0001752724-22-053415.txt : 20220301 0001752724-22-053415.hdr.sgml : 20220301 20220301124749 ACCESSION NUMBER: 0001752724-22-053415 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211231 FILED AS OF DATE: 20220301 PERIOD START: 20220930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: LOOMIS SAYLES FUNDS II CENTRAL INDEX KEY: 0000872649 IRS NUMBER: 043113285 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-06241 FILM NUMBER: 22695734 BUSINESS ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 BUSINESS PHONE: 617-449-2810 MAIL ADDRESS: STREET 1: 888 BOYLSTON STREET STREET 2: 8TH FLOOR CITY: BOSTON STATE: MA ZIP: 02199 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS I DATE OF NAME CHANGE: 20031119 FORMER COMPANY: FORMER CONFORMED NAME: LOOMIS SAYLES FUNDS DATE OF NAME CHANGE: 20031015 FORMER COMPANY: FORMER CONFORMED NAME: 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Long DBT NUSS CO N 2 2027-04-25 Fixed 3.87500000 N N N N N N SPLUNK INC 549300XGDSGBP6UEI867 Splunk Inc 848637AF1 1340000.00000000 PA USD 1249550.00000000 0.024486094101 Long DBT CORP US N 2 2027-06-15 Fixed 1.12500000 N N N N Y Splunk Inc Splunk Inc USD XXXX N N N Turk Telekomunikasyon AS 789000A2TXOI10JZLF90 Turk Telekomunikasyon AS 000000000 2830000.00000000 PA USD 2864752.40000000 0.056137486970 Long DBT CORP TR N 2 2025-02-28 Fixed 6.87500000 N N N N N N United States Treasury 254900HROIFWPRGM1V77 United States Treasury Note/Bond 91282CCJ8 19120000.00000000 PA USD 18816768.65000000 0.368732077828 Long DBT UST US N 2 2026-06-30 Fixed 0.87500000 N N N N N N AIR CANADA 2017-1AA PTT N/A Air Canada 2017-1 Class AA Pass Through Trust 00908PAA5 757528.00000000 PA USD 767966.74000000 0.015049022338 Long DBT CORP CA N 2 2030-01-15 Fixed 3.30000000 N N N N N N S&P Global Inc Y6X4K52KMJMZE7I7MY94 S&P Global Inc 78409V104 272644.00000000 NS USD 128668882.92000000 2.521386399199 Long EC CORP US N 1 N N N ONEMAIN FINANCE CORP 5493008I795YYBFWFU90 OneMain Finance Corp 85172FAL3 1170000.00000000 PA USD 1222129.35000000 0.023948760968 Long DBT CORP US N 2 2023-03-15 Fixed 5.62500000 N N N N N N CANADIAN GOVERNMENT 4BFD7AQU0A75QLAHK410 Canadian Government Bond 135087L77 23095000.00000000 PA 18156673.90000000 0.355796907435 Long DBT NUSS CA N 2 2023-02-01 Fixed 0.25000000 N N N N N N ENBRIDGE ENERGY PARTNERS CZ6VG2MNE1J6YDI02G48 Enbridge Energy Partners LP 29250RAX4 235000.00000000 PA USD 366466.57000000 0.007181253185 Long DBT CORP US N 2 2045-10-15 Fixed 7.37500000 N N N N N N NOVELIS CORP 549300G5F3W3B52WYL23 Novelis Corp 670001AE6 475000.00000000 PA USD 499343.75000000 0.009785105079 Long DBT CORP US N 2 2030-01-30 Fixed 4.75000000 N N N N N N EXPORT-IMPORT BK INDIA 335800OFZ8YEIVN1QI11 Export-Import Bank of India 30216JAF2 2790000.00000000 PA USD 2622524.22000000 0.051390800555 Long DBT NUSS IN N 2 2031-01-13 Fixed 2.25000000 N N N N N N WESTERN MIDSTREAM OPERAT L6D8A6MLSY454J2JXJ60 Western Midstream Operating LP 958667AA5 475000.00000000 PA USD 561689.88000000 0.011006835466 Long DBT CORP US N 2 2050-02-01 Fixed 6.50000000 N N N N N N SINGAPORE GOVERNMENT 549300ZSV6VOGFH1ER70 Singapore Government Bond 000000000 10055000.00000000 PA 7725896.25000000 0.151396120680 Long DBT NUSS SG N 2 2026-06-01 Fixed 2.12500000 N N N N N N T-MOBILE USA INC 549300V2JRLO5DIFGE82 T-Mobile USA Inc 87264ABF1 2805000.00000000 PA USD 3067978.51000000 0.060119891558 Long DBT CORP US N 2 2030-04-15 Fixed 3.87500000 N N N N N N Amazon.com Inc ZXTILKJKG63JELOEG630 Amazon.com Inc 023135106 44378.00000000 NS USD 147971340.52000000 2.899636003604 Long EC CORP US N 1 N N N THERMO FISHER SCIENTIFIC HCHV7422L5HDJZCRFL38 Thermo Fisher Scientific Inc 883556CE0 245000.00000000 PA 285306.57000000 0.005590847521 Long DBT CORP US N 2 2049-10-01 Fixed 1.87500000 N N N N N N Credit Suisse International E58DKGMJYYYJLN8C3868 PURCHASED JPY / SOLD USD 000000000 1.00000000 NC -1442514.56000000 -0.02826741407 N/A DFE JP N 2 Credit Suisse International E58DKGMJYYYJLN8C3868 98865394.97000000 USD 11200164000.00000000 JPY 2022-03-16 -1442514.56000000 N N N KOREA TREASURY BOND 549300O0QCVSQGPGDT58 Korea Treasury Bond 000000000 1440000000.00000000 PA 1224075.71000000 0.023986901702 Long DBT NUSS KR N 2 2022-09-10 Fixed 2.00000000 N N N N N N TEVA PHARMACEUTICALS NE 5493004T21MOAFINJP35 Teva Pharmaceutical Finance Netherlands III BV 88167AAQ4 510000.00000000 PA USD 499958.10000000 0.009797143838 Long DBT CORP NL N 2 2029-05-09 Fixed 5.12500000 N N N N N N DEUTSCHE BANK NY 7LTWFZYICNSX8D621K86 Deutsche Bank AG/New York NY 251526CK3 220000.00000000 PA USD 221680.26000000 0.004344030816 Long DBT CORP DE N 2 2032-05-28 Fixed 3.03500000 N N N N N N GOLDMAN SACHS GROUP INC 784F5XWPLTWKTBV3E584 Goldman Sachs Group Inc/The 38141GYE8 2340000.00000000 PA USD 2321794.80000000 0.045497727947 Long DBT CORP US N 2 2024-09-10 Fixed 0.65700000 N N N N N N HCA INC L3CJ6J7LJ2DX62FTXD46 HCA Inc 404119BZ1 1195000.00000000 PA USD 1534762.54000000 0.030075099018 Long DBT CORP US N 2 2049-06-15 Fixed 5.25000000 N N N N N N JAPAN (30 YEAR ISSUE) 353800WZS8AXZXFUC241 Japan Government Thirty Year Bond 000000000 2020350000.00000000 PA 16884667.21000000 0.330870753613 Long DBT NUSS JP N 2 2049-03-20 Fixed 0.50000000 N N N N N N Netflix Inc 549300Y7VHGU0I7CE873 Netflix Inc 64110LAU0 245000.00000000 PA USD 290937.50000000 0.005701190830 Long DBT CORP US N 2 2029-11-15 Fixed 5.37500000 N N N N N N DBS Group Holdings Ltd 5493007FKT78NKPM5V55 DBS Group Holdings Ltd 24023MAA2 345000.00000000 PA USD 364475.25000000 0.007142231418 Long DBT CORP SG N 2 2028-12-11 Fixed 4.52000000 N N N N N N Toyota Motor Credit Corp Z2VZBHUMB7PWWJ63I008 Toyota Motor Credit Corp 89236TFX8 1635000.00000000 PA USD 1645282.09000000 0.032240832363 Long DBT CORP US N 2 2022-04-12 Fixed 2.65000000 N N N N N N ArcelorMittal 2EULGUTUI56JI9SAL165 ArcelorMittal SA 03938LAS3 920000.00000000 PA USD 1242092.00000000 0.024339947656 Long DBT CORP LU N 2 2041-03-01 Fixed 6.75000000 N N N N N N ICAHN ENTERPRISES/FIN N/A Icahn Enterprises LP / Icahn Enterprises Finance Corp 451102BZ9 1180000.00000000 PA USD 1213547.40000000 0.023780589678 Long DBT CORP US N 2 2027-05-15 Fixed 5.25000000 N N N N N N NOVARTIS CAPITAL CORP 5493002KF87V5RSRQS84 Novartis Capital Corp 66989HAQ1 1375000.00000000 PA USD 1397008.58000000 0.027375682085 Long DBT CORP US N 2 2027-02-14 Fixed 2.00000000 N N N N N N WESTERN DIGITAL CORP 549300QQXOOYEF89IC56 Western Digital Corp 958102AQ8 130000.00000000 PA USD 131251.90000000 0.002572003020 Long DBT CORP US N 2 2029-02-01 Fixed 2.85000000 N N N N N N BAUSCH HEALTH COS INC B3BS7ACMDUWISF18KY76 Bausch Health Cos Inc 071734AL1 1860000.00000000 PA USD 1634475.00000000 0.032029057385 Long DBT CORP CA N 2 2031-02-15 Fixed 5.25000000 N N N N N N EQUINOR ASA OW6OFBNCKXC4US5C7523 Equinor ASA 29446MAG7 2790000.00000000 PA USD 3099624.21000000 0.060740018475 Long DBT CORP NO N 2 2040-04-06 Fixed 3.62500000 N N N N N N EXPORT-IMPORT BANK KOREA 549300APVP4R32PI3Y06 Export-Import Bank of Korea 000000000 636300000.00000000 PA 8686337.09000000 0.170216851973 Long DBT NUSS KR N 2 2023-02-07 Fixed 6.90000000 N N N N N N LLOYDS BANKING GROUP PLC 549300PPXHEU2JF0AM85 Lloyds Banking Group PLC 53944YAL7 1125000.00000000 PA USD 1188425.16000000 0.023288296026 Long DBT CORP GB N 2 2025-07-09 Fixed 3.87000000 N N N N N N CANADIAN PACIFIC RAILWAY 54930036474DURYNB481 Canadian Pacific Railway Co 13645RBE3 2465000.00000000 PA USD 2473895.45000000 0.048478281610 Long DBT CORP CA N 2 2026-12-02 Fixed 1.75000000 N N N N N N ARES CAPITAL CORP WEQ82666OJYSI5GUAB47 Ares Capital Corp 04010LBC6 2630000.00000000 PA USD 2585769.11000000 0.050670549999 Long DBT CORP US N 2 2031-11-15 Fixed 3.20000000 N N N N N N TRANSPORT DE GAS PERU 529900SKHHNI5HVI0Y66 Transportadora de Gas del Peru SA 89388AAA0 1050000.00000000 PA USD 1111698.00000000 0.021784755984 Long DBT CORP PE N 2 2028-04-30 Fixed 4.25000000 N N N N N N HOLDING D'INFRASTRUCTURE 9695004S3RCE0Q5V8G28 Holding d'Infrastructures de Transport SASU 000000000 500000.00000000 PA 573141.20000000 0.011231234729 Long DBT CORP FR N 2 2023-03-27 Fixed 0.62500000 N N N N N N LG Chem Ltd 988400IES4EIG7O06940 LG Chem Ltd 501955AA6 1180000.00000000 PA USD 1241548.80000000 0.024329303147 Long DBT CORP KR N 2 2024-10-15 Fixed 3.25000000 N N N N N N ROMANIA GOVERNMENT BOND 315700IASY927EDWBK92 Romania Government Bond 000000000 29970000.00000000 PA 6374428.46000000 0.124912852719 Long DBT NUSS RO N 2 2030-10-24 Fixed 4.15000000 N N N N N N BUONI POLIENNALI DEL TES 815600DE60799F5A9309 Italy Buoni Poliennali Del Tesoro 000000000 6965000.00000000 PA 8193167.95000000 0.160552744118 Long DBT NUSS IT N 2 2030-04-01 Fixed 1.35000000 N N N N N N ATHENE GLOBAL FU 549300LM1QSI4MSIL320 Athene Global Funding 04685A2Z3 945000.00000000 PA USD 927582.12000000 0.018176834122 Long DBT CORP US N 2 2026-06-29 Fixed 1.60800000 N N N N N N TSMC ARIZONA CORP 2549005GOBWLCSY63Q97 TSMC Arizona Corp 872898AC5 1925000.00000000 PA USD 1949489.75000000 0.038202064317 Long DBT CORP US N 2 2031-10-25 Fixed 2.50000000 N N N N N N COUNTRY GARDEN HLDGS 549300MGHLPT1EFHGF84 Country Garden Holdings Co Ltd 000000000 2435000.00000000 PA USD 2447107.40000000 0.047953344862 Long DBT CORP KY N 2 2024-01-27 Fixed 8.00000000 N N N N N N HYUNDAI CAPITAL AMERICA 549300RIPPWJB5Z0FK07 Hyundai Capital America 44891ABF3 835000.00000000 PA USD 855707.07000000 0.016768375686 Long DBT CORP US N 2 2025-02-10 Fixed 2.65000000 N N N N N N TAPESTRY INC 549300LJNVY5SW3VTN33 Tapestry Inc 876030AA5 255000.00000000 PA USD 256498.27000000 0.005026322096 Long DBT CORP US N 2 2032-03-15 Fixed 3.05000000 N N N N N N Halma PLC 2138007FRGLUR9KGBT40 Halma PLC 000000000 832313.00000000 NS 36088143.92000000 0.707180735444 Long EC CORP GB N 2 N N N AMER AIRLINE 16-3 B PTT N/A American Airlines 2016-3 Class B Pass Through Trust 023771S41 1131315.43000000 PA USD 1069805.81000000 0.020963839569 Long DBT CORP US N 2 2025-10-15 Fixed 3.75000000 N N N N N N TOYOTA MOTOR CORP 5493006W3QUS5LMH6R84 Toyota Motor Corp 892331AN9 2790000.00000000 PA USD 2874731.63000000 0.056333039261 Long DBT CORP JP N 2 2031-03-25 Fixed 2.36200000 N N N N N N GO DADDY OPCO/FINCO N/A Go Daddy Operating Co LLC / GD Finance Co Inc 38016LAC9 855000.00000000 PA USD 848454.98000000 0.016626264240 Long DBT CORP US N 2 2029-03-01 Fixed 3.50000000 N N N N N N AIA Group Ltd ZP5ILWVSYE4LJGMMVD57 AIA Group Ltd 00131LAB1 355000.00000000 PA USD 370834.82000000 0.007266853106 Long DBT CORP HK N 2 2025-03-11 Fixed 3.20000000 N N N N N N PROLOGIS EURO FINANCE 549300MI5D1784PRQH06 Prologis Euro Finance LLC 000000000 1530000.00000000 PA 1733456.18000000 0.033968685642 Long DBT US N 2 2028-02-06 Fixed 0.37500000 N N N N N N 2022-01-27 LOOMIS SAYLES FUNDS II John Sgroi John Sgroi Assistant Treasurer XXXX NPORT-EX 2 NPORT_4885_87383972_1221.htm HTML

