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LLC 9R7GPTSO7KV3UQJZQ078 Vanguard Intermediate-Term Corporate Bond ETF Vanguard Intermediate-Term Corporate Bond ETF Y equity-performance leg 2020-09-15 0.00000000 USD 0.00000000 USD 256303.52000000 USD -19244.54000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 AAXJ SWAP ML 000000000 317302.62000000 OU Notional Amount USD -40022.66000000 -0.01131578814 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 iShares MSCI All Country Asia ex Japan ETF iShares MSCI All Country Asia ex Japan ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 317302.62000000 USD -40022.66000000 N N N Invesco Treasury Collateral ETF 549300E094R1VT171085 Invesco Treasury Collateral ETF 46138G888 18651.00000000 NS USD 1980549.69000000 0.559969794877 Long EC RF US N 1 N N N iShares Core MSCI Pacific ETF 549300Q9GRKBMCU6NO32 iShares Core MSCI Pacific ETF 46434V696 128789.00000000 NS USD 5970658.04000000 1.688111222263 Long EC RF US N 1 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 GLD SWAP ML 000000000 704493.19000000 OU Notional Amount USD 19465.84000000 0.005503665213 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 SPDR Gold Shares SPDR Gold Shares Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 704493.19000000 USD 19465.84000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 VEA SWAP ML 000000000 17287.86000000 OU Notional Amount USD -2684.94000000 -0.00075912526 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 Vanguard FTSE Developed Markets ETF Vanguard FTSE Developed Markets ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 17287.86000000 USD -2684.94000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 CLTL SWAP ML 000000000 91522.18000000 OU Notional Amount USD 438.36000000 0.000123939510 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 Invesco Treasury Collateral ETF Invesco Treasury Collateral ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 91522.18000000 USD 438.36000000 N N N Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 EZU SWAP 000000000 98107.06000000 OU Notional Amount USD -18964.12000000 -0.00536181164 N/A DE US N 2 Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 iShares MSCI Eurozone ETF iShares MSCI Eurozone ETF Y equity-performance leg 2020-09-15 0.00000000 USD 0.00000000 USD 98107.06000000 USD -18964.12000000 N N N iShares 20+ Year Treasury Bond ETF 549300WWURKS1JGBZU59 iShares 20+ Year Treasury Bond ETF 464287432 15498.00000000 NS USD 2556705.06000000 0.722868815277 Long EC RF US N 1 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 VWO SWAP ML 000000000 25527.60000000 OU Notional Amount USD -4391.10000000 -0.00124151561 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 Vanguard FTSE Emerging Markets ETF Vanguard FTSE Emerging Markets ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 25527.60000000 USD -4391.10000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 MTUM SWAP ML 000000000 112016.90000000 OU Notional Amount USD 20231.14000000 0.005720041952 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 iShares Edge MSCI USA Momentum Factor ETF iShares Edge MSCI USA Momentum Factor ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 112016.90000000 USD 20231.14000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 XLE SWAP ML 000000000 561215.08000000 OU Notional Amount USD 205288.20000000 0.058042063688 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 Energy Select Sector SPDR Fund Energy Select Sector SPDR Fund Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 561215.08000000 USD 205288.20000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 XLV SWAP ML 000000000 77741.31000000 OU Notional Amount USD -4485.65000000 -0.00126824816 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 Health Care Select Sector SPDR Fund Health Care Select Sector SPDR Fund Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 77741.31000000 USD -4485.65000000 N N N SPDR Bloomberg Barclays High Yield Bond ETF 549300NCLW2248PN7J24 SPDR Bloomberg Barclays High Yield Bond ETF 78468R622 41340.00000000 NS USD 3916551.60000000 1.107344393907 Long EC RF US N 1 N N N Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 HYD SWAP 000000000 73687.50000000 OU Notional Amount USD 14895.00000000 0.004211330893 N/A DE US N 2 Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 VanEck Vectors High-Yield Municipal Index ETF VanEck Vectors High-Yield Municipal Index ETF Y equity-performance leg 2020-09-15 0.00000000 USD 0.00000000 USD 73687.50000000 USD 14895.00000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 EWJ SWAP ML 000000000 107378.90000000 OU Notional Amount USD -8302.56000000 -0.00234742043 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 iShares MSCI Japan ETF iShares MSCI Japan ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 107378.90000000 USD -8302.56000000 N N N 2020-04-24 MAINSTAY VP FUNDS TRUST Jack Benintende Jack Benintende Treasurer XXXX NPORT-EX 2 NPORT_5679438404695991.htm

 

MainStay VP Eagle Small Cap Growth Portfolio

 

Portfolio of Investments  March 31, 2020 (Unaudited) 

 
       Shares    Value 
  Common Stocks 98.8% †         
  Aerospace & Defense 3.9%         
  Aerojet Rocketdyne Holdings, Inc. (a)    151,128   $6,321,684 
  AeroVironment, Inc. (a)    43,876    2,674,681 
  Cubic Corp.    57,930    2,393,088 
  Hexcel Corp.    87,623    3,258,700 
            14,648,153 
  Auto Components 0.4%           
  Fox Factory Holding Corp. (a)    36,988    1,553,496 
              
  Banks 1.1%           
  Glacier Bancorp, Inc.    120,576    4,100,187 
              
  Biotechnology 11.5%           
  ACADIA Pharmaceuticals, Inc. (a)    70,734    2,988,511 
  Acceleron Pharma, Inc. (a)    43,703    3,927,589 
  Amicus Therapeutics, Inc. (a)    190,250    1,757,910 
  Arena Pharmaceuticals, Inc. (a)    65,403    2,746,926 
  Arrowhead Pharmaceuticals, Inc. (a)    48,240    1,387,865 
  Atara Biotherapeutics, Inc. (a)    87,624    745,680 
  Biohaven Pharmaceutical Holding Co., Ltd. (a)    57,421    1,954,037 
  Blueprint Medicines Corp. (a)    47,883    2,800,198 
  Dicerna Pharmaceuticals, Inc. (a)    170,241    3,127,327 
  Exact Sciences Corp. (a)    28,602    1,658,916 
  Global Blood Therapeutics, Inc. (a)    30,399    1,553,085 
  Halozyme Therapeutics, Inc. (a)    110,146    1,981,526 
  Insmed, Inc. (a)    103,408    1,657,630 
  Iovance Biotherapeutics, Inc. (a)    106,713    3,194,454 
  Karuna Therapeutics, Inc. (a)    28,828    2,075,616 
  Kura Oncology, Inc. (a)    127,111    1,264,754 
  Mirati Therapeutics, Inc. (a)    22,947    1,763,936 
  Momenta Pharmaceuticals, Inc. (a)    86,813    2,361,314 
  PTC Therapeutics, Inc. (a)    58,401    2,605,269 
  uniQure N.V. (a)    32,832    1,557,878 
            43,110,421 
  Building Products 1.5%           
  Trex Co., Inc. (a)    70,019    5,611,323 
              
  Capital Markets 1.1%           
  PJT Partners, Inc., Class A    94,156    4,085,429 
              
  Chemicals 2.9%           
  Quaker Chemical Corp.    60,816    7,679,845 
  Sensient Technologies Corp.    71,332    3,103,655 
            10,783,500 
  Commercial Services & Supplies 4.0%           
  Brink's Co.    49,315    2,566,846 
  IAA, Inc. (a)    92,307    2,765,517 
  MSA Safety, Inc.    47,560    4,813,072 
  Ritchie Brothers Auctioneers, Inc.    144,394    4,935,387 
            15,080,822 
  Communications Equipment 1.2%           
  Lumentum Holdings, Inc. (a)    61,714    4,548,322 
              
  Construction Materials 0.9%           
  Summit Materials, Inc., Class A (a)    232,530    3,487,950 
              
  Consumer Finance 1.1%           
  FirstCash, Inc.    54,787    3,930,419 
              
  Distributors 1.0%           
  Pool Corp.    19,865    3,908,836 
              
  Diversified Consumer Services 1.0%           
  Chegg, Inc. (a)    108,414    3,879,053 
              
  Diversified Financial Services 0.9%           
  Diamond Eagle Acquisition Corp., Class A (a)(b)    276,977    3,417,896 
              
  Diversified Telecommunication Services 0.9%           
  Bandwidth, Inc., Class A (a)    48,284    3,249,030 
              
  Electrical Equipment 1.6%           
  Thermon Group Holdings, Inc. (a)    215,306    3,244,662 
  Vertiv Holdings Co. (a)(b)    329,159    2,847,225 
            6,091,887 
  Electronic Equipment, Instruments & Components 3.6%           
  Cognex Corp.    125,279    5,289,279 
  Coherent, Inc. (a)    40,105    4,267,573 
  II-VI, Inc. (a)(b)    84,589    2,410,787 
  nLight, Inc. (a)    146,054    1,532,106 
            13,499,745 
  Equity Real Estate Investment Trusts 1.0%           
  EastGroup Properties, Inc.    26,990    2,819,915 
  Seritage Growth Properties, Class A (a)(b)    120,047    1,093,628 
            3,913,543 
  Food & Staples Retailing 2.1%           
  Casey's General Stores, Inc.    31,660    4,194,634 
  Grocery Outlet Holding Corp. (a)    111,733    3,836,911 
            8,031,545 
  Food Products 1.9%           
  Freshpet, Inc. (a)    70,007    4,471,347 
  Simply Good Foods Co. (a)    144,202    2,777,331 
            7,248,678 
  Health Care Equipment & Supplies 7.5%           
  CONMED Corp.    26,660    1,526,818 
  Establishment Labs Holdings, Inc. (a)    95,900    1,385,755 
  Haemonetics Corp. (a)    42,617    4,247,210 
  Insulet Corp. (a)    20,951    3,471,162 
  Novocure, Ltd. (a)    59,446    4,003,093 
  NuVasive, Inc. (a)    49,238    2,494,397 
  Penumbra, Inc. (a)    16,718    2,697,115 
  Quidel Corp. (a)    43,628    4,267,255 
  Tandem Diabetes Care, Inc. (a)    59,117    3,804,179 
            27,896,984 
  Health Care Providers & Services 3.8%           
  Amedisys, Inc. (a)    26,170    4,803,242 
  AMN Healthcare Services, Inc. (a)    49,939    2,886,973 
  BioTelemetry, Inc. (a)    35,078    1,350,854 
  HealthEquity, Inc. (a)    50,709    2,565,368 
  LHC Group, Inc. (a)    18,429    2,583,746 
            14,190,183 
  Health Care Technology 3.8%           
  Health Catalyst, Inc. (a)    62,866    1,643,946 
  Omnicell, Inc. (a)    49,818    3,267,064 
  Teladoc Health, Inc. (a)    59,452    9,215,655 
            14,126,665 
  Hotels, Restaurants & Leisure 4.0%           
  Everi Holdings, Inc. (a)    677,871    2,236,974 
  Penn National Gaming, Inc. (a)    235,268    2,976,140 
  Planet Fitness, Inc., Class A (a)    102,614    4,997,302 
  Wingstop, Inc.    60,816    4,847,035 
            15,057,451 
  Household Durables 1.7%           
  LGI Homes, Inc. (a)    30,357    1,370,619 
  Universal Electronics, Inc. (a)    133,242    5,112,495 
            6,483,114 
  Insurance 2.6%           
  eHealth, Inc. (a)    45,274    6,375,484 
  Kinsale Capital Group, Inc.    30,490    3,187,120 
            9,562,604 
  IT Services 1.0%           
  Evo Payments, Inc., Class A (a)    114,234    1,747,780 
  Verra Mobility Corp. (a)    258,053    1,842,499 
            3,590,279 
  Leisure Products 0.7%           
  Yeti Holdings, Inc. (a)    125,397    2,447,749 
              
  Life Sciences Tools & Services 2.9%           
  NeoGenomics, Inc. (a)    208,880    5,767,177 
  PRA Health Sciences, Inc. (a)    23,288    1,933,835 
  Repligen Corp. (a)    33,690    3,252,433 
            10,953,445 
  Machinery 3.9%           
  Chart Industries, Inc. (a)    101,317    2,936,167 
  John Bean Technologies Corp.    67,746    5,031,495 
  Kornit Digital, Ltd. (a)    96,591    2,404,150 
  Woodward, Inc.    71,722    4,263,156 
            14,634,968 
  Media 0.5%           
  Sinclair Broadcast Group, Inc., Class A    107,320    1,725,706 
              
  Oil, Gas & Consumable Fuels 0.4%           
  Viper Energy Partners, L.P.    197,049    1,306,435 
              
  Pharmaceuticals 2.0%           
  Horizon Therapeutics PLC (a)    153,863    4,557,422 
  Odonate Therapeutics, Inc. (a)    45,485    1,255,841 
  Zogenix, Inc. (a)    64,130    1,585,935 
            7,399,198 
  Professional Services 1.1%           
  Clarivate Analytics PLC (a)    199,907    4,148,070 
              
  Road & Rail 1.4%           
  Landstar System, Inc.    53,552    5,133,495 
              
  Semiconductors & Semiconductor Equipment 4.8%           
  Cabot Microelectronics Corp.    44,424    5,070,555 
  Entegris, Inc.    131,468    5,885,822 
  Lattice Semiconductor Corp. (a)    207,846    3,703,816 
  Silicon Laboratories, Inc. (a)    37,860    3,233,623 
            17,893,816 
  Software 9.1%           
  AppFolio, Inc., Class A (a)    25,972    2,881,593 
  Everbridge, Inc. (a)    31,639    3,365,124 
  Medallia, Inc. (a)    110,215    2,208,708 
  Pegasystems, Inc.    97,924    6,975,126 
  Q2 Holdings, Inc. (a)    54,230    3,202,824 
  RealPage, Inc. (a)    136,931    7,247,758 
  SailPoint Technologies Holding, Inc. (a)    127,780    1,944,812 
  Smartsheet, Inc., Class A (a)    85,523    3,550,060 
  Tenable Holdings, Inc. (a)    119,302    2,607,942 
            33,983,947 
  Specialty Retail 2.1%           
  Floor & Decor Holdings, Inc., Class A (a)    96,902    3,109,585 
  Genesco, Inc. (a)    77,769    1,037,439 
  MarineMax, Inc. (a)    231,103    2,408,093 
  National Vision Holdings, Inc. (a)    61,269    1,189,844 
            7,744,961 
  Textiles, Apparel & Luxury Goods 1.4%           
  Deckers Outdoor Corp. (a)    16,282    2,181,788 
  Steven Madden, Ltd.    127,321    2,957,667 
            5,139,455 
  Thrifts & Mortgage Finance 0.5%           
  NMI Holdings, Inc., Class A (a)    170,082    1,974,652 
              
  Total Common Stocks
(Cost $387,641,517)
        369,573,412 
              
  Short-Term Investments 2.8%           
  Affiliated Investment Company 1.2%           
  MainStay U.S. Government Liquidity Fund, 0.09% (c)    4,621,322    4,621,322 
              
  Unaffiliated Investment Company 1.6%           
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)    5,812,812    5,812,812 
              
  Total Short-Term Investments
(Cost $10,434,134)
        10,434,134 
              
  Total Investments
(Cost $398,075,651)
   101.6%   380,007,546 
  Other Assets, Less Liabilities    (1.6)   (6,114,908)
  Net Assets    100.0%  $373,892,638 
              

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $5,955,161. The Portfolio received cash collateral with a value of $5,812,812.  
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets 
(Level 1)
   Significant
Other
Observable
Inputs 
(Level 2)
   Significant
Unobservable
Inputs 
(Level 3)
   Total  
                     
Asset Valuation Inputs
 
Investments in Securities (a)                    
Common Stocks  $369,573,412   $   $   $369,573,412 
Short-Term Investments                    
Affiliated Investment Company   4,621,322            4,621,322 
Unaffiliated Investment Company   5,812,812            5,812,812 
Total Short-Term Investments   10,434,134            10,434,134 
Total Investments in Securities  $380,007,546   $   $   $380,007,546 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Large Cap Growth Portfolio
   
Portfolio of Investments March 31, 2020 (Unaudited)
     Shares   Value 
  Common Stocks 99.2% †
  Automobiles 1.8%
  Ferrari N.V.   125,300   $19,117,021 
             
  Biotechnology 2.9%          
  Amgen, Inc.   97,400    19,745,902 
  BioMarin Pharmaceutical, Inc. (a)   141,100    11,922,950 
           31,668,852 
  Capital Markets 2.4%          
  Moody’s Corp.   90,340    19,106,910 
  MSCI, Inc.   25,200    7,281,792 
           26,388,702 
  Chemicals 2.1%          
  Linde PLC   77,900    13,476,700 
  Sherwin-Williams Co.   19,490    8,956,045 
           22,432,745 
  Containers & Packaging 1.2%          
  Ball Corp.   199,600    12,906,136 
             
  Entertainment 1.3%          
  Netflix, Inc. (a)   37,800    14,193,900 
             
  Equity Real Estate Investment Trusts 3.4%          
  American Tower Corp.   81,500    17,746,625 
  Equinix, Inc.   29,820    18,624,677 
           36,371,302 
  Health Care Equipment & Supplies 2.3%          
  Abbott Laboratories   197,200    15,561,052 
  Intuitive Surgical, Inc. (a)   18,930    9,374,325 
           24,935,377 
  Health Care Providers & Services 3.3%          
  UnitedHealth Group, Inc.   143,210    35,713,710 
             
  Health Care Technology 1.3%          
  Veeva Systems, Inc., Class A (a)   89,850    14,049,845 
             
  Hotels, Restaurants & Leisure 1.7%          
  Chipotle Mexican Grill, Inc. (a)   13,700    8,965,280 
  Luckin Coffee, Inc., ADR (a)(b)   339,200    9,222,848 
           18,188,128 
  Interactive Media & Services 10.0%          
  Alphabet, Inc. (a)          
  Class A   26,255    30,506,997 
  Class C   26,649    30,987,724 
  Facebook, Inc., Class A (a)   277,700    46,320,360 
           107,815,081 
  Internet & Direct Marketing Retail 9.9%          
  Alibaba Group Holding, Ltd., Sponsored ADR (a)   118,350    23,016,708 
  Amazon.com, Inc. (a)   42,935    83,711,228 
           106,727,936 
  IT Services 15.0%          
  Automatic Data Processing, Inc.   102,250    13,975,530 
  Fiserv, Inc. (a)   228,600    21,714,714 
  GoDaddy, Inc., Class A (a)   239,900    13,700,689 
  Mastercard, Inc., Class A   141,050    34,072,038 
  PayPal Holdings, Inc. (a)   249,150    23,853,621 
  Visa, Inc., Class A   308,600    49,721,632 
  Wix.com, Ltd. (a)   48,450    4,884,729 
           161,922,953 
  Life Sciences Tools & Services 1.5%          
  Thermo Fisher Scientific, Inc.   56,900    16,136,840 
             
  Pharmaceuticals 4.8%          
  AstraZeneca PLC, Sponsored ADR   412,700    18,431,182 
  Eli Lilly & Co.   109,200    15,148,224 
  Zoetis, Inc.   161,250    18,977,512 
           52,556,918 
  Professional Services 1.3%          
  CoStar Group, Inc. (a)   24,905    14,624,465 
             
  Road & Rail 1.4%          
  Uber Technologies, Inc. (a)   122,600    3,422,992 
  Union Pacific Corp.   81,250    11,459,500 
           14,882,492 
  Semiconductors & Semiconductor Equipment 2.1%          
  NVIDIA Corp.   87,950    23,183,620 
             
  Software 20.3%          
  Adobe, Inc. (a)   120,700    38,411,568 
  Atlassian Corp. PLC, Class A (a)   40,300    5,531,578 
  Intuit, Inc.   115,050    26,461,500 
  Microsoft Corp.   617,700    97,417,467 
  salesforce.com, Inc. (a)   290,050    41,761,399 
  Workday, Inc., Class A (a)   78,250    10,189,715 
           219,773,227 
  Specialty Retail 1.0%          
  Home Depot, Inc.   55,800    10,418,418 
             
  Technology Hardware, Storage & Peripherals 5.6%          
  Apple, Inc.   239,500    60,902,455 
             
  Textiles, Apparel & Luxury Goods 2.6%          
  Lululemon Athletica, Inc. (a)   10,500    1,990,275 
  NIKE, Inc., Class B   312,350    25,843,839 
           27,834,114 
  Total Common Stocks
(Cost $862,035,620)
        1,072,744,237 
             
  Short-Term Investments 1.3%          
  Affiliated Investment Company 1.0%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   11,304,897    11,304,897 
             
  Unaffiliated Investment Company 0.3%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)   2,957,220    2,957,220 
             
  Total Short-Term Investments
(Cost $14,262,117)
        14,262,117 
  Total Investments
(Cost $876,297,737)
   100.5%   1,087,006,354 
  Other Assets, Less Liabilities   (0.5)   (5,195,416)
  Net Assets   100.0%  $1,081,810,938 

 

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $8,708,429; the total market value of collateral held by the Portfolio was $9,119,423. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $6,162,203.
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                     
Asset Valuation Inputs                     
                     
Investments in Securities (a)                    
Common Stocks  $1,072,744,237   $   $   $1,072,744,237 
Short-Term Investments                    
Affiliated Investment Company   11,304,897            11,304,897 
Unaffiliated Investment Company   2,957,220            2,957,220 
Total Short-Term Investments   14,262,117            14,262,117 
Total Investments in Securities  $1,087,006,354   $   $   $1,087,006,354 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay Common Stock Portfolio
Portfolio of Investments  March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 96.9% †          
  Aerospace & Defense 3.1%          
  Curtiss-Wright Corp.   3,870   $357,627 
  Huntington Ingalls Industries, Inc.   16,219    2,955,264 
  Lockheed Martin Corp.   15,151    5,135,431 
  Northrop Grumman Corp.   11,742    3,552,542 
  Raytheon Co.   17,673    2,317,814 
  Textron, Inc.   57,729    1,539,632 
  TransDigm Group, Inc.   4,591    1,469,992 
  United Technologies Corp.   23,653    2,231,188 
           19,559,490 
  Banks 3.0%          
  Bank of America Corp.   349,932    7,429,056 
  Citigroup, Inc.   13,945    587,364 
  Comerica, Inc.   426    12,499 
  JPMorgan Chase & Co.   107,591    9,686,418 
  Truist Financial Corp.   11,729    361,722 
  Wells Fargo & Co.   34,944    1,002,893 
           19,079,952 
  Beverages 1.0%          
  Coca-Cola Co.   74,717    3,306,227 
  PepsiCo., Inc.   24,035    2,886,604 
           6,192,831 
  Biotechnology 4.1%          
  AbbVie, Inc.   77,840    5,930,629 
  Amgen, Inc.   29,682    6,017,432 
  Biogen, Inc. (a)   13,970    4,419,829 
  Gilead Sciences, Inc.   56,527    4,225,958 
  Incyte Corp. (a)   41,007    3,002,943 
  Regeneron Pharmaceuticals, Inc. (a)   987    481,942 
  United Therapeutics Corp. (a)   15,248    1,445,892 
           25,524,625 
  Building Products 0.6%          
  Masco Corp.   1,495    51,682 
  Owens Corning   54,796    2,126,633 
  Trane Technologies PLC   16,495    1,362,322 
           3,540,637 
  Capital Markets 2.6%          
  Ameriprise Financial, Inc.   25,049    2,567,021 
  BlackRock, Inc.   1,977    869,821 
  Cboe Global Markets, Inc.   1,155    103,084 
  Intercontinental Exchange, Inc.   50,381    4,068,266 
  Moody's Corp.   12,346    2,611,179 
  S&P Global, Inc.   12,700    3,112,135 
  State Street Corp.   55,354    2,948,707 
  T. Rowe Price Group, Inc.   504    49,216 
           16,329,429 
  Chemicals 0.4%          
  CF Industries Holdings, Inc.   5,922    161,078 
  Dow, Inc.   20,960    612,871 
  DuPont de Nemours, Inc.   20,943    714,156 
  Sherwin-Williams Co.   2,238    1,028,406 
           2,516,511 
  Commercial Services & Supplies 0.6%          
  Republic Services, Inc.   17,751    1,332,390 
  Tetra Tech, Inc.   19,014    1,342,769 
  Waste Management, Inc.   12,134    1,123,123 
           3,798,282 
  Communications Equipment 0.3%          
  Cisco Systems, Inc.   52,750    2,073,603 
             
  Consumer Finance 0.9%          
  American Express Co.   23,673    2,026,646 
  SLM Corp.   246,955    1,775,606 
  Synchrony Financial   126,057    2,028,257 
           5,830,509 
  Distributors 0.4%          
  LKQ Corp. (a)   118,007    2,420,324 
             
  Diversified Financial Services 2.2%          
  Berkshire Hathaway, Inc., Class B (a)   70,079    12,812,544 
  Jefferies Financial Group, Inc.   95,630    1,307,262 
           14,119,806 
  Diversified Telecommunication Services 1.2%          
  AT&T, Inc.   125,355    3,654,098 
  Verizon Communications, Inc.   69,758    3,748,098 
           7,402,196 
  Electric Utilities 2.7%          
  Entergy Corp.   32,281    3,033,446 
  Evergy, Inc.   52,764    2,904,658 
  FirstEnergy Corp.   28,730    1,151,211 
  NextEra Energy, Inc.   16,137    3,882,885 
  NRG Energy, Inc.   75,042    2,045,645 
  Pinnacle West Capital Corp.   6,356    481,721 
  PPL Corp.   63,579    1,569,130 
  Southern Co.   32,796    1,775,575 
           16,844,271 
  Electrical Equipment 0.3%          
  Acuity Brands, Inc.   18,022    1,543,765 
             
  Electronic Equipment, Instruments & Components 1.1%          
  Arrow Electronics, Inc. (a)   46,880    2,431,666 
  CDW Corp.   2,656    247,725 
  Jabil, Inc.   96,361    2,368,553 
  SYNNEX Corp.   24,936    1,822,822 
  Tech Data Corp. (a)   2,011    263,139 
           7,133,905 
  Energy Equipment & Services 0.1%          
  Schlumberger, Ltd.   38,004    512,674 
             
  Entertainment 1.8%          
  Electronic Arts, Inc. (a)   32,682    3,273,756 
  Live Nation Entertainment, Inc. (a)   11,050    502,333 
  Netflix, Inc. (a)   4,744    1,781,372 
  Take-Two Interactive Software, Inc. (a)   27,174    3,223,108 
  Walt Disney Co.   24,705    2,386,503 
           11,167,072 
  Equity Real Estate Investment Trusts 2.7%          
  American Tower Corp.   16,634    3,622,053 
  AvalonBay Communities, Inc.   9,037    1,329,975 
  Crown Castle International Corp.   5,293    764,309 
  CyrusOne, Inc.   16,780    1,036,165 
  Digital Realty Trust, Inc.   671    93,209 
  Equinix, Inc.   873    545,250 
  Equity Residential   16,581    1,023,213 
  Mid-America Apartment Communities, Inc.   7,298    751,913 
  Prologis, Inc.   33,384    2,683,072 
  Public Storage   8,793    1,746,378 
  SBA Communications Corp.   6,662    1,798,540 
  Welltower, Inc.   13,663    625,492 
  Weyerhaeuser Co.   61,989    1,050,714 
           17,070,283 
  Food & Staples Retailing 2.8%          
  Costco Wholesale Corp.   19,579    5,582,560 
  Kroger Co.   97,329    2,931,550 
  Walgreens Boots Alliance, Inc.   50,588    2,314,401 
  Walmart, Inc.   61,584    6,997,174 
           17,825,685 
  Food Products 0.8%          
  Hershey Co.   8,835    1,170,638 
  Lamb Weston Holdings, Inc.   12,202    696,734 
  Tyson Foods, Inc., Class A   55,389    3,205,361 
           5,072,733 
  Health Care Equipment & Supplies 2.0%          
  Abbott Laboratories   15,898    1,254,511 
  Align Technology, Inc. (a)   16,717    2,907,922 
  DENTSPLY SIRONA, Inc.   71,998    2,795,683 
  Hill-Rom Holdings, Inc.   21,742    2,187,245 
  Hologic, Inc. (a)   75,683    2,656,473 
  Medtronic PLC   9,577    863,654 
           12,665,488 
  Health Care Providers & Services 4.7%          
  AmerisourceBergen Corp.   19,894    1,760,619 
  Anthem, Inc.   14,415    3,272,782 
  Cardinal Health, Inc.   66,522    3,189,065 
  Cigna Corp.   27,228    4,824,257 
  DaVita, Inc. (a)   38,290    2,912,337 
  Humana, Inc.   13,715    4,306,784 
  UnitedHealth Group, Inc.   38,469    9,593,399 
           29,859,243 
  Hotels, Restaurants & Leisure 0.3%          
  Darden Restaurants, Inc.   17,494    952,723 
  McDonald's Corp.   5,752    951,093 
  Starbucks Corp.   2,779    182,692 
           2,086,508 
  Household Durables 0.5%          
  NVR, Inc. (a)   485    1,246,018 
  PulteGroup, Inc.   86,547    1,931,729 
           3,177,747 
  Household Products 1.6%          
  Procter & Gamble Co.   93,782    10,316,020 
             
  Independent Power & Renewable Electricity Producers 0.4%          
  AES Corp.   197,182    2,681,675 
             
  Industrial Conglomerates 0.0% ‡          
  Honeywell International, Inc.   586    78,401 
             
  Insurance 2.6%          
  Allstate Corp.   38,124    3,497,115 
  American International Group, Inc.   37,226    902,730 
  Aon PLC   21,729    3,586,154 
  First American Financial Corp.   29,667    1,258,177 
  Marsh & McLennan Cos., Inc.   21,748    1,880,332 
  MetLife, Inc.   67,818    2,073,196 
  Travelers Cos., Inc.   21,042    2,090,523 
  Unum Group   50,666    760,497 
           16,048,724 
  Interactive Media & Services 5.8%          
  Alphabet, Inc. (a)          
  Class A   9,144    10,624,871 
  Class C   10,124    11,772,288 
  Facebook, Inc., Class A (a)   84,937    14,167,492 
           36,564,651 
  Internet & Direct Marketing Retail 4.8%          
  Amazon.com, Inc. (a)   13,172    25,681,712 
  Booking Holdings, Inc. (a)   2,471    3,324,286 
  Expedia Group, Inc.   23,798    1,339,113 
           30,345,111 
  IT Services 4.4%          
  Accenture PLC, Class A   1,930    315,092 
  Akamai Technologies, Inc. (a)   33,296    3,046,251 
  CACI International, Inc., Class A (a)   12,918    2,727,636 
  Fidelity National Information Services, Inc.   6,028    733,246 
  International Business Machines Corp.   1,565    173,605 
  Leidos Holdings, Inc.   33,925    3,109,226 
  Mastercard, Inc., Class A   25,477    6,154,224 
  PayPal Holdings, Inc. (a)   33,709    3,227,300 
  Visa, Inc., Class A   49,156    7,920,015 
           27,406,595 
  Life Sciences Tools & Services 0.8%          
  Charles River Laboratories International, Inc. (a)   5,312    670,427 
  IQVIA Holdings, Inc. (a)   21,910    2,363,213 
  PRA Health Sciences, Inc. (a)   13,426    1,114,895 
  Thermo Fisher Scientific, Inc.   2,300    652,280 
           4,800,815 
  Machinery 0.3%          
  Cummins, Inc.   8,460    1,144,807 
  Dover Corp.   376    31,561 
  Ingersoll Rand, Inc. (a)   14,812    367,338 
  Stanley Black & Decker, Inc.   2,844    284,400 
           1,828,106 
  Media 1.4%          
  Charter Communications, Inc., Class A (a)   10,943    4,774,540 
  Comcast Corp., Class A   112,916    3,882,052 
           8,656,592 
  Metals & Mining 0.6%          
  Newmont Corp.   62,691    2,838,648 
  Reliance Steel & Aluminum Co.   8,601    753,362 
           3,592,010 
  Multi-Utilities 0.4%          
  CenterPoint Energy, Inc.   29,527    456,192 
  Consolidated Edison, Inc.   14,191    1,106,898 
  Dominion Energy, Inc.   12,606    910,027 
           2,473,117 
  Multiline Retail 1.0%          
  Dollar General Corp.   18,991    2,867,831 
  Target Corp.   39,756    3,696,115 
           6,563,946 
  Oil, Gas & Consumable Fuels 1.1%          
  Chevron Corp.   21,671    1,570,281 
  ConocoPhillips   16,947    521,968 
  Exxon Mobil Corp.   58,473    2,220,220 
  HollyFrontier Corp.   5,895    144,486 
  Valero Energy Corp.   57,320    2,600,035 
           7,056,990 
  Pharmaceuticals 5.4%          
  Bristol-Myers Squibb Co.   25,891    1,443,164 
  Catalent, Inc. (a)   24,380    1,266,541 
  Eli Lilly & Co.   17,166    2,381,268 
  Johnson & Johnson   94,745    12,423,912 
  Merck & Co., Inc.   94,763    7,291,065 
  Mylan N.V. (a)   36,480    543,917 
  Perrigo Co. PLC   58,913    2,833,126 
  Pfizer, Inc.   184,432    6,019,860 
           34,202,853 
  Professional Services 0.7%          
  FTI Consulting, Inc. (a)   7,454    892,766 
  IHS Markit, Ltd.   24,200    1,452,000 
  ManpowerGroup, Inc.   41,054    2,175,451 
           4,520,217 
  Real Estate Management & Development 0.6%          
  CBRE Group, Inc., Class A (a)   65,129    2,456,015 
  Jones Lang LaSalle, Inc.   13,587    1,372,015 
           3,828,030 
  Road & Rail 0.2%          
  CSX Corp.   1,296    74,261 
  Union Pacific Corp.   7,253    1,022,963 
           1,097,224 
  Semiconductors & Semiconductor Equipment 5.9%          
  Advanced Micro Devices, Inc. (a)   1,138    51,756 
  Applied Materials, Inc.   89,685    4,109,367 
  Broadcom, Inc.   23,059    5,467,289 
  Intel Corp.   178,878    9,680,877 
  Lam Research Corp.   17,204    4,128,960 
  NVIDIA Corp.   14,155    3,731,258 
  Qorvo, Inc. (a)   37,833    3,050,475 
  QUALCOMM, Inc.   71,670    4,848,476 
  Skyworks Solutions, Inc.   21,470    1,918,989 
  Texas Instruments, Inc.   1,394    139,302 
           37,126,749 
  Software 9.5%          
  Adobe, Inc. (a)   9,222    2,934,809 
  Autodesk, Inc. (a)   11,338    1,769,862 
  CDK Global, Inc.   31,248    1,026,497 
  Citrix Systems, Inc.   3,633    514,251 
  Fortinet, Inc. (a)   33,611    3,400,425 
  Microsoft Corp.   234,303    36,951,926 
  NortonLifeLock, Inc.   167,797    3,139,482 
  Oracle Corp.   67,806    3,277,064 
  salesforce.com, Inc. (a)   25,454    3,664,867 
  ServiceNow, Inc. (a)   754    216,081 
  Synopsys, Inc. (a)   24,839    3,199,015 
           60,094,279 
  Specialty Retail 2.0%          
  Best Buy Co., Inc.   47,102    2,684,814 
  Home Depot, Inc.   28,016    5,230,867 
  Lowe's Cos., Inc.   14,287    1,229,396 
  O'Reilly Automotive, Inc. (a)   10,315    3,105,331 
  TJX Cos., Inc.   10,758    514,340 
           12,764,748 
  Technology Hardware, Storage & Peripherals 5.7%          
  Apple, Inc.   128,914    32,781,541 
  HP, Inc.   189,390    3,287,810 
           36,069,351 
  Textiles, Apparel & Luxury Goods 0.6%          
  NIKE, Inc., Class B   21,454    1,775,104 
  Skechers U.S.A., Inc., Class A (a)   80,922    1,921,088 
           3,696,192 
  Tobacco 0.9%          
  Philip Morris International, Inc.   72,854    5,315,428 
             
  Total Common Stocks
(Cost $636,829,735)
        610,475,393 
             
  Exchange-Traded Fund 3.0%          
  SPDR S&P 500 ETF Trust (b)   72,625    18,719,094 
             
  Total Exchange-Traded Fund
(Cost $17,382,807)
        18,719,094 
             
  Short-Term Investments 3.1%          
  Affiliated Investment Company 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   1,282,430    1,282,430 
             
  Unaffiliated Investment Company 2.9%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)   18,415,524    18,415,524 
             
  Total Short-Term Investments
(Cost $19,697,954)
        19,697,954 
  Total Investments
(Cost $673,910,496)
   103.0%   648,892,441 
  Other Assets, Less Liabilities   (3.0)   (18,859,942)
  Net Assets   100.0%  $630,032,499 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $17,777,533; the total market value of collateral held by the Portfolio was $18,415,524.
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages:

ETF —Exchange-Traded Fund
SPDR —Standard & Poor's Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:    
     
Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                     
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Common Stocks  $610,475,393   $   $   $610,475,393 
Exchange-Traded Fund   18,719,094            18,719,094 
Short-Term Investments                    
Affiliated Investment Company   1,282,430            1,282,430 
Unaffiliated Investment Company   18,415,524            18,415,524 
Total Short-Term Investments   19,697,954            19,697,954 
Total Investments in Securities  $648,892,441   $   $   $648,892,441 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay Mid Cap Core Portfolio
 
Portfolio of Investments March 31, 2020 (Unaudited)
     Shares   Value 
  Common Stocks 97.4% †
  Aerospace & Defense 2.9%          
  Curtiss-Wright Corp.   33,034   $3,052,672 
  Huntington Ingalls Industries, Inc.   19,987    3,641,831 
  L3Harris Technologies, Inc.   13,969    2,516,096 
  Spirit AeroSystems Holdings, Inc., Class A   56,195    1,344,746 
  Teledyne Technologies, Inc. (a)   8,265    2,456,937 
  Textron, Inc.   156,737    4,180,176 
  TransDigm Group, Inc.   4,720    1,511,297 
           18,703,755 
  Air Freight & Logistics 0.3%          
  XPO Logistics, Inc. (a)   36,174    1,763,483 
             
  Automobiles 0.2%          
  Thor Industries, Inc.   37,639    1,587,613 
             
  Banks 1.3%          
  Bank OZK   50,027    835,451 
  Citizens Financial Group, Inc.   51,133    961,812 
  Comerica, Inc.   32,500    953,550 
  First Hawaiian, Inc.   5,571    92,088 
  First Republic Bank   7,936    652,974 
  Signature Bank   16,012    1,287,205 
  Synovus Financial Corp.   98,589    1,731,223 
  Texas Capital Bancshares, Inc. (a)   16,475    365,251 
  Umpqua Holdings Corp.   3,716    40,504 
  Wintrust Financial Corp.   35,180    1,156,015 
           8,076,073 
  Biotechnology 2.6%          
  Alkermes PLC (a)   133,084    1,919,071 
  Exelixis, Inc. (a)   249,426    4,295,116 
  Incyte Corp. (a)   68,142    4,990,039 
  Neurocrine Biosciences, Inc. (a)   40,539    3,508,650 
  United Therapeutics Corp. (a)   23,726    2,249,818 
           16,962,694 
  Building Products 1.1%          
  Owens Corning   92,915    3,606,031 
  Trane Technologies PLC   40,608    3,353,815 
           6,959,846 
  Capital Markets 4.5%          
  Ameriprise Financial, Inc.   39,318    4,029,309 
  Cboe Global Markets, Inc.   14,393    1,284,575 
  E*TRADE Financial Corp.   128,601    4,413,586 
  Evercore, Inc., Class A   74,634    3,437,642 
  Janus Henderson Group PLC   106,482    1,631,304 
  Lazard, Ltd., Class A   116,085    2,734,963 
  LPL Financial Holdings, Inc.   69,116    3,761,984 
  Morningstar, Inc.   12,886    1,497,998 
  Nasdaq, Inc.   13,018    1,236,059 
  State Street Corp.   33,334    1,775,702 
  T. Rowe Price Group, Inc.   34,677    3,386,209 
           29,189,331 
  Chemicals 0.1%          
  Cabot Corp.   15,304    399,741 
  CF Industries Holdings, Inc.   20,946    569,731 
           969,472 
  Commercial Services & Supplies 1.0%          
  Cintas Corp.   12,553    2,174,431 
  Clean Harbors, Inc. (a)   67,605    3,470,841 
  Republic Services, Inc.   13,927    1,045,360 
           6,690,632 
  Communications Equipment 0.7%          
  EchoStar Corp., Class A (a)   67,596    2,161,044 
  Motorola Solutions, Inc.   17,196    2,285,692 
           4,446,736 
  Construction & Engineering 0.5%          
  AECOM (a)   99,517    2,970,583 
             
  Consumer Finance 0.8%          
  SLM Corp.   264,965    1,905,098 
  Synchrony Financial   213,873    3,441,217 
           5,346,315 
  Containers & Packaging 1.0%          
  Ardagh Group S.A.   27,757    329,198 
  Ball Corp.   44,957    2,906,920 
  Crown Holdings, Inc. (a)   32,905    1,909,806 
  Graphic Packaging Holding Co.   86,698    1,057,716 
           6,203,640 
  Distributors 0.6%          
  LKQ Corp. (a)   176,639    3,622,866 
             
  Diversified Consumer Services 0.6%          
  Bright Horizons Family Solutions, Inc. (a)   15,477    1,578,654 
  Frontdoor, Inc. (a)   61,281    2,131,353 
           3,710,007 
  Diversified Financial Services 1.2%          
  Equitable Holdings, Inc.   47,384    684,699 
  Jefferies Financial Group, Inc.   251,354    3,436,009 
  Voya Financial, Inc.   95,329    3,865,591 
           7,986,299 
  Electric Utilities 2.9%          
  Entergy Corp.   39,814    3,741,321 
  Evergy, Inc.   59,572    3,279,439 
  FirstEnergy Corp.   66,356    2,658,885 
  NRG Energy, Inc.   102,162    2,784,936 
  OGE Energy Corp.   37,963    1,166,603 
  PG&E Corp. (a)   941    8,460 
  Pinnacle West Capital Corp.   14,947    1,132,833 
  PPL Corp.   153,907    3,798,425 
           18,570,902 
  Electrical Equipment 1.2%          
  Acuity Brands, Inc.   39,674    3,398,475 
  nVent Electric PLC   33,367    562,901 
  Regal Beloit Corp.   56,742    3,571,909 
           7,533,285 
  Electronic Equipment, Instruments & Components 3.0%          
  Arrow Electronics, Inc. (a)   72,515    3,761,353 
  Avnet, Inc.   149,642    3,756,014 
  CDW Corp.   52,027    4,852,559 
  Jabil, Inc.   155,190    3,814,570 
  SYNNEX Corp.   41,321    3,020,565 
           19,205,061 
  Entertainment 2.1%          
  Lions Gate Entertainment Corp., Class B (a)   543,480    3,032,618 
  Roku, Inc. (a)   9,241    808,403 
  Take-Two Interactive Software, Inc. (a)   42,936    5,092,639 
  Zynga, Inc., Class A (a)   642,531    4,401,337 
           13,334,997 
  Equity Real Estate Investment Trusts 6.4%          
  Alexandria Real Estate Equities, Inc.   5,755    788,780 
  American Campus Communities, Inc.   20,983    582,278 
  American Homes 4 Rent, Class A   32,189    746,785 
  Americold Realty Trust   7,853    267,316 
  Apartment Investment & Management Co., Class A   18,943    665,847 
  AvalonBay Communities, Inc.   19,949    2,935,894 
  Boston Properties, Inc.   7,731    713,030 
  Camden Property Trust   10,466    829,326 
  CoreSite Realty Corp.   6,347    735,617 
  CyrusOne, Inc.   14,666    905,626 
  Digital Realty Trust, Inc.   27,936    3,880,590 
  Duke Realty Corp.   41,799    1,353,452 
  Equity LifeStyle Properties, Inc.   34,177    1,964,494 
  Equity Residential   50,624    3,124,007 
  Essex Property Trust, Inc.   6,845    1,507,543 
  Extra Space Storage, Inc.   3,145    301,165 
  Gaming and Leisure Properties, Inc.   48,909    1,355,268 
  Healthpeak Properties, Inc.   16,120    384,462 
  Invitation Homes, Inc.   93,033    1,988,115 
  Life Storage, Inc.   15,052    1,423,167 
  Mid-America Apartment Communities, Inc.   17,993    1,853,819 
  OUTFRONT Media, Inc.   21,117    284,657 
  Rayonier, Inc.   27,187    640,254 
  Realty Income Corp.   19,950    994,707 
  SBA Communications Corp.   15,633    4,220,441 
  Sun Communities, Inc.   17,104    2,135,434 
  UDR, Inc.   18,242    666,563 
  Ventas, Inc.   6,845    183,446 
  VICI Properties, Inc.   979    16,291 
  W.P. Carey, Inc.   3,503    203,454 
  Welltower, Inc.   23,698    1,084,894 
  Weyerhaeuser Co.   130,294    2,208,483 
           40,945,205 
  Food & Staples Retailing 1.8%          
  Casey’s General Stores, Inc.   3,860    511,411 
  Kroger Co.   203,197    6,120,294 
  Sprouts Farmers Market, Inc. (a)   238,438    4,432,562 
  U.S. Foods Holding Corp. (a)   40,543    718,017 
           11,782,284 
  Food Products 2.8%          
  Bunge, Ltd.   23,872    979,468 
  Hershey Co.   19,409    2,571,692 
  Ingredion, Inc.   28,268    2,134,234 
  Lamb Weston Holdings, Inc.   66,519    3,798,235 
  Pilgrim’s Pride Corp. (a)   197,115    3,571,724 
  Tyson Foods, Inc., Class A   90,231    5,221,668 
           18,277,021 
  Health Care Equipment & Supplies 3.2%          
  Align Technology, Inc. (a)   26,903    4,679,777 
  DENTSPLY SIRONA, Inc.   77,215    2,998,258 
  DexCom, Inc. (a)   2,654    714,643 
  Envista Holdings Corp. (a)   192,058    2,869,346 
  Hill-Rom Holdings, Inc.   30,266    3,044,760 
  Hologic, Inc. (a)   50,684    1,779,008 
  Insulet Corp. (a)   6,375    1,056,210 
  ResMed, Inc.   6,965    1,025,875 
  Varian Medical Systems, Inc. (a)   3,545    363,930 
  West Pharmaceutical Services, Inc.   13,888    2,114,448 
           20,646,255 
  Health Care Providers & Services 4.1%          
  AmerisourceBergen Corp.   59,344    5,251,944 
  Cardinal Health, Inc.   110,976    5,320,189 
  Centene Corp. (a)   104,780    6,224,980 
  Chemed Corp.   1,283    555,796 
  DaVita, Inc. (a)   58,693    4,464,190 
  McKesson Corp.   32,398    4,382,153 
           26,199,252 
  Health Care Technology 0.3%          
  Cerner Corp.   28,660    1,805,293 
             
  Hotels, Restaurants & Leisure 2.8%          
  Aramark   96,292    1,922,951 
  Caesars Entertainment Corp. (a)   54,279    366,926 
  Chipotle Mexican Grill, Inc. (a)   8,132    5,321,581 
  Darden Restaurants, Inc.   42,821    2,332,032 
  Domino’s Pizza, Inc.   14,337    4,646,191 
  MGM Resorts International   95,976    1,132,517 
  Norwegian Cruise Line Holdings, Ltd. (a)   88,577    970,804 
  Six Flags Entertainment Corp.   25,529    320,134 
  Wendy’s Co.   7,642    113,713 
  Yum China Holdings, Inc.   13,794    588,038 
           17,714,887 
  Household Durables 1.3%          
  D.R. Horton, Inc.   32,585    1,107,890 
  Lennar Corp., Class B   4,405    127,393 
  NVR, Inc. (a)   1,496    3,843,388 
  PulteGroup, Inc.   134,716    3,006,861 
           8,085,532 
  Household Products 0.1%          
  Church & Dwight Co., Inc.   8,063    517,483 
             
  Independent Power & Renewable Electricity Producers 1.1%          
  AES Corp.   213,420    2,902,512 
  Vistra Energy Corp.   255,937    4,084,755 
           6,987,267 
  Industrial Conglomerates 0.2%          
  Carlisle Cos., Inc.   9,115    1,141,927 
             
  Insurance 2.4%          
  American National Insurance Co.   17,784    1,465,046 
  Arch Capital Group, Ltd. (a)   10,821    307,966 
  Athene Holding, Ltd., Class A (a)   63,301    1,571,131 
  Fidelity National Financial, Inc.   120,066    2,987,242 
  First American Financial Corp.   79,246    3,360,823 
  Kemper Corp.   7,065    525,424 
  Mercury General Corp.   42,393    1,726,243 
  Old Republic International Corp.   74,694    1,139,083 
  Reinsurance Group of America, Inc.   2,506    210,855 
  Willis Towers Watson PLC   12,096    2,054,505 
           15,348,318 
  Interactive Media & Services 0.9%          
  IAC/InterActiveCorp (a)   27,676    4,960,369 
  TripAdvisor, Inc.   46,197    803,366 
           5,763,735 
  Internet & Direct Marketing Retail 1.0%          
  Expedia Group, Inc.   38,609    2,172,528 
  Qurate Retail, Inc., Series A (a)   729,712    4,454,892 
           6,627,420 
  IT Services 6.0%          
  Akamai Technologies, Inc. (a)   56,956    5,210,904 
  Amdocs, Ltd.   77,024    4,234,009 
  Booz Allen Hamilton Holding Corp.   65,870    4,521,317 
  CACI International, Inc., Class A (a)   19,643    4,147,619 
  DXC Technology Co.   78,410    1,023,251 
  Euronet Worldwide, Inc. (a)   39,479    3,384,140 
  Fiserv, Inc. (a)   34,045    3,233,935 
  Genpact, Ltd.   49,357    1,441,224 
  Global Payments, Inc.   9,705    1,399,752 
  GoDaddy, Inc., Class A (a)   80,373    4,590,102 
  Leidos Holdings, Inc.   53,533    4,906,300 
  Sabre Corp.   118,216    701,021 
           38,793,574 
  Life Sciences Tools & Services 2.8%          
  Avantor, Inc. (a)   190,518    2,379,570 
  Bruker Corp.   67,411    2,417,358 
  Charles River Laboratories International, Inc. (a)   32,436    4,093,747 
  IQVIA Holdings, Inc. (a)   49,881    5,380,165 
  PRA Health Sciences, Inc. (a)   46,519    3,862,938 
           18,133,778 
  Machinery 1.7%          
  AGCO Corp.   75,725    3,578,006 
  Allison Transmission Holdings, Inc.   8,730    284,685 
  Crane Co.   45,931    2,258,886 
  Cummins, Inc.   7,502    1,015,171 
  Dover Corp.   1,079    90,571 
  Ingersoll Rand, Inc. (a)   21,537    534,118 
  Stanley Black & Decker, Inc.   433    43,300 
  Timken Co.   99,740    3,225,592 
           11,030,329 
  Media 1.1%          
  Altice U.S.A., Inc., Class A (a)   190,756    4,251,951 
  Cable One, Inc.   1,182    1,943,220 
  Fox Corp., Class B (a)   12,347    282,499 
  Liberty Media Corp-Liberty SiriusXM, Class C (a)   12,264    387,788 
           6,865,458 
  Metals & Mining 1.2%          
  Newmont Corp.   161,081    7,293,748 
  Reliance Steel & Aluminum Co.   1,273    111,502 
           7,405,250 
  Multi-Utilities 1.5%          
  CenterPoint Energy, Inc.   109,600    1,693,320 
  Consolidated Edison, Inc.   22,530    1,757,340 
  DTE Energy Co.   12,231    1,161,578 
  MDU Resources Group, Inc.   110,024    2,365,516 
  NiSource, Inc.   7,402    184,828 
  Public Service Enterprise Group, Inc.   28,317    1,271,716 
  Sempra Energy   522    58,981 
  WEC Energy Group, Inc.   15,262    1,345,040 
           9,838,319 
  Multiline Retail 1.1%          
  Dollar General Corp.   47,523    7,176,448 
             
  Oil, Gas & Consumable Fuels 0.5%          
  HollyFrontier Corp.   97,311    2,385,092 
  Kosmos Energy, Ltd.   512,235    458,758 
  PBF Energy, Inc., Class A   68,861    487,536 
           3,331,386 
  Personal Products 0.2%          
  Nu Skin Enterprises, Inc., Class A   56,586    1,236,404 
             
  Pharmaceuticals 2.2%          
  Catalent, Inc. (a)   41,079    2,134,054 
  Horizon Therapeutics PLC (a)   52,642    1,559,256 
  Jazz Pharmaceuticals PLC (a)   16,320    1,627,757 
  Mylan N.V. (a)   295,490    4,405,756 
  Perrigo Co. PLC   92,746    4,460,155 
           14,186,978 
  Professional Services 3.1%          
  CoreLogic, Inc.   12,814    391,340 
  IHS Markit, Ltd.   96,319    5,779,140 
  ManpowerGroup, Inc.   61,856    3,277,749 
  Robert Half International, Inc.   37,366    1,410,567 
  TransUnion   67,291    4,453,318 
  Verisk Analytics, Inc.   34,217    4,769,165 
           20,081,279 
  Real Estate Management & Development 0.4%          
  CBRE Group, Inc., Class A (a)   73,194    2,760,146 
             
  Road & Rail 0.6%          
  Landstar System, Inc.   599    57,420 
  Schneider National, Inc., Class B   198,566    3,840,267 
           3,897,687 
  Semiconductors & Semiconductor Equipment 5.2%          
  Advanced Micro Devices, Inc. (a)   120,771    5,492,665 
  Entegris, Inc.   72,644    3,252,272 
  KLA Corp.   39,623    5,695,410 
  Lam Research Corp.   29,768    7,144,320 
  MKS Instruments, Inc.   17,271    1,406,723 
  Qorvo, Inc. (a)   56,061    4,520,198 
  Skyworks Solutions, Inc.   41,588    3,717,136 
  Teradyne, Inc.   37,246    2,017,616 
           33,246,340 
  Software 7.1%          
  Alteryx, Inc., Class A (a)   4,864    462,907 
  Anaplan, Inc. (a)   9,147    276,788 
  Atlassian Corp. PLC, Class A (a)   16,983    2,331,087 
  Cadence Design Systems, Inc. (a)   3,071    202,809 
  CDK Global, Inc.   104,479    3,432,135 
  Coupa Software, Inc. (a)   6,717    938,566 
  Dropbox, Inc., Class A (a)   222,151    4,020,933 
  Fair Isaac Corp. (a)   9,419    2,898,132 
  Fortinet, Inc. (a)   55,115    5,575,985 
  NortonLifeLock, Inc.   253,127    4,736,006 
  Nuance Communications, Inc. (a)   203,757    3,419,043 
  Palo Alto Networks, Inc. (a)   26,796    4,393,472 
  RingCentral, Inc., Class A (a)   7,984    1,691,889 
  SS&C Technologies Holdings, Inc.   85,359    3,740,431 
  Synopsys, Inc. (a)   44,015    5,668,692 
  Teradata Corp. (a)   47,010    963,235 
  Zendesk, Inc. (a)   11,889    761,015 
           45,513,125 
  Specialty Retail 3.9%          
  AutoNation, Inc. (a)   55,649    1,561,511 
  AutoZone, Inc. (a)   6,250    5,287,500 
  Best Buy Co., Inc.   82,253    4,688,421 
  Burlington Stores, Inc. (a)   22,456    3,558,378 
  Foot Locker, Inc.   133,606    2,946,012 
  O’Reilly Automotive, Inc. (a)   18,715    5,634,151 
  Ulta Salon Cosmetics & Fragrance Inc. (a)   8,580    1,507,506 
           25,183,479 
  Technology Hardware, Storage & Peripherals 0.1%          
  Xerox Holdings Corp. (a)   43,152    817,299 
             
  Textiles, Apparel & Luxury Goods 0.5%          
  Skechers U.S.A., Inc., Class A (a)   143,110    3,397,431 
             
  Thrifts & Mortgage Finance 0.3%          
  MGIC Investment Corp.   171,555    1,089,374 
  New York Community Bancorp, Inc.   117,799    1,106,133 
           2,195,507 
  Trading Companies & Distributors 0.3%          
  HD Supply Holdings, Inc. (a)   46,592    1,324,610 
  WESCO International, Inc. (a)   30,015    685,843 
           2,010,453 
  Water Utilities 0.1%          
  American Water Works Co., Inc.   3,334    398,613 
             
  Wireless Telecommunication Services 0.5%          
  Telephone & Data Systems, Inc.   152,294    2,552,447 
  United States Cellular Corp. (a)   25,375    743,234 
           3,295,681 
  Total Common Stocks
(Cost $733,832,319)
        626,470,433 
             
  Exchange-Traded Funds 2.4%          
  iShares Russell Mid-Cap ETF   300,481    12,971,765 
  SPDR S&P 500 ETF Trust (b)   9,386    2,419,241 
             
  Total Exchange-Traded Funds
(Cost $18,976,411)
        15,391,006 
             
  Short-Term Investments 0.5%          
  Affiliated Investment Company 0.5%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   3,227,707    3,227,707 
             
  Unaffiliated Investment Company 0.0% ‡          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)   133,233    133,233 
             
  Total Short-Term Investments
(Cost $3,360,940)
        3,360,940 
  Total Investments
(Cost $756,169,670)
   100.3%   645,222,379 
  Other Assets, Less Liabilities   (0.3)   (1,938,336)
  Net Assets   100.0%  $643,284,043 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $1,823,324; the total market value of collateral held by the Portfolio was $1,878,026. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $1,744,793.
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages:
ETF Exchange-Traded Fund
SPDR Standard & Poor’s Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                     
Asset Valuation Inputs                     
                     
Investments in Securities (a)                    
Common Stocks  $626,470,433   $   $   $626,470,433 
Exchange-Traded Funds   15,391,006            15,391,006 
Short-Term Investments                    
Affiliated Investment Company   3,227,707            3,227,707 
Unaffiliated Investment Company   133,233            133,233 
Total Short-Term Investments   3,360,940            3,360,940 
Total Investments in Securities  $645,222,379   $   $   $645,222,379 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay International Equity Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 95.9% †
  Argentina 1.6%
  Globant S.A. (Software) (a)   76,586   $6,730,378 
             
  Canada 1.9%          
  Constellation Software, Inc. (Software)   8,359    7,597,050 
             
  China 2.6%          
  Tencent Holdings, Ltd. (Interactive Media & Services)   214,138    10,441,705 
             
  Denmark 2.8%          
  Novo Nordisk A/S, Class B (Pharmaceuticals)   189,655    11,440,263 
             
  France 4.0%          
  Edenred (IT Services) (a)   171,545    7,179,715 
  Teleperformance S.E. (Professional Services) (a)   43,206    9,018,043 
           16,197,758 
  Germany 12.0%          
  Carl Zeiss Meditec A.G. (Health Care Equipment & Supplies) (a)   51,756    5,028,696 
  Fresenius Medical Care A.G. & Co. KGaA (Health Care Providers & Services)   158,539    10,575,113 
  SAP S.E. (Software)   126,953    14,580,947 
  Scout24 A.G. (Interactive Media & Services) (b)   155,801    9,379,455 
  Symrise A.G. (Chemicals) (a)   94,850    8,982,814 
           48,547,025 
  India 4.6%          
  HDFC Bank, Ltd. (Banks)   939,411    10,521,449 
  Housing Development Finance Corp., Ltd. (Thrifts & Mortgage Finance)   383,415    8,148,190 
           18,669,639 
  Ireland 7.9%          
  Accenture PLC, Class A (IT Services)   85,422    13,945,996 
  ICON PLC (Life Sciences Tools & Services) (a)   133,895    18,209,720 
           32,155,716 
  Israel 2.1%          
  Nice, Ltd., Sponsored ADR (Software) (a)   59,167    8,494,014 
             
  Japan 9.9%          
  CyberAgent, Inc. (Media)   189,400    7,349,902 
  Lion Corp. (Household Products)   369,900    7,935,935 
  MonotaRO Co., Ltd. (Trading Companies & Distributors)   176,900    4,700,486 
  Relo Group, Inc. (Real Estate Management & Development)   432,100    9,069,198 
  TechnoPro Holdings, Inc. (Professional Services)   161,000    7,476,950 
  ZOZO, Inc. (Internet & Direct Marketing Retail)   259,358    3,480,047 
           40,012,518 
  Mexico 0.8%          
  Regional S.A.B. de C.V. (Banks)   1,203,044    3,164,504 
             
  Netherlands 6.6%          
  Koninklijke DSM N.V. (Chemicals)   96,162    10,927,285 
  Koninklijke Philips N.V. (Health Care Equipment & Supplies)   397,012    16,068,944 
           26,996,229 
  Spain 6.1%          
  Amadeus IT Group S.A. (IT Services)   264,789    12,557,729 
  Industria de Diseno Textil S.A. (Specialty Retail)   469,571    12,190,886 
           24,748,615 
  Sweden 2.7%          
  Hexagon AB, Class B (Electronic Equipment, Instruments & Components)   256,045    10,921,231 
             
  Switzerland 5.7%          
  Lonza Group A.G., Registered (Life Sciences Tools & Services)   28,274    11,763,430 
  TE Connectivity, Ltd. (Electronic Equipment, Instruments & Components)   181,848    11,452,787 
           23,216,217 
  Taiwan 1.3%          
  Taiwan Semiconductor Manufacturing Co., Ltd., Sponsored ADR (Semiconductors & Semiconductor Equipment)   107,616    5,142,969 
             
  United Kingdom 20.2%          
  Big Yellow Group PLC (Equity Real Estate Investment Trusts)   330,759    4,116,736 
  Compass Group PLC (Hotels, Restaurants & Leisure)   969,867    15,153,796 
  Diageo PLC (Beverages)   337,355    10,805,034 
  Experian PLC (Professional Services)   347,313    9,668,566 
  HomeServe PLC (Commercial Services & Supplies)   477,575    6,255,817 
  Johnson Matthey PLC (Chemicals)   41,102    913,417 
  LivaNova PLC (Health Care Equipment & Supplies) (a)   113,712    5,145,468 
  Prudential PLC (Insurance)   1,477,703    18,862,928 
  St. James’s Place PLC (Capital Markets)   1,179,852    11,242,547 
           82,164,309 
  United States 3.1%          
  STERIS PLC (Health Care Equipment & Supplies)   90,843    12,715,295 
             
  Total Common Stocks
(Cost $428,303,069)
        389,355,435 
             
  Short-Term Investment 0.2%          
  Affiliated Investment Company 0.2%          
  United States 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   788,540    788,540 
             
  Total Short-Term Investment
(Cost $788,540)
        788,540 
  Total Investments
(Cost $429,091,609)
   96.1%   390,143,975 
  Other Assets, Less Liabilities   3.9    15,686,362 
  Net Assets   100.0%  $405,830,337 

 

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(c) Current yield as of March 31, 2020.

 

The following abbreviation is used in the preceding pages: 

ADR —American Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

                 
Description 

Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)

  

Significant
Other
Observable
Inputs
(Level 2)

  

Significant
Unobservable
Inputs
(Level 3)

   Total 
                     
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Common Stocks                    
    China  $   $10,441,706   $   $10,441,706 
    Denmark       11,440,263        11,440,263 
    France       16,197,758        16,197,758 
    Germany       48,547,025        48,547,025 
    India       18,669,639        18,669,639 
    Japan       40,012,518        40,012,518 
    Netherlands       26,996,229        26,996,229 
    Spain       24,748,615        24,748,615 
    Sweden       10,921,232        10,921,232 
    Switzerland   11,452,787    11,763,430        23,216,217 
    United Kingdom   5,145,468    77,018,841        82,164,309 
    All Other Countries   75,999,926            75,999,925 
Total Common Stocks   92,598,181    296,757,254        389,355,435 
Short-Term Investment                    
     Affiliated Investment Company   788,540            788,540 
Total Investments in Securities  $93,386,721   $296,757,254   $   $390,143,975 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

  

MainStay VP T. Rowe Price Equity Income Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

     Principal
Amount
   Value 
  Long-Term Bond 0.2%†          
  Convertible Bond 0.2%          
  Insurance 0.2%          
  AXA S.A.
7.25%, due 5/15/21 (a)
  $1,495,000   $1,088,046 
             
  Total Long-Term Bond
(Cost $1,495,246)
        1,088,046 
             
      Shares      
  Common Stocks 95.7%          
  Aerospace & Defense 3.5%          
  Boeing Co. (b)   51,473    7,676,683 
  L3Harris Technologies, Inc.   54,712    9,854,726 
  United Technologies Corp.   11,600    1,094,228 
           18,625,637 
  Air Freight & Logistics 1.8%          
  United Parcel Service, Inc., Class B   105,948    9,897,662 
             
  Airlines 0.5%          
  Alaska Air Group, Inc. (b)   96,859    2,757,576 
             
  Banks 8.3%          
  Bank of America Corp.   31,248    663,395 
  Fifth Third Bancorp   427,278    6,345,078 
  JPMorgan Chase & Co.   143,949    12,959,728 
  PNC Financial Services Group, Inc.   45,684    4,372,872 
  U.S. Bancorp   95,719    3,297,520 
  Wells Fargo & Co.   596,038    17,106,291 
           44,744,884 
  Biotechnology 3.2%          
  AbbVie, Inc.   115,200    8,777,088 
  Gilead Sciences, Inc.   112,417    8,404,295 
           17,181,383 
  Building Products 0.4%          
  Johnson Controls International PLC   82,766    2,231,371 
             
  Capital Markets 4.5%          
  Franklin Resources, Inc.   146,552    2,445,953 
  Morgan Stanley   287,700    9,781,800 
  Northern Trust Corp.   20,331    1,534,177 
  Raymond James Financial, Inc.   47,600    3,008,320 
  State Street Corp.   136,336    7,262,619 
           24,032,869 
  Chemicals 3.2%          
  Akzo Nobel N.V.   11,276    743,385 
  CF Industries Holdings, Inc.   214,528    5,835,162 
  Dow, Inc.   87,966    2,572,126 
  DuPont de Nemours, Inc.   215,499    7,348,516 
  PPG Industries, Inc.   10,722    896,359 
           17,395,548 
  Commercial Services & Supplies 0.8%          
  Stericycle, Inc. (b)   84,300    4,095,294 
             
  Communications Equipment 1.5%          
  Cisco Systems, Inc.   202,192    7,948,168 
             
  Containers & Packaging 1.1%          
  International Paper Co.   191,252    5,953,675 
             
  Diversified Financial Services 0.6%          
  Equitable Holdings, Inc.   205,809    2,973,940 
             
  Diversified Telecommunication Services 2.2%          
  AT&T, Inc.   45,445    1,324,722 
  CenturyLink, Inc.   39,600    374,616 
  Telefonica S.A. (b)   257,087    1,180,244 
  Verizon Communications, Inc.   169,377    9,100,626 
           11,980,208 
  Electric Utilities 5.1%          
  Edison International   127,399    6,980,191 
  NextEra Energy, Inc.   21,370    5,142,050 
  Southern Co.   286,587    15,515,820 
           27,638,061 
  Electrical Equipment 0.8%          
  Emerson Electric Co.   66,907    3,188,119 
  nVent Electric PLC   74,298    1,253,407 
           4,441,526 
  Energy Equipment & Services 0.1%          
  Halliburton Co.   89,100    610,335 
             
  Entertainment 0.5%          
  Walt Disney Co.   29,652    2,864,383 
             
  Equity Real Estate Investment Trusts 3.4%          
  Equity Residential   85,614    5,283,240 
  Rayonier, Inc.   191,143    4,501,418 
  SL Green Realty Corp.   57,819    2,491,999 
  Weyerhaeuser Co.   345,731    5,860,140 
           18,136,797 
  Food & Staples Retailing 0.8%          
  Walmart, Inc.   39,475    4,485,149 
             
  Food Products 4.4%          
  Bunge, Ltd.   53,100    2,178,693 
  Conagra Brands, Inc.   320,565    9,405,377 
  Kellogg Co.   19,000    1,139,810 
  Mondelez International, Inc., Class A   5,300    265,424 
  Tyson Foods, Inc., Class A   179,182    10,369,262 
           23,358,566 
  Health Care Equipment & Supplies 2.9%          
  Becton Dickinson & Co.   17,789    4,087,379 
  Medtronic PLC   98,745    8,904,824 
  Zimmer Biomet Holdings, Inc.   24,600    2,486,568 
           15,478,771 
  Health Care Providers & Services 3.4%          
  Anthem, Inc.   35,766    8,120,313 
  CVS Health Corp.   167,937    9,963,702 
           18,084,015 
  Hotels, Restaurants & Leisure 1.3%          
  Las Vegas Sands Corp.   113,740    4,830,538 
  McDonald’s Corp.   7,400    1,223,590 
  MGM Resorts International   47,500    560,500 
  Royal Caribbean Cruises, Ltd.   14,900    479,333 
           7,093,961 
  Household Products 2.0%          
  Kimberly-Clark Corp.   83,075    10,622,800 
             
  Industrial Conglomerates 2.1%          
  General Electric Co.   1,394,981    11,076,149 
             
  Insurance 6.6%          
  American International Group, Inc.   288,868    7,005,049 
  Chubb, Ltd.   101,510    11,337,652 
  Loews Corp.   135,553    4,721,311 
  Marsh & McLennan Cos., Inc.   18,174    1,571,324 
  MetLife, Inc.   255,130    7,799,324 
  Willis Towers Watson PLC   17,640    2,996,154 
           35,430,814 
  IT Services 0.2%          
  Cognizant Technology Solutions Corp., Class A   20,012    929,958 
             
  Leisure Products 0.5%          
  Mattel, Inc. (b)(c)   284,354    2,505,159 
             
  Machinery 0.9%          
  Flowserve Corp.   10,635    254,070 
  PACCAR, Inc.   41,100    2,512,443 
  Snap-On, Inc.   15,300    1,664,946 
  Stanley Black & Decker, Inc.   2,800    280,000 
           4,711,459 
  Media 3.1%          
  Comcast Corp., Class A   195,997    6,738,377 
  Fox Corp., Class B   241,498    5,525,474 
  News Corp., Class A   478,791    4,297,149 
           16,561,000 
  Multi-Utilities 3.3%          
  CenterPoint Energy, Inc.   217,400    3,358,830 
  NiSource, Inc.   407,968    10,186,961 
  Sempra Energy   36,705    4,147,298 
           17,693,089 
  Multiline Retail 0.3%          
  Kohl’s Corp.   120,000    1,750,800 
             
  Oil, Gas & Consumable Fuels 7.6%          
  Chevron Corp.   18,343    1,329,134 
  Enbridge, Inc.   26,500    770,885 
  EOG Resources, Inc.   28,200    1,012,944 
  Exxon Mobil Corp.   170,364    6,468,721 
  Hess Corp.   16,180    538,794 
  Occidental Petroleum Corp.   216,000    2,501,280 
  Pioneer Natural Resources Co.   30,000    2,104,500 
  Suncor Energy, Inc.   21,800    344,440 
  Targa Resources Corp.   195,400    1,350,214 
  TC Energy Corp.   233,427    10,340,816 
  TOTAL S.A. (c)   332,081    12,877,924 
  TOTAL S.A., Sponsored ADR   31,300    1,165,612 
           40,805,264 
  Pharmaceuticals 5.4%          
  Bristol-Myers Squibb Co.   42,700    2,380,098 
  GlaxoSmithKline PLC   113,680    2,132,336 
  GlaxoSmithKline PLC, Sponsored ADR   20,300    769,167 
  Johnson & Johnson   108,022    14,164,925 
  Pfizer, Inc.   290,976    9,497,456 
           28,943,982 
  Professional Services 0.7%          
  Nielsen Holdings PLC   283,392    3,553,736 
             
  Semiconductors & Semiconductor Equipment 4.7%          
  Applied Materials, Inc.   90,800    4,160,456 
  NXP Semiconductors N.V.   16,600    1,376,638 
  QUALCOMM, Inc.   216,994    14,679,644 
  Texas Instruments, Inc.   51,655    5,161,884 
           25,378,622 
  Software 1.8%          
  Microsoft Corp.   61,462    9,693,172 
             
  Technology Hardware, Storage & Peripherals 0.1%          
  Western Digital Corp.   16,605    691,100 
             
  Tobacco 2.1%          
  Philip Morris International, Inc.   153,147    11,173,605 
             
  Total Common Stocks
(Cost $589,263,811)
        513,530,488 
             
  Convertible Preferred Stocks 2.5%          
  Electric Utilities 0.8%          
  NextEra Energy, Inc.
5.279%
   44,642    1,968,266 
  Southern Co.
6.75%
   56,931    2,527,736 
           4,496,002 
  Health Care Equipment & Supplies 0.9%          
  Becton Dickinson & Co.
6.125%
   95,004    4,966,809 
             
  Multi-Utilities 0.8%          
  Sempra Energy          
  6.00%   33,680    3,116,074 
  6.75%   10,478    984,198 
           4,100,272 
  Total Convertible Preferred Stocks
(Cost $14,235,471)
        13,563,083 
             
  Short-Term Investments 1.7%          
  Affiliated Investment Company 1.6%          
  MainStay U.S. Government Liquidity Fund, 0.09% (d)   8,277,008    8,277,008 
             
  Unaffiliated Investment Company 0.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (d)(e)   716,424    716,424 
             
  Total Short-Term Investments
(Cost $8,993,432)
        8,993,432 
  Total Investments
(Cost $613,987,960)
   100.1%   537,175,049 
  Other Assets, Less Liabilities   (0.1)   (629,755)
  Net Assets   100.0%  $536,545,294 

 

Percentages indicated are based on Portfolio net assets.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Non-income producing security.
(c) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $776,762; the total market value of collateral held by the Portfolio was $800,052. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $83,628.  
(d) Current yield as of March 31, 2020.
(e) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviation is used in the preceding pages:

ADR —American Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

 

Description 

Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
 

 

  

Significant
Other
Observable
Inputs

(Level 2) 

 

  

Significant
Unobservable

Inputs
(Level 3)
 

 

   Total  
                
Asset Valuation Inputs               
                 
Investments in Securities (a)               
Long-Term Bond                    
Convertible Bond  $   $1,088,046   $   $1,088,046 
Common Stocks                    
Chemicals   16,652,163    743,385        17,395,548 
Diversified Telecommunication Services   10,799,964    1,180,244        11,980,208 
Oil, Gas, & Consumable Fuels   27,927,340    12,877,924        40,805,264 
Pharmaceuticals   26,811,646    2,132,336        28,943,982 
All Other Industries   414,405,486            414,405,486 
Total Common Stocks   496,596,599    16,933,889        513,530,488 
Convertible Preferred Stocks   13,563,083            13,563,083 
Short-Term Investments                    
Affiliated Investment Company   8,277,008            8,277,008 
Unaffiliated Investment Company   716,424            716,424 
Total Short-Term Investments   8,993,432            8,993,432 
Total Investments in Securities  $519,153,114   $18,021,935   $   $537,175,049 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Mellon Natural Resources Portfolio

 

Portfolio of Investments  March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 97.9% †
  Brazil 1.9%
  Petroleo Brasileiro S.A., Sponsored ADR (Oil, Gas & Consumable Fuels)   544,276   $2,933,648 
             
  Canada 9.1%          
  Barrick Gold Corp. (Metals & Mining)   565,048    10,351,679 
  Lundin Mining Corp. (Metals & Mining)   733,847    2,758,510 
  Norbord, Inc. (Paper & Forest Products)   96,688    1,143,932 
           14,254,121 
  Denmark 4.3%          
  Orsted A/S (Electric Utilities) (a)   22,643    2,223,655 
  Vestas Wind Systems A/S (Electrical Equipment)   56,747    4,619,349 
           6,843,004 
  France 3.1%          
  Air Liquide S.A. (Chemicals)   37,833    4,849,318 
             
  Luxembourg 2.2%          
  ArcelorMittal S.A. (Metals & Mining)   368,850    3,495,580 
             
  Norway 6.7%          
  Equinor ASA (Oil, Gas & Consumable Fuels)   437,493    5,510,970 
  Yara International ASA (Chemicals)   160,235    5,069,734 
           10,580,704 
  South Africa 5.7%          
  Anglo American PLC (Metals & Mining)   515,475    9,007,556 
             
  United Kingdom 5.6%          
  BP PLC (Oil, Gas & Consumable Fuels)   2,065,838    8,788,428 
             
  United States 59.3%          
  Archer-Daniels-Midland Co. (Food Products)   205,337    7,223,756 
  Ball Corp. (Containers & Packaging)   60,827    3,933,074 
  Bunge, Ltd. (Food Products)   77,697    3,187,908 
  Casella Waste Systems, Inc., Class A (Commercial Services & Supplies) (b)   100,436    3,923,030 
  CF Industries Holdings, Inc. (Chemicals)   209,679    5,703,269 
  Clean Harbors, Inc. (Commercial Services & Supplies) (b)   47,703    2,449,072 
  Concho Resources, Inc. (Oil, Gas & Consumable Fuels)   83,844    3,592,715 
  ConocoPhillips (Oil, Gas & Consumable Fuels)   189,788    5,845,470 
  Covanta Holding Corp. (Commercial Services & Supplies)   201,428    1,722,209 
  First Solar, Inc. (Semiconductors & Semiconductor Equipment) (b)   78,052    2,814,555 
  FMC Corp. (Chemicals)   61,696    5,039,946 
  Freeport-McMoRan, Inc. (Metals & Mining)   915,226    6,177,776 
  Hess Corp. (Oil, Gas & Consumable Fuels)   103,123    3,433,996 
  Itron, Inc. (Electronic Equipment, Instruments & Components) (b)   31,793    1,775,003 
  Louisiana-Pacific Corp. (Paper & Forest Products)   136,254    2,340,844 
  Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)   122,280    2,888,254 
  Mosaic Co. (Chemicals)   273,477    2,959,021 
  Newmont Corp. (Metals & Mining)   193,744    8,772,728 
  NextEra Energy, Inc. (Electric Utilities)   23,012    5,537,147 
  PBF Energy, Inc., Class A (Oil, Gas & Consumable Fuels)   100,897    714,351 
  Pioneer Natural Resources Co. (Oil, Gas & Consumable Fuels)   64,427    4,519,554 
  Schlumberger, Ltd. (Energy Equipment & Services)   169,406    2,285,287 
  Steel Dynamics, Inc. (Metals & Mining)   152,559    3,438,680 
  Valero Energy Corp. (Oil, Gas & Consumable Fuels)   71,185    3,228,952 
           93,506,597 
             
  Total Common Stocks
(Cost $220,104,690)
        154,258,956 
             
  Short-Term Investment 1.8%          
  Affiliated Investment Company 1.8%          
  United States 1.8%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   2,890,640    2,890,640 
  Total Short-Term Investment
(Cost $2,890,640)
        2,890,640 
  Total Investments
(Cost $222,995,330)
   99.7%   157,149,596 
  Other Assets, Less Liabilities   0.3    512,789 
  Net Assets   100.0%  $157,662,385 

 

Percentages indicated are based on Portfolio net assets.
(a)May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b)Non-income producing security.
(c)Current yield as of March 31, 2020.

    

The following abbreviation is used in the preceding pages:   

ADR—American Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
     
Asset Valuation Inputs
 
Investments in Securities (a)                    
Common Stocks                    
Denmark  $   $6,843,004   $   $6,843,004 
France        4,849,318         4,849,318 
Luxembourg       3,495,580        3,495,580 
Norway       10,580,704        10,580,704 
South Africa        9,007,556         9,007,556 
United Kingdom       8,788,428        8,788,428 
All Other Countries   110,694,366            110,694,366 
Total Common Stocks   110,694,366    43,564,590        154,258,956 
Short-Term Investment                  
    Affiliated Investment Company   2,890,640              2,890,640 
Total Investments in Securities  $113,585,006   $43,564,590   $   $157,149,596 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

MainStay VP MacKay Growth Portfolio  

 

Portfolio of Investments March 31, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 99.1% †
  Aerospace & Defense 2.2%          
  Boeing Co.   4,125   $615,202 
  Huntington Ingalls Industries, Inc.   310    56,485 
  Lockheed Martin Corp.   18,980    6,433,271 
  Northrop Grumman Corp.   12,729    3,851,159 
  Raytheon Co.   950    124,593 
  Spirit AeroSystems Holdings, Inc., Class A   53,819    1,287,889 
  Textron, Inc.   2,982    79,530 
           12,448,129 
  Automobiles 1.1%          
  Tesla, Inc. (a)   11,870    6,219,880 
             
  Beverages 0.9%          
  Coca-Cola Co.   41,542    1,838,234 
  PepsiCo., Inc.   25,232    3,030,363 
           4,868,597 
  Biotechnology 6.3%          
  AbbVie, Inc.   80,889    6,162,933 
  Alexion Pharmaceuticals, Inc. (a)   4,158    373,347 
  Alkermes PLC (a)   102,919    1,484,092 
  Amgen, Inc.   37,917    7,686,913 
  Biogen, Inc. (a)   12,512    3,958,547 
  Exelixis, Inc. (a)   177,034    3,048,526 
  Incyte Corp. (a)   44,841    3,283,706 
  Regeneron Pharmaceuticals, Inc. (a)   7,300    3,564,517 
  United Therapeutics Corp. (a)   16,229    1,538,915 
  Vertex Pharmaceuticals, Inc. (a)   17,199    4,092,502 
           35,193,998 
  Building Products 0.4%          
  Trane Technologies PLC   29,822    2,462,999 
             
  Capital Markets 2.8%          
  Evercore, Inc., Class A   64,309    2,962,073 
  LPL Financial Holdings, Inc.   59,382    3,232,162 
  Moody's Corp.   17,160    3,629,340 
  S&P Global, Inc.   22,770    5,579,788 
           15,403,363 
  Commercial Services & Supplies 0.2%          
  Clean Harbors, Inc. (a)   25,188    1,293,152 
             
  Communications Equipment 0.7%          
  Cisco Systems, Inc.   105,091    4,131,127 
             
  Electrical Equipment 0.2%          
  Acuity Brands, Inc.   10,048    860,712 
             
  Electronic Equipment, Instruments & Components 1.3%          
  CDW Corp.   35,546    3,315,375 
  Jabil, Inc.   125,635    3,088,108 
  SYNNEX Corp.   10,947    800,226 
           7,203,709 
  Entertainment 1.3%          
  Netflix, Inc. (a)   9,537    3,581,143 
  Roku, Inc. (a)   3,540    309,679 
  Take-Two Interactive Software, Inc. (a)   1,746    207,093 
  Zynga, Inc., Class A (a)   450,443    3,085,535 
           7,183,450 
  Equity Real Estate Investment Trusts 2.6%          
  American Tower Corp.   21,210    4,618,477 
  Equinix, Inc.   8,449    5,276,992 
  SBA Communications Corp.   16,082    4,341,658 
           14,237,127 
  Food & Staples Retailing 1.1%          
  Costco Wholesale Corp.   20,099    5,730,828 
  Sprouts Farmers Market, Inc. (a)   22,430    416,974 
           6,147,802 
  Food Products 0.4%          
  Pilgrim's Pride Corp. (a)   110,410    2,000,629 
             
  Health Care Equipment & Supplies 0.8%          
  Align Technology, Inc. (a)   20,029    3,484,045 
  DexCom, Inc. (a)   48    12,925 
  Insulet Corp. (a)   2,514    416,519 
  West Pharmaceutical Services, Inc.   2,563    390,217 
           4,303,706 
  Health Care Providers & Services 5.6%           
  AmerisourceBergen Corp.   42,504    3,761,604 
  Anthem, Inc.   16,436    3,731,629 
  Cardinal Health, Inc.   7,725    370,337 
  DaVita, Inc. (a)   40,553    3,084,461 
  Humana, Inc.   12,348    3,877,519 
  McKesson Corp.   24,352    3,293,852 
  UnitedHealth Group, Inc.   51,669    12,885,215 
           31,004,617 
  Health Care Technology 0.3%          
  Cerner Corp.   23,943    1,508,170 
             
  Hotels, Restaurants & Leisure 1.2%          
  Domino's Pizza, Inc.   10,484    3,397,550 
  Starbucks Corp.   52,257    3,435,375 
           6,832,925 
  Household Durables 0.5%          
  NVR, Inc. (a)   1,070    2,748,948 
             
  Industrial Conglomerates 0.6%          
  Carlisle Cos., Inc.   26,973    3,379,177 
             
  Interactive Media & Services 8.3%          
  Alphabet, Inc. (a)          
  Class A    10,532    12,237,657 
  Class C    12,179    14,161,863 
  Facebook, Inc., Class A (a)   120,131    20,037,851 
           46,437,371 
  Internet & Direct Marketing Retail 8.4%          
  Amazon.com, Inc. (a)   19,272    37,575,004 
  Booking Holdings, Inc. (a)   2,927    3,937,752 
  eBay, Inc.   130,177    3,913,120 
  Expedia Group, Inc.   24,004    1,350,705 
           46,776,581 
  IT Services 7.7%          
  Accenture PLC, Class A   8,800    1,436,688 
  Akamai Technologies, Inc. (a)   38,838    3,553,289 
  Booz Allen Hamilton Holding Corp.   49,136    3,372,695 
  Fidelity National Information Services, Inc.   3,454    420,145 
  GoDaddy, Inc., Class A (a)   59,626    3,405,241 
  Leidos Holdings, Inc.   21,450    1,965,892 
  Mastercard, Inc., Class A   49,528    11,963,984 
  PayPal Holdings, Inc. (a)   49,752    4,763,256 
  Visa, Inc., Class A   72,552    11,689,578 
           42,570,768 
  Life Sciences Tools & Services 2.1%          
  Bruker Corp.   84,777    3,040,103 
  Charles River Laboratories International, Inc. (a)   25,530    3,222,142 
  IQVIA Holdings, Inc. (a)   30,834    3,325,755 
  PRA Health Sciences, Inc. (a)   23,728    1,970,373 
  Thermo Fisher Scientific, Inc.   687    194,833 
           11,753,206 
  Machinery 0.5%          
  Allison Transmission Holdings, Inc.   90,776    2,960,205 
             
  Media 0.9%          
  Charter Communications, Inc., Class A (a)   10,479    4,572,092 
  Comcast Corp., Class A   3,913    134,529 
  Interpublic Group of Cos., Inc.   7,626    123,465 
           4,830,086 
  Multiline Retail 1.2%          
  Dollar General Corp.   24,330    3,674,073 
  Target Corp.   32,367    3,009,160 
           6,683,233 
  Pharmaceuticals 2.5%          
  Bristol-Myers Squibb Co.   1,939    108,080 
  Eli Lilly & Co.   31,961    4,433,630 
  Johnson & Johnson   37,193    4,877,118 
  Merck & Co., Inc.   60,932    4,688,108 
           14,106,936 
  Professional Services 1.3%          
  CoreLogic, Inc.   28,637    874,574 
  ManpowerGroup, Inc.   38,118    2,019,873 
  Robert Half International, Inc.   31,665    1,195,353 
  TransUnion   49,071    3,247,519 
           7,337,319 
  Road & Rail 0.2%          
  Union Pacific Corp.   8,099    1,142,283 
             
  Semiconductors & Semiconductor Equipment 5.1%          
  Advanced Micro Devices, Inc. (a)   11,801    536,709 
  Applied Materials, Inc.   86,730    3,973,969 
  Broadcom, Inc.   8,470    2,008,237 
  Lam Research Corp.   17,649    4,235,760 
  NVIDIA Corp.   27,174    7,163,066 
  Qorvo, Inc. (a)   36,733    2,961,782 
  QUALCOMM, Inc.   92,909    6,285,294 
  Texas Instruments, Inc.   10,188    1,018,087 
           28,182,904 
  Software 18.4%          
  Adobe, Inc. (a)   30,062    9,566,931 
  Alteryx, Inc., Class A (a)   1,956    186,153 
  Anaplan, Inc. (a)   3,672    111,115 
  Atlassian Corp. PLC, Class A (a)   5,076    696,732 
  Autodesk, Inc. (a)   28,131    4,391,249 
  CDK Global, Inc.   62,251    2,044,945 
  Coupa Software, Inc. (a)   2,685    375,175 
  Dropbox, Inc., Class A (a)   175,795    3,181,889 
  Fair Isaac Corp. (a)   9,666    2,974,132 
  Fortinet, Inc. (a)   36,507    3,693,413 
  Intuit, Inc.   23,439    5,390,970 
  Microsoft Corp.   340,166    53,647,580 
  NortonLifeLock, Inc.   40,962    766,399 
  Oracle Corp.   25,523    1,233,527 
  Palo Alto Networks, Inc. (a)   19,475    3,193,121 
  RingCentral, Inc., Class A (a)   3,156    668,788 
  salesforce.com, Inc. (a)   35,546    5,117,913 
  ServiceNow, Inc. (a)   3,023    866,331 
  SS&C Technologies Holdings, Inc.   1,634    71,602 
  Synopsys, Inc. (a)   29,948    3,857,003 
  Zendesk, Inc. (a)   4,736    303,151 
           102,338,119 
  Specialty Retail 2.7%          
  AutoZone, Inc. (a)   2,580    2,182,680 
  Best Buy Co., Inc.   49,345    2,812,665 
  Burlington Stores, Inc. (a)   21,787    3,452,368 
  Home Depot, Inc.   10,775    2,011,800 
  O'Reilly Automotive, Inc. (a)   12,603    3,794,133 
  Ross Stores, Inc.   8,446    734,549 
           14,988,195 
  Technology Hardware, Storage & Peripherals 9.1%          
  Apple, Inc.   186,559    47,440,088 
  HP, Inc.   179,002    3,107,475 
           50,547,563 
  Textiles, Apparel & Luxury Goods 0.2%          
  NIKE, Inc., Class B   13,921    1,151,824 
             
  Total Common Stocks
(Cost $531,435,352)
        551,238,810 
             
  Exchange-Traded Fund 0.9%          
  iShares Russell 1000 Growth ETF   33,552    5,054,609 
             
  Total Exchange-Traded Fund
(Cost $4,528,277)
        5,054,609 
             
  Short-Term Investment 0.2%          
  Affiliated Investment Company 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.09%   988,201    988,201 
  Total Short-Term Investment
(Cost $988,201)
        988,201 
  Total Investments
(Cost $536,951,830)
   100.2%   557,281,620 
  Other Assets, Less Liabilities   (0.2)   (1,045,215)
  Net Assets   100.0%  $556,236,405 

  

Percentages indicated are based on Portfolio net assets.
(a)Non-income producing security.

 

The following abbreviation is used in the preceding pages:

ETF —Exchange-Traded Fund

  

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:
 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total  
    
Asset Valuation Inputs  
 
Investments in Securities (a)                   
Common Stocks  $551,238,810   $   $   $551,238,810 
Exchange-Traded Fund   5,054,609            5,054,609 
Short-Term Investment                    
Affiliated Investment Company   988,201            988,201 
Total Investments in Securities  $557,281,620   $   $   $557,281,620 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

MainStay VP MacKay Convertible Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)  

 

     Principal
Amount
   Value 
  Convertible Securities 93.4% †
  Convertible Bonds 86.7%
  Advertising 0.6%
  Quotient Technology, Inc.
1.75%, due 12/1/22
   $5,756,000   $5,166,813 
             
  Aerospace & Defense 1.5%          
  Aerojet Rocketdyne Holdings, Inc.
2.25%, due 12/15/23
   7,117,000    11,770,390 
             
  Auto Manufacturers 1.2%          
  Tesla, Inc.
1.25%, due 3/1/21
   6,043,000    9,300,166 
             
  Biotechnology 8.2%          
  Apellis Pharmaceuticals, Inc.
3.50%, due 9/15/26 (a)
   2,282,000    2,341,337 
  BioMarin Pharmaceutical, Inc.
0.599%, due 8/1/24 (b)
   18,042,000    18,951,905 
  BridgeBio Pharma, Inc.
2.50%, due 3/15/27 (a)
   4,381,000    4,200,729 
  Exact Sciences Corp.
1.00%, due 1/15/25
   10,650,000    11,600,896 
  Illumina, Inc.          
  (zero coupon), due 8/15/23   7,893,000    7,633,006 
  0.50%, due 6/15/21 (b)   7,153,000    8,772,744 
  Intercept Pharmaceuticals, Inc.
3.25%, due 7/1/23
   5,052,000    4,168,144 
  Ionis Pharmaceuticals, Inc.
1.00%, due 11/15/21 (b)
   8,329,000    8,450,510 
           66,119,271 
  Building Materials 1.1%          
  Patrick Industries, Inc.
1.00%, due 2/1/23
   11,666,000    9,224,295 
             
  Commercial Services 2.6%          
  Chegg, Inc.
0.125%, due 3/15/25 (a)
   6,835,000    6,479,580 
  Euronet Worldwide, Inc.
0.75%, due 3/15/49 (b)
   7,730,000    7,058,456 
  Square, Inc.          
  0.125%, due 3/1/25 (a)   4,495,000    3,907,091 
  0.50%, due 5/15/23   3,658,000    3,789,713 
           21,234,840 
  Computers 3.2%          
  Lumentum Holdings, Inc.
0.25%, due 3/15/24
   16,147,000    21,847,553 
  Western Digital Corp.
1.50%, due 2/1/24
   4,634,000    4,053,936 
           25,901,489 
  Diversified Financial Services 0.3%          
  LendingTree, Inc.
0.625%, due 6/1/22
   2,437,000    2,674,243 
             
  Electric 1.1%          
  NRG Energy, Inc.
2.75%, due 6/1/48
   9,299,000    8,880,545 
             
  Energy - Alternate Sources 0.3%          
  Enphase Energy, Inc.
0.25%, due 3/1/25 (a)
   2,995,000    2,394,451 
             
  Entertainment 0.5%          
  Live Nation Entertainment, Inc.
2.50%, due 3/15/23
   4,439,000    4,230,501 
             
  Food 0.9%          
  Chefs’ Warehouse, Inc.
1.875%, due 12/1/24 (a)
   10,997,000    6,838,759 
             
  Health Care - Products 6.2%          
  CONMED Corp.
2.625%, due 2/1/24
   9,264,000    8,621,662 
  Danaher Corp.
(zero coupon), due 1/22/21
   6,483,000    34,187,994 
  Integra LifeSciences Holdings Corp.
0.50%, due 8/15/25 (a)
   4,154,000    3,691,170 
  NuVasive, Inc.
2.25%, due 3/15/21
   3,296,000    3,463,529 
           49,964,355 
  Health Care - Services 5.7%          
  Anthem, Inc.
2.75%, due 10/15/42
   7,296,000    23,077,977 
  Teladoc Health, Inc.
1.375%, due 5/15/25
   7,708,000    22,440,579 
           45,518,556 
  Internet 9.5%          
  Boingo Wireless, Inc.
1.00%, due 10/1/23
   4,790,000    4,279,889 
  Booking Holdings, Inc.
0.90%, due 9/15/21 (b)
   13,680,000    13,671,792 
  Etsy, Inc.          
  (zero coupon), due 3/1/23   6,134,000    7,740,001 
  0.125%, due 10/1/26 (a)   5,022,000    4,158,899 
  FireEye, Inc.
0.875%, due 6/1/24
   3,663,000    3,095,235 
  IAC FinanceCo 2, Inc.
0.875%, due 6/15/26 (a)
   7,897,000    7,305,288 
  Okta, Inc.
0.125%, due 9/1/25 (a)
   7,065,000    6,777,984 
  Palo Alto Networks, Inc.
0.75%, due 7/1/23
   8,986,000    8,695,692 
  Q2 Holdings, Inc.
0.75%, due 6/1/26 (a)
   2,800,000    2,508,373 
  Snap, Inc.
0.75%, due 8/1/26 (a)
   6,296,000    5,546,946 
  Wix.com, Ltd.
(zero coupon), due 7/1/23 (b)
   10,770,000    10,678,740 
  Zendesk, Inc.
0.25%, due 3/15/23
   1,447,000    1,714,905 
           76,173,744 
  Iron & Steel 0.3%          
  Cleveland-Cliffs, Inc.
1.50%, due 1/15/25
   3,753,000    2,670,259 
             
  Lodging 0.3%          
  Caesars Entertainment Corp.
5.00%, due 10/1/24
   2,616,000    2,799,216 
             
  Machinery - Diversified 1.5%          
  Chart Industries, Inc.
1.00%, due 11/15/24 (a)
   15,599,000    12,268,983 
             
  Media 3.2%          
  DISH Network Corp.
3.375%, due 8/15/26
   17,289,000    14,079,323 
  Liberty Media Corp-Liberty Formula One
1.00%, due 1/30/23
   6,664,000    6,305,448 
  Liberty Media Corp.
1.375%, due 10/15/23
   5,512,000    5,222,620 
           25,607,391 
  Oil & Gas 0.4%          
  Ensco Jersey Finance, Ltd.
3.00%, due 1/31/24 (b)
   11,037,000    3,035,162 
  Oasis Petroleum, Inc.
2.625%, due 9/15/23
   2,348,000    328,435 
           3,363,597 
  Oil & Gas Services 2.4%          
  Helix Energy Solutions Group, Inc.
4.125%, due 9/15/23
   6,078,000    4,013,663 
  Newpark Resources, Inc.
4.00%, due 12/1/21
   5,174,000    3,855,218 
  Oil States International, Inc.
1.50%, due 2/15/23
   13,438,000    10,557,229 
  Weatherford International, Ltd.
11.00%, due 12/1/24 (a)
   1,137,000    679,357 
           19,105,467 
  Pharmaceuticals 2.9%          
  DexCom, Inc.
0.75%, due 12/1/23
   5,379,000    9,416,745 
  Neurocrine Biosciences, Inc.
2.25%, due 5/15/24
   6,250,000    8,040,755 
  Pacira BioSciences, Inc.
2.375%, due 4/1/22
   5,779,000    5,583,762 
           23,041,262 
  Semiconductors 10.1%          
  Inphi Corp.
1.125%, due 12/1/20
   9,461,000    18,802,003 
  Microchip Technology, Inc.          
  1.625%, due 2/15/25   12,203,000    17,717,223 
  1.625%, due 2/15/27   5,198,000    5,347,929 
  Micron Technology, Inc.
3.125%, due 5/1/32
   1,993,000    8,417,635 
  Novellus Systems, Inc.
2.625%, due 5/15/41
   724,000    5,462,626 
  ON Semiconductor Corp.          
  1.00%, due 12/1/20   8,174,000    8,140,354 
  1.625%, due 10/15/23   1,450,000    1,443,800 
  Rambus, Inc.
1.375%, due 2/1/23
   6,552,000    6,355,663 
  Silicon Laboratories, Inc.
1.375%, due 3/1/22
   9,006,000    9,997,612 
           81,684,845 
  Software 17.9%          
  Akamai Technologies, Inc.
0.375%, due 9/1/27 (a)
   7,080,000    7,064,621 
  Atlassian, Inc.
0.625%, due 5/1/23
   5,325,000    9,285,629 
  Coupa Software, Inc.
0.125%, due 6/15/25 (a)
   3,509,000    3,885,781 
  Envestnet, Inc.
1.75%, due 6/1/23
   7,583,000    7,788,025 
  Everbridge, Inc.
0.125%, due 12/15/24 (a)
   3,415,000    3,882,428 
  j2 Global, Inc.
1.75%, due 11/1/26 (a)
   3,285,000    3,013,988 
  MongoDB, Inc.
0.25%, due 1/15/26 (a)
   4,445,000    4,331,097 
  NICE Systems, Inc.
1.25%, due 1/15/24
   13,581,000    23,995,929 
  Nuance Communications, Inc.
1.25%, due 4/1/25
   8,331,000    9,012,393 
  RingCentral, Inc.
(zero coupon), due 3/15/23
   6,593,000    17,285,593 
  ServiceNow, Inc.
(zero coupon), due 6/1/22
   6,076,000    12,948,753 
  Splunk, Inc.
0.50%, due 9/15/23
   10,919,000    11,771,540 
  Twilio, Inc.
0.25%, due 6/1/23
   2,263,000    3,168,802 
  Verint Systems, Inc.
1.50%, due 6/1/21
   7,333,000    7,106,876 
  Workday, Inc.
0.25%, due 10/1/22
   11,205,000    12,465,563 
  Zynga, Inc.
0.25%, due 6/1/24 (a)
   6,772,000    6,961,823 
           143,968,841 
  Telecommunications 2.6%          
  Infinera Corp.
2.50%, due 3/1/27 (a)
   4,490,000    4,107,735 
  InterDigital, Inc.
2.00%, due 6/1/24 (a)
   2,860,000    2,633,059 
  Viavi Solutions, Inc.
1.00%, due 3/1/24
   9,569,000    10,124,597 
  Vonage Holdings Corp.
1.75%, due 6/1/24 (a)
   5,148,000    4,179,108 
           21,044,499 
  Transportation 2.2%          
  Atlas Air Worldwide Holdings, Inc.
2.25%, due 6/1/22
   11,348,000    10,092,628 
  Echo Global Logistics, Inc.
2.50%, due 5/1/20
   7,629,000    7,632,160 
           17,724,788 
  Total Convertible Bonds
(Cost $683,091,872)
        698,671,566 

 

      Shares      
  Convertible Preferred Stocks 6.7%          
  Banks 2.7%          
  Bank of America Corp.
Series L
7.25%
   8,636    10,933,349 
  Wells Fargo & Co.
Series L
7.50%
   8,264    10,528,501 
           21,461,850 
  Chemicals 0.5%          
  Lyondellbasell Advanced Polymers, Inc.
6.00%
   4,110    3,818,190 
             
  Equity Real Estate Investment Trusts 0.9%          
  Crown Castle International Corp.
6.875%
   5,982    7,477,500 
             
  Health Care Equipment & Supplies 0.9%          
  Becton Dickinson & Co.
6.125%
   146,239    7,645,375 
             
  Machinery 1.0%          
  Stanley Black & Decker, Inc.
5.25%
   115,000    8,045,400 
             
  Semiconductors & Semiconductor Equipment 0.7%          
  Broadcom, Inc.
8.00%
   6,025    5,629,519 
             
  Total Convertible Preferred Stocks
(Cost $56,512,526)
        54,077,834 
  Total Convertible Securities
(Cost $739,604,398)
        752,749,400 
             
  Common Stocks 2.3%          
  Airlines 0.5%          
  Delta Air Lines, Inc.   151,688    4,327,659 
             
  Banks 0.7%          
  Bank of America Corp.   267,678    5,682,804 
             
  Energy Equipment & Services 0.1%          
  Weatherford International PLC (c)   157,538    937,351 
             
  Health Care Equipment & Supplies 1.0%          
  Teleflex, Inc.   26,553    7,776,311 
             
  Total Common Stocks
(Cost $17,450,182)
        18,724,125 
             
  Short-Term Investments 6.1%          
  Affiliated Investment Company 4.0%          
  MainStay U.S. Government Liquidity Fund, 0.09% (d)   32,203,624    32,203,624 
             
  Unaffiliated Investment Company 2.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (d)(e)   16,712,355    16,712,355 
             
  Total Short-Term Investments
(Cost $48,915,979)
        48,915,979 
             
  Total Investments
(Cost $805,970,559)
   101.8%   820,389,504 
  Other Assets, Less Liabilities   (1.8)   (14,401,440)
  Net Assets   100.0%  $805,988,064 

 

Percentages indicated are based on Portfolio net assets.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $33,470,933; the total market value of collateral held by the Portfolio was $34,391,315. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $17,678,960.  
(c) Non-income producing security.
(d) Current yield as of March 31, 2020.
(e) Represents a security purchased with cash collateral received for securities on loan.

