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LLC 9R7GPTSO7KV3UQJZQ078 iShares iBoxx High Yield Corporate Bond ETF iShares iBoxx High Yield Corporate Bond ETF Y equity-performance leg 2022-09-14 0.00000000 USD 0.00000000 USD 128126.88000000 USD -1270.08000000 N N N Vanguard Intermediate-Term Treasury ETF JIWE2HYVQ16M1P11J864 Vanguard Intermediate-Term Treasury ETF 92206C706 70515.00000000 NS USD 4969897.20000000 1.344631527334 Long EC RF US N 1 N N N Schwab Intermediate-Term U.S. Treasury ETF 549300LPS1K6133V2Q55 Schwab Intermediate-Term U.S. Treasury ETF 808524854 43664.00000000 NS USD 2562203.52000000 0.693217483943 Long EC RF US N 1 N N N Xtrackers MSCI Japan Hedged Equity ETF 3379V8ZPZKCNZWO8YR10 Xtrackers MSCI Japan Hedged Equity ETF 233051507 68401.00000000 NS USD 2785288.72000000 0.753574344685 Long EC RF US N 1 N N SPDR S&P China ETF 549300B1I89QUAK0X692 SPDR S&P China ETF 78463X400 4522.00000000 NS USD 537304.04000000 0.145370401614 Long EC RF US N 1 N N Morgan Stanley & Co. 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LLC 9R7GPTSO7KV3UQJZQ078 SPDR Bloomberg Barclays High Yield Bond ETF SPDR Bloomberg Barclays High Yield Bond ETF Y equity-performance leg 2022-09-14 0.00000000 USD 0.00000000 USD 54481.46000000 USD -573.87000000 N N N Merrill Lynch International GGDZP1UYGU9STUHRDP48 HYG SWAP ML 000000000 128111.76000000 OU Notional Amount USD -1254.96000000 -0.00033953595 N/A DE US N 2 Merrill Lynch International GGDZP1UYGU9STUHRDP48 iShares iBoxx High Yield Corporate Bond ETF iShares iBoxx High Yield Corporate Bond ETF Y equity-performance leg 2021-09-30 0.00000000 USD 0.00000000 USD 128111.76000000 USD -1254.96000000 N N N SPDR Portfolio Short Term Corporate Bond ETF 549300D2BO7L1J2SO973 SPDR Portfolio Short Term Corporate Bond ETF 78464A474 70794.00000000 NS USD 2220807.78000000 0.600851091475 Long EC RF US N 1 N N N Schwab International Small-Cap Equity ETF 549300WKPJ36EQS9LQ80 Schwab International Small-Cap Equity ETF 808524888 45904.00000000 NS USD 1493257.12000000 0.404008477674 Long EC RF US N 1 N N Morgan Stanley & Co. 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LLC 9R7GPTSO7KV3UQJZQ078 BAR SWAP 000000000 1034.64000000 OU Notional Amount USD 22.14000000 0.000005990092 N/A DE US N 2 Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 Graniteshares Gold Trust Graniteshares Gold Trust Y equity-performance leg 2022-09-14 0.00000000 USD 0.00000000 USD 1034.64000000 USD 22.14000000 N N N VanEck Vectors J.P. Morgan EM Local Currency Bond ETF 549300CNWPR88MZBEA63 VanEck Vectors J.P. Morgan EM Local Currency Bond ETF 92189H300 200288.00000000 NS USD 6176881.92000000 1.671187518779 Long EC RF US N 1 N N N Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 GXC SWAP 000000000 27331.08000000 OU Notional Amount USD -477.76000000 -0.00012926045 N/A DE US N 2 Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 SPDR S&P China ETF SPDR S&P China ETF Y equity-performance leg 2022-09-14 0.00000000 USD 0.00000000 USD 27331.08000000 USD -477.76000000 N N N Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 VCSH SWAP 000000000 528867.85000000 OU Notional Amount USD -1527.60000000 -0.00041330012 N/A DE US N 2 Morgan Stanley & Co. LLC 9R7GPTSO7KV3UQJZQ078 Vanguard Short-Term Corporate Bond ETF Vanguard Short-Term Corporate Bond ETF Y equity-performance leg 2022-09-14 0.00000000 USD 0.00000000 USD 528867.85000000 USD -1527.60000000 N N N 2020-10-27 MAINSTAY VP FUNDS TRUST Jack Benintende Jack Benintende Treasurer XXXX NPORT-EX 2 NPORT_5660705129136409.htm

 

MainStay VP Balanced Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)

 

        Principal
Amount
    Value 
    Long-Term Bonds 43.2% †          
    Asset-Backed Securities 5.0%          
    Automobile Asset-Backed Securities 0.1%           
    Toyota Auto Loan Extended Note Trust
Series 2020-1A, Class A
1.35%, due 5/25/33 (a)
  $500,000   $513,202 
               
    Other Asset-Backed Securities 4.9%
    AIMCO CLO
Series 2017-AA, Class A
1.532% (3 Month LIBOR + 1.26%), due 7/20/29 (a)(b)
   250,000    248,601 
    Apidos CLO XV
Series 2013-15A, Class A1RR
1.282% (3 Month LIBOR + 1.01%), due 4/20/31 (a)(b)
   500,000    494,091 
    Apidos CLO XXV
Series 2016-25A, Class A1R
1.442% (3 Month LIBOR + 1.17%), due 10/20/31 (a)(b)
   400,000    395,326 
    Apidos CLO XXXII
Series 2019-32A, Class A1
1.592% (3 Month LIBOR + 1.32%), due 1/20/33 (a)(b)
   500,000    499,725 
    Ares XLI CLO, Ltd.
Series 2016-41A, Class AR
1.475% (3 Month LIBOR + 1.20%), due 1/15/29 (a)(b)
   600,000    597,099 
    ARES XXIX CLO, Ltd.
Series 2014-1A, Class A1R
1.463% (3 Month LIBOR + 1.19%), due 4/17/26 (a)(b)
   13,162    13,161 
    Bain Capital Credit CLO, Ltd.
Series 2016-2A, Class AR
1.415% (3 Month LIBOR + 1.14%), due 1/15/29 (a)(b)
   398,838    396,097 
    Benefit Street Partners CLO IV, Ltd.
Series 2014-IVA, Class A1RR
1.522% (3 Month LIBOR + 1.25%), due 1/20/29 (a)(b)
   300,000    298,519 
    Benefit Street Partners CLO XVIII, Ltd.
Series 2019-18A, Class A
1.615% (3 Month LIBOR + 1.34%), due 10/15/32 (a)(b)
   250,000    247,649 
    CAL Funding IV, Ltd.
Series 2020-1A, Class A
2.22%, due 9/25/45 (a)
   750,000    752,384 
    Cedar Funding IV CLO, Ltd.
Series 2014-4A, Class AR
1.486% (3 Month LIBOR + 1.23%), due 7/23/30 (a)(b)
   750,000    746,588 
    Cedar Funding XII CLO, Ltd.
Series 2020-12A, Class A
1.495% (3 Month LIBOR + 1.27%), due 10/25/32 (a)(b)
   500,000    500,000 
    Dryden CLO, Ltd.
Series 2019-76A, Class A1
1.602% (3 Month LIBOR + 1.33%), due 10/20/32 (a)(b)
   250,000    248,418 
    Elara HGV Timeshare Issuer LLC
Series 2017-A, Class A
2.69%, due 3/25/30 (a)
   78,925    80,596 
    Galaxy XXII CLO, Ltd.
Series 2016-22A, Class A1R
1.271% (3 Month LIBOR + 1.00%), due 7/16/28 (a)(b)
   250,000    247,862 
    Hilton Grand Vacations Trust
Series 2018-AA, Class A
3.54%, due 2/25/32 (a)
   251,288    263,244 
    HPS Loan Management, Ltd.
Series 2011A-17, Class AR
2.815% (3 Month LIBOR + 1.02%), due 5/6/30 (a)(b)
   850,000    836,063 
    Magnetite XVIII, Ltd. (a)(b)          
    Series 2016-18A, Class AR
1.36% (3 Month LIBOR + 1.08%), due 11/15/28
   400,000    397,760 
    Series 2019-23A, Class A
1.545% (3 Month LIBOR + 1.30%), due 10/25/32
   250,000    249,201 
    MVW Owner Trust
Series 2019-1A, Class A
2.89%, due 11/20/36 (a)
   175,290    180,228 
    Neuberger Berman Loan Advisers CLO, Ltd. (a)(b)          
    Series 2017-24A, Class AR
1.292% (3 Month LIBOR + 1.02%), due 4/19/30
   250,000    247,584 
    Series 2019-35A, Class A1
1.612% (3 Month LIBOR + 1.34%), due 1/19/33
   600,000    598,033 
    Octagon Investment Partners 29, Ltd.
Series 2016-1A, Class AR
1.444% (3 Month LIBOR + 1.18%), due 1/24/33 (a)(b)
   350,000    343,307 
    Octagon Investment Partners 30, Ltd.
Series 2017-1A, Class A1
1.592% (3 Month LIBOR + 1.32%), due 3/17/30 (a)(b)
   350,000    347,246 
    OHA Credit Funding, Ltd.
Series 2020-6A, Class A1
1.902% (3 Month LIBOR + 1.65%), due 7/20/31 (a)(b)
   600,000    601,248 
    Palmer Square CLO, Ltd. (a)(b)          
    Series 2014-1A, Class A1R2
1.403% (3 Month LIBOR + 1.13%), due 1/17/31
   250,000    247,926 
    Series 2015-1A, Class A1R2
1.467% (3 Month LIBOR + 1.22%), due 5/21/29
   500,000    498,375 
    Series-2015-2A, Class A2R2
1.822% (3 Month LIBOR + 1.55%), due 7/20/30
   750,000    742,351 
    Regatta VI Funding, Ltd.
Series 2016-1A, Class AR
1.352% (3 Month LIBOR + 1.08%), due 7/20/28 (a)(b)
   650,000    646,673 
    Sierra Timeshare Receivables Funding Co. LLC
Series 2019-1A, Class A
3.20%, due 1/20/36 (a)
   94,213    97,472 
    SMB Private Education Loan Trust (a)          
    Series 2020-BA, Class A1A
1.29%, due 7/15/53
   440,000    440,124 
    Series 2019-B, Class A2A
2.84%, due 6/15/37
   500,000    526,862 
    SoFi Professional Loan Program LLC
Series 2019-A, Class A1FX
3.18%, due 6/15/48 (a)
   50,469    50,739 
    THL Credit Wind River CLO, Ltd.
Series 2017-4A, Class A
1.403% (3 Month LIBOR + 1.15%), due 11/20/30 (a)(b)
   250,000    246,668 
    TIAA CLO III, Ltd.
Series 2017-2A, Class A
1.421% (3 Month LIBOR + 1.15%), due 1/16/31 (a)(b)
   350,000    341,983 
    TICP CLO XIII, Ltd.
Series 2019 13A, Class A
1.575% (3 Month LIBOR + 1.30%), due 7/15/32 (a)(b)
   350,000    349,191 
    Treman Park CLO, Ltd.
Series 2015-1A, Class ARR
1.342% (3 Month LIBOR + 1.07%), due 10/20/28 (a)(b)
   260,000    258,307 
    Triton Container Finance VIII LLC
Series 2020-1A, Class A
2.11%, due 9/20/45 (a)
   500,000    502,315 
    Vantage Data Centers LLC
Series 2020-1A, Class A2
1.645%, due 9/15/45 (a)
   875,000    875,000 
    Voya CLO, Ltd.
Series 2019-1A, Class AR
1.335% (3 Month LIBOR + 1.06%), due 4/15/31 (a)(b)
   250,000    245,901 
    Westcott Park CLO, Ltd.
Series 2016 1A, Class AR
1.482% (3 Month LIBOR + 1.21%), due 7/20/28 (a)(b)
   400,000    398,189 
             16,298,106 
    Total Asset-Backed Securities
(Cost $16,822,187)
        16,811,308

 

 

   
    Corporate Bonds 19.1%
    Aerospace & Defense 0.6%
    BAE Systems Holdings, Inc.
3.85%, due 12/15/25 (a)
   445,000    502,317 
    Boeing Co.          
    2.70%, due 2/1/27   325,000    316,965 
    2.95%, due 2/1/30   375,000    362,936 
    3.10%, due 5/1/26   240,000    239,410 
    5.15%, due 5/1/30   425,000    477,704 
             1,899,332 
    Apparel 0.2%
    Nike, Inc.
2.85%, due 3/27/30
   325,000    365,014 
    Ralph Lauren Corp.
1.70%, due 6/15/22
   150,000    152,700 
             517,714 
    Auto Manufacturers 1.6%
    Daimler Finance North America LLC
1.18% (3 Month LIBOR + 0.90%), due 2/15/22 (a)(b)
   550,000    551,971 
    Ford Motor Credit Co. LLC          
    3.087%, due 1/9/23   425,000    416,453 
    3.664%, due 9/8/24   975,000    954,062 
    General Motors Financial Co., Inc.          
    4.35%, due 4/9/25   600,000    650,894 
    5.20%, due 3/20/23   175,000    189,848 
    Nissan Motor Co., Ltd.
4.81%, due 9/17/30 (a)
   550,000    553,303 
    Toyota Motor Credit Corp.
1.80%, due 2/13/25
   600,000    626,862 
    Volkswagen Group of America Finance LLC (a)          
    1.083% (3 Month LIBOR + 0.86%), due 9/24/21 (b)   275,000    276,038 
    4.00%, due 11/12/21   925,000    958,901 
             5,178,332 
    Banks 4.6%
    Bank of America Corp.
4.45%, due 3/3/26
   2,130,000    2,456,622 
    BNP Paribas S.A. (a)          
    2.219%, due 6/9/26 (c)   250,000    257,798 
    2.588% (5 Year Treasury Constant Maturity Rate + 2.05%), due 8/12/35 (b)   435,000    422,361 
    Citigroup, Inc.
4.60%, due 3/9/26
   805,000    922,809 
    Credit Suisse A.G.
2.95%, due 4/9/25
   475,000    518,586 
    Credit Suisse Group A.G.
2.193%, due 6/5/26 (a)(c)
   665,000    684,976 
    Fifth Third Bancorp
4.30%, due 1/16/24
   875,000    965,322 
    Goldman Sachs Group, Inc.
3.85%, due 1/26/27
   550,000    619,195 
    Huntington Bancshares, Inc.
2.625%, due 8/6/24
   1,250,000    1,331,379 
    JPMorgan Chase & Co. (c)          
    2.083%, due 4/22/26   1,405,000    1,469,321 
    2.956%, due 5/13/31   450,000    482,807 
    Lloyds Banking Group PLC
2.907%, due 11/7/23 (c)
   430,000    446,577 
    Mizuho Financial Group, Inc. (b)          
    0.88% (3 Month LIBOR + 0.63%), due 5/25/24   1,430,000    1,428,976 
    1.099% (3 Month LIBOR + 0.85%), due 9/13/23   300,000    301,551 
    Morgan Stanley          
    3.625%, due 1/20/27   300,000    339,978 
    4.35%, due 9/8/26   695,000    804,463 
    Santander UK PLC
2.10%, due 1/13/23
   200,000    206,395 
    Swedbank A.B.
1.30%, due 6/2/23 (a)
   725,000    738,855 
    Truist Bank
1.50%, due 3/10/25
   400,000    411,905 
    UBS Group A.G.
1.364% (1 Year Treasury Constant Maturity Rate + 1.08%), due 1/30/27 (a)(b)
   475,000    474,750 
             15,284,626 
    Beverages 0.3%
    Anheuser-Busch InBev Worldwide, Inc.
4.75%, due 1/23/29
   660,000    805,477 
    Diageo Capital PLC
2.125%, due 4/29/32
   325,000    339,425 
             1,144,902 
    Building Materials 0.2%
    Owens Corning
3.95%, due 8/15/29
   600,000    679,674 
    Vulcan Materials Co.
3.50%, due 6/1/30
   125,000    139,990 
             819,664 
    Chemicals 0.5%
    Albemarle Corp.
1.33% (3 Month LIBOR + 1.05%), due 11/15/22 (b)
   575,000    572,924 
    E.I. du Pont de Nemours & Co.
1.70%, due 7/15/25
   150,000    155,698 
    NewMarket Corp.
4.10%, due 12/15/22
   475,000    508,322 
    Nutrien, Ltd.
3.625%, due 3/15/24
   175,000    190,539 
    Nutrition & Biosciences, Inc.
1.832%, due 10/15/27 (a)
   250,000    251,133 
             1,678,616 
    Commercial Services - Finance 0.1%
    Hyundai Capital America
2.375%, due 10/15/27 (a)
   325,000    325,004 
               
    Computers 0.1%
    DXC Technology Co.
4.00%, due 4/15/23
   175,000    184,282 
               
    Diversified Financial Services 0.7%
    AIG Global Funding
0.90%, due 9/22/25 (a)
   350,000    347,765 
    Blackstone Holdings Finance Co. LLC
1.60%, due 3/30/31
   300,000    296,499 
    GE Capital Funding LLC
4.05%, due 5/15/27 (a)
   1,215,000    1,309,406 
    Intercontinental Exchange, Inc.
2.10%, due 6/15/30
   425,000    436,475 
             2,390,145 
    Electric 2.4%
    Commonwealth Edison Co.
3.10%, due 11/1/24
   475,000    515,203 
    DTE Electric Co.
2.65%, due 6/15/22
   450,000    464,031 
    DTE Energy Co.
1.05%, due 6/1/25
   225,000    224,876 
    Electricite de France S.A.
2.35%, due 10/13/20 (a)
   1,775,000    1,776,082 
    Entergy Arkansas LLC
3.70%, due 6/1/24
   450,000    494,667 
    Entergy Corp.
4.00%, due 7/15/22
   875,000    922,919 
    Evergy, Inc.
4.85%, due 6/1/21
   330,000    335,863 
    Exelon Corp.
4.05%, due 4/15/30
   250,000    293,260 
    FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
   600,000    668,778 
    NextEra Energy Capital Holdings, Inc.
3.25%, due 4/1/26
   450,000    504,435 
    PacifiCorp
2.70%, due 9/15/30
   425,000    466,008 
    Pinnacle West Capital Corp.
1.30%, due 6/15/25
   525,000    533,342 
    Southern California Edison Co.
1.20%, due 2/1/26
   350,000    348,131 
    WEC Energy Group, Inc.
3.375%, due 6/15/21
   400,000    408,465 
             7,956,060 
    Electrical Components & Equipment 0.4%
    Emerson Electric Co.          
    0.875%, due 10/15/26   825,000    819,449 
    1.80%, due 10/15/27   350,000    365,157 
             1,184,606 
    Electronics 0.1%
    Flex, Ltd.
3.75%, due 2/1/26
   250,000    273,055 
               
    Food 0.1%
    Conagra Brands, Inc.
4.85%, due 11/1/28
   400,000    488,508 
               
    Health Care - Services 0.1%
    Fresenius Medical Care U.S. Finance III, Inc.
2.375%, due 2/16/31 (a)
   300,000    296,613 
               
    Insurance 0.2%
    Empower Finance 2020, L.P.
1.776%, due 3/17/31 (a)
   125,000    125,020 
    Metropolitan Life Global Funding I
2.95%, due 4/9/30 (a)
   500,000    561,207 
             686,227 
    Iron & Steel 0.4%
    Nucor Corp.
2.00%, due 6/1/25
   250,000    260,939 
    Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
   825,000    894,589 
    Steel Dynamics, Inc.
2.40%, due 6/15/25
   225,000    234,759 
             1,390,287 
    Machinery - Diversified 0.4%
    CNH Industrial Capital LLC          
    1.95%, due 7/2/23   275,000    280,156 
    4.375%, due 4/5/22   300,000    314,430 
    Deere & Co.
3.10%, due 4/15/30
   400,000    456,890 
    Flowserve Corp.
3.50%, due 10/1/30
   250,000    247,552 
             1,299,028 
    Media 0.1%
    Comcast Corp.
3.10%, due 4/1/25
   325,000    358,092 
    Discovery Communications LLC
3.625%, due 5/15/30
   125,000    138,886 
             496,978 
    Mining 0.1%
    Anglo American Capital PLC
5.625%, due 4/1/30 (a)
   400,000    490,968 
               
    Oil & Gas 0.4%
    Chevron Corp.
2.236%, due 5/11/30
   400,000    424,462 
    Equinor ASA
1.75%, due 1/22/26
   200,000    207,483 
    Valero Energy Corp.
2.85%, due 4/15/25
   575,000    603,415 
             1,235,360 
    Oil & Gas Services 0.4%
    Schlumberger Holdings Corp.
3.75%, due 5/1/24 (a)
   1,075,000    1,164,285 
               
    Packaging & Containers 0.3%
    WRKCo., Inc.
3.75%, due 3/15/25
   800,000    894,021 
               
    Pharmaceuticals 1.4%
    AbbVie, Inc.
2.95%, due 11/21/26 (a)
   825,000    898,613 
    Bayer U.S. Finance II LLC
4.375%, due 12/15/28 (a)
   600,000    704,515 
    Becton Dickinson & Co.
2.894%, due 6/6/22
   1,413,000    1,463,034 
    Cigna Corp.
4.125%, due 11/15/25
   1,140,000    1,307,769 
    CVS Health Corp.
1.75%, due 8/21/30
   440,000    429,985 
             4,803,916 
    Pipelines 0.8%
    Energy Transfer Partners, L.P. / Regency Energy Finance Corp.
5.875%, due 3/1/22
   1,000,000    1,044,586 
    Kinder Morgan, Inc.
5.00%, due 2/15/21 (a)
   1,489,000    1,507,689 
    Texas Eastern Transmission, L.P.
2.80%, due 10/15/22 (a)
   200,000    205,794 
             2,758,069 
    Real Estate Investment Trusts 1.5%
    American Campus Communities Operating Partnership, L.P.
3.30%, due 7/15/26
   775,000    829,487 
    Highwoods Realty, L.P.
3.875%, due 3/1/27
   1,175,000    1,274,618 
    Kimco Realty Corp.
3.80%, due 4/1/27
   200,000    218,208 
    Realty Income Corp.
3.25%, due 10/15/22
   550,000    576,914 
    SBA Tower Trust (a)          
    1.884%, due 1/15/26   250,000    255,553 
    2.836%, due 1/15/25   500,000    535,117 
    Spirit Realty L.P.
3.20%, due 2/15/31
   300,000    292,765 
    VEREIT Operating Partnership, L.P.
3.95%, due 8/15/27
   1,015,000    1,082,718 
             5,065,380 
    Retail 0.0% ‡
    Advance Auto Parts, Inc.
1.75%, due 10/1/27
   125,000    124,629 
               
    Semiconductors 0.1%
    Broadcom, Inc.
2.25%, due 11/15/23
   275,000    285,903 
               
    Software 0.1%
    Infor, Inc.
1.75%, due 7/15/25 (a)
   200,000    205,756 
               
    Telecommunications 0.9%
    AT&T, Inc.          
    1.65%, due 2/1/28   175,000    175,331 
    4.35%, due 3/1/29   675,000    794,547 
    T-Mobile USA, Inc.
2.55%, due 2/15/31 (a)
   1,000,000    1,034,610 
    Verizon Communications, Inc.          
    3.376%, due 2/15/25   6,000    6,687 
    4.016%, due 12/3/29   787,000    942,400 
             2,953,575 
    Total Corporate Bonds
(Cost $60,302,091)
        63,475,841 
               
    Foreign Government Bonds 0.2%
    Colombia 0.1%
    Colombia Government International Bond
3.875%, due 4/25/27
   220,000    237,380 
               
    Mexico 0.1%
    Mexico Government International Bond
3.75%, due 1/11/28
   300,000    322,953 
               
    Philippines 0.0% ‡
    Philippine Government International Bond
3.00%, due 2/1/28
   200,000    220,216 
               
    Poland 0.0% ‡
    Republic of Poland Government International Bond
5.00%, due 3/23/22
   50,000    53,429 
    Total Foreign Government Bonds
(Cost $749,561)
        833,978 
               
    Mortgage-Backed Securities 3.3%
    Commercial Mortgage Loans (Collateralized Mortgage Obligations) 2.5%
    Bank          
    Series 2017-BNK5, Class A2
2.987%, due 6/15/60
   300,000    308,226 
    Series 2018-BN14, Class A2
4.128%, due 9/15/60
   400,000    433,465 
    Benchmark Mortgage Trust          
    Series 2018-B1, Class A2
3.571%, due 1/15/51
   200,000    208,244 
    Series 2018-B2, Class A2
3.662%, due 2/15/51
   150,000    156,932 
    CD Mortgage Trust
Series 2017-CD4, Class A2
3.03%, due 5/10/50
   600,000    615,577 
    CFCRE Commercial Mortgage Trust
Series 2017-C8, Class A2
2.982%, due 6/15/50
   900,000    921,931 
    Citigroup Commercial Mortgage Trust
Series 2020-GC46, Class A5
2.717%, due 2/15/53
   500,000    547,377 
    Colony Mortgage Capital, Ltd.
Series 2019-IKPR, Class B
1.63% (1 Month LIBOR + 1.478%), due 11/15/38 (a)(b)
   1,250,000    1,168,901 
    Credit Suisse Mortgage Trust
Series 2020-WEST, Class A
3.04%, due 2/15/35 (a)
   750,000    716,447 
    DBJPM Mortgage Trust
Series 2017-C6, Class A2
2.917%, due 6/10/50
   800,000    822,782 
    Morgan Stanley Bank of America Merrill Lynch Trust
Series 2017-C33, Class A2
3.14%, due 5/15/50
   1,000,000    1,027,449 
    Morgan Stanley Capital I Trust
Series 2017-H1, Class A2
3.089%, due 6/15/50
   900,000    925,535 
    UBS Commercial Mortgage Trust
Series 2018-C8, Class A2
3.713%, due 2/15/51
   500,000    523,034 
             8,375,900 
    Whole Loan (Collateralized Mortgage Obligations) 0.8%
    COLT Mortgage Loan Trust
Series 2019-4, Class A1
2.579%, due 11/25/49 (a)(d)
   315,722    319,496 
    JP Morgan Mortgage Trust
Series 2019-1, Class A11
1.098% (1 Month LIBOR + 0.95%), due 5/25/49 (a)(b)
   407,397    408,530 
    New Residential Mortgage Loan Trust
Series 2020-NQM1, Class A1
2.464%, due 1/26/60 (a)(d)
   265,118    268,275 
    Sequoia Mortgage Trust (a)(d)          
    Series 2020-3, Class A1
3.00%, due 4/25/50
   684,244    704,536 
    Series 2020-1, Class A1
3.50%, due 2/25/50
   141,556    145,266 
    Series 2020-2, Class A1
3.50%, due 3/25/50
   648,543    669,300 
             2,515,403 
    Total Mortgage-Backed Securities
(Cost $10,933,091)
        10,891,303 
               
    U.S. Government & Federal Agencies 15.6%
    Federal Farm Credit Bank 2.4%
    0.75%, due 4/5/27   450,000    448,717 
    0.90%, due 8/19/27   725,000    725,024 
    0.98%, due 4/27/27   500,000    498,015 
    1.14%, due 8/20/29   800,000    798,870 
    1.23%, due 9/10/29   1,000,000    1,001,089 
    1.23%, due 7/29/30   725,000    723,301 
    1.25%, due 10/30/26   675,000    675,319 
    1.25%, due 6/24/30   925,000    923,694 
    1.37%, due 6/1/29   650,000    651,309 
    2.03%, due 1/21/28   850,000    927,662 
    2.44%, due 10/16/28   500,000    500,475 
             7,873,475 
    Federal Home Loan Bank 1.6%
    0.375%, due 9/4/25   730,000    729,276 
    2.50%, due 12/10/27   1,050,000    1,185,215 
    2.875%, due 9/13/24   1,175,000    1,299,066 
    3.00%, due 3/10/28   300,000    349,229 
    3.125%, due 9/12/25   800,000    905,254 
    3.25%, due 6/9/28   800,000    947,796 
             5,415,836 
    Federal Home Loan Mortgage Corporation 0.8%
    0.375%, due 7/21/25   30,000    30,005 
    0.375%, due 9/23/25   175,000    174,423 
    0.85%, due 12/30/27   325,000    324,817 
    1.30%, due 8/12/30   578,000    575,625 
    1.50%, due 2/12/25   1,300,000    1,364,450 
             2,469,320 
    Federal National Mortgage Association 0.8%
    0.50%, due 6/17/25   650,000    652,997 
    0.625%, due 4/22/25   510,000    516,909 
    0.875%, due 8/5/30   975,000    962,708 
    1.75%, due 7/2/24   525,000    554,105 
             2,686,719 
    United States Treasury Notes 10.0%
    0.125%, due 9/30/22   4,500,000    4,500,000 
    0.125%, due 8/15/23   7,660,000    7,654,015 
    0.25%, due 9/30/25   5,700,000    5,693,766 
    0.375%, due 7/31/27   2,350,000    2,338,250 
    0.625%, due 8/15/30   2,725,000    2,711,375 
    1.625%, due 11/15/22   10,215,000    10,537,411 
             33,434,817 
    Total U.S. Government & Federal Agencies
(Cost $50,882,032)
        51,880,167 
    Total Long-Term Bonds
(Cost $139,688,962)
        143,892,597 

 

 

        Shares      
    Common Stocks 50.5%
    Aerospace & Defense 0.8%
    Boeing Co.   2,495    412,324 
    General Dynamics Corp.   2,817    389,957 
    Huntington Ingalls Industries, Inc.   771    108,518 
    L3Harris Technologies, Inc.   2,187    371,440 
    Northrop Grumman Corp.   1,401    442,002 
    Raytheon Technologies Corp.   6,773    389,718 
    Textron, Inc.   19,072    688,309 
             2,802,268 
    Air Freight & Logistics 0.3%
    FedEx Corp.   2,118    532,719 
    United Parcel Service, Inc., Class B   2,767    461,065 
    XPO Logistics, Inc. (e)   1,189    100,661 
             1,094,445 
    Auto Components 0.1%
    Aptiv PLC   5,143    471,510 
    Automobiles 0.5%
    Ford Motor Co.   154,487    1,028,883 
    General Motors Co.   13,428    397,335 
    Thor Industries, Inc.   3,946    375,896 
             1,802,114 
    Banks 1.5%
    Bank of America Corp.   19,572    471,489 
    Citigroup, Inc.   9,267    399,500 
    First Republic Bank   4,944    539,193 
    JPMorgan Chase & Co.   4,165    400,965 
    PacWest Bancorp   6,988    119,355 
    PNC Financial Services Group, Inc.   3,712    407,986 
    Signature Bank   7,176    595,536 
    SVB Financial Group (e)   883    212,467 
    Synovus Financial Corp.   28,703    607,643 
    Truist Financial Corp.   12,710    483,616 
    U.S. Bancorp   11,075    397,039 
    Wells Fargo & Co.   16,473    387,280 
             5,022,069 
    Beverages 0.7%
    Coca-Cola Co.   7,992    394,565 
    Constellation Brands, Inc., Class A   2,528    479,081 
    Keurig Dr. Pepper, Inc.   16,493    455,207 
    Molson Coors Beverage Co., Class B   19,244    645,829 
    PepsiCo., Inc.   3,442    477,061 
             2,451,743 
    Biotechnology 0.8%
    AbbVie, Inc.   6,147    538,416 
    Alexion Pharmaceuticals, Inc. (e)   4,276    489,303 
    Alkermes PLC (e)   8,661    143,513 
    Biogen, Inc. (e)   1,939    550,055 
    Exelixis, Inc. (e)   7,667    187,458 
    Gilead Sciences, Inc.   8,515    538,063 
    United Therapeutics Corp. (e)   1,771    178,871 
             2,625,679 
    Building Products 1.4%
    Carrier Global Corp.   10,675    326,015 
    Fortune Brands Home & Security, Inc.   8,885    768,730 
    Johnson Controls International PLC   27,098    1,106,953 
    Masco Corp.   14,480    798,282 
    Owens Corning   9,796    674,063 
    Trane Technologies PLC   8,949    1,085,066 
             4,759,109 
    Capital Markets 3.0%
    Ameriprise Financial, Inc.   5,843    900,465 
    Bank of New York Mellon Corp.   15,871    545,010 
    BlackRock, Inc.   967    544,953 
    Cboe Global Markets, Inc.   449    39,395 
    Charles Schwab Corp.   13,158    476,714 
    CME Group, Inc.   2,334    390,501 
    Evercore, Inc., Class A   9,247    605,309 
    Franklin Resources, Inc.   5,994    121,978 
    Goldman Sachs Group, Inc.   2,358    473,887 
    Intercontinental Exchange, Inc.   5,271    527,364 
    Lazard, Ltd., Class A   18,584    614,201 
    LPL Financial Holdings, Inc.   8,281    634,904 
    Morgan Stanley   9,773    472,525 
    Nasdaq, Inc.   6,029    739,819 
    Raymond James Financial, Inc.   9,688    704,899 
    S&P Global, Inc.   1,502    541,621 
    State Street Corp.   14,174    840,943 
    T. Rowe Price Group, Inc.   7,303    936,391 
             10,110,879 
    Chemicals 1.3%
    Air Products & Chemicals, Inc.   1,581    470,917 
    CF Industries Holdings, Inc.   21,151    649,547 
    Dow, Inc.   8,457    397,902 
    DuPont de Nemours, Inc.   7,074    392,465 
    Ecolab, Inc.   1,985    396,682 
    Huntsman Corp.   28,135    624,878 
    Linde PLC   1,974    470,069 
    LyondellBasell Industries N.V., Class A   8,785    619,255 
    Mosaic Co.   19,942    364,340 
    PPG Industries, Inc.   211    25,759 
             4,411,814 
    Commercial Services & Supplies 0.9%
    ADT, Inc.   66,514    543,419 
    Cintas Corp.   1,778    591,772 
    Clean Harbors, Inc. (e)   10,421    583,888 
    Republic Services, Inc.   7,317    683,042 
    Waste Management, Inc.   4,045    457,773 
             2,859,894 
    Communications Equipment 0.2%
    Cisco Systems, Inc.   13,786    543,031 
               
    Construction & Engineering 0.2%
    Quanta Services, Inc.   12,132    641,298 
               
    Consumer Finance 0.8%
    American Express Co.   5,506    551,976 
    Capital One Financial Corp.   6,628    476,288 
    Discover Financial Services   2,380    137,516 
    SLM Corp.   71,629    579,479 
    Synchrony Financial   31,823    832,808 
             2,578,067 
    Containers & Packaging 0.3%
    Ardagh Group S.A.   6,606    92,814 
    Berry Global Group, Inc. (e)   12,611    609,364 
    International Paper Co.   5,334    216,240 
    Westrock Co.   6,798    236,163 
             1,154,581 
    Distributors 0.2%
    LKQ Corp. (e)   24,979    692,668 
    Diversified Consumer Services 0.3%
    Graham Holdings Co., Class B   1,340    541,507 
    H&R Block, Inc.   35,047    570,916 
             1,112,423 
    Diversified Financial Services 0.4%
    Berkshire Hathaway, Inc., Class B (e)   1,850    393,939 
    Equitable Holdings, Inc.   20,762    378,699 
    Jefferies Financial Group, Inc.   32,703    588,654 
             1,361,292 
    Diversified Telecommunication Services 0.2%
    AT&T, Inc.   13,887    395,918 
    Verizon Communications, Inc.   6,556    390,017 
             785,935 
    Electric Utilities 1.5%
    American Electric Power Co., Inc.   4,828    394,592 
    Duke Energy Corp.   4,721    418,092 
    Entergy Corp.   8,178    805,778 
    Evergy, Inc.   2,962    150,529 
    Eversource Energy   4,841    404,466 
    Exelon Corp.   10,963    392,037 
    FirstEnergy Corp.   5,148    147,799 
    NextEra Energy, Inc.   1,381    383,310 
    NRG Energy, Inc.   20,613    633,644 
    OGE Energy Corp.   19,657    589,513 
    PPL Corp.   432    11,755 
    Southern Co.   7,236    392,336 
    Xcel Energy, Inc.   2,510    173,215 
             4,897,066 
    Electrical Equipment 0.5%
    Eaton Corp. PLC   5,302    540,963 
    Emerson Electric Co.   7,146    468,563 
    GrafTech International, Ltd.   23,879    163,332 
    Regal Beloit Corp.   6,357    596,732 
             1,769,590 
    Electronic Equipment, Instruments & Components 0.8%
    Arrow Electronics, Inc. (e)   8,130    639,506 
    Avnet, Inc.   22,253    575,018 
    Jabil, Inc.   17,802    609,896 
    SYNNEX Corp.   4,849    679,151 
             2,503,571 
    Energy Equipment & Services 0.1%
    Schlumberger N.V.   24,460    380,598 
               
    Entertainment 0.8%
    Activision Blizzard, Inc.   6,551    530,304 
    Electronic Arts, Inc. (e)   4,040    526,856 
    Lions Gate Entertainment Corp., Class B (e)   64,367    561,280 
    Take-Two Interactive Software, Inc. (e)   3,289    543,409 
    Walt Disney Co.   3,139    389,487 
             2,551,336 
    Equity Real Estate Investment Trusts 2.9%
    Alexandria Real Estate Equities, Inc.   3,294    527,040 
    American Homes 4 Rent, Class A   10,087    287,278 
    Apartment Investment & Management Co., Class A   7,014    236,512 
    AvalonBay Communities, Inc.   3,655    545,838 
    Boston Properties, Inc.   1,222    98,127 
    Camden Property Trust   241    21,444 
    Crown Castle International Corp.   2,407    400,765 
    CubeSmart   8,136    262,874 
    CyrusOne, Inc.   4,217    295,317 
    Digital Realty Trust, Inc.   2,741    402,269 
    Duke Realty Corp.   10,970    404,793 
    Equity Residential   9,794    502,726 
    Essex Property Trust, Inc.   1,943    390,135 
    Extra Space Storage, Inc.   2,057    220,078 
    First Industrial Realty Trust, Inc.   5,977    237,885 
    Gaming and Leisure Properties, Inc.   465    17,172 
    Healthpeak Properties, Inc.   12,293    333,755 
    Host Hotels & Resorts, Inc.   104    1,122 
    Invitation Homes, Inc.   15,891    444,789 
    Life Storage, Inc.   2,237    235,489 
    Medical Properties Trust, Inc.   1,714    30,218 
    Mid-America Apartment Communities, Inc.   3,410    395,389 
    Prologis, Inc.   3,986    401,071 
    Public Storage   1,782    396,887 
    Realty Income Corp.   4,236    257,337 
    Rexford Industrial Realty, Inc.   5,530    253,053 
    SBA Communications Corp.   1,687    537,276 
    Sun Communities, Inc.   2,844    399,895 
    UDR, Inc.   1,250    40,762 
    Ventas, Inc.   3,749    157,308 
    VICI Properties, Inc.   4,245    99,206 
    W.P. Carey, Inc.   1,105    72,002 
    Welltower, Inc.   5,364    295,503 
    Weyerhaeuser Co.   19,516    556,596 
             9,757,911 
    Food & Staples Retailing 0.9%
    Costco Wholesale Corp.   1,342    476,410 
    Kroger Co.   30,331    1,028,524 
    Sysco Corp.   8,548    531,857 
    Walgreens Boots Alliance, Inc.   14,961    537,399 
    Walmart, Inc.   3,861    540,192 
             3,114,382 
    Food Products 0.8%
    General Mills, Inc.   7,704    475,183 
    Ingredion, Inc.   4,690    354,939 
    Kraft Heinz Co.   15,782    472,671 
    Mondelez International, Inc., Class A   8,186    470,286 
    Tyson Foods, Inc., Class A   14,284    849,612 
             2,622,691 
    Health Care Equipment & Supplies 1.4%
    Abbott Laboratories   5,123    557,536 
    Baxter International, Inc.   6,656    535,275 
    Becton Dickinson and Co.   1,737    404,165 
    Boston Scientific Corp. (e)   12,315    470,556 
    Danaher Corp.   2,219    477,817 
    Hill-Rom Holdings, Inc.   6,813    568,954 
    Hologic, Inc. (e)   9,544    634,390 
    Medtronic PLC   4,456    463,068 
    Stryker Corp.   1,899    395,695 
    Zimmer Biomet Holdings, Inc.   132    17,970 
             4,525,426 
    Health Care Providers & Services 2.1%
    AmerisourceBergen Corp.   6,812    660,219 
    Anthem, Inc.   2,076    557,593 
    Centene Corp. (e)   9,566    557,985 
    Cigna Corp.   3,262    552,615 
    CVS Health Corp.   9,248    540,083 
    DaVita, Inc. (e)   5,035    431,248 
    HCA Healthcare, Inc.   4,397    548,218 
    Humana, Inc.   1,322    547,163 
    McKesson Corp.   4,281    637,569 
    Molina Healthcare, Inc. (e)   3,580    655,283 
    UnitedHealth Group, Inc.   1,752    546,221 
    Universal Health Services, Inc., Class B   6,337    678,186 
             6,912,383 
    Hotels, Restaurants & Leisure 1.1%
    Darden Restaurants, Inc.   5,726    576,837 
    Extended Stay America, Inc.   46,777    558,985 
    Las Vegas Sands Corp.   9,790    456,801 
    Marriott International, Inc., Class A   4,943    457,623 
    McDonald's Corp.   2,106    462,246 
    Starbucks Corp.   5,453    468,522 
    Wyndham Destinations, Inc.   821    25,254 
    Yum! Brands, Inc.   5,800    529,540 
             3,535,808 
    Household Durables 0.8%
    Lennar Corp.          
    Class A   4,753    388,225 
    Class B   8,794    577,414 
    Mohawk Industries, Inc. (e)   6,617    645,753 
    PulteGroup, Inc.   16,913    782,903 
    Whirlpool Corp.   1,514    278,409 
             2,672,704 
    Household Products 0.5%
    Colgate-Palmolive Co.   6,979    538,430 
    Kimberly-Clark Corp.   3,619    534,381 
    Procter & Gamble Co.   3,340    464,227 
             1,537,038 
    Independent Power & Renewable Electricity Producers 0.4%
    AES Corp.   41,534    752,181 
    Vistra Corp.   38,188    720,225 
             1,472,406 
    Industrial Conglomerates 0.5%
    3M Co.   2,429    389,077 
    General Electric Co.   63,605    396,259 
    Honeywell International, Inc.   2,846    468,480 
    Roper Technologies, Inc.   1,154    455,957 
             1,709,773 
    Insurance 1.9%
    Aflac, Inc.   12,867    467,716 
    Allstate Corp.   5,807    546,671 
    American International Group, Inc.   14,385    396,019 
    American National Group, Inc.   812    54,834 
    Assured Guaranty, Ltd.   27,134    582,838 
    Brighthouse Financial, Inc. (e)   82    2,207 
    Chubb, Ltd.   3,420    397,130 
    Fidelity National Financial, Inc.   1,145    35,850 
    Hartford Financial Services Group, Inc.   9,715    358,095 
    Marsh & McLennan Cos., Inc.   4,069    466,714 
    MetLife, Inc.   14,624    543,574 
    Principal Financial Group, Inc.   6,751    271,863 
    Progressive Corp.   4,205    398,087 
    Reinsurance Group of America, Inc.   2,353    223,982 
    Travelers Cos., Inc.   4,252    460,024 
    Unum Group   35,443    596,506 
    Willis Towers Watson PLC   2,469    515,577 
             6,317,687 
    Interactive Media & Services 0.6%
    Alphabet, Inc. (e)          
    Class A   368    539,341 
    Class C   366    537,874 
    Twitter, Inc. (e)   2,926    130,207 
    Zillow Group, Inc., Class A (e)   6,106    620,003 
             1,827,425 
    Internet & Direct Marketing Retail 0.3%
    eBay, Inc.   10,101    526,262 
    Qurate Retail, Inc., Series A   79,718    572,375 
    Wayfair, Inc., Class A (e)   159    46,271 
             1,144,908 
    IT Services 1.7%
    Akamai Technologies, Inc. (e)   1,313    145,139 
    Alliance Data Systems Corp.   13,253    556,361 
    Amdocs, Ltd.   11,563    663,832 
    Automatic Data Processing, Inc.   3,416    476,498 
    Cognizant Technology Solutions Corp., Class A   7,786    540,504 
    DXC Technology Co.   20,753    370,441 
    Euronet Worldwide, Inc. (e)   5,178    471,716 
    Fidelity National Information Services, Inc.   2,667    392,609 
    Fiserv, Inc. (e)   3,812    392,827 
    Global Payments, Inc.   2,225    395,115 
    International Business Machines Corp.   3,864    470,133 
    Leidos Holdings, Inc.   7,969    710,436 
    Twilio, Inc., Class A (e)   442    109,214 
             5,694,825 
    Leisure Products 0.2%
    Polaris, Inc.   6,708    632,833 
               
    Life Sciences Tools & Services 1.4%
    Agilent Technologies, Inc.   7,417    748,672 
    Bio-Rad Laboratories, Inc., Class A (e)   291    149,999 
    Bruker Corp.   14,382    571,685 
    Charles River Laboratories International, Inc. (e)   1,714    388,135 
    IQVIA Holdings, Inc. (e)   5,692    897,230 
    PPD, Inc. (e)   15,854    586,439 
    PRA Health Sciences, Inc. (e)   5,517    559,645 
    Thermo Fisher Scientific, Inc.   1,088    480,374 
    Waters Corp. (e)   1,086    212,508 
             4,594,687 
    Machinery 1.5%
    AGCO Corp.   8,443    627,062 
    Caterpillar, Inc.   3,150    469,823 
    Crane Co.   2,216    111,088 
    Cummins, Inc.   3,815    805,575 
    Deere & Co.   2,417    535,680 
    Illinois Tool Works, Inc.   2,386    460,999 
    Otis Worldwide Corp.   7,832    488,873 
    PACCAR, Inc.   5,354    456,589 
    Parker-Hannifin Corp.   4,733    957,675 
             4,913,364 
    Media 0.5%
    Charter Communications, Inc., Class A (e)   862    538,181 
    Comcast Corp., Class A   9,961    460,796 
    News Corp.          
    Class A   43,229    606,071 
    Class B    3,343    46,735 
             1,651,783 
    Metals & Mining 1.0%
    Freeport-McMoRan, Inc.   27,809    434,933 
    Newmont Corp.   15,336    973,069 
    Reliance Steel & Aluminum Co.   6,269    639,689 
    Royal Gold, Inc.   2,286    274,708 
    Southern Copper Corp.   10,336    467,911 
    Steel Dynamics, Inc.   21,836    625,165 
             3,415,475 
    Multi-Utilities 1.3%
    Consolidated Edison, Inc.   7,257    564,595 
    Dominion Energy, Inc.   5,054    398,912 
    DTE Energy Co.   3,907    449,461 
    MDU Resources Group, Inc.   27,222    612,495 
    Public Service Enterprise Group, Inc.   17,216    945,330 
    Sempra Energy   3,311    391,890 
    WEC Energy Group, Inc.   8,281    802,429 
             4,165,112 
    Multiline Retail 0.4%
    Dollar Tree, Inc. (e)   8,155    744,878 
    Target Corp.   3,433    540,423 
             1,285,301 
    Oil, Gas & Consumable Fuels 1.5%
    Chevron Corp.   5,421    390,312 
    Concho Resources, Inc.   9,851    434,626 
    ConocoPhillips   11,555    379,466 
    EOG Resources, Inc.   10,398    373,704 
    Exxon Mobil Corp.   11,241    385,904 
    HollyFrontier Corp.   28,607    563,844 
    Kinder Morgan, Inc.   31,481    388,161 
    Phillips 66   7,364    381,750 
    Pioneer Natural Resources Co.   5,718    491,691 
    Targa Resources Corp.   41,042    575,819 
    Valero Energy Corp.   10,468    453,474 
    Williams Cos., Inc.   12,379    243,247 
             5,061,998 
    Personal Products 0.4%
    Estee Lauder Cos., Inc., Class A   2,136    466,182 
    Herbalife Nutrition, Ltd. (e)   7,724    360,325 
    Nu Skin Enterprises, Inc., Class A   11,181    560,056 
             1,386,563 
    Pharmaceuticals 1.1%
    Bristol-Myers Squibb Co.   8,910    537,184 
    Catalent, Inc. (e)   3,463    296,641 
    Johnson & Johnson   3,638    541,625 
    Merck & Co., Inc.   6,392    530,216 
    Perrigo Co. PLC   14,097    647,193 
    Pfizer, Inc.   14,704    539,637 
    Zoetis, Inc.   2,858    472,628 
             3,565,124 
    Professional Services 0.4%
    ManpowerGroup, Inc.   8,330    610,839 
    Robert Half International, Inc.   10,915    577,840 
             1,188,679 
    Road & Rail 1.1%
    CSX Corp.   5,888    457,321 
    J.B. Hunt Transport Services, Inc.   5,186    655,407 
    Knight-Swift Transportation Holdings, Inc.   14,148    575,823 
    Norfolk Southern Corp.   2,097    448,737 
    Schneider National, Inc., Class B   21,800    539,114 
    Uber Technologies, Inc. (e)   13,341    486,680 
    Union Pacific Corp.   2,319    456,541 
             3,619,623 
    Semiconductors & Semiconductor Equipment 1.6%
    Advanced Micro Devices, Inc. (e)   5,890    482,921 
    Analog Devices, Inc.   4,050    472,797 
    Broadcom, Inc.   1,485    541,015 
    Cirrus Logic, Inc. (e)   5,609    378,327 
    Intel Corp.   10,614    549,593 
    Micron Technology, Inc. (e)   7,924    372,111 
    Qorvo, Inc. (e)   6,315    814,698 
    Skyworks Solutions, Inc.   6,959    1,012,535 
    Texas Instruments, Inc.   3,832    547,171 
             5,171,168 
    Software 1.3%
    Autodesk, Inc. (e)   2,326    537,329 
    CDK Global, Inc.   13,931    607,252 
    Citrix Systems, Inc.   5,530    761,536 
    Nuance Communications, Inc. (e)   5,380    178,562 
    Oracle Corp.   8,864    529,181 
    salesforce.com, Inc. (e)   1,893    475,749 
    SS&C Technologies Holdings, Inc.   7,607    460,376 
    Synopsys, Inc. (e)   2,696    576,890 
    Teradata Corp. (e)   3,351    76,068 
             4,202,943 
    Specialty Retail 1.7%
    AutoNation, Inc. (e)   11,088    586,888 
    AutoZone, Inc. (e)   632    744,269 
    Best Buy Co., Inc.   8,484    944,184 
    Dick's Sporting Goods, Inc.   10,465    605,714 
    Foot Locker, Inc.   17,804    588,066 
    Home Depot, Inc.   1,973    547,922 
    L Brands, Inc.   21,494    683,724 
    Ross Stores, Inc.   5,228    487,877 
    TJX Cos., Inc.   8,645    481,094 
    Williams-Sonoma, Inc.   880    79,587 
             5,749,325 
    Technology Hardware, Storage & Peripherals 0.6%
    Dell Technologies, Inc., Class C (e)   6,995    473,491 
    HP, Inc.   55,833    1,060,269 
    Xerox Holdings Corp.   32,287    606,027 
             2,139,787 
    Thrifts & Mortgage Finance 0.3%
    New York Community Bancorp, Inc.   71,734    593,240 
    Rocket Cos., Inc., Class A (e)   22,405    446,532 
             1,039,772 
    Tobacco 0.3%
    Altria Group, Inc.   13,851    535,203 
    Philip Morris International, Inc.   6,097    457,214 
             992,417 
    Trading Companies & Distributors 0.3%
    HD Supply Holdings, Inc. (e)   15,886    655,139 
    Univar Solutions, Inc. (e)   11,400    192,432 
             847,571 
    Wireless Telecommunication Services 0.1%
    T-Mobile U.S., Inc. (e)   3,476    397,515 
    Total Common Stocks
(Cost $142,231,666)
        168,249,387 
   
    Exchange-Traded Funds 3.9%
    iShares Intermediate Government / Credit Bond ETF   4,353    512,522 
    iShares Russell 1000 Value ETF   35,540    4,198,340 
    iShares Russell Mid-Cap ETF   29,964    1,719,334 
    SPDR S&P 500 ETF Trust   2,991    1,001,656 
    Vanguard Mid-Cap Value ETF   54,837    5,558,827 
    Total Exchange-Traded Funds
(Cost $12,382,387)
        12,990,679 

 

       Principal Amount     
    Short-Term Investment 1.1%
    Repurchase Agreement 1.1%
    Fixed Income Clearing Corp.
0.00%, dated 9/30/20
due 10/1/20
Proceeds at Maturity $3,617,588 (Collateralized by a United States Treasury Note with rates between 2.75% and 2.875% and maturity dates between 2/15/24 and 8/15/28, with a Principal Amount of $3,125,300 and a Market Value of $3,690,086)
  $3,617,588    3,617,588 
    Total Repurchase Agreement
(Cost $3,617,588)
        3,617,588 
    Total Short-Term Investment
(Cost $3,617,588)
        3,617,588 
    Total Investments
(Cost $297,920,603)
   98.7%   328,750,251 
    Other Assets, Less Liabilities   1.3    4,320,755 
    Net Assets   100.0%  $333,071,006 

 

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 September 30, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 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 September 30, 2020.
(e) Non-income producing security.