PORTFOLIO OF INVESTMENTS – as of December 31, 2021 (Unaudited)

Loomis Sayles Global Allocation Fund

 

Shares     

Description

   Value (†)

 

 
 

Common Stocks – 68.7% of Net Assets

 
   Canada – 0.9%

 

  459,549      Canada Goose Holdings, Inc.(a)    $ 17,031,232  
  347,164      Descartes Systems Group, Inc. (The)(a)      28,712,833  
     

 

 

 
        45,744,065  
     

 

 

 
   France – 2.2%

 

  633,882      Dassault Systemes SE      37,617,943  
  89,519      LVMH Moet Hennessy Louis Vuitton SE      73,981,511  
     

 

 

 
        111,599,454  
     

 

 

 
   Hong Kong – 0.7%

 

  3,476,000      AIA Group Ltd.          35,082,714  
     

 

 

 
   India – 1.0%

 

  2,601,148      HDFC Bank Ltd.      51,495,494  
     

 

 

 
   Japan – 2.0%

 

  561,100      Mercari, Inc.(a)      28,547,317  
  1,638,061      Nomura Research Institute Ltd.      70,028,409  
     

 

 

 
        98,575,726  
     

 

 

 
   Netherlands – 3.3%

 

  212,201      ASML Holding NV      169,977,210  
     

 

 

 
   Sweden – 1.6%

 

  1,139,087      Atlas Copco AB, Class A      78,711,848  
     

 

 

 
   Taiwan – 2.1%

 

  4,895,000      Taiwan Semiconductor Manufacturing Co. Ltd.      108,282,268  
     

 

 

 
   United Kingdom – 3.2%

 

  832,313      Halma PLC      36,088,144  
  370,631      Linde PLC      128,397,697  
     

 

 

 
        164,485,841  
     

 

 

 
   United States – 51.7%

 

  291,604      Accenture PLC, Class A      120,884,438  
  879,923      Airbnb, Inc., Class A(a)      146,498,380  
  5,876      Alphabet, Inc., Class C(a)      17,002,735  
  46,517      Alphabet, Inc., Class A(a)      134,761,610  
  44,378      Amazon.com, Inc.(a)      147,971,341  
  252,843      Copart, Inc.(a)      38,336,056  
  203,797      Costco Wholesale Corp.      115,695,557  
  484,953      Cummins, Inc.      105,787,647  
  462,435      Danaher Corp.      152,145,739  
  1,219,854      Dropbox, Inc., Class A(a)      29,935,217  
  272,375      Estee Lauder Cos., Inc. (The), Class A      100,833,225  
  87,505      Goldman Sachs Group, Inc. (The)      33,475,038  
  235,445      Home Depot, Inc. (The)      97,712,029  
  521,633      IQVIA Holdings, Inc.(a)      147,173,535  


Shares     

Description

   Value (†)

 

 
 

Common Stocks – continued

 
   United States – continued

 

           419,652      MasterCard, Inc., Class A    $ 150,789,357  
  311,563      Meta Platforms, Inc., Class A(a)      104,794,215  
  45,346      Mettler-Toledo International, Inc.(a)      76,961,685  
  418,610      NVIDIA Corp.      123,117,387  
  460,473      PayPal Holdings, Inc.(a)      86,835,998  
  216,568      Roper Technologies, Inc.      106,521,136  
  272,644      S&P Global, Inc.      128,668,883  
  487,168      salesforce.com, Inc.(a)      123,804,004  
  285,595      Sherwin-Williams Co. (The)      100,575,135  
  296,404      Texas Instruments, Inc.      55,863,262  
  258,692      UnitedHealth Group, Inc.      129,899,601  
  92,241      Vail Resorts, Inc.      30,245,824  
  126,301      VeriSign, Inc.(a)          32,057,720  
     

 

 

 
        2,638,346,754  
     

 

 

 
   Total Common Stocks
(Identified Cost $2,258,332,008)
     3,502,301,374  
     

 

 

 

 

      Principal
    Amount (‡)

 

 
 

Bonds and Notes – 29.5%

 
 

Non-Convertible Bonds – 27.4%

 
   Australia – 0.7%

 

  $    3,010,000      Australia Government Bond, Series 133,
5.500%, 4/21/2023, (AUD)(b)
     2,335,170  
  10,700,000      Australia Government Bond, Series 164,
0.500%, 9/21/2026, (AUD)(b)
     7,490,545  
  800,000      FMG Resources August 2006 Pty Ltd.,
4.375%, 4/01/2031, 144A
             840,000  
  670,000      GAIF Bond Issuer Pty Ltd.,
3.400%, 9/30/2026, 144A
     714,383  
  3,560,000      Glencore Funding LLC,
1.625%, 9/01/2025, 144A
     3,528,423  
  5,000,000      Macquarie Group Ltd., (fixed rate to 1/14/2032, variable rate thereafter),
2.871%, 1/14/2033, 144A(b)
     4,984,874  
  4,000,000      Macquarie Group Ltd., (fixed rate to 9/23/2026, variable rate thereafter),
1.629%, 9/23/2027, 144A(b)
     3,919,344  
  11,610,000      New South Wales Treasury Corp.,
2.000%, 3/08/2033, (AUD)(b)
     8,363,867  
  95,000      Sydney Airport Finance Co. Pty Ltd.,
3.375%, 4/30/2025, 144A
     99,503  
  1,370,000      Westpac Banking Corp.,
1.953%, 11/20/2028(b)
     1,364,518  
     

 

 

 
        33,640,627  
     

 

 

 
   Belgium – 0.1%

 

  2,745,000      Anheuser-Busch InBev S.A., EMTN,
2.000%, 1/23/2035, (EUR)
     3,422,605  
  1,690,000      Anheuser-Busch InBev Worldwide, Inc.,
4.750%, 1/23/2029
     1,967,051  
     

 

 

 
        5,389,656  
     

 

 

 


Principal
Amount (‡)

 

   

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
  Brazil – 0.6%

 

  $        1,150,000     Banco Bradesco S.A.,
2.850%, 1/27/2023, 144A
   $ 1,162,385  
  1,035,000     Braskem Netherlands Finance BV,
4.500%, 1/10/2028
     1,097,100  
  1,785,000     Braskem Netherlands Finance BV,
4.500%, 1/31/2030
     1,898,347  
  53,329 (††)    Brazil Notas do Tesouro Nacional, Series F,
10.000%, 1/01/2031, (BRL)
     9,168,655  
  2,685,000     Brazilian Government International Bond,
4.500%, 5/30/2029
     2,748,796  
  1,085,000     Brazilian Government International Bond,
4.625%, 1/13/2028
     1,132,480  
  2,980,000     BRF S.A.,
4.875%, 1/24/2030
     3,018,025  
  650,000     Centrais Eletricas Brasileiras S.A.,
4.625%, 2/04/2030, 144A
             643,507  
  400,000     Cosan Luxembourg S.A.,
5.000%, 3/14/2023, 144A
     402,560  
  1,100,000     Embraer Netherlands Finance BV,
5.050%, 6/15/2025
     1,137,125  
  1,250,000     Itau Unibanco Holding S.A.,
2.900%, 1/24/2023, 144A
     1,263,125  
  2,465,000     Petrobras Global Finance BV,
5.999%, 1/27/2028
     2,686,850  
  150,000     Petrobras Global Finance BV,
6.875%, 1/20/2040
     164,427  
  575,000     Raizen Fuels Finance S.A.,
5.300%, 1/20/2027, 144A
     625,318  
  2,515,000     Suzano Austria GmbH,
2.500%, 9/15/2028
     2,426,975  
  1,185,000     Suzano Austria GmbH,
3.125%, 1/15/2032
     1,146,499  
  550,000     Suzano Austria GmbH,
3.750%, 1/15/2031
     558,943  
    

 

 

 
       31,281,117  
    

 

 

 
  Canada – 4.0%

 

  790,000     1011778 BC ULC/New Red Finance, Inc.,
4.000%, 10/15/2030, 144A
     776,175  
  363,716     Air Canada Pass Through Trust, Series 2015-2, Class A,
4.125%, 6/15/2029, 144A
     361,981  
  757,528     Air Canada Pass Through Trust, Series 2017-1, Class AA,
3.300%, 7/15/2031, 144A(b)
     767,967  
  1,210,000     Antares Holdings LP,
3.950%, 7/15/2026, 144A
     1,244,222  
  1,010,000     Antares Holdings LP,
6.000%, 8/15/2023, 144A
     1,073,362  
  4,500,000     Bank of Montreal, (fixed rate to 1/22/2026, variable rate thereafter), MTN,
0.949%, 1/22/2027(b)
     4,367,340  
  2,675,000     Bank of Nova Scotia (The),
1.050%, 3/02/2026(b)
     2,607,196  


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Canada – continued

 

  $        2,525,000      Bank of Nova Scotia (The),
1.300%, 9/15/2026(b)
   $ 2,474,659  
  2,835,000      Bell Telephone Co. of Canada/Bell Canada (The), MTN,
3.600%, 9/29/2027, (CAD)
     2,386,044  
  1,735,000      Brookfield Finance I UK PLC,
2.340%, 1/30/2032
     1,692,404  
  1,015,000      Brookfield Finance, Inc.,
3.900%, 1/25/2028
     1,113,449  
  2,715,000      Brookfield Renewable Partners ULC, MTN,
4.250%, 1/15/2029, (CAD)
     2,388,393  
  1,220,000      Canada Housing Trust No. 1,
1.550%, 12/15/2026, 144A, (CAD)
             964,475  
  23,095,000      Canadian Government Bond,
0.250%, 2/01/2023, (CAD)(b)
     18,156,674  
  61,465,000      Canadian Government Bond,
0.250%, 5/01/2023, (CAD)(b)
     48,222,535  
  89,175,000      Canadian Government Bond,
0.500%, 9/01/2025, (CAD)(b)
     68,816,212  
  970,000      Canadian Imperial Bank of Commerce,
3.500%, 9/13/2023(b)
     1,014,006  
  1,800,000      Canadian Imperial Bank of Commerce, (fixed rate to 7/22/2022, variable rate thereafter),
2.606%, 7/22/2023(b)
     1,818,574  
  2,465,000      Canadian Pacific Railway Co.,
1.750%, 12/02/2026
     2,473,895  
  800,000      CPPIB Capital, Inc.,
0.375%, 6/20/2024, 144A, (EUR)(b)
     924,735  
  4,695,000      Enbridge Gas, Inc., MTN,
2.900%, 4/01/2030, (CAD)(b)
     3,866,903  
  430,000      Enbridge, Inc.,
2.900%, 7/15/2022
     434,245  
  4,770,000      Enbridge, Inc., MTN,
2.990%, 10/03/2029, (CAD)
     3,841,868  
  2,965,000      Federation des Caisses Desjardins du Quebec, (fixed rate to 5/26/2025, variable rate thereafter),
2.856%, 5/26/2030, (CAD)(b)
     2,395,533  
  187,682      Institutional Mortgage Securities Canada, Inc., Series 2014-5A, Class A2,
2.616%, 7/12/2047, 144A, (CAD)
     145,169  
  4,670,000      Ontario Power Generation, Inc., MTN,
2.977%, 9/13/2029, (CAD)(b)
     3,855,357  
  5,000,000      Province of British Columbia Canada, Series 10,
1.750%, 9/27/2024(b)
     5,095,833  
  2,355,000      Province of Quebec Canada,
2.300%, 9/01/2029, (CAD)(b)
     1,923,432  
  2,725,000      Royal Bank of Canada,
0.875%, 1/20/2026(b)
     2,651,357  
  2,040,000      Royal Bank of Canada,
1.200%, 4/27/2026(b)
     2,003,829  
  2,475,000      Royal Bank of Canada, GMTN,
2.250%, 11/01/2024(b)
     2,540,502  
  2,960,000      Shaw Communications, Inc.,
3.300%, 12/10/2029, (CAD)
     2,400,737  


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Canada – continued

 

  $      2,500,000      Toronto-Dominion Bank (The),
2.100%, 7/15/2022, 144A(b)
   $ 2,523,070  
  1,690,000      Toronto-Dominion Bank (The), GMTN,
3.500%, 7/19/2023(b)
     1,761,054  
  1,675,000      Toronto-Dominion Bank (The), MTN,
1.150%, 6/12/2025(b)
     1,660,907  
  1,580,000      Videotron Ltd.,
5.125%, 4/15/2027, 144A
     1,627,400  
     

 

 

 
        202,371,494  
     

 

 

 
   Chile – 0.4%

 

  715,000      Banco de Chile,
2.990%, 12/09/2031, 144A
             705,133  
  2,525,000      Banco Santander Chile,
3.177%, 10/26/2031, 144A(b)
     2,570,803  
  950,000      Celulosa Arauco y Constitucion S.A.,
4.500%, 8/01/2024
     1,009,384  
  1,500,000      Chile Government International Bond,
2.450%, 1/31/2031(b)
     1,490,640  
  1,005,000      Chile Government International Bond,
2.550%, 1/27/2032(b)
     1,002,488  
  2,580,000      Colbun S.A.,
3.150%, 3/06/2030
     2,580,000  
  1,960,000      Corp. Nacional del Cobre de Chile,
3.000%, 9/30/2029, 144A(b)
     1,981,509  
  570,000      Corp. Nacional del Cobre de Chile,
3.750%, 1/15/2031, 144A
     607,123  
  595,000      Empresa Nacional de Telecomunicaciones S.A.,
3.050%, 9/14/2032, 144A
     584,593  
  1,980,000      Empresa Nacional del Petroleo,
3.450%, 9/16/2031, 144A
     1,880,683  
  525,000      Enel Chile S.A.,
4.875%, 6/12/2028
     578,813  
  2,690,000      Engie Energia Chile S.A.,
3.400%, 1/28/2030
     2,723,625  
  800,000      Inversiones CMPC S.A.,
4.375%, 5/15/2023, 144A
     825,760  
  1,120,000      Transelec S.A.,
4.250%, 1/14/2025, 144A
     1,183,717  
     

