineken NV
|
5,794
|
582,604
|
|||
Kirin Holdings Co., Ltd.
|
2,800
|
43,312
|
|||
Kweichow Moutai Co., Ltd., Class A
|
2,583
|
698,158
|
|||
Pernod Ricard SA
|
300
|
58,916
|
|||
Thai Beverage, PLC
|
7,751,500
|
3,927,819
|
|||
Treasury Wine Estates Ltd.
|
3,609
|
30,763
|
|||
United Spirits Ltd.*
|
41,390
|
429,731
|
|||
Wuliangye Yibin Co., Ltd., Class A
|
38,198
|
980,080
|
|||
13,689,282
|
|||||
Biotechnology — 0.3%
|
|||||
Argenx SE, ADR*
|
90
|
27,837
|
|||
CSL Ltd.
|
776
|
150,967
|
|||
CSL Ltd., SP ADR
|
1,030
|
100,219
|
|||
Genmab A/S*
|
2,019
|
614,501
|
|||
Genmab A/S, SP ADR*
|
2,330
|
70,482
|
|||
Legend Biotech Corp., ADR*
|
3,340
|
141,249
|
|||
1,105,255
|
|||||
Building Materials — 1.1%
|
|||||
Anhui Conch Cement Co., Ltd., Class H
|
9,500
|
48,118
|
|||
Cemex SAB de CV, SP ADR*
|
5,460
|
25,498
|
|||
CRH, PLC
|
79,007
|
3,260,845
|
|||
CRH, PLC, SP ADR
|
3,605
|
149,571
|
|||
Daikin Industries Ltd.
|
349
|
56,122
|
|||
Daikin Industries, Ltd., SP ADR*
|
820
|
13,284
|
|||
Geberit AG
|
90
|
49,419
|
|||
James Hardie Industries PLC
|
2,896
|
74,761
|
|||
Kingspan Group, PLC
|
371
|
30,543
|
|||
LafargeHolcim Ltd.*
|
2,013
|
99,808
|
|||
Rinnai Corp.
|
400
|
27,459
|
|||
Semen Indonesia Persero Tbk PT, ADR
|
2,421
|
24,186
|
|||
Sika AG
|
306
|
84,942
|
|||
3,944,556
|
|||||
Chemicals — 1.7%
|
|||||
Air Liquide SA
|
17,016
|
2,980,653
|
|||
Air Liquide SA, ADR
|
1,771
|
61,826
|
|||
Akzo Nobel NV, SP ADR
|
2,496
|
72,858
|
|||
Asahi Kasei Corp.
|
6,000
|
48,477
|
|||
BASF SE, SP ADR
|
9,844
|
134,961
|
|||
Covestro AG(a)
|
1,716
|
78,658
|
|||
Croda International, PLC
|
584
|
50,851
|
|||
Daqo New Energy Corp.*
|
804
|
39,316
|
|||
FUCHS PETROLUB SE
|
35,221
|
937,381
|
|||
Givaudan SA
|
27
|
99,321
|
|||
Givaudan SA, ADR
|
600
|
44,100
|
|||
ICL Group Ltd.
|
12,592
|
138,260
|
|||
Israel Chemicals Ltd.
|
24,673
|
275,622
|
|||
Johnson Matthey, PLC
|
1,377
|
36,595
|
|||
Koninklijke DSM NV
|
561
|
94,473
|
|||
LANXESS AG
|
1,023
|
47,783
|
|||
LG Chem Ltd.
|
385
|
180,961
|
|||
Mitsui Chemicals, Inc.
|
22
|
538
|
|||
Novozymes A/S, ADR
|
920
|
58,425
|
|||
Nutrien Ltd.*
|
2,477
|
240,740
|
|||
Sasol Ltd.*
|
16,172
|
422,957
|
|||
Shin Etsu Chemical Co., Ltd., ADR*
|
2,744
|
97,330
|
|||
Shin-Etsu Chemical Co., Ltd.
|
654
|
92,538
|
|||
Solvay SA
|
373
|
36,440
|
|||
Sumitomo Chemical Co., Ltd.
|
13,000
|
53,736
|
|||
Symrise AG
|
500
|
55,251
|
|||
Umicore SA, ADR
|
3,052
|
33,725
|
|||
6,413,776
|
|||||
Coal — 0.0%
|
|||||
China Shenhua Energy Co., Ltd., Class H
|
30,000
|
100,189
|
|||
Commercial Services — 3.0%
|
|||||
Adyen NV(a)*
|
1,212
|
1,876,981
|
|||
Allfunds Group, PLC
|
132,459
|
1,208,223
|
|||
Amadeus IT Group SA, ADR*
|
1,437
|
89,223
|
|||
Ashtead Group, PLC
|
43,469
|
2,277,642
|
|||
Atlantia SpA
|
1,177
|
28,535
|
|||
Bidvest Group, Ltd., (The)
|
22,927
|
319,714
|
|||
Brambles Ltd.*
|
3,635
|
28,329
|
|||
Bureau Veritas SA
|
1,739
|
50,250
|
|||
China Merchants Port Holdings Co., Ltd.
|
60,000
|
113,853
|
|||
Edenred
|
1,223
|
60,411
|
|||
Experian, PLC
|
2,543
|
85,069
|
|||
International Container Terminal Services, Inc.
|
34,757
|
143,865
|
|||
Localiza Rent a Car SA, SP ADR
|
4,006
|
48,212
|
|||
New Oriental Education & Technology Group, Inc., SP ADR*
|
2,260
|
29,516
|
|||
Recruit Holdings Co., Ltd.
|
3,292
|
119,151
|
|||
RELX, PLC
|
158,267
|
4,538,227
|
|||
Rentokil Initial, PLC
|
7,414
|
47,249
|
|||
Ritchie Bros Auctioneers, Inc.
|
545
|
32,804
|
|||
TAL Education Group, SP ADR*
|
7,594
|
31,135
|
|||
Transurban Group
|
6,366
|
65,477
|
|||
TravelSky Technology Ltd., Class H
|
19,000
|
30,903
|
|||
11,224,769
|
|||||
Computers — 1.6%
|
|||||
AutoStore Holdings Ltd.*
|
608,885
|
1,448,542
|
|||
Capgemini SE
|
151
|
29,341
|
|||
CGI, Inc.*
|
793
|
67,746
|
|||
Check Point Software Technologies Ltd.*
|
276
|
34,522
|
|||
CyberArk Software Ltd.*
|
576
|
80,006
|
|||
EPAM Systems, Inc.*
|
1,796
|
607,982
|
|||
Fujitsu Ltd.
|
422
|
63,365
|
|||
Globant S.A.*
|
1,679
|
318,187
|
|||
Infosys Ltd., SP ADR
|
27,086
|
510,842
|
|||
Nomura Research Institute Ltd.
|
77,500
|
2,119,735
|
|||
Obic Co., Ltd.
|
800
|
117,866
|
|||
Tata Consultancy Services Ltd.
|
8,515
|
367,182
|
|||
Teleperformance
|
266
|
88,318
|
|||
Wipro, Ltd., ADR
|
38,844
|
232,287
|
|||
6,085,921
|
|||||
Cosmetics/Personal Care — 1.5%
|
|||||
Beiersdorf AG
|
912
|
94,657
|
|||
Essity AB, Class B
|
3,391
|
89,070
|
|||
Lion Corp.
|
7,700
|
85,964
|
|||
L'Oreal SA
|
68
|
24,018
|
|||
L'Oreal SA, ADR
|
3,400
|
239,598
|
|||
Proya Cosmetics Co., Ltd., Class A
|
24,277
|
565,108
|
|||
Shiseido Co., Ltd.
|
700
|
29,362
|
|||
Unicharm Corp.
