0001752724-22-014719.txt : 20220127 0001752724-22-014719.hdr.sgml : 20220127 20220127101630 ACCESSION NUMBER: 0001752724-22-014719 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20211130 FILED AS OF DATE: 20220127 PERIOD START: 20220831 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MORGAN STANLEY PATHWAY FUNDS CENTRAL INDEX KEY: 0000875186 IRS NUMBER: 000000000 FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-06318 FILM NUMBER: 22560755 BUSINESS ADDRESS: STREET 1: 2000 WESTCHESTER AVENUE CITY: PURCHASE STATE: NY ZIP: 10577 BUSINESS PHONE: 8883749999 MAIL ADDRESS: STREET 1: 2000 WESTCHESTER AVENUE CITY: PURCHASE STATE: NY ZIP: 10577 FORMER COMPANY: FORMER CONFORMED NAME: CONSULTING GROUP CAPITAL MARKETS FUNDS DATE OF NAME CHANGE: 19950125 FORMER COMPANY: FORMER CONFORMED NAME: TRUST FOR TRAK INVESTMENTS DATE OF NAME CHANGE: 19920929 FORMER COMPANY: FORMER CONFORMED NAME: INSTITUTIONAL ADVISORS 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4.70000000 928563AF2 162000.00000000 NS USD 188249.33000000 0.014027125907 Long DBT CORP US N 2 2030-05-15 Fixed 4.70000000 N N N N N N TARGA RESOURCE 5.875% 04/15/26 N/A TARGA RESOURCES PARTNERS REGD 5.87500000 87612BBJ0 20000.00000000 NS USD 20754.20000000 0.001546469124 Long DBT CORP US N 2 2026-04-15 Fixed 5.87500000 N N N N N N WFCM 2018-C44 3.948% 05/15/51 N/A WELLS FARGO COMMERCIAL MORTGAGE TRUST 2018-C44 SER 2018-C44 CL A4 REGD 3.94800000 95001JAW7 250000.00000000 NS USD 274192.45000000 0.020431052896 Long ABS-CBDO CORP US N 2 2051-05-15 Fixed 3.94800000 N N N N N N UMBS P#AL4741 4.5% 01/01/44 N/A FANNIE MAE POOL UMBS P#AL4741 4.50000000 3138EMHT1 24536.45000000 NS USD 27020.50000000 0.002013393384 Long ABS-MBS USGSE US N 2 2044-01-01 Fixed 4.50000000 N N N N N N MCDONALD'S COR 3.625% 09/01/49 UE2136O97NLB5BYP9H04 MCDONALD'S CORP REGD MTN 3.62500000 58013MFK5 20000.00000000 NS USD 22351.52000000 0.001665491108 Long DBT CORP US N 2 2049-09-01 Fixed 3.62500000 N N N N N N UMBS P#MA4399 2.5% 08/01/51 N/A FANNIE MAE POOL UMBS P#MA4399 2.50000000 31418D3H3 2428220.30000000 NS USD 2492312.52000000 0.185711054151 Long ABS-MBS USGSE US N 2 2051-08-01 Fixed 2.50000000 N N N N N N ANHEUSER-BUSCH 4.35% 06/01/40 N/A ANHEUSER-BUSCH INBEV WOR REGD 4.35000000 035240AS9 160000.00000000 NS USD 190393.22000000 0.014186874762 Long DBT CORP US N 2 2040-06-01 Fixed 4.35000000 N N N N N N T-MOBILE USA I 4.375% 04/15/40 N/A T-MOBILE USA INC REGD SER WI 4.37500000 87264AAX3 450000.00000000 NS USD 513279.71000000 0.038246293453 Long DBT CORP US N 2 2040-04-15 Fixed 4.37500000 N N N N N N EOG RESOURCES I 4.95% 04/15/50 XWTZDRYZPBUHIQBKDB46 EOG RESOURCES INC REGD 4.95000000 26875PAT8 170000.00000000 NS USD 230575.18000000 0.017180975257 Long DBT CORP US N 2 2050-04-15 Fixed 4.95000000 N N N N N N FOX CORP 5.476% 01/25/39 549300DDU6FDRBIELS05 FOX CORP REGD SER WI 5.47600000 35137LAJ4 240000.00000000 NS USD 310777.69000000 0.023157149014 Long DBT CORP US N 2 2039-01-25 Fixed 5.47600000 N N N N N N DISH DBS CORP 5.125% 06/01/29 N/A DISH DBS CORP REGD 5.12500000 25470XBD6 70000.00000000 NS USD 61607.00000000 0.004590556289 Long DBT CORP US N 2 2029-06-01 Fixed 5.12500000 N N N N N N BARRICK NA FINA 5.75% 05/01/43 N/A BARRICK NA FINANCE LLC REGD 5.75000000 06849RAK8 190000.00000000 NS USD 263611.50000000 0.019642628746 Long DBT CORP US N 2 2043-05-01 Fixed 5.75000000 N N N N N N SMB 2020-A A2B V/R 02/15/29 N/A SMB PRIVATE EDUCATION LOAN TRUST 2020-A SER 2020-A CL A2B V/R REGD 144A P/P 0.91950000 78449UAC2 97215.08000000 NS USD 97564.18000000 0.007269853427 Long ABS-CBDO CORP US Y 2 2037-09-15 Variable 0.91950000 N N N N N N UNITED AIR 2019 4.15% 08/25/31 N/A UNITED AIR 2019-1 AA PTT REGD SER AA 4.15000000 90931CAA6 53264.70000000 NS USD 58966.79000000 0.004393824868 Long DBT CORP US N 2 2031-08-25 Fixed 4.15000000 N N N N N N UMBS P#FM5183 2.5% 12/01/50 N/A FANNIE MAE POOL UMBS P#FM5183 2.50000000 3140X8XM4 1166026.87000000 NS USD 1198671.93000000 0.089317301067 Long ABS-MBS USGSE US N 2 2050-12-01 Fixed 2.50000000 N N N N N N NVIDIA CORP 3.5% 04/01/50 549300S4KLFTLO7GSQ80 NVIDIA CORP REGD 3.50000000 67066GAH7 440000.00000000 NS USD 513019.61000000 0.038226912479 Long DBT CORP US N 2 2050-04-01 Fixed 3.50000000 N N N N N N ANTHEM INC 4.85% 08/15/54 8MYN82XMYQH89CTMTH67 ANTHEM INC REGD 4.85000000 94973VBL0 33000.00000000 NS USD 43104.32000000 0.003211855913 Long DBT CORP US N 2 2054-08-15 Fixed 4.85000000 N N N N N N WFCM 2015-LC2 3.184% 03/15/25 N/A WELLS FARGO COMMERCIAL MORTGAGE TRUST 2015-LC20 SER 2015-LC20 CL A5 REGD 3.18400000 94989EAE7 150000.00000000 NS USD 157539.60000000 0.011738834898 Long ABS-CBDO CORP US N 2 2050-04-15 Fixed 3.18400000 N N N N N N GNMA II P#MA4963 4% 01/20/48 N/A GINNIE MAE II POOL P#MA4963 4.00000000 36179TQQ1 322415.15000000 NS USD 344838.61000000 0.025695149088 Long ABS-MBS USGSE US N 2 2048-01-20 Fixed 4.00000000 N N N N N N NOTA DO TESOU 6% 08/15/50/BRL/ N/A NOTA DO TESOURO NACIONAL /BRL/ REGD SER NTNB 21.22296700 P80551PG6 656000.00000000 NS 488692.94000000 0.036414245932 Long DBT USGA BR N 2 2050-08-15 Variable 21.22296700 N N N N N N OCCIDENTAL PETRO 7.5% 05/01/31 IM7X0T3ECJW4C1T7ON55 OCCIDENTAL PETROLEUM COR REGD 7.50000000 674599DD4 140000.00000000 NS USD 175654.50000000 0.013088640409 Long DBT CORP US N 2 2031-05-01 Fixed 7.50000000 N N N N N N DUKE ENERGY PROG 4.1% 05/15/42 N/A DUKE ENERGY PROGRESS LLC REGD 4.10000000 144141DB1 162000.00000000 NS USD 187098.38000000 0.013941364536 Long DBT CORP US N 2 2042-05-15 Fixed 4.10000000 N N N N N N REPUBLIC OF NI 7.143% 02/23/30 N/A REPUBLIC OF NIGERIA REGD 144A P/P 7.14300000 65412JAD5 260000.00000000 NS USD 247756.60000000 0.018461223859 Long DBT USGA NG Y 2 2030-02-23 Fixed 7.14300000 N N N N N N T/L FOCUS FINANCIA 0% 07/03/24 N/A T/L FOCUS FINANCIAL PARTNERS LLC REGD 0.00000000 N/A 215744.60000000 NS USD 213762.99000000 0.015928239293 Long LON CORP US N 2 2024-07-03 Variable 2.09038000 N N N N N N 2021-12-30 Morgan Stanley Pathway Funds Francis Smith Francis Smith Chief Financial Officer XXXX NPORT-EX 2 d231334ddos.htm SOI DOS

Schedules of Investments

November 30, 2021

(unaudited)

Large Cap Equity Fund

 

Shares/Units    Security    Value  

COMMON STOCKS - 95.8%

 

COMMUNICATION SERVICES - 8.7%

 

Diversified Telecommunication Services - 0.9%

 

183,599   

AT&T Inc.

   $ 4,191,565  
186,738   

Liberty Global PLC, Class C Shares*

     4,974,701  
28,892   

Lumen Technologies Inc.(a)

     356,527  
177,312   

Verizon Communications Inc.

     8,913,474  
     

 

 

 
  

Total Diversified Telecommunication Services

     18,436,267  
     

 

 

 

Entertainment - 1.7%

 

19,760   

Activision Blizzard Inc.

     1,157,936  
16,296   

Electronic Arts Inc.

     2,024,289  
736   

Liberty Media Corp-Liberty Formula One, Class A Shares*

     42,401  
5,085   

Liberty Media Corp-Liberty Formula One, Class C Shares*

     309,778  
3,391   

Live Nation Entertainment Inc.*

     361,650  
429   

Madison Square Garden Sports Corp., Class A Shares*

     73,904  
19,201   

Netflix Inc.*

     12,325,122  
2,011   

Playtika Holding Corp.*(a)

     34,589  
3,037   

Roku Inc., Class A Shares*

     691,252  
9,770   

Sea Ltd., ADR*

     2,814,444  
7,758   

Skillz Inc., Class A Shares*(a)

     72,072  
3,530   

Spotify Technology SA*

     841,905  
3,011   

Take-Two Interactive Software Inc.*

     499,465  
88,375   

Walt Disney Co. (The)*

     12,805,538  
1,268   

World Wrestling Entertainment Inc., Class A Shares(a)

     62,588  
24,273   

Zynga Inc., Class A Shares*

     146,366  
     

 

 

 
  

Total Entertainment

     34,263,299  
     

 

 

 

Interactive Media & Services - 5.2%

 

13,375   

Alphabet Inc., Class A Shares*

     37,957,581  
7,213   

Alphabet Inc., Class C Shares*

     20,550,126  
2,002   

IAC/InterActiveCorp.*

     267,567  
60,998   

Match Group Inc.*

     7,929,130  
122,938   

Meta Platforms Inc., Class A Shares*

     39,888,463  
14,406   

Pinterest Inc., Class A Shares*

     577,104  
2,723   

TripAdvisor Inc.*

     70,417  
20,032   

Twitter Inc.*

     880,206  
3,250   

Vimeo Inc.*

     62,758  
     

 

 

 
  

Total Interactive Media & Services

     108,183,352  
     

 

 

 

Media - 0.8%

 

5,683   

Altice USA Inc., Class A Shares*

     90,019  
134   

Cable One Inc.

     237,456  
3,292   

Charter Communications Inc., Class A Shares*

     2,127,554  
184,339   

Comcast Corp., Class A Shares

     9,213,263  
4,326   

Discovery Inc., Class A Shares*

     100,666  
7,610   

Discovery Inc., Class C Shares*

     172,823  
6,757   

DISH Network Corp., Class A Shares*

     211,156  
7,986   

Fox Corp., Class A Shares

     285,180  
3,779   

Fox Corp., Class B Shares

     126,974  
10,180   

Interpublic Group of Cos., Inc. (The)

     337,874  
661   

Liberty Broadband Corp., Class A Shares*

     100,194  
3,780   

Liberty Broadband Corp., Class C Shares*

     585,333  
2,263   

Liberty Media Corp-Liberty SiriusXM, Class A Shares*

     110,435  
4,349   

Liberty Media Corp-Liberty SiriusXM, Class C Shares*

     212,797  
10,750   

Loyalty Ventures Inc.*

     308,525  
4,146   

New York Times Co. (The), Class A Shares

     196,935  
10,057   

News Corp., Class A Shares

     217,432  
3,589   

News Corp., Class B Shares

     77,343  
1,013   

Nexstar Media Group Inc., Class A Shares

     151,444  

 

1


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

COMMUNICATION SERVICES - 8.7% - (continued)

 

Media - 0.8% - (continued)

 

5,541   

Omnicom Group Inc.

   $ 372,965  
23,588   

Sirius XM Holdings Inc.(a)

     143,887  
181   

ViacomCBS Inc., Class A Shares

     6,038  
15,181   

ViacomCBS Inc., Class B Shares

     469,852  
     

 

 

 
  

Total Media

     15,856,145  
     

 

 

 

Wireless Telecommunication Services - 0.1%

 

15,140   

T-Mobile US Inc.*

     1,647,383  
     

 

 

 
  

TOTAL COMMUNICATION SERVICES

     178,386,446  
     

 

 

 

CONSUMER DISCRETIONARY - 13.5%

 

Auto Components - 0.3%

 

39,752   

Adient PLC*

     1,687,472  
27,171   

Aptiv PLC*

     4,356,870  
6,333   

BorgWarner Inc.

     274,092  
6,135   

Gentex Corp.

     211,228  
1,483   

Lear Corp.

     248,833  
3,063   

QuantumScape Corp., Class A Shares*(a)

     88,337  
     

 

 

 
  

Total Auto Components

     6,866,832  
     

 

 

 

Automobiles - 1.3%

 

100,550   

Ford Motor Co.

     1,929,555  
35,331   

General Motors Co.*

     2,044,605  
3,718   

Harley-Davidson Inc.

     136,190  
20,493   

Tesla Inc.*

     23,459,567  
1,368   

Thor Industries Inc.

     144,611  
     

 

 

 
  

Total Automobiles

     27,714,528  
     

 

 

 

Distributors - 0.5%

 

3,698   

Genuine Parts Co.

     472,382  
155,694   

LKQ Corp.

     8,703,295  
1,024   

Pool Corp.

     567,419  
     

 

 

 
  

Total Distributors

     9,743,096  
     

 

 

 

Diversified Consumer Services - 0.0%

 

1,570   

Bright Horizons Family Solutions Inc.*

     193,031  
3,896   

Chegg Inc.*

     108,504  
2,473   

Frontdoor Inc.*

     85,467  
1,049   

Grand Canyon Education Inc.*

     76,021  
4,105   

H&R Block Inc.

     97,206  
4,272   

Service Corp. International

     282,636  
3,121   

Terminix Global Holdings Inc.*

     116,476  
     

 

 

 
  

Total Diversified Consumer Services

     959,341  
     

 

 

 

Hotels, Restaurants & Leisure - 1.4%

 

5,755   

Aramark

     192,217  
5,030   

Booking Holdings Inc.*

     10,572,305  
2,162   

Boyd Gaming Corp.*

     126,715  
5,254   

Caesars Entertainment Inc.*

     473,228  
22,446   

Carnival Corp.*

     395,498  
715   

Chipotle Mexican Grill Inc., Class A Shares*

     1,175,038  
983   

Choice Hotels International Inc.

     141,110  
971   

Churchill Downs Inc.

     217,718  
3,435   

Darden Restaurants Inc.

     473,858  
960   

Domino’s Pizza Inc.

     503,174  
8,002   

DraftKings Inc., Class A Shares*(a)

     276,469  
3,645   

Expedia Group Inc.*

     587,173  
6,966   

Hilton Worldwide Holdings Inc.*

     940,898  
1,062   

Hyatt Hotels Corp., Class A Shares*

     83,654  
8,771   

Las Vegas Sands Corp.*

     312,423  
7,100   

Marriott International Inc., Class A Shares*

     1,047,676  
1,097   

Marriott Vacations Worldwide Corp.

     167,457  
19,196   

McDonald’s Corp.

     4,695,342  
10,018   

MGM Resorts International

     396,512  
9,909   

Norwegian Cruise Line Holdings Ltd.*(a)

     193,325  
4,113   

Penn National Gaming Inc.*

     210,709  

 

2


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 13.5% - (continued)

 

Hotels, Restaurants & Leisure - 1.4% - (continued)

 

2,292   

Planet Fitness Inc., Class A Shares*

   $ 187,233  
5,792   

Royal Caribbean Cruises Ltd.*(a)

     404,397  
2,187   

Six Flags Entertainment Corp.*

     79,979  
30,286   

Starbucks Corp.

     3,320,557  
2,115   

Travel + Leisure Co.

     104,100  
1,001   

Vail Resorts Inc.

     332,042  
3,860   

Wendy’s Co. (The)

     79,439  
2,249   

Wyndham Hotels & Resorts Inc.

     178,751  
2,828   

Wynn Resorts Ltd.*

     229,096  
11,091   

Yum China Holdings Inc.

     555,659  
7,688   

Yum! Brands Inc.

     944,394  
     

 

 

 
  

Total Hotels, Restaurants & Leisure

     29,598,146  
     

 

 

 

Household Durables - 0.5%

 

8,435   

DR Horton Inc.

     824,099  
3,840   

Garmin Ltd.

     512,794  
3,196   

Leggett & Platt Inc.

     129,086  
6,809   

Lennar Corp., Class A Shares

     715,285  
460   

Lennar Corp., Class B Shares

     39,459  
1,523   

Mohawk Industries Inc.*

     255,666  
9,936   

Newell Brands Inc.

     213,326  
83   

NVR Inc.*

     433,703  
7,062   

PulteGroup Inc.

     353,312  
4,371   

Tempur Sealy International Inc.

     187,254  
2,748   

Toll Brothers Inc.

     174,416  
869   

TopBuild Corp.*

     234,447  
27,042   

Whirlpool Corp.

     5,888,125  
     

 

 

 
  

Total Household Durables

     9,960,972  
     

 

 

 

Internet & Direct Marketing Retail - 4.1%

 

16,960   

Alibaba Group Holding Ltd., ADR*

     2,162,909  
19,157   

Amazon.com Inc.*

     67,184,940  
48,617   

Chewy Inc., Class A Shares*(a)

     3,318,596  
3,767   

DoorDash Inc., Class A Shares*

     673,427  
122,125   

eBay Inc.

     8,238,552  
3,184   

Etsy Inc.*

     874,263  
182,929   

Qurate Retail Inc., Class A Shares

     1,463,432  
1,985   

Wayfair Inc., Class A Shares*(a)

     491,962  
     

 

 

 
  

Total Internet & Direct Marketing Retail

     84,408,081  
     

 

 

 

Leisure Products - 0.1%

 

1,995   

Brunswick Corp.

     187,350  
3,355   

Hasbro Inc.

     325,133  
1,316   

Hayward Holdings Inc.*

     32,216  
8,897   

Mattel Inc.*

     188,705  
6,621   

Peloton Interactive Inc., Class A Shares*

     291,324  
1,420   

Polaris Inc.

     158,742  
2,254   

YETI Holdings Inc.*

     207,729  
     

 

 

 
  

Total Leisure Products

     1,391,199  
     

 

 

 

Multiline Retail - 1.2%

 

23,424   

Dollar General Corp.

     5,183,731  
117,889   

Dollar Tree Inc.*

     15,777,085  
3,789   

Kohl’s Corp.

     194,110  
3,084   

Nordstrom Inc.*(a)

     65,288  
1,893   

Ollie’s Bargain Outlet Holdings Inc.*(a)

     117,158  
12,778   

Target Corp.

     3,115,788  
     

 

 

 
  

Total Multiline Retail

     24,453,160  
     

 

 

 

Specialty Retail - 2.9%

 

15,457   

Advance Auto Parts Inc.

     3,411,669  
1,226   

AutoNation Inc.*

     151,840  
557   

AutoZone Inc.*

     1,012,108  
6,489   

Bath & Body Works Inc.

     487,519  
6,289   

Best Buy Co., Inc.

     672,043  

 

3


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 13.5% - (continued)

 

Specialty Retail - 2.9% - (continued)

 

1,716   

Burlington Stores Inc.*

   $ 503,011  
4,106   

CarMax Inc.*

     579,973  
2,032   

Carvana Co., Class A Shares*

     569,813  
1,527   

Dick’s Sporting Goods Inc.

     179,514  
1,385   

Five Below Inc.*

     281,764  
2,518   

Floor & Decor Holdings Inc., Class A Shares*

     324,595  
2,365   

Foot Locker Inc.

     107,939  
1,558   

GameStop Corp., Class A Shares*(a)

     305,695  
5,906   

Gap Inc. (The)

     97,626  
45,123   

Home Depot Inc. (The)

     18,076,725  
2,516   

Leslie’s Inc.*

     52,735  
11,101   

Lithia Motors Inc., Class A Shares

     3,234,054  
60,620   

Lowe’s Cos., Inc.

     14,827,046  
1,742   

O’Reilly Automotive Inc.*

     1,111,675  
558   

Penske Automotive Group Inc.

     55,588  
1,115   

Petco Health & Wellness Co., Inc., Class A Shares*(a)

     21,375  
452   

RH*

     263,597  
8,939   

Ross Stores Inc.

     975,156  
36,893   

TJX Cos., Inc. (The)

     2,560,374  
19,515   

Tractor Supply Co.

     4,397,315  
11,568   

Ulta Beauty Inc.*

     4,441,534  
2,162   

Victoria’s Secret & Co.*

     117,353  
3,509   

Vroom Inc.*(a)

     48,529  
2,028   

Williams-Sonoma Inc.

     395,136  
     

 

 

 
  

Total Specialty Retail

     59,263,301  
     

 

 

 

Textiles, Apparel & Luxury Goods - 1.2%

 

4,136   

Capri Holdings Ltd.*

     244,934  
977   

Carter’s Inc.

     98,706  
1,166   

Columbia Sportswear Co.

     113,720  
735   

Deckers Outdoor Corp.*

     297,969  
165,945   

Hanesbrands Inc.

     2,680,012  
2,922   

lululemon athletica Inc.*

     1,327,786  
104,441   

NIKE Inc., Class B Shares

     17,675,595  
1,682   

PVH Corp.

     179,604  
1,066   

Ralph Lauren Corp., Class A Shares

     123,699  
3,281   

Skechers USA Inc., Class A Shares*

     147,383  
7,279   

Tapestry Inc.

     292,033  
5,350   

Under Armour Inc., Class A Shares*

     126,206  
5,519   

Under Armour Inc., Class C Shares*

     110,766  
8,361   

VF Corp.

     599,735  
     

 

 

 
  

Total Textiles, Apparel & Luxury Goods

     24,018,148  
     

 

 

 
  

TOTAL CONSUMER DISCRETIONARY

     278,376,804  
     

 

 

 

CONSUMER STAPLES - 4.4%

 

Beverages - 0.8%

 

265   

Boston Beer Co., Inc. (The), Class A Shares*

     119,560  
1,309   

Brown-Forman Corp., Class A Shares

     85,962  
4,770   

Brown-Forman Corp., Class B Shares

     335,617  
99,794   

Coca-Cola Co. (The)

     5,234,195  
4,101   

Constellation Brands Inc., Class A Shares

     924,078  
17,846   

Keurig Dr Pepper Inc.

     606,586  
4,392   

Molson Coors Beverage Co., Class B Shares

     195,181  
48,134   

Monster Beverage Corp.*

     4,032,667  
35,512   

PepsiCo Inc.

     5,674,107  
     

 

 

 
  

Total Beverages

     17,207,953  
     

 

 

 

Food & Staples Retailing - 1.6%

 

3,185   

Albertsons Cos., Inc., Class A Shares(a)

     112,080  
915   

Casey’s General Stores Inc.

     177,775  
21,688   

Costco Wholesale Corp.

     11,698,074  
2,977   

Grocery Outlet Holding Corp.*

     86,214  
19,208   

Kroger Co. (The)

     797,708  

 

4


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER STAPLES - 4.4% - (continued)

 

Food & Staples Retailing - 1.6% - (continued)

 

192,531   

Sysco Corp.

   $  13,484,871  
5,735   

US Foods Holding Corp.*

     180,194  
18,240   

Walgreens Boots Alliance Inc.

     817,152  
36,871   

Walmart Inc.

     5,185,169  
     

 

 

 
  

Total Food & Staples Retailing

     32,539,237  
     

 

 

 

Food Products - 0.8%

 

75,306   

Archer-Daniels-Midland Co.

     4,684,786  
1,385   

Beyond Meat Inc.*(a)

     97,310  
3,515   

Bunge Ltd.

     304,294  
5,118   

Campbell Soup Co.

     206,409  
127,472   

Conagra Brands Inc.

     3,894,270  
4,257   

Darling Ingredients Inc.*

     287,433  
4,855   

Flowers Foods Inc.

     125,356  
1,075   

Freshpet Inc.*

     116,122  
15,513   

General Mills Inc.

     958,238  
1,756   

Hain Celestial Group Inc. (The)*

     69,239  
3,709   

Hershey Co. (The)

     658,310  
7,165   

Hormel Foods Corp.

     296,631  
1,567   

Ingredion Inc.

     145,935  
2,669   

J.M. Smucker Co. (The)

     337,548  
6,630   

Kellogg Co.

     405,623  
16,883   

Kraft Heinz Co. (The)

     567,438  
3,819   

Lamb Weston Holdings Inc.

     198,282  
6,551   

McCormick & Co., Inc.

     562,207  
35,681   

Mondelez International Inc., Class A Shares

     2,103,038  
1,576   

Pilgrim’s Pride Corp.*

     44,254  
1,623   

Post Holdings Inc.*(a)

     156,782  
8   

Seaboard Corp.

     31,120  
7,192   

Tyson Foods Inc., Class A Shares

     567,880  
     

 

 

 
  

Total Food Products

     16,818,505  
     

 

 

 

Household Products - 0.6%

 

6,177   

Church & Dwight Co., Inc.

     552,100  
3,123   

Clorox Co. (The)

     508,581  
21,456   

Colgate-Palmolive Co.

     1,609,629  
8,732   

Kimberly-Clark Corp.

     1,137,867  
62,581   

Procter & Gamble Co. (The)

     9,047,961  
1,441   

Reynolds Consumer Products Inc.

     42,048  
1,140   

Spectrum Brands Holdings Inc.

     114,114  
     

 

 

 
  

Total Household Products

     13,012,300  
     

 

 

 

Personal Products - 0.3%

 

8,462   

Coty Inc., Class A Shares*

     82,335  
17,973   

Estee Lauder Cos., Inc. (The), Class A Shares

     5,968,294  
3,068   

Herbalife Nutrition Ltd.*

     114,621  
     

 

 

 
  

Total Personal Products

     6,165,250  
     

 

 

 

Tobacco - 0.3%

 

47,589   

Altria Group Inc.

     2,029,195  
40,023   

Philip Morris International Inc.

     3,439,576  
     

 

 

 
  

Total Tobacco

     5,468,771  
     

 

 

 
  

TOTAL CONSUMER STAPLES

     91,212,016  
     

 

 

 

ENERGY - 1.8%

 

Energy Equipment & Services - 0.1%

 

19,424   

Baker Hughes Co., Class A Shares

     453,356  
23,431   

Halliburton Co.

     505,875  
9,006   

NOV Inc.*

     107,352  
36,531   

Schlumberger NV

     1,047,709  
     

 

 

 
  

Total Energy Equipment & Services

     2,114,292  
     

 

 

 

Oil, Gas & Consumable Fuels - 1.7%

 

8,284   

Antero Midstream Corp.

     80,438  
9,979   

APA Corp.

     257,159  
6,117   

Cheniere Energy Inc.

     641,123  

 

5


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

ENERGY - 1.8% - (continued)

 

Oil, Gas & Consumable Fuels - 1.7% - (continued)

 

49,725   

Chevron Corp.

   $ 5,612,461  
95,969   

ConocoPhillips

     6,730,306  
1,596   

Continental Resources Inc.(a)

     70,767  
19,483   

Coterra Energy Inc.

     391,219  
17,768   

Devon Energy Corp.

     747,322  
4,566   

Diamondback Energy Inc.

     487,329  
2,537   

DT Midstream Inc.

     116,372  
14,985   

EOG Resources Inc.

     1,303,695  
7,745   

EQT Corp.*

     150,485  
108,850   

Exxon Mobil Corp.

     6,513,584  
7,252   

Hess Corp.

     540,419  
3,742   

HollyFrontier Corp.

     120,941  
49,520   

Kinder Morgan Inc.

     765,579  
19,544   

Marathon Oil Corp.

     302,737  
16,511   

Marathon Petroleum Corp.

     1,004,694  
807   

New Fortress Energy Inc., Class A Shares

     20,086  
21,699   

Occidental Petroleum Corp.

     643,375  
11,157   

ONEOK Inc.

     667,635  
11,079   

Phillips 66

     766,334  
5,498   

Pioneer Natural Resources Co.

     980,403  
167,125   

Suncor Energy Inc.

     4,069,494  
5,528   

Targa Resources Corp.

     285,411  
155   

Texas Pacific Land Corp.

     187,359  
10,306   

Valero Energy Corp.

     689,884  
31,821   

Williams Cos., Inc. (The)

     852,485  
     

 

 

 
  

Total Oil, Gas & Consumable Fuels

     34,999,096  
     

 

 

 
  

TOTAL ENERGY

     37,113,388  
     

 

 

 

FINANCIALS - 9.3%

 

Banks - 2.6%

 

190,337   

Bank of America Corp.

     8,464,286  
1,161   

Bank of Hawaii Corp.

     92,625  
3,100   

Bank OZK

     138,601  
603   

BOK Financial Corp.

     62,236  
52,087   

Citigroup Inc.

     3,317,942  
10,637   

Citizens Financial Group Inc.

     502,811  
3,476   

Comerica Inc.

     286,874  
2,632   

Commerce Bancshares Inc.

     183,714  
1,428   

Cullen/Frost Bankers Inc

     179,771  
3,655   

East West Bancorp Inc.

     281,435  
17,935   

Fifth Third Bancorp

     755,960  
167   

First Citizens BancShares Inc., Class A Shares(a)

     134,265  
3,053   

First Hawaiian Inc.

     80,141  
14,584   

First Horizon Corp.

     235,240  
4,573   

First Republic Bank

     958,775  
7,759   

FNB Corp.

     90,470  
36,835   

Huntington Bancshares Inc.

     546,631  
76,311   

JPMorgan Chase & Co.

     12,120,476  
24,072   

KeyCorp

     540,176  
3,222   

M&T Bank Corp.

     472,377  
3,217   

PacWest Bancorp

     143,929  
10,351   

People’s United Financial Inc.

     176,381  
1,848   

Pinnacle Financial Partners Inc.

     176,318  
10,851   

PNC Financial Services Group Inc. (The)

     2,137,647  
2,013   

Popular Inc.

     156,652  
2,130   

Prosperity Bancshares Inc.

     151,826  
25,232   

Regions Financial Corp.

     574,028  
1,412   

Signature Bank

     426,848  
4,477   

Sterling Bancorp

     111,074  
1,425   

SVB Financial Group*

     986,570  
3,860   

Synovus Financial Corp.

     174,819  

 

6


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 9.3% - (continued)

 

Banks - 2.6% - (continued)

 

103,517   

Truist Financial Corp.

   $ 6,139,593  
4,955   

Umpqua Holdings Corp.

     94,442  
101,522   

US Bancorp

     5,618,227  
2,233   

Webster Financial Corp.

     120,336  
106,324   

Wells Fargo & Co.

     5,080,161  
2,755   

Western Alliance Bancorp.

     302,444  
1,618   

Wintrust Financial Corp.

     141,624  
4,423   

Zions Bancorp NA

     279,003  
     

 

 

 
  

Total Banks

     52,436,728  
     

 

 

 

Capital Markets - 3.6%

 

20,994   

Affiliated Managers Group Inc.

     3,571,709  
34,236   

Ameriprise Financial Inc.

     9,914,746  
4,761   

Apollo Global Management Inc., Class A Shares(a)

     336,984  
3,623   

Ares Management Corp., Class A Shares

     294,043  
20,464   

Bank of New York Mellon Corp. (The)

     1,121,223  
3,674   

BlackRock Inc., Class A Shares

     3,323,537  
17,498   

Blackstone Inc.

     2,475,092  
4,276   

Carlyle Group Inc. (The)

     233,854  
2,785   

Cboe Global Markets Inc.

     359,098  
38,657   

Charles Schwab Corp. (The)

     2,991,665  
9,212   

CME Group Inc., Class A Shares

     2,031,430  
1,126   

Evercore Inc., Class A Shares

     156,176  
970   

FactSet Research Systems Inc.

     454,513  
7,826   

Franklin Resources Inc.

     253,562  
8,482   

Goldman Sachs Group Inc. (The)

     3,231,557  
2,142   

Interactive Brokers Group Inc., Class A Shares

     158,122  
87,162   

Intercontinental Exchange Inc.

     11,393,817  
8,491   

Invesco Ltd.

     189,604  
4,466   

Janus Henderson Group PLC

     190,832  
5,894   

Jefferies Financial Group Inc.

     221,496  
14,386   

KKR & Co., Inc.

     1,071,038  
2,461   

Lazard Ltd., Class A Shares

     104,888  
2,161   

LPL Financial Holdings Inc.

     340,595  
966   

MarketAxess Holdings Inc.

     340,698  
4,170   

Moody’s Corp.

     1,628,969  
34,993   

Morgan Stanley(b)

     3,318,036  
638   

Morningstar Inc.

     197,991  
13,402   

MSCI Inc., Class A Shares

     8,435,889  
3,022   

Nasdaq Inc.

     614,161  
5,410   

Northern Trust Corp.

     625,937  
4,861   

Raymond James Financial Inc.

     477,788  
25,705   

S&P Global Inc.

     11,714,540  
2,886   

SEI Investments Co.

     172,092  
9,248   

State Street Corp.

     822,795  
2,687   

Stifel Financial Corp.

     190,804  
5,786   

T. Rowe Price Group Inc.

     1,156,911  
2,818   

Tradeweb Markets Inc., Class A Shares

     270,528  
2,668   

Virtu Financial Inc., Class A Shares

     75,184  
     

 

 

 
  

Total Capital Markets

     74,461,904  
     

 

 

 

Consumer Finance - 0.5%

 

9,226   

Ally Financial Inc.

     422,828  
16,566   

American Express Co.

     2,523,002  
11,381   

Capital One Financial Corp.

     1,599,372  
201   

Credit Acceptance Corp.*(a)

     125,605  
42,631   

Discover Financial Services

     4,597,753  
2,455   

OneMain Holdings Inc., Class A Shares

     122,234  
1,291   

Santander Consumer USA Holdings Inc.

     53,899  
8,157   

SLM Corp.

     145,032  
14,459   

Synchrony Financial

     647,619  
1,178   

Upstart Holdings Inc.*

     241,360  
     

 

 

 
  

Total Consumer Finance

     10,478,704  
     

 

 

 

 

7


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 9.3% - (continued)

 

Diversified Financial Services - 0.7%

 

47,720   

Berkshire Hathaway Inc., Class B Shares*

   $ 13,203,647  
9,408   

Equitable Holdings Inc.

     295,976  
2,974   

Voya Financial Inc.

     184,804  
     

 

 

 
  

Total Diversified Financial Services

     13,684,427  
     

 

 

 

Insurance - 1.9%

 

16,891   

Aflac Inc.

     914,479  
355   

Alleghany Corp.*

     229,642  
7,522   

Allstate Corp. (The)

     817,792  
1,836   

American Financial Group Inc.

     245,308  
92,856   

American International Group Inc.

     4,884,226  
5,749   

Aon PLC, Class A Shares

     1,700,382  
9,553   

Arch Capital Group Ltd.*

     385,750  
5,344   

Arthur J. Gallagher & Co.

     870,538  
25,391   

Assurant Inc.

     3,861,971  
1,927   

Assured Guaranty Ltd.

     94,365  
2,870   

Athene Holding Ltd., Class A Shares*

     235,110  
1,644   

Axis Capital Holdings Ltd.

     81,674  
1,952   

Brighthouse Financial Inc.*

     94,887  
6,159   

Brown & Brown Inc.

     396,701  
11,223   

Chubb Ltd.

     2,014,192  
3,954   

Cincinnati Financial Corp.

     450,361  
826   

CNA Financial Corp.

     34,395  
717   

Erie Indemnity Co., Class A Shares(a)

     133,226  
999   

Everest Re Group Ltd.

     256,124  
7,281   

Fidelity National Financial Inc.

     356,114  
2,597   

First American Financial Corp.

     192,645  
2,716   

Globe Life Inc.

     235,043  
2,807   

GoHealth Inc., Class A Shares*

     9,937  
830   

Hanover Insurance Group Inc. (The)

     101,052  
8,965   

Hartford Financial Services Group Inc. (The)

     592,586  
1,386   

Kemper Corp.

     76,674  
1,212   

Lemonade Inc.*(a)

     59,933  
90,280   

Lincoln National Corp.

     5,988,272  
5,467   

Loews Corp.

     292,266  
357   

Markel Corp.*

     426,551  
13,055   

Marsh & McLennan Cos., Inc.

     2,141,281  
827   

Mercury General Corp.

     42,194  
79,739   

MetLife Inc.

     4,677,490  
6,738   

Old Republic International Corp.

     161,442  
1,056   

Primerica Inc.

     155,390  
6,910   

Principal Financial Group Inc.

     473,888  
15,011   

Progressive Corp. (The)

     1,395,122  
9,798   

Prudential Financial Inc.

     1,001,943  
1,634   

Reinsurance Group of America Inc., Class A Shares

     155,083  
1,287   

RenaissanceRe Holdings Ltd.

     198,340  
6,470   

Travelers Cos., Inc. (The)

     950,766  
5,702   

Unum Group

     131,716  
85   

White Mountains Insurance Group Ltd.

     85,246  
3,262   

Willis Towers Watson PLC

     736,690  
3,491   

WR Berkley Corp.

     267,550  
     

 

 

 
  

Total Insurance

     38,606,337  
     

 

 

 

Mortgage Real Estate Investment Trusts (REITs) - 0.0%

 

14,044   

AGNC Investment Corp.

     214,733  
37,037   

Annaly Capital Management Inc.

     300,000  
9,809   

New Residential Investment Corp.

     104,270  
6,684   

Starwood Property Trust Inc.

     166,832  
     

 

 

 
  

Total Mortgage Real Estate Investment Trusts (REITs)

     785,835  
     

 

 

 

 

8


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 9.3% - (continued)

 

Thrifts & Mortgage Finance - 0.0%

 

7,432   

MGIC Investment Corp.

   $ 104,791  
11,184   

New York Community Bancorp Inc.

     133,985  
4,414   

Rocket Cos., Inc., Class A Shares(a)

     68,417  
1,501   

TFS Financial Corp.

     27,018  
3,552   

UWM Holdings Corp.(a)

     24,473  
     

 

 

 
  

Total Thrifts & Mortgage Finance

     358,684  
     

 

 

 
  

TOTAL FINANCIALS

     190,812,619  
     

 

 

 

HEALTH CARE - 12.2%

 

Biotechnology - 1.6%

 

45,410   

AbbVie Inc.

     5,234,865  
3,048   

Alnylam Pharmaceuticals Inc.*

     560,222  
14,599   

Amgen Inc.

     2,903,449  
3,811   

Biogen Inc.*

     898,405  
79,054   

BioMarin Pharmaceutical Inc.*

     6,821,570  
1,399   

CureVac NV*(a)

     67,460  
47,132   

Exact Sciences Corp.*

     4,023,659  
7,868   

Exelixis Inc.*

     132,104  
32,266   

Gilead Sciences Inc.

     2,224,095  
5,461   

Horizon Therapeutics PLC*

     566,633  
4,864   

Incyte Corp.*

     329,390  
4,049   

Ionis Pharmaceuticals Inc.*

     107,298  
4,411   

Iovance Biotherapeutics Inc.*

     82,574  
1,034   

Mirati Therapeutics Inc.*

     141,420  
8,695   

Moderna Inc.*

     3,064,379  
2,062   

Natera Inc.*

     188,591  
2,458   

Neurocrine Biosciences Inc.*

     204,628  
1,946   

Novavax Inc.*(a)

     405,994  
2,569   

Regeneron Pharmaceuticals Inc.*

     1,635,246  
1,478   

Sage Therapeutics Inc.*

     57,509  
22,339   

Sarepta Therapeutics Inc.*

     1,805,215  
3,340   

Seagen Inc.*

     534,400  
1,698   

Ultragenyx Pharmaceutical Inc.*

     127,741  
1,081   

United Therapeutics Corp.*

     204,849  
6,658   

Vertex Pharmaceuticals Inc.*

     1,244,646  
     

 

 

 
  

Total Biotechnology

     33,566,342  
     

 

 

 

Health Care Equipment & Supplies - 3.2%

 

44,644   

Abbott Laboratories

     5,614,876  
11,513   

ABIOMED Inc.*

     3,624,062  
39,270   

Alcon Inc.

     3,078,768  
9,023   

Align Technology Inc.*

     5,517,835  
60,568   

Baxter International Inc.

     4,516,556  
7,334   

Becton Dickinson and Co.

     1,739,185  
36,453   

Boston Scientific Corp.*

     1,387,766  
1,251   

Cooper Cos., Inc. (The)

     470,964  
5,737   

DENTSPLY SIRONA Inc.

     279,621  
2,476   

DexCom Inc.*

     1,392,973  
47,315   

Edwards Lifesciences Corp.*

     5,077,373  
3,882   

Envista Holdings Corp.*

     150,622  
2,160   

Globus Medical Inc., Class A Shares*

     135,259  
1,652   

Hill-Rom Holdings Inc.

     256,886  
6,351   

Hologic Inc.*

     474,610  
426   

ICU Medical Inc.*

     96,365  
2,173   

IDEXX Laboratories Inc.*

     1,321,336  
1,732   

Insulet Corp.*

     499,578  
1,619   

Integra LifeSciences Holdings Corp.*

     103,535  
17,835   

Intuitive Surgical Inc.*

     5,784,604  
1,284   

Masimo Corp.*

     357,106  
179,268   

Medtronic PLC

     19,127,896  
2,783   

Novocure Ltd.*

     260,600  
910   

Penumbra Inc.*

     223,542  

 

9


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 12.2% - (continued)

 

Health Care Equipment & Supplies - 3.2% - (continued)

 

1,074   

Quidel Corp.*

   $ 158,479  
3,665   

ResMed Inc.

     934,025  
2,230   

STERIS PLC

     487,322  
8,960   

Stryker Corp.

     2,120,205  
1,410   

Tandem Diabetes Care Inc.*

     181,213  
1,227   

Teleflex Inc.

     364,934  
5,473   

Zimmer Biomet Holdings Inc.

     654,571  
     

 

 

 
  

Total Health Care Equipment & Supplies

     66,392,667  
     

 

 

 

Health Care Providers & Services - 2.9%

 

2,475   

Acadia Healthcare Co., Inc.*

     139,021  
1,321   

agilon health Inc.*

     29,062  
830   

Amedisys Inc.*

     115,909  
3,849   

AmerisourceBergen Corp., Class A Shares

     445,522  
6,295   

Anthem Inc.

     2,557,218  
7,726   

Cardinal Health Inc.

     357,173  
101,470   

Centene Corp.*

     7,245,973  
421   

Chemed Corp.

     195,971  
50,344   

Cigna Corp.

     9,661,014  
78,930   

CVS Health Corp.

     7,029,506  
1,871   

DaVita Inc.*

     176,809  
2,467   

Encompass Health Corp.

     142,149  
2,233   

Guardant Health Inc.*

     234,733  
34,518   

HCA Healthcare Inc.

     7,786,916  
3,736   

Henry Schein Inc.*

     265,480  
3,313   

Humana Inc.

     1,390,499  
2,528   

Laboratory Corp. of America Holdings*

     721,314  
4,046   

McKesson Corp.

     877,011  
1,552   

Molina Healthcare Inc.*

     442,599  
2,407   

Oak Street Health Inc.*(a)

     74,497  
3,170   

Premier Inc., Class A Shares

     117,512  
3,063   

Quest Diagnostics Inc.

     455,407  
227   

Signify Health Inc., Class A Shares*

     3,085  
40,570   

UnitedHealth Group Inc.

     18,022,005  
1,862   

Universal Health Services Inc., Class B Shares

     221,075  
     

 

 

 
  

Total Health Care Providers & Services

     58,707,460  
     

 

 

 

Health Care Technology - 0.1%

 

7,494   

Cerner Corp.

     527,952  
847   

Certara Inc.*

     22,810  
6,869   

Change Healthcare Inc.*

     139,303  
3,863   

Teladoc Health Inc.*(a)

     391,129  
3,565   

Veeva Systems Inc., Class A Shares*

     1,007,398  
     

 

 

 
  

Total Health Care Technology

     2,088,592  
     

 

 

 

Life Sciences Tools & Services - 1.7%

 

2,203   

10X Genomics Inc., Class A Shares*

     336,640  
2,867   

Adaptive Biotechnologies Corp.*

     74,800  
7,867   

Agilent Technologies Inc.

     1,187,130  
14,502   

Avantor Inc.*

     572,539  
553   

Bio-Rad Laboratories Inc., Class A Shares*

     416,520  
982   

Bio-Techne Corp.

     463,533  
2,650   

Bruker Corp.

     214,623  
1,290   

Charles River Laboratories International Inc.*

     471,972  
16,297   

Danaher Corp.

     5,241,767  
13,246   

Illumina Inc.*

     4,839,161  
4,890   

IQVIA Holdings Inc.*

     1,267,146  
1,757   

Maravai LifeSciences Holdings Inc., Class A Shares*

     80,717  
586   

Mettler-Toledo International Inc.*

     887,280  
2,927   

PerkinElmer Inc.

     533,182  
3,780   

PPD Inc.*

     178,038  
5,898   

QIAGEN NV*

     325,157  
1,371   

Repligen Corp.*

     392,792  

 

10


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 12.2% - (continued)

 

Life Sciences Tools & Services - 1.7% - (continued)

 

113,064   

Sotera Health Co.*

   $ 2,412,786  
2,680   

Syneos Health Inc., Class A Shares*

     260,389  
20,768   

Thermo Fisher Scientific Inc.

     13,142,613  
1,616   

Waters Corp.*

     530,161  
1,863   

West Pharmaceutical Services Inc.

     824,676  
     

 

 

 
  

Total Life Sciences Tools & Services

     34,653,622  
     

 

 

 

Pharmaceuticals - 2.7%

 

57,416   

Bristol-Myers Squibb Co.

     3,079,220  
4,195   

Catalent Inc.*

     539,729  
11,827   

Elanco Animal Health Inc.*

     339,908  
32,874   

Eli Lilly & Co.

     8,154,067  
1,528   

Jazz Pharmaceuticals PLC*

     183,161  
91,223   

Johnson & Johnson

     14,224,402  
117,716   

Merck & Co., Inc.

     8,818,106  
5,112   

Nektar Therapeutics, Class A Shares*

     57,561  
6,683   

Organon & Co.

     195,344  
3,555   

Perrigo Co. PLC

     130,504  
143,490   

Pfizer Inc.

     7,709,718  
8,624   

Royalty Pharma PLC, Class A Shares

     342,976  
315,271   

Viatris Inc.

     3,880,986  
39,865   

Zoetis Inc., Class A Shares

     8,851,625  
     

 

 

 
  

Total Pharmaceuticals

     56,507,307  
     

 

 

 
  

TOTAL HEALTH CARE

     251,915,990  
     

 

 

 

INDUSTRIALS - 9.5%

 

Aerospace & Defense - 1.2%

 

1,650   

Axon Enterprise Inc.*

     278,504  
13,764   

Boeing Co. (The)*

     2,723,208  
2,242   

BWX Technologies Inc.

     106,943  
911   

Curtiss-Wright Corp.

     114,622  
6,463   

General Dynamics Corp.

     1,221,313  
1,077   

HEICO Corp.

     149,186  
2,086   

HEICO Corp., Class A Shares

     259,081  
1,987   

Hexcel Corp.*(a)

     102,092  
10,331   

Howmet Aerospace Inc.

     290,611  
994   

Huntington Ingalls Industries Inc.

     176,445  
5,094   

L3Harris Technologies Inc.

     1,065,054  
6,343   

Lockheed Martin Corp.

     2,114,249  
1,616   

Mercury Systems Inc.*

     79,103  
14,978   

Northrop Grumman Corp.

     5,224,326  
122,561   

Raytheon Technologies Corp.

     9,917,636  
2,933   

Spirit AeroSystems Holdings Inc., Class A Shares

     111,043  
5,812   

Textron Inc.

     411,490  
1,347   

TransDigm Group Inc.*

     778,633  
3,784   

Virgin Galactic Holdings Inc.*(a)

     60,544  
     

 

 

 
  

Total Aerospace & Defense

     25,184,083  
     

 

 

 

Air Freight & Logistics - 0.8%

 

3,482   

CH Robinson Worldwide Inc.

     331,103  
4,458   

Expeditors International of Washington Inc.

     542,182  
6,300   

FedEx Corp.

     1,451,331  
48,223   

GXO Logistics Inc.*

     4,631,819  
44,312   

United Parcel Service Inc., Class B Shares

     8,790,172  
     

 

 

 
  

Total Air Freight & Logistics

     15,746,607  
     

 

 

 

Airlines - 0.1%

 

3,030   

Alaska Air Group Inc.*

     147,167  
16,990   

American Airlines Group Inc.*(a)

     300,553  
893   

Copa Holdings SA, Class A Shares*

     62,439  
16,097   

Delta Air Lines Inc.*

     582,711  
7,862   

JetBlue Airways Corp.*

     105,508  
14,952   

Southwest Airlines Co.*

     663,869  
8,081   

United Airlines Holdings Inc.*

     341,503  
     

 

 

 
  

Total Airlines

     2,203,750  
     

 

 

 

 

11


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 9.5% - (continued)

 

Building Products - 0.9%

 

1,482   

Advanced Drainage Systems Inc.

   $ 183,338  
2,374   

Allegion PLC

     293,521  
3,615   

AO Smith Corp.

     285,766  
46,875   

Armstrong World Industries Inc.

     4,967,344  
2,837   

AZEK Co., Inc. (The), Class A Shares*

     111,267  
5,399   

Builders FirstSource Inc.*

     374,907  
1,283   

Carlisle Cos., Inc.

     288,932  
22,327   

Carrier Global Corp.

     1,208,337  
3,636   

Fortune Brands Home & Security Inc.

     365,527  
18,389   

Johnson Controls International PLC

     1,374,762  
893   

Lennox International Inc.

     275,955  
6,636   

Masco Corp.

     437,312  
2,601   

Owens Corning

     220,669  
36,408   

Trane Technologies PLC

     6,795,553  
3,009   

Trex Co., Inc.*

     399,505  
     

 

 

 
  

Total Building Products

     17,582,695  
     

 

 

 

Commercial Services & Supplies - 0.7%

 

5,993   

ADT Inc.

     49,802  
2,243   

Cintas Corp.

     946,972  
1,107   

Clean Harbors Inc.*

     112,294  
5,439   

Copart Inc.*

     789,525  
1,107   

Driven Brands Holdings Inc.*

     34,162  
3,347   

IAA Inc.*

     161,660  
852   

MSA Safety Inc.

     122,109  
5,536   

Republic Services Inc., Class A Shares

     732,191  
5,666   

Rollins Inc.

     188,564  
2,263   

Stericycle Inc.*

     127,860  
73,336   

Waste Management Inc.

     11,782,895  
     

 

 

 
  

Total Commercial Services & Supplies

     15,048,034  
     

 

 

 

Construction & Engineering - 0.2%

 

3,347   

AECOM*

     230,742  
1,479   

MasTec Inc.*

     136,320  
27,344   

Quanta Services Inc.

     3,111,200  
457   

Valmont Industries Inc.

     109,237  
     

 

 

 
  

Total Construction & Engineering

     3,587,499  
     

 

 

 

Electrical Equipment - 0.6%

 

861   

Acuity Brands Inc.

     173,362  
5,977   

AMETEK Inc.

     815,860  
70,629   

Bloom Energy Corp., Class A Shares*

     1,940,885  
3,296   

ChargePoint Holdings Inc.*(a)

     84,114  
30,880   

Eaton Corp. PLC

     5,004,413  
15,329   

Emerson Electric Co.

     1,346,499  
1,553   

Generac Holdings Inc.*

     654,186  
1,395   

Hubbell Inc., Class B Shares

     273,002  
4,394   

nVent Electric PLC

     153,043  
13,187   

Plug Power Inc.*(a)

     525,502  
1,719   

Regal Rexnord Corp.

     271,774  
2,954   

Rockwell Automation Inc.

     993,135  
4,172   

Sensata Technologies Holding PLC*

     232,380  
2,140   

Shoals Technologies Group Inc., Class A Shares*

     60,134  
5,252   

Sunrun Inc.*

     241,802  
7,408   

Vertiv Holdings Co., Class A Shares

     189,941  
     

 

 

 
  

Total Electrical Equipment

     12,960,032  
     

 

 

 

Industrial Conglomerates - 0.7%

 

14,866   

3M Co.

     2,527,815  
28,068   

General Electric Co.

     2,666,179  
35,504   

Honeywell International Inc.

     7,180,329  
2,680   

Roper Technologies Inc.

     1,243,922  
     

 

 

 
  

Total Industrial Conglomerates

     13,618,245  
     

 

 

 

 

12


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 9.5% - (continued)

 

Machinery - 1.1%

 

1,599   

AGCO Corp.

   $ 176,226  
2,505   

Allison Transmission Holdings Inc.

     86,648  
14,084   

Caterpillar Inc.

     2,723,141  
2,847   

Colfax Corp.*(a)

     132,215  
1,067   

Crane Co.

     103,008  
3,708   

Cummins Inc.

     777,753  
7,246   

Deere & Co.

     2,503,783  
3,119   

Donaldson Co., Inc.

     176,005  
27,288   

Dover Corp.

     4,471,139  
3,094   

Flowserve Corp.

     92,758  
8,610   

Fortive Corp.

     636,021  
1,535   

Gates Industrial Corp. PLC*(a)

     24,606  
4,347   

Graco Inc.

     316,853  
1,989   

IDEX Corp.

     446,709  
8,083   

Illinois Tool Works Inc.

     1,876,468  
9,881   

Ingersoll Rand Inc.

     576,457  
2,266   

ITT Inc.

     214,318  
1,386   

Lincoln Electric Holdings Inc.

     187,054  
1,510   

Middleby Corp. (The)*

     263,767  
1,479   

Nordson Corp.

     375,947  
1,655   

Oshkosh Corp.

     178,078  
11,100   

Otis Worldwide Corp.

     892,440  
8,961   

PACCAR Inc.

     747,527  
3,362   

Parker-Hannifin Corp.

     1,015,526  
4,262   

Pentair PLC

     314,067  
1,334   

Snap-on Inc.

     274,684  
4,073   

Stanley Black & Decker Inc.

     711,797  
1,488   

Timken Co. (The)

     97,955  
2,795   

Toro Co. (The)

     281,065  
4,684   

Westinghouse Air Brake Technologies Corp.

     415,799  
1,377   

Woodward Inc.

     145,687  
4,724   

Xylem Inc.

     572,124  
     

 

 

 
  

Total Machinery

     21,807,625  
     

 

 

 

Marine - 0.0%

 

1,722   

Kirby Corp.*

     89,923  
     

 

 

 

Professional Services - 1.0%

 

3,465   

Booz Allen Hamilton Holding Corp., Class A Shares

     290,852  
585   

CACI International Inc., Class A Shares*

     151,767  
10,857   

Clarivate PLC*

     253,402  
66,743   

CoStar Group Inc.*

     5,189,936  
4,458   

Dun & Bradstreet Holdings Inc.*

     84,702  
3,127   

Equifax Inc.

     871,339  
866   

FTI Consulting Inc.*

     126,514  
45,759   

IHS Markit Ltd.

     5,848,915  
3,396   

Jacobs Engineering Group Inc.

     484,134  
3,793   

Leidos Holdings Inc.

     333,443  
1,459   

ManpowerGroup Inc.

     130,770  
8,892   

Nielsen Holdings PLC

     170,371  
2,978   

Robert Half International Inc.

     331,064  
1,327   

Science Applications International Corp.

     111,322  
5,017   

TransUnion

     557,840  
26,259   

Verisk Analytics Inc., Class A Shares

     5,904,861  
     

 

 

 
  

Total Professional Services

     20,841,232  
     

 

 

 

Road & Rail - 1.1%

 

252   

AMERCO

     177,549  
58,195   

CSX Corp.

     2,017,039  
2,236   

JB Hunt Transport Services Inc.

     427,434  
2,276   

Kansas City Southern

     661,975  

 

13


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 9.5% - (continued)

 

Road & Rail - 1.1% - (continued)

 

4,236   

Knight-Swift Transportation Holdings Inc., Class A Shares

   $ 242,511  
898   

Landstar System Inc.

     151,358  
7,389   

Lyft Inc., Class A Shares*

     300,067  
19,208   

Norfolk Southern Corp.

     5,095,306  
2,672   

Old Dominion Freight Line Inc.

     949,014  
1,485   

Ryder System Inc.

     123,374  
1,656   

Schneider National Inc., Class B Shares

     40,738  
944   

TuSimple Holdings Inc., Class A Shares*(a)

     37,750  
236,197   

Uber Technologies Inc.*

     8,975,486  
16,761   

Union Pacific Corp.

     3,949,562  
2,383   

XPO Logistics Inc.*

     172,624  
     

 

 

 
  

Total Road & Rail

     23,321,787  
     

 

 

 

Trading Companies & Distributors - 1.1%

 

71,575   

AerCap Holdings NV*

     4,011,063  
59,120   

Air Lease Corp., Class A Shares

     2,399,681  
15,045   

Fastenal Co.

     890,213  
993   

MSC Industrial Direct Co., Inc., Class A Shares

     78,149  
1,161   

SiteOne Landscape Supply Inc.*

     279,058  
26,297   

United Rentals Inc.*

     8,907,846  
85,398   

Univar Solutions Inc.*

     2,212,662  
826   

Watsco Inc.

     241,778  
9,429   

WW Grainger Inc.

     4,539,215  
     

 

 

 
  

Total Trading Companies & Distributors

     23,559,665  
     

 

 

 
  

TOTAL INDUSTRIALS

     195,551,177  
     

 

 

 

INFORMATION TECHNOLOGY - 29.5%

 

Communications Equipment - 0.9%

 

6,180   

Arista Networks Inc.*

     766,691  
3,800   

Ciena Corp.*

     228,874  
176,020   

Cisco Systems Inc.

     9,652,937  
77,087   

CommScope Holding Co., Inc.*

     767,787  
1,507   

F5 Inc.*

     342,963  
8,703   

Juniper Networks Inc.

     270,924  
2,060   

Lumentum Holdings Inc.*

     178,746  
20,342   

Motorola Solutions Inc.

     5,150,188  
142   

Ubiquiti Inc.

     42,499  
1,717   

ViaSat Inc.*

     76,046  
     

 

 

 
  

Total Communications Equipment

     17,477,655  
     

 

 

 

Electronic Equipment, Instruments & Components - 0.9%

 

14,989   

Amphenol Corp., Class A Shares

     1,207,814  
36,061   

Arrow Electronics Inc.*

     4,386,821  
2,133   

Avnet Inc.

     77,364  
16,475   

CDW Corp.

     3,119,706  
4,393   

Cognex Corp.

     339,359  
573   

Coherent Inc.*

     148,367  
19,742   

Corning Inc.

     732,231  
203,645   

Flex Ltd.*

     3,482,329  
1,049   

IPG Photonics Corp.*

     172,235  
3,660   

Jabil Inc.

     213,964  
4,691   

Keysight Technologies Inc.*

     912,306  
672   

Littelfuse Inc.

     200,578  
3,209   

National Instruments Corp.

     133,238  
22,901   

TD SYNNEX Corp.

     2,369,337  
1,200   

Teledyne Technologies Inc.*

     498,348  
6,586   

Trimble Inc.*

     565,540  
4,395   

Vontier Corp.

     138,486  
1,367   

Zebra Technologies Corp., Class A Shares*

     804,862  
     

 

 

 
  

Total Electronic Equipment, Instruments & Components

     19,502,885  
     

 

 

 

IT Services - 5.6%

 

16,346   

Accenture PLC, Class A Shares

     5,842,060  
4,223   

Akamai Technologies Inc.*

     475,932  

 

14


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 29.5% - (continued)

 

IT Services - 5.6% - (continued)

 

26,878   

Alliance Data Systems Corp.

   $ 1,832,004  
3,412   

Amdocs Ltd.

     238,226  
10,892   

Automatic Data Processing Inc.

     2,514,854  
3,027   

Broadridge Financial Solutions Inc.

     510,261  
6,623   

Cloudflare Inc., Class A Shares*

     1,246,714  
64,105   

Cognizant Technology Solutions Corp., Class A Shares

     4,998,908  
22,943   

Concentrix Corp.

     3,808,538  
6,378   

DXC Technology Co.*

     191,276  
1,406   

EPAM Systems Inc.*

     855,621  
1,209   

Euronet Worldwide Inc.*

     122,556  
2,785   

Fastly Inc., Class A Shares*(a)

     113,517  
71,013   

Fidelity National Information Services Inc.

     7,420,859  
159,539   

Fiserv Inc.*

     15,398,704  
2,114   

FleetCor Technologies Inc.*

     437,873  
2,131   

Gartner Inc.*

     665,405  
4,386   

Genpact Ltd.

     211,712  
7,531   

Global Payments Inc.

     896,490  
935   

Globant SA*

     247,784  
4,421   

GoDaddy Inc., Class A Shares*

     310,222  
22,969   

International Business Machines Corp.

     2,689,670  
1,998   

Jack Henry & Associates Inc.

     302,957  
4,593   

Kyndryl Holdings Inc.*

     72,569  
61,025   

LiveRamp Holdings Inc.*

     2,863,903  
22,490   

MasterCard Inc., Class A Shares

     7,082,551  
1,619   

MongoDB Inc., Class A Shares*

     806,424  
3,139   

Okta Inc., Class A Shares*

     675,607  
8,190   

Paychex Inc.

     976,248  
60,582   

PayPal Holdings Inc.*

     11,201,006  
8,127   

Paysafe Ltd.*(a)

     29,501  
7,975   

Sabre Corp.*

     60,052  
1,131   

Shift4 Payments Inc., Class A Shares*

     58,835  
5,011   

Snowflake Inc., Class A Shares*

     1,704,492  
647   

SolarWinds Corp.

     9,317  
27,728   

Square Inc., Class A Shares*

     5,776,574  
5,826   

StoneCo Ltd., Class A Shares*

     90,886  
2,536   

Switch Inc., Class A Shares

     69,360  
4,269   

Twilio Inc., Class A Shares*

     1,221,574  
15,973   

VeriSign Inc.*

     3,832,082  
143,930   

Visa Inc., Class A Shares

     27,889,316  
10,789   

Western Union Co. (The)

     170,682  
1,093   

WEX Inc.*

     138,177  
1,405   

Wix.com Ltd.*

     214,684  
     

 

 

 
  

Total IT Services

     116,275,983  
     

 

 

 

Semiconductors & Semiconductor Equipment - 6.8%

 

31,107   

Advanced Micro Devices Inc.*

     4,926,416  
1,049   

Allegro MicroSystems Inc.*

     32,760  
89,236   

Analog Devices Inc.

     16,084,789  
23,529   

Applied Materials Inc.

     3,463,233  
3,870   

ASML Holding NV, ADR

     3,063,144  
31,956   

Broadcom Inc.

     17,693,398  
1,928   

Brooks Automation Inc.

     218,057  
1,290   

Cirrus Logic Inc.*

     103,432  
19,702   

Enphase Energy Inc.*

     4,925,500  
3,537   

Entegris Inc.

     516,685  
2,640   

First Solar Inc.*

     273,504  
103,892   

Intel Corp.

     5,111,486  
3,939   

KLA Corp.

     1,607,624  
3,661   

Lam Research Corp.

     2,488,931  
21,280   

Marvell Technology Inc.

     1,514,498  
13,198   

Microchip Technology Inc.

     1,101,109  

 

15


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 29.5% - (continued)

 

Semiconductors & Semiconductor Equipment - 6.8% - (continued)

 

28,796   

Micron Technology Inc.

   $ 2,418,864  
1,387   

MKS Instruments Inc.

     211,046  
1,138   

Monolithic Power Systems Inc.

     629,837  
123,580   

NVIDIA Corp.

     40,381,001  
18,488   

NXP Semiconductors NV

     4,129,480  
10,907   

ON Semiconductor Corp.*

     670,017  
2,887   

Qorvo Inc.*

     422,166  
52,304   

QUALCOMM Inc.

     9,444,010  
68,044   

Skyworks Solutions Inc.

     10,319,553  
4,212   

Teradyne Inc.

     643,888  
23,741   

Texas Instruments Inc.

     4,567,056  
1,113   

Universal Display Corp.

     159,215  
3,205   

Wolfspeed Inc.*

     392,997  
6,428   

Xilinx Inc.

     1,468,477  
     

 

 

 
  

Total Semiconductors & Semiconductor Equipment

     138,982,173  
     

 

 

 

Software - 10.9%

 

37,191   

Adobe Inc.*

     24,912,391  
1,521   

Alteryx Inc., Class A Shares*

     101,101  
3,742   

Anaplan Inc.*

     160,195  
2,268   

ANSYS Inc.*

     887,877  
1,753   

Aspen Technology Inc.*

     254,238  
15,938   

Atlassian Corp. PLC, Class A Shares*

     5,997,788  
5,658   

Autodesk Inc.*

     1,438,207  
2,115   

Avalara Inc.*

     295,423  
3,552   

Bentley Systems Inc., Class B Shares(a)

     170,460  
1,948   

Bill.com Holdings Inc.*

     547,096  
3,891   

Black Knight Inc.*

     278,090  
348   

C3.ai Inc., Class A Shares*(a)

     12,862  
7,057   

Cadence Design Systems Inc.*

     1,252,335  
2,882   

CDK Global Inc.

     111,360  
3,240   

Ceridian HCM Holding Inc.*(a)

     354,456  
3,255   

Citrix Systems Inc.

     261,800  
1,871   

Coupa Software Inc.*

     367,951  
5,022   

Crowdstrike Holdings Inc., Class A Shares*

     1,090,477  
5,972   

Datadog Inc., Class A Shares*

     1,064,748  
24   

Datto Holding Corp.*

     563  
20,823   

DocuSign Inc., Class A Shares*

     5,129,954  
1,598   

Dolby Laboratories Inc., Class A Shares

     133,289  
788   

DoubleVerify Holdings Inc.*

     24,333  
8,031   

Dropbox Inc., Class A Shares*

     197,643  
1,889   

Duck Creek Technologies Inc.*

     54,007  
4,749   

Dynatrace Inc.*

     298,475  
1,680   

Elastic NV*

     261,173  
1,028   

Everbridge Inc.*

     116,596  
739   

Fair Isaac Corp.*

     260,963  
1,780   

Five9 Inc.*

     253,347  
3,403   

Fortinet Inc.*

     1,130,170  
2,122   

Guidewire Software Inc.*

     246,874  
1,127   

HubSpot Inc.*

     909,388  
18,356   

Intuit Inc.

     11,973,619  
1,614   

Jamf Holding Corp.*

     52,019  
5,842   

Mandiant Inc.*

     99,139  
1,575   

Manhattan Associates Inc.*

     245,952  
1,105   

McAfee Corp., Class A Shares

     28,564  
234,013   

Microsoft Corp.

     77,362,358  
646   

N-able Inc.*

     7,623  
1,158   

nCino Inc.*(a)

     71,935  
2,949   

NCR Corp.*

     114,716  
1,533   

New Relic Inc.*

     169,902  
237,008   

NortonLifeLock Inc.

     5,889,649  

 

16


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 29.5% - (continued)

 

Software - 10.9% - (continued)

 

7,347   

Nuance Communications Inc.*

   $ 407,685  
5,242   

Nutanix Inc., Class A Shares*

     174,139  
87,723   

Oracle Corp.

     7,959,985  
41,493   

Palantir Technologies Inc., Class A Shares*

     856,830  
15,571   

Palo Alto Networks Inc.*

     8,516,403  
1,325   

Paycom Software Inc.*

     579,661  
1,000   

Paylocity Holding Corp.*

     252,340  
936   

Pegasystems Inc.

     107,472  
2,755   

PTC Inc.*

     301,893  
26,612   

RingCentral Inc., Class A Shares*

     5,747,660  
71,824   

salesforce.com Inc.*

     20,466,967  
16,334   

ServiceNow Inc.*

     10,579,532  
3,277   

Smartsheet Inc., Class A Shares*

     209,728  
52,324   

Splunk Inc.*

     6,331,204  
5,933   

SS&C Technologies Holdings Inc.

     452,866  
3,889   

Synopsys Inc.*

     1,326,149  
2,455   

Teradata Corp.*(a)

     106,596  
10,969   

Trade Desk Inc. (The), Class A Shares*

     1,134,414  
1,032   

Tyler Technologies Inc.*

     535,587  
26,780   

UiPath Inc., Class A Shares*(a)

     1,292,135  
3,877   

Unity Software Inc.*

     668,356  
42,015   

VMware Inc., Class A Shares(a)

     4,904,831  
17,988   

Workday Inc., Class A Shares*

     4,932,849  
3,048   

Zendesk Inc.*

     311,231  
5,485   

Zoom Video Communications Inc., Class A Shares*

     1,159,584  
1,933   

Zscaler Inc.*

     670,693  
     

 

 

 
  

Total Software

     224,577,896  
     

 

 

 

Technology Hardware, Storage & Peripherals - 4.4%

 

473,334   

Apple Inc.

     78,242,110  
90,632   

Dell Technologies Inc., Class C Shares*

     5,117,989  
33,450   

Hewlett Packard Enterprise Co.

     480,008  
31,417   

HP Inc.

     1,108,392  
5,651   

NetApp Inc.

     502,261  
6,763   

Pure Storage Inc., Class A Shares*

     209,450  
86,236   

Western Digital Corp.*

     4,987,890  
4,044   

Xerox Holdings Corp.

     74,490  
     

 

 

 
  

Total Technology Hardware, Storage & Peripherals

     90,722,590  
     

 

 

 
  

TOTAL INFORMATION TECHNOLOGY

     607,539,182  
     

 

 

 

MATERIALS - 2.3%

 

Chemicals - 1.0%

 

5,681   

Air Products & Chemicals Inc.

     1,632,947  
3,038   

Albemarle Corp.

     809,597  
1,389   

Ashland Global Holdings Inc.

     140,386  
5,230   

Axalta Coating Systems Ltd.*

     158,574  
2,793   

Celanese Corp., Class A Shares

     422,749  
5,243   

CF Industries Holdings Inc.

     317,673  
3,899   

Chemours Co. (The)

     115,800  
19,076   

Corteva Inc.

     858,420  
1,845   

Diversey Holdings Ltd.*

     24,317  
19,065   

Dow Inc.

     1,047,240  
68,699   

DuPont de Nemours Inc.

     5,080,978  
3,482   

Eastman Chemical Co.

     363,138  
10,783   

Ecolab Inc.

     2,388,111  
6,430   

Element Solutions Inc.

     147,054  
3,287   

FMC Corp.

     329,325  
5,644   

Huntsman Corp.

     178,858  
6,341   

International Flavors & Fragrances Inc.

     901,500  
6,687   

LyondellBasell Industries NV, Class A Shares

     582,638  
8,986   

Mosaic Co. (The)

     307,501  
206   

NewMarket Corp.

     68,248  

 

17


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

MATERIALS - 2.3% - (continued)

 

Chemicals - 1.0% - (continued)

 

3,734   

Olin Corp.

   $ 202,943  
5,998   

PPG Industries Inc.

     924,712  
3,358   

RPM International Inc.

     305,712  
1,063   

Scotts Miracle-Gro Co. (The)

     154,018  
6,267   

Sherwin-Williams Co. (The)

     2,075,881  
4,290   

Valvoline Inc.

     146,160  
645   

Westlake Chemical Corp.

     59,933  
     

 

 

 
  

Total Chemicals

     19,744,413  
     

 

 

 

Construction Materials - 0.4%

 

976   

Eagle Materials Inc.

     150,519  
1,548   

Martin Marietta Materials Inc.

     624,633  
39,914   

Vulcan Materials Co.

     7,649,119  
     

 

 

 
  

Total Construction Materials

     8,424,271  
     

 

 

 

Containers & Packaging - 0.7%

 

39,152   

Amcor PLC

     443,201  
1,603   

AptarGroup Inc.

     191,703  
532   

Ardagh Group SA, Class A Shares(c)

     13,167  
2,198   

Avery Dennison Corp.

     450,744  
8,394   

Ball Corp.

     784,419  
68,625   

Berry Global Group Inc.*

     4,738,556  
55,137   

Crown Holdings Inc.

     5,833,494  
8,029   

Graphic Packaging Holding Co.

     158,492  
9,786   

International Paper Co.

     445,459  
2,379   

Packaging Corp. of America

     310,674  
4,081   

Sealed Air Corp.

     253,512  
2,255   

Silgan Holdings Inc.

     93,515  
2,530   

Sonoco Products Co.

     147,069  
6,829   

WestRock Co.

     296,310  
     

 

 

 
  

Total Containers & Packaging

     14,160,315  
     

 

 

 

Metals & Mining - 0.2%

 

4,920   

Alcoa Corp.

     228,928  
12,002   

Cleveland-Cliffs Inc.*(a)

     244,241  
38,187   

Freeport-McMoRan Inc.

     1,415,974  
20,555   

Newmont Corp.

     1,128,881  
7,652   

Nucor Corp.

     813,101  
1,729   

Reliance Steel & Aluminum Co.

     256,981  
1,575   

Royal Gold Inc.

     157,547  
2,488   

Southern Copper Corp.

     145,548  
5,185   

Steel Dynamics Inc.

     310,063  
7,044   

United States Steel Corp.

     159,265  
     

 

 

 
  

Total Metals & Mining

     4,860,529  
     

 

 

 

Paper & Forest Products - 0.0%

 

2,685   

Louisiana-Pacific Corp.

     175,465  
945   

Sylvamo Corp.*

     28,615  
     

 

 

 
  

Total Paper & Forest Products

     204,080  
     

 

 

 
  

TOTAL MATERIALS

     47,393,608  
     

 

 

 

REAL ESTATE - 3.0%

 

Equity Real Estate Investment Trusts (REITs) - 2.9%

 

3,855   

Alexandria Real Estate Equities Inc.

     771,270  
3,252   

American Campus Communities Inc.

     168,258  
7,498   

American Homes 4 Rent, Class A Shares

     300,595  
11,600   

American Tower Corp.

     3,044,768  
6,551   

Americold Realty Trust

     213,825  
4,211   

Apartment Income REIT Corp.

     213,750  
3,662   

AvalonBay Communities Inc.

     874,742  
4,108   

Boston Properties Inc.

     443,007  
7,025   

Brixmor Property Group Inc.

     159,749  
2,331   

Camden Property Trust

     385,105  
1,145   

CoreSite Realty Corp.

     195,852  
3,533   

Cousins Properties Inc.

     133,406  

 

18


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

REAL ESTATE - 3.0% - (continued)

 

Equity Real Estate Investment Trusts (REITs) - 2.9% - (continued)

 

61,755   

Crown Castle International Corp

   $  11,217,796  
5,512   

CubeSmart

     297,207  
3,036   

CyrusOne Inc.

     270,265  
7,158   

Digital Realty Trust Inc.

     1,200,683  
4,687   

Douglas Emmett Inc.

     153,593  
9,617   

Duke Realty Corp.

     560,960  
1,544   

EPR Properties

     71,209  
6,426   

Equinix Inc.

     5,219,197  
4,552   

Equity LifeStyle Properties Inc.

     370,078  
56,726   

Equity Residential

     4,839,295  
1,622   

Essex Property Trust Inc.

     550,572  
3,325   

Extra Space Storage Inc.

     665,000  
1,863   

Federal Realty Investment Trust

     228,534  
3,495   

First Industrial Realty Trust Inc.

     211,133  
6,025   

Gaming and Leisure Properties Inc.

     271,848  
5,203   

Healthcare Trust of America Inc., Class A Shares

     176,694  
14,215   

Healthpeak Properties Inc.

     467,105  
2,392   

Highwoods Properties Inc.

     103,334  
17,954   

Host Hotels & Resorts Inc.*

     281,878  
3,404   

Hudson Pacific Properties Inc.

     82,853  
14,954   

Invitation Homes Inc.

     604,740  
7,439   

Iron Mountain Inc.

     338,028  
3,749   

JBG SMITH Properties

     104,185  
2,816   

Kilroy Realty Corp.

     181,716  
13,705   

Kimco Realty Corp.

     307,266  
2,171   

Lamar Advertising Co., Class A Shares

     237,203  
2,020   

Life Storage Inc.

     266,923  
15,026   

Medical Properties Trust Inc.

     319,904  
2,986   

Mid-America Apartment Communities Inc.

     615,862  
4,215   

National Retail Properties Inc.

     185,881  
6,439   

Omega Healthcare Investors Inc.

     179,906  
1,400   

Orion Office REIT Inc.*

     24,878  
5,285   

Park Hotels & Resorts Inc.*

     87,942  
18,943   

Prologis Inc.

     2,855,657  
32,493   

Public Storage

     10,637,558  
3,920   

Rayonier Inc.

     148,058  
14,003   

Realty Income Corp.

     951,084  
4,316   

Regency Centers Corp.

     299,271  
3,653   

Rexford Industrial Realty Inc.

     256,002  
2,820   

SBA Communications Corp., Class A Shares

     969,516  
8,376   

Simon Property Group Inc.

     1,280,188  
1,970   

SL Green Realty Corp.(a)

     136,777  
3,020   

Spirit Realty Capital Inc.

     134,571  
6,651   

STORE Capital Corp.

     219,084  
2,979   

Sun Communities Inc.

     561,780  
7,735   

UDR Inc.

     438,807  
9,569   

Ventas Inc.

     448,977  
14,169   

VICI Properties Inc.(a)

     385,397  
4,250   

Vornado Realty Trust

     170,595  
11,046   

Welltower Inc.

     879,483  
18,839   

Weyerhaeuser Co.

     708,535  
4,750   

WP Carey Inc.

     362,662  
     

 

 

 
  

Total Equity Real Estate Investment Trusts (REITs)

     59,441,997  
     

 

 

 

Real Estate Management & Development - 0.1%

 

8,676   

CBRE Group Inc., Class A Shares*

     829,165  
1,168   

Howard Hughes Corp. (The)*

     95,764  
1,315   

Jones Lang LaSalle Inc.*

     308,907  
9,134   

Opendoor Technologies Inc.*

     144,683  
1,606   

Zillow Group Inc., Class A Shares*

     86,901  
4,320   

Zillow Group Inc., Class C Shares*

     234,446  
     

 

 

 
  

Total Real Estate Management & Development

     1,699,866  
     

 

 

 
  

TOTAL REAL ESTATE

     61,141,863  
     

 

 

 

 

19


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Shares/Units    Security    Value  

UTILITIES - 1.6%

 

Electric Utilities - 1.2%

 

6,596   

Alliant Energy Corp.

   $ 361,395  
12,737   

American Electric Power Co., Inc.

     1,032,334  
1,630   

Avangrid Inc.(a)

     82,511  
19,966   

Duke Energy Corp.

     1,936,902  
76,202   

Edison International

     4,974,467  
4,986   

Entergy Corp.

     500,295  
5,978   

Evergy Inc.

     378,407  
8,658   

Eversource Energy

     712,294  
25,056   

Exelon Corp.

     1,321,203  
14,317   

FirstEnergy Corp.

     539,178  
2,283   

Hawaiian Electric Industries Inc.

     86,731  
1,429   

IDACORP Inc.

     149,502  
50,403   

NextEra Energy Inc.

     4,373,972  
105,453   

NRG Energy Inc.

     3,798,417  
4,805   

OGE Energy Corp.

     164,908  
40,254   

PG&E Corp.*

     478,217  
2,875   

Pinnacle West Capital Corp.

     187,019  
20,356   

PPL Corp.

     566,507  
27,184   

Southern Co. (The)

     1,660,942  
13,856   

Xcel Energy Inc.

     883,043  
     

 

 

 
  

Total Electric Utilities

     24,188,244  
     

 

 

 

Gas Utilities - 0.0%

 

3,419   

Atmos Energy Corp.

     308,804  
2,437   

National Fuel Gas Co.

     140,883  
5,280   

UGI Corp.

     217,800  
     

 

 

 
  

Total Gas Utilities

     667,487  
     

 

 

 

Independent Power & Renewable Electricity Producers - 0.0%

 

17,459   

AES Corp. (The)

     408,191  
3,364   

Brookfield Renewable Corp., Class A Shares

     124,569  
12,544   

Vistra Corp.

     249,375  
     

 

 

 
  

Total Independent Power & Renewable Electricity Producers

     782,135  
     

 

 

 

Multi-Utilities - 0.3%

 

6,502   

Ameren Corp.

     530,498  
15,312   

CenterPoint Energy Inc.

     396,734  
7,243   

CMS Energy Corp.

     426,251  
8,935   

Consolidated Edison Inc.

     693,713  
20,700   

Dominion Energy Inc.

     1,473,840  
5,074   

DTE Energy Co.

     549,717  
5,142   

MDU Resources Group Inc.

     140,017  
10,108   

NiSource Inc.

     247,747  
12,827   

Public Service Enterprise Group Inc.

     801,559  
8,321   

Sempra Energy

     997,438  
7,920   

WEC Energy Group Inc.

     688,486  
     

 

 

 
  

Total Multi-Utilities

     6,946,000  
     

 

 

 

Water Utilities - 0.1%

 

4,599   

American Water Works Co., Inc.

     775,254  
5,667   

Essential Utilities Inc.

     267,879  
     

 

 

 
  

Total Water Utilities

     1,043,133  
     

 

 

 
  

TOTAL UTILITIES

     33,626,999  
     

 

 

 
  

TOTAL COMMON STOCKS

(Cost - $916,449,483)

     1,973,070,092  
     

 

 

 

CLOSED END MUTUAL FUND SECURITY - 1.0%

 

FINANCIALS - 1.0%

 

Capital Markets - 1.0%

 

278,711   

iShares® Core S&P U.S. Value ETF, Common Class Shares(a)

(Cost - $15,841,905)

     20,003,089  
     

 

 

 
  

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $932,291,388)

     1,993,073,181  
     

 

 

 

 

20


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

Face

Amount†

              
 

SHORT-TERM INVESTMENTS (d) - 4.1%

 
 

MONEY MARKET FUND - 1.0%

 
 
$        20,227,290
 
 

Invesco STIT - Government & Agency Portfolio, 0.026%, Institutional Class(e)

(Cost - $20,227,290)

  

$

20,227,290

 

    

 

 

 
 

TIME DEPOSITS - 3.1%

 
  5,243,977    

ANZ National Bank - London, 0.005% due 12/1/21

     5,243,977  
  28,035,529    

Barclays Bank PLC - London, 0.005% due 12/1/21

     28,035,529  
  21,356,444    

BNP Paribas - Paris, 0.005% due 12/1/21

     21,356,444  
  283,784    

DNB - Oslo, 0.005% due 12/1/21

     283,784  
  29,804  CAD   

Royal Bank of Canada - Toronto, 0.005% due 12/1/21

     23,327  
  9,447,346    

Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21

     9,447,346  
    

 

 

 
 

TOTAL TIME DEPOSITS

(Cost - $64,390,407)

     64,390,407  
    

 

 

 
 

TOTAL SHORT-TERM INVESTMENTS

(Cost - $84,617,697)

  

 

84,617,697

 

    

 

 

 
 

TOTAL INVESTMENTS - 100.9%

(Cost - $1,016,909,085)

  

 

2,077,690,878

 

    

 

 

 
 

Liabilities in Excess of Other Assets - (0.9)%

     (18,292,016
    

 

 

 
 

TOTAL NET ASSETS - 100.0%

   $  2,059,398,862  
    

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

*

Non-income producing security.

(a)

All or a portion of this security is on loan (See Note 1).

(b)

Affiliated security. As of November 30, 2021, total cost and total market value of affiliated securities amounted to $829,362 and $3,318,036, respectively.

 

Underlying Security   

Beginning

Value as of

August 31, 2021

   Purchases
at Cost
   Proceeds
from Sales
  Net Realized
Gain on Sales
   Change in Unrealized
Depreciation
  Dividend/Interest
Income
  

Ending

Value as of

November 30, 2021

Morgan Stanley    $ 3,824,540    $ —      $ (164,161)   $ 124,781    $ (467,124)   $ 24,495    $ 3,318,036

 

(c)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

(d)

Inclusive of all short-term holdings, including investments of collateral received from securities lending transactions. Excluding such collateral, the percentage of portfolio holdings would be 3.1%.

(e)

Represents investments of collateral received from securities lending transactions.

At November 30, 2021, for Large Cap Equity Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

    

Gross

Unrealized

(Depreciation)

   

Net

Unrealized

Appreciation

 
Large Cap Equity Fund    $1,016,909,085    $ 1,095,848,970      $ (34,788,704   $ 1,061,060,266  

Abbreviations used in this schedule:

 

ADR      American Depositary Receipts
PLC      Public Limited Company
REIT      Real Estate Investment Trust

 

Summary of Investments by Security Sector^

      

Information Technology

     29.5

Consumer Discretionary

     13.5  

Health Care

     12.3  

Financials

     10.3  

Industrials

     9.5  

Communication Services

     8.7  

Consumer Staples

     4.4  

Real Estate

     3.0  

Materials

     2.3  

Energy

     1.8  

Utilities

     1.6  

Short-Term Investments

     3.1  
  

 

 

 
     100.0 %+ 
  

 

 

 

 

^

As a percentage of total investments.

+

Does not reflect investments of collateral received from securities lending transactions.

 

21


Schedules of Investments

(unaudited) (continued)

 

Large Cap Equity Fund

 

At November 30, 2021, Large Cap Equity Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
     Market
Value
     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

              

S&P 500 E-mini Index December Futures

     62        12/21      $   13,868,292      $  14,155,375      $  287,083  

S&P MidCap 400 E-mini Index December Futures

     4        12/21        1,091,090        1,082,480        (8,610
              

 

 

 
               $ 278,473  
              

 

 

 

At November 30, 2021, Large Cap Equity Fund had deposited cash of $763,984 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

Currency Abbreviation used in this schedule:

 

CAD       Canadian Dollar

 

22


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

COMMON STOCKS - 94.8%

 

COMMUNICATION SERVICES - 2.5%

 

Diversified Telecommunication Services - 0.1%

 

387   

Anterix Inc.*

   $ 23,282  
382   

ATN International Inc.

     14,596  
861   

Bandwidth Inc., Class A Shares*

     61,699  
1,594   

Cogent Communications Holdings Inc.

     119,438  
2,589   

Consolidated Communications Holdings Inc.*

     19,469  
1,476   

EchoStar Corp., Class A Shares*

     40,398  
22,070   

Globalstar Inc.*(a)

     30,677  
987   

IDT Corp., Class B Shares*

     53,574  
4,427   

Iridium Communications Inc.*

     170,218  
1,068   

Liberty Latin America Ltd., Class A Shares*

     12,133  
6,269   

Liberty Latin America Ltd., Class C Shares*

     70,464  
694   

Ooma Inc.*

     13,054  
2,173   

Radius Global Infrastructure Inc., Class A Shares*

     35,855  
     

 

 

 
  

Total Diversified Telecommunication Services

     664,857  
     

 

 

 

Entertainment - 0.9%

 

19,342   

AMC Entertainment Holdings Inc., Class A Shares*(a)

     656,467  
260   

Chicken Soup For The Soul Entertainment Inc., Class A Shares*

     3,419  
4,048   

Cinemark Holdings Inc.*(a)

     62,825  
1,058   

CuriosityStream Inc.*(a)

     7,670  
33,290   

Endeavor Group Holdings Inc., Class A Shares*

     936,115  
12,661   

Eros STX Global Corp.*

     4,597  
1,783   

IMAX Corp.*

     29,402  
409   

Liberty Media Corp-Liberty Braves, Class A Shares*

     11,399  
1,308   

Liberty Media Corp-Liberty Braves, Class C Shares*

     35,983  
954   

Liberty Media Corp-Liberty Formula One, Class A Shares*

     54,960  
7,469   

Liberty Media Corp-Liberty Formula One, Class C Shares*

     455,011  
2,158   

Lions Gate Entertainment Corp., Class A Shares*

     31,615  
100,904   

Lions Gate Entertainment Corp., Class B Shares*

     1,377,340  
2,144   

LiveOne Inc.*(a)

     3,924  
980   

Madison Square Garden Entertainment Corp.*

     64,798  
710   

Madison Square Garden Sports Corp., Class A Shares*

     122,312  
962   

Marcus Corp. (The)*

     16,806  
3,922   

Playtika Holding Corp.*(a)

     67,458  
11,077   

Skillz Inc., Class A Shares*(a)

     102,905  
14,061   

World Wrestling Entertainment Inc., Class A Shares(a)

     694,051  
149,165   

Zynga Inc., Class A Shares*

     899,465  
     

 

 

 
  

Total Entertainment

     5,638,522  
     

 

 

 

Interactive Media & Services - 0.2%

 

3,540   

Cargurus Inc., Class A Shares*

     132,750  
2,397   

Cars.com Inc.*

     39,982  
2,786   

Eventbrite Inc., Class A Shares*

     42,069  
770   

EverQuote Inc., Class A Shares*

     10,148  
4,919   

fuboTV Inc.*(a)

     96,511  
3,362   

Liberty TripAdvisor Holdings Inc., Class A Shares*

     7,262  
847   

MediaAlpha Inc., Class A Shares*

     13,061  
297   

Outbrain Inc.*

     4,482  
1,773   

QuinStreet Inc.*

     27,145  
3,707   

TripAdvisor Inc.*

     95,863  
6,105   

TrueCar Inc.*

     20,085  
5,446   

Vimeo Inc.*

     105,162  
2,658   

Yelp Inc., Class A Shares*

     91,116  
1,632   

Ziff Davis Inc.*

     185,836  
     

 

 

 
  

Total Interactive Media & Services

     871,472  
     

 

 

 

Media - 1.3%

 

3,111   

Advantage Solutions Inc.*

     22,493  

 

23


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

COMMUNICATION SERVICES - 2.5% - (continued)

 

Media - 1.3% - (continued)

 

1,090   

AMC Networks Inc., Class A Shares*

   $ 42,085  
714   

Boston Omaha Corp., Class A Shares*

     20,456  
1,577   

Cable One Inc.

     2,794,539  
1,197   

Cardlytics Inc.*

     80,893  
12,778   

Clear Channel Outdoor Holdings Inc., Class A Shares*

     39,228  
2,881   

comScore Inc.*

     9,997  
59,075   

Criteo SA, ADR*

     2,218,857  
52   

Daily Journal Corp.*

     18,945  
930   

Emerald Holding Inc.*

     3,674  
4,856   

Entercom Communications Corp., Class A Shares*

     11,994  
2,331   

Entravision Communications Corp., Class A Shares

     17,319  
2,127   

EW Scripps Co. (The), Class A Shares

     39,413  
2,051   

Fluent Inc.*

     3,815  
4,982   

Gannett Co., Inc.*

     25,458  
3,196   

Gray Television Inc.

     65,902  
634   

Hemisphere Media Group Inc., Class A Shares*

     4,818  
4,201   

iHeartMedia Inc., Class A Shares*

     82,382  
598   

Integral Ad Science Holding Corp.*

     13,419  
14,817   

Interpublic Group of Cos., Inc. (The)

     491,776  
1,618   

John Wiley & Sons Inc., Class A Shares

     84,104  
3,028   

Loyalty Ventures Inc.*

     86,904  
4,855   

Magnite Inc.*

     85,594  
1,496   

Meredith Corp.*

     88,264  
2,403   

National CineMedia Inc.

     6,728  
6,227   

New York Times Co. (The), Class A Shares

     295,782  
15,248   

News Corp., Class A Shares

     329,662  
4,602   

News Corp., Class B Shares

     99,173  
1,525   

Nexstar Media Group Inc., Class A Shares

     227,987  
983   

Scholastic Corp.

     37,000  
1,711   

Sinclair Broadcast Group Inc., Class A Shares

     39,918  
2,480   

Stagwell Inc.*

     19,146  
959   

TechTarget Inc.*

     92,668  
8,318   

TEGNA Inc.

     164,280  
240   

Thryv Holdings Inc.*

     9,382  
1,957   

WideOpenWest Inc.*

     36,400  
     

 

 

 
  

Total Media

     7,710,455  
     

 

 

 

Wireless Telecommunication Services - 0.0%

 

2,361   

Gogo Inc.*

     30,268  
1,800   

Shenandoah Telecommunications Co.

     45,702  
3,805   

Telephone & Data Systems Inc.

     67,272  
688   

Telesat Corp.*

     21,177  
629   

United States Cellular Corp.*

     18,310  
     

 

 

 
  

Total Wireless Telecommunication Services

     182,729  
     

 

 

 
   TOTAL COMMUNICATION SERVICES      15,068,035  
     

 

 

 

CONSUMER DISCRETIONARY - 8.6%

 

Auto Components - 0.5%

 

3,540   

Adient PLC*

     150,273  
3,962   

American Axle & Manufacturing Holdings Inc.*

     35,103  
9,034   

BorgWarner Inc.

     390,992  
697   

Cooper-Standard Holdings Inc.*

     16,094  
5,426   

Dana Inc.

     116,659  
998   

Dorman Products Inc.*

     110,758  
1,582   

Fox Factory Holding Corp.*

     278,068  
8,987   

Gentex Corp.

     309,422  
1,241   

Gentherm Inc.*

     104,802  
10,362   

Goodyear Tire & Rubber Co. (The)*

     208,380  
927   

LCI Industries

     141,154  
2,340   

Lear Corp.

     392,629  
2,059   

Modine Manufacturing Co.*

     21,331  
833   

Motorcar Parts of America Inc.*

     13,361  

 

24


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Auto Components - 0.5% - (continued)

 

851   

Patrick Industries Inc.

   $ 67,884  
8,250   

QuantumScape Corp., Class A Shares*(a)

     237,930  
768   

Standard Motor Products Inc.

     38,431  
864   

Stoneridge Inc.*

     18,861  
2,530   

Tenneco Inc., Class A Shares*

     26,565  
1,029   

Visteon Corp.*

     108,992  
1,550   

XL Fleet Corp.*(a)

     7,037  
674   

XPEL Inc.*

     48,454  
     

 

 

 
  

Total Auto Components

     2,843,180  
     

 

 

 

Automobiles - 0.1%

 

1,123   

Arcimoto Inc.*(a)

     11,488  
3,983   

Canoo Inc.*

     47,677  
6,095   

Fisker Inc.*(a)

     130,372  
5,771   

Harley-Davidson Inc.

     211,392  
3,583   

Lordstown Motors Corp., Class A Shares*(a)

     16,768  
2,007   

Thor Industries Inc.

     212,160  
1,210   

Winnebago Industries Inc.(a)

     87,386  
4,467   

Workhorse Group Inc.*(a)

     26,087  
     

 

 

 
  

Total Automobiles

     743,330  
     

 

 

 

Distributors - 0.1%

 

1,089   

Funko Inc., Class A Shares*

     17,794  
421   

Greenlane Holdings Inc., Class A Shares*(a)

     505  
1,472   

Pool Corp.

     815,665  
     

 

 

 
  

Total Distributors

     833,964  
     

 

 

 

Diversified Consumer Services - 0.5%

 

2,671   

2U Inc.*

     63,543  
1,859   

Adtalem Global Education Inc.*

     55,157  
753   

American Public Education Inc.*

     14,224  
13,014   

Bright Horizons Family Solutions Inc.*

     1,600,071  
612   

Carriage Services Inc., Class A Shares

     31,665  
5,384   

Chegg Inc.*

     149,944  
2,139   

Coursera Inc.*

     64,149  
307   

European Wax Center Inc., Class A Shares*

     8,280  
3,240   

Frontdoor Inc.*

     111,974  
146   

Graham Holdings Co., Class B Shares

     82,712  
1,683   

Grand Canyon Education Inc.*

     121,967  
6,747   

H&R Block Inc.

     159,769  
4,756   

Houghton Mifflin Harcourt Co.*

     74,003  
3,711   

Laureate Education Inc., Class A Shares

     37,110  
1,462   

Mister Car Wash Inc.*(a)

     23,480  
2,159   

OneSpaWorld Holdings Ltd.*

     20,359  
2,485   

Perdoceo Education Corp.*

     24,477  
1,598   

PowerSchool Holdings Inc., Class A Shares*

     32,040  
888   

Regis Corp.*

     2,415  
6,181   

Service Corp. International

     408,935  
1,195   

StoneMor Inc.*

     2,940  
915   

Strategic Education Inc.

     48,953  
1,513   

Stride Inc.*

     51,639  
4,709   

Terminix Global Holdings Inc.*

     175,740  
3,317   

Vivint Smart Home Inc.*

     34,961  
1,923   

WW International Inc.*

     32,345  
     

 

 

 
  

Total Diversified Consumer Services

     3,432,852  
     

 

 

 

Hotels, Restaurants & Leisure - 1.8%

 

2,216   

Accel Entertainment Inc., Class A Shares*

     28,210  
8,981   

Aramark

     299,965  
1,215   

Bally’s Corp.*

     46,583  
43   

Biglari Holdings Inc., Class B Shares*

     6,100  
806   

BJ’s Restaurants Inc.*

     24,067  
3,308   

Bloomin’ Brands Inc.*

     58,452  
629   

Bluegreen Vacations Holding Corp., Class A Shares*

     18,700  

 

25


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Hotels, Restaurants & Leisure - 1.8% - (continued)

 

3,086   

Boyd Gaming Corp.*

   $ 180,870  
1,693   

Brinker International Inc.*

     58,578  
1,399   

Carrols Restaurant Group Inc.

     4,001  
1,124   

Century Casinos Inc.*

     14,668  
1,689   

Cheesecake Factory Inc. (The)*

     64,723  
1,304   

Choice Hotels International Inc.

     187,189  
7,001   

Churchill Downs Inc.

     1,569,764  
783   

Chuy’s Holdings Inc.*

     22,441  
885   

Cracker Barrel Old Country Store Inc.

     107,988  
1,609   

Dave & Buster’s Entertainment Inc.*

     52,260  
1,338   

Del Taco Restaurants Inc.

     10,249  
2,231   

Denny’s Corp.*

     30,899  
605   

Dine Brands Global Inc.*

     43,451  
3,295   

Drive Shack Inc.*

     5,634  
756   

El Pollo Loco Holdings Inc.*

     9,541  
388   

Esports Technologies Inc.*

     11,229  
3,184   

Everi Holdings Inc.*

     66,036  
586   

F45 Training Holdings Inc.*

     6,235  
689   

Fiesta Restaurant Group Inc.*

     6,428  
1,323   

Full House Resorts Inc.*

     11,854  
1,648   

GAN Ltd.*

     15,936  
617   

Golden Entertainment Inc.*

     28,327  
1,525   

Golden Nugget Online Gaming Inc.*

     19,017  
2,191   

Hall of Fame Resort & Entertainment Co.*

     4,075  
3,210   

Hilton Grand Vacations Inc.*

     152,475  
1,785   

Hyatt Hotels Corp., Class A Shares*

     140,604  
65,389   

International Game Technology PLC

     1,766,811  
813   

Jack in the Box Inc.

     67,154  
697   

Krispy Kreme Inc.(a)

     10,141  
164   

Kura Sushi USA Inc., Class A Shares*

     10,430  
1,296   

Lindblad Expeditions Holdings Inc.*

     18,157  
1,568   

Marriott Vacations Worldwide Corp.

     239,355  
472   

Monarch Casino & Resort Inc.*

     31,799  
142   

Nathan’s Famous Inc.

     8,739  
232   

NEOGAMES SA*

     7,730  
1,665   

Noodles & Co., Class A Shares*

     17,133  
13,907   

Norwegian Cruise Line Holdings Ltd.*(a)

     271,326  
786   

ONE Group Hospitality Inc.(The)*

     10,304  
1,240   

Papa John’s International Inc.

     151,181  
6,303   

Penn National Gaming Inc.*

     322,903  
3,134   

Planet Fitness Inc., Class A Shares*

     256,016  
121,980   

Playa Hotels & Resorts NV*

     868,498  
1,121   

PlayAGS Inc.*

     8,071  
285   

RCI Hospitality Holdings Inc.

     18,043  
612   

Red Robin Gourmet Burgers Inc.*

     9,976  
2,303   

Red Rock Resorts Inc., Class A Shares

     109,485  
2,127   

Rush Street Interactive Inc.*

     37,946  
1,380   

Ruth’s Hospitality Group Inc.*

     23,460  
3,604   

Scientific Games Corp., Class A Shares*

     230,368  
11,637   

SeaWorld Entertainment Inc.*

     686,467  
1,391   

Shake Shack Inc., Class A Shares*

     101,529  
2,878   

Six Flags Entertainment Corp.*

     105,248  
1,394   

Target Hospitality Corp.*

     5,144  
2,623   

Texas Roadhouse Inc., Class A Shares

     217,552  
3,202   

Travel + Leisure Co.

     157,602  
1,545   

Vail Resorts Inc.

     512,492  
6,678   

Wendy’s Co. (The)

     137,433  
5,548   

Wingstop Inc.

     891,009  
3,447   

Wyndham Hotels & Resorts Inc.

     273,968  
430   

Xponential Fitness Inc., Class A Shares*

     8,364  
     

 

 

 
  

Total Hotels, Restaurants & Leisure

     10,898,383  
     

 

 

 

 

26


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Household Durables - 1.3%

 

803   

Aterian Inc.*(a)

   $ 3,919  
372   

Bassett Furniture Industries Inc.

     5,669  
971   

Beazer Homes USA Inc.*

     19,070  
1,304   

Casper Sleep Inc.*(a)

     8,528  
347   

Cavco Industries Inc.*

     103,229  
1,124   

Century Communities Inc.

     79,883  
778   

Ethan Allen Interiors Inc.

     17,505  
263   

Flexsteel Industries Inc.

     7,464  
4,683   

GoPro Inc., Class A Shares*

     46,830  
1,090   

Green Brick Partners Inc.*

     27,196  
302   

Hamilton Beach Brands Holding Co., Class A Shares

     4,530  
904   

Helen of Troy Ltd.*

     217,412  
530   

Hooker Furnishings Corp.

     12,582  
208   

Hovnanian Enterprises Inc., Class A Shares*

     19,866  
888   

Installed Building Products Inc.

     114,632  
1,046   

iRobot Corp.*

     79,402  
13,694   

KB Home

     547,623  
1,658   

La-Z-Boy Inc.

     55,361  
368   

Legacy Housing Corp.*

     9,189  
5,013   

Leggett & Platt Inc.

     202,475  
822   

LGI Homes Inc.*

     118,089  
500   

Lifetime Brands Inc.

     8,120  
618   

Lovesac Co. (The)*

     39,107  
1,058   

M/I Homes Inc.*

     59,132  
2,144   

MDC Holdings Inc.

     102,569  
1,405   

Meritage Homes Corp.*

     158,568  
2,133   

Mohawk Industries Inc.*

     358,067  
46,925   

Newell Brands Inc.

     1,007,480  
10,044   

PulteGroup Inc.

     502,501  
2,062   

Purple Innovation Inc., Class A Shares*

     21,280  
1,970   

Skyline Champion Corp.*

     154,152  
410   

Snap One Holdings Corp.*

     8,995  
4,502   

Sonos Inc.*

     142,488  
4,538   

Taylor Morrison Home Corp., Class A Shares*

     140,950  
33,807   

Tempur Sealy International Inc.

     1,448,292  
4,249   

Toll Brothers Inc.

     269,684  
6,395   

TopBuild Corp.*

     1,725,307  
783   

Traeger Inc.*

     10,109  
4,226   

Tri Pointe Homes Inc.*

     105,523  
2,354   

Tupperware Brands Corp.*

     36,817  
475   

Universal Electronics Inc.*

     17,195  
659   

VOXX International Corp., Class A Shares*

     6,781  
2,416   

Vuzix Corp.*(a)

     26,020  
552   

Weber Inc., Class A Shares*(a)

     7,430  
     

 

 

 
  

Total Household Durables

     8,057,021  
     

 

 

 

Internet & Direct Marketing Retail - 0.5%

 

24,867   

1-800-Flowers.com Inc., Class A Shares*(a)

     740,539  
331   

1stdibs.com Inc.*(a)

     4,266  
1,949   

CarParts.com Inc.*

     24,109  
362   

Duluth Holdings Inc., Class B Shares*

     5,021  
929   

Groupon Inc., Class A Shares*

     19,193  
617   

Lands’ End Inc.*

     14,197  
937   

Liquidity Services Inc.*

     21,242  
1,611   

Overstock.com Inc.*(a)

     143,798  
809   

PetMed Express Inc.(a)

     22,134  
2,866   

Porch Group Inc.*(a)

     60,301  
3,250   

Quotient Technology Inc.*

     22,782  
14,055   

Qurate Retail Inc., Class A Shares

     112,440  

 

27


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Internet & Direct Marketing Retail - 0.5% - (continued)

 

2,868   

RealReal Inc. (The)*

   $ 44,655  
1,348   

Revolve Group Inc., Class A Shares*

     102,677  
878   

Shutterstock Inc

     100,101  
2,203   

Stitch Fix Inc., Class A Shares*(a)

     54,855  
5,301   

Wayfair Inc., Class A Shares*(a)

     1,313,800  
283   

Xometry Inc., Class A Shares*(a)

     14,068  
     

 

 

 
  

Total Internet & Direct Marketing Retail

     2,820,178  
     

 

 

 

Leisure Products - 0.4%

 

1,279   

Acushnet Holdings Corp.

     69,552  
597   

American Outdoor Brands Inc.*

     14,083  
3,492   

AMMO Inc.*(a)

     21,650  
11,820   

BRP Inc.

     935,080  
2,937   

Brunswick Corp.

     275,814  
4,331   

Callaway Golf Co.*

     116,764  
989   

Clarus Corp.

     26,100  
425   

Escalade Inc.

     7,229  
11,385   

Genius Brands International Inc.*(a)

     14,117  
1,555   

Hayward Holdings Inc.*

     38,066  
182   

Johnson Outdoors Inc., Class A Shares

     18,935  
922   

Latham Group Inc.*

     23,760  
769   

Malibu Boats Inc., Class A Shares*

     53,423  
338   

Marine Products Corp.

     3,995  
798   

MasterCraft Boat Holdings Inc.*

     21,833  
13,148   

Mattel Inc.*

     278,869  
1,281   

Nautilus Inc.*

     8,775  
2,153   

Polaris Inc.

     240,684  
1,794   

Smith & Wesson Brands Inc.

     40,814  
642   

Sturm Ruger & Co., Inc.

     46,025  
2,161   

Vista Outdoor Inc.*

     94,371  
3,228   

YETI Holdings Inc.*

     297,493  
     

 

 

 
  

Total Leisure Products

     2,647,432  
     

 

 

 

Multiline Retail - 0.2%

 

1,280   

Big Lots Inc.(a)

     55,527  
226   

Dillard’s Inc., Class A Shares(a)

     61,901  
1,020   

Franchise Group Inc.

     48,705  
5,910   

Kohl’s Corp.

     302,769  
11,787   

Macy’s Inc.(a)

     335,930  
4,158   

Nordstrom Inc.*(a)

     88,025  
2,453   

Ollie’s Bargain Outlet Holdings Inc.*(a)

     151,816  
     

 

 

 
  

Total Multiline Retail

     1,044,673  
     

 

 

 

Specialty Retail - 2.2%

 

1,199   

Aaron’s Co., Inc. (The)

     26,618  
2,298   

Abercrombie & Fitch Co., Class A Shares*

     82,728  
2,916   

Academy Sports & Outdoors Inc.*

     130,112  
5,689   

American Eagle Outfitters Inc.(a)

     147,288  
245   

America’s Car-Mart Inc.*

     24,044  
4,394   

Arko Corp.*

     41,435  
725   

Asbury Automotive Group Inc.*

     118,639  
1,706   

AutoNation Inc.*

     211,288  
1,564   

Barnes & Noble Education Inc.*

     10,979  
3,936   

Bed Bath & Beyond Inc.*(a)

     72,147  
855   

Big 5 Sporting Goods Corp.(a)

     20,289  
1,094   

Boot Barn Holdings Inc.*

     133,840  
1,110   

Buckle Inc. (The)

     52,214  
14,701   

Caleres Inc.

     347,091  
1,600   

Camping World Holdings Inc., Class A Shares(a)

     70,176  
2,993   

CarLotz Inc.*(a)

     8,859  
12,357   

CarMax Inc.*

     1,745,426  
597   

Cato Corp. (The), Class A Shares

     9,821  
40,742   

Chico’s FAS Inc.*

     233,452  

 

28


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Specialty Retail - 2.2% - (continued)

 

6,678   

Children’s Place Inc. (The)*

   $ 577,847  
297   

Citi Trends Inc.*

     25,186  
707   

Conn’s Inc.*

     15,469  
1,274   

Container Store Group Inc. (The)*

     14,817  
35,687   

Designer Brands Inc., Class A Shares*

     488,198  
2,377   

Dick’s Sporting Goods Inc.

     279,440  
7,136   

Five Below Inc.*

     1,451,748  
3,842   

Floor & Decor Holdings Inc., Class A Shares*

     495,272  
3,381   

Foot Locker Inc.

     154,309  
2,424   

GameStop Corp., Class A Shares*(a)

     475,613  
7,581   

Gap Inc. (The)

     125,314  
538   

Genesco Inc.*

     34,002  
661   

Group 1 Automotive Inc.

     128,730  
2,023   

GrowGeneration Corp.*(a)

     32,975  
1,476   

Guess? Inc.

     33,284  
560   

Haverty Furniture Cos., Inc.

     16,750  
593   

Hibbett Inc

     46,224  
452   

JOANN Inc.

     4,131  
569   

Kirkland’s Inc.*

     12,285  
289   

Lazydays Holdings Inc.*

     5,846  
5,177   

Leslie’s Inc.*

     108,510  
1,110   

Lithia Motors Inc., Class A Shares

     323,376  
960   

Lumber Liquidators Holdings Inc.*

     14,726  
762   

MarineMax Inc.*

     40,592  
18,924   

Monro Inc.

     1,060,123  
911   

Murphy USA Inc.

     157,904  
29,766   

National Vision Holdings Inc.*

     1,429,959  
24,226   

ODP Corp. (The)*

     914,774  
396   

OneWater Marine Inc., Class A Shares

     20,267  
3,799   

Party City Holdco Inc.*

     20,895  
1,207   

Penske Automotive Group Inc.

     120,241  
2,090   

Petco Health & Wellness Co., Inc., Class A Shares*(a)

     40,065  
2,473   

Rent-A-Center Inc.

     109,232  
647   

RH*

     377,317  
4,219   

Sally Beauty Holdings Inc.*

     82,650  
2,516   

Shift Technologies Inc.*

     11,599  
716   

Shoe Carnival Inc.

     27,996  
1,957   

Signet Jewelers Ltd.

     190,103  
866   

Sleep Number Corp.*(a)

     69,090  
801   

Sonic Automotive Inc., Class A Shares

     35,973  
1,503   

Sportsman’s Warehouse Holdings Inc.*

     25,596  
945   

Tilly’s Inc., Class A Shares

     14,194  
416   

Torrid Holdings Inc.*(a)

     6,768  
505   

TravelCenters of America Inc.*

     26,371  
2,563   

Urban Outfitters Inc.*(a)

     81,170  
4,326   

Vroom Inc.*(a)

     59,829  
2,900   

Williams-Sonoma Inc.

     565,036  
138   

Winmark Corp.

     34,790  
778   

Zumiez Inc.*

     35,601  
     

 

 

 
  

Total Specialty Retail

     13,908,633  
     

 

 

 

Textiles, Apparel & Luxury Goods - 1.0%

 

5,806   

Capri Holdings Ltd.*

     343,831  
14,578   

Carter’s Inc.

     1,472,815  
1,502   

Columbia Sportswear Co.

     146,490  
2,318   

Crocs Inc.*

     380,198  
1,034   

Deckers Outdoor Corp.*

     419,184  
1,945   

Fossil Group Inc.*

     23,243  
1,646   

G-III Apparel Group Ltd.*

     48,787  
13,084   

Hanesbrands Inc.

     211,307  
1,943   

Kontoor Brands Inc.

     104,767  

 

29


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER DISCRETIONARY - 8.6% - (continued)

 

Textiles, Apparel & Luxury Goods - 1.0% - (continued)

 

613   

Movado Group Inc.

   $ 27,505  
594   

Oxford Industries Inc.

     56,751  
858   

PLBY Group Inc.*

     32,904  
2,675   

PVH Corp.

     285,637  
1,780   

Ralph Lauren Corp., Class A Shares

     206,551  
279   

Rocky Brands Inc.

     9,913  
4,953   

Skechers USA Inc., Class A Shares*

     222,489  
3,056   

Steven Madden Ltd.

     145,007  
468   

Superior Group of Cos., Inc.

     10,464  
10,860   

Tapestry Inc.

     435,703  
6,921   

Under Armour Inc., Class A Shares*

     163,266  
7,666   

Under Armour Inc., Class C Shares*

     153,857  
548   

Unifi Inc.*

     11,163  
1,143   

Vera Bradley Inc.*

     10,870  
36,904   

Wolverine World Wide Inc.

     1,148,822  
     

 

 

 
  

Total Textiles, Apparel & Luxury Goods

     6,071,524  
     

 

 

 
   TOTAL CONSUMER DISCRETIONARY      53,301,170  
     

 

 

 

CONSUMER STAPLES - 4.0%

 

Beverages - 0.1%

 

351   

Boston Beer Co., Inc. (The), Class A Shares*

     158,361  
2,020   

Celsius Holdings Inc.*

     138,188  
177   

Coca-Cola Consolidated Inc.

     100,991  
815   

Duckhorn Portfolio Inc.(The)*

     15,656  
500   

MGP Ingredients Inc.

     38,990  
1,082   

National Beverage Corp.(a)

     56,199  
5,343   

NewAge Inc.*

     6,038  
5,840   

Primo Water Corp.

     97,061  
414   

Zevia PBC, Class A Shares*

     3,167  
     

 

 

 
  

Total Beverages

     614,651  
     

 

 

 

Food & Staples Retailing - 0.3%

 

5,882   

Albertsons Cos., Inc., Class A Shares(a)

     206,988  
1,177   

Andersons Inc. (The)

     39,994  
5,165   

BJ’s Wholesale Club Holdings Inc.*

     341,665  
1,397   

Casey’s General Stores Inc.

     271,423  
1,493   

Chefs’ Warehouse Inc. (The)*

     46,388  
3,290   

Grocery Outlet Holding Corp.*

     95,278  
1,410   

HF Foods Group Inc.*

     10,067  
495   

Ingles Markets Inc., Class A Shares

     38,006  
450   

MedAvail Holdings Inc.*

     779  
321   

Natural Grocers by Vitamin Cottage Inc.

     4,128  
5,679   

Performance Food Group Co.*

     228,920  
880   

PriceSmart Inc.

     63,114  
2,046   

Rite Aid Corp.*

     25,207  
1,254   

SpartanNash Co.

     30,008  
4,318   

Sprouts Farmers Market Inc.*

     114,254  
2,098   

United Natural Foods Inc.*

     104,313  
8,327   

US Foods Holding Corp.*

     261,634  
334   

Village Super Market Inc., Class A Shares

     7,101  
574   

Weis Markets Inc.

     36,133  
     

 

 

 
  

Total Food & Staples Retailing

     1,925,400  
     

 

 

 

Food Products - 1.8%

 

2,617   

AppHarvest Inc.*(a)

     13,111  
2,403   

B&G Foods Inc.(a)

     72,402  
2,159   

Beyond Meat Inc.*(a)

     151,691  
5,352   

Bunge Ltd.

     463,323  
13,960   

Calavo Growers Inc.

     565,938  
68,404   

Cal-Maine Foods Inc.

     2,466,648  
6,099   

Darling Ingredients Inc.*

     411,805  
7,048   

Flowers Foods Inc.

     181,979  
1,214   

Fresh Del Monte Produce Inc.

     30,059  

 

30


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

CONSUMER STAPLES - 4.0% - (continued)

 

Food Products - 1.8% - (continued)

 

1,538   

Freshpet Inc.*

   $ 166,135  
22,364   

Hain Celestial Group Inc. (The)*

     881,813  
4,910   

Hostess Brands Inc., Class A Shares*

     83,421  
2,540   

Ingredion Inc.

     236,550  
1,671   

J&J Snack Foods Corp.

     228,225  
323   

John B Sanfilippo & Son Inc.

     26,615  
247   

Laird Superfood Inc.*

     3,293  
5,497   

Lamb Weston Holdings Inc.

     285,404  
704   

Lancaster Colony Corp.

     102,925  
954   

Landec Corp.*

     7,584  
584   

Limoneira Co.

     8,538  
15,866   

Mission Produce Inc.*

     280,987  
1,791   

Pilgrim’s Pride Corp.*

     50,291  
2,219   

Post Holdings Inc.*(a)

     214,355  
15,801   

Sanderson Farms Inc.

     2,967,112  
11   

Seaboard Corp.

     42,790  
272   

Seneca Foods Corp., Class A Shares*

     11,617  
3,185   

Simply Good Foods Co. (The)*

     117,749  
2,386   

Tattooed Chef Inc.*(a)

     38,391  
626   

Tootsie Roll Industries Inc.

     19,688  
33,617   

TreeHouse Foods Inc.*

     1,233,744  
2,141   

Utz Brands Inc.

     30,210  
1,002   

Vital Farms Inc.*(a)

     16,944  
1,493   

Whole Earth Brands Inc.*

     15,766  
     

 

 

 
  

Total Food Products

     11,427,103  
     

 

 

 

Household Products - 0.8%

 

409   

Central Garden & Pet Co.*

     19,706  
1,476   

Central Garden & Pet Co., Class A Shares*

     63,985  
4,426   

Clorox Co. (The)

     720,774  
2,530   

Energizer Holdings Inc.(a)

     94,091  
26,253   

Henkel AG & Co. KGaA, ADR

     490,144  
22,437   

Kimberly-Clark Corp.

     2,923,765  
205   

Oil-Dri Corp. of America

     6,826  
2,016   

Reynolds Consumer Products Inc.

     58,827  
1,583   

Spectrum Brands Holdings Inc.

     158,458  
512   

WD-40 Co.(a)

     114,867  
     

 

 

 
  

Total Household Products

     4,651,443  
     

 

 

 

Personal Products - 1.0%

 

3,253   

Beauty Health Co.(The)*

     84,448  
180,271   

Beiersdorf AG, ADR

     3,608,124  
1,469   

BellRing Brands Inc., Class A Shares*

     31,613  
12,784   

Coty Inc., Class A Shares*

     124,388  
2,018   

Edgewell Personal Care Co.

     85,684  
1,866   

elf Beauty Inc.*

     56,204  
26,244   

Herbalife Nutrition Ltd.*

     980,476  
1,001   

Honest Co., Inc.(The)*

     8,549  
667   

Inter Parfums Inc.

     58,583  
437   

Medifast Inc.

     89,908  
462   

Nature’s Sunshine Products Inc.

     7,854  
17,291   

Nu Skin Enterprises Inc., Class A Shares(a)

     758,729  
325   

Revlon Inc., Class A Shares*

     3,695  
463   

USANA Health Sciences Inc.*

     46,170  
2,601   

Veru Inc.*

     19,508  
     

 

 

 
  

Total Personal Products

     5,963,933  
     

 

 

 

Tobacco - 0.0%

 

6,185   

22nd Century Group Inc.*

     15,524  
592   

Turning Point Brands Inc.

     22,496  
903   

Universal Corp.

     42,053  
5,354   

Vector Group Ltd.

     83,201  
     

 

 

 
  

Total Tobacco

     163,274  
     

 

 

 
   TOTAL CONSUMER STAPLES      24,745,804  
     

 

 

 

 

31


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

ENERGY - 2.6%

 

Energy Equipment & Services - 0.4%

 

4,852   

Archrock Inc.

   $ 35,856  
818   

Aspen Aerogels Inc.*

     46,757  
873   

Bristow Group Inc.*

     25,928  
2,002   

Cactus Inc., Class A Shares

     73,073  
7,556   

ChampionX Corp.*

     154,218  
759   

DMC Global Inc.*

     27,704  
14,109   

Dril-Quip Inc.*

     269,623  
1,119   

Expro Group Holdings NV*

     15,677  
354   

FTS International Inc., Class A Shares*

     9,324  
5,833   

Helix Energy Solutions Group Inc.*

     17,732  
3,858   

Helmerich & Payne Inc.

     86,612  
6,678   

ION Geophysical Corp.*(a)

     11,620  
3,535   

Liberty Oilfield Services Inc., Class A Shares*

     32,522  
245   

Nabors Industries Ltd.*

     19,958  
1,206   

National Energy Services Reunited Corp.*

     11,951  
3,902   

Newpark Resources Inc.*

     10,653  
91,653   

NexTier Oilfield Solutions Inc.*

     329,951  
14,471   

NOV Inc.*

     172,494  
32,436   

Oceaneering International Inc.*

     346,741  
45,866   

Oil States International Inc.*

     232,082  
23,556   

Patterson-UTI Energy Inc.

     166,305  
3,491   

ProPetro Holding Corp.*

     28,696  
2,530   

RPC Inc.*

     10,196  
2,584   

Select Energy Services Inc., Class A Shares*

     14,806  
1,342   

Solaris Oilfield Infrastructure Inc., Class A Shares

     9,179  
55,482   

TechnipFMC PLC*

     314,583  
33,980   

TETRA Technologies Inc.*

     88,688  
1,765   

Tidewater Inc.*

     18,409  
2,577   

US Silica Holdings Inc.*

     24,997  
     

 

 

 
  

Total Energy Equipment & Services

     2,606,335  
     

 

 

 

Oil, Gas & Consumable Fuels - 2.2%

 

979   

Aemetis Inc.*(a)

     18,366  
2,981   

Alto Ingredients Inc.*

     15,531  
133   

Altus Midstream Co., Class A Shares(a)

     8,430  
12,572   

Antero Midstream Corp.

     122,074  
10,741   

Antero Resources Corp.*

     188,612  
14,241   

APA Corp.

     366,991  
567   

Arch Resources Inc.

     43,937  
2,217   

Berry Corp.

     18,046  
1,559   

Brigham Minerals Inc., Class A Shares

     32,365  
3,103   

California Resources Corp.

     121,234  
1,495   

Callon Petroleum Co.*(a)

     76,006  
6,558   

Centennial Resource Development Inc., Class A Shares*

     40,856  
384   

Centrus Energy Corp., Class A Shares*

     21,308  
3,913   

Chesapeake Energy Corp.

     232,980  
1,808   

Civitas Resources Inc.

     92,407  
5,798   

Clean Energy Fuels Corp.*

     41,572  
35,217   

CNX Resources Corp.*

     480,360  
4,462   

Comstock Resources Inc.*

     36,098  
1,221   

CONSOL Energy Inc.*

     26,801  
6,026   

Contango Oil & Gas Co.*(a)

     20,970  
2,473   

Continental Resources Inc.(a)

     109,653  
30,104   

Coterra Energy Inc.

     604,488  
1,267   

CVR Energy Inc.

     19,778  
2,451   

Delek US Holdings Inc.

     38,432  
1,886   

Denbury Inc.*

     150,163  
62,839   

Devon Energy Corp.

     2,643,008  

 

32


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

ENERGY - 2.6% - (continued)

 

Oil, Gas & Consumable Fuels - 2.2% - (continued)

 

5,099   

DHT Holdings Inc.

   $ 28,299  
14,068   

Diamondback Energy Inc.

     1,501,478  
1,250   

Dorian LPG Ltd.

     15,388  
988   

Earthstone Energy Inc., Class A Shares*

     10,097  
5,540   

Energy Fuels Inc.*

     48,253  
11,522   

EQT Corp.*

     223,872  
15,307   

Equitrans Midstream Corp.

     147,253  
1,579   

Falcon Minerals Corp.

     7,327  
4,438   

Frontline Ltd.*

     30,400  
7,302   

Gevo Inc.*(a)

     41,987  
3,827   

Golar LNG Ltd.*

     45,159  
1,457   

Green Plains Inc.*

     56,313  
287   

HighPeak Energy Inc.(a)

     3,900  
5,676   

HollyFrontier Corp.

     183,448  
1,714   

International Seaways Inc.

     25,024  
14,531   

Kosmos Energy Ltd.*

     53,183  
445   

Laredo Petroleum Inc.*

     26,211  
5,236   

Magnolia Oil & Gas Corp., Class A Shares

     99,327  
29,631   

Marathon Oil Corp.

     458,984  
4,152   

Matador Resources Co.

     163,049  
5,495   

Murphy Oil Corp.

     146,057  
919   

New Fortress Energy Inc., Class A Shares

     22,874  
6,391   

Nordic American Tankers Ltd.

     12,654  
1,962   

Northern Oil & Gas Inc.

     39,986  
758   

Oasis Petroleum Inc.

     90,884  
10,183   

Ovintiv Inc.

     353,961  
1,868   

Par Pacific Holdings Inc.*

     25,293  
3,451   

PBF Energy Inc., Class A Shares*

     43,241  
24,374   

PDC Energy Inc.

     1,229,181  
2,885   

Peabody Energy Corp.*

     28,735  
50,745   

Range Resources Corp.*

     992,572  
589   

Ranger Oil Corp., Class A Shares*

     15,856  
1,678   

Renewable Energy Group Inc.*(a)

     80,175  
219   

REX American Resources Corp.*

     19,929  
112   

Riley Exploration Permian Inc.

     1,968  
1,980   

Scorpio Tankers Inc.

     27,542  
3,649   

SFL Corp., Ltd.

     30,433  
4,503   

SM Energy Co.

     130,587  
25,476   

Southwestern Energy Co.*

     114,132  
1,504   

Talos Energy Inc.*

     14,995  
8,482   

Targa Resources Corp.

     437,926  
2,758   

Teekay Corp.*

     9,157  
971   

Teekay Tankers Ltd., Class A Shares*

     10,904  
13,031   

Tellurian Inc.*

     42,481  
222   

Texas Pacific Land Corp.

     268,347  
8,473   

Uranium Energy Corp.*

     33,214  
7,355   

Ur-Energy Inc.*

     10,959  
4,209   

W&T Offshore Inc.*

     14,479  
1,477   

Whiting Petroleum Corp.*

     95,547  
2,353   

World Fuel Services Corp.

     58,801  
     

 

 

 
  

Total Oil, Gas & Consumable Fuels

     13,142,288  
     

 

 

 
   TOTAL ENERGY      15,748,623  
     

 

 

 

FINANCIALS - 13.0%

 

Banks - 5.1%

     
692   

1st Source Corp.

     32,005  
673   

Allegiance Bancshares Inc.

     27,209  
634   

Amalgamated Financial Corp.

     10,727  
727   

Amerant Bancorp Inc., Class A Shares*

     20,465  
450   

American National Bankshares Inc.

     16,461  
2,483   

Ameris Bancorp

     120,848  

 

33


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Banks - 5.1% - (continued)

 

579   

Arrow Financial Corp.

   $ 19,975  
6,207   

Associated Banc-Corp.

     135,933  
658   

Atlantic Capital Bancshares Inc.*

     18,385  
2,861   

Atlantic Union Bankshares Corp.

     93,011  
2,241   

Banc of California Inc.

     43,901  
622   

BancFirst Corp.

     39,578  
1,925   

Bancorp Inc. (The)*

     54,420  
292   

Bank First Corp.

     20,507  
1,644   

Bank of Hawaii Corp.

     131,158  
518   

Bank of Marin Bancorp

     17,944  
1,851   

Bank of NT Butterfield & Son Ltd. (The)

     68,172  
4,623   

Bank OZK

     206,694  
67,026   

BankUnited Inc.(a)

     2,656,911  
7,184   

Banner Corp.

     411,500  
482   

Bar Harbor Bankshares

     13,771  
25,371   

Berkshire Hills Bancorp Inc.

     677,659  
659   

Blue Ridge Bankshares Inc.

     11,737  
1,141   

BOK Financial Corp.

     117,763  
2,784   

Brookline Bancorp Inc.

     42,957  
783   

Bryn Mawr Bank Corp.

     34,922  
797   

Business First Bancshares Inc.

     21,917  
863   

Byline Bancorp Inc.

     22,412  
5,650   

Cadence Bank

     165,093  
257   

Cambridge Bancorp

     22,816  
546   

Camden National Corp.

     25,018  
297   

Capital Bancorp Inc.

     7,891  
632   

Capital City Bank Group Inc.

     16,754  
779   

Capstar Financial Holdings Inc.

     16,227  
946   

Carter Bankshares Inc.*

     13,726  
3,134   

Cathay General Bancorp

     131,346  
674   

CBTX Inc.

     18,737  
1,125   

Central Pacific Financial Corp.

     30,116  
3,716   

CIT Group Inc.

     182,307  
722   

Citizens & Northern Corp.

     17,862  
547   

City Holding Co.

     42,918  
563   

Civista Bancshares Inc.

     13,247  
656   

CNB Financial Corp.

     17,286  
367   

Coastal Financial Corp.*

     16,049  
2,679   

Columbia Banking System Inc.

     88,032  
19,595   

Comerica Inc.

     1,617,175  
4,005   

Commerce Bancshares Inc.

     279,549  
1,978   

Community Bank System Inc.

     139,765  
589   

Community Trust Bancorp Inc.

     24,738  
1,357   

ConnectOne Bancorp Inc.

     44,102  
1,918   

CrossFirst Bankshares Inc.*

     26,833  
2,159   

Cullen/Frost Bankers Inc.

     271,797  
1,108   

Customers Bancorp Inc.*

     63,865  
4,777   

CVB Financial Corp.

     91,288  
1,275   

Dime Community Bancshares Inc.

     43,732  
1,155   

Eagle Bancorp Inc.

     65,084  
5,332   

East West Bancorp Inc.

     410,564  
6,405   

Eastern Bankshares Inc.

     128,933  
403   

Enterprise Bancorp Inc.

     15,886  
1,317   

Enterprise Financial Services Corp.

     61,069  
542   

Equity Bancshares Inc., Class A Shares

     17,626  
1,023   

Farmers National Banc Corp.

     17,995  
1,241   

FB Financial Corp.

     53,239  
171   

Fidelity D&D Bancorp Inc.(a)

     8,723  
660   

Financial Institutions Inc.

     20,328  
8,636   

First Bancorp

     148,289  

 

34


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Banks - 5.1% - (continued)

 

488   

First Bancorp Inc. (The)

   $ 14,777  
718   

First Bancshares Inc. (The)

     27,901  
727   

First Bank

     10,520  
1,886   

First Busey Corp.

     48,470  
228   

First Citizens BancShares Inc., Class A Shares(a)

     183,307  
3,394   

First Commonwealth Financial Corp.

     51,012  
744   

First Community Bancshares Inc.

     24,329  
3,392   

First Financial Bancorp

     78,016  
4,840   

First Financial Bankshares Inc.

     241,613  
372   

First Financial Corp.

     16,167  
1,415   

First Foundation Inc.

     35,969  
5,367   

First Hawaiian Inc.

     140,884  
20,733   

First Horizon Corp.

     334,423  
357   

First Internet Bancorp

     15,462  
1,520   

First Interstate BancSystem Inc., Class A Shares

     62,016  
2,343   

First Merchants Corp.

     93,462  
677   

First Mid Bancshares Inc.

     28,454  
4,221   

First Midwest Bancorp Inc.

     83,280  
905   

First of Long Island Corp. (The)

     18,960  
155   

Five Star Bancorp.

     4,602  
1,082   

Flushing Financial Corp.

     25,557  
12,957   

FNB Corp.

     151,079  
14,335   

Fulton Financial Corp.

     226,350  
1,003   

German American Bancorp Inc.

     39,247  
4,165   

Glacier Bancorp Inc.

     226,159  
438   

Great Southern Bancorp Inc.

     24,366  
2,044   

Great Western Bancorp Inc.

     68,576  
344   

Guaranty Bancshares Inc.

     12,642  
3,230   

Hancock Whitney Corp.

     154,329  
1,156   

Hanmi Financial Corp.

     25,975  
1,727   

HarborOne Bancorp Inc.

     23,988  
538   

HBT Financial Inc.

     9,684  
1,517   

Heartland Financial USA Inc.

     72,057  
2,046   

Heritage Commerce Corp.

     22,424  
1,265   

Heritage Financial Corp.

     29,639  
2,384   

Hilltop Holdings Inc.

     81,128  
6,279   

Home BancShares Inc.

     150,256  
718   

HomeStreet Inc.

     35,448  
632   

HomeTrust Bancshares Inc.

     18,979  
4,339   

Hope Bancorp Inc.

     62,265  
1,537   

Horizon Bancorp Inc.

     29,818  
590   

Howard Bancorp Inc.*

     12,189  
123,446   

Huntington Bancshares Inc.

     1,831,939  
4,891   

Independent Bank Corp.

     339,836  
1,403   

Independent Bank Group Inc.

     97,410  
2,019   

International Bancshares Corp.

     84,818  
8,594   

Investors Bancorp Inc.

     127,965  
1,802   

Lakeland Bancorp Inc.

     32,238  
910   

Lakeland Financial Corp.

     64,264  
1,181   

Live Oak Bancshares Inc.

     105,227  
1,475   

Macatawa Bank Corp.

     12,419  
604   

Mercantile Bank Corp.

     20,282  
1,175   

Meta Financial Group Inc.

     70,230  
785   

Metrocity Bankshares Inc.

     21,116  
305   

Metropolitan Bank Holding Corp.*

     28,954  
367   

Mid Penn Bancorp Inc.

     11,546  
906   

Midland States Bancorp Inc.

     21,563  
475   

MidWestOne Financial Group Inc.

     14,630  
396   

MVB Financial Corp.

     16,264  
30,829   

National Bank Holdings Corp., Class A Shares

     1,313,932  

 

35


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Banks - 5.1% - (continued)

 

1,570   

NBT Bancorp Inc.

   $ 56,693  
393   

Nicolet Bankshares Inc.*

     28,025  
197   

Northrim BanCorp Inc.

     7,988  
2,169   

OceanFirst Financial Corp.

     44,703  
1,838   

OFG Bancorp

     44,296  
6,181   

Old National Bancorp.

     109,156  
1,045   

Old Second Bancorp Inc.

     12,906  
813   

Origin Bancorp Inc.

     34,300  
454   

Orrstown Financial Services Inc.

     10,624  
24,185   

Pacific Premier Bancorp Inc.

     937,169  
24,758   

PacWest Bancorp

     1,107,673  
540   

Park National Corp.

     70,249  
732   

Peapack Gladstone Financial Corp.

     24,215  
927   

Peoples Bancorp Inc.

     28,589  
314   

Peoples Financial Services Corp.

     14,880  
16,846   

People’s United Financial Inc.

     287,056  
2,795   

Pinnacle Financial Partners Inc.

     266,671  
2,991   

Popular Inc.

     232,760  
386   

Preferred Bank

     26,306  
950   

Primis Financial Corp.

     14,516  
3,356   

Prosperity Bancshares Inc.

     239,216  
532   

QCR Holdings Inc.

     28,696  
632   

RBB Bancorp

     15,459  
148   

Red River Bancshares Inc.

     7,814  
514   

Reliant Bancorp Inc.

     17,101  
2,046   

Renasant Corp.

     74,536  
341   

Republic Bancorp Inc., Class A Shares

     17,469  
1,597   

Republic First Bancorp Inc.*

     5,398  
1,383   

S&T Bancorp Inc.

     41,366  
1,733   

Sandy Spring Bancorp Inc.

     81,330  
2,006   

Seacoast Banking Corp. of Florida

     67,743  
1,871   

ServisFirst Bancshares Inc.

     150,410  
651   

Sierra Bancorp

     16,392  
5,991   

Signature Bank

     1,811,079  
3,687   

Silvergate Capital Corp., Class A Shares*

     753,918  
4,008   

Simmons First National Corp., Class A Shares

     116,673  
475   

SmartFinancial Inc.

     12,193  
359   

South Plains Financial Inc.

     8,975  
351   

Southern First Bancshares Inc.*

     20,544  
1,166   

Southside Bancshares Inc.

     47,514  
2,612   

SouthState Corp.

     204,102  
414   

Spirit of Texas Bancshares Inc.

     11,509  
7,166   

Sterling Bancorp

     177,788  
842   

Stock Yards Bancorp Inc.

     50,377  
512   

Summit Financial Group Inc.

     12,800  
5,457   

Synovus Financial Corp.

     247,148  
30,599   

Texas Capital Bancshares Inc.*

     1,723,336  
530   

Tompkins Financial Corp.

     41,425  
9,191   

Towne Bank

     281,153  
1,015   

TriCo Bancshares

     42,792  
1,191   

TriState Capital Holdings Inc.*

     35,623  
880   

Triumph Bancorp Inc.*

     112,068  
2,347   

Trustmark Corp.

     71,842  
7,815   

UMB Financial Corp.

     786,033  
8,974   

Umpqua Holdings Corp.

     171,044  
5,011   

United Bankshares Inc.

     179,043  
16,433   

United Community Banks Inc.

     563,159  
1,083   

Univest Financial Corp.

     29,858  
59,879   

Valley National Bancorp

     804,774  
1,762   

Veritex Holdings Inc.

     69,828  

 

36


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Banks - 5.1% - (continued)

 

637   

Washington Trust Bancorp Inc.

   $ 34,271  
3,383   

Webster Financial Corp.

     182,310  
2,361   

WesBanco Inc.

     76,851  
691   

West Bancorporation Inc.

     21,442  
949   

Westamerica Bancorp

     51,037  
12,016   

Western Alliance Bancorp

     1,319,116  
2,137   

Wintrust Financial Corp.

     187,052  
6,066   

Zions Bancorp NA

     382,643  
     

 

 

 
  

Total Banks

     31,458,384  
     

 

 

 

Capital Markets - 2.5%

 

1,554   

Affiliated Managers Group Inc.

     264,382  
5,204   

Ares Management Corp., Class A Shares

     422,357  
2,212   

Artisan Partners Asset Management Inc., Class A Shares

     98,943  
601   

Assetmark Financial Holdings Inc.*

     15,241  
56   

Associated Capital Group Inc., Class A Shares

     2,212  
755   

B. Riley Financial Inc.

     58,460  
12,413   

BGC Partners Inc., Class A Shares

     55,486  
1,759   

Blucora Inc.*

     28,478  
2,171   

Brightsphere Investment Group Inc.(a)

     65,195  
6,159   

Carlyle Group Inc. (The)

     336,836  
4,120   

Cboe Global Markets Inc.