 

 

 
        19,724,271  
     

 

 

 
   China – 1.0%

 

  920,000      Alibaba Group Holding Ltd.,
3.400%, 12/06/2027
     973,882  
  795,000      Baidu, Inc.,
3.875%, 9/29/2023
     827,452  
  98,500,000      China Government Bond,
2.200%, 7/27/2025, (CNY)(b)
     15,240,348  
  6,500,000      China Government Bond,
3.390%, 5/21/2025, (CNH)(b)
     1,045,695  
  500,000      China Government Bond,
3.480%, 6/29/2027, (CNH)
     81,672  


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   China – continued

 

  25,000,000      China Government Bond,
3.900%, 7/04/2036, (CNH)(b)
   $ 4,250,334  
  67,500,000      China Government Bond,
4.000%, 11/30/2035, (CNY)(b)
     11,631,022  
  2,600,000      Country Garden Holdings Co. Ltd.,
2.700%, 7/12/2026
     2,216,886  
  2,800,000      Country Garden Holdings Co. Ltd.,
3.300%, 1/12/2031
     2,380,946  
  2,435,000      Country Garden Holdings Co. Ltd.,
8.000%, 1/27/2024
     2,447,107  
  905,000      Industrial & Commercial Bank of China Ltd.,
2.957%, 11/08/2022
             919,172  
  2,750,000      Shimao Group Holdings Ltd.,
3.450%, 1/11/2031
     1,567,225  
  2,750,000      Sunac China Holdings Ltd.,
5.950%, 4/26/2024
     1,771,110  
  625,000      Tencent Holdings Ltd.,
2.880%, 4/22/2031, 144A
     636,147  
  500,000      Tencent Holdings Ltd.,
2.985%, 1/19/2023, 144A
     508,240  
  1,175,000      Tencent Holdings Ltd.,
3.280%, 4/11/2024, 144A(b)
     1,226,292  
  1,270,000      Weibo Corp.,
3.500%, 7/05/2024
     1,307,732  
     

 

 

 
        49,031,262  
     

 

 

 
   Colombia – 0.3%

 

  1,395,000      Colombia Government International Bond,
3.125%, 4/15/2031
     1,250,757  
  2,536,000      Ecopetrol S.A.,
5.875%, 5/28/2045
     2,425,075  
  1,300,000      Empresas Publicas de Medellin ESP,
4.250%, 7/18/2029, 144A
     1,233,063  
  1,026,000      Millicom International Cellular S.A.,
6.250%, 3/25/2029, 144A
     1,115,467  
  1,035,000      Millicom International Cellular S.A.,
6.625%, 10/15/2026
     1,084,162  
  575,000      Republic of Colombia,
3.875%, 4/25/2027
     579,313  
  7,073,300,000      Republic of Colombia, Series B,
6.250%, 11/26/2025, (COP)
     1,672,913  
  29,559,900,000      Titulos De Tesoreria, Series B,
7.500%, 8/26/2026, (COP)
     7,217,703  
  870,000      Transportadora de Gas Internacional S.A. E.S.P.,
5.550%, 11/01/2028, 144A
     959,184  
     

 

 

 
        17,537,637  
     

 

 

 
   Denmark – 0.1%

 

  2,055,000      Orsted A/S, EMTN,
2.125%, 5/17/2027, (GBP)
     2,878,621  
     

 

 

 


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Dominican Republic – 0.1%

 

  $      2,160,000      Dominican Republic,
4.500%, 1/30/2030, 144A
   $ 2,195,100  
  1,155,000      Dominican Republic,
4.875%, 9/23/2032, 144A
     1,173,769  
  590,000      Dominican Republic,
5.950%, 1/25/2027, 144A
     658,086  
  995,000      Dominican Republic,
6.000%, 7/19/2028, 144A
     1,112,310  
  425,000      Dominican Republic,
8.625%, 4/20/2027, 144A
             506,600  
     

 

 

 
        5,645,865  
     

 

 

 
   Egypt – 0.1%

 

  1,515,000      Egypt Government International Bond,
5.250%, 10/06/2025
     1,526,423  
  1,435,000      Egypt Government International Bond,
7.625%, 5/29/2032
     1,356,922  
     

 

 

 
        2,883,345  
     

 

 

 
   Finland – 0.1%

 

  3,575,000      Nordea Bank Abp,
0.750%, 8/28/2025, 144A(b)
     3,484,043  
     

 

 

 
   France – 0.2%

 

  205,000      BNP Paribas S.A.,
4.375%, 5/12/2026, 144A
     222,932  
  890,000      BNP Paribas S.A., (fixed rate to 6/09/2025, variable rate thereafter),
2.219%, 6/09/2026, 144A
     898,279  
  1,415,000      Caisse d’Amortissement de la Dette Sociale,
1.875%, 2/12/2022(b)
     1,417,330  
  250,000      Credit Agricole S.A.,
3.250%, 10/04/2024, 144A
     261,507  
  4,500,000      Credit Agricole S.A., (fixed rate to 1/26/2026, variable rate thereafter),
1.247%, 1/26/2027, 144A(b)
     4,378,767  
  1,300,000      Edenred,
1.875%, 3/06/2026, (EUR)
     1,575,377  
  1,400,000      Engie S.A.,
1.250%, 10/24/2041, (EUR)
     1,591,142  
  500,000      Holding d’Infrastructures de Transport SASU, EMTN,
0.625%, 3/27/2023, (EUR)
     573,141  
  500,000      Holding d’Infrastructures de Transport SASU, EMTN,
1.625%, 11/27/2027, (EUR)
     595,112  
  1,015,000      Societe Generale S.A.,
4.750%, 11/24/2025, 144A
     1,102,544  
  230,000      SPCM S.A.,
3.125%, 3/15/2027, 144A
     227,281  
  215,000      SPCM S.A.,
3.375%, 3/15/2030, 144A
     206,937  
     

 

 

 
        13,050,349  
     

 

 

 


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Germany – 0.2%

 

  $      1,165,000      BMW U.S. Capital LLC,
3.150%, 4/18/2024, 144A(b)
   $ 1,216,531  
  1,395,000      BMW U.S. Capital LLC,
4.150%, 4/09/2030, 144A(b)
     1,579,569  
  2,255,000      Deutsche Bank AG, (fixed rate to 10/14/2030, variable rate thereafter),
3.729%, 1/14/2032
     2,305,331  
  220,000      Deutsche Bank AG, (fixed rate to 5/28/2031, variable rate thereafter),
3.035%, 5/28/2032
             221,680  
  3,220,000      Fraport AG Frankfurt Airport Services Worldwide,
1.875%, 3/31/2028, (EUR)
     3,771,256  
  3,790,000      Kreditanstalt fuer Wiederaufbau, EMTN,
1.250%, 8/28/2023, (NOK)
     429,448  
  1,450,000      Siemens Financieringsmaatschappij NV,
2.350%, 10/15/2026, 144A(b)
     1,491,787  
  490,000      Volkswagen Group of America Finance LLC,
1.625%, 11/24/2027, 144A
     475,229  
  420,000      Volkswagen Group of America Finance LLC,
3.350%, 5/13/2025, 144A
     441,882  
     

 

 

 
        11,932,713  
     

 

 

 
   Hong Kong – 0.1%

 

  355,000      AIA Group Ltd.,
3.200%, 3/11/2025, 144A
     370,835  
  1,405,000      AIA Group Ltd.,
3.600%, 4/09/2029(b)
     1,533,146  
  1,135,000      AIA Group Ltd.,
3.900%, 4/06/2028, 144A(b)
     1,252,396  
     

 

 

 
        3,156,377  
     

 

 

 
   India – 0.3%

 

  1,195,000      Adani Ports & Special Economic Zone Ltd.,
3.100%, 2/02/2031, 144A
     1,137,963  
  2,480,000      Adani Ports & Special Economic Zone Ltd.,
4.200%, 8/04/2027
     2,573,288  
  2,940,000      Bharti Airtel Ltd.,
3.250%, 6/03/2031
     2,972,626  
  2,790,000      Export-Import Bank of India,
2.250%, 1/13/2031, 144A
     2,622,524  
  1,230,000      ICICI Bank Ltd., EMTN,
3.250%, 9/09/2022
     1,242,670  
  1,250,000      Power Finance Corp. Ltd.,
3.950%, 4/23/2030, 144A
     1,288,100  
  2,420,000      Shriram Transport Finance Co. Ltd.,
4.400%, 3/13/2024
     2,450,250  
     

 

 

 
        14,287,421  
     

 

 

 
   Indonesia – 0.2%

 

  300,000      Indonesia Government International Bond,
4.125%, 1/15/2025, 144A
     323,298  
  735,000      Indonesia Government International Bond,
4.750%, 1/08/2026
     820,411  


Principal
Amount (‡)

 

    

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Indonesia – continued

 

  50,092,000,000      Indonesia Treasury Bond, Series FR75,
7.500%, 5/15/2038, (IDR)
   $ 3,662,200  
  43,840,000,000      Indonesia Treasury Bond, Series FR82,
7.000%, 9/15/2030, (IDR)
     3,186,686  
  1,475,000      Republic of Indonesia,
2.850%, 2/14/2030
     1,538,587  
  525,000      Republic of Indonesia,
4.750%, 1/08/2026, 144A
             586,157  
     

 

 

 
        10,117,339  
     

 

 

 
   Ireland – 0.2%

 

  645,000      AerCap Ireland Capital DAC/AerCap Global Aviation Trust,
3.000%, 10/29/2028
     654,117  
  3,245,000      AerCap Ireland Capital DAC/AerCap Global Aviation Trust,
3.300%, 1/30/2032
     3,305,914  
  1,250,000      Bank of Ireland Group PLC,
4.500%, 11/25/2023, 144A
     1,322,614  
  3,710,000      Ireland Government Bond,
Zero Coupon, 0.029%, 10/18/2031, (EUR)(b)(c)
     4,118,694  
  375,000      Ireland Government Bond,
3.400%, 3/18/2024, (EUR)
     464,478  
     

 

 

 
        9,865,817  
     

 

 

 
   Israel – 0.6%

 

  10,950,000      State of Israel,
1.000%, 3/31/2030, (ILS)(b)
     3,515,982  
  2,750,000      Teva Pharmaceutical Finance Co. LLC,
6.150%, 2/01/2036
     2,882,825  
  4,140,000      Teva Pharmaceutical Finance Netherlands III BV,
3.150%, 10/01/2026
     3,891,600  
  20,256,000      Teva Pharmaceutical Finance Netherlands III BV,
4.100%, 10/01/2046
     17,116,320  
  4,475,000      Teva Pharmaceutical Finance Netherlands III BV,
4.750%, 5/09/2027
     4,434,143  
  510,000      Teva Pharmaceutical Finance Netherlands III BV,
5.125%, 5/09/2029
     499,958  
     

 

 

 
        32,340,828  
     

 

 

 
   Italy – 0.5%

 

  175,000      Assicurazioni Generali SpA, EMTN, (fixed rate to 10/27/2027, variable rate thereafter),
5.500%, 10/27/2047, (EUR)
     241,726  
  200,000      Intesa Sanpaolo SpA,
5.710%, 1/15/2026, 144A
     221,207  
  530,000      Intesa Sanpaolo SpA, EMTN,
3.928%, 9/15/2026, (EUR)
     664,455  
  6,965,000      Italy Buoni Poliennali Del Tesoro,
1.350%, 4/01/2030, (EUR)
     8,193,168  
  3,305,000      Italy Buoni Poliennali Del Tesoro,
2.000%, 2/01/2028, (EUR)
     4,074,665  
  4,255,000      Italy Buoni Poliennali Del Tesoro,
5.000%, 3/01/2022, (EUR)
     4,887,479  


Principal
Amount (‡)

 

   

Description

   Value (†)

 

 
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
 

Italy – continued

 

$ 1,975,000     Italy Government International Bond,
2.375%, 10/17/2024
   $ 2,023,203  
  3,335,000     Republic of Italy,
2.500%, 11/15/2025, (EUR)
     4,127,226  
  630,000     UniCredit SpA, (fixed rate to 4/02/2029, variable rate thereafter),
7.296%, 4/02/2034, 144A
     754,759  
  635,000     UniCredit SpA, (fixed rate to 6/19/2027, variable rate thereafter),
5.861%, 6/19/2032, 144A
             694,569  
    

 

 

 
       25,882,457  
    

 

 

 
  Japan – 0.8%

 

  993,396,600 (†††)    Japan Government CPI Linked Bond, Series 23,
0.100%, 3/10/2028, (JPY)(b)
     8,939,767  
  2,020,350,000     Japan Government Thirty Year Bond, Series 62,
0.500%, 3/20/2049, (JPY)(b)
     16,884,667  
  3,000,000     Mitsubishi UFJ Financial Group, Inc., (fixed rate to 10/13/2026, variable rate thereafter),
1.640%, 10/13/2027(b)
     2,960,801  
  2,020,000     Mizuho Financial Group, Inc.,
2.564%, 9/13/2031(b)
     1,968,782  
  2,000,000     Mizuho Financial Group, Inc., (fixed rate to 7/10/2023, variable rate thereafter),
1.241%, 7/10/2024(b)
     2,004,843  
  2,000,000     Nomura Holdings, Inc.,
1.851%, 7/16/2025
     1,998,703  
  3,050,000     Sumitomo Mitsui Financial Group, Inc.,
1.402%, 9/17/2026(b)
     2,976,976  
  1,445,000     Sumitomo Mitsui Financial Group, Inc.,
3.040%, 7/16/2029(b)
     1,506,046  
  2,790,000     Toyota Motor Corp.,
2.362%, 3/25/2031(b)
     2,874,732  
    

 

 

 
       42,115,317  
    

 

 

 
  Korea – 0.9%

 