|
1,887
|
64,745
|
|||
Unilever, PLC
|
86,007
|
4,139,823
|
|||
Unilever, PLC, SP ADR
|
8,649
|
418,006
|
|||
5,750,351
|
|||||
Distribution/Wholesale — 3.2%
|
|||||
Azelis Group NV
|
82,848
|
2,079,449
|
|||
Bunzl, PLC
|
157,695
|
5,497,591
|
|||
Ferguson, PLC
|
13,742
|
1,652,492
|
|||
Ferguson, PLC
|
8,291
|
991,272
|
|||
IMCD NV
|
8,243
|
1,232,755
|
|||
ITOCHU Corp.
|
3,700
|
106,137
|
|||
ITOCHU Corp., ADR*
|
426
|
24,354
|
|||
Jardine Cycle & Carriage Ltd.
|
4,000
|
85,513
|
|||
Mitsui & Co., Ltd.
|
3,159
|
79,350
|
|||
Sendas Distribuidora SA
|
2,775
|
45,843
|
|||
11,794,756
|
|||||
Diversified Financial Services — 2.3%
|
|||||
BAC Holding International Corp.*
|
171,780
|
15,301
|
|||
Banco BTG Pactual SA*
|
149,445
|
789,904
|
|||
Capitec Bank Holdings Ltd.
|
3,704
|
532,919
|
|||
Chailease Holding Co., Ltd.
|
51,355
|
395,153
|
|||
China International Capital Corp., Ltd., Class H(a)
|
15,200
|
28,942
|
|||
CITIC Securities Co., Ltd., Class H
|
14,000
|
30,301
|
|||
Deutsche Boerse AG
|
17,071
|
2,869,003
|
|||
Deutsche Boerse AG, ADR
|
2,810
|
47,096
|
|||
Futu Holdings Ltd., ADR*
|
852
|
31,277
|
|||
Hong Kong Exchange & Clearing Ltd.
|
1,780
|
76,804
|
|||
Housing Development Finance Corp., Ltd.
|
27,965
|
823,199
|
|||
Huatai Securities Co., Ltd., Class H(a)
|
21,800
|
30,511
|
|||
Japan Exchange Group, Inc., ADR
|
88,600
|
1,401,629
|
|||
KB Financial Group, Inc.
|
16,252
|
794,292
|
|||
KB Financial Group, Inc., ADR*
|
6,431
|
314,733
|
|||
London Stock Exchange Group, PLC
|
791
|
73,810
|
|||
London Stock Exchange Group, PLC, ADR
|
2,464
|
57,904
|
|||
Sanlam Ltd., SP ADR
|
5,156
|
44,715
|
|||
SBI Holdings, Inc. (Japan)
|
2,600
|
52,744
|
|||
Singapore Exchange Ltd.
|
6,000
|
41,597
|
|||
St James's Place, PLC
|
5,807
|
94,707
|
|||
8,546,541
|
|||||
Electric — 0.8%
|
|||||
China Longyuan Power Group Corp. Ltd., Class H
|
14,000
|
29,812
|
|||
China Resources Power Holdings Co Ltd.
|
14,000
|
28,791
|
|||
CLP Holdings Ltd.
|
17,500
|
174,411
|
|||
Dubai Electricity & Water Authority PJSC*
|
542,413
|
376,568
|
|||
E.ON SE
|
4,210
|
42,975
|
|||
Elia Group SA/NV
|
542
|
89,167
|
|||
Endesa SA
|
1,459
|
32,322
|
|||
Enel SpA
|
9,556
|
62,087
|
|||
Engie SA, SP ADR
|
8,968
|
120,709
|
|||
Fortis, Inc.
|
2,870
|
144,533
|
|||
Fortum Oyj
|
1,565
|
28,927
|
|||
Iberdrola SA
|
8,686
|
102,916
|
|||
Iberdrola SA, SP ADR
|
1,618
|
76,693
|
|||
Kansai Electric Power Co Inc., (The)
|
2,800
|
27,367
|
|||
National Grid, PLC
|
2,867
|
42,296
|
|||
National Grid, PLC, SP ADR
|
2,605
|
193,760
|
|||
Orsted A/S(a)
|
320
|
36,067
|
|||
Power Assets Holdings Ltd.
|
29,500
|
192,611
|
|||
Power Grid Corp. of India Ltd.
|
236,415
|
706,094
|
|||
RWE AG
|
1,891
|
83,441
|
|||
SSE, PLC, ADR
|
5,415
|
120,538
|
|||
Terna Rete Elettrica Nazionale SpA
|
6,010
|
50,944
|
|||
Tokyo Electric Power Co Holdings, Inc.*
|
7,100
|
26,512
|
|||
Uniper SE
|
1,092
|
28,260
|
|||
2,817,801
|
|||||
Electrical Components & Equipment — 0.4%
|
|||||
ABB, Ltd.
|
4,533
|
139,773
|
|||
Legrand SA
|
12,660
|
1,097,164
|
|||
Schneider Electric SE
|
698
|
96,946
|
|||
Schneider Electric SE, ADR
|
4,025
|
111,533
|
|||
1,445,416
|
|||||
Electronics — 0.9%
|
|||||
AAC Technologies Holdings, Inc.
|
13,500
|
29,362
|
|||
Assa Abloy AB, Class B
|
58,220
|
1,435,186
|
|||
Azbil Corp.
|
1,000
|
29,470
|
|||
BYD Electronic International Co., Ltd.
|
14,500
|
32,181
|
|||
Halma, PLC
|
17,194
|
483,155
|
|||
Hirose Electric Co., Ltd.
|
427
|
59,185
|
|||
Hon Hai Precision
|
212,353
|
823,361
|
|||
Hoya Corp.
|
670
|
71,313
|
|||
Hoya Corp., SP ADR*
|
487
|
52,538
|
|||
Murata Manufacturing Co., Ltd.
|
1,119
|
71,907
|
|||
Murata Manufacturing Co., Ltd., ADR*
|
5,048
|
80,919
|
|||
Nidec Corp.
|
78
|
5,215
|
|||
Nidec Corp., SP ADR*
|
4,640
|
77,674
|
|||
Shimadzu Corp.
|
700
|
25,534
|
|||
TDK Corp.
|
900
|
30,910
|
|||
Venture Corp., Ltd.
|
2,300
|
29,951
|
|||
3,337,861
|
|||||
Energy-Alternate Sources — 0.2%
|
|||||
Suzhou Maxwell Technologies Co., Ltd., Class A
|
9,800
|
552,821
|
|||
Vestas Wind System
|
2,480
|
63,345
|
|||
Xinyi Solar Holdings Ltd.
|
16,000
|
28,400
|
|||
644,566
|
|||||
Engineering & Construction — 0.3%
|
|||||
Aena SME SA(a)*
|
201
|
30,664
|
|||
Airports of Thailand PCL*
|
354,300
|
721,801
|
|||
CK Infrastructure Holdings Ltd.
|
4,000
|
26,776
|
|||
Ferrovial SA
|
3,085
|
79,568
|
|||
Grupo Aeroportuario del Pacifico SAB de CV, SP ADR, Class B
|
392
|
58,949
|
|||
Grupo Aeroportuario del Sureste SAB de CV, SP ADR
|
471
|
102,344
|
|||
LendLease Group
|
3,651
|
28,147
|
|||
Shimizu Corp.
|
5,200
|
27,631
|
|||
Singapore Technologies Engineering Ltd.
|
13,400
|
40,157
|
|||
Taisei Corp.
|
1,600
|
47,707
|
|||
Vinci SA, ADR
|
3,476
|
84,050
|
|||
1,247,794
|
|||||
Entertainment — 0.1%
|
|||||
MultiChoice Group
|
5,548
|
47,448
|
|||
MultiChoice Group, Ltd., ADR
|
93
|
774
|
|||
OPAP SA
|
14,085
|
210,278
|
|||
Oriental Land Co., Ltd.