     531,233  
15,003   

Cohen & Steers Inc.

     1,346,819  
1,094   

Cowen Inc., Class A Shares

     38,706  
114   

Diamond Hill Investment Group Inc.

     21,898  
1,047   

Donnelley Financial Solutions Inc.*

     48,916  
6,013   

Evercore Inc., Class A Shares

     834,003  
1,434   

FactSet Research Systems Inc.

     671,929  
3,540   

Federated Hermes Inc., Class B Shares

     119,333  
2,237   

Focus Financial Partners Inc., Class A Shares*

     137,665  
205   

GAMCO Investors Inc., Class A Shares

     5,018  
1,354   

GCM Grosvenor Inc., Class A Shares(a)

     15,517  
659   

Greenhill & Co., Inc.

     11,242  
1,271   

Hamilton Lane Inc., Class A Shares

     134,434  
1,929   

Houlihan Lokey Inc., Class A Shares

     209,374  
12,618   

Invesco Ltd.

     281,760  
6,444   

Janus Henderson Group PLC

     275,352  
8,281   

Jefferies Financial Group Inc.

     311,200  
3,788   

Lazard Ltd., Class A Shares

     161,445  
3,087   

LPL Financial Holdings Inc.

     486,542  
2,299   

Moelis & Co., Class A Shares

     140,952  
4,440   

Moody’s Corp.

     1,734,442  
886   

Morningstar Inc.

     274,952  
6,013   

Nasdaq Inc.

     1,222,022  
22,252   

Northern Trust Corp.

     2,574,556  
3,916   

Open Lending Corp., Class A Shares*

     91,008  
296   

Oppenheimer Holdings Inc., Class A Shares

     14,516  
654   

Piper Sandler Cos

     108,400  
901   

PJT Partners Inc., Class A Shares

     68,548  
805   

Pzena Investment Management Inc., Class A Shares

     7,551  
735   

Sculptor Capital Management Inc., Class A Shares

     13,318  
4,094   

SEI Investments Co.

     244,125  
42,170   

SLR Investment Corp.(a)

     803,338  
16,288   

StepStone Group Inc., Class A Shares.

     673,835  
3,860   

Stifel Financial Corp.

     274,099  
644   

StoneX Group Inc.*

     36,177  
3,455   

Virtu Financial Inc., Class A Shares

     97,362  
276   

Virtus Investment Partners Inc.

     82,077  
4,904   

WisdomTree Investments Inc.

     30,111  
     

 

 

 
  

Total Capital Markets

     15,481,365  
     

 

 

 

 

37


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Consumer Finance - 0.3%

 

216   

Atlanticus Holdings Corp.*

   $ 12,837  
330   

Credit Acceptance Corp.*(a)

     206,217  
874   

Curo Group Holdings Corp.

     14,500  
1,132   

Encore Capital Group Inc.*(a)

     66,041  
1,323   

Enova International Inc.*

     50,433  
2,154   

EZCORP Inc., Class A Shares*

     15,940  
1,493   

FirstCash Inc.

     95,313  
2,003   

Green Dot Corp., Class A Shares*

     71,908  
3,663   

LendingClub Corp.*

     119,853  
433   

LendingTree Inc.*

     49,093  
6,202   

Navient Corp.

     122,365  
633   

Nelnet Inc., Class A Shares

     54,565  
3,928   

OneMain Holdings Inc., Class A Shares

     195,575  
788   

Oportun Financial Corp.*

     16,918  
1,703   

PRA Group Inc.*

     72,309  
2,482   

PROG Holdings Inc.*(a)

     111,988  
276   

Regional Management Corp.

     15,610  
2,285   

Santander Consumer USA Holdings Inc.

     95,399  
12,210   

SLM Corp.

     217,094  
1,701   

Upstart Holdings Inc.*

     348,518  
155   

World Acceptance Corp.*

     31,840  
     

 

 

 
  

Total Consumer Finance

     1,984,316  
     

 

 

 

Diversified Financial Services - 0.2%

 

699   

Alerus Financial Corp.

     21,040  
356   

A-Mark Precious Metals Inc.

     24,653  
1,063   

Banco Latinoamericano de Comercio Exterior SA, Class E Shares

     17,274  
3,161   

Cannae Holdings Inc.*

     93,471  
329   

Marlin Business Services Corp.

     7,551  
14,039   

Voya Financial Inc.

     872,383  
     

 

 

 
  

Total Diversified Financial Services

     1,036,372  
     

 

 

 

Insurance - 4.1%

 

2,317   

Alleghany Corp.*

     1,498,821  
1,588   

Ambac Financial Group Inc.*

     23,725  
3,093   

American Equity Investment Life Holding Co.

     104,018  
2,561   

American Financial Group Inc.

     342,175  
281   

American National Group Inc.

     53,179  
695   

AMERISAFE Inc.

     36,898  
1,168   

Argo Group International Holdings Ltd.

     63,399  
2,218   

Assurant Inc.

     337,358  
2,651   

Assured Guaranty Ltd.

     129,819  
4,371   

Athene Holding Ltd., Class A Shares*

     358,072  
2,907   

Axis Capital Holdings Ltd.

     144,420  
1,571   

Bright Health Group Inc.*(a)

     5,231  
3,359   

Brighthouse Financial Inc.*

     163,281  
8,845   

Brown & Brown Inc.

     569,706  
46,419   

BRP Group Inc., Class A Shares*

     1,719,360  
9,056   

Chubb Ltd.

     1,625,280  
2,289   

Citizens Inc., Class A Shares*

     12,979  
4,804   

CNO Financial Group Inc.

     108,859  
698   

Crawford & Co., Class A Shares

     5,088  
558   

Donegal Group Inc., Class A Shares

     7,589  
22,067   

eHealth Inc.*

     487,239  
1,059   

Employers Holdings Inc.

     40,888  
466   

Enstar Group Ltd.*

     103,965  
951   

Erie Indemnity Co., Class A Shares(a)

     176,705  
11,010   

Everest Re Group Ltd.

     2,822,744  
4,025   

First American Financial Corp.

     298,575  
19,054   

Genworth Financial Inc., Class A Shares*

     72,786  
3,903   

Globe Life Inc.

     337,766  
1,888   

GoHealth Inc., Class A Shares*

     6,684  

 

38


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Insurance - 4.1% - (continued)

 

664   

Goosehead Insurance Inc., Class A Shares

   $ 87,196  
1,274   

Greenlight Capital Re Ltd., Class A Shares*

     8,612  
1,347   

Hanover Insurance Group Inc. (The)

     163,997  
10,609   

Hartford Financial Services Group Inc. (The)

     701,255  
289   

HCI Group Inc.

     31,906  
931   

Heritage Insurance Holdings Inc.

     6,200  
1,539   

Horace Mann Educators Corp.

     57,051  
214   

Independence Holding Co.

     12,091  
67   

Investors Title Co.

     14,472  
1,352   

James River Group Holdings Ltd.

     35,747  
2,269   

Kemper Corp.

     125,521  
801   

Kinsale Capital Group Inc.

     166,608  
1,436   

Lemonade Inc.*(a)

     71,010  
2,760   

Maiden Holdings Ltd.*

     8,280  
2,186   

Markel Corp.*

     2,611,877  
1,900   

MBIA Inc.*

     22,344  
1,007   

Mercury General Corp.

     51,377  
2,942   

MetLife Inc.

     172,578  
1,474   

MetroMile Inc.*

     3,744  
103   

National Western Life Group Inc., Class A Shares

     20,976  
380   

NI Holdings Inc.*

     7,045  
10,573   

Old Republic International Corp.

     253,329  
8,391   

Palomar Holdings Inc.*

     613,214  
6,424   

Primerica Inc.

     945,292  
1,954   

ProAssurance Corp.

     44,942  
9,339   

Reinsurance Group of America Inc., Class A Shares

     886,364  
1,753   

RenaissanceRe Holdings Ltd.

     270,155  
1,490   

RLI Corp.

     153,142  
537   

Safety Insurance Group Inc.

     41,494  
2,222   

Selective Insurance Group Inc.

     167,850  
5,013   

Selectquote Inc.*

     45,117  
3,163   

SiriusPoint Ltd.*

     24,355  
657   

State Auto Financial Corp.

     33,809  
1,010   

Stewart Information Services Corp.

     71,932  
845   

Tiptree Inc.

     11,010  
26,098   

Travelers Cos., Inc. (The)

     3,835,101  
758   

Trean Insurance Group Inc.*

     6,375  
1,427   

Trupanion Inc.*

     175,978  
843   

United Fire Group Inc.

     17,636  
904   

United Insurance Holdings Corp.

     3,734  
1,145   

Universal Insurance Holdings Inc.

     17,255  
7,696   

Unum Group

     177,778  
115   

White Mountains Insurance Group Ltd.

     115,333  
17,386   

WR Berkley Corp.

     1,332,463  
     

 

 

 
  

Total Insurance

     25,280,154  
     

 

 

 

Mortgage Real Estate Investment Trusts (REITs) - 0.4%

 

302   

AFC Gamma Inc.

     6,532  
19,898   

AGNC Investment Corp.

     304,240  
286   

Angel Oak Mortgage Inc.

     4,665  
5,296   

Apollo Commercial Real Estate Finance Inc.

     71,655  
5,234   

Arbor Realty Trust Inc.

     91,857  
1,519   

Ares Commercial Real Estate Corp.

     22,360  
3,036   

ARMOUR Residential REIT Inc.

     29,722  
5,968   

Blackstone Mortgage Trust Inc., Class A Shares

     179,040  
2,969   

BrightSpire Capital Inc., Class A Shares

     27,760  
4,840   

Broadmark Realty Capital Inc.

     43,560  
8,909   

Chimera Investment Corp.

     141,653  
1,234   

Dynex Capital Inc.

     20,632  
1,694   

Ellington Financial Inc.

     28,070  
1,156   

Franklin BSP Realty Trust Inc.*

     17,733  

 

39


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 13.0% - (continued)

 

Mortgage Real Estate Investment Trusts (REITs) - 0.4% - (continued)

 

1,891   

Granite Point Mortgage Trust Inc.

   $ 23,316  
885   

Great Ajax Corp.

     11,186  
2,868   

Hannon Armstrong Sustainable Infrastructure Capital Inc.

     163,132  
11,351   

Invesco Mortgage Capital Inc.

     34,053  
1,123   

KKR Real Estate Finance Trust Inc.

     23,167  
4,155   

Ladder Capital Corp., Class A Shares

     47,325  
16,609   

MFA Financial Inc.

     71,253  
16,414   

New Residential Investment Corp.

     174,481  
14,271   

New York Mortgage Trust Inc.

     53,231  
4,625   

Orchid Island Capital Inc., Class A Shares

     20,905  
3,691   

PennyMac Mortgage Investment Trust

     64,113  
2,050   

Ready Capital Corp.

     31,488  
4,246   

Redwood Trust Inc.

     54,434  
10,384   

Starwood Property Trust Inc.

     259,185  
2,181   

TPG RE Finance Trust Inc.

     26,608  
11,798   

Two Harbors Investment Corp.

     69,372  
     

 

 

 
  

Total Mortgage Real Estate Investment Trusts (REITs)

     2,116,728  
     

 

 

 

Thrifts & Mortgage Finance - 0.4%

 

2,112   

Axos Financial Inc.*

     119,560  
936   

Blue Foundry Bancorp*

     13,638  
835   

Bridgewater Bancshares Inc.*

     14,270  
4,776   

Capitol Federal Financial Inc.

     54,255  
1,379   

Columbia Financial Inc.*

     25,153  
4,140   

Essent Group Ltd.

     172,141  
346   

Federal Agricultural Mortgage Corp., Class C Shares

     42,115  
1,390   

Finance Of America Cos Inc., Class A Shares*

     5,699  
1,968   

Flagstar Bancorp Inc.

     91,591  
342   

FS Bancorp Inc.

     11,101  
52   

Hingham Institution for Savings

     20,311  
274   

Home Bancorp Inc.

     11,081  
437   

Home Point Capital Inc.

     1,682  
2,579   

Kearny Financial Corp.

     32,779  
760   

Luther Burbank Corp.

     10,480  
391   

Merchants Bancorp

     17,834  
12,732   

MGIC Investment Corp.

     179,521  
2,661   

Mr Cooper Group Inc.*

     104,497  
18,092   

New York Community Bancorp Inc.

     216,742  
3,127   

NMI Holdings Inc., Class A Shares*

     61,289  
1,560   

Northfield Bancorp Inc.

     26,286  
4,687   

Northwest Bancshares Inc.

     62,243  
321   

Ocwen Financial Corp.*

     10,234  
584   

PCSB Financial Corp.

     10,629  
1,233   

PennyMac Financial Services Inc.

     78,086  
545   

Pioneer Bancorp Inc.*

     6,802  
1,321   

Premier Financial Corp.

     38,837  
580   

Provident Bancorp Inc.

     10,504  
2,839   

Provident Financial Services Inc.

     66,830  
7,529   

Radian Group Inc.

     153,366  
324   

Southern Missouri Bancorp Inc.

     17,305  
1,823   

TFS Financial Corp.

     32,814  
651   

TrustCo Bank Corp. NY

     21,262  
3,455   

UWM Holdings Corp.(a)

     23,805  
342   

Velocity Financial Inc.*

     4,131  
1,100   

Walker & Dunlop Inc.

     154,759  
2,546   

Washington Federal Inc.

     82,720  
896   

Waterstone Financial Inc.

     18,592  
9,954   

WSFS Financial Corp.

     494,913  
     

 

 

 
  

Total Thrifts & Mortgage Finance

     2,519,857  
     

 

 

 
  

TOTAL FINANCIALS

     79,877,176  
     

 

 

 

 

40


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2%

 

Biotechnology - 3.1%

 

828   

2seventy bio Inc.*

   $ 21,810  
754   

4D Molecular Therapeutics Inc.*

     17,342  
438   

89bio Inc.*

     5,786  
4,420   

ACADIA Pharmaceuticals Inc.*

     84,864  
326   

Acumen Pharmaceuticals Inc.*

     2,575  
776   

Adagio Therapeutics Inc.*

     36,503  
825   

Adicet Bio Inc.*

     8,778  
870   

Aduro Biotech*(b)(c)

     2,610  
3,265   

Adverum Biotechnologies Inc.*

     5,681  
1,772   

Aeglea BioTherapeutics Inc.*

     11,057  
321   

Aerovate Therapeutics Inc.*(a)

     4,401  
4,001   

Affimed NV*

     27,287  
8,092   

Agenus Inc.*

     25,490  
2,197   

Agios Pharmaceuticals Inc.*

     78,257  
6,518   

Akebia Therapeutics Inc.*

     17,664  
1,055   

Akero Therapeutics Inc.*

     22,429  
989   

Akouos Inc.*

     7,605  
720   

Albireo Pharma Inc.*

     17,273  
1,990   

Aldeyra Therapeutics Inc.*

     15,263  
2,163   

Alector Inc.*

     44,666  
769   

Aligos Therapeutics Inc.*

     11,781  
5,977   

Alkermes PLC*

     131,016  
1,306   

Allakos Inc.*

     102,325  
2,526   

Allogene Therapeutics Inc.*

     46,706  
1,036   

Allovir Inc.*

     18,089  
460   

Alpine Immune Sciences Inc.*(a)

     4,982  
1,330   

Altimmune Inc.*

     13,952  
662   

ALX Oncology Holdings Inc.*

     21,290  
9,800   

Amicus Therapeutics Inc.*

     104,958  
800   

AnaptysBio Inc.*

     25,880  
2,991   

Anavex Life Sciences Corp.*(a)

     58,025  
599   

Anika Therapeutics Inc.*

     23,439  
1,278   

Annexon Inc.*

     20,819  
2,414   

Apellis Pharmaceuticals Inc.*

     101,581  
1,013   

Applied Molecular Transport Inc.*

     17,221  
730   

Applied Therapeutics Inc.*

     8,380  
2,125   

AquaBounty Technologies Inc.*

     5,568  
3,139   

Arbutus Biopharma Corp.*

     10,045  
758   

Arcturus Therapeutics Holdings Inc.*

     30,131  
1,688   

Arcus Biosciences Inc.*(a)

     73,934  
1,135   

Arcutis Biotherapeutics Inc.*

     18,807  
3,557   

Ardelyx Inc.*

     4,055  
2,280   

Arena Pharmaceuticals Inc.*

     124,237  
3,790   

Arrowhead Pharmaceuticals Inc.*

     265,490  
8,020   

Ascendis Pharma AS, ADR*

     1,098,900  
3,062   

Atara Biotherapeutics Inc.*

     54,779  
3,372   

Athenex Inc.*

     5,968  
8,338   

Athersys Inc.*(a)

     8,838  
4,796   

Atossa Therapeutics Inc.*

     10,887  
1,027   

Atreca Inc., Class A Shares*

     3,687  
2,121   

Avalo Therapeutics Inc.*

     4,242  
2,239   

Avid Bioservices Inc.*

     68,424  
1,298   

Avidity Biosciences Inc.*

     28,984  
975   

Avita Medical Inc.*

     13,416  
1,397   

Avrobio Inc.*

     5,364  
1,864   

Beam Therapeutics Inc.*

     147,536  
777   

Beyondspring Inc.*(a)

     9,922  
587   

BioAtla Inc.*

     14,822  
6,635   

BioCryst Pharmaceuticals Inc.*

     80,018  

 

41


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Biotechnology - 3.1% - (continued)

 

2,084   

Biohaven Pharmaceutical Holding Co., Ltd.*

   $ 233,908  
336   

Biomea Fusion Inc.*(a)

     4,056  
654   

Bioxcel Therapeutics Inc.*

     14,996  
922   

Black Diamond Therapeutics Inc.*

     5,532  
2,485   

Bluebird Bio Inc.*

     25,123  
15,501   

Blueprint Medicines Corp.*(a)

     1,491,196  
795   

Bolt Biotherapeutics Inc.*(a)

     7,370  
4,010   

Bridgebio Pharma Inc.*

     162,405  
971   

Brooklyn ImmunoTherapeutics Inc.*

     5,777  
1,415   

C4 Therapeutics Inc.*

     52,525  
1,472   

Cardiff Oncology Inc.*

     8,273  
1,882   

CareDx Inc.*

     81,189  
685   

Caribou Biosciences Inc.*

     12,734  
3,160   

Catalyst Pharmaceuticals Inc.*

     22,120  
320   

Celcuity Inc.*

     4,832  
1,713   

Celldex Therapeutics Inc.*

     65,265  
1,447   

CEL-SCI Corp.*(a)

     14,861  
401   

Century Therapeutics Inc.*(a)

     7,663  
1,490   

Cerevel Therapeutics Holdings Inc.*

     46,473  
2,000   

ChemoCentryx Inc.*

     72,560  
3,006   

Chimerix Inc.*

     18,908  
1,280   

Chinook Therapeutics Inc.*

     20,493  
900   

Clene Inc.*

     5,121  
4,071   

Clovis Oncology Inc.*(a)

     12,864  
637   

Codiak Biosciences Inc.*

     8,122  
1,507   

Cogent Biosciences Inc.*(a)

     11,935  
44,203   

Coherus Biosciences Inc.*

     820,850  
742   

Cortexyme Inc.*(a)

     9,653  
1,490   

Crinetics Pharmaceuticals Inc.*

     40,707  
1,143   

Cue Biopharma Inc.*

     14,013  
940   

Cullinan Oncology Inc.*

     16,920  
2,955   

Curis Inc.*

     14,420  
253   

Cyteir Therapeutics Inc.*(a)

     4,202  
2,959   

Cytokinetics Inc.*

     116,407  
2,753   

CytomX Therapeutics Inc.*

     18,197  
367   

Day One Biopharmaceuticals Inc.*(a)

     6,742  
1,442   

Deciphera Pharmaceuticals Inc.*

     12,444  
3,405   

Denali Therapeutics Inc.*

     157,515  
975   

DermTech Inc.*

     19,578  
543   

Design Therapeutics Inc.*(a)

     9,090  
2,590   

Dicerna Pharmaceuticals Inc.*

     98,446  
4,026   

Dynavax Technologies Corp.*(a)

     65,020  
1,231   

Dyne Therapeutics Inc.*

     17,493  
423   

Eagle Pharmaceuticals Inc.*

     20,169  
2,556   

Editas Medicine Inc., Class A Shares*(a)

     83,479  
1,397   

Eiger BioPharmaceuticals Inc.*

     8,592  
226   

Eliem Therapeutics Inc.*(a)

     3,252  
13,416   

Emergent BioSolutions Inc.*

     591,914  
710   

Enanta Pharmaceuticals Inc.*

     62,679  
3,809   

Epizyme Inc.*

     12,455  
724   

Erasca Inc.*

     10,259  
1,296   

Evelo Biosciences Inc.*

     11,172  
487   

Exagen Inc.*

     5,006  
11,660   

Exelixis Inc.*

     195,771  
16,830   

Fate Therapeutics Inc.*

     925,818  
3,071   

FibroGen Inc.*

     38,418  
290   

Finch Therapeutics Group Inc.*(a)

     4,820  
784   

Foghorn Therapeutics Inc.*

     9,071  
1,285   

Forma Therapeutics Holdings Inc.*

     18,620  
457   

Forte Biosciences Inc.*

     1,216  

 

42


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Biotechnology - 3.1% - (continued)

 

3,102   

Fortress Biotech Inc.*

   $ 8,841  
1,265   

Frequency Therapeutics Inc.*

     6,452  
1,609   

G1 Therapeutics Inc.*

     20,756  
875   

Gemini Therapeutics Inc., Class A Shares*

     2,415  
1,631   

Generation Bio Co.*

     28,004  
11,885   

Geron Corp.*

     17,590  
2,188   

Global Blood Therapeutics Inc.*

     61,833  
2,509   

Gossamer Bio Inc.*

     27,198  
552   

Graphite Bio Inc.*(a)

     4,979  
162   

Greenwich Lifesciences Inc.*(a)

     5,092  
1,646   

Gritstone bio Inc.*

     21,727  
972   

GT Biopharma Inc.*

     3,956  
5,265   

Halozyme Therapeutics Inc.*

     173,113  
764   

Harpoon Therapeutics Inc.*

     4,691  
3,376   

Heron Therapeutics Inc.*

     31,903  
1,849   

Homology Medicines Inc.*

     9,337  
627   

Hookipa Pharma Inc.*

     2,025  
1,841   

Humanigen Inc.*

     11,156  
9,151   

iBio Inc.*

     6,818  
476   

Icosavax Inc.*(a)

     10,072  
1,149   

Ideaya Biosciences Inc.*

     25,278  
297   

IGM Biosciences Inc.*

     14,826  
325   

Imago Biosciences Inc.*

     7,270  
267   

Immuneering Corp., Class A Shares*(a)

     6,042  
621   

Immunic Inc.*

     5,297  
2,754   

ImmunityBio Inc.*

     21,454  
7,281   

ImmunoGen Inc.*

     44,924  
1,336   

Immunovant Inc.*

     10,287  
339   

Impel Neuropharma Inc.*(a)

     3,132  
3,573   

Infinity Pharmaceuticals Inc.*

     7,753  
1,000   

Inhibrx Inc.*

     40,430  
7,670   

Inovio Pharmaceuticals Inc.*(a)

     55,531  
606   

Inozyme Pharma Inc.*

     4,812  
4,282   

Insmed Inc.*

     117,841  
708   

Instil Bio Inc.*

     15,562  
2,675   

Intellia Therapeutics Inc.*

     307,652  
1,096   

Intercept Pharmaceuticals Inc.*(a)

     18,862  
33,372   

Invitae Corp.*(a)

     567,324  
5,237   

Ionis Pharmaceuticals Inc.*

     138,781  
5,535   

Iovance Biotherapeutics Inc.*

     103,615  
99,366   

Ironwood Pharmaceuticals Inc., Class A Shares*

     1,101,969  
842   

iTeos Therapeutics Inc.*

     29,723  
3,872   

IVERIC bio Inc.*

     56,609  
458   

Janux Therapeutics Inc.*(a)

     8,143  
1,329   

Jounce Therapeutics Inc.*

     10,193  
871   

KalVista Pharmaceuticals Inc.*

     12,630  
827   

Karuna Therapeutics Inc.*

     105,773  
3,010   

Karyopharm Therapeutics Inc.*

     20,919  
641   

Keros Therapeutics Inc.*

     35,761  
1,305   

Kezar Life Sciences Inc.*

     18,087  
1,280   

Kiniksa Pharmaceuticals Ltd., Class A Shares*

     14,874  
890   

Kinnate Biopharma Inc.*

     17,782  
1,251   

Kodiak Sciences Inc.*

     114,892  
1,382   

Kronos Bio Inc.*

     16,321  
646   

Krystal Biotech Inc.*(a)

     52,035  
2,356   

Kura Oncology Inc.*

     32,890  
1,280   

Kymera Therapeutics Inc.*

     71,066  
2,519   

Lexicon Pharmaceuticals Inc.*

     11,537  
564   

Ligand Pharmaceuticals Inc.*

     91,323  
4,915   

Lineage Cell Therapeutics Inc.*(a)

     11,108  

 

43


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Biotechnology - 3.1% - (continued)

 

785   

Lyell Immunopharma Inc.*(a)

   $ 7,497  
2,238   

MacroGenics Inc.*

     39,389  
404   

Madrigal Pharmaceuticals Inc.*

     33,415  
1,217   

Magenta Therapeutics Inc.*

     6,852  
9,192   

MannKind Corp.*

     42,559  
4,472   

MEI Pharma Inc.*

     15,071  
1,279   

MeiraGTx Holdings PLC*

     22,613  
2,828   

Mersana Therapeutics Inc.*

     19,061  
4,556   

MiMedx Group Inc.*

     31,938  
1,477   

Mirati Therapeutics Inc.*

     202,009  
194   

Mirum Pharmaceuticals Inc.*

     2,761  
1,501   

Molecular Templates Inc.*

     6,019  
398   

Monte Rosa Therapeutics Inc.*(a)

     7,717  
773   

Morphic Holding Inc.*

     36,872  
2,796   

Mustang Bio Inc.*

     5,648  
2,883   

Myriad Genetics Inc.*

     74,554  
3,148   

Natera Inc.*

     287,916  
1,619   

Neoleukin Therapeutics Inc.*

     8,678  
3,522   

Neurocrine Biosciences Inc.*

     293,206  
626   

NexImmune Inc.*

     4,945  
594   

Nkarta Inc.*

     9,439  
2,872   

Novavax Inc.*(a)

     599,185  
1,150   

Nurix Therapeutics Inc.*

     33,143  
377   

Nuvalent Inc., Class A Shares*(a)

     8,041  
6,873   

Ocugen Inc.*

     43,575  
910   

Olema Pharmaceuticals Inc.*

     7,963  
233   

Omega Therapeutics Inc.*

     4,215  
1,653   

Oncocyte Corp.*

     3,719  
829   

Oncorus Inc.*

     4,593  
1,785   

Oncternal Therapeutics Inc.*

     5,266  
19   

Oncternal Therapeutics Inc.*(b)(c)

     19  
14,826   

OPKO Health Inc.*(a)

     58,266  
1,569   

Organogenesis Holdings Inc., Class A Shares*

     15,784  
1,203   

ORIC Pharmaceuticals Inc.*

     16,650  
3,559   

Outlook Therapeutics Inc.*

     5,374  
452   

Oyster Point Pharma Inc.*(a)

     4,714  
1,516   

Passage Bio Inc.*

     11,052  
898   

PMV Pharmaceuticals Inc.*

     19,532  
144   

Portage Biotech Inc.*

     2,121  
1,232   

Poseida Therapeutics Inc.*

     8,562  
1,252   

Praxis Precision Medicines Inc.*

     21,422  
3,881   

Precigen Inc.*

     15,291  
1,991   

Precision BioSciences Inc.*

     18,038  
477   

Prelude Therapeutics Inc.*(a)

     6,816  
456   

Prometheus Biosciences Inc.*(a)

     13,543  
1,703   

Protagonist Therapeutics Inc.*(a)

     57,255  
1,307   

Prothena Corp. PLC*

     65,546  
2,563   

PTC Therapeutics Inc.*

     95,241  
1,278   

Puma Biotechnology Inc.*

     3,962  
1,936   

Radius Health Inc.*

     31,867  
392   

Rallybio Corp.*

     5,045  
1,136   

RAPT Therapeutics Inc.*

     37,090  
1,075   

Recursion Pharmaceuticals Inc., Class A Shares*(a)

     20,554  
1,471   

REGENXBIO Inc.*

     47,072  
2,239   

Relay Therapeutics Inc.*

     65,871  
303   

Reneo Pharmaceuticals Inc.*

     2,085  
1,103   

Replimune Group Inc.*

     31,424  
2,211   

REVOLUTION Medicines Inc.*

     61,156  
1,808   

Rhythm Pharmaceuticals Inc.*

     16,182  
5,956   

Rigel Pharmaceuticals Inc.*

     15,903  

 

44


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Biotechnology - 3.1% - (continued)

 

20,151   

Rocket Pharmaceuticals Inc.*

   $ 492,289  
1,608   

Rubius Therapeutics Inc.*

     19,875  
1,934   

Sage Therapeutics Inc.*

     75,252  
3,206   

Sana Biotechnology Inc.*(a)

     60,946  
4,335   

Sangamo Therapeutics Inc.*

     35,937  
3,162   

Sarepta Therapeutics Inc.*

     255,521  
1,030   

Scholar Rock Holding Corp.*

     27,347  
3,649   

Selecta Biosciences Inc.*

     10,947  
891   

Sensei Biotherapeutics Inc.*

     6,130  
2,866   

Seres Therapeutics Inc.*

     30,838  
7,036   

Sesen Bio Inc.*(a)

     7,388  
1,091   

Shattuck Labs Inc.*

     9,252  
312   

Sigilon Therapeutics Inc.*

     1,173  
837   

Silverback Therapeutics Inc.*(a)

     5,884  
2,460   

Solid Biosciences Inc.*

     4,305  
10,340   

Sorrento Therapeutics Inc.*(a)

     61,626  
6,187   

Spectrum Pharmaceuticals Inc.*

     9,775  
983   

Spero Therapeutics Inc.*

     14,008  
1,084   

SpringWorks Therapeutics Inc.*

     77,885  
396   

Spruce Biosciences Inc.*

     1,022  
931   

SQZ Biotechnologies Co.*

     12,252  
784   

Stoke Therapeutics Inc.*

     19,522  
888   

Summit Therapeutics Inc.*

     4,511  
1,332   

Surface Oncology Inc.*

     7,686  
1,532   

Sutro Biopharma Inc.*

     26,167  
1,589   

Syndax Pharmaceuticals Inc.*

     25,376  
2,249   

Syros Pharmaceuticals Inc.*

     8,906  
350   

Talaris Therapeutics Inc.*

     4,536  
910   

Taysha Gene Therapies Inc.*

     11,812  
1,204   

TCR2 Therapeutics Inc.*

     6,201  
476   

Tenaya Therapeutics Inc.*(a)

     9,353  
4,789   

TG Therapeutics Inc.*(a)

     72,793  
13,159   

Tonix Pharmaceuticals Holding Corp.*

     6,174  
2,174   

Travere Therapeutics Inc., Class Preferre Shares*

     62,068  
6,599   

Trevena Inc.*

     4,487  
20,005   

Turning Point Therapeutics Inc.*

     761,390  
1,766   

Twist Bioscience Corp.*

     168,653  
2,424   

Ultragenyx Pharmaceutical Inc.*

     182,358  
1,663   

United Therapeutics Corp.*

     315,138  
820   

UroGen Pharma Ltd.*(a)

     9,914  
1,982   

Vanda Pharmaceuticals Inc.*

     32,108  
4,307   

Vaxart Inc.*

     34,284  
1,436   

Vaxcyte Inc.*

     29,266  
7,731   

VBI Vaccines Inc.*

     23,502  
223   

Vera Therapeutics Inc., Class A Shares*

     7,983  
2,522   

Veracyte Inc.*

     104,613  
7,310   

Verastem Inc.*

     19,518  
1,737   

Vericel Corp.*

     64,634  
576   

Verve Therapeutics Inc.*

     19,630  
2,765   

Viking Therapeutics Inc.*

     14,682  
539   

Vincerx Pharma Inc.*

     5,654  
2,249   

Vir Biotechnology Inc.*

     106,648  
1,466   

Viracta Therapeutics Inc.*

     6,758  
7,834   

VistaGen Therapeutics Inc.*

     15,120  
545   

Vor BioPharma Inc.*(a)

     6,289  
293   

Werewolf Therapeutics Inc.*

     4,246  
528   

XBiotech Inc.

     6,663  
2,074   

Xencor Inc.*

     75,120  
235   

XOMA Corp.*(a)

     4,820  
1,286   

Y-mAbs Therapeutics Inc.*

     21,965  

 

45


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Biotechnology - 3.1% - (continued)

 

1,369   

Zentalis Pharmaceuticals Inc.*

   $ 112,326  
9,102   

ZIOPHARM Oncology Inc.*

     12,652  
     

 

 

 
  

Total Biotechnology

     19,221,288  
     

 

 

 

Health Care Equipment & Supplies - 4.7%

 

1,322   

Accelerate Diagnostics Inc.*

     6,610  
105,500   

Accuray Inc.*

     507,455  
687   

Acutus Medical Inc.*

     2,267  
2,483   

Alphatec Holdings Inc.*

     27,561  
1,367   

AngioDynamics Inc.*

     35,200  
983   

Apyx Medical Corp.*

     13,202  
9,551   

Asensus Surgical Inc.*(a)

     12,798  
3,198   

Aspira Women’s Health Inc.*

     6,652  
11,197   

AtriCure Inc.*

     709,890  
54   

Atrion Corp.

     38,339  
16,009   

Avanos Medical Inc.*

     482,992  
1,288   

AxoGen Inc.*

     12,326  
1,712   

Axonics Inc.*

     93,150  
42,258   

Baxter International Inc.

     3,151,179  
898   

BioLife Solutions Inc.*

     34,268  
11,148   

Bioventus Inc., Class A Shares*(a)

     138,570  
6,794   

Butterfly Network Inc.*(a)

     47,898  
14,422   

Cardiovascular Systems Inc.*

     288,440  
6,221   

Cerus Corp.*

     42,863  
766   

ClearPoint Neuro Inc.*

     10,517  
1,085   

CONMED Corp.

     142,634  
1,404   

CryoLife Inc.*

     24,135  
1,521   

CryoPort Inc.*

     101,055  
639   

Cutera Inc.*

     22,276  
317   

CVRx Inc.*

     3,671  
26,406   

CytoSorbents Corp.*(a)

     129,918  
543   

DarioHealth Corp.*

     8,487  
12,593   

DENTSPLY SIRONA Inc.

     613,783  
792   

Eargo Inc.*

     4,103  
6,070   

Envista Holdings Corp.*

     235,516  
1,538   

Figs Inc., Class A Shares*

     51,123  
1,678   

Glaukos Corp.*

     72,204  
2,916   

Globus Medical Inc., Class A Shares*

     182,600  
41,114   

Haemonetics Corp.*

     2,107,092  
366   

Heska Corp.*

     58,911  
2,515   

Hill-Rom Holdings Inc.

     391,082  
8,291   

ICU Medical Inc.*

     1,875,507  
1,143   

IDEXX Laboratories Inc.*

     695,024  
1,271   

Inari Medical Inc.*

     104,908  
720   

Inogen Inc.*

     21,996  
1,229   

Integer Holdings Corp.*

     98,000  
2,909   

Integra LifeSciences Holdings Corp.*

     186,031  
8,115   

Intersect ENT Inc.*

     217,239  
3,465   

Intuitive Surgical Inc.*

     1,123,838  
1,367   

Invacare Corp.*

     3,746  
290   

iRadimed Corp.*

     13,050  
1,104   

iRhythm Technologies Inc.*

     116,582  
2,506   

Lantheus Holdings Inc.*

     67,111  
677   

LeMaitre Vascular Inc.

     31,677  
1,998   

LivaNova PLC*

     160,160  
5,600   

Masimo Corp.*

     1,557,472  
1,546   

Meridian Bioscience Inc.*

     30,781  
27,612   

Merit Medical Systems Inc.*

     1,735,690  
180   

Mesa Laboratories Inc

     55,582  
1,246   

Natus Medical Inc.*

     28,160  
4,015   

Neogen Corp.*

     161,122  

 

46


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Health Care Equipment & Supplies - 4.7% - (continued)

 

1,019   

Neuronetics Inc.*

   $ 3,944  
271   

NeuroPace Inc.*

     2,710  
1,295   

Nevro Corp.*

     112,769  
1,932   

NuVasive Inc.*

     92,852  
43,804   

OraSure Technologies Inc.*(a)

     408,691  
4,074   

Ortho Clinical Diagnostics Holdings PLC*

     77,976  
686   

Orthofix Medical Inc.*

     20,998  
489   

OrthoPediatrics Corp.*

     27,242  
1,711   

Outset Medical Inc.*

     81,101  
2,936   

PAVmed Inc.*

     10,775  
1,274   

Penumbra Inc.*

     312,958  
1,041   

Pulmonx Corp.*

     33,624  
553   

Pulse Biosciences Inc.*

     11,226  
3,892   

Quidel Corp.*

     574,304  
3,288   

Quotient Ltd.*

     6,971  
776   

Retractable Technologies Inc.*(a)

     6,720  
385   

RxSight Inc.*

     4,177  
1,300   

SeaSpine Holdings Corp.*

     17,459  
15,769   

Senseonics Holdings Inc.*(a)

     49,515  
1,264   

Shockwave Medical Inc.*

     227,823  
1,320   

SI-BONE Inc.*

     25,410  
2,343   

Sientra Inc.*

     9,419  
349   

Sight Sciences Inc.*(a)

     7,312  
1,265   

Silk Road Medical Inc.*

     51,334  
95,855   

Smith & Nephew PLC, ADR(a)

     3,081,738  
364   

Soliton Inc.*(a)

     7,473  
1,780   

STAAR Surgical Co.*

     169,438  
2,068   

Stereotaxis Inc.*

     12,139  
496   

Surmodics Inc.*

     21,789  
664   

Tactile Systems Technology Inc.*

     12,948  
529   

Talis Biomedical Corp.*

     2,476  
10,902   

Tandem Diabetes Care Inc.*

     1,401,125  
5,732   

Teleflex Inc.

     1,704,811  
907   

TransMedics Group Inc.*

     19,990  
435   

Treace Medical Concepts Inc.*

     7,530  
154   

Utah Medical Products Inc.

     17,180  
933   

Vapotherm Inc.*

     20,526  
18,682   

Varex Imaging Corp.*

     533,371  
4,811   

ViewRay Inc.*

     24,729  
15,669   

Zimmer Biomet Holdings Inc.

     1,874,012  
737   

Zynex Inc.*(a)

     9,434  
     

 

 

 
  

Total Health Care Equipment & Supplies

     29,192,462  
     

 

 

 

Health Care Providers & Services - 2.8%

 

4,353   

1Life Healthcare Inc.*

     69,343  
49,480   

Acadia Healthcare Co., Inc.*

     2,779,292  
1,876   

Accolade Inc.*

     48,157  
2,688   

AdaptHealth Corp., Class A Shares*

     52,765  
572   

Addus HomeCare Corp.*

     49,890  
892   

Agiliti Inc.*

     18,785  
2,455   

agilon health Inc.*

     54,010  
1,051   

Alignment Healthcare Inc.*

     17,037  
8,118   

Amedisys Inc.*

     1,133,679  
1,769   

AMN Healthcare Services Inc.*

     201,684  
1,415   

Apollo Medical Holdings Inc.*(a)

     132,543  
551   

Apria Inc.*

     15,500  
1,522   

Aveanna Healthcare Holdings Inc.*

     9,802  
480   

Biodesix Inc.*

     3,274  
6,761   

Brookdale Senior Living Inc.*

     39,619  
798   

Castle Biosciences Inc.*

     32,981  
3,014   

Chemed Corp.

     1,402,987  

 

47


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Health Care Providers & Services - 2.8% - (continued)

 

4,660   

Community Health Systems Inc.*

   $ 56,060  
335   

CorVel Corp.*

     62,980  
3,824   

Covetrus Inc.*

     68,755  
1,464   

Cross Country Healthcare Inc.*

     38,298  
15,445   

Encompass Health Corp.

     889,941  
1,966   

Ensign Group Inc. (The)

     150,065  
775   

Fulgent Genetics Inc.*(a)

     72,478  
3,384   

Guardant Health Inc.*

     355,726  
1,356   

Hanger Inc.*

     22,876  
14,914   

HealthEquity Inc.*

     815,497  
5,498   

Henry Schein Inc.*

     390,688  
783   

InfuSystem Holdings Inc.*

     12,959  
722   

Innovage Holding Corp.*

     5,754  
520   

Joint Corp. (The)*

     41,558  
1,142   

LHC Group Inc.*

     131,010  
1,621   

LifeStance Health Group Inc.*

     12,871  
882   

Magellan Health Inc.*

     83,605  
20,426   

MEDNAX Inc.*

     501,663  
466   

ModivCare Inc.*

     63,856  
5,647   

Molina Healthcare Inc.*

     1,610,411  
497   

National HealthCare Corp.

     32,052  
498   

National Research Corp.

     19,945  
379   

Ontrak Inc.*(a)

     2,301  
63,296   

Option Care Health Inc.*

     1,602,022  
2,718   

Owens & Minor Inc.

     108,720  
17,869   

Patterson Cos., Inc.

     562,337  
916   

Pennant Group Inc. (The)*

     18,622  
18,474   

PetIQ Inc., Class A Shares*(a)

     368,926  
4,597   

Premier Inc., Class A Shares

     170,411  
791   

Privia Health Group Inc.*

     18,272  
2,368   

Progyny Inc.*

     120,223  
4,441   

R1 RCM Inc.*

     105,785  
1,686   

RadNet Inc.*

     45,455  
4,138   

Select Medical Holdings Corp.

     111,105  
501   

Sharps Compliance Corp.*

     3,697  
2,316   

Signify Health Inc., Class A Shares*

     31,474  
1,615   

SOC Telemed Inc., Class A Shares*(a)

     3,278  
1,185   

Surgery Partners Inc.*

     52,567  
3,985   

Tenet Healthcare Corp.*

     290,387  
1,613   

Tivity Health Inc.*

     38,422  
1,166   

Triple-S Management Corp., Class B Shares*

     41,416  
14,799   

Universal Health Services Inc., Class B Shares

     1,757,085  
475   

US Physical Therapy Inc.

     40,840  
1,562   

Viemed Healthcare Inc.*

     7,888  
     

 

 

 
  

Total Health Care Providers & Services

     17,001,629  
     

 

 

 

Health Care Technology - 0.5%

 

4,603   

Allscripts Healthcare Solutions Inc.*

     76,548  
6,834   

American Well Corp., Class A Shares*(a)

     44,421  
4,753   

Castlight Health Inc., Class B Shares*

     7,272  
3,108   

Certara Inc.*

     83,698  
9,410   

Change Healthcare Inc.*

     190,835  
536   

Computer Programs & Systems Inc.*

     15,796  
549   

Convey Health Solutions Holdings Inc.*

     3,579  
2,896   

Evolent Health Inc., Class A Shares*

     75,296  
728   

Forian Inc.*(a)

     6,246  
1,838   

Health Catalyst Inc.*(a)

     79,751  
1,012   

HealthStream Inc.*

     23,499  
954   

iCAD Inc.*

     7,031  
1,007   

Inspire Medical Systems Inc.*

     224,833  
8,521   

Multiplan Corp.*(a)

     34,425  

 

48


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Health Care Technology - 0.5% - (continued)

 

1,523   

NantHealth Inc.*

   $ 1,706  
2,044   

NextGen Healthcare Inc.*

     31,682  
1,615   

Omnicell Inc.*

     285,855  
639   

OptimizeRx Corp.*

     41,535  
1,821   

Phreesia Inc.*

     105,035  
1,694   

Schrodinger Inc.*

     66,371  
532   

Simulations Plus Inc.

     24,988  
825   

Tabula Rasa HealthCare Inc.*

     9,380  
4,945   

Veeva Systems Inc., Class A Shares*

     1,397,358  
1,284   

Vocera Communications Inc.*

     74,909  
     

 

 

 
  

Total Health Care Technology

     2,912,049  
     

 

 

 

Life Sciences Tools & Services - 2.6%

 

3,152   

10X Genomics Inc., Class A Shares*

     481,657  
429   

Absci Corp.*

     4,526  
4,087   

Adaptive Biotechnologies Corp.*

     106,630  
291   

Akoya Biosciences Inc.*

     3,777  
216   

Alpha Teknova Inc.*

     4,830  
22,338   

Avantor Inc.*

     881,904  
1,781   

Berkeley Lights Inc.*

     37,169  
10,491   

Bionano Genomics Inc.*(a)

     41,020  
1,388   

Bio-Rad Laboratories Inc., Class A Shares*

     1,045,442  
5,937   

Bio-Techne Corp.

     2,802,442  
3,866   

Bruker Corp.

     313,107  
9,286   

Charles River Laboratories International Inc.*

     3,397,469  
2,085   

ChromaDex Corp.*

     9,779  
392   

Codex DNA Inc.*

     2,681  
2,228   

Codexis Inc.*

     77,334  
547   

Cytek Biosciences Inc.*

     11,033  
87,325   

Fluidigm Corp.*(a)

     402,568  
1,622   

Harvard Bioscience Inc.*

     10,851  
6,710   

Illumina Inc.*

     2,451,364  
526   

Inotiv Inc.*

     27,352  
3,818   

Maravai LifeSciences Holdings Inc., Class A Shares*

     175,399  
477   

MaxCyte Inc.*

     4,760  
1,081   

Medpace Holdings Inc.*

     224,210  
1,693   

NanoString Technologies Inc.*

     69,582  
4,242   

NeoGenomics Inc.*

     145,331  
29,831   

Pacific Biosciences of California Inc.*

     692,378  
4,225   

PerkinElmer Inc.

     769,626  
1,461   

Personalis Inc.*

     19,797  
6,294   

PPD Inc.*

     296,447  
8,538   

QIAGEN NV*

     470,700  
1,150   

Quanterix Corp.*

     45,966  
239   

Rapid Micro Biosystems Inc., Class A Shares*

     2,944  
2,112   

Repligen Corp.*

     605,088  
1,544   

Seer Inc., Class A Shares*(a)

     34,447  
359   

Singular Genomics Systems Inc.*

     4,100  
3,689   

Sotera Health Co.*

     78,723  
3,831   

Syneos Health Inc., Class A Shares*

     372,220  
     

 

 

 
   Total Life Sciences Tools & Services      16,124,653  
     

 

 

 

Pharmaceuticals - 1.5%

 

8,548   

9 Meters Biopharma Inc.*(a)

     8,890  
5,051   

Achillion Pharmaceuticals Inc.*(b)

     2,324  
1,785   

Aclaris Therapeutics Inc.*

     22,848  
1,732   

Aerie Pharmaceuticals Inc.*

     17,493  
72,661   

Amneal Pharmaceuticals Inc.*

     303,723  
1,481   

Amphastar Pharmaceuticals Inc.*

     28,968  
7,774   

Ampio Pharmaceuticals Inc.*(a)

     8,785  
796   

Angion Biomedica Corp.*

     2,866  
356   

ANI Pharmaceuticals Inc.*

     14,646  

 

49


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Pharmaceuticals - 1.5% - (continued)

 

5,783   

Antares Pharma Inc.*

   $ 18,679  
1,633   

Arvinas Inc.*

     123,471  
2,406   

Atea Pharmaceuticals Inc.*

     19,465  
1,315   

Athira Pharma Inc.*

     17,726  
1,284   

Axsome Therapeutics Inc.*(a)

     44,349  
3,954   

BioDelivery Sciences International Inc.*

     10,992  
2,280   

Cara Therapeutics Inc.*

     30,050  
1,422   

Cassava Sciences Inc.*

     76,063  
19,576   

Catalent Inc.*

     2,518,648  
4,646   

Citius Pharmaceuticals Inc.*(a)

     7,852  
1,426   

Collegium Pharmaceutical Inc.*

     25,069  
3,587   

Corcept Therapeutics Inc.*

     75,327  
1,684   

CorMedix Inc.*

     8,386  
2,827   

Cymabay Therapeutics Inc.*

     9,357  
9,078   

Durect Corp.*

     8,986  
499   

Edgewise Therapeutics Inc.*(a)

     8,693  
10,960   

Endo International PLC*

     61,376  
1,091   

Esperion Therapeutics Inc.*(a)

     9,525  
1,328   

Evolus Inc.*

     7,357  
826   

EyePoint Pharmaceuticals Inc.*(a)

     13,051  
958   

Fulcrum Therapeutics Inc.*

     13,891  
772   

Harmony Biosciences Holdings Inc.*

     26,318  
351   

Ikena Oncology Inc.*

     5,021  
97,481   

Innoviva Inc.*

     1,629,882  
2,633   

Intra-Cellular Therapies Inc.*

     106,584  
2,228   

Jazz Pharmaceuticals PLC*

     267,070  
2,157   

Kala Pharmaceuticals Inc.*

     4,098  
854   

Kaleido Biosciences Inc.*

     3,066  
1,168   

KemPharm Inc.*(a)

     9,146  
246   

Landos Biopharma Inc.*

     1,779  
1,518   

Marinus Pharmaceuticals Inc.*

     16,865  
13,235   

Mind Medicine MindMed Inc.*

     26,205  
6,633   

Nektar Therapeutics, Class A Shares*

     74,688  
1,102   

NGM Biopharmaceuticals Inc.*

     19,858  
2,418   

Nuvation Bio Inc.*

     21,690  
3,098   

Ocular Therapeutix Inc.*

     21,190  
2,181   

Omeros Corp.*

     15,703  
1,092   

Oramed Pharmaceuticals Inc.*

     20,988  
9,557   

Organon & Co.

     279,351  
21,991   

Pacira BioSciences Inc.*

     1,157,167  
2,064   

Paratek Pharmaceuticals Inc.*

     8,710  
5,028   

Perrigo Co. PLC

     184,578  
828   

Phathom Pharmaceuticals Inc.*

     14,854  
885   

Phibro Animal Health Corp., Class A Shares

     17,337  
1,027   

Pliant Therapeutics Inc.*

     14,563  
14,944   

Prestige Consumer Healthcare Inc.*

     836,117  
3,674   

Progenics Pharmaceuticals Inc.*#(b)

      
2,318   

Provention Bio Inc.*

     15,994  
295   

Rain Therapeutics Inc.*(a)

     3,817  
1,024   

Reata Pharmaceuticals Inc., Class A Shares*(a)

     87,654  
604   

Relmada Therapeutics Inc.*

     10,788  
2,577   

Revance Therapeutics Inc.*

     35,253  
3,088   

Seelos Therapeutics Inc.*

     5,342  
1,907   

SIGA Technologies Inc.*

     15,561  
29,825   

Supernus Pharmaceuticals Inc.*

     893,855  
377   

Tarsus Pharmaceuticals Inc.*

     10,028  
378   

Terns Pharmaceuticals Inc.*

     2,854  
15,457   

TherapeuticsMD Inc.*

     7,651  
2,181   

Theravance Biopharma Inc.*

     18,320  
471   

Verrica Pharmaceuticals Inc.*(a)

     4,875  

 

50


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

HEALTH CARE - 15.2% - (continued)

 

Pharmaceuticals - 1.5% - (continued)

 

1,508   

WaVe Life Sciences Ltd.*

   $ 5,881  
2,252   

Zogenix Inc.*

     25,335  
     

 

 

 
  

Total Pharmaceuticals

     9,444,892  
     

 

 

 
   TOTAL HEALTH CARE      93,896,973  
     

 

 

 

INDUSTRIALS - 16.5%

 

Aerospace & Defense - 1.9%

 

1,225   

AAR Corp.*

     40,008  
15,881   

Aerojet Rocketdyne Holdings Inc.

     667,637  
837   

Aerovironment Inc.*

     67,596  
337   

AerSale Corp.*(a)

     6,096  
1,028   

Astronics Corp.*

     10,753  
2,445   

Axon Enterprise Inc.*

     412,692  
3,561   

BWX Technologies Inc.

     169,860  
668   

Byrna Technologies Inc.*

     9,833  
1,620   

Curtiss-Wright Corp.

     203,828  
368   

Ducommun Inc.*

     15,644  
23,737   

HEICO Corp., Class A Shares

     2,948,135  
20,153   

Hexcel Corp.*(a)

     1,035,461  
14,588   

Howmet Aerospace Inc.

     410,360  
1,491   

Huntington Ingalls Industries Inc.

     264,667  
979   

Kaman Corp.

     36,223  
4,577   

Kratos Defense & Security Solutions Inc.*

     90,213  
2,685   

Maxar Technologies Inc.

     73,918  
14,895   

Mercury Systems Inc.*

     729,110  
1,081   

Moog Inc., Class A Shares

     74,773  
223   

National Presto Industries Inc.

     18,237  
2,802   

Northrop Grumman Corp.

     977,338  
2,841   

PAE Inc.*

     28,183  
809   

Park Aerospace Corp.

     10,436  
927   

Parsons Corp.*

     30,767  
13,517   

Spirit AeroSystems Holdings Inc., Class A Shares.

     511,754  
8,512   

Textron Inc.

     602,650  
3,513   

TransDigm Group Inc.*

     2,030,690  
2,445   

Triumph Group Inc.*

     40,978  
392   

Vectrus Inc.*

     16,401  
6,718   

Virgin Galactic Holdings Inc.*(a)

     107,488  
     

 

 

 
  

Total Aerospace & Defense

     11,641,729  
     

 

 

 

Air Freight & Logistics - 0.1%

 

2,203   

Air Transport Services Group Inc.*

     54,392  
1,083   

Atlas Air Worldwide Holdings Inc.*

     94,882  
1,014   

Forward Air Corp.

     100,132  
3,656   

GXO Logistics Inc.*

     351,159  
1,256   

Hub Group Inc., Class A Shares*

     97,554  
1,467   

Radiant Logistics Inc.*

     11,061  
     

 

 

 
  

Total Air Freight & Logistics

     709,180  
     

 

 

 

Airlines - 0.2%

 

4,601   

Alaska Air Group Inc.*

     223,471  
576   

Allegiant Travel Co.*

     99,775  
24,099   

American Airlines Group Inc.*(a)

     426,311  
1,189   

Copa Holdings SA, Class A Shares*

     83,135  
1,416   

Frontier Group Holdings Inc.*

     18,904  
1,790   

Hawaiian Holdings Inc.*

     32,721  
11,932   

JetBlue Airways Corp.*

     160,127  
1,325   

Mesa Air Group Inc.*

     9,354  
1,877   

SkyWest Inc.*

     73,522  
3,682   

Spirit Airlines Inc.*

     76,991  
1,124   

Sun Country Airlines Holdings Inc.*

     30,831  
     

 

 

 
  

Total Airlines

     1,235,142  
     

 

 

 

Building Products - 1.8%

 

1,566   

AAON Inc.

     122,148  

 

51


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Building Products - 1.8% - (continued)

 

14,531   

Advanced Drainage Systems Inc.

   $ 1,797,630  
3,497   

Allegion PLC

     432,369  
613   

American Woodmark Corp.*

     37,785  
5,185   

AO Smith Corp.

     409,874  
915   

Apogee Enterprises Inc.

     37,790  
1,785   

Armstrong World Industries Inc.

     189,156  
4,224   

AZEK Co., Inc. (The), Class A Shares*

     165,665  
7,967   

Builders FirstSource Inc.*

     553,229  
897   

Caesarstone Ltd.

     10,020  
6,506   

Carlisle Cos., Inc.

     1,465,151  
1,916   

Cornerstone Building Brands Inc.*

     30,120  
563   

CSW Industrials Inc.

     67,673  
5,213   

Fortune Brands Home & Security Inc.

     524,063  
1,228   

Gibraltar Industries Inc.*

     83,381  
1,652   

Griffon Corp.

     43,464  
659   

Insteel Industries Inc.

     27,783  
3,124   

JELD-WEN Holding Inc.*

     75,695  
1,267   

Lennox International Inc.

     391,528  
901   

Masonite International Corp.*

     96,407  
3,886   

Owens Corning

     329,688  
2,107   

PGT Innovations Inc.*

     43,278  
1,347   

Quanex Building Products Corp.

     28,785  
73,912   

Resideo Technologies Inc.*

     1,928,364  
1,635   

Simpson Manufacturing Co., Inc.

     188,614  
14,040   

Trex Co., Inc.*

     1,864,091  
2,266   

UFP Industries Inc.

     188,712  
3,456   

View Inc.*

     14,584  
4,561   

Zurn Water Solutions Corp.

     159,863  
     

 

 

 
  

Total Building Products

     11,306,910  
     

 

 

 

Commercial Services & Supplies - 1.7%

 

2,532   

ABM Industries Inc.

     113,940  
3,464   

ACCO Brands Corp.

     28,613  
5,939   

ADT Inc.

     49,353  
1,767   

Brady Corp., Class A Shares

     88,792  
1,385   

BrightView Holdings Inc.*

     18,836  
1,821   

Brink’s Co. (The)

     111,372  
1,857   

Casella Waste Systems Inc., Class A Shares*

     157,436  
1,390   

CECO Environmental Corp.*

     8,243  
632   

Cimpress PLC*

     49,189  
9,195   

Clean Harbors Inc.*

     932,741  
4,488   

CoreCivic Inc.*(a)

     48,336  
1,571   

Deluxe Corp.

     53,163  
2,012   

Driven Brands Holdings Inc.*

     62,090  
1,025   

Ennis Inc.

     19,495  
125,313   

Harsco Corp.*

     1,827,064  
2,812   

Healthcare Services Group Inc.

     49,210  
534   

Heritage-Crystal Clean Inc.*

     17,136  
1,626   

HNI Corp.

     64,243  
5,086   

IAA Inc.*

     245,654  
2,333   

Interface Inc., Class A Shares

     33,269  
55,771   

KAR Auction Services Inc.*(a)

     836,007  
1,576   

Kimball International Inc., Class B Shares

     16,138  
24,722   

Matthews International Corp., Class A Shares

     857,112  
2,792   

MillerKnoll Inc.

     105,928  
1,027   

Montrose Environmental Group Inc.*

     75,207  
1,380   

MSA Safety Inc.

     197,782  
157   

NL Industries Inc.

     966  
4,876   

Pitney Bowes Inc.

     33,303  
2,877   

RR Donnelley & Sons Co.*

     30,381  
838   

SP Plus Corp.*

     22,718  

 

52


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Commercial Services & Supplies - 1.7% - (continued)

 

3,292   

Steelcase Inc., Class A Shares

   $ 36,837  
20,070   

Stericycle Inc.*

     1,133,955  
1,220   

Team Inc.*

     1,647  
2,028   

Tetra Tech Inc.

     374,531  
567   

UniFirst Corp.

     108,666  
1,126   

US Ecology Inc.*

     38,363  
746   

Viad Corp.*

     31,563  
430   

VSE Corp.

     23,538  
17,352   

Waste Connections Inc.

     2,308,857  
     

 

 

 
  

Total Commercial Services & Supplies

     10,211,674  
     

 

 

 

Construction & Engineering - 1.4%

 

5,165   

AECOM*

     356,075  
1,163   

Ameresco Inc., Class A Shares*

     105,054  
7,410   

API Group Corp.*

     172,727  
1,811   

Arcosa Inc.

     92,669  
520   

Argan Inc.

     20,436  
1,338   

Comfort Systems USA Inc.

     126,936  
1,176   

Concrete Pumping Holdings Inc.*

     9,608  
1,059   

Construction Partners Inc., Class A Shares*

     36,578  
19,256   

Dycom Industries Inc.*

     1,800,051  
2,008   

EMCOR Group Inc.

     239,635  
5,321   

Fluor Corp.*

     117,647  
1,712   

Granite Construction Inc.

     66,563  
2,277   

Great Lakes Dredge & Dock Corp.*

     33,654  
359   

IES Holdings Inc.*

     17,228  
2,001   

Infrastructure & Energy Alternatives Inc.*

     18,929  
2,212   

INNOVATE Corp.*

     8,428  
2,121   

MasTec Inc.*

     195,493  
1,079   

Matrix Service Co.*

     9,376  
629   

MYR Group Inc.*

     69,637  
394   

Northwest Pipe Co.*

     11,339  
472   

NV5 Global Inc.*

     62,068  
1,991   

Primoris Services Corp.

     44,638  
5,237   

Quanta Services Inc.

     595,866  
982   

Sterling Construction Co., Inc.*

     25,306  
1,364   

Tutor Perini Corp.*

     17,541  
2,845   

Valmont Industries Inc.

     680,040  
93,618   

WillScot Mobile Mini Holdings Corp.*

     3,565,910  
     

 

 

 
  

Total Construction & Engineering

     8,499,432  
     

 

 

 

Electrical Equipment - 1.6%

 

1,333   

Acuity Brands Inc.

     268,400  
667   

Advent Technologies Holdings Inc.*(a)

     5,109  
494   

Allied Motion Technologies Inc.

     19,488  
979   

American Superconductor Corp.*

     12,531  
4,781   

Array Technologies Inc.*

     86,130  
19,589   

Atkore Inc.*

     2,086,229  
12,784   

AZZ Inc.

     663,362  
119,803   

Babcock & Wilcox Enterprises Inc.*

     1,090,207  
360   

Beam Global*(a)

     9,554  
1,336   

Blink Charging Co.*(a)

     51,342  
21,616   

Bloom Energy Corp., Class A Shares*

     594,008  
3,937   

ChargePoint Holdings Inc.*(a)

     100,472  
8,205   

Encore Wire Corp.

     1,152,474  
1,585   

EnerSys

     117,433  
1,534   

Eos Energy Enterprises Inc.*(a)

     15,263  
737   

FTC Solar Inc.*

     6,309  
12,156   

FuelCell Energy Inc.*(a)

     105,514  
7,599   

GrafTech International Ltd.

     88,528  
2,114   

Hubbell Inc., Class B Shares

     413,710  
6,279   

nVent Electric PLC

     218,698  

 

53


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Electrical Equipment - 1.6% - (continued)

 

19,296   

Plug Power Inc.*(a)

   $ 768,946  
332   

Powell Industries Inc.

     8,107  
128   

Preformed Line Products Co.

     8,083  
2,549   

Regal Rexnord Corp.

     402,997  
4,531   

Romeo Power Inc.*(a)

     17,943  
5,854   

Sensata Technologies Holding PLC*

     326,068  
3,852   

Shoals Technologies Group Inc., Class A Shares*

     108,241  
1,806   

Stem Inc.*

     38,323  
7,515   

Sunrun Inc.*

     345,991  
1,364   

Thermon Group Holdings Inc.*

     23,543  
1,329   

TPI Composites Inc.*

     23,696  
10,597   

Vertiv Holdings Co., Class A Shares

     271,707  
789   

Vicor Corp.*

     113,190  
     

 

 

 
  

Total Electrical Equipment

     9,561,596  
     

 

 

 

Industrial Conglomerates - 0.0%

 

1,333   

Raven Industries Inc.*(b)

     77,421  
     

 

 

 

Machinery - 2.9%

 

2,361   

AGCO Corp.

     260,206  
2,731   

AgEagle Aerial Systems Inc.*(a)

     6,172  
375   

Alamo Group Inc.

     53,332  
14,744   

Albany International Corp., Class A Shares

     1,193,232  
3,973   

Allison Transmission Holdings Inc.

     137,426  
22,616   

Altra Industrial Motion Corp.

     1,192,089  
838   

Astec Industries Inc.

     52,526  
22,739   

Barnes Group Inc.

     988,010  
679   

Blue Bird Corp.*

     13,743  
1,369   

Chart Industries Inc.*

     238,959  
615   

CIRCOR International Inc.*

     16,574  
4,408   

Colfax Corp.*

     204,708  
1,013   

Columbus McKinnon Corp.

     44,997  
1,298   

Commercial Vehicle Group Inc.*

     10,890  
1,854   

Crane Co.

     178,985  
7,055   

Desktop Metal Inc., Class A Shares*(a)

     45,999  
4,742   

Donaldson Co., Inc.

     267,591  
786   

Douglas Dynamics Inc.

     31,243  
1,485   

Energy Recovery Inc.*

     31,556  
19,943   

Enerpac Tool Group Corp., Class A Shares

     420,997  
764   

EnPro Industries Inc.

     77,928  
941   

ESCO Technologies Inc.

     76,917  
4,332   

Evoqua Water Technologies Corp.*

     194,853  
2,262   

Federal Signal Corp.

     95,977  
19,053   

Flowserve Corp.

     571,209  
1,743   

Franklin Electric Co., Inc.

     153,471  
3,582   

Gates Industrial Corp. PLC*(a)

     57,419  
864   

Gorman-Rupp Co. (The)

     37,351  
6,360   

Graco Inc.

     463,580  
1,195   

Greenbrier Cos., Inc. (The)

     47,788  
1,215   

Helios Technologies Inc.

     121,901  
2,728   

Hillenbrand Inc.

     121,669  
1,449   

Hydrofarm Holdings Group Inc.*

     47,817  
4,208   

Hyliion Holdings Corp.*(a)

     27,899  
408   

Hyster-Yale Materials Handling Inc.

     16,018  
16,747   

Ideanomics Inc.*(a)

     26,963  
4,567   

IDEX Corp.

     1,025,703  
15,467   

ITT Inc.

     1,462,869  
1,177   

John Bean Technologies Corp.

     185,695  
434   

Kadant Inc.

     101,756  
3,136   

Kennametal Inc.

     110,920  
10,102   

Lincoln Electric Holdings Inc.

     1,363,366  
401   

Lindsay Corp.

     58,354  

 

54


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Machinery - 2.9% - (continued)

 

984   

Luxfer Holdings PLC ,ADR

   $ 18,676  
1,239   

Manitowoc Co., Inc. (The)*

     23,615  
396   

Mayville Engineering Co., Inc.*

     5,881  
2,520   

Meritor Inc.*

     63,731  
2,078   

Middleby Corp. (The)*

     362,985  
467   

Miller Industries Inc.

     15,276  
2,130   

Mueller Industries Inc.

     117,853  
39,539   

Mueller Water Products Inc., Class A Shares

     539,312  
8,597   

Nikola Corp.*(a)

     87,861  
1,713   

NN Inc.*

     7,623  
2,196   

Nordson Corp.

     558,201  
134   

Omega Flex Inc.

     15,809  
2,583   

Oshkosh Corp.

     277,931  
384   

Park-Ohio Holdings Corp.

     8,106  
6,422   

Pentair PLC

     473,237  
1,039   

Proto Labs Inc.*

     52,075  
1,076   

RBC Bearings Inc.*

     212,714  
953   

REV Group Inc.

     14,962  
1,291   

Shyft Group Inc. (The)

     62,756  
2,018   

Snap-on Inc.

     415,526  
1,633   

SPX Corp.*

     94,959  
1,555   

SPX FLOW Inc.

     129,858  
440   

Standex International Corp.

     45,324  
696   

Tennant Co.

     54,747  
2,553   

Terex Corp.

     108,196  
15,425   

Timken Co. (The)

     1,015,428  
2,057   

Titan International Inc.*

     14,173  
4,196   

Toro Co. (The)

     421,950  
2,944   

Trinity Industries Inc.

     78,016  
5,665   

Twin Disc Inc.*

     67,867  
1,793   

Wabash National Corp.

     29,943  
1,038   

Watts Water Technologies Inc., Class A Shares

     195,881  
4,892   

Welbilt Inc.*

     115,256  
2,954   

Westinghouse Air Brake Technologies Corp.

     262,227  
2,171   

Woodward Inc.

     229,692  
     

 

 

 
  

Total Machinery

     18,034,305  
     

 

 

 

Marine - 0.0%

 

1,879   

Costamare Inc.

     22,548  
341   

Eagle Bulk Shipping Inc.

     13,664  
1,090   

Genco Shipping & Trading Ltd.

     16,797  
2,227   

Kirby Corp.*

     116,294  
1,618   

Matson Inc.

     131,915  
2,124   

Safe Bulkers Inc.*

     7,689  
     

 

 

 
  

Total Marine

     308,907  
     

 

 

 

Professional Services - 2.5%

 

1,975   

Acacia Research Corp.*

     9,677  
17,244   

ASGN Inc.*

     2,098,250  
504   

Atlas Technical Consultants Inc.*

     4,622  
269   

Barrett Business Services Inc.

     18,989  
5,036   

Booz Allen Hamilton Holding Corp., Class A Shares

     422,722  
925   

CACI International Inc., Class A Shares*

     239,973  
1,866   

CBIZ Inc.*

     67,232  
20,715   

CoStar Group Inc.*

     1,610,798  
288   

CRA International Inc.

     26,516  
5,962   

Dun & Bradstreet Holdings Inc.*

     113,278  
1,950   

Exponent Inc.

     227,175  
988   

First Advantage Corp.*

     17,132  
386   

Forrester Research Inc.*

     21,786  
523   

Franklin Covey Co.*

     23,001  
13,453   

FTI Consulting Inc.*

     1,965,349  

 

55


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Professional Services - 2.5% - (continued)

 

725   

Heidrick & Struggles International Inc.

   $ 31,298  
184   

HireQuest Inc.

     4,195  
17,761   

Huron Consulting Group Inc.*

     811,500  
689   

ICF International Inc.

     66,654  
1,366   

Insperity Inc.

     158,101  
4,989   

Jacobs Engineering Group Inc.

     711,232  
62,731   

KBR Inc.

     2,760,164  
1,238   

Kelly Services Inc., Class A Shares

     20,873  
747   

Kforce Inc.

     57,243  
2,070   

Korn Ferry

     150,572  
693   

Legalzoom.com Inc.*(a)

     12,481  
2,060   

ManpowerGroup Inc.

     184,638  
1,029   

ManTech International Corp., Class A Shares

     69,921  
729   

Mistras Group Inc.*

     5,810  
13,447   

Nielsen Holdings PLC

     257,644  
1,137   

Resources Connection Inc.

     19,534  
4,153   

Robert Half International Inc.

     461,689  
2,187   

Science Applications International Corp.

     183,467  
1,521   

TriNet Group Inc.*

     152,556  
1,251   

TrueBlue Inc.*

     32,551  
9,951   

Upwork Inc.*

     370,774  
9,408   

Verisk Analytics Inc., Class A Shares

     2,115,577  
454   

Willdan Group Inc.*

     18,164  
     

 

 

 
  

Total Professional Services

     15,523,138  
     

 

 

 

Road & Rail - 1.1%

 

340   

AMERCO

     239,550  
953   

ArcBest Corp.

     98,235  
1,825   

Avis Budget Group Inc.*

     501,127  
479   

Covenant Logistics Group Inc., Class A Shares*

     12,009  
1,688   

Daseke Inc.*

     16,289  
1,655   

Heartland Express Inc.

     27,705  
721   

HyreCar Inc.*

     3,821  
19,091   

Knight-Swift Transportation Holdings Inc., Class A Shares.

     1,092,960  
1,451   

Landstar System Inc.

     244,566  
2,225   

Marten Transport Ltd.

     35,778  
3,953   

Old Dominion Freight Line Inc.

     1,403,987  
164   

PAM Transportation Services Inc.*

     10,626  
1,982   

Ryder System Inc.

     164,665  
6,156   

Saia Inc.*

     2,038,744  
1,950   

Schneider National Inc., Class B Shares

     47,970  
1,252   

TuSimple Holdings Inc., Class A Shares*(a)

     50,068  
346   

Universal Logistics Holdings Inc.

     6,432  
948   

US Xpress Enterprises Inc., Class A Shares*

     7,451  
9,198   

Werner Enterprises Inc.

     414,922  
3,653   

XPO Logistics Inc.*

     264,623  
2,027   

Yellow Corp.*

     26,675  
     

 

 

 
  

Total Road & Rail

     6,708,203  
     

 

 

 

Trading Companies & Distributors - 1.3%

 

43,837   

AerCap Holdings NV*

     2,456,626  
4,019   

Air Lease Corp., Class A Shares

     163,131  
713   

Alta Equipment Group Inc.*

     10,417  
1,453   

Applied Industrial Technologies Inc.

     138,093  
2,093   

Beacon Roofing Supply Inc.*

     104,462  
365   

BlueLinx Holdings Inc.*

     25,747  
1,486   

Boise Cascade Co.

     96,337  
1,232   

Core & Main Inc., Class A Shares*

     32,808  
1,680   

Custom Truck One Source Inc.*(a)

     12,634  
753   

DXP Enterprises Inc.*

     20,805  
210   

EVI Industries Inc.*

     7,167  
29,820   

Fastenal Co.

     1,764,449  

 

56


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INDUSTRIALS - 16.5% - (continued)

 

Trading Companies & Distributors - 1.3% - (continued)

 

1,320   

GATX Corp.

   $ 130,020  
533   

Global Industrial Co.

     21,352  
1,597   

GMS Inc.*

     89,224  
1,170   

H&E Equipment Services Inc.

     49,257  
935   

Herc Holdings Inc.

     159,371  
144   

Karat Packaging Inc.*

     3,167  
197   

Lawson Products Inc.*

     9,482  
898   

McGrath RentCorp.

     69,415  
2,774   

MRC Global Inc.*

     19,085  
1,689   

MSC Industrial Direct Co., Inc., Class A Shares

     132,924  
3,998   

NOW Inc.*

     33,423  
1,562   

Rush Enterprises Inc., Class A Shares

     79,600  
288   

Rush Enterprises Inc., Class B Shares

     14,049  
5,652   

SiteOne Landscape Supply Inc.*

     1,358,515  
1,784   

Textainer Group Holdings Ltd.*

     58,283  
793   

Titan Machinery Inc.*

     26,359  
309   

Transcat Inc.*

     27,492  
2,504   

Triton International Ltd.

     140,149  
6,284   

Univar Solutions Inc.*

     162,819  
552   

Veritiv Corp.*

     69,574  
1,238   

Watsco Inc.

     362,375  
1,672   

WESCO International Inc.*

     207,545  
120   

Willis Lease Finance Corp.*

     4,110  
     

 

 

 
  

Total Trading Companies & Distributors

     8,060,266  
     

 

 

 
   TOTAL INDUSTRIALS      101,877,903  
     

 

 

 

INFORMATION TECHNOLOGY - 18.6%

 

Communications Equipment - 1.4%

 

1,694   

ADTRAN Inc.

     34,524  
274   

Aviat Networks Inc.*

     8,587  
58,066   

CalAmp Corp.*

     533,046  
2,071   

Calix Inc.*

     138,674  
368   

Cambium Networks Corp.*

     10,013  
1,434   

Casa Systems Inc.*

     7,156  
45,255   

Ciena Corp.*

     2,725,709  
468   

Clearfield Inc.*

     30,298  
7,563   

CommScope Holding Co., Inc.*

     75,328  
864   

Comtech Telecommunications Corp.

     21,937  
1,182   

Digi International Inc.*

     25,448  
734   

DZS Inc.*

     9,513  
40,783   

EMCORE Corp.*

     300,571  
4,564   

Extreme Networks Inc.*

     61,614  
2,276   

F5 Inc.*

     517,972  
3,105   

Harmonic Inc.*

     33,379  
102,319   

Infinera Corp.*

     831,853  
3,423   

Inseego Corp.*(a)

     22,113  
12,694   

Juniper Networks Inc.

     395,164  
659   

KVH Industries Inc.*

     6,583  
2,857   

Lumentum Holdings Inc.*

     247,902  
1,093   

NETGEAR Inc.*

     29,227  
2,600   

NetScout Systems Inc.*

     77,740  
1,575   

Plantronics Inc.*

     40,194  
11,092   

Radware Ltd.*

     321,335  
72,005   

Ribbon Communications Inc.*

     392,427  
22,143   

ViaSat Inc.*

     980,713  
57,565   

Viavi Solutions Inc.*

     852,538  
     

 

 

 
  

Total Communications Equipment

     8,731,558  
     

 

 

 

Electronic Equipment, Instruments & Components - 2.7%

 

461   

908 Devices Inc.*

     11,064  
15,691   

Advanced Energy Industries Inc.

     1,375,944  
2,798   

Aeva Technologies Inc.*(a)

     27,840  

 

57


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 18.6% - (continued)

 

Electronic Equipment, Instruments & Components - 2.7% - (continued)

 

1,778   

Akoustis Technologies Inc.*

   $ 12,339  
11,344   

Amphenol Corp., Class A Shares

     914,099  
3,412   

Arlo Technologies Inc.*

     26,443  
2,704   

Arrow Electronics Inc.*

     328,942  
3,729   

Avnet Inc.

     135,251  
1,084   

Badger Meter Inc.

     110,958  
19,753   

Belden Inc.

     1,218,167  
1,264   

Benchmark Electronics Inc.

     29,805  
6,457   

Cognex Corp.

     498,803  
921   

Coherent Inc.*

     238,474  
1,168   

CTS Corp.

     40,693  
1,375   

Daktronics Inc.*

     6,710  
506   

ePlus Inc.*

     53,378  
1,394   

Fabrinet*

     154,121  
673   

FARO Technologies Inc.*

     46,747  
838   

Identiv Inc.*

     19,266  
10,704   

II-VI Inc.*(a)

     669,321  
29,647   

Innoviz Technologies Ltd.*(a)

     212,865  
1,298   

Insight Enterprises Inc.*

     128,009  
5,874   

IPG Photonics Corp.*

     964,452  
1,907   

Iteris Inc.*

     8,658  
32,433   

Itron Inc.*

     2,007,927  
5,591   

Jabil Inc.

     326,850  
906   

Kimball Electronics Inc.*

     19,225  
50,912   

Knowles Corp.*

     1,105,809  
904   

Littelfuse Inc.

     269,826  
1,326   

Luna Innovations Inc.*

     11,099  
1,405   

Methode Electronics Inc.

     62,480  
6,134   

MicroVision Inc.*(a)

     43,429  
611   

Napco Security Technologies Inc.*

     28,393  
4,986   

National Instruments Corp.

     207,019  
1,572   

nLight Inc.*

     39,127  
1,319   

Novanta Inc.*

     212,952  
6,596   

OSI Systems Inc.*

     599,774  
1,190   

Ouster Inc.*

     8,092  
895   

PAR Technology Corp.*(a)

     46,871  
382   

PC Connection Inc.

     16,747  
1,054   

Plexus Corp.*

     88,684  
7,463   

Rogers Corp.*

     2,034,563  
2,424   

Sanmina Corp.*

     88,573  
1,015   

ScanSource Inc.*

     31,719  
1,574   

TD SYNNEX Corp.

     162,846  
3,169   

Teledyne Technologies Inc.*

     1,316,054  
4,910   

TTM Technologies Inc.*

     67,660  
2,888   

Velodyne Lidar Inc.*(a)

     15,942  
5,645   

Vishay Intertechnology Inc.

     114,989  
525   

Vishay Precision Group Inc.*

     18,023  
6,366   

Vontier Corp.

     200,593  
     

 

 

 
  

Total Electronic Equipment, Instruments & Components

     16,377,615  
     

 

 

 

IT Services - 2.4%

 

7,571   

Alliance Data Systems Corp.

     516,039  
4,885   

Amdocs Ltd.

     341,071  
1,807   

BigCommerce Holdings Inc.*

     81,803  
1,715   

Brightcove Inc.*

     16,515  
2,385   

Cantaloupe Inc.*

     21,513  
515   

Cass Information Systems Inc.

     20,682  
1,596   

Concentrix Corp.

     264,936  
222,148   

Conduent Inc.*

     1,119,626  
1,217   

CSG Systems International Inc.

     64,148  
1,853   

DigitalOcean Holdings Inc.*

     186,801  

 

58


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 18.6% - (continued)

 

IT Services - 2.4% - (continued)

 

9,458   

DXC Technology Co.*

   $ 283,645  
9,347   

Euronet Worldwide Inc.*

     947,505  
2,255   

EVERTEC Inc.

     94,687  
1,742   

Evo Payments Inc., Class A Shares*

     37,087  
1,235   

ExlService Holdings Inc.*

     160,389  
3,982   

Fastly Inc., Class A Shares*(a)

     162,306  
17,215   

Flywire Corp.*(a)

     699,618  
4,394   

Gartner Inc.*

     1,372,027  
7,163   

Genpact Ltd.

     345,758  
1,527   

Globant SA*

     404,670  
714   

GreenBox POS*(a)

     3,720  
2,625   

GreenSky Inc., Class A Shares*

     29,768  
1,566   

Grid Dynamics Holdings Inc.*

     61,434  
1,042   

Hackett Group Inc. (The)

     21,319  
841   

I3 Verticals Inc., Class A Shares*

     15,685  
220   

IBEX Holdings Ltd.*

     2,910  
1,199   

International Money Express Inc.*

     18,117  
2,869   

Jack Henry & Associates Inc.

     435,026  
4,565   

Limelight Networks Inc.*

     12,554  
2,470   

LiveRamp Holdings Inc.*

     115,917  
2,313   

Maximus Inc.

     174,516  
3,168   

MoneyGram International Inc.*

     18,786  
2,339   

MongoDB Inc., Class A Shares*

     1,165,056  
3,035   

Okta Inc., Class A Shares*

     653,223  
3,312   

Paya Holdings Inc.*

     21,329  
15,604   

Paysafe Ltd.*(a)

     56,643  
1,221   

Perficient Inc.*

     167,314  
482   

Priority Technology Holdings Inc.*

     3,114  
2,205   

Rackspace Technology Inc.*

     31,443  
3,155   

Repay Holdings Corp., Class A Shares*

     51,616  
11,973   

Sabre Corp.*

     90,157  
11,124   

Shift4 Payments Inc., Class A Shares*

     578,671  
1,438   

SolarWinds Corp.

     20,707  
675   

StarTek Inc.*

     2,714  
4,323   

Switch Inc., Class A Shares

     118,234  
693   

TTEC Holdings Inc.

     58,482  
379   

Tucows Inc., Class A Shares*

     30,824  
3,102   

Twilio Inc., Class A Shares*

     887,637  
72,834   

Unisys Corp.*

     1,322,665  
4,962   

Verra Mobility Corp., Class A Shares*

     71,403  
15,483   

Western Union Co. (The)

     244,941  
1,680   

WEX Inc.*

     212,386  
13,986   

WNS Holdings Ltd., ADR*

     1,175,803  
     

 

 

 
  

Total IT Services

     15,014,940  
     

 

 

 

Semiconductors & Semiconductor Equipment - 3.8%

 

1,520   

Allegro MicroSystems Inc.*

     47,470  
829   

Alpha & Omega Semiconductor Ltd.*

     40,720  
1,310   

Ambarella Inc.*

     235,171  
3,833   

Amkor Technology Inc.

     82,640  
785   

Atomera Inc.*

     18,911  
1,246   

Axcelis Technologies Inc.*

     77,028  
1,631   

AXT Inc.*

     13,407  
26,081   

Brooks Automation Inc.

     2,949,761  
813   

CEVA Inc.*

     35,853  
2,185   

Cirrus Logic Inc.*

     175,193  
5,189   

CMC Materials Inc

     689,099  
1,794   

Cohu Inc.*

     59,148  
1,635   

Diodes Inc.*

     173,882  
1,353   

DSP Group Inc.*

     29,752  
4,976   

Enphase Energy Inc.*

     1,244,000  

 

59


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 18.6% - (continued)

 

Semiconductors & Semiconductor Equipment - 3.8% - (continued)

 

10,503   

Entegris Inc.

   $ 1,534,278  
4,001   

First Solar Inc.*

     414,504  
2,916   

FormFactor Inc.*

     122,239  
1,038   

Ichor Holdings Ltd.*

     49,710  
5,318   

Impinj Inc.*

     398,690  
3,194   

Kopin Corp.*

     16,673  
2,300   

Kulicke & Soffa Industries Inc.

     132,618  
5,090   

Lattice Semiconductor Corp.*

     386,484  
50,138   

MACOM Technology Solutions Holdings Inc.*

     3,605,424  
2,653   

MaxLinear Inc., Class A Shares*

     178,627  
8,117   

Meta Materials Inc.*(a)

     29,789  
8,256   

MKS Instruments Inc.

     1,256,233  
1,694   

Monolithic Power Systems Inc.

     937,561  
2,123   

NeoPhotonics Corp.*

     32,631  
213   

NVE Corp.

     14,329  
15,990   

ON Semiconductor Corp.*

     982,266  
1,826   

Onto Innovation Inc.*

     171,936  
1,029   

PDF Solutions Inc.*

     30,798  
2,118   

Photronics Inc.*

     27,979  
2,268   

Power Integrations Inc.

     226,868  
60,877   

Rambus Inc.*

     1,637,591  
11,106   

Semtech Corp.*

     951,451  
1,657   

Silicon Laboratories Inc.*

     325,219  
9,413   

Silicon Motion Technology Corp., ADR

     649,779  
488   

SiTime Corp.*

     145,658  
316   

SkyWater Technology Inc.*

     5,912  
12,422   

SMART Global Holdings Inc.*

     708,302  
2,998   

SunPower Corp., Class A Shares*(a)

     85,893  
1,324   

Synaptics Inc.*

     373,686  
1,667   

Ultra Clean Holdings Inc.*

     91,368  
1,630   

Universal Display Corp.

     233,172  
57,982   

Veeco Instruments Inc.*

     1,541,162  
4,341   

Wolfspeed Inc.*

     532,293  
     

 

 

 
  

Total Semiconductors & Semiconductor Equipment

     23,703,158  
     

 

 

 

Software - 7.5%

 

4,144   

8x8 Inc.*

     89,303  
2,255   

A10 Networks Inc.

     34,772  
37,239   

ACI Worldwide Inc.*

     1,085,144  
720   

Agilysys Inc.*

     31,356  
1,774   

Alarm.com Holdings Inc.*

     141,547  
280   

Alkami Technology Inc.*

     8,033  
1,725   

Altair Engineering Inc., Class A Shares*

     128,426  
2,213   

Alteryx Inc., Class A Shares*

     147,098  
1,110   

American Software Inc., Class A Shares

     25,308  
20,176   

Anaplan Inc.*

     863,735  
7,264   

ANSYS Inc.*

     2,843,711  
701   

Appfolio Inc., Class A Shares*

     84,464  
1,474   

Appian Corp., Class A Shares*(a)

     109,592  
2,773   

Asana Inc., Class A Shares*

     288,253  
9,516   

Aspen Technology Inc.*

     1,380,105  
2,185   

Atlassian Corp. PLC, Class A Shares*

     822,259  
3,199   

Avalara Inc.*

     446,836  
3,081   

Avaya Holdings Corp.*

     59,987  
1,035   

Benefitfocus Inc.*

     10,412  
5,214   

Bentley Systems Inc., Class B Shares(a)

     250,220  
2,981   

Bill.com Holdings Inc.*

     837,214  
40,400   

Black Knight Inc.*

     2,887,388  
1,814   

Blackbaud Inc.*(a)

     136,884  
24,862   

Blackline Inc.*

     2,736,063  
27,141   

Bottomline Technologies de Inc.*

     1,217,002  

 

60


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 18.6% - (continued)

 

Software - 7.5% - (continued)

 

58,344   

Box Inc., Class A Shares*

   $ 1,365,833  
2,384   

BTRS Holdings Inc.*

     17,785  
1,283   

C3.ai Inc., Class A Shares*(a)

     47,420  
4,607   

CDK Global Inc.

     178,014  
1,417   

Cerence Inc.*(a)

     106,530  
4,874   

Ceridian HCM Holding Inc.*(a)

     533,216  
1,008   

ChannelAdvisor Corp.*

     25,210  
1,345   

Cleanspark Inc.*(a)

     23,914  
42,661   

Cognyte Software Ltd.*

     869,005  
1,746   

CommVault Systems Inc.*

     109,788  
543   

Consensus Cloud Solutions Inc.*

     34,014  
328   

Couchbase Inc.*

     10,840  
3,827   

Coupa Software Inc.*

     752,618  
3,877   

Crowdstrike Holdings Inc., Class A Shares*

     841,852  
465   

CS Disco Inc.*

     17,066  
806   

Datto Holding Corp.*

     18,909  
515   

Digimarc Corp.*(a)

     22,094  
3,406   

Digital Turbine Inc.*

     180,722  
2,421   

Dolby Laboratories Inc., Class A Shares

     201,936  
1,028   

Domo Inc., Class B Shares*

     74,376  
627   

DoubleVerify Holdings Inc.*

     19,362  
11,937   

Dropbox Inc., Class A Shares*

     293,770  
2,707   

Duck Creek Technologies Inc.*

     77,393  
7,435   

Dynatrace Inc.*

     467,290  
6,051   

E2open Parent Holdings Inc.*(a)

     73,701  
996   

Ebix Inc.

     30,438  
816   

eGain Corp.*

     8,568  
2,627   

Elastic NV*

     408,393  
2,035   

Envestnet Inc.*

     156,023  
1,448   

Everbridge Inc.*

     164,232  
559   

EverCommerce Inc.*(a)

     9,101  
1,072   

Fair Isaac Corp.*

     378,555  
6,310   

Five9 Inc.*

     898,102  
1,408   

GTY Technology Holdings Inc.*

     9,265  
11,164   

Guidewire Software Inc.*

     1,298,820  
405   

Instructure Holdings Inc.*

     9,019  
347   

Intapp Inc.*

     9,504  
315   

Intelligent Systems Corp.*

     12,776  
1,155   

InterDigital Inc.

     78,436  
1,991   

Jamf Holding Corp.*(a)

     64,170  
1,970   

JFrog Ltd.*

     62,961  
572   

Kaltura Inc.*

     2,711  
2,426   

LivePerson Inc.*

     93,789  
75,757   

Mandiant Inc.*

     1,285,596  
2,461   

Manhattan Associates Inc.*

     384,310  
3,574   

Marathon Digital Holdings Inc.*(a)

     182,524  
2,548   

McAfee Corp., Class A Shares

     65,866  
431   

MeridianLink Inc.*

     9,504  
312   

MicroStrategy Inc., Class A Shares*(a)

     225,086  
13,932   

Mimecast Ltd.*

     1,128,492  
2,175   

Mitek Systems Inc.*

     37,258  
1,263   

Model N Inc.*

     35,490  
4,835   

Momentive Global Inc.*

     98,779  
1,438   

N-able Inc.*

     16,968  
2,295   

nCino Inc.*(a)

     142,565  
32,744   

NCR Corp.*

     1,273,742  
8,722   

New Relic Inc.*

     966,659  
20,764   

NortonLifeLock Inc.

     515,985  
10,751   

Nuance Communications Inc.*

     596,573  
7,266   

Nutanix Inc., Class A Shares*

     241,377  

 

61


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

INFORMATION TECHNOLOGY - 18.6% - (continued)

 

Software - 7.5% - (continued)

 

988   

ON24 Inc.*

   $ 15,650  
29,672   

OneSpan Inc.*

     507,094  
3,023   

PagerDuty Inc.*

     107,165  
1,331   

Paycor HCM Inc.*

     39,185  
1,416   

Paylocity Holding Corp.*

     357,313  
1,541   

Pegasystems Inc.

     176,938  
22,644   

Ping Identity Holding Corp.*

     539,154  
371   

Procore Technologies Inc.*

     31,446  
1,658   

Progress Software Corp.

     80,330  
18,775   

PROS Holdings Inc.*

     681,908  
3,979   

PTC Inc.*

     436,019  
2,043   

Q2 Holdings Inc.*

     164,053  
1,279   

Qualys Inc.*

     166,641  
2,085   

Rapid7 Inc.*

     258,665  
1,289   

Rekor Systems Inc.*(a)

     8,662  
1,777   

Rimini Street Inc.*

     11,746  
3,151   

Riot Blockchain Inc.*(a)

     117,753  
3,426   

SailPoint Technologies Holding Inc.*

     180,173  
1,476   

Sapiens International Corp. NV(a)

     52,354  
323   

SecureWorks Corp., Class A Shares*

     5,736  
355   

ShotSpotter Inc.*

     12,468  
23,090   

Smartsheet Inc., Class A Shares*

     1,477,760  
1,796   

Smith Micro Software Inc.*

     9,842  
1,679   

Sprout Social Inc., Class A Shares*

     187,511  
1,360   

SPS Commerce Inc.*

     191,746  
3,351   

Sumo Logic Inc.*

     47,383  
1,486   

Telos Corp.*

     23,405  
3,398   

Tenable Holdings Inc.*

     167,861  
4,338   

Teradata Corp.*

     188,356  
1,813   

Tyler Technologies Inc.*

     940,911  
1,138   

Upland Software Inc.*

     22,282  
3,976   

Varonis Systems Inc., Class B Shares*

     205,997  
24,634   

Verint Systems Inc.*

     1,172,332  
1,168   

Veritone Inc.*

     29,948  
490   

Viant Technology Inc., Class A Shares*

     4,802  
2,520   

VirnetX Holding Corp.*

     7,560  
9,072   

Vonage Holdings Corp.*

     187,065  
6,846   

Workiva Inc., Class A Shares*

     954,812  
96,250   

Xperi Holding Corp.

     1,724,800  
4,089   

Yext Inc.*

     39,500  
4,489   

Zendesk Inc.*

     458,372  
2,128   

Zix Corp.*

     18,024  
4,705   

Zuora Inc., Class A Shares*

     93,206  
     

 

 

 
  

Total Software

     46,033,335  
     

 

 

 

Technology Hardware, Storage & Peripherals - 0.8%

 

15,947   

3D Systems Corp.*(a)

     363,273  
1,293   

Avid Technology Inc.*

     41,454  
1,103   

Corsair Gaming Inc.*(a)

     24,707  
46,208   

Diebold Nixdorf Inc.*

     374,747  
1,829   

Eastman Kodak Co.*(a)

     10,956  
55,204   

Pure Storage Inc., Class A Shares*

     1,709,668  
146,652   

Quantum Corp.*(a)

     802,186  
47,347   

Stratasys Ltd.*(a)

     1,277,895  
1,621   

Super Micro Computer Inc.*

     67,109  
602   

Turtle Beach Corp.*

     16,134  
5,343   

Xerox Holdings Corp.

     98,418  
     

 

 

 
  

Total Technology Hardware, Storage & Peripherals

     4,786,547  
     

 

 

 
   TOTAL INFORMATION TECHNOLOGY      114,647,153  
     

 

 

 

 

62


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

MATERIALS - 5.0%

 

Chemicals - 2.0%

 

1,020   

AdvanSix Inc.

   $ 46,196  
2,391   

Albemarle Corp.

     637,177  
1,145   

American Vanguard Corp.

     16,385  
6,383   

Amyris Inc.*

     43,787  
2,069   

Ashland Global Holdings Inc.

     209,114  
20,992   

Avient Corp.

     1,154,770  
33,334   

Axalta Coating Systems Ltd.*

     1,010,687  
1,208   

Balchem Corp.

     190,864  
2,088   

Cabot Corp.

     109,578  
8,076   

CF Industries Holdings Inc.

     489,325  
283   

Chase Corp.

     27,901  
6,201   

Chemours Co. (The)

     184,170  
2,479   

Danimer Scientific Inc.*

     33,070  
2,049   

Diversey Holdings Ltd.*

     27,006  
10,676   

Ecolab Inc.

     2,364,414  
2,066   

Ecovyst Inc.

     19,772  
8,673   

Element Solutions Inc.

     198,351  
3,049   

Ferro Corp.*

     64,395  
1,005   

FutureFuel Corp.

     7,578  
10,111   

GCP Applied Technologies Inc.*

     235,991  
768   

Hawkins Inc.

     25,482  
1,930   

HB Fuller Co.

     141,199  
7,991   

Huntsman Corp.

     253,235  
1,476   

Ingevity Corp.*

     106,139  
909   

Innospec Inc.

     73,811  
450   

Intrepid Potash Inc.*

     18,495  
733   

Koppers Holdings Inc.*

     22,137  
20,326   

Kraton Corp.*

     936,215  
995   

Kronos Worldwide Inc.

     13,930  
6,061   

Livent Corp.*

     183,588  
4,067   

Marrone Bio Innovations Inc.*

     2,870  
1,238   

Minerals Technologies Inc.

     81,299  
14,016   

Mosaic Co. (The)

     479,627  
252   

NewMarket Corp.

     83,487  
5,428   

Olin Corp.

     295,012  
2,179   

Orion Engineered Carbons SA*

     38,241  
1,347   

PureCycle Technologies Inc.*(a)

     16,568  
505   

Quaker Chemical Corp.

     115,064  
2,679   

Rayonier Advanced Materials Inc.*

     14,681  
4,949   

RPM International Inc.

     450,557  
1,548   

Scotts Miracle-Gro Co. (The)

     224,290  
1,583   

Sensient Technologies Corp.

     154,010  
797   

Stepan Co.

     89,830  
1,116   

Tredegar Corp.

     12,276  
1,460   

Trinseo PLC

     68,956  
57,671   

Tronox Holdings PLC, Class A Shares

     1,268,185  
115   

Valhi Inc.

     3,034  
6,834   

Valvoline Inc.

     232,834  
1,258   

Westlake Chemical Corp.

     116,893  
761   

Zymergen Inc.*(a)

     6,895  
     

 

 

 
  

Total Chemicals

     12,599,371  
     

 

 

 

Construction Materials - 0.5%

 

1,544   

Eagle Materials Inc.

     238,116  
1,174   

Forterra Inc.*

     27,929  
4,433   

Summit Materials Inc., Class A Shares*

     165,351  
100   

United States Lime & Minerals Inc.

     11,915  
14,094   

Vulcan Materials Co.

     2,700,974  
     

 

 

 
  

Total Construction Materials

     3,144,285  
     

 

 

 

Containers & Packaging - 1.6%

 

12,211   

AptarGroup Inc.

     1,460,313  

 

63


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

MATERIALS - 5.0% - (continued)

 

Containers & Packaging - 1.6% - (continued)

 

765   

Ardagh Group SA, Class A Shares(b)(c)

   $ 18,934  
11,163   

Avery Dennison Corp.

     2,289,196  
5,096   

Berry Global Group Inc.*

     351,879  
22,007   

Crown Holdings Inc.

     2,328,341  
10,663   

Graphic Packaging Holding Co.

     210,488  
1,006   

Greif Inc., Class A Shares

     61,044  
197   

Greif Inc., Class B Shares

     11,656  
1,295   

Myers Industries Inc.

     25,227  
5,936   

O-I Glass Inc.*

     65,712  
3,543   

Packaging Corp. of America

     462,680  
1,728   

Pactiv Evergreen Inc.

     21,444  
32,349   

Ranpak Holdings Corp., Class A Shares*(a)

     1,281,991  
5,638   

Sealed Air Corp.

     350,233  
11,700   

Silgan Holdings Inc.

     485,199  
3,680   

Sonoco Products Co.

     213,918  
1,606   

TriMas Corp.

     53,191  
247   

UFP Technologies Inc.*

     16,517  
     

 

 

 
  

Total Containers & Packaging

     9,707,963  
     

 

 

 

Metals & Mining - 0.8%

 

79,891   

Alamos Gold Inc., Class A Shares

     610,367  
7,059   

Alcoa Corp.

     328,455  
4,747   

Allegheny Technologies Inc.*

     67,597  
4,139   

Arconic Corp.*

     110,594  
1,776   

Carpenter Technology Corp.

     48,805  
2,674   

Century Aluminum Co.*

     35,377  
87,137   

Cleveland-Cliffs Inc.*(a)

     1,773,238  
9,252   

Coeur Mining Inc.*

     51,811  
4,918   

Commercial Metals Co.

     151,966  
1,285   

Compass Minerals International Inc.

     62,515  
4,627   

Constellium SE, Class A Shares*

     81,297  
3,346   

Ferroglobe Representation & Warranty Insurance Trust*#(b)(c)

      
1,783   

Gatos Silver Inc.*

     24,088  
429   

Haynes International Inc.

     17,190  
19,916   

Hecla Mining Co.

     110,335  
596   

Kaiser Aluminum Corp.

     53,181  
761   

Materion Corp.

     64,426  
2,733   

MP Materials Corp.*(a)

     120,088  
8,864   

Novagold Resources Inc.*

     59,832  
372   

Olympic Steel Inc.

     7,570  
1,075   

Perpetua Resources Corp.*

     5,429  
1,064   

PolyMet Mining Corp.*

     3,203  
2,402   

Reliance Steel & Aluminum Co.

     357,009  
2,470   

Royal Gold Inc.

     247,074  
508   

Ryerson Holding Corp.

     11,903  
953   

Schnitzer Steel Industries Inc., Class A Shares

     45,839  
7,390   

Steel Dynamics Inc.

     441,922  
2,856   

SunCoke Energy Inc.

     17,393  
1,565   

TimkenSteel Corp.*

     22,411  
10,087   

United States Steel Corp.

     228,067  
1,898   

Warrior Met Coal Inc.

     40,788  
1,273   

Worthington Industries Inc.

     61,079  
     

 

 

 
  

Total Metals & Mining

     5,260,849  
     

 

 

 

Paper & Forest Products - 0.1%

 

684   

Clearwater Paper Corp.*

     27,531  
1,760   

Glatfelter Corp.

     28,987  
3,588   

Louisiana-Pacific Corp.

     234,476  
595   

Neenah Inc.

     27,661  
1,151   

Schweitzer-Mauduit International Inc.

     33,034  
942   

Verso Corp., Class A Shares

     19,914  
     

 

 

 
  

Total Paper & Forest Products

     371,603  
     

 

 

 
   TOTAL MATERIALS      31,084,071  
     

 

 

 

 

64


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

REAL ESTATE - 6.0%

 

Equity Real Estate Investment Trusts (REITs) - 5.5%

 

3,232   

Acadia Realty Trust

   $ 65,254  
2,533   

Agree Realty Corp.

     171,129  
2,697   

Alexander & Baldwin Inc.

     59,415  
88   

Alexander’s Inc.

     22,492  
29,476   

American Assets Trust Inc.

     1,013,974  
5,177   

American Campus Communities Inc.

     267,858  
4,185   

American Finance Trust Inc.

     33,229  
11,034   

American Homes 4 Rent, Class A Shares

     442,353  
9,840   

Americold Realty Trust

     321,178  
6,140   

Apartment Income REIT Corp.

     311,666  
5,573   

Apartment Investment & Management Co., Class A Shares*

     41,296  
8,009   

Apple Hospitality REIT Inc.

     120,295  
2,148   

Armada Hoffler Properties Inc.

     29,965  
779   

Ashford Hospitality Trust Inc.*

     8,296  
9,774   

Boston Properties Inc.

     1,054,028  
1,765   

Braemar Hotels & Resorts Inc.*

     7,695  
6,373   

Brandywine Realty Trust

     81,893  
11,163   

Brixmor Property Group Inc.

     253,847  
5,813   

Broadstone Net Lease Inc., Class A Shares

     145,325  
474   

BRT Apartments Corp.

     8,921  
3,770   

Camden Property Trust

     622,842  
3,602   

CareTrust REIT Inc.

     72,796  
1,948   

CatchMark Timber Trust Inc., Class A Shares

     14,980  
517   

Centerspace

     52,832  
1,875   

Chatham Lodging Trust*

     22,331  
1,709   

City Office REIT Inc.

     28,506  
586   

Clipper Realty Inc.

     5,122  
4,320   

Columbia Property Trust Inc.

     82,944  
845   

Community Healthcare Trust Inc.

     36,360  
1,600   

CorePoint Lodging Inc.*

     24,688  
1,661   

CoreSite Realty Corp.

     284,114  
4,233   

Corporate Office Properties Trust

     108,619  
25,598   

Cousins Properties Inc.

     966,580  
241   

CTO Realty Growth Inc.

     13,236  
8,133   

CubeSmart

     438,531  
4,680   

CyrusOne Inc.

     416,614  
7,773   

DiamondRock Hospitality Co.*

     67,703  
18,184   

DigitalBridge Group Inc.*

     144,745  
8,699   

Diversified Healthcare Trust

     24,270  
6,275   

Douglas Emmett Inc.

     205,632  
3,135   

Easterly Government Properties Inc., Class A Shares

     65,741  
1,497   

EastGroup Properties Inc.

     304,939  
5,323   

Empire State Realty Trust Inc., Class A Shares

     48,386  
2,784   

EPR Properties

     128,398  
149,828   

Equity Commonwealth*

     3,813,123  
6,602   

Equity LifeStyle Properties Inc.

     536,743  
4,372   

Essential Properties Realty Trust Inc.

     118,175  
1,041   

Farmland Partners Inc.

     12,065  
2,917   

Federal Realty Investment Trust

     357,828  
4,853   

First Industrial Realty Trust Inc.

     293,170  
2,816   

Four Corners Property Trust Inc.

     76,088  
3,441   

Franklin Street Properties Corp.

     19,820  
8,583   

Gaming and Leisure Properties Inc.

     387,265  
4,159   

GEO Group Inc. (The)

     34,936  
1,435   

Getty Realty Corp.

     43,811  
1,272   

Gladstone Commercial Corp.

     28,264  
1,014   

Gladstone Land Corp.

     28,970  

 

65


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

REAL ESTATE - 6.0% - (continued)

 

Equity Real Estate Investment Trusts (REITs) - 5.5% - (continued)

 

2,304   

Global Medical REIT Inc.

   $ 37,647  
3,621   

Global Net Lease Inc.

     51,418  
62,932   

Healthcare Realty Trust Inc.

     1,971,030  
8,233   

Healthcare Trust of America Inc., Class A Shares

     279,593  
1,330   

Hersha Hospitality Trust, Class A Shares*

     11,744  
3,897   

Highwoods Properties Inc.

     168,350  
26,695   

Host Hotels & Resorts Inc.*

     419,112  
5,591   

Hudson Pacific Properties Inc.

     136,085  
3,939   

Independence Realty Trust Inc.

     96,506  
182   

Indus Realty Trust Inc.

     13,468  
2,425   

Industrial Logistics Properties Trust

     53,738  
939   

Innovative Industrial Properties Inc., Class A Shares

     241,163  
10,828   

Iron Mountain Inc.

     492,024  
2,598   

iStar Inc.(a)

     63,235  
31,820   

JBG SMITH Properties

     884,278  
4,395   

Kilroy Realty Corp.

     283,609  
21,944   

Kimco Realty Corp.

     491,984  
8,123   

Kite Realty Group Trust

     163,435  
3,261   

Lamar Advertising Co., Class A Shares

     356,297  
10,398   

Lexington Realty Trust

     156,490  
2,951   

Life Storage Inc.

     389,945  
1,415   

LTC Properties Inc.(a)

     44,940  
8,015   

Macerich Co. (The)(a)

     151,163  
3,223   

Mack-Cali Realty Corp.*

     53,856  
22,959   

Medical Properties Trust Inc.

     488,797  
24,536   

Monmouth Real Estate Investment Corp.

     509,613  
1,627   

National Health Investors Inc.

     84,994  
6,853   

National Retail Properties Inc.

     302,217  
3,063   

National Storage Affiliates Trust

     188,007  
1,401   

NETSTREIT Corp.

     29,897  
833   

NexPoint Residential Trust Inc.

     62,125  
1,761   

Office Properties Income Trust

     41,789  
8,976   

Omega Healthcare Investors Inc.(a)

     250,789  
539   

One Liberty Properties Inc.

     17,534  
5,445   

Outfront Media Inc.

     136,071  
6,996   

Paramount Group Inc.

     55,688  
8,853   

Park Hotels & Resorts Inc.*

     147,314  
4,863   

Pebblebrook Hotel Trust

     101,880  
664   

Phillips Edison & Co., Inc.

     20,830  
8,006   

Physicians Realty Trust

     142,747  
4,626   

Piedmont Office Realty Trust Inc., Class A Shares

     80,400  
1,188   

Plymouth Industrial REIT Inc.

     35,343  
483   

Postal Realty Trust Inc., Class A Shares

     8,380  
2,480   

PotlatchDeltic Corp.

     134,267  
2,072   

Preferred Apartment Communities Inc.

     27,309  
7,738   

PS Business Parks Inc.

     1,355,698  
5,292   

Rayonier Inc.

     199,879  
6,563   

Regency Centers Corp.

     455,078  
4,371   

Retail Opportunity Investments Corp.

     76,755  
594   

Retail Value Inc.

     3,612  
5,161   

Rexford Industrial Realty Inc.

     361,683  
6,156   

RLJ Lodging Trust

     77,504  
2,897   

RPT Realty

     36,850  
2,013   

Ryman Hospitality Properties Inc.*

     155,806  
8,242   

Sabra Health Care REIT Inc.

     106,569  
664   

Safehold Inc.

     47,503  
478   

Saul Centers Inc.

     23,532  
7,449   

SBA Communications Corp., Class A Shares

     2,560,966  
1,428   

Seritage Growth Properties, Class A Shares*

     20,549  
6,153   

Service Properties Trust

     52,362  

 

66


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

REAL ESTATE - 6.0% - (continued)

 

Equity Real Estate Investment Trusts (REITs) - 5.5% - (continued)

 

6,469   

SITE Centers Corp.

   $ 97,423  
2,527   

SL Green Realty Corp.(a)

     175,450  
29,040   

Spirit Realty Capital Inc.

     1,294,022  
12,517   

STAG Industrial Inc.

     545,491  
9,201   

STORE Capital Corp.

     303,081  
4,154   

Summit Hotel Properties Inc.*

     37,178  
8,127   

Sunstone Hotel Investors Inc.*

     88,341  
3,792   

Tanger Factory Outlet Centers Inc.(a)

     75,120  
2,560   

Terreno Realty Corp.

     194,944  
1,646   

UMH Properties Inc.

     37,990  
7,283   

Uniti Group Inc.

     96,645  
507   

Universal Health Realty Income Trust

     28,225  
4,298   

Urban Edge Properties

     74,055  
1,056   

Urstadt Biddle Properties Inc., Class A Shares

     19,937  
22,646   

VICI Properties Inc.(a)

     615,971  
6,610   

Vornado Realty Trust

     265,325  
3,184   

Washington Real Estate Investment Trust

     80,237  
1,631   

Whitestone REIT, Class B Shares

     15,103  
4,254   

Xenia Hotels & Resorts Inc.*

     66,660  
     

 

 

 
  

Total Equity Real Estate Investment Trusts (REITs)

     33,913,921  
     

 

 

 

Real Estate Management & Development - 0.5%

 

15,668   

CBRE Group Inc., Class A Shares*

     1,497,391  
5,157   

Cushman & Wakefield PLC*

     91,176  
2,356   

eXp World Holdings Inc.(a)

     86,489  
200   

Fathom Holdings Inc.*

     4,718  
669   

Forestar Group Inc.*

     13,260  
302   

FRP Holdings Inc.*

     17,709  
1,551   

Howard Hughes Corp. (The)*

     127,167  
1,909   

Jones Lang LaSalle Inc.*

     448,443  
4,517   

Kennedy-Wilson Holdings Inc.

     97,974  
877   

Marcus & Millichap Inc.*

     37,579  
5,606   

Newmark Group Inc., Class A Shares

     90,032  
16,945   

Opendoor Technologies Inc.*

     268,409  
435   

Rafael Holdings Inc., Class B Shares*

     2,388  
623   

RE/MAX Holdings Inc., Class A Shares

     17,126  
4,315   

Realogy Holdings Corp.*

     65,545  
3,808   

Redfin Corp.*

     154,948  
623   

RMR Group Inc. (The), Class A Shares

     20,353  
1,247   

St Joe Co. (The)

     59,868  
800   

Tejon Ranch Co.*

     14,640  
     

 

 

 
  

Total Real Estate Management & Development

     3,115,215  
     

 

 

 
   TOTAL REAL ESTATE      37,029,136  
     

 

 

 

UTILITIES - 2.8%

 

Electric Utilities - 0.5%

 

20,983   

ALLETE Inc.

     1,230,233  
3,981   

Hawaiian Electric Industries Inc.

     151,238  
3,689   

IDACORP Inc.

     385,943  
1,360   

MGE Energy Inc.

     98,723  
9,189   

NRG Energy Inc.

     330,988  
7,544   

OGE Energy Corp.

     258,910  
1,585   

Otter Tail Corp.

     103,643  
4,254   

Pinnacle West Capital Corp.

     276,723  
3,179   

PNM Resources Inc.

     156,534  
3,389   

Portland General Electric Co.

     164,943  
502   

Via Renewables Inc., Class A Shares(a)

     5,607  
     

 

 

 
  

Total Electric Utilities

     3,163,485  
     

 

 

 

Gas Utilities - 0.2%

 

2,006   

Brookfield Infrastructure Corp., Class A Shares

     118,735  
645   

Chesapeake Utilities Corp.

     82,147  
3,284   

National Fuel Gas Co.

     189,848  

 

67


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

UTILITIES - 2.8% - (continued)

 

Gas Utilities - 0.2% - (continued)

 

3,615   

New Jersey Resources Corp.

   $ 132,960  
1,118   

Northwest Natural Holding Co.

     48,208  
1,957   

ONE Gas Inc.

     126,892  
3,857   

South Jersey Industries Inc.

     90,639  
2,217   

Southwest Gas Holdings Inc.

     145,901  
1,890   

Spire Inc.

     113,117  
8,164   

UGI Corp.

     336,765  
     

 

 

 
  

Total Gas Utilities

     1,385,212  
     

 

 

 

Independent Power & Renewable Electricity Producers - 0.5%

 

4,818   

Brookfield Renewable Corp., Class A Shares

     178,410  
1,277   

Clearway Energy Inc., Class A Shares

     44,095  
3,108   

Clearway Energy Inc., Class C Shares

     115,991  
19,215   

Ormat Technologies Inc.(a)

     1,450,732  
3,509   

Sunnova Energy International Inc.*

     129,728  
58,989   

Vistra Corp.

     1,172,701  
     

 

 

 
  

Total Independent Power & Renewable Electricity Producers

     3,091,657  
     

 

 

 

Multi-Utilities - 0.4%

 

34,824   

Avista Corp.

     1,341,072  
2,340   

Black Hills Corp.

     150,041  
7,545   

MDU Resources Group Inc.

     205,450  
14,800   

NiSource Inc.

     362,748  
9,830   

NorthWestern Corp.

     543,599  
627   

Unitil Corp.

     25,983  
     

 

 

 
  

Total Multi-Utilities

     2,628,893  
     

 

 

 

Water Utilities - 1.2%

 

1,373   

American States Water Co.

     129,309  
406   

Artesian Resources Corp., Class A Shares

     17,361  
827   

Cadiz Inc.*

     3,349  
10,888   

California Water Service Group

     686,053  
20,743   

Essential Utilities Inc.

     980,522  
619   

Global Water Resources Inc.

     10,659  
646   

Middlesex Water Co.

     66,564  
5,637   

Pennon Group PLC, ADR

     188,839  
734   

Pure Cycle Corp.*

     10,687  
4,861   

Severn Trent PLC, ADR

     192,204  
32,211   

SJW Group

     2,169,411  
92,882   

United Utilities Group PLC, ADR

     2,673,144  
462   

York Water Co. (The)

     21,649  
     

 

 

 
  

Total Water Utilities

     7,149,751  
     

 

 

 
   TOTAL UTILITIES      17,418,998  
     

 

 

 
  

TOTAL COMMON STOCKS

(Cost - $375,005,991)

  

 

584,695,042

 

     

 

 

 

CONVERTIBLE PREFERRED STOCKS - 0.7%

 

HEALTH CARE - 0.5%

 

Health Care Equipment & Supplies - 0.5%

 

56,772   

Becton Dickinson & Co., 6.000% due 6/1/23

     2,850,522  
     

 

 

 

UTILITIES - 0.2%

 

Water Utilities - 0.2%

 

24,948   

Essential Utilities Inc., 6.000% due 4/30/22

     1,440,498  
     

 

 

 
  

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost - $4,254,259)

  

 

4,291,020

 

     

 

 

 

PREFERRED STOCKS - 0.3%

 

FINANCIALS - 0.3%

 

Banks - 0.2%

 

51,838   

US Bancorp, 3.500% (3-Month USD-LIBOR + 0.600%)(d)(e)

     1,249,296  
11,178   

US Bancorp, 6.500% (3-Month USD-LIBOR + 4.468%)(d)(e)

     283,250  
     

 

 

 
  

Total Banks

     1,532,546  
     

 

 

 

 

68


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

Shares/Units    Security    Value  

FINANCIALS - 0.3% - (continued)

 

Insurance - 0.1%

 

13,662      

MetLife Inc., 4.750%(e)

   $ 349,611  
5,429      

MetLife Inc., 5.625%(e)

     141,914  
        

 

 

 
      Total Insurance      491,525  
        

 

 

 
     

TOTAL PREFERRED STOCKS

(Cost - $1,970,009)

  

 

2,024,071

 

        

 

 

 

CLOSED END MUTUAL FUND SECURITIES - 0.2%

 

FINANCIALS - 0.2%

 

Capital Markets - 0.2%

 

4,364       iShares® Core S&P Small-Capital ETF(a)      481,393  
1,203       iShares® Russell 2000 ETF, Common Class Shares(a)      262,458  
4,193       iShares® Russell Mid-Capital ETF, Common Class Shares(a)      335,482  
     

TOTAL CLOSED END MUTUAL FUND SECURITIES

(Cost - $528,276)

  

 

1,079,333

 

        

 

 

 
Face
Amount/Units†
   Rating††              

CORPORATE BONDS & NOTES - 0.2%

  

COMMUNICATION SERVICES - 0.2%

  

Diversified Telecommunication Services - 0.2%

  
702,000   

NR

   Infinera Corp., Senior Unsecured Notes, 2.500% due 3/1/27(c)(f)      923,130  
        

 

 

 

ENERGY - 0.0%

  

Oil & Gas - 0.0%

  
20,000   

CCC

   ION Geophysical Corp., Secured Notes, 8.000% due 12/15/25      18,251  
        

 

 

 
     

TOTAL CORPORATE BONDS & NOTES

(Cost - $722,016)

  

 

941,381

 

        

 

 

 
     

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $382,480,551)

  

 

593,030,847

 

        

 

 

 
Face
Amount†
                   

SHORT-TERM INVESTMENTS (g) - 8.0%

  

MONEY MARKET FUND - 4.4%

  
$    27,327,898      

Invesco STIT - Government & Agency Portfolio, 0.026%, Institutional Class(h)

(Cost - $27,327,898)

     27,327,898  
        

 

 

 

TIME DEPOSITS - 3.6%

  
5,587,056       ANZ National Bank - London, 0.005% due 12/1/21      5,587,056  
8,542,369       BNP Paribas - Paris, 0.005% due 12/1/21      8,542,369  
      Royal Bank of Canada - Toronto:   
             20,372  CAD   

0.005% due 12/1/21

     15,945  
5,410,618      

0.005% due 12/1/21

     5,410,618  
1,774,627       Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21      1,774,627  
786,816       Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21      786,816  
        

 

 

 
     

TOTAL TIME DEPOSITS

(Cost - $22,117,431)

  

 

22,117,431

 

        

 

 

 
     

TOTAL SHORT-TERM INVESTMENTS

(Cost - $49,445,329)

  

 

49,445,329

 

        

 

 

 
     

TOTAL INVESTMENTS - 104.2%

(Cost - $431,925,880)

  

 

642,476,176

 

        

 

 

 
      Liabilities in Excess of Other Assets - (4.2)%      (25,705,109
        

 

 

 
      TOTAL NET ASSETS - 100.0%    $ 616,771,067  
        

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

*

Non-income producing security.

(a)

All or a portion of this security is on loan (See Note 1).

(b)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

(c)

Illiquid security.

(d)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

(e)

Security is perpetual in nature and has no stated maturity date.

(f)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $923,130 and represents 0.2% of net assets.

(g)

Inclusive of all short-term holdings, including investments of collateral received from securities lending transactions. Excluding such collateral, the percentage of portfolio holdings would be 3.6%.

(h)

Represents investments of collateral received from securities lending transactions.

#

Security that used significant unobservable inputs to determine fair value.

At November 30, 2021, for Small-Mid Cap Equity Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

  

Gross

Unrealized

(Depreciation)

  

Net

Unrealized

Appreciation

Small-Mid Cap Equity Fund

   $431,925,880    $229,926,753    $(19,463,999)    $210,462,754

Abbreviations used in this schedule:

 

ADR

     American Depositary Receipts

LIBOR

     London Interbank Offered Rate

PLC

     Public Limited Company

REIT

     Real Estate Investment Trust

 

Summary of Investments by Security Sector^

 

Information Technology

     18.6

Industrials

     16.5  

Health Care

     15.7  

Financials

     13.5  

Consumer Discretionary

     8.7  

Real Estate

     6.0  

Materials

     5.1  

Consumer Staples

     4.0  

Utilities

     3.1  

Communication Services

     2.6  

Energy

     2.6  

Short-Term Investments

     3.6  
  

 

 

 
     100.0 %+ 
  

 

 

 

 

^

As a percentage of total investments.

+

Does not reflect investments of collateral received from securities lending transactions.

 

69


Schedules of Investments

(unaudited) (continued)

 

Small-Mid Cap Equity Fund

 

At November 30, 2021, Small-Mid Cap Equity Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts   Number of
Contracts
 

Expiration

Date

(Month/Year)

  Notional
Amount
  Market Value   Unrealized
Appreciation/
(Depreciation)

Contracts to Buy:

                   

Russell 2000 E-mini Index December Futures

      13       12/21       $   1,491,335     $   1,428,245     $   (63,090 )

NASDAQ 100 E-mini Index December Futures

      1       12/21         311,028       323,011       11,983

S&P MidCap 400 E-mini Index December Futures

      4       12/21         1,118,915       1,082,480       (36,435 )
                   

 

 

 
                    $ (87,542 )
                   

 

 

 

At November 30, 2021, Small-Mid Cap Equity Fund had deposited cash of $157,996 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

Currency Abbreviations used in this schedule:

 

CAD       Canadian Dollar
USD       United States Dollar

 

 

70


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

COMMON STOCKS - 95.5%

 

Argentina - 0.0%

 

425   

MercadoLibre Inc.*

   $ 505,074  
     

 

 

 

Australia - 3.1%

 

4,366   

Afterpay Ltd.*

     329,486  
5,110   

Ampol Ltd.

     104,095  
26,549   

Ansell Ltd.

     598,894  
24,373   

APA Group

     164,221  
12,260   

Aristocrat Leisure Ltd.

     378,895  
4,029   

ASX Ltd.

     256,189  
35,154   

Aurizon Holdings Ltd.

     83,852  
36,895   

AusNet Services Ltd., Class Miscella Shares

     66,956  
57,224   

Australia & New Zealand Banking Group Ltd.

     1,077,320  
98,086   

Bank of Queensland Ltd.

     527,528  
617,739   

Beach Energy Ltd.

     516,768  
59,851   

BHP Group Ltd.

     1,681,972  
42,481   

BHP Group PLC

     1,163,931  
10,125   

BlueScope Steel Ltd.

     137,914  
28,577   

Brambles Ltd.

     202,363  
91,303   

Charter Hall Group, REIT

     1,230,567  
14,861   

Cochlear Ltd.

     2,275,723  
26,345   

Coles Group Ltd.

     335,770  
35,901   

Commonwealth Bank of Australia

     2,359,090  
11,293   

Computershare Ltd.

     151,930  
7,474   

Crown Resorts Ltd.*

     57,823  
30,488   

CSL Ltd.

     6,590,579  
104,009   

CSR Ltd.

     427,383  
21,075   

Dexus, REIT

     165,848  
1,282   

Domino’s Pizza Enterprises Ltd.

     117,575  
78,989   

Elders Ltd.

     625,482  
27,115   

Endeavour Group Ltd.

     130,974  
34,893   

Evolution Mining Ltd.

     99,002  
33,673   

Fortescue Metals Group Ltd.

     391,932  
33,437   

Goodman Group, REIT

     581,658  
39,989   

GPT Group (The), REIT

     148,586  
4,211   

IDP Education Ltd.

     105,011  
48,656   

Insurance Australia Group Ltd.

     152,802  
16,229   

JB Hi-Fi Ltd.

     551,685  
14,273   

Lendlease Corp., Ltd.

     107,237  
25,239   

Macquarie Group Ltd.

     3,497,841  
2,673   

Magellan Financial Group Ltd.

     62,179  
51,626   

Medibank Pvt Ltd.

     125,809  
16,760   

Mineral Resources Ltd.

     526,168  
83,181   

Mirvac Group, REIT

     167,429  
66,336   

National Australia Bank Ltd.

     1,276,393  
16,796   

Newcrest Mining Ltd.

     278,540  
20,796   

Northern Star Resources Ltd.

     138,261  
36,224   

Oil Search Ltd.

     96,590  
8,577   

Orica Ltd.

     84,605  
37,374   

Origin Energy Ltd.

     126,738  
86,058   

Orocobre Ltd.*

     608,229  
56,902   

OZ Minerals Ltd.

     993,456  
105,443   

Pendal Group Ltd.

     455,162  
18,281   

Qantas Airways Ltd.*

     65,116  
29,073   

QBE Insurance Group Ltd.

     237,663  
3,810   

Ramsay Health Care Ltd.

     179,295  
1,077   

REA Group Ltd.

     122,668  
6,086   

Reece Ltd.

     99,306  
7,465   

Rio Tinto Ltd.

     484,327  

 

71


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Australia - 3.1% - (continued)

 

36,737   

Santos Ltd.

   $ 161,340  
103,307   

Scentre Group, REIT

     225,230  
7,060   

SEEK Ltd.

     172,263  
34,263   

Seven Group Holdings Ltd.

     512,514  
275,308   

Shopping Centres Australasia Property Group, REIT, Class Miscella Shares

     540,497  
9,004   

Sonic Healthcare Ltd.

     270,613  
97,317   

South32 Ltd.

     231,058  
50,069   

Stockland, REIT

     153,458  
26,756   

Suncorp Group Ltd.

     203,853  
51,940   

Super Retail Group Ltd.

     457,044  
27,342   

Sydney Airport*

     160,974  
46,409   

Tabcorp Holdings Ltd.

     162,797  
67,444   

Technology One Ltd.

     584,527  
81,516   

Telstra Corp., Ltd.

     234,279  
61,406   

Transurban Group

     590,706  
15,164   

Treasury Wine Estates Ltd.

     130,648  
70,026   

Vicinity Centres, REIT

     83,459  
4,351   

Washington H Soul Pattinson & Co., Ltd.

     94,200  
22,801   

Wesfarmers Ltd.

     916,410  
73,775   

Westpac Banking Corp.

     1,067,969  
3,097   

WiseTech Global Ltd.

     114,060  
19,573   

Woodside Petroleum Ltd.

     290,229  
25,492   

Woolworths Group Ltd.

     736,241  
     

 

 

 
  

Total Australia

     41,617,185  
     

 

 

 

Austria - 0.3%

 

67,157   

Erste Group Bank AG

     2,927,655  
3,061   

OMV AG

     162,149  
3,089   

Raiffeisen Bank International AG

     91,465  
1,373   

Verbund AG

     143,527  
2,197   

Voestalpine AG

     74,373  
     

 

 

 
  

Total Austria

     3,399,169  
     

 

 

 

Belgium - 0.5%

 

3,417   

Ageas SA NV

     176,151  
15,323   

Anheuser-Busch InBev SA/NV

     854,469  
666   

Elia Group SA/NV

     82,753  
934   

Etablissements Franz Colruyt NV

     43,813  
2,350   

Groupe Bruxelles Lambert SA

     253,882  
5,028   

KBC Group NV

     420,180  
3,139   

Proximus SADP

     57,038  
288   

Sofina SA

     133,194  
1,573   

Solvay SA

     175,971  
29,870   

UCB SA

     3,248,404  
39,113   

Umicore SA

     1,900,826  
     

 

 

 
  

Total Belgium

     7,346,681  
     

 

 

 

Brazil - 0.1%

 

341,410   

B3 SA - Brasil Bolsa Balcao

     674,575  
     

 

 

 

Canada - 2.5%

 

351,700   

Air Canada*

     5,725,637  
133,335   

Alimentation Couche-Tard Inc., Class B Shares

     4,884,028  
119,596   

ARC Resources Ltd.

     1,049,326  
25,352   

ATS Automation Tooling Systems Inc.*

     945,901  
12,854   

Ballard Power Systems Inc.*

     195,680  
15,985   

Boardwalk Real Estate Investment Trust(a)

     665,599  
13,381   

BRP Inc.

     1,057,368  
61,801   

Canadian National Railway Co.

     7,829,304  
24,948   

Canadian Western Bank(a)

     721,308  
21,084   

Canfor Corp.*

     449,684  
41,062   

Celestica Inc.*

     420,695  
32,320   

CI Financial Corp.

     712,348  
7,866   

Descartes Systems Group Inc. (The)*

     632,346  
96,328   

Dundee Precious Metals Inc.  

     612,959  

 

72


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Canada - 2.5% - (continued)

 

36,398   

Finning International Inc.

   $ 927,292  
62,803   

Fortuna Silver Mines Inc.*(a)

     218,740  
56,976   

Parex Resources Inc.

     913,293  
13,584   

Stella-Jones Inc.

     425,493  
11,591   

TFI International Inc.

     1,150,708  
24,598   

Tilray Inc., Class 2 Shares*(a)

     248,550  
38,452   

Toronto-Dominion Bank (The)

     2,713,143  
70,441   

Tricon Residential Inc.

     967,037  
     

 

 

 
  

Total Canada

     33,466,439  
     

 

 

 

Chile - 0.1%

 

92,957   

Antofagasta PLC

     1,698,373  
     

 

 

 

China - 0.4%

 

60,640   

Alibaba Group Holding Ltd., ADR*

     972,409  
2,832,000   

Beijing Capital International Airport Co., Ltd., Class H Shares*(b)

     1,648,866  
416,000   

Kingdee International Software Group Co., Ltd.*

     1,261,714  
21,100   

Tencent Holdings Ltd.

     1,243,110  
     

 

 

 
  

Total China

     5,126,099  
     

 

 

 

Denmark - 2.6%

 

3,518   

Ambu AS, Class B Shares

     100,160  
67   

AP Moller - Maersk AS, Class A Shares

     192,956  
116   

AP Moller - Maersk AS, Class B Shares

     350,927  
2,079   

Carlsberg AS, Class B Shares

     324,629  
54,736   

Chr Hansen Holding AS

     4,073,509  
30,170   

Coloplast AS, Class B Shares

     4,950,809  
13,827   

Danske Bank AS

     227,876  
2,025   

Demant AS*

     97,367  
4,054   

DSV AS

     888,487  
1,320   

Genmab AS*

     512,906  
2,484   

GN Store Nord AS

     143,512  
4,222   

Netcompany Group AS(c)

     452,516  
109,759   

Novo Nordisk AS, Class B Shares

     11,755,260  
69,489   

Novozymes AS, Class B Shares

     5,281,528  
3,804   

Orsted AS(c)

     486,890  
5,823   

Pandora AS

     722,384  
170   

ROCKWOOL International AS, Class B Shares

     70,603  
4,120   

Royal Unibrew AS

     441,327  
7,077   

Tryg AS

     171,503  
109,701   

Vestas Wind Systems AS

     3,675,583  
     

 

 

 
  

Total Denmark

     34,920,732  
     

 

 

 

Finland - 0.9%

 

3,023   

Elisa OYJ

     181,494  
8,838   

Fortum OYJ

     254,077  
26,809   

Kemira OYJ

     398,810  
5,752   

Kesko OYJ, Class B Shares

     180,756  
77,035   

Kone OYJ, Class B Shares

     5,070,564  
59,867   

Metso Outotec OYJ

     602,101  
8,508   

Neste OYJ

     401,342  
108,427   

Nokia OYJ*

     609,037  
65,156   

Nordea Bank Abp

     773,112  
2,086   

Orion OYJ, Class B Shares

     85,714  
9,987   

Sampo OYJ, Class A Shares

     490,693  
11,409   

Stora Enso OYJ, Class R Shares

     193,140  
19,991   

TietoEVRY OYJ

     582,993  
10,733   

UPM-Kymmene OYJ

     389,706  
31,032   

Valmet OYJ

     1,271,996  
10,090   

Wartsila OYJ Abp

     139,788  
     

 

 

 
  

Total Finland

     11,625,323  
     

 

 

 

France - 10.4%

 

3,653   

Accor SA*

     108,118  
667   

Aeroports de Paris*

     77,668  
35,727   

Air Liquide SA

     5,910,162  

 

73


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

France - 10.4% - (continued)

 

234,483   

Alstom SA(c)

   $ 8,313,632  
18,189   

Amundi SA(c)

     1,509,773  
6,348   

Arkema SA

     830,213  
356,094   

AXA SA

     9,789,427  
878   

BioMerieux

     124,548  
38,734   

BNP Paribas SA

     2,405,130  
18,090   

Bollore SA

     97,195  
4,636   

Bouygues SA

     156,896  
6,234   

Bureau Veritas SA

     196,691  
3,225   

Capgemini SE

     746,105  
12,848   

Carrefour SA

     212,858  
10,177   

Cie de Saint-Gobain

     644,742  
3,404   

Cie Générale des Établissements Michelin SCA

     502,949  
3,000   

CNP Assurances

     73,096  
953   

Covivio, REIT

     78,949  
24,176   

Credit Agricole SA

     329,084  
123,351   

Danone SA

     7,275,000  
440   

Dassault Aviation SA

     41,678  
112,534   

Dassault Systemes SE

     6,785,304  
13,540   

Edenred

     607,039  
12,532   

Eiffage SA

     1,162,982  
8,856   

Electricite de France SA

     124,479  
34,201   

Elis SA*

     535,688  
36,730   

Engie SA

     531,462  
16,969   

EssilorLuxottica SA

     3,400,748  
770   

Eurazeo SE

     62,939  
23,624   

Faurecia SE

     1,015,781  
970   

Gecina SA, REIT

     131,389  
9,277   

Getlink SE

     137,029  
637   

Hermes International

     1,194,737  
794   

Ipsen SA

     77,586  
1,532   

Kering SA

     1,181,649  
43,320   

Klepierre SA, REIT

     918,324  
17,640   

Korian SA

     521,986  
12,344   

La Francaise des Jeux SAEM(c)

     571,900  
24,472   

Legrand SA

     2,676,026  
16,270   

L’Oréal SA

     7,337,516  
12,106   

LVMH Moët Hennessy Louis Vuitton SE

     9,399,390  
9,401   

Nexans SA

     868,687  
19,558   

Nexity SA

     839,160  
39,923   

Orange SA

     430,690  
968   

Orpea SA

     91,306  
22,318   

Pernod Ricard SA(a)

     5,127,252  
16,056   

Publicis Groupe SA

     1,040,864  
426   

Remy Cointreau SA

     100,045  
3,801   

Renault SA*

     122,290  
38,910   

Rexel SA

     712,392  
6,873   

Safran SA

     765,000  
150,519   

Sanofi

     14,319,047  
575   

Sartorius Stedim Biotech

     338,956  
36,832   

Schneider Electric SE

     6,511,893  
588   

SEB SA

     87,315  
16,301   

Societe Generale SA

     506,465  
1,877   

Sodexo SA*

     157,654  
5,592   

SOITEC*

     1,473,698  
3,996   

Sopra Steria Group SACA

     709,388  
7,252   

Suez SA

     162,346  
1,181   

Teleperformance

     485,533  
2,078   

Thales SA

     170,115  
376,539   

TotalEnergies SE

     17,312,081  
1,919   

Ubisoft Entertainment SA*

     98,630  

 

74


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

France - 10.4% - (continued)

 

2,469   

Unibail-Rodamco-Westfield, REIT*

   $ 162,240  
126,539   

Valeo

     3,666,637  
52,991   

Vallourec SA*

     462,448  
13,097   

Veolia Environnement SA(a)

     419,205  
59,948   

Vinci SA

     5,656,069  
14,310   

Vivendi SE

     182,624  
575   

Wendel SE

     65,707  
4,778   

Worldline SA*(c)

     251,437  
     

 

 

 
  

Total France

     141,095,042  
     

 

 

 

Germany - 8.3%

 

22,753   

adidas AG

     6,599,688  
8,293   

Allianz SE, Class Registered Shares

     1,808,177  
7,188   

Aurubis AG

     617,805  
155,299   

BASF SE

     10,197,919  
88,669   

Bayer AG, Class Registered Shares

     4,478,161  
31,824   

Bayerische Motoren Werke AG

     3,066,400  
14,068   

Bechtle AG

     1,017,741  
1,996   

Beiersdorf AG

     199,712  
3,096   

Brenntag SE

     265,756  
3,601   

Carl Zeiss Meditec AG

     722,564  
20,700   

Commerzbank AG*

     146,557  
2,217   

Continental AG*

     238,512  
11,034   

Covestro AG(c)

     623,742  
45,682   

Daimler AG, Class Registered Shares

     4,300,561  
3,251   

Delivery Hero SE*(c)

     434,074  
5,515   

Dermapharm Holding SE

     507,975  
41,563   

Deutsche Bank AG, Class Registered Shares*

     503,282  
3,821   

Deutsche Boerse AG

     600,777  
13,000   

Deutsche Lufthansa AG, Class Registered Shares*

     78,763  
60,365   

Deutsche Pfandbriefbank AG(c)

     708,367  
20,206   

Deutsche Post AG, Class Registered Shares

     1,194,724  
66,989   

Deutsche Telekom AG, Class Registered Shares

     1,184,882  
13,360   

DWS Group GmbH & Co. KGaA(c)

     526,205  
45,149   

E.ON SE

     558,068  
4,450   

Evonik Industries AG

     134,365  
30,661   

Freenet AG

     778,618  
4,194   

Fresenius Medical Care AG & Co. KGaA

     251,266  
8,337   

Fresenius SE & Co. KGaA

     316,935  
15,023   

GEA Group AG

     762,489  
7,897   

Gerresheimer AG

     725,887  
1,176   

Hannover Rueck SE

     206,134  
2,943   

HeidelbergCement AG

     197,567  
3,377   

HelloFresh SE*

     342,628  
2,205   

Henkel AG & Co. KGaA

     164,101  
112,306   

Infineon Technologies AG

     5,087,633  
1,466   

KION Group AG

     158,834  
18,820   

Knorr-Bremse AG

     1,873,783  
10,179   

Lanxess AG

     592,285  
1,487   

LEG Immobilien SE

     208,433  
34,911   

Merck KGaA

     8,666,443  
1,107   

MTU Aero Engines AG

     207,228  
2,817   

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Class Registered Shares

     761,696  
1,072   

Nemetschek SE

     135,965  
46,715   

ProSiebenSat.1 Media SE

     689,430  
2,115   

Puma SE

     256,245  
108   

Rational AG

     99,719  
7,987   

Rheinmetall AG

     711,791  
228,149   

RWE AG

     8,835,343  
177,146   

SAP SE

     22,744,975  
1,678   

Scout24 SE(c)

     111,704  
70,589   

Siemens AG, Class Registered Shares

     11,305,817  

 

75


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Germany - 8.3% - (continued)

 

7,956   

Siemens Energy AG*

   $ 211,393  
5,708   

Siemens Healthineers AG(c)

     416,556  
2,614   

Sixt SE*

     425,364  
2,584   

Symrise AG, Class A Shares

     365,116  
31,756   

TAG Immobilien AG

     882,983  
23,429   

Telefonica Deutschland Holding AG

     62,563  
1,841   

Uniper SE

     80,124  
17,282   

United Internet AG, Class Registered Shares

     650,449  
689   

Volkswagen AG

     192,363  
14,905   

Vonovia SE

     828,710  
25,197   

Zalando SE*(c)

     2,297,087  
     

 

 

 
  

Total Germany

     113,320,434  
     

 

 

 

Gibraltar - 0.0%

 

121,464   

888 Holdings PLC

     501,668  
     

 

 

 

Hong Kong - 2.8%

 

1,071,800   

AIA Group Ltd.