  765,000     Export-Import Bank of Korea,
3.000%, 11/01/2022
     779,137  
  160,900,000     Export-Import Bank of Korea, MTN,
6.750%, 8/09/2022, (INR)(b)
     2,180,325  
  636,300,000     Export-Import Bank of Korea, MTN,
6.900%, 2/07/2023, (INR)(b)(d)(e)
     8,686,337  
  1,100,000     Hyundai Capital Services, Inc.,
3.750%, 3/05/2023, 144A
     1,132,018  
  1,650,000     Kia Corp.,
1.750%, 10/16/2026, 144A
     1,633,500  
  1,575,000     Kia Corp.,
3.000%, 4/25/2023, 144A
     1,614,879  
  2,720,000     Kookmin Bank,
1.375%, 5/06/2026, 144A(b)
     2,688,883  
  1,515,000     Korea East-West Power Co. Ltd.,
1.750%, 5/06/2025, 144A(b)
     1,525,729  
  910,000     Korea Gas Corp.,
2.750%, 7/20/2022, 144A(b)
     919,701  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
  

Korea – continued

 

$ 670,000      KT Corp.,
2.500%, 7/18/2026, 144A
   $ 691,978  
  1,180,000      LG Chem Ltd.,
3.250%, 10/15/2024, 144A
     1,241,549  
  4,500,000,000      Republic of Korea,
0.875%, 12/10/2023, (KRW)(b)
     3,729,542  
  4,500,000,000      Republic of Korea,
1.125%, 9/10/2025, (KRW)(b)
     3,678,685  
  13,130,550,000      Republic of Korea,
1.500%, 12/10/2030, (KRW)(b)
     10,367,408  
  1,440,000,000      Republic of Korea, Series 2209,
2.000%, 9/10/2022, (KRW)(b)
     1,216,702  
  770,000      Shinhan Bank Co. Ltd.,
3.875%, 3/24/2026, 144A
             822,642  
  2,765,000      SK Hynix, Inc.,
2.375%, 1/19/2031, 144A
     2,660,935  
  140,000      SK Telecom Co. Ltd.,
6.625%, 7/20/2027, 144A
     173,838  
     

 

 

 
        45,743,788  
     

 

 

 
   Luxembourg – 0.0%

 

  920,000      ArcelorMittal S.A.,
6.750%, 3/01/2041
     1,242,092  
     

 

 

 
   Malaysia – 0.1%

 

  28,570,000      Malaysia Government Bond,
3.480%, 3/15/2023, (MYR)(b)
     6,962,203  
     

 

 

 
   Mexico – 1.0%

 

  620,000      Alfa SAB de CV,
6.875%, 3/25/2044
     804,450  
  770,000      America Movil SAB de CV,
2.125%, 3/10/2028, (EUR)
     956,325  
  860,000      America Movil SAB de CV,
2.875%, 5/07/2030
     892,043  
  10,000,000      America Movil SAB de CV,
6.450%, 12/05/2022, (MXN)
     485,751  
  730,000      Banco Santander Mexico S.A. Institucion de Banca Multiple Grupo Financiero Santander,
5.375%, 4/17/2025, 144A
     796,620  
  1,905,000      Cemex SAB de CV,
3.875%, 7/11/2031, 144A
     1,898,009  
  855,000      Cemex SAB de CV,
5.450%, 11/19/2029
     915,919  
  400,000      Cemex SAB de CV,
7.375%, 6/05/2027, 144A
     440,404  
  1,775,000      Coca-Cola Femsa SAB de CV,
2.750%, 1/22/2030(b)
     1,815,399  
  1,205,000      Comision Federal de Electricidad,
4.750%, 2/23/2027
     1,333,043  
  800,000      Gruma SAB de CV,
4.875%, 12/01/2024
     869,008  


Principal
Amount (‡)
   

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
 

Mexico – continued

 

  10,000,000     Grupo Televisa SAB, EMTN,
7.250%, 5/14/2043, (MXN)
   $ 339,948  
  840,000     Kimberly-Clark de Mexico SAB de CV,
2.431%, 7/01/2031, 144A
     830,096  
  1,707,184 (††††)    Mexican Fixed Rate Bonds, Series M,
5.750%, 3/05/2026, (MXN)
     7,859,191  
  1,294,043 (††††)    Mexican Fixed Rate Bonds, Series M 20,
8.500%, 5/31/2029, (MXN)
     6,692,330  
  637,836 (††††)    Mexican Fixed Rate Bonds, Series M 30,
8.500%, 11/18/2038, (MXN)
     3,277,883  
  724,558 (††††)    Mexican Fixed Rate Bonds, Series M-20,
7.500%, 6/03/2027, (MXN)
     3,547,965  
  2,665,000     Mexico Government International Bond,
3.250%, 4/16/2030
     2,728,640  
  196,000     Mexico Government International Bond,
4.000%, 3/15/2115, (EUR)
             239,235  
  1,850,000     Orbia Advance Corp. SAB de CV,
1.875%, 5/11/2026, 144A
     1,819,845  
  1,240,000     Orbia Advance Corp. SAB de CV,
4.000%, 10/04/2027
     1,325,572  
  3,505,000     Petroleos Mexicanos,
5.950%, 1/28/2031
     3,405,896  
  100,000     Sigma Alimentos S.A. de CV,
2.625%, 2/07/2024, 144A, (EUR)
     118,200  
  835,000     Sigma Alimentos S.A. de CV,
4.125%, 5/02/2026
     885,255  
  2,090,000     Sigma Finance Netherlands BV,
4.875%, 3/27/2028
     2,325,125  
  1,010,000     Unifin Financiera SAB de CV,
7.250%, 9/27/2023
     924,079  
  2,195,000     Unifin Financiera SAB de CV,
9.875%, 1/28/2029
     1,849,309  
    

 

 

 
       49,375,540  
    

 

 

 
  Netherlands – 0.1%

 

  870,000     Cooperatieve Rabobank U.A.,
4.375%, 8/04/2025
     943,924  
  1,725,000     ING Groep NV, (fixed rate to 7/01/2025, variable rate thereafter),
1.400%, 7/01/2026, 144A(b)
     1,706,767  
    

 

 

 
       2,650,691  
    

 

 

 
  New Zealand – 0.4%

 

  3,495,000     ANZ New Zealand International Ltd.,
1.250%, 6/22/2026, 144A(b)
     3,436,056  
  2,200,000     Bank of New Zealand,
1.000%, 3/03/2026, 144A(b)
     2,139,932  
  5,000,000     Fonterra Co-operative Group Ltd., MTN,
5.500%, 2/26/2024, (AUD)(b)
     3,965,218  
  10,700,000     New Zealand Government Bond,
0.500%, 5/15/2024, (NZD)(b)
     7,083,295  
  6,310,000     New Zealand Government Bond,
1.500%, 5/15/2031, (NZD)(b)
     4,027,886  


Principal
Amount (‡)
  

Description

   Value (†)  

Bonds and Notes – continued

 

Non-Convertible Bonds – continued

 
  

New Zealand – continued

 

3,575,000    New Zealand Government Bond,
3.000%, 4/20/2029, (NZD)(b)
   $ 2,564,553  
     

 

 

 
        23,216,940  
     

 

 

 
   Nigeria – 0.0%

 

1,975,000    Nigeria Government International Bond,
6.125%, 9/28/2028, 144A
     1,906,922  
     

 

 

 
   Norway – 0.3%

 

3,660,000    DNB Bank ASA, (fixed rate to 5/25/2026, variable rate thereafter),
1.535%, 5/25/2027, 144A(b)
     3,607,997  
2,790,000    Equinor ASA,
3.625%, 4/06/2040(b)
     3,099,624  
16,500,000    Norway Government Bond, Series 478,
1.500%, 2/19/2026, 144A, (NOK)(b)
     1,865,742  
46,500,000    Norway Government Bond, Series 482,
1.375%, 8/19/2030, 144A, (NOK)(b)
     5,144,302  
     

 

 

 
        13,717,665  
     

 

 

 
   Panama – 0.0%

 

1,485,000    Cable Onda S.A.,
4.500%, 1/30/2030, 144A
     1,524,798  
     

 

 

 
   Paraguay – 0.0%

 

1,420,000    Paraguay Government International Bond,
4.950%, 4/28/2031, 144A
     1,593,950  
800,000    Republic of Paraguay,
5.000%, 4/15/2026, 144A
             887,000  
     

 

 

 
        2,480,950  
     

 

 

 
   Peru – 0.2%

 

3,220,000    Corp. Financiera de Desarrollo S.A.,
2.400%, 9/28/2027, 144A
     3,130,967  
2,005,000    Peruvian Government International Bond,
2.392%, 1/23/2026
     2,035,095  
2,455,000    Peruvian Government International Bond,
3.000%, 1/15/2034
     2,445,180  
1,050,000    Transportadora de Gas del Peru S.A.,
4.250%, 4/30/2028, 144A
     1,111,698  
     

 

 

 
        8,722,940  
     

 

 

 
   Philippines – 0.0%

 

1,060,000    Philippine Government International Bond,
2.457%, 5/05/2030
     1,092,828  
     

 

 

 
   Poland – 0.2%

 

26,400,000    Republic of Poland Government Bond,
1.250%, 10/25/2030, (PLN)(b)
     5,397,253  
12,970,000    Republic of Poland Government Bond,
3.250%, 7/25/2025, (PLN)(b)
     3,161,641  
     

 

 

 
        8,558,894  
     

 

 

 


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
  

Portugal – 0.1%

 

$ 3,590,000      EDP Finance BV,
1.710%, 1/24/2028, 144A
   $ 3,494,183  
     

 

 

 
   Qatar – 0.1%

 

  1,770,000      Ooredoo International Finance Ltd.,
2.625%, 4/08/2031, 144A(b)
     1,776,637  
  1,600,000      Qatar Energy,
2.250%, 7/12/2031, 144A(b)
     1,584,909  
     

 

 

 
        3,361,546  
     

 

 

 
   Romania – 0.1%

 

  29,970,000      Romania Government Bond,
4.150%, 10/24/2030, (RON)
     6,374,429  
  1,100,000      Romania Government International Bond,
2.000%, 4/14/2033, 144A, (EUR)
     1,140,036  
     

 

 

 
        7,514,465  
     

 

 

 
   Singapore – 0.3%

 

  785,000      BOC Aviation Ltd.,
2.750%, 9/18/2022, 144A
             791,022  
  1,450,000      BOC Aviation Ltd.,
3.250%, 4/29/2025, 144A
     1,505,621  
  860,000      BOC Aviation USA Corp.,
1.625%, 4/29/2024, 144A
     858,700  
  345,000      DBS Group Holdings Ltd., (fixed rate to 12/11/2023, variable rate thereafter),
4.520%, 12/11/2028, 144A
     364,475  
  4,510,000      Republic of Singapore,
2.750%, 7/01/2023, (SGD)(b)
     3,447,648  
  10,055,000      Singapore Government Bond,
2.125%, 6/01/2026, (SGD)(b)
     7,725,896  
     

 

 

 
        14,693,362  
     

 

 

 
   South Africa – 0.4%

 

  1,400,000      Anglo American Capital PLC,
2.625%, 9/10/2030, 144A
     1,372,784  
  1,400,000      Anglo American Capital PLC,
5.625%, 4/01/2030, 144A
     1,658,786  
  1,420,000      MTN (Mauritius) Investments Ltd.,
4.755%, 11/11/2024
     1,481,770  
  930,000      MTN (Mauritius) Investments Ltd.,
4.755%, 11/11/2024, 144A
     970,455  
  116,835,000      Republic of South Africa, Series 2035,
8.875%, 2/28/2035, (ZAR)
     6,572,290  
  39,185,000      Republic of South Africa, Series R213,
7.000%, 2/28/2031, (ZAR)
     2,067,017  
  7,585,000      South Africa Government International Bond,
5.750%, 9/30/2049
     7,289,185  
     

 

 

 
        21,412,287  
     

 

 

 
   Spain – 0.4%

 

  2,300,000      Banco Bilbao Vizcaya Argentaria S.A., GMTN,
0.750%, 9/11/2022, (EUR)
     2,638,979  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Spain – continued

 

$ 400,000      Banco Santander S.A.,
3.125%, 2/23/2023
   $ 409,411  
  2,000,000      Banco Santander S.A., (fixed rate to 9/14/2026, variable rate thereafter),
1.722%, 9/14/2027
     1,963,606  
  600,000      CaixaBank S.A., (fixed rate to 4/17/2025, variable rate thereafter), EMTN,
2.250%, 4/17/2030, (EUR)
     709,213  
  500,000      CaixaBank S.A., (fixed rate to 7/14/2023, variable rate thereafter), EMTN,
2.750%, 7/14/2028, (EUR)
     587,739  
  3,700,000      Cellnex Telecom S.A., EMTN,
1.750%, 10/23/2030, (EUR)
     4,046,638  
  270,000      Grifols Escrow Issuer S.A.,
4.750%, 10/15/2028, 144A
     275,460  
  700,000      Naturgy Finance BV, EMTN,
1.500%, 1/29/2028, (EUR)
     850,245  
  430,000      Spain Government Bond,
1.600%, 4/30/2025, 144A, (EUR)
             521,427  
  2,525,000      Spain Government Bond,
1.950%, 7/30/2030, 144A, (EUR)
     3,255,553  
  2,565,000      Spain Government Bond,
4.400%, 10/31/2023, 144A, (EUR)
     3,186,216  
     

 

 

 
        18,444,487  
     

 

 

 
   Supranationals – 0.3%

 

  1,495,000      Corporacion Andina de Fomento,
2.375%, 5/12/2023(b)
     1,522,670  
  1,115,000      Corporacion Andina de Fomento,
4.375%, 6/15/2022(b)
     1,133,690  
  3,360,000      European Investment Bank,
1.750%, 7/30/2024, 144A, (CAD)(b)
     2,688,027  
  2,560,000      International Bank for Reconstruction & Development,
0.250%, 12/23/2022, (SEK)
     283,695  
  10,030,000      International Bank for Reconstruction & Development,
1.200%, 7/22/2026, (CAD)(b)
     7,804,362  
  16,750,000      Nordic Investment Bank, EMTN,
1.500%, 3/13/2025, (NOK)(b)
     1,890,962  
     

 

 

 
        15,323,406  
     

 

 

 
   Sweden – 0.1%

 

  1,675,000      Svenska Handelsbanken AB,
0.625%, 6/30/2023, 144A(b)
     1,670,148  
  38,000,000      Sweden Government Bond,
0.125%, 5/12/2031, 144A, (SEK)(b)
     4,141,039  
     

 

 

 
        5,811,187  
     

 

 

 
   Switzerland – 0.1%

 

  930,000      Credit Suisse AG,
2.950%, 4/09/2025
     973,462  
  3,855,000      Credit Suisse Group AG, (fixed rate to 5/14/2031, variable rate thereafter),
3.091%, 5/14/2032, 144A(b)
     3,922,662  
  1,375,000      Novartis Capital Corp.,
2.000%, 2/14/2027(b)
     1,397,009  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   Switzerland – continued