|
613
|
91,097
|
|||
Toho Co Ltd/Tokyo
|
1,100
|
43,355
|
|||
392,952
|
|||||
Environmental Control — 0.1%
|
|||||
China Conch Environment Protection Holdings Ltd.*
|
173,500
|
114,087
|
|||
China Conch Venture Holdings Ltd.
|
90,000
|
234,116
|
|||
348,203
|
|||||
Food — 1.0%
|
|||||
Ajinomoto Co, Inc.
|
1,100
|
26,661
|
|||
Carrefour SA
|
2,444
|
50,129
|
|||
China Mengniu Dairy Co., Ltd.*
|
15,703
|
80,399
|
|||
Chocoladefabriken Lindt & Spruengli AG
|
6
|
60,359
|
|||
Cia Brasileira de Distribuicao, SP ADR*
|
2,775
|
11,988
|
|||
Coles Group Ltd.
|
4,109
|
51,559
|
|||
J Sainsbury PLC
|
9,629
|
27,696
|
|||
JBS SA, ADR
|
690
|
10,323
|
|||
KIKKOMAN Corp.
|
500
|
26,481
|
|||
Koninklijke Ahold Delhaize NV
|
45,967
|
1,267,554
|
|||
Koninklijke Ahold Delhaize NV, SP ADR
|
4,031
|
111,618
|
|||
Marine Harvest
|
1,851
|
48,314
|
|||
MASAN GROUP Corp.
|
50,760
|
245,815
|
|||
Meiji Holdings Co., Ltd.
|
1,600
|
78,834
|
|||
Nestle SA
|
4,726
|
578,071
|
|||
Nestle SA, SP ADR
|
6,845
|
834,816
|
|||
Nisshin Seifun Group, Inc.
|
2,300
|
26,919
|
|||
Seven & i Holdings Co., Ltd.
|
600
|
25,120
|
|||
Seven & i Holdings Co., Ltd., ADR*
|
3,000
|
62,640
|
|||
Tesco, PLC
|
8,947
|
29,181
|
|||
Wilmar International Ltd.
|
29,000
|
88,230
|
|||
Woolworths Group Ltd.
|
4,264
|
105,773
|
|||
Yakult Honsha Co., Ltd.
|
1,000
|
55,032
|
|||
3,903,512
|
|||||
Food Service — 0.4%
|
|||||
Compass Group, PLC
|
65,625
|
1,471,069
|
|||
Compass Group, PLC, SP ADR
|
7,353
|
166,692
|
|||
1,637,761
|
|||||
Forest Products & Paper — 0.0%
|
|||||
Smurfit Kappa Group PLC, ADR
|
736
|
29,985
|
|||
UPM-Kymmene Corp.
|
1,590
|
56,474
|
|||
86,459
|
|||||
Gas — 0.1%
|
|||||
China Gas Holdings Ltd.
|
21,600
|
32,183
|
|||
China Resources Gas Group Ltd.
|
6,000
|
25,104
|
|||
ENN Energy Holdings Ltd.
|
6,000
|
91,800
|
|||
Osaka Gas Co., Ltd.
|
4,600
|
86,225
|
|||
Snam SpA
|
9,397
|
54,663
|
|||
Tokyo Gas Co., Ltd.
|
1,300
|
25,398
|
|||
315,373
|
|||||
Hand/Machine Tools — 0.6%
|
|||||
Amada Co., Ltd.
|
170,400
|
1,365,250
|
|||
Sandvik AB
|
3,286
|
67,546
|
|||
Schindler Holding AG
|
441
|
88,497
|
|||
Techtronic Industrials Co., Ltd.
|
43,875
|
573,158
|
|||
2,094,451
|
|||||
Healthcare-Products — 3.1%
|
|||||
Alcon, Inc.
|
76,310
|
5,726,350
|
|||
Alcon, Inc., ADR
|
1,128
|
84,295
|
|||
Carl Zeiss Meditec AG
|
225
|
30,104
|
|||
Cochlear Ltd.
|
376
|
59,985
|
|||
Coloplast A/S, ADR
|
1,070
|
12,680
|
|||
Coloplast A/S, Class B
|
327
|
38,880
|
|||
Essilor International Cie Generale d'Opitque SA
|
25,892
|
4,181,922
|
|||
EssilorLuxottica SA, ADR
|
144
|
11,635
|
|||
Getinge AB, Class B
|
993
|
28,818
|
|||
Koninklijke Philips
|
38,879
|
1,002,170
|
|||
Olympus Corp.
|
2,000
|
41,799
|
|||
QIAGEN NV*
|
2,099
|
96,449
|
|||
Sartorius Stedim Biotech
|
89
|
30,743
|
|||
Shandong Weigao Group Medical Polymer Co., Ltd., Class H
|
24,000
|
26,624
|
|||
Siemens Healthineers AG(a)
|
1,037
|
62,318
|
|||
Terumo Corp.
|
2,262
|
73,024
|
|||
11,507,796
|
|||||
Healthcare-Services — 0.3%
|
|||||
Apollo Hospitals Enterprise Ltd.
|
4,847
|
247,445
|
|||
BioMerieux
|
301
|
31,668
|
|||
Fresenius Medical Care AG & Co., KGaA
|
482
|
29,404
|
|||
Genscript Biotech Corp.*
|
10,000
|
29,591
|
|||
Lonza Group AG
|
182
|
109,729
|
|||
Lonza Group AG, ADR
|
370
|
22,289
|
|||
Pharmaron Beijing Co., Ltd., Class A
|
31,500
|
563,566
|
|||
Ramsay Health Care Ltd.
|
513
|
28,755
|
|||
Sonic Healthcare Ltd., SP ADR
|
3,345
|
89,512
|
|||
Wuxi Biologics Cayman, Inc.(a)*
|
15,536
|
114,883
|
|||
1,266,842
|
|||||
Holding Companies-Diversification — 0.1%
|
|||||
CK Hutchison Holdings Ltd.
|
10,000
|
70,836
|
|||
MELI Kaszek Pioneer Corp., Class A*
|
20,089
|
202,698
|
|||
Swire Pacific, Ltd., Class A
|
5,000
|
30,337
|
|||
303,871
|
|||||
Home Builders — 0.0%
|
|||||
Sekisui Chemical Co., Ltd.
|
768
|
10,986
|
|||
Sekisui House Ltd.
|
4,000
|
71,071
|
|||
82,057
|
|||||
Home Furnishings — 0.1%
|
|||||
Electrolux AB
|
972
|
15,113
|
|||
Panasonic Corp.
|
3,200
|
29,362
|
|||
Sony Corp., SP ADR*
|
4,806
|
452,101
|
|||
496,576
|
|||||
Household Products/Wares — 0.1%
|
|||||
Henkel Ag & Co., KGaA
|
2,162
|
145,955
|
|||
Reckitt Benckiser Group, PLC, SP ADR
|
13,660
|
213,233
|
|||
359,188
|
|||||
Insurance — 4.9%
|
|||||
Admiral Group, PLC
|
66,503
|
1,861,904
|
|||
Aegon NV
|
14,288
|
76,070
|
|||
Ageas SA NV
|
2,481
|
124,866
|
|||
AIA Group Ltd.
|
102,000
|
1,056,739
|
|||
AIA Group, Ltd., SP ADR
|
9,630
|
397,912
|
|||
Allianz SE, SP ADR
|
6,060
|
127,018
|
|||
Aon, PLC, Class A
|
24,999
|
6,891,474
|
|||
Baloise Holding AG
|
522
|
88,864
|
|||
China Life Insurance Co., Ltd., Class H
|
46,000
|
70,571
|
|||
China Pacific Insurance Group Co., Ltd., Class H
|
13,000
|
30,329
|
|||
CNP Assurances
|
12,462
|
279,612
|
|||
Dai-ichi Life Holdings, Inc.