 

Futures Contracts

 

As of September 30, 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  37  December 2020  $8,174,380   $8,175,555   $1,175 
5-Year United States Treasury Note  77  December 2020   9,701,511    9,704,406    2,895 
10-Year United States Treasury Note  51  December 2020   7,112,934    7,116,094    3,160 
Total Long Contracts                   7,230 

 

Short Contracts                 
10-Year United States Treasury Ultra Note  (2)  December 2020   (320,028)   (319,844)   184 
United States Treasury Long Bond  (2)  December 2020   (355,262)   (352,563)   2,699 
Total Short Contracts                   2,883 
                      
Net Unrealized Appreciation                  $10,113 

 

1.As of September 30, 2020, cash in the amount of $132,628 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 September 30, 2020.

 

The following abbreviations are used in the preceding pages:

CME—Chicago Mercantile Exchange
ETF—Exchange-Traded Fund
LIBOR—London Interbank Offered Rate
SPDR—Standard & Poor's Depositary Receipt

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $   $16,811,308   $                   —   $16,811,308 
Corporate Bonds       63,475,841        63,475,841 
Foreign Government Bonds       833,978        833,978 
Mortgage-Backed Securities       10,891,303        10,891,303 
U.S. Government & Federal Agencies       51,880,167        51,880,167 
Total Long-Term Bonds       143,892,597        143,892,597 
Common Stocks   168,249,387            168,249,387 
Exchange-Traded Funds   12,990,679            12,990,679 
Short-Term Investment                    
Repurchase Agreement       3,617,588        3,617,588 
Total Investments in Securities   181,240,066    147,510,185        328,750,251 
Other Financial Instruments                    
Futures Contracts (b)   10,113            10,113 
Total Investments in Securities and Other Financial Instruments  $181,250,179   $147,510,185   $   $328,760,364 

 

(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 September 30, 2020 (Unaudited)  

 

     Principal
Amount
   Value 
  Long-Term Bonds 98.7% †          
  Asset-Backed Securities 15.1%          
  Automobile Asset-Backed Securities 0.5%          
  Avis Budget Rental Car Funding AESOP LLC
Series 2020-2A, Class A
2.02%, due 2/20/27 (a)
  $4,500,000   $4,539,911 
  Home Equity 0.1%          
  Chase Funding Trust
Series 2002-2, Class 1A5
6.333%, due 4/25/32 (b)
   67,392    68,843 
  Morgan Stanley Mortgage Loan Trust
Series 2006-17XS, Class A3A
5.651%, due 10/25/46 (b)
   914,706    381,995 
           450,838 
  Other Asset-Backed Securities 14.5%          
  AIMCO CLO
Series 2015-AA, Class BR
1.575% (3 Month LIBOR + 1.30%), due 1/15/28 (a)(c)
   2,000,000    1,975,676 
  AMSR Trust
Series 2020-SFR4, Class A
1.355%, due 11/17/37 (a)
   3,300,000    3,302,052 
  Apidos CLO XXV
Series 2016-25A, Class A1R
1.442% (3 Month LIBOR + 1.17%), due 10/20/31 (a)(c)
   1,300,000    1,284,808 
  Apidos CLO XXXII
Series 2019-32A, Class A1
1.592% (3 Month LIBOR + 1.32%), due 1/20/33 (a)(c)
   2,200,000    2,198,792 
  Aqua Finance Trust
Series 2020-AA, Class A
1.90%, due 7/17/46 (a)
   3,000,000    3,010,979 
  Ares CLO, Ltd.
Series 2015-38A, Class BR
1.672%, due 4/20/30 (a)
   1,500,000    1,465,743 
  Ares XLI CLO, Ltd.
Series 2016-41A, Class AR
1.475% (3 Month LIBOR + 1.20%), due 1/15/29 (a)(c)
   2,500,000    2,487,912 
  Ares XXXIV CLO, Ltd.
Series 2015-2A, Class AR2
1.523% (3 Month LIBOR + 1.25%), due 4/17/33 (a)(c)
   2,000,000    1,981,590 
  Bain Capital Credit CLO, Ltd. (a)(c)          
  Series 2016-2A, Class AR
1.415% (3 Month LIBOR + 1.14%), due 1/15/29
   1,595,353    1,584,386 
  Series 2017-1A, Class A1
1.522% (3 Month LIBOR + 1.25%), due 7/20/30
   2,750,000    2,727,659 
  Benefit Street Partners CLO IV, Ltd.
Series 2014-IVA, Class A1RR
1.522% (3 Month LIBOR + 1.25%), due 1/20/29 (a)(c)
   1,600,000    1,592,099 
  Benefit Street Partners CLO XIX, Ltd.
Series 2019-19A, Class A
1.625% (3 Month LIBOR + 1.35%), due 1/15/33 (a)(c)
   1,500,000    1,486,015 
  Benefit Street Partners CLO XVIII, Ltd.
Series 2019-18A, Class A
1.615% (3 Month LIBOR + 1.34%), due 10/15/32 (a)(c)
   1,000,000    990,596 
  CAL Funding IV, Ltd.
Series 2020-1A, Class A
2.22%, due 9/25/45 (a)
   5,250,000    5,266,687 
  Capital Automotive REIT (a)          
  Series 2020-1A, Class A1
2.69%, due 2/15/50
   971,959    995,873 
  Series 2017-1A, Class A1
3.87%, due 4/15/47
   2,064,938    2,068,705 
  Cedar Funding IV CLO, Ltd.
Series 2014-4A, Class AR
1.486% (3 Month LIBOR + 1.23%), due 7/23/30 (a)(c)
   2,600,000    2,588,173 
  Cedar Funding VIII CLO, Ltd.
Series 2017-8A, Class A1
1.523% (3 Month LIBOR + 1.25%), due 10/17/30 (a)(c)
   1,250,000    1,242,349 
  Cedar Funding XII CLO, Ltd.
Series 2020-12A, Class A
(zero coupon) (3 Month LIBOR + 1.27%), due 10/25/32 (a)(c)
   2,600,000    2,600,000 
  Dryden CLO, Ltd.
Series 2019-76A, Class A1
1.602% (3 Month LIBOR + 1.33%), due 10/20/32 (a)(c)
   1,875,000    1,863,139 
  Elara HGV Timeshare Issuer LLC
Series 2017-A, Class A
2.69%, due 3/25/30 (a)
   394,626    402,982 
  ELFI Graduate Loan Program LLC
Series 2020-A, Class A
1.73%, due 8/25/45 (a)
   2,750,741    2,783,115 
  Galaxy XV CLO, Ltd.
Series 2013-15A, Class AR
1.475% (3 Month LIBOR + 1.20%), due 10/15/30 (a)(c)
   1,750,000    1,734,680 
  Galaxy XXVI CLO, Ltd.
Series 2018-26A, Class A
1.456% (3 Month LIBOR + 1.20%), due 11/22/31 (a)(c)
   1,500,000    1,477,618 
  Grippen Park CLO, Ltd.
Series 2017-1A, Class B
1.922%, due 1/20/30 (a)
   750,000    742,802 
  Highbridge Loan Management, Ltd.
Series 2010A-16, Class A1R
1.412% (3 Month LIBOR + 1.14%), due 1/20/28 (a)(c)
   1,000,000    993,915 
  Hilton Grand Vacations Trust
Series 2018-AA, Class A
3.54%, due 2/25/32 (a)
   1,193,617    1,250,410 
  JP Morgan Mortgage Acquisition Trust
Series 2007-CH2, Class AF3
4.602%, due 10/25/30 (b)
   580,290    431,946 
  Laurel Road Prime Student Loan Trust
Series 2020-A, Class A2FX
1.40%, due 11/25/50 (a)
   3,734,000    3,730,055 
  Magnetite XVIII, Ltd. (a)(c)          
  Series 2016-18A, Class AR
1.36% (3 Month LIBOR + 1.08%), due 11/15/28
   1,900,000    1,889,358 
  Series 2019-23A, Class A
1.545% (3 Month LIBOR + 1.30%), due 10/25/32
   1,000,000    996,805 
  Magnetite XXVIII, Ltd.
Series 2020-28A, Class B
(zero coupon) (3 Month LIBOR + 1.65%), due 10/25/31 (a)(c)
   2,500,000    2,500,525 
  MVW Owner Trust (a)          
  Series 2014-1A, Class A
2.25%, due 9/22/31
   162,084    162,457 
  Series 2019-1A, Class A
2.89%, due 11/20/36
   876,448    901,142 
  Neuberger Berman CLO XIV, Ltd.
Series 2013-14A, Class BR2
1.747% (3 Month LIBOR + 1.50%), due 1/28/30 (a)(c)
   1,000,000    987,334 
  Neuberger Berman Loan Advisers CLO 24, Ltd.
Series 2017-24A, Class BR
1.772% (3 Month LIBOR + 1.50%), due 4/19/30 (a)(c)
   1,000,000    992,328 
  Neuberger Berman Loan Advisers CLO 32, Ltd.
Series 2019-32A, Class B
2.122% (3 Month LIBOR + 1.85%), due 1/19/32 (a)(c)
   2,000,000    2,001,098 
  Neuberger Berman Loan Advisers CLO 35, Ltd.
Series 2019-35A, Class A1
1.612% (3 Month LIBOR + 1.34%), due 1/19/33 (a)(c)
   3,000,000    2,990,166 
  Neuberger Berman Loan Advisers CLO 37, Ltd.
Series 2020-37A, Class A1
1.919% (3 Month LIBOR + 1.75%), due 7/20/31 (a)(c)
   2,000,000    2,006,448 
  Oaktree CLO, Ltd.
Series 2020-1A, Class B
2.935% (3 Month LIBOR + 2.59%), due 7/15/29 (a)(c)
   3,000,000    3,014,289 
  Octagon Investment Partners 29, Ltd.
Series 2016-1A, Class AR
1.444% (3 Month LIBOR + 1.18%), due 1/24/33 (a)(c)
   1,200,000    1,177,052 
  Octagon Investment Partners 31 LLC
Series 2017-1A, Class B1
1.972% (3 Month LIBOR + 1.70%), due 7/20/30 (a)(c)
   1,200,000    1,189,877 
  OHA Credit Funding, Ltd.
Series 2020-6A, Class A1
1.902% (3 Month LIBOR + 1.65%), due 7/20/31 (a)(c)
   2,000,000    2,004,160 
  Palmer Square CLO, Ltd. (a)(c)          
  Series 2015-2A, Class A1R2
1.372% (3 Month LIBOR + 1.10%), due 7/20/30
   300,000    297,208 
  Series 2014-1A, Class A1R2
1.403% (3 Month LIBOR + 1.13%), due 1/17/31
   750,000    743,777 
  Series 2015-1A, Class A1R2
1.467% (3 Month LIBOR + 1.22%), due 5/21/29
   2,200,000    2,192,850 
  Series-2015-2A, Class A2R2
1.822% (3 Month LIBOR + 1.55%), due 7/20/30
   2,000,000    1,979,604 
  Series 2015-1A, Class A2R2
1.897% (3 Month LIBOR + 1.65%), due 5/21/29
   875,000    871,268 
  Palmer Square Loan Funding, Ltd.
Series 2019-3A, Class A2
1.853% (3 Month LIBOR + 1.60%), due 8/20/27 (a)(c)
   3,000,000    2,976,954 
  Regatta VI Funding, Ltd.
Series 2016-1A, Class AR
1.352% (3 Month LIBOR + 1.08%), due 7/20/28 (a)(c)
   2,800,000    2,785,667 
  Shackleton CLO, Ltd. (a)(c)          
  Series 2019-14A, Class A1
1.502% (3 Month LIBOR + 1.23%), due 7/20/30
   2,000,000    1,975,130 
  Series 2019-15A, Class B
2.275% (3 Month LIBOR + 2.00%), due 1/15/30
   1,500,000    1,500,747 
  Sierra Timeshare Receivables Funding LLC (a)          
  Series 2019-1A, Class A
3.20%, due 1/20/36
   376,853    389,887 
  Series 2018-2A, Class A
3.50%, due 6/20/35
   460,298    478,483 
  Series 2018-3A, Class A
3.69%, due 9/20/35
   228,227    239,996 
  SMB Private Education Loan Trust (a)          
  Series 2020-BA, Class A1A
1.29%, due 7/15/53
   2,860,000    2,860,809 
  Series 2019-B, Class A2A
2.84%, due 6/15/37
   3,000,000    3,161,172 
  SoFi Professional Loan Program LLC
Series 2019-A, Class A1FX
3.18%, due 6/15/48 (a)
   252,347    253,694 
  SoFi Professional Loan Program Trust
Series 2018-D, Class A1FX
3.12%, due 2/25/48 (a)
   74,533    74,760 
  Textainer Marine Containers VIII, Ltd.
Series 2020-2A, Class A
2.10%, due 9/20/45 (a)
   1,600,000    1,601,028 
  THL Credit Wind River CLO, Ltd.
Series 2017-4A, Class A
1.403% (3 Month LIBOR + 1.15%), due 11/20/30 (a)(c)
   2,243,000    2,213,108 
  TIAA CLO III, Ltd.
Series 2017-2A, Class A
1.421% (3 Month LIBOR + 1.15%), due 1/16/31 (a)(c)
   2,400,000    2,345,023 
  TICP CLO XIII, Ltd.
Series 2019 13A, Class A
1.575% (3 Month LIBOR + 1.30%), due 7/15/32 (a)(c)
   3,500,000    3,491,915 
  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    1,985,178 
  Treman Park CLO, Ltd.
Series 2015-1A, Class ARR
1.342% (3 Month LIBOR + 1.07%), due 10/20/28 (a)(c)
   1,245,000    1,236,893 
  Triton Container Finance VIII LLC
Series 2020-1A, Class A
2.11%, due 9/20/45 (a)
   4,000,000    4,018,517 
  Vantage Data Centers LLC
Series 2020-1A, Class A2
1.645%, due 9/15/45 (a)
   4,725,000    4,725,000 
  Voya CLO, Ltd. (a)(c)          
  Series 2019-1A, Class AR
1.335% (3 Month LIBOR + 1.06%), due 4/15/31
   1,500,000    1,475,404 
  Series  2019-1A, Class BR
1.825% (3 Month LIBOR + 1.55%), due 4/15/31
   2,000,000    1,948,494 
  VSE VOI Mortgage LLC
Series 2016-A, Class A
2.54%, due 7/20/33 (a)
   1,006,976    1,013,101 
  Westcott Park CLO, Ltd.
Series 2016 1A, Class AR
1.482% (3 Month LIBOR + 1.21%), due 7/20/28 (a)(c)
   1,850,000    1,841,623 
           129,751,085 
  Total Asset-Backed Securities
(Cost $134,816,928)
        134,741,834 

 

  Corporate Bonds 37.2%             
  Aerospace & Defense 0.9%             
  Boeing Co.             
  2.70%, due 2/1/27   1,825,000     1,779,881  
  2.95%, due 2/1/30   2,500,000     2,419,571  
  3.10%, due 5/1/26   1,925,000     1,920,266  
  5.15%, due 5/1/30   1,975,000     2,219,917  
            8,339,635  
  Apparel 0.3%             
  NIKE, Inc.
3.25%, due 3/27/40
   1,500,000     1,716,170  
  Ralph Lauren Corp.
1.70%, due 6/15/22
   925,000     941,647  
            2,657,817  
  Auto Manufacturers 3.1%             
  Daimler Finance North America LLC
1.18% (3 Month LIBOR + 0.90%), due 2/15/22 (a)(c)
   3,000,000     3,010,750  
  Ford Motor Credit Co. LLC             
  3.087%, due 1/9/23   825,000     808,409  
  3.664%, due 9/8/24   1,800,000     1,761,345  
  General Motors Co.
5.15%, due 4/1/38
   1,500,000     1,592,950  
  General Motors Financial Co., Inc.
5.20%, due 3/20/23
   2,750,000     2,983,318  
  Hyundai Capital America
2.375%, due 10/15/27 (a)
   1,525,000     1,525,017  
  Nissan Motor Co., Ltd.
4.81%, due 9/17/30 (a)
   5,885,000     5,920,338  
  Toyota Motor Credit Corp.
1.80%, due 2/13/25
   3,765,000     3,933,562  
  Volkswagen Group of America Finance LLC (a)             
  1.083% (3 Month LIBOR + 0.86%), due 9/24/21 (c)   1,975,000     1,982,457  
  3.35%, due 5/13/25   4,225,000     4,613,472  
            28,131,618  
  Banks 8.1%             
  Banco del Estado de Chile
2.704%, due 1/9/25 (a)
   1,275,000     1,340,357  
  Banco Santander S.A.
4.25%, due 4/11/27
   1,800,000     2,035,013  
  Bank of America Corp.             
  1.319%, due 6/19/26 (d)   3,750,000     3,778,258  
  4.083%, due 3/20/51 (d)   2,890,000     3,578,805  
  4.45%, due 3/3/26   1,570,000     1,810,750  
  BNP Paribas S.A. (a)             
  2.219%, due 6/9/26 (d)   1,475,000     1,521,005  
  2.588% (5 Year Treasury Constant Maturity Rate + 2.05%), due 8/12/35 (c)   2,600,000     2,524,458  
  3.052%, due 1/13/31 (d)   1,700,000     1,823,188  
  Citigroup, Inc.             
  4.60%, due 3/9/26   1,500,000     1,719,521  
  4.75%, due 5/18/46   1,975,000     2,478,586  
  Credit Suisse A.G.
2.95%, due 4/9/25
   3,000,000     3,275,280  
  Credit Suisse Group A.G.
2.193%, due 6/5/26 (a)(d)
   4,000,000     4,120,157  
  Fifth Third Bancorp
4.30%, due 1/16/24
   3,875,000     4,274,998  
  Goldman Sachs Group, Inc.             
  2.60%, due 2/7/30   2,425,000     2,563,212  
  5.15%, due 5/22/45   975,000     1,284,974  
  HSBC Holdings PLC
2.013%, due 9/22/28 (d)
   2,000,000     1,982,512  
  JPMorgan Chase & Co.             
  2.083%, due 4/22/26 (d)   2,875,000     3,006,617  
  2.956%, due 5/13/31 (d)   925,000     992,436  
  5.40%, due 1/6/42   1,925,000     2,764,181  
  Mizuho Financial Group, Inc. (c)             
  0.88% (3 Month LIBOR + 0.63%), due 5/25/24   8,270,000     8,264,079  
  1.099% (3 Month LIBOR + 0.85%), due 9/13/23   1,375,000     1,382,109  
  Morgan Stanley             
  2.188%, due 4/28/26 (d)   2,075,000     2,173,116  
  3.622%, due 4/1/31 (d)   2,675,000     3,073,521  
  4.35%, due 9/8/26   1,556,000     1,801,071  
  Sumitomo Mitsui Banking Corp.
3.20%, due 7/18/22
   2,500,000     2,615,636  
  Truist Bank
1.50%, due 3/10/25
   3,225,000     3,320,982  
  UBS Group A.G.
1.364% (1 Year Treasury Constant Maturity Rate + 1.08%), due 1/30/27 (a)(c)
   2,825,000     2,823,512  
            72,328,334  
  Beverages 0.7%             
  Anheuser-Busch InBev Worldwide, Inc.
4.75%, due 1/23/29
   3,750,000     4,576,571  
  Diageo Capital PLC
2.125%, due 4/29/32
   1,150,000     1,201,043  
            5,777,614  
  Building Materials 1.3%             
  Carrier Global Corp.
3.577%, due 4/5/50 (a)
   3,575,000     3,797,832  
  Masco Corp.
4.50%, due 5/15/47
   3,000,000     3,507,449  
  Owens Corning
3.95%, due 8/15/29
   3,378,000     3,826,564  
  Vulcan Materials Co.
3.50%, due 6/1/30
   800,000     895,937  
            12,027,782  
  Chemicals 1.5%             
  Air Products & Chemicals, Inc.
2.05%, due 5/15/30
   1,750,000     1,836,895  
  Albemarle Corp.
1.33% (3 Month LIBOR + 1.05%), due 11/15/22 (c)
   2,500,000     2,490,972  
  E.I. du Pont de Nemours & Co.
1.70%, due 7/15/25
   950,000     986,086  
  NewMarket Corp.
4.10%, due 12/15/22
   5,536,000     5,924,362  
  Nutrien, Ltd.
3.625%, due 3/15/24
   825,000     898,254  
  Nutrition & Biosciences, Inc.
1.832%, due 10/15/27 (a)
   1,600,000     1,607,254  
            13,743,823  
  Computers 0.1%             
  DXC Technology Co.
4.00%, due 4/15/23
   750,000     789,782  
  Diversified Financial Services 1.3%             
  AIG Global Funding
0.90%, due 9/22/25 (a)
   2,000,000     1,987,227  
  GE Capital International Funding Co.
4.418%, due 11/15/35
   6,160,000     6,502,242  
  Intercontinental Exchange, Inc.
2.10%, due 6/15/30
   2,600,000     2,670,200  
            11,159,669  
  Electric 4.1%             
  Appalachian Power Co.
6.375%, due 4/1/36
   1,750,000     2,350,939  
  Arizona Public Service Co.
5.50%, due 9/1/35
   1,275,000     1,721,028  
  Dayton Power & Light Co.
3.95%, due 6/15/49
   1,025,000     1,112,075  
  DTE Energy Co.
1.05%, due 6/1/25
   1,300,000     1,299,281  
  Electricite de France S.A.
5.00%, due 9/21/48 (a)
   3,420,000     4,427,808  
  Entergy Mississippi LLC
3.85%, due 6/1/49
   2,500,000     3,019,759  
  Evergy, Inc.
4.85%, due 6/1/21
   385,000     391,840  
  Exelon Corp.             
  3.497%, due 6/1/22   2,750,000     2,875,077  
  4.05%, due 4/15/30   1,200,000     1,407,646  
  FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
   3,455,000     3,851,045  
  NextEra Energy Capital Holdings, Inc.
3.25%, due 4/1/26
   1,800,000     2,017,741  
  Niagara Mohawk Power Corp.
3.025%, due 6/27/50 (a)
   1,850,000     1,953,378  
  Ohio Edison Co.
6.875%, due 7/15/36
   2,500,000     3,527,145  
  PacifiCorp
2.70%, due 9/15/30
   1,975,000     2,165,569  
  Pinnacle West Capital Corp.
1.30%, due 6/15/25
   3,100,000     3,149,258  
  Southern California Edison Co.
1.20%, due 2/1/26
   1,800,000     1,790,388  
            37,059,977  
  Electrical Components & Equipment 0.3%             
  Emerson Electric Co.             
  0.875%, due 10/15/26   875,000     869,112  
  1.80%, due 10/15/27   1,600,000     1,669,290  
            2,538,402  
  Electronics 0.4%             
  Flex, Ltd.
3.75%, due 2/1/26
   3,400,000     3,713,548  
               
  Food 0.5%             
  Conagra Brands, Inc.
4.85%, due 11/1/28
   2,300,000     2,808,922  
  Kroger Co.
7.70%, due 6/1/29
   1,000,000     1,420,748  
            4,229,670  
  Gas 0.2%             
  NiSource, Inc.
5.65%, due 2/1/45
   1,125,000     1,552,050  
               
  Health Care - Products 0.1%             
  Stryker Corp.
2.90%, due 6/15/50
   850,000     876,188  
               
  Health Care - Services 0.1%             
  Fresenius Medical Care U.S. Finance III, Inc.
2.375%, due 2/16/31 (a)
   970,000     959,049  
               
  Insurance 0.3%             
  Empower Finance 2020, L.P.
1.776%, due 3/17/31 (a)
   1,275,000     1,275,210  
  Pacific LifeCorp.
3.35%, due 9/15/50 (a)
   1,700,000     1,717,527  
            2,992,737  
  Iron & Steel 0.7%             
  Nucor Corp.
2.00%, due 6/1/25
   1,575,000     1,643,919  
  Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
   3,550,000     3,849,441  
  Steel Dynamics, Inc.
2.40%, due 6/15/25
   875,000     912,951  
            6,406,311  
  Machinery - Diversified 0.6%             
  CNH Industrial Capital LLC             
  1.95%, due 7/2/23   1,575,000     1,604,529  
  4.375%, due 4/5/22   1,725,000     1,807,973  
  Flowserve Corp.
3.50%, due 10/1/30
   2,050,000     2,029,927  
            5,442,429  
  Media 0.9%             
  Charter Communications Operating LLC / Charter Communications Operating Capital
4.908%, due 7/23/25
   1,700,000     1,965,579  
  Comcast Corp.
4.60%, due 10/15/38
   3,000,000     3,834,442  
  Discovery Communications LLC
3.625%, due 5/15/30
   800,000     888,872  
  Fox Corp.
5.576%, due 1/25/49
   1,250,000     1,726,696  
            8,415,589  
  Mining 0.3%             
  Anglo American Capital PLC
5.625%, due 4/1/30 (a)
   1,875,000     2,301,412  
               
  Oil & Gas 0.9%             
  Chevron Corp.
2.236%, due 5/11/30
   2,425,000     2,573,303  
  Equinor ASA
1.75%, due 1/22/26
   1,250,000     1,296,766  
  Valero Energy Corp.
2.85%, due 4/15/25
   4,000,000     4,197,670  
            8,067,739  
  Oil & Gas Services 0.6%             
  Schlumberger Holdings Corp.
3.75%, due 5/1/24 (a)
   4,725,000     5,117,440  
               
  Packaging & Containers 0.4%             
  Packaging Corp. of America
4.05%, due 12/15/49
   1,525,000     1,823,143  
  WRKCo., Inc.
3.75%, due 3/15/25
   1,825,000     2,039,486  
            3,862,629  
  Pharmaceuticals 1.8%             
  AbbVie, Inc.(a)             
  2.95%, due 11/21/26   2,575,000     2,804,761  
  4.25%, due 11/21/49   1,600,000     1,899,483  
  Bayer U.S. Finance II LLC
4.375%, due 12/15/28 (a)
   2,825,000     3,317,092  
  Becton Dickinson & Co.
2.894%, due 6/6/22
   2,500,000     2,588,525  
  CVS Health Corp.             
  1.75%, due 8/21/30   2,425,000     2,369,804  
  4.25%, due 4/1/50   2,325,000     2,732,778  
            15,712,443  
  Pipelines 2.1%             
  Energy Transfer Operating, L.P.
6.05%, due 6/1/41
   1,300,000     1,320,028  
  Energy Transfer Partners, L.P. / Regency Energy Finance Corp.
5.875%, due 3/1/22
   4,800,000     5,014,014  
  Enterprise Products Operating LLC
5.10%, due 2/15/45
   2,600,000     3,026,632  
  Kinder Morgan Energy Partners, L.P.
6.375%, due 3/1/41
   400,000     489,960  
  Kinder Morgan, Inc.
5.00%, due 2/15/21 (a)
   4,500,000     4,556,481  
  Tennessee Gas Pipeline Co. LLC
2.90%, due 3/1/30 (a)
   2,275,000     2,358,759  
  Texas Eastern Transmission, L.P.
2.80%, due 10/15/22 (a)
   2,350,000     2,418,081  
            19,183,955  
  Real Estate Investment Trusts 2.3%             
  American Campus Communities Operating Partnership, L.P.
3.30%, due 7/15/26
   3,000,000     3,210,919  
  Highwoods Realty, L.P.             
  3.05%, due 2/15/30   1,410,000     1,458,650  
  3.875%, due 3/1/27   3,590,000     3,894,365  
  Kimco Realty Corp.
3.80%, due 4/1/27
   975,000     1,063,766  
  SBA Tower Trust(a)             
  1.884%, due 1/15/26   1,500,000     1,533,316  
  2.836%, due 1/15/25   2,000,000     2,140,466  
  Spirit Realty L.P.
3.20%, due 2/15/31
   1,775,000     1,732,192  
  VEREIT Operating Partnership, L.P.
3.95%, due 8/15/27
   4,870,000     5,194,913  
            20,228,587  
  Retail 0.1%             
  Advance Auto Parts, Inc.
1.75%, due 10/1/27
   1,125,000     1,121,660  
               
  Semiconductors 0.2%             
  Broadcom, Inc.
2.25%, due 11/15/23
   1,700,000     1,767,400  
               
  Software 0.5%             
  Fiserv, Inc.
2.25%, due 6/1/27
   2,960,000     3,126,321  
  Infor, Inc.
1.75%, due 7/15/25 (a)
   1,225,000     1,260,258  
            4,386,579  
  Telecommunications 1.9%             
  AT&T, Inc.             
  1.65%, due 2/1/28   1,175,000     1,177,222  
  4.85%, due 3/1/39   2,000,000     2,413,105  
  Orange S.A.
5.375%, due 1/13/42
   895,000     1,259,770  
  T-Mobile USA, Inc.
2.55%, due 2/15/31 (a)
   6,540,000     6,766,349  
  Telefonica Emisiones S.A.
5.213%, due 3/8/47
   750,000     891,191  
  Verizon Communications, Inc.
4.272%, due 1/15/36
   3,250,000     4,008,854  
            16,516,491  
  Transportation 0.6%             
  Norfolk Southern Corp.
5.64%, due 5/17/29
   1,400,000     1,770,387  
  Union Pacific Corp.
3.25%, due 2/5/50
   775,000     854,087  
  United Parcel Service, Inc.
5.30%, due 4/1/50
   2,000,000     2,968,104  
            5,592,578  
  Total Corporate Bonds
(Cost $308,670,384)
         333,000,937  
                
  Foreign Government Bonds 0.3%             
  Mexico 0.2%             
  Mexico Government International Bond
3.75%, due 1/11/28
   1,850,000     1,991,543  
               
  Poland 0.1%             
  Republic of Poland Government International Bond
5.00%, due 3/23/22
   350,000     374,003  
  Total Foreign Government Bonds
(Cost $2,193,076)
         2,365,546  
                
  Mortgage-Backed Securities 7.5%             
  Agency (Collateralized Mortgage Obligations) 0.8%             
  Federal Home Loan Mortgage Corporation
Series 4798, Class GZ
4.00%, due 6/15/48
   2,195,314     2,547,292  
  Government National Mortgage Association
Series 2014-62, Class Z
3.00%, due 4/20/44
   4,484,346     4,853,097  
            7,400,389  
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 2.6%             
  BX Commercial Mortgage Trust
Series 2019-IMC, Class A
1.152% (1 Month LIBOR + 1.00%), due 4/15/34 (a)(c)
   800,000     770,245  
  Citigroup Commercial Mortgage Trust
Series 2020-GC46, Class A5
2.717%, due 2/15/53
   3,750,000     4,105,332  
  Colony Mortgage Capital, Ltd.
Series 2019-IKPR, Class B
1.63% (1 Month LIBOR + 1.478%), due 11/15/38 (a)(c)
   6,000,000     5,610,724  
  CSMC WEST Trust
Series 2020-WEST, Class A
3.04%, due 2/15/35 (a)
   5,000,000     4,776,315  
  GS Mortgage Securities Trust
Series 2015-GC32, Class AS
4.018%, due 7/10/48 (e)
   3,000,000     3,323,800  
  Houston Galleria Mall Trust
Series 2015-HGLR, Class A1A1
3.087%, due 3/5/37 (a)
   3,250,000     3,288,601  
  Morgan Stanley Bank of America Merrill Lynch Trust
Series 2015-C21, Class AS
3.652%, due 3/15/48
   1,000,000     1,088,724  
            22,963,741  
  Whole Loan (Collateralized Mortgage Obligations) 4.1%             
  COLT Mortgage Loan Trust (a)(e)             
  Series 2020-2, Class A1
1.853%, due 3/25/65
   651,552     656,349  
  Series 2019-4, Class A1
2.579%, due 11/25/49
   2,061,668     2,086,305  
  Series 2019-3, Class A1
2.764%, due 8/25/49
   643,311     650,612  
  JP Morgan Mortgage Trust (a)             
  Series 2019-1, Class A11
1.098% (1 Month LIBOR + 0.95%), due 5/25/49 (c)
   861,802     864,198  
  Series 2014-2, Class 1A1
3.00%, due 6/25/29 (e)
   1,294,829     1,322,483  
  New Residential Mortgage Loan Trust
Series 2020-NQM1, Class A1
2.464%, due 1/26/60 (a)(e)
   1,060,472     1,073,098  
  PSMC Trust (a)(e)             
  Series 2019-2, Class A1
3.50%, due 10/25/49
   944,721     974,139  
  Series 2019-3, Class A1
3.50%, due 11/25/49
   1,101,412     1,131,313  
  Series 2018-3, Class A12
4.00%, due 8/25/48
   2,200,000     2,238,355  
  Seasoned Credit Risk Transfer Trust             
  Series 2020-2, Class M55G
3.00%, due 11/25/59
   4,084,792     4,373,449  
  Series 2019-2, Class MA
3.50%, due 8/25/58
   3,013,108     3,280,275  
  Series 2019-2, Class M55D
4.00%, due 8/25/58
   2,104,805     2,335,991  
  Series 2019-4, Class M55D
4.00%, due 2/25/59
   1,973,075     2,192,314  
  Series 2017-4, Class M45T
4.50%, due 6/25/57
   1,043,287     1,169,744  
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   3,623,060     3,939,065  
  Sequoia Mortgage Trust (a)(e)             
  Series 2020-3, Class A1
3.00%, due 4/25/50
   3,193,138     3,287,835  
  Series 2020-1, Class A1
3.50%, due 2/25/50
   955,500     980,547  
  Series 2020-2, Class A1
3.50%, due 3/25/50
   3,891,259     4,015,802  
  TIAA Bank Mortgage Loan Trust
Series 2018-2, Class A1
3.50%, due 7/25/48 (a)(e)
   517,902     533,776  
            37,105,650  
  Total Mortgage-Backed Securities
(Cost $66,675,353)
         67,469,780  
                
  Municipal Bonds 0.6%             
  Texas 0.6%             
  San Antonio Water System, Revenue Bonds
5.502%, due 5/15/29
   2,000,000     2,465,140  
  Texas Transportation Commission State Highway Fund, Revenue Bonds
5.178%, due 4/1/30
   2,150,000     2,760,729  
  Total Municipal Bonds
(Cost $4,629,567)
         5,225,869  
             
  U.S. Government & Federal Agencies 38.0%          
  Federal Farm Credit Bank 6.8%          
  0.73%, due 12/3/24   3,000,000    2,999,192 
  0.75%, due 4/5/27   2,675,000    2,667,376 
  0.90%, due 8/19/27   4,000,000    4,000,131 
  0.98%, due 4/27/27   3,000,000    2,988,089 
  1.05%, due 6/22/28   3,300,000    3,284,290 
  1.09%, due 6/4/27   4,000,000    4,006,759 
  1.14%, due 8/20/29   5,000,000    4,992,938 
  1.23%, due 9/10/29   7,000,000    7,007,623 
  1.23%, due 7/29/30   4,300,000    4,289,923 
  1.25%, due 10/30/26   4,000,000    4,001,893 
  1.25%, due 6/24/30   5,475,000    5,467,267 
  1.33%, due 7/1/30   5,000,000    4,989,272 
  1.37%, due 6/1/29   4,000,000    4,008,055 
  2.03%, due 1/21/28   3,800,000    4,147,196 
  2.44%, due 10/16/28   2,300,000    2,302,185 
           61,152,189
  Federal Home Loan Bank 2.8%
  0.375%, due 9/4/25   3,210,000    3,206,818 
  2.50%, due 12/10/27   3,000,000    3,386,330 
  2.875%, due 9/13/24   3,500,000    3,869,558 
  3.00%, due 3/10/28   1,900,000    2,211,780 
  3.125%, due 9/12/25   3,100,000    3,507,857 
  3.125%, due 12/12/25   4,000,000    4,546,139 
  3.25%, due 6/9/28   4,000,000    4,738,978 
           25,467,460
  Federal Home Loan Mortgage Corporation 1.6%
  0.375%, due 7/21/25   135,000    135,022 
  0.375%, due 9/23/25   750,000    747,527 
  0.85%, due 12/30/27   2,050,000    2,048,849 
  1.00%, due 7/21/28   2,500,000    2,489,016 
  1.00%, due 10/19/28   4,000,000    3,994,876 
  1.25%, due 1/29/30   2,500,000    2,475,703 
  6.25%, due 7/15/32   1,600,000    2,508,508 
           14,399,501
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 5.3%
  2.00%, due 7/1/50 TBA (f)   8,000,000    8,257,364 
  2.50%, due 8/1/50 TBA (f)   5,250,000    5,499,491 
  3.00%, due 4/1/50   2,452,993    2,617,386 
  3.00%, due 5/1/50   2,176,037    2,343,760 
  3.00%, due 7/1/50   3,655,894    3,900,751 
  3.00%, due 8/1/50   2,482,132    2,679,544 
  3.00%, due 9/1/50   3,397,047    3,633,954 
  3.50%, due 1/1/47   2,626,417    2,820,321 
  3.50%, due 10/1/47   1,970,390    2,108,711 
  3.50%, due 11/1/49   3,419,239    3,661,147 
  3.50%, due 3/1/50   2,359,891    2,587,967 
  4.00%, due 4/1/50   4,171,877    4,486,862 
  4.50%, due 4/1/22   2,037    2,134 
  4.50%, due 4/1/23   3,005    3,158 
  4.50%, due 11/1/39   610,968    687,238 
  4.50%, due 8/1/40   96,503    108,548 
  4.50%, due 9/1/40   574,801    644,432 
  4.50%, due 9/1/40   92,380    103,964 
  4.50%, due 11/1/40   220,030    238,809 
  4.50%, due 7/1/41   133,628    150,041 
  4.50%, due 2/1/47   170,773    186,911 
  4.50%, due 10/1/47   188,690    205,569 
  5.00%, due 3/1/25   39,300    41,455 
  5.50%, due 9/1/21   7,272    7,331 
  6.00%, due 7/1/21   12,292    12,371 
  6.50%, due 11/1/35   4,003    4,479 
  6.50%, due 8/1/37   25,771    31,500 
           47,025,198
  Federal National Mortgage Association 2.1%
  0.50%, due 6/17/25   3,200,000    3,214,754 
  0.625%, due 4/22/25   2,240,000    2,270,347 
  0.875%, due 8/5/30   5,750,000    5,677,506 
  1.625%, due 1/7/25   625,000    658,608 
  1.75%, due 7/2/24   2,525,000    2,664,982 
  6.25%, due 5/15/29   3,000,000    4,341,753 
           18,827,950
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 6.9%
  2.50%, due 5/1/43   446,057    475,197 
  2.50%, due 5/1/50   3,159,222    3,316,476 
  2.50%, due 10/1/50   3,000,000    3,171,601 
  3.00%, due 5/1/48   3,552,954    3,748,470 
  3.00%, due 9/1/50   3,000,000    3,227,568 
  3.00%, due 9/1/50   1,599,299    1,698,640 
  3.50%, due 10/1/47   1,356,149    1,435,988 
  3.50%, due 8/1/49   5,055,172    5,537,559 
  3.50%, due 3/1/50   7,208,863    7,872,244 
  3.50%, due 9/1/50   6,982,028    7,760,908 
  4.00%, due 2/1/45   1,086,488    1,201,016 
  4.00%, due 6/1/46   1,739,464    1,916,760 
  4.00%, due 11/1/46   5,709,049    6,225,775 
  4.00%, due 4/1/47   5,732,493    6,271,600 
  4.00%, due 1/1/48   831,724    919,077 
  4.00%, due 7/1/48   2,007,201    2,190,549 
  4.50%, due 5/1/24   130,174    138,171 
  4.50%, due 11/1/35   129,468    142,600 
  4.50%, due 4/1/41   326,543    366,365 
  4.50%, due 5/1/41   500,906    563,146 
  4.50%, due 7/1/41   406,993    456,999 
  4.50%, due 9/1/41   123,462    138,966 
  4.50%, due 3/1/44   190,730    212,939 
  4.50%, due 8/1/44   982,187    1,102,715 
  4.50%, due 11/1/44   169,080    185,696 
  4.50%, due 3/1/46   76,901    84,011 
  4.50%, due 12/1/46   220,036    241,740 
  4.50%, due 2/1/47   46,587    50,482 
  4.50%, due 7/1/47   243,303    265,472 
  4.50%, due 2/1/48   157,126    170,578 
  5.00%, due 12/1/23   53,306    56,131 
  5.00%, due 12/1/23   14,029    14,787 
  5.50%, due 1/1/21   125    125 
  5.50%, due 12/1/21   1,283    1,306 
  5.50%, due 1/1/22   4,990    5,080 
  5.50%, due 2/1/22   256    261 
  6.50%, due 10/1/36   17,227    20,799 
  6.50%, due 10/1/36   12,435    14,134 
  6.50%, due 8/1/37   4,692    5,396 
  7.00%, due 9/1/37   38,962    47,041 
  7.00%, due 10/1/37   518    602 
  7.00%, due 11/1/37   5,932    7,095 
  7.50%, due 7/1/28   10,402    11,545 
           61,273,610
  Government National Mortgage Association (Mortgage Pass-Through Securities) 2.4%
  2.00%, due 5/1/50 TBA (f)   3,000,000    3,116,719 
  2.50%, due 6/1/50 TBA (f)   5,250,000    5,513,525 
  3.00%, due 8/20/50   2,994,854    3,202,955 
  3.50%, due 6/20/42   628,026    681,402 
  3.50%, due 8/20/43   863,274    935,542 
  3.50%, due 11/20/43   840,100    910,449 
  3.50%, due 4/20/45   578,451    617,494 
  3.50%, due 12/20/45   969,080    1,034,650 
  3.50%, due 2/20/46   452,747    486,651 
  3.50%, due 10/20/46   651,140    696,216 
  3.50%, due 11/20/46   754,037    801,240 
  3.50%, due 1/20/47   641,762    684,954 
  3.50%, due 5/20/47   935,806    993,486 
  4.00%, due 3/15/44   34,202    36,758 
  4.00%, due 7/15/44   268,394    290,120 
  4.00%, due 7/15/45   150,995    163,120 
  4.50%, due 6/15/39   712,006    792,541 
  4.50%, due 6/15/40   213,238    237,349 
           21,195,171
  Tennessee Valley Authority 0.3%
  5.25%, due 9/15/39   2,000,000    3,084,913 
             
  United States Treasury Bonds 4.8%
  1.25%, due 5/15/50   44,965,000    42,744,853 
  4.25%, due 5/15/39   350,000    537,647 
           43,282,500
  United States Treasury Notes 5.0%
  0.125%, due 8/15/23   3,615,000    3,612,176 
  0.25%, due 9/30/25   14,800,000    14,783,812 
  0.375%, due 7/31/27   5,200,000    5,177,656 
  0.625%, due 8/15/30   21,000,000    20,895,000 
           44,468,644
  Total U.S. Government & Federal Agencies
(Cost $334,429,276)
        340,177,136 
  Total Long-Term Bonds
(Cost $851,414,584)
        882,981,102 
             

  Short-Term Investment 5.7%          
  Repurchase Agreement 5.7%          
  Fixed Income Clearing Corp.
0.00%, dated 9/30/20
due 10/1/20
Proceeds at Maturity $51,106,245 (Collateralized by United States Treasury Notes with rates between 2.75% and 2.875% and a maturity dates between 2/15/28 and 5/15/28, with a Principal Amount of $44,460,700 and a Market Value of $52,128,398)
   51,106,245    51,106,245 
  Total Short-Term Investment
(Cost $51,106,245)
        51,106,245 
  Total Investments
(Cost $902,520,829)
   104.4%   934,087,347 
  Other Assets, Less Liabilities   (4.4)   (39,760,896)
  Net Assets   100.0%  $894,326,451 

 

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 September 30, 2020.
(c) Floating rate - Rate shown was the rate in effect as of September 30, 2020.
(d) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 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 September 30, 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 September 30, 2020, the total net market value of these securities was $22,387,099, which represented 2.5% 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 September 30, 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  344  December 2020  $75,999,283   $76,010,562   $11,279 
5-Year United States Treasury Note  96  December 2020   12,094,660    12,099,000    4,340 
United States Treasury Ultra Bond  99  December 2020   22,172,318    21,959,438    (212,880)
Total Long Contracts                   (197,261)
                      
Short Contracts                     
10-Year United States Treasury Note  (1)  December 2020   (139,560)   (139,531)   29 
10-Year United States Treasury Ultra Note  (167)  December 2020   (26,717,579)   (26,706,953)   10,626 
Total Short Contracts                   10,655 
Net Unrealized Depreciation                  $(186,606)

 

1.As of September 30, 2020, cash in the amount of $891,286 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 September 30, 2020.