     11,277,909  
37,800   

ASM Pacific Technology Ltd.

     395,729  
955,500   

BOC Hong Kong Holdings Ltd.

     2,885,744  
37,100   

Budweiser Brewing Co. APAC Ltd.(c)

     93,711  
190,000   

China Mengniu Dairy Co., Ltd.*

     1,057,216  
41,200   

Chow Tai Fook Jewellery Group Ltd.

     73,865  
40,000   

CK Asset Holdings Ltd.

     228,787  
56,000   

CK Hutchison Holdings Ltd.

     350,824  
11,500   

CK Infrastructure Holdings Ltd.

     66,392  
475,500   

CLP Holdings Ltd.

     4,650,656  
41,000   

ESR Cayman Ltd.*(c)

     135,274  
1,077   

Futu Holdings Ltd., ADR*(a)

     51,147  
42,000   

Galaxy Entertainment Group Ltd.*

     228,680  
1,733,000   

Hang Lung Properties Ltd.

     3,427,313  
15,900   

Hang Seng Bank Ltd.

     281,392  
27,894   

Henderson Land Development Co., Ltd.

     113,548  
53,500   

HK Electric Investments & HK Electric Investments Ltd.

     52,296  
80,000   

HKT Trust & HKT Ltd., Class Miscella Shares

     108,546  
221,380   

Hong Kong & China Gas Co., Ltd.

     330,467  
53,919   

Hong Kong Exchanges & Clearing Ltd.

     2,973,353  
23,600   

Hongkong Land Holdings Ltd.

     127,392  
142,000   

Hysan Development Co., Ltd.

     430,914  
68,400   

Jardine Matheson Holdings Ltd.

     3,865,190  
42,400   

Link REIT

     365,809  
4,414   

Melco Resorts & Entertainment Ltd., ADR*

     43,081  
32,500   

MTR Corp., Ltd.

     172,690  
28,669   

New World Development Co., Ltd.

     112,654  
1,231,000   

Pacific Basin Shipping Ltd.

     468,868  
29,500   

Power Assets Holdings Ltd.

     177,435  
62,646   

Sino Land Co., Ltd.

     74,700  
24,000   

SITC International Holdings Co., Ltd.

     95,917  
26,500   

Sun Hung Kai Properties Ltd.

     322,174  
9,500   

Swire Pacific Ltd., Class A Shares

     52,570  
24,800   

Swire Properties Ltd.

     58,522  
119,000   

Techtronic Industries Co., Ltd.

     2,432,432  
524,000   

United Laboratories International Holdings Ltd. (The)

     297,575  
173,500   

WH Group Ltd.(c)

     108,121  
32,000   

Wharf Real Estate Investment Co., Ltd.

     161,734  
38,000   

Xinyi Glass Holdings Ltd.

     92,689  
     

 

 

 
  

Total Hong Kong

     38,243,316  
     

 

 

 

India - 0.1%

 

99,517   

HDFC Bank Ltd.

     1,971,085  
     

 

 

 

Indonesia - 0.3%

 

2,610,500   

Bank Central Asia Tbk PT

     1,325,983  
5,649,273   

Bank Mandiri Persero Tbk PT

     2,761,034  
     

 

 

 
  

Total Indonesia

     4,087,017  
     

 

 

 

 

76


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Ireland – 1.3%

 

13,383   

AerCap Holdings NV*

   $ 749,983  
136,063   

Bank of Ireland Group PLC*

     736,763  
15,762   

CRH PLC

     767,416  
113,077   

Dalata Hotel Group PLC*

     435,045  
2,088   

DCC PLC

     153,444  
145,066   

Experian PLC

     6,506,493  
3,350   

Flutter Entertainment PLC*

     453,578  
31,260   

Glanbia PLC

     404,707  
8,935   

James Hardie Industries PLC, CDI

     346,211  
3,200   

Kerry Group PLC, Class A Shares

     394,036  
3,103   

Kingspan Group PLC

     358,292  
63,581   

Ryanair Holdings PLC, ADR*

     6,075,165  
4,870   

Smurfit Kappa Group PLC

     248,163  
     

 

 

 
  

Total Ireland

     17,629,296  
     

 

 

 

Israel – 0.5%

 

922   

Azrieli Group Ltd.

     83,753  
22,297   

Bank Hapoalim BM

     217,409  
29,309   

Bank Leumi Le-Israel BM

     282,988  
2,128   

Check Point Software Technologies Ltd.*

     236,868  
804   

CyberArk Software Ltd.*

     138,971  
614   

Elbit Systems Ltd.

     89,435  
590   

Fiverr International Ltd.*

     83,556  
14,106   

ICL Group Ltd.

     122,702  
23,176   

Inmode Ltd.*

     1,761,376  
24,701   

Israel Discount Bank Ltd., Class A Shares*

     150,850  
934   

Kornit Digital Ltd.*

     144,686  
2,835   

Mizrahi Tefahot Bank Ltd.

     104,577  
1,273   

Nice Ltd.*

     371,392  
6,066   

Nice Ltd., ADR*(a)

     1,771,151  
25,785   

Perion Network Ltd.*

     622,708  
14,234   

Radware Ltd.*

     412,359  
21,210   

Teva Pharmaceutical Industries Ltd., ADR*

     174,982  
1,165   

Wix.com Ltd.*

     178,012  
     

 

 

 
  

Total Israel

     6,947,775  
     

 

 

 

Italy – 3.0%

 

31,129   

ACEA SpA

     631,209  
2,622   

Amplifon SpA

     128,150  
22,189   

Assicurazioni Generali SpA

     445,176  
9,558   

Atlantia SpA*

     174,444  
63,156   

Banca Mediolanum SpA

     590,174  
26,671   

Buzzi Unicem SpA

     560,001  
10,833   

Davide Campari-Milano NV

     158,020  
12,236   

De’Longhi SpA

     409,631  
468   

DiaSorin SpA

     100,177  
1,346,124   

Enel SpA

     10,231,451  
50,738   

Eni SpA

     668,084  
2,535   

Ferrari NV

     665,632  
122,566   

FinecoBank Banca Fineco SpA

     2,145,199  
7,104   

Infrastrutture Wireless Italiane SpA(c)

     81,611  
7,177   

Interpump Group SpA

     484,635  
1,383,325   

Intesa Sanpaolo SpA

     3,307,834  
12,499   

Mediobanca Banca di Credito Finanziario SpA

     138,271  
4,213   

Moncler SpA

     305,395  
9,269   

Nexi SpA*(c)

     142,407  
10,757   

Poste Italiane SpA(c)

     135,598  
5,170   

Prysmian SpA

     191,641  
57,819   

Recordati Industria Chimica e Farmaceutica SpA

     3,633,783  
5,999   

Reply SpA

     1,166,033  
39,845   

Snam SpA

     224,675  
198,756   

Telecom Italia SpA

     103,462  
27,588   

Terna – Rete Elettrica Nazionale

     205,020  

 

77


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Italy - 3.0% - (continued)

 

1,101,482   

UniCredit SpA

   $ 13,324,577  
     

 

 

 
  

Total Italy

     40,352,290  
     

 

 

 

Japan - 17.0%

 

4,000   

Advantest Corp.

     347,508  
13,200   

Aeon Co., Ltd.

     307,865  
3,700   

AGC Inc.

     180,964  
2,900   

Aisin Corp.

     106,420  
9,500   

Ajinomoto Co., Inc.

     285,320  
3,300   

ANA Holdings Inc.*

     65,189  
9,100   

Asahi Group Holdings Ltd.

     338,288  
4,100   

Asahi Intecc Co., Ltd.

     89,565  
25,000   

Asahi Kasei Corp.

     235,732  
30,000   

ASKUL Corp.

     375,452  
37,400   

Astellas Pharma Inc.

     586,609  
2,600   

Azbil Corp.

     114,776  
3,900   

Bandai Namco Holdings Inc.

     303,418  
3,700   

BayCurrent Consulting Inc.

     1,532,944  
1,600   

Benefit One Inc.

     75,311  
84,400   

Bridgestone Corp.

     3,423,179  
4,400   

Brother Industries Ltd.

     75,530  
20,000   

Canon Inc.

     440,595  
14,300   

Capcom Co., Ltd.

     356,257  
3,000   

Central Japan Railway Co.

     412,728  
11,200   

Chiba Bank Ltd. (The)

     64,524  
12,200   

Chubu Electric Power Co., Inc.

     123,077  
13,500   

Chugai Pharmaceutical Co., Ltd.

     435,222  
22,700   

CKD Corp.

     442,842  
22,500   

Concordia Financial Group Ltd.

     81,794  
400   

Cosmos Pharmaceutical Corp.

     61,971  
8,400   

CyberAgent Inc.

     154,765  
4,400   

Dai Nippon Printing Co., Ltd.

     103,253  
18,100   

Daifuku Co., Ltd.

     1,446,995  
12,300   

Daihen Corp.

     465,667  
21,000   

Dai-ichi Life Holdings Inc.

     418,379  
35,200   

Daiichi Sankyo Co., Ltd.

     880,591  
39,200   

Daikin Industries Ltd.

     7,962,829  
1,300   

Daito Trust Construction Co., Ltd.

     140,747  
11,400   

Daiwa House Industry Co., Ltd.

     333,147  
42   

Daiwa House REIT Investment Corp., Class A Shares

     120,221  
28,600   

Daiwa Securities Group Inc.

     158,929  
18,800   

Denka Co., Ltd.

     553,089  
8,700   

Denso Corp.

     637,732  
4,400   

Dentsu Group Inc.

     139,919  
8,800   

Disco Corp.

     2,517,554  
6,000   

East Japan Railway Co.

     369,728  
33,100   

Eiken Chemical Co., Ltd.

     547,433  
4,900   

Eisai Co., Ltd.

     294,261  
60,850   

ENEOS Holdings Inc.

     225,764  
89,300   

FANUC Corp.

     17,421,008  
1,200   

Fast Retailing Co., Ltd.

     711,774  
16,400   

Food & Life Cos., Ltd.

     694,171  
31,100   

Fuji Corp.

     677,644  
2,600   

Fuji Electric Co., Ltd.

     135,582  
8,500   

Fuji Soft Inc.

     395,271  
7,400   

FUJIFILM Holdings Corp.

     582,071  
4,000   

Fujitsu Ltd.

     660,908  
20,900   

FULLCAST Holdings Co., Ltd.

     490,471  
78   

GLP J-REIT

     124,492  
800   

GMO Payment Gateway Inc.

     106,571  
9,900   

GungHo Online Entertainment Inc.

     266,277  
24,800   

H.U. Group Holdings Inc.

     628,730  

 

78


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Japan - 17.0% - (continued)

 

4,300   

Hakuhodo DY Holdings Inc.

   $ 63,991  
2,700   

Hamamatsu Photonics KK.

     165,836  
4,300   

Hankyu Hanshin Holdings Inc.

     127,526  
400   

Hikari Tsushin Inc.

     58,024  
5,200   

Hino Motors Ltd.

     43,198  
645   

Hirose Electric Co., Ltd.

     107,724  
2,300   

Hitachi Construction Machinery Co., Ltd.

     66,700  
19,500   

Hitachi Ltd.

     1,147,916  
4,000   

Hitachi Metals Ltd.*

     74,371  
32,800   

Honda Motor Co., Ltd.

     895,711  
1,000   

Hoshizaki Corp.

     75,639  
44,000   

Hoya Corp.

     6,951,956  
7,700   

Hulic Co., Ltd.

     72,584  
2,200   

Ibiden Co., Ltd.

     135,408  
4,037   

Idemitsu Kosan Co., Ltd.

     103,554  
2,700   

Iida Group Holdings Co., Ltd.

     55,736  
52,100   

INFRONEER Holdings Inc.

     432,841  
21,700   

Inpex Corp.

     177,179  
32,700   

Internet Initiative Japan Inc.

     1,397,120  
1,128   

Invincible Investment Corp., REIT

     379,108  
12,300   

Isuzu Motors Ltd.

     165,748  
1,200   

Ito En Ltd.

     70,585  
23,900   

ITOCHU Corp.

     685,903  
2,000   

Itochu Techno-Solutions Corp.

     65,137  
2,800   

Japan Airlines Co., Ltd.*

     50,772  
10,100   

Japan Exchange Group Inc.

     218,688  
148   

Japan Metropolitan Fund Invest, REIT

     127,837  
8,300   

Japan Post Bank Co., Ltd.

     67,953  
49,500   

Japan Post Holdings Co., Ltd.*

     372,103  
4,200   

Japan Post Insurance Co., Ltd.

     65,400  
26   

Japan Real Estate Investment Corp., REIT

     150,496  
24,100   

Japan Tobacco Inc.

     482,664  
10,000   

JFE Holdings Inc.

     113,586  
4,300   

JSR Corp.

     160,424  
9,200   

Kajima Corp.

     101,356  
2,500   

Kakaku.com Inc.

     69,834  
16,100   

Kanamoto Co., Ltd.

     305,575  
15,200   

Kaneka Corp.

     494,927  
14,900   

Kansai Electric Power Co., Inc. (The)

     134,808  
3,800   

Kansai Paint Co., Ltd.

     85,395  
9,700   

Kao Corp.

     497,186  
90,600   

KDDI Corp.

     2,638,838  
2,200   

Keio Corp.

     99,074  
2,700   

Keisei Electric Railway Co., Ltd.

     73,961  
75   

Kenedix Office Investment Corp., REIT, Class A Shares

     457,211  
20,100   

Keyence Corp.

     12,414,843  
2,900   

Kikkoman Corp.

     221,171  
3,600   

Kintetsu Group Holdings Co., Ltd.

     102,762  
24,700   

Kintetsu World Express Inc.

     592,793  
16,300   

Kirin Holdings Co., Ltd.

     261,372  
1,100   

Kobayashi Pharmaceutical Co., Ltd.

     86,539  
2,800   

Kobe Bussan Co., Ltd.

     105,786  
1,300   

Koei Tecmo Holdings Co., Ltd.

     54,488  
2,000   

Koito Manufacturing Co., Ltd.

     114,847  
18,200   

Komatsu Ltd.

     414,817  
18,400   

Komeri Co., Ltd.

     396,620  
1,800   

Konami Holdings Corp.

     92,009  
600   

Kose Corp.

     72,683  
104,400   

Kubota Corp.

     2,174,916  
17,100   

Kumagai Gumi Co., Ltd.

     395,872  
1,800   

Kurita Water Industries Ltd.

     83,809  

 

79


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Japan - 17.0% - (continued)

 

6,400   

Kyocera Corp.

   $ 379,191  
5,300   

Kyowa Kirin Co., Ltd.

     147,895  
1,500   

Lasertec Corp.

     391,075  
1,100   

Lawson Inc.

     53,964  
4,700   

Lion Corp.

     66,869  
5,200   

Lixil Corp.

     127,612  
8,900   

M3 Inc.

     478,906  
77,900   

Makita Corp.

     3,411,764  
31,400   

Marubeni Corp

     280,990  
12,100   

Mazda Motor Corp.*

     97,876  
1,400   

McDonald’s Holdings Co. Japan Ltd.

     62,502  
3,900   

Medipal Holdings Corp.

     70,140  
2,400   

MEIJI Holdings Co., Ltd.

     141,176  
1,900   

Mercari Inc.*

     115,213  
7,700   

MINEBEA MITSUMI Inc.

     202,861  
120,200   

MISUMI Group Inc.

     5,060,634  
25,300   

Mitsubishi Chemical Holdings Corp.

     198,666  
25,400   

Mitsubishi Corp.

     750,385  
36,700   

Mitsubishi Electric Corp.

     460,508  
23,800   

Mitsubishi Estate Co., Ltd.

     328,373  
2,900   

Mitsubishi Gas Chemical Co., Inc.

     48,147  
14,000   

Mitsubishi HC Capital Inc.

     65,814  
6,800   

Mitsubishi Heavy Industries Ltd.

     153,477  
245,800   

Mitsubishi UFJ Financial Group Inc.

     1,298,086  
30,500   

Mitsui & Co., Ltd.

     686,247  
3,900   

Mitsui Chemicals Inc.

     104,480  
18,300   

Mitsui Fudosan Co., Ltd.

     376,884  
1,900   

Miura Co., Ltd.

     66,563  
48,490   

Mizuho Financial Group Inc.

     599,586  
5,400   

MonotaRO Co., Ltd.

     107,418  
10,400   

Morinaga Milk Industry Co., Ltd.

     497,940  
8,900   

MS&AD Insurance Group Holdings Inc.

     260,251  
195,100   

Murata Manufacturing Co., Ltd.

     14,311,237  
53,900   

Nabtesco Corp.(a)

     1,555,315  
4,800   

NEC Corp.

     216,449  
41,400   

NEC Networks & System Integration Corp.

     659,547  
9,600   

Nexon Co., Ltd.

     192,046  
4,800   

NGK Insulators Ltd.

     75,800  
9,000   

Nidec Corp.

     1,029,176  
6,400   

Nihon M&A Center Holdings Inc.

     186,921  
2,300   

Nintendo Co., Ltd.

     1,021,609  
86   

Nippon Accommodations Fund Inc., REIT, Class A Shares

     472,900  
31   

Nippon Building Fund Inc., REIT

     191,695  
33,600   

Nippon Electric Glass Co., Ltd.

     869,889  
1,500   

Nippon Express Co., Ltd.

     85,313  
14,100   

Nippon Paint Holdings Co., Ltd.

     147,999  
42   

Nippon Prologis REIT Inc.

     137,377  
3,000   

Nippon Sanso Holdings Corp.

     63,416  
1,100   

Nippon Shinyaku Co., Ltd.

     81,432  
17,200   

Nippon Steel Corp.

     251,636  
82,500   

Nippon Suisan Kaisha Ltd.

     416,698  
25,900   

Nippon Telegraph & Telephone Corp.

     714,112  
3,200   

Nippon Yusen KK

     207,909  
2,600   

Nissan Chemical Corp.

     149,540  
45,900   

Nissan Motor Co., Ltd.*

     227,320  
3,900   

Nisshin Seifun Group Inc.

     56,533  
1,300   

Nissin Foods Holdings Co., Ltd.

     95,554  
1,600   

Nitori Holdings Co., Ltd.

     254,307  
2,800   

Nitto Denko Corp.

     194,801  
62,700   

Nomura Holdings Inc.

     261,373  
2,700   

Nomura Real Estate Holdings Inc.

     58,635  

 

80


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Japan - 17.0% - (continued)

 

87   

Nomura Real Estate Master Fund Inc., REIT

   $ 124,221  
6,980   

Nomura Research Institute Ltd.

     299,288  
163,700   

North Pacific Bank Ltd.

     329,659  
12,500   

NTT Data Corp.

     263,584  
13,400   

Obayashi Corp.

     98,650  
1,400   

Obic Co., Ltd.

     258,425  
6,300   

Odakyu Electric Railway Co., Ltd.

     121,447  
11,800   

Oisix ra daichi Inc.*

     347,019  
16,600   

Oji Holdings Corp.

     76,079  
22,300   

Olympus Corp.

     493,519  
3,700   

Omron Corp.

     356,740  
7,800   

Ono Pharmaceutical Co., Ltd.

     172,120  
23,100   

Open House Co., Ltd.

     1,294,878  
600   

Oracle Corp. Japan

     58,652  
4,200   

Oriental Land Co., Ltd.

     663,644  
24,500   

ORIX Corp.

     483,275  
55   

Orix JREIT Inc.

     88,106  
8,000   

Osaka Gas Co., Ltd.

     129,439  
2,200   

Otsuka Corp.

     100,763  
7,800   

Otsuka Holdings Co., Ltd.

     283,220  
25,300   

Outsourcing Inc.

     334,549  
8,700   

Pan Pacific International Holdings Corp.

     149,254  
44,400   

Panasonic Corp.

     485,008  
3,400   

Persol Holdings Co., Ltd.

     97,960  
2,000   

Pola Orbis Holdings Inc.

     35,620  
18,000   

Rakuten Group Inc.

     185,218  
80,200   

Recruit Holdings Co., Ltd.

     4,868,217  
25,300   

Renesas Electronics Corp.*

     316,446  
83,300   

Rengo Co., Ltd.

     558,509  
44,400   

Resona Holdings Inc.

     161,489  
26,800   

Resorttrust Inc.

     438,964  
14,200   

Ricoh Co., Ltd.

     125,449  
800   

Rinnai Corp.

     75,489  
1,700   

Rohm Co., Ltd.

     158,906  
5,000   

Ryohin Keikaku Co., Ltd.

     80,773  
16,500   

Saizeriya Co., Ltd.

     424,680  
9,600   

Sankyu Inc.

     381,280  
7,600   

Santen Pharmaceutical Co., Ltd.

     100,711  
43,600   

Sanwa Holdings Corp.

     465,063  
11,800   

Sawai Group Holdings Co., Ltd.

     438,977  
5,000   

SBI Holdings Inc.

     128,699  
3,300   

SCSK Corp.

     62,307  
4,200   

Secom Co., Ltd.

     283,945  
5,600   

Seiko Epson Corp.

     90,210  
85,200   

Sekisui Chemical Co., Ltd.

     1,383,069  
12,300   

Sekisui House Ltd.

     239,375  
15,200   

Seven & i Holdings Co., Ltd.

     610,445  
6,300   

SG Holdings Co., Ltd.

     139,222  
4,700   

Sharp Corp.

     52,917  
4,900   

Shimadzu Corp.

     207,305  
1,500   

Shimano Inc.

     412,944  
10,200   

Shimizu Corp.

     64,441  
36,800   

Shin-Etsu Chemical Co., Ltd.

     6,152,985  
45,400   

Shinko Electric Industries Co., Ltd.

     2,118,949  
5,400   

Shionogi & Co., Ltd.

     377,206  
22,500   

Ship Healthcare Holdings Inc.(a)

     499,995  
8,000   

Shiseido Co., Ltd.

     458,095  
9,700   

Shizuoka Bank Ltd. (The)

     67,837  
13,400   

SMC Corp.

     8,551,427  
57,800   

Softbank Corp.

     796,915  
24,300   

SoftBank Group Corp.

     1,285,371  

 

81


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Japan - 17.0% - (continued)

 

1,400   

Sohgo Security Services Co., Ltd.

   $ 59,696  
69,800   

Sompo Holdings Inc.

     2,876,159  
73,900   

Sony Group Corp.

     9,006,484  
1,600   

Square Enix Holdings Co., Ltd.

     83,374  
2,500   

Stanley Electric Co., Ltd.

     64,889  
17,900   

Starts Corp., Inc.

     383,398  
12,100   

Subaru Corp.

     228,372  
6,700   

SUMCO Corp.

     145,319  
30,200   

Sumitomo Chemical Co., Ltd.

     139,306  
22,400   

Sumitomo Corp.

     305,078  
3,900   

Sumitomo Dainippon Pharma Co., Ltd.

     47,429  
14,700   

Sumitomo Electric Industries Ltd.

     192,492  
27,200   

Sumitomo Forestry Co., Ltd.

     547,296  
4,900   

Sumitomo Metal Mining Co., Ltd.

     180,544  
179,790   

Sumitomo Mitsui Financial Group Inc.

     5,867,515  
6,700   

Sumitomo Mitsui Trust Holdings Inc.

     210,303  
6,500   

Sumitomo Realty & Development Co., Ltd.

     202,615  
2,800   

Suntory Beverage & Food Ltd.

     98,907  
7,400   

Suzuki Motor Corp.

     298,546  
43,900   

Sysmex Corp.

     5,436,137  
11,000   

T&D Holdings Inc.

     129,968  
3,700   

Taisei Corp.

     107,906  
600   

Taisho Pharmaceutical Holdings Co., Ltd.

     29,507  
15,100   

Taiyo Yuden Co., Ltd.

     823,773  
319,354   

Takeda Pharmaceutical Co., Ltd.

     8,563,678  
21,600   

Takeuchi Manufacturing Co., Ltd.

     515,671  
8,100   

TDK Corp.

     320,710  
74,200   

Terumo Corp.

     3,024,448  
4,100   

TIS Inc.

     126,254  
4,100   

Tobu Railway Co., Ltd.

     92,807  
2,300   

Toho Co., Ltd.

     102,317  
56,300   

Tokio Marine Holdings Inc.

     2,833,763  
800   

Tokyo Century Corp.

     38,117  
32,400   

Tokyo Electric Power Co. Holdings Inc.*

     86,791  
3,000   

Tokyo Electron Ltd.

     1,576,742  
8,000   

Tokyo Gas Co., Ltd.

     137,353  
11,900   

Tokyo Seimitsu Co., Ltd.

     497,307  
9,000   

Tokyotokeiba Co., Ltd.

     316,318  
10,600   

Tokyu Corp.

     146,802  
4,900   

Toppan Inc.

     74,316  
29,400   

Toray Industries Inc.

     171,072  
8,300   

Toshiba Corp.

     331,339  
5,500   

Tosoh Corp.

     78,972  
3,000   

TOTO Ltd.

     132,482  
1,800   

Toyo Suisan Kaisha Ltd.

     72,902  
44,700   

Toyo Tire Corp.

     678,394  
2,900   

Toyota Industries Corp.

     237,703  
430,100   

Toyota Motor Corp.

     7,642,030  
4,500   

Toyota Tsusho Corp.

     195,888  
2,700   

Trend Micro Inc.

     155,830  
800   

Tsuruha Holdings Inc.

     90,310  
8,100   

Unicharm Corp.

     350,954  
22,700   

Ushio Inc.

     420,428  
4,000   

USS Co., Ltd.

     58,688  
21,100   

Valor Holdings Co., Ltd.

     393,590  
1,800   

Welcia Holdings Co., Ltd.

     64,237  
12,700   

West Holdings Corp.

     738,926  
4,300   

West Japan Railway Co.

     185,498  
2,500   

Yakult Honsha Co., Ltd.

     125,555  
2,600   

Yamaha Corp.

     133,268  
5,900   

Yamaha Motor Co., Ltd.

     148,530  

 

82


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Japan - 17.0% - (continued)

 

5,800   

Yamato Holdings Co., Ltd.

   $ 128,100  
35,300   

Yaskawa Electric Corp.

     1,577,552  
4,500   

Yokogawa Electric Corp.

     84,453  
53,600   

Z Holdings Corp.

     354,394  
14,900   

Zenkoku Hosho Co., Ltd.

     650,286  
28,600   

Zeon Corp.

     301,733  
2,700   

ZOZO Inc.

     85,291  
     

 

 

 
  

Total Japan

     231,795,756  
     

 

 

 

Jordan - 0.0%

 

18,132   

Hikma Pharmaceuticals PLC

     533,265  
     

 

 

 

Luxembourg - 0.3%

 

115,386   

ArcelorMittal SA

     3,111,164  
21,196   

Aroundtown SA

     127,292  
2,716   

Eurofins Scientific SE

     347,102  
8,972   

Tenaris SA

     88,366  
     

 

 

 
  

Total Luxembourg

     3,673,924  
     

 

 

 

Macau - 0.4%

 

2,429,600   

Sands China Ltd*

     5,531,460  
     

 

 

 

Malta - 0.0%

 

36,222   

Kindred Group PLC

     405,161  
     

 

 

 

Mexico - 0.1%

 

242,864   

Grupo Financiero Banorte SAB de CV, Class O Shares

     1,446,392  
     

 

 

 

Netherlands - 5.1%

 

36,357   

Aalberts NV

     2,222,844  
8,743   

ABN AMRO Group NV, Dutch Certificate, GDR(c)

     124,702  
397   

Adyen NV*(c)

     1,101,261  
37,524   

Aegon NV

     165,244  
44,511   

Airbus SE*

     4,959,519  
68,790   

Akzo Nobel NV

     7,219,412  
953   

Argenx SE*

     266,805  
3,640   

ASM International NV

     1,620,889  
24,239   

ASML Holding NV

     18,997,815  
19,701   

ASR Nederland NV

     840,947  
8,559   

Euronext NV(c)

     840,354  
2,263   

EXOR NV

     198,276  
46,448   

Fugro NV*

     339,229  
2,437   

Heineken Holding NV

     203,036  
5,213   

Heineken NV(a)

     519,054  
1,150   

IMCD NV

     255,813  
279,367   

ING Groep NV

     3,857,252  
1,579   

JDE Peet’s NV

     43,096  
3,662   

Just Eat Takeaway.com NV*(c)

     229,470  
21,029   

Koninklijke Ahold Delhaize NV

     705,743  
3,596   

Koninklijke DSM NV

     772,622  
70,482   

Koninklijke KPN NV

     207,856  
18,321   

Koninklijke Philips NV

     646,363  
99   

Koninklijke Vopak NV

     3,761  
5,623   

NN Group NV

     279,120  
18,765   

Prosus NV*

     1,512,551  
4,476   

QIAGEN NV*

     248,929  
2,385   

Randstad NV

     149,804  
731,428   

Royal Dutch Shell PLC, Class A Shares

     15,306,147  
74,531   

Royal Dutch Shell PLC, Class B Shares

     1,554,258  
4,810   

SBM Offshore NV

     67,739  
20,731   

Signify NV(c)

     938,672  
112,706   

Stellantis NV

     1,926,567  
14,310   

Universal Music Group NV

     409,529  
5,380   

Wolters Kluwer NV

     603,651  
     

 

 

 
  

Total Netherlands

     69,338,330  
     

 

 

 

New Zealand - 0.2%

 

106   

a2 Milk Co., Ltd. (The)*

     438  

 

83


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

New Zealand - 0.2% - (continued)

 

23,366   

Auckland International Airport Ltd.*

   $ 125,246  
11,919   

Fisher & Paykel Healthcare Corp., Ltd.

     269,660  
13,430   

Mercury NZ Ltd.

     54,885  
27,194   

Meridian Energy Ltd.

     87,829  
8,488   

Ryman Healthcare Ltd.

     70,793  
38,983   

Spark New Zealand Ltd.

     122,079  
15,800   

Xero Ltd.*

     1,597,030  
     

 

 

 
  

Total New Zealand

     2,327,960  
     

 

 

 

Norway - 0.5%

 

5,100   

Adevinta ASA, Class B Shares*

     72,246  
2,543   

Aker BP ASA*

     80,536  
83,748   

DNB Bank ASA

     1,830,580  
149,968   

Equinor ASA

     3,758,546  
4,007   

Gjensidige Forsikring ASA

     90,936  
8,678   

Mowi ASA

     196,615  
26,744   

Norsk Hydro ASA

     172,676  
15,938   

Orkla ASA

     145,609  
1,592   

Schibsted ASA, Class A Shares

     71,134  
1,911   

Schibsted ASA, Class B Shares

     72,815  
43,372   

Sparebanken Vest

     460,865  
14,254   

Telenor ASA

     210,510  
3,390   

Yara International ASA

     166,315  
     

 

 

 
  

Total Norway

     7,329,383  
     

 

 

 

Peru - 0.1%

 

15,603   

Credicorp Ltd.

     1,841,154  
     

 

 

 

Poland - 0.0%

 

4,037   

InPost SA*

     44,932  
     

 

 

 

Portugal - 0.0%

 

55,407   

EDP - Energias de Portugal SA

     303,678  
10,637   

Galp Energia SGPS SA

     99,312  
5,342   

Jeronimo Martins SGPS SA

     116,472  
     

 

 

 
  

Total Portugal

     519,462  
     

 

 

 

Singapore - 0.7%

 

1,985,358   

Ascendas Real Estate Investment Trust, REIT

     4,242,518  
102,050   

CapitaLand Integrated Commercial Trust, REIT

     157,450  
50,800   

Capitaland Investment Ltd.*

     124,549  
9,400   

City Developments Ltd.

     48,193  
36,300   

DBS Group Holdings Ltd.

     793,142  
620,500   

Frasers Logistics & Commercial Trust, REIT

     667,476  
128,300   

Genting Singapore Ltd.

     72,709  
30,900   

Keppel Corp., Ltd.

     115,059  
48,500   

Mapletree Commercial Trust, REIT

     72,311  
57,888   

Mapletree Logistics Trust, REIT

     78,662  
67,700   

Oversea-Chinese Banking Corp., Ltd.

     545,322  
4,838   

Sea Ltd., ADR*

     1,393,683  
344,500   

Sembcorp Industries Ltd.

     474,863  
28,650   

Singapore Airlines Ltd.*

     102,756  
15,200   

Singapore Exchange Ltd.

     99,532  
33,100   

Singapore Technologies Engineering Ltd.

     92,512  
161,800   

Singapore Telecommunications Ltd.

     278,838  
23,803   

United Overseas Bank Ltd.

     442,755  
9,271   

UOL Group Ltd.

     46,797  
5,800   

Venture Corp., Ltd.

     78,765  
40,800   

Wilmar International Ltd.

     123,023  
     

 

 

 
  

Total Singapore

     10,050,915  
     

 

 

 

South Korea - 2.3%

 

8,495   

AfreecaTV Co., Ltd.

     1,455,779  
3,809   

Cosmax Inc.*

     293,571  
6,470   

Coway Co., Ltd.

     371,619  
3,546   

LEENO Industrial Inc.

     595,956  
2,314   

LG Innotek Co., Ltd.

     589,716  

 

84


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

South Korea - 2.3% - (continued)

 

5,764   

LOTTE Fine Chemical Co., Ltd.(a)

   $ 380,886  
5,301   

LX Semicon Co., Ltd.(a)

     476,483  
5,708   

Maeil Dairies Co., Ltd.

     329,649  
25,566   

Neowiz*

     634,735  
13,038   

Osstem Implant Co., Ltd.

     1,224,905  
47,929   

Partron Co., Ltd.

     446,235  
8,951   

PharmaResearch Co., Ltd.(a)

     580,645  
235,547   

Samsung Electronics Co., Ltd.

     14,274,623  
35,209   

Samsung Engineering Co., Ltd.*

     612,612  
3,711   

Samsung SDI Co., Ltd.

     2,162,408  
5,830   

SFA Engineering Corp.

     165,184  
58,593   

SK Hynix Inc.

     5,687,764  
2,026   

Soulbrain Co., Ltd.

     441,730  
     

 

 

 
  

Total South Korea

     30,724,500  
     

 

 

 

Spain - 3.9%

 

4,802   

Acciona SA

     855,259  
42,690   

Acerinox SA

     475,282  
4,797   

ACS Actividades de Construccion y Servicios SA

     114,878  
43,104   

Aena SME SA*(c)

     6,310,010  
186,029   

Amadeus IT Group SA*

     11,908,809  
48,356   

Applus Services SA

     430,571  
1,004,654   

Banco Bilbao Vizcaya Argentaria SA

     5,325,087  
348,720   

Banco Santander SA

     1,081,312  
144,516   

Bankinter SA.

     707,969  
2,685,773   

CaixaBank SA

     6,897,889  
34,467   

Cellnex Telecom SA(c)

     2,033,925  
27,431   

Cia de Distribucion Integral Logista Holdings SA

     509,559  
6,052   

EDP Renovaveis SA

     155,081  
4,798   

Enagas SA

     109,189  
6,687   

Endesa SA

     149,732  
9,855   

Ferrovial SA

     273,320  
5,618   

Grifols SA

     100,785  
490,215   

Iberdrola SA

     5,483,959  
216,273   

Industria de Diseno Textil SA

     6,815,449  
13,653   

Laboratorios Farmaceuticos Rovi SA

     998,964  
59,913   

Merlin Properties Socimi SA, REIT

     669,608  
3,913   

Naturgy Energy Group SA

     108,126  
8,319   

Red Electrica Corp. SA

     176,648  
29,975   

Repsol SA

     331,041  
5,015   

Siemens Gamesa Renewable Energy SA*

     132,640  
102,627   

Telefonica SA

     464,941  
6,251   

Viscofan SA

     396,790  
     

 

 

 
  

Total Spain

     53,016,823  
     

 

 

 

Sweden - 1.7%

 

6,237   

Alfa Laval AB

     241,101  
52,548   

Arjo AB, Class B Shares

     659,868  
66,274   

Assa Abloy AB, Class B Shares

     1,852,253  
13,504   

Atlas Copco AB, Class A Shares

     827,197  
7,847   

Atlas Copco AB, Class B Shares

     407,755  
5,782   

Boliden AB

     199,415  
18,030   

Cibus Nordic Real Estate AB

     492,959  
44,626   

Dometic Group AB(c)

     613,054  
4,612   

Electrolux AB, Class B Shares

     103,277  
9,416   

Embracer Group AB, Class B Shares*

     102,080  
13,200   

Epiroc AB, Class A Shares

     319,432  
8,454   

Epiroc AB, Class B Shares

     170,072  
6,107   

EQT AB

     358,345  
12,102   

Essity AB, Class B Shares

     386,858  
3,416   

Evolution AB(c)

     357,962  
2,133   

Fastighets AB Balder, Class B Shares*

     159,869  
9,737   

G5 Entertainment AB(a)

     472,578  

 

85


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Sweden - 1.7% - (continued)

 

27,618   

Getinge AB, Class B Shares

   $ 1,158,385  
14,913   

Hennes & Mauritz AB, Class B Shares

     263,911  
39,618   

Hexagon AB, Class B Shares

     579,471  
8,868   

Husqvarna AB, Class B Shares

     125,048  
2,167   

ICA Gruppen AB

     128,256  
2,692   

Industrivarden AB, Class A Shares

     79,975  
3,262   

Industrivarden AB, Class C Shares

     96,232  
3,190   

Investment AB Latour, Class B Shares

     120,036  
9,652   

Investor AB, Class A Shares*

     233,142  
36,639   

Investor AB, Class B Shares

     851,217  
5,008   

Kinnevik AB, Class B Shares*

     178,451  
1,441   

L E Lundbergforetagen AB, Class B Shares

     78,902  
4,702   

Lifco AB, Class B Shares

     127,916  
3,914   

Lundin Energy AB

     137,923  
29,290   

Nibe Industrier AB, Class B Shares

     418,255  
3,249   

Sagax AB, Class B Shares

     127,267  
22,703   

Sandvik AB

     561,307  
6,053   

Securitas AB, Class B Shares.

     87,590  
10,082   

Sinch AB*(c)

     135,365  
32,729   

Skandinaviska Enskilda Banken AB, Class A Shares

     475,881  
7,101   

Skanska AB, Class B Shares

     163,289  
8,075   

SKF AB, Class B Shares

     184,504  
11,981   

Svenska Cellulosa AB SCA, Class B Shares

     195,580  
185,436   

Svenska Handelsbanken AB, Class A Shares

     1,965,327  
199,706   

Swedbank AB, Class A Shares

     4,021,194  
32,189   

Swedish Match AB

     234,896  
9,431   

Tele2 AB, Class B Shares

     134,933  
58,696   

Telefonaktiebolaget LM Ericsson, Class B Shares

     591,984  
53,285   

Telia Co. AB(a)

     206,196  
19,501   

Trelleborg AB, Class B Shares

     442,615  
4,304   

Volvo AB, Class A Shares

     93,896  
28,750   

Volvo AB, Class B Shares

     620,020  
31,062   

Wihlborgs Fastigheter AB

     736,257  
     

 

 

 
  

Total Sweden

     23,279,296  
     

 

 

 

Switzerland - 10.5%

 

33,134   

ABB Ltd., Class Registered Shares

     1,142,287  
12,428   

Adecco Group AG, Class Registered Shares

     576,555  
35,360   

Alcon Inc.

     2,785,089  
125   

Bachem Holding AG, Class Registered Shares

     90,409  
943   

Baloise Holding AG, Class Registered Shares

     141,267  
76   

Barry Callebaut AG, Class Registered Shares

     180,271  
1,498   

Bossard Holding AG

     495,022  
1,765   

Bucher Industries AG, Class Registered Shares

     802,713  
171   

Chocoladefabriken Lindt & Spruengli AG

     2,104,773  
2   

Chocoladefabriken Lindt & Spruengli AG, Class Registered Shares

     246,885  
65,746   

Cie Financiere Richemont SA, Class Registered Shares

     9,771,236  
4,226   

Clariant AG, Class Registered Shares*

     82,861  
17,349   

Coca-Cola HBC AG*

     534,279  
650,929   

Credit Suisse Group AG, Class Registered Shares

     6,292,893  
133   

EMS-Chemie Holding AG, Class Registered Shares

     126,927  
286   

Forbo Holding AG, Class Registered Shares

     554,007  
745   

Geberit AG, Class Registered Shares

     568,536  
1,286   

Givaudan SA, Class Registered Shares

     6,297,205  
200,964   

Glencore PLC

     951,279  
10,528   

Holcim Ltd., Class Registered Shares*

     507,958  
17,184   

Julius Baer Group Ltd.

     1,065,690  
15,593   

Kuehne + Nagel International AG, Class Registered Shares

     4,473,296  
3,561   

Logitech International SA, Class Registered Shares

     282,387  
6,721   

Lonza Group AG, Class Registered Shares

     5,422,045  
3,896   

Medmix AG*(c)

     185,225  
154,155   

Nestlé SA, Class Registered Shares

     19,817,143  

 

86


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

Switzerland - 10.5% - (continued)

 

237,589   

Novartis AG, Class Registered Shares

   $ 18,991,887  
456   

Partners Group Holding AG

     784,868  
6,658   

PSP Swiss Property AG, Class Registered Shares

     782,763  
70,329   

Roche Holding AG

     27,540,078  
806   

Schindler Holding AG

     207,841  
427   

Schindler Holding AG, Class Registered Shares

     106,294  
1,222   

SGS SA, Class Registered Shares

     3,693,336  
8,689   

Sika AG, Class Registered Shares

     3,409,302  
1,122   

Sonova Holding AG, Class Registered Shares

     422,129  
13,733   

STMicroelectronics NV

     670,890  
208   

Straumann Holding AG, Class Registered Shares

     442,632  
4,291   

Sulzer AG, Class Registered Shares

     406,172  
593   

Swatch Group AG (The)

     175,075  
1,068   

Swatch Group AG (The), Class Registered Shares

     61,041  
631   

Swiss Life Holding AG, Class Registered Shares

     362,134  
1,437   

Swiss Prime Site AG, Class Registered Shares

     136,364  
6,066   

Swiss Re AG

     570,703  
519   

Swisscom AG, Class Registered Shares

     288,443  
3,645   

Swissquote Group Holding SA

     733,233  
1,927   

Tecan Group AG, Class Registered Shares

     1,152,427  
1,388   

Temenos AG, Class Registered Shares

     178,134  
70,953   

UBS Group AG, Class Registered Shares

     1,226,239  
10,315   

VAT Group AG(c)

     4,977,447  
968   

Vifor Pharma AG

     108,712  
11,254   

Vontobel Holding AG, Class Registered Shares

     928,023  
855   

Zur Rose Group AG*

     323,807  
21,495   

Zurich Insurance Group AG

     8,869,374  
     

 

 

 
  

Total Switzerland

     143,047,586  
     

 

 

 

Taiwan - 0.6%

 

143,000   

Taiwan Semiconductor Manufacturing Co., Ltd.

     3,060,093  
45,500   

Taiwan Semiconductor Manufacturing Co., Ltd., ADR

     5,330,325  
     

 

 

 
  

Total Taiwan

     8,390,418  
     

 

 

 

United Kingdom - 14.6%

 

19,254   

3i Group PLC

     354,222  
44,710   

Abrdn PLC

     138,183  
4,051   

Admiral Group PLC

     158,684  
26,042   

Anglo American PLC

     953,766  
9,026   

Ashtead Group PLC

     722,986  
7,560   

Associated British Foods PLC

     193,057  
149,476   

AstraZeneca PLC

     16,407,527  
13,483   

Atlantica Sustainable Infrastructure PLC

     517,208  
18,801   

Auto Trader Group PLC(c)

     182,709  
2,344   

AVEVA Group PLC

     99,902  
78,407   

Aviva PLC

     399,868  
64,845   

BAE Systems PLC

     470,979  
342,376   

Balfour Beatty PLC

     1,062,109  
3,687,004   

Barclays PLC

     8,983,391  
21,550   

Barratt Developments PLC

     199,448  
2,367   

Berkeley Group Holdings PLC

     134,553  
3,205,734   

BP PLC

     13,886,936  
221,052   

British American Tobacco PLC

     7,424,106  
18,088   

British Land Co. PLC (The), REIT

     121,928  
183,290   

BT Group PLC*

     386,354  
63,066   

Bunzl PLC

     2,402,166  
85,055   

Burberry Group PLC

     1,978,182  
230,535   

Cairn Energy PLC

     556,254  
30,902   

Close Brothers Group PLC

     529,795  
20,419   

CNH Industrial NV

     338,902  
4,024   

Coca-Cola Europacific Partners PLC

     198,665  
551,412   

Compass Group PLC*

     10,698,568  
28,490   

Computacenter PLC

     1,066,706  

 

87


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units    Security    Value  

United Kingdom - 14.6% - (continued)

 

11,878   

Cranswick PLC

   $ 562,636  
21,150   

Croda International PLC

     2,841,026  
14,591   

CVS Group PLC

     424,548  
233,393   

Diageo PLC

     11,768,595  
39,413   

Electrocomponents PLC

     631,301  
23,485   

Endeavour Mining PLC

     550,891  
12,182   

Entain PLC*

     269,464  
10,549   

Evraz PLC

     80,598  
4,491   

Ferguson PLC

     682,868  
31,128   

Future PLC

     1,484,454  
368,608   

GlaxoSmithKline PLC

     7,473,591  
7,633   

Halma PLC

     304,602  
6,927   

Hargreaves Lansdown PLC

     123,190  
413,750   

HSBC Holdings PLC

     2,294,974  
46,595   

IG Group Holdings PLC

     478,580  
43,517   

IMI PLC

     982,208  
18,873   

Imperial Brands PLC

     386,709  
43,131   

Inchcape PLC

     476,288  
29,397   

Informa PLC*

     181,860  
3,644   

InterContinental Hotels Group PLC*

     214,935  
19,990   

Intermediate Capital Group PLC

     552,968  
3,159   

Intertek Group PLC

     223,988  
33,142   

J Sainsbury PLC

     121,583  
49,050   

JD Sports Fashion PLC(d)

     145,478  
4,012   

Johnson Matthey PLC

     111,299  
614,917   

Kingfisher PLC

     2,588,539  
14,099   

Land Securities Group PLC, REIT

     136,020  
119,630   

Legal & General Group PLC

     446,346  
1,452,955   

Lloyds Banking Group PLC

     900,524  
6,615   

London Stock Exchange Group PLC

     571,059  
151,845   

LondonMetric Property PLC, REIT

     546,967  
53,910   

M&G PLC

     133,573  
241,254   

Marks & Spencer Group PLC*

     753,877  
85,555   

Melrose Industries PLC

     163,849  
90,339   

Micro Focus International PLC

     413,872  
9,641   

Mondi PLC

     219,703  
304,745   

National Grid PLC

     4,056,307  
118,020   

NatWest Group PLC

     331,602  
2,666   

Next PLC

     277,953  
36,075   

Ocado Group PLC*

     860,758  
108,125   

OSB Group PLC

     720,485  
15,839   

Pearson PLC

     125,125  
6,640   

Persimmon PLC

     241,126  
112,619   

Pets at Home Group PLC

     700,652  
12,017   

Phoenix Group Holdings PLC

     101,966  
743,420   

Prudential PLC

     12,533,731  
63,035   

Reckitt Benckiser Group PLC

     5,113,004  
91,791   

Redrow PLC

     789,949  
249,638   

RELX PLC

     7,750,618  
37,107   

Rentokil Initial PLC

     302,027  
22,583   

Rio Tinto PLC

     1,391,121  
10,197,126   

Rolls-Royce Holdings PLC*

     16,565,166  
116,457   

Royal Mail PLC

     773,458  
59,689   

Safestore Holdings PLC, REIT

     1,055,040  
20,711   

Sage Group PLC (The)

     212,566  
24,573   

Savills PLC

     434,972  
2,625   

Schroders PLC

     119,614  
24,534   

Segro PLC, REIT

     458,413  
334,497   

Serco Group PLC

     584,177  
5,049   

Severn Trent PLC

     193,270  
341,476   

Smith & Nephew PLC

     5,494,689  

 

88


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Shares/Units     Security    Value  
 

United Kingdom - 14.6% - (continued)

 
  8,346    

Smiths Group PLC

   $ 159,689  
  1,481    

Spirax-Sarco Engineering PLC

     307,093  
  151,151    

Spirent Communications PLC

     537,571  
  20,933    

SSE PLC

     431,537  
  11,202    

St. James’s Place PLC

     229,818  
  54,253    

Standard Chartered PLC

     299,123  
  90,318    

Synthomer PLC

     563,674  
  53,966    

Tate & Lyle PLC

     450,946  
  71,223    

Taylor Wimpey PLC

     149,812  
  155,484    

Tesco PLC

     571,345  
  26,270    

Travis Perkins PLC

     505,502  
  148,249    

Tritax Big Box REIT PLC

     468,974  
  292,828    

Unilever PLC

     15,023,699  
  13,255    

United Utilities Group PLC

     191,066  
  44,324    

Vistry Group PLC

     633,702  
  562,308    

Vodafone Group PLC

     815,410  
  216,084    

WH Smith PLC*(c)

     3,799,765  
  33,017    

Whitbread PLC*

     1,227,273  
  23,846    

WPP PLC

     329,550  
    

 

 

 
 

Total United Kingdom

     198,693,455  
    

 

 

 
 

United States - 0.3%

 
  1,069    

Booking Holdings Inc.*

     2,246,877  
  14,536    

International Game Technology PLC

     392,763  
  405,000    

Nexteer Automotive Group Ltd.

     524,136  
  144,742    

Reliance Worldwide Corp., Ltd.

     621,846  
    

 

 

 
 

Total United States

     3,785,622  
    

 

 

 
 

TOTAL COMMON STOCKS

(Cost - $1,040,409,838)

     1,300,303,367  
    

 

 

 
 

PREFERRED STOCKS - 0.6%

 
 

Germany - 0.6%

 
  1,315    

Bayerische Motoren Werke AG, Class Preferred Shares

     103,448  
  1,180    

FUCHS PETROLUB SE, Class Preferred Shares

     53,015  
  3,560    

Henkel AG & Co. KGaA, Class Preferred Shares

     281,412  
  3,076    

Porsche Automobil Holding SE, Class Preferred Shares

     258,698  
  544    

Sartorius AG, Class Preferred Shares

     374,078  
  34,693    

Volkswagen AG, Class Preferred Shares

     6,358,787  
 

TOTAL PREFERRED STOCKS

(Cost - $7,851,817)

     7,429,438  
    

 

 

 
 

CLOSED END MUTUAL FUND SECURITY - 0.0%

 
 

United States - 0.0%

 
  11,761    

Vanguard FTSE Developed Markets ETF, Common Class (a)

(Cost - $440,084)

     584,522  
    

 

 

 
 

RIGHT - 0.0%

 
 

Singapore - 0.0%

 
  2,141    

Mapletree Logistics Trust, REIT *(e)

(Cost - $0)

     31  
    

 

 

 
 

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $1,048,701,739)

     1,308,317,358  
    

 

 

 
Face
Amount†
              
 

SHORT-TERM INVESTMENTS (f) - 4.0%

 
 

MONEY MARKET FUND - 0.7%

 
  $  9,919,094     Invesco STIT - Government & Agency Portfolio, 0.026%, Institutional Class(g)   
 

(Cost - $9,919,094)

     9,919,094  
    

 

 

 
 

TIME DEPOSITS - 3.3%

 
  5,582,298    

ANZ National Bank - London, 0.005% due 12/1/21

     5,582,298  
 

BBH - Grand Cayman:

  
  450,977  CHF   

(1.520)% due 12/1/21

     491,233  
  238,826  EUR   

(0.790)% due 12/1/21

     270,913  
  352,049  DKK   

(0.490)% due 12/1/21

     53,695  
  545,081  SEK   

(0.350)% due 12/1/21

     60,451  
  81,217  AUD   

(0.120)% due 12/1/21

     57,900  

 

89


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

Face

Amount†

    Security    Value  
 

SHORT-TERM INVESTMENTS (f) - 4.0% - (continued)

 
 

TIME DEPOSITS - 3.3% - (continued)

 
  326,957  NOK   

0.005% due 12/1/21

   $ 36,154  
  6,988  NZD   

0.100% due 12/1/21

     4,769  
  1,174  ZAR   

3.300% due 12/1/21

     74  
  $  9,256,173    

BNP Paribas - Paris, 0.005% due 12/1/21

     9,256,173  
  26,297  GBP   

Citibank - London, 0.005% due 12/1/21

     34,991  
  153,426    

DNB - Oslo, 0.005% due 12/1/21

     153,426  
  484,371  HKD   

HSBC Bank - Hong Kong, 0.005% due 12/1/21

     62,118  
  24,225  SGD   

HSBC Bank - Singapore, 0.005% due 12/1/21

     17,755  
  1,205,727    

JPMorgan Chase & Co. - New York, 0.005% due 12/1/21

     1,205,727  
  2,339  CAD   

Royal Bank of Canada - Toronto, 0.005% due 12/1/21

     1,831  
  26,829,841    

Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21

     26,829,841  
 

Sumitomo Mitsui Banking Corp. - Tokyo:

  
  472,461  EUR   

(0.790)% due 12/1/21

     535,936  
  29,969,269  JPY   

(0.270)% due 12/1/21

     265,156  
  187,495    

0.005% due 12/1/21

     187,495  
    

 

 

 
 

TOTAL TIME DEPOSITS

(Cost - $45,107,936)

     45,107,936  
    

 

 

 
 

TOTAL SHORT-TERM INVESTMENTS

(Cost - $55,027,030)

     55,027,030  
    

 

 

 
 

TOTAL INVESTMENTS - 100.1%

(Cost - $1,103,728,769)

     1,363,344,388  
    

 

 

 
 

Liabilities in Excess of Other Assets - (0.1)%

     (2,041,900
    

 

 

 
 

TOTAL NET ASSETS - 100.0%

   $ 1,361,302,488  
    

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

*

Non-income producing security.

(a)

All or a portion of this security is on loan (See Note 1).

(b)

Security trades on the Hong Kong exchange.

(c)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $39,230,526 and represents 2.9% of net assets.

(d)

Illiquid security.

(e)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

(f)

Inclusive of all short-term holdings, including investments of collateral received from securities lending transactions. Excluding such collateral, the percentage of portfolio holdings would be 3.3%.

(g)

Represents investments of collateral received from securities lending transactions.

At November 30, 2021, for International Equity Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

    

Gross

Unrealized

Appreciation

    

Gross

Unrealized

(Depreciation)

   

Net

Unrealized

Appreciation

 

International Equity Fund

   $ 1,103,728,769      $   332,685,133      $   (73,119,609   $   259,565,524  

Abbreviations used in this schedule:

 

ADR      American Depositary Receipts
CDI      Clearing House Electronics System (CHESS) Depositary Interest
GDR      Global Depositary Receipt
PLC      Public Limited Company
REIT      Real Estate Investment Trust

 

Summary of Investments by Security Sector^

 

Industrials

     18.7

Health Care

     14.3  

Financials

     14.3  

Information Technology

     12.2  

Consumer Discretionary

     10.8  

Consumer Staples

     8.0  

Materials

     6.4  

Energy

     4.3  

Utilities

     3.2  

Real Estate

     2.3  

Communication Services

     2.2  

Short-Term Investments

     3.3  
  

 

 

 
     100.0 %+ 
  

 

 

 

 

^

As a percentage of total investments.

+

Does not reflect investments of collateral received from securities lending transactions.

 

90


Schedules of Investments

(unaudited) (continued)

 

International Equity Fund

 

At November 30, 2021, International Equity Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
   Expiration
Date
(Month/Year)
   Notional
Amount
   Market
Value
   Unrealized
Appreciation/
(Depreciation)

Contracts to Buy:

                        

Euro STOXX 50 December Futures

       15        12/21          $   702,466      $   693,712      $ (8,754 )

FTSE 100 Index December Futures

       4        12/21            376,167        376,799        632

SPI 200 Index December Futures

       2        12/21            265,128        257,749        (7,379 )

TOPIX Index December Futures

       3        12/21            537,846        503,252        (34,594 )
                        

 

 

 
                         $   (50,095 )
                        

 

 

 

At November 30, 2021, International Equity Fund had deposited cash of $127,012 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

Currency Abbreviations used in this schedule:

AUD      Australian Dollar
CAD      Canadian Dollar
CHF      Swiss Franc
DKK      Danish Krone
EUR      Euro
GBP      British Pound
HKD      Hong Kong Dollar
JPY      Japanese Yen
NOK      Norwegian Krone
NZD      New Zealand Dollar
SEK      Swedish Krona
SGD      Singapore Dollar
ZAR      South African Rand

 

91


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

COMMON STOCKS - 94.5%

 

Argentina - 0.4%

 

1,895   

MercadoLibre Inc.*

   $ 2,252,037  
     

 

 

 

Australia - 0.0%

 

52,000   

MMG Ltd.*

     18,402  
     

 

 

 

Brazil - 4.1%

 

96,027   

Ambev SA

     274,270  
7,535   

Americanas SA*

     40,631  
7,621   

Atacadao SA

     20,778  
776,567   

B3 SA - Brasil Bolsa Balcao

     1,534,379  
35,917   

Banco Bradesco SA

     108,717  
24,412   

Banco BTG Pactual SA

     90,912  
380,256   

Banco do Brasil SA

     2,153,222  
7,416   

Banco Inter SA

     47,783  
6,063   

Banco Santander Brasil SA

     35,540  
424,032   

BB Seguridade Participacoes SA

     1,574,595  
14,894   

BRF SA*

     52,314  
643,391   

CCR SA

     1,408,551  
7,810   

Centrais Eletricas Brasileiras SA

     45,322  
7,187   

Cia de Saneamento Basico do Estado de Sao Paulo

     43,049  
14,314   

Compania Siderurgica Nacional SA

     55,394  
660,730   

Cosan SA

     2,497,023  
5,411   

Energisa SA

     43,776  
101,326   

Engie Brasil Energia SA

     694,320  
19,967   

Equatorial Energia SA

     80,146  
196,900   

Fleury SA

     611,756  
22,090   

Hapvida Participacoes e Investimentos SA(a)

     42,861  
8,769   

Hypera SA

     42,294  
145,900   

Infracommerce CXAAS SA*

     374,422  
18,907   

JBS SA

     119,873  
500,700   

JSL SA

     642,916  
16,319   

Klabin SA

     69,276  
11,728   

Localiza Rent a Car SA

     106,603  
146,900   

Locaweb Servicos de Internet SA, (Restricted, cost - $136,846, acquired 4/17/20)(a)(b)

     344,593  
19,965   

Lojas Renner SA

     101,016  
63,386   

Magazine Luiza SA

     87,928  
294,800   

Movida Participacoes SA

     879,750  
19,315   

Natura & Co. Holding SA*

     91,682  
10,778   

Notre Dame Intermedica Participacoes SA

     117,807  
443,700   

Odontoprev SA

     993,470  
75,586   

Petroleo Brasileiro SA

     405,158  
108,736   

Petróleo Brasileiro SA, ADR

     1,160,213  
24,959   

Raia Drogasil SA

     99,341  
91,310   

Rede D’Or Sao Luiz SA, (Restricted, cost - $1,166,617, acquired 8/31/21)(a)(b)

     814,708  
30,141   

Rumo SA*

     94,182  
16,504   

Suzano SA*

     164,837  
18,442   

TIM SA

     45,261  
12,300   

TOTVS SA

     69,321  
16,567   

Ultrapar Participações SA

     42,516  
81,698   

Vale SA

     1,016,339  
530,400   

Vamos Locacao de Caminhoes Maquinas e Equipamentos SA*

     1,054,593  
34,547   

Vasta Platform Ltd., Class A Shares*

     78,422  
24,735   

Via SA*

     24,942  
202,950   

Vibra Energia SA

     785,394  
36,784   

WEG SA

     210,843  
153,100   

Westwing Comercio Varejista Ltda*

     89,852  
     

 

 

 
  

Total Brazil

     21,582,891  
     

 

 

 

 

92


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Chile - 0.6%

 

129,874   

Antofagasta PLC

   $ 2,372,866  
847,102   

Banco de Chile

     81,907  
1,015   

Banco de Credito e Inversiones SA

     34,350  
1,335,050   

Banco Santander Chile

     59,703  
29,156   

Cencosud SA

     46,516  
2,598   

Cia Cervecerias Unidas SA

     20,724  
31,677   

Empresas CMPC SA

     51,303  
9,480   

Empresas COPEC SA

     69,928  
473,707   

Enel Americas SA

     61,045  
564,409   

Enel Chile SA

     24,558  
16,321   

Falabella SA

     50,499  
     

 

 

 
  

Total Chile

     2,873,399  
     

 

 

 

China - 25.5%

 

1,844   

360 DigiTech Inc., ADR*

     42,928  
9,300   

360 Security Technology Inc., Class A Shares*

     17,406  
32,500   

3SBio Inc.*(a)

     27,800  
662   

51job Inc., ADR*

     38,197  
161,982   

AAC Technologies Holdings Inc.

     703,202  
794   

Advanced Micro-Fabrication Equipment Inc. China, Class A Shares*

     19,860  
3,000   

AECC Aviation Power Co., Ltd., Class A Shares

     30,317  
24,000   

Agile Group Holdings Ltd.

     15,657  
1,011   

Agora Inc., ADR*

     21,130  
106,600   

Agricultural Bank of China Ltd., Class A Shares

     48,700  
498,000   

Agricultural Bank of China Ltd., Class H Shares(c)

     164,134  
6,577   

Aier Eye Hospital Group Co., Ltd., Class A Shares

     44,094  
40,000   

Air China Ltd., Class H Shares*(c)

     25,187  
3,139   

Airtac International Group

     95,581  
6,000   

Akeso Inc.*(a)

     38,165  
446,476   

Alibaba Group Holding Ltd.*

     7,159,586  
32,266   

Alibaba Group Holding Ltd., ADR*

     4,114,883  
1,019,000   

A-Living Smart City Services Co., Ltd., (Restricted, cost - $2,799,283, acquired 9/16/21) Class H Shares(a)(b)(c)

     2,401,906  
31,400   

Aluminum Corp. of China Ltd., Class A Shares*

     25,660  
74,000   

Aluminum Corp. of China Ltd., Class H Shares*(c)

     36,226  
2,500   

Angel Yeast Co., Ltd., Class A Shares

     22,008  
6,100   

Anhui Conch Cement Co., Ltd., Class A Shares

     34,627  
308,837   

Anhui Conch Cement Co., Ltd., Class H Shares(c)

     1,394,621  
500   

Anhui Gujing Distillery Co., Ltd., Class A Shares

     19,928  
2,300   

Anhui Gujing Distillery Co., Ltd., Class B Shares

     31,820  
23,000   

ANTA Sports Products Ltd.(d)

     363,427  
500   

Asymchem Laboratories Tianjin Co., Ltd., Class A Shares

     40,274  
1,262   

Autohome Inc., ADR

     43,123  
3,600   

Avary Holding Shenzhen Co., Ltd., Class A Shares*

     22,753  
8,800   

AVIC Electromechanical Systems Co., Ltd., Class A Shares*

     23,497  
34,799   

AVIC Industry-Finance Holdings Co., Ltd., Class A Shares

     20,930  
42,000   

AviChina Industry & Technology Co., Ltd., Class H Shares(c)

     27,506  
5,834   

Baidu Inc., ADR*

     874,167  
19,200   

Bank of Beijing Co., Ltd., Class A Shares

     13,185  
58,930   

Bank of China Ltd., Class A Shares

     28,219  
1,651,000   

Bank of China Ltd., Class H Shares(c)

     572,022  
39,800   

Bank of Communications Co., Ltd., Class A Shares

     28,510  
176,000   

Bank of Communications Co., Ltd., Class H Shares(c)

     102,472  
4,600   

Bank of Hangzhou Co., Ltd., Class A Shares

     9,879  
19,890   

Bank of Jiangsu Co., Ltd., Class A Shares

     18,307  
16,600   

Bank of Nanjing Co., Ltd., Class A Shares

     23,545  
10,900   

Bank of Ningbo Co., Ltd., Class A Shares(e)(f)

     65,229  
29,640   

Bank of Shanghai Co., Ltd., Class A Shares

     33,255  
30,184   

Baoshan Iron & Steel Co., Ltd., Class A Shares

     30,567  
973   

BeiGene Ltd., ADR*

     338,147  
54,000   

Beijing Capital International Airport Co., Ltd., Class H Shares*(c)

     31,440  
496   

Beijing Kingsoft Office Software Inc., Class A Shares

     21,084  
2,000   

Beijing New Building Materials PLC, Class A Shares

     8,329  

 

93


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

4,000   

Beijing Tiantan Biological Products Corp., Ltd., Class A Shares

   $ 18,750  
600   

Beijing Wantai Biological Pharmacy Enterprise Co., Ltd., Class A Shares*

     23,607  
55,900   

Beijing-Shanghai High Speed Railway Co., Ltd., Class A Shares

     39,643  
200   

Betta Pharmaceuticals Co., Ltd., Class A Shares

     2,604  
1,000   

BGI Genomics Co., Ltd., Class A Shares

     14,967  
3,349   

Bilibili Inc., ADR*(d)

     221,067  
38,300   

BOE Technology Group Co., Ltd., Class A Shares

     28,975  
2,500   

BYD Co., Ltd., Class A Shares

     119,423  
16,500   

BYD Co., Ltd., Class H Shares(c)

     643,848  
14,500   

BYD Electronic International Co., Ltd.(d)

     53,417  
1,800   

CanSino Biologics Inc., Class H Shares*(a)(c)

     39,415  
227,000   

CGN Power Co., Ltd., Class H Shares(a)(c)

     62,102  
400   

Changchun High & New Technology Industry Group Inc., Class A Shares

     17,812  
1,100   

Changjiang Securities Co., Ltd., Class A Shares

     1,239  
3,900   

Chaozhou Three-Circle Group Co., Ltd., Class A Shares

     25,606  
57,500   

China Bohai Bank Co., Ltd., Class H Shares(a)(c)

     17,013  
255,000   

China Cinda Asset Management Co., Ltd., Class H Shares(c)

     40,669  
189,000   

China CITIC Bank Corp., Ltd., Class H Shares(c)

     80,723  
43,000   

China Coal Energy Co., Ltd., Class H Shares*(c)

     21,617  
38,000   

China Communications Services Corp., Ltd., Class H Shares(c)

     18,092  
111,500   

China Conch Venture Holdings Ltd.(d)

     544,084  
21,100   

China Construction Bank Corp., Class A Shares

     19,037  
6,700,224   

China Construction Bank Corp., Class H Shares(c)

     4,346,250  
6,200   

China CSSC Holdings Ltd., Class A Shares*

     23,332  
27,298   

China Eastern Airlines Corp., Ltd., Class A Shares*

     19,974  
30,812   

China Everbright Bank Co., Ltd., Class A Shares

     16,152  
93,000   

China Everbright Bank Co., Ltd., Class H Shares(c)

     31,820  
47,000   

China Evergrande Group(d)

     13,535  
528,000   

China Feihe Ltd., (Restricted, cost - $1,372,365, acquired 6/17/21)(a)(b)

     699,830  
13,200   

China Galaxy Securities Co., Ltd., Class A Shares

     21,528  
50,500   

China Galaxy Securities Co., Ltd., Class H Shares(c)

     27,848  
1,500   

China Greatwall Technology Group Co., Ltd., Class A Shares

     3,318  
45,500   

China Hongqiao Group Ltd.

     43,709  
286,000   

China Huarong Asset Management Co., Ltd., Class H Shares*(a)(c)(e)(f)

     28,058  
102,000   

China Huishan Dairy Holdings Co., Ltd.*#(e)(f)

      
34,000   

China International Capital Corp., Ltd., Class H Shares(a)(c)

     82,409  
7,200   

China Jushi Co., Ltd., Class A Shares

     19,732  
22,000   

China Lesso Group Holdings Ltd.

     31,725  
4,800   

China Life Insurance Co., Ltd., Class A Shares

     22,147  
147,000   

China Life Insurance Co., Ltd., Class H Shares(c)

     241,470  
8,800   

China Literature Ltd.*(a)

     61,731  
70,000   

China Longyuan Power Group Corp., Ltd., Class H Shares(c)

     143,633  
27,000   

China Medical System Holdings Ltd.

     44,210  
14,000   

China Meidong Auto Holdings., Ltd.

     67,867  
27,000   

China Merchants Bank Co., Ltd., Class A Shares

     208,473  
627,391   

China Merchants Bank Co., Ltd., Class H Shares(c)

     4,848,082  
24,480   

China Merchants Energy Shipping Co., Ltd., Class A Shares

     16,741  
9,230   

China Merchants Securities Co., Ltd., Class A Shares

     24,604  
14,820   

China Merchants Shekou Industrial Zone Holdings Co., Ltd., Class A Shares

     26,620  
55,920   

China Minsheng Banking Corp., Ltd., Class A Shares

     34,138  
95,700   

China Minsheng Banking Corp., Ltd., Class H Shares(c)

     36,504  
26,600   

China Molybdenum Co., Ltd., Class A Shares

     24,513  
54,000   

China Molybdenum Co., Ltd., Class H Shares(c)

     33,028  
84,000   

China National Building Material Co., Ltd., Class H Shares(c)

     89,839  
13,800   

China National Chemical Engineering Co., Ltd., Class A Shares*

     24,103  
18,900   

China National Nuclear Power Co., Ltd., Class A Shares

     20,207  
600   

China National Software & Service Co., Ltd., Class A Shares

     4,864  
5,200   

China Northern Rare Earth Group High-Tech Co., Ltd., Class A Shares

     43,941  
30,000   

China Oilfield Services Ltd., Class H Shares(c)

     23,689  
10,500   

China Pacific Insurance Group Co., Ltd., Class A Shares

     44,519  
52,400   

China Pacific Insurance Group Co., Ltd., Class H Shares(c)

     151,871  

 

94


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

38,900   

China Petroleum & Chemical Corp., Class A Shares

   $ 24,534  
490,000   

China Petroleum & Chemical Corp., Class H Shares(c)

     214,176  
27,800   

China Railway Group Ltd., Class A Shares

     23,132  
77,000   

China Railway Group Ltd., Class H Shares(c)

     36,635  
12,200   

China Resources Mixc Lifestyle Services Ltd.(a)

     59,930  
6,299   

China Shenhua Energy Co., Ltd., Class A Shares

     19,340  
609,500   

China Shenhua Energy Co., Ltd., Class H Shares(c)

     1,257,799  
20,400   

China Southern Airlines Co., Ltd., Class A Shares*

     19,597  
44,000   

China Southern Airlines Co., Ltd., Class H Shares*(c)

     24,283  
57,440   

China State Construction Engineering Corp., Ltd., Class A Shares

     41,783  
39,000   

China Suntien Green Energy Corp., Ltd., Class H Shares*(c)

     27,358  
2,735   

China Tourism Group Duty Free Corp., Ltd., Class A Shares

     88,207  
972,000   

China Tower Corp., Ltd., Class H Shares(a)(c)

     123,214  
40,000   

China United Network Communications Ltd., Class A Shares

     24,364  
15,600   

China Vanke Co., Ltd., Class A Shares

     44,738  
543,300   

China Vanke Co., Ltd., Class H Shares(c)

     1,237,346  
31,600   

China Yangtze Power Co., Ltd., Class A Shares(e)(f)

     96,651  
34,000   

China Yuhua Education Corp., Ltd.(a)

     16,264  
1,200   

China Zhenhua Group Science & Technology Co., Ltd., Class A Shares*

     22,812  
40,300   

China Zheshang Bank Co., Ltd., Class A Shares

     21,677  
56,000   

Chinasoft International Ltd.*

     93,936  
1,760   

Chindata Group Holdings Ltd., ADR*

     16,650  
300   

Chongqing Brewery Co., Ltd., Class A Shares*

     6,766  
5,740   

Chongqing Changan Automobile Co., Ltd., Class A Shares

     15,520  
2,000   

Chongqing Zhifei Biological Products Co., Ltd., Class A Shares

     40,543  
16,000   

CIFI Ever Sunshine Services Group Ltd.

     26,819  
84,000   

CIFI Holdings Group Co., Ltd.

     45,400  
126,000   

CITIC Ltd.

     113,001  
15,100   

CITIC Securities Co., Ltd., Class A Shares

     56,131  
50,000   

CITIC Securities Co., Ltd., Class H Shares(c)

     119,267  
48,600   

Contemporary Amperex Technology Co., Ltd., Class A Shares

     5,181,831  
12,220   

COSCO SHIPPING Holdings Co., Ltd., Class A Shares*

     33,373  
81,250   

COSCO SHIPPING Holdings Co., Ltd., Class H Shares*(c)(d)

     139,000  
167,000   

Country Garden Holdings Co., Ltd.

     145,360  
31,000   

Country Garden Services Holdings Co., Ltd.

     184,729  
31,400   

CRRC Corp., Ltd., Class A Shares

     30,007  
85,000   

CRRC Corp., Ltd., Class H Shares*(c)

     37,716  
3,800   

CSC Financial Co., Ltd., Class A Shares

     16,701  
181,120   

CSPC Pharmaceutical Group Ltd.

     187,678  
1,263   

Dada Nexus Ltd., ADR*

     22,822  
59,000   

Dali Foods Group Co., Ltd.(a)

     31,022  
1,342   

Daqo New Energy Corp., ADR*(d)

     76,950  
2,280   

DaShenLin Pharmaceutical Group Co., Ltd., Class A Shares

     12,583  
800   

DHC Software Co., Ltd., Class A Shares

     911  
6,506   

DiDi Global Inc., ADR*(d)

     49,641  
62,000   

Dongfeng Motor Group Co., Ltd., Class H Shares(c)

     57,566  
31,000   

Dongyue Group Ltd.*

     58,918  
13,032   

East Money Information Co., Ltd., Class A Shares

     70,724  
900   

Ecovacs Robotics Co., Ltd., Class A Shares

     23,123  
16,200   

ENN Energy Holdings Ltd.

     300,851  
2,581   

Eve Energy Co., Ltd., Class A Shares

     58,824  
7,300   

Everbright Securities Co., Ltd., Class A Shares

     16,534  
11,000   

Flat Glass Group Co., Ltd., Class H Shares(c)(d)

     48,245  
20,800   

Focus Media Information Technology Co., Ltd., Class A Shares

     23,095  
4,550   

Foshan Haitian Flavouring & Food Co., Ltd., Class A Shares

     80,012  
51,000   

Fosun International Ltd.

     55,724  
16,400   

Founder Securities Co., Ltd., Class A Shares

     19,913  
15,000   

Foxconn Industrial Internet Co., Ltd., Class A Shares

     26,309  
600   

Fu Jian Anjoy Foods Co., Ltd., Class A Shares

     16,349  
907,000   

Fu Shou Yuan International Group Ltd.

     730,049  
4,100   

Fuyao Glass Industry Group Co., Ltd., Class A Shares

     29,627  

 

95


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

11,200   

Fuyao Glass Industry Group Co., Ltd., Class H Shares(a)(c)

   $ 61,690  
1,200   

Ganfeng Lithium Co., Ltd., Class A Shares

     31,467  
5,800   

Ganfeng Lithium Co., Ltd., Class H Shares(a)(c)

     112,116  
1,723   

GDS Holdings Ltd., ADR*(d)

     96,557  
143,000   

GDS Holdings Ltd., Class A Shares*

     1,006,013  
9,300   

Gemdale Corp., Class A Shares

     14,643  
20,000   

Genscript Biotech Corp.*

     105,160  
8,200   

GF Securities Co., Ltd., Class A Shares

     29,971  
19,800   

GF Securities Co., Ltd., Class H Shares(c)

     34,520  
8,700   

Giant Network Group Co., Ltd., Class A Shares

     13,777  
924   

Gigadevice Semiconductor Beijing Inc., Class A Shares

     21,803  
4,300   

GoerTek Inc., Class A Shares

     34,965  
294,000   

GOME Retail Holdings Ltd.*

     25,638  
2,000   

Gotion High-tech Co., Ltd., Class A Shares*

     20,880  
4,100   

Great Wall Motor Co., Ltd., Class A Shares

     38,375  
61,500   

Great Wall Motor Co., Ltd., Class H Shares(c)

     254,124  
165,600   

Gree Electric Appliances Inc. of Zhuhai, Class A Shares

     897,395  
22,995   

Greenland Holdings Corp., Ltd., Class A Shares

     14,784  
22,000   

Greentown China Holdings Ltd.

     32,196  
32,000   

Greentown Service Group Co., Ltd.

     30,573  
2,200   

Guangdong Haid Group Co., Ltd., Class A Shares

     22,177  
200   

Guangdong Kinlong Hardware Products Co., Ltd., Class A Shares

     4,792  
7,700   

Guanghui Energy Co., Ltd., Class A Shares*

     7,145  
60,000   

Guangzhou Automobile Group Co., Ltd., Class H Shares(c)

     61,124  
2,600   

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd., Class A Shares

     11,999  
7,900   

Guangzhou Haige Communications Group Inc. Co., Class A Shares

     12,921  
1,100   

Guangzhou Kingmed Diagnostics Group Co., Ltd., Class A Shares

     18,918  
38,000   

Guangzhou R&F Properties Co., Ltd., Class H Shares(c)

     20,265  
600   

Guangzhou Shiyuan Electronic Technology Co., Ltd., Class A Shares

     6,546  
1,610   

Guangzhou Tinci Materials Technology Co., Ltd., Class A Shares

     33,960  
9,400   

Guosen Securities Co., Ltd., Class A Shares

     16,264  
16,600   

Guotai Junan Securities Co., Ltd., Class A Shares

     43,456  
5,900   

Guoyuan Securities Co., Ltd., Class A Shares

     6,891  
23,000   

Haidilao International Holding Ltd.(a)(d)

     50,792  
7,300   

Haier Smart Home Co., Ltd., Class A Shares

     31,136  
43,800   

Haier Smart Home Co., Ltd., Class H Shares(c)

     162,803  
16,000   

Haitian International Holdings Ltd.

     44,332  
9,300   

Haitong Securities Co., Ltd., Class A Shares

     17,265  
62,400   

Haitong Securities Co., Ltd., Class H Shares(c)

     52,416  
1,800   

Hangzhou First Applied Material Co., Ltd., Class A Shares

     34,339  
2,700   

Hangzhou Silan Microelectronics Co., Ltd., Class A Shares

     26,197  
400   

Hangzhou Tigermed Consulting Co., Ltd., Class A Shares

     8,630  
2,200   

Hangzhou Tigermed Consulting Co., Ltd., Class H Shares(a)(c)

     34,984  
28,000   

Hansoh Pharmaceutical Group Co., Ltd.(a)

     56,749  
900   

Hefei Meiya Optoelectronic Technology Inc., Class A Shares

     5,487  
2,542   

Hello Group Inc., ADR

     29,411  
5,300   

Henan Shuanghui Investment & Development Co., Ltd., Class A Shares

     23,667  
254,000   

Hengan International Group Co., Ltd.

     1,226,408  
10,778   

Hengli Petrochemical Co., Ltd., Class A Shares

     35,559  
60,000   

HengTen Networks Group Ltd.*

     25,120  
2,990   

Hengyi Petrochemical Co., Ltd., Class A Shares

     4,906  
43,300   

Hesteel Co., Ltd., Class A Shares

     15,731  
299   

Hithink RoyalFlush Information Network Co., Ltd., Class A Shares

     5,483  
900   

Hoshine Silicon Industry Co., Ltd., Class A Shares*

     21,816  
12,000   

Hua Hong Semiconductor Ltd.*(a)

     79,848  
38,500   

Huadian Power International Corp., Ltd., Class A Shares

     21,952  
1,694   

Huadong Medicine Co., Ltd., Class A Shares

     9,004  
2,260   

Hualan Biological Engineering Inc., Class A Shares

     10,210  
52,000   

Huaneng Power International Inc., Class H Shares(c)

     23,218  
7,200   

Huatai Securities Co., Ltd., Class A Shares

     17,818  
33,600   

Huatai Securities Co., Ltd., Class H Shares(a)(c)

     47,916  

 

96


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

10,500   

Huaxia Bank Co., Ltd., Class A Shares

   $ 9,295  
1,600   

Huaxin Cement Co., Ltd., Class A Shares

     4,469  
218,100   

Huayu Automotive Systems Co., Ltd., Class A Shares

     880,138  
3,879   

Huazhu Group Ltd., ADR*(d)

     153,298  
2,912   

Hundsun Technologies Inc., Class A Shares

     26,671  
7,200   

Hygeia Healthcare Holdings Co., Ltd.*(a)

     56,001  
3,900   

Iflytek Co., Ltd., Class A Shares

     32,990  
725   

I-Mab, ADR*

     43,834  
200   

Imeik Technology Development Co., Ltd., Class A Shares

     17,694  
82,200   

Industrial & Commercial Bank of China Ltd., Class A Shares

     59,053  
1,187,000   

Industrial & Commercial Bank of China Ltd., Class H Shares(c)

     627,168  
23,800   

Industrial Bank Co., Ltd., Class A Shares

     66,998  
300   

Industrial Securities Co., Ltd., Class A Shares

     403  
800   

Ingenic Semiconductor Co., Ltd., Class A Shares

     17,044  
62,900   

Inner Mongolia BaoTou Steel Union Co., Ltd., Class A Shares*

     28,530  
16,300   

Inner Mongolia Junzheng Energy & Chemical Industry Group Co., Ltd., Class A Shares

     13,508  
8,700   

Inner Mongolia Yili Industrial Group Co., Ltd., Class A Shares

     53,049  
25,500   

Innovent Biologics Inc.*(a)

     226,789  
3,700   

Inspur Electronic Information Industry Co., Ltd., Class A Shares

     18,782  
6,066   

iQIYI Inc., ADR*(d)

     37,852  
2,100   

JA Solar Technology Co., Ltd., Class A Shares*

     28,683  
1,500   

Jafron Biomedical Co., Ltd., Class A Shares

     12,043  
4,000   

JCET Group Co., Ltd., Class A Shares

     20,772  
6,700   

JD Health International Inc.*(a)(d)

     58,428  
40,446   

JD.com Inc., ADR*

     3,401,913  
29,334   

JD.com Inc., Class A Shares*

     1,241,524  
7,400   

Jiangsu Eastern Shenghong Co., Ltd., Class A Shares

     27,659  
24,000   

Jiangsu Expressway Co., Ltd., Class H Shares(c)

     23,263  
1,948   

Jiangsu Hengli Hydraulic Co., Ltd., Class A Shares

     24,090  
7,401   

Jiangsu Hengrui Medicine Co., Ltd., Class A Shares

     58,301  
1,000   

Jiangsu King’S Luck Brewery JSC Ltd., Class A Shares

     8,838  
1,700   

Jiangsu Yanghe Brewery Joint-Stock Co., Ltd., Class A Shares

     46,409  
6,200   

Jiangsu Zhongtian Technology Co., Ltd., Class A Shares

     18,018  
5,300   

Jiangxi Copper Co., Ltd., Class A Shares

     18,809  
19,000   

Jiangxi Copper Co., Ltd., Class H Shares(c)

     30,054  
7,800   

Jiangxi Zhengbang Technology Co., Ltd., Class A Shares

     11,865  
7,400   

Jinke Properties Group Co., Ltd., Class A Shares

     4,784  
24,000   

Jinxin Fertility Group Ltd.*(a)

     33,289  
200   

JiuGui Liquor Co., Ltd., Class A Shares

     7,051  
16,000   

Jiumaojiu International Holdings Ltd.(a)

     33,169  
6,800   

Joincare Pharmaceutical Group Industry Co., Ltd., Class A Shares

     12,774  
7,800   

Jointown Pharmaceutical Group Co., Ltd., Class A Shares

     16,753  
2,200   

Jonjee Hi-Tech Industrial And Commercial Holding Co., Ltd., Class A Shares

     11,293  
1,500   

Juewei Food Co., Ltd., Class A Shares

     15,248  
1,247   

Kanzhun Ltd., ADR*

     39,879  
7,759   

KE Holdings Inc., ADR*

     155,258  
58,000   

Kingdee International Software Group Co., Ltd.*

     175,912  
5,800   

Kingfa Sci. & Tech. Co., Ltd., Class A Shares

     12,358  
1,431   

Kingsoft Cloud Holdings Ltd., ADR*(d)

     24,728  
21,000   

Kingsoft Corp., Ltd.

     90,299  
9,900   

Kuaishou Technology, Class B Shares*(a)

     107,854  
1,588   

Kweichow Moutai Co., Ltd., Class A Shares

     481,595  
20,500   

KWG Group Holdings Ltd.

     15,058  
4,200   

LB Group Co., Ltd., Class A Shares

     18,351  
1,116,000   

Lenovo Group Ltd.

     1,133,060  
9,000   

Lens Technology Co., Ltd., Class A Shares

     29,542  
4,500   

Lepu Medical Technology Beijing Co., Ltd., Class A Shares

     15,673  
11,589   

Li Auto Inc., ADR*

     410,714  
47,000   

Li Ning Co., Ltd.

     529,568  
14,500   

Lingyi iTech Guangdong Co., Class A Shares*

     15,444  
27,000   

Logan Group Co., Ltd.

     25,811  

 

97


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

36,000   

Longfor Group Holdings Ltd.(a)

   $ 169,409  
7,480   

LONGi Green Energy Technology Co., Ltd., Class A Shares

     102,565  
11,038   

Luxshare Precision Industry Co., Ltd., Class A Shares

     68,462  
2,000   

Luzhou Laojiao Co., Ltd., Class A Shares

     72,271  
3,400   

Mango Excellent Media Co., Ltd., Class A Shares

     23,119  
540   

Maxscend Microelectronics Co., Ltd., Class A Shares

     31,662  
9,480   

Meinian Onehealth Healthcare Holdings Co., Ltd., Class A Shares*

     11,080  
273,700   

Meituan, (Restricted, cost - $6,679,673, acquired 3/24/21), Class B Shares*(a)(b)

     8,353,876  
36,900   

Metallurgical Corp. of China Ltd., Class A Shares

     21,924  
15,000   

Microport Scientific Corp.(d)

     62,711  
4,300   

Ming Yang Smart Energy Group Ltd., Class A Shares*

     21,524  
9,000   

Ming Yuan Cloud Group Holdings Ltd.*

     25,451  
426,000   

Minth Group Ltd.

     1,972,210  
6,986   

Muyuan Foods Co., Ltd., Class A Shares

     57,410  
7,600   

Nanjing Securities Co., Ltd., Class A Shares

     11,340  
7,080   

NARI Technology Co., Ltd., Class A Shares

     45,916  
4,906   

National Silicon Industry Group Co., Ltd., Class A Shares*

     22,840  
700   

NAURA Technology Group Co., Ltd., Class A Shares

     42,340  
85,310   

NetEase Inc.

     1,844,564  
1,703   

NetEase Inc., ADR.

     183,464  
2,400   

New China Life Insurance Co., Ltd., Class A Shares

     14,218  
19,500   

New China Life Insurance Co., Ltd., Class H Shares(c)

     52,141  
6,400   

New Hope Liuhe Co., Ltd., Class A Shares*

     14,430  
33,712   

New Oriental Education & Technology Group Inc., ADR*

     74,504  
2,600   

Ningbo Tuopu Group Co., Ltd., Class A Shares

     27,381  
10,200   

Ningxia Baofeng Energy Group Co., Ltd., Class A Shares

     25,918  
28,143   

NIO Inc., ADR*

     1,101,236  
834   

Noah Holdings Ltd., ADR*

     30,383  
36,800   

Nongfu Spring Co., Ltd., Class H Shares(a)(c)

     210,956  
9,000   

OFILM Group Co., Ltd., Class A Shares*

     12,372  
23,772   

OneConnect Financial Technology Co., Ltd., ADR*

     60,856  
1,000   

Oppein Home Group Inc., Class A Shares

     18,967  
11,300   

Orient Securities Co., Ltd., Class A Shares

     25,048  
2,029   

Ovctek China Inc., Class A Shares

     18,109  
14,200   

Pacific Securities Co., Ltd., Class A Shares*

     7,072  
204,000   

People’s Insurance Co. Group of China Ltd., Class H Shares(c)

     59,395  
4,650   

Perfect World Co., Ltd., Class A Shares

     13,643  
21,700   

PetroChina Co., Ltd., Class A Shares

     15,880  
470,000   

PetroChina Co., Ltd., Class H Shares(c)

     202,972  
55,500   

Pharmaron Beijing Co., Ltd., (Restricted, cost - $1,081,372, acquired 4/8/21), Class H Shares(a)(b)(c)

     1,143,787  
900   

Pharmaron Beijing Co., Ltd., Class A Shares

     25,678  
142,000   

PICC Property & Casualty Co., Ltd., Class H Shares(c)

     121,465  
9,105   

Pinduoduo Inc., ADR*

     605,483  
1,032,580   

Ping An Bank Co., Ltd., Class A Shares

     2,818,143  
8,900   

Ping An Healthcare & Technology Co., Ltd.*(a)

     33,556  
15,800   

Ping An Insurance Group Co. of China Ltd., Class A Shares

     119,433  
785,000   

Ping An Insurance Group Co. of China Ltd., Class H Shares(c)

     5,405,886  
18,000   

Poly Developments & Holdings Group Co., Ltd., Class A Shares

     39,084  
45,300   

Postal Savings Bank of China Co., Ltd., Class A Shares

     36,009  
166,000   

Postal Savings Bank of China Co., Ltd., Class H Shares(a)(c)

     111,844  
22,300   

Power Construction Corp. of China Ltd., Class A Shares

     22,955  
29,000   

Powerlong Real Estate Holdings Ltd.

     17,480  
211,971   

Qingdao TGOOD Electric Co., Ltd., Class A Shares

     1,003,561  
18,700   

RiseSun Real Estate Development Co., Ltd., Class A Shares

     12,148  
13,324   

RLX Technology Inc., ADR*(d)

     54,762  
11,550   

Rongsheng Petrochemical Co., Ltd., Class A Shares

     29,135  
11,800   

SAIC Motor Corp., Ltd., Class A Shares

     36,850  
7,000   

Sanan Optoelectronics Co., Ltd., Class A Shares

     38,429  
800   

Sangfor Technologies Inc., Class A Shares

     24,735  
24,000   

Sany Heavy Equipment International Holdings Co., Ltd.

     24,961  
9,500   

Sany Heavy Industry Co., Ltd., Class A Shares

     32,655  

 

98


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

3,700   

Satellite Chemical Co., Ltd., Class A Shares

   $ 22,948  
13,224   

SDIC Capital Co., Ltd., Class A Shares

     16,582  
12,700   

SDIC Power Holdings Co., Ltd., Class A Shares

     19,792  
50,000   

Seazen Group Ltd.*(e)

     35,157  
3,000   

Seazen Holdings Co., Ltd., Class A Shares

     14,619  
5,400   

SF Holding Co., Ltd., Class A Shares

     51,900  
500   

SG Micro Corp., Class A Shares

     26,886  
12,300   

Shaanxi Coal Industry Co., Ltd., Class A Shares

     22,763  
5,600   

Shandong Gold Mining Co., Ltd., Class A Shares

     16,804  
11,250   

Shandong Gold Mining Co., Ltd., Class H Shares(a)(c)(d)

     20,125  
40,000   

Shandong Head Co., Ltd., Class A Shares*

     372,532  
5,850   

Shandong Hualu Hengsheng Chemical Co., Ltd., Class A Shares

     26,930  
3,100   

Shandong Linglong Tyre Co., Ltd., Class A Shares

     18,696  
14,900   

Shandong Nanshan Aluminum Co., Ltd., Class A Shares

     10,273  
6,800   

Shandong Sun Paper Industry JSC Ltd., Class A Shares

     12,226  
52,000   

Shandong Weigao Group Medical Polymer Co., Ltd., Class H Shares(c)

     72,999  
1,820   

Shanghai Bairun Investment Holging Group Co., Ltd., Class A Shares

     16,611  
171,961   

Shanghai Baosight Software Co., Ltd., Class A Shares

     1,785,983  
9,400   

Shanghai Baosight Software Co., Ltd., Class B Shares*

     45,787  
4,000   

Shanghai Fosun Pharmaceutical Group Co., Ltd., Class A Shares

     35,223  
434,000   

Shanghai Fosun Pharmaceutical Group Co., Ltd., Class H Shares(c)

     2,245,792  
2,000   

Shanghai International Airport Co., Ltd., Class A Shares*

     13,445  
17,999   

Shanghai International Port Group Co., Ltd., Class A Shares

     13,521  
32,520   

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd., Class B Shares

     29,468  
2,200   

Shanghai M&G Stationery Inc., Class A Shares

     19,278  
8,700   

Shanghai Pharmaceuticals Holding Co., Ltd., Class A Shares

     25,168  
16,800   

Shanghai Pharmaceuticals Holding Co., Ltd., Class H Shares(c)

     30,637  
40,200   

Shanghai Pudong Development Bank Co., Ltd., Class A Shares

     53,674  
1,380   

Shanghai Putailai New Energy Technology Co., Ltd., Class A Shares

     39,372  
15,800   

Shanghai RAAS Blood Products Co., Ltd., Class A Shares

     16,255  
3,500   

Shanxi Meijin Energy Co., Ltd., Class A Shares*

     7,410  
9,600   

Shanxi Securities Co., Ltd., Class A Shares

     9,518  
1,540   

Shanxi Xinghuacun Fen Wine Factory Co., Ltd., Class A Shares

     74,986  
2,100   

Shenergy Co., Ltd., Class A Shares

     2,032  
4,400   

Shengyi Technology Co., Ltd., Class A Shares

     16,259  
1,260   

Shennan Circuits Co., Ltd., Class A Shares

     20,663  
48,700   

Shenwan Hongyuan Group Co., Ltd., Class A Shares

     38,615  
1,680   

Shenzhen Energy Group Co., Ltd., Class A Shares

     2,129  
700   

Shenzhen Goodix Technology Co., Ltd., Class A Shares

     12,052  
4,500   

Shenzhen Inovance Technology Co., Ltd., Class A Shares

     46,160  
1,400   

Shenzhen Kangtai Biological Products Co., Ltd., Class A Shares

     25,300  
1,600   

Shenzhen Mindray Bio-Medical Electronics Co., Ltd., Class A Shares

     90,472  
15,200   

Shenzhen Overseas Chinese Town Co., Ltd., Class A Shares

     14,157  
3,000   

Shenzhen Sunway Communication Co., Ltd., Class A Shares

     11,771  
971   

Shenzhen Transsion Holdings Co., Ltd., Class A Shares*

     25,512  
17,100   

Shenzhou International Group Holdings Ltd.

     319,948  
4,649   

Shijiazhuang Yiling Pharmaceutical Co., Ltd., Class A Shares

     12,510  
12,000   

Shimao Services Holdings Ltd.(a)

     14,646  
4,000   

Sichuan Chuantou Energy Co., Ltd., Class A Shares

     7,166  
1,200   

Sichuan Swellfun Co., Ltd., Class A Shares

     24,577  
2,000   

Silergy Corp

     338,090  
3,700   

Sinolink Securities Co., Ltd., Class A Shares

     6,168  
664,572   

Sinopharm Group Co., Ltd., Class H Shares(c)

     1,443,749  
7,500   

Sinotruk Hong Kong Ltd.

     11,061  
840   

Skshu Paint Co., Ltd., Class A Shares

     15,668  
38,000   

Smoore International Holdings Ltd.(a)

     227,094  
1,120   

Songcheng Performance Development Co., Ltd., Class A Shares

     2,319  
56,000   

Sunac China Holdings Ltd.

     99,303  
12,000   

Sunac Services Holdings Ltd.(a)

     18,949  
1,600   

Sungrow Power Supply Co., Ltd., Class A Shares

     40,582  
24,400   

Suning.com Co., Ltd., Class A Shares*

     14,771  

 

99


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

83,700   

Sunny Optical Technology Group Co., Ltd.

   $ 2,509,774  
2,800   

Sunwoda Electronic Co., Ltd., Class A Shares

     23,287  
5,400   

Suzhou Dongshan Precision Manufacturing Co., Ltd., Class A Shares

     20,274  
200   

Suzhou Maxwell Technologies Co., Ltd., Class A Shares

     21,993  
1,400   

Suzhou TA&A Ultra Clean Technology Co., Ltd., Class A Shares*

     24,628  
8,274   

TAL Education Group, ADR*

     42,859  
2,100   

Tangshan Jidong Cement Co., Ltd., Class A Shares(e)(f)

     3,885  
6,200   

TBEA Co., Ltd., Class A Shares

     22,161  
18,200   

TCL Technology Group Corp., Class A Shares

     17,540  
343,031   

Tencent Holdings Ltd.

     20,209,735  
14,526   

Tencent Music Entertainment Group, ADR*

     104,442  
1,200   

Thunder Software Technology Co., Ltd., Class A Shares

     29,437  
3,900   

Tianjin Zhonghuan Semiconductor Co., Ltd., Class A Shares

     27,564  
9,900   

Tianma Microelectronics Co., Ltd., Class A Shares

     19,436  
420,000   

Tingyi Cayman Islands Holding Corp.

     813,322  
24,000   

Tongcheng-Elong Holdings Ltd.*

     49,608  
5,900   

Tongkun Group Co., Ltd., Class A Shares

     18,214  
5,400   

Tongwei Co., Ltd., Class A Shares

     38,059  
400   

Topchoice Medical Corp., Class A Shares*

     12,410  
881,000   

Topsports International Holdings Ltd., (Restricted, cost - $1,011,427, acquired 3/24/20)(a)(b)

     1,017,183  
3,700   

Transfar Zhilian Co., Ltd., Class A Shares

     5,275  
20,000   

TravelSky Technology Ltd., Class H Shares(c)

     33,063  
10,296   

Trip.com Group Ltd., ADR*

     283,140  
10,000   

Tsingtao Brewery Co., Ltd., Class H Shares(c)

     80,601  
700   

Unigroup Guoxin Microelectronics Co., Ltd., Class A Shares

     25,280  
37,000   

Uni-President China Holdings Ltd.

     36,299  
5,960   

Unisplendour Corp., Ltd., Class A Shares

     24,207  
2,600   

Universal Scientific Industrial Shanghai Co., Ltd., Class A Shares

     6,262  
4,500   

Venus MedTech Hangzhou Inc., Class H Shares*(a)(c)

     22,296  
9,197   

Vipshop Holdings Ltd., ADR*

     89,855  
2,081   

Vnet Group Inc., ADR*

     20,227  
1,800   

Walvax Biotechnology Co., Ltd., Class A Shares

     19,489  
4,700   

Wanhua Chemical Group Co., Ltd., Class A Shares

     70,473  
98,000   

Want Want China Holdings Ltd.

     82,822  
1,280   

Weibo Corp., ADR*(d)

     50,957  
5,300   

Weichai Power Co., Ltd., Class A Shares

     12,820  
401,200   

Weichai Power Co., Ltd., Class H Shares(c)

     713,116  
1,900   

Weihai Guangwei Composites Co., Ltd., Class A Shares

     25,152  
40,000   

Weimob Inc.*(a)(d)

     48,120  
14,040   

Wens Foodstuffs Group Co., Ltd., Class A Shares

     35,152  
11,400   

Western Securities Co., Ltd., Class A Shares

     13,995  
1,200   

Will Semiconductor Co., Ltd., Class A Shares

     51,324  
1,600   

Wingtech Technology Co., Ltd., Class A Shares

     30,720  
8,200   

Wuchan Zhongda Group Co., Ltd., Class A Shares

     7,798  
1,120   

Wuhan Guide Infrared Co., Ltd., Class A Shares

     4,271  
3,900   

Wuhu Sanqi Interactive Entertainment Network Technology Group Co., Ltd., Class A Shares

     14,434  
4,600   

Wuliangye Yibin Co., Ltd., Class A Shares

     157,443  
7,260   

WUS Printed Circuit Kunshan Co., Ltd., Class A Shares

     17,266  
3,864   

WuXi AppTec Co., Ltd., Class A Shares

     87,424  
6,648   

WuXi AppTec Co., Ltd., Class H Shares(a)(c)

     148,090  
151,500   

Wuxi Biologics Cayman Inc., (Restricted, cost - $729,034, acquired 11/26/19)*(a)(b)

     2,063,352  
157,900   

Wuxi Lead Intelligent Equipment Co., Ltd., Class A Shares

     1,953,043  
6,700   

Wuxi Shangji Automation Co., Ltd., Class A Shares

     232,517  
5,000   

Xiamen Tungsten Co., Ltd., Class A Shares

     20,460  
297,800   

Xiaomi Corp., Class B Shares*(a)

     736,322  
2,700   

Xinjiang Goldwind Science & Technology Co., Ltd., Class A Shares

     7,765  
16,982   

Xinjiang Goldwind Science & Technology Co., Ltd., Class H Shares(c)

     37,459  
872,000   

Xinyi Solar Holdings Ltd.

     1,586,330  
8,250   

XPeng Inc., Class A Shares, ADR*

     453,750  
28,000   

Yadea Group Holdings., Ltd.(a)

     50,200  
38,000   

Yanzhou Coal Mining Co., Ltd., Class H Shares(c)

     59,461  

 

100


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

China - 25.5% - (continued)

 

1,050   

Yealink Network Technology Corp., Ltd., Class A Shares

   $ 12,748  
147,684   

Yifeng Pharmacy Chain Co., Ltd., Class A Shares

     1,044,504  
9,000   

Yihai International Holding Ltd.*(d)

     48,356  
1,800   

Yihai Kerry Arawana Holdings Co., Ltd., Class A Shares

     17,388  
12,500   

Yonghui Superstores Co., Ltd., Class A Shares

     7,611  
5,330   

Yonyou Network Technology Co., Ltd., Class A Shares

     27,184  
28,823   

Yum China Holdings Inc.

     1,439,862  
4,160   

Yunda Holding Co., Ltd., Class A Shares

     12,916  
1,400   

Yunnan Baiyao Group Co., Ltd., Class A Shares

     19,398  
1,300   

Yunnan Energy New Material Co., Ltd., Class A Shares

     51,826  
6,955   

Zai Lab Ltd.*

     489,921  
1,679   

Zai Lab Ltd., ADR*

     116,271  
800   

Zhangzhou Pientzehuang Pharmaceutical Co., Ltd., Class A Shares

     56,090  
14,520   

Zhejiang Century Huatong Group Co., Ltd., Class A Shares*

     16,697  
2,100   

Zhejiang Chint Electrics Co., Ltd., Class A Shares

     17,090  
6,400   

Zhejiang Dahua Technology Co., Ltd., Class A Shares

     24,625  
1,300   

Zhejiang Dingli Machinery Co., Ltd., Class A Shares

     16,809  
36,000   

Zhejiang Expressway Co., Ltd., Class H Shares(c)

     34,025  
4,400   

Zhejiang Huahai Pharmaceutical Co., Ltd., Class A Shares

     14,873  
1,660   

Zhejiang Huayou Cobalt Co., Ltd., Class A Shares

     33,614  
1,900   

Zhejiang Jingsheng Mechanical & Electrical Co., Ltd., Class A Shares

     21,436  
7,900   

Zhejiang Longsheng Group Co., Ltd., Class A Shares

     15,556  
6,000   

Zhejiang NHU Co., Ltd., Class A Shares

     27,302  
9,100   

Zhejiang Sanhua Intelligent Controls Co., Ltd., Class A Shares

     33,175  
7,900   

Zheshang Securities Co., Ltd., Class A Shares

     15,373  
10,000   

ZhongAn Online P&C Insurance Co., Ltd., Class H Shares*(a)(c)

     34,113  
11,600   

Zhongjin Gold Corp., Ltd., Class A Shares

     15,164  
13,000   

Zhongsheng Group Holdings Ltd.

     106,949  
10,900   

Zhuzhou CRRC Times Electric Co., Ltd.(c)

     71,850  
30,500   

Zijin Mining Group Co., Ltd., Class A Shares

     48,660  
122,000   

Zijin Mining Group Co., Ltd., Class H Shares(c)

     162,090  
13,200   

Zoomlion Heavy Industry Science & Technology Co., Ltd., Class A Shares

     14,452  
29,200   

Zoomlion Heavy Industry Science & Technology Co., Ltd., Class H Shares(c)

     19,173  
6,400   

ZTE Corp., Class A Shares

     30,685  
12,600   

ZTE Corp., Class H Shares(c)

     34,026  
9,018   

ZTO Express Cayman Inc., ADR

     285,059  
     

 

 

 
  

Total China

     134,716,729  
     

 

 

 

Colombia - 0.0%

 

4,158   

Bancolombia SA

     33,691  
101,878   

Ecopetrol SA

     66,304  
7,067   

Grupo de Inversiones Suramericana SA

     44,489  
8,219   

Interconexion Electrica SA ESP

     45,878  
     

 

 

 
  

Total Colombia

     190,362  
     

 

 

 

Cyprus - 0.5%

 

27,613   

TCS Group Holding PLC, GDR.

     2,644,120  
     

 

 

 

Czech Republic - 0.0%

 

3,761   

CEZ AS

     122,914  
1,684   

Komercni Banka AS.

     64,393  
9,582   

Moneta Money Bank AS*(a)

     40,901  
     

 

 

 
  

Total Czech Republic

     228,208  
     

 

 

 

Egypt - 0.7%

 

1,829,004   

Cleopatra Hospital*

     526,073  
773,544   

Commercial International Bank Egypt SAE, Class Registered Shares, GDR*

     2,396,053  
60,271   

Commercial International Bank Egypt SAE, GDR*

     196,700  
22,745   

Eastern Co. SAE.

     16,161  
405,047   

Fawry for Banking & Payment Technology Services SAE*

     333,899  
316,000   

Juhayna Food Industries*

     138,632  
     

 

 

 
  

Total Egypt

     3,607,518  
     

 

 

 

Georgia - 0.3%

 

51,700   

Bank of Georgia Group PLC.

     1,057,630  
32,700   

Georgia Capital PLC*

     277,288  
     

 

 

 
  

Total Georgia

     1,334,918  
     

 

 

 

 

101


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Germany - 0.8%

 

30,309   

Delivery Hero SE, (Restricted, cost - $2,471,228, acquired 11/18/21)*(a)(b)

   $ 4,046,860  
     

 

 

 

Greece - 0.2%

 

48,512   

Alpha Services & Holdings SA*

     56,846  
53,636   

Eurobank Ergasias Services & Holdings SA*

     53,248  
1,594   

FF Group*#(e)(f)

     18  
5,034   

Hellenic Telecommunications Organization SA

     86,985  
2,114   

JUMBO SA

     29,618  
69,612   

OPAP SA

     965,224  
4,444   

Public Power Corp. SA*

     46,834  
     

 

 

 
  

Total Greece

     1,238,773  
     

 

 

 

Hong Kong - 2.4%

 

312,600   

AIA Group Ltd.

     3,289,303  
786,000   

Alibaba Health Information Technology Ltd.*

     724,749  
250,000   

Alibaba Pictures Group Ltd.*

     25,566  
107,500   

ASM Pacific Technology Ltd.

     1,125,419  
11,000   

Beijing Enterprises Holdings Ltd.

     37,017  
74,000   

Beijing Enterprises Water Group Ltd.

     27,508  
66,000   

Bosideng International Holdings Ltd.

     46,042  
862,000   

Brilliance China Automotive Holdings Ltd.*(e)(f)

     366,315  
1,416,000   

China Education Group Holdings Ltd., (Restricted, cost - $2,141,671, acquired 3/22/19)(b)

     2,572,381  
67,888   

China Everbright Environment Group Ltd.

     44,878  
773,000   

China Gas Holdings Ltd.

     1,389,837  
156,000   

China Jinmao Holdings Group Ltd.

     47,386  
67,000   

China Mengniu Dairy Co., Ltd.*

     372,808  
39,538   

China Merchants Port Holdings Co., Ltd.

     60,810  
73,500   

China Overseas Land & Investment Ltd.

     168,374  
20,000   

China Overseas Property Holdings Ltd.

     18,650  
92,000   

China Power International Development Ltd.

     46,716  
32,000   

China Resources Beer Holdings Co., Ltd.

     260,933  
54,000   

China Resources Cement Holdings Ltd.

     39,265  
20,000   

China Resources Gas Group Ltd.

     103,068  
64,000   

China Resources Land Ltd.(d)

     264,488  
38,000   

China Resources Power Holdings Co., Ltd.

     97,959  
36,000   

China State Construction International Holdings Ltd.

     36,132  
35,800   

China Taiping Insurance Holdings Co., Ltd.

     49,646  
72,000   

China Traditional Chinese Medicine Holdings Co., Ltd.

     34,718  
324,000   

China Youzan Ltd.*

     29,086  
46,000   

COSCO SHIPPING Ports Ltd.

     36,023  
46,000   

Far East Horizon Ltd.

     39,722  
123,000   

Geely Automobile Holdings Ltd.

     365,168  
60,000   

Guangdong Investment Ltd.(d)

     79,556  
14,630   

Hopson Development Holdings Ltd.

     35,648  
20,000   

Huabao International Holdings Ltd.

     57,581  
1,788   

Hutchmed China Ltd., ADR*

     60,542  
13,000   

Kingboard Holdings Ltd.

     65,072  
20,500   

Kingboard Laminates Holdings Ltd.

     36,333  
84,000   

Kunlun Energy Co., Ltd.

     79,070  
11,000   

Lee & Man Paper Manufacturing Ltd.

     7,589  
38,000   

Nine Dragons Paper Holdings Ltd.

     42,522  
26,000   

Shenzhen International Holdings Ltd.

     28,255  
23,500   

Shimao Group Holdings Ltd.

     26,881  
226,750   

Sino Biopharmaceutical Ltd.

     165,461  
26,500   

Sun Art Retail Group Ltd.

     10,819  
4,000   

Vinda International Holdings Ltd.

     10,779  
28,000   

Wharf Holdings Ltd.

     98,005  
12,800   

Yuexiu Property Co., Ltd.

     11,950  
     

 

 

 
  

Total Hong Kong

     12,536,030  
     

 

 

 

Hungary - 1.4%

 

9,056   

MOL Hungarian Oil & Gas PLC.

     67,857  

 

102


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Hungary - 1.4% - (continued)

 

135,052   

OTP Bank Nyrt*

   $ 7,448,177  
2,785   

Richter Gedeon Nyrt

     73,747  
     

 

 

 
  

Total Hungary

     7,589,781  
     

 

 

 

India - 11.7%

 

1,964   

ACC Ltd.

     59,532  
5,607   

Adani Enterprises Ltd.

     123,472  
8,561   

Adani Green Energy Ltd.*

     144,506  
9,661   

Adani Ports & Special Economic Zone Ltd.

     87,588  
5,545   

Adani Total Gas Ltd.

     116,738  
5,953   

Adani Transmission Ltd.*

     143,460  
13,286   

Ambuja Cements Ltd.

     66,011  
2,148   

Apollo Hospitals Enterprise Ltd.

     163,541  
81,492   

Asian Paints Ltd.

     3,404,814  
5,958   

Aurobindo Pharma Ltd.

     52,058  
3,367   

Avenue Supermarts Ltd., Class A Shares*(a)

     210,717  
141,549   

Axis Bank Ltd.*

     1,222,696  
16,022   

Bajaj Auto Ltd.

     687,742  
5,671   

Bajaj Finance Ltd.

     527,524  
802   

Bajaj Finserv Ltd.

     183,449  
2,275   

Balkrishna Industries Ltd.

     65,436  
13,938   

Bandhan Bank Ltd.(a)

     50,588  
4,570   

Berger Paints India Ltd.

     45,754  
25,719   

Bharat Electronics Ltd.

     69,253  
6,110   

Bharat Forge Ltd.

     56,387  
81,622   

Bharat Petroleum Corp., Ltd.

     399,278  
51,477   

Bharti Airtel Ltd.*

     497,946  
8,802   

Biocon Ltd.*

     42,048  
2,219   

Britannia Industries Ltd.

     104,694  
142,290   

Cholamandalam Investment & Finance Co., Ltd.

     1,041,719  
9,363   

Cipla Ltd.

     121,191  
342,240   

Coal India Ltd.

     690,914  
3,227   

Colgate-Palmolive India Ltd.

     61,460  
6,095   

Container Corp. Of India Ltd.

     50,529  
10,469   

Dabur India Ltd.

     82,939  
2,812   

Divi’s Laboratories Ltd.

     184,213  
12,879   

DLF Ltd.

     64,247  
2,413   

Dr Reddy’s Laboratories Ltd.

     149,259  
2,834   

Eicher Motors Ltd.

     89,227  
34,196   

GAIL India Ltd.

     59,119  
7,137   

Godrej Consumer Products Ltd.*

     87,828  
2,585   

Godrej Properties Ltd.*

     67,602  
5,414   

Grasim Industries Ltd.

     120,553  
5,321   

Havells India Ltd.

     95,733  
22,043   

HCL Technologies Ltd.

     334,625  
1,229   

HDFC Asset Management Co., Ltd.(a)

     40,955  
117,780   

HDFC Bank Ltd.

     2,332,812  
81,121   

HDFC Bank Ltd., ADR

     5,310,992  
18,294   

HDFC Life Insurance Co., Ltd.(a)

     164,372  
21,544   

Hero MotoCorp Ltd.

     699,909  
33,072   

Hindalco Industries Ltd.

     180,012  
12,043   

Hindustan Petroleum Corp., Ltd.

     47,241  
17,166   

Hindustan Unilever Ltd.

     530,143  
35,683   

Housing Development Finance Corp., Ltd.

     1,272,951  
108,224   

ICICI Bank Ltd.

     1,023,745  
215,112   

ICICI Bank Ltd., ADR.

     3,970,968  
4,599   

ICICI Lombard General Insurance Co., Ltd.(a)

     87,757  
6,447   

ICICI Prudential Life Insurance Co., Ltd.(a)

     50,830  
34,476   

Indian Oil Corp., Ltd.

     54,039  
4,984   

Indian Railway Catering & Tourism Corp., Ltd.

     52,770  
5,863   

Indraprastha Gas Ltd.

     37,753  
363,293   

Indus Towers Ltd.

     1,365,174  

 

103


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

India - 11.7% - (continued)

 

1,743   

Info Edge India Ltd.

   $ 134,663  
71,083   

Infosys Ltd.

     1,621,256  
1,670   

InterGlobe Aviation Ltd.*(a)

     42,162  
62,052   

ITC Ltd.

     182,239  
17,890   

JSW Steel Ltd.

     145,064  
1,567   

Jubilant Foodworks Ltd.

     76,734  
102,745   

Kotak Mahindra Bank Ltd.

     2,686,324  
1,143   

Larsen & Toubro Infotech Ltd.(a)

     102,600  
13,778   

Larsen & Toubro Ltd.

     324,604  
3,703   

Lupin Ltd.

     43,229  
17,532   

Mahindra & Mahindra Ltd.

     195,133  
12,963   

Marico Ltd.

     92,846  
29,159   

Maruti Suzuki India Ltd.

     2,741,781  
1,386   

Mindtree Ltd.*

     79,063  
28,021   

Motherson Sumi Systems Ltd.

     77,969  
1,738   

Mphasis Ltd.*

     65,771  
50   

MRF Ltd.

     49,812  
3,147   

Muthoot Finance Ltd.

     60,073  
685   

Nestle India Ltd.

     173,808  
94,057   

NTPC Ltd.

     158,865  
55,740   

Oberoi Realty Ltd.*

     617,607  
52,779   

Oil & Natural Gas Corp., Ltd.

     99,478  
111   

Page Industries Ltd.

     57,308  
252,000   

Petronet LNG Ltd.

     734,858  
57,000   

Phoenix Mills Ltd.

     720,450  
1,764   

PI Industries Ltd.

     67,021  
3,010   

Pidilite Industries Ltd.

     89,076  
2,056   

Piramal Enterprises Ltd.

     65,908  
68,288   

Power Grid Corp. of India Ltd.

     188,631  
4,840   

Reliance Industries Ltd.(e)

     120,568  
284,528   

Reliance Industries Ltd.

     9,148,208  
3,547   

SBI Cards & Payment Services Ltd.*

     44,727  
10,061   

SBI Life Insurance Co., Ltd.(a)

     155,828  
257   

Shree Cement Ltd.

     90,792  
4,001   

Shriram Transport Finance Co., Ltd.

     75,274  
2,065   

Siemens Ltd.

     58,460  
3,049   

SRF Ltd.*

     81,318  
38,438   

State Bank of India.

     235,443  
17,435   

Sun Pharmaceutical Industries Ltd.

     174,639  
19,514   

Tata Consultancy Services Ltd.

     919,478  
13,065   

Tata Consumer Products Ltd.

     136,054  
35,565   

Tata Motors Ltd.*

     219,194  
30,137   

Tata Power Co., Ltd.*

     86,799  
15,151   

Tata Steel Ltd.

     216,352  
12,802   

Tech Mahindra Ltd.

     263,143  
146,896   

Titan Co., Ltd.

     4,646,690  
929   

Torrent Pharmaceuticals Ltd.

     37,319  
4,476   

Trent Ltd.

     61,128  
26,187   

UltraTech Cement Ltd.

     2,574,799  
5,897   

United Spirits Ltd.*

     69,123  
142,613   

UPL Ltd.

     1,296,152  
24,221   

Vedanta Ltd.

     108,265  
29,150   

Wipro Ltd.

     245,061  
241,179   

Yes Bank Ltd.*(f)

     39,117  
31,987   

Zomato Ltd.*

     65,230  
     

 

 

 
  

Total India

     61,912,307  
     

 

 

 

Indonesia - 2.5%

 

299,900   

Adaro Energy Tbk PT

     35,580  
197,700   

Aneka Tambang Tbk

     31,748  
2,953,400   

Astra International Tbk PT

     1,187,456  
6,320,000   

Bank BTPN Syariah Tbk PT

     1,572,317  

 

104


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Indonesia - 2.5% - (continued)

 

1,133,500   

Bank Central Asia Tbk PT

   $ 575,752  
4,298,724   

Bank Mandiri Persero Tbk PT

     2,100,965  
151,100   

Bank Negara Indonesia Persero Tbk PT

     71,385  
9,809,124   

Bank Rakyat Indonesia Persero Tbk PT

     2,801,139  
430,400   

Barito Pacific Tbk PT

     27,647  
174,600   

Charoen Pokphand Indonesia Tbk PT

     74,058  
14,300   

Gudang Garam Tbk PT

     31,351  
39,700   

Indah Kiat Pulp & Paper Tbk PT

     20,928  
34,200   

Indocement Tunggal Prakarsa Tbk PT

     25,251  
69,500   

Indofood CBP Sukses Makmur Tbk PT

     41,004  
90,400   

Indofood Sukses Makmur Tbk PT

     39,764  
492,600   

Kalbe Farma Tbk PT.

     55,029  
220,500   

Merdeka Copper Gold Tbk PT*

     56,347  
505,900   

Sarana Menara Nusantara Tbk PT

     40,974  
69,600   

Semen Indonesia Persero Tbk PT

     38,758  
6,283,787   

Telkom Indonesia Persero Tbk PT

     1,755,718  
83,185   

Telkom Indonesia Persero Tbk PT, ADR

     2,335,003  
146,000   

Tower Bersama Infrastructure Tbk PT

     30,785  
111,600   

Unilever Indonesia Tbk PT

     34,908  
38,900   

United Tractors Tbk PT

     57,840  
     

 

 

 
  

Total Indonesia

     13,041,707  
     

 

 

 

Kazakhstan - 0.4%

 

12,470   

Kaspi.KZ JSC, (Restricted, cost - $420,863, acquired 10/15/20), GDR(b)

     1,610,324  
900   

Kaspi.KZ JSC, GDR

     116,100  
840   

Kaspi.KZ JSC, GDR(a)(e)

     108,360  
     

 

 

 
  

Total Kazakhstan

     1,834,784  
     

 

 

 

Kenya - 0.0%

 

414,800   

Safaricom PLC

     138,064  
     

 

 

 

Kuwait - 0.3%

 

28,173   

Agility Public Warehousing Co., KSC

     85,856  
26,304   

Boubyan Bank KSCP*

     65,911  
44,000   

Humansoft Holding Co. KSC

     465,544  
99,763   

Kuwait Finance House KSCP

     262,871  
12,432   

Mabanee Co., KPSC

     32,253  
46,291   

Mobile Telecommunications Co., KSCP

     87,103  
142,349   

National Bank of Kuwait SAKP

     462,674  
     

 

 

 
  

Total Kuwait

     1,462,212  
     

 

 

 

Luxembourg - 0.0%

 

2,843   

Reinet Investments SCA

     46,982  
     

 

 

 

Malaysia - 0.4%

 

46,100   

AMMB Holdings Bhd*

     34,660  
59,300   

Axiata Group Bhd

     55,260  
133,707   

CIMB Group Holdings Bhd

     164,848  
85,400   

Dialog Group Bhd

     51,943  
60,900   

DiGi.Com Bhd.

     60,728  
3,000   

Fraser & Neave Holdings Bhd

     18,290  
42,700   

Genting Bhd.

     44,811  
80,300   

Genting Malaysia Bhd.

     52,859  
20,100   

HAP Seng Consolidated Bhd

     36,505  
39,400   

Hartalega Holdings Bhd

     60,755  
15,800   

Hong Leong Bank Bhd

     67,894  
2,900   

Hong Leong Financial Group Bhd

     11,875  
36,300   

IHH Healthcare Bhd

     56,854  
49,200   

Inari Amertron Bhd*

     49,054  
56,900   

IOI Corp. Bhd

     49,855  
700   

Kossan Rubber Industries Bhd

     358  
5,500   

Kuala Lumpur Kepong Bhd.

     27,507  
76,209   

Malayan Banking Bhd.

     144,727  
25,900   

Malaysia Airports Holdings Bhd*

     35,321  
57,900   

Maxis Bhd

     64,263  
34,300   

MISC Bhd

     54,217  

 

105


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Malaysia - 0.4% - (continued)

 

1,600   

Nestle Malaysia Bhd

   $ 50,842  
47,200   

Petronas Chemicals Group Bhd

     95,500  
3,600   

Petronas Dagangan Bhd

     17,027  
18,400   

Petronas Gas Bhd

     73,479  
12,800   

PPB Group Bhd

     54,292  
75,000   

Press Metal Aluminium Holdings Bhd

     95,501  
295,300   

Public Bank Bhd

     277,071  
31,500   

QL Resources Bhd

     34,110  
37,800   

RHB Bank Bhd

     47,486  
77,200   

Sime Darby Bhd

     40,195  
28,400   

Sime Darby Plantation Bhd

     24,872  
1,060   

Supermax Corp. Bhd

     474  
31,400   

Telekom Malaysia Bhd

     41,536  
52,800   

Tenaga Nasional Bhd

     116,082  
123,200   

Top Glove Corp. Bhd

     85,758  
13,800   

Westports Holdings Bhd

     13,302  
     

 

 

 
  

Total Malaysia

     2,210,111  
     

 

 

 

Mexico - 2.0%

 

80,133   

America Movil SAB de CV, Class L Shares, ADR

     1,395,917  
730,320   

America Movil SAB de CV, Series L

     639,107  
7,586   

Arca Continental SAB de CV

     46,243  
15,467   

Becle SAB de CV

     35,471  
318,068   

Cemex SAB de CV, Class Preferred Shares*

     196,189  
12,281   

Coca-Cola Femsa SAB de CV

     60,160  
76,190   

Fibra Uno Administracion SA de CV, REIT

     70,155  
39,986   

Fomento Economico Mexicano SAB de CV

     283,590  
3,623   

Gruma SAB de CV, Class B Shares

     43,786  
8,082   

Grupo Aeroportuario del Pacifico SAB de CV, Class B Shares*

     93,470  
4,684   

Grupo Aeroportuario del Sureste SAB de CV, Class B Shares

     86,042  
33,100   

Grupo Bimbo SAB de CV, Series A.

     87,253  
12,114   

Grupo Carso SAB de CV, Series A1

     35,243  
273,757   

Grupo Financiero Banorte SAB de CV, Class O Shares

     1,630,377  
48,261   

Grupo Financiero Inbursa SAB de CV, Class O Shares*

     46,306  
344,630   

Grupo México SAB de CV, Series B

     1,434,991  
52,398   

Grupo Televisa SAB.

     96,618  
2,464   

Industrias Peñoles SAB de CV

     30,325  
512,040   

Kimberly-Clark de México SAB de CV, Class A Shares

     805,939  
7,978   

Megacable Holdings SAB de CV

     22,195  
475,746   

Orbia Advance Corp. SAB de CV

     1,109,690  
3,707   

Promotora y Operadora de Infraestructura SAB de CV

     25,541  
157,681   

Qualitas Controladora SAB de CV

     685,967  
254,100   

Regional SAB de CV

     1,198,303  
29,228   

Telesites SAB de CV

     25,973  
109,471   

Wal-Mart de Mexico SAB de CV

     343,997  
     

 

 

 
  

Total Mexico

     10,528,848  
     

 

 

 

Netherlands - 0.9%

 

60,297   

Prosus NV*

     4,860,233  
     

 

 

 

Peru - 0.3%

     
4,824   

Cia de Minas Buenaventura SAA, ADR*

     35,263  
13,920   

Credicorp Ltd.

     1,642,560  
1,829   

Southern Copper Corp.

     106,997  
     

 

 

 
  

Total Peru

     1,784,820  
     

 

 

 

Philippines - 0.9%

 

43,280   

Aboitiz Equity Ventures Inc.

     42,369  
154,500   

AC Energy Corp.

     34,467  
5,280   

Ayala Corp.

     87,710  
166,460   

Ayala Land Inc.

     113,338  
34,918   

Bank of the Philippine Islands.

     63,010  
45,844   

BDO Unibank Inc.

     112,373  
4,586,900   

Bloomberry Resorts Corp.*

     707,675  
620   

Globe Telecom Inc.

     40,299  

 

106


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Philippines - 0.9% - (continued)

 

2,800   

GT Capital Holdings Inc.

   $ 31,854  
588,870   

International Container Terminal Services Inc.

     2,333,043  
67,856   

JG Summit Holdings Inc.

     76,623  
9,470   

Jollibee Foods Corp.

     44,296  
6,170   

Manila Electric Co.

     35,306  
109,500   

Metro Pacific Investments Corp.

     8,784  
31,956   

Metropolitan Bank & Trust Co.

     31,527  
69,500   

Monde Nissin Corp.*(a)

     23,542  
1,505   

PLDT Inc.

     50,248  
620,590   

Robinsons Retail Holdings Inc.

     818,509  
5,930   

SM Investments Corp.

     115,213  
209,900   

SM Prime Holdings Inc.

     155,866  
22,540   

Universal Robina Corp.

     59,317  
     

 

 

 
  

Total Philippines

     4,985,369  
     

 

 

 

Poland - 0.3%

 

7,157   

Allegro.eu SA*(a)

     68,561  
3,979   

Bank Polska Kasa Opieki SA

     114,747  
1,614   

CD Projekt SA(d)

     71,934  
6,856   

Cyfrowy Polsat SA

     58,626  
836   

Dino Polska SA*(a)

     69,265  
44,600   

InPost SA*

     496,403  
3,033   

KGHM Polska Miedz SA

     103,860  
24   

LPP SA

     78,129  
291   

mBank SA*

     34,359  
9,733   

Orange Polska SA*

     20,231  
13,221   

PGE Polska Grupa Energetyczna SA*

     26,600  
6,059   

Polski Koncern Naftowy ORLEN SA

     106,217  
38,865   

Polskie Gornictwo Naftowe i Gazownictwo SA

     52,316  
18,828   

Powszechna Kasa Oszczednosci Bank Polski SA*

     199,253  
13,963   

Powszechny Zaklad Ubezpieczen SA

     121,938  
646   

Santander Bank Polska SA

     57,375  
     

 

 

 
  

Total Poland

     1,679,814  
     

 

 

 

Portugal - 0.3%

 

182,639   

Galp Energia SGPS SA

     1,705,203  
     

 

 

 

Qatar - 0.2%

     
58,133   

Barwa Real Estate Co.

     49,340  
56,283   

Commercial Bank PSQC

     101,442  
31,452   

Industries Qatar QSC

     125,872  
68,894   

Masraf Al Rayan QSC

     91,734  
85,967   

Mesaieed Petrochemical Holding Co.

     49,119  
13,747   

Ooredoo QPSC

     25,675  
12,424   

Qatar Electricity & Water Co. QSC

     56,277  
10,432   

Qatar Fuel QSC

     52,099  
50,244   

Qatar Gas Transport Co., Ltd.

     45,553  
16,205   

Qatar International Islamic Bank QSC

     41,427  
20,139   

Qatar Islamic Bank SAQ

     95,210  
91,587   

Qatar National Bank QPSC

     487,984  
     

 

 

 
  

Total Qatar

     1,221,732  
     

 

 

 

Romania - 0.0%

 

9,224   

NEPI Rockcastle PLC.

     57,159  
     

 

 

 

Russia - 4.6%

     
49,144   

Alrosa PJSC

     85,373  
432,100   

Detsky Mir PJSC, (Restricted, cost - $697,226, acquired 10/15/20)(b)

     809,361  
153,000   

Fix Price Group Ltd., (Restricted, cost - $1,473,726, acquired 3/5/21), GDR(b)

     1,173,510  
244,824   

Gazprom PJSC

     1,118,043  
169,369   

Gazprom PJSC, ADR

     1,510,771  
885,983   

Inter RAO UES PJSC

     51,224  
8,750   

Lukoil PJSC

     779,052  
58,144   

Lukoil PJSC, ADR

     5,126,051  
7,104   

Magnit PJSC, Class Registered Shares, GDR

     109,602  
2,330   

Mail.Ru Group Ltd., GDR*

     39,501  

 

107


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Russia - 4.6% - (continued)

 

1,332   

MMC Norilsk Nickel PJSC

   $ 390,563  
218,246   

Mobile TeleSystems PJSC, ADR(d)

     1,748,150  
27,471   

Moscow Exchange MICEX-RTS PJSC

     56,302  
1,943   

Novatek PJSC, Class Registered Shares, GDR

     425,088  
29,577   

Novolipetsk Steel PJSC

     86,419  
894   

Ozon Holdings PLC, ADR*

     36,460  
2,783   

PhosAgro PJSC, Class Registered Shares, GDR

     61,433  
7,431   

Polymetal International PLC

     139,163  
612   

Polyus PJSC

     119,874  
119   

Polyus PJSC*

     23,309  
25,771   

Rosneft Oil Co. PJSC

     197,910  
729,325   

Sberbank of Russia PJSC

     3,138,676  
235,219   

Sberbank of Russia PJSC, ADR

     3,977,152  
4,360   

Severstal PAO

     92,857  
157,330   

Surgutneftegas PJSC

     78,508  
28,490   

Tatneft PJSC

     183,458  
63,689   

United Co. RUSAL International PJSC*

     59,493  
60,086,472   

VTB Bank PJSC

     38,816  
5,549   

X5 Retail Group NV, Class Registered Shares, GDR

     154,640  
39,897   

X5 Retail Group NV, GDR

     1,106,743  
19,916   

Yandex NV, Class A Shares*

     1,432,793  
     

 

 

 
  

Total Russia

     24,389,977  
     

 

 

 

Saudi Arabia - 1.0%

 

584   

Abdullah Al Othaim Markets Co.

     16,650  
2,938   

Advanced Petrochemical Co.

     53,916  
25,805   

Al Rajhi Bank

     917,543  
18,426   

Alinma Bank

     112,788  
6,060   

Almarai Co. JSC

     77,671  
14,805   

Arab National Bank

     87,199  
7,275   

Bank AlBilad*

     83,548  
7,192   

Bank Al-Jazira

     35,078  
12,740   

Banque Saudi Fransi

     136,508  
877   

Bupa Arabia for Cooperative Insurance Co.

     31,982  
1,797   

Co. for Cooperative Insurance

     37,063  
5,741   

Dar Al Arkan Real Estate Development Co.*

     14,060  
944   

Dr Sulaiman Al Habib Medical Services Group Co.

     41,711  
3,935   

Emaar Economic City*

     11,733  
8,287   

Etihad Etisalat Co.

     69,946  
1,138   

Jarir Marketing Co.

     56,237  
12,541   

Mobile Telecommunications Co.*

     40,956  
1,161   

Mouwasat Medical Services Co.

     52,820  
9,889   

National Industrialization Co.*

     53,543  
1,719   

National Petrochemical Co.

     18,459  
6,566   

Rabigh Refining & Petrochemical Co.*

     38,451  
29,590   

Riyad Bank

     221,400  
4,486   

SABIC Agri-Nutrients Co.

     207,986  
7,279   

Sahara International Petrochemical Co.

     74,467  
9,148   

Saudi Arabian Mining Co.*

     176,061  
44,626   

Saudi Arabian Oil Co.(a)

     413,068  
18,384   

Saudi Basic Industries Corp.

     531,638  
16,613   

Saudi British Bank

     132,691  
2,168   

Saudi Cement Co.

     32,104  
18,903   

Saudi Electricity Co.

     119,725  
4,124   

Saudi Industrial Investment Group

     33,379  
15,381   

Saudi Kayan Petrochemical Co.*

     68,492  
45,079   

Saudi National Bank.

     733,553  
12,344   

Saudi Telecom Co.

     364,545  
5,902   

Savola Group

     49,264  
5,285   

Yanbu National Petrochemical Co.

     90,185  
     

 

 

 
  

Total Saudi Arabia

     5,236,420  
     

 

 

 

 

108


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Singapore - 1.0%

 

3,600   

BOC Aviation Ltd.(a)

   $ 25,291  
1,271   

JOYY Inc., ADR(d)

     65,075  
17,847   

Sea Ltd., ADR*

     5,141,185  
     

 

 

 
  

Total Singapore

     5,231,551  
     

 

 

 

South Africa - 2.2%

 

15,861   

Absa Group Ltd.

     132,703  
1,957   

African Rainbow Minerals Ltd.

     25,355  
1,188   

Anglo American Platinum Ltd.

     126,343  
8,288   

AngloGold Ashanti Ltd.

     175,799  
7,696   

Aspen Pharmacare Holdings Ltd.

     115,306  
7,144   

Bid Corp., Ltd.

     137,017  
92,678   

Bidvest Group Ltd.

     1,044,542  
1,615   

Capitec Bank Holdings Ltd.

     184,873  
5,665   

Clicks Group Ltd.

     100,684  
10,460   

Discovery Ltd.*

     87,679  
5,384   

Exxaro Resources Ltd.

     51,404  
105,457   

FirstRand Ltd.

     369,846  
17,542   

Gold Fields Ltd.

     201,862  
79,517   

Growthpoint Properties Ltd., REIT

     66,767  
12,491   

Harmony Gold Mining Co., Ltd.

     53,680  
17,405   

Impala Platinum Holdings Ltd.

     221,469  
1,245   

Kumba Iron Ore Ltd.

     35,146  
630,772   

Life Healthcare Group Holdings Ltd.*

     928,295  
5,962   

Mr Price Group Ltd.

     74,040  
34,849   

MTN Group Ltd.*

     351,594  
7,193   

MultiChoice Group

     55,650  
4,529   

Naspers Ltd., Class N Shares*

     700,095  
150,724   

Nedbank Group Ltd.

     1,553,925  
6,920   

Northam Platinum Holdings Ltd.*

     95,995  
109,246   

Old Mutual Ltd.

     83,484  
24,251   

Pepkor Holdings Ltd.*(a)

     33,449  
18,253   

Rand Merchant Investment Holdings Ltd.

     48,045  
10,942   

Remgro Ltd.

     86,382  
221,504   

Sanlam Ltd.

     766,989  
12,407   

Sasol Ltd.*

     204,413  
10,563   

Shoprite Holdings Ltd.

     130,586  
55,085   

Sibanye Stillwater Ltd.

     172,213  
3,447   

SPAR Group Ltd.

     35,059  
120,638   

Standard Bank Group Ltd.

     980,748  
4,420   

Tiger Brands Ltd.

     49,667  
387,173   

Transaction Capital Ltd.

     1,036,261  
90,938   

Vodacom Group Ltd.

     757,827  
20,440   

Woolworths Holdings Ltd.

     66,624  
     

 

 

 
  

Total South Africa

     11,341,816  
     

 

 

 

South Korea - 12.5%

 

471   

Alteogen Inc.*

     27,067  
709   

Amorepacific Corp.

     94,680  
638   

AMOREPACIFIC Group

     22,373  
233   

BGF retail Co., Ltd.

     28,849  
1,825   

Celltrion Healthcare Co., Ltd.*

     126,232  
2,041   

Celltrion Inc.*(d)

     360,219  
413   

Celltrion Pharm Inc.*

     42,296  
1,194   

Cheil Worldwide Inc.

     21,997  
160   

CJ CheilJedang Corp.

     47,666  
243   

CJ Corp.

     16,513  
153   

CJ ENM Co., Ltd.

     17,466  
135   

CJ Logistics Corp.*

     14,203  
21,838   

Coway Co., Ltd.(d)

     1,254,315  
962   

DB Insurance Co., Ltd.

     43,838  
1,233   

Doosan Bobcat Inc.*

     37,466  
14,660   

Doosan Fuel Cell Co., Ltd.*

     611,626  

 

109


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

South Korea - 12.5% - (continued)

 

6,118   

Doosan Heavy Industries & Construction Co., Ltd.*

   $ 97,344  
216   

Douzone Bizon Co., Ltd.

     13,795  
235   

Ecopro BM Co., Ltd.

     107,039  
446   

E-MART Inc.

     53,503  
70   

F&F Co., Ltd.*

     49,105  
127   

Green Cross Corp.

     23,590  
1,204   

GS Engineering & Construction Corp.

     37,584  
1,234   

GS Holdings Corp.

     39,028  
6,517   

Hana Financial Group Inc.

     218,376  
1,886   

Hankook Tire & Technology Co., Ltd.

     61,488  
115   

Hanmi Pharm Co., Ltd.

     24,714  
3,831   

Hanon Systems.

     42,186  
2,437   

Hanwha Solutions Corp.*

     67,871  
1,826   

HLB Inc.*

     55,877  
5,668   

HMM Co., Ltd.*

     113,924  
672   

Hotel Shilla Co., Ltd.

     39,874  
299   

HYBE Co., Ltd.*

     92,604  
1,329   

Hyundai Engineering & Construction Co., Ltd.

     49,235  
434   

Hyundai Glovis Co., Ltd.(d)

     53,698  
1,100   

Hyundai Heavy Industries Holdings Co., Ltd.

     49,229  
7,237   

Hyundai Mobis Co., Ltd.

     1,356,983  
2,903   

Hyundai Motor Co.

     475,202  
1,832   

Hyundai Steel Co.

     57,546  
481   

Iljin Materials Co., Ltd.*

     52,239  
5,013   

Industrial Bank of Korea.

     43,521  
6,447   

Kakao Corp.

     658,758  
629   

Kakao Games Corp.*

     52,417  
1,736   

KakaoBank Corp.*(d)

     95,744  
2,405   

Kangwon Land Inc.*

     44,465  
47,365   

KB Financial Group Inc.

     2,114,719  
5,530   

Kia Corp.

     365,805  
1,943   

Korea Aerospace Industries Ltd.

     44,543  
5,040   

Korea Electric Power Corp.

     88,657  
955   

Korea Investment Holdings Co., Ltd.

     61,130  
890   

Korea Shipbuilding & Offshore Engineering Co., Ltd.*

     66,250  
194   

Korea Zinc Co., Ltd.