|
6,692
|
138,275
|
|||
Hannover Rueck SE
|
286
|
43,798
|
|||
Lancashire Holdings Ltd.
|
348,744
|
1,743,107
|
|||
Legal & General Group, PLC
|
36,815
|
120,526
|
|||
Manulife Finanical Corp.
|
6,860
|
127,116
|
|||
NN Group NV
|
3,039
|
150,618
|
|||
Sampo, Class A, PLC
|
56,916
|
2,574,478
|
|||
Sun Life Financial, Inc.
|
2,753
|
134,374
|
|||
Suncorp Group Ltd.
|
18,597
|
151,452
|
|||
T&D Holdings, Inc.
|
5,200
|
60,072
|
|||
Topdanmark AS
|
30,949
|
1,663,154
|
|||
ZhongAn Online P&C Insurance Co., Ltd.*, Class H(a)
|
11,300
|
37,793
|
|||
Zurich Insurance Group AG, ADR*
|
740
|
33,951
|
|||
Zurich Insurance Group AG
|
202
|
92,511
|
|||
18,076,584
|
|||||
Internet — 3.6%
|
|||||
Alibaba Group Holding Ltd.*
|
145,000
|
1,741,484
|
|||
Alibaba Group Holdings, Ltd., SP ADR*
|
1,193
|
114,588
|
|||
Auto Trader Group, PLC(a)
|
4,253
|
31,639
|
|||
Baidu, Inc., SP ADR*
|
3,986
|
559,435
|
|||
China Literature, Ltd.(a)*
|
15,000
|
65,850
|
|||
East Money Information Co., Ltd., Class A
|
1
|
4
|
|||
Hello Group, Inc., SP ADR
|
6,342
|
38,559
|
|||
JD.com, Inc., ADR
|
2,393
|
134,295
|
|||
JOYY, Inc., ADR
|
1,104
|
46,798
|
|||
Just Eat Takeaway.com NV, SO ADR*
|
12,650
|
56,166
|
|||
Meituan, ADR*
|
7,392
|
346,611
|
|||
Meituan Dianping, Class B(a)*
|
64,800
|
1,520,539
|
|||
Mercadolibre, Inc.*
|
354
|
278,201
|
|||
momo.com, Inc.
|
14,000
|
399,574
|
|||
MonotaRO Co., Ltd.
|
25,400
|
370,842
|
|||
Naspers, Ltd., SP ADR
|
4,780
|
103,535
|
|||
Naver Corp.
|
1,033
|
239,191
|
|||
Pinduoduo, Inc., ADR*
|
2,583
|
130,054
|
|||
Prosus NV*
|
3,869
|
200,025
|
|||
Seek Ltd.
|
4,272
|
74,034
|
|||
Tencent Holdings Ltd.
|
137,330
|
6,278,505
|
|||
Tencent Holdings, Ltd., ADR
|
11,394
|
518,883
|
|||
Tencent Music Entertainment Group, ADR*
|
11,332
|
47,368
|
|||
Trip.com Group Ltd., ADR*
|
60
|
1,324
|
|||
United Internet AG
|
927
|
30,463
|
|||
13,327,967
|
|||||
Investment Companies — 2.1%
|
|||||
Groupe Bruxelles Lambert SA
|
56,246
|
5,186,979
|
|||
L E Lundbergforetagen AB
|
631
|
31,083
|
|||
Melrose Indust, PLC
|
1,456,149
|
2,484,855
|
|||
Wendel SA
|
888
|
91,378
|
|||
7,794,295
|
|||||
Iron/Steel — 0.3%
|
|||||
BlueScope Steel Ltd.
|
6,357
|
82,430
|
|||
Cia Siderurgica Nacional SA, SP ADR
|
41,580
|
187,942
|
|||
Fortescue Metals Group Ltd.
|
5,658
|
81,685
|
|||
Nippon Steel & Sumitomo Metal Corp.
|
8,000
|
139,413
|
|||
Posco, SP ADR*
|
3,580
|
205,922
|
|||
Vale SA, SP ADR
|
12,347
|
222,863
|
|||
Voestalpine AG
|
1,763
|
51,762
|
|||
972,017
|
|||||
Leisure Time — 0.0%
|
|||||
Merida Industry Co., Ltd.
|
11,351
|
101,253
|
|||
Shimano, Inc.
|
236
|
41,371
|
|||
Yamaha Corp.
|
700
|
28,785
|
|||
171,409
|
|||||
Life Sciences Tools & Services — 0.6%
|
|||||
Eurofins Scientific SE*
|
24,464
|
2,283,598
|
|||
Lodging — 0.0%
|
|||||
Huazhu Group, Ltd., ADR
|
1,879
|
61,068
|
|||
InterContinental Hotels Group, PLC
|
1,515
|
94,259
|
|||
Melco Resorts & Entertainment, Ltd., ADR*
|
5,240
|
29,554
|
|||
184,881
|
|||||
Machinery-Construction & Mining — 0.7%
|
|||||
Epiroc AB, Class A*
|
70,535
|
1,367,740
|
|||
Hitachi, Ltd.
|
901
|
46,750
|
|||
Hitachi Ltd., ADR*
|
1,830
|
189,496
|
|||
Komatsu Ltd.
|
4,400
|
109,396
|
|||
Mitsubishi Electical Corp.
|
2,600
|
28,488
|
|||
Siemens Energy AG
|
960
|
18,562
|
|||
Weir Group, PLC, (The)
|
43,447
|
870,819
|
|||
1,442,978
|
|||||
Machinery-Diversified — 1.6%
|
|||||
Atlas Copco AB
|
6,804
|
76,359
|
|||
Atlas Copco AB, Class A, SP ADR
|
6,624
|
74,122
|
|||
CNH Industrial NV
|
6,623
|
98,995
|
|||
Daifuku Co Ltd.
|
400
|
25,080
|
|||
Estun Automation Co., Ltd., Class A
|
108,300
|
273,603
|
|||
FANUC Corp.
|
200
|
32,600
|
|||
GEA Group AG
|
97,766
|
3,910,873
|
|||
Haitian International Holdings Ltd.
|
11,000
|
28,217
|
|||
Keyence Corp.
|
1,600
|
636,122
|
|||
KION Group AG
|
600
|
29,562
|
|||
Kubota Corp., SP ADR*
|
883
|
81,245
|
|||
Miura Co Ltd.
|
1,300
|
29,205
|
|||
NARI Technology Co., Ltd., Class A
|
100,450
|
515,368
|
|||
Omron Corp.
|
500
|
28,697
|
|||
SMC Corp.
|
110
|
56,873
|
|||
SMC Corp., ADR*
|
2,280
|
59,052
|
|||
Sumitomo Heavy Industries Ltd.
|
2,000
|
47,147
|
|||
6,003,120
|
|||||
Media — 1.9%
|
|||||
Informa, PLC*
|
4,850
|
33,337
|
|||
Liberty Media Corp-Liberty Formula One, Class C*
|
7,220
|
449,734
|
|||
Pearson, PLC, SP ADR
|
15,198
|
146,205
|
|||
Shaw Communications, Inc., Class B
|
9,386
|
265,624
|
|||
Thomson Reuters Corp.
|
1,419
|
140,538
|
|||
Wolters Kluwer
|
62,138
|
6,131,242
|
|||
Wolters Kluwer NV, SP ADR
|
667
|
66,060
|
|||
7,232,740
|
|||||
Metal Fabricate/Hardware — 0.1%
|
|||||
SKF AB
|
1,827
|
32,362
|
|||
Tenaris SA, ADR
|
11,745
|
391,578
|
|||
423,940
|
|||||
Mining — 1.6%
|
|||||
Agnico Eagle Mines Ltd.
|
783
|
41,444
|
|||
Anglo American Platinum Ltd.