 

$ 340,000      Willow No. 2 (Ireland) PLC for Zurich Insurance Co. Ltd., EMTN, (fixed rate to 10/01/2025, variable rate thereafter),
4.250%, 10/01/2045
   $ 357,595  
     

 

 

 
        6,650,728  
     

 

 

 
   Taiwan – 0.0%

 

  1,925,000      TSMC Arizona Corp.,
2.500%, 10/25/2031(b)
     1,949,490  
     

 

 

 
   Tanzania – 0.1%

 

  2,990,000      AngloGold Ashanti Holdings PLC,
3.375%, 11/01/2028
     2,960,065  
  985,000      HTA Group Ltd.,
7.000%, 12/18/2025, 144A
     1,025,385  
     

 

 

 
        3,985,450  
     

 

 

 
   Thailand – 0.1%

 

  1,570,000      Kasikornbank PCL, EMTN,
3.256%, 7/12/2023
     1,618,548  
  950,000      Thaioil Treasury Center Co. Ltd.,
3.625%, 1/23/2023, 144A
             967,946  
     

 

 

 
        2,586,494  
     

 

 

 
   Trinidad – 0.0%

 

  415,000      Trinidad Generation Unlimited,
5.250%, 11/04/2027, 144A
     421,229  
     

 

 

 
   Turkey – 0.3%

 

  2,045,000      Aydem Yenilenebilir Enerji A/S,
7.750%, 2/02/2027, 144A
     1,650,601  
  2,250,000      TC Ziraat Bankasi A/S,
5.375%, 3/02/2026, 144A
     2,029,761  
  2,830,000      Turk Telekomunikasyon AS,
6.875%, 2/28/2025
     2,864,752  
  525,000      Turk Telekomunikasyon AS,
6.875%, 2/28/2025, 144A
     531,447  
  2,875,000      Turkcell Iletisim Hizmetleri AS,
5.800%, 4/11/2028
     2,745,625  
  6,970,000      Turkey Government International Bond,
5.250%, 3/13/2030
     5,989,377  
  1,345,000      Turkey Government International Bond,
7.625%, 4/26/2029
     1,343,346  
     

 

 

 
        17,154,909  
     

 

 

 
   United Arab Emirates – 0.1%

 

  1,610,000      Abu Dhabi Crude Oil Pipeline LLC,
3.650%, 11/02/2029(b)
     1,771,000  
  1,295,000      Abu Dhabi Government International Bond,
3.125%, 4/16/2030, 144A(b)
     1,402,161  
     

 

 

 
        3,173,161  
     

 

 

 


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United Kingdom – 0.2%

 

$ 95,000      Avon Products, Inc.,
8.450%, 3/15/2043
   $ 116,850  
  1,350,000      CK Hutchison International 19 Ltd.,
3.625%, 4/11/2029, 144A(b)
     1,476,728  
  1,420,000      Diageo Capital PLC,
2.125%, 4/29/2032
     1,408,438  
  635,000      Lloyds Banking Group PLC,
4.050%, 8/16/2023
     665,291  
  1,125,000      Lloyds Banking Group PLC, (fixed rate to 7/09/2024, variable rate thereafter),
3.870%, 7/09/2025(b)
     1,188,425  
  1,395,000      Nationwide Building Society, (fixed rate to 7/18/2029, variable rate thereafter),
3.960%, 7/18/2030, 144A(b)
     1,532,603  
  1,190,000      NatWest Markets PLC,
0.800%, 8/12/2024, 144A(b)
     1,170,328  
  235,000      Network Rail Infrastructure Finance PLC, EMTN,
4.750%, 1/22/2024, (GBP)
     342,688  
  1,455,000      Standard Chartered PLC, (fixed rate to 11/18/2030, variable rate thereafter),
3.265%, 2/18/2036, 144A
     1,435,692  
  250,000      Standard Chartered PLC, EMTN,
3.125%, 11/19/2024, (EUR)
             307,087  
  1,035,000      United Kingdom Gilt,
2.750%, 9/07/2024, (GBP)(b)
     1,476,713  
  1,660,000      Vodafone Group PLC,
4.375%, 5/30/2028
     1,867,808  
     

 

 

 
        12,988,651  
     

 

 

 
   United States – 10.8%

 