 

The following abbreviations are used in the preceding pages:

LIBOR—London Interbank Offered Rate
REIT—Real Estate Investment Trust
TBA—To Be Announced

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $   $134,741,834   $   $134,741,834 
Corporate Bonds       333,000,937        333,000,937 
Foreign Government Bonds       2,365,546        2,365,546 
Mortgage-Backed Securities       67,469,780        67,469,780 
Municipal Bonds       5,225,869        5,225,869 
U.S. Government & Federal Agencies       340,177,136        340,177,136 
Total Long-Term Bonds       882,981,102        882,981,102 
Short-Term Investment                    
Repurchase Agreement       51,106,245        51,106,245 
Total Investments in Securities       934,087,347        934,087,347 
Other Financial Instruments                    
Futures Contracts (b)   26,274            26,274 
Total Investments in Securities and Other Financial
Instruments
  $26,274   $934,087,347   $   $934,113,621 

 

Liability Valuation Inputs

 

Other Financial Instruments                    
Futures Contracts (b)  $(212,880)  $   $   $(212,880)

 

(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 CBRE Global Infrastructure Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 99.4% †          
  Australia 3.8%          
  APA Group (Utilities)   25,713   $190,247 
  Atlas Arteria, Ltd. (Transportation)   179,251    779,318 
           969,565 
  Canada 4.7%          
  Fortis, Inc. (Utilities)   11,900    486,528 
  Pembina Pipeline Corp. (Midstream / Pipelines)   9,800    207,989 
  TC Energy Corp. (Midstream / Pipelines) (a)   11,700    491,179 
           1,185,696 
  France 4.0%          
  Vinci S.A. (Transportation)   11,960    1,002,889 
             
  Germany 1.3%          
  Fraport A.G. Frankfurt Airport Services Worldwide (Transportation) (b)   8,190    324,368 
             
  Hong Kong 1.2%          
  CK Infrastructure Holdings, Ltd. (Utilities)   61,991    289,156 
             
  Italy 8.4%          
  Atlantia S.p.A. (Transportation) (b)   23,915    376,565 
  Enel S.p.A. (Utilities)   122,844    1,068,403 
  Infrastrutture Wireless Italiane S.p.A (Communications)   21,521    238,193 
  Terna Rete Elettrica Nazionale S.p.A. (Utilities)   62,630    438,674 
           2,121,835 
  Japan 1.6%          
  Chubu Electric Power Co., Inc. (Utilities)   32,300    392,323 
             
  Mexico 1.7%          
  Grupo Aeroportuario del Centro Norte S.A.B. de C.V. (Transportation) (b)   27,700    127,003 
  Promotora Y Operadora de Infraestructura S.A.B. de C.V. (Transportation) (b)   44,500    312,968 
           439,971 
  New Zealand 1.0%          
  Infratil, Ltd. (Diversified Property Holdings)   72,882    240,593 
             
  Portugal 2.5%          
  EDP - Energias de Portugal S.A. (Utilities)   130,312    640,930 
             
  Singapore 1.1%          
  NetLink NBN Trust (Communications)   392,798    280,560 
             
  Spain 6.8%          
  Cellnex Telecom S.A. (Communications)   16,102    981,697 
  Ferrovial S.A. (Transportation)   9,703    236,058 
  Iberdrola S.A. (Utilities)   20,389    251,242 
  Red Electrica Corp. S.A. (Utilities)   13,692    257,092 
           1,726,089 
  United Kingdom 5.8%          
  National Grid PLC (Utilities)   73,269    841,240 
  United Utilities Group PLC (Utilities)   57,147    631,064 
            1,472,304  
  United States 55.5%          
  AES Corp. (Utilities)   28,600    517,946 
  Alliant Energy Corp. (Utilities)   12,900    666,285 
  Ameren Corp. (Utilities)   10,700    846,156 
  American Electric Power Co., Inc. (Utilities)   13,400    1,095,182 
  American Tower Corp. (Communications)   4,569    1,104,464 
  Atmos Energy Corp. (Utilities)   2,800    267,652 
  Cheniere Energy, Inc. (Midstream / Pipelines) (b)   13,100    606,137 
  CMS Energy Corp. (Utilities)   7,900    485,139 
  Crown Castle International Corp. (Communications)   6,954    1,157,841 
  Equinix, Inc. (Communications)   999    759,370 
  Essential Utilities, Inc. (Utilities)   19,200    772,800 
  Exelon Corp. (Utilities)   14,800    529,248 
  FirstEnergy Corp. (Utilities)   22,200    637,362 
  Kansas City Southern (Transportation)   2,000    361,660 
  Kinder Morgan, Inc. (Midstream / Pipelines)   34,200    421,686 
  NextEra Energy, Inc. (Utilities)   3,700    1,026,972 
  NiSource, Inc. (Utilities)   18,800    413,600 
  Norfolk Southern Corp. (Transportation)   3,100    663,369 
  Public Service Enterprise Group, Inc. (Utilities)   7,800    428,298 
  Sempra Energy (Utilities)   3,000    355,080 
  Union Pacific Corp. (Transportation)   4,500    885,915 
           14,002,162 
  Total Common Stocks
(Cost $25,698,469)
        25,088,441 
             
  Short-Term Investment 0.8%          
  Affiliated Investment Company 0.8%          
  United States 0.8%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)      216,578    216,578 
  Total Short-Term Investment
(Cost $216,578)
        216,578 
  Total Investments
(Cost $25,915,047)
   100.2%   25,305,019 
  Other Assets, Less Liabilities    (0.2)   (61,471)
  Net Assets    100.0%  $25,243,548 

 

Percentages indicated are based on Portfolio net assets.
(a) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $506,054. The Portfolio received non-cash collateral in the form of U.S. Treasury securities with a value of $532,025.  
(b) Non-income producing security.
(c) Current yield as of September 30, 2020.

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $25,088,441   $   $   $25,088,441 
Short-Term Investment                    
Affiliated Investment Company   216,578            216,578 
Total Investments in Securities  $25,305,019   $   $   $25,305,019 

 

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

 

 

 

 

MainStay VP Conservative Allocation Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Affiliated Investment Companies 95.8% †          
  Equity Funds 35.9%          
  IQ 50 Percent Hedged FTSE International ETF (a)   677,762   $13,480,686 
  IQ 500 International ETF (a)   509,962    12,538,895 
  IQ Candriam ESG International Equity ETF (a)   376,166    9,027,683 
  IQ Candriam ESG U.S. Equity ETF (a)   546,584    15,882,091 
  IQ Chaikin U.S. Large Cap ETF   446,696    11,224,220 
  IQ Chaikin U.S. Small Cap ETF   143,285    3,177,803 
  MainStay Epoch Capital Growth Fund Class I   31,751    464,195 
  MainStay Epoch International Choice Fund Class I   231,261    8,193,588 
  MainStay Epoch U.S. All Cap Fund Class R6   444,720    11,567,168 
  MainStay MacKay International Opportunities Fund Class I   1,178,293    7,859,217 
  MainStay MAP Equity Fund Class I   370,153    15,413,187 
  MainStay VP Emerging Markets Equity Portfolio Initial Class   1,160,726    11,397,518 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   887,944    12,828,746 
  MainStay VP MacKay Common Stock Portfolio Initial Class   60,771    1,684,038 
  MainStay VP MacKay Growth Portfolio Initial Class   323,461    12,571,070 
  MainStay VP MacKay International Equity Portfolio Initial Class   314,636    5,423,695 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class   832,718    10,518,140 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   431,920    28,108,696 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class   642,361    5,912,419 
  MainStay VP Small Cap Growth Portfolio Initial Class   958,985    14,185,016 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   1,010,025    10,867,975 
  MainStay VP Winslow Large Cap Growth Portfolio Initial Class   708,736    22,666,026 
  Total Equity Funds
(Cost $230,240,855)
        244,992,072 
             
  Fixed Income Funds 59.9%          
  IQ S&P High Yield Low Volatility Bond ETF (a)   275,590    6,827,742 
  MainStay MacKay Short Duration High Yield Fund Class I   5,330,139    50,636,323 
  MainStay VP Bond Portfolio Initial Class (a)   2,934,740    45,628,456 
  MainStay VP Floating Rate Portfolio Initial Class (a)   2,364,925    20,327,479 
  MainStay VP Indexed Bond Portfolio Initial Class (a)   24,492,027    277,869,395 
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   828,410    7,853,248 
  Total Fixed Income Funds
(Cost $379,102,169)
        409,142,643 
  Total Affiliated Investment Companies
(Cost $609,343,024)
        654,134,715 
             
  Short-Term Investment 4.2%          
  Affiliated Investment Company 4.2%          
  MainStay U.S. Government Liquidity Fund, 0.02% (b)   28,773,761    28,773,761 
  Total Short-Term Investment
(Cost $28,773,761)
        28,773,761 
  Total Investments
(Cost $638,116,785)
   100.0%   682,908,476 
  Other Assets, Less Liabilities   (0.0)‡   (214,538)
  Net Assets  100.0%  $682,693,938 

 

Percentages indicated are based on Portfolio net assets.
Less than one-tenth of a percent.
(a) As of September 30, 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 September 30, 2020.

 

Swap Contracts      

 

Open OTC total return equity swap contracts as of September 31, 2020 were as follows1:  

 

Swap
Counterparty
  Reference Obligation 

Floating Rate 2

  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  $10,329   $ 
Citigroup  iShares MSCI EAFE ETF  1 month LIBOR BBA plus 0.40%  12/01/2020  Monthly   10,434     
Citigroup  iShares MSCI Emerging Markets ETF  1 month LIBOR BBA minus 0.65%  12/01/2020  Monthly   (10,405)    
Citigroup  Russell 1000 Value Total Return Index  1 month LIBOR BBA plus 0.318%  12/07/2020  Monthly   24,739     
Citigroup  Russell 2000 Total Return Index  1 month LIBOR BBA minus 0.011%  12/07/2020  Monthly   (12,874)    
Citigroup  Russell Midcap Total Return Index  1 month LIBOR BBA minus 0.210%  12/07/2020  Monthly   (12,838)    
Citigroup  S&P 500 Total Return Index  1 month LIBOR BBA plus 0.25%  10/26/2020  Monthly   1,346     
Citigroup  VanEck Vectors Gold Miners ETF  1 month LIBOR BBA plus 0.50%  12/01/2020  Monthly   10,730     

 

1 As of September 30, 2020, cash in the amount of $1,000,000 was pledged from brokers for OTC swap contracts.
2 Fund pays the floating rate and receives the total return of the reference entity.
3 Reflects the value at reset date as of September 30, 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 September 30, 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  $244,992,072   $   $   $244,992,072 
Fixed Income Funds   409,142,643            409,142,643 
Short-Term Investment   28,773,761            28,773,761 
Total Investments in Securities  $682,908,476   $   $   $682,908,476 

 

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

 

 

 

MainStay VP Emerging Markets Equity Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 93.6% †          
  Argentina 0.3%          
  Grupo Financiero Galicia S.A., ADR (Banks) (a)   10,000   $72,400 
  MercadoLibre, Inc. (Internet & Direct Marketing Retail) (a)   720    779,386 
           851,786 
  Brazil 4.5%          
  Afya, Ltd., Class A (Diversified Consumer Services) (a)   27,000    735,480 
  B3 S.A. - Brasil Bolsa Balcao (Capital Markets)   97,400    954,072 
  Banco BTG Pactual S.A. (Capital Markets)   76,000    985,879 
  Banco do Brasil S.A. (Banks)   195,700    1,032,183 
  Camil Alimentos S.A. (Food Products)   125,800    279,113 
  Cielo S.A. (IT Services)   288,400    201,822 
  Cosan S.A. (Oil, Gas & Consumable Fuels)   98,000    1,192,390 
  Enauta Participacoes S.A. (Oil, Gas & Consumable Fuels)   99,400    171,334 
  Equatorial Energia S.A. (Electric Utilities)   147,000    554,401 
  Iochpe Maxion S.A. (Machinery)   152,000    370,804 
  JBS S.A. (Food Products)   32,600    119,988 
  Localiza Rent a Car S.A. (Road & Rail)   104,000    1,049,463 
  Magazine Luiza S.A. (Multiline Retail)   77,100    1,224,616 
  Marfrig Global Foods S.A. (Food Products) (a)   145,300    394,563 
  Notre Dame Intermedica Participacoes S.A. (Health Care Providers & Services)   74,000    857,287 
  Petrobras Distribuidora S.A. (Specialty Retail)   83,900    301,035 
  Petroleo Brasileiro S.A. (Oil, Gas & Consumable Fuels)   154,500    543,896 
  Smiles Fidelidade S.A. (Media)   146,300    363,151 
  Vale S.A. (Metals & Mining)   143,575    1,511,195 
  WEG S.A. (Electrical Equipment)   141,200    1,651,888 
  XP, Inc, Class A (Capital Markets) (a)   23,000    958,870 
           15,453,430 
  Canada 0.2%          
  Pan American Silver Corp. (Metals & Mining)   26,000    835,900 
             
  Chile 0.4%          
  CAP S.A. (Metals & Mining) (a)   50,161    422,659 
  Sociedad Quimica y Minera de Chile S.A., Sponsored ADR (Chemicals)   31,000    1,005,020 
           1,427,679 
  China 41.0%          
  21Vianet Group, Inc., ADR (IT Services) (a)   16,700    386,772 
  360 DigiTech, Inc., ADR (Consumer Finance) (a)   32,200    384,468 
  A-Living Services Co., Ltd., Class H (Commercial Services & Supplies) (b)   34,000    171,973 
  Agricultural Bank of China, Ltd., Class H (Banks)   1,762,000    550,195 
  Aier Eye Hospital Group Co., Ltd., Class A (Health Care Providers & Services)   126,170    952,583 
  Air China, Ltd., Class H (Airlines)   760,000    497,184 
  Alibaba Group Holding, Ltd. (Internet & Direct Marketing Retail) (a)   106,000    3,769,472 
  Alibaba Group Holding, Ltd., Sponsored ADR (Internet & Direct Marketing Retail) (a)   65,019    19,114,286 
  Alibaba Health Information Technology, Ltd. (Health Care Technology) (a)   170,000    414,139 
  Anhui Conch Cement Co., Ltd., Class H (Construction Materials)   120,000    825,285 
  AsiaInfo Technologies, Ltd. (Software) (b)   153,200    239,979 
  Baidu, Inc., Sponsored ADR (Interactive Media & Services) (a)   14,000    1,772,260 
  Bank of China, Ltd., Class H (Banks)   4,069,000    1,260,069 
  Bank of Ningbo Co., Ltd., Class A (Banks)   289,916    1,340,052 
  Baozun, Inc., Sponsored ADR (Internet & Direct Marketing Retail) (a)(c)   14,000    454,860 
  Bilibili, Inc., Sponsored ADR (Entertainment) (a)   20,800    865,280 
  BYD Co., Ltd., Class H (Automobiles)   32,000    501,261 
  Central China Real Estate, Ltd. (Real Estate)   148,000    67,793 
  China Aoyuan Group, Ltd. (Real Estate Management & Development)   420,000    428,668 
  China Construction Bank Corp., Class H (Banks)   7,544,000    4,886,533 
  China Galaxy Securities Co., Ltd., Class H (Capital Markets)   1,005,500    564,374 
  China Huarong Asset Management Co., Ltd., Class H (Capital Markets) (b)   160,000    16,929 
  China Lesso Group Holdings, Ltd. (Building Products)   621,000    1,115,389 
  China Life Insurance Co., Ltd., Class H (Insurance)   645,000    1,443,126 
  China Lumena New Materials Corp. (Chemicals) (a)(d)(e)(f)   6,500    0 
  China Medical System Holdings, Ltd. (Pharmaceuticals)   368,000    405,035 
  China Mengniu Dairy Co., Ltd. (Food Products)   230,000    1,077,283 
  China Merchants Bank Co., Ltd., Class H (Banks)   448,000    2,112,812 
  China Minsheng Banking Corp., Ltd., Class H (Banks)   1,387,500    726,866 
  China Mobile, Ltd. (Wireless Telecommunication Services)   80,000    510,448 
  China National Building Material Co., Ltd., Class H (Construction Materials)   1,212,000    1,529,456 
  China Pacific Insurance Group Co., Ltd., Class H (Insurance)   144,400    408,044 
  China Railway Group, Ltd., Class H (Construction & Engineering)   620,000    291,198 
  China Resources Pharmaceutical Group, Ltd. (Pharmaceuticals) (b)   102,000    52,382 
  China Shineway Pharmaceutical Group, Ltd. (Pharmaceuticals)   29,000    18,186 
  China Tourism Group Duty Free Corp., Ltd., Class A (Specialty Retail)   31,000    1,014,762 
  China Traditional Chinese Medicine Holdings Co., Ltd. (Pharmaceuticals)   340,000    142,141 
  Chlitina Holding, Ltd. (Personal Products)   33,000    206,805 
  CIFI Holdings Group Co., Ltd. (Real Estate Management & Development)   1,000,000    735,479 
  CNOOC, Ltd. (Oil, Gas & Consumable Fuels)   600,000    576,770 
  Consun Pharmaceutical Group, Ltd. (Pharmaceuticals)   147,000    63,352 
  Contemporary Amperex Technology Co., Ltd., Class A (Electrical Equipment)   32,406    995,409 
  Country Garden Services Holdings Co., Ltd. (Commercial Services & Supplies)   194,000    1,247,850 
  Daqo New Energy Corp., ADR (Semiconductors & Semiconductor Equipment) (a)   4,000    540,960 
  East Money Information Co., Ltd., Class A (Capital Markets)   230,238    811,002 
  ENN Energy Holdings, Ltd. (Gas Utilities)   94,000    1,023,684 
  Far East Horizon, Ltd. (Diversified Financial Services)   1,020,000    826,524 
  FinVolution Group (Consumer Finance) (c)   13,900    25,576 
  Geely Automobile Holdings, Ltd. (Automobiles)   419,962    834,500 
  Great Wall Motor Co., Ltd., Class H (Automobiles)   358,500    454,714 
  Hangzhou Tigermed Consulting Co., Ltd., Class A (Life Sciences Tools & Services)   48,919    739,467 
  Hengli Petrochemical Co., Ltd., Class A (Chemicals)   389,936    1,062,639 
  Hundsun Technologies, Inc., Class A (Software)   64,904    939,548 
  Industrial & Commercial Bank of China, Ltd., Class H (Banks)   1,619,000    839,786 
  JD.com, Inc, Class A (Internet & Direct Marketing Retail) (a)   21,000    796,098 
  JD.com, Inc., ADR (Internet & Direct Marketing Retail) (a)   72,752    5,646,283 
  JOYY, Inc. (Interactive Media & Services)   7,800    629,226 
  Kweichow Moutai Co., Ltd., Class A (Beverages)   2,720    666,361 
  KWG Group Holdings, Ltd. (Real Estate Management & Development)   134,500    229,429 
  Legend Holdings Corp., Class H (Technology Hardware, Storage & Peripherals) (b)(c)   449,800    546,721 
  Lenovo Group, Ltd. (Technology Hardware, Storage & Peripherals)   1,748,000    1,152,545 
  Li Ning Co., Ltd. (Textiles, Apparel & Luxury Goods)   210,000    975,478 
  Longfor Group Holdings, Ltd. (Real Estate Management & Development) (b)   260,000    1,459,345 
  Luxshare Precision Industry Co., Ltd., Class A (Electronic Equipment, Instruments & Components)   160,711    1,348,108 
  Luye Pharma Group, Ltd. (Pharmaceuticals) (b)(c)   13,500    7,839 
  Meituan Dianping, Class B (Internet & Direct Marketing Retail) (a)   221,450    6,909,195 
  MMG, Ltd. (Metals & Mining) (a)(c)   3,000,000    747,092 
  NetEase, Inc. (Entertainment)   5,000    88,967 
  NetEase, Inc., ADR (Entertainment)   6,200    2,818,954 
  New Oriental Education & Technology Group, Inc., Sponsored ADR (Diversified Consumer Services) (a)   6,700    1,001,650 
  NIO, Inc., ADR (Automobiles) (a)   17,200    364,984 
  Offcn Education Technology Co., Ltd., Class A (Diversified Consumer Services)   190,000    910,302 
  PICC Property & Casualty Co., Ltd., Class H (Insurance)   248,000    172,479 
  Pinduoduo, Inc., ADR (Internet & Direct Marketing Retail) (a)   26,437    1,960,304 
  Ping An Insurance Group Co. of China, Ltd., Class H (Insurance)   401,500    4,118,587 
  Powerlong Real Estate Holdings, Ltd. (Real Estate)   549,000    411,570 
  Sany Heavy Industry Co., Ltd., Class A (Machinery)   380,906    1,392,058 
  Seazen Group, Ltd. (Real Estate Management & Development)   1,138,000    966,192 
  Shandong Linglong Tyre Co., Ltd., Class A (Auto Components)   239,900    1,028,555 
  Shandong Xinhua Pharmaceutical Co., Ltd., Class H (Pharmaceuticals)   56,000    27,313 
  Shanghai Pharmaceuticals Holding Co., Ltd., Class H (Health Care Providers & Services)   386,200    645,822 
  Shenzhen Inovance Technology Co., Ltd., Class A (Machinery)   144,000    1,224,209 
  Shenzhen Mindray Bio-Medical Electronics Co., Ltd., Class A (Health Care Equipment & Supplies)   18,200    929,962 
  Shimao Group Holdings, Ltd. (Real Estate)   547,000    2,258,566 
  Silergy Corp. (Semiconductors & Semiconductor Equipment)   27,800    1,636,593 
  Sinopharm Group Co., Ltd., Class H (Health Care Providers & Services)   352,400    739,353 
  Sinotruk Hong Kong, Ltd. (Machinery)   399,000    1,022,463 
  TAL Education Group, ADR (Diversified Consumer Services) (a)   20,800    1,581,632 
  Tencent Holdings, Ltd. (Interactive Media & Services)   268,300    17,707,686 
  Tingyi Cayman Islands Holding Corp. (Food Products)   596,000    1,050,491 
  Vipshop Holdings, Ltd., ADR (Internet & Direct Marketing Retail) (a)   56,300    880,532 
  Weichai Power Co., Ltd., Class H (Machinery)   250,000    500,642 
  Weiqiao Textile Co., Ltd., Class H (Textiles, Apparel & Luxury Goods)   48,500    11,077 
  Wuxi Biologics Cayman, Inc. (Life Sciences Tools & Services) (a)(b)   69,000    1,679,138 
  Xiaomi Corp., Class B (Technology Hardware, Storage & Peripherals) (a)(b)   520,000    1,372,120 
  Xinyi Solar Holdings, Ltd. (Semiconductors & Semiconductor Equipment)   920,000    1,457,746 
  Yantai Jereh Oilfield Services Group Co., Ltd., Class A (Energy Equipment & Services)   194,948    852,429 
  Yealink Network Technology Corp., Ltd., Class A (Communications Equipment)   36,000    318,791 
  Yihai International Holding, Ltd. (Food Products)   80,000    1,247,992 
  Yonyou Network Technology Co., Ltd., Class A (Software)   104,215    584,685 
  Yuexiu Property Co., Ltd. (Real Estate Management & Development)   2,880,000    561,132 
  Yum China Holdings, Inc. (Hotels, Restaurants & Leisure)   9,300    492,435 
  Zhejiang Dingli Machinery Co., Ltd., Class A (Machinery)   69,994    1,018,986 
  Zhongsheng Group Holdings, Ltd. (Specialty Retail)   160,000    998,187 
  ZTO Express Cayman, Inc., ADR (Air Freight & Logistics)   4,700    140,624 
           139,524,536 
  Colombia 0.1%          
  Corp. Financiera Colombiana S.A. (Diversified Financial Services) (a)   9,604    66,754 
  Grupo Argos S.A. (Construction Materials)   8,889    26,943 
  Grupo Energia Bogota S.A. ESP (Gas Utilities)   64,114    41,045 
  Interconexion Electrica S.A. E.S.P. (Electric Utilities)   31,413    167,284 
           302,026 
  Germany 0.1%          
  CIMC Vehicles Group Co., Ltd., Class H (Machinery) (b)   24,500    22,951 
  Laurus Labs, Ltd. (Pharmaceuticals) (b)   39,410    153,035 
           175,986 
  Greece 0.1%          
  FF Group (Textiles, Apparel & Luxury Goods) (a)(d)(e)(f)   19,000    53,464 
  Hellenic Telecommunications Organization S.A. (Diversified Telecommunication Services)   10,232    147,677 
           201,141 
  Hong Kong 1.5%          
  China Metal Recycling Holdings, Ltd. (Metals & Mining) (a)(d)(e)(f)   75,000    0 
  CSPC Pharmaceutical Group, Ltd. (Pharmaceuticals)   264,000    510,964 
  Hong Kong Exchanges & Clearing, Ltd. (Capital Markets)   18,000    840,304 
  Kingboard Laminates Holdings, Ltd. (Electronic Equipment, Instruments & Components)   383,500    524,526 
  Nine Dragons Paper Holdings, Ltd. (Paper & Forest Products)   980,000    1,229,102 
  Techtronic Industries Co., Ltd. (Machinery)   66,000    865,233 
  Xinyi Glass Holdings, Ltd. (Auto Components)   530,000    1,065,464 
           5,035,593 
  India 8.5%          
  Ambuja Cements, Ltd. (Construction Materials)   16,206    47,610 
  Asian Paints, Ltd. (Chemicals)   35,000    940,038 
  Aurobindo Pharma, Ltd. (Pharmaceuticals)   40,606    437,211 
  Bajaj Auto, Ltd. (Automobiles)   1,973    76,962 
  Bajaj Finance, Ltd. (Consumer Finance)   24,000    1,062,076 
  Bayer CropScience, Ltd. (Chemicals)   749    59,388 
  Bharti Infratel, Ltd. (Diversified Telecommunication Services)   7,761    18,330 
  Biocon, Ltd. (Biotechnology) (a)   176,716    1,065,853 
  Britannia Industries, Ltd. (Food Products)   8,514    437,990 
  Cipla, Ltd. (Pharmaceuticals)   44,617    468,968 
  Divi's Laboratories, Ltd. (Life Sciences Tools & Services)   17,852    738,470 
  Dr. Reddy's Laboratories, Ltd. (Pharmaceuticals)   2,694    189,215 
  HCL Technologies, Ltd. (IT Services)   42,058    461,737 
  HDFC Bank, Ltd. (Banks) (a)   98,000    1,431,879 
  HEG, Ltd. (Electrical Equipment)   29,031    286,454 
  Hero MotoCorp, Ltd. (Automobiles)   27,351    1,166,402 
  Hindalco Industries, Ltd. (Metals & Mining)   27,457    64,921 
  Hindustan Petroleum Corp., Ltd. (Oil, Gas & Consumable Fuels)   14,213    34,579 
  Hindustan Unilever, Ltd. (Household Products)   6,158    172,354 
  Housing Development Finance Corp., Ltd. (Thrifts & Mortgage Finance)   23,556    553,301 
  ICICI Bank, Ltd. (Banks) (a)   243,874    1,168,467 
  ICICI Lombard General Insurance Co., Ltd. (Insurance) (b)   42,000    734,317 
  ICICI Securities, Ltd. (Capital Markets) (b)   1,369    8,624 
  Indiabulls Housing Finance, Ltd. (Thrifts & Mortgage Finance)   113,831    241,146 
  Info Edge India, Ltd. (Interactive Media & Services)   26,000    1,276,407 
  Infosys, Ltd. (IT Services)   196,253    2,675,936 
  Ipca Laboratories, Ltd. (Pharmaceuticals)   10,603    312,428 
  JSW Steel, Ltd. (Metals & Mining)   300,000    1,119,816 
  Jubilant Foodworks, Ltd. (Hotels, Restaurants & Leisure)   33,000    1,049,756 
  LIC Housing Finance, Ltd. (Thrifts & Mortgage Finance)   10,646    39,638 
  Motherson Sumi Systems, Ltd. (Auto Components)   22,091    34,193 
  Nestle India, Ltd. (Food Products)   77    16,618 
  NMDC, Ltd. (Metals & Mining)   141,245    157,173 
  NTPC, Ltd. (Independent Power & Renewable Electricity Producers)   55,374    63,907 
  Oil & Natural Gas Corp., Ltd. (Oil, Gas & Consumable Fuels)   59,148    55,396 
  Oracle Financial Services Software, Ltd. (Software)   7,069    294,229 
  Piramal Enterprises, Ltd. (Pharmaceuticals)   2,088    35,336 
  Power Grid Corp. of India, Ltd. (Electric Utilities)   42,697    94,098 
  REC, Ltd. (Diversified Financial Services)   285,832    382,956 
  Reliance Industries, Ltd. (Oil, Gas & Consumable Fuels)   236,962    7,033,495 
  State Bank of India (Banks) (a)   46,021    115,520 
  Tata Consultancy Services, Ltd. (IT Services)   21,000    706,736 
  Tata Consumer Products, Ltd. (Food Products)   140,000    946,869 
  Tech Mahindra, Ltd. (IT Services)   10,897    116,613 
  Torrent Pharmaceuticals, Ltd. (Pharmaceuticals)   1,193    45,275 
  UPL, Ltd. (Chemicals)   62,151    422,244 
  Vedanta, Ltd. (Metals & Mining)   43,339    80,769 
  Wipro, Ltd. (IT Services)   10,051    42,674 
           28,984,374 
  Indonesia 0.8%          
  PT Bank Central Asia Tbk (Banks)   640,000    1,165,591 
  PT Barito Pacific Tbk (Chemicals) (a)   9,663,400    513,043 
  PT Gudang Garam Tbk (Tobacco) (a)   5,500    14,804 
  PT Indah Kiat Pulp & Paper Corp. Tbk (Paper & Forest Products)   920,100    554,966 
  PT Indofood Sukses Makmur Tbk (Food Products)   1,168,800    561,621 
           2,810,025 
  Malaysia 1.0%          
  AMMB Holdings BHD (Banks)   200,700    144,892 
  Dialog Group BHD (Energy Equipment & Services)   1,020,000    935,195 
  Hartalega Holdings BHD (Health Care Equipment & Supplies)   188,600    735,247 
  Kossan Rubber Industries (Health Care Equipment & Supplies)   38,900    128,060 
  MISC BHD (Marine)   170,700    308,086 
  Sime Darby BHD (Industrial Conglomerates)   776,600    465,343 
  Top Glove Corp. BHD (Health Care Equipment & Supplies)   306,000    611,190 
           3,328,013 
  Mexico 0.6%          
  Aleatica, S.A.B. de C.V. (Transportation Infrastructure)   41,500    37,293 
  Alpek S.A.B. de C.V. (Chemicals)   347,700    243,263 
  Alsea S.A.B. de C.V. (Hotels, Restaurants & Leisure) (a)(c)   480,000    456,957 
  Bolsa Mexicana De Valores S.A.B de C.V. (Capital Markets)   64,900    146,404 
  Grupo Bimbo S.A.B. de C.V., Series A (Food Products)   360,600    670,922 
  Grupo Comercial Chedraui  S.A. de C.V. (Food & Staples Retailing)   20,000    21,772 
  Grupo Mexico S.A.B. de C.V., Series B (Metals & Mining)   89,700    228,312 
  La Comer S.A.B de C.V. (Food & Staples Retailing)   63,400    100,355 
  Macquarie Mexico Real Estate Management S.A. de C.V. (Equity Real Estate Investment Trusts) (b)   67,500    82,667 
  PLA Administradora Industrial, S. de R.L. de C.V. (Equity Real Estate Investment Trusts)   84,500    117,436 
           2,105,381 
  Peru 0.5%          
  Southern Copper Corp. (Metals & Mining)   39,000    1,765,530 
             
  Philippines 0.2%          
  Globe Telecom, Inc. (Wireless Telecommunication Services)   8,046    345,208 
  PLDT, Inc. (Wireless Telecommunication Services)   12,570    347,179 
  Puregold Price Club, Inc. (Food & Staples Retailing)   143,210    144,746 
           837,133 
             
  Poland 1.3%          
  Asseco Poland S.A. (Software)   24,946    448,530 
  CCC S.A. (Textiles, Apparel & Luxury Goods) (a)   7,000    85,476 
  CD Projekt S.A. (Entertainment) (a)   8,200    887,587 
  Cyfrowy Polsat S.A. (Media) (a)   32,651    228,238 
  Dino Polska S.A. (Food & Staples Retailing) (a)(b)   19,200    1,131,515 
  Enea S.A. (Electric Utilities) (a)   119,478    176,185 
  PLAY Communications S.A. (Wireless Telecommunication Services) (b)   14,680    146,595 
  Polskie Gornictwo Naftowe i Gazownictwo S.A. (Oil, Gas & Consumable Fuels)   694,833    907,414 
  Ten Square Games S.A. (Entertainment)   2,921    432,248 
           4,443,788 
  Republic of Korea 12.0%          
  BNK Financial Group, Inc. (Banks)   87,817    379,952 
  Celltrion, Inc. (Biotechnology) (a)   3,011    662,960 
  CJ CheilJedang Corp. (Food Products)   3,167    1,069,658 
  Daelim Industrial Co., Ltd. (Construction & Engineering)   10,172    673,205 
  DB HiTek Co., Ltd. (Semiconductors & Semiconductor Equipment)   13,224    424,027 
  DB Insurance Co., Ltd. (Insurance)   4,863    187,950 
  DoubleUGames Co., Ltd. (Hotels, Restaurants & Leisure)   6,954    442,987 
  GS Engineering & Construction Corp. (Construction & Engineering)   32,726    675,787 
  Hana Financial Group, Inc. (Banks)   22,498    540,568 
  Hyundai Marine & Fire Insurance Co., Ltd. (Insurance)   70,000    1,337,751 
  Hyundai Mobis Co., Ltd. (Auto Components)   6,200    1,219,324 
  Industrial Bank of Korea (Banks)   20,462    140,146 
  Kakao Corp. (Interactive Media & Services)   4,700    1,464,857 
  KB Financial Group, Inc. (Banks)   78,890    2,532,980 
  Kia Motors Corp. (Automobiles)   58,255    2,336,177 
  KIWOOM Securities Co., Ltd. (Capital Markets)   10,000    850,791 
  Kolmar BNH Co., Ltd. (Personal Products)   8,129    424,001 
  Korea Petrochemical Industry Co., Ltd. (Chemicals)   3,332    474,372 
  KT Skylife Co., Ltd. (Media)   33,414    266,283 
  LG Chem, Ltd. (Chemicals)   2,900    1,621,719 
  LOTTE Himart Co., Ltd. (Specialty Retail)   6,246    161,825 
  NAVER Corp. (Interactive Media & Services)   8,751    2,218,616 
  NCSoft Corp. (Entertainment)   640    441,077 
  NH Investment & Securities Co., Ltd. (Capital Markets)   49,371    385,849 
  Orion Corp. (Food Products)   5,600    627,277 
  Samsung Biologics Co., Ltd. (Life Sciences Tools & Services) (a)(b)   1,083    638,965 
  Samsung C&T Corp. (Industrial Conglomerates)   10,000    897,820 
  Samsung Electro-Mechanics Co., Ltd. (Electronic Equipment, Instruments & Components)   4,600    546,729 
  Samsung Electronics Co., Ltd. (Technology Hardware, Storage & Peripherals)   260,533    12,965,387 
  Samsung Engineering Co., Ltd. (Construction & Engineering) (a)   42,000    378,880 
  Samsung SDI Co., Ltd. (Electronic Equipment, Instruments & Components)   3,400    1,260,282 
  Seegene, Inc. (Biotechnology)   1,629    362,712 
  Shinhan Financial Group Co., Ltd. (Banks)   18,403    434,308 
  SK Hynix, Inc. (Semiconductors & Semiconductor Equipment)   19,182    1,377,758 
  Tongyang Life Insurance Co., Ltd. (Insurance)   38,341    100,483 
  Woori Financial Group, Inc. (Banks)   24,399    179,003 
           40,702,466 
  Russia 3.5%          
  Gazprom PAO, Sponsored ADR (Oil, Gas & Consumable Fuels)   165,209    720,311 
  MMC Norilsk Nickel PJSC (Metals & Mining)   3,500    847,063 
  MMC Norilsk Nickel PJSC, ADR (Metals & Mining)   55,354    1,336,799 
  PhosAgro PJSC, GDR (Chemicals)   14,483    174,375 
  Polymetal International PLC (Metals & Mining)   65,092    1,419,035 
  Polyus PJSC (Metals & Mining) (a)   7,000    1,469,951 
  QIWI PLC, Sponsored ADR (IT Services)   31,000    537,850 
  Sberbank of Russia PJSC, Sponsored ADR (Banks) (a)   159,577    1,862,264 
  Surgutneftegas PJSC, Sponsored ADR (Oil, Gas & Consumable Fuels)   61,641    273,994 
  Tatneft PJSC (Oil, Gas & Consumable Fuels)   80,000    477,292 
  TCS Group Holding PLC (Banks)   50,000    1,322,500 
  Yandex N.V., Class A (Interactive Media & Services) (a)   23,000    1,500,750 
           11,942,184 
  Singapore 0.1%          
  China Yuchai International, Ltd. (Machinery)   7,300    131,400 
  IGG, Inc. (Entertainment)   117,000    133,304 
           264,704 
             
  South Africa 3.6%          
  Absa Group, Ltd. (Banks)   82,132    437,972 
  AngloGold Ashanti, Ltd. (Metals & Mining)   59,703    1,543,724 
  DataTec, Ltd. (Electronic Equipment, Instruments & Components) (a)   103,958    136,976 
  DRDGOLD, Ltd. (Metals & Mining) (c)   252,931    297,024 
  Gold Fields, Ltd. (Metals & Mining)   43,945    533,322 
  Harmony Gold Mining Co., Ltd. (Metals & Mining) (a)   66,774    355,357 
  Impala Platinum Holdings, Ltd. (Metals & Mining)   109,067    947,222 
  Kumba Iron Ore, Ltd. (Metals & Mining)   29,000    858,123 
  Motus Holdings, Ltd. (Specialty Retail)   12,633    32,657 
  MTN Group, Ltd. (Wireless Telecommunication Services) (c)   219,825    736,775 
  Naspers, Ltd. (Internet & Direct Marketing Retail)   30,354    5,364,050 
  Oceana Group, Ltd. (Food Products)   5,542    20,514 
  Royal Bafokeng Platinum, Ltd. (Metals & Mining) (a)   28,181    116,981 
  Shoprite Holdings, Ltd. (Food & Staples Retailing) (c)   43,950    358,553 
  Sibanye Stillwater, Ltd. (Metals & Mining) (c)   146,816    406,001 
  Telkom S.A. SOC, Ltd. (Diversified Telecommunication Services)   30,415    47,629 
           12,192,880 
  Spain 0.0% ‡          
  Banco Santander S.A. (Banks) (a)   15,419    28,598 
             
  Taiwan 11.5%          
  Accton Technology Corp. (Communications Equipment)   106,000    814,343 
  Airtac International Group (Machinery)   99,000    2,225,295 
  Alchip Technologies, Ltd. (Semiconductors & Semiconductor Equipment)   27,000    454,475 
  Asia Cement Corp. (Construction Materials)   250,000    358,228 
  Asustek Computer, Inc. (Technology Hardware, Storage & Peripherals)   127,000    1,111,612 
  Cathay Financial Holding Co., Ltd. (Insurance)   710,000    946,274 
  Chailease Holding Co., Ltd. (Diversified Financial Services)   390,000    1,764,036 
  CTBC Financial Holding Co., Ltd. (Banks)   1,042,000    661,998 
  Delta Electronics, Inc. (Electronic Equipment, Instruments & Components)   188,000    1,226,849 
  E.Sun Financial Holding Co., Ltd. (Banks)   1,760,000    1,555,694 
  Fubon Financial Holding Co., Ltd. (Insurance)   350,000    506,353 
  Globalwafers Co., Ltd. (Semiconductors & Semiconductor Equipment)   35,000    464,056 
  Hon Hai Precision Industry Co., Ltd. (Electronic Equipment, Instruments & Components)   306,892    820,159 
  International Games System Co., Ltd. (Entertainment)   16,000    425,937 
  MediaTek, Inc. (Semiconductors & Semiconductor Equipment)   92,000    1,928,182 
  Pegatron Corp. (Technology Hardware, Storage & Peripherals)   487,000    1,072,806 
  Quanta Computer, Inc. (Technology Hardware, Storage & Peripherals)   340,000    887,508 
  Realtek Semiconductor Corp. (Semiconductors & Semiconductor Equipment)   80,000    1,017,885 
  Ruentex Industries, Ltd. (Textiles, Apparel & Luxury Goods)   83,000    185,419 
  Synnex Technology International Corp. (Electronic Equipment, Instruments & Components)   502,000    715,855 
  Taiwan Semiconductor Manufacturing Co., Ltd. (Semiconductors & Semiconductor Equipment)   1,203,000    17,985,602 
  United Microelectronics Corp. (Semiconductors & Semiconductor Equipment)   1,398,000    1,378,113 
  Wiwynn Corp. (Technology Hardware, Storage & Peripherals)   22,000    496,029 
           39,002,708 
  Thailand 1.1%          
  Bangkok Bank PCL, NVDR (Banks)   36,600    110,883 
  Charoen Pokphand Foods PCL, NVDR (Food Products)   979,000    865,073 
  Com7 PCL, NVDR (Specialty Retail)   312,000    388,923 
  PTT Exploration & Production PCL, NVDR (Oil, Gas & Consumable Fuels)   342,100    852,888 
  PTT PCL, NVDR (Oil, Gas & Consumable Fuels)   205,900    207,931 
  Siam Cement PCL, NVDR (Construction Materials)   51,300    521,297 
  Srisawad Corp. PCL, NVDR (Consumer Finance)   440,000    676,923 
           3,623,918 
  Turkey 0.4%          
  Anadolu Efes Biracilik Ve Malt Sanayii A/S (Beverages)   125,931    337,218 
  Enerjisa Enerji A/S (Electric Utilities) (b)   391,110    451,743 
  Haci Omer Sabanci Holding A/S (Diversified Financial Services)   453,789    488,884 
           1,277,845 
  United States 0.3%          
  EPAM Systems, Inc. (IT Services) (a)   2,600    840,528 
  Trip.com Group, Ltd., ADR (Internet & Direct Marketing Retail) (a)   11,200    348,768 
           1,189,296 
  Total Common Stocks
(Cost $264,607,222)
        318,306,920 
             
  Exchange-Traded Funds 2.1%          
  United States 2.1%          
  iShares MSCI Emerging Markets ETF (Capital Markets)   11,356    500,686 
  iShares MSCI Saudi Arabia ETF (Capital Markets)   59,696    1,772,971 
  Xtrackers Harvest CSI 300 China A-Shares ETF (Capital Markets) (c)   114,926    3,962,648 
  iShares Core MSCI Emerging Markets ETF (Capital Markets)   17,592    928,858 
  Total Exchange-Traded Funds
(Cost $6,558,411)
        7,165,163 
             
  Preferred Stocks 2.2%          
  Brazil 0.7%          
  Centrais Eletricas Brasileiras S.A.
5.683%  Class B (Electric Utilities)
   125,200    695,345 
  Itau Unibanco Holding S.A.
0.00% (Banks) (a)
   111,500    446,723 
  Petroleo Brasileiro S.A.
3.09% (Oil, Gas & Consumable Fuels)
   350,500    1,223,901 
           2,365,969 
  Republic of Korea 1.5%          
  Hyundai Motor Co.
1.30% (Automobiles)
   8,631    650,923 
  Hyundai Motor Co.
1.43% (Automobiles)
   9,784    706,088 
  LG Chem, Ltd.
0.608% (Chemicals)
   2,853    781,861 
  LG Household & Health Care, Ltd.
1.18% (Personal Products)
   110    66,592 
  Samsung Electronics Co., Ltd.
2.19% (Technology Hardware, Storage & Peripherals)
   68,679    2,965,617 
           5,171,081 
  Taiwan 0.0% ‡          
  Chailease Holding Co., Ltd.
0.00% (Diversified Financial Services) (a)
   36,486    125,853 
  Total Preferred Stocks
(Cost $8,353,056)
       7,662,903 

 

     Number of
Warrants
     
  Warrants 0.0%‡        
  Thailand 0.0% ‡          
  Srisawad Corp. PCL, NVDR
Expires 8/29/25 (a)
   13,600    5,022 
             
  Total Warrants
(Cost $0)
       5,022 

 

    Shares    

 

 

  Short-Term Investments 2.3%          
  Affiliated Investment Company 1.5%          
  MainStay U.S. Government Liquidity Fund, 0.02% (g)   5,186,565    5,186,565 
             
  Unaffiliated Investment Company 0.8%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (g)(h)   2,723,089    2,723,089 
  Total Short-Term Investments
(Cost $7,909,654)
       7,909,654 
  Total Investments
(Cost $287,428,343)
   100.2%   341,049,662 
  Other Assets, Less Liabilities   (0.2)   (845,198)
  Net Assets   100.0%  $340,204,464 

 

 † Percentages indicated are based on Portfolio net assets.
 ‡ Less than one-tenth of a percent.
(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) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $6,973,273; the total market value of collateral held by the Portfolio was $7,870,314. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $5,147,225.  
(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 September 30, 2020, the total market value of the fair valued securities was $53,464, which represented less than one-tenth of a percent of the Portfolio's net assets.
(f) Illiquid security - As of September 30, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $53,464, which represented less than one-tenth of a percent of the Portfolio's net assets.
(g) Current yield as of September 30, 2020.
(h) 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 September 30, 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)  $318,253,456   $   $53,464   $318,306,920 
Exchange-Traded Funds   7,165,163            7,165,163 
Preferred Stocks   7,662,903            7,662,903 
Warrants   5,022            5,022 
Short-Term Investments                    
Affiliated Investment Company   5,186,565            5,186,565 
Unaffiliated Investment Company   2,723,089            2,723,089 
Total Short-Term Investments   7,909,654            7,909,654 
Total Investments in Securities  $340,996,198   $   $53,464   $341,049,662 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.  
   
(b) The Level 3 securities valued at $0, $51,232 and $0 is held in China, Greece and Hong Kong, respectively, within the Common Stocks section of the Portfolio of Investments.  