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

 
Description 

Quoted Prices

in Active

Markets for

Identical Assets
 (Level 1)

   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                     
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Convertible Securities                    
Convertible Bonds  $—     $698,671,566   $—     $698,671,566 
Convertible Preferred Stocks   54,077,834    —      —      54,077,834 
Total Convertible Securities   54,077,834    698,671,566    —      752,749,400 
Common Stocks   18,724,125    —      —      18,724,125 
Short-Term Investments                    
Affiliated Investment Company   32,203,624    —      —      32,203,624 
Unaffiliated Investment Company   16,712,355    —      —      16,712,355 
Total Short-Term Investments   48,915,979    —      —      48,915,979 
Total Investments in Securities  $121,717,938   $698,671,566   $—     $820,389,504 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Epoch U.S. Equity Yield Portfolio
 
Portfolio of Investments March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 96.8% †
  Aerospace & Defense 3.2%          
  General Dynamics Corp.   39,213   $5,188,272 
  Lockheed Martin Corp.   31,448    10,659,299 
  Raytheon Co.   35,331    4,633,661 
  United Technologies Corp.   51,249    4,834,318 
           25,315,550 
             
  Air Freight & Logistics 0.7%          
  United Parcel Service, Inc., Class B   56,283    5,257,958 
             
  Banks 4.3%          
  M&T Bank Corp.   59,802    6,185,321 
  People’s United Financial, Inc.   493,410    5,452,181 
  PNC Financial Services Group, Inc.   48,349    4,627,966 
  Truist Financial Corp.   259,899    8,015,285 
  U.S. Bancorp   170,071    5,858,946 
  Wells Fargo & Co.   125,794    3,610,288 
           33,749,987 
  Beverages 3.7%          
  Coca-Cola Co.   199,450    8,825,662 
  Coca-Cola European Partners PLC   198,465    7,448,391 
  Molson Coors Beverage Co., Class B   96,675    3,771,292 
  PepsiCo., Inc.   71,827    8,626,423 
           28,671,768 
  Biotechnology 3.2%          
  AbbVie, Inc.   168,768    12,858,434 
  Amgen, Inc.   61,757    12,519,997 
           25,378,431 
  Capital Markets 2.8%          
  BlackRock, Inc.   21,249    9,348,923 
  CME Group, Inc.   50,473    8,727,286 
  Lazard, Ltd., Class A   169,669    3,997,402 
           22,073,611 
  Chemicals 2.8%          
  Dow, Inc.   244,976    7,163,098 
  LyondellBasell Industries N.V., Class A   142,173    7,056,046 
  Nutrien, Ltd.   232,012    7,874,487 
           22,093,631 
  Commercial Services & Supplies 2.0%          
  Republic Services, Inc.   104,440    7,839,266 
  Waste Management, Inc.   83,474    7,726,354 
           15,565,620 
  Communications Equipment 1.4%          
  Cisco Systems, Inc.   276,867    10,883,642 
             
  Containers & Packaging 0.9%          
  Amcor PLC   873,985    7,096,758 
             
  Diversified Telecommunication Services 4.0%          
  AT&T, Inc.   455,185    13,268,643 
  Verizon Communications, Inc.   339,440    18,238,111 
           31,506,754 
  Electric Utilities 9.9%          
  Alliant Energy Corp.   118,417    5,718,357 
  American Electric Power Co., Inc.   140,550    11,241,189 
  Duke Energy Corp.   161,125    13,031,790 
  Entergy Corp.   151,923    14,276,204 
  Evergy, Inc.   129,288    7,117,305 
  Eversource Energy   72,215    5,647,935 
  FirstEnergy Corp.   312,093    12,505,567 
  PPL Corp.   309,827    7,646,530 
           77,184,877 
  Electrical Equipment 2.4%          
  Eaton Corp. PLC   135,501    10,527,073 
  Emerson Electric Co.   181,297    8,638,802 
           19,165,875 
  Equity Real Estate Investment Trusts 1.9%          
  Iron Mountain, Inc.   329,037    7,831,081 
  Welltower, Inc.   149,089    6,825,294 
           14,656,375 
  Food & Staples Retailing 1.4%          
  Walmart, Inc.   95,295    10,827,418 
             
  Food Products 0.5%          
  McCormick & Co., Inc.   30,601    4,321,167 
             
  Health Care Equipment & Supplies 1.0%          
  Medtronic PLC   89,699    8,089,056 
             
  Health Care Providers & Services 2.3%          
  CVS Health Corp.   125,426    7,441,524 
  UnitedHealth Group, Inc.   43,484    10,844,040 
           18,285,564 
  Hotels, Restaurants & Leisure 2.0%          
  Las Vegas Sands Corp.   164,839    7,000,712 
  McDonald’s Corp.   51,249    8,474,022 
           15,474,734 
  Household Durables 0.4%          
  Leggett & Platt, Inc.   131,618    3,511,568 
             
  Household Products 4.3%          
  Colgate-Palmolive Co.   76,098    5,049,863 
  Kimberly-Clark Corp.   109,067    13,946,398 
  Procter & Gamble Co.   131,828    14,501,080 
           33,497,341 
  Industrial Conglomerates 1.2%          
  Honeywell International, Inc.   71,438    9,557,690 
             
  Insurance 5.1%          
  Allianz S.E., Sponsored ADR   418,539    7,094,236 
  Arthur J. Gallagher & Co.   120,359    9,810,462 
  Marsh & McLennan Cos., Inc.   61,732    5,337,349 
  MetLife, Inc.   357,902    10,941,064 
  Travelers Cos., Inc.   66,003    6,557,398 
           39,740,509 
  IT Services 1.9%          
  Automatic Data Processing, Inc.   34,942    4,775,873 
  International Business Machines Corp.   47,367    5,254,421 
  Paychex, Inc.   77,262    4,861,325 
           14,891,619 
  Media 0.7%          
  Comcast Corp., Class A   166,561    5,726,367 
             
  Multi-Utilities 6.3%          
  Ameren Corp.   121,912    8,878,851 
  CenterPoint Energy, Inc.   490,713    7,581,516 
  CMS Energy Corp.   89,686    5,269,053 
  Dominion Energy, Inc.   163,455    11,799,816 
  NiSource, Inc.   195,292    4,876,441 
  WEC Energy Group, Inc.   126,571    11,154,702 
           49,560,379 
  Multiline Retail 1.2%          
  Target Corp.   97,452    9,060,112 
             
  Oil, Gas & Consumable Fuels 4.0%          
  Chevron Corp.   92,016    6,667,479 
  Enterprise Products Partners, L.P.   462,810    6,618,183 
  Exxon Mobil Corp.   173,550    6,589,694 
  Magellan Midstream Partners, L.P.   148,297    5,411,358 
  Phillips 66   107,885    5,788,030 
           31,074,744 
  Pharmaceuticals 7.3%          
  Eli Lilly & Co.   31,306    4,342,769 
  Johnson & Johnson   142,870    18,734,543 
  Merck & Co., Inc.   223,463    17,193,243 
  Pfizer, Inc.   511,614    16,699,081 
           56,969,636 
  Semiconductors & Semiconductor Equipment 5.2%          
  Analog Devices, Inc.   69,109    6,195,622 
  Broadcom, Inc.   19,750    4,682,725 
  Intel Corp.   157,828    8,541,651 
  KLA Corp.   40,378    5,803,934 
  Microchip Technology, Inc.   64,062    4,343,404 
  Texas Instruments, Inc.   114,535    11,445,482 
           41,012,818 
  Software 2.2%          
  Microsoft Corp.   109,487    17,267,195 
             
  Specialty Retail 0.9%          
  Home Depot, Inc.   36,495    6,813,981 
             
  Technology Hardware, Storage & Peripherals 0.7%          
  Apple, Inc.   20,965    5,331,190 
             
  Textiles, Apparel & Luxury Goods 0.4%          
  Hanesbrands, Inc.   368,065    2,896,672 
             
  Tobacco 3.8%          
  Altria Group, Inc.   297,922    11,520,644 
  British American Tobacco PLC, Sponsored ADR   239,553    8,190,317 
  Philip Morris International, Inc.   137,442    10,027,768 
           29,738,729 
  Trading Companies & Distributors 0.8%          
  Watsco, Inc.   37,272    5,890,094 
             
  Total Common Stocks
(Cost $845,253,146)
        758,139,420 
             
  Short-Term Investment 3.0%          
  Affiliated Investment Company 3.0%          
  MainStay U.S. Government Liquidity Fund, 0.09% (a)   23,411,945    23,411,945 
  Total Short-Term Investment
(Cost $23,411,945)
        23,411,945 
  Total Investments
(Cost $868,665,091)
   99.8%   781,551,365 
  Other Assets, Less Liabilities   0.2    1,552,676 
  Net Assets   100.0%  $783,104,041 
 
Percentages indicated are based on Portfolio net assets.
(a) Current yield as of March 31, 2020.

   
The following abbreviation is used in the preceding pages:
ADR —American Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:
 
Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   

Significant
Oter

Observable
Inputs
(Level 2)

 

   Significant
Unobservable
Inputs
(Level 3)
    Total  
Asset Valuation Inputs                    
Investments in Securities (a)                    
Common Stocks  $758,139,420   $   $   $758,139,420 
Short-Term Investment                    
Affiliated Investment Company   23,411,945            23,411,945 
Total Investments in Securities  $781,551,365   $   $   $781,551,365 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

 

 

MainStay VP MacKay S&P 500 Index Portfolio  

 

Portfolio of Investments March 31, 2020 (Unaudited)  

 

      Shares       Value  
  Common Stocks 93.9% †  
  Aerospace & Defense 1.9%    
  Boeing Co.     48,484     $ 7,230,904  
  General Dynamics Corp.     21,220       2,807,618  
  Howmet Aerospace, Inc.     35,133       564,236  
  Huntington Ingalls Industries, Inc.     3,749       683,105  
  L3Harris Technologies, Inc.     19,808       3,567,817  
  Lockheed Martin Corp.     22,539       7,639,594  
  Northrop Grumman Corp.     14,271       4,317,691  
  Raytheon Co.     25,258       3,312,587  
  Textron, Inc.     20,872       556,656  
  TransDigm Group, Inc.     4,502       1,441,495  
  United Technologies Corp.     73,962       6,976,836  
        39,098,539  
  Air Freight & Logistics 0.5%    
  C.H. Robinson Worldwide, Inc.     12,278       812,804  
  Expeditors International of Washington, Inc.     15,484       1,033,093  
  FedEx Corp.     21,767       2,639,466  
  United Parcel Service, Inc., Class B     63,870       5,966,735  
        10,452,098  
  Airlines 0.2%    
  Alaska Air Group, Inc.     11,181       318,323  
  American Airlines Group, Inc.     35,943       438,145  
  Delta Air Lines, Inc.     52,484       1,497,369  
  Southwest Airlines Co.     43,171       1,537,319  
  United Airlines Holdings, Inc. (a)     20,039       632,231  
        4,423,387  
  Auto Components 0.1%    
  Aptiv PLC     23,236       1,144,141  
  BorgWarner, Inc.     18,730       456,450  
        1,600,591  
  Automobiles 0.2%    
  Ford Motor Co.     355,439       1,716,770  
  General Motors Co.     113,952       2,367,923  
  Harley-Davidson, Inc.     14,215       269,090  
        4,353,783  
  Banks 3.8%    
  Bank of America Corp.     717,421       15,230,848  
  Citigroup, Inc.     192,375       8,102,835  
  Citizens Financial Group, Inc.     39,623       745,309  
  Comerica, Inc.     13,139       385,498  
  Fifth Third Bancorp     64,682       960,528  
  First Republic Bank     15,619       1,285,131  
  Huntington Bancshares, Inc.     94,128       772,791  
  JPMorgan Chase & Co.     280,731       25,274,212  
  KeyCorp     89,774       930,956  
  M&T Bank Corp.     12,027       1,243,953  
  People’s United Financial, Inc.     39,612       437,713  
  PNC Financial Services Group, Inc.     39,153       3,747,725  
  Regions Financial Corp.     87,922       788,660  
  SVB Financial Group (a)     4,675       706,299  
  Truist Financial Corp.     121,630       3,751,069  
  U.S. Bancorp     126,528       4,358,890  
  Wells Fargo & Co.     340,725       9,778,807  
  Zions Bancorp., N.A.     15,062       403,059  
        78,904,283  
  Beverages 1.8%    
  Brown-Forman Corp., Class B     16,508       916,359  
  Coca-Cola Co.     352,886       15,615,206  
  Constellation Brands, Inc., Class A     15,168       2,174,484  
  Molson Coors Beverage Co., Class B     17,037       664,613  
  Monster Beverage Corp. (a)     35,087       1,973,995  
  PepsiCo., Inc.     126,809       15,229,761  
        36,574,418  
  Biotechnology 2.3%    
  AbbVie, Inc.     134,094       10,216,622  
  Alexion Pharmaceuticals, Inc. (a)     20,337       1,826,059  
  Amgen, Inc.     54,016       10,950,664  
  Biogen, Inc. (a)     15,896       5,029,176  
  Gilead Sciences, Inc.     114,862       8,587,083  
  Incyte Corp. (a)     16,190       1,185,594  
  Regeneron Pharmaceuticals, Inc. (a)     7,248       3,539,126  
  Vertex Pharmaceuticals, Inc. (a)     23,678       5,634,180  
        46,968,504  
  Building Products 0.3%    
  A.O. Smith Corp.     12,548       474,440  
  Allegion PLC     8,469       779,317  
  Fortune Brands Home & Security, Inc.     12,687       548,713  
  Johnson Controls International PLC     70,311       1,895,584  
  Masco Corp.     25,894       895,156  
  Trane Technologies PLC     21,910       1,809,547  
        6,402,757  
  Capital Markets 2.5%    
  Ameriprise Financial, Inc.     11,255       1,153,412  
  Bank of New York Mellon Corp.     73,553       2,477,265  
  BlackRock, Inc.     10,655       4,687,880  
  Cboe Global Markets, Inc.     10,129       904,013  
  Charles Schwab Corp.     103,933       3,494,228  
  CME Group, Inc.     32,663       5,647,759  
  E*TRADE Financial Corp.     20,569       705,928  
  Franklin Resources, Inc.     25,581       426,947  
  Goldman Sachs Group, Inc.     28,412       4,392,211  
  Intercontinental Exchange, Inc.     50,828       4,104,361  
  Invesco, Ltd.     33,923       308,021  
  MarketAxess Holdings, Inc.     3,425       1,139,052  
  Moody’s Corp.     14,757       3,121,106  
  Morgan Stanley     105,762       3,595,908  
  MSCI, Inc.     7,682       2,219,791  
  Nasdaq, Inc.     10,455       992,702  
  Northern Trust Corp.     19,312       1,457,284  
  Raymond James Financial, Inc.     11,207       708,282  
  S&P Global, Inc.     22,339       5,474,172  
  State Street Corp.     32,360       1,723,817  
  T. Rowe Price Group, Inc.     21,556       2,104,944  
        50,839,083  
  Chemicals 1.6%    
  Air Products & Chemicals, Inc.     19,985       3,989,206  
  Albemarle Corp.     9,613       541,885  
  Celanese Corp.     11,017       808,538  
  CF Industries Holdings, Inc.     19,802       538,614  
  Corteva, Inc. (a)     67,922       1,596,167  
  Dow, Inc. (a)     67,407       1,970,981  
  DuPont de Nemours, Inc.     67,613       2,305,603  
  Eastman Chemical Co.     12,425       578,756  
  Ecolab, Inc.     22,706       3,538,276  
  FMC Corp.     11,830       966,393  
  International Flavors & Fragrances, Inc.     9,684       988,543  
  Linde PLC     49,030       8,482,190  
  LyondellBasell Industries N.V., Class A     23,412       1,161,938  
  Mosaic Co.     32,197       348,371  
  PPG Industries, Inc.     21,431       1,791,632  
  Sherwin-Williams Co.     7,447       3,422,045  
        33,029,138  
  Commercial Services & Supplies 0.4%    
  Cintas Corp.     7,641       1,323,574  
  Copart, Inc. (a)     18,644       1,277,487  
  Republic Services, Inc.     19,200       1,441,152  
  Rollins, Inc.     12,772       461,580  
  Waste Management, Inc.     35,398       3,276,439  
        7,780,232  
  Communications Equipment 0.9%    
  Arista Networks, Inc. (a)     4,936       999,787  
  Cisco Systems, Inc.     385,033       15,135,647  
  F5 Networks, Inc. (a)     5,453       581,453  
  Juniper Networks, Inc.     30,507       583,904  
  Motorola Solutions, Inc.     15,616       2,075,679  
        19,376,470  
  Construction & Engineering 0.1%    
  Jacobs Engineering Group, Inc.     12,151       963,210  
  Quanta Services, Inc.     12,896       409,190  
        1,372,400  
  Construction Materials 0.1%    
  Martin Marietta Materials, Inc.     5,663       1,071,609  
  Vulcan Materials Co.     11,998       1,296,624  
        2,368,233  
  Consumer Finance 0.4%    
  American Express Co.     61,157       5,235,651  
  Capital One Financial Corp.     41,774       2,106,245  
  Discover Financial Services     28,571       1,019,128  
  Synchrony Financial     51,357       826,334  
        9,187,358  
  Containers & Packaging 0.3%    
  Amcor PLC (a)     147,337       1,196,376  
  Avery Dennison Corp.     7,636       777,879  
  Ball Corp.     29,816       1,927,903  
  International Paper Co.     35,629       1,109,131  
  Packaging Corp. of America     8,585       745,436  
  Sealed Air Corp.     14,015       346,311  
  WestRock Co.     23,340       659,588  
        6,762,624  
  Distributors 0.1%    
  Genuine Parts Co.     13,249       892,055  
  LKQ Corp. (a)     27,953       573,316  
        1,465,371  
  Diversified Consumer Services 0.0% ‡  
  H&R Block, Inc.     18,204       256,312  
 
  Diversified Financial Services 1.6%    
  Berkshire Hathaway, Inc., Class B (a)     177,842       32,514,853  
 
  Diversified Telecommunication Services 1.9%    
  AT&T, Inc.     655,065       19,095,145  
  CenturyLink, Inc.     89,036       842,281  
  Verizon Communications, Inc.     375,977       20,201,244  
        40,138,670  
  Electric Utilities 2.1%    
  Alliant Energy Corp.     22,378       1,080,634  
  American Electric Power Co., Inc.     44,786       3,581,984  
  Duke Energy Corp.     66,941       5,414,188  
  Edison International     33,112       1,814,207  
  Entergy Corp.     18,033       1,694,561  
  Evergy, Inc.     20,772       1,143,499  
  Eversource Energy     30,133       2,356,702  
  Exelon Corp.     88,119       3,243,660  
  FirstEnergy Corp.     48,975       1,962,428  
  NextEra Energy, Inc.     44,328       10,666,203  
  NRG Energy, Inc.     22,945       625,481  
  Pinnacle West Capital Corp.     10,185       771,921  
  PPL Corp.     68,896       1,700,353  
  Southern Co.     95,587       5,175,080  
  Xcel Energy, Inc.     47,558       2,867,748  
        44,098,649  
  Electrical Equipment 0.4%    
  AMETEK, Inc.     20,710       1,491,534  
  Eaton Corp. PLC     37,680       2,927,359  
  Emerson Electric Co.     55,787       2,658,251  
  Rockwell Automation, Inc.     10,612       1,601,457  
        8,678,601  
  Electronic Equipment, Instruments & Components 0.5%    
  Amphenol Corp., Class A     27,224       1,984,085  
  CDW Corp.     13,149       1,226,407  
  Corning, Inc.     70,101       1,439,875  
  FLIR Systems, Inc.     12,299       392,215  
  IPG Photonics Corp. (a)     3,233       356,535  
  Keysight Technologies, Inc. (a)     17,013       1,423,648  
  TE Connectivity, Ltd.     30,468       1,918,875  
  Zebra Technologies Corp., Class A (a)     4,902       900,007  
        9,641,647  
  Energy Equipment & Services 0.2%    
  Baker Hughes Co.     58,839       617,810  
  Halliburton Co.     79,444       544,191  
  Helmerich & Payne, Inc.     9,925       155,326  
  National Oilwell Varco, Inc.     34,999       344,040  
  Schlumberger, Ltd.     125,434       1,692,105  
  TechnipFMC PLC     38,065       256,558  
        3,610,030  
  Entertainment 1.9%    
  Activision Blizzard, Inc.     69,566       4,137,786  
  Electronic Arts, Inc. (a)     26,728       2,677,344  
  Live Nation Entertainment, Inc. (a)     12,810       582,342  
  Netflix, Inc. (a)     39,710       14,911,105  
  Take-Two Interactive Software, Inc. (a)     10,265       1,217,532  
  Walt Disney Co.     163,853       15,828,200  
        39,354,309  
  Equity Real Estate Investment Trusts 2.8%    
  Alexandria Real Estate Equities, Inc.     11,149       1,528,082  
  American Tower Corp.     40,372       8,791,003  
  Apartment Investment & Management Co., Class A     13,503       474,630  
  AvalonBay Communities, Inc.     12,845       1,890,399  
  Boston Properties, Inc.     13,106       1,208,766  
  Crown Castle International Corp.     37,707       5,444,891  
  Digital Realty Trust, Inc.     21,702       3,014,625  
  Duke Realty Corp.     33,502       1,084,795  
  Equinix, Inc.     7,772       4,854,158  
  Equity Residential     31,617       1,951,085  
  Essex Property Trust, Inc.     6,023       1,326,505  
  Extra Space Storage, Inc.     11,804       1,130,351  
  Federal Realty Investment Trust     6,402       477,653  
  Healthpeak Properties, Inc.     46,157       1,100,844  
  Host Hotels & Resorts, Inc.     66,200       730,848  
  Iron Mountain, Inc.     26,040       619,752  
  Kimco Realty Corp.     39,436       381,346  
  Mid-America Apartment Communities, Inc.     10,343       1,065,639  
  Prologis, Inc.     67,125       5,394,836  
  Public Storage     13,619       2,704,870  
  Realty Income Corp.     32,601       1,625,486  
  Regency Centers Corp.     15,197       584,021  
  SBA Communications Corp.     10,259       2,769,622  
  Simon Property Group, Inc.     27,936       1,532,569  
  SL Green Realty Corp.     7,117       306,743  
  UDR, Inc.     26,559       970,466  
  Ventas, Inc.     33,792       905,626  
  Vornado Realty Trust     14,364       520,120  
  Welltower, Inc.     37,474       1,715,560  
  Weyerhaeuser Co.     67,562       1,145,176  
        57,250,467  
  Food & Staples Retailing 1.6%    
  Costco Wholesale Corp.     40,267       11,481,330  
  Kroger Co.     72,449       2,182,164  
  Sysco Corp.     46,543       2,123,757  
  Walgreens Boots Alliance, Inc.     68,806       3,147,875  
  Walmart, Inc.     128,983       14,655,048  
        33,590,174  
  Food Products 1.2%    
  Archer-Daniels-Midland Co.     50,515       1,777,118  
  Campbell Soup Co.     15,295       706,017  
  Conagra Brands, Inc.     44,133       1,294,862  
  General Mills, Inc.     55,087       2,906,941  
  Hershey Co.     13,511       1,790,208  
  Hormel Foods Corp.     25,183       1,174,535  
  J.M. Smucker Co.     10,344       1,148,184  
  Kellogg Co.     22,553       1,352,954  
  Kraft Heinz Co.     56,431       1,396,103  
  Lamb Weston Holdings, Inc.     13,212       754,405  
  McCormick & Co., Inc.     11,263       1,590,448  
  Mondelez International, Inc., Class A     130,798       6,550,364  
  Tyson Foods, Inc., Class A     26,726       1,546,634  
        23,988,773  
  Gas Utilities 0.1%    
  Atmos Energy Corp.     11,166       1,108,002  
 
  Health Care Equipment & Supplies 3.5%    
  Abbott Laboratories     161,186       12,719,187  
  ABIOMED, Inc. (a)     4,115       597,333  
  Align Technology, Inc. (a)     6,592       1,146,678  
  Baxter International, Inc.     46,306       3,759,584  
  Becton Dickinson & Co.     24,651       5,664,060  
  Boston Scientific Corp. (a)     126,338       4,122,409  
  Cooper Cos., Inc.     4,497       1,239,688  
  Danaher Corp.     56,590       7,832,622  
  DENTSPLY SIRONA, Inc.     20,333       789,530  
  Edwards Lifesciences Corp. (a)     18,862       3,557,751  
  Hologic, Inc. (a)     24,046       844,015  
  IDEXX Laboratories, Inc. (a)     7,808       1,891,410  
  Intuitive Surgical, Inc. (a)     10,453       5,176,430  
  Medtronic PLC     121,684       10,973,463  
  ResMed, Inc.     13,207       1,945,259  
  STERIS PLC     7,707       1,078,749  
  Stryker Corp.     29,347       4,885,982  
  Teleflex, Inc.     4,193       1,227,962  
  Varian Medical Systems, Inc. (a)     8,259       847,869  
  Zimmer Biomet Holdings, Inc.     18,747       1,894,947  
        72,194,928  
  Health Care Providers & Services 2.8%    
  AmerisourceBergen Corp.     13,793       1,220,681  
  Anthem, Inc.     23,202       5,267,782  
  Cardinal Health, Inc.     26,659       1,278,033  
  Centene Corp. (a)     52,934       3,144,809  
  Cigna Corp. (a)     33,948       6,014,907  
  CVS Health Corp.     117,951       6,998,033  
  DaVita, Inc. (a)     8,222       625,365  
  HCA Healthcare, Inc.     24,122       2,167,362  
  Henry Schein, Inc. (a)     13,095       661,559  
  Humana, Inc.     12,070       3,790,221  
  Laboratory Corp. of America Holdings (a)     8,861       1,119,942  
  McKesson Corp.     14,659       1,982,776  
  Quest Diagnostics, Inc.     12,214       980,784  
  UnitedHealth Group, Inc.     86,128       21,478,601  
  Universal Health Services, Inc., Class B     7,368       730,021  
        57,460,876  
  Health Care Technology 0.1%    
  Cerner Corp.     28,877       1,818,962  
 
  Hotels, Restaurants & Leisure 1.4%    
  Carnival Corp.     36,316       478,282  
  Chipotle Mexican Grill, Inc. (a)     2,313       1,513,627  
  Darden Restaurants, Inc.     11,139       606,630  
  Hilton Worldwide Holdings, Inc.     25,718       1,754,996  
  Las Vegas Sands Corp.     30,702       1,303,914  
  Marriott International, Inc., Class A     24,794       1,854,839  
  McDonald’s Corp.     68,463       11,320,357  
  MGM Resorts International     44,971       530,658  
  Norwegian Cruise Line Holdings, Ltd. (a)     19,554       214,312  
  Royal Caribbean Cruises, Ltd.     15,585       501,369  
  Starbucks Corp.     107,363       7,058,044  
  Wynn Resorts, Ltd.     8,784       528,709  
  Yum! Brands, Inc.     27,598       1,891,291  
        29,557,028  
  Household Durables 0.3%    
  D.R. Horton, Inc.     30,523       1,037,782  
  Garmin, Ltd.     13,103       982,201  
  Leggett & Platt, Inc.     11,923       318,106  
  Lennar Corp., Class A     25,794       985,331  
  Mohawk Industries, Inc. (a)     5,432       414,136  
  Newell Brands, Inc.     34,561       458,970  
  NVR, Inc. (a)     317       814,408  
  PulteGroup, Inc.     23,378       521,797  
  Whirlpool Corp.     5,762       494,379  
        6,027,110  
  Household Products 1.8%    
  Church & Dwight Co., Inc.     22,410       1,438,274  
  Clorox Co.     11,405       1,975,916  
  Colgate-Palmolive Co.     77,818       5,164,002  
  Kimberly-Clark Corp.     31,218       3,991,846  
  Procter & Gamble Co.     225,523       24,807,530  
        37,377,568  
  Independent Power & Renewable Electricity Producers 0.0% ‡  
  AES Corp.     60,209       818,842  
     
  Industrial Conglomerates 1.2%    
  3M Co.     52,176       7,122,546  
  General Electric Co.     791,515       6,284,629  
  Honeywell International, Inc.     64,958       8,690,731  
  Roper Technologies, Inc.     9,691       3,021,750  
        25,119,656  
  Insurance 1.9%    
  Aflac, Inc.     65,985       2,259,326  
  Allstate Corp.     28,943       2,654,941  
  American International Group, Inc.     78,897       1,913,252  
  Aon PLC     21,390       3,530,206  
  Arthur J. Gallagher & Co.     17,191       1,401,238  
  Assurant, Inc.     5,544       577,075  
  Chubb, Ltd.     41,335       4,616,706  
  Cincinnati Financial Corp.     13,777       1,039,475  
  Everest Re Group, Ltd.     3,695       710,992  
  Globe Life, Inc.     9,103       655,143  
  Hartford Financial Services Group, Inc.     32,794       1,155,661  
  Lincoln National Corp.     18,157       477,892  
  Loews Corp.     22,602       787,228  
  Marsh & McLennan Cos., Inc.     45,921       3,970,330  
  MetLife, Inc.     71,247       2,178,021  
  Principal Financial Group, Inc.     23,516       736,991  
  Progressive Corp.     53,026       3,915,440  
  Prudential Financial, Inc.     36,460       1,901,024  
  Travelers Cos., Inc.     23,616       2,346,250  
  Unum Group     18,922       284,019  
  Willis Towers Watson PLC     11,699       1,987,075  
  WR Berkley Corp.     13,125       684,731  
        39,783,016  
  Interactive Media & Services 4.9%    
  Alphabet, Inc. (a)        
  Class C        27,172       31,595,873  
  Class A        27,239       31,650,356  
  Facebook, Inc., Class A (a)     218,768       36,490,502  
  Twitter, Inc. (a)     70,110       1,721,902  
        101,458,633  
  Internet & Direct Marketing Retail 3.9%    
  Amazon.com, Inc. (a)     37,860       73,816,399  
  Booking Holdings, Inc. (a)     3,805       5,118,942  
  eBay, Inc.     69,700       2,095,182  
  Expedia Group, Inc.     12,684       713,729  
        81,744,252  
  IT Services 5.2%    
  Accenture PLC, Class A     57,786       9,434,142  
  Akamai Technologies, Inc. (a)     14,730       1,347,648  
  Alliance Data Systems Corp.     3,871       130,259  
  Automatic Data Processing, Inc.     39,357       5,379,315  
  Broadridge Financial Solutions, Inc.     10,449       990,879  
  Cognizant Technology Solutions Corp., Class A     50,090       2,327,682  
  DXC Technology Co.     23,759       310,055  
  Fidelity National Information Services, Inc.     55,637       6,767,685  
  Fiserv, Inc. (a)     51,771       4,917,727  
  FleetCor Technologies, Inc. (a)     7,852       1,464,712  
  Gartner, Inc. (a)     8,175       813,985  
  Global Payments, Inc.     27,193       3,922,046  
  International Business Machines Corp.     80,345       8,912,671  
  Jack Henry & Associates, Inc.     6,984       1,084,196  
  Leidos Holdings, Inc.     12,128       1,111,531  
  Mastercard, Inc., Class A     80,702       19,494,375  
  Paychex, Inc.     29,007       1,825,121  
  PayPal Holdings, Inc. (a)     106,720       10,217,373  
  VeriSign, Inc. (a)     9,447       1,701,310  
  Visa, Inc., Class A     155,620       25,073,494  
  Western Union Co.     38,445       697,008  
        107,923,214  
  Leisure Products 0.0% ‡  
  Hasbro, Inc.     11,598       829,837  
     
  Life Sciences Tools & Services 1.0%    
  Agilent Technologies, Inc.     28,067       2,010,158  
  Illumina, Inc. (a)     13,333       3,641,509  
  IQVIA Holdings, Inc. (a)     16,523       1,782,171  
  Mettler-Toledo International, Inc. (a)     2,231       1,540,528  
  PerkinElmer, Inc.     10,074       758,371  
  Thermo Fisher Scientific, Inc.     36,549       10,365,296  
  Waters Corp. (a)     5,676       1,033,316  
        21,131,349  
  Machinery 1.3%    
  Caterpillar, Inc.     50,372       5,845,167  
  Cummins, Inc.     13,724       1,857,132  
  Deere & Co.     28,557       3,945,435  
  Dover Corp.     13,191       1,107,252  
  Flowserve Corp.     11,897       284,219  
  Fortive Corp.     26,779       1,477,933  
  IDEX Corp.     6,879       950,059  
  Illinois Tool Works, Inc.     26,698       3,794,320  
  Ingersoll Rand, Inc. (a)     31,435       779,588  
  PACCAR, Inc.     31,414       1,920,338  
  Parker-Hannifin Corp.     11,649       1,511,225  
  Pentair PLC     15,241       453,572  
  Snap-On, Inc.     5,007       544,862  
  Stanley Black & Decker, Inc.     14,066       1,406,600  
  Westinghouse Air Brake Technologies Corp.     16,517       794,963  
  Xylem, Inc.     16,328       1,063,442  
        27,736,107  
  Media 1.2%    
  Charter Communications, Inc., Class A (a)     13,999       6,107,904  
  Comcast Corp., Class A     412,707       14,188,867  
  Discovery, Inc. (a)        
  Class A   (b)     14,333       278,633  
  Class C        30,572       536,233  
  DISH Network Corp., Class A (a)     23,305       465,867  
  Fox Corp.        
  Class A        31,490       744,109  
  Class B   (a)     14,727       336,954  
  Interpublic Group of Cos., Inc.     35,119       568,576  
  News Corp.        
  Class A        35,415       317,850  
  Class B        11,044       99,285  
  Omnicom Group, Inc.     19,728       1,083,067  
  ViacomCBS, Inc., Class B     48,821       683,982  
        25,411,327  
  Metals & Mining 0.3%    
  Freeport-McMoRan, Inc.     131,590       888,233  
  Newmont Corp.     74,361       3,367,066  
  Nucor Corp.     27,496       990,406  
        5,245,705  
  Multi-Utilities 1.0%    
  Ameren Corp.     22,293       1,623,599  
  CenterPoint Energy, Inc.     45,549       703,732  
  CMS Energy Corp.     25,738       1,512,107  
  Consolidated Edison, Inc.     30,125       2,349,750  
  Dominion Energy, Inc.     76,530       5,524,701  
  DTE Energy Co.     17,509       1,662,830  
  NiSource, Inc.     34,910       871,703  
  Public Service Enterprise Group, Inc.     45,860       2,059,572  
  Sempra Energy     25,627       2,895,595  
  WEC Energy Group, Inc.     28,609       2,521,311  
        21,724,900  
  Multiline Retail 0.5%    
  Dollar General Corp.     23,315       3,520,798  
  Dollar Tree, Inc. (a)     21,461       1,576,740  
  Kohl’s Corp.     14,432       210,563  
  Macy’s, Inc. (b)     28,017       137,563  
  Nordstrom, Inc. (b)     9,695       148,721  
  Target Corp.     46,340       4,308,230  
        9,902,615  
  Oil, Gas & Consumable Fuels 2.3%    
  Apache Corp.     34,098       142,530  
  Cabot Oil & Gas Corp.     37,947       652,309  
  Chevron Corp.     172,180       12,476,163  
  Concho Resources, Inc.     18,237       781,455  
  ConocoPhillips     99,751       3,072,331  
  Devon Energy Corp.     35,273       243,736  
  Diamondback Energy, Inc.     14,788       387,446  
  EOG Resources, Inc.     52,637       1,890,721  
  Exxon Mobil Corp.     384,643       14,604,895  
  Hess Corp.     23,473       781,651  
  HollyFrontier Corp.     13,732       336,571  
  Kinder Morgan, Inc.     176,575       2,457,924  
  Marathon Oil Corp.     72,923       239,917  
  Marathon Petroleum Corp.     59,707       1,410,279  
  Noble Energy, Inc.     43,376       261,991  
  Occidental Petroleum Corp.     81,126       939,439  
  ONEOK, Inc.     37,455       816,893  
  Phillips 66     40,682       2,182,589  
  Pioneer Natural Resources Co.     15,160       1,063,474  
  Valero Energy Corp.     37,585       1,704,856  
  Williams Cos., Inc.     109,926       1,555,453  
        48,002,623  
  Personal Products 0.2%    
  Coty, Inc., Class A     26,678       137,658  
  Estee Lauder Cos., Inc., Class A     20,285       3,232,212  
        3,369,870  
  Pharmaceuticals 4.8%    
  Allergan PLC     29,752       5,269,079  
  Bristol-Myers Squibb Co.     206,167       11,491,749  
  Eli Lilly & Co.     77,054       10,688,931  
  Johnson & Johnson     240,765       31,571,514  
  Merck & Co., Inc.     231,451       17,807,840  
  Mylan N.V. (a)     46,788       697,609  
  Perrigo Co. PLC     12,340       593,431  
  Pfizer, Inc.     503,097       16,421,086  
  Zoetis, Inc.     43,312       5,097,389  
        99,638,628  
  Professional Services 0.3%    
  Equifax, Inc.     10,964       1,309,650  
  IHS Markit, Ltd.     36,379       2,182,740  
  Nielsen Holdings PLC     32,258       404,515  
  Robert Half International, Inc.     10,513       396,866  
  Verisk Analytics, Inc.     14,829       2,066,866  
        6,360,637  
  Real Estate Management & Development 0.1%    
  CBRE Group, Inc., Class A (a)     30,505       1,150,344  
     
  Road & Rail 0.9%    
  CSX Corp.     71,306       4,085,834  
  J.B. Hunt Transport Services, Inc.     7,747       714,506  
  Kansas City Southern     8,781       1,116,768  
  Norfolk Southern Corp.     23,890       3,487,940  
  Old Dominion Freight Line, Inc.     8,706       1,142,749  
  Union Pacific Corp.     63,273       8,924,024  
        19,471,821  
  Semiconductors & Semiconductor Equipment 4.2%    
  Advanced Micro Devices, Inc. (a)     106,348       4,836,707  
  Analog Devices, Inc.     33,504       3,003,634  
  Applied Materials, Inc.     83,781       3,838,845  
  Broadcom, Inc.     36,481       8,649,645  
  Intel Corp.     390,598       21,139,164  
  KLA Corp.     14,444       2,076,180  
  Lam Research Corp.     13,108       3,145,920  
  Maxim Integrated Products, Inc.     24,604       1,196,000  
  Microchip Technology, Inc.     21,590       1,463,802  
  Micron Technology, Inc. (a)     100,111       4,210,669  
  NVIDIA Corp.     55,636       14,665,649  
  Qorvo, Inc. (a)     10,682       861,290  
  QUALCOMM, Inc.     103,572       7,006,646  
  Skyworks Solutions, Inc.     15,573       1,391,915  
  Texas Instruments, Inc.     84,676       8,461,673  
  Xilinx, Inc.     22,911       1,785,683  
        87,733,422  
  Software 8.1%    
  Adobe, Inc. (a)     44,028       14,011,471  
  ANSYS, Inc. (a)     7,628       1,773,281  
  Autodesk, Inc. (a)     19,916       3,108,888  
  Cadence Design Systems, Inc. (a)     25,409       1,678,010  
  Citrix Systems, Inc.     10,464       1,481,179  
  Fortinet, Inc. (a)     12,872       1,302,260  
  Intuit, Inc.     23,588       5,425,240  
  Microsoft Corp.     693,522       109,375,355  
  NortonLifeLock, Inc.     50,444       943,807  
  Oracle Corp.     193,340       9,344,122  
  Paycom Software, Inc. (a)     4,459       900,763  
  salesforce.com, Inc. (a)     81,736       11,768,349  
  ServiceNow, Inc. (a)     16,992       4,869,567  
  Synopsys, Inc. (a)     13,630       1,755,408  
        167,737,700  
  Specialty Retail 2.1%    
  Advance Auto Parts, Inc.     6,474       604,154  
  AutoZone, Inc. (a)     2,171       1,836,666  
  Best Buy Co., Inc.     21,037       1,199,109  
  CarMax, Inc. (a)     15,018       808,419  
  Gap, Inc. (b)     19,427       136,766  
  Home Depot, Inc.     99,327       18,545,344  
  L Brands, Inc.     21,057       243,419  
  Lowe’s Cos., Inc.     69,999       6,023,414  
  O’Reilly Automotive, Inc. (a)     6,940       2,089,287  
  Ross Stores, Inc.     33,076       2,876,620  
  Tiffany & Co.     9,860       1,276,870  
  TJX Cos., Inc.     109,646       5,242,175  
  Tractor Supply Co.     10,817       914,577  
  Ulta Beauty Inc. (a)     5,337       937,711  
        42,734,531  
  Technology Hardware, Storage & Peripherals 5.0%    
  Apple, Inc. (c)     379,694       96,552,387  
  Hewlett Packard Enterprise Co.     118,413       1,149,790  
  HP, Inc.     130,900       2,272,424  
  NetApp, Inc.     20,199       842,096  
  Seagate Technology PLC     21,071       1,028,265  
  Western Digital Corp.     26,847       1,117,372  
  Xerox Holdings Corp. (a)     17,260       326,905  
        103,289,239  
  Textiles, Apparel & Luxury Goods 0.6%    
  Capri Holdings, Ltd. (a)     13,747       148,330  
  Hanesbrands, Inc.     32,791       258,065  
  NIKE, Inc., Class B     113,540       9,394,300  
  PVH Corp.     6,725       253,129  
  Ralph Lauren Corp.     4,533       302,940  
  Tapestry, Inc.     25,150       325,693  
  Under Armour, Inc. (a)        
  Class C        17,627       142,074  
  Class A        17,064       157,159  
  VF Corp.     29,613       1,601,471  
        12,583,161  
  Tobacco 0.8%    
  Altria Group, Inc.     169,430       6,551,858  
  Philip Morris International, Inc.     141,810       10,346,458  
        16,898,316  
  Trading Companies & Distributors 0.2%    
  Fastenal Co.     52,008       1,625,250  
  United Rentals, Inc. (a)     6,998       720,094  
  W.W. Grainger, Inc.     4,009       996,237  
        3,341,581  
  Water Utilities 0.1%    
  American Water Works Co., Inc.     16,384       1,958,871  
                   
  Wireless Telecommunication Services 0.1%    
  T-Mobile U.S., Inc. (a)     28,674       2,405,749  
                   
  Total Common Stocks(d)
(Cost $914,585,399)
      1,945,132,174  
             
  Short-Term Investments 6.5%  
  Affiliated Investment Company 0.3%    
  MainStay U.S. Government Liquidity Fund, 0.09% (e)     6,785,173       6,785,173  
  Total Affiliated Investment Company
(Cost $6,785,173)
      6,785,173  

             
  Principal Amount          
  U.S. Government & Federal Agencies 6.2%  
  United States Treasury Bills 6.2% (f)  
    (zero coupon), due 4/30/20     1,600,000       1,600,063  
    1.50%, due 4/30/20 (c)   $ 200,000       199,763  
    1.52%, due 4/30/20 (c)     100,000       99,880  
    1.536%, due 4/30/20 (c)     3,000,000       2,996,354  
    1.57%, due 4/30/20 (c)     100,000       99,876  
    0.043%, due 7/2/20     6,700,000       6,698,288  
    0.101%, due 7/2/20     56,800,000       56,785,484  
    0.123%, due 7/2/20     3,900,000       3,899,003  
    0.259%, due 7/2/20     300,000       299,923  
    0.404%, due 7/2/20     41,400,000       41,389,420  
    0.521%, due 7/2/20     2,900,000       2,899,259  
    0.646%, due 7/2/20     1,600,000       1,599,591  
    0.004%, due 7/30/20 (c)     1,000,000       999,707  
    0.388%, due 7/30/20 (c)     1,000,000       999,708  
    0.562%, due 7/30/20 (c)     500,000       499,854  
    0.077%, due 7/30/20 (c)     6,300,000       6,298,157  
  Total U.S. Government & Federal Agencies
(Cost $127,351,109)
  127,364,330  
         

  Shares          
  Unaffiliated Investment Company 0.0% ‡  
  State Street Navigator Securities Lending Government Money Market Portfolio, 1.56% (e)(g)     304,505       304,505  
  Total Unaffiliated Investment Company
(Cost $304,505)
    304,505  
  Total Short-Term Investments
(Cost $134,440,787)
    134,454,008  
  Total Investments
(Cost $1,049,026,186)
  100.4 %     2,079,586,182  
  Other Assets, Less Liabilities   (0.4 )      (7,445,835 )
  Net Assets   100.0 %   $ 2,072,140,347  
   

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $706,877; the total market value of collateral held by the Portfolio was $767,448. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $462,943.  
(c) Represents a security which was maintained at the broker as collateral for futures contracts.
(d) The combined market value of common stocks and notional value of Standard & Poor’s 500 Index futures contracts represents 100.2% of the Portfolio’s net assets.
(e) Current yield as of March 31, 2020.
(f) Interest rate shown represents yield to maturity.
(g) Represents a security purchased with cash collateral received for securities on loan.

 

As of March 31, 2020, the Portfolio held the following futures contracts:

 

Type   Number of
Contracts
  Expiration
Date
    Value at
Trade Date
  Current
Notional
Amount
Unrealized
Appreciation
(Depreciation)1
 
Long Contracts      
S&P 500 Index Mini   976   June 2020   $ 118,031,137   $ 125,401,360   $ 7,370,223  

 

1.Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                 
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Common Stocks  $1,945,132,174   $   $   $1,945,132,174 
Short-Term Investments                    
Affiliated Investment Company   6,785,173            6,785,173 
U.S. Government & Federal Agencies       127,364,330        127,364,330 
Unaffiliated Investment Company   304,505            304,505 
Total Short-Term Investments   7,089,678    127,364,330        134,454,008 
Total Investments in Securities   1,952,221,852    127,364,330        2,079,586,182 
Other Financial Instruments
Futures Contracts (b)
   7,370,223            7,370,223 
Total Investments in Securities and Other Financial Instruments  $1,959,592,075   $127,364,330   $   $2,086,956,405 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay Small Cap Core Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 97.2% †
  Aerospace & Defense 1.5%          
  AAR Corp.   31,000   $550,560 
  Aerojet Rocketdyne Holdings, Inc. (a)   1,200    51,920 
  Axon Enterprise, Inc. (a)   12,000    849,240 
  Ducommun, Inc. (a)   4,900    121,765 
  Maxar Technologies, Inc. (a)   1,100    12,039 
  Mercury Systems, Inc. (a)   11,200    799,008 
  Moog, Inc., Class A   23,100    1,167,243 
  Park Aerospace Corp.   8,800    108,298 
  Parsons Corp. (a)   1,100    35,156 
  Vectrus, Inc. (a)   27,300    1,130,493 
           4,825,722 
  Air Freight & Logistics 0.1%          
  Hub Group, Inc., Class A (a)   9,700    441,059 
             
  Auto Components 0.1%          
  LCI Industries   4,000    267,320 
             
  Automobiles 0.3%          
  Winnebago Industries, Inc.   31,100    864,891 
             
  Banks 7.3%          
  Amalgamated Bank, Class A   14,400    155,808 
  Bancorp, Inc. (a)   145,800    885,006 
  Bank of N.T. Butterfield & Son, Ltd.   63,300    1,077,999 
  BCB Bancorp, Inc.   33,900    361,035 
  Boston Private Financial Holdings, Inc.   109,000    779,350 
  Bridge Bancorp, Inc.   32,990    698,068 
  Cadence Bancorp   98,900    647,795 
  Capstar Financial Holdings, Inc.   13,200    130,548 
  Cathay General Bancorp   11,200    257,040 
  Central Pacific Financial Corp.   6,000    95,400 
  Century Bancorp, Inc., Class A   8,300    516,592 
  Civista Bancshares, Inc.   16,200    242,352 
  ConnectOne Bancorp, Inc.   100    1,344 
  Customers Bancorp, Inc. (a)   73,700    805,541 
  Dime Community Bancshares, Inc.   10,300    141,213 
  Eagle Bancorp, Inc.   31,400    948,594 
  Esquire Financial Holdings, Inc. (a)   700    10,535 
  Farmers National Banc Corp.   11,400    132,582 
  Financial Institutions, Inc.   46,400    841,696 
  First BanCorp   164,800    876,736 
  First Business Financial Services, Inc.   19,800    306,900 
  First Financial Corp.   1,200    40,464 
  First Financial Northwest, Inc.   13,900    139,556 
  First Foundation, Inc.   96,300    984,186 
  First Internet Bancorp   43,300    710,986 
  First Merchants Corp.   22,400    593,376 
  First Midwest Bancorp, Inc.   34,500    456,608 
  First Northwest Bancorp   12,600    136,962 
  First of Long Island Corp.   18,400    319,240 
  Flushing Financial Corp.   77,800    1,039,408 
  Franklin Financial Network, Inc.   3,000    61,170 
  Great Southern Bancorp, Inc.   1,200    48,480 
  Hancock Whitney Corp.   28,948    565,065 
  Hanmi Financial Corp.   17,300    187,705 
  HBT Financial, Inc.   4,200    44,226 
  Hilltop Holdings, Inc.   47,900    724,248 
  Horizon Bancorp, Inc.   1,400    13,804 
  International Bancshares Corp.   6,700    180,096 
  Investar Holding Corp.   900    11,493 
  Investors Bancorp, Inc.   164,700    1,315,953 
  Lakeland Bancorp, Inc.   39,300    424,833 
  LCNB Corp.   2,600    32,760 
  Level One Bancorp, Inc.   495    8,910 
  Macatawa Bank Corp.   2,600    18,198 
  Mercantile Bank Corp.   600    12,180 
  Metrocity Bankshares, Inc.   800    9,193 
  Metropolitan Bank Holding Corp. (a)   23,200    624,776 
  MidWestOne Financial Group, Inc.   13,700    286,878 
  Northeast Bank (a)   6,400    74,624 
  Northrim BanCorp, Inc.   900    24,300 
  OFG Bancorp   35,200    393,536 
  Orrstown Financial Services, Inc.   12,700    174,879 
  Pacific Premier Bancorp, Inc.   2,800    52,752 
  PCB Bancorp   15,500    151,590 
  Peapack-Gladstone Financial Corp.   40,300    723,385 
  Preferred Bank / Los Angeles CA   2,300    77,786 
  QCR Holdings, Inc.   9,200    249,044 
  RBB Bancorp   50,000    686,000 
  Republic Bancorp, Inc., Class A   12,400    409,572 
  SB One Bancorp   1,600    27,200 
  Sierra Bancorp   500    8,790 
  SmartFinancial, Inc.   23,000    349,830 
  South Plains Financial, Inc.   14,100    218,409 
  UMB Financial Corp.   20,600    955,428 
  WesBanco, Inc.   27,800    658,860 
  West Bancorp., Inc.   4,100    67,035 
           24,205,908 
  Beverages 1.0%          
  Boston Beer Co., Inc., Class A (a)   5,000    1,837,800 
  Coca-Cola Consolidated, Inc.   6,500    1,355,445 
           3,193,245 
  Biotechnology 9.0%          
  ACADIA Pharmaceuticals, Inc. (a)   30,700    1,297,075 
  Acceleron Pharma, Inc. (a)   13,702    1,231,399 
  Aimmune Therapeutics, Inc. (a)(b)   3,300    47,586 
  Allakos, Inc. (a)(b)   7,600    338,124 
  Amicus Therapeutics, Inc. (a)   119,940    1,108,246 
  Apellis Pharmaceuticals, Inc. (a)   18,200    487,578 
  Arena Pharmaceuticals, Inc. (a)   18,683    784,686 
  Arrowhead Pharmaceuticals, Inc. (a)   26,400    759,528 
  Atara Biotherapeutics, Inc. (a)   40,200    342,102 
  Biohaven Pharmaceutical Holding Co., Ltd. (a)   13,600    462,808 
  Blueprint Medicines Corp. (a)   18,400    1,076,032 
  ChemoCentryx, Inc. (a)   14,300    574,574 
  Coherus Biosciences, Inc. (a)   12,300    199,506 
  Denali Therapeutics, Inc. (a)   9,200    161,092 
  Editas Medicine, Inc. (a)   31,300    620,679 
  Emergent BioSolutions, Inc. (a)   14,192    821,149 
  Enanta Pharmaceuticals, Inc. (a)   11,200    576,016 
  Epizyme, Inc. (a)   27,400    424,974 
  Esperion Therapeutics, Inc. (a)(b)   6,700    211,251 
  Fate Therapeutics, Inc. (a)   11,000    244,310 
  FibroGen, Inc. (a)   27,819    966,710 
  Forty Seven, Inc. (a)   6,800    648,856 
  Global Blood Therapeutics, Inc. (a)   18,400    940,056 
  Halozyme Therapeutics, Inc. (a)   53,100    955,269 
  Heron Therapeutics, Inc. (a)   35,400    415,596 
  Immunomedics, Inc. (a)   59,400    800,712 
  Insmed, Inc. (a)   36,690    588,141 
  Intercept Pharmaceuticals, Inc. (a)   9,200    579,232 
  Invitae Corp. (a)(b)   7,800    106,626 
  Iovance Biotherapeutics, Inc. (a)   35,100    1,050,718 
  Ironwood Pharmaceuticals, Inc. (a)(b)   53,852    543,367 
  Kodiak Sciences, Inc. (a)   8,500    405,450 
  Ligand Pharmaceuticals, Inc. (a)(b)   7,527    547,363 
  Madrigal Pharmaceuticals, Inc. (a)   5,700    380,532 
  Mirati Therapeutics, Inc. (a)   8,700    668,769 
  Momenta Pharmaceuticals, Inc. (a)   29,669    806,997 
  Myriad Genetics, Inc. (a)   27,110    387,944 
  Natera, Inc. (a)   22,100    659,906 
  Portola Pharmaceuticals, Inc. (a)   49,842    355,373 
  Principia Biopharma, Inc. (a)   3,600    213,768 
  Prothena Corp. PLC (a)   34,207    366,015 
  PTC Therapeutics, Inc. (a)   22,900    1,021,569 
  Ra Pharmaceuticals, Inc. (a)   12,300    590,523 
  Radius Health, Inc. (a)   28,133    365,729 
  REGENXBIO, Inc. (a)   15,500    501,890 
  Retrophin, Inc. (a)   33,100    482,929 
  Sangamo Therapeutics, Inc. (a)   68,100    433,797 
  Turning Point Therapeutics, Inc. (a)   10,100    451,066 
  Ultragenyx Pharmaceutical, Inc. (a)   19,244    855,011 
  Vanda Pharmaceuticals, Inc. (a)   31,500    326,340 
  Veracyte, Inc. (a)   8,000    194,480 
  Xencor, Inc. (a)   17,231    514,862 
           29,894,311 
  Building Products 2.7%          
  Advanced Drainage Systems, Inc.   29,600    871,424 
  American Woodmark Corp. (a)   1,200    54,684 
  Builders FirstSource, Inc. (a)   79,700    974,731 
  Cornerstone Building Brands, Inc. (a)   49,000    223,440 
  CSW Industrials, Inc.   13,700    888,445 
  Insteel Industries, Inc.   9,200    121,900 
  JELD-WEN Holding, Inc. (a)   47,300    460,229 
  Masonite International Corp. (a)   23,500    1,115,075 
  Patrick Industries, Inc.   14,800    416,768 
  PGT Innovations, Inc. (a)   4,900    41,111 
  Quanex Building Products Corp.   5,700    57,456 
  Simpson Manufacturing Co., Inc.   18,700    1,159,026 
  Trex Co., Inc. (a)   14,600    1,170,044 
  Universal Forest Products, Inc.   39,900    1,483,881 
           9,038,214 
  Capital Markets 2.4%          
  Ares Management Corp., Class A   40,500    1,252,665 
  Artisan Partners Asset Management, Inc., Class A   54,400    1,169,056 
  B. Riley Financial, Inc.   6,800    125,256 
  Brightsphere Investment Group, Inc. (a)   130,400    833,256 
  Cohen & Steers, Inc.   8,600    390,870 
  Federated Hermes, Inc.   50,300    958,215 
  GAMCO Investors, Inc., Class A   4,700    51,653 
  Houlihan Lokey, Inc.   8,500    443,020 
  INTL FCStone, Inc. (a)   31,300    1,134,938 
  Oppenheimer Holdings, Inc., Class A   4,400    86,944 
  Stifel Financial Corp.   33,400    1,378,752 
  Waddell & Reed Financial, Inc., Class A   13,000    147,940 
           7,972,565 
  Chemicals 0.7%          
  Advanced Emissions Solutions, Inc. (b)   13,400    88,038 
  AdvanSix, Inc. (a)   2,800    26,712 
  Hawkins, Inc.   3,000    106,800 
  Innospec, Inc.   4,600    319,654 
  Koppers Holdings, Inc. (a)   2,000    24,740 
  Omnova Solutions, Inc. (a)   700    7,098 
  Orion Engineered Carbons S.A.   79,900    596,054 
  PolyOne Corp.   21,500    407,855 
  Tredegar Corp.   41,300    645,519 
           2,222,470 
  Commercial Services & Supplies 1.9%          
  ACCO Brands Corp.   138,200    697,910 
  Casella Waste Systems, Inc., Class A (a)   8,800    343,728 
  Herman Miller, Inc.   52,100    1,156,620 
  HNI Corp.   21,300    536,547 
  Kimball International, Inc., Class B   57,300    682,443 
  Knoll, Inc.   64,400    664,608 
  McGrath RentCorp.   23,600    1,236,168 
  Steelcase, Inc., Class A   96,200    949,494 
           6,267,518 
  Communications Equipment 2.0%          
  ADTRAN, Inc.   102,000    783,360 
  Calix, Inc. (a)   49,900    353,292 
  Comtech Telecommunications Corp.   36,000    478,440 
  DASAN Zhone Solutions, Inc. (a)   10,100    42,319 
  Digi International, Inc. (a)   12,700    121,158 
  Extreme Networks, Inc. (a)   125,400    387,486 
  Infinera Corp. (a)   27,100    143,630 
  InterDigital, Inc.   1,200    55,762 
  Lumentum Holdings, Inc. (a)   15,800    1,164,460 
  NETGEAR, Inc. (a)   2,200    50,248 
  NetScout Systems, Inc. (a)   61,300    1,450,971 
  Plantronics, Inc.   7,900    79,474 
  Ribbon Communications, Inc. (a)   173,600    526,008 
  Viavi Solutions, Inc. (a)   93,800    1,051,498 
           6,688,106 
  Construction & Engineering 1.8%          
  Arcosa, Inc.   39,900    1,585,626 
  Comfort Systems USA, Inc.   36,400    1,330,420 
  EMCOR Group, Inc.   29,100    1,784,412 
  Great Lakes Dredge & Dock Corp. (a)   31,200    258,960 
  IES Holdings, Inc. (a)   100    1,765 
  MasTec, Inc. (a)   3,800    124,374 
  MYR Group, Inc. (a)   24,900    652,131 
  Sterling Construction Co., Inc. (a)   16,100    152,950 
  Willscot Corp. (a)   6,100    61,793 
           5,952,431 
  Construction Materials 0.1%          
  Forterra, Inc. (a)   28,600    171,028 
  Summit Materials, Inc., Class A (a)   16,300    244,500 
           415,528 
  Consumer Finance 0.1%          
  Elevate Credit, Inc. (a)   18,600    19,344 
  Enova International, Inc. (a)   31,500    456,435 
           475,779 
  Diversified Consumer Services 0.8%          
  Chegg, Inc. (a)   19,500    697,710 
  Collectors Universe, Inc.   7,200    112,824 
  K12, Inc. (a)   39,500    744,970 
  Select Interior Concepts, Inc., Class A (a)   79,000    163,530 
  WW International, Inc. (a)   48,300    816,753 
           2,535,787 
  Diversified Financial Services 0.6%          
  Alerus Financial Corp.   1,800    29,736 
  Cannae Holdings, Inc. (a)   39,600    1,326,204 
  FGL Holdings   61,500    602,700 
  Marlin Business Services Corp.   4,500    50,265 
           2,008,905 
  Diversified Telecommunication Services 1.0%          
  ATN International, Inc.   9,100    534,261 
  Bandwidth, Inc., Class A (a)   2,500    168,225 
  Cincinnati Bell, Inc. (a)   57,300    838,872 
  Cogent Communications Holdings, Inc.   13,100    1,073,807 
  Consolidated Communications Holdings, Inc.   13,000    59,150 
  IDT Corp., Class B (a)   124,700    675,874 
  Iridium Communications Inc (a)   4,400    99,961 
  Ooma, Inc. (a)   1,800    21,474 
           3,471,624 
  Electric Utilities 0.8%          
  Portland General Electric Co.   41,300    1,979,922 
  Spark Energy, Inc., Class A (b)   80,600    505,362 
           2,485,284 
  Electrical Equipment 2.1%          
  Allied Motion Technologies, Inc.   6,200    146,940 
  Atkore International Group, Inc. (a)   50,200    1,057,714 
  AZZ, Inc.   38,100    1,071,372 
  Bloom Energy Corp., Class A (a)(b)   2,300    12,029 
  Encore Wire Corp.   28,700    1,205,113 
  Generac Holdings, Inc. (a)   24,600    2,291,982 
  Plug Power, Inc. (a)(b)   39,800    140,892 
  Powell Industries, Inc.   32,500    834,275 
  Preformed Line Products Co.   2,600    129,558 
  Sunrun, Inc. (a)   19,800    199,980 
  TPI Composites, Inc. (a)   600    8,605 
  Vivint Solar, Inc. (a)   2,000    8,740 
           7,107,200 
  Electronic Equipment, Instruments & Components 2.2%          
  Anixter International, Inc. (a)   9,500    834,765 
  Arlo Technologies, Inc. (a)   5,400    13,122 
  Bel Fuse, Inc., Class B   18,400    179,216 
  Benchmark Electronics, Inc.   36,300    725,637 
  ePlus, Inc. (a)   15,400    964,348 
  Fitbit, Inc., Class A (a)   6,600    43,956 
  II-VI, Inc. (a)   4,400    126,636 
  Itron, Inc. (a)   5,000    279,150 
  KEMET Corp.   1,900    46,773 
  Kimball Electronics, Inc. (a)   43,500    475,020 
  Methode Electronics, Inc.   15,200    401,736 
  Novanta, Inc. (a)   2,900    231,652 
  Plexus Corp. (a)   3,800    207,328 
  Rogers Corp. (a)   2,300    217,166 
  Sanmina Corp. (a)   56,874    1,551,523 
  ScanSource, Inc. (a)   13,400    286,626 
  Tech Data Corp. (a)   2,100    274,785 
  Vishay Intertechnology, Inc.   33,600    484,176 
           7,343,615 
  Energy Equipment & Services 0.1%          
  Cactus, Inc., Class A   4,300    49,880 
  Matrix Service Co. (a)   33,500    317,245 
  ProPetro Holding Corp. (a)   44,300    110,750 
           477,875 
  Entertainment 0.0% ‡          
  Glu Mobile, Inc. (a)   14,000    88,060 
  Marcus Corp.   1,900    23,408 
           111,468 
  Equity Real Estate Investment Trusts 6.5%          
  Agree Realty Corp.   9,400    581,860 
  Alexander’s, Inc.   1,000    275,950 
  American Assets Trust, Inc.   14,000    350,000 
  American Finance Trust, Inc.   12,400    77,500 
  Armada Hoffler Properties, Inc.   1,800    19,260 
  BRT Apartments Corp.   300    3,075 
  Community Healthcare Trust, Inc.   15,100    578,028 
  CorEnergy Infrastructure Trust, Inc.   22,800    419,064 
  Corepoint Lodging, Inc.   16,300    63,896 
  Diversified Healthcare Trust   117,800    427,614 
  EastGroup Properties, Inc.   14,500    1,514,960 
  First Industrial Realty Trust, Inc.   50,500    1,678,115 
  Four Corners Property Trust, Inc.   45,500    851,305 
  GEO Group, Inc.   63,827    776,136 
  Global Medical REIT, Inc.   16,000    161,920 
  Healthcare Realty Trust, Inc.   10,900    304,437 
  Industrial Logistics Properties Trust   48,000    841,920 
  Innovative Industrial Properties, Inc.   1,400    106,302 
  Lexington Realty Trust   131,400    1,304,802 
  LTC Properties, Inc.   7,200    219,056 
  Monmouth Real Estate Investment Corp.   35,100    422,955 
  National Health Investors, Inc.   20,200    1,000,304 
  National Storage Affiliates Trust   6,400    189,440 
  New Senior Investment Group, Inc.   21,700    55,552 
  Physicians Realty Trust   60,900    848,946 
  Piedmont Office Realty Trust, Inc., Class A   58,300    1,029,578 
  PotlatchDeltic Corp.   25,500    800,445 
  PS Business Parks, Inc.   6,900    935,088 
  QTS Realty Trust, Inc., Class A   12,600    730,926 
  Retail Value, Inc.   15,980    195,755 
  Rexford Industrial Realty, Inc.   40,800    1,673,208 
  RLJ Lodging Trust   44,900    346,628 
  Ryman Hospitality Properties, Inc.   14,400    516,240 
  Sabra Health Care REIT, Inc.   76,000    829,920 
  Safehold, Inc.   700    44,261 
  STAG Industrial, Inc.   8,900    200,428 
  Sunstone Hotel Investors, Inc.   58,800    512,148 
  Terreno Realty Corp.   8,400    434,700 
  Uniti Group, Inc.   28,700    173,061 
  Universal Health Realty Income Trust   1,000    100,810 
  Urstadt Biddle Properties, Inc., Class A   2,900    40,890 
           21,636,483 
  Food & Staples Retailing 0.6%          
  Ingles Markets, Inc., Class A   18,200    658,112 
  Natural Grocers by Vitamin Cottage, Inc.   9,200    78,292 
  Performance Food Group Co. (a)   27,300    674,856 
  PriceSmart, Inc.   1,200    63,060 
  Rite Aid Corp. (a)(b)   7,700    115,500 
  SpartanNash Co.   25,600    366,592 
           1,956,412 
  Food Products 1.5%          
  Alico, Inc.   1,400    43,456 
  Darling Ingredients, Inc. (a)   82,400    1,579,608 
  Fresh Del Monte Produce, Inc.   33,100    913,891 
  Freshpet, Inc. (a)   6,500    415,155 
  John B. Sanfilippo & Son, Inc.   11,700    1,045,980 
  Seneca Foods Corp., Class A (a)   17,400    692,172 
  Simply Good Foods Co. (a)   11,400    219,564 
           4,909,826 
  Health Care Equipment & Supplies 4.2%          
  Axonics Modulation Technologies, Inc. (a)   400    10,075 
  Cerus Corp. (a)   8,000    37,200 
  CONMED Corp.   16,500    944,955 
  Cryoport, Inc. (a)(b)   900    15,363 
  Cutera, Inc. (a)   13,200    172,392 
  Glaukos Corp. (a)   1,400    43,204 
  Globus Medical, Inc., Class A (a)   38,100    1,620,393 
  Haemonetics Corp. (a)   16,600    1,654,356 
  Integer Holdings Corp. (a)   22,400    1,408,064 
  Irhythm Technologies, Inc. (a)   4,500    366,075 
  Lantheus Holdings, Inc. (a)   23,300    297,308 
  Meridian Bioscience, Inc.   9,200    77,280 
  Natus Medical, Inc. (a)   18,900    437,157 
  Neogen Corp. (a)   4,400    294,756 
  Nevro Corp. (a)   7,000    699,860 
  Novocure, Ltd. (a)   19,600    1,319,864 
  NuVasive, Inc. (a)   30,700    1,555,262 
  Quidel Corp. (a)   21,000    2,054,010 
  Shockwave Medical, Inc. (a)   2,500    82,950 
  Silk Road Medical, Inc. (a)   200    6,296 
  Tactile Systems Technology, Inc. (a)   500    20,080 
  Tandem Diabetes Care, Inc. (a)   11,100    714,285 
  Varex Imaging Corp. (a)   9,100    206,661 
  Zynex, Inc. (a)   3,900    42,536 
           14,080,382 
  Health Care Providers & Services 2.9%          
  Amedisys, Inc. (a)   13,400    2,459,436 
  AMN Healthcare Services, Inc. (a)   27,500    1,589,775 
  Corvel Corp. (a)   11,100    605,061 
  Cross Country Healthcare, Inc. (a)   15,700    105,818 
  Ensign Group, Inc.   7,300    274,553 
  Hanger, Inc. (a)   30,900    481,422 
  Magellan Health, Inc. (a)   11,400    548,454 
  National Healthcare Corp.   12,500    896,625 
  R1 RCM, Inc. (a)   6,100    55,449 
  RadNet, Inc. (a)   44,100    463,491 
  Select Medical Holdings Corp. (a)   79,700    1,195,500 
  Tenet Healthcare Corp. (a)   68,900    992,160 
           9,667,744 
  Health Care Technology 2.5%          
  Computer Programs & Systems, Inc.   12,900    287,025 
  HealthStream, Inc. (a)   45,300    1,084,935 
  HMS Holdings Corp. (a)   50,000    1,263,500 
  Inovalon Holdings, Inc., Class A (a)   79,000    1,316,140 
  Inspire Medical Systems, Inc. (a)   1,300    78,364 
  Livongo Health, Inc. (a)   2,000    57,163 
  NextGen Healthcare, Inc. (a)   15,000    156,600 
  Omnicell, Inc. (a)   24,800    1,626,384 
  Phreesia, Inc. (a)   400    8,381 
  Tabula Rasa Healthcare, Inc. (a)(b)   2,200    115,038 
  Teladoc Health, Inc. (a)   15,400    2,387,154 
           8,380,684 
  Hotels, Restaurants & Leisure 1.1%          
  BBX Capital Corp.   19,900    45,969 
  Biglari Holdings, Inc., Class B (a)   190    9,766 
  Bloomin’ Brands, Inc.   32,900    234,906 
  Century Casinos, Inc. (a)   11,700    28,197 
  Churchill Downs, Inc.   9,100    936,845 
  Cracker Barrel Old Country Store, Inc.   1,100    91,542 
  Denny’s Corp. (a)   23,900    183,552 
  Eldorado Resorts, Inc. (a)(b)   6,900    99,360 
  Everi Holdings, Inc. (a)   104,400    344,520 
  J. Alexander’s Holdings, Inc. (a)   31,200    119,496 
  RCI Hospitality Holdings, Inc.   17,600    175,472 
  Red Rock Resorts, Inc., Class A   15,700    134,235 
  Ruth’s Hospitality Group, Inc.   26,000    173,680 
  Shake Shack, Inc., Class A (a)   4,900    184,926 
  Texas Roadhouse, Inc.   18,700    772,310 
  Wingstop, Inc.   1,200    95,640 
           3,630,416 
  Household Durables 1.7%          
  Bassett Furniture Industries, Inc.   3,200    17,440 
  Beazer Homes USA, Inc. (a)   103,300    665,252 
  Green Brick Partners, Inc. (a)   48,000    386,400 
  Helen of Troy, Ltd. (a)   1,700    244,851 
  Installed Building Products, Inc. (a)   24,100    960,867 
  KB Home   24,400    441,640 
  M/I Homes, Inc. (a)   24,000    396,720 
  Meritage Homes Corp. (a)   1,100    40,856 
  Skyline Champion Corp. (a)   12,000    188,160 
  Taylor Morrison Home Corp. (a)   50,300    553,300 
  TopBuild Corp. (a)   9,200    659,088 
  TRI Pointe Group, Inc. (a)   113,600    996,272 
  Universal Electronics, Inc. (a)   3,700    141,969 
           5,692,815 
  Household Products 0.4%          
  Central Garden & Pet Co., Class A (a)   53,400    1,365,438 
             
  Independent Power & Renewable Electricity Producers 0.9%          
  Atlantic Power Corp. (a)   69,900    149,586 
  Clearway Energy, Inc.          
  Class A   31,400    539,138 
  Class C   25,400    477,520 
  Ormat Technologies, Inc.   18,600    1,258,476 
  Sunnova Energy International, Inc. (a)   3,200    32,224 
  TerraForm Power, Inc., Class A   37,300    588,221 
           3,045,165 
  Insurance 2.1%          
  American Equity Investment Life Holding Co.   39,000    733,200 
  CNO Financial Group, Inc.   36,600    453,474 
  Crawford & Co.          
  Class A   29,600    213,120 
  Class B   1,700    10,863 
  Donegal Group, Inc., Class A   300    4,560 
  eHealth, Inc. (a)   4,300    605,526 
  Employers Holdings, Inc.   23,100    935,781 
  Enstar Group, Ltd. (a)   6,200    986,110 
  Genworth Financial, Inc., Class A (a)   333,800    1,108,216 
  Hallmark Financial Services, Inc. (a)   73,100    295,324 
  Horace Mann Educators Corp.   1,300    47,567 
  Kinsale Capital Group, Inc.   3,500    365,855 
  National General Holdings Corp.   17,900    296,245 
  Palomar Holdings, Inc. (a)   800    46,528 
  ProSight Global, Inc. (a)   1,100    10,725 
  Stewart Information Services Corp.   19,900    530,733 
  Third Point Reinsurance, Ltd. (a)   26,400    195,624 
  Tiptree, Inc.   13,100    68,382 
  Trupanion, Inc. (a)(b)   1,300    33,839 
           6,941,672 
  Interactive Media & Services 0.6%          
  Cargurus, Inc. (a)   13,500    255,690 
  DHI Group, Inc. (a)   206,900    446,904 
  Eventbrite, Inc., Class A (a)   1,700    12,410 
  Meet Group, Inc. (a)   121,500    713,205 
  Travelzoo (a)   61,000    239,730 
  Yelp, Inc. (a)   25,200    454,356 
           2,122,295 
  Internet & Direct Marketing Retail 0.8%          
  1-800-Flowers.com, Inc., Class A (a)   64,200    849,366 
  PetMed Express, Inc.   11,500    330,970 
  Realreal, Inc. (The) (a)   1,100    8,369 
  Stamps.com, Inc. (a)   11,900    1,547,952 
  Stitch Fix, Inc., Class A (a)(b)   1,100    13,970 
           2,750,627 
  IT Services 1.6%          
  Brightcove, Inc. (a)   10,600    73,882 
  CSG Systems International, Inc.   28,900    1,209,465 
  Endurance International Group Holdings, Inc. (a)   239,200    461,656 
  Limelight Networks, Inc. (a)   62,200    354,540 
  ManTech International Corp., Class A   14,500    1,053,715 
  Perspecta, Inc.   21,100    384,864 
  Science Applications International Corp.   16,400    1,223,932 
  TTEC Holdings, Inc.   1,200    44,064 
  Unisys Corp. (a)   24,000    296,400 
  Verra Mobility Corp. (a)   15,300    109,242 
           5,211,760 
  Leisure Products 0.8%          
  Acushnet Holdings Corp.   31,800    817,896 
  Malibu Boats, Inc., Class A (a)   35,700    1,027,803 
  Marine Products Corp.   900    7,272 
  MasterCraft Boat Holdings, Inc. (a)   90,700    662,110 
  Yeti Holdings, Inc. (a)   9,400    183,488 
           2,698,569 
  Life Sciences Tools & Services 1.1%          
  Luminex Corp.   3,800    103,312 
  Medpace Holdings, Inc. (a)   19,100    1,401,558 
  NanoString Technologies, Inc. (a)   3,200    76,960 
  NeoGenomics, Inc. (a)   17,500    483,175 
  Repligen Corp. (a)   10,600    1,023,324 
  Syneos Health, Inc. (a)   10,000    394,200 
           3,482,529 
  Machinery 1.9%          
  Blue Bird Corp. (a)   67,000    732,310 
  Commercial Vehicle Group, Inc. (a)   116,800    176,368 
  EnPro Industries, Inc.   300    12,305 
  Evoqua Water Technologies Corp. (a)   16,200    181,602 
  L.B. Foster Co., Class A (a)   43,300    535,188 
  Lydall, Inc. (a)   43,000    277,780 
  Meritor, Inc. (a)   71,000    940,750 
  Miller Industries, Inc.   13,300    376,124 
  Mueller Industries, Inc.   25,800    617,652 
  Navistar International Corp. (a)   56,400    930,036 
  Park-Ohio Holdings Corp.   15,000    284,100 
  Spartan Motors, Inc.   200    2,582 
  SPX Corp. (a)   38,400    1,253,376 
  Wabash National Corp.   2,900    20,938 
           6,341,111 
  Marine 0.1%          
  Costamare, Inc.   80,300    362,956 
             
  Media 0.3%          
  Cardlytics, Inc. (a)   1,600    55,936 
  Cumulus Media, Inc., Class A (a)   35,200    190,784 
  Emerald Expositions Events, Inc.   20,400    52,836 
  Entravision Communications Corp., Class A   252,500    512,575 
  Lee Enterprises, Inc. (a)   6,600    6,488 
  Tribune Publishing Co.   19,500    158,145 
           976,764 
  Metals & Mining 0.3%          
  Coeur Mining, Inc. (a)   6,800    21,828 
  Hecla Mining Co.   21,300    38,766 
  Novagold Resources, Inc. (a)   42,700    315,126 
  Olympic Steel, Inc.   6,100    63,135 
  Ryerson Holding Corp. (a)   37,500    199,500 
  Schnitzer Steel Industries, Inc., Class A   1,700    22,168 
  Warrior Met Coal, Inc.   2,900    29,515 
  Worthington Industries, Inc.   10,000    262,500 
           952,538 
  Mortgage Real Estate Investment Trusts 0.2%          
  Ellington Financial, Inc.   65,200    372,292 
  Exantas Capital Corp.   21,300    58,788 
  PennyMac Mortgage Investment Trust   33,500    355,770 
           786,850 
  Multiline Retail 0.0% ‡          
  Big Lots, Inc.   6,400    91,008 
             
  Oil, Gas & Consumable Fuels 1.8%          
  Amplify Energy Corp.   30,800    17,430 
  Arch Coal, Inc., Class A   4,100    118,490 
  Ardmore Shipping Corp.   27,800    145,950 
  CVR Energy, Inc.   19,400    320,682 
  Diamond S Shipping, Inc. (a)   89,100    1,052,271 
  Dorian LPG, Ltd. (a)   122,800    1,069,588 
  Hallador Energy Co.   43,200    40,992 
  International Seaways, Inc.   23,600    563,804 
  NACCO Industries, Inc., Class A   400    11,308 
  Nordic American Tankers, Ltd.   245,400    1,111,662 
  Par Pacific Holdings, Inc. (a)   18,900    134,190 
  Penn Virginia Corp. (a)   2,300    7,107 
  Talos Energy, Inc. (a)   13,000    74,750 
  Teekay Tankers, Ltd., Class A (a)   1,100    24,464 
  World Fuel Services Corp.   54,100    1,362,238 
           6,054,926 
  Paper & Forest Products 0.5%          
  Boise Cascade Co.   45,300    1,077,234 
  Neenah, Inc.   300    12,939 
  Verso Corp., Class A (a)   58,400    658,752 
           1,748,925 
  Personal Products 0.5%          
  LifeVantage Corp. (a)   27,500    283,250 
  Nature’s Sunshine Products, Inc. (a)   500    4,065 
  USANA Health Sciences, Inc. (a)   20,800    1,201,408 
           1,488,723 
  Pharmaceuticals 2.7%          
  Amneal Pharmaceuticals, Inc. (a)   3,700    12,876 
  Amphastar Pharmaceuticals, Inc. (a)   900    13,356 
  ANI Pharmaceuticals, Inc. (a)   3,200    130,368 
  Arvinas Holding Co. LLC (a)   3,200    128,960 
  Axsome Therapeutics, Inc. (a)   4,500    264,735 
  BioDelivery Sciences International, Inc. (a)   253,200    959,628 
  Collegium Pharmaceutical, Inc. (a)   19,600    320,068 
  Corcept Therapeutics, Inc. (a)   114,100    1,356,649 
  Endo International PLC (a)   49,500    183,150 
  Innoviva, Inc. (a)   106,700    1,254,792 
  Lannett Co., Inc. (a)(b)   21,300    148,035 
  Mallinckrodt PLC (a)(b)   8,900    17,622 
  Pacira BioSciences, Inc. (a)   38,700    1,297,611 
  Phibro Animal Health Corp., Class A   47,500    1,148,075 
  Prestige Consumer Healthcare, Inc. (a)   19,900    729,932 
  Reata Pharmaceuticals, Inc., Class A (a)   3,900    562,926 
  Revance Therapeutics, Inc. (a)   4,500    66,600 
  SIGA Technologies, Inc. (a)   22,600    108,028 
  Supernus Pharmaceuticals, Inc. (a)   16,200    291,438 
           8,994,849 
  Professional Services 0.3%          
  Barrett Business Services, Inc.   12,900    511,356 
  FTI Consulting, Inc. (a)   2,400    287,448 
  Insperity, Inc.   2,500    93,250 
           892,054 
  Real Estate 0.1%          
  Redfin Corp. (a)   14,500    223,590 
             
  Real Estate Management & Development 1.0%          
  Altisource Portfolio Solutions S.A. (a)(b)   73,500    563,745 
  Forestar Group, Inc. (a)   41,800    432,630 
  Marcus & Millichap, Inc. (a)   19,600    531,160 
  Newmark Group, Inc., Class A   199,500    847,875 
  RE/MAX Holdings, Inc., Class A   5,400    117,413 
  RMR Group, Inc., Class A   34,600    933,162 
           3,425,985 
  Road & Rail 0.3%          
  ArcBest Corp.   52,700    923,304 
  Universal Logistics Holdings, Inc.   2,400    31,440 
           954,744 
  Semiconductors & Semiconductor Equipment 4.9%          
  Advanced Energy Industries, Inc. (a)   23,068    1,118,567 
  Alpha & Omega Semiconductor, Ltd. (a)   42,200    270,502 
  Amkor Technology, Inc. (a)   141,600    1,103,064 
  Axcelis Technologies, Inc. (a)   63,300    1,159,023 
  Cabot Microelectronics Corp.   400    45,656 
  Cirrus Logic, Inc. (a)   30,100    1,975,463 
  Cohu, Inc.   29,600    366,448 
  Enphase Energy, Inc. (a)   19,500    629,655 
  FormFactor, Inc. (a)   70,000    1,406,300 
  Ichor Holdings, Ltd. (a)   42,700    818,132 
  Inphi Corp. (a)   10,000    791,700 
  Lattice Semiconductor Corp. (a)   5,900    105,720 
  MACOM Technology Solutions Holdings, Inc. (a)   1,300    25,119 
  NeoPhotonics Corp. (a)   84,800    614,800 
  Photronics, Inc. (a)   109,900    1,127,574 
  Rambus, Inc. (a)   85,600    950,160 
  Smart Global Holdings, Inc. (a)   34,200    831,060 
  Synaptics, Inc. (a)   24,320    1,407,398 
  Ultra Clean Holdings, Inc. (a)   14,600    201,480 
  Veeco Instruments, Inc. (a)   57,800    553,146 
  Xperi Corp.   55,600    773,396 
           16,274,363 
  Software 5.6%          
  8x8, Inc. (a)   14,300    198,198 
  A10 Networks, Inc. (a)   14,200    88,182 
  ACI Worldwide, Inc. (a)   22,400    540,960 
  Agilysys, Inc. (a)   26,900    449,230 
  Altair Engineering, Inc., Class A (a)(b)   1,100    29,150 
  American Software, Inc., Class A   13,100    186,151 
  AppFolio, Inc., Class A (a)   4,900    543,655 
  Appian Corp. (a)(b)   6,000    241,380 
  Avaya Holdings Corp. (a)(b)   105,900    856,731 
  Blackbaud, Inc.   8,200    455,510 
  Blackline, Inc. (a)   7,700    405,097 
  Bottomline Technologies, Inc. (a)   36,600    1,341,390 
  Box, Inc., Class A (a)   24,700    346,788 
  Cloudera, Inc. (a)   27,700    217,999 
  CommVault Systems, Inc. (a)   26,200    1,060,576 
  Cornerstone OnDemand, Inc. (a)   9,600    304,800 
  Digital Turbine, Inc. (a)   2,100    9,051 
  Envestnet, Inc. (a)   10,500    564,690 
  Everbridge, Inc. (a)   6,800    723,248 
  Five9, Inc. (a)   13,600    1,039,856 
  ForeScout Technologies, Inc. (a)   1,300    41,067 
  j2 Global, Inc.   4,800    359,280 
  LivePerson, Inc. (a)   4,900    111,475 
  MicroStrategy, Inc., Class A (a)   11,100    1,310,910 
  Model N, Inc. (a)   3,300    73,293 
  Progress Software Corp.   42,600    1,363,200 
  PROS Holdings, Inc. (a)   4,500    139,635 
  Q2 Holdings, Inc. (a)   8,200    484,292 
  Rapid7, Inc. (a)   9,200    398,636 
  SailPoint Technologies Holding, Inc. (a)   13,200    200,904 
  SecureWorks Corp., Class A (a)   1,700    19,567 
  SPS Commerce, Inc. (a)   30,900    1,437,159 
  SVMK, Inc. (a)   12,100    163,471 
  Synchronoss Technologies, Inc. (a)   137,400    419,070 
  Telenav, Inc. (a)   133,100    574,992 
  Tenable Holdings, Inc. (a)   3,400    74,324 
  TiVo Corp.   78,400    555,072 
  Upland Software, Inc. (a)   1,400    37,548 
  Varonis Systems, Inc. (a)   5,100    324,717 
  Verint Systems, Inc. (a)   7,600    326,800 
  Workiva, Inc. (a)   5,300    171,349 
  Yext, Inc. (a)   12,800    130,432 
  Zix Corp. (a)   48,800    210,328 
  Zuora, Inc., Class A (a)   9,100    73,255 
           18,603,418 
  Specialty Retail 2.5%          
  Aaron’s, Inc.   36,100    822,358 
  America’s Car-Mart, Inc. (a)   5,400    304,290 
  Asbury Automotive Group, Inc. (a)   9,900    546,777 
  Cato Corp., Class A   2,900    30,943 
  Citi Trends, Inc.   900    8,010 
  Group 1 Automotive, Inc.   17,600    778,976 
  Hibbett Sports, Inc. (a)   30,900    337,892 
  Lithia Motors, Inc., Class A   9,500    777,005 
  MarineMax, Inc. (a)   29,400    306,348 
  Murphy USA, Inc. (a)   18,400    1,552,224 
  Office Depot, Inc.   302,000    495,280 
  Rent-A-Center, Inc.   30,000    424,200 
  RH (a)   2,000    200,940 
  Signet Jewelers, Ltd.   16,500    106,425 
  Sleep Number Corp. (a)   34,900    668,684 
  Tilly’s, Inc., Class A   41,600    171,808 
  Zumiez, Inc. (a)   46,100    798,452 
           8,330,612 
  Technology Hardware, Storage & Peripherals 0.1%          
  Avid Technology, Inc. (a)   4,100    27,593 
  Diebold Nixdorf, Inc. (a)   115,600    406,912 
  Sonim Technologies, Inc. (a)(b)   200    140 
           434,645 
  Textiles, Apparel & Luxury Goods 1.1%          
  Crocs, Inc. (a)   34,300    582,757 
  Deckers Outdoor Corp. (a)   13,700    1,835,800 
  Rocky Brands, Inc.   46,200    893,970 
  Steven Madden, Ltd.   10,600    246,238 
           3,558,765 
  Thrifts & Mortgage Finance 1.7%          
  Bridgewater Bancshares, Inc. (a)   18,400    179,400 
  Essent Group, Ltd.   25,300    666,402 
  Flagstar Bancorp, Inc.   49,700    985,551 
  FS Bancorp, Inc.   13,400    482,400 
  HomeStreet, Inc.   3,700    82,251 
  Luther Burbank Corp.   42,100    386,057 
  Merchants Bancorp   39,900    605,682 
  Mr. Cooper Group, Inc. (a)   16,500    121,471 
  NMI Holdings, Inc., Class A (a)   12,600    146,286 
  OP Bancorp.   16,900    126,074 
  Provident Financial Services, Inc.   5,500    70,730 
  Radian Group, Inc.   104,300    1,350,685 
  Riverview Bancorp, Inc.   17,700    88,677 
  Sterling Bancorp, Inc.   44,300    190,490 
  Territorial Bancorp, Inc.   1,300    31,915 
  TrustCo Bank Corp.   10,300    55,723 
  WSFS Financial Corp.   600    14,952 
           5,584,746 
  Tobacco 0.8%          
  Universal Corp.   29,400    1,299,774 
  Vector Group, Ltd.   128,049    1,206,222 
           2,505,996 
  Trading Companies & Distributors 0.9%          
  BMC Stock Holdings, Inc. (a)   63,900    1,132,947 
  General Finance Corp. (a)   3,700    23,088 
  GMS, Inc. (a)   47,500    747,175 
  H&E Equipment Services, Inc.   27,900    409,572 
  Rush Enterprises, Inc., Class B   1,700    51,867 
  Siteone Landscape Supply, Inc. (a)   7,000    515,340 
  Systemax, Inc.   2,000    35,460 
           2,915,449 
  Water Utilities 1.7%          
  American States Water Co.   21,400    1,749,236 
  Artesian Resources Corp., Class A   6,300    235,494 
  California Water Service Group   14,000    704,480 
  Consolidated Water Co., Ltd.   51,400    842,960 
  Global Water Resources, Inc.   15,000    152,850 
  Middlesex Water Co.   7,000    420,840 
  Pure Cycle Corp. (a)   1,400    15,610 
  SJW Corp.   23,800    1,374,926 
  York Water Co.   4,500    195,570 
           5,691,966 
  Wireless Telecommunication Services 0.0% ‡          
  Boingo Wireless, Inc. (a)   2,200    23,342 
             
  Total Common Stocks
(Cost $433,494,593)
        323,057,967 
             
  Exchange-Traded Fund 2.7%          
  iShares Russell 2000 ETF (b)   78,765    9,015,442 
             
  Total Exchange-Traded Fund
(Cost $10,157,457)
        9,015,442 
             
  Short-Term Investments 1.9%          
  Affiliated Investment Company 0.5%          
  MainStay U.S. Government Liquidity Fund, 0.09% (c)   1,658,916    1,658,916 
             
  Unaffiliated Investment Company 1.4%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)   4,553,448    4,553,448 
             
  Total Short-Term Investments
(Cost $6,212,364)
        6,212,364 
  Total Investments
(Cost $449,864,414)
   101.8%   338,285,773 
  Other Assets, Less Liabilities   (1.8)   (6,113,563)
  Net Assets   100.0%  $332,172,210 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $10,864,586; the total market value of collateral held by the Portfolio was $11,269,772. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $6,716,324.  
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages:

ETF —Exchange-Traded Fund
REIT —Real Estate Investment Trust

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

                
Description 

Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
 

 

  

Significant
Other
Observable

Inputs
(Level 2)
 

 

  

Significant
Unobservable
Inputs
(Level 3)
 

 

   Total  
                
Asset Valuation Inputs               
                
Investments in Securities (a)                    
Common Stocks  $323,057,967   $   $   $323,057,967 
Exchange-Traded Fund   9,015,442            9,015,442 
Short-Term Investments                    
Affiliated Investment Company   1,658,916            1,658,916 
Unaffiliated Investment Company   4,553,448            4,553,448 
Total Short-Term Investments   6,212,364            6,212,364 
Total Investments in Securities  $338,285,773   $   $   $338,285,773 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP CBRE Global Infrastructure Portfolio
 
Portfolio of Investments March 31, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 98.7% †
  Australia 5.4%
  APA Group (Utilities)   34,316   $219,163 
  Atlas Arteria, Ltd. (Transportation)   123,737    431,024 
  Sydney Airport (Transportation)   22,430    78,480 
  Transurban Group (Transportation)   22,289    163,974 
           892,641 
  Belgium 1.3%          
  Elia Group S.A. (Utilities)   2,212    216,740 
             
  Canada 6.1%          
  Enbridge, Inc. (Midstream / Pipelines)   16,800    489,209 
  Fortis, Inc. (Utilities)   13,700    528,316 
           1,017,525 
  France 4.3%          
  Vinci S.A. (Transportation)   8,681    718,310 
             
  Germany 1.2%          
  Fraport A.G. Frankfurt Airport Services Worldwide (Transportation)   4,931    200,133 
             
  Hong Kong 2.5%          
  CLP Holdings, Ltd. (Utilities)   44,978    413,422 
             
  Italy 7.0%          
  Atlantia S.p.A. (Transportation)   15,967    200,143 
  Enel S.p.A. (Utilities)   96,423    671,144 
  Terna Rete Elettrica Nazionale S.p.A. (Utilities)   45,371    287,517 
           1,158,804 
  Japan 3.4%          
  Chubu Electric Power Co., Inc. (Utilities)   25,600    360,899 
  East Japan Railway Co. (Rail)   2,600    197,014 
           557,913 
  Mexico 1.2%          
  Promotora Y Operadora de Infraestructura S.A.B. de C.V. (Transportation)   30,500    204,645 
             
  Portugal 1.9%          
  EDP - Energias de Portugal S.A. (Utilities)   77,583    311,747 
             
  Singapore 1.1%          
  NetLink NBN Trust (Communications)   289,798    182,738 
             
  Spain 6.5%          
  Cellnex Telecom S.A. (Communications)   12,482    568,139 
  Ferrovial S.A. (Transportation)   10,210    245,173 
  Iberdrola S.A. (Utilities)   26,814    264,761 
           1,078,073 
  United Kingdom 6.0%          
  National Grid PLC (Utilities)   57,097    669,205 
  United Utilities Group PLC (Utilities)   29,001    323,846 
           993,051 
  United States 50.8%          
  AES Corp. (Utilities)   6,000    81,600 
  Ameren Corp. (Utilities)   5,300    385,999 
  American Electric Power Co., Inc. (Utilities)   9,400    751,812 
  American Tower Corp. (Communications)   2,725    593,369 
  Atmos Energy Corp. (Utilities)   4,300    426,689 
  Cheniere Energy, Inc. (Midstream / Pipelines) (a)   12,300    412,050 
  CMS Energy Corp. (Utilities)   6,400    376,000 
  Crown Castle International Corp. (Communications)   5,515    796,366 
  Edison International (Utilities)   9,000    493,110 
  Equinix, Inc. (Communications)   985    615,201 
  Essential Utilities, Inc. (Utilities)   9,500    386,650 
  Exelon Corp. (Utilities)   14,500    533,745 
  FirstEnergy Corp. (Utilities)   15,900    637,113 
  NextEra Energy, Inc. (Utilities)   3,000    721,860 
  NiSource, Inc. (Utilities)   7,600    189,772 
  Norfolk Southern Corp. (Transportation)   3,300    481,800 
  ONEOK, Inc. (Midstream / Pipelines)   3,700    80,697 
  Sempra Energy (Utilities)   1,900    214,681 
  Union Pacific Corp. (Transportation)   1,900    267,976 
           8,446,490 
  Total Common Stocks
(Cost $19,283,460)
        16,392,232 
             
  Short-Term Investment 1.6%          
  Affiliated Investment Company 1.6%          
  United States 1.6%          
  MainStay U.S. Government Liquidity Fund, 0.09% (b)   271,857    271,857 
  Total Short-Term Investment
(Cost $271,857)
        271,857 
  Total Investments
(Cost $19,555,317)
   100.3%   16,664,089 
  Other Assets, Less Liabilities   (0.3)   (55,946)
  Net Assets   100.0%  $16,608,143 

 

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) Current yield as of March 31, 2020.

  

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets: 

  

Description  Quoted Prices
in Active
Markets for
Identical Assets 
(Level 1)
   Significant
Other
Observable
Inputs 
(Level 2)
   Significant
Unobservable
Inputs 
(Level 3)
   Total  
    
Asset Valuation Inputs   
    
Investments in Securities (a)           
Common Stocks                 
Australia      892,641      892,641 
Belgium      216,740      216,740 
France      718,310      718,310 
Germany      200,133      200,133 
Hong Kong      413,422      413,422 
Italy      1,158,804      1,158,804 
Japan      557,913      557,913 
Portugal      311,747      311,747 
Singapore      182,738      182,738 
Spain      1,078,073      1,078,073 
United Kingdom      993,051      993,051 
All Other Countries   9,668,660         9,668,660 
Total Common Stocks   9,668,660   6,723,572      16,392,232 
Short-Term Investment                 
Affiliated Investment Company   271,857         271,857 
Total Investments in Securities  $9,940,517  $6,723,572  $  $16,664,089 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Fidelity Institutional AM® Utilities Portfolio
   
Portfolio of Investments March 31, 2020 (Unaudited)
 
     Shares   Value 
  Common Stocks 93.3% †
  Electric Utilities 56.1%          
  Alliant Energy Corp.   178,400   $8,614,936 
  American Electric Power Co., Inc.   362,700    29,008,746 
  Duke Energy Corp.   486,500    39,348,120 
  Edison International   1,208,187    66,196,566 
  Entergy Corp.   458,398    43,075,660 
  Evergy, Inc.   1,093,804    60,213,910 
  Exelon Corp.   2,548,186    93,798,727 
  FirstEnergy Corp.   1,167,818    46,794,467 
  NextEra Energy, Inc.   265,033    63,772,240 
  NRG Energy, Inc.   848,845    23,139,515 
  PG&E Corp. (a)   961,576    8,644,568 
  PNM Resources, Inc.   152,995    5,813,810 
  Southern Co.   819,782    44,382,998 
           532,804,263 
  Gas Utilities 2.7%          
  Atmos Energy Corp.   257,200    25,521,956 
             
  Independent Power & Renewable Electricity Producers 9.4%          
  AES Corp.   2,203,202    29,963,547 
  Atlantica Yield PLC (Spain)   135,880    3,030,124 
  Clearway Energy, Inc., Class C   1,398,624    26,294,131 
  NextEra Energy Partners, L.P.   387,717    16,671,831 
  Vistra Energy Corp.   849,574    13,559,201 
           89,518,834 
  Multi-Utilities 25.1%          
  Ameren Corp.   292,029    21,268,472 
  CenterPoint Energy, Inc.   1,574,648    24,328,312 
  Consolidated Edison, Inc.   209,000    16,302,000 
  Dominion Energy, Inc.   1,634,475    117,992,750 
  Public Service Enterprise Group, Inc.   256,953    11,634,612 
  Sempra Energy   417,243    47,144,287 
           238,670,433 
  Total Common Stocks
(Cost $924,623,706)
        886,515,486 
             
  Short-Term Investment 3.0%          
  Affiliated Investment Company 3.0%          
  MainStay U.S. Government Liquidity Fund, 0.09% (b)   28,221,979    28,221,979 
  Total Short-Term Investment
(Cost $28,221,979)
        28,221,979 
  Total Investments
(Cost $952,845,685)
   96.3%   914,737,465 
  Other Assets, Less Liabilities   3.7    34,920,269 
  Net Assets   100.0%  $949,657,734 

 

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) Current yield as of March 31, 2020.