  165,000      AES Corp. (The),
3.950%, 7/15/2030, 144A
     175,791  
  315,000      Aircastle Ltd., (fixed rate to 6/15/2026, variable rate thereafter),
5.250%, 144A(f)
     321,300  
  480,000      Allison Transmission, Inc.,
4.750%, 10/01/2027, 144A
     499,920  
  1,145,000      Ally Financial, Inc., Series B, (fixed rate to 5/15/2026, variable rate thereafter),
4.700%(f)
     1,187,937  
  965,000      Ally Financial, Inc., Series C, (fixed rate to 5/15/2028, variable rate thereafter),
4.700%(f)
     994,722  
  435,000      AMC Networks, Inc.,
4.250%, 2/15/2029
     432,281  
  70,000      American Airlines Group, Inc.,
3.750%, 3/01/2025, 144A
     65,450  
  1,416,756      American Airlines Pass Through Trust, Series 2016-1, Class B,
5.250%, 7/15/2025
     1,400,931  
  1,131,315      American Airlines Pass Through Trust, Series 2016-3, Class B,
3.750%, 4/15/2027
     1,069,806  
  336,330      American Airlines Pass Through Trust, Series 2017-1B, Class B,
4.950%, 8/15/2026
     335,052  
  407,061      American Airlines Pass Through Trust, Series 2017-2, Class B,
3.700%, 4/15/2027
     392,528  
  1,430,000      American Airlines, Inc.,
11.750%, 7/15/2025, 144A
     1,764,262  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 220,000      American Airlines, Inc./AAdvantage Loyalty IP Ltd.,
5.500%, 4/20/2026, 144A
   $ 228,773  
  255,000      American Airlines, Inc./AAdvantage Loyalty IP Ltd.,
5.750%, 4/20/2029, 144A
     272,524  
  3,975,000      Apple, Inc., Series MPLE,
2.513%, 8/19/2024, (CAD)(b)
     3,218,620  
  260,000      Aptiv PLC,
1.600%, 9/15/2028, (EUR)
     313,679  
  2,630,000      Ares Capital Corp.,
3.200%, 11/15/2031
     2,585,769  
  1,300,000      Ashland LLC,
3.375%, 9/01/2031, 144A
     1,290,250  
  945,000      Athene Global Funding,
1.608%, 6/29/2026, 144A
     927,582  
  980,000      Avantor Funding, Inc.,
3.875%, 11/01/2029, 144A
     990,692  
  2,865,000      Bank of America Corp., (fixed rate to 9/15/2026, variable rate thereafter),
1.978%, 9/15/2027, (CAD)(b)
     2,238,707  
  2,345,000      Bank of America Corp., MTN, (fixed rate to 6/14/2023, variable rate thereafter),
0.523%, 6/14/2024
     2,329,438  
  675,000      Barings BDC, Inc.,
3.300%, 11/23/2026, 144A
             667,596  
  3,205,000      Bausch Health Cos., Inc.,
5.000%, 1/30/2028, 144A
     2,948,600  
  640,000      Bausch Health Cos., Inc.,
5.250%, 1/30/2030, 144A
     563,200  
  1,860,000      Bausch Health Cos., Inc.,
5.250%, 2/15/2031, 144A
     1,634,475  
  1,140,000      Beazer Homes USA, Inc.,
7.250%, 10/15/2029
     1,270,758  
  500,000      Block, Inc.,
3.500%, 6/01/2031, 144A
     512,500  
  2,240,000      Boeing Co. (The),
2.196%, 2/04/2026
     2,239,466  
  140,000      Boeing Co. (The),
3.100%, 5/01/2026
     145,876  
  25,000      Boeing Co. (The),
3.250%, 2/01/2035
     25,191  
  165,000      Boeing Co. (The),
3.550%, 3/01/2038
     167,792  
  25,000      Boeing Co. (The),
3.625%, 3/01/2048
     24,757  
  90,000      Boeing Co. (The),
3.750%, 2/01/2050
     93,259  
  635,000      Boeing Co. (The),
3.850%, 11/01/2048
     659,058  
  640,000      Boeing Co. (The),
3.950%, 8/01/2059
     664,774  
  875,000      BPR Trust, Series 2021-NRD, Class F,
30-day Average SOFR + 6.870%, 6.970%, 12/15/2023, 144A(g)
     872,823  
  690,000      Broadcom, Inc.,
3.187%, 11/15/2036, 144A
     688,798  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 6,085,000      Carnival Corp.,
5.750%, 3/01/2027, 144A
   $ 6,085,000  
  2,125,000      Carnival Corp.,
6.000%, 5/01/2029, 144A
     2,114,375  
  1,720,000      Carvana Co.,
5.500%, 4/15/2027, 144A
     1,702,800  
  260,000      Catalent Pharma Solutions, Inc.,
3.125%, 2/15/2029, 144A
     256,464  
  12,500,000      CCO Holdings LLC/CCO Holdings Capital Corp.,
4.250%, 2/01/2031, 144A
     12,633,250  
  3,810,000      CCO Holdings LLC/CCO Holdings Capital Corp.,
4.250%, 1/15/2034, 144A
     3,748,383  
  2,510,000      Centene Corp.,
2.500%, 3/01/2031
     2,443,523  
  160,000      Centene Corp.,
2.625%, 8/01/2031
     156,800  
  975,000      Centene Corp.,
3.000%, 10/15/2030
     991,097  
  165,000      Charles River Laboratories International, Inc.,
3.750%, 3/15/2029, 144A
     166,650  
  175,000      Charles River Laboratories International, Inc.,
4.000%, 3/15/2031, 144A
             179,307  
  1,085,000      Charter Communications Operating LLC/Charter Communications Operating Capital Corp.,
3.950%, 6/30/2062
     1,045,267  
  6,835,000      Charter Communications Operating LLC/Charter Communications Operating Capital Corp.,
4.400%, 12/01/2061
     7,070,856  
  1,240,000      Clear Channel Worldwide Holdings, Inc.,
5.125%, 8/15/2027, 144A
     1,283,102  
  5,315,000      CommScope Technologies LLC,
5.000%, 3/15/2027, 144A
     4,969,525  
  7,265,000      CommScope, Inc.,
4.750%, 9/01/2029, 144A
     7,220,030  
  200,000      Continental Resources, Inc.,
2.875%, 4/01/2032, 144A
     195,651  
  95,000      Continental Resources, Inc.,
3.800%, 6/01/2024
     99,129  
  920,000      Continental Resources, Inc.,
5.750%, 1/15/2031, 144A
     1,083,410  
  11,285,000      CSC Holdings LLC,
4.625%, 12/01/2030, 144A
     10,678,431  
  1,845,000      CSC Holdings LLC,
5.000%, 11/15/2031, 144A
     1,778,119  
  595,000      CSC Holdings LLC,
5.375%, 2/01/2028, 144A
     616,045  
  495,000      CSC Holdings LLC,
5.750%, 1/15/2030, 144A
     493,144  
  490,000      Dana, Inc.,
5.375%, 11/15/2027
     513,861  
  2,235,000      DCP Midstream Operating LP,
3.250%, 2/15/2032
     2,251,762  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 380,000      DCP Midstream Operating LP,
5.125%, 5/15/2029
   $ 429,400  
  940,000      DH Europe Finance II S.a.r.l.,
0.750%, 9/18/2031, (EUR)
     1,064,346  
  50,000      Dillard’s, Inc.,
7.000%, 12/01/2028
     58,303  
  8,000      Dillard’s, Inc.,
7.750%, 7/15/2026
     9,344  
  355,000      DIRECTV Financing LLC/DIRECTV Financing Co-Obligor, Inc.,
5.875%, 8/15/2027, 144A
             363,417  
  705,000      DISH DBS Corp.,
5.125%, 6/01/2029
     641,550  
  2,260,000      DISH DBS Corp.,
5.250%, 12/01/2026, 144A
     2,295,674  
  3,035,000      DISH DBS Corp.,
5.875%, 11/15/2024
     3,117,734  
  1,960,000      DISH DBS Corp.,
7.750%, 7/01/2026
     2,067,800  
  310,000      DR Horton, Inc.,
4.375%, 9/15/2022
     314,992  
  160,000      Edison International,
4.950%, 4/15/2025
     174,010  
  235,000      Enbridge Energy Partners LP,
7.375%, 10/15/2045
     366,467  
  575,000      EnLink Midstream Partners LP,
5.450%, 6/01/2047
     580,115  
  280,000      EPR Properties,
3.600%, 11/15/2031
     277,016  
  70,000      EQT Corp.,
3.125%, 5/15/2026, 144A
     71,857  
  1,555,000      EQT Corp.,
3.625%, 5/15/2031, 144A
     1,613,312  
  515,000      EQT Corp.,
3.900%, 10/01/2027
     552,348  
  360,000      EQT Corp.,
5.000%, 1/15/2029
     398,700  
  115,000      Everi Holdings, Inc.,
5.000%, 7/15/2029, 144A
     116,150  
  3,780,000      Expedia Group, Inc.,
2.950%, 3/15/2031
     3,774,632  
  575,000      Ford Motor Co.,
3.250%, 2/12/2032
     588,800  
  2,105,000      Ford Motor Co.,
6.625%, 10/01/2028
     2,531,262  
  2,710,000      Freeport-McMoRan, Inc.,
4.375%, 8/01/2028
     2,842,112  
  6,640,000      Freeport-McMoRan, Inc.,
5.400%, 11/14/2034
     8,084,200  
  3,005,000      Freeport-McMoRan, Inc.,
5.450%, 3/15/2043
     3,777,555  
  2,710,000      General Motors Co.,
5.200%, 4/01/2045
     3,352,956  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 405,000      General Motors Co.,
6.250%, 10/02/2043
   $ 554,218  
  100,000      General Motors Financial Co., Inc., EMTN,
0.955%, 9/07/2023, (EUR)
     115,596  
  635,000      General Motors Financial Co., Inc., EMTN,
2.250%, 9/06/2024, (GBP)
     869,089  
  770,000      General Motors Financial of Canada Ltd., Series 5,
3.250%, 11/07/2023, (CAD)
     624,924  
  315,000      Georgia-Pacific LLC,
8.875%, 5/15/2031
             486,821  
  460,000      GLP Capital LP/GLP Financing II, Inc.,
3.250%, 1/15/2032
     462,479  
  855,000      Go Daddy Operating Co. LLC/GD Finance Co., Inc.,
3.500%, 3/01/2029, 144A
     848,455  
  2,340,000      Goldman Sachs Group, Inc. (The), (fixed rate to 9/10/2023, variable rate thereafter),
0.657%, 9/10/2024
     2,321,795  
  975,000      Goodyear Tire & Rubber Co. (The),
7.000%, 3/15/2028
     1,116,043  
  830,000      HCA, Inc.,
3.500%, 9/01/2030
     877,206  
  20,000      HCA, Inc.,
4.750%, 5/01/2023
     20,947  
  1,195,000      HCA, Inc.,
5.250%, 6/15/2049
     1,534,763  
  245,000      Hess Midstream Operations LP,
4.250%, 2/15/2030, 144A
     243,163  
  660,000      Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,
4.875%, 7/01/2031, 144A
     660,000  
  470,000      Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow,
5.000%, 6/01/2029, 144A
     481,750  
  3,065,000      Hyundai Capital America,
0.875%, 6/14/2024, 144A
     3,005,571  
  1,000,000      Hyundai Capital America,
2.650%, 2/10/2025
     1,024,799  
  835,000      Hyundai Capital America,
2.650%, 2/10/2025, 144A
     855,707  
  1,585,000      Hyundai Capital America,
2.750%, 9/27/2026, 144A
     1,618,612  
  1,395,000      Hyundai Capital America,
6.375%, 4/08/2030, 144A
     1,758,298  
  11,250,000      Icahn Enterprises LP/Icahn Enterprises Finance Corp.,
4.375%, 2/01/2029
     10,968,750  
  1,180,000      Icahn Enterprises LP/Icahn Enterprises Finance Corp.,
5.250%, 5/15/2027
     1,213,547  
  1,085,000      iHeartCommunications, Inc.,
4.750%, 1/15/2028, 144A
     1,100,320  
  620,000      iHeartCommunications, Inc.,
5.250%, 8/15/2027, 144A
     644,862  
  1,135,000      Iron Mountain, Inc.,
4.875%, 9/15/2029, 144A
     1,174,702  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 200,000      Jazz Securities DAC,
4.375%, 1/15/2029, 144A
   $ 207,088  
  795,000      JBS USA LUX S.A./JBS USA Food Co./JBS USA Finance, Inc.,
3.750%, 12/01/2031, 144A
             806,925  
  7,760,000      JELD-WEN, Inc.,
4.625%, 12/15/2025, 144A
     7,818,200  
  1,875,000      JELD-WEN, Inc.,
4.875%, 12/15/2027, 144A
     1,924,012  
  1,135,000      John Deere Capital Corp., MTN,
0.450%, 6/07/2024
     1,120,847  
  3,185,000      John Deere Financial, Inc.,
1.340%, 9/08/2027, (CAD)(b)
     2,419,135  
  2,435,000      Kraft Heinz Foods Co.,
4.375%, 6/01/2046
     2,857,692  
  1,970,000      Kraft Heinz Foods Co.,
5.500%, 6/01/2050
     2,667,155  
  760,000      Level 3 Financing, Inc.,
5.375%, 5/01/2025
     776,541  
  345,000      Lithia Motors, Inc.,
3.875%, 6/01/2029, 144A
     353,949  
  60,000      Lumen Technologies, Inc.,
5.625%, 4/01/2025
     63,463  
  870,000      Marriott Ownership Resorts, Inc.,
4.500%, 6/15/2029, 144A
     875,672  
  44,000      Masco Corp.,
6.500%, 8/15/2032
     58,184  
  615,000      Medtronic Global Holdings SCA,
1.125%, 3/07/2027, (EUR)
     730,194  
  2,355,000      Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd.,
6.500%, 6/20/2027, 144A
     2,513,962  
  1,025,000      Minerals Technologies, Inc.,
5.000%, 7/01/2028, 144A
     1,064,647  
  435,000      Molina Healthcare, Inc.,
3.875%, 5/15/2032, 144A
     437,719  
  25,000      MPLX LP,
4.500%, 7/15/2023
     26,026  
  95,000      MPLX LP,
4.875%, 6/01/2025
     103,955  
  490,000      MSCI, Inc.,
3.250%, 8/15/2033, 144A
     495,512  
  2,135,000      Nationstar Mortgage Holdings, Inc.,
5.500%, 8/15/2028, 144A
     2,177,700  
  4,605,000      Nationwide Mutual Insurance Co.,
4.350%, 4/30/2050, 144A
     5,274,509  
  1,370,000      Navient Corp.,
5.000%, 3/15/2027
     1,397,208  
  421,000      Navient Corp., MTN,
5.625%, 8/01/2033
     401,005  
  4,600,000      NCL Corp. Ltd.,
5.875%, 3/15/2026, 144A
     4,579,622  
  790,000      NCL Finance Ltd.,
6.125%, 3/15/2028, 144A
     778,150  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 835,000      Netflix, Inc.,
4.875%, 4/15/2028
   $ 951,900  
  2,250,000      Netflix, Inc.,
4.875%, 6/15/2030, 144A
     2,624,062  
  245,000      Netflix, Inc.,
5.375%, 11/15/2029, 144A
             290,938  
  20,000      NGPL PipeCo LLC,
7.768%, 12/15/2037, 144A
     28,001  
  475,000      Novelis Corp.,
4.750%, 1/30/2030, 144A
     499,344  
  775,000      NRG Energy, Inc.,
3.625%, 2/15/2031, 144A
     755,625  
  300,000      Occidental Petroleum Corp.,
4.500%, 7/15/2044
     308,898  
  2,355,000      Occidental Petroleum Corp.,
6.625%, 9/01/2030
     2,914,312  
  1,795,000      Occidental Petroleum Corp.,
8.875%, 7/15/2030
     2,420,845  
  420,000      Old Republic International Corp.,
4.875%, 10/01/2024
     457,391  
  1,170,000      OneMain Finance Corp.,
5.625%, 3/15/2023
     1,222,129  
  860,000      OneMain Finance Corp.,
6.875%, 3/15/2025
     956,750  
  2,310,000      OneMain Finance Corp.,
7.125%, 3/15/2026
     2,633,400  
  130,000      OneMain Finance Corp.,
8.250%, 10/01/2023
     143,163  
  740,000      Oracle Corp.,
3.950%, 3/25/2051
     768,199  
  750,000      Ovintiv, Inc.,
6.500%, 8/15/2034
     965,001  
  45,000      Ovintiv, Inc.,
6.500%, 2/01/2038
     58,383  
  230,000      Ovintiv, Inc.,
6.625%, 8/15/2037
     301,093  
  30,000      Ovintiv, Inc.,
7.200%, 11/01/2031
     39,096  
  65,000      Ovintiv, Inc.,
7.375%, 11/01/2031
     84,728  
  130,000      Ovintiv, Inc.,
8.125%, 9/15/2030
     172,867  
  8,630,000      Owl Rock Capital Corp.,
4.250%, 1/15/2026
     9,075,054  
  1,550,000      Owl Rock Technology Finance Corp.,
2.500%, 1/15/2027
     1,517,969  
  2,120,000      Owl Rock Technology Finance Corp.,
4.750%, 12/15/2025, 144A
     2,256,717  
  1,250,000      Pacific Gas & Electric Co.,
3.500%, 8/01/2050
     1,157,953  
  1,645,000      Pacific Gas & Electric Co.,
3.950%, 12/01/2047
     1,584,429  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 310,000      Penn National Gaming, Inc.,
4.125%, 7/01/2029, 144A
   $ 300,700  
  1,205,000      Pilgrim’s Pride Corp.,
3.500%, 3/01/2032, 144A
     1,221,906  
  70,000      Pilgrim’s Pride Corp.,
4.250%, 4/15/2031, 144A
     73,500  
  1,060,000      Post Holdings, Inc.,
4.500%, 9/15/2031, 144A
     1,052,050  
  2,165,000      Prologis Euro Finance LLC,
0.250%, 9/10/2027, (EUR)
     2,439,143  
  1,530,000      Prologis Euro Finance LLC,
0.375%, 2/06/2028, (EUR)
     1,733,456  
  365,000      Prologis LP,
2.250%, 6/30/2029, (GBP)
             518,170  
  890,000      Range Resources Corp.,
4.875%, 5/15/2025
     918,925  
  165,000      Range Resources Corp.,
5.000%, 3/15/2023
     168,713  
  1,100,000      Realty Income Corp., EMTN,
1.625%, 12/15/2030, (GBP)
     1,455,300  
  5,190,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
2.875%, 10/15/2026, 144A
     5,151,075  
  11,981,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
3.875%, 3/01/2031, 144A
     12,160,715  
  4,435,000      Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.,
4.000%, 10/15/2033, 144A
     4,492,123  
  6,794,000      Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer, Inc.,
3.625%, 3/01/2029, 144A
     6,819,477  
  2,175,000      Royal Caribbean Cruises Ltd.,
4.250%, 7/01/2026, 144A
     2,106,694  
  4,130,000      Royal Caribbean Cruises Ltd.,
5.500%, 4/01/2028, 144A
     4,177,743  
  810,000      Santander Holdings USA, Inc.,
3.450%, 6/02/2025
     849,804  
  1,450,000      SBA Communications Corp.,
3.125%, 2/01/2029, 144A
     1,392,000  
  1,020,000      Scientific Games International, Inc.,
7.000%, 5/15/2028, 144A
     1,086,300  
  525,000      Scientific Games International, Inc.,
7.250%, 11/15/2029, 144A
     585,375  
  435,000      Sensata Technologies BV,
4.000%, 4/15/2029, 144A
     444,244  
  140,000      Silgan Holdings, Inc.,
3.250%, 3/15/2025, (EUR)
     160,017  
  130,000      Skyworks Solutions, Inc.,
1.800%, 6/01/2026
     128,659  
  315,000      Southwestern Energy Co.,
4.750%, 2/01/2032
     331,728  
  2,785,000      Summit Materials LLC/Summit Materials Finance Corp.,
5.250%, 1/15/2029, 144A
     2,917,009  
  410,000      T-Mobile USA, Inc.,
2.400%, 3/15/2029, 144A
     413,969  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 735,000      T-Mobile USA, Inc.,
2.700%, 3/15/2032, 144A
   $ 739,529  
  6,900,000      T-Mobile USA, Inc.,
3.375%, 4/15/2029
     7,030,686  
  5,840,000      T-Mobile USA, Inc.,
3.500%, 4/15/2031
     6,075,819  
  2,805,000      T-Mobile USA, Inc.,
3.875%, 4/15/2030
     3,067,979  
  255,000      Tapestry, Inc.,
3.050%, 3/15/2032
     256,498  
  420,000      Terminix Co. LLC (The),
7.450%, 8/15/2027
             525,000  
  100,000      Thermo Fisher Scientific, Inc., EMTN,
1.500%, 10/01/2039, (EUR)
     114,852  
  245,000      Thermo Fisher Scientific, Inc., EMTN,
1.875%, 10/01/2049, (EUR)
     285,307  
  90,000      Time Warner Cable LLC,
4.500%, 9/15/2042
     98,119  
  85,000      Time Warner Cable LLC,
5.500%, 9/01/2041
     103,055  
  400,000      TopBuild Corp.,
4.125%, 2/15/2032, 144A
     410,500  
  1,635,000      Toyota Motor Credit Corp., MTN,
2.650%, 4/12/2022(b)
     1,645,282  
  635,000      TransDigm, Inc.,
5.500%, 11/15/2027
     654,050  
  50,000      TransDigm, Inc.,
7.500%, 3/15/2027
     52,250  
  2,615,000      TransDigm, Inc.,
8.000%, 12/15/2025, 144A
     2,758,747  
  11,330,000      Travel & Leisure Co.,
4.500%, 12/01/2029, 144A
     11,426,135  
  615,000      Travel & Leisure Co.,
4.625%, 3/01/2030, 144A
     618,075  
  75,000      Travel & Leisure Co.,
6.000%, 4/01/2027
     81,508  
  90,000      Travel & Leisure Co.,
6.625%, 7/31/2026, 144A
     99,796  
  5,000      TRI Pointe Group, Inc./TRI Pointe Homes, Inc.,
5.875%, 6/15/2024
     5,444  
  775,000      TriNet Group, Inc.,
3.500%, 3/01/2029, 144A
     772,094  
  63,766      U.S. Airways Pass Through Trust, Series 2012-1A, Class A,
5.900%, 4/01/2026
     66,823  
  251,111      U.S. Airways Pass Through Trust, Series 2012-2A, Class A,
4.625%, 12/03/2026
     249,855  
  4,422,969      U.S. Treasury Inflation Indexed Note,
0.125%, 4/15/2022(b)(h)
     4,487,585  
  4,465,080      U.S. Treasury Inflation Indexed Note,
0.375%, 7/15/2027(b)(h)
     4,953,477  
  12,651,745      U.S. Treasury Inflation Indexed Note,
0.625%, 4/15/2023(b)(h)
     13,225,522  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

  $36,290,000      U.S. Treasury Note,
0.125%, 1/31/2023(b)(i)
   $ 36,165,253  
  10,300,000      U.S. Treasury Note,
0.125%, 3/31/2023(b)
     10,252,523  
  7,860,000      U.S. Treasury Note,
0.125%, 4/30/2023(b)
     7,817,937  
  29,995,000      U.S. Treasury Note,
0.500%, 11/30/2023(b)
     29,880,176  
  19,120,000      U.S. Treasury Note,
0.875%, 6/30/2026(b)
     18,816,769  
  8,590,000      U.S. Treasury Note,
1.625%, 10/31/2026(b)
     8,735,292  
  14,060,000      U.S. Treasury Note,
1.625%, 8/15/2029(b)
     14,263,760  
  10,235,000      U.S. Treasury Note,
1.750%, 11/15/2029(b)(i)
     10,490,875  
  4,515,000      U.S. Treasury Note,
1.875%, 3/31/2022
     4,534,243  
  4,700,000      U.S. Treasury Note,
2.875%, 5/15/2028(b)
     5,120,613  
  13,090,000      Uber Technologies, Inc.,
4.500%, 8/15/2029, 144A
     13,330,071  
  10,745,000      Uber Technologies, Inc.,
6.250%, 1/15/2028, 144A
     11,534,757  
  1,080,000      Uber Technologies, Inc.,
7.500%, 9/15/2027, 144A
     1,175,359  
  335,278      United Airlines Pass Through Trust, Series 2016-2, Class B,
3.650%, 4/07/2027
             329,317  
  2,276,316      United Airlines Pass Through Trust, Series 2020-1, Class A,
5.875%, 4/15/2029
     2,488,173  
  195,000      United Airlines, Inc.,
4.375%, 4/15/2026, 144A
     203,333  
  290,000      United Airlines, Inc.,
4.625%, 4/15/2029, 144A
     299,063  
  390,000      Verizon Communications, Inc.,
2.850%, 9/03/2041
     384,747  
  3,095,000      Verizon Communications, Inc., Series MPLE,
2.500%, 5/16/2030, (CAD)
     2,428,582  
  130,000      Western Digital Corp.,
2.850%, 2/01/2029
     131,252  
  90,000      Western Digital Corp.,
3.100%, 2/01/2032
     90,657  
  360,000      Western Midstream Operating LP,
5.300%, 2/01/2030
     395,654  
  555,000      Western Midstream Operating LP,
5.300%, 3/01/2048
     668,778  
  150,000      Western Midstream Operating LP,
5.450%, 4/01/2044
     179,250  
  115,000      Western Midstream Operating LP,
5.500%, 8/15/2048
     137,370  
  475,000      Western Midstream Operating LP,
6.500%, 2/01/2050
     561,690  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Non-Convertible Bonds – continued