 

 

 

 

MainStay VP Epoch U.S. Equity Yield Portfolio  

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 97.6% †
  Aerospace & Defense 2.7%
  General Dynamics Corp.   36,668   $5,075,951 
  Lockheed Martin Corp.   29,478    11,298,328 
  Raytheon Technologies Corp.   124,745    7,177,827 
           23,552,106 
  Air Freight & Logistics 1.0%
  United Parcel Service, Inc., Class B   52,127    8,685,922 
   
  Banks 4.6%
  Bank of America Corp.   208,508    5,022,958 
  JPMorgan Chase & Co.   102,816    9,898,097 
  M&T Bank Corp.   55,003    5,065,226 
  PNC Financial Services Group, Inc.   44,577    4,899,458 
  Truist Financial Corp.   239,785    9,123,819 
  U.S. Bancorp   158,179    5,670,717 
           39,680,275 
  Beverages 3.2%
  Coca-Cola Co.   185,141    9,140,411 
  Coca-Cola European Partners PLC   182,984    7,101,609 
  PepsiCo., Inc.   81,965    11,360,349 
           27,602,369 
  Biotechnology 3.4%
  AbbVie, Inc.   155,662    13,634,435 
  Amgen, Inc.   63,990    16,263,698 
           29,898,133 
  Capital Markets 3.3%
  BlackRock, Inc.   19,412    10,939,632 
  CME Group, Inc.   47,094    7,879,297 
  Lazard, Ltd., Class A   156,741    5,180,290 
  T. Rowe Price Group, Inc.   34,871    4,471,160 
           28,470,379 
  Chemicals 3.4%
  Dow, Inc.   198,802    9,353,634 
  LyondellBasell Industries N.V., Class A   80,887    5,701,725 
  Nutrien, Ltd.   240,144    9,420,849 
  PPG Industries, Inc.   42,061    5,134,807 
           29,611,015 
  Commercial Services & Supplies 2.1%
  Republic Services, Inc.   97,423    9,094,437 
  Waste Management, Inc.   78,011    8,828,505 
           17,922,942 
  Communications Equipment 1.3%
  Cisco Systems, Inc.   277,173    10,917,845 
   
  Containers & Packaging 1.0%
  Amcor PLC   806,354    8,910,212 
   
  Diversified Telecommunication Services 3.7%
  AT&T, Inc.   455,124    12,975,585 
  Verizon Communications, Inc.   315,639    18,777,364 
           31,752,949 
  Electric Utilities 6.6%
  Alliant Energy Corp.   110,725    5,718,946 
  American Electric Power Co., Inc.   102,816    8,403,152 
  Duke Energy Corp.   100,659    8,914,361 
  Entergy Corp.   130,857    12,893,340 
  Evergy, Inc.   143,080    7,271,326 
  Eversource Energy   88,796    7,418,906 
  FirstEnergy Corp.   230,078    6,605,539 
           57,225,570 
  Electrical Equipment 2.8%
  Eaton Corp. PLC   126,543    12,911,182 
  Emerson Electric Co.   167,166    10,961,075 
           23,872,257 
  Equity Real Estate Investment Trusts 2.9%
  American Tower Corp.   33,792    8,168,540 
  Iron Mountain, Inc.   370,642    9,929,499 
  Welltower, Inc.   120,791    6,654,377 
           24,752,416 
  Food & Staples Retailing 1.6%
  Walmart, Inc.   99,221    13,882,010 
   
  Food Products 0.6%
  McCormick & Co., Inc.   28,759    5,582,122 
   
  Health Care Equipment & Supplies 1.7%
  Medtronic PLC   142,361    14,794,155 
   
  Health Care Providers & Services 2.3%
  CVS Health Corp.   125,464    7,327,097 
  UnitedHealth Group, Inc.   40,623    12,665,033 
           19,992,130 
  Hotels, Restaurants & Leisure 2.4%
  Las Vegas Sands Corp.   108,927    5,082,534 
  McDonald's Corp.   47,813    10,494,475 
  Vail Resorts, Inc.   25,883    5,538,186 
           21,115,195 
  Household Durables 0.6%
  Leggett & Platt, Inc.   122,948    5,061,769 
   
  Household Products 4.3%
  Colgate-Palmolive Co.   61,474    4,742,719 
  Kimberly-Clark Corp.   102,097    15,075,643 
  Procter & Gamble Co.   122,588    17,038,506 
           36,856,868 
  Industrial Conglomerates 1.3%
  Honeywell International, Inc.   66,866    11,006,812 
   
  Insurance 5.2%
  Allianz S.E., Sponsored ADR   390,774    7,483,322 
  Arthur J. Gallagher & Co.   112,522    11,880,073 
  Marsh & McLennan Cos., Inc.   57,519    6,597,430 
  MetLife, Inc.   330,378    12,280,150 
  Travelers Cos., Inc.   61,474    6,650,872 
           44,891,847 
  IT Services 1.8%
  Automatic Data Processing, Inc.   32,714    4,563,276 
  International Business Machines Corp.   44,218    5,380,004 
  Paychex, Inc.   72,259    5,764,100 
           15,707,380 
  Leisure Products 0.6%
  Hasbro, Inc.   65,788    5,441,983 
   
  Media 1.4%
  Comcast Corp., Class A   253,805    11,741,019 
   
  Multi-Utilities 4.7%
  Ameren Corp.   135,171    10,689,323 
  CMS Energy Corp.   74,056    4,547,779 
  Dominion Energy, Inc.   114,679    9,051,613 
  NiSource, Inc.   232,235    5,109,170 
  WEC Energy Group, Inc.   118,274    11,460,751 
           40,858,636 
  Multiline Retail 1.6%
  Target Corp.   90,953    14,317,821 
   
  Oil, Gas & Consumable Fuels 3.4%
  Chevron Corp.   107,489    7,739,208 
  Enterprise Products Partners, L.P.   392,212    6,193,027 
  Exxon Mobil Corp.   178,670    6,133,741 
  Magellan Midstream Partners, L.P.   136,609    4,672,028 
  Phillips 66   99,940    5,180,890 
           29,918,894 
  Pharmaceuticals 6.4%
  Eli Lilly and Co.   50,689    7,502,986 
  Johnson & Johnson   120,072    17,876,319 
  Merck & Co., Inc.   206,351    17,116,815 
  Pfizer, Inc.   347,275    12,744,993 
           55,241,113 
  Semiconductors & Semiconductor Equipment 6.5%
  Analog Devices, Inc.   103,950    12,135,123 
  Broadcom, Inc.   18,334    6,679,443 
  Intel Corp.   172,199    8,916,464 
  KLA Corp.   73,697    14,278,057 
  Maxim Integrated Products, Inc.   22,288    1,506,892 
  Texas Instruments, Inc.   90,234    12,884,513 
           56,400,492 
  Software 2.3%
  Microsoft Corp.   93,829    19,735,054 
   
  Specialty Retail 1.1%
  Home Depot, Inc.   34,152    9,484,352 
   
  Technology Hardware, Storage & Peripherals 1.0%
  Apple, Inc.   77,651    8,992,762 
   
  Textiles, Apparel & Luxury Goods 0.6%
  Hanesbrands, Inc.   343,680    5,412,960 
   
  Tobacco 3.3%
  Altria Group, Inc.   279,689    10,807,183 
  British American Tobacco PLC, Sponsored ADR (a)   223,607    8,083,393 
  Philip Morris International, Inc.   128,340    9,624,217 
           28,514,793 
  Trading Companies & Distributors 0.9%
  Watsco, Inc.   34,871    8,121,107 
  Total Common Stocks
(Cost $788,713,318)
        845,925,664 
   
  Short-Term Investments 2.3%
  Affiliated Investment Company 2.2%
  MainStay U.S. Government Liquidity Fund, 0.02% (b)   19,275,887    19,275,887 
   
  Unaffiliated Investment Company 0.1%
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (b)(c)   576,700    576,700 
  Total Short-Term Investments
(Cost $19,852,587)
        19,852,587 
  Total Investments
(Cost $808,565,905)
   99.9%   865,778,251 
  Other Assets, Less Liabilities   0.1    798,073 
  Net Assets   100.0%  $866,576,324 

 

Percentages indicated are based on Portfolio net assets.
(a) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $3,250,015; the total market value of collateral held by the Portfolio was $3,309,511. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $2,732,811.  
(b) Current yield as of September 30, 2020.
(c) 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 September 30, 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  $845,925,664   $   $   $845,925,664 
Short-Term Investments                    
Affiliated Investment Company   19,275,887            19,275,887 
Unaffiliated Investment Company   576,700            576,700 
Total Short-Term Investments   19,852,587            19,852,587 
Total Investments in Securities  $865,778,251   $   $   $865,778,251 

 

(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 September 30, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 99.8% †          
  Electric Utilities 59.8%          
  American Electric Power Co., Inc.   603,848   $49,352,497 
  Duke Energy Corp.   337,245    29,866,417 
  Edison International   1,254,587    63,783,203 
  Entergy Corp.   505,498    49,806,718 
  Evergy, Inc.   842,821    42,832,163 
  Exelon Corp.   1,877,286    67,131,747 
  FirstEnergy Corp.   1,659,218    47,636,149 
  NextEra Energy, Inc.   465,233    129,130,071 
  NRG Energy, Inc.   583,795    17,945,858 
  PG&E Corp. (a)   552,276    5,185,872 
  PG&E Corp. (a)(b)   2,683,689    23,939,848 
  Pinnacle West Capital Corp.   123,200    9,184,560 
  PNM Resources, Inc.   152,995    6,323,283 
  Portland General Electric Co.   60,359    2,142,745 
  PPL Corp.   435,127    11,839,806 
  Southern Co.   871,382    47,246,332 
          603,347,269 
  Gas Utilities 0.7%          
  Atmos Energy Corp.   79,000    7,551,610 
             
  Independent Power & Renewable Electricity Producers 11.4%          
  AES Corp.   2,576,979    46,669,090 
  Clearway Energy, Inc., Class C   1,161,459    31,312,935 
  NextEra Energy Partners, L.P.   311,517    18,678,559 
  Sunnova Energy International, Inc. (a)   4,013    122,035 
  Vistra Corp.   963,530    18,172,176 
          114,954,795 
  Multi-Utilities 27.5%          
  Ameren Corp.   108,329    8,566,657 
  CenterPoint Energy, Inc.   2,397,659    46,394,702 
  Dominion Energy, Inc.   1,340,115    105,775,277 
  DTE Energy Co.   145,239    16,708,295 
  NiSource, Inc.   475,984    10,471,648 
  Public Service Enterprise Group, Inc.   852,531    46,812,477 
  Sempra Energy   358,943    42,484,493 
          277,213,549 
  Water Utilities 0.4%          
  Essential Utilities, Inc.   100,900    4,061,225 
  Total Common Stocks
(Cost $978,415,522)
        1,007,128,448 
             
  Short-Term Investment 0.5%          
  Affiliated Investment Company 0.5%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   4,808,985    4,808,985 
  Total Short-Term Investment
(Cost $4,808,985)
       4,808,985 
  Total Investments
(Cost $983,224,507)
   100.3%   1,011,937,433 
  Other Assets, Less Liabilities   (0.3)   (3,292,406)
  Net Assets   100.0%  $1,008,645,027 

 

Percentages indicated are based on Portfolio net assets.
(a) Non-income producing security.
(b) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(c) Current yield as of September 30, 2020.

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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)  $983,188,600   $   $23,939,848   $1,007,128,448 
Short-Term Investment                    
Affiliated Investment Company   4,808,985            4,808,985 
Total Investments in Securities  $987,997,585   $   $23,939,848   $1,011,937,433 

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.
 
(b) The Level 3 security valued at $23,939,848 is held in Electric Utilities 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
  September 30, 
2020
  Change in
 Unrealized 
Appreciation 
(Depreciation) 
from Investments
 Held at September
 30, 2020
 
Common Stocks   $   $   $   $ (1,555,198 )   $ 25,495,046   $   $   $   $ 23,939,848   $ (1,555,198 ) 
                                                                 
Total   $   $   $   $ (1,555,198 )   $ 25,495,046   $   $   $   $ 23,939,848   $ (1,555,198 )

 

 

 

 

MainStay VP Floating Rate Portfolio        
         
Portfolio of Investments September 30, 2020 (Unaudited)        

 

     Principal     
     Amount   Value 
  Long-Term Bonds 94.6% †          
  Corporate Bonds 4.1%          
  Aerospace & Defense 0.2%          
  Howmet Aerospace, Inc.
6.875%, due 5/1/25
  $200,000   $221,000 
  Spirit AeroSystems, Inc.
7.50%, due 4/15/25 (a)
   900,000    912,366 
           1,133,366 
  Auto Manufacturers 0.2%          
  Ford Motor Co.          
  8.50%, due 4/21/23   300,000    327,000 
  9.00%, due 4/22/25   600,000    687,906 
           1,014,906 
  Building Materials 0.0% ‡          
  U.S. Concrete, Inc.
5.125%, due 3/1/29 (a)
   200,000    200,500 
             
  Chemicals 0.1%          
  Atotech Alpha 3 B.V. / Alpha U.S. Bidco, Inc.
6.25%, due 2/1/25 (a)
   400,000    405,500 
  Nouryon Holding B.V.
8.00%, due 10/1/26 (a)
   500,000    529,240 
           934,740 
  Commercial Services 0.6%          
  Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   850,000    879,453 
  Jaguar Holding Co. II / PPD Development, L.P.
4.625%, due 6/15/25 (a)
   1,200,000    1,236,000 
  Prime Security Services Borrower LLC / Prime Finance, Inc.
6.25%, due 1/15/28 (a)
   1,000,000    1,012,500 
  Refinitiv U.S. Holdings, Inc.
8.25%, due 11/15/26 (a)
   500,000    547,500 
           3,675,453 
  Distribution & Wholesale 0.1%          
  IAA, Inc.
5.50%, due 6/15/27 (a)
   500,000    520,625 
  KAR Auction Services, Inc.
5.125%, due 6/1/25 (a)
   350,000    349,993 
           870,618 
  Electric 0.7%          
  Clearway Energy Operating LLC
5.75%, due 10/15/25
   1,630,000    1,711,500 
  NRG Energy, Inc.
7.25%, due 5/15/26
   1,300,000    1,383,551 
  Vistra Operations Co. LLC
5.00%, due 7/31/27 (a)
   1,500,000    1,572,000 
           4,667,051 
  Entertainment 0.1%          
  Scientific Games International, Inc.
7.00%, due 5/15/28 (a)
   900,000    902,203 
             
  Environmental Controls 0.4%           
  Advanced Disposal Services, Inc.
5.625%, due 11/15/24 (a)
   800,000    825,000 
  GFL Environmental, Inc. (a)          
  3.75%, due 8/1/25   1,000,000    1,005,525 
  4.25%, due 6/1/25   500,000    505,000 
  8.50%, due 5/1/27   228,000    247,380 
           2,582,905 
  Food 0.1%          
  Post Holdings, Inc.
5.50%, due 12/15/29 (a)
   240,000    256,800 
  U.S. Foods, Inc.
6.25%, due 4/15/25 (a)
   500,000    529,375 
           786,175 
  Health Care - Services 0.0% ‡          
  Acadia Healthcare Co., Inc.
5.00%, due 4/15/29 (a)
   120,000    121,650 
             
  Household Products & Wares 0.0% ‡          
  Prestige Brands, Inc.
6.375%, due 3/1/24 (a)
   300,000    307,500 
             
  Iron & Steel 0.1%          
  Carpenter Technology Corp.
6.375%, due 7/15/28
   310,000    324,453 
             
  Lodging 0.2%          
  Boyd Gaming Corp.          
  4.75%, due 12/1/27   400,000    392,500 
  8.625%, due 6/1/25 (a)   1,000,000    1,096,280 
           1,488,780 
  Media 0.2%          
  Radiate Holdco LLC / Radiate Finance, Inc.
4.50%, due 9/15/26 (a)
   370,000    369,922 
  Univision Communications, Inc.
6.625%, due 6/1/27 (a)
   600,000    585,750 
           955,672 
  Mining 0.1%          
  Kaiser Aluminum Corp.
6.50%, due 5/1/25 (a)
   650,000    670,014 
             
  Miscellaneous - Manufacturing 0.1%          
  Koppers, Inc.
6.00%, due 2/15/25 (a)
   500,000    506,875 
             
  Oil & Gas 0.0% ‡          
  EP Energy LLC / Everest Acquisition Finance, Inc.
8.00%, due 2/15/25 (a)(b)(c)
   200,000    20 
             
  Oil & Gas Services 0.1%          
  USA Compression Partners, L.P. / USA Compression Finance Corp.
6.875%, due 4/1/26
   360,000    356,850 
             
  Packaging & Containers 0.2%          
  Ardagh Packaging Finance PLC / Ardagh Holdings USA, Inc.
5.25%, due 4/30/25 (a)
   1,000,000    1,045,000 
  Plastipak Holdings, Inc.
6.25%, due 10/15/25 (a)
   220,000    220,000 
           1,265,000 
  Pharmaceuticals 0.1%          
  Bausch Health Cos., Inc.
5.50%, due 11/1/25 (a)
   300,000    307,875 
             
  Real Estate 0.0% ‡          
  Realogy Group LLC / Realogy Co-Issuer Corp.
7.625%, due 6/15/25 (a)
   240,000    251,400 
             
  Real Estate Investment Trusts 0.1%          
  Iron Mountain, Inc.
5.00%, due 7/15/28 (a)
   350,000    358,743 
  RHP Hotel Properties, L.P. / RHP Finance Corp.
4.75%, due 10/15/27
   300,000    276,576 
           635,319 
  Retail 0.1%          
  IRB Holding Corp.
7.00%, due 6/15/25 (a)
   580,000    618,425 
             
  Software 0.2%          
  Logan Merger Sub, Inc
5.50%, due 9/1/27 (a)
   1,100,000    1,112,705 
             
  Telecommunications 0.1%          
  Telesat Canada / Telesat LLC
4.875%, due 6/1/27 (a)
   600,000    602,430 
             
  Floating Rate Loans 79.9% (d)          
  Aerospace & Defense 1.1%          
  Dynasty Acquisition Co., Inc.          
  2020 Term Loan B1
3.72% (3 Month LIBOR + 3.50%), due 4/6/26
   1,540,497    1,355,088 
  2020 CAD Term Loan B2
3.72% (3 Month LIBOR + 3.50%), due 4/6/26
   828,224    728,542 
  Science Applications International Corp.
2018 Term Loan B
2.022% (1 Month LIBOR + 1.875%), due 10/31/25
   884,250    861,260 
  TransDigm, Inc.          
  2020 Term Loan E
2.397% (1 Month LIBOR + 2.25%), due 5/30/25
   975,131    921,092 
  2020 Term Loan F
2.397% (1 Month LIBOR + 2.25%), due 12/9/25
   3,117,381    2,947,094 
           6,813,076 
  Automobile 2.2%          
  American Axle and Manufacturing, Inc.
Term Loan B
3.00% (1 Month LIBOR + 2.25%), due 4/6/24
   1,824,728    1,745,874 
  Autokiniton U.S. Holdings, Inc.
2018 Term Loan B
6.522% (1 Month LIBOR + 6.375%), due 5/22/25 (e)(f)
   1,766,887    1,687,377 
  Belron Finance U.S. LLC          
  USD Term Loan B
2.742% (3 Month LIBOR + 2.50%), due 11/7/24
   972,500    959,534 
  2018 Term Loan B
2.754% (3 Month LIBOR + 2.50%), due 11/13/25
   982,500    967,763 
  2019 USD Term Loan B
2.768% (3 Month LIBOR + 2.50%), due 10/30/26
   1,240,625    1,225,117 
  Chassix, Inc.
2017 1st Lien Term Loan
6.50% (3 Month LIBOR + 5.50%), due 11/15/23
   1,458,750    1,298,288 
  Clarios Global L.P.
Term Loan B
3.647% (1 Month LIBOR + 3.50%), due 4/30/26
   983,177    957,368 
  IAA, Inc.
Term Loan B
2.438% (1 Month LIBOR + 2.25%), due 6/28/26
   1,418,750    1,395,695 
  KAR Auction Services, Inc.
2019 Term Loan B6
2.438% (1 Month LIBOR + 2.25%), due 9/19/26
   740,019    713,193 
  Mavis Tire Express Services Corp.
2018 1st Lien Term Loan
3.47% (3 Month LIBOR + 3.25%), due 3/20/25
   1,571,304    1,486,191 
  Wand NewCo 3, Inc.
2020 Term Loan
3.147% (1 Month LIBOR + 3.00%, 3 Month LIBOR + 3.00%), due 2/5/26
   2,172,583    2,093,826 
           14,530,226 
  Banking 1.7%          
  Apollo Commercial Real Estate Finance, Inc.
Term Loan B
2.901% (1 Month LIBOR + 2.75%), due 5/15/26
   1,481,250    1,407,187 
  Broadstreet Partners, Inc.
2020 Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 1/27/27
   2,547,552    2,478,024 
  Brookfield Property REIT, Inc.
1st Lien Term Loan B
2.647% (1 Month LIBOR + 2.50%), due 8/27/25
   2,422,671    1,953,615 
  Edelman Financial Center LLC
2018 1st Lien Term Loan
3.145% (1 Month LIBOR + 3.00%), due 7/21/25
   1,670,250    1,607,616 
  Greenhill & Co., Inc.
Term Loan B
3.401% (1 Month LIBOR + 3.25%), due 4/12/24 (e)(f)
   710,539    696,328 
  Jane Street Group LLC
2020 Term Loan
3.147% (1 Month LIBOR + 3.00%), due 1/31/25
   1,856,909    1,839,501 
  Russell Investments U.S. Inst'l Holdco, Inc.
Term Loan B
3.75% (6 Month LIBOR + 2.75%), due 6/1/23
   867,733    860,683 
           10,842,954 
  Beverage, Food & Tobacco 1.8%          
  8th Avenue Food & Provisions, Inc.
2018 1st Lien Term Loan
3.651% (1 Month LIBOR + 3.50%), due 10/1/25
   1,572,000    1,557,589 
  Advantage Sales & Marketing, Inc.          
  Term Loan B2
4.25% (1 Month LIBOR + 3.25%), due 7/23/21
   967,500    948,755 
  2014 2nd Lien Term Loan
7.50% (1 Month LIBOR + 6.50%), due 7/25/22 (f)
   625,000    598,958 
  American Seafoods Group LLC
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%, 3 Month LIBOR + 2.70%), due 8/21/23
   645,512    635,830 
  Arctic Glacier U.S.A., Inc.
2018 Term Loan B
4.50% (3 Month LIBOR + 3.50%), due 3/20/24 (f)
   619,218    526,335 
  ASP MSG Acquisition Co., Inc.
2017 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 8/16/23 (f)
   753,111    727,380 
  CHG PPC Parent LLC
2018 Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 3/31/25
   1,710,625    1,642,200 
  H Food Holdings LLC
2018 Term Loan B
3.834% (1 Month LIBOR + 3.687%), due 5/23/25
   1,269,525    1,230,844 
  U.S. Foods, Inc.
2019 Term Loan B
2.75% (1 Month LIBOR + 2.00%), due 9/13/26
   1,980,000    1,888,425 
  United Natural Foods, Inc.
Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 10/22/25
   2,278,510    2,217,072 
           11,973,388 
  Broadcasting & Entertainment 4.0%          
  Charter Communications Operating LLC
2019 Term Loan B1
1.90% (1 Month LIBOR + 1.75%), due 4/30/25
   4,862,500    4,772,004 
  Clear Channel Outdoor Holdings, Inc.
Term Loan B
3.761% (3 Month LIBOR + 3.50%), due 8/21/26
   1,732,500    1,575,338 
  Diamond Sports Group LLC
Term Loan
3.40% (1 Month LIBOR + 3.25%), due 8/24/26
   2,965,025    2,283,069 
  Gray Television, Inc.
2018 Term Loan C
2.655% (1 Month LIBOR + 2.50%), due 1/2/26
   2,506,446    2,457,711 
  Nexstar Broadcasting, Inc.
2019 Term Loan B4
2.905% (1 Month LIBOR + 2.75%), due 9/18/26
   3,242,110    3,169,162 
  Nielsen Finance LLC
Term Loan B4
2.154% (1 Month LIBOR + 2.00%), due 10/4/23
   1,201,731    1,176,194 
  Radiate Holdco LLC
2020 Term Loan
4.25% (1 Month LIBOR + 3.50%), due 9/11/26
   3,138,552    3,079,215 
  Terrier Media Buyer, Inc.          
  2020 Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 12/17/26 (f)
   1,496,250    1,447,622 
  Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 12/17/26
   827,083    804,959 
  Univision Communications, Inc.
Term Loan C5
3.75% (1 Month LIBOR + 2.75%), due 3/15/24
   3,624,095    3,479,131 
  WideOpenWest Finance LLC
2017 Term Loan B
4.25% (1 Month LIBOR + 3.25%), due 8/18/23
   1,925,450    1,892,557 
           26,136,962 
  Buildings & Real Estate 3.1%          
  American Bath Group LLC
2018 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 9/30/23 (f)
   977,369    974,925 
  Core & Main L.P.
2017 Term Loan B
3.75% (3 Month LIBOR + 2.75%, 6 Month LIBOR + 2.75%), due 8/1/24
   2,557,611    2,496,868 
  Cornerstone Building Brands, Inc.
2018 Term Loan
3.901% (1 Month LIBOR + 3.75%), due 4/12/25
   2,542,970    2,496,879 
  Cushman & Wakefield U.S. Borrower LLC
2020 Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 8/21/25
   2,947,688    2,833,465 
  Hamilton Holdco LLC
2018 Term Loan B
2.23% (3 Month LIBOR + 2.00%), due 1/2/27
   366,563    354,649 
  Jeld-Wen, Inc.
2017 1st Lien Term Loan
2.147% (1 Month LIBOR + 2.00%), due 12/14/24
   759,766    736,972 
  Realogy Group LLC
2018 Term Loan B
3.00% (1 Month LIBOR + 2.25%), due 2/8/25
   1,825,268    1,743,892 
  SIWF Holdings, Inc.          
  1st Lien Term Loan
4.397% (3 Month LIBOR + 4.25%), due 6/15/25
   1,265,674    1,213,465 
  2nd Lien Term Loan
8.647% (3 Month LIBOR + 8.50%), due 6/15/26
   120,000    102,300 
  SMG U.S. Midco 2, Inc.
2020 Term Loan
2.727%-2.761% (1 Month LIBOR + 2.50%, 3 Month LIBOR + 2.50%), due 1/23/25
   1,834,884    1,596,349 
  SRS Distribution, Inc.
2018 1st Lien Term Loan
3.147% (3 Month LIBOR + 3.00%), due 5/23/25
   2,056,772    1,995,583 
  VC GB Holdings, Inc.
2017 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 2/28/24 (e)(f)
   1,107,419    1,082,502 
  Wilsonart LLC
2017 Term Loan B
4.25% (3 Month LIBOR + 3.25%), due 12/19/23
   2,458,931    2,429,424 
           20,057,273 
  Cargo Transport 0.2%          
  Genesee & Wyoming, Inc.
Term Loan
2.22% (3 Month LIBOR + 2.00%), due 12/30/26
   1,492,500    1,465,821 
             
  Chemicals, Plastics & Rubber 2.6%          
  Allnex USA, Inc.
Term Loan B3
4.00% (3 Month LIBOR + 3.25%), due 9/13/23 (e)(f)
   726,191    702,590 
  Cabot Microelectronics Corp.
2019 Term Loan B1
2.188% (1 Month LIBOR + 2.00%), due 11/17/25
   791,293    776,786 
  Emerald Performance Materials LLC
2020 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 8/12/25
   1,206,191    1,200,914 
  Encapsys LLC
2020 Term Loan B2
4.25% (1 Month LIBOR + 3.25%), due 11/7/24
   455,581    446,470 
  Flex Acquisition Co., Inc.
1st Lien Term Loan
4.00% (3 Month LIBOR + 3.00%), due 12/29/23
   842,650    820,741 
  Flint Group U.S. LLC
1st Lien Term Loan B2
5.25%-5.25% (3 Month LIBOR + 0.75%, PIK), due 9/21/23 (f)(g)
   1,749,738    1,578,045 
  Ineos U.S. Finance LLC
2017 Term Loan B
2.147% (1 Month LIBOR + 2.00%), due 4/1/24
   1,452,595    1,407,201 
  Innophos, Inc.
2020 Term Loan B
3.897% (1 Month LIBOR + 3.75%), due 2/7/27
   1,492,500    1,477,575 
  Minerals Technologies, Inc.
2017 Term Loan B
3.00% (1 Month LIBOR + 2.25%, 3 Month LIBOR + 2.25%), due 2/14/24 (e)(f)
   708,256    697,632 
  PQ Corp.
2018 Term Loan B
2.511% (3 Month LIBOR + 2.25%), due 2/7/27
   1,727,861    1,688,120 
  TricorBraun Holdings, Inc.
2016 1st Lien Term Loan
4.75% (3 Month LIBOR + 3.75%), due 11/30/23
   1,447,115    1,431,439 
  Tronox Finance LLC
Term Loan B
3.147%-3.22% (1 Month LIBOR + 3.00%, 3 Month LIBOR + 3.00%), due 9/23/24
   2,521,130    2,479,461 
  Univar, Inc.
2019 USD Term Loan B5
2.147% (1 Month LIBOR + 2.00%), due 7/1/26
   595,500    579,868 
  Venator Materials Corp.
Term Loan B
3.147% (1 Month LIBOR + 3.00%), due 8/8/24
   1,441,285    1,392,642 
  Zep, Inc.
2017 1st Lien Term Loan
5.00% (6 Month LIBOR + 4.00%), due 8/12/24 (f)
   104,096    97,200 
           16,776,684 
  Containers, Packaging & Glass 3.8%          
  Altium Packaging LLC
Term Loan B
3.147% (1 Month LIBOR + 3.00%), due 6/14/26 (f)
   987,538    969,433 
  Anchor Glass Container Corp.
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 12/7/23
   2,110,583    1,611,078 
  Berry Global, Inc.
Term Loan Y
2.156% (1 Month LIBOR + 2.00%), due 7/1/26
   3,204,425    3,102,505 
  BWAY Holding Co.
2017 Term Loan B
3.523% (3 Month LIBOR + 3.25%), due 4/3/24
   2,880,230    2,713,416 
  Charter NEX U.S., Inc.
Incremental Term Loan
3.397% (1 Month LIBOR + 3.25%), due 5/16/24
   853,890    831,048 
  Clearwater Paper Corp.
Term Loan B
3.188% (1 Month LIBOR + 3.00%), due 7/26/26
   1,660,417    1,647,963 
  Consolidated Container Co. LLC
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 5/22/24
   1,940,138    1,915,886 
  Fort Dearborn Co.          
  2016 1st Lien Term Loan
5.192% (1 Month LIBOR + 4.00%, 3 Month LIBOR + 4.00%), due 10/19/23
   1,416,534    1,370,497 
  2016 2nd Lien Term Loan
9.516% (6 Month LIBOR + 8.50%), due 10/21/24 (f)
   1,000,000    930,000 
  Graham Packaging Co., Inc.
Term Loan
4.50% (1 Month LIBOR + 3.75%), due 8/4/27
   1,325,000    1,316,305 
  Klockner-Pentaplast of America, Inc.
2017 Term Loan B2
5.25% (6 Month LIBOR + 4.25%), due 6/30/22
   2,425,000    2,337,094 
  Reynolds Consumer Products LLC
Term Loan
1.897% (1 Month LIBOR + 1.75%), due 2/4/27
   1,431,894    1,410,416 
  Reynolds Group Holdings, Inc.          
  2020 Term Loan
TBD, due 2/3/26
   625,000    614,844 
  2017 Term Loan
3.979% (1 Month LIBOR + 2.75%, PRIME + 1.750), due 2/5/23
   1,201,889    1,187,804 
  Tank Holding Corp.
2020 Term Loan
3.647% (1 Month LIBOR + 3.50%), due 3/26/26
   2,229,981    2,176,089 
  Trident TPI Holdings, Inc.
2017 Term Loan B1
4.00% (3 Month LIBOR + 3.00%), due 10/17/24
   726,133    711,157 
           24,845,535 
  Diversified/Conglomerate Manufacturing 3.4%          
  Allied Universal Holdco LLC
2019 Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 7/10/26
   992,500    980,094 
  EWT Holdings III Corp.
2020 Term Loan
2.897% (1 Month LIBOR + 2.75%), due 12/20/24
   1,971,928    1,941,117 
  Filtration Group Corp.
2018 1st Lien Term Loan
3.147% (1 Month LIBOR + 3.00%), due 3/29/25
   1,781,815    1,745,065 
  Gardner Denver, Inc.
2020 USD Term Loan B2
1.897% (1 Month LIBOR + 1.75%), due 3/1/27
   2,003,678    1,934,802 
  GYP Holdings III Corp.
2018 Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 6/1/25
   1,406,510    1,385,851 
  Hyster-Yale Group, Inc.
Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 5/30/23 (e)(f)
   1,349,306    1,312,200 
  Ingersoll-Rand Services Co.
2020 USD Spinco Term Loan
1.897% (1 Month LIBOR + 1.75%), due 3/1/27
   868,704    838,843 
  Iron Mountain, Inc.
2018 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 1/2/26
   1,828,125    1,748,907 
  LTI Holdings, Inc.
2018 Add On 1st Lien Term Loan
3.647% (1 Month LIBOR + 3.50%), due 9/6/25
   1,076,722    996,417 
  Pre-Paid Legal Services, Inc.
2018 1st Lien Term Loan
3.397% (1 Month LIBOR + 3.25%), due 5/1/25
   2,962,838    2,859,139 
  Quikrete Holdings, Inc.
2016 1st Lien Term Loan
2.647% (1 Month LIBOR + 2.50%), due 2/1/27
   2,319,267    2,262,008 
  Red Ventures LLC
2020 Term Loan B2
2.647% (1 Month LIBOR + 2.50%), due 11/8/24
   3,015,851    2,881,395 
  TRC Cos., Inc.
Term Loan
4.50% (1 Month LIBOR + 3.50%), due 6/21/24 (f)
   873,000    858,814 
           21,744,652 
  Diversified/Conglomerate Service 4.8%          
  Applied Systems, Inc.          
  2017 1st Lien Term Loan
4.25% (3 Month LIBOR + 3.25%), due 9/19/24
   1,920,747    1,908,742 
  2017 2nd Lien Term Loan
8.00% (3 Month LIBOR + 7.00%), due 9/19/25
   460,000    464,888 
  Asplundh Tree Expert LLC
Term Loan B
2.655% (3 Month LIBOR + 2.50%), due 9/7/27
   2,170,000    2,165,931 
  BidFair MergerRight, Inc.
Term Loan B
6.50% (1 Month LIBOR + 5.50%), due 1/15/27
   2,315,172    2,299,255 
  Blackhawk Network Holdings, Inc.
2018 1st Lien Term Loan
3.147% (1 Month LIBOR + 3.00%), due 6/15/25
   977,500    920,886 
  BrightView Landscapes LLC
2018 1st Lien Term Loan B
2.688% (1 Month LIBOR + 2.50%), due 8/15/25
   1,100,334    1,087,955 
  CCC Information Services, Inc.
2017 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 4/29/24
   942,692    934,837 
  Change Healthcare Holdings LLC
2017 Term Loan B
3.50% (1 Month LIBOR + 2.50%, 3 Month LIBOR + 2.50%), due 3/1/24
   1,579,097    1,545,541 
  Element Materials Technology Group U.S. Holdings, Inc.
2017 Term Loan B
4.50% (3 Month LIBOR + 3.50%), due 6/28/24 (f)
   974,955    923,770 
  Greeneden U.S. Holdings II LLC
2018 Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 12/1/23
   1,436,885    1,426,366 
  IRI Holdings, Inc.
2018 1st Lien Term Loan
4.397% (1 Month LIBOR + 4.25%), due 12/1/25
   2,198,188    2,167,963 
  Mitchell International, Inc.
2017 1st Lien Term Loan
3.397% (1 Month LIBOR + 3.25%), due 11/29/24
   966,317    921,452 
  MKS Instruments, Inc.
2019 Term Loan B6
1.897% (1 Month LIBOR + 1.75%), due 2/2/26
   698,535    686,660 
  Monitronics International, Inc.
Takeback Term Loan
7.75% (1 Month LIBOR + 6.50%), due 3/29/24 (f)
   953,723    710,524 
  MX Holdings U.S., Inc.
2018 Term Loan B1C
3.50% (1 Month LIBOR + 2.75%), due 7/31/25
   2,206,515    2,173,418 
  Prime Security Services Borrower LLC
2019 Term Loan B1
4.25% (1 Month LIBOR + 3.25%, 3 Month LIBOR + 3.250%, 12 Month LIBOR + 3.250%), due 9/23/26
   3,516,940    3,479,885 
  Sophia L.P.
2017 Term Loan B
4.25% (1 Month LIBOR + 3.25%), due 9/30/22
   1,002,888    998,500 
  TruGreen, Ltd. Partnership
2019 Term Loan
3.897% (1 Month LIBOR + 3.75%), due 3/19/26
   1,733,329    1,711,663 
  Verint Systems, Inc.
2018 Term Loan B
2.156% (1 Month LIBOR + 2.00%), due 6/28/24
   2,418,750    2,400,609 
  Verscend Holding Corp.
2018 Term Loan B
4.647% (1 Month LIBOR + 4.50%), due 8/27/25
   979,995    970,604 
  WEX, Inc.
Term Loan B3
2.397% (1 Month LIBOR + 2.25%), due 5/15/26
   957,913    922,989 
           30,822,438 
  Ecological 0.3%          
  Advanced Disposal Services, Inc.
Term Loan B3
3.00% (1 Week LIBOR + 2.25%), due 11/10/23
   1,962,220    1,955,135 
             
  Electronics 13.3%          
  ASG Technologies Group, Inc.
2018 Term Loan
4.50% (1 Month LIBOR + 3.50%), due 7/31/24 (f)
   1,418,782    1,337,202 
  Banff Merger Sub, Inc.
2018 Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 10/2/25
   2,407,493    2,331,657 
  Barracuda Networks, Inc.
1st Lien Term Loan
4.25% ((3 Month LIBOR + 3.25%), due 2/12/25
   1,958,693    1,929,313 
  Camelot U.S. Acquisition 1 Co.          
  2020 Incremental Term Loan B
TBD, due 10/30/26
   1,250,000    1,244,271 
  Term Loan B
3.147% (1 Month LIBOR + 3.00%), due 10/30/26
   1,877,915    1,846,615 
  Castle U.S. Holding Corp.
Term Loan B
3.97% (3 Month LIBOR + 3.75%), due 1/29/27
   1,438,026    1,379,906 
  Cologix, Inc.
2017 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 3/20/24
   1,920,253    1,865,045 
  Colorado Buyer, Inc. (f)          
  Term Loan B
4.00% (6 Month LIBOR + 3.00%), due 5/1/24
   967,500    840,516 
  2nd Lien Term Loan
8.25% (6 Month LIBOR + 7.25%), due 5/1/25
   800,000    407,200 
  CommScope, Inc.
2019 Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 4/6/26
   4,268,134    4,149,873 
  DCert Buyer, Inc.
2019 Term Loan B
4.147% (1 Month LIBOR + 4.00%), due 10/16/26
   1,990,000    1,961,145 
  Dell International LLC
2019 Term Loan B
2.75% (1 Month LIBOR + 2.00%), due 9/19/25
   3,221,002    3,204,279 
  Diebold, Inc.
2017 Term Loan B
2.938% (1 Month LIBOR + 2.75%), due 11/6/23
   644,851    616,639 
  ECI Macola Max Holdings LLC          
  2020 Term Loan
TBD, due 9/30/27
   2,000,000    1,981,250 
  1st Lien Term Loan
5.25% (1 Month LIBOR + 4.25%), due 9/27/24
   2,191,709    2,173,901 
  EIG Investors Corp.
2018 1st Lien Term Loan
4.75% (3 Month LIBOR + 3.75%), due 2/9/23
   2,741,749    2,727,470 
  Epicor Software Corp.
2020 Term Loan
5.25% (1 Month LIBOR + 4.25%), due 7/30/27
   3,102,201    3,083,588 
  Finastra U.S.A., Inc.          
  1st Lien Term Loan
4.50% (3 Month LIBOR + 3.50%, 6 Month LIBOR + 3.50%), due 6/13/24
   2,694,926    2,516,387 
  2nd Lien Term Loan
8.25% (6 Month LIBOR + 7.25%), due 6/13/25
   1,400,000    1,313,999 
  Flexential Intermediate Corp.
2017 1st Lien Term Loan
3.72% (3 Month LIBOR + 3.50%), due 8/1/24
   1,164,000    995,544 
  Flexera Software LLC
2018 1st Lien Term Loan
4.25% (3 Month LIBOR + 3.25%), due 2/26/25
   1,418,599    1,407,453 
  Go Daddy Operating Co. LLC
2017 Repriced Term Loan
1.897% (1 Month LIBOR + 1.75%), due 2/15/24
   2,208,553    2,156,100 
  Hyland Software, Inc.          
  2018 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.25%), due 7/1/24
   3,600,473    3,576,847 
  2017 2nd Lien Term Loan
7.75% (1 Month LIBOR + 7.00%), due 7/7/25
   608,333    607,193 
  Informatica LLC
2020 USD Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 2/25/27
   995,000    969,296 
  MA FinanceCo. LLC
Term Loan B3
2.647% (1 Month LIBOR + 2.50%), due 6/21/24
   352,345    335,432 
  McAfee LLC          
  2018 Term Loan B
3.896% (1 Month LIBOR + 3.75%), due 9/30/24
   4,574,943    4,534,199 
  2017 2nd Lien Term Loan
9.50% (1 Month LIBOR + 8.50%), due 9/29/25
   312,500    313,542 
  MH Sub I LLC
2017 1st Lien Term Loan
3.647% (1 Month LIBOR + 3.50%), due 9/13/24
   3,048,010    2,968,951 
  Project Alpha Intermediate Holding, Inc.          
  2017 Term Loan B
4.50% (3 Month LIBOR + 3.50%), due 4/26/24
   1,438,846    1,410,069 
  2019 Incremental Term Loan B
4.52% (3 Month LIBOR + 4.25%), due 4/26/24
   592,500    585,094 
  Project Leopard Holdings, Inc.          
  2019 Term Loan
5.25% (3 Month LIBOR + 4.25%), due 7/7/23 (f)
   986,212    967,104 
  2018 Term Loan
5.50% (3 Month LIBOR + 4.50%), due 7/7/23
   1,091,756    1,072,650 
  Refinitiv U.S. Holdings, Inc.
2018 Term Loan
3.397% (1 Month LIBOR + 3.25%), due 10/1/25
   1,943,921    1,923,570 
  Rocket Software, Inc.
2018 Term Loan
4.397% (1 Month LIBOR + 4.25%), due 11/28/25
   886,500    866,712 
  Seattle Spinco, Inc.
Term Loan B3
2.647% (1 Month LIBOR + 2.50%), due 6/21/24
   2,379,469    2,264,957 
  Solera LLC
Term Loan B
2.938% (2 Month LIBOR + 2.75%), due 3/3/23
   1,906,800    1,861,854 
  Sophia, L.P.
2020 1st Lien Term Loan
TBD, due 9/22/27
   686,814    681,877 
  SS&C Technologies, Inc.          
  2018 Term Loan B5
1.897% (1 Month LIBOR + 1.75%), due 4/16/25
   1,959,489    1,895,805 
  2018 Term Loan B3
1.897% (1 Month LIBOR + 1.75%), due 4/16/25
   2,426,221    2,345,348 
  Surf Holdings LLC
Term Loan
3.75% (3 Month LIBOR + 3.50%), due 3/5/27
   1,745,625    1,702,297 
  Tempo Acquisition LLC
2020 Extended Term Loan
3.75% (1 Month LIBOR + 3.25%), due 11/2/26
   2,972,262    2,884,952 
  Tibco Software, Inc.          
  2020 Term Loan B3
3.90% (1 Month LIBOR + 3.75%), due 6/30/26
   997,500    970,069 
  2020 2nd Lien Term Loan
7.40% (1 Month LIBOR + 7.25%), due 3/3/28
   400,000    389,000 
  Ultimate Software Group, Inc.          
  Term Loan B
3.897% (1 Month LIBOR + 3.75%), due 5/4/26
   1,732,500    1,716,528 
  2020 Incremental Term Loan B
4.75% (3 Month LIBOR + 4.00%), due 5/4/26
   720,000    716,962 
  Vertiv Group Corp.
Term Loan B
3.157% (1 Month LIBOR + 3.00%), due 3/2/27
   1,990,000    1,950,697 
  VS Buyer LLC
Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 2/28/27
   995,000    973,856 
  Web.com Group, Inc.          
  2018 Term Loan B
3.901% (1 Month LIBOR + 3.75%), due 10/10/25
   953,881    918,111 
  2018 2nd Lien Term Loan
7.901% (1 Month LIBOR + 7.75%), due 10/9/26
   969,724    916,389 
  Western Digital Corp.
2018 Term Loan B4
1.906% (1 Month LIBOR + 1.75%), due 4/29/23
   1,131,810    1,119,785 
  Xerox Business Services LLC
Term Loan B
2.647% (1 Month LIBOR + 2.50%), due 12/7/23
   1,446,095    1,349,688 
           86,258,187 
  Finance 1.1%          
  Amentum Government Services Holdings LLC
Term Loan B
3.647% (1 Month LIBOR + 3.50%), due 2/1/27
   623,438    614,086 
  Brand Energy & Infrastructure Services, Inc.
2017 Term Loan
5.25% (3 Month LIBOR + 4.25%), due 6/21/24
   1,670,132    1,553,455 
  Deerfield Dakota Holding LLC
2020 USD Term Loan B
4.75% (1 Month LIBOR + 3.75%), due 4/9/27
   997,500    990,435 
  iStar, Inc.
2016 Term Loan B
2.902%-2.905% (1 Month LIBOR + 2.75%), due 6/28/23
   630,585    614,821 
  ON Semiconductor Corp.
2019 Term Loan B
2.147% (1 Month LIBOR + 2.00%), due 9/19/26
   490,038    481,952 
  Transplace Holdings, Inc.
1st Lien Term Loan
4.75% (3 Month LIBOR + 3.75%), due 10/7/24 (f)
   1,167,423    1,146,993 
  USS Ultimate Holdings, Inc.
1st Lien Term Loan
4.75% (3 Month LIBOR + 3.75%), due 8/25/24
   2,045,639    2,015,592 
           7,417,334 
  Healthcare, Education & Childcare 7.8%          
  Acadia Healthcare Co., Inc
2018 Term Loan B4
2.647% (1 Month LIBOR + 2.50%), due 2/16/23
   719,661    712,614 
  Agiliti Health, Inc.
Term Loan
3.188% (1 Month LIBOR + 3.00%), due 1/4/26
   886,500    859,905 
  AHP Health Partners, Inc.
2018 Term Loan
5.50% (1 Month LIBOR + 4.50%), due 6/30/25
   1,288,746    1,286,330 
  Akorn, Inc.
Term Loan B
TBD-14.75% (1 Month LIBOR + 13.75%, PIK), due 4/16/21 (b)(f)(g)
   175,158    147,570 
  Alliance Healthcare Services, Inc.
2017 Term Loan B
5.50% (1 Month LIBOR + 4.50%), due 10/24/23 (e)(f)
   821,250    615,937 
  Alvogen Pharma U.S., Inc.
2020 Extended Term Loan
6.25% (6 Month LIBOR + 5.25%), due 12/31/23
   1,283,715    1,230,226 
  Amneal Pharmaceuticals LLC
2018 Term Loan B
3.688% (1 Month LIBOR + 3.50%), due 5/4/25
   2,198,855    2,066,924 
  Athenahealth, Inc.
2019 Term Loan B
4.75% (3 Month LIBOR + 4.50%), due 2/11/26
   2,234,335    2,198,959 
  Avantor Funding, Inc.
Term Loan B3
3.25% (1 Month LIBOR + 2.25%), due 11/21/24
   671,149    661,082 
  Carestream Dental Equipment, Inc.
2017 1st Lien Term Loan
4.25% (3 Month LIBOR + 3.25%), due 9/1/24
   970,000    885,529 
  Carestream Health, Inc.          
  2020 Extended 2nd Lien PIK Term Loan
5.50% (3 Month LIBOR + 4.50%, PIK), due 8/8/23 (g)
   1,424,225    1,110,895 
  2020 Extended Term Loan
7.75% (3 Month LIBOR + 6.75%), due 5/8/23
   1,971,631    1,897,695 
  Compassus Intermediate, Inc.
Term Loan B
6.00% (3 Month LIBOR + 5.00%), due 12/31/26 (f)
   1,550,781    1,523,643 
  Da Vinci Purchaser Corp.
2019 Term Loan
5.238% (3 Month LIBOR + 4.00%), due 1/8/27
   1,911,875    1,886,384 
  DaVita, Inc.
2020 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 8/12/26
   2,722,552    2,672,525 
  Elanco Animal Health, Inc.
Term Loan B
1.905% (1 Month LIBOR + 1.75%), due 8/1/27
   1,562,573    1,517,369 
  Emerald TopCo, Inc.
Term Loan
3.761% (3 Month LIBOR + 3.50%), due 7/24/26
   2,475,000    2,380,126 
  Envision Healthcare Corp.
2018 1st Lien Term Loan
3.897% (1 Month LIBOR + 3.75%), due 10/10/25
   1,842,188    1,314,093 
  eResearchTechnology, Inc.
2020 1st Lien Term Loan
5.50% (1 Month LIBOR + 4.50%), due 2/4/27
   1,197,000    1,191,388 
  ExamWorks Group, Inc.
2017 Term Loan
4.25% (3 Month LIBOR + 3.25%), due 7/27/23
   2,899,204    2,876,010 
  Gentiva Health Services, Inc.
2020 Term Loan
3.438% (1 Month LIBOR + 3.25%), due 7/2/25
   2,277,937    2,228,107 
  Grifols Worldwide Operations U.S.A., Inc.
2019 Term Loan B
2.10% (1 Week LIBOR + 2.00%), due 11/15/27
   992,500    970,944 
  HCA, Inc.
Term Loan B12
1.897% (1 Month LIBOR + 1.75%), due 3/13/25
   2,462,500    2,450,188 
  Jaguar Holding Co. II
2018 Term Loan
3.50% (1 Month LIBOR + 2.50%), due 8/18/22
   2,631,038    2,619,677 
  Ortho-Clinical Diagnostics S.A.
2018 Term Loan B
3.406% (1 Month LIBOR + 3.25%), due 6/30/25
   1,890,092    1,807,400 
  RegionalCare Hospital Partners Holdings, Inc.
2018 Term Loan B
3.897% (1 Month LIBOR + 3.75%), due 11/17/25
   2,901,968    2,814,909 
  Select Medical Corp.
2017 Term Loan B
2.78% (6 Month LIBOR + 2.50%), due 3/6/25
   3,048,392    2,962,656 
  Sound Inpatient Physicians
2018 1st Lien Term Loan
2.897% (1 Month LIBOR + 2.75%), due 6/27/25 (f)
   488,750    478,160 
  Team Health Holdings, Inc.
1st Lien Term Loan
3.75% (1 Month LIBOR + 2.75%), due 2/6/24
   2,865,496    2,391,795 
  U.S. Anesthesia Partners, Inc.
2017 Term Loan
4.00% (6 Month LIBOR + 3.00%), due 6/23/24
   2,810,095    2,645,002 
           50,404,042 
  Home and Office Furnishings, Housewares & Durable Consumer Products 0.2%          
  Serta Simmons Bedding LLC
1st Lien Term Loan
4.50% (3 Month LIBOR + 3.50%), due 11/8/23
   3,411,644    1,135,208 
             