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets: 

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                       
Asset Valuation Inputs
                    
                     
Investments in Securities (a)                    
Common Stocks  $886,515,486   $   $   $886,515,486 
Short-Term Investment                    
Affiliated Investment Company   28,221,979            28,221,979 
Total Investments in Securities  $914,737,465   $   $   $914,737,465 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Emerging Markets Equity Portfolio
   
Portfolio of Investments  March 31, 2020 (Unaudited)
   
     Shares   Value 
  Common Stocks 93.8% †
  Argentina 0.1%
  Banco Macro S.A., ADR (Banks)   1,200   $20,376 
  MercadoLibre, Inc. (Internet & Direct Marketing Retail) (a)   500    244,290 
           264,666 
  Brazil 3.8%          
  Afya, Ltd., Class A (Diversified Consumer Services) (a)   36,000    686,160 
  B3 S.A. - Brasil Bolsa Balcao (Capital Markets)   90,500    625,267 
  Banco do Brasil S.A. (Banks)   117,400    630,144 
  Banco Santander Brasil S.A. (Banks)   9,800    50,300 
  BB Seguridade Participacoes S.A. (Insurance)   25,200    120,517 
  Camil Alimentos S.A. (Food Products)   163,200    244,670 
  Centrais Eletricas Brasileiras S.A. (Electric Utilities)   23,400    107,451 
  Cia de Saneamento Do Parana (Water Utilities)   91,200    418,606 
  Cosan S.A. (Oil, Gas & Consumable Fuels)   10,500    108,635 
  Cyrela Brazil Realty S.A. Empreendimentos e Participacoes (Household Durables)   320,100    870,463 
  Enauta Participacoes S.A. (Oil, Gas & Consumable Fuels)   88,700    156,195 
  Equatorial Energia S.A. (Electric Utilities)   200,000    677,431 
  Hypera S.A. (Pharmaceuticals)   26,800    147,459 
  IRB Brasil Resseguros S.A. (Insurance)   135,000    251,496 
  Localiza Rent a Car S.A. (Road & Rail)   48,000    242,951 
  Magazine Luiza S.A. (Multiline Retail)   113,000    847,919 
  Marfrig Global Foods S.A. (Food Products) (a)   111,000    189,055 
  Notre Dame Intermedica Participacoes S.A. (Health Care Providers & Services)   62,500    540,790 
  Petroleo Brasileiro S.A. (Oil, Gas & Consumable Fuels)   15,000    40,819 
  Qualicorp Consultoria e Corretora de Seguros S.A. (Health Care Providers & Services) (a)   82,900    376,521 
  Raia Drogasil S.A. (Food & Staples Retailing)   30,300    593,918 
  Vale S.A. (Metals & Mining)   172,875    1,437,936 
  WEG S.A. (Electrical Equipment)   94,900    613,112 
  Wiz Solucoes e Corretagem de Seguros S.A. (Insurance)   68,300    118,563 
  XP, Inc, Class A (Capital Markets) (a)   38,000    733,020 
           10,829,398 
  Canada 0.3%          
  Atlas Corp (Marine) (b)   41,900    322,211 
  Pan American Silver Corp. (Metals & Mining)   42,000    601,860 
  Suven Pharmaceuticals, Ltd. (Pharmaceuticals) (a)   38,021    101,522 
           1,025,593 
  Chile 0.2%          
  Sociedad Quimica y Minera de Chile S.A., Sponsored ADR (Chemicals)   30,000    676,500 
             
  China 41.1%          
  21Vianet Group, Inc., ADR (IT Services) (a)   27,800    385,308 
  AAC Technologies Holdings, Inc. (Electronic Equipment, Instruments & Components) (b)   80,000    412,271 
  Agricultural Bank of China, Ltd., Class H (Banks)   433,000    173,027 
  Aier Eye Hospital Group Co., Ltd., Class A (Health Care Providers & Services)   156,977    875,523 
  Alibaba Group Holding, Ltd., Sponsored ADR (Internet & Direct Marketing Retail) (a)   88,119    17,137,383 
  Alibaba Health Information Technology, Ltd. (Health Care Technology) (a)   730,000    1,212,273 
  Anhui Conch Cement Co., Ltd., Class H (Construction Materials)   258,500    1,787,006 
  ANTA Sports Products, Ltd. (Textiles, Apparel & Luxury Goods)   90,000    650,507 
  Asia Cement China Holdings Corp. (Construction Materials)   97,000    98,162 
  BAIC Motor Corp., Ltd., Class H (Automobiles) (c)   1,787,500    702,616 
  Baidu, Inc., Sponsored ADR (Interactive Media & Services) (a)   13,400    1,350,586 
  Bank of China, Ltd., Class H (Banks)   4,298,000    1,640,184 
  Bank of Shanghai Co., Ltd., Class A (Banks)   779,942    908,058 
  BYD Electronic International Co., Ltd. (Communications Equipment) (b)   346,500    575,015 
  Central China Real Estate, Ltd. (Real Estate)   115,000    58,489 
  Changyou.com, Ltd., ADR (Entertainment) (b)   1,900    20,330 
  China Aoyuan Group, Ltd. (Real Estate Management & Development)   1,504,000    1,750,438 
  China CITIC Bank Corp., Ltd., Class H (Banks)   1,728,000    850,956 
  China Construction Bank Corp., Class H (Banks)   7,025,100    5,725,970 
  China Everbright Bank Co., Ltd., Class H (Banks)   853,000    325,719 
  China Evergrande Group (Real Estate Management & Development) (b)   476,000    783,558 
  China Galaxy Securities Co., Ltd., Class H (Capital Markets)   327,500    158,059 
  China Lesso Group Holdings, Ltd. (Building Products)   1,268,000    1,663,969 
  China Life Insurance Co., Ltd., Class H (Insurance)   270,000    529,653 
  China Lumena New Materials Corp. (Chemicals) (a)(d)(e)   6,500    0 
  China Medical System Holdings, Ltd. (Pharmaceuticals)   341,000    367,603 
  China Merchants Bank Co., Ltd., Class H (Banks)   514,000    2,307,544 
  China Minsheng Banking Corp., Ltd., Class H (Banks)   1,137,500    842,288 
  China Mobile, Ltd. (Wireless Telecommunication Services)   135,500    1,023,687 
  China National Building Material Co., Ltd., Class H (Construction Materials)   1,754,000    1,903,994 
  China Overseas Grand Oceans Group, Ltd. (Real Estate Management & Development)   438,000    254,640 
  China Overseas Land & Investment, Ltd. (Real Estate Management & Development)   200,000    617,186 
  China Shineway Pharmaceutical Group, Ltd. (Pharmaceuticals)   195,000    145,562 
  China Tower Corp., Ltd., Class H (Diversified Telecommunication Services) (c)   6,499,839    1,451,194 
  China Traditional Chinese Medicine Holdings Co., Ltd. (Pharmaceuticals)   1,410,000    640,041 
  China Vanke Co., Ltd., Class H (Real Estate Management & Development)   75,900    248,609 
  Chlitina Holding, Ltd. (Personal Products)   65,000    365,399 
  CITIC, Ltd. (Industrial Conglomerates)   981,000    1,021,377 
  CNOOC, Ltd. (Oil, Gas & Consumable Fuels)   1,402,000    1,461,691 
  Consun Pharmaceutical Group, Ltd. (Pharmaceuticals)   147,000    66,372 
  Contemporary Amperex Technology Co., Ltd., Class A (Electrical Equipment)   22,927    387,073 
  Country Garden Services Holdings Co., Ltd. (Commercial Services & Supplies)   420,000    1,697,070 
  ENN Energy Holdings, Ltd. (Gas Utilities)   114,000    1,096,338 
  Geely Automobile Holdings, Ltd. (Automobiles)   479,930    703,377 
  GF Securities Co., Ltd., Class H (Capital Markets)   116,600    124,403 
  Great Wall Motor Co., Ltd., Class H (Automobiles)   1,314,000    837,206 
  GSX Techedu, Inc., ADR (Diversified Consumer Services) (a)   3,000    127,136 
  Guotai Junan Securities Co., Ltd., Class H (Capital Markets) (c)   150,200    222,808 
  Haitong Securities Co., Ltd., Class H (Capital Markets)   436,800    397,677 
  Hangzhou Tigermed Consulting Co., Ltd., Class A (Life Sciences Tools & Services)   87,919    790,485 
  Hengli Petrochemical Co., Ltd., Class A (Chemicals)   373,936    660,126 
  Hundsun Technologies, Inc., Class A (Software)   99,773    1,230,040 
  Industrial & Commercial Bank of China, Ltd., Class H (Banks)   2,184,000    1,490,161 
  JD.com, Inc., ADR (Internet & Direct Marketing Retail) (a)   96,452    3,906,306 
  JinkoSolar Holding Co., Ltd., ADR (Semiconductors & Semiconductor Equipment) (a)(b)   4,600    68,310 
  Kingsoft Corp., Ltd. (Software) (a)   26,000    84,358 
  Lepu Medical Technology Beijing Co., Ltd., Class A (Health Care Equipment & Supplies)   179,997    915,145 
  LexinFintech Holdings, Ltd., ADR (Consumer Finance) (a)(b)   11,100    98,457 
  Longfor Group Holdings, Ltd. (Real Estate Management & Development) (c)   300,000    1,451,772 
  Luckin Coffee, Inc., ADR (Hotels, Restaurants & Leisure) (a)(b)   25,000    679,750 
  Luxshare Precision Industry Co., Ltd., Class A (Electronic Equipment, Instruments & Components)   219,930    1,175,847 
  Luye Pharma Group, Ltd. (Pharmaceuticals) (c)   468,500    227,585 
  Meituan Dianping, Class B (Internet & Direct Marketing Retail) (a)   62,000    744,032 
  NetEase, Inc., ADR (Entertainment)   7,700    2,471,392 
  New Oriental Education & Technology Group, Inc., Sponsored ADR (Diversified Consumer Services) (a)   11,900    1,288,056 
  PICC Property & Casualty Co., Ltd., Class H (Insurance)   176,000    169,285 
  Pinduoduo, Inc., ADR (Internet & Direct Marketing Retail) (a)   20,000    720,600 
  Ping An Insurance Group Co. of China, Ltd., Class H (Insurance)   591,500    5,786,146 
  Postal Savings Bank of China Co., Ltd., Class H (Banks) (c)   2,250,000    1,365,728 
  Powerlong Real Estate Holdings, Ltd. (Real Estate)   593,000    346,595 
  Ronshine China Holdings, Ltd. (Real Estate)   301,000    292,936 
  Sany Heavy Industry Co., Ltd., Class A (Machinery)   569,906    1,397,876 
  Semiconductor Manufacturing International Corp. (Semiconductors & Semiconductor Equipment) (a)   109,500    171,240 
  Shandong Linglong Tyre Co., Ltd., Class A (Auto Components)   289,900    811,370 
  Shandong Weigao Group Medical Polymer Co., Ltd., Class H (Health Care Equipment & Supplies)   128,000    161,279 
  Shimao Property Holdings, Ltd. (Real Estate Management & Development)   380,000    1,330,022 
  Sihuan Pharmaceutical Holdings Group, Ltd. (Pharmaceuticals)   3,111,000    312,415 
  Silergy Corp. (Semiconductors & Semiconductor Equipment)   22,000    707,714 
  Sinopec Engineering Group Co., Ltd., Class H (Construction & Engineering)   532,000    222,954 
  Sunac China Holdings, Ltd. (Real Estate Management & Development)   37,000    170,168 
  Sunny Optical Technology Group Co., Ltd. (Electronic Equipment, Instruments & Components)   135,800    1,811,293 
  TAL Education Group, ADR (Diversified Consumer Services) (a)   4,300    229,018 
  TCL Electronics Holdings, Ltd. (Household Durables)   264,000    110,160 
  Tencent Holdings, Ltd. (Interactive Media & Services)   306,400    14,940,546 
  Vipshop Holdings, Ltd., ADR (Internet & Direct Marketing Retail) (a)   119,000    1,854,020 
  Weichai Power Co., Ltd., Class H (Machinery)   39,000    62,418 
  Weiqiao Textile Co., Ltd., Class H (Textiles, Apparel & Luxury Goods)   200,500    38,669 
  Wuxi Biologics Cayman, Inc. (Life Sciences Tools & Services) (a)(c)   78,000    1,005,542 
  Xinyi Solar Holdings, Ltd. (Semiconductors & Semiconductor Equipment)   1,082,000    603,881 
  Yantai Jereh Oilfield Services Group Co., Ltd., Class A (Energy Equipment & Services)   119,948    371,652 
  Yanzhou Coal Mining Co., Ltd., Class H (Oil, Gas & Consumable Fuels)   676,000    527,918 
  YiChang HEC ChangJiang Pharmaceutical Co., Ltd., Class H (Pharmaceuticals) (c)   81,000    380,978 
  Yihai International Holding, Ltd. (Food Products)   156,000    1,176,149 
  Yonyou Network Technology Co., Ltd., Class A (Software)   229,935    1,317,695 
  Yuexiu Property Co., Ltd. (Real Estate Management & Development)   1,886,000    338,971 
  Yum China Holdings, Inc. (Hotels, Restaurants & Leisure)   2,200    93,786 
  Zhejiang Dingli Machinery Co., Ltd., Class A (Machinery)   89,996    730,512 
  Zhongsheng Group Holdings, Ltd. (Specialty Retail)   200,000    696,208 
  Zoomlion Heavy Industry Science & Technology Co., Ltd., Class H (Machinery)   1,134,000    822,116 
  ZTO Express Cayman, Inc., ADR (Air Freight & Logistics) (a)   38,000    1,006,240 
           117,451,257 
  Colombia 0.4%          
  Bancolombia S.A., Sponsored ADR (Banks)   18,000    449,280 
  Corp. Financiera Colombiana S.A. (Diversified Financial Services) (a)   9,604    60,953 
  Ecopetrol S.A. (Oil, Gas & Consumable Fuels)   193,764    90,633 
  Geopark, Ltd. (Oil, Gas & Consumable Fuels)   24,000    169,680 
  Interconexion Electrica S.A. E.S.P. (Electric Utilities)   90,519    344,962 
           1,115,508 
  Egypt 0.2%          
  Commercial International Bank Egypt S.A.E., GDR (Banks)   174,000    626,400 
             
  Greece 0.3%          
  FF Group (Textiles, Apparel & Luxury Goods) (a)(d)(e)   19,000    50,292 
  Hellenic Telecommunications Organization S.A. (Diversified Telecommunication Services)   29,585    359,383 
  Motor Oil Hellas Corinth Refineries S.A. (Oil, Gas & Consumable Fuels)   5,192    64,850 
  Public Power Corp. S.A. (Electric Utilities) (a)   129,459    327,159 
           801,684 
  Hong Kong 0.9%          
  China Metal Recycling Holdings, Ltd. (Metals & Mining) (a)(d)(e)   75,000    0 
  China Resources Cement Holdings, Ltd. (Construction Materials)   236,000    280,347 
  Kingboard Laminates Holdings, Ltd. (Electronic Equipment, Instruments & Components)   656,500    604,205 
  Nine Dragons Paper Holdings, Ltd. (Paper & Forest Products)   850,000    771,793 
  Xinyi Glass Holdings, Ltd. (Auto Components)   897,000    1,021,946 
           2,678,291 
  Hungary 0.1%          
  OTP Bank Nyrt. (Banks)   13,652    396,022 
             
  India 6.8%          
  Alkem Laboratories, Ltd. (Pharmaceuticals)   8,131    246,702 
  Asian Paints, Ltd. (Chemicals)   44,801    971,763 
  Avanti Feeds, Ltd. (Food Products)   41,134    157,284 
  Avenue Supermarts, Ltd. (Food & Staples Retailing) (a)(c)   15,236    446,180 
  Axis Bank, Ltd. (Banks)   12,000    59,123 
  Bajaj Finance, Ltd. (Consumer Finance)   31,000    892,963 
  Bharti Airtel, Ltd. (Wireless Telecommunication Services) (a)   116,377    669,864 
  Bharti Infratel, Ltd. (Diversified Telecommunication Services)   160,632    336,578 
  Biocon, Ltd. (Biotechnology)   270,000    964,583 
  Dr. Reddy's Laboratories, Ltd. (Pharmaceuticals)   4,455    182,476 
  GlaxoSmithkline Consumer Healthcare, Ltd. (Food Products)   996    129,906 
  HCL Technologies, Ltd. (IT Services)   32,010    181,950 
  Hindustan Petroleum Corp., Ltd. (Oil, Gas & Consumable Fuels)   117,246    291,433 
  Hindustan Unilever, Ltd. (Household Products)   60,998    1,836,059 
  Housing Development Finance Corp., Ltd. (Thrifts & Mortgage Finance)   90,996    1,933,813 
  ICICI Bank, Ltd. (Banks)   106,550    461,782 
  ICICI Securities, Ltd. (Capital Markets) (c)   43,210    155,719 
  Info Edge India, Ltd. (Interactive Media & Services)   18,000    484,355 
  Infosys, Ltd. (IT Services)   104,900    878,859 
  Ipca Laboratories, Ltd. (Pharmaceuticals)   8,627    157,827 
  ITC, Ltd. (Tobacco)   153,215    340,017 
  JSW Steel, Ltd. (Metals & Mining)   160,000    304,370 
  Jubilant Foodworks, Ltd. (Hotels, Restaurants & Leisure)   18,000    350,053 
  KEI Industries, Ltd. (Electrical Equipment)   3,174    11,257 
  Maruti Suzuki India, Ltd. (Automobiles)   6,000    336,252 
  Nestle India, Ltd. (Food Products)   835    179,592 
  NMDC, Ltd. (Metals & Mining)   277,947    289,383 
  Petronet LNG, Ltd. (Oil, Gas & Consumable Fuels)   504,509    1,324,191 
  Power Grid Corp. of India, Ltd. (Electric Utilities)   22,979    47,829 
  PVR, Ltd. (Entertainment)   15,000    234,967 
  REC, Ltd. (Diversified Financial Services)   227,183    267,837 
  Reliance Industries, Ltd. (Oil, Gas & Consumable Fuels)   230,440    3,349,958 
  State Bank of India (Banks) (a)   52,357    135,617 
  Strides Pharma Science, Ltd. (Pharmaceuticals)   9,308    39,670 
  Tata Consultancy Services, Ltd. (IT Services)   11,386    271,792 
  Tech Mahindra, Ltd. (IT Services)   21,015    154,800 
  Titan Co., Ltd. (Textiles, Apparel & Luxury Goods)   21,000    257,534 
           19,334,338 
  Indonesia 0.7%          
  PT Bank Rakyat Indonesia Persero Tbk (Banks)   1,800,000    330,999 
  PT Gudang Garam Tbk (Tobacco)   173,400    436,545 
  PT Indah Kiat Pulp & Paper Corp. Tbk (Paper & Forest Products)   1,816,300    444,636 
  PT Indofood Sukses Makmur Tbk (Food Products)   2,168,800    842,457 
           2,054,637 
  Malaysia 1.4%          
  AMMB Holdings BHD (Banks)   506,200    347,938 
  Dialog Group BHD (Energy Equipment & Services)   1,500,000    1,047,038 
  Hartalega Holdings BHD (Health Care Equipment & Supplies)   279,100    443,229 
  Kuala Lumpur Kepong BHD (Food Products)   60,800    290,331 
  Malayan Banking BHD (Banks)   404,900    694,500 
  Serba Dinamik Holdings BHD (Energy Equipment & Services)   382,900    129,955 
  Telekom Malaysia BHD (Diversified Telecommunication Services)   749,700    656,975 
  Top Glove Corp. BHD (Health Care Equipment & Supplies)   298,500    444,337 
           4,054,303 
  Mexico 1.3%          
  Aleatica, S.A.B. de C.V. (Transportation Infrastructure) (b)   57,600    42,491 
  America Movil S.A.B. de C.V., Series L (Wireless Telecommunication Services)   722,600    429,494 
  Credito Real S.A.B. de C.V. (Consumer Finance)   12,900    9,087 
  Fibra Uno Administracion S.A. de C.V. (Equity Real Estate Investment Trusts)   39,500    31,004 
  Gentera S.A.B. de C.V. (Consumer Finance)   197,900    76,499 
  Grupo Financiero Banorte S.A.B. de C.V., Class O (Banks)   200,000    548,003 
  Grupo Mexico S.A.B. de C.V., Series B (Metals & Mining)   473,000    877,111 
  Kimberly-Clark de Mexico S.A.B. de C.V., Class A (Household Products)   768,600    1,168,330 
  Wal-Mart de Mexico S.A.B. de C.V. (Food & Staples Retailing)   179,500    422,900 
           3,604,919 
  Peru 0.5%          
  Credicorp, Ltd. (Banks)   2,400    343,368 
  Southern Copper Corp. (Metals & Mining)   36,000    1,013,760 
           1,357,128 
  Philippines 0.8%          
  Cebu Air, Inc. (Airlines)   44,360    39,479 
  First Gen Corp. (Independent Power & Renewable Electricity Producers)   295,500    95,372 
  Globe Telecom, Inc. (Wireless Telecommunication Services)   22,626    860,118 
  GT Capital Holdings, Inc. (Industrial Conglomerates)   39,390    312,666 
  Metro Pacific Investments Corp. (Diversified Financial Services)   6,911,000    326,517 
  PLDT, Inc. (Wireless Telecommunication Services)   30,430    677,142 
  Security Bank Corp. (Banks)   3,900    8,145 
           2,319,439 
  Poland 1.1%          
  Asseco Poland S.A. (Software)   22,497    315,137 
  Bank Polska Kasa Opieki S.A. (Banks)   1,744    23,615 
  CD Projekt S.A. (Entertainment)   21,000    1,463,814 
  Dino Polska S.A. (Food & Staples Retailing) (a)(c)   24,000    938,724 
  Enea S.A. (Electric Utilities) (a)   94,574    108,063 
  Eurocash S.A. (Food & Staples Retailing)   43,121    177,022 
  PLAY Communications S.A. (Wireless Telecommunication Services) (c)   20,185    142,796 
  Powszechny Zaklad Ubezpieczen S.A. (Insurance)   15,866    119,934 
           3,289,105 
  Republic of Korea 11.8%          
  BNK Financial Group, Inc. (Banks)   14,334    51,767 
  Celltrion, Inc. (Biotechnology) (a)   8,152    1,528,776 
  Daelim Industrial Co., Ltd. (Construction & Engineering)   12,351    740,103 
  Dongwon Industries Co., Ltd. (Food Products)   180    25,350 
  Doosan Bobcat, Inc. (Machinery)   20,275    293,629 
  Hana Financial Group, Inc. (Banks)   54,013    1,007,086 
  Hotel Shilla Co., Ltd. (Specialty Retail)   6,800    389,573 
  Hyundai Heavy Industries Holdings Co., Ltd. (Machinery)   2,442    391,617 
  Hyundai Marine & Fire Insurance Co., Ltd. (Insurance)   16,000    293,961 
  Hyundai Mobis Co., Ltd. (Auto Components)   3,445    474,411 
  Industrial Bank of Korea (Banks)   56,530    344,789 
  Kakao Corp. (Interactive Media & Services)   12,200    1,535,767 
  KB Financial Group, Inc. (Banks)   69,673    1,944,019 
  Kia Motors Corp. (Automobiles)   34,345    726,674 
  Koh Young Technology, Inc. (Semiconductors & Semiconductor Equipment)   7,400    470,931 
  Korea Investment Holdings Co., Ltd. (Capital Markets)   15,484    625,634 
  LG Household & Health Care, Ltd. (Personal Products)   600    548,869 
  Mcnex Co., Ltd. (Electronic Equipment, Instruments & Components)   1,476    31,180 
  Meritz Securities Co., Ltd. (Capital Markets)   143,177    328,097 
  NAVER Corp. (Interactive Media & Services)   8,000    1,100,507 
  NCSoft Corp. (Entertainment)   4,664    2,468,943 
  Orion Corp. (Food Products)   5,000    469,904 
  POSCO (Metals & Mining)   3,607    473,279 
  Samsung Biologics Co., Ltd. (Life Sciences Tools & Services) (a)(c)   2,864    1,122,354 
  Samsung Electro-Mechanics Co., Ltd. (Electronic Equipment, Instruments & Components)   5,000    394,819 
  Samsung Electronics Co., Ltd. (Technology Hardware, Storage & Peripherals)   286,375    11,129,710 
  Samsung SDI Co., Ltd. (Electronic Equipment, Instruments & Components)   3,600    703,367 
  Seegene, Inc. (Biotechnology)   1,659    151,885 
  Shinhan Financial Group Co., Ltd. (Banks)   3,123    72,680 
  SK Hynix, Inc. (Semiconductors & Semiconductor Equipment)   55,075    3,725,721 
  Woori Financial Group, Inc. (Banks)   10,787    66,792 
           33,632,194 
  Romania 0.1%          
  NEPI Rockcastle PLC (Real Estate)   47,668    198,620 
             
  Russia 4.2%          
  Gazprom PAO, Sponsored ADR (Oil, Gas & Consumable Fuels)   215,810    984,094 
  LUKOIL PJSC, Sponsored ADR (Oil, Gas & Consumable Fuels)   5,727    338,809 
  Magnitogorsk Iron & Steel Works PJSC, Registered, Sponsored GDR (Metals & Mining)   7,422    46,536 
  MMC Norilsk Nickel PJSC (Metals & Mining)   4,400    1,092,885 
  MMC Norilsk Nickel PJSC ADR (Metals & Mining)   23,611    572,803 
  Mobile TeleSystems PJSC, Sponsored ADR (Wireless Telecommunication Services)   25,000    190,000 
  Novatek PJSC, Sponsored GDR (Oil, Gas & Consumable Fuels)   2,834    326,760 
  Polymetal International PLC (Metals & Mining)   95,000    1,610,588 
  Polyus PJSC (Metals & Mining) (a)   12,500    1,704,148 
  QIWI PLC, Sponsored ADR (IT Services) (b)   34,000    364,140 
  Sberbank of Russia PJSC, Sponsored ADR (Banks)   123,813    1,163,842 
  Surgutneftegas PJSC, Sponsored ADR (Oil, Gas & Consumable Fuels)   273,027    1,135,792 
  Tatneft PJSC (Oil, Gas & Consumable Fuels)   110,000    771,709 
  TCS Group Holding PLC (Banks)   68,000    786,080 
  Yandex N.V., Class A (Interactive Media & Services) (a)   27,000    919,350 
           12,007,536 
  Singapore 0.1%          
  IGG, Inc. (Entertainment) (b)   305,000    181,321 
             
  South Africa 4.2%          
  Absa Group, Ltd. (Banks)   9,070    37,955 
  Anglo American Platinum, Ltd. (Metals & Mining)   5,558    233,548 
  AngloGold Ashanti, Ltd. (Metals & Mining)   78,000    1,332,991 
  Astral Foods, Ltd. (Food Products)   35,461    380,186 
  Capitec Bank Holdings, Ltd. (Banks)   11,000    538,547 
  Clicks Group, Ltd. (Food & Staples Retailing)   9,027    129,820 
  DataTec, Ltd. (Electronic Equipment, Instruments & Components)   166,991    259,118 
  Exxaro Resources, Ltd. (Oil, Gas & Consumable Fuels)   15,019    82,968 
  Harmony Gold Mining Co., Ltd. (Metals & Mining) (a)   139,279    304,652 
  Impala Platinum Holdings, Ltd. (Metals & Mining)   (b)   74,000    312,556 
  Impala Platinum Holdings, Ltd. (Metals & Mining)   83,080    350,908 
  Liberty Holdings, Ltd. (Insurance)   77,179    285,412 
  Motus Holdings, Ltd. (Specialty Retail) (a)   44,529    67,305 
  MTN Group, Ltd. (Wireless Telecommunication Services)   279,524    754,203 
  Naspers, Ltd. (Internet & Direct Marketing Retail)   44,529    6,326,278 
  Old Mutual, Ltd. (Insurance)   363,986    240,705 
  Resilient REIT, Ltd. (Equity Real Estate Investment Trusts)   27,337    48,547 
  Sibanye Stillwater, Ltd. (Metals & Mining) (a)   227,911    287,605 
  Wilson Bayly Holmes-Ovcon, Ltd. (Construction & Engineering)   9,020    40,393 
           12,013,697 
  Spain 0.0% ‡          
  Banco Santander S.A. (Banks) (a)   22,599    53,748 
             
  Taiwan 11.7%          
  Accton Technology Corp. (Communications Equipment)   172,000    912,416 
  Airtac International Group (Machinery)   160,000    2,345,795 
  Asia Cement Corp. (Construction Materials)   226,000    294,496 
  ASPEED Technology, Inc. (Semiconductors & Semiconductor Equipment)   35,000    1,185,666 
  Asustek Computer, Inc. (Technology Hardware, Storage & Peripherals)   111,000    750,701 
  Center Laboratories, Inc. (Pharmaceuticals)   184,687    241,702 
  Chailease Holding Co., Ltd. (Diversified Financial Services)   400,000    1,210,640 
  ChipMos Technologies, Inc. (Semiconductors & Semiconductor Equipment)   65,000    56,400 
  CTBC Financial Holding Co., Ltd. (Banks)   1,636,000    968,540 
  E.Sun Financial Holding Co., Ltd. (Banks)   1,722,443    1,381,549 
  Fubon Financial Holding Co., Ltd. (Insurance)   68,000    84,449 
  Globalwafers Co., Ltd. (Semiconductors & Semiconductor Equipment)   44,000    487,002 
  Hon Hai Precision Industry Co., Ltd. (Electronic Equipment, Instruments & Components)   328,892    760,362 
  International Games System Co., Ltd. (Entertainment)   21,000    379,848 
  Largan Precision Co., Ltd. (Electronic Equipment, Instruments & Components)   9,200    1,143,698 
  MediaTek, Inc. (Semiconductors & Semiconductor Equipment)   32,000    340,832 
  Pou Chen Corp. (Textiles, Apparel & Luxury Goods)   164,000    139,131 
  Powertech Technology, Inc. (Semiconductors & Semiconductor Equipment)   577,000    1,615,907 
  Taishin Financial Holding Co., Ltd. (Banks)   432,000    167,169 
  Taiwan Semiconductor Manufacturing Co., Ltd. (Semiconductors & Semiconductor Equipment)   1,598,000    14,263,769 
  TXC Corp. (Electronic Equipment, Instruments & Components)   23,000    33,264 
  United Microelectronics Corp. (Semiconductors & Semiconductor Equipment)   1,973,000    882,628 
  Walsin Technology Corp. (Electronic Equipment, Instruments & Components)   131,000    684,203 
  Wei Chuan Foods Corp. (Food Products)   287,000    187,225 
  Win Semiconductors Corp. (Semiconductors & Semiconductor Equipment)   54,000    462,143 
  Wiwynn Corp. (Technology Hardware, Storage & Peripherals)   54,000    1,233,803 
  Yageo Corp. (Electronic Equipment, Instruments & Components)   53,000    471,785 
  Yuanta Financial Holding Co., Ltd. (Diversified Financial Services)   1,471,000    756,572 
           33,441,695 
  Thailand 1.0%          
  Airports of Thailand PCL, NVDR (Transportation Infrastructure)   340,000    531,956 
  Charoen Pokphand Foods PCL, NVDR (Food Products)   1,105,800    818,598 
  JMT Network Services PCL, NVDR (Commercial Services & Supplies)   558,200    222,738 
  Krung Thai Bank PCL, NVDR (Banks)   1,091,800    383,202 
  PTT PCL, NVDR (Oil, Gas & Consumable Fuels)   205,900    192,877 
  Srisawad Corp. PCL, NVDR (Consumer Finance)   476,700    617,148 
           2,766,519 
  Turkey 0.6%          
  Enerjisa Enerji A/S (Electric Utilities) (c)   342,223    346,712 
  Eregli Demir ve Celik Fabrikalari TAS (Metals & Mining)   126,207    141,446 
  Haci Omer Sabanci Holding A/S (Diversified Financial Services)   336,140    374,387 
  Tofas Turk Otomobil Fabrikasi A/S (Automobiles)   102,822    251,805 
  Turk Hava Yollari AO (Airlines) (a)   140,000    187,482 
  Turkiye Garanti Bankasi A/S (Banks) (a)   440,000    529,530 
           1,831,362 
  United States 0.1%          
  EPAM Systems, Inc. (IT Services) (a)   1,600    297,056 
             
  Total Common Stocks
(Cost $298,129,095)
        268,302,936 
             
  Exchange-Traded Funds 1.5%          
  United States 1.5%          
  iShares MSCI Saudi Arabia ETF (Capital Markets)   48,296    1,155,723 
  Xtrackers Harvest CSI 300 China A-Shares ETF (Capital Markets) (b)   115,845    2,999,227 
             
  Total Exchange-Traded Funds
(Cost $4,867,271)
        4,154,950 
             
  Preferred Stocks 2.4%          
  Brazil 1.0%          
  Itau Unibanco Holding S.A.
5.06%  (Banks)
   80,000    355,497 
  Itausa - Investimentos Itau S.A.
5.65%  (Banks)
   525,800    887,448 
  Petroleo Brasileiro S.A
3.09% (Oil, Gas & Consumable Fuels)
   393,200    1,058,653 
  Telefonica Brasil S.A.
4.89%  (Diversified Telecommunication Services)
   49,100    467,273 
           2,768,871 
  Colombia 0.0% ‡          
  Grupo Aval Acciones y Valores S.A.
3.97% (Banks)
   309,868    68,427 
             
  Republic of Korea 1.4%          
  Amorepacific Corp.
1.21%  (Personal Products)
   895    43,494 
  Hyundai Motor Co.
1.30%  (Automobiles)
   10,117    467,560 
  Hyundai Motor Co.
1.43%  (Automobiles)
   12,884    541,202 
  LG Household & Health Care, Ltd.
1.18%  (Personal Products)
   291    151,904 
  Samsung Electronics Co., Ltd.  
2.19% (Technology Hardware, Storage & Peripherals)
   84,617    2,762,110 
           3,966,270 
  Total Preferred Stocks
(Cost $9,881,294)
        6,803,568 
             
  Short-Term Investments 2.5%          
  Affiliated Investment Company 1.5%          
  MainStay U.S. Government Liquidity Fund, 0.09% (f)   4,422,895    4,422,895 
             
  Unaffiliated Investment Company 1.0%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (f)(g)   2,842,603    2,842,603 
             
  Total Short-Term Investments
(Cost $7,265,498)
        7,265,498 
  Total Investments
(Cost $320,143,158)
   100.2%   286,526,952 
  Other Assets, Less Liabilities   (0.2)   (560,745)
  Net Assets   100.0%  $285,966,207 

 

  Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.
  (a) Non-income producing security.
  (b) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $6,253,142; the total market value of collateral held by the Portfolio was $6,443,991. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $3,601,388.  
  (c) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
  (d) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
  (e) Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of March 31, 2020, the total market value of fair valued securities was $50,292, which represented less than one-tenth of a percent of the Portfolio's net assets.
  (f) Current yield as of March 31, 2020.
  (g) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages:
ADR —American Depositary Receipt
ETF —Exchange-Traded Fund
GDR —Global Depositary Receipt
NVDR —Non-Voting Depositary Receipt
PCL —Provision for Credit Losses

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets: 

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
  (Level 1)
   Significant
Other
Observable
Inputs
  (Level 2)
   Significant
Unobservable
Inputs
  (Level 3)
   Total 
     
Asset Valuation Inputs                     
                     
Investments in Securities (a)                    
Common Stocks: (b)                    
Canada  $1,025,593   $   $   $1,025,593 
China   31,436,678    86,014,579        117,451,257 
Greece       751,392    50,292    801,684 
Hong Kong       2,678,291        2,678,291 
Hungary       396,022        396,022 
India   182,476    19,151,862        19,334,338 
Indonesia       2,054,637        2,054,637 
Malaysia       4,054,303        4,054,303 
Philippines       2,319,439        2,319,439 
Poland   315,137    2,973,968        3,289,105 
Republic of Korea       33,632,194        33,632,194 
Romania       198,620        198,620 
Russia   10,396,948    1,610,588        12,007,536 
Singapore       181,321        181,321 
South Africa   287,605    11,726,092        12,013,697 
Taiwan   917,870    32,523,825        33,441,695 
Thailand       2,766,519        2,766,519 
Turkey       1,831,362        1,831,362 
All Other Countries   18,825,323            18,825,323 
Total Common Stocks (b)   63,072,493    205,180,151    50,292    268,302,936 
Exchange-Traded Funds   4,154,950            4,154,950 
Preferred Stocks   2,837,298    3,966,270        6,803,568 
Short-Term Investments                    
Affiliated Investment Company   4,422,895            4,422,895 
Unaffiliated Investment Company   2,842,603            2,842,603 
Total Short-Term Investments   7,265,498            7,265,498 
Total Investments in Securities  $77,330,239   $209,146,421   $50,292   $286,526,952 

 

(a)

For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)

The Level 3 securities valued at $0, $50,292 and $0 are held in China, Greece and Hong Kong, respectively, within the Common Stocks section of the Portfolio of Investments. 

     

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value:          

 

Investments in Securities  Balance as of
December 31, 2019
   Accrued Discounts (Premiums)  Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Purchases   Sales   Transfers
in to
Level 3
  Transfers
out of
Level 3
   Balance
as of 
March 31, 2020
   Change in Unrealized Appreciation (Depreciation) from Investments Still Held as of March 31, 2020 
Common Stocks                                                
   $51,150   $-  $(11,839)  $(44,525)  $204,190   $(47,162)  $-  $101,522   $50,292   $(44,525)
                                                 
Total  $51,150   $-  $(11,839)  $(44,525)  $204,190   $(47,162)  $-  $101,522   $50,292   $(44,525)

 

As of March 31, 2020, a security with a market value of $101,522 transferred from Level 3 to Level 1 as the the fair value obtained from an independent pricing service, utilized significant other observable inputs. As of December 31, 2019, the fair value obtained for this security, as determined by an independent pricing service, utilized significant unobservable inputs.

 

 

 

  

MainStay VP IQ Hedge Multi-Strategy Portfolio  
   
Portfolio of Investments  March 31, 2020 (Unaudited)  
   
  Shares       Value  
  Exchange-Traded Funds 97.4% †  
  Bonds 74.8%    
  Bank Loan Funds 13.3%    
  Invesco Senior Loan ETF (a)   1,636,519     $ 33,483,179  
  SPDR Blackstone / GSO Senior Loan ETF (a)   336,105       13,447,561  
    46,930,740  
  Emerging Bonds - Local Currency Funds 2.6%    
  SPDR Bloomberg Barclays Convertible Securities ETF   125,828       6,022,128  
  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF   25,347       620,748  
  VanEck Vectors J.P. Morgan EM Local Currency Bond ETF   79,999       2,277,571  
  WisdomTree Emerging Markets Local Debt Fund   3,254       96,091  
    9,016,538  
  Emerging Bonds - USD Funds 1.2%    
  iShares JP Morgan USD Emerging Markets Bond ETF   38,381       3,710,675  
  Vanguard Emerging Markets Government Bond ETF   6,397       450,349  
    4,161,024  
  Floating Rate - Investment Grade Funds 7.4%    
  iShares Floating Rate Bond ETF   400,800       19,534,992  
  SPDR Bloomberg Barclays Investment Grade Floating Rate ETF (a)   230,998       6,791,341  
    26,326,333  
  High Yield Corporate Bond Funds 6.6%    
  iShares 0-5 Year High Yield Corporate Bond ETF   150,808       6,163,523  
  iShares iBoxx High Yield Corporate Bond ETF   94,083       7,250,977  
  SPDR Bloomberg Barclays High Yield Bond ETF   41,045       3,888,603  
  SPDR Bloomberg Barclays Short Term High Yield Bond ETF (a)   171,634       4,043,697  
  Xtrackers USD High Yield Corporate Bond ETF   48,871       2,153,745  
    23,500,545  
  Investment Grade Corporate Bond Funds 9.9%    
  iShares Broad USD Investment Grade Corporate Bond ETF   13,047       730,893  
  iShares iBoxx  Investment Grade Corporate Bond ETF (a)   47,544       5,872,160  
  SPDR Portfolio Short Term Corporate Bond ETF   164,965       4,990,191  
  Vanguard Intermediate-Term Corporate Bond ETF   58,214       5,069,857  
  Vanguard Short-Term Corporate Bond ETF (a)   233,749       18,489,546  
    35,152,647  
  Mortgage-Backed Security Funds 4.2%    
  iShares MBS ETF   90,809       10,028,946  
  Vanguard Mortgage-Backed Securities ETF   91,451       4,984,079  
    15,013,025  
  U.S. Long Term Treasury Bond Funds 0.9%    
  iShares 20+ Year Treasury Bond ETF   15,388       2,538,558  
  SPDR Portfolio Long-Term Treasury ETF   5,938       280,511  
  Vanguard Long-Term Treasury ETF   2,643       266,970  
    3,086,039  
  U.S. Ultra Short Term Treasury Bond Funds 28.7%    
  Goldman Sachs Access Treasury 0-1 Year ETF   104,875       10,568,254  
  Invesco Treasury Collateral ETF   18,518       1,966,426  
  iShares Short Treasury Bond ETF   554,043       61,509,854  
  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF (a)   297,282       27,239,950  
    101,284,484  
       
  Total Bonds
(Cost $276,249,859)
  264,471,375  
     
  Equities 21.1%  
  Asia ex Japan Equity Funds 3.8%    
  iShares Core MSCI Pacific ETF   127,872       5,928,146  
  iShares MSCI All Country Asia ex-Japan ETF (a)   99,298       5,930,076  
  Vanguard FTSE Pacific ETF (a)   30,987       1,709,243  
    13,567,465  
  BRIC Equity Funds 0.7%    
  iShares China Large-Cap ETF   27,105       1,017,522  
  iShares MSCI China ETF   19,361       1,108,417  
  SPDR S&P China ETF (a)   3,425       312,531  
    2,438,470  
  Broad Fund 0.1%    
  FlexShares Global Upstream Natural Resources Index Fund (a)   12,709       286,334  
                 
  Emerging Equity Funds 0.2%    
  iShares Core MSCI Emerging Markets ETF   10,197       412,672  
  Vanguard FTSE Emerging Markets ETF   13,474       452,053  
    864,725  
  Emerging Small Cap Equity Fund 0.8%    
  SPDR S&P Emerging Markets Small Cap ETF (a)   81,411       2,695,518  
                 
  Europe Equity Funds 2.2%    
  iShares Core MSCI Europe ETF   35,455       1,314,672  
  iShares MSCI Eurozone ETF (a)   55,487       1,692,908  
  Vanguard FTSE Europe ETF (a)   107,567       4,655,500  
    7,663,080  
  International Equity Core Funds 2.4%    
  iShares Core MSCI EAFE ETF   5,936       296,147  
  Vanguard FTSE Developed Markets ETF   9,357       311,962  
  Xtrackers MSCI EAFE Hedged Equity ETF (a)   291,152       7,802,874  
    8,410,983  
  International Large Cap Growth Fund 0.9%    
  iShares MSCI EAFE Growth ETF (a)   44,968       3,197,675  
     
  International Small Cap Equity Funds 4.2%    
  Schwab International Small-Cap Equity ETF (a)   190,956       4,659,326  
  Vanguard FTSE All World ex-U.S. Small-Cap ETF (a)   131,714       10,306,621  
    14,965,947  
  Japan Equity Fund 0.6%    
  iShares MSCI Japan ETF (a)   42,898       2,118,732  
                 
  U.S. Large Cap Core Funds 0.9%    
  Financial Select Sector SPDR Fund (a)   70,544       1,468,726  
  Health Care Select Sector SPDR Fund (a)   17,685       1,566,537  
  Invesco KBW Bank ETF   747       25,039  
  SPDR S&P Bank ETF (a)   2,913       78,535  
    3,138,837  
  U.S. Large Cap Growth Funds 0.4%    
  iShares Core S&P U.S. Growth ETF (a)   2,416       137,929  
  Schwab U.S. Large-Cap Growth ETF (a)   2,067       164,637  
  SPDR Portfolio S&P 500 Growth ETF (a)   3,188       113,939  
  Vanguard Growth ETF (a)   5,365       840,642  
    1,257,147  
  U.S. Preferred 0.8%    
  Invesco Preferred ETF   57,162       752,252  
  iShares Preferred & Income Securities ETF   63,804       2,031,519  
    2,783,771  
  U.S. Small Cap Core Funds 0.7%    
  iShares Russell 2000 ETF (a)   11,722       1,341,700  
  Schwab U.S. Small-Cap ETF (a)   5,237       269,810  
  Vanguard Small-Cap ETF (a)   7,595       876,767  
    2,488,277  
  U.S. Small Cap Growth Funds 2.4%    
  iShares Russell 2000 Growth ETF (a)   20,607       3,259,409  
  iShares S&P Small-Cap 600 Growth ETF (a)   12,963       1,787,079  
  Vanguard Small-Cap Growth ETF (a)   23,094       3,471,029  
    8,517,517  
  Total Equities
(Cost $91,980,847)
  74,394,478  
  Total Exchange-Traded Funds
(Cost $368,230,706))
  338,865,853  
         
  Exchange-Traded Note 0.9%  
  Volatility 0.9%    
  iPath Series B S&P 500 VIX Short-Term Futures ETN (b)     68,407       3,163,824  
                   
  Total Exchange-Traded Note
(Cost $1,257,635)
  3,163,824  
 
  Exchange-Traded Vehicles 0.5%  
  Currencies 0.5%    
  British Pound Fund 0.5%    
  Invesco CurrencyShares British Pound Sterling Trust (b)   13,061       1,573,328  
   
  Euro Fund 1.5%    
  Invesco CurrencyShares Euro Trust (b)   51,441       5,365,296  
   
  Total Exchange-Traded Vehicles
(Cost $7,047,457)
  6,938,624  
   
  Short-Term Investments 12.0%  
  Affiliated Investment Company 0.1%    
  MainStay U.S. Government Liquidity Fund, 0.09% (c)     492,349       492,349  
   
  Unaffiliated Investment Company 11.9%    
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (c)(d)     42,078,331       42,078,331  
  Total Short-Term Investments
(Cost $42,570,680)
  42,570,680  
  Total Investments
(Cost $419,106,478)
  110.8 %   391,538,981  
  Other Assets, Less Liabilities   (10.8 )     (38,118,607 )
  Net Assets   100.0 % $ 353,420,374  

 

Percentages indicated are based on Portfolio net assets.
(a) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $95,437,441; the total market value of collateral held by the Portfolio was $97,824,094. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $55,745,763.  
(b) Non-income producing security.
(c) Current yield as of March 31, 2020.
(d) Represents a security purchased with cash collateral received for securities on loan.

 

Swap Contracts

 

Open OTC total return equity swap contracts as of March 31, 2020 were as follows:

 

Swap
Counterparty
  Reference Obligation 

Floating Rate 1

  Termination
Date(s)
  Payment
Frequency
Paid/Received
  Notional
Amount
Long/
(Short)
(000)*
  

Unrealized
Appreciation2

 
Bank of America Merrill Lynch  Consumer Discretionary Select Sector SPDR Fund  1 month LIBOR  10/04/2021   Monthly   $(568)  $ 
Morgan Stanley & Co.  Consumer Discretionary Select Sector SPDR Fund  Federal Fund Rate minus 0.05%  9/15/2020   Monthly    (568)    
Bank of America Merrill Lynch  Energy Select Sector SPDR Fund  1 month LIBOR  10/04/2021   Monthly    (561)    
Morgan Stanley & Co.  Energy Select Sector SPDR Fund  Federal Fund Rate minus 0.10%  9/15/2020   Monthly    (561)    
Bank of America Merrill Lynch  Financial Select Sector SPDR Fund  1 month LIBOR plus 0.50%  4/07/2120   Monthly    88     
Morgan Stanley & Co.  Financial Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    88     
Bank of America Merrill Lynch  Flexshares Global Upstream  1 month LIBOR plus 0.50%  10/04/2021   Monthly    17     
Morgan Stanley & Co.  Flexshares Global Upstream  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    17     
Bank of America Merrill Lynch  Goldman Sachs Access Treasury 0-1 Year ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    493     
Morgan Stanley & Co.  Goldman Sachs Access Treasury 0-1 Year ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    493     
Bank of America Merrill Lynch  Graniteshares Gold Trust  1 month LIBOR  10/04/2021   Monthly    (10)    
Morgan Stanley & Co.  Graniteshares Gold Trust  Federal Fund Rate minus 4.25%  9/15/2020   Monthly    (10)    
Morgan Stanley & Co.  Health Care Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    78     
Bank of America Merrill Lynch  Health Care Select Sector SPDR Fund  1 month LIBOR plus 0.50%  4/07/2120   Monthly    78     
Bank of America Merrill Lynch  Invesco CurrencyShares Australian Dollar Trust  1 month LIBOR  10/04/2021   Monthly    (875)    
Morgan Stanley & Co.  Invesco CurrencyShares Australian Dollar Trust  Federal Fund Rate minus 3.70%  9/15/2020   Monthly    (114)    
Bank of America Merrill Lynch  Invesco CurrencyShares British Pound Sterling Trust  1 month LIBOR plus 0.50%  10/04/2021   Monthly    76     
Morgan Stanley & Co.  Invesco CurrencyShares British Pound Sterling Trust  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    76     
Bank of America Merrill Lynch  Invesco CurrencyShares Euro Currency Trust  1 month LIBOR plus 0.50%  10/04/2021   Monthly    253     
Morgan Stanley & Co.  Invesco CurrencyShares Euro Currency Trust  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    253     
Bank of America Merrill Lynch  Invesco CurrencyShares Japanese Yen Trust  1 month LIBOR  10/04/2021   Monthly    (26)    
Morgan Stanley & Co.  Invesco CurrencyShares Japanese Yen Trust  Federal Fund Rate minus 3.15%  9/15/2020   Monthly    (26)    
Bank of America Merrill Lynch  Invesco DB US Dollar Index Bullish Fund  1 month LIBOR  10/04/2021   Monthly    (631)    
Morgan Stanley & Co.  Invesco DB US Dollar Index Bullish Fund  Federal Fund Rate minus 5.40%  9/15/2020   Monthly    (631)    
Bank of America Merrill Lynch  Invesco KBW Bank ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    2     
Morgan Stanley & Co.  Invesco KBW Bank ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    2     
Bank of America Merrill Lynch  Invesco Preferred ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    39     
Morgan Stanley & Co.  Invesco Preferred ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    39     
Bank of America Merrill Lynch  Invesco S&P 500 Low Volatility  1 month LIBOR  10/04/2021   Monthly    (722)    
Morgan Stanley & Co.  Invesco S&P 500 Low Volatility  Federal Fund Rate minus 1.70%  9/15/2020   Monthly    (722)    
Bank of America Merrill Lynch  Invesco Senior Loan ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    1,688     
Morgan Stanley & Co.  Invesco Senior Loan ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    1,689     
Bank of America Merrill Lynch  Invesco Treasury Collateral ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    92     
Morgan Stanley & Co.  Invesco Treasury Collateral ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    92     
Bank of America Merrill Lynch  iPath Series B S&P 500 VIX Short-Term Futures ETN  1 month LIBOR plus 0.50%  10/04/2021   Monthly    73     
Morgan Stanley & Co.  iPath Series B S&P 500 VIX Short-Term Futures ETN  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    73     
Bank of America Merrill Lynch  iShares 0-5 Year High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    324     
Morgan Stanley & Co.  iShares 0-5 Year High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    324     
Bank of America Merrill Lynch  iShares 20+ Year Treasury Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    112     
Morgan Stanley & Co.  iShares 20+ Year Treasury Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    112     
Bank of America Merrill Lynch  iShares 3-7 Year Treasury Bond ETF  1 month LIBOR  10/04/2021   Monthly    (1,293)    
Morgan Stanley & Co.  iShares 3-7 Year Treasury Bond ETF  Federal Fund Rate minus 2.40%  9/15/2020   Monthly    (1,293)    
Bank of America Merrill Lynch  iShares Broad USD Investment Grade Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    37     
Morgan Stanley & Co.  iShares Broad USD Investment Grade Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    37     
Morgan Stanley & Co.  iShares China Large-Cap ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    103     
Bank of America Merrill Lynch  iShares Core MSCI EAFE ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    16     
Morgan Stanley & Co.  iShares Core MSCI EAFE ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    16     
Bank of America Merrill Lynch  iShares Core MSCI Emerging Markets ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    23     
Morgan Stanley & Co.  iShares Core MSCI Emerging Markets ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    23     
Bank of America Merrill Lynch  iShares Core MSCI Europe ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    74     
Morgan Stanley & Co.  iShares Core MSCI Europe ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    74     
Bank of America Merrill Lynch  iShares Core MSCI Pacific ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    313     
Morgan Stanley & Co.  iShares Core MSCI Pacific ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    313     
Bank of America Merrill Lynch  iShares Core S&P U.S. Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    7     
Morgan Stanley & Co.  iShares Core S&P U.S. Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    7     
Bank of America Merrill Lynch  iShares Core S&P U.S. Value ETF  1 month LIBOR  10/04/2021   Monthly    (267)    
Morgan Stanley & Co.  iShares Core S&P U.S. Value ETF  Federal Fund Rate minus 3.30%  9/15/2020   Monthly    (267)    
Bank of America Merrill Lynch  iShares Core US REIT ETF  1 month LIBOR  10/04/2021   Monthly    (21)    
Morgan Stanley & Co.  iShares Core US REIT ETF  Federal Fund Rate minus 4.00%  9/15/2020   Monthly    (21)    
Bank of America Merrill Lynch  iShares Edge MSCI Min Vol Emerging Markets ETF  1 month LIBOR  10/04/2021   Monthly    (720)    
Morgan Stanley & Co.  iShares Edge MSCI Min Vol Emerging Markets ETF  Federal Fund Rate minus 0.35%  9/15/2020   Monthly    (720)    
Bank of America Merrill Lynch  iShares Edge MSCI Min Vol USA ETF  1 month LIBOR  10/04/2021   Monthly    (2,180)    
Morgan Stanley & Co.  iShares Edge MSCI Min Vol USA ETF  Federal Fund Rate minus 0.55%  9/15/2020   Monthly    (2,180)    
Bank of America Merrill Lynch  iShares Edge MSCI USA Momentum Factor ETF  1 month LIBOR  10/04/2021   Monthly    (112)    
Morgan Stanley & Co.  iShares Edge MSCI USA Momentum Factor ETF  Federal Fund Rate minus 0.60%  9/15/2020   Monthly    (112)    
Bank of America Merrill Lynch  iShares Floating Rate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    954     
Morgan Stanley & Co.  iShares Floating Rate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    954     
Bank of America Merrill Lynch  iShares iBoxx $ Investment Grade Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    294     
Morgan Stanley & Co.  iShares iBoxx $ Investment Grade Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    294     
Bank of America Merrill Lynch  iShares iBoxx High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    378     
Morgan Stanley & Co.  iShares iBoxx High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    378     
Bank of America Merrill Lynch  iShares JP Morgan USD Emerging Markets Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    207     
Morgan Stanley & Co.  iShares JP Morgan USD Emerging Markets Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    207     
Bank of America Merrill Lynch  iShares MBS ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    466     
Morgan Stanley & Co.  iShares MBS ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    466     
Bank of America Merrill Lynch  iShares MSCI All Country Asia ex Japan ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    317     
Morgan Stanley & Co.  iShares MSCI All Country Asia ex Japan ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    317     
Morgan Stanley & Co.  iShares MSCI China ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    112     
Bank of America Merrill Lynch  iShares MSCI EAFE Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    167     
Morgan Stanley & Co.  iShares MSCI EAFE Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    167     
Bank of America Merrill Lynch  iShares MSCI Eurozone ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    98     
Morgan Stanley & Co.  iShares MSCI Eurozone ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    98     
Bank of America Merrill Lynch  iShares MSCI Japan ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    107     
Morgan Stanley & Co.  iShares MSCI Japan ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    107     
Bank of America Merrill Lynch  iShares Russell 2000 ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    80     
Morgan Stanley & Co.  iShares Russell 2000 ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    80     
Bank of America Merrill Lynch  iShares Russell 2000 Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    190     
Morgan Stanley & Co.  iShares Russell 2000 Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    190     
Bank of America Merrill Lynch  iShares Russell 2000 Value ETF  1 month LIBOR  10/04/2021   Monthly    (861)    
Morgan Stanley & Co.  iShares Russell 2000 Value ETF  Federal Fund Rate minus 0.65%  9/15/2020   Monthly    (861)    
Bank of America Merrill Lynch  iShares S&P Small CAP 600 Value ETF  1 month LIBOR  10/04/2021   Monthly    (584)    
Morgan Stanley & Co.  iShares S&P Small CAP 600 Value ETF  Federal Fund Rate minus 3.80%  9/15/2020   Monthly    (584)    
Bank of America Merrill Lynch  iShares S&P Small-Cap 600 Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    105     
Morgan Stanley & Co.  iShares S&P Small-Cap 600 Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    105     
Bank of America Merrill Lynch  iShares Short Treasury Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    2,868     
Morgan Stanley & Co.  iShares Short Treasury Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    2,868     
Bank of America Merrill Lynch  iShares Silver Trust  1 month LIBOR  10/04/2021   Monthly    (137)    
Morgan Stanley & Co.  iShares Silver Trust  Federal Fund Rate minus 0.35%  9/15/2020   Monthly    (137)    
Bank of America Merrill Lynch  iShares U.S. Preferred Stock ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    108     
Morgan Stanley & Co.  iShares U.S. Preferred Stock ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    108     
Bank of America Merrill Lynch  Schwab Intermediate-Term U.S. Treasury ETF  1 month LIBOR  10/04/2021   Monthly    (704)    
Morgan Stanley & Co.  Schwab Intermediate-Term U.S. Treasury ETF  Federal Fund Rate minus 2.95%  9/15/2020   Monthly    (704)    
Bank of America Merrill Lynch  Schwab International Small-Cap Equity ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    271     
Morgan Stanley & Co.  Schwab International Small-Cap Equity ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    271     
Bank of America Merrill Lynch  Schwab U.S. Large Cap Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    9     
Morgan Stanley & Co.  Schwab U.S. Large Cap Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    9     
Bank of America Merrill Lynch  Schwab U.S. Large Cap Value ETF  1 month LIBOR  10/04/2021   Monthly    (279)    
Morgan Stanley & Co.  Schwab U.S. Large Cap Value ETF  Federal Fund Rate minus 2.60%  9/15/2020   Monthly    (279)    
Bank of America Merrill Lynch  Schwab U.S. REIT ETF  1 month LIBOR  10/04/2021   Monthly    (76)    
Morgan Stanley & Co.  Schwab U.S. REIT ETF  Federal Fund Rate minus 1.50%  9/15/2020   Monthly    (76)    
Bank of America Merrill Lynch  Schwab US Small-Cap ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    16     
Morgan Stanley & Co.  Schwab US Small-Cap ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    16     
Bank of America Merrill Lynch  SPDR Blackstone / GSO Senior Loan ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    715     
Morgan Stanley & Co.  SPDR Blackstone / GSO Senior Loan ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    715     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    1,272     
Morgan Stanley & Co.  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    1,272     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Convertible Securities ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    325     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Convertible Securities ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    325     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    32     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    32     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays High Yield Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    205     
Morgan Stanley & Co.  SPDR Bloomberg Barclays High Yield Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    205     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Invest  1 month LIBOR plus 0.50%  10/04/2021   Monthly    332     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Invest  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    332     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Short Term High Yield Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    214     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Short Term High Yield Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    214     
Bank of America Merrill Lynch  SPDR Dow Jones International Real Estate ETF  1 month LIBOR  10/04/2021   Monthly    (541)    
Morgan Stanley & Co.  SPDR Dow Jones International Real Estate ETF  Federal Fund Rate minus 0.65%  9/15/2020   Monthly    (541)    
Bank of America Merrill Lynch  SPDR Gold MiniShares Trust  1 month LIBOR  10/04/2021   Monthly    (20)    
Morgan Stanley & Co.  SPDR Gold MiniShares Trust  Federal Fund Rate minus 0.70%  9/15/2020   Monthly    (20)    
Bank of America Merrill Lynch  SPDR Gold Shares  1 month LIBOR  10/04/2021   Monthly    (704)    
Morgan Stanley & Co.  SPDR Gold Shares  Federal Fund Rate minus 0.35%  9/15/2020   Monthly    (704)    
Bank of America Merrill Lynch  SPDR Portfolio Long Term Treasury ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    12     
Morgan Stanley & Co.  SPDR Portfolio Long Term Treasury ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    12     
Bank of America Merrill Lynch  SPDR Portfolio S&P 500 Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    6     
Morgan Stanley & Co.  SPDR Portfolio S&P 500 Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    6     
Bank of America Merrill Lynch  SPDR Portfolio S&P 500 Value ETF  1 month LIBOR  10/04/2021   Monthly    (169)    
Morgan Stanley & Co.  SPDR Portfolio S&P 500 Value ETF  Federal Fund Rate minus 2.90%  9/15/2020   Monthly    (169)    
Bank of America Merrill Lynch  SPDR Portfolio Short Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    240     
Morgan Stanley & Co.  SPDR Portfolio Short Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    240     
Bank of America Merrill Lynch  SPDR S&P Bank ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    5     
Morgan Stanley & Co.  SPDR S&P Bank ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    5     
Morgan Stanley & Co.  SPDR S&P China ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    32     
Bank of America Merrill Lynch  SPDR S&P Emerging Markets Small Cap ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    158     
Morgan Stanley & Co.  SPDR S&P Emerging Markets Small Cap ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    158     
Bank of America Merrill Lynch  Technology Select Sector SPDR Fund  1 month LIBOR  10/04/2021   Monthly    (419)    
Morgan Stanley & Co.  Technology Select Sector SPDR Fund  Federal Fund Rate minus 0.05%  9/15/2020   Monthly    (419)    
Bank of America Merrill Lynch  VanEck Vectors High-Yield Municipal Index ETF  1 month LIBOR  10/04/2021   Monthly    (74)    
Morgan Stanley & Co.  VanEck Vectors High-Yield Municipal Index ETF  Federal Fund Rate minus 2.60%  9/15/2020   Monthly    (74)    
Bank of America Merrill Lynch  VanEck Vectors J.P. Morgan EM Local Currency Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    121     
Morgan Stanley & Co.  VanEck Vectors J.P. Morgan EM Local Currency Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    121     
Bank of America Merrill Lynch  Vanguard Emerging Markets Government Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    24     
Morgan Stanley & Co.  Vanguard Emerging Markets Government Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    24     
Bank of America Merrill Lynch  Vanguard FTSE All World ex-U.S. Small-Cap ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    609     
Morgan Stanley & Co.  Vanguard FTSE All World ex-U.S. Small-Cap ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    609     
Bank of America Merrill Lynch  Vanguard FTSE Developed Markets ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    17     
Morgan Stanley & Co.  Vanguard FTSE Developed Markets ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    17     
Bank of America Merrill Lynch  Vanguard FTSE Emerging Markets ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    26     
Morgan Stanley & Co.  Vanguard FTSE Emerging Markets ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    26     
Bank of America Merrill Lynch  Vanguard FTSE Europe ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    265     
Morgan Stanley & Co.  Vanguard FTSE Europe ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    265     
Bank of America Merrill Lynch  Vanguard FTSE Pacific ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    90     
Morgan Stanley & Co.  Vanguard FTSE Pacific ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    90     
Bank of America Merrill Lynch  Vanguard Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    44     
Morgan Stanley & Co.  Vanguard Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    44     
Bank of America Merrill Lynch  Vanguard Intermediate-Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    256     
Morgan Stanley & Co.  Vanguard Intermediate-Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    256     
Bank of America Merrill Lynch  Vanguard Intermediate-Term Treasury ETF  1 month LIBOR  10/04/2021   Monthly    (661)    
Morgan Stanley & Co.  Vanguard Intermediate-Term Treasury ETF  Federal Fund Rate minus 6.55%  9/15/2020   Monthly    (661)    
Bank of America Merrill Lynch  Vanguard Long-Term Treasury ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    12     
Morgan Stanley & Co.  Vanguard Long-Term Treasury ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    12     
Bank of America Merrill Lynch  Vanguard Mortgage-Backed Securities ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    231     
Morgan Stanley & Co.  Vanguard Mortgage-Backed Securities ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    231     
Bank of America Merrill Lynch  Vanguard Real Estate ETF  1 month LIBOR  10/04/2021   Monthly    (471)    
Morgan Stanley & Co.  Vanguard Real Estate ETF  Federal Fund Rate minus 0.15%  9/15/2020   Monthly    (471)    
Bank of America Merrill Lynch  Vanguard Short-Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    897     
Morgan Stanley & Co.  Vanguard Short-Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    897     
Bank of America Merrill Lynch  Vanguard Small-Cap ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    53     
Morgan Stanley & Co.  Vanguard Small-Cap ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    53     
Bank of America Merrill Lynch  Vanguard Small-Cap Growth ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    199     
Morgan Stanley & Co.  Vanguard Small-Cap Growth ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    199     
Bank of America Merrill Lynch  Vanguard Small-Cap Value ETF  1 month LIBOR  10/04/2021   Monthly    (1,359)    
Morgan Stanley & Co.  Vanguard Small-Cap Value ETF  Federal Fund Rate minus 1.10%  9/15/2020   Monthly    (1,359)    
Bank of America Merrill Lynch  Vanguard Value ETF  1 month LIBOR  10/04/2021   Monthly    (2,187)    
Morgan Stanley & Co.  Vanguard Value ETF  Federal Fund Rate minus 0.35%  9/15/2020   Monthly    (2,187)    
Bank of America Merrill Lynch  WisdomTree Emerging Markets Local Debt Fund  1 month LIBOR plus 0.50%  10/04/2021   Monthly    5     
Morgan Stanley & Co.  WisdomTree Emerging Markets Local Debt Fund  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    5     
Bank of America Merrill Lynch  Xtrackers MSCI EAFE Hedged Equity ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    417     
Morgan Stanley & Co.  Xtrackers MSCI EAFE Hedged Equity ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    417     
Bank of America Merrill Lynch  Xtrackers MSCI Europe Hedged Equity ETF  1 month LIBOR  10/04/2021   Monthly    (589)    
Morgan Stanley & Co.  Xtrackers MSCI Europe Hedged Equity ETF  Federal Fund Rate minus 10.50%  9/15/2020   Monthly    (589)    
Bank of America Merrill Lynch  Xtrackers MSCI Japan Hedged Equity ETF  1 month LIBOR  10/04/2021   Monthly    (821)    
Morgan Stanley & Co.  Xtrackers MSCI Japan Hedged Equity ETF  Federal Fund Rate minus 6.85%  9/15/2020   Monthly    (820)    
Bank of America Merrill Lynch  Xtrackers USD High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021   Monthly    112     
Morgan Stanley & Co.  Xtrackers USD High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/15/2020   Monthly    112     
               $(1,606)  $ 

 

1 Portfolio pays or receives the floating rate and receives or pays the total return of the reference entity.
2 Reflects the value at reset date as of March 31, 2020.
* Notional amounts reflected as a positive value indicate a long position held by the Portfolio and a negative value indicates a short position.

 

The following abbreviations are used in the preceding pages:

BRIC Brazil, Russia, India and China
DB Deutsche Bank
EAFE Europe, Australasia and Far East
EM Emerging Markets
ETF Exchange-Traded Fund
ETN Exchange-Traded Note
FTSE Financial Times Stock Exchange
KBW Keefe, Bruyette & Woods
LIBOR London Interbank Offered Rate
MBS Mortgage-Backed Security
MSCI Morgan Stanley Capital International
REIT Real Estate Investment Trust
SPDR Standard & Poor's Depositary Receipt
USD United States Dollar
VIX CBOE Volatility Index

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                 
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Exchange-Traded Funds  $338,865,853   $   $   $338,865,853 
Exchange-Traded Note   3,163,824            3,163,824 
Exchange-Traded Vehicle   6,938,624            6,938,624 
Short-Term Investments                    
Affiliated Investment Company   492,349            492,349 
Unaffiliated Investment Company   42,078,331            42,078,331 
Total Short-Term Investments   42,570,680            42,570,680 
Total Investments in Securities  $391,538,981   $   $   $391,538,981 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP Balanced Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

              

     Principal
Amount
   Value 
  Long-Term Bonds 42.5% †
  Asset-Backed Securities 4.9%
  Automobile Asset-Backed Securities 0.1%          
  Avis Budget Rental Car Funding AESOP LLC
Series 2019-3A, Class A
2.36%, due 3/20/26 (a)
  $500,000   $437,741 
             
  Other Asset-Backed Securities 4.8%          
  AIMCO CLO
Series 2017-AA, Class A
3.079% (3 Month LIBOR + 1.26%), due 7/20/29 (a)(b)
   250,000    239,914 
  Apidos CLO XXV
Series 2016-25A, Class A1R
2.989% (3 Month LIBOR + 1.17%), due 10/20/31 (a)(b)
   400,000    375,947 
  Apidos CLO XXXII
Series 2019-32A, Class A1
3.003% (3 Month LIBOR + 1.32%), due 1/20/33 (a)(b)
   500,000    469,258 
  ARES XLI CLO, Ltd.
Series 2016-41A, Class AR
3.031% (3 Month LIBOR + 1.20%), due 1/15/29 (a)(b)
   600,000    574,073 
  ARES XXIX CLO, Ltd.
Series 2014-1A, Class A1R
3.026% (3 Month LIBOR + 1.19%), due 4/17/26 (a)(b)
   52,477    52,037 
  Bain Capital Credit CLO, Ltd.
Series 2016-2A, Class AR
2.971% (3 Month LIBOR + 1.14%), due 1/15/29 (a)(b)
   400,000    385,512 
  Benefit Street Partners CLO IV, Ltd.
Series 2014-IVA, Class A1
3.069% (3 Month LIBOR + 1.25%), due 1/20/29 (a)(b)
   300,000    290,524 
  Benefit Street Partners CLO XVIII, Ltd.
Series 2019-18A, Class A
3.249% (3 Month LIBOR + 1.34%), due 10/15/32 (a)(b)
   250,000    232,293 
  Cedar Funding IV CLO, Ltd.
Series 2014-4A, Class AR
3.036% (3 Month LIBOR + 1.23%), due 7/23/30 (a)(b)
   750,000    715,051 
  Deutsche Bank Master Finance LLC
Series 2019-1A, Class A2I
3.787%, due 5/20/49 (a)
   545,875    527,583 
  Domino’s Pizza Master Issuer LLC
Series 2017-1A, Class A2II
3.082%, due 7/25/47 (a)
   1,270,750    1,226,693 
  Dryden CLO, Ltd.
Series 2019-76A, Class A1
3.264% (3 Month LIBOR + 1.33%), due 10/20/32 (a)(b)
   250,000    236,472 
  Elara HGV Timeshare Issuer LLC
Series 2017-A, Class A
2.69%, due 3/25/30 (a)
   91,080    88,950 
  ELFI Graduate Loan Program LLC
Series 2019-A, Class A
2.54%, due 3/25/44 (a)
   646,107    652,010 
  FOCUS Brands Funding LLC
Series 2017-1A, Class A2I
3.857%, due 4/30/47 (a)
   97,250    91,813 
  Galaxy XXII CLO, Ltd.
Series 2016-22A, Class A1R
2.843% (3 Month LIBOR + 1.00%), due 7/16/28 (a)(b)
   250,000    241,669 
  Highbridge Loan Management, Ltd.
Series 2011A-17, Class AR
2.657% (3 Month LIBOR + 1.02%), due 5/6/30 (a)(b)
   850,000    805,428 
  Hilton Grand Vacations Trust
Series 2018-AA, Class A
3.54%, due 2/25/32 (a)
   286,269    285,400 
  Magnetite XVIII, Ltd. (a)(b)          
  Series 2016-18A, Class AR
2.772% (3 Month LIBOR + 1.08%), due 11/15/28
   400,000    385,093 
  Series 2019-23A, Class A
3.17% (3 Month LIBOR + 1.30%), due 10/25/32
   250,000    234,894 
  MVW Owner Trust
Series 2019-1A, Class A
2.89%, due 11/20/36 (a)
   212,732    198,631 
  Navient Private Education Refi Loan Trust
Series 2019-CA, Class A2
3.13%, due 2/15/68 (a)
   300,000    295,341 
  Neuberger Berman CLO XIV, Ltd.
Series 2013-14A, Class AR2
2.646% (3 Month LIBOR + 1.03%), due 1/28/30 (a)(b)
   250,000    239,582 
  Neuberger Berman CLO, Ltd.
Series 2017-24A, Class AR
1.804% (3 Month LIBOR + 1.02%), due 4/19/30 (a)(b)
   250,000    238,336 
  Octagon Investment Partners 29, Ltd.
Series 2016-1A, Class AR
2.981% (3 Month LIBOR + 1.18%), due 1/24/33 (a)(b)
   350,000    321,516 
  Octagon Investment Partners 30, Ltd.
Series 2017-1A, Class A1
3.139% (3 Month LIBOR + 1.32%), due 3/17/30 (a)(b)
   350,000    332,329 
  Palmer Square CLO, Ltd. (a)(b)          
  Series 2015-1A, Class A1R2
2.916% (3 Month LIBOR + 1.22%), due 5/21/29
   500,000    483,627 
  Series 2014-1A, Class A1R2
2.966% (3 Month LIBOR + 1.13%), due 1/17/31
   250,000    238,266 
  Series-2015-2A, Class A2R2
3.369% (3 Month LIBOR + 1.55%), due 7/20/30
   750,000    682,631 
  Regatta VI Funding, Ltd.
Series 2016-1A, Class AR
2.899% (3 Month LIBOR + 1.08%), due 7/20/28 (a)(b)
   650,000    631,690 
  Sierra Timeshare Receivables Funding Co. LLC
Series 2019-1A, Class A
3.20%, due 1/20/36 (a)
   114,953    114,066 
  SMB Private Education Loan Trust
Series 2019-B, Class A2A
2.84%, due 6/15/37 (a)
   500,000    472,516 
  SoFi Professional Loan Program LLC (a)          
  Series 2019-C, Class A2FX
2.37%, due 11/16/48
   250,000    249,782 
  Series 2020-A, Class A2FX
2.54%, due 5/15/46
   200,000    193,433 
  Series 2019-A, Class A1FX
3.18%, due 6/15/48
   135,196    135,018 
  Taco Bell Funding, LLC
Series 2018-1A, Class A2I
4.318%, due 11/25/48 (a)
   395,000    385,129 
  THL Credit Wind River CLO, Ltd.
Series 2017-4A, Class A
2.845% (3 Month LIBOR + 1.15%), due 11/20/30 (a)(b)
   250,000    236,684 
  TIAA CLO III, Ltd.
Series 2017-2A, Class A
2.993% (3 Month LIBOR + 1.15%), due 1/16/31 (a)(b)
   350,000    323,648 
  TICP CLO XIII, Ltd.
Series 2019 13A, Class A
3.131% (3 Month LIBOR + 1.30%), due 7/15/32 (a)(b)
   350,000    333,393 
  Treman Park CLO, Ltd.
Series 2015-1A, Class ARR
2.889% (3 Month LIBOR + 1.07%), due 10/20/28 (a)(b)
   260,000    251,610 
  Voya CLO, Ltd.
Series 2019-1A, Class AR
2.57% (3 Month LIBOR + 1.06%), due 4/15/31 (a)(b)
   250,000    233,641 
  Westcott Park CLO, Ltd.
Series 2016 1A, Class AR
3.029% (3 Month LIBOR + 1.21%), due 7/20/28 (a)(b)
   400,000    386,363 
           15,087,846 
  Total Asset-Backed Securities
(Cost $16,255,780)
        15,525,587 
             
  Corporate Bonds 20.0%          
  Aerospace & Defense 0.4%          
  BAE Systems Holdings, Inc.
3.85%, due 12/15/25 (a)
   445,000    452,489 
  Boeing Co.          
  2.70%, due 2/1/27   325,000    298,013 
  2.95%, due 2/1/30   375,000    351,465 
  3.10%, due 5/1/26   240,000    220,786 
           1,322,753 
  Apparel 0.2%          
  Nike, Inc.
2.85%, due 3/27/30
   475,000    501,878 
             
  Auto Manufacturers 1.2%          
  Daimler Finance North America LLC
2.592% (3 Month LIBOR + 0.90%), due 2/15/22 (a)(b)
   550,000    509,780 
  Ford Motor Credit Co. LLC          
  3.087%, due 1/9/23   425,000    391,000 
  3.664%, due 9/8/24   975,000    877,500 
  General Motors Financial Co., Inc.
4.35%, due 4/9/25
   600,000    520,564 
  Volkswagen Group of America Finance LLC (a)          
  2.064% (3 Month LIBOR + 0.86%), due 9/24/21 (b)   275,000    251,858 
  3.20%, due 9/26/26   300,000    288,497 
  4.00%, due 11/12/21   925,000    915,046 
           3,754,245 
  Banks 5.7%          
  Bank of America Corp.
4.45%, due 3/3/26
   2,405,000    2,590,273 
  Canadian Imperial Bank of Commerce
2.25%, due 1/28/25
   525,000    518,781 
  Citigroup, Inc.
4.60%, due 3/9/26
   805,000    853,874 
  Fifth Third Bancorp
4.30%, due 1/16/24
   875,000    927,029 
  Goldman Sachs Group, Inc.          
  2.60%, due 2/7/30   350,000    330,070 
  3.85%, due 1/26/27   550,000    567,094 
  HSBC Holdings PLC
2.292% (3 Month LIBOR + 0.60%), due 5/18/21 (b)
   600,000    587,720 
  Huntington Bancshares, Inc.
2.625%, due 8/6/24
   1,250,000    1,293,419 
  JPMorgan Chase & Co.
2.301% (SOFR + 1.16%), due 10/15/25 (b)
   2,255,000    2,243,744 
  KeyBank N.A.
1.25%, due 3/10/23
   950,000    931,566 
  Lloyds Banking Group PLC
2.907%, due 11/7/23 (c)
   430,000    426,871 
  Mizuho Financial Group, Inc. (b)          
  1.623% (3 Month LIBOR + 0.85%), due 9/13/23   300,000    274,889 
  2.309% (3 Month LIBOR + 0.63%), due 5/25/24   1,430,000    1,299,012 
  Morgan Stanley          
  2.72%, due 7/22/25 (c)   550,000    551,075 
  3.625%, due 1/20/27   300,000    320,974 
  4.35%, due 9/8/26   695,000    736,193 
  Santander UK PLC
2.10%, due 1/13/23
   200,000    193,656 
  Societe Generale S.A.
2.625%, due 1/22/25 (a)
   1,600,000    1,540,291 
  Truist Bank
1.50%, due 3/10/25
   400,000    386,387 
  Wells Fargo & Co.
2.164%, due 2/11/26 (c)
   1,275,000    1,249,096 
           17,822,014 
  Beverages 0.2%          
  Anheuser-Busch InBev Worldwide, Inc.
4.75%, due 1/23/29
   660,000    728,541 
             
  Building Materials 0.5%          
  Masco Corp.
4.45%, due 4/1/25
   1,000,000    995,124 
  Owens Corning
3.95%, due 8/15/29
   600,000    566,399 
           1,561,523 
  Chemicals 0.3%          
  Albemarle Corp.
2.742% (3 Month LIBOR + 1.05%), due 11/15/22 (a)(b)
   575,000    547,536 
  NewMarket Corp.
4.10%, due 12/15/22
   475,000    511,247 
           1,058,783 
  Diversified Financial Services 0.6%          
  Ameriprise Financial, Inc.
3.00%, due 4/2/25
   250,000    248,942 
  Blackstone Holdings Finance Co. LLC
2.50%, due 1/10/30 (a)
   300,000    270,808 
  GE Capital International Funding Co.
3.373%, due 11/15/25
   1,215,000    1,208,943 
           1,728,693 
  Electric 2.5%          
  American Electric Power Co., Inc.
2.30%, due 3/1/30
   350,000    326,360 
  Commonwealth Edison Co.
3.10%, due 11/1/24
   475,000    485,247 
  DTE Electric Co.
2.65%, due 6/15/22
   450,000    446,838 
  Electricite de France S.A.
2.35%, due 10/13/20 (a)
   1,775,000    1,770,945 
  Emera U.S. Finance, L.P.
2.70%, due 6/15/21
   875,000    885,117 
  Entergy Arkansas LLC
3.70%, due 6/1/24
   450,000    472,225 
  Entergy Corp.
4.00%, due 7/15/22
   875,000    897,995 
  Evergy, Inc.
4.85%, due 6/1/21
   330,000    333,515 
  Exelon Corp.          
  2.85%, due 6/15/20   500,000    499,945 
  4.05%, due 4/15/30   250,000    252,500 
  FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
   600,000    624,299 
  NextEra Energy Capital Holdings, Inc.
3.25%, due 4/1/26
   450,000    461,272 
  WEC Energy Group, Inc.
3.375%, due 6/15/21
   400,000    401,603 
           7,857,861 
  Electrical Equipment 0.1%          
  Carrier Global Corp.
2.722%, due 2/15/30 (a)
   425,000    391,609 
             
  Food 0.2%          
  Conagra Brands, Inc.
4.85%, due 11/1/28
   400,000    428,275 
  General Mills, Inc.
2.875%, due 4/15/30
   150,000    149,700 
  Ingredion, Inc.
4.625%, due 11/1/20
   175,000    175,106 
           753,081 
  Insurance 0.3%          
  MET Tower Global Funding
1.561% (SOFR + 0.55%), due 1/17/23 (a)(b)
   850,000    773,976 
  Prudential Financial, Inc.
2.10%, due 3/10/30
   300,000    277,341 
           1,051,317 
  Iron & Steel 0.3%          
  Carpenter Technology Corp.
4.45%, due 3/1/23
   125,000    114,138 
  Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
   825,000    816,781 
           930,919 
  Machinery - Diversified 0.1%          
  Deere & Co.
3.10%, due 4/15/30
   400,000    423,382 
             
  Media 0.1%          
  Comcast Corp.
3.10%, due 4/1/25
   325,000    345,223 
             
  Mining 0.2%          
  Anglo American Capital PLC (a)          
  5.375%, due 4/1/25   320,000    323,362 
  5.625%, due 4/1/30   400,000    405,649 
           729,011 
  Oil & Gas 0.5%          
  Cenovus Energy, Inc.
4.25%, due 4/15/27
   225,000    110,180 
  Helmerich & Payne, Inc.
4.65%, due 3/15/25
   475,000    495,193 
  Occidental Petroleum Corp.          
  3.142% (3 Month LIBOR + 1.45%), due 8/15/22 (b)   375,000    251,309 
  4.85%, due 3/15/21   947,000    794,998 
  Petroleos Mexicanos
5.35%, due 2/12/28
   50,000    34,875 
           1,686,555 
  Oil & Gas Services 0.3%          
  Schlumberger Holdings Corp.
3.75%, due 5/1/24 (a)
   1,075,000    1,017,243 
             
  Packaging & Containers 0.3%          
  WRKCo., Inc.
3.75%, due 3/15/25
   800,000    804,219 
             
  Pharmaceuticals 1.6%          
  AbbVie, Inc.
2.95%, due 11/21/26 (a)
   825,000    828,784 
  Bayer U.S. Finance II LLC
4.375%, due 12/15/28 (a)
   600,000    640,732 
  Becton Dickinson & Co.
2.894%, due 6/6/22
   1,413,000    1,410,363 
  Bristol-Myers Squibb Co.
3.20%, due 6/15/26 (a)
   725,000    769,655 
  Cigna Corp.
4.125%, due 11/15/25
   1,140,000    1,219,428 
           4,868,962 
  Pipelines 1.0%          
  Energy Transfer Partners, L.P. / Regency Energy Finance Corp.
5.875%, due 3/1/22
   1,000,000    939,372 
  Kinder Morgan, Inc.
5.00%, due 2/15/21 (a)
   1,489,000    1,480,999 
  MPLX, L.P.
1.899% (3 Month LIBOR + 0.90%), due 9/9/21 (b)
   400,000    377,974 
  Texas Eastern Transmission, L.P.
2.80%, due 10/15/22 (a)
   200,000    196,482 
           2,994,827 
  Real Estate 0.2%          
  Prologis, L.P.
2.25%, due 4/15/30
   550,000    502,575 
             
  Real Estate Investment Trusts 1.6%          
  American Campus Communities Operating Partnership, L.P.
3.30%, due 7/15/26
   775,000    764,293 
  Crown Castle International Corp.
3.30%, due 7/1/30
   200,000    198,358 
  CyrusOne L.P. / CyrusOne Finance Corp.
3.45%, due 11/15/29
   275,000    242,745 
  Healthpeak Properties, Inc.
3.25%, due 7/15/26
   525,000    509,206 
  Highwoods Realty, L.P.
3.875%, due 3/1/27
   1,175,000    1,169,847 
  Kimco Realty Corp.
3.80%, due 4/1/27
   200,000    198,241 
  Realty Income Corp.
3.25%, due 10/15/22
   550,000    552,266 
  SBA Tower Trust
2.836%, due 1/15/50 (a)
   500,000    482,787 
  VEREIT Operating Partnership, L.P.
3.95%, due 8/15/27
   1,015,000    944,566 
           5,062,309 
  Retail 0.3%          
  CVS Health Corp.          
  3.75%, due 4/1/30   525,000    540,569 
  4.30%, due 3/25/28   390,000    417,161 
           957,730 
  Software 0.7%          
  Fiserv, Inc.          
  3.20%, due 7/1/26   450,000    464,791 
  3.85%, due 6/1/25   475,000    500,873 
  4.20%, due 10/1/28   550,000    595,096 
  Oracle Corp.
2.80%, due 4/1/27
   600,000    608,869 
           2,169,629 
  Telecommunications 0.5%          
  AT&T, Inc.
4.35%, due 3/1/29
   675,000    728,254 
  Verizon Communications, Inc.          
  3.376%, due 2/15/25   6,000    6,410 
  4.016%, due 12/3/29   787,000    883,883 
           1,618,547 
  Transportation 0.1%          
  United Parcel Service, Inc.,
4.45%, due 4/1/30
   275,000    311,190 
             
  Total Corporate Bonds
(Cost $63,973,190)
        62,954,619 
             
  Foreign Government Bonds 0.2%          
  Colombia 0.1%          
  Colombia Government International Bond
3.875%, due 4/25/27
   220,000    216,700 
             
  Mexico 0.1%          
  United Mexican States
3.75%, due 1/11/28
   300,000    298,203 
             
  Philippines 0.0% ‡          
  Philippine Government International Bond
3.00%, due 2/1/28
   200,000    208,487 
             
  Poland 0.0% ‡          
  Republic of Poland Government International Bond
5.00%, due 3/23/22
   50,000    53,236 
             
  Total Foreign Government Bonds
(Cost $748,313)
        776,626 
             
  Mortgage-Backed Securities 4.1%          
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.1%          
  Bank          
  Series 2020-BN26, Class A4
2.403%, due 3/15/63
   750,000    739,214 
  Series 2020-BN25, Class AS
2.841%, due 1/15/63
   500,000    460,658 
  Series 2017-BNK5, Class A2
2.987%, due 6/15/60
   300,000    303,880 
  Series 2018-BN14, Class A2
4.128%, due 9/15/60
   400,000    424,433 
  Benchmark Mortgage Trust          
  Series 2018-B1, Class A2
3.571%, due 1/15/51
   200,000    206,570 
  Series 2018-B2, Class A2
3.662%, due 2/15/51
   150,000    155,557 
  BX Commercial Mortgage Trust
Series 2019-XL, Class A
1.625% (1 Month LIBOR + 0.92%), due 10/15/36 (a)(b)
   477,700    454,381 
  CD Mortgage Trust
Series 2017-CD4, Class A2
3.03%, due 5/10/50
   600,000    608,512 
  CFCRE Commercial Mortgage Trust
Series 2017-C8, Class A2
2.982%, due 6/15/50
   900,000    911,382 
  Citigroup Commercial Mortgage Trust
Series 2020-GC46, Class A5
2.717%, due 2/15/53
   500,000    506,433 
  Colony Mortgage Capital, Ltd.
Series 2019-IKPR, Class B
2.183% (1 Month LIBOR + 1.478%), due 11/15/38 (a)(b)
   1,250,000    1,056,378 
  Credit Suisse Mortgage Trust
Series 2020-WEST, Class A
3.04%, due 2/15/35 (a)
   750,000    674,052 
  DBJPM Mortgage Trust
Series 2017-C6, Class A2
2.917%, due 6/10/50
   800,000    811,903 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series 2017-C33, Class A2
3.14%, due 5/15/50
   1,000,000    1,016,821 
  Morgan Stanley Capital I Trust
Series 2017-H1, Class A2
3.089%, due 6/15/50
   900,000    914,961 
  UBS Commercial Mortgage Trust
Series 2018-C8, Class A2
3.713%, due 2/15/51
   500,000    518,256 
           9,763,391 
  Whole Loan (Collateralized Mortgage Obligations) 1.0%          
  COLT Mortgage Loan Trust
Series 2019-4, Class A1
2.579%, due 11/25/49 (a)(d)
   405,732    393,551 
  JP Morgan Mortgage Trust
Series 2019-1, Class A11
1.897% (1 Month LIBOR + 0.95%), due 5/25/49 (a)(b)
   641,735    611,915 
  New Residential Mortgage Loan Trust
Series 2020-NQM1, Class A1
2.464%, due 1/26/60 (a)(d)
   296,078    292,278 
  Sequoia Mortgage Trust (a)(d)
Series 2020-3, Class A1
3.00%, due 4/25/50
   750,000    759,023 
  Series 2020-1, Class A1
3.50%, due 2/25/50
   191,941    195,475 
  Series 2020-2, Class A1
3.50%, due 3/25/50
   745,536    752,627 
           3,004,869 
             
  Total Mortgage-Backed Securities
(Cost $13,274,250)
        12,768,260 
             
  U.S. Government & Federal Agencies 13.3%          
  Federal Farm Credit Bank 1.1%          
  1.55%, due 1/28/22   950,000    967,819 
  1.89%, due 3/4/26   1,100,000    1,101,892 
  2.03%, due 1/21/28   850,000    893,966 
  2.44%, due 10/16/28   500,000    496,926 
           3,460,603 
  Federal Home Loan Bank 3.3%          
  1.625%, due 12/20/21   1,300,000    1,327,613 
  1.70%, due 5/15/20   500,000    500,829 
  2.375%, due 3/14/25   650,000    711,064 
  2.50%, due 12/10/27   1,050,000    1,159,954 
  2.875%, due 9/13/24   1,175,000    1,291,429 
  3.00%, due 3/10/28   300,000    341,551 
  3.125%, due 9/12/25   800,000    904,293 
  3.25%, due 6/9/28   800,000    942,788 
  3.25%, due 11/16/28   2,775,000    3,279,897 
           10,459,418 
  Federal Home Loan Mortgage Corporation 0.9%          
  1.50%, due 2/12/25   1,300,000    1,356,532 
  1.875%, due 3/5/25   575,000    575,838 
  1.97%, due 2/6/25   875,000    876,004 
           2,808,374 
  Federal National Mortgage Association 0.8%          
  1.625%, due 1/7/25   1,275,000    1,338,358 
  1.75%, due 7/2/24   525,000    549,119 
  2.00%, due 1/24/25   575,000    577,027 
           2,464,504 
  United States Treasury Notes 7.2%          
  0.50%, due 3/31/25   150,000    150,938 
  0.625%, due 3/31/27   1,250,000    1,257,129 
  1.125%, due 2/28/22   3,500,000    3,558,105 
  1.375%, due 1/31/22   275,000    280,844 
  1.625%, due 11/15/22   15,415,000    15,960,546 
  1.75%, due 7/31/21   1,475,000    1,505,883 
           22,713,445 
  Total U.S. Government & Federal Agencies
(Cost $40,321,167)
        41,906,344 
  Total Long-Term Bonds
(Cost $134,572,700)
        133,931,436 

 

      Shares      
  Common Stocks 53.5%          
  Aerospace & Defense 1.2%          
  Curtiss-Wright Corp.   3,944    364,465 
  General Dynamics Corp.   3,815    504,763 
  Huntington Ingalls Industries, Inc.   3,073    559,931 
  L3Harris Technologies, Inc.   825    148,599 
  Raytheon Co.   4,059    532,338 
  Raytheon Technologies Corp.   6,259    590,412 
  Spirit AeroSystems Holdings, Inc., Class A   6,187    148,055 
  Textron, Inc.   18,121    483,287 
  TransDigm Group, Inc.   944    302,259 
           3,634,109 
  Air Freight & Logistics 0.1%          
  FedEx Corp.   3,639    441,265 
             
  Airlines 0.4%          
  Delta Air Lines, Inc.   18,304    522,213 
  Southwest Airlines Co.   13,908    495,264 
  United Airlines Holdings, Inc. (e)   4,504    142,101 
           1,159,578 
  Automobiles 0.4%          
  Ford Motor Co.   101,433    489,921 
  General Motors Co.   23,110    480,226 
  Thor Industries, Inc.   10,572    445,927 
           1,416,074 
  Banks 2.0%          
  Bank of America Corp.   29,399    624,141 
  Bank OZK   30,499    509,333 
  Citigroup, Inc.   13,256    558,343 
  Comerica, Inc.   14,458    424,198 
  East West Bancorp, Inc.   6,118    157,477 
  Fifth Third Bancorp   7,862    116,751 
  First Hawaiian, Inc.   27,196    449,550 
  First Republic Bank   3,371    277,366 
  JPMorgan Chase & Co.   5,936    534,418 
  PNC Financial Services Group, Inc.   5,043    482,716 
  Signature Bank   4,060    326,383 
  Synovus Financial Corp.   4,251    74,647 
  Truist Financial Corp.   20,690    638,080 
  U.S. Bancorp   16,215    558,607 
  Wells Fargo & Co.   18,579    533,217 
  Wintrust Financial Corp.   1,427    46,891 
           6,312,118 
  Beverages 0.7%          
  Coca-Cola Co.   12,490    552,682 
  Constellation Brands, Inc., Class A   3,849    551,793 
  Keurig Dr. Pepper, Inc.   20,239    491,201 
  PepsiCo., Inc.   4,460    535,646 
           2,131,322 
  Biotechnology 1.1%          
  Alexion Pharmaceuticals, Inc. (e)   6,551    588,214 
  Alkermes PLC (e)   10,386    149,766 
  Amgen, Inc.   2,858    579,402 
  Biogen, Inc. (e)   1,974    624,534 
  Bluebird Bio, Inc. (e)   51    2,344 
  Exelixis, Inc. (e)   10,243    176,385 
  Gilead Sciences, Inc.   7,320    547,243 
  Regeneron Pharmaceuticals, Inc. (e)   1,166    569,346 
  United Therapeutics Corp. (e)   2,185    207,193 
           3,444,427 
  Building Products 0.6%          
  Johnson Controls International PLC   22,618    609,781 
  Masco Corp.   7,113    245,897 
  Owens Corning   14,940    579,821 
  Trane Technologies PLC   5,974    493,393 
           1,928,892 
  Capital Markets 3.0%          
  Ameriprise Financial, Inc.   7,782    797,499 
  Bank of New York Mellon Corp.   17,065    574,749 
  BlackRock, Inc.   1,623    714,071 
  Cboe Global Markets, Inc.   778    69,437 
  Charles Schwab Corp.   14,079    473,336 
  CME Group, Inc.   2,945    509,220 
  Evercore, Inc., Class A   10,300    474,418 
  Franklin Resources, Inc.   29,056    484,945 
  Goldman Sachs Group, Inc.   3,475    537,200 
  Intercontinental Exchange, Inc.   7,950    641,963 
  Janus Henderson Group PLC   24,160    370,131 
  Lazard, Ltd., Class A   17,640    415,599 
  Morgan Stanley   16,869    573,546 
  Nasdaq, Inc.   1,032    97,988 
  Raymond James Financial, Inc.   354    22,373 
  State Street Corp.   20,363    1,084,737 
  T. Rowe Price Group, Inc.   9,826    959,509 
  TD Ameritrade Holding Corp.   16,143    559,516 
           9,360,237 
  Chemicals 1.6%          
  Air Products & Chemicals, Inc.   2,654    529,765 
  Cabot Corp.   11,030    288,104 
  CF Industries Holdings, Inc.   13,653    371,361 
  Corteva, Inc. (e)   21,274    499,939 
  Dow, Inc.   15,382    449,770 
  DuPont de Nemours, Inc.   14,291    487,323 
  FMC Corp.   3,723    304,132 
  Huntsman Corp.   40,108    578,758 
  Linde PLC   2,711    469,003 
  LyondellBasell Industries N.V., Class A   13,127    651,493 
  PPG Industries, Inc.   6,470    540,892 
           5,170,540 
  Commercial Services & Supplies 0.5%          
  Clean Harbors, Inc. (e)   10,158    521,512 
  Republic Services, Inc.   7,133    535,403 
  Waste Management, Inc.   5,338    494,085 
           1,551,000 
  Communications Equipment 0.1%          
  Motorola Solutions, Inc.   3,363    447,010 
             
  Construction & Engineering 0.2%          
  AECOM (e)   18,998    567,090 
  Fluor Corp.   30,722    212,289 
           779,379 
  Consumer Finance 0.8%          
  American Express Co.   7,707    659,796 
  Capital One Financial Corp.   12,398    625,107 
  SLM Corp.   74,761    537,532 
  Synchrony Financial   40,222    647,172 
           2,469,607 
  Containers & Packaging 0.1%          
  Ardagh Group S.A.   8,266    98,035 
  Crown Holdings, Inc. (e)   2,272    131,867 
           229,902 
  Distributors 0.2%          
  LKQ Corp. (e)   30,250    620,427 
             
  Diversified Financial Services 0.7%          
  Berkshire Hathaway, Inc., Class B (e)   2,893    528,927 
  Equitable Holdings, Inc.   40,936    591,525 
  Jefferies Financial Group, Inc.   42,850    585,760 
  Voya Financial, Inc.   15,826    641,744 
           2,347,956 
  Diversified Telecommunication Services 0.3%          
  AT&T, Inc.   15,193    442,876 
  Verizon Communications, Inc.   8,084    434,353 
           877,229 
  Electric Utilities 3.0%          
  American Electric Power Co., Inc.   5,810    464,684 
  Duke Energy Corp.   6,340    512,779 
  Edison International   244    13,369 
  Entergy Corp.   11,146    1,047,390 
  Evergy, Inc.   16,264    895,333 
  Eversource Energy   4,301    336,381 
  Exelon Corp.   13,567    499,401 
  FirstEnergy Corp.   24,594    985,482 
  Hawaiian Electric Industries, Inc.   5,770    248,398 
  IDACORP, Inc.   4,478    393,124 
  NextEra Energy, Inc.   2,238    538,507 
  NRG Energy, Inc.   26,450    721,027 
  OGE Energy Corp.   4,231    130,019 
  PG&E Corp. (e)   14,962    134,508 
  Pinnacle West Capital Corp.   7,873    596,695 
  PPL Corp.   31,304    772,583 
  Southern Co.   9,408    509,349 
  Xcel Energy, Inc.   8,481    511,404 
           9,310,433 
  Electrical Equipment 0.8%          
  Acuity Brands, Inc.   6,982    598,078 
  Eaton Corp. PLC   9,200    714,748 
  Emerson Electric Co.   12,319    587,000 
  Regal Beloit Corp.   9,386    590,849 
           2,490,675 
  Electronic Equipment, Instruments & Components 0.7%          
  Arrow Electronics, Inc. (e)   12,102    627,731 
  Avnet, Inc.   21,830    547,933 
  Jabil, Inc.   23,949    588,666 
  SYNNEX Corp.   6,558    479,390 
           2,243,720 
  Energy Equipment & Services 0.3%          
  Halliburton Co.   21,000    143,850 
  Patterson-UTI Energy, Inc.   103,576    243,404 
  Schlumberger, Ltd.   31,702    427,660 
           814,914 
  Entertainment 0.8%          
  Activision Blizzard, Inc.   9,412    559,826 
  Electronic Arts, Inc. (e)   5,567    557,646 
  Lions Gate Entertainment Corp., Class B (e)   73,778    411,681 
  Take-Two Interactive Software, Inc. (e)   5,705    676,670 
  Walt Disney Co.   4,634    447,645 
           2,653,468 
  Equity Real Estate Investment Trusts 3.9%          
  Alexandria Real Estate Equities, Inc.   2,447    335,386 
  American Campus Communities, Inc.   7,979    221,417 
  American Homes 4 Rent, Class A   11,214    260,165 
  Apartment Investment & Management Co., Class A   503    17,680 
  AvalonBay Communities, Inc.   4,823    709,801 
  Boston Properties, Inc.   2,975    274,384 
  Brandywine Realty Trust   6,764    71,157 
  Camden Property Trust   2,559    202,775 
  Columbia Property Trust, Inc.   12,714    158,925 
  CubeSmart   11,547    309,344 
  CyrusOne, Inc.   5,824    359,632 
  Digital Realty Trust, Inc.   6,618    919,306 
  Duke Realty Corp.   9,542    308,970 
  Equity Residential   12,679    782,421 
  Essex Property Trust, Inc.   1,231    271,115 
  Federal Realty Investment Trust   531    39,618 
  Gaming and Leisure Properties, Inc.   9,832    272,445 
  Healthpeak Properties, Inc.   8,304    198,050 
  Highwoods Properties, Inc.   5,805    205,613 
  Host Hotels & Resorts, Inc.   9,269    102,330 
  Hudson Pacific Properties, Inc.   1,892    47,981 
  Invitation Homes, Inc.   21,529    460,075 
  Iron Mountain, Inc.   5,565    132,447 
  Kilroy Realty Corp.   567    36,118 
  Kimco Realty Corp.   802    7,755 
  Life Storage, Inc.   3,009    284,501 
  Medical Properties Trust, Inc.   6,097    105,417 
  Mid-America Apartment Communities, Inc.   4,583    472,187 
  National Retail Properties, Inc.   1,401    45,098 
  Omega Healthcare Investors, Inc.   1,125    29,858 
  Paramount Group, Inc.   19,576    172,269 
  Prologis, Inc.   8,395    674,706 
  Public Storage   2,532    502,881 
  Rayonier, Inc.   9,957    234,487 
  Realty Income Corp.   6,765    337,303 
  Regency Centers Corp.   1,393    53,533 
  Simon Property Group, Inc.   8,109    444,860 
  SL Green Realty Corp.   41    1,767 
  STORE Capital Corp.   550    9,966 
  Sun Communities, Inc.   3,119    389,407 
  UDR, Inc.   3,781    138,158 
  Ventas, Inc.   13,708    367,374 
  VEREIT, Inc.   759    3,712 
  VICI Properties, Inc.   5,730    95,347 
  Vornado Realty Trust   1,800    65,178 
  W.P. Carey, Inc.   2,549    148,046 
  Welltower, Inc.   13,588    622,059 
  Weyerhaeuser Co.   27,890    472,736 
           12,375,760 
  Food & Staples Retailing 1.0%          
  Kroger Co.   36,896    1,111,308 
  Sprouts Farmers Market, Inc. (e)   28,115    522,658 
  U.S. Foods Holding Corp. (e)   25,126    444,981 
  Walgreens Boots Alliance, Inc.   12,188    557,601 
  Walmart, Inc.   4,104    466,296 
           3,102,844 
  Food Products 1.7%          
  Archer-Daniels-Midland Co.   1,110    39,050 
  Bunge, Ltd.   17,294    709,573 
  General Mills, Inc.   9,922    523,584 
  Ingredion, Inc.   7,399    558,624 
  Kraft Heinz Co.   19,583    484,483 
  Lamb Weston Holdings, Inc.   9,309    531,544 
  Mondelez International, Inc., Class A   11,188    560,295 
  Pilgrim’s Pride Corp. (e)   25,971    470,595 
  Seaboard Corp.   34    95,635 
  TreeHouse Foods, Inc. (e)   12,611    556,776 
  Tyson Foods, Inc., Class A   15,855    917,529 
           5,447,688 
  Health Care Equipment & Supplies 1.4%          
  Abbott Laboratories   6,474    510,863 
  Baxter International, Inc.   6,532    530,333 
  Becton, Dickinson and Co.   2,027    465,744 
  Danaher Corp.   3,350    463,673 
  DENTSPLY SIRONA, Inc.   19,757    767,164 
  Hill-Rom Holdings, Inc.   6,755    679,553 
  Hologic, Inc. (e)   8,486    297,859 
  Medtronic PLC   6,388    576,070 
  Zimmer Biomet Holdings, Inc.   1,023    103,405 
           4,394,664 
  Health Care Providers & Services 2.2%          
  Anthem, Inc.   3,042    690,656 
  Cardinal Health, Inc.   19,059    913,688 
  Centene Corp. (e)   5,570    330,914 
  Cigna Corp. (e)   4,021    712,441 
  CVS Health Corp.   8,836    524,240 
  DaVita, Inc. (e)   9,144    695,493 
  HCA Healthcare, Inc.   6,748    606,308 
  Henry Schein, Inc. (e)   3,668    185,307 
  Humana, Inc.   2,478    778,142 
  McKesson Corp.   7,903    1,068,960 
  MEDNAX, Inc. (e)   16,668    194,015 
  Universal Health Services, Inc., Class B   1,606    159,122 
           6,859,286 
  Hotels, Restaurants & Leisure 1.4%          
  Aramark   24,762    494,497 
  Carnival Corp.   44,294    583,352 
  Extended Stay America, Inc.   60,302    440,808 
  Las Vegas Sands Corp.   9,360    397,519 
  McDonald’s Corp.   3,421    565,663 
  MGM Resorts International   12,964    152,975 
  Norwegian Cruise Line Holdings, Ltd. (e)   15,367    168,422 
  Royal Caribbean Cruises, Ltd.   8,756    281,681 
  Six Flags Entertainment Corp.   9,878    123,870 
  Yum China Holdings, Inc.   10,275    438,023 
  Yum! Brands, Inc.   9,404    644,456 
           4,291,266 
  Household Durables 0.5%          
  D.R. Horton, Inc.   12,921    439,314 
  Lennar Corp., Class B   3,173    91,763 
  Mohawk Industries, Inc. (e)   1,187    90,497 
  PulteGroup, Inc.   23,390    522,065 
  Toll Brothers, Inc.   19,334    372,179 
           1,515,818 
  Household Products 0.5%          
  Colgate-Palmolive Co.   7,757    514,755 
  Kimberly-Clark Corp.   4,175    533,857 
  Procter & Gamble Co.   4,801    528,110 
           1,576,722 
  Independent Power & Renewable Electricity Producers 0.5%          
  AES Corp.   55,112    749,523 
  Vistra Energy Corp.   44,017    702,512 
           1,452,035 
  Industrial Conglomerates 0.7%          
  3M Co.   3,450    470,959 
  General Electric Co.   66,571    528,574 
  Honeywell International, Inc.   4,516    604,196 
  Roper Technologies, Inc.   1,844    574,978 
           2,178,707 
  Insurance 3.4%          
  Aflac, Inc.   18,261    625,257 
  Allstate Corp.   6,405    587,531 
  American International Group, Inc.   27,540    667,845 
  American National Insurance Co.   6,392    526,573 
  Arch Capital Group, Ltd. (e)   9,191    261,576 
  Athene Holding, Ltd., Class A (e)   17,764    440,903 
  Chubb, Ltd.   4,979    556,105 
  Everest Re Group, Ltd.   69    13,277 
  Fidelity National Financial, Inc.   24,392    606,873 
  First American Financial Corp.   14,637    620,755 
  Hartford Financial Services Group, Inc.   5,176    182,402 
  Kemper Corp.   6,758    502,592 
  Markel Corp. (e)   204    189,290 
  Marsh & McLennan Cos., Inc.   6,116    528,789 
  Mercury General Corp.   13,577    552,855 
  MetLife, Inc.   22,589    690,546 
  Old Republic International Corp.   40,393    615,993 
  Progressive Corp.   7,049    520,498 
  Prudential Financial, Inc.   13,552    706,601 
  Reinsurance Group of America, Inc.   6,019    506,439 
  Travelers Cos., Inc.   6,007    596,795 
  Willis Towers Watson PLC   747    126,878 
           10,626,373 
  Interactive Media & Services 0.2%          
  IAC/InterActiveCorp (e)   2,249    403,088 
  TripAdvisor, Inc.   12,868    223,775 
           626,863 
  Internet & Direct Marketing Retail 0.3%          
  Expedia Group, Inc.   4,724    265,819 
  Qurate Retail, Inc., Series A (e)   92,025    561,813 
           827,632 
  IT Services 1.5%          
  Akamai Technologies, Inc. (e)   5,541    506,946 
  Amdocs, Ltd.   13,289    730,497 
  CACI International, Inc., Class A (e)   3,122    659,210 
  Cognizant Technology Solutions Corp., Class A   12,774    593,608 
  DXC Technology Co.   20,322    265,202 
  Fidelity National Information Services, Inc.   3,969    482,789 
  International Business Machines Corp.   4,856    538,676 
  Leidos Holdings, Inc.   10,000    916,500 
  Sabre Corp. (e)   10,130    60,071 
           4,753,499 
  Life Sciences Tools & Services 0.7%          
  Agilent Technologies, Inc.   1,165    83,437 
  Avantor, Inc. (e)   46,217    577,250 
  IQVIA Holdings, Inc. (e)   8,111    874,853 
  Thermo Fisher Scientific, Inc.   1,837    520,973 
           2,056,513 
  Machinery 1.3%          
  AGCO Corp.   12,680    599,130 
  Caterpillar, Inc.   4,428    513,825 
  Crane Co.   10,463    514,570 
  Cummins, Inc.   7,950    1,075,794 
  Deere & Co.   3,587    495,580 
  Dover Corp.   1,117    93,761 
  Ingersoll Rand, Inc. (e)   2,927    72,590 
  ITT, Inc.   304    13,790 
  PACCAR, Inc.   1,002    61,252 
  Parker-Hannifin Corp.   489    63,438 
  Stanley Black & Decker, Inc.   846    84,600 
  Timken Co.   16,783    542,762 
           4,131,092 
  Media 0.5%          
  Charter Communications, Inc., Class A (e)   1,392    607,344 
  Comcast Corp., Class A   13,729    472,003 
  Fox Corp., Class B (e)   12,275    280,852 
  John Wiley & Sons, Inc., Class A   1,516    56,835 
  Liberty Media Corp-Liberty SiriusXM, Class C (e)   4,073    128,788 
           1,545,822 
  Metals & Mining 0.7%          
  Newmont Corp.   33,988    1,538,977 
  Reliance Steel & Aluminum Co.   762    66,743 
  Southern Copper Corp.   19,681    554,217 
           2,159,937 
  Multi-Utilities 1.6%          
  CenterPoint Energy, Inc.   1,231    19,019 
  Consolidated Edison, Inc.   16,247    1,267,266 
  Dominion Energy, Inc.   6,866    495,657 
  DTE Energy Co.   6,141    583,211 
  MDU Resources Group, Inc.   29,071    625,026 
  Public Service Enterprise Group, Inc.   9,918    445,417 
  Sempra Energy   3,434    388,008 
  WEC Energy Group, Inc.   15,218    1,341,162 
           5,164,766 
  Multiline Retail 0.4%          
  Dollar General Corp.   3,559    537,444 
  Kohl’s Corp.   3,920    57,193 
  Target Corp.   5,497    511,056 
           1,105,693 
  Oil, Gas & Consumable Fuels 1.8%          
  Chevron Corp.   7,501    543,522 
  Cimarex Energy Co.   2,802    47,158 
  ConocoPhillips   19,109    588,557 
  Devon Energy Corp.   15,145    104,652 
  EOG Resources, Inc.   11,775    422,958 
  Exxon Mobil Corp.   12,933    491,066 
  HollyFrontier Corp.   5,992    146,864 
  Kinder Morgan, Inc.   36,876    513,314 
  Kosmos Energy, Ltd.   34,642    31,025 
  Marathon Petroleum Corp.   24,472    578,029 
  Occidental Petroleum Corp.   41,976    486,082 
  PBF Energy, Inc., Class A   25,169    178,197 
  Phillips 66   9,663    518,420 
  Pioneer Natural Resources Co.   5,353    375,513 
  Valero Energy Corp.   16,294    739,096 
  Williams Cos., Inc.   270    3,820 
           5,768,273 
  Personal Products 0.1%          
  Nu Skin Enterprises, Inc., Class A   13,285    290,277 
             
  Pharmaceuticals 1.9%          
  Allergan PLC   2,797    495,349 
  Bristol-Myers Squibb Co.   10,110    563,531 
  Catalent, Inc. (e)   15,145    786,783 
  Elanco Animal Health, Inc. (e)   11,204    250,857 
  Horizon Therapeutics PLC (e)   21,572    638,963 
  Jazz Pharmaceuticals PLC (e)   1,767    176,240 
  Johnson & Johnson   4,782    627,064 
  Merck & Co., Inc.   8,004    615,828 
  Mylan N.V. (e)   42,532    634,152 
  Perrigo Co. PLC   13,958    671,240 
  Pfizer, Inc.   18,656    608,932 
           6,068,939 
  Professional Services 0.3%          
  IHS Markit, Ltd.   7,614    456,840 
  ManpowerGroup, Inc.   10,107    535,570 
           992,410 
  Real Estate Management & Development 0.3%          
  CBRE Group, Inc., Class A (e)   8,847    333,620 
  Jones Lang LaSalle, Inc.   6,060    611,939 
           945,559 
  Road & Rail 0.7%          
  CSX Corp.   11,152    639,010 
  Norfolk Southern Corp.   3,946    576,116 
  Schneider National, Inc., Class B   27,217    526,377 
  Uber Technologies, Inc. (e)   20,943    584,728 
           2,326,231 
  Semiconductors & Semiconductor Equipment 1.5%          
  Analog Devices, Inc.   5,508    493,792 
  Applied Materials, Inc.   13,194    604,549 
  Intel Corp.   10,720    580,166 
  Lam Research Corp.   2,771    665,040 
  Micron Technology, Inc. (e)   13,895    584,424 
  MKS Instruments, Inc.   1,820    148,239 
  Qorvo, Inc. (e)   9,628    776,306 
  Skyworks Solutions, Inc.   9,350    835,703 
           4,688,219 
  Software 0.7%          
  Autodesk, Inc. (e)   3,687    575,541 
  Citrix Systems, Inc.   1,516    214,590 
  NortonLifeLock, Inc.   42,485    794,894 
  Nuance Communications, Inc. (e)   8,138    136,556 
  SS&C Technologies Holdings, Inc.   12,358    541,527 
           2,263,108 
  Specialty Retail 0.6%          
  Best Buy Co., Inc.   13,600    775,200 
  Foot Locker, Inc.   7,651    168,705 
  Home Depot, Inc.   3,273    611,102 
  Tiffany & Co.   3,465    448,717 
           2,003,724 
  Technology Hardware, Storage & Peripherals 0.6%          
  Dell Technologies, Inc., Class C (e)   13,822    546,660 
  HP, Inc.   38,798    673,533 
  Xerox Holdings Corp.   30,051    569,166 
           1,789,359 
  Textiles, Apparel & Luxury Goods 0.2%          
  Skechers U.S.A., Inc., Class A (e)   23,938    568,288 
  Tobacco 0.4%           
  Altria Group, Inc.   14,949    578,078 
  Philip Morris International, Inc.   8,861    646,498 
           1,224,576 
  Trading Companies & Distributors 0.0% ‡          
  WESCO International, Inc. (e)   1,663    38,000 
             
  Water Utilities 0.0% ‡          
  American Water Works Co., Inc.   686    82,018 
             
  Wireless Telecommunication Services 0.4%          
  T-Mobile U.S., Inc. (e)   5,373    450,795 
  Telephone & Data Systems, Inc.   30,968    519,024 
  United States Cellular Corp. (e)   5,805    170,028 
           1,139,847 
             
  Total Common Stocks
(Cost $185,255,501)
        168,216,090 
             
  Exchange-Traded Funds 3.5%          
  iShares Intermediate Government / Credit Bond ETF   34,317    3,936,846 
  iShares Russell 1000 Value ETF   50,619    5,020,392 
  iShares Russell Mid-Cap ETF   8,021    346,267 
  SPDR S&P 500 ETF Trust (f)   1,654    426,319 
  Vanguard Mid-Cap Value ETF   14,122    1,147,977 
             
  Total Exchange-Traded Funds
(Cost $11,003,671)
        10,877,801 

 

      Principal
Amount
      
  Short-Term Investments 0.8%          
  Repurchase Agreements 0.7%          
  Fixed Income Clearing Corp.
0.00%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $175,709 (Collateralized by a United States Treasury Note with a rate of 1.50% and a maturity date of 9/15/22, with a Principal Amount of $175,000 and a Market Value of $180,448)
  $175,709    175,709 
  RBC Capital Markets
0.01%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $1,871,001 (Collateralized by a United States Treasury Note with a rate of 2.125% and a maturity date of 8/15/21, with a Principal Amount of $1,854,600 and a Market Value of $1,908,480)
   1,871,000    1,871,000 
             
  Total Repurchase Agreements
(Cost $2,046,709)
        2,046,709 
             
      Shares      
  Unaffiliated Investment Company 0.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (g)(h)   437,079    437,079 
  Total Unaffiliated Investment Company
(Cost $437,079)
        437,079 
  Total Short-Term Investments
(Cost $2,483,788)
        2,483,788 
  Total Investments
(Cost $333,315,660)
   100.3%   315,509,115 
  Other Assets, Less Liabilities   (0.3)   (862,910)
  Net Assets   100.0%  $314,646,205 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(d) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(e) Non-income producing security.
(f) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $421,937. The Portfolio received cash collateral with a value of $437,079.  
(g) Current yield as of March 31, 2020.
(h) Represents a security purchased with cash collateral received for securities on loan.