 
   United States – continued

 

$ 60,000      Weyerhaeuser Co.,
6.950%, 10/01/2027
   $ 75,827  
  315,000      Weyerhaeuser Co.,
7.375%, 3/15/2032
             443,158  
  1,595,000      Yum! Brands, Inc.,
4.625%, 1/31/2032
     1,694,879  
     

 

 

 
        551,686,846  
     

 

 

 
   Uruguay – 0.1%

 

  1,415,000      Uruguay Government International Bond,
4.375%, 1/23/2031
     1,629,033  
  86,955,000      Uruguay Government International Bond,
8.250%, 5/21/2031, (UYU)
     1,866,381  
     

 

 

 
        3,495,414  
     

 

 

 
   Total Non-Convertible Bonds
(Identified Cost $1,390,360,572)
     1,397,960,102  
     

 

 

 
 

Convertible Bonds – 2.1%

 
   United States – 2.1%

 

  3,485,000      BioMarin Pharmaceutical, Inc.,
0.599%, 8/01/2024
     3,643,916  
  18,255,000      BioMarin Pharmaceutical, Inc.,
1.250%, 5/15/2027
     19,041,790  
  5,315,000      DISH Network Corp.,
Zero Coupon, 0.000%, 12/15/2025(c)
     5,328,394  
  545,000      DISH Network Corp.,
2.375%, 3/15/2024
     521,838  
  24,620,000      DISH Network Corp.,
3.375%, 8/15/2026
     23,304,135  
  50,000      Expedia Group, Inc.,
Zero Coupon, 0.000%, 2/15/2026, 144A(c)
     57,525  
  805,000      Ionis Pharmaceuticals, Inc.,
Zero Coupon, 0.000%-0.979%, 4/01/2026, 144A(j)
     707,917  
  305,000      JetBlue Airways Corp.,
0.500%, 4/01/2026, 144A
     284,326  
  5,320,000      Livongo Health, Inc.,
0.875%, 6/01/2025
     6,100,870  
  6,630,000      NCL Corp. Ltd.,
1.125%, 2/15/2027, 144A
     6,230,476  
  550,000      Nutanix, Inc.,
0.250%, 10/01/2027, 144A
     500,500  
  1,060,000      Palo Alto Networks, Inc.,
0.375%, 6/01/2025
     2,008,064  
  810,000      Peloton Interactive, Inc.,
Zero Coupon, 0.519%-1.734%, 2/15/2026, 144A(j)
     686,475  
  230,000      Penn National Gaming, Inc.,
2.750%, 5/15/2026
     545,101  
  10,035,000      Southwest Airlines Co.,
1.250%, 5/01/2025(b)
     13,376,655  
  1,340,000      Splunk, Inc.,
1.125%, 6/15/2027
     1,249,550  


Principal
Amount (‡)
    

Description

   Value (†)  
 

Bonds and Notes – continued

 
 

Convertible Bonds – continued

 
   United States – continued

 

  $13,885,000      Teladoc Health, Inc.,
1.250%, 6/01/2027
   $ 12,644,028  
  1,100,000      Twitter, Inc.,
Zero Coupon, 0.000%-1.483%, 3/15/2026, 144A(j)
     985,160  
  6,428,000      Uber Technologies, Inc.,
Zero Coupon, 0.000%-1.922%, 12/15/2025(j)
     6,357,099  
  120,000      Zillow Group, Inc.,
1.375%, 9/01/2026
             192,825  
  1,610,000      Zynga, Inc.,
Zero Coupon, 0.456%-1.992%, 12/15/2026(j)
     1,469,272  
     

 

 

 
   Total Convertible Bonds
(Identified Cost $109,084,396)
     105,235,916  
     

 

 

 
 

Municipals – 0.0%

 
   United States – 0.0%

 

  125,000      Tobacco Settlement Financing Corp., Series A-1,
6.706%, 6/01/2046
(Identified Cost $124,989)
     131,318  
     

 

 

 
   Total Bonds and Notes
(Identified Cost $1,499,569,957)
     1,503,327,336  
     

 

 

 
 

Senior Loans – 0.0%

 
   United States – 0.0%

 

  520,569      Hilton Grand Vacations Borrower LLC, 2021 Term Loan B,
1-month LIBOR + 3.000%, 3.500%, 8/02/2028(g)(k)
     520,960  
  440,785      Jazz Financing Lux S.a.r.l., USD Term Loan,
1-month LIBOR + 3.500%, 4.000%, 5/05/2028(g)(k)
     442,191  
  469,394      Medline Borrower, LP, USD Term Loan B,
1-month LIBOR + 3.250%, 3.750%, 10/23/2028(g)(k)
     469,187  
  494,886      United Airlines, Inc., 2021 Term Loan B,
3-month LIBOR + 3.750%, 4.500%, 4/21/2028(g)(l)
     495,559  
     

 

 

 
   Total Senior Loans
(Identified Cost $1,916,628)
     1,927,897  
     

 

 

 
Shares                
 

Preferred Stocks – 0.1%

 
 

Convertible Preferred Stocks – 0.1%

 
   United States – 0.1%

 

  3,849      2020 Cash Mandatory Exchangeable Trust,
5.250%, 144A(d)(e)
     4,013,391  
  38,952      El Paso Energy Capital Trust I,
4.750%
     1,970,582  
     

 

 

 
        5,983,973  
     

 

 

 
   Total Convertible Preferred Stocks
(Identified Cost $5,747,812)
     5,983,973  
     

 

 

 
   Total Preferred Stocks
(Identified Cost $5,747,812)
     5,983,973  
     

 

 

 


Principal
Amount (‡)
    

Description

   Value (†)  
 

Short-Term Investments – 1.4%

 
  $72,725,887      Tri-Party Repurchase Agreement with Fixed Income Clearing Corporation, dated 12/31/2021 at 0.000% to be repurchased at $72,725,887 on 1/03/2022 collateralized by $61,422,500 U.S. Treasury Inflation Indexed Note, 0.125% due 07/15/2030 valued at $74,180,472 including accrued interest(m)
(Identified Cost $72,725,887)
   $ 72,725,887  
     

 

 

 
   Total Investments – 99.7%
(Identified Cost $3,838,292,292)
       5,086,266,467  
   Other assets less liabilities – 0.3%          14,575,348  
     

 

 

 
   Net Assets – 100.0%    $ 5,100,841,815  
     

 

 

 


(†)

Fund securities and other investments are valued at market value based on market quotations obtained or determined by independent pricing services recommended by the adviser and approved by the Board of Trustees. Fund securities and other investments for which market quotations are not readily available are valued at fair value as determined in good faith by the adviser pursuant to procedures approved by the Board of Trustees, as described below. Market value is determined as follows:

 

  

Listed equity securities (including shares of closed-end investment companies and exchange-traded funds) are valued at the last sale price quoted on the exchange where they are traded most extensively or, if there is no reported sale during the day, the closing bid quotation as reported by an independent pricing service. Securities traded on the NASDAQ Global Select Market, NASDAQ Global Market and NASDAQ Capital Market are valued at the NASDAQ Official Closing Price (“NOCP”), or if lacking an NOCP, at the most recent bid quotations on the applicable NASDAQ Market. Unlisted equity securities (except unlisted preferred equity securities) are valued at the last sale price quoted in the market where they are traded most extensively or, if there is no reported sale during the day, the closing bid quotation as reported by an independent pricing service. If there is no last sale price or closing bid quotation available, unlisted equity securities will be valued using evaluated bids furnished by an independent pricing service, if available.

 

  

In some foreign markets, an official close price and a last sale price may be available from the foreign exchange or market. In those cases, the official close price is used.

 

  

Debt securities and unlisted preferred equity securities are valued based on evaluated bids furnished to the Fund by an independent pricing service or bid prices obtained from broker-dealers.

 

  

Broker-dealer bid prices may be used to value debt and unlisted equity securities and senior loans where an independent pricing service is unable to price a security or where an independent pricing service does not provide a reliable price for the security. Forward foreign currency contracts are valued utilizing interpolated rates determined based on information provided by an independent pricing service.

 

  

Futures contracts are valued at the most recent settlement price on the exchange on which the adviser believes that, over time, they are traded most extensively.

 

  

Fund securities and other investments for which market quotations are not readily available are valued at fair value as determined in good faith by the adviser pursuant to procedures approved by the Board of Trustees. The Fund may also value securities and other investments at fair value in other circumstances such as when extraordinary events occur after the close of a foreign market but prior to the close of the New York Stock Exchange. This may include situations relating to a single issuer (such as a declaration of bankruptcy or a delisting of the issuer’s security from the primary market on which it has traded) as well as events affecting the securities markets in general (such as market disruptions or closings and significant fluctuations in U.S. and/or foreign markets). When fair valuing its securities or other investments, the Fund may, among other things, use modeling tools or other processes that may take into account factors such as securities or other market activity and/or significant events that occur after the close of the foreign market and before the time the Fund’s net asset value (“NAV”) is calculated. Fair value pricing may require subjective determinations about the value of a security, and fair values used to determine the Fund’s NAV may differ from quoted or published prices, or from prices that are used by others, for the same securities. In addition, the use of fair value pricing may not always result in adjustments to the prices of securities held by the Fund.

 

  

Illiquid securities for which market quotations are readily available and have been evaluated by the adviser are considered and classified as fair valued securities pursuant to the Fund’s pricing policies and procedures.

 

 

As of December 31, 2021, securities held by the Fund were fair valued as follows:

 

Equity securities1

   Percentage of Net
Assets
    Securities classified as
fair valued
     Percentage of Net
Assets
 

$ 689,812,858

     13.5   $ 12,699,728        0.2

 

1

Certain foreign equity securities were fair valued pursuant to procedures approved by the Board of Trustees as events occurring after the close of foreign market were believed to materially affect the value of those securities.

The books and records of the Fund are maintained in U.S. dollars. The values of securities, currencies and other assets and liabilities denominated in currencies other than U.S. dollars are translated into U.S. dollars based upon foreign exchange rates prevailing at the end of the period.

 

(‡)    

Principal Amount stated in U.S. dollars unless otherwise noted.

 

(††)

Amount shown represents units. One unit represents a principal amount of 1,000.

 

(†††)

Amount shown represents principal amount including inflation adjustments.

 

(††††)

Amount shown represents units. One unit represents a principal amount of 100.

 

(a)    

Non-income producing security.

 

(b)    

Security (or a portion thereof) has been designated to cover the Fund’s obligations under open derivative contracts.

 

(c)    

Interest rate represents annualized yield at time of purchase; not a coupon rate.

 

(d)    

Illiquid security.

 

(e)    

Securities classified as fair valued pursuant to the Fund’s pricing policies and procedures. At December 31, 2021, the value of these securities amounted to $12,699,728 or 0.2% of net assets.

 

(f)    

Perpetual bond with no specified maturity date.


(g)

Variable rate security. Rate as of December 31, 2021 is disclosed.

 

(h)

Treasury Inflation Protected Security (TIPS).

 

(i)

Security (or a portion thereof) has been pledged as collateral for open derivative contracts.

 

(j)

Interest rate represents annualized yield at time of purchase; not a coupon rate. The Fund’s investment in this security is comprised of various lots with differing annualized yields.

 

(k)

Stated interest rate has been determined in accordance with the provisions of the loan agreement and is subject to a minimum benchmark rate (LIBOR floor) of 0.50%, to which the spread is added.

 

(l)

Stated interest rate has been determined in accordance with the provisions of the loan agreement and is subject to a minimum benchmark rate (LIBOR floor) of 0.75%, to which the spread is added.

 

(m)

The Fund may enter into repurchase agreements, under the terms of a Master Repurchase Agreement, under which the Fund acquires securities as collateral and agrees to resell the securities at an agreed upon time and at an agreed upon price. It is the Fund’s policy that the market value of the collateral for repurchase agreements be at least equal to 102% of the repurchase price, including interest. Certain repurchase agreements are tri-party arrangements whereby the collateral is held in a segregated account for the benefit of the Fund and on behalf of the counterparty. Repurchase agreements could involve certain risks in the event of default or insolvency of the counterparty, including possible delays or restrictions upon the Fund’s ability to dispose of the underlying securities. As of December 31, 2021, the Fund had an investment in a repurchase agreement for which the value of the related collateral exceeded the value of the repurchase agreement.

 

144A

All or a portion of these securities are exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. At December 31, 2021, the value of Rule 144A holdings amounted to $398,174,780 or 7.8% of net assets.

 

CPI

Consumer Price Index

EMTN

Euro Medium Term Note

GMTN

Global Medium Term Note

LIBOR

London Interbank Offered Rate

MTN

Medium Term Note

SOFR

Secured Overnight Financing Rate

AUD

Australian Dollar

BRL

Brazilian Real

CAD

Canadian Dollar

CNH

Chinese Yuan Renminbi Offshore

CNY

Chinese Yuan Renminbi

COP

Colombian Peso

EUR

Euro

GBP

British Pound

IDR

Indonesian Rupiah

ILS

Israeli Shekel

INR

Indian Rupee

JPY

Japanese Yen

KRW

South Korean Won

MXN

Mexican Peso

MYR

Malaysian Ringgit

NOK

Norwegian Krone

NZD

New Zealand Dollar

PLN

Polish Zloty

RON

Romanian Leu

SEK

Swedish Krona

SGD

Singapore Dollar

UYU

Uruguayan Peso

ZAR

South African Rand


Forward Foreign Currency Contracts

The Fund may enter into forward foreign currency contracts, including forward foreign cross currency contracts, to acquire exposure to foreign currencies or to hedge the Fund’s investments against currency fluctuation. A contract can also be used to offset a previous contract. These contracts involve market risk in excess of the unrealized appreciation (depreciation). The U.S. dollar value of the currencies the Fund has committed to buy or sell represents the aggregate exposure to each currency the Fund has acquired or hedged through currency contracts outstanding at period end. Gains or losses are recorded for financial statement purposes as unrealized until settlement date. Contracts are traded over-the-counter directly with a counterparty. Risks may arise upon entering into these contracts from the potential inability of counterparties to meet the terms of their contracts and from unanticipated movements in the value of a foreign currency relative to the U.S. dollar. Certain contracts may require the movement of cash and/or securities as collateral for the Fund’s or counterparty’s net obligations under the contracts.