|
1,509
|
165,147
|
|||
Antofagasta, PLC
|
8,790
|
164,075
|
|||
Barrick Gold Corp.
|
6,196
|
126,956
|
|||
BHP Billiton Ltd., SP ADR
|
2,646
|
186,966
|
|||
Boliden AB*
|
2,900
|
122,037
|
|||
Cameco Corp.
|
26,892
|
658,047
|
|||
Franco-Nevada Corp.
|
1,038
|
147,458
|
|||
Groupo Mexico SAB de CV SA, Class B
|
287,471
|
1,419,352
|
|||
Ivanhoe Mines Ltd.*, Class A
|
27,500
|
209,590
|
|||
Lynas Rare Earths Ltd.*
|
44,632
|
312,816
|
|||
MMC Norilsk Nickel PJSC, ADR(a)
|
2,034
|
20
|
|||
Newmont Corp.
|
9,752
|
661,673
|
|||
Norsk Hydro ASA
|
15,202
|
121,985
|
|||
Paladin Energy Ltd.*
|
367,227
|
207,234
|
|||
Pan American Silver Corp.
|
1,261
|
27,704
|
|||
Polyus PJSC
|
1,719
|
–
|
|||
Rio Tinto, PLC, SP ADR
|
1,211
|
88,936
|
|||
South32 Ltd.
|
44,192
|
155,476
|
|||
Southern Copper Corp.
|
3,807
|
235,197
|
|||
Sumitomo Metal Mining Co., Ltd.
|
2,000
|
83,625
|
|||
Teck Resources, Ltd., Class B
|
8,215
|
341,251
|
|||
Wheaton Precious Metals Corp.
|
12,091
|
499,479
|
|||
5,976,468
|
|||||
Miscellaneous Manufacturing — 0.1%
|
|||||
Knorr-Bremse AG
|
411
|
28,094
|
|||
Orica Ltd.
|
5,536
|
64,138
|
|||
Siemens AG
|
1,920
|
253,446
|
|||
Sunny Optical Technology Group Co., Ltd.
|
5,869
|
92,623
|
|||
Toshiba Corp.
|
96
|
4,292
|
|||
442,593
|
|||||
Office/Business Equipment — 0.1%
|
|||||
Canon, Inc.
|
2,700
|
68,569
|
|||
Fujifilm Holdings Corp.
|
1,100
|
60,587
|
|||
Ricoh Co., Ltd.
|
3,400
|
28,571
|
|||
Seiko Epson Corp.
|
2,000
|
33,481
|
|||
191,208
|
|||||
Oil & Gas — 3.3%
|
|||||
BP, PLC, SP ADR
|
1
|
32
|
|||
Canadian Natural Resources Ltd.
|
4,335
|
287,541
|
|||
DCC, PLC
|
81,870
|
5,788,559
|
|||
Eni SpA
|
96,055
|
1,454,813
|
|||
Equinor ASA, SP ADR
|
3,137
|
118,139
|
|||
Galp Energia SGPS SA
|
3,396
|
44,339
|
|||
Idemitsu Kosan Co., Ltd.
|
1,100
|
29,670
|
|||
Imperial Oil Ltd.
|
2,792
|
154,816
|
|||
Inpex Corp.
|
6,228
|
79,912
|
|||
Lundin Petroleum AB
|
1,163
|
55,808
|
|||
Neste Oyj
|
756
|
34,725
|
|||
OMV AG
|
4,843
|
282,933
|
|||
PetroChina Co., Ltd., Class H
|
340,000
|
179,043
|
|||
Petroleo Brasileiro, SP ADR*
|
47,938
|
665,379
|
|||
Reliance Industries Ltd.
|
37,073
|
1,248,933
|
|||
Repsol SA
|
7,844
|
125,868
|
|||
Santos Ltd.
|
19,946
|
116,080
|
|||
Shell, PCL, ADR
|
14,983
|
887,293
|
|||
Suncor Energy, Inc.
|
1,090
|
44,014
|
|||
Total SA, SP ADR
|
7,259
|
426,829
|
|||
Woodside Energy Group Ltd.
|
7,291
|
153,813
|
|||
12,178,539
|
|||||
Oil &Gas Services — 0.1%
|
|||||
SCHLUMBERGER Ltd.
|
12,061
|
554,324
|
|||
Pharmaceuticals — 9.6%
|
|||||
Alfresa Holdings Corp.
|
256,100
|
3,362,353
|
|||
Aspen Pharmacare Holdings, Ltd., ADR
|
6,986
|
71,851
|
|||
Astellas Pharma, Inc.
|
116,600
|
1,862,209
|
|||
Astellas Pharma, Inc., ADR*
|
190
|
3,023
|
|||
AstraZeneca, PLC
|
20,807
|
2,749,925
|
|||
AstraZeneca, PLC, SP ADR
|
7,332
|
487,431
|
|||
Bayer AG
|
1,102
|
78,846
|
|||
Chugai Pharmaceutical Co., Ltd.
|
2,000
|
54,676
|
|||
Cipla Ltd/India
|
30,978
|
395,450
|
|||
CSPC Pharmaceutical Group Ltd.
|
23,040
|
24,618
|
|||
Daiichi Sankyo Co., Ltd.
|
3,848
|
102,049
|
|||
Daiichi Sankyo Co., Ltd., ADR*
|
876
|
23,196
|
|||
Dr. Reddy's Laboratories, Ltd., ADR
|
3,953
|
218,799
|
|||
Euroapi SA*
|
1,557
|
22,632
|
|||
Glaxosmithkline, PLC
|
208,987
|
4,555,985
|
|||
Glaxosmithkline, PLC, SP ADR
|
8,330
|
365,687
|
|||
Grifols SA,ADR
|
2,969
|
38,241
|
|||
Kobayashi Pharmaceutical Co., Ltd.
|
471
|
31,553
|
|||
Kyowa Kirin Co Ltd.
|
1,400
|
30,162
|
|||
Merck KGaA
|
587
|
110,678
|
|||
Novartis AG
|
45,386
|
4,122,856
|
|||
Novartis AG, SP ADR
|
5,895
|
536,091
|
|||
Novo Nordisk A/S, Class B
|
26,903
|
2,987,593
|
|||
Novo-Nordisk AS, SP ADR
|
6,449
|
711,970
|
|||
Ono Pharmaceutical Co., Ltd.
|
2,900
|
76,783
|
|||
Orion Corporation, Class B
|
672
|
27,575
|
|||
Otsuka Holdings Co., Ltd.
|
1,100
|
36,649
|
|||
Pfizer, Inc.
|
15,922
|
844,503
|
|||
Recordati SPA
|
62,228
|
2,788,572
|
|||
Roche Holdings AG
|
10,234
|
3,487,657
|
|||
Roche Holdings AG, SP ADR
|
13,552
|
576,502
|
|||
Sanofi
|
35,823
|
3,833,342
|
|||
Sanofi, ADR
|
5,834
|
310,661
|
|||
Santen Pharmaceutical Co., Ltd.
|
3,500
|
28,225
|
|||
Shanghai Fosun Pharmaceutical Group Co Ltd., Class H
|
7,500
|
31,562
|
|||
Shionogi & Co., Ltd.
|
500
|
26,637
|
|||
SINOPHARM GROUP Co.
|
12,000
|
29,681
|
|||
Sumitomo Pharma Co., Ltd.
|
3,200
|
27,384
|
|||
Sun Pharmaceutical Industries Ltd.
|
47,622
|
526,685
|
|||
UCB SA
|
21
|
1,853
|
|||
35,602,145
|
|||||
Pipelines — 0.1%
|
|||||
Enbridge, Inc.
|
6,937
|
320,143
|
|||
TC Energy Corp.