  Hotels, Motels, Inns & Gaming 5.1%          
  Affinity Gaming LLC
Initial Term Loan
4.25% (3 Month LIBOR + 3.25%), due 7/1/23
   2,456,372    2,194,358 
  Aimbridge Acquisition Co., Inc.
2019 Term Loan B
3.895% (1 Month LIBOR + 3.75%), due 2/2/26
   2,227,500    1,993,612 
  AP Gaming I LLC
2018 Incremental Term Loan
4.50% (3 Month LIBOR + 3.50%), due 2/15/24
   1,839,451    1,639,410 
  Caesars Resort Collection LLC          
  2017 1st Lien Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 12/23/24
   1,905,306    1,780,402 
  2020 Term Loan B1
4.647% (1 Month LIBOR + 4.50%, 3 Month LIBOR + 4.50%), due 7/21/25
   1,050,000    1,014,375 
  Churchill Downs, Inc.
2017 Term Loan B
2.15% (1 Month LIBOR + 2.00%), due 12/27/24
   1,952,349    1,882,390 
  CityCenter Holdings LLC
2017 Term Loan B
3.00% (1 Month LIBOR + 2.25%), due 4/18/24
   2,805,750    2,688,610 
  Everi Payments, Inc.
Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 5/9/24
   2,955,113    2,859,072 
  Golden Entertainment, Inc.
2017 1st Lien Term Loan
3.75% (1 Month LIBOR + 3.00%), due 10/21/24
   1,600,000    1,536,000 
  Hilton Worldwide Finance LLC
2019 Term Loan B2
1.898% (1 Month LIBOR + 1.75%), due 6/22/26
   235,804    227,649 
  PCI Gaming Authority
Term Loan
2.647% (1 Month LIBOR + 2.50%), due 5/29/26
   658,702    638,282 
  Penn National Gaming, Inc.
2018 1st Lien Term Loan B
3.00% (1 Month LIBOR + 2.25%), due 10/15/25
   327,500    318,026 
  Scientific Games International, Inc.
2018 Term Loan B5
3.471%-3.612% (1 Month LIBOR + 2.75%, 6 Month LIBOR + 2.75%), due 8/14/24
   4,310,264    4,056,498 
  Station Casinos LLC
2020 Term Loan B
2.50% (1 Month LIBOR + 2.25%), due 2/8/27
   1,649,901    1,568,437 
  UFC Holdings LLC
2019 Term Loan
4.25% (6 Month LIBOR + 3.25%), due 4/29/26
   4,518,728    4,454,337 
  Wyndham Destinations, Inc.
2018 1st Lien Term Loan
2.397% (1 Month LIBOR + 2.25%), due 5/30/25
   1,967,406    1,883,791 
  Wyndham Hotels & Resorts, Inc.
Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 5/30/25
   2,457,406    2,365,253 
           33,100,502 
  Insurance 3.3%          
  Acrisure LLC
2020 Term Loan B
3.647% (1 Month LIBOR + 3.50%), due 2/15/27
   987,424    951,630 
  AmWINS Group, Inc.
2017 Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 1/25/24
   1,907,519    1,888,974 
  AssuredPartners, Inc.
2020 Term Loan B
3.647% (1 Month LIBOR + 3.50%), due 2/12/27
   3,197,353    3,099,834 
  Asurion LLC          
  2017 Term Loan B4
3.147% (1 Month LIBOR + 3.00%), due 8/4/22
   2,814,279    2,774,175 
  2018 Term Loan B6
3.147% (1 Month LIBOR + 3.00%), due 11/3/23
   1,627,590    1,600,850 
  2018 Term Loan B7
3.147% (1 Month LIBOR + 3.00%), due 11/3/24
   458,203    449,939 
  2017 2nd Lien Term Loan
6.647% (1 Month LIBOR + 6.50%), due 8/4/25
   908,081    908,729 
  Hub International, Ltd.
2018 Term Loan B
3.264% (3 Month LIBOR + 3.00%), due 4/25/25
   1,422,614    1,372,111 
  NFP Corp.
2020 Term Loan
3.397% (1 Month LIBOR + 3.25%), due 2/15/27
   1,452,575    1,389,025 
  Ryan Specialty Group LLC
Term Loan
4.00% (1 Month LIBOR + 3.25%), due 9/1/27
   1,000,000    991,250 
  Sedgwick Claims Management Services, Inc.          
  2018 Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 12/31/25
   1,957,576    1,886,263 
  2019 Term Loan B
4.147% (1 Month LIBOR + 4.00%), due 9/3/26
   987,500    971,453 
  USI, Inc.
2017 Repriced Term Loan
3.22% (3 Month LIBOR + 3.00%), due 5/16/24
   2,910,000    2,810,880 
           21,095,113 
  Leisure, Amusement, Motion Pictures & Entertainment 2.3%          
  Alterra Mountain Co.
Term Loan B1
2.897% (1 Month LIBOR + 2.75%), due 7/31/24
   3,433,183    3,308,730 
  Boyd Gaming Corp.
Term Loan B3
2.356% (1 Week LIBOR + 2.25%), due 9/15/23
   1,407,773    1,366,243 
  Creative Artists Agency LLC
2019 Term Loan B
3.897% (1 Month LIBOR + 3.75%), due 11/27/26
   1,488,750    1,432,177 
  Fitness International LLC          
  2018 Term Loan A
4.25% (3 Month LIBOR + 3.25%), due 1/8/25
   1,227,188    736,313 
  2018 Term Loan B
4.25% (3 Month LIBOR + 3.25%), due 4/18/25
   270,764    161,917 
  Life Time Fitness, Inc.
2017 Term Loan B
3.75% (3 Month LIBOR + 2.75%), due 6/10/22
   1,771,021    1,606,463 
  Lions Gate Capital Holdings LLC
2018 Term Loan B
2.397% (1 Month LIBOR + 2.25%), due 3/24/25
   1,036,107    1,003,729 
  Marriott Ownership Resorts, Inc.
2019 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 8/29/25
   1,485,009    1,421,433 
  TKC Holdings, Inc.
2017 1st Lien Term Loan
4.75% (6 Month LIBOR + 3.75%), due 2/1/23
   2,011,230    1,884,522 
  William Morris Endeavor Entertainment LLC
2018 1st Lien Term Loan
2.90% (1 Month LIBOR + 2.75%), due 5/18/25
   2,653,338    2,268,604 
           15,190,131 
  Machinery (Non-Agriculture, Non-Construct & Non-Electronic) 1.1%          
  Advanced Drainage Systems, Inc.
Term Loan B
2.438% (1 Month LIBOR + 2.25%), due 7/31/26
   583,661    582,201 
  Altra Industrial Motion Corp.
2018 Term Loan B
2.147% (1 Month LIBOR + 2.00%), due 10/1/25
   2,019,208    1,966,204 
  Columbus McKinnon Corp.
2018 Term Loan B
3.50% (3 Month LIBOR + 2.50%), due 1/31/24
   883,413    876,788 
  CPM Holdings, Inc.          
  2018 1st Lien Term Loan
3.905% (1 Month LIBOR + 3.75%), due 11/17/25
   1,473,750    1,377,956 
  2018 2nd Lien Term Loan
8.405% (1 Month LIBOR + 8.25%), due 11/15/26 (f)
   1,000,000    910,000 
  Welbilt, Inc.
2018 Term Loan B
2.647% (1 Month LIBOR + 2.50%), due 10/23/25
   1,284,178    1,160,576 
           6,873,725 
  Mining, Steel, Iron & Non-Precious Metals 1.5%          
  American Rock Salt Co. LLC
2018 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 3/21/25
   1,611,607    1,609,592 
  Covia Holdings Corp.
Term Loan
TBD, (PRIME + 5.00%), due 6/1/25 (f)
   1,403,571    1,024,607 
  Gates Global LLC
2017 Repriced Term Loan B
3.75% (1 Month LIBOR + 2.75%), due 4/1/24
   2,388,203    2,346,906 
  GrafTech Finance, Inc.
2018 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 2/12/25
   2,219,264    2,183,201 
  MRC Global (U.S)., Inc.
2018 1st Lien Term Loan B
3.147% (1 Month LIBOR + 3.00%), due 9/20/24
   1,458,663    1,327,384 
  U.S. Silica Co.
2018 Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 5/1/25
   1,462,351    1,224,719 
           9,716,409 
  Oil & Gas 1.4%          
  Apergy Corp.
2018 1st Lien Term Loan
2.688% (1 Month LIBOR + 2.50%), due 5/9/25 (f)
   274,699    266,687 
  Buckeye Partners, L.P.
2019 Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 11/1/26
   1,368,125    1,341,189 
  Fleet U.S. Bidco, Inc.
Term Loan B
3.397% (1 Month LIBOR + 3.25%), due 10/7/26
   1,237,500    1,200,375 
  GIP III Stetson I, L.P.
2018 Term Loan B
4.395% (1 Month LIBOR + 4.25%), due 7/18/25 (f)
   1,546,590    1,018,171 
  Keane Group Holdings LLC
2018 1st Lien Term Loan
4.50% (1 Month LIBOR + 3.50%), due 5/25/25
   977,500    845,537 
  Lucid Energy Group II Borrower LLC
2018 1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 2/17/25
   1,365,000    1,236,690 
  Medallion Midland Acquisition LLC
1st Lien Term Loan
4.25% (1 Month LIBOR + 3.25%), due 10/30/24
   583,500    547,517 
  PES Holdings LLC
2018 Term Loan C
TBD-6.99% (PIK, PRIME - 0.50%), due 12/31/22 (b)(f)(g)
   1,142,898    228,580 
  Prairie ECI Acquiror L.P.
Term Loan B
4.897% (1 Month LIBOR + 4.75%), due 3/11/26
   1,185,525    1,065,985 
  Seadrill Partners Finco LLC
Term Loan B
7.00% (3 Month LIBOR + 6.00%), due 2/21/21 (f)
   867,899    113,912 
  Summit Midstream Partners Holdings LLC
Term Loan B
7.00% (3 Month LIBOR + 6.00%), due 5/13/22 (f)
   567,684    113,537 
  Traverse Midstream Partners LLC
2017 Term Loan
5.00% (1 Month LIBOR + 4.00%), due 9/27/24
   1,306,667    1,197,560 
           9,175,740 
  Personal & Nondurable Consumer Products (Manufacturing Only) 0.9%          
  American Builders & Contractors Supply Co., Inc.
2019 Term Loan
2.147% (1 Month LIBOR + 2.00%), due 1/15/27
   2,722,500    2,640,825 
  Kronos Acquisition Holdings, Inc.
2015 Term Loan B
5.00% (3 Month LIBOR + 4.00%), due 5/15/23
   667,771    662,758 
  Prestige Brands, Inc.
Term Loan B4
2.147% (1 Month LIBOR + 2.00%), due 1/26/24
   411,941    408,337 
  SRAM LLC
2018 Term Loan B
3.75% (1 Month LIBOR + 2.75%, 6 Month LIBOR + 2.750%), due 3/15/24
   760,506    756,703 
  Varsity Brands, Inc.
2017 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/15/24
   1,945,044    1,622,896 
           6,091,519 
  Personal Transportation 0.2%          
  Delta Air Lines, Inc.
2020 1st Lien Term Loan B
TBD, due 9/16/27
   485,714    489,357 
  Uber Technologies, Inc.
2018 Incremental Term Loan
3.647% (1 Month LIBOR + 3.50%), due 7/13/23
   579,855    569,889 
           1,059,246 
  Personal, Food & Miscellaneous Services 1.2%          
  Aramark Services, Inc.
2018 Term Loan B3
1.897% (1 Month LIBOR + 1.75%), due 3/11/25
   2,182,663    2,085,807 
  IRB Holding Corp.
2020 Term Loan B
3.75% (3 Month LIBOR + 2.75%), due 2/5/25
   2,442,298    2,327,816 
  KFC Holding Co.
2018 Term Loan B
1.90% (1 Month LIBOR + 1.75%), due 4/3/25
   1,888,905    1,844,381 
  Weight Watchers International, Inc.
2017 Term Loan B
5.50% (1 Month LIBOR + 4.75%), due 11/29/24
   1,413,061    1,407,762 
           7,665,766 
  Printing & Publishing 0.6%          
  Getty Images, Inc.
2019 Term Loan B
4.688% (1 Month LIBOR + 4.50%), due 2/19/26
   1,478,324    1,374,841 
  McGraw-Hill Global Education Holdings LLC
2016 Term Loan B
5.00% (3 Month LIBOR + 4.00%), due 5/4/22
   1,117,822    936,874 
  Prometric Holdings, Inc.
1st Lien Term Loan
4.00% (1 Month LIBOR + 3.00%), due 1/29/25
   494,598    458,740 
  Severin Acquisition LLC
2018 Term Loan B
3.406% (1 Month LIBOR + 3.25%), due 8/1/25
   970,063    939,749 
           3,710,204 
  Retail Store 2.3%          
  Alphabet Holding Co., Inc.
2017 1st Lien Term Loan
3.647% (1 Month LIBOR + 3.50%), due 9/26/24
   2,037,000    1,977,418 
  Bass Pro Group LLC
Term Loan B
5.75% (3 Month LIBOR + 5.00%), due 9/25/24
   1,915,128    1,896,695 
  Belk, Inc.
2019 Term Loan B
7.75% (3 Month LIBOR + 6.75%), due 7/31/25
   1,338,790    498,221 
  BJ's Wholesale Club, Inc.
2017 1st Lien Term Loan
2.151% (1 Month LIBOR + 2.00%), due 2/3/24
   2,565,778    2,517,670 
  CNT Holdings III Corp.
2017 Term Loan
4.00% (1 Month LIBOR + 3.00%), due 1/22/23
   1,231,732    1,228,652 
  EG America LLC
2018 Term Loan
4.22% (3 Month LIBOR + 4.00%), due 2/7/25
   1,462,518    1,421,994 
  HD Supply, Inc.
Term Loan B5
1.897% (1 Month LIBOR + 1.75%), due 10/17/23
   979,887    974,988 
  Michaels Stores, Inc.
2018 Term Loan B
3.50% (1 Month LIBOR + 2.50%), due 1/30/23
   1,713,075    1,705,366 
  Party City Holdings, Inc.
2018 Term Loan B
3.25% (1 Month LIBOR + 2.50%, 3 Month LIBOR + 2.50%), due 8/19/22
   793,120    645,402 
  Petco Animal Supplies, Inc.
2017 Term Loan B
4.25% (3 Month LIBOR + 3.25%), due 1/26/23
   1,447,364    1,329,966 
  Sally Holdings LLC
Term Loan B2
4.50%, due 7/5/24
   945,004    937,917 
           15,134,289 
  Telecommunications 3.6%          
  Avaya, Inc.
2018 Term Loan B
4.401% (1 Month LIBOR + 4.25%), due 12/15/24
   1,345,545    1,330,687 
  CenturyLink, Inc.
2020 Term Loan B
2.397% (1 Month LIBOR + 2.25%), due 3/15/27
   3,721,875    3,568,348 
  CSC Holdings LLC
2019 Term Loan B5
2.652% (1 Month LIBOR + 2.50%), due 4/15/27
   3,682,122    3,563,373 
  Frontier Communications Corp.
2017 Term Loan B1
6.00% (PRIME + 2.75%), due 6/15/24 (b)(f)
   1,458,750    1,432,310 
  Level 3 Financing, Inc.
2019 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 3/1/27
   1,500,000    1,449,375 
  Microchip Technology, Inc.
2018 Term Loan B
2.15% (1 Month LIBOR + 2.00%), due 5/29/25
   1,137,775    1,130,664 
  SBA Senior Finance II LLC
2018 Term Loan B
1.90% (1 Month LIBOR + 1.75%), due 4/11/25
   1,794,354    1,745,907 
  T-Mobile USA, Inc.
2020 Term Loan
3.147% (1 Month LIBOR + 3.00%), due 4/1/27
   4,987,500    4,981,266 
  West Corp.
2017 Term Loan
5.00% (1 Month LIBOR + 4.00%), due 10/10/24
   1,715,263    1,555,989 
  Zayo Group Holdings, Inc.
Term Loan
3.147% (1 Month LIBOR + 3.00%), due 3/9/27
   2,902,083    2,809,997 
           23,567,916 
  Utilities 5.0%          
  Astoria Energy LLC
Term Loan B
5.00% (1 Month LIBOR + 4.00%), due 12/24/21
   2,230,732    2,212,144 
  Brookfield WEC Holdings, Inc.
2020 Term Loan
3.75% (1 Month LIBOR + 3.00%), due 8/1/25
   2,949,969    2,872,004 
  Calpine Corp.          
  Term Loan B5
2.40% (1 Month LIBOR + 2.25%), due 1/15/24
   1,671,655    1,625,684 
  Term Loan B9
2.40% (1 Month LIBOR + 2.25%), due 4/5/26
   3,110,625    3,024,112 
  Compass Power Generation LLC
2018 Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/20/24
   645,559    632,446 
  Edgewater Generation LLC
Term Loan
3.897% (1 Month LIBOR + 3.75%), due 12/13/25
   3,913,854    3,791,546 
  ExGen Renewables IV LLC
Term Loan B
4.00% (3 Month LIBOR + 3.00%), due 11/28/24
   836,787    833,998 
  Granite Acquisition, Inc.          
  Term Loan B
4.50% (3 Month LIBOR + 3.50%), due 12/19/21
   3,076,365    3,053,292 
  2nd Lien Term Loan B
8.25% (3 Month LIBOR + 7.25%), due 12/19/22
   696,328    677,179 
  Granite Generation LLC
Term Loan B
4.75% (1 Month LIBOR + 3.75%, 3 Month LIBOR + 3.750%), due 11/9/26
   3,380,498    3,361,483 
  Hamilton Projects Acquiror LLC
Term Loan B
5.75% (3 Month LIBOR + 4.75%), due 6/17/27
   2,493,750    2,473,488 
  Helix Gen Funding LLC
Term Loan B
4.75% (1 Month LIBOR + 3.75%), due 6/3/24
   2,643,573    2,617,137 
  Pacific Gas & Electric Co.
2020 Term Loan
5.50% (3 Month LIBOR + 4.50%), due 6/23/25
   1,745,625    1,712,167 
  Southeast PowerGen LLC
Term Loan B
4.50% (1 Month LIBOR + 3.50%), due 12/2/21
   403,024    366,080 
  Vistra Operations Co. LLC
1st Lien Term Loan B3
1.897%-1.901% (1 Month LIBOR + 1.75%), due 12/31/25
   3,160,699    3,109,338 
           32,362,098 
  Total Floating Rate Loans
(Cost $543,417,375)
        517,921,574 
             
  Foreign Floating Rate Loans 10.6% (d)          
  Aerospace & Defense 0.3%          
  AI Convoy (Luxembourg) S.A.R.L
Term Loan B
4.65% (6 Month LIBOR + 3.50%), due 1/17/27
   870,625    859,586 
  Kestrel Bidco, Inc.
Term Loan B
4.00% (6 Month LIBOR + 3.00%), due 12/11/26
   1,240,625    1,071,203 
           1,930,789 
  Beverage, Food & Tobacco 1.1%          
  Froneri International, Ltd.
2020 USD Term Loan
2.397% (1 Month LIBOR + 2.25%), due 1/31/27
   1,481,288    1,422,498 
  JBS USA Lux S.A.
2019 Term Loan B
2.147% (1 Month LIBOR + 2.00%), due 5/1/26
   3,608,055    3,514,470 
  Sunshine Investments B.V.
Term Loan B3
3.515% (3 Month LIBOR + 3.25%), due 3/28/25
   1,980,000    1,937,307 
           6,874,275 
  Broadcasting & Entertainment 0.6%          
  Altice France S.A.          
  Term Loan B12
3.84% (1 Month LIBOR + 3.687%), due 1/31/26
   972,476    933,577 
  2018 Term Loan B13
4.152% (1 Month LIBOR + 4.00%), due 8/14/26
   1,228,125    1,188,211 
  Numericable Group S.A.
Term Loan B11
2.897% (1 Month LIBOR + 2.75%), due 7/31/25
   1,905,343    1,811,028 
           3,932,816 
  Chemicals, Plastics & Rubber 1.3%          
  Allnex (Luxembourg) & Cy S.C.A.
2016 Term Loan B2
4.00% (3 Month LIBOR + 3.25%), due 9/13/23 (e)(f)
   963,850    932,525 
  Alpha 3 B.V.
2017 Term Loan B1
4.00% (3 Month LIBOR + 3.00%), due 1/31/24
   1,729,827    1,699,016 
  Diamond (BC) B.V.
Term Loan
3.261% (3 Month LIBOR + 3.00%), due 9/6/24
   1,620,833    1,512,440 
  Flint Group GmbH
Term Loan C
5.25%-5.25% (3 Month LIBOR + 4.25%, PIK), due 9/21/23 (f)(g)
   289,252    260,869 
  Oxea Holding Drei GmbH
2017 USD Term Loan B2
3.688% (1 Month LIBOR + 3.50%), due 10/14/24
   2,256,250    2,162,239 
  Starfruit Finco B.V.
2018 Term Loan B
3.151% (1 Month LIBOR + 3.00%), due 10/1/25
   2,159,222    2,083,650 
           8,650,739 
  Diversified/Conglomerate Manufacturing 0.3%          
  AI Ladder (Luxembourg) Subco S.A R.L.
2018 Term Loan
4.647% (1 Month LIBOR + 4.50%), due 7/9/25 (e)(f)
   796,940    756,429 
  Bright Bidco B.V.
2018 Term Loan B
4.50% (6 Month LIBOR + 3.50%), due 6/30/24
   1,935,067    923,304 
           1,679,733 
  Ecological 0.2%          
  GFL Environmental, Inc.
2018 Term Loan B
4.00% (1 Month LIBOR + 3.00%, 3 Month LIBOR + 3.00%), due 5/30/25
   1,256,902    1,249,761 
             
  Electronics 1.0%          
  ION Trading Technologies S.A R.L.
Incremental Term Loan B
5.00% (3 Month LIBOR + 4.00%), due 11/21/24
   1,458,403    1,427,109 
  Oberthur Technologies S.A.
2016 Term Loan B1
3.97% (3 Month LIBOR + 3.75%), due 1/10/24
   1,086,791    1,042,640 
  SS&C Technologies Holdings Europe S.A R.L.
2018 Term Loan B4
1.897% (1 Month LIBOR + 1.75%), due 4/16/25
   1,704,589    1,647,770 
  Trader Corp.
2017 Term Loan B
4.00% (1 Month LIBOR + 3.00%), due 9/28/23
   2,283,127    2,214,633 
           6,332,152 
  Healthcare, Education & Childcare 1.6%           
  Auris Luxembourg III S.A.R.L.
2019 Term Loan B2
3.897% (1 Month LIBOR + 3.75%), due 2/27/26
   1,164,716    1,075,420 
  Bausch Health Cos., Inc.
2018 Term Loan B
3.151% (1 Month LIBOR + 3.00%), due 6/2/25
   4,946,211    4,840,075 
  Endo Luxembourg Finance Co. I S.A R.L.
2017 Term Loan B
5.00% (3 Month LIBOR + 4.25%), due 4/29/24
   2,264,360    2,157,209 
  Mallinckrodt International Finance S.A.
Term Loan B
3.50% (3 Month LIBOR + 2.75%), due 9/24/24
   1,039,699    868,149 
  Sunshine Luxembourg VII S.A R.L.
Term Loan B1
5.25% (6 Month LIBOR + 4.25%), due 10/1/26
   1,588,000    1,576,941 
           10,517,794 
  Hotels, Motels, Inns & Gaming 0.7%          
  Four Seasons Hotels, Ltd.
New 1st Lien Term Loan
2.147% (1 Month LIBOR + 2.00%), due 11/30/23
   1,450,820    1,406,933 
  Gateway Casinos & Entertainment, Ltd.
2018 Term Loan B
4.50%-4.50% (3 Month LIBOR + 3.00%, PIK), due 3/13/25 (f)(g)
   1,590,861    1,417,855 
  GVC Holdings (Gibraltar), Ltd.
2020 Term Loan B3
2.47% (3 Month LIBOR + 2.25%), due 3/29/24
   1,467,400    1,439,886 
  Stars Group Holdings B.V.
2018 Incremental Term Loan
3.72% (3 Month LIBOR + 3.50%), due 7/10/25
   461,160    460,824 
           4,725,498 
  Leisure, Amusement, Motion Pictures & Entertainment 1.0%          
  Bombardier Recreational Products, Inc.
2020 Term Loan
2.147% (1 Month LIBOR + 2.00%), due 5/24/27
   3,323,766    3,212,776 
  Delta 2 (LUX) S.A.R.L.
2018 Term Loan
3.50% (1 Month LIBOR + 2.50%), due 2/1/24
   2,568,089    2,486,054 
  DHX Media, Ltd.
Term Loan B
5.25% (1 Month LIBOR + 4.25%), due 12/29/23
   698,207    663,296 
           6,362,126 
  Machinery (Non-Agriculture, Non-Construct & Non-Electronic) 0.3%          
  Titan Acquisition, Ltd.
2018 Term Loan B
3.361% (3 Month LIBOR + 3.00%), due 3/28/25
   1,826,027    1,721,030 
             
  Oil & Gas 0.2%          
  NorthRiver Midstream Finance L.P.
2018 Term Loan B
3.546% (3 Month LIBOR + 3.25%), due 10/1/25
   1,176,000    1,133,860 
             
  Personal, Food & Miscellaneous Services 0.7%          
  1011778 B.C. Unlimited Liability Co.
Term Loan B4
1.897% (1 Month LIBOR + 1.75%), due 11/19/26
   2,170,320    2,082,344 
  Jacobs Douwe Egberts International B.V.
2018 Term Loan B
2.188% (1 Month LIBOR + 2.00%), due 11/1/25
   2,629,751    2,607,837 
           4,690,181 
  Printing & Publishing 0.4%          
  Springer Nature Deutschland GmbH
Term Loan B16
4.50% (1 Month LIBOR + 3.50%), due 8/14/24
   2,848,996    2,825,491 
             
  Retail Store 0.1%          
  EG Group, Ltd.
2018 Term Loan B
4.22% (3 Month LIBOR + 4.00%), due 2/7/25
   673,817    653,602 
             
  Telecommunications 0.8%          
  Connect Finco S.A.R.L.
Term Loan B
4.647% (1 Month LIBOR + 4.50%), due 12/11/26
   1,990,000    1,926,569 
  Intelsat Jackson Holdings S.A.          
  2020 DIP Term Loan
5.05% (3 Month LIBOR + 5.50%), due 7/13/22
   120,763    124,184 
  2017 Term Loan B3
8.00% (PRIME + 4.75%), due 11/27/23
   1,639,180    1,642,868 
  Telesat Canada
Term Loan B5
2.90% (1 Month LIBOR + 2.75%), due 12/7/26
   1,488,750    1,435,404 
           5,129,025 
  Total Foreign Floating Rate Loans
(Cost $71,765,987)
        68,408,872 
  Total Long-Term Bonds
(Cost $640,772,432)
        612,623,331 

 

     Shares     
  Affiliated Investment Company 0.4%          
  Fixed Income Fund 0.4%          
  MainStay MacKay High Yield Corporate Bond Fund Class I   436,571    2,370,579 
  Total Affiliated Investment Company          
  (Cost $2,479,721)        2,370,579 
           
  Common Stocks 0.1%        
  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 
  Electronic Equipment, Instruments & Components 0.0% ‡          
  TE Holdings LLC, Class A (e(f)(h)(i)   36,393    0 
             
  Metals & Mining 0.1%          
  AFGlobal Corp. (e)(f)(h)(i)   45,694    665,761 
             
  Oil, Gas & Consumable Fuels 0.0% ‡          
  Ascent Resources (e)(f)(h)(i)   122,031    78,100 
  Philadelphia Energy Solutions, Inc., Class A (e)(f)(h)(i)   52,608    0 
           78,100 
  Total Common Stocks          
  (Cost $2,421,148)        743,861 
             
  Preferred Stock 0.0%‡          
  Media 0.0% ‡          
  TE Holdcorp LLC (e)(f)(h)(i)   29,580    0 
             
  Total Preferred Stock          
  (Cost $0)        0 
             
      Number of      
      Rights      
  Right 0.0%‡          
  Independent Power & Renewable Electricity Producers 0.0% ‡          
  Vistra Energy Corp.          
  Expires 12/31/46 (e)(f)(h)(i)   57,684    62,876 
  Total Right          
  (Cost $47,301)        62,876 

 

      Number of Warrants      
  Warrants 0.0%‡          
  Medical Equipment & Devices 0.0% ‡          
  Carestream Health, Inc.
 Expires 12/31/21 (e)(f)(h)(i)
   29    0 
             
  Oil, Gas & Consumable Fuels 0.0% ‡          
  AP Exhaust Acquisition LLC
Expires 7/24/25 (e)(f)(h)(i)
   1,373    14 
  Ascent Resources (e)(f)(h)(i)          
  1st Lien Warrants
Expires 3/30/30
   11,684    117 
  2nd Lien Tranche A
Expires 3/30/30
   15,022    150 
  2nd Lien Tranche B
Expires 3/30/30
   31,000    310 
           591 
  Total Warrants
(Cost $97,494)
        591 

 

      Principal
Amount
      
  Short-Term Investments 5.4%          
  Repurchase Agreement 0.1%          
  Fixed Income Clearing Corp.
0.00%, dated 9/30/20
due 10/1/20
Proceeds at Maturity $898,517 (Collateralized by a United States Treasury Note with a rate of 2.125% and a maturity date of 2/29/24, with a Principal Amount of $857,800 and a Market Value of $916,509)
  $898,517    898,517 
  Total Repurchase Agreement
(Cost $898,517)
        898,517 
             
  U.S. Government & Federal Agencies 5.3% (j)          
  0.072%, due 10/13/20   25,239,000    25,238,369 
  0.074%, due 11/17/20   2,847,000    2,846,723 
  0.079%, due 11/5/20   2,197,000    2,196,827 
  0.086%, due 10/8/20   1,265,000    1,264,976 
  0.088%, due 10/22/20   1,032,000    1,031,945 
  0.098%, due 11/3/20   1,672,000    1,671,845 
  Total U.S. Government & Federal Agencies
(Cost $34,250,685)
        34,250,685 
  Total Short-Term Investments
(Cost $35,149,202)
        35,149,202 
  Total Investments
(Cost $680,967,298)
   100.5%   650,950,440 
  Other Assets, Less Liabilities   (0.5)   (3,031,143)
  Net Assets   100.0%  $647,919,297 

 

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 September 30, 2020.
(e)Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(f)Illiquid security - As of September 30, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $33,266,330, which represented 5.1% of the Portfolio's net assets.
(g)PIK ("Payment-in-Kind") - issuer may pay interest or dividends with additional securities and/or in cash.
(h)Non-income producing security.
(i)Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of September 30, 2020, the total market value of the fair valued securities was $807,328, which represented 0.1% of the Portfolio's net assets.
(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 September 30, 2020, for valuing the Portfolio's assets:

 

   Quoted Prices   Significant         
   in Active   Other   Significant     
   Markets for   Observable   Unobservable     
   Identical Assets   Inputs   Inputs     
Description  (Level 1)   (Level 2)   (Level 3)   Total 
Asset Valuation Inputs                    
Investments in Securities (a)                    
Long-Term Bonds                    
Corporate Bonds  $   $26,292,885   $   $26,292,885 
Floating Rate Loans (b)       511,127,008    6,794,566    517,921,574 
Foreign Floating Rate Loans (c)       66,719,918    1,688,954    68,408,872 
Total Long-Term Bonds       604,139,811    8,483,520    612,623,331 
Affiliated Investment Company                    
Fixed Income Funds   2,370,579            2,370,579 
Common Stocks (d)           743,861    743,861 
Preferred Stocks (e)           0    0 
Rights (f)           62,876    62,876 
Warrants (g)           591    591 
Short-Term Investments                    
Repurchase Agreement       898,517        898,517 
U.S. Government & Federal Agencies       34,250,685        34,250,685 
Total Short-Term Investments       35,149,202        35,149,202 
Total Investments in Securities  $2,370,579   $639,289,013   $9,290,848   $650,950,440 

 

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

 

(b)The Level 3 securities valued at $6,794,566 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 $1,688,954 within the Foreign Floating Rate Loans section of the Portfolio of Investments were valued by a pricing service without adjustment.

 

(d)The Level 3 securities valued at $0, $0, $665,761, and $78,100 are held in Communications Equipment, Electronic Equipment, Instruments & Components, Metals & Mining, and Oil, Gas & Consumable Fuels, respectively, within the Common Stocks section of the Portfolio of Investments.

 

(e)The Level 3 security valued at $0 is held in Media within the Preferred Stock section of the Portfolio of Investments.

 

(f)The Level 3 security valued at $62,876 is held in Independent Power & Renewable Electricity Producers within the Right section of the Portfolio of Investments.

 

(g)The Level 3 security valued at $0 and $591 is held in Medical Equipment & Devices and Oil, Gas & Consumable Fuels 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
September 30,
2020
   Change in
Unrealized
Appreciation
(Depreciation)
from Investments
Held at September
30, 2020
 
Long-Term Bonds                                                  
Floating Rate Loans  $12,006,938   $5,189   $(785,912)  $287,812   $690,878   $(4,398,076)  $5,771,537   $(6,783,800)  $6,794,566   $(198,778)
Foreign Floating Rate Loans   -    2,355    (9,771)   (61,917)   -    (294,790)   2,053,077    -    1,688,954    (61,917)
Common Stocks   2,853,761    -    (360,293)   (1,749,607)   -    -    -    -    743,861    (2,109,899)
Preferred Stocks   -    -    (227,580)   227,580    -    -    -    -    -    - 
Rights   59,991    -    -    2,885    -    -    -    -    62,876    2,885 
Warrants   3,684    -    -    (94,189)   91,096    -    -    -    591    (94,189)
                                                   
Total  $14,924,374   $7,544   $(1,383,556)  $(1,387,436)  $781,974   $(4,692,866)  $7,824,614   $(6,783,800)  $9,290,848   $(2,461,898)

 

(a) Sales include principal reductions.

 

As of September 30, 2020, securities with a market value of $7,824,614 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 September 30, 2020, securities with a market value of $6,783,800 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 Growth Allocation Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

   Shares   Value 
  Affiliated Investment Companies 97.7% †
 Equity Funds 97.7%          
IQ 50 Percent Hedged FTSE International ETF (a)   1,025,366   $20,394,530 
IQ 500 International ETF (a)   2,028,236    49,870,064 
IQ Candriam ESG International Equity ETF (a)   556,024    13,344,131 
IQ Candriam ESG U.S. Equity ETF (a)   1,208,218    35,107,190 
IQ Chaikin U.S. Large Cap ETF (a)   1,596,562    40,117,133 
IQ Chaikin U.S. Small Cap ETF (a)   291,788    6,471,333 
MainStay Epoch Capital Growth Fund Class I   158,741    2,320,800 
MainStay Epoch International Choice Fund Class I (a)   1,295,945    45,915,328 
MainStay Epoch U.S. All Cap Fund Class R6 (a)   1,458,840    37,944,425 
MainStay MacKay International Opportunities Fund Class I (a)   5,995,892    39,992,596 
MainStay MAP Equity Fund Class I (a)   1,869,447    77,843,767 
MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   5,935,439    58,281,860 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   4,912,908    70,980,225 
MainStay VP MacKay Common Stock Portfolio Initial Class   320,073    8,869,618 
MainStay VP MacKay Growth Portfolio Initial Class (a)   1,481,268    57,568,452 
MainStay VP MacKay International Equity Portfolio Initial Class (a)   1,949,784    33,610,385 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   4,159,032    52,533,143 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class (a)   1,495,875    97,349,300 
MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   3,434,723    31,613,875 
MainStay VP Small Cap Growth Portfolio Initial Class (a)   4,799,192    70,988,208 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   5,842,190    62,862,553 
MainStay VP Winslow Large Cap Growth Portfolio Initial Class (a)   2,934,703    93,854,440 
Total Affiliated Investment Companies
(Cost $988,316,004)
        1,007,833,356 
           
  Short-Term Investment 2.4%          
 Affiliated Investment Company 2.4%          
MainStay U.S. Government Liquidity Fund, 0.02% (b)   24,564,318    24,564,318 
Total Short-Term Investment
(Cost $24,564,318)
        24,564,318 
Total Investments
(Cost $1,012,880,322)
   100.1%   1,032,397,674 
Other Assets, Less Liabilities   (0.1)   (980,585)
Net Assets   100.0%  $1,031,417,089 

 

Percentages indicated are based on Portfolio net assets.
(a) As of September 30, 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 September 30, 2020.

 

Swap Contracts

 

Open OTC total return swap contracts as of June 30, 2020 were as follows1:  

 

Swap
Counterparty
  Reference Obligation 

Floating Rate 2

  Termination
Date(s)
 

Payment
Frequency
Paid/

Received

  Notional
Amount
Long/
(Short)
(000)*
  

Unrealized
Appreciation3

 
Citigroup  iShares MSCI EAFE ETF  1 month LIBOR BBA plus 0.40%  12/01/2020  Monthly  $21,451   $             — 
Citigroup  iShares MSCI Emerging Markets ETF  1 month LIBOR BBA minus 0.65%  12/01/2020  Monthly   (21,395)    
Citigroup  iShares MSCI USA Quality Factor ETF  1 month LIBOR BBA minus 0.40%  12/01/2020  Monthly   (3,733)    
Citigroup  Russell 1000 Growth Total Return Index  1 month LIBOR BBA minus 0.03%  8/05/2021  Monthly   (555)    
Citigroup  Russell 1000 Value Total Return Index  1 month LIBOR BBA plus 0.319%  12/07/2020  Monthly   37,064     
Citigroup  Russell 2000 Total Return Index  1 month LIBOR BBA plus 0.15%  12/07/2020  Monthly   9,351     
Citigroup  Russell Midcap Total Return Index  1 month LIBOR BBA minus 0.128%  12/07/2020  Monthly   (18,354)    
Citigroup  S&P 500 Financial Sector Total Return Index  1 month LIBOR BBA plus 0.26%  9/13/2021  Monthly   4,392     
Citigroup  S&P 500 Materials Sector Total Return Index  1 month LIBOR BBA minus 0.05%  9/13/2021  Monthly   (27,607)    
Citigroup  VanEck Vectors Gold Miners ETF  1 month LIBOR BBA plus 0.50%  12/01/2020  Monthly   16,540     

 

1 As of September 30, 2020, cash in the amount of $2,900,000 was pledged from brokers for OTC swap contracts.
2 Fund pays the floating rate and receives the total return of the reference entity.
3 Reflects the value at reset date as of September 30, 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 September 30, 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   $ 1,007,833,356     $     $     $ 1,007,833,356  
Short-Term Investment     24,564,318                   24,564,318  
Total Investments in Securities   $ 1,032,397,674     $     $     $ 1,032,397,674  

 

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

 

 

 

 

MainStay VP Income Builder Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

   Principal
Amount
   Value 
Long-Term Bonds 56.0% †          
Asset-Backed Securities 3.1%          
Auto Floor Plan Asset-Backed Securities 0.7%          
Ford Credit Floorplan Master Owner Trust          
Series 2019-4, Class A
2.44%, due 9/15/26
  $850,000   $903,006 
Series 2017-3, Class A
2.48%, due 9/15/24
   895,000    929,523 
Series 2018-4, Class A
4.06%, due 11/15/30
   1,210,000    1,379,498 
General Motors Floorplan Owner Revolving Trust
Series 2019-2, Class A
2.90%, due 4/15/26 (a)
   1,280,000    1,373,720 
         4,585,747 
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    530,404 
CarMax Auto Owner Trust
Series 2019-3, Class A3
2.18%, due 8/15/24
   905,000    929,750 
Chase Auto Credit Linked Notes
Series 2020-1, Class B
0.991%, due 1/25/28 (a)
   750,000    751,105 
Ford Credit Auto Owner Trust
Series 2020-1, Class A
2.04%, due 8/15/31 (a)
   680,000    712,527 
Santander Retail Auto Lease Trust
Series 2019-B, Class A3
2.30%, due 1/20/23 (a)
   650,000    664,343 
Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.51%, due 1/26/32 (a)
   445,000    471,400 
Volkswagen Auto Lease Trust
Series 2019-A, Class A3
1.99%, due 11/21/22
   1,000,000    1,018,584 
         5,078,113 
Credit Cards 0.3%          
Capital One Multi-Asset Execution Trust
Series 2019-A3, Class A3
2.06%, due 8/15/28
   700,000    752,348 
Discover Card Execution Note Trust
Series 2017-A7, Class A7
0.512% (1 Month LIBOR + 0.36%), due 4/15/25 (b)
   1,285,000    1,288,173 
         2,040,521 
Home Equity 0.0% ‡          
MASTR Asset-Backed Securities Trust
Series 2006-HE4, Class A1
0.198% (1 Month LIBOR + 0.05%), due 11/25/36 (b)
   220,635    101,654 
           
Other Asset-Backed Securities 1.2%          
American Tower Trust I
Series 2013, Class 2A
3.07%, due 3/15/48 (a)
   175,000    178,595 
Carrington Mortgage Loan Trust
Series 2007-HE1, Class A3
0.338% (1 Month LIBOR + 0.19%), due 6/25/37 (b)
   1,620,000    1,541,487 
CF Hippolyta LLC (a)          
Series 2020-1, Class A1
1.69%, due 7/15/60
   790,000    798,927 
Series 2020-1, Class A2
1.99%, due 7/15/60
   489,184    498,883 
JPMorgan Mortgage Acquisition Trust
Series 2007-HE1, Class AF1
0.248% (1 Month LIBOR + 0.10%), due 3/25/47 (b)
   146,620    92,827 
MMAF Equipment Finance LLC
Series 2020-BA, Class A4
0.66%, due 11/15/27 (a)
   1,500,000    1,497,943 
MVW Owner Trust
Series 2019-2A, Class A
2.22%, due 10/20/38 (a)
   831,105    848,595 
PFS Financing Corp. (a)          
Series 2020-B, Class B
1.71%, due 6/15/24
   355,000    358,083 
Series 2020-A, Class B
1.77%, due 6/15/25
   765,000    767,964 
Sierra Receivables Funding Co., LLC
Series 2020-2A, Class A
1.33%, due 7/20/37 (a)
   570,461    570,724 
         7,154,028 
Student Loans 0.1%          
KeyCorp Student Loan Trust
Series 2000-A, Class A2
0.57% (3 Month LIBOR + 0.32%), due 5/25/29 (b)
   9,197    9,184 
Navient Student Loan Trust
Series 2020-DA, Class A
1.69%, due 5/15/69 (a)
   446,311    452,045 
         461,229 
Total Asset-Backed Securities
(Cost $18,841,315)
        19,421,292 
           
Convertible Bonds 0.6%          
Machinery - Diversified 0.3%          
Chart Industries, Inc.
1.00%, due 11/15/24 (a)
   1,528,000    2,125,411 
           
Semiconductors 0.3%          
ON Semiconductor Corp.
1.625%, due 10/15/23
   1,289,000    1,705,508 
           
Total Convertible Bonds
(Cost $2,525,293)
        3,830,919 
           
Corporate Bonds 34.8%          
Aerospace & Defense 0.2%          
BAE Systems PLC
3.00%, due 9/15/50 (a)
   570,000    576,241 
L3Harris Technologies, Inc.
4.40%, due 6/15/28
   810,000    965,532 
         1,541,773 
Agriculture 0.4%          
Altria Group, Inc.
3.80%, due 2/14/24
   1,300,000    1,420,936 
BAT Capital Corp.
3.734%, due 9/25/40
   340,000    341,188 
JBS Investments II GmbH
7.00%, due 1/15/26 (Austria) (a)
   460,000    491,050 
         2,253,174 
Airlines 1.0%          
American Airlines Pass-Through Trust
Series 2013-2, Class A, Pass-Through Trust
4.95%, due 7/15/24
   1,066,141    914,253 
Delta Air Lines Pass-Through Trust
Series 2019-1, Class AA, Pass-Through Trust
3.204%, due 10/25/25
   920,000    916,885 
Delta Air Lines, Inc.
7.00%, due 5/1/25 (a)
   985,000    1,081,554 
Delta Air Lines, Inc. / SkyMiles IP, Ltd.(a)          
4.50%, due 10/20/25   465,000    477,486 
4.75%, due 10/20/28   325,000    337,441 
Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets, Ltd.
6.50%, due 6/20/27 (a)
   795,000    827,794 
U.S. Airways Pass-Through Trust          
Series 2012-1, Class A, Pass-Through Trust
5.90%, due 4/1/26
   595,433    583,364 
Series 2010-1, Class A, Pass-Through Trust
6.25%, due 10/22/24
   314,226    286,200 
United Airlines Pass-Through Trust          
Series 2014-2, Class B
4.625%, due 3/3/24
   267,648    249,136 
Series 2007-1, Pass-Through Trust
6.636%, due 1/2/24
   355,436    330,582 
         6,004,695 
Apparel 0.1%          
Hanesbrands, Inc.
5.375%, due 5/15/25 (Canada) (a)
   565,000    596,075 
           
Auto Manufacturers 1.0%          
Daimler Finance North America LLC
0.799% (3 Month LIBOR + 0.55%), due 5/4/21 (Germany) (a)(b)
   685,000    685,304 
Ford Motor Co.          
8.50%, due 4/21/23   890,000    970,100 
9.00%, due 4/22/25   890,000    1,020,394 
Ford Motor Credit Co. LLC          
4.063%, due 11/1/24   780,000    779,025 
4.25%, due 9/20/22   305,000    307,641 
5.875%, due 8/2/21   150,000    152,813 
General Motors Co.
6.125%, due 10/1/25
   285,000    331,073 
General Motors Financial Co., Inc.          
3.15%, due 6/30/22   320,000    328,720 
3.45%, due 4/10/22   1,500,000    1,542,186 
5.20%, due 3/20/23   345,000    374,271 
         6,491,527 
Banks 8.0%          
Bank of America Corp.          
2.496%, due 2/13/31 (c)   650,000    683,381 
2.676%, due 6/19/41 (c)   1,195,000    1,220,192 
2.738%, due 1/23/22 (c)   1,150,000    1,158,093 
3.004%, due 12/20/23 (c)   734,000    770,550 
3.458%, due 3/15/25 (c)   1,425,000    1,544,840 
3.499%, due 5/17/22 (c)   1,635,000    1,665,653 
3.705%, due 4/24/28 (c)   555,000    627,585 
4.078%, due 4/23/40 (c)   785,000    934,688 
4.20%, due 8/26/24   325,000    361,933 
4.30%, due 1/28/25 (c)(d)   1,461,000    1,417,170 
6.30%, due 3/10/26 (c)(d)   735,000    830,623 
BNP Paribas S.A.
3.052%, due 1/13/31 (France) (a)(c)
   885,000    949,130 
Citibank N.A.
3.40%, due 7/23/21
   1,340,000    1,370,910 
Citigroup, Inc. (United Kingdom)          
2.976%, due 11/5/30 (c)   845,000    913,556 
3.352%, due 4/24/25 (c)   780,000    843,901 
3.668%, due 7/24/28 (c)   430,000    483,368 
3.70%, due 1/12/26   545,000    610,729 
3.98%, due 3/20/30 (c)   565,000    650,403 
4.05%, due 7/30/22   105,000    111,504 
5.30%, due 5/6/44   436,000    581,391 
6.625%, due 6/15/32   190,000    265,455 
Citizens Financial Group, Inc.
4.30%, due 12/3/25
   1,190,000    1,370,094 
Credit Suisse Group A.G.
2.593%, due 9/11/25 (Switzerland) (a)(c)
   365,000    381,150 
First Horizon National Corp.
4.00%, due 5/26/25
   775,000    842,578 
Goldman Sachs Group, Inc.          
1.45% (3 Month LIBOR + 1.17%), due 5/15/26 (b)   815,000    822,922 
2.905%, due 7/24/23 (c)   310,000    321,567 
2.908%, due 6/5/23 (c)   285,000    295,190 
3.625%, due 1/22/23   1,330,000    1,421,709 
5.25%, due 7/27/21   1,295,000    1,346,867 
6.75%, due 10/1/37   159,000    231,016 
HSBC Holdings PLC
3.973%, due 5/22/30 (United Kingdom) (c)
   465,000    519,158 
Huntington Bancshares, Inc.
3.15%, due 3/14/21
   1,295,000    1,308,876 
JPMorgan Chase & Co.(c)          
2.182%, due 6/1/28   1,250,000    1,304,208 
2.956%, due 5/13/31   475,000    509,630 
3.207%, due 4/1/23   1,540,000    1,600,198 
3.54%, due 5/1/28   1,275,000    1,436,158 
4.60%, due 2/1/25 (d)   1,409,000    1,380,820 
Lloyds Banking Group PLC (United Kingdom)          
4.582%, due 12/10/25   508,000    558,363 
4.65%, due 3/24/26   1,075,000    1,195,448 
Morgan Stanley          
3.125%, due 1/23/23   1,560,000    1,649,341 
3.885% (3 Month LIBOR + 3.61%), due 1/15/21 (b)(d)   645,000    608,719 
4.875%, due 11/1/22   495,000    535,096 
5.00%, due 11/24/25   1,150,000    1,351,054 
6.25%, due 8/9/26   881,000    1,118,868 
7.25%, due 4/1/32   100,000    150,513 
Natwest Group PLC (United Kingdom)          
3.073% (1 Year Treasury Constant Maturity Rate + 2.55%), due 5/22/28 (b)   1,045,000    1,098,165 
6.00%, due 12/19/23   70,000    78,723 
PNC Bank N.A.
2.55%, due 12/9/21
   815,000    835,628 
PNC Financial Services Group, Inc.
2.55%, due 1/22/30
   810,000    877,363 
Toronto-Dominion Bank
1.80%, due 7/13/21 (Canada)
   1,535,000    1,553,331 
Truist Bank
2.636% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (b)
   760,000    788,443 
Truist Financial Corp.
4.95% (5 Year Treasury Constant Maturity Rate + 4.605%), due 9/1/25 (b)(d)
   940,000    989,350 
Wachovia Corp.
5.50%, due 8/1/35
   700,000    930,196 
Wells Fargo & Co.
2.406%, due 10/30/25 (c)
   525,000    549,741 
Wells Fargo Bank N.A.          
2.60%, due 1/15/21   985,000    991,599 
3.55%, due 8/14/23   1,015,000    1,098,841 
         50,045,978 
Beverages 0.2%          
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide, Inc.
4.70%, due 2/1/36
   475,000    573,810 
Anheuser-Busch InBev Worldwide, Inc. (Belgium)          
4.15%, due 1/23/25   250,000    282,882 
4.75%, due 1/23/29   495,000    604,107 
         1,460,799 
Biotechnology 0.2%          
Biogen, Inc.
3.625%, due 9/15/22
   1,240,000    1,313,130 
           