     81,047  
3,548   

Korean Air Lines Co., Ltd.*

     78,907  
454   

Krafton Inc.*

     193,005  
19,332   

KT&G Corp.

     1,340,507  
408   

Kumho Petrochemical Co., Ltd.

     53,072  
477   

L&F Co., Ltd.*

     90,426  
11,470   

LG Chem Ltd.

     6,733,998  
1,886   

LG Corp.

     125,555  
4,501   

LG Display Co., Ltd.(d)

     75,815  
2,329   

LG Electronics Inc.

     225,615  
1,644   

LG Household & Health Care Ltd.

     1,470,511  
336   

LG Innotek Co., Ltd.

     85,629  
4,603   

LG Uplus Corp.

     52,523  
319   

Lotte Chemical Corp.

     54,412  
312   

Lotte Shopping Co., Ltd.

     22,121  
4,055   

Meritz Securities Co., Ltd.

     17,156  
5,758   

Mirae Asset Securities Co., Ltd.

     41,977  
17,931   

NAVER Corp.

     5,805,531  
360   

NCSoft Corp.

     206,483  
529   

Netmarble Corp.(a)

     52,543  
1,507   

NH Investment & Securities Co., Ltd.

     15,668  
640   

Orion Corp.

     52,737  
6,901   

Pan Ocean Co., Ltd.

     30,321  
559   

Pearl Abyss Corp.*

     62,280  
1,567   

POSCO

     347,162  
598   

POSCO Chemical Co., Ltd.(d)

     78,905  

 

110


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

South Korea - 12.5% - (continued)

 

256   

S-1 Corp.

   $ 15,950  
362   

Samsung Biologics Co., Ltd.*(a)

     272,525  
1,617   

Samsung C&T Corp.

     143,342  
1,209   

Samsung Electro-Mechanics Co., Ltd.

     171,448  
362,839   

Samsung Electronics Co., Ltd.

     21,988,775  
3,127   

Samsung Engineering Co., Ltd.*

     54,408  
662   

Samsung Fire & Marine Insurance Co., Ltd.

     113,125  
13,122   

Samsung Heavy Industries Co., Ltd.*

     56,258  
1,356   

Samsung Life Insurance Co., Ltd.

     68,185  
6,977   

Samsung SDI Co., Ltd.

     4,065,514  
721   

Samsung SDS Co., Ltd.

     87,893  
1,147   

Samsung Securities Co., Ltd.

     42,734  
699   

SD Biosensor Inc.*

     34,501  
794   

Seegene Inc.

     51,229  
766   

Shin Poong Pharmaceutical Co., Ltd.

     21,458  
57,758   

Shinhan Financial Group Co., Ltd.

     1,696,737  
400   

SK Biopharmaceuticals Co., Ltd.*

     32,253  
491   

SK Bioscience Co., Ltd.*

     115,594  
300   

SK Chemicals Co., Ltd.

     35,317  
93,248   

SK Hynix Inc.(d)

     9,051,809  
305   

SK IE Technology Co., Ltd.*(a)

     40,275  
679   

SK Inc.

     149,622  
1,115   

SK Innovation Co., Ltd.*

     183,507  
33   

SK Square Co., Ltd.*(f)

     1,897  
51   

SK Telecom Co., Ltd.(f)

     2,351  
436   

SKC Co., Ltd.

     72,070  
1,034   

S-Oil Corp.

     69,606  
11,081   

Woori Financial Group Inc.

     117,545  
938   

Yuhan Corp.

     46,097  
     

 

 

 
  

Total South Korea

     65,830,780  
     

 

 

 

Taiwan - 12.6%

 

10,000   

Accton Technology Corp.

     103,368  
72,000   

Acer Inc.

     71,551  
7,777   

Advantech Co., Ltd.

     106,778  
542,498   

ASE Technology Holding Co., Ltd.

     1,983,529  
46,000   

Asia Cement Corp.

     69,496  
1,000   

ASMedia Technology Inc.

     70,361  
15,000   

Asustek Computer Inc.

     189,823  
175,000   

AU Optronics Corp.

     126,489  
10,000   

Catcher Technology Co., Ltd.

     55,814  
154,738   

Cathay Financial Holding Co., Ltd.

     332,671  
27,392   

Chailease Holding Co., Ltd.

     241,649  
87,015   

Chang Hwa Commercial Bank Ltd.

     51,579  
31,000   

Cheng Shin Rubber Industry Co., Ltd.

     37,384  
281,000   

China Development Financial Holding Corp.

     165,485  
37,640   

China Life Insurance Co., Ltd.

     41,719  
239,000   

China Steel Corp.

     278,522  
99,000   

Chroma ATE Inc.

     660,528  
77,000   

Chunghwa Telecom Co., Ltd.

     311,959  
68,000   

Compal Electronics Inc.

     56,831  
385,880   

CTBC Financial Holding Co., Ltd.

     338,782  
266,000   

Delta Electronics Inc.

     2,459,063  
264,477   

E.Sun Financial Holding Co., Ltd.

     256,990  
4,100   

Eclat Textile Co., Ltd.

     85,620  
1,000   

eMemory Technology Inc.*

     77,777  
55,478   

Evergreen Marine Corp. Taiwan Ltd.

     244,411  
54,000   

Far Eastern New Century Corp.

     54,186  
35,000   

Far EasTone Telecommunications Co., Ltd.

     77,853  
7,920   

Feng TAY Enterprise Co., Ltd.

     57,979  
227,449   

First Financial Holding Co., Ltd.

     189,968  
74,000   

Formosa Chemicals & Fibre Corp.

     207,665  

 

111


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Taiwan - 12.6% - (continued)

 

28,000   

Formosa Petrochemical Corp.

   $ 95,756  
83,000   

Formosa Plastics Corp.

     305,605  
22,230   

Foxconn Technology Co., Ltd.

     51,932  
159,336   

Fubon Financial Holding Co., Ltd.

     419,242  
6,000   

Giant Manufacturing Co., Ltd.

     66,976  
181,000   

Globalwafers Co., Ltd.

     5,286,265  
4,554   

Hiwin Technologies Corp.

     46,589  
691,660   

Hon Hai Precision Industry Co., Ltd.

     2,573,067  
6,000   

Hotai Motor Co., Ltd.

     130,525  
191,487   

Hua Nan Financial Holdings Co., Ltd.

     139,328  
178,000   

Innolux Corp.

     111,569  
49,000   

Inventec Corp.

     45,461  
1,541   

Largan Precision Co., Ltd.

     109,889  
48,264   

Lite-On Technology Corp., ADR

     105,219  
111,000   

MediaTek Inc.

     4,019,089  
242,000   

Mega Financial Holding Co., Ltd.

     299,340  
13,000   

Micro-Star International Co., Ltd.

     76,072  
1,000   

momo.com Inc.

     63,668  
109,000   

Nan Ya Plastics Corp.

     322,437  
5,000   

Nan Ya Printed Circuit Board Corp.

     111,615  
29,000   

Nanya Technology Corp.

     77,661  
3,000   

Nien Made Enterprise Co., Ltd.

     41,148  
121,000   

Novatek Microelectronics Corp.

     2,004,555  
5,000   

Oneness Biotech Co., Ltd.*

     53,662  
43,000   

Pegatron Corp.

     103,117  
44,000   

Pou Chen Corp.

     50,728  
65,569   

Poya International Co., Ltd.

     1,155,209  
11,539   

President Chain Store Corp.

     111,971  
609,000   

Quanta Computer Inc.

     1,881,625  
10,000   

Realtek Semiconductor Corp.

     197,563  
24,852   

Ruentex Development Co., Ltd.

     57,130  
73,206   

Shanghai Commercial & Savings Bank Ltd.

     122,560  
252,693   

Shin Kong Financial Holding Co., Ltd.

     95,864  
222,846   

SinoPac Financial Holdings Co., Ltd.

     122,920  
35,700   

Synnex Technology International Corp.

     74,872  
236,068   

Taishin Financial Holding Co., Ltd.

     157,900  
109,980   

Taiwan Cement Corp.

     182,876  
177,267   

Taiwan Cooperative Financial Holding Co., Ltd.

     152,202  
36,000   

Taiwan High Speed Rail Corp.

     38,494  
29,000   

Taiwan Mobile Co., Ltd.

     101,743  
762,507   

Taiwan Semiconductor Manufacturing Co., Ltd.

     16,317,080  
133,488   

Taiwan Semiconductor Manufacturing Co., Ltd., ADR.

     15,638,119  
25,000   

Unimicron Technology Corp.

     202,024  
107,000   

Uni-President Enterprises Corp.

     251,610  
250,000   

United Microelectronics Corp.

     566,196  
19,000   

Vanguard International Semiconductor Corp.

     104,409  
1,000   

Voltronic Power Technology Corp.

     57,338  
13,200   

Wan Hai Lines Ltd.

     73,458  
8,000   

Win Semiconductors Corp.

     103,461  
59,000   

Winbond Electronics Corp.

     67,773  
51,361   

Wistron Corp.

     52,925  
59,000   

Wiwynn Corp.

     2,224,658  
25,760   

WPG Holdings Ltd.

     46,816  
8,188   

Yageo Corp.

     134,066  
37,000   

Yang Ming Marine Transport Corp.*

     151,326  
204,960   

Yuanta Financial Holding Co., Ltd.

     174,759  
14,000   

Zhen Ding Technology Holding Ltd.

     49,364  
     

 

 

 
  

Total Taiwan

     66,384,656  
     

 

 

 

Thailand - 0.8%

 

24,300   

Advanced Info Service PCL, NVDR.

     148,298  
91,100   

Airports of Thailand PCL, NVDR.

     162,058  

 

112


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

Thailand - 0.8% - (continued)

 

185,700   

Asset World Corp. PCL, NVDR*

   $ 23,580  
20,800   

B Grimm Power PCL, NVDR

     24,333  
51,800   

Bangkok Commercial Asset Mangement PCL, NVDR

     30,081  
191,100   

Bangkok Dusit Medical Services PCL, NVDR

     126,118  
110,600   

Bangkok Expressway & Metro PCL, NVDR

     27,707  
34,400   

Berli Jucker PCL, NVDR

     33,700  
98,100   

BTS Group Holdings PCL, NVDR

     26,715  
9,500   

Bumrungrad Hospital PCL, NVDR

     40,441  
6,000   

Carabao Group PCL,NVDR

     20,181  
37,000   

Central Pattana PCL, NVDR

     57,109  
33,616   

Central Retail Corp. PCL, NVDR

     31,870  
86,300   

Charoen Pokphand Foods PCL, NVDR(f)

     60,932  
127,100   

CP ALL PCL, NVDR

     219,870  
6,600   

Delta Electronics Thailand PCL, NVDR

     87,503  
4,600   

Electricity Generating PCL, NVDR

     22,604  
27,100   

Energy Absolute PCL, NVDR

     66,008  
17,400   

Global Power Synergy PCL, NVDR

     37,832  
64,600   

Gulf Energy Development PCL, NVDR

     75,042  
137,900   

Home Product Center PCL, NVDR

     55,665  
31,100   

Indorama Ventures PCL, NVDR

     36,150  
18,950   

Intouch Holdings PCL, NVDR

     40,899  
240,500   

Kasikornbank PCL

     946,219  
60,700   

Krung Thai Bank PCL, NVDR

     20,309  
22,200   

Krungthai Card PCL, NVDR

     35,250  
137,900   

Land and Houses PCL, NVDR

     34,077  
60,300   

Minor International PCL, NVDR*

     48,961  
19,800   

Muangthai Capital PCL, NVDR

     32,905  
22,800   

Osotspa PCL, NVDR

     21,611  
28,100   

PTT Exploration & Production PCL, NVDR

     94,069  
40,700   

PTT Global Chemical PCL, NVDR

     67,800  
60,000   

PTT Oil & Retail Business PCL, NVDR

     44,502  
212,500   

PTT PCL, NVDR

     223,623  
21,400   

Ratch Group PCL, NVDR

     27,415  
24,300   

SCG Packaging PCL, NVDR

     44,422  
80,100   

Siam Cement PCL, Class Registered Shares

     895,543  
16,900   

Siam Cement PCL, NVDR

     186,522  
20,000   

Siam Commercial Bank PCL, NVDR

     72,188  
21,600   

Sri Trang Gloves Thailand PCL, NVDR(d)

     19,212  
20,800   

Srisawad Corp. PCL, NVDR

     37,023  
24,300   

Thai Oil PCL, NVDR

     33,532  
51,000   

Thai Union Group PCL, NVDR

     29,803  
336,600   

True Corp. PCL, NVDR

     45,163  
     

 

 

 
  

Total Thailand

     4,414,845  
     

 

 

 

Turkey - 0.5%

 

123,590   

Agesa Hayat ve Emeklilik AS

     178,367  
61,436   

Akbank TAS

     28,989  
17,844   

Aselsan Elektronik Sanayi Ve Ticaret AS

     28,117  
11,261   

BIM Birlesik Magazalar AS

     57,039  
28,391   

Eregli Demir ve Celik Fabrikalari TAS

     46,705  
601   

Ford Otomotiv Sanayi AS

     10,744  
10,393   

KOC Holding AS

     21,476  
411,440   

MLP Saglik Hizmetleri AS, (Restricted, cost - $828,538, acquired 4/15/20), Class B Shares*(a)(b)

     968,124  
458,820   

Sok Marketler Ticaret AS

     477,388  
113,020   

Tofas Turk Otomobil Fabrikasi AS

     714,565  
25,061   

Turkcell Iletisim Hizmetleri AS

     34,822  
49,356   

Turkiye Garanti Bankasi AS

     40,762  
18,380   

Turkiye Is Bankasi AS, Class C Shares

     8,741  
3,542   

Turkiye Petrol Rafinerileri AS*

     39,131  
36,548   

Turkiye Sise ve Cam Fabrikalari AS

     33,313  
     

 

 

 
  

Total Turkey

     2,688,283  
     

 

 

 

 

113


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units    Security    Value  

United Arab Emirates - 0.3%

 

65,895   

Abu Dhabi Commercial Bank PJSC

   $ 152,263  
20,043   

Abu Dhabi Islamic Bank PJSC

     35,357  
43,575   

Abu Dhabi National Oil Co. for Distribution PJSC

     49,019  
87,516   

Aldar Properties PJSC

     96,198  
52,710   

Dubai Islamic Bank PJSC

     73,963  
68,151   

Emaar Properties PJSC

     86,852  
53,119   

Emirates NBD Bank PJSC.

     191,035  
63,768   

Emirates Telecommunications Group Co. PJSC.

     555,772  
92,248   

First Abu Dhabi Bank PJSC

     483,003  
     

 

 

 
  

Total United Arab Emirates

     1,723,462  
     

 

 

 

United Kingdom - 0.9%

 

31,276   

Anglo American PLC.

     1,145,457  
588,959   

Helios Towers PLC*

     1,284,219  
29,777   

Mondi PLC.

     678,571  
31,181   

Unilever PLC

     1,607,067  
     

 

 

 
  

Total United Kingdom

     4,715,314  
     

 

 

 

United States - 1.0%

 

8,252   

EPAM Systems Inc.*

     5,021,755  
773   

Legend Biotech Corp., ADR*

     39,817  
2,000   

Parade Technologies Ltd.

     154,108  
     

 

 

 
  

Total United States

     5,215,680  
     

 

 

 
  

TOTAL COMMON STOCKS

(Cost - $396,353,361)

     499,462,475  
     

 

 

 

PREFERRED STOCKS - 1.2%

 

Brazil - 0.4%

 

4,378   

Alpargatas SA, Class Preferred Shares

     30,436  
98,464   

Banco Bradesco SA, Class Preferred Shares

     348,649  
4,360   

Bradespar SA, Class Preferred Shares

     38,576  
3,867   

Braskem SA, Class Preferred A Shares*

     34,421  
3,015   

Centrais Eletricas Brasileiras SA, Class Preferred B Shares

     17,185  
23,342   

Cia Energetica de Minas Gerais, Class Preferred Shares

     54,547  
25,282   

Gerdau SA, Class Preferred Shares

     116,003  
101,902   

Itau Unibanco Holding SA, Class Preferred Shares

     405,586  
94,262   

Itausa SA, Class Preferred Shares

     162,107  
99,359   

Petroleo Brasileiro SA, Class Preferred Shares

     520,040  
265,000   

Raizen SA, Class Preferred Shares

     257,323  
10,499   

Telefonica Brasil SA, Class Preferred Shares

     93,901  
     

 

 

 
  

Total Brazil

     2,078,774  
     

 

 

 

Chile - 0.0%

 

2,885   

Sociedad Quimica y Minera de Chile SA, Class Preferred B Shares

     181,669  
     

 

 

 

Colombia - 0.0%

 

10,030   

Bancolombia SA, Class Preferred Shares

     81,345  
     

 

 

 

Russia - 0.0%

 

115,672   

Surgutneftegas PJSC, Class Preferred Shares

     58,627  
     

 

 

 

South Korea - 0.8%

 

715   

Hyundai Motor Co., Class Preferred 2nd Shares

     55,822  
565   

Hyundai Motor Co., Class Preferred Shares

     43,177  
149   

LG Chem Ltd., Class Preferred Shares

     40,700  
55   

LG Household & Health Care Ltd., Class Preferred Shares

     27,642  
72,011   

Samsung Electronics Co., Ltd., Class Preferred Shares

     3,908,615  
     

 

 

 
  

Total South Korea

     4,075,956  
     

 

 

 
  

TOTAL PREFERRED STOCKS

(Cost - $6,213,788)

     6,476,371  
     

 

 

 

WARRANTS - 0.0%

 

Thailand - 0.0%

 

9,810   

BTS Group Holdings PCL, expires 11/7/2024*

     148  
19,620   

BTS Group Holdings PCL, expires 11/20/2026*#(e)

     107  
     

 

 

 
  

TOTAL WARRANTS

(Cost - $1)

     255  
     

 

 

 

 

114


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Shares/Units     Security    Value  
 

RIGHTS - 0.0%

 
 

China - 0.0%

 
  4,200      CIFI Holdings Group Co., Ltd.*(e)    $ 135  
    

 

 

 
 

Thailand - 0.0%

 
  1,232      Charoen Pokphand Foods PCL, NVDR*(e)       
  8,473      CP ALL PCL, NVDR*(e)(f)       
    

 

 

 
  Total Thailand       
    

 

 

 
 

TOTAL RIGHTS

(Cost - $0)

     135  
    

 

 

 
 

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $402,567,150)

     505,939,236  
    

 

 

 
Face
Amount†
              
 

SHORT-TERM INVESTMENTS (g) - 4.4%

 
 

MONEY MARKET FUND - 0.5%

 
  $ 2,600,973      Invesco STIT - Government & Agency Portfolio, 0.026%, Institutional Class(h)
(Cost - $2,600,973)
     2,600,973  
    

 

 

 
 

TIME DEPOSITS - 3.9%

 
  BBH - Grand Cayman:   
  SGD   

0.005% due 12/1/21

     1  
  49  ZAR   

3.300% due 12/1/21

     3  
  BNP Paribas - Paris:   
  23,015  EUR   

(0.790)% due 12/1/21

     26,107  
  15,322,309     

0.005% due 12/1/21

     15,322,309  
  1,126,830  ZAR   

3.300% due 12/1/21

     70,872  
  52,179      Citibank - New York, 0.005% due 12/1/21      52,179  
  3,025,375      JPMorgan Chase & Co. - New York, 0.005% due 12/1/21      3,025,375  
  2,207,415      Royal Bank of Canada - Toronto, 0.005% due 12/1/21      2,207,415  
  1,165,176  HKD    Societe Generale SA - Paris, 0.005% due 12/1/21      149,426  
  4,162  EUR    Sumitomo - Tokyo, (0.790)% due 12/1/21      4,722  
  Sumitomo Mitsui Banking Corp. - Tokyo:   
  GBP   

0.005% due 12/1/21

     12  
  8,771     

0.005% due 12/1/21

     8,771  
    

 

 

 
 

TOTAL TIME DEPOSITS

(Cost - $20,867,192)

     20,867,192  
    

 

 

 
 

TOTAL SHORT-TERM INVESTMENTS

(Cost - $23,468,165)

     23,468,165  
    

 

 

 
 

TOTAL INVESTMENTS - 100.1%

(Cost - $426,035,315)

     529,407,401  
    

 

 

 
  Liabilities in Excess of Other Assets - (0.1)%      (727,402
    

 

 

 
  TOTAL NET ASSETS - 100.0%    $ 528,679,999  
    

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

*

Non-income producing security.

(a)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $27,343,137 and represents 5.2% of net assets.

(b)

The aggregate value of restricted securities (excluding 144A holdings) at November 30, 2021, amounts to $28,019,795 and represents 5.3% of net assets.

(c)

Security trades on the Hong Kong exchange.

(d)

All or a portion of this security is on loan (See Note 1).

(e)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

(f)

Illiquid security.

(g)

Inclusive of all short-term holdings, including investments of collateral received from securities lending transactions. Excluding such collateral, the percentage of portfolio holdings would be 3.9%.

(h)

Represents investments of collateral received from securities lending transactions.

#

Security that used significant unobservable inputs to determine fair value.

At November 30, 2021, for Emerging Markets Equity Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

    

Gross

Unrealized

(Depreciation)

   

Net

Unrealized

Appreciation

 

Emerging Markets Equity Fund

   $  426,035,315    $   145,024,585      $   (41,729,631   $   103,294,954  

Abbreviations used in this schedule:

ADR      American Depositary Receipts
GDR      Global Depositary Receipt
NVDR      Non Voting Depository Receipt
PCL      Public Company Limited
PLC      Public Limited Company
REIT      Real Estate Investment Trust

 

115


Schedules of Investments

(unaudited) (continued)

 

Emerging Markets Equity Fund

 

Summary of Investments by Security Sector^

      

Information Technology

  

Semiconductors & Semiconductor Equipment

     11.3

Technology Hardware, Storage & Peripherals

     6.2  

Electronic Equipment, Instruments & Components

     3.2  

Other

     2.6  

Financials

  

Banks

     16.0  

Insurance

     2.8  

Consumer Finance

     0.9  

Other

     1.1  

Consumer Discretionary

     14.6  

Communication Services

     10.2  

Materials

     6.7  

Energy

     5.9  

Industrials

     4.4  

Consumer Staples

     3.9  

Health Care

     3.6  

Real Estate

     1.5  

Utilities

     1.1  

Short-Term Investments

     4.0  
  

 

 

 
     100.0 %+ 
  

 

 

 

 

^

As a percentage of total investments.

+

Does not reflect investments of collateral received from securities lending transactions.

At November 30, 2021, Emerging Markets Equity Fund had open exchange-traded futures contracts as described below.

The unrealized depreciation on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
     Market
Value
     Unrealized
Depreciation
 

Contracts to Buy:

              

MSCI Emerging Markets E-mini Index December Futures

     22        12/21      $ 1,410,662      $ 1,333,530      $ (77,132
              

 

 

 

At November 30, 2021, Emerging Markets Equity Fund had deposited cash of $81,994 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

Currency Abbreviations used in this schedule:

EUR      Euro
GBP      British Pound
HKD      Hong Kong Dollar
SGD      Singapore Dollar
ZAR      South African Rand

 

116


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
  

                    

   Security    Value  

U.S. GOVERNMENT AGENCIES & OBLIGATIONS - 32.0%

 

U.S. GOVERNMENT AGENCIES - 0.7%

 

     

Federal Home Loan Banks:

  
$        4,255,000      

1.040% due 6/14/24

   $ 4,256,235  
4,250,000      

1.200% due 12/23/24

     4,255,338  
345,000      

4.000% due 9/1/28

     402,634  
     

Federal National Mortgage Association (FNMA), Principal Strip:

  
575,000      

zero coupon, due 1/15/30(a)

     506,416  
595,000      

zero coupon, due 5/15/30(a)

     522,270  
        

 

 

 
     

Total U.S. GOVERNMENT AGENCIES

     9,942,893  
        

 

 

 

U.S. GOVERNMENT OBLIGATIONS - 31.3%

 

      U.S. Treasury Bonds:   
2,835,000      

4.375% due 2/15/38

     3,969,775  
1,500,000      

1.125% due 8/15/40

     1,327,148  
1,245,000      

1.375% due 11/15/40

     1,148,902  
7,670,000      

1.875% due 2/15/41

     7,699,661  
4,913,000      

2.250% due 5/15/41

     5,233,880  
8,515,000      

1.750% due 8/15/41

     8,364,657  
1,835,000      

2.000% due 11/15/41

     1,882,022  
2,270,000      

3.125% due 11/15/41

     2,766,119  
100,000      

3.125% due 2/15/43

     122,293  
502,500      

3.625% due 8/15/43

     662,063  
11,510,000      

3.750% due 11/15/43

     15,457,570  
1,095,000      

3.625% due 2/15/44

     1,448,138  
415,000      

3.125% due 8/15/44

     512,574  
1,375,000      

3.000% due 11/15/44

     1,669,336  
245,000      

2.875% due 8/15/45

     293,636  
1,412,500      

3.000% due 11/15/45

     1,732,078  
6,490,000      

2.500% due 2/15/46

     7,327,109  
1,110,000      

2.875% due 11/15/46

     1,344,574  
738,000      

3.000% due 2/15/47

     914,716  
500,000      

2.750% due 8/15/47

     596,289  
2,120,000      

3.000% due 2/15/48

     2,652,816  
595,000      

3.375% due 11/15/48

     798,648  
950,000      

2.250% due 8/15/49

     1,045,668  
4,480,000      

2.000% due 2/15/50

     4,686,675  
10,870,000      

1.250% due 5/15/50

     9,521,016  
9,885,000      

1.375% due 8/15/50

     8,934,727  
4,905,000      

1.625% due 11/15/50

     4,709,566  
5,363,000      

1.875% due 2/15/51

     5,459,576  
3,874,000      

2.375% due 5/15/51

     4,399,411  
7,135,000      

2.000% due 8/15/51

     7,481,716  
25,195,000      

1.875% due 11/15/51

     25,722,520  

964,053

     

U.S. Treasury Inflation Indexed Bonds, 0.125% due 2/15/51

     1,159,131  

2,020,000

     

U.S. Treasury Strip Principal, zero coupon, due 5/15/49(a)

     1,242,875  
     

U.S. Treasury Notes:

  
530,000      

0.125% due 11/30/22

     529,447  
5,655,000      

0.125% due 3/31/23

     5,639,537  
1,300,000      

0.125% due 6/30/23

     1,294,643  
620,000      

0.125% due 7/15/23

     617,215  
725,000      

0.125% due 8/15/23

     721,233  
13,765,000      

0.250% due 9/30/23

     13,712,575  

 

117


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
   Rating††    Security    Value  

U.S. GOVERNMENT AGENCIES & OBLIGATIONS - 32.0% - (continued)

  

U.S. GOVERNMENT OBLIGATIONS - 31.3% - (continued)

  
$        5,790,000      

0.125% due 10/15/23

   $ 5,751,777  
29,035,000      

0.375% due 10/31/23

     28,974,889  
40,000      

0.250% due 11/15/23

     39,795  
23,490,000      

0.500% due 11/30/23

     23,478,989  
3,015,000      

0.125% due 12/15/23

     2,989,208  
5,940,000      

0.125% due 2/15/24

     5,879,208  
4,100,000      

0.250% due 3/15/24

     4,064,926  
11,029,000      

0.250% due 5/15/24

     10,913,971  
2,930,000      

0.750% due 11/15/24

     2,925,079  
3,900,000      

0.250% due 5/31/25

     3,805,852  
3,060,000      

0.250% due 6/30/25

     2,983,380  
375,000      

0.250% due 9/30/25

     364,395  
2,840,000      

0.250% due 10/31/25

     2,755,133  
1,920,000      

0.375% due 11/30/25

     1,869,150  
620,000      

0.375% due 12/31/25

     603,071  
945,000      

0.375% due 1/31/26

     918,016  
4,214,000      

0.500% due 2/28/26

     4,112,271  
9,280,000      

0.750% due 3/31/26

     9,146,962  
20,346,000      

0.750% due 4/30/26

     20,039,221  
8,427,000      

0.750% due 5/31/26

     8,295,382  
20,000      

0.875% due 6/30/26

     19,787  
1,430,000      

0.625% due 7/31/26

     1,397,546  
5,892,000      

0.750% due 8/31/26

     5,789,350  
11,055,000      

0.875% due 9/30/26

     10,919,835  
24,250,000      

1.125% due 10/31/26

     24,231,055  
25,075,000      

1.250% due 11/30/26

     25,203,314  
44,300      

0.625% due 12/31/27

     42,609  
7,910,000      

0.750% due 1/31/28

     7,657,251  
223,000      

1.125% due 2/29/28

     220,927  
3,600,000      

1.250% due 4/30/28

     3,586,359  
2,920,000      

1.250% due 5/31/28

     2,907,681  
1,590,000      

1.250% due 6/30/28

     1,581,677  
3,110,000      

1.000% due 7/31/28

     3,042,030  
3,145,000      

1.125% due 8/31/28

     3,099,176  
6,320,000      

1.250% due 9/30/28

     6,277,044  
896,000      

1.375% due 10/31/28

     897,190  
1,660,000      

1.625% due 5/15/31

     1,692,552  
2,441,000      

1.250% due 8/15/31

     2,402,287  
14,562,000      

1.375% due 11/15/31

     14,475,538  
        

 

 

 
     

Total U.S. GOVERNMENT OBLIGATIONS

     420,155,418  
        

 

 

 
     

TOTAL U.S. GOVERNMENT AGENCIES & OBLIGATIONS

(Cost - $425,513,407)

     430,098,311  
        

 

 

 

CORPORATE BONDS & NOTES - 29.8%

 

Aerospace/Defense - 0.9%

 

     

BAE Systems Holdings Inc., Company Guaranteed Notes:

  
205,000   

BBB

  

3.800% due 10/7/24(b)

     218,746  
776,000   

BBB

  

3.850% due 12/15/25(b)

     837,936  
     

Boeing Co. (The), Senior Unsecured Notes:

  
530,000   

BBB-

  

1.433% due 2/4/24

     530,074  
990,000   

BBB-

  

4.875% due 5/1/25

     1,086,088  
210,000   

BBB-

  

2.196% due 2/4/26

     209,731  
50,000   

BBB-

  

3.100% due 5/1/26

     52,091  
70,000   

BBB-

  

2.700% due 2/1/27

     71,430  

 

118


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face

Amount/Units†

   Rating††    Security    Value  

CORPORATE BONDS & NOTES - 29.8% - (continued)

 

Aerospace/Defense - 0.9% - (continued)

 

$        646,000   

BBB-

  

2.800% due 3/1/27

   $ 661,013  
260,000   

BBB-

  

3.200% due 3/1/29

     269,008  
250,000   

BBB-

  

5.150% due 5/1/30

     290,375  
440,000   

BBB-

  

3.250% due 2/1/35

     440,371  
40,000   

BBB-

  

3.550% due 3/1/38

     40,722  
210,000   

BBB-

  

5.705% due 5/1/40

     267,582  
140,000   

BBB-

  

3.750% due 2/1/50

     145,520  
490,000   

BBB-

  

5.805% due 5/1/50

     665,746  
10,000   

BBB-

  

5.930% due 5/1/60

     13,999  
     

General Dynamics Corp., Company Guaranteed Notes:

  
121,000   

A-

  

3.500% due 4/1/27

     131,890  
607,000   

A-

  

3.750% due 5/15/28

     677,373  
10,000   

A-

  

4.250% due 4/1/40

     12,230  
70,000   

A-

  

4.250% due 4/1/50

     90,881  
141,000   

BBB

  

L3 Technologies Inc., Company Guaranteed Notes, 3.850% due 12/15/26

     153,348  
     

L3 Harris Technologies Inc., Senior Unsecured Notes:

  
489,000   

BBB

  

3.850% due 12/15/26

     533,013  
934,000   

BBB

  

4.400% due 6/15/28

     1,056,929  
30,000   

BBB

  

5.054% due 4/27/45

     39,837  
     

Lockheed Martin Corp., Senior Unsecured Notes:

  
30,000   

A-

  

3.100% due 1/15/23

     30,737  
170,000   

A-

  

3.550% due 1/15/26

     184,178  
40,000   

A-

  

4.500% due 5/15/36

     49,187  
60,000   

A-

  

4.070% due 12/15/42

     71,840  
246,000   

A-

  

3.800% due 3/1/45

     287,169  
     

Northrop Grumman Corp., Senior Unsecured Notes:

  
251,000   

BBB+

  

2.930% due 1/15/25

     262,413  
340,000   

BBB+

  

3.250% due 1/15/28

     363,946  
29,000   

BBB+

  

4.750% due 6/1/43

     36,972  
194,000   

BBB+

  

4.030% due 10/15/47

     233,666  
291,000   

BBB+

  

5.250% due 5/1/50

     413,764  
     

Raytheon Co., Senior Unsecured Notes:

  
40,000   

A-

  

7.200% due 8/15/27

     50,637  
24,000   

A-

  

7.000% due 11/1/28

     30,937  
55,000   

A-

  

4.200% due 12/15/44

     64,498  
     

Raytheon Technologies Corp., Senior Unsecured Notes:

  
70,000   

A-

  

3.150% due 12/15/24

     73,530  
120,000   

A-

  

3.950% due 8/16/25

     130,244  
776,000   

A-

  

4.125% due 11/16/28

     872,913  
140,000   

A-

  

2.250% due 7/1/30

     139,962  
160,000   

A-

  

4.500% due 6/1/42

     197,365  
387,000   

A-

  

3.750% due 11/1/46

     439,539  
65,000   

A-

  

2.820% due 9/1/51

     63,643  
        

 

 

 
      Total Aerospace/Defense      12,493,073  
        

 

 

 

Agriculture -0.6%

  
     

Altria Group Inc., Company Guaranteed Notes:

  
40,000   

BBB

  

2.350% due 5/6/25

     41,143  
130,000   

BBB

  

4.400% due 2/14/26

     142,786  
600,000   

BBB

  

2.450% due 2/4/32

     565,326  
929,000   

BBB

  

5.800% due 2/14/39

     1,123,622  
80,000   

BBB

  

3.875% due 9/16/46

     78,480  
300,000   

BBB

  

5.950% due 2/14/49

     381,872  
82,000   

BBB

  

6.200% due 2/14/59

     107,215  

 

119


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face

Amount/Units†

   Rating††    Security    Value  

CORPORATE BONDS & NOTES - 29.8% - (continued)

  

Agriculture - 0.6% - (continued)

  
     

BAT Capital Corp., Company Guaranteed Notes:

  
$        332,000   

BBB+

  

3.215% due 9/6/26

   $ 345,274  
500,000   

BBB+

  

3.557% due 8/15/27

     524,399  
1,280,000   

BBB+

  

4.540% due 8/15/47

     1,345,110  
150,000   

BBB+

  

3.984% due 9/25/50

     147,391  
70,000   

BBB+

  

BAT International Finance PLC, Company Guaranteed Notes, 3.950% due 6/15/25(b)

     75,167  
150,000   

A

  

Cargill Inc., Senior Unsecured Notes, 1.375% due 7/23/23(b)

     151,660  
     

Imperial Brands Finance PLC, Company Guaranteed Notes:

  
205,000   

BBB

  

3.500% due 2/11/23(b)

     209,699  
400,000   

BBB

  

3.125% due 7/26/24(b)

     415,109  
205,000   

BBB

  

3.500% due 7/26/26(b)

     216,937  
     

Philip Morris International Inc., Senior Unsecured Notes:

  
110,000   

A

  

2.500% due 11/2/22

     111,775  
100,000   

A

  

1.125% due 5/1/23

     100,673  
100,000   

A

  

2.100% due 5/1/30

     98,564  
60,000   

A

  

4.500% due 3/20/42

     69,173  
961,000   

BBB+

  

Reynolds American Inc., Company Guaranteed Notes, 5.850% due 8/15/45

     1,169,897  
        

 

 

 
      Total Agriculture      7,421,272  
        

 

 

 

Airlines - 0.3%

 

47,398   

A3(c)

  

Air Canada Class AA Pass-Through Trust, Pass-Thru Certificates, 3.300% due 1/15/30(b)

     48,951  
37,713   

A-

  

American Airlines Class AA Pass-Through Trust, Series 2015-2, Pass-Thru Certificates, 3.600% due 9/22/27

     39,151  
304,749   

A-

  

American Airlines Class AA Pass-Through Trust, Series 2016-1, Pass-Thru Certificates, 3.575% due 1/15/28

     319,153  
44,072   

A-

  

American Airlines Class AA Pass-Through Trust, Series 2016-2, Pass-Thru Certificates, 3.200% due 6/15/28

     44,871  
89,532   

A

  

American Airlines Class AA Pass-Through Trust, Series 2016-3, Pass-Thru Certificates, 3.000% due 10/15/28

     91,112  
37,500   

Baa1(c)

  

American Airlines Class AA Pass-Through Trust, Series 2017-1, Pass-Thru Certificates, 3.650% due 2/15/29

     39,722  
107,599   

B

  

American Airlines Class B Pass-Through Trust, Series 2015-2, Pass-Thru Certificates, 4.400% due 9/22/23

     106,331  
72,546   

B

  

American Airlines Class B Pass-Through Trust, Series 2016-1, Pass-Thru Certificates, 5.250% due 1/15/24

     72,183  
59,500   

B

  

American Airlines Class B Pass-Through Trust, Series 2016-2, Pass-Thru Certificates, 4.375% due 6/15/24(b)

     58,309  
646   

B

  

American Airlines Class B Pass-Through Trust, Series 2016-3, Pass-Thru Certificates, 3.750% due 10/15/25

     628  
46,662   

Ba2(c)

  

American Airlines Class B Pass-Through Trust, Series 2017-1, Pass-Thru Certificates, 4.950% due 2/15/25

     46,694  
     

Delta Air Lines Inc.:

  
970,000   

BBB-

  

Senior Secured Notes, 7.000% due 5/1/25(b)

     1,115,529  
     

Senior Unsecured Notes:

  
120,000   

B+

  

3.625% due 3/15/22

     120,155  
50,000   

B+

  

3.800% due 4/19/23

     50,984  
200,000   

B+

  

2.900% due 10/28/24

     201,760  
210,000   

B+

  

7.375% due 1/15/26

     243,226  
     

Delta Air Lines Inc./SkyMiles IP Ltd., Senior Secured Notes:

  
230,000   

Baa1(c)

  

4.500% due 10/20/25(b)

     241,149  
120,000   

Baa1(c)

  

4.750% due 10/20/28(b)

     131,681  
170,000   

Baa3(c)

  

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd., Senior Secured Notes, 6.500% due 6/20/27(b)

     181,778  
9,278   

BB

  

Northwest Airlines Inc. Class A-1 Pass-Through Trust, Pass-Thru Certificates, 7.041% due 4/1/22

     9,412  
95,743   

Ba2(c)

  

Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd., Senior Secured Notes, 8.000% due 9/20/25(b)

     104,827  
     

United Airlines Class AA Pass-Through Trust, Pass-Thru Certificates:

  
31,846   

A+

  

3.450% due 12/1/27

     33,397  
3,945   

A2(c)

  

3.100% due 7/7/28

     4,099  
41,793   

A3(c)

  

2.875% due 10/7/28

     42,414  
17,174   

A2(c)

  

3.500% due 3/1/30

     18,195  
53,265   

A2(c)

  

4.150% due 8/25/31

     58,967  
79,524   

A2(c)

  

2.700% due 5/1/32

     80,655  
     

United Airlines Class B Pass-Through Trust, Pass-Thru Certificates:

  
26,761   

BB

  

4.750% due 4/11/22

     26,984  
39,576   

BB

  

4.625% due 9/3/22

     40,408  

 

120


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Airlines - 0.3% - (continued)

 
  $        3,944      Ba1(c)   

3.650% due 10/7/25

   $ 3,952  
  80,216      Baa3(c)   

3.500% due 5/1/28

     79,849  
  790,000      BB-   

United AirLines Inc., Senior Secured Notes, 4.625% due 4/15/29(b)

     786,824  
        

 

 

 
      Total Airlines          4,443,350  
        

 

 

 
 

Apparel - 0.1%

 
     

NIKE Inc., Senior Unsecured Notes:

  
  40,000      AA-   

2.400% due 3/27/25

     41,673  
  70,000      AA-   

2.750% due 3/27/27

     74,233  
  140,000      AA-   

2.850% due 3/27/30

     149,112  
  100,000      AA-   

3.250% due 3/27/40

     110,191  
  220,000      AA-   

3.375% due 3/27/50

     252,773  
        

 

 

 
      Total Apparel      627,982  
        

 

 

 
 

Auto Manufacturers - 0.7%

 
     

BMW US Capital LLC, Company Guaranteed Notes:

  
  36,000      A   

2.550% due 4/1/31(b)

     36,994  
  45,000      A   

1.950% due 8/12/31(b)

     43,970  
     

Daimler Finance North America LLC, Company Guaranteed Notes:

  
  340,000      A-   

2.125% due 3/10/25(b)

     348,388  
  300,000      A-   

3.500% due 8/3/25(b)

     322,158  
     

Ford Motor Co., Senior Unsecured Notes:

  
  40,000      BB+   

8.500% due 4/21/23

     44,100  
  260,000      BB+   

3.250% due 2/12/32

     260,868  
  30,000      BB+   

4.750% due 1/15/43

     32,158  
     

Ford Motor Credit Co. LLC, Senior Unsecured Notes:

  
  470,000      BB+   

3.339% due 3/28/22

     472,597  
  1,250,000      BB+   

1.221% (3-Month USD-LIBOR + 1.080%) due 8/3/22(d)

     1,248,836  
  460,000      BB+   

2.900% due 2/16/28

     453,181  
  200,000      BB+   

5.113% due 5/3/29

     221,710  
  200,000      BB+   

4.000% due 11/13/30

     210,411  
     

General Motors Co., Senior Unsecured Notes:

  
  70,000      BBB   

5.400% due 10/2/23

     75,474  
  290,000      BBB   

6.125% due 10/1/25

     334,894  
  250,000      BBB   

6.250% due 10/2/43

     341,193  
  455,000      BBB   

5.200% due 4/1/45

     564,576  
     

General Motors Financial Co., Inc.:

  
     

Company Guaranteed Notes:

  
  95,000      BBB   

3.450% due 4/10/22

     95,522  
  64,000      BBB   

4.000% due 1/15/25

     68,199  
  100,000      BBB   

4.350% due 1/17/27

     109,674  
     

Senior Unsecured Notes:

  
  646,000      BBB   

2.750% due 6/20/25

     668,279  
  137,000      BBB   

2.400% due 10/15/28

     135,845  
     

Hyundai Capital America, Senior Unsecured Notes:

  
  250,000      BBB+   

3.950% due 2/1/22(b)

     251,330  
  412,000      BBB+   

2.375% due 2/10/23(b)

     419,076  
     

Hyundai Capital Services Inc., Senior Unsecured Notes:

  
  200,000      BBB+   

3.000% due 8/29/22(b)

     203,085  
  200,000      BBB+   

3.750% due 3/5/23(b)

     206,926  
  54,000      BBB-   

Nissan Motor Acceptance Co. LLC, Senior Unsecured Notes, 2.750% due 3/9/28(b)

     54,026  
     

Nissan Motor Co., Ltd., Senior Unsecured Notes:

  
  250,000      BBB-   

3.043% due 9/15/23(b)

     257,674  
  600,000      BBB-   

3.522% due 9/17/25(b)

     629,684  
  300,000      BBB-   

4.345% due 9/17/27(b)

     323,737  

 

121


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Auto Manufacturers - 0.7% - (continued)

 
  $        245,000      BBB-   

4.810% due 9/17/30(b)

   $ 274,258  
     

Toyota Motor Credit Corp., Senior Unsecured Notes:

  
  3,000      A+   

3.450% due 9/20/23

     3,145  
  257,000      A+   

3.000% due 4/1/25

     271,169  
        

 

 

 
      Total Auto Manufacturers      8,983,137  
        

 

 

 
 

Banks - 8.5%

 
  150,000      BBB   

Banco Inbursa SA Institucion de Banca Multiple Grupo Financiero Inbursa, Senior Unsecured Notes, 4.125% due 6/6/24(b)

     156,582  
  200,000      BBB   

Banco Nacional de Panama, Senior Unsecured Notes, 2.500% due 8/11/30(b)

     186,814  
     

Banco Santander SA, Senior Unsecured Notes:

  
  200,000      A-   

3.848% due 4/12/23

     207,768  
  400,000      A   

2.706% due 6/27/24

     415,079  
  600,000      A-   

2.746% due 5/28/25

     621,115  
     

Bank of America Corp.:

  
     

Senior Unsecured Notes:

  
  490,000      A-   

4.125% due 1/22/24

     522,431  
  902,000      A-   

3.550% (3-Month USD-LIBOR + 0.780%) due 3/5/24(d)

     932,147  
  280,000      A-   

4.000% due 4/1/24

     298,538  
  210,000      A-   

3.500% due 4/19/26

     226,408  
  2,272,000      A-   

1.319% (SOFR + 1.150%) due 6/19/26(d)

     2,253,725  
  213,000      A-   

1.197% (SOFR + 1.010%) due 10/24/26(d)

     209,021  
  740,000      A-   

1.658% (SOFR + 0.910%) due 3/11/27(d)

     735,073  
  133,000      A-   

1.734% (SOFR + 0.960%) due 7/22/27(d)

     131,935  
  802,000      A-   

3.824% (3-Month USD-LIBOR + 1.575%) due 1/20/28(d)

     870,453  
  50,000      A-   

3.593% (3-Month USD-LIBOR + 1.370%) due 7/21/28(d)

     53,833  
  435,000      A-   

3.419% (3-Month USD-LIBOR + 1.040%) due 12/20/28(d)

     464,212  
  934,000      A-   

3.970% (3-Month USD-LIBOR + 1.070%) due 3/5/29(d)

     1,027,623  
  3,215,000      A-   

2.087% (SOFR + 1.060%) due 6/14/29(d)

     3,175,948  
  1,302,000      A-   

4.271% (3-Month USD-LIBOR + 1.310%) due 7/23/29(d)

     1,461,534  
  875,000      A-   

3.974% (3-Month USD-LIBOR + 1.210%) due 2/7/30(d)

     968,340  
  488,000      A-   

2.884% (3-Month USD-LIBOR + 1.190%) due 10/22/30(d)

     506,214  
  268,000      A-   

2.496% (3-Month USD-LIBOR + 0.990%) due 2/13/31(d)

     268,630  
  1,268,000      A-   

2.592% (SOFR + 2.150%) due 4/29/31(d)

     1,283,566  
  172,000      A-   

1.898% (SOFR + 1.530%) due 7/23/31(d)

     164,588  
  106,000      A-   

1.922% (SOFR + 1.370%) due 10/24/31(d)

     101,256  
  690,000      A-   

2.687% (SOFR + 1.320%) due 4/22/32(d)

     699,789  
  280,000      A-   

2.572% (SOFR + 1.210%) due 10/20/32(d)

     281,962  
  575,000      A-   

4.078% (3-Month USD-LIBOR + 1.320%) due 4/23/40(d)

     665,677  
  240,000      A-   

5.000% due 1/21/44

     315,138  
  710,000      A-   

4.330% (3-Month USD-LIBOR + 1.520%) due 3/15/50(d)

     891,099  
  310,000      A-   

4.083% (3-Month USD-LIBOR + 3.150%) due 3/20/51(d)

     379,046  
     

Subordinated Notes:

  
  600,000      BBB+   

4.200% due 8/26/24

     645,426  
  1,284,000      BBB+   

4.000% due 1/22/25

     1,374,963  
  383,000      BBB+   

3.950% due 4/21/25

     411,415  
  30,000      BBB+   

7.250% due 10/15/25

     35,867  
  196,000      BBB+   

4.450% due 3/3/26

     215,855  
  20,000      BBB+   

4.250% due 10/22/26

     22,073  
     

Bank of Montreal:

  
  300,000      A-   

Senior Unsecured Notes, 1.850% due 5/1/25

     305,576  
  50,000      BBB+   

Subordinated Notes, 3.803% (5-Year USD Swap Rate + 1.432%) due 12/15/32(d)

     53,845  
     

Bank of New York Mellon Corp. (The), Senior Unsecured Notes:

  
  90,000      A   

1.600% due 4/24/25

     91,007  
  115,000      A   

3.250% due 5/16/27

     124,225  

 

122


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Banks - 8.5% - (continued)

 
  $        24,000      A   

3.400% due 1/29/28

   $ 26,196  
  170,000      A-   

Bank of Nova Scotia (The), Senior Unsecured Notes, 1.300% due 6/11/25

     169,676  
  200,000      A   

Barclays Bank PLC, Senior Unsecured Notes, 1.700% due 5/12/22

     200,882  
      Barclays PLC:   
     

Senior Unsecured Notes:

  
  333,000      BBB   

3.684% due 1/10/23

     334,065  
  686,000      BBB   

4.610% (3-Month USD-LIBOR + 1.400%) due 2/15/23(d)

     691,377  
  620,000      BBB   

4.972% (3-Month USD-LIBOR + 1.902%) due 5/16/29(d)

     711,482  
  995,000      BBB   

2.667% (1-Year CMT Index + 1.200%) due 3/10/32(d)

     986,269  
     

Subordinated Notes:

  
  200,000      BB+   

5.088% (3-Month USD-LIBOR + 3.054%) due 6/20/30(d)

     227,568  
  213,000      BB+   

3.811% (1-Year CMT Index + 1.700%) due 3/10/42(d)

     224,963  
      BNP Paribas SA:   
     

Senior Unsecured Notes:

  
  470,000      A-   

4.705% (3-Month USD-LIBOR + 2.235%) due 1/10/25(b)(d)

     503,115  
  490,000      A-   

2.819% (3-Month USD-LIBOR + 1.111%) due 11/19/25(b)(d)

     506,197  
  220,000      A-   

2.219% (SOFR + 2.074%) due 6/9/26(b)(d)

     223,531  
  750,000      A-   

4.400% due 8/14/28(b)

     849,560  
  200,000      A-   

2.871% (SOFR + 1.387%) due 4/19/32(b)(d)

     202,270  
  200,000      BBB+   

Subordinated Notes, 4.375% (5-Year USD Swap Rate + 1.483%) due 3/1/33(b)(d)

     218,038  
  434,000      A   

BPCE SA, Senior Unsecured Notes, 2.700% due 10/1/29(b)

     447,578  
     

CIT Group Inc., Senior Unsecured Notes:

  
  90,000      BB+   

4.750% due 2/16/24

     95,123  
  40,000      BB+   

5.250% due 3/7/25

     43,694  
     

Citigroup Inc.:

  
  220,000      BB+   

Junior Subordinated Notes, 5.950% (3-Month USD-LIBOR + 3.905%)(d)(e)

     234,509  
     

Senior Unsecured Notes:

  
  180,000      BBB+   

1.678% (SOFR + 1.667%) due 5/15/24(d)

     182,044  
  120,000      BBB+   

3.106% (SOFR + 2.842%) due 4/8/26(d)

     125,915  
  2,575,000      BBB+   

1.462% (SOFR + 0.770%) due 6/9/27(d)

     2,526,549  
  100,000      BBB+   

3.980% (3-Month USD-LIBOR + 1.338%) due 3/20/30(d)

     110,857  
  210,000      BBB+   

4.412% (SOFR + 3.914%) due 3/31/31(d)

     239,679  
  70,000      BBB+   

2.572% (SOFR + 2.107%) due 6/3/31(d)

     70,439  
  520,000      BBB+   

2.561% (SOFR + 1.167%) due 5/1/32(d)

     522,649  
  314,000      BBB+   

8.125% due 7/15/39

     537,881  
  196,000      BBB+   

4.650% due 7/30/45

     251,746  
  70,000      BBB+   

4.650% due 7/23/48

     92,770  
     

Subordinated Notes:

  
  890,000      BBB   

4.400% due 6/10/25

     968,583  
  250,000      BBB   

5.500% due 9/13/25

     283,212  
  890,000      BBB   

4.300% due 11/20/26

     982,355  
  30,000      BBB   

6.625% due 6/15/32

     40,262  
  100,000      BBB   

6.675% due 9/13/43

     152,662  
  286,000      BBB   

5.300% due 5/6/44

     376,299  
  30,000      BBB   

4.750% due 5/18/46

     37,642  
  142,000      BBB+   

Citizens Financial Group Inc., Senior Unsecured Notes, 2.850% due 7/27/26

     149,417  
  58,000      AA-   

Commonwealth Bank of Australia, Senior Unsecured Notes, 3.900% due 7/12/47(b)

     72,242  
     

Cooperatieve Rabobank UA, Company Guaranteed Notes:

  
  310,000      BBB+   

4.625% due 12/1/23

     332,005  
  990,000      BBB+   

4.375% due 8/4/25

     1,081,390  
  500,000      A-   

Credit Agricole SA, Senior Unsecured Notes, 1.907% (SOFR + 1.676%) due 6/16/26(b)(d)

     502,589  
     

Credit Suisse AG, Senior Unsecured Notes:

  
  250,000      A+   

2.950% due 4/9/25

     262,925  

 

123


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Banks - 8.5% - (continued)

  
  $        1,025,000      A+   

1.250% due 8/7/26

   $     1,000,863  
     

Credit Suisse Group AG, Senior Unsecured Notes:

  
  340,000      BBB+   

2.593% (SOFR + 1.560%) due 9/11/25(b)(d)

     347,979  
  320,000      BBB+   

4.550% due 4/17/26

     354,098  
  835,000      BBB+   

2.193% (SOFR + 2.044%) due 6/5/26(b)(d)

     843,556  
  900,000      BBB+   

1.305% (SOFR + 0.980%) due 2/2/27(b)(d)

     872,044  
  65,000      BBB+   

4.282% due 1/9/28(b)

     70,973  
  250,000      BBB+   

4.194% (SOFR + 3.730%) due 4/1/31(b)(d)

     274,935  
  1,101,000      BBB+   

3.091% (SOFR + 1.730%) due 5/14/32(b)(d)

     1,119,319  
     

Danske Bank AS, Senior Unsecured Notes:

  
  200,000      BBB+   

5.000% due 1/12/22(b)

     200,995  
  327,000      BBB+   

5.000% (1-Year CMT Index + 1.730%) due 1/12/23(b)(d)

     328,462  
  200,000      BBB+   

3.875% due 9/12/23(b)

     209,358  
  1,220,000      BBB+   

5.375% due 1/12/24(b)

     1,319,400  
  944,000      A   

1.226% due 6/22/24(b)

     946,710  
  240,000      BBB+   

3.244% (3-Month USD-LIBOR + 1.591%) due 12/20/25(b)(d)

     250,129  
  315,000      A   

1.549% (1-Year CMT Index + 0.730%) due 9/10/27(b)(d)

     308,715  
     

Deutsche Bank AG, Senior Unsecured Notes:

  
  474,000      BBB-   

1.447% (SOFR + 1.131%) due 4/1/25(d)

     472,683  
  38,000      BBB-   

4.100% due 1/13/26

     41,122  
  846,000      A-   

1.686% due 3/19/26

     844,985  
  188,000      BBB-   

2.129% (SOFR + 1.870%) due 11/24/26(d)

     188,645  
  645,000      A   

DNB Bank ASA, Senior Unsecured Notes, 1.127% (1-Year CMT Index + 0.850%) due 9/16/26(b)(d)

     633,957  
  11,000      BB   

Goldman Sachs Capital II, Limited Guaranteed Notes, 4.000% (3-Month USD-LIBOR + 0.768%)(d)(e)

     10,752  
     

Goldman Sachs Group Inc. (The):

  
     

Senior Unsecured Notes:

  
  130,000      BBB+   

3.200% due 2/23/23

     133,628  
  640,000      BBB+   

0.925% (SOFR + 0.486%) due 10/21/24(d)

     637,638  
  2,320,000      BBB+   

3.500% due 4/1/25

     2,462,900  
  437,000      BBB+   

3.750% due 5/22/25

     467,428  
  163,000      BBB+   

0.855% (SOFR + 0.609%) due 2/12/26(d)

     159,622  
  150,000      BBB+   

1.326% (3-Month USD-LIBOR + 1.170%) due 5/15/26(d)

     152,812  
  556,000      BBB+   

3.500% due 11/16/26

     593,471  
  220,000      BBB+   

1.093% (SOFR + 0.789%) due 12/9/26(d)

     214,129  
  685,000      BBB+   

1.431% (SOFR + 0.798%) due 3/9/27(d)

     672,256  
  1,240,000      BBB+   

1.542% (SOFR + 0.818%) due 9/10/27(d)

     1,215,656  
  620,000      BBB+   

3.814% (3-Month USD-LIBOR + 1.158%) due 4/23/29(d)

     675,918  
  1,330,000      BBB+   

4.223% (3-Month USD-LIBOR + 1.301%) due 5/1/29(d)

     1,479,871  
  520,000      BBB+   

2.615% (SOFR + 1.281%) due 4/22/32(d)

     521,373  
  95,000      BBB+   

4.017% (3-Month USD-LIBOR + 1.373%) due 10/31/38(d)

     108,682  
  11,000      BBB+   

4.411% (3-Month USD-LIBOR + 1.430%) due 4/23/39(d)

     13,155  
  630,000      BBB+   

6.250% due 2/1/41

     917,329  
  110,000      BBB+   

3.210% (SOFR + 1.513%) due 4/22/42(d)

     114,700  
  500,000      BBB+   

2.908% (SOFR + 1.472%) due 7/21/42(d)

     499,011  
  100,000      BBB+   

4.750% due 10/21/45

     130,477  
     

Subordinated Notes:

  
  600,000      BBB-   

4.250% due 10/21/25

     653,273  
  460,000      BBB-   

6.750% due 10/1/37

     648,695  
  290,000      BBB-   

5.150% due 5/22/45

     380,785  
     

HSBC Holdings PLC:

  
     

Senior Unsecured Notes:

  
  200,000      A-   

3.262% (3-Month USD-LIBOR + 1.055%) due 3/13/23(d)

     201,434  
  105,000      A-   

4.292% (3-Month USD-LIBOR + 1.348%) due 9/12/26(d)

     113,820  

 

124


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Banks - 8.5% - (continued)

 
  $        715,000      A-   

1.589% (SOFR + 1.290%) due 5/24/27(d)

   $ 699,307  
  893,000      A-   

2.251% (SOFR + 1.100%) due 11/22/27(d)

     895,399  
  438,000      A-   

4.583% (3-Month USD-LIBOR + 1.535%) due 6/19/29(d)

     491,155  
  2,070,000      A-   

2.206% (SOFR + 1.285%) due 8/17/29(d)

     2,027,380  
  420,000      A-   

3.973% (3-Month USD-LIBOR + 1.610%) due 5/22/30(d)

     460,156  
  255,000      A-   

2.804% (SOFR + 1.187%) due 5/24/32(d)

     255,218  
  190,000      BBB   

Subordinated Notes, 6.500% due 9/15/37

     263,444  
  200,000      A-   

ING Groep NV, Senior Unsecured Notes, 1.726% (SOFR + 1.005%) due 4/1/27(d)

     199,374  
     

Intesa Sanpaolo SpA:

  
     

Senior Unsecured Notes:

  
  200,000      BBB   

3.125% due 7/14/22(b)

     202,881  
  200,000      BBB   

3.375% due 1/12/23(b)

     205,212  
  200,000      BB+   

Subordinated Notes, 5.017% due 6/26/24(b)

     213,917  
     

JPMorgan Chase & Co.:

  
     

Senior Unsecured Notes:

  
  460,000      A-   

1.514% (SOFR + 1.455%) due 6/1/24(d)

     463,956  
  430,000      A-   

4.023% (3-Month USD-LIBOR + 1.000%) due 12/5/24(d)

     454,746  
  795,000      A-   

0.969% (SOFR + 0.580%) due 6/23/25(d)

     789,759  
  972,000      A-   

2.005% (SOFR + 1.585%) due 3/13/26(d)

     985,961  
  280,000      A-   

2.083% (SOFR + 1.850%) due 4/22/26(d)

     284,997  
  644,000      A-   

3.960% (3-Month USD-LIBOR + 1.245%) due 1/29/27(d)

     699,906  
  2,037,000      A-   

1.578% (SOFR + 0.885%) due 4/22/27(d)

     2,014,803  
  992,000      A-   

3.782% (3-Month USD-LIBOR + 1.337%) due 2/1/28(d)

     1,076,367  
  798,000      A-   

2.182% (SOFR + 1.890%) due 6/1/28(d)

     800,773  
  846,000      A-   

4.005% (3-Month USD-LIBOR + 1.120%) due 4/23/29(d)

     935,153  
  40,000      A-   

2.069% (SOFR + 1.015%) due 6/1/29(d)

     39,549  
  480,000      A-   

4.203% (3-Month USD-LIBOR + 1.260%) due 7/23/29(d)

     537,085  
  697,000      A-   

4.452% (3-Month USD-LIBOR + 1.330%) due 12/5/29(d)

     792,864  
  147,000      A-   

3.702% (3-Month USD-LIBOR + 1.160%) due 5/6/30(d)

     160,316  
  194,000      A-   

2.739% (SOFR + 1.510%) due 10/15/30(d)

     199,440  
  150,000      A-   

2.522% (SOFR + 2.040%) due 4/22/31(d)

     151,492  
  615,000      A-   

2.580% (SOFR + 1.250%) due 4/22/32(d)

     620,946  
  146,000      A-   

5.600% due 7/15/41

     205,011  
  38,000      A-   

4.260% (3-Month USD-LIBOR + 1.580%) due 2/22/48(d)

     47,259  
  199,000      A-   

4.032% (3-Month USD-LIBOR + 1.460%) due 7/24/48(d)

     238,683  
  392,000      A-   

3.964% (3-Month USD-LIBOR + 1.380%) due 11/15/48(d)

     466,417  
  49,000      A-   

3.897% (3-Month USD-LIBOR + 1.220%) due 1/23/49(d)

     57,807  
  50,000      A-   

3.109% (SOFR + 2.440%) due 4/22/51(d)

     52,862  
     

Subordinated Notes:

  
  270,000      BBB+   

3.875% due 9/10/24

     288,654  
  210,000      BBB+   

4.250% due 10/1/27

     234,865  
  490,000      BBB+   

4.950% due 6/1/45

     651,562  
  189,000      BBB+   

KeyCorp, Senior Unsecured Notes, 2.250% due 4/6/27

     193,414  
     

Lloyds Banking Group PLC:

  
     

Senior Unsecured Notes:

  
  1,295,000      BBB+   

2.907% (3-Month USD-LIBOR + 0.810%) due 11/7/23(d)

     1,319,242  
  400,000      BBB+   

3.900% due 3/12/24

     424,823  
  273,000      BBB+   

3.750% due 1/11/27

     295,707  
  350,000      BBB+   

1.627% (1-Year CMT Index + 0.850%) due 5/11/27(d)

     344,764  
  468,000      BBB+   

4.375% due 3/22/28

     525,947  
  200,000      BBB+   

4.550% due 8/16/28

     229,363  
  245,000      BBB-   

Subordinated Notes, 4.582% due 12/10/25

     268,854  
     

Macquarie Group Ltd., Senior Unsecured Notes:

  

 

125


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Banks - 8.5% - (continued)

 
  $        540,000      BBB+   

1.201% (SOFR + 0.694%) due 10/14/25(b)(d)

   $ 536,401  
  540,000      BBB+   

1.340% (SOFR + 1.069%) due 1/12/27(b)(d)

     528,751  
     

Mizuho Financial Group Inc., Senior Unsecured Notes:

  
  738,000      A-   

2.839% (SOFR + 1.242%) due 7/16/25(d)

     766,199  
  536,000      A-   

2.226% (3-Month USD-LIBOR + 0.830%) due 5/25/26(d)

     545,517  
  200,000      A-   

2.201% (SOFR + 1.772%) due 7/10/31(d)

     196,026  
  945,000      A-   

1.979% (SOFR + 1.532%) due 9/8/31(d)

     910,744  
  200,000      A-   

2.260% (1-Year CMT Index + 0.900%) due 7/9/32(d)

     196,965  
  250,000      AA+   

National Securities Clearing Corp., Senior Unsecured Notes, 1.500% due 4/23/25(b)

     252,309  
     

NatWest Group PLC, Senior Unsecured Notes:

  
  200,000      BBB   

4.519% (3-Month USD-LIBOR + 1.550%) due 6/25/24(d)

     210,617  
  990,000      BBB   

4.269% (3-Month USD-LIBOR + 1.762%) due 3/22/25(d)

     1,054,148  
  400,000      BBB   

5.076% (3-Month USD-LIBOR + 1.905%) due 1/27/30(d)

     466,382  
  33,000      A+   

Northern Trust Corp., Senior Unsecured Notes, 3.150% due 5/3/29

     35,794  
     

Royal Bank of Canada, Senior Unsecured Notes:

  
  260,000      A   

1.600% due 4/17/23

     263,530  
  160,000      A   

1.150% due 6/10/25

     158,744  
  30,000      BBB+   

Santander Holdings USA Inc., Senior Unsecured Notes, 4.500% due 7/17/25

     32,580  
     

Santander UK Group Holdings PLC, Senior Unsecured Notes:

  
  180,000      BBB   

4.796% (3-Month USD-LIBOR + 1.570%) due 11/15/24(d)

     192,604  
  760,000      BBB   

1.089% (SOFR + 0.787%) due 3/15/25(d)

     753,895  
  666,000      BBB   

1.532% (1-Year CMT Index + 1.250%) due 8/21/26(d)

     658,090  
  1,075,000      BBB   

1.673% (SOFR + 0.989%) due 6/14/27(d)

     1,057,160  
  200,000      BBB   

3.823% (3-Month USD-LIBOR + 1.400%) due 11/3/28(d)

     214,924  
  535,000      BBB-   

Santander UK PLC, Subordinated Notes, 5.000% due 11/7/23(b)

     573,707  
     

Sumitomo Mitsui Financial Group Inc., Senior Unsecured Notes:

  
  96,000      A-   

3.544% due 1/17/28

     104,661  
  200,000      A-   

3.040% due 7/16/29

     210,094  
  200,000      A-   

2.750% due 1/15/30

     206,608  
  200,000      A+   

Swedbank AB, Senior Unsecured Notes, 1.300% due 6/2/23(b)

     201,912  
  96,000      BBB-   

Synovus Financial Corp., Senior Unsecured Notes, 3.125% due 11/1/22

     97,567  
     

Toronto-Dominion Bank (The), Senior Unsecured Notes:

  
  310,000      A   

0.750% due 6/12/23

     310,501  
  150,000      A   

1.150% due 6/12/25

     149,241  
  290,000      A+   

UBS AG, Senior Unsecured Notes, 1.750% due 4/21/22(b)

     291,259  
     

UBS Group AG:

  
  1,070,000      BB   

Junior Subordinated Notes, 7.000% (5-Year USD Swap Rate + 4.344%)(b)(d)(e)

     1,146,211  
     

Senior Unsecured Notes:

  
  260,000      A-   

2.650% due 2/1/22(b)

     260,989  
  650,000      A-   

3.491% due 5/23/23(b)

     658,681  
  200,000      A-   

2.859% (3-Month USD-LIBOR + 0.954%) due 8/15/23(b)(d)

     202,953  
  759,000      A-   

1.494% (1-Year CMT Index + 0.850%) due 8/10/27(b)(d)

     743,097  
  580,000      BBB-   

UniCredit SpA, Senior Unsecured Notes, 6.572% due 1/14/22(b)

     583,762  
     

US Bancorp:

  
  350,000      A+   

Senior Unsecured Notes, 1.450% due 5/12/25

     352,926  
  56,000      A-   

Subordinated Notes, 3.100% due 4/27/26

     59,514  
     

Wells Fargo & Co.:

  
  50,000      BB+   

Junior Subordinated Notes, 5.875% (3-Month USD-LIBOR + 3.990%)(d)(e)

     54,500  
     

Senior Unsecured Notes:

  
  270,000      BBB+   

3.750% due 1/24/24

     284,805  
  300,000      BBB+   

2.188% (SOFR + 2.000%) due 4/30/26(d)

     306,847  
  260,000      BBB+   

3.000% due 10/23/26

     273,932  
  3,259,000      BBB+   

3.584% (3-Month USD-LIBOR + 1.310%) due 5/22/28(d)

     3,513,151  

 

126


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Banks - 8.5% - (continued)

 
  $        916,000      BBB+   

4.150% due 1/24/29

   $ 1,024,111  
  1,234,000      BBB+   

2.879% (SOFR + 1.432%) due 10/30/30(d)

     1,281,097  
  100,000      BBB+   

4.478% (SOFR + 4.032%) due 4/4/31(d)

     115,604  
  372,000      BBB+   

3.068% (SOFR + 2.530%) due 4/30/41(d)

     383,205  
  1,990,000      BBB+   

5.013% (SOFR + 4.502%) due 4/4/51(d)

     2,768,593  
     

Subordinated Notes:

  
  330,000      BBB   

3.450% due 2/13/23

     340,461  
  169,000      BBB   

4.480% due 1/16/24

     180,626  
  230,000      BBB   

5.375% due 11/2/43

     304,969  
  110,000      BBB   

5.606% due 1/15/44

     148,764  
  280,000      BBB   

4.650% due 11/4/44

     343,254  
  450,000      BBB   

4.900% due 11/17/45

     575,070  
  40,000      BBB   

4.400% due 6/14/46

     48,060  
  160,000      BBB   

4.750% due 12/7/46

     203,049  
        

 

 

 
     

Total Banks

     114,463,695  
        

 

 

 
 

Beverages - 0.6%

 
     

Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide Inc., Company Guaranteed Notes:

  
  340,000      BBB+   

3.650% due 2/1/26

     366,690  
  1,202,000      BBB+   

4.700% due 2/1/36

     1,450,426  
  1,115,000      BBB+   

4.900% due 2/1/46

     1,415,279  
     

Anheuser-Busch InBev Worldwide Inc., Company Guaranteed Notes:

  
  140,000      BBB+   

4.000% due 4/13/28

     156,862  
  226,000      BBB+   

4.750% due 1/23/29

     263,773  
  260,000      BBB+   

3.500% due 6/1/30

     284,755  
  160,000      BBB+   

4.350% due 6/1/40

     190,393  
  36,000      BBB+   

4.600% due 4/15/48

     44,126  
  43,000      BBB+   

4.439% due 10/6/48

     52,264  
  270,000      BBB+   

5.550% due 1/23/49

     375,902  
  525,000      BBB+   

4.500% due 6/1/50

     651,838  
  2,000      BBB+   

4.750% due 4/15/58

     2,546  
     

Bacardi Ltd., Company Guaranteed Notes:

  
  405,000      BBB-   

4.450% due 5/15/25(b)

     440,869  
  140,000      BBB-   

5.300% due 5/15/48(b)

     187,214  
     

Coca-Cola Co. (The), Senior Unsecured Notes:

  
  110,000      A+   

3.375% due 3/25/27

     119,408  
  160,000      A+   

1.450% due 6/1/27

     158,742  
  74,000      A+   

2.125% due 9/6/29

     75,361  
  179,000      A+   

3.450% due 3/25/30

     199,642  
  41,000      A+   

2.000% due 3/5/31

     40,835  
  74,000      A+   

2.250% due 1/5/32

     74,865  
  10,000      A+   

2.500% due 6/1/40

     9,948  
  60,000      A+   

2.600% due 6/1/50

     60,269  
  114,000      BBB   

Keurig Dr Pepper Inc., Company Guaranteed Notes, 3.200% due 5/1/30

     121,264  
     

PepsiCo Inc., Senior Unsecured Notes:

  
  180,000      A+   

0.750% due 5/1/23

     180,779  
  20,000      A+   

2.625% due 3/19/27

     21,096  
  150,000      A+   

1.625% due 5/1/30

     145,993  
  60,000      A+   

2.875% due 10/15/49

     63,560  
  355,000      BBB   

Suntory Holdings Ltd., Senior Unsecured Notes, 2.250% due 10/16/24(b)

     363,807  
        

 

 

 
     

Total Beverages

     7,518,506  
        

 

 

 
 

Biotechnology - 0.1%

 
     

Amgen Inc., Senior Unsecured Notes:

  
  70,000      A-   

3.625% due 5/22/24

     73,915  

 

127


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Biotechnology - 0.1% - (continued)

 
  $        92,000      A-   

2.800% due 8/15/41

   $ 89,875  
  156,000      A-   

4.400% due 5/1/45

     187,239  
  33,000      A-   

4.663% due 6/15/51

     42,418  
  125,000      A-   

Biogen Inc., Senior Unsecured Notes, 3.150% due 5/1/50

     123,565  
  65,000      A+   

Celgene Corp., Senior Unsecured Notes, 3.900% due 2/20/28

     69,429  
     

Gilead Sciences Inc., Senior Unsecured Notes:

  
  160,000      BBB+   

3.700% due 4/1/24

     168,578  
  60,000      BBB+   

3.650% due 3/1/26

     64,753  
  218,000      BBB+   

4.800% due 4/1/44

     276,281  
  130,000      BBB+   

4.750% due 3/1/46

     165,482  
        

 

 

 
     

Total Biotechnology

     1,261,535  
        

 

 

 
 

Building Materials - 0.0%

 
  178,000      BBB   

Carrier Global Corp., Senior Unsecured Notes, 2.242% due 2/15/25

     182,134  
        

 

 

 
 

Chemicals - 0.3%

 
  80,000      A   

Air Products & Chemicals Inc., Senior Unsecured Notes, 2.800% due 5/15/50

     82,789  
  58,000      BBB   

Dow Chemical Co., Senior Unsecured Notes, 5.550% due 11/30/48

     82,756  
  479,000      BBB+   

DuPont de Nemours Inc., Senior Unsecured Notes, 4.493% due 11/15/25

     530,378  
  4,000      BBB   

Eastman Chemical Co., Senior Unsecured Notes, 4.500% due 12/1/28

     4,600  
  84,000      A-   

Ecolab Inc., Senior Unsecured Notes, 2.750% due 8/18/55(b)

     84,832  
  200,000      BBB   

Equate Petrochemical BV, Company Guaranteed Notes, 4.250% due 11/3/26(b)

     217,237  
  841,000      BBB   

International Flavors & Fragrances Inc., Senior Unsecured Notes, 2.300% due 11/1/30(b)

     829,823  
  87,000      BBB   

LYB International Finance III LLC, Company Guaranteed Notes, 4.200% due 5/1/50

     100,932  
  200,000      BBB   

MEGlobal Canada ULC, Company Guaranteed Notes, 5.875% due 5/18/30(b)

     241,775  
  30,000      BBB   

Monsanto Co., Senior Unsecured Notes, 4.400% due 7/15/44

     32,475  
     

OCP SA, Senior Unsecured Notes:

  
  200,000      BB+   

4.500% due 10/22/25(b)

     211,050  
  200,000      BB+   

3.750% due 6/23/31(b)

     193,380  
  200,000      BB+   

5.125% due 6/23/51(b)

     189,045  
     

Orbia Advance Corp. SAB de CV, Company Guaranteed Notes:

  
  270,000      BBB-   

1.875% due 5/11/26(b)

     264,425  
  260,000      BBB-   

2.875% due 5/11/31(b)

     253,937  
  34,000      BBB   

Sherwin-Williams Co. (The), Senior Unsecured Notes, 4.500% due 6/1/47

     42,699  
  84,000      BBB   

Westlake Chemical Corp., Senior Unsecured Notes, 3.375% due 8/15/61

     82,849  
        

 

 

 
     

Total Chemicals

     3,444,982  
        

 

 

 
 

Commercial Services - 0.3%

 
  110,000      A-   

Cintas Corp. No 2, Company Guaranteed Notes, 3.700% due 4/1/27

     120,262  
     

Global Payments Inc., Senior Unsecured Notes:

  
  522,000      BBB-   

3.200% due 8/15/29

     541,140  
  127,000      BBB-   

2.900% due 5/15/30

     128,728  
     

IHS Markit Ltd.:

  
     

Company Guaranteed Notes:

  
  584,000      Ba1(c)   

5.000% due 11/1/22(b)

     601,903  
  112,000      Ba1(c)   

4.750% due 2/15/25(b)

     122,432  
  28,000      Ba1(c)   

4.000% due 3/1/26(b)

     30,488  
  450,000      Ba1(c)   

Senior Unsecured Notes, 4.750% due 8/1/28

     521,676  
  39,000      BBB+   

Moody’s Corp., Senior Unsecured Notes, 3.250% due 1/15/28

     42,288  
     

PayPal Holdings Inc., Senior Unsecured Notes:

  
  130,000      A-   

1.350% due 6/1/23

     131,457  
  140,000      A-   

1.650% due 6/1/25

     141,525  
  100,000      A-   

2.300% due 6/1/30

     101,689  
     

RELX Capital Inc., Company Guaranteed Notes:

  
  305,000      BBB+   

3.500% due 3/16/23

     315,046  
  59,000      BBB+   

4.000% due 3/18/29

     65,661  

 

128


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Commercial Services - 0.3% - (continued)

 
  $        447,000      BBB+   

3.000% due 5/22/30

   $ 471,399  
  20,000      BBB-   

United Rentals North America Inc., Secured Notes, 3.875% due 11/15/27

     20,774  
        

 

 

 
     

Total Commercial Services

     3,356,468  
        

 

 

 
 

Computers - 0.4%

 
     

Apple Inc., Senior Unsecured Notes:

  
  300,000      AA+   

2.400% due 5/3/23

     307,425  
  290,000      AA+   

1.125% due 5/11/25

     289,719  
  280,000      AA+   

2.450% due 8/4/26

     291,948  
  550,000      AA+   

3.350% due 2/9/27

     596,616  
  360,000      AA+   

2.900% due 9/12/27

     383,094  
  55,000      AA+   

3.850% due 5/4/43

     65,401  
  272,000      AA+   

3.750% due 11/13/47

     324,628  
  75,000      BBB   

Dell International LLC/EMC Corp., Senior Unsecured Notes, 8.350% due 7/15/46

     125,344  
     

International Business Machines Corp., Senior Unsecured Notes:

  
  680,000      A-   

3.000% due 5/15/24

     712,050  
  138,000      A-   

3.300% due 5/15/26

     147,924  
  101,000      A-   

3.300% due 1/27/27

     108,666  
  100,000      A-   

4.150% due 5/15/39

     116,980  
  121,000      A-   

2.850% due 5/15/40

     119,942  
  100,000      A-   

4.250% due 5/15/49

     123,717  
  800,000      BBB-   

Leidos Inc., Company Guaranteed Notes, 4.375% due 5/15/30

     891,833  
  71,000      BB+   

Seagate HDD Cayman, Company Guaranteed Notes, 4.091% due 6/1/29

     72,864  
        

 

 

 
     

Total Computers

     4,678,151  
        

 

 

 
 

Cosmetics/Personal Care - 0.0%

 
     

Procter & Gamble Co. (The), Senior Unsecured Notes:

  
  30,000      AA-   

2.800% due 3/25/27

     31,916  
  80,000      AA-   

3.000% due 3/25/30

     87,150  
        

 

 

 
     

Total Cosmetics/Personal Care

     119,066  
        

 

 

 
 

Diversified Financial Services - 0.7%

 
     

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Company Guaranteed Notes:

  
  290,000      BBB   

3.950% due 2/1/22

     290,768  
  280,000      BBB   

4.875% due 1/16/24

     299,515  
  190,000      BBB   

3.150% due 2/15/24

     196,382  
  350,000      BBB   

3.500% due 1/15/25

     366,221  
  150,000      BBB   

4.450% due 4/3/26

     163,062  
  1,220,000      BBB   

2.450% due 10/29/26

     1,224,256  
  190,000      BBB   

3.000% due 10/29/28

     191,364  
  190,000      Baa3(c)   

3.300% due 1/30/32

     191,429  
     

Air Lease Corp., Senior Unsecured Notes:

  
  460,000      BBB   

3.500% due 1/15/22

     461,661  
  495,000      BBB   

3.250% due 3/1/25

     516,210  
  200,000      BBB   

3.375% due 7/1/25

     209,887  
     

Avolon Holdings Funding Ltd., Company Guaranteed Notes:

  
  75,000      BBB-   

5.250% due 5/15/24(b)

     80,770  
  500,000      BBB-   

2.875% due 2/15/25(b)

     511,090  
  663,000      BBB-   

2.528% due 11/18/27(b)

     647,399  
  236,000      BBB   

Capital One Financial Corp., Senior Unsecured Notes, 3.800% due 1/31/28

     258,601  
  100,000      AA-   

CME Group Inc., Senior Unsecured Notes, 3.750% due 6/15/28

     112,061  
  255,000      BBB-   

Discover Financial Services, Senior Unsecured Notes, 4.500% due 1/30/26

     280,212  
  298,000      A-   

Intercontinental Exchange Inc., Senior Unsecured Notes, 2.100% due 6/15/30

     293,310  
  30,000      A   

KKR Group Finance Co. II LLC, Company Guaranteed Notes, 5.500% due 2/1/43(b)

     40,061  
  650,000      NR   

Lehman Brothers Holdings Inc., Subordinated Notes, 6.750% due 12/18/17#(f)(g)(h)

     —    
  535,000      A   

LSEGA Financing PLC, Company Guaranteed Notes, 2.000% due 4/6/28(b)

     530,611  

 

129


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Diversified Financial Services - 0.7% - (continued)

 
  $        30,000   

A+

   Mastercard Inc., Senior Unsecured Notes, 3.850% due 3/26/50    $ 36,340  
      Nomura Holdings Inc., Senior Unsecured Notes:   
  230,000      BBB+   

3.103% due 1/16/30

     238,313  
  200,000      BBB+   

2.608% due 7/14/31

     197,277  
      Park Aerospace Holdings Ltd., Company Guaranteed Notes:   
  9,000      BBB-   

5.250% due 8/15/22(b)

     9,234  
  60,000      BBB-   

5.500% due 2/15/24(b)

     64,664  
  220,000     

BBB+

   Raymond James Financial Inc., Senior Unsecured Notes, 4.950% due 7/15/46      289,558  
      Synchrony Financial, Senior Unsecured Notes:   
  6,000      BBB-   

4.500% due 7/23/25

     6,520  
  265,000      BBB-   

3.700% due 8/4/26

     282,917  
  150,000     

AA

   USAA Capital Corp., Senior Unsecured Notes, 2.125% due 5/1/30(b)      151,754  
      Visa Inc., Senior Unsecured Notes:   
  420,000      AA-   

3.150% due 12/14/25

     449,861  
  110,000      AA-   

2.050% due 4/15/30

     111,127  
  103,000      AA-   

4.150% due 12/14/35

     123,231  
  310,000      AA-   

4.300% due 12/14/45

     394,314  
        

 

 

 
      Total Diversified Financial Services      9,219,980  
        

 

 

 
 

Electric - 1.1%

 
      AEP Texas Inc., Senior Unsecured Notes:   
  50,000      A-   

2.400% due 10/1/22

     50,665  
  82,000      A-   

3.450% due 1/15/50

     86,150  
  191,000      A-   

3.450% due 5/15/51

     200,603  
      AEP Transmission Co. LLC, Senior Unsecured Notes:   
  505,000      A-   

3.750% due 12/1/47

     583,967  
  120,000      A-   

2.750% due 8/15/51

     117,755  
      Alabama Power Co., Senior Unsecured Notes:   
  17,000      A-   

5.200% due 6/1/41

     21,715  
  64,000      A-   

3.700% due 12/1/47

     72,360  
  60,000      A-   

3.450% due 10/1/49

     65,054  
  161,000     

A

   Ameren Illinois Co., 1st Mortgage Notes, 3.250% due 3/15/50      175,738  
      Baltimore Gas & Electric Co., Senior Unsecured Notes:   
  6,000      A   

3.500% due 8/15/46

     6,644  
  150,000      A   

3.750% due 8/15/47

     174,642  
  130,000      A   

3.200% due 9/15/49

     138,865  
  67,000      A   

2.900% due 6/15/50

     68,021  
      CenterPoint Energy Houston Electric LLC:   
  146,000      A   

1st Mortgage Notes, 3.350% due 4/1/51

     164,262  
  15,000     

A

  

General Refiinance Mortgage, 3.950% due 3/1/48

     18,176  
      Consolidated Edison Co. of New York Inc., Senior Unsecured Notes:   
  60,000      A-   

3.350% due 4/1/30

     64,787  
  40,000      A-   

3.950% due 4/1/50

     46,768  
      Consumers Energy Co., 1st Mortgage Notes:   
  256,000      A   

3.500% due 8/1/51

     293,061  
  91,000      A   

2.650% due 8/15/52

     90,069  
      DTE Electric Co., General Refiinance Mortgage:   
  30,000      A   

4.050% due 5/15/48

     36,381  
  250,000      A   

3.950% due 3/1/49

     302,558  
      Duke Energy Carolinas LLC, 1st Mortgage Notes:   
  22,000      A   

3.950% due 11/15/28

     24,587  
  500,000      A   

4.250% due 12/15/41

     585,627  
  205,000      A   

3.200% due 8/15/49

     218,508  
  500,000     

BBB

   Duke Energy Corp., Senior Unsecured Notes, 2.550% due 6/15/31      498,216  

 

130


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Electric - 1.1% - (continued)

 
     

Duke Energy Florida LLC, 1st Mortgage Notes:

  
  $         334,000      A   

2.500% due 12/1/29

   $         341,884  
  504,000      A   

1.750% due 6/15/30

     480,895  
  24,000      A   

4.200% due 7/15/48

     29,334  
  335,000      A   

Duke Energy Ohio Inc., 1st Mortgage Notes, 3.650% due 2/1/29

     364,777  
     

Duke Energy Progress LLC, 1st Mortgage Notes:

  
  130,000      A   

3.450% due 3/15/29

     140,120  
  162,000      A   

4.100% due 5/15/42

     187,098  
  48,000      A   

4.100% due 3/15/43

     55,947  
  67,000      A   

2.900% due 8/15/51

     67,861  
     

Edison International, Senior Unsecured Notes:

  
  91,000      BBB-   

4.950% due 4/15/25

     99,267  
  72,000      BBB-   

5.750% due 6/15/27

     82,283  
  87,000      A   

Entergy Arkansas LLC, 1st Mortgage Notes, 3.350% due 6/15/52

     95,208  
     

Entergy Louisiana LLC:

  
     

1st Mortgage Notes:

  
  168,000      A   

1.600% due 12/15/30

     158,290  
  50,000      A   

2.350% due 6/15/32

     49,806  
  60,000      A   

2.900% due 3/15/51

     60,509  
  47,000      A   

Collateral Trust, 3.050% due 6/1/31

     49,920  
  125,000      A   

Entergy Texas Inc., 1st Mortgage Notes, 3.450% due 12/1/27

     133,109  
     

Exelon Corp., Senior Unsecured Notes:

  
  143,000      BBB   

5.625% due 6/15/35

     183,749  
  143,000      BBB   

4.700% due 4/15/50

     184,488  
     

FirstEnergy Corp., Senior Unsecured Notes:

  
  60,000      BB+   

1.600% due 1/15/26

     58,164  
  310,000      BB+   

4.400% due 7/15/27

     331,898  
  550,000      BB+   

7.375% due 11/15/31

     732,875  
     

Florida Power & Light Co., 1st Mortgage Notes:

  
  453,000      A+   

3.950% due 3/1/48

     555,823  
  30,000      A+   

2.875% due 12/4/51

     31,230  
  400,000      BBB+   

ITC Holdings Corp., Senior Unsecured Notes, 4.050% due 7/1/23

     416,333  
  700,000      BBB   

Jersey Central Power & Light Co., Senior Unsecured Notes, 4.700% due 4/1/24(b)

     745,793  
  200,000      Baa3(c)   

Kallpa Generacion SA, Company Guaranteed Notes, 4.125% due 8/16/27(b)

     207,399  
     

MidAmerican Energy Co., 1st Mortgage Notes:

  
  255,000      A+   

3.100% due 5/1/27

     272,871  
  100,000      A+   

3.650% due 4/15/29

     110,544  
  100,000      A+   

3.150% due 4/15/50

     107,194  
     

Northern States Power Co., 1st Mortgage Notes:

  
  114,000      A   

2.900% due 3/1/50

     117,157  
  85,000      A   

2.600% due 6/1/51

     84,127  
  50,000      A   

3.200% due 4/1/52

     55,397  
     

NRG Energy Inc., Senior Secured Notes:

  
  155,000      BBB-   

2.450% due 12/2/27(b)

     153,720  
  122,000      BBB-   

4.450% due 6/15/29(b)

     133,000  
     

Ohio Power Co., Senior Unsecured Notes:

  
  29,000      A-   

4.000% due 6/1/49

     34,474  
  118,000      A-   

2.900% due 10/1/51

     117,987  
     

Oncor Electric Delivery Co. LLC, Senior Secured Notes:

  
  168,000      A+   

3.700% due 11/15/28

     187,607  
  98,000      A+   

3.100% due 9/15/49

     105,536  
     

Pacific Gas & Electric Co., 1st Mortgage Notes:

  
  14,000      BBB-   

2.500% due 2/1/31

     13,398  

 

131


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Electric - 1.1% - (continued)

 
  $        171,000      BBB-   

4.950% due 7/1/50

   $ 192,375  
  148,000      A   

PECO Energy Co., 1st Mortgage Notes, 3.050% due 3/15/51

     156,604  
  500,000      BBB   

Public Service Co. of New Mexico, Senior Unsecured Notes, 3.850% due 8/1/25

     530,574  
     

Public Service Electric & Gas Co., 1st Mortgage Notes:

  
  23,000      A   

3.000% due 5/15/27

     24,406  
  199,000      A   

3.200% due 5/15/29

     216,475  
     

Southern California Edison Co., 1st Mortgage Notes:

  
  3,214      A-   

1.845% due 2/1/22

     3,218  
  486,000      A-   

3.700% due 8/1/25

     521,850  
  206,000      A-   

1.200% due 2/1/26

     201,950  
  97,000      A-   

4.200% due 3/1/29

     109,417  
  134,000      A   

Southwestern Public Services Co., 1st Mortgage Notes, 3.150% due 5/1/50

     141,808  
  115,000      BBB+   

Tampa Electric Co., Senior Unsecured Notes, 3.625% due 6/15/50

     131,696  
  800,000      A-   

Tucson Electric Power Co., Senior Unsecured Notes, 3.850% due 3/15/23

     823,191  
     

Virginia Electric & Power Co., Senior Unsecured Notes:

  
  33,000      BBB+   

6.000% due 1/15/36

     45,282  
  68,000      BBB+   

6.000% due 5/15/37

     94,785  
  55,000      BBB+   

4.650% due 8/15/43

     70,149  
  94,000      BBB+   

4.200% due 5/15/45

     114,737  
     

Vistra Operations Co. LLC, Senior Secured Notes:

  
  92,000      BBB-   

3.700% due 1/30/27(b)

     96,159  
  323,000      BBB-   

4.300% due 7/15/29(b)

     346,309  
        

 

 

 
     

Total Electric

     15,263,236  
        

 

 

 
 

Electronics - 0.0%

 
  190,000      BBB+   

Agilent Technologies Inc., Senior Unsecured Notes, 2.300% due 3/12/31

     188,441  
     

Honeywell International Inc., Senior Unsecured Notes:

  
  110,000      A   

1.350% due 6/1/25

     110,583  
  28,000      A   

3.812% due 11/21/47

     34,148  
        

 

 

 
     

Total Electronics

     333,172  
        

 

 

 
 

Engineering & Construction - 0.0%

 
  87,000      B-   

Artera Services LLC, Senior Secured Notes, 9.033% due 12/4/25(b)

     87,642  
        

 

 

 
 

Environmental Control - 0.0%

 
     

Republic Services Inc., Senior Unsecured Notes:

  
  130,000      BBB+   

2.500% due 8/15/24

     134,309  
  219,000      BBB+   

3.375% due 11/15/27

     235,032  
  98,000      A-   

Waste Management Inc., Company Guaranteed Notes, 2.000% due 6/1/29

     97,447  
  109,000      B-   

Waste Pro USA Inc., Senior Unsecured Notes, 5.500% due 2/15/26(b)

     108,147  
        

 

 

 
     

Total Environmental Control

     574,935  
        

 

 

 
 

Food - 0.3%

 
  200,000      BBB   

Grupo Bimbo SAB de CV, Company Guaranteed Notes, 4.000% due 9/6/49(b)

     220,525  
  50,000      A   

Hershey Co. (The), Senior Unsecured Notes, 0.900% due 6/1/25

     49,478  
     

JBS USA LUX SA/JBS USA Food Co./JBS USA Finance Inc.:

  
  165,000      BB+   

Company Guaranteed Notes, 3.000% due 5/15/32(b)

     163,410  
  275,000      BB+   

Senior Unsecured Notes, 5.500% due 1/15/30(b)

     295,479  
     

Kraft Heinz Foods Co., Company Guaranteed Notes:

  
  10,000      BB+   

3.000% due 6/1/26

     10,428  
  40,000      BB+   

4.250% due 3/1/31

     45,794  
  10,000      BB+   

6.750% due 3/15/32

     13,542  
  40,000      BB+   

5.000% due 7/15/35

     49,630  
  30,000      BB+   

6.875% due 1/26/39

     43,993  
  10,000      BB+   

7.125% due 8/1/39(b)

     15,035  
  10,000      BB+   

4.625% due 10/1/39

     11,706  
  445,000      BB+   

5.000% due 6/4/42

     544,685  

 

132


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Food - 0.3% - (continued)

 
  $        150,000      BB+   

5.200% due 7/15/45

   $         191,458  
  678,000      BB+   

4.375% due 6/1/46

     786,263  
  80,000      BB+   

5.500% due 6/1/50

     108,716  
     

Mars Inc., Company Guaranteed Notes:

  
  110,000      A   

2.700% due 4/1/25(b)

     115,018  
  350,000      A   

3.200% due 4/1/30(b)

     376,231  
     

Mondelez International Inc., Senior Unsecured Notes:

  
  330,000      BBB   

1.500% due 5/4/25

     330,847  
  95,000      BBB   

2.750% due 4/13/30

     98,585  
  325,000      B+   

Post Holdings Inc., Senior Unsecured Notes, 4.500% due 9/15/31(b)

     313,415  
  285,000      BBB+   

Tyson Foods Inc., Senior Unsecured Notes, 3.900% due 9/28/23

     299,821  
        

 

 

 
     

Total Food

     4,084,059  
        

 

 

 
 

Forest Products & Paper - 0.1%

 
  200,000      BBB-   

Celulosa Arauco y Constitucion SA, Senior Unsecured Notes, 4.200% due 1/29/30(b)

     211,000  
  65,000      BBB-   

Fibria Overseas Finance Ltd., Company Guaranteed Notes, 5.500% due 1/17/27

     71,532  
     

Georgia-Pacific LLC, Senior Unsecured Notes:

  
  175,000      A+   

3.600% due 3/1/25(b)

     186,461  
  236,000      A+   

0.950% due 5/15/26(b)

     228,613  
  52,000      BBB   

International Paper Co., Senior Unsecured Notes, 4.800% due 6/15/44

     67,368  
     

Suzano Austria GmbH, Company Guaranteed Notes:

  
  453,000      BBB-   

3.750% due 1/15/31

     445,476  
  170,000      BBB-   

3.125% due 1/15/32

     158,725  
        

 

 

 
     

Total Forest Products & Paper

     1,369,175  
        

 

 

 
 

Gas - 0.1%

 
  82,000      A-   

Atmos Energy Corp., Senior Unsecured Notes, 4.125% due 10/15/44

     96,811  
  244,000      BBB+   

CenterPoint Energy Resources Corp., Senior Unsecured Notes, 1.750% due 10/1/30

     229,676  
  123,000      BBB+   

Piedmont Natural Gas Co., Inc., Senior Unsecured Notes, 3.500% due 6/1/29

     132,511  
  250,000      BBB+   

Southern Co. Gas Capital Corp., Company Guaranteed Notes, 4.400% due 5/30/47

     298,683  
        

 

 

 
     

Total Gas

     757,681  
        

 

 

 
 

Healthcare - Products - 0.1%

 
     

Abbott Laboratories, Senior Unsecured Notes:

  
  164,000      A+   

3.750% due 11/30/26

     180,968  
  70,000      A+   

4.750% due 11/30/36

     89,945  
  150,000      A+   

4.900% due 11/30/46

     209,030  
  24,000      BBB   

Boston Scientific Corp., Senior Unsecured Notes, 2.650% due 6/1/30

     24,456  
  61,000      A   

Medtronic Inc., Company Guaranteed Notes, 3.500% due 3/15/25

     65,311  
  13,000      WR(c)   

St Jude Medical LLC, Senior Unsecured Notes, 4.750% due 4/15/43

     16,036  
  403,000      BBB+   

Thermo Fisher Scientific Inc., Senior Unsecured Notes, 4.497% due 3/25/30

     479,642  
        

 

 

 
     

Total Healthcare - Products

     1,065,388  
        

 

 

 
 

Healthcare - Services - 0.9%

 
     

Aetna Inc., Senior Unsecured Notes:

  
  40,000      BBB   

2.800% due 6/15/23

     41,065  
  48,000      BBB   

6.625% due 6/15/36

     67,831  
     

Anthem Inc., Senior Unsecured Notes:

  
  1,120,000      A   

3.650% due 12/1/27

     1,221,541  
  248,000      A   

4.550% due 3/1/48

     312,886  
  33,000      A   

4.850% due 8/15/54

     43,104  
     

Centene Corp., Senior Unsecured Notes:

  
  30,000      BBB-   

4.625% due 12/15/29

     32,029  
  30,000      BBB-   

3.375% due 2/15/30

     30,253  
  1,050,000      BBB-   

3.000% due 10/15/30

     1,049,672  
     

CommonSpirit Health:

  
  30,000      A-   

Secured Notes, 4.350% due 11/1/42

     35,071  

 

133


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Healthcare - Services - 0.9% - (continued)

  
     

Senior Secured Notes:

  
  $        205,000      A-   

3.347% due 10/1/29

   $ 218,949  
  190,000      A-   

2.782% due 10/1/30

     195,454  
  95,000      A-   

3.910% due 10/1/50

     109,757  
  355,000      BBB   

Fresenius Medical Care US Finance III Inc., Company Guaranteed Notes, 1.875% due 12/1/26(b)

     351,620  
     

HCA Inc., Senior Secured Notes:

  
  598,000      BBB-   

5.000% due 3/15/24

     645,817  
  1,059,000      BBB-   

5.250% due 4/15/25

     1,178,375  
  152,000      BBB-   

5.250% due 6/15/26

     171,095  
  76,000      BBB-   

4.500% due 2/15/27

     83,716  
  1,429,000      BBB-   

4.125% due 6/15/29

     1,574,578  
  160,000      BBB-   

5.500% due 6/15/47

     211,208  
  390,000      BBB-   

5.250% due 6/15/49

     506,759  
     

Humana Inc., Senior Unsecured Notes:

  
  280,000      BBB+   

3.150% due 12/1/22

     285,508  
  201,000      BBB+   

4.500% due 4/1/25

     219,988  
  128,000      BBB+   

1.350% due 2/3/27

     124,321  
  30,000      BBB+   

3.950% due 3/15/27

     32,812  
  70,000      BBB+   

4.625% due 12/1/42

     86,715  
  40,000      BBB+   

4.950% due 10/1/44

     52,047  
  35,000      BBB+   

3.950% due 8/15/49

     40,896  
  500,000      AA-   

Kaiser Foundation Hospitals, Company Guaranteed Notes, 3.150% due 5/1/27

     535,513  
     

Molina Healthcare Inc., Senior Unsecured Notes:

  
  255,000      BB-   

5.375% due 11/15/22

     263,530  
  564,000      BB-   

3.875% due 11/15/30(b)

     567,962  
     

UnitedHealth Group Inc., Senior Unsecured Notes:

  
  20,000      A+   

2.375% due 10/15/22

     20,333  
  60,000      A+   

3.500% due 6/15/23

     62,707  
  70,000      A+   

3.750% due 7/15/25

     76,008  
  60,000      A+   

1.250% due 1/15/26

     59,865  
  50,000      A+   

3.875% due 12/15/28

     56,248  
  50,000      A+   

2.000% due 5/15/30

     49,707  
  271,000      A+   

4.750% due 7/15/45

     358,102  
  223,000      A+   

3.750% due 10/15/47

     259,195  
  40,000      A+   

4.250% due 6/15/48

     50,032  
  30,000      A+   

4.450% due 12/15/48

     38,590  
  100,000      A+   

3.700% due 8/15/49

     116,427  
  120,000      A+   

3.875% due 8/15/59

     145,484  
  20,000      A+   

3.125% due 5/15/60

     20,982  
        

 

 

 
     

Total Healthcare - Services

     11,603,752  
        

 

 

 
 

Home Builders - 0.0%

  
     

DR Horton Inc., Company Guaranteed Notes:

  
  69,000      BBB   

2.600% due 10/15/25

     71,663  
  23,000      BBB   

1.300% due 10/15/26

     22,514  
  130,000      BBB-   

Lennar Corp., Company Guaranteed Notes, 4.750% due 11/29/27

     147,909  
  10,000      BBB-   

MDC Holdings Inc., Company Guaranteed Notes, 6.000% due 1/15/43

     12,600  
  50,000      BB+   

Toll Brothers Finance Corp., Company Guaranteed Notes, 4.375% due 4/15/23

     51,853  
        

 

 

 
     

Total Home Builders

     306,539  
        

 

 

 
 

Insurance - 0.5%

  
     

American International Group Inc., Senior Unsecured Notes:

  
  90,000      BBB+   

2.500% due 6/30/25

     93,210  
  281,000      BBB+   

4.800% due 7/10/45

     366,684  

 

134


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Insurance - 0.5% - (continued)

 
     

Aon Corp., Company Guaranteed Notes:

  
  $        22,000      A-   

4.500% due 12/15/28

   $ 25,416  
  799,000      A-   

2.800% due 5/15/30

     820,038  
  535,000      A+   

Athene Global Funding, Senior Secured Notes, 0.750% (SOFR + 0.700%) due 5/24/24(b)(d)

     535,921  
  350,000      AA   

Berkshire Hathaway Finance Corp., Company Guaranteed Notes, 4.250% due 1/15/49

     436,012  
  70,000      A   

Chubb INA Holdings Inc., Company Guaranteed Notes, 3.350% due 5/3/26

     75,476  
  100,000      BBB+   

Farmers Exchange Capital, Subordinated Notes, 7.200% due 7/15/48(b)

     148,582  
  900,000      BBB+   

Farmers Exchange Capital II, Subordinated Notes, 6.151% (3-Month USD-LIBOR + 3.744%) due 11/1/53(b)(d)

     1,147,892  
  4,000      BBB+   

Hartford Financial Services Group Inc. (The), Senior Unsecured Notes, 4.300% due 4/15/43

     4,835  
     

Marsh & McLennan Cos., Inc., Senior Unsecured Notes:

  
  189,000      A-   

4.375% due 3/15/29

     215,660  
  268,000      A-   

2.250% due 11/15/30

     266,208  
  620,000      BBB   

MetLife Inc., Junior Subordinated Notes, 6.400% due 12/15/36

     770,644  
  850,000      A-   

Nationwide Mutual Insurance Co., Subordinated Notes, 2.406% (3-Month USD-LIBOR + 2.290%) due 12/15/24(b)(d)

     851,046  
     

Teachers Insurance & Annuity Association of America, Subordinated Notes:

  
  24,000      AA-   

6.850% due 12/16/39(b)

     36,161  
  348,000      AA-   

4.900% due 9/15/44(b)

     458,940  
  85,000      AA-   

4.270% due 5/15/47(b)

     105,291  
  595,000      AA-   

3.300% due 5/15/50(b)

     631,467  
  67,000      BBB   

Willis North America Inc., Company Guaranteed Notes, 2.950% due 9/15/29

     69,526  
        

 

 

 
     

Total Insurance

     7,059,009  
        

 

 

 
 

Internet - 0.4%

  
     

Alphabet Inc., Senior Unsecured Notes:

  
  40,000      AA+   

0.450% due 8/15/25

     39,100  
  70,000      AA+   

0.800% due 8/15/27

     67,280  
  80,000      AA+   

1.100% due 8/15/30

     74,844  
  140,000      AA+   

2.050% due 8/15/50

     127,398  
     

Amazon.com Inc., Senior Unsecured Notes:

  
  190,000      AA   

0.800% due 6/3/25

     187,355  
  240,000      AA   

1.200% due 6/3/27

     235,454  
  130,000      AA   

3.150% due 8/22/27

     140,115  
  120,000      AA   

1.500% due 6/3/30

     116,070  
  320,000      AA   

2.100% due 5/12/31

     321,980  
  80,000      AA   

3.875% due 8/22/37

     94,267  
  360,000      AA   

2.875% due 5/12/41

     374,707  
  160,000      AA   

4.950% due 12/5/44

     220,218  
  100,000      AA   

4.050% due 8/22/47

     123,343  
  200,000      AA   

2.500% due 6/3/50

     192,588  
  40,000      AA   

4.250% due 8/22/57

     52,259  
  69,000      BBB-   

Expedia Group Inc., Company Guaranteed Notes, 3.250% due 2/15/30

     71,193  
     

Prosus NV, Senior Unsecured Notes:

  
  200,000      BBB-   

3.680% due 1/21/30(b)

     204,083  
  940,000      BBB-   

3.061% due 7/13/31(b)

     909,697  
     

Tencent Holdings Ltd., Senior Unsecured Notes:

  
  407,000      A+   

2.985% due 1/19/23(b)

     415,709  
  165,000      A+   

3.975% due 4/11/29(b)

     180,252  
  870,000      A+   

3.680% due 4/22/41(b)

     910,001  
  350,000      A+   

3.840% due 4/22/51(b)

     379,574  
        

 

 

 
     

Total Internet

     5,437,487  
        

 

 

 
 

Investment Companies - 0.1%

  
     

Ares Capital Corp., Senior Unsecured Notes:

  
  131,000      BBB-   

4.250% due 3/1/25

     138,362  
  119,000      BBB-   

3.250% due 7/15/25

     122,655  
  460,000      BBB-   

2.150% due 7/15/26

     454,790  
        

 

 

 
     

Total Investment Companies

     715,807  
        

 

 

 

 

135


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Iron/Steel - 0.0%

  
  $        30,000      BBB-   

ArcelorMittal SA, Senior Unsecured Notes, 7.000% due 10/15/39

   $ 40,975  
     

Vale Overseas Ltd., Company Guaranteed Notes:

  
  72,000      BBB-   

3.750% due 7/8/30

     72,502  
  125,000      BBB-   

6.875% due 11/21/36

     162,136  
  55,000      BBB-   

6.875% due 11/10/39

     72,443  
        

 

 

 
     

Total Iron/Steel

     348,056  
        

 

 

 
 

Leisure Time - 0.0%

  
  110,000      B   

VOC Escrow Ltd., Senior Secured Notes, 5.000% due 2/15/28(b)

     105,720  
        

 

 

 
 

Lodging - 0.1%

  
     

Las Vegas Sands Corp., Senior Unsecured Notes:

  
  450,000      BBB-   

3.200% due 8/8/24

     459,253  
  50,000      BBB-   

2.900% due 6/25/25

     50,636  
  97,000      BBB-   

Marriott International Inc., Senior Unsecured Notes, 4.625% due 6/15/30

     109,326  
     

Sands China Ltd., Senior Unsecured Notes:

  
  400,000      BBB-   

5.125% due 8/8/25

     421,104  
  200,000      BBB-   

3.800% due 1/8/26

     202,460  
  350,000      BBB-   

2.300% due 3/8/27(b)

     334,215  
  200,000      BBB-   

2.850% due 3/8/29(b)

     188,470  
        

 

 

 
     

Total Lodging

     1,765,464  
        

 

 

 
 

Machinery - Diversified - 0.1%

  
     

Deere & Co., Senior Unsecured Notes:

  
  40,000      A   

3.100% due 4/15/30

     43,247  
  130,000      A   

3.750% due 4/15/50

     158,039  
  320,000      BBB-   

nVent Finance Sarl, Company Guaranteed Notes, 3.950% due 4/15/23

     333,430  
  80,000      BBB   

Otis Worldwide Corp., Senior Unsecured Notes, 2.056% due 4/5/25

     81,528  
        

 

 

 
     

Total Machinery - Diversified

     616,244  
        

 

 

 
 

Media - 1.1%

  
     

CCO Holdings LLC/CCO Holdings Capital Corp., Senior Unsecured Notes:

  
  130,000      BB   

5.125% due 5/1/27(b)

     134,015  
  100,000      BB   

4.500% due 5/1/32

     99,731  
  700,000      BB   

4.500% due 6/1/33(b)

     690,854  
     

Charter Communications Operating LLC/Charter Communications Operating Capital, Senior Secured Notes:

  
  300,000      BBB-   

4.908% due 7/23/25

     331,280  
  210,000      BBB-   

3.750% due 2/15/28

     225,717  
  260,000      BBB-   

4.200% due 3/15/28

     285,134  
  330,000      BBB-   

2.300% due 2/1/32

     311,992  
  50,000      BBB-   

3.500% due 3/1/42

     48,496  
  951,000      BBB-   

6.484% due 10/23/45

     1,304,564  
  836,000      BBB-   

5.750% due 4/1/48

     1,059,965  
  330,000      BBB-   

4.800% due 3/1/50

     374,038  
  140,000      BBB-   

4.400% due 12/1/61

     146,373  
  160,000      A-   

Comcast Cable Communications Holdings Inc., Company Guaranteed Notes, 9.455% due 11/15/22

     173,750  
     

Comcast Corp., Company Guaranteed Notes:

  
  10,000      A-   

3.100% due 4/1/25

     10,561  
  30,000      A-   

3.950% due 10/15/25

     32,762  
  80,000      A-   

3.150% due 3/1/26

     85,274  
  177,000      A-   

3.300% due 4/1/27

     190,240  
  1,210,000      A-   

4.150% due 10/15/28

     1,371,875  
  342,000      A-   

2.650% due 2/1/30

     354,250  
  503,000      A-   

3.400% due 4/1/30

     549,278  
  200,000      A-   

4.250% due 10/15/30

     230,752  

 

136


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Media - 1.1% - (continued)

 
  $        56,000      A-   

7.050% due 3/15/33

   $ 81,055  
  7,000      A-   

6.500% due 11/15/35

     10,058  
  50,000      A-   

3.900% due 3/1/38

     57,246  
  20,000      A-   

3.250% due 11/1/39

     21,252  
  20,000      A-   

3.750% due 4/1/40

     22,609  
  27,000      A-   

4.750% due 3/1/44

     34,343  
  111,000      A-   

3.400% due 7/15/46

     118,624  
  82,000      A-   

4.000% due 8/15/47

     95,969  
  272,000      A-   

3.969% due 11/1/47

     316,033  
  20,000      A-   

4.000% due 3/1/48

     23,388  
  23,000      A-   

3.999% due 11/1/49

     26,790  
  520,000      A-   

2.800% due 1/15/51

     503,892  
  109,000      A-   

2.887% due 11/1/51(b)

     107,371  
  21,000      A-   

4.049% due 11/1/52

     25,045  
  439,000      A-   

2.937% due 11/1/56(b)

     427,848  
  22,000      A-   

2.987% due 11/1/63(b)

     21,331  
     

Cox Communications Inc., Senior Unsecured Notes:

  
  82,000      BBB   

3.150% due 8/15/24(b)

     86,030  
  70,000      BBB   

3.850% due 2/1/25(b)

     74,796  
  97,000      BBB   

3.600% due 6/15/51(b)

     104,333  
  125,000      BB   

CSC Holdings LLC, Company Guaranteed Notes, 4.500% due 11/15/31(b)

     121,179  
  600,000      CCC   

Diamond Sports Group LLC/Diamond Sports Finance Co., Senior Secured Notes, 5.375% due 8/15/26(b)

     266,961  
     

DISH DBS Corp.:

  
     

Company Guaranteed Notes:

  
  140,000      B-   

7.750% due 7/1/26

     144,103  
  70,000      B-   

5.125% due 6/1/29

     61,607  
  60,000      B+   

Senior Secured Notes, 5.250% due 12/1/26(b)

     59,594  
     

Fox Corp., Senior Unsecured Notes:

  
  200,000      BBB   

4.030% due 1/25/24

     211,858  
  240,000      BBB   

5.476% due 1/25/39

     310,778  
  425,000      B+   

Sinclair Television Group Inc., Senior Secured Notes, 4.125% due 12/1/30(b)

     383,919  
     

Time Warner Cable LLC, Senior Secured Notes:

  
  230,000      BBB-   

7.300% due 7/1/38

     331,168  
  100,000      BBB-   

5.875% due 11/15/40

     126,943  
  490,000      BBB-   

5.500% due 9/1/41

     601,454  
  240,000      BBB-   

Time Warner Entertainment Co. LP, Senior Secured Notes, 8.375% due 7/15/33

     354,210  
     

ViacomCBS Inc., Senior Unsecured Notes:

  
  10,000      BBB   

3.875% due 4/1/24

     10,556  
  255,000      BBB   

4.200% due 5/19/32

     288,893  
  141,000      BBB   

4.375% due 3/15/43

     159,202  
     

Virgin Media Secured Finance PLC, Senior Secured Notes:

  
  225,000      BB-   

5.500% due 5/15/29(b)

     234,117  
  525,000      BB-   

4.500% due 8/15/30(b)

     515,574  
     

Walt Disney Co. (The), Company Guaranteed Notes:

  
  25,000      BBB+   

6.200% due 12/15/34

     35,211  
  30,000      BBB+   

6.650% due 11/15/37

     44,951  
        

 

 

 
     

Total Media

     14,431,192  
        

 

 

 
 

Mining - 0.4%

  
     

Anglo American Capital PLC, Company Guaranteed Notes:

  
  350,000      BBB   

3.625% due 9/11/24(b)

     369,657  
  617,000      BBB   

4.750% due 4/10/27(b)

     688,058  
  200,000      BBB   

4.000% due 9/11/27(b)

     215,961  
  212,000      BBB   

2.250% due 3/17/28(b)

     208,595  

 

137


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Mining - 0.4% - (continued)

  
  $        200,000      BBB   

Antofagasta PLC, Senior Unsecured Notes, 2.375% due 10/14/30(b)

   $ 190,493  
  40,000      BBB   

Barrick Gold Corp., Senior Unsecured Notes, 5.250% due 4/1/42

     52,602  
     

Barrick North America Finance LLC, Company Guaranteed Notes:

  
  70,000      BBB   

5.700% due 5/30/41

     95,695  
  190,000      BBB   

5.750% due 5/1/43

     263,611  
  150,000      A   

BHP Billsiton Finance USA Ltd., Company Guaranteed Notes, 5.000% due 9/30/43

     200,121  
     

Freeport-McMoRan Inc., Company Guaranteed Notes:

  
  10,000      BB+   

3.875% due 3/15/23

     10,302  
  10,000      BB+   

4.550% due 11/14/24

     10,714  
  70,000      BB+   

5.450% due 3/15/43

     86,407  
     

Glencore Funding LLC, Company Guaranteed Notes:

  
  820,000      BBB+   

4.125% due 3/12/24(b)

     866,334  
  210,000      BBB+   

4.625% due 4/29/24(b)

     224,889  
  25,000      BBB+   

1.625% due 4/27/26(b)

     24,595  
  159,000      BBB+   

4.000% due 3/27/27(b)

     171,437  
  308,000      BBB+   

2.500% due 9/1/30(b)

     299,658  
  76,000      BBB+   

2.850% due 4/27/31(b)

     75,681  
     

Indonesia Asahan Aluminium Persero PT, Senior Unsecured Notes:

  
  200,000      Baa2(c)   

4.750% due 5/15/25

     213,310  
  200,000      Baa2(c)   

6.530% due 11/15/28(b)

     239,482  
  860,000      BBB+   

Southern Copper Corp., Senior Unsecured Notes, 5.250% due 11/8/42

     1,059,701  
     

Teck Resources Ltd., Senior Unsecured Notes:

  
  200,000      BBB-   

3.900% due 7/15/30

     214,555  
  10,000      BBB-   

6.000% due 8/15/40

     12,899  
  90,000      BB+   

Yamana Gold Inc., Company Guaranteed Notes, 4.625% due 12/15/27

     99,301  
        

 

 

 
     

Total Mining

     5,894,058  
        

 

 

 
 

Miscellaneous Manufacturers - 0.4%

  
     

3M Co., Senior Unsecured Notes:

  
  150,000      A+   

2.375% due 8/26/29

     154,604  
  30,000      A+   

3.050% due 4/15/30

     32,434  
  190,000      A+   

3.700% due 4/15/50

     224,168  
  160,000      A-   

Eaton Corp., Company Guaranteed Notes, 4.150% due 11/2/42

     191,086  
  1,946,000      BBB+   

GE Capital International Funding Co. Unlimited Co., Company Guaranteed Notes, 4.418% due 11/15/35

     2,354,254  
     

General Electric Co., Senior Unsecured Notes:

  
  30,000      BBB+   

3.450% due 5/1/27

     32,709  
  70,000      BBB+   

3.625% due 5/1/30

     78,963  
  390,000      BBB+   

6.750% due 3/15/32

     540,200  
  1,025,000      BBB+   

0.636% (3-Month USD-LIBOR + 0.480%) due 8/15/36(d)

     896,896  
  86,000      BBB+   

6.875% due 1/10/39

     135,805  
  156,000      BBB+   

Parker-Hannifin Corp., Senior Unsecured Notes, 3.250% due 6/14/29

     166,299  
     

Textron Inc., Senior Unsecured Notes:

  
  70,000      BBB   

3.650% due 3/15/27

     75,718  
  218,000      BBB   

3.900% due 9/17/29

     241,312  
        

 

 

 
     

Total Miscellaneous Manufacturers

     5,124,448  
        

 

 

 
 

Oil & Gas - 1.7%

  
     

Apache Corp., Senior Unsecured Notes:

  
  181,000      BB+   

3.250% due 4/15/22

     181,667  
  220,000      BB+   

4.375% due 10/15/28

     232,379  
  20,000      BB+   

5.250% due 2/1/42

     22,221  
  30,000      BB+   

4.750% due 4/15/43

     32,028  
  60,000      BB+   

4.250% due 1/15/44

     59,256  
  90,000      BB+   

5.350% due 7/1/49

     102,845  

 

138


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Oil & Gas - 1.7% - (continued)

 
     

BP Capital Markets America Inc., Company Guaranteed Notes:

  
  $        230,000      A-   

3.216% due 11/28/23

   $        239,929  
  30,000      A-   

3.790% due 2/6/24

     31,728  
  300,000      A-   

3.410% due 2/11/26

     321,828  
  110,000      A-   

3.633% due 4/6/30

     121,002  
  190,000      A-   

3.001% due 3/17/52

     186,381  
     

BP Capital Markets PLC, Company Guaranteed Notes:

  
  270,000      A-   

3.814% due 2/10/24

     285,452  
  30,000      A-   

3.535% due 11/4/24

     31,923  
  270,000      A-   

3.506% due 3/17/25

     287,574  
     

Chevron Corp., Senior Unsecured Notes:

  
  190,000      AA-   

1.554% due 5/11/25

     191,521  
  230,000      AA-   

2.954% due 5/16/26

     244,142  
  70,000      AA-   

1.995% due 5/11/27

     70,888  
  240,000      AA-   

Chevron USA Inc., Company Guaranteed Notes, 3.850% due 1/15/28

     267,145  
     

ConocoPhillips, Company Guaranteed Notes:

  
  80,000      A-   

3.750% due 10/1/27(b)

     87,498  
  550,000      A-   

4.300% due 8/15/28(b)

     624,048  
     

Continental Resources Inc., Company Guaranteed Notes:

  
  20,000      BB+   

4.500% due 4/15/23

     20,708  
  870,000      BB+   

3.800% due 6/1/24

     909,093  
  80,000      BB+   

2.268% due 11/15/26(b)

     78,960  
  120,000      BB+   

5.750% due 1/15/31(b)

     139,918  
  30,000      BB+   

4.900% due 6/1/44

     33,389  
     

Coterra Energy Inc., Senior Unsecured Notes:

  
  470,000      BBB   

3.900% due 5/15/27(b)

     510,346  
  150,000      BBB   

4.375% due 3/15/29(b)

     167,668  
     

Devon Energy Corp., Senior Unsecured Notes:

  
  708,000      BBB-   

5.850% due 12/15/25

     812,542  
  32,000      BBB-   

5.250% due 10/15/27(b)

     33,840  
  2,000      BBB-   

5.875% due 6/15/28(b)

     2,183  
  20,000      BBB-   

4.500% due 1/15/30(b)

     21,492  
  460,000      BBB-   

5.600% due 7/15/41

     580,696  
  71,000      BBB-   

4.750% due 5/15/42

     81,934  
  314,000      BBB-   

5.000% due 6/15/45

     381,307  
     

Diamondback Energy Inc., Company Guaranteed Notes:

  
  357,000      BBB-   

2.875% due 12/1/24

     370,802  
  76,000      BBB-   

3.250% due 12/1/26

     79,873  
  484,000      BBB-   

3.500% due 12/1/29

     508,452  
  606,000      BBB-   

3.125% due 3/24/31

     619,264  
  64,000      BBB-   

4.400% due 3/24/51

     72,634  
     

Ecopetrol SA, Senior Unsecured Notes:

  
  95,000      BB+   

4.125% due 1/16/25

     95,988  
  760,000      BB+   

5.875% due 5/28/45

     709,870  
  29,000      BB   

Endeavor Energy Resources LP/EER Finance Inc., Senior Unsecured Notes, 5.750% due 1/30/28(b)

     30,201  
     

EOG Resources Inc., Senior Unsecured Notes:

  
  14,000      A-   

3.150% due 4/1/25

     14,786  
  10,000      A-   

4.150% due 1/15/26

     10,992  
  210,000      A-   

4.375% due 4/15/30

     241,919  
  260,000      A-   

3.900% due 4/1/35

     293,527  
  170,000      A-   

4.950% due 4/15/50

     230,575  
     

EQT Corp., Senior Unsecured Notes:

  
  20,000      BB+   

3.000% due 10/1/22

     20,073  
  10,000      BB+   

6.625% due 2/1/25

     11,137  

 

139


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Oil & Gas - 1.7% - (continued)

  
  $        250,000      BB+   

3.900% due 10/1/27

   $  260,943  
  60,000      BB+   

5.000% due 1/15/29

     65,811  
  130,000      BB+   

3.625% due 5/15/31(b)

     132,509  
     

Exxon Mobil Corp., Senior Unsecured Notes:

  
  20,000      AA-   

1.571% due 4/15/23

     20,265  
  430,000      AA-   

2.992% due 3/19/25

     452,999  
  380,000      AA-   

3.043% due 3/1/26

     403,531  
  180,000      AA-   

3.482% due 3/19/30

     197,211  
  70,000      AA-   

4.114% due 3/1/46

     83,694  
  110,000      AA-   

4.327% due 3/19/50

     138,425  
  100,000      AA-   

3.452% due 4/15/51

     109,736  
  200,000      Baa2(c)   

KazMunayGas National Co. JSC, Senior Unsecured Notes, 5.375% due 4/24/30

     229,893  
  28,000      BBB   

Marathon Petroleum Corp., Senior Unsecured Notes, 6.500% due 3/1/41

     38,807  
  30,000      BB-   

MEG Energy Corp., Company Guaranteed Notes, 5.875% due 2/1/29(b)

     29,801  
     

Occidental Petroleum Corp., Senior Unsecured Notes:

  
  200,000      BB   

6.950% due 7/1/24

     220,462  
  760,000      BB   

5.550% due 3/15/26

     818,721  
  90,000      BB   

3.400% due 4/15/26

     89,325  
  140,000      BB   

7.500% due 5/1/31

     175,655  
  75,000      BB   

7.875% due 9/15/31

     97,890  
  233,000      BB   

zero coupon, due 10/10/36

     128,150  
  150,000      BB   

4.500% due 7/15/44

     150,377  
  90,000      BB   

4.625% due 6/15/45

     91,118  
  30,000      BB   

4.100% due 2/15/47

     28,723  
  560,000      BB   

4.200% due 3/15/48

     538,821  
     

Pertamina Persero PT, Senior Unsecured Notes:

  
  200,000      Baa2(c)   

3.100% due 1/21/30(b)

     203,577  
  200,000      Baa2(c)   

3.100% due 8/27/30(b)

     204,090  
  360,000      BB-   

Petrobras Global Finance BV, Company Guaranteed Notes, 5.750% due 2/1/29

     380,916  
     

Petroleos Mexicanos, Company Guaranteed Notes:

  
  19,000      BBB   

6.625% due 6/15/35

     17,572  
  1,170,000      BBB   

6.750% due 9/21/47

     964,566  
  170,000      BBB   

6.950% due 1/28/60

     139,499  
     

Petronas Capital Ltd., Company Guaranteed Notes:

  
  200,000      A-   

3.500% due 4/21/30(b)

     217,313  
  200,000      A-   

2.480% due 1/28/32(b)

     200,342  
     

Pioneer Natural Resources Co., Senior Unsecured Notes:

  
  30,000      BBB   

1.125% due 1/15/26

     29,244  
  250,000      BBB   

2.150% due 1/15/31

     240,395  
     

Qatar Energy, Senior Unsecured Notes:

  
  390,000      AA-   

2.250% due 7/12/31(b)

     384,166  
  240,000      AA-   

3.125% due 7/12/41(b)

     241,213  
  450,000      AA-   

3.300% due 7/12/51(b)

     461,052  
  200,000      BBB-   

Raizen Fuels Finance SA, Company Guaranteed Notes, 5.300% due 1/20/27(b)

     217,206  
     

Range Resources Corp., Company Guaranteed Notes:

  
  8,000      BB-   

5.875% due 7/1/22

     8,079  
  105,000      B1(c)   

5.000% due 3/15/23

     106,640  
  50,000      BB-   

4.875% due 5/15/25

     51,052  
  200,000      A1(c)   

Saudi Arabian Oil Co., Senior Unsecured Notes, 2.250% due 11/24/30(b)

     193,601  
     

Shell International Finance BV, Company Guaranteed Notes:

  
  260,000      A+   

2.875% due 5/10/26

     275,802  
  300,000      A+   

3.875% due 11/13/28

     335,730  
  60,000      A+   

2.750% due 4/6/30

     62,800  

 

140


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face

Amount/Units†

     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Oil & Gas - 1.7% - (continued)

 
  $        90,000      A+   

4.550% due 8/12/43

   $ 113,565  
  220,000      A+   

4.375% due 5/11/45

     272,183  
  40,000      A+   

4.000% due 5/10/46

     47,551  
  480,000      A+   

3.250% due 4/6/50

     516,535  
  400,000      A+   

Sinopec Group Overseas Development 2014 Ltd., Company Guaranteed Notes, 4.375% due 4/10/24(b)

     430,437  
     

Southwestern Energy Co., Company Guaranteed Notes:

  
  10,000      BB   

5.375% due 2/1/29

     10,314  
  20,000      BB   

5.375% due 3/15/30

     20,863  
     

Suncor Energy Inc., Senior Unsecured Notes:

  
  58,000      BBB+   

6.800% due 5/15/38

     82,280  
  51,000      BBB+   

6.850% due 6/1/39

     73,358  
  425,000      BB-   

Sunoco LP/Sunoco Finance Corp., Company Guaranteed Notes, 4.500% due 5/15/29

     420,006  
  85,090      B-   

Transocean Pontus Ltd., Senior Secured Notes, 6.125% due 8/1/25(b)

     83,652  
  140,000      B-   

Transocean Poseidon Ltd., Senior Secured Notes, 6.875% due 2/1/27(b)

     133,305  
        

 

 

 
     

Total Oil & Gas

     22,347,395  
        

 

 

 
 

Oil & Gas Services - 0.0%

 
     

Halliburton Co., Senior Unsecured Notes:

  
  14,000      BBB+   

3.800% due 11/15/25

     15,166  
  20,000      BBB+   

4.850% due 11/15/35

     23,811  
  50,000      BBB+   

5.000% due 11/15/45

     61,448  
     

Schlumberger Holdings Corp., Senior Unsecured Notes:

  
  90,000      A   

4.000% due 12/21/25(b)

     98,070  
  171,000      A   

3.900% due 5/17/28(b)

     186,925  
  19,000      B-   

Transocean Phoenix 2 Ltd., Senior Secured Notes, 7.750% due 10/15/24(b)

     19,045  
  68,750      B-   

Transocean Proteus Ltd., Senior Secured Notes, 6.250% due 12/1/24(b)

     67,531  
        

 

 

 
     

Total Oil & Gas Services

     471,996  
        

 

 

 
 

Packaging & Containers - 0.1%

 
  236,000      BBB   

Amcor Flexibles North America Inc., Company Guaranteed Notes, 2.690% due 5/25/31

     240,138  
     

Ball Corp., Company Guaranteed Notes:

  
  130,000      BB+   

4.000% due 11/15/23

     136,159  
  110,000      BB+   

3.125% due 9/15/31

     105,964  
     

Berry Global Inc., Senior Secured Notes:

  
  530,000      BBB-   

1.570% due 1/15/26

     519,829  
  510,000      BBB-   

4.875% due 7/15/26(b)

     529,801  
  40,000      BBB   

Packaging Corp. of America, Senior Unsecured Notes, 3.050% due 10/1/51

     40,954  
  20,000      BBB   

WestRock RKT LLC, Company Guaranteed Notes, 4.000% due 3/1/23

     20,632  
        

 

 

 
     

Total Packaging & Containers

     1,593,477  
        

 

 

 
 

Pharmaceuticals - 1.7%

 
     

AbbVie Inc., Senior Unsecured Notes:

  
  100,000      BBB+   

3.450% due 3/15/22

     100,351  
  680,000      BBB+   

2.300% due 11/21/22

     690,474  
  30,000      BBB+   

3.750% due 11/14/23

     31,531  
  730,000      BBB+   

2.600% due 11/21/24

     755,915  
  260,000      BBB+   

3.800% due 3/15/25

     278,166  
  100,000      BBB+   

3.600% due 5/14/25

     106,612  
  150,000      BBB+   

2.950% due 11/21/26

     157,750  
  880,000      BBB+   

3.200% due 11/21/29

     937,860  
  171,000      BBB+   

4.550% due 3/15/35

     205,011  
  278,000      BBB+   

4.500% due 5/14/35

     331,418  
  546,000      BBB+   

4.300% due 5/14/36

     637,497  
  175,000      BBB+   

4.050% due 11/21/39

     200,958  
  7,000      BBB+   

4.625% due 10/1/42

     8,537  
  489,000      BBB+   

4.400% due 11/6/42

     587,222  

 

141


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

  
 

Pharmaceuticals - 1.7% - (continued)

  
  $        150,000      BBB+   

4.750% due 3/15/45

   $ 190,327  
  230,000      BBB+   

4.250% due 11/21/49

     277,800  
  255,000      WR(c)   

Allergan Funding SCS, Company Guaranteed Notes, 4.550% due 3/15/35

     282,908  
  330,000      A-   

AstraZeneca PLC, Senior Unsecured Notes, 1.375% due 8/6/30

     311,020  
     

Bayer US Finance II LLC, Company Guaranteed Notes:

  
  280,000      BBB   

4.250% due 12/15/25(b)

     305,117  
  625,000      BBB   

4.375% due 12/15/28(b)

     702,524  
  285,000      BBB   

4.625% due 6/25/38(b)

     340,280  
  140,000      BBB   

4.400% due 7/15/44(b)

     160,393  
  670,000      BBB   

4.875% due 6/25/48(b)

     848,100  
     

Becton Dickinson & Co., Senior Unsecured Notes:

  
  377,000      BBB   

3.363% due 6/6/24

     395,851  
  17,000      BBB   

3.734% due 12/15/24

     18,156  
  47,000      BBB   

4.685% due 12/15/44

     58,803  
     

Bristol-Myers Squibb Co., Senior Unsecured Notes:

  
  190,000      A+   

2.600% due 5/16/22

     191,948  
  60,000      A+   

3.550% due 8/15/22

     61,307  
  326,000      A+   

2.900% due 7/26/24

     341,544  
  137,000      A+   

3.875% due 8/15/25

     148,755  
  240,000      A+   

3.200% due 6/15/26

     258,610  
  130,000      A+   

3.400% due 7/26/29

     142,695  
  46,000      A+   

5.000% due 8/15/45

     62,428  
     

Cigna Corp.:

  
     

Company Guaranteed Notes:

  
  216,000      A-   

3.750% due 7/15/23

     225,543  
  65,000      A-   

3.500% due 6/15/24

     68,541  
  624,000      A-   

4.125% due 11/15/25

     681,950  
  244,000      A-   

3.400% due 3/1/27

     261,936  
  720,000      A-   

4.375% due 10/15/28

     817,783  
  300,000      A-   

4.800% due 8/15/38

     369,307  
     

Senior Unsecured Notes:

  
  210,000      A-   

3.200% due 3/15/40

     216,868  
  420,000      A-   

3.400% due 3/15/51

     446,396  
     

CVS Health Corp., Senior Unsecured Notes:

  
  340,000      BBB   

2.750% due 12/1/22

     345,215  
  28,000      BBB   

3.700% due 3/9/23

     28,978  
  116,000      BBB   

3.875% due 7/20/25

     125,121  
  180,000      BBB   

3.000% due 8/15/26

     189,954  
  207,000      BBB   

3.625% due 4/1/27

     224,146  
  406,000      BBB   

4.300% due 3/25/28

     457,604  
  620,000      BBB   

3.750% due 4/1/30

     680,854  
  140,000      BBB   

2.125% due 9/15/31

     136,513  
  500,000      BBB   

4.875% due 7/20/35

     614,097  
  440,000      BBB   

4.780% due 3/25/38

     538,271  
  50,000      BBB   

4.125% due 4/1/40

     57,237  
  350,000      BBB   

5.125% due 7/20/45

     460,692  
  1,210,000      BBB   

5.050% due 3/25/48

     1,603,817  
  30,000      BBB   

4.250% due 4/1/50

     36,651  
  130,994      BBB   

CVS Pass-Through Trust, Senior Secured Notes, 6.036% due 12/10/28

     151,304  
  202,000      CCC-   

Endo Dac/Endo Finance LLC/Endo Finco Inc., Company Guaranteed Notes, 6.000% due 6/30/28(b)

     155,034  
  88,000      A-   

Evernorth Health Inc., Company Guaranteed Notes, 4.500% due 2/25/26

     97,079  
     

Johnson & Johnson, Senior Unsecured Notes:

  
  100,000      AAA   

0.550% due 9/1/25

     97,538  

 

142


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Pharmaceuticals - 1.7% - (continued)

 
  $        400,000      AAA   

2.450% due 3/1/26

   $ 417,103  
  210,000      AAA   

0.950% due 9/1/27

     205,083  
  110,000      AAA   

3.625% due 3/3/37

     127,424  
  215,000      B-   

Option Care Health Inc., Company Guaranteed Notes, 4.375% due 10/31/29(b)

     214,232  
     

Pfizer Inc., Senior Unsecured Notes:

  
  230,000      A+   

0.800% due 5/28/25

     227,403  
  160,000      A+   

2.625% due 4/1/30

     167,945  
  140,000      A+   

1.700% due 5/28/30

     137,300  
  259,000      BBB+   

Shire Acquisitions Investments Ireland DAC, Company Guaranteed Notes, 3.200% due 9/23/26

     274,324  
  407,000      BBB+   

Takeda Pharmaceutical Co., Ltd., Senior Unsecured Notes, 2.050% due 3/31/30

     397,404  
  50,000      BB-   

Teva Pharmaceutical Finance Co. BV, Company Guaranteed Notes, 2.950% due 12/18/22

     49,912  
     

Teva Pharmaceutical Finance Netherlands III BV, Company Guaranteed Notes:

  
  300,000      BB-   

2.800% due 7/21/23

     300,724  
  220,000      BB-   

7.125% due 1/31/25

     235,338  
  540,000      BB-   

3.150% due 10/1/26

     506,255  
  720,000      BB-   

5.125% due 5/9/29

     704,938  
  130,000      A+   

Wyeth LLC, Company Guaranteed Notes, 5.950% due 4/1/37

     185,157  
        

 

 

 
     

Total Pharmaceuticals

     23,366,839  
        

 

 

 
 

Pipelines - 1.5%

 
     

Cameron LNG LLC, Senior Secured Notes:

  
  50,000      A   

2.902% due 7/15/31(b)

     52,534  
  533,000      A   

3.302% due 1/15/35(b)

     563,561  
  323,000      BBB-   

Cheniere Corpus Christi Holdings LLC, Senior Secured Notes, 5.125% due 6/30/27

     366,153  
     

Cheniere Energy Partners LP, Company Guaranteed Notes:

  
  40,000      BB   

4.000% due 3/1/31(b)

     40,878  
  200,000      BB   

3.250% due 1/31/32(b)

     194,592  
  40,000      BB+   

DCP Midstream Operating LP, Company Guaranteed Notes, 6.450% due 11/3/36(b)

     52,293  
  38,000      A   

Eastern Gas Transmission & Storage Inc., Senior Unsecured Notes, 4.600% due 12/15/44(b)

     45,610  
     

Energy Transfer LP:

  
  10,000      BBB-   

Company Guaranteed Notes, 5.350% due 5/15/45

     11,633  
  170,000      BB   

Junior Subordinated Notes, 6.750% (5-Year CMT Index + 5.134%)(d)(e)

     171,913  
     

Senior Unsecured Notes:

  
  230,000      BBB-   

5.875% due 1/15/24

     248,091  
  270,000      BBB-   

4.500% due 4/15/24

     287,780  
  625,000      BBB-   

5.500% due 6/1/27

     715,999  
  33,000      BBB-   

4.950% due 6/15/28

     37,341  
  679,000      BBB-   

5.250% due 4/15/29

     777,377  
  80,000      BBB-   

8.250% due 11/15/29

     106,168  
  630,000      BBB-   

3.750% due 5/15/30

     666,168  
  200,000      BBB-   

5.300% due 4/1/44

     230,456  
  300,000      BBB-   

5.400% due 10/1/47

     357,017  
  200,000      BBB-   

6.000% due 6/15/48

     250,967  
  10,000      BBB-   

6.250% due 4/15/49

     13,040  
  897,000      BBB-   

5.000% due 5/15/50

     1,032,953  
     

Enterprise Products Operating LLC, Company Guaranteed Notes:

  
  50,000      BBB+   

3.900% due 2/15/24

     52,819  
  780,000      BBB+   

4.150% due 10/16/28

     879,968  
  340,000      BBB+   

2.800% due 1/31/30

     352,392  
  200,000      BBB+   

4.850% due 3/15/44

     239,882  
  181,000      BBB+   

4.200% due 1/31/50

     205,600  
  300,000      BBB+   

3.700% due 1/31/51

     319,259  
  165,000      BBB+   

3.300% due 2/15/53

     165,779  
  70,000      BBB+   

3.950% due 1/31/60

     75,619  

 

143


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Pipelines - 1.5% - (continued)

 
  $        200,000      Aa2(c)   

Galaxy Pipeline Assets Bidco Ltd., Senior Secured Notes, 2.160% due 3/31/34(b)

   $ 194,895  
  42,000      BBB   

Kinder Morgan Energy Partners LP, Company Guaranteed Notes, 6.950% due 1/15/38

     58,502  
     

Kinder Morgan Inc., Company Guaranteed Notes:

  
  480,000      BBB   

5.625% due 11/15/23(b)

     515,739  
  290,000      BBB   

4.300% due 3/1/28

     322,238  
  240,000      BBB   

5.550% due 6/1/45

     306,882  
  10,000      BBB   

5.200% due 3/1/48

     12,473  
  35,000      BBB+   

Magellan Midstream Partners LP, Senior Unsecured Notes, 4.200% due 10/3/47

     39,029  
     

MPLX LP, Senior Unsecured Notes:

  
  180,000      BBB   

4.875% due 6/1/25

     197,559  
  550,000      BBB   

4.800% due 2/15/29

     625,190  
  150,000      BBB   

4.500% due 4/15/38

     167,702  
  260,000      BBB   

4.700% due 4/15/48

     301,184  
  150,000      BBB   

5.500% due 2/15/49

     190,075  
     

NGPL PipeCo LLC, Senior Unsecured Notes:

  
  190,000      BBB-   

4.875% due 8/15/27(b)

     212,387  
  277,000      BBB-   

3.250% due 7/15/31(b)

     280,949  
     

Northern Natural Gas Co., Senior Unsecured Notes:

  
  94,000      A   

4.300% due 1/15/49(b)

     111,320  
  50,000      A   

3.400% due 10/16/51(b)

     52,856  
  426,000      BBB   

Northwest Pipeline LLC, Senior Unsecured Notes, 4.000% due 4/1/27

     465,089  
     

Rockies Express Pipeline LLC, Senior Unsecured Notes:

  
  300,000      BB+   

4.950% due 7/15/29(b)

     315,346  
  280,000      BB+   

6.875% due 4/15/40(b)

     312,980  
  287,879      CCC-   

Ruby Pipeline LLC, Senior Unsecured Notes, 8.000% due 4/1/22(b)(g)

     266,110  
     

Sabine Pass Liquefaction LLC, Senior Secured Notes:

  
  110,000      BBB-   

5.625% due 3/1/25

     122,763  
  135,000      BBB-   

5.000% due 3/15/27

     152,156  
  600,000      BBB-   

4.200% due 3/15/28

     658,884  
  258,000      BBB+   

Southern Natural Gas Co. LLC, Senior Unsecured Notes, 8.000% due 3/1/32

     362,774  
     

Targa Resources Partners LP/Targa Resources Partners Finance Corp., Company Guaranteed Notes:

  
  20,000      BB+   

5.875% due 4/15/26

     20,754  
  20,000      BB+   

5.375% due 2/1/27

     20,479  
  50,000      BB+   

6.500% due 7/15/27

     53,256  
  40,000      BB+   

5.000% due 1/15/28

     41,403  
  20,000      BB+   

6.875% due 1/15/29

     22,185  
  50,000      BB+   

5.500% due 3/1/30

     54,588  
  10,000      BB+   

4.875% due 2/1/31

     10,743  
  40,000      BB+   

4.000% due 1/15/32(b)

     41,400  
  560,000      BBB   

Tennessee Gas Pipeline Co. LLC, Company Guaranteed Notes, 2.900% due 3/1/30(b)

     569,296  
     

Texas Eastern Transmission LP, Senior Unsecured Notes:

  
  30,000      BBB+   

2.800% due 10/15/22(b)

     30,339  
  244,000      BBB+   

3.500% due 1/15/28(b)

     262,652  
  221,000      BBB+   

4.150% due 1/15/48(b)

     257,089  
     

Transcontinental Gas Pipe Line Co. LLC, Senior Unsecured Notes:

  
  1,178,000      BBB   

7.850% due 2/1/26

     1,446,706  
  650,000      BBB   

4.000% due 3/15/28

     712,768  
     

Western Midstream Operating LP, Senior Unsecured Notes:

  
  50,000      BB+   

2.222% (3-Month USD-LIBOR + 2.100%) due 1/13/23(d)

     49,748  
  140,000      BB+   

4.350% due 2/1/25

     145,182  
  40,000      BB+   

4.500% due 3/1/28

     42,788  
  430,000      BB+   

5.300% due 2/1/30

     463,970  
  90,000      BB+   

5.500% due 8/15/48

     104,182  

 

144


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Pipelines - 1.5% - (continued)

 
  $        90,000      BB+   

6.500% due 2/1/50

   $ 102,972  
     

Williams Cos., Inc. (The), Senior Unsecured Notes:

  
  50,000      BBB   

7.500% due 1/15/31

     68,245  
  260,000      BBB   

7.750% due 6/15/31

     357,621  
  116,000      BBB   

8.750% due 3/15/32

     174,177  
        

 

 

 
     

Total Pipelines

     19,811,467  
        

 

 

 
 

Real Estate Investment Trusts (REITs) - 0.8%

 
  580,000      BBB   

American Campus Communities Operating Partnership LP, Company Guaranteed Notes, 3.625% due 11/15/27

     627,357  
     

American Tower Corp., Senior Unsecured Notes:

  
  197,000      BBB-   

1.500% due 1/31/28

     187,824  
  111,000      BBB-   

3.950% due 3/15/29

     121,247  
  134,000      BBB-   

3.800% due 8/15/29

     145,583  
  208,000      BBB-   

2.100% due 6/15/30

     199,900  
  101,000      BBB-   

2.300% due 9/15/31

     97,872  
  271,000      BBB-   

CC Holdings GS V LLC/Crown Castle GS III Corp., Senior Secured Notes, 3.849% due 4/15/23

     281,380  
     

Crown Castle International Corp., Senior Unsecured Notes:

  
  172,000      BBB-   

3.700% due 6/15/26

     184,958  
  267,000      BBB-   

3.800% due 2/15/28

     290,771  
  150,000      BBB-   

3.100% due 11/15/29

     155,981  
  255,000      BBB-   

2.250% due 1/15/31

     246,855  
  144,000      BBB-   

2.500% due 7/15/31

     142,354  
  74,000      BBB-   

4.150% due 7/1/50

     84,708  
     

CyrusOne LP/CyrusOne Finance Corp., Company Guaranteed Notes:

  
  610,000      BBB-   

3.450% due 11/15/29

     651,398  
  45,000      BBB-   

2.150% due 11/1/30

     44,219  
     

Duke Realty LP, Senior Unsecured Notes:

  
  392,000      BBB+   

2.875% due 11/15/29

     411,801  
  139,000      BBB+   

1.750% due 7/1/30

     133,434  
     

Equinix Inc., Senior Unsecured Notes:

  
  427,000      BBB   

2.000% due 5/15/28

     420,470  
  118,000      BBB   

3.200% due 11/18/29

     123,676  
     

GLP Capital LP/GLP Financing II Inc., Company Guaranteed Notes:

  
  795,000      BBB-   

5.250% due 6/1/25

     875,784  
  490,000      BBB-   

5.375% due 4/15/26

     544,240  
  220,000      BBB-   

5.300% due 1/15/29

     251,489  
  467,000      BBB-   

4.000% due 1/15/30

     492,978  
  380,000      BBB   

Healthcare Realty Trust Inc., Senior Unsecured Notes, 2.400% due 3/15/30

     379,592  
  350,000      BBB   

Healthcare Trust of America Holdings LP, Company Guaranteed Notes, 3.100% due 2/15/30

     363,777  
  31,000      BBB+   

Healthpeak Properties Inc., Senior Unsecured Notes, 3.400% due 2/1/25

     32,835  
  545,000      BBB-   

Hudson Pacific Properties LP, Company Guaranteed Notes, 4.650% due 4/1/29

     621,739  
  70,000      BBB-   

Invitation Homes Operating Partnership LP, Company Guaranteed Notes, 2.300% due 11/15/28

     69,323  
  350,000      BBB   

Life Storage LP, Company Guaranteed Notes, 3.875% due 12/15/27

     388,371  
  160,000      BB-   

MGM Growth Properties Operating Partnership LP/MGP Finance Co.-Issuer Inc., Company Guaranteed Notes, 4.500% due 1/15/28

     172,530  
     

National Retail Properties Inc., Senior Unsecured Notes:

  
  314,000      BBB+   

3.100% due 4/15/50

     314,769  
  150,000      BBB+   

3.500% due 4/15/51

     161,225  
  67,000      A-   

Prologis LP, Senior Unsecured Notes, 3.000% due 4/15/50

     69,997  
  144,000      A-   

Realty Income Corp., Senior Unsecured Notes, 3.250% due 1/15/31

     154,988  
  800,000      BBB-   

SL Green Operating Partnership LP, Company Guaranteed Notes, 3.250% due 10/15/22

     811,740  
  400,000      BBB+   

Ventas Realty LP, Company Guaranteed Notes, 3.750% due 5/1/24

     421,400  
        

 

 

 
     

Total Real Estate Investment Trusts (REITs)

     10,678,565  
        

 

 

 

 

145


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Retail - 0.3%

 
     

Alimentation Couche-Tard Inc., Company Guaranteed Notes:

  
  $        250,000      BBB   

3.550% due 7/26/27(b)

   $ 269,213  
  76,000      BBB   

3.439% due 5/13/41(b)

     79,002  
     

Costco Wholesale Corp., Senior Unsecured Notes:

  
  260,000      A+   

1.375% due 6/20/27

     256,792  
  160,000      A+   

1.600% due 4/20/30

     155,952  
     

Home Depot Inc. (The), Senior Unsecured Notes:

  
  210,000      A   

2.500% due 4/15/27

     219,993  
  70,000      A   

3.300% due 4/15/40

     76,435  
  151,000      A   

4.250% due 4/1/46

     188,628  
  20,000      A   

3.900% due 6/15/47

     23,970  
  210,000      A   

3.350% due 4/15/50

     234,106  
     

Lowe’s Cos., Inc., Senior Unsecured Notes:

  
  251,000      BBB+   

3.650% due 4/5/29

     276,263  
  70,000      BBB+   

4.500% due 4/15/30

     81,341  
  74,000      BBB+   

2.800% due 9/15/41

     72,905  
     

McDonald’s Corp., Senior Unsecured Notes:

  
  40,000      BBB+   

3.300% due 7/1/25

     42,635  
  30,000      BBB+   

1.450% due 9/1/25

     30,186  
  140,000      BBB+   

3.700% due 1/30/26

     151,441  
  30,000      BBB+   

3.500% due 3/1/27

     32,582  
  60,000      BBB+   

3.500% due 7/1/27

     65,067  
  340,000      BBB+   

3.800% due 4/1/28

     376,971  
  190,000      BBB+   

2.125% due 3/1/30

     190,112  
  100,000      BBB+   

3.600% due 7/1/30

     111,094  
  155,000      BBB+   

4.875% due 12/9/45

     201,540  
  20,000      BBB+   

3.625% due 9/1/49

     22,351  
  400,000      BBB+   

4.200% due 4/1/50

     488,729  
  360,000      B   

Michaels Cos., Inc. (The), Senior Secured Notes, 5.250% due 5/1/28(b)

     356,598  
  280,000      BBB+   

Starbucks Corp., Senior Unsecured Notes, 2.250% due 3/12/30

     281,185  
  120,000      A   

Target Corp., Senior Unsecured Notes, 2.250% due 4/15/25

     123,832  
     

Walmart Inc., Senior Unsecured Notes:

  
  90,000      AA   

1.500% due 9/22/28

     89,346  
  40,000      AA   

1.800% due 9/22/31

     39,591  
        

 

 

 
     

Total Retail

     4,537,860  
        

 

 

 
 

Savings & Loans - 0.1%

 
     

Nationwide Building Society, Senior Unsecured Notes:

  
  900,000      BBB+   

3.766% (3-Month USD-LIBOR + 1.064%) due 3/8/24(b)(d)

     931,461  
  500,000      BBB+   

4.363% (3-Month USD-LIBOR + 1.392%) due 8/1/24(b)(d)

     526,540  
        

 

 

 
     

Total Savings & Loans

     1,458,001  
        

 

 

 
 

Semiconductors - 0.6%

 
  32,000      A   

Applied Materials Inc., Senior Unsecured Notes, 4.350% due 4/1/47

     41,707  
  245,000      BBB-   

Broadcom Corp./Broadcom Cayman Finance Ltd., Company Guaranteed Notes, 3.875% due 1/15/27

     264,043  
     

Broadcom Inc.:

  
     

Company Guaranteed Notes:

  
  85,000      BBB-   

3.625% due 10/15/24

     90,213  
  469,000      BBB-   

4.750% due 4/15/29

     532,823  
  689,000      BBB-   

5.000% due 4/15/30

     803,548  
  254,000      BBB-   

4.150% due 11/15/30

     278,504  
  98,000      BBB-   

2.450% due 2/15/31(b)

     94,592  
     

Senior Unsecured Notes:

  
  650,000      BBB-   

3.137% due 11/15/35(b)

     641,754  
  10,000      BBB-   

3.187% due 11/15/36(b)

     9,888  

 

146


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Semiconductors - 0.6% - (continued)

 
     

Intel Corp., Senior Unsecured Notes:

  
  $        70,000      A+   

3.700% due 7/29/25

   $ 75,855  
  90,000      A+   

1.600% due 8/12/28

     88,796  
  54,000      A+   

3.734% due 12/8/47

     62,321  
  140,000      A+   

4.750% due 3/25/50

     189,752  
  569,000      A+   

3.050% due 8/12/51

     590,868  
  220,000      A+   

3.200% due 8/12/61

     229,195  
     

KLA Corp., Senior Unsecured Notes:

  
  383,000      BBB+   

4.100% due 3/15/29

     435,808  
  159,000      BBB+   

3.300% due 3/1/50

     173,065  
     

Lam Research Corp., Senior Unsecured Notes:

  
  38,000      A-   

3.750% due 3/15/26

     41,596  
  49,000      A-   

4.875% due 3/15/49

     68,178  
  125,000      A-   

2.875% due 6/15/50

     128,702  
     

NVIDIA Corp., Senior Unsecured Notes:

  
  320,000      A-   

1.550% due 6/15/28

     315,951  
  120,000      A-   

3.500% due 4/1/40

     135,980  
  440,000      A-   

3.500% due 4/1/50

     513,020  
  160,000      A-   

3.700% due 4/1/60

     191,958  
     

NXP BV/NXP Funding LLC/NXP USA Inc., Company Guaranteed Notes:

  
  90,000      BBB   

2.700% due 5/1/25(b)

     93,235  
  859,000      BBB   

4.300% due 6/18/29(b)

     965,290  
  300,000      BBB   

3.400% due 5/1/30(b)

     320,372  
     

QUALCOMM Inc., Senior Unsecured Notes:

  
  30,000      A-   

4.650% due 5/20/35

     37,525  
  137,000      A-   

4.300% due 5/20/47

     174,672  
  90,000      A+   

Texas Instruments Inc., Senior Unsecured Notes, 1.750% due 5/4/30

     88,621  
        

 

 

 
      Total Semiconductors      7,677,832  
        

 

 

 
 

Shipbuilding - 0.0%

 
     

Huntington Ingalls Industries Inc., Company Guaranteed Notes:

  
  185,000      BBB-   

3.483% due 12/1/27

     197,448  
  223,000      BBB-   

2.043% due 8/16/28(b)

     219,844  
        

 

 

 
      Total Shipbuilding      417,292  
        

 

 

 
 

Software - 0.9%

 
     

Activision Blizzard Inc., Senior Unsecured Notes:

  
  189,000      A-   

3.400% due 9/15/26

     202,696  
  144,000      A-   

2.500% due 9/15/50

     125,543  
     

Autodesk Inc., Senior Unsecured Notes:

  
  59,000      BBB   

4.375% due 6/15/25

     64,598  
  190,000      BBB   

2.850% due 1/15/30

     199,260  
  232,000      BBB   

Citrix Systems Inc., Senior Unsecured Notes, 3.300% due 3/1/30

     235,046  
  476,000      BBB+   

Electronic Arts Inc., Senior Unsecured Notes, 1.850% due 2/15/31

     455,280  
  142,000      BBB   

Fidelity National Information Services Inc., Senior Unsecured Notes, 3.100% due 3/1/41

     142,156  
  439,000      BBB   

Fiserv Inc., Senior Unsecured Notes, 3.500% due 7/1/29

     469,088  
     

Microsoft Corp., Senior Unsecured Notes:

  
  270,000      AAA   

2.875% due 2/6/24

     281,248  
  70,000      AAA   

2.700% due 2/12/25

     73,360  
  1,030,000      AAA   

2.400% due 8/8/26

     1,075,545  
  670,000      AAA   

3.300% due 2/6/27

     727,433  
  98,000      AAA   

4.200% due 11/3/35

     121,052  
  5,000      AAA   

3.450% due 8/8/36

     5,755  
  7,000      AAA   

2.525% due 6/1/50

     6,935  
  18,000      AAA   

2.921% due 3/17/52

     19,183  
  8,000      AAA   

2.675% due 6/1/60

     8,045  

 

147


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Software - 0.9% - (continued)

 
  $        42,000      AAA   

3.041% due 3/17/62

   $ 45,763  
     

Oracle Corp., Senior Unsecured Notes:

  
  570,000      BBB+   

1.650% due 3/25/26

     567,807  
  762,000      BBB+   

2.800% due 4/1/27

     791,290  
  235,000      BBB+   

3.250% due 11/15/27

     248,827  
  520,000      BBB+   

2.300% due 3/25/28

     523,528  
  785,000      BBB+   

2.875% due 3/25/31

     804,118  
  411,000      BBB+   

4.300% due 7/8/34

     464,885  
  506,000      BBB+   

3.900% due 5/15/35

     553,625  
  267,000      BBB+   

3.850% due 7/15/36

     291,193  
  444,000      BBB+   

3.800% due 11/15/37

     473,972  
  214,000      BBB+   

3.600% due 4/1/40

     222,911  
  322,000      BBB+   

5.375% due 7/15/40

     405,174  
  570,000      BBB+   

3.650% due 3/25/41

     595,078  
  122,000      BBB+   

3.950% due 3/25/51

     132,579  
      salesforce.com Inc., Senior Unsecured Notes:   
  130,000      A+   

3.250% due 4/11/23

     134,295  
  450,000      A+   

3.700% due 4/11/28

     502,606  
  50,000      A+   

3.050% due 7/15/61

     52,891  
      VMware Inc., Senior Unsecured Notes:   
  247,000      BBB-   

1.800% due 8/15/28

     240,885  
  162,000      BBB-   

4.700% due 5/15/30

     188,249  
        

 

 

 
      Total Software      11,451,899  
        

 

 

 
 

Telecommunications - 2.6%

 
      AT&T Inc., Senior Unsecured Notes:   
  1,000,000      BBB   

zero coupon, due 11/27/22(b)

     993,096  
  20,000      BBB   

4.250% due 3/1/27

     22,158  
  472,000      BBB   

2.300% due 6/1/27

     480,257  
  170,000      BBB   

1.650% due 2/1/28

     165,418  
  306,000      BBB   

4.100% due 2/15/28

     341,300  
  184,000      BBB   

4.350% due 3/1/29

     207,518  
  660,000      BBB   

4.300% due 2/15/30

     745,732  
  1,660,000      BBB   

2.550% due 12/1/33

     1,606,591  
  404,000      BBB   

4.500% due 5/15/35

     466,480  
  47,000      BBB   

5.250% due 3/1/37

     58,658  
  30,000      BBB   

4.900% due 6/15/42

     36,584  
  70,000      BBB   

3.100% due 2/1/43

     67,734  
  73,000      BBB   

4.350% due 6/15/45

     83,078  
  820,000      BBB   

4.750% due 5/15/46

     1,000,950  
  238,000      BBB   

4.500% due 3/9/48

     281,396  
  422,000      BBB   

5.150% due 2/15/50

     543,534  
  167,000      BBB   

3.650% due 6/1/51

     173,637  
  503,000      BBB   

3.550% due 9/15/55

     509,625  
  1,095,000      BBB   

3.800% due 12/1/57

     1,152,519  
  45,000      BBB   

3.650% due 9/15/59

     45,649  
  50,000      BBB   

3.850% due 6/1/60

     52,449  
  305,000      BBB   

3.500% due 2/1/61

     301,720  
  200,000      BBB-   

Bharti Airtel Ltd., Senior Unsecured Notes, 3.250% due 6/3/31(b)

     204,784  
  125,000      B   

CommScope Inc., Senior Secured Notes, 4.750% due 9/1/29(b)

     121,143  
  25,000      BBB+   

Corning Inc., Senior Unsecured Notes, 4.375% due 11/15/57

     30,821  
  160,000      B+   

Frontier Communications Holdings LLC, Senior Secured Notes, 5.000% due 5/1/28(b)

     160,744  
      Intelsat Jackson Holdings SA, Company Guaranteed Notes:   
  400,000      WR(c)   

5.500% due 8/1/23(h)

     194,766  

 

148


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Telecommunications - 2.6% - (continued)

 
  $        184,000      WR(c)   

8.500% due 10/15/24(b)(h)

   $ 92,793  
  605,000      WR(c)   

9.750% due 7/15/25(b)(h)

     299,133  
     

Level 3 Financing Inc., Senior Secured Notes:

  
  586,000      BBB-   

3.400% due 3/1/27(b)

     601,763  
  720,000      BBB-   

3.875% due 11/15/29(b)

     744,685  
  430,000      BB-   

Lumen Technologies Inc., Senior Unsecured Notes, 5.375% due 6/15/29(b)

     418,523  
     

Motorola Solutions Inc., Senior Unsecured Notes:

  
  186,000      BBB-   

4.600% due 2/23/28

     213,571  
  341,000      BBB-   

4.600% due 5/23/29

     391,617  
  253,000      BBB-   

2.300% due 11/15/30

     248,502  
  172,000      BBB-   

2.750% due 5/24/31

     173,383  
  150,000      BBB-   

Qwest Corp., Senior Unsecured Notes, 7.250% due 9/15/25

     175,841  
  34,000      BB+   

Sprint Corp., Company Guaranteed Notes, 7.875% due 9/15/23

     37,401  
     

Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC, Senior Secured Notes:

  
  1,229,375      A2(c)   

4.738% due 3/20/25(b)

     1,283,799  
  1,090,000      A2(c)   

5.152% due 3/20/28(b)

     1,223,735  
  330,000      BBB-   

Telefonica Emisiones SA, Company Guaranteed Notes, 4.103% due 3/8/27

     364,552  
     

T-Mobile USA Inc.:

  
     

Company Guaranteed Notes:

  
  740,000      BB+   

2.250% due 2/15/26

     731,860  
  192,000      BB+   

4.750% due 2/1/28

     200,827  
  110,000      BB+   

2.625% due 2/15/29

     106,292  
  80,000      BB+   

2.875% due 2/15/31

     77,550  
  1,000,000      BB+   

3.500% due 4/15/31

     1,019,020  
     

Senior Secured Notes:

  
  360,000      BBB-   

3.500% due 4/15/25

     381,584  
  1,910,000      BBB-   

3.750% due 4/15/27

     2,056,390  
  30,000      BBB-   

2.050% due 2/15/28

     29,570  
  525,000      BBB-   

3.875% due 4/15/30

     571,387  
  900,000      BBB-   

2.550% due 2/15/31

     887,949  
  290,000      BBB-   

2.250% due 11/15/31

     278,824  
  450,000      BBB-   

4.375% due 4/15/40

     513,280  
  60,000      BBB-   

3.000% due 2/15/41

     57,765  
  10,000      BBB-   

3.300% due 2/15/51

     9,754  
     

Verizon Communications Inc., Senior Unsecured Notes:

  
  220,000      BBB+   

2.625% due 8/15/26

     229,548  
  223,000      BBB+   

4.125% due 3/16/27

     248,666  
  129,000      BBB+   

3.000% due 3/22/27

     136,335  
  360,000      BBB+   

2.100% due 3/22/28

     360,131  
  986,000      BBB+   

4.329% due 9/21/28

     1,124,442  
  362,000      BBB+   

3.875% due 2/8/29

     401,147  
  234,000      BBB+   

4.016% due 12/3/29

     262,698  
  1,495,000      BBB+   

3.150% due 3/22/30

     1,588,656  
  177,000      BBB+   

1.500% due 9/18/30

     166,361  
  138,000      BBB+   

1.680% due 10/30/30

     130,387  
  140,000      BBB+   

1.750% due 1/20/31

     132,729  
  1,225,000      BBB+   

2.550% due 3/21/31

     1,237,415  
  1,025,000      BBB+   

2.355% due 3/15/32(b)

     1,017,247  
  630,000      BBB+   

4.500% due 8/10/33

     743,807  
  140,000      BBB+   

4.400% due 11/1/34

     164,253  
  71,000      BBB+   

5.850% due 9/15/35

     95,983  
  150,000      BBB+   

5.250% due 3/16/37

     197,275  
  397,000      BBB+   

2.650% due 11/20/40

     379,899  

 

149


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 29.8% - (continued)

 
 

Telecommunications - 2.6% - (continued)

 
  $        100,000      BBB+   

4.125% due 8/15/46

   $ 117,931  
  291,000      BBB+   

4.862% due 8/21/46

     383,810  
  20,000      BBB+   

5.500% due 3/16/47

     28,585  
  50,000      BBB+   

4.000% due 3/22/50

     58,741  
  430,000      BBB+   

2.875% due 11/20/50

     420,318  
  114,000      BBB+   

2.987% due 10/30/56

     110,555  
  184,000      BBB+   

3.000% due 11/20/60

     178,094  
  450,000      BB-   

Vmed O2 UK Financing I PLC, Senior Secured Notes, 4.250% due 1/31/31(b)

     431,444  
     

Vodafone Group PLC, Senior Unsecured Notes:

  
  19,000      BBB   

4.125% due 5/30/25

     20,684  
  190,000      BBB   

4.375% due 5/30/28

     214,838  
  116,000      BBB   

5.250% due 5/30/48

     151,689  
  1,035,000      BBB   

4.875% due 6/19/49

     1,299,371  
        

 

 

 
     

Total Telecommunications

     35,272,730  
        

 

 

 
 

Transportation - 0.3%

 
  351,000      AA-   

Burlington Northern Santa Fe LLC, Senior Unsecured Notes, 4.150% due 12/15/48

     435,944  
     

CSX Corp., Senior Unsecured Notes:

  
  82,000      BBB+   

2.600% due 11/1/26

     86,332  
  114,000      BBB+   

3.250% due 6/1/27

     122,592  
  56,000      BBB+   

4.100% due 3/15/44

     65,929  
  31,000      BBB+   

3.350% due 9/15/49

     33,474  
  60,000      BBB+   

2.500% due 5/15/51

     55,943  
     

FedEx Corp., Company Guaranteed Notes:

  
  452,000      BBB   

4.250% due 5/15/30

     517,698  
  91,000      BBB   

4.900% due 1/15/34

     111,322  
     

Norfolk Southern Corp., Senior Unsecured Notes:

  
  282,000      BBB+   

2.550% due 11/1/29

     292,433  
  33,000      BBB+   

4.800% due 8/15/43

     40,152  
     

Ryder System Inc., Senior Unsecured Notes:

  
  69,000      BBB   

2.500% due 9/1/24

     71,500  
  410,000      BBB   

4.625% due 6/1/25

     452,065  
  161,000      BBB   

2.900% due 12/1/26

     168,934  
     

Union Pacific Corp., Senior Unsecured Notes:

  
  64,000      A-   

4.163% due 7/15/22

     64,832  
  50,000      A-   

3.750% due 7/15/25

     54,220  
  60,000      A-   

2.150% due 2/5/27

     61,562  
  651,000      A-   

2.891% due 4/6/36

     680,859  
  35,000      A-   

4.300% due 3/1/49

     44,210  
  234,000      A-   

3.250% due 2/5/50

     254,645  
  300,000      A-   

3.839% due 3/20/60

     356,432  
  160,000      A-   

3.750% due 2/5/70

     187,078  
     

United Parcel Service Inc., Senior Unsecured Notes:

  
  264,000      A-   

3.400% due 3/15/29

     287,516  
  41,000      A-   

2.500% due 9/1/29

     42,913  
  43,000      A-   

4.450% due 4/1/30

     50,815  
        

 

 

 
     

Total Transportation

     4,539,400  
        

 

 

 
 

Trucking & Leasing - 0.0%

 
     

Penske Truck Leasing Co. LP/PTL Finance Corp., Senior Unsecured Notes:

  
  110,000      BBB   

2.700% due 11/1/24(b)

     113,916  
  97,000      BBB   

3.950% due 3/10/25(b)

     104,014  
  164,000      BBB   

4.000% due 7/15/25(b)

     177,413  
  51,000      BBB   

1.700% due 6/15/26(b)

     50,658  
        

 

 

 
     

Total Trucking & Leasing

     446,001  
        

 

 

 
     

TOTAL CORPORATE BONDS & NOTES

(Cost - $381,569,115)

     399,227,149  
        

 

 

 

 

150


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
           Security    Value  
 

MORTGAGE-BACKED SECURITIES - 22.0%

 
 

FHLMC - 4.2%

 
     

Federal Home Loan Mortgage Corp. (FHLMC):

  
  $        521,128        

4.500% due 4/1/29 - 12/1/48

   $     560,858  
  268,999        

5.500% due 1/1/30 - 2/1/40

     306,951  
  4,131,174        

3.000% due 3/1/31 - 1/1/48

     4,355,783  
  11,275,724        

2.500% due 11/1/31 - 9/1/51

     11,592,459  
  14,472,113        

3.500% due 4/1/33 - 2/1/51

     15,515,109  
  697,239        

5.000% due 12/1/34 - 11/1/48

     778,839  
  13,236,698        

2.000% due 3/1/36 - 11/1/51

     13,355,600  
  28,675        

6.000% due 5/1/38 - 6/1/39

     33,401  
  8,992        

7.000% due 3/1/39

     10,507  
  83,204        

6.500% due 9/1/39

     94,331  
  6,906,289        

4.000% due 9/1/40 - 3/1/50

     7,568,185  
  124,994        

2.062% (5-Year CMT Index + 1.285%) due 3/1/47(d)

     128,402  
  261,494        

2.877% (1-Year USD-LIBOR + 1.621%) due 11/1/47(d)

     270,253  
  725,822        

3.014% (1-Year USD-LIBOR + 1.628%) due 11/1/48(d)

     752,470  
  179,298        

3.092% (1-Year USD-LIBOR + 1.622%) due 2/1/50(d)

     186,031  
  1,653,249        

1.500% due 11/1/50

     1,600,636  
        

 

 

 
     

Total FHLMC

     57,109,815  
        

 

 

 
 

FNMA - 14.3%

 
     

Federal National Mortgage Association (FNMA):

  
  1,113,069        

5.000% due 6/1/22 - 12/1/49

     1,245,309  
  899,120        

5.500% due 3/1/23 - 9/1/56

     1,037,042  
  6,245,308        

4.500% due 3/1/24 - 8/1/58

     6,840,430  
  6,806,096        

4.000% due 4/1/24 - 6/1/57

     7,370,160  
  13,658,420        

3.500% due 11/1/25 - 2/1/50

     14,534,398  
  23,065,301        

2.500% due 11/1/27 - 11/1/51

     23,762,900  
  18,752,724        

3.000% due 12/1/27 - 11/1/50

     19,722,865  
  1,147,832        

3.640% due 3/1/28

     1,278,369  
  77,404        

3.160% due 5/1/29

     84,799  
  400,000        

2.790% due 8/1/29

     431,936  
  93,278        

1.789% (1-Year USD-LIBOR + 1.539%) due 3/1/34(d)

     93,282  
  232,371        

6.000% due 8/1/34 - 7/1/41

     263,800  
  313,133        

3.360% due 7/1/35

     346,205  
  15,570        

1.924% (1-Year Treasury Average Rate + 1.846%) due 10/1/35(d)

     16,263  
  4,537        

1.877% (1-Year Treasury Average Rate + 1.790%) due 11/1/35(d)

     4,731  
  13,285        

2.020% (1-Year Treasury Average Rate + 1.939%) due 11/1/35(d)

     13,915  
  3,213,013        

1.500% due 12/1/35 - 8/1/51

     3,191,472  
  23,450,932        

2.000% due 7/1/36 - 11/1/51

     23,556,685  
  5,065,000        

1.500% due 1/1/37(i)

     5,082,609  
  41,500,000        

2.000% due 1/1/37 - 1/1/52(i)

     41,578,328  
  20,564        

7.000% due 4/1/37

     23,286  
  41,176        

1.515% (1-Year USD-LIBOR + 1.265%) due 5/1/37(d)

     41,334  
  147,185        

6.500% due 9/1/37 - 5/1/40

     170,390  
  33,450,000        

2.500% due 12/1/51 - 1/1/52(i)

     34,208,022  
  6,375,000        

3.000% due 12/1/51 - 1/1/52(i)

     6,614,783  
        

 

 

 
     

Total FNMA

     191,513,313  
        

 

 

 
 

GNMA - 3.5%

     
     

Government National Mortgage Association (GNMA):

  
  19,651        

6.000% due 12/15/33 - 6/15/37

     22,100  

 

151


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
   Rating††   Security    Value  

MORTGAGE-BACKED SECURITIES - 22.0% - (continued)

 

GNMA - 3.5% - (continued)

 

$        308,850

    

5.000% due 10/15/34 - 9/15/40

   $ 353,850  

26,975

    

5.500% due 5/15/37 - 6/15/38

     31,397  

39,697

    

6.500% due 1/15/38 - 10/15/38

     46,122  

60,895

    

4.500% due 3/15/41

     68,789  

430,874

    

4.000% due 6/15/41 - 11/15/45

     485,137  

227,441

    

3.000% due 9/15/42 - 10/15/42

     240,388  

157,987

    

3.500% due 6/15/48 - 5/15/50

     168,477  
    

Government National Mortgage Association II (GNMA):

  

53,252

    

6.000% due 7/20/37 - 11/20/40

     61,734  

2,751,083

    

4.500% due 1/20/40 - 12/20/50

     2,957,209  

400,760

    

5.000% due 7/20/40 - 10/20/48

     443,037  

3,823,230

    

4.000% due 11/20/40 - 4/20/50

     4,102,326  

7,770,031

    

3.000% due 1/20/43 - 6/20/51

     8,082,879  

7,637,184

    

3.500% due 6/20/43 - 2/20/51

     8,058,801  

5,242,789

    

2.500% due 9/20/50 - 11/20/51

     5,395,691  

5,765,286

    

2.000% due 12/20/50 - 11/20/51

     5,846,933  

4,000,000

    

2.000% due 1/20/52(i)

     4,044,375  

5,725,000

    

2.500% due 1/20/52(i)

     5,873,045  

100,000

    

3.000% due 12/20/52(i)

     103,637  
       

 

 

 
    

Total GNMA

     46,385,927  
       

 

 

 
    

TOTAL MORTGAGE-BACKED SECURITIES

(Cost - $293,419,986)

     295,009,055  
       

 

 

 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7%

  

984,567

   BB+  

Accredited Mortgage Loan Trust, Series 2007-1, Class A4, 0.312% (1-Month USD-LIBOR + 0.220%) due 2/25/37(d)

     978,641  

109,035

   Aaa(c)  

ACRES Commercial Realty Corp., Series 2020-RSO8, Class A, 1.312% (30-Day SOFR + 1.264%) due 3/15/35(b)(d)

     109,171  

76,684

   CC  

AFC Home Equity Loan Trust, Series 1999-2, Class 2A, 0.742% (1-Month USD-LIBOR + 0.650%) due 6/25/29(d)

     62,564  

1,100,000

   Aaa(c)  

AGL CLO 1 Ltd., Series 2019-1A, Class AR, zero coupon, (3-Month USD-LIBOR+ 1.180%) due 10/20/34(b)(d)

     1,100,960  

1,000,000

   AAA  

Allegro CLO XI Ltd., Series 2019-2A, Class A1A, 1.514% (3-Month USD-LIBOR + 1.390%) due 1/19/33(b)(d)

     1,001,935  

832,123

   CCC  

Alternative Loan Trust, Series 2005-56, Class 4A1, 0.712% (1-Month USD-LIBOR + 0.620%) due 11/25/35(d)

     804,107  

673,200

   BBB  

Applebee’s Funding LLC/IHOP Funding LLC, Series 2019-1A, Class A2I, 4.194% due 6/5/49(b)

     684,616  

210,000

   Baa2(c)  

Aqua Finance Trust, Series 2020-AA, Class C, 3.970% due 7/17/46(b)

     218,277  

890,000

   (P)Aaa(c)  

Arbor Realty Commercial Real Estate Notes Ltd., Series 2021-FL4, Class A, 1.440% (1-Month USD-LIBOR + 1.350%) due 11/15/36(b)(d)

     892,091  
    

Asset-Backed Securities Corp. Home Equity Loan Trust:

  

554,339

   BB  

Series 2007-HE1, Class A1B, 0.242% (1-Month USD-LIBOR + 0.150%) due 12/25/36(d)

     541,430  

750,167

   CCC  

Series 2007-HE1, Class A4, 0.232% (1-Month USD-LIBOR + 0.140%) due 12/25/36(d)

     738,634  
    

BAMLL Commercial Mortgage Securities Trust:

  

480,000

   AA-  

Series 2015-200P, Class B, 3.490% due 4/14/33(b)

     501,488  

420,000

   AAA(k)  

Series 2018-PARK, Class A, 4.227% due 8/10/38(b)(d)

     471,199  

820,000

   AAA  

Series 2019-BPR, Class AMP, 3.287% due 11/5/32(b)

     843,161  

710,000

   AAA(k)  

Series 2020-JGDN, Class A, 2.840% (1-Month USD-LIBOR + 2.750%) due 11/15/30(b)(d)

     720,956  

25,638

   AA+  

Banc of America Mortgage Trust, Series 2004-F, Class 1A1, 2.448% due 7/25/34(d)

     26,200  

411,067

   AAA  

Barings CLO Ltd., Series 2013-IA, Class AR, 0.932% (3-Month USD-LIBOR + 0.800%) due 1/20/28(b)(d)

     410,635  

118,180

   WD(k)  

Bear Stearns Adjustable Rate Mortgage Trust, Series 2007-3, Class 1A1, 3.162% due 5/25/47(d)

     117,214  

57,045

   CCC  

Bear Stearns ALT-A Trust, Series 2005-4, Class 23A2, 2.603% due 5/25/35(d)

     57,527  

295,343

   CC  

Bear Stearns Asset-Backed Securities I Trust, Series 2005-AC6, Class 1A3, 5.500% due 9/25/35(d)

     300,201  
    

Benchmark Mortgage Trust:

  

280,820

   AAA  

Series 2018-B1, Class A2, 3.571% due 1/15/51

     286,136  

348,000

   AAA  

Series 2019-B13, Class A4, 2.952% due 8/15/57

     368,674  

2,197,217

   Aa1(c)  

Series 2021-B28, Class XA, 1.404% due 8/15/54(d)(l)

     209,351  

775,000

   AAA  

BlueMountain Fuji US CLO I Ltd., Series 2017-1A, Class A1R, 1.112% (3-Month USD-LIBOR + 0.980%) due 7/20/29(b)(d)

     774,692  

 

152


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
     

BX Commercial Mortgage Trust:

  
  $        504,000      NR   

Series 2018-IND, Class G, 2.140% (1-Month USD-LIBOR + 2.050%) due
11/15/35(b)(d)

   $ 502,551  
  940,000      AAA   

Series 2019-IMC, Class A, 1.089% (1-Month USD-LIBOR + 1.000%) due 4/15/34(b)(d)

     939,051  
  300,000      Baa2(c)   

Series 2021-XL2, Class D, 1.487% (1-Month USD-LIBOR + 1.397%) due 10/15/38(b)(d)

     294,510  
  220,000      BBB-   

BX Trust, Series 2021-ARIA, Class D, 1.985% (1-Month USD-LIBOR + 1.895%) due 10/15/36(b)(d)

     219,467  
  1,992,496      AA+   

CD Mortgage Trust, Series 2017-CD4, Class XA, 1.431% due 5/10/50(d)(l)

     97,283  
  545,000      AA+   

CGRBS Commercial Mortgage Trust, Series 2013-VN05, Class A, 3.369% due 3/13/35(b)

     557,412  
  44,014      BB   

Chase Mortgage Finance Trust, Series 2007-A1, Class 5A1, 2.512% due 2/25/37(d)

     44,836  
     

Chevy Chase Funding LLC Mortgage-Backed Certificates:

  
  283,932      BBB   

Series 2004-2A, Class A1, 0.362% (1-Month USD-LIBOR + 0.270%) due 5/25/35(b)(d)

     284,977  
  1,219,284      CCC   

Series 2004-2A, Class B1, 0.613% due 5/25/35(b)(d)

     1,096,099  
     

CIM Trust:

  
  515,172      NR   

Series 2018-R5, Class A1, 3.750% due 7/25/58(b)(d)

     514,834  
  531,046      NR   

Series 2018-R6, Class A1, 1.162% (1-Month USD-LIBOR + 1.076%) due 9/25/58(b)(d)

     528,508  
  1,176,312      NR   

Series 2019-R4, Class A1, 3.000% due 10/25/59(b)(d)

     1,184,605  
  657,156      NR   

Series 2020-R6, Class A1A, 2.250% due 12/25/60(b)(d)

     648,522  
  1,355,190      NR   

Series 2021-R1, Class A2, 2.400% due 8/25/56(b)(d)

     1,345,171  
  1,455,296      NR   

Series 2021-R3, Class A1A, 1.951% due 6/25/57(b)(d)

     1,453,884  
  1,664,013      NR   

Series 2021-R4, Class A1A, 2.000% due 5/1/61(b)(d)

     1,659,691  
     

Citigroup Commercial Mortgage Trust:

  
  140,000      Aaa(c)   

Series 2013-375P, Class A, 3.251% due 5/10/35(b)

     143,449  
  575,000      Aaa(c)   

Series 2015-P1, Class A5, 3.717% due 9/15/48

     616,229  
  285,000      Aa3(c)   

Series 2016-C2, Class B, 3.176% due 8/10/49

     291,409  
  740,000      Aaa(c)   

Series 2016-C3, Class A3, 2.896% due 11/15/49

     774,955  
  1,017,216      Aaa(c)   

Series 2016-GC37, Class A3, 3.050% due 4/10/49

     1,049,143  
  500,000      Aaa(c)   

Series 2016-P5, Class A4, 2.941% due 10/10/49

     525,418  
  355,000      Aaa(c)   

Series 2017-P7, Class AAB, 3.509% due 4/14/50

     374,112  
  1,651,640      CC   

Citigroup Mortgage Loan Trust, Series 2006-AR6, Class 2A4, 0.532% (1-Month USD-LIBOR + 0.440%) due 9/25/36(d)

     576,678  
     

Commercial Mortgage Trust:

  
  190,000      AA-(k)   

Series 2013-300P, Class B, 4.540% due 8/10/30(b)(d)

     196,880  
  260,000      D   

Series 2013-CR9, Class E, 4.421% due 7/10/45(b)(d)(g)

     102,180  
  534,843      Aaa(c)   

Series 2013-CR11, Class A3, 3.983% due 8/10/50

     558,593  
  40,000      A2(c)   

Series 2013-CR12, Class B, 4.762% due 10/10/46(d)

     41,577  
  20,000      Ba1(c)   

Series 2013-CR12, Class C, 5.241% due 10/10/46(d)

     19,893  
  205,000      Baa3(c)   

Series 2014-CR17, Class C, 4.946% due 5/10/47(d)

     214,832  
  140,000      AAA   

Series 2014-CR18, Class A5, 3.828% due 7/15/47

     148,098  
  272,410      AAA   

Series 2014-CR18, Class ASB, 3.452% due 7/15/47

     278,499  
  210,000      A-(k)   

Series 2014-CR21, Class C, 4.569% due 12/10/47(d)

     215,791  
  345,000      Aaa(c)   

Series 2014-LC17, Class A5, 3.917% due 10/10/47

     367,482  
  2,906,514      Aa1(c)   

Series 2015-CR25, Class XA, 0.973% due 8/10/48(d)(l)

     75,911  
  175,000      Aaa(c)   

Series 2015-CR26, Class A4, 3.630% due 10/10/48

     187,573  
  901,981      Aaa(c)   

Series 2015-CR27, Class A3, 3.349% due 10/10/48

     941,018  
  465,000      Aaa(c)   

Series 2018-COR3, Class A3, 4.228% due 5/10/51

     524,771  
     

Countrywide Asset-Backed Certificates:

  
  67,852      CCC   

Series 2006-SD3, Class A1, 0.752% (1-Month USD-LIBOR + 0.660%) due 7/25/36(b)(d)

     66,439  
  212,204      AA   

Series 2007-13, Class 2A2, 0.892% (1-Month USD-LIBOR + 0.800%) due 10/25/47(d)

     211,483  
     

Countrywide Home Loan Mortgage Pass-Through Trust:

  
  60,207      WR(c)   

Series 2005-11, Class 3A3, 2.540% due 4/25/35(d)

     49,360  
  43,397      WR(c)   

Series 2005-11, Class 6A1, 0.692% (1-Month USD-LIBOR + 0.600%) due 3/25/35(d)

     35,075  
     

Credit Suisse Commercial Mortgage Capital Trust:

  
  1,260,000      CCC   

Series 2014-USA, Class F, 4.373% due 9/15/37(b)

     988,923  
  139,443      NR   

Series 2015-5R, Class 1A1, 1.013% due 9/27/46(b)(d)

     139,931  
  345,610      NR   

Series 2021-2R, Class 1A1, 1.838% (1-Month USD-LIBOR + 1.750%) due 7/25/47(b)(d)

     351,699  
  220,000      AAA(k)   

Series 2021-NQM7, Class A1, 1.756% due 10/25/66(b)(d)

     221,428  
  1,577,356      NR   

Series 2021-RPL4, Class A1, 1.796% due 12/27/60(b)(d)

     1,582,789  

 

153


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
  $        152,000      BBB-   

Credit Suisse Commercial Mortgage Securities Corp., Series 2019-SKLZ, Class D, 3.690% (1-Month USD-LIBOR + 3.600%) due 1/15/34(b)(d)

   $ 150,797  
  35,536      WR(c)   

Credit Suisse First Boston Mortgage Securities Corp., Series 2005-6, Class 8A1, 4.500% due 7/25/20

     35,451  
     

Credit Suisse Mortgage Capital Certificates:

  
  660,000      Aaa(c)   

Series 2019-ICE4, Class A, 1.070% (1-Month USD-LIBOR + 0.980%) due 5/15/36(b)(d)

     660,771  
  950,000      B2(c)   

Series 2019-ICE4, Class F, 2.740% (1-Month USD-LIBOR + 2.650%) due 5/15/36(b)(d)

     945,023  
     

CSAIL Commercial Mortgage Trust:

  
  295,000      Aaa(c)   

Series 2015-C1, Class A4, 3.505% due 4/15/50

     311,382  
  270,000      Aaa(c)   

Series 2015-C3, Class A4, 3.718% due 8/15/48

     288,569  
  1,000,000      Aaa(c)   

Series 2016-C5, Class A5, 3.757% due 11/15/48

     1,074,392  
  180,000      Aaa(c)   

Series 2021-C20, Class A3, 2.805% due 3/15/54

     188,544  
  280,000      Aa3(c)   

CSMC NET, Series 2020-NET, Class B, 2.816% due 8/15/37(b)

     284,281  
  777,749      AAA(k)   

CSMC Trust, Series 2018-J1, Class A2, 3.500% due 2/25/48(b)(d)

     791,285  
  645,225      CC   

CWABS Revolving Home Equity Loan Trust, Series 2004-B, Class 2A, 0.310% (1-Month USD-LIBOR + 0.220%) due 2/15/29(d)

     617,085  
  350,000      AA-(k)   

DBJPM Mortgage Trust, Series 2016-C1, Class B, 4.195% due 5/10/49(d)

     369,877  
  1,417,000      Aaa(c)   

DBWF Mortgage Trust, Series 2018-AMXP, Class A, 3.873% due 5/5/35(b)(d)

     1,418,323  
  390,000      Aaa(c)   

DC Office Trust, Series 2019-MTC, Class A, 2.965% due 9/15/45(b)

     411,181  
  31,557      CCC   

Downey Savings & Loan Association Mortgage Loan Trust, Series 2004-AR2, Class A2B, 0.889% (1-Month USD-LIBOR + 0.800%) due 11/19/44(d)

     30,524  
  700,000      AAA   

Dryden XXVIII Senior Loan Fund, Series 2013-28A, Class A1LR, 1.356% (3-Month USD-LIBOR + 1.200%) due 8/15/30(b)(d)

     700,355  
  203,963      B-   

Equifirst Mortgage Loan Trust, Series 2003-2, Class M2, 2.642% (1-Month USD-LIBOR + 2.550%) due 9/25/33(d)

     206,236  
  825,704      Aaa(c)   

Extended Stay America Trust, Series 2021-ESH, Class A, 1.170% (1-Month USD-LIBOR + 1.080%) due 7/15/38(b)(d)

     826,544  
     

Federal Home Loan Mortgage Corp. (FHLMC), Interest Strips:

  
  57,465      NR   

Series 334, Class S7, 6.011% (6.100% - 1-Month USD-LIBOR) due 8/15/44(j)(l)

     11,140  
  88,410      NR   

Series 353, Class S1, 5.911% (6.000% - 1-Month USD-LIBOR) due 12/15/46(j)(l)

     16,590  
     

Federal Home Loan Mortgage Corp. (FHLMC), REMICS:

  
  4,109      NR   

Series 1865, Class DA, 30.304% (31.310% - 11th District Cost of Funds Index) due 2/15/24(j)(l)

     601  
  16,344      NR   

Series 3451, Class SB, 5.941% (6.030% - 1-Month USD-LIBOR) due 5/15/38(j)(l)

     2,451  
  51,939      NR   

Series 3621, Class SB, 6.141% (6.230% - 1-Month USD-LIBOR) due 1/15/40(j)(l)

     9,886  
  555,000      NR   

Series 3743, Class PB, 4.500% due 10/15/40

     618,229  
  625,919      NR   

Series 3866, Class SA, 5.861% (5.950% - 1-Month USD-LIBOR) due 5/15/41(j)(l)

     98,789  
  165,898      NR   

Series 3947, Class SG, 5.861% (5.950% - 1-Month USD-LIBOR) due 10/15/41(j)(l)

     25,456  
  16,877      NR   

Series 3973, Class SA, 6.401% (6.490% - 1-Month USD-LIBOR) due 12/15/41(j)(l)

     3,568  
  164,911      NR   

Series 4203, Class PS, 6.161% (6.250% - 1-Month USD-LIBOR) due 9/15/42(j)(l)

     19,894  
  118,363      NR   

Series 4210, Class Z, 3.000% due 5/15/43

     123,756  
  68,644      NR   

Series 4239, Class IO, 3.500% due 6/15/27(l)

     3,170  
  338,659      NR   

Series 4316, Class XZ, 4.500% due 3/15/44

     378,765  
  52,857      NR   

Series 4335, Class SW, 5.911% (6.000% - 1-Month USD-LIBOR) due 5/15/44(j)(l)

     9,589  
  873,066      NR   

Series 4639, Class HZ, step bond to yield, 3.250% due 4/15/53

     957,363  
  254,986      NR   

Series 4879, Class BC, 3.000% due 4/15/49

     261,677  
  77,484      NR   

Series 5010, Class IK, 2.500% due 9/25/50(l)

     9,692  
  269,703      NR   

Series 5010, Class JI, 2.500% due 9/25/50(l)

     38,623  
  93,394      NR   

Series 5013, Class IN, 2.500% due 9/25/50(l)

     13,239  
  186,082      NR   

Series 5018, Class MI, 2.000% due 10/25/50(l)

     23,745  
  87,626      NR   

Series 5040, Class IB, 2.500% due 11/25/50(l)

     9,904  
  395,618      NR   

Series 5140, Class NI, 2.500% due 5/25/49(l)

     53,654  
  495,130      NR   

Series 5148, Class BI, 2.500% due 1/25/49(l)

     66,001  
  199,077      NR   

Series 5148, Class CI, 2.000% due 6/25/49(l)

     22,946  
  52,984      NR   

Series R007, Class ZA, 6.000% due 5/15/36

     61,211  
  410,000      BB+   

Federal Home Loan Mortgage Corp. (FHLMC), Structured Agency Credit Risk REMIC, Series 2021-DNA1, Class M2, 1.850% (30-Day SOFR + 1.800%) due 1/25/51(b)(d)

     410,746  
     

Federal National Mortgage Association (FNMA), ACES:

  
  5,538,135      NR   

Series 2013-M7, Class X2, 0.276% due 12/27/22(d)(l)

     6,189  
  3,829,415      NR   

Series 2015-M7, Class X2, 0.577% due 12/25/24(d)(l)

     45,379  
  16,287,025      NR   

Series 2015-M8, Class X2, 0.178% due 1/25/25(d)(l)

     42,529  
  100,000      NR   

Series 2017-M8, Class A2, 3.061% due 5/25/27(d)

     107,796  

 

154


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
  $         199,130      NR   

Series 2019-M19, Class A2, 2.560% due 9/25/29

   $ 210,302  
  112,740      NR   

Series 2019-M28, Class AV, 2.232% due 2/25/27

     116,713  
  594,880      NR   

Series 2020-M36, Class X1, 1.559% due 9/25/34(d)(l)

     59,776  
     

Federal National Mortgage Association (FNMA), Connecticut Avenue Securities:

  
  695,709      BB*(k)   

Series 2014-C02, Class 1M2, 2.692% (1-Month USD-LIBOR + 2.600%) due 5/25/24(d)

     703,258  
  832,537      Baa3(c)   

Series 2017-C03, Class 1M2, 3.092% (1-Month USD-LIBOR + 3.000%) due 10/25/29(b)(d)

     852,790  
  859,586      BB(k)   

Series 2017-C07, Class 1M2, 2.492% (1-Month USD-LIBOR + 2.400%) due 5/25/30(b)(d)

     871,580  
  755,600      BB+(k)   

Series 2018-C01, Class 1M2, 2.342% (1-Month USD-LIBOR + 2.250%) due 7/25/30(b)(d)

     765,122  
  553,092      BB-(k)   

Series 2018-C06, Class 1M2, 2.092% (1-Month USD-LIBOR + 2.000%) due 3/25/31(b)(d)

     556,983  
     

Federal National Mortgage Association (FNMA), Grantor Trust:

  
  52,418      NR   

Series 2000-T6, Class A3, 4.238% due 11/25/40(d)

     53,534  
  99,550      NR   

Series 2017-T1, Class A, 2.898% due 6/25/27

     105,863  
     

Federal National Mortgage Association (FNMA), Interest Strip:

  
  65,109      NR   

Series 409, Class C13, 3.500% due 11/25/41(l)

     6,298  
  138,712      NR   

Series 409, Class C18, 4.000% due 4/25/42(l)

     19,181  
  18,893      NR   

Series 409, Class C22, 4.500% due 11/25/39(l)

     2,713  
     

Federal National Mortgage Association (FNMA), REMICS:

  
  16,188      NR   

Series 2004-38, Class FK, 0.442% (1-Month USD-LIBOR + 0.350%) due 5/25/34(d)

     16,301  
  33,584      NR   

Series 2005-117, Class LC, 5.500% due 11/25/35

     34,523  
  313,614      NR   

Series 2006-51, Class SP, 6.558% (6.650% - 1-Month USD-LIBOR) due 3/25/36(j)(l)

     36,668  
  157,710      NR   

Series 2007-68, Class SC, 6.608% (6.700% - 1-Month USD-LIBOR) due 7/25/37(j)(l)

     31,063  
  444,843      NR   

Series 2008-18, Class SM, 6.908% (7.000% - 1-Month USD-LIBOR) due 3/25/38(j)(l)

     62,924  
  412,241      NR   

Series 2011-8, Class ZA, 4.000% due 2/25/41

     436,831  
  129,867      NR   

Series 2011-87, Class SG, 6.458% (6.550% - 1-Month USD-LIBOR) due 4/25/40(j)(l)

     8,052  
  770,000      NR   

Series 2011-131, Class PB, 4.500% due 12/25/41

     865,422  
  51,531      NR   

Series 2012-35, Class SC, 6.408% (6.500% - 1-Month USD-LIBOR) due 4/25/42(j)(l)

     10,030  
  67,840      NR   

Series 2012-46, Class BA, 6.000% due 5/25/42

     78,699  
  103,190      NR   

Series 2012-51, Class B, 7.000% due 5/25/42

     125,074  
  1,704      NR   

Series 2012-70, Class YS, 6.558% (6.650% - 1-Month USD-LIBOR) due 2/25/41(j)(l)

     20  
  84,820      NR   

Series 2012-74, Class SA, 6.558% (6.650% - 1-Month USD-LIBOR) due 3/25/42(j)(l)

     13,394  
  14,137      NR   

Series 2012-75, Class AO, zero coupon, due 3/25/42(a)

     13,374  
  39,153      NR   

Series 2012-101, Class BI, 4.000% due 9/25/27(l)

     1,746  
  62,168      NR   

Series 2012-133, Class CS, 6.058% (6.150% - 1-Month USD-LIBOR) due 12/25/42(j)(l)

     11,143  
  250,246      NR   

Series 2013-9, Class BC, 6.500% due 7/25/42

     295,670  
  205,607      NR   

Series 2013-9, Class CB, 5.500% due 4/25/42

     232,846  
  54,209      NR   

Series 2013-54, Class BS, 6.058% (6.150% - 1-Month USD-LIBOR) due 6/25/43(j)(l)

     11,246  
  44,672      NR   

Series 2013-73, Class IA, 3.000% due 9/25/32(l)

     2,721  
  228,009      NR   

Series 2018-55, Class PA, 3.500% due 1/25/47

     235,124  
  178,270      NR   

Series 2018-57, Class QA, 3.500% due 5/25/46

     182,857  
  153,348      NR   

Series 2018-94, Class KD, 3.500% due 12/25/48

     159,127  
  205,743      NR   

Series 2020-47, Class GZ, 2.000% due 7/25/50

     192,253  
  175,448      NR   

Series 2020-56, Class DI, 2.500% due 8/25/50(l)

     25,784  
  587,888      NR   

Series 2021-61, Class KI, 2.500% due 4/25/49(l)

     75,610  
  397,821      NR   

Series 2021-69, Class IJ, 2.500% due 1/25/49(l)

     52,157  
     

FHLMC Multifamily Structured Pass-Through Certificates:

  
  2,500,000      AAA(k)   

Series K104, Class XAM, 1.505% due 1/25/30(d)(l)

     262,209  
  1,037,708      AAA(k)   

Series K736, Class X1, 1.436% due 7/25/26(d)(l)

     51,588  
  4,000,000      AAA(k)   

Series K743, Class X1, 1.028% due 5/25/28(d)(l)

     219,409  
  1,962,537      NR   

Series KF73, Class AL, 0.688% (1-Month USD-LIBOR + 0.600%) due 11/25/29(d)

     1,978,171  
  236,585      NR   

Series KIR2, Class A1, 2.748% due 3/25/27

     247,139  
     

FHLMC Structured Agency Credit Risk Debt Notes:

  
  268,748      A3(c)   

Series 2016-DNA1, Class M3, 5.639% (1-Month USD-LIBOR + 5.550%) due 7/25/28(d)

     281,621  
  655,000      BBB(k)   

Series 2017-DNA2, Class M2, 3.542% (1-Month USD-LIBOR + 3.450%) due 10/25/29(d)

     676,972  

 

155


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
  $        234,224      BBB-(k)   

Series 2017-HRP1, Class M2, 2.542% (1-Month USD-LIBOR + 2.450%) due 12/25/42(d)

   $ 235,919  
     

First Franklin Mortgage Loan Trust:

  
  1,135,717      CC   

Series 2006-FF13, Class A2D, 0.572% (1-Month USD-LIBOR + 0.480%) due 10/25/36(d)

     928,464  
  647,671      CCC   

Series 2006-FF15, Class A2, 0.212% (1-Month USD-LIBOR + 0.120%) due 11/25/36(d)

     625,482  
  431,914      NR   

FREMF Mortgage Trust, Series 2019-KF58, Class B, 2.238% (1-Month USD-LIBOR + 2.150%) due 1/25/26(b)(d)

     431,036  
  167,677      NR   

FRESB Mortgage Trust, Series 2019-SB60, Class A10H, 3.500% due 1/25/39(d)

     175,566  
  1,050,000      (P)AA   

GoldentTree Loan Management US CLO 1 Ltd., Series 2021-11A, Class B, zero coupon, (3-Month USD-LIBOR + 1.600%) due 10/20/34(b)(d)

     1,050,525  
     

Government National Mortgage Association (GNMA):

  
  315,137      NR   

Series 2007-51, Class SG, 6.489% (6.580% - 1-Month USD-LIBOR) due 8/20/37(j)(l)

     41,410  
  1,005,635      NR   

Series 2008-51, Class GS, 6.141% (6.230% - 1-Month USD-LIBOR) due 6/16/38(j)(l)

     179,767  
  15,335      NR   

Series 2010-85, Class HS, 6.559% (6.650% - 1-Month USD-LIBOR) due 1/20/40(j)(l)

     652  
  192,574      NR   

Series 2012-H27, Class AI, 1.755% due 10/20/62(d)(l)

     9,198  
  122,877      NR   

Series 2013-53, Class OI, 3.500% due 4/20/43(l)

     11,462  
  902,636      NR   

Series 2013-85, Class IA, 0.266% due 3/16/47(d)(l)

     9,893  
  103,468      NR   

Series 2013-107, Class AD, 2.767% due 11/16/47(d)

     106,322  
  95,474      NR   

Series 2014-105, Class IO, 0.121% due 6/16/54(d)(l)

     2,843  
  1,259,921      NR   

Series 2014-H20, Class FA, 0.505% (1-Month USD-LIBOR + 0.430%) due 10/20/64(d)

     1,263,063  
  59,213      NR   

Series 2015-167, Class OI, 4.000% due 4/16/45(l)

     9,017  
  203,916      NR   

Series 2015-167, Class SA, 6.159% (6.250% - 1-Month USD-LIBOR) due 11/20/45(j)(l)

     38,667  
  58,945      NR   

Series 2016-84, Class IG, 4.500% due 11/16/45(l)

     10,187  
  56,203      NR   

Series 2016-135, Class SB, 6.011% (6.100% - 1-Month USD-LIBOR) due 10/16/46(j)(l)

     15,549  
  89,598      NR   

Series 2017-187, Class SJ, 6.109% (6.200% - 1-Month USD-LIBOR) due 12/20/47(j)(l)

     16,853  
  580,112      NR   

Series 2017-H22, Class IC, 2.254% due 11/20/67(d)(l)

     40,399  
  118,800      NR   

Series 2018-124, Class NW, 3.500% due 9/20/48

     126,513  
  17,140      NR   

Series 2018-130, Class A, 3.250% due 5/16/59

     17,410  
  225,851      NR   

Series 2019-12, Class QA, 3.500% due 9/20/48

     235,305  
  437,903      NR   

Series 2019-86, Class C, 2.500% due 3/20/49

     449,318  
  142,705      NR   

Series 2019-119, Class JE, 3.000% due 9/20/49

     146,330  
  348,005      NR   

Series 2020-47, Class MI, 3.500% due 4/20/50(l)

     45,912  
  87,871      NR   

Series 2020-47, Class NI, 3.500% due 4/20/50(l)

     13,138  
  93,689      NR   

Series 2020-123, Class IL, 2.500% due 8/20/50(l)

     11,889  
  276,084      NR   

Series 2020-123, Class NI, 2.500% due 8/20/50(l)

     34,875  
  92,012      NR   

Series 2020-127, Class IN, 2.500% due 8/20/50(l)

     12,226  
  92,872      NR   

Series 2020-129, Class IE, 2.500% due 9/20/50(l)

     12,738  
  94,654      NR   

Series 2020-160, Class IH, 2.500% due 10/20/50(l)

     12,295  
  92,798      NR   

Series 2020-160, Class VI, 2.500% due 10/20/50(l)

     12,148  
  373,231      NR   

Series 2020-160, Class YI, 2.500% due 10/20/50(l)

     49,068  
  461,797      NR   

Series 2020-181, Class WI, 2.000% due 12/20/50(l)

     46,836  
  254,199      NR   

Series 2020-H09, Class FL, 1.241% (1-Month USD-LIBOR + 1.150%) due 5/20/70(d)

     266,260  
  74,006      NR   

Series 2020-H12, Class F, 0.591% (1-Month USD-LIBOR + 0.500%) due 7/20/70(d)

     74,754  
  335,525      NR   

Series 2020-H13, Class FA, 0.541% (1-Month USD-LIBOR + 0.450%) due 7/20/70(d)

     338,328  
  71,929      NR   

Series 2020-H13, Class FC, 0.541% (1-Month USD-LIBOR + 0.450%) due 7/20/70(d)

     72,485  
  2,966,003      NR   

Series 2021-133, Class IO, 0.880% due 7/16/63(d)(l)

     239,601  
  683,573      A-   

GS Mortgage Securities Corp. II, Series 2018-SRP5, Class A, 1.640% (1-Month USD-LIBOR + 1.550%) due 9/15/31(b)(d)

     623,189  
  370,000      AAA   

GS Mortgage Securities Corp. Trust, Series 2021-ROSS, Class A, 1.240% (1-Month USD-LIBOR + 1.150%) due 5/15/26(b)(d)

     370,775  
     

Harborview Mortgage Loan Trust:

  
  63,674      AA+   

Series 2004-5, Class 2A6, 2.312% due 6/19/34(d)

     66,463  
  36,625      WD(k)   

Series 2006-2, Class 1A, 2.598% due 2/25/36(d)

     15,861  
  748,415      Caa2(c)   

Series 2006-10, Class 1A1A, 0.289% (1-Month USD-LIBOR + 0.200%) due 11/19/36(d)

     700,847  
  400,000      Aa2(c)   

Hildene Community Funding CDO Ltd., Series 2015-1A, Class ARR, 2.600% due 11/1/35(b)(f)

     400,000  
  780,000      CC   

Home Equity Asset Trust, Series 2005-6, Class M5, 1.037% (1-Month USD-LIBOR + 0.945%) due 12/25/35(d)

     776,590  
  60,845      AA   

Impac CMB Trust, Series 2007-A, Class A, 0.592% (1-Month USD-LIBOR + 0.500%) due 5/25/37(b)(d)

     60,865  
  710,000      AAA(k)   

Independence Plaza Trust, Series 2018-INDP, Class A, 3.763% due 7/10/35(b)

     737,665  

 

156


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
     

Indymac Index Mortgage Loan Trust:

  
  $        1,047,644      CCC   

Series 2005-AR14, Class 2A1A, 0.692% (1-Month USD-LIBOR + 0.600%) due 7/25/35(d)

   $ 972,027  
  28,787      Caa2(c)   

Series 2005-AR15, Class A2, 2.885% due 9/25/35(d)

     27,178  
  326,446      NR   

InStar Leasing III LLC, Series 2021-1A, Class A, 2.300% due 2/15/54(b)

     325,934  
  942,703      CC   

IXIS Real Estate Capital Trust, Series 2006-HE2, Class A3, 0.412% (1-Month USD-LIBOR + 0.320%) due 8/25/36(d)

     337,922  
     

JP Morgan Chase Commercial Mortgage Securities Trust:

  
  971,690      Aaa(c)   

Series 2016-JP2, Class A3, 2.559% due 8/15/49

     996,147  
  1,710,000      Caa1(c)   

Series 2018-PHH, Class F, 4.660% (1-Month USD-LIBOR + 3.160%) due 6/15/35(b)(d)(g)

     448,875  
  365,000      Aaa(c)   

Series 2019-OSB, Class A, 3.397% due 6/5/39(b)

     395,535  
  250,000      Baa3(c)   

Series 2021-MHC, Class D, 1.790% (1-Month USD-LIBOR + 1.700%) due 4/15/38(b)(d)

     249,945  
  934,597      CCC   

JP Morgan Mortgage Acquisition Corp., Series 2006-FRE1, Class M1, 0.677% (1-Month USD-LIBOR + 0.585%) due 5/25/35(d)

     933,395  
  880,000      BB   

JP Morgan Mortgage Acquisition Trust, Series 2007-CH2, Class MV2, 0.392% (1-Month USD-LIBOR + 0.300%) due 1/25/37(d)

     864,318  
     

JP Morgan Mortgage Trust:

  
  233,417      AA+   

Series 2018-3, Class A1, 3.500% due 9/25/48(b)(d)

     237,198  
  210,041      AA+   

Series 2018-5, Class A1, 3.500% due 10/25/48(b)(d)

     212,421  
  60,943      AAA   

Series 2019-1, Class A11, 1.042% (1-Month USD-LIBOR + 0.950%) due 5/25/49(b)(d)

     61,198  
  1,949,378      Aaa(c)   

Series 2021-13, Class A3, 2.500% due 4/25/52(b)(d)

     1,958,333  
     

JPMBB Commercial Mortgage Securities Trust:

  
  40,000      Aa3(c)   

Series 2013-C17, Class B, 5.049% due 1/15/47(d)

     42,247  
  350,000      B(k)   

Series 2014-C23, Class E, 3.364% due 9/15/47(b)(d)(g)

     265,652  
  990,187      Aaa(c)   

Series 2015-C28, Class A3, 2.912% due 10/15/48

     1,009,368  
     

JPMDB Commercial Mortgage Securities Trust:

  
  340,000      A(k)   

Series 2017-C5, Class B, 4.009% due 3/15/50(d)

     355,814  
  190,000      Aaa(c)   

Series 2017-C7, Class A5, 3.409% due 10/15/50

     205,127  
  130,000      AA-   

Series 2018-C8, Class B, 4.522% due 6/15/51

     144,933  
  460,000      AA   

JPMorgan Chase Commercial Mortgage Securities Trust, Series 2012-HSBC, Class C, 4.021% due 7/5/32(b)

     464,656  
  88,274      Aaa(c)   

JPMorgan Trust, Series 2015-5, Class A9, 2.378% due 5/25/45(b)(d)

     89,347  
  890,000      Aaa(c)   

KREF Ltd., Series 2021-FL2, Class A, 1.159% (1-Month USD-LIBOR + 1.070%) due 2/15/39(b)(d)

     891,486  
     

Legacy Mortgage Asset Trust:

  
  669,727      NR   

Series 2019-GS5, Class A1, step bond to yield, 3.200% due 5/25/59(b)

     672,385  
  718,919      NR   

Series 2021-GS2, Class A1, step bond to yield, 1.750% due 4/25/61(b)

     715,054  
  300,000      Baa2(c)   

Lunar Structured Aircraft Portfolio Notes, Series 2021-1, Class B, 3.432% due 10/15/46(b)

     300,439  
  1,100,000      AAA   

Madison Park Funding XLVIII Ltd., Series 2021-48A, Class A, 1.274% (3-Month USD-LIBOR + 1.150%) due 4/19/33(b)(d)

     1,100,550  
  696,351      Aaa(c)   

Magnetite XVIII Ltd., Series 2016-18A, Class AR, 1.236% (3-Month USD-LIBOR + 1.080%) due 11/15/28(b)(d)

     697,136  
  851,752      A   

MAPS Trust, Series 2021-1A, Class A, 2.521% due 6/15/46(b)

     848,443  
  191,893      BBB(k)   

MASTR Seasoned Securitization Trust, Series 2005-1, Class 4A1, 2.375% due 10/25/32(d)

     191,709  
  234,328      CC   

Merrill Lynch First Franklin Mortgage Loan Trust, Series 2007-4, Class 2A4, 0.342% (1-Month USD-LIBOR + 0.250%) due 7/25/37(d)

     152,140  
  13,556      A+   

Merrill Lynch Mortgage Investors Trust, Series 2004-A3, Class 4A3, 2.302% due 5/25/34(d)

     13,578  
  258,268      AA+   

Mid-State Capital Corp. Trust, Series 2004-1, Class A, 6.005% due 8/15/37

     269,738  
  500,000      AAA(k)   

MKT Mortgage Trust, Series 2020-525M, Class A, 2.694% due 2/12/40(b)

     516,647  
     

ML-CFC Commercial Mortgage Trust:

  
  31,745      Ca(c)   

Series 2007-5, Class AJ, 5.450% due 8/12/48(d)

     15,558  
  4,731      WD(k)   

Series 2007-9, Class AJ, 6.193% due 9/12/49(d)

     4,662  
     

Morgan Stanley Bank of America Merrill Lynch Trust:

  
  500,000      Aaa(c)   

Series 2013-C13, Class A4, 4.039% due 11/15/46(m)

     524,999  
  595,723      Aaa(c)   

Series 2016-C28, Class A3, 3.272% due 1/15/49(m)

     620,108  
  390,000      Aaa(c)   

Natixis Commercial Mortgage Securities Trust, Series 2020-2PAC, Class A, 2.966% due 12/15/38(b)

     401,884  
     

New Residential Mortgage Loan Trust:

  
  186,507      AAA   

Series 2016-4A, Class A1, 3.750% due 11/25/56(b)(d)

     198,169  
  637,857      Aaa(c)   

Series 2019-6A, Class A1B, 3.500% due 9/25/59(b)(d)

     665,127  
  363,548      AAA   

Oak Street Investment Grade Net Lease Fund, Series 2020-1A, Class A1, 1.850% due 11/20/50(b)

     364,563  
  1,000,000      AAA   

Octagon Investment Partners 46 Ltd., Series 2020-2A, Class AR, 1.284% (3-Month USD-LIBOR + 1.160%) due 7/15/36(b)(d)

     1,002,671  
  500,000      Aaa(c)   

One Bryant Park Trust, Series 2019-OBP, Class A, 2.516% due 9/15/54(b)

     512,801  

 

157


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
  $        306,457      BBB-   

Option One Mortgage Loan Trust, Series 2004-3, Class M1, 0.872% (1-Month USD-LIBOR + 0.780%) due 11/25/34(d)

   $ 306,816  
  800,000      AAA   

Palmer Square CLO Ltd., Series 2014-1A, Class A1R2, 1.252% (3-Month USD-LIBOR + 1.130%) due 1/17/31(b)(d)

     801,672  
  1,656,296      CCC   

Park Place Securities Inc. Asset-Backed Pass-Through Certificates, Series 2004-WWF1, Class M5, 1.892% (1-Month USD-LIBOR + 1.800%) due 12/25/34(d)

     1,669,876  
  460,149      Aaa(c)   

PFP Ltd., Series 2019-5, Class A, 1.061% (1-Month USD-LIBOR + 0.970%) due 4/14/36(b)(d)

     458,773  
     

PFS Financing Corp.:

  
  400,000      AAA   

Series 2020-E, Class A, 1.000% due 10/15/25(b)

     399,750  
  190,000      AAA   

Series 2021-A, Class A, 0.710% due 4/15/26(b)

     187,950  
     

PMT Credit Risk Transfer Trust:

  
  377,086      NR   

Series 2019-2R, Class A, 2.840% (1-Month USD-LIBOR + 2.750%) due 5/27/23(b)(d)

     373,897  
  241,593      NR   

Series 2019-3R, Class A, 2.790% (1-Month USD-LIBOR + 2.700%) due 10/27/22(b)(d)

     241,857  
     

Prime Mortgage Trust:

  
  9,773      WR(c)   

Series 2006-DR1, Class 1A1, 5.500% due 5/25/35(b)

     9,757  
  628,844      WR(c)   

Series 2006-DR1, Class 2A1, 5.500% due 5/25/35(b)

     608,031  
  1,535,000      AAA   

RBS Commercial Funding Inc. Trust, Series 2013-GSP, Class A, 3.961% due 1/15/32(b)(d)

     1,597,509  
  1,110,000      Aaa(c)   

Ready Capital Mortgage Financing LLC, Series 2021-FL7, Class A, 1.280% (1-Month USD-LIBOR + 1.200%) due 11/25/36(b)(d)

     1,111,697  
  1,100,000      AA   

Regata XII Funding Ltd., Series 2019-1A, Class BR, zero coupon, (3-Month USD-LIBOR + 1.600%) due 10/15/32(b)(d)

     1,098,001  
  118,795      Caa2(c)   

Residential Asset Securitization Trust, Series 2005-A15, Class 1A4, 5.750% due 2/25/36

     122,384  
     

SBA Small Business Investment Cos.:

  
  479,230      NR   

Series 2018-10B, Class 1, 3.548% due 9/10/28

     510,275  
  305,040      NR   

Series 2019-10A, Class 1, 3.113% due 3/10/29

     321,501  
     

Seasoned Credit Risk Transfer Trust:

  
  108,302      NR   

Series 2018-2, Class MA, 3.500% due 11/25/57

     112,758  
  790,000      B-(k)   

Series 2019-1, Class M, 4.750% due 7/25/58(b)(d)

     829,251  
  329,925      NR   

Series 2019-2, Class MA, 3.500% due 8/25/58

     346,124  
  210,000      B-(k)   

Series 2020-2, Class M, 4.250% due 11/25/59(b)(d)

     217,792  
  707,588      AA-   

Sequoia Mortgage Trust, Series 2003-1, Class 1A, 0.851% (1-Month USD-LIBOR + 0.760%) due 4/20/33(d)

     695,358  
  310,000      NR   

Soho Trust, Series 2021-SOHO, Class B, 2.786% due 8/10/38(b)(d)

     294,344  
  1,110,000      (P)AAA   

SREIT Trust, Series 2021-MFP, Class A, 0.831% (1-Month USD-LIBOR + 0.731%) due
11/15/38(b)(d)

     1,105,330  
  586,354      A   

Structured Asset Investment Loan Trust, Series 2004-6, Class A3, 0.892% (1-Month USD-LIBOR + 0.800%) due 7/25/34(d)

     583,331  
  60,557      AA+   

Structured Asset Mortgage Investments II Trust, Series 2005-AR5, Class A3, 0.589% (1-Month USD-LIBOR + 0.500%) due 7/19/35(d)

     59,011  
  398,376      NR   

Sunrun Atlas Issuer LLC, Series 2019-2, Class A, 3.610% due 2/1/55(b)

     419,961  
     

Tharaldson Hotel Portfolio Trust:

  
  81,008      AAA   

Series 2018-THL, Class A, 1.140% (1-Month USD-LIBOR + 0.900%) due 11/11/34(b)(d)

     80,996  
  291,629      B+   

Series 2018-THL, Class E, 3.570% (1-Month USD-LIBOR + 3.330%) due 11/11/34(b)(d)

     290,747  
     

Towd Point Mortgage Trust:

  
  760,000      Ba2(c)   

Series 2015-2, Class 1B3, 3.369% due 11/25/60(b)(d)

     783,994  
  20,462      Aaa(c)   

Series 2016-3, Class A1, 2.250% due 4/25/56(b)(d)

     20,501  
  770,000      Baa3(c)   

Series 2016-5, Class B2, 3.625% due 10/25/56(b)(d)

     806,997  
  200,000      Aaa(c)   

TPGI Trust, Series 2021-DGWD, Class A, 0.790% (1-Month USD-LIBOR + 0.700%) due
6/15/26(b)(d)

     199,387  
     

UBS Commercial Mortgage Trust:

  
  340,000      AA-(k)   

Series 2018-C11, Class B, 4.713% due 6/15/51(d)

     372,414  
  350,000      Aaa(c)   

Series 2019-C17, Class A3, 2.669% due 10/15/52

     362,245  
  1,036,000      Aaa(c)   

UBS-Barclays Commercial Mortgage Trust, Series 2012-C2, Class A4, 3.525% due 5/10/63

     1,043,657  
  530,000      AAA   

VNDO Mortgage Trust, Series 2012-6AVE, Class A, 2.996% due 11/15/30(b)

     539,018  
     

WaMu Mortgage Pass-Through Certificates Trust:

  
  345,810      B-   

Series 2005-AR1, Class A1B, 0.872% (1-Month USD-LIBOR + 0.780%) due 1/25/45(d)

     341,042  
  149,130      BB-   

Series 2005-AR4, Class A5, 2.841% due 4/25/35(d)

     150,692  
  869,541      A-   

Series 2005-AR19, Class A1B3, 0.792% (1-Month USD-LIBOR + 0.700%) due 12/25/45(d)

     869,072  
  591,044      CCC   

Series 2006-AR3, Class A1A, 1.083% (1-Year Treasury Average Rate + 1.000%) due 2/25/46(d)

     597,272  
  335,037      Ca(c)   

Washington Mutual Mortgage Pass-Through Certificates WMALT, Series 2007-OA2, Class 2A, 0.783% (1-Year Treasury Average Rate + 0.700%) due 1/25/47(d)

     299,613  
     

Wells Fargo Commercial Mortgage Trust:

  
  120,000      Baa3(c)   

Series 2013-LC12, Class B, 4.441% due 7/15/46(d)

     119,598  
  1,000,000      Aa2(c)   

Series 2015-C28, Class AS, 3.872% due 5/15/48(d)

     1,060,657  

 

158


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
   

Rating††

  

Security

   Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.7% - (continued)

 
  $        150,000     Aaa(c)   

Series 2015-LC20, Class A5, 3.184% due 4/15/50

   $ 157,540  
  473,132     AAA   

Series 2016-BNK1, Class ASB, 2.514% due 8/15/49

     485,479  
  459,928     Aaa(c)   

Series 2016-C33, Class A3, 3.162% due 3/15/59

     478,954  
  11,476,382     Aaa(c)   

Series 2018-C43, Class XA, 0.814% due 3/15/51(d)(l)

     416,838  
  250,000     Aaa(c)   

Series 2018-C44, Class A4, 3.948% due 5/15/51

     274,192  
  3,478,088     Aaa(c)   

Series 2019-C52, Class XA, 1.739% due 8/15/52(d)(l)

     333,362  
  180,000     AAA   

Series 2019-C54, Class A4, 3.146% due 12/15/52

     193,201  
  162,308     Aaa(c)   

Wells Fargo Mortgage-Backed Securities Trust, Series 2019-4, Class A2, 3.000% due 9/25/49(b)(d)

     164,136  
    

WF-RBS Commercial Mortgage Trust:

  
  1,511,858     Aa2(c)   

Series 2012-C7, Class XA, 1.436% due 6/15/45(b)(d)(l)

     1,917  
  118,891     Aaa(c)   

Series 2013-C14, Class A4, 3.073% due 6/15/46

     120,651  
       

 

 

 
    

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS

(Cost - $122,372,383)

     116,974,511  
       

 

 

 
 

SOVEREIGN BONDS - 3.5%

 
 

Argentina - 0.1%

 
    

Argentine Republic Government International Bonds:

  
  64,372     CCC+   

1.000% due 7/9/29

     21,565  
  1,852,700     CCC+   

step bond to yield, 0.500% due 7/9/30

     578,154  
       

 

 

 
    

Total Argentina

     599,719  
       

 

 

 
 

Brazil - 0.2%

 
  656,000  BRL    BB-   

Brazil Notas do Tesouro Nacional Serie B, 6.000% due 8/15/50

     488,693  
  1,224,000  BRL    BB-   

Brazil Notas do Tesouro Nacional Serie F, 10.000% due 1/1/27

     216,069  
    

Brazilian Government International Bonds:

  
  200,000     BB-   

2.875% due 6/6/25

     200,290  
  300,000     BB-   

4.625% due 1/13/28

     306,805  
  200,000     BB-   

3.875% due 6/12/30

     188,282  
  1,680,000     BB-   

5.000% due 1/27/45

     1,514,033  
       

 

 

 
    

Total Brazil

     2,914,172  
       

 

 

 
 

Canada - 0.1%

 
    

Province of Manitoba Canada:

  
  152,000     A+   

3.050% due 5/14/24

     160,305  
  1,025,000     A+   

1.500% due 10/25/28

     1,020,152  
       

 

 

 
    

Total Canada

     1,180,457  
       

 

 

 
 

Chile - 0.1%

 
    

Chile Government International Bonds:

  
  100,000     A   

3.240% due 2/6/28

     105,443  
  650,000     A   

2.450% due 1/31/31

     646,308  
  200,000     A   

2.550% due 1/27/32

     199,332  
  435,000     A   

2.550% due 7/27/33

     428,088  
       

 

 

 
    

Total Chile

     1,379,171  
       

 

 

 
 

Colombia - 0.1%

 
    

Colombia Government International Bonds:

  
  220,000     BB+   

8.125% due 5/21/24

     249,613  
  280,000     BB+   

3.875% due 4/25/27

     281,859  
  540,000     BB+   

3.000% due 1/30/30

     492,920  
  315,000     BB+   

3.125% due 4/15/31

     283,264  
  430,000     BB+   

3.250% due 4/22/32

     385,065  
  230,000     BB+   

4.125% due 2/22/42

     195,594  
       

 

 

 
    

Total Colombia

     1,888,315  
       

 

 

 
 

Dominican Republic - 0.0%

 
  200,000     BB-   

Dominican Republic International Bonds, 4.500% due 1/30/30(b)

     199,502  
       

 

 

 
 

Egypt - 0.0%

 
  230,000     B   

Egypt Government International Bonds, 5.577% due 2/21/23(b)

     233,634  
       

 

 

 

 

159


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

SOVEREIGN BONDS - 3.5% - (continued)

 
 

Hungary - 0.0%

 
  $            44,000     BBB   

Hungary Government International Bonds, 7.625% due 3/29/41

   $ 71,925  
       

 

 

 
 

Indonesia - 0.5%

 
    

Indonesia Government International Bonds:

  
  1,400,000     BBB   

3.750% due 4/25/22

     1,415,974  
  290,000     Baa2(c)   

3.500% due 1/11/28

     313,410  
  80,000     BBB   

4.100% due 4/24/28

     89,196  
  445,000     BBB   

2.850% due 2/14/30

     459,848  
  100,000     BBB   

7.750% due 1/17/38(b)

     149,659  
  530,000     Baa2(c)   

4.350% due 1/11/48

     596,779  
    

Indonesia Treasury Bonds:

  
  33,727,000,000  IDR    NR   

6.500% due 2/15/31

     2,399,097  
  19,692,000,000  IDR    NR   

6.375% due 4/15/32

     1,404,460  
       

 

 

 
    

Total Indonesia

     6,828,423  
       

 

 

 
 

Israel - 0.0%

 
  200,000     AA-   

Israel Government International Bonds, 2.750% due 7/3/30

     211,452  
       

 

 

 
 

Kenya - 0.0%

 
  520,000     B   

Kenya Government International Bonds, 6.300% due 1/23/34(b)

     495,890  
       

 

 

 
 

Kuwait - 0.0%

 
  360,000     A+   

Kuwait International Government Bonds, 3.500% due 3/20/27(b)

     392,255  
       

 

 

 
 

Mexico - 1.1%

 
    

Mexican Bonos:

  
  15,120,000  MXN    BBB+   

10.000% due 12/5/24

     758,455  
  22,540,000  MXN    BBB+   

8.500% due 5/31/29

     1,114,837  
  111,575,700  MXN    BBB+   

7.750% due 11/13/42

     5,049,857  
  84,090,000  MXN    Baa1(c)   

8.000% due 11/7/47

     3,886,728  
    

Mexico Government International Bonds:

  
  8,000     BBB   

4.000% due 10/2/23

     8,456  
  200,000     BBB   

4.150% due 3/28/27

     220,795  
  323,000     BBB   

3.750% due 1/11/28

     347,220  
  572,000     BBB   

4.500% due 4/22/29

     635,398  
  550,000     BBB   

3.250% due 4/16/30

     561,170  
  974,000     BBB   

2.659% due 5/24/31

     942,657  
  200,000     BBB   

4.750% due 4/27/32

     223,866  
  210,000     BBB   

4.750% due 3/8/44

     226,287  
  200,000     BBB   

4.600% due 2/10/48

     211,053  
       

 

 

 
    

Total Mexico

     14,186,779  
       

 

 

 
 

Nigeria - 0.0%

 
  260,000     B-   

Nigeria Government International Bonds, 7.143% due 2/23/30(b)

     247,757  
       

 

 

 
 

Panama - 0.1%

 
    

Panama Government International Bonds:

  
  210,000     BBB   

3.875% due 3/17/28

     225,435  
  700,000     BBB   

3.160% due 1/23/30

     717,479  
  240,000     BBB   

2.252% due 9/29/32

     224,153  
  290,000     BBB   

4.500% due 4/1/56

     311,347  
       

 

 

 
    

Total Panama

     1,478,414  
       

 

 

 
 

Paraguay - 0.0%

 
    

Paraguay Government International Bonds:

  
  200,000     BB   

4.700% due 3/27/27

     218,502  
  200,000     BB   

2.739% due 1/29/33(b)

     188,752  
       

 

 

 
    

Total Paraguay

     407,254  
       

 

 

 
 

Peru - 0.1%

 
    

Peruvian Government International Bonds:

  
  661,000     BBB+   

4.125% due 8/25/27

     725,229  

 

160


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

SOVEREIGN BONDS - 3.5% - (continued)

 
 

Peru - 0.1% - (continued)

 
  $        401,000     BBB+   

2.783% due 1/23/31

   $ 398,105  
  70,000     BBB+   

6.550% due 3/14/37

     94,219  
  41,000     BBB+   

3.300% due 3/11/41

     39,884  
  160,000     BBB+   

5.625% due 11/18/50

     218,795  
  13,000     BBB+   

3.600% due 1/15/72

     12,391  
       

 

 

 
    

Total Peru

     1,488,623  
       

 

 

 
 

Philippines - 0.1%

 
    

Philippine Government International Bonds:

  
  400,000     BBB+   

3.000% due 2/1/28

     425,660  
  200,000     BBB+   

2.457% due 5/5/30

     204,995  
  560,000     BBB+   

1.648% due 6/10/31

     533,372  
       

 

 

 
    

Total Philippines

     1,164,027  
       

 

 

 
 

Poland - 0.1%

 
  810,000     A-   

Poland Government International Bonds, 4.000% due 1/22/24

     858,236  
       

 

 

 
 

Qatar - 0.2%

 
    

Qatar Government International Bonds:

  
  200,000     AA-   

4.500% due 4/23/28

     229,283  
  250,000     AA-   

4.000% due 3/14/29(b)

     281,032  
  200,000     AA-   

3.750% due 4/16/30(b)

     222,968  
  1,020,000     AA-   

4.817% due 3/14/49(b)

     1,320,614  
       

 

 

 
    

Total Qatar

     2,053,897  
       

 

 

 
 

Romania - 0.0%

 
    

Romanian Government International Bonds:

  
  42,000     BBB-   

3.000% due 2/14/31(b)

     41,643  
  76,000     BBB-   

4.000% due 2/14/51(b)

     74,157  
       

 

 

 
    

Total Romania

     115,800  
       

 

 

 
 

Russia - 0.4%

 
    

Russian Federal Bonds - OFZ:

  
  6,950,000  RUB    NR   

7.750% due 9/16/26

     91,446  
  205,378,000  RUB    BBB   

7.050% due 1/19/28

     2,597,233  
  170,520,000  RUB    BBB(k)   

6.900% due 5/23/29

     2,133,599  
  49,650,000  RUB    NR   

7.700% due 3/16/39

     644,586  
  200,000     BBB(k)   

Russian Foreign Bonds - Eurobond, 5.100% due 3/28/35(b)

     236,250  
       

 

 

 
    

Total Russia

     5,703,114  
       

 

 

 
 

Saudi Arabia - 0.1%

 
    

Saudi Government International Bonds:

  
  200,000     A1(c)   

3.250% due 10/26/26

     213,430  
  200,000     A1(c)   

3.625% due 3/4/28

     217,811  
  200,000     A1(c)   

5.000% due 4/17/49(b)

     250,214  
       

 

 

 
    

Total Saudi Arabia

     681,455  
       

 

 

 
 

South Africa - 0.0%

 
  300,000     BB-   

Republic of South Africa Government International Bonds, 4.850% due 9/30/29

     302,651  
       

 

 

 
 

United Arab Emirates - 0.1%

 
    

Abu Dhabi Government International Bonds:

  
  400,000     AA   

2.500% due 10/11/22(b)

     406,893  
  200,000     AA   

2.500% due 9/30/29

     207,496  
  790,000     AA   

3.875% due 4/16/50(b)

     917,387  
       

 

 

 
    

Total United Arab Emirates

     1,531,776  
       

 

 

 
 

Uruguay - 0.1%

 
    

Uruguay Government International Bonds:

  
  70,000     BBB   

4.500% due 8/14/24

     74,299  
  355,000     BBB   

4.375% due 10/27/27

     399,172  
  200,000     BBB   

4.375% due 1/23/31

     229,932  

 

161


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

SOVEREIGN BONDS - 3.5% - (continued)

 
 

Uruguay - 0.1% - (continued)

 
  $        27,290      BBB   

5.100% due 6/18/50

   $ 35,386  
        

 

 

 
     

Total Uruguay

     738,789  
        

 

 

 
     

TOTAL SOVEREIGN BONDS

(Cost - $50,894,274)

     47,353,487  
        

 

 

 
 

SENIOR LOANS - 1.4%

 
  236,590      NR   

1011778 B.C. Unlimited Liability Company, (Restricted, cost - $232,455, acquired 8/12/20), 1.840% (1-Month USD-LIBOR + 1.750%) due 11/19/26(n)

     231,661  
  150,000      NR   

Air Canada, (Restricted, cost - $149,076, acquired 7/27/21), 4.250% (3-Month USD-LIBOR + 3.500%) due 8/11/28(n)

     149,406  
  340,000      NR   

Ali Group SRL, (Restricted, cost - $337,022, acquired 10/13/21) due 10/13/28(n)(o)

     337,278  
  419,293      NR   

Allied Universal Holdco LLC, (Restricted, cost - $420,616, acquired 2/19/20), 4.250% (3-Month USD-LIBOR + 3.750%) due 5/12/28(n)

     416,332  
  155,960      NR   

Alterra Mountain Co., (Restricted, cost - $155,777, acquired 3/27/19), 4.000% (1-Month USD-LIBOR + 3.500%) due 8/17/28(n)

     154,693  
  10      NR   

Aramark Intermediate HoldCo Corp., (Restricted, cost - $10, acquired 12/13/19), 1.840% (1-Month USD-LIBOR + 1.750%) due 1/15/27(n)

     10  
  625,015      NR   

Asplundh Tree Expert LLC, (Restricted, cost - $626,641, acquired 3/4/21), 1.840% (1-Month USD-LIBOR + 1.750%) due 9/7/27(n)

     621,674  
  119,400      NR   

Asurion LLC, (Restricted, cost - $118,355, acquired 1/29/21), 3.340% (1-Month USD-LIBOR + 3.250%) due 7/31/27(n)

     117,922  
  175,616      NR   

Asurion LLC, (Restricted, cost - $175,268, acquired 11/20/19), 3.090% (1-Month USD-LIBOR + 3.000%) due 11/3/24(n)

     174,220  
  384,250      NR   

Asurion LLC, (Restricted, cost - $384,704, acquired 4/10/19), 3.340% (1-Month USD-LIBOR + 3.250%) due 12/23/26(n)

     378,967  
  48,733      NR   

Asurion LLC, (Restricted, cost - $48,733, acquired 2/26/20), 3.215% (1-Month USD-LIBOR + 3.125%) due 11/3/23(n)

     48,611  
  539,889      NR   

athenahealth Inc., (Restricted, cost - $540,644, acquired 1/9/20), 4.399% (1-Month USD-LIBOR + 4.250%/3-Month USD-LIBOR + 4.250%) due 2/11/26(n)

     540,092  
  560,763      NR   

Avolon TLB Borrower 1 , (Restricted, cost - $560,750, acquired 3/4/21), 2.750% (1-Month USD-LIBOR + 2.250%) due 12/1/27(n)

     560,311  
  226,487      NR   

Bausch Health Cos., Inc., (Restricted, cost - $223,979, acquired 6/23/20), 2.840% (1-Month USD-LIBOR + 2.750%) due 11/27/25(n)

     224,245  
  53,460      NR   

Bausch Health Cos., Inc., (Restricted, cost - $53,794, acquired 4/17/19), 3.090% (1-Month USD-LIBOR + 3.000%) due 6/2/25(n)

     53,038  
  226,082      NR   

Berry Global Inc., (Restricted, cost - $226,647, acquired 2/12/21), 1.864% (2-Month USD-LIBOR + 1.750%) due 7/1/26(n)

     224,104  
  77,647      NR   

Brookfield WEC Holdings Inc., (Restricted, cost - $77,642, acquired 11/15/19), 3.250% (1-Month USD-LIBOR + 2.750%) due 8/1/25(n)

     76,746  
  220,000      NR   

Brown Group Holdings LLC, (Restricted, cost - $219,727, acquired 11/9/21), 3.250% (3-Month USD-LIBOR + 2.750%) due 6/7/28(n)

     218,556  
  217,800      NR   

Caesars Resort Collection LLC, (Restricted, cost - $213,134, acquired 6/19/20), 3.590% (1-Month USD-LIBOR + 3.500%) due 7/21/25(n)

     217,811  
  96,170      NR   

Caesars Resort Collection LLC, (Restricted, cost - $96,470, acquired 10/4/17), 2.840% (1-Month USD-LIBOR + 2.750%) due 12/23/24(n)

     95,340  
  239,112      NR   

Change Healthcare Holdings LLC, (Restricted, cost - $238,856, acquired 2/18/20), 3.500% (1-Month USD-LIBOR + 2.500%) due 3/1/24(n)

     238,821  
  206,316      NR   

Charter Communications Operating LLC, (Restricted, cost - $206,961, acquired 2/7/20), 1.850% (1-Month USD-LIBOR + 1.750%) due 2/1/27(n)

     204,086  
  344,310      NR   

Charter Communications Operating LLC, (Restricted, cost - $345,243, acquired 10/24/19), 1.850% (1-Month USD-LIBOR + 1.750%) due 4/30/25(n)

     343,125  
  467,053      NR   

Citadel Securities LP, (Restricted, cost - $466,219, acquired 4/15/21), 2.590% (1-Month USD-LIBOR + 2.500%) due 2/2/28(n)

     462,966  
  202,850      NR   

Clarios Global LP, (Restricted, cost - $201,597, acquired 3/18/19), 3.340% (1-Month USD-LIBOR + 3.250%) due 4/30/26(n)

     200,652  
  130,000      NR   

Cloudera Inc., (Restricted, cost - $128,753, acquired 8/10/21), 4.250% (1-Month USD-LIBOR + 3.750%) due 10/8/28(n)

     129,269  
  69,642      NR   

CSC Holdings LLC, (Restricted, cost - $68,610, acquired 6/29/21), 2.339% (1-Month USD-LIBOR + 2.250%) due 1/15/26(n)

     68,374  
  423,997      NR   

DCert Buyer Inc., (Restricted, cost - $424,351, acquired 8/8/19), 4.090% (1-Month USD-LIBOR + 4.000%) due 10/16/26(n)

     422,964  
  750,000      NR   

Delos Finance Sarl, (Restricted, cost - $750,000, acquired 3/4/21), 1.882% (3-Month USD-LIBOR + 1.750%) due 10/6/23(n)

     749,396  
  174,047      NR   

Edelman Financial Engines Center LLC, (Restricted, cost - $174,527, acquired 4/22/19), 4.250% (1-Month USD-LIBOR + 3.500%) due 4/7/28(n)

     173,518  
  108,511      NR   

EyeCare Partners LLC, (Restricted, cost - $108,443, acquired 2/18/20), 3.882% (3-Month USD-LIBOR + 3.750%) due 2/18/27(n)

     107,399  
  17,983      NR   

FinCo I LLC, (Restricted, cost - $17,883, acquired 8/12/20), 2.590% (1-Month USD-LIBOR + 2.500%) due 6/27/25(n)

     17,916  
  56,829      NR   

First Eagle Holdings Inc., (Restricted, cost - $56,971, acquired 4/5/19), 2.632% (3-Month USD-LIBOR + 2.500%) due 2/1/27(n)

     56,024  
  159,600      NR   

FleetCor Technologies Operating Company, LLC, (Restricted, cost - $158,503, acquired 4/22/21), 1.840% (1-Month USD-LIBOR + 1.750%) due 4/28/28(n)

     159,301  
  215,745      NR   

Focus Financial Partners LLC, (Restricted, cost - $216,329, acquired 2/18/20), 2.090% (1-Month USD-LIBOR + 2.000%) due 7/3/24(n)

     213,763  
  20,000      NR   

Formula One Management Ltd., (Restricted, cost - $19,717, acquired 8/12/20), 3.500% (1-Month USD-LIBOR + 2.500%) due 2/1/24(n)

     19,907  
  49,227      NR   

Four Seasons Holdings Inc., (Restricted, cost - $49,409, acquired 11/21/19), 2.090% (1-Month USD-LIBOR + 2.000%) due 11/30/23(n)

     48,981  
  158,000      NR   

Froneri International Ltd., (Restricted, cost - $158,308, acquired 2/18/20), 2.340% (1-Month USD-LIBOR + 2.250%) due 1/29/27(n)

     154,797  
  109,449      NR   

Gainwell Acquisition Corp., (Restricted, cost - $108,056, acquired 2/12/21), 4.750% (3-Month USD-LIBOR + 4.000%) due 10/1/27(n)

     109,518  
  75,577      NR   

Garda World Security Corp., (Restricted, cost - $74,515, acquired 10/24/19), 4.350% (1-Month USD-LIBOR + 4.250%) due 10/30/26(n)

     75,611  
  137,431      NR   

Golden Nugget Inc., (Restricted, cost - $137,431, acquired 2/20/20), 3.250% (3-Month USD-LIBOR + 2.500%) due 10/4/23(n)

     136,530  
  466,466      NR   

Harbor Freight Tools USA Inc., (Restricted, cost - $468,215, acquired 4/15/21), 3.250% (1-Month USD-LIBOR + 2.750%) due 10/19/27(n)

     463,087  
  431,964      NR   

Hilton Worldwide Finance LLC, (Restricted, cost - $432,133, acquired 8/18/16), 1.842% (1-Month USD-LIBOR + 1.750%) due 6/22/26(n)

     426,498  
  319,417      NR   

Icon Public Limited Company, (Restricted, cost - $317,920, acquired 6/16/21), 3.000% (3-Month USD-LIBOR + 2.500%) due 7/3/28(n)

     318,818  
  79,583      NR   

Icon Public Limited Company, (Restricted, cost - $79,210, acquired 6/16/21), 3.000% (3-Month USD-LIBOR + 2.500%) due 7/3/28(n)

     79,434  
  162,988      NR   

iHeartCommunications Inc., (Restricted, cost - $162,849, acquired 1/29/20), 3.090% (1-Month USD-LIBOR + 3.000%) due 5/1/26(n)

     161,156  
  139,650      NR   

INEOS Styrolution Group GmbH, (Restricted, cost - $140,329, acquired 2/19/21), 3.250% (1-Month USD-LIBOR + 2.750%) due 1/29/26(n)

     139,454  
  185,282      NR   

Jane Street Group LLC, (Restricted, cost - $185,078, acquired 1/21/21), 2.840% (1-Month USD-LIBOR + 2.750%) due 1/26/28(n)

     183,337  

 

162


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

SENIOR LOANS - 1.4% - (continued)

 
  $        389,025      NR   

Jazz Pharmaceuticals Public Ltd. Company, (Restricted, cost - $387,242, acquired 4/22/21), 4.000% (1-Month USD-LIBOR + 3.500%) due 5/5/28(n)

   $ 388,784  
  382,876      NR   

Level 3 Financing Inc., (Restricted, cost - $382,677, acquired 4/17/19), 1.840% (1-Month USD-LIBOR + 1.750%) due 3/1/27(n)

     374,323  
  214,384      NR   

LifePoint Health Inc., (Restricted, cost - $212,960, acquired 8/16/19), 3.842% (1-Month USD-LIBOR + 3.750%) due 11/16/25(n)

     212,898  
  390,000      NR   

Medline Borrower LP, (Restricted, cost - $388,457, acquired 9/30/21), 3.750% (1-Month USD-LIBOR + 3.250%) due 10/23/28(n)

     389,111  
  89,650      NR   

Michaels Companies Inc., (Restricted, cost - $88,833, acquired 4/8/21), 5.000% (3-Month USD-LIBOR + 4.250%) due 4/15/28(n)

     89,196  
  490,185      NR   

Nexstar Broadcasting Inc., (Restricted, cost - $489,238, acquired 8/16/19), 2.586% (1-Month USD-LIBOR + 2.500%) due 9/18/26(n)

     487,472  
  129,392      NR   

Numericable U.S. LLC, (Restricted, cost - $129,229, acquired 10/6/17), 3.811% (3-Month USD-LIBOR + 3.688%) due 1/31/26(n)

     128,357  
  119,727      NR   

PCI Gaming Authority, (Restricted, cost - $119,916, acquired 5/15/19), 2.590% (1-Month USD-LIBOR + 2.500%) due 5/29/26(n)

     118,859  
  348,250      NR   

Phoenix Guarantor Inc., (Restricted, cost - $348,250, acquired 2/23/21), 3.589% (1-Month USD-LIBOR + 3.500%) due 3/5/26(n)

     345,487  
  680,000      NR   

Pilot Travel Centers LLC, (Restricted, cost - $676,752, acquired 7/29/21), 2.090% (1-Month USD-LIBOR + 2.000%) due 8/4/28(n)

     674,900  
  358,200      NR   

PPD Inc., (Restricted, cost - $357,437, acquired 1/6/21), 2.500% (1-Month USD-LIBOR + 2.000%) due 1/13/28(n)

     357,836  
  402,927      NR   

Prime Security Services Borrower LLC, (Restricted, cost - $405,018, acquired 4/22/19), 3.500% (1-Month USD-LIBOR + 2.750%/3-Month USD-LIBOR + 2.750%) due 9/23/26(n)

     401,498  
  170,000      NR   

QUIKRETE Holdings Inc., (Restricted, cost - $168,806, acquired 6/11/21) due 2/21/28(n)(o)

     169,068  
  208,950      NR   

Rackspace Technology Global Inc., (Restricted, cost - $209,509, acquired 2/19/21), 3.500% (2-Month USD-LIBOR + 2.750%/3-Month USD-LIBOR + 2.750%) due 2/15/28(n)

     206,303  
  340,000      NR   

RealPage Inc., (Restricted, cost - $340,152, acquired 2/18/21), 3.750% (1-Month USD-LIBOR + 3.250%) due 4/24/28(n)

     337,322  
  397,651      NR   

Reynolds Consumer Products LLC, (Restricted, cost - $399,111, acquired 2/18/20), 1.840% (1-Month USD-LIBOR + 1.750%) due 2/4/27(n)

     395,822  
  314,760      NR   

Scientific Games International Inc., (Restricted, cost - $314,573, acquired 2/14/18), 2.840% (1-Month USD-LIBOR + 2.750%) due 8/14/24(n)

     312,859  
  400,000      NR   

Setanta Aircraft Leasing DAC, (Restricted, cost - $399,007, acquired 11/2/21), 2.140% (2-Month USD-LIBOR + 2.000%) due 11/5/28(n)

     399,834  
  360,000      NR   

Sotera Health Holdings LLC, (Restricted, cost - $362,813, acquired 1/20/21), 3.250% (3-Month USD-LIBOR + 2.750%) due 12/11/26(n)

     358,650  
  19,848      NR   

TransDigm Inc., (Restricted, cost - $19,599, acquired 2/9/21), 2.340% (1-Month USD-LIBOR + 2.250%) due 12/9/25(n)

     19,476  
  406,067      NR   

UFC Holdings LLC, (Restricted, cost - $409,112, acquired 4/30/19), 3.500% (3-Month USD-LIBOR + 2.750%) due 4/29/26(n)

     400,737  
  467,650      NR   

United AirLines Inc., (Restricted, cost - $470,125, acquired 4/14/21), 4.500% (3-Month USD-LIBOR + 3.750%) due 4/21/28(n)

     467,779  
  150,000      NR   

VFH Parent LLC, (Restricted, cost - $148,649, acquired 10/30/20), 3.092% (1-Month USD-LIBOR + 3.000%) due 3/1/26(n)

     149,822  
  430,000      NR   

Virgin Media Bristol LLC, (Restricted, cost - $427,643, acquired 4/30/19), 2.589% (1-Month USD-LIBOR + 2.500%) due 1/31/28(n)

     424,894  
  80,000      NR   

Zayo Group Holdings Inc., (Restricted, cost - $80,088, acquired 2/19/21), 3.090% (1-Month USD-LIBOR + 3.000%) due 3/9/27(n)

     78,371  
        

 

 

 
     

TOTAL SENIOR LOANS

(Cost - $18,493,054)

     18,395,377  
        

 

 

 
 

ASSET-BACKED SECURITIES - 1.1%

 
 

Automobiles - 0.3%

 
     

Credit Acceptance Auto Loan Trust:

  
  450,000      AAA   

Series 2019-3A, Class A, 2.380% due 11/15/28(b)

     454,571  
  410,000      AAA   

Series 2021-2A, Class A, 0.960% due 2/15/30(b)

     408,686  
  320,000      AAA   

Series 2021-3A, Class A, 1.000% due 5/15/30(b)

     318,366  
  470,000      AAA   

Series 2021-4, Class A, 1.260% due 10/15/30(b)

     467,999  
  920,000      Aaa(c)   

Hertz Vehicle Financing LLC, Series 2021-1A, Class A, 1.210% due 12/26/25(b)

     914,731  
  870,000      Aaa(c)   

Honda Auto Receivables Owner Trust, Series 2021-4, Class A3, 0.880% due 1/21/26

     871,400  
  460,000      AAA   

Hyundai Auto Receivables Trust, Series 2021-C, Class A3, 0.740% due 5/15/26

     458,349  
  223,949      AAA   

Nissan Auto Receivables Owner Trust, Series 2018-C, Class A3, 3.220% due 6/15/23

     225,374  
        

 

 

 
     

Total Automobiles

     4,119,476  
        

 

 

 
 

Credit Cards - 0.0%

 
  315,000      AAA   

Citibank Credit Card Issuance Trust, Series 2017-A6, Class A6, 0.860% (1-Month USD-LIBOR + 0.770%) due 5/14/29(d)

     320,770  
        

 

 

 
 

Student Loans - 0.8%

 
  153,325      AAA   

College Ave Student Loans LLC, Series 2019-A, Class A2, 3.280% due 12/28/48(b)

     157,436  
     

ECMC Group Student Loan Trust:

  
  171,754      Aaa(c)   

Series 2016-1A, Class A, 1.442% (1-Month USD-LIBOR + 1.350%) due 7/26/66(b)(d)

     176,962  
  1,156,805      Aaa(c)   

Series 2017-2A, Class A, 1.142% (1-Month USD-LIBOR + 1.050%) due 5/25/67(b)(d)

     1,174,861  
  93,678      AAA   

Navient Private Education Loan Trust, Series 2014-AA, Class A2B, 1.339% (1-Month USD-LIBOR + 1.250%) due 2/15/29(b)(d)

     93,999  
  1,405,881      Aaa(c)   

Navient Private Education Refi Loan Trust, Series 2021-FA, Class A, 1.110% due 2/18/70(b)

     1,388,299  
     

Navient Student Loan Trust:

  
  1,300,000      AA+   

Series 2017-3A, Class A3, 1.142% (1-Month USD-LIBOR + 1.050%) due 7/26/66(b)(d)

     1,306,517  
  240,845      AAA   

Series 2017-4A, Class A2, 0.592% (1-Month USD-LIBOR + 0.500%) due 9/27/66(b)(d)

     241,157  
  218,771      Aaa(c)   

Nelnet Student Loan Trust, Series 2021-A, Class APT1, 1.360% due 4/20/62(b)

     216,238  
  395,000      AAA   

SLM Private Education Loan Trust, Series 2010-C, Class A5, 4.839% (1-Month USD-LIBOR + 4.750%) due 10/15/41(b)(d)

     441,046  

 

163


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

ASSET-BACKED SECURITIES - 1.1% - (continued)

 
 

Student Loans - 0.8% - (continued)

 
     

SLM Student Loan Trust:

  
  $        780,000      AA+   

Series 2003-10A, Class A4, 0.786% (3-Month USD-LIBOR + 0.670%) due 12/17/68(b)(d)

   $ 780,732  
  953,712      AAA   

Series 2005-5, Class A4, 0.264% (3-Month USD-LIBOR + 0.140%) due 10/25/28(d)

     950,774  
     

SMB Private Education Loan Trust:

  
  6,529      AAA   

Series 2015-B, Class A2A, 2.980% due 7/15/27(b)

     6,560  
  545,000      AAA   

Series 2015-C, Class A3, 2.039% (1-Month USD-LIBOR + 1.950%) due
8/16/32(b)(d)

     553,613  
  34,631      Aaa(c)   

Series 2016-A, Class A2A, 2.700% due 5/15/31(b)

     35,205  
  116,404      AAA   

Series 2017-B, Class A2A, 2.820% due 10/15/35(b)

     119,136  
  68,784      AAA   

Series 2017-B, Class A2B, 0.839% (1-Month USD-LIBOR + 0.750%) due 10/15/35(b)(d)

     69,047  
  283,321      AAA   

Series 2018-A, Class A2B, 0.889% (1-Month USD-LIBOR + 0.800%) due 2/15/36(b)(d)

     284,479  
  333,581      Aaa(c)   

Series 2018-B, Class A2A, 3.600% due 1/15/37(b)

     348,436  
  405,391      AAA   

Series 2018-C, Class A2B, 0.839% (1-Month USD-LIBOR + 0.750%) due 11/15/35(b)(d)

     406,545  
  97,215      AAA   

Series 2020-A, Class A2B, 0.920% (1-Month USD-LIBOR + 0.830%) due 9/15/37(b)(d)

     97,564  
  776,665      AAA   

Series 2020-PTB, Class A2A, 1.600% due 9/15/54(b)

     769,205  
  730,000      Aaa(c)   

Series 2021-A, Class A2B, 1.590% due 1/15/53(b)

     724,038  
  240,000      Aa2(c)   

Series 2021-A, Class B, 2.310% due 1/15/53(b)

     240,276  
  184,557      AAA   

Sofi Professional Loan Program Trust, Series 2018-B, Class A2FX, 3.340% due 8/25/47(b)

     188,112  
        

 

 

 
     

Total Student Loans

     10,770,237  
        

 

 

 
     

TOTAL ASSET-BACKED SECURITIES

(Cost - $15,223,254)

     15,210,483  
        

 

 

 
 

MUNICIPAL BONDS - 0.3%

 
 

California - 0.1%

 
  530,000      A+   

Los Angeles Unified School District, GO, 5.750% due 7/1/34

     705,829  
     

University of California, Revenue Bonds:

  
  25,000      AA   

Series AD, 4.858% due 5/15/12

     38,142  
  266,000      AA   

Series AQ, 4.767% due 5/15/15

     398,133  
        

 

 

 
     

Total California

     1,142,104  
        

 

 

 
 

New Jersey - 0.1%

 
  570,000      Aa3(c)   

Jersey City Municipal Utilities Authority, Revenue Bonds, Series B, 5.470% due 5/15/27

     634,360  
  85,000      BBB   

New Jersey Transportation Trust Fund Authority, Revenue Bonds, Series B, 6.561% due 12/15/40

     129,159  
        

 

 

 
     

Total New Jersey

     763,519  
        

 

 

 
 

New York - 0.1%

     
     

City of New York:

  
  375,000      AA   

GO, Series A, 3.000% due 8/1/34

     391,620  
  500,000      AA   

Series G-1, 5.968% due 3/1/36

     692,688  
  80,000      AAA   

New York City Transitional Finance Authority Future Tax Secured Revenue, Revenue Bonds, Series A-1, 5.000% due 11/1/42

     86,646  
  350,000      AA+   

New York State Dormitory Authority, Revenue Bonds, 5.289% due 3/15/33

     427,817  
        

 

 

 
     

Total New York

     1,598,771  
        

 

 

 
 

Texas - 0.0%

     
  350,000      A+   

North Texas Tollway Authority, Revenue Bonds, Series A, 2.530% due 1/1/35

     352,217  
  70,000      AAA   

State of Texas, GO, 2.754% due 10/1/41

     71,626  
        

 

 

 
     

Total Texas

     423,843  
        

 

 

 
 

Virginia - 0.0%

     
  125,636      AAA   

Virginia Housing Development Authority, Revenue Bonds, Series C, 6.000% due 6/25/34

     130,529  
        

 

 

 
      TOTAL MUNICIPAL BONDS
(Cost - $3,749,745)
     4,058,766  
  

 

 

 
      TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS
(Cost - $1,311,235,218)
     1,326,327,139  
        

 

 

 

 

164


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

SHORT-TERM INVESTMENTS - 9.0%

 
 

SOVEREIGN BOND - 0.3%

 
      485,000,000  JPY    NR   

Japan Treasury Discount Bills, (0.162)% due 3/7/22(p)
(Cost - $4,265,182)

   $ 4,292,919  
       

 

 

 
 

TIME DEPOSITS - 4.7%

 
  $                     26       

ANZ National Bank - London, 0.005% due 12/1/21

     26  
  55,993  AUD      

BBH - Grand Cayman, (0.120)% due 12/1/21

     39,917  
    

BNP Paribas - Paris:

  
  666,963  EUR      

(0.790)% due 12/1/21

     756,570  
  17,897,553       

0.005% due 12/1/21

     17,897,553  
  247,719  GBP      

Citibank - London, 0.005% due 12/1/21

     329,615  
  1,824       

DNB - Oslo, 0.005% due 12/1/21

     1,824  
  9,377,875       

JPMorgan Chase & Co. - New York, 0.005% due 12/1/21

     9,377,875  
  34,597,036       

Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21

     34,597,036  
          18,845,982  JPY      

Sumitomo Mitsui Banking Corp. - Tokyo, (0.270)% due 12/1/21

     166,742  
       

 

 

 
    

TOTAL TIME DEPOSITS

(Cost - $63,167,158)

     63,167,158  
       

 

 

 
 

U.S. GOVERNMENT OBLIGATIONS - 4.0%

 
    

U.S. Treasury Bills:

  
  15,145,000       

0.040% due 12/2/21(p)

     15,144,983  
  6,395,000       

0.036% due 12/14/21(p)

     6,394,917  
  8,485,000       

0.041% due 1/6/22(p)

     8,484,653  
  10,130,000       

0.049% due 1/13/22(p)

     10,129,402  
  1,620,000       

0.045% due 1/27/22(p)

     1,619,885  
  11,780,000       

0.045% due 2/3/22(p)

     11,779,056  
       

 

 

 
    

TOTAL U.S. GOVERNMENT OBLIGATIONS

(Cost - $53,552,896)

     53,552,896  
       

 

 

 
    

TOTAL SHORT-TERM INVESTMENTS

(Cost - $120,985,236)

     121,012,973  
       

 

 

 
    

TOTAL INVESTMENTS IN SECURITIES

(Cost - $1,432,220,454)

     1,447,340,112  
       

 

 

 
    

TOTAL INVESTMENTS IN PURCHASED OPTIONS

(Cost - $320,145)

     366,168  
       

 

 

 
    

TOTAL INVESTMENTS - 107.8%

(Cost - $1,432,540,599)

     1,447,706,280  
       

 

 

 
     Liabilities in Excess of Other Assets - (7.8)%      (105,154,924
       

 

 

 
     TOTAL NET ASSETS - 100.0%    $ 1,342,551,356  
       

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

(a)

Principal only security.

(b)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $157,628,348 and represents 11.7% of net assets.

(c)

Rating by Moody’s Investors Service.

(d)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

(e)

Security is perpetual in nature and has no stated maturity date.

(f)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

(g)

Illiquid security.

(h)

Security is currently in default.

(i)

This security is traded on a TBA basis (see Note 1).

(j)

Inverse Floating Rate Security - interest rate fluctuates with an inverse relationship to an associated interest rate. Indicated rate is the effective rate as of November 30, 2021.

(k)

Rating by Fitch Ratings Service.

(l)

Interest only security.

(m)

Affiliated security. As of November 30, 2021, total cost and total market value of affiliated securities amounted to $1,144,978 and $1,145,107, respectively.

 

Underlying Security  

Beginning

Value as of
August 31, 2021

    Purchases
at Cost
    Proceeds
from
Sales
    Net Realized
(Loss) on Sales
   

Change in

Unrealized
(Depreciation)

   

Dividend/

Interest
Income

   

Ending

Value as of
November 30, 2021

 

Morgan Stanley Bank of America Merrill Lynch Trust:

             

Series 2013-C13, Class A4, 4.039% due 11/15/46

    $533,514       $—         $—         $—         $(8,515)       $5,048       $524,999  

Series 2016-C28, Class A3, 3.272% due 1/15/49

    632,966       —         (227)       (14)       (12,617)       4,874       620,108  

Morgan Stanley Resecuritization Trust, Series 2014-R3, Class 2A, 3.000%, due 7/26/48

    204,031       —         (202,238)       (126)       (1,667)       699       —    

 

(n)

The aggregate value of restricted securities (excluding 144A holdings) at November 30, 2021, amounts to $18,395,377 and represents 1.4% of net assets.

(o)

This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.

(p)

Rate shown represents yield-to-maturity.

#

Security that used significant unobservable inputs to determine fair value.

At November 30, 2021, for Core Fixed Income Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund    Aggregate Cost For
Federal Income
Tax Purposes
  

Gross

Unrealized

Appreciation

  

Gross

Unrealized

(Depreciation)

 

Net
Unrealized

Appreciation

Core Fixed Income Fund

   $1,432,540,599    $40,071,865    $(24,869,572)   $15,202,293

Abbreviations used in this schedule:

 

ACES       Alternative Credit Enhancement Securities
CLO       Collateralized Loan Obligation
CMT       Constant Maturity Treasury Rate
GO       General Obligation
ICE       Intercontinental Exchange
LIBOR       London Interbank Offered Rate
MASTR       Mortgage Asset Securitization Transactions Incorporation
OFZ       Federal Loan Obligations (Russian: Obligatsyi Federal’novo Zaima)
PLC       Public Limited Company
REMICS       Real Estate Mortgage Investment Conduits
SOFR       Secured Overnight Financing Rate

 

Summary of Investments by Security Type^

      

U.S. Government Agencies & Obligations

     29.7

Corporate Bonds & Notes

     27.6  

Mortgage-Backed Securities

     20.4  

Collateralized Mortgage Obligations

     8.1  

Sovereign Bonds

     3.3  

Senior Loans

     1.3  

Asset-Backed Securities

     1.0  

Municipal Bonds

     0.3  

Short-Term Investments

     8.3  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

*

Position represents less than 0.05%.

 

165


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund held the following Options Contracts Purchased:

Interest Rate Cap Option

 

Number of
Contracts
     Notional
Amount†
   Security Name    Counterparty    Expiration
Date
   Exercise
Rate
  Value  
  1,270,000      $2,099,310   

OTC, USD ICE Swap 3-30 Year, Put

   BCLY    1/19/24    2.750%   $ 37,374  
                

 

 

 

Options on Futures

 

Number of
Contracts
   Notional
Amount†
   Security Name    Counterparty      Expiration
Date
     Strike Price      Value  
156    $18,915,000   

U.S. Treasury 5-Year Note January Futures, Put

     GSC        12/23/21      $ 121.25      $ 58,500  
186    46,035,000   

1-Year Eurodollar Mid-Curve December Futures, Put

     GSC        12/10/21      $ 99.00        22,088  
83    20,555,469   

1-Year Eurodollar Mid-Curve December Futures, Put

     GSC        12/10/21      $ 99.06        15,044  
255    62,812,875   

1-Year Eurodollar Mid-Curve September Futures, Call

     CITI        9/16/22      $ 98.75        146,625  
223    55,515,850   

3-Month Eurodollar June Futures, Put

     GSC        6/13/22      $ 99.50        69,687  
43    10,722,050   

3-Month Eurodollar March Futures, Call

     GSC        3/14/22      $ 99.88        538  
174    43,386,900   

3-Month Eurodollar March Futures, Put

     GSC        3/14/22      $ 99.63        16,312  
                 

 

 

 
     

Total Options on Futures

              328,794  
                 

 

 

 
      TOTAL OPTIONS CONTRACTS PURCHASED
(Cost — $320,145)
            $ 366,168  
                 

 

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise need.

 

166


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund held the following Options Contracts Written:

Options on Futures

 

Number of
Contracts
   Notional
Amount†
   Security Name    Counterparty      Expiration
Date
     Strike Price      Value  
17    $2,727,439   

U.S. Treasury Bond January Futures, Call

     GSC        12/23/21      $ 159.00      $ 62,953  
75    12,032,813   

U.S. Treasury Bond January Futures, Call

     GSC        12/23/21      $ 164.00        67,969  
89    10,792,642   

U.S. Treasury 5-Year Note January Futures, Call

     GSC        12/23/21      $ 121.25        46,587  
65    7,897,500   

U.S. Treasury 5-Year Note January Futures, Call

     GSC        12/23/21      $ 121.50        25,391  
199    24,327,750   

U.S. Treasury 5-Year Note January Futures, Call

     GSC        12/23/21      $ 122.25        24,875  
14    1,823,938   

U.S. Treasury 10-Year Note January Futures, Call

     GSC        12/23/21      $ 130.50        12,031  
269    66,654,838   

1-Year Eurodollar Mid-Curve December Futures, Call

     GSC        12/10/21      $ 99.38        6,725  
269    66,654,838   

1-Year Eurodollar Mid-Curve December Futures, Put

     GSC        12/10/21      $ 98.88        11,769  
255    62,812,875   

1-Year Eurodollar Mid-Curve September Futures, Call

     CITI        9/16/22      $ 99.00        84,468  
255    62,812,875   

1-Year Eurodollar Mid-Curve September Futures, Put

     CITI        9/16/22      $ 97.88        89,250  
120    29,487,000   

2-Year Eurodollar Mid-Curve September Futures, Call

     GSC        9/16/22      $ 98.25        122,250  
120    29,487,000   

2-Year Eurodollar Mid-Curve September Futures, Put

     GSC        9/16/22      $ 98.25        93,750  
223    55,030,825   

3-Month Eurodollar June Futures, Put

     GSC        6/19/23      $ 97.00        48,781  
223    55,515,850   

3-Month Eurodollar June Futures, Put

     GSC        6/13/22      $ 99.00        18,119  
43    10,722,050   

3-Month Eurodollar March Futures, Call

     GSC        3/14/22      $ 99.75        4,837  
169    42,140,150   

3-Month Eurodollar March Futures, Put

     GSC        3/14/22      $ 99.38        4,225  
43    10,722,050   

3-Month Eurodollar March Futures, Put

     GSC        3/14/22      $ 99.75        8,062  
                 

 

 

 
      TOTAL OPTIONS CONTRACTS WRITTEN
(Premiums received — $587,600)
            $ 732,042  
                 

 

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise need.

 

167


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
    

Market

Value

     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

              

90-Day Eurodollar December Futures

     401        12/22      $ 99,442,700      $ 99,322,687      $ (120,013

90-Day Eurodollar December Futures

     541        12/23        133,750,000        133,140,100        (609,900

90-Day Eurodollar June Futures

     89        6/23        22,081,144        21,956,300        (124,844

Australian Government 10-Year Bond December Futures

     42        12/21        4,314,674        4,173,595        (141,079

Australian Government 3-Year Bond December Futures

     42        12/21        3,414,730        3,431,238        16,508  

Euro-OAT December Futures

     24        12/21        4,591,134        4,581,050        (10,084

U.S. Treasury 2-Year Note March Futures

     392        3/22        85,588,623        85,743,875        155,252  

U.S. Treasury 5-Year Note March Futures

     1,040        3/22        125,617,193        126,254,376        637,183  

U.S. Treasury 10-Year Note March Futures

     27        3/22        3,507,153        3,531,938        24,785  

U.S. Treasury Ultra Long Bond March Futures

     101        3/22        19,747,308        20,256,812        509,504  
              

 

 

 
                 337,312  
              

 

 

 

Contracts to Sell:

              

90-Day Eurodollar December Futures

     339        12/21        84,507,792        84,578,381        (70,589

90-Day Eurodollar March Futures

     86        3/22        21,444,449        21,439,800        4,649  

Euro-Bund December Futures

     88        12/21        17,217,437        17,206,457        10,980  

Japan Government 10-Year Bond December Futures

     5        12/21        6,717,540        6,721,521        (3,981

U.S. Treasury 2-Year Note March Futures

     10        3/22        2,185,125        2,187,344        (2,219

U.S. Treasury 5-Year Note March Futures

     73        3/22        8,818,522        8,862,086        (43,564

U.S. Treasury 10-Year Note March Futures

     146        3/22        18,921,523        19,098,625        (177,102

U.S. Treasury Long Bond March Futures

     51        3/22        8,176,945        8,268,375        (91,430

U.S. Treasury Ultra Long Bond March Futures

     13        3/22        2,509,092        2,607,313        (98,221

U.S. Ultra Long Bond March Futures

     60        3/22        8,652,570        8,813,437        (160,867
              

 

 

 
                 (632,344
              

 

 

 

Net Unrealized Depreciation on Open Exchange-Traded Futures Contracts

 

         $ (295,032
              

 

 

 

At November 30, 2021, Core Fixed Income Fund had deposited cash of $2,853,792 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

 

168


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund had open forward foreign currency contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Foreign Currency    Local Currency      In Exchange For      Counterparty      Market
Value
     Settlement
Date
     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

                    

Australian Dollar

     6,473,202        USD        4,720,731        CITI      $ 4,617,416        1/18/22      $ (103,315

Brazilian Real

     174,640        USD        31,000        CITI        30,737        1/18/22        (263

British Pound

     1,655,489        USD        2,256,534        CITI        2,204,682        1/18/22        (51,852

Canadian Dollar

     8,290,000        USD        6,600,056        CITI        6,491,590        1/18/22        (108,466

Canadian Dollar

     1,600,000        USD        1,273,835        CITI        1,252,900        1/18/22        (20,935

Canadian Dollar

     4,611,678        USD        3,671,572        CITI        3,611,233        1/18/22        (60,339

Canadian Dollar

     2,600,425        USD        2,049,465        CITI        2,036,295        1/18/22        (13,170

Indonesian Rupiah

     23,436,280,400        USD        1,623,326        CITI        1,628,476        1/18/22        5,150  

Japanese Yen

     485,207,095        USD        4,268,747        GSC        4,292,919        12/1/21        24,172  

Japanese Yen

     521,992,622        USD        4,598,543        CITI        4,622,522        1/18/22        23,979  

Russian Ruble

     392,836,970        USD        5,328,337        CITI        5,248,197        1/18/22        (80,140

South African Rand

     8,680,000        USD        562,522        CITI        542,247        1/18/22        (20,275
                    

 

 

 
                       (405,454
                    

 

 

 

Contracts to Sell:

                    

Euro

     1,084,627        USD        1,257,289        CITI        1,232,582        1/18/22        24,707  

Japanese Yen

     485,000,000        USD        4,272,571        GSC        4,296,772        3/7/22        (24,201

Mexican Peso

     62,442,905        USD        2,994,763        CITI        2,883,511        1/18/22        111,252  
                    

 

 

 
                       111,758  
                    

 

 

 

Net Unrealized Depreciation on Open Forward Foreign Currency Contracts

 

            $ (293,696
                    

 

 

 

 

169


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund held the following OTC Interest Rate Swap Contract:

 

Pay

Floating Rate

   Floating Rate Index    Fixed
Rate
    Maturity
Date
     Counterparty    Notional
Amount
     Market
Value
    Upfront
Payment
Paid
     Unrealized
Depreciation
 

Pay

   3-Month BRL-CDI-Compounded      7.024     1/4/27      CITI      BRL  18,325,000      $ (255,673   $ 7,443      $ (263,116
                

 

 

   

 

 

    

 

 

 
                     

 

170


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund held the following Centrally Cleared Interest Rate Swap Contracts:    

 

Receive

Floating Rate

   Floating Rate Index    Fixed
Rate
  Maturity
Date
   Payment
Frequency
     Notional
Amount
     Market
Value
    Upfront
Payment
Paid/
(Received)
    Unrealized
Appreciation/
(Depreciation)
 

Receive

   3-Month USD-LIBOR    0.450%   5/15/27      6-Month      USD      14,308,000      $ 654,061     $ (43,694   $ 697,755  

Receive

   3-Month USD-LIBOR    1.000%   2/15/47      6-Month      USD      7,033,000        958,340       76,918       881,422  

Receive

   3-Month USD-LIBOR    1.225%   2/15/47      6-Month      USD      724,000        63,432       832       62,600  

Receive

   3-Month USD-LIBOR    1.250%   2/15/28      6-Month      USD      5,730,000        18,418       5,733       12,685  

Receive

   3-Month USD-LIBOR    1.350%   2/15/28      6-Month      USD      10,365,000        (32,102     (37,165     5,063  

Receive

   3-Month USD-LIBOR    1.630%   2/15/47      6-Month      USD      958,000        1,952       (5,837     7,789  

Receive

   3-Month USD-LIBOR    1.671%   7/9/51      6-Month      USD      1,672,000        (26,605     (7,118     (19,487

Receive

   3-Month USD-LIBOR    2.000%   2/15/47      6-Month      USD      3,485,000        (278,667     5,177       (283,844

Receive

   3-Month USD-LIBOR    2.000%   6/3/51      6-Month      USD      85,000        (8,387     90       (8,477

Receive

   Secured Overnight Financing Rate    1.130%   8/15/28      12-Month      USD      15,832,000        14,318       89,227       (74,909

Receive

   Secured Overnight Financing Rate    1.520%   2/15/47      12-Month      USD      5,749,000        (187,152     25,203       (212,355

Receive

   Secured Overnight Financing Rate    1.729%   2/15/47      12-Month      USD      1,505,000        (123,740    
—  
 
    (123,740

Receive

   Secured Overnight Financing Rate    1.733%   10/20/31      12-Month      USD      4,090,000        (47,840     16,150       (63,990

Receive

   U.S. Federal Funds Effective Rate Index    0.560%   7/20/45      12-Month      USD      730,000        124,647       —         124,647  
                   

 

 

   

 

 

   

 

 

 
                    $ 1,130,675     $ 125,516     $ 1,005,159  
                   

 

 

   

 

 

   

 

 

 

 

171


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

At November 30, 2021, Core Fixed Income Fund held the following Centrally Cleared Inflation Rate Swap Contracts:

 

Pay/Receive

Floating Rate

  Floating Rate Index   Fixed
Rate
    Maturity
Date
    Notional
Amount
    Market
Value
    Upfront
Premiums
Paid/
(Received)
    Unrealized
Appreciation/
(Depreciation)
 

Receive

 

1-Year United States Consumer Price Index for All Urban Consumers

    0.028     10/20/31    

USD

    4,090,000     $ 1,671     $ 3,529     $ (1,858

Pay

 

1-Year United States Consumer Price Index for All Urban Consumers

    0.030     10/20/26    

USD

    4,090,000       16,323       (2,141     18,464  
           

 

 

   

 

 

   

 

 

 
            $ 17,994     $ 1,388     $ 16,606  
           

 

 

   

 

 

   

 

 

 

 

172


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Centrally Cleared - Credit Default Swaps on Indexes - Buy Protection (1)

 

Reference Obligation & Rating    Fixed Deal
Receive
Rate
  Maturity
Date
     Payment
Frequency
     Implied Credit
Spread at
11/30/21 (2)
 

Notional

Amount (3)

     Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

Markit CDX North America High Yield Series 37 5-Year Index, NR

   5.000%     12/20/26        3-Month      3.296%     USD        1,030,000      $ (88,649   $ (99,782   $ 11,133  
                  

 

 

   

 

 

   

 

 

 

 

(1)

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

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of an emerging country as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as “Defaulted” indicates a credit event has occurred for the referenced entity or obligation

(3)

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

At November 30, 2021, Core Fixed Income Fund deposited cash collateral with brokers in the amount of $1,695,150 for open centrally cleared swap contracts.

 

173


Schedules of Investments

(unaudited) (continued)

 

Core Fixed Income Fund

 

Currency Abbreviations used in this schedule:    Counterparty Abbreviations used in this schedule:
AUD       Australian Dollar    BCLY       Barclays Bank PLC
BRL       Brazilian Real    CITI       Citigroup Global Markets Inc.
EUR       Euro    GSC       Goldman Sachs & Co.
GBP       British Pound         
IDR       Indonesian Rupiah         
JPY       Japanese Yen         
MXN       Mexican Peso         
RUB       Russian Ruble         
USD       United States Dollar         

 

 

See pages 254-256 for definitions of ratings.