 

Futures Contracts

 

As of March 31, 2020, the Portfolio held the following futures contracts:

 

Type  Number of
Contracts
  Expiration
Date
   Value at
Trade Date
  Current
Notional
Amount
   Unrealized Appreciation (Depreciation)1 
                     
Long Contracts                    
10-Year United States Treasury Note  34  June 2020 $ 4,509,637  $4,715,375   $205,738 
2-Year United States Treasury Note  33  June 2020   7,209,967   7,272,632    62,665 
5-Year United States Treasury Note  91  June 2020   11,052,476   11,407,703    355,227 
Total Long Contracts                  623,630 
                     
Short Contracts                    
10-Year United States Treasury Ultra Note  (18)  June 2020   (2,664,835)   (2,808,562)   (143,727)
United States Treasury Ultra Bond  (1)  June 2020   (222,436)   (221,875)   561 
Total Short Contracts                  (143,166)
Net Unrealized Appreciation                 $480,464 

 

1.Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

 

The following abbreviations are used in the preceding pages:
CME —Chicago Mercantile Exchange
ETF —Exchange-Traded Fund
LIBOR —London Interbank Offered Rate
SOFR —Secured Overnight Financing Rate
SPDR —Standard & Poor’s Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets and liabilities:  
 

Description  Quoted Prices in Active Markets for Identical Assets (Level 1)   Significant Other Observable Inputs 
(Level 2)
   Significant Unobservable Inputs 
(Level 3)
   Total 
                     
Asset Valuation Inputs                     
                    
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $—     $15,525,587   $—     $15,525,587 
Corporate Bonds   —      62,954,619    —      62,954,619 
Foreign Government Bonds   —      776,626    —      776,626 
Mortgage-Backed Securities   —      12,768,260    —      12,768,260 
U.S. Government & Federal Agencies   —      41,906,344    —      41,906,344 
Total Long-Term Bonds   —      133,931,436    —      133,931,436 
Common Stocks   168,216,090    —      —      168,216,090 
Exchange-Traded Funds   10,877,801    —      —      10,877,801 
Short-Term Investments                    
Repurchase Agreements   —      2,046,709    —      2,046,709 
Unaffiliated Investment Company   437,079    —      —      437,079 
Total Short-Term Investments   437,079    2,046,709    —      2,483,788 
Total Investments in Securities   179,530,970    135,978,145    —      315,509,115 
Other Financial Instruments                    
Futures Contracts (b)   623,630    —      —      623,630 
Total Investments in Securities and Other Financial Instruments  $180,154,600   $135,978,145   $—     $316,132,745 
                     
Liability Valuation Inputs                     
                    
Other Financial Instruments                    
Futures Contracts (b)  $(143,166)  $—     $—     $(143,166)

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b) The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

                                       

 

 

MainStay VP Janus Henderson Balanced Portfolio  

 

Portfolio of Investments  March 31, 2020 (Unaudited)  

 

     Principal
Amount
   Value 
  Long-Term Bonds 51.2%†
  Asset-Backed Securities 1.4%
  Automobile Asset-Backed Securities 0.6%          
  Credit Acceptance Auto Loan
Series 2018-2A, Class B
3.94%, due 7/15/27 (a)
  $387,000   $380,120 
  Drive Auto Receivables Trust          
  Series 2019-2, Class A3
3.04%, due 3/15/23
   689,000    690,863 
  Series 2017-3, Class D
3.53%, due 12/15/23 (a)
   212,756    212,761 
  Series 2017-AA, Class D
4.16%, due 5/15/24 (a)
   371,392    370,490 
  Series 2017-1, Class E
5.17%, due 9/16/24
   1,590,000    1,588,939 
  Series 2017-2, Class E
5.27%, due 11/15/24
   1,400,000    1,374,116 
  OneMain Direct Auto Receivables Trust (a)          
 

Series 2018-1A, Class C

3.85%, due 10/14/25

   181,000    179,036 
 

Series 2018-1A, Class D

4.40%, due 1/14/28

   180,000    179,315 
  Santander Drive Auto Receivables Trust
Series 2016-3, Class E
4.29%, due 2/15/24
   1,868,000    1,843,536 
           6,819,176 
  Other Asset-Backed Securities 0.8%          
  Applebee's Funding LLC / IHOP Funding LLC Series 2019-1A, Class A2I
4.194%, due 6/7/49 (a)
   1,022,000    929,509 
  Deutsche Bank Master Finance LLC (a)          
  Series 2019-1A, Class A2I
3.787%, due 5/20/49
   464,490    448,925 
  Series 2019-1A, Class A2II
4.021%, due 5/20/49
   256,065    245,251 
  Series 2019-1A, Class A23
4.352%, due 5/20/49
   371,195    352,795 
  Domino's Pizza Master Issuer LLC (a)          
  Series 2017-1A, Class A2II
3.082%, due 7/25/47
   196,478    189,666 
  Series 2019-1A, Class A2
3.668%, due 10/25/49
   1,644,878    1,466,935 
  Series 2018-1A, Class A2I
4.116%, due 7/25/48
   912,110    880,660 
  Series 2017-1A, Class A23
4.118%, due 7/25/47
   210,163    203,463 
  Series 2018-1A, Class A2II
4.328%, due 7/25/48
   499,395    472,642 
  Jack In The Box Funding LLC (a)          
  Series 2019-1A, Class A2I
3.982%, due 8/25/49
   988,523    913,108 
  Series 2019-1A, Class A2II
4.476%, due 8/25/49
   988,523    862,575 
  Series 2019-1A, Class A23
4.97%, due 8/25/49
   988,523    818,823 
  Planet Fitness Master Issuer LLC
Series 2019-1A, Class A2
3.858%, due 12/5/49 (a)
   870,818    682,703 
  Preston Ridge Partners Mortgage LLC
Series 2020-1A, Class A1
2.981%, due 2/25/25 (a)(b)
   283,069    223,706 
  Taco Bell Funding LLC
Series 2018-1A, Class A2II
4.94%, due 11/25/48 (a)
   196,513    191,279 
  Wendy's Funding LLC (a)          
  Series 2018-1A, Class A2I
3.573%, due 3/15/48
   316,710    289,042 
  Series 2019-1A, Class A2I
3.783%, due 6/15/49
   512,513    487,620 
  Series 2018-1A, Class A2II
3.884%, due 3/15/48
   88,953    80,526 
           9,739,228 
  Total Asset-Backed Securities
(Cost $17,857,441)
        16,558,404 
             
  Corporate Bonds 21.1%          
  Aerospace & Defense 0.8%          
  Boeing Co.          
  2.25%, due 6/15/26   144,000    126,871 
  3.20%, due 3/1/29   1,030,000    948,915 
  3.25%, due 3/1/28   178,000    167,465 
  3.60%, due 5/1/34   1,195,000    1,067,247 
  General Dynamics Corp.          
  3.25%, due 4/1/25   861,000    912,092 
  3.50%, due 4/1/27   1,245,000    1,339,847 
  3.625%, due 4/1/30   1,014,000    1,127,287 
  4.25%, due 4/1/40   701,000    836,334 
  4.25%, due 4/1/50   244,000    307,243 
  Northrop Grumman Corp.          
  4.40%, due 5/1/30   862,000    1,000,662 
  5.15%, due 5/1/40   374,000    474,623 
  5.25%, due 5/1/50   482,000    651,802 
           8,960,388 
  Apparel 0.2%          
  NIKE, Inc.          
  2.40%, due 3/27/25   413,000    429,163 
  2.75%, due 3/27/27   640,000    665,017 
  3.25%, due 3/27/40   478,000    500,964 
  3.375%, due 3/27/50   312,000    340,362 
           1,935,506 
  Auto Manufacturers 0.2%          
  General Motors Co.          
  4.20%, due 10/1/27   396,000    327,215 
  5.00%, due 10/1/28   1,091,000    940,050 
  5.40%, due 4/1/48   378,000    275,289 
  General Motors Financial Co., Inc.          
  4.30%, due 7/13/25   223,000    197,489 
  4.35%, due 4/9/25   726,000    629,883 
  4.35%, due 1/17/27   405,000    323,871 
           2,693,797 
  Banks 4.2%          
  Bank of America Corp.(c)          
  3.705%, due 4/24/28   2,007,000    2,052,100 
  3.97%, due 3/5/29   949,000    991,075 
  6.10%, due 3/17/25 (d)   512,000    517,120 
  6.25%, due 9/5/24 (d)   1,172,000    1,189,580 
  BNP Paribas S.A. (a)(c)          
  2.819%, due 11/19/25   534,000    527,468 
  3.052%, due 1/13/31   1,400,000    1,309,116 
  4.705%, due 1/10/25   758,000    789,722 
  CIT Bank N.A.
2.969%, due 9/27/25 (c)
   1,826,000    1,539,738 
  CIT Group, Inc.
5.25%, due 3/7/25
   502,000    489,450 
  Citigroup, Inc.(c)          
  3.887%, due 1/10/28   2,396,000    2,464,348 
  4.412%, due 3/31/31   4,922,000    5,407,692 
  5.90%, due 2/15/23 (d)   113,000    109,045 
  5.95%, due 1/30/23 (d)   890,000    862,428 
  5.95%, due 5/15/25 (d)   584,000    565,750 
  Citizens Financial Group, Inc.          
  3.75%, due 7/1/24   264,000    262,991 
  4.30%, due 12/3/25   684,000    715,876 
  4.35%, due 8/1/25   203,000    216,406 
  First Republic Bank
4.625%, due 2/13/47
   391,000    422,709 
  Goldman Sachs Group, Inc.
3.50%, due 4/1/25
   6,418,000    6,560,642 
  HSBC Holdings PLC
4.95%, due 3/31/30
   404,000    441,167 
  JPMorgan Chase & Co.(c)          
  2.739%, due 10/15/30   918,000    930,060 
  3.782%, due 2/1/28   1,422,000    1,504,937 
  3.96%, due 1/29/27   2,044,000    2,198,148 
  4.452%, due 12/5/29   1,840,000    2,070,625 
  4.493%, due 3/24/31   1,778,000    2,055,365 
  Morgan Stanley          
  3.95%, due 4/23/27   1,401,000    1,475,449 
  4.35%, due 9/8/26   1,128,000    1,194,858 
  4.431%, due 1/23/30 (c)   1,504,000    1,669,667 
  Wells Fargo & Co.(c)          
  2.164%, due 2/11/26   2,686,000    2,631,430 
  2.879%, due 10/30/30   1,254,000    1,242,081 
  4.478%, due 4/4/31   2,286,000    2,587,637 
  5.875%, due 6/15/25 (d)   1,199,000    1,216,985 
           48,211,665 
  Beverages 1.1%          
  Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide, Inc.
4.90%, due 2/1/46
   1,134,000    1,235,112 
  Anheuser-Busch InBev Worldwide, Inc.          
  4.15%, due 1/23/25   2,101,000    2,255,443 
  4.75%, due 4/15/58   687,000    704,611 
  Coca-Cola Co.          
  2.95%, due 3/25/25   512,000    548,533 
  3.375%, due 3/25/27   1,104,000    1,217,894 
  3.45%, due 3/25/30   766,000    867,305 
  4.20%, due 3/25/50   827,000    1,080,034 
  Coca-Cola Femsa S.A.B. de C.V.
2.75%, due 1/22/30
   651,000    636,011 
  Fomento Economico Mexicano S.A.B. de C.V.
3.50%, due 1/16/50
   766,000    717,532 
  Keurig Dr Pepper, Inc.
4.597%, due 5/25/28
   1,145,000    1,252,462 
  PepsiCo, Inc.          
  2.25%, due 3/19/25   782,000    811,965 
  2.625%, due 3/19/27   242,000    254,038 
  3.625%, due 3/19/50   652,000    774,083 
  3.875%, due 3/19/60   199,000    250,422 
           12,605,445 
  Commercial Services 0.7%          
  Ecolab, Inc.
4.80%, due 3/24/30
   568,000    638,026 
  Equifax, Inc.
2.60%, due 12/1/24
   1,779,000    1,681,461 
  Global Payments, Inc.          
  3.20%, due 8/15/29   309,000    294,880 
  4.80%, due 4/1/26   902,000    897,515 
  IHS Markit, Ltd.(a)          
  4.75%, due 2/15/25   924,000    947,100 
  5.00%, due 11/1/22   119,000    125,031 
  PayPal Holdings, Inc.          
  2.40%, due 10/1/24   577,000    563,931 
  2.65%, due 10/1/26   1,726,000    1,689,676 
  2.85%, due 10/1/29   978,000    967,705 
  Verisk Analytics, Inc.
5.50%, due 6/15/45
   374,000    475,038 
           8,280,363 
  Computers 0.1%          
  Dell International LLC
5.875%, due 6/15/21 (a)
   1,417,000    1,418,771 
             
  Cosmetics & Personal Care 0.2%          
  Procter & Gamble Co.          
  2.45%, due 3/25/25   312,000    327,829 
  2.80%, due 3/25/27   496,000    529,121 
  3.00%, due 3/25/30   287,000    318,775 
  3.55%, due 3/25/40   572,000    667,125 
  3.60%, due 3/25/50   304,000    373,558 
           2,216,408 
  Diversified Financial Services 1.3%          
  CBOE Global Markets, Inc.
3.65%, due 1/12/27
   745,000    780,128 
  Charles Schwab Corp.          
  4.20%, due 3/24/25   1,053,000    1,111,043 
  4.625%, due 3/22/30   1,256,000    1,383,307 
  Experian Finance PLC
2.75%, due 3/8/30 (a)
   2,608,000    2,489,076 
  Mastercard, Inc.          
  3.30%, due 3/26/27   1,072,000    1,167,967 
  3.35%, due 3/26/30   1,359,000    1,504,996 
  3.85%, due 3/26/50   768,000    941,143 
  Raymond James Financial, Inc.          
  4.65%, due 4/1/30   480,000    499,320 
  4.95%, due 7/15/46   477,000    548,734 
  5.625%, due 4/1/24   358,000    390,816 
  Synchrony Financial          
  4.375%, due 3/19/24   250,000    245,930 
  5.15%, due 3/19/29   1,053,000    998,948 
  Visa, Inc.          
  1.90%, due 4/15/27   1,410,000    1,409,638 
  2.05%, due 4/15/30   929,000    927,653 
  2.70%, due 4/15/40   399,000    396,063 
           14,794,762 
  Electric 1.2%          
  AEP Transmission Co. LLC
3.65%, due 4/1/50
   634,000    652,999 
  Ameren Corp.
3.50%, due 1/15/31
   2,105,000    2,110,265 
  Berkshire Hathaway Energy Co.(a)          
  3.70%, due 7/15/30   1,113,000    1,192,988 
  4.25%, due 10/15/50   1,168,000    1,322,687 
  Dominion Energy, Inc.
3.375%, due 4/1/30
   1,436,000    1,421,568 
  NRG Energy, Inc.          
  3.75%, due 6/15/24 (a)   1,258,000    1,234,112 
  6.625%, due 1/15/27   1,343,000    1,396,720 
  7.25%, due 5/15/26   1,111,000    1,163,772 
  Oncor Electric Delivery Co. LLC          
  3.70%, due 11/15/28   797,000    852,753 
  3.80%, due 6/1/49   1,161,000    1,221,889 
  PPL WEM, Ltd. / Western Power Distribution, Ltd.
5.375%, due 5/1/21 (a)
   756,000    771,651 
           13,341,404 
  Electrical Equipment 0.1%          
  Carrier Global Corp.(a)          
  2.242%, due 2/15/25   601,000    583,833 
  2.493%, due 2/15/27   481,000    458,821 
           1,042,654 
  Electronics 0.4%          
  Keysight Technologies, Inc.
3.00%, due 10/30/29
   1,199,000    1,131,482 
  Trimble, Inc.          
  4.75%, due 12/1/24   1,238,000    1,300,732 
  4.90%, due 6/15/28   2,222,000    2,391,133 
           4,823,347 
  Food 1.0%          
  Campbell Soup Co.
3.95%, due 3/15/25
   594,000    616,139 
  General Mills, Inc.          
  2.875%, due 4/15/30   364,000    363,272 
  4.20%, due 4/17/28   1,047,000    1,152,769 
  J.M. Smucker Co.          
  2.375%, due 3/15/30   688,000    637,889 
  3.55%, due 3/15/50   323,000    295,739 
  JBS USA LUX S.A. / JBS USA Finance, Inc.
6.75%, due 2/15/28 (a)
   314,000    335,195 
  Mars, Inc.(a)          
  2.70%, due 4/1/25   468,000    481,110 
  3.20%, due 4/1/30   570,000    594,964 
  4.20%, due 4/1/59   488,000    533,462 
  Mondelez International Holdings Netherlands B.V.
2.25%, due 9/19/24 (a)
   1,028,000    1,016,303 
  Sysco Corp.          
  2.40%, due 2/15/30   299,000    245,353 
  2.50%, due 7/15/21   203,000    203,186 
  5.65%, due 4/1/25   459,000    477,847 
  5.95%, due 4/1/30   1,402,000    1,471,876 
  6.60%, due 4/1/40   1,139,000    1,228,068 
  6.60%, due 4/1/50   1,405,000    1,473,138 
           11,126,310 
  Forest Products & Paper 0.1%          
  Georgia-Pacific LLC
3.163%, due 11/15/21 (a)
   1,387,000    1,405,990 
             
  Health Care - Products 0.6%          
  Baxter International, Inc.(a)          
  3.75%, due 10/1/25   1,148,000    1,216,719 
  3.95%, due 4/1/30   1,002,000    1,074,341 
  Boston Scientific Corp.          
  3.75%, due 3/1/26   560,000    587,275 
  4.00%, due 3/1/29   291,000    308,156 
  4.70%, due 3/1/49   467,000    533,277 
  DH Europe Finance II S.A.R.L.          
  2.20%, due 11/15/24   543,000    527,487 
  2.60%, due 11/15/29   298,000    289,410 
  3.40%, due 11/15/49   383,000    372,592 
  Thermo Fisher Scientific, Inc.          
  4.133%, due 3/25/25   667,000    713,859 
  4.497%, due 3/25/30   1,566,000    1,760,399 
           7,383,515 
  Health Care - Services 0.9%          
  Centene Corp.          
  3.375%, due 2/15/30 (a)   876,000    814,680 
  4.25%, due 12/15/27 (a)   1,372,000    1,344,560 
  4.625%, due 12/15/29 (a)   2,061,000    2,071,305 
  4.75%, due 5/15/22   64,000    64,320 
  5.375%, due 6/1/26 (a)   1,510,000    1,555,466 
  Cigna Corp.          
  2.40%, due 3/15/30   478,000    452,730 
  3.20%, due 3/15/40   217,000    200,791 
  3.40%, due 3/15/50   328,000    309,560 
  HCA, Inc.          
  3.50%, due 9/1/30   1,621,000    1,470,590 
  5.375%, due 2/1/25   545,000    557,262 
  5.375%, due 9/1/26   220,000    226,600 
  5.625%, due 9/1/28   310,000    324,477 
  5.875%, due 2/15/26   286,000    301,015 
  5.875%, due 2/1/29   459,000    485,392 
           10,178,748 
  Home Builders 0.0% ‡          
  MDC Holdings, Inc.
5.50%, due 1/15/24
   465,000    465,000 
             
  Household Products & Wares 0.1%          
  Avery Dennison Corp.
2.65%, due 4/30/30
   1,251,000    1,166,239 
             
  Insurance 0.1%          
  Brown & Brown, Inc.
4.50%, due 3/15/29
   697,000    750,411 
             
  Iron & Steel 0.2%          
  Allegheny Technologies, Inc.
5.875%, due 12/1/27
   1,047,000    871,628 
  Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
   469,000    464,327 
  Steel Dynamics, Inc.
5.50%, due 10/1/24
   1,166,000    1,133,459 
           2,469,414 
  Lodging 0.1%          
  Choice Hotels International, Inc.
3.70%, due 12/1/29
   1,074,000    859,200 
  MGM Resorts International
7.75%, due 3/15/22 (e)
   182,000    180,275 
           1,039,475 
  Machinery - Diversified 0.4%          
  Otis Worldwide Corp.
2.056%, due 4/5/25 (a)
   711,000    694,887 
  Wabtec Corp.          
  3.45%, due 11/15/26   273,000    251,767 
  4.40%, due 3/15/24 (b)   1,014,000    1,007,396 
  4.95%, due 9/15/28 (b)   2,348,000    2,157,549 
           4,111,599 
  Media 1.0%          
  Charter Communications Operating LLC / Charter Communications Operating Capital          
  4.80%, due 3/1/50   1,115,000    1,160,239 
  5.05%, due 3/30/29   2,266,000    2,449,547 
  5.375%, due 5/1/47   205,000    221,258 
  6.484%, due 10/23/45   256,000    308,818 
  Comcast Corp.          
  2.65%, due 2/1/30   475,000    488,673 
  3.10%, due 4/1/25   335,000    355,846 
  3.15%, due 3/1/26   584,000    612,001 
  3.30%, due 4/1/27   914,000    981,267 
  3.40%, due 4/1/30   914,000    990,684 
  3.75%, due 4/1/40   365,000    412,048 
  4.15%, due 10/15/28   660,000    741,057 
  4.25%, due 10/15/30   749,000    871,746 
  4.60%, due 10/15/38   406,000    496,952 
  4.95%, due 10/15/58   475,000    642,897 
  Fox Corp.
4.03%, due 1/25/24
   429,000    445,650 
           11,178,683 
  Metals & Mining 0.1%          
  Hudbay Minerals, Inc.
7.25%, due 1/15/23 (a)
   992,000    863,040 
             
  Mining 0.1%          
  Constellium S.E.
5.75%, due 5/15/24 (a)
   1,162,000    1,037,201 
             
  Miscellaneous - Manufacturing 0.2%          
  General Electric Co.          
  5.00%, due 1/21/21 (c)(d)   1,414,000    1,166,550 
  Series A
6.75%, due 3/15/32
   542,000    643,632 
           1,810,182 
  Oil & Gas 0.2%          
  Hess Corp.
4.30%, due 4/1/27
   1,090,000    789,390 
  HollyFrontier Corp.
5.875%, due 4/1/26
   996,000    863,206 
  WPX Energy, Inc.
4.50%, due 1/15/30
   1,866,000    1,013,238 
           2,665,834 
  Pharmaceuticals 0.5%          
  AbbVie, Inc.
2.60%, due 11/21/24 (a)
   695,000    701,714 
  Allergan Finance LLC
3.25%, due 10/1/22
   721,000    722,933 
  Allergan Funding SCS          
  3.45%, due 3/15/22   1,331,000    1,382,028 
  3.80%, due 3/15/25   857,000    877,434 
  Allergan, Inc.
2.80%, due 3/15/23
   57,000    56,671 
  Bristol-Myers Squibb Co.
3.40%, due 7/26/29 (a)
   513,000    566,184 
  Cigna Corp.
3.40%, due 9/17/21
   186,000    189,492 
  Elanco Animal Health, Inc.          
  5.022%, due 8/28/23   450,000    455,212 
  5.65%, due 8/28/28   303,000    319,469 
  Pfizer, Inc.
2.625%, due 4/1/30
   336,000    353,292 
           5,624,429 
  Pipelines 0.5%          
  Cheniere Corpus Christi Holdings LLC
3.70%, due 11/15/29 (a)
   2,344,000    1,751,085 
  Energy Transfer Operating, L.P.          
  4.95%, due 6/15/28   116,000    95,950 
  5.50%, due 6/1/27   401,000    349,023 
  5.875%, due 1/15/24   301,000    284,241 
  Hess Midstream Operations, L.P.
5.125%, due 6/15/28 (a)
   1,605,000    1,127,994 
  Kinder Morgan, Inc.          
  4.30%, due 3/1/28   280,000    274,560 
  6.50%, due 9/15/20   59,000    59,132 
  NGPL PipeCo LLC
4.375%, due 8/15/22 (a)
   747,000    712,921 
  Plains All American Pipeline, L.P. / PAA Finance Corp.
4.65%, due 10/15/25
   818,000    658,228 
           5,313,134 
  Real Estate 0.1%          
  Crown Castle International Corp.
3.10%, due 11/15/29
   1,154,000    1,105,466 
  Jones Lang LaSalle, Inc.
4.40%, due 11/15/22
   651,000    635,117 
           1,740,583 
  Real Estate Investment Trusts 0.6%          
  Alexandria Real Estate Equities, Inc.
4.90%, due 12/15/30
   1,155,000    1,253,341 
  Crown Castle International Corp.          
  3.30%, due 7/1/30   284,000    281,668 
  3.65%, due 9/1/27   548,000    554,993 
  4.15%, due 7/1/50   295,000    291,755 
  4.30%, due 2/15/29   636,000    658,844 
  Equinix, Inc.          
  2.625%, due 11/18/24   522,000    497,863 
  2.90%, due 11/18/26   437,000    400,212 
  3.20%, due 11/18/29   984,000    915,022 
  GLP Capital, L.P. / GLP Financing II, Inc.          
  3.35%, due 9/1/24   187,000    165,495 
  4.00%, due 1/15/30   1,262,000    1,061,090 
  5.25%, due 6/1/25   361,000    333,925 
  5.30%, due 1/15/29   86,000    73,547 
  5.375%, due 4/15/26   697,000    617,821 
           7,105,576 
  Retail 1.4%          
  Alimentation Couche-Tard, Inc.
2.95%, due 1/25/30 (a)
   316,000    293,399 
  AutoZone, Inc.
3.75%, due 4/18/29
   984,000    996,285 
  CVS Health Corp.          
  3.00%, due 8/15/26   135,000    136,599 
  4.10%, due 3/25/25   1,369,000    1,448,173 
  4.125%, due 4/1/40   593,000    598,830 
  4.25%, due 4/1/50   293,000    304,138 
  4.30%, due 3/25/28   491,000    525,195 
  5.05%, due 3/25/48   617,000    704,940 
  Lowe's Cos., Inc.          
  4.00%, due 4/15/25   1,289,000    1,377,228 
  4.50%, due 4/15/30   1,333,000    1,468,999 
  5.00%, due 4/15/40   682,000    777,471 
  5.125%, due 4/15/50   932,000    1,125,248 
  McDonald's Corp.          
  2.625%, due 9/1/29   1,192,000    1,147,115 
  3.30%, due 7/1/25   363,000    377,426 
  3.50%, due 7/1/27   1,141,000    1,198,643 
  3.625%, due 9/1/49   607,000    612,430 
  Nordstrom, Inc.
4.375%, due 4/1/30
   1,153,000    921,836 
  O'Reilly Automotive, Inc.          
  3.60%, due 9/1/27   25,000    24,000 
  3.90%, due 6/1/29   1,129,000    1,124,963 
  4.35%, due 6/1/28   192,000    197,527 
  Starbucks Corp.
4.45%, due 8/15/49
   740,000    849,011 
           16,209,456 
  Semiconductors 0.2%          
  Lam Research Corp.
4.00%, due 3/15/29
   208,000    230,016 
  Marvell Technology Group, Ltd.          
  4.20%, due 6/22/23   440,000    449,843 
  4.875%, due 6/22/28   1,848,000    1,912,908 
           2,592,767 
  Shipbuilding 0.3%          
  Huntington Ingalls Industries, Inc.(a)          
  3.844%, due 5/1/25   864,000    889,456 
  4.20%, due 5/1/30   1,289,000    1,336,068 
  5.00%, due 11/15/25   1,493,000    1,540,039 
           3,765,563 
  Software 0.5%          
  Broadridge Financial Solutions, Inc.
2.90%, due 12/1/29
   2,035,000    1,924,893 
  MSCI, Inc.(a)          
  3.625%, due 9/1/30   821,000    778,924 
  4.00%, due 11/15/29   104,000    103,312 
  Oracle Corp.          
  2.50%, due 4/1/25   918,000    926,682 
  2.80%, due 4/1/27   2,254,000    2,287,317 
           6,021,128 
  Telecommunications 0.8%          
  AT&T, Inc.          
  3.60%, due 7/15/25   448,000    474,655 
  4.50%, due 3/9/48   640,000    693,072 
  4.75%, due 5/15/46   439,000    485,499 
  4.85%, due 3/1/39   581,000    651,583 
  5.25%, due 3/1/37   296,000    345,340 
  CenturyLink, Inc.          
  5.80%, due 3/15/22   419,000    424,242 
  6.45%, due 6/15/21   752,000    763,280 
  Level 3 Financing, Inc.
3.875%, due 11/15/29 (a)
   1,299,000    1,219,163 
  T-Mobile USA, Inc.
6.375%, due 3/1/25
   1,472,000    1,503,324 
  Verizon Communications, Inc.          
  2.625%, due 8/15/26   613,000    632,890 
  3.00%, due 3/22/27   535,000    563,633 
  3.15%, due 3/22/30   454,000    489,028 
  4.00%, due 3/22/50   323,000    381,991 
  4.522%, due 9/15/48   281,000    359,745 
  4.862%, due 8/21/46   381,000    497,223 
           9,484,668 
  Toys, Games & Hobbies 0.3%          
  Hasbro, Inc.          
  3.00%, due 11/19/24   610,000    577,972 
  3.55%, due 11/19/26   811,000    773,678 
  3.90%, due 11/19/29   2,184,000    1,948,868 
           3,300,518 
  Transportation 0.3%          
  United Parcel Service, Inc.          
  4.45%, due 4/1/30   631,000    714,040 
  5.30%, due 4/1/50   897,000    1,175,120 
  3.90%, due 4/1/25   727,000    789,298 
  5.20%, due 4/1/40   415,000    508,514 
           3,186,972 
  Total Corporate Bonds
(Cost $241,397,097)
        242,320,945 
             
  Loan Assignments 0.2%          
  Biotechnology 0.2%          
  Elanco Animal Health, Inc.
Term Loan B
TBD, due 2/4/27
   2,306,847    2,185,737 
             
  Total Loan Assignments
(Cost $2,306,847)
        2,185,737 
             
  Mortgage-Backed Securities 3.2%          
  Agency (Collateralized Mortgage Obligations) 0.3%          
  Federal National Mortgage Association          
  Series 2018-27, Class EA
3.00%, due 5/25/48
   1,132,007    1,216,107 
  REMIC, Series 2019-71, Class P
3.00%, due 11/25/49
   1,821,910    1,946,876 
           3,162,983 
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 1.1%          
  Bank          
  Series 2019-BN24, Class A3
2.96%, due 11/15/62
   218,800    227,117 
  Series 2018-BN12, Class A4
4.255%, due 5/15/61 (f)
   271,673    307,114 
  Bank of America Merrill Lynch Re-REMIC Trust
Series 2013-FRR1, Class B2
(zero coupon), due 5/26/20 (a)
   990,309    961,818 
  Barclays Commercial Mortgage Securities LLC
Series 2015-SRCH, Class A2
4.197%, due 8/10/35 (a)
   875,000    873,135 
  Benchmark Mortgage Trust
Series 2020-B16, Class A5
2.732%, due 2/15/53
   550,000    560,163 
  BX Commercial Mortgage Trust          
  Series 2018-IND, Class A
1.455% (1 Month LIBOR + 0.75%), due 11/15/35 (a)(g)
   966,933    913,647 
  Series 2019-XL, Class A
1.625% (1 Month LIBOR + 0.92%), due 10/15/36 (a)(g)
   1,128,328    1,073,248 
  Series 2019-XL, Class B
1.785% (1 Month LIBOR + 1.08%), due 10/15/36 (a)(g)
   182,482    171,061 
  Series 2019-0C11, Class A
3.202%, due 12/9/41 (a)
   1,129,000    1,019,396 
  Series 2019-0C11, Class B
3.605%, due 12/9/41 (a)
   564,000    487,792 
  Series 2019-0C11, Class C
3.856%, due 12/9/41 (a)
   564,000    466,045 
  Series 2019-0C11, Class D
4.076%, due 12/9/41 (a)(f)
   847,000    664,614 
  Series 2019-OC11, Class E
4.076%, due 12/9/41 (f)
   215,000    160,097 
  BXP Trust
Series 2017-GM, Class A
3.379%, due 6/13/39 (a)
   396,000    422,210 
  Great Wolf Trust (a)(g)          
  Series 2019-WOLF, Class A
1.739% (1 Month LIBOR + 1.034%), due 12/15/36
   270,000    242,968 
  Series 2019-WOLF, Class B
2.039% (1 Month LIBOR + 1.334%), due 12/15/36
   303,000    262,044 
  Series 2019-WOLF, Class C
2.338% (1 Month LIBOR + 1.633%), due 12/15/36
   337,000    293,268 
  GS Mortgage Securities Trust          
  Series 2020-GC45, Class A5
2.911%, due 2/13/53
   547,000    563,212 
  Series 2018-GS9, Class A4
3.992%, due 3/10/51 (f)
   645,957    693,040 
  Series 2018-GS10, Class A5
4.155%, due 7/10/51 (f)
   388,105    421,684 
  Morgan Stanley Capital I Trust          
  Series 2018-H3, Class A5
4.177%, due 7/15/51
   561,262    616,950 
  Series 2018-H4, Class A4
4.31%, due 12/15/51
   840,223    955,982 
           12,356,605 
  Whole Loan (Collateralized Mortgage Obligations) 1.8%          
  Angel Oak Mortgage Trust
Series 2018-2, Class A1
3.674%, due 7/27/48 (a)(f)
   145,068    138,387 
  Arroyo Mortgage Trust
Series 2018-1, Class A1
3.763%, due 4/25/48 (a)(f)
   277,404    270,045 
  Chase Mortgage Finance Corporation
Series 2019-ATR2, Class A11
1.847% (1 Month LIBOR + 0.90%), due 7/25/49 (a)(g)
   164,168    155,656 
  Fannie Mae Connecticut Avenue Securities (Mortgage Pass-Through Securities) (g)          
  Series 2018-C01, Class 1M1
1.547% (1 Month LIBOR + 0.60%), due 7/25/30
   79,982    79,427 
  Series 2018-C05, Class 1M1
1.667% (1 Month LIBOR + 0.72%), due 1/25/31
   9,850    9,788 
  Series 2017-C03, Class 1M1
1.897% (1 Month LIBOR + 0.95%), due 10/25/29
   36,037    34,942 
  Series 2017-C02, Class 2M1
2.097% (1 Month LIBOR + 1.15%), due 9/25/29
   4,039    4,020 
  Series 2018-C06, Class 1M2
2.947% (1 Month LIBOR + 2.00%), due 3/25/31
   1,211,966    1,066,215 
  Series 2019-R05, Class 1M2
2.947% (1 Month LIBOR + 2.00%), due 7/25/39 (a)
   1,704,407    1,439,855 
  Series 2020-R02, Class 2M2
2.947% (1 Month LIBOR + 2.00%), due 1/25/40 (a)
   1,507,000    977,491 
  Series 2019-R04, Class 2M2
3.047% (1 Month LIBOR + 2.10%), due 6/25/39 (a)
   313,000    254,557 
  Series 2019-R07, Class 1M2
3.047% (1 Month LIBOR + 2.10%), due 10/25/39 (a)
   1,403,277    1,130,667 
  Series 2019-R03, Class 1M2
3.097% (1 Month LIBOR + 2.15%), due 9/25/31 (a)
   1,249,212    1,022,753 
  Series 2019-R02, Class 1M2
3.247% (1 Month LIBOR + 2.30%), due 8/25/31 (a)
   474,618    392,772 
  Series 2018-C05, Class 1M2
3.297% (1 Month LIBOR + 2.35%), due 1/25/31
   441,215    370,534 
  Series 2017-C07, Class 1M2
4.497% (1 Month LIBOR + 3.55%), due 7/25/29
   754,346    690,082 
  Federal Home Loan Mortgage Corporation Structured Agency Credit Risk Debt Notes (g)          
  REMIC, Series 2019-HQA4, Class M1
1.717% (1 Month LIBOR + 0.77%), due 11/25/49 (a)
   175,273    169,445 
  Series 2017-DNA1, Class M1
2.147% (1 Month LIBOR + 1.20%), due 7/25/29
   105,897    105,293 
  REMIC, Series 2020-DNA1, Class M2
2.647% (1 Month LIBOR + 1.70%), due 1/25/50 (a)
   977,000    630,164 
  Series 2018-DNA1, Class M2
2.747% (1 Month LIBOR + 1.80%), due 7/25/30
   482,925    395,998 
  Series 2019-DNA4, Class M2
2.897% (1 Month LIBOR + 1.95%), due 10/25/49 (a)
   502,274    377,017 
  JP Morgan Mortgage Trust (a)(g)          
  Series 2019-5, Class A11
1.847% (1 Month LIBOR + 0.90%), due 11/25/49
   100,658    95,808 
  Series 2019-LTV2, Class A11
1.847% (1 Month LIBOR + 0.90%), due 12/25/49
   466,755    445,344 
  Series 2019-7, Class A11
1.847% (1 Month LIBOR + 0.90%), due 2/25/50
   638,561    607,449 
  Mello Warehouse Securitization Trust (a)(g)          
  Series 2018-W1, Class A
1.797% (1 Month LIBOR + 0.85%), due 11/25/51
   1,312,000    1,295,403 
  Series 2018-W1, Class B
1.997% (1 Month LIBOR + 1.05%), due 11/25/51
   95,333    92,681 
  New Residential Mortgage Loan Trust
Series 2018-2A, Class A1
4.50%, due 2/25/58 (a)(f)
   349,154    364,269 
  Preston Ridge Partners Mortgage Trust (a)(b)          
  Series 2019-4A, Class A1
3.351%, due 11/25/24
   504,935    497,177 
  Series 2019-GS1, Class A1
3.50%, due 10/25/24
   536,490    533,500 
  Provident Funding Mortgage Trust
Series 2020-1, Class A5
3.00%, due 2/25/50 (a)(f)
   364,854    360,601 
  Sequoia Mortgage Trust (a)(f)          
  Series 2020-2, Class A19
3.50%, due 3/25/50
   262,429    264,020 
  Series 2019-CH2, Class A1
4.50%, due 8/25/49
   469,411    467,340 
  Spruce Hill Mortgage Loan Trust (a)(f)          
  Series 2020-SH1, Class A1
2.521%, due 1/28/50
   245,678    227,887 
  Series 2020-SH1, Class A2
2.624%, due 1/28/50
   484,987    449,885 
  Station Place Securitization Trust (g)          
  Series 2019-WL1, Class D
2.147% (1 Month LIBOR + 1.20%), due 8/25/52 (a)
   261,333    258,038 
  Series 2019-WL1, Class E
2.347% (1 Month LIBOR + 1.40%), due 8/25/52 (a)
   526,667    519,665 
  Series 2019-4, Class A
2.559% (1 Month LIBOR + 0.90%), due 6/24/20
   1,862,000    1,852,646 
  Series 2020-1
2.559% (1 Month LIBOR + 0.90%), due 10/24/20
   2,000,000    1,980,488 
  Towd Point Asset Funding LLC
Series 2019-HE1, Class A1
1.847% (1 Month LIBOR + 0.90%), due 4/25/48 (a)(g)
   403,708    391,596 
  Verus Securitization Trust
Series 2020-1, Class A3
2.724%, due 1/25/60 (a)(f)
   473,574    454,669 
           20,873,574 
  Total Mortgage-Backed Securities
(Cost $39,307,945)
        36,393,162 
             
  U.S. Government & Federal Agencies 25.3%          
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 3.4%          
  2.50%, due 11/1/31   100,213    104,265 
  2.50%, due 12/1/31   120,345    125,212 
  2.50%, due 12/1/32   214,839    223,042 
  2.50%, due 12/1/33   2,028,213    2,105,521 
  2.50%, due 11/1/34   355,708    370,365 
  2.50%, due 11/1/34   326,897    340,377 
  2.50%, due 1/1/50   63,146    65,520 
  3.00%, due 2/1/31   382,126    401,524 
  3.00%, due 5/1/31   2,652,913    2,793,859 
  3.00%, due 9/1/32   359,351    377,578 
  3.00%, due 10/1/32   139,732    146,811 
  3.00%, due 1/1/33   191,455    201,102 
  3.00%, due 10/1/34   171,909    180,482 
  3.00%, due 10/1/34   394,383    414,319 
  3.00%, due 6/1/43   86,250    90,705 
  3.00%, due 1/1/45   321,737    339,797 
  3.00%, due 10/1/46   1,215,078    1,281,894 
  3.00%, due 8/1/49   291,765    306,761 
  3.00%, due 8/1/49   95,188    100,609 
  3.00%, due 9/1/49   127,476    133,634 
  3.00%, due 10/1/49   207,272    217,493 
  3.00%, due 10/1/49   87,835    92,079 
  3.00%, due 10/1/49   145,655    153,096 
  3.00%, due 11/1/49   115,978    122,007 
  3.00%, due 11/1/49   243,693    255,873 
  3.00%, due 11/1/49   598,273    627,575 
  3.00%, due 12/1/49   320,012    335,793 
  3.00%, due 12/1/49   202,763    212,559 
  3.00%, due 12/1/49   335,550    351,761 
  3.00%, due 1/1/50   56,652    59,403 
  3.00%, due 1/1/50   571,375    599,129 
  3.00%, due 2/1/50   212,263    222,716 
  3.00%, due 2/1/50   134,474    141,007 
  3.00%, due 3/1/50   119,802    125,622 
  3.00%, due 3/1/50   82,877    86,903 
  3.00%, due 3/1/50   117,830    123,554 
  3.50%, due 7/1/42   50,975    54,322 
  3.50%, due 8/1/42   66,465    70,924 
  3.50%, due 8/1/42   59,862    63,862 
  3.50%, due 2/1/43   342,445    365,371 
  3.50%, due 2/1/44   391,781    417,949 
  3.50%, due 12/1/44   852,424    914,388 
  3.50%, due 7/1/46   256,135    274,471 
  3.50%, due 7/1/46   1,023,360    1,100,817 
  3.50%, due 10/1/46   1,724,922    1,836,119 
  3.50%, due 2/1/47   1,066,905    1,135,525 
  3.50%, due 9/1/47   1,131,135    1,198,956 
  3.50%, due 9/1/47   637,439    675,620 
  3.50%, due 11/1/47   205,841    221,013 
  3.50%, due 11/1/47   377,966    406,431 
  3.50%, due 12/1/47   1,605,935    1,721,387 
  3.50%, due 12/1/47   482,294    516,833 
  3.50%, due 12/1/47   277,393    298,283 
  3.50%, due 2/1/48   458,432    492,906 
  3.50%, due 2/1/48   463,460    496,603 
  3.50%, due 3/1/48   283,106    302,124 
  3.50%, due 3/1/48   1,210,011    1,296,535 
  3.50%, due 4/1/48   102,293    109,133 
  3.50%, due 8/1/48   1,080,049    1,152,482 
  3.50%, due 11/1/48   1,377,784    1,470,255 
  3.50%, due 7/1/49   1,791,796    1,898,478 
  3.50%, due 8/1/49   144,620    153,910 
  3.50%, due 8/1/49   337,060    356,558 
  3.50%, due 8/1/49   64,324    68,029 
  3.50%, due 9/1/49   93,169    99,154 
  3.50%, due 9/1/49   554,740    586,265 
  3.50%, due 9/1/49   67,167    70,967 
  3.50%, due 1/1/50   125,228    133,535 
  3.50%, due 3/1/50   13,000    13,806 
  4.00%, due 3/1/47   66,545    71,900 
  4.00%, due 3/1/48   292,226    316,607 
  4.00%, due 4/1/48   14,161    15,102 
  4.00%, due 4/1/48   540,943    584,818 
  4.00%, due 5/1/48   1,276,173    1,364,928 
  4.00%, due 5/1/48   108,214    115,624 
  4.00%, due 6/1/49   45,220    48,251 
  4.00%, due 6/1/49   42,091    44,878 
  4.50%, due 5/1/44   798,148    886,565 
  4.50%, due 3/1/48   394,077    425,035 
  4.50%, due 12/1/48   425,326    469,705 
  5.00%, due 9/1/48   93,976    101,536 
  6.00%, due 4/1/40   683,251    797,311 
           39,045,218 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 6.8%          
  2.50%, due 12/1/32   263,658    273,893 
  2.50%, due 10/1/34   421,122    437,967 
  2.50%, due 11/1/34   432,648    450,499 
  2.50%, due 1/1/35   1,169,909    1,213,787 
  2.50%, due 8/1/49 TBA (h)   184,000    190,612 
  2.50%, due 1/1/50   135,352    140,441 
  3.00%, due 10/1/34   220,295    231,278 
  3.00%, due 11/1/34   41,739    44,031 
  3.00%, due 12/1/34   40,376    42,539 
  3.00%, due 1/1/43   84,186    88,951 
  3.00%, due 2/1/43   29,493    31,360 
  3.00%, due 5/1/43   1,170,749    1,236,795 
  3.00%, due 5/1/43   115,919    123,258 
  3.00%, due 10/1/45   25,874    27,213 
  3.00%, due 10/1/45   45,283    47,619 
  3.00%, due 1/1/46   6,084    6,399 
  3.00%, due 3/1/46   119,438    125,609 
  3.00%, due 3/1/46   173,830    182,810 
  3.00%, due 9/1/46   1,574,366    1,663,778 
  3.00%, due 2/1/47   239,376    253,019 
  3.00%, due 2/1/47   13,515,600    14,283,883 
  3.00%, due 3/1/47   891,017    940,873 
  3.00%, due 8/1/49   298,768    315,782 
  3.00%, due 9/1/49   216,810    228,033 
  3.00%, due 9/1/49   175,632    184,064 
  3.00%, due 9/1/49   64,343    67,868 
  3.00%, due 9/1/49   409,988    431,375 
  3.00%, due 10/1/49   2,608,990    2,735,007 
  3.00%, due 12/1/49   147,303    154,456 
  3.00%, due 1/1/50   633,323    664,623 
  3.00%, due 1/1/50   301,822    316,484 
  3.00%, due 1/1/50   1,845,058    1,934,671 
  3.00%, due 3/1/50   1,622,720    1,701,548 
  3.00%, due 3/1/50   1,998,148    2,093,374 
  3.00%, due 2/1/57   1,265,287    1,344,543 
  3.00%, due 6/1/57   20,344    21,617 
  3.50%, due 7/1/33 TBA (h)   1,953,602    2,054,564 
  3.50%, due 10/1/42   432,291    463,213 
  3.50%, due 12/1/42   819,915    874,259 
  3.50%, due 2/1/43   1,248,386    1,331,923 
  3.50%, due 4/1/43   889,897    949,322 
  3.50%, due 11/1/43   424,468    452,811 
  3.50%, due 12/1/43   655,597    699,343 
  3.50%, due 4/1/44   530,839    570,801 
  3.50%, due 2/1/45   1,069,809    1,141,055 
  3.50%, due 2/1/45   116,275    124,038 
  3.50%, due 12/1/45   272,904    293,470 
  3.50%, due 5/1/46   166,198    176,879 
  3.50%, due 7/1/46   334,751    357,253 
  3.50%, due 7/1/46   533,862    572,126 
  3.50%, due 8/1/46   1,275,146    1,357,268 
  3.50%, due 8/1/46   2,033,428    2,164,603 
  3.50%, due 12/1/46   85,670    91,203 
  3.50%, due 8/1/47   133,519    144,067 
  3.50%, due 8/1/47   277,875    294,561 
  3.50%, due 8/1/47   186,096    197,957 
  3.50%, due 12/1/47   76,849    82,921 
  3.50%, due 12/1/47   37,535    40,500 
  3.50%, due 12/1/47   421,616    453,369 
  3.50%, due 12/1/47   305,334    325,884 
  3.50%, due 1/1/48   300,778    322,841 
  3.50%, due 1/1/48   482,211    517,434 
  3.50%, due 3/1/48   188,249    202,406 
  3.50%, due 3/1/48   57,280    61,419 
  3.50%, due 4/1/48   642,131    690,417 
  3.50%, due 4/1/48   679,934    723,664 
  3.50%, due 8/1/48 TBA (h)   100,165    105,857 
  3.50%, due 11/1/48   1,064,281    1,144,313 
  3.50%, due 1/1/49   243,642    259,466 
  3.50%, due 7/1/49   494,222    522,423 
  3.50%, due 1/1/50   189,310    201,873 
  3.50%, due 8/1/56   1,649,053    1,777,379 
  3.50%, due 2/1/57   1,806,323    1,953,564 
  4.00%, due 12/1/24 TBA (h)   558,459    587,255 
  4.00%, due 6/1/47   25,004    26,764 
  4.00%, due 6/1/47   56,289    60,422 
  4.00%, due 6/1/47   112,995    121,261 
  4.00%, due 6/1/47   60,812    65,298 
  4.00%, due 7/1/47   23,533    25,197 
  4.00%, due 7/1/47   36,099    38,644 
  4.00%, due 7/1/47   92,391    99,237 
  4.00%, due 7/1/47   103,462    111,107 
  4.00%, due 8/1/47   103,001    110,337 
  4.00%, due 8/1/47   182,117    195,528 
  4.00%, due 9/1/47   44,150    48,599 
  4.00%, due 10/1/47   259,542    278,642 
  4.00%, due 10/1/47   121,780    130,702 
  4.00%, due 10/1/47   202,663    223,103 
  4.00%, due 10/1/47   120,716    132,882 
  4.00%, due 10/1/47   189,914    209,033 
  4.00%, due 11/1/47   84,633    90,596 
  4.00%, due 11/1/47   332,410    356,875 
  4.00%, due 12/1/47   602,232    645,488 
  4.00%, due 1/1/48   2,141,546    2,329,140 
  4.00%, due 1/1/48   126,170    134,461 
  4.00%, due 1/1/48   1,039,748    1,126,867 
  4.00%, due 3/1/48   404,616    433,661 
  4.00%, due 5/1/48   1,047,368    1,119,099 
  4.00%, due 2/1/49   401,896    428,098 
  4.00%, due 9/1/49   1,787,904    1,960,492 
  4.50%, due 11/1/42   116,851    128,314 
  4.50%, due 10/1/44   326,779    362,049 
  4.50%, due 3/1/45   508,790    563,745 
  4.50%, due 6/1/45   267,506    297,078 
  4.50%, due 2/1/46   672,099    735,456 
  4.50%, due 5/1/47   33,180    36,180 
  4.50%, due 5/1/47   20,309    22,019 
  4.50%, due 5/1/47   101,746    111,444 
  4.50%, due 5/1/47   85,170    92,871 
  4.50%, due 5/1/47   84,095    91,648 
  4.50%, due 5/1/47   63,453    69,501 
  4.50%, due 5/1/47   52,011    56,714 
  4.50%, due 5/1/47   64,677    70,487 
  4.50%, due 5/1/47   19,505    21,364 
  4.50%, due 6/1/47   34,085    37,334 
  4.50%, due 6/1/47   403,055    439,222 
  4.50%, due 7/1/47   219,585    239,024 
  4.50%, due 7/1/47   180,559    196,349 
  4.50%, due 7/1/47   290,786    316,905 
  4.50%, due 8/1/47   42,456    45,985 
  4.50%, due 8/1/47   319,042    346,685 
  4.50%, due 9/1/47   273,014    295,723 
  4.50%, due 9/1/47   449,901    489,909 
  4.50%, due 9/1/47   194,657    211,983 
  4.50%, due 10/1/47   43,752    47,392 
  4.50%, due 10/1/47   22,471    24,487 
  4.50%, due 11/1/47   231,151    251,886 
  4.50%, due 3/1/48   318,158    345,787 
  4.50%, due 3/1/48   458,157    494,643 
  4.50%, due 4/1/48   306,467    335,129 
  4.50%, due 5/1/48   210,622    229,776 
  4.50%, due 5/1/48   206,718    223,114 
  4.50%, due 6/1/48   267,545    292,601 
  4.50%, due 6/1/48   223,268    240,605 
  4.50%, due 8/1/48   411,733    442,978 
  5.00%, due 7/1/44   478,752    528,155 
  5.00%, due 5/1/48   370,318    400,096 
  6.00%, due 2/1/37   38,757    45,088 
           78,195,019 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 1.9%          
  3.00%, due 7/1/49 TBA (h)   777,000    821,344 
  4.00%, due 1/15/45   1,005,057    1,097,380 
  4.00%, due 7/15/47   1,006,292    1,075,454 
  4.00%, due 8/15/47   202,851    216,778 
  4.00%, due 8/20/47   53,102    57,524 
  4.00%, due 8/20/47   110,061    117,775 
  4.00%, due 8/20/47   29,414    31,651 
  4.00%, due 11/15/47   223,950    239,223 
  4.00%, due 12/15/47   303,179    323,863 
  4.00%, due 5/20/48   5,261,544    5,605,580 
  4.00%, due 6/20/48   940,596    1,005,652 
  4.00%, due 4/20/49   5,330,277    5,682,822 
  4.50%, due 8/15/46   1,047,330    1,159,082 
  4.50%, due 2/20/48   176,248    189,643 
  4.50%, due 5/20/48   161,046    173,069 
  4.50%, due 5/20/48   665,426    715,677 
  5.00%, due 4/20/49   3,530,958    3,773,066 
           22,285,583 
  United States Treasury Bonds 3.8%          
  2.00%, due 2/15/50   9,880,800    11,446,675 
  2.25%, due 8/15/49   13,560,000    16,519,364 
  2.375%, due 11/15/49   1,339,900    1,669,327 
  2.75%, due 8/15/42   10,903,000    14,077,647 
           43,713,013 
  United States Treasury Notes 9.4%          
  0.375%, due 3/31/22   17,272,000    17,321,927 
  0.50%, due 3/31/25   31,400,600    31,593,174 
  1.125%, due 2/28/22   37,412,000    38,033,097 
  1.50%, due 9/15/22   2,613,000    2,693,636 
  1.50%, due 2/15/30 (e)   4,105,000    4,419,770 
  2.125%, due 5/31/21   13,118,000    13,425,453 
           107,487,057 
  Total U.S. Government & Federal Agencies
(Cost $281,158,776)
        290,725,890 
             
  Total Long-Term Bonds
(Cost $582,028,106)
        588,184,138 
             
      Shares      
  Common Stocks 47.9%          
  Aerospace & Defense 1.6%          
  Boeing Co.   46,202    6,890,566 
  General Dynamics Corp.   85,818    11,354,580 
           18,245,146 
  Air Freight & Logistics 0.4%          
  United Parcel Service, Inc., Class B   44,505    4,157,657 
             
  Automobiles 0.2%          
  General Motors Co.   114,418    2,377,606 
             
  Banks 1.0%          
  Bank of America Corp.   264,103    5,606,907 
  U.S. Bancorp   172,151    5,930,602 
           11,537,509 
  Beverages 0.4%          
  Monster Beverage Corp. (i)   91,123    5,126,580 
             
  Capital Markets 1.8%          
  Blackstone Group, Inc., Class A   183,162    8,346,692 
  CME Group, Inc.   53,724    9,289,417 
  Morgan Stanley   105,514    3,587,476 
           21,223,585 
  Consumer Finance 0.7%          
  American Express Co.   72,087    6,171,368 
  Synchrony Financial   106,897    1,719,973 
           7,891,341 
  Electronic Equipment, Instruments & Components 0.3%          
  Corning, Inc.   167,997    3,450,658 
             
  Entertainment 0.6%          
  Walt Disney Co.   68,778    6,643,955 
             
  Equity Real Estate Investment Trusts 1.1%          
  Crown Castle International Corp.   49,582    7,159,641 
  MGM Growth Properties LLC, Class A   145,079    3,434,020 
  OUTFRONT Media, Inc.   124,966    1,684,542 
           12,278,203 
  Food & Staples Retailing 1.7%          
  Costco Wholesale Corp.   47,185    13,453,859 
  Sysco Corp.   127,409    5,813,673 
           19,267,532 
  Food Products 0.5%          
  Hershey Co.   43,080    5,708,100 
             
  Health Care Equipment & Supplies 1.5%          
  Abbott Laboratories   131,366    10,366,091 
  Medtronic PLC   81,481    7,347,957 
           17,714,048 
  Health Care Providers & Services 1.7%          
  UnitedHealth Group, Inc.   77,648    19,363,858 
             
  Hotels, Restaurants & Leisure 2.1%          
  Hilton Worldwide Holdings, Inc.   61,092    4,168,918 
  McDonald's Corp.   96,914    16,024,730 
  Starbucks Corp.   68,340    4,492,672 
           24,686,320 
  Household Products 0.9%          
  Clorox Co.   15,632    2,708,244 
  Procter & Gamble Co.   65,556    7,211,160 
           9,919,404 
  Industrial Conglomerates 0.5%          
  Honeywell International, Inc.   41,894    5,604,998 
             
  Insurance 1.2%          
  Marsh & McLennan Cos., Inc.   26,088    2,255,568 
  Progressive Corp.   157,632    11,639,547 
           13,895,115 
  Interactive Media & Services 1.8%          
  Alphabet, Inc., Class C (i)   17,478    20,323,593 
             
  Internet & Direct Marketing Retail 1.4%          
  Amazon.com, Inc. (i)   8,513    16,597,966 
             
  IT Services 3.7%          
  Accenture PLC, Class A   79,567    12,990,108 
  Mastercard, Inc.   122,062    29,485,297 
           42,475,405 
  Leisure Products 0.5%          
  Hasbro, Inc.   75,940    5,433,507 
             
  Life Sciences Tools & Services 0.7%          
  Thermo Fisher Scientific, Inc.   28,807    8,169,665 
             
  Machinery 0.5%          
  Deere & Co.   45,024    6,220,516 
             
  Media 1.1%          
  Comcast Corp., Class A   381,251    13,107,409 
             
  Multiline Retail 0.7%          
  Dollar General Corp.   53,503    8,079,488 
             
  Oil, Gas & Consumable Fuels 0.3%          
  Suncor Energy, Inc.   211,001    3,349,798 
             
  Personal Products 0.1%          
  Estee Lauder Cos., Inc., Class A   9,747    1,553,087 
             
  Pharmaceuticals 3.5%          
  Bristol-Myers Squibb Co.   199,606    11,126,038 
  Eli Lilly & Co.   92,929    12,891,111 
  Merck & Co., Inc.   210,709    16,211,951 
           40,229,100 
  Real Estate Management & Development 0.4%          
  CBRE Group, Inc., Class A (i)   117,900    4,446,009 
             
  Road & Rail 0.6%          
  CSX Corp.   119,191    6,829,644 
             
  Semiconductors & Semiconductor Equipment 3.1%          
  Intel Corp.   219,021    11,853,417 
  Lam Research Corp.   39,196    9,407,040 
  NVIDIA Corp.   27,109    7,145,932 
  Texas Instruments, Inc.   68,672    6,862,393 
           35,268,782 
  Software 6.0%          
  Adobe, Inc. (i)   54,349    17,296,026 
  Microsoft Corp.   288,879    45,559,107 
  salesforce.com, Inc. (i)   45,706    6,580,750 
           69,435,883 
  Specialty Retail 1.5%          
  Home Depot, Inc.   90,710    16,936,464 
             
  Technology Hardware, Storage & Peripherals 2.0%          
  Apple, Inc.   91,106    23,167,345 
             
  Textiles, Apparel & Luxury Goods 0.7%          
  NIKE, Inc., Class B   98,196    8,124,737 
             
  Tobacco 1.1%          
  Altria Group, Inc.   335,602    12,977,729 
             
  Total Common Stocks
(Cost $460,589,143)
        551,817,742 
             
  Convertible Preferred Stocks 0.0%‡          
  Consumer Finance 0.0% ‡          
  Synchrony Financial (d)
5.625%
   30,575    521,609 
             
  Total Convertible Preferred Stocks
(Cost $768,809)
        521,609 
             
  Short-Term Investments 2.3%          
  Affiliated Investment Company 1.9%          
  MainStay U.S. Government Liquidity Fund, 0.09% (j)   21,723,278    21,723,278 
             
  Unaffiliated Investment Company 0.4%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (j)(k)   4,708,463    4,708,463 
             
  Total Short-Term Investments
(Cost $26,431,741)
        26,431,741 
  Total Investments
(Cost $1,069,817,799)
   101.4%   1,166,955,230 
  Other Assets, Less Liabilities   (1.4)   (15,910,669)
  Net Assets   100.0%  $1,151,044,561 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Step coupon - Rate shown was the rate in effect as of March 31, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(d) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(e) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $4,600,045. The Portfolio received cash collateral with a value of $4,708,463.  
(f) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(g) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(h) TBA - Securities purchased on a forward commitment basis with an approximate principal amount and maturity date. The actual principal amount and maturity date will be determined upon settlement. As of March 31, 2020, the total net market value of these securities was $3,759,633, which represented 0.3% of the Portfolio's net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement.
(i) Non-income producing security.
(j) Current yield as of March 31, 2020.
(k) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages: 

REMIC —Real Estate Mortgage Investment Conduit
TBD —To Be Determined

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)

  

Significant
Other
Observable
Inputs

(Level 2)

  

Significant
Unobservable
Inputs

(Level 3)

   Total 
                 
Asset Valuation Inputs    
             
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $   $16,558,404   $   $16,558,404 
Corporate Bonds       242,320,945        242,320,945 
Loan Assignments       2,185,737        2,185,737 
Mortgage-Backed Securities       36,393,162        36,393,162 
U.S. Government & Federal Agencies       290,725,890        290,725,890 
Total Long-Term Bonds       588,184,138        588,184,138 
Common Stocks   551,817,742            551,817,742 
Convertible Preferred Stocks   521,609            521,609 
Short-Term Investments                    
Affiliated Investment Company   21,723,278            21,723,278 
Unaffiliated Investment Company   4,708,463            4,708,463 
Total Short-Term Investments   26,431,741            26,431,741 
Total Investments in Securities  $578,771,092   $588,184,138   $   $1,166,955,230 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay Government Portfolio
Portfolio of Investments  March 31, 2020 (Unaudited)

 

     Principal
Amount
    Value 
  Long-Term Bonds  95.0% †             
  Asset-Backed Securities 3.1%             
  Other Asset-Backed Securities 2.9%          
  FirstEnergy Ohio PIRB Special Purpose Trust
Series 2013-1, Class A3
3.45%, due 1/15/36
  $547,429   $561,204 
  PSNH Funding LLC
Series 2018-1, Class A1
3.094%, due 2/1/26
   343,288    346,682 
  Small Business Administration Participation Certificates          
  Series 2012-20L, Class 1
1.93%, due 12/1/32
   484,395    486,611 
  Series 2014-20H, Class 1
2.88%, due 8/1/34
   504,069    521,986 
  Series 2015-20G, Class 1
2.88%, due 7/1/35
   1,347,755    1,400,952 
  Series 2014-20I, Class 1
2.92%, due 9/1/34
   561,108    576,521 
  Series 2014-20C, Class 1
3.21%, due 3/1/34
   956,143    999,171 
  Series 2018-20B, Class 1
3.22%, due 2/1/38
   1,893,246    2,001,040 
  Series 2018-20D, Class 1
3.31%, due 4/1/38
   2,247,311    2,387,338 
           9,281,505 
  Utilities 0.2%          
  Atlantic City Electric Transition Funding LLC
Series 2002-1, Class A4
5.55%, due 10/20/23
   482,486    492,311 
             
  Total Asset-Backed Securities
(Cost $9,625,237)
        9,773,816 
             
  Corporate Bonds 3.4%          
  Agriculture 0.4%          
  Altria Group, Inc.
2.85%, due 8/9/22
   1,170,000    1,175,694 
             
  Electric 2.0%          
  Consolidated Edison Co. of New York, Inc.
1.616% (3 Month LIBOR + 0.40%), due 6/25/21 (a)
   1,550,000    1,505,143 
  Duke Energy Florida Project Finance LLC
2.538%, due 9/1/31
   1,900,000    2,004,166 
  Monongahela Power Co.
4.10%, due 4/15/24 (b)
   2,000,000    2,187,667 
  PECO Energy Co.
1.70%, due 9/15/21
   670,000    663,436 
           6,360,412 
  Pipelines 0.4%          
  Plains All American Pipeline, L.P. / PAA Finance Corp.
5.00%, due 2/1/21
   1,200,000    1,170,661 
             
  Real Estate Investment Trusts 0.6%          
  Host Hotels & Resorts, L.P.
3.75%, due 10/15/23
   2,350,000    2,062,611 
             
  Total Corporate Bonds
(Cost $10,971,455)
        10,769,378 
             
  Mortgage-Backed Securities 15.7%          
  Agency (Collateralized Mortgage Obligations) 10.9%          
  Federal Home Loan Mortgage Corporation          
  REMIC Series 4691, Class HA
2.50%, due 6/15/40
   537,643    561,306 
  REMIC, Series 4935, Class JP
2.50%, due 7/25/49
   853,531    890,977 
  REMIC, Series 4913, Class UA
3.00%, due 3/15/49
   1,140,356    1,193,146 
  REMIC, Series 4908, Class BD
3.00%, due 4/25/49
   2,400,000    2,554,908 
  REMIC, Series 4911, Class MB
3.00%, due 9/25/49
   1,785,000    1,890,940 
  REMIC, Series 4926, Class BP
3.00%, due 10/25/49
   3,080,000    3,254,195 
  REMIC Series 4818, Class BD
3.50%, due 3/15/45
   587,765    615,467 
  REMIC Series 4888, Class BA
3.50%, due 9/15/48
   420,806    438,154 
  REMIC Series 4877, Class AT
3.50%, due 11/15/48
   545,516    593,404 
  REMIC Series 4877, Class BE
3.50%, due 11/15/48
   865,854    911,104 
  REMIC, Series 4886, Class LA
4.00%, due 3/15/43
   355,883    365,227 
  REMIC, Series 4837, Class BA
4.00%, due 6/15/43
   2,375,189    2,456,333 
  Federal National Mortgage Association          
  REMIC, Series 2019-39, Class LA
3.00%, due 2/25/49
   671,789    717,663 
  Series 2019-25, Class PA
3.00%, due 5/25/48
   495,909    527,707 
  Series 2019-13, Class PE
3.00%, due 3/25/49
   622,920    658,746 
  REMIC, Series 2019-58, Class LP
3.00%, due 10/25/49
   1,350,000    1,406,106 
  REMIC, Series 2018-76, Class BC
3.50%, due 11/25/42
   1,723,769    1,765,476 
  REMIC, Series 2019-6, Class KA
3.50%, due 3/25/46
   1,261,738    1,325,508 
  REMIC, Series 2019-74, Class BA
3.50%, due 12/25/59
   1,187,457    1,312,699 
     REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   1,240,876    1,353,024 
  Government National Mortgage Association          
  Series 2014-91, Class MA
3.00%, due 1/16/40
   537,928    571,154 
  Series 2018-127, Class PB
3.00%, due 9/20/47
   1,288,577    1,354,581 
  REMIC, Series 2019-3, Class A
3.00%, due 4/20/48
   1,819,417    1,914,131 
  Series 2019-29, Class CB
3.00%, due 10/20/48
   472,302    499,093 
  Series 2019-52, Class JL
3.00%, due 11/20/48
   508,455    535,767 
  Series 2019-59, Class KA
3.00%, due 12/20/48
   885,665    950,608 
  Series 2019-43, Class PL
3.00%, due 4/20/49
   481,398    512,413 
  Series 2019-74, Class AT
3.00%, due 6/20/49
   1,054,080    1,128,636 
  Series 2013-149, Class BA
3.25%, due 8/16/41
   1,621,696    1,738,392 
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   445,758    461,442 
           34,458,307 
  Agency Collateral PAC CMO 0.6%          
  Government National Mortgage Association
REMIC, Series 2014-63, Class PG
2.50%, due 7/20/43
   1,745,148    1,807,785 
             
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.6%          
  BXP Trust
Series 2017-GM, Class A
3.379%, due 6/13/39 (b)
   1,750,000    1,865,829 
  Four Times Square Trust
Series 2006-4TS, Class A
5.401%, due 12/13/28 (b)
   488,194    483,455 
  FREMF Mortgage Trust (b)(c)          
  Series 2013-K27, Class B
3.496%, due 1/25/46
   1,000,000    983,413 
  Series 2014-K41, Class B
3.833%, due 11/25/47
   2,700,000    2,733,887 
  Series 2016-K54, Class B
4.051%, due 4/25/48
   695,000    678,007 
  Series 2010-K9, Class B
5.207%, due 9/25/45
   2,180,000    2,185,828 
  One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (b)
   1,725,000    1,718,995 
  Wells Fargo Commercial Mortgage Trust
Series 2018-1745, Class A
3.749%, due 6/15/36 (b)(c)
   695,000    685,753 
           11,335,167 
  Residential Mortgage (Collateralized Mortgage Obligation) 0.0% ‡          
  Citigroup Mortgage Loan Trust, Inc.
Series 2006-AR6, Class 1A1
4.42%, due 8/25/36 (c)
   116,704    93,459 
             
  Whole Loan (Collateralized Mortgage Obligations) 0.6%          
  Chase Home Lending Mortgage Trust
Series 2019-ATR1, Class A4
4.00%, due 4/25/49 (b)(d)
   314,830    314,832 
  Fannie Mae Connecticut Avenue Securities (Mortgage Pass-Through Securities)
Series 2012-53, Class BK
1.75%, due 5/25/27
   1,774,258    1,808,149 
           2,122,981 
             
  Total Mortgage-Backed Securities
(Cost $48,851,565)
        49,817,699 
             
  U.S. Government & Federal Agencies 72.8%          
  Fannie Mae (Collateralized Mortgage Obligation) 0.0% ‡ (e)          
  Series 360, Class 2, IO
5.00%, due 8/25/35
   79,938    12,258 
  Series 361, Class 2
6.00%, due 10/25/35
   17,209    3,966 
           16,224 
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 10.0%          
  2.50%, due 9/1/34   916,676    951,006 
  2.50%, due 1/1/40   1,325,182    1,378,634 
  2.50%, due 8/1/46   1,551,237    1,615,154 
  2.50%, due 3/1/50   2,797,628    2,898,504 
  3.00%, due 2/1/46   3,001,897    3,172,934 
  3.00%, due 4/1/47   3,072,361    3,239,819 
  3.00%, due 9/1/49   848,116    889,091 
  3.00%, due 11/1/49   1,818,930    1,919,156 
  3.50%, due 1/1/43   672,660    725,888 
  3.50%, due 1/1/44   381,132    408,764 
  3.50%, due 1/1/48   2,338,166    2,480,347 
  3.50%, due 2/1/48   2,774,343    2,940,995 
  4.00%, due 7/1/44   348,879    376,714 
  4.00%, due 3/1/45   324,261    350,383 
  4.00%, due 12/1/46   1,129,128    1,221,222 
  4.00%, due 2/1/48   653,560    701,687 
  4.00%, due 10/1/48   1,216,953    1,319,285 
  4.00%, due 3/1/49   1,087,364    1,157,927 
  4.50%, due 3/1/41   336,701    370,571 
  4.50%, due 8/1/44   213,876    238,411 
  4.50%, due 12/1/44   953,265    1,043,899 
  4.50%, due 7/1/45   622,061    680,685 
  4.50%, due 4/1/46   98,341    107,673 
  4.50%, due 8/1/47   204,491    226,454 
  5.00%, due 11/1/41   1,188,762    1,322,541 
  6.50%, due 4/1/37   34,193    39,525 
           31,777,269 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 22.9%          
  2.50%, due 12/1/37   2,157,714    2,253,995 
  2.50%, due 2/1/40   1,344,373    1,395,111 
  2.50%, due 1/1/47   3,125,999    3,253,271 
  2.50%, due 3/1/50   3,000,000    3,108,176 
  2.50%, due 3/1/50   3,070,000    3,183,667 
  2.50%, due 1/1/57   845,690    882,732 
  3.00%, due 10/1/32   629,151    669,567 
  3.00%, due 10/1/44   1,992,484    2,105,900 
  3.00%, due 9/1/46   2,058,724    2,136,599 
  3.00%, due 10/1/46   1,914,043    1,987,406 
  3.00%, due 10/1/48   43,285    45,323 
  3.00%, due 10/1/49   2,883,558    3,021,071 
  3.00%, due 3/1/50   2,000,000    2,100,278 
  3.00%, due 3/1/50   2,750,000    2,900,884 
  3.00%, due 2/1/57   762,817    810,598 
  3.00%, due 6/1/57   842,129    894,792 
  3.50%, due 3/1/37   454,839    494,060 
  3.50%, due 2/1/43   1,640,555    1,769,864 
  3.50%, due 5/1/43   576,463    618,360 
  3.50%, due 7/1/43   551,855    593,318 
  3.50%, due 11/1/44   910,130    976,277 
  3.50%, due 3/1/45   941,091    1,008,530 
  3.50%, due 8/1/46   765,849    820,033 
  3.50%, due 10/1/47   752,620    797,852 
  3.50%, due 2/1/48   464,022    491,715 
  3.50%, due 8/1/49   2,007,678    2,117,338 
  4.00%, due 8/1/38   3,064,629    3,322,140 
  4.00%, due 1/1/46   948,491    1,024,085 
  4.00%, due 9/1/47   651,603    697,369 
  4.00%, due 9/1/48   2,179,469    2,321,341 
  4.00%, due 9/1/48   1,620,934    1,742,391 
  4.00%, due 4/1/49   512,413    545,661 
  4.50%, due 2/1/41   2,599,318    2,862,121 
  4.50%, due 4/1/41   6,297,647    6,996,551 
  4.50%, due 8/1/42   1,172,710    1,283,839 
  4.50%, due 12/1/43   302,834    331,366 
  4.50%, due 8/1/44   1,353,023    1,481,238 
  5.00%, due 9/1/41   2,196,147    2,431,535 
  5.00%, due 10/1/41   1,933,411    2,147,697 
  5.50%, due 7/1/41   3,428,602    3,873,095 
  6.00%, due 4/1/37   10,435    11,779 
  6.00%, due 7/1/39   784,150    902,514 
  6.50%, due 10/1/39   139,673    162,280 
  6.50%, due 8/1/47   14,731    15,783 
           72,589,502 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 1.2%          
  4.00%, due 11/20/49   1,952,372    2,075,675 
  4.50%, due 7/20/49   1,739,257    1,845,892 
           3,921,567 
  Overseas Private Investment Corporation 0.4%          
  5.142%, due 12/15/23   995,960    1,084,304 
             
  Tennessee Valley Authority 2.5%          
  3.875%, due 2/15/21   2,000,000    2,054,884 
  4.65%, due 6/15/35   4,395,000    5,874,905 
           7,929,789 
  United States Treasury Bonds 2.7%          
  3.00%, due 5/15/45   2,790,000    3,800,503 
  3.00%, due 2/15/48   2,000,000    2,776,562 
  4.375%, due 11/15/39   1,200,000    1,900,969 
           8,478,034 
  United States Treasury Notes 30.1%          
  1.50%, due 2/15/30 (f)   2,615,000    2,815,517 
  1.625%, due 8/15/22   2,170,000    2,240,525 
  1.625%, due 5/15/26   380,000    405,546 
  1.75%, due 9/30/22   3,070,000    3,184,286 
  1.75%, due 5/15/23   500,000    522,539 
  2.00%, due 8/31/21   6,595,000    6,763,482 
  2.25%, due 4/30/24   16,190,000    17,441,563 
  2.375%, due 4/30/20 (f)   18,700,000    18,734,178 
  2.375%, due 8/15/24   1,695,000    1,843,114 
  2.625%, due 7/31/20   12,150,000    12,255,363 
  2.625%, due 1/31/26   1,700,000    1,909,977 
  2.75%, due 4/30/23   7,105,000    7,641,483 
  2.75%, due 7/31/23   845,000    913,458 
  2.75%, due 8/31/23   1,325,000    1,434,468 
  2.875%, due 10/31/20   8,030,000    8,157,664 
  3.00%, due 10/31/25   7,805,000    8,897,090 
           95,160,253 
  United States Treasury Inflation - Indexed Bond 1.6%          
  United States Treasury Inflation - Indexed Bonds
0.125%, due 1/15/30
   4,792,189    4,934,044 
             
  United States Treasury Inflation - Indexed Note 1.4%          
  United States Treasury Inflation - Indexed Notes
0.875%, due 1/15/29
   4,035,044    4,383,000 
  Total U.S. Government & Federal Agencies
(Cost $218,941,438)
        230,273,986 
  Total Long-Term Bonds
(Cost $288,389,695)
        300,634,879 

 

  Short-Term Investments 8.2%  Shares     
  Affiliated Investment Company 4.6%          
  MainStay U.S. Government Liquidity Fund, 0.09% (g)   14,464,911    14,464,911 
             
  Total Affiliated Investments Company
(Cost $14,464,911)
        14,464,911 
             
  Unaffiliated Investment Company 2.8%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (g)(i)   8,794,100    8,794,100 
             
  Total Unaffiliated Investment Company
(Cost $8,794,100)
        8,794,100 

 

     Principal
Amount
     
  U.S. Government & Federal Agencies 0.8%          
  United States Treasury Bills (h)
0.239%, due 5/28/20
  $2,600,000    2,599,028 
  Total U.S. Government & Federal Agencies
(Cost $2,599,028)
        2,599,028 
  Total Short-Term Investments
(Cost $25,858,039)
        25,858,039 
  Total Investments
(Cost $314,247,734)
   103.2%   326,492,918 
  Other Assets, Less Liabilities   (3.2)   (9,975,583)
  Net Assets   100.0%  $316,517,335 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(b) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(c) Collateral strip rate - A bond whose interest was based on the weighted net interest rate of the collateral. The coupon rate adjusts periodically based on a predetermined schedule. Rate shown was the rate in effect as of March 31, 2020.
(d) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(e) Collateralized Mortgage Obligation Interest Only Strip - Pays a fixed or variable rate of interest based on mortgage loans or mortgage pass-through securities. The principal amount of the underlying pool represents the notional amount on which the current interest was calculated. The value of these stripped securities may be particularly sensitive to changes in prevailing interest rates and are typically more sensitive to changes in prepayment rates than traditional mortgage-backed securities.
(f) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $8,613,791. The Portfolio received cash collateral with a value of $8,794,100.  
(g) Current yield as of March 31, 2020.
(h) Interest rate shown represents yield to maturity.
(i) Represents a security purchased with cash collateral received for securities on loan.
     

The following abbreviations are used in the preceding pages:

IO —Interest Only
LIBOR —London Interbank Offered Rate
REMIC —Real Estate Mortgage Investment Conduit  

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets: 
     

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)

  

Significant

Other
Observable
Inputs

(Level 2)

  

Significant
Unobservable
Inputs

(Level 3)

   Total 
                 
Asset Valuation Inputs                    
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $   $9,773,816   $   $9,773,816 
Corporate Bonds       10,769,378        10,769,378 
Mortgage-Backed Securities       49,817,699        49,817,699 
U.S. Government & Federal Agencies       230,273,986        230,273,986 
Total Long-Term Bonds       300,634,879        300,634,879 
Short-Term Investments                    
Affiliated Investment Company   14,464,911            14,464,911 
Unaffiliated Investment Company   8,794,100            8,794,100 
U.S. Government & Federal Agencies       2,599,028        2,599,028 
Total Short-Term Investments   23,259,011    2,599,028        25,858,039 
Total Investments in Securities  $23,259,011   $303,233,907   $   $326,492,918 

 
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

 

 

 

  

MainStay VP Indexed Bond Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

     Principal
Amount
   Value 
  Long-Term Bonds 93.4% †          
  Asset-Backed Securities 0.4%          
  Automobile 0.4%          
  Ally Auto Receivables Trust
Series 2018-3, Class A3
3.00%, due 1/17/23
  $86,492   $87,103 
  BMW Vehicle Lease Trust
Series 2018-1, Class A3
3.26%, due 7/20/21
   200,000    200,198 
  Ford Credit Floorplan Master Owner Trust
Series 2017-2, Class A1
2.16%, due 9/15/22
   300,000    297,163 
  GM Financial Securitized Term Auto Receivables Trust
Series 2018-3, Class A3
3.02%, due 5/16/23
   700,000    708,327 
  Honda Auto Receivables Owner Trust
Series 2018-3, Class A3
2.95%, due 8/22/22
   789,570    796,834 
  Hyundai Auto Lease Securitization Trust
Series 2018-B, Class A3
3.04%, due 10/15/21 (a)
   92,665    92,410 
  Total Asset-Backed Securities
(Cost $2,168,506)
        2,182,035 
             
  Corporate Bonds 23.7%          
  Aerospace & Defense 0.3%           
  Boeing Co.
3.25%, due 3/1/28
   460,000    432,775 
  General Dynamics Corp.
3.00%, due 5/11/21
   255,000    256,962 
  Lockheed Martin Corp.
4.07%, due 12/15/42
   255,000    294,502 
  Northrop Grumman Corp.
7.75%, due 2/15/31
   210,000    297,162 
  Raytheon Co.
3.15%, due 12/15/24
   255,000    265,155 
  Rockwell Collins, Inc.
3.50%, due 3/15/27
   210,000    217,028 
  United Technologies Corp.
3.65%, due 8/16/23
   6,000    6,309 
           1,769,893 
  Apparel 0.0% ‡          
  Nike, Inc.
3.625%, due 5/1/43
   65,000    70,918 
             
  Auto Manufacturers 0.4%          
  Ford Motor Credit Co. LLC
3.219%, due 1/9/22
   1,300,000    1,212,250 
  General Motors Financial Co., Inc.
4.35%, due 1/17/27
   1,250,000    999,603 
  Toyota Motor Credit Corp.
2.25%, due 10/18/23
   290,000    284,307 
           2,496,160 
  Banks 5.8%          
  Bank of America Corp.          
  3.248%, due 10/21/27   405,000    414,928 
  3.30%, due 1/11/23   835,000    865,093 
  3.419%, due 12/20/28 (b)   510,000    526,084 
  4.083%, due 3/20/51 (b)   520,000    595,237 
  5.625%, due 7/1/20   375,000    377,352 
  Bank of New York Mellon Corp.          
  2.05%, due 5/3/21   95,000    95,441 
  2.50%, due 4/15/21   610,000    609,641 
  3.00%, due 2/24/25   410,000    420,104 
  Bank of Nova Scotia
2.70%, due 3/7/22
   720,000    731,465 
  Barclays PLC
5.25%, due 8/17/45
   270,000    298,777 
  BNP Paribas S.A.
3.25%, due 3/3/23
   445,000    458,696 
  Citigroup, Inc.          
  2.65%, due 10/26/20   610,000    611,071 
  3.375%, due 3/1/23   915,000    932,776 
  4.45%, due 9/29/27   1,235,000    1,289,370 
  4.65%, due 7/30/45   170,000    194,467 
  Cooperatieve Centrale Raiffeisen-Boerenleenbank B.A.
5.25%, due 5/24/41
   405,000    534,560 
  Credit Suisse Group Funding Guernsey, Ltd.
3.80%, due 6/9/23
   335,000    338,651 
  Fifth Third Bank
2.25%, due 6/14/21
   470,000    470,439 
  Goldman Sachs Group, Inc.          
  2.60%, due 12/27/20   525,000    525,001 
  2.905%, due 7/24/23 (b)   1,420,000    1,414,766 
  3.85%, due 1/26/27   1,125,000    1,159,965 
  4.80%, due 7/8/44   350,000    391,903 
  HSBC Holdings PLC          
  2.65%, due 1/5/22   1,060,000    1,058,533 
  3.90%, due 5/25/26   1,250,000    1,271,466 
  JPMorgan Chase & Co.          
  4.25%, due 10/1/27   1,340,000    1,458,756 
  4.26%, due 2/22/48 (b)   500,000    578,351 
  Keybank N.A.
2.40%, due 6/9/22
   335,000    335,412 
  KfW          
  1.50%, due 4/20/20   830,000    830,158 
  2.125%, due 3/7/22   2,730,000    2,808,705 
  Lloyds Banking Group PLC
3.75%, due 1/11/27
   1,140,000    1,150,862 
  Mitsubishi UFJ Financial Group, Inc.
3.455%, due 3/2/23
   510,000    523,157 
  Morgan Stanley          
  2.50%, due 4/21/21   450,000    451,289 
  3.625%, due 1/20/27   1,500,000    1,604,869 
  4.10%, due 5/22/23   555,000    566,487 
  National Australia Bank, Ltd.
2.50%, due 5/22/22
   335,000    336,045 
  PNC Bank N.A.
2.625%, due 2/17/22
   335,000    338,424 
  Royal Bank of Canada
2.75%, due 2/1/22
   330,000    337,484 
  Royal Bank of Scotland Group PLC
3.875%, due 9/12/23
   270,000    277,112 
  State Street Corp.
4.375%, due 3/7/21
   350,000    357,935 
  Sumitomo Mitsui Banking Corp.
2.65%, due 7/23/20
   1,355,000    1,344,211 
  Toronto-Dominion Bank
2.50%, due 12/14/20
   445,000    446,834 
  Truist Financial Corp.          
  2.05%, due 5/10/21   705,000    703,972 
  2.75%, due 4/1/22   255,000    256,684 
  Wells Fargo & Co.          
  2.55%, due 12/7/20   300,000    300,718 
  3.00%, due 4/22/26   1,450,000    1,475,296 
  3.50%, due 3/8/22   355,000    361,900 
  4.75%, due 12/7/46   500,000    552,624 
  Westpac Banking Corp.
2.80%, due 1/11/22
   445,000    449,274 
           33,432,345 
  Beverages 0.6%          
  Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide, Inc.          
  2.50%, due 7/15/22   97,000    97,319 
  4.60%, due 4/15/48   1,265,000    1,338,312 
  Coca Cola Co.
2.25%, due 9/1/26
   290,000    298,327 
  Constellation Brands, Inc.
3.60%, due 2/15/28
   100,000    97,807 
  Diageo Capital PLC
5.875%, due 9/30/36
   218,000    281,364 
  Keurig Dr. Pepper, Inc.
4.985%, due 5/25/38
   65,000    72,306 
  Molson Coors Beverage Co.
4.20%, due 7/15/46
   65,000    58,104 
  PepsiCo, Inc.          
  2.75%, due 3/1/23   330,000    344,732 
  2.85%, due 2/24/26   210,000    221,300 
  4.45%, due 4/14/46   475,000    613,850 
           3,423,421 
  Biotechnology 0.2%          
  Amgen, Inc.          
  2.70%, due 5/1/22   180,000    184,351 
  3.125%, due 5/1/25   255,000    270,526 
  3.375%, due 2/21/50   180,000    187,606 
  Baxalta, Inc.
3.60%, due 6/23/22
   39,000    39,480 
  Gilead Sciences, Inc.          
  3.65%, due 3/1/26   440,000    475,802 
  4.60%, due 9/1/35   180,000    222,927 
           1,380,692 
  Building Materials 0.0% ‡          
  Johnson Controls International PLC
6.00%, due 1/15/36
   50,000    58,681 
             
  Chemicals 0.2%          
  DuPont de Nemours, Inc.
4.493%, due 11/15/25
   375,000    403,851 
  Ecolab, Inc.
2.70%, due 11/1/26
   210,000    212,840 
  Mosaic Co.
4.05%, due 11/15/27
   405,000    345,058 
  Nutrien, Ltd.
5.875%, due 12/1/36
   210,000    239,420 
  Sherwin-Williams Co.
3.95%, due 1/15/26
   255,000    268,177 
           1,469,346 
  Computers 0.7%          
  Apple, Inc.          
  2.15%, due 2/9/22   180,000    184,125 
  2.90%, due 9/12/27   250,000    266,770 
  3.35%, due 2/9/27   16,000    17,439 
  4.25%, due 2/9/47   180,000    230,327 
  4.50%, due 2/23/36   745,000    923,078 
  Dell International LLC / EMC Corp.(a)          
  5.45%, due 6/15/23   445,000    457,305 
  6.02%, due 6/15/26   300,000    309,624 
  Hewlett Packard Enterprise Co.
4.40%, due 10/15/22
   180,000    183,447 
  IBM Corp.          
  1.875%, due 8/1/22   200,000    201,788 
  3.45%, due 2/19/26   175,000    186,277 
  3.50%, due 5/15/29   1,040,000    1,128,244 
           4,088,424 
  Cosmetics & Personal Care 0.1%          
  Procter & Gamble Co.
2.70%, due 2/2/26
   210,000    223,856 
  Unilever Capital Corp.
3.10%, due 7/30/25
   100,000    106,294 
           330,150 
  Diversified Financial Services 0.6%          
  American Express Co.          
  2.50%, due 8/1/22   300,000    301,945 
  3.40%, due 2/27/23   365,000    373,948 
  Capital One Financial Co.
3.05%, due 3/9/22
   565,000    564,253 
  GE Capital International Funding Co.
3.373%, due 11/15/25
   1,425,000    1,417,895 
  Visa, Inc.          
  2.80%, due 12/14/22   405,000    421,820 
  4.30%, due 12/14/45   175,000    220,377 
           3,300,238 
  Electric 1.5%          
  American Electric Power Co., Inc.
2.15%, due 11/13/20
   525,000    521,118 
  CenterPoint Energy Houston Electric LLC
4.25%, due 2/1/49
   250,000    287,344 
  Commonwealth Edison Co.
3.65%, due 6/15/46
   390,000    412,446 
  Consolidated Edison Co. of New York, Inc.
5.85%, due 3/15/36
   565,000    635,081 
  DTE Electric Co.
3.375%, due 3/1/25
   180,000    183,982 
  Duke Energy Carolinas LLC          
  3.875%, due 3/15/46   690,000    774,879 
  4.00%, due 9/30/42   210,000    236,175 
  Edison International
2.95%, due 3/15/23
   180,000    170,912 
  Emera U.S. Finance, L.P.
2.70%, due 6/15/21
   180,000    182,081 
  Exelon Corp.
2.85%, due 6/15/20
   375,000    374,959 
  Florida Power & Light Co.          
  2.75%, due 6/1/23   120,000    123,977 
  3.80%, due 12/15/42   800,000    890,462 
  Kentucky Utilities Co.
3.25%, due 11/1/20
   260,000    259,111 
  MidAmerican Energy Co.
3.95%, due 8/1/47
   330,000    354,988 
  National Rural Utilities Cooperative Finance Corp.
2.70%, due 2/15/23
   90,000    90,918 
  Ohio Power Co.
Series G
6.60%, due 2/15/33
   165,000    228,771 
  PPL Electric Utilities Corp.
3.95%, due 6/1/47
   100,000    106,070 
  San Diego Gas & Electric Co.
4.15%, due 5/15/48
   210,000    225,872 
  Sempra Energy
3.80%, due 2/1/38
   210,000    196,955 
  Southern California Edison Co.
4.125%, due 3/1/48
   210,000    223,895 
  Southern Co.          
  2.95%, due 7/1/23   180,000    181,071 
  4.40%, due 7/1/46   750,000    779,957 
  Virginia Electric & Power Co.
4.00%, due 1/15/43
   365,000    386,817 
  Xcel Energy, Inc.
3.30%, due 6/1/25
   730,000    740,334 
           8,568,175 
  Environmental Controls 0.1%          
  Republic Services, Inc.
3.20%, due 3/15/25
   255,000    262,780 
  Waste Management, Inc.
3.15%, due 11/15/27
   255,000    263,198 
           525,978 
  Food 0.1%          
  General Mills, Inc.          
  3.15%, due 12/15/21   180,000    182,327 
  4.20%, due 4/17/28   65,000    71,566 
  Sysco Corp.
3.25%, due 7/15/27
   255,000    233,044 
  Tyson Foods, Inc.
5.10%, due 9/28/48
   250,000    309,767 
           796,704 
  Forest Products & Paper 0.1%          
  Fibria Overseas Finance, Ltd.
5.50%, due 1/17/27
   405,000    388,800 
  International Paper Co.
3.80%, due 1/15/26
   260,000    268,459 
           657,259 
  Gas 0.0% ‡          
  NiSource, Inc.
3.49%, due 5/15/27
   210,000    212,297 
             
  Health Care - Products 0.3%          
  Abbott Laboratories          
  3.75%, due 11/30/26   150,000    167,401 
  4.90%, due 11/30/46   100,000    136,470 
  Boston Scientific Corp.
4.70%, due 3/1/49
   200,000    228,384 
  Medtronic, Inc.
4.625%, due 3/15/45
   349,000    466,106 
  Stryker Corp.
3.65%, due 3/7/28
   210,000    223,531 
  Thermo Fisher Scientific, Inc.
2.95%, due 9/19/26
   290,000    293,196 
           1,515,088 
  Health Care - Services 0.6%          
  Aetna, Inc.
6.625%, due 6/15/36
   210,000    261,266 
  Anthem, Inc.
4.375%, due 12/1/47
   255,000    274,127 
  Laboratory Corporation of America Holdings
3.60%, due 2/1/25
   255,000    264,050 
  UnitedHealth Group, Inc.          
  3.10%, due 3/15/26   500,000    527,809 
  3.75%, due 7/15/25   1,475,000    1,593,972 
  4.25%, due 4/15/47   250,000    294,300 
           3,215,524 
  Household Products & Wares 0.1%          
  Clorox Co.
3.90%, due 5/15/28
   210,000    231,061 
  Kimberly-Clark Corp.
2.75%, due 2/15/26
   210,000    214,757 
           445,818 
  Housewares 0.0% ‡          
  Newell Brands, Inc.
4.10%, due 4/1/23
   175,000    177,616 
             
  Insurance 0.7%          
  Allstate Corp.
5.35%, due 6/1/33
   210,000    256,583 
  American International Group, Inc.
6.25%, due 5/1/36
   350,000    408,112 
  Berkshire Hathaway Finance Corp.
4.30%, due 5/15/43
   355,000    426,563 
  Chubb INA Holdings, Inc.
3.35%, due 5/3/26
   180,000    190,588 
  Marsh & McLennan Cos., Inc.
2.75%, due 1/30/22
   390,000    393,677 
  Metlife, Inc.
3.60%, due 11/13/25
   1,390,000    1,444,114 
  Progressive Corp.
3.75%, due 8/23/21
   300,000    306,439 
  Prudential Financial, Inc.          
  4.418%, due 3/27/48   125,000    125,167 
  4.50%, due 11/15/20   330,000    332,277 
           3,883,520 
  Internet 0.2%          
  Alphabet, Inc.
3.375%, due 2/25/24
   300,000    329,908 
  Amazon.com, Inc.
3.875%, due 8/22/37
   810,000    967,603 
           1,297,511 
  Machinery - Construction & Mining 0.1%          
  Caterpillar, Inc.
5.30%, due 9/15/35
   260,000    311,173 
             
  Machinery - Diversified 0.0% ‡          
  Deere & Co.
3.90%, due 6/9/42
   145,000    159,264 
             
  Media 1.1%          
  Charter Communications Operating LLC / Charter Communications Operating Capital          
  4.908%, due 7/23/25   750,000    796,195 
  5.75%, due 4/1/48   700,000    793,718 
  Comcast Corp.          
  1.625%, due 1/15/22   615,000    624,747 
  2.65%, due 2/1/30   625,000    642,991 
  3.40%, due 7/15/46   1,215,000    1,312,804 
  Discovery Communications LLC
3.95%, due 3/20/28
   350,000    343,113 
  TWDC Enterprises 18 Corp.
2.35%, due 12/1/22
   510,000    518,346 
  Walt Disney Co.          
  3.00%, due 9/15/22   615,000    630,847 
  6.40%, due 12/15/35   410,000    575,013 
           6,237,774 
  Mining 0.2%          
  Barrick North America Finance LLC
5.70%, due 5/30/41
   100,000    123,078 
  BHP Billiton Finance USA, Ltd.
3.85%, due 9/30/23
   430,000    441,583 
  Rio Tinto Finance USA, Ltd.
3.75%, due 6/15/25
   405,000    425,391 
           990,052 
  Miscellaneous - Manufacturing 0.2%          
  3M Co.
4.00%, due 9/14/48
   250,000    288,382 
  Eaton Corp.
4.00%, due 11/2/32
   210,000    217,015 
  General Electric Co.
4.125%, due 10/9/42
   44,000    41,539 
  Ingersoll-Rand Luxembourg Finance S.A.
2.625%, due 5/1/20
   375,000    375,049 
  Parker-Hannifin Corp.          
  3.50%, due 9/15/22   240,000    242,926 
  4.20%, due 11/21/34   65,000    67,407 
           1,232,318 
  Multi-National 1.3%          
  Asian Development Bank
2.75%, due 3/17/23
   1,000,000    1,061,696 
  European Investment Bank          
  2.25%, due 8/15/22   1,525,000    1,585,513 
  2.375%, due 5/24/27   570,000    627,934 
  Inter-American Development Bank
1.75%, due 4/14/22
   915,000    937,111 
  International Bank for Reconstruction & Development          
  2.00%, due 1/26/22   1,525,000    1,564,086 
  3.00%, due 9/27/23   1,000,000    1,079,440 
  Japan Bank for International Cooperation
2.875%, due 6/1/27
   576,000    643,481 
           7,499,261 
  Oil & Gas 1.0%          
  BP Capital Markets America, Inc.
3.588%, due 4/14/27
   250,000    248,618 
  Canadian Natural Resources, Ltd.
6.25%, due 3/15/38
   100,000    77,838 
  Cenovus Energy, Inc.
5.25%, due 6/15/37
   300,000    133,399 
  Chevron Corp.
3.191%, due 6/24/23
   410,000    428,595 
  ConocoPhillips Co.
5.95%, due 3/15/46
   615,000    732,179 
  Devon Energy Corp.
4.75%, due 5/15/42
   210,000    125,787 
  EOG Resources, Inc.
3.90%, due 4/1/35
   180,000    181,091 
  Equinor ASA
5.10%, due 8/17/40
   360,000    428,031 
  Exxon Mobil Corp.
4.114%, due 3/1/46
   390,000    461,044 
  Hess Corp.
7.125%, due 3/15/33
   100,000    80,361 
  Marathon Petroleum Corp.
5.125%, due 3/1/21
   1,020,000    988,949 
  Occidental Petroleum Corp.          
  3.00%, due 2/15/27   880,000    407,906 
  5.55%, due 3/15/26   320,000    169,250 
  Petroleos Mexicanos
6.50%, due 6/2/41
   1,000,000    635,870 
  Shell International Finance B.V.          
  2.375%, due 8/21/22   290,000    291,642 
  3.75%, due 9/12/46   510,000    545,384 
           5,935,944 
  Oil & Gas Services 0.0% ‡          
  Halliburton Co.
3.80%, due 11/15/25
   28,000    26,427 
             
  Pharmaceuticals 1.7%          
  AbbVie, Inc.          
  3.20%, due 11/6/22   440,000    448,910 
  3.75%, due 11/14/23   70,000    72,528 
  4.70%, due 5/14/45   930,000    1,044,567 
  Allergan Funding SCS          
  3.80%, due 3/15/25   200,000    204,769 
  4.75%, due 3/15/45   100,000    107,783 
  AstraZeneca PLC
6.45%, due 9/15/37
   440,000    623,983 
  Becton Dickinson & Co.
3.70%, due 6/6/27
   131,000    132,236 
  Bristol-Myers Squibb Co.(a)          
  2.75%, due 2/15/23   25,000    25,847 
  3.40%, due 7/26/29   1,280,000    1,412,701 
  3.55%, due 8/15/22   155,000    163,389 
  3.625%, due 5/15/24   510,000    538,899 
  Cigna Corp.          
  3.90%, due 2/15/22 (a)   405,000    414,565 
  4.125%, due 11/15/25   225,000    240,677 
  4.90%, due 12/15/48   250,000    299,947 
  CVS Health Corp.          
  2.75%, due 12/1/22   330,000    332,301 
  2.80%, due 7/20/20   300,000    300,055 
  3.75%, due 4/1/30   125,000    128,707 
  4.25%, due 4/1/50   275,000    285,454 
  4.30%, due 3/25/28   85,000    90,920 
  Eli Lilly & Co.
3.95%, due 3/15/49
   250,000    314,989 
  GlaxoSmithKline Capital, Inc.
3.875%, due 5/15/28
   255,000    286,430 
  Johnson & Johnson          
  3.55%, due 3/1/36   300,000    339,006 
  4.95%, due 5/15/33   250,000    332,250 
  Merck & Co., Inc.
3.70%, due 2/10/45
   210,000    248,366 
  Mylan, Inc.          
  4.20%, due 11/29/23   50,000    47,430 
  5.20%, due 4/15/48   65,000    58,280 
  Novartis Capital Corp.
4.00%, due 11/20/45
   260,000    330,008 
  Pfizer, Inc.          
  3.00%, due 6/15/23   155,000    157,942 
  3.20%, due 9/15/23   25,000    26,323 
  4.00%, due 12/15/36   440,000    502,787 
  4.10%, due 9/15/38   70,000    82,333 
           9,594,382 
  Pipelines 1.0%          
  Enbridge, Inc.
4.50%, due 6/10/44
   210,000    193,959 
  Energy Transfer Operating, L.P.
4.05%, due 3/15/25
   2,430,000    2,109,003 
  Enterprise Products Operating LLC          
  3.70%, due 2/15/26   400,000    399,307 
  4.80%, due 2/1/49   350,000    349,957 
  Kinder Morgan Energy Partners, L.P.
5.80%, due 3/15/35
   255,000    270,942 
  Kinder Morgan, Inc.
4.30%, due 6/1/25
   515,000    525,532 
  MPLX, L.P.
4.125%, due 3/1/27
   755,000    643,332 
  Phillips 66 Partners, L.P.
4.68%, due 2/15/45
   412,000    336,981 
  Plains All American Pipeline, L.P. / PAA Finance Corp.
3.65%, due 6/1/22
   180,000    164,516 
  TransCanada PipeLines, Ltd.          
  4.875%, due 1/15/26   260,000    284,157 
  4.875%, due 5/15/48   500,000    518,572 
  Williams Cos., Inc.
3.35%, due 8/15/22
   250,000    239,284 
           6,035,542 
  Real Estate 0.0% ‡          
  Prologis, L.P.
3.75%, due 11/1/25
   180,000    191,001 
             
  Real Estate Investment Trusts 0.2%          
  American Tower Corp.
5.00%, due 2/15/24
   170,000    179,934 
  AvalonBay Communities, Inc.
2.90%, due 10/15/26
   180,000    181,987 
  ERP Operating, L.P.          
  3.25%, due 8/1/27   210,000    209,131 
  4.625%, due 12/15/21   225,000    229,982 
  Realty Income Corp.
4.65%, due 3/15/47
   125,000    131,823 
  Simon Property Group, L.P.
4.25%, due 11/30/46
   368,000    334,460 
           1,267,317 
  Retail 0.7%          
  Home Depot, Inc.
4.25%, due 4/1/46
   750,000    891,403 
  Lowe’s Cos., Inc.
4.05%, due 5/3/47
   360,000    356,426 
  McDonald’s Corp.
3.375%, due 5/26/25
   1,310,000    1,363,635 
  Target Corp.
3.50%, due 7/1/24
   250,000    266,545 
  Walmart, Inc.          
  2.85%, due 7/8/24   225,000    236,539 
  3.30%, due 4/22/24   65,000    68,982 
  4.30%, due 4/22/44   550,000    677,220 
           3,860,750 
  Semiconductors 0.5%          
  Applied Materials, Inc.
5.10%, due 10/1/35
   210,000    282,555 
  Broadcom Corp. / Broadcom Cayman Finance, Ltd.          
  2.20%, due 1/15/21   300,000    296,027 
  3.00%, due 1/15/22   180,000    177,997 
  Intel Corp.
3.70%, due 7/29/25
   1,260,000    1,389,415 
  QUALCOMM, Inc.
4.65%, due 5/20/35
   210,000    265,358 
  Texas Instruments, Inc.
2.625%, due 5/15/24
   300,000    312,770 
           2,724,122 
  Software 0.7%          
  Fidelity National Information Services, Inc.
3.50%, due 4/15/23
   63,000    64,728 
  Fiserv, Inc.
4.20%, due 10/1/28
   550,000    595,096 
  Microsoft Corp.          
  2.40%, due 2/6/22   410,000    421,421 
  3.30%, due 2/6/27   365,000    405,031 
  4.25%, due 2/6/47   1,105,000    1,423,938 
  Oracle Corp.          
  2.95%, due 5/15/25   405,000    418,580 
  4.00%, due 7/15/46   180,000    200,808 
  5.375%, due 7/15/40   300,000    400,712 
           3,930,314 
  Sovereign 0.1%          
  Svensk Exportkredit A.B.
2.375%, due 3/9/22
   400,000    413,128 
             