|
1,299
|
75,134
|
|||
395,277
|
|||||
Private Equity — 0.4%
|
|||||
3i Group, PLC
|
3,463
|
55,380
|
|||
Antin Infrastructure Partners SA*
|
13,886
|
449,604
|
|||
Bridgepoint Group, PLC(a)
|
148,030
|
601,007
|
|||
Macquarie Korea Infrastructure Fund
|
26,497
|
304,061
|
|||
Partners Group Holding AG
|
94
|
101,142
|
|||
1,511,194
|
|||||
Real Estate — 0.6%
|
|||||
Aroundtown SA
|
6,368
|
29,917
|
|||
China Resources Land Ltd.
|
23,714
|
105,544
|
|||
China Vanke Co., Ltd., Class H
|
26,000
|
57,449
|
|||
CK Asset Holdings Ltd.
|
11,000
|
71,722
|
|||
Emaar Properties PJSC
|
77,098
|
119,854
|
|||
Great Eagle Holdings, Ltd.
|
377,662
|
834,984
|
|||
Iguatemi SA
|
38,900
|
163,292
|
|||
KE Holdings, Inc., ADR*
|
16,748
|
224,423
|
|||
Longfor Group Holdings Ltd.(a)
|
23,000
|
114,453
|
|||
REA Group Ltd.
|
633
|
50,863
|
|||
Sun Hung Kai Properties Ltd.
|
16,000
|
195,617
|
|||
Sunac Services Holdings Ltd.(a)
|
620
|
334
|
|||
Swiss Prime Site AG*
|
947
|
95,360
|
|||
Wharf Holdings Ltd., (The)
|
14,000
|
46,812
|
|||
Wharf Real Estate Investment Co., Ltd.
|
14,000
|
67,559
|
|||
2,178,183
|
|||||
REITS — 0.3%
|
|||||
Ascendas Real Estate Investment Trust
|
23,000
|
46,772
|
|||
CapitaLand Mall Trust
|
25,000
|
39,873
|
|||
Goodman Group
|
6,677
|
98,220
|
|||
Japan Prime Realty Investment Corp.
|
15
|
47,852
|
|||
Japan Real Estate Investment Corp.
|
9
|
44,621
|
|||
Japan Retail Fund Investment Corp.
|
76
|
64,339
|
|||
Link
|
67,900
|
613,976
|
|||
Segro, PLC
|
5,434
|
75,896
|
|||
Unibail-Rodamco-Westfield*
|
938
|
65,727
|
|||
United Urban Investment Corp.
|
51
|
56,934
|
|||
1,154,210
|
|||||
Retail — 2.0%
|
|||||
ANTA Sports Products Ltd.
|
8,161
|
92,542
|
|||
Astra International Tbk PT, ADR
|
3,615
|
36,240
|
|||
Cie Financiere Richemont SA, ADR
|
12,160
|
134,490
|
|||
Fast Retailing Co., Ltd.
|
147
|
70,621
|
|||
Hennes & Mauritz AB, Class B
|
4,600
|
63,494
|
|||
Industria de Diseno Textil SA
|
2,702
|
65,131
|
|||
Industria de Diseno Textil SA, ADR
|
7,152
|
85,896
|
|||
Jiumaojiu International Holdings Ltd.(a)
|
179,000
|
419,562
|
|||
McDonald's Holdings Co Japan Ltd.
|
1,900
|
73,945
|
|||
Moncler SpA
|
774
|
37,243
|
|||
Next, PLC
|
352
|
28,776
|
|||
PriceSmart, Inc.
|
3,293
|
258,929
|
|||
Restaurant Brands International, Inc.
|
3,260
|
171,183
|
|||
Ryohin Keikaku Co., Ltd.
|
3,500
|
37,202
|
|||
Shanghai Pharmaceuticals Holding Co Ltd., Class H
|
17,500
|
28,493
|
|||
Sundrug Co., Ltd.
|
22,400
|
484,901
|
|||
Swatch Group AG, (The)
|
12,349
|
3,179,639
|
|||
TITAN COMPANY Ltd.
|
13,133
|
373,280
|
|||
Tsuruha Holdings
|
27,400
|
1,491,888
|
|||
USS Co., Ltd.
|
2,500
|
45,473
|
|||
Wal-Mart de Mexico SAB de CV
|
69,748
|
257,934
|
|||
Wal-Mart de Mexico SAB de CV, SP ADR
|
1,129
|
41,784
|
|||
Zalando SE(a)*
|
717
|
29,172
|
|||
Zhongsheng Group Holdings Ltd.
|
4,500
|
31,914
|
|||
7,539,732
|
|||||
Semiconductors — 7.7%
|
|||||
ASE Technology Holding Co., Ltd. ADR
|
6,033
|
43,136
|
|||
ASML Holding NV
|
1,524
|
876,993
|
|||
ASML Holding NV, ADR
|
2,086
|
1,202,141
|
|||
Mediatek, Inc.
|
10,000
|
309,211
|
|||
Micron Technology, Inc.
|
6,217
|
459,063
|
|||
Rohm Co., Ltd.
|
40
|
3,269
|
|||
Samsung Electronic Co., Ltd.
|
117,197
|
6,372,933
|
|||
Samsung Electronic Co., Ltd., GDR
|
3,744
|
5,029,193
|
|||
SK Hynix, Inc.
|
917
|
79,479
|
|||
SUMCO Corp.
|
34
|
548
|
|||
Taiwan Semiconductor Manufacturing Co., Ltd.
|
283,122
|
5,354,099
|
|||
Taiwan Semiconductor Manufacturing Co., Ltd., SP ADR
|
85,625
|
8,160,063
|
|||
Tokyo Electron Ltd.
|
400
|
183,354
|
|||
Tokyo Electron, Ltd., ADR*
|
1,048
|
120,384
|
|||
United Microelectronics Corp., SP ADR
|
36,418
|
320,843
|
|||
28,514,709
|
|||||
Shipbuilding — 0.1%
|
|||||
Hyundai Mipo Dockyard Co., Ltd.*
|
7,916
|
534,388
|
|||
Software — 1.7%
|
|||||
AVEVA Group, PLC
|
28,058
|
805,964
|
|||
BlackBerry Ltd.*
|
10,732
|
64,929
|
|||
Dassault Systemes SE
|
2,375
|
100,139
|
|||
Dassault Systemes SE, ADR
|
2,450
|
103,317
|
|||
Kaspi.KZ JSC
|
8,629
|
455,334
|
|||
Kingsoft Corp. Ltd.
|
9,000
|
30,130
|
|||
Konami Holdings Corp.
|
400
|
27,068
|
|||
NetEase, Inc.
|
90,900
|
1,901,075
|
|||
NetEase, Inc., ADR
|
1,380
|
143,147
|
|||
Nexon Co., Ltd.
|
2,300
|
56,691
|
|||
Open Text Corp.
|
2,121
|
86,982
|
|||
Playtech, PLC*
|
107,589
|
758,955
|
|||
SimCorp A/S
|
20,779
|
1,638,572
|
|||
TeamViewer AG*
|
4,442
|
30,894
|
|||
Temenos AG
|
314
|
30,507
|
|||
Ubisoft Entertainment SA*
|
742
|
39,009
|
|||
6,272,713
|
|||||
Telecommunications — 3.7%
|
|||||
America Movil SAB de CV, Class L, SP ADR
|
23,681
|
505,353
|
|||
BCE, Inc.
|
5,954
|
324,195
|
|||
Bharti Airtel Ltd.*
|
59,981
|
539,180
|
|||
Chunghwa Telecom Co., Ltd., SP ADR
|
10,212
|
439,116
|
|||
Deutsche Telekom AG, SP ADR
|
5,690
|
117,043
|
|||
Elisa OYJ
|
619
|
35,031
|
|||
KDDI Corp.
|
157,548
|
5,496,234
|
|||
Koninklijke KPN NV
|
8,135
|
29,611
|
|||
KT Corp.