 

174


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8%

 
 

Advertising - 0.3%

 
  $        300,000      CCC   

Clear Channel Outdoor Holdings Inc., Company Guaranteed Notes, 7.500% due 6/1/29(a)

   $ 308,758  
  325,000      CCC+   

Terrier Media Buyer Inc., Company Guaranteed Notes, 8.875% due 12/15/27(a)

     345,165  
        

 

 

 
     

Total Advertising

     653,923  
        

 

 

 
 

Aerospace/Defense - 0.6%

 
  391,000      BB   

Moog Inc., Company Guaranteed Notes, 4.250% due 12/15/27(a)

     401,508  
  495,000      B   

Spirit AeroSystems Inc., Secured Notes, 7.500% due 4/15/25(a)

     518,460  
  280,000      B-   

TransDigm Inc., Company Guaranteed Notes, 4.625% due 1/15/29

     269,251  
        

 

 

 
     

Total Aerospace/Defense

     1,189,219  
        

 

 

 
 

Agriculture - 0.0%

 
  50,000      B-   

Vector Group Ltd., Company Guaranteed Notes, 10.500% due 11/1/26(a)

     51,800  
        

 

 

 
 

Airlines - 2.5%

 
  170,000      BB-   

Air Canada, Senior Secured Notes, 3.875% due 8/15/26(a)

     169,726  
  886,000      B   

American Airlines Inc., Senior Secured Notes, 11.750% due 7/15/25(a)

     1,076,490  
     

American Airlines Inc./AAdvantage Loyalty IP Ltd., Senior Secured Notes:

  
  118,000      Ba2(b)   

5.500% due 4/20/26(a)

     120,762  
  301,000      Ba2(b)   

5.750% due 4/20/29(a)

     314,545  
  120,000      BBB-   

Delta Air Lines Inc., Senior Secured Notes, 7.000% due 5/1/25(a)

     138,004  
  370,000      Baa1(b)   

Delta Air Lines Inc./SkyMiles IP Ltd., Senior Secured Notes, 4.750% due 10/20/28(a)

     406,015  
  269,000      Ba3(b)   

Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd., Senior Secured Notes, 5.750% due 1/20/26(a)

     276,295  
  490,000      Baa3(b)   

Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd., Senior Secured Notes, 6.500% due 6/20/27(a)

     523,950  
  290,000      NR   

Spirit Airlines Inc., Senior Unsecured Notes, 1.000% due 5/15/26

     257,520  
  312,747      Ba2(b)   

Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd., Senior Secured Notes, 8.000% due 9/20/25(a)

     342,420  
  188,580      BBB-   

United Airlines Class B Pass Through Trust, Pass-Thru Certificates, 4.875% due 1/15/26

     197,980  
     

United Airlines Inc., Senior Secured Notes:

  
  423,000      BB-   

4.375% due 4/15/26(a)

     425,506  
  512,000      BB-   

4.625% due 4/15/29(a)

     509,942  
        

 

 

 
     

Total Airlines

     4,759,155  
        

 

 

 
 

Auto Manufacturers - 2.1%

 
     

Ford Motor Co., Senior Unsecured Notes:

  
  200,000      BB+   

9.000% due 4/22/25

     243,159  
  190,000      BB+   

3.250% due 2/12/32

     190,635  
  1,141,000      BB+   

4.750% due 1/15/43

     1,223,066  
     

Ford Motor Credit Co. LLC, Senior Unsecured Notes:

  
  300,000      BB+   

4.542% due 8/1/26

     320,445  
  300,000      BB+   

2.900% due 2/16/28

     295,552  
  320,000      BB+   

5.113% due 5/3/29

     354,736  
  550,000      BB+   

4.000% due 11/13/30

     578,630  
  500,000      B+   

JB Poindexter & Co., Inc., Senior Unsecured Notes, 7.125% due 4/15/26(a)

     522,480  
  295,000      B   

PM General Purchaser LLC, Senior Secured Notes, 9.500% due 10/1/28(a)

     305,082  
        

 

 

 
     

Total Auto Manufacturers

     4,033,785  
        

 

 

 
 

Auto Parts & Equipment - 1.0%

 
     

American Axle & Manufacturing Inc., Company Guaranteed Notes:

  
  330,000      B+   

6.500% due 4/1/27

     342,787  
  540,000      B+   

5.000% due 10/1/29

     513,227  
  690,000      CCC   

Dornoch Debt Merger Sub Inc., Senior Unsecured Notes, 6.625% due 10/15/29(a)

     677,063  
  302,000      B-   

Titan International Inc., Senior Secured Notes, 7.000% due 4/30/28

     310,773  
        

 

 

 
     

Total Auto Parts & Equipment

     1,843,850  
        

 

 

 
 

Banks - 1.0%

 
  230,000      B+   

Barclays PLC, Junior Subordinated Notes, 8.000% (5-Year CMT Index + 5.672%)(c)(d)

     252,224  
  200,000      BBB-   

Credit Agricole SA, Junior Subordinated Notes, 8.125% (5-Year USD Swap
Rate + 6.185%)(a)(c)(d)

     236,094  

 

175


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 


Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Banks - 1.0% - (continued)

 
     

Credit Suisse Group AG, Junior Subordinated Notes:

  
  $        230,000      BB-   

6.375% (5-Year CMT Index + 4.822%)(a)(c)(d)

   $ 245,237  
  200,000      BB-   

7.500% (5-Year USD Swap Rate + 4.600%)(a)(c)(d)

     210,450  
  360,000      BB+   

Intesa Sanpaolo SpA, Subordinated Notes, 4.198% (1-Year CMT Index + 2.600%)
due 6/1/32(a)(c)

     361,363  
  520,000      BB+   

UniCredit SpA, Subordinated Notes, 5.459% (5-Year CMT Index + 4.750%) due 6/30/35(a)(c)

     565,005  
        

 

 

 
     

Total Banks

     1,870,373  
        

 

 

 
 

Beverages - 0.1%

 
  268,000      CCC+   

Triton Water Holdings Inc., Senior Unsecured Notes, 6.250% due 4/1/29(a)

     262,171  
        

 

 

 
 

Biotechnology - 0.1%

 
  210,000      NR   

Halozyme Therapeutics Inc., Senior Unsecured Notes, 0.250% due 3/1/27(a)

     177,319  
        

 

 

 
 

Building Materials - 1.4%

 
  190,000      B-   

Cornerstone Building Brands Inc., Company Guaranteed Notes, 6.125% due 1/15/29(a)

     198,297  
  194,000      CCC   

CP Atlas Buyer Inc., Senior Unsecured Notes, 7.000% due 12/1/28(a)

     186,587  
  350,000      B+   

Griffon Corp., Company Guaranteed Notes, 5.750% due 3/1/28

     361,461  
  570,000      B+   

PGT Innovations Inc., Company Guaranteed Notes, 4.375% due 10/1/29(a)

     565,705  
  320,000      B+   

SRM Escrow Issuer LLC, Senior Secured Notes, 6.000% due 11/1/28(a)

     331,597  
     

Standard Industries Inc., Senior Unsecured Notes:

  
  252,000      BB-   

5.000% due 2/15/27(a)

     258,722  
  248,000      BB-   

4.375% due 7/15/30(a)

     244,336  
  380,000      BB   

Summit Materials LLC/Summit Materials Finance Corp., Company Guaranteed Notes, 5.250% due 1/15/29(a)

     396,731  
        

 

 

 
     

Total Building Materials

     2,543,436  
        

 

 

 
 

Chemicals - 0.9%

 
  471,000      B+   

Consolidated Energy Finance SA, Company Guaranteed Notes, 5.625% due 10/15/28(a)

     449,565  
  240,000      B-   

LSF11 A5 HoldCo LLC, Senior Unsecured Notes, 6.625% due 10/15/29(a)

     236,346  
  401,000      BB   

Methanex Corp., Senior Unsecured Notes, 5.125% due 10/15/27

     419,879  
  300,000      BB-   

Minerals Technologies Inc., Company Guaranteed Notes, 5.000% due 7/1/28(a)

     303,126  
  290,000      BB+   

Olin Corp., Senior Unsecured Notes, 5.000% due 2/1/30

     303,391  
  36,000      B   

Trinseo Materials Operating SCA/Trinseo Materials Finance Inc., Company Guaranteed Notes, 5.125% due 4/1/29(a)

     36,103  
        

 

 

 
     

Total Chemicals

     1,748,410  
        

 

 

 
 

Coal - 0.5%

 
  516,000      BB   

SunCoke Energy Inc., Senior Secured Notes, 4.875% due 6/30/29(a)

     502,207  
  375,000      BB   

Warrior Met Coal Inc., Senior Secured Notes, 7.875% due 12/1/28(a)

     379,114  
        

 

 

 
     

Total Coal

     881,321  
        

 

 

 
 

Commercial Services - 8.0%

 
  290,000      BB-   

ADT Security Corp. (The), Senior Secured Notes, 4.125% due 8/1/29(a)

     280,343  
  300,000      BB-   

Adtalem Global Education Inc., Senior Secured Notes, 5.500% due 3/1/28(a)

     289,641  
  444,000      CCC-   

Ahern Rentals Inc., Secured Notes, 7.375% due 5/15/23(a)

     419,580  
     

Allied Universal Holdco LLC/Allied Universal Finance Corp.:

  
  170,000      B   

Senior Secured Notes, 6.625% due 7/15/26(a)

     175,295  
  545,000      CCC+   

Senior Unsecured Notes, 6.000% due 6/1/29(a)

     518,712  
     

Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 Sarl, Senior Secured Notes:

  
  640,000      B   

4.625% due 6/1/28(a)

     620,337  
  288,000      B-   

Alta Equipment Group Inc., Secured Notes, 5.625% due 4/15/26(a)

     294,863  
  505,000      CCC   

APX Group Inc., Company Guaranteed Notes, 5.750% due 7/15/29(a)

     493,233  
  500,000      BB-   

Brink’s Co. (The), Company Guaranteed Notes, 4.625% due 10/15/27(a)

     511,097  
  290,000      B+   

Carriage Services Inc., Company Guaranteed Notes, 4.250% due 5/15/29(a)

     284,848  
  90,000      NR   

Chegg Inc., Senior Unsecured Notes, zero coupon, due 9/1/26

     74,115  
     

CoreCivic Inc., Company Guaranteed Notes:

  
  80,000      BB-   

4.625% due 5/1/23

     80,174  
  520,000      BB-   

8.250% due 4/15/26

     536,377  
  455,000      B-   

Deluxe Corp., Company Guaranteed Notes, 8.000% due 6/1/29(a)

     472,194  
     

Garda World Security Corp.:

  
  318,000      B   

Senior Secured Notes, 4.625% due 2/15/27(a)

     311,510  

 

176


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 


Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Commercial Services - 8.0% - (continued)

 
  $        425,000      CCC+   

Senior Unsecured Notes, 6.000% due 6/1/29(a)

   $ 403,372  
  350,000      BB+   

Gartner Inc., Company Guaranteed Notes, 3.625% due 6/15/29(a)

     348,362  
  464,000      Caa1(b)   

Hertz Corp. (The), Company Guaranteed Notes, 5.000% due 12/1/29(a)

     455,792  
  355,000      BB   

Korn Ferry, Company Guaranteed Notes, 4.625% due 12/15/27(a)

     365,881  
  349,000      B3(b)   

Legends Hospitality Holding Co. LLC/Legends Hospitality Co.-Issuer Inc., Senior Secured Notes, 5.000% due 2/1/26(a)

     353,071  
  505,000      CCC   

Metis Merger Sub LLC, Senior Unsecured Notes, 6.500% due 5/15/29(a)

     494,486  
  610,000      B   

MoneyGram International Inc., Senior Secured Notes, 5.375% due 8/1/26(a)

     605,147  
  1,166,000      B-   

MPH Acquisition Holdings LLC, Company Guaranteed Notes, 5.750% due 11/1/28(a)

     1,037,909  
  396,000      BB   

Nielsen Finance LLC/Nielsen Finance Co., Company Guaranteed Notes, 5.875% due 10/1/30(a)

     412,836  
  860,000      B   

Paysafe Finance PLC/Paysafe Holdings US Corp., Senior Secured Notes, 4.000% due 6/15/29(a)

     784,591  
     

Prime Security Services Borrower LLC/Prime Finance Inc.:

  
  840,000      B-   

Secured Notes, 6.250% due 1/15/28(a)

     854,700  
  515,000      BB-   

Senior Secured Notes, 3.375% due 8/31/27(a)

     488,063  
  484,000      BB-   

PROG Holdings Inc., Company Guaranteed Notes, 6.000% due 11/15/29(a)

     478,853  
  214,000      B   

Rent-A-Center Inc., Company Guaranteed Notes, 6.375% due 2/15/29(a)

     219,838  
  400,000      B+   

Sotheby’s, Senior Secured Notes, 7.375% due 10/15/27(a)

     418,856  
  260,000      B+   

Sotheby’s/Bidfair Holdings Inc., Senior Secured Notes, 5.875% due 6/1/29(a)

     261,379  
  270,000      BB   

Square Inc., Senior Unsecured Notes, 3.500% due 6/1/31(a)

     274,556  
  342,000      CCC+   

StoneMor Inc., Senior Secured Notes, 8.500% due 5/15/29(a)

     352,811  
  60,000      B+   

Terminix Co. LLC (The), Senior Unsecured Notes, 7.450% due 8/15/27

     70,915  
  425,000      BB   

TriNet Group Inc., Company Guaranteed Notes, 3.500% due 3/1/29(a)

     420,497  
  430,000      BB   

United Rentals North America Inc., Company Guaranteed Notes, 5.250% due 1/15/30

     464,266  
  165,000      BB-   

WW International Inc., Senior Secured Notes, 4.500% due 4/15/29(a)

     153,760  
        

 

 

 
     

Total Commercial Services

     15,082,260  
        

 

 

 
 

Computers - 0.7%

 
  505,000      CCC+   

Ahead DB Holdings LLC, Company Guaranteed Notes, 6.625% due 5/1/28(a)

     505,515  
  200,000      B1(b)   

CA Magnum Holdings, Senior Secured Notes, 5.375% due 10/31/26(a)

     204,750  
  200,000      B+   

NCR Corp., Company Guaranteed Notes, 5.125% due 4/15/29(a)

     203,390  
  330,000      B-   

Vericast Corp., Senior Secured Notes, 11.000% due 9/15/26(a)

     345,263  
        

 

 

 
     

Total Computers

     1,258,918  
        

 

 

 
 

Cosmetics/Personal Care - 0.4%

 
  665,000      BB   

Edgewell Personal Care Co., Company Guaranteed Notes, 4.125% due 4/1/29(a)

     656,272  
        

 

 

 
 

Distribution/Wholesale - 0.5%

 
  113,566      NR   

American News Co. LLC, Secured Notes, 8.500% (8.500% cash or 10.000% PIK)
due 9/1/26(a)(e)

     129,823  
  753,000      BB-   

H&E Equipment Services Inc., Company Guaranteed Notes, 3.875% due 12/15/28(a)

     735,647  
        

 

 

 
     

Total Distribution/Wholesale

     865,470  
        

 

 

 
 

Diversified Financial Services - 4.8%

 
  160,000      Baa3(b)   

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Company Guaranteed Notes, 3.300% due 1/30/32

     161,204  
  90,000      NR   

Alliance Data Systems Corp., Company Guaranteed Notes, 4.750% due 12/15/24(a)

     91,339  
  500,000      CCC   

Aretec Escrow Issuer Inc., Senior Unsecured Notes, 7.500% due 4/1/29(a)

     517,442  
  724,000      BB-   

Burford Capital Global Finance LLC, Company Guaranteed Notes, 6.250% due 4/15/28(a)

     765,409  
  652,000      B-   

Cobra AcquisitionCo LLC, Company Guaranteed Notes, 6.375% due 11/1/29(a)

     644,776  
  250,000      BB+   

Coinbase Global Inc., Company Guaranteed Notes, 3.625% due 10/1/31(a)

     231,666  
  500,000      BB   

Credit Acceptance Corp., Company Guaranteed Notes, 6.625% due 3/15/26(a)

     522,775  
  428,000      CCC+   

Curo Group Holdings Corp., Senior Secured Notes, 7.500% due 8/1/28(a)

     428,289  
  571,000      Ba2(b)   

Enact Holdings Inc., Senior Unsecured Notes, 6.500% due 8/15/25(a)

     622,036  
  400,000      B-   

Enova International Inc., Company Guaranteed Notes, 8.500% due 9/15/25(a)

     409,878  
  1,078,721      B1(b)   

Global Aircraft Leasing Co., Ltd., Senior Unsecured Notes, 6.500% (6.500% cash or 7.250% PIK) due 9/15/24(a)(e)

     1,047,940  
  256,000      BB-   

goeasy Ltd., Company Guaranteed Notes, 4.375% due 5/1/26(a)

     262,254  
  150,000      BB-   

Jane Street Group/JSG Finance Inc., Senior Secured Notes, 4.500% due 11/15/29(a)

     149,995  
     

LD Holdings Group LLC, Company Guaranteed Notes:

  
  350,000      B+   

6.500% due 11/1/25(a)

     335,258  
  270,000      B+   

6.125% due 4/1/28(a)

     248,459  

 

177


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 


Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Diversified Financial Services - 4.8% - (continued)

 
  $        396,000      B1(b)   

LFS Topco LLC, Company Guaranteed Notes, 5.875% due 10/15/26(a)

   $ 410,553  
     

Midcap Financial Issuer Trust, Senior Unsecured Notes:

  
  300,000      B+   

6.500% due 5/1/28(a)

     306,625  
  210,000      B+   

5.625% due 1/15/30(a)

     198,987  
  523,000      B   

NFP Corp., Senior Secured Notes, 4.875% due 8/15/28(a)

     515,895  
     

Rocket Mortgage LLC/Rocket Mortgage Co.-Issuer Inc., Company Guaranteed Notes:

  
  375,000      BB+   

3.625% due 3/1/29(a)

     368,241  
  660,000      BB+   

3.875% due 3/1/31(a)

     652,773  
  127,000      BB-   

StoneX Group Inc., Senior Secured Notes, 8.625% due 6/15/25(a)

     134,263  
        

 

 

 
     

Total Diversified Financial Services

     9,026,057  
        

 

 

 
 

Electric - 1.7%

 
  398,000      B+   

Calpine Corp., Senior Unsecured Notes, 5.000% due 2/1/31(a)

     383,644  
  115,000      BB   

Clearway Energy Operating LLC, Company Guaranteed Notes, 3.750% due 1/15/32(a)

     113,152  
  352,000      BB   

NextEra Energy Operating Partners LP, Company Guaranteed Notes, 4.500% due 9/15/27(a)

     373,231  
     

NRG Energy Inc., Company Guaranteed Notes:

  
  255,000      BB+   

5.750% due 1/15/28

     266,836  
  230,000      BB+   

3.625% due 2/15/31(a)

     218,725  
  520,000      BB-   

Pattern Energy Operations LP/Pattern Energy Operations Inc., Company Guaranteed Notes, 4.500% due 8/15/28(a)

     529,672  
     

Talen Energy Supply LLC, Senior Secured Notes:

  
  40,000      B+   

7.250% due 5/15/27(a)

     37,210  
  760,000      B+   

6.625% due 1/15/28(a)

     695,286  
  508,000      BBB-   

Vistra Operations Co. LLC, Senior Secured Notes, 4.300% due 7/15/29(a)

     544,659  
        

 

 

 
     

Total Electric

     3,162,415  
        

 

 

 
 

Electrical Components & Equipment - 0.5%

 
  527,000      B   

Energizer Holdings Inc., Company Guaranteed Notes, 4.375% due 3/31/29(a)

     499,870  
  360,000      BB+   

EnerSys, Company Guaranteed Notes, 4.375% due 12/15/27(a)

     371,849  
        

 

 

 
     

Total Electrical Components & Equipment

     871,719  
        

 

 

 
 

Electronics - 0.7%

 
  481,000      BB-   

Imola Merger Corp., Senior Secured Notes, 4.750% due 5/15/29(a)

     485,524  
  310,000      BB+   

Sensata Technologies BV, Company Guaranteed Notes, 4.000% due 4/15/29(a)

     314,881  
  475,000      BB-   

TTM Technologies Inc., Company Guaranteed Notes, 4.000% due 3/1/29(a)

     462,232  
        

 

 

 
     

Total Electronics

     1,262,637  
        

 

 

 
 

Energy - Alternate Sources - 0.1%

 
  220,000      B-   

Sunnova Energy Corp., Company Guaranteed Notes, 5.875% due 9/1/26(a)

     223,193  
        

 

 

 
 

Engineering & Construction - 0.6%

 
  282,000      B   

Brundage-Bone Concrete Pumping Holdings Inc., Secured Notes, 6.000% due 2/1/26(a)

     293,059  
  240,000      BB+   

TopBuild Corp., Company Guaranteed Notes, 3.625% due 3/15/29(a)

     237,433  
  499,000      B-   

VM Consolidated Inc., Company Guaranteed Notes, 5.500% due 4/15/29(a)

     500,055  
        

 

 

 
     

Total Engineering & Construction

     1,030,547  
        

 

 

 
 

Entertainment - 2.4%

 
  748,000      B-   

Allen Media LLC/Allen Media Co.-Issuer Inc., Company Guaranteed Notes, 10.500% due 2/15/28(a)

     798,797  
  240,000      CCC-   

AMC Entertainment Holdings Inc., Secured Notes, 12.000% (10.000% cash or 12.000% PIK or 5.000% cash and 6.000% PIK) due 6/15/26(a)(e)

     244,349  
  400,000      B   

Banijay Entertainment SASU, Senior Secured Notes, 5.375% due 3/1/25(a)

     408,818  
  174,000      B   

Boyne USA Inc., Senior Unsecured Notes, 4.750% due 5/15/29(a)

     175,568  
     

Caesars Entertainment Inc.:

  
  471,000      B   

Senior Secured Notes, 6.250% due 7/1/25(a)

     490,259  
  310,000      CCC+   

Senior Unsecured Notes, 4.625% due 10/15/29(a)

     302,687  
  265,000      B   

Cinemark USA Inc., Company Guaranteed Notes, 5.875% due 3/15/26(a)

     263,613  
  60,000      NR   

DraftKings Inc., Senior Unsecured Notes, zero coupon, due 3/15/28(a)

     46,784  
     

Premier Entertainment Sub LLC/Premier Entertainment Finance Corp., Company Guaranteed Notes:

  
  282,000      CCC+   

5.625% due 9/1/29(a)

     282,416  
  282,000      CCC+   

5.875% due 9/1/31(a)

     283,478  

 

178


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 


Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Entertainment - 2.4% - (continued)

 
     

SeaWorld Parks & Entertainment Inc.:

  
  $        430,000      B-   

Company Guaranteed Notes, 5.250% due 8/15/29(a)

   $ 432,296  
  375,000      BB-   

Senior Secured Notes, 8.750% due 5/1/25(a)

     400,112  
  167,000      BB-   

Speedway Motorsports LLC/Speedway Funding II Inc., Senior Unsecured Notes, 4.875% due 11/1/27(a)

     170,757  
  238,000      B+   

Wynn Resorts Finance LLC/Wynn Resorts Capital Corp., Senior Unsecured Notes, 7.750% due 4/15/25(a)

     248,320  
        

 

 

 
     

Total Entertainment

     4,548,254  
        

 

 

 
 

Environmental Control - 0.5%

 
  176,000      B   

Covanta Holding Corp., Company Guaranteed Notes, 5.000% due 9/1/30

     177,263  
  228,000      B1(b)   

Covert Mergeco Inc., Senior Unsecured Notes, 4.875% due 12/1/29(a)

     229,416  
  512,000      B+   

Harsco Corp., Company Guaranteed Notes, 5.750% due 7/31/27(a)

     519,298  
        

 

 

 
     

Total Environmental Control

     925,977  
        

 

 

 
 

Food - 2.3%

 
  400,000      BB   

Albertsons Cos Inc./Safeway Inc./New Albertsons LP/Albertsons LLC, Company Guaranteed Notes, 5.875% due 2/15/28(a)

     421,686  
  600,000      B   

C&S Group Enterprises LLC, Company Guaranteed Notes, 5.000% due 12/15/28(a)

     560,559  
     

Kraft Heinz Foods Co., Company Guaranteed Notes:

  
  40,000      BB+   

5.000% due 6/4/42

     48,960  
  40,000      BB+   

5.200% due 7/15/45

     51,055  
  619,000      BB+   

4.375% due 6/1/46

     717,842  
  200,000      BB+   

5.500% due 6/1/50

     271,791  
  425,000      BB   

Land O’Lakes Capital Trust I, Limited Guaranteed Notes, 7.450% due 3/15/28(a)

     489,456  
  510,000      B+   

Performance Food Group Inc., Company Guaranteed Notes, 5.500% due 10/15/27(a)

     526,315  
  373,000      B+   

Post Holdings Inc., Company Guaranteed Notes, 4.625% due 4/15/30(a)

     368,895  
  847,000      B   

Simmons Foods Inc./Simmons Prepared Foods Inc./Simmons Pet Food Inc./Simmons Feed, Secured Notes, 4.625% due 3/1/29(a)

     834,935  
        

 

 

 
     

Total Food

     4,291,494  
        

 

 

 
 

Forest Products & Paper - 0.7%

 
  297,000      BB-   

Clearwater Paper Corp., Company Guaranteed Notes, 4.750% due 8/15/28(a)

     301,118  
  355,000      BB   

Glatfelter Corp., Company Guaranteed Notes, 4.750% due 11/15/29(a)

     359,963  
  575,000      BB   

Sylvamo Corp., Company Guaranteed Notes, 7.000% due 9/1/29(a)

     589,576  
        

 

 

 
     

Total Forest Products & Paper

     1,250,657  
        

 

 

 
 

Healthcare - Products - 0.9%

 
     

Mozart Debt Merger Sub Inc.:

  
  808,000      B+   

Senior Secured Notes, 3.875% due 4/1/29(a)

     799,124  
  892,000      B-   

Senior Unsecured Notes, 5.250% due 10/1/29(a)

     893,517  
        

 

 

 
     

Total Healthcare - Products

     1,692,641  
        

 

 

 
 

Healthcare - Services - 3.0%

 
  505,000      B   

Acadia Healthcare Co., Inc., Company Guaranteed Notes, 5.000% due 4/15/29(a)

     513,590  
  150,000      B-   

Akumin Inc., Senior Secured Notes, 7.000% due 11/1/25(a)

     141,365  
  190,000      CCC+   

Cano Health LLC, Company Guaranteed Notes, 6.250% due 10/1/28(a)

     187,104  
  10,000      BBB-   

Centene Corp., Senior Unsecured Notes, 3.375% due 2/15/30

     10,084  
     

CHS/Community Health Systems Inc.:

  
     

Secured Notes:

  
  208,000      CCC   

6.875% due 4/15/29(a)

     205,022  
  442,000      CCC   

6.125% due 4/1/30(a)

     424,327  
     

Senior Secured Notes:

  
  120,000      B   

6.625% due 2/15/25(a)

     124,613  
  450,000      B   

5.625% due 3/15/27(a)

     462,269  
  700,000      B+   

DaVita Inc., Company Guaranteed Notes, 4.625% due 6/1/30(a)

     690,813  
     

HCA Inc., Company Guaranteed Notes:

  
  625,000      BB-   

3.500% due 9/1/30

     651,841  
  230,000      BB-   

7.500% due 11/6/33

     326,253  
  110,000      BB-   

7.500% due 11/15/95

     162,842  
  343,000      B   

Legacy LifePoint Health LLC, Senior Secured Notes, 4.375% due 2/15/27(a)

     338,330  
  160,000      CCC   

Radiology Partners Inc., Company Guaranteed Notes, 9.250% due 2/1/28(a)

     164,382  
  110,000      CCC+   

RegionalCare Hospital Partners Holdings Inc./LifePoint Health Inc., Company Guaranteed Notes, 9.750% due 12/1/26(a)

     115,618  

 

179


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Healthcare - Services - 3.0% - (continued)

 
     

Tenet Healthcare Corp., Senior Secured Notes:

  
  $ 342,000      B+   

4.875% due 1/1/26(a)

   $ 350,090  
  360,000      B+   

4.625% due 6/15/28(a)

     367,745  
  320,000      CCC   

US Renal Care Inc., Senior Unsecured Notes, 10.625% due 7/15/27(a)

     327,899  
        

 

 

 
     

Total Healthcare - Services

     5,564,187  
        

 

 

 
 

Home Builders - 0.7%

 
  282,000      B-   

Empire Communities Corp., Senior Unsecured Notes, 7.000% due 12/15/25(a)

     288,066  
     

Forestar Group Inc., Company Guaranteed Notes:

  
  180,000      B+   

3.850% due 5/15/26(a)

     178,962  
  180,000      B+   

5.000% due 3/1/28(a)

     183,285  
  225,000      B+   

Installed Building Products Inc., Company Guaranteed Notes, 5.750% due 2/1/28(a)

     235,844  
  400,000      BB   

Mattamy Group Corp., Senior Unsecured Notes, 5.250% due 12/15/27(a)

     416,098  
        

 

 

 
     

Total Home Builders

     1,302,255  
        

 

 

 
 

Insurance - 0.6%

 
  400,000      B-   

AmWINS Group Inc., Senior Unsecured Notes, 4.875% due 6/30/29(a)

     394,252  
  448,006      BB+   

Highlands Holdings Bonds Issuer Ltd./Highlands Holdings Bonds Co.-Issuer Inc., Senior Secured Notes, 7.625% (7.625% cash or 8.375% PIK), due 10/15/25(a)(e)

     475,706  
  282,000      BB   

NMI Holdings Inc., Senior Secured Notes, 7.375% due 6/1/25(a)

     320,056  
        

 

 

 
     

Total Insurance

     1,190,014  
        

 

 

 
 

Internet - 1.2%

 
  310,000      B   

Acuris Finance US Inc./Acuris Finance SARL, Senior Secured Notes, 5.000% due 5/1/28(a)

     308,385  
  450,000      B+   

Cablevision Lightpath LLC, Senior Secured Notes, 3.875% due 9/15/27(a)

     437,985  
  300,000      BB-   

GrubHub Holdings Inc., Company Guaranteed Notes, 5.500% due 7/1/27(a)

     301,422  
  720,000      B   

ION Trading Technologies Sarl, Senior Secured Notes, 5.750% due 5/15/28(a)

     739,624  
     

Match Group Holdings II LLC, Senior Unsecured Notes:

  
  200,000      BB   

4.625% due 6/1/28(a)

     203,251  
  210,000      BB   

3.625% due 10/1/31(a)

     198,295  
  150,000      B-   

Photo Holdings Merger Sub Inc., Senior Secured Notes, 8.500% due 10/1/26(a)

     150,835  
        

 

 

 
     

Total Internet

     2,339,797  
        

 

 

 
 

Investment Companies - 0.1%

 
  180,000      B+   

Compass Group Diversified Holdings LLC, Company Guaranteed Notes, 5.250% due 4/15/29(a)

     185,532  
        

 

 

 
 

Iron/Steel - 1.2%

 
     

Allegheny Technologies Inc., Senior Unsecured Notes:

  
  177,000      B   

4.875% due 10/1/29

     175,130  
  340,000      B   

5.125% due 10/1/31

     336,248  
     

Cleveland-Cliffs Inc.:

  
  400,000      Ba3(b)   

Company Guaranteed Notes, 4.625% due 3/1/29(a)

     403,914  
  294,000      B-   

Senior Unsecured Notes, 6.250% due 10/1/40

     313,885  
  500,000      BB+   

Commercial Metals Co., Senior Unsecured Notes, 3.875% due 2/15/31

     498,768  
  475,000      Ba3(b)   

Mineral Resources Ltd., Senior Unsecured Notes, 8.125% due 5/1/27(a)

     512,463  
        

 

 

 
     

Total Iron/Steel

     2,240,408  
        

 

 

 
 

Leisure Time - 3.1%

 
     

Carnival Corp.:

  
  455,000      B   

Company Guaranteed Notes, 6.000% due 5/1/29(a)

     443,359  
  830,000      B   

Senior Unsecured Notes, 5.750% due 3/1/27(a)

     809,520  
     

NCL Corp., Ltd.:

  
  308,000      B-   

Company Guaranteed Notes, 5.875% due 3/15/26(a)

     300,685  
     

Senior Secured Notes:

  
  169,000      B+   

12.250% due 5/15/24(a)

     199,952  
  104,000      B+   

10.250% due 2/1/26(a)

     119,270  
     

Senior Unsecured Notes:

  
  818,000      B-   

3.625% due 12/15/24(a)

     752,715  
  70,000      NR   

1.125% due 2/15/27(a)

     64,470  
     

Royal Caribbean Cruises Ltd., Senior Unsecured Notes:

  

 

180


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Leisure Time - 3.1% - (continued)

 
  $ 500,000      B   

4.250% due 7/1/26(a)

   $ 472,683  
  472,000      B   

5.500% due 4/1/28(a)

     460,096  
     

Viking Cruises Ltd.:

  
  194,000      CCC   

Company Guaranteed Notes, 5.875% due 9/15/27(a)

     180,447  
  429,000      CCC+   

Senior Secured Notes, 13.000% due 5/15/25(a)

     484,489  
  709,000      CCC   

Senior Unsecured Notes, 7.000% due 2/15/29(a)

     698,457  
  878,000      B   

VOC Escrow Ltd., Senior Secured Notes, 5.000% due 2/15/28(a)

     843,842  
        

 

 

 
     

Total Leisure Time

     5,829,985  
        

 

 

 
 

Lodging - 2.1%

 
  250,000      B-   

Full House Resorts Inc., Senior Secured Notes, 8.250% due 2/15/28(a)

     260,603  
  665,000      B-   

Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Esc, Senior Unsecured Notes, 5.000% due 6/1/29(a)

     661,467  
  675,000      BB-   

Melco Resorts Finance Ltd., Senior Unsecured Notes, 5.375% due 12/4/29(a)

     660,147  
     

Sands China Ltd., Senior Unsecured Notes:

  
  200,000      BBB-   

3.800% due 1/8/26

     202,460  
  400,000      BBB-   

3.250% due 8/8/31(a)

     378,904  
  486,000      BB-   

Travel + Leisure Co., Senior Secured Notes, 6.000% due 4/1/27

     514,066  
     

Wynn Macau Ltd., Senior Unsecured Notes:

  
  645,000      B+   

5.625% due 8/26/28(a)

     594,903  
  730,000      B+   

5.125% due 12/15/29(a)

     655,270  
        

 

 

 
     

Total Lodging

     3,927,820  
        

 

 

 
 

Machinery - Construction & Mining - 0.2%

 
  340,000      BB-   

Vertiv Group Corp., Senior Secured Notes, 4.125% due 11/15/28(a)

     340,505  
        

 

 

 
 

Machinery - Diversified - 0.2%

 
  128,000      B+   

ATS Automation Tooling Systems Inc., Company Guaranteed Notes, 4.125% due 12/15/28(a)

     129,109  
  330,000      B+   

TK Elevator US Newco Inc., Senior Secured Notes, 5.250% due 7/15/27(a)

     336,093  
        

 

 

 
     

Total Machinery - Diversified

     465,202  
        

 

 

 
 

Media - 6.7%

 
  1,000,000      B   

Altice Financing SA, Senior Secured Notes,5.000% due 1/15/28(a)

     942,495  
  400,000      B   

Altice Financing SA, Senior Secured Notes,5.750% due 8/15/29(a)

     381,600  
  525,000      BB-   

Block Communications Inc., Company Guaranteed Notes, 4.875% due 3/1/28(a)

     531,633  
     

CCO Holdings LLC/CCO Holdings Capital Corp., Senior Unsecured Notes:

  
  838,000      BB   

4.750% due 3/1/30(a)

     855,963  
  240,000      BB   

4.500% due 8/15/30(a)

     242,221  
  570,000      BB   

4.500% due 5/1/32

     568,470  
     

CSC Holdings LLC:

  
     

Company Guaranteed Notes:

  
  340,000      BB   

5.375% due 2/1/28(a)

     347,743  
  340,000      BB   

4.500% due 11/15/31(a)

     329,608  
     

Senior Unsecured Notes:

  
  1,145,000      B+   

5.750% due 1/15/30(a)

     1,123,119  
  265,000      B+   

4.625% due 12/1/30(a)

     246,915  
  330,000      BB   

DIRECTV Holdings LLC/DIRECTV Financing Co., Inc., Senior Secured Notes, 5.875% due 8/15/27(a)

     336,394  
     

DISH DBS Corp.:

  
  1,320,000      B-   

Company Guaranteed Notes, 7.750% due 7/1/26

     1,358,683  
  410,000      B+   

Senior Secured Notes, 5.750% due 12/1/28(a)

     404,701  
  65,000      CCC   

DISH Network Corp., Senior Unsecured Notes, 3.375% due 8/15/26

     60,076  
  280,000      B1(b)   

Gannett Holdings LLC, Senior Secured Notes, 6.000% due 11/1/26(a)

     280,811  
  131,000      B   

Gray Escrow II Inc., Company Guaranteed Notes, 5.375% due 11/15/31(a)

     131,761  
  545,000      B   

Gray Television Inc., Company Guaranteed Notes, 4.750% due 10/15/30(a)

     526,178  
  400,000      B+   

iHeartCommunications Inc., Senior Secured Notes, 5.250% due 8/15/27(a)

     406,750  
  44,000      NR   

Liberty Latin America Ltd., Senior Unsecured Notes, 2.000% due 7/15/24

     43,478  
  265,000      BB+   

News Corp., Senior Unsecured Notes, 3.875% due 5/15/29(a)

     260,946  
  587,000      BB   

TEGNA Inc., Company Guaranteed Notes, 5.000% due 9/15/29(a)

     589,785  

 

181


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Media - 6.7% - (continued)

 
  $      150,000      BBB-   

Time Warner Cable LLC, Senior Secured Notes, 7.300% due 7/1/38

   $ 215,979  
  50,000      BBB-   

Time Warner Entertainment Co. LP, Senior Secured Notes, 8.375% due 7/15/33

     73,794  
     

Univision Communications Inc., Senior Secured Notes:

  
  240,000      B   

9.500% due 5/1/25(a)

     257,785  
  625,000      B   

6.625% due 6/1/27(a)

     669,281  
  527,000      BB-   

UPC Broadband Finco BV, Senior Secured Notes, 4.875% due 7/15/31(a)

     533,329  
  430,000      B   

UPC Holding BV, Senior Secured Notes, 5.500% due 1/15/28(a)

     440,995  
  167,000      B-   

Urban One Inc., Senior Secured Notes, 7.375% due 2/1/28(a)

     170,363  
  340,000      B   

Virgin Media Vendor Financing Notes IV DAC, Senior Unsecured Notes, 5.000% due 7/15/28(a)

     335,539  
        

 

 

 
     

Total Media

     12,666,395  
        

 

 

 
 

Metal Fabricate/Hardware - 0.2%

 
  120,000      B-   

Park-Ohio Industries Inc., Company Guaranteed Notes, 6.625% due 4/15/27

     111,278  
  340,000      B+   

Roller Bearing Co. of America Inc., Senior Unsecured Notes, 4.375% due 10/15/29(a)

     339,660  
        

 

 

 
     

Total Metal Fabricate/Hardware

     450,938  
        

 

 

 
 

Mining - 1.5%

 
     

First Quantum Minerals Ltd., Company Guaranteed Notes:

  
  360,000      B   

7.500% due 4/1/25(a)

     370,285  
  480,000      B   

6.875% due 10/15/27(a)

     508,195  
  500,000      BB+   

FMG Resources August 2006 Pty Ltd., Company Guaranteed Notes, 4.500% due 9/15/27(a)

     519,065  
  570,000      BB+   

Freeport-McMoRan Inc., Company Guaranteed Notes, 5.450% due 3/15/43

     703,600  
     

Hudbay Minerals Inc., Company Guaranteed Notes:

  
  120,000      B   

4.500% due 4/1/26(a)

     118,145  
  585,000      B   

6.125% due 4/1/29(a)

     607,675  
        

 

 

 
     

Total Mining

     2,826,965  
        

 

 

 
 

Miscellaneous Manufacturers - 0.0%

 
  9,907      CCC+(f)   

Anagram International Inc./Anagram Holdings LLC, Secured Notes, 10.000% (5.000% cash and 5.000% PIK or 10.000% cash) due 8/15/26(a)(e)

     10,311  
        

 

 

 
 

Oil & Gas - 7.5%

 
  375,000      BB   

Antero Resources Corp., Company Guaranteed Notes, 5.375% due 3/1/30(a)

     387,422  
     

Apache Corp., Senior Unsecured Notes:

  
  154,000      BB+   

4.375% due 10/15/28

     162,666  
  60,000      BB+   

7.750% due 12/15/29

     74,501  
  376,000      BB+   

4.250% due 1/15/30

     393,597  
  620,000      B   

Berry Petroleum Co. LLC, Company Guaranteed Notes, 7.000% due 2/15/26(a)

     593,765  
  725,000      BB-   

California Resources Corp., Company Guaranteed Notes, 7.125% due 2/1/26(a)

     750,148  
  20,000      BB-   

Chesapeake Energy Corp., Company Guaranteed Notes, 5.500% due 2/1/26(a)

     20,838  
  376,000      BB-   

Civitas Resources Inc., Company Guaranteed Notes, 5.000% due 10/15/26(a)

     373,778  
  580,000      B   

Colgate Energy Partners III LLC, Senior Unsecured Notes, 5.875% due 7/1/29(a)

     576,120  
     

Comstock Resources Inc., Company Guaranteed Notes:

  
  4,000      B+   

7.500% due 5/15/25(a)

     4,112  
  190,000      B+   

5.875% due 1/15/30(a)

     190,421  
  110,000      BB+   

Continental Resources Inc., Company Guaranteed Notes, 5.750% due 1/15/31(a)

     128,258  
     

Endeavor Energy Resources LP/EER Finance Inc., Senior Unsecured Notes:

  
  120,000      BB   

6.625% due 7/15/25(a)

     126,284  
  388,000      BB   

5.750% due 1/30/28(a)

     404,073  
     

EQT Corp., Senior Unsecured Notes:

  
  230,000      BB+   

5.000% due 1/15/29

     252,275  
  100,000      BB+   

3.625% due 5/15/31(a)

     101,930  
  595,000      BB   

Hilcorp Energy I LP/Hilcorp Finance Co., Senior Unsecured Notes, 5.750% due 2/1/29(a)

     592,251  
  425,000      B+   

Independence Energy Finance LLC, Senior Unsecured Notes, 7.250% due 5/1/26(a)

     441,688  
  765,000      BB-   

MEG Energy Corp., Company Guaranteed Notes, 7.125% due 2/1/27(a)

     789,174  
  500,000      BB   

Murphy Oil Corp., Senior Unsecured Notes, 6.375% due 7/15/28

     515,953  
  461,000      B-   

Nabors Industries Inc., Company Guaranteed Notes, 7.375% due 5/15/27(a)

     453,509  
  380,000      B   

Northern Oil & Gas Inc., Senior Unsecured Notes, 8.125% due 3/1/28(a)

     394,470  

 

182


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Oil & Gas - 7.5% - (continued)

 
  $        1,050,000      B+   

Oasis Petroleum Inc., Company Guaranteed Notes, 6.375% due 6/1/26(a)

   $ 1,081,001  
     

Occidental Petroleum Corp., Senior Unsecured Notes:

  
  45,000      BB   

3.500% due 8/15/29

     44,142  
  714,000      BB   

8.875% due 7/15/30

     938,689  
  392,000      BB   

6.125% due 1/1/31

     458,287  
  108,000      BB   

4.625% due 6/15/45

     109,342  
  180,000      BB   

6.600% due 3/15/46

     228,213  
  50,000      BB   

4.100% due 2/15/47

     47,871  
  202,000      BB   

4.200% due 3/15/48

     194,360  
  161,000      BB   

4.400% due 8/15/49

     158,430  
     

PBF Holding Co. LLC/PBF Finance Corp.:

  
  576,000      B   

Company Guaranteed Notes, 6.000% due 2/15/28

     345,240  
  100,000      BB-   

Senior Secured Notes, 9.250% due 5/15/25(a)

     92,461  
  580,000      B   

Penn Virginia Holdings LLC, Company Guaranteed Notes, 9.250% due 8/15/26(a)

     601,025  
     

Petrobras Global Finance BV, Company Guaranteed Notes:

  
  40,000      BB-   

7.375% due 1/17/27

     46,042  
  20,000      BB-   

5.750% due 2/1/29

     21,162  
     

Range Resources Corp., Company Guaranteed Notes:

  
  70,000      BB-   

9.250% due 2/1/26

     75,294  
  480,000      BB-   

8.250% due 1/15/29(a)

     528,562  
  346,000      B+   

Rockcliff Energy II LLC, Senior Unsecured Notes, 5.500% due 10/15/29(a)

     348,913  
  500,000      BB   

Southwestern Energy Co., Company Guaranteed Notes, 5.375% due 2/1/29

     515,715  
  505,000      BB-   

Strathcona Resources Ltd., Senior Unsecured Notes, 6.875% due 8/1/26(a)

     497,178  
        

 

 

 
     

Total Oil & Gas

     14,059,160  
        

 

 

 
 

Oil & Gas Services - 0.6%

 
  503,000      B+   

Archrock Partners LP/Archrock Partners Finance Corp., Company Guaranteed Notes, 6.250% due 4/1/28(a)

     516,694  
  300,000      B+   

USA Compression Partners LP/USA Compression Finance Corp., Company Guaranteed Notes, 6.875% due 4/1/26

     305,892  
  275,000      B   

Weatherford International Ltd., Senior Secured Notes, 6.500% due 9/15/28(a)

     282,909  
        

 

 

 
     

Total Oil & Gas Services

     1,105,495  
        

 

 

 
 

Packaging & Containers - 0.8%

 
  280,000      B-   

ARD Finance SA, Senior Secured Notes, 6.500% (6.500% cash or 7.250% PIK)
due 6/30/27(a)(e)

     286,870  
     

Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC:

  
  350,000      BB   

Senior Secured Notes, 3.250% due 9/1/28(a)

     338,403  
  390,000      B+   

Senior Unsecured Notes, 4.000% due 9/1/29(a)

     379,641  
  100,000      BB-   

Cascades Inc./Cascades USA Inc., Company Guaranteed Notes, 5.375% due 1/15/28(a)

     103,472  
     

LABL Inc.:

  
  398,000      B-   

Senior Secured Notes, 5.875% due 11/1/28(a)

     394,766  
  72,000      CCC+   

Senior Unsecured Notes, 8.250% due 11/1/29(a)

     68,895  
        

 

 

 
     

Total Packaging & Containers

     1,572,047  
        

 

 

 
 

Pharmaceuticals - 2.4%

 
     

AdaptHealth LLC, Company Guaranteed Notes:

  
  30,000      B   

4.625% due 8/1/29(a)

     29,438  
  550,000      B   

5.125% due 3/1/30(a)

     545,020  
  730,000      B   

Bausch Health Americas Inc., Company Guaranteed Notes, 8.500% due 1/31/27(a)

     752,294  
  18,000      B   

Bausch Health Cos., Inc., Company Guaranteed Notes, 6.125% due 4/15/25(a)

     18,204  
  190,000      CCC-   

Endo Dac/Endo Finance LLC/Endo Finco Inc., Secured Notes, 9.500% due 7/31/27(a)

     191,585  
  210,000      B-   

Endo Luxembourg Finance Co. I Sarl/Endo US Inc., Senior Secured Notes, 6.125% due 4/1/29(a)

     206,150  
  675,000      BB-   

HLF Financing Sarl LLC/Herbalife International Inc., Company Guaranteed Notes, 4.875% due 6/1/29(a)

     635,344  
  394,000      B-   

Option Care Health Inc., Company Guaranteed Notes, 4.375% due 10/31/29(a)

     392,593  
     

Organon & Co./Organon Foreign Debt Co.-Issuer BV:

  
  400,000      BB   

Senior Secured Notes, 4.125% due 4/30/28(a)

     399,778  
  459,000      BB-   

Senior Unsecured Notes, 5.125% due 4/30/31(a)

     469,096  
  100,000      B-   

Par Pharmaceutical Inc., Senior Secured Notes, 7.500% due 4/1/27(a)

     101,153  

 

183


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Pharmaceuticals - 2.4% - (continued)

 
     

Teva Pharmaceutical Finance Netherlands III BV, Company Guaranteed Notes:

  
  $        200,000      BB-   

7.125% due 1/31/25

   $ 213,944  
  650,000      BB-   

5.125% due 5/9/29

     636,402  
        

 

 

 
     

Total Pharmaceuticals

     4,591,001  
        

 

 

 
 

Pipelines - 5.7%

 
  501,000      BB   

Antero Midstream Partners LP/Antero Midstream Finance Corp., Company Guaranteed Notes, 5.750% due 1/15/28(a)

     515,947  
     

Blue Racer Midstream LLC/Blue Racer Finance Corp., Senior Unsecured Notes:

  
  130,000      B+   

7.625% due 12/15/25(a)

     137,099  
  210,000      B+   

6.625% due 7/15/26(a)

     214,015  
  559,000      BB   

Buckeye Partners LP, Senior Unsecured Notes, 4.500% due 3/1/28(a)

     543,566  
  230,000      BB   

Cheniere Energy Partners LP, Company Guaranteed Notes, 4.000% due 3/1/31(a)

     235,047  
  380,000      BB-   

CNX Midstream Partners LP, Company Guaranteed Notes, 4.750% due 4/15/30(a)

     374,828  
     

DCP Midstream Operating LP, Company Guaranteed Notes:

  
  475,000      BB+   

5.625% due 7/15/27

     531,375  
  80,000      BB+   

6.450% due 11/3/36(a)

     104,586  
  190,000      BB+   

6.750% due 9/15/37(a)

     251,307  
  444,000      BB+   

DT Midstream Inc., Company Guaranteed Notes, 4.375% due 6/15/31(a)

     441,456  
  90,000      BB   

Energy Transfer LP, Junior Subordinated Notes, 6.500% (5-Year CMT Index + 5.694%)(c)(d)

     92,025  
     

EQM Midstream Partners LP, Senior Unsecured Notes:

  
  50,000      BB-   

6.500% due 7/1/27(a)

     54,115  
  230,000      BB-   

5.500% due 7/15/28

     244,284  
  170,000      BB-   

6.500% due 7/15/48

     198,900  
     

Genesis Energy LP/Genesis Energy Finance Corp., Company Guaranteed Notes:

  
  900,000      B   

6.500% due 10/1/25

     881,825  
  226,000      B   

8.000% due 1/15/27

     224,598  
  675,000      BB-   

Harvest Midstream I LP, Senior Unsecured Notes, 7.500% due 9/1/28(a)

     700,532  
  600,000      BB+   

Holly Energy Partners LP/Holly Energy Finance Corp., Company Guaranteed Notes, 5.000% due 2/1/28(a)

     598,404  
  605,000      B   

ITT Holdings LLC, Senior Unsecured Notes, 6.500% due 8/1/29(a)

     588,974  
  650,000      BB-   

NGL Energy Operating LLC/NGL Energy Finance Corp., Senior Secured Notes, 7.500% due 2/1/26(a)

     650,751  
     

NuStar Logistics LP, Company Guaranteed Notes:

  
  100,000      BB-   

5.750% due 10/1/25

     105,847  
  350,000      BB-   

6.375% due 10/1/30

     372,360  
  140,000      BB-   

Summit Midstream Holdings LLC/Summit Midstream Finance Corp., Secured Notes, 8.500% due 10/15/26(a)

     141,124  
  320,000      BB-   

Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp., Company Guaranteed Notes, 6.000% due 12/31/30(a)

     316,700  
     

Targa Resources Partners LP/Targa Resources Partners Finance Corp., Company Guaranteed Notes:

  
  423,000      BB+   

6.875% due 1/15/29(a)

     469,206  
  250,000      BB+   

4.875% due 2/1/31

     268,576  
     

Venture Global Calcasieu Pass LLC, Senior Secured Notes:

  
  388,000      BB   

3.875% due 8/15/29(a)

     390,171  
  250,000      BB   

3.875% due 11/1/33(a)

     250,469  
     

Western Midstream Operating LP, Senior Unsecured Notes:

  
  90,000      BB+   

4.350% due 2/1/25

     93,331  
  170,000      BB+   

3.950% due 6/1/25

     176,321  
  270,000      BB+   

5.500% due 8/15/48

     312,547  
  250,000      BB+   

6.500% due 2/1/50

     286,034  
        

 

 

 
     

Total Pipelines

     10,766,320  
        

 

 

 
 

Real Estate - 1.2%

 
  600,000      BB-   

Cushman & Wakefield US Borrower LLC, Senior Secured Notes, 6.750% due 5/15/28(a)

     642,921  
  420,000      B   

Five Point Operating Co. LP/Five Point Capital Corp., Company Guaranteed Notes, 7.875% due 11/15/25(a)

     436,221  
     

Kennedy-Wilson Inc., Company Guaranteed Notes:

  
  350,000      BB   

4.750% due 3/1/29

     355,187  
  305,000      BB   

4.750% due 2/1/30

     306,830  
  241,000      BB   

5.000% due 3/1/31

     246,576  

 

184


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Real Estate - 1.2% - (continued)

 
     

Realogy Group LLC/Realogy Co.-Issuer Corp.:

  
  $        240,000      B+   

Company Guaranteed Notes, 5.750% due 1/15/29(a)

   $ 243,109  
  80,000      BB+   

Secured Notes, 7.625% due 6/15/25(a)

     84,568  
        

 

 

 
     

Total Real Estate

     2,315,412  
        

 

 

 
 

Real Estate Investment Trusts (REITs) - 3.6%

 
  240,000      NR   

AFC Gamma Inc., Senior Unsecured Notes, 5.750% due 5/1/27(a)(g)

     237,788  
     

Apollo Commercial Real Estate Finance Inc.:

  
  270,000      B+   

Senior Secured Notes, 4.625% due 6/15/29(a)

     256,844  
  30,000      NR   

Senior Unsecured Notes, 4.750% due 8/23/22

     30,296  
     

Diversified Healthcare Trust:

  
     

Company Guaranteed Notes:

  
  280,000      BB   

9.750% due 6/15/25

     303,017  
  60,000      BB   

4.375% due 3/1/31

     56,180  
  300,000      BB-   

Senior Unsecured Notes, 4.750% due 2/15/28

     284,686  
     

GEO Group Inc. (The), Company Guaranteed Notes:

  
  360,000      CCC   

5.875% due 10/15/24

     324,828  
  523,000      CCC   

6.000% due 4/15/26

     451,040  
  450,000      BB+   

HAT Holdings I LLC/HAT Holdings II LLC, Company Guaranteed Notes, 6.000% due 4/15/25(a)

     466,619  
  220,000      NR   

IIP Operating Partnership LP, Company Guaranteed Notes, 5.500% due 5/25/26

     237,096  
     

Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp., Company Guaranteed Notes:

  
  883,000      BB-   

4.250% due 2/1/27(a)

     879,565  
  130,000      BB-   

4.750% due 6/15/29(a)

     129,580  
     

MPT Operating Partnership LP/MPT Finance Corp., Company Guaranteed Notes:

  
  10,000      BBB-   

4.625% due 8/1/29

     10,454  
  690,000      BBB-   

3.500% due 3/15/31

     684,090  
  194,000      B+   

Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co.-Issuer, Senior Secured Notes, 5.875% due 10/1/28(a)

     200,539  
     

Service Properties Trust:

  
  201,000      BB   

Company Guaranteed Notes, 5.500% due 12/15/27

     204,224  
     

Senior Unsecured Notes:

  
  333,000      B+   

3.950% due 1/15/28

     300,526  
  800,000      B+   

4.375% due 2/15/30

     721,976  
     

Starwood Property Trust Inc., Senior Unsecured Notes:

  
  500,000      B+   

4.750% due 3/15/25

     519,531  
  555,000      B+   

3.625% due 7/15/26(a)

     549,722  
        

 

 

 
     

Total Real Estate Investment Trusts (REITs)

     6,848,601  
        

 

 

 
 

Retail - 4.7%

 
  110,000      B+   

Academy Ltd., Senior Secured Notes, 6.000% due 11/15/27(a)

     116,569  
  475,000      BB   

Asbury Automotive Group Inc., Company Guaranteed Notes, 4.625% due 11/15/29(a)

     479,496  
     

Bath & Body Works Inc., Company Guaranteed Notes:

  
  40,000      BB   

9.375% due 7/1/25(a)

     48,646  
  460,000      BB   

5.250% due 2/1/28

     494,426  
  330,000      BB   

6.625% due 10/1/30(a)

     365,993  
  300,000      B+   

Bed Bath & Beyond Inc., Senior Unsecured Notes, 5.165% due 8/1/44

     263,823  
  333,000      BB-   

Brinker International Inc., Company Guaranteed Notes, 5.000% due 10/1/24(a)

     351,110  
  830,000      CCC   

Carrols Restaurant Group Inc., Company Guaranteed Notes, 5.875% due 7/1/29(a)

     715,867  
  670,000      B-   

CEC Entertainment LLC, Senior Secured Notes, 6.750% due 5/1/26(a)

     656,657  
  50,000      NR   

Cheesecake Factory Inc. (The), Senior Unsecured Notes, 0.375% due 6/15/26

     44,577  
  394,000      B   

Dave & Buster’s Inc., Senior Secured Notes, 7.625% due 11/1/25(a)

     418,416  
  600,000      B-   

eG Global Finance PLC, Senior Secured Notes, 6.750% due 2/7/25(a)

     605,733  
  718,000      BB   

FirstCash Inc., Company Guaranteed Notes, 4.625% due 9/1/28(a)

     715,580  
  134,000      CCC+   

Foundation Building Materials Inc., Company Guaranteed Notes, 6.000% due 3/1/29(a)

     128,231  
     

Gap Inc. (The), Company Guaranteed Notes:

  
  345,000      BB   

3.625% due 10/1/29(a)

     330,645  

 

185


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Retail - 4.7% - (continued)

 
  $        425,000      BB   

3.875% due 10/1/31(a)

   $ 406,980  
     

Michaels Cos Inc. (The):

  
  40,000      B   

Senior Secured Notes, 5.250% due 5/1/28(a)

     39,622  
  370,000      CCC+   

Senior Unsecured Notes, 7.875% due 5/1/29(a)

     368,030  
  147,000      B-   

NMG Holding Co., Inc./Neiman Marcus Group LLC, Senior Secured Notes, 7.125% due 4/1/26(a)

     153,975  
  320,000      BB+   

Nordstrom Inc., Senior Unsecured Notes, 5.000% due 1/15/44

     297,882  
  538,000      CCC   

Park River Holdings Inc., Senior Unsecured Notes, 6.750% due 8/1/29(a)

     535,291  
  302,000      CCC+   

Party City Holdings Inc., Senior Secured Notes, 8.750% due 2/15/26(a)

     305,621  
     

PetSmart Inc./PetSmart Finance Corp.:

  
  250,000      CCC+   

Company Guaranteed Notes, 7.750% due 2/15/29(a)

     267,723  
  250,000      BB-   

Senior Secured Notes, 4.750% due 2/15/28(a)

     253,425  
  270,000      B3(b)   

Sizzling Platter LLC/Sizzling Platter Finance Corp., Senior Secured Notes, 8.500% due 11/28/25(a)

     274,324  
  150,000      BB-   

Suburban Propane Partners LP/Suburban Energy Finance Corp., Senior Unsecured Notes, 5.000% due 6/1/31(a)

     148,385  
  130,000      BB-   

Superior Plus LP/Superior General Partner Inc., Company Guaranteed Notes, 4.500% due 3/15/29(a)

     132,712  
        

 

 

 
     

Total Retail

     8,919,739  
        

 

 

 
 

Software - 1.4%

 
  110,000      BB-   

Black Knight InfoServ LLC, Company Guaranteed Notes, 3.625% due 9/1/28(a)

     107,305  
     

Clarivate Science Holdings Corp.:

  
  100,000      B   

Senior Secured Notes, 3.875% due 7/1/28(a)

     98,454  
  534,000      CCC+   

Senior Unsecured Notes, 4.875% due 7/1/29(a)

     523,787  
  250,000      B+   

Elastic NV, Senior Unsecured Notes, 4.125% due 7/15/29(a)

     245,388  
  380,000      B   

Helios Software Holdings Inc./ION Corporate Solutions Finance Sarl, Senior Secured Notes, 4.625% due 5/1/28(a)

     374,976  
  190,000      BB   

Open Text Holdings Inc., Company Guaranteed Notes, 4.125% due 2/15/30(a)

     189,328  
  230,000      B   

Playtika Holding Corp., Company Guaranteed Notes, 4.250% due 3/15/29(a)

     218,433  
  640,000      B+   

Rackspace Technology Global Inc., Senior Secured Notes, 3.500% due 2/15/28(a)

     601,043  
  200,000      CCC   

Rocket Software Inc., Senior Unsecured Notes, 6.500% due 2/15/29(a)

     188,351  
        

 

 

 
     

Total Software

     2,547,065  
        

 

 

 
 

Telecommunications - 4.9%

 
     

Altice France SA, Senior Secured Notes:

  
  400,000      B   

8.125% due 2/1/27(a)

     427,086  
  990,000      B   

5.125% due 7/15/29(a)

     942,975  
  655,000      B   

5.500% due 10/15/29(a)

     633,352  
     

CommScope Inc.:

  
  90,000      CCC+   

Company Guaranteed Notes, 8.250% due 3/1/27(a)

     88,359  
  260,000      B   

Senior Secured Notes, 4.750% due 9/1/29(a)

     251,978  
     

CommScope Technologies LLC, Company Guaranteed Notes:

  
  200,000      CCC+   

6.000% due 6/15/25(a)

     193,485  
  20,000      CCC+   

5.000% due 3/15/27(a)

     18,004  
  700,000      B+   

Connect Finco SARL/Connect US Finco LLC, Senior Secured Notes, 6.750% due 10/1/26(a)

     730,751  
     

Frontier Communications Holdings LLC:

  
  150,000      CCC+   

Secured Notes, 6.750% due 5/1/29(a)

     154,650  
  120,000      B+   

Senior Secured Notes, 5.000% due 5/1/28(a)

     120,558  
  445,000      BB   

Hughes Satellite Systems Corp., Company Guaranteed Notes, 6.625% due 8/1/26

     494,909  
     

Iliad Holding SASU, Senior Secured Notes:

  
  201,000      B+   

6.500% due 10/15/26(a)

     205,918  
  200,000      B+   

7.000% due 10/15/28(a)

     205,346  
  550,000      WR(b)   

Intelsat Jackson Holdings SA, Senior Secured Notes, 8.000% due 2/15/24(a)(h)

     560,703  
     

Lumen Technologies Inc., Senior Unsecured Notes:

  
  362,000      BB-   

5.125% due 12/15/26(a)

     363,222  
  475,000      BB-   

5.375% due 6/15/29(a)

     462,322  
  855,000      BB+   

Sprint Capital Corp., Company Guaranteed Notes, 8.750% due 3/15/32

     1,265,250  
     

Switch Ltd., Company Guaranteed Notes:

  
  130,000      BB   

3.750% due 9/15/28(a)

     128,572  

 

186


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 89.8% - (continued)

 
 

Telecommunications - 4.9% - (continued)

 
  $        130,000      BB   

4.125% due 6/15/29(a)

   $ 130,755  
     

Telesat Canada/Telesat LLC:

  
  267,000      B   

Company Guaranteed Notes, 6.500% due 10/15/27(a)

     208,755  
  375,000      BB-   

Senior Secured Notes, 4.875% due 6/1/27(a)

     328,521  
     

T-Mobile USA Inc., Company Guaranteed Notes:

  
  30,000      BB+   

3.500% due 4/15/31

     30,571  
  390,000      BB+   

3.500% due 4/15/31(a)

     397,418  
  120,000      BB+   

Viavi Solutions Inc., Company Guaranteed Notes, 3.750% due 10/1/29(a)

     116,814  
  460,000      BB-   

Vmed O2 UK Financing I PLC, Senior Secured Notes, 4.750% due 7/15/31(a)

     454,052  
  350,000      CCC+   

Zayo Group Holdings Inc., Senior Unsecured Notes, 6.125% due 3/1/28(a)

     330,286  
        

 

 

 
     

Total Telecommunications

     9,244,612  
        

 

 

 
 

Transportation - 0.6%

 
  501,000      BB   

Cargo Aircraft Management Inc., Company Guaranteed Notes, 4.750% due 2/1/28(a)

     510,462  
  320,000      CCC+   

Carriage Purchaser Inc., Senior Unsecured Notes, 7.875% due 10/15/29(a)

     304,099  
  184,000      B+   

XPO CNW Inc., Senior Unsecured Notes, 6.700% due 5/1/34

     223,719  
        

 

 

 
     

Total Transportation

     1,038,280  
        

 

 

 
 

Trucking & Leasing - 0.3%

 
  575,000      BB+   

AerCap Global Aviation Trust, Company Guaranteed Notes, 6.500% (3-Month USD-LIBOR + 4.300%) due 6/15/45(a)(c)

     617,156  
        

 

 

 
      TOTAL CORPORATE BONDS & NOTES
(Cost - $166,332,841)
     169,128,475  
        

 

 

 
 

SENIOR LOANS - 3.2%

 
  59,100      NR   

Acrisure LLC, (Restricted, cost - $58,990, acquired 1/31/20), 3.632% (3-Month USD-LIBOR + 3.500%) due 2/15/27(i)

     57,844  
  29,630      NR   

AmeriLife Holdings LLC, (Restricted, cost - $29,580, acquired 2/6/20), 4.086% (1-Month USD-LIBOR + 4.000%) due 3/18/27(i)

     29,451  
  170,000      NR   

Aramark Intermediate HoldCo Corp., (Restricted, cost - $163,001, acquired 5/21/20), 1.835% (1-Month USD-LIBOR + 1.750%) due 3/11/25(i)

     166,515  
  336,428      NR   

Arctic Canadian Diamond Co., Ltd., (Restricted, cost - $336,428, acquired 2/2/21), 17.500% (3-Month USD-LIBOR + 17.500%) due 12/31/24#(g)(i)(k)

     323,845  
  246,543      NR   

Asurion LLC, (Restricted, cost - $242,516, acquired 4/8/20), 3.340% (1-Month USD-LIBOR + 3.250%) due 12/23/26(i)

     243,153  
  29,328      NR   

athenahealth Inc., (Restricted, cost - $28,975, acquired 2/7/19), 4.399% (1-Month USD-LIBOR + 4.250%/3-Month USD-LIBOR + 4.250%) due 2/11/26(i)

     29,339  
  226,533      NR   

Commscope Inc., (Restricted, cost - $219,903, acquired 4/17/20), 3.340% (1-Month USD-LIBOR + 3.250%) due 4/6/26(i)

     221,012  
  32,025      NR   

CoreCivic Inc., (Restricted, cost - $31,049, acquired 12/12/19), 5.500% (1-Month USD-LIBOR + 4.500%) due 12/18/24(i)

     31,865  
  325,050      NR   

DCert Buyer Inc., (Restricted, cost - $317,267, acquired 4/17/20), 4.090% (1-Month USD-LIBOR + 4.000%) due 10/16/26(i)

     324,258  
  590,000      NR   

Dcert Buyer Inc., (Restricted, cost - $588,666, acquired 2/16/21), 7.090% (1-Month USD-LIBOR + 7.000%) due 2/19/29(i)

     596,375  
  80,000      NR   

Deerfield Dakota Holding LLC, (Restricted, cost - $79,056, acquired 3/5/20), 7.500% (1-Month USD-LIBOR + 6.750%) due 4/7/28(i)

     81,600  
  266,625      NR   

Equinox Holdings Inc., (Restricted, cost - $261,752, acquired 6/9/20), 10.000% (3-Month USD-LIBOR + 9.000%) due 3/8/24(i)

     269,291  
  59,188      NR   

EyeCare Partners LLC, (Restricted, cost - $59,143, acquired 2/5/20), 3.882% (3-Month USD-LIBOR + 3.750%) due 2/18/27(i)

     58,581  
  19,598      NR   

Gannett Holdings LLC, 7.750% (3-Month USD-LIBOR + 7.000%) due 2/9/26

     19,672  
  480,000      NR   

Garda World Security Corp., (Restricted, cost - $462,826, acquired 4/17/20), 4.350% (1-Month USD-LIBOR + 4.250%) due 10/30/26(i)

     480,214  
  77,825      NR   

Global Tel*Link Corp., (Restricted, cost - $75,718, acquired 8/16/19), 4.340% (1-Month USD-LIBOR + 4.250%) due 11/29/25(g)(i)

     75,131  
  238,200      NR   

Great Outdoors Group LLC, (Restricted, cost - $238,200, acquired 11/24/21), 4.500% (3-Month USD-LIBOR + 3.750%) due 3/6/28(i)

     238,424  
  30,369      NR   

LifePoint Health Inc., (Restricted, cost - $30,197, acquired 11/14/18), 3.842% (1-Month USD-LIBOR + 3.750%) due 11/16/25(i)

     30,159  
  320,000      NR   

Mileage Plus Holdings LLC, (Restricted, cost - $314,888, acquired 6/25/20), 6.250% (3-Month USD-LIBOR + 5.250%) due 6/21/27(i)

     335,350  
  308,450      NR   

Peraton Corp., (Restricted, cost - $307,074, acquired 2/23/21), 4.500% (1-Month USD-LIBOR + 3.750%) due 2/1/28(i)

     308,120  
  246,241      NR   

Phoenix Guarantor Inc., (Restricted, cost - $233,745, acquired 4/8/20), 3.342% (1-Month USD-LIBOR + 3.250%) due 3/5/26(i)

     243,845  
  50,000      NR   

Radiology Partners Inc., (Restricted, cost - $47,528, acquired 5/21/20), 4.339% (1-Month USD-LIBOR + 4.250%) due 7/9/25(i)

     49,380  
  380,000      NR   

Redstone HoldCo 2 LP, (Restricted, cost - $377,503, acquired 4/16/21), 5.500% (3-Month USD-LIBOR + 4.750%) due 4/27/28(i)

     361,855  
  246,203      NR   

Sedgwick Claims Management Services Inc., (Restricted, cost - $231,947, acquired 4/30/20), 3.340% (1-Month USD-LIBOR + 3.250%) due 12/31/25(i)

     241,740  
  73,952      NR   

Spencer Spirit IH LLC, (Restricted, cost - $72,991, acquired 6/14/19), 6.090% (1-Month USD-LIBOR + 6.000%) due 6/19/26(g)(i)

     73,891  
  49,104      NR   

Terrier Media Buyer Inc., (Restricted, cost - $48,927, acquired 12/12/19), 3.590% (1-Month USD-LIBOR + 3.500%) due 12/17/26(i)

     48,601  
  248,750      NR   

Truck Hero Inc., (Restricted, cost - $248,750, acquired 1/20/21), 4.000% (1-Month USD-LIBOR + 3.250%) due 1/31/28(i)

     247,218  
  306,881      NR   

U.S. Renal Care Inc., (Restricted, cost - $306,449, acquired 1/7/21), 5.090% (1-Month USD-LIBOR + 5.000%) due 6/26/26(i)

     298,899  
  109,590      NR   

Vericast Corp., (Restricted, cost - $99,045, acquired 9/16/21) due 6/16/26(i)(j)

     101,194  
  315,958      NR   

Verscend Holding Corp., (Restricted, cost - $305,613, acquired 4/8/20), 4.090% (1-Month USD-LIBOR + 4.000%) due 8/27/25(i)

     315,918  
        

 

 

 
     

TOTAL SENIOR LOANS

(Cost - $5,836,995)

     5,902,740  
        

 

 

 

 

187


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount/Units†
     Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 2.3%

 
  $        280,000      BBB-   

ARES XLIV CLO Ltd., Series 2017-44A, Class CR, 3.524% (3-Month USD-LIBOR + 3.400%) due 4/15/34(a)(c)

   $ 278,731  
  250,000      Baa3(b)   

Battalion CLO XI Ltd., Series 2017-11A, Class DR, 3.774% (3-Month USD-LIBOR + 3.650%) due 4/24/34(a)(c)

     248,743  
  280,000      Ba3(b)   

Canyon Capital CLO Ltd., Series 2021-1A, Class E, 6.534% (3-Month USD-LIBOR + 6.410%) due 4/15/34(a)(c)

     276,667  
  250,000      Baa3(b)   

Dryden 49 Senior Loan Fund, Series 2017-49A, Class DR, 3.522% (3-Month USD-LIBOR + 3.400%) due 7/18/30(a)(c)

     249,602  
  360,000      BB-   

Madison Park Funding XXXV Ltd., Series 2019-35A, Class ER, 6.232% (3-Month USD-LIBOR + 6.100%) due 4/20/32(a)(c)

     359,358  
  500,000      Ba1(b)   

Marble Point CLO XIV Ltd., Series 2018-2A, Class D, 3.662% (3-Month USD-LIBOR + 3.530%) due 1/20/32(a)(c)

     487,500  
  280,000      Baa3(b)   

Mountain View CLO IX Ltd., Series 2015-9A, Class CR, 3.244% (3-Month USD-LIBOR + 3.120%) due 7/15/31(a)(c)

     270,343  
  250,000      BB-   

Neuberger Berman CLO XVIII Ltd., Series 2014-18A, Class DR2, 6.050% (3-Month USD-LIBOR + 5.920%) due 10/21/30(a)(c)

     246,725  
  210,000      BBB-   

Ocean Trails CLO V, Series 2014-5A, Class DRR, 3.572% (3-Month USD-LIBOR + 3.450%) due 10/13/31(a)(c)

     201,777  
  310,000      Baa1(b)   

Ocean Trails CLO VI, Series 2016-6A, Class DRR, 3.724% (3-Month USD-LIBOR + 3.600%) due 7/15/28(a)(c)

     307,921  
  250,000      BBB-   

Octagon Investment Partners 33 Ltd., Series 2017-1A, Class C, 2.882% (3-Month USD-LIBOR + 2.750%) due 1/20/31(a)(c)

     247,942  
  300,000      BBB-   

Pulsar Funding I LLC, Series 2019-1A, Class C, 4.932% (3-Month USD-LIBOR + 4.800%) due 1/20/33(a)(c)

     298,125  
  230,000      BB-   

Sculptor CLO XXVI Ltd., Series 26A, Class E, zero coupon, (3-Month USD-LIBOR + 7.250%) due 7/20/34(a)(c)

     228,305  
  30,488      Ba3(b)   

Symphony CLO XX Ltd., Series 2018-20A, Class E, 6.412% (3-Month USD-LIBOR + 6.290%) due 1/16/32(a)(c)

     30,539  
  310,000      Ba3(b)   

THL Credit Wind River Clo Ltd., Series 2017-3A, Class ER, 7.174% (3-Month USD-LIBOR + 7.050%) due 4/15/35(a)(c)

     310,031  
  350,000      BB-   

Voya CLO Ltd., Series 2017-3A, Class DR, 7.082% (3-Month USD-LIBOR + 6.950%) due 4/20/34(a)(c)

     348,250  
        

 

 

 
     

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS

(Cost - $4,385,275)

     4,390,559  
        

 

 

 
Shares/Units                      
 

CONVERTIBLE PREFERRED STOCKS - 0.4%

 
 

ENERGY - 0.4%

 
 

Pipelines - 0.4%

 
  12,149        

MPLX LP, step bond to yield (Restricted, cost - $394,843, acquired 12/16/20),
8.462%*(d)(i)(k)

     431,290  
  350        

Targa Resources Corp., (Restricted, cost - $367,500, acquired 2/17/21), 9.500%(d)(i)

     379,425  
     

TOTAL CONVERTIBLE PREFERRED STOCKS

(Cost - $762,343)

     810,715  
        

 

 

 
 

COMMON STOCKS - 0.2%

 
 

ENERGY - 0.2%

 
 

Energy Equipment & Services - 0.0%

 
  17,453        

Hercules Offshore Inc.*(g)(k)

      
        

 

 

 
 

Oil & Gas - 0.2%

 
  21,784        

Berry Corp

     177,322  
  1,531        

Oasis Petroleum Inc

     183,567  
        

 

 

 
     

TOTAL COMMON STOCKS

(Cost - $1,192,342)

     360,889  
        

 

 

 
 

PREFERRED STOCKS - 0.2%

 
 

FINANCIALS - 0.2%

 
 

Diversified Financial Services - 0.2%

 
  4,950        

B Riley Financial Inc., 5.250% due 8/31/28

     123,948  
  12,150        

B. Riley Financial Inc., 6.000% due 1/31/28

     311,891  
        

 

 

 
     

TOTAL PREFERRED STOCKS

(Cost - $427,500)

     435,839  
        

 

 

 
 

SOVEREIGN BONDS - 0.0%

 
 

Argentina - 0.0%

 
     

Argentine Republic Government International Bonds:

  
  9,647      CCC+   

1.000% due 7/9/29

     3,232  
  51,375      CCC+   

step bond to yield, 0.500% due 7/9/30

     16,032  
  94,124      CCC+   

step bond to yield, 1.125% due 7/9/35

     26,614  
        

 

 

 
     

TOTAL SOVEREIGN BONDS

(Cost - $82,686)

     45,878  
        

 

 

 
     

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $179,019,982)

     181,075,095  
        

 

 

 

 

188


Schedules of Investments

(unaudited) (continued)

 

High Yield Fund

 

Face
Amount†
    

                

   Security    Value  
 

SHORT-TERM INVESTMENTS - 2.4%

 
 

TIME DEPOSITS - 2.4%

 
  $                99        

ANZ National Bank - London, 0.005% due 12/1/21

   $ 99  
  77        

Barclays Bank PLC - London, 0.005% due 12/1/21

     77  
  1,704,567        

BNP Paribas - Paris, 0.005% due 12/1/21

     1,704,567  
  691,474        

DNB - Oslo, 0.005% due 12/1/21

     691,474  
  2,059,481        

Royal Bank of Canada - Toronto, 0.005% due 12/1/21

     2,059,481  
     

TOTAL SHORT-TERM INVESTMENTS

(Cost - $4,455,698)

     4,455,698  
        

 

 

 
     

TOTAL INVESTMENTS - 98.5%

(Cost - $183,475,680)

     185,530,793  
        

 

 

 
     

Other Assets in Excess of Liabilities - 1.5%

     2,744,207  
        

 

 

 
     

TOTAL NET ASSETS - 100.0%

   $ 188,275,000  
        

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

*

Non-income producing security.

(a)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $140,158,851 and represents 74.4% of net assets.

(b)

Rating by Moody’s Investors Service.

(c)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

(d)

Security is perpetual in nature and has no stated maturity date.

(e)

Payment in-kind security for which part of the income earned may be paid as additional principal.

(f)

Rating by Fitch Ratings Service.

(g)

Illiquid security.

(h)

Security is currently in default.

(i)

The aggregate value of restricted securities (excluding 144A holdings) at November 30, 2021, amounts to $6,693,783 and represents 3.6% of net assets.

(j)

This position represents an unsettled loan commitment at period end. Certain details associated with this purchase are not known prior to the settlement date, including coupon rate.

(k)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

#

Security that used significant unobservable inputs to determine fair value.

At November 30, 2021, for High Yield Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

  

Gross

Unrealized

(Depreciation)

 

Net

Unrealized

Appreciation

High Yield Fund

   $183,475,680    $5,944,589    $(3,889,476)   $2,055,113

 

Abbreviations used in this schedule:

CLO       Collateralized Loan Obligation
CMT       Constant Maturity Treasury Rate
LIBOR       London Interbank Offered Rate
PLC       Public Limited Company
USD       United States Dollar

 

Summary of Investments by Security Type^

      

Corporate Bonds & Notes

     91.2

Senior Loans

     3.2  

Collateralized Mortgage Obligations

     2.4  

Convertible Preferred Stocks

     0.4  

Preferred Stocks

     0.2  

Common Stocks

     0.2  

Sovereign Bonds

     0.0

Short-Term Investments

     2.4  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

*

Position represents less than 0.05%.

 

See pages 254-256 for definitions of ratings.

 

189


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

SOVEREIGN BONDS - 46.0%

 
 

Argentina - 0.1%

 
          360,000  ARS   

Argentine Bonos del Tesoro, 15.500% due 10/17/26(a)

   $ 1,402  
  4,960,000  ARS   

Bonos del Tesoro Nacional en Pesos Badlar, 36.160% (Argentina Deposit Rates Badlar Private Banks ARS 30 to 35 Days Index + 2.000%) due 4/3/22(a)(b)

     51,401  
  780,000  ARS   

Ciudad Autonoma de Buenos Aires, 39.161% (Argentina Deposit Rates Badlar Private Banks ARS 30 to 35 Days Index + 5.000%) due 1/23/22(a)(b)

     8,083  
  460,000  ARS   

Provincia de Buenos Aires, 37.909% (Argentina Deposit Rates Badlar Private Banks ARS 30 to 35 Days Index + 3.750%) due 4/12/25(a)(c)

     3,878  
    

 

 

 
 

Total Argentina

     64,764  
    

 

 

 
 

Australia - 0.5%

 
  Australia Government Bonds:   
  100,000  AUD   

2.500% due 5/21/30

     76,362  
  200,000  AUD   

1.000% due 11/21/31

     133,622  
  500,000  AUD   

1.750% due 6/21/51

     314,751  
  300,000  AUD    Northern Territory Treasury Corp., 2.000% due 4/21/31      210,098  
  150,000  AUD    Treasury Corp. of Victoria, 4.250% due 12/20/32      129,500  
    

 

 

 
  Total Australia      864,333  
    

 

 

 
 

Canada - 1.7%

 
  600,000  CAD    Canadian Government Bonds, 2.000% due 12/1/51      483,068  
  3,100,000  CAD    Province of Ontario Canada, 3.150% due 6/2/22      2,460,534  
    

 

 

 
 

Total Canada

     2,943,602  
    

 

 

 
 

France - 4.9%

 
  French Republic Government Bonds OAT:   
  900,000  EUR   

3.250% due 5/25/45

     1,641,944  
  3,200,000  EUR   

2.000% due 5/25/48(c)

     4,894,744  
  1,150,000  EUR   

0.750% due 5/25/52(c)

     1,327,935  
  500,000  EUR   

0.500% due 5/25/72(c)

     484,662  
    

 

 

 
  Total France      8,349,285  
    

 

 

 
 

Hungary - 0.1%

 
  $        200,000      Hungary Government International Bonds, 2.125% due 9/22/31(c)      193,902  
    

 

 

 
 

Israel - 1.1%

 
  Israel Government Bonds - Fixed:   
  3,000,000  ILS   

5.500% due 1/31/22

     1,004,855  
  2,000,000  ILS   

1.000% due 3/31/30

     645,372  
  200,000     State of Israel, 3.800% due 5/13/60      228,206  
    

 

 

 
  Total Israel      1,878,433  
    

 

 

 
 

Italy - 4.4%

 
  Italy Buoni Poliennali Del Tesoro:   
  900,000  EUR   

0.350% due 2/1/25

     1,035,514  
  3,000,000  EUR   

1.850% due 7/1/25(c)

     3,630,694  
  950,000  EUR   

1.700% due 9/1/51(c)

     1,060,401  
  900,000  EUR   

2.150% due 3/1/72(c)

     1,003,151  
  400,000  GBP    Republic of Italy Government International Bonds, 6.000% due 8/4/28      672,279  
    

 

 

 
  Total Italy      7,402,039  
    

 

 

 
 

Japan - 17.3%

 
  1,200,000    

Development Bank of Japan Inc., 2.500% due 10/18/22

     1,222,042  
  200,000    

Japan Finance Organization for Municipalities, 2.625% due 4/20/22(c)

     201,838  
  920,000,000  JPY   

Japan Government Ten Year Bonds, 0.100% due 6/20/31

     8,190,081  
 

Japan Government Thirty Year Bonds:

  
  190,000,000  JPY   

1.700% due 9/20/44

     2,108,918  
  310,000,000  JPY   

1.400% due 9/20/45

     3,271,887  
  152,000,000  JPY   

0.500% due 9/20/46

     1,326,232  
  168,000,000  JPY   

0.700% due 12/20/48

     1,512,324  

 

190


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

Japan - 17.3% - (continued)

 
          380,000,000  JPY   

0.500% due 3/20/49

   $ 3,244,840  
  235,000,000  JPY   

0.700% due 6/20/51

     2,099,470  
  Japan Government Twenty Year Bonds:   
  120,000,000  JPY   

1.300% due 6/20/35

     1,215,892  
  181,000,000  JPY   

1.200% due 9/20/35

     1,814,237  
  190,000,000  JPY   

1.000% due 12/20/35

     1,859,973  
  40,000,000  JPY   

0.400% due 3/20/36

     361,736  
  111,427,800  JPY    Japanese Government CPI Linked Bonds, 0.100% due 3/10/28      1,018,895  
    

 

 

 
  Total Japan      29,448,365  
    

 

 

 
 

Kuwait - 0.6%

 
  $              900,000     Kuwait International Government Bonds, 3.500% due 3/20/27      980,637  
    

 

 

 
 

Lithuania - 0.3%

 
  500,000  EUR    Lithuania Government Bonds, 0.100% due 4/1/23      568,599  
    

 

 

 
 

Malaysia - 1.1%

 
  Malaysia Government Bonds:   
  1,100,000  MYR   

3.906% due 7/15/26

     269,732  
  700,000  MYR   

3.502% due 5/31/27

     168,748  
  200,000  MYR   

4.232% due 6/30/31

     50,008  
  500,000  MYR   

3.828% due 7/5/34

     118,479  
  3,700,000  MYR   

4.254% due 5/31/35

     911,959  
  300,000  MYR   

3.757% due 5/22/40

     67,835  
  Malaysia Government Investment Issue:   
  600,000  MYR   

4.369% due 10/31/28

     150,506  
  100,000  MYR   

4.130% due 7/9/29

     24,691  
  200,000  MYR   

4.724% due 6/15/33

     51,251  
  200,000  MYR   

4.119% due 11/30/34

     48,064  
    

 

 

 
  Total Malaysia      1,861,273  
    

 

 

 
 

Peru - 0.7%

 
  Peruvian Government International Bonds:   
  1,300,000  PEN   

6.350% due 8/12/28

     336,352  
  1,300,000  PEN   

6.350% due 8/12/28(c)

     336,352  
  800,000  PEN   

5.940% due 2/12/29

     201,689  
  400,000  PEN   

5.940% due 2/12/29(c)

     100,844  
  700,000  PEN   

6.950% due 8/12/31(c)

     184,813  
  200,000  PEN   

5.350% due 8/12/40(c)

     41,753  
    

 

 

 
  Total Peru      1,201,803  
    

 

 

 
 

Qatar - 1.2%

 
  Qatar Government International Bonds:   
  1,000,000    

3.875% due 4/23/23

     1,043,221  
  700,000    

4.500% due 4/23/28

     802,490  
  200,000    

4.400% due 4/16/50(c)

     245,512  
    

 

 

 
  Total Qatar      2,091,223  
    

 

 

 
 

Romania - 0.3%

 
  Romanian Government International Bonds:   
  200,000  EUR   

1.750% due 7/13/30(c)

     212,262  
  100,000  EUR   

2.000% due 4/14/33(c)

     103,470  
  50,000  EUR   

2.750% due 4/14/41(c)

     50,525  
  200,000  EUR   

2.875% due 4/13/42(c)

     203,149  
    

 

 

 
  Total Romania      569,406  
    

 

 

 
 

Serbia - 0.1%

 
  Serbia International Bonds:   
  100,000  EUR   

1.000% due 9/23/28(c)

     105,877  
  100,000  EUR   

1.650% due 3/3/33(c)

     101,476  
    

 

 

 
  Total Serbia      207,353  
    

 

 

 

 

191


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

Singapore - 0.8%

 
 

Singapore Government Bonds:

  
          200,000  SGD   

2.875% due 9/1/30

   $ 160,730  
  350,000  SGD   

1.625% due 7/1/31

     254,938  
  300,000  SGD   

3.375% due 9/1/33

     254,837  
  100,000  SGD   

2.250% due 8/1/36

     76,252  
  200,000  SGD   

2.750% due 4/1/42

     165,137  
  500,000  SGD   

1.875% due 10/1/51

     361,699  
    

 

 

 
 

Total Singapore

     1,273,593  
    

 

 

 
 

Slovenia - 0.2%

 
  $        250,000    

Slovenia Government International Bonds, 5.250% due 2/18/24

     273,675  
    

 

 

 
 

Spain - 6.8%

 
  100,000  EUR    Autonomous Community of Catalonia, 4.220% due 4/26/35      152,476  
  Spain Government Bonds:   
  300,000  EUR   

0.250% due 7/30/24(c)

     347,134  
  2,000,000  EUR   

1.450% due 10/31/27(c)

     2,478,321  
  1,500,000  EUR   

1.400% due 7/30/28(c)

     1,862,537  
  450,000  EUR   

1.450% due 4/30/29(c)

     562,387  
  2,700,000  EUR   

1.250% due 10/31/30(c)

     3,330,288  
  400,000  EUR   

1.850% due 7/30/35(c)

     523,834  
  300,000  EUR   

1.000% due 10/31/50(c)

     325,915  
  600,000  EUR   

3.450% due 7/30/66(c)

     1,086,107  
  800,000  EUR   

1.450% due 10/31/71(c)

     846,456  
    

 

 

 
 

Total Spain

     11,515,455  
    

 

 

 
 

United Arab Emirates - 0.1%

 
  200,000     Abu Dhabi Government International Bonds, 3.875% due 4/16/50(c)      232,250  
    

 

 

 
 

United Kingdom - 3.7%

 
  United Kingdom Gilts:   
  1,350,000  GBP   

3.250% due 1/22/44

     2,615,769  
  700,000  GBP   

3.500% due 1/22/45

     1,422,129  
  500,000  GBP   

1.750% due 1/22/49

     799,867  
  1,100,000  GBP   

0.625% due 10/22/50

     1,370,659  
    

 

 

 
  Total United Kingdom      6,208,424  
    

 

 

 
 

TOTAL SOVEREIGN BONDS

(Cost - $76,284,349)

     78,128,414  
    

 

 

 
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 20.0%

 
  149,541    

A10 Bridge Asset Financing LLC, Series 2020-C, Class A, 2.021% due 8/15/40(c)

     150,005  
  400,000    

ACE Securities Corp. Home Equity Loan Trust, Series 2005-HE5, Class M4, 0.992% (1-Month USD-LIBOR + 0.900%) due 8/25/35(b)

     400,266  
  310,008  GBP   

ALBA PLC, Series 2007-1, Class A3, 0.241% (3-Month GBP-LIBOR + 0.170%) due 3/17/39(b)

     401,122  
  400,000    

Apidos CLO XXVI, Series 2017-26A, Class A1AR, 1.022% (3-Month USD-LIBOR + 0.900%) due 7/18/29(b)(c)

     400,224  
  177,811    

Arch Street CLO Ltd., Series 2016-2A, Class AR2, 1.132% (3-Month USD-LIBOR + 1.000%) due 10/20/28(b)(c)

     177,862  
  400,000    

ARES L CLO Ltd., Series 2018-50A, Class AR, 1.174% (3-Month USD-LIBOR + 1.050%) due 1/15/32(b)(c)

     400,274  
  400,000    

Ares XL CLO Ltd., Series 2016-40A, Class A1RR, 0.990% (3-Month USD-LIBOR + 0.870%) due 1/15/29(b)(c)

     400,200  
  447,301    

Argent Mortgage Loan Trust, Series 2005-W1, Class A1, 0.572% (1-Month USD-LIBOR + 0.480%) due 5/25/35(b)

     424,843  
  259,768  GBP   

Avon Finance No 2 PLC, Series 2A, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 9/20/48(b)(c)

     346,840  
  9,093    

Banc of America Funding Trust, Series 2006-A, Class 1A1, 2.603% due 2/20/36(b)

     9,147  
  184,993    

Bayview Financial Asset Trust, Series 2007-SR1A, Class A, 0.542% (1-Month USD-LIBOR + 0.450%) due 3/25/37(b)(c)

     179,285  
  400,000    

BDS Ltd., Series 2021-FL10, Class A, 1.450% (1-Month USD-LIBOR + 1.350%) due
12/18/36(b)(c)

     400,999  
  Bear Stearns Adjustable Rate Mortgage Trust:   
  2,210    

Series 2003-5, Class 1A2, 2.489% due 8/25/33(b)

     2,305  
  3,413    

Series 2003-7, Class 6A, 2.323% due 10/25/33(b)

     3,519  
  8,842    

Series 2004-2, Class 22A, 2.451% due 5/25/34(b)

     8,796  
  5,248    

Series 2004-2, Class 23A, 2.667% due 5/25/34(b)

     4,909  
  50,077    

Bear Stearns Structured Products Inc. Trust, Series 2007-R6, Class 1A1, 2.701% due 1/26/36(b)

     41,433  
  75,897  EUR   

Black Diamond CLO Designated Activity Co., Series 2015-1A, Class A1R, 0.650% (3-Month EURIBOR + 0.650%) due 10/3/29(b)(c)

     85,946  

 

192


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 20.0% - (continued)

 
      299,697  EUR   

BlueMountain Euro CLO, Series 2017-2A, Class AR, 0.650% (3-Month EURIBOR + 0.650%) due 7/15/30(b)(c)

   $     340,536  
  300,000  EUR   

BNPP AM Euro CLO BV, Series 2019-1A, Class AR, 0.820% (3-Month EURIBOR + 0.820%) due 7/22/32(b)(c)

     340,450  
  236,785  EUR   

Cairn CLO VII BV, Series 2016-7A, Class A1R, 0.670% (3-Month EURIBOR + 0.670%) due 1/31/30 (b)(c)

     269,131  
  250,000  EUR   

Cairn CLO X DAC, Series 2018-10A, Class AR, 0.780% (3-Month EURIBOR + 0.780%) due 10/15/31 (b)(c)

     284,658  
  $    400,000    

CARLYLE US CLO Ltd., Series 2017-1A, Class A1R, 1.132% (3-Month USD-LIBOR + 1.000%) due 4/20/31(b)(c)

     400,225  
  300,000  EUR   

Cordatus CLO PLC, Series 11A, Class AR, 0.650% (3-Month EURIBOR + 0.650%) due
10/15/31 (b)(c)

     339,879  
  Countrywide Alternative Loan Trust:   
  4,540    

Series 2005-21CB, Class A3, 5.250% due 6/25/35

     4,280  
  20,174    

Series 2007-16CB, Class 5A1, 6.250% due 8/25/37

     15,031  
  36,345    

Series 2007-11T1, Class A12, 0.442% (1-Month USD-LIBOR + 0.350%) due 5/25/37(b)

     11,533  
  27,972    

Series 2007-7T2, Class A9, 6.000% due 4/25/37

     17,165  
  Countrywide Asset-Backed Certificates:   
  23,648    

Series 2006-18, Class 2A2, 0.252% (1-Month USD-LIBOR + 0.160%) due 3/25/37(b)

     23,640  
  390,597    

Series 2007-9, Class 2A4, 0.342% (1-Month USD-LIBOR + 0.250%) due 2/25/36(b)

     384,605  
  60,051    

Series 2007-12, Class 1A1, 0.832% (1-Month USD-LIBOR + 0.740%) due 8/25/47(b)

     59,428  
  448,150    

Series 2007-13, Class 1A, 0.932% (1-Month USD-LIBOR + 0.840%) due 10/25/47(b)

     441,274  
  155,688    

Series 2007-SEA2, Class 1A1, 1.092% (1-Month USD-LIBOR + 1.000%) due 8/25/47(b)(c)

     156,477  
  Countrywide Home Loan Mortgage Pass-Through Trust:   
  625    

Series 2004-12, Class 11A1, 3.003% due 8/25/34(b)

     636  
  52,553    

Series 2005-2, Class 1A1, 0.732% (1-Month USD-LIBOR + 0.640%) due 3/25/35(b)

     46,960  
  3,477    

Series 2005-3, Class 2A1, 0.672% (1-Month USD-LIBOR + 0.580%) due 4/25/35(b)

     3,371  
  55,488    

Series 2005-9, Class 1A3, 0.552% (1-Month USD-LIBOR + 0.460%) due 5/25/35(b)

     48,370  
  15,989    

Series 2005-11, Class 3A1, 2.540% due 4/25/35(b)

     14,196  
  13,264    

Series 2005-HYB9, Class 3A2A, 1.985% (1-Year USD-LIBOR + 1.750%) due 2/20/36(b)

     11,765  
  546,430    

Series 2007-4, Class 1A47, 6.000% due 5/25/37

     351,554  
  92,350    

Series 2007-19, Class 2A1, 6.500% due 11/25/47

     63,604  
  169,347    

Credit Suisse Mortgage Capital Certificates, Series 2007-NC1, Class 2A1, 0.692% (1-Month USD-LIBOR + 0.600%) due 9/25/37(b)

     168,840  
  34,758    

Credit Suisse Mortgage Capital Trust, Series 2007-5R, Class A5, 6.500% due 7/26/36

     12,881  
  140,381    

CSAB Mortgage-Backed Trust, Series 2006-4, Class A6A, step bond to yield, 6.184% due 12/25/36

     46,213  
  96,530    

CSMC Trust, Series 2021-INV1, Class A3, 2.500% due 7/25/56(b)(c)

     97,766  
  471,996    

Deutsche Alternative-A Securities Mortgage Loan Trust, Series 2007-3, Class 2A1, 0.842% (1-Month USD-LIBOR + 0.750%) due 10/25/47(b)

     443,251  
  300,000  EUR   

Dryden Leveraged Loan CDO, Series 2017-27A, Class AR, 0.660% (3-Month EURIBOR + 0.660%) due 4/15/33 (b)(c)

     338,933  
  300,000    

Dryden Senior Loan Fund, Series 2017-47A, Class A1R, 1.104% (3-Month USD-LIBOR + 0.980%) due 4/15/28(b)(c)

     300,160  
  400,000    

Elevation CLO Ltd., Series 2017-8A, Class A1R2, 1.080% (3-Month USD-LIBOR + 0.950%) due 10/25/30(b)(c)

     400,200  
  464,080    

Ellington Loan Acquisition Trust, Series 2007-2, Class A1, 1.142% (1-Month USD-LIBOR + 1.050%) due 5/25/37(b)(c)

     466,048  
  141,909  GBP   

Eurohome UK Mortgages PLC, Series 2007-1, Class A, 0.220% (3-Month GBP-LIBOR + 0.150%) due 6/15/44(b)

     185,355  
  317,620  GBP   

Eurosail-UK PLC, Series 2007-4X, Class A3, 1.017% (3-Month GBP-LIBOR + 0.950%) due 6/13/45(b)

     423,275  
  397,930    

Extended Stay America Trust, Series 2021-ESH, Class A, 1.170% (1-Month USD-LIBOR + 1.080%) due 7/15/38(b)(c)

     398,334  
  Federal Home Loan Mortgage Corp. (FHLMC):   
  18,336    

Series T-35, Class A, 0.372% (1-Month USD-LIBOR + 0.280%) due 9/25/31(b)

     18,210  
  23,920    

Series T-62, Class 1A1, 1.283% (1-Year Treasury Average Rate + 1.200%) due 10/25/44(b)

     24,519  
 

Federal Home Loan Mortgage Corp. (FHLMC), REMICS:

  
  16,052    

Series 2391, Class FJ, 0.589% (1-Month USD-LIBOR + 0.500%) due 4/15/28(b)

     16,122  
  28,989    

Series 2614, Class SJ, 19.417% (19.663% - 2.750% x 1-Month USD-LIBOR) due 5/15/33(d)

     39,034  
  116,264    

Series 4579, Class FD, 0.432% (1-Month USD-LIBOR + 0.350%) due 1/15/38(b)

     116,521  
  116,264    

Series 4579, Class SD, 1.891% due 1/15/38(b)(e)

     7,046  
  4,871    

Federal National Mortgage Association (FNMA), Grantor Trust, Series 2004-T3, Class 1A1, 6.000% due 2/25/44

     5,521  
  Federal National Mortgage Association (FNMA), REMICS:   
  4,844    

Series 2003-34, Class A1, 6.000% due 4/25/43

     5,434  
  7,350    

Series 2006-48, Class TF, 0.492% (1-Month USD-LIBOR + 0.400%) due 6/25/36(b)

     7,426  
  67,615    

Series 2009-104, Class FA, 0.892% (1-Month USD-LIBOR + 0.800%) due 12/25/39(b)

     67,408  
  34,340    

Federal National Mortgage Association (FNMA), REMICS Trust, Series 2004-W12, Class 1A1, 6.000% due 7/25/44

     39,286  
  79,514    

First Franklin Mortgage Loan Trust, Series 2005-FF9, Class A4, 0.812% (1-Month USD-LIBOR + 0.720%) due 10/25/35(b)

     79,538  
  400,000    

Galaxy XV CLO Ltd., Series 2013-15A, Class ARR, 1.094% (3-Month USD-LIBOR + 0.970%) due 10/15/30(b)(c)

     400,099  

 

193


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security   Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 20.0% - (continued)

 
  $        20,056    

GMACM Mortgage Loan Trust, Series 2005-AR6, Class 3A1, 2.924% due 11/19/35(b)

  $ 20,186  
  Government National Mortgage Association (GNMA):  
  313,147    

Series 2016-H15, Class FA, 0.875% (1-Month USD-LIBOR + 0.800%) due 7/20/66(b)

    317,184  
  10,827    

Series 2017-121, Class PE, 3.000% due 7/20/46

    11,026  
  GS Mortgage-Backed Securities Trust:  
  195,560    

Series 2021-GR2, Class A2, 2.500% due 2/25/52(b)(c)

    197,808  
  100,000    

Series 2021-GR3, Class A2, 2.500% due 4/25/52(b)(c)

    100,228  
  392,961    

Series 2021-HP1, Class A2, 2.500% due 1/25/52(b)(c)

    396,491  
  97,200    

Series 2021-INV1, Class A2, 2.500% due 12/25/51(b)(c)

    97,890  
  GSR Mortgage Loan Trust:  
  3,125    

Series 2003-1, Class A2, 1.840% (1-Year CMT Index + 1.750%) due 3/25/33(b)

    3,199  
  70,167    

Series 2005-AR7, Class 2A1, 2.807% due 11/25/35(b)

    71,420  
  Harborview Mortgage Loan Trust:  
  12,595    

Series 2005-2, Class 2A1A, 0.529% (1-Month USD-LIBOR + 0.440%) due 5/19/35(b)

    12,160  
  26,180    

Series 2005-3, Class 2A1A, 0.569% (1-Month USD-LIBOR + 0.480%) due 6/19/35(b)

    26,252  
  56,008    

Series 2006-SB1, Class A1A, 0.933% (1-Year Treasury Average Rate + 0.850%) due 12/19/36(b)

    53,858  
  78,234    

Series 2007-1, Class 2A1A, 0.349% (1-Month USD-LIBOR + 0.130%) due 3/19/37(b)

    72,804  
  300,000  EUR   

Harvest CLO XI DAC, Series 2011-A, Class ARR, 0.650% (3-Month EURIBOR + 0.650%) due 6/26/30(b)(c)

    339,177  
  357,442  GBP   

Hawksmoor Mortgages, Series 2019-1A, Class A, 1.100% (Sterling Overnight Index Average + 1.050%) due 5/25/53(b)(c)

    477,617  
  117,283    

Homeward Opportunities Fund I Trust, Series 2020-2, Class A1, 1.657% due 5/25/65(b)(c)

    117,618  
  JPMorgan Mortgage Trust:  
  2,332    

Series 2003-A2, Class 3A1, 1.815% due 11/25/33(b)

    2,369  
  642    

Series 2005-A1, Class 6T1, 2.283% due 2/25/35(b)

    653  
  782,480    

Series 2021-INV4, Class A2, 3.000% due 1/25/52(b)(c)

    806,850  
  1,195,166    

Series 2021-INV7, Class A2, 3.000% due 2/25/52(b)(c)

    1,226,156  
  700,000    

Series 2022-INV1 , Class A2, 3.000% due 2/25/52#(a)(c)(f)

    720,257  
  7,997    

JPMorgan Resecuritization Trust, Series 2009-7, Class 17A1, 6.049% due 7/27/37(b)(c)

    8,018  
  500,000    

LCM XIII LP, Series 2013-A, Class AR3, zero coupon (3-Month USD-LIBOR + 0.870%) due
7/19/27(b)(c)(f)(p)

    500,000  
  450,187  GBP   

Ludgate Funding PLC, Series 2007-1, Class A2A, 0.245% (3-Month GBP-LIBOR + 0.160%) due 1/1/61(b)

    578,816  
  400,000    

LUXE Trust, Series 2021-TRIP, Class A, 1.140% (1-Month USD-LIBOR + 1.050%) due 10/15/38(b)(c)

    400,854  
  300,000    

Manhattan West Mortgage Trust, Series 2020-1MW, Class A, 2.130% due 9/10/39(c)

    302,090  
  250,000    

Marble Point CLO X Ltd., Series 2017-1A, Class AR, 1.164% (3-Month USD-LIBOR + 1.040%) due 10/15/30(b)(c)

    250,072  
  3,631    

Merrill Lynch Mortgage Investors Trust, Series 2003-A2, Class 1A1, 1.820% due 2/25/33(b)

    3,525  
  200,000    

MF1 Multifamily Housing Mortgage Loan Trust, Series 2021-FL5, Class A, 1.012% (30-Day SOFR + 0.964%) due 7/15/36(b)(c)

    199,869  
  338,035    

MFA Trust, Series 2020-NQM2, Class A1, 1.381% due 4/25/65(b)(c)

    337,771  
  395,410    

MP CLO VII LTD, Series 2015-1A, Class AR3, 1.012% (3-Month USD-LIBOR + 0.890%) due 10/18/28(b)(c)

    395,518  
  New Residential Mortgage Loan Trust:  
  270,037    

Series 2019-RPL3, Class A1, 2.750% due 7/25/59(b)(c)

    275,738  
  273,286    

Series 2020-RPL1, Class A1, 2.750% due 11/25/59(b)(c)

    278,285  
  542,671  GBP   

Newgate Funding PLC, Series 2007-1X, Class A3, 0.227% (3-Month GBP-LIBOR + 0.160%) due 12/1/50(b)

    698,978  
  400,000    

NovaStar Mortgage Funding Trust, Series 2006-1, Class A2D, 0.632% (1-Month USD-LIBOR + 0.540%) due 5/25/36(b)

    389,012  
  400,000    

NYO Commercial Mortgage Trust, Series 2021-1290, Class A, 1.175% (1-Month USD-LIBOR + 1.095%) due 11/15/38(b)(c)

    399,279  
  300,000    

One New York Plaza Trust, Series 2020-1NYP, Class A, 1.040% (1-Month USD-LIBOR + 0.950%) due 1/15/26(b)(c)

    299,815  
  72,055    

Option One Mortgage Loan Trust, Series 2007-CP1, Class 1A1, 0.232% (1-Month USD-LIBOR + 0.140%) due 3/25/37(b)

    69,308  
  500,000    

OZLM IX Ltd., Series 2014-9A, Class A1A3, 1.232% (3-Month USD-LIBOR + 1.100%) due 10/20/31(b)(c)

    499,625  
  Palmer Square Loan Funding Ltd.:  
  400,000    

Series 2021-3A, Class A1, 0.971% (3-Month USD-LIBOR + 0.800%) due 7/20/29(b)(c)

    400,228  
  400,000    

Series 2021-4A, Class A1, 0.928% (3-Month USD-LIBOR + 0.800%) due 10/15/29(b)(c)

    400,264  
  392,603    

PRET LLC, Series 2021-RN3, Class A1, step bond to yield, 1.843% due 9/25/51(c)

    390,148  
  RALI Trust:  
  96,692    

Series 2006-QS6, Class 1A1, 6.000% due 6/25/36

    95,882  
  45,355    

Series 2007-QO2, Class A1, 0.242% (1-Month USD-LIBOR + 0.150%) due 2/25/47(b)

    22,485  
  60,347  CAD   

Real Estate Asset Liquidity Trust, Series 2018-1A, Class A1, 3.072% due 8/12/53(c)

    48,227  
 

Residential Asset Securitization Trust:

 

 

194


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 20.0% - (continued)

 
  $        14,087    

Series 2005-A15, Class 5A1, 5.750% due 2/25/36

   $ 8,371  
  39,098    

Series 2006-R1, Class A2, 0.492% (1-Month USD-LIBOR + 0.400%) due 1/25/46(b)

     11,266  
  168,358  GBP   

Residential Mortgage Securities 32 PLC, Series 2032, Class A, 1.300% (Sterling Overnight Index Average + 1.250%) due 6/20/70(b)(c)

     226,118  
  205,488  GBP   

ResLoC UK PLC, Series 2007-1X, Class A3B, 0.230% (3-Month GBP-LIBOR + 0.160%) due 12/15/43(b)

     264,105  
  RMAC Securities No 1 PLC:   
  198,776  GBP   

Series 2006-NS1X, Class A2A, 0.217% (3-Month GBP-LIBOR + 0.150%) due 6/12/44(b)

     258,004  
  381,595  GBP   

Series 2006-NS3X, Class A2A, 0.217% (3-Month GBP-LIBOR + 0.150%) due 6/12/44(b)

     492,685  
  300,000    

Sculptor CLO XXV Ltd., Series 25A, Class A1, 1.394% (3-Month USD-LIBOR + 1.270%) due 1/15/31(b)(c)

     300,428  
  253,632    

Sound Point CLO XIV Ltd., Series 2016-3A, Class AR2, 1.114% (3-Month USD-LIBOR + 0.990%) due 1/23/29(b)(c)

     253,618  
  Soundview Home Loan Trust:   
  202    

Series 2006-3, Class A3, 0.412% (1-Month USD-LIBOR + 0.320%) due 11/25/36(b)

     202  
  1,300,000    

Series 2006-3, Class A4, 0.592% (1-Month USD-LIBOR + 0.500%) due 11/25/36(b)

       1,263,880  
  132,807    

SP-STATIC CLO 1 Ltd., Series 2020-1A, Class A, 1.528% (3-Month USD-LIBOR + 1.400%) due 7/22/28(b)(c)

     132,854  
  443,034  GBP   

Stratton Mortgage Funding, Series 2021-2A, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 7/20/60(b)(c)

     591,426  
  Structured Adjustable Rate Mortgage Loan Trust:   
  3,004    

Series 2004-1, Class 4A1, 2.438% due 2/25/34(b)

     3,006  
  9,572    

Series 2004-4, Class 3A2, 2.286% due 4/25/34(b)

     9,719  
  26,614    

Series 2004-19, Class 2A1, 1.483% (1-Year Treasury Average Rate + 1.400%) due 1/25/35(b)

     24,997  
  Structured Asset Mortgage Investments II Trust:   
  31,985    

Series 2005-AR2, Class 2A1, 0.552% (1-Month USD-LIBOR + 0.460%) due 5/25/45(b)

     32,086  
  44,393    

Series 2005-AR8, Class A1A, 0.652% (1-Month USD-LIBOR + 0.560%) due 2/25/36(b)

     42,682  
  25,942    

Series 2006-AR5, Class 1A1, 0.512% (1-Month USD-LIBOR + 0.420%) due 5/25/36(b)

     22,944  
  129,982    

Series 2007-AR4, Class A3, 0.312% (1-Month USD-LIBOR + 0.220%) due 9/25/47(b)

     119,212  
  68,624    

Series 2007-AR6, Class A1, 1.583% (1-Year Treasury Average Rate + 1.500%) due 8/25/47(b)

     67,377  
  52,126    

Structured Asset Securities Corp., Series 2006-RF1, Class 1A, 0.372% (1-Month USD-LIBOR + 0.280%) due 1/25/36(b)(c)

     49,536  
  135,689    

Symphony CLO XIV Ltd., Series 2014-14A, Class AR, 1.077% (3-Month USD-LIBOR + 0.950%) due 7/14/26(b)(c)

     135,736  
  400,000    

THL Credit Wind River CLO Ltd., Series 2019-3A, Class AR, 1.204% (3-Month USD-LIBOR + 1.080%) due 4/15/31(b)(c)

     400,049  
  484,218  GBP   

Towd Point Mortgage Funding, Series 2019-A13A, Class A1, 0.950% (Sterling Overnight Index Average + 0.900%) due 7/20/45(b)(c)

     646,347  
  267,102  GBP   

Towd Point Mortgage Funding Auburn 14 PLC, Series 2020-A14X, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 5/20/45(b)

     356,884  
  Towd Point Mortgage Trust:   
  838,872    

Series 2019-4, Class A1, 2.900% due 10/25/59(b)(c)

     858,170  
  228,854    

Series 2020-1, Class A1, 2.710% due 1/25/60(b)(c)

     233,266  
  176,779  GBP   

Trinity Square PLC, Series 2021-1A, Class A, 0.900% (Sterling Overnight Index Average + 0.850%) due 7/15/59(b)(c)

     236,232  
  UWM Mortgage Trust:   
  500,000    

Series 2021-INV3, Class A3, 2.500% due 11/25/51(b)(c)

     503,379  
  300,000    

Series 2021-INV4, Class A3, 2.500% due 12/25/51(b)(c)

     300,715  
  400,000    

Venture 38 CLO Ltd., Series 2019-38A, Class A1R, zero coupon (3-Month USD-LIBOR + 1.160%) due 7/30/32(b)(c)

     400,200  
  78,197    

Venture XVII CLO Ltd., Series 2014-17A, Class ARR, 1.004% (3-Month USD-LIBOR + 0.880%) due 4/15/27(b)(c)

     78,196  
  300,000    

Vibrant CLO VI Ltd., Series 2017-6A, Class AR, 1.072% (3-Month USD-LIBOR + 0.950%) due 6/20/29(b)(c)

     300,034  
  300,000    

Vibrant CLO VII Ltd., Series 2017-7A, Class A1R, 1.172% (3-Month USD-LIBOR + 1.040%) due 9/15/30(b)(c)

     300,172  
  Voya CLO Ltd.:   
  372,544    

Series 2016-4A, Class ARR, 1.032% (3-Month USD-LIBOR + 0.900%) due 7/20/29(b)(c)

     372,668  
  400,000    

Series 2017-1A, Class A1R, 1.072% (3-Month USD-LIBOR + 0.950%) due 4/17/30(b)(c)

     400,132  
  WaMu Mortgage Pass-Through Certificates Trust:   
  5,595    

Series 2002-AR9, Class 1A, 1.483% (1-Year Treasury Average Rate + 1.400%) due 8/25/42(b)

     5,553  
  1,613    

Series 2003-AR5, Class A7, 2.578% due 6/25/33(b)

     1,645  
  88,720    

Series 2003-AR9, Class 2A, 2.368% due 9/25/33(b)

     88,470  
  157,719    

Series 2004-AR1, Class A, 2.427% due 3/25/34(b)

     162,627  
  20,100    

Series 2005-AR13, Class A1A1, 0.672% (1-Month USD-LIBOR + 0.580%) due 10/25/45(b)

     20,141  
  25,584    

Series 2006-AR10, Class 2A1, 2.694% due 9/25/36(b)

     24,691  
  44,632    

Series 2006-AR13, Class 2A, 1.725% (11th District Cost of Funds Index + 1.500%) due 10/25/46(b)

     43,727  
  17,149    

Washington Mutual Mortgage Pass-Through Certificates WMALT, Series 2006-AR5, Class 3A, 1.023% (1-Year Treasury Average Rate + 0.940%) due 7/25/46(b)

     11,811  
  55,170    

Washington Mutual MSC Mortgage Pass-Through Certificates Trust, Series 2002-AR3, Class 1A7, 2.076% due 12/25/32(b)

     56,574  
    

 

 

 
 

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS

(cost - $34,435,971)

     34,001,108  
    

 

 

 

 

195


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

CORPORATE BONDS & NOTES - 16.8%

 
 

Canada - 0.1%

 
  100,000  EUR    Fairfax Financial Holdings Ltd., Senior Unsecured Notes, 2.750% due 3/29/28(c)    $ 124,227  
    

 

 

 
 

Cayman Islands - 1.0%

 
  $     300,000    

CK Hutchison International 17 Ltd., Company Guaranteed Notes, 2.875% due 4/5/22(c)

     302,187  
 

KSA Sukuk Ltd., Senior Unsecured Notes:

  
  200,000    

2.894% due 4/20/22(c)

     201,852  
  500,000    

4.303% due 1/19/29(c)

     568,784  
  200,000    

Sands China Ltd., Senior Unsecured Notes, 5.400% due 8/8/28

     215,100  
  395,229    

US Capital Funding II Ltd./US Capital Funding II Corp., Asset Backed, 0.882% (3-Month USD-LIBOR + 0.750%) due 8/1/34(b)(c)

     387,324  
    

 

 

 
 

Total Cayman Islands

     1,675,247  
    

 

 

 
 

Denmark - 4.0%

 
  Jyske Realkredit AS, Covered Notes:   
  1  DKK   

1.500% due 10/1/37

      
  1  DKK   

3.000% due 10/1/47

      
  6,298,178  DKK   

1.000% due 10/1/50

     912,649  
  1  DKK   

1.500% due 10/1/50

      
  500,000  DKK   

1.500% due 10/1/53

     74,754  
  Nordea Kredit Realkreditaktieselskab, Covered Notes:   
  1  DKK   

1.500% due 10/1/37

      
  1  DKK   

2.500% due 10/1/37

      
  1  DKK   

2.500% due 10/1/47

      
  9,816,686  DKK   

1.000% due 10/1/50

     1,417,690  
  1  DKK   

1.500% due 10/1/50

      
  1  DKK   

2.000% due 10/1/50

      
  400,000  DKK   

1.500% due 10/1/53

     58,614  
  Nykredit Realkredit AS, Covered Notes:   
  1  DKK   

2.500% due 10/1/36

      
  1  DKK   

1.500% due 10/1/37

      
  1  DKK   

2.500% due 10/1/47

      
  20,090,086  DKK   

1.000% due 10/1/50

     2,893,702  
  2  DKK   

1.500% due 10/1/50

      
  3,999,456  DKK   

1.000% due 10/1/53

     573,109  
  3,194,869  DKK   

1.500% due 10/1/53

     470,959  
  Realkredit Danmark AS,Covered Notes:   
  1  DKK   

2.500% due 4/1/36

      
  1  DKK   

2.500% due 4/1/47

      
  1,300,000  DKK   

1.000% due 10/1/50

     188,859  
  800,000  DKK   

1.500% due 10/1/53

     117,959  
    

 

 

 
 

Total Denmark

     6,708,295  
    

 

 

 
 

France - 0.3%

 
  BNP Paribas SA, Senior Unsecured Notes:   
  200,000    

3.800% due 1/10/24(c)

     210,713  
  200,000    

2.159% (SOFR + 1.218%) due 9/15/29(b)(c)

     196,675  
  100,000  EUR    ELO SACA, Senior Unsecured Notes, 3.250% due 7/23/27      127,823  
    

 

 

 
 

Total France

     535,211  
    

 

 

 
 

Germany - 1.6%

 
  Deutsche Bank AG, Senior Unsecured Notes:   
  200,000    

3.300% due 11/16/22

     204,831  
  300,000    

3.950% due 2/27/23

     310,699  
  100,000  GBP   

2.625% due 12/16/24

     136,330  
  300,000  EUR   

1.000% (1.600% - 3-Month EURIBOR) due 11/19/25(d)

     345,617  
  350,000    

3.961% (SOFR + 2.581%) due 11/26/25(b)

     371,630  

 

196


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
    Security    Value  
 

Germany - 1.6% - (continued)

 
          300,000  EUR   

2.625% due 2/12/26

   $ 369,122  
  200,000  EUR   

1.625% due 1/20/27

     237,053  
  200,000  EUR   

1.750% (2.050% - 3-Month EURIBOR) due 11/19/30(d)

     236,573  
  $        200,000    

Deutsche Bank AG, (Restricted, cost - $200,406, acquired 1/21/21), Subordinated Notes, 3.729% (SOFR + 2.757%) due 1/14/32(b)(g)

     204,024  
  300,000    

IHO Verwaltungs GmbH, Senior Secured Notes, 6.000% (6.000% cash or 6.750% PIK) due 5/15/27(c)(h)

     312,359  
    

 

 

 
 

Total Germany

         2,728,238  
    

 

 

 
 

Ireland - 0.1%

 
  200,000     SMBC Aviation Capital Finance DAC, Company Guaranteed Notes, 3.000% due 7/15/22(c)      202,480  
    

 

 

 
 

Italy - 0.6%

 
  400,000  EUR    Banca Carige SpA, Covered Notes, 0.928% (1.500% - 3-Month EURIBOR) due 5/25/22(d)      454,850  
  Banca Monte dei Paschi di Siena SpA:   
  200,000  EUR   

Covered Notes, 0.875% due 10/8/26

     235,206  
  100,000  EUR   

Senior Unsecured Notes, 2.625% due 4/28/25

     113,529  
  200,000  EUR   

UniCredit SpA, Junior Subordinated Notes, 9.250% (9.300% - 5-Year EUR Swap Rate)(d)(i)

     236,937  
    

 

 

 
  Total Italy      1,040,522  
    

 

 

 
 

Japan - 0.1%

 
  200,000     Nissan Motor Co., Ltd., Senior Unsecured Notes, 4.345% due 9/17/27(c)      215,825  
    

 

 

 
 

Luxembourg - 0.1%

 
  100,000  EUR   

CPI Property Group SA, Senior Unsecured Notes, 1.500% due 1/27/31

     109,453  
    

 

 

 
 

Netherlands - 0.1%

 
  52,525  EUR   

Stichting AK Rabobank Certificaten, Junior Subordinated Notes, step bond to yield, 19.436%(i)

     81,224  
    

 

 

 
 

Portugal - 0.0%

 
 

Banco Espirito Santo SA, Senior Unsecured Notes:

  
  200,000  EUR   

4.750% due 1/15/18(a)(j)

     39,703  
  200,000  EUR   

4.000% due 1/21/19(a)(j)

     39,702  
    

 

 

 
 

Total Portugal

     79,405  
    

 

 

 
 

Qatar - 0.2%

 
 

Qatar Energy, Senior Unsecured Notes:

  
  200,000    

2.250% due 7/12/31(c)

     197,008  
  200,000    

3.125% due 7/12/41(c)

     201,011  
    

 

 

 
 

Total Qatar

     398,019  
    

 

 

 
 

Singapore - 0.1%

 
  200,000     BOC Aviation Ltd., Senior Unsecured Notes, 2.750% due 9/18/22(c)      202,282  
    

 

 

 
 

Spain - 0.1%

 
  200,000  EUR   

Banco Bilbao Vizcaya Argentaria SA, Junior Subordinated Notes, 5.875% (5-Year EUR Swap Rate + 5.660%)(b)(i)

     240,001  
    

 

 

 
 

Supranational - 0.5%

 
  European Investment Bank, Senior Unsecured Notes:   
  500,000  AUD   

0.500% due 6/21/23

     355,231  
  800,000  AUD   

0.500% due 8/10/23

     567,208  
    

 

 

 
  Total Supranational      922,439  
    

 

 

 
 

Sweden - 0.1%

 
  200,000     Swedbank AB, Junior Subordinated Notes, 4.000% (5-Year CMT Index + 2.864%)(b)(i)      192,625  
    

 

 

 
 

Switzerland - 1.3%

 
  Credit Suisse Group AG:   
  200,000    

Junior Subordinated Notes, 7.500% (5-Year USD Swap Rate + 4.598%)(b)(c)(i)

     215,940  
 

Senior Unsecured Notes:

  
  300,000    

2.997% (3-Month USD-LIBOR + 1.200%) due 12/14/23(b)(c)

     305,899  
  250,000    

4.282% due 1/9/28(c)

     272,971  
  250,000    

3.869% (3-Month USD-LIBOR + 1.410%) due 1/12/29(b)(c)

     268,026  
 

UBS AG, Subordinated Notes:

  
  250,000    

7.625% due 8/17/22

     261,168  
  400,000    

5.125% due 5/15/24

     430,500  
  400,000    

UBS Group AG, Senior Unsecured Notes, 1.106% (3-Month USD-LIBOR + 0.950%) due 8/15/23(b)(c)

     402,172  
    

 

 

 
 

Total Switzerland

     2,156,676  
    

 

 

 

 

197


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
          Security    Value  
 

United Kingdom - 3.9%

 
  $      600,000       

Barclays Bank PLC, Subordinated Notes, 7.625% due 11/21/22

   $ 634,611  
    

Barclays PLC:

  
    

Junior Subordinated Notes:

  
  600,000  GBP      

7.125% (5-Year UK Government Note Generic Bid Yield + 6.579%)(b)(i)

     869,352  
  200,000       

7.875% (5-Year USD Swap Rate + 6.772%)(b)(i)

     203,102  
  200,000       

Senior Unsecured Notes, 4.610% (3-Month USD-LIBOR + 1.400%) due 2/15/23(b)

     201,568  
  100,000       

British Telecommunications PLC, Senior Unsecured Notes, 9.625% due 12/15/30

     149,169  
    

HSBC Holdings PLC:

  
  400,000       

Junior Subordinated Notes, 6.500% (5-Year USD 1100 Run ICE Swap Rate + 3.606%)(b)(i)

     439,014  
    

Senior Unsecured Notes:

  
  300,000       

1.160% (3-Month USD-LIBOR + 1.000%) due 5/18/24(b)

     302,848  
  400,000       

3.803% (3-Month USD-LIBOR + 1.211%) due 3/11/25(b)

     421,816  
  100,000  GBP      

1.750% (Sterling Overnight Index Average + 1.307%) due 7/24/27(b)

     131,622  
  200,000       

4.041% (3-Month USD-LIBOR + 1.546%) due 3/13/28(b)

     216,573  
  100,000  GBP      

Subordinated Notes, 6.750% due 9/11/28

     168,548  
  100,000  GBP      

John Lewis PLC, Senior Unsecured Notes, 6.125% due 1/21/25

     148,045  
    

Lloyds Banking Group PLC:

  
  200,000  GBP      

Junior Subordinated Notes, 5.125% (5-Year UK Government Note Generic Bid Yield + 4.607%)(b)(i)

     274,300  
  200,000       

Senior Unsecured Notes, 3.900% due 3/12/24

     212,411  
  300,000       

Subordinated Notes, 4.582% due 12/10/25

     329,209  
  200,000  GBP      

Marks & Spencer PLC, Senior Unsecured Notes, 4.250% due 12/8/23

     276,335  
  200,000       

Nationwide Building Society, Senior Unsecured Notes, 3.766% (3-Month USD-LIBOR + 1.064%) due 3/8/24(b)(c)

     206,991  
    

NatWest Group PLC, Junior Subordinated Notes:

  
  200,000  GBP      

5.125% (5-Year UK Government Note Generic Bid Yield + 4.985%)(b)(i)

     277,364  
  200,000       

6.000% (5-Year CMT Index + 5.625%)(b)(i)

     217,646  
  100,000  GBP      

Rolls-Royce PLC, Company Guaranteed Notes, 5.750% due 10/15/27

     148,196  
  400,000       

Santander UK Group Holdings PLC, Senior Unsecured Notes, 4.796% (3-Month USD-LIBOR + 1.570%) due 11/15/24(b)

     428,009  
  200,000       

Standard Chartered PLC, Junior Subordinated Notes, 7.500% (5-Year USD Swap Rate + 6.301%)(b)(c)(i)

     203,461  
  95,326  GBP      

Tesco Property Finance 4 PLC, Senior Secured Notes, 5.801% due 10/13/40

     167,165  
       

 

 

 
    

Total United Kingdom

     6,627,355  
       

 

 

 
 

United States - 2.6%

 
  100,000        AbbVie Inc., Senior Unsecured Notes, 3.450% due 3/15/22      100,351  
  100,000  EUR       AT&T Inc., Junior Subordinated Notes, 2.875% (3.140% - 5-Year EURIBOR ICE Swap Rate)(d)(i)      113,164  
  200,000        Bank of America Corp., Junior Subordinated Notes, 5.875% (3-Month USD-LIBOR + 2.931%)(b)(i)      220,250  
     Broadcom Inc.:   
  190,000       

Company Guaranteed Notes, 4.150% due 11/15/30

     208,330  
  10,000       

Senior Unsecured Notes, 3.187% due 11/15/36(c)

     9,888  
  58,000        Campbell Soup Co., Senior Unsecured Notes, 3.650% due 3/15/23      60,009  
  700,000        Charter Communications Operating LLC/Charter Communications Operating Capital, Senior Secured Notes, 4.464% due 7/23/22      712,434  
  200,000        Dell International LLC/EMC Corp., Senior Unsecured Notes, 4.900% due 10/1/26      226,187  
  400,000        Duke Energy Corp., Senior Unsecured Notes, 0.764% (3-Month USD-LIBOR + 0.650%) due 3/11/22(b)      400,485  
     Fidelity National Information Services Inc.:   
  100,000  EUR      

Company Guaranteed Notes, 0.750% due 5/21/23

     114,787  
  100,000  GBP      

Senior Unsecured Notes, 1.700% due 6/30/22

     133,872  
     Ford Motor Credit Co. LLC, Senior Unsecured Notes:   
  200,000       

4.250% due 9/20/22

     204,510  
  200,000       

3.550% due 10/7/22

     202,720  
  200,000       

4.140% due 2/15/23

     204,501  
  100,000  GBP      

2.748% due 6/14/24

     133,925  
  100,000  EUR      

0.130% (0.700% - 3-Month EURIBOR) due 12/1/24(d)

     111,591  
  400,000       

5.125% due 6/16/25

     431,752  
  200,000       

4.000% due 11/13/30

     210,411  
  100,000        Hyatt Hotels Corp., Senior Unsecured Notes, 1.300% due 10/1/23      100,084  
  1,300,000        Lehman Brothers Holdings Inc., Senior Unsecured Notes, zero coupon due 12/28/17(a)      7,963  

 

198


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
           Security    Value  
 

United States - 2.6% - (continued)

 
  $      100,000        

Pacific Gas & Electric Co., 1st Mortgage Notes, 3.450% due 7/1/25

   $ 104,072  
  100,000        

Santander Holdings USA Inc., Senior Unsecured Notes, 3.400% due 1/18/23

     102,553  
  300,000        

Zimmer Biomet Holdings Inc., Senior Unsecured Notes, 3.150% due 4/1/22

     301,089  
        

 

 

 
     

Total United States

     4,414,928  
        

 

 

 
     

TOTAL CORPORATE BONDS & NOTES

(Cost - $29,128,483)

  

 

28,654,452

 

        

 

 

 
 

MORTGAGE-BACKED SECURITIES - 12.6%

 
 

FHLMC - 0.2%

 
     

Federal Home Loan Mortgage Corp. (FHLMC):

  
  48,160        

3.500% due 10/1/39

     50,898  
  268,631        

2.500% due 2/1/51

     276,982  
        

 

 

 
     

Total FHLMC

     327,880  
        

 

 

 
 

FNMA - 12.4%

 
     

Federal National Mortgage Association (FNMA):

  
  1,650,000        

3.500% due 12/1/51 - 1/1/52(k)

     1,735,012  
  168,952        

3.500% due 10/1/34 - 1/1/52

     179,765  
  20,440        

2.422% (1-Year CMT Index + 2.360%) due 11/1/34(b)

     21,673  
  1,722        

6.500% due 8/1/37

     1,794  
  501,704        

3.000% due 10/1/49 - 5/1/51

     530,113  
  329,505        

4.000% due 5/1/50 - 6/1/50

     351,055  
  14,200,000        

4.000% due 1/1/52(k)

     15,127,160  
  2,400,000        

2.000% due 12/1/51(k)

     2,402,250  
  705,249        

2.500% due 11/1/50 - 12/1/50

     726,447  
        

 

 

 
     

Total FNMA

     21,075,269  
        

 

 

 
 

GNMA - 0.0%

 
  1,574        

Government National Mortgage Association II (GNMA), 6.000% due 9/20/38

     1,716  
        

 

 

 
     

TOTAL MORTGAGE-BACKED SECURITIES

(Cost - $21,459,697)

  

 

21,404,865

 

        

 

 

 
 

U.S. GOVERNMENT OBLIGATIONS - 3.0%

 
     

U.S. Treasury Bonds:

  
  1,200,000        

1.375% due 11/15/40

     1,107,375  
  1,600,000        

1.875% due 2/15/41

     1,606,188  
     

U.S. Treasury Inflation Indexed Notes:

  
  1,112,070        

0.500% due 1/15/28

     1,251,906  
  307,038        

0.125% due 7/15/31

     344,922  
  800,000         U.S. Treasury Notes, 2.875% due 4/30/25      852,500  
        

 

 

 
     

TOTAL U.S. GOVERNMENT OBLIGATIONS

(Cost - $4,899,424)

  

 

5,162,891

 

        

 

 

 
 

ASSET-BACKED SECURITIES - 0.3%

 
 

Automobiles - 0.3%

 
  400,000        

Toyota Auto Loan Extended Notes Trust, Series 2019-1A, Class A, 2.560% due 11/25/31(c)

     414,439  
        

 

 

 
 

Student Loans - 0.0%

 
  52,031        

Massachusetts Educational Financing Authority, Series 2008-1, Class A1, 1.074% (3-Month USD-LIBOR + 0.950%) due 4/25/38(b)

     52,171  
        

 

 

 
     

TOTAL ASSET-BACKED SECURITIES

(Cost - $451,969)

     466,610  
        

 

 

 
 

MUNICIPAL BOND - 0.1%

 
 

United States - 0.1%

 
 
100,000
 
     

New Jersey Transportation Trust Fund Authority, Revenue Bonds, 4.131% due 6/15/42

(Cost - $116,695)

  

 

116,764

 

        

 

 

 
     

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $166,776,588)

     167,935,104  
        

 

 

 

 

199


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Face
Amount/Units†
          Security    Value  
 

SHORT-TERM INVESTMENTS - 14.1%

  
 

SOVEREIGN BONDS - 6.1%

  
 

Israel - 0.6%

  
        3,200,000  ILS      

Bank of Israel Bills - Makam, 0.010% due 11/2/22(l)

   $ 1,015,457  
       

 

 

 
  Japan - 5.5%          
    

Japan Treasury Discount Bills:

  
  100,000,000  JPY      

(0.117)% due 12/13/21(l)

     885,019  
  350,000,000  JPY      

(0.137)% due 1/11/22(l)

     3,097,809  
  230,000,000  JPY      

(0.117)% due 1/24/22(l)

     2,035,589  
  130,000,000  JPY      

(0.110)% due 1/31/22(l)

     1,150,527  
  250,000,000  JPY      

(0.114)% due 2/7/22(l)

     2,212,579  
       

 

 

 
    

Total Japan

     9,381,523  
       

 

 

 
    

TOTAL SOVEREIGN BONDS

(Cost - $10,442,893)

  

 

10,396,980

 

       

 

 

 
 

TIME DEPOSITS - 4.2%

  
  $      3,114,222       

ANZ National Bank - London, 0.005% due 12/1/21

     3,114,222  
    

BBH - Grand Cayman:

  
  25,806  CHF      

(1.520)% due 12/1/21

     28,110  
  348,313  EUR      

(0.790)% due 12/1/21

     395,109  
  3,620  DKK      

(0.490)% due 12/1/21

     552  
  27,243  SEK      

(0.350)% due 12/1/21

     3,021  
  30,559  AUD      

(0.120)% due 12/1/21

     21,785  
  11,809  NOK      

0.005% due 12/1/21

     1,306  
  6,277  NZD      

0.100% due 12/1/21

     4,284  
  74,470  ZAR      

3.300% due 12/1/21

     4,684  
  120,214  GBP      

Citibank - London, 0.005% due 12/1/21

     159,957  
  452  HKD      

HSBC Bank - Hong Kong, 0.005% due 12/1/21

     58  
  105,901  SGD      

HSBC Bank - Singapore, 0.005% due 12/1/21

     77,618  
    

Royal Bank of Canada - Toronto:

  
  37,553  CAD      

0.005% due 12/1/21

     29,392  
  3,097,512       

0.005% due 12/1/21

     3,097,512  
  16,808,238  JPY      

Sumitomo Mitsui Banking Corp. - Tokyo, (0.270)% due 12/1/21

     148,713  
       

 

 

 
    

TOTAL TIME DEPOSITS

(Cost - $7,086,323)

  

 

7,086,323

 

       

 

 

 
 

U.S. GOVERNMENT OBLIGATIONS - 3.8%

  
    

U.S. Treasury Bills:

  
  5,900,000       

0.043% due 3/24/22(l)(m)(n)

     5,899,213  
  600,000       

0.050% due 3/31/22(l)(o)

     599,900  
       

 

 

 
    

TOTAL U.S. GOVERNMENT OBLIGATIONS

(Cost - $6,499,113)

  

 

6,499,113

 

       

 

 

 
    

TOTAL SHORT-TERM INVESTMENTS

(Cost - $24,028,329)

  

 

23,982,416

 

       

 

 

 
    

TOTAL INVESTMENTS IN SECURITIES

(Cost - $190,804,917)

  

 

191,917,520

 

       

 

 

 
    

TOTAL INVESTMENTS IN PURCHASED OPTIONS

(Cost - $55,150)

  

 

32,051

 

       

 

 

 
    

TOTAL INVESTMENTS - 112.9%

(Cost - $190,860,067)

  

 

191,949,571

 

       

 

 

 
    

Liabilities in Excess of Other Assets - (12.9)%

     (22,006,978
       

 

 

 
    

TOTAL NET ASSETS - 100.0%

   $ 169,942,593  
       

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

 

(a)

Illiquid security.

 

(b)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

 

(c)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $55,364,681 and represents 32.6% of net assets.

 

(d)

Inverse Floating Rate Security - interest rate fluctuates with an inverse relationship to an associated interest rate. Indicated rate is the effective rate as of November 30, 2021.

 

(e)

Interest only security.

 

(f)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

 

(g)

The aggregate value of restricted securities (excluding 144A holdings) at November 30, 2021, amounts to $204,024 and represents 0.1% of net assets.

 

(h)

Payment in-kind security for which part of the income earned may be paid as additional principal.

 

(i)

Security is perpetual in nature and has no stated maturity date.

 

(j)

Security is currently in default.

 

(k)

This security is traded on a TBA basis (see Note 1).

 

(l)

Rate shown represents yield-to-maturity.

 

(m)

All or a portion of this security is held at the broker as collateral for open centrally cleared swap contracts.

 

(n)

All or a portion of this security is held at the broker as collateral for open futures contracts.

 

(o)

All or a portion of this security is held at the broker as collateral for open OTC derivative instruments.

(p)

When-issued security.

#

Security that used significant unobservable inputs to determine fair value.

At November 30, 2021, for International Fixed Income Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

  

Gross

Unrealized

(Depreciation)

 

Net

Unrealized

Appreciation

International Fixed Income Fund

   $190,860,067    $10,868,234    $(9,696,820)   $1,171,414

Abbreviations used in this schedule:

 

CLO

          Collateralized Loan Obligation

CMT

          Constant Maturity Treasury Rate

CPI

          Consumer Price Index

EURIBOR

          Euro Interbank Offered Rate

ICE

          Intercontinental Exchange

LIBOR

          London Interbank Offered Rate

OTC

          Over the Counter

PLC

          Public Limited Company

REMICS

          Real Estate Mortgage Investment Conduit

SOFR

          Secured Overnight Financing Rate

 

 

Summary of Investments by Security Type^

      

Sovereign Bonds

     40.7

Collateralized Mortgage Obligations

     17.7  

Corporate Bonds & Notes

     14.9  

Mortgage-Backed Securities

     11.2  

U.S. Government Obligations

     2.7  

Asset-Backed Securities

     0.2  

Municipal Bond

     0.1  

Purchased Options

     0.0

Short-Term Investments

     12.5  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

*

Position represents less than 0.05%.