  Telecommunications 1.3%          
  AT&T, Inc.          
  3.60%, due 7/15/25   260,000    275,469 
  4.25%, due 3/1/27   1,150,000    1,221,494 
  5.15%, due 11/15/46   1,500,000    1,761,787 
  Cisco Systems, Inc.
2.95%, due 2/28/26
   410,000    436,325 
  Deutsche Telekom International Finance B.V.
8.75%, due 6/15/30
   210,000    283,492 
  Telefonica Emisiones SAU
7.045%, due 6/20/36
   300,000    357,463 
  Verizon Communications, Inc.          
  4.016%, due 12/3/29   515,000    578,399 
  5.50%, due 3/16/47   850,000    1,163,734 
  Vodafone Group PLC
4.375%, due 5/30/28
   1,155,000    1,219,834 
           7,297,997 
  Transportation 1.0%          
  Burlington Northern Santa Fe LLC
3.25%, due 6/15/27
   831,000    859,178 
  Canadian National Railway Co.
6.25%, due 8/1/34
   210,000    283,992 
  CSX Corp.          
  3.35%, due 9/15/49   500,000    472,773 
  3.70%, due 11/1/23   615,000    647,026 
  FedEx Corp.          
  2.625%, due 8/1/22   260,000    257,770 
  3.20%, due 2/1/25   505,000    511,667 
  Norfolk Southern Corp.          
  3.942%, due 11/1/47   541,000    564,001 
  4.80%, due 8/15/43   40,000    44,017 
  Union Pacific Corp.
2.75%, due 3/1/26
   1,455,000    1,464,590 
  United Parcel Service, Inc.
3.40%, due 11/15/46
   405,000    395,386 
           5,500,400 
  Total Corporate Bonds
(Cost $133,983,966)
        136,322,924 
             
  Foreign Government Bonds 1.7%          
  Canada 0.3%          
  Province of Ontario Canada
2.50%, due 4/27/26
   970,000    1,045,665 
  Province of Quebec Canada
2.50%, due 4/20/26
   650,000    703,073 
           1,748,738 
  Colombia 0.1%          
  Republic of Colombia
6.125%, due 1/18/41
   545,000    626,412 
             
  Mexico 0.7%           
  United Mexican States
4.125%, due 1/21/26
   3,630,000    3,720,786 
             
  Panama 0.1%          
  Panama Government International Bond
3.75%, due 3/16/25
   750,000    778,132 
             
  Peru 0.2%          
  Peruvian Government International Bond
7.35%, due 7/21/25
   920,000    1,170,700 
             
  Philippines 0.1%          
  Philippine Government International Bond
5.00%, due 1/13/37
   400,000    474,197 
             
  Republic of Korea 0.2%          
  Korea Development Bank          
  2.25%, due 5/18/20   500,000    500,905 
  3.25%, due 2/19/24   850,000    901,105 
           1,402,010 
  Total Foreign Government Bonds
(Cost $9,602,354)
        9,920,975 
             
  Mortgage-Backed Securities 1.2%          
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 1.2%          
  Bank
Series 2018-BN14, Class A3
3.966%, due 9/15/60
   800,000    887,021 
  Benchmark Mortgage Trust          
 

Series 2018-B1, Class A2

3.571%, due 1/15/51

   100,000    103,285 
  Series 2018-B1, Class A5
3.666%, due 1/15/51 (c)
   800,000    876,990 
  Series 2018-B6, Class A3
3.995%, due 10/10/51
   900,000    991,367 
  CFCRE Commercial Mortgage Trust          
  Series 2016-C6, Class A3
3.217%, due 11/10/49 (c)
   300,000    304,961 
  Series 2017-C8, Class A3
3.305%, due 6/15/50
   200,000    204,928 
  Citigroup Commercial Mortgage Trust          
  Series 2017-P8, Class A4
3.465%, due 9/15/50
   300,000    313,583 
  Series 2015-GC35, Class A4
3.818%, due 11/10/48
   300,000    321,651 
  CSAIL Commercial Mortgage Trust
Series 2017-CX9, Class A5
3.446%, due 9/15/50
   300,000    309,128 
  GS Mortgage Securities Trust          
  Series 2016-GS3, Class A4
2.85%, due 10/10/49
   300,000    300,832 
  Series 2014-GC22, Class A5
3.862%, due 6/10/47
   300,000    317,447 
  Series 2018-GS9, Class A4
3.992%, due 3/10/51 (c)
   800,000    858,311 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series 2013-C7, Class A4
2.918%, due 2/15/46
   300,000    300,924 
  Morgan Stanley Capital I Trust
Series 2018-H3, Class A4
3.914%, due 7/15/51
   500,000    540,356 
  Wells Fargo Commercial Mortgage Trust
Series 2015-SG1, Class A4
3.789%, due 9/15/48
   300,000    313,531 
  WFRBS Commercial Mortgage Trust
Series 2012-C8, Class A3
3.001%, due 8/15/45
   200,000    202,707 
  Total Mortgage-Backed Securities
(Cost $6,809,392)
        7,147,022 
             
  U.S. Government & Federal Agencies 66.4%          
  Federal Home Loan Bank 0.1%          
  Federal Home Loan Bank
3.25%, due 11/16/28
   700,000    827,362 
             
  Federal Home Loan Mortgage Corporation 0.4%          
  1.875%, due 11/17/20   400,000    404,168 
  2.00%, due 5/28/24   1,300,000    1,300,871 
  2.375%, due 1/13/22   500,000    517,533 
           2,222,572 
             
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 5.6%          
  2.50%, due 10/1/31   61,471    63,867 
  2.50%, due 2/1/32   351,533    364,992 
  2.50%, due 2/1/33   430,003    446,495 
  2.50%, due 4/1/33   557,540    578,922 
  2.50%, due 6/1/33   89,097    92,508 
  2.50%, due 7/1/33   222,538    231,087 
  3.00%, due 9/1/27   197,828    207,158 
  3.00%, due 4/1/32   249,472    262,156 
  3.00%, due 6/1/32   66,039    69,396 
  3.00%, due 9/1/32   32,808    34,475 
  3.00%, due 10/1/32   144,599    151,950 
  3.00%, due 5/1/33   224,545    235,880 
  3.00%, due 9/1/33   249,815    261,629 
  3.00%, due 9/1/36   137,822    147,148 
  3.00%, due 11/1/37   143,126    151,381 
  3.00%, due 12/1/37   229,303    242,003 
  3.00%, due 9/1/46   1,088,063    1,147,026 
  3.00%, due 12/1/46   73,779    77,678 
  3.00%, due 2/1/47   78,712    82,998 
  3.00%, due 3/1/47   356,756    375,654 
  3.00%, due 4/1/47   104,739    110,384 
  3.00%, due 1/1/48   939,520    991,493 
  3.00%, due 2/1/48   601,476    633,357 
  3.00%, due 3/1/48   514,044    543,641 
  3.00%, due 4/1/48   678,685    717,486 
  3.00%, due 6/1/48   790,216    831,793 
  3.50%, due 12/1/25   46,036    48,454 
  3.50%, due 5/1/33   205,429    217,103 
  3.50%, due 9/1/33   62,753    66,101 
  3.50%, due 2/1/37   190,797    203,471 
  3.50%, due 1/1/38   229,531    244,418 
  3.50%, due 6/1/43   205,165    220,179 
  3.50%, due 9/1/44   199,357    213,842 
  3.50%, due 8/1/45   432,922    460,912 
  3.50%, due 8/1/46   597,744    637,017 
  3.50%, due 8/1/47   73,603    77,999 
  3.50%, due 9/1/47   168,235    178,323 
  3.50%, due 11/1/47   321,611    341,632 
  3.50%, due 12/1/47   754,525    795,850 
  3.50%, due 12/1/47   6,051,347    6,414,011 
  3.50%, due 1/1/48   75,504    80,028 
  3.50%, due 3/1/48   919,500    975,514 
  3.50%, due 5/1/48   321,287    340,415 
  3.50%, due 6/1/48   579,932    614,411 
  3.50%, due 8/1/48   639,511    675,868 
  3.50%, due 9/1/48   615,345    650,655 
  3.50%, due 11/1/48   217,493    229,588 
  3.50%, due 12/1/48   553,695    585,976 
  4.00%, due 4/1/46   457,968    494,024 
  4.00%, due 5/1/46   155,368    167,539 
  4.00%, due 4/1/47   137,108    147,198 
  4.00%, due 6/1/47   376,271    403,442 
  4.00%, due 8/1/47   660,898    710,189 
  4.00%, due 10/1/47   162,955    175,341 
  4.00%, due 12/1/47   433,095    464,868 
  4.00%, due 1/1/48   140,495    151,251 
  4.00%, due 5/1/48   265,953    283,319 
  4.00%, due 9/1/48   1,028,794    1,096,037 
  4.00%, due 12/1/48   586,056    624,366 
  4.50%, due 5/1/38   126,507    137,666 
  4.50%, due 9/1/46   28,775    31,359 
  4.50%, due 9/1/46   57,777    63,010 
  4.50%, due 10/1/46   227,811    248,448 
  4.50%, due 2/1/47   50,548    55,007 
  4.50%, due 11/1/47   67,324    72,997 
  4.50%, due 2/1/48   131,727    142,498 
  4.50%, due 4/1/48   188,657    203,480 
  4.50%, due 6/1/48   119,989    129,135 
  4.50%, due 7/1/48   415,899    447,992 
  4.50%, due 8/1/48   419,684    452,154 
  4.50%, due 1/1/49   655,856    705,014 
  5.00%, due 9/1/38   69,484    77,213 
  5.00%, due 11/1/41   119,918    132,840 
  5.00%, due 3/1/47   234,040    253,327 
  5.00%, due 9/1/48   362,031    391,196 
  5.00%, due 1/1/49   228,596    246,863 
  5.50%, due 1/1/29   76,183    83,249 
  5.50%, due 7/1/38   120,311    135,977 
           32,051,323 
  Federal National Mortgage Association 0.6%          
  1.375%, due 9/6/22   725,000    742,473 
  1.875%, due 4/5/22   300,000    308,940 
  1.875%, due 9/24/26   1,650,000    1,755,327 
  2.875%, due 10/30/20   650,000    659,808 
           3,466,548 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 12.4%          
  2.50%, due 10/1/27   216,339    224,390 
  2.50%, due 4/1/30   181,736    188,486 
  2.50%, due 10/1/31   322,089    334,398 
  2.50%, due 2/1/32   266,482    276,666 
  2.50%, due 2/1/32   271,896    282,281 
  2.50%, due 8/1/32   474,584    493,810 
  2.50%, due 3/1/33   318,477    332,346 
  2.50%, due 6/1/33   321,617    333,800 
  2.50%, due 4/1/46   80,894    84,198 
  2.50%, due 10/1/46   169,686    176,573 
  3.00%, due 4/1/25   69,344    72,527 
  3.00%, due 11/1/31   218,668    229,729 
  3.00%, due 1/1/32   316,652    332,670 
  3.00%, due 6/1/32   185,909    195,237 
  3.00%, due 1/1/33   178,199    187,191 
  3.00%, due 2/1/33   244,763    257,344 
  3.00%, due 4/1/33   400,834    420,855 
  3.00%, due 5/1/33   409,139    429,788 
  3.00%, due 9/1/33   126,202    132,018 
  3.00%, due 9/1/34   2,226,821    2,329,739 
  3.00%, due 2/1/37   209,919    223,679 
  3.00%, due 1/1/38   673,709    711,642 
  3.00%, due 9/1/42   1,310,017    1,384,735 
  3.00%, due 3/1/43   8,317,590    8,790,623 
  3.00%, due 12/1/43   957,558    1,010,506 
  3.00%, due 10/1/44   830,465    877,722 
  3.00%, due 10/1/46   183,124    193,016 
  3.00%, due 12/1/46   1,711,329    1,803,877 
  3.00%, due 2/1/47   261,904    275,493 
  3.00%, due 8/1/47   964,000    1,017,991 
  3.00%, due 10/1/47   831,742    878,667 
  3.00%, due 11/1/47   229,161    241,499 
  3.00%, due 6/1/48   171,380    180,270 
  3.00%, due 9/1/49   2,827,090    2,961,938 
  3.50%, due 7/1/21   17,585    18,473 
  3.50%, due 3/1/22   41,176    43,255 
  3.50%, due 5/1/26   53,402    56,207 
  3.50%, due 11/1/31   57,792    60,907 
  3.50%, due 5/1/33   126,712    133,574 
  3.50%, due 6/1/33   270,837    285,129 
  3.50%, due 7/1/33   131,401    138,329 
  3.50%, due 9/1/33   191,728    201,929 
  3.50%, due 5/1/45   888,370    953,399 
  3.50%, due 9/1/45   136,771    145,422 
  3.50%, due 12/1/45   503,929    540,236 
  3.50%, due 12/1/45   321,398    341,975 
  3.50%, due 1/1/46   300,486    322,484 
  3.50%, due 1/1/46   306,029    325,928 
  3.50%, due 4/1/46   153,650    163,451 
  3.50%, due 9/1/46   545,104    584,175 
  3.50%, due 10/1/46   305,862    324,408 
  3.50%, due 10/1/46   148,406    157,369 
  3.50%, due 1/1/47   280,242    297,092 
  3.50%, due 7/1/47   78,713    83,382 
  3.50%, due 7/1/47   295,740    317,185 
  3.50%, due 10/1/47   288,522    305,655 
  3.50%, due 11/1/47   1,045,133    1,107,447 
  3.50%, due 11/1/47   798,891    846,465 
  3.50%, due 11/1/47   394,807    418,380 
  3.50%, due 12/1/47   75,362    79,579 
  3.50%, due 8/1/48   642,538    679,241 
  3.50%, due 9/1/48   791,725    836,828 
  3.50%, due 2/1/49   1,558,980    1,647,424 
  3.50%, due 9/1/49   6,411,630    6,770,109 
  4.00%, due 5/1/24   80,915    85,114 
  4.00%, due 11/1/29   190,856    200,758 
  4.00%, due 2/1/37   53,181    57,739 
  4.00%, due 8/1/38   542,175    582,557 
  4.00%, due 8/1/44   272,580    294,632 
  4.00%, due 2/1/45   328,795    355,332 
  4.00%, due 9/1/45   62,451    67,491 
  4.00%, due 5/1/46   294,455    317,004 
  4.00%, due 9/1/46   110,528    119,321 
  4.00%, due 9/1/46   129,598    139,375 
  4.00%, due 2/1/47   50,392    54,242 
  4.00%, due 4/1/47   29,534    31,620 
  4.00%, due 5/1/47   229,799    246,018 
  4.00%, due 5/1/47   220,678    237,014 
  4.00%, due 6/1/47   691,565    741,662 
  4.00%, due 10/1/47   75,927    81,422 
  4.00%, due 11/1/47   71,074    76,006 
  4.00%, due 12/1/47   189,128    201,696 
  4.00%, due 1/1/48   494,048    527,788 
  4.00%, due 1/1/48   70,169    74,781 
  4.00%, due 1/1/48   409,227    438,463 
  4.00%, due 2/1/48   211,090    226,344 
  4.00%, due 6/1/48   866,797    925,070 
  4.00%, due 7/1/48   281,532    299,943 
  4.00%, due 7/1/48   682,992    727,226 
  4.00%, due 7/1/48   1,064,312    1,132,986 
  4.00%, due 8/1/48   188,894    201,394 
  4.00%, due 8/1/48   3,840,028    4,101,244 
  4.00%, due 9/1/48   186,081    198,149 
  4.00%, due 9/1/48   670,726    713,998 
  4.00%, due 10/1/48   128,578    137,283 
  4.00%, due 11/1/48   318,426    339,048 
  4.00%, due 1/1/49   240,346    255,965 
  4.00%, due 9/1/49   3,705,734    3,949,637 
  4.50%, due 7/1/46   62,174    67,702 
  4.50%, due 12/1/46   61,778    67,377 
  4.50%, due 4/1/47   430,080    468,090 
  4.50%, due 5/1/47   29,745    32,309 
  4.50%, due 7/1/47   94,635    102,786 
  4.50%, due 7/1/47   408,444    441,151 
  4.50%, due 8/1/47   29,583    32,029 
  4.50%, due 2/1/48   381,753    412,001 
  4.50%, due 4/1/48   140,104    151,142 
  4.50%, due 4/1/48   108,696    117,098 
  4.50%, due 4/1/48   50,446    54,344 
  4.50%, due 5/1/48   331,022    357,667 
  4.50%, due 6/1/48   183,996    198,197 
  4.50%, due 8/1/48   360,036    388,187 
  4.50%, due 10/1/48   125,830    135,268 
  4.50%, due 9/1/49   1,687,486    1,817,108 
  5.00%, due 8/1/31   181,612    195,593 
  5.00%, due 6/1/39   173,713    192,725 
  5.00%, due 6/1/40   39,071    43,305 
  5.00%, due 7/1/47   132,001    142,610 
  5.00%, due 1/1/48   217,567    238,229 
  5.00%, due 4/1/48   93,270    101,139 
  5.00%, due 5/1/48   188,713    203,751 
  5.00%, due 9/1/48   162,793    176,840 
  5.50%, due 8/1/27   67,799    74,265 
  5.50%, due 6/1/36   98,743    111,635 
  5.50%, due 5/1/44   106,294    120,237 
  5.50%, due 9/1/48   414,396    454,307 
           71,086,555 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 6.9%          
  2.50%, due 4/20/47   78,151    82,031 
  3.00%, due 6/15/45   49,316    52,158 
  3.00%, due 10/15/45   30,352    32,076 
  3.00%, due 11/20/45   803,475    862,501 
  3.00%, due 8/20/46   306,882    328,526 
  3.00%, due 9/20/46   162,395    173,877 
  3.00%, due 10/20/46   1,009,637    1,080,027 
  3.00%, due 1/20/47   1,137,010    1,214,524 
  3.00%, due 5/20/47   194,297    207,549 
  3.00%, due 12/20/47   669,154    713,068 
  3.00%, due 2/20/48   759,224    808,689 
  3.00%, due 3/20/48   905,996    964,828 
  3.00%, due 5/15/48   179,025    189,302 
  3.00%, due 7/1/49 TBA (d)   4,500,000    4,756,816 
  3.50%, due 11/20/42   285,356    303,976 
  3.50%, due 9/20/44   423,307    450,094 
  3.50%, due 3/15/45   32,964    35,192 
  3.50%, due 4/15/45   52,697    56,196 
  3.50%, due 7/20/45   1,116,868    1,187,563 
  3.50%, due 11/20/45   511,791    544,154 
  3.50%, due 7/20/46   57,984    61,969 
  3.50%, due 10/20/46   58,344    62,501 
  3.50%, due 11/20/46   718,574    765,704 
  3.50%, due 1/20/47   836,259    881,618 
  3.50%, due 5/20/47   692,531    735,933 
  3.50%, due 9/20/47   738,240    788,025 
  3.50%, due 10/20/47   1,313,186    1,395,070 
  3.50%, due 12/20/47   644,467    680,856 
  3.50%, due 5/15/48   106,694    113,383 
  3.50%, due 7/20/48   353,398    374,305 
  3.50%, due 9/20/48   400,845    424,788 
  3.50%, due 10/20/48   417,597    441,128 
  3.50%, due 4/20/49   2,487,003    2,620,775 
  3.50%, due 7/20/49   3,199,998    3,371,462 
  4.00%, due 8/15/46   87,395    93,723 
  4.00%, due 12/20/46   46,768    50,118 
  4.00%, due 1/20/47   387,137    413,613 
  4.00%, due 2/20/47   102,884    109,899 
  4.00%, due 3/20/47   79,949    85,790 
  4.00%, due 4/20/47   176,320    189,934 
  4.00%, due 5/20/47   148,110    158,725 
  4.00%, due 7/20/47   59,509    64,403 
  4.00%, due 11/15/47   165,380    175,710 
  4.00%, due 11/20/47   715,462    767,931 
  4.00%, due 12/20/47   158,174    168,497 
  4.00%, due 4/20/48   700,035    752,637 
  4.00%, due 5/20/48   298,425    317,939 
  4.00%, due 6/20/48   121,781    130,204 
  4.00%, due 8/20/48   801,815    859,767 
  4.00%, due 9/20/48   424,562    452,024 
  4.00%, due 3/20/49   125,098    133,305 
  4.00%, due 7/15/49   444,768    472,224 
  4.00%, due 7/20/49   3,576,201    3,794,717 
  4.50%, due 8/15/46   71,590    78,147 
  4.50%, due 8/20/46   142,509    155,530 
  4.50%, due 2/15/47   26,813    29,236 
  4.50%, due 4/15/47   48,616    53,240 
  4.50%, due 4/20/47   152,669    165,152 
  4.50%, due 8/15/47   391,682    428,745 
  4.50%, due 8/15/47   260,332    285,929 
  4.50%, due 11/20/47   148,583    160,647 
  4.50%, due 1/20/48   362,608    386,765 
  4.50%, due 3/20/48   162,906    173,371 
  4.50%, due 5/20/48   155,811    166,856 
  4.50%, due 6/20/48   267,648    286,425 
  4.50%, due 8/20/48   487,791    517,511 
  5.00%, due 8/20/45   161,117    175,978 
  5.00%, due 11/20/46   97,399    107,686 
  5.00%, due 4/15/47   48,321    52,439 
  5.00%, due 11/20/47   124,562    134,988 
  5.00%, due 12/15/47   71,781    77,660 
  5.00%, due 3/20/48   92,150    99,741 
  5.00%, due 6/20/48   211,924    227,923 
           39,715,793 
  United States Treasury Bonds 8.3%          
  2.25%, due 8/15/49   1,375,000    1,675,083 
  2.375%, due 11/15/49   915,000    1,139,961 
  2.75%, due 8/15/47   1,035,000    1,371,294 
  2.75%, due 11/15/47   300,000    397,934 
  2.875%, due 5/15/43   1,950,000    2,573,619 
  2.875%, due 11/15/46   140,000    189,410 
  2.875%, due 5/15/49   3,500,000    4,775,723 
  3.00%, due 2/15/47   815,000    1,129,157 
  3.00%, due 5/15/47   1,175,000    1,628,752 
  3.00%, due 2/15/48   5,950,000    8,260,273 
  3.00%, due 8/15/48   2,790,000    3,875,484 
  3.00%, due 2/15/49   2,145,000    2,988,504 
  3.125%, due 5/15/48   7,900,000    11,192,387 
  3.375%, due 11/15/48   1,550,000    2,299,752 
  3.625%, due 2/15/44   150,000    222,176 
  4.50%, due 2/15/36   1,900,000    2,913,977 
  4.625%, due 2/15/40   750,000    1,226,543 
           47,860,029 
  United States Treasury Notes 32.1%          
  1.375%, due 9/15/20   775,000    779,511 
  1.50%, due 7/15/20   460,000    461,941 
  1.50%, due 8/15/22   9,275,000    9,552,888 
  1.50%, due 9/15/22   3,400,000    3,504,922 
  1.50%, due 10/31/24   3,100,000    3,260,207 
  1.50%, due 1/31/27   2,400,000    2,553,187 
  1.50%, due 2/15/30   200,000    215,336 
  1.625%, due 10/15/20   2,450,000    2,469,811 
  1.625%, due 8/31/22   700,000    722,969 
  1.625%, due 11/15/22   8,000,000    8,283,125 
  1.625%, due 10/31/26   900,000    963,387 
  1.625%, due 8/15/29   4,150,000    4,504,209 
  1.75%, due 11/15/20   3,950,000    3,991,660 
  1.75%, due 7/31/21   25,300,000    25,829,719 
  1.75%, due 6/15/22   900,000    930,445 
  1.75%, due 6/30/22   1,925,000    1,991,172 
  1.75%, due 7/15/22   2,000,000    2,068,516 
  1.75%, due 6/30/24   2,875,000    3,044,580 
  1.75%, due 7/31/24   14,650,000    15,529,000 
  1.75%, due 11/15/29   5,600,000    6,152,125 
  1.875%, due 12/15/20   1,875,000    1,898,730 
  1.875%, due 9/30/22   950,000    988,520 
  1.875%, due 8/31/24   650,000    692,885 
  2.00%, due 4/30/24   5,885,000    6,278,559 
  2.00%, due 5/31/24   1,400,000    1,495,703 
  2.125%, due 7/31/24   150,000    161,332 
  2.125%, due 5/31/26   5,645,000    6,196,270 
  2.25%, due 2/15/21   3,000,000    3,056,953 
  2.375%, due 3/15/21   150,000    153,281 
  2.375%, due 4/30/26   200,000    222,391 
  2.375%, due 5/15/29   2,125,000    2,444,497 
  2.50%, due 6/30/20   925,000    930,509 
  2.50%, due 2/15/22   17,450,000    18,195,033 
  2.50%, due 3/31/23   100,000    106,598 
  2.625%, due 7/31/20   55,000    55,477 
  2.625%, due 6/15/21   925,000    952,858 
  2.625%, due 7/15/21   4,965,000    5,123,259 
  2.625%, due 6/30/23   1,900,000    2,042,648 
  2.625%, due 12/31/23   150,000    162,902 
  2.75%, due 9/30/20   775,000    785,172 
  2.75%, due 8/15/21   3,700,000    3,830,945 
  2.75%, due 9/15/21   2,300,000    2,384,813 
  2.75%, due 4/30/23   5,425,000    5,834,630 
  2.75%, due 5/31/23   1,700,000    1,831,418 
  2.75%, due 7/31/23   4,675,000    5,053,748 
  2.75%, due 8/31/23   4,000,000    4,330,469 
  2.75%, due 6/30/25   275,000    308,236 
  2.875%, due 11/15/21   375,000    391,245 
  2.875%, due 9/30/23   2,875,000    3,132,290 
  2.875%, due 10/31/23   5,300,000    5,779,898 
  2.875%, due 11/30/23   600,000    655,992 
  2.875%, due 5/31/25   300,000    337,758 
  2.875%, due 7/31/25   1,425,000    1,608,914 
           184,232,643 
  Total U.S. Government & Federal Agencies
(Cost $354,742,686)
        381,462,825 
  Total Long-Term Bonds
(Cost $507,306,904)
        537,035,781 

 

      Shares      
  Exchange-Traded Funds 4.0%          
  iShares Intermediate-Term Corporate Bond ETF   135,779    7,456,983 
  iShares Long-Term Corporate Bond ETF   195,206    12,419,006 
  iShares Short-Term Corporate Bond ETF   54,601    2,858,908 
  Total Exchange-Traded Funds
(Cost $23,426,514)
        22,734,897 

 

      

Principal

Amount

      
  Short-Term Investments 2.9%          
  Repurchase Agreements 2.9%          
  Fixed Income Clearing Corp.
0.00%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $13,437,958 (Collateralized by a United States Treasury Note with a rate of 1.50% and a maturity date of 9/15/22, with a Principal Amount of $13,295,000 and a Market Value of $13,708,873)
  $13,437,958    13,437,958 
  RBC Capital Markets
0.01%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $3,000,001 (Collateralized by a United States Treasury Note with a rate of 2.125% and a maturity date of 8/15/21, with a Principal Amount of $2,973,700 and a Market Value of $3,060,092)
   3,000,000    3,000,000 
  Total Repurchase Agreements
(Cost $16,437,958)
        16,437,958 
  Total Short-Term Investments
(Cost $16,437,958)
        16,437,958 
  Total Investments
(Cost $547,171,376)
   100.3%   576,208,636 
  Other Assets, Less Liabilities   (0.3)   (1,596,671)
  Net Assets   100.0%  $574,611,965 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(c) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(d) TBA - Securities purchased on a forward commitment basis with an approximate principal amount and maturity date. The actual principal amount and maturity date will be determined upon settlement. As of March 31, 2020, the total net market value of these securities was $4,756,816, which represented 0.8% of the Portfolio’s net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement.

 

Futures Contracts

 

As of March 31, 2020, the Portfolio held the following futures contracts1:

 

Type  Number of
Contracts
  Expiration
Date
  Value at
Trade Date
   Current
Notional
Amount
   Unrealized
Appreciation
(Depreciation)2
 
                   
Long Contracts                     
5-Year United States Treasury Note  179  June 2020  $21,786,762   $22,439,328    652,566 
10-Year United States Treasury Note  90  June 2020  12,032,213   12,481,875   $449,662 
10-Year United States Treasury Ultra Note  72  June 2020   10,799,414    11,234,250    434,836 
Total Long Contracts                   1,537,064 
                      
Short Contracts                     
2-Year United States Treasury Note  (35)  June 2020   (7,612,795)   (7,713,399)   (100,604)
United States Treasury Long Bond  (4)  June 2020   (664,087)   (716,250)   (52,163)
United States Treasury Ultra Bond  (8)  June 2020   (1,614,485)   (1,775,000)   (160,515)
Total Short Contracts                   (313,282)
Net Unrealized Appreciation                  $1,223,782 

 

1.As of March 31, 2020, cash in the amount of $482,343 was on deposit with a broker or futures commission merchant for futures transactions.
2.Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

  

The following abbreviation is used in the preceding pages:

ETF —Exchange-Traded Fund

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets and liabilities:

 

                         
Description  

Quoted Prices
in Active

Markets for
Identical Assets

(Level 1)

 

   

Significant
Other
Observable

Inputs

(Level 2)

 

    Significant
Unobservable
Inputs
(Level 3)
      Total  
                         
Asset Valuation Inputs                        
                         
Investments in Securities (a)                        
Long-Term Bonds                                
Asset-Backed Securities   $     $ 2,182,035     $     $ 2,182,035  
Corporate Bonds           136,322,924             136,322,924  
Foreign Government Bonds           9,920,975             9,920,975  
Mortgage-Backed Securities           7,147,022             7,147,022  
U.S. Government & Federal Agencies           381,462,825             381,462,825  
Total Long-Term Bonds           537,035,781             537,035,781  
Exchange-Traded Funds     22,734,897                   22,734,897  
Short-Term Investments                                
Repurchase Agreements           16,437,958             16,437,958  
Total Investments in Securities     22,734,897       553,473,739             576,208,636  
Other Financial Instruments                                
Futures Contracts (b)     1,537,064                   1,537,064  
Total Investments in Securities and Other Financial Instruments   $ 24,271,962     $ 553,473,739     $     $ 577,745,701  
                                 
Liability Valuation Inputs                                
                                 
Other Financial Instruments                                
Futures Contracts (b)   $ (313,282 )   $     $     $ (313,282 )

  

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

 

 

 

 

 

MainStay VP Bond Portfolio  
   
Portfolio of Investments  March 31, 2020 (Unaudited)  
  Principal
Amount
      Value  
  Long-Term Bonds 97.7% †  
  Asset-Backed Securities 11.1%  
  Automobile Asset-Backed Securities 0.2%    
  Avis Budget Rental Car Funding AESOP LLC
Series 2019-3A, Class A
2.36%, due 3/20/26 (a)
  $ 2,000,000     $ 1,750,964  
   
  Home Equity 0.1%    
  Chase Funding Trust
Series 2002-2, Class 1A5
6.333%, due 4/25/32 (b)
    83,787       82,987  
  Morgan Stanley Mortgage Loan Trust
Series 2006-17XS, Class A3A
5.651%, due 10/25/46 (b)
    936,264       366,163  
      449,150  
  Other Asset-Backed Securities 10.8%    
  AIMCO CLO
Series 2015-AA, Class BR
3.131% (3 Month LIBOR + 1.30%), due 1/15/28 (a)(c)
    2,000,000       1,886,980  
  Apidos CLO XXV
Series 2016-25A, Class A1R
2.989% (3 Month LIBOR + 1.17%), due 10/20/31 (a)(c)
    1,300,000       1,221,827  
  Apidos CLO XXXII
Series 2019-32A, Class A1
3.003% (3 Month LIBOR + 1.32%), due 1/20/33 (a)(c)
    2,200,000       2,064,735  
  Ares CLO, Ltd.
Series 2015-38A, Class BR
3.366%, due 4/20/30 (a)
    1,500,000       1,329,995  
  Ares XLI CLO, Ltd.
Series 2016-41A, Class AR
3.031% (3 Month LIBOR + 1.20%), due 1/15/29 (a)(c)
    2,500,000       2,391,972  
  Ares XXXIV CLO, Ltd.
Series 2015-2A, Class AR2
2.946% (3 Month LIBOR + 1.25%), due 4/17/33 (a)(c)
    2,000,000       1,881,212  
  Bain Capital Credit CLO, Ltd.
Series 2016-2A, Class AR
2.971% (3 Month LIBOR + 1.14%), due 1/15/29 (a)(c)
    1,600,000       1,542,046  
  Benefit Street Partners CLO IV, Ltd.
Series 2014-IVA, Class A1
3.069% (3 Month LIBOR + 1.25%), due 1/20/29 (a)(c)
    1,600,000       1,549,459  
  Benefit Street Partners CLO XVIII, Ltd.
Series 2019-18A, Class A
3.249% (3 Month LIBOR + 1.34%), due 10/15/32 (a)(c)
    1,000,000       929,173  
  Capital Automotive REIT (a)    
  Series 2020-A1, Class A1
2.69%, due 2/15/50
    992,990       951,284  
  Series 2017-1A, Class A1
3.87%, due 4/15/47
    2,075,628       1,818,951  
  Cedar Funding IV CLO, Ltd.
Series 2014-4A, Class AR
3.036% (3 Month LIBOR + 1.23%), due 7/23/30 (a)(c)
    2,600,000       2,478,845  
  Cedar Funding Ltd.
Series 2017-8A, Class A1
3.086% (3 Month LIBOR + 1.25%), due 10/17/30 (a)(c)
    1,250,000       1,173,826  
  Deutsche Bank Master Finance LLC
Series 2019-1A, Class A2I
3.787%, due 5/20/49 (a)
    2,605,313       2,518,008  
  Driven Brands Funding LLC
Series 2019-1A, Class A2
4.641%, due 4/20/49
    2,970,000       2,840,991  
  Dryden CLO, Ltd.
Series 2019-76A, Class A1
3.264% (3 Month LIBOR + 1.33%), due 10/20/32 (a)(c)
    1,875,000       1,773,542  
  Elara HGV Timeshare Issuer LLC
Series 2017-A, Class A
2.69%, due 3/25/30 (a)
    455,402       444,751  
  ELFI Graduate Loan Program LLC
Series 2019-A, Class A
2.54%, due 3/25/44 (a)
    2,369,059       2,390,703  
  FOCUS Brands Funding LLC
Series 2017-1A, Class A2I
3.857%, due 4/30/47 (a)
    486,250       459,064  
  Galaxy XV CLO, Ltd.
Series 2013-15A, Classs AR
3.031% (3 Month LIBOR + 1.20%), due 10/15/30 (a)(c)
    1,750,000       1,652,908  
  Galaxy XXII CLO, Ltd.
Series 2016-22A, Class A1R
2.843% (3 Month LIBOR + 1.00%), due 7/16/28 (a)(c)
    1,500,000       1,450,015  
  Grippen Park CLO, Ltd.
Series 2017-1A, Classs B
3.469%, due 1/20/30 (a)
    750,000       693,277  
  Highbridge Loan Management, Ltd.
Series 2010A-16, Class A1R
2.959% (3 Month LIBOR + 1.14%), due 1/20/28 (a)(c)
    1,000,000       956,770  
  Hilton Grand Vacations Trust
Series 2018-AA, Class A
3.54%, due 2/25/32 (a)
    1,359,777       1,355,648  
  JPMorgan Mortgage Acquisition Corp.
Series 2007-CH2, Class AF3
5.552%, due 10/25/30 (b)
    600,044       397,269  
  Magnetite VII, Ltd.
Series 2012-7A, Classs A1R2
2.631% (3 Month LIBOR + 0.80%), due 1/15/28 (a)(c)
    470,000       451,572  
  Magnetite XVIII, Ltd. (a)(c)    
  Series 2016-18A, Class AR
2.772% (3 Month LIBOR + 1.08%), due 11/15/28
    1,900,000       1,829,191  
  Series 2019-23A, Class A
3.17% (3 Month LIBOR + 1.30%), due 10/25/32
    1,000,000       939,578  
  MVW Owner Trust (a)    
  Series 2014-1A, Class A
2.25%, due 9/22/31
    202,071       199,613  
  Series 2019-1A, Class A
2.89%, due 11/20/36
    1,063,659       993,153  
  Navient Private Education Refi Loan Trust
Series 2019-CA, Class A2
3.13%, due 2/15/68 (a)
    1,600,000       1,575,150  
  Neuberger Berman CLO XIV, Ltd. (a)(c)    
  Series 2013-14A, Class AR2
2.646% (3 Month LIBOR + 1.03%), due 1/28/30
    1,500,000       1,437,495  
  Series 2013-14A, Class AR2
3.116% (3 Month LIBOR + 1.50%), due 1/28/30
    1,000,000       921,619  
  Neuberger Berman Loan Advisers CLO 24, Ltd.
Series 2017-24A, Class BR
2.284% (3 Month LIBOR + 1.50%), due 4/19/30 (a)(c)
    1,000,000       924,326  
  Octagon Investment Partners 29, Ltd.
Series 2016-1A, Class AR
2.981% (3 Month LIBOR + 1.18%), due 1/24/33 (a)(c)
    1,200,000       1,102,342  
  Octagon Investment Partners LLC
Series 2017-1A, Class B1
3.519% (3 Month LIBOR + 1.70%), due 7/20/30 (a)(c)
    1,200,000       1,082,902  
  Palmer Square CLO, Ltd. (a)(c)    
  Series 2015-1A, Class A1R2
2.916% (3 Month LIBOR + 1.22%), due 5/21/29
    2,200,000       2,127,959  
  Series 2014-1A, Class A1R2
2.966% (3 Month LIBOR + 1.13%), due 1/17/31
    750,000       714,799  
  Series-2015-2A, Class A2R2
3.369% (3 Month LIBOR + 1.55%), due 7/20/30
    2,000,000       1,820,350  
  Palmer Square Loan Funding, Ltd.
Series 2019-3A, Class A2
3.295% (3 Month LIBOR + 1.60%), due 8/20/27 (a)(c)
    3,000,000       2,856,921  
  Regatta VI Funding, Ltd.
Series 2016-1A, Class AR
2.899% (3 Month LIBOR + 1.08%), due 7/20/28 (a)(c)
    2,800,000       2,721,127  
  Shackleton CLO, Ltd. (a)(c)    
  Series 2019-14A, Class A1
3.049% (3 Month LIBOR + 1.23%), due 7/20/30
    2,000,000       1,881,904  
  Series 2019-15A, Class B
3.903% (3 Month LIBOR + 2.00%), due 1/15/30
    1,500,000       1,383,310  
  Sierra Receivables Funding Co. LLC (a)    
  Series 2018-2A, Class A
3.50%, due 6/20/35
    556,941       537,013  
  Series 2018-3A, Class A
3.69%, due 9/20/35
    277,074       277,057  
  Sierra Timeshare Receivables Funding LLC
Series 2019-1A, Class A
3.20%, due 1/20/36 (a)
    459,812       456,263  
  SMB Private Education Loan Trust
Series 2019-B, Class A2A
2.84%, due 6/15/37 (a)
    3,000,000       2,835,096  
  SoFi Professional Loan Program LLC (a)    
  Series 2019-C, Class A2FX
2.37%, due 11/16/48
    1,250,000       1,248,908  
  Series 2020-A, Class A2FX
2.54%, due 5/15/46
    800,000       773,733  
  Series 2018-D, Class A1FX
3.12%, due 2/25/48
    276,405       277,637  
  Series 2019-A, Class A1FX
3.18%, due 6/15/48
    675,984       675,093  
  Taco Bell Funding, LLC
Series 2018-1A, Class A2I
4.318%, due 11/25/48 (a)
    1,975,000       1,925,645  
  THL Credit Wind River CLO, Ltd.
Series 2017-4A, Class A
2.845% (3 Month LIBOR + 1.15%), due 11/20/30 (a)(c)
    2,243,000       2,123,531  
  TIAA CLO III, Ltd.
Series 2017-2A, Class A
2.993% (3 Month LIBOR + 1.15%), due 1/16/31 (a)(c)
    2,400,000       2,219,304  
  TICP CLO XIII, Ltd.
Series 2019 13A, Class A
3.131% (3 Month LIBOR + 1.30%), due 7/15/32 (a)(c)
    1,500,000       1,428,826  
  TICP CLO XV, Ltd.
Series 2020-15A, Class A
2.915% (3 Month LIBOR + 1.28%), due 4/20/33 (a)(c)
    2,000,000       1,851,736  
  Treman Park CLO, Ltd.
Series 2015-1A, Class ARR
2.889% (3 Month LIBOR + 1.07%), due 10/20/28 (a)(c)
    1,245,000       1,204,823  
  Voya CLO, Ltd. (a)(c)    
  Series  2019-1A, Class AR
2.57% (3 Month LIBOR + 1.06%), due 4/15/31
    1,500,000       1,401,846  
  Series  2019-1A, Class AR
2.768% (3 Month LIBOR + 1.55%), due 4/15/31
    2,000,000       1,746,064  
  VSE VOI Mortgage LLC
Series 2016-A, Class A
2.54%, due 7/20/33 (a)
    1,202,060       1,178,751  
  Westcott Park CLO, Ltd.
Series 2016 1A, Class AR
3.029% (3 Month LIBOR + 1.21%), due 7/20/28 (a)(c)
    1,850,000       1,786,930  
      87,064,818  
  Total Asset-Backed Securities
(Cost $94,323,421)
    89,264,932  
   
  Corporate Bonds 35.7%  
  Aerospace & Defense 0.7%    
  Boeing Co.    
  2.70%, due 2/1/27     1,825,000       1,673,457  
  2.95%, due 2/1/30     2,500,000       2,343,103  
  3.10%, due 5/1/26     1,925,000       1,770,889  
      5,787,449  
  Apparel 0.2%    
  NIKE, Inc.
3.25%, due 3/27/40
    1,500,000       1,572,063  
   
  Auto Manufacturers 1.2%    
  Daimler Finance North America LLC
2.592% (3 Month LIBOR + 0.90%), due 2/15/22 (a)(c)
    3,000,000       2,780,619  
  Ford Motor Credit Co. LLC    
  3.087%, due 1/9/23     825,000       759,000  
  3.664%, due 9/8/24     1,800,000       1,620,000  
  General Motors Co.
5.15%, due 4/1/38
    1,500,000       1,084,834  
  Volkswagen Group of America Finance LLC (a)    
  2.064% (3 Month LIBOR + 0.86%), due 9/24/21 (c)     1,975,000       1,808,801  
  3.20%, due 9/26/26     1,275,000       1,226,110  
      9,279,364  
  Banks 9.6%    
  Banco del Estado de Chile
2.704%, due 1/9/25 (a)
    1,275,000       1,186,719  
  Bank of America Corp.    
  2.015%, due 2/13/26 (d)     3,625,000       3,548,684  
  4.083%, due 3/20/51 (d)     2,890,000       3,308,142  
  4.45%, due 3/3/26     1,570,000       1,690,947  
  BNP Paribas S.A.
3.052%, due 1/13/31 (a)(d)
    1,700,000       1,589,641  
  Canadian Imperial Bank of Commerce
2.25%, due 1/28/25
    2,300,000       2,272,755  
  Citigroup, Inc.    
  4.60%, due 3/9/26     1,500,000       1,591,070  
  4.75%, due 5/18/46     2,750,000       3,076,188  
  Credit Suisse Group A.G.
4.194%, due 4/1/31 (a)(d)
    425,000       435,205  
  Fifth Third Bancorp
4.30%, due 1/16/24
    3,875,000       4,105,412  
  Goldman Sachs Group, Inc.    
  2.60%, due 2/7/30     4,900,000       4,620,985  
  5.15%, due 5/22/45     975,000       1,125,839  
  JPMorgan Chase & Co.    
  2.005%, due 3/13/26 (d)     4,000,000       3,977,614  
  5.40%, due 1/6/42     1,925,000       2,548,659  
  Lloyds Bank PLC
6.50%, due 9/14/20 (a)
    8,150,000       8,256,314  
  Mizuho Financial Group, Inc. (c)    
  1.623% (3 Month LIBOR + 0.85%), due 9/13/23     1,375,000       1,259,910  
  2.309% (3 Month LIBOR + 0.63%), due 5/25/24     8,270,000       7,512,468  
  Morgan Stanley    
  2.699%, due 1/22/31 (d)     2,675,000       2,615,397  
  2.72%, due 7/22/25 (d)     2,075,000       2,079,058  
  3.622%, due 4/1/31 (d)     2,675,000       2,797,892  
  4.35%, due 9/8/26     1,556,000       1,648,226  
  Societe Generale S.A.
2.625%, due 1/22/25 (a)
    5,275,000       5,078,146  
  Sumitomo Mitsui Financial Group, Inc.
2.348%, due 1/15/25
    2,500,000       2,482,360  
  Truist Bank    
  1.50%, due 3/10/25     3,225,000       3,115,242  
  2.25%, due 3/11/30     850,000       777,200  
  Wells Fargo & Co.
2.164%, due 2/11/26 (d)
    4,590,000       4,496,747  
      77,196,820  
  Beverages 0.5%    
  Anheuser-Busch InBev Worldwide, Inc.
4.75%, due 1/23/29
    3,750,000       4,139,437  
   
  Building Materials 1.5%  
  Carrier Global Corp.(a)  
  2.722%, due 2/15/30     3,275,000       3,017,693  
  3.577%, due 4/5/50     3,575,000       3,062,226  
  Masco Corp.
4.50%, due 5/15/47
    3,000,000       2,612,585  
  Owens Corning
3.95%, due 8/15/29
    3,378,000       3,188,829  
      11,881,333  
  Chemicals 1.0%    
  Albemarle Corp.
2.742% (3 Month LIBOR + 1.05%), due 11/15/22 (a)(c)
    2,500,000       2,380,594  
  NewMarket Corp.
4.10%, due 12/15/22
    5,536,000       5,958,444  
      8,339,038  
  Diversified Financial Services 0.7%    
  Ameriprise Financial, Inc.
3.00%, due 4/2/25
    1,500,000       1,493,655  
  GE Capital International Funding Co.
4.418%, due 11/15/35
    3,410,000       3,638,745  
      5,132,400  
  Electric 4.1%    
  American Electric Power Co., Inc.
2.30%, due 3/1/30
    4,250,000       3,962,947  
  Appalachian Power Co.
6.375%, due 4/1/36
    1,750,000       2,059,355  
  Arizona Public Service Co.
5.50%, due 9/1/35
    1,275,000       1,432,217  
  Dayton Power & Light Co.
3.95%, due 6/15/49 (a)
    1,025,000       1,033,581  
  Electricite de France S.A.
5.00%, due 9/21/48 (a)
    3,420,000       3,857,958  
  Entergy Corp.
4.00%, due 7/15/22
    3,700,000       3,797,236  
  Entergy Mississippi LLC
3.85%, due 6/1/49
    2,500,000       2,546,109  
  Evergy, Inc.
4.85%, due 6/1/21
    385,000       389,101  
  Exelon Corp.    
  3.497%, due 6/1/22     2,750,000       2,664,591  
  4.05%, due 4/15/30     1,200,000       1,212,000  
  FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
    3,455,000       3,594,924  
  Florida Power & Light Co.
2.85%, due 4/1/25
    1,400,000       1,459,639  
  NextEra Energy Capital Holdings, Inc.
3.25%, due 4/1/26
    1,800,000       1,845,088  
  Ohio Edison Co.
6.875%, due 7/15/36
    2,500,000       3,320,514  
      33,175,260  
  Food 0.8%    
  Conagra Brands, Inc.
4.85%, due 11/1/28
    2,300,000       2,462,580  
  General Mills, Inc.
2.875%, due 4/15/30
    825,000       823,350  
  Ingredion, Inc.
4.625%, due 11/1/20
    1,475,000       1,475,897  
  Kroger Co.
7.70%, due 6/1/29
    1,000,000       1,380,639  
      6,142,466  
  Gas 0.2%    
  NiSource, Inc.
5.65%, due 2/1/45
    1,125,000       1,291,894  
                   
  Insurance 0.8%    
  MET Tower Global Funding
1.561% (SOFRRATE + 0.55%), due 1/17/23 (a)(c)
    3,375,000       3,073,139  
  Prudential Financial, Inc.
2.10%, due 3/10/30
    3,500,000       3,235,647  
      6,308,786  
  Iron & Steel 0.6%    
  Carpenter Technology Corp.
4.45%, due 3/1/23
    1,825,000       1,666,419  
  Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
    3,550,000       3,514,630  
      5,181,049  
  Machinery - Diversified 0.3%    
  Deere & Co.
3.75%, due 4/15/50
    2,150,000       2,454,298  
                   
  Media 1.0%    
  Charter Communications Operating LLC / Charter Communications Operating Capital
4.908%, due 7/23/25
    1,700,000       1,804,709  
  Comcast Corp.
4.60%, due 10/15/38
    3,000,000       3,672,055  
  Fox Corp.    
  4.709%, due 1/25/29     1,200,000       1,315,103  
  5.576%, due 1/25/49     1,250,000       1,494,974  
      8,286,841  
  Mining 0.4%    
  Anglo American Capital PLC (a)    
  5.375%, due 4/1/25     1,500,000       1,515,759  
  5.625%, due 4/1/30     1,875,000       1,901,482  
      3,417,241  
  Miscellaneous - Manufacturing 0.1%    
  3M Co.
3.70%, due 4/15/50
    625,000       706,397  
     
  Oil & Gas 1.1%    
  Cenovus Energy, Inc.
4.25%, due 4/15/27
    2,000,000       979,375  
  Helmerich & Payne, Inc.
4.65%, due 3/15/25
    2,900,000       3,023,284  
  Occidental Petroleum Corp.    
  3.142% (3 Month LIBOR + 1.45%), due 8/15/22 (c)     3,600,000       2,412,563  
  4.85%, due 3/15/21     2,369,000       1,988,754  
  Petroleos Mexicanos
5.35%, due 2/12/28
    1,100,000       767,261  
      9,171,237  
  Oil & Gas Services 0.6%    
  Schlumberger Holdings Corp.
3.75%, due 5/1/24 (a)
    4,725,000       4,471,136  
                   
  Packaging & Containers 0.4%    
  Packaging Corp. of America
4.05%, due 12/15/49
    1,525,000       1,510,709  
  WRKCo., Inc.
3.75%, due 3/15/25
    1,825,000       1,834,624  
      3,345,333  
  Pharmaceuticals 1.8%    
  AbbVie, Inc.(a)    
  2.95%, due 11/21/26     2,575,000       2,586,811  
  4.25%, due 11/21/49     1,600,000       1,699,746  
  Bayer U.S. Finance II LLC
4.375%, due 12/15/28 (a)
    2,825,000       3,016,778  
  Becton Dickinson & Co.
2.894%, due 6/6/22
    2,500,000       2,495,335  
  CVS Health Corp.    
  3.75%, due 4/1/30     1,400,000       1,441,517  
  4.25%, due 4/1/50     2,325,000       2,413,386  
  4.30%, due 3/25/28     1,050,000       1,123,126  
      14,776,699  
  Pipelines 2.4%    
  Energy Transfer Operating, L.P.
6.05%, due 6/1/41
    1,300,000       1,131,941  
  Energy Transfer Partners, L.P. / Regency Energy Finance Corp.
5.875%, due 3/1/22
    4,800,000       4,508,985  
  Enterprise Products Operating LLC
5.10%, due 2/15/45
    2,600,000       2,556,570  
  Kinder Morgan Energy Partners, L.P.
6.375%, due 3/1/41
    400,000       402,159  
  Kinder Morgan, Inc.
5.00%, due 2/15/21 (a)
    4,500,000       4,475,819  
  MPLX, L.P.
1.899% (3 Month LIBOR + 0.90%), due 9/9/21 (c)
    1,750,000       1,653,637  
  Tennessee Gas Pipeline Co. LLC
2.90%, due 3/1/30 (a)
    2,275,000       1,921,766  
  Texas Eastern Transmission, L.P.
2.80%, due 10/15/22 (a)
    2,350,000       2,308,663  
      18,959,540  
  Real Estate 0.3%    
  Prologis, L.P.
2.25%, due 4/15/30
    2,725,000       2,490,031  
     
  Real Estate Investment Trusts 2.7%    
  American Campus Communities Operating Partnership, L.P.
3.30%, due 7/15/26
    3,000,000       2,958,554  
  Crown Castle International Corp.    
  3.30%, due 7/1/30     1,250,000       1,239,738  
  4.15%, due 7/1/50     1,800,000       1,780,200  
  CyrusOne L.P. / CyrusOne Finance Corp.
3.45%, due 11/15/29
    1,275,000       1,125,455  
  Healthpeak Properties, Inc.
3.25%, due 7/15/26
    2,050,000       1,988,329  
  Highwoods Realty, L.P.    
  3.05%, due 2/15/30     1,410,000       1,273,313  
  3.875%, due 3/1/27     3,590,000       3,574,255  
  Kimco Realty Corp.
3.80%, due 4/1/27
    975,000       966,424  
  SBA Tower Trust
2.836%, due 1/15/50 (a)
    2,000,000       1,931,148  
  VEREIT Operating Partnership, L.P.
3.95%, due 8/15/27
    4,870,000       4,532,056  
      21,369,472  
  Software 0.7%    
  Fiserv, Inc.    
  3.20%, due 7/1/26     1,310,000       1,353,057  
  3.85%, due 6/1/25     1,475,000       1,555,342  
  Oracle Corp.
3.60%, due 4/1/50
    2,775,000       2,775,070  
      5,683,469  
  Telecommunications 1.4%    
  AT&T, Inc.
4.85%, due 3/1/39
    2,000,000       2,242,971  
  Deutsche Telekom A.G
3.625%, due 1/21/50 (a)
    2,900,000       2,856,039  
  Orange S.A.
5.375%, due 1/13/42
    895,000       1,144,406  
  Telefonica Emisiones SAU
5.213%, due 3/8/47
    750,000       840,568  
  Verizon Communications, Inc.
4.272%, due 1/15/36
    3,250,000       3,774,647  
      10,858,631  
  Transportation 0.6%    
  Norfolk Southern Corp.
5.64%, due 5/17/29
    1,400,000       1,614,247  
  Union Pacific Corp.
3.25%, due 2/5/50
    775,000       770,480  
  United Parcel Service, Inc.
5.30%, due 4/1/50
    2,000,000       2,620,112  
      5,004,839  
           
  Total Corporate Bonds
(Cost $287,703,834)
    286,422,523  
           
  Foreign Government Bonds 0.3%  
  Mexico 0.2%    
  United Mexican States
3.75%, due 1/11/28
    1,850,000       1,838,919  
   
  Poland 0.1%    
  Republic of Poland Government International Bond
5.00%, due 3/23/22
    350,000       372,653  
   
  Total Foreign Government Bonds
(Cost $2,192,441)
    2,211,572  
   
  Mortgage-Backed Securities 8.0%  
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 4.1%    
  Bank    
  Series 2020-BN26, Class A4
2.403%, due 3/15/63
    4,000,000       3,942,475  
  Series 2020-BN25, Class AS
2.841%, due 1/15/63
    2,500,000       2,303,290  
  BX Commercial Mortgage Trust (a)(c)    
  Series 2019-XL, Class A
1.625% (1 Month LIBOR + 0.92%), due 10/15/36
    2,388,501       2,271,906  
  Series 2019-IMC, Class A
1.705% (1 Month LIBOR + 1.00%), due 4/15/34
    800,000       727,147  
  Citigroup Commercial Mortgage Trust
Series 2020-GC46, Class A5
2.717%, due 2/15/53
    3,750,000       3,798,250  
  Colony Mortgage Capital, Ltd.
Series 2019-IKPR, Class B
2.183% (1 Month LIBOR + 1.478%), due 11/15/38 (a)(c)
    6,000,000       5,070,615  
  COMM Mortgage Trust    
  Series 2016-COR1, Class A4
3.091%, due 10/10/49
    3,000,000       3,036,651  
  Series 2015-LC19, Class A4
3.183%, due 2/10/48
    1,400,000       1,453,966  
  Credit Suisse Mortgage Trust
Series 2020-WEST, Class A
3.04%, due 2/15/35 (a)
    5,000,000       4,493,679  
  CSAIL Commercial Mortgage Trust
2018-CX11, Class A4
3.766%, due 4/15/51
    2,000,000       2,091,264  
  GS Mortgage Securities Trust
Series 2015-GC32, Class AS
4.018%, due 7/10/48 (e)
    3,000,000       3,062,862  
  Morgan Stanley Bank of America Merrill Lynch Trust
Series 2015-C21, Class AS
3.652%, due 3/15/48
    1,000,000       1,003,391  
      33,255,496  
  Whole Loan (Collateralized Mortgage Obligations) 3.9%    
  COLT Mortgage Loan Trust (a)(e)    
  Series 2019-4, Class A1
2.579%, due 11/25/49
    2,649,429       2,569,891  
  Series 2019-3, Class A1
2.764%, due 8/25/49
    981,160       949,110  
  JP Morgan Mortgage Trust (a)    
  Series 2019-1, Class A11
1.897% (1 Month LIBOR + 0.95%), due 5/25/49 (c)
    1,357,517       1,294,435  
  Series 2014-2, Class 1A1
3.00%, due 6/25/29 (e)
    1,490,295       1,477,957  
  New Residential Mortgage Loan Trust
Series 2020-NQM1, Class A1
2.464%, due 1/26/60 (a)(e)
    1,184,313       1,169,112  
  Seasoned Credit Risk Transfer Trust    
  Series 2018-3, Class MA
3.50%, due 8/25/57
    2,414,424       2,549,089  
  Series 2019-2, Class MA
3.50%, due 8/25/58
    3,240,393       3,432,902  
  Series 2019-2, Class M55D
4.00%, due 8/25/58
    2,285,775       2,469,718  
  Series 2019-4, Class M55D
4.00%, due 2/25/59
    2,144,192       2,319,601  
  Series 2017-4, Class M45T
4.50%, due 6/25/57
    1,194,270       1,294,517  
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
    3,844,317       3,979,579  
  Sequoia Mortgage Trust (a)(e)    
  Series 2020-3, Class A1
3.00%, due 4/25/50
    3,500,000       3,542,106  
  Series 2020-1, Class A1
3.50%, due 2/25/50
    911,719       928,505  
  Series 2020-2, Class A1
3.50%, due 3/25/50
    3,479,168       3,512,260  
      31,488,782  
  Total Mortgage-Backed Securities
(Cost $66,851,728)
    64,744,278  
   
  Municipal Bonds 0.6%  
  Texas 0.6%    
  San Antonio Water System, Revenue Bonds
5.502%, due 5/15/29
    2,000,000       2,443,120  
  Texas Transportation Commission State Highway Fund, Revenue Bonds
5.178%, due 4/1/30
    2,150,000       2,591,825  
   
  Total Municipal Bonds
(Cost $4,651,334)
    5,034,945  
           
  U.S. Government & Federal Agencies 42.0%  
  Federal Farm Credit Bank 2.1%    
  1.55%, due 1/28/22     5,600,000       5,705,040  
  1.89%, due 3/4/26     5,000,000       5,008,598  
  2.03%, due 1/21/28     3,800,000       3,996,556  
  2.44%, due 10/16/28     2,300,000       2,285,858  
      16,996,052  
  Federal Home Loan Bank 6.1%    
  1.625%, due 12/20/21     5,800,000       5,923,196  
  2.00%, due 2/20/25     3,000,000       3,005,066  
  2.375%, due 3/14/25     3,200,000       3,500,622  
  2.50%, due 12/10/27     3,000,000       3,314,153  
  2.875%, due 9/13/24     3,500,000       3,846,810  
  3.00%, due 3/10/28     1,900,000       2,163,158  
  3.125%, due 9/12/25     3,100,000       3,504,137  
  3.125%, due 12/12/25     4,000,000       4,602,111  
  3.25%, due 6/9/28     4,000,000       4,713,941  
  3.25%, due 11/16/28     12,550,000       14,833,409  
      49,406,603  
  Federal Home Loan Mortgage Corporation 1.2%    
  1.875%, due 3/5/25     2,700,000       2,703,938  
  1.97%, due 2/6/25     4,200,000       4,204,819  
  6.25%, due 7/15/32     1,600,000       2,476,685  
      9,385,442  
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 4.6%    
  3.50%, due 1/1/47     2,852,676       3,052,489  
  3.50%, due 11/1/47     785,659       833,014  
  3.50%, due 2/1/48     2,007,749       2,127,835  
  3.50%, due 5/1/48     5,004,151       5,298,157  
  3.50%, due 5/1/49     4,042,283       4,294,503  
  3.50%, due 11/1/49     3,905,596       4,150,522  
  4.00%, due 4/1/48     4,508,812       4,803,421  
  4.00%, due 6/1/48     2,751,898       2,935,207  
  4.00%, due 5/1/49     5,933,060       6,410,701  
  4.50%, due 4/1/22     4,756       4,957  
  4.50%, due 4/1/23     4,184       4,397  
  4.50%, due 11/1/39     715,739       782,417  
  4.50%, due 8/1/40     112,757       123,360  
  4.50%, due 9/1/40     583,414       637,016  
  4.50%, due 9/1/40     108,175       118,415  
  4.50%, due 11/1/40     334,752       362,248  
  4.50%, due 7/1/41     158,928       173,751  
  4.50%, due 2/1/47     215,360       234,360  
  4.50%, due 10/1/47     236,283       256,193  
  5.00%, due 3/1/25     47,370       49,783  
  5.50%, due 9/1/21     11,312       11,471  
  5.50%, due 9/1/22     9,934       10,017  
  6.00%, due 7/1/21     22,276       22,689  
  6.50%, due 11/1/35     4,390       4,868  
  6.50%, due 8/1/37     26,182       32,008  
      36,733,799  
  Federal National Mortgage Association 2.0%    
  1.625%, due 1/7/25     5,925,000       6,219,426  
  1.75%, due 7/2/24     2,525,000       2,641,001  
  2.00%, due 1/24/25     2,650,000       2,659,342  
  6.25%, due 5/15/29     3,000,000       4,295,160  
      15,814,929  
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 11.2%    
  2.50%, due 5/1/43     498,728       519,160  
  2.50%, due 8/1/49 TBA (f)     3,100,000       3,211,406  
  2.91%, due 4/1/26     3,750,000       4,088,813  
  3.00%, due 9/1/42     1,824,666       1,928,738  
  3.00%, due 11/1/46     2,446,968       2,580,870  
  3.00%, due 2/1/47     2,337,026       2,463,191  
  3.00%, due 7/1/47     1,235,579       1,302,735  
  3.00%, due 5/1/48     3,991,131       4,220,396  
  3.00%, due 7/1/48     1,466,488       1,546,389  
  3.00%, due 8/1/49 TBA (f)     5,300,000       5,556,098  
  3.00%, due 9/1/49     2,492,380       2,626,463  
  3.00%, due 12/1/49     2,715,220       2,850,578  
  3.00%, due 12/1/49     2,665,511       2,793,491  
  3.00%, due 3/1/50     1,498,342       1,572,797  
  3.00%, due 3/1/50     3,800,000       3,984,593  
  3.00%, due 3/1/50     2,500,000       2,621,245  
  3.082%, due 7/1/29 (e)     2,000,000       2,229,956  
  3.46%, due 5/1/28     2,000,000       2,286,050  
  3.50%, due 10/1/47     2,162,956       2,293,214  
  3.50%, due 10/1/47     1,795,371       1,902,912  
  3.50%, due 7/1/49     3,117,795       3,321,429  
  3.50%, due 7/1/49     10,109,003       10,758,061  
  3.50%, due 11/1/49     2,712,000       2,887,460  
  4.00%, due 6/1/46     2,082,252       2,266,830  
  4.00%, due 6/1/47     1,485,282       1,584,153  
  4.00%, due 3/1/48     3,050,909       3,265,627  
  4.00%, due 6/1/49     7,493,893       7,981,680  
  4.50%, due 5/1/24     151,875       160,245  
  4.50%, due 11/1/35     147,030       160,804  
  4.50%, due 4/1/41     398,002       436,049  
  4.50%, due 5/1/41     587,409       643,551  
  4.50%, due 7/1/41     480,490       526,530  
  4.50%, due 9/1/41     141,440       153,683  
  4.50%, due 3/1/44     225,875       246,551  
  4.50%, due 8/1/44     1,114,880       1,220,578  
  4.50%, due 11/1/44     207,460       225,049  
  4.50%, due 3/1/46     118,730       129,461  
  4.50%, due 12/1/46     247,113       269,506  
  4.50%, due 2/1/47     145,392       158,406  
  4.50%, due 7/1/47     291,509       316,619  
  4.50%, due 2/1/48     190,876       206,000  
  5.00%, due 12/1/23     16,737       17,583  
  5.00%, due 12/1/23     74,070       77,723  
  5.50%, due 1/1/21     350       354  
  5.50%, due 12/1/21     1,896       1,943  
  5.50%, due 1/1/22     7,772       7,971  
  5.50%, due 2/1/22     490       501  
  6.50%, due 10/1/36     17,583       21,013  
  6.50%, due 10/1/36     12,668       14,430  
  6.50%, due 8/1/37     6,268       7,218  
  7.00%, due 9/1/37     42,903       51,148  
  7.00%, due 10/1/37     565       671  
  7.00%, due 11/1/37     6,231       7,411  
  7.50%, due 7/1/28     11,451       12,737  
      89,718,070  
  Government National Mortgage Association (Mortgage Pass-Through Securities) 2.8%    
  3.00%, due 1/20/50     6,258,241       6,552,541  
  3.50%, due 6/20/42     760,568       813,455  
  3.50%, due 8/20/43     1,030,124       1,100,117  
  3.50%, due 11/20/43     998,810       1,065,617  
  3.50%, due 4/20/45     726,131       771,965  
  3.50%, due 12/20/45     1,180,976       1,255,768  
  3.50%, due 2/20/46     556,365       595,715  
  3.50%, due 10/20/46     797,464       854,282  
  3.50%, due 11/20/46     927,432       988,261  
  3.50%, due 1/20/47     800,973       844,417  
  3.50%, due 5/20/47     1,216,014       1,292,224  
  4.00%, due 1/20/42     904,480       985,948  
  4.00%, due 2/20/42     353,355       385,237  
  4.00%, due 8/20/43     1,153,859       1,252,473  
  4.00%, due 10/20/43     339,044       369,547  
  4.00%, due 3/15/44     43,036       46,749  
  4.00%, due 6/20/44     325,124       354,355  
  4.00%, due 7/15/44     326,931       356,798  
  4.00%, due 8/20/44     289,872       315,967  
  4.00%, due 9/20/44     298,854       325,761  
  4.00%, due 12/20/44     201,487       219,606  
  4.00%, due 1/20/45     156,480       170,543  
  4.00%, due 4/20/45     204,583       222,991  
  4.00%, due 7/15/45     175,335       189,826  
  4.00%, due 9/20/45     101,142       110,227  
  4.50%, due 6/15/39     830,183       918,808  
  4.50%, due 6/15/40     244,148       270,340  
      22,629,538  
  Tennessee Valley Authority 0.4%    
  5.25%, due 9/15/39     2,000,000       3,059,756  
                   
  United States Treasury Bonds 3.4%    
  2.375%, due 11/15/49     21,030,000       26,200,423  
  4.25%, due 5/15/39     825,000       1,283,197  
      27,483,620  
  United States Treasury Notes 8.2%    
  0.625%, due 3/31/27     4,040,000       4,058,622  
  1.125%, due 2/28/22     19,800,000       20,128,711  
  1.625%, due 11/15/22     11,900,000       12,321,148  
  1.75%, due 7/15/22     27,100,000       28,028,387  
  2.625%, due 2/15/29     1,300,000       1,519,476  
      66,056,344  
  Total U.S. Government & Federal Agencies
(Cost $324,778,948)
    337,284,153  
  Total Long-Term Bonds
(Cost $780,501,706)
    784,962,403  
   
  Exchange-Traded Funds 1.1%  
  iShares Intermediate-Term Corporate Bond ETF   123,408       6,777,567  
  iShares Long-Term Corporate Bond ETF   33,238       2,114,602  
   
  Total Exchange-Traded Funds
(Cost $9,147,995)
    8,892,169  

 

  Principal
Amount
         
  Short-Term Investments 1.4%  
  Repurchase Agreements 1.4%    
  Fixed Income Clearing Corp.
0.00%, dated 3/30/20
due 3/31/20
Proceeds at Maturity $8,567,097 (Collateralized by a United States Treasury Note with a rate of 1.50% and a maturity date of 9/15/22, with a Principal Amount of $8,475,000 and a Market Value of $8,738,827)
  $ 8,567,097       8,567,097  
  RBC Capital Markets
0.01%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $2,619,001 (Collateralized by United States Treasury Note with a rate of 2.125% and a maturity date of 8/15/21, with a Principal Amount of $2,596,000 and a Market Value of $2,671,419)
    2,619,000       2,619,000  
   
  Total Repurchase Agreements
(Cost $11,186,097)
    11,186,097  
   
  Total Short-Term Investments
(Cost $11,186,097)
    11,186,097  
   
  Total Investments
(Cost $803,152,803)
  100.2 %     805,040,669  
  Other Assets, Less Liabilities   (0.2 )     (1,723,032 )
   
  Net Assets   100.0 %   $ 803,317,637  

 

Percentages indicated are based on Portfolio net assets.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Step coupon - Rate shown was the rate in effect as of March 31, 2020.
(c) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(d) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(e) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(f) TBA - Securities purchased on a forward commitment basis with an approximate principal amount and maturity date. The actual principal amount and maturity date will be determined upon settlement. As of March 31, 2020, the total net market value of these securities was $8,767,504, which represented 1.1% of the Portfolio's net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement. 

 

Futures Contracts

 

As of March 31, 2020, the Portfolio held the following futures contracts1:  

 

Type   Number of
Contracts
  Expiration
Date
    Value at
Trade Date
  Current
Notional
Amount
  Unrealized
Appreciation
(Depreciation)2
 
   
Long Contracts      
2-Year United States Treasury Note   175   June 2020   $ 38,109,369   $ 38,566,992   $ 457,623  
5-Year United States Treasury Note   407   June 2020     49,427,005     51,021,265     1,594,260  
10-Year United States Treasury Note   39   June 2020     5,171,746     5,408,813     237,067  
United States Treasury Ultra Bond   120   June 2020     24,272,732     26,625,000     2,352,268  
Total Long Contracts             4,641,218  
                 
Short Contracts      
10-Year United States Treasury Ultra Note   (262)   June 2020     (38,567,757 )   (40,880,188 )   (2,312,431 )
   
Total Short Contracts             (2,312,431 )
   
Net Unrealized Appreciation           $ 2,328,787  

 

1. As of March 31, 2020, cash in the amount of $1,623,032 was on deposit with a broker or futures commission merchant for futures transactions.
2. Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

  

The following abbreviations are used in the preceding pages:
ETF —Exchange-Traded Fund
LIBOR —London Interbank Offered Rate
REIT —Real Estate Investment Trust
 
The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets and liabilities:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                     
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $   $89,264,932   $   $89,264,932 
Corporate Bonds       286,422,523        286,422,523 
Foreign Government Bonds       2,211,572        2,211,572 
Mortgage-Backed Securities       64,744,278        64,744,278 
Municipal Bonds       5,034,945        5,034,945 
U.S. Government & Federal Agencies       337,284,153        337,284,153 
Total Long-Term Bonds       784,962,403        784,962,403 
Exchange-Traded Funds   8,892,169            8,892,169 
Short-Term Investments                    
Repurchase Agreements       11,186,097        11,186,097 
Total Short-Term Investments       11,186,097        11,186,097 
Total Investments in Securities   8,892,169    796,148,500        805,040,669 
Other Financial Instruments Futures Contracts (b)   4,641,218            4,641,218 
Total Investments in Securities and Other Financial Instruments  $13,533,387   $796,148,500   $   $809,681,887 
                     
Liability Valuation Inputs                    
Other Financial Instruments Futures Contracts (b)  $(2,312,431)  $   $   $(2,312,431)

  

(a)

For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b) The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

 

 

 

 

MainStay VP MacKay High Yield Corporate Bond Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

   Principal
Amount
   Value 
Long-Term Bonds 92.9%†
Convertible Bonds 0.4%
Real Estate Investment Trusts 0.4%          
VEREIT, Inc.
3.75%, due 12/15/20
  $10,135,000   $9,904,006 
           
Total Convertible Bonds
(Cost $10,162,221)
        9,904,006 
           
Corporate Bonds 90.5%          
Advertising 1.5%          
Lamar Media Corp.          
3.75%, due 2/15/28 (a)   6,320,000    5,924,242 
4.00%, due 2/15/30 (a)   4,000,000    3,720,000 
5.75%, due 2/1/26   8,465,000    8,591,975 
National CineMedia LLC
5.875%, due 4/15/28 (a)
   2,000,000    1,380,000 
Outfront Media Capital LLC / Outfront Media Capital Corp.          
4.625%, due 3/15/30 (a)   1,500,000    1,335,000 
5.00%, due 8/15/27 (a)   8,000,000    7,360,000 
5.625%, due 2/15/24   12,030,000    11,909,700 
         40,220,917 
Aerospace & Defense 1.5%          
F-Brasile S.p.A. / F-Brasile U.S. LLC
7.375%, due 8/15/26 (a)
   5,587,000    5,559,065 
SSL Robotics LLC
9.75%, due 12/31/23 (a)
   1,750,000    1,802,500 
TransDigm UK Holdings PLC
6.875%, due 5/15/26
   7,637,000    7,102,410 
TransDigm, Inc.          
6.25%, due 3/15/26 (a)   19,950,000    19,875,187 
6.50%, due 7/15/24   3,050,000    2,873,375 
Triumph Group, Inc.
7.75%, due 8/15/25
   2,975,000    2,156,875 
         39,369,412 
Auto Manufacturers 1.2%          
BCD Acquisition, Inc.
9.625%, due 9/15/23 (a)
   6,410,000    5,304,275 
Ford Holdings LLC
9.30%, due 3/1/30
   6,970,000    6,651,959 
J.B. Poindexter & Company, Inc.
7.125%, due 4/15/26 (a)
   8,055,000    7,454,218 
McLaren Finance PLC
5.75%, due 8/1/22 (a)
   8,170,000    4,983,700 
Navistar International Corp.
6.625%, due 11/1/25 (a)
   2,881,000    2,398,432 
Wabash National Corp.
5.50%, due 10/1/25 (a)
   6,967,000    5,538,765 
         32,331,349 
Auto Parts & Equipment 2.5%          
Adient Global Holdings, Ltd.
4.875%, due 8/15/26 (a)
   6,300,000    4,314,555 
Adient U.S. LLC
7.00%, due 5/15/26 (a)
   4,000,000    3,700,000 
American Axle & Manufacturing, Inc.          
6.25%, due 4/1/25   4,000,000    3,300,000 
6.50%, due 4/1/27   700,000    528,395 
Dana Financing Luxembourg S.A.R.L.
5.75%, due 4/15/25 (a)
   1,000,000    870,000 
Exide International Holdings, L.P.
10.75% (6.25% Cash and 4.50% PIK), due 10/31/21 (a)(b)(c)(d)(e)
   9,640,347    8,338,900 
Exide Technologies(a)(b)(c)(d)(e)          
11.00% (3.00% Cash and 8.00% PIK), due 10/31/24   24,651,983    11,093,392 
11.00% (3.00% Cash and 8.00% PIK), due 10/31/24   10,241,653    563,291 
IHO Verwaltungs GmbH (a)(e)          
4.75% (4.75% Cash or 5.50% PIK), due 9/15/26   7,143,000    5,571,540 
6.00% (6.00% Cash or 6.75% PIK), due 5/15/27   9,191,000    6,433,700 
6.375% (6.375% Cash or 7.125% PIK), due 5/15/29   10,105,000    7,730,325 
Meritor, Inc.
6.25%, due 2/15/24
   2,000,000    1,900,220 
Nexteer Automotive Group, Ltd.
5.875%, due 11/15/21 (a)
   6,640,000    6,647,008 
Tenneco, Inc.
5.00%, due 7/15/26
   6,982,000    4,381,205 
         65,372,531 
Building Materials 1.4%          
BMC East LLC
5.50%, due 10/1/24 (a)
   705,000    680,325 
Griffon Corp.
5.75%, due 3/1/28 (a)
   1,790,000    1,682,600 
James Hardie International Finance DAC (a)          
4.75%, due 1/15/25   3,300,000    3,110,283 
5.00%, due 1/15/28   7,041,000    6,653,745 
Patrick Industries, Inc.
7.50%, due 10/15/27 (a)
   5,210,000    5,105,800 
Summit Materials LLC / Summit Materials Finance Corp.          
5.125%, due 6/1/25 (a)   3,270,000    3,041,100 
6.125%, due 7/15/23   12,080,000    11,959,200 
6.50%, due 3/15/27 (a)   5,135,000    4,852,575 
         37,085,628 
Chemicals 2.3%          
Blue Cube Spinco LLC          
9.75%, due 10/15/23   9,120,000    9,473,400 
10.00%, due 10/15/25   7,000,000    7,385,700 
Innophos Holdings, Inc.
9.375%, due 2/15/28 (a)
   4,685,000    4,544,450 
Neon Holdings, Inc.
10.125%, due 4/1/26 (a)
   5,400,000    4,837,131 
NOVA Chemicals Corp.
4.875%, due 6/1/24 (a)
   2,635,000    2,312,213 
Olin Corp.          
5.50%, due 8/15/22   3,261,000    3,000,120 
5.625%, due 8/1/29   8,120,000    7,472,430 
PolyOne Corp.
5.25%, due 3/15/23
   8,976,000    8,527,200 
TPC Group, Inc.
10.50%, due 8/1/24 (a)
   15,103,000    12,441,096 
         59,993,740 
Coal 0.1%          
Natural Resource Partners LP / NRP Finance Corp.
9.125%, due 6/30/25 (a)
   3,465,000    2,685,375 
           
Commercial Services 5.0%          
Ashtead Capital, Inc. (a)          
4.00%, due 5/1/28   1,000,000    862,000 
4.25%, due 11/1/29   3,000,000    2,541,165 
4.375%, due 8/15/27   1,090,000    1,008,250 
5.25%, due 8/1/26   1,500,000    1,428,750 
Cimpress PLC
7.00%, due 6/15/26 (a)
   8,542,000    7,516,960 
Gartner, Inc.
5.125%, due 4/1/25 (a)
   14,007,000    13,691,842 
Graham Holdings Co.
5.75%, due 6/1/26 (a)
   11,107,000    10,884,860 
Harsco Corp.
5.75%, due 7/31/27 (a)
   4,970,000    4,598,940 
IHS Markit, Ltd.(a)          
4.75%, due 2/15/25   3,950,000    4,048,750 
5.00%, due 11/1/22   20,705,000    21,754,312 
Jaguar Holding Co. II / Pharmaceutical Product Development LLC
6.375%, due 8/1/23 (a)
   4,615,000    4,695,763 
Korn Ferry
4.625%, due 12/15/27 (a)
   4,375,000    3,800,781 
Matthews International Corp.
5.25%, due 12/1/25 (a)
   3,134,000    2,773,653 
Nielsen Co. Luxembourg S.A.R.L.(a)          
5.00%, due 2/1/25   5,835,000    5,411,962 
5.50%, due 10/1/21   1,340,000    1,313,200 
Nielsen Finance LLC / Nielsen Finance Co.          
4.50%, due 10/1/20   2,000,000    1,940,000 
5.00%, due 4/15/22 (a)   18,214,000    16,790,029 
Ritchie Bros. Auctioneers, Inc.
5.375%, due 1/15/25 (a)
   2,800,000    2,792,972 
Service Corp. International
5.125%, due 6/1/29
   2,801,000    2,857,020 
United Rentals North America, Inc.          
3.875%, due 11/15/27   4,495,000    4,247,775 
4.00%, due 7/15/30   3,000,000    2,685,000 
4.875%, due 1/15/28   3,450,000    3,346,500 
5.25%, due 1/15/30   3,834,000    3,832,850 
5.50%, due 5/15/27   2,239,000    2,259,711 
6.50%, due 12/15/26   3,420,000    3,471,300 
         130,554,345 
Computers 0.2%          
NCR Corp.
6.375%, due 12/15/23
   4,860,000    4,799,201 
           
Cosmetics & Personal Care 0.5%          
Edgewell Personal Care Co.          
4.70%, due 5/19/21   4,820,000    4,705,284 
4.70%, due 5/24/22   7,320,000    7,117,236 
         11,822,520 
Distribution & Wholesale 0.2%          
Performance Food Group, Inc.
5.50%, due 10/15/27 (a)
   4,610,000    4,275,775 
Univar Solutions U.S.A., Inc.
5.125%, due 12/1/27 (a)
   1,000,000    910,000 
         5,185,775 
Diversified Financial Services 2.2%          
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
4.625%, due 10/30/20
   1,740,000    1,687,890 
Allied Universal Holdco LLC / Allied Universal Finance Corp.
9.75%, due 7/15/27 (a)
   5,710,000    5,381,104 
Credit Acceptance Corp.          
5.125%, due 12/31/24 (a)   2,175,000    1,979,250 
6.625%, due 3/15/26   7,590,000    7,208,223 
Jefferies Finance LLC / JFIN Co-Issuer Corp.(a)          
6.25%, due 6/3/26   5,000,000    4,625,000 
7.25%, due 8/15/24   3,955,000    3,401,300 
Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp.(a)          
5.25%, due 3/15/22   6,685,000    5,983,075 
5.875%, due 8/1/21   8,560,000    7,190,400 
LPL Holdings, Inc.(a)          
4.625%, due 11/15/27   1,535,000    1,403,942 
5.75%, due 9/15/25   8,510,000    8,169,600 
Oxford Finance LLC / Oxford Finance Co-Issuer II, Inc.
6.375%, due 12/15/22 (a)
   5,480,000    5,288,200 
Werner FinCo, L.P. / Werner FinCo, Inc.
8.75%, due 7/15/25 (a)
   4,250,000    3,740,000 
         56,057,984 
Electric 0.8%          
AES Corp.
5.50%, due 4/15/25
   2,000,000    1,960,000 
Keystone Power Pass-Through Holders LLC / Conemaugh Power Pass-Through Holders
13.00% (7.625% Cash or 8.375% PIK), due 6/1/24 (a)(d)(e)
   2,868,690    2,868,690 
NextEra Energy Operating Partners, L.P.
3.875%, due 10/15/26 (a)
   4,500,000    4,275,000 
NRG Energy, Inc.
6.625%, due 1/15/27
   7,000,000    7,280,000 
Vistra Operations Co. LLC
5.00%, due 7/31/27 (a)
   3,300,000    3,349,500 
         19,733,190 
Electrical Components & Equipment 0.3%          
WESCO Distribution, Inc.
5.375%, due 12/15/21
   7,160,000    6,730,400 
           
Electrical Equipment 0.2%          
Resideo Funding, Inc.
6.125%, due 11/1/26 (a)
   5,469,000    4,771,703 
           
Electronics 0.2%          
Itron, Inc.
5.00%, due 1/15/26 (a)
   6,365,000    6,046,750 
           
Energy - Alternate Sources 0.1%          
Terraform Power Operating LLC
4.75%, due 1/15/30 (a)
   2,665,000    2,585,050 
           
Engineering & Construction 0.4%          
Weekley Homes LLC / Weekley Finance Corp.          
6.00%, due 2/1/23   7,219,000    6,785,860 
6.625%, due 8/15/25   4,423,000    3,980,700 
         10,766,560 
Entertainment 1.6%          
Boyne USA, Inc.
7.25%, due 5/1/25 (a)
   3,950,000    3,772,250 
Churchill Downs, Inc.(a)          
4.75%, due 1/15/28   6,067,000    5,278,290 
5.50%, due 4/1/27   8,051,000    7,589,436 
International Game Technology PLC
6.25%, due 1/15/27 (a)
   6,725,000    5,850,750 
Jacobs Entertainment, Inc.
7.875%, due 2/1/24 (a)
   2,193,000    1,847,603 
Live Nation Entertainment, Inc.
4.75%, due 10/15/27 (a)
   3,020,000    2,687,800 
Merlin Entertainments PLC
5.75%, due 6/15/26 (a)
   10,050,000    8,492,250 
Twin River Worldwide Holdings, Inc.
6.75%, due 6/1/27 (a)
   8,100,000    6,075,000 
         41,593,379 
Food 1.7%          
B&G Foods, Inc.
5.25%, due 4/1/25
   5,767,000    5,626,631 
Kraft Heinz Foods Co.          
3.95%, due 7/15/25   3,000,000    2,985,562 
6.50%, due 2/9/40   3,000,000    3,273,512 
6.875%, due 1/26/39   5,688,000    6,506,072 
Land O'Lakes Capital Trust I
7.45%, due 3/15/28 (a)
   5,130,000    5,130,000 
Land O'Lakes, Inc.
6.00%, due 11/15/22 (a)
   7,880,000    8,175,500 
Post Holdings, Inc.
4.625%, due 4/15/30 (a)
   2,000,000    1,915,000 
Simmons Foods, Inc.
7.75%, due 1/15/24 (a)
   1,400,000    1,400,000 
TreeHouse Foods, Inc.
6.00%, due 2/15/24 (a)
   9,045,000    8,977,072 
         43,989,349 
Forest Products & Paper 1.3%          
Mercer International, Inc.          
5.50%, due 1/15/26   1,250,000    949,813 
6.50%, due 2/1/24   6,005,000    5,104,250 
7.375%, due 1/15/25   5,000,000    4,162,550 
Schweitzer-Mauduit International, Inc.
6.875%, due 10/1/26 (a)
   5,600,000    5,572,000 
Smurfit Kappa Treasury Funding DAC
7.50%, due 11/20/25
   15,843,000    18,932,385 
         34,720,998 
Gas 0.8%          
AmeriGas Partners, L.P. / AmeriGas Finance Corp.          
5.625%, due 5/20/24   6,885,000    6,368,625 
5.75%, due 5/20/27   5,430,000    5,050,579 
5.875%, due 8/20/26   6,885,000    6,594,453 
Rockpoint Gas Storage Canada, Ltd.
7.00%, due 3/31/23 (a)
   5,100,000    3,710,301 
         21,723,958 
Health Care - Products 0.6%          
Hill-Rom Holdings, Inc.
4.375%, due 9/15/27 (a)
   2,025,000    1,994,625 
Hologic, Inc.(a)          
4.375%, due 10/15/25   4,080,000    4,040,383 
4.625%, due 2/1/28   3,000,000    3,007,500 
Ortho-Clinical Diagnostics, Inc. / Ortho-Clinical Diagnostics S.A.
7.25%, due 2/1/28 (a)
   4,500,000    3,869,550 
Teleflex, Inc.
4.625%, due 11/15/27
   2,275,000    2,272,498 
         15,184,556 
Health Care - Services 4.9%          
Acadia Healthcare Co., Inc.          
5.625%, due 2/15/23   7,087,000    6,678,718 
6.50%, due 3/1/24   2,000,000    1,945,020 
AHP Health Partners, Inc.
9.75%, due 7/15/26 (a)
   5,890,000    5,096,922 
Catalent Pharma Solutions, Inc.(a)          
4.875%, due 1/15/26   4,890,000    4,743,300 
5.00%, due 7/15/27   220,000    213,400 
Centene Corp.          
4.25%, due 12/15/27 (a)   2,590,000    2,538,200 
4.625%, due 12/15/29 (a)   6,300,000    6,331,500 
4.75%, due 1/15/25   4,605,000    4,616,467 
5.25%, due 4/1/25 (a)   4,455,000    4,477,275 
5.375%, due 6/1/26 (a)   3,885,000    4,001,977 
5.375%, due 8/15/26 (a)   2,380,000    2,427,600 
Charles River Laboratories International, Inc.
5.50%, due 4/1/26 (a)
   5,525,000    5,690,750 
Encompass Health Corp.          
4.75%, due 2/1/30   4,100,000    4,018,000 
5.75%, due 11/1/24   4,072,000    4,091,138 
HCA, Inc.          
3.50%, due 9/1/30   8,300,000    7,529,856 
5.00%, due 3/15/24   1,536,000    1,590,357 
5.25%, due 4/15/25   4,220,000    4,425,816 
5.375%, due 2/1/25   7,420,000    7,586,950 
5.625%, due 9/1/28   2,090,000    2,187,603 
5.875%, due 5/1/23   4,800,000    5,004,000 
5.875%, due 2/15/26   9,015,000    9,488,288 
7.50%, due 11/6/33   6,000,000    6,000,000 
7.58%, due 9/15/25   2,007,000    2,067,210 
7.69%, due 6/15/25   9,195,000    9,470,850 
8.36%, due 4/15/24   1,955,000    2,013,650 
RegionalCare Hospital Partners Holdings, Inc. / LifePoint Health, Inc.
9.75%, due 12/1/26 (a)
   10,055,000    9,523,593 
Select Medical Corp.
6.25%, due 8/15/26 (a)
   2,550,000    2,550,000 
         126,308,440 
Holding Company - Diversified 0.3%          
Stena International S.A.
6.125%, due 2/1/25 (a)
   8,870,000    7,450,800 
           
Home Builders 2.6%          
Adams Homes, Inc.
7.50%, due 2/15/25 (a)
   3,925,000    3,748,375 
Ashton Woods USA LLC / Ashton Woods Finance Co.(a)          
6.625%, due 1/15/28   2,000,000    1,580,000 
6.75%, due 8/1/25   2,237,000    1,789,600 
9.875%, due 4/1/27   3,230,000    3,230,000 
Brookfield Residential Properties, Inc. / Brookfield Residential U.S. Corp. (a)          
4.875%, due 2/15/30   1,500,000    1,139,550 
6.25%, due 9/15/27   4,855,000    4,211,227 
6.375%, due 5/15/25   3,520,000    3,168,000 
Century Communities, Inc.          
5.875%, due 7/15/25   3,100,000    2,611,781 
6.75%, due 6/1/27   6,775,000    5,741,135 
Installed Building Products, Inc.
5.75%, due 2/1/28 (a)
   5,230,000    4,981,575 
M/I Homes, Inc.          
4.95%, due 2/1/28 (a)   3,000,000    2,546,250 
5.625%, due 8/1/25   815,000    729,425 
New Home Co., Inc.
7.25%, due 4/1/22
   5,400,000    4,590,000 
PulteGroup, Inc.
7.875%, due 6/15/32
   3,595,000    3,954,500 
Shea Homes, L.P. / Shea Homes Funding Corp.(a)          
4.75%, due 2/15/28   6,000,000    5,122,500 
5.875%, due 4/1/23   2,445,000    2,480,917 
6.125%, due 4/1/25   11,175,000    11,063,250 
Taylor Morrison Communities, Inc.
5.75%, due 1/15/28 (a)
   2,040,000    1,821,547 
Williams Scotsman International, Inc.
7.875%, due 12/15/22 (a)
   4,441,000    4,332,195 
         68,841,827 
Household Products & Wares 0.9%          
Prestige Brands, Inc.(a)          
5.125%, due 1/15/28   4,245,000    4,203,824 
6.375%, due 3/1/24   12,915,000    13,237,875 
Spectrum Brands, Inc.
5.75%, due 7/15/25
   5,540,000    5,179,900 
         22,621,599 
Insurance 1.3%          
American Equity Investment Life Holding Co.
5.00%, due 6/15/27
   8,145,000    7,831,460 
Fairfax Financial Holdings, Ltd.
8.30%, due 4/15/26
   4,645,000    5,563,519 
Fidelity & Guaranty Life Holdings, Inc.
5.50%, due 5/1/25 (a)
   5,000,000    4,939,000 
MGIC Investment Corp.
5.75%, due 8/15/23
   9,545,000    8,638,225 
USI, Inc.
6.875%, due 5/1/25 (a)
   5,890,000    5,477,700 
         32,449,904 
Internet 3.0%          
Cogent Communications Group, Inc.(a)          
5.375%, due 3/1/22   2,870,000    2,884,350 
5.625%, due 4/15/21   11,910,000    11,731,350 
GrubHub Holdings, Inc.
5.50%, due 7/1/27 (a)
   3,525,000    3,119,625 
Netflix, Inc.          
4.875%, due 4/15/28   1,692,000    1,742,760 
4.875%, due 6/15/30 (a)   3,000,000    3,045,450 
5.375%, due 11/15/29 (a)   2,500,000    2,594,125 
5.50%, due 2/15/22   7,455,000    7,585,462 
5.75%, due 3/1/24   10,899,000    11,661,930 
5.875%, due 2/15/25   3,320,000    3,505,920 
5.875%, due 11/15/28   8,800,000    9,402,800 
NortonLifeLock, Inc.
5.00%, due 4/15/25 (a)
   2,489,000    2,512,904 
Uber Technologies, Inc.
7.50%, due 9/15/27 (a)
   5,115,000    5,049,528 
VeriSign, Inc.          
4.75%, due 7/15/27   4,900,000    5,078,360 
5.25%, due 4/1/25   9,025,000    9,295,750 
         79,210,314 
Investment Companies 1.1%          
Compass Group Diversified Holdings LLC
8.00%, due 5/1/26 (a)
   4,690,000    4,502,400 
FS Energy & Power Fund
7.50%, due 8/15/23 (a)
   18,275,000    16,287,594 
Icahn Enterprises, L.P. / Icahn Enterprises Finance Corp.
6.25%, due 5/15/26
   7,290,000    6,889,050 
         27,679,044 
Iron & Steel 1.4%          
Allegheny Ludlum LLC
6.95%, due 12/15/25
   7,400,000    6,808,000 
Allegheny Technologies, Inc.          
5.875%, due 12/1/27   2,000,000    1,665,000 
7.875%, due 8/15/23   1,928,000    1,859,961 
Big River Steel LLC / BRS Finance Corp.
7.25%, due 9/1/25 (a)
   19,084,000    17,366,440 
Mineral Resources, Ltd.
8.125%, due 5/1/27 (a)
   9,130,000    8,553,623 
         36,253,024 
Leisure Time 1.2%          
Carlson Travel, Inc.(a)          
6.75%, due 12/15/23 (f)   21,868,000    14,870,240 
9.50%, due 12/15/24   15,253,000    10,066,980 
Vista Outdoor, Inc.
5.875%, due 10/1/23
   8,369,000    6,923,757 
         31,860,977 
Lodging 2.0%          
Boyd Gaming Corp.          
4.75%, due 12/1/27 (a)   5,430,000    4,479,750 
6.00%, due 8/15/26   9,300,000    7,998,000 
6.375%, due 4/1/26   1,935,000    1,673,775 
Choice Hotels International, Inc.
5.75%, due 7/1/22
   8,283,000    7,578,945 
Hilton Domestic Operating Co., Inc.          
4.875%, due 1/15/30   8,000,000    6,800,000 
5.125%, due 5/1/26   11,615,000    10,918,100 
Marriott Ownership Resorts, Inc. / ILG LLC
6.50%, due 9/15/26
   7,481,000    6,508,470 
MGM Resorts International          
5.50%, due 4/15/27   2,966,000    2,699,060 
5.75%, due 6/15/25   5,039,000    4,509,905 
         53,166,005 
Machinery - Diversified 0.9%          
Briggs & Stratton Corp.
6.875%, due 12/15/20
   5,030,000    3,760,428 
Colfax Corp. (a)          
6.00%, due 2/15/24   4,540,000    4,381,100 
6.375%, due 2/15/26   4,600,000    4,531,000 
Stevens Holding Co., Inc.
6.125%, due 10/1/26 (a)
   4,724,000    4,666,910 
Tennant Co.
5.625%, due 5/1/25
   6,770,000    6,516,125 
         23,855,563 
Media 8.1%          
Allen Media LLC / Allen Media Co-Issuer, Inc.
10.50%, due 2/15/28 (a)
   5,860,000    4,797,289 
Altice Financing S.A.
7.50%, due 5/15/26 (a)
   2,000,000    1,937,800 
Altice France S.A.
7.375%, due 5/1/26 (a)
   7,000,000    6,948,550 
Block Communications, Inc.
4.875%, due 3/1/28 (a)
   4,430,000    4,119,900 
CCO Holdings LLC / CCO Holdings Capital Corp.(a)          
4.50%, due 8/15/30   15,080,000    14,778,400 
4.50%, due 5/1/32   8,180,000    7,977,136 
4.75%, due 3/1/30   7,715,000    7,676,425 
5.00%, due 2/1/28   8,550,000    8,571,375 
5.125%, due 5/1/27   12,000,000    12,031,200 
5.375%, due 5/1/25   1,961,000    2,010,417 
5.375%, due 6/1/29   4,780,000    4,911,928 
5.75%, due 2/15/26   5,090,000    5,154,388 
5.875%, due 4/1/24   8,005,000    8,205,125 
5.875%, due 5/1/27   2,850,000    2,935,500 
CSC Holdings LLC(a)          
5.375%, due 7/15/23   6,840,000    6,839,932 
5.75%, due 1/15/30   9,020,000    9,096,309 
6.50%, due 2/1/29   2,660,000    2,868,783 
Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (a)
   2,600,000    1,738,750 
DISH DBS Corp.          
5.875%, due 7/15/22   7,655,000    7,454,592 
5.875%, due 11/15/24   540,000    525,150 
6.75%, due 6/1/21   5,500,000    5,577,000 
7.75%, due 7/1/26   12,720,000    13,069,800 
LCPR Senior Secured Financing DAC
6.75%, due 10/15/27 (a)
   15,606,000    15,371,910 
Meredith Corp.
6.875%, due 2/1/26
   14,550,000    12,764,715 
Quebecor Media, Inc.
5.75%, due 1/15/23
   15,647,000    15,879,984 
Sterling Entertainment Enterprises LLC
10.25%, due 1/15/25 (b)(c)(d)(g)
   7,000,000    7,245,000 
Videotron, Ltd.          
5.00%, due 7/15/22   3,365,000    3,356,588 
5.125%, due 4/15/27 (a)   5,890,000    5,890,000 
5.375%, due 6/15/24 (a)   11,450,000    11,503,815 
         211,237,761 
Metal Fabricate & Hardware 2.0%          
Advanced Drainage Systems, Inc.
5.00%, due 9/30/27 (a)
   1,740,000    1,548,600 
Arconic Corp.
6.125%, due 2/15/28 (a)
   5,405,000    5,526,612 
Grinding Media, Inc. / Moly-Cop AltaSteel, Ltd.
7.375%, due 12/15/23 (a)
   20,535,000    19,155,048 
Novelis Corp.
5.875%, due 9/30/26 (a)
   20,805,000    20,417,299 
Optimas OE Solutions Holding LLC / Optimas OE Solutions, Inc.
8.625%, due 6/1/21 (a)
   3,250,000    1,901,250 
Park-Ohio Industries, Inc.
6.625%, due 4/15/27
   5,325,000    4,208,960 
         52,757,769 
Mining 1.4%          
Alcoa Nederland Holding B.V.(a)          
6.75%, due 9/30/24   2,765,000    2,681,221 
7.00%, due 9/30/26   5,745,000    5,342,850 
Compass Minerals International, Inc.(a)          
4.875%, due 7/15/24   2,250,000    2,115,000 
6.75%, due 12/1/27   7,990,000    7,212,972 
Constellium S.E.(a)          
5.875%, due 2/15/26   3,350,000    2,914,500 
6.625%, due 3/1/25   1,650,000    1,485,000 
First Quantum Minerals, Ltd. (a)          
7.25%, due 4/1/23   7,480,000    6,297,225 
7.50%, due 4/1/25   2,600,000    2,163,694 
Joseph T. Ryerson & Son, Inc.
11.00%, due 5/15/22 (a)
   1,450,000    1,348,500 
Novelis Corp.
4.75%, due 1/30/30 (a)
   4,595,000    4,089,550 
         35,650,512 
Miscellaneous - Manufacturing 0.9%          
Amsted Industries, Inc.(a)          
4.625%, due 5/15/30   2,615,000    2,333,887 
5.625%, due 7/1/27   7,240,000    7,043,905 
EnPro Industries, Inc.
5.75%, due 10/15/26
   2,910,000    2,800,875 
Foxtrot Escrow Issuer LLC / Foxtrot Escrow Corp.
12.25%, due 11/15/26 (a)
   3,990,000    3,112,200 
FXI Holdings, Inc.
7.875%, due 11/1/24 (a)
   1,750,000    1,181,863 
Koppers, Inc.
6.00%, due 2/15/25 (a)
   8,265,000    6,612,000 
         23,084,730 
Oil & Gas 4.0%          
Ascent Resources Utica Holdings LLC / ARU Finance Corp.(a)          
7.00%, due 11/1/26   3,900,000    1,083,869 
10.00%, due 4/1/22   4,206,000    2,460,510 
California Resources Corp.
8.00%, due 12/15/22 (a)
   16,905,000    253,575 
Callon Petroleum Co.
6.125%, due 10/1/24
   8,080,000    1,434,200 
CNX Resources Corp.
5.875%, due 4/15/22
   2,133,000    1,951,695 
Comstock Resources, Inc.
9.75%, due 8/15/26
   20,370,000    14,509,551 
Continental Resources, Inc.
5.00%, due 9/15/22
   2,870,000    1,830,888 
CVR Energy, Inc.
5.25%, due 2/15/25 (a)
   2,575,000    2,002,062 
Energy Ventures Gom LLC / EnVen Finance Corp.
11.00%, due 2/15/23 (a)
   5,648,000    3,275,840 
EQT Corp.
6.125%, due 2/1/25
   4,200,000    3,234,420 
Gulfport Energy Corp.          
6.00%, due 10/15/24   15,745,000    3,857,525 
6.375%, due 5/15/25   8,500,000    2,061,250 
6.375%, due 1/15/26   5,051,000    987,041 
Indigo Natural Resources LLC
6.875%, due 2/15/26 (a)
   4,505,000    2,973,300 
Matador Resources Co.
5.875%, due 9/15/26
   3,100,000    908,300 
Moss Creek Resources Holdings, Inc.
7.50%, due 1/15/26 (a)
   4,065,000    1,178,850 
Murphy Oil Corp.
6.875%, due 8/15/24
   3,315,000    1,964,138 
Murphy Oil USA, Inc.          
4.75%, due 9/15/29   2,000,000    1,875,000 
5.625%, due 5/1/27   2,994,000    2,933,521 
Parkland Fuel Corp.
5.875%, due 7/15/27 (a)
   3,130,000    2,934,062 
Parsley Energy LLC / Parsley Finance Corp.(a)          
4.125%, due 2/15/28   3,000,000    2,040,000 
5.25%, due 8/15/25   3,210,000    2,439,600 
5.625%, due 10/15/27   2,445,000    1,723,725 
PBF Holding Co. LLC / PBF Finance Corp.
6.00%, due 2/15/28 (a)
   8,125,000    5,362,500 
PDC Energy, Inc.
6.125%, due 9/15/24
   5,783,000    3,086,676 
PetroQuest Energy, Inc.
10.00% (10.00% PIK), due 2/15/24 (b)(c)(d)(e)
   6,340,923    634 
QEP Resources, Inc.          
5.25%, due 5/1/23   1,249,000    462,130 
5.625%, due 3/1/26   5,580,000    2,036,700 
Range Resources Corp.          
5.875%, due 7/1/22   2,903,000    2,090,160 
9.25%, due 2/1/26 (a)   6,738,000    4,042,800 
Rex Energy Corp. (Escrow Claim)
8.00%, due 10/1/20 (d)(g)
   40,580,000    304,350 
Southwestern Energy Co.          
6.20%, due 1/23/25   7,455,000    5,076,482 
7.50%, due 4/1/26   8,420,000    5,515,100 
Sunoco, L.P. / Sunoco Finance Corp.
6.00%, due 4/15/27
   4,000,000    3,440,000 
Talos Production LLC / Talos Production Finance, Inc.
11.00%, due 4/3/22
   9,828,857    6,044,747 
Transocean Pontus, Ltd.
6.125%, due 8/1/25 (a)
   1,670,000    1,352,700 
Transocean Poseidon, Ltd.
6.875%, due 2/1/27 (a)
   1,500,000    1,215,000 
Transocean Sentry, Ltd.
5.375%, due 5/15/23 (a)
   3,000,000    2,520,000 
Ultra Resources, Inc.
6.875%, due 4/15/22 (a)
   9,675,000    120,938 
Viper Energy Partners, L.P.
5.375%, due 11/1/27 (a)
   2,000,000    1,680,000 
Whiting Petroleum Corp.          
6.25%, due 4/1/23   4,040,000    303,000 
6.625%, due 1/15/26   4,550,000    307,125 
         104,873,964 
Oil & Gas Services 0.2%          
Forum Energy Technologies, Inc.
6.25%, due 10/1/21
   13,290,000    4,186,350 
Nine Energy Service, Inc.
8.75%, due 11/1/23 (a)
   5,657,000    1,414,816 
         5,601,166 
Packaging & Containers 0.3%          
ARD Finance S.A.
6.50% (6.50% Cash or 7.25% PIK), due 6/30/27 (a)(e)
   3,950,000    3,392,655 
Cascades, Inc. / Cascades U.S.A., Inc. (a)          
5.125%, due 1/15/26   2,810,000    2,718,675 
5.375%, due 1/15/28   2,325,000    2,220,375 
         8,331,705 
Pharmaceuticals 0.9%          
Bausch Health Americas, Inc.
9.25%, due 4/1/26 (a)
   1,435,000    1,516,508 
Bausch Health Cos., Inc.(a)          
5.00%, due 1/30/28   3,430,000    3,247,181 
5.25%, due 1/30/30   2,645,000    2,501,006 
6.125%, due 4/15/25   1,500,000    1,477,500 
7.00%, due 1/15/28   1,750,000    1,796,200 
Endo Dac / Endo Finance LLC / Endo Finco, Inc.(a)          
6.00%, due 7/15/23   3,034,000    2,197,769 
6.00%, due 2/1/25   6,060,000    4,120,800 
Par Pharmaceutical, Inc.
7.50%, due 4/1/27 (a)
   5,080,000    5,054,600 
Vizient, Inc.
6.25%, due 5/15/27 (a)
   2,325,000    2,267,840 
         24,179,404 
Pipelines 4.0%          
ANR Pipeline Co.          
7.375%, due 2/15/24   395,000    428,264 
9.625%, due 11/1/21   5,950,000    6,248,782 
Antero Midstream Partners, L.P. / Antero Midstream Finance Corp.          
5.375%, due 9/15/24   3,810,000    2,646,807 
5.75%, due 1/15/28 (a)   4,055,000    2,595,200 
Cheniere Corpus Christi Holdings LLC
5.875%, due 3/31/25
   3,000,000    2,512,879 
Cheniere Energy Partners, L.P.          
5.25%, due 10/1/25   4,630,000    4,259,600 
5.625%, due 10/1/26   4,600,000    4,232,000 
CNX Midstream Partners, L.P. / CNX Midstream Finance Corp.
6.50%, due 3/15/26 (a)
   6,022,000    4,155,180 
Hess Midstream Operations L.P.
5.625%, due 2/15/26 (a)
   3,300,000    2,330,015 
Holly Energy Partners, L.P. / Holly Energy Finance Corp.
5.00%, due 2/1/28 (a)
   2,845,000    2,382,687 
MPLX, L.P.          
4.875%, due 12/1/24   5,790,000    4,727,555 
4.875%, due 6/1/25   8,383,000    6,902,312 
6.25%, due 10/15/22 (a)   524,000    471,716 
6.375%, due 5/1/24 (a)   2,440,000    2,188,836 
NGPL PipeCo LLC(a)          
4.375%, due 8/15/22   2,500,000    2,385,947 
4.875%, due 8/15/27   5,280,000    4,699,415 
Northwest Pipeline LLC
7.125%, due 12/1/25
   2,195,000    2,225,912 
NuStar Logistics, L.P.
6.75%, due 2/1/21
   6,125,000    4,869,375 
Plains All American Pipeline, L.P.
6.125%, due 11/15/22 (h)(i)
   14,265,000    7,132,500 
Rockies Express Pipeline LLC(a)          
3.60%, due 5/15/25   2,800,000    1,934,798 
4.80%, due 5/15/30   5,000,000    2,991,726 
Ruby Pipeline LLC
6.50%, due 4/1/22 (a)
   1,686,477    1,488,502 
Sabine Pass Liquefaction LLC
5.875%, due 6/30/26
   5,985,000    5,415,229 
Tallgrass Energy Partners, L.P. / Tallgrass Energy Finance Corp.(a)          
5.50%, due 9/15/24   9,560,000    5,258,000 
6.00%, due 3/1/27   4,365,000    2,313,450 
Targa Resources Partners, L.P. / Targa Resources Partners Finance Corp.          
5.50%, due 3/1/30 (a)   6,000,000    4,634,400 
5.875%, due 4/15/26   5,915,000    4,909,450 
TransMontaigne Partners, L.P. / TLP Finance Corp.
6.125%, due 2/15/26
   8,055,000    6,444,000 
         102,784,537 
Private Equity 0.4%          
Icahn Enterprises, L.P. / Icahn Enterprises Finance Corp.          
4.75%, due 9/15/24   3,570,000    3,283,365 
5.25%, due 5/15/27   7,615,000    7,034,356 
         10,317,721 
Real Estate 1.2%          
CBRE Services, Inc.
5.25%, due 3/15/25
   2,295,000    2,470,831 
Howard Hughes Corp.
5.375%, due 3/15/25 (a)
   8,580,000    8,301,150 
Kennedy-Wilson, Inc.
5.875%, due 4/1/24
   7,505,000    6,714,723 
Newmark Group, Inc.
6.125%, due 11/15/23
   8,105,000    8,244,636 
Realogy Group LLC / Realogy Co-Issuer Corp.
9.375%, due 4/1/27 (a)
   7,599,000    6,404,361 
         32,135,701 
Real Estate Investment Trusts 4.4%          
Crown Castle International Corp.
5.25%, due 1/15/23
   24,840,000    25,897,412 
CTR Partnership, L.P. / CareTrust Capital Corp.
5.25%, due 6/1/25
   3,500,000    3,447,500 
Equinix, Inc.          
5.375%, due 5/15/27   16,710,000    16,524,519 
5.875%, due 1/15/26   14,253,000    14,543,334 
MGM Growth Properties Operating Partnership, L.P. / MGP Finance Co-Issuer, Inc.          
4.50%, due 9/1/26   2,000,000    1,660,000 
5.625%, due 5/1/24   19,120,000    18,355,200 
5.75%, due 2/1/27   6,655,000    5,789,850 
MPT Operating Partnership, L.P. / MPT Finance Corp.
5.00%, due 10/15/27
   7,226,000    7,009,220 
Ryman Hospitality Properties, Inc.
4.75%, due 10/15/27 (a)
   8,675,000    6,506,250 
SBA Communications Corp.
3.875%, due 2/15/27 (a)
   4,200,000    4,210,500 
Starwood Property Trust, Inc.
5.00%, due 12/15/21
   2,962,000    2,710,230 
VICI Properties, L.P. / VICI Note Co., Inc. (a)          
3.75%, due 2/15/27   2,810,000    2,648,425 
4.125%, due 8/15/30   3,340,000    3,127,075 
4.625%, due 12/1/29   1,640,000    1,496,303 
         113,925,818 
Retail 2.6%          
Asbury Automotive Group, Inc.(a)          
4.50%, due 3/1/28   2,160,000    1,836,000 
4.75%, due 3/1/30   1,600,000    1,360,000 
Beacon Roofing Supply, Inc.
4.875%, due 11/1/25 (a)
   6,960,000    6,281,400 
Group 1 Automotive, Inc.
5.00%, due 6/1/22
   6,735,000    6,196,200 
KFC Holding Co. / Pizza Hut Holdings LLC / Taco Bell of America LLC(a)          
4.75%, due 6/1/27   5,275,000    4,958,500 
5.00%, due 6/1/24   10,600,000    10,388,000 
5.25%, due 6/1/26   7,500,000    7,489,500 
KGA Escrow, LLC
7.50%, due 8/15/23 (a)
   5,350,000    4,868,500 
L Brands, Inc.          
5.625%, due 2/15/22   2,908,000    2,704,440 
6.694%, due 1/15/27   4,399,000    3,176,078 
Lithia Motors, Inc.
4.625%, due 12/15/27 (a)
   2,430,000    2,187,243 
Penske Automotive Group, Inc.
5.75%, due 10/1/22
   6,670,000    6,169,750 
TPro Acquisition Corp.
11.00%, due 10/15/24 (a)
   1,962,000    1,863,900 
Yum! Brands, Inc.
4.75%, due 1/15/30 (a)
   8,767,000    8,240,980 
         67,720,491 
Software 5.0%          
ACI Worldwide, Inc.
5.75%, due 8/15/26 (a)
   4,405,000    4,360,950 
Ascend Learning LLC
6.875%, due 8/1/25 (a)
   8,215,000    7,968,550 
Camelot Finance S.A.
4.50%, due 11/1/26 (a)
   4,405,000    4,272,850 
CDK Global, Inc.          
5.25%, due 5/15/29 (a)   4,070,000    4,151,400 
5.875%, due 6/15/26   10,900,000    11,515,850 
Fair Isaac Corp.
5.25%, due 5/15/26 (a)
   3,590,000    3,554,100 
IQVIA, Inc.
5.00%, due 10/15/26 (a)
   9,792,000    9,987,840 
MSCI, Inc.(a)          
3.625%, due 9/1/30   3,215,000    3,050,231 
4.00%, due 11/15/29   9,150,000    9,089,427 
4.75%, due 8/1/26   3,570,000    3,516,450 
5.375%, due 5/15/27   6,230,000    6,323,450 
5.75%, due 8/15/25   15,590,000    16,094,492 
Open Text Corp. (a)          
3.875%, due 2/15/28   4,560,000    4,286,400 
5.875%, due 6/1/26   5,085,000    5,333,657 
Open Text Holdings, Inc.
4.125%, due 2/15/30 (a)
   3,680,000    3,460,120 
PTC, Inc.          
3.625%, due 2/15/25 (a)   3,400,000    3,179,000 
4.00%, due 2/15/28 (a)   5,160,000    4,955,148 
6.00%, due 5/15/24   12,350,000    12,708,397 
RP Crown Parent LLC
7.375%, due 10/15/24 (a)
   7,110,000    6,774,408 
SS&C Technologies, Inc.
5.50%, due 9/30/27 (a)
   5,000,000    5,211,050 
         129,793,770 
Telecommunications 7.4%          
Anixter, Inc.
5.125%, due 10/1/21
   2,425,000    2,412,875 
CenturyLink, Inc.
5.80%, due 3/15/22
   9,925,000    10,049,162 
CommScope Technologies LLC
6.00%, due 6/15/25 (a)
   1,500,000    1,372,800 
CommScope, Inc.
8.25%, due 3/1/27 (a)
   8,924,000    8,601,844 
Connect Finco SARL / Connect U.S. Finco LLC
6.75%, due 10/1/26 (a)
   11,925,000    9,853,031 
Frontier Communications Corp.          
6.25%, due 9/15/21   5,500,000    1,320,000 
10.50%, due 9/15/22   4,335,000    1,127,100 
11.00%, due 9/15/25   1,425,000    374,063 
Hughes Satellite Systems Corp.          
5.25%, due 8/1/26   7,035,000    6,964,650 
6.625%, due 8/1/26   6,460,000    6,543,431 
7.625%, due 6/15/21   8,695,000    8,868,900 
Level 3 Financing, Inc.          
5.375%, due 5/1/25   6,300,000    6,268,500 
5.625%, due 2/1/23   4,000,000    3,980,000 
QualityTech, L.P. / QTS Finance Corp.
4.75%, due 11/15/25 (a)
   6,650,000    6,417,250 
Sprint Capital Corp.
6.875%, due 11/15/28
   31,715,000    36,224,873 
Sprint Corp.          
7.25%, due 2/1/28 (a)   2,000,000    2,010,000 
7.875%, due 9/15/23   14,030,000    15,399,047 
T-Mobile USA, Inc.          
4.50%, due 2/1/26   3,345,000    3,420,262 
4.75%, due 2/1/28   9,585,000    9,985,653 
5.125%, due 4/15/25   7,520,000    7,688,974 
5.375%, due 4/15/27   9,500,000    9,785,000 
6.00%, due 4/15/24   6,840,000    6,973,380 
6.375%, due 3/1/25   9,700,000    9,906,416 
6.50%, due 1/15/24   7,505,000    7,617,575 
6.50%, due 1/15/26   10,150,000    10,657,500 
         193,822,286 
Textiles 0.2%          
Eagle Intermediate Global Holding B.V. / Ruyi U.S. Finance LLC
7.50%, due 5/1/25 (a)
   10,745,000    6,178,375 
           