Building Materials 0.7%          
Builders FirstSource, Inc.(a)          
5.00%, due 3/1/30   1,020,000    1,055,700 
6.75%, due 6/1/27   490,000    524,912 
Carrier Global Corp.
2.493%, due 2/15/27 (a)
   1,100,000    1,150,192 
Cemex S.A.B. de C.V.
3.125%, due 3/19/26 (Mexico) (a)
  EUR1,515,000    1,780,702 
         4,511,506 
Chemicals 0.8%          
Air Liquide Finance S.A.
1.75%, due 9/27/21 (France) (a)
  $610,000    618,115 
Avient Corp.
5.75%, due 5/15/25 (a)
   1,218,000    1,291,080 
Braskem Netherlands Finance B.V.
4.50%, due 1/10/28 (Netherlands) (a)
   745,000    717,062 
Huntsman International LLC
4.50%, due 5/1/29
   731,000    822,277 
Nutrition & Biosciences, Inc.
1.832%, due 10/15/27 (a)
   990,000    994,488 
Orbia Advance Corp. S.A.B. de C.V.
4.00%, due 10/4/27 (Mexico) (a)
   625,000    673,438 
         5,116,460 
Commercial Services 0.8%          
Allied Universal Holdco LLC / Allied Universal Finance Corp.
6.625%, due 7/15/26 (a)
   650,000    692,250 
Ashtead Capital, Inc.
4.00%, due 5/1/28 (United Kingdom) (a)
   380,000    394,250 
California Institute of Technology
3.65%, due 9/1/19
   775,000    847,293 
Cintas Corp. No 2
3.70%, due 4/1/27
   1,065,000    1,227,752 
Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   710,000    734,602 
PayPal Holdings, Inc.
2.40%, due 10/1/24
   1,120,000    1,186,693 
         5,082,840 
Computers 0.7%          
Apple, Inc.          
1.55%, due 8/4/21   545,000    550,238 
2.75%, due 1/13/25   715,000    774,290 
Dell International LLC / EMC Corp.(a)          
4.90%, due 10/1/26   680,000    768,687 
5.30%, due 10/1/29   318,000    364,714 
8.10%, due 7/15/36   470,000    618,068 
NCR Corp.
5.00%, due 10/1/28 (a)
   991,000    991,793 
         4,067,790 
Cosmetics & Personal Care 0.1%          
Estee Lauder Cos., Inc.
2.60%, due 4/15/30
   315,000    344,139 
           
Distribution & Wholesale 0.3%          
Performance Food Group, Inc.
5.50%, due 10/15/27 (a)
   1,893,000    1,949,790 
           
Diversified Financial Services 2.0%          
AerCap Ireland Capital DAC / AerCap Global Aviation Trust (Ireland)          
3.30%, due 1/23/23   730,000    732,612 
4.45%, due 12/16/21   285,000    291,203 
4.625%, due 7/1/22   415,000    426,058 
Air Lease Corp.          
2.30%, due 2/1/25   1,215,000    1,195,474 
2.75%, due 1/15/23   500,000    511,102 
3.50%, due 1/15/22   340,000    348,813 
4.25%, due 9/15/24   420,000    439,414 
Ally Financial, Inc.          
3.875%, due 5/21/24   310,000    330,365 
8.00%, due 11/1/31   1,560,000    2,135,834 
Avolon Holdings Funding, Ltd.
2.875%, due 2/15/25 (a)
   1,040,000    953,266 
BOC Aviation, Ltd.
2.625%, due 9/17/30 (a)
   1,120,000    1,110,729 
Capital One Financial Corp.
4.20%, due 10/29/25
   165,000    183,155 
Caterpillar Financial Services Corp.
2.90%, due 3/15/21
   1,735,000    1,755,055 
Charles Schwab Corp.
5.375% (5 Year Treasury Constant Maturity Rate + 4.971%), due 6/1/25 (b)(d)
   1,000,000    1,083,550 
Intercontinental Exchange, Inc.
3.00%, due 9/15/60
   900,000    910,080 
         12,406,710 
Electric 1.0%          
Connecticut Light & Power Co.
4.00%, due 4/1/48
   450,000    569,754 
Duke Energy Ohio, Inc.
4.30%, due 2/1/49
   565,000    714,914 
Duquesne Light Holdings, Inc.
3.616%, due 8/1/27 (a)
   865,000    923,964 
Entergy Louisiana LLC
4.00%, due 3/15/33
   790,000    989,199 
Evergy, Inc.
5.292%, due 6/15/22 (e)
   500,000    531,625 
Public Service Electric & Gas Co.
3.00%, due 5/15/27
   800,000    886,402 
Puget Energy, Inc.
5.625%, due 7/15/22
   350,000    375,049 
Southern California Edison Co.          
3.70%, due 8/1/25 (f)   330,000    365,795 
4.00%, due 4/1/47   520,000    557,971 
WEC Energy Group, Inc.
2.393% (3 Month LIBOR + 2.113%), due 5/15/67 (b)
   480,000    389,550 
         6,304,223 
Environmental Controls 0.2%          
Republic Services, Inc.
4.75%, due 5/15/23
   580,000    637,796 
Waste Management, Inc.
2.40%, due 5/15/23
   810,000    846,334 
         1,484,130 
Food 1.7%          
JBS USA LUX S.A. / JBS Food Co. / JBS USA Finance, Inc.
5.50%, due 1/15/30 (a)
   485,000    527,908 
Kraft Heinz Foods Co.          
4.25%, due 3/1/31 (a)   1,267,000    1,390,090 
5.00%, due 7/15/35   501,000    576,900 
Mondelez International Holdings Netherlands B.V.
2.00%, due 10/28/21 (Netherlands) (a)
   1,110,000    1,127,440 
Nestle Holdings, Inc.(a)          
1.00%, due 9/15/27   1,750,000    1,749,279 
3.10%, due 9/24/21   1,615,000    1,656,624 
Smithfield Foods, Inc.
3.35%, due 2/1/22 (a)
   565,000    570,991 
Sysco Corp.          
3.30%, due 2/15/50   465,000    436,311 
5.95%, due 4/1/30   530,000    671,737 
Tyson Foods, Inc.
3.95%, due 8/15/24
   965,000    1,074,316 
U.S. Foods, Inc.
6.25%, due 4/15/25 (a)
   830,000    878,762 
         10,660,358 
Food Services 0.1%          
Aramark Services, Inc.
6.375%, due 5/1/25 (a)
   757,000    788,548 
           
Gas 0.1%          
Southern California Gas Co.
4.30%, due 1/15/49
   325,000    414,019 
           
Health Care - Products 0.1%          
Abbott Laboratories
3.40%, due 11/30/23
   535,000    581,786 
           
Health Care - Services 0.6%          
Cigna Holding Co.
4.375%, due 12/15/20
   135,000    135,417 
Health Care Service Corp. A Mutual Legal Reserve Co.
2.20%, due 6/1/30 (a)
   1,685,000    1,725,871 
Laboratory Corp. of America Holdings
2.30%, due 12/1/24 (f)
   1,225,000    1,294,573 
NYU Langone Hospitals
3.38%, due 7/1/55
   630,000    636,930 
         3,792,791 
Holding Company - Diversified 0.2%          
CK Hutchison International (17) II, Ltd.
3.25%, due 9/29/27 (Hong Kong) (a)
   925,000    1,014,189 
           
Insurance 1.9%          
Equitable Holdings, Inc.
5.00%, due 4/20/48
   830,000    981,085 
Jackson National Life Global Funding
0.73% (3 Month LIBOR + 0.48%), due 6/11/21 (a)(b)
   1,895,000    1,899,870 
Liberty Mutual Group, Inc.
4.25%, due 6/15/23 (a)
   295,000    323,391 
MassMutual Global Funding II(a)          
2.50%, due 10/17/22   1,270,000    1,324,240 
2.95%, due 1/11/25   365,000    398,135 
Peachtree Corners Funding Trust
3.976%, due 2/15/25 (a)
   425,000    467,927 
Pricoa Global Funding I
2.55%, due 11/24/20 (a)
   765,000    767,527 
Principal Life Global Funding II
2.375%, due 11/21/21 (a)
   1,470,000    1,501,396 
Protective Life Corp.
8.45%, due 10/15/39
   725,000    1,138,204 
Reliance Standard Life Global Funding II
2.50%, due 10/30/24 (United Kingdom) (a)
   950,000    991,788 
Voya Financial, Inc.
3.65%, due 6/15/26
   310,000    351,335 
Willis North America, Inc.          
2.95%, due 9/15/29   1,395,000    1,503,222 
3.875%, due 9/15/49   185,000    212,621 
         11,860,741 
Internet 0.5%          
Expedia Group, Inc.          
3.25%, due 2/15/30   1,305,000    1,257,381 
3.60%, due 12/15/23 (a)   480,000    490,422 
3.80%, due 2/15/28   157,000    158,545 
5.00%, due 2/15/26   22,000    23,463 
6.25%, due 5/1/25 (a)   200,000    220,582 
Weibo Corp. (China)          
3.375%, due 7/8/30   715,000    726,447 
3.50%, due 7/5/24   465,000    489,258 
         3,366,098 
Internet Software & Services 0.1%          
Cablevision Lightpath LLC
3.875%, due 9/15/27 (a)
   415,000    415,000 
           
Iron & Steel 0.3%          
ArcelorMittal S.A.
4.55%, due 3/11/26 (Luxembourg)
   800,000    866,849 
Vale Overseas, Ltd. (Brazil)          
6.25%, due 8/10/26   435,000    514,388 
6.875%, due 11/21/36   305,000    397,015 
         1,778,252 
Lodging 0.7%          
Boyd Gaming Corp.
8.625%, due 6/1/25 (a)
   252,000    276,263 
Hilton Domestic Operating Co., Inc.          
4.875%, due 1/15/30   695,000    715,850 
5.75%, due 5/1/28 (a)   315,000    331,931 
Las Vegas Sands Corp.
3.20%, due 8/8/24
   555,000    561,032 
Marriott International, Inc.          
2.30%, due 1/15/22   890,000    896,668 
3.60%, due 4/15/24   920,000    948,208 
Sands China, Ltd. (Macao)          
4.60%, due 8/8/23   355,000    378,469 
5.125%, due 8/8/25   460,000    501,846 
         4,610,267 
Machinery - Diversified 0.4%          
CNH Industrial Capital LLC          
4.20%, due 1/15/24   545,000    585,563 
4.875%, due 4/1/21   1,445,000    1,472,894 
John Deere Capital Corp.
3.65%, due 10/12/23
   135,000    148,342 
         2,206,799 
Media 0.7%          
Comcast Corp.          
3.25%, due 11/1/39   675,000    751,702 
4.70%, due 10/15/48   555,000    740,148 
Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (a)(f)
   1,330,000    692,431 
Grupo Televisa S.A.B.
5.25%, due 5/24/49 (Mexico)
   480,000    563,861 
Sirius XM Radio, Inc.
4.125%, due 7/1/30 (a)
   955,000    972,906 
Sky, Ltd.
3.75%, due 9/16/24 (a)
   340,000    379,197 
Time Warner Entertainment Co., L.P.
8.375%, due 3/15/23
   355,000    417,195 
         4,517,440 
Metal Fabricate & Hardware 0.3%          
Precision Castparts Corp.
3.25%, due 6/15/25
   1,455,000    1,611,840 
           
Mining 0.4%          
Anglo American Capital PLC
4.875%, due 5/14/25 (United Kingdom) (a)
   455,000    518,250 
Corp. Nacional del Cobre de Chile
3.00%, due 9/30/29 (Chile) (a)
   635,000    670,731 
Glencore Funding LLC
1.625%, due 9/1/25 (a)
   1,205,000    1,194,890 
         2,383,871 
Miscellaneous - Manufacturing 0.6%          
General Electric Co.          
3.625%, due 5/1/30   645,000    667,971 
4.25%, due 5/1/40   705,000    715,264 
4.35%, due 5/1/50   550,000    560,786 
Siemens Financieringsmaatschappij N.V.
2.70%, due 3/16/22 (Germany) (a)
   760,000    785,096 
Textron Financial Corp.
2.015% (3 Month LIBOR + 1.735%), due 2/15/67 (a)(b)
   1,295,000    893,550 
         3,622,667 
Oil & Gas 1.2%          
BP Capital Markets America, Inc.
3.00%, due 2/24/50
   345,000    332,095 
BP Capital Markets PLC
4.875% (5 Year Treasury Constant Maturity Rate + 4.398%), due 3/22/30 (b)(d)
   1,120,000    1,198,400 
Gazprom PJSC Via Gaz Capital S.A.
7.288%, due 8/16/37 (Luxembourg) (a)
   640,000    904,403 
Marathon Petroleum Corp.          
4.50%, due 5/1/23   620,000    669,108 
4.70%, due 5/1/25   675,000    762,799 
5.125%, due 12/15/26   450,000    521,705 
Total Capital International S.A.
3.127%, due 5/29/50 (France)
   975,000    1,011,915 
Valero Energy Corp.          
3.65%, due 3/15/25   1,000,000    1,082,291 
6.625%, due 6/15/37   415,000    522,023 
WPX Energy, Inc.
4.50%, due 1/15/30
   145,000    142,555 
         7,147,294 
Packaging & Containers 0.4%          
Berry Global, Inc.
4.875%, due 7/15/26 (a)
   84,000    88,200 
Owens Brockway Glass Container, Inc.
6.625%, due 5/13/27 (a)
   1,135,000    1,229,347 
Reynolds Group Issuer, Inc. / Reynolds Group Issuer LLC
5.125%, due 7/15/23 (New Zealand) (a)
   1,060,000    1,073,250 
         2,390,797 
Pharmaceuticals 1.0%          
AbbVie, Inc.(a)          
3.45%, due 3/15/22   1,005,000    1,042,416 
4.05%, due 11/21/39   1,125,000    1,293,703 
Bausch Health Cos., Inc.(a)          
5.75%, due 8/15/27   465,000    493,481 
6.25%, due 2/15/29   555,000    570,851 
Becton Dickinson & Co.
4.669%, due 6/6/47
   635,000    784,098 
Bristol-Myers Squibb Co.
3.625%, due 5/15/24
   1,400,000    1,542,762 
Eli Lilly & Co.
2.50%, due 9/15/60
   725,000    688,776 
         6,416,087 
Pipelines 0.7%          
Enterprise Products Operating LLC          
3.125%, due 7/31/29   630,000    686,688 
3.95%, due 1/31/60   595,000    587,135 
4.20%, due 1/31/50   160,000    170,104 
MPLX, L.P.
2.65%, due 8/15/30
   730,000    712,527 
Spectra Energy Partners, L.P.
4.75%, due 3/15/24
   795,000    885,346 
Transcontinental Gas Pipe Line Co. LLC
4.60%, due 3/15/48
   840,000    960,494 
Western Midstream Operating L.P.
6.25%, due 2/1/50
   350,000    324,188 
         4,326,482 
Real Estate Investment Trusts 1.4%          
Alexandria Real Estate Equities, Inc.
3.375%, due 8/15/31
   825,000    930,927 
American Tower Corp.          
3.375%, due 10/15/26   705,000    780,711 
3.60%, due 1/15/28   375,000    420,638 
Crown Castle International Corp.
5.25%, due 1/15/23
   1,290,000    1,420,081 
Digital Realty Trust, L.P.
3.70%, due 8/15/27
   1,295,000    1,455,456 
Equinix, Inc.          
1.25%, due 7/15/25   710,000    714,865 
2.625%, due 11/18/24 (f)   740,000    786,809 
GLP Capital, L.P. / GLP Financing II, Inc.
3.35%, due 9/1/24
   505,000    512,227 
Iron Mountain, Inc.
5.25%, due 7/15/30 (a)
   720,000    750,600 
Kilroy Realty, L.P.
3.45%, due 12/15/24
   720,000    759,759 
         8,532,073 
Retail 1.3%          
AutoNation, Inc.
4.75%, due 6/1/30
   630,000    742,275 
CVS Health Corp.          
2.70%, due 8/21/40   1,255,000    1,196,120 
4.78%, due 3/25/38   400,000    487,355 
CVS Pass-Through Trust
5.789%, due 1/10/26 (a)
   26,355    28,399 
Macy’s, Inc.
8.375%, due 6/15/25 (a)
   1,370,000    1,416,484 
McDonald’s Corp.
3.35%, due 4/1/23
   1,085,000    1,158,754 
O’Reilly Automotive, Inc.
3.55%, due 3/15/26
   1,000,000    1,129,825 
QVC, Inc.
4.375%, due 9/1/28
   940,000    958,800 
Starbucks Corp.          
3.35%, due 3/12/50   375,000    384,817 
4.45%, due 8/15/49   475,000    573,454 
         8,076,283 
Semiconductors 0.4%          
Broadcom, Inc.
3.125%, due 10/15/22
   945,000    988,989 
Intel Corp.
4.75%, due 3/25/50
   515,000    709,217 
NXP B.V. / NXP Funding LLC / NXP USA, Inc.
3.40%, due 5/1/30 (Netherlands) (a)
   555,000    607,563 
         2,305,769 
Software 0.3%          
Fiserv, Inc.          
2.75%, due 7/1/24   325,000    347,190 
3.20%, due 7/1/26   205,000    227,764 
salesforce.com, Inc.          
3.25%, due 4/11/23   510,000    546,335 
3.70%, due 4/11/28   690,000    814,661 
         1,935,950 
Telecommunications 1.6%          
AT&T, Inc.          
2.875% (EUAM DB05 + 3.14%), due 3/2/25 (b)(d)  EUR800,000    904,428 
3.50%, due 9/15/53 (a)  $795,000    768,625 
4.35%, due 3/1/29   320,000    376,674 
CommScope Technologies LLC
6.00%, due 6/15/25 (a)
   443,000    449,003 
CommScope, Inc.
7.125%, due 7/1/28 (a)
   1,080,000    1,109,700 
Crown Castle Towers LLC
4.241%, due 7/15/48 (a)
   990,000    1,128,178 
Level 3 Financing, Inc.
3.40%, due 3/1/27 (a)
   1,050,000    1,130,617 
Sprint Communications, Inc.
6.00%, due 11/15/22
   24,000    25,860 
Sprint Spectrum Co. LLC / Sprint Spectrum Co. II LLC / Sprint Spectrum Co. III LLC
4.738%, due 9/20/29 (a)
   1,545,000    1,670,531 
T-Mobile USA, Inc.
4.50%, due 4/15/50 (a)
   430,000    515,860 
Telefonica Emisiones S.A.
5.462%, due 2/16/21 (Spain)
   175,000    178,235 
Verizon Communications, Inc.
1.38% (3 Month LIBOR + 1.10%), due 5/15/25 (b)
   985,000    1,006,235 
Vodafone Group PLC
4.25%, due 9/17/50
   685,000    794,471 
         10,058,417 
Toys, Games & Hobbies 0.1%          
Hasbro, Inc.
2.60%, due 11/19/22 (Canada)
   500,000    517,991 
           
Transportation 0.0% ‡          
XPO Logistics, Inc.
6.50%, due 6/15/22 (a)
   277,000    277,693 
Total Corporate Bonds
(Cost $205,406,804)
        216,584,241 
           
Foreign Bonds 0.1%          
Banks 0.1%          
Barclays Bank PLC
Series Reg S
10.00%, due 5/21/21 (United Kingdom)
  GBP525,000    714,383 
Total Foreign Bonds
(Cost $832,699)
        714,383 
           
Foreign Government Bonds 0.5%          
Brazil 0.2%          
Brazilian Government International Bond
4.625%, due 1/13/28 (Brazil)
  $1,161,000    1,258,536 
           
Mexico 0.3%          
Mexico Government International Bond
3.25%, due 4/16/30 (Mexico)
   2,031,000    2,080,373 
           
Total Foreign Government Bonds
(Cost $3,239,362)
        3,338,909 
           
Loan Assignments 0.8% (b)          
Buildings & Real Estate 0.2%          
Realogy Group LLC
2018 Term Loan B
3.00%(1 Month LIBOR + 2.25%), due 2/8/25
   1,238,212    1,183,008 
Containers, Packaging & Glass 0.2%          
BWAY Holding Co.
2017 Term Loan B
3.523%(3 Month LIBOR + 3.25%), due 4/3/24
   1,266,905    1,193,530 
Finance 0.2%          
Alliant Holdings Intermediate LLC
2018 Term Loan B
2.897%(1 Month LIBOR + 2.75%), due 5/9/25
   1,262,089    1,222,648 
Personal & Nondurable Consumer Products (Manufacturing Only) 0.1%          
Prestige Brands, Inc.
Term Loan B4
2.147%(1 Month LIBOR + 2.00%), due 1/26/24
   417,413    413,761 
Telecommunications 0.1%          
Level 3 Financing, Inc.
2019 Term Loan B
1.897%(1 Month LIBOR + 1.75%), due 3/1/27
   718,508    694,259 
Total Loan Assignments
(Cost $4,800,589)
        4,707,206 
           
Mortgage-Backed Securities 6.2%          
Agency (Collateralized Mortgage Obligations) 2.1%          
Federal Home Loan Mortgage Corporation          
REMIC, Series 4926, Class BP
3.00%, due 10/25/49
   1,975,000    2,111,785 
REMIC Series 4888, Class BA
3.50%, due 9/15/48
   481,639    504,913 
REMIC Series 4877, Class AT
3.50%, due 11/15/48
   763,934    809,576 
REMIC Series 4877, Class BE
3.50%, due 11/15/48
   1,165,143    1,231,256 
REMIC, Series 4958, Class DL
4.00%, due 1/25/50
   1,775,000    1,932,189 
Federal National Mortgage Association          
REMIC, Series 2013-77, Class CY
3.00%, due 7/25/43
   746,000    817,129 
REMIC, Series 2019-13, Class PE
3.00%, due 3/25/49
   785,412    836,555 
REMIC Series 2019-13, Class CA
3.50%, due 4/25/49
   1,132,715    1,242,660 
REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   1,095,209    1,208,006 
Government National Mortgage Association
Series 2013-149, Class BA
3.25%, due 8/16/41
   2,198,069    2,338,549 
         13,032,618 
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.7%          
BANK          
Series 2019-BN21, Class A5
2.851%, due 10/17/52
   1,200,000    1,327,608 
Series 2019-BN19, Class A2
2.926%, due 8/15/61
   1,205,000    1,316,068 
Bayview Commercial Asset Trust
Series 2006-4A, Class A1
0.378% (1 Month LIBOR + 0.23%), due 12/25/36 (a)(b)
   41,222    38,305 
Benchmark Mortgage Trust          
Series 2020-B19, Class A2
1.691%, due 9/15/53
   935,000    962,698 
Series 2019-B12, Class A5
3.116%, due 8/15/52
   1,119,000    1,258,904 
BX Commercial Mortgage Trust (a)          
Series 2018-BILT, Class A
0.952% (1 Month LIBOR + 0.80%), due 5/15/30 (b)
   1,065,000    1,019,592 
Series 2018-GW, Class A
0.952% (1 Month LIBOR + 0.80%), due 5/15/35 (b)
   760,000    733,314 
Series 2019-OC11, Class A
3.202%, due 12/9/41
   515,000    545,143 
Series 2020-VIV3, Class B
3.543%, due 3/9/44
   485,059    487,427 
Series 2019-OC11, Class B
3.605%, due 12/9/41
   360,000    373,270 
Series 2019-OC11, Class C
3.856%, due 12/9/41
   990,000    973,020 
CSAIL Commercial Mortgage Trust
Series 2015-C3, Class A4
3.718%, due 8/15/48
   670,000    738,617 
FREMF Mortgage Trust (a)(g)          
Series 2015-K720, Class B
3.51%, due 7/25/22
   460,000    475,346 
Series 2013-K33, Class B
3.613%, due 8/25/46
   1,094,000    1,160,984 
Series 2014-K41, Class B
3.964%, due 11/25/47
   330,000    362,579 
Series 2013-K35, Class B
4.073%, due 12/25/46
   490,000    527,405 
GB Trust (a)(b)          
Series 2020-FLIX, Class C
1.752% (1 Month LIBOR + 1.60%), due 8/15/37
   500,000    501,219 
Series 2020-FLIX, Class D
2.502% (1 Month LIBOR + 2.35%), due 8/15/37
   700,000    701,708 
GS Mortgage Securities Trust          
Series 2019-GC42, Class A4
3.001%, due 9/1/52
   475,000    530,583 
Series 2019-GC40, Class A4
3.16%, due 7/10/52
   788,000    888,498 
Hawaii Hotel Trust
Series 2019-MAUI, Class A
1.302% (1 Month LIBOR + 1.15%), due 5/15/38 (a)(b)
   460,000    445,120 
Hudson Yards Mortgage Trust
Series 2019-30HY, Class A
3.228%, due 7/10/39 (a)
   560,000    627,371 
JP Morgan Chase Commercial Mortgage Securities Trust
Series 2013-C16, Class A4
4.166%, due 12/15/46
   880,000    959,697 
Manhattan West
Series 2020-1MW, Class D
2.13%, due 9/10/39 (a)
   1,120,000    1,161,696 
Morgan Stanley Bank of America Merrill Lynch Trust
Series-2015-C23, Class A3
3.451%, due 7/15/50
   471,777    516,267 
Morgan Stanley Capital I Trust
Series 2015-UBS8, Class A4
3.809%, due 12/15/48
   780,000    872,461 
One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (a)
   1,030,000    1,095,982 
Wells Fargo Commercial Mortgage Trust (a)(g)          
Series 2018-1745, Class A
3.874%, due 6/15/36
   940,000    1,035,715 
Series 2018-AUS, Class A
4.194%, due 8/17/36
   1,200,000    1,317,740 
         22,954,337 
Whole Loan (Collateralized Mortgage Obligations) 0.4%          
Chase Home Lending Mortgage Trust (a)(h)          
Series 2019-ATR2, Class A3
3.50%, due 7/25/49
   134,179    138,157 
Series 2019-ATR1, Class A4
4.00%, due 4/25/49
   193,599    194,731 
JP Morgan Mortgage Trust (a)(h)          
Series 2019-3, Class A3
4.00%, due 9/25/49
   191,934    197,458 
Series 2019-5, Class A4
4.00%, due 11/25/49
   103,918    104,670 
Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   606,431    659,324 
Wells Fargo Mortgage Backed Securities Trust
Series 2020-2, Class A1
3.00%, due 12/25/49 (a)(h)
   996,551    1,027,396 
         2,321,736 
Total Mortgage-Backed Securities
(Cost $36,880,518)
        38,308,691 
           
Municipal Bonds 0.2%          
California 0.2%          
Regents of the University of California Medical Center Pooled, Revenue Bonds
Series N
3.006%, due 5/15/50
   1,115,000    1,207,378 
           
New York 0.0% ‡          
New York State Thruway Authority, Revenue Bonds
Series M
2.90%, due 1/1/35
   175,000    190,195 
Total Municipal Bonds
(Cost $1,290,000)
        1,397,573 
           
U.S. Government & Federal Agencies 9.7%          
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 2.5%          
2.00%, due 7/1/50   955,637    988,229 
2.00%, due 8/1/50   2,557,788    2,674,815 
2.00%, due 8/1/50   1,228,935    1,270,848 
2.00%, due 8/1/50   911,842    942,940 
2.50%, due 1/1/40   299,109    313,997 
2.50%, due 4/1/50   727,690    763,912 
3.50%, due 1/1/48   3,268,961    3,475,814 
3.50%, due 1/1/50   1,621,501    1,710,144 
4.00%, due 2/1/49   391,022    420,609 
5.00%, due 12/1/44   1,276,754    1,467,507 
5.00%, due 12/1/48   1,276,181    1,398,483 
         15,427,298 
Federal National Mortgage Association (Mortgage Pass-Through Securities) 2.4%          
2.50%, due 8/1/35   730,839    763,772 
2.50%, due 2/1/40   299,479    314,386 
2.50%, due 5/1/50   817,161    857,836 
2.50%, due 8/1/50   99,258    104,624 
2.50%, due 8/1/50   1,312,673    1,383,434 
3.00%, due 3/1/50   1,379,430    1,458,728 
3.00%, due 4/1/50   1,210,820    1,269,566 
3.50%, due 3/1/37   1,707,456    1,890,257 
3.50%, due 2/1/42   1,331,788    1,441,907 
4.00%, due 5/1/48   1,020,998    1,089,512 
4.00%, due 9/1/48   1,776,856    1,918,466 
4.00%, due 1/1/49   432,043    468,945 
4.00%, due 2/1/49   370,619    398,156 
5.00%, due 9/1/33   1,539,174    1,764,838 
6.00%, due 4/1/37   8,494    9,643 
         15,134,070 
United States Treasury Bonds 0.9%          
4.375%, due 11/15/39   2,732,000    4,274,513 
4.375%, due 5/15/40   705,000    1,108,503 
4.50%, due 5/15/38   210,000    328,420 
         5,711,436 
United States Treasury Notes 3.2%          
0.125%, due 7/31/22   10,645,000    10,645,000 
0.125%, due 8/15/23   1,050,000    1,049,179 
0.25%, due 7/31/25   6,655,000    6,650,321 
0.375%, due 7/31/27   635,000    631,825 
0.625%, due 8/15/30   1,000,000    995,000 
         19,971,325 
United States Treasury Inflation - Indexed Note 0.7% (i)          
0.875%, due 1/15/29   3,821,701    4,453,028 
           
Total U.S. Government & Federal Agencies
(Cost $58,154,771)
        60,697,157 
           
Total Long-Term Bonds
(Cost $331,971,351)
        349,000,371 

 

   Shares     
Common Stocks 38.0%          
Aerospace & Defense 0.7%          
BAE Systems PLC (United Kingdom)   405,537    2,522,231 
Lockheed Martin Corp.   5,144    1,971,592 
         4,493,823 
Air Freight & Logistics 1.0%          
Deutsche Post A.G., Registered (Germany)   62,555    2,853,027 
Hyundai Glovis Co., Ltd. (Republic of Korea)   10,290    1,267,003 
United Parcel Service, Inc., Class B   10,868    1,810,935 
         5,930,965 
Auto Components 0.3%          
Cie Generale des Etablissements Michelin SCA (France)   19,165    2,060,948 
           
Banks 1.0%          
JPMorgan Chase & Co.   16,344    1,573,437 
PNC Financial Services Group, Inc.   9,292    1,021,284 
Royal Bank of Canada (Canada)   31,279    2,196,143 
Truist Financial Corp.   41,150    1,565,757 
         6,356,621 
Beverages 0.9%          
Coca-Cola Co.   39,493    1,949,769 
Coca-Cola European Partners PLC (United Kingdom)   33,517    1,300,795 
PepsiCo., Inc.   15,266    2,115,868 
         5,366,432 
Biotechnology 0.9%          
AbbVie, Inc.   39,101    3,424,857 
Amgen, Inc.   9,126    2,319,464 
         5,744,321 
Capital Markets 1.3%          
BlackRock, Inc.   2,986    1,682,760 
CME Group, Inc.   6,305    1,054,889 
Lazard, Ltd., Class A   44,053    1,455,952 
Macquarie Group, Ltd. (Australia)   14,969    1,281,975 
Singapore Exchange, Ltd. (Singapore)   228,000    1,528,296 
T. Rowe Price Group, Inc.   9,872    1,265,788 
         8,269,660 
Chemicals 1.3%          
BASF S.E. (Germany)   39,576    2,411,917 
Dow, Inc.   30,615    1,440,436 
LyondellBasell Industries N.V., Class A   22,650    1,596,598 
Nutrien, Ltd.   66,377    2,603,970 
         8,052,921 
Commercial Services & Supplies 0.0% ‡          
Quad/Graphics, Inc.   6    18 
           
Communications Equipment 0.4%          
Cisco Systems, Inc.   67,367    2,653,586 
           
Diversified Telecommunication Services 2.6%          
AT&T, Inc.   117,893    3,361,129 
BCE, Inc. (Canada)   72,615    3,011,378 
Deutsche Telekom A.G., Registered (Germany)   83,297    1,395,584 
Orange S.A. (France)   126,071    1,313,161 
TELUS Corp. (Canada)   136,975    2,410,217 
Verizon Communications, Inc.   77,986    4,639,387 
         16,130,856 
Electric 0.0% ‡          
Siemens Energy A.G. (Germany) (j)   915    24,674 
           
Electric Utilities 2.2%          
American Electric Power Co., Inc.   25,968    2,122,365 
Duke Energy Corp.   26,051    2,307,076 
Entergy Corp.   25,222    2,485,124 
Evergy, Inc.   24,724    1,256,474 
FirstEnergy Corp.   52,765    1,514,883 
Fortis, Inc. (Canada)   45,547    1,862,175 
Terna Rete Elettrica Nazionale S.p.A. (Italy)   336,011    2,353,493 
         13,901,590 
Electrical Equipment 0.8%          
Eaton Corp. PLC   31,443    3,208,129 
Emerson Electric Co.   25,720    1,686,461 
         4,894,590 
Equity Real Estate Investment Trusts 1.0%          
American Tower Corp.   6,305    1,524,108 
Iron Mountain, Inc.   103,872    2,782,731 
Welltower, Inc.   34,017    1,873,996 
         6,180,835 
Food Products 0.9%          
Danone S.A. (France)   26,384    1,708,171 
Nestle S.A., Registered (Switzerland)   19,911    2,363,681 
Orkla ASA (Norway)   160,946    1,628,527 
         5,700,379 
Gas Utilities 0.6%          
Snam S.p.A. (Italy)   714,004    3,674,180 
           
Health Care Providers & Services 0.3%          
UnitedHealth Group, Inc.   5,558    1,732,818 
           
Hotels, Restaurants & Leisure 0.9%          
Las Vegas Sands Corp.   30,779    1,436,148 
McDonald’s Corp.   5,973    1,311,014 
Restaurant Brands International, Inc. (Canada) (f)   22,733    1,307,375 
Vail Resorts, Inc.   7,218    1,544,435 
         5,598,972 
Household Durables 0.2%          
Leggett & Platt, Inc.   32,936    1,355,975 
           
Household Products 0.8%          
Kimberly-Clark Corp.   20,492    3,025,849 
Procter & Gamble Co.   14,020    1,948,640 
         4,974,489 
Industrial Conglomerates 0.3%          
Siemens A.G., Registered (Germany)   15,392    1,946,840 
           
Insurance 2.4%          
Allianz S.E., Registered (Germany)   17,588    3,374,016 
Assicurazioni Generali S.p.A. (Italy)   118,337    1,668,399 
AXA S.A. (France)   95,244    1,761,687 
MetLife, Inc.   54,344    2,019,966 
Muenchener Rueckversicherungs-Gesellschaft A.G., Registered (Germany)   11,283    2,865,347 
SCOR S.E. (France) (j)   48,119    1,334,829 
Tokio Marine Holdings, Inc. (Japan)   38,500    1,679,230 
         14,703,474 
IT Services 0.5%          
International Business Machines Corp.   25,884    3,149,306 
           
Leisure Products 0.2%          
Hasbro, Inc.   18,501    1,530,403 
           
Machinery 0.3%          
Atlas Copco A.B., Class A (Sweden)   33,517    1,604,771 
           
Media 0.3%          
Comcast Corp., Class A   34,264    1,585,052 
ION Media Networks, Inc. (j)(k)(l)(m)(n)   8    3,774 
         1,588,826 
Multi-Utilities 1.6%          
Ameren Corp.   30,032    2,374,930 
Dominion Energy, Inc.   37,748    2,979,450 
National Grid PLC (United Kingdom)   171,074    1,964,191 
WEC Energy Group, Inc.   27,794    2,693,239 
         10,011,810 
Multiline Retail 0.3%          
Target Corp.   13,191    2,076,527 
           
Oil, Gas & Consumable Fuels 1.4%          
Chevron Corp.   17,007    1,224,504 
Enterprise Products Partners, L.P.   107,357    1,695,167 
Exxon Mobil Corp.   31,859    1,093,720 
Magellan Midstream Partners, L.P.   40,157    1,373,369 
Phillips 66   22,400    1,161,216 
TOTAL S.E. (France)   69,441    2,377,350 
         8,925,326 
Personal Products 0.6%          
Unilever PLC (United Kingdom)   59,651    3,676,117 
           
Pharmaceuticals 4.6%          
AstraZeneca PLC, Sponsored ADR (United Kingdom)   33,683    1,845,828 
Bayer A.G., Registered (Germany)   22,010    1,375,698 
GlaxoSmithKline PLC (United Kingdom)   141,201    2,645,524 
Johnson & Johnson   19,331    2,877,999 
Merck & Co., Inc.   39,739    3,296,350 
Novartis A.G., Registered (Switzerland)   25,388    2,202,655 
Novo Nordisk A/S, Class B (Denmark)   21,172    1,464,892 
Pfizer, Inc.   83,380    3,060,046 
Roche Holding A.G. (Switzerland)   7,135    2,441,339 
Sanofi (France)   33,270    3,328,502 
Takeda Pharmaceutical Co., Ltd. (Japan)   108,500    3,851,742 
         28,390,575 
Semiconductors & Semiconductor Equipment 2.9%          
Analog Devices, Inc.   20,906    2,440,566 
Broadcom, Inc.   5,475    1,994,652 
Intel Corp.   34,515    1,787,187 
KLA Corp.   20,824    4,034,442 
Maxim Integrated Products, Inc.   9,789    661,834 
Taiwan Semiconductor Manufacturing Co., Ltd., Sponsored ADR (Taiwan)   50,939    4,129,625 
Texas Instruments, Inc.   22,400    3,198,496 
         18,246,802 
Software 0.9%          
Microsoft Corp.   25,388    5,339,858 
           
Specialty Retail 0.2%          
Home Depot, Inc.   5,475    1,520,462 
           
Technology Hardware, Storage & Peripherals 1.0%          
Apple, Inc.   25,884    2,997,626 
Samsung Electronics Co., Ltd., GDR (Republic of Korea)   2,357    2,986,319 
         5,983,945 
Textiles, Apparel & Luxury Goods 0.2%          
Hanesbrands, Inc.   96,240    1,515,780 
           
Tobacco 1.6%          
Altria Group, Inc.   76,888    2,970,952 
British American Tobacco PLC (United Kingdom)   72,925    2,613,592 
British American Tobacco PLC, Sponsored ADR (United Kingdom) (f)   24,474    884,735 
Philip Morris International, Inc.   44,203    3,314,783 
         9,784,062 
Trading Companies & Distributors 0.4%          
Watsco, Inc.   9,541    2,222,003 
           
Wireless Telecommunication Services 0.2%          
Rogers Communications, Inc., Class B (Canada)   32,523    1,290,123 
           
Total Common Stocks
(Cost $224,503,060)
        236,605,663 
           
Short-Term Investments 3.7%          
Affiliated Investment Company 3.4%          
MainStay U.S. Government Liquidity Fund, 0.02% (o)   21,338,610    21,338,610 
           
Unaffiliated Investment Company 0.3%          
State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (o)(p)   1,631,086    1,631,086 
           
Total Short-Term Investments
(Cost $22,969,696)
        22,969,696 
Total Investments
(Cost $579,444,107)
   97.7%   608,575,730 
Other Assets, Less Liabilities   2.3    14,041,950 
Net Assets   100.0%  $622,617,680 

 

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 September 30, 2020.
(c) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 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 September 30, 2020.
(f) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $1,587,648. The Portfolio received cash collateral with a value of $1,631,086.
(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 September 30, 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 September 30, 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 September 30, 2020, the total market value of the security deemed illiquid under procedures approved by the Board of Trustees was $3,774, 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 September 30, 2020, the total market value of fair valued security was $3,774, which represented less than one-tenth of a percent of the Portfolio’s net assets.
(n) Restricted security.
(o) Current yield as of September 30, 2020.
(p) Represents a security purchased with cash collateral received for securities on loan.

 

Foreign Currency Forward Contracts

 

As of September 30, 2020, the Portfolio held the following foreign currency forward contracts1:

 

Currency Purchased   Currency Sold   Counterparty Settlement
Date
    Unrealized
Appreciation
(Depreciation)
 
AUD 9,875,000   USD 6,888,603   JPMorgan Chase Bank N.A. 11/2/20   $ 184,858  
JPY 2,168,758,000   USD 20,239,731   JPMorgan Chase Bank N.A. 11/2/20     331,041  
Total unrealized appreciation   515,899  
USD 1,057,058   EUR 927,000   JPMorgan Chase Bank N.A. 11/2/20     (30,498 )
USD 497,487   GBP 396,000   JPMorgan Chase Bank N.A. 11/2/20     (13,575 )
Total unrealized depreciation   (44,073 )
Net unrealized appreciation $ 471,826  

  

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 September 30, 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   139   December 2020  $30,710,614   $30,713,570   $2,956 
10-Year United States Treasury Note   16   December 2020   2,236,536    2,232,500    (4,036)
Nikkei 225   192   December 2020   20,886,443    21,177,073    290,630 
S&P 500 Index Mini   441   December 2020   73,283,056    73,911,600    628,544 
United States Treasury Bond   21   December 2020   3,718,861    3,701,906    (16,955)
United States Treasury Ultra Bond   135   December 2020   30,202,975    29,944,688    (258,287)
Total Long Contracts                    642,852 
Short Contracts                       
10-Year United States Treasury Ultra Note   (60)  December 2020   (9,584,962)   (9,595,313)   (10,351)
5-Year United States Treasury Note   (202)  December 2020   (25,457,233)   (25,458,312)   (1,079)
Total Short Contracts                     (11,430)
Net Unrealized Appreciation                    $631,422 

 

1. As of September 30, 2020, cash in the amount of $7,969,738 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 September 30, 2020.

 

The following abbreviations are used in the preceding pages:

 

ADR —American Depositary Receipt
AUD —Australian 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 September 30, 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   $   $ 19,421,292   $   $ 19,421,292  
Convertible Bonds     3,830,919     3,830,919  
Corporate Bonds     216,584,241     216,584,241  
Foreign Bonds     714,383     714,383  
Foreign Government Bonds     3,338,909     3,338,909  
Loan Assignments     4,707,206     4,707,206  
Mortgage-Backed Securities     38,308,691     38,308,691  
Municipal Bonds     1,397,573     1,397,573  
U.S. Government & Federal Agencies     60,697,157     60,697,157  
Total Long-Term Bonds     349,000,371     349,000,371  
Common Stocks (b)   236,601,889     3,774   236,605,663  
Short-Term Investments                  
Affiliated Investment Company   21,338,610       21,338,610  
Unaffiliated Investment Company   1,631,086       1,631,086  
Total Short-Term Investments   22,969,696       22,969,696  
Total Investments in Securities   259,571,585   349,000,371   3,774   608,575,730  
Other Financial Instruments                  
Foreign Currency Forward Contracts (c)     515,899     515,899  
Futures Contracts (c)   922,130       922,130  
Total Other Financial Instruments   922,130   515,899     1,438,029  
Total Investments in Securities and Other Financial Instruments   $ 260,493,715   $ 349,516,270   $ 3,774   $ 610,013,759  
                   
Liability Valuation Inputs                  
Other Financial Instruments                  
Foreign Currency Forward Contracts (c)   $   $ (44,073 ) $   $ (44,073 )
Futures Contracts (c)   (290,708 )     (290,708 )
Total Other Financial Instruments   $ (290,708 ) $ (44,073 ) $   $ (334,781 )

 

(a) For a complete listing of investments and their industries, see the Portfolio of Investments.
   
(b) The Level 3 security valued at $3,774 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.