|
20,466
|
625,005
|
|||
Millicom International Cellular SA, SDR*
|
116
|
1,931
|
|||
MTN Group Ltd.
|
69,023
|
744,003
|
|||
NICE Ltd., SP ADR*
|
288
|
57,232
|
|||
Nippon Telegraph & Telephone Corp.
|
2,100
|
64,160
|
|||
Nippon Telegraph & Telephone Corp., ADR*
|
984
|
30,179
|
|||
Nokia OYJ, SP ADR
|
12,708
|
63,667
|
|||
Orange SA
|
5,001
|
62,605
|
|||
PLDT, Inc., SP ADR
|
3,600
|
133,164
|
|||
Singapore Telecommunications Ltd.
|
19,900
|
37,506
|
|||
SK Telecom Co Ltd., SP ADR
|
2
|
51
|
|||
SoftBank Corp.
|
13,279
|
152,983
|
|||
SoftBank Group Corp.
|
1,000
|
41,419
|
|||
Spark New Zealand Ltd.
|
9,362
|
29,611
|
|||
Swisscom AG
|
318
|
188,057
|
|||
Telefonaktiebolaget LM Ericsson, Class B
|
427,356
|
3,470,403
|
|||
Telefonaktiebolaget LM Ericsson, SP ADR
|
2,495
|
20,160
|
|||
Telefonica Brasil SA, ADR
|
3,635
|
39,040
|
|||
Telefonica SA
|
9,725
|
52,877
|
|||
Telekomunikasi Indonesia Persero Tbk PT
|
1,788,500
|
528,022
|
|||
Turkcell Iletisim Hizmetleri AS, ADR
|
8,081
|
24,243
|
|||
13,852,081
|
|||||
Toys/Games/Hobbies — 0.1%
|
|||||
Bandai Namco Holdings, Inc.
|
800
|
59,422
|
|||
Nintendo Co., Ltd.
|
200
|
89,298
|
|||
Nintendo Co., Ltd., ADR*
|
1,152
|
64,051
|
|||
212,771
|
|||||
Transportation — 0.9%
|
|||||
Aurizon Holdings Ltd.
|
22,111
|
63,696
|
|||
Canadian National Railway Co.
|
3,433
|
390,607
|
|||
Canadian Pacific Railway Ltd.
|
1,055
|
75,369
|
|||
COSCO SHIPPING Holdings Co., Ltd.*, Class H
|
18,000
|
31,849
|
|||
Deutsche Post AG, SP ADR
|
3,012
|
124,968
|
|||
DSV AS
|
10,943
|
1,799,432
|
|||
DSV PANALPINA A S, ADR
|
826
|
68,104
|
|||
Keio Corp.
|
800
|
26,724
|
|||
Keisei Electric Railway Co., Ltd.
|
1,000
|
26,099
|
|||
Mitsui OSK Lines Ltd.
|
9,000
|
239,161
|
|||
MTR Corp. Ltd.
|
29,000
|
156,426
|
|||
Nippon Yusen KK
|
300
|
24,800
|
|||
Odakyu Electric Railway Co., Ltd.
|
2,000
|
26,389
|
|||
Poste Italiane SpA(a)
|
3,442
|
37,285
|
|||
SG Holdings Co., Ltd.
|
2,446
|
44,109
|
|||
Tokyu Corp.
|
2,300
|
26,101
|
|||
ZTO Express Cayman, Inc., ADR
|
3,209
|
86,450
|
|||
3,247,569
|
|||||
Water — 1.0%
|
|||||
Cia de Saneamento Basico do Estado de Sao Paulo, ADR*
|
4,592
|
44,221
|
|||
Severn Trent, PLC
|
2,060
|
75,678
|
|||
United Utilities Group, PLC
|
268,683
|
3,581,599
|
|||
3,701,498
|
|||||
TOTAL COMMON STOCKS
|
|||||
(Cost $315,066,793)
|
337,165,683
|
||||
PREFERRED STOCKS - 0.3%
|
|||||
Auto Manufacturers — 0.0%
|
|||||
Porsche Auto SE 3.447%
|
851
|
69,703
|
|||
Banks — 0.1%
|
|||||
Banco Bradesco SA, ADR 4.004%
|
44,550
|
189,337
|
|||
Bancolombia SA, SP ADR 2.298%
|
1,414
|
63,503
|
|||
252,840
|
|||||
Chemicals — 0.1%
|
|||||
FUCHS PETROLUB SE 3.562%
|
16,413
|
504,923
|
|||
Cosmetics/Personal Care — 0.1%
|
|||||
LG Household & Health Care Ltd. 2.928%
|
1,387
|
451,697
|
|||
TOTAL PREFERRED STOCKS
|
|||||
(Cost $1,721,231)
|
1,279,163
|
||||
EXCHANGE TRADED FUNDS - 0.2%
|
|||||
Diversified Financial Services — 0.2%
|
|||||
iShares MSCI Saudi Arabia ETF
|
13,576
|
634,950
|
|||
TOTAL EXCHANGE TRADED FUNDS
|
|||||
(Cost $559,934)
|
634,950
|
||||
RIGHTS - 0.0%
|
|||||
Telecommunications — 0.0%
|
|||||
Millicom International Cellular SA *
|
116
|
470
|
|||
TOTAL RIGHTS
|
|||||
(Cost $1,144)
|
470
|
||||
SHORT-TERM INVESTMENTS - 8.5%
|
|||||
U.S. Bank Money Market Deposit Account, 0.01%(b)
|
31,514,605
|
31,514,605
|
|||
TOTAL SHORT-TERM INVESTMENTS
|
|||||
(Cost $31,514,605)
|
31,514,605
|
||||
TOTAL INVESTMENTS - 99.5%
|
|||||
(Cost $348,863,707)
|
370,594,871
|
||||
OTHER ASSETS IN EXCESS OF LIABILITIES - 0.5%
|
1,889,635
|
||||
NET ASSETS - 100.0%
|
$ |
372,484,506
|
*
|
Non-income producing security.
|
|||
(a)
|
Security exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration to qualified institutional buyers. As of May 31, 2022, total market value of Rule 144A
securities is $5,116,658 and represents 1.40% of net assets.
|
|||
(b)
|
The rate shown is as of May 31, 2022.
|
|||
ADR
|
American Depositary Receipt
|
|||
GDR
|
Global Depositary Receipt
|
|||
PLC
|
Public Limited Company
|
|||
REIT
|
Real Estate Investment Trust
|
|||
SDR
|
Special Drawing Right
|
|||
SP ADR
|
Sponsored ADR
|
|||
The accompanying notes are an integral part of the portfolio of investments.