Toys, Games & Hobbies 0.9%          
Mattel, Inc.(a)          
5.875%, due 12/15/27   5,980,000    6,146,244 
6.75%, due 12/31/25   16,965,000    17,251,709 
         23,397,953 
Transportation 0.1%          
Teekay Corp.
9.25%, due 11/15/22 (a)
   1,500,000    1,500,000 
           
Trucking & Leasing 0.3%          
Fortress Transportation & Infrastructure Investors LLC
6.75%, due 3/15/22 (a)
   8,000,000    7,404,560 
Total Corporate Bonds
(Cost $2,672,229,420)
        2,357,720,390 
           
Loan Assignments 2.0%          
Aerospace & Defense 0.1%          
TransDigm, Inc.
2020 Term Loan F
TBD, due 12/9/25
   2,800,000    2,583,000 
           
Automobile 0.2%          
Dealer Tire LLC
2020 Term Loan B
5.239% (1 Month LIBOR + 4.25%), due 12/12/25 (j)
   5,985,000    4,847,850 
           
Beverage, Food & Tobacco 0.3%          
United Natural Foods, Inc.
Term Loan B
5.239% (1 Month LIBOR + 4.25%), due 10/22/25 (j)
   9,461,401    8,023,268 
           
Chemicals, Plastics & Rubber 0.4%          
Innophos, Inc.
2020 Term Loan B
4.755% (1 Month LIBOR + 3.75%), due 2/4/27 (j)
   1,900,000    1,567,500 
SCIH Salt Holdings, Inc.
Term Loan B
5.241% (3 Month LIBOR + 4.50%), due 3/16/27 (j)
   10,000,000    8,675,000 
         10,242,500 
Electronics 0.0% ‡          
RP Crown Parent LLC
2016 Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 10/12/23 (j)
   393,893    374,198 
           
Media 0.1%          
Coral-U.S. Co-Borrower LLC
2020 Term Loan B5
3.239% (1 Month LIBOR + 2.25%), due 1/31/28 (j)
   2,250,000    1,972,501 
           
Mining, Steel, Iron & Non-Precious Metals 0.1%          
Aleris International, Inc.
2018 Term Loan
5.739% (1 Month LIBOR + 4.75%), due 2/27/23 (j)
   2,947,500    2,638,012 
           
Oil & Gas 0.1%          
PetroQuest Energy, Inc.
Term Loan Note
10.013%, due 11/8/23 (b)(c)(d)
   4,893,078    4,012,324 
           
Retail Store 0.7%          
Bass Pro Group LLC
Term Loan B
6.072% (1 Month LIBOR + 5.00%), due 9/25/24 (j)
   21,460,072    18,026,460 
           
Total Loan Assignments
(Cost $60,527,456)
        52,720,113 
           
Total Long-Term Bonds
(Cost $2,742,919,097)
        2,420,344,509 

 

   Shares     
Common Stocks 1.3%
Auto Parts & Equipment 0.0% ‡          
ATD New Holdings, Inc. (c)(d)(k)   44,740    626,360 
Exide Technologies (b)(c)(d)(g)(k)   7,037,072    0 
         626,360 
Electric Utilities 0.0% ‡          
Keycon Power Holdings LLC (c)(d)(k)   11,280    128,254 
           
Independent Power & Renewable Electricity Producers 1.0%          
GenOn Energy, Inc. (g)(k)   115,826    25,481,720 
PetroQuest Energy, Inc. (b)(c)(d)   668,661    0 
         25,481,720 
Media 0.0% ‡          
ION Media Networks, Inc. (b)(c)(d)(g)   725    287,571 
           
Metals & Mining 0.1%          
Neenah Enterprises, Inc. (b)(c)(d)(k)   230,859    2,957,304 
           
Oil, Gas & Consumable Fuels 0.2%          
Talos Energy, Inc. (k)   637,880    3,667,810 
Titan Energy LLC (k)   25,911    793 
         3,668,603 
Software 0.0% ‡          
ASG Corp. (b)(c)(d)   3,368    0 
           
Total Common Stocks
(Cost $72,538,436)
        33,149,812 
           
Short-Term Investment 4.2%          
Unaffiliated Investment Company 4.2%          
State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.32% (l)   109,120,597    109,120,597 
           
Total Short-Term Investment
(Cost $109,120,597)
        109,120,597 
Total Investments
(Cost $2,924,578,130)
   98.4%   2,562,614,918 
Other Assets, Less Liabilities   1.6    41,476,582 
Net Assets   100.0%  $2,604,091,500 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(c) Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of March 31, 2020, the total market value of fair valued securities was $35,253,030, which represented 1.4% of the Portfolio's net assets.
(d) Illiquid security - As of March 31, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $38,426,070, which represented 1.5% of the Portfolio's net assets.
(e) PIK ("Payment-in-Kind") - issuer may pay interest or dividends with additional securities and/or in cash.
(f) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $15,409,218. The Portfolio received non-cash collateral in the form of U.S. Treasury securities with a value of $15,721,500.  
(g) Restricted security.
(h) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(i) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(j) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(k) Non-income producing security.
(l) Current yield as of March 31, 2020.

 

The following abbreviations are used in the preceding pages:

LIBOR —London Interbank Offered Rate
TBD —To Be Determined

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
      Significant
Other
Observable
Inputs
(Level 2)
     Significant
Unobservable
Inputs
(Level 3)
     Total 
 
Asset Valuation Inputs
                 
Investments in Securities (a)                
Long-Term Bonds                   
Convertible Bonds  $   $9,904,006   $   $9,904,006   
Corporate Bonds (b)       2,330,479,173    27,241,217    2,357,720,390  
Loan Assignments (c)       48,707,789    4,012,324    52,720,113 
Total Long-Term Bonds       2,389,090,968    31,253,541    2,420,344,509 
Common Stocks (d)   3,668,603    26,108,080    3,373,129    33,149,812 
Short-Term Investment                    
Unaffiliated Investment Company   109,120,597            109,120,597 
Total Investments in Securities  $112,789,200   $2,415,199,048   $34,626,670   $2,562,614,918 

 

(a)

For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)

The Level 3 securities valued at $19,995,583, $7,245,000 and $634 are held in Auto Parts & Equipment, Media and Oil & Gas, respectively, within the Corporate Bonds section of the Portfolio of Investments.

 

 
(c)

The Level 3 security valued at $4,012,324 is held in Oil & Gas within the Loan Assignments section of the Portfolio of Investments.

 

(d) The Level 3 securities valued at $0, $0, $128,254, $287,571, $2,957,304 and $0 are held in Auto Parts & Equipment, Independent Power & Renewable Electricity Producers, Electric Utilities, Media, Metals & Mining and Software, respectively, within the Common Stocks section of the Portfolio of Investments.  

 

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value:

 

Investments in Securities  Balance
as of
December 31,
2019
   Accrued Discounts (Premiums)   Realized Gain
(Loss)
   Change in Unrealized Appreciation (Depreciation)   Purchases   Sales   Transfers
in to
Level 3
   Transfers
out of
Level 3
   Balance
as of
March 31,
2020
   Change in
Unrealized
Appreciation (Depreciation) from
Investments Still
Held at
March 21, 2020
 
Long-Term Bonds                                                  
Corporate Bonds  $47,173,493   $(104,017)  $-   $(20,130,207)  $301,948(a)  $-   $-   $-   $27,241,217   $(20,130,207)
Loan Assignments   4,893,078    -    -    (880,754)   -    -    -    -    4,012,324    (880,754)
Common Stocks   9,085,645    -    -    (8,983,716)   -    -    3,271,200    -    3,373,129    (8,983,716)
Total  $61,152,216   $(104,017)  $-   $(29,994,677)  $301,948   $-   $3,271,200   $-   $34,626,670   $(29,994,677)

 

(a)Purchases include PIK securities.

 

As of March 31, 2020, a security with a market value of $3,271,200 transferred from Level 2 to Level 3. The transfer occurred as a result of utilizing significant unobservable inputs. As of December 31, 2019, the fair value obtained for this security, utilized significant observable inputs.

 

 

 

 

MainStay VP Income Builder Portfolio
Portfolio of Investments  March 31, 2020 (Unaudited)

 

   Principal
Amount
  Value 
  Long-Term Bonds 54.2% †   
  Asset-Backed Securities 1.9%   
  Auto Floor Plan Asset-Backed Securities 0.2%          
  Ford Credit Floorplan Master Owner Trust
Series 2018-4, Class A
4.06%, due 11/15/30
  $1,210,000   $1,147,574 
             
  Automobile Asset-Backed Securities 0.8%          
  Avis Budget Rental Car Funding AESOP LLC
Series 2020-1A, Class A
2.33%, due 8/20/26 (a)
   515,000    453,218 
  CarMax Auto Owner Trust
Series 2019-3, Class A3
2.18%, due 8/15/24
   905,000    908,355 
  Ford Credit Auto Owner Trust
Series 2020-1, Class A
2.04%, due 8/15/31 (a)
   680,000    629,116 
  Santander Retail Auto Lease Trust
Series 2019-B, Class A3
2.30%, due 1/20/23 (a)
   650,000    643,032 
  Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.51%, due 1/26/32 (a)
   445,000    426,000 
  Toyota Auto Loan Extended Note Trust
Series 2019-1A, Class A
2.56%, due 11/25/31 (a)
   430,000    435,585 
  Volkswagen Auto Lease Trust
Series 2019-A, Class A3
1.99%, due 11/21/22
   1,000,000    1,014,436 
           4,509,742 
  Credit Cards 0.1%          
  Capital One Multi-Asset Execution Trust
Series 2019-A3, Class A3
2.06%, due 8/15/28
   700,000    699,741 
             
  Home Equity 0.1%          
  JPMorgan Mortgage Acquisition Trust
Series 2007-HE1, Class AF1
1.047% (1 Month LIBOR + 0.10%), due 3/25/47 (b)
   154,167    92,188 
  MASTR Asset-Backed Securities Trust
Series 2006-HE4, Class A1
0.997% (1 Month LIBOR + 0.05%), due 11/25/36 (b)
   227,517    88,748 
           180,936 
  Other Asset-Backed Securities 0.7%          
  American Tower Trust I
Series 2013, Class 2A
3.07%, due 3/15/48 (a)
   825,000    810,693 
  Carrington Mortgage Loan Trust
Series 2007-HE1, Class A3
1.137% (1 Month LIBOR + 0.19%), due 6/25/37 (b)
   1,620,000    1,402,667 
  DLL Securitization Trust
Series 2019-MT3, Class A3
2.08%, due 2/21/23 (a)
   880,000    856,964 
  MVW Owner Trust
Series 2019-2A, Class A
2.22%, due 10/20/38 (a)
   823,813    756,306 
           3,826,630 
  Student Loans 0.0% ‡          
  KeyCorp Student Loan Trust
Series 2000-A, Class A2
1.999% (3 Month LIBOR + 0.32%), due 5/25/29 (b)
   30,201    30,027 
             
  Total Asset-Backed Securities
(Cost $10,915,085)
        10,394,650 
             
  Convertible Bonds 0.4%          
  Machinery - Diversified 0.2%          
  Chart Industries, Inc.
1.00%, due 11/15/24 (a)
   1,245,000    979,222 
             
  Semiconductors 0.2%          
  ON Semiconductor Corp.
1.625%, due 10/15/23
   1,289,000    1,283,488 
             
  Total Convertible Bonds
(Cost $2,286,214)
        2,262,710 
             
  Corporate Bonds 30.8%          
  Aerospace & Defense 0.2%          
  L3Harris Technologies, Inc.
4.40%, due 6/15/28
   810,000    862,241 
             
  Agriculture 0.3%          
  Altria Group, Inc.
3.80%, due 2/14/24
   1,300,000    1,317,663 
  JBS Investments II GmbH
7.00%, due 1/15/26 (Austria) (a)
   460,000    458,427 
           1,776,090 
  Airlines 0.5%          
  Delta Air Lines, Inc.
Series 2019-1, Class AA
3.204%, due 10/25/25
   920,000    898,130 
  U.S. Airways Group, Inc.          
  Series 2012-1, Class A
5.90%, due 4/1/26
   631,823    636,674 
  Series 2010-1, Class A
6.25%, due 10/22/24
   338,435    348,273 
  United Airlines, Inc.          
  Series 2014-2, Class B
4.625%, due 3/3/24
   290,438    271,737 
  Series 2007-1, Pass Through Trust
6.636%, due 1/2/24
   388,961    355,970 
           2,510,784 
  Auto Manufacturers 0.9%          
  Daimler Finance North America LLC
2.301% (3 Month LIBOR + 0.55%), due 5/4/21 (Germany) (a)(b)
   685,000    658,530 
  Ford Motor Credit Co. LLC          
  4.063%, due 11/1/24   780,000    707,850 
  4.25%, due 9/20/22   305,000    283,650 
  5.875%, due 8/2/21   150,000    147,000 
  General Motors Financial Co., Inc.          
  3.15%, due 6/30/22   320,000    288,238 
  3.45%, due 4/10/22   1,500,000    1,411,248 
  Toyota Motor Credit Corp.
1.059% (3 Month LIBOR + 0.17%), due 9/18/20 (b)
   1,765,000    1,747,992 
           5,244,508 
  Banks 7.8%          
  Bank of America Corp.          
  2.496%, due 2/13/31 (c)   650,000    628,503 
  2.738%, due 1/23/22 (c)   1,150,000    1,153,254 
  3.004%, due 12/20/23 (c)   734,000    748,824 
  3.458%, due 3/15/25 (c)   1,425,000    1,469,480 
  3.499%, due 5/17/22 (c)   1,635,000    1,654,427 
  3.705%, due 4/24/28 (c)   555,000    567,472 
  4.078%, due 4/23/40 (c)   785,000    847,896 
  4.20%, due 8/26/24   325,000    345,675 
  4.30%, due 1/28/25 (c)(d)   1,461,000    1,256,460 
  6.30%, due 3/10/26 (c)(d)   735,000    771,750 
  BNP Paribas S.A.
3.052%, due 1/13/31 (France) (a)(c)
   885,000    827,548 
  Citibank N.A.
3.40%, due 7/23/21
   1,340,000    1,367,463 
  Citigroup, Inc.          
  3.352%, due 4/24/25 (c)   780,000    799,265 
  3.668%, due 7/24/28 (c)   430,000    445,174 
  3.70%, due 1/12/26   545,000    562,767 
  3.98%, due 3/20/30 (c)   565,000    602,115 
  4.05%, due 7/30/22   105,000    106,579 
  5.30%, due 5/6/44   436,000    511,954 
  6.625%, due 6/15/32   190,000    228,717 
  Citizens Financial Group, Inc.
4.30%, due 12/3/25
   1,190,000    1,245,456 
  Credit Suisse Group A.G.
2.593%, due 9/11/25 (Switzerland) (a)(c)
   365,000    346,765 
  Goldman Sachs Group, Inc.          
  2.60%, due 2/7/30   1,195,000    1,126,954 
  2.862% (3 Month LIBOR + 1.17%), due 5/15/26 (b)   815,000    749,194 
  2.905%, due 7/24/23 (c)   310,000    308,857 
  2.908%, due 6/5/23 (c)   285,000    285,819 
  3.625%, due 1/22/23   1,330,000    1,364,875 
  5.25%, due 7/27/21   1,295,000    1,336,537 
  6.75%, due 10/1/37   159,000    210,479 
  HSBC Holdings PLC
3.973%, due 5/22/30 (United Kingdom) (c)
   465,000    476,315 
  Huntington Bancshares, Inc.
3.15%, due 3/14/21
   1,295,000    1,298,347 
  JPMorgan Chase & Co.(c)          
  3.207%, due 4/1/23   1,540,000    1,566,511 
  3.54%, due 5/1/28   1,275,000    1,312,048 
  4.60%, due 2/1/25 (d)   1,409,000    1,233,157 
  Lloyds Banking Group PLC (United Kingdom)          
  4.582%, due 12/10/25   508,000    513,823 
  4.65%, due 3/24/26   1,075,000    1,097,466 
  Morgan Stanley          
  3.125%, due 1/23/23   1,560,000    1,597,637 
  4.875%, due 11/1/22   495,000    519,446 
  5.00%, due 11/24/25   1,150,000    1,258,945 
  5.441% (3 Month LIBOR + 3.61%), due 7/15/20 (b)(d)   645,000    543,412 
  6.25%, due 8/9/26   881,000    1,069,506 
  7.25%, due 4/1/32   100,000    142,936 
  PNC Bank N.A.
2.55%, due 12/9/21
   815,000    812,571 
  PNC Financial Services Group, Inc.
2.55%, due 1/22/30
   810,000    783,410 
  Royal Bank of Scotland Group PLC
6.00%, due 12/19/23
   70,000    73,379 
  Toronto-Dominion Bank
1.80%, due 7/13/21 (Canada)
   1,535,000    1,542,115 
  Truist Bank
2.636% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (b)
   760,000    726,244 
  U.S. Bank N.A.
1.986% (3 Month LIBOR + 0.29%), due 5/21/21 (b)
   1,300,000    1,278,080 
  Wells Fargo & Co.
2.406%, due 10/30/25 (c)
   525,000    517,235 
  Wells Fargo Bank N.A.          
  2.60%, due 1/15/21   985,000    989,295 
  3.55%, due 8/14/23   1,015,000    1,062,677 
  Westpac Banking Corp.
1.972% (3 Month LIBOR + 0.28%), due 5/15/20 (Australia) (b)
   700,000    698,999 
           42,983,813 
  Beverages 0.4%          
  Anheuser-Busch InBev Worldwide, Inc. (Belgium)          
  4.15%, due 1/23/25   250,000    268,377 
  4.75%, due 1/23/29   495,000    546,406 
  Coca-Cola Co.
4.20%, due 3/25/50
   330,000    430,969 
  Diageo Capital PLC
1.932% (3 Month LIBOR + 0.24%), due 5/18/20 (United Kingdom) (b)
   950,000    948,630 
           2,194,382 
  Biotechnology 0.2%          
  Biogen, Inc.
3.625%, due 9/15/22
   1,240,000    1,273,577 
             
  Building Materials 0.5%          
  Builders FirstSource, Inc.
5.00%, due 3/1/30 (a)
   715,000    643,500 
  Cemex S.A.B. de C.V.
3.125%, due 3/19/26 (Mexico) (a)
  EUR 1,515,000    1,381,026 
  Standard Industries, Inc.
5.375%, due 11/15/24 (a)
  $1,000,000    965,000 
           2,989,526 
  Chemicals 0.4%          
  Air Liquide Finance S.A.
1.75%, due 9/27/21 (France) (a)
   610,000    607,310 
  Braskem Netherlands Finance B.V.
4.50%, due 1/10/28 (Netherlands) (a)
   745,000    595,449 
  Huntsman International LLC
4.50%, due 5/1/29
   731,000    623,203 
  Orbia Advance Corp. S.A.B. de C.V.
4.00%, due 10/4/27 (Mexico) (a)
   625,000    543,750 
           2,369,712 
  Commercial Services 0.7%          
  Ashtead Capital, Inc.
4.00%, due 5/1/28 (United Kingdom) (a)
   380,000    327,560 
  California Institute of Technology
3.65%, due 9/1/19
   775,000    801,859 
  Cintas Corp. No 2
3.70%, due 4/1/27
   1,065,000    1,093,779 
  Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   710,000    660,300 
  PayPal Holdings, Inc.
2.40%, due 10/1/24
   1,120,000    1,094,632 
           3,978,130 
  Computers 0.5%          
  Apple, Inc.          
  1.55%, due 8/4/21   545,000    548,363 
  2.75%, due 1/13/25   715,000    754,153 
  Dell International LLC / EMC Corp.(a)          
  4.90%, due 10/1/26   680,000    669,250 
  5.30%, due 10/1/29   318,000    324,399 
  8.10%, due 7/15/36   470,000    540,036 
           2,836,201 
  Distribution & Wholesale 0.2%          
  Performance Food Group, Inc.
5.50%, due 10/15/27 (a)
   941,000    872,778 
             
  Diversified Financial Services 1.6%          
  AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland)          
  4.45%, due 12/16/21   285,000    262,087 
  4.625%, due 10/30/20   1,600,000    1,552,083 
  Air Lease Corp.          
  2.30%, due 2/1/25   1,215,000    926,483 
  2.75%, due 1/15/23   500,000    421,430 
  3.50%, due 1/15/22   340,000    307,296 
  4.25%, due 9/15/24   420,000    354,322 
  Allied Universal Holdco LLC / Allied Universal Finance Corp.
6.625%, due 7/15/26 (a)
   650,000    638,625 
  Ally Financial, Inc.          
  3.875%, due 5/21/24   310,000    279,000 
  8.00%, due 11/1/31   1,130,000    1,309,331 
  Avolon Holdings Funding, Ltd.
2.875%, due 2/15/25 (a)
   1,040,000    806,077 
  Capital One Financial Corp.
4.20%, due 10/29/25
   165,000    163,104 
  Caterpillar Financial Services Corp.
2.90%, due 3/15/21
   1,735,000    1,749,282 
           8,769,120 
  Electric 1.3%          
  CMS Energy Corp.
5.05%, due 3/15/22
   430,000    444,014 
  Connecticut Light & Power Co.
4.00%, due 4/1/48
   450,000    501,692 
  Duke Energy Ohio, Inc.
4.30%, due 2/1/49
   565,000    653,026 
  Duquesne Light Holdings, Inc.(a)          
  3.616%, due 8/1/27   865,000    851,238 
  6.40%, due 9/15/20   925,000    944,822 
  Entergy Louisiana LLC
4.00%, due 3/15/33
   790,000    875,224 
  Evergy, Inc.
5.292%, due 6/15/22 (e)
   500,000    515,958 
  Public Service Electric & Gas Co.
3.00%, due 5/15/27
   800,000    817,404 
  Puget Energy, Inc.
5.625%, due 7/15/22
   350,000    349,968 
  Southern California Edison Co.          
  3.70%, due 8/1/25   330,000    339,591 
  4.00%, due 4/1/47   520,000    541,611 
  WEC Energy Group, Inc.
3.804% (3 Month LIBOR + 2.113%), due 5/15/67 (b)
   480,000    385,812 
           7,220,360 
  Electrical Equipment 0.2%          
  Carrier Global Corp.
2.493%, due 2/15/27 (a)
   1,100,000    1,049,277 
             
  Environmental Controls 0.3%          
  Republic Services, Inc.
4.75%, due 5/15/23
   580,000    612,465 
  Waste Management, Inc.
2.40%, due 5/15/23
   810,000    796,563 
           1,409,028 
  Food 1.3%          
  JBS USA LUX S.A. / JBS Food Co. / JBS USA Finance, Inc.
5.50%, due 1/15/30 (a)
   485,000    500,763 
  Kerry Group Financial Services Unlimited Co.
3.20%, due 4/9/23 (Ireland) (a)
   1,290,000    1,364,246 
  Kraft Heinz Foods Co.
5.00%, due 7/15/35
   501,000    498,098 
  Mondelez International Holdings Netherlands B.V.
2.00%, due 10/28/21 (Netherlands) (a)
   1,110,000    1,105,329 
  Nestle Holdings, Inc.
3.10%, due 9/24/21 (a)
   1,615,000    1,634,064 
  Smithfield Foods, Inc.
3.35%, due 2/1/22 (a)
   565,000    549,613 
  Sysco Corp.
3.30%, due 2/15/50
   465,000    336,748 
  Tyson Foods, Inc.
3.95%, due 8/15/24
   965,000    977,220 
           6,966,081 
  Gas 0.1%          
  Southern California Gas Co.
4.30%, due 1/15/49
   325,000    357,063 
             
  Health Care - Products 0.4%          
  Abbott Laboratories
3.40%, due 11/30/23
   535,000    561,441 
  Becton Dickinson & Co.
4.669%, due 6/6/47
   635,000    684,258 
  Stryker Corp.
2.625%, due 3/15/21
   1,220,000    1,221,680 
           2,467,379 
  Health Care - Services 0.3%          
  Cigna Holding Co.
4.375%, due 12/15/20
   135,000    135,821 
  Laboratory Corp. of America Holdings
2.30%, due 12/1/24
   1,225,000    1,207,425 
  NYU Langone Hospitals
3.38%, due 7/1/55
   630,000    584,729 
           1,927,975 
  Holding Company - Diversified 0.2%          
  CK Hutchison International (17) II, Ltd.
3.25%, due 9/29/27 (Hong Kong) (a)
   925,000    953,265 
             
  Insurance 1.9%          
  Equitable Holdings, Inc.
5.00%, due 4/20/48
   830,000    783,260 
  Jackson National Life Global Funding
1.248% (3 Month LIBOR + 0.48%), due 6/11/21 (a)(b)
   1,895,000    1,817,869 
  Liberty Mutual Group, Inc.
4.25%, due 6/15/23 (a)
   295,000    300,339 
  MassMutual Global Funding II(a)          
  2.50%, due 10/17/22   1,270,000    1,265,084 
  2.95%, due 1/11/25   365,000    372,534 
  Peachtree Corners Funding Trust
3.976%, due 2/15/25 (a)
   425,000    422,807 
  Pricoa Global Funding I
2.55%, due 11/24/20 (a)
   765,000    768,904 
  Principal Life Global Funding II
2.375%, due 11/21/21 (a)
   1,470,000    1,441,548 
  Protective Life Corp.
8.45%, due 10/15/39
   725,000    1,027,482 
  Reliance Standard Life Global Funding II
2.50%, due 10/30/24 (United Kingdom) (a)
   950,000    909,734 
  Voya Financial, Inc.
3.65%, due 6/15/26
   310,000    310,466 
  Willis North America, Inc.          
  2.95%, due 9/15/29   1,055,000    1,001,713 
  3.875%, due 9/15/49   185,000    190,566 
           10,612,306 
  Internet 0.5%          
  Expedia Group, Inc.          
  3.25%, due 2/15/30   1,305,000    1,092,409 
  3.80%, due 2/15/28   157,000    135,710 
  5.00%, due 2/15/26   22,000    19,874 
  Tencent Holdings, Ltd. (China) (a)          
  3.595%, due 1/19/28   440,000    465,302 
  3.925%, due 1/19/38   675,000    758,755 
  Weibo Corp.
3.50%, due 7/5/24
   465,000    464,857 
           2,936,907 
  Iron & Steel 0.3%          
  ArcelorMittal S.A.
4.55%, due 3/11/26 (Luxembourg)
   800,000    717,432 
  Vale Overseas, Ltd. (Brazil)          
  6.25%, due 8/10/26   435,000    469,809 
  6.875%, due 11/21/36   305,000    338,705 
           1,525,946 
  Leisure Time 0.0% ‡          
  NCL Corp., Ltd.
3.625%, due 12/15/24 (a)
   260,000    165,828 
             
  Lodging 0.6%          
  Hilton Domestic Operating Co., Inc.
4.875%, due 1/15/30
   695,000    590,750 
  Las Vegas Sands Corp.
3.20%, due 8/8/24
   555,000    500,930 
  Marriott International, Inc.          
  2.30%, due 1/15/22   890,000    834,207 
  3.60%, due 4/15/24   920,000    855,278 
  Sands China, Ltd. (Macao)          
  4.60%, due 8/8/23   355,000    362,984 
  5.125%, due 8/8/25   460,000    441,007 
           3,585,156 
  Machinery - Diversified 0.4%          
  CNH Industrial Capital LLC          
  4.20%, due 1/15/24   545,000    532,387 
  4.875%, due 4/1/21   1,445,000    1,412,298 
  John Deere Capital Corp.
3.65%, due 10/12/23
   135,000    142,333 
           2,087,018 
  Media 0.8%          
  CCO Holdings LLC / CCO Holdings Capital Corp.
5.875%, due 4/1/24 (a)
   619,000    634,475 
  Comcast Corp.          
  3.25%, due 11/1/39   675,000    696,792 
  4.70%, due 10/15/48   555,000    719,003 
  Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (a)(f)
   1,330,000    889,437 
  Grupo Televisa S.A.B.
5.25%, due 5/24/49 (Mexico)
   480,000    493,375 
  Sky, Ltd.
3.75%, due 9/16/24 (United Kingdom) (a)
   340,000    352,343 
  Time Warner Entertainment Co., L.P.
8.375%, due 3/15/23
   355,000    400,730 
           4,186,155 
  Metal Fabricate & Hardware 0.3%          
  Precision Castparts Corp.
3.25%, due 6/15/25
   1,455,000    1,462,383 
             
  Mining 0.2%          
  Anglo American Capital PLC
4.875%, due 5/14/25 (United Kingdom) (a)
   455,000    455,326 
  Corp. Nacional del Cobre de Chile
3.00%, due 9/30/29 (Chile) (a)
   635,000    585,115 
           1,040,441 
  Miscellaneous - Manufacturing 0.3%          
  Siemens Financieringsmaatschappij N.V.
2.70%, due 3/16/22 (Germany) (a)
   760,000    759,239 
  Textron Financial Corp.
3.427% (3 Month LIBOR + 1.735%), due 2/15/67 (a)(b)
   1,295,000    731,675 
           1,490,914 
  Oil & Gas 0.6%          
  BP Capital Markets America, Inc.
3.00%, due 2/24/50
   345,000    320,476 
  Gazprom PJSC Via Gaz Capital S.A.
7.288%, due 8/16/37 (Luxembourg) (a)
   640,000    816,602 
  Marathon Petroleum Corp.
5.125%, due 12/15/26
   450,000    445,513 
  Valero Energy Corp.          
  3.65%, due 3/15/25   1,000,000    970,134 
  6.625%, due 6/15/37   415,000    435,113 
  WPX Energy, Inc.
4.50%, due 1/15/30
   465,000    252,495 
           3,240,333 
  Packaging & Containers 0.2%          
  Berry Global, Inc.
4.875%, due 7/15/26 (a)
   84,000    84,840 
  Reynolds Group Issuer, Inc. / Reynolds Group Issuer LLC
5.125%, due 7/15/23 (New Zealand) (a)
   1,060,000    1,049,400 
           1,134,240 
  Pharmaceuticals 0.8%          
  AbbVie, Inc.
4.05%, due 11/21/39 (a)
   1,125,000    1,157,185 
  Allergan Funding SCS
3.45%, due 3/15/22
   1,005,000    1,043,530 
  Bausch Health Cos., Inc.
5.75%, due 8/15/27 (a)
   465,000    478,764 
  Bristol-Myers Squibb Co.
3.625%, due 5/15/24 (a)
   1,400,000    1,479,329 
           4,158,808 
  Pipelines 0.6%          
  Enterprise Products Operating LLC          
  3.125%, due 7/31/29   630,000    579,489 
  3.95%, due 1/31/60   595,000    499,987 
  4.20%, due 1/31/50   160,000    152,650 
  Southern Natural Gas Co. LLC
4.80%, due 3/15/47 (a)
   315,000    287,457 
  Spectra Energy Partners, L.P.
4.75%, due 3/15/24
   795,000    763,806 
  Transcontinental Gas Pipe Line Co. LLC
4.60%, due 3/15/48
   840,000    832,630 
  Western Midstream Operating L.P.
5.25%, due 2/1/50
   350,000    145,030 
           3,261,049 
  Real Estate Investment Trusts 1.3%          
  Alexandria Real Estate Equities, Inc.
3.375%, due 8/15/31
   825,000    802,705 
  American Tower Corp.
3.375%, due 10/15/26
   1,080,000    1,070,007 
  Crown Castle International Corp.          
  3.40%, due 2/15/21   920,000    926,189 
  5.25%, due 1/15/23   1,290,000    1,344,914 
  Digital Realty Trust, L.P.          
  2.75%, due 2/1/23   45,000    44,745 
  3.70%, due 8/15/27   1,295,000    1,285,725 
  Equinix, Inc.
2.625%, due 11/18/24
   740,000    705,782 
  GLP Capital, L.P. / GLP Financing II, Inc.
3.35%, due 9/1/24
   505,000    446,925 
  Kilroy Realty, L.P.
3.45%, due 12/15/24
   720,000    706,505 
           7,333,497 
  Retail 1.1%          
  Alimentation Couche-Tard, Inc.
3.55%, due 7/26/27 (Canada) (a)
   1,035,000    1,012,360 
  CVS Health Corp.          
  4.00%, due 12/5/23   1,355,000    1,428,179 
  4.78%, due 3/25/38   400,000    442,296 
  CVS Pass-Through Trust
5.789%, due 1/10/26 (a)
   28,573    31,663 
  McDonald's Corp.
3.35%, due 4/1/23
   1,085,000    1,120,912 
  O'Reilly Automotive, Inc.
3.55%, due 3/15/26
   1,000,000    1,010,031 
  Starbucks Corp.          
  3.35%, due 3/12/50   375,000    353,444 
  4.45%, due 8/15/49   475,000    544,973 
           5,943,858 
  Semiconductors 0.4%          
  Broadcom, Inc.
3.125%, due 10/15/22 (a)
   945,000    935,962 
  Intel Corp.
4.75%, due 3/25/50
   515,000    691,554 
  NXP B.V. / NXP Funding LLC
4.625%, due 6/15/22 (Netherlands) (a)
   590,000    610,423 
           2,237,939 
  Software 0.3%          
  Fiserv, Inc.          
  2.75%, due 7/1/24   325,000    326,236 
  3.20%, due 7/1/26   205,000    211,738 
  salesforce.com, Inc.          
  3.25%, due 4/11/23   510,000    530,090 
  3.70%, due 4/11/28   690,000    763,863 
           1,831,927 
  Telecommunications 1.7%          
  AT&T, Inc.          
  2.875% (EUAM DB05 + 3.14%), due 3/2/25 (b)(d)  EUR 800,000    789,535 
  4.35%, due 3/1/29  $320,000    345,246 
  4.90%, due 8/15/37   670,000    746,470 
  CommScope Technologies LLC
6.00%, due 6/15/25 (a)
   475,000    434,720 
  CommScope, Inc.
5.00%, due 6/15/21 (a)
   76,000    75,240 
  Crown Castle Towers LLC
4.241%, due 7/15/48 (a)
   990,000    1,000,922 
  Level 3 Financing, Inc.
3.40%, due 3/1/27 (a)
   1,050,000    999,443 
  Sprint Communications, Inc.
6.00%, due 11/15/22
   530,000    549,875 
  Sprint Spectrum Co. LLC / Sprint Spectrum Co. II LLC / Sprint Spectrum Co. III LLC
4.738%, due 9/20/29 (a)
   1,545,000    1,575,900 
  Telefonica Emisiones SAU (Spain)          
  5.134%, due 4/27/20   800,000    800,056 
  5.462%, due 2/16/21   175,000    177,437 
  Verizon Communications, Inc.
2.792% (3 Month LIBOR + 1.10%), due 5/15/25 (b)
   985,000    897,851 
  Vodafone Group PLC
4.25%, due 9/17/50
   685,000    704,071 
           9,096,766 
  Toys, Games & Hobbies 0.1%          
  Hasbro, Inc.
2.60%, due 11/19/22
   500,000    493,397 
             
  Transportation 0.1%          
  XPO Logistics, Inc.
6.50%, due 6/15/22 (a)
   277,000    277,693 
             
  Total Corporate Bonds
(Cost $172,974,758)
        169,113,851 
             
  Foreign Bonds 0.1%          
  Banks 0.1%          
  Barclays Bank PLC
Series Reg S
10.00%, due 5/21/21 (United Kingdom)
  GBP 525,000    690,942 
             
  Total Foreign Bonds
(Cost $838,061)
        690,942 
             
  Foreign Government Bonds 0.6%          
  Brazil 0.2%          
  Brazilian Government International Bond
4.625%, due 1/13/28 (Brazil)
  $1,161,000    1,236,465 
             
  Mexico 0.4%          
  Mexico Government International Bond
3.25%, due 4/16/30 (Mexico)
   2,031,000    1,909,140 
             
  Total Foreign Government Bonds
(Cost $3,242,713)
        3,145,605 
             
  Loan Assignments 1.1% (b)          
  Buildings & Real Estate 0.2%          
  Realogy Group LLC
2018 Term Loan B
3.831% (1 Month LIBOR + 2.25%), due 2/8/25
   1,245,164    1,058,390 
             
  Containers, Packaging & Glass 0.2%          
  BWAY Holding Co.
2017 Term Loan B
5.084% (3 Month LIBOR + 3.25%), due 4/3/24
   1,273,453    1,034,680 
             
  Ecological 0.3%          
  Advanced Disposal Services, Inc.
Term Loan B3
2.894% (1 Week LIBOR + 2.25%), due 11/10/23
   1,623,685    1,607,448 
             
  Finance 0.2%          
  Alliant Holdings Intermediate, LLC
2018 Term Loan B
3.989% (1 Month LIBOR + 3.00%), due 5/9/25
   1,268,544    1,162,832 
             
  Personal & Nondurable Consumer Products (Manufacturing Only) 0.1%          
  Prestige Brands, Inc.
Term Loan B4
2.989% (1 Month LIBOR + 2.00%), due 1/26/24
   514,312    476,596 
             
  Telecommunications 0.1%          
  Level 3 Financing, Inc.
2019 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 3/1/27
   718,508    668,213 
             
  Total Loan Assignments
(Cost $6,531,976)
        6,008,159 
             
  Mortgage-Backed Securities 8.6%          
  Agency (Collateralized Mortgage Obligations) 5.2%          
  Federal Home Loan Mortgage Corporation          
  REMIC Series 4691, Class HA
2.50%, due 6/15/40
   823,026    859,251 
  REMIC, Series 4911, Class MB
3.00%, due 9/25/49
   610,000    646,203 
  REMIC, Series 4926, Class BP
3.00%, due 10/25/49
   1,910,000    2,018,023 
  REMIC Series 4818, Class BD
3.50%, due 3/15/45
   857,165    897,563 
  REMIC Series 4888, Class BA
3.50%, due 9/15/48
   606,455    631,457 
  REMIC Series 4877, Class AT
3.50%, due 11/15/48
   813,488    884,900 
  REMIC Series 4877, Class BE
3.50%, due 11/15/48
   1,277,986    1,344,774 
  Federal Home Loan Mortgage Corporation (Collateralized Mortgage Obligations)
REMIC, Series 4958, Class DL
4.00%, due 1/25/50
   1,775,000    1,959,115 
  Federal National Mortgage Association          
  REMIC Series 2013-77, Class CY
3.00%, due 7/25/43
   746,000    810,173 
  Series 2019-25, Class PA
3.00%, due 5/25/48
   729,829    776,626 
  Series 2019-13, Class PE
3.00%, due 3/25/49
   926,535    979,824 
  REMIC Series 2019-13, Class CA
3.50%, due 4/25/49
   1,277,010    1,409,681 
  REMIC, Series 2019-74, Class BA
3.50%, due 12/25/59
   1,326,312    1,466,200 
  Federal National Mortgage Association (Collateralized Mortgage Obligations)
REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   1,186,278    1,293,491 
  Government National Mortgage Association          
  Series 2017-123, Class AB
2.50%, due 1/20/47
   705,384    733,965 
  Series 2014-91, Class MA
3.00%, due 1/16/40
   769,875    817,426 
  Series 2018-127, Class PB
3.00%, due 9/20/47
   1,915,453    2,013,567 
  REMIC Series 2019-29, Class AP
3.00%, due 10/20/48
   1,273,662    1,337,446 
  Series 2019-29, Class CB
3.00%, due 10/20/48
   775,253    819,229 
  Series 2019-52, Class JL
3.00%, due 11/20/48
   755,037    795,594 
  Series 2019-59, Class KA
3.00%, due 12/20/48
   1,299,617    1,394,914 
  Series 2019-43, Class PL
3.00%, due 4/20/49
   1,609,435    1,713,127 
  Series 2019-74, Class AT
3.00%, due 6/20/49
   30,744    32,919 
  Series 2013-149, Class BA
3.25%, due 8/16/41
   2,309,688    2,475,892 
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   643,465    666,106 
           28,777,466 
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.1%           
  Bank          
  Series 2019-BN21, Class A5
2.851%, due 10/17/52
   1,200,000    1,234,439 
  Series 2019-BN19, Class A2
2.926%, due 8/15/61
   1,205,000    1,248,719 
  Bayview Commercial Asset Trust
Series 2006-4A, Class A1
1.177% (1 Month LIBOR + 0.23%), due 12/25/36 (a)(b)
   45,738    37,647 
  Benchmark Mortgage Trust          
  Series 2019-B14, Class A5
3.049%, due 12/15/62
   975,000    1,019,271 
  Series 2019-B12, Class A5
3.116%, due 8/15/52
   1,119,000    1,170,664 
  BX Commercial Mortgage Trust (a)          
  Series 2019-0C11, Class B
3.605%, due 12/9/41
   350,000    302,708 
  Series 2019-0C11, Class C
3.856%, due 12/9/41
   980,000    809,795 
  CSAIL Commercial Mortgage Trust
Series 2015-C3, Class A4
3.718%, due 8/15/48
   415,000    434,568 
  Four Times Square Trust
Series 2006-4TS, Class A
5.401%, due 12/13/28 (a)
   442,138    437,846 
  FREMF Mortgage Trust (a)(g)          
  Series 2013-K33, Class B
3.499%, due 8/25/46
   1,094,000    1,100,469 
  Series 2014-K41, Class B
3.833%, due 11/25/47
   330,000    334,142 
  Series 2013-K35, Class B
3.939%, due 12/25/46
   820,000    836,716 
  GS Mortgage Securities Trust          
  Series 2019-GC42, Class A4
3.001%, due 9/1/52
   475,000    492,723 
  Series 2019-GC40, Class A4
3.16%, due 7/10/52
   788,000    827,436 
  Hawaii Hotel Trust
Series 2019-MAUI, Class A
1.855% (1 Month LIBOR + 1.15%), due 5/15/38 (a)(b)
   640,000    523,829 
  Hudson Yards Mortgage Trust
Series 2019-30HY, Class A
3.228%, due 7/10/39 (a)
   760,000    802,523 
  JP Morgan Chase Commercial Mortgage Securities Trust
Series 2013-C16, Class A4
4.166%, due 12/15/46
   880,000    933,606 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series-2015-C23, Class A3
3.451%, due 7/15/50
   485,000    507,238 
  One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (a)
   1,545,000    1,539,622 
  Wells Fargo Commercial Mortgage Trust (a)(g)          
  Series 2018-1745, Class A
3.749%, due 6/15/36
   940,000    927,494 
  Series 2018-AUS, Class A
4.058%, due 8/17/36
   1,200,000    1,230,369 
           16,751,824 
  Whole Loan (Collateralized Mortgage Obligations) 0.3%          
  Chase Home Lending Mortgage Trust (a)(h)          
  Series 2019-ATR2, Class A3
3.50%, due 7/25/49
   176,756    179,014 
  Series 2019-ATR1, Class A4
4.00%, due 4/25/49
   459,818    459,820 
  JP Morgan Mortgage Trust (a)(h)          
  Series 2019-2, Class A4
4.00%, due 8/25/49
   218,995    216,604 
  Series 2019-3, Class A3
4.00%, due 9/25/49
   329,332    334,317 
  Series 2019-5, Class A4
4.00%, due 11/25/49
   250,298    250,463 
           1,440,218 
  Total Mortgage-Backed Securities
(Cost $46,056,977)
        46,969,508 
             
  Municipal Bonds 0.2%          
  California 0.2%          
  Regents of the University of California Medical Center Pooled Revenue, Revenue Bonds
Series N
3.006%, due 5/15/50
   1,115,000    1,017,716 
             
  New York 0.0% ‡          
  New York State Thruway Authority, Revenue Bonds
Series M
2.90%, due 1/1/35
   175,000    173,268 
             
  Total Municipal Bonds
(Cost $1,290,000)
        1,190,984 
             
  U.S. Government & Federal Agencies 10.5%          
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 1.6%          
  2.50%, due 1/1/40   351,074    365,235 
  3.50%, due 1/1/48   4,115,171    4,365,412 
  4.00%, due 2/1/49   601,706    647,886 
  5.00%, due 12/1/44   1,383,472    1,535,678 
  5.00%, due 12/1/48   1,673,210    1,804,638 
           8,718,849 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 2.3%          
  2.50%, due 2/1/40   352,216    365,509 
  3.00%, due 3/1/50   1,430,000    1,508,460 
  3.50%, due 3/1/37   1,862,674    2,023,292 
  3.50%, due 2/1/42   1,487,155    1,609,750 
  4.00%, due 5/1/48   1,583,752    1,693,165 
  4.00%, due 9/1/48   2,408,107    2,588,548 
  4.00%, due 1/1/49   580,936    627,307 
  4.00%, due 2/1/49   455,850    490,569 
  5.00%, due 9/1/33   1,709,952    1,892,963 
  6.00%, due 4/1/37   9,358    10,564 
           12,810,127 
  United States Treasury Bonds 1.3%          
  4.375%, due 11/15/39   3,457,000    5,476,374 
  4.375%, due 5/15/40   705,000    1,121,143 
  4.50%, due 5/15/38   485,000    768,138 
           7,365,655 
  United States Treasury Notes 4.5%          
  1.375%, due 1/31/22   13,740,000    14,031,975 
  1.375%, due 1/31/25   7,440,000    7,794,272 
  1.50%, due 1/31/27   1,795,000    1,909,571 
  1.50%, due 2/15/30 (f)   1,055,000    1,135,897 
           24,871,715 
  United States Treasury Inflation - Indexed Note 0.8% (i)          
  0.875%, due 1/15/29   3,805,199    4,133,335 
             
  Total U.S. Government & Federal Agencies
(Cost $54,532,489)
        57,899,681 
             
  Total Long-Term Bonds
(Cost $298,668,273)
        297,676,090 

 

     Shares     
  Common Stocks 37.1%
  Aerospace & Defense 0.9%          
  BAE Systems PLC (United Kingdom)   498,959    3,219,608 
  Lockheed Martin Corp.   5,266    1,784,911 
           5,004,519 
  Air Freight & Logistics 0.6%          
  Deutsche Post A.G., Registered (Germany)   64,644    1,783,558 
  United Parcel Service, Inc., Class B   13,219    1,234,919 
           3,018,477 
  Auto Components 0.3%          
  Cie Generale des Etablissements Michelin SCA (France)   19,804    1,762,662 
             
  Banks 1.4%          
  Commonwealth Bank of Australia (Australia)   27,263    1,029,789 
  Lloyds Banking Group PLC (United Kingdom)   1,922,228    758,018 
  People's United Financial, Inc.   120,335    1,329,702 
  PNC Financial Services Group, Inc.   9,491    908,478 
  Royal Bank of Canada (Canada)   26,863    1,663,929 
  Truist Financial Corp.   42,032    1,296,267 
  Wells Fargo & Co.   33,134    950,946 
           7,937,129 
  Beverages 0.8%          
  Coca-Cola Co.   34,744    1,537,422 
  Coca-Cola European Partners PLC (United Kingdom)   34,619    1,299,251 
  PepsiCo., Inc.   14,914    1,791,172 
           4,627,845 
  Biotechnology 0.9%          
  AbbVie, Inc.   38,219    2,911,906 
  Amgen, Inc.   9,321    1,889,646 
           4,801,552 
  Capital Markets 1.0%          
  BlackRock, Inc.   3,140    1,381,506 
  CME Group, Inc.   6,553    1,133,079 
  Lazard, Ltd., Class A   45,336    1,068,116 
  Macquarie Group, Ltd. (Australia)   15,175    826,172 
  Singapore Exchange, Ltd. (Singapore)   200,600    1,291,642 
           5,700,515 
  Chemicals 1.2%          
  BASF S.E. (Germany)   41,123    1,987,620 
  Dow, Inc. (j)   47,541    1,390,099 
  LyondellBasell Industries N.V., Class A   27,880    1,383,684 
  Nutrien, Ltd. (f)   54,659    1,855,126 
           6,616,529 
  Commercial Services & Supplies 0.0% ‡          
  Quad/Graphics, Inc.   6    15 
             
  Communications Equipment 0.5%          
  Cisco Systems, Inc.   62,794    2,468,432 
             
  Construction & Engineering 0.2%          
  Vinci S.A. (France)   15,089    1,248,540 
             
  Diversified Telecommunication Services 2.5%          
  AT&T, Inc.   104,813    3,055,299 
  BCE, Inc. (Canada)   70,337    2,885,351 
  Deutsche Telekom A.G., Registered (Germany)   86,538    1,145,810 
  TELUS Corp. (Canada)   133,774    2,115,023 
  Verizon Communications, Inc.   88,908    4,777,027 
           13,978,510 
  Electric Utilities 3.2%          
  American Electric Power Co., Inc.   26,970    2,157,061 
  Duke Energy Corp.   46,693    3,776,530 
  Entergy Corp.   26,162    2,458,443 
  FirstEnergy Corp.   69,763    2,795,403 
  Fortis, Inc. (Canada)   47,018    1,813,165 
  PPL Corp.   87,285    2,154,194 
  Terna Rete Elettrica Nazionale S.p.A. (Italy)   380,407    2,410,647 
           17,565,443 
  Electrical Equipment 0.7%          
  Eaton Corp. PLC   26,524    2,060,649 
  Emerson Electric Co.   31,609    1,506,169 
           3,566,818 
  Equity Real Estate Investment Trusts 0.7%          
  Iron Mountain, Inc.   88,387    2,103,611 
  Welltower, Inc.   39,405    1,803,961 
           3,907,572 
  Food Products 1.1%          
  Danone S.A. (France)   27,117    1,748,901 
  Nestle S.A., Registered (Switzerland)   23,557    2,427,978 
  Orkla ASA (Norway)   207,136    1,772,553 
           5,949,432 
  Gas Utilities 0.6%          
  Snam S.p.A. (Italy)   763,387    3,525,803 
             
  Health Care Providers & Services 0.3%          
  UnitedHealth Group, Inc.   5,677    1,415,730 
             
  Hotels, Restaurants & Leisure 0.5%          
  Las Vegas Sands Corp.   42,154    1,790,281 
  McDonald's Corp.   6,101    1,008,800 
           2,799,081 
  Household Durables 0.2%          
  Leggett & Platt, Inc.   33,643    897,595 
             
  Household Products 0.7%          
  Kimberly-Clark Corp.   17,855    2,283,119 
  Procter & Gamble Co.   15,338    1,687,180 
           3,970,299 
  Industrial Conglomerates 0.2%          
  Siemens A.G., Registered (Germany)   15,603    1,342,924 
             
  Insurance 2.6%          
  Allianz S.E., Registered (Germany)   18,175    3,133,033 
  Assicurazioni Generali S.p.A. (Italy)   112,741    1,535,864 
  AXA S.A. (France)   161,133    2,790,326 
  MetLife, Inc.   55,506    1,696,818 
  Muenchener Rueckversicherungs-Gesellschaft A.G., Registered (Germany)   11,660    2,357,002 
  SCOR S.E. (France)   50,003    1,101,743 
  Tokio Marine Holdings, Inc. (Japan)   33,900    1,554,740 
           14,169,526 
  IT Services 0.5%          
  International Business Machines Corp.   25,281    2,804,421 
             
  Media 0.2%          
  Comcast Corp., Class A   34,999    1,203,266 
  ION Media Networks, Inc. (j)(k)(l)(m)(n)   8    3,173 
           1,206,439 
  Multi-Utilities 2.3%          
  Ameren Corp.   19,152    1,394,840 
  CenterPoint Energy, Inc.   135,068    2,086,801 
  Dominion Energy, Inc.   53,812    3,884,688 
  National Grid PLC (United Kingdom)   306,761    3,595,391 
  WEC Energy Group, Inc.   16,016    1,411,490 
           12,373,210 
  Multiline Retail 0.3%          
  Target Corp.   16,524    1,536,236 
             
  Oil, Gas & Consumable Fuels 1.8%          
  Chevron Corp.   14,914    1,080,668 
  Enterprise Products Partners, L.P.   121,945    1,743,814 
  Exxon Mobil Corp.   27,541    1,045,732 
  Magellan Midstream Partners, L.P.   41,015    1,496,637 
  Pembina Pipeline Corp. (Canada)   54,829    1,028,555 
  Phillips 66   22,880    1,227,512 
  TOTAL S.A. (France)   61,643    2,390,483 
           10,013,401 
  Personal Products 0.6%          
  Unilever PLC (United Kingdom)   61,416    3,100,498 
             
  Pharmaceuticals 4.9%          
  AstraZeneca PLC, Sponsored ADR (United Kingdom)   46,524    2,077,762 
  GlaxoSmithKline PLC (United Kingdom)   138,376    2,595,567 
  Johnson & Johnson   20,093    2,634,795 
  Merck & Co., Inc.   40,592    3,123,149 
  Novartis A.G., Registered (Switzerland)   36,608    3,025,470 
  Novo Nordisk A/S, Class B (Denmark)   30,174    1,820,139 
  Pfizer, Inc.   109,234    3,565,398 
  Roche Holding A.G. (Switzerland)   5,915    1,923,049 
  Sanofi (France)   33,271    2,929,204 
  Takeda Pharmaceutical Co., Ltd. (Japan)   111,600    3,415,249 
           27,109,782 
  Semiconductors & Semiconductor Equipment 1.6%          
  Broadcom, Inc.   5,254    1,245,724 
  Intel Corp.   35,253    1,907,892 
  KLA Corp.   12,353    1,775,620 
  Taiwan Semiconductor Manufacturing Co., Ltd., Sponsored ADR (Taiwan)   31,185    1,490,331 
  Texas Instruments, Inc.   22,880    2,286,399 
           8,705,966 
  Software 0.8%          
  Microsoft Corp.   26,148    4,123,801 
             
  Specialty Retail 0.2%          
  Home Depot, Inc.   6,271    1,170,858 
             
  Technology Hardware, Storage & Peripherals 0.4%          
  Samsung Electronics Co., Ltd., GDR (Republic of Korea) (a)   2,097    2,082,321 
             
  Textiles, Apparel & Luxury Goods 0.1%          
  Hanesbrands, Inc.   98,302    773,637 
             
  Tobacco 1.7%          
  Altria Group, Inc.   74,913    2,896,886 
  British American Tobacco PLC (United Kingdom)   70,474    2,406,572 
  British American Tobacco PLC, Sponsored ADR (United Kingdom)   24,999    854,716 
  Philip Morris International, Inc.   43,134    3,147,056 
           9,305,230 
  Trading Companies & Distributors 0.3%          
  Watsco, Inc.   9,745    1,540,002 
             
  Wireless Telecommunication Services 0.3%          
  Rogers Communications, Inc., Class B (Canada)   33,219    1,386,545 
             
  Total Common Stocks
(Cost $227,737,138)
        203,507,295 
             
  Short-Term Investments 4.2%          
  Affiliated Investment Company 3.6%          
  MainStay U.S. Government Liquidity Fund, 0.09% (o)   20,011,489    20,011,489 
             
  Unaffiliated Investment Company 0.6%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (o)(p)   3,378,830    3,378,830 
             
  Total Short-Term Investments
(Cost $23,390,319)
        23,390,319 
  Total Investments
(Cost $549,795,730)
   95.5%   524,573,704 
  Other Assets, Less Liabilities   4.5    24,808,121 
  Net Assets   100.0%  $549,381,825 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(d) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(e) Step coupon - Rate shown was the rate in effect as of March 31, 2020.
(f) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $3,360,606. The Portfolio received cash collateral with a value of $3,378,830.  
(g) Collateral strip rate - A bond whose interest was based on the weighted net interest rate of the collateral. The coupon rate adjusts periodically based on a predetermined schedule. Rate shown was the rate in effect as of March 31, 2020.
(h) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(i) Treasury Inflation Protected Security - Pays a fixed rate of interest on a principal amount that is continuously adjusted for inflation based on the Consumer Price Index-Urban Consumers.
(j) Non-income producing security.
(k) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(l) Illiquid security - As of March 31, 2020, the total market value of the security deemed illiquid under procedures approved by the Board of Trustees was $3,173, which represented less than one-tenth of a percent of the Portfolio's net assets.
(m) Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of March 31, 2020, the total market value of fair valued security was $3,173, which represented less than one-tenth of a percent of the Portfolio's net assets.
(n) Restricted security.
(o) Current yield as of March 31, 2020.
(p) Represents a security purchased with cash collateral received for securities on loan.

 

Foreign Currency Forward Contracts
As of March 31, 2020, the Portfolio held the following foreign currency forward contracts1:

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation)
 
JPY  2,059,000,000   USD  18,971,888   JPMorgan Chase Bank N.A.  5/7/20  $208,310 
USD  6,975,597   CAD  9,193,000   JPMorgan Chase Bank N.A.  5/4/20   440,647 
USD  26,096,907   EUR  23,573,000   JPMorgan Chase Bank N.A.  5/4/20   66,201 
USD  17,526,849   GBP  13,443,000   JPMorgan Chase Bank N.A.  5/4/20   817,600 
Total unrealized appreciation                1,532,758 
EUR  16,421,000   USD  18,488,568   JPMorgan Chase Bank N.A.  5/4/20   (355,524)
Total unrealized depreciation                (355,524)
Net unrealized appreciation               $1,177,234 

 

 

1. Foreign Currency Forward Contracts are subject to limitations such that they cannot be “sold or repurchased,” although the Portfolio would be able to exit the transaction through other means, such as through the execution of an offsetting transaction.

 

Futures Contracts

 

As of March 31, 2020, the Portfolio held the following futures contracts1:

 

Type  Number of
Contracts
   Expiration
Date
  Value at
Trade Date
   Current
Notional
Amount
   Unrealized
Appreciation
(Depreciation)2
 
Long Contracts                      
10-Year United States Treasury Note  72   June 2020  $9,943,624   $9,985,500   $41,876 
2-Year United States Treasury Note  164   June 2020   35,718,442    36,142,781    424,339 
Nikkei 225  210   June 2020   18,242,038    18,207,161    (34,877)
S&P 500 Index Mini  415   June 2020   55,583,419    53,321,275    (2,262,144)
United States Treasury Long Bond  10   June 2020   1,746,211    1,790,625    44,414 
United States Treasury Ultra Bond  130   June 2020   26,007,797    28,843,750    2,835,953 
Total Long Contracts                    1,049,561 
                       
Short Contracts                      
10-Year United States Treasury Ultra Note  (37)   June 2020   (5,405,664)   (5,773,156)   (367,492)
5-Year United States Treasury Note  (118)   June 2020   (14,664,549)   (14,792,406)   (127,857)
Total Short Contracts                    (495,349)
Net Unrealized Appreciation                   $554,212 

 

1. As of March 31, 2020, cash in the amount of $8,422,154 was on deposit with a broker or futures commission merchant for futures transactions.
2. Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

  

The following abbreviations are used in the preceding pages:   

ADR —American Depositary Receipt
CAD —Canadian Dollar
EUAM —European Union Advisory Mission
EUR —Euro
GBP —British Pound Sterling
GDR —Global Depositary Receipt
JPY —Japanese Yen
LIBOR —London Interbank Offered Rate
REMIC —Real Estate Mortgage Investment Conduit
USD —United States Dollar

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets and liabilities:

 

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1) 

  

Significant
Other
Observable
Inputs

(Level 2) 

  

Significant
Unobservable
Inputs

(Level 3)

   Total 
                 
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $   $10,394,650   $   $10,394,650 
Convertible Bonds       2,262,710        2,262,710 
Corporate Bonds       169,113,851        169,113,851 
Foreign Bonds       690,942        690,942 
Foreign Government Bonds       3,145,605        3,145,605 
Loan Assignments       6,008,159        6,008,159 
Mortgage-Backed Securities       46,969,508        46,969,508 
Municipal Bonds       1,190,984        1,190,984 
U.S. Government & Federal Agencies       57,899,681        57,899,681 
Total Long-Term Bonds       297,676,090        297,676,090 
Common Stocks (b)                    
Aerospace & Defense       3,219,608        3,219,608 
Air Freight & Logistics       1,783,558        1,783,558 
Auto Components       1,762,662        1,762,662 
Banks       1,787,807        1,787,807 
Beverages       1,299,251        1,299,251 
Capital Markets       2,117,814        2,117,814 
Chemicals       1,987,620        1,987,620 
Construction & Engineering       1,248,540        1,248,540 
Diversified Telecommunication Services       1,145,810        1,145,810 
Electric Utilities       2,410,647        2,410,647 
Food Products       5,949,432        5,949,432 
Gas Utilities       3,525,803        3,525,803 
Industrial Conglomerates       1,342,924        1,342,924 
Insurance       12,472,708        12,472,708 
Multi-Utilities       3,595,391        3,595,391 
Oil, Gas & Consumable Fuels       2,390,483        2,390,483 
Personal Products       3,100,498        3,100,498 
Pharmaceuticals       15,708,678        15,708,678 
Tobacco       2,406,572        2,406,572 
All Other Industries   134,248,316        3,173    134,251,489 
Total Common Stocks   134,248,316    69,255,806    3,173    203,507,295 
Short-Term Investments                    
Affiliated Investment Company   20,011,489            20,011,489 
Unaffiliated Investment Company   3,378,830            3,378,830 
Total Short-Term Investments   23,390,319            23,390,319 
Total Investments in Securities   157,638,635    366,931,896    3,173    524,573,704 
Other Financial Instruments                    
Foreign Currency Forward Contracts (c)       1,532,758        1,532,758 
Futures Contracts (c)   3,346,582            3,346,582 
Total Other Financial Instruments   3,346,582    1,532,758        4,879,340 
Total Investments in Securities and Other Financial Instruments  $160,985,217   $368,464,654   $3,173   $529,453,044 
                     
Liability Valuation Inputs                    
                     
Other Financial Instruments                    
Foreign Currency Forward Contracts (c)  $   $(355,524)  $   $(355,524)
Futures Contracts (c)   (2,792,370)           (2,792,370)
Total Other Financial Instruments  $(2,792,370)  $(355,524)  $   $(3,147,894)

 

(a)

For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)

The Level 3 security valued at $3,173 is held in Media within the Common Stocks section of the Portfolio of Investments.

 

(c) The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.  

  

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value:

 

Investments in Securities  Balance as of
December 31,
2019
   Accrued
Discounts
(Premiums)
   Realized Gain
(Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Purchases   Sales   Transfers in to
Level 3
   Transfers out of
Level 3
   Balance as of
March 31, 2020
     Change in
Unrealized Appreciation (Depreciation)
from Investments Still
Held at March 31, 2020
 
Common Stocks   $3,173   $-   $-   $-   $-   $-   $-   $-   $3,173   $ -  
Total   $3,173   $-   $-   $-   $-   $-   $-   $-   $3,173   $ -  

 

 

 

 

MainStay VP Floating Rate Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

     Principal
Amount
   Value 
  Long-Term Bonds 90.6% †          
  Corporate Bonds 3.8%          
  Auto Parts & Equipment 0.1%          
  Cooper-Standard Automotive, Inc.
5.625%, due 11/15/26 (a)
  $400,000   $292,000 
             
  Chemicals 0.3%          
  Alpha 3 B.V. / Alpha U.S. Bidco, Inc.
6.25%, due 2/1/25 (a)
   400,000    368,500 
  Element Solutions, Inc.
5.875%, due 12/1/25 (a)
   1,200,000    1,176,000 
  Starfruit Finco B.V. / Starfruit U.S. Holdco LLC
8.00%, due 10/1/26 (a)
   500,000    474,575 
           2,019,075 
  Commercial Services 0.4%          
  Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   850,000    790,500 
  Prime Security Services Borrower LLC / Prime Finance, Inc.
6.25%, due 1/15/28 (a)
   1,750,000    1,509,375 
  Refinitiv U.S. Holdings, Inc.
8.25%, due 11/15/26 (a)
   500,000    527,500 
           2,827,375 
  Distribution & Wholesale 0.1%          
  IAA, Inc.
5.50%, due 6/15/27 (a)
   500,000    483,750 
  KAR Auction Services, Inc.
5.125%, due 6/1/25 (a)
   350,000    334,250 
           818,000 
  Electric 0.9%          
  Clearway Energy Operating LLC
5.75%, due 10/15/25
   1,630,000    1,613,700 
  NRG Energy, Inc.
7.25%, due 5/15/26
   1,300,000    1,361,750 
  Vistra Energy Corp.
8.125%, due 1/30/26 (a)
   1,250,000    1,298,125 
  Vistra Operations Co. LLC
5.00%, due 7/31/27 (a)
   1,500,000    1,522,500 
           5,796,075 
  Entertainment 0.1%          
  Scientific Games International, Inc.
7.00%, due 5/15/28 (a)
   900,000    553,500 
             
  Environmental Controls 0.2%          
  Advanced Disposal Services, Inc.
5.625%, due 11/15/24 (a)
   800,000    810,000 
  GFL Environmental, Inc.
8.50%, due 5/1/27 (a)
   228,000    229,072 
           1,039,072 
  Food 0.1%          
  Albertsons Cos., Inc. / Safeway, Inc. / New Albertsons, L.P. / Albertsons LLC
4.875%, due 2/15/30 (a)
   300,000    299,250 
  Post Holdings, Inc.
5.50%, due 12/15/29 (a)
   240,000    248,952 
           548,202 
  Household Products & Wares 0.1%          
  Prestige Brands, Inc.
6.375%, due 3/1/24 (a)
   300,000    307,500 
             
  Housewares 0.0% ‡          
  Scotts Miracle-Gro Co.
5.25%, due 12/15/26
   200,000    190,000 
             
  Lodging 0.1%          
  Boyd Gaming Corp.
4.75%, due 12/1/27 (a)
   400,000    330,000 
             
  Machinery - Diversified 0.0% ‡          
  RBS Global, Inc. / Rexnord LLC
4.875%, due 12/15/25 (a)
   300,000    280,500 
             
  Media 0.0% ‡          
  iHeartCommunications, Inc.          
  6.375%, due 5/1/26   105,206    99,552 
  8.375%, due 5/1/27   190,685    166,014 
           265,566 
  Miscellaneous - Manufacturing 0.1%          
  Koppers, Inc.
6.00%, due 2/15/25 (a)
   500,000    400,000 
             
  Oil & Gas 0.0% ‡          
  EP Energy LLC / Everest Acquisition Finance, Inc.
8.00%, due 2/15/25 (a)(b)(c)
   200,000    300 
             
  Oil & Gas Services 0.0% ‡          
  USA Compression Partners, L.P. / USA Compression Finance Corp.
6.875%, due 4/1/26
   360,000    225,000 
             
  Packaging & Containers 0.0% ‡          
  Plastipak Holdings, Inc.
6.25%, due 10/15/25 (a)
   220,000    196,900 
             
  Pharmaceuticals 0.2%          
  Bausch Health Cos., Inc.(a)          
  5.50%, due 11/1/25   300,000    303,090 
  6.50%, due 3/15/22   1,000,000    1,010,000 
           1,313,090 
  Pipelines 0.1%          
  Energy Transfer Operating, L.P.
4.25%, due 3/15/23
   600,000    543,300 
             
  Real Estate Investment Trusts 0.0% ‡          
  Ryman Hospitality Properties, Inc.
4.75%, due 10/15/27 (a)
   300,000    225,000 
             
  Telecommunications 1.0%          
  Sprint Corp.
7.25%, due 2/1/28 (a)
   6,000,000    6,030,000 
  Telesat Canada / Telesat LLC
4.875%, due 6/1/27 (a)
   600,000    572,880 
           6,602,880 
             
  Total Corporate Bonds
(Cost $26,113,540)
        24,773,335 
             
  Floating Rate Loans 76.7% (d)          
  Aerospace & Defense 1.0%          
  Dynasty Acquisition Co., Inc.          
  2020 Term Loan B1
4.95% (3 Month LIBOR + 3.50%), due 4/6/26
   1,548,278    1,187,529 
  2020 CAD Term Loan B2
4.95% (3 Month LIBOR + 3.50%), due 4/6/26
   832,407    638,457 
  Science Applications International Corp.
2018 Term Loan B
2.864% (1 Month LIBOR + 1.875%), due 10/31/25
   888,750    825,797 
  TransDigm, Inc.          
  2020 Term Loan E
3.239% (1 Month LIBOR + 2.25%), due 5/30/25
   980,044    904,090 
  2020 Term Loan F
3.239% (1 Month LIBOR + 2.25%), due 12/9/25
   3,133,086    2,890,272 
           6,446,145 
  Automobile 2.1%          
  American Axle and Manufacturing, Inc.
Term Loan B
3.20% (1 Month LIBOR + 2.25%), due 4/6/24
   1,824,728    1,512,243 
  AP Exhaust Acquisition, LLC (e)          
  2019 Term Loan B
6.71% (3 Month LIBOR + 5.00%), due 5/10/24
   303,654    83,505 
  2019 Term Loan B
6.72% (6 Month LIBOR + 5.00%), due 5/10/24
   303,654    83,505 
  Autokiniton US Holdings, Inc.
2018 Term Loan B
7.364% (1 Month LIBOR + 6.375%), due 5/22/25 (e)(f)
   1,775,924    1,420,739 
  Belron Finance U.S. LLC          
  2018 Term Loan B
3.957% (3 Month LIBOR + 2.25%), due 11/13/25
   987,500    928,250 
  Term Loan B
3.992% (3 Month LIBOR + 2.25%), due 11/7/24
   977,500    918,850 
  2019 USD Term Loan B
4.27% (3 Month LIBOR + 2.50%), due 10/30/26
   1,246,875    1,172,062 
  Chassix, Inc.          
  2017 1st Lien Term Loan
7.25% (3 Month LIBOR + 5.50%), due 11/15/23
   712,917    513,300 
  2017 1st Lien Term Loan
7.346% (3 Month LIBOR + 5.50%), due 11/15/23
   753,333    542,400 
  IAA, Inc.
Term Loan B
3.25% (1 Month LIBOR + 2.25%), due 6/28/26
   1,418,750    1,340,719 
  KAR Auction Services, Inc.
2019 Term Loan B6
3.188% (1 Month LIBOR + 2.25%), due 9/19/26
   743,756    684,256 
  Mavis Tire Express Services Corp.
2018 1st Lien Term Loan
4.70% (1 Month LIBOR + 3.25%), due 3/20/25
   1,579,345    1,216,096 
  Truck Hero, Inc.
1st Lien Term Loan
4.739% (1 Month LIBOR + 3.75%), due 4/22/24 (e)
   1,723,099    1,286,581 
  Wand NewCo 3, Inc.
2020 Term Loan
4.072% (6 Month LIBOR + 3.00%), due 2/5/26
   2,183,528    1,965,175 
           13,667,681 
  Banking 1.6%          
  Apollo Commercial Real Estate Finance, Inc.
Term Loan B
3.455% (1 Month LIBOR + 2.75%), due 5/15/26
   1,488,750    1,161,225 
  Broadstreet Partners, Inc.
2020 Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 1/27/27
   2,560,354    2,249,911 
  Brookfield Property REIT, Inc.
1st Lien Term Loan B
3.489% (1 Month LIBOR + 2.50%), due 8/27/25
   3,435,032    2,383,912 
  Edelman Financial Center LLC
2018 1st Lien Term Loan
4.179% (1 Month LIBOR + 3.25%), due 7/21/25
   1,678,750    1,418,544 
  Greenhill & Co., Inc.
Term Loan B
3.862% (1 Month LIBOR + 3.25%), due 4/12/24 (e)(f)
   716,940    623,738 
  Jane Street Group LLC
2020 Term Loan
4.613% (3 Month LIBOR + 3.00%), due 1/31/25
   1,866,264    1,642,312 
  Russell Investments U.S. Inst’l Holdco, Inc.
Term Loan B
3.822% (6 Month LIBOR + 2.75%), due 6/1/23
   867,733    789,637 
           10,269,279 
  Beverage, Food & Tobacco 1.8%          
  8th Avenue Food & Provisions, Inc.
2018 1st Lien Term Loan
4.297% (1 Month LIBOR + 3.50%), due 10/1/25
   1,580,000    1,447,675 
  Advantage Sales & Marketing, Inc.          
  Term Loan B2
4.70% (3 Month LIBOR + 3.25%), due 7/25/21
   972,500    791,372 
  2014 2nd Lien Term Loan
7.95% (3 Month LIBOR + 6.50%), due 7/25/22 (e)
   625,000    452,083 
  American Seafoods Group LLC          
  2017 1st Lien Term Loan
3.77% (1 Month LIBOR + 2.75%), due 8/21/23
   625,650    575,598 
  2017 1st Lien Term Loan
3.81% (3 Month LIBOR + 2.75%), due 8/21/23
   19,862    18,273 
  Arctic Glacier U.S.A., Inc.
2018 Term Loan B
4.95% (1 Month LIBOR + 3.50%), due 3/20/24
   619,218    507,759 
  ASP MSG Acquisition Co., Inc.
2017 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 8/16/23 (e)(f)
   1,588,121    1,079,923 
  CHG PPC Parent LLC
2018 Term Loan B
3.739% (1 Month LIBOR + 2.75%), due 3/31/25
   1,719,375    1,530,244 
  Hearthside Food Solutions LLC
2018 Term Loan B
4.677% (1 Month LIBOR + 3.687%), due 5/23/25
   1,276,019    1,071,856 
  U.S. Foods, Inc.
2019 Term Loan B
3.072% (6 Month LIBOR + 2.00%), due 9/13/26
   1,990,000    1,824,167 
  United Natural Foods, Inc.
Term Loan B
5.239% (1 Month LIBOR + 4.25%), due 10/22/25
   2,970,000    2,518,560 
           11,817,510 
  Biotechnology 0.3%          
  Elanco Animal Health, Inc.
Term Loan B
TBD, due 2/4/27
   2,100,000    1,989,750 
             
  Broadcasting & Entertainment 3.0%          
  Charter Communications Operating, LLC
2019 Term Loan B1
2.74% (1 Month LIBOR + 1.75%), due 4/30/25
   4,887,500    4,661,453 
  Clear Channel Outdoor Holdings, Inc.
Term Loan B
4.489% (1 Month LIBOR + 3.50%), due 8/21/26
   1,741,250    1,554,066 
  Diamond Sports Group LLC
Term Loan
4.18% (1 Month LIBOR + 3.25%), due 8/24/26
   3,980,000    3,064,600 
  Entercom Media Corp.
2019 Term Loan
3.489% (1 Month LIBOR + 2.50%), due 11/18/24
   892,267    789,656 
  Gray Television, Inc.
2018 Term Loan C
4.015% (1 Month LIBOR + 2.50%), due 1/2/26
   2,506,446    2,381,124 
  Nielsen Finance LLC
Term Loan B4
3.005% (1 Month LIBOR + 2.00%), due 10/4/23
   1,207,941    1,113,319 
  Terrier Media Buyer, Inc.
Term Loan B
5.70% (3 Month LIBOR + 4.25%), due 12/17/26
   831,250    708,641 
  Univision Communications, Inc.
Term Loan C5
3.75% (1 Month LIBOR + 2.75%), due 3/15/24
   4,050,910    3,375,757 
  WideOpenWest Finance LLC
2017 Term Loan B
4.25% (1 Month LIBOR + 3.25%), due 8/18/23
   1,935,375    1,736,999 
           19,385,615 
  Buildings & Real Estate 2.8%          
  American Bath Group LLC
2018 Term Loan B
5.25% (1 Month LIBOR + 4.25%), due 9/30/23 (e)(f)
   982,381    825,200 
  Core & Main L.P.          
  2017 Term Loan B
4.33% (1 Month LIBOR + 2.75%), due 8/1/24
   1,561,907    1,354,954 
  2017 Term Loan B
4.33% (3 Month LIBOR + 2.75%), due 8/1/24
   1,008,854    875,181 
  Cushman & Wakefield U.S. Borrower LLC
2020 Term Loan B
3.739% (1 Month LIBOR + 2.75%), due 8/21/25
   2,962,500    2,636,625 
  Hamilton Holdco, LLC
2018 Term Loan B
3.46% (3 Month LIBOR + 2.00%), due 1/2/27
   368,438    342,647 
  Jeld-Wen, Inc.
2017 1st Lien Term Loan
3.45% (3 Month LIBOR + 2.00%), due 12/14/24
   763,672    679,668 
  NCI Building Systems, Inc.
2018 Term Loan
4.561% (1 Month LIBOR + 3.75%), due 4/12/25
   2,555,977    2,198,141 
  Realogy Group LLC
2018 Term Loan B
3.831% (1 Month LIBOR + 2.25%), due 2/8/25
   2,834,652    2,409,454 
  SIWF Holdings, Inc.          
  1st Lien Term Loan
5.322% (6 Month LIBOR + 4.25%), due 6/15/25
   1,272,148    1,068,604 
  2nd Lien Term Loan
9.572% (6 Month LIBOR + 8.50%), due 6/15/26
   120,000    99,000 
  SMG U.S. Midco 2, Inc.
2020 Term Loan
3.429% (3 Month LIBOR + 2.50%), due 1/23/25 (e)(f)
   1,844,128    1,346,213 
  SRS Distribution, Inc.          
  2018 1st Lien Term Loan
4.07% (6 Month LIBOR + 3.00%), due 5/23/25
   2,062,019    1,707,352 
  2018 1st Lien Term Loan
4.072% (1 Month LIBOR + 3.00%), due 5/23/25
   5,247    4,344 
  VC GB Holdings, Inc.
2017 1st Lien Term Loan
4.45% (3 Month LIBOR + 3.00%), due 2/28/24 (e)(f)
   1,185,059    971,749 
  Wilsonart LLC
2017 Term Loan B
4.71% (3 Month LIBOR + 3.25%), due 12/19/23
   2,471,638    1,861,967 
           18,381,099 
  Cargo Transport 0.2%          
  Genesee & Wyoming, Inc.
Term Loan
3.45% (3 Month LIBOR + 2.00%), due 12/30/26
   1,500,000    1,430,625 
             
  Chemicals, Plastics & Rubber 2.5%          
  Allnex USA, Inc.
Term Loan B3
4.863% (3 Month LIBOR + 3.25%), due 9/13/23 (e)
   945,392    642,866 
  Cabot Microelectronics Corp.
2019 Term Loan B1
3.00% (1 Month LIBOR + 2.00%), due 11/17/25
   795,792    759,982 
  Emerald Performance Materials LLC (e)          
  New 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 8/1/21
   1,647,740    1,411,565 
  New 2nd Lien Term Loan
8.75% (1 Month LIBOR + 7.75%), due 8/1/22 (f)
   700,000    560,000 
  Encapsys, LLC
2020 Term Loan B2
4.25% (1 Month LIBOR + 3.25%), due 11/7/24
   1,457,956    1,137,205 
  Flex Acquisition Co., Inc.          
  1st Lien Term Loan
4.58% (1 Month LIBOR + 3.00%), due 12/29/23
   31,645    27,690 
  1st Lien Term Loan
4.91% (3 Month LIBOR + 3.00%), due 12/29/23
   843,089    737,703 
  Flint Group U.S. LLC
1st Lien Term Loan B2
4.801% (3 Month LIBOR + 3.00%), due 9/7/21 (e)
   1,757,063    1,221,159 
  Ineos U.S. Finance LLC
2017  Term Loan B
2.989% (1 Month LIBOR + 2.00%), due 4/1/24
   1,460,063    1,293,616 
  Innophos, Inc.
2020 Term Loan B
4.755% (1 Month LIBOR + 3.75%), due 2/4/27
   1,500,000    1,237,500 
  Minerals Technologies, Inc.          
  2017 Term Loan B
2.87% (1 Month LIBOR + 2.25%), due 2/14/24
   32,223    29,000 
  2017 Term Loan B
3.18% (1 Month LIBOR + 2.25%), due 2/14/24
   603,532    543,179 
  2017 Term Loan B
3.217% (1 Month LIBOR + 2.25%), due 2/14/24 (e)
   25,778    23,200 
  2017 Term Loan B
3.46% (3 Month LIBOR + 2.25%), due 2/14/24
   80,557    72,501 
  PQ Corp.
2018 Term Loan B
4.027% (3 Month LIBOR + 2.25%), due 2/7/27
   1,227,861    1,089,727 
  TricorBraun Holdings, Inc.
2016 1st Lien Term Loan
5.20% (3 Month LIBOR + 3.75%), due 11/30/23
   1,477,112    1,211,232 
  Tronox Finance LLC          
  Term Loan B
3.74% (1 Month LIBOR + 2.75%), due 9/23/24
   1,478,142    1,300,765 
  Term Loan B
3.93% (3 Month LIBOR + 2.75%), due 9/23/24
   1,042,988    917,830 
  Univar, Inc.
2019 USD Term Loan B5
3.45% (3 Month LIBOR + 2.00%), due 7/1/26
   598,500    538,650 
  Venator Materials Corp.
Term Loan B
3.989% (1 Month LIBOR + 3.00%), due 8/8/24
   1,950,000    1,677,000 
  Zep, Inc.
2017 1st Lien Term Loan
5.072% (3 Month LIBOR + 4.00%), due 8/12/24 (e)
   104,632    69,057 
           16,501,427 
  Containers, Packaging & Glass 3.4%          
  Altium Packaging LLC
Term Loan B
3.989% (1 Month LIBOR + 3.00%), due 6/14/26 (e)
   992,513    840,328 
  Anchor Glass Container Corp.          
  2017 1st Lien Term Loan
3.76% (1 Month LIBOR + 2.75%), due 12/7/23
   2,023,794    1,096,222 
  2017 1st Lien Term Loan
4.20% (3 Month LIBOR + 2.75%), due 12/7/23
   97,697    52,919 
  Berry Global, Inc.
2019 Term Loan Y
2.863% (1 Month LIBOR + 2.00%), due 7/1/26
   3,220,650    3,004,867 
  BWAY Holding Co.
2017 Term Loan B
5.084% (3 Month LIBOR + 3.25%), due 4/3/24
   2,895,115    2,352,281 
  Charter NEX US, Inc.          
  2017 Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 5/16/24
   916,862    777,041 
  Incremental Term Loan
4.489% (1 Month LIBOR + 3.50%), due 5/16/24
   858,265    742,399 
  Clearwater Paper Corp.
Term Loan B
4.25% (3 Month LIBOR + 3.25%), due 7/26/26
   2,493,750    2,319,187 
  Consolidated Container Co. LLC
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 5/22/24
   1,950,113    1,794,103 
  Fort Dearborn Co.          
  2016 1st Lien Term Loan
5.52% (1 Month LIBOR + 4.00%), due 10/19/23
   29,762    25,000 
  2016 1st Lien Term Loan
5.91% (3 Month LIBOR + 4.00%), due 10/19/23
   1,394,131    1,171,070 
  2016 2nd Lien Term Loan
10.408% (3 Month LIBOR + 8.50%), due 10/21/24 (e)(f)
   1,000,000    850,000 
  Klockner-Pentaplast of America, Inc.
2017 Term Loan B2
5.25% (1 Month LIBOR + 4.25%), due 6/30/22
   2,437,500    1,715,391 
  Reynolds Consumer Products LLC
Term Loan
3.501% (3 Month LIBOR + 1.75%), due 2/4/27
   1,500,000    1,404,375 
  Reynolds Group Holdings, Inc.
2017 Term Loan
3.739% (1 Month LIBOR + 2.75%), due 2/5/23
   2,045,546    1,930,484 
  Tank Holding Corp.
2020 Term Loan
4.489% (1 Month LIBOR + 3.50%), due 3/26/26
   2,241,244    1,910,660 
  Trident TPI Holdings, Inc.
2017 Term Loan B1
4.323% (3 Month LIBOR + 3.25%), due 10/17/24
   729,867    598,491 
           22,584,818 
  Diversified/Conglomerate Manufacturing 2.9%          
  Allied Universal Holdco LLC
2019 Term Loan B
5.239% (1 Month LIBOR + 4.25%), due 7/10/26
   997,500    910,219 
  EWT Holdings III Corp.
2020 Term Loan
3.739% (1 Month LIBOR + 2.75%), due 12/20/24
   1,983,333    1,804,833 
  Filtration Group Corp.
2018 1st Lien Term Loan
3.989% (1 Month LIBOR + 3.00%), due 3/29/25
   1,791,315    1,547,249 
  Gardner Denver, Inc.
2020 USD Term Loan
2.739% (1 Month LIBOR + 1.75%), due 3/1/27
   3,400,563    3,179,527 
  GYP Holdings III Corp.
2018 Term Loan B
3.739% (1 Month LIBOR + 2.75%), due 6/1/25
   411,685    370,517 
  Hyster-Yale Group, Inc.
Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 5/30/23 (e)(f)
   1,389,583    1,181,146 
  Iron Mountain, Inc.
2018 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 1/2/26
   1,837,500    1,745,625 
  LTI Holdings, Inc.
2018 Add On 1st Lien Term Loan
4.489% (1 Month LIBOR + 3.50%), due 9/6/25
   1,082,216    788,213 
  Pre-Paid Legal Services, Inc.
2018 1st Lien Term Loan
4.239% (1 Month LIBOR + 3.25%), due 5/1/25
   2,983,610    2,513,692 
  Quikrete Holdings, Inc.
2016 1st Lien Term Loan
3.489% (1 Month LIBOR + 2.50%), due 2/1/27
   2,330,951    1,992,962 
  Red Ventures LLC
2020 Term Loan B
3.489% (1 Month LIBOR + 2.50%), due 11/8/24
   3,031,238    2,505,824 
  TRC Cos., Inc.
Term Loan
4.95% (3 Month LIBOR + 3.50%), due 6/21/24 (e)
   877,500    774,394 
           19,314,201 
  Diversified/Conglomerate Service 4.4%          
  Applied Systems, Inc.          
  2017 1st Lien Term Loan
4.70% (3 Month LIBOR + 3.25%), due 9/19/24
   1,930,645    1,752,750 
  2017 2nd Lien Term Loan
8.45% (3 Month LIBOR + 7.00%), due 9/19/25
   460,000    414,000 
  BidFair MergerRight, Inc.
Term Loan B
6.50% (1 Month LIBOR + 5.50%), due 1/15/27
   2,327,672    1,803,946 
  Blackhawk Network Holdings, Inc.
2018 1st Lien Term Loan
3.989% (1 Month LIBOR + 3.00%), due 6/15/25
   982,500    792,550 
  BrightView Landscapes LLC
2018 1st Lien Term Loan B
3.294% (1 Month LIBOR + 2.50%), due 8/15/25
   1,104,693    1,043,935 
  Change Healthcare Holdings, Inc.
2017 Term Loan B
3.50% (1 Month LIBOR + 2.50%), due 3/1/24
   1,600,105    1,450,763 
  CCC Information Services, Inc.
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 4/29/24
   947,564    859,576 
  Element Materials Technology Group US Holdings, Inc.
2017 Term Loan B
4.95% (3 Month LIBOR + 3.50%), due 6/28/24 (e)
   979,956    806,014 
  Greeneden U.S. Holdings II LLC
2018 Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 12/1/23
   1,448,182    1,288,882 
  IRI Holdings, Inc.
2018 1st Lien Term Loan
6.113% (3 Month LIBOR + 4.50%), due 12/1/25
   3,209,375    2,535,406 
  Mitchell International, Inc.
2017 1st Lien Term Loan
4.239% (1 Month LIBOR + 3.25%), due 11/29/24
   971,272    795,229 
  MKS Instruments, Inc.
2019 Term Loan B6
2.739% (1 Month LIBOR + 1.75%), due 2/2/26
   702,283    629,948 
  Monitronics International, Inc.
Takeback Term Loan
7.75% (1 Month LIBOR + 6.50%), due 3/29/24 (e)(f)
   958,540    716,509 
  MX Holdings U.S., Inc.
2018 Term Loan B1C
3.739% (1 Month LIBOR + 2.75%), due 7/31/25
   2,217,792    1,862,945 
  Prime Security Services Borrower LLC
2019 Term Loan B1
4.606% (1 Month LIBOR + 3.25%), due 9/23/26
   5,534,702    4,953,558 
  Sophia L.P.
2017 Term Loan B
4.70% (3 Month LIBOR + 3.25%), due 9/30/22
   1,752,888    1,653,557 
  TruGreen, Ltd. Partnership
2019 Term Loan
4.75% (1 Month LIBOR + 3.75%), due 3/19/26
   1,742,128    1,585,336 
  Verint Systems, Inc.          
  2018 Term Loan B
3.58% (1 Month LIBOR + 2.00%), due 6/28/24
   1,254,779    1,198,314 
  2018 Term Loan B
3.76% (3 Month LIBOR + 2.00%), due 6/28/24
   1,176,471    1,123,530 
  Verscend Holding Corp.
2018 Term Loan B
5.489% (1 Month LIBOR + 4.50%), due 8/27/25
   985,000    925,900 
  WEX, Inc.
Term Loan B3
3.239% (1 Month LIBOR + 2.25%), due 5/15/26
   962,775    825,580 
           29,018,228 
  Ecological 0.3%          
  Advanced Disposal Services, Inc.
Term Loan B3
2.894% (1 Week LIBOR + 2.25%), due 11/10/23
   2,038,157    2,017,775 
             