At December 31, 2021, the Fund had the following open forward foreign currency contracts:

 

Counterparty    Delivery
Date
     Currency Bought/
Sold (B/S)
   Units of
Currency
     In Exchange
for
     Notional
Value
     Unrealized
Appreciation
(Depreciation)
 

Bank of America, N.A.

     3/16/2022      KRW      B        5,850,000,000      $ 4,963,095      $ 4,914,295        $(48,800

Bank of America, N.A.

     3/16/2022      MXN      S        256,059,000        12,024,936        12,348,889        (323,953

Credit Suisse International

     3/16/2022      CAD      S        189,675,000        149,849,736        149,924,597        (74,861

Credit Suisse International

     3/16/2022      COP      S        38,844,665,000        9,850,302        9,477,550        372,752  

Credit Suisse International

     3/16/2022      GBP      B        12,371,000        16,336,747        16,739,679        402,932  

Credit Suisse International

     3/16/2022      JPY      B        11,200,164,000        98,865,395        97,422,880        (1,442,515

HSBC Bank USA

     3/16/2022      AUD      B        18,075,000        12,932,482        13,152,745        220,263  

Morgan Stanley Capital Services, Inc.

     3/16/2022      EUR      B        142,681,000        161,297,732        162,680,884        1,383,152  

Morgan Stanley Capital Services, Inc.

     3/16/2022      NZD      S        6,003,000        4,072,057        4,106,981        (34,924

UBS AG

     3/16/2022      IDR      S        105,333,420,000        7,262,871        7,345,509        (82,638

UBS AG

     3/16/2022      SEK      B        7,350,000        809,344        813,874        4,530  
                    

 

 

 

Total

 

     $375,938  
                    

 

 

 

At December 31, 2021, the Fund had the following open forward cross currency contracts:

Counterparty

   Settlement
Date
     Deliver/Units
of Currency
     Receive/Units
of Currency
     Notional
Value
     Unrealized
Appreciation
(Depreciation)
 

Morgan Stanley Capital Services, Inc.

     3/16/2022        NOK        30,959,000        EUR        2,979,678      $ 3,397,346      $ (113,442
                    

 

 

 


Futures Contracts

The Fund may enter into futures contracts. Futures contracts are agreements between two parties to buy and sell a particular instrument or index for a specified price on a specified future date.

When the Fund enters into a futures contract, it is required to deposit with (or for the benefit of) its broker an amount of cash or short-term high-quality securities as “initial margin.” As the value of the contract changes, the value of the futures contract position increases or declines. Subsequent payments, known as “variation margin,” are made or received by the Fund, depending on the price fluctuations in the fair value of the contract and the value of cash or securities on deposit with the broker. Realized gain or loss on a futures position is equal to the difference between the value of the contract at the time it was opened and the value at the time it was closed, minus brokerage commissions. When the Fund enters into a futures contract certain risks may arise, such as illiquidity in the futures market, which may limit the Fund’s ability to close out a futures contract prior to settlement date, and unanticipated movements in the value of securities or interest rates.

Futures contracts are exchange-traded. Exchange-traded futures contracts are standardized and are settled through a clearing house with fulfillment supported by the credit of the exchange. Therefore, counterparty credit risks to the Fund are reduced; however, in the event that a counterparty enters into bankruptcy, the Fund’s claim against initial/variation margin on deposit with the counterparty may be subject to terms of a final settlement in bankruptcy court.

At December 31, 2021, open short futures contracts were as follows:

 

Financial Futures    Expiration
Date
     Contracts      Notional
Amount
     Value      Unrealized
Appreciation
(Depreciation)
 

Ultra 10-Year U.S. Treasury Note

     3/22/2022      305      $ 44,181,312      $ 44,663,438      $ (482,126
              

 

 

 


Fair Value Measurements

In accordance with accounting standards related to fair value measurements and disclosures, the Fund has categorized the inputs utilized in determining the value of the Fund’s assets or liabilities. These inputs are summarized in the three broad levels listed below:

 

   

Level 1 — quoted prices in active markets for identical assets or liabilities;

 

   

Level 2 — prices determined using other significant inputs that are observable either directly, or indirectly through corroboration with observable market data (which could include quoted prices for similar assets or liabilities, interest rates, credit risk, etc.); and

 

   

Level 3 — prices determined using significant unobservable inputs when quoted prices or observable inputs are unavailable such as when there is little or no market activity for an asset or liability (unobservable inputs reflect the Fund’s own assumptions in determining the fair value of assets or liabilities and would be based on the best information available).

The inputs or methodology 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 to value the Fund’s investments as of December 31, 2021, at value:

Asset Valuation Inputs

 

Description

   Level 1     Level 2     Level 3      Total  

Common Stocks

         

France

   $ —       $ 111,599,454     $ —        $ 111,599,454  

Hong Kong

     —         35,082,714       —          35,082,714  

India

     —         51,495,494       —          51,495,494  

Japan

     —         98,575,726       —          98,575,726  

Netherlands

     —         169,977,210       —          169,977,210  

Sweden

     —         78,711,848       —          78,711,848  

Taiwan

     —         108,282,268       —          108,282,268  

United Kingdom

     128,397,697       36,088,144       —          164,485,841  

All Other Common Stocks*

     2,684,090,819       —         —          2,684,090,819  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Common Stocks

     2,812,488,516       689,812,858       —          3,502,301,374  
  

 

 

   

 

 

   

 

 

    

 

 

 

Bonds and Notes*

     —         1,503,327,336       —          1,503,327,336  

Senior Loans*

     —         1,927,897       —          1,927,897  

Preferred Stocks*

     1,970,582       4,013,391       —          5,983,973  

Short-Term Investments

     —         72,725,887       —          72,725,887  
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Investments

     2,814,459,098       2,271,807,369       —          5,086,266,467  
  

 

 

   

 

 

   

 

 

    

 

 

 

Forward Foreign Currency Contracts (unrealized appreciation)

     —         2,383,629       —          2,383,629  

Total

   $ 2,814,459,098     $ 2,274,190,998     $ —        $ 5,088,650,096  
  

 

 

   

 

 

   

 

 

    

 

 

 

 

Liability Valuation Inputs

 

         

Description

   Level 1     Level 2     Level 3      Total  

Forward Foreign Currency Contracts (unrealized depreciation)

   $ —       $ (2,121,133   $ —        $ (2,121,133

Futures Contracts (unrealized depreciation)

     (482,126     —         —          (482,126
  

 

 

   

 

 

   

 

 

    

 

 

 

Total

   $ (482,126   $ (2,121,133   $ —        $ (2,603,259
  

 

 

   

 

 

   

 

 

    

 

 

 

 

*

Details of the major categories of the Fund’s investments are reflected within the Portfolio of Investments.


Derivatives

Derivative instruments are defined as financial instruments whose value and performance are based on the value and performance of an underlying asset, reference rate or index. Derivative instruments that the Fund used during the period include forward foreign currency contracts and futures contracts.

The Fund is subject to the risk that changes in foreign currency exchange rates will have an unfavorable effect on the value of Fund assets denominated in foreign currencies. The Fund may enter into forward foreign currency contracts for hedging purposes to protect the value of the Fund’s holdings of foreign securities. The Fund may also use forward foreign currency contracts to gain exposure to foreign currencies, regardless of whether securities denominated in such currencies are held in the Fund. During the period ended December 31, 2021, the Fund engaged in forward foreign currency transactions for hedging purposes and to gain exposure to foreign currencies.

The Fund is subject to the risk that changes in interest rates will affect the value of the Fund’s investments in fixed-income securities. The Fund will be subject to increased interest rate risk to the extent that it invests in fixed-income securities with longer maturities or durations, as compared to investing in fixed-income securities with shorter maturities or durations. The Fund may use futures contracts to hedge against changes in interest rates and to manage duration without having to buy or sell portfolio securities. The Fund may also use futures contracts to gain investment exposure. During the period ended December 31, 2021, the Fund used futures contracts to manage duration.

The following is a summary of derivative instruments for the Fund, as of December 31, 2021:

 

Assets

   Unrealized
appreciation
on
forward
foreign
currency
contracts
        

Over-the-counter asset derivatives Foreign exchange contracts

   $ 2,383,629     

Liabilities

   Unrealized
depreciation
on
forward
foreign
currency
contracts
     Unrealized
depreciation
on
futures
contracts
 

Over-the-counter liability derivatives Foreign exchange contracts

   $ (2,121,133    $ —    

Exchange-traded liability derivatives Interest rate contracts

     —          (482,126
  

 

 

    

 

 

 

Total liability derivatives

   $ (2,121,133    $ (482,126
  

 

 

    

 

 

 
  

 

 

    

 

 

 

 

The Fund’s derivatives do not qualify for hedge accounting under authoritative guidance for derivative instruments. The Fund’s investments in derivatives may represent an economic hedge; however, they are considered to be non-hedge transactions for the purpose of this disclosure.

Over-the-counter derivatives, including forward foreign currency contracts, are entered into pursuant to International Swaps and Derivatives Association, Inc. (“ISDA”) agreements negotiated between the Fund and its counterparties. ISDA agreements typically contain, among other things, terms for the posting of collateral and master netting provisions in the event of a default or other termination event. Collateral is posted by the Fund or the counterparty to the extent of the net mark-to-market exposure to the other party of all open contracts under the agreement, subject to minimum transfer requirements. Master netting provisions allow the Fund and the counterparty, in the event of a default or other termination event, to offset amounts owed by each related to derivative contracts, including any posted collateral, to one net amount payable by either the Fund or the counterparty. The Fund’s ISDA agreements typically contain provisions that allow a counterparty to terminate open contracts early if the NAV of the Fund declines beyond a certain threshold. As of December 31, 2021, the fair value of derivative positions subject to these provisions that are in a net liability position by counterparty, and the value of collateral pledged to counterparties for such contracts is as follows:

 

Counterparty:

   Derivatives      Collateral Pledged  

Bank of America, N.A.

   $ (372,753    $  290,000  

Credit Suisse International

     (741,692      —    

UBS AG

     (78,108      120,000  

Timing differences may exist between when contracts under the ISDA agreement are marked-to-market and when collateral moves. The ISDA agreements include tri-party control agreements under which collateral is held for the benefit of the secured party at a third party custodian, State Street Bank.

Counterparty risk is managed based on policies and procedures established by the Fund’s adviser. Such policies and procedures may include, but are not limited to, minimum counterparty credit rating requirements, monitoring of counterparty credit default swap spreads and posting of collateral. The Fund’s risk of loss from counterparty credit risk on over-the-counter derivatives is generally limited to the Fund’s aggregated unrealized gains and the amount of any collateral pledged to the counterparty, which may be offset by any collateral posted to the Fund by the counterparty. ISDA master agreements can help to manage counterparty risk by specifying collateral posting arrangements at pre-arranged exposure levels. Under these ISDA agreements, collateral is routinely transferred if the total net exposure in respect of certain transactions, net of existing collateral already in place, exceeds a specified amount (typically $250,000, depending on the counterparty). With exchange-traded derivatives, there is minimal counterparty credit risk to the Fund because the exchange’s clearinghouse, as counterparty to these instruments, stands between the buyer and the seller of the contract. Credit risk still exists in exchange-traded derivatives with respect to initial and variation margin that is held


in a broker’s customer accounts. While brokers typically are required to segregate customer margin for exchange-traded derivatives from their own assets, in the event that a broker becomes insolvent or goes into bankruptcy and at that time there is a shortfall in the aggregate amount of margin held by the broker for all its customers, U.S. bankruptcy laws will typically allocate that shortfall on a pro rata basis across all of the broker’s customers, potentially resulting in losses to the Fund. The following table shows (i) the maximum amount of loss due to credit risk that, based on the gross fair value of the financial instrument, the Fund would incur if parties (including OTC derivative counterparties and brokers holding margin for exchange-traded derivatives) to the relevant financial instruments failed completely to perform according to the terms of the contracts and the collateral or other security, if any, for the amount due proved to be of no value to the Fund, and (ii) the amount of loss that the Fund would incur after taking into account master netting provisions pursuant to ISDA agreements, as of December 31, 2021:

 

Maximum Amount

of Loss-Gross

   Maximum Amount
of Loss-Net
 

$3,907,898

   $ 2,214,230  

These amounts include cash received as collateral of $2,296,980.


Industry Summary at December 31, 2021 (Unaudited)

 

Treasuries

     11.2

IT Services

     9.1  

Semiconductors & Semiconductor Equipment

     8.9  

Life Sciences Tools & Services

     7.4  

Interactive Media & Services

     4.9  

Chemicals

     4.5  

Software

     4.3  

Machinery

     3.7  

Hotels, Restaurants & Leisure

     3.5  

Internet & Direct Marketing Retail

     3.5  

Capital Markets

     3.2  

Banking

     2.6  

Health Care Providers & Services

     2.5  

Food & Staples Retailing

     2.3  

Industrial Conglomerates

     2.1  

Personal Products

     2.0  

Other Investments, less than 2% each

     22.6  

Short-Term Investments

     1.4  
  

 

 

 

Total Investments

     99.7  

Other assets less liabilities (including forward foreign currency and futures contracts)

     0.3  
  

 

 

 

Net Assets

     100.0
  

 

 

 


Currency Exposure Summary at December 31, 2021 (Unaudited)

 

United States Dollar

     74.9

Euro

     6.9  

Canadian Dollar

     4.8  

Japanese Yen

     2.5  

New Taiwan Dollar

     2.1  

Other, less than 2% each

     8.5  
  

 

 

 

Total Investments

     99.7  

Other assets less liabilities (including forward foreign currency and futures contracts)

     0.3  
  

 

 

 

Net Assets

     100.0