|
||||
AQUARIUS INTERNATIONAL FUND
|
||||||||
PORTFOLIO HODLINGS SUMMARY TABLE
|
||||||||
May 31, 2022 (Unaudited)
|
||||||||
The following table presents a summary by country of the portfolio holdings of the Fund:
|
||||||||
% of Net
|
||||||||
Assets
|
Value
|
|||||||
COMMON STOCKS
|
||||||||
Argentina
|
0.1 %
|
$
|
278,201
|
|||||
Australia
|
0.8
|
3,138,252
|
||||||
Austria
|
0.1
|
334,695
|
||||||
Belgium
|
2.1
|
7,670,812
|
||||||
Brazil
|
1.0
|
3,859,919
|
||||||
Canada
|
1.70
|
6,278,072
|
||||||
Chile
|
0.1
|
194,141
|
||||||
China
|
6.0
|
22,407,404
|
||||||
Colombia
|
0.0
|
42,172
|
||||||
Denmark
|
2.6
|
9,826,721
|
||||||
Finland
|
0.8
|
2,938,923
|
||||||
France
|
6.9
|
25,577,528
|
||||||
Germany
|
3.7
|
13,649,300
|
||||||
Greece
|
0.1
|
210,278
|
||||||
Hong Kong
|
1.6
|
5,886,627
|
||||||
India
|
3.3
|
12,247,240
|
||||||
Indonesia
|
0.5
|
1,885,489
|
||||||
Ireland
|
4.6
|
17,084,334
|
||||||
Isle Of Man
|
0.2
|
758,955
|
||||||
Israel
|
1.1
|
4,151,153
|
||||||
Italy
|
1.8
|
6,615,748
|
||||||
Japan
|
7.2
|
26,672,937
|
||||||
Kazakhstan
|
0.1
|
455,334
|
||||||
Luxembourg
|
0.1
|
423,426
|
||||||
Malaysia
|
0.1
|
312,816
|
||||||
Mexico
|
1.0
|
3,545,923
|
||||||
Netherlands
|
4.1
|
15,311,968
|
||||||
New Zealand
|
0.0
|
29,611
|
||||||
Norway
|
0.5
|
1,984,176
|
||||||
Panama
|
0.0
|
15,301
|
||||||
Peru
|
0.1
|
235,197
|
||||||
Philippines
|
0.1
|
277,029
|
||||||
Portugal
|
0.0
|
44,339
|
||||||
Qatar
|
0.2
|
650,074
|
||||||
Russia
|
0.0
|
20
|
||||||
Singapore
|
1.0
|
3,703,048
|
||||||
South Africa
|
0.7
|
2,659,943
|
||||||
South Korea
|
4.1
|
15,219,691
|
||||||
Spain
|
0.3
|
1,138,917
|
||||||
Sweden
|
2.7
|
9,987,631
|
||||||
Switzerland
|
5.6
|
20,977,684
|
||||||
Taiwan
|
4.5
|
16,688,565
|
||||||
Thailand
|
1.8
|
6,641,029
|
||||||
Turkey
|
0.0
|
24,243
|
||||||
United Arab Emirates
|
0.1
|
496,422
|
||||||
United Kingdom
|
14.2
|
52,758,024
|
||||||
United States
|
3.0
|
11,312,369
|
||||||
Uruguay
|
0.1
|
318,187
|
||||||
Vietnam
|
0.1
|
245,815
|
||||||
PREFERRED STOCKS
|
||||||||
Brazil
|
0.1
|
189,337
|
||||||
Colombia
|
0.0
|
63,503
|
||||||
Germany
|
0.2
|
574,626
|
||||||
South Korea
|
0.1
|
451,697
|
||||||
EXCHANGE TRADED FUNDS
|
||||||||
United States
|
0.2
|
634,950
|
||||||
RIGHTS
|
0.0
|
|||||||
Luxembourg
|
0.0
|
470
|
||||||
SHORT-TERM INVESTMENTS
|
||||||||
United States
|
8.5
|
31,514,605
|
||||||
OTHER ASSETS IN EXCESS OF LIABILITIES
|
0.5
|
1,889,635
|
||||||
100.0 %
|
|
$
|
372,484,506
|
|||||
Portfolio holdings are subject to change at any time.
|
AQUARIUS INTERNATIONAL FUND
|
||||||||
NOTES TO PORTFOLIO OF INVESTMENTS
|
||||||||
May 31, 2022 (UNAUDITED)
|
||||||||
PORTFOLIO VALUATION – The Fund's net asset value (“NAV”) is calculated once daily at the close of
regular trading hours on the New York Stock Exchange (“NYSE”) (generally 4:00 p.m. Eastern time) on each day the NYSE is open. Securities held by the Funds are valued using the closing price or the last sale price on a national securities
exchange or the National Association of Securities Dealers Automatic Quotation System (“NASDAQ”) market system where they are primarily traded. Equity securities traded in the over-the-counter ("OTC") market are valued at their closing
prices. If there were no transactions on that day, securities traded principally on an exchange or on NASDAQ will be valued at the mean of the last bid and ask prices prior to the market close. Fixed income securities are valued using an
independent pricing service, which considers such factors as security prices, yields, maturities and ratings, and are deemed representative of market values at the close of the market. Investments in Exchange-Traded Funds ("ETFs") are
valued at their last reported sale price. Foreign securities are valued based on prices from the primary market in which they are traded, and are translated from the local currency into U.S. dollars using current exchange rates.
Investments in other open-end investment companies, if any, are valued based on the NAV of those investment companies (which may use fair value pricing as disclosed in their prospectuses). If market quotations are unavailable or deemed
unreliable, securities will be valued in accordance with procedures adopted by the RBB Fund, Inc.’s Board of Directors (the “Board”). Relying on prices supplied by pricing services or dealers or using fair valuation may result in values
that are higher or lower than the values used by other investment companies and investors to price the same investments.
|
||||||||
FAIR VALUE MEASUREMENTS – The inputs and valuation techniques used to measure the fair value of the Fund's investments are summarized into three levels as
|
||||||||
described in the hierarchy below:
|
||||||||
• Level 1 — Prices are determined using quoted prices in active markets for identical securities.
|
||||||||
• Level 2 — Prices are determined using other significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).
|
||||||||
• Level 3 — Prices are determined using significant unobservable inputs (including the Fund's own assumptions in determining the fair value of investments).
|
||||||||
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.
|
||||||||
The following is a summary of the inputs used, as of May 31, 2022, in valuing the Fund's investments carried at fair value:
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
|||||||||||||
AQUARIUS INTERNATIONAL FUND
|
||||||||||||||||
Common Stocks
|
$
|
337,165,683
|
$
|
71,225,692
|
$
|
265,939,971
|
$
|
20
|
||||||||
Preferred Stocks
|
1,279,163
|
252,840
|
1,026,323
|
-
|
||||||||||||
Exchange-Traded Funds
|
634,950
|
634,950
|
-
|
-
|
||||||||||||
Rights
|
470
|
470
|
-
|
-
|
||||||||||||
Short-Term Investments
|
31,514,605
|
31,514,605
|
-
|
-
|
||||||||||||
Total Investments*
|
$
|
370,594,871
|
$
|
103,628,557
|
$
|
266,966,294
|
$
|
20
|
||||||||
* Please refer to Portfolio of Investments for further details.
|
At the end of each quarter, management evaluates the classification of Levels 1, 2 and 3 assets and liabilities. Various factors are
considered, such as changes in liquidity from the prior reporting period; whether or not a broker is willing to execute at the quoted price; the depth and consistency of prices from third party pricing services; and the existence of
contemporaneous, observable trades in the market. Additionally, management evaluates the classification of Levels 1, 2 and 3 assets and liabilities on a quarterly basis for changes in listings or delistings on national exchanges.
|
||||||||
Due to the inherent uncertainty of determining the fair value of investments that do not have a readily available market value, the fair
value of the Fund’s investments may fluctuate from period to period. Additionally, the fair value of investments may differ significantly from the values that would have been used had a ready market existed for such investments and may
differ materially from the values the Fund may ultimately realize. Further, such investments may be subject to legal and other restrictions on resale or otherwise less liquid than publicly traded securities.
|
||||||||
For fair valuations using significant unobservable inputs, U.S. generally accepted accounting principles (“U.S. GAAP”) requires the Fund to
present a reconciliation of the beginning to ending balances for reported market values that presents changes attributable to total realized and unrealized gains or losses, purchase and sales, and transfers in and out of Level 3 during
the period. Transfers in and out between levels are based on values at the end of the period. A reconciliation of Level 3 investments is presented only when the Fund had an amount of Level 3 investments at the end of the reporting period
that was meaningful in relation to its net assets. The amounts and reasons for Level 3 transfers are disclosed if the Fund had an amount of total transfers during the reporting period that was meaningful in relation to its net assets as
of the end of the reporting period.
|
||||||||
For the period ended May 31, 2022, the Fund had no significant Level 3 transfers.
|
||||||||
For more information with regard to significant accounting policies, see the most recent semi-annual or annual report filed with the
Securities and Exchange Commission.
|