  Electronics 13.4%          
  Almonde, Inc.          
  1st Lien Term Loan
5.277% (3 Month LIBOR + 3.50%), due 6/13/24
   2,709,556    2,313,283 
  2nd Lien Term Loan
9.027% (3 Month LIBOR + 7.25%), due 6/13/25
   1,400,000    1,043,000 
  ASG Technologies Group, Inc.
2018 Term Loan
4.50% (1 Month LIBOR + 3.50%), due 7/31/24 (e)(f)
   1,495,086    1,196,069 
  Banff Merger Sub Inc.
2018  Term Loan B
5.239% (1 Month LIBOR + 4.25%), due 10/2/25
   2,419,744    2,044,684 
  Barracuda Networks, Inc.
1st Lien Term Loan
4.517% (3 Month LIBOR + 3.25%), due 2/12/25
   1,968,712    1,791,528 
  Camelot U.S. Acquisition 1 Co.
Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 10/31/26
   1,890,000    1,679,738 
  Castle U.S. Holding Corp.
USD Term Loan B
5.20% (1 Month LIBOR + 3.75%), due 1/29/27
   1,444,043    1,247,292 
  Cologix, Inc.
2017 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 3/20/24
   1,930,202    1,647,910 
  Colorado Buyer, Inc.          
  Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 5/1/24
   972,500    632,125 
  2nd Lien Term Loan
8.25% (1 Month LIBOR + 7.25%), due 5/1/25
   800,000    282,666 
  CommScope, Inc.
2019 Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 4/6/26
   4,289,691    4,032,309 
  Compuware Corp.
2018 Term Loan B
4.989% (1 Month LIBOR + 4.00%), due 8/22/25
   617,128    586,271 
  DCert Buyer, Inc.
2019 Term Loan B
4.989% (1 Month LIBOR + 4.00%), due 10/16/26
   2,000,000    1,773,334 
  Dell International LLC
2019 Term Loan B
2.99% (1 Month LIBOR + 2.00%), due 9/19/25
   3,253,620    3,099,073 
  Diebold, Inc.
2017 Term Loan B
3.813% (1 Month LIBOR + 2.75%), due 11/6/23
   1,144,195    978,287 
  ECI Macola Max Holdings LLC
1st Lien Term Loan
5.70% (3 Month LIBOR + 4.25%), due 9/27/24
   2,203,006    1,931,303 
  EIG Investors Corp.
2018 1st Lien Term Loan
5.388% (3 Month LIBOR + 3.75%), due 2/9/23
   3,773,836    3,037,938 
  Epicor Software Corp.
1st Lien Term Loan
4.25% (1 Month LIBOR + 3.25%), due 6/1/22
   3,110,365    2,830,432 
  Flexential Intermediate Corp.
2017 1st Lien Term Loan
4.95% (3 Month LIBOR + 3.50%), due 8/1/24
   1,170,000    836,550 
  Flexera Software LLC
2018 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 2/26/25
   1,425,874    1,279,722 
  Go Daddy Operating Co. LLC
2017 Repriced Term Loan
2.739% (1 Month LIBOR + 1.75%), due 2/15/24
   2,223,760    2,103,677 
  Hyland Software, Inc.          
  2018 1st Lien Term Loan
4.239% (1 Month LIBOR + 3.25%), due 7/1/24
   3,618,843    3,329,335 
  2017 2nd Lien Term Loan
7.989% (1 Month LIBOR + 7.00%), due 7/7/25
   608,333    559,667 
  Infor (U.S.), Inc.
Term Loan B6
3.75% (1 Month LIBOR + 2.75%), due 2/1/22
   1,671,136    1,601,784 
  Informatica LLC
2020 USD Term Loan B
4.243% (1 Month LIBOR + 3.25%), due 2/25/27
   2,000,000    1,740,000 
  Kronos, Inc.
2017 Term Loan B
4.763% (3 Month LIBOR + 3.00%), due 11/1/23
   1,533,084    1,401,814 
  MA FinanceCo. LLC
Term Loan B3
3.489% (1 Month LIBOR + 2.50%), due 6/21/24
   352,345    314,761 
  McAfee LLC          
  2018 Term Loan B
4.691% (1 Month LIBOR + 3.75%), due 9/30/24
   4,598,285    4,238,087 
  2017 2nd Lien Term Loan
9.50% (1 Month LIBOR + 8.50%), due 9/29/25
   312,500    292,188 
  MH Sub I LLC
2017 1st Lien Term Loan
4.822% (6 Month LIBOR + 3.75%), due 9/13/24
   4,063,722    3,454,164 
  Project Alpha Intermediate Holding, Inc.          
  2017 Term Loan B
5.38% (6 Month LIBOR + 3.50%), due 4/26/24
   1,446,282    1,301,654 
  2019 Incremental Term Loan B
6.13% (6 Month LIBOR + 4.25%), due 4/26/24
   595,500    532,973 
  Project Leopard Holdings, Inc.          
  2019 Term Loan
5.70% (3 Month LIBOR + 4.25%), due 7/7/23 (e)
   991,231    872,283 
  2018 Term Loan
5.95% (1 Month LIBOR + 4.50%), due 7/7/23
   1,097,369    965,685 
  Refinitiv US Holdings, Inc.
2018 Term Loan
4.239% (1 Month LIBOR + 3.25%), due 10/1/25
   2,451,275    2,345,054 
  Rocket Software, Inc.
2018 Term Loan
5.239% (1 Month LIBOR + 4.25%), due 11/28/25
   891,000    721,710 
  RP Crown Parent LLC
2016 Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 10/12/23
   2,322,000    2,205,900 
  Seattle Spinco, Inc.
Term Loan B3
3.489% (1 Month LIBOR + 2.50%), due 6/21/24
   2,379,469    2,125,658 
  Solera LLC
Term Loan B
4.363% (3 Month LIBOR + 2.75%), due 3/3/23
   1,916,783    1,775,420 
  SS&C Technologies, Inc.          
  2018 Term Loan B3
2.739% (1 Month LIBOR + 1.75%), due 4/16/25
   2,498,108    2,348,221 
  2018 Term Loan B5
2.739% (1 Month LIBOR + 1.75%), due 4/16/25
   1,969,687    1,845,597 
  STG-Fairway Holdings LLC
Term Loan B
4.572% (3 Month LIBOR + 3.50%), due 1/31/27 (e)(f)
   500,000    450,000 
  Surf Holdings LLC
USD Term Loan
4.814% (3 Month LIBOR + 3.50%), due 3/5/27
   1,750,000    1,548,750 
  Tempo Acquisition LLC
Term Loan
3.739% (1 Month LIBOR + 2.75%), due 5/1/24
   4,393,572    3,888,311 
  Tibco Software, Inc.          
  2020 2nd Lien Term Loan
TBD, due 3/3/28
   400,000    372,000 
  2020 Term Loan B
4.74% (1 Month LIBOR + 3.75%), due 6/30/26
   1,000,000    940,000 
  Ultimate Software Group, Inc.
Term Loan B
4.739% (1 Month LIBOR + 3.75%), due 5/4/26
   1,741,250    1,623,716 
  Veritas Bermuda, Ltd.
Repriced Term Loan B
5.95% (3 Month LIBOR + 4.50%), due 1/27/23
   2,201,526    1,846,530 
  Vertafore, Inc.
2018 1st Lien Term Loan
4.239% (1 Month LIBOR + 3.25%), due 7/2/25
   395,000    349,081 
  Vertiv Group Corp.
Term Loan B
4.581% (1 Month LIBOR + 3.00%), due 3/2/27
   2,000,000    1,790,000 
  VS Buyer LLC
Term Loan B
4.863% (3 Month LIBOR + 3.25%), due 2/28/27
   1,000,000    955,000 
  Web.com Group, Inc.          
  2018 Term Loan B
4.945% (3 Month LIBOR + 3.75%), due 10/10/25
   1,453,881    1,190,365 
  2018 2nd Lien Term Loan
8.945% (3 Month LIBOR + 7.75%), due 10/9/26
   969,724    732,142 
  Western Digital Corp.
2018 Term Loan B4
3.353% (3 Month LIBOR + 1.75%), due 4/29/23
   1,241,810    1,185,929 
  Xerox Business Services LLC
Term Loan B
3.489% (1 Month LIBOR + 2.50%), due 12/7/23
   1,453,607    1,104,741 
           88,315,711 
  Finance 1.5%          
  Amentum Government Services Holdings LLC
Term Loan B
4.989% (1 Month LIBOR + 4.00%), due 2/1/27
   625,000    581,250 
  Brand Energy & Infrastructure Services, Inc.
2017 Term Loan
6.085% (3 Month LIBOR + 4.25%), due 6/21/24
   2,680,059    2,144,047 
  Deerfield Dakota Holding, LLC
2018 Term Loan B
4.25% (1 Month LIBOR + 3.25%), due 2/13/25
   3,879,167    3,336,083 
  iStar, Inc.          
  2016 Term Loan B
3.52% (1 Month LIBOR + 2.75%), due 6/28/23
   224,351    199,672 
  2016 Term Loan B
3.68% (1 Month LIBOR + 2.75%), due 6/28/23
   406,235    361,549 
  ON Semiconductor Corp.
2019 Term Loan B
2.989% (1 Month LIBOR + 2.00%), due 9/19/26
   492,513    459,268 
  Transplace Holdings, Inc.
1st Lien Term Loan
4.822% (6 Month LIBOR + 3.75%), due 10/7/24 (e)(f)
   1,173,060    1,055,754 
  USS Ultimate Holdings, Inc.
1st Lien Term Loan
5.671% (6 Month LIBOR + 3.75%), due 8/25/24
   2,056,183    1,716,913 
           9,854,536 
  Healthcare, Education & Childcare 6.7%          
  Acadia Healthcare Co., Inc
2018 Term Loan B4
3.50% (1 Month LIBOR + 2.50%), due 2/16/23
   723,448    643,869 
  Agiliti Health, Inc.
Term Loan
4.625% (1 Month LIBOR + 3.00%), due 1/4/26
   891,000    850,905 
  AHP Health Partners, Inc.
2018 Term Loan
5.50% (1 Month LIBOR + 4.50%), due 6/30/25
   1,288,746    1,130,875 
  Akorn, Inc.
Term Loan B
15.375% (PIK + 0.75%), due 4/16/21 (g)
   174,491    132,613 
  Alliance Healthcare Services, Inc.
2017 Term Loan B
5.50% (1 Month LIBOR + 4.50%), due 10/24/23 (e)(f)
   843,750    641,250 
  Alvogen Pharma U.S., Inc.
2020 Extended Term Loan
6.32% (6 Month LIBOR + 5.25%), due 12/31/23
   1,283,715    1,065,483 
  Amneal Pharmaceuticals LLC
2018 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 5/4/25
   2,210,105    1,895,165 
  Athenahealth, Inc.
2019 Term Loan B
5.284% (3 Month LIBOR + 4.50%), due 2/11/26
   741,880    689,948 
  Avantor Funding, Inc.
Term Loan B3
3.25% (1 Month LIBOR + 2.25%), due 11/21/24
   743,622    699,005 
  Carestream Dental Equipment, Inc.
2017 1st Lien Term Loan
4.322% (1 Month LIBOR + 3.25%), due 9/1/24
   975,000    780,000 
  Carestream Health, Inc. (e)          
  1st Lien Term Loan
7.322% (3 Month LIBOR + 6.25%), due 2/28/21
   1,974,246    1,789,983 
  2nd Lien Term Loan
11.572% (PIK + 1.00%), due 6/7/21 (f)(g)
   1,350,970    1,143,258 
  Compassus Intermediate, Inc.
Term Loan B
6.072% (6 Month LIBOR + 5.00%), due 12/31/26 (e)(f)
   1,558,594    1,449,492 
  Da Vinci Purchaser Corp.
2019 Term Loan
5.872% (3 Month LIBOR + 4.00%), due 1/8/27
   1,916,667    1,763,333 
  DaVita, Inc.
2020 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 8/12/26
   2,736,267    2,581,211 
  Emerald TopCo, Inc.
Term Loan
4.489% (1 Month LIBOR + 3.50%), due 7/24/26
   2,487,500    2,226,313 
  Envision Healthcare Corp.
2018 1st Lien Term Loan
4.739% (1 Month LIBOR + 3.75%), due 10/10/25
   1,851,563    935,039 
  eResearchTechnology, Inc.
2020 1st Lien Term Loan
5.95% (3 Month LIBOR + 4.50%), due 2/4/27
   1,200,000    1,052,000 
  ExamWorks Group, Inc.          
  2017 Term Loan
4.25% (6 Month LIBOR + 3.25%), due 7/27/23
   2,906,734    2,601,527 
  2017 Term Loan
4.25% (3 Month LIBOR + 3.25%), due 7/27/23
   7,530    6,740 
  Gentiva Health Services, Inc.
2020 Term Loan
4.25% (1 Month LIBOR + 3.25%), due 7/2/25
   1,286,878    1,203,231 
  Grifols Worldwide Operations U.S.A., Inc.
USD 2019 Term Loan B
2.684% (1 Week LIBOR + 2.00%), due 11/15/27
   997,500    945,962 
  HCA, Inc.
Term Loan B12
2.739% (1 Month LIBOR + 1.75%), due 3/13/25
   2,474,937    2,345,003 
  Jaguar Holding Co. II
2018 Term Loan
3.50% (1 Month LIBOR + 2.50%), due 8/18/22
   2,644,922    2,520,391 
  Ortho-Clinical Diagnostics S.A.
2018 Term Loan B
4.765% (1 Month LIBOR + 3.25%), due 6/30/25
   1,915,060    1,610,565 
  RegionalCare Hospital Partners Holdings, Inc.
2018 Term Loan B
4.739% (1 Month LIBOR + 3.75%), due 11/17/25
   1,594,745    1,479,126 
  RPI 2019 Intermediate Finance Trust
2020 Term Loan B1
2.739% (1 Month LIBOR + 1.75%), due 2/11/27
   3,192,000    2,926,001 
  Select Medical Corp.
2017 Term Loan B
3.43% (1 Month LIBOR + 2.50%), due 3/6/25
   3,048,392    2,880,730 
  Sound Inpatient Physicians
2018 1st Lien Term Loan
3.739% (1 Month LIBOR + 2.75%), due 6/27/25 (e)
   491,250    431,072 
  Team Health Holdings, Inc.
1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 2/6/24
   2,880,343    1,785,812 
  U.S. Anesthesia Partners, Inc.
2017 Term Loan
4.00% (1 Month LIBOR + 3.00%), due 6/23/24
   2,824,618    2,104,340 
           44,310,242 
  Home and Office Furnishings, Housewares & Durable Consumer Products 0.2%          
  Serta Simmons Bedding LLC          
  1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 11/8/23
   2,669,599    1,036,693 
  1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 11/8/23
   762,257    296,010 
           1,332,703 
  Hotels, Motels, Inns & Gaming 4.6%          
  Affinity Gaming LLC
Initial Term Loan
4.25% (1 Month LIBOR + 3.25%), due 7/1/23
   2,469,718    1,852,288 
  Aimbridge Acquisition Co., Inc.
2019 Term Loan B
5.017% (3 Month LIBOR + 3.75%), due 2/2/26
   2,238,750    1,567,125 
  AP Gaming I LLC
2018 Incremental Term Loan
4.95% (3 Month LIBOR + 3.50%), due 2/15/24
   1,848,836    1,423,604 
  Caesars Entertainment Operating Co.
Exit Term Loan
2.989% (1 Month LIBOR + 2.00%), due 10/7/24
   1,351,389    1,094,625 
  Caesars Resort Collection LLC
2017 1st Lien Term Loan B
3.739% (1 Month LIBOR + 2.75%), due 12/23/24
   1,915,102    1,538,920 
  Churchill Downs, Inc.
2017 Term Loan B
2.99% (1 Month LIBOR + 2.00%), due 12/27/24
   1,962,387    1,736,712 
  CityCenter Holdings LLC
2017 Term Loan B
3.239% (1 Month LIBOR + 2.25%), due 4/18/24
   2,820,250    2,453,618 
  Everi Payments, Inc.
Term Loan B
3.822% (3 Month LIBOR + 2.75%), due 5/9/24
   2,955,113    2,334,539 
  Golden Entertainment, Inc.
2017 1st Lien Term Loan
3.96% (1 Month LIBOR + 3.00%), due 10/21/24
   1,600,000    1,200,000 
  Hilton Worldwide Finance LLC
2019 Term Loan B2
2.697% (1 Month LIBOR + 1.75%), due 6/22/26
   235,804    218,512 
  PCI Gaming Authority
Term Loan
3.489% (1 Month LIBOR + 2.50%), due 5/29/26
   658,702    517,081 
  Penn National Gaming, Inc.
2018 1st Lien Term Loan B
3.239% (1 Month LIBOR + 2.25%), due 10/15/25
   329,167    246,692 
  Scientific Games International, Inc.          
  2018 Term Loan B5
3.74% (1 Month LIBOR + 2.75%), due 8/14/24
   1,042,732    836,793 
  2018 Term Loan B5
4.246% (2 Month LIBOR + 2.75%), due 8/14/24
   4,289,636    3,442,433 
  Station Casinos LLC
2020 Term Loan B
3.24% (1 Month LIBOR + 2.25%), due 2/8/27
   2,649,901    2,188,818 
  UFC Holdings, LLC
2019 Term Loan
4.25% (1 Month LIBOR + 3.25%), due 4/29/26
   4,542,264    3,951,769 
  Wyndham Destinations, Inc.
2018 1st Lien Term Loan
3.239% (1 Month LIBOR + 2.25%), due 5/30/25
   1,977,443    1,562,180 
  Wyndham Hotels & Resorts, Inc.
Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 5/30/25
   2,469,943    2,126,209 
           30,291,918 
  Insurance 2.9%          
  Acrisure LLC
2020 Term Loan B
5.207% (3 Month LIBOR + 3.50%), due 2/15/27
   992,386    823,680 
  AmWINS Group, Inc.          
  2017 Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 1/25/24
   1,597,426    1,466,637 
  2017 Term Loan B
3.77% (1 Month LIBOR + 2.75%), due 1/25/24
   320,020    293,819 
  AssuredPartners, Inc.
2020 Term Loan B
4.489% (1 Month LIBOR + 3.50%), due 2/12/27
   3,213,461    2,827,845 
  Asurion LLC          
  2017 Term Loan B4
3.989% (1 Month LIBOR + 3.00%), due 8/4/22
   2,832,337    2,591,588 
  2018 Term Loan B6
3.989% (1 Month LIBOR + 3.00%), due 11/3/23
   1,636,216    1,554,405 
  2018 Term Loan B7
3.989% (1 Month LIBOR + 3.00%), due 11/3/24
   460,547    426,774 
  2017 2nd Lien Term Loan
7.489% (1 Month LIBOR + 6.50%), due 8/4/25
   966,667    889,333 
  Hub International, Ltd.
2018 Term Loan B
4.544% (3 Month LIBOR + 2.75%), due 4/25/25
   1,430,171    1,331,847 
  NFP Corp.
2020 Term Loan
4.239% (1 Month LIBOR + 3.25%), due 2/15/27
   1,459,874    1,255,492 
  Sedgwick Claims Management Services, Inc.          
  2018 Term Loan B
4.239% (1 Month LIBOR + 3.25%), due 12/31/25
   1,967,538    1,715,038 
  2019 Term Loan B
4.989% (1 Month LIBOR + 4.00%), due 9/3/26
   992,500    891,595 
  USI, Inc.
2017 Repriced Term Loan
3.989% (3 Month LIBOR + 3.00%), due 5/16/24
   2,925,000    2,628,844 
           18,696,897 
  Leisure, Amusement, Motion Pictures & Entertainment 2.7%          
  Alterra Mountain Co.
Term Loan B1
3.739% (1 Month LIBOR + 2.75%), due 7/31/24
   3,450,834    3,036,734 
  Boyd Gaming Corp.
Term Loan B3
2.934% (1 Week LIBOR + 2.25%), due 9/15/23
   1,419,399    1,230,146 
  Cineworld, Ltd.
Incremental Term Loan
TBD, due 2/5/27
   3,000,000    1,822,500 
  Creative Artists Agency LLC
2019 Term Loan B
4.739% (1 Month LIBOR + 3.75%), due 11/27/26
   1,496,250    1,309,219 
  DHX Media, Ltd.
Term Loan B
5.25% (1 Month LIBOR + 4.25%), due 12/29/23
   698,207    607,440 
  Fitness International LLC          
  2018 Term Loan A
3.32% (6 Month LIBOR + 2.25%), due 1/8/25
   1,243,125    947,883 
  2018 Term Loan A
3.327% (3 Month LIBOR + 2.25%), due 1/8/25
   15,938    12,152 
  2018 Term Loan B
4.322% (6 Month LIBOR + 3.25%), due 4/18/25
   270,764    201,719 
  Life Time Fitness, Inc.
2017 Term Loan B
4.363% (3 Month LIBOR + 2.75%), due 6/10/22
   1,780,150    1,312,225 
  Lions Gate Capital Holdings LLC
2018 Term Loan B
3.239% (1 Month LIBOR + 2.25%), due 3/24/25
   1,042,860    933,360 
  Marriott Ownership Resorts, Inc.
2019 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 8/29/25
   1,492,491    1,291,004 
  TKC Holdings, Inc.
2017 1st Lien Term Loan
4.75% (1 Month LIBOR + 3.75%), due 2/1/23
   2,021,774    1,597,201 
  Travel Leaders Group LLC
2018 Term Loan B
4.959% (1 Month LIBOR + 4.00%), due 1/25/24
   1,670,250    1,252,687 
  William Morris Endeavor Entertainment LLC          
  2018 1st Lien Term Loan
3.74% (1 Month LIBOR + 2.75%), due 5/18/25
   1,409,494    1,108,803 
  2018 1st Lien Term Loan
4.031% (3 Month LIBOR + 2.75%), due 5/18/25
   1,258,001    989,628 
           17,652,701 
  Machinery (Non-Agriculture, Non-Construct & Non-Electronic) 1.2%          
  Advanced Drainage Systems, Inc.
Term Loan B
3.813% (1 Month LIBOR + 2.25%), due 7/31/26
   694,554    638,989 
  Altra Industrial Motion Corp.
2018 Term Loan B
2.989% (1 Month LIBOR + 2.00%), due 10/1/25
   2,173,402    1,956,062 
  Blount International, Inc.
2018 Term Loan B
4.75% (1 Month LIBOR + 3.75%), due 4/12/23
   3,339    3,173 
  Columbus McKinnon Corp.
2018 Term Loan B
3.95% (3 Month LIBOR + 2.50%), due 1/31/24
   891,058    801,952 
  CPM Holdings, Inc.          
  2018 1st Lien Term Loan
5.353% (1 Month LIBOR + 3.75%), due 11/17/25
   1,481,250    1,192,406 
  2018 2nd Lien Term Loan
9.853% (1 Month LIBOR + 8.25%), due 11/15/26 (e)
   1,000,000    820,000 
  Ingersoll-Rand Services Co.
2020 USD Spinco Term Loan
TBD, due 3/1/27
   873,070    811,955 
  Rexnord LLC
2019 Term Loan B
2.679% (1 Month LIBOR + 1.75%), due 8/21/24
   1,027,720    939,079 
  Welbilt, Inc.
2018 Term Loan B
3.489% (1 Month LIBOR + 2.50%), due 10/23/25
   1,284,178    1,001,659 
           8,165,275 
  Mining, Steel, Iron & Non-Precious Metals 1.2%          
  American Rock Salt Co. LLC
2018 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 3/21/25
   1,620,016    1,377,014 
  Covia Holdings Corp.
Term Loan
5.874% (3 Month LIBOR + 4.00%), due 6/1/25
   1,403,571    617,571 
  Gates Global LLC
2017 Repriced Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 4/1/24
   2,400,513    2,124,454 
  GrafTech Finance, Inc.
2018 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 2/12/25
   2,458,333    2,114,167 
  MRC Global (US) Inc.
2018 1st Lien Term Loan B
3.989% (1 Month LIBOR + 3.00%), due 9/20/24
   1,466,221    1,172,977 
  U.S. Silica Co.
2018 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 5/1/25
   1,469,910    687,183 
           8,093,366 
  Oil & Gas 1.1%          
  Apergy Corp. (f)          
  2018 1st Lien Term Loan
3.64% (1 Month LIBOR + 2.50%), due 5/9/25 (e)
   339,759    288,795 
  2018 1st Lien Term Loan
4.75% (PRIME + 1.50%), due 5/9/25
   43,373    36,867 
  Buckeye Partners, L.P.
2019 Term Loan B
4.265% (1 Month LIBOR + 2.75%), due 11/1/26
   1,375,000    1,261,563 
  Fleet U.S. Bidco, Inc.
Term Loan B
4.322% (6 Month LIBOR + 3.25%), due 10/7/26
   1,243,750    1,119,375 
  GIP III Stetson I, L.P.
2018 Term Loan B
5.174% (1 Month LIBOR + 4.25%), due 7/18/25 (e)
   1,578,015    710,107 
  Keane Group Holdings LLC
2018 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 5/25/25
   982,500    638,625 
  Lucid Energy Group II LLC
2018 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 2/17/25
   1,372,000    745,453 
  Medallion Midland Acquisition LLC
1st Lien Term Loan
4.25% (1 Month LIBOR + 3.25%), due 10/30/24
   586,500    322,575 
  PES Holdings LLC
2018 Term Loan C
TBD (PIK + 6.99%), due 12/31/22 (e)(f)(g)
   1,103,756    331,127 
  Prairie ECI Acquiror L.P.
Term Loan B
6.20% (3 Month LIBOR + 4.75%), due 3/11/26
   1,185,525    604,618 
  Seadrill Partners Finco LLC
Term Loan B
7.45% (3 Month LIBOR + 6.00%), due 2/21/21 (e)
   872,935    139,670 
  Summit Midstream Partners Holdings LLC
Term Loan B
7.00% (1 Month LIBOR + 6.00%), due 5/13/22 (e)(f)
   587,985    252,833 
  Traverse Midstream Partners LLC
2017 Term Loan
5.00% (1 Month LIBOR + 4.00%), due 9/27/24
   1,313,333    731,089 
           7,182,697 
  Personal & Nondurable Consumer Products (Manufacturing Only) 0.9%          
  American Builders & Contractors Supply Co., Inc.
2019 Term Loan
2.989% (1 Month LIBOR + 2.00%), due 1/15/27
   2,736,250    2,448,944 
  Prestige Brands, Inc.
Term Loan B4
2.989% (1 Month LIBOR + 2.00%), due 1/26/24
   507,570    470,349 
  Revlon Consumer Products Corp.          
  2016 Term Loan B
4.95% (3 Month LIBOR + 3.50%), due 9/7/23
   6,458    2,454 
  2016 Term Loan B
5.11% (3 Month LIBOR + 3.50%), due 9/7/23
   2,486,458    944,854 
  SRAM LLC
2018 Term Loan B
3.787% (1 Month LIBOR + 2.75%), due 3/15/24
   808,287    759,789 
  Varsity Brands, Inc.
2017 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/15/24
   1,955,035    1,515,152 
           6,141,542 
  Personal Transportation 0.1%          
  Uber Technologies, Inc.
2018 Incremental Term Loan
4.489% (1 Month LIBOR + 3.50%), due 7/13/23
   582,875    539,160 
             
  Personal, Food & Miscellaneous Services 1.6%          
  Aramark Services, Inc.
2018 Term Loan B3
2.739% (1 Month LIBOR + 1.75%), due 3/11/25
   3,182,663    2,943,963 
  Golden Nugget, Inc.
2017 Incremental Term Loan B
3.584% (3 Month LIBOR + 2.50%), due 10/4/23
   2,384,613    1,836,152 
  IRB Holding Corp.          
  2020 Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 2/5/25
   3,446,009    2,653,427 
  2020 Term Loan B
3.95% (3 Month LIBOR + 2.75%), due 2/5/25
   8,813    6,786 
  KFC Holding Co.
2018 Term Loan B
2.362% (1 Month LIBOR + 1.75%), due 4/3/25
   1,896,047    1,772,804 
  Weight Watchers International, Inc.
2017 Term Loan B
6.72% (3 Month LIBOR + 4.75%), due 11/29/24
   1,457,354    1,384,487 
           10,597,619 
  Printing & Publishing 0.8%          
  Getty Images, Inc.
2019 Term Loan B
5.50% (1 Month LIBOR + 4.50%), due 2/19/26
   1,985,929    1,573,849 
  McGraw-Hill Global Education Holdings LLC
2016 Term Loan B
5.45% (3 Month LIBOR + 4.00%), due 5/4/22
   1,123,873    911,742 
  Prometric Holdings, Inc.
1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 1/29/25
   1,497,109    1,122,831 
  Severin Acquisition, LLC
2018 Term Loan B
4.742% (3 Month LIBOR + 3.00%), due 8/1/25
   1,975,000    1,700,969 
           5,309,391 
  Radio and TV Broadcasting 0.5%          
  Nexstar Broadcasting, Inc.
2019 Term Loan B4
4.331% (1 Month LIBOR + 2.75%), due 9/18/26
   3,242,110    3,011,109 
             
  Retail Store 2.7%          
  Alphabet Holding Co., Inc.
2017 1st Lien Term Loan
4.489% (1 Month LIBOR + 3.50%), due 9/26/24
   2,047,500    1,627,763 
  Bass Pro Group LLC
Term Loan B
6.072% (1 Month LIBOR + 5.00%), due 9/25/24
   2,925,000    2,457,000 
  Belk, Inc.
2019 Term Loan B
7.75% (6 Month LIBOR + 6.75%), due 7/31/25
   1,363,540    681,770 
  BJ’s Wholesale Club, Inc.
2017 1st Lien Term Loan
3.047% (1 Month LIBOR + 2.25%), due 2/3/24
   2,904,291    2,732,107 
  CNT Holdings III Corp.
2017 Term Loan
4.08% (6 Month LIBOR + 3.00%), due 1/22/23
   1,238,130    1,108,127 
  EG America LLC
2018 Term Loan
5.072% (6 Month LIBOR + 4.00%), due 2/7/25
   1,470,013    1,051,060 
  Harbor Freight Tools USA, Inc.
2018 Term Loan B
3.489% (1 Month LIBOR + 2.50%), due 8/18/23
   943,959    854,283 
  HD Supply, Inc.
Term Loan B5
2.739% (1 Month LIBOR + 1.75%), due 10/17/23
   1,984,887    1,843,960 
  Leslie’s Poolmart, Inc.
2016 Term Loan
4.489% (1 Month LIBOR + 3.50%), due 8/16/23 (e)
   536,600    441,353 
  Michaels Stores, Inc.          
  2018 Term Loan B
3.50% (1 Month LIBOR + 2.50%), due 1/30/23
   1,363,106    1,131,378 
  2018 Term Loan B
3.56% (1 Month LIBOR + 2.50%), due 1/30/23
   821,340    681,712 
  2018 Term Loan B
3.57% (3 Month LIBOR + 2.50%), due 1/30/23
   790,602    656,199 
  Party City Holdings, Inc.          
  2018 Term Loan B
3.49% (1 Month LIBOR + 2.50%), due 8/19/22
   30,701    15,074 
  2018 Term Loan B
4.10% (1 Month LIBOR + 2.50%), due 8/19/22
   789,277    387,535 
  Petco Animal Supplies, Inc.
2017 Term Loan B
5.027% (3 Month LIBOR + 3.25%), due 1/26/23
   1,454,941    1,006,819 
  Sally Holdings LLC
Term Loan B2
4.50%, due 7/5/24
   1,166,667    997,500 
           17,673,640 
  Telecommunications 3.9%          
  Avaya, Inc.
2018 Term Loan B
4.955% (1 Month LIBOR + 4.25%), due 12/15/24
   1,345,545    1,130,258 
  CenturyLink, Inc.
2020 Term Loan B
3.239% (1 Month LIBOR + 2.25%), due 3/15/27
   3,740,625    3,406,307 
  CSC Holdings, LLC
2019 Term Loan B5
3.112% (1 Month LIBOR + 2.50%), due 4/15/27
   3,700,625    3,527,928 
  Frontier Communications Corp.          
  2017 Term Loan B1
5.21% (3 Month LIBOR + 3.75%), due 6/15/24
   4,859    4,569 
  2017 Term Loan B1
5.35% (3 Month LIBOR + 3.75%), due 6/15/24
   1,453,891    1,367,264 
  Level 3 Financing, Inc.
2019 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 3/1/27
   1,500,000    1,395,000 
  Microchip Technology, Inc.
2018 Term Loan B
2.99% (1 Month LIBOR + 2.00%), due 5/29/25
   1,149,783    1,075,047 
  Radiate Holdco LLC
1st Lien Term Loan
3.989% (1 Month LIBOR + 3.00%), due 2/1/24
   3,585,061    3,262,406 
  SBA Senior Finance II LLC
2018 Term Loan B
2.74% (1 Month LIBOR + 1.75%), due 4/11/25
   1,803,532    1,698,327 
  Sprint Communications, Inc.          
  1st Lien Term Loan B
3.50% (1 Month LIBOR + 2.50%), due 2/2/24
   1,940,000    1,925,450 
  2018 Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 2/2/24
   2,952,525    2,905,778 
  West Corp.
2017 Term Loan
5.45% (3 Month LIBOR + 4.00%), due 10/10/24
   1,724,082    1,310,302 
  Zayo Group Holdings, Inc.
USD Term Loan
TBD, due 2/19/27
   2,916,667    2,697,917 
           25,706,553 
  Utilities 4.4%          
  Astoria Energy LLC
Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 12/24/21
   2,274,929    2,081,560 
  Brookfield WEC Holdings, Inc.
2020 Term Loan
3.989% (1 Month LIBOR + 3.00%), due 8/1/25
   2,964,981    2,787,082 
  Calpine Corp.          
  Term Loan B5
3.24% (1 Month LIBOR + 2.25%), due 1/15/24
   1,680,476    1,607,656 
  Term Loan B9
3.24% (1 Month LIBOR + 2.25%), due 4/5/26
   3,126,375    2,985,688 
  Compass Power Generation LLC
2018 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/20/24
   653,374    574,970 
  Edgewater Generation LLC
Term Loan
4.739% (1 Month LIBOR + 3.75%), due 12/13/25
   3,957,437    3,165,950 
  ExGen Renewables IV LLC
Term Loan B
4.62% (3 Month LIBOR + 3.00%), due 11/28/24
   938,999    845,099 
  Granite Acquisition, Inc.          
  Term Loan B
4.95% (3 Month LIBOR + 3.50%), due 12/19/21
   3,091,902    2,968,226 
  2nd Lien Term Loan B
8.70% (3 Month LIBOR + 7.25%), due 12/19/22
   696,328    654,548 
  Granite Generation LLC          
  Term Loan B
4.818% (1 Month LIBOR + 3.75%), due 11/9/26
   2,966,250    2,536,144 
  Term Loan B
5.20% (3 Month LIBOR + 3.75%), due 11/9/26
   525,000    448,875 
  Helix Gen Funding LLC
Term Loan B
4.75% (1 Month LIBOR + 3.75%), due 6/3/24
   2,853,252    2,463,307 
  PG&E Corp.
DIP Term Loan
3.12% (1 Month LIBOR + 2.25%), due 12/31/20
   2,750,000    2,708,750 
  Southeast PowerGen LLC
Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/2/21
   433,088    346,470 
  Vistra Operations Co. LLC          
  1st Lien Term Loan B3
2.703% (1 Month LIBOR + 1.75%), due 12/31/25
   613,771    583,082 
  1st Lien Term Loan B3
2.74% (1 Month LIBOR + 1.75%), due 12/31/25
   2,564,386    2,436,167 
           29,193,574 
  Total Floating Rate Loans
(Cost $592,798,080)
        504,892,787 
             
  Foreign Floating Rate Loans 10.1% (d)          
  Aerospace & Defense 0.3%          
  AI Convoy (Luxembourg) S.A.R.L
USD Term Loan B
5.34% (3 Month LIBOR + 3.50%), due 1/17/27
   875,000    809,375 
  Kestrel Bidco, Inc.
Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 12/11/26
   1,246,875    926,843 
           1,736,218 
  Automobile 0.1%          
  Panther BF Aggregator 2 L.P.
Term Loan B
4.441% (1 Month LIBOR + 3.50%), due 4/30/26
   988,142    899,209 
             
  Beverage, Food & Tobacco 1.0%          
  Froneri International Ltd.
2020 USD Term Loan
3.239% (1 Month LIBOR + 2.25%), due 1/29/27
   1,485,000    1,407,038 
  JBS USA Lux S.A.
2019 Term Loan B
3.072% (6 Month LIBOR + 2.00%), due 5/1/26
   3,626,370    3,375,113 
  Sunshine Investments B.V.
USD Term Loan B3
4.954% (2 Month LIBOR + 3.25%), due 3/28/25
   2,000,000    1,840,000 
           6,622,151 
  Broadcasting & Entertainment 0.4%          
  Altice France S.A.
Term Loan B12
4.392% (1 Month LIBOR + 3.687%), due 1/31/26
   977,476    909,052 
  Numericable Group S.A.
Term Loan B11
3.739% (1 Month LIBOR + 2.75%), due 7/31/25
   1,915,189    1,733,247 
           2,642,299 
  Chemicals, Plastics & Rubber 1.2%          
  Allnex (Luxembourg) & Cy S.C.A.
2016  Term Loan B2
4.863% (3 Month LIBOR + 3.25%), due 9/13/23 (e)
   1,254,797    853,262 
  Alpha 3 B.V.
2017 Term Loan B1
4.45% (3 Month LIBOR + 3.00%), due 1/31/24
   1,739,827    1,583,243 
  Diamond (BC) B.V.
Term Loan
4.777% (3 Month LIBOR + 3.00%), due 9/6/24
   1,629,167    1,221,875 
  Flint Group GmbH
Term Loan C
4.801% (3 Month LIBOR + 3.00%), due 9/7/21 (e)
   290,463    201,872 
  Oxea Holding Drei GmbH
2017 Term Loan B2
4.938% (1 Month LIBOR + 3.50%), due 10/14/24
   2,268,750    1,843,359 
  Starfruit Finco B.V.
2018 Term Loan B
3.863% (1 Month LIBOR + 3.00%), due 10/1/25
   2,170,472    1,953,425 
           7,657,036 
  Diversified/Conglomerate Manufacturing 0.2%          
  AI Ladder (Luxembourg) Subco S.A R.L.
2018 Term Loan
5.489% (3 Month LIBOR + 4.50%), due 7/9/25 (e)
   803,991    659,273 
  Bright Bidco B.V.          
  2018 Term Loan B
4.57% (6 Month LIBOR + 3.50%), due 6/30/24
   1,940,060    647,980 
  2018 Term Loan B
4.95% (3 Month LIBOR + 3.50%), due 6/30/24
   4,993    1,668 
           1,308,921 
  Ecological 0.2%          
  GFL Environmental, Inc.          
  2018 Term Loan B
3.99% (1 Month LIBOR + 3.00%), due 5/30/25
   1,066,133    1,030,151 
  2018 Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 5/30/25
   190,769    184,331 
           1,214,482 
  Electronics 0.8%          
  ION Trading Technologies S.A R.L.
Incremental Term Loan B
5.072% (3 Month LIBOR + 4.00%), due 11/21/24
   1,466,038    1,099,528 
  Oberthur Technologies S.A.
2016 Term Loan B1
5.20% (3 Month LIBOR + 3.75%), due 1/10/24
   1,092,422    878,308 
  SS&C Technologies Holdings Europe S.A R.L.
2018 Term Loan B4
2.739% (1 Month LIBOR + 1.75%), due 4/16/25
   1,782,572    1,675,618 
  Trader Corp.
2017 Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 9/28/23
   2,283,127    1,917,826 
           5,571,280 
  Healthcare, Education & Childcare 1.6%          
  Auris Luxembourg III S.A.R.L.
2019 Term Loan B2
4.739% (1 Month LIBOR + 3.75%), due 2/27/26
   1,670,627    1,252,970 
  Bausch Health Companies, Inc.
2018 Term Loan B
3.612% (1 Month LIBOR + 3.00%), due 6/2/25
   5,325,533    5,059,256 
  Endo Luxembourg Finance Co. I S.A R.L.
2017 Term Loan B
5.25% (1 Month LIBOR + 4.25%), due 4/29/24
   2,276,063    2,010,521 
  Mallinckrodt International Finance S.A.
Term Loan B
4.20% (3 Month LIBOR + 2.75%), due 9/24/24
   1,045,086    702,821 
  Sunshine Luxembourg VII S.A R.L.
USD Term Loan B1
5.322% (6 Month LIBOR + 4.25%), due 10/1/26
   1,596,000    1,444,380 
           10,469,948 
  Hotels, Motels, Inns & Gaming 0.7%          
  Four Seasons Hotels, Ltd.
New 1st Lien Term Loan
2.989% (1 Month LIBOR + 2.00%), due 11/30/23
   1,458,357    1,318,772 
  Gateway Casinos & Entertainment, Ltd.
2018 Term Loan B
4.45% (3 Month LIBOR + 3.00%), due 3/13/25
   1,576,937    1,072,317 
  GVC Holdings PLC
2020 Term Loan B3
3.308% (6 Month LIBOR + 2.25%), due 3/29/24
   1,474,925    1,194,689 
  Stars Group Holdings B.V.
2018 Incremental Term Loan
4.95% (3 Month LIBOR + 3.50%), due 7/10/25
   779,399    737,181 
           4,322,959 
  Leisure, Amusement, Motion Pictures & Entertainment 0.8%          
  Bombardier Recreational Products, Inc.
2020 Term Loan
2.989% (1 Month LIBOR + 2.00%), due 5/24/27
   3,340,469    2,772,589 
  Delta 2 (LUX) S.A.R.L.
2018 Term Loan
3.50% (1 Month LIBOR + 2.50%), due 2/1/24
   2,568,089    2,269,549 
           5,042,138 
  Machinery (Non-Agriculture, Non-Construct & Non-Electronic) 0.2%          
  Titan Acquisition, Ltd.
2018 Term Loan B
4.45% (3 Month LIBOR + 3.00%), due 3/28/25
   1,837,500    1,534,312 
             
  Oil & Gas 0.1%          
  NorthRiver Midstream Finance L.P.
2018 Term Loan B
5.159% (3 Month LIBOR + 3.25%), due 10/1/25
   1,182,000    898,320 
             
  Personal & Nondurable Consumer Products (Manufacturing Only) 0.1%          
  Kronos Acquisition Holdings, Inc.
2015 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 5/15/23
   1,003,846    895,096 
             
  Personal, Food & Miscellaneous Services 0.7%          
  1011778 B.C. Unlimited Liability Co.
Term Loan B4
2.739% (1 Month LIBOR + 1.75%), due 11/19/26
   2,181,254    2,006,754 
  Jacobs Douwe Egberts International B.V.
2018 Term Loan B
3.625% (1 Month LIBOR + 2.00%), due 11/1/25
   2,629,751    2,454,433 
           4,461,187 
  Printing & Publishing 0.4%          
  Springer Nature Deutschland GmbH
USD Term Loan B16
4.50% (1 Month LIBOR + 3.50%), due 8/14/24
   2,871,651    2,507,907 
             
  Retail Store 0.1%          
  EG Group, Ltd.
2018 Term Loan B
5.072% (6 Month LIBOR + 4.00%), due 2/7/25
   677,272    484,250 
             
  Telecommunications 1.2%          
  Altice France S.A.
2018 Term Loan B13
4.705% (1 Month LIBOR + 4.00%), due 8/14/26
   1,234,375    1,150,026 
  Connect Finco S.A.R.L.
Term Loan B
5.50% (1 Month LIBOR + 4.50%), due 12/11/26
   4,000,000    3,180,000 
  Intelsat Jackson Holdings S.A.
2017 Term Loan B3
5.682% (6 Month LIBOR + 3.75%), due 11/27/23
   2,639,180    2,408,252 
  Telesat Canada
Term Loan B5
3.74% (1 Month LIBOR + 2.75%), due 12/7/26
   1,496,250    1,376,550 
           8,114,828 
  Total Foreign Floating Rate Loans
(Cost $77,700,509)
        66,382,541 
  Total Long-Term Bonds
(Cost $696,612,129)
        596,048,663 

 

      Shares      
  Affiliated Investment Company 0.3%          
  Fixed Income Fund 0.3%          
  MainStay MacKay High Yield Corporate Bond Fund Class I   436,571    2,134,831 
             
  Total Affiliated Investment Company
(Cost $2,479,721)
        2,134,831 
             
  Common Stocks 0.2%          
  Communications Equipment 0.0% ‡          
  Energy Future Holdings Corp. (e)(f)(h)(i)   94,456    0 
  Millennium Corporate Trust (e)(f)(h)(i)   1,243    0 
  Millennium Lender Trust (e)(f)(h)(i)   1,324    0 
           0 
  Metals & Mining 0.2%          
  AFGlobal Corp. (e)(f)(h)(i)   45,694    1,010,751 
             
  Oil & Gas 0.0% ‡          
  Templar Energy Corp., Class B (e)(f)(h)(i)   36,393    0 
  Templar Energy LLC, Class A (e)(f)(h)(i)   36,029    0 
           0 
  Oil, Gas & Consumable Fuels 0.0% ‡          
  Ascent Resources (e)(f)(h)(i)   122,031    140,336 
  Philadelphia Energy Solutions, Inc., Class A (e)(f)(h)(i)   52,608    0 
           140,336 
  Total Common Stocks
(Cost $2,768,988)
        1,151,087 
             
  Preferred Stocks 0.0% ‡          
  Oil & Gas 0.0% ‡          
  Templar Energy Corp., (8.00% PIK) (e)(f)(g)(h)(i)   58,865    0 
             
  Total Preferred Stocks
(Cost $227,580)
        0 

 

             
      Number of
Rights
      
  Rights 0.0%‡          
  Independent Power & Renewable Electricity Producers 0.0% ‡          
  Vistra Energy Corp. (e)(f)(h)(i)   57,684    61,145 
             
  Total Rights
(Cost $47,301)
        61,145 

 

             
      Number of
Warrants
      
  Warrants 0.0%‡          
  Oil, Gas & Consumable Fuels 0.0% ‡          
  Ascent Resources (e)(f)(h)(i)          
  1st Lien Warrants
Expires 3/30/23
   11,684    117 
  2nd Lien Tranche A
Expires 3/30/23
   15,022    150 
  2nd Lien Tranche B
Expires 3/30/23
   31,000    310 
  Total Warrants
(Cost $6,398)
        577 

 

             
      Principal
Amount
      
  Short-Term Investments 7.2%          
  Repurchase Agreement 0.3%          
  Fixed Income Clearing Corp.
0.00%, dated 3/31/20
due 4/1/20
Proceeds at Maturity $1,800,836 (Collateralized by a United States Treasury Note with a rate of 1.875% and a maturity date of 3/31/22, with a Principal Amount of $1,780,000 and a Market Value of $1,838,615)
  $1,800,836    1,800,836 
             
  Total Repurchase Agreement
(Cost $1,800,836)
        1,800,836 
             
  U.S. Government & Federal Agencies 6.9% (j)          
  Federal Home Loan Banks 5.9%
0.03%, due 5/21/20
   39,000,000    38,998,375 
             
  United States Treasury Bills 1.0%          
  0.272%, due 4/9/20   4,189,000    4,188,751 
  0.295%, due 4/14/20   2,066,000    2,065,783 
           6,254,534 
  Total U.S. Government & Federal Agencies
(Cost $45,252,910)
        45,252,909 
  Total Short-Term Investments
(Cost $47,053,746)
        47,053,745 
  Total Investments
(Cost $749,195,863)
   98.3%   646,450,048 
  Other Assets, Less Liabilities   1.7    11,262,717 
  Net Assets   100.0%  $657,712,765 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Issue in default.
(c) Issue in non-accrual status.
(d) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(e) Illiquid security - As of March 31, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $32,209,736, which represented 4.9% of the Portfolio’s net assets.
(f) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(g) PIK (“Payment-in-Kind”) - issuer may pay interest or dividends with additional securities and/or in cash.
(h) Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of March 31, 2020, the total market value of fair valued securities was $1,212,809, which represented 0.2% of the Portfolio’s net assets.
(i) Non-income producing security.
(j) Interest rate shown represents yield to maturity.

 

The following abbreviations are used in the preceding pages:

LIBOR —London Interbank Offered Rate
TBD —To Be Determined

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets:

                 
Description 

Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)

 

  

Significant
Other
Observable
Inputs
(Level 2)

 

  

Significant
Unobservable
Inputs
(Level 3)

 

   Total  
                        
Asset Valuation Inputs               
                
Investments in Securities (a)               
Long-Term Bonds                    
Corporate Bonds  $   $24,773,335   $   $24,773,335 
Floating Rate Loans (b)       488,472,125    16,420,662    504,892,787 
Foreign Floating Rate Loans       66,382,541        66,382,541 
Total Long-Term Bonds       579,628,001    16,420,662    596,048,663 
Affiliated Investment Company                    
Fixed Income Funds   2,134,831            2,134,831 
Common Stocks (c)           1,151,087    1,151,087 
Preferred Stocks (d)           0    0 
Rights (e)           61,145    61,145 
Warrants (f)           577    577 
Short-Term Investments                    
Repurchase Agreements       1,800,836        1,800,836 
U.S. Government & Federal Agencies       45,252,909        45,252,909 
Total Short-Term Investments       47,053,745        47,053,745 
Total Investments in Securities  $2,134,831   $626,681,746   $17,633,471   $646,450,048 

  

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)The Level 3 securities valued at $16,420,662 are held within the Floating Rate Loans section of the Portfolio of Investments were valued by a pricing service without adjustment.

 

(c)The Level 3 securities valued at $0, $1,010,751, $0 and $140,336 are held in Communications Equipment, Metals & Mining, Oil & Gas and Oil, Gas & Consumable fuels, respectively, within the Common Stocks section of the Portfolio of Investments.

 

(d)The Level 3 security valued at $0 is held in Oil & Gas within the Preferred Stocks section of the Portfolio of Investments.

 

(e)The Level 3 security valued at $61,145 is held in Independent Power & Renewable Electricity Producers within the Rights section of the Portfolio of Investments.

 

(f)The Level 3 securities valued at $577 are held in Oil, Gas & Consumable Fuels, respectively within the Warrants section of the Portfolio of Investments.

  

The following is a reconciliation of investments in which significant unobservable inputs (Level 3) were used in determining value:

 

Investments in Securities  Balance as of December 31, 2019   Accrued Discounts (Premiums)   Realized Gain (Loss)   Change in Unrealized Appreciation (Depreciation)   Purchases   Sales (a)   Transfers
in to
Level 3
   Transfers
out of
Level 3
   Balance as of March 31, 2020   Change in Unrealized Appreciation (Depreciation) from Investments Held at March 31, 2020 
Long-Term Bonds                                                  
Floating Rate Loans  $12,006,938   $13,050   $321   $(3,337,482)  $2,367,336   $(98,065)  $11,563,246   $(6,094,682)  $16,420,662   $- 
Foreign Floating Rate Loans   -    -    -    -    -    -    -    -    -    - 
Common Stocks   2,853,761    -    -    (1,702,674)   -    -    -    -    1,151,087    (1,702,674)
Preferred Stocks   -    -    -    -    -    -    -    -    -    - 
Rights   59,991    -    -    1,154    -    -    -    -    61,145    1,154 
Warrants   3,684    -    -    (3,107)   -    -    -    -    577    (3,107)
                                                   
Total $14,924,374   $13,050   $321   $(5,042,109)  $2,367,336   $(98,065)  $11,563,246   $(6,094,682)  $17,633,471   $(1,704,627)

 

(a) Sales include principal reductions.

 

As of March 31, 2020, securities with a market value of $11,563,246 transferred from Level 2 to Level 3 as the fair value obtained from an independent pricing service, utilized significant unobservable inputs. As of December 31, 2019, the fair value obtained for these securities, as determined by an independent pricing service, utilized significant other observable inputs.

 

As of March 31, 2020, securities with a market value of $6,094,682 transferred from Level 3 to Level 2 as the fair value obtained from an independent pricing service, utilized significant other observable inputs. As of December 31, 2019, the fair value obtained for these securities, as determined by an independent pricing service, utilized significant unobservable inputs.

 

 

 

 

MainStay VP MacKay Unconstrained Bond Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)             

 

     Principal
Amount
   Value 
  Long-Term Bonds 97.3% †
  Asset-Backed Securities 4.5%
  Auto Floor Plan Asset-Backed Securities 0.6%          
  Ford Credit Floorplan Master Owner Trust
Series 2018-4, Class A
4.06%, due 11/15/30
  $5,250,000   $4,979,143 
             
  Automobile Asset-Backed Securities 1.0%          
  Avis Budget Rental Car Funding AESOP LLC
Series 2020-1A, Class A
2.33%, due 8/20/26 (a)
   1,505,000    1,324,452 
  Ford Credit Auto Owner Trust
Series 2020-1, Class A
2.04%, due 8/15/31 (a)
   1,960,000    1,813,335 
  Santander Retail Auto Lease Trust
Series 2019-B, Class A3
2.30%, due 1/20/23 (a)
   2,230,000    2,206,094 
  Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.51%, due 1/26/32 (a)
   1,350,000    1,292,360 
  Toyota Auto Loan Extended Note Trust
Series 2019-1A, Class A
2.56%, due 11/25/31 (a)
   2,775,000    2,811,043 
           9,447,284 
  Credit Cards 0.4%          
  Capital One Multi-Asset Execution Trust
Series 2019-A3, Class A3
2.06%, due 8/15/28
   3,780,000    3,778,599 
             
  Home Equity 0.0% ‡          
  First NLC Trust
Series 2007-1, Class A1
1.017% (1 Month LIBOR + 0.07%), due 8/25/37 (a)(b)
   69,586    34,659 
  MASTR Asset-Backed Securities Trust
Series 2006-HE4, Class A1
0.997% (1 Month LIBOR + 0.05%), due 11/25/36 (b)
   18,568    7,243 
  Morgan Stanley ABS Capital I Trust
Series 2007-HE4, Class A2A
1.057% (1 Month LIBOR + 0.11%), due 2/25/37 (b)
   18,853    6,742 
           48,644 
  Other Asset-Backed Securities 2.5%          
  Carrington Mortgage Loan Trust
Series 2007-HE1, Class A3
1.137% (1 Month LIBOR + 0.19%), due 6/25/37 (b)
   4,400,000    3,809,714 
  CNH Equipment Trust
Series 2019-B, Class A4
2.64%, due 5/15/26
   4,405,000    4,428,670 
  DB Master Finance LLC
Series 2017-1A, Class A2I
3.629%, due 11/20/47 (a)
   1,564,000    1,504,662 
  DLL Securitization Trust
Series 2019-MT3, Class A3
2.08%, due 2/21/23 (a)
   2,380,000    2,317,697 
  Domino’s Pizza Master Issuer LLC
Series 2015-1A, Class A2II
4.474%, due 10/25/45 (a)
   1,983,075    1,924,594 
  Hilton Grand Vacations Trust
Series 2019-AA, Class A
2.34%, due 7/25/33 (a)
   2,991,271    2,535,283 
  JPMorgan Mortgage Acquisition Trust
Series 2007-HE1, Class AF1
1.047% (1 Month LIBOR + 0.10%), due 3/25/47 (b)
   24,269    14,512 
  MVW Owner Trust
Series 2019-2A, Class A
2.22%, due 10/20/38 (a)
   2,588,483    2,376,372 
  Sierra Receivables Funding LLC
Series 2019-3A, Class A
2.34%, due 8/20/36 (a)
   1,475,613    1,350,733 
     Series 2019-1A, Class A
3.20%, due 1/20/36 (a)
   856,400    849,789 
  Wendy’s Funding LLC
Series 2019-1A, Class A2I
3.783%, due 6/15/49 (a)
   2,019,438    1,921,354 
           23,033,380 
  Student Loans 0.0% ‡          
  KeyCorp Student Loan Trust
Series 2000-A, Class A2
1.999% (3 Month LIBOR + 0.32%), due 5/25/29 (b)
   28,812    28,646 
             
  Total Asset-Backed Securities
(Cost $43,499,928)
        41,315,696 
             
  Convertible Bonds 0.5%          
  Machinery - Diversified 0.2%          
  Chart Industries, Inc.
1.00%, due 11/15/24 (a)
   2,474,000    1,945,859 
             
  Semiconductors 0.3%          
  ON Semiconductor Corp.
1.625%, due 10/15/23
   2,562,000    2,551,045 
             
  Total Convertible Bonds
(Cost $4,543,706)
        4,496,904 
             
  Corporate Bonds 59.5%          
  Advertising 0.1%          
  Lamar Media Corp.
5.00%, due 5/1/23
   900,000    891,000 
             
  Aerospace & Defense 0.4%          
  L3Harris Technologies, Inc.
4.40%, due 6/15/28
   3,270,000    3,480,898 
             
  Agriculture 1.1%          
  Altria Group, Inc.
3.80%, due 2/14/24
   3,400,000    3,446,195 
  Bunge, Ltd. Finance Corp.
3.50%, due 11/24/20
   4,435,000    4,471,725 
  JBS Investments II GmbH
7.00%, due 1/15/26 (a)
   1,775,000    1,768,929 
           9,686,849 
  Airlines 1.0%          
  American Airlines Pass-Through Trust
Series 2015-2, Class A
4.00%, due 3/22/29
   405,276    374,178 
  American Airlines, Inc.
Series 2015-2, Class AA, Pass Through Trust
3.60%, due 3/22/29
   810,547    762,210 
  Continental Airlines, Inc.          
  Series 2007-1, Class A
5.983%, due 10/19/23
   540,420    554,082 
  Series 2005-ERJ1
9.798%, due 10/1/22
   50,302    50,338 
  Delta Air Lines, Inc.
Series 2019-1, Class AA
3.204%, due 10/25/25
   3,695,000    3,607,165 
  U.S. Airways Group, Inc.          
  Series 2012-1, Class A
5.90%, due 4/1/26
   1,099,255    1,107,696 
  Series 2010-1, Class A
6.25%, due 10/22/24
   744,558    766,199 
  United Airlines, Inc.          
  Series 2014-2, Class B
4.625%, due 3/3/24
   1,016,534    951,080 
  Series 2007-1, Pass Through Trust
6.636%, due 1/2/24
   1,555,845    1,423,878 
           9,596,826 
  Auto Manufacturers 1.4%          
  Daimler Finance North America LLC
2.301% (3 Month LIBOR + 0.55%), due 5/4/21 (a)(b)
   2,335,000    2,244,770 
  Ford Motor Credit Co. LLC          
  2.927% (3 Month LIBOR + 1.235%), due 2/15/23 (b)   1,230,000    921,985 
  4.063%, due 11/1/24   2,485,000    2,255,138 
  4.25%, due 9/20/22   900,000    837,000 
  General Motors Financial Co., Inc.
3.45%, due 4/10/22
   4,000,000    3,763,327 
  Volkswagen Group of America Finance LLC
3.875%, due 11/13/20 (a)
   3,100,000    3,090,035 
           13,112,255 
  Auto Parts & Equipment 0.4%          
  LKQ European Holdings B.V.
3.625%, due 4/1/26 (a)
  EUR2,835,000    2,785,732 
  ZF North America Capital, Inc.
4.00%, due 4/29/20 (a)
  $740,000    736,300 
           3,522,032 
  Banks 11.8%          
  Bank of America Corp.          
  3.004%, due 12/20/23 (c)   6,566,000    6,698,608 
  3.705%, due 4/24/28 (c)   1,695,000    1,733,089 
  4.30%, due 1/28/25 (c)(d)   4,056,000    3,488,160 
  6.30%, due 3/10/26 (c)(d)   1,810,000    1,900,500 
  8.57%, due 11/15/24   455,000    563,688 
  Bank of New York Mellon Corp.
2.661%, due 5/16/23 (c)
   3,715,000    3,729,748 
  Barclays Bank PLC          
  5.14%, due 10/14/20   4,249,000    4,199,294 
  Series Reg S
10.00%, due 5/21/21
  GBP401,000    527,748 
  Barclays PLC
5.20%, due 5/12/26
  $1,725,000    1,772,265 
  BNP Paribas S.A.
3.052%, due 1/13/31 (a)(c)
   2,900,000    2,711,741 
  Citibank N.A.
3.165%, due 2/19/22 (c)
   4,200,000    4,221,798 
  Citigroup, Inc.          
  5.50%, due 9/13/25   2,710,000    2,967,554 
  6.30%, due 5/15/24 (c)(d)   3,975,000    3,757,369 
  Citizens Financial Group, Inc.          
  4.15%, due 9/28/22 (a)   1,450,000    1,484,226 
  4.30%, due 12/3/25   2,550,000    2,668,835 
  Discover Bank
7.00%, due 4/15/20
   1,005,000    1,005,834 
  Goldman Sachs Group, Inc.          
  2.60%, due 2/7/30   3,175,000    2,994,210 
  2.862% (3 Month LIBOR + 1.17%), due 5/15/26 (b)   3,075,000    2,826,712 
  2.876%, due 10/31/22 (c)   2,300,000    2,310,623 
  3.625%, due 1/22/23   2,813,000    2,886,762 
  5.25%, due 7/27/21   1,900,000    1,960,942 
  6.75%, due 10/1/37   1,828,000    2,419,841 
  Huntington Bancshares, Inc.
3.15%, due 3/14/21
   3,910,000    3,920,105 
  Huntington National Bank
3.55%, due 10/6/23
   1,445,000    1,497,812 
  JPMorgan Chase & Co.(c)          
  3.54%, due 5/1/28   6,265,000    6,447,044 
  4.60%, due 2/1/25 (d)   3,747,000    3,279,374 
  Lloyds Banking Group PLC          
  2.907%, due 11/7/23 (c)   1,160,000    1,151,560 
  4.582%, due 12/10/25   2,500,000    2,528,655 
  Morgan Stanley          
  3.875%, due 4/29/24   6,015,000    6,319,245 
  3.875%, due 1/27/26   400,000    427,247 
  4.875%, due 11/1/22   1,931,000    2,026,364 
  5.00%, due 11/24/25   3,840,000    4,203,783 
  5.441% (3 Month LIBOR + 3.61%), due 7/15/20 (b)(d)   2,125,000    1,790,313 
  Popular, Inc.
6.125%, due 9/14/23
   1,953,000    1,806,525 
  Royal Bank of Scotland Group PLC          
  6.00%, due 12/19/23   205,000    214,895 
  6.125%, due 12/15/22   970,000    1,001,959 
  Santander Holdings USA, Inc.
3.40%, due 1/18/23
   5,055,000    4,993,960 
  Truist Bank
2.636% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (b)
   2,700,000    2,580,077 
  Wells Fargo & Co.          
  3.00%, due 10/23/26   1,640,000    1,676,313 
  5.875%, due 6/15/25 (c)(d)   595,000    603,925 
  5.90%, due 6/15/24 (c)(d)   3,270,000    3,204,600 
           108,503,303 
  Beverages 1.0%          
  Anheuser-Busch InBev Worldwide, Inc.          
  4.15%, due 1/23/25   915,000    982,261 
  4.75%, due 1/23/29   1,833,000    2,023,357 
  Constellation Brands, Inc.
4.25%, due 5/1/23
   2,985,000    3,012,860 
  Molson Coors Beverage Co.
2.10%, due 7/15/21
   3,129,000    3,064,880 
           9,083,358 
  Biotechnology 0.4%          
  Biogen, Inc.
3.625%, due 9/15/22
   3,560,000    3,656,400 
             
  Building Materials 0.7%          
  Builders FirstSource, Inc.
5.00%, due 3/1/30 (a)
   1,925,000    1,732,500 
  Standard Industries, Inc.(a)          
  4.75%, due 1/15/28   970,000    893,321 
  5.375%, due 11/15/24   3,680,000    3,551,200 
           6,177,021 
  Chemicals 0.6%          
  Ashland LLC
4.75%, due 8/15/22
   283,000    278,755 
  Braskem Netherlands Finance B.V.
4.50%, due 1/10/28 (a)
   1,015,000    811,249 
  Orbia Advance Corp. S.A.B. de C.V.
4.00%, due 10/4/27 (a)
   2,200,000    1,914,000 
  W.R. Grace & Co.
5.125%, due 10/1/21 (a)
   2,915,000    2,944,150 
           5,948,154 
  Commercial Services 2.0%          
  Ashtead Capital, Inc.
4.25%, due 11/1/29 (a)
   2,250,000    1,905,874 
  California Institute of Technology
3.65%, due 9/1/2119
   2,434,000    2,518,354 
  Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   2,435,000    2,264,550 
  IHS Markit, Ltd.          
  4.125%, due 8/1/23   2,175,000    2,228,875 
  4.75%, due 2/15/25 (a)   3,105,000    3,182,625 
  PayPal Holdings, Inc.
2.40%, due 10/1/24
   3,625,000    3,542,894 
  Service Corp. International
5.375%, due 5/15/24
   530,000    539,275 
  Trustees of the University of Pennsylvania
3.61%, due 2/15/19
   2,515,000    2,540,241 
           18,722,688 
  Computers 0.8%          
  Dell International LLC / EMC Corp.(a)          
  4.90%, due 10/1/26   3,695,000    3,636,588 
  6.02%, due 6/15/26   625,000    645,051 
  8.10%, due 7/15/36   1,240,000    1,424,777 
  Hewlett Packard Enterprise Co.
4.40%, due 10/15/22
   1,560,000    1,589,873 
           7,296,289 
  Distribution & Wholesale 0.5%          
  H&E Equipment Services, Inc.
5.625%, due 9/1/25
   3,000,000    2,782,500 
  Performance Food Group, Inc.
5.50%, due 10/15/27 (a)
   1,534,000    1,422,785 
           4,205,285 
  Diversified Financial Services 2.7%          
  AerCap Ireland Capital DAC / AerCap Global Aviation Trust          
  4.45%, due 12/16/21   2,200,000    2,023,125 
  4.625%, due 10/30/20   3,585,000    3,477,637 
  Air Lease Corp.          
  2.30%, due 2/1/25   3,640,000    2,775,636 
  2.625%, due 7/1/22   2,155,000    1,838,237 
  2.75%, due 1/15/23   1,040,000    876,575 
  Ally Financial, Inc.          
  5.75%, due 11/20/25   3,570,000    3,492,174 
  8.00%, due 11/1/31   3,450,000    3,997,515 
  Avolon Holdings Funding, Ltd.
3.25%, due 2/15/27 (a)
   2,340,000    1,835,104 
  Capital One Financial Corp.
5.55%, due 6/1/20 (c)(d)
   2,365,000    2,033,900 
  Discover Financial Services
3.85%, due 11/21/22
   300,000    306,243 
  Nationstar Mortgage Holdings, Inc.
6.00%, due 1/15/27 (a)
   1,725,000    1,466,250 
  Springleaf Finance Corp.
6.125%, due 3/15/24
   880,000    866,853 
           24,989,249 
  Electric 3.3%          
  AEP Transmission Co. LLC
3.10%, due 12/1/26
   3,360,000    3,491,688 
  Appalachian Power Co.
3.30%, due 6/1/27
   1,400,000    1,420,029 
  Baltimore Gas & Electric Co.
2.40%, due 8/15/26
   3,260,000    3,135,096 
  Berkshire Hathaway Energy Co.
2.375%, due 1/15/21
   1,700,000    1,704,124 
  CMS Energy Corp.
5.05%, due 3/15/22
   1,350,000    1,393,997 
  Duke Energy Corp.
4.875% (5 Year Treasury Constant Maturity Rate + 3.388%), due 9/16/24 (b)(d)
   2,625,000    2,205,000 
  Duquesne Light Holdings, Inc.(a)          
  5.90%, due 12/1/21   1,494,000    1,591,227 
  6.40%, due 9/15/20   3,435,000    3,508,608 
  Entergy Arkansas LLC
3.50%, due 4/1/26
   960,000    1,016,711 
  FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
   1,675,000    1,742,836 
  Florida Power & Light Co.
2.75%, due 6/1/23
   2,155,000    2,226,425 
  Public Service Electric & Gas Co.
3.00%, due 5/15/27
   2,635,000    2,692,325 
  Puget Energy, Inc.
5.625%, due 7/15/22
   585,000    584,947 
  WEC Energy Group, Inc.          
  3.10%, due 3/8/22   2,165,000    2,190,128 
  3.804% (3 Month LIBOR + 2.113%), due 5/15/67 (b)   1,860,340    1,495,296 
           30,398,437 
  Entertainment 0.5%          
  Eldorado Resorts, Inc.          
  6.00%, due 4/1/25   517,000    465,300 
  7.00%, due 8/1/23   2,395,000    2,149,536 
  International Game Technology PLC
6.25%, due 2/15/22 (a)
   2,595,000    2,386,129 
           5,000,965 
  Environmental Controls 0.5%          
  Republic Services, Inc.
4.75%, due 5/15/23
   3,665,000    3,870,146 
  Waste Management, Inc.
2.40%, due 5/15/23
   505,000    496,622 
           4,366,768 
  Food 1.3%          
  JBS USA LUX S.A. / JBS Food Co. / JBS USA Finance, Inc.
5.50%, due 1/15/30 (a)
   1,435,000    1,481,637 
  Kerry Group Financial Services Unlimited Co.
3.20%, due 4/9/23 (a)
   2,151,000    2,274,801 
  Kraft Heinz Foods Co.
5.00%, due 7/15/35
   997,000    991,226 
  Mondelez International Holdings Netherlands B.V.
2.125%, due 9/19/22 (a)
   3,500,000    3,467,530 
  Smithfield Foods, Inc.
3.35%, due 2/1/22 (a)
   1,805,000    1,755,842 
  Sysco Corp.
3.30%, due 7/15/26
   1,735,000    1,650,108 
           11,621,144 
  Forest Products & Paper 0.7%          
  Georgia-Pacific LLC          
  5.40%, due 11/1/20 (a)   4,000,000    4,038,227 
  8.00%, due 1/15/24   2,180,000    2,643,369 
           6,681,596 
  Health Care - Products 0.9%          
  Abbott Laboratories
3.40%, due 11/30/23
   2,185,000    2,292,986 
  Baxter International, Inc.
2.60%, due 8/15/26
   6,085,000    6,052,327 
           8,345,313 
  Health Care - Services 0.2%          
  NYU Langone Hospitals
3.38%, due 7/1/55
   1,880,000    1,744,905 
             
  Holding Company - Diversified 0.4%          
  CK Hutchison International (17) II, Ltd.
3.25%, due 9/29/27 (a)
   3,260,000    3,359,617 
             
  Home Builders 0.6%          
  D.R. Horton, Inc.
4.375%, due 9/15/22
   3,350,000    3,412,907 
  Toll Brothers Finance Corp.
5.875%, due 2/15/22
   2,475,000    2,468,812 
           5,881,719 
  Home Furnishing 0.4%          
  Panasonic Corp.
2.536%, due 7/19/22 (a)
   3,500,000    3,436,852 
             
  Housewares 0.2%          
  Scotts Miracle-Gro Co.
5.25%, due 12/15/26
   1,960,000    1,862,000 
             
  Insurance 2.3%          
  Liberty Mutual Group, Inc.
4.25%, due 6/15/23 (a)
   2,695,000    2,743,777 
  Lincoln National Corp.
4.049% (3 Month LIBOR + 2.358%), due 5/17/66 (b)
   6,418,000    3,979,160 
  MassMutual Global Funding II
2.95%, due 1/11/25 (a)
   2,995,000    3,056,819 
  Principal Life Global Funding II
2.375%, due 11/21/21 (a)
   5,550,000    5,442,580 
  Protective Life Corp.
8.45%, due 10/15/39
   1,564,000    2,216,528 
  Reliance Standard Life Global Funding II
2.50%, due 10/30/24 (a)
   3,100,000    2,968,605 
  Willis North America, Inc.
3.875%, due 9/15/49
   840,000    865,274 
           21,272,743 
  Internet 2.2%          
  Booking Holdings, Inc.
3.60%, due 6/1/26
   2,875,000    2,803,968 
  Expedia Group, Inc.          
  3.25%, due 2/15/30   2,315,000    1,937,875 
  3.80%, due 2/15/28   2,245,000    1,940,559 
  5.00%, due 2/15/26   315,000    284,566 
  Match Group, Inc.
5.00%, due 12/15/27 (a)
   1,775,000    1,695,125 
  Tencent Holdings, Ltd.
3.80%, due 2/11/25 (a)
   5,450,000    5,803,189 
  VeriSign, Inc.
4.625%, due 5/1/23
   3,670,000    3,660,825 
  Weibo Corp.
3.50%, due 7/5/24
   1,625,000    1,624,501 
           19,750,608 
  Investment Company 0.2%          
  Icahn Enterprises, L.P. / Icahn Enterprises Finance Corp.
6.25%, due 5/15/26
   2,440,000    2,305,800 
             
  Iron & Steel 0.6%          
  ArcelorMittal S.A.
4.55%, due 3/11/26
   3,205,000    2,874,212 
  Vale Overseas, Ltd.
6.25%, due 8/10/26
   2,780,000    3,002,456 
           5,876,668 
  Leisure Time 0.3%          
  NCL Corp., Ltd.
3.625%, due 12/15/24 (a)
   810,000    516,618 
  Royal Caribbean Cruises, Ltd.
2.65%, due 11/28/20
   2,630,000    2,368,429 
           2,885,047 
  Lodging 0.9%          
  Boyd Gaming Corp.
6.375%, due 4/1/26
   1,000    865 
  Hilton Domestic Operating Co., Inc.
4.875%, due 1/15/30
   2,120,000    1,802,000 
  Marriott International, Inc.
3.75%, due 10/1/25
   4,205,000    3,920,232 
  MGM Resorts International
6.00%, due 3/15/23
   2,300,000    2,219,500 
           7,942,597 
  Machinery - Diversified 0.8%          
  CNH Industrial Capital LLC          
  4.375%, due 4/5/22   3,550,000    3,488,052 
  4.875%, due 4/1/21   4,355,000    4,256,441 
           7,744,493 
  Media 1.8%          
  CCO Holdings LLC / CCO Holdings Capital Corp.
5.875%, due 4/1/24 (a)
   1,224,000    1,254,600 
  Charter Communications Operating LLC / Charter Communications Operating Capital Corp.
4.464%, due 7/23/22
   2,770,000    2,873,177 
  Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (a)(e)
   4,528,000    3,028,100 
  Grupo Televisa S.A.B.
5.25%, due 5/24/49
   1,735,000    1,783,347 
  Sirius XM Radio, Inc.(a)          
  3.875%, due 8/1/22   2,545,000    2,535,456 
  5.375%, due 7/15/26   3,000,000    3,059,700 
  Sky, Ltd.
3.75%, due 9/16/24 (a)
   1,105,000    1,145,115 
  Time Warner Entertainment Co., L.P.
8.375%, due 3/15/23
   740,000    835,324 
           16,514,819 
  Mining 0.6%          
  Anglo American Capital PLC
4.125%, due 4/15/21 (a)
   3,300,000    3,251,701 
  Corp. Nacional del Cobre de Chile
3.00%, due 9/30/29 (a)
   2,055,000    1,893,563 
           5,145,264 
  Miscellaneous - Manufacturing 0.2%          
  Textron Financial Corp.
3.427% (3 Month LIBOR + 1.735%), due 2/15/67 (a)(b)
   3,720,000    2,101,800 
             
  Oil & Gas 2.2%          
  Concho Resources, Inc.
4.30%, due 8/15/28
   2,900,000    2,504,319 
  Gazprom PJSC Via Gaz Capital S.A.
7.288%, due 8/16/37 (a)
   2,500,000    3,189,850 
  Marathon Petroleum Corp.
5.125%, due 12/15/26
   5,755,000    5,697,616 
  Occidental Petroleum Corp.
(zero coupon), due 10/10/36
   6,555,000    2,540,063 
  Petroleos Mexicanos
6.75%, due 9/21/47
   4,990,000    3,250,486 
  Valero Energy Corp.
4.00%, due 4/1/29
   2,250,000    2,131,798 
  WPX Energy, Inc.
4.50%, due 1/15/30
   1,320,000    716,760 
           20,030,892 
  Packaging & Containers 1.5%          
  Ball Corp.
5.00%, due 3/15/22
   4,240,000    4,282,400 
  Berry Global, Inc.
4.875%, due 7/15/26 (a)
   166,000    167,660 
  Reynolds Group Issuer, Inc. / Reynolds Group Issuer LLC
5.125%, due 7/15/23 (a)
   4,215,000    4,172,850 
  Sealed Air Corp.(a)          
  4.00%, due 12/1/27   1,430,000    1,330,043 
  4.875%, due 12/1/22   1,875,000    1,877,344 
  WestRock RKT Co.
4.00%, due 3/1/23
   2,230,000    2,148,567 
           13,978,864 
  Pharmaceuticals 1.9%          
  AbbVie, Inc.
4.25%, due 11/21/49 (a)
   3,065,000    3,256,076 
  Allergan Funding SCS
3.45%, due 3/15/22
   4,165,000    4,324,678 
  Bausch Health Cos., Inc.
5.50%, due 11/1/25 (a)
   4,590,000    4,637,277 
  Becton Dickinson & Co.
3.363%, due 6/6/24
   2,245,000    2,244,162 
  Zoetis, Inc.          
  2.135% (3 Month LIBOR + 0.44%), due 8/20/21 (b)   1,655,000    1,518,633 
  3.25%, due 8/20/21   1,045,000    1,057,728 
           17,038,554 
  Pipelines 0.9%          
  Enterprise Products Operating LLC          
  3.95%, due 1/31/60   1,760,000    1,478,953 
  4.20%, due 1/31/50   545,000    519,964 
  MPLX, L.P.          
  4.00%, due 3/15/28   2,500,000    2,168,150 
  4.125%, due 3/1/27   1,780,000    1,516,730 
  Spectra Energy Partners, L.P.
4.75%, due 3/15/24
   818,000    785,903 
  Targa Resources Partners, L.P. / Targa Resources Partners Finance Corp.
5.25%, due 5/1/23
   950,000    817,000 
  Western Midstream Operating L.P.
5.25%, due 2/1/50
   1,975,000    818,386 
           8,105,086 
  Real Estate 0.1%          
  Realogy Group LLC / Realogy Co-Issuer Corp.
5.25%, due 12/1/21 (a)
   640,000    592,000 
             
  Real Estate Investment Trusts 1.7%          
  American Tower Corp.
3.00%, due 6/15/23
   5,000,000    5,006,571 
  Boston Properties, L.P.
3.20%, due 1/15/25
   4,800,000    4,844,159 
  Crown Castle International Corp.
3.40%, due 2/15/21
   1,255,000    1,263,443 
  CyrusOne L.P. / CyrusOne Finance Corp.
3.45%, due 11/15/29
   2,030,000    1,791,901 
  Equinix, Inc.
5.875%, due 1/15/26
   2,275,000    2,321,342 
  Host Hotels & Resorts, L.P.
3.75%, due 10/15/23
   329,000    288,766 
  Iron Mountain, Inc.
6.00%, due 8/15/23
   340,000    341,700 
           15,857,882 
  Retail 1.3%          
  Alimentation Couche-Tard, Inc.
2.70%, due 7/26/22 (a)
   1,650,000    1,631,122 
  Darden Restaurants, Inc.
3.85%, due 5/1/27
   2,025,000    1,848,044 
  Dollar General Corp.
3.25%, due 4/15/23
   4,115,000    4,184,867 
  Home Depot, Inc.
3.30%, due 4/15/40
   1,750,000    1,792,637 
  Starbucks Corp.
4.45%, due 8/15/49
   2,065,000    2,369,199 
           11,825,869 
  Semiconductors 0.8%          
  Broadcom, Inc.
3.625%, due 10/15/24 (a)
   2,470,000    2,430,612 
  NXP B.V. / NXP Funding LLC (a)          
  4.625%, due 6/15/22   1,755,000    1,815,749 
  4.625%, due 6/1/23   1,065,000    1,096,170 
  ON Semiconductor Corp.
2019 Term Loan B
2.989% (1 Month LIBOR + 2.00%), due 9/19/26 (b)
   1,876,717    1,750,039 
           7,092,570 
  Software 0.9%          
  Fiserv, Inc.          
  2.75%, due 7/1/24   1,135,000    1,139,316 
  3.20%, due 7/1/26   720,000    743,665 
  MSCI, Inc.
5.75%, due 8/15/25 (a)
   4,005,000    4,134,602 
  PTC, Inc.
6.00%, due 5/15/24
   2,569,000    2,643,552 
           8,661,135 
  Telecommunications 3.8%          
  AT&T, Inc.          
  2.875% (EUAM DB05 + 3.14%), due 3/2/25 (b)(d)   EUR2,200,000    2,171,221 
  3.20%, due 3/1/22   $4,275,000    4,334,536 
  CommScope Technologies LLC
5.00%, due 3/15/27 (a)
   1,600,000    1,388,000 
  CommScope, Inc.
5.00%, due 6/15/21 (a)
   120,000    118,800 
  Crown Castle Towers LLC(a)          
  3.72%, due 7/15/43   1,550,000    1,559,712 
  4.241%, due 7/15/48   3,755,000    3,796,427 
  Hughes Satellite Systems Corp.
5.25%, due 8/1/26
   540,000    534,600 
  Sprint Communications, Inc.
6.00%, due 11/15/22
   2,775,000    2,879,062 
  Sprint Spectrum Co. LLC / Sprint Spectrum Co. II LLC / Sprint Spectrum Co. III LLC
4.738%, due 9/20/29 (a)
   4,750,000    4,845,000 
  T-Mobile USA, Inc.          
  4.50%, due 2/1/26   2,245,000    2,295,512 
  6.00%, due 3/1/23   1,200,000    1,206,612 
  6.50%, due 1/15/26   1,235,000    1,296,750 
  Telefonica Emisiones SAU
5.462%, due 2/16/21
   279,000    282,885 
     4.57%, due 4/27/23   1,781,000    1,827,363 
  Verizon Communications, Inc.          
  2.792% (3 Month LIBOR + 1.10%), due 5/15/25 (b)   2,455,000    2,237,790 
  5.15%, due 9/15/23   1,722,000    1,912,650 
  Vodafone Group PLC
4.25%, due 9/17/50
   2,020,000    2,076,240 
           34,763,160 
  Transportation 0.6%          
  United Parcel Service, Inc.
2.50%, due 4/1/23
   4,965,000    5,126,868 
             
  Total Corporate Bonds
(Cost $567,380,401)
        546,183,642 
             
  Foreign Government Bonds 1.5%          
  Brazil 0.8%          
  Brazilian Government International Bond
4.625%, due 1/13/28
   6,824,000    7,267,560 
             
  Mexico 0.7%          
  Mexico Government International Bond
3.25%, due 4/16/30
   6,491,000    6,101,540 
             
  Total Foreign Government Bonds
(Cost $13,752,817)
        13,369,100 
             
  Loan Assignments 6.0% (b)          
  Advertising 0.3%          
  Syneos Health, Inc.
2018 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 8/1/24
   2,550,777    2,448,746 
             
  Chemicals, Plastics & Rubber 0.4%          
  Axalta Coating Systems U.S. Holdings, Inc.
Term Loan B3
3.20% (3 Month LIBOR + 1.75%), due 6/1/24
   3,747,867    3,479,269 
             
  Distribution & Wholesale 0.0% ‡          
  KAR Auction Services, Inc.
2019 Term Loan B6
3.188% (1 Month LIBOR + 2.25%), due 9/19/26
   410,723    377,865 
             
  Environmental Controls 0.3%          
  GFL Environmental, Inc.
2018 Term Loan B
3.991% (1 Month LIBOR + 3.00%), due 5/30/25
   3,102,977    2,998,252 
             
  Food - Wholesale 0.5%          
  U.S. Foods, Inc.
2016 Term Loan B
2.822% (1 Month LIBOR + 1.75%), due 6/27/23
   5,077,188    4,704,862 
             
  Health Services 0.5%          
  BWAY Holding Co.
2017 Term Loan B
5.084% (3 Month LIBOR + 3.25%), due 4/3/24
   5,083,862    4,130,638 
             
  Household Products & Wares 0.2%          
  Prestige Brands, Inc.
Term Loan B4
2.989% (1 Month LIBOR + 2.00%), due 1/26/24
   2,230,625    2,067,047 
             
  Insurance 0.4%          
  Alliant Holdings Intermediate, LLC
2018 Term Loan B
3.989% (1 Month LIBOR + 3.00%), due 5/9/25
   4,019,544    3,684,584 
             
  Internet 0.2%          
  Match Group, Inc.
2020 Term Loan B
3.457% (3 Month LIBOR + 1.75%), due 2/5/27
   1,859,000    1,710,280 
             
  Leisure Time 0.3%          
  Bombardier Recreational Products, Inc.
2020 Term Loan
2.989% (1 Month LIBOR + 2.00%), due 5/24/27
   3,028,875    2,513,966 
             
  Media 0.3%          
  Nielsen Finance LLC
Term Loan B4
3.005% (1 Month LIBOR + 2.00%), due 10/4/23
   2,917,500    2,688,963 
             
  Real Estate 0.4%          
  Realogy Group LLC
2018 Term Loan B
3.831% (1 Month LIBOR + 2.25%), due 2/8/25
   4,342,786    3,691,368 
             
  Software 0.4%          
  IQVIA, Inc.
2018 USD Term Loan B3
3.20% (3 Month LIBOR + 1.75%), due 6/11/25
   3,782,625    3,524,147 
             
  Support Services 1.0%          
  Advanced Disposal Services, Inc.
Term Loan B3
2.894% (1 Week LIBOR + 2.25%), due 11/10/23
   5,493,828    5,438,890 
  Change Healthcare Holdings, Inc.
2017 Term Loan B
3.50% (1 Month LIBOR + 2.50%), due 3/1/24
   4,570,267    4,143,710 
           9,582,600 
  Telecommunications 0.8%          
  Level 3 Financing, Inc.
2019 Term Loan B
2.739% (1 Month LIBOR + 1.75%), due 3/1/27
   3,963,602    3,686,150 
  SBA Senior Finance II LLC
2018 Term Loan B
2.74% (1 Month LIBOR + 1.75%), due 4/11/25
   4,202,191    3,957,064 
           7,643,214 
  Total Loan Assignments
(Cost $60,151,394)
        55,245,801 
             
  Mortgage-Backed Securities 15.6%          
  Agency (Collateralized Mortgage Obligations) 3.2%          
  Federal Home Loan Mortgage Corporation          
  REMIC, Series 4908, Class BD
3.00%, due 4/25/49
   2,690,000    2,863,626 
  REMIC, Series 4911, Class MB
3.00%, due 9/25/49
   150,000    158,902 
  REMIC Series 4888, Class BA
3.50%, due 9/15/48
   2,122,118    2,209,604 
  REMIC, Series 4924, Class NS
5.345% (1 Month LIBOR + 6.05%), due 10/25/49 (b)
   7,245,961    1,179,713 
  REMIC, Series 4957, Class SB
5.345% (1 Month LIBOR + 6.05%), due 11/25/49 (b)
   6,235,920    939,350 
  Federal National Mortgage Association          
  REMIC, Series 2019-39, Class LA
3.00%, due 2/25/49
   3,223,622    3,443,748 
  Series 2019-25, Class PA
3.00%, due 5/25/48
   2,563,757    2,728,147 
  REMIC, Series 2019-74, Class BA
3.50%, due 12/25/59
   4,045,971    4,472,703 
  Federal National Mortgage Association (Collateralized Mortgage Obligations)
REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   3,573,724    3,896,708 
  Government National Mortgage Association          
  Series 2014-91, Class MA
3.00%, due 1/16/40
   2,763,420    2,934,103 
  Series 2019-29, Class CB
3.00%, due 10/20/48
   2,131,947    2,252,879 
  Series 2019-43, Class PL
3.00%, due 4/20/49
   2,503,459    2,664,751 
  Series 2019-74, Class AT
3.00%, due 6/20/49
   92,232    98,756 
           29,842,990 
  Agency Collateral PAC CMO 0.7%          
  Federal Home Loan Mortgage Corporation
REMIC, Series 4926, Class BP
3.00%, due 10/25/49
   5,880,000    6,212,554 
             
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 8.2%          
  Bank          
  Series 2019-BN21, Class A5
2.851%, due 10/17/52
   3,800,000    3,909,057 
  Series 2019-BN19, Class A2
2.926%, due 8/15/61
   3,965,000    4,108,855 
  Benchmark Mortgage Trust          
  Series 2019-B14, Class A5
3.049%, due 12/15/62
   2,970,000    3,104,858 
  Series 2019-B12, Class A5
3.116%, due 8/15/52
   3,752,000    3,925,229 
  BX Trust (a)          
  Series 2019-0C11, Class B
3.605%, due 12/9/41
   1,010,000    873,527 
  Series 2019-0C11, Class C
3.856%, due 12/9/41
   2,940,000    2,429,384 
  Series 2019-0C11, Class D
4.076%, due 12/9/41 (f)
   705,000    553,191 
  CSAIL Commercial Mortgage Trust
Series 2015-C3, Class A4
3.718%, due 8/15/48
   1,950,220    2,042,178 
  FREMF Mortgage Trust (a)(g)          
  Series 2013-K33, Class B
3.499%, due 8/25/46
   3,090,000    3,108,272 
  Series 2013-K30, Class B
3.556%, due 6/25/45
   4,220,000    4,135,707 
  Series 2015-K721, Class B
3.565%, due 11/25/47
   2,075,000    2,042,123 
  Series 2013-K35, Class B
3.939%, due 12/25/46
   2,375,000    2,423,416 
  GS Mortgage Securities Trust          
  Series 2019-BOCA, Class A
1.905% (1 Month LIBOR + 1.20%), due 6/15/38 (a)(b)
   4,660,000    3,760,993 
  Series 2019-GC42, Class A4
3.001%, due 9/1/52
   1,490,000    1,545,594 
  Series 2019-GC40, Class A4
3.16%, due 7/10/52
   2,699,000    2,834,073 
  Series 2017-GS7, Class A4
3.43%, due 8/10/50
   2,990,000    3,089,130 
  Hawaii Hotel Trust
Series 2019-MAUI, Class A
1.855% (1 Month LIBOR + 1.15%), due 5/15/38 (a)(b)
   2,480,000    2,029,838 
  Hudson Yards Mortgage Trust
Series 2019-30HY, Class A
3.228%, due 7/10/39 (a)
   2,825,000    2,983,062 
  JP Morgan Chase Commercial Mortgage Securities Trust          
  Series 2018-AON, Class A
4.128%, due 7/5/31 (a)
   3,043,000    3,097,863 
  Series 2013-C16, Class A4
4.166%, due 12/15/46
   2,930,000    3,108,485 
  JPMBB Commercial Mortgage Securities Trust
Series 2014-C26, Class A3
3.231%, due 1/15/48
   2,092,995    2,159,187 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series-2015-C23, Class A3
3.451%, due 7/15/50
   1,430,000    1,495,569 
  One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (a)
   5,155,000    5,137,055 
  Wells Fargo Commercial Mortgage Trust          
  Series 2019-C53, Class A3
2.787%, due 10/15/52
   775,000    784,450 
  Series 2019-C53, Class A4
3.04%, due 10/15/52
   3,261,000    3,364,793 
  Series 2018-1745, Class A
3.749%, due 6/15/36 (a)(g)
   2,900,000    2,861,417 
  Series 2018-AUS, Class A
4.058%, due 8/17/36 (a)(g)
   4,325,000    4,434,456 
           75,341,762 
  Whole Loan (Collateralized Mortgage Obligations) 3.5%          
  Chase Home Lending Mortgage Trust (a)(f)          
  Series 2019-ATR2, Class A3
3.50%, due 7/25/49
   825,838    836,386 
  Series 2019-ATR1, Class A4
4.00%, due 4/25/49
   1,642,504    1,642,510 
  Fannie Mae Connecticut Avenue Securities
Series 2016-C06, Class 1M2
5.197% (1 Month LIBOR + 4.25%), due 4/25/29 (b)
   3,120,000    3,000,806 
  Fannie Mae Connecticut Avenue Securities (Mortgage Pass-Through Securities) (b)          
  Series 2017-C02, Class 2M2
4.597% (1 Month LIBOR + 3.65%), due 9/25/29
   1,220,000    880,559 
  Series 2016-C04, Class 1M2
5.197% (1 Month LIBOR + 4.25%), due 1/25/29
   2,489,150    2,339,461 
  Series 2016-C07, Class 2M2
5.297% (1 Month LIBOR + 4.35%), due 5/25/29
   1,690,933    1,612,198 
  Series 2016-C05, Class 2M2
5.397% (1 Month LIBOR + 4.45%), due 1/25/29
   4,700,124    4,485,683 
  Series 2016-C05, Class 2M2B
5.397% (1 Month LIBOR + 4.45%), due 1/25/29
   3,250,000    2,704,799 
  Federal Home Loan Mortgage Corporation Structured Agency Credit Risk Debt Notes (b)          
  Series 2016-DNA4, Class M3
4.747% (1 Month LIBOR + 3.80%), due 3/25/29
   1,950,000    1,808,625 
  Series 2016-HQA3, Class M3
4.797% (1 Month LIBOR + 3.85%), due 3/25/29
   5,458,561    4,850,402 
  Series 2016-HQA1, Class M3
7.297% (1 Month LIBOR + 6.35%), due 9/25/28
   797,560    786,313 
  GMRF Mortgage Acquisition Co. LLC
Series 2018-2, Class A51
4.50%, due 10/25/58 (a)(f)
   1,750,000    1,717,046 
  JP Morgan Mortgage Trust
Series 2019-1, Class A3
4.00%, due 5/25/49 (a)(f)
   1,110,696    1,124,348 
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   2,250,756    2,329,949 
  Sequoia Mortgage Trust (a)(f)          
  Series 2017-1, Class A4
3.50%, due 2/25/47
   836,785    841,670 
  Series 2018-7, Class B3
4.228%, due 9/25/48
   1,448,111    1,301,917 
           32,262,672 
  Total Mortgage-Backed Securities
(Cost $146,906,605)
        143,659,978 
             
  Municipal Bonds 0.4%          
  California 0.3%          
  Regents of the University of California Medical Center Pooled Revenue, Revenue Bonds
Series N
3.006%, due 5/15/50
   3,170,000    2,893,417 
             
  New York 0.1%          
  New York State Thruway Authority, Revenue Bonds
Series M
2.90%, due 1/1/35
   640,000    633,664 
             
  Total Municipal Bonds
(Cost $3,810,000)
        3,527,081 
             
  U.S. Government & Federal Agencies 9.3%          
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 0.4%          
  2.50%, due 1/1/40   1,087,836    1,131,714 
  4.00%, due 2/1/49   2,169,531    2,336,040 
           3,467,754 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 0.8%          
  2.50%, due 2/1/40   1,210,432    1,256,115 
  3.00%, due 3/1/50   4,115,000    4,340,778 
  4.00%, due 2/1/49   1,676,600    1,804,295 
           7,401,188 
  United States Treasury Notes 0.7%          
  1.375%, due 1/31/22   4,810,000    4,912,213 
  1.375%, due 1/31/25   910,000    953,332 
  1.50%, due 2/15/30   445,000    479,122 
           6,344,667 
  United States Treasury Inflation - Indexed Bond 0.6% (h)          
  0.125%, due 1/15/30   5,067,890    5,217,906 
             
  United States Treasury Inflation - Indexed Notes 6.8% (h)          
  0.75%, due 7/15/28   22,426,934    23,983,019 
  0.875%, due 1/15/29   35,610,536    38,681,364 
           62,664,383 
  Total U.S. Government & Federal Agencies
(Cost $81,448,308)
        85,095,898 
             
  Total Long-Term Bonds
(Cost $921,493,159)
        892,894,100 

 

        Shares      
    Common Stocks 0.0%‡          
    Software 0.0% ‡          
    salesforce.com, Inc. (i)   1,267    182,423 
               
    Total Common Stocks
(Cost $146,797)
        182,423 
               
    Short-Term Investments 0.7%          
    Affiliated Investment Company 0.3%          
    MainStay U.S. Government Liquidity Fund, 0.09% (j)   2,402,844    2,402,844 
               
    Unaffiliated Investment Company 0.4%          
    State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (j)(k)   3,643,996    3,643,996 
               
    Total Short-Term Investments
(Cost $6,046,840)
        6,046,840 
    Total Investments, Before Investments Sold Short
(Cost $927,686,796)
   98.0%   899,123,363 
               
        Principal
Amount
      
    Investments Sold Short (0.9%)          
    Corporate Bonds Sold Short (0.9%)          
    Health Care Providers & Services (0.3%)          
    Davita, Inc.
5.00%, due 5/1/25
   (3,015,000)   (3,011,050)
               
    Metals & Mining (0.6%)          
    FMG Resources (August 2006) Pty, Ltd.
5.125%, due 5/15/24 (a)
   (5,000,000)   (4,925,001)
               
    Total Investments Sold Short
(Proceeds $8,061,306)
        (7,936,051)
    Total Investments, Net of Investments Sold Short
(Cost $919,625,490)
   97.1%   891,187,312 
    Other Assets, Less Liabilities   2.9    26,395,993 
    Net Assets   100.0%  $917,583,305 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(b) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
(d) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(e) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $3,495,493. The Portfolio received cash collateral with a value of $3,643,996.
(f) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
(g) Collateral strip rate - A bond whose interest was based on the weighted net interest rate of the collateral. The coupon rate adjusts periodically based on a predetermined schedule. Rate shown was the rate in effect as of March 31, 2020.
(h) Treasury Inflation Protected Security - Pays a fixed rate of interest on a principal amount that is continuously adjusted for inflation based on the Consumer Price Index-Urban Consumers.
(i) Non-income producing security.
(j) Current yield as of March 31, 2020.
(k) Represents a security purchased with cash collateral received for securities on loan.

 

Foreign Currency Forward Contracts

As of March 31, 2020, the Portfolio held the following foreign currency forward contracts1:       

 

Currency Purchased  Currency Sold  Counterparty  Settlement Date  Unrealized Appreciation (Depreciation) 
USD 1,582,801   GBP 1,214,000   JPMorgan Chase Bank N.A.  5/4/20  $73,835 
Total unrealized appreciation  73,835 
                     
EUR 988,000   USD 1,092,210   JPMorgan Chase Bank N.A.  5/4/20   (1,202)
USD 5,976,359   EUR 5,430,000   JPMorgan Chase Bank N.A.  5/4/20   (19,769)
Total unrealized depreciation   (20,971)
Net unrealized appreciation  $52,864 

 

1.Foreign Currency Forward Contracts are subject to limitations such that they cannot be “sold or repurchased,” although the Portfolio would be able to exit the transaction through other means, such as through the execution of an offsetting transaction.

 

Futures Contracts

As of March 31, 2020, the Portfolio held the following futures contracts1:

 

Type  Number of
Contracts
  Expiration
Date
  Value at
Trade Date
   Current
Notional
Amount
   Unrealized
Appreciation
(Depreciation)2
 
                   
Long Contracts                      
5-Year United States Treasury Note   303  June 2020   $37,992,446   $37,983,890   $(8,556)
Total Long Contracts                    (8,556)
                       
Short Contracts                      
10-Year United States Treasury Note   (342) June 2020    (46,381,552 )  (47,431,125)  (1,049,573)
10-Year United States Treasury Ultra Note   (630)  June 2020   (92,127,263)   (98,299,688)   (6,172,425)
2-Year United States Treasury Note   (364)  June 2020   (80,215,937)   (80,219,344)   (3,407)
United States Treasury Long Bond   (68)  June 2020   (12,173,990)   (12,176,250)   (2,260)
United States Treasury Ultra Bond   (48)  June 2020   (9,891,407)   (10,650,000)   (758,593)
Total Short Contracts                    (7,986,258)
Net Unrealized Depreciation                   $(7,994,814)

 

1.As of March 31, 2020, cash in the amount of $4,462,164 was on deposit with a broker or futures commission merchant for futures transactions.

2.Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

 

Swap Contracts  

 

As of March 31, 2020, the Portfolio held the following centrally cleared interest rate swap agreements1:  

 

Notional Amount  Currency  Expiration Date  Payments
made by Portfolio
  Payments Received by Portfolio  Payment Frequency Paid/
Received
  Upfront Premiums Received/ (Paid)   Value   Unrealized Appreciation / (Depreciation) 
$50,000,000 

USD

 

  3/16/2023  Fixed 2.793%  3-Month USD-LIBOR  Semi-Annually/ Quarterly  $   $(3,545,273)  $(3,545,273)
 50,000,000 

USD

 

  3/29/2023  Fixed 2.762%  3-Month USD-LIBOR  Semi-Annually/ Quarterly       (3,478,118)   (3,478,118)
                   $   $(7,023,391)  $(7,023,391)

 

1.As of March 31, 2020, cash in the amount of $1,578,366 was on deposit with a broker for centrally cleared swap agreements.

 

The following abbreviations are used in the preceding pages:  

DB —Deutsche Bank
EUAM —European Union Advisory Mission
EUR —Euro
GBP —British Pound Sterling
LIBOR —London Interbank Offered Rate
REMIC —Real Estate Mortgage Investment Conduit
USD —United States Dollar

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio’s assets and liabilities:      

 

Description  Quoted Prices in Active Markets for Identical Assets
  (Level 1)
   Significant Other Observable Inputs
  (Level 2)
   Significant Unobservable Inputs
  (Level 3)
  

Total

 
 
Asset Valuation Inputs    
     
Investments in Securities (a)            
Long-Term Bonds                    
Asset-Backed Securities  $—     $41,315,696   $—     $41,315,696 
Convertible Bonds   —      4,496,904    —      4,496,904 
Corporate Bonds   —      546,183,642    —      546,183,642 
Foreign Government Bonds   —      13,369,100    —      13,369,100 
Loan Assignments   —      55,245,801    —      55,245,801 
Mortgage-Backed Securities   —      143,659,978    —      143,659,978 
Municipal Bonds   —      3,527,081    —      3,527,081 
U.S. Government & Federal Agencies   —      85,095,898    —      85,095,898 
Total Long-Term Bonds   —      892,894,100    —      892,894,100 
Common Stocks   182,423    —      —      182,423 
Short-Term Investments                    
Affiliated Investment Company   2,402,844    —      —      2,402,844 
Unaffiliated Investment Company   3,643,996    —      —      3,643,996 
Total Short-Term Investments   6,046,840    —      —      6,046,840 
Total Investments in Securities   6,229,263    892,894,100    —      899,123,363 
Other Financial Instruments                    
Foreign Currency Forward Contracts (b)   —      73,835    —      73,835 
Total Investments in Securities and Other Financial Instruments  $6,229,263   $892,967,935   $—     $899,197,198 
                     
Liability Valuation Inputs                    
                     
Long-Term Bonds Sold Short                    
Corporate Bonds Sold Short  $—     $(7,936,051)  $—     $(7,936,051)
Total Long-Term Bonds Sold Short   —      (7,936,051)   —      (7,936,051)
Other Financial Instruments                    
Foreign Currency Forward Contracts (b)   —      (20,971)   —      (20,971)
Futures Contracts (b)   (7,994,814)   —      —      (7,994,814)
Interest Rate Swap Contracts (b)   —      (7,023,391)   —      (7,023,391)
Total Other Financial Instruments   (7,994,814)   (7,044,362)   —      (15,039,176)
Total Investments in Securities Sold Short and Other Financial Instruments  $(7,994,814)  $(14,980,413)  $—     $(22,975,227)

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.