 

 

 

 

MainStay VP Indexed Bond Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Principal Amount   Value 
  Long-Term Bonds 93.7% †
  Asset-Backed Securities 0.1%
  Automobile Asset-Backed Securities 0.1%
  Ally Auto Receivables Trust
Series 2018-3, Class A3
3.00%, due 1/17/23
  $53,732   $54,437 
  BMW Vehicle Lease Trust
Series 2018-1, Class A3
3.26%, due 7/20/21
   98,107    98,570 
  GM Financial Consumer Automobile Receivables Trust
Series 2018-3, Class A3
3.02%, due 5/16/23
   501,648    509,889 
  Honda Auto Receivables Owner Trust
Series 2018-3, Class A3
2.95%, due 8/22/22
   492,845    499,312 
  Hyundai Auto Lease Securitization Trust
Series 2018-B, Class A3
3.04%, due 10/15/21 (a)
   19,463    19,495 
  Total Asset-Backed Securities
(Cost $1,165,688)
        1,181,703 
             
  Corporate Bonds 26.0%
  Aerospace & Defense 0.5%
  Boeing Co.          
  3.25%, due 3/1/28   785,000    779,408 
  5.15%, due 5/1/30   950,000    1,067,808 
  General Dynamics Corp.
3.00%, due 5/11/21
   430,000    437,184 
  Lockheed Martin Corp.
4.07%, due 12/15/42
   430,000    537,173 
  Northrop Grumman Systems Corp.
7.75%, due 2/15/31
   360,000    549,419 
  Raytheon Technologies Corp.          
  3.125%, due 7/1/50   650,000    693,276 
  3.15%, due 12/15/24 (a)   430,000    464,518 
  3.50%, due 3/15/27 (a)   360,000    404,927 
  3.65%, due 8/16/23   2,000    2,161 
           4,935,874 
  Apparel 0.0% ‡
  Nike, Inc.
3.625%, due 5/1/43
   115,000    134,583 
             
  Auto Manufacturers 0.4%
  Ford Motor Credit Co. LLC
3.219%, due 1/9/22
   1,300,000    1,298,310 
  General Motors Financial Co., Inc.
4.35%, due 1/17/27
   2,075,000    2,252,445 
  Toyota Motor Credit Corp.
2.25%, due 10/18/23
   490,000    514,372 
           4,065,127 
  Banks 5.8%
  Bank of America Corp.          
  3.248%, due 10/21/27   680,000    752,272 
  3.30%, due 1/11/23   1,385,000    1,470,161 
  3.419%, due 12/20/28 (b)   2,435,000    2,709,609 
  4.083%, due 3/20/51 (b)   2,145,000    2,656,241 
  Bank of New York Mellon Corp.          
  2.05%, due 5/3/21   145,000    146,331 
  2.50%, due 4/15/21   1,035,000    1,045,561 
  3.00%, due 2/24/25   685,000    751,116 
  Bank of Nova Scotia
2.70%, due 3/7/22
   1,220,000    1,262,284 
  Barclays PLC
5.25%, due 8/17/45
   270,000    355,820 
  BNP Paribas S.A.
3.25%, due 3/3/23
   720,000    768,614 
  Citigroup, Inc.          
  2.65%, due 10/26/20   1,035,000    1,036,653 
  3.375%, due 3/1/23   1,515,000    1,610,913 
  3.98%, due 3/20/30 (b)   375,000    431,683 
  4.45%, due 9/29/27   2,060,000    2,388,763 
  4.65%, due 7/30/45   270,000    353,004 
  Cooperatieve Rabobank UA
5.25%, due 5/24/41
   680,000    1,000,185 
  Credit Suisse Group Funding Guernsey, Ltd.
3.80%, due 6/9/23
   335,000    360,401 
  Fifth Third Bank N.A.
2.25%, due 6/14/21
   870,000    880,551 
  Goldman Sachs Group, Inc.          
  2.60%, due 12/27/20   875,000    879,489 
  2.905%, due 7/24/23 (b)   2,395,000    2,484,364 
  3.85%, due 1/26/27   1,900,000    2,139,037 
  4.80%, due 7/8/44   575,000    752,571 
  HSBC Holdings PLC
3.90%, due 5/25/26
   2,075,000    2,296,377 
  JPMorgan Chase & Co.          
  4.25%, due 10/1/27   3,540,000    4,123,669 
  4.26%, due 2/22/48 (b)   825,000    1,038,211 
  Keybank N.A.
2.40%, due 6/9/22
   335,000    346,117 
  Kreditanstalt fuer Wiederaufbau
2.125%, due 3/7/22
   3,580,000    3,678,235 
  Lloyds Banking Group PLC
3.75%, due 1/11/27
   1,915,000    2,119,666 
  Mitsubishi UFJ Financial Group, Inc.
3.455%, due 3/2/23
   835,000    889,639 
  Morgan Stanley          
  2.50%, due 4/21/21   775,000    784,388 
  2.699% (SOFR + 1.143%), due 1/22/31 (b)   950,000    1,011,935 
  3.625%, due 1/20/27   2,500,000    2,833,150 
  4.10%, due 5/22/23   930,000    1,007,348 
  National Australia Bank, Ltd.
2.50%, due 5/22/22
   335,000    347,370 
  Natwest Group PLC
3.875%, due 9/12/23
   270,000    289,494 
  PNC Bank N.A.
2.625%, due 2/17/22
   335,000    345,146 
  Royal Bank of Canada
2.75%, due 2/1/22
   555,000    573,515 
  State Street Corp.
4.375%, due 3/7/21
   575,000    585,505 
  Toronto-Dominion Bank
2.50%, due 12/14/20
   720,000    723,338 
  Truist Financial Corp.          
  2.05%, due 5/10/21   1,180,000    1,191,029 
  2.75%, due 4/1/22   430,000    444,118 
  Wells Fargo & Co.          
  2.55%, due 12/7/20   500,000    502,020 
  3.00%, due 4/22/26   3,700,000    4,027,925 
  3.50%, due 3/8/22   580,000    604,548 
  4.75%, due 12/7/46   825,000    1,027,379 
  Westpac Banking Corp.
2.80%, due 1/11/22
   720,000    743,142 
           57,768,887 
  Beverages 0.7%
  Anheuser-Busch InBev Worldwide, Inc.
4.60%, due 4/15/48
   2,140,000    2,551,833 
  Coca Cola Co.          
  2.25%, due 9/1/26   490,000    529,931 
  2.60%, due 6/1/50   1,275,000    1,280,231 
  Constellation Brands, Inc.
3.60%, due 2/15/28
   150,000    169,607 
  Diageo Capital PLC
5.875%, due 9/30/36
   368,000    521,739 
  Keurig Dr. Pepper, Inc.
4.985%, due 5/25/38
   115,000    149,420 
  Molson Coors Beverage Co.
4.20%, due 7/15/46
   115,000    121,307 
  PepsiCo, Inc.          
  2.75%, due 3/1/23   555,000    586,954 
  2.85%, due 2/24/26   360,000    399,759 
  4.45%, due 4/14/46   800,000    1,064,837 
           7,375,618 
  Biotechnology 0.3%
  Amgen, Inc.          
  2.70%, due 5/1/22   305,000    315,382 
  3.125%, due 5/1/25   430,000    472,108 
  3.375%, due 2/21/50   605,000    650,216 
  Baxalta, Inc.
3.60%, due 6/23/22
   39,000    40,598 
  Gilead Sciences, Inc.          
  3.65%, due 3/1/26   715,000    805,981 
  4.60%, due 9/1/35   305,000    392,381 
           2,676,666 
  Building Materials 0.0% ‡
  Johnson Controls International PLC
6.00%, due 1/15/36
   100,000    132,217 
             
  Chemicals 0.3%
  DuPont de Nemours, Inc.
4.493%, due 11/15/25
   650,000    749,229 
  Ecolab, Inc.
2.70%, due 11/1/26
   360,000    402,849 
  Mosaic Co.
4.05%, due 11/15/27
   680,000    756,669 
  Nutrien, Ltd.
5.875%, due 12/1/36
   360,000    459,341 
  Sherwin-Williams Co.
3.95%, due 1/15/26
   430,000    482,567 
           2,850,655 
  Computers 0.7%                
  Apple, Inc.          
  2.15%, due 2/9/22   305,000    312,788 
  2.90%, due 9/12/27   425,000    476,497 
  3.35%, due 2/9/27   16,000    18,300 
  4.25%, due 2/9/47   305,000    405,871 
  4.50%, due 2/23/36   1,245,000    1,660,974 
  Dell International LLC / EMC Corp.(a)          
  5.45%, due 6/15/23   720,000    789,355 
  6.02%, due 6/15/26   500,000    587,090 
  Hewlett Packard Enterprise Co.
4.40%, due 10/15/22
   305,000    325,930 
  International Business Machines Corp.          
  1.875%, due 8/1/22   400,000    412,038 
  3.45%, due 2/19/26   375,000    425,897 
  3.50%, due 5/15/29   1,740,000    2,005,443 
           7,420,183 
  Cosmetics & Personal Care 0.1%
  Procter & Gamble Co.
2.70%, due 2/2/26
   360,000    401,446 
  Unilever Capital Corp.
3.10%, due 7/30/25
   100,000    111,348 
           512,794 
  Diversified Financial Services 0.8%
  American Express Co.          
  2.50%, due 8/1/22   500,000    518,145 
  3.40%, due 2/27/23   590,000    628,565 
  Capital One Financial Co.
3.05%, due 3/9/22
   940,000    970,040 
  GE Capital Funding LLC
4.05%, due 5/15/27 (a)
   2,400,000    2,586,481 
  Mastercard, Inc.
3.85%, due 3/26/50
   1,275,000    1,627,820 
  Visa, Inc.          
  2.80%, due 12/14/22   680,000    714,395 
  4.30%, due 12/14/45   300,000    398,469 
           7,443,915 
  Electric 1.7%
  American Electric Power Co., Inc.
2.15%, due 11/13/20
   875,000    876,636 
  CenterPoint Energy Houston Electric LLC
4.25%, due 2/1/49
   425,000    549,015 
  Commonwealth Edison Co.
3.65%, due 6/15/46
   665,000    776,628 
  Consolidated Edison Co. of New York, Inc.
5.85%, due 3/15/36
   940,000    1,285,559 
  DTE Electric Co.
3.375%, due 3/1/25
   305,000    338,453 
  Duke Energy Carolinas LLC          
  3.875%, due 3/15/46   1,165,000    1,410,626 
  4.00%, due 9/30/42   360,000    440,257 
  Edison International
2.95%, due 3/15/23
   305,000    313,170 
  Emera U.S. Finance, L.P.
2.70%, due 6/15/21
   305,000    309,205 
  Entergy Louisiana LLC
4.20%, due 4/1/50
   1,275,000    1,637,346 
  Florida Power & Light Co.          
  2.75%, due 6/1/23   195,000    204,936 
  3.80%, due 12/15/42   1,350,000    1,628,205 
  MidAmerican Energy Co.
3.95%, due 8/1/47
   555,000    696,567 
  National Rural Utilities Cooperative Finance Corp.
2.70%, due 2/15/23
   140,000    146,803 
  Ohio Power Co.
6.60%, due 2/15/33
   265,000    373,758 
  PPL Electric Utilities Corp.
3.95%, due 6/1/47
   150,000    183,709 
  Public Service Electric & Gas Co.
2.70%, due 5/1/50
   650,000    678,726 
  San Diego Gas & Electric Co.
4.15%, due 5/15/48
   360,000    436,134 
  Sempra Energy
3.80%, due 2/1/38
   360,000    403,035 
  Southern California Edison Co.
4.125%, due 3/1/48
   360,000    395,963 
  Southern Co.          
  2.95%, due 7/1/23   305,000    324,115 
  4.40%, due 7/1/46   1,250,000    1,478,556 
  Virginia Electric & Power Co.
4.00%, due 1/15/43
   590,000    722,202 
  Xcel Energy, Inc.
3.30%, due 6/1/25
   1,230,000    1,357,378 
           16,966,982 
  Environmental Controls 0.1%
  Republic Services, Inc.
3.20%, due 3/15/25
   430,000    471,856 
  Waste Management, Inc.
3.15%, due 11/15/27
   430,000    480,922 
           952,778 
  Food 0.3%
  General Mills, Inc.          
  3.15%, due 12/15/21   305,000    313,065 
  4.20%, due 4/17/28   115,000    135,768 
  Kroger Co.
2.20%, due 5/1/30
   950,000    997,585 
  Sysco Corp.
3.25%, due 7/15/27
   430,000    467,671 
  Tyson Foods, Inc.
5.10%, due 9/28/48
   425,000    587,400 
           2,501,489 
  Forest Products & Paper 0.1%
  Fibria Overseas Finance, Ltd.
5.50%, due 1/17/27
   680,000    767,550 
  International Paper Co.
3.80%, due 1/15/26
   335,000    382,379 
           1,149,929 
  Gas 0.0% ‡
  NiSource, Inc.
3.49%, due 5/15/27
   360,000    401,231 
             
  Health Care - Products 0.4%
  Abbott Laboratories          
  3.75%, due 11/30/26   250,000    290,223 
  4.90%, due 11/30/46   800,000    1,134,241 
  Boston Scientific Corp.
4.70%, due 3/1/49
   325,000    429,325 
  Medtronic, Inc.
4.625%, due 3/15/45
   574,000    790,176 
  Stryker Corp.
3.65%, due 3/7/28
   360,000    419,232 
  Thermo Fisher Scientific, Inc.
2.95%, due 9/19/26
   490,000    545,477 
           3,608,674 
  Health Care - Services 0.6%
  Aetna, Inc.
6.625%, due 6/15/36
   360,000    512,189 
  Anthem, Inc.
4.375%, due 12/1/47
   430,000    526,675 
  Cigna Corp.
3.90%, due 2/15/22
   405,000    423,624 
  Laboratory Corporation of America Holdings
3.60%, due 2/1/25
   430,000    477,538 
  UnitedHealth Group, Inc.          
  3.10%, due 3/15/26   825,000    922,187 
  3.75%, due 7/15/25   2,475,000    2,824,894 
  4.25%, due 4/15/47   425,000    541,266 
           6,228,373 
  Household Products & Wares 0.1%
  Clorox Co.
3.90%, due 5/15/28
   360,000    429,258 
  Kimberly-Clark Corp.
2.75%, due 2/15/26
   360,000    395,953 
           825,211 
  Housewares 0.0% ‡
  Newell Brands, Inc.
4.35%, due 4/1/23
   175,000    182,924 
             
  Insurance 0.7%
  Allstate Corp.
5.35%, due 6/1/33
   360,000    490,626 
  American International Group, Inc.
6.25%, due 5/1/36
   575,000    797,310 
  Berkshire Hathaway Finance Corp.
4.30%, due 5/15/43
   580,000    753,720 
  Chubb INA Holdings, Inc.
3.35%, due 5/3/26
   305,000    345,627 
  Marsh & McLennan Cos., Inc.
2.75%, due 1/30/22
   665,000    684,191 
  Metlife, Inc.
3.60%, due 11/13/25
   2,315,000    2,638,601 
  Progressive Corp.
3.75%, due 8/23/21
   500,000    515,339 
  Prudential Financial, Inc.          
  4.418%, due 3/27/48   225,000    266,451 
  4.50%, due 11/15/20   555,000    557,796 
           7,049,661 
  Internet 0.2%
  Alphabet, Inc.
3.375%, due 2/25/24
   500,000    549,512 
  Amazon.com, Inc.
3.875%, due 8/22/37
   1,360,000    1,693,237 
           2,242,749 
  Machinery - Construction & Mining 0.1%
  Caterpillar, Inc.
5.30%, due 9/15/35
   435,000    598,855 
             
  Machinery - Diversified 0.0% ‡
  Deere & Co.
3.90%, due 6/9/42
   245,000    312,863 
             
  Media 1.2%
  Charter Communications Operating LLC / Charter Communications Operating Capital          
  4.908%, due 7/23/25   1,250,000    1,445,278 
  5.75%, due 4/1/48   1,175,000    1,465,915 
  Comcast Corp.          
  3.30%, due 4/1/27   1,050,000    1,187,287 
  3.40%, due 7/15/46   2,040,000    2,269,889 
  Discovery Communications LLC
3.95%, due 3/20/28
   575,000    654,120 
  TWDC Enterprises 18 Corp.
2.35%, due 12/1/22
   835,000    867,725 
  ViacomCBS, Inc.
4.95%, due 1/15/31
   950,000    1,142,335 
  Walt Disney Co.          
  3.00%, due 9/15/22   1,040,000    1,092,194 
  3.80%, due 3/22/30   950,000    1,127,756 
  6.40%, due 12/15/35   685,000    1,038,575 
           12,291,074 
  Mining 0.2%
  Barrick North America Finance LLC
5.70%, due 5/30/41
   150,000    211,842 
  BHP Billiton Finance USA, Ltd.
3.85%, due 9/30/23
   705,000    777,149 
  Rio Tinto Finance USA, Ltd.
3.75%, due 6/15/25
   680,000    769,370 
           1,758,361 
  Miscellaneous - Manufacturing 0.2%
  3M Co.
4.00%, due 9/14/48
   425,000    532,022 
  Eaton Corp.
4.00%, due 11/2/32
   360,000    434,915 
  General Electric Co.
4.125%, due 10/9/42
   94,000    95,104 
  Parker-Hannifin Corp.          
  3.50%, due 9/15/22   415,000    438,770 
  4.20%, due 11/21/34   115,000    140,487 
           1,641,298 
  Multi-National 0.9%
  Asian Development Bank
2.75%, due 3/17/23
   1,300,000    1,379,265 
  European Investment Bank          
  2.25%, due 8/15/22   2,000,000    2,075,392 
  2.375%, due 5/24/27   745,000    830,551 
  Inter-American Development Bank
1.75%, due 4/14/22
   1,190,000    1,217,620 
  International Bank for Reconstruction & Development          
  2.00%, due 1/26/22   2,000,000    2,046,860 
  3.00%, due 9/27/23   1,300,000    1,406,327 
           8,956,015 
  Oil & Gas 1.1%
  BP Capital Markets America, Inc.          
  1.749%, due 8/10/30   1,275,000    1,265,206 
  3.588%, due 4/14/27   425,000    476,290 
  Canadian Natural Resources, Ltd.
6.25%, due 3/15/38
   150,000    178,142 
  Chevron Corp.
3.191%, due 6/24/23
   685,000    732,022 
  ConocoPhillips Co.
5.95%, due 3/15/46
   1,040,000    1,525,342 
  Devon Energy Corp.
4.75%, due 5/15/42
   360,000    334,532 
  EOG Resources, Inc.
3.90%, due 4/1/35
   305,000    341,734 
  Equinor ASA
5.10%, due 8/17/40
   585,000    789,038 
  Exxon Mobil Corp.
4.114%, due 3/1/46
   665,000    790,190 
  Hess Corp.
7.125%, due 3/15/33
   150,000    180,709 
  Marathon Petroleum Corp.
5.125%, due 3/1/21
   1,720,000    1,749,893 
  Shell International Finance B.V.          
  2.375%, due 8/21/22   490,000    508,587 
  3.75%, due 9/12/46   835,000    931,630 
  Total Capital International S.A.
2.829%, due 1/10/30
   1,275,000    1,411,622 
           11,214,937 
  Oil & Gas Services 0.0% ‡
  Halliburton Co.
3.80%, due 11/15/25
   28,000    30,424 
             
  Pharmaceuticals 1.8%
  AbbVie, Inc.          
  3.20%, due 11/6/22   715,000    753,023 
  3.75%, due 11/14/23   120,000    130,945 
  3.80%, due 3/15/25 (a)   250,000    277,211 
  4.70%, due 5/14/45   1,530,000    1,883,890 
  4.75%, due 3/15/45 (a)   125,000    151,061 
  Allergan Funding SCS          
  3.80%, due 3/15/25   50,000    52,610 
  4.75%, due 3/15/45   25,000    26,553 
  AstraZeneca PLC
6.45%, due 9/15/37
   715,000    1,086,216 
  Becton Dickinson & Co.
3.70%, due 6/6/27
   231,000    261,917 
  Bristol-Myers Squibb Co.          
  2.75%, due 2/15/23   25,000    26,285 
  3.40%, due 7/26/29   2,155,000    2,509,949 
  3.55%, due 8/15/22   255,000    270,458 
  3.625%, due 5/15/24   835,000    920,148 
  Cigna Corp.          
  4.125%, due 11/15/25   225,000    258,112 
  4.90%, due 12/15/48   250,000    324,503 
  CVS Health Corp.          
  1.75%, due 8/21/30   1,685,000    1,646,647 
  2.75%, due 12/1/22   555,000    578,780 
  4.25%, due 4/1/50   450,000    528,925 
  Eli Lilly & Co.
3.95%, due 3/15/49
   425,000    532,764 
  GlaxoSmithKline Capital, Inc.
3.875%, due 5/15/28
   430,000    511,083 
  Johnson & Johnson          
  3.55%, due 3/1/36   500,000    607,221 
  4.95%, due 5/15/33   425,000    586,085 
  Merck & Co., Inc.
3.70%, due 2/10/45
   360,000    432,850 
  Mylan, Inc.          
  4.20%, due 11/29/23   100,000    109,392 
  5.20%, due 4/15/48   115,000    142,195 
  Novartis Capital Corp.
4.00%, due 11/20/45
   435,000    560,232 
  Pfizer, Inc.          
  3.00%, due 6/15/23   255,000    272,989 
  3.20%, due 9/15/23   25,000    26,992 
  4.00%, due 12/15/36   1,690,000    2,072,133 
  4.10%, due 9/15/38   120,000    148,804 
           17,689,973 
  Pipelines 1.3%
  Enbridge, Inc.
4.50%, due 6/10/44
   360,000    409,729 
  Energy Transfer Operating, L.P.
4.05%, due 3/15/25
   4,080,000    4,288,412 
  Enterprise Products Operating LLC          
  3.70%, due 2/15/26   675,000    757,048 
  4.80%, due 2/1/49   575,000    663,109 
  Kinder Morgan Energy Partners, L.P.
5.80%, due 3/15/35
   430,000    517,250 
  Kinder Morgan, Inc.
4.30%, due 6/1/25
   840,000    946,128 
  MPLX, L.P.
4.125%, due 3/1/27
   1,255,000    1,379,551 
  ONEOK, Inc.
3.10%, due 3/15/30
   950,000    913,856 
  Phillips 66 Partners, L.P.
4.68%, due 2/15/45
   687,000    700,313 
  Plains All American Pipeline, L.P. / PAA Finance Corp.
3.65%, due 6/1/22
   305,000    312,353 
  TransCanada PipeLines, Ltd.          
  4.875%, due 1/15/26   435,000    510,933 
  4.875%, due 5/15/48   825,000    1,025,944 
  Williams Cos., Inc.
3.35%, due 8/15/22
   425,000    440,888 
           12,865,514 
  Real Estate 0.0% ‡
  Prologis, L.P.
3.75%, due 11/1/25
   305,000    348,039 
             
  Real Estate Investment Trusts 0.2%
  American Tower Corp.
5.00%, due 2/15/24
   270,000    305,307 
  AvalonBay Communities, Inc.
2.90%, due 10/15/26
   305,000    334,598 
  ERP Operating, L.P.          
  3.25%, due 8/1/27   360,000    400,669 
  4.625%, due 12/15/21   375,000    389,830 
  Realty Income Corp.
4.65%, due 3/15/47
   225,000    295,339 
  Simon Property Group, L.P.
4.25%, due 11/30/46
   643,000    689,267 
           2,415,010 
  Retail 1.1%
  Home Depot, Inc.
4.25%, due 4/1/46
   1,250,000    1,596,943 
  Lowe's Cos., Inc.
4.05%, due 5/3/47
   585,000    699,554 
  McDonald's Corp.
3.375%, due 5/26/25
   2,185,000    2,431,007 
  Starbucks Corp.
2.55%, due 11/15/30
   1,275,000    1,353,737 
  Target Corp.          
  2.35%, due 2/15/30   1,925,000    2,090,049 
  3.50%, due 7/1/24   425,000    470,081 
  Walmart, Inc.          
  2.85%, due 7/8/24   375,000    407,449 
  3.30%, due 4/22/24   115,000    125,475 
  4.30%, due 4/22/44   925,000    1,222,481 
           10,396,776 
  Semiconductors 0.5%
  Applied Materials, Inc.
5.10%, due 10/1/35
   360,000    501,105 
  Broadcom, Inc.
4.15%, due 11/15/30
   950,000    1,067,176 
  Intel Corp.
3.70%, due 7/29/25
   2,135,000    2,425,522 
  QUALCOMM, Inc.
4.65%, due 5/20/35
   360,000    483,883 
  Texas Instruments, Inc.
2.625%, due 5/15/24
   500,000    536,917 
           5,014,603 
  Software 1.0%
  Fidelity National Information Services, Inc.
3.50%, due 4/15/23
   113,000    120,326 
  Fiserv, Inc.
4.20%, due 10/1/28
   925,000    1,098,543 
  Microsoft Corp.          
  2.40%, due 2/6/22   685,000    703,999 
  3.30%, due 2/6/27   590,000    674,130 
  4.25%, due 2/6/47   1,855,000    2,558,440 
  Oracle Corp.          
  2.95%, due 5/15/25   2,930,000    3,191,040 
  4.00%, due 7/15/46   305,000    361,526 
  5.375%, due 7/15/40   500,000    697,366 
           9,405,370 
  Sovereign 0.2%
  Japan Bank for International Cooperation
2.875%, due 6/1/27
   776,000    880,178 
  Svensk Exportkredit A.B.
2.375%, due 3/9/22
   600,000    617,801 
           1,497,979 
  Telecommunications 1.4%
  AT&T, Inc.          
  3.55%, due 9/15/55 (a)   2,406,000    2,331,829 
  3.60%, due 7/15/25   435,000    484,883 
  4.25%, due 3/1/27   1,925,000    2,235,002 
  Cisco Systems, Inc.
2.95%, due 2/28/26
   685,000    763,114 
  Deutsche Telekom International Finance B.V.
8.75%, due 6/15/30
   360,000    559,343 
  T-Mobile USA, Inc.
3.875%, due 4/15/30 (a)
   950,000    1,077,889 
  Telefonica Emisiones S.A.
7.045%, due 6/20/36
   500,000    719,230 
  Verizon Communications, Inc.          
  4.016%, due 12/3/29   840,000    1,005,865 
  5.50%, due 3/16/47   1,400,000    2,108,742 
  Vodafone Group PLC
4.375%, due 5/30/28
   1,930,000    2,284,540 
           13,570,437 
  Transportation 1.0%
  Burlington Northern Santa Fe LLC
3.25%, due 6/15/27
   1,381,000    1,572,329 
  Canadian National Railway Co.
6.25%, due 8/1/34
   360,000    546,754 
  CSX Corp.          
  3.35%, due 9/15/49   825,000    912,428 
  3.70%, due 11/1/23   1,040,000    1,128,337 
  FedEx Corp.          
  2.625%, due 8/1/22   435,000    450,452 
  3.20%, due 2/1/25   830,000    911,420 
  Norfolk Southern Corp.          
  3.942%, due 11/1/47   916,000    1,099,210 
  4.80%, due 8/15/43   40,000    49,494 
  Union Pacific Corp.
2.75%, due 3/1/26
   2,430,000    2,664,813 
  United Parcel Service, Inc.
3.40%, due 11/15/46
   680,000    764,369 
           10,099,606 
  Total Corporate Bonds
(Cost $243,611,204)
        257,533,654 
             
  Foreign Government Bonds 1.7%
  Canada 0.3%
  Province of Ontario Canada
2.50%, due 4/27/26
   1,620,000    1,776,638 
  Province of Quebec Canada
2.50%, due 4/20/26
   1,100,000    1,201,857 
           2,978,495 
  Colombia 0.1%
  Colombia Government International Bond
6.125%, due 1/18/41
   920,000    1,179,900 
             
  Mexico 0.7%
  Mexico Government International Bond
4.125%, due 1/21/26
   6,205,000    6,903,124 
             
  Panama 0.2%
  Panama Government International Bond
3.75%, due 3/16/25
   1,250,000    1,364,387 
             
  Peru 0.2%
  Peruvian Government International Bond
7.35%, due 7/21/25
   1,520,000    1,945,615 
             
  Philippines 0.1%
  Philippine Government International Bond
5.00%, due 1/13/37
   800,000    1,041,629 
             
  Republic of Korea 0.1%
  Korea Development Bank
3.25%, due 2/19/24
   850,000    917,341 
  Total Foreign Government Bonds
(Cost $15,347,870)
        16,330,491 
             
  Mortgage-Backed Securities 1.2%
  Agency Collateral (Collateralized Mortgage Obligation) 0.4%
  Freddie Mac Multifamily Structured Pass Through Certificates
Series K094, Class A2
2.903%, due 6/25/29
   4,000,000    4,575,234 
             
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 0.8%
   
  Bank
Series 2018-BN14, Class A3
3.966%, due 9/15/60
   800,000    932,996 
  Benchmark Mortgage Trust          
  Series 2018-B1, Class A2
3.571%, due 1/15/51
   100,000    104,122 
  Series 2018-B1, Class A5
3.666%, due 1/15/51 (c)
   800,000    921,179 
  Series 2018-B6, Class A3
3.995%, due 10/10/51
   900,000    1,060,306 
  CFCRE Commercial Mortgage Trust          
  Series 2016-C6, Class A3
3.217%, due 11/10/49 (c)
   300,000    321,102 
  Series 2017-C8, Class A3
3.305%, due 6/15/50
   200,000    219,024 
  Citigroup Commercial Mortgage Trust          
  Series 2017-P8, Class A4
3.465%, due 9/15/50
   300,000    341,135 
  Series 2015-GC35, Class A4
3.818%, due 11/10/48
   300,000    336,775 
  CSAIL Commercial Mortgage Trust
Series 2017-CX9, Class A5
3.446%, due 9/15/50
   300,000    336,409 
  GS Mortgage Securities Trust          
  Series 2016-GS3, Class A4
2.85%, due 10/10/49
   300,000    326,049 
  Series 2014-GC22, Class A5
3.862%, due 6/10/47
   300,000    327,404 
  Series 2018-GS9, Class A4
3.992%, due 3/10/51 (c)
   800,000    933,179 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series 2013-C7, Class A4
2.918%, due 2/15/46
   300,000    311,409 
  Morgan Stanley Capital I Trust
Series 2018-H3, Class A4
3.914%, due 7/15/51
   500,000    581,110 
  Wells Fargo Commercial Mortgage Trust
Series 2015-SG1, Class A4
3.789%, due 9/15/48
   298,975    328,894 
  WFRBS Commercial Mortgage Trust
Series 2012-C8, Class A3
3.001%, due 8/15/45
   200,000    206,052 
           7,587,145 
  Total Mortgage-Backed Securities
(Cost $11,305,897)
        12,162,379 
             
  U.S. Government & Federal Agencies 64.7%
  Federal Home Loan Bank 0.3%
  3.25%, due 11/16/28   2,200,000    2,640,698 
             
  Federal Home Loan Mortgage Corporation 0.3%
  0.375%, due 7/21/25   1,800,000    1,800,295 
  1.875%, due 11/17/20   400,000    400,915 
  2.375%, due 1/13/22   500,000    514,433 
           2,715,643 
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 8.6%
  2.00%, due 5/1/35 TBA (d)   8,000,000    8,317,500 
  2.00%, due 4/1/50 TBA (d)   13,000,000    13,418,217 
  2.50%, due 10/1/31   59,056    62,679 
  2.50%, due 2/1/32   304,103    318,362 
  2.50%, due 2/1/33   356,863    373,102 
  2.50%, due 4/1/33   475,507    497,187 
  2.50%, due 6/1/33   67,090    70,115 
  2.50%, due 7/1/33   179,211    187,382 
  2.50%, due 9/1/34   999,900    1,044,568 
  2.50%, due 10/1/34   999,900    1,044,625 
  2.50%, due 3/1/35   1,999,801    2,089,223 
  2.50%, due 12/1/49 TBA (d)   12,500,000    13,094,027 
  2.50%, due 5/1/50   5,930,086    6,306,985 
  3.00%, due 9/1/27   162,388    170,472 
  3.00%, due 4/1/32   206,135    216,473 
  3.00%, due 6/1/32   54,224    56,924 
  3.00%, due 9/1/32   26,463    27,787 
  3.00%, due 10/1/32   118,418    124,350 
  3.00%, due 5/1/33   174,910    183,629 
  3.00%, due 9/1/33   170,344    178,739 
  3.00%, due 9/1/36   127,552    138,523 
  3.00%, due 11/1/37   110,569    116,314 
  3.00%, due 12/1/37   179,061    187,543 
  3.00%, due 9/1/46   866,823    911,694 
  3.00%, due 12/1/46   60,058    63,078 
  3.00%, due 2/1/47   66,265    69,505 
  3.00%, due 3/1/47   298,040    313,028 
  3.00%, due 4/1/47   89,927    94,344 
  3.00%, due 1/1/48   693,287    726,082 
  3.00%, due 2/1/48   438,855    459,614 
  3.00%, due 3/1/48   383,136    401,260 
  3.00%, due 4/1/48   671,875    722,179 
  3.00%, due 6/1/48   611,981    640,930 
  3.00%, due 9/1/50   8,967,109    9,592,467 
  3.50%, due 12/1/25   37,642    39,872 
  3.50%, due 5/1/33   151,635    160,691 
  3.50%, due 9/1/33   44,181    46,747 
  3.50%, due 2/1/37   156,138    165,784 
  3.50%, due 1/1/38   186,530    197,931 
  3.50%, due 6/1/43   185,076    202,223 
  3.50%, due 9/1/44   176,033    194,083 
  3.50%, due 8/1/45   334,082    356,524 
  3.50%, due 8/1/46   464,102    496,943 
  3.50%, due 8/1/47   50,812    53,821 
  3.50%, due 9/1/47   119,487    126,578 
  3.50%, due 11/1/47   243,568    257,651 
  3.50%, due 12/1/47   548,088    580,403 
  3.50%, due 12/1/47   4,430,772    4,688,428 
  3.50%, due 1/1/48   54,635    57,838 
  3.50%, due 3/1/48   695,594    736,121 
  3.50%, due 5/1/48   5,572,499    5,890,592 
  3.50%, due 5/1/48   236,362    250,085 
  3.50%, due 6/1/48   573,821    608,027 
  3.50%, due 8/1/48   297,561    313,559 
  3.50%, due 9/1/48   381,848    403,578 
  3.50%, due 11/1/48   134,481    141,737 
  3.50%, due 12/1/48   352,524    373,031 
  4.00%, due 4/1/46   370,803    402,441 
  4.00%, due 5/1/46   126,227    136,912 
  4.00%, due 4/1/47   101,906    109,400 
  4.00%, due 6/1/47   262,178    281,333 
  4.00%, due 8/1/47   498,038    535,336 
  4.00%, due 10/1/47   119,664    128,161 
  4.00%, due 12/1/47   321,878    344,757 
  4.00%, due 1/1/48   104,736    112,420 
  4.00%, due 5/1/48   168,858    180,767 
  4.00%, due 9/1/48   644,640    687,159 
  4.00%, due 12/1/48   358,022    381,452 
  4.50%, due 5/1/38   105,682    115,542 
  4.50%, due 9/1/46   23,812    26,156 
  4.50%, due 9/1/46   54,919    60,365 
  4.50%, due 10/1/46   194,910    214,141 
  4.50%, due 2/1/47   40,083    43,871 
  4.50%, due 11/1/47   52,486    57,077 
  4.50%, due 2/1/48   102,433    111,142 
  4.50%, due 4/1/48   138,850    150,496 
  4.50%, due 6/1/48   82,311    89,075 
  4.50%, due 7/1/48   291,846    316,140 
  4.50%, due 8/1/48   293,155    317,206 
  4.50%, due 1/1/49   421,945    456,298 
  5.00%, due 9/1/38   61,667    70,933 
  5.00%, due 11/1/41   104,316    120,040 
  5.00%, due 3/1/47   189,693    210,075 
  5.00%, due 9/1/48   358,992    394,928 
  5.00%, due 1/1/49   175,991    193,207 
  5.50%, due 1/1/29   59,208    65,665 
  5.50%, due 7/1/38   95,800    110,007 
           84,983,656 
  Federal National Mortgage Association 0.3%
  1.375%, due 9/6/22   725,000    742,015 
  1.875%, due 4/5/22   300,000    307,900 
  1.875%, due 9/24/26   1,650,000    1,788,336 
  2.875%, due 10/30/20   650,000    651,461 
           3,489,712 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 7.9%
  2.50%, due 10/1/27   184,590    193,000 
  2.50%, due 4/1/30   158,512    165,744 
  2.50%, due 10/1/31   280,577    293,207 
  2.50%, due 2/1/32   243,632    254,989 
  2.50%, due 2/1/32   236,791    247,856 
  2.50%, due 8/1/32   457,792    485,887 
  2.50%, due 3/1/33   307,693    329,697 
  2.50%, due 6/1/33   266,936    279,172 
  2.50%, due 10/1/34   999,900    1,044,094 
  2.50%, due 11/1/34   999,901    1,044,094 
  2.50%, due 2/1/35   999,900    1,044,094 
  2.50%, due 4/1/46   57,476    60,790 
  2.50%, due 10/1/46   156,150    166,142 
  3.00%, due 4/1/25   54,991    57,677 
  3.00%, due 11/1/31   187,229    196,549 
  3.00%, due 1/1/32   248,290    260,538 
  3.00%, due 6/1/32   148,875    156,148 
  3.00%, due 1/1/33   153,739    161,537 
  3.00%, due 2/1/33   222,713    238,187 
  3.00%, due 4/1/33   311,836    327,292 
  3.00%, due 5/1/33   367,408    385,655 
  3.00%, due 9/1/33   53,342    55,947 
  3.00%, due 9/1/34   1,542,668    1,617,640 
  3.00%, due 2/1/37   191,140    206,010 
  3.00%, due 1/1/38   538,564    565,425 
  3.00%, due 9/1/42   1,105,918    1,176,859 
  3.00%, due 3/1/43   7,285,501    7,760,198 
  3.00%, due 12/1/43   876,966    933,113 
  3.00%, due 10/1/44   715,676    762,165 
  3.00%, due 10/1/46   148,038    155,662 
  3.00%, due 12/1/46   1,418,798    1,497,756 
  3.00%, due 2/1/47   221,266    232,525 
  3.00%, due 8/1/47   863,870    931,921 
  3.00%, due 10/1/47   739,690    797,959 
  3.00%, due 11/1/47   189,715    199,465 
  3.00%, due 6/1/48   131,152    137,334 
  3.00%, due 9/1/49   1,978,150    2,071,310 
  3.00%, due 3/1/50   5,220,778    5,517,444 
  3.50%, due 7/1/21   8,305    8,781 
  3.50%, due 3/1/22   24,284    25,678 
  3.50%, due 5/1/26   44,638    47,267 
  3.50%, due 11/1/31   48,468    51,510 
  3.50%, due 5/1/33   104,353    110,554 
  3.50%, due 6/1/33   192,298    203,511 
  3.50%, due 7/1/33   93,094    98,516 
  3.50%, due 9/1/33   121,203    128,247 
  3.50%, due 5/1/45   796,843    880,702 
  3.50%, due 9/1/45   100,013    106,625 
  3.50%, due 12/1/45   248,810    265,435 
  3.50%, due 12/1/45   426,534    461,484 
  3.50%, due 1/1/46   268,889    297,207 
  3.50%, due 1/1/46   253,104    273,349 
  3.50%, due 4/1/46   107,585    114,446 
  3.50%, due 9/1/46   486,792    536,880 
  3.50%, due 10/1/46   255,544    272,109 
  3.50%, due 10/1/46   122,119    129,845 
  3.50%, due 1/1/47   227,491    242,528 
  3.50%, due 7/1/47   56,405    59,693 
  3.50%, due 7/1/47   245,678    265,839 
  3.50%, due 10/1/47   205,645    216,709 
  3.50%, due 11/1/47   291,223    307,998 
  3.50%, due 11/1/47   610,848    645,714 
  3.50%, due 11/1/47   760,338    803,929 
  3.50%, due 12/1/47   54,810    58,008 
  3.50%, due 3/1/48   5,107,281    5,401,530 
  3.50%, due 8/1/48   410,381    432,659 
  3.50%, due 9/1/48   510,033    537,512 
  3.50%, due 2/1/49   997,795    1,051,370 
  3.50%, due 6/1/49   1,879,090    1,979,222 
  3.50%, due 9/1/49   4,296,928    4,526,352 
  4.00%, due 5/1/24   64,185    68,037 
  4.00%, due 11/1/29   157,744    167,210 
  4.00%, due 2/1/37   42,863    46,273 
  4.00%, due 8/1/38   375,653    402,334 
  4.00%, due 8/1/44   238,043    262,813 
  4.00%, due 2/1/45   253,130    275,800 
  4.00%, due 9/1/45   48,419    52,496 
  4.00%, due 5/1/46   224,117    241,616 
  4.00%, due 9/1/46   85,832    93,072 
  4.00%, due 9/1/46   99,724    107,476 
  4.00%, due 2/1/47   38,229    41,235 
  4.00%, due 4/1/47   21,634    23,226 
  4.00%, due 5/1/47   146,950    157,517 
  4.00%, due 5/1/47   161,814    173,866 
  4.00%, due 6/1/47   490,780    526,402 
  4.00%, due 9/1/47   4,080,983    4,369,771 
  4.00%, due 10/1/47   54,060    58,032 
  4.00%, due 11/1/47   52,704    56,587 
  4.00%, due 12/1/47   135,735    144,989 
  4.00%, due 1/1/48   296,255    317,381 
  4.00%, due 1/1/48   346,659    370,178 
  4.00%, due 1/1/48   53,530    57,388 
  4.00%, due 2/1/48   158,039    168,868 
  4.00%, due 6/1/48   672,851    718,002 
  4.00%, due 7/1/48   176,357    187,899 
  4.00%, due 7/1/48   443,966    473,263 
  4.00%, due 7/1/48   693,530    738,688 
  4.00%, due 8/1/48   118,786    126,553 
  4.00%, due 8/1/48   2,478,167    2,639,383 
  4.00%, due 9/1/48   442,542    471,543 
  4.00%, due 9/1/48   115,956    123,516 
  4.00%, due 10/1/48   82,719    88,104 
  4.00%, due 11/1/48   214,898    229,027 
  4.00%, due 1/1/49   150,461    160,377 
  4.00%, due 9/1/49   2,666,152    2,842,810 
  4.50%, due 7/1/46   51,799    56,689 
  4.50%, due 12/1/46   55,009    60,435 
  4.50%, due 4/1/47   376,033    412,017 
  4.50%, due 5/1/47   23,160    25,210 
  4.50%, due 7/1/47   316,157    342,734 
  4.50%, due 7/1/47   78,985    86,182 
  4.50%, due 8/1/47   18,424    20,067 
  4.50%, due 2/1/48   314,253    341,157 
  4.50%, due 4/1/48   75,637    81,901 
  4.50%, due 4/1/48   103,816    112,480 
  4.50%, due 4/1/48   34,413    37,285 
  4.50%, due 5/1/48   256,876    278,647 
  4.50%, due 6/1/48   134,969    146,412 
  4.50%, due 8/1/48   257,984    279,776 
  4.50%, due 10/1/48   90,672    97,999 
  4.50%, due 4/1/49   2,603,657    2,815,487 
  4.50%, due 9/1/49   1,220,998    1,320,771 
  5.00%, due 8/1/31   147,020    160,692 
  5.00%, due 6/1/39   147,985    169,726 
  5.00%, due 6/1/40   34,118    39,306 
  5.00%, due 7/1/47   108,115    119,694 
  5.00%, due 1/1/48   181,428    200,210 
  5.00%, due 4/1/48   57,611    63,417 
  5.00%, due 5/1/48   141,014    155,066 
  5.00%, due 9/1/48   119,603    131,960 
  5.50%, due 8/1/27   58,776    65,251 
  5.50%, due 6/1/36   90,001    104,342 
  5.50%, due 5/1/44   95,601    112,523 
  5.50%, due 9/1/48   350,975    390,530 
           77,761,989 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 6.3%
  2.00%, due 3/1/50 TBA (d)   7,000,000    7,272,344 
  2.50%, due 4/20/47   69,480    73,401 
  2.50%, due 2/1/50 TBA (d)   7,500,000    7,876,465 
  3.00%, due 6/15/45   37,596    39,151 
  3.00%, due 10/15/45   29,855    31,036 
  3.00%, due 11/20/45   650,179    682,785 
  3.00%, due 8/20/46   241,541    255,631 
  3.00%, due 9/20/46   129,121    136,607 
  3.00%, due 10/20/46   799,902    843,309 
  3.00%, due 1/20/47   900,627    948,353 
  3.00%, due 5/20/47   153,035    160,975 
  3.00%, due 12/20/47   514,911    542,485 
  3.00%, due 2/20/48   581,415    608,665 
  3.00%, due 3/20/48   690,641    723,607 
  3.00%, due 5/15/48   176,622    183,856 
  3.00%, due 8/1/49 TBA (d)   12,700,000    13,297,545 
  3.50%, due 11/20/42   257,753    277,335 
  3.50%, due 9/20/44   343,813    369,814 
  3.50%, due 3/15/45   20,631    21,684 
  3.50%, due 4/15/45   42,456    44,673 
  3.50%, due 7/20/45   911,225    972,905 
  3.50%, due 11/20/45   416,129    444,258 
  3.50%, due 7/20/46   46,731    49,885 
  3.50%, due 10/20/46   47,639    50,937 
  3.50%, due 11/20/46   584,228    620,801 
  3.50%, due 1/20/47   670,035    715,130 
  3.50%, due 5/20/47   532,950    565,800 
  3.50%, due 9/20/47   568,415    606,616 
  3.50%, due 10/20/47   1,017,824    1,085,954 
  3.50%, due 12/20/47   500,834    533,557 
  3.50%, due 5/15/48   73,488    76,475 
  3.50%, due 7/20/48   270,815    287,290 
  3.50%, due 9/20/48   296,614    313,172 
  3.50%, due 10/20/48   306,097    323,564 
  3.50%, due 4/20/49   1,759,262    1,851,688 
  3.50%, due 7/20/49   2,018,615    2,123,317 
  3.50%, due 12/20/49   7,892,394    8,294,364 
  4.00%, due 8/15/46   74,989    80,641 
  4.00%, due 12/20/46   38,215    41,101 
  4.00%, due 1/20/47   317,560    342,347 
  4.00%, due 2/20/47   81,729    87,699 
  4.00%, due 3/20/47   62,396    67,102 
  4.00%, due 4/20/47   137,368    148,124 
  4.00%, due 5/20/47   114,659    123,346 
  4.00%, due 7/20/47   46,376    49,934 
  4.00%, due 11/15/47   144,222    152,364 
  4.00%, due 11/20/47   571,474    611,853 
  4.00%, due 12/20/47   124,274    133,255 
  4.00%, due 4/20/48   508,544    542,419 
  4.00%, due 5/20/48   218,883    234,440 
  4.00%, due 6/20/48   90,273    96,440 
  4.00%, due 8/20/48   592,250    632,993 
  4.00%, due 9/20/48   314,311    336,273 
  4.00%, due 3/20/49   87,864    93,384 
  4.00%, due 7/15/49   312,652    330,301 
  4.00%, due 7/20/49   2,210,128    2,347,145 
  4.50%, due 8/15/46   52,130    56,968 
  4.50%, due 8/20/46   122,387    135,885 
  4.50%, due 2/15/47   19,269    21,171 
  4.50%, due 4/15/47   43,418    48,202 
  4.50%, due 4/20/47   120,298    130,902 
  4.50%, due 8/15/47   230,708    255,206 
  4.50%, due 8/15/47   276,757    303,303 
  4.50%, due 11/20/47   114,121    124,724 
  4.50%, due 1/20/48   279,433    302,457 
  4.50%, due 3/20/48   124,821    134,566 
  4.50%, due 5/20/48   115,928    125,400 
  4.50%, due 6/20/48   197,279    213,033 
  4.50%, due 8/20/48   366,031    394,358 
  5.00%, due 8/20/45   134,730    152,027 
  5.00%, due 11/20/46   83,169    94,899 
  5.00%, due 4/15/47   45,342    50,983 
  5.00%, due 11/20/47   109,560    121,336 
  5.00%, due 12/15/47   51,933    57,009 
  5.00%, due 3/20/48   69,811    76,593 
  5.00%, due 6/20/48   164,752    179,667 
           62,735,284 
  United States Treasury Bonds 6.9%
  1.25%, due 5/15/50   14,650,000    13,926,656 
  2.00%, due 2/15/50   1,025,000    1,162,894 
  2.25%, due 8/15/49   1,375,000    1,639,956 
  2.375%, due 11/15/49   6,310,000    7,726,299 
  2.75%, due 8/15/47   1,035,000    1,346,430 
  2.75%, due 11/15/47   300,000    390,832 
  2.875%, due 5/15/43   1,950,000    2,550,768 
  2.875%, due 11/15/46   140,000    185,456 
  2.875%, due 5/15/49   3,500,000    4,698,887 
  3.00%, due 2/15/47   815,000    1,104,994 
  3.00%, due 5/15/47   1,175,000    1,595,430 
  3.00%, due 2/15/48   5,950,000    8,105,016 
  3.00%, due 8/15/48   2,790,000    3,811,511 
  3.00%, due 2/15/49   2,145,000    2,939,739 
  3.125%, due 5/15/48   7,900,000    11,011,242 
  3.375%, due 11/15/48   1,550,000    2,261,062 
  3.625%, due 2/15/44   150,000    219,609 
  4.50%, due 2/15/36   1,900,000    2,877,758 
  4.625%, due 2/15/40   750,000    1,209,375 
           68,763,914 
  United States Treasury Notes 34.1%
  0.125%, due 4/30/22   3,000,000    3,000,117 
  0.125%, due 6/30/22   17,300,000    17,300,000 
  0.125%, due 7/31/22   18,000,000    18,000,000 
  0.125%, due 8/31/22   11,500,000    11,499,551 
  0.125%, due 9/30/22   12,000,000    12,000,000 
  0.125%, due 5/15/23   9,500,000    9,494,805 
  0.125%, due 7/15/23   13,300,000    13,290,649 
  0.125%, due 8/15/23   14,000,000    13,989,063 
  0.25%, due 4/15/23   850,000    852,291 
  0.25%, due 6/15/23   5,450,000    5,464,477 
  0.25%, due 5/31/25   3,850,000    3,850,451 
  0.25%, due 6/30/25   4,700,000    4,698,348 
  0.25%, due 7/31/25   3,600,000    3,597,469 
  0.25%, due 8/31/25   10,000,000    9,992,188 
  0.25%, due 9/30/25   2,000,000    1,998,750 
  0.375%, due 3/31/22   5,000,000    5,018,164 
  0.375%, due 4/30/25   4,025,000    4,048,741 
  0.375%, due 7/31/27   9,525,000    9,477,375 
  0.50%, due 4/30/27   1,300,000    1,306,297 
  0.50%, due 5/31/27   3,050,000    3,063,106 
  0.50%, due 6/30/27   3,150,000    3,162,182 
  0.625%, due 5/15/30   9,925,000    9,895,535 
  0.625%, due 8/15/30   6,600,000    6,567,000 
  1.50%, due 8/15/22   9,275,000    9,514,121 
  1.50%, due 9/15/22   3,400,000    3,491,242 
  1.50%, due 10/31/24   3,100,000    3,261,539 
  1.50%, due 1/31/27   2,400,000    2,565,375 
  1.50%, due 2/15/30   200,000    215,875 
  1.625%, due 8/31/22   700,000    720,043 
  1.625%, due 11/15/22   8,000,000    8,252,500 
  1.625%, due 10/31/26   900,000    967,500 
  1.625%, due 8/15/29   4,150,000    4,519,609 
  1.75%, due 7/31/21   4,273,600    4,331,193 
  1.75%, due 6/15/22   900,000    924,785 
  1.75%, due 6/30/22   1,925,000    1,979,517 
  1.75%, due 7/15/22   2,000,000    2,058,125 
  1.75%, due 6/30/24   2,875,000    3,042,109 
  1.75%, due 7/31/24   14,650,000    15,517,555 
  1.75%, due 11/15/29   5,600,000    6,168,531 
  1.875%, due 12/15/20   1,875,000    1,881,739 
  1.875%, due 9/30/22   950,000    983,064 
  1.875%, due 8/31/24   650,000    692,326 
  2.00%, due 4/30/24   4,035,000    4,296,014 
  2.00%, due 5/31/24   1,400,000    1,492,367 
  2.125%, due 7/31/24   150,000    161,021 
  2.125%, due 5/31/26   5,645,000    6,209,500 
  2.25%, due 2/15/21   3,000,000    3,023,789 
  2.375%, due 3/15/21   150,000    151,547 
  2.375%, due 4/30/26   200,000    222,594 
  2.375%, due 5/15/29   2,125,000    2,446,157 
  2.50%, due 2/15/22   17,450,000    18,017,125 
  2.50%, due 3/31/23   100,000    105,891 
  2.625%, due 6/15/21   925,000    941,332 
  2.625%, due 7/15/21   4,965,000    5,062,748 
  2.625%, due 6/30/23   1,900,000    2,028,992 
  2.625%, due 12/31/23   150,000    161,900 
  2.75%, due 8/15/21   3,700,000    3,784,695 
  2.75%, due 9/15/21   12,300,000    12,606,539 
  2.75%, due 4/30/23   5,425,000    5,788,645 
  2.75%, due 5/31/23   1,700,000    1,817,738 
  2.75%, due 7/31/23   4,675,000    5,018,320 
  2.75%, due 8/31/23   8,300,000    8,926,066 
  2.75%, due 6/30/25   275,000    307,270 
  2.875%, due 11/15/21   375,000    386,514 
  2.875%, due 9/30/23   2,875,000    3,108,032 
  2.875%, due 10/31/23   5,300,000    5,740,977 
  2.875%, due 11/30/23   600,000    651,234 
  2.875%, due 5/31/25   300,000    336,469 
  2.875%, due 7/31/25   1,425,000    1,603,459 
           337,050,242 
  Total U.S. Government & Federal Agencies
(Cost $616,860,288)
        640,141,138 
  Total Long-Term Bonds
(Cost $888,290,947)
        927,349,365 

 

     Shares     
  Exchange-Traded Funds 3.6%
  iShares 1-5 Year Investment Grade Corporate Bond ETF   54,601    2,998,141 
  iShares 5-10 Year Investment Grade Corporate Bond ETF   197,918    12,035,394 
  iShares Long-Term Corporate Bond ETF   297,696    20,960,775 
  Total Exchange-Traded Funds
(Cost $34,068,846)
        35,994,310 

 

     Principal
Amount
     
  Short-Term Investments 9.2%        
  Repurchase Agreement 8.1%          
  Fixed Income Clearing Corp.
0.00%, dated 9/30/20
due 10/1/20
Proceeds at Maturity $79,818,741 (Collateralized by United States Treasury Notes with rates between 2.625% and 2.75% and a maturity dates between 12/31/23 and 2/15/24, with a Principal Amount of $74,750,900 and a Market Value of $81,415,193)
  $79,818,741    79,818,741 
  Total Repurchase Agreement
(Cost $79,818,741)
        79,818,741 
  U.S. Government & Federal Agencies 1.1%          
  United States Treasury Notes 1.1%          
  0.125%, due 9/15/23   7,000,000    6,993,984 
  0.50%, due 8/31/27   3,400,000    3,409,563 
  Total U.S. Government & Federal Agencies
(Cost $10,409,677)
        10,403,547 
  Total Short-Term Investments
(Cost $90,228,418)
        90,222,288 
  Total Investments
(Cost $1,012,588,211)
   106.5%   1,053,565,963 
  Other Assets, Less Liabilities   (6.5)   (64,195,727)
  Net Assets   100.0%  $989,370,236 

 

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 September 30, 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 September 30, 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 September 30, 2020, the total net market value of these securities was $63,276,098, which represented 6.4% 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 September 30, 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  202  December 2020  $25,449,181   $25,458,312   $9,131 
10-Year United States Treasury Note  92  December 2020   12,822,663    12,836,875    14,212 
10-Year United States Treasury Ultra Note  35  December 2020   5,602,499    5,597,266    (5,233)
United States Treasury Ultra Bond  13  December 2020   2,911,516    2,883,562    (27,954)
Total Long Contracts                   (9,844)
                      
Short Contracts                     
2-Year United States Treasury Note  (104)  December 2020   (22,975,706)   (22,979,937)   (4,231)
United States Treasury Long Bond  (4)  December 2020   (710,524)   (705,125)   5,399 
Total Short Contracts                   1,168 
Net Unrealized Depreciation                  $(8,676)

 

1. As of September 30, 2020, cash in the amount of $458,638 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 September 30, 2020.
 