 

200


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following Options Contracts Purchased:

Interest Rate Swaptions

 

Number of
Contracts
     Notional
Amount†
  Security Name    Counterparty      Expiration
Date
     Exercise
Rate
    Value  
  3,100,000      17,670 EUR  

OTC 10-Year Swaption, 3-Month EURIBOR, Put

     GSC        1/25/22           0.400   $ 10,393  
                  

 

 

 

Option on Futures

 

Number of
Contracts
     Notional
Amount†
  Security Name    Counterparty      Expiration
Date
     Strike Price      Value  
  200,000      19,400,000 EUR  

Franch Republic Government Bonds OAT Futures, Put(a)

     BNP        5/23/25        EUR        97.00      $ 21,658  
                   

 

 

 
    

TOTAL OPTIONS CONTRACTS PURCHASED

(Cost — $55,150)

               $ 32,051  
                   

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

(a)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

 

201


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following Options Contracts Written:

Credit Default Swaptions

 

Number of
Contracts
     Notional
Amount†
    Security Name    Counterparty      Expiration
Date
     Exercise
Rate
    Value  
  200,000      $ 216,324    

OTC Markit CDX North America High Yield Series 37 5-Year Index, Put

     BOA        1/19/22        101.000   $ 577  
  500,000        540,810    

OTC Markit CDX North America High Yield Series 37 5-Year Index, Put

     JPM        12/15/21        101.000     130  
  800,000        440,664    

OTC Markit CDX North America Investment Grade Series 37 5-Year Index, Put

     BCLY        1/19/22        0.850     543  
  900,000        448,182    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

     BNP        12/15/21        0.750     72  
  900,000        495,747    

OTC Markit CDX North America Investment Grade Series 37 5-Year Index, Put

     BOA        2/16/22        0.800     1,193  
  200,000        99,596    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

     DUB        12/15/21        0.750     16  
  700,000        385,581    

OTC Markit CDX North America Investment Grade Series 37 5-Year Index, Put

     DUB        1/19/22        0.800     603  
  500,000        248,990    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

     GSC        1/19/22        0.750     337  
  800,000        398,384    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

     GSC        12/15/21        0.800     39  
  100,000        258,394  EUR   

OTC Markit iTraxx Europe Crossover Series 35 5-Year Index, Put

     BCLY        12/15/21        3.500     146  
  200,000        559,050  EUR   

OTC Markit iTraxx Europe Crossover Series 36 5-Year Index, Put

     BCLY        1/19/22        3.750     1,241  
  200,000        559,050  EUR   

OTC Markit iTraxx Europe Crossover Series 36 5-Year Index, Put

     BCLY        2/16/22        4.000     1,444  
  300,000        838,575  EUR   

OTC Markit iTraxx Europe Crossover Series 36 5-Year Index, Put

     BCLY        3/16/22        4.250     2,644  
  1,000,000        508,750  EUR   

OTC Markit iTraxx Europe Series 35 5-Year Index, Put

     BCLY        12/15/21        0.700     328  
  300,000        167,964  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BCLY        1/19/22        0.750     410  
  300,000        167,964  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BCLY        1/19/22        0.800     324  
  600,000        335,928  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BCLY        3/16/22        0.800     1,343  
  400,000        223,952  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BCLY        3/16/22        0.900     671  
  400,000        223,952  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BCLY        3/16/22        0.950     564  
  300,000        167,964  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

     BOA        1/19/22        0.800     324  
  300,000        152,625  EUR   

OTC Markit iTraxx Europe Series 35 5-Year Index, Put

     JPM        12/15/21        0.700     98  
               

 

 

 
    

Total Credit Default Swaptions

           $ 13,047  
               

 

 

 

Currency Options

 

Number of
Contracts
     Notional
Amount†
   Security Name    Counterparty    Expiration
Date
   Strike Price      Value  
  742,000      968,016 CAD   

OTC U.S. Dollar versus Canadian Dollar, Call

   GSC    2/11/22      CAD        1.27      $ 14,827  
                    

 

 

 

Interest Rate Swaptions

 

Number of
Contracts
     Notional
Amount†
    Security Name    Counterparty      Expiration
Date
     Exercise
Rate
    Value  
  1,300,000        1,331  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Call

     BCLY        2/7/22        0.010   $ 87  
  1,400,000        1,433  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Call

     GSC        2/7/22        0.010     94  
  6,900,000        7,064  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Call

     RBS        2/7/22        0.010     462  
  1,300,000        1,331  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Put

     BCLY        2/7/22        0.010     12,781  
  1,400,000        1,433  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Put

     GSC        2/7/22        0.010     13,764  
  6,900,000        7,064  GBP   

OTC 1-Year Swaption, 3-Month GBP-LIBOR, Put

     RBS        2/7/22        0.010     67,837  
  12,300,000      $ 21,018    

OTC 1-Year Swaption, 3-Month USD-LIBOR, Call

     GSC        11/2/22        0.870     18,968  
  12,300,000        21,018    

OTC 1-Year Swaption, 3-Month USD-LIBOR, Put

     GSC        11/2/22        1.270     31,388  
  5,100,000        8,715    

OTC 3-Year Swaption, 3-Month USD-LIBOR, Put

     DUB        12/21/21        2.020     105  
  200,000        1,140  EUR   

OTC 25-Year Swaption, 3-Month EURIBOR, Put

     BNP        5/23/25        0.451     22,305  
  1,300,000        2,221    

OTC 30-Year Swaption, 3-Month USD-LIBOR, Put

     GSC        1/25/22        2.320     1,626  
               

 

 

 
    

Total Interest Rate Swaptions

           $ 169,417  
               

 

 

 
    

TOTAL OPTIONS CONTRACTS WRITTEN

(Premiums received — $171,442)

           $ 197,291  
               

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

 

202


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following Forward Sale Commitments:

 

Face
Amounts†
     Security    Value  
   Federal National Mortgage Association (FNMA):   
  $     100,000     

3.500% due 1/1/37(a)

   $ 105,414  
  2,100,000     

2.000% due 2/1/37(a)

     2,146,676  
  2,400,000     

2.000% due 12/1/51(a)

     2,402,250  
  1,000,000     

2.500% due 12/1/51(a)

     1,025,078  
  1,500,000     

3.000% due 12/1/51(a)

     1,557,598  
  600,000     

4.000% due 12/1/51(a)

     639,211  
  14,050,000     

2.000% due 1/1/52(a)

     14,032,437  
  3,700,000     

2.500% due 1/1/52(a)

     3,783,684  
  700,000     

2.500% due 2/14/52(a)(b)

     714,246  
     

 

 

 
  

TOTAL FORWARD SALE COMMITMENTS

(Proceeds — $26,374,485)

     $26,406,594  
     

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

(a)

This security is traded on a TBA basis (see Note 1).

(b)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

 

203


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
     Market
Value
     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

              

Australian Government 3-Year Bond December Futures

     54        12/21      $ 4,490,389      $ 4,411,591      $ (78,798

Euro-BTP March Futures

     115        3/22        19,501,031        19,490,572        (10,459

Euro-Buxl 30-Year Bond March Futures

     9        3/22        2,197,735        2,208,239        10,504  

Euro-OAT December Futures

     29        12/21        5,553,074        5,535,435        (17,639

U.S. Treasury 10-Year Note March Futures

     44        3/22        5,704,875        5,755,750        50,875  

U.S. Treasury Ultra Long Bond March Futures

     2        3/22        388,750        401,125        12,375  

U.S. Ultra Long Bond March Futures

     26        3/22        3,767,359        3,819,156        51,797  
              

 

 

 
                 18,655  
              

 

 

 

Contracts to Sell:

              

Australian Government 10-Year Bond December Futures

     5        12/21        500,869        496,856        4,013  

Canada Government 10-Year Bond March Futures

     11        3/22        1,212,813        1,215,326        (2,513

Euro-Bobl March Futures

     9        3/22        1,370,726        1,371,089        (363

Euro-Bund December Futures

     55        12/21        10,712,994        10,754,035        (41,041

U.S. Treasury Long Bond March Futures

     11        3/22        1,747,544        1,783,375        (35,831

United Kingdom Treasury 10-Year Gilt March Futures

     2        3/22        332,570        336,056        (3,486
              

 

 

 
                 (79,221
              

 

 

 

Net Unrealized Depreciation on Open Exchange-Traded Futures Contracts

 

            $ (60,566
           

 

 

 

At November 30, 2021, International Fixed Income Fund had deposited cash of $72,000 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

 

204


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund had open forward foreign currency contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Foreign Currency    Local Currency      In Exchange For      Counterparty    Market
Value
     Settlement
Date
   Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

                    

Australian Dollar

     285,000        USD        214,205      GSC    $ 203,176      12/2/21    $ (11,029

Canadian Dollar

     462,019        USD        361,878      JPM      361,617      12/2/21      (261

Canadian Dollar

     2,389,094        USD        1,882,659      JPM      1,869,913      12/2/21      (12,746

Canadian Dollar

     508,670        USD        398,306      UBS      398,130      12/2/21      (176

Chinese Offshore Renminbi

     383,846        USD        59,033      GSC      60,231      12/15/21      1,198  

Chinese Offshore Renminbi

     453,259        USD        69,713      SCB      71,123      12/15/21      1,410  

Chinese Offshore Renminbi

     514,858        USD        80,000      HSBC      80,518      1/21/22      518  

Chinese Offshore Renminbi

     227,823        USD        35,439      HSBC      35,629      1/21/22      190  

Chinese Offshore Renminbi

     115,861        USD        18,097      JPM      18,119      1/21/22      22  

Chinese Offshore Renminbi

     274,277        USD        42,833      JPM      42,894      1/21/22      61  

Chinese Offshore Renminbi

     163,499        USD        25,460      JPM      25,569      1/21/22      109  

Chinese Offshore Renminbi

     163,491        USD        25,458      JPM      25,568      1/21/22      110  

Chinese Offshore Renminbi

     163,977        USD        25,530      JPM      25,644      1/21/22      114  

Chinese Offshore Renminbi

     162,560        USD        25,529      JPM      25,422      1/21/22      (107

Chinese Offshore Renminbi

     408,382        USD        63,521      SCB      63,866      1/21/22      345  

Danish Krone

     530,000        USD        83,249      BOA      81,106      4/1/22      (2,143

Euro

     566,000        USD        656,959      BCLY      642,042      12/2/21      (14,917

Euro

     129,000        USD        145,542      DUB      146,331      12/2/21      789  

Euro

     276,000        USD        318,835      GSC      313,081      12/2/21      (5,754

Euro

     75,000        USD        84,771      JPM      85,077      12/2/21      306  

Euro

     78,000        USD        90,233      JPM      88,479      12/2/21      (1,754

Euro

     247,000        USD        285,235      SCB      280,184      12/2/21      (5,051

Euro

     79,000        USD        89,591      UBS      89,613      12/2/21      22  

Indonesian Rupiah

     598,427,324        USD        41,569      GSC      41,729      12/15/21      160  

Indonesian Rupiah

     595,784,952        USD        41,608      GSC      41,545      12/15/21      (63

Indonesian Rupiah

     2,302,444,952        USD        159,959      GSC      160,553      12/15/21      594  

Indonesian Rupiah

     526,265,652        USD        36,564      HSBC      36,697      12/15/21      133  

Indonesian Rupiah

     371,915,664        USD        26,028      JPM      25,934      12/15/21      (94

Indonesian Rupiah

     1,086,133,860        USD        75,615      SCB      75,738      12/15/21      123  

Korean Won

     895,274,072        USD        765,715      BOA      756,473      12/15/21      (9,242

Korean Won

     102,787,890        USD        87,000      HSBC      86,852      12/15/21      (148

Korean Won

     418,373,932        USD        359,147      SCB      353,510      12/15/21      (5,637

Mexican Peso

     6,776,000        USD        326,397      JPM      315,839      12/3/21      (10,558

Mexican Peso

     7,076,806        USD        345,584      BNP      327,149      1/12/22      (18,435

New Zealand Dollar

     361,000        USD        257,672      UBS      246,383      12/2/21      (11,289

Norwegian Krone

     17,333,813        USD        2,069,415      BCLY      1,916,736      12/2/21      (152,679

Peruvian Sol

     335,064        USD        90,592      HSBC      82,349      12/9/21      (8,243

Peruvian Sol

     335,064        USD        82,081      BNP      80,473      10/5/22      (1,608

Polish Zloty

     72,202        USD        18,844      BOA      17,478      2/18/22      (1,366

Russian Ruble

     5,852,354        USD        80,589      HSBC      79,057      12/2/21      (1,532

Russian Ruble

     9,230,684        USD        122,264      UBS      124,693      12/2/21      2,429  

Russian Ruble

     3,583,665        USD        48,047      BOA      48,180      12/20/21      133  

Russian Ruble

     3,600,194        USD        48,268      BOA      48,402      12/20/21      134  

Russian Ruble

     6,745,774        USD        90,844      GSC      90,693      12/20/21      (151

Russian Ruble

     4,782,367        USD        64,102      GSC      64,296      12/20/21      194  

Russian Ruble

     1,465,000        USD        20,417      JPM      19,695      12/20/21      (722

Russian Ruble

     2,027,489        USD        27,681      BNP      27,061      1/24/22      (620

Russian Ruble

     2,100,708        USD        28,668      GSC      28,039      1/24/22      (629

 

205


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Foreign Currency    Local Currency      In Exchange For      Counterparty      Market
Value
     Settlement
Date
     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy: (continued)

                    

Russian Ruble

     4,184,757        USD        56,979        GSC      $ 55,854        1/24/22      $ (1,125

Russian Ruble

     3,236,204        USD        44,836        GSC        43,194        1/24/22        (1,642

Russian Ruble

     3,383,114        USD        46,829        GSC        45,154        1/24/22        (1,675

Russian Ruble

     1,461,499        USD        20,217        GSC        19,507        1/24/22        (710

Russian Ruble

     2,060,913        USD        28,358        GSC        27,507        1/24/22        (851

Russian Ruble

     3,303,562        USD        45,504        UBS        44,093        1/24/22        (1,411

Russian Ruble

     5,442,185        USD        75,090        HSBC        72,293        2/18/22        (2,797

Singapore Dollar

     305,000        USD        224,717        GSC        223,531        12/15/21        (1,186

Swiss Franc

     491,000        USD        539,361        BOA        534,829        12/2/21        (4,532
                    

 

 

 
                       (283,789
                    

 

 

 

Contracts to Sell:

                    

Australian Dollar

     52,000        USD        39,198        GSC        37,071        12/2/21        2,127  

Australian Dollar

     640,000        USD        477,592        GSC        456,256        12/2/21        21,336  

Australian Dollar

     378,000        USD        281,290        GSC        269,476        12/2/21        11,814  

British Pound

     120,000        USD        164,112        JPM        159,672        12/2/21        4,440  

British Pound

     11,718,189        USD        16,062,916        SCB        15,592,215        12/2/21        470,701  

British Pound

     11,838,189        USD        15,675,385        BNP        15,765,355        1/5/22        (89,970

Canadian Dollar

     152,000        USD        118,489        BNP        118,968        12/2/21        (479

Canadian Dollar

     2,689,853        USD        2,174,422        BOA        2,105,313        12/2/21        69,109  

Canadian Dollar

     164,000        USD        130,949        BOA        128,361        12/2/21        2,588  

Canadian Dollar

     167,000        USD        131,816        BOA        130,709        12/2/21        1,107  

Canadian Dollar

     1,330,290        USD        1,071,222        JPM        1,041,200        12/2/21        30,022  

Canadian Dollar

     642,000        USD        517,085        JPM        502,485        12/2/21        14,600  

Canadian Dollar

     111,000        USD        86,872        HSBC        86,920        1/7/22        (48

Canadian Dollar

     2,389,094        USD        1,883,512        JPM        1,870,816        1/7/22        12,696  

Canadian Dollar

     461,830        USD        361,878        JPM        361,643        1/7/22        235  

Canadian Dollar

     224,000        USD        175,782        UBS        175,407        1/7/22        375  

Canadian Dollar

     508,463        USD        398,306        UBS        398,160        1/7/22        146  

Canadian Dollar

     66,512        USD        55,000        GSC        52,081        2/14/22        2,919  

Canadian Dollar

     106,088        USD        88,000        GSC        83,070        2/14/22        4,930  

Chinese Onshore Renminbi

     2,003,186        USD        307,780        SCB        314,397        12/15/21        (6,617

Chinese Onshore Renminbi

     218,090        USD        33,860        BOA        34,102        1/21/22        (242

Chinese Onshore Renminbi

     804,331        USD        124,857        JPM        125,768        1/21/22        (911

Danish Krone

     1,440,000        USD        222,714        BOA        220,364        4/1/22        2,350  

Danish Krone

     16,062,450        USD        2,537,111        BOA        2,458,047        4/1/22        79,064  

Danish Krone

     23,335,000        USD        3,644,910        GSC        3,570,971        4/1/22        73,939  

Danish Krone

     1,335,000        USD        208,279        HSBC        204,296        4/1/22        3,983  

Danish Krone

     1,925,000        USD        299,933        HSBC        294,584        4/1/22        5,349  

Euro

     230,000        USD        266,334        BNP        260,900        12/2/21        5,434  

Euro

     892,000        USD        1,009,156        GSC        1,011,840        12/2/21        (2,684

Euro

     28,734,764        USD        33,272,456        SCB        32,595,284        12/2/21        677,172  

Euro

     399,000        USD        453,599        SCB        452,606        12/2/21        993  

Euro

     28,805,764        USD        32,471,696        SCB        32,725,231        1/4/22        (253,535

Indonesian Rupiah

     924,128,778        USD        64,979        GSC        64,441        12/15/21        538  

Indonesian Rupiah

     4,545,764,616        USD        319,494        GSC        316,983        12/15/21        2,511  

Israeli New Shekel

     1,583,100        USD        483,198        GSC        503,587        1/31/22        (20,389

Israeli New Shekel

     1,583,025        USD        488,860        GSC        503,563        1/31/22        (14,703

Israeli New Shekel

     2,046,953        USD        660,137        HSBC        651,263        2/9/22        8,874  

Israeli New Shekel

     2,599,740        USD        842,035        GSC        833,127        11/2/22        8,908  

Israeli New Shekel

     300,000        USD        96,923        GSC        96,140        11/2/22        783  

Israeli New Shekel

     300,000        USD        96,844        GSC        96,139        11/2/22        705  

Japanese Yen

     3,176,015,991        USD        27,859,085        BCLY        28,100,119        12/2/21        (241,034

Japanese Yen

     100,000,000        USD        912,185        HSBC        884,898        12/13/21        27,287  

Japanese Yen

     3,176,015,991        USD        27,992,745        BCLY        28,122,333        1/5/22        (129,588

Japanese Yen

     350,000,000        USD        3,148,940        BOA        3,099,259        1/11/22        49,681  

Japanese Yen

     230,000,000        USD        2,022,567        HSBC        2,036,872        1/24/22        (14,305

Japanese Yen

     130,000,000        USD        1,142,456        HSBC        1,151,341        1/31/22        (8,885

Japanese Yen

     250,000,000        USD        2,205,120        HSBC        2,214,249        2/7/22        (9,129

Korean Won

     728,281,465        USD        617,816        BOA        615,370        12/15/21        2,446  

Korean Won

     133,110,020        USD        111,941        HSBC        112,473        12/15/21        (532

 

206


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Foreign Currency    Local
Currency
     In Exchange For      Counterparty      Market
Value
     Settlement
Date
     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Sell: (continued)

                    

Korean Won

     294,704,692        USD        247,847        HSBC      $ 249,015        12/15/21      $ (1,168

Korean Won

     264,095,671        USD        221,953        SOG        223,151        12/15/21        (1,198

Malaysian Ringgit

     2,615,253        USD        623,526        BOA        621,845        12/22/21        1,681  

Malaysian Ringgit

     316,690        USD        76,018        HSBC        75,302        12/22/21        716  

Malaysian Ringgit

     269,321        USD        63,689        HSBC        64,038        12/22/21        (349

Malaysian Ringgit

     4,399,804        USD        1,052,660        BOA        1,042,599        3/23/22        10,061  

Mexican Peso

     6,382,000        USD        314,382        BNP        297,474        12/3/21        16,908  

Mexican Peso

     394,000        USD        19,232        GSC        18,365        12/3/21        867  

Mexican Peso

     1,082,000        USD        52,104        BOA        49,445        3/18/22        2,659  

Mexican Peso

     6,776,000        USD        320,768        JPM        309,649        3/18/22        11,119  

New Zealand Dollar

     1,792,000        USD        1,288,102        BCLY        1,223,041        12/2/21        65,061  

New Zealand Dollar

     111,000        USD        75,633        SCB        75,729        1/7/22        (96

New Zealand Dollar

     1,431,000        USD        975,355        UBS        976,290        1/7/22        (935

Norwegian Krone

     6,765,000        USD        800,163        BNP        748,059        12/2/21        52,104  

Norwegian Krone

     3,715,000        USD        437,064        BNP        410,797        12/2/21        26,267  

Peruvian Sol

     335,064        USD        83,976        BNP        82,349        12/9/21        1,627  

Peruvian Sol

     3,569,136        USD        866,266        BNP        875,199        1/18/22        (8,933

Peruvian Sol

     1,058,106        USD        264,593        BNP        259,462        1/18/22        5,131  

Peruvian Sol

     118,757        USD        28,760        GSC        29,110        1/24/22        (350

Peruvian Sol

     432,956        USD        107,125        BOA        104,714        7/26/22        2,411  

Polish Zloty

     163,849        USD        40,348        DUB        39,663        2/18/22        685  

Russian Ruble

     6,820,050        USD        95,000        GSC        92,129        12/2/21        2,871  

Russian Ruble

     8,262,750        USD        115,000        UBS        111,617        12/2/21        3,383  

Russian Ruble

     144,267        USD        2,000        BCLY        1,948        12/3/21        52  

Russian Ruble

     27,435,810        USD        381,000        BNP        370,540        12/3/21        10,460  

Russian Ruble

     216,649        USD        3,000        HSBC        2,926        12/3/21        74  

Russian Ruble

     10,184,430        USD        141,000        JPM        137,548        12/3/21        3,452  

Russian Ruble

     9,264,718        USD        122,264        UBS        124,558        12/20/21        (2,294

Singapore Dollar

     446,000        USD        327,780        BCLY        326,867        12/15/21        913  

Singapore Dollar

     624,000        USD        459,947        GSC        457,321        12/15/21        2,626  

Singapore Dollar

     84,000        USD        61,998        HSBC        61,562        12/15/21        436  

Singapore Dollar

     117,000        USD        86,099        RBS        85,747        12/15/21        352  

Singapore Dollar

     308,000        USD        228,850        SCB        225,729        12/15/21        3,121  

Singapore Dollar

     352,000        USD        261,912        SOG        257,976        12/15/21        3,936  

Singapore Dollar

     84,000        USD        62,502        UBS        61,562        12/15/21        940  

Singapore Dollar

     105,000        USD        77,586        UBS        76,953        12/15/21        633  

Swiss Franc

     318,000        USD        348,509        BOA        346,386        12/2/21        2,123  

Swiss Franc

     132,000        USD        141,441        GSC        143,783        12/2/21        (2,342

Swiss Franc

     66,000        USD        72,332        HSBC        71,892        12/2/21        440  
                    

 

 

 
                       1,021,555  
                    

 

 

 

Net Unrealized Appreciation on Open Forward Foreign Currency Contracts

 

                  $ 737,766  
                 

 

 

 

 

207


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following OTC Total Return Swap Contract:

 

Fund Pay
Floating Rate Index
  Fund Receive
Floating Rate Index
  Financing
Rate
  Payment
Frequency
  Maturity
Date
    Counterparty   Notional
Amount
    Market
Value
    Upfront
Payment
Paid
    Unrealized
Depreciation
 

iBoxx Investment Grade Index

 

3-Month USD-LIBOR

  3.355%   PAM*     12/20/21     GSC   USD     8,500,000     $ (358,891   $ 4,564     $ (363,455
               

 

 

   

 

 

   

 

 

 

 

*

PAM— paid at maturity.

 

208


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following OTC Interest Rate Swap Contracts:

 

Receive

Floating Rate

   Floating Rate Index    Fixed
Rate
  Maturity
Date
   Counterparty    Notional
Amount
   Market
Value
  Upfront
Payment
Paid/
(Received)
  Unrealized
Appreciation/
(Depreciation)

Receive

       3-Month MYR-KLIBOR        3.500 %       3/16/32        BNP      MYR 300,000      $ (849 )     $ (891 )     $ 42

Receive

       3-Month MYR-KLIBOR        3.250 %       3/16/32        BOA      MYR 4,800,000        10,691       15,733       (5,042 )

Receive

       3-Month MYR-KLIBOR        3.500 %       3/16/32        JPM      MYR 600,000        (1,698 )       (1,269 )       (429 )

Receive

       3-Month MYR-KLIBOR        3.500 %       3/16/32        SCB      MYR 400,000        (1,133 )       (1,240 )       107
                            

 

 

     

 

 

     

 

 

 
                             $ 7,011     $   12,333     $   (5,322 )
                            

 

 

     

 

 

     

 

 

 

 

209


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following Centrally Cleared Interest Rate Swap Contracts:

 

Pay/Receive
Floating Rate
   Floating Rate Index    Fixed
Rate
    Maturity
Date
     Payment
Frequency
   Notional
Amount
     Market
Value
     Upfront
Payment
Paid/
(Received)
     Unrealized
Appreciation/
(Depreciation)
 

Receive

   China 7-Day Reverse Repo Index      2.500     9/15/26      3-Month    CNY      15,400,000      $ (6,297    $ 14,710      $ (21,007

Receive

   China 7-Day Reverse Repo Index      2.750     9/15/26      3-Month    CNY      13,500,000        (30,339      (10,868      (19,471

Pay

   Secured Overnight Financing Rate      1.250     12/15/28      12-Month    USD      3,000,000        19,931        11,604        8,327  

Pay

   Secured Overnight Financing Rate      1.500     12/15/31      12-Month    USD      700,000        14,620        7,938        6,682  

Receive

   Secured Overnight Financing Rate      1.000     12/15/26      12-Month    USD      1,000,000        2,168        3,719        (1,551

Pay

   Singapore Overnight Index Average      1.250     9/15/31      6-Month    SGD      200,000        (2,365      (5,392      3,027  

Receive

   Singapore Overnight Index Average      1.250     9/15/31      6-Month    SGD      1,200,000        14,196        (10,118      24,314  

Receive

   Singapore Overnight Index Average      1.500     12/15/31      6-Month    SGD      500,000        (1,260      652        (1,912

Pay

   Sterling Overnight Index Average      0.250     3/16/24      12-Month    GBP      1,100,000        (23,112      (5,513      (17,599

Pay

   Sterling Overnight Index Average      0.500     3/16/27      12-Month    GBP      900,000        (28,097      (6,005      (22,092

Pay

   Sterling Overnight Index Average      0.750     3/16/32      12-Month    GBP      1,000,000        (11,260      2,177        (13,437

Receive

   Sterling Overnight Index Average      0.750     3/16/52      12-Month    GBP      300,000        (12,597      (5,271      (7,326

Receive

   Sterling Overnight Index Average      0.010     2/7/23      PAM*    GBP      4,800,000        47,313        21,896        25,417  

Pay

   Swiss Average Rate Overnight Index      (0.500 )%      9/15/26      12-Month    CHF      2,400,000        (19,162      (3,087      (16,075

Pay

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      56,100,000        (88,265      (67,972      (20,293

Pay

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      1,200,000        (2,415      (2,040      (375

Pay

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      23,700,000        (47,256      (39,810      (7,446

Pay

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      11,300,000        (19,456      (15,565      (3,891

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      9,600,000        25,645        23,337        2,308  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      3,900,000        10,586        9,667        919  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      5,100,000        13,856        12,663        1,193  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      4,200,000        11,193        10,176        1,017  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      2,800,000        7,484        6,811        673  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      4,000,000        10,493        9,508        985  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      8,300,000        10,404        (7,103      17,507  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      28,696,000        4,989        —          4,989  

Receive

  

Zero Coupon

     0.000     1/3/22      PAM*    BRL      27,500,000        4,965        —          4,965  

Pay

  

3-Month Canadian Bank Bill

     1.220     3/3/25      6-Month    CAD      2,000,000        (25,309      (380      (24,929

Pay

  

3-Month Canadian Bank Bill

     1.250     6/16/31      6-Month    CAD      500,000        (24,259      (18,758      (5,501

Pay

  

3-Month Canadian Bank Bill

     1.270     3/3/22      6-Month    CAD      1,000,000        3,116        3,186        (70

Pay

  

3-Month Canadian Bank Bill

     1.500     6/17/22      6-Month    CAD      300,000        2,207        2,196        11  

Pay

  

3-Month Canadian Bank Bill

     1.500     6/17/30      6-Month    CAD      2,200,000        (57,188      (27,393      (29,795

Pay

  

3-Month Canadian Bank Bill

     1.585     7/19/31      6-Month    CAD      200,000        (4,972      (5,979      1,007  

Pay

  

3-Month Canadian Bank Bill

     1.713     10/2/29      6-Month    CAD      700,000        (8,525      2,504        (11,029

Pay

  

3-Month Canadian Bank Bill

     1.900     12/18/29      6-Month    CAD      800,000        1,374        12,573        (11,199

Pay

  

3-Month Canadian Bank Bill

     2.000     11/14/23      6-Month    CAD      2,000,000        (37      43        (80

Pay

  

3-Month Canadian Bank Bill

     2.060     10/28/23      6-Month    CAD      4,200,000        2,712        246        2,466  

Receive

  

3-Month FRA New Zealand Bank Bill

     0.500     12/16/25      6-Month    NZD      100,000        5,336        2,661        2,675  

Pay

  

3-Month FRA New Zealand Bank Bill

     0.528     3/17/24      6-Month    NZD      100,000        (2,637      (1,069      (1,568

Pay

  

3-Month FRA New Zealand Bank Bill

     3.000     11/1/23      6-Month    NZD      3,900,000        8,268        1,323        6,945  

Pay

  

3-Month FRA New Zealand Bank Bill

     3.000     12/15/23      6-Month    NZD      3,800,000        5,496        (1,173      6,669  

Pay

  

3-Month SEK-STIBOR-SIDE

     0.500     6/19/24      12-Month    SEK      4,800,000        3,858        6,261        (2,403

Receive

  

3-Month USD-LIBOR

     1.250     12/15/26      6-Month    USD      13,100,000        33,535        (152,675      186,210  

Receive

  

3-Month USD-LIBOR

     1.250     12/15/26      6-Month    USD      1,000,000        2,024        (11,805      13,829  

Receive

  

3-Month USD-LIBOR

     2.000     1/15/30      6-Month    USD      2,600,000        (129,576      (184,495      54,919  

Pay

  

3-Month USD-LIBOR

     0.400     1/15/28      3-Month    USD      2,400,000        (133,518      (99,178      (34,340

Pay

  

3-Month USD-LIBOR

     0.500     6/16/26      6-Month    USD      4,350,000        (136,565      (81,598      (54,967

Pay

  

3-Month USD-LIBOR

     0.500     6/16/28      6-Month    USD      500,000        (27,515      (21,371      (6,144

Receive

  

3-Month USD-LIBOR

     0.750     6/16/31      6-Month    USD      5,800,000        389,607        343,200        46,407  

Receive

  

3-Month USD-LIBOR

     0.750     6/16/31      6-Month    USD      200,000        12,902        11,329        1,573  

Pay

  

3-Month USD-LIBOR

     1.000     12/16/25      6-Month    USD      2,000,000        (7,181      17,425        (24,606

Pay

  

3-Month USD-LIBOR

     1.000     12/16/25      6-Month    USD      1,000,000        (3,797      8,175        (11,972

Receive

  

3-Month USD-LIBOR

     0.400     3/30/26      6-Month    USD      2,750,000        95,127        56,962        38,165  

Receive

  

3-Month USD-LIBOR

     0.250     3/30/23      6-Month    USD      9,400,000        31,526        953        30,573  

Receive

  

3-Month USD-LIBOR

     1.298     8/25/24      6-Month    USD      1,400,000        (15,929      (30,011      14,082  

Receive

  

3-Month USD-LIBOR

     1.305     8/21/23      6-Month    USD      2,000,000        (28,512      (40,806      12,294  

Receive

  

3-Month USD-LIBOR

     2.250     6/20/28      6-Month    USD      900,000        (58,273      (68,924      10,651  

Receive

  

3-Month USD-LIBOR

     1.000     12/16/30      6-Month    USD      700,000        27,838        21,641        6,197  

Receive

  

3-Month USD-LIBOR

     1.508     7/15/31      6-Month    USD      700,000        (2,503      (8,638      6,135  

Receive

  

3-Month USD-LIBOR

     1.400     7/19/31      6-Month    USD      400,000        2,725        (3,394      6,119  

Receive

  

3-Month USD-LIBOR

     1.750     12/15/31      6-Month    USD      200,000        (4,361      (7,578      3,217  

Receive

  

3-Month USD-LIBOR

     1.448     8/10/31      6-Month    USD      600,000        1,964        —          1,964  

Pay

  

3-Month USD-LIBOR

     1.460     2/2/51      6-Month    USD      400,000        (17,769      (27,686      9,917  

Receive

  

3-Month USD-LIBOR

     1.665     10/27/51      6-Month    USD      100,000        (276      2,393        (2,669

Receive

  

3-Month USD-LIBOR

     2.500     12/18/21      PAM*    USD      2,000,000        (24,779      (20,130      (4,649

Receive

  

3-Month USD-LIBOR

     1.250     12/16/50      6-Month    USD      200,000        17,391        22,617        (5,226

Pay

  

3-Month USD-LIBOR

     1.750     12/15/31      3-Month    USD      3,200,000        60,676        94,365        (33,689

Receive

  

3-Month USD-LIBOR

     2.090     12/23/51      6-Month    USD      200,000        (22,439      (16,956      (5,483

Receive

  

3-Month USD-LIBOR

     1.935     6/22/51      6-Month    USD      200,000        (14,915      (9,318      (5,597

Receive

  

3-Month USD-LIBOR

     1.250     6/9/41      6-Month    USD      1,200,000        78,300        87,123        (8,823

Receive

  

3-Month USD-LIBOR

     1.968     6/23/51      6-Month    USD      400,000        (33,077      (21,868      (11,209

Pay

  

3-Month USD-LIBOR

     2.000     12/15/51      6-Month    USD      1,700,000        141,233        131,623        9,610  

Pay

  

3-Month USD-LIBOR

     2.000     12/15/51      6-Month    USD      200,000        18,068        17,140        928  

Receive

  

3-Month USD-LIBOR

     1.150     3/30/51      6-Month    USD      500,000        57,555        69,191        (11,636

Receive

  

3-Month USD-LIBOR

     1.250     6/16/51      6-Month    USD      450,000        39,383        51,553        (12,170

Pay

  

3-Month USD-LIBOR

     1.500     12/15/28      6-Month    USD      3,100,000        13,022        55,638        (42,616

 

210


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Pay/Receive
Floating Rate
   Floating Rate Index    Fixed
Rate
    Maturity
Date
     Payment
Frequency
   Notional
Amount
     Market
Value
     Upfront
Payment
Paid/
(Received)
     Unrealized
Appreciation/
(Depreciation)
 

Pay

   6-Month EURIBOR      (0.250 )%      3/16/27      12-Month    EUR      19,100,000      $ (193,281    $ (35,343    $ (157,938

Receive

   6-Month EURIBOR      0.054     5/27/50      12-Month    EUR      50,000        3,926        6,520        (2,594

Receive

   6-Month EURIBOR      0.064     11/17/52      12-Month    EUR      100,000        6,691        11,996        (5,305

Receive

   6-Month EURIBOR      0.190     1/27/32      12-Month    EUR      300,000        (1,096      (3,794      2,698  

Receive

   6-Month EURIBOR      0.205     1/27/32      12-Month    EUR      300,000        (1,612      (4,335      2,723  

Pay

   6-Month EURIBOR      0.250     3/16/32      12-Month    EUR      6,700,000        58,361        60,824        (2,463

Pay

   6-Month EURIBOR      0.500     3/16/24      12-Month    EUR      1,900,000        (8,765      (4,242      (4,523

Receive

   6-Month EURIBOR      0.500     3/16/52      12-Month    EUR      2,550,000        (209,196      (120,222      (88,974

Receive

   6-Month EURIBOR      0.500     9/21/52      12-Month    EUR      50,000        (3,977      (1,173      (2,804

Pay

   6-Month JPY-LIBOR      0.000     3/17/31      6-Month    JPY      580,000,000        (40,997      (21,270      (19,727

Pay

   6-Month JPY-LIBOR      0.200     6/19/29      6-Month    JPY      410,000,000        44,019        56,873        (12,854

Receive

   6-Month JPY-LIBOR      0.400     6/19/39      6-Month    JPY      80,000,000        (15,085      (20,967      5,882  

Receive

   6-Month JPY-LIBOR      0.500     6/19/49      6-Month    JPY      30,000,000        (1,351      (5,254      3,903  

Receive

   6-Month Norway Interbank Offer Rate      1.500     3/10/26      12-Month    NOK      4,800,000        (2,450      (3,741      1,291  

Pay

   6-Month Norway Interbank Offer Rate      1.900     3/10/31      12-Month    NOK      2,500,000        7,754        8,579        (825

Pay

   28-Day MXN TIIE Banxico      4.870     7/7/25      28-Day    MXN      31,300,000        (111,537      (90,197      (21,340

Pay

   Bank of Japan Uncollateralised Overnight Call Rate      0.050     12/15/31      12-Month    JPY      110,000,000        207        577        (370

Receive

   Bank of Japan Uncollateralised Overnight Call Rate      0.400     12/15/51      12-Month    JPY      10,000,000        1,776        (1,877      3,653  
                   

 

 

    

 

 

    

 

 

 
                    $ (289,320    $ (49,794    $ (239,526
                   

 

 

    

 

 

    

 

 

 

 

*

PAM— paid at maturity.

 

Fund Pay

Floating Rate Index

  

Fund Receive

Floating Rate Index

   Maturity
Date
     Notional
Amount
     Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

1-Month USD-LIBOR +  0.070%

   3-Month USD-LIBOR      6/12/22        USD        1,400,000      $ (201   $ (595   $ 394  

1-Month USD-LIBOR + 0.070%

   3-Month USD-LIBOR      3/7/24        USD        1,100,000        576       18       558  

1-Month USD-LIBOR + 0.073%

   3-Month USD-LIBOR      4/27/23        USD        4,600,000        238       (1,135     1,373  

1-Month USD-LIBOR + 0.084%

   3-Month USD-LIBOR      4/26/22        USD        6,700,000        (1,407     (3,646     2,239  

1-Month USD-LIBOR + 0.084%

   3-Month USD-LIBOR      6/12/22        USD        1,900,000        (470     (812     342  

1-Month USD-LIBOR + 0.085%

   3-Month USD-LIBOR      6/19/22        USD        7,400,000        (1,788     (4,010     2,222  

1-Month USD-LIBOR + 0.086%

   3-Month USD-LIBOR      4/12/23        USD        3,100,000        (976     (2,445     1,469  

1-Month USD-LIBOR + 0.091%

   3-Month USD-LIBOR      3/18/22        USD        32,200,000        (6,945     (15,414     8,469  

1-Month USD-LIBOR + 0.102%

   3-Month USD-LIBOR      10/4/24        USD        2,600,000        744       115       629  

1-Month USD-LIBOR + 0.105%

   3-Month USD-LIBOR      9/27/24        USD        1,700,000        368       (76     444  
              

 

 

   

 

 

   

 

 

 
               $ (9,861   $ (28,000   $ 18,139  
              

 

 

   

 

 

   

 

 

 

 

211


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following Centrally Cleared Inflation Rate Swap Contracts:

 

Pay/Receive 
Floating Rate
  Floating Rate Index   Fixed
Rate
    Maturity
Date
    Notional
Amount
    Market
Value
    Premiums
Paid/
(Received)
    Unrealized
Appreciation/
(Depreciation)
 

Pay

  10-Year GBP Inflation Linked     3.740     3/15/31       GBP       300,000     $ (49,144   $ (2,629   $ (46,515

Pay

  10-Year GBP Inflation Linked     3.700     4/15/31       GBP       450,000       (79,210     (9,516     (69,694

Pay

  20-Year GBP Inflation Linked     3.217     11/15/40       GBP       480,000       (177,985     (83,905     (94,080

Pay

  20-Year GBP Inflation Linked     3.272     11/15/40       GBP       100,000       (34,743     (15,078     (19,665

Pay

  20-Year GBP Inflation Linked     3.272     11/15/40       GBP       140,000       (48,610     (21,078     (27,532

Receive

  10-Year GBP Inflation Linked     3.396     11/15/30       GBP       280,000       60,827       18,265       42,562  

Receive

  10-Year GBP Inflation Linked     3.445     11/15/30       GBP       140,000       29,284       7,941       21,343  

Receive

  30-Year GBP Inflation Linked     2.999     11/15/50       GBP       200,000       104,789       69,058       35,731  

Receive

  30-Year GBP Inflation Linked     3.050     11/15/50       GBP       100,000       48,390       30,491       17,899  
           

 

 

   

 

 

   

 

 

 
            $ (146,402   $ (6,451   $ (139,951
           

 

 

   

 

 

   

 

 

 

 

212


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following OTC and Centrally Cleared Credit Default Swap Contracts:

OTC Credit Default Swaps on Sovereign Issues - Buy Protection (1)

 

Reference Obligation & Rating†    Fixed Deal
(Pay) Rate
    Maturity
Date
     Payment
Frequency
     Counterparty      Implied Credit
Spread at
11/30/21 (2)
   

Notional

Amount (3)

     Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

China Government International Bonds, A+

     (1.000)%       6/20/23        3-Month        BCLY        0.174%       USD    200,000      $ (2,986   $ (3,815   $ 829  

China Government International Bonds, A+

     (1.000)%       6/20/23        3-Month        GSC        0.174%       USD    500,000        (7,464     (9,654     2,190  

Japan Government International Bonds, A+

     (1.000)%       6/20/22        3-Month        BCLY        0.030%       USD    400,000        (2,974     (14,121     11,147  

Japan Government International Bonds, A+

     (1.000)%       6/20/22        3-Month        BNP        0.030%       USD    700,000        (5,204     (25,056     19,852  

Japan Government International Bonds, A+

     (1.000)%       6/20/22        3-Month        BOA        0.030%       USD    200,000        (1,487     (6,914     5,427  

Japan Government International Bonds, A+

     (1.000)%       6/20/22        3-Month        GSC        0.030%       USD    500,000        (3,717     (17,653     13,936  

Japan Government International Bonds, A+

     (1.000)%       6/20/22        3-Month        HSBC        0.030%       USD    300,000        (2,230     (10,159     7,929  

South Korea International Bonds, AA

     (1.000)%       6/20/23        3-Month        BCLY        0.100%       USD    600,000        (9,659     (15,056     5,397  

South Korea International Bonds, AA

     (1.000)%       6/20/23        3-Month        BNP        0.100%       USD    400,000        (6,440     (9,884     3,444  

South Korea International Bonds, AA

     (1.000)%       6/20/23        3-Month        HSBC        0.100%       USD    200,000        (3,220     (4,989     1,769  

South Korea International Bonds, AA

     (1.000)%       6/20/23        3-Month        JPM        0.100%       USD    400,000        (6,439     (9,580     3,141  
                  

 

 

   

 

 

   

 

 

 
                   $ (51,820   $ (126,881   $ 75,061  
                  

 

 

   

 

 

   

 

 

 

 

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

OTC Credit Default Swaps on Sovereign Issues - Sell Protection (4)

 

Reference Obligation & Rating†    Fixed Deal
Receive Rate
  Maturity
Date
   Payment
Frequency
     Counterparty      Implied Credit
Spread at
11/30/21 (2)
    Notional
Amount (3)
     Market
Value
     Upfront
Premiums
Paid/
(Received)
   

Unrealized
Appreciation/

(Depreciation)

 

Abu Dhabi Government International Bonds, AA

   1.000%   12/20/26      3-Month        GSC        0.463%       USD        300,000      $ 8,558      $ 8,799     $ (241

Republic Of Italy Government International Bonds, BBB

   1.000%   6/20/25      3-Month        BCLY        0.668%       USD        300,000        4,083        (7,348     11,431  

Saudi Government International Bonds, A-

   1.000%   12/20/26      3-Month        GSC        0.548%       USD        600,000        14,544        14,305       239  
                     

 

 

    

 

 

   

 

 

 
                      $ 27,185      $ 15,756     $ 11,429  
                     

 

 

    

 

 

   

 

 

 

 

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

 

213


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Centrally Cleared - Credit Default Swaps on Indexes - Buy Protection (1)

 

Reference Obligation & Rating   Fixed Deal
(Pay) Rate
    Maturity
Date
    Payment
Frequency
    Implied Credit
Spread at
11/30/21 (2)
    Notional
Amount (3)
    Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

Markit CDX North America High Yield Series 35 5-Year Index, NR

    (5.000)%       12/20/25       3-Month       2.987%       USD       200,000     $ (16,964   $ (19,498   $ 2,534  

Markit CDX North America High Yield Series 36 5-Year Index, NR

    (5.000)%       6/20/26       3-Month       3.134%       USD       300,000       (25,957     (29,462     3,505  

Markit iTraxx Europe Series 31 10-Year Index, NR

    (1.000)%       6/20/29       3-Month       0.810%       EUR       9,600,000       (174,629     (218,575     43,946  

Markit CDX North America Investment Grade Series 37 10-Year Index, NR

    (1.000)%       12/20/31       3-Month       0.982%       USD       500,000       (1,803     (2,647     844  
             

 

 

   

 

 

   

 

 

 
              $ (219,353   $ (270,182   $ 50,829  
             

 

 

   

 

 

   

 

 

 

Centrally Cleared - Credit Default Swaps on Corporate Issues and Indexes - Sell Protection (4)

 

Reference Obligation & Rating†   Fixed Deal
Receive Rate
    Maturity
Date
    Payment
Frequency
    Implied Credit
Spread at
11/30/21 (2)
    Notional
Amount (3)
    Market
Value
    Upfront
Premiums
Paid/
(Received)
    Unrealized
Appreciation/
(Depreciation)
 

Ryder System Inc, BBB+

    1.000%       6/20/22       3-Month       0.204%       USD       100,000     $ 645     $ 725     $ (80

Sheel International Finance BV, AA-

    1.000%       12/20/26       3-Month       0.399%       EUR       200,000       7,437       6,963       474  

Markit CDX North America Investment Grade Series 37 5-Year Index, NR

    1.000%       12/20/26       3-Month       0.582%       USD       1,900,000       42,656       46,626       (3,970

Jaguar Land Rover Automotive PLC, B+

    5.000%       6/20/26       3-Month       3.652%       EUR       200,000       14,983       12,873       2,110  

Rolls-Royce PLC, BB-

    1.000%       6/20/26       3-Month       2.043%       EUR       200,000       (9,925     (15,002     5,077  
             

 

 

   

 

 

   

 

 

 
              $ 55,796     $ 52,185     $ 3,611  
             

 

 

   

 

 

   

 

 

 

 

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

 

214


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

At November 30, 2021, International Fixed Income Fund held the following OTC Cross-Currency Swap Contracts:

 

Counterparty Pay   Counterparty Receive   Maturity
Date (5)
    Counterparty   Notional
Amount of
Currency
Received (6)
    Notional
Amount of
Currency
Delivered (6)
    Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

Floating rate equal to 3-Month USD-LIBOR based on the notional amount of currency received

 

Floating rate equal to 3-Month AUD-LIBOR plus 0.423% based on the notional amount of currency delivered

    8/1/2029     GSC   USD 1,449,000     AUD     2,100,000     $ 47,933     $ (3,920   $ 51,853  
             

 

 

   

 

 

   

 

 

 

 

(1)

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

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of an emerging country as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as ‘‘Defaulted’’ indicates a credit event has occurred for the referenced entity or obligation.

(3)

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

(4)

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

(5)

At the maturity date, the notional amount of the currency received will be exchanged back for the notional amount of the currency delivered.

(6)

The notional amounts to be received or delivered may be determined and exchanged at a future date, based on the effective date of the cross-currency swap.

At November 30, 2021, International Fixed Income Fund deposited cash collateral with brokers in the amount of $647,000 for open centrally cleared swap contracts.

At November 30, 2021, International Fixed Income Fund had cash collateral from brokers in the amount of $1,200,000 for open OTC swap contracts.

 

215


Schedules of Investments

(unaudited) (continued)

 

International Fixed Income Fund

 

Currency Abbreviations used in this schedule:
ARS       Argentine Peso
AUD       Australian Dollar
BRL       Brazilian Real
CAD       Canadian Dollar
CHF       Swiss Franc
CNY       China Yuan Renminbi
DKK       Danish Krone
EUR       Euro
GBP       British Pound
HKD       Hong Kong Dollar
ILS       Israeli New Shekel
JPY       Japanese Yen
MXN       Mexican Peso
MYR       Malaysian Ringgit
NOK       Norwegian Krone
NZD       New Zealand Dollar
PEN       Peruvian Sol
SEK       Swedish Krona
SGD       Singapore Dollar
USD       United States Dollar
ZAR       South African Rand
Counterparty Abbreviations used in this schedule:
BCLY       Barclays Bank PLC
BNP       BNP Paribas SA
BOA       Bank of America
DUB       Deutsche Bank AG
GSC       Goldman Sachs & Co.
HSBC       HSBC Bank USA
JPM       JPMorgan Chase & Co.
RBS       Royal Bank of Scotland PLC
SCB       Standard Chartered Bank
SOG       Societe Generale SA
UBS       UBS Securities LLC
 

 

216


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

Face
Amount†
     Rating††    Security    Value  
 

MUNICIPAL BONDS - 89.1%

 
 

Alaska - 0.1%

 
   Northern Tobacco Securitization Corp., Revenue Bonds:   
  $      35,000      BBB+   

Series B1, 0.500% due 6/1/31

   $ 34,935  
  80,000      BBB-   

Series B1, 4.000% due 6/1/50

     91,214  
        

 

 

 
      Total Alaska      126,149  
        

 

 

 
 

Arizona - 5.3%

 
  530,000      BB   

Arizona Industrial Development Authority, Revenue Bonds, Somerset Academy of Las Vegas - Aliante and Skye Canyon Campus Projects, 3.000% due 12/15/31(a)

     558,671  
  2,815,000      A+   

Chandler Industrial Development Authority, Revenue Bonds, Variable AMT Intel Corp., 5.000% due 6/1/49(b)(c)

     3,112,053  
      Industrial Development Authority of the County of Pima (The), Revenue Bonds:   
     

Facility American Leadership Academy

  
  350,000      NR   

4.125% due 6/15/29(a)

     357,170  
  250,000      NR   

4.750% due 6/15/37(a)

     255,958  
  230,000      NR    Imagine East Mesa Charter School, 3.250% due 7/1/24(a)      237,781  
  500,000      BB+   

Maricopa County Industrial Development Authority, Revenue Bonds, Paradise School Project Paragon Management Inc., 4.000% due 7/1/26(a)

     535,403  
        

 

 

 
      Total Arizona      5,057,036  
        

 

 

 
 

California - 7.1%

  
     

California County Tobacco Securitization Agency, Revenue Bonds:

  
  620,000      A   

Series A, 5.000% due 6/1/28

     779,497  
  10,615,000      NR   

zero coupon, due 6/1/55

     931,865  
     

California County Tobacco Securitization Agency, Revenue Bonds, Merced County Tobacco Funding Corp.:

  
  240,000      A   

5.000% due 6/1/25

     277,159  
  100,000      A   

5.000% due 6/1/27

     122,642  
  100,000      A   

5.000% due 6/1/28

     125,758  
  335,000      A   

5.000% due 6/1/31

     441,369  
  250,000      NR   

California School Finance Authority, Revenue Bonds, iLead Lancaster Holdings LLC, Series A, 4.000% due 6/1/31(a)

     272,634  
  965,000      AAA    City & County of San Francisco CA, GO, Series A, 4.000% due 6/15/36      1,047,653  
  1,245,000      NR    CMFA Special Finance Agency VIII, Revenue Bonds, 3.000% due 8/1/56(a)      1,136,899  
  100,000      NR    CSCDA Community Improvement Authority, Revenue Bonds, 3.250% due 5/1/57(a)      97,124  
      Golden State Tobacco Securitization Corp., Revenue Bonds:   
  35,000      NR   

Series A1, 5.000% due 6/1/47

     35,759  
  290,000      NR   

Series A2, 5.000% due 6/1/47

     296,291  
  595,000      AA   

Riverside County Public Financing Authority, Tax Allocation, Series A, 4.000% due 10/1/40

     674,293  
  475,000      Aa2(e)    Sonoma Valley Unified School District, GO, 4.000% due 8/1/38      560,031  
        

 

 

 
      Total California      6,798,974  
        

 

 

 
 

Colorado - 6.4%

  
  750,000      A+   

City & County of Denver, CO, Airport System Revenue, Revenue Bonds, AMT, Series A, 5.000% due 11/15/30(c)

     913,279  
  1,435,000      AA+   

City of Colorado Springs, CO, Utilities System Revenue, Revenue Bonds, System Improvement, Series B-2, 5.000% due 11/15/38

     1,554,163  
  1,500,000      AA-   

Colorado Health Facilities Authority, Revenue Bonds, Sisters of Charity of Leavenworth Inc., Series A, 5.000% due 1/1/44

     1,632,288  
  2,000,000      AA    University of Colorado Hospital Authority, Revenue Bonds, Series A, 4.000% due 11/15/36      2,063,876  
        

 

 

 
      Total Colorado      6,163,606  
        

 

 

 
 

Connecticut - 0.9%

 
  790,000      AAA   

Connecticut Housing Finance Authority, Revenue Bonds, AMT, Series B2, 2.300% due 11/15/23(c)

     811,511  
        

 

 

 
 

District of Columbia - 1.2%

 
  2,075,000      WD(f)   

District of Columbia Tobacco Settlement Financing Corp., Revenue Bonds, Capital Appreciation Asset-Backed, Series B, zero coupon, due 6/15/46

     380,129  
  700,000      A+   

Metropolitan Washington Airports Authority Aviation Revenue, Revenue Bonds, AMT, Series A, 4.000% due 10/1/36(c)

     791,280  
        

 

 

 
      Total District of Columbia      1,171,409  
        

 

 

 
 

Florida - 9.1%

  
  225,000      Baa3(e)   

Capital Projects Finance Authority, FL, Revenue Bonds, Florida University Project, Series A1, 5.000% due 10/1/26

     262,244  
  500,000      NR   

Capital Trust Agency Inc., Revenue Bonds, Educational Growth Fund LLC Charter School Portfolio Projects, Series A1, 3.375% due 7/1/31(a)

     536,653  
  100,000      Ba2(e)   

Capital Trust Agency Inc., Revenue Bonds, Viera Charter Schools Inc. Project, Series A, 4.000% due 10/15/29(a)

     109,169  
  1,400,000      A+   

City of Cape Coral, FL, Water & Sewer Revenue, Revenue Bonds, 5.000% due 10/1/39

     1,707,169  
     

City of Tallahasee, FL, Health Facilities Revenue, Revenue Bonds:

  
  500,000      Baa1(e)   

5.000% due 12/1/26

     583,802  
  500,000      Baa1(e)   

5.000% due 12/1/27

     580,628  
  250,000      NR   

Finley Woods Community Development District, Special Assessment, Area One, 3.150% due 5/1/25

     255,710  
  190,000      NR   

Florida Development Finance Corp., Revenue Bonds, Waste Pro USA Inc. Project, AMT, 5.000% due 5/1/29(a)(c)

     202,297  
  115,000      NR   

Harbor Bay Community Development District, Special Assessment, Area One, Series A2, 3.100% due 5/1/24

     117,341  
  275,000      NR   

Lakewood Ranch Stewardship District, Special Assessment, Isles Lakewood Ranch Project, 3.875% due 5/1/29

     298,012  

 

217


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

Face
Amount†
     Rating††    Security    Value  
 

Florida - 9.1% - (continued)

 
  $    3,000,000      AA-   

Orange County Convention Center, Revenue Bonds, 5.000% due 10/1/29

   $ 3,473,164  
  310,000      NR   

Seminole County Industrial Development Authority, Revenue Bonds, Legacy Pointe at UCF Project, 3.750% due 11/15/25

     311,170  
  240,000      NR   

Southern Groves Community Development District No. 5, Special Assessment, 2.875% due 5/1/24

     243,681  
        

 

 

 
      Total Florida      8,681,040  
        

 

 

 
 

Georgia - 4.4%

  
      City of Atlanta, GA, Department of Aviation, Revenue Bonds:   
  65,000      Aa3(e)   

Series A, 5.000% due 7/1/24

     72,698  
  265,000      Aa3(e)   

Series A, 5.000% due 7/1/25

     307,249  
  265,000      Aa3(e)   

Series A, 5.000% due 7/1/26

     317,072  
  70,000      Aa3(e)   

Series B, 5.000% due 7/1/24(c)

     77,850  
  120,000      Aa3(e)   

Series B, 5.000% due 7/1/25(c)

     138,114  
      Main Street Natural Gas Inc., Revenue Bonds:   
  2,610,000      Aa2(e)   

Series B, 4.000% due 8/1/49(b)

     2,870,203  
  320,000      A3(e)   

Series C, 4.000% due 5/1/52(b)

     377,774  
        

 

 

 
      Total Georgia      4,160,960  
        

 

 

 
 

Guam - 0.1%

 
      Territory of Guam, Revenue Bonds:   
  15,000      Ba1(e)   

Series A, 5.000% due 11/1/27

     18,107  
  15,000      Ba1(e)   

Series A, 5.000% due 11/1/28

     18,447  
  15,000      Ba1(e)   

Series A, 5.000% due 11/1/29

     18,740  
        

 

 

 
      Total Guam      55,294  
        

 

 

 
 

Idaho - 0.1%

 
  100,000      A2(e)    Idaho Housing & Finance Association, Revenue Bonds, Series A, 5.000% due 7/15/29      128,541  
        

 

 

 
 

Illinois - 4.0%

 
      Illinois Finance Authority, Revenue Bonds:   
     

Advocate Health Care:

  
  785,000      Aa3(e)   

Pre-refunded 6/1/22@ 100, 4.000% due 6/1/47(d)

     799,914  
  440,000      AA   

Pre-refunded 6/1/22@ 100, 4.000% due 6/1/47(d)

     448,360  
  10,000      NR   

Pre-refunded 6/1/22@ 100, 4.000% due 6/1/47(d)

     10,190  
  600,000      A   

DePaul University, 5.000% due 10/1/36

     709,402  
  1,000,000      AA+   

Northwestern University, 5.000% due 12/1/28

     1,274,496  
      Northwestern Memorial HealthCare, Series A, 4.000%:   
  110,000      AA+   

Series A, 4.000% due 7/15/37

     133,858  
  145,000      AA+   

Series A, 4.000% due 7/15/38

     176,099  
  220,000      AA+   

Series A, 4.000% due 7/15/39

     266,595  
        

 

 

 
      Total Illinois      3,818,914  
        

 

 

 
 

Indiana - 1.2%

 
  1,000,000      A+    Indiana Municipal Power Agency, Power Supply, Revenue Bonds, Series C, 5.000% due 1/1/37      1,184,926  
        

 

 

 
 

Iowa - 1.2%

  
  1,000,000      A3(e)    PEFA Inc., Revenue Bonds, 5.000% due 9/1/49(b)      1,180,560  
        

 

 

 
 

Louisiana - 0.6%

 
      New Orleans Aviation Board, AMT, General Airport North Terminal, Revenue Bonds, Series B:   
  250,000      A-   

Series B, 5.000% due 1/1/38(c)

     295,914  
  250,000      A-   

Series B, 5.000% due 1/1/37(c)

     296,108  
        

 

 

 
      Total Louisiana      592,022  
        

 

 

 
 

Maryland - 2.9%

 
      City of Baltimore, MD, Tax Allocation, Harbor Point Project:   
  200,000      NR   

Series A, 2.750% due 6/1/24(a)

     204,866  
  125,000      NR   

Series A, 2.800% due 6/1/25(a)

     129,218  
  135,000      NR   

Series A, 2.850% due 6/1/26(a)

     140,800  
  140,000      NR   

Series B, 3.000% due 6/1/24(a)

     142,159  
  660,000      AA+   

County of Prince George’s, MD, Behavioral Health Facility, Certificates Participation, 5.000% due 10/1/28

     838,838  
  1,000,000      AAA   

State of Maryland, GO, Series A, 5.000% due 8/1/31

     1,361,875  
        

 

 

 
      Total Maryland      2,817,756  
        

 

 

 
 

Massachusetts - 1.4%

 
      Massachusetts Bay Transportation Authority Sales Tax Revenue, Revenue Bonds:   
  75,000      AA   

Series A1, 5.000% due 7/1/28

     94,906  
  1,000,000      AA   

Series A1, 5.000% due 7/1/44

     1,214,437  
        

 

 

 
      Total Massachusetts      1,309,343  
        

 

 

 
 

Michigan - 0.8%

 
  400,000      BB+   

Michigan Finance Authority, Revenue Bonds, Cesar Chavez Academy Project, 3.250% due 2/1/24

     409,588  

 

218


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

Face
Amount†
     Rating††    Security    Value  
 

Michigan - 0.8% - (continued)

 
  $    190,000      A1(e)   

Michigan Finance Authority, Revenue Bonds, McLaren Health Care Corp., 1.200% due 10/15/38(b)

   $ 191,129  
  100,000      BB   

Michigan Strategic Fund, Revenue Bonds, AMT, 4.000% due 10/1/61(b)(c)

     111,753  
        

 

 

 
      Total Michigan      712,470  
        

 

 

 
 

Nevada - 1.5%

 
  75,000      Ba2(e)   

City of Sparks, NV, Revenue Bonds, Senior Sales Tax Anticipation, Series A, 2.500% due 6/15/24(a)

     76,208  
  1,130,000      AAA    State of Nevada Highway Improvement Revenue, Revenue Bonds, 5.000% due 12/1/31      1,374,801  
        

 

 

 
      Total Nevada      1,451,009  
        

 

 

 
 

New Hampshire - 1.1%

 
  1,000,000      B   

New Hampshire Business Finance Authority, Revenue Bonds, Casella Waste Systems Inc., AMT, Remarketing, 2.950% due 4/1/29(a)(c)

     1,066,573  
        

 

 

 
 

New Jersey - 4.7%

 
  1,340,000      A3(e)   

Manalapan-Englishtown Regional Board of Education, GO, 5.750% due 12/1/22

     1,411,884  
  215,000      NR   

New Jersey Economic Development Authority, Revenue Bonds, Golden Door Charter School Project, 5.125% due 11/1/29(a)

     238,391  
  1,250,000      A+   

New Jersey Transportation Trust Fund Authority, Revenue Bonds, Highway Reimbursement, Series A, 5.000% due 6/15/30

     1,467,035  
  1,000,000      BBB+    State of New Jersey, GO, 5.000% due 6/1/28      1,242,737  
  100,000      A    Tobacco Settlement Financing Corp., Revenue Bonds, Series A, 5.000% due 6/1/25      114,946  
        

 

 

 
      Total New Jersey      4,474,993  
        

 

 

 
 

New Mexico - 0.2%

 
      City of Santa Fe, NM, Revenue Bonds, El Castillo Retirement Project:   
  100,000      BB+(f)   

2.250% due 5/15/24

     100,084  
  100,000      BB+(f)   

2.625% due 5/15/25

     100,110  
        

 

 

 
      Total New Mexico      200,194  
        

 

 

 
 

New York - 3.8%

 
  1,170,000      AA   

Trust for Cultural Resources of The City of New York/The, Revenue Bonds, Juilliard School, Series A, 5.000% due 1/1/33

     1,475,863  
  40,000      AA   

New York City Transitional Finance Authority Building Aid Revenue, Revenue Bonds, 4.000% due 7/15/40

     48,144  
  335,000      AAA   

New York City Transitional Finance Authority Future Tax Secured Revenue, Revenue Bonds, 4.000% due 8/1/39

     404,257  
  400,000      AA+   

New York City Water & Sewer System, Revenue Bonds, 4.625% due 6/15/46

     426,260  
  500,000      AA+   

New York State Dormitory Authority, Revenue Bonds, Bidding Group, Series B, Unrefunded Portion, 5.000% due 2/15/43

     607,601  
  225,000      Baa3(e)   

New York Transportation Development Corp., Revenue Bonds, Delta Air Lines Inc. - LaGuardia, AMT, 4.000% due 10/1/30(c)

     263,281  
  275,000      AA+   

Triborough Bridge & Tunnel Authority, Revenue Bonds, 5.000% due 5/15/39

     364,756  
        

 

 

 
      Total New York      3,590,162  
        

 

 

 
 

North Carolina - 2.7%

  
  2,000,000      AAA   

State of North Carolina, GO, Series B, 5.000% due 6/1/28

     2,532,756  
        

 

 

 
 

Ohio - 1.0%

  
  160,000      NR   

Buckeye Tobacco Settlement Financing Authority, Revenue Bonds, Series B2, 5.000% due 6/1/55

     183,715  
     

County of Montgomery OH, Revenue Bonds, Dayton Children’s Hospital:

  
  75,000      A1(e)   

4.000% due 8/1/38

     88,721  
  80,000      A1(e)   

4.000% due 8/1/39

     94,427  
  600,000      Ba1(e)   

Ohio Air Quality Development Authority, Revenue Bonds, Ohio Valley Electric Corp., Remarketing, Series A, 2.875% due 2/1/26

     631,612  
        

 

 

 
      Total Ohio      998,475  
        

 

 

 
 

Oregon - 0.9%

  
  830,000      Aa2(e)   

Washington & Clackamas Counties School District No. 23J Tigard-Tualatin, GO, NPFG-Insured, 5.000% due 6/15/22

     851,655  
        

 

 

 
 

Pennsylvania - 0.1%

 
  100,000      BB+   

Bucks County Industrial Development Authority, Revenue Bonds, Grand View Hospital Project, 5.000% due 7/1/28

     120,842  
        

 

 

 
 

Puerto Rico - 2.9%

 
      Puerto Rico Housing Finance Authority, Revenue Bonds, Puerto Rico Public Housing Project:   
  440,000      AA-   

5.000% due 12/1/21

     440,000  
  265,000      AA-   

5.000% due 12/1/22

     276,694  
  200,000      AA-   

5.000% due 12/1/23

     217,051  
  430,000      AA-   

5.000% due 12/1/24

     483,405  
      Puerto Rico Sales Tax Financing Corp. Sales Tax Revenue, Revenue Bonds:   
  299,000      NR   

Series A1, zero coupon, due 7/1/24

     287,272  
  664,000      NR   

Series A1, 4.750% due 7/1/53

     752,524  
  90,000      NR   

Series A1, 5.000% due 7/1/58

     103,325  
  216,000      NR   

Series A2, 4.784% due 7/1/58

     245,239  
        

 

 

 
      Total Puerto Rico      2,805,510  
        

 

 

 
 

South Carolina - 4.4%

  
  1,535,000      Aa3(e)   

Clemson University, Revenue Bonds, 5.000% due 5/1/29

     1,752,585  
  2,000,000      A   

South Carolina Jobs-Economic Development Authority, Revenue Bonds, Prisma Health Obligation Group, Series A, 5.000% due 5/1/28

     2,494,676  
        

 

 

 
      Total South Carolina      4,247,261  
        

 

 

 
 

Tennessee - 0.8%

  
  715,000      Aa2(e)    Tennessee Housing Development Agency, Revenue Bonds, Series A, 3.850% due 1/1/35      754,518  
        

 

 

 

 

219


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

Face
Amount†
     Rating††    Security    Value  
 

Texas - 6.5%

 
     

City of Houston, TX, Airport System Revenue, Revenue Bonds, AMT:

  
  $    100,000      B-(f)   

4.000% due 7/15/41(c)

   $ 106,754  
  1,000,000      A1(e)   

Series C, 5.000% due 7/1/26(c)

     1,185,057  
  295,000      A   

Lower Colorado River Authority, Revenue Bonds, LCRA Transmission Services Corporation Project, 4.000% due 5/15/36

     299,372  
  505,000      NR   

New Hope Cultural Education Facilities Finance Corp., Revenue Bonds, Beta Academy, 3.375% due 8/15/29(a)

     518,333  
  500,000      AAA   

North East, TX, Independent School District, GO, PSF-GTD-Insured, 5.250% due 2/1/28

     633,133  
  1,000,000      A+   

North Texas Tollway Authority, Revenue Bonds, Series A, 5.000% due 1/1/39

     1,164,189  
  795,000      Aaa(e)   

Northside Independent School District, GO, PSF-GTD-Insured, 0.700% due 6/1/50(b)

     796,342  
  1,250,000      AA   

San Antonio Water System, Revenue Bonds, Junior Lien Revenue and Refunding Bonds, Series C, 5.000% due 5/15/46

     1,477,571  
        

 

 

 
      Total Texas      6,180,751  
        

 

 

 
 

Utah - 0.6%

 
  500,000      A-   

Utah Associated Municipal Power Systems, Revenue Bonds, Horse Butte Wind, Series A, 5.000% due 9/1/32

     605,078  
        

 

 

 
 

Virginia - 3.9%

 
  500,000      AAA    County of Arlington VA, GO, 5.000% due 6/15/31      678,423  
  1,000,000      AA+   

Virginia College Building Authority, Revenue Bonds, 21st Century College Equipment Project, 4.000% due 2/1/34

     1,228,593  
      Virginia College Building Authority, Revenue Bonds:   
  350,000      A   

Series A, 5.000% due 1/15/28

     430,614  
  585,000      A   

Series A, 5.000% due 1/15/29

     734,371  
  500,000      A   

Series A, 5.000% due 1/15/30

     639,573  
        

 

 

 
      Total Virginia      3,711,574  
        

 

 

 
 

Washington - 2.4%

 
  1,000,000      AA+   

King County School District No. 401 Highline, GO, SCH BD GTY-Insured, 5.000% due 12/1/35

     1,247,301  
  650,000      Aa2(e)   

Snohomish County Public Utility District No 1, Revenue Bonds, Series A, 5.000% due 12/1/51

     847,628  
  100,000      NR   

Washington State Convention Center Public Facilities District, Revenue Bonds, 4.000% due 7/1/31

     116,144  
  100,000      BB(f)   

Washington State Housing Finance Commission, Revenue Bonds, Transforming Age Projects, Series A, 5.000% due 1/1/26(a)

     113,039  
        

 

 

 
      Total Washington      2,324,112  
        

 

 

 
 

West Virginia - 2.6%

 
      West Virginia Parkways Authority, Revenue Bonds:   
  1,000,000      AA-   

4.000% due 6/1/51

     1,178,560  
  1,000,000      AA-   

5.000% due 6/1/47

     1,285,100  
        

 

 

 
      Total West Virginia      2,463,660  
        

 

 

 
 

Wisconsin - 2.2%

 
  90,000      A+   

Public Finance Authority, Revenue Bonds, Renown Regional Medical Center Project, 5.000% due 6/1/27

     109,904  
      Wisconsin Health & Educational Facilities Authority, Revenue Bonds:   
  1,300,000      AA-   

Aspirus Inc. Obligation Group, 4.000% due 8/15/40

     1,406,890  
  500,000      AA   

Milwaukee Regional Medical Center Thermal Service Obligated Group, 5.000% due 4/1/37

     621,176  
        

 

 

 
      Total Wisconsin      2,137,970  
        

 

 

 
     

TOTAL MUNICIPAL BONDS
(Cost - $81,240,129)

     85,287,604  
        

 

 

 

 

220


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

Shares/Units            Security    Value  
 

CLOSED END MUTUAL FUND SECURITY - 3.1%

  
 

United States - 3.1%

  
  $    25,800         iShares ® National Muni Bond ETF, Common Class (Cost - $3,008,973)    $ 3,008,796  
        

 

 

 
     

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $84,249,102)

     88,296,400  
        

 

 

 
Face
Amount†
                     
 

SHORT-TERM INVESTMENTS - 6.8%

  
 

TIME DEPOSITS - 6.8%

  
  1,533,704         ANZ National Bank - London, 0.005% due 12/1/21      1,533,705  
  71,786         BNP Paribas - Paris, 0.005% due 12/1/21      71,785  
  1,732,863         Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21      1,732,863  
  3,151,244         Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21      3,151,244  
        

 

 

 
     

TOTAL SHORT-TERM INVESTMENTS

(Cost - $6,489,597)

     6,489,597  
        

 

 

 
     

TOTAL INVESTMENTS - 99.0%

(Cost - $90,738,699)

     94,785,997  
        

 

 

 
     

Other Assets in Excess of Liabilities - 1.0%

     951,900  
        

 

 

 
     

TOTAL NET ASSETS - 100.0%

   $ 95,737,897  
        

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

(a)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $6,929,346 and represents 7.2% of net assets.

(b)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

(c)

Income from this issue is considered a preference item for purposes of calculating the alternative minimum tax (AMT).

(d)

Pre-refunded bonds are escrowed with government obligations and/or government agency securities and are considered by the Manager to be triple-A rated even if the issuer has not applied for new ratings.

(e)

Rating by Moody’s Investors Service.

(f)

Rating by Fitch Ratings Service.

At November 30, 2021, for Municipal Bond Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund   

Aggregate Cost For

Federal Income

Tax Purposes

  

Gross

Unrealized

Appreciation

  

Gross

Unrealized

(Depreciation)

  

Net

Unrealized

Appreciation

Municipal Bond Fund

   $90,738,699    $4,209,274    $(188,022)    $4,021,252

Abbreviations used in this schedule:

 

BAM

      Build America Mutual

ETF

      Exchange Traded Fund

FGIC

      Financial Guarantee Insurance Company

GO

      General Obligation

LIBOR

      London Interbank Offered Rate

NPFG

      National Public Finance Guarantee Corp.

PSF-GTD

      Permanent School Fund Guaranteed

SCH BD GTY

      Oregon School Bond Guaranty

 

See pages 254-256 for definitions of ratings.

 

Summary of Investments by Industry^

      

General Obligation

     26.9

Health Care Providers & Services

     11.8  

Higher Education

     7.4  

School District

     5.8  

Development

     5.6  

Transportation

     5.3  

Airport

     4.6  

Education

     4.3  

Tobacco Settlement

     4.0  

Utilities

     3.8  

Water and Sewer

     3.8  

Capital Markets

     3.2  

Multifamily Housing

     2.2  

Power

     1.6  

Pollution

     1.1  

Single Family Housing

     0.8  

Nursing Homes

     0.7  

Housing

     0.3  

Short-Term Investments

     6.8  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

 

221


Schedules of Investments

(unaudited) (continued)

 

Municipal Bond Fund

 

At November 30, 2021, Municipal Bond Fund had open exchange-traded futures contracts as described below.

The unrealized (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
   Expiration
Date
(Month/Year)
   Notional
Amount
   Market
Value
   Unrealized
Depreciation

Contracts to Sell:

                        

U.S. Treasury 5-Year Note December Futures

       6              3/22            $    722,528      $    728,391      $  (5,863

U.S. Treasury 10-Year Note December Futures

       7              3/22              903,104        915,687        (12,583 )

U.S. Treasury Long Bond December Futures

       2              3/22              316,650        324,250        (7,600 )
                        

 

 

 
                         $    (26,046
                        

 

 

 

At November 30, 2021, Municipal Bond Fund had deposited cash of $23,000 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

Currency Abbreviation used in this schedule:

 

USD       United States Dollars

 

222


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

U.S. GOVERNMENT AGENCIES & OBLIGATIONS - 102.4%

 
    

U.S. Treasury Inflation Indexed Bonds:

  
  $      1,760,853       

2.375% due 1/15/25

   $ 2,023,091  
  2,104,893       

2.000% due 1/15/26

     2,453,682  
  2,091,080       

1.750% due 1/15/28

     2,526,063  
  5,242,305       

3.625% due 4/15/28(a)

     7,028,522  
  1,778,475       

2.500% due 1/15/29

     2,291,876  
  2,080,769       

3.875% due 4/15/29

     2,921,250  
  37,090       

3.375% due 4/15/32

     55,168  
  1,751,399       

2.125% due 2/15/40

     2,712,942  
  2,567,851       

2.125% due 2/15/41

     4,028,230  
  2,185,146       

0.750% due 2/15/42

     2,799,845  
  465,313       

0.625% due 2/15/43

     586,521  
  3,495,690       

1.375% due 2/15/44

     5,059,142  
  838,721       

0.750% due 2/15/45

     1,096,483  
  4,156,143       

1.000% due 2/15/46

     5,759,328  
  1,920,465       

0.875% due 2/15/47

     2,632,378  
  1,134,628       

1.000% due 2/15/48

     1,614,213  
  490,802       

0.250% due 2/15/50

     602,233  
  1,369,693       

0.125% due 2/15/51

     1,646,853  
    

U.S. Treasury Inflation Indexed Notes:

  
  13,796,136       

0.125% due 1/15/23(a)

     14,373,873  
  8,967,322       

0.625% due 4/15/23(a)

     9,457,811  
  1,998,571       

0.625% due 1/15/24

     2,143,653  
  4,459,283       

0.500% due 4/15/24

     4,788,080  
  2,459,068       

0.125% due 10/15/24

     2,642,824  
  5,734,692       

0.125% due 4/15/25

     6,173,837  
  422,876       

0.125% due 10/15/25

     458,438  
  4,917,957       

0.625% due 1/15/26

     5,433,121  
  1,464,386       

0.125% due 4/15/26(a)

     1,589,587  
  3,702,069       

0.125% due 7/15/26

     4,042,053  
  1,806,930       

0.125% due 10/15/26

     1,974,756  
  3,554,365       

0.375% due 1/15/27

     3,931,717  
  4,384,596       

0.375% due 7/15/27

     4,894,314  
  5,091,056       

0.500% due 1/15/28

     5,731,226  
  6,567,728       

0.750% due 7/15/28(a)

     7,573,228  
  2,922,335       

0.875% due 1/15/29

     3,404,959  
  2,967,303       

0.250% due 7/15/29

     3,338,380  
  895,591       

0.125% due 1/15/30

     997,787  
  3,177,573       

0.125% due 7/15/30

     3,562,330  
  3,909,450       

0.125% due 1/15/31(a)

     4,375,935  
  9,426,067       

0.125% due 7/15/31(a)(b)

     10,589,110  
  130,000       

U.S. Treasury Notes, 1.750% due 12/31/24

     133,610  
       

 

 

 
    

TOTAL U.S. GOVERNMENT AGENCIES & OBLIGATIONS

(Cost - $134,603,535)

     149,448,449  
       

 

 

 
 

SOVEREIGN BONDS - 12.8%

 
 

Australia - 0.8%

 
    

Australia Government Bonds:

  
  1,040,000 AUD    Aaa(c)   

1.250% due 2/21/22

     890,867  
  290,000 AUD    Aaa(c)   

3.000% due 9/20/25

     307,297  
       

 

 

 
    

Total Australia

     1,198,164  
       

 

 

 

 

223


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

SOVEREIGN BONDS - 12.8% - (continued)

 
 

Canada - 0.4%

 
    

Canadian Government Real Return Bonds:

  
  488,127  CAD    AAA   

4.250% due 12/1/26

   $ 482,703  
  54,976  CAD    AAA   

0.500% due 12/1/50

     48,803  
       

 

 

 
    

Total Canada

     531,506  
       

 

 

 
 

France - 0.5%

 
  616,722  EUR    AAu(d)   

French Republic Government Bonds OAT, 0.100% due 3/1/26(e)

     773,541  
       

 

 

 
 

Italy - 4.7%

 
    

Italy Buoni Poliennali Del Tesoro:

  
  3,158,001  EUR    NR   

1.400% due 5/26/25(e)

     3,916,541  
  2,296,360  EUR    Baa3u(c)   

0.400% due 5/15/30(e)

     2,861,652  
       

 

 

 
    

Total Italy

     6,778,193  
       

 

 

 
 

Japan - 2.2%

 
    

Japanese Government CPI Linked Bonds:

  
  140,804,220  JPY    A1(c)   

0.100% due 3/10/28

     1,287,513  
  182,082,380  JPY    A1(c)   

0.100% due 3/10/29

     1,670,599  
  20,179,400  JPY    NR   

0.005% due 3/10/31

     185,002  
       

 

 

 
    

Total Japan

     3,143,114  
       

 

 

 
 

New Zealand - 0.2%

 
  270,000  NZD    AAA   

New Zealand Government Bonds Inflation Linked Bonds, 2.500% due 9/20/35

     253,314  
       

 

 

 
 

Peru - 0.2%

 
  1,400,000  PEN    A-   

Peru Government Bonds Inflation Linked Bonds, 6.150% due 8/12/32(e)

     345,357  
       

 

 

 
 

Qatar - 0.1%

 
  $      200,000     AA-   

Qatar Government International Bonds, 3.875% due 4/23/23

     208,644  
       

 

 

 
 

United Kingdom - 3.7%

 
    

United Kingdom Gilt Inflation Linked:

  
  2,700,990  GBP    Aa3u(c)   

1.875% due 11/22/22

     3,875,137  
  1,018,400  GBP    Aa3u(c)   

0.125% due 3/22/24

     1,506,215  
       

 

 

 
    

Total United Kingdom

     5,381,352  
       

 

 

 
    

TOTAL SOVEREIGN BONDS

(Cost - $18,747,809)

     18,613,185  
       

 

 

 
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.9%

 
    

Alternative Loan Trust:

  
  238,843     Caa2(c)   

Series 2006-HY11, Class A1, 0.332% (1-Month USD-LIBOR + 0.240%) due 6/25/36(f)

     236,021  
  37,450     WR(c)   

Series 2007-4CB, Class 1A35, 6.000% due 4/25/37

     37,936  
  475,431     Caa3(c)   

Alternative Loan Trust Resecuritization, Series 2008-2R, Class 1A1, 6.000% due 8/25/37(f)

     480,172  
  577     AA   

American Home Mortgage Investment Trust, Series 2005-2, Class 4A1, 1.694% (6-Month USD-LIBOR + 1.500%) due 9/25/45(f)

     579  
  237,081     Aaa(c)   

Arch Street CLO Ltd., Series 2016-2A, Class AR2, 1.132% (3-Month USD-LIBOR + 1.000%) due 10/20/28(e)(f)

     237,150  
  300,000     Aaa(c)   

ARES L CLO Ltd., Series 2018-50A, Class AR, 1.174% (3-Month USD-LIBOR + 1.050%) due 1/15/32(e)(f)

     300,205  
  24,206     Aaa(c)   

Bancorp Commercial Mortgage Trust, Series 2019-CRE6, Class A, 1.212% (30-Day SOFR + 1.164%) due 9/15/36(e)(f)

     24,205  
  22,073     NR   

Bayview Opportunity Master Fund IVa Trust, Series 2019-SBR1, Class A1, step bond to yield, 3.475% due 6/28/34(e)

     22,235  
  19,943     WR(c)   

Bear Stearns Adjustable Rate Mortgage Trust, Series 2003-3, Class 3A2, 2.875% due 5/25/33(f)

     20,133  
  188,230     CCC   

Bear Stearns Asset-Backed Securities Trust, Series 2004-1, Class M1, 1.067% (1-Month USD-LIBOR + 0.975%) due 6/25/34(f)

     192,041  
  300,000  EUR    Aaa(c)   

Cairn CLO X DAC, Series 2018-10A, Class AR, 0.780% (3-Month EURIBOR+ 0.780%) due 10/15/31(e)(f)

     341,590  
  300,000  EUR    Aaa(c)   

Carlyle Global Markets Strategis, Series 2014-2A, Class AR-1, 0.750%(3-Month EURIBOR + 0.750% ) due 11/15/31(e)(f)

     339,370  
  39,020     AA+   

Chevy Chase Funding LLC Mortgage-Backed Certificates, Series 2004-A, Class A1, 0.452% (1-Month USD-LIBOR + 0.360%) due 3/25/35(e)(f)

     40,386  
    

CHL Mortgage Pass-Through Trust:

  
  685,490     WR(c)   

Series 2005-HYB6, Class 2A1, 2.686% due 10/20/35(f)

     702,248  
  69,418     WR(c)   

Series 2005-HYB9, Class 2A1, 1.987% (1-Year USD-LIBOR + 1.750%) due 2/20/36(f)

     67,294  
  97,254     Caa2(c)   

Series 2006-6, Class A4, 6.000% due 4/25/36

     70,644  
  139,789     WD(d)   

Series 2007-1, Class A1, 6.000% due 3/25/37

     101,835  
    

Citigroup Mortgage Loan Trust:

  
  4,966     B-   

Series 2004-HYB2, Class 2A, 2.378% due 3/25/34(f)

     5,143  
  165,885     Caa2(c)   

Series 2007-AR4, Class 1A1A, 3.173% due 3/25/37(f)

     166,239  

 

224


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 8.9% - (continued)

 
  $      20,012     WR(c)   

Citigroup Mortgage Loan Trust Inc., Series 2004-NCM2, Class 1CB1, 5.500% due 8/25/34

   $ 20,489  
    

Countrywide Asset-Backed Certificates:

  
  333,877     CC   

Series 2007-1, Class 1A, 0.232% (1-Month USD-LIBOR + 0.140%) due 7/25/37(f)

     322,494  
  68,359     D   

Series 2007-6, Class 1A, 0.292% (1-Month USD-LIBOR + 0.200%) due 9/25/37(f)

     64,547  
  382,040     CCC   

Series 2007-8, Class 1A1, 0.282% (1-Month USD-LIBOR + 0.190%) due 11/25/37(f)

     370,597  
  439,604     NR   

Credit Suisse Commercial Mortgage, Series 2015-3R, Class 5A2, 0.242% (1-Month USD-LIBOR + 0.150%) due 9/29/36(e)(f)

     432,258  
    

Credit-Based Asset Servicing & Securitization LLC:

  
  153,000     BB   

Series 2005-CB3, Class M4, 1.142% (1-Month USD-LIBOR + 1.050%) due 6/25/35(f)

     152,929  
  840,865     CC   

Series 2007-CB6, Class A3, 0.312% (1-Month USD-LIBOR + 0.220%) due 7/25/37(e)(f)

     679,990  
  149,011     D   

CWABS Asset-Backed Certificates Trust, Series 2004-7, Class MV5, 1.817% (1-Month USD-LIBOR + 1.725%) due 11/25/34(f)

     150,837  
  400,000     Aaa(c)   

Dryden Senior Loan Fund, Series 2017-47A, Class A1R, 1.104% (3-Month USD-LIBOR + 0.980%) due 4/15/28(e)(f)

     400,213  
  771,893     CCC   

Ellington Loan Acquisition Trust, Series 2007-1, Class A1, 1.192% (1-Month USD-LIBOR + 1.100%) due 5/25/37(e)(f)

     772,527  
  302,167     NR   

Government National Mortgage Association (GNMA), Series 2018-H15, Class FG, 0.382% (1-Year USD-LIBOR + 0.150%) due 8/20/68(f)

     297,505  
  23,342     D   

GSAA Trust, Series 2006-7, Class AF4A, step bond to yield, 6.720% due 3/25/46

     17,243  
  4,168     AA-   

HarborView Mortgage Loan Trust, Series 2005-9, Class 2A1A, 0.771% (1-Month USD-LIBOR + 0.680%) due 6/20/35(f)

     4,104  
  300,000  EUR    AAA   

Harvest CLO, Series 11A-ARR, Class ARR, 0.650% (3-Month EURIBOR+ 0.650%) due 6/26/30(e)(f)

     339,177  
  643,396  GBP    AAA   

Hawksmoor Mortgages, Series 2019-1A, Class A, 1.100% (Sterling Overnight Index Average + 1.050%) due 5/25/53(e)(f)

     859,710  
  53,120     B-   

IndyMac INDX Mortgage Loan Trust, Series 2005-16IP, Class A1, 0.732% (1-Month USD-LIBOR + 0.640%) due 7/25/45(f)

     47,124  
  320,139     CCC   

JP Morgan Alternative Loan Trust, Series 2006-A1, Class 1A1, 0.552% (1-Month USD-LIBOR + 0.460%) due 3/25/36(f)

     313,784  
  141,981     A-   

JP Morgan Chase Commercial Mortgage Securities Trust, Series 2019-FL12, Class A, 2.450% (1-Month USD-LIBOR + 1.450%) due 12/15/31(e)(f)

     141,079  
  254,555  EUR    Aaa(c)   

Jubilee CLO BV, Series 2015-16A, Class A1R, 0.471% (0.800% - 3-Month EURIBOR) due 12/15/29(e)(g)

     287,731  
  67,659     NR   

Legacy Mortgage Asset Trust, Series 2019-GS3, Class A1, step bond to yield, 3.750% due 4/25/59(e)

     67,997  
  295,098     WD(d)   

Lehman XS Trust, Series 2007-20N, Class A1, 1.242% (1-Month USD-LIBOR + 1.150%) due 12/25/37(f)

     312,102  
  168,431     CC   

Long Beach Mortgage Loan Trust, Series 2006-7, Class 2A2, 0.212% (1-Month USD-LIBOR + 0.120%) due 8/25/36(f)

     89,271  
  319,019     AAA   

Mountain View CLO X Ltd., Series 2015-10A, Class AR, 0.942% (3-Month USD-LIBOR + 0.820%) due 10/13/27(e)(f)

     319,437  
  7,984     AA+   

MRFC Mortgage Pass-Through Trust, Series 2000-TBC2, Class A1, 0.570% (1-Month USD-LIBOR + 0.480%) due 6/15/30(f)

     7,842  
    

New Residential Mortgage Loan Trust:

  
  50,661     NR   

Series 2018-3A, Class A1, 4.500% due 5/25/58(e)(f)

     54,240  
  270,037     Aaa(c)   

Series 2019-RPL3, Class A1, 2.750% due 7/25/59(e)(f)

     275,738  
    

Option One Mortgage Loan Trust:

  
  105,721     CC   

Series 2007-1, Class 1A1, 0.232% (1-Month USD-LIBOR + 0.140%) due 1/25/37(f)

     80,997  
  100,546     CC   

Series 2007-2, Class 1A1, 0.232% (1-Month USD-LIBOR + 0.140%) due 3/25/37(f)

     76,620  
  416,089     BBB   

RASC Trust, Series 2006-KS3, Class M1, 0.587% (1-Month USD-LIBOR + 0.330%) due 4/25/36(f)

     416,059  
  517,732     WD(d)   

Residential Asset Securitization Trust, Series 2006-A10, Class A5, 6.500% due 9/25/36

     276,741  
    

Securitized Asset-Backed Receivables LLC Trust:

  
  516,922     CC   

Series 2006-FR3, Class A3, 0.592% (1-Month USD-LIBOR + 0.500%) due 5/25/36(f)

     356,450  
  102,785     CC   

Series 2006-HE2, Class A2C, 0.392% (1-Month USD-LIBOR + 0.300%) due 7/25/36(f)

     58,379  
  161,922     B-   

Sequoia Mortgage Trust, Series 6, Class A, 0.729% (1-Month USD-LIBOR + 0.640%) due 4/19/27(f)

     161,530  
    

Soundview Home Loan Trust:

  
  239,309     CC   

Series 2007-OPT1, Class 1A1, 0.292% (1-Month USD-LIBOR + 0.200%) due 6/25/37(f)

     206,972  
  62,747     CCC   

Series 2007-OPT2, Class 2A3, 0.272% (1-Month USD-LIBOR + 0.180%) due 7/25/37(f)

     60,389  
  84,805     Aaa(c)   

Symphony CLO XIV Ltd., Series 2014-14A, Class AR, 1.077% (3-Month USD-LIBOR + 0.950%) due 7/14/26(e)(f)

     84,835  
  168,813     Aaa(c)   

Symphony CLO XVII Ltd., Series 2016-17A, Class AR, 1.004% (3-Month USD-LIBOR + 0.880%) due 4/15/28(e)(f)

     169,029  
  207,551     Aaa(c)   

TICP CLO III-2 Ltd., Series 2018-3R, Class A, 0.972% (3-Month USD-LIBOR + 0.840%) due 4/20/28(e)(f)

     207,510  
  258,049     Aaa(c)   

Venture XVII CLO Ltd., Series 2014-17A, Class ARR, 1.004% (3-Month USD-LIBOR + 0.880%) due 4/15/27(e)(f)

     258,045  
  400,000     Aaa(c)   

Voya CLO Ltd., Series 2017-1A, Class A1R, 1.072% (3-Month USD-LIBOR + 0.950%) due 4/17/30(e)(f)

     400,132  
    

WaMu Mortgage Pass-Through Certificates Trust:

  
  8,576     Baa1(c)   

Series 2002-AR2, Class A, 1.475% (11th District Cost of Funds Index + 1.250%) due 2/27/34(f)

     8,780  
  3,872     BB   

Series 2002-AR17, Class 1A, 1.283% (1-Year Treasury Average Rate + 1.200%) due 11/25/42(f)

     3,827  
       

 

 

 
    

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS

(Cost - $13,022,575)

     13,012,686  
       

 

 

 

 

225


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 5.0%

 
 

Banks - 2.4%

 
        100,000  GBP    BBB   

HSBC Holdings PLC, Subordinated Notes, 6.000% due 3/29/40

   $ 185,395  
    

NatWest Group PLC, Senior Unsecured Notes:

  
$  200,000     BBB   

1.682% (3-Month USD-LIBOR + 1.550%) due 6/25/24(f)

     203,621  
  200,000     BBB   

4.519% (3-Month USD-LIBOR + 1.550%) due 6/25/24(f)

     210,617  
    

Nykredit Realkredit AS, Covered Notes:

  
  18,325,572  DKK    AAA   

1.000% due 10/1/50

     2,666,005  
  500,000  DKK    AAA   

1.000% due 10/1/53

     71,524  
  700,000  DKK    AAA   

1.500% due 10/1/53

     104,736  
       

 

 

 
    

Total Banks

     3,441,898  
       

 

 

 
 

Diversified Financial Services - 2.3%

 
    

Jyske Realkredit, Covered Notes:

  
  16,898,936  DKK    AAA   

1.000% due 10/1/50

     2,458,226  
  200,000  DKK    AAA   

1.500% due 10/1/53

     29,696  
    

Nordea Kredit Realkreditaktieselskab, Covered Notes:

  
  2,419,844  DKK    AAA   

1.000% due 10/1/50

     352,744  
  500,000  DKK    AAA   

1.500% due 10/1/53

     74,125  
    

Realkredit Danmark AS, Covered Notes:

  
  2,800,000  DKK    AAA   

1.000% due 10/1/50

     406,772  
  400,000  DKK    AAA   

1.000% due 10/1/53

     57,393  
  300,000  DKK    AAA   

1.500% due 10/1/53

     44,830  
       

 

 

 
    

Total Diversified Financial Services

     3,423,786  
       

 

 

 
 

Electric - 0.1%

 
  200,000     BBB+   

NextEra Energy Capital Holdings Inc., Company Guaranteed Notes, 2.800% due 1/15/23

     204,236  
       

 

 

 
 

Oil & Gas - 0.2%

 
  305,000     BB-   

Petrobras Global Finance BV, Company Guaranteed Notes, 5.093% due 1/15/30

     308,582  
       

 

 

 
    

TOTAL CORPORATE BONDS & NOTES

(Cost - $7,496,474)

     7,378,502  
       

 

 

 
 

MORTGAGE-BACKED SECURITIES - 3.9%

 
 

FNMA - 3.9%

 
    

Federal National Mortgage Association (FNMA):

  
  40,024       

4.000% due 3/1/50

     42,756  
  1,566,000       

3.500% due 1/1/52(h)

     1,646,728  
  3,800,000       

4.000% due 1/1/52(h)

     4,048,113  
       

 

 

 
    

TOTAL MORTGAGE-BACKED SECURITIES

(Cost - $5,771,302)

     5,737,597  
       

 

 

 
    

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $179,641,695)

     194,190,419  
       

 

 

 
 

SHORT-TERM INVESTMENTS - 1.0%

 
 

TIME DEPOSITS - 1.0%

 
  5,136  NZD      

BBH - Grand Cayman, 0.100% due 12/1/21

     3,505  
    

BNP Paribas - Paris:

  
  1,470  DKK      

(0.490)% due 12/1/21

     224  
  956  CAD      

0.005% due 12/1/21

     748  
  1,340  NOK      

0.005% due 12/1/21

     148  
  441  SGD      

0.005% due 12/1/21

     323  
  4,749  ZAR      

3.300% due 12/1/21

     299  
  188,170  EUR      

Deutsche Bank - Frankfurt, (0.790)% due 12/1/21

     213,451  
  1,050,523       

Royal Bank of Canada - Toronto, 0.005% due 12/1/21

     1,050,523  
  15,775  SEK      

Skandinaviska Enskilda Banken AB - Sweden, (0.350)% due 12/1/21

     1,750  
    

Societe Generale SA - Paris:

  
  1,854,206  JPY      

(0.270)% due 12/1/21

     16,405  
  8,150  AUD      

(0.120)% due 12/1/21

     5,811  

 

226


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Face
Amount†
          Security    Value  
 

SHORT-TERM INVESTMENTS - 1.0% - (continued)

 
 

TIME DEPOSITS - 1.0% - (countinued)

 
  71,947  GBP      

Sumitomo Mitsui Banking Corp. - Tokyo, 0.005% due 12/1/21

   $ 95,732  
    

TOTAL SHORT-TERM INVESTMENTS

(Cost - $1,388,919)

     1,388,919  
       

 

 

 
    

TOTAL INVESTMENTS IN SECURITIES

(Cost - $181,030,614)

     195,579,338  
       

 

 

 
    

TOTAL INVESTMENTS IN PURCHASED OPTIONS

(Cost - $206,550)

     235,166  
       

 

 

 
    

TOTAL INVESTMENTS - 134.2%

(Cost - $181,237,164)

     195,814,504  
       

 

 

 
    

Liabilities in Excess of Other Assets - (34.2)%

     (49,940,726 ) 
       

 

 

 
    

TOTAL NET ASSETS - 100.0%

   $ 145,873,778  
       

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

(a)

Position, or portion thereof, has been segregated to collateralize reverse repurchase agreements.

(b)

All or a portion of these securities were purchased in a sale-buyback transaction. The value of these securities total $10,589,110 which represents 7.3% of net assets.

(c)

Rating by Moody’s Investors Service.

(d)

Rating by Fitch Ratings Service.

(e)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $14,951,880 and represents 10.2% of net assets.

(f)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

(g)

Inverse Floating Rate Security - interest rate fluctuates with an inverse relationship to an associated interest rate. Indicated rate is the effective rate as of November 30, 2021.

(h)

This security is traded on a TBA basis (see Note 1).

At November 30, 2021, for Inflation-Linked Fixed Income Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund    Aggregate Cost For
Federal Income
Tax Purposes
   Gross
Unrealized
Appreciation
   Gross
Unrealized
(Depreciation)
  

Net

Unrealized
Appreciation

Inflation-Linked Fixed Income Fund

   $181,237,164    $18,109,540    $(4,305,442)    $13,804,098

 

Abbreviations used in this schedule:
CLO       Collateralized Loan Obligation
CPI       Consumer Price Index
EURIBOR       Euro Interbank Offered Rate
LIBOR       London Interbank Offered Rate
PLC       Public Limited Company
SOFR       Secured Overnight Financing Rate

 

Summary of Investments by Security Type^

      

U.S. Government Agencies & Obligations

     76.3

Sovereign Bonds

     9.5  

Collateralized Mortgage Obligations

     6.6  

Corporate Bonds & Notes

     3.8  

Mortgage-Backed Securities

     2.9  

Purchased Options

     0.1  

Short-Term Investments

     0.8  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

 

227


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund held the following Options Contracts Purchased:

Interest Rate Swaptions

 

Number of
Contracts
     Notional
Amount†
    Security Name    Counterparty      Expiration
Date
     Exercise
Rate
     Value  
  1,500,000        8,595  EUR   

OTC 30-Year Swaption, 3-Month  EURIBOR, Put

     BNP        11/4/22        0.197%      $ 147,937  
  300,000        1,719  EUR   

OTC 30-Year Swaption, 3-Month EURIBOR, Put

     BCLY        11/4/22        0.197%        29,587  
  1,100,000      $ 1,906    

OTC 30-Year Swaption, 3-Month USD-LIBOR, Put

     DUB        11/17/23        2.237%        57,642  
                

 

 

 
    

TOTAL OPTIONS CONTRACTS PURCHASED

(Cost — $206,550)

            $ 235,166  
                

 

 

 
                

 

Amount denominated in U.S. dollars, unless otherwise noted.

 

228


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund held the following Options Contracts Written:

Credit Default Swaptions

 

Number of
Contracts
     Notional
Amount†
    Security Name    Counterparty   

Expiration

Date

  

Exercise

Rate

  Value  
  500,000      $ 288,435    

OTC Markit CDX North America Investment Grade Series 37 5-Year Index, Put

   BCLY    1/19/22    0.850%   $ 339  
  2,700,000        1,413,990    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

   BNP    12/15/21    0.750%     217  
  100,000        107,698    

OTC Markit CDX North America High Yield Series 36 5-Year Index, Put

   BNP    12/15/21    104.000%     83  
  600,000        314,220    

OTC Markit CDX North America Investment Grade Series 36 5-Year Index, Put

   DUB    12/15/21    0.750%     48  
  200,000        115,374    

OTC Markit CDX North America Investment Grade Series 37 5-Year Index, Put

   DUB    3/16/22    0.900%     282  
  100,000        107,698    

OTC Markit CDX North America High Yield Series 36 5-Year Index, Put

   DUB    1/19/22    102.000%     287  
  200,000        215,335    

OTC Markit CDX North America High Yield Series 37 5-Year Index, Put

   JPM    12/15/21    101.000%     52  
  600,000        315,720  EUR   

OTC Markit iTraxx Europe Series 35 5 -Year Index, Put

   BCLY    12/15/21    0.700%     197  
  200,000        115,724  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    1/19/22    0.750%     273  
  100,000        57,862  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    1/19/22    0.800%     108  
  400,000        231,448  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    3/16/22    0.800%     895  
  200,000        115,724  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    3/16/22    0.900%     324  
  100,000        57,862  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    3/16/22    0.950%     141  
  200,000        105,240  EUR   

OTC Markit iTraxx Europe Series 35 5-Year Index, Put

   BCLY    1/19/22    3.500%     1,151  
  100,000        57,862  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    1/19/22    3.750%     620  
  100,000        57,862  EUR   

OTC Markit iTraxx Europe Series 36 5-Year Index, Put

   BCLY    3/16/22    4.250%     881  
  200,000        105,240  EUR   

OTC Markit iTraxx Europe Series 35 5-Year Index, Put

   JPM    12/15/21    0.700%     66  
               

 

 

 
    

Total Credit Default Swaptions

             5,964  
               

 

 

 

Interest Rate Swaptions

 

Number of
Contracts
     Notional
Amount†
    Security Name    Counterparty   

Expiration
Date

  

Exercise
Rate

  Value  
  5,600,000      $ 9,702    

OTC 5-Year Swaption, 3-Month USD-LIBOR, Put

   DUB    11/17/23    2.340%   $ 63,759  
  860,000        4,928  EUR   

OTC 10-Year Swaption, 3-Month EURIBOR, Put

   BCLY    11/4/22    0.000%     36,044  
  4,440,000        25,441  EUR   

OTC 10-Year Swaption, 3-Month EURIBOR, Put

   BNP    11/4/22    0.000%     186,089  
               

 

 

 
    

Total Interest Rate Swaptions

             285,892  
               

 

 

 

Options on Futures

 

Number of
Contracts
     Notional
Amount†
   Security Name    Counterparty     

Expiration
Date

    

Exercise
Rate

     Value  
  100,000      $10,008,000   

OTC Federal National Mortgage Association (FNMA) 30-Year January Futures, Call

     JPM        1/6/22        $100.08      $ 564  
  100,000      10,021,000   

OTC Federal National Mortgage Association (FNMA) 30-Year December Futures, Call

     JPM        12/6/21        $100.21        191  
  100,000      10,067,000   

OTC Federal National Mortgage Association (FNMA) 30-Year December Futures, Call

     JPM        12/6/21        $100.67        47  
  100,000      10,073,000   

OTC Federal National Mortgage Association (FNMA) 30-Year January Futures, Call

     JPM        1/6/22        $100.73        276  
  100,000      10,313,000   

OTC Federal National Mortgage Association (FNMA) 30-Year December Futures, Call

     JPM        12/6/21        $103.13        21  
  100,000      10,399,000   

OTC Federal National Mortgage Association (FNMA) 30-Year December Futures, Put

     JPM        12/6/21        $103.99        166  
  100,000      10,406,000   

OTC Federal National Mortgage Association (FNMA) 30-Year January Futures, Put

     JPM        1/6/22        $104.06        385  
  100,000      10,422,000   

OTC Federal National Mortgage Association (FNMA) 30-Year December Futures, Put

     JPM        12/6/21        $104.22        383  
                 

 

 

 
     

Total Options on Futures

              2,033  
                 

 

 

 
     

TOTAL OPTIONS CONTRACTS WRITTEN

(Premiums received — $214,777)

            $ 293,889  
                 

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

 

229


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund held the following Reverse Repurchase Agreements:

 

Face
Amounts†
     Security    Value  
  

Bank of America:

  
$      1,597,750     

0.000% due 12/3/21

   $ 1,597,750  
  28,144,369     

0.080% due 12/2/21

     28,144,369  
   NatWest Markets Securities Inc.:   
  8,875,238     

0.080% due 12/7/21

     8,875,238  
  4,368,525     

0.090% due 12/14/21

     4,368,525  
   Nomura Securities International, Inc.:   
  4,373,163     

0.080% due 12/1/21

     4,373,163  
     

 

 

 
  

TOTAL REVERSE REPURCHASE AGREEMENTS

(Proceeds — $47,359,045)

   $ 47,359,045  
     

 

 

 

For the period ended November 30, 2021, the daily average borrowing and interest rate under the reverse repurchase agreements were $39,168,059 and 0.070%, respectively.

 

† Amount denominated in U.S. dollars, unless otherwise noted.

 

230


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund had open exchange-traded futures contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
    

Market

Value

     Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

              

Euro-Bund December Futures

     25        12/21      $ 4,892,622      $ 4,888,198      $ (4,424)  

U.S. Treasury 5-Year Note March Futures

     123        3/22        14,880,117        14,932,008        51,891  
              

 

 

 
                 47,467  
              

 

 

 

Contracts to Sell:

              

Australian Government 3-Year Bond December Futures

     8        12/21        664,907        653,569        11,338  

Euro-Bobl March Futures

     46        3/22        7,005,938        7,007,787        (1,849

Euro-BTP December Futures

     12        12/21        2,093,273        2,063,610        29,663  

Euro-Buxl 30-Year Bond December Futures

     17        12/21        4,028,803        4,206,215        (177,412

Euro-Schatz Note March Futures

     194        3/22        24,708,219        24,702,173        6,046  

Japan Government 10-Year Bond December Futures

     3        12/21        4,029,728        4,032,913        (3,185

U.S. Treasury 2-Year Note March Futures

     8        3/22        1,748,938        1,749,875        (937

U.S. Treasury 10-Year Note March Futures

     9        3/22        1,168,313        1,177,313        (9,000

U.S. Treasury Long Bond March Futures

     2        3/22        317,735        324,250        (6,515

U.S. Treasury Ultra Long Bond March Futures

     20        3/22        3,887,656        4,011,250        (123,594

U.S. Ultra Long Bond March Futures

     44        3/22        6,378,539        6,463,187        (84,648

United Kingdom Treasury 10-Year Gilt March Futures

     18        3/22        2,993,131        3,024,507        (31,376
              

 

 

 
                 (391,469
              

 

 

 

Net Unrealized Depreciation on Open Exchange-Traded Futures Contracts

 

         $ (344,002
           

 

 

 

At November 30, 2021, Inflation-Linked Fixed Income Fund had deposited cash of $443,000 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

 

231


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund had open forward foreign currency contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Foreign Currency    Local Currency      In Exchange For      Counterparty   

Market Value

    

Settlement Date

   Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

                    

British Pound

     206,000        USD        281,726      JPM    $ 274,104      12/2/21    $ (7,622

Chinese Offshore Renminbi

     383,202        USD        58,938      SCB      60,130      12/15/21      1,192  

Danish Krone

     660,000        USD        103,259      MLP      101,000      4/1/22      (2,259

Euro

     249,000        USD        279,468      JPM      282,453      12/2/21      2,985  

Indonesian Rupiah

     2,413,458,128        USD        167,714      BNP      168,294      12/15/21      580  

Indonesian Rupiah

     551,784,441        USD        38,337      HSBC      38,477      12/15/21      140  

Indonesian Rupiah

     1,138,792,284        USD        79,281      SCB      79,410      12/15/21      129  
                    

 

 

 
                       (4,855
                    

 

 

 

Contracts to Sell:

                    

Australian Dollar

     1,684,000        USD        1,265,608      MLP      1,200,524      12/2/21      65,084  

British Pound

     42,000        USD        56,667      BCLY      55,885      12/2/21      782  

British Pound

     49,000        USD        66,213      BCLY      65,200      12/2/21      1,013  

British Pound

     37,000        USD        50,468      MLP      49,232      12/2/21      1,236  

British Pound

     5,056,000        USD        6,930,602      SCB      6,727,511      12/2/21      203,091  

British Pound

     4,978,000        USD        6,591,554      BNP      6,629,386      1/5/22      (37,832

Canadian Dollar

     682,000        USD        551,125      BNP      533,792      12/2/21      17,333  

Chinese Offshore Renminbi

     85,608        USD        13,302      HSBC      13,388      1/21/22      (86

Chinese Offshore Renminbi

     37,884        USD        5,893      HSBC      5,925      1/21/22      (32

Chinese Offshore Renminbi

     27,265        USD        4,245      JPM      4,264      1/21/22      (19

Chinese Offshore Renminbi

     27,031        USD        4,245      JPM      4,227      1/21/22      18  

Chinese Offshore Renminbi

     27,184        USD        4,233      JPM      4,251      1/21/22      (18

Chinese Offshore Renminbi

     27,190        USD        4,234      JPM      4,252      1/21/22      (18

Chinese Offshore Renminbi

     45,611        USD        7,123      JPM      7,133      1/21/22      (10

Chinese Offshore Renminbi

     19,000        USD        2,963      JPM      2,972      1/21/22      (9

Chinese Offshore Renminbi

     67,904        USD        10,562      SCB      10,619      1/21/22      (57

Danish Krone

     195,000        USD        30,499      HSBC      29,841      4/1/22      658  

Danish Krone

     190,000        USD        29,846      HSBC      29,076      4/1/22      770  

Danish Krone

     860,000        USD        134,172      HSBC      131,606      4/1/22      2,566  

Danish Krone

     19,110,000        USD        2,985,657      HSBC      2,924,416      4/1/22      61,241  

Danish Krone

     195,000        USD        30,570      HSBC      29,841      4/1/22      729  

Danish Krone

     660,000        USD        100,463      JPM      101,000      4/1/22      (537

Danish Krone

     385,000        USD        60,213      JPM      58,916      4/1/22      1,297  

Danish Krone

     285,000        USD        44,500      JPM      43,614      4/1/22      886  

Danish Krone

     285,000        USD        44,723      MLP      43,614      4/1/22      1,109  

Danish Krone

     860,000        USD        130,943      MLP      131,607      4/1/22      (664

Danish Krone

     855,000        USD        131,999      MLP      130,842      4/1/22      1,157  

Danish Krone

     770,000        USD        119,090      MLP      117,834      4/1/22      1,256  

Danish Krone

     195,000        USD        29,763      MLP      29,841      4/1/22      (78

Danish Krone

     190,000        USD        28,751      MLP      29,076      4/1/22      (325

Danish Krone

     855,000        USD        130,168      MLP      130,841      4/1/22      (673

Danish Krone

     13,275,246        USD        2,096,864      MLP      2,031,520      4/1/22      65,344  

Danish Krone

     1,540,000        USD        236,120      MLP      235,667      4/1/22      453  

Euro

     226,000        USD        254,981      DUB      256,363      12/2/21      (1,382

Euro

     7,994,000        USD        9,256,384      SCB      9,067,995      12/2/21      188,389  

Euro

     7,971,000        USD        8,985,420      SCB      9,055,577      1/4/22      (70,157

Indonesian Rupiah

     4,087,396,599        USD        286,052      JPM      285,020      12/15/21      1,032  

Japanese Yen

     352,273,931        USD        3,090,044      SCB      3,116,779      12/2/21      (26,735

Japanese Yen

     352,273,931        USD        3,104,869      SCB      3,119,243      1/5/22      (14,374

New Zealand Dollar

     291,000        USD        209,150      HSBC      198,607      12/2/21      10,543  

Peruvian Sol

     1,887,374        USD        458,085      BNP      462,809      1/18/22      (4,724
                    

 

 

 
                       468,257  
                    

 

 

 

Net Unrealized Appreciation on Open Forward Foreign Currency Contracts

 

                  $ 463,402  
                 

 

 

 

 

232


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund held the following Centrally Cleared Interest Rate Swap Contracts:

 

Pay/Receive
Floating Rate
   Floating Rate Index    Fixed
Rate
    Maturity
Date
     Payment
Frequency
    Notional
Amount
     Market
Value
   

Upfront

Payment

(Received)

   

Unrealized

Appreciation/

(Depreciation)

 

Receive

  

3-Month FRA New Zealand Bank Bill

     3.250     3/21/28        6-Month     NZD 700,000      $ (19,285   $ (103,179   $ 83,894  

Receive

  

3-Month USD-LIBOR

     1.840     11/21/28        6-Month     USD 1,500,000        (12,635     —         (12,635

Pay

  

3-Month USD-LIBOR

     1.888     11/21/53        6-Month     USD 300,000        14,484       —         14,484  

Receive

  

6-Month JPY-LIBOR

     0.300     9/20/27        6-Month     JPY 5,590,000        (809     (1,230     421  

Pay

  

Sterling Overnight Index Average

     0.900     3/21/23        PAM*     GBP 15,200,000        (16,004     (57,167     41,163  

Receive

  

Sterling Overnight Index Average

     1.013     3/20/24        PAM*     GBP 15,200,000        29,660       (39,837     69,497  
               

 

 

   

 

 

   

 

 

 
                $ (4,589   $ (201,413   $ 196,824  
               

 

 

   

 

 

   

 

 

 

 

*

PAM— paid at maturity.

 

233


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

At November 30, 2021, Inflation-Linked Fixed Income Fund held the following Centrally Cleared Inflation Rate Swap Contracts:

 

Pay/ Receive

Floating Rate

   Floating Rate Index    Fixed
Rate
  Maturity
Date
  

Notional

Amount

     Market
Value
    Upfront
Premiums
Paid/
(Received)
    Unrealized
Appreciation/
(Depreciation)
 

Receive

   2-Year EUR Inflation Linked    0.090%   5/15/22    EUR      100,000      $ 5,195     $ 423     $ 4,772  

Receive

   2-Year EUR Inflation Linked    0.330%   7/15/22    EUR      600,000        31,240       2,849       28,391  

Receive

   5-Year EUR Inflation Linked    1.030%   3/15/24    EUR      2,000,000        30,734       (75,970     106,704  

Pay

   10-Year EUR Inflation Linked    1.380%   3/15/31    EUR      1,300,000        (118,140     (9,569     (108,571

Pay

   10-Year EUR Inflation Linked    62.050%   5/15/28    EUR      910,000        (14,807     93,051       (107,858

Receive

   15-Year EUR Inflation Linked    1.710%   3/15/33    EUR      100,000        1,699       (15,114     16,813  

Pay

   5-Year GBP Inflation Linked    3.330%   1/15/25    GBP      4,000,000        (333,062     41,097       (374,159

Pay

   5-Year GBP Inflation Linked    3.850%   9/15/24    GBP      1,300,000        (39,123     76,362       (115,485

Pay

   10-Year GBP Inflation Linked    3.475%   8/15/30    GBP      900,000        (176,608     9,395       (186,003

Pay

   10-Year GBP Inflation Linked    3.718%   12/15/28    GBP      920,000        (78,279     69,593       (147,872

Pay

   10-Year GBP Inflation Linked    3.750%   4/15/31    GBP      520,000        (87,084     (4     (87,080

Pay

   15-Year GBP Inflation Linked    3.580%   3/15/36    GBP      300,000        (62,737     (2,006     (60,731

Pay

   15-Year GBP Inflation Linked    3.750%   3/15/36    GBP      100,000        (21,322     —         (21,322

Pay

   1-Year USD Inflation Linked    2.155%   1/19/22    USD      400,000        (17,878     —         (17,878

Pay

   1-Year USD Inflation Linked    2.155%   2/4/22    USD      1,800,000        (85,776     —         (85,776

Pay

   1-Year USD Inflation Linked    2.170%   2/1/22    USD      1,100,000        (52,078     —         (52,078

Pay

   1-Year USD Inflation Linked    2.180%   1/19/22    USD      1,300,000        (57,780     (20     (57,760

Pay

   1-Year USD Inflation Linked    2.200%   2/5/22    USD      400,000        (18,926     —         (18,926

Pay

   1-Year USD Inflation Linked    2.200%   1/21/22    USD      600,000        (26,816     —         (26,816

Receive

   7-Year USD Inflation Linked    1.798%   8/25/27    USD      600,000        70,918       5,868       65,050  

Receive

   7-Year USD Inflation Linked    1.890%   8/27/27    USD      700,000        77,794       1,693       76,101  

Receive

   5-Year USD Inflation Linked    2.210%   2/5/23    USD      2,090,000        90,882       (62,311     153,193  

Receive

   5-Year USD Inflation Linked    2.220%   4/13/23    USD      6,296,000        265,028       (214,466     479,494  

Receive

   5-Year USD Inflation Linked    2.703%   5/25/26    USD      510,000        20,706       80       20,626  

Receive

   5-Year USD Inflation Linked    2.768%   5/13/26    USD      500,000        19,047       —         19,047  

Receive

   5-Year USD Inflation Linked    2.813%   5/14/26    USD      300,000        10,676       —         10,676  

Receive

   7-Year USD Inflation Linked    2.573%   8/26/28    USD      100,000        2,853       —         2,853  

Receive

   7-Year USD Inflation Linked    2.645%   9/10/28    USD      100,000        2,019       —         2,019  

Pay

   10-Year USD Inflation Linked    1.280%   5/19/30    USD      800,000        (146,071     (50,027     (96,044

Pay

   10-Year USD Inflation Linked    1.760%   11/4/29    USD      1,200,000        (153,601     (8,764     (144,837

Pay

   10-Year USD Inflation Linked    1.883%   11/20/29    USD      1,500,000        (173,097     9,233       (182,330

Receive

   10-Year USD Inflation Linked    2.311%   2/24/31    USD      2,300,000        182,347       1,035       181,312  

Pay

   10-Year USD Inflation Linked    2.335%   2/5/28    USD      960,000        (54,117     59,292       (113,409

Pay

   10-Year USD Inflation Linked    2.353%   5/9/28    USD      360,000        (19,132     24,122       (43,254

Pay

   10-Year USD Inflation Linked    2.360%   5/9/28    USD      540,000        (28,234     36,670       (64,904

Pay

   10-Year USD Inflation Linked    2.364%   5/10/28    USD      550,000        (28,557     37,569       (66,126
                

 

 

   

 

 

   

 

 

 
                 $ (982,087   $ 30,081     $ (1,012,168
                

 

 

   

 

 

   

 

 

 

 

234


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Centrally Cleared - Credit Default Swaps on Corporate Issues - Sell Protection (1)

 

Reference Obligation & Rating†    Fixed Deal
Receive Rate
  Maturity
Date
     Payment
Frequency
     Implied Credit
Spread at
11/30/21 (2)
 

Notional

Amount (3)

     Market
Value
     Upfront
Payment
(Received)
    Unrealized
Appreciation
 

General Electric Co., BBB+

   1.000%     12/20/23        3-Month      3.038%   USD      100,000      $ 1,638      $ (176   $ 1,814  
                  

 

 

    

 

 

   

 

 

 

 

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

 

235


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

 

(1)

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

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of an emerging country as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as ‘‘Defaulted’’ indicates a credit event has occurred for the referenced entity or obligation.

(3)

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

At November 30, 2021, Inflation-Linked Fixed Income Fund deposited cash collateral with brokers in the amount of $457,000 for open centrally cleared swap contracts.

At November 30, 2021, Inflation-Linked Fixed Income Fund had cash collateral from brokers in the amount of $650,000 for open OTC swap contracts.

 

236


Schedules of Investments

(unaudited) (continued)

 

Inflation-Linked Fixed Income Fund

 

Currency Abbreviations used in this schedule:

AUD       Australian Dollar
CAD       Canadian Dollar
DKK       Danish Krone
EUR       Euro
GBP       British Pound
JPY       Japanese Yen
NOK       Norwegian Krone
NZD       New Zealand Dollar
PEN       Peruvian Sol
SEK       Swedish Krona
SGD       Singapore Dollar
USD       United States Dollar
ZAR       South African Rand
Counterparty Abbreviations used in this schedule:
BCLY       Barclays Bank PLC
BNP       BNP Paribas SA
DUB       Deutsche Bank AG
HSBC       HSBC Bank USA
JPM       JPMorgan Chase & Co.
MLP       Merrill Lynch, Pierce, Fenner & Smith Inc.
SCB       Standard Chartered Bank
 

 

See pages 254-256 for definitions of ratings.

At November 30, 2021, Inflation-Linked Fixed Income Fund was involved in following sale-buyback transaction:

 

Counterparty   

Borrowing

Date

    

Maturity

Date

    

Borrowing

Rate

 

Amount

Borrowed

 

BofA Securities, Inc.