 

(b)The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

 

 

 

 

MainStay VP PIMCO Real Return Portfolio
 
Portfolio of Investments March 31, 2020 (Unaudited)

 

 Long-Term Bonds 143.0% †
Asset-Backed Securities 5.2%
Principal
Amount
 Value  
  Other Asset-Backed Securities 5.2%           
  Argent Securities, Inc.
Series 2006-W4, Class A2C
1.107% (1 Month LIBOR + 0.16%), due 5/25/36 (a)
  $324,374  $104,479  
  Atrium CDO Corp.
Series 2012-A, Class AR
2.632% (3 Month LIBOR + 0.83%), due 4/22/27 (a)(b)
   300,000   288,519  
  Black Diamond CLO, Ltd.
Series 2015-1A, Class A1R
0.65% (3 Month EURIBOR + 0.65%), due 10/3/29 (a)(b)
  EUR257,835   274,805  
  Catamaran CLO, Ltd.
Series 2013-1A, Class AR
2.644% (3 Month LIBOR + 0.85%), due 1/27/28 (a)(b)
  $1,177,843   1,107,022  
  CoreVest American Finance Trust
Series 2017-1, Class A
2.968%, due 10/15/49 (b)
   67,299   66,224  
  Countrywide Asset-Backed Certificates
Series 2007-08, Class 1A1
1.137% (1 Month LIBOR + 0.19%), due 11/25/37 (a)
   780,321   675,963  
  Credit Suisse First Boston Mortgage Securities Corp.
Series 2001-HE17, Class A1
1.567% (1 Month LIBOR + 0.62%), due 1/25/32 (a)
   984,172   862,817  
  Credit-Based Asset Servicing & Securitization LLC
Series 2007-CB6, Class A3
1.167% (1 Month LIBOR + 0.22%), due 7/25/37 (a)(b)
   1,137,384   664,122  
  First Franklin Mortgage Loan Trust
Series 2006-FF17, Class A2
1.067% (1 Month LIBOR + 0.12%), due 12/25/36 (a)
   583,689   426,144  
  Halcyon Loan Advisors Funding, Ltd.
Series 2015-1A, Class AR
2.747% (3 Month LIBOR + 0.92%), due 4/20/27 (a)(b)
   180,411   174,045  
  Home Equity Asset Trust (a)           
  Series 2005-8, Class M2
1.397% (1 Month LIBOR + 0.45%), due 2/25/36
   300,000   258,650  
  Series 2004-2, Class M1
1.742% (1 Month LIBOR + 0.795%), due 7/25/34
   103,893   96,649  
  Jamestown CLO IV, Ltd.
Series 2014-4A, Class A1AR
2.521% (3 Month LIBOR + 0.69%), due 7/15/26 (a)(b)
   150,403   147,772  
  Jamestown CLO VII, Ltd.
Series 2015-7A, Class A1R
2.624% (3 Month LIBOR + 0.83%), due 7/25/27 (a)(b)
   1,179,077   1,113,198  
  Jubilee CLO B.V.
Series 2015-16A, Class A1R
0.311% (3 Month EURIBOR + 0.80%), due 12/15/29 (a)(b)
  EUR1,660,000   1,738,985  
  KVK CLO, Ltd.
Series 2013-1A, Class AR
2.738% (3 Month LIBOR + 0.90%), due 1/14/28 (a)(b)
  $1,660,000   1,588,149  
  Legacy Mortgage Asset Trust
Series 2019-GS3, Class A1
3.75%, due 4/25/59 (b)(c)
   179,377   175,227  
  Long Beach Mortgage Loan Trust
Series 2006-7, Class 2A2
1.067% (1 Month LIBOR + 0.12%), due 8/25/36 (a)
   278,870   124,127  
  Man GLG Euro CLO
Series 2A, Class A1R
0.87% (3 Month EURIBOR + 0.87%), due 1/15/30 (a)(b)
  EUR250,000   261,211  
  Marathon CLO V, Ltd.
Series 2013-5A, Class A1R
2.566% (3 Month LIBOR + 0.87%), due 11/21/27 (a)(b)
  $1,639,037   1,536,404  
  Marlette Funding Trust
Series 2019-3A, Class A
2.69%, due 9/17/29 (b)
   123,548   119,554  
  MASTR Asset Backed Securities Trust
Series 2006-WMC4, Class A5
1.097% (1 Month LIBOR + 0.15%), due 10/25/36 (a)
   130,809   48,097  
  Morgan Stanley ABS Capital I, Inc. Trust
Series 2005-WMC1, Class M3
1.727% (1 Month LIBOR + 0.78%), due 1/25/35 (a)
   278,038   252,167  
  New Century Home Equity Loan Trust
Series 2004-04, Class M1
1.712% (1 Month LIBOR + 0.765%), due 2/25/35 (a)
   79,229   69,191  
  New Residential Mortgage Loan Trust
Series 2018-3A, Class A1
4.50%, due 5/25/58 (b)(d)
   223,875   232,342  
  OCP CLO, Ltd. (a)(b)           
  Series 2015-10A, Class A1R
2.614% (3 Month LIBOR + 0.82%), due 10/26/27
   1,364,457   1,301,254  
  Series 2015-9A, Class A1R
2.631% (3 Month LIBOR + 0.80%), due 7/15/27
   189,007   182,242  
  RASC Trust (a)           
  Series 2006-KS6, Class A4
1.197% (1 Month LIBOR + 0.25%), due 8/25/36
   318,715   306,279  
  Series 2005-KS8, Class M4
1.537% (1 Month LIBOR + 0.59%), due 8/25/35
   600,000   575,110  
  Residential Asset Securities Corp.
Series 2006-EMX4, Class A4
1.177% (1 Month LIBOR + 0.23%), due 6/25/36 (a)
   880,902   801,827  
  Saxon Asset Securities Trust
Series 2007-03, Class 1A
1.257% (1 Month LIBOR + 0.31%), due 9/25/37 (a)
   178,163   157,710  
  Securitized Asset-Backed Receivables LLC Trust (a)           
  Series 2006-HE2, Class A2C
1.097% (1 Month LIBOR + 0.15%), due 7/25/36
   230,226   110,634  
  Series 2006-HE1, Class A2C
1.107% (1 Month LIBOR + 0.16%), due 7/25/36
   649,680   275,194  
  SLM Student Loan Trust (a)           
  Series 2004-2, Class A5
(zero coupon) (3 Month EURIBOR + 0.18%), due 1/25/24
  EUR88,858   97,341  
  Series 2003-5, Class A5, Series Reg S
(zero coupon) (3 Month EURIBOR + 0.27%), due 6/17/24
   26,985   29,221  
  Series 2004-3A, Class A6B
2.344% (3 Month LIBOR + 0.55%), due 10/25/64 (b)
  $494,544   463,744  
  Series 2011-B, Class A3
2.955% (1 Month LIBOR + 2.25%), due 6/16/42 (b)
   85,038   85,217  
  SoFi Professional Loan Program LLC
Series 2017-F, Class A1FX
2.05%, due 1/25/41 (b)
   45,401   45,351  
  Soundview Home Equity Loan Trust (a)           
  Series 2007-OPT2, Class 2A3
1.127% (1 Month LIBOR + 0.18%), due 7/25/37
   236,142   199,672  
  Series 2007-OPT1, Class 1A1
1.147% (1 Month LIBOR + 0.20%), due 6/25/37
   358,325   262,786  
  SpringCastle Funding Asset-Backed Notes
Series 2019-AA, Class A
3.20%, due 5/27/36 (b)
   786,620   737,048  
  Stanwich Mortgage Loan LLC
Series 2019-NPB1, Class A1
3.375%, due 8/15/24 (b)(c)
   208,086   206,583  
  Symphony CLO XIV, Ltd.
Series 2014-14A, Class AR
2.788% (3 Month LIBOR + 0.95%), due 7/14/26 (a)(b)
   279,633   270,777  
  THL Credit Wind River CLO, Ltd.
Series 2012-1A, Class AR2
2.711% (3 Month LIBOR + 0.88%), due 1/15/26 (a)(b)
   234,904   232,769  
  Venture CLO, Ltd.
Series 2018-35A, Class AS
2.952% (3 Month LIBOR + 1.15%), due 10/22/31 (a)(b)
   200,000   189,578  
  Venture XX CLO, Ltd.
Series 2015-20A, Class AR
2.651% (3 Month LIBOR + 0.82%), due 4/15/27 (a)(b)
   755,710   726,695  
  Venture XXI CLO, Ltd.
Series 2015-21A, Class AR
2.711% (3 Month LIBOR + 0.88%), due 7/15/27 (a)(b)
   372,490   355,057  
  Voya CLO, Ltd.
Series 2014-3A, Class A1R
2.514% (3 Month LIBOR + 0.72%), due 7/25/26 (a)(b)
   289,900   282,237  
  Wachovia Mortgage Loan Trust
Series 2005-WMC1, Class M1
1.607% (1 Month LIBOR + 0.66%), due 10/25/35 (a)
   14,469   14,376  
  Z Capital Credit Partners CLO, Ltd.
Series 2015-1A, Class A1R
2.793% (3 Month LIBOR + 0.95%), due 7/16/27 (a)(b)
   570,000   541,077  
  Total Asset-Backed Securities
(Cost $22,366,971)
       20,855,642  
              
  Corporate Bonds 9.6%           
  Agriculture 0.1%           
  Reynolds American, Inc.
4.00%, due 6/12/22
   200,000   202,819  
  Auto Manufacturers 1.0%           
  BMW U.S. Capital LLC
3.40%, due 8/13/21 (b)
   600,000   598,994  
  FCE Bank PLC           
  Series Reg S
0.086% (3 Month EURIBOR + 0.50%), due 8/26/20 (a)
  EUR800,000   857,906  
  Series Reg S
1.875%, due 6/24/21
   900,000   913,201  
  Nissan Motor Acceptance Corp.(b)           
  1.90%, due 9/14/21   $100,000   94,492  
  2.65%, due 7/13/22 (e)    200,000   193,188  
  Volkswagen Group of America Finance LLC (b)           
  2.064% (3 Month LIBOR + 0.86%), due 9/24/21 (a)    900,000   824,263  
  4.00%, due 11/12/21    600,000   593,543  
           4,075,587  
  Banks 2.8%           
  Banco Bilbao Vizcaya Argentaria S.A.
Series Reg S
5.875% (EUR 5 Year Interest Swap Rate + 5.66%), due 9/24/23 (a)(f)
  EUR400,000   372,780  
  Bank of America Corp.
5.875% (3 Month LIBOR + 2.931%), due 3/15/28 (f)(g)
  $190,000   192,535  
  Cooperatieve Rabobank U.A. (a)(f)           
  Series Reg S
5.50% (EUR 5 Year Interest Swap Rate + 5.25%), due 6/29/20
  EUR200,000   210,654  
  Series Reg S
6.625% (EUR 5 Year Interest Swap Rate + 6.697%), due 6/29/21
   200,000   210,102  
  Credit Suisse Group Funding Guernsey, Ltd.
3.80%, due 9/15/22
  $300,000   303,975  
  Deutsche Bank A.G.
4.25%, due 10/14/21
   1,400,000   1,338,311  
  ING Bank N.V.
2.625%, due 12/5/22 (b)
   400,000   418,667  
  Intesa Sanpaolo S.p.A.
6.50%, due 2/24/21 (b)
   400,000   405,370  
  Lloyds Banking Group PLC (a)           
  1.995% (3 Month LIBOR + 0.80%), due 6/21/21    400,000   390,428  
  Series Reg S
6.375% (EUR 5 Year Interest Swap Rate + 5.29%), due 6/27/20 (f)
  EUR200,000   201,912  
  Nykredit Realkredit A/S           
  Series Reg S
1.00%, due 10/1/50
  DKK28,679,943   4,080,084  
  Series Reg S
2.50%, due 10/1/47
   4,665   713  
  Royal Bank of Scotland Group PLC           
  2.766% (3 Month LIBOR + 1.55%), due 6/25/24 (a)   $300,000   271,717  
  4.519% (3 Month LIBOR + 1.55%), due 6/25/24 (g)    200,000   201,388  
  State Bank of India
Series Reg S
2.85% (3 Month LIBOR + 0.95%), due 4/6/20 (a)
   700,000   699,895  
  UniCredit S.p.A.
7.83%, due 12/4/23 (b)
   1,800,000   1,921,122  
           11,219,653  
  Beverages 0.8%           
  Keurig Dr. Pepper, Inc.           
  3.551%, due 5/25/21    1,400,000   1,416,422  
  4.057%, due 5/25/23    100,000   104,023  
  Pernod-Ricard S.A.
5.75%, due 4/7/21 (b)
   1,600,000   1,646,312  
           3,166,757  
  Biotechnology 0.1%           
  Amgen, Inc.
3.625%, due 5/15/22
   400,000   414,694  
              
  Commercial Services 0.1%           
  ERAC USA Finance LLC
4.50%, due 8/16/21 (b)
   400,000   407,821  
  RELX Capital, Inc.
3.50%, due 3/16/23
   100,000   104,120  
           511,941  
  Computers 0.1%           
  EMC Corp.
2.65%, due 6/1/20
   330,000   328,119  
              
  Distribution & Wholesale 0.0% ‡           
  Toyota Tsusho Corp.
Series Reg S
3.625%, due 9/13/23
   200,000   195,849  
  Diversified Financial Services 1.3%           
  AerCap Ireland Capital DAC / AerCap Global Aviation Trust
4.625%, due 10/30/20
   100,000   97,005  
  Ally Financial, Inc.           
  4.125%, due 2/13/22    200,000   192,438  
  4.25%, due 4/15/21    100,000   98,250  
  Avolon Holdings Funding, Ltd.
5.50%, due 1/15/23 (b)
   100,000   89,735  
  BOC Aviation, Ltd.
2.375%, due 9/15/21 (b)
   200,000   200,371  
  Jyske Realkredit A/S           
  Series Reg S
1.00%, due 10/1/50
  DKK18,250,653   2,589,673  
  Series Reg S
2.50%, due 10/1/47
   14,753   2,261  
  Mitsubishi UFJ Lease & Finance Co., Ltd.
2.652%, due 9/19/22 (b)
  $200,000   194,464  
  Nordea Kredit Realkreditaktieselskab           
  Series Reg S
1.00%, due 10/1/50
   11,710,424   1,663,205  
  2.50%, due 10/1/47   DKK5,603   858  
  Park Aerospace Holdings, Ltd.
5.25%, due 8/15/22 (b)
  $400,000   361,447  
  Realkredit Danmark A/S
2.50%, due 7/1/47
    24,489     3,748  
      5,493,455  
  Electric 0.2%    
  American Electric Power Co., Inc.
3.65%, due 12/1/21
    100,000     101,231  
  IPALCO Enterprises, Inc.
3.45%, due 7/15/20
    500,000     499,925  
  LG&E & KU Energy LLC
4.375%, due 10/1/21
    100,000     100,547  
  Sempra Energy
1.191% (3 Month LIBOR + 0.45%), due 3/15/21 (a)
    100,000     98,549  
      800,252  
  Food 0.2%    
  Campbell Soup Co.
3.30%, due 3/15/21
    300,000     299,285  
  Conagra Brands, Inc.
3.25%, due 9/15/22
    200,000     196,322  
  Danone S.A. (b)    
  2.077%, due 11/2/21     200,000     200,231  
  3.00%, due 6/15/22     200,000     203,195  
      899,033  
  Gas 0.4%    
  Southern Co. Gas Capital Corp.
3.50%, due 9/15/21
    1,400,000     1,404,895  
                 
  Home Builders 0.0% ‡  
  D.R. Horton, Inc.
5.75%, due 8/15/23
    100,000     103,185  
                 
  Home Furnishing 0.2%    
  Panasonic Corp.
2.536%, due 7/19/22 (b)
    800,000     785,566  
                 
  Machinery - Diversified 0.1%    
  Westinghouse Air Brake Technologies Corp.
2.041% (3 Month LIBOR + 1.30%), due 9/15/21 (a)
    600,000     582,403  
                 
  Media 0.5%    
  Charter Communications Operating LLC / Charter Communications Operating Capital Corp.    
  3.579%, due 7/23/20     800,000     797,511  
  4.464%, due 7/23/22     600,000     622,349  
  COX Communications, Inc.
3.25%, due 12/15/22 (b)
    200,000     202,669  
  DISH DBS Corp.
5.125%, due 5/1/20
    300,000     297,670  
      1,920,199  
  Miscellaneous - Manufacturing 0.1%    
  Textron, Inc.
2.284% (3 Month LIBOR + 0.55%), due 11/10/20 (a)
    580,000     580,028  
                 
  Oil & Gas 0.1%    
  Petrobras Global Finance B.V.    
  5.093%, due 1/15/30 (b)     543,000     492,772  
  6.125%, due 1/17/22     33,000     32,918  
  YPF S.A
35.421% (BADLARPP Index + 6.00%), due 3/4/21 (a)(h)
  ARS 3,130,000     48,790  
      574,480  
  Pharmaceuticals 0.3%    
  Cigna Corp.
3.75%, due 7/15/23
  $ 133,000     136,741  
  CVS Health Corp.    
  2.125%, due 6/1/21     800,000     800,855  
  3.70%, due 3/9/23     200,000     207,733  
      1,145,329  
  Pipelines 0.2%    
  Florida Gas Transmission Co. LLC
5.45%, due 7/15/20 (b)
    700,000     703,566  
                 
  Real Estate Investment Trusts 0.1%    
  American Tower Corp.
3.30%, due 2/15/21
    300,000     299,943  
                 
  Semiconductors 0.2%    
  Broadcom, Inc.
3.125%, due 4/15/21 (b)
    400,000     395,644  
  NXP B.V. / NXP Funding LLC
3.875%, due 9/1/22 (b)
    400,000     401,550  
      797,194  
  Software 0.1%    
  Activision Blizzard, Inc.
2.60%, due 6/15/22
    200,000     201,454  
                 
  Telecommunications 0.5%    
  AT&T, Inc.    
  2.33% (3 Month LIBOR + 0.75%), due 6/1/21 (a)     500,000     485,528  
  5.15%, due 2/15/50     300,000     358,017  
  5.30%, due 8/15/58     100,000     117,649  
  Deutsche Telekom International Finance B.V.
1.95%, due 9/19/21 (b)
    250,000     246,905  
  Sprint Corp.
7.25%, due 9/15/21
    300,000     309,210  
  Telstra Corp., Ltd.
4.80%, due 10/12/21 (b)
    300,000     309,249  
      1,826,558  
  Trucking & Leasing 0.1%    
  Penske Truck Leasing Co., L.P. / PTL Finance Corp.
3.65%, due 7/29/21 (b)
    200,000     202,483  
      202,483  
  Total Corporate Bonds
(Cost $39,552,632)
  38,435,442  
     
  Foreign Government Bonds 3.3%  
  Argentina 0.1%    
  Argentina Bocon
42.781%, due 10/4/22 (d)(h)
  ARS 75,453     1,454  
  Bonos del Tesoro Nacional en Pesos Badlar
36.575% (BADLARPP Index + 2.00%), due 4/3/22 (a)(h)
    2,854,000     31,286  
  Argentina POM Politica Monetaria
38.039%, due 6/21/20 (d)(h)
    21,453,000     217,491  
      250,231  
  Australia 0.5%    
  Australia Government Bond    
  Series Reg S
1.25%, due 2/21/22
  AUD 980,000     707,317  
  Series Reg S
3.00%, due 9/20/25
    1,450,000     1,280,868  
      1,988,185  
  Canada 0.2%    
  Canadian Government Real Return Bond
4.25%, due 12/1/26
  CAD 934,488     831,358  
     
  Japan 1.1%    
  Japanese Government CPI Linked Bond    
  0.10%, due 3/10/28   JPY 209,806,920     1,952,214  
  0.10%, due 3/10/29     264,725,280     2,461,988  
      4,414,202  
  New Zealand 0.6%    
  New Zealand Government Inflation Linked Bond    
  Series Reg S
2.00%, due 9/20/25
  NZD 1,800,000     1,299,838  
  Series Reg S
2.50%, due 9/20/35
    800,000     640,111  
  Series Reg S
3.00%, due 9/20/30
    500,000     408,898  
      2,348,847  
  Peru 0.3%    
  Peru Government Bond (b)    
  Series Reg S
5.94%, due 2/12/29
  PEN 1,300,000     406,798  
  Series Reg S
6.15%, due 8/12/32
    2,600,000     808,265  
      1,215,063  
  Qatar 0.1%    
  Qatar Government International Bond
Series Reg S
3.875%, due 4/23/23
  $ 300,000     308,310  
                 
  United Kingdom 0.4%    
  United Kingdom Gilt Inflation Linked
Series Reg S
0.125%, due 8/10/48
  GBP 846,136     1,841,642  
  Total Foreign Government Bonds
(Cost $14,720,386)
  13,197,838  
     
  Mortgage-Backed Securities 3.9%  
  Agency (Collateralized Mortgage Obligations) 1.1%    
  Federal Home Loan Mortgage Corporation REMIC (Collateralized Mortgage Obligations)
Series 4779, Class WF
2.005% (1 Month LIBOR + 0.35%), due 7/15/44 (a)
  $ 359,212     357,198  
  Federal Home Loan Mortgage Corporation Strips
Series 278, Class F1
1.155% (1 Month LIBOR + 0.45%), due 9/15/42 (a)
    496,580     501,338  
  Federal National Mortgage Association
REMIC, Series 2019-5, Class FA
1.347% (1 Month LIBOR + 0.40%), due 3/25/49 (a)
    1,479,711     1,459,884  
  Government National Mortgage Association (a)    
  REMIC, Series 2019-20, Class FE
1.173% (1 Month LIBOR + 0.40%), due 2/20/49
    1,393,749     1,378,896  
  REMIC, Series 2018-H15, Class FG
2.266% (12 Month LIBOR + 0.15%), due 8/20/68
    641,341     617,319  
  Government National Mortgage Association (Mortgage Pass-Through Securities)
Series 2017-H10, Class FB
3.629% (12 Month LIBOR + 0.75%), due 4/20/67 (a)
    350,459     349,361  
      4,663,996  
  Whole Loan (Collateralized Mortgage Obligations) 2.8%    
  CHL Mortgage Pass-Through Trust
Series 2007-1, Class A1
6.00%, due 3/25/37
    42,129     30,779  
  Citigroup Mortgage Loan Trust
Series 2007-AR4, Class 1A1A
4.033%, due 3/25/37 (i)
    384,187     315,914  
  Citigroup Mortgage Loan Trust, Inc.    
  Series 2019-B, Class A1
3.258%, due 4/25/66 (b)(d)
    281,818     277,829  
  Series 2004-NCM2, Class 1CB1
5.50%, due 8/25/34
    251,684     237,877  
  Countrywide Alternative Loan Trust    
  Series 2005-29CB, Class A4
5.00%, due 7/25/35
    53,425     41,758  
  Series 2007-1T1, Class 1A1
6.00%, due 3/25/37
    752,873     450,860  
  Credit Suisse Mortgage Trust (b)    
  Series 2019-RPL9, Class A1
3.319%, due 10/27/59 (d)
    985,034     957,571  
  Series 2019-RPL4, Class A1
3.549%, due 8/26/58
    280,469     291,385  
  Eurosail-UK PLC (a)    
  Series 2007-3X, Class A3A, Reg S
1.456% (3 Month LIBOR + 0.95%), due 6/13/45
  GBP 176,375     205,388  
  Series 2007-3A, Class A3C
1.456% (3 Month LIBOR + 0.95%), due 6/13/45 (b)
    47,028     54,762  
  Series 2007-3X, Class A3C, Reg S
1.456% (3 Month LIBOR + 0.95%), due 6/13/45
    47,028     54,762  
  GreenPoint Mortgage Funding Trust
Series 2006-AR4, Class A6A
1.127% (1 Month LIBOR + 0.18%), due 9/25/46 (a)
  $ 105,563     84,470  
  IndyMac Index Mortgage Loan Trust (a)    
  Series 2005-AR14, Class 1A1A
1.227% (1 Month LIBOR + 0.28%), due 7/25/35
    1,097,594     833,048  
  Series 2005-AR12 Class 2A1A
1.427% (1 Month LIBOR + 0.48%), due 7/25/35
    158,680     133,445  
  Lehman XS Trust
Series 2007-20N, Class A1
2.097% (1 Month LIBOR + 1.15%), due 12/25/37 (a)
    53,064     42,808  
  Merrill Lynch Mortgage Investors Trust
Series 2005-A4, Class 1A
4.112%, due 7/25/35 (i)
    216,376     146,517  
  New Residential Mortgage Loan Trust
Series 2019-RPL3, Class A1
2.75%, due 7/25/59 (b)(d)
    378,649     377,115  
  OBX Trust
Series 2018-1, Class A2
1.597% (1 Month LIBOR + 0.65%), due 6/25/57 (a)(b)
    69,102     64,471  
  Opteum Mortgage Acceptance Corporation
Series 2005-2, Class M7
2.747% (1 Month LIBOR + 1.80%), due 4/25/35 (a)
    100,000     81,150  
  Paragon Mortgages No.13 PLC
Series 13X, Class A1, Reg S
0.965% (3 Month LIBOR + 0.24%), due 1/15/39 (a)
  GBP 1,974,000     2,208,123  
  Residential Asset Securitization Trust
Series 2006-A10, Class A5
6.50%, due 9/25/36
  $ 258,307     149,659  
  Silverstone Master Issuer PLC
Series 2019-1A, Class 2A
1.461% (SONIA + 0.75%), due 1/21/70 (a)(b)
  GBP 249,000     303,076  
  Structured Asset Securities Corp. Mortgage Loan Trust
Series 2005-OPT1, Class A2
1.157% (1 Month LIBOR + 0.21%), due 11/25/35 (a)
  $ 1,246,354     1,208,059  
  Towd Point Mortgage Funding
Series 2019-GR4A, Class A1
1.724%, due 10/20/51 (a)(b)
  GBP 1,172,729     1,411,779  
  Trinity Square PLC
Series 2015-1A, Class A
1.875% (3 Month LIBOR + 1.15%), due 7/15/51 (a)(b)
    553,692     670,336  
  Washington Mutual Mortgage Pass-Through Certificates    
  Series 2007-HY1, Class A2A
1.107% (1 Month LIBOR + 0.16%), due 2/25/37 (a)
  $ 690,356     506,841  
  Series 2006-5, Class 2CB1
6.00%, due 7/25/36
    47,225     38,286  
      11,178,068  
  Total Mortgage-Backed Securities
(Cost $17,331,570)
  15,842,064  
     
  U.S. Government & Federal Agencies 121.0%  
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 14.6%    
  2.50%, due 8/1/49 TBA (j)     6,100,000     6,319,219  
  2.50%, due 8/1/49 TBA (j)     14,600,000     15,062,895  
  3.00%, due 8/1/49 TBA (j)     1,400,000     1,463,820  
  3.00%, due 8/1/49 TBA (j)     100,000     104,832  
  3.00%, due 8/1/49 TBA (j)     14,300,000     14,983,160  
  3.253% (12 Monthly Treasury Average Index + 1.20%), due 6/1/43 (a)     250,612     246,077  
  3.50%, due 3/1/48     179,233     189,803  
  3.50%, due 8/1/48 TBA (j)     12,800,000     13,512,030  
  4.00%, due 8/1/48 TBA (j)     5,800,000     6,183,406  
  4.146% (11th District Cost of Funds Index + 1.926%), due 12/1/36 (a)     222,129     228,180  
  4.349% (1 Year Treasury Constant Maturity Rate + 2.36%), due 11/1/34 (a)     294,406     299,019  
      58,592,441  
  United States Treasury Notes 0.1%    
  1.75%, due 12/31/24 (k)     330,000     351,373  
  United States Treasury Inflation - Indexed Bonds 38.8%    
  0.125%, due 1/15/30 (e)     962,448     990,938  
  0.375%, due 7/15/27 (k)     19,532,674     20,085,161  
  0.625%, due 2/15/43     1,997,000     2,192,362  
  0.75%, due 2/15/42     3,915,414     4,384,996  
  0.75%, due 2/15/45     1,654,009     1,891,018  
  0.875%, due 2/15/47     9,513,301     11,325,037  
  1.00%, due 2/15/46 (k)     5,377,824     6,535,607  
  1.00%, due 2/15/48     2,623,368     3,229,383  
  1.00%, due 2/15/49 (k)     5,593,335     6,949,108  
  1.375%, due 2/15/44 (k)     16,482,639     21,127,105  
  1.75%, due 1/15/28     16,774,278     19,069,317  
  2.00%, due 1/15/26     11,225,858     12,486,824  
  2.125%, due 2/15/40     4,129,129     5,768,399  
  2.125%, due 2/15/41     3,804,456     5,297,077  
  2.375%, due 1/15/25 (k)     17,916,152     19,869,957  
  2.375%, due 1/15/27     5,090,619     5,898,720  
  2.50%, due 1/15/29     6,403,409     7,851,327  
  3.375%, due 4/15/32     475,190     670,712  
      155,623,048  
  United States Treasury Inflation - Indexed Notes 67.5%    
  0.125%, due 4/15/21 (k)     20,122,607     19,722,115  
  0.125%, due 1/15/22     10,290,859     10,148,350  
  0.125%, due 4/15/22 (k)     46,000,288     45,368,920  
  0.125%, due 7/15/22     4,286,946     4,246,874  
  0.125%, due 1/15/23     13,111,393     12,953,339  
  0.125%, due 7/15/26     14,860,665     14,992,496  
  0.25%, due 7/15/29 (k)     34,400,856     35,717,966  
  0.375%, due 7/15/23     6,353,234     6,389,652  
  0.375%, due 1/15/27     16,380,205     16,761,651  
  0.50%, due 1/15/28     17,162,028     17,873,833  
  0.625%, due 7/15/21     2,037,103     2,017,861  
  0.625%, due 4/15/23     10,218,250     10,292,674  
  0.625%, due 1/15/24     692,024     703,314  
  0.625%, due 1/15/26 (k)     41,806,380     43,180,899  
  0.75%, due 7/15/28 (k)     18,613,458     19,904,947  
  0.875%, due 1/15/29     2,707,037     2,940,475  
  1.125%, due 1/15/21     2,004,538     1,985,388  
  1.25%, due 7/15/20     5,665,325     5,613,823  
      270,814,577  
  Total U.S. Government & Federal Agencies
(Cost $472,568,377)
  485,381,439  
         
  Total Long-Term Bonds
(Cost $566,539,936)
  573,712,425  
     
  Short-Term Investments 1.0%  
  Foreign Government Bonds 0.7%    
  Argentina Treasury Bills (h)    
  (zero coupon), due 4/8/20   ARS 795,000     10,463  
  (zero coupon), due 5/13/20     4,422,000     45,085  
  (zero coupon), due 8/27/20     1,325,000     18,752  
  32.40% (BADLARPP Index + 2.00%), due 8/28/20 (a)     3,628,000     49,339  
  35.641% (BADLARPP Index + 3.00%), due 6/22/20 (a)     1,170,000     18,943  
  36.752% (BADLARPP Index + 2.00%), due 4/3/20 (a)     3,720,000     64,349  
  Brazil Letras do Tesouro Nacional
(zero coupon), due 7/1/20 (h)
  BRL 13,706,000     2,616,271  
  Total Foreign Government Bonds
(Cost $3,560,913)
  2,823,202  
    Shares        
  Unaffiliated Investment Company 0.3%    
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.24% (l)  $ 1,057,709     1,057,709  
         
  Total Unaffiliated Investment Company
(Cost $1,057,709)
  1,057,709  
         
  Total Short-Term Investments
(Cost $4,618,622)
  3,880,911  
             
  Total Investments Excluding Purchased Options
(Cost $571,158,557)
144.0 %   577,593,336  
             
  Total Purchased Options
(Cost $405,563)
0.2 %   943,742  
  Total Investments, Before Investments Sold Short
(Cost $571,564,120)
144.2 %   578,537,078  

 

    Principal
Amount
       
  Investments Sold Short (0.6%)  
  U.S. Government Securities Sold Short (0.6%)  
  Federal National Mortgage Association (Mortgage Pass-Through Securities)    
  2.50%, due 8/1/49 TBA (j)     (2,300,000 )    (2,382,656 )
  3.00%, due 8/1/49 TBA (j)     (100,000 )    (104,832 )
  Total U.S. Government Securities Sold Short
(Proceeds $2,458,719)
  (2,487,488 )
  Total Investments Sold Short
(Proceeds $2,458,719)
  (2,487,488 )
  Total Investments, Net of Investments Sold Short
(Cost $569,105,401)
143.6 %   576,049,590  
  Other Assets, Less Liabilities (43.6 )    (175,035,396 )
  Net Assets 100.0 % $ 401,014,194  
 

 

Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.
  (a) Floating rate - Rate shown was the rate in effect as of March 31, 2020.
  (b) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
  (c) Step coupon - Rate shown was the rate in effect as of March 31, 2020.
  (d) Coupon rate may change based on changes of the underlying collateral or prepayments of principal. Rate shown was the rate in effect as of March 31, 2020.
  (e) All or a portion of this security was held on loan. As of March 31, 2020, the aggregate market value of securities on loan was $1,027,911. The Portfolio received cash collateral with a value of $1,057,709.  
  (f) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
  (g) Fixed to floating rate - Rate shown was the rate in effect as of March 31, 2020.
  (h) Illiquid security - As of March 31, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $3,122,223, which represented 0.8% of the Portfolio's net assets.
  (i) Collateral strip rate - A bond whose interest was based on the weighted net interest rate of the collateral. The coupon rate adjusts periodically based on a predetermined schedule. Rate shown was the rate in effect as of March 31, 2020.
  (j) TBA - Securities purchased on a forward commitment basis with an approximate principal amount and maturity date. The actual principal amount and maturity date will be determined upon settlement. As of March 31, 2020, the total net market value of these securities was $55,141,874, which represented 13.8% of the Portfolio's net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement.
  (k) Delayed delivery security.
  (l) Current yield as of March 31, 2020.

 

Foreign Currency Forward Contracts
As of March 31, 2020, the Portfolio held the following foreign currency forward contracts1,2:

 

Currency Purchased  Currency Sold  Counterparty  Settlement Date  Unrealized Appreciation (Depreciation) 
BRL  3,636,900   USD  699,579   JPMorgan Chase Bank N.A.*  4/2/20  $350 
DKK  59,113,088   USD  8,585,779   Bank of America, N.A.  4/1/20   147,005 
EUR  588,000   USD  647,319   JPMorgan Chase Bank N.A.  4/2/20   1,185 
GBP  425,000   USD  505,402   JPMorgan Chase Bank N.A.  4/2/20   22,491 
GBP  5,763,000   USD  7,144,391   Morgan Stanley & Co.  4/2/20   13,833 
ILS  9,000   USD  2,504   JPMorgan Chase Bank N.A.  4/16/20   39 
JPY  507,600,000   USD  4,703,048   Morgan Stanley & Co.  4/2/20   17,714 
USD  14,987   AUD  23,000   Bank of America, N.A.  4/2/20   840 
USD  2,119,457   AUD  3,222,000   Morgan Stanley & Co.  4/2/20   137,605 
USD  810,000   BRL  3,636,900   JPMorgan Chase Bank N.A.*  4/2/20   110,071 
USD  3,273,465   BRL  13,706,000   JPMorgan Chase Bank N.A.*  7/2/20   650,207 
USD  882,518   CAD  1,179,000   Morgan Stanley & Co.  4/2/20   44,735 
USD  206,405   DKK  1,380,000   JPMorgan Chase Bank N.A.  4/1/20   2,537 
USD  8,723,999   DKK  57,880,000   Societe Generale  4/1/20   173,379 
USD  7,557,168   GBP  5,861,000   Bank of America, N.A.  4/2/20   277,219 
USD  1,773,000   IDR  25,362,765,000   JPMorgan Chase Bank N.A.*  6/17/20   228,656 
USD  67,007   JPY  7,200,000   JPMorgan Chase Bank N.A.  4/2/20   46 
USD  1,500,993   MXN  34,896,000   JPMorgan Chase Bank N.A.  4/13/20   32,294 
USD  16,294   NZD  26,000   JPMorgan Chase Bank N.A.  4/2/20   780 
USD  2,443,375   NZD  3,863,000   Morgan Stanley & Co.  4/2/20   138,322 
USD  2,338,121   NZD  3,889,000   Morgan Stanley & Co.  5/4/20   18,139 
USD  213,163   RUB  14,231,314   JPMorgan Chase Bank N.A.*  4/15/20   32,333 
Total unrealized appreciation  2,049,780 
BRL  3,356,961   USD  764,797   Bank of America, N.A.*  4/2/20  $(118,743)
EUR  3,015,000   USD  3,355,635   Morgan Stanley & Co.  4/2/20   (30,392)
IDR  26,087,434,400   USD  1,878,821   Morgan Stanley & Co.*  6/17/20   (290,352)
MXN  35,955,781   USD  1,849,802   Bank of America, N.A.  5/5/20   (341,285)
NZD  3,889,000   USD  2,338,728   Morgan Stanley & Co.  4/2/20   (18,162)
RUB  16,339,075   USD  261,520   Bank of America, N.A.*  4/15/20   (53,907)
USD  645,731   BRL  3,356,961   Bank of America, N.A.*  4/2/20   (323)
USD  8,620,964   DKK  59,113,088   Bank of America, N.A.  7/1/20   (140,423)
USD  5,207,517   EUR  4,730,000   JPMorgan Chase Bank N.A.  5/5/20   (15,832)
USD  9,116,335   EUR  8,333,000   Morgan Stanley & Co.  4/2/20   (74,125)
USD  393,651   GBP  327,000   Morgan Stanley & Co.  4/2/20   (12,515)
USD  7,150,096   GBP  5,763,000   Morgan Stanley & Co.  5/4/20   (13,141)
USD  4,547,830   JPY  500,400,000   Morgan Stanley & Co.  4/2/20   (105,972)
USD  4,713,136   JPY  507,600,000   Morgan Stanley & Co.  5/7/20   (15,309)
USD  1,262,666   PEN  4,457,841   JPMorgan Chase Bank N.A.*  5/29/20   (33,062)
USD  7,001   SGD  10,000   Bank of America, N.A.  6/17/20   (43)
Total unrealized depreciation   (1,263,586)
Net unrealized appreciation     $786,194 
 
  * Non-deliverable forward.
  1. As of March 31, 2020, cash collateral of $940,000 was due to a broker for foreign currency forward contracts.
  2. Foreign Currency Forward Contracts are subject to limitations such that they cannot be “sold or repurchased,” although the Portfolio would be able to exit the transaction through other means, such as through the execution of an offsetting transaction.

 

Futures Contracts
As of March 31, 2020, the Portfolio held the following futures contracts1:

  

Type  Number of
Contracts
  Expiration
Date
  Value at
Trade Date
   Current
Notional
Amount
   Unrealized Appreciation (Depreciation)2 
Long Contracts                     
10-Year United States Treasury Ultra Note  71  June 2020  $10,461,255   $11,078,219   $616,964 
5-Year United States Treasury Note  181  June 2020   21,877,246    22,690,047    812,801 
Euro Bund  73  June 2020   13,959,188    13,889,066    (70,122)
United States Treasury Ultra Bond  75  June 2020   15,648,586    16,640,625    992,039 
Total Long Contracts                   2,351,682 
Short Contracts                     
10-Year Australia Government Bond  (7)  June 2020   (652,175)   (648,485)   3,690 
10-Year Japan Government Bond  (3)  June 2020   (4,337,679)   (4,256,777)   80,902 
10-Year United States Treasury Note  (529)  June 2020   (70,449,495)   (73,365,688)   (2,916,193)
2-Year United States Treasury Note  (7)  June 2020   (1,515,108)   (1,542,680)   (27,572)
3-Year Australia Government Bond  (13)  June 2020   (932,882)   (936,439)   (3,557)
Euro BOBL  (96)  June 2020   (14,392,471)   (14,315,811)   76,660 
Euro Schatz  (518)  June 2020   (64,077,985)   (64,094,360)   (16,375)
Euro-Buxl 30 Year Bond  (19)  June 2020   (4,563,579)   (4,398,473)   165,106 
UK Long Gilt  (40)  June 2020   (6,634,762)   (6,766,465)   (131,703)
United States Treasury Long Bond  (80)  June 2020   (13,335,513)   (14,325,000)   (989,487)
Total Short Contracts                   (3,758,529)
Net Unrealized Depreciation                  $(1,406,847)

 

1. As of March 31, 2020, cash in the amount of $2,394,320 was on deposit with a broker or futures commission merchant for futures transactions.
2. Represents the difference between the value of the contracts at the time they were opened and the value as of March 31, 2020.

 

Purchased Options on Futures Contracts

          Expiration   Number of   Notional   Premium Paid   Market 
Description  Counterparty  Strike Price   Date   Contracts   Amount   (Received)   Value 
   Morgan Stanley &              EUR         
Put-Euro Bund  Co., LLC  $159.00   5/22/2020   117    11,700,000   $1,356   $11,614 
                        $1,356   $11,614 

Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Call - 10-Year United States Treasury Note   Morgan Stanley & Co., LLC   $147.50   5/22/2020  10    10,000   $86   $1,094 
Call - 10-Year United States Treasury Note   Morgan Stanley & Co., LLC    200.00   5/22/2020    317    317,000    307,236    4,953 
Call-Euro BOBL   Morgan Stanley & Co., LLC    140.50   5/22/2020    25    

EUR 2,500,000

    152    827 
Call-Euro Schatz   Morgan Stanley & Co., LLC    116.50   5/22/2020    53    5,300,000    322    585 
Call-Euro Schatz   Morgan Stanley & Co., LLC    113.40   5/22/2020    232    23,200,000    1,410    5,117 
                        $309,206   $12,576 

  

Purchased Swaptions      
Description  Counterparty   Strike Price   Expiration
Date
   Number of
Contracts
    Notional
Amount
    Premium Paid
(Received)
    Market
Value
 
Call - IRO 1-Year/1-Year Forward Swap Rate   Morgan Stanley & Co., LLC   $1.19   8/26/2020    104,900,000   $104,900,000   $95,000   $919,552 
                        $95,000   $919,552 

 

Written Inflation-Capped Options

Description  Counterparty  Initial Index   Floating Rate  Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Cap-OTC USA Non-Revised Consumer Price Index-Urban (CPI-U), American Style - Call   JPMorgan Chase Bank N.A.    234.781  

Maximum of [0, Final Index/Initial Index – (1 + 4.000%)10]

  5/16/2024    (300,000)  $(300,000)  $(2,085)  $(2)
Floor-OTC USA Non-Revised Consumer Price Index-Urban (CPI-U), American Style - Put   JPMorgan Chase Bank N.A.    238.643   Maximum of [0, Final   Index/Initial Index]   10/02/2020    (1,900,000)   (1,900,000)   (35,068)   (15,262)
                           $(37,153)  $(15,264)

Written Swaptions
Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Call - IRO 2-Year/2-Year Forward Swap   Morgan Stanley & Co., LLC   $1.09   8/26/2020    (53,500,000)  $(53,500,000)  $(95,000)  $(595,231)
                        $(95,000)  $(595,231)
Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Put - Markit CDX N.A. I.G.   Bank of America Securities, Inc   $102.00   5/22/2020    (1,400,000)  $(1,400,000)  $(5,544)  $(138,061)
Put - Markit CDX N.A. I.G.   Morgan Stanley & Co., LLC    0.85   5/22/2020    (1,000,000)   (1,000,000)   (1,290)   (16,087)
                        $(6,834)  $(154,148)

 

Swap Contracts

 

As of March 31, 2020, the Portfolio held the following centrally cleared interest rate swap agreements1:

 

Notional Amount   Currency   Expiration Date  Payments made by Portfolio  Payments Received by Portfolio  Payment Frequency Paid/Received  Upfront Premiums Received/ (Paid)   Value   Unrealized Appreciation / (Depreciation) 
$47,060,000    

USD

   3/12/2021   3-Month USD-LIBOR   Fixed 1.50%   Quarterly/ Semi-Annually   $   $441,243   $441,243 
 47,100,000    

USD

   6/17/2021   Fixed 1.25%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    229,217    (410,021)   (180,804)
 4,800,000    

USD

   12/16/2022   3-Month USD-LIBOR   Fixed 2.25%   Quarterly/ Semi-Annually    (5,029)   241,948    236,919 
 10,100,000    

USD

   3/12/2025   Fixed 1.40%   3-Month USD-LIBOR   Semi-Annually/ Quarterly        (457,039)   (457,039)
 10,100,000    

USD

   6/17/2025   3-Month USD-LIBOR   Fixed 1.25%   Quarterly/ Semi-Annually    (209,807)   384,436    174,629 
 14,000,000    

JPY

   9/20/2027   Fixed 0.30%   6-Month JPY-LIBOR   Semi-Annually/ Semi-Annually    190    (3,217)   (3,027)
 50,000,000    

JPY

   3/20/2028   6-Month JPY-LIBOR   Fixed 0.30%   Semi-Annually/ Semi-Annually    703    (11,926)   (11,223)
 1,600,000    

NZD

   3/21/2028   Fixed 3.25%   3-Month NZD Bank Bill   Semi-Annually/ Quarterly    (3,804)   (182,629)   (186,433)
 106,980,000    

JPY

   3/20/2029   Fixed 0.45%   6-Month JPY-LIBOR   Semi-Annually/ Semi-Annually    4,382    (40,515)   (36,133)
 4,300,000    

GBP

   3/18/2030   6-Month USD-LIBOR   Fixed 0.75%   Semi-Annually/ Semi-Annually    21,615    86,542    108,157 
 700,000    

USD

   2/12/2045   Fixed 2.00%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    12,653    (179,981)   (167,328)
 1,170,000    

USD

   12/15/2047   Fixed 2.00%   12-Month USD-FFR   Annually/ Annually    (2,084)   (416,723)   (418,807)
 600,000    

USD

   12/11/2049   Fixed 2.25%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    3,865    (221,249)   (217,384)
 100,000    

USD

   1/15/2050   Fixed 2.00%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    707    (29,995)   (29,288)
 290,000    

USD

   1/16/2050   Fixed 1.625%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    1,305    (57,244)   (55,939)
 600,000    

USD

   1/22/2050   Fixed 1.75%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    3,356    (138,994)   (135,638)
 1,400,000    

USD

   2/3/2050   Fixed 1.625%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    (13,734)   (276,534)   (290,268)
 500,000    

USD

   2/7/2050   Fixed 1.875%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    (889)   (133,024)   (133,913)
 500,000    

USD

   3/12/2050   Fixed 2.24%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    1,218    (185,821)   (184,603)
 220,000    

USD

   3/20/2050   Fixed 2.00%   3-Month USD-LIBOR   Semi-Annually/ Quarterly    4,713    (66,564)   (61,851)
 1,500,000    

GBP

   6/17/2050   Fixed 1.00%   6-Month USD-LIBOR   Semi-Annually/ Semi-Annually    60,868    (213,528)   (152,660)
                      $109,445   $(1,870,835)  $(1,761,390)

 

Open OTC interest rate swap agreements as of March 31, 2020 were as follows:

 

Notional Amount   Currency   Expiration Date  Counterparty  Payments made by Portfolio  Payments Received by Portfolio  Payment Frequency Paid/Received  Upfront Premiums Received/(Paid)   Value   Unrealized Appreciation / (Depreciation) 
$880,000  

ILS

   2/16/2028   Bank of America N.A.   3-Month TELBOR   Fixed 1.963%   Quarterly/ Annually   $   $23,106   $23,106 
 2,570,000  

ILS

   6/20/2020   Bank of America N.A.   Fixed 3.70%   3-Month TELBOR   Annually/ Quarterly        (2,354)   (2,354)
 540,000  

ILS

   6/20/2028   Bank of America N.A.   3-Month TELBOR   Fixed 1.998%   Quarterly/ Annually        16,961    16,961 
                        $   $37,713   $37,713 

 

As of March 31, 2020, the Portfolio held the following open centrally cleared inflation swap agreements1:

 

Notional Amount   Currency   Expiration Date  Payments made by Portfolio  Payments Received by Portfolio  Payment Frequency Paid/Received  Upfront Premiums Received/ (Paid)   Value   Unrealized Appreciation / (Depreciation) 
 1,300,000  

USD

   11/23/2020   Fixed 2.027%   12-Month USD-CPI   At Maturity        (23,726)   (23,726)
 1,300,000  

USD

   11/25/2020   Fixed 2.021%   12-Month USD-CPI   At Maturity        (23,782)   (23,782)
 4,600,000  

USD

   9/20/2021   Fixed 1.58%   12-Month USD-CPI   At Maturity        (129,976)   (129,976)
 1,100,000  

USD

   4/27/2023   Fixed 2.263%   12-Month USD-CPI   At Maturity        (79,773)   (79,773)
 510,000  

USD

   5/9/2023   Fixed 2.263%   12-Month USD-CPI   At Maturity        (36,947)   (36,947)
 780,000  

USD

   5/10/2023   Fixed 2.281%   12-Month USD-CPI   At Maturity        (57,266)   (57,266)
 2,800,000  

EUR

   3/15/2024   12-Month EUR-CPI   Fixed 1.03%   At Maturity    889    (124,802)   (123,913)
 2,200,000  

GBP

   9/15/2024   UK RPI   Fixed 3.85%   At Maturity    (336)   138,975    138,639 
 560,000  

EUR

   12/15/2026   12-Month EUR-CPI   Fixed 1.385%   At Maturity    1,317    48,211    49,528 
 800,000  

EUR

   6/15/2027   12-Month EUR-CPI   Fixed 1.36%   At Maturity    9,043    70,942    79,985 
 1,100,000  

USD

   7/25/2027   12-Month USD-CPI   Fixed 2.067%   At Maturity        109,608    109,608 
 600,000  

USD

   9/25/2027   12-Month USD-CPI   Fixed 2.15%   At Maturity        64,484    64,484 
 1,200,000  

USD

   10/17/2027   12-Month USD-CPI   Fixed 2.155%   At Maturity        130,569    130,569 
 3,900,000  

EUR

   11/15/2027   12-Month EUR-CPI   Fixed 1.52%   At Maturity    2,741    420,800    423,541 
 1,000,000  

EUR

   3/15/2028   12-Month EUR-CPI   Fixed 1.535%   At Maturity    (106)   113,376    113,270 
 510,000  

USD

   5/9/2028   12-Month USD-CPI   Fixed 2.353%   At Maturity        72,553    72,553 
 770,000  

USD

   5/9/2028   12-Month USD-CPI   Fixed 2.36%   At Maturity        110,229    110,229 
 850,000  

EUR

   5/15/2028   12-Month EUR-CPI   Fixed 1.62%   At Maturity    (45)   105,521    105,476 
 2,600,000  

USD

   11/4/2029   12-Month USD-CPI   Fixed 1.76%   At Maturity    1,358    180,846    182,204 
 4,200,000  

GBP

   1/15/2030   Fixed 3.39%   UK RPI   At Maturity    33,913    69,193    103,106 
 3,460,000  

GBP

   6/15/2030   UK RPI   Fixed 3.40%   At Maturity    (11,295)   274,440    263,145 
 2,070,000  

GBP

   4/15/2031   UK RPI   Fixed 3.14%   At Maturity    159,623    (46,112)   113,511 
 2,690,000  

GBP

   10/15/2031   UK RPI   Fixed 3.53%   At Maturity    2,761    223,518    226,279 
 200,000  

EUR

   3/15/2033   12-Month EUR-CPI   Fixed 1.71%   At Maturity    338    (36,051)   (35,713)
 1,430,000  

EUR

   2/15/2050   12-Month EUR-CPI   Fixed 1.45%   At Maturity    (5,670)   234,627    228,957 
                     $194,531   $1,809,457   $2,003,988 

  

As of March 31, 2020, the Portfolio held the following centrally cleared credit default swap contracts1:

 

Reference Obligation  Termination Date 

Buy/Sell Protection2

  

Notional Amount (000)3

  

(Pay)/ Receive Fixed Rate4

   Payment Frequency Paid/Received  Upfront Premiums Received/ (Paid)   Value  

Unrealized
Appreciation /
(Depreciation)5

 
Daimler AG 0.625%, 03/05/20   12/20/2020    

Sell

    150    1.00%  Quarterly    (774)   521    (253)
General Electric Co. 2.70%, 10/09/22   12/20/2020    

Buy

    100    (1.00)%  Quarterly    1,006    (262)   744 
General Electric Co. 2.70%, 10/09/22   12/20/2023    

Buy

    100    (1.00)%  Quarterly    3,595    (3,350)   245 
CDX North American High Yield Series 33   12/20/2024    

Sell

    6,174    5.00%  Quarterly    340,289    376,420    716,709 
iTraxx Europe Series 32 Version 1   12/20/2024    

Sell

    1,600    1.00%  Quarterly    (22,559)   3,658    (18,901)
CDX North American High Yield Series 34   6/20/2025    

Sell

    2,000    5.00%  Quarterly    (79,600)   124,597    44,997 
                        $241,957   $501,584   $743,541 

 

  1 As of March 31, 2020, cash in the amount of $4,391,000 was on deposit with a broker for centrally cleared swap agreements.
  2

Buy-Portfolio pays premium and buys credit protection. If a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying 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 referenced obligation or underlying securities comprising the referenced index.

Sell-Portfolio receives premium and sells credit protection. If a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio 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.

  3 The maximum potential amount the Portfolio could be required to pay as a seller of credit protection or receive as a buyer of credit protection if a credit event occurs as defined under the terms of that particular swap contract.
  4 The annual fixed rate represents the interest received by the Portfolio (as a seller of protection) or paid by the Portfolio (as a buyer of protection) annually on the notional amount of the credit default swap contract.
  5 Represents the difference between the value of the credit default swap contracts at the time they were opened and the value at March 31, 2020.

 

The following abbreviations are used in the preceding pages:

ARS —Argentine Peso
AUD —Australian Dollar
BADLARPP —Average rate on 30-day deposits of at least 1 million Argentinian Pesos
BRL —Brazilian Real
CAD —Canadian Dollar
DKK —Danish Krone
EUR —Euro
EURIBOR Euro Interbank Offered Rate
FFR Federal Fund Rate
GBP —British Pound Sterling
IDR —Indonesian Rupiah
ILS —Israeli Shekel
JPY —Japanese Yen
LIBOR —London Interbank Offered Rate
MXN —Mexican Peso
NZD —New Zealand Dollar
PEN —Peruvian Sol
REMIC —Real Estate Mortgage Investment Conduit
RUB —New Russian Ruble
SGD —Singapore Dollar
SONIA —Sterling Overnight Interbank Average Rate
TBA To Be Announced
TELBOR —Tel Aviv Interbank Offered Rate
USD —United States Dollar

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets and liabilities:
   

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total  
                
Asset Valuation Inputs                    
                     
Investments in Securities (a)                    
Long-Term Bonds                    
Asset-Backed Securities  $   $20,855,642   $   $20,855,642 
Corporate Bonds       38,435,442        38,435,442 
Foreign Government Bonds       13,197,838        13,197,838 
Mortgage-Backed Securities       15,842,064        15,842,064 
U.S. Government & Federal Agencies       485,381,439        485,381,439 
Total Long-Term Bonds       573,712,425        573,712,425 
Purchased Options   943,742            943,742 
Short-Term Investments                    
Foreign Government Bonds       2,823,202        2,823,202 
Unaffiliated Investment Company   1,057,709            1,057,709 
Total Short-Term Investments   1,057,709    2,823,202        3,880,911 
Total Investments in Securities  $2,001,451   $576,535,627   $   $578,537,078 
Other Financial Instruments                    
Credit Default Swap Contracts (b)       762,694        762,694 
Foreign Currency Forward Contracts (b)       2,049,780        2,049,780 
Futures Contracts (b)   2,748,162            2,748,162 
Inflation Swap Contracts (b)       2,515,083        2,515,083 
Interest Rate Swap Contracts (b)       1,001,014        1,001,014 
Total Other Financial Instruments   2,748,162    6,328,571        9,076,733 
Total Investments in Securities and Other Financial Instruments  $4,749,613   $582,864,198   $   $587,613,811 
                     
Liability Valuation Inputs
                    
Long-Term Bonds Sold Short                    
U.S. Government Securities Sold Short  $   $(2,487,488)  $   $(2,487,488)
Total Long-Term Bonds Sold Short       (2,487,488)       (2,487,488)
Other Financial Instruments                    
Foreign Currency Forward Contracts (b)       (1,263,586)       (1,263,586)
Futures Contracts (b)   (4,155,009)           (4,155,009)
Inflation Swap Contracts (b)       (511,096)       (511,096)
Credit Default Swap Contracts (b)       (19,153)       (19,153)
Interest Rate Swap Contracts (b)       (2,724,691)       (2,724,691)
Written Options   (749,379)   (15,264)       (764,643)
Total Other Financial Instruments   (4,904,388)   (4,533,790)       (9,438,178)
Total Investments in Securities Sold Short and Other Financial Instruments  $(4,904,388)  $(7,021,278)  $   $(11,925,666)
                     

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.
 
(b) The value listed for these securities reflects unrealized appreciation (depreciation) as shown on the Portfolio of Investments.

 

Sale-Buyback Transactions

 

Counterparty  Borrowing Rate   Borrowing Date  Maturity Date  Amount Borrowed (a)   Payable for Sale-Buyback Transactions (b) 
Barclays Capital Inc.   0.25%  3/30/2020  4/1/2020  $1,943,906   $1,943,906 
Barclays Capital Inc.   0.15   3/31/2020  4/1/2020   1,348,834    1,348,834 
Barclays Capital Inc.   0.45   3/27/2020  4/2/2020   22,304,820    22,306,655 
Barclays Capital Inc.   0.45   3/27/2020  4/2/2020   20,188,717    20,190,481 
Barclays Capital Inc.   0.45   3/27/2020  4/2/2020   20,143,390    20,145,886 
Barclays Capital Inc.   0.45   3/27/2020  4/2/2020   20,327,994    20,329,610 
Barclays Capital Inc.   1.71   2/6/2020  4/3/2020   1,018,329    1,018,375 
Barclays Capital Inc.   1.76   2/5/2020  4/3/2020   1,018,383    1,018,428 
Barclays Capital Inc.   1.75   2/21/2020  4/3/2020   41,759,866    41,764,248 
Barclays Capital Inc.   1.75   2/21/2020  4/3/2020   28,186,153    28,188,605 
Barclays Capital Inc.   1.75   2/21/2020  4/3/2020   16,655,022    16,656,466 
Barclays Capital Inc.   1.50   3/17/2020  4/7/2020   34,046,082    34,062,237 
Barclays Capital Inc.   1.03   3/25/2020  4/13/2020   7,365,574    7,371,765 
Barclays Capital Inc.   1.03   3/25/2020  4/13/2020   350,829    350,899 
Barclays Capital Inc.   1.91   11/15/2019  5/18/2020   27,905,404    27,922,806 
              $244,563,303   $244,619,201 

 

(a)The average amount of borrowings outstanding during the period ended March 31, 2020 was $168,204,395 at a weighted average interest rate of 1.83%. Average borrowings may include reverse repurchase agreements and sale buy back transactions, if held during the period.
(b)Payable for sale-buyback transactions includes $55,898 of deferred price drop.

 

 

 

 

 

MainStay VP Growth Allocation Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

  Affiliated Investment Companies 94.0% †  Shares   Value 
  Equity Funds 94.0%          
  IQ 50 Percent Hedged FTSE International ETF (a)   1,032,400   $17,344,320 
  IQ 500 International ETF (a)   2,119,093    44,361,093 
  IQ Chaikin U.S. Large Cap ETF (a)   1,592,213    30,681,307 
  IQ Chaikin U.S. Small Cap ETF   229,718    3,961,510 
  MainStay Epoch Capital Growth Fund Class I (a)   784,949    8,681,535 
  MainStay Epoch International Choice Fund Class I (a)   1,492,713    42,840,856 
  MainStay Epoch U.S. All Cap Fund Class R6 (a)   1,443,902    28,776,965 
  MainStay MacKay International Opportunities Fund Class I (a)   6,101,100    33,861,106 
  MainStay MAP Equity Fund Class I (a)   1,909,245    60,714,003 
  MainStay VP Eagle Small Cap Growth Portfolio Initial Class (a)   6,125,692    62,402,134 
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   6,438,549    46,731,211 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   6,193,998    75,864,753 
  MainStay VP Large Cap Growth Portfolio Initial Class (a)   3,477,233    77,522,059 
  MainStay VP MacKay Common Stock Portfolio Initial Class (a)   1,708,689    36,242,462 
  MainStay VP MacKay Growth Portfolio Initial Class (a)   1,969,042    52,947,197 
  MainStay VP MacKay International Equity Portfolio Initial Class (a)   1,933,420    25,141,666 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   4,211,760    40,543,414 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   240,021    11,903,843 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   3,413,338    24,017,930 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   8,080,181    74,412,787 
             
  Total Affiliated Investment Companies
(Cost $1,018,736,333)
        798,952,151 
             
  Short-Term Investment 6.1%          
  Affiliated Investment Company 6.1%          
  MainStay U.S. Government Liquidity Fund, 0.09% (a)(b)   51,806,672    51,806,672 
             
  Total Short-Term Investment
(Cost $51,806,672)
        51,806,672 
             
  Total Investments
(Cost $1,070,543,005)
   100.1%   850,758,823 
  Other Assets, Less Liabilities   (0.1)   (997,860)
  Net Assets   100.0%  $849,760,963 

 

Percentages indicated are based on Portfolio net assets.
(a) As of March 31, 2020, the Portfolio's ownership exceeds 5% of the outstanding shares of the Underlying Portfolio's/Fund's share class.
(b) Current yield as of March 31, 2020.

  

Swap Contracts 

Open OTC total return swap contracts as of March 31, 2020 were as follows:

 

Swap
Counterparty

 

Reference Obligation

 

Floating Rate1

 

Termination
Date(s)

 

Payment
Frequency
Paid/Received

 

Notional
Amount
Long/
(Short)
(000)*

  

Unrealized
Appreciation2

 

Citigroup

 

Russell 1000 Value Total Return Index

 

1 month LIBOR BBA plus 0.36%

 

12/07/2020

 

Monthly

  $24,838   $ 

Citigroup

 

Russell 2000 Total Return Index

 

1 month LIBOR BBA plus 0.18%

 

12/07/2020

 

Monthly

   6,831     

Citigroup

 

Russell Midcap Total Return Index

 

1 month LIBOR BBA minus 0.25%

 

12/07/2020

 

Monthly

   (13,114)    

Citigroup

 

S&P 500 Total Return Index

 

1 month LIBOR BBA minus 0.00%

 

10/26/2020

 

Monthly

   (10,315)    
                    $ 

 

1. Portfolio pays the floating rate and receives the total return of the reference entity.
2. Reflects the value at reset date as of March 31, 2020.
* Notional amounts reflected as a positive value indicate a long position held by the Portfolio or Index and a negative value indicates a short position.

 

The following abbreviations are used in the preceding pages:

BBA —British Bankers' Association
ETF —Exchange-Traded Fund
FTSE —Financial Times Stock Exchange
LIBOR —London Interbank Offered Rate

  

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)

  

Significant
Other
Observable
Inputs

(Level 2)

  

Significant
Unobservable
Inputs

(Level 3)

   Total
                
Asset Valuation Inputs               
Investments (a)               
Affiliated Investment Companies                    
Equity Funds  $798,952,151   $   $   $798,952,151 
Short-Term Investments   51,806,672            51,806,672 
Total Investments in Securities  $850,758,823   $   $   $850,758,823 

 

(a)For a complete listing of investments, see the Portfolio of Investments.

 

 

 

 

MainStay VP Moderate Allocation Portfolio

 

Portfolio of Investments March 31, 2020 (Unaudited)

 

  Affiliated Investment Companies 95.0%†  Shares   Value 
  Equity Funds 54.0%          
  IQ 50 Percent Hedged FTSE International ETF (a)   1,097,483   $18,437,714 
  IQ 500 International ETF (a)   1,092,630    22,873,116 
  IQ Chaikin U.S. Large Cap ETF (a)   1,244,439    23,979,842 
  IQ Chaikin U.S. Small Cap ETF   199,207    3,435,345 
  MainStay Epoch Capital Growth Fund Class I (a)   940,908    10,406,440 
  MainStay Epoch International Choice Fund Class I (a)   1,027,222    29,481,266 
  MainStay Epoch U.S. All Cap Fund Class R6 (a)   1,362,740    27,159,410 
  MainStay MacKay International Opportunities Fund Class I (a)   3,744,562    20,782,319 
  MainStay MAP Equity Fund Class I (a)   1,376,954    43,787,133 
  MainStay VP Eagle Small Cap Growth Portfolio Initial Class (a)   1,588,005    16,176,936 
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   4,001,853    29,045,589 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   3,118,752    38,198,808 
  MainStay VP Large Cap Growth Portfolio Initial Class (a)   2,370,914    52,857,590 
  MainStay VP MacKay Common Stock Portfolio Initial Class (a)   1,156,502    24,530,186 
  MainStay VP MacKay Growth Portfolio Initial Class (a)   1,494,701    40,192,271 
  MainStay VP MacKay International Equity Portfolio Initial Class   514,394    6,689,036 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   2,206,450    21,239,822 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   556,437    27,596,423 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   1,309,434    9,213,827 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   5,023,274    46,260,821 
             
Total Equity Funds
(Cost $625,374,701)
       512,343,894 
             
  Fixed Income Funds 41.0%          
  MainStay MacKay High Yield Municipal Bond Fund Class R6 (a)   534,066    6,579,691 
  MainStay MacKay Infrastructure Bond Fund Class R6 (a)   2,129,980    18,466,928 
  MainStay MacKay Short Duration High Yield Fund Class I (a)   6,179,076    53,263,635 
  MainStay Short Term Bond Class I (a)   1,082,725    10,989,661 
  MainStay VP Bond Portfolio Initial Class (a)   5,088,158    74,438,851 
  MainStay VP Floating Rate Portfolio Initial Class (a)   1,943,081    15,100,266 
  MainStay VP Indexed Bond Portfolio Initial Class (a)   16,293,363    179,657,560 
  MainStay VP MacKay Convertible Portfolio Initial Class (a)   1,183,937    13,855,332 
  MainStay VP MacKay Unconstrained Bond Portfolio Initial Class (a)   655,172    6,003,417 
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   1,324,019    11,513,268 
             
Total Fixed Income Funds
(Cost $387,593,259)
       389,868,609 
            
Total Affiliated Investment Companies
(Cost $1,012,967,960)
       902,212,503 
            
  Short-Term Investment 5.0%          
  Affiliated Investment Company 5.0%          
  MainStay U.S. Government Liquidity Fund, 0.09% (a)(b)   47,149,066    47,149,066 
             
  Total Short-Term Investment
(Cost $47,149,066)
        47,149,066 
             
  Total Investments
(Cost $1,060,117,026)
   100.0%   949,361,569 
             
  Other Assets, Less Liabilities   (0.0)‡   (97,632)
  Net Assets   100.0%  $949,263,937 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) As of March 31, 2020, the Portfolio's ownership exceeded 5% of the outstanding shares of the Underlying Portfolio's/Fund's share class.
(b) Current yield as of March 31, 2020.

 

Swap Contracts

Open OTC total return swap contracts as of March 31, 2020 were as follows1

 

Swap
Counterparty

 

Reference Obligation

 

Floating Rate2

 

Termination
Date(s)

 

Payment
Frequency
Paid/Received

 

Notional
Amount
Long/
(Short)
(000)*

  

Unrealized
Appreciation3

 

Citigroup

 

iShares 20+ Year Treasury Bond ETF

 

1 month LIBOR BBA plus 0.40%

 

12/01/2020

 

Monthly

  $14,143   $ 

Citigroup

 

iShares Core U.S. Aggregate Bond ETF

 

1 month LIBOR BBA plus 0.60%

 

12/01/2020

 

Monthly

   4,682     

Citigroup

 

iShares MSCI EAFE ETF

 

1 month LIBOR BBA plus 0.40%

 

12/01/2020

 

Monthly

   5,370     

Citigroup

 

Russell 1000 Value Total Return Index

 

1 month LIBOR BBA plus 0.36%

 

12/07/2020

 

Monthly

   25,445     

Citigroup

 

Russell 2000 Total Return Index

 

1 month LIBOR BBA minus 0.09%

 

12/07/2020

 

Monthly

   (2,932)    

Citigroup

 

Russell Midcap Total Return Index

 

1 month LIBOR BBA minus 0.25%

 

12/07/2020

 

Monthly

   (13,657)    

Citigroup

 

S&P 500 Total Return Index

 

1 month LIBOR BBA plus 0.00%

 

10/26/2020

 

Monthly

   6,642     
                     $ 

 

  1. As of March 31, 2020, cash in the amount of $1,128,608 was pledged from brokers for OTC swap contracts.
  2. Portfolio pays the floating rate and receives the total return of the reference entity.
  3. Reflects the value at reset date as of March 31, 2019.
  * Notional amounts reflected as a positive value indicate a long position held by the Portfolio or Index and a negative value indicates a short position.

 

The following abbreviations are used in the preceding pages:

BBA —British Bankers' Association
ETF —Exchange-Traded Fund
FTSE —Financial Times Stock Exchange
LIBOR —London Interbank Offered Rate

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)

  

Significant
Other
Observable
Inputs

(Level 2)

  

Significant
Unobservable
Inputs

(Level 3)

   Total 
                 

Asset Valuation Inputs 

            
Investments (a)                    
Affiliated Investment Companies                    
Equity Funds  $512,343,894   $   $   $512,343,894 
Fixed Income Funds   389,868,609            389,868,609 
Short-Term Investments   47,149,066            47,149,066 
Total Investments in Securities  $949,361,569   $   $   $949,361,569 

 

(a)For a complete listing of investments, see the Portfolio of Investments.

 

 

 

 

MainStay VP Moderate Growth Allocation Portfolio

 

Portfolio of Investments  March 31, 2020 (Unaudited)

 

  Affiliated Investment Companies 94.7% †   Shares    Value 
  Equity Funds 76.3%          
  IQ 50 Percent Hedged FTSE International ETF (a)   1,862,836   $31,295,645 
  IQ 500 International ETF (a)   2,669,614    55,885,699 
  IQ Chaikin U.S. Large Cap ETF (a)   2,587,447    49,859,069 
  IQ Chaikin U.S. Small Cap ETF (a)   582,668    10,048,168 
  MainStay Epoch Capital Growth Fund Class I (a)   1,640,588    18,144,898 
  MainStay Epoch International Choice Fund Class I (a)   2,330,153    66,875,390 
  MainStay Epoch U.S. All Cap Fund Class R6 (a)   2,348,399    46,803,591 
  MainStay MacKay International Opportunities Fund Class I (a)   9,358,800    51,941,342 
  MainStay MAP Equity Fund Class I (a)   2,732,553    86,895,187 
  MainStay VP Eagle Small Cap Growth Portfolio Initial Class (a)   7,668,084    78,114,409 
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   8,991,439    65,260,182 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   7,912,510    96,913,270 
  MainStay VP Large Cap Growth Portfolio Initial Class (a)   4,456,532    99,354,732 
  MainStay VP MacKay Common Stock Portfolio Initial Class (a)   2,066,387    43,829,472 
  MainStay VP MacKay Growth Portfolio Initial Class (a)   2,889,323    77,693,407 
  MainStay VP MacKay International Equity Portfolio Initial Class (a)   1,497,665    19,475,220 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   6,395,443    61,564,072 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   799,754    39,663,742 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   5,155,122    36,273,983 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   12,315,746    113,419,367 
             
Total Equity Funds
(Cost $1,450,463,852)
        1,149,310,845 
             
  Fixed Income Funds 18.4%          
  MainStay MacKay High Yield Municipal Bond Fund Class R6 (a)   1,470,136    18,112,077 
  MainStay MacKay Infrastructure Bond Fund Class R6 (a)   3,775,545    32,733,975 
  MainStay MacKay Short Duration High Yield Fund Class I (a)   10,008,420    86,272,577 
  MainStay Short Term Bond Class I (a)   1,836,923    18,644,772 
  MainStay VP Bond Portfolio Initial Class (a)   2,465,390    36,068,210 
  MainStay VP Floating Rate Portfolio Initial Class   3,320,315    25,803,160 
  MainStay VP Indexed Bond Portfolio Initial Class   624,499    6,885,990 
  MainStay VP MacKay Convertible Portfolio Initial Class (a)   1,979,313    23,163,428 
  MainStay VP MacKay Unconstrained Bond Portfolio Initial Class (a)   1,005,092    9,209,781 
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   2,239,566    19,474,596 
             
Total Fixed Income Funds
(Cost $295,374,336)
        276,368,566 
             
  Total Affiliated Investment Companies
(Cost $1,745,838,188)
        1,425,679,411 
             
  Short-Term Investment 5.3%          
  Affiliated Investment Company 5.3%          
  MainStay U.S. Government Liquidity Fund, 0.09% (a)(b)   79,255,756    79,255,756 
             
  Total Short-Term Investment
(Cost $79,255,756)
        79,255,756 
             
  Total Investments
(Cost $1,825,093,944)
   100.0%   1,504,935,167 
             
  Other Assets, Less Liabilities   0.0   463,517 
  Net Assets   100.0%  $1,505,398,684 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) As of March 31, 2020, the Portfolio's ownership exceeds 5% of the outstanding shares of the Underlying Portfolio's/Fund's share class.
(b) Current yield as of March 31, 2020.

  

Swap Contracts

 

Open OTC total return swap contracts as of March 31, 2020 were as follows:

 

Swap
Counterparty

 

Reference Obligation

 

Floating Rate1

 

Termination
Date(s)

 

Payment
Frequency
Paid/Received

 

Notional
Amount
Long/
(Short)
(000)*

  

Unrealized
Appreciation2

 

Citigroup

 

iShares 20+ Year Treasury Bond ETF

 

1 month LIBOR BBA plus 0.40%

 

12/01/2020

 

Monthly

  $22,105   $ 

Citigroup

 

iShares Core U.S. Aggregate Bond ETF

 

1 month LIBOR BBA plus 0.60%

 

12/01/2020

 

Monthly

   28,996     

Citigroup

 

Russell 1000 Value Total Return Index

 

1 month LIBOR BBA plus 0.36%

 

12/07/2020

 

Monthly

   43,468     

Citigroup

 

Russell 2000 Total Return Index

 

1 month LIBOR BBA plus 0.18%

 

12/07/2020

 

Monthly

   4,417     

Citigroup

 

Russell Midcap Total Return Index

 

1 month LIBOR BBA minus 0.25%

 

12/07/2020

 

Monthly

   (22,576)    

Citigroup

 

S&P 500 Total Return Index

 

1 month LIBOR BBA minus 0.00%

 

10/26/2020

 

Monthly

   (26,194)    
                    $ 

 

  1. Portfolio pays or receives the floating rate and receives or pays the total return of the reference entity.
  2. Reflects the value at reset date as of March 31, 2020.
  * Notional amounts reflected as a positive value indicate a long position held by the Portfolio or Index and a negative value indicates a short position.

  

The following abbreviations are used in the preceding pages:

BBA —British Bankers' Association
ETF —Exchange-Traded Fund
FTSE —Financial Times Stock Exchange
LIBOR —London Interbank Offered Rate

 

The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

Description 

Quoted Prices
in Active
Markets for
Identical Assets

(Level 1)

  

Significant
Other
Observable
Inputs

(Level 2)

  

Significant
Unobservable
Inputs

(Level 3)

   Total 
                 
Asset Valuation Inputs                    
Investments (a)                    
Affiliated Investment Companies                    
Equity Funds  $1,149,310,845   $   $   $1,149,310,845 
Fixed Income Funds   276,368,566            276,368,566 
Short-Term Investment   79,255,756            79,255,756 
Total Investments in Securities  $1,504,935,167   $   $   $1,504,935,167 

 

(a) For a complete listing of investments, see the Portfolio of Investments.

 

 

 

 

MainStay VP Conservative Allocation Portfolio  
   
Portfolio of Investments  March 31, 2020 (Unaudited)  
  Shares       Value  
  Affiliated Investment Companies 95.5% †  
  Equity Funds 33.4%    
  IQ 50 Percent Hedged FTSE International ETF   684,777     $ 11,504,254  
  IQ 500 International ETF (a)   583,784       12,220,934  
  IQ Chaikin U.S. Large Cap ETF   419,122       8,076,313  
  IQ Chaikin U.S. Small Cap ETF   90,049       1,552,904  
  MainStay Epoch Capital Growth Fund Class I (a)   584,827       6,468,187  
  MainStay Epoch International Choice Fund Class I   310,451       8,909,944  
  MainStay Epoch U.S. All Cap Fund Class R6   443,244       8,833,860  
  MainStay MacKay International Opportunities Fund Class I   1,193,105       6,621,735  
  MainStay MAP Equity Fund Class I   584,086       18,573,939  
  MainStay VP Eagle Small Cap Growth Portfolio Initial Class   1,119,676       11,406,090  
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   1,367,639       9,926,371  
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   1,430,168       17,516,846  
  MainStay VP Large Cap Growth Portfolio Initial Class (a)   904,135       20,156,942  
  MainStay VP MacKay Common Stock Portfolio Initial Class   436,741       9,263,572  
  MainStay VP MacKay Growth Portfolio Initial Class   560,401       15,069,078  
  MainStay VP MacKay International Equity Portfolio Initial Class   310,269       4,034,657  
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class   900,569       8,669,091  
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   148,004       7,340,242  
  MainStay VP MacKay Small Cap Core Portfolio Initial Class   636,776       4,480,672  
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   2,291,737       21,105,284  
   
 Total Equity Funds
(Cost $257,105,600)
    211,730,915  
   
  Fixed Income Funds 62.1%    
  MainStay MacKay High Yield Municipal Bond Fund Class R6 (a)   261,001       3,215,528  
  MainStay MacKay Infrastructure Bond Fund Class R6 (a)   1,305,615       11,319,681  
  MainStay MacKay Short Duration High Yield Fund Class I (a)   5,445,854       46,943,262  
  MainStay Short Term Bond Class I (a)   688,812       6,991,438  
  MainStay VP Bond Portfolio Initial Class (a)   3,195,750       46,753,250  
  MainStay VP Floating Rate Portfolio Initial Class (a)   3,313,154       25,747,517  
  MainStay VP Indexed Bond Portfolio Initial Class (a)   21,235,799       234,154,966  
  MainStay VP MacKay Convertible Portfolio Initial Class   613,984       7,185,302  
  MainStay VP MacKay Unconstrained Bond Portfolio Initial Class (a)   320,875       2,940,215  
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   885,711       7,701,876  
 
 Total Fixed Income Funds
(Cost $381,528,953)
    392,953,035  
 
  Total Affiliated Investment Companies
(Cost $638,634,553)
    604,683,950  
 
  Short-Term Investment 4.2%  
  Affiliated Investment Company 4.2%    
  MainStay U.S. Government Liquidity Fund, 0.09% (b)     26,704,135       26,704,135  
 
  Total Short-Term Investment
(Cost $26,704,135)
    26,704,135  
 
  Total Investments
(Cost $665,338,688)
  99.7 %     631,388,085  
                 
  Other Assets, Less Liabilities   0.3       1,971,961  
  Net Assets   100.0 %   $ 633,360,046  

 

Percentages indicated are based on Portfolio net assets.
(a) As of March 31, 2020, the Portfolio's ownership exceeds 5% of the outstanding shares of the Underlying Portfolio's/Fund's share class.
(b) Current yield as of March 31, 2020.

 

Swap Contracts
 
Open OTC total return swap contracts as of March 31, 2020 were as follows1:

 

Swap Counterparty

Reference Obligation

Floating Rate2

Termination
Date(s)

Payment
Frequency
Paid/Received

 

Notional
Amount
Long/
(Short)
(000)*

   

Unrealized
Appreciation3

 

Citigroup

iShares Core U.S. Aggregate Bond ETF

1 month LIBOR BBA plus 0.60%

12/01/2020

Monthly

 

$

3,448

   

$

 

Citigroup

iShares MSCI EAFE ETF

1 month LIBOR BBA plus 0.40%

12/01/2020

Monthly

 

6,217

   

 

Citigroup

iShares 20+ Year Treasury Bond ETF

1 month LIBOR BBA plus 0.40%

12/01/2020

Monthly

 

9,785

   

 

Citigroup

Russell 1000 Value Total Return Index

1 month LIBOR BBA plus 0.36%

12/07/2020

Monthly

 

16,258

   

 

Citigroup

Russell 2000 Total Return Index

1 month LIBOR BBA minus 0.09%

12/07/2020

Monthly

 

(3,949

)  

 

Citigroup

Russell Midcap Total Return Index

1 month LIBOR BBA minus 0.25%

12/07/2020

Monthly

 

(12,102

)  

 

Citigroup

S&P 500 Total Return Index

1 month LIBOR BBA plus 0.00%

10/26/2020

Monthly

 

10,356

   

 
                            $  

 

1. As of March 31, 2020, cash in the amount of $2,271,597 was pledged from brokers for OTC swap contracts.
2. Portfolio pays or receives the floating rate and receives or pays the total return of the reference entity.
3. Reflects the value at reset date as of March 31, 2020.
*

Notional amounts reflected as a positive value indicate a long position held by the Portfolio or Index and a negative value indicates a short position. 

 

The following abbreviations are used in the preceding pages:
BBA British Bankers' Association
ETF Exchange-Traded Fund
FTSE Financial Times Stock Exchange
LIBOR London Interbank Offered Rate
 
The following is a summary of the fair valuations according to the inputs used as of March 31, 2020, for valuing the Portfolio's assets:

 

Description  Quoted Prices
in Active
Markets for
Identical Assets
(Level 1)
   Significant
Other
Observable
Inputs
(Level 2)
   Significant
Unobservable
Inputs
(Level 3)
   Total 
                 
Asset Valuation Inputs                    
                     
Investments (a)                    
Affiliated Investment Companies                    
Equity Funds  $211,730,915   $   $   $211,730,915 
Fixed Income Funds   392,953,035            392,953,035 
Short-Term Investments   26,704,135            26,704,135 
Total Investments in Securities  $631,388,085   $   $   $631,388,085 

 

(a) For a complete listing of investments, see the Portfolio of Investments.

 

 

 

 

MainStay VP Funds Trust

 

NOTES TO PORTFOLIOS OF INVESTMENTS March 31, 2020 (Unaudited)

 

SECURITIES VALUATION.

 

Investments are usually valued as of the close of regular trading on the New York Stock Exchange (the “Exchange”) (generally 4:00 p.m. Eastern time) on each day the Portfolios are open for business (“valuation date”).

 

The Board of Trustees (the “Board”) of MainStay VP Funds Trust (the “Fund”) adopted procedures establishing methodologies for the valuation of each Portfolio’s securities and other assets and delegated the responsibility for valuation determinations under those procedures to the Valuation Committee of the Fund (the “Valuation Committee”). The procedures state that, subject to the oversight of the Board and unless otherwise noted, the responsibility for the day-to-day valuation of portfolio assets (including fair value measurements for each Portfolio’s assets and liabilities) rests with New York Life Investment Management LLC (“New York Life Investments” or the “Manager”), aided to whatever extent necessary by the Subadvisor (as defined in Note 3(A)). To assess the appropriateness of security valuations, the Manager, the Subadvisor(s) or each Portfolio’s third-party service provider, who is subject to oversight by the Manager, regularly compares prior day prices, prices on comparable securities and the sale prices to the prior and current day prices and challenges prices with changes exceeding certain tolerance levels with third-party pricing services or broker sources.

 

The Board authorized the Valuation Committee to appoint a Valuation Subcommittee (the “Subcommittee”) to establish the prices of securities for which market quotations are not readily available or the prices of which are not otherwise readily determinable under the procedures. The Subcommittee meets (in person, via electronic mail or via teleconference) on an as-needed basis. The Valuation Committee meets to ensure that actions taken by the Subcommittee were appropriate. For those securities valued through either a standardized fair valuation methodology or a fair valuation measurement, the Subcommittee deals in the first instance with such valuation and the Valuation Committee reviews and affirms, if appropriate, the reasonableness of the valuation based on such methodologies and measurements on a regular basis after considering information that is reasonably available and deemed relevant by the Valuation Committee. Any action taken by the Subcommittee with respect to the valuation of a portfolio security or other asset is submitted for review and ratification (if appropriate) to the Valuation Committee and the Board at the next regularly scheduled meeting.

 

“Fair value” is defined as the price that a Portfolio would reasonably expect to receive upon selling an asset or liability in an orderly transaction to an independent buyer in the principal or most advantageous market for the asset or liability. Fair value measurements are determined within a framework that establishes a three-tier hierarchy that maximizes the use of observable market data and minimizes the use of unobservable inputs to establish a classification of fair value measurements for disclosure purposes. “Inputs” refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk, such as the risk inherent in a particular valuation technique used to measure fair value using a pricing model and/or the risk inherent in the inputs for the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability based on market data obtained from sources independent of each Portfolio. Unobservable inputs reflect each Portfolio’s own assumptions about the assumptions market participants would use in pricing the asset or liability based on the information available. The inputs or methodology used for valuing assets or liabilities may not be an indication of the risks associated with investing in those assets or liabilities. The three-tier hierarchy of inputs is summarized below.

 

• Level 1—quoted prices in active markets for an identical asset or liability

 

• Level 2—other significant observable inputs (including quoted prices for a similar asset or liability in active markets, interest rates and yield curves, prepayment speeds, credit risk, etc.)

 

• Level 3—significant unobservable inputs (including each Portfolio’s own assumptions about the assumptions that market participants would use in measuring fair value of an asset or liability)

 

The level of an asset or liability within the fair value hierarchy is based on the lowest level of an input, both individually and in the aggregate, that is significant to the fair value measurement. The aggregate value by input level of each Portfolio’s assets and liabilities as of March 31, 2020, is included at the end of the Portfolio of Investments.

 

The Portfolios may use third-party vendor evaluations, whose prices may be derived from one or more of the following standard inputs, among others:

 

•  Benchmark yields •  Reported trades
•  Broker/dealer quotes •  Issuer spreads
•  Two-sided markets •  Benchmark securities
•  Bids/offers •  Reference data (corporate actions or material event notices)
•  Industry and economic events •  Comparable bonds
•  Equity and credit default swap curves •  Monthly payment information

 

 

 

 

An asset or liability for which market values cannot be measured using the methodologies described above is valued by methods deemed reasonable in good faith by the Valuation Committee, following the procedures established by the Board, to represent fair value. Under these procedures, the Portfolios generally use a market-based approach which may use related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information. The Portfolios may also use an income-based valuation approach in which the anticipated future cash flows of the asset or liability are discounted to calculate fair value. Discounts may also be applied due to the nature and/or duration of any restrictions on the disposition of the asset or liability. Fair value represents a good faith approximation of the value of a security. Fair value determinations involve the consideration of a number of subjective factors, an analysis of applicable facts and circumstances and the exercise of judgment. As a result, it is possible that the fair value for a security determined in good faith in accordance with each Portfolios’ valuation procedures may differ from valuations for the same security determined by other funds using their own valuation procedures. Although each Portfolios’ valuation procedures are designed to value a security at the price a Portfolio may reasonably expect to receive upon the security’s sale in an orderly transaction, there can be no assurance that any fair value determination thereunder would, in fact, approximate the amount that a Portfolio would actually realize upon the sale of the security or the price at which the security would trade if a reliable market price were readily available. During the period ended March 31, 2020, there were no material changes to the fair value methodologies.

 

Securities which may be valued in this manner include, but are not limited to: (i) a security for which trading has been halted or suspended; (ii) a debt security that has recently gone into default and for which there is not a current market quotation; (iii) a security of an issuer that has entered into a restructuring; (iv) a security that has been de-listed from a national exchange; (v) a security for which the market price is not readily available from a third-party pricing source or, if so provided, does not, in the opinion of the Manager or the Subadvisor(s) reflect the security’s market value; (vi) a security subject to trading collars for which no or limited trading takes place; and (vii) a security whose principal market has been temporarily closed at a time when, under normal conditions, it would be open. Securities valued in this manner are generally categorized as Level 3 in the hierarchy. As of March 31, 2020, securities that were fair valued in such a manner are shown in the Portfolio of Investments.

 

Certain securities held by certain Portfolios may principally trade in foreign markets. Events may occur between the time the foreign markets close and the time at which each Portfolio’s net asset values (“NAVs”) are calculated. These events may include, but are not limited to, situations relating to a single issuer in a market sector, significant fluctuations in U.S. or foreign markets, natural disasters, armed conflicts, governmental actions or other developments not tied directly to the securities markets. Should the Manager or the Subadvisor(s) conclude that such events may have affected the accuracy of the last price of such securities reported on the local foreign market, the Subcommittee may, pursuant to procedures adopted by the Board, adjust the value of the local price to reflect the estimated impact on the price of such securities as a result of such events. In this instance, securities are generally categorized as Level 3 in the hierarchy. Additionally, certain foreign equity securities are also fair valued whenever the movement of a particular index exceeds certain thresholds. In such cases, the securities are fair valued by applying factors provided by a third-party vendor in accordance with valuation procedures adopted by the Board and are generally categorized as Level 2 in the hierarchy. As of March 31, 2020, no foreign equity securities held by the Portfolios were fair valued in such a manner.

 

Investments in Underlying Portfolios/Funds are valued at their respective NAVs at the close of business each day. Securities held by the Underlying Portfolios/Funds are valued using policies consistent with those used by the Underlying Portfolios/Funds, as described in the paragraphs below. These securities are generally categorized as Level 1 in the hierarchy.

 

Equity securities, rights, warrants and shares of Exchange-Traded Funds are valued at the last quoted sales prices as of the close of regular trading on the relevant exchange on each valuation date. Securities that are not traded on the valuation date are valued at the mean of the last quoted bid and ask prices. Prices are normally taken from the principal market in which each security trades. Futures contracts are valued at the last posted settlement price on the market where such futures are primarily traded. Options contracts are valued at the last posted settlement price on the market where such options are primarily traded. Investments in mutual funds, including money market funds, are valued at their respective NAVs as of the close of the Exchange on the valuation date. These securities are generally categorized as Level 1 in the hierarchy.

 

Debt securities (other than convertible and municipal bonds) are valued at the evaluated bid prices (evaluated mean prices in the case of convertible and municipal bonds) supplied by a pricing agent or brokers selected by the Manager, in consultation with the Subadvisor(s). The evaluations are market-based measurements processed through a pricing application and represents the pricing agent’s good faith determination as to what a holder may receive in an orderly transaction under market conditions. The rules based logic utilizes valuation techniques that reflect participants’ assumptions and vary by asset class and per methodology, maximizing the use of relevant observable data including quoted prices for similar assets, benchmark yield curves and market corroborated inputs. The evaluated bid or mean prices are deemed by the Manager, in consultation with the Subadvisor(s) to be representative of market values at the regular close of trading of the Exchange on each valuation date. Debt securities purchased on a delayed delivery basis are marked to market daily until settlement at the forward settlement date. Debt securities, including corporate bonds, U.S. government & federal agency bonds, municipal bonds, foreign bonds, convertible bonds, asset-backed securities and mortgage-backed securities are generally categorized as Level 2 in the hierarchy.

 

 

 

 

Foreign currency forward contracts are valued at their fair market values measured on the basis of the mean between the last current bid and ask prices based on dealer or exchange quotations and are generally categorized as Level 2 in the hierarchy.

 

Swaps are marked to market daily based upon quotations from pricing agents, brokers, or market makers. These securities are generally categorized as Level 2 in the hierarchy.

 

Total return swap contracts, which are arrangements to exchange a market-linked return for a periodic payment, are based on a notional principal amount. To the extent that the total return of the security, index or other financial measure underlying the transaction exceeds or falls short of the offsetting interest rate obligation, the Fund will receive a payment from or make a payment to the counterparty. Total return swap contracts are marked to market daily based upon quotations from market makers and these securities are generally categorized as Level 2 in the hierarchy.

 

Loan assignments, participations and commitments are valued at the average of bid quotations obtained from the engaged independent pricing service and are generally categorized as Level 2 in the hierarchy. Certain loan assignments, participations and commitments may be valued by utilizing significant unobservable inputs obtained from the pricing service and are generally categorized as Level 3 in the hierarchy.

 

Unfunded commitments represent the remaining obligation of the Portfolio to the borrower. At any point in time, up to the maturity date of the issue, the borrower may demand the unfunded portion. Unfunded amounts, if any, are marked to market.

 

Temporary cash investments acquired in excess of 60 days to maturity at the time of purchase are valued using the latest bid prices or using valuations based on a matrix system (which considers such factors as security prices, yields, maturities and ratings), both as furnished by independent pricing services. Temporary cash investments that mature in 60 days or less at the time of purchase are valued using the amortized cost method of valuation, unless the use of such method would be inappropriate. The amortized cost method involves valuing a security at its cost on the date of purchase and thereafter assuming a constant amortization to maturity of the difference between such cost and the value on maturity date. Amortized cost approximates the current fair value of a security. Securities valued at amortized cost are not valued using quoted prices in an active market and are generally categorized as Level 2 in the hierarchy.

 

The information above is not intended to reflect an exhaustive list of the methodologies that may be used to value portfolio investments. The valuation procedures permit the use of a variety of valuation methodologies in connection with valuing portfolio investments. The methodology used for a specific type of investment may vary based on the market data available or other considerations. The methodologies summarized above may not represent the specific means by which portfolio investments are valued on any particular business day.

 

The valuation techniques and significant amounts of unobservable inputs used in the fair valuation measurement of each Portfolio’s Level 3 securities are outlined in the table below. A significant increase or decrease in any of those inputs in isolation would result in a significantly higher or lower fair value measurement at period end.

 

Asset Class    Fair Value at 3/31/20*     Valuation Technique   Unobservable Inputs   Inputs/Range
Corporate Bonds   $ 8,338,900     Income Approach   Spread Adjustment   9.93%
                     
      11,093,392     Market Approach   Implied Enterprise Value   $516.4m-$634.9m
                     
      563,291     Market Approach   Implied Enterprise Value   $516.4m-$634.9m
                Median historic recovery rate for all other subordinate bonds   11.00%
                     
      634     Market Approach   Implied natural gas price   $2.00
                     
Loan Assignment     4,012,324     Market Approach   Implied natural gas price   $2.00
                     
Common Stocks     0     Market Approach   Implied Value Based on Waterfall Coverage Analysis   $0.00
                     
      128,254     Market Approach   Ownership % of equity interest   16.56%-39.7%
                     
      0     Market Approach   Implied natural gas price   $2.00
                     
      287,571     Market Approach   EBITDA Multiple   6.00x
                     
      2,957,304     Market Approach   EBITDA Multiple   5.75x
                     
      0     Qualitative Assessment       $0.00
                     
    $ 27,381,670              

 

* The table above does not include a Level 3 investment that was valued by a broker without adjustment. As of March 31, 2020, the value of this investment was $7,245,000. The input for this investment was not readily available or cannot be reasonably estimated.

 

A portfolio security or other asset may be determined to be illiquid under procedures approved by the Board. Illiquidity of a security might prevent the sale of such security at a time when the Manager or the Subadvisor(s) might wish to sell, and these securities could have the effect of decreasing the overall level of each Portfolio’s liquidity. Further, the lack of an established secondary market may make it more difficult to value illiquid securities, requiring a Portfolio to rely on judgments that may be somewhat subjective in measuring value, which could vary materially from the amount that a Portfolio could realize upon disposition. Difficulty in selling illiquid securities may result in a loss or may be costly to a Portfolio. Under the supervision of the Board, the Manager or the Subadvisor(s) determine the liquidity of each Portfolio’s investments; in doing so, the Manager or the Subadvisor(s) may consider various factors, including: (i) the frequency of trades and quotations, (ii) the number of dealers and prospective purchasers, (iii) dealer undertakings to make a market, and (iv) the nature of the security and the market in which it trades (e.g., the time needed to dispose of the security, the method of soliciting offers and the mechanics of transfer). Illiquid securities often valued in accordance with methods deemed reasonable in good faith in such a manner as the Board deems appropriate to reflect their fair value. The liquidity of each Portfolio’s investments, as shown in their respective accompanying Portfolio of Investments was determined as of March 31, 2020 and can change at any time in response to, among other relevant factors, market conditions or events or developments with respect to an individual issuer or instrument. As of March 31, 2020, securities deemed to be illiquid under procedures approved by the Board are shown in the Portfolio of Investments.

 

Investments in Affiliates (in 000s). During the period ended March 31, 2020, purchases and sales transactions, income earned from investments and shares held of investment companies managed by New York Life investments or its affiliates were as follows:

  

 

 

 

MainStay VP CBRE Global Infrastructure Portfolio                   
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds
from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation) 

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $4,217   $5,831   $(9,776)  $   $   $272   $10   $   $272 

 

 

 

 

MainStay VP Conservative Allocation Portfolio                    
Affiliated Investment Companies 

Value, Beginning of Period

  

Purchases
at Cost

  

Proceeds
from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End
of Period

  

Dividend
Income

  

Other
Distributions

  

Shares
End of
Period

 
IQ 50 Percent Hedged FTSE International ETF  $14,890   $   $(16)  $1   $(3,371)  $11,504   $61   $    685 
IQ 500 International ETF   16,651    12    (20)   1    (4,423)   12,221            584 
IQ Chaikin U.S. Large Cap ETF   10,591    458    (32)   4    (2,945)   8,076    63        419 
IQ Chaikin U.S. Small Cap ETF   4,988        (2,536)   5    (904)   1,553    2        90 
IQ S&P High Yield Low Volatility Bond ETF   4,876        (4,654)   (191)   (31)       28         
MainStay Epoch Capital Growth Fund Class I   7,986        (362)   86    (1,242)   6,468            585 
MainStay Epoch International Choice Fund Class I   11,434        (24)   1    (2,501)   8,910            310 
MainStay Epoch U.S. All Cap Fund Class R6   14,049    242    (2,257)   470    (3,670)   8,834            443 
MainStay MacKay High Yield Municipal Bond Fund Class R6   12,373    58    (9,182)   490    (523)   3,216    69        261 
MainStay MacKay Infrastructure Bond Fund Class R6   17,952    92    (7,136)   266    146    11,320    104        1,306 
MainStay MacKay International Opportunities Fund Class I   8,552    267            (2,197)   6,622            1,193 
MainStay MacKay Short Duration High Yield Fund Class I   67,801    550    (14,090)   (181)   (7,137)   46,943    775        5,446 
MainStay MacKay U.S. Equity Opportunities Fund Class I   8,281        (8,029)   (790)   538                 
MainStay MAP Equity Fund Class I   22,230    1,784            (5,440)   18,574            584 
MainStay Short Term Bond Class I   7,289    33    0(a)   0(a)   (331)   6,991    35        689 
MainStay U.S. Government Liquidity Fund   26,803    52,719    (52,818)           26,704    82        26,704 
MainStay VP Bond Portfolio Initial Class   45,853    732    (25)   2    191    46,753            3,196 
MainStay VP Eagle Small Cap Growth Portfolio Initial Class   10,042    4,983            (3,619)   11,406            1,120 
MainStay VP Emerging Markets Equity Portfolio Initial Class   15,305        (2,429)   (67)   (2,883)   9,926            1,368 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   21,036    2,037            (5,556)   17,517            1,430 
MainStay VP Floating Rate Portfolio Initial Class   29,458    217    (90)   (1)   (3,836)   25,748    323        3,313 
MainStay VP Indexed Bond Portfolio Initial Class   228,724    11,704    (15,068)   1,364    7,431    234,155            21,236 
MainStay VP Large Cap Growth Portfolio Initial Class   21,592    1,128            (2,563)   20,157            904 
MainStay VP MacKay Common Stock Portfolio Initial Class   10,301    976            (2,013)   9,264            437 
MainStay VP MacKay Convertible Portfolio Initial Class   8,346    24    (23)   2    (1,164)   7,185    23        614 
MainStay VP MacKay Growth Portfolio Initial Class   16,611    1,570    (452)   60    (2,720)   15,069            560 
MainStay VP MacKay International Equity Portfolio Initial Class   4,718    316            (999)   4,035            310 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   16,287        (4,129)   408    (3,897)   8,669            901 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   3,176    10,591    (7,128)   130    571    7,340            148 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   8,920        (2,133)   (406)   (1,900)   4,481            637 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   4,676        (1,500)   19    (255)   2,940    24        321 
MainStay VP PIMCO Real Return Portfolio Initial Class   7,669        (17)   0(a)   50    7,702            886 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   22,894    4,801            (6,590)   21,105            2,292 
   $732,354   $95,294   $(134,150)  $1,673   $(63,783)  $631,388    1,589   $      

 

 

 

 

MainStay VP Eagle Small Cap Growth Portfolio              
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $7,407   $63,076   $(65,862)  $   $   $4,621   $23 $      4,621 

 

MainStay VP Emerging Markets Equity Portfolio           
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $609   $24,351   $(20,537)  $   $   $4,423   $9   $    4,423 

 

MainStay VP Epoch U.S. Equity Yield Portfolio              
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $20,306   $42,048   $(38,942)  $   $   $23,412   $53 $      23,412 

 

MainStay VP Fidelity Institutional AM® Utilities Portfolio           
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $51,568   $72,955   $(96,301)  $   $   $28,222   $74 $      28,222 

 

MainStay VP Floating Rate Portfolio                
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

 

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay MacKay High Yield Corporate Bond Fund Class I  $5,795   $   $(3,000)  $(313)  $(347)  $2,135   $69 $      437 

 

 

 

 

MainStay VP Growth Allocation Portfolio               
Affiliated Investment Companies    

Value, Beginning of Period

    

Purchases at Cost

    

Proceeds from Sales

    

Net Realized Gain/(Loss)
on Sales

    

Change in Unrealized
Appreciation/
(Depreciation)

    

Value, End of Period

    

Dividend
Income

    

Other
Distributions

    

Shares End of Period

 
IQ 50 Percent Hedged FTSE International ETF  $22,445   $   $(20)  $1   $(5,082)  $17,344   $92   $    1,032 
IQ 500 International ETF   60,441        (27)   2    (16,055)   44,361            2,119 
IQ Chaikin U.S. Large Cap ETF   59,605        (16,739)   1,076    (13,261)   30,681    238        1,592 
IQ Chaikin U.S. Small Cap ETF   6,669        (389)   (1)   (2,317)   3,962    4        230 
MainStay Epoch Capital Growth Fund Class I   11,231        (1,017)   241    (1,773)   8,682            785 
MainStay Epoch International Choice Fund Class I   59,575        (4,734)   594    (12,594)   42,841            1,493 
MainStay Epoch U.S. All Cap Fund Class R6   50,284        (10,756)   1,411    (12,162)   28,777            1,444 
MainStay MacKay International Opportunities Fund Class I   44,812    277            (11,228)   33,861            6,101 
MainStay MacKay U.S. Equity Opportunities Fund Class I   14,771        (14,061)   (948)   238                 
MainStay MAP Equity Fund Class I   81,930    8    (130)   (2)   (21,092)   60,714            1,909 
MainStay U.S. Government Liquidity Fund   31,130    55,575    (34,898)           51,807    100        51,807 
MainStay VP Eagle Small Cap Growth Portfolio Initial Class   72,528    9,267            (19,393)   62,402            6,126 
MainStay VP Emerging Markets Equity Portfolio Initial Class   61,663        (801)   186    (14,317)   46,731            6,439 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   100,011    21    (187)   17    (23,997)   75,865            6,194 
MainStay VP Large Cap Growth Portfolio Initial Class   89,209        (546)   170    (11,311)   77,522            3,477 
MainStay VP MacKay Common Stock Portfolio Initial Class   45,944        (100)   (19)   (9,583)   36,242            1,709 
MainStay VP MacKay Growth Portfolio Initial Class   81,723        (16,742)   1,730    (13,764)   52,947            1,969 
MainStay VP MacKay International Equity Portfolio Initial Class   30,522    831            (6,211)   25,142            1,933 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   57,749        (631)   40    (16,615)   40,543            4,212 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   778    12,578    (22)   3    (1,433)   11,904            240 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   36,340    15            (12,337)   24,018            3,413 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   97,391    6,767            (29,745)   74,413            8,080 
   $1,116,751   $85,339   $(101,800)  $4,501  $(254,032)  $850,759   $434   $      
                                              

 

 

 

 

MainStay VP Income Builder Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $31,151   $101,789   $(112,929)  $   $   $20,011   $79   $    20,011 
                                              

MainStay VP IQ Hedge Multi-Strategy Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $3,675   $7,997   $(11,180)  $   $   $492   $6   $    492 
                                              

MainStay VP Janus Henderson Balanced Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $19,877   $164,299   $(162,453)  $   $   $21,723   $75   $    21,723 
                                              

MainStay VP Large Cap Growth Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $11,141   $72,240   $(72,076)  $   $   $11,305   $30   $    11,305 
                                              

 

MainStay VP MacKay Common Stock Portfolio                    
Affiliated Investment Company 

Value,
Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $   $8,944   $(7,662)  $   $   $1,282   $0(a)  $    1,282 
                                              

 

 

 

 

MainStay VP MacKay Convertible Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $56,751   $55,410   $(79,957)  $   $   $32,204   $168   $    32,204 
                                              

MainStay VP MacKay Government Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $4,751   $51,458   $(41,744)  $   $   $14,465   $21   $    14,465 
                                              
MainStay VP MacKay Growth Portfolio                                              
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $   $9,551   $(8,563)  $   $   $988   $1   $    988 
                                              
MainStay VP MacKay International Equity Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $770   $10,134   $(10,115)  $   $   $789   $2   $    789 
                                              
MainStay VP MacKay Mid Cap Core Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

    

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $2,349   $15,424   $(14,545)  $   $   $3,228   $3   $    3,228 
                                              

 

 

 

 

MainStay VP MacKay Small Cap Core Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $   $8,382   $(6,723)  $   $   $1,659   $1   $    1,659 
                                              
MainStay VP MacKay Unconstrained Bond Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $57,671   $109,978   $(165,246)  $   $   $2,403   $132   $    2,403 
                                              

 

MainStay VP Mellon Natural Resources Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $1,791   $16,284   $(15,184)  $   $   $2,891   $6   $    2,891 
                                              

 

 

 

 

MainStay VP Moderate Allocation Portfolio                    
Affiliated Investment Companies 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
IQ 50 Percent Hedged FTSE International ETF  $23,862   $   $(23)  $1   $(5,402)  $18,438   $98   $    1,097 
IQ 500 International ETF   31,097    53            (8,277)   22,873            1,093 
IQ Chaikin U.S. Large Cap ETF   31,904    1,080    (86)   11    (8,929)   23,980    186        1,244 
IQ Chaikin U.S. Small Cap ETF   10,697        (5,271)   (213)   (1,778)   3,435    4        199 
IQ S&P High Yield Low Volatility Bond ETF   4,538        (4,234)   (304)   0(a)       31         
MainStay Epoch Capital Growth Fund Class I   12,322        (34)   8    (1,889)   10,407            941 
MainStay Epoch International Choice Fund Class I   39,810        (2,068)   307    (8,568)   29,481            1,027 
MainStay Epoch U.S. All Cap Fund Class R6   40,224    618    (3,683)   65    (10,065)   27,159            1,363 
MainStay MacKay High Yield Municipal Bond Fund Class R6   18,614    91    (11,950)   639    (814)   6,580    112        534 
MainStay MacKay Infrastructure Bond Fund Class R6   28,241    566    (10,971)   408    223    18,467    167        2,130 
MainStay MacKay International Opportunities Fund Class I   27,640    32            (6,890)   20,782            3,745 
MainStay MacKay Short Duration High Yield Fund Class I   82,707    645    (21,688)   (169)   (8,231)   53,264    924        6,179 
MainStay MacKay U.S. Equity Opportunities Fund Class I   21,795        (20,605)   (2,723)   1,533                 
MainStay MAP Equity Fund Class I   53,923    3,313    (125)   8    (13,332)   43,787            1,377 
MainStay Short Term Bond Class I   11,429    101    (20)   0(a)   (520)   10,990    55        1,083 
MainStay U.S. Government Liquidity Fund   46,852    81,095    (80,798)           47,149    129        47,149 
MainStay VP Bond Portfolio Initial Class   75,822        (1,728)   26    319    74,439            5,088 
MainStay VP Eagle Small Cap Growth Portfolio Initial Class   16,945    4,294            (5,062)   16,177            1,588 
MainStay VP Emerging Markets Equity Portfolio Initial Class   43,154        (5,438)   498    (9,168)   29,046            4,002 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   50,383    4    (114)   14    (12,088)   38,199            3,119 
MainStay VP Floating Rate Portfolio Initial Class   17,319    126    (95)   (2)   (2,248)   15,100    190        1,943 
MainStay VP Indexed Bond Portfolio Initial Class   164,486    30,026    (21,561)   1,872    4,835    179,658            16,293 
MainStay VP Large Cap Growth Portfolio Initial Class   60,519    16    (63)   19    (7,633)   52,858            2,371 
MainStay VP MacKay Common Stock Portfolio Initial Class   29,337    1,206    (65)   (2)   (5,946)   24,530            1,157 
MainStay VP MacKay Convertible Portfolio Initial Class   16,222        (124)   14    (2,257)   13,855    45        1,184 
MainStay VP MacKay Growth Portfolio Initial Class   48,632    2,231    (2,684)   355    (8,342)   40,192            1,495 
MainStay VP MacKay International Equity Portfolio Initial Class   6,450    1,904            (1,665)   6,689            514 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   34,677        (4,821)   272    (8,888)   21,240            2,206 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   4,126    23,511    (213)   32    140    27,596            556 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   14,919        (968)   (306)   (4,431)   9,214            1,309 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   9,622        (3,138)   39    (520)   6,003    48        655 
MainStay VP PIMCO Real Return Portfolio Initial Class   11,400    63    (24)   (1)   75    11,513            1,324 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   57,471    4,451            (15,661)   46,261            5,023 
   $1,147,139   $155,426   $(202,592)  $868   $(151,479)  $949,362   $1,989   $      

 

 

 

 

MainStay VP Moderate Growth Allocation Portfolio                    
Affiliated Investment Companies 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
IQ 50 Percent Hedged FTSE International ETF  $40,494   $   $(30)  $0(a)  $(9,168)  $31,296   $166   $    1,863 
IQ 500 International ETF   76,074    35            (20,223)   55,886            2,670 
IQ Chaikin U.S. Large Cap ETF   79,542        (9,776)   1,254    (21,161)   49,859    386        2,587 
IQ Chaikin U.S. Small Cap ETF   26,623        (10,733)   (440)   (5,402)   10,048    11        583 
IQ S&P High Yield Low Volatility Bond ETF   2,221        (2,072)   (138)   (11)       15         
MainStay Epoch Capital Growth Fund Class I   21,489        (65)   15    (3,294)   18,145            1,641 
MainStay Epoch International Choice Fund Class I   91,445        (5,833)   339    (19,076)   66,875            2,330 
MainStay Epoch U.S. All Cap Fund Class R6   85,722        (21,458)   2,874    (20,334)   46,804            2,348 
MainStay MacKay High Yield Municipal Bond Fund Class R6   31,588    183    (12,859)   665    (1,465)   18,112    226        1,470 
MainStay MacKay Infrastructure Bond Fund Class R6   49,549    221    (18,092)   673    383    32,734    291        3,776 
MainStay MacKay International Opportunities Fund Class I   69,135    26            (17,220)   51,941            9,359 
MainStay MacKay Short Duration High Yield Fund Class I   134,459    1,067    (35,635)   (39)   (13,579)   86,273    1,502        10,008 
MainStay MacKay U.S. Equity Opportunities Fund Class I   38,699        (36,885)   (4,740)   2,926                 
MainStay MAP Equity Fund Class I   104,749    7,970    (176)   (3)   (25,645)   86,895            2,733 
MainStay Short Term Bond Class I   19,464    81    (18)   (0)(a)   (882)   18,645    94        1,837 
MainStay U.S. Government Liquidity Fund   44,601    160,689    (126,034)           79,256    180        79,256 
MainStay VP Bond Portfolio Initial Class   36,345    23    (461)   24    137    36,068            2,465 
MainStay VP Eagle Small Cap Growth Portfolio Initial Class   78,193    24,458            (24,537)   78,114            7,668 
MainStay VP Emerging Markets Equity Portfolio Initial Class   92,629        (7,787)   759    (20,341)   65,260            8,991 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   127,750    12    (215)   21    (30,655)   96,913            7,913 
MainStay VP Floating Rate Portfolio Initial Class   29,498    217    (67)   1    (3,846)   25,803    324        3,320 
MainStay VP Indexed Bond Portfolio Initial Class   27,165    12,640    (33,492)   555    18    6,886            624 
MainStay VP Large Cap Growth Portfolio Initial Class   113,686    11    (15)   5    (14,332)   99,355            4,457 
MainStay VP MacKay Common Stock Portfolio Initial Class   52,487    2,069    (57)   (11)   (10,658)   43,830            2,066 
MainStay VP MacKay Convertible Portfolio Initial Class   26,977        (57)   6    (3,763)   23,163    75        1,979 
MainStay VP MacKay Growth Portfolio Initial Class   99,198    47    (4,523)   510    (17,539)   77,693            2,889 
MainStay VP MacKay International Equity Portfolio Initial Class   24,059    221            (4,805)   19,475            1,498 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   100,018        (13,476)   (832)   (24,146)   61,564            6,395 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   5,182    33,825    (66)   10    713    39,664            800 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   54,887    19            (18,632)   36,274            5,155 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   13,884        (3,930)   22    (766)   9,210    74        1,005 
MainStay VP PIMCO Real Return Portfolio Initial Class   19,351    17    (19)   1    125    19,475            2,240 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   142,275    10,071            (38,927)   113,419            12,316 
   $1,959,438   $253,902   $(343,831)  $1,531   $(366,105)  $1,504,935   $3,344   $      

 

 

 

 

MainStay VP MacKay S&P 500 Index Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $708   $180,598   $(174,521)  $   $   $6,785   $6   $    6,785 
                                              
MainStay VP PIMCO Real Return Portfolio                    
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $1,528   $28,812   $(30,340)  $   $   $   $3   $     
                                              
MainStay VP T. Rowe Price Equity Income Portfolio       
Affiliated Investment Company 

Value, Beginning of Period

  

Purchases at Cost

  

Proceeds from Sales

  

Net Realized Gain/(Loss)
on Sales

  

Change in Unrealized
Appreciation/
(Depreciation)

  

Value, End of Period

  

Dividend
Income

  

Other
Distributions

  

Shares End of Period

 
MainStay U.S. Government Liquidity Fund  $10,457   $34,657   $(36,837)  $   $   $8,277   $28   $    8,277 
                                              

(a) Less than $500.