     11/30/21        12/1/2021      0.08%   $ 2,303,547  
          

 

 

 

 

237


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 36.3%

 
 

Aerospace/Defense - 1.3%

 
    

Boeing Co. (The), Senior Unsecured Notes:

  
  $      3,727,000     BBB-   

4.508% due 5/1/23

   $ 3,893,634  
  100,000     BBB-   

1.875% due 6/15/23

     100,981  
  3,600,000     BBB-   

1.433% due 2/4/24

       3,600,502  
       

 

 

 
    

Total Aerospace/Defense

     7,595,117  
       

 

 

 
 

Agriculture - 1.4%

 
  3,700,000     BBB+   

BAT Capital Corp., Company Guaranteed Notes, 3.222% due 8/15/24

     3,857,324  
  3,300,000     BBB   

Imperial Brands Finance PLC, Company Guaranteed Notes, 3.750% due 7/21/22(a)

     3,345,892  
  600,000     BBB+   

Reynolds American Inc., Company Guaranteed Notes, 4.450% due 6/12/25

     649,609  
       

 

 

 
    

Total Agriculture

     7,852,825  
       

 

 

 
 

Airlines - 0.1%

 
  800,000     B+   

Delta Air Lines Inc., Senior Unsecured Notes, 3.625% due 3/15/22

     801,037  
       

 

 

 
 

Auto Manufacturers - 4.0%

 
    

Ford Motor Credit Co. LLC, Senior Unsecured Notes:

  
  300,000     BB+   

3.264% (3-Month USD-LIBOR + 3.140%) due 1/7/22(b)

     300,500  
  800,000     BB+   

5.596% due 1/7/22

     803,912  
  500,000     BB+   

3.219% due 1/9/22

     501,263  
  500,000     BB+   

2.979% due 8/3/22

     504,255  
  1,600,000     BB+   

3.350% due 11/1/22

     1,618,704  
    

General Motors Financial Co., Inc.:

  
    

Company Guaranteed Notes:

  
  500,000     BBB   

1.677% (3-Month USD-LIBOR + 1.550%) due 1/14/22(b)

     500,669  
  1,500,000     BBB   

1.442% (3-Month USD-LIBOR + 1.310%) due 6/30/22(b)

     1,506,522  
  400,000     BBB   

Senior Unsecured Notes, 3.550% due 7/8/22

     406,971  
  700,000     BBB-   

Harley-Davidson Financial Services Inc., Company Guaranteed Notes, 4.050% due 2/4/22(a)

     704,156  
    

Hyundai Capital America, Senior Unsecured Notes:

  
  100,000     BBB+   

3.250% due 9/20/22

     102,096  
  1,500,000     BBB+   

0.800% due 4/3/23(a)

     1,497,193  
  1,200,000     BBB+   

5.750% due 4/6/23

     1,274,760  
  1,000,000     BBB+   

5.750% due 4/6/23(a)

     1,062,300  
  1,500,000     BBB+   

1.250% due 9/18/23(a)

     1,503,979  
    

Nissan Motor Acceptance Co. LLC, Senior Unsecured Notes:

  
  500,000     BBB-   

1.012% (3-Month USD-LIBOR + 0.890%) due 1/13/22(a)(b)

     500,321  
  1,630,000     BBB-   

2.650% due 7/13/22

     1,647,573  
  2,400,000     BBB-   

0.822% (3-Month USD-LIBOR + 0.690%) due 9/28/22(a)(b)

     2,402,248  
  1,000,000     BBB-   

3.875% due 9/21/23(a)

     1,044,705  
  974,000     BBB-   

Stellantis NV, Senior Unsecured Notes, 5.250% due 4/15/23

     1,031,554  
  710,000  AUD    BBB+   

Volkswagen Financial Services Australia Pty Ltd., Company Guaranteed Notes, 1.311% (3-Month Australian Bank Bill + 1.300%) due 9/14/22(b)

     509,321  
  4,000,000  CAD    BBB+   

VW Credit Canada Inc., (Restricted, cost - $3,234,910, acquired 3/5/21), Company Guaranteed Notes, 2.650% due 6/27/22(c)

     3,165,267  
       

 

 

 
    

Total Auto Manufacturers

     22,588,269  
       

 

 

 
 

Banks - 15.4%

 
  200,000  AUD    A   

ADCB Finance Cayman Ltd., Company Guaranteed Notes, 1.422% (3-Month Australian Bank Bill + 1.380%) due 10/25/22(b)

     143,517  
  700,000     BBB+   

Aozora Bank Ltd., Senior Unsecured Notes, 2.550% due 9/9/22

     708,417  
  400,000  AUD    A-   

Banco Santander SA, Senior Unsecured Notes, 1.685% (3-Month Australian Bank Bill + 1.650%) due 1/19/23(b)

     288,637  
  1,200,000     BBB+   

Bangkok Bank PCL, Senior Unsecured Notes, 3.875% due 9/27/22

     1,229,225  
  3,500,000  CAD    A-   

Bank of America Corp., (Restricted, cost - $2,709,688, acquired 10/5/20), Senior Unsecured Notes, 2.604% (3-Month Canadian Bank Bill + 1.125%) due 3/15/23(b)(c)

     2,755,720  
    

Barclays PLC, Senior Unsecured Notes:

  
  300,000     BBB   

1.586% (3-Month USD-LIBOR + 1.430%) due 2/15/23(b)

     300,679  
  1,000,000     BBB   

4.610% (3-Month USD-LIBOR + 1.400%) due 2/15/23(b)

     1,007,838  
  1,250,000  AUD    BBB   

1.811% (3-Month Australian Bank Bill + 1.800%) due 6/15/23(b)

     908,975  

 

238


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 36.3% - (continued)

 
 

Banks - 15.4% - (continued)

 
  $      3,200,000     BBB   

1.535% (3-Month USD-LIBOR + 1.380%) due 5/16/24(b)

   $ 3,239,251  
  4,411,000     BB+   

CIT Group Inc., Senior Unsecured Notes, 5.000% due 8/15/22

       4,532,986  
    

Citigroup Inc., Senior Unsecured Notes:

  
  1,500,000     BBB+   

1.074% (3-Month USD-LIBOR + 0.950%) due 7/24/23(b)

     1,505,993  
  2,100,000     BBB+   

1.601% (3-Month USD-LIBOR + 1.430%) due 9/1/23(b)

     2,118,743  
  500,000     BBB+   

1.258% (3-Month USD-LIBOR + 1.100%) due 5/17/24(b)

     506,018  
  300,000     BBB+   

1.194% (3-Month USD-LIBOR + 1.023%) due 6/1/24(b)

     303,887  
  1,000,000     A-   

Credit Agricole SA, Senior Unsecured Notes, 1.175% (3-Month USD-LIBOR + 1.050%) due 3/22/24(b)

     1,011,154  
    

Credit Suisse Group AG, Senior Unsecured Notes:

  
  2,000,000     BBB+   

3.574% due 1/9/23(a)

     2,005,649  
  1,750,000     BBB+   

1.354% (3-Month USD-LIBOR + 1.240%) due 6/12/24(b)

     1,771,181  
  2,000,000     BBB+   

1.354% (3-Month USD-LIBOR + 1.240%) due 6/12/24(a)(b)

     2,024,207  
    

Danske Bank AS, Senior Unsecured Notes:

  
  900,000     BBB+   

1.174% (3-Month USD-LIBOR + 1.060%) due 9/12/23(b)

     907,893  
  500,000     BBB+   

1.174% (3-Month USD-LIBOR + 1.060%) due 9/12/23(a)(b)

     504,385  
  1,000,000     BBB+   

3.875% due 9/12/23(a)

     1,046,791  
  3,431,000     BBB+   

1.171% (1-Year CMT Index + 1.030%) due 12/8/23(a)(b)

     3,434,388  
  600,000     BBB+   

5.375% due 1/12/24

     648,885  
    

Deutsche Bank AG, Senior Unsecured Notes:

  
  300,000     BBB-   

1.345% (3-Month USD-LIBOR + 1.190%) due 11/16/22(b)

     301,940  
  1,300,000     BBB-   

3.300% due 11/16/22

     1,331,404  
  500,000  AUD    BBB-   

1.470% (3-Month Australian Bank Bill + 1.400%) due 1/30/23(b)

     359,104  
  400,000     BBB-   

1.406% (3-Month USD-LIBOR + 1.230%) due 2/27/23(b)

     403,747  
  300,000     A-   

Deutsche Bank AG, (Restricted, cost - $300,399, acquired 5/26/21), Senior Unsecured Notes, 0.898% due 5/28/24(c)

     298,024  
    

First Abu Dhabi Bank PJSC, Senior Unsecured Notes:

  
  1,500,000     AA-   

1.072% (3-Month USD-LIBOR + 0.950%) due 4/16/22(b)

     1,502,286  
  1,700,000  AUD    AA-   

1.140% (3-Month Australian Bank Bill + 1.100%) due 2/18/25(b)

     1,220,271  
    

Goldman Sachs Group Inc. (The), Senior Unsecured Notes:

  
  700,000     BBB+   

0.479% (SOFR + 0.430%) due 3/8/23(b)

     699,781  
  1,500,000  AUD    BBB+   

zero coupon, (3-Month Australian Bank Bill + 1.200%) due 5/16/23(b)

     1,080,043  
  1,000,000  AUD    BBB+   

1.612% (3-Month Australian Bank Bill + 1.550%) due 5/2/24(b)

     729,333  
  1,000,000     BBB+   

0.925% (SOFR + 0.486%) due 10/21/24(b)

     996,310  
    

Hana Bank, Senior Unsecured Notes:

  
  1,000,000     A+   

3.375% due 1/30/22

     1,004,375  
  400,000     A+   

0.991% (3-Month USD-LIBOR + 0.875%) due 9/14/22(b)

     401,884  
  1,000,000     A+   

0.925% (3-Month USD-LIBOR + 0.800%) due 7/26/23(b)

     1,008,015  
  5,900,000     A-   

HSBC Holdings PLC, Senior Unsecured Notes, 1.344% (3-Month USD-LIBOR + 1.230%) due 3/11/25(b)

     6,006,815  
  1,900,000     A-   

ING Groep NV, Senior Unsecured Notes, 1.059% (SOFR + 1.010%) due 4/1/27(b)

     1,917,629  
    

JPMorgan Chase & Co., Senior Unsecured Notes:

  
  3,300,000     A-   

1.014% (3-Month USD-LIBOR + 0.890%) due 7/23/24(b)

     3,328,977  
  600,000     A-   

0.814% (SOFR + 0.765%) due 9/22/27(b)

     604,730  
  1,500,000  AUD    BBB+   

Lloyds Banking Group PLC, Senior Unsecured Notes, 1.313% (3-Month Australian Bank Bill + 1.300%) due 3/20/23(b)

     1,081,538  
    

Mizuho Financial Group Inc., Senior Unsecured Notes:

  
  2,900,000     A-   

0.964% (3-Month USD-LIBOR + 0.850%) due 9/13/23(b)

     2,913,038  
  1,500,000     A-   

0.810% (3-Month USD-LIBOR + 0.630%) due 5/25/24(b)

     1,504,563  
    

NatWest Group PLC, Senior Unsecured Notes:

  
  2,120,000     BBB   

3.498% (3-Month USD-LIBOR + 1.480%) due 5/15/23(b)

     2,145,659  
  300,000     BBB   

1.682% (3-Month USD-LIBOR + 1.550%) due 6/25/24(b)

     305,432  
  1,200,000     A   

Nordea Bank Abp, Senior Unsecured Notes, 1.115% (3-Month USD-LIBOR + 0.940%) due 8/30/23(a)(b)

     1,212,941  
    

QNB Finance Ltd., Company Guaranteed Notes:

  
  1,000,000     A   

1.132% (3-Month USD-LIBOR + 1.000%) due 5/2/22(b)

     1,001,947  
  500,000  AUD    A   

1.812% (3-Month Australian Bank Bill + 1.750%) due 2/1/23(b)

     360,553  
  800,000     Aa3(d)   

QNB Finance Ltd., (Restricted, cost - $808,304, acquired 6/20/19), Senior Unsecured Notes, 1.438% (3-Month USD-LIBOR + 1.320%) due 12/6/21(b)(c)

     800,402  

 

239


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 36.3% - (continued)

 
 

Banks - 15.4% - (continued)

 
  $      2,000,000     BBB+   

Santander Holdings USA Inc., Senior Unsecured Notes, 4.450% due 12/3/21

   $   2,000,228  
    

Standard Chartered PLC, Senior Unsecured Notes:

  
  600,000     BBB+   

1.282% (3-Month USD-LIBOR + 1.150%) due 1/20/23(a)(b)

     600,642  
  1,700,000     BBB+   

3.785% (3-Month USD-LIBOR + 1.560%) due 5/21/25(a)(b)

     1,792,137  
  1,000,000     BBB-   

State Bank of India, Senior Unsecured Notes, 4.000% due 1/24/22(a)

     1,004,520  
  7,200,000  AUD    A-   

Sumitomo Mitsui Financial Group Inc., Senior Unsecured Notes, 1.284% (3-Month Australian Bank Bill + 1.250%) due 10/16/24(b)

     5,235,334  
  5,600,000  AUD    A+   

UBS AG, Senior Unsecured Notes, 0.940% (3-Month Australian Bank Bill + 0.870%) due 7/30/25(b)

     4,042,517  
  200,000  CAD    BBB+   

Wells Fargo & Co., (Restricted, cost - $153,473, acquired 10/6/20), Senior Unsecured Notes, 2.094% due 4/25/22(c)

     157,538  
  5,200,000  CAD    BBB+   

Wells Fargo & Co., (Restricted, cost - $4,286,016, acquired 2/11/21), Senior Unsecured Notes, 2.509% due 10/27/23(c)

     4,141,547  
  1,000,000  CAD    BBB+   

Wells Fargo & Co., (Restricted, cost - $797,484, acquired 10/6/20), Senior Unsecured Notes, 3.184% due 2/8/24(c)

     807,008  
       

 

 

 
    

Total Banks

     87,206,631  
       

 

 

 
 

Beverages - 0.1%

 
  500,000     BBB-   

JDE Peet’s NV, Company Guaranteed Notes, 0.800% due 9/24/24(a)

     490,534  
       

 

 

 
 

Commercial Services - 0.5%

 
  3,000,000     A1(d)   

Central Nippon Expressway Co., Ltd., Senior Unsecured Notes, 0.929% (3-Month USD-LIBOR + 0.810%) due 3/3/22(b)

     3,005,070  
       

 

 

 
 

Computers - 1.1%

 
  1,860,000     BBB   

Dell International LLC/EMC Corp., Senior Unsecured Notes, 5.450% due 6/15/23

     1,974,318  
  4,000,000     BBB-   

Leidos Inc., Company Guaranteed Notes, 2.950% due 5/15/23

     4,118,247  
       

 

 

 
    

Total Computers

     6,092,565  
       

 

 

 
 

Diversified Financial Services - 4.7%

 
  4,300,000     BBB   

AerCap Ireland Capital DAC/AerCap Global Aviation Trust, Company Guaranteed Notes, 4.500% due 9/15/23

     4,533,837  
    

Aircastle Ltd., Senior Unsecured Notes:

  
  1,200,000     BBB-   

5.000% due 4/1/23

     1,261,116  
  800,000     BBB-   

4.400% due 9/25/23

     841,673  
  500,000     BBB-   

Ally Financial Inc., Senior Unsecured Notes, 4.125% due 2/13/22

     503,494  
    

Aviation Capital Group LLC, Senior Unsecured Notes:

  
  1,550,000     BBB-   

2.875% due 1/20/22(a)

     1,551,718  
  2,000,000     BBB-   

3.875% due 5/1/23(a)

     2,071,864  
  500,000     BBB-   

Avolon Holdings Funding Ltd., Company Guaranteed Notes, 5.500% due 1/15/23(a)

     522,205  
    

BOC Aviation Ltd., Senior Unsecured Notes:

  
  1,200,000     A-   

3.000% due 5/23/22

     1,208,745  
  500,000     A-   

2.750% due 9/18/22

     505,704  
  200,000     A-   

2.750% due 9/18/22(a)

     202,282  
  400,000     A-   

1.257% (3-Month USD-LIBOR + 1.125%) due 9/26/23(a)(b)

     401,820  
  600,000     A-   

BOC Aviation USA Corp., Company Guaranteed Notes, 1.625% due 4/29/24(a)

     602,194  
  800,000     BBB-   

LeasePlan Corp. NV, Senior Unsecured Notes, 2.875% due 10/24/24(a)

     830,269  
  500,000     A-   

Mitsubishi HC Capital Inc., Senior Unsecured Notes, 2.652% due 9/19/22(a)

     507,369  
  1,400,000     B+   

Navient Corp., Senior Unsecured Notes, 6.500% due 6/15/22

     1,444,135  
    

Nomura Holdings Inc., Senior Unsecured Notes:

  
  2,400,000     BBB+   

2.648% due 1/16/25

     2,483,769  
  1,100,000     BBB+   

1.851% due 7/16/25

     1,105,793  
    

ORIX Corp., Senior Unsecured Notes:

  
  200,000     A-   

3.200% due 1/19/22

     200,710  
  400,000     A-   

2.900% due 7/18/22

     405,603  
    

Park Aerospace Holdings Ltd., Company Guaranteed Notes:

  
  2,600,000     BBB-   

5.250% due 8/15/22(a)

     2,667,705  
  1,000,000     BBB-   

4.500% due 3/15/23(a)

     1,036,825  
  1,800,000     BBB-   

Synchrony Financial, Senior Unsecured Notes, 2.850% due 7/25/22

     1,824,267  
       

 

 

 
    

Total Diversified Financial Services

     26,713,097  
       

 

 

 
 

Electric - 1.7%

 
  400,000     BBB+   

Cleco Power LLC, Senior Unsecured Notes, 0.616% (3-Month USD-LIBOR + 0.500%) due 6/15/23(a)(b)

     399,976  
  1,000,000     BBB+   

Enel Finance International NV, Company Guaranteed Notes, 2.650% due 9/10/24

     1,034,865  
  200,000     BBB+   

Iberdrola International BV, Company Guaranteed Notes, 5.810% due 3/15/25

     230,051  

 

240


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 36.3% - (continued)

 
 

Electric - 1.7% - (continued)

 
    

Israel Electric Corp., Ltd., Senior Secured Notes:

  
  $      400,000     BBB   

6.875% due 6/21/23

   $ 434,761  
  600,000     BBB   

5.000% due 11/12/24(a)

     654,564  
  1,400,000  AUD    Aa2(d)   

Korea Southern Power Co., Ltd., Senior Unsecured Notes, 1.040% (3-Month Australian Bank Bill + 0.970%) due 10/30/24(b)

     1,011,060  
    

Pacific Gas & Electric Co., 1st Mortgage Notes:

  
  2,200,000     BBB-   

1.598% (3-Month USD-LIBOR + 1.480%) due 6/16/22(b)

     2,200,176  
  1,000,000     BBB-   

1.750% due 6/16/22

     999,506  
  1,400,000     BBB-   

4.250% due 8/1/23

     1,450,486  
  500,000     BBB-   

3.850% due 11/15/23

     517,131  
  300,000     BBB-   

3.750% due 2/15/24

     310,787  
  100,000     BBB-   

3.400% due 8/15/24

     103,623  
       

 

 

 
    

Total Electric

     9,346,986  
       

 

 

 
 

Electronics - 0.3%

 
  300,000     BBB-   

Arrow Electronics Inc., Senior Unsecured Notes, 3.500% due 4/1/22

     301,368  
  1,500,000     BBB-   

SYNNEX Corp., Senior Unsecured Notes, 1.250% due 8/9/24(a)

     1,489,604  
       

 

 

 
    

Total Electronics

     1,790,972  
       

 

 

 
 

Food - 0.1%

 
  200,000     BBB-   

Barry Callebaut Services NV, Company Guaranteed Notes, 5.500% due 6/15/23

     213,480  
  300,000     BB+   

Kraft Heinz Foods Co., Company Guaranteed Notes, 0.966% (3-Month USD-LIBOR + 0.820%) due 8/10/22(b)

     299,717  
       

 

 

 
    

Total Food

     513,197  
       

 

 

 
 

Holding Companies - Diversified - 0.4%

 
  1,250,000     A   

CK Hutchison International 17 Ltd., Company Guaranteed Notes, 2.875% due 4/5/22

     1,259,112  
  843,000     A   

Hutchison Whampoa International 12 II Ltd., Company Guaranteed Notes, 3.250% due 11/8/22

     863,218  
       

 

 

 
    

Total Holding Companies - Diversified

     2,122,330  
       

 

 

 
 

Home Builders - 0.1%

 
  700,000     BBB-   

Lennar Corp., Company Guaranteed Notes, 4.750% due 11/15/22

     719,968  
       

 

 

 
 

Insurance - 0.3%

 
    

GA Global Funding Trust, Secured Notes:

  
  1,000,000     A-   

0.550% (SOFR + 0.500%) due 9/13/24(a)(b)

     1,001,540  
  400,000     A-   

1.625% due 1/15/26(a)

     399,925  
  400,000     AA-   

Pacific Life Global Funding II, Secured Notes, 0.669% (SOFR + 0.620%) due 6/4/26(a)(b)

     403,166  
       

 

 

 
    

Total Insurance

     1,804,631  
       

 

 

 
 

Investment Companies - 0.1%

 
  400,000     Baa3(d)   

FS KKR Capital Corp., Senior Unsecured Notes, 1.650% due 10/12/24

     393,842  
       

 

 

 
 

Lodging - 0.4%

 
  400,000     BB+   

Hyatt Hotels Corp., Senior Unsecured Notes, 1.099% (SOFR + 1.050%) due 10/1/23(b)

     400,847  
  1,800,000     B+   

MGM Resorts International, Company Guaranteed Notes, 7.750% due 3/15/22

     1,825,695  
       

 

 

 
    

Total Lodging

     2,226,542  
       

 

 

 
 

Media - 1.0%

 
  4,189,000     BBB-   

Charter Communications Operating LLC/Charter Communications Operating Capital, Senior Secured Notes, 1.782% (3-Month USD-LIBOR + 1.650%) due 2/1/24(b)

     4,285,257  
  1,000,000     BBB-   

Time Warner Entertainment Co. LP, Senior Secured Notes, 8.375% due 3/15/23

     1,096,377  
       

 

 

 
    

Total Media

     5,381,634  
       

 

 

 
 

Oil & Gas - 0.5%

 
  1,300,000     A-   

BP Capital Markets America Inc., Company Guaranteed Notes, 0.772% (3-Month USD-LIBOR + 0.650%) due 9/19/22(b)

     1,305,508  
  400,000     BBB+   

Reliance Industries Ltd., Senior Unsecured Notes, 5.400% due 2/14/22

     403,501  
  1,000,000     A1(d)   

Saudi Arabian Oil Co., Senior Unsecured Notes, 2.875% due 4/16/24

     1,035,445  
       

 

 

 
    

Total Oil & Gas

     2,744,454  
       

 

 

 
 

Packaging & Containers - 0.3%

 
    

Berry Global Inc., Senior Secured Notes:

  
  600,000     BBB-   

0.950% due 2/15/24

     593,805  
  1,114,000     BBB-   

4.875% due 7/15/26(a)

     1,157,251  
       

 

 

 
    

Total Packaging & Containers

     1,751,056  
       

 

 

 

 

241


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

CORPORATE BONDS & NOTES - 36.3% - (continued)

 
 

Pipelines - 0.2%

 
  $        600,000     BBB-   

Energy Transfer LP/Regency Energy Finance Corp., Senior Unsecured Notes, 5.000% due 10/1/22

   $ 614,475  
  272,000     BBB-   

Sabine Pass Liquefaction LLC, Senior Secured Notes, 6.250% due 3/15/22

     272,545  
       

 

 

 
    

Total Pipelines

     887,020  
       

 

 

 
 

Semiconductors - 0.4%

 
  1,000,000     Baa2(d)   

Microchip Technology Inc., Senior Secured Notes, 4.333% due 6/1/23

     1,047,775  
    

NXP BV/NXP Funding LLC, Company Guaranteed Notes:

  
  500,000     BBB   

3.875% due 9/1/22(a)

     510,846  
  240,000     BBB   

4.625% due 6/1/23

     252,573  
  620,000     BBB   

4.625% due 6/1/23(a)

     652,480  
       

 

 

 
    

Total Semiconductors

     2,463,674  
       

 

 

 
 

Software - 0.1%

 
  500,000     BBB-   

VMware Inc., Senior Unsecured Notes, 1.000% due 8/15/24

     496,898  
       

 

 

 
 

Telecommunications - 1.5%

 
  3,300,000  AUD    BBB   

AT&T Inc., Senior Unsecured Notes, 1.263% (3-Month Australian Bank Bill + 1.250%) due 9/19/23(b)

     2,379,914  
  1,000,000  CAD    BBB   

AT&T Inc., (Restricted, cost - $794,831, acquired 10/5/20), Senior Unsecured Notes, 2.850% due 5/25/24(c)

     801,247  
  5,400,000  AUD    BBB+   

Verizon Communications Inc., Senior Unsecured Notes, 1.265% (3-Month Australian Bank Bill + 1.220%) due 2/17/23(b)

     3,882,451  
  2,280,000  AUD    BBB   

Vodafone Group PLC, Senior Unsecured Notes, 1.062% (3-Month Australian Bank Bill + 1.050%) due 12/13/22(b)

     1,633,419  
       

 

 

 
    

Total Telecommunications

     8,697,031  
       

 

 

 
 

Trucking & Leasing - 0.3%

 
    

SMBC Aviation Capital Finance DAC, Company Guaranteed Notes:

  
  400,000     A-   

3.000% due 7/15/22

     404,960  
  500,000     A-   

4.125% due 7/15/23(a)

     523,872  
  700,000     A-   

3.550% due 4/15/24(a)

     735,170  
       

 

 

 
    

Total Trucking & Leasing

     1,664,002  
       

 

 

 
    

TOTAL CORPORATE BONDS & NOTES

(Cost - $206,568,836)

     205,349,382  
       

 

 

 
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 30.0%

 
  947,095     Aaa(d)   

A10 Bridge Asset Financing LLC, Series 2020-C, Class A, 2.021% due 8/15/40(a)

     950,034  
  480,436     B-   

ACE Securities Corp. Home Equity Loan Trust, Series 2004-OP1, Class M1, 0.872% (1-Month USD-LIBOR + 0.780%) due 4/25/34(b)

     473,923  
  115,543     Aaa(d)   

ACRES Commercial Realty Corp., Series 2020-RSO9, Class A, 2.662% (30-Day SOFR + 2.614%) due 4/17/37(a)(b)

     115,656  
  161,683     Aaa(d)   

AMMC CLO 16 Ltd., Series 2015-16A, Class AR2, 1.107% (3-Month USD-LIBOR + 0.980%) due 4/14/29(a)(b)

     161,723  
  2,000,000     Aaa(d)   

Anchorage Capital CLO 6 Ltd., Series 2015-6A, Class ARR, 1.174% (3-Month USD-LIBOR + 1.050%) due 7/15/30(a)(b)

     2,000,794  
  300,000     Aaa(d)   

ARES L CLO Ltd., Series 2018-50A, Class AR, 1.174% (3-Month USD-LIBOR + 1.050%) due 1/15/32(a)(b)

     300,205  
  231,212     AAA   

Atlas Senior Loan Fund IX Ltd., Series 2018-9A, Class A, 1.002% (3-Month USD-LIBOR + 0.870%) due 4/20/28(a)(b)

     231,332  
  700,000     AAA   

Atrium Hotel Portfolio Trust, Series 2018-ATRM, Class A, 1.040% (1-Month USD-LIBOR + 0.950%) due 6/15/35(a)(b)

     699,572  
  1,558,606  GBP    AAA   

Avon Finance No 2 PLC, Series 2A, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 9/20/48(a)(b)

     2,081,040  
  1,200,000  EUR    Aaa(d)   

Bain Capital Euro CLO DAC, Series 2018-2A, Class AR, 0.740% (3-Month EURIBOR + 0.740%) due 1/20/32(a)(b)

     1,359,495  
    

BAMLL Commercial Mortgage Securities Trust:

  
  500,000     AAA   

Series 2019-AHT, Class A, 1.290% (1-Month USD-LIBOR + 1.200%)
due 3/15/34(a)(b)

     500,569  
  400,000     Aaa(d)   

Series 2019-RLJ, Class A, 1.140% (1-Month USD-LIBOR + 1.050%)
due 4/15/36(a)(b)

     399,569  
  28,241     Aaa(d)   

Bancorp Commercial Mortgage Trust, Series 2019-CRE6, Class A, 1.212% (30-Day SOFR + 1.164%) due 9/15/36(a)(b)

     28,239  
  44,147     NR   

Bayview Opportunity Master Fund IVa Trust, Series 2019-SBR1, Class A1, step bond to yield, 3.475% due 6/28/34(a)

     44,469  
  509,572     BBB-   

Bear Stearns Asset Backed Securities I Trust, Series 2005-CL1, Class A2, 0.500% (1-Month USD-LIBOR + 0.500%) due 9/25/34(b)

     495,738  
  6,940     B3(d)   

Bear Stearns Second Lien Trust, Series 2007-SV1A, Class M2, 1.442% (1-Month USD-LIBOR + 1.350%) due 1/25/36(a)(b)

     6,951  
  1,000,000     Aaa(d)   

Benefit Street Partners Clo XII Ltd., Series 2017-12A, Class A1R, 1.074% (3-Month USD-LIBOR + 0.950%) due 10/15/30(a)(b)

     1,000,250  
  1,200,000     Aaa(d)   

Birch Grove CLO Ltd., Series 19A, Class AR, 1.246% (3-Month USD-LIBOR + 1.130%) due 6/15/31(a)(b)

     1,200,694  
  1,000,000  EUR    AAA   

Black Diamond CLO Ltd., Series 2017-2A, Class A1, 0.860% (3-Month USD-LIBOR + 0.860%) due 1/20/32(a)(b)

     1,135,525  
  164,051     Aaa(d)   

Brass NO 8 PLC, Series 8A, Class A1, 0.855% (3-Month USD-LIBOR + 0.700%) due 11/16/66(a)(b)

     164,705  
  1,969,341  EUR    AAA   

Bruegel 2021 DAC, Series 2021-1A, Class A, 0.800% (3-Month USD-LIBOR + 0.800%) due 5/22/31(a)(b)

     2,240,925  
  2,000,000     NR   

BWAY Mortgage Trust, Series 2021-1450, Class A, 1.340% (1-Month USD-LIBOR + 1.250%) due 9/15/36(a)(b)

     2,001,317  
  1,500,000     Aaa(d)   

BXMT Ltd., Series 2020-FL3, Class A, 1.562% (30-Day SOFR + 1.514%) due 3/15/37(a)(b)

     1,504,004  
  885,245  GBP    Aaa(d)   

Canterbury Finance No 1 PLC, Series 1, Class A2, 1.400% (Sterling Overnight Index Average + 1.350%) due 5/16/56(b)

     1,187,207  
  422,359     Aaa(d)   

Catamaran CLO Ltd., Series 2016-1A, Class A1R, 1.212% (3-Month USD-LIBOR + 1.090%) due 1/18/29(a)(b)

     422,828  

 

242


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 30.0% - (continued)

 
  $      1,800,000     Aaa(d)   

CIFC Funding Ltd., Series 2017-4A, Class A1R, 1.074% (3-Month USD-LIBOR + 0.950%) due 10/24/30(a)(b)

   $   1,800,610  
  2,700,000     AAA   

Citigroup Commercial Mortgage Trust, Series 2021-KEYS, Class A, 1.270% (1-Month USD-LIBOR + 1.180%) due 10/15/36(a)(b)

     2,701,689  
    

Citigroup Mortgage Loan Trust:

  
  217,540     NR   

Series 2019-C, Class A1, step bond to yield, 3.228% due 9/25/59(a)

     217,976  
  1,836,076     Aaa(d)   

Series 2021-INV3, Class A11, 0.900% (30-Day SOFR + 0.850%) due 5/25/51(a)(b)

     1,835,844  
  906,980  CAD    Aaa(d)   

CNH Capital Canada Receivables Trust, Series 2021-1A, Class A1, 0.386% due 3/15/24(a)

     709,535  
  389,985     AAA(e)   

COLT Mortgage Loan Trust, Series 2020-1R, Class A1, 1.255% due 9/25/65(a)(b)

     391,022  
  31,518     Aaa(d)   

COMM Mortgage Trust, Series 2013-CR6, Class A3FL, 0.720% (1-Month USD-LIBOR + 0.630%) due 3/10/46(a)(b)

     31,519  
  927,856     NR   

Credit Suisse Commercial Mortgage Capital Trust, Series 2021-RPL4, Class A1, 1.796% due 12/27/60(a)(b)

     931,052  
  289,591     AAA   

CSMC Trust, Series 2021-INV1, Class A11, 0.849% 30-Day SOFR + 0.800%) due 7/25/56(a)(b)

     290,189  
  229,158     B-   

CWABS Inc. Asset-Backed Certificates Trust, Series 2004-5, Class M1, 0.947% (1-Month USD-LIBOR + 0.855%) due 8/25/34(b)

     228,763  
  624,522  EUR    Aaa(d)   

Dilosk RMBS No. 2 DAC, Series 2, Class A, 0.205% (0.750% - 3-Month EURIBOR) due 12/20/57(f)

     709,155  
  586,202     AAA   

Dryden 36 Senior Loan Fund, Series 2014-36A, Class AR3, 1.144% (3-Month USD-LIBOR + 1.020%) due 4/15/29(a)(b)

     586,626  
  1,500,000  EUR    AAA   

Dryden 52 Euro CLO DAC, Series 2017-52A, Class AR, 0.860% (3-Month USD-LIBOR + 0.860%) due 5/15/34(a)(b)

     1,700,131  
  1,300,000  EUR    AAA   

Dryden Leveraged Loan CDO, Series 2017-27A, Class AR, 0.660% (3-Month EURIBOR + 0.660%) due 4/15/33(a)(b)

     1,468,711  
  3,000,000     Aaa(d)   

Elevation CLO Ltd., Series 2017-8A, Class A1R2, 1.080% (3-Month USD-LIBOR + 0.950%) due 10/25/30(a)(b)

     3,001,500  
  2,089,131     Aaa(d)   

Extended Stay America Trust, Series 2021-ESH, Class A, 1.170% (1-Month USD-LIBOR + 1.080%) due 7/15/38(a)(b)

     2,091,255  
    

Federal Home Loan Mortgage Corp. (FHLMC), REMICS:

  
  814,520     NR   

Series 4344, Class FA, 0.532% (1-Month USD-LIBOR + 0.450%) due 12/15/37(b)

     813,952  
  1,090,347     NR   

Series 4351, Class FA, 0.532% (1-Month USD-LIBOR + 0.450%) due 5/15/38(b)

     1,085,789  
  1,939,226     NR   

Series 4906, Class WF, 0.482% (1-Month USD-LIBOR + 0.400%) due 12/15/38(b)

     1,970,495  
  1,212,041     NR   

Federal National Mortgage Association (FNMA), REMICS, Series 2017-108, Class AF, 0.392% (1-Month USD-LIBOR + 0.300%) due 1/25/48(b)

     1,215,739  
  178,798     BBB+   

Finance America Mortgage Loan Trust, Series 2004-2, Class M1, 0.917% (1-Month USD-LIBOR + 0.825%) due 8/25/34(b)

     178,328  
  2,952,478  GBP    (P)AAA   

Finsbury Square, Series 2021-1GRA, Class AGRN, 0.700% (Sterling Overnight Index Average + 0.650%) due 12/16/67(a)(b)

     3,916,901  
    

Finsbury Square PLC:

  
  681,652  GBP    AAA(e)   

Series 2019-1, Class A, 1.041% (3-Month GBP-LIBOR + 0.970%) due 6/16/69(b)

     909,555  
  2,121,308  GBP    AAA(e)   

Series 2020-1A, Class A, 0.850% (Sterling Overnight Index Average + 0.800%) due 3/16/70(a)(b)

     2,842,899  
  700,000     AAA   

Ford Credit Floorplan Master Owner Trust A, Series 2019-3, Class A2, 0.690% (1-Month USD-LIBOR + 0.600%) due 9/15/24(b)

     702,252  
  302,663     BBB-   

Fremont Home Loan Trust, Series 2005-A, Class M3, 0.827% (1-Month USD-LIBOR + 0.735%) due 1/25/35(b)

     301,422  
  1,196,397     AAA   

GCAT Trust, Series 2021-NQM3, Class A1, 1.091% due 5/25/66(a)(b)

     1,197,265  
    

GLG Euro CLO:

  
  3,600,000  EUR    Aaa(d)   

Series 5A, Class A1R, 0.690% (3-Month USD-LIBOR + 0.690%) due 12/15/31(a)(b)

     4,076,286  
  250,000  EUR    AAA   

Series 6A, Class A, 0.900% (3-Month EURIBOR + 9.000% ) due 10/15/32(a)(b)

     283,852  
  2,700,000     Aaa(d)   

Goldentree Loan Management US CLO 2 Ltd., Series 2017-2A, Class AR, zero coupon, (3-Month USD-LIBOR + 0.910%) due 11/20/30(a)(b)

     2,700,624  
    

Government National Mortgage Association (GNMA):

  
  1,848,394     NR   

Series 2016-H06, Class FD, 0.995% (1-Month USD-LIBOR + 0.920%) due 7/20/65(b)

     1,877,480  
  125,512     NR   

Series 2016-H11, Class F, 0.875% (1-Month USD-LIBOR + 0.800%) due 5/20/66(b)

     127,242  
  1,423,666     NR   

Series 2017-H15, Class FE, 1.047% (1-Year USD-LIBOR + 0.800%) due 7/20/67(b)

     1,438,124  
  118,639     NR   

Series 2020-17, Class EU, 2.500% due 10/20/49

     122,516  
  82,882     NR   

Series 2020-21, Class AC, 2.500% due 1/20/49

     85,904  
  4,000,472     NR   

Series 2021-97, Class FA, 0.448% (30-Day SOFR + 0.400%) due 6/20/51(b)

     3,994,859  
  3,947,413     NR   

Series 2021-122, Class FA, 0.448% (30-Day SOFR + 0.400%) due 7/20/51(b)

     3,932,319  
  1,000,000     Aaa(d)   

Greystone CRE Notes Ltd., Series 2019-FL2, Class A, 1.270% (1-Month USD-LIBOR + 1.180%) due 9/15/37(a)(b)

     1,001,205  
  213,143     Aaa(d)   

GS Mortgage Securities Trust, Series 2014-GC18, Class AAB, 3.648% due 1/10/47

     218,948  
  1,918,770     AAA(e)   

GS Mortgage-Backed Securities Corp. Trust, Series 2021-RPL1, Class A1, 1.750% due 12/25/60(a)(b)

     1,926,744  
    

GS Mortgage-Backed Securities Trust:

  
  880,022     Aaa(d)   

Series 2021-GR2, Class A9, 0.900% (30-Day SOFR + 0.850%) due 2/25/52(a)(b)

     884,034  
  291,600     Aaa(d)   

Series 2021-INV1, Class A9, 0.900% 30-Day SOFR + 0.850%) due 12/25/51(a)(b)

     292,240  
  1,600,000  EUR    Aaa(d)   

Harvest CLO XVI DAC, Series 2016-A, Class ARR, 0.640% (3-Month EURIBOR + 6.400%) due 10/15/31(a)(b)

     1,817,613  
  500,000  EUR    Aaa(d)   

Harvest CLO XXI DAC, Series 2021-A, Class A1R, 0.760% (3-Month EURIBOR + 7.600%) due 7/15/31(a)(b)

     568,821  
  2,859,538  GBP    AAA   

Hawksmoor Mortgages, Series 2019-1A, Class A, 1.100% (Sterling Overnight Index Average + 1.050%) due 5/25/53(a)(b)

     3,820,935  
  195,471     AAA   

Homeward Opportunities Fund I Trust, Series 2020-2, Class A1, 1.657%
due 5/25/65(a)(b)

     196,029  
  96,451     CCC   

Impac CMB Trust, Series 2004-10, Class 1A1, 0.732% (1-Month USD-LIBOR + 0.640%) due 3/25/35(b)

     95,095  

 

243


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 30.0% - (continued)

 
  $        354,951     A-   

JP Morgan Chase Commercial Mortgage Securities Trust, Series 2019-FL12, Class A, 2.450% (1-Month USD-LIBOR + 1.450%) due 12/15/31(a)(b)

   $ 352,697  
    

JP Morgan Mortgage Trust:

  
  330,303     Aaa(d)   

Series 2019-INV3, Class A3, 3.500% due 5/25/50(a)(b)

     337,458  
  388,233     Aaa(d)   

Series 2021-12, Class A11, 0.900% (30-Day SOFR + 0.850%) due 2/25/52(a)(b)

     388,101  
  1,958,117  EUR    AAA   

Jubilee CLO BV, Series 2015-16A, Class A1R, 0.256% (0.800% - 3-Month EURIBOR) due 12/15/29(a)(f)

     2,213,317  
  2,700,000     Aaa(d)   

KKR CLO 18 Ltd., Series 18, Class AR, 1.062% (3-Month USD-LIBOR + 0.940%) due 7/18/30(a)(b)

     2,700,113  
  1,700,000  EUR    Aaa(d)   

Laurelin DAC, Series 2016-1A, Class ARR, 0.720% (3-Month EURIBOR+ 0.720%) due 10/20/31(a)(b)

     1,928,755  
  200,000     NR   

LCM XIII LP, Series 2013-A, Class AR3, zero coupon, ( 3-Month EURIBOR + 0.870%) due 7/19/27(a)(b)(g)(j)

     200,000  
    

Legacy Mortgage Asset Trust:

  
  338,292     NR   

Series 2019-GS3, Class A1, step bond to yield, 3.750% due 4/25/59(a)

     339,987  
  220,533     NR   

Series 2019-GS6, Class A1, step bond to yield, 3.000% due 6/25/59(a)

     221,274  
  400,000     NR   

Series 2021-GS5, Class A1, step bond to yield, 2.250% due 7/25/67(a)(g)

     400,162  
  469,956     NR   

Series 2021-SL2, Class A, step bond to yield, 1.875% due 10/25/68(a)

     468,541  
  176,981     NR   

LL ABS Trust, Series 2021-1A, Class A, 1.070% due 5/15/29(a)

     176,336  
  156,135  GBP    Aaa(d)   

London Wall Mortgage Capital PLC, Series 2017-FL1, Class A, 0.952% (3-Month GBP-LIBOR + 0.850%) due 11/15/49(b)

     208,026  
    

LUXE Trust:

  
  2,700,000     Aaa(d)   

Series 2021-MLBH, Class A, 1.070% (1-Month USD-LIBOR + 0.980%) due 11/15/26(a)(b)

     2,704,448  
  2,700,000     Aaa(d)   

Series 2021-TRIP, Class A, 1.140% (1-Month USD-LIBOR + 1.050%)
due 10/15/38(a)(b)

     2,705,767  
  2,700,000     Aaa(d)   

M360 Ltd., Series 2021-CRE3, Class A, 1.591% (1-Month USD-LIBOR + 1.500%) due 11/22/38(a)(b)

     2,726,822  
  178,229     AAA   

Marathon CLO V Ltd., Series 2013-5A, Class A1R, 1.030% (3-Month USD-LIBOR + 0.870%) due 11/21/27(a)(b)

     178,344  
  197,183     A   

Mastr Asset Backed Securities Trust, Series 2004-OPT2, Class A1, 0.792% (1-Month USD-LIBOR + 0.700%) due 9/25/34(b)

     194,471  
    

MF1 Ltd.:

  
  401,292     Aaa(d)   

Series 2020-FL3, Class A, 2.212% (30-Day SOFR + 2.164%) due 7/15/35(a)(b)

     402,845  
  1,100,000     Aaa(d)   

Series 2020-FL4, Class A, 1.862% (30-Day SOFR + 1.814%) due 11/15/35(a)(b)

     1,106,431  
  1,800,000     Aaa(d)   

MF1 Multifamily Housing Mortgage Loan Trust, Series 2021-FL5, Class A, 1.012% (30-Day SOFR+ 0.964%) due 7/15/36(a)(b)

     1,798,820  
    

MFA Trust:

  
  444,711     AAA   

Series 2020-NQM1, Class A1, 1.479% due 3/25/65(a)(b)

     446,241  
  531,197     AAA   

Series 2020-NQM2, Class A1, 1.381% due 4/25/65(a)(b)

     530,783  
  2,000,000     AAA   

MidOcean Credit CLO II, Series 2013-2A, Class ARR, 1.160% (3-Month USD-LIBOR + 1.030%) due 1/29/30(a)(b)

     2,000,564  
    

Mill City Mortgage Loan Trust:

  
  878,801     Aaa(d)   

Series 2019-GS2, Class A1, 2.750% due 8/25/59(a)(b)

     894,993  
  725,517     AAA(e)   

Series 2021-NMR1, Class A1, 1.125% due 11/25/60(a)(b)

     723,171  
  496,336     B-   

Morgan Stanley ABS Capital I Inc. Trust, Series 2004-HE4, Class M1, 0.992% (1-Month USD-LIBOR + 0.900%) due 5/25/34(b)(h)

     494,893  
  800,000     Aaa(d)   

Mountain View CLO LLC, Series 2017-1A, Class AR, 1.212% (3-Month USD-LIBOR + 1.090%) due 10/16/29(a)(b)

     800,269  
  966,726     AAA   

Mountain View CLO X Ltd., Series 2015-10A, Class AR, 0.942% (3-Month USD-LIBOR + 0.820%) due 10/13/27(a)(b)

     967,991  
  2,700,000     Aaa(d)   

Natixis Commercial Mortgage Securities Trust, Series 2021-APPL, Class A, 1.040% (1-Month USD-LIBOR + 0.950%) due 8/15/38(a)(b)

     2,704,419  
    

New Residential Mortgage Loan Trust:

  
  253,307     NR   

Series 2018-3A, Class A1, 4.500% due 5/25/58(a)(b)

     271,201  
  86,777     AAA(e)   

Series 2018-RPL1, Class A1, 3.500% due 12/25/57(a)(b)

     88,930  
  2,092,790     Aaa(d)   

Series 2019-RPL3, Class A1, 2.750% due 7/25/59(a)(b)

     2,136,973  
  1,913,003     Aaa(d)   

Series 2020-RPL1, Class A1, 2.750% due 11/25/59(a)(b)

     1,947,992  
  235,276     A+   

NovaStar Mortgage Funding Trust, Series 2005-4, Class M1, 0.752% (1-Month USD-LIBOR + 0.660%) due 1/25/36(b)

     235,408  
  569,381     NR   

NYMT Loan Trust, Series 2021-SP1, Class A1, step bond to yield, 1.670% due 8/25/61(a)

     564,889  
  1,800,000     AAA(e)   

NYO Commercial Mortgage Trust, Series 2021-1290, Class A, 1.175% (1-Month USD-LIBOR + 1.095%) due 11/15/38(a)(b)

     1,796,757  
    

OCP CLO Ltd.:

  
  13,258     AAA   

Series 2015-9A, Class A1R, 0.924% (3-Month USD-LIBOR + 0.800%)
due 7/15/27(a)(b)

     13,267  
  188,850     AAA   

Series 2015-10A, Class A1R, 0.945% (3-Month USD-LIBOR + 0.820%) due 10/26/27(a)(b)

     189,133  
  1,800,000  EUR    AAA   

OCP Euro CLO DAC, Series 2020-4A, Class AR, 0.880% (3-Month USD-LIBOR + 0.880%) due 9/22/34(a)(b)

     2,044,959  
  1,000,000     Aaa(d)   

OZLM IX Ltd., Series 2014-9A, Class A1A3, 1.232% (3-Month USD-LIBOR + 1.100%) due 10/20/31(a)(b)

     999,249  
  500,000  EUR    Aaa(d)   

Palmer Square European Loan Funding DAC, Series 2021-1A, Class A, 0.780% (3-Month USD-LIBOR + 0.780%) due 4/15/31(a)(b)

     567,348  
  2,700,000     Aaa(d)   

Palmer Square Loan Funding Ltd., Series 2021-4A, Class A1, 0.928% (3-Month USD-LIBOR + 0.800%) due 10/15/29(a)(b)

     2,701,782  
  387,764     AAA   

Pennsylvania Higher Education Assistance Agency, Series 2006-2, Class A-3, 0.254% (3-Month USD-LIBOR + 0.130%) due 10/25/36(b)

     383,359  

 

244


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

COLLATERALIZED MORTGAGE OBLIGATIONS - 30.0% - (continued)

 
    

PFP Ltd.:

  
  $        819,405     Aaa(d)   

Series 2019-6, Class A, 1.141% (1-Month USD-LIBOR + 1.050%) due 4/14/37(a)(b)

   $ 817,115  
  499,975     Aaa(d)   

Series 2021-7, Class A, 0.940% (1-Month USD-LIBOR + 0.850%) due 4/14/38(a)(b)

     497,765  
    

PFS Financing Corp.:

  
  1,200,000     AAA   

Series 2019-A, Class A1, 0.640% (1-Month USD-LIBOR + 0.550%)
due 4/15/24(a)(b)

     1,201,723  
  400,000     AAA   

Series 2020-F, Class A, 0.930% due 8/15/24(a)

     401,218  
  163,849     NR   

Pretium Mortgage Credit Partners I LLC, Series 2021-NPL1, Class A1, step bond to yield, 2.240% due 9/27/60(a)

     163,386  
  1,683,581  GBP    AAA   

Residential Mortgage Securities 32 PLC, Series 2032, Class A, 1.300% (Sterling Overnight Index Average + 1.250%) due 6/20/70(a)(b)

     2,261,177  
  2,200,000     AAA   

Resimac Bastille Trust, Series 2021-2NCA, Class A1A, 0.739% (1-Month USD-LIBOR + 0.650%) due 2/3/53(a)(b)

     2,200,382  
    

Ripon Mortgages PLC:

  
  2,019,064  GBP    AAA   

Series 1A, Class A1, 0.914% (3-Month GBP-LIBOR + 0.800%) due 8/20/56(a)(b)

     2,689,809  
  673,021  GBP    AAA   

Series 1X, Class A1, 0.914% (3-Month GBP-LIBOR + 0.800%) due 8/20/56(b)

     896,603  
  327,173  GBP    AAA   

RMAC PLC, Series 2018-1, Class A, 0.767% (3-Month GBP-LIBOR + 0.700%) due 6/12/46(b)

     435,482  
  528,000  GBP    AAA   

Silverstone Master Issuer PLC, Series 2019-1A, Class 2A, 0.800% (Sterling Overnight Index Average + 0.750%) due 1/21/70(a)(b)

     708,259  
  724,727     Aaa(d)   

Sound Point CLO XII Ltd., Series 2016-2A, Class AR2, 1.182% (3-Month USD-LIBOR + 1.050%) due 10/20/28(a)(b)

     724,927  
  1,690,881     Aaa(d)   

Sound Point CLO XIV Ltd., Series 2016-3A, Class AR2, 1.114% (3-Month USD-LIBOR + 0.990%) due 1/23/29(a)(b)

     1,690,787  
  709,675     B   

Soundview Home Loan Trust, Series 2005-OPT1, Class M2, 0.767% (1-Month USD-LIBOR + 0.675%) due 6/25/35(b)

     707,868  
  285,660     NR   

Stonepeak ABS, Series 2021-1A, Class AA, 2.301% due 2/28/33(a)

     284,804  
  443,034  GBP    AAA   

Stratton Mortgage Funding, Series 2021-2A, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 7/20/60(a)(b)

     591,426  
  1,200,000     AAA   

STWD Mortgage Trust, Series 2021-HTS, Class A, 1.140% (1-Month USD-LIBOR + 1.050%) due 4/15/34(a)(b)

     1,203,214  
  600,000     AAA   

TCW CLO Ltd., Series 2018-1A, Class A1R, zero coupon, (3-Month USD-LIBOR + 0.970% ) due 4/25/31(a)(b)

     600,299  
  1,215,120     AAA   

Tharaldson Hotel Portfolio Trust, Series 2018-THL, Class A, 1.140% (1-Month USD-LIBOR + 0.900%) due 11/11/34(a)(b)

     1,214,936  
  290,675     NR   

Theorem Funding Trust, Series 2021-1A, Class A, 1.210% due 12/15/27(a)

     290,478  
  2,100,000     AAA   

THL Credit Wind River CLO, Ltd., Series 2019-3A, Class AR, 1.204% (3-Month USD-LIBOR + 1.080%) due 4/15/31(a)(b)

     2,100,258  
  968,436  GBP    AAA   

Towd Point Mortgage Funding, Series 2019-A13A, Class A1, 0.950% (Sterling Overnight Index Average + 0.900%) due 7/20/45(a)(b)

     1,292,695  
  2,671,020  GBP    AAA   

Towd Point Mortgage Funding Auburn 14 PLC, Series 2020-A14X, Class A, 0.950% (Sterling Overnight Index Average + 0.900%) due 5/20/45(b)

     3,568,844  
  451,724  GBP    AAA   

Towd Point Mortgage Funding Granite 4 PLC, Series 2019-GR4X, Class A1, 1.236% (3-Month GBP-LIBOR + 1.025%) due 10/20/51(b)

     608,237  
    

Towd Point Mortgage Trust:

  
  371,216     Aaa(d)   

Series 2017-5, Class A1, 0.692% (1-Month USD-LIBOR + 0.600%) due 2/25/57(a)(b)

     371,200  
  534,314     AAA(e)   

Series 2018-3, Class A1, 3.750% due 5/25/58(a)(b)

     552,031  
  344,277     Aaa(d)   

Series 2019-HY2, Class A1, 1.092% (1-Month USD-LIBOR + 1.000%) due 5/25/58(a)(b)

     345,937  
  400,074     Aaa(d)   

Series 2019-HY3, Class A1A, 1.092% (1-Month USD-LIBOR + 1.000%) due 10/25/59(a)(b)

     402,115  
  915,414     AAA(e)   

Series 2020-1, Class A1, 2.710% due 1/25/60(a)(b)

     933,065  
  2,606,849     AAA(e)   

Series 2020-2, Class A1A, 1.636% due 4/25/60(a)(b)

     2,596,272  
  1,502,619  GBP    AAA   

Trinity Square PLC, Series 2021-1A, Class A, 0.900% (Sterling Overnight Index Average + 0.850%) due 7/15/59(a)(b)

     2,007,970  
  1,000,000     Aaa(d)   

Venture 36 CLO Ltd., Series 2019-36A, Class A1AR, 1.262% (3-Month USD-LIBOR + 1.130%) due 4/20/32(a)(b)

     1,000,575  
  625,572     Aaa(d)   

Venture XVII CLO Ltd., Series 2014-17A, Class ARR, 1.004% (3-Month USD-LIBOR + 0.880%) due 4/15/27(a)(b)

     625,564  
  600,000     Aaa(d)   

Venture XXVI CLO Ltd., Series 2017-26A, Class AR, 1.232% (3-Month USD-LIBOR + 1.100%) due 1/20/29(a)(b)

     600,080  
  286,452     Aaa(d)   

VMC Finance LLC, Series 2019-FL3, Class A, 1.189% (1-Month USD-LIBOR + 1.100%) due 9/15/36(a)(b)

     286,435  
  470,329     AA   

WaMu Mortgage Pass-Through Certificates Trust, Series 2005-AR13, Class A1A1, 0.672% (1-Month USD-LIBOR + 0.580%) due 10/25/45(b)

     471,308  
    

Wells Fargo Commercial Mortgage Trust:

  
  400,000     Aaa(d)   

Series 2013-LC12, Class A4, 4.218% due 7/15/46(b)

     417,105  
  500,000     AAA   

Series 2017-HSDB, Class A, 0.940% (1-Month USD-LIBOR + 0.850%) due 12/13/31(a)(b)

     496,572  
    

WFRBS Commercial Mortgage Trust:

  
  1,153,849     Aaa(d)   

Series 2012-C7, Class AFL, 1.289% (1-Month USD-LIBOR + 1.200%) due 6/15/45(a)(b)

     1,153,713  
  597,641     Aaa(d)   

Series 2012-C10, Class AFL, 0.879% (1-Month USD-LIBOR + 0.790%) due 12/15/45(a)(b)

     598,375  
       

 

 

 
    

TOTAL COLLATERALIZED MORTGAGE OBLIGATIONS

(Cost - $169,646,829)

     169,265,103  
       

 

 

 
 

U.S. GOVERNMENT AGENCIES & OBLIGATIONS - 23.5%

 
 

U.S. GOVERNMENT AGENCIES - 10.5%

 
    

Federal Home Loan Banks:

  
  5,100,000     AA+   

0.800% due 11/27/23

     5,063,294  
  2,500,000     AA+   

1.100% due 11/15/24

     2,499,927  
  3,200,000     AA+   

0.750% due 2/24/26

     3,149,568  

 

245


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

U.S. GOVERNMENT AGENCIES & OBLIGATIONS - 23.5% - (continued)

 
 

U.S. GOVERNMENT AGENCIES - 10.5% - (continued)

 
  $      3,400,000     AA+   

0.960% due 3/5/26

   $ 3,372,317  
  877,500     AA+   

1.000% due 3/23/26

     866,620  
  2,600,000     AA+   

1.000% due 7/27/26

     2,578,119  
  3,500,000     AA+   

1.050% due 8/13/26

     3,458,026  
  4,000,000     AA+   

1.100% due 8/20/26

     3,967,620  
  4,600,000     AA+   

0.830% due 2/10/27

     4,494,806  
  3,900,000     AA+   

0.850% due 2/17/27

     3,801,497  
  5,500,000     AA+   

1.020% due 2/24/27

     5,416,955  
  5,000,000     AA+   

0.900% due 2/26/27

     4,893,466  
  3,400,000     AA+   

0.920% due 2/26/27

     3,323,458  
  3,700,000     AA+   

1.115% due 2/26/27

     3,655,707  
  5,000,000     Aaa(d)   

Federal Home Loan Mortgage Corp., 0.800% due 10/28/26

     4,901,331  
  4,000,000     AA+   

Federal National Mortgage Association, 0.875% due 12/18/26

     3,924,115  
       

 

 

 
    

TOTAL U.S. GOVERNMENT AGENCIES

     59,366,826  
       

 

 

 
 

U.S. GOVERNMENT OBLIGATIONS - 13.0%

 
    

U.S. Treasury Notes:

  
  18,400,000       

0.125% due 4/30/23

     18,340,344  
  55,000,000       

0.750% due 11/15/24

     54,907,617  
       

 

 

 
    

TOTAL U.S. GOVERNMENT OBLIGATIONS

     73,247,961  
       

 

 

 
    

TOTAL U.S. GOVERNMENT AGENCIES & OBLIGATIONS

(Cost - $133,666,302)

     132,614,787  
       

 

 

 
 

ASSET-BACKED SECURITIES - 4.8%

 
 

Automobiles - 0.8%

 
  60,568     AAA   

DT Auto Owner Trust, Series 2020-3A, Class A, 0.540% due 4/15/24(a)

     60,603  
  4,629     AAA   

Flagship Credit Auto Trust, Series 2019-2, Class A, 2.830% due 10/16/23(a)

     4,633  
    

Ford Auto Securitization Trust:

  
  1,704,741  CAD    Aaa(d)   

Series 2020-AA, Class A2, 0.887% due 8/15/24(a)

     1,335,430  
  3,500,000  CAD    AAA(e)   

Series 2021-AA, Class A2, 1.162% due 10/15/25(a)

     2,729,425  
  123,242     AAA   

GLS Auto Receivables Issuer Trust, Series 2020-3A, Class A, 0.690% due 10/16/23(a)

     123,279  
       

 

 

 
    

Total Automobiles

     4,253,370  
       

 

 

 
 

Credit Cards - 0.6%

 
  413,844     NR   

LP Credit Card ABS Master Trust, Series 2018-1, Class A, 1.638% (1-Month USD-LIBOR + 1.550%) due 8/20/24(a)(b)

     414,978  
  3,000,000     Aaa(d)   

Master Credit Card Trust II, Series 2018-1A, Class A, 0.581% (1-Month USD-LIBOR + 0.490%) due 7/21/24(a)(b)

     3,009,855  
       

 

 

 
    

Total Credit Cards

     3,424,833  
       

 

 

 
 

Student Loans - 3.4%

 
    

ECMC Group Student Loan Trust:

  
  593,233     Aaa(d)   

Series 2017-2A, Class A, 1.142% (1-Month USD-LIBOR + 1.050%)
due 5/25/67(a)(b)

     602,493  
  484,383     Aaa(d)   

Series 2018-1A, Class A, 0.842% (1-Month USD-LIBOR + 0.750%)
due 2/27/68(a)(b)

     483,354  
  759,471     Aaa(d)   

Series 2019-1A, Class A1B, 1.092% (1-Month USD-LIBOR + 1.000%) due 7/25/69(a)(b)

     768,677  
  134,092     AAA   

EFS Volunteer LLC, Series 2010-1, Class A2, 0.974% (3-Month USD-LIBOR + 0.850%) due 10/25/35(a)(b)

     134,481  
  2,700,000     AAA   

ELFI Graduate Loan Program LLC, Series 2021-A, Class A, 1.530% due 12/26/46(a)

     2,689,369  
    

Navient Private Education Loan Trust:

  
  43,177     Aaa(d)   

Series 2015-AA, Class A2A, 2.650% due 12/15/28(a)

     43,792  
  1,123,540     AAA   

Series 2015-BA, Class A3, 1.539% (1-Month USD-LIBOR + 1.450%)
due 7/16/40(a)(b)

     1,129,215  
    

Navient Private Education Refi Loan Trust:

  
  1,692     AAA   

Series 2020-A, Class A1, 0.440% (1-Month USD-LIBOR + 0.350%)
due 11/15/68(a)(b)

     1,692  
  336,026     AAA   

Series 2020-GA, Class A, 1.170% due 9/16/69(a)

     335,179  
  2,949,400     Aaa(d)   

Series 2021-FA, Class A, 1.110% due 2/18/70(a)

     2,912,516  
    

Navient Student Loan Trust:

  
  548,328     AAA   

Series 2018-1A, Class A2, 0.442% (1-Month USD-LIBOR + 0.350%)
due 3/25/67(a)(b)

     548,570  
  950,149     AAA   

Series 2018-2A, Class A2, 0.472% (1-Month USD-LIBOR + 0.380%)
due 3/25/67(a)(b)

     950,805  
    

Nelnet Student Loan Trust:

  
  951,253     AA+   

Series 2017-3A, Class A, 0.942% (1-Month USD-LIBOR + 0.850%)
due 2/25/66(a)(b)

     959,019  

 

246


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount/Units†
    Rating††    Security    Value  
 

ASSET-BACKED SECURITIES - 4.8% - (continued)

 
 

Student Loans - 3.4% - (continued)

 
  $      1,063,587     AA+   

Series 2019-2A, Class A, 0.992% (1-Month USD-LIBOR + 0.900%)
due 6/27/67(a)(b)

   $ 1,078,705  
  934,417     AA+   

Series 2019-3A, Class A, 0.892% (1-Month USD-LIBOR + 0.800%)
due 8/25/67(a)(b)

     933,601  
    

SLC Student Loan Trust:

  
  364,613     AAA   

Series 2006-1, Class A5, 0.226% (3-Month USD-LIBOR + 0.110%) due 3/15/27(b)

     364,131  
  454,263     AAA   

Series 2007-1, Class A4, 0.216% (3-Month USD-LIBOR + 0.060%) due 5/15/29(b)

     451,753  
    

SLM Student Loan Trust:

  
  58,744     AAA   

Series 2003-10A, Class A3, 0.586% (3-Month USD-LIBOR + 0.470%) due 12/15/27(a)(b)

     58,752  
  743,821     AAA   

Series 2004-10, Class A7B, 0.724% (3-Month USD-LIBOR + 0.600%) due 10/25/29(a)(b)

     746,446  
  562,109     AAA   

Series 2005-5, Class A4, 0.264% (3-Month USD-LIBOR + 0.140%) due 10/25/28(b)

     560,378  
  404,129     B   

Series 2008-5, Class A4, 1.824% (3-Month USD-LIBOR + 1.700%) due 7/25/23(b)

     408,342  
  618,594     B   

Series 2008-7, Class A4, 1.024% (3-Month USD-LIBOR + 0.900%) due 7/25/23(b)

     616,920  
  93,996     B   

Series 2008-8, Class A4, 1.624% (3-Month USD-LIBOR + 1.500%) due 4/25/23(b)

     94,635  
    

SMB Private Education Loan Trust:

  
  124,371     AAA   

Series 2015-B, Class A2B, 1.290% (1-Month USD-LIBOR + 1.200%)
due 7/15/27(a)(b)

     124,534  
  459,989     AAA   

Series 2020-PTA, Class A2A, 1.600% due 9/15/54(a)

     459,613  
  371,315     AAA   

Series 2021-D, Class A1A, 1.340% due 3/17/53(a)

     367,097  
  1,002,225     Aaa(d)   

Towd Point Asset Trust, Series 2021-SL1, Class A2, 0.791% (1-Month USD-LIBOR + 0.700%) due 11/20/61(a)(b)

     1,002,258  
  658,601     AA+   

Utah State Board of Regents, Series 2017-1, Class A, 0.842% (1-Month USD-LIBOR + 0.750%) due 1/25/57(b)

     650,630  
       

 

 

 
    

Total Student Loans

     19,476,957  
       

 

 

 
    

TOTAL ASSET-BACKED SECURITIES

(Cost - $27,211,935)

  

 

27,155,160

 

       

 

 

 
 

SOVEREIGN BONDS - 2.7%

 
 

India - 0.3%

 
  1,900,000     Baa3(d)   

Export-Import Bank of India, 1.160% (3-Month USD-LIBOR + 1.000%) due 8/21/22(b)

     1,904,189  
       

 

 

 
 

South Korea - 1.7%

 
    

Export-Import Bank of Korea:

  
  1,500,000     AA   

0.946% (3-Month USD-LIBOR + 0.775%) due 6/1/23(b)

     1,513,788  
  1,400,000  AUD    AA   

zero coupon, (3-Month Australian Bank Bill + 0.800%) due 10/8/24(b)

     1,006,427  
  5,200,000     AA   

Korea Development Bank (The), Senior Unsecured Notes, 0.929% (3-Month USD-LIBOR + 0.800%) due 10/30/22(b)

     5,231,452  
  2,000,000  AUD    Aa2(d)   

Korea Expressway Corp., 0.768% (3-Month Australian Bank Bill + 0.720%) due 9/2/23(b)

     1,432,622  
  650,000     AA   

Korea National Oil Corp., 0.997% (3-Month USD-LIBOR + 0.875%) due 7/16/23(b)

     656,047  
       

 

 

 
    

Total South Korea

     9,840,336  
       

 

 

 
 

Supranational - 0.7%

 
  3,800,000     AAA   

International Bank for Reconstruction & Development, 0.850% due 2/10/27

     3,677,383  
       

 

 

 
    

TOTAL SOVEREIGN BONDS

(Cost - $15,633,112)

  

 

15,421,908

 

       

 

 

 
 

MORTGAGE-BACKED SECURITIES - 0.3%

 
 

FHLMC - 0.3%

 
 
1,360,641
 
    

Federal Home Loan Mortgage Corp. (FHLMC), 4.000% due 6/1/49 - 9/1/49

(Cost - $1,427,398)

     1,448,294  
       

 

 

 
 

CERTIFICATE OF DEPOSIT - 0.2%

 
 
1,400,000
 AUD 
 

A

  

Mizuho Bank Ltd., 0.795% (3-Month Australian Bank Bill + 0.750%) due 8/7/24(b)

(Cost - $1,048,188)

  

 

1,006,560

 

       

 

 

 
    

TOTAL INVESTMENTS IN SECURITIES BEFORE SHORT-TERM INVESTMENTS

(Cost - $555,202,600)

     552,261,194  
       

 

 

 
 

SHORT-TERM INVESTMENTS - 41.3%

 
 

COMMERCIAL PAPER - 0.4%

 
 
2,300,000
 
    

Parker-Hannifin Corp., 0.622% due 4/22/22(i)

(Cost - $2,294,375)

  

 

2,294,375

 

       

 

 

 

 

247


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Face
Amount†
          Security    Value  
 

SHORT-TERM INVESTMENTS - 41.3% - (continued)

 
 

TIME DEPOSITS - 2.0%

 
                 

BBH - Grand Cayman:

  
  2,575  DKK      

(0.490)% due 12/1/21

   $ 393  
  302  AUD      

(0.120)% due 12/1/21

     215  
  6,087  NZD      

0.100% due 12/1/21

     4,154  
  243,845  GBP      

Citibank - London, 0.005% due 12/1/21

     324,461  
  $            301,825       

DNB - Oslo, 0.005% due 12/1/21

     301,825  
  408,764  CAD      

Royal Bank of Canada - Toronto, 0.005% due 12/1/21

     319,935  
  10,058,809       

Skandinaviska Enskilda Banken AB - Stockholm, 0.005% due 12/1/21

     10,058,809  
  52,800  EUR      

Sumitomo - Tokyo, (0.790)% due 12/1/21

     59,894  
  38,299  JPY      

Sumitomo Mitsui Banking Corp. - Tokyo, (0.270)% due 12/1/21

     339  
       

 

 

 
    

TOTAL TIME DEPOSITS

(Cost - $11,070,025)

  

 

11,070,025

 

       

 

 

 
 

U.S. GOVERNMENT OBLIGATION - 38.9%

 
  220,000,000       

U.S. Treasury Bills, 0.050% due 3/3/22(i)

  
    

(Cost - $219,972,195)

     219,972,195  
       

 

 

 
    

TOTAL SHORT-TERM INVESTMENTS

(Cost - $233,336,595)

  

 

233,336,595

 

       

 

 

 
    

TOTAL INVESTMENTS - 139.1%

(Cost - $788,539,195)

  

 

785,597,789

 

       

 

 

 
    

Liabilities in Excess of Other Assets - (39.1)%

     (220,689,644
       

 

 

 
    

TOTAL NET ASSETS - 100.0%

   $ 564,908,145  
       

 

 

 

 

Amount denominated in U.S. dollars, unless otherwise noted.

 

††

All ratings are by Standard & Poor’s Rating Service, unless otherwise noted.

 

(a)

Restricted security that may be sold to “qualified institutional buyers” pursuant to the conditions of Rule 144A under the Securities Act of 1933, as amended. This security has been deemed liquid pursuant to guidelines approved by the Board of Trustees, unless otherwise noted. The aggregate value of restricted 144A holdings at November 30, 2021, amounts to $206,986,698 and represents 36.6% of net assets.

 

(b)

Variable rate security. Interest rate disclosed is that which was in effect at November 30, 2021.

 

(c)

The aggregate value of restricted securities (excluding 144A holdings) at November 30, 2021, amounts to $12,926,753 and represents 2.3% of net assets.

 

(d)

Rating by Moody’s Investors Service.

 

(e)

Rating by Fitch Ratings Service.

 

(f)

Inverse Floating Rate Security - interest rate fluctuates with an inverse relationship to an associated interest rate. Indicated rate is the effective rate as of November 30, 2021.

 

(g)

Security is valued in good faith at fair value by or under the direction of the Board of Trustees.

 

(h)

Affiliated security. As of November 30, 2021, total cost and total market value of affiliated securities amounted to $494,210 and $494,893, respectively.

 

Underlying Security   

Beginning

Value as of
August 31, 2021

   Purchases
at Cost
  

Proceeds
from

Sales

 

Net Realized
Gain

on Sales

  

Change in

Unrealized
Appreciation

  

Accretion

of discount

  

Dividend/

Interest
Income

  

Ending

Value as of
November 30, 2021

Morgan Stanley ABS Capital I Inc. Trust, Series 2004-HE4, Class M1, 1.018% (1-Month USD- LIBOR + 0.900%) due 5/25/34

   $508,348    $—      $(14,322)   $63    $750    $54    $1,256    $494,893

 

(i)

Rate shown represents yield-to-maturity.

 

(j)

When-issued security.

At November 30, 2021, for Ultra-Short Term Fixed Income Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund    Aggregate Cost For
Federal Income
Tax Purposes
   Gross
Unrealized
Appreciation
   Gross
Unrealized
(Depreciation)
 

Net

Unrealized

(Depreciation)

Ultra-Short Term Fixed Income Fund

   $788,539,195    $7,254,252    $(9,268,897)   $(2,014,645)

 

Abbreviations used in this schedule:

ABS

      Asset-Based Security

CLO

      Collateralized Loan Obligation

CMT

      Constant Maturity Treasury Rate

EURIBOR

      Euro Interbank Offered Rate

LIBOR

      London Interbank Offered Rate

PCL

      Public Company Limited

PLC

      Public Limited Company

REMICS

      Real Estate Mortgage Investment Conduit

SOFR

      Secured Overnight Financing Rate

 

Summary of Investments by Security Type^

      

Corporate Bonds & Notes

     26.1

Collateralized Mortgage Obligations

     21.5  

U.S. Government Agencies & Obligations

     16.9  

Asset-Backed Securities

     3.5  

Sovereign Bonds

     2.0  

Mortgage-Backed Securities

     0.2  

Certificate of Deposit

     0.1  

Short-Term Investments

     29.7  
  

 

 

 
     100.0
  

 

 

 

 

^

As a percentage of total investments.

 

248


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

At November 30, 2021, Ultra-Short Term Fixed Income Fund had open exchange-traded futures contracts as described below.

The unrealized (depreciation) on the open contracts were as follows:

 

Open Futures Contracts    Number of
Contracts
     Expiration
Date
(Month/Year)
     Notional
Amount
    

Market

Value

     Unrealized
(Depreciation)
 

Contracts to Buy:

              

Bank Accept December Futures

     324        12/22      $ 62,716,237      $ 62,227,958      $ (488,279

Bank Accept March Futures

     556        3/23        107,575,598        106,606,739        (968,859
              

 

 

 
                 (1,457,138
              

 

 

 

Contracts to Sell:

              

U.S. Treasury 2-Year Note March Futures

     574        3/22        125,486,266        125,553,532        (67,266

U.S. Treasury 5-Year Note March Futures

     916        3/22        110,814,531        111,200,969        (386,438

U.S. Treasury 10-Year Note March Futures

     7        3/22        903,328        915,687        (12,359

U.S. Ultra Long Bond March Futures

     115        3/22        16,650,352        16,892,422        (242,070
              

 

 

 
                 (708,133
              

 

 

 

Net Unrealized Depreciation on Open Exchange-Traded Futures Contracts

 

            $ (2,165,271
           

 

 

 

At November 30, 2021, Ultra-Short Term Fixed Income Fund had deposited cash of $1,789,000 with a broker or brokers as margin collateral on an open exchange-traded futures contracts.

 

249


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

At November 30, 2021, Ultra-Short Term Fixed Income Fund had open forward foreign currency contracts as described below.

The unrealized appreciation (depreciation) on the open contracts were as follows:

 

Foreign Currency    Local
Currency
     In Exchange For      Counterparty   

Market

Value

     Settlement
Date
   Unrealized
Appreciation/
(Depreciation)
 

Contracts to Buy:

                    

Australian Dollar

     2,880,163        USD        2,072,277      JPM    $ 2,053,268      12/2/21    $ (19,009

Australian Dollar

     9,083,946        USD        6,473,532      SCB      6,475,947      12/2/21      2,415  

British Pound

     534,000        USD        714,339      BNP      710,540      12/2/21      (3,799

Canadian Dollar

     967,000        USD        779,376      HSBC      756,858      12/2/21      (22,518

Canadian Dollar

     9,233,373        USD        7,222,036      HSBC      7,226,841      12/2/21      4,805  

Canadian Dollar

     11,004,067        USD        8,671,448      JPM      8,612,740      12/2/21      (58,708

Canadian Dollar

     1,991,570        USD        1,559,903      JPM      1,558,776      12/2/21      (1,127

Canadian Dollar

     766,000        USD        601,152      DUB      599,828      1/7/22      (1,324

Mexican Peso

     7,185,000        USD        350,868      BNP      332,151      1/12/22      (18,717
                    

 

 

 
                                           (117,982)  
                    

 

 

 

Contracts to Sell:

                    

Australian Dollar

     683,000        USD        508,282      BNP      486,911      12/2/21      21,371  

Australian Dollar

     991,000        USD        726,850      BNP      706,484      12/2/21      20,366  

Australian Dollar

     1,515,000        USD        1,105,627      DUB      1,080,044      12/2/21      25,583  

Australian Dollar

     4,861,728        USD        3,644,230      HSBC      3,465,927      12/2/21      178,303  

Australian Dollar

     1,413,000        USD        1,042,841      HSBC      1,007,328      12/2/21      35,513  

Australian Dollar

     14,582,859        USD        10,991,276      MLP      10,396,122      12/2/21      595,154  

Australian Dollar

     14,699,127        USD        11,038,118      SCB      10,479,009      12/2/21      559,109  

Australian Dollar

     404,000        USD        291,692      SCB      288,012      12/2/21      3,680  

Australian Dollar

     27,185,605        USD        19,403,046      HSBC      19,390,990      1/7/22      12,056  

Australian Dollar

     2,880,163        USD        2,073,141      JPM      2,054,367      1/7/22      18,774  

Australian Dollar

     504,000        USD        359,544      SCB      359,494      1/7/22      50  

Australian Dollar

     9,083,946        USD        6,476,324      SCB      6,479,411      1/7/22      (3,087

British Pound

     23,346,000        USD        32,001,945      SCB      31,064,174      12/2/21      937,771  

British Pound

     22,812,000        USD        30,206,215      BNP      30,379,585      1/5/22      (173,370

Canadian Dollar

     806,000        USD        651,330      BNP      630,846      12/2/21      20,484  

Canadian Dollar

     7,408,990        USD        5,966,125      JPM      5,798,920      12/2/21      167,205  

Canadian Dollar

     14,981,020        USD        12,110,347      MLP      11,725,449      12/2/21      384,898  

Canadian Dollar

     9,233,373        USD        7,225,059      HSBC      7,230,332      1/7/22      (5,273

Canadian Dollar

     11,004,067        USD        8,675,379      JPM      8,616,902      1/7/22      58,477  

Canadian Dollar

     1,990,753        USD        1,559,903      JPM      1,558,889      1/7/22      1,014  

Euro

     19,474,000        USD        22,549,265      SCB      22,090,335      12/2/21      458,930  

Euro

     19,474,000        USD        21,952,337      SCB      22,123,738      1/4/22      (171,401
                    

 

 

 
                                           3,145,607  
                    

 

 

 

Net Unrealized Appreciation on Open Forward Foreign Currency Contracts

 

                  $ 3,027,625  
                 

 

 

 

 

250


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

At November 30, 2021, Ultra-Short Term Fixed Income Fund held the following Centrally Cleared Credit Default Swap Contract:

Centrally Cleared - Credit Default Swaps on Indexes - Buy Protection (1)

 

Reference Obligation & Rating   

Fixed Deal

(Pay) Rate

  Maturity
Date
   Payment
Frequency
   Implied
Credit
Spread at
11/30/21 (2)
   Notional Amount (3)      Market
Value
    Upfront
Payment
(Received)
    Unrealized
Appreciation
 

Markit CDX North America Investment Grade Series 36 5-Year Index, NR

   (1.000)%   12/20/26    3-Month    0.582%      USD        44,300,000      $ (994,560   $ (1,058,967   $ 64,407  
                   

 

 

   

 

 

   

 

 

 

 

(1)

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

(2)

Implied credit spreads, represented in absolute terms, utilized in determining the market value of credit default swap agreements on corporate issues or sovereign issues of an emerging country as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular referenced entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the referenced entity’s credit soundness and a greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement. A credit spread identified as ‘‘Defaulted’’ indicates a credit event has occurred for the referenced entity or obligation.

(3)

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

At November 30, 2021, Ultra-Short Term Fixed Income Fund deposited cash collateral with brokers in the amount of $634,000 for open centrally cleared swap contracts.

At November 30, 2021, Ultra-Short Term Fixed Income Fund had cash collateral from brokers in the amount of $3,400,000 for open OTC swap contracts.

 

251


Schedules of Investments

(unaudited) (continued)

 

Ultra-Short Term Fixed Income Fund

 

Currency Abbreviations used in this schedule:
AUD       Australian Dollar
CAD       Canadian Dollar
DKK       Danish Krone
EUR       Euro
GBP       British Pound
JPY       Japanese Yen
NZD       New Zealand Dollar
USD       United States Dollar
Counterparty Abbreviations used in this schedule:
BNP       BNP Paribas SA
DUB       Deutsche Bank AG
HSBC       HSBC Bank USA
JPM       JPMorgan Chase & Co.
MLP       Merrill Lynch, Pierce, Fenner & Smith Inc.
SCB       Standard Chartered Bank
 

 

See pages 254-256 for definitions of ratings.

At November 30, 2021, Ultra-Short Term Fixed Income Fund was involved in following sale-buyback transaction:

 

Counterparty    Borrowing
Date
  

Maturity

Date

   Borrowing
Rate
  Amount
Borrowed
 

BNP Paribas SA

   11/29/21    12/2/21    0.07%   $ 2,094,715  
          

 

 

 

 

252


Schedules of Investments

(unaudited) (continued)

 

Alternative Strategies Fund

 

Units      Security    Value  
 

OPEN END MUTUAL FUND SECURITIES - 96.8%

 
 

United States - 96.8%

 
  1,098,134     

American Beacon AHL Managed Futures Strategy Fund, Class Y

   $ 12,299,096  
  651,032     

BlackRock Event Driven Equity Fund, Institutional Class

     6,412,669  
  999,573     

BlackRock Global Long/Short Equity Fund, Institutional Class

     11,575,057  
  434,706     

BNY Mellon Global Real Return Fund, Class Y

     7,524,755  
  39,703     

Cohen & Steers Global Realty Shares Inc., Class I

     2,527,862  
  204,562     

Diamond Hill Long/Short Fund, Class I

     6,235,049  
  432,149     

Driehaus Event Driven Fund, Common Class

     6,326,659  
  962,517     

Goldman Sachs Absolute Return Tracker Fund, Institutional Class

     10,077,553  
  820,307     

John Hancock Diversified Macro Fund, Class I

     7,456,590  
  590,692     

John Hancock Seaport Long/Short Fund, Class I

     7,519,511  
  523,804     

LoCorr Market Trend Fund, Class I

     6,107,550  
  352,541     

Neuberger Berman Long Short Fund, Institutional Class

     6,239,975  
  571,477     

PIMCO CommodityRealReturn Strategy Fund, Institutional Class

     3,486,008  
  1,039,649     

PIMCO Credit Opportunities Bond Fund, Institutional Class

     10,240,544  
  1,063,758     

PIMCO Mortgage Opportunities and Bond Fund, Class I-2

     11,563,046  
  876,624     

Western Asset Macro Opportunities Fund, Class I

     10,125,008  
     

 

 

 
  

TOTAL INVESTMENTS - 96.8%

  
  

(Cost - $122,140,099)

     125,716,932  
     

 

 

 
  

Other Assets in Excess of Liabilities - 3.2%

     4,135,461  
     

 

 

 
  

TOTAL NET ASSETS - 100.0%

   $ 129,852,393  
     

 

 

 

 

Summary of Investments by Security Type^

 

Open End Mutual Fund Securities

     100.0
  

 

 

 

 

^

As a percentage of total investments.

At November 30, 2021, for Alternative Strategies Fund the aggregate cost of investments, the aggregate gross unrealized appreciation and depreciation of all investments for federal income tax purposes were as follows:

 

Fund    Aggregate Cost For
Federal Income
Tax Purposes
   Gross
Unrealized
Appreciation
   Gross
Unrealized
(Depreciation)
 

Net

Unrealized

Appreciation

Alternative Strategies Fund

   $122,140,099    $4,256,959    $(680,126)   $3,576,833

 

253


Ratings

The definitions of the applicable rating symbols are set forth below:

Standard & Poor’s Ratings Service (“Standard & Poor’s”) — Ratings from “AA” to “CCC” may be modified by the addition of a plus (+) or minus (-) sign to show relative standings within the major rating categories.

AAA — Bonds rated “AAA” have the highest rating assigned by Standard & Poor’s. Capacity to pay interest and repay principal is extremely strong.

AA — Bonds rated “AA” have a very strong capacity to pay interest and repay principal and differ from the highest rated issues only in a small degree.

A — Bonds rated “A” have a strong capacity to pay interest and repay principal although they are somewhat more susceptible to the adverse effects of changes in circumstances and economic conditions than debt in higher rated categories.

BBB — Bonds rated “BBB” are regarded as having an adequate capacity to pay interest and repay principal. Whereas they normally exhibit adequate protection parameters, adverse economic conditions or changing circumstances are more likely to lead to a weakened capacity to pay interest and repay principal for bonds in this category than in higher rated categories.

BB, B, CCC, CC and C — Bonds rated “BB”, “B”, “CCC”, “CC” and “C” are regarded, on balance, as predominantly speculative with respect to capacity to pay interest and repay principal in accordance with the terms of the obligation. “BB” represents the lowest degree of speculation and “C” the highest degree of speculation. While such bonds will likely have some quality and protective characteristics, these are outweighed by large uncertainties or major risk exposures to adverse conditions.

D — Bonds rated “D” are in default and payment of interest and/or repayment of principal is in arrears.

P — Preliminary rating.

u — The upgrade state defines bonds that have recently been upgraded into higher rating categories.

Moody’s Investors Service (“Moody’s”) — Numerical modifiers 1, 2 and 3 may be applied to each generic rating from “Aa” to “Caa,” where 1 is the highest and 3 the lowest ranking within its generic category.

Aaa — Bonds rated “Aaa” are judged to be of the best quality. They carry the smallest degree of investment risk and are generally referred to as “gilt edge.” Interest payments are protected by a large or by an exceptionally stable margin and principal is secure. While the various protective elements are likely to change, such changes as can be visualized are most unlikely to impair the fundamentally strong position of such issues.

Aa — Bonds rated “Aa” are judged to be of high quality by all standards. Together with the “Aaa” group they comprise what are generally known as high grade bonds. They are rated lower than the best bonds because margins of protection may not be as large as in “Aaa” securities or fluctuation of protective elements may be of greater amplitude or there may be other elements present which make the long-term risks appear somewhat larger than in “Aaa” securities.

A — Bonds rated “A” possess many favorable investment attributes and are to be considered as upper medium grade obligations. Factors giving security to principal and interest are considered adequate but elements may be present which suggest a susceptibility to impairment some time in the future.

Baa — Bonds rated “Baa” are considered as medium grade obligations, i.e., they are neither highly protected nor poorly secured. Interest payments and principal security appear adequate for the present but certain protective elements may be lacking or may be characteristically unreliable over any great length of time. Such bonds lack outstanding investment characteristics and in fact have speculative characteristics as well.

 

254


Ba — Bonds rated “Ba” are judged to have speculative elements; their future cannot be considered as well assured. Often the protection of interest and principal payments may be very moderate and therefore not well safeguarded during both good and bad times over the future. Uncertainty of position characterizes bonds in this class.

B — Bonds rated “B” generally lack characteristics of desirable investments. Assurance of interest and principal payments or of maintenance of other terms of the contract over any long period of time may be small.

Caa — Bonds rated “Caa” are of poor standing. These may be in default, or present elements of danger may exist with respect to principal or interest.

Ca — Bonds rated “Ca” represent obligations which are speculative in a high degree. Such issues are often in default or have other marked short-comings.

C — Bonds rated “C” are the lowest class of bonds and issues so rated can be regarded as having extremely poor prospects of ever attaining any real investment standing.

e — Expected.

u — Upgraded.

Fitch Ratings Service (“Fitch”) — Ratings from “AA” to “CCC” may be modified by the addition of a plus (+) or minus (-) sign to show relative standings within the major rating categories.

AAA — Bonds rated “AAA” have the highest rating assigned by Fitch. Capacity to pay interest and repay principal is extremely strong.

AAApre — Stable Outlook rating is based on the pledge of securities in the escrow deposit fund securing the bonds and reflects the lien of the refunded bondholders on the escrow trust funds and that all amounts have been invested in direct non-callable obligations of the United States.

AA — Bonds rated “AA” have a very strong capacity to pay interest and repay principal and differ from the highest rated issues only in a small degree.

A — Bonds rated “A” have a strong capacity to pay interest and repay principal although they are somewhat more susceptible to the adverse effects of changes in circumstances and economic conditions than debt in higher rated categories.

BBB — Bonds rated “BBB” are regarded as having an adequate capacity to pay interest and repay principal. Whereas they normally exhibit adequate protection parameters, adverse economic conditions or changing circumstances are more likely to lead to a weakened capacity to pay interest and repay principal for bonds in this category than in higher rated categories.

BB, B, CCC, CC and C — Bonds rated “BB”, “B”, “CCC”, “CC” and “C” are regarded, on balance, as predominantly speculative with respect to capacity to pay interest and repay principal in accordance with the terms of the obligation. “BB” represents a lower degree of speculation than “B”, and “CC” the highest degree of speculation. While such bonds will likely have some quality and protective characteristics, these are outweighed by large uncertainties or major risk exposures to adverse conditions.

D — Bonds rated “D” are in default and payment of interest and/or repayment of principal is in arrears.

NR — Indicates that the bond is not rated by Standard & Poor’s, Moody’s, or Fitch.

WD, WR — Indicates that the bonds rating has been withdrawn and the issuer is no longer rated by Standard & Poor’s, Moody’s or Fitch.

 

255


Short-Term Security Ratings

SP-1 — Standard & Poor’s highest rating indicating very strong or strong capacity to pay principal and interest; those issues determined to possess overwhelming safety characteristics are denoted with a plus (+) sign.

A-1 — Standard & Poor’s highest commercial paper and variable-rate demand obligation (VRDO) rating indicating that the degree of safety regarding timely payment is either overwhelming or very strong; those issues determined to possess overwhelming safety characteristics are denoted with a plus (+) sign.

VMIG 1 — Moody’s highest rating for issues having a demand feature — VRDO.

MIG1 — Moody’s highest rating for short-term municipal obligations.

P-1 — Moody’s highest rating for commercial paper and for VRDO prior to the advent of the VMIG 1 rating.

F-1 — Fitch’s highest rating indicating the strongest capacity for timely payment of financial commitments; those issues determined to possess overwhelming strong credit feature are denoted with a plus (+) sign.

F-2 — Fitch’s rating indicating a good capacity for timely payment of financial commitments.

 

256


Notes to Schedules of Investments

1. Organization and Significant Accounting Policies

The Morgan Stanley Pathway Funds (the “Trust”) is organized as a Massachusetts business trust and registered under the Investment Company Act of 1940, as amended (“1940 Act”), as an open-end management investment company. The Trust currently consists of Large Cap Equity Fund, Small-Mid Cap Equity Fund, International Equity Fund, Emerging Markets Equity Fund, Core Fixed Income Fund, High Yield Fund, International Fixed Income Fund, Municipal Bond Fund, Inflation-Linked Fixed Income Fund, Ultra-Short Term Fixed Income Fund and Alternative Strategies Fund (individually, a “Fund” and collectively, the “Funds”). Each Fund is a diversified series of the Trust, except for International Fixed Income Fund, which is non-diversified.

The following is a summary of significant accounting policies consistently followed by the Funds which are in conformity with accounting principles generally accepted in the United States of America (“GAAP”). Estimates and assumptions are required to be made by management regarding assets, liabilities and changes in net assets resulting from operations when financial statements are prepared. Changes in the economic environment, financial markets and any other parameters used in determining these estimates could cause actual results to differ. The Funds are investment companies and follow the accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946 – Investment Companies.

In March 2020, FASB issued an Accounting Standard Update, ASU 2020-04, Reference Rate Reform (Topic 848) — Facilitation of the Effects of Reference Rate Reform on Financial Reporting (“ASU 2020-04”), which provides optional, temporary relief with respect to the financial reporting of contracts subject to certain types of modifications due to the planned discontinuation of the London Interbank Offered Rate (“LIBOR”) and other Interbank Offered Rate (“IBOR”)-based reference rates at the end of 2021. The temporary relief provided by ASU 2020-04 is effective for certain reference rate-related contract modifications that occur during the period from March 12, 2020 through December 31, 2022. Management is evaluating the impact of ASU 2020-04 on the Fund’s investments, derivatives, debt and other contracts that will undergo reference rate-related modifications as a result of the reference rate reform.

(a) Investment Valuation. Equity securities for each Fund for which market quotations are readily available and are traded on an exchange are valued at the closing sale price or official closing price on the exchange on which such security is principally traded. In the event there are no sales that day, such securities are valued at the mean between the bid and ask prices. For securities that are primarily traded on foreign exchanges, these values are converted to U.S. dollars using the current exchange rates as of the close of the New York Stock Exchange (“NYSE”).

Exchange-traded purchased and written options and futures contracts are valued at the last sale price (closing price) in the market where such contracts are principally traded or, if no sales are reported, the bid price. Swaps for which quotations are available on an automated basis from approved third-party pricing services are valued using those automated third-party pricing service quotations. Forward foreign currency contracts are valued using the official closing price for such contracts on the NYSE.

Portfolio securities traded in the over-the-counter market for which market quotations are readily available are valued at the last sales price that day. In the event there are no sales that day, such securities are valued at the mean between the bid and ask prices. Investments in registered open-end management investment companies are valued at reported net asset value per share.

Debt obligations that will mature in 60 days or less are valued at amortized cost, which approximates market value. Debt obligations that will mature in more than 60 days are valued using valuations furnished by an approved third-party pricing service; such valuations are determined by the third-party pricing service based upon its analysis of a variety of factors, including transactions in debt obligations, quotations from bond dealers, market transactions in comparable securities and its analysis of various relationships between securities, prices or yields of securities with similar characteristics, benchmark curves or information pertaining to the issuer, and as well as industry and economic events.

Overnight repurchase agreements and repurchase agreements maturing in seven days or less are valued at cost. Term repurchase agreements maturing in more than seven days are valued at the average of the bid quotations obtained daily from at least two recognized purchasers of such term repurchase agreements selected by Consulting Group Advisory Services, LLC (“CGAS”) (the “Manager”).

The Board of Trustees (the “Board”) has ultimate responsibility for ensuring the Funds’ investments are valued appropriately. The Board has delegated primary responsibility for determining or causing to be determined the value of the Funds’ investments (including any fair valuation) to the Manager pursuant to valuation policies and procedures

 

257


approved by the Board. When market quotations are not readily available or are determined to be unreliable, investments are valued at fair value as determined in good faith by the valuation committee established by the Manager in accordance with such procedures under the oversight of the Board. Circumstances that may indicate that market quotations are not readily available or are unreliable include, but are not limited to, such instances when the value of a security has been significantly affected by events after the close of the exchange or market on which the security is principally traded, and before the applicable Fund calculates its Net Asset Value (“NAV”).

Each business day, Emerging Markets Equity Fund and International Equity Fund use a Board-approved third-party pricing service to assist with the valuation of foreign equity securities. Events occurring after the close of trading on foreign exchanges may result in adjustments to the valuation of foreign securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that have a strong correlation to the fair-valued securities to more accurately reflect their fair value as of the close of regular trading on the NYSE.

The Funds disclose the fair value of their investments in a hierarchy that prioritizes the inputs to valuation techniques used to measure the fair value. The hierarchy prioritizes inputs to valuation methods and requires disclosure of the fair value hierarchy, separately for each major category of assets and liabilities that segregates fair value measurements into levels (Level 1, 2 and 3). The three levels of the fair value hierarchy are as follows:

Level 1 – unadjusted quoted prices in active markets for identical securities.

Level 2 – significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

Level 3 – significant unobservable inputs (including assumptions made by the Board or persons acting at their direction that are used in determining the fair value of investments).

The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The following are certain inputs and techniques that the Funds generally use to evaluate how to classify each major category of assets and liabilities in accordance with GAAP.

Fixed income securities including corporate, convertible and municipal bonds and notes, U.S. government agencies, U.S. treasury obligations, sovereign bonds, bank loans, convertible preferred securities and non-U.S. bonds are normally valued by third-party pricing service providers that use broker quotations, reported trades or valuation estimates from their internal pricing models. The service providers’ internal models use inputs that are observable such as issuer details, interest rates, yield curves, prepayment speeds, credit risks/spreads, default rates and quoted prices for similar assets. Securities that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

Mortgage-related and asset-backed securities are usually issued as separate tranches, or classes, of securities within each deal. These securities are also normally valued by third-party pricing service providers that use broker-dealer quotations or valuation estimates from their internal pricing models. The pricing models for these securities usually consider tranche-level attributes, current market data, estimated cash flows and market-based yield spreads for each tranche, and incorporate deal collateral performance, as available. Mortgage-related and asset-backed securities and the related forward sales commitments that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

Common stocks, preferred stocks, rights, warrants, exchange-traded funds and financial derivative instruments, such as futures contracts or options contracts that are traded on a national securities exchange, are categorized as Level 1 of the fair value hierarchy, to the extent these securities are actively traded and valuation adjustments are not applied.

Valuation adjustments may be applied to certain securities that are solely traded on a foreign exchange to account for the market movement between the close of the foreign market and the NYSE close. Securities using these valuation adjustments are categorized as Level 2 of the fair value hierarchy. Preferred securities and other equities traded on inactive markets or valued by reference to similar instruments are also categorized as Level 2 of the fair value hierarchy.

Investments in registered open-end investment management companies are valued based upon the NAVs of such investments and are categorized as Level 1 of the fair value hierarchy.

 

258


Short-term investments having a maturity of 60 days or less are generally valued at amortized cost which approximates fair market value. These investments are categorized as Level 2 of the fair value hierarchy.

Over-the-counter financial derivative instruments, such as foreign currency contracts, forward foreign currency contracts, options contracts, or swap contracts, derive their value from underlying asset prices, indices, reference rates, and other inputs or a combination of these factors. These contracts are normally valued on the basis of broker dealer quotations or by third-party pricing service providers. Depending on the product and the terms of the transaction, the value of financial derivatives can be estimated by a third-party pricing service provider using a series of techniques, including simulation pricing models. The pricing models use inputs that are observed from actively quoted markets such as issuer details, indices, spreads, interest rates, yield curves, dividends and exchange rates. Financial derivatives that use similar valuation techniques and inputs as described above are categorized as Level 2 of the fair value hierarchy. To the extent that these inputs are significant and unobservable, the values are categorized as Level 3 of the fair value hierarchy.

Centrally cleared swaps listed or traded on a multilateral or trade facility platform, such as a registered exchange, are valued at the daily settlement price determined by the respective exchange. For centrally cleared credit default swaps the clearing facility requires its members to provide actionable levels across complete term structures. These levels along with external third party prices are used to produce daily settlement prices. Centrally cleared interest rate swaps are valued using a pricing model that references the underlying rates including the overnight index swap rate and London Interbank Offered Rate (“LIBOR”) forward rate to produce the daily settlement price. These securities are categorized as Level 2 of the fair value hierarchy.

The Funds’ policy is to recognize transfers between levels at the end of the reporting period. In some instances, the inputs used to measure fair value might fall in different levels of the fair value hierarchy. The level in the fair value hierarchy within which the fair value measurement in its entirety falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Because of the inherent uncertainties of valuation, the values reflected in the financial statements may materially differ from the value received upon actual sale of those investments.

The following table summarizes the valuation of each Fund’s assets and liabilities using the fair value hierarchy:

 

     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices
in Active Markets
for Identical
Investments
(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Large Cap Equity Fund

 

Investments, at Value

        

Common Stocks:

        

Communication Services

   $ 178,386,446     $ 178,386,446     $ —       $ —    

Consumer Discretionary

     278,376,804       278,376,804       —         —    

Consumer Staples

     91,212,016       91,212,016       —         —    

Energy

     37,113,388       37,113,388       —         —    

Financials

     190,812,619       190,812,619       —         —    

Health Care

     251,915,990       251,915,990       —         —    

Industrials

     195,551,177       195,551,177       —         —    

Information Technology

     607,539,182       607,539,182       —         —    

Materials

     47,393,608       47,380,441       13,167       —    

Real Estate

     61,141,863       61,141,863       —         —    

Utilities

     33,626,999       33,626,999       —         —    

Closed End Mutual Fund Security:

        

Financials

     20,003,089       20,003,089       —         —    

Short-Term Investments:

 

   

Money Market Fund

     20,227,290       20,227,290       —         —    

Time Deposits

     64,390,407       —         64,390,407       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 2,077,690,878     $ 2,013,287,304     $ 64,403,574     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Security Lending Transactions - Liabilities

   $ (20,227,290   $ —       $ (20,227,290   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contract

   $ 287,083     $ 287,083     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 287,083     $ 287,083     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Futures Contract

   $ (8,610   $ (8,610   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (8,610   $ (8,610   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

259


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices

in Active Markets
for Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Small-Mid Cap Equity Fund

 

Investments, at Value

        

Common Stocks:

        

Communication Services

   $ 15,068,035     $ 15,068,035     $ —       $ —    

Consumer Discretionary

     53,301,170       53,301,170       —         —    

Consumer Staples

     24,745,804       24,745,804       —         —    

Energy

     15,748,623       15,748,623       —         —    

Financials

     79,877,176       79,877,176       —         —    

Health Care

     93,896,973     93,892,020       4,953       —  

Industrials

     101,877,903       101,800,482       77,421       —    

Information Technology

     114,647,153       114,647,153       —         —    

Materials

     31,084,071     31,065,137       18,934       —  

Real Estate

     37,029,136       37,029,136       —         —    

Utilities

     17,418,998       17,418,998       —         —    

Convertible Preferred Stocks:

        

Health Care

     2,850,522       2,850,522       —         —    

Utilities

     1,440,498       1,440,498       —         —    

Preferred Stocks:

        

Financials

     2,024,071       2,024,071       —         —    

Closed End Mutual Fund Securities:

        

Financials

     1,079,333       1,079,333       —         —    

Corporate Bonds & Notes

     941,381       —         941,381       —    

Short-Term Investments:

        

Money Market Fund

     27,327,898       27,327,898       —         —    

Time Deposits

     22,117,431       —         22,117,431       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 642,476,176   $ 619,316,056     $ 23,160,120     $ —  
  

 

 

   

 

 

   

 

 

   

 

 

 

Security Lending Transactions - Liabilities

   $ (27,327,898   $ —       $ (27,327,898   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contract

   $ 11,983     $ 11,983     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 11,983     $ 11,983     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Futures Contracts

   $ (99,525   $ (99,525   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (99,525   $ (99,525   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

260


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices

in Active Markets
for Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

International Equity Fund

 

Investments, at Value

        

Common Stocks:

        

France

   $ 141,095,042     $ 162,240     $ 140,932,802     $ —    

Germany

     113,320,434       —         113,320,434       —    

Japan

     231,795,756       341,588       231,454,168       —    

Netherlands

     69,338,330       255,813       69,082,517       —    

Switzerland

     143,047,586       5,067,856       137,979,730       —    

United Kingdom

     198,693,455       2,896,696       195,796,759       —    

Other Countries**

     403,012,764       60,415,199       342,597,565       —    

Preferred Stocks:

        

Germany

     7,429,438       —         7,429,438       —    

Closed End Mutual Fund Security:

        

United States

     584,522       584,522       —         —    

Right:

        

Singapore

     31       —         31       —    

Short-Term Investments:

 

   

Money Market Fund

     9,919,094       9,919,094       —         —    

Time Deposits

     45,107,936       —         45,107,936       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 1,363,344,388     $ 79,643,008     $ 1,283,701,380     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Security Lending Transactions - Liabilities

   $ (9,919,094   $ —       $ (9,919,094   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contract

   $ 632     $ 632     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 632     $ 632     $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Futures Contracts

   $ (50,727   $ (50,727   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (50,727   $ (50,727   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

261


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Emerging Markets Equity Fund

        

Investments, at Value

        

Common Stocks:

        

China

   $ 134,716,729   $ 15,854,867     $ 118,861,862     $ —  

India

     61,912,307       9,780,513       52,131,794       —    

South Korea

     65,830,780       471,693       65,359,087       —    

Taiwan

     66,384,656       15,843,595       50,541,061       —    

Other Countries**

     170,618,003       73,827,718       96,790,267       18  

Preferred Stocks:

        

Brazil

     2,078,774       2,078,774       —         —    

Chile

     181,669       181,669       —         —    

Colombia

     81,345       81,345       —         —    

Russia

     58,627       18,945       39,682       —    

South Korea

     4,075,956       —         4,075,956       —    

Warrants:

        

Thailand

     255       148       —         107  

Rights:

        

China

     135       —         135       —    

Thailand

     —       —         —       —    

Short-Term Investments:

        

Money Market Fund

     2,600,973       2,600,973       —         —    

Time Deposits

     20,867,192       —         20,867,192       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 529,407,401   $ 120,740,240     $ 408,667,036   $ 125  * 
  

 

 

   

 

 

   

 

 

   

 

 

 

Security Lending Transactions - Liabilities

   $ (2,600,973   $ —       $ (2,600,973   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Futures Contract

   $ (77,132   $ (77,132   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (77,132   $ (77,132   $ —       $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

262


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Core Fixed Income Fund

 

Investments, at Value

        

U.S. Government Agencies & Obligations

   $ 430,098,311     $ —       $ 430,098,311     $ —    

Corporate Bonds & Notes

     399,227,149     —         399,227,149       —  

Mortgage-Backed Securities

     295,009,055       —         295,009,055       —    

Collateralized Mortgage Obligations

     116,974,511       —         116,974,511       —    

Sovereign Bonds

     47,353,487       —         47,353,487       —    

Senior Loans

     18,395,377       —         18,395,377       —    

Asset-Backed Securities

     15,210,483       —         15,210,483       —    

Municipal Bonds

     4,058,766       —         4,058,766       —    

Purchased Options

     366,168       328,794       37,374       —    

Short-Term Investments:

 

   

Sovereign Bond

     4,292,919       —         4,292,919       —    

Time Deposits

     63,167,158       —         63,167,158       —    

U.S. Government Obligations

     53,552,896       —         53,552,896       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 1,447,706,280   $ 328,794     $ 1,447,377,486     $ —  
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contracts

   $ 1,358,861     $ 1,358,861     $ —       $ —    

Forward Foreign Currency Contracts

     189,260       —         189,260       —    

Centrally Cleared Interest Rate Swaps

     1,791,961       —         1,791,961       —    

Centrally Cleared Inflation Rate Swap

     18,464       —         18,464       —    

Centrally Cleared Credit Default Swap

     11,133       —         11,133       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 3,369,679     $ 1,358,861     $ 2,010,818     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Options Contracts Written

   $ (732,042   $ (732,042   $ —       $ —    

Futures Contracts

     (1,653,893     (1,653,893     —         —    

Forward Foreign Currency Contracts

     (482,956     —         (482,956     —    

OTC Interest Rate Swaps

     (263,116     —         (263,116     —    

Centrally Cleared Interest Rate Swaps

     (786,802     —         (786,802     —    

Centrally Cleared Inflation Rate Swap

     (1,858     —         (1,858     —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (3,920,667   $ (2,385,935   $ (1,534,732   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

263


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
     Significant
Observable

Inputs
(Level 2)
     Significant
Unobservable
Inputs
(Level 3)
 

High Yield Fund

 

Investments, at Value

          

Corporate Bonds & Notes

   $ 169,128,475     $ —        $ 169,128,475      $ —    

Senior Loans

     5,902,740       —          5,578,895        323,845  

Collateralized Mortgage Obligations

     4,390,559       —          4,390,559        —    

Convertible Preferred Stocks:

          

Energy

     810,715       —          810,715        —    

Common Stocks:

          

Energy

     360,889     360,889        —          —  

Preferred Stocks:

          

Financials

     435,839       435,839        —          —    

Sovereign Bonds

     45,878       —          45,878        —    

Short-Term Investments:

 

     

Time Deposits

     4,455,698       —          4,455,698        —    
  

 

 

   

 

 

    

 

 

    

 

 

 

Total Investments, at Value

   $ 185,530,793   $ 796,728      $ 184,410,220      $ 323,845
  

 

 

   

 

 

    

 

 

    

 

 

 

 

264


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active

Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

International Fixed Income Fund

 

Investments, at Value

        

Sovereign Bonds:

        

Japan

   $ 29,448,365     $ —       $ 29,448,365     $ —    

Spain

     11,515,455       —         11,515,455       —    

Other Countries**

     37,164,594       —         37,164,594       —    

Collateralized Mortgage Obligations

     34,001,108       —         33,280,851       720,257  

Corporate Bonds & Notes

        

Other Countries**

     28,654,452       —         28,654,452       —    

Mortgage-Backed Securities

     21,404,865       —         21,404,865       —    

U.S. Government Obligations

     5,162,891       —         5,162,891       —    

Asset-Backed Securities

     466,610       —         466,610       —    

Municipal Bond

     116,764       —         116,764       —    

Purchased Options

     32,051       —         32,051       —    

Short-Term Investments:

        

Sovereign Bonds

     10,396,980       —         10,396,980       —    

Time Deposits

     7,086,323       —         7,086,323       —    

U.S. Government Obligations

     6,499,113       —         6,499,113       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 191,949,571     $ —       $ 191,229,314     $ 720,257  
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contracts

   $ 129,564     $ 129,564     $ —       $ —    

Forward Foreign Currency Contracts

     1,841,365       —         1,841,365       —    

OTC Interest Rate Swaps

     149       —         149       —    

Centrally Cleared Interest Rate Swaps

     613,175       —         613,175       —    

Centrally Cleared Inflation Rate Swaps

     117,535       —         117,535       —    

OTC Credit Default Swaps

     86,731       —         86,731       —    

Centrally Cleared Credit Default Swaps

     58,490       —         58,490       —    

OTC Cross-Currency Swap

     51,853       —         51,853       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 2,898,862     $ 129,564     $ 2,769,298     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Options Contracts Written

   $ (197,291   $ —       $ (197,291   $ —    

Forward Sale Commitments

     (26,406,594     —         (26,406,594     —    

Futures Contracts

     (190,130     (190,130     —         —    

Forward Foreign Currency Contracts

     (1,103,599     —         (1,103,599     —    

OTC Total Return Swap

     (363,455     —         (363,455     —    

OTC Interest Rate Swaps

     (5,471     —         (5,471     —    

Centrally Cleared Interest Rate Swaps

     (834,562     —         (834,562     —    

Centrally Cleared Inflation Rate Swaps

     (257,486     —         (257,486     —    

OTC Credit Default Swaps

     (241     —         (241     —    

Centrally Cleared Credit Default Swaps

     (4,050     —         (4,050     —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (29,362,879   $ (190,130   $ (29,172,749   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

265


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
     Significant
Unobservable
Inputs
(Level 3)
 

Municipal Bond Fund

 

Investments, at Value

         

Municipal Bonds

   $ 85,287,604     $ —       $ 85,287,604      $ —    

Closed End Mutual Fund Security:

         

United States

     3,008,796       3,008,796       —          —    

Short-Term Investments:

 

    

Time Deposits

     6,489,597       —         6,489,597        —    
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Investments, at Value

   $ 94,785,997     $ 3,008,796     $ 91,777,201      $ —    
  

 

 

   

 

 

   

 

 

    

 

 

 

Other Financial Instruments - Liabilities

         

Futures Contracts

   $ (26,046   $ (26,046   $ —        $ —    
  

 

 

   

 

 

   

 

 

    

 

 

 

Total Other Financial Instruments - Liabilities

   $ (26,046   $ (26,046   $ —        $ —    
  

 

 

   

 

 

   

 

 

    

 

 

 

 

266


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active

Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Inflation-Linked Fixed Income Fund

 

Investments, at Value

        

U.S. Government Agencies & Obligations

   $ 149,448,449     $ —       $ 149,448,449     $ —    

Sovereign Bonds

     18,613,185       —         18,613,185       —    

Collateralized Mortgage Obligations

     13,012,686       —         13,012,686       —    

Corporate Bonds & Notes

     7,378,502       —         7,378,502       —    

Mortgage-Backed Securities

     5,737,597       —         5,737,597       —    

Purchased Options

     235,166       —         235,166       —    

Short-Term Investments:

 

   

Time Deposits

     1,388,919       —         1,388,919       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 195,814,504     $ —       $ 195,814,504     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Futures Contracts

   $ 98,938     $ 98,938     $ —       $ —    

Forward Foreign Currency Contracts

     631,013       —         631,013       —    

Centrally Cleared Interest Rate Swaps

     209,459       —         209,459       —    

Centrally Cleared Inflation Rate Swaps

     1,167,051       —         1,167,051       —    

Centrally Cleared Credit Default Swap

     1,814       —         1,814       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 2,108,275     $ 98,938     $ 2,009,337     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Options Contracts Written

   $ (293,889   $ —       $ (293,889   $ —    

Reverse Repurchase Agreements

     (47,359,045     —         (47,359,045     —    

Futures Contracts

     (442,940     (442,940     —         —    

Forward Foreign Currency Contracts

     (167,611     —         (167,611     —    

Centrally Cleared Interest Rate Swap

     (12,635     —         (12,635     —    

Centrally Cleared Inflation Rate Swaps

     (2,179,219     —         (2,179,219     —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (50,455,339   $ (442,940   $ (50,012,399   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

267


     Total Fair Value at
November 30, 2021
    Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
    Significant
Observable

Inputs
(Level 2)
    Significant
Unobservable
Inputs
(Level 3)
 

Ultra-Short Term Fixed Income Fund

 

Investments, at Value

        

Corporate Bonds & Notes

   $ 205,349,382     $ —       $ 205,349,382     $ —    

Collateralized Mortgage Obligations

     169,265,103       —         169,265,103       —    

U.S. Government Agencies & Obligations

     132,614,787       —         132,614,787       —    

Asset-Backed Securities

     27,155,160       —         27,155,160       —    

Sovereign Bonds

     15,421,908       —         15,421,908       —    

Mortgage-Backed Securities

     1,448,294       —         1,448,294       —    

Certificate of Deposit

     1,006,560       —         1,006,560       —    

Short-Term Investments:

 

   

Commercial Paper

     2,294,375       —         2,294,375       —    

Time Deposits

     11,070,025       —         11,070,025       —    

U.S. Government Obligation

     219,972,195       —         219,972,195       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Investments, at Value

   $ 785,597,789     $ —       $ 785,597,789     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Assets

        

Forward Foreign Currency Contracts

   $ 3,505,958     $ —       $ 3,505,958     $ —    

Centrally Cleared Credit Default Swap

     64,407       —         64,407       —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Assets

   $ 3,570,365     $ —       $ 3,570,365     $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Other Financial Instruments - Liabilities

        

Futures Contracts

   $ (2,165,271   $ (2,165,271   $ —       $ —    

Forward Foreign Currency Contracts

     (478,333     —         (478,333     —    
  

 

 

   

 

 

   

 

 

   

 

 

 

Total Other Financial Instruments - Liabilities

   $ (2,643,604   $ (2,165,271   $ (478,333   $ —    
  

 

 

   

 

 

   

 

 

   

 

 

 

 

268


     Total Fair Value at
November 30, 2021
     Unadjusted Quoted
Prices in Active
Markets for
Identical
Investments

(Level 1)
     Significant
Observable

Inputs
(Level 2)
     Significant
Unobservable
Inputs
(Level 3)
 

Alternative Strategies Fund

 

Investments, at Value

           

Open End Mutual Fund Securities

           

United States

   $ 125,716,932      $ 125,716,932      $ —        $ —    
  

 

 

    

 

 

    

 

 

    

 

 

 

Total Investments, at Value

   $ 125,716,932      $ 125,716,932      $ —        $ —    
  

 

 

    

 

 

    

 

 

    

 

 

 

 

 

*

Includes securities that are valued in good faith at fair value by or under the direction of the Board of Trustees at $0.

**

Other countries represents countries that are individually less than 5% of Net Assets.

The level classification by major category of investments is the same as the category presentation in the Schedules of Investments.

Transfer between investment levels may occur as the investment levels may occur markets fluctuate and/or the availability of data used in an investment’s valuation changes.

 

269


The following is a reconciliation of assets for which significant unobservable inputs (Level 3) were used in determining fair value during the period September 1, 2021 through November 30, 2021:

 

     Total     Asset-Backed
Securities
     Collateralized
Mortgage
Obligations
     Common
Stocks
    Corporate
Bonds &
Notes
     Senior
Loans
     Warrants  

Small-Mid Cap Equity Fund

                  

Balance as of August 31, 2021

   $ —     $ —        $ —        $ —     $ —        $ —        $ —    

Total realized gain (loss)

     11       —          —          11       —          —          —    

Change in unrealized appreciation (depreciation)

     —         —          —          —         —          —          —    

Purchases

     —         —          —          —         —          —          —    

(Sales)

     (11     —          —          (11     —          —          —    

Transfers in

     —         —          —          —         —          —          —    

(Transfers out)

     —         —          —          —         —          —          —    
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

Balance as of November 30, 2021

   $ —     $ —        $ —        $ —     $ —        $ —        $ —    
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ —       $ —        $ —        $ —       $ —        $ —        $ —    
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

 

270


     Total     Asset-Backed
Securities
     Collateralized
Mortgage
Obligations
     Common
Stocks
    Corporate
Bonds &
Notes
     Senior
Loans
     Warrants  

Emerging Markets Equity Fund

                  

Balance as of August 31, 2021

   $ 19     $ —        $ —        $ 19   $ —        $ —        $ —    

Total realized gain (loss)

     —         —          —          —         —          —          —    

Change in unrealized appreciation (depreciation)

     106       —          —          (1     —          —          107  

Purchases

     —       —          —          —         —          —          —  

(Sales)

     —         —          —          —         —          —          —    

Transfers in

     —         —          —          —         —          —          —    

(Transfers out)

     —         —          —          —         —          —          —    
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

Balance as of November 30, 2021

     125   $ —        $ —        $ 18   $ —        $ —        $ 107
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ 106     $ —        $ —        $ (1   $ —        $ —        $ 107  
  

 

 

   

 

 

    

 

 

    

 

 

   

 

 

    

 

 

    

 

 

 

 

271


     Total     Asset-Backed
Securities
     Collateralized
Mortgage
Obligations
     Common
Stocks
     Corporate
Bonds &
Notes
    Senior
Loans
     Warrants  

Core Fixed Income Fund

                  

Balance as of August 31, 2021

   $ —     $ —        $ —        $ —        $ —     $ —        $ —    

Total realized gain (loss)

     —         —          —          —          —         —          —    

Change in unrealized appreciation (depreciation)

     —         —          —          —          —         —          —    

Purchases

     —         —          —          —          —         —          —    

(Sales)

     —         —          —          —          —         —          —    

Transfers in

     —         —          —          —          —         —          —    

(Transfers out)

     —         —          —             —         —          —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Balance as of November 30, 2021

   $ —     $ —        $ —        $ —        $ —     $ —        $ —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ —       $ —        $ —        $ —        $ —       $ —        $ —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

 

272


     Total     Asset-Backed
Securities
     Collateralized
Mortgage
Obligations
     Common
Stocks
     Corporate
Bonds &
Notes
     Senior
Loans
    Warrants  

High Yield Fund

                  

Balance as of August 31, 2021

   $ 322,753     $ —        $ —        $ —        $ —        $ 322,753     $ —    

Total realized gain (loss)

     —         —          —          —          —          —         —    

Change in unrealized appreciation (depreciation)

     (9,322     —          —          —          —          (9,322     —    

Purchases

     10,414       —          —          —          —          10,414       —    

(Sales)

     —         —          —          —          —          —         —    

Transfers in

     —         —          —          —          —          —         —    

(Transfers out)

     —         —          —          —          —          —         —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Balance as of November 30, 2021

   $ 323,845     $ —        $ —        $ —        $ —        $ 323,845     $ —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ (9,322   $ —        $ —        $ —        $ —        $ (9,322   $ —    
  

 

 

   

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

 

273


     Total     Asset-Backed
Securities
     Collateralized
Mortgage
Obligations
    Common
Stocks
     Corporate
Bonds &
Notes
     Senior
Loans
     Warrants  

International Fixed Income Fund

                  

Balance as of August 31, 2021

     1,342,080     $ —        $ 1,342,080     $ —        $ —        $ —        $ —    

Total realized gain (loss)

     (3,547     —          (3,547     —          —          —          —    

Change in unrealized appreciation (depreciation)

     (2,116     —          (2,116     —          —          —          —    

Purchases

     720,234       —          720,234       —          —          —          —    

(Sales)

     (1,238,628     —          (1,238,628     —          —          —          —    

Transfers in

     —         —          —         —          —          —          —    

(Transfers out)

     (97,766     —          (97,766     —          —          —          —    
  

 

 

   

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

Balance as of November 30, 2021

   $ 720,257     $ —        $ 720,257     $ —        $ —        $ —        $ —    
  

 

 

   

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ 23     $ —        $ 23     $ —        $ —        $ —        $ —    
  

 

 

   

 

 

    

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

 

274


     Total     Asset-Backed
Securities
    Collateralized
Mortgage
Obligations
    Common
Stocks
     Corporate
Bonds &
Notes
     Senior
Loans
     Warrants  

Ultra-Short Term Fixed Income Fund

                 

Balance as of August 31, 2021

     1,499,654     $ 299,716     $ 1,199,938     $ —        $ —        $ —        $ —    

Total realized gain (loss)

     (92,735     (43,309     (49,426     —          —          —          —    

Change in unrealized appreciation (depreciation)

     (2,620     573       (3,193     —          —          —          —    

Purchases

     745,278       745,278       —         —          —          —          —    

(Sales)

     —         —         —         —          —          —          —    

Transfers in

     —         —         —         —          —          —          —    

(Transfers out)

     (2,149,577     (1,002,258     (1,147,319     —          —          —          —    
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

Balance as of November 30, 2021

   $ —       $ —       $ —       $ —        $ —        $ —        $ —    
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

Change in unrealized appreciation
(depreciation) from Investments held as
of November 30, 2021

   $ —       $ —       $ —       $ —        $ —        $ —        $ —    
  

 

 

   

 

 

   

 

 

   

 

 

    

 

 

    

 

 

    

 

 

 

 

 

*

Includes securities that are valued at $0.

(b) Accounting for Derivative Instruments. Derivative instruments require enhanced disclosures regarding a Fund’s credit derivatives holdings, including credit default swaps, credit spread options and hybrid financial instruments containing embedded credit derivatives.

All open derivative positions at the period-end for each Fund are disclosed in the Fund’s Schedule of Investments.

Certain Funds may use derivative instruments including futures, options, forward foreign currency contracts, swaptions and swap contracts as part of their investment strategies. Following is a description of these derivative instruments, including the primary underlying risk exposures related to each instrument type:

(i) Futures Contracts. Certain Funds may enter into futures contracts, to the extent permitted by their investment policies and objectives, for bonafide hedging and other permissible risk management purposes including protecting against anticipated changes in the value of securities a Fund intends to purchase. Upon entering into a futures contract, a

 

275


Fund is required to deposit cash or securities as initial margin, which is included in deposits for collateral with counterparty on the Statements of Assets and Liabilities. Additional securities are also segregated as collateral up to the current market value of the futures contracts. Subsequent payments, known as variation margin, are made or received by the Fund, depending on the fluctuation in the value of the underlying financial instruments and are reported on the Statements of Assets and Liabilities. The Fund recognizes an unrealized gain or loss equal to the variation margin. When futures contracts are closed, a realized gain or loss is recognized which is equal to the difference between the proceeds from (or cost of) the closing transactions and the Fund’s basis in the contracts.

The risks associated with entering into futures contracts include the possibility that a change in the value of the contract may not correlate with the changes in the value of the underlying instruments. In addition, investing in futures contracts involves the risk that the Fund could lose more than the original margin deposit due to subsequent payments that may be required for a futures transaction.

(ii) Options Written. Certain Funds may write options to manage exposure to certain changes in the market. When a Fund writes an option, an amount equal to the premium received by the Fund is recorded as a liability, the value of which is marked-to-market daily to reflect the current market value of the option written. If the option expires, the Fund realizes a gain from investments equal to the amount of the premium received. When a written call option is exercised, the premium received is added to the proceeds from the sale of the underlying security in determining whether the Fund has a realized gain or loss. When a written put option is exercised, the amount of the premium received reduces the cost of the security purchased by the Fund.

When writing a covered call option, a Fund may forego the opportunity of profit if the market price of the underlying security increases more than the premium received and the option is exercised. When writing a put option, a Fund may incur a loss if the market price of the underlying security decreases more than the premium received and the option is exercised. In addition, there is the risk that the Fund may not be able to enter into a closing transaction because of an illiquid secondary market.

(iii) Purchased Options. Certain Funds may purchase options to manage exposure to certain changes in the market. A Fund will normally purchase call options in anticipation of an increase in the market value of securities of the type in which they may invest, an amount equal to the value is recorded as an asset. The purchase of a call option will entitle a Fund, in return for the premium paid, to purchase specified securities at a specified price during the option period. A Fund will ordinarily realize a gain if, during the option period, the value of such securities exceeded the sum of the exercise price, the premium paid and transaction costs; otherwise, the Fund will realize a loss equal to the amount of the premium paid on the purchase of the call option.

A Fund will normally purchase put options in anticipation of a decline in the market value of securities in its portfolio

(“protective puts”) or in securities in which it may invest. The purchase of a put option will entitle the Fund, in exchange for the premium paid, to sell specified securities at a specified price during the option period. The purchase of protective puts is designed to offset or hedge against a decline in the market value of the Fund’s securities. Put options may also be purchased by a Fund for the purpose of affirmatively benefiting from a decline in the price of securities which it does not own. The Fund will ordinarily realize a gain if, during the option period, the value of the underlying securities decreased below the exercise price sufficiently to more than cover the premium and transaction costs; otherwise the Fund will realize a loss equal to the amount of the premium paid on the purchase of the put option. Gains and losses on the purchase of protective put options would tend to be offset by countervailing changes in the value of the underlying portfolio securities.

(iv) Inflation-Capped Options. Certain Funds may write or purchase inflation-capped options to enhance returns or for hedging opportunities. When a Fund writes an inflation-capped option, an amount equal to the premium received is recorded as a liability on the Statements of Assets and Liabilities and subsequently marked to market to reflect the change value of the option written. When a Fund purchases an inflation-capped option, the Fund pays a premium which is recorded as an asset on the Statements of Assets and Liabilities and subsequently marked to market to reflect the current value of the option. The purpose of purchasing inflation-capped options is to protect a Fund from inflation erosion above a certain rate on a given notional exposure. A floor can be used to give downside protection to investments in inflation-linked products.

(v) Forward Foreign Currency Contracts. Certain Funds may enter into forward foreign currency contracts to hedge against foreign currency exchange rate risk on their non-U.S. dollar denominated securities or to facilitate settlement of foreign currency denominated portfolio transactions. A forward foreign currency contract is an agreement between two parties to buy and sell a currency at a set price on a future date. The contract is marked-to-market daily and the change in value is recorded by a Fund as an unrealized gain or loss. When a forward foreign currency contract is extinguished, through either delivery or offset by entering into another forward foreign currency contract, the Fund records a realized

 

276


gain or loss equal to the difference between the value of the contract at the time it was opened and the value of the contract at the time it was extinguished.

Forward foreign currency contracts involve elements of market risk in excess of the amounts reflected in the Statements of Assets and Liabilities. The Fund bears the risk of an unfavorable change in the foreign exchange rate underlying the forward foreign currency contract. Risks may also arise upon entering into these contracts from the potential inability of the counterparties to meet the terms of their contracts.

(vi) Swaptions. Swaptions contracts entered into by the Funds typically represent an option that gives the purchaser the right, but not the obligation, to enter into a swap contract on a future date. Certain Funds may purchase swaptions to manage exposure to fluctuations in interest rates and to enhance portfolio yield. Changes in the value of purchased swaptions are reported as net change in unrealized appreciation or depreciation on the Statements of Operations and Changes in Net Assets. Gain or loss is recognized when the swaptions contract expires or is closed as net realized gain or loss on the Statements of Operations and Changes in Net Assets. Details of purchased swaptions contracts held at period-end are included on the Fund’s Schedule of Investments under the caption “Purchased Options.”

Certain Funds may write swaption contracts to manage exposure to fluctuations in interest rates and to enhance portfolio yield. Swaption contracts written by a Fund represent an option that obligates the writer upon exercise by the purchaser, to enter into a previously agreed upon swap contract on a future date. If a written call swaption is exercised, the writer will enter into a swap and is obligated to pay the fixed rate and receive a floating rate in exchange. If a written put swaption is exercised, the writer will enter a swap and is obligated to pay the floating rate and receive a fixed rate in exchange.

When a Fund writes a swaption, the premium received is recorded as a liability in the Statements of Assets and Liabilities and is subsequently adjusted to the current market value of the swaption. Changes in the value of the swaption are reported as unrealized gains or losses in the Statements of Operations. A gain or loss is recognized when the swaption contract expires or is closed. Premiums received from writing swaptions that expire or are exercised are treated by the Fund as realized gains from investments. The difference between the premium and the amount paid on effecting a closing purchase transaction is also treated as a realized gain or, if the premium received is less than the amount paid for the closing purchase, as a realized loss.

Entering into a swaption contract involves, to varying degrees, the elements of credit, market and interest rate risk, associated with both option contracts and swap contracts. To reduce credit risk from potential counterparty default, a Fund only enters into swaption contracts with counterparties that meet certain standards of creditworthiness. A Fund bears the market risk arising from any change in index values or interest rates.

(vii) Swap Contracts. Swaps involve the exchange by a Fund with another party of the respective amounts payable with respect to a notional principal amount related to one or more indices. Certain Funds may enter into these transactions to preserve a return or spread on a particular investment or portion of its assets, as a duration management technique or to protect against any increase in the price of securities the Fund anticipates purchasing at a later date. Certain Funds may also use these transactions for speculative purposes, such as to obtain the price performance of a security without actually purchasing the security in circumstances where, for example, the subject security is illiquid, is unavailable for direct investment or available only on less attractive terms.

Swaps are marked-to-market daily based upon quotations from market makers and the change, if any, is recorded as change in unrealized appreciation or depreciation in the Statements of Operations. Net receipts or payments of interest are recorded as realized gains or losses, respectively. Gains and losses are realized upon termination of a swap contract. An upfront payment received by the Fund, is recorded as a liability on the Fund’s books. An upfront payment made by the Fund is recorded as an asset on the Fund’s books. Any upfront payments paid or received upon entering a swap contract to compensate for differences between stated terms of the agreement and prevailing market conditions (e.g. credit spreads, interest rates or other factors) are recorded as a realized gain or loss at the termination of the swap.

Swaps have risks associated with them, including possible default by the counterparty to the transaction, illiquidity and, where swaps are used as hedges, the risk that the use of a swap could result in losses greater than if the swap had not been employed. This risk is mitigated by the posting of collateral by the counterparty to the Fund to cover the Fund’s exposure to the counterparty. Such amounts are reported on the Statements of Assets and Liabilities as deposits with counterparties.

(viii) Credit Default Swaps. Certain Funds may enter into credit default swap contracts for investment purposes, to manage their credit risk or to add leverage. As a seller in a credit default swap contract, a Fund is required to pay the notional or other agreed-upon value to the counterparty in the event of a default by a third party, such as a U.S. or foreign

 

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corporate issuer, on the referenced debt obligation. In return, the Fund receives from the counterparty a periodic stream of payments over the term of the contract provided that no event of default has occurred. If no default occurs, the Fund keeps the stream of payments and has no payment obligations. Such periodic payments are accrued daily and accounted for as realized gains.

Certain Funds may also purchase credit default swap contracts in order to hedge against the risk of default by debt securities held in their portfolios. In these cases, a Fund functions as the counterparty referenced in the preceding paragraph. As a purchaser of a credit default swap contract, the Fund receives the notional or other agreed upon value from the counterparty in the event of a default by a third party, such as a U.S. or foreign corporate issuer, on the referenced debt obligation. In return, the Fund makes periodic payments to the counterparty over the term of the contract provided no event of default has occurred. Such periodic payments are accrued daily and accounted for as realized losses.

For a credit default swap sold by a Fund, payment of the agreed upon amount made by the Fund in the event of default of the referenced debt obligation is recorded as the cost of the referenced debt obligation received. For a credit default swap purchased by a Fund, the agreed upon amount received by the Fund in the event of default of the referenced debt obligation is recorded as proceeds from sale/delivery of the referenced debt obligation and the resulting gain or loss realized on the referenced debt obligation is recorded as such by the Fund.

Entering into credit default swaps involves, to varying degrees, elements of credit and market risk in excess of the related amounts recognized on the Statements of Assets and Liabilities. Such risks involve the possibility that there will be no liquid market for these agreements, that the counterparty to the agreements may default on its obligation to perform or disagree as to the meaning of the contractual terms in the agreements, and that there will be unfavorable changes in net interest rates. As privately negotiated transactions, swaps may involve risk, which is the risk that the swap contracts fail to contemplate a particular outcome or that the parties disagree about the proper interpretation of a transaction term.

(ix) Interest Rate Swaps. Certain Funds may enter into interest rate swaps for investment purposes to manage exposure to fluctuations in interest rates or to add leverage. Interest rate swaps represent an agreement between two counterparties to exchange cash flows based on the difference in the fixed interest rate and the floating interest rate, applied to the notional principal amount for a specified period. The payment flows are usually netted against each other, with the difference being paid by one party to the other. Once the payments are settled in cash, the net amount is recorded as realized gain or loss from swap contracts on the Statements of Operations. The Funds settle accrued net receivable or payable under the swap contracts on a periodic basis.

The primary risk associated with interest rate swaps is that unfavorable changes in interest rates could adversely impact a Fund.

(x) Centrally Cleared Swaps. Certain clearinghouses currently offer clearing for limited types of derivatives transactions, principally credit and interest derivatives. In a centrally cleared derivative transaction, a Fund typically enters into the transaction with financial institution counterparty, and performance of the transaction is effectively guaranteed by a central clearinghouse, thereby reducing or eliminating the Fund’s exposure to the credit risk of the original counterparty. The Fund typically will be required to post specified levels of margin with the clearinghouse or at the instruction of the clearinghouse. The margin required by a clearinghouse may be greater than the margin the Fund would be required to post in an uncleared derivative transaction. Daily changes in valuation of centrally cleared swaps, if any, are recorded as variation margin receivable or payable on swap contracts for the change in value as appropriate on the Statements of Assets and Liabilities. Only a limited number of derivative transactions are currently eligible for clearing by clearinghouses.

(xi) Cross-Currency Swaps. Certain Funds may enter into cross-currency swaps to gain or mitigate exposure to currency risk. Cross-currency swaps involve two parties exchanging two different currencies with an agreement to reverse the exchange at a later date at specific exchange rates. The exchange of currencies at the inception date of the contract takes place at the current spot rate. The re-exchange at maturity may take place at the same exchange rate, a specified rate, or the then current spot rate. Interest payments, if applicable, are made between the parties based on interest rates available in the two currencies at the inception of the contract. The terms of cross-currency swap contracts may extend for many years. Cross-currency swaps are usually negotiated with commercial and investment banks. Some cross-currency swaps may not provide for exchanging principal cash flows, but only for exchanging interest cash flows.

(xii) Volatility Swap Contracts. A volatility swap is an agreement between counterparties to exchange periodic payments based on the measured volatility of a reference security, index, currency or other reference investment over a specified time frame. One cash flow is typically based on the realized volatility of the reference investment as measured by changes in its price or level over the specified time period while the other cash flow is based on a specified rate representing expected volatility for the reference investment at the time the swap is executed, or the measured volatility

 

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of a different reference investment over the specified time period. The appreciation or depreciation on a volatility swap will typically depend on the magnitude of the reference investment’s volatility, or size of the movements in its price, over the specified time period, rather than general directional increases or decreases in its price.

Volatility swaps are less standard in structure than other types of swaps and provide pure, or isolated, exposure to volatility risk of the specific underlying reference investment. Volatility swaps are typically used to speculate on future volatility levels, to trade the spread between realized and expected volatility, or to decrease the volatility exposure of investments held by the Fund.

Variance swaps are a type of volatility swap where counterparties agree to exchange periodic payments based on the measured variance (or the volatility squared) of a reference security, index, or other reference investment over a specified time period. At payment date, a net cash flow will be exchanged based on the difference between the realized variance of the reference investment over the specified time period and the specified rate representing expected variance for the reference investment at the time the swap is executed multiplied by the notional amount of the contract.

(xiii) Inflation Rate Swap Contracts. The Fund may enter into inflation rate swap contracts to attempt to hedge against inflation. Pursuant to the inflation rate swap agreement, the Fund negotiates with a counterparty to exchange a periodic stream of payments, based on a benchmark inflation index. One cash flow stream will typically be a floating rate payment linked to the specified inflation index while the other is typically a fixed interest rate.

Inflation rate swaps are normally issued on a zero coupon basis where all payments compound during the life of the contract and are netted upon the termination or maturity of the contract. Final payments received or paid by the Fund are recorded as realized gains or losses in the Statements of Operations. Inflation rate swap contracts are subject to movements in interest rates.

(xiv) Total Return Swaps. The Fund may enter into total return swap contracts to gain exposure and benefit from reference asset (single asset, or a basket of assets) without actually having to own it. Total return swap contracts are agreements where the total return of a reference asset is paid in exchange for periodic cash flows. The deal is structured such that the total return (asset income plus capital appreciation/depreciation) is exchanged, in the cash flows. Periodic payments received or made by the Fund are recorded as realized gains or losses in the Statements of Operations.

(c) Repurchase Agreements. When entering into repurchase agreements, it is the Funds’ policy that their custodian or a third party custodian takes possession of the underlying collateral securities, the market value of which at least equals the principal amount of the repurchase transaction, including accrued interest. To the extent that any repurchase transaction exceeds one business day, the value of the collateral is marked-to-market daily to ensure the adequacy of the collateral. If the seller defaults and the market value of the collateral declines or if bankruptcy proceedings are commenced with respect to the seller of the security, realization of the collateral by the Funds may be delayed or limited.

(d) Stripped Securities. Certain Funds may invest in “Stripped Securities”, a term used collectively for stripped fixed income securities. Stripped Securities can be principal-only securities (“PO”), which are debt obligations that have been stripped of interest coupons, or interest-only securities (“IO”), which are interest coupons that have been stripped from debt obligations. As is the case with all securities, the market value of Stripped Securities will fluctuate in response to changes in economic conditions, interest rates and the market’s perception of the securities. However, fluctuations in response to interest rates may be greater in Stripped Securities than for debt obligations of comparable maturities that pay interest currently. The amount of fluctuation increases with a longer period of maturity. The yield-to-maturity on an IO is sensitive to the rate of principal repayments (including prepayments) on the related underlying debt obligation and principal payments may have a material effect on yield to maturity. If the underlying debt obligation experiences greater than anticipated prepayments of principal, the Fund may not fully recoup its initial investment in the IO.

(e) Time Deposits. Certain Funds may purchase overnight time deposits issued by offshore branches of U.S. banks that meet credit and risk standards established by the custodian and approved by the Board.

(f) Lending of Portfolio Securities The Trust has an agreement with its custodian, whereby the custodian, as agent, may lend securities owned by the Funds to brokers, dealers and other financial organizations that have been approved as borrowers by the Funds. The custodian enters into agreements with the borrowers. Loans of securities by a Fund are collateralized by cash, U.S. government securities or irrevocable performance letters of credit issued by banks approved by the Funds. All non-cash collateral is received, held and administered by the custodian in an applicable custody account or other account established for the purpose of holding collateral for each Fund. Cash collateral received by the Funds as a result of securities lending activities is invested in an unaffiliated registered money market fund, and is recorded as Payable for collateral received from securities on loan within the Statements of Assets and Liabilities. Securities lending income represents the income earned on investing cash collateral plus any premium payments that may be received on

 

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the loan of certain types of securities, less fees and expenses associated with the loan. Each Fund maintains the risk of any market loss on its securities on loan as well as the potential loss on investments purchased with cash collateral received from its securities lending. The custodian has the right under its agreement with the borrowers to recover any loaned securities from the borrower on demand. Additionally, the Funds are exposed to risks that a borrower may not provide additional collateral when required or return loaned securities when due. If the borrower fails to return the securities, the custodian will use the collateral to purchase replacement securities. The custodian is responsible for any shortfall in collateral value under certain circumstances.

At November 30, 2021, the aggregate market value of the loaned securities and the value of the collateral each fund received were as follows:

Gross Amounts Not Offset in the Statements of Assets and Liabilities

 

Fund   

Gross Asset Amount
Presented in the Statements
of Assets and Liabilities (a)

   Financial
Instrument
   Collateral
Received (b)(c)
  Net Amount
(Not Less than $0)

Large Cap Equity Fund

     $ 20,227,290              $ —        $ (20,227,290 )     $ 0  

Small-Mid Cap Equity Fund

       27,327,898                —          (27,327,898 )       0  

International Equity Fund

       9,919,094                —          (9,919,094 )       0  

Emerging Markets Equity Fund

       2,600,973                —          (2,600,973 )       0  

 

(a)

Represents market value of securities on loan at period end.

(b)

The Funds received cash collateral of $21,144,523, $28,655,970, $10,449,309 and $2,737,040, respectively, which was subsequently invested in Invesco STIT – Government & Agency Portfolio as reported in the Schedules of Investments.

(c)

The actual collateral received could be greater than the amount shown here due to overcollateralization.

(g) To-Be-Announced Purchase and Sale Commitments. Certain Funds may trade securities on a to-be-announced (“TBA”) basis. In a TBA transaction, a Fund commits to purchasing or selling securities which have not yet been issued by the issuer and for which specific information is not known, such as the face amount and maturity date and the underlying pool of investments in U.S. government agency mortgage pass-through transactions. Securities purchased on a TBA basis are not settled until they are delivered to the Fund, normally 15 to 45 days later. Beginning on the date the Fund enters into a TBA transaction, cash, U.S. government securities or other liquid high-grade debt obligations are segregated in an amount equal in value to the purchase price of the TBA security. These transactions are marked-to-market on a daily basis and are subject to market fluctuations. Realized gains or losses on TBA purchase commitments are included in Net realized gain (loss) on investments on the Statements of Operations. Any fluctuation in the value of the purchased TBA commitments is included in Net change in unrealized appreciation (depreciation) on investments on the Statements of Operations.

Additionally, when a Fund sells TBA securities without already owning or having the right to obtain the deliverable securities (an uncovered forward commitment to sell), it incurs a risk of loss because it could have to purchase the securities at a price that is higher than the price at which it sold them. A Fund may be unable to purchase the deliverable securities if the corresponding market is illiquid.

TBA securities subject to a forward commitment to sell at period end are included at the end of the Fund’s Schedule of Investments under the caption “Schedule of Forward Sale Commitments.” The proceeds and value of these commitments are recorded as Forward Sale Commitments at value in the Statements of Assets and Liabilities.

(h) Short Sales of Securities. A short sale is a transaction in which a Fund sells securities it does not own in anticipation of a decline in the market price of the securities. To complete a short sale, the Fund may arrange through a broker to borrow the securities to be delivered to the buyer. The proceeds received by the Fund for the short sale are retained by the broker until the Fund replaces the borrowed securities. In borrowing the securities to be delivered to the buyer, the Fund becomes obligated to replace the securities borrowed at their market price at the time of replacement, whatever that price may be.

The risk of engaging in short sale transactions is that selling short magnifies the potential for loss to a Fund. The larger the Fund’s short position, the greater the potential loss. If a security sold short increases in price, the Fund may have to cover its short position at a higher price than the short sale price, resulting in a loss. To borrow the security, the Fund also may be required to pay a premium, which could decrease the proceeds of the security sold short. The amount of any gain will be decreased, and the amount of any loss increased, by the amount of the premium, dividends, interest or expenses the Fund may be required to pay in connection with the short sale. In addition, because the Fund’s loss on a short sale arises from increases in the value of the security sold short, such loss is unlimited.

(i) Mortgage Dollar Rolls. Certain Funds may sell mortgage-backed securities for delivery in the current month and simultaneously contract to repurchase substantially similar (same type, coupon and maturity) securities to settle on a specific future date at an agreed upon price. Pools of mortgage securities are used to collateralize mortgage dollar roll transactions and may have different prepayment histories than those sold. During the period between the sale and the repurchase, a Fund forgoes principal and interest paid on the securities sold. Proceeds of the sale will be invested in short-term instruments and the income from these investments, together with any additional fee income received on a sale, is intended to generate income for a Fund. A Fund accounts for mortgage dollar roll transactions as purchases and sales and realizes the gain or loss at the time the transaction is entered into on these transactions. If certain criteria are met, these dollar roll transactions may be considered financing transactions, whereby the difference in the sale price and the future purchase price is recorded as an adjustment to interest income.

Mortgage dollar roll transactions involve the risk that the market value of the securities a Fund is obligated to repurchase under the agreement may decline below the repurchase price of those securities. If investment performance of securities

 

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purchased with proceeds from these transactions does not exceed the income, capital appreciation and gain or loss that would have been realized on the securities sold as part of the dollar roll, the use of this technique will adversely impact the investment performance of a Fund. In the event the buyer of securities under a mortgage dollar roll files for bankruptcy or becomes insolvent, the Fund’s use of proceeds of the dollar roll may be restricted pending a determination by the other party, or its trustee or receiver, whether to enforce the Fund’s obligation to repurchase the securities.

(j) Credit and Market Risk. Certain Funds invest in high yield instruments that are subject to certain credit and market risks. The yields of high yield obligations reflect, among other things, perceived credit and market risks. Each Fund’s investment in securities rated below investment grade typically involve risks not associated with higher rated securities, including, among others, greater risk related to timely and ultimate payment of interest and principal, greater market price volatility and less liquid secondary market trading.

(k) Foreign Investment and Currency Risks. Certain Funds’ investments in foreign securities may involve risks not present in domestic investments. Because securities may be denominated in foreign currencies and may require settlement in foreign currencies and pay interest or dividends in foreign currencies, changes in the relationship of these foreign currencies to the U.S. dollar can significantly affect the value of the investments and earnings of a Fund. Foreign investments may also subject the Fund to foreign government exchange restrictions, expropriation, taxation or other political, social or economic developments, all of which affect the market and/or credit risk of the investments.

(l) Emerging Markets Risk. In addition to foreign investment and currency risks, which tend to be amplified in emerging markets, emerging markets may experience rising interest rates, or, more significantly, rapid inflation or hyperinflation. The economies of emerging market countries may grow at slower rates than expected or suffer a downturn or recession. Emerging market securities may present market, credit, liquidity, legal, political and other risks different from, or greater than, the risks of investing in developed foreign countries.

(m) LIBOR Replacement Risk. Many financial instruments use or may use a floating rate based on LIBOR, the offered rate at which major international banks can obtain wholesale, unsecured funding. LIBOR may be a significant factor in determining the Fund’s payment obligations under a derivative investment, the cost of financing to the Fund or an investment’s value or return to the Fund, and may be used in other ways that affect the Fund’s investment performance. In July 2017, the United Kingdom’s Financial Conduct Authority announced a desire to phase out the use of LIBOR by the end of 2021. The unavailability and/or discontinuation of LIBOR may affect the value, liquidity or return on certain Fund investments that mature later than 2021 and may result in costs incurred in connection with closing out positions and entering into new positions. Any pricing adjustments to the Fund’s investments resulting from a substitute reference rate may also adversely affect the Fund’s performance and/or net asset value.

(n) Volatility Risk. Volatility risk refers to the magnitude of the movement, but not the direction of the movement, in a financial instrument’s price over a defined time period. Large increases or decreases in a financial instrument’s price over a relative time period typically indicate greater volatility risk, while small increases or decreases in its price typically indicate lower volatility risk.

(o) Market Risk. The outbreak of the coronavirus (“COVID-19”) and the recovery responses could adversely impact the operations of the Fund and its service providers and financial performance of the Fund and the Fund’s investments. The extent of such impact depends on future developments, including (i) the duration and spread of the outbreak, (ii) the restrictions and advisories, (iii) the effects on the financial markets, (iv) government and regulatory responses, and (v) the effects on the economy overall as a result of developments such as disruption to consumer demand, economic output and supply chains. The duration and extent of COVID-19 and associated economic and market conditions and uncertainty over the long term cannot be reasonably estimated at this time. The ultimate impact of COVID-19 and the extent to which the associated conditions impact the Fund will also depend on future developments, which are highly uncertain, difficult to accurately predict and subject to change at any time. If the financial performance of the Fund’s investments is impacted because of these factors for an extended period, the Fund’s investment results may be adversely affected.

(p) Security Transactions and Investment Income. Security transactions are accounted for on a trade date basis. Interest income, adjusted for amortization of premium and accretion of discount, is recorded on an accrual basis. Dividend income is recorded on the ex-dividend date. Foreign dividend income is recorded on the ex-dividend date or as soon as practical after a Fund determines the existence of a dividend declaration after exercising reasonable due diligence. Interest and dividend income payable by delivery of additional shares is reclassified as PIK (payment-in-kind) income upon receipt, if any, and is included in interest and dividend income, respectively. The cost of investments sold is determined by use of the specific identification method. To the extent any issuer defaults on an expected interest payment, the Trust’s policy is to generally halt any additional “interest income accruals and accretion” and consider the Fund’s ability to realize interest accrued up to the date of default.

(q) Foreign Currency Translation. Investment securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollar amounts based upon prevailing exchange rates on the date of valuation.

 

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Purchases and sales of investment securities and income and expense items denominated in foreign currencies are translated into U.S. dollar amounts based upon prevailing exchange rates on the respective dates of such transactions.

The Funds do not isolate that portion of the results of operations resulting from changes in foreign exchange rates on investments from the fluctuations arising from changes in market prices of securities held. Such fluctuations are included with the net realized and unrealized gain or loss on investments in the Statements of Operations.

Net realized foreign exchange gains or losses arise from sales of foreign currencies, including gains and losses on forward foreign currency contracts, currency gains or losses realized between the trade and settlement dates on securities transactions and the difference between the amounts of dividends, interest and foreign withholding taxes recorded on the Funds’ books and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange gains and losses arise from changes in the fair values of assets and liabilities, other than investments in securities, at the date of valuation, resulting from changes in exchange rates.

Foreign security and currency transactions may involve certain considerations and risks not typically associated with those of U.S. dollar denominated transactions as a result of, among other factors, the possibility of lower levels of governmental supervision and regulation of foreign securities markets and the possibility of political or economic instability.

(r) Distributions to Shareholders. Distributions from net investment income for Large Cap Equity Fund, Small-Mid Cap Equity Fund, International Equity Fund, Emerging Markets Equity Fund, International Fixed Income Fund and Alternative Strategies Fund, if any, are declared and paid on an annual basis. Distributions from net investment income for Core Fixed Income Fund, High Yield Fund, Municipal Bond Fund, Inflation-Linked Fixed Income Fund and Ultra-Short Term Fixed Income Fund, if any, are declared and paid on a monthly basis.

The Funds intend to satisfy conditions that will enable interest from municipal securities, which are exempt from regular federal income tax and from designated state income taxes, to retain such tax-exempt status when distributed to the shareholders of the Funds. Distributions of net realized gains to shareholders of the Funds, if any, are taxable and are declared at least annually. Distributions to shareholders of the Funds are recorded on the ex-dividend date and are determined in accordance with income tax regulations, which may differ from GAAP.

(s) Federal and Other Taxes. It is the Trust’s policy to comply with the federal income and excise tax requirements of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. Accordingly, each Fund intends to distribute substantially all of its income and net realized gains on investments, if any, to shareholders each year. Therefore, no federal income tax provision is required in the Funds’ financial statements. Under the applicable foreign tax laws, a withholding tax may be imposed on interest, dividends and capital gains at various rates.

Management has reviewed the tax positions and has concluded that no liability for unrecognized tax benefits should be recorded related to uncertain tax positions taken on returns filed for open tax years or expected to be taken in 2020 tax returns. Each Fund’s federal tax returns for the prior three fiscal years remain subject to examination by the Internal Revenue Service.

(t) Reclassification. GAAP requires that certain components of net assets be adjusted to reflect permanent differences between financial and tax reporting. These reclassifications have no effect on net assets or net asset values per share.

(u) Restricted Securities. All Funds may invest in non-publicly traded securities, commonly called restricted securities. Restricted securities may be less liquid than publicly-traded securities. Although certain restricted securities may be resold in privately negotiated transactions, the values realized from these sales could be less than originally paid by a Fund. Certain restricted securities may be deemed liquid by the Manager and/or Sub-adviser pursuant to the procedures approved by the Board. The value of restricted securities is determined as described in Note 1(a).

(v) Reverse Repurchase Agreements. Certain Funds may each enter into reverse repurchase agreements with the financial institutions with which it may enter into repurchase agreements. Under a reverse repurchase agreement, a Fund sells securities to a financial institution and agrees to repurchase them at a mutually agreed upon date, price and rate of interest. During the period between the sale and repurchase, the Fund would not be entitled to principal and interest paid on the securities sold by the Fund. The Fund, however, would seek to achieve gains derived from the difference between the current sale price and the forward price for the future purchase as well as the interest earned on the proceeds on the initial sale. Reverse repurchase agreements involve the risk that the market value of the securities purchased with the proceeds from the sale of the securities received by the Fund may decline below the price of the securities the Fund is obligated to repurchase. Reverse repurchase agreements also involve credit risk with the counterparty to the extent that the value of securities subject to repurchase exceed the Fund’s liability under the reverse repurchase agreement. Reverse

 

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repurchase agreements will be viewed as borrowings by a Fund for the purpose of calculating the Fund’s indebtedness and will have the effect of leveraging the Fund’s assets.

(w) Indemnification. In the normal course of business, the Funds may enter into contracts that provide certain indemnifications. The Funds’ maximum exposure under these arrangements is dependent on future claims that may be made against the Funds and, therefore, cannot be estimated; however, based on experience, risk of loss from such claims is considered remote.

(x) Senior Floating-Rate Loans. Interests in senior floating-rate loans (“Senior Loans”) for which reliable market quotations are readily available are valued generally at the average mean of bid and ask quotations obtained from a third party pricing service. Other Senior Loans are valued at fair value by the investment adviser under procedures approved by the Trustees. In fair valuing a Senior Loan, the investment adviser utilizes one or more of the valuation techniques described in (i) through (iii) below to assess the likelihood that the borrower will make a full repayment of the loan underlying such Senior Loan relative to yields on other Senior Loans issued by companies of comparable credit quality. If the investment adviser believes that there is a reasonable likelihood of full repayment, the investment adviser will determine fair value using a matrix pricing approach that considers the yield on the Senior Loan. If the investment adviser believes there is not a reasonable likelihood of full repayment, the investment adviser will determine fair value using analyses that include, but are not limited to: (i) a comparison of the value of the borrower’s outstanding equity and debt to that of comparable public companies; (ii) a discounted cash flow analysis; or (iii) when the investment adviser believes it is likely that a borrower will be liquidated or sold, an analysis of the terms of such liquidation or sale. In certain cases, the investment adviser will use a combination of analytical methods to determine fair value, such as when only a portion of a borrower’s assets are likely to be sold. In conducting its assessment and analyses for purposes of determining fair value of a Senior Loan, the investment adviser will use its discretion and judgment in considering and appraising relevant factors. Fair value determinations are made by the portfolio managers of the Fund based on information available to such managers. The portfolio managers of other funds managed by the investment adviser that invest in Senior Loans may not possess the same information about a Senior Loan borrower as the portfolio managers of the Fund. At times, the fair value of a Senior Loan determined by the portfolio managers of other funds managed by the investment adviser that invest in Senior Loans may vary from the fair value of the same Senior Loan determined by the portfolio managers of the Fund. The fair value of each Senior Loan is periodically reviewed and approved by the investment adviser’s Valuation Committee and by the Trustees based upon procedures approved by the Trustees. Junior Loans (i.e., subordinated loans and second lien loans) are valued in the same manner as Senior Loans.

In connection with bank loan interests, the Fund may enter into unfunded bank loan interests (“commitments”). Unfunded loan commitments may be partially or wholly unfunded. The Fund is obligated to fund those commitments at borrower’s discretion. In connection with these commitments, the Fund earns a commitment fee, which is included in interest income in the Statements of Operations and recognized respectively over the commitment period.

(y) When-Issued and Delayed Delivery Securities. Certain Fund may purchase securities, including U.S. government securities, on a when-issued basis or may purchase or sell securities for delayed delivery. In such transactions, delivery of the securities occurs beyond the normal settlement period, but no payment or delivery is made by a Fund prior to the actual delivery or payment by the other party to the transaction. The purchase of securities on a when-issued or delayed delivery basis involves the risk that the value of the securities purchased will decline prior to the settlement date. The sale of securities for delayed delivery involves the risk that the prices available in the market on the delivery date may be greater than those obtained in the sale transaction. When-issued and delayed delivery transactions will be fully collateralized by segregated liquid assets.

(z) Disclosure about Offsetting Assets and Liabilities. In order to better define contractual rights under derivative contracts and to secure rights that will help the Funds mitigate their counterparty risk, a Sub-adviser may, on behalf of the Funds, enter into an International Swaps and Derivatives Association, Inc. Master Agreement (“ISDA Master Agreement”) or similar agreement with its derivative contract counterparties. An ISDA Master Agreement is a bilateral agreement between the Funds and a counterparty that governs OTC derivatives and foreign exchange contracts and typically contains, among other things, collateral posting terms and netting provisions in the event of a default and/or termination event. The ISDA Master Agreement gives a Fund the right, upon an event of default by the applicable counterparty or a termination of the agreement, to close out all transactions traded under such agreement and to net amounts owed under each transaction to one net amount payable by one party to the other. Absent an event of default by the counterparty or a termination of the agreement, the ISDA Master Agreement does not result in an offset of reported amounts of assets and liabilities in the Statements of Assets and Liabilities across the transactions between the Funds and the applicable counterparty. The right to offset and net payments across all transactions traded under the ISDA Master Agreement could result in a reduction of the Funds’ credit risk to such counterparty equal to any amounts payable by the Funds under the applicable transactions, if any. The enforceability of the right to offset may vary by jurisdiction.

Cash collateral that has been received or pledged to cover obligations under derivative contracts, if any, will be reported separately in the Statements of Assets and Liabilities. Generally, the amount of collateral due from or to a counterparty is subject to a minimum transfer threshold amount before a transfer is required, which may vary by counterparty. Collateral pledged for the benefit of the Fund and/or counterparty is held in segregated accounts by the Fund’s custodian and cannot be sold, re-pledged, assigned or otherwise used while pledged. The portion of such collateral representing cash, if

 

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any, is reflected as deposits with counterparties and, in the case of cash pledged by counterparty for the benefit of the Fund, a corresponding liability in the Statements of Assets and Liabilities. Securities pledged by the Fund as collateral, if any, are identified as such in the Schedule of Investments. The carrying amount of such deposits due to brokers at November 30, 2021 approximated their fair value. If measured at fair value, such deposits would have been considered as Level 2 in the fair value hierarchy (see Note 1(a)).

Repurchase agreements and reverse repurchase agreements may be entered into by the Funds under Master Repurchase Agreements (“MRA”) which permit a Fund, under certain circumstances including an event of default (such as bankruptcy or insolvency), to offset payables and/or receivables under the MRA with collateral held and/or posted to the counterparty and create one single net payment due to or from a Fund. However, bankruptcy or insolvency laws of a particular jurisdiction may impose restrictions on or prohibitions against such a right of offset in the event of the MRA counterparty’s bankruptcy or insolvency. The Fund’s repurchase agreements as of November 30, 2021 are shown on a gross basis and the required offsetting disclosures are shown in the Schedules of Investments. The value of the related collateral exceeded the value of the repurchase agreements as of November 30, 2021.

For financial reporting purposes, the Funds do not offset financial assets and financial liabilities that are subject to master netting arrangements or similar agreements on the Statements of Assets and Liabilities.

2. Investments

The aggregate gross unrealized appreciation and depreciation of investments for federal income tax purposes at November 30, 2021 have been disclosed under respective schedules of investments.

 

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