The following abbreviations are used in the preceding pages:
ETF —Exchange-Traded Fund
SOFR —Secured Overnight Financing Rate
TBA —To Be Announced
   
The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $   $1,181,703   $   $1,181,703 
Corporate Bonds       257,533,654        257,533,654 
Foreign Government Bonds       16,330,491        16,330,491 
Mortgage-Backed Securities       12,162,379        12,162,379 
U.S. Government & Federal Agencies       640,141,138        640,141,138 
Total Long-Term Bonds       927,349,365        927,349,365 
Exchange-Traded Funds   35,994,310            35,994,310 
Short-Term Investments                    
Repurchase Agreements       79,818,741        79,818,741 
U.S. Government & Federal Agencies       10,403,547        10,403,547 
Total Short-Term Investments       90,222,288        90,222,288 
Total Investments in Securities   35,994,310    1,017,571,653        1,053,565,963 
Other Financial Instruments                    
Futures Contracts (b)   28,742            28,742 
Total Investments in Securities and Other Financial Instruments  $36,023,052   $1,017,571,653   $   $1,053,594,705 

 

 

Liability Valuation Inputs

                    
Other Financial Instruments                    
Futures Contracts (b)  $(37,418)  $   $   $(37,418)

 

(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 IQ Hedge Multi-Strategy Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Exchange-Traded Funds 96.7%          
  Bonds 73.9%          
  Affiliated Investment Company 10.6%          
  IQ Ultra Short Duration ETF   785,880   $38,971,789 
             
  Bank Loan Funds 8.8%          
  Invesco Senior Loan ETF (a)   1,115,315    24,246,948 
  SPDR Blackstone / GSO Senior Loan ETF (a)   187,340    8,377,845 
           32,624,793 
  Convertible Bond Fund 6.6%          
  SPDR Bloomberg Barclays Convertible Securities ETF   353,239    24,334,635 
             
  Emerging Bonds - Local Currency Funds 2.1%          
  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF (a)   57,527    1,511,809 
  VanEck Vectors J.P. Morgan EM Local Currency Bond ETF   200,288    6,176,882 
  WisdomTree Emerging Markets Local Debt Fund   7,817    248,112 
           7,936,803 
  Emerging Bonds - USD Funds 2.3%          
  iShares JP Morgan USD Emerging Markets Bond ETF   69,587    7,716,503 
  Vanguard Emerging Markets Government Bond ETF   10,579    834,683 
           8,551,186 
  Floating Rate - Investment Grade Funds 5.5%          
  iShares Floating Rate Bond ETF (a)   278,158    14,108,174 
  SPDR Bloomberg Barclays Investment Grade Floating Rate ETF (a)   202,408    6,189,636 
           20,297,810 
  High Yield Corporate Bond Funds 3.1%          
  iShares 0-5 Year High Yield Corporate Bond ETF   96,995    4,262,930 
  iShares iBoxx High Yield Corporate Bond ETF   30,293    2,541,583 
  SPDR Bloomberg Barclays High Yield Bond ETF   10,348    1,078,986 
  SPDR Bloomberg Barclays Short Term High Yield Bond ETF   116,898    3,024,151 
  Xtrackers USD High Yield Corporate Bond ETF   10,452    502,741 
           11,410,391 
  Investment Grade Corporate Bond Funds 11.1%          
  iShares Broad USD Investment Grade Corporate Bond ETF   24,534    1,491,176 
  iShares iBoxx $ Investment Grade Corporate Bond ETF   118,331    15,940,369 
  SPDR Portfolio Short Term Corporate Bond ETF   70,794    2,220,808 
  Vanguard Intermediate-Term Corporate Bond ETF   114,484    10,967,567 
  Vanguard Short-Term Corporate Bond ETF   127,501    10,563,458 
           41,183,378 
  U.S. Medium Term Treasury Bond Funds 4.4%          
  iShares 3-7 Year Treasury Bond ETF (a)   64,563    8,624,971 
  Schwab Intermediate-Term U.S. Treasury ETF   43,664    2,562,204 
  Vanguard Intermediate-Term Treasury ETF   70,515    4,969,897 
           16,157,072 
  U.S. Ultra Short Term Bond Funds 19.4%          
  Invesco Treasury Collateral ETF   186,525    19,721,288 
  iShares Short Treasury Bond ETF   183,639    20,328,837 
  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF (a)   95,288    8,720,758 
  Goldman Sachs Access Treasury 0-1 Year ETF   228,010    22,899,045 
           71,669,928 
  Total Bonds
(Cost $267,686,263)
        273,137,785 
             
  Equities 22.8%          
  Europe Equity Funds 1.6%          
  iShares Core MSCI Europe ETF   31,001    1,386,055 
  Vanguard FTSE Europe ETF (a)   89,800    4,708,214 
           6,094,269 
  Japan Equity Fund 0.8%          
  Xtrackers MSCI Japan Hedged Equity ETF (a)   68,401    2,785,289 
             
  BRIC Equity Funds 1.1%          
  iShares China Large-Cap ETF (a)   29,894    1,255,548 
  iShares MSCI China ETF   30,891    2,291,185 
  SPDR S&P China ETF (a)   4,522    537,304 
           4,084,037 
  International Large Cap Growth Fund 0.3%          
  iShares MSCI EAFE Growth ETF (a)   13,897    1,249,062 
             
  Emerging Small Cap Equity Fund 2.2%          
  SPDR S&P Emerging Markets Small Cap ETF   179,073    7,947,260 
             
  U.S. Large Cap Growth Funds 2.7%          
  iShares Core S&P U.S. Growth ETF   11,953    956,001 
  Schwab U.S. Large-Cap Growth ETF (a)   10,842    1,248,673 
  SPDR Portfolio S&P 500 Growth ETF (a)   18,429    923,477 
  Vanguard Growth ETF (a)   27,211    6,193,496 
  Vanguard Russell 1000 Growth ETF   2,150    479,235 
           9,800,882 
  U.S. Large Cap Core Funds 1.1%          
  Energy Select Sector SPDR Fund   29,175    873,791 
  Financial Select Sector SPDR Fund (a)   84,476    2,033,337 
  Health Care Select Sector SPDR Fund (a)   6,670    703,552 
  Technology Select Sector SPDR Fund   3,637    424,438 
           4,035,118 
  International Small Cap Equity Funds 1.3%          
  Schwab International Small-Cap Equity ETF (a)   45,904    1,493,257 
  Vanguard FTSE All World ex-U.S. Small-Cap ETF   29,671    3,124,060 
           4,617,317 
  International Equity Core Funds 2.5%          
  iShares Core MSCI EAFE ETF   74,906    4,515,334 
  Vanguard FTSE Developed Markets ETF   116,408    4,761,087 
           9,276,421 
  Emerging Equity Funds 8.0%          
  iShares Core MSCI Emerging Markets ETF   263,119    13,892,683 
  Vanguard FTSE Emerging Markets ETF   359,174    15,530,684 
           29,423,367 
  U.S. Small Cap Value Fund 1.3%          
  Vanguard Small-Cap Value ETF   21,670    2,397,352 
  iShares S&P Small-Cap 600 Value ETF (a)   7,081    866,856 
  iShares Russell 2000 Value ETF (a)   14,504    1,440,682 
           4,704,890 
  Total Equities
(Cost $80,430,306)
        84,017,912 
  Total Exchange-Traded Funds
(Cost $348,116,569)
        357,155,697 
             
  Exchange-Traded Note 0.2%          
  Volatility 0.2%          
  iPath Series B S&P 500 VIX Short-Term Futures ETN (a)(b)   35,179    875,957 
  Total Exchange-Traded Note
(Cost $854,736)
        875,957 
             
  Exchange-Traded Vehicles 2.2%          
  Commodities 0.7%          
  iShares Silver Trust (b)   119,362    2,582,994 
  Total Commodities
(Cost $2,782,705)
        2,582,994 
  Currencies 1.5%          
  British Pound Fund 0.2%          
  Invesco CurrencyShares British Pound Sterling Trust (b)   4,509    562,858 
             
  Euro Fund 1.3%          
  Invesco CurrencyShares Euro Trust (b)   43,553    4,806,945 
  Total Currencies
(Cost $5,107,938)
        5,369,803 
  Total Exchange-Traded Vehicles
(Cost $7,890,643)
        7,952,797 
             
  Short-Term Investments 17.8%          
  Affiliated Investment Company 1.0%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   3,722,498    3,722,498 
             
  Unaffiliated Investment Company 16.8%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (c)(d)   62,029,078    62,029,078 
  Total Short-Term Investments
(Cost $65,751,576)
        65,751,576 
  Total Investments
(Cost $422,613,524)
   116.9%   431,736,027 
  Other Assets, Less Liabilities   (16.9)   (62,312,768)
  Net Assets   100.0%  $369,423,259 

 

(a)All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $73,305,252; the total market value of collateral held by the Portfolio was $74,979,992. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $12,950,915.
(b)Non-income producing security.
(c)Current yield as of September 30, 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 September 30, 2020 were as follows1:

 

Swap
Counterparty
  Reference Obligation 

Floating Rate 2

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

Unrealized
Appreciation3

 
Bank of America Merrill Lynch  Aberdeen Standard Physical Gold Shares ETF  1 month LIBOR  10/04/2021  Monthly  $(2)  $ 
Morgan Stanley & Co.  Aberdeen Standard Physical Gold Shares ETF  Federal Fund Rate minus 1.59%  9/14/2022  Monthly   (2)    
Bank of America Merrill Lynch  Consumer Discretionary Select Sector SPDR Fund  1 month LIBOR  10/04/2021  Monthly   (358)    
Morgan Stanley & Co.  Consumer Discretionary Select Sector SPDR Fund  Federal Fund Rate minus 0.05%  9/14/2022  Monthly   (358)    
Bank of America Merrill Lynch  Energy Select Sector SPDR Fund  1 month LIBOR plus 0.50%  10/04/2021  Monthly   52     
Morgan Stanley & Co.  Energy Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   52     
Bank of America Merrill Lynch  Financial Select Sector SPDR Fund  1 month LIBOR plus 0.50%  10/04/2021  Monthly   106     
Morgan Stanley & Co.  Financial Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   106     
Bank of America Merrill Lynch  FlexShares Global Upstream Natural Resources Index Fund  1 month LIBOR  10/04/2021  Monthly   (245)    
Morgan Stanley & Co.  FlexShares Global Upstream Natural Resources Index Fund  Federal Fund Rate minus 1.39%  9/14/2022  Monthly   (245)    
Bank of America Merrill Lynch  Goldman Sachs Access Treasury 0-1 Year ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   1,143     
Morgan Stanley & Co.  Goldman Sachs Access Treasury 0-1 Year ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   1,143     
Bank of America Merrill Lynch  Graniteshares Gold Trust  1 month LIBOR  1/01/1900  Monthly   (1)    
Morgan Stanley & Co.  Graniteshares Gold Trust  Federal Fund Rate minus 4.64%  9/14/2022  Monthly   (1)    
Morgan Stanley & Co.  Health Care Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   36     
Bank of America Merrill Lynch  Health Care Select Sector SPDR Fund  1 month LIBOR plus 0.50%  10/04/2021  Monthly   36     
Bank of America Merrill Lynch  Invesco CurrencyShares Australian Dollar Trust  1 month LIBOR  10/04/2021  Monthly   (620)    
Morgan Stanley & Co.  Invesco CurrencyShares Australian Dollar Trust  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (129)    
Bank of America Merrill Lynch  Invesco CurrencyShares British Pound Sterling Trust  1 month LIBOR plus 0.50%  10/04/2021  Monthly   29     
Morgan Stanley & Co.  Invesco CurrencyShares British Pound Sterling Trust  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   29     
Bank of America Merrill Lynch  Invesco CurrencyShares Euro Currency Trust  1 month LIBOR plus 0.50%  10/04/2021  Monthly   244     
Morgan Stanley & Co.  Invesco CurrencyShares Euro Currency Trust  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   244     
Bank of America Merrill Lynch  Invesco DB US Dollar Index Bullish Fund  1 month LIBOR  10/04/2021  Monthly   (90)    
Morgan Stanley & Co.  Invesco DB US Dollar Index Bullish Fund  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (90)    
Bank of America Merrill Lynch  Invesco KBW Bank ETF  1 month LIBOR  10/04/2021  Monthly   (259)    
Morgan Stanley & Co.  Invesco KBW Bank ETF  Federal Fund Rate minus 3.39%  9/14/2022  Monthly   (259)    
Bank of America Merrill Lynch  Invesco Preferred ETF  1 month LIBOR  10/04/2021  Monthly   (159)    
Morgan Stanley & Co.  Invesco Preferred ETF  Federal Fund Rate minus 0.69%  9/14/2022  Monthly   (159)    
Bank of America Merrill Lynch  Invesco S&P 500 Low Volatility  1 month LIBOR  10/04/2021  Monthly   (573)    
Morgan Stanley & Co.  Invesco S&P 500 Low Volatility  Federal Fund Rate minus 1.79%  9/14/2022  Monthly   (573)    
Bank of America Merrill Lynch  Invesco Senior Loan ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   1,218     
Morgan Stanley & Co.  Invesco Senior Loan ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   1,218     
Bank of America Merrill Lynch  Invesco Treasury Collateral ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   985     
Morgan Stanley & Co.  Invesco Treasury Collateral ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   985     
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   49     
Morgan Stanley & Co.  iPath Series B S&P 500 VIX Short-Term Futures ETN  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   49     
Bank of America Merrill Lynch  IQ Ultra Short Duration ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   1,948     
Morgan Stanley & Co.  IQ Ultra Short Duration ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   1,948     
Bank of America Merrill Lynch  iShares 0-5 Year High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   215     
Morgan Stanley & Co.  iShares 0-5 Year High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   215     
Bank of America Merrill Lynch  iShares 20+ Year Treasury Bond ETF  1 month LIBOR  10/04/2021  Monthly   (163)    
Morgan Stanley & Co.  iShares 20+ Year Treasury Bond ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (163)    
Bank of America Merrill Lynch  iShares 3-7 Year Treasury Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   431     
Morgan Stanley & Co.  iShares 3-7 Year Treasury Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   431     
Bank of America Merrill Lynch  iShares Broad USD Investment Grade Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   75     
Morgan Stanley & Co.  iShares Broad USD Investment Grade Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   75     
Bank of America Merrill Lynch  iShares China Large-Cap ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   65     
Morgan Stanley & Co.  iShares China Large-Cap ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   65     
Bank of America Merrill Lynch  iShares Core MSCI EAFE ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   230     
Morgan Stanley & Co.  iShares Core MSCI EAFE ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   230     
Bank of America Merrill Lynch  iShares Core MSCI Emerging Markets ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   699     
Morgan Stanley & Co.  iShares Core MSCI Emerging Markets ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   699     
Bank of America Merrill Lynch  iShares Core MSCI Europe ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   71     
Morgan Stanley & Co.  iShares Core MSCI Europe ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   71     
Bank of America Merrill Lynch  iShares Core MSCI Pacific ETF  1 month LIBOR  10/04/2021  Monthly   (568)    
Morgan Stanley & Co.  iShares Core MSCI Pacific ETF  Federal Fund Rate minus 7.69%  9/14/2022  Monthly   (569)    
Bank of America Merrill Lynch  iShares Core S&P U.S. Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   50     
Morgan Stanley & Co.  iShares Core S&P U.S. Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   50     
Bank of America Merrill Lynch  iShares Core S&P U.S. Value ETF  1 month LIBOR  10/04/2021  Monthly   (248)    
Morgan Stanley & Co.  iShares Core S&P U.S. Value ETF  Federal Fund Rate minus 3.04%  9/14/2022  Monthly   (248)    
Bank of America Merrill Lynch  iShares Core US REIT ETF  1 month LIBOR  10/04/2021  Monthly   (227)    
Morgan Stanley & Co.  iShares Core US REIT ETF  Federal Fund Rate minus 2.94%  9/14/2022  Monthly   (227)    
Bank of America Merrill Lynch  iShares Edge MSCI Min Vol Emerging Markets ETF  1 month LIBOR  10/04/2021  Monthly   (560)    
Morgan Stanley & Co.  iShares Edge MSCI Min Vol Emerging Markets ETF  Federal Fund Rate minus 0.59%  9/14/2022  Monthly   (559)    
Bank of America Merrill Lynch  iShares Edge MSCI Min Vol USA ETF  1 month LIBOR  10/04/2021  Monthly   (2,173)    
Morgan Stanley & Co.  iShares Edge MSCI Min Vol USA ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (2,173)    
Bank of America Merrill Lynch  iShares Edge MSCI USA Momentum Factor ETF  1 month LIBOR  10/04/2021  Monthly   (187)    
Morgan Stanley & Co.  iShares Edge MSCI USA Momentum Factor ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (187)    
Bank of America Merrill Lynch  iShares Floating Rate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   704     
Morgan Stanley & Co.  iShares Floating Rate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   704     
Bank of America Merrill Lynch  iShares Gold Trust  1 month LIBOR  10/04/2021  Monthly   (24)    
Morgan Stanley & Co.  iShares Gold Trust  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (24)    
Bank of America Merrill Lynch  iShares iBoxx $ Investment Grade Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   801     
Morgan Stanley & Co.  iShares iBoxx $ Investment Grade Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   801     
Bank of America Merrill Lynch  iShares iBoxx High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   128     
Morgan Stanley & Co.  iShares iBoxx High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   128     
Bank of America Merrill Lynch  iShares JP Morgan USD Emerging Markets Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   395     
Morgan Stanley & Co.  iShares JP Morgan USD Emerging Markets Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   395     
Bank of America Merrill Lynch  iShares MBS ETF  1 month LIBOR  10/04/2021  Monthly   (486)    
Morgan Stanley & Co.  iShares MBS ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (486)    
Morgan Stanley & Co.  iShares MSCI China ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   116     
Bank of America Merrill Lynch  iShares MSCI China ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   116     
Bank of America Merrill Lynch  iShares MSCI EAFE Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   63     
Morgan Stanley & Co.  iShares MSCI EAFE Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   63     
Bank of America Merrill Lynch  iShares MSCI Japan ETF  1 month LIBOR  10/04/2021  Monthly   (563)    
Morgan Stanley & Co.  iShares MSCI Japan ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (563)    
Bank of America Merrill Lynch  iShares Russell 2000 Growth ETF  1 month LIBOR  10/04/2021  Monthly   (645)    
Morgan Stanley & Co.  iShares Russell 2000 Growth ETF  Federal Fund Rate minus 2.14%  9/14/2022  Monthly   (645)    
Bank of America Merrill Lynch  iShares Russell 2000 Value ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   76     
Morgan Stanley & Co.  iShares Russell 2000 Value ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   76     
Bank of America Merrill Lynch  iShares S&P Small-Cap 600 Growth ETF  1 month LIBOR  10/04/2021  Monthly   (316)    
Morgan Stanley & Co.  iShares S&P Small-Cap 600 Growth ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (316)    
Bank of America Merrill Lynch  iShares S&P Small-Cap 600 Value ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   46     
Morgan Stanley & Co.  iShares S&P Small-Cap 600 Value ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   46     
Bank of America Merrill Lynch  iShares Short Treasury Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   1,015     
Morgan Stanley & Co.  iShares Short Treasury Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   1,015     
Bank of America Merrill Lynch  iShares Silver Trust  1 month LIBOR plus 0.50%  10/04/2021  Monthly   150     
Morgan Stanley & Co.  iShares Silver Trust  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   150     
Morgan Stanley & Co.  iShares TIPS Bond ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (739)    
Bank of America Merrill Lynch  iShares TIPS Bond ETF  1 month LIBOR  10/04/2021  Monthly   (739)    
Bank of America Merrill Lynch  iShares US Preferred Stock ETF  1 month LIBOR  10/04/2021  Monthly   (430)    
Morgan Stanley & Co.  iShares US Preferred Stock ETF  Federal Fund Rate minus 0.84%  9/14/2022  Monthly   (430)    
Morgan Stanley & Co.  Schwab Intermediate-Term U.S. Treasury ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   128     
Bank of America Merrill Lynch  Schwab Intermediate-Term U.S. Treasury ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   128     
Bank of America Merrill Lynch  Schwab International Small-Cap Equity ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   76     
Morgan Stanley & Co.  Schwab International Small-Cap Equity ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   76     
Bank of America Merrill Lynch  Schwab U.S. Large Cap Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   64     
Morgan Stanley & Co.  Schwab U.S. Large Cap Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   64     
Bank of America Merrill Lynch  Schwab U.S. Large Cap Value ETF  1 month LIBOR  10/04/2021  Monthly   (257)    
Morgan Stanley & Co.  Schwab U.S. Large Cap Value ETF  Federal Fund Rate minus 2.09%  9/14/2022  Monthly   (257)    
Bank of America Merrill Lynch  Schwab U.S. REIT ETF  1 month LIBOR 0.00%  10/04/2021  Monthly   (694)    
Morgan Stanley & Co.  Schwab U.S. REIT ETF  Federal Fund Rate minus 1.50%  9/14/2022  Monthly   (694)    
Bank of America Merrill Lynch  SPDR Blackstone / GSO Senior Loan ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   419     
Morgan Stanley & Co.  SPDR Blackstone / GSO Senior Loan ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   419     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   435     
Morgan Stanley & Co.  SPDR Bloomberg Barclays 1-3 Month T-Bill ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   435     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Convertible Securities ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   1,238     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Convertible Securities ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   1,238     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   77     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Emerging Markets Local Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   77     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays High Yield Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   54     
Morgan Stanley & Co.  SPDR Bloomberg Barclays High Yield Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   54     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Invest  1 month LIBOR plus 0.50%  10/04/2021  Monthly   309     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Invest  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   309     
Bank of America Merrill Lynch  SPDR Bloomberg Barclays Short Term High Yield Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   152     
Morgan Stanley & Co.  SPDR Bloomberg Barclays Short Term High Yield Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   152     
Bank of America Merrill Lynch  SPDR Dow Jones International Real Estate ETF  1 month LIBOR  10/04/2021  Monthly   (1,221)    
Morgan Stanley & Co.  SPDR Dow Jones International Real Estate ETF  Federal Fund Rate minus 1.24%  9/14/2022  Monthly   (1,220)    
Bank of America Merrill Lynch  SPDR Gold MiniShares Trust  1 month LIBOR  10/04/2021  Monthly   (3)    
Morgan Stanley & Co.  SPDR Gold MiniShares Trust  Federal Fund Rate minus 0.94%  9/14/2022  Monthly   (3)    
Bank of America Merrill Lynch  SPDR Portfolio Long Term Treasury ETF  1 month LIBOR  10/04/2021  Monthly   (25)    
Morgan Stanley & Co.  SPDR Portfolio Long Term Treasury ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (25)    
Bank of America Merrill Lynch  SPDR Portfolio S&P 500 Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   48     
Morgan Stanley & Co.  SPDR Portfolio S&P 500 Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   48     
Bank of America Merrill Lynch  SPDR Portfolio S&P 500 Value ETF  1 month LIBOR  10/04/2021  Monthly   (201)    
Morgan Stanley & Co.  SPDR Portfolio S&P 500 Value ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (201)    
Bank of America Merrill Lynch  SPDR Portfolio Short Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   111     
Morgan Stanley & Co.  SPDR Portfolio Short Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   111     
Bank of America Merrill Lynch  SPDR S&P Bank ETF  1 month LIBOR  10/04/2021  Monthly   (442)    
Morgan Stanley & Co.  SPDR S&P Bank ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (442)    
Bank of America Merrill Lynch  SPDR S&P China ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   27     
Morgan Stanley & Co.  SPDR S&P China ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   27     
Bank of America Merrill Lynch  SPDR S&P Emerging Markets Small Cap ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   405     
Morgan Stanley & Co.  SPDR S&P Emerging Markets Small Cap ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   406     
Morgan Stanley & Co.  Technology Select Sector SPDR Fund  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   22     
Bank of America Merrill Lynch  Technology Select Sector SPDR Fund  1 month LIBOR plus 0.50%  10/04/2021  Monthly   22     
Bank of America Merrill Lynch  VanEck Vectors High-Yield Municipal Index ETF  1 month LIBOR  10/04/2021  Monthly   (427)    
Morgan Stanley & Co.  VanEck Vectors High-Yield Municipal Index ETF  Federal Fund Rate minus 1.64%  9/14/2022  Monthly   (427)    
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   315     
Morgan Stanley & Co.  VanEck Vectors J.P. Morgan EM Local Currency Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   315     
Bank of America Merrill Lynch  Vanguard Emerging Markets Government Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   43     
Morgan Stanley & Co.  Vanguard Emerging Markets Government Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   43     
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   159     
Morgan Stanley & Co.  Vanguard FTSE All World ex-U.S. Small-Cap ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   159     
Bank of America Merrill Lynch  Vanguard FTSE Developed Markets ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   243     
Morgan Stanley & Co.  Vanguard FTSE Developed Markets ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   243     
Bank of America Merrill Lynch  Vanguard FTSE Emerging Markets ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   792     
Morgan Stanley & Co.  Vanguard FTSE Emerging Markets ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   792     
Bank of America Merrill Lynch  Vanguard FTSE Europe ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   244     
Morgan Stanley & Co.  Vanguard FTSE Europe ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   244     
Bank of America Merrill Lynch  Vanguard FTSE Pacific ETF  1 month LIBOR  10/04/2021  Monthly   (2,165)    
Morgan Stanley & Co.  Vanguard FTSE Pacific ETF  Federal Fund Rate minus 2.64%  9/14/2022  Monthly   (2,166)    
Bank of America Merrill Lynch  Vanguard Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   321     
Morgan Stanley & Co.  Vanguard Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   321     
Morgan Stanley & Co.  Vanguard Intermediate-Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   551     
Bank of America Merrill Lynch  Vanguard Intermediate-Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   551     
Bank of America Merrill Lynch  Vanguard Intermediate-Term Treasury ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   248     
Morgan Stanley & Co.  Vanguard Intermediate-Term Treasury ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   248     
Bank of America Merrill Lynch  Vanguard Long-Term Treasury ETF  1 month LIBOR  10/04/2021  Monthly   (19)    
Morgan Stanley & Co.  Vanguard Long-Term Treasury ETF  Federal Fund Rate minus 6.19%  9/14/2022  Monthly   (19)    
Bank of America Merrill Lynch  Vanguard Mortgage-Backed Securities ETF  1 month LIBOR  10/04/2021  Monthly   (253)    
Morgan Stanley & Co.  Vanguard Mortgage-Backed Securities ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (253)    
Bank of America Merrill Lynch  Vanguard Russell 1000 Growth ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   25     
Morgan Stanley & Co.  Vanguard Russell 1000 Growth ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   25     
Bank of America Merrill Lynch  Vanguard Russell 1000 Growth ETF  1 month LIBOR  10/04/2021  Monthly   (99)    
Morgan Stanley & Co.  Vanguard Russell 1000 Growth ETF  Federal Fund Rate minus 5.04%  9/14/2022  Monthly   (99)    
Bank of America Merrill Lynch  Vanguard Short-Term Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   529     
Morgan Stanley & Co.  Vanguard Short-Term Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   529     
Bank of America Merrill Lynch  Vanguard Small-Cap Growth ETF  1 month LIBOR  10/04/2021  Monthly   (785)    
Morgan Stanley & Co.  Vanguard Small-Cap Growth ETF  Federal Fund Rate minus 0.69%  9/14/2022  Monthly   (785)    
Bank of America Merrill Lynch  Vanguard Small-Cap Value ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   125     
Morgan Stanley & Co.  Vanguard Small-Cap Value ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   125     
Bank of America Merrill Lynch  Vanguard Value ETF  1 month LIBOR  10/04/2021  Monthly   (1,942)    
Morgan Stanley & Co.  Vanguard Value ETF  Federal Fund Rate minus 0.35%  9/14/2022  Monthly   (1,942)    
Bank of America Merrill Lynch  WisdomTree Emerging Markets Local Debt Fund  1 month LIBOR plus 0.50%  10/04/2021  Monthly   13     
Morgan Stanley & Co.  WisdomTree Emerging Markets Local Debt Fund  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   13     
Bank of America Merrill Lynch  Xtrackers MSCI Europe Hedged Equity ETF  1 month LIBOR  10/04/2021  Monthly   (562)    
Morgan Stanley & Co.  Xtrackers MSCI Europe Hedged Equity ETF  Federal Fund Rate minus 14.29%  9/14/2022  Monthly   (562)    
Bank of America Merrill Lynch  Xtrackers MSCI Japan Hedged Equity ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   137     
Morgan Stanley & Co.  Xtrackers MSCI Japan Hedged Equity ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   137     
Bank of America Merrill Lynch  Xtrackers USD High Yield Corporate Bond ETF  1 month LIBOR plus 0.50%  10/04/2021  Monthly   25     
Morgan Stanley & Co.  Xtrackers USD High Yield Corporate Bond ETF  Federal Fund Rate plus 0.50%  9/14/2022  Monthly   25     
               $(21)  $ 

 

1As of September 30, 2020, cash in the amount of $150,000 was on deposit with a broker for total return equity swap contracts.
2Fund pays the floating rate and receives the total return of the reference entity.
3Reflects the value at reset date as of September 30, 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:
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
TIPS —Treasury Inflation- Protected Security
USD —United States Dollar
VIX —CBOE Volatility Index

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $357,155,697   $   $   $357,155,697 
Exchange-Traded Note   875,957            875,957 
Exchange-Traded Vehicles   7,952,797            7,952,797 
Short-Term Investments                    
 Affiliated Investment Company   3,722,498            3,722,498 
 Unaffiliated Investment Company   62,029,078            62,029,078 
Total Short-Term Investments   65,751,576            65,751,576 
Total Investments in Securities  $431,736,027   $   $   $431,736,027 

 

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

 

 

 

 

MainStay VP Janus Henderson Balanced Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)

 

     Principal
Amount
   Value 
  Long-Term Bonds 37.8% †
  Asset-Backed Securities 1.8%
  Automobile Asset-Backed Securities 0.6%
  CarMax Auto Owner Trust
Series 2017-3, Class C
2.72%, due 5/15/23
  $642,000   $654,259 
  Credit Acceptance Auto Loan
Series 2018-2A, Class B
3.94%, due 7/15/27 (a)
   387,000    397,366 
  Drive Auto Receivables Trust          
  Series 2019-2, Class A3
3.04%, due 3/15/23
   154,338    154,663 
  Series 2017-3, Class D
3.53%, due 12/15/23 (a)
   141,952    144,256 
  Series 2018-4, Class C
3.66%, due 11/15/24
   190,864    193,247 
  Series 2017-AA, Class D
4.16%, due 5/15/24 (a)
   270,670    273,735 
  Series 2017-1, Class E
5.17%, due 9/16/24
   1,590,000    1,636,206 
  Series 2017-2, Class E
5.27%, due 11/15/24
   1,400,000    1,456,308 
  OneMain Direct Auto Receivables Trust (a)          
  Series 2018-1A, Class C
3.85%, due 10/14/25
   181,000    185,743 
  Series 2018-1A, Class D
4.40%, due 1/14/28
   180,000    185,604 
  Santander Consumer Auto Receivables Trust
Series 2020-AA, Class A
1.37%, due 10/15/24 (a)
   695,715    702,333 
  Santander Drive Auto Receivables Trust          
  Series 2020-1, Class A2A
2.07%, due 1/17/23
   402,976    405,793 
  Series 2016-3, Class E
4.29%, due 2/15/24
   1,868,000    1,893,153 
  United Auto Credit Securitization Trust
Series 2019-1, Class C
3.16%, due 8/12/24 (a)
   390,000    393,725 
           8,676,391 
  Other Asset-Backed Securities 1.2%
  Applebee's Funding LLC / IHOP Funding LLC
Series 2019-1A, Class A2I
4.194%, due 6/7/49 (a)
   1,022,000    946,955 
  Arbys Funding LLC
Series 2020-1A, Class A2
3.237%, due 7/30/50 (a)
   1,408,000    1,447,860 
  Deutsche Bank Master Finance LLC (a)          
  Series 2019-1A, Class A2I
3.787%, due 5/20/49
   463,320    477,539 
  Series 2019-1A, Class A2II
4.021%, due 5/20/49
   255,420    270,962 
  Series 2019-1A, Class A23
4.352%, due 5/20/49
   370,260    402,898 
  Domino's Pizza Master Issuer LLC (a)          
  Series 2017-1A, Class A2II
3.082%, due 7/25/47
   195,473    195,871 
  Series 2019-1A, Class A2
3.668%, due 10/25/49
   1,636,633    1,739,626 
  Series 2018-1A, Class A2I
4.116%, due 7/25/48
   907,480    960,096 
  Series 2017-1A, Class A23
4.118%, due 7/25/47
   209,088    225,522 
  Series 2018-1A, Class A2II
4.328%, due 7/25/48
   496,860    540,643 
  Jack in the Box Funding LLC (a)          
  Series 2019-1A, Class A2I
3.982%, due 8/25/49
   983,568    1,008,265 
  Series 2019-1A, Class A2II
4.476%, due 8/25/49
   983,568    1,028,576 
  Series 2019-1A, Class A23
4.97%, due 8/25/49
   983,568    1,040,890 
  Planet Fitness Master Issuer LLC (a)          
  Series 2019-1A, Class A2
3.858%, due 12/5/49
   866,453    812,706 
  Series 2018-1A, Class A2I
4.262%, due 9/5/48
   619,360    619,478 
  Taco Bell Funding LLC
Series 2018-1A, Class A2II
4.94%, due 11/25/48 (a)
   195,518    211,149 
  Vantage Data Centers LLC (a)(b)          
  Series 2020-1A, Class A2
1.645%, due 9/15/45
   1,615,000    1,615,000 
  Series 2020-2A, Class A2
1.992%, due 9/15/45
   705,000    705,000 
  VCAT  LLC
Series 2020-NPL1, Class A1
3.671%, due 8/25/50 (a)(c)
   819,402    819,237 
  Wendy's Funding LLC (a)          
  Series 2018-1A, Class A2I
3.573%, due 3/15/48
   315,090    325,677 
  Series 2019-1A, Class A2I
3.783%, due 6/15/49
   507,323    537,939 
  Series 2018-1A, Class A2II
3.884%, due 3/15/48
   88,498    93,156 
           16,025,045 
  Total Asset-Backed Securities
(Cost $24,296,211)
        24,701,436 
             
  Corporate Bonds 22.2%
  Aerospace & Defense 0.9%
  BAE Systems PLC (a)          
  1.90%, due 2/15/31   725,000    721,679 
  3.00%, due 9/15/50   583,000    589,383 
  3.40%, due 4/15/30   544,000    607,981 
  Boeing Co.          
  2.25%, due 6/15/26   144,000    140,166 
  3.60%, due 5/1/34   918,000    883,761 
  4.508%, due 5/1/23   1,427,000    1,504,543 
  4.875%, due 5/1/25   460,000    500,538 
  5.705%, due 5/1/40   1,178,000    1,388,770 
  5.805%, due 5/1/50   684,000    827,490 
  5.93%, due 5/1/60   534,000    660,899 
  General Dynamics Corp.          
  3.25%, due 4/1/25   861,000    953,255 
  3.50%, due 4/1/27   456,000    524,262 
  4.25%, due 4/1/50   244,000    318,677 
  Northrop Grumman Corp.          
  4.40%, due 5/1/30   862,000    1,063,887 
  5.15%, due 5/1/40   374,000    502,733 
  5.25%, due 5/1/50   297,000    426,046 
           11,614,070 
  Auto Manufacturers 0.2%
  General Motors Co.          
  4.20%, due 10/1/27   396,000    424,400 
  5.00%, due 10/1/28   1,091,000    1,226,791 
  5.40%, due 4/1/48   378,000    418,318 
  General Motors Financial Co., Inc.          
  4.30%, due 7/13/25   223,000    242,599 
  4.35%, due 4/9/25   411,000    445,862 
  4.35%, due 1/17/27   405,000    439,634 
           3,197,604 
  Banks 3.9%
  Bank of America Corp.(d)          
  2.592%, due 4/29/31   3,117,000    3,316,242 
  3.705%, due 4/24/28   2,007,000    2,269,485 
  3.97%, due 3/5/29   670,000    768,736 
  6.10%, due 3/17/25 (e)   512,000    557,368 
  6.25%, due 9/5/24 (e)   1,172,000    1,252,282 
  Bank of New York Mellon Corp.
4.70% (5 Year Treasury Constant Maturity Rate + 4.358%), due 9/20/25 (e)(f)
   2,024,000    2,147,464 
  Barclays PLC
6.125% (5 Year Treasury Constant Maturity Rate + 5.867%), due 12/15/25 (e)(f)
   1,355,000    1,373,631 
  BNP Paribas S.A. (a)          
  2.588% (5 Year Treasury Constant Maturity Rate + 2.05%), due 8/12/35 (f)   2,055,000    1,995,293 
  2.819%, due 11/19/25 (d)   227,000    239,217 
  3.052%, due 1/13/31 (d)   1,400,000    1,501,449 
  4.705%, due 1/10/25 (d)   758,000    839,189 
  Citigroup, Inc.(d)          
  3.887%, due 1/10/28   2,060,000    2,331,699 
  4.412%, due 3/31/31   1,635,000    1,959,918 
  5.90%, due 2/15/23 (e)   113,000    115,707 
  5.95%, due 1/30/23 (e)   890,000    913,140 
  5.95%, due 5/15/25 (e)   584,000    611,740 
  Citizens Financial Group, Inc.          
  2.638%, due 9/30/32 (a)   467,000    465,677 
  4.30%, due 12/3/25   396,000    455,930 
  Credit Agricole S.A.
1.907%, due 6/16/26 (a)(d)
   426,000    435,176 
  First Republic Bank
4.625%, due 2/13/47
   391,000    488,143 
  Goldman Sachs Group, Inc.          
  3.50%, due 4/1/25   3,298,000    3,639,903 
  4.165% (3 Month LIBOR + 3.922%), due 11/2/20 (e)(f)   2,013,000    1,978,376 
  HSBC Holdings PLC (d)          
  1.645%, due 4/18/26   700,000    697,319 
  2.357%, due 8/18/31   661,000    650,784 
  JPMorgan Chase & Co.(d)          
  2.083%, due 4/22/26   3,760,000    3,932,132 
  2.956%, due 5/13/31   3,100,000    3,326,003 
  3.96%, due 1/29/27   1,809,000    2,060,249 
  4.452%, due 12/5/29   1,321,000    1,588,231 
  Morgan Stanley          
  2.188%, due 4/28/26 (d)   2,926,000    3,064,355 
  3.95%, due 4/23/27   1,401,000    1,588,135 
  4.35%, due 9/8/26   898,000    1,039,436 
  Natwest Group PLC
3.032% (5 Year Treasury Constant Maturity Rate + 2.35%), due 11/28/35 (f)
   1,260,000    1,210,331 
  UBS Group A.G. (a)(f)          
  1.008% (1 Year Treasury Constant Maturity Rate + 0.83%), due 7/30/24   437,000    437,988 
  1.364% (1 Year Treasury Constant Maturity Rate + 1.08%), due 1/30/27   1,643,000    1,642,135 
  Wells Fargo & Co.(d)          
  1.654%, due 6/2/24   1,306,000    1,330,355 
  2.188%, due 4/30/26   545,000    568,451 
           52,791,669 
  Beverages 0.5%
  Anheuser-Busch InBev Worldwide, Inc.          
  4.35%, due 6/1/40   809,000    945,571 
  4.90%, due 2/1/46   919,000    1,133,154 
  Coca-Cola Co.
3.375%, due 3/25/27
   845,000    969,275 
  Coca-Cola Femsa S.A.B. de C.V.
2.75%, due 1/22/30
   651,000    692,364 
  Diageo Capital PLC          
  1.375%, due 9/29/25   757,000    775,808 
  2.00%, due 4/29/30   713,000    735,355 
  2.125%, due 4/29/32   572,000    597,389 
  Fomento Economico Mexicano S.A.B. de C.V.
3.50%, due 1/16/50
   766,000    814,839 
  Keurig Dr. Pepper, Inc.
4.597%, due 5/25/28
   465,000    558,405 
           7,222,160 
  Biotechnology 0.2%
  Royalty Pharma PLC(a)          
  1.75%, due 9/2/27   465,000    466,213 
  2.20%, due 9/2/30   90,000    89,838 
  3.30%, due 9/2/40   901,000    893,541 
  3.55%, due 9/2/50   899,000    871,815 
           2,321,407 
  Building Materials 0.1%
  Vulcan Materials Co.
3.50%, due 6/1/30
   671,000    751,467 
             
  Chemicals 0.4%
  Ecolab, Inc.
4.80%, due 3/24/30
   568,000    724,508 
  Element Solutions, Inc.
3.875%, due 9/1/28 (a)
   1,338,000    1,312,913 
  Nutrition & Biosciences, Inc.(a)          
  1.832%, due 10/15/27   933,000    937,230 
  2.30%, due 11/1/30   562,000    566,730 
  3.268%, due 11/15/40   342,000    346,098 
  3.468%, due 12/1/50   1,015,000    1,024,822 
           4,912,301 
  Commercial Services 1.3%
  Booz Allen Hamilton, Inc.
3.875%, due 9/1/28 (a)
   1,244,000    1,277,028 
  CoStar Group, Inc.
2.80%, due 7/15/30 (a)
   1,339,000    1,387,447 
  Equifax, Inc.          
  2.60%, due 12/1/24   1,527,000    1,631,119 
  2.60%, due 12/15/25   1,126,000    1,202,149 
  3.10%, due 5/15/30   1,026,000    1,117,787 
  Experian Finance PLC
2.75%, due 3/8/30 (a)
   2,299,000    2,479,584 
  Gartner, Inc.
3.75%, due 10/1/30 (a)
   237,000    239,737 
  Global Payments, Inc.          
  2.90%, due 5/15/30   1,019,000    1,090,340 
  3.20%, due 8/15/29   309,000    337,040 
  4.80%, due 4/1/26   629,000    734,358 
  IHS Markit, Ltd.(a)          
  4.75%, due 2/15/25   687,000    778,344 
  5.00%, due 11/1/22   119,000    127,714 
  PayPal Holdings, Inc.          
  1.65%, due 6/1/25   530,000    548,931 
  2.30%, due 6/1/30   612,000    647,217 
  2.65%, due 10/1/26   1,436,000    1,566,938 
  Service Corp. International
3.375%, due 8/15/30
   489,000    489,611 
  United Rentals North America, Inc.
3.875%, due 2/15/31
   366,000    371,490 
  Verisk Analytics, Inc.          
  3.625%, due 5/15/50   704,000    798,523 
  5.50%, due 6/15/45   374,000    519,236 
           17,344,593 
  Computers 0.3%
  Dell International LLC / EMC Corp.
5.875%, due 6/15/21 (a)
   1,148,000    1,149,435 
  Leidos, Inc. (a)          
  2.95%, due 5/15/23   191,000    199,802 
  3.625%, due 5/15/25   741,000    821,880 
  4.375%, due 5/15/30   1,055,000    1,236,407 
           3,407,524 
  Diversified Financial Services 0.9%
  CBOE Global Markets, Inc.
3.65%, due 1/12/27
   745,000    847,495 
  Charles Schwab Corp.
5.375% (5 Year Treasury Constant Maturity Rate + 4.971%), due 6/1/25 (e)(f)
   3,408,000    3,692,738 
  Intercontinental Exchange, Inc.          
  1.85%, due 9/15/32   502,000    498,771 
  2.10%, due 6/15/30   955,000    980,785 
  2.65%, due 9/15/40   460,000    458,431 
  3.00%, due 9/15/60   659,000    666,381 
  3.75%, due 12/1/25   261,000    295,204 
  Mastercard, Inc.
3.30%, due 3/26/27
   1,072,000    1,221,968 
  Quicken Loans LLC / Quicken Loans Co-Issuer, Inc. (a)          
  3.625%, due 3/1/29   1,013,000    1,004,136 
  3.875%, due 3/1/31   1,481,000    1,462,487 
  Raymond James Financial, Inc.          
  4.65%, due 4/1/30   480,000    583,937 
  4.95%, due 7/15/46   477,000    616,899 
  5.625%, due 4/1/24   358,000    413,106 
  USAA Capital Corp
2.125%, due 5/1/30 (a)
   150,000    158,040 
           12,900,378 
  Electric 0.9%
  AEP Transmission Co. LLC
3.65%, due 4/1/50
   688,000    802,304 
  Ameren Corp.
3.50%, due 1/15/31
   2,590,000    2,960,444 
  Berkshire Hathaway Energy Co.
4.25%, due 10/15/50 (a)
   580,000    722,109 
  Black Hills Corp.
2.50%, due 6/15/30
   407,000    420,877 
  Dominion Energy, Inc.
3.375%, due 4/1/30
   1,199,000    1,351,908 
  NextEra Energy Capital Holdings, Inc.
2.75%, due 5/1/25
   629,000    679,852 
  NRG Energy, Inc.          
  6.625%, due 1/15/27   1,094,000    1,156,905 
  7.25%, due 5/15/26   1,111,000    1,182,404 
  Oncor Electric Delivery Co. LLC
3.80%, due 6/1/49
   631,000    767,837 
  PPL WEM, Ltd. / Western Power Distribution, Ltd.
5.375%, due 5/1/21 (a)
   492,000    499,106 
  Southern Co.
3.70%, due 4/30/30
   1,909,000    2,180,652 
           12,724,398 
  Electronics 0.5%
  FLIR Systems, Inc.
2.50%, due 8/1/30
   467,000    477,889 
  Keysight Technologies, Inc.
3.00%, due 10/30/29
   958,000    1,047,243 
  Sensata Technologies, Inc.
3.75%, due 2/15/31 (a)
   1,260,000    1,252,125 
  Trimble, Inc.          
  4.75%, due 12/1/24   1,238,000    1,371,386 
  4.90%, due 6/15/28   2,027,000    2,391,967 
           6,540,610 
  Food 0.8%
  Campbell Soup Co.
3.95%, due 3/15/25
   311,000    346,972 
  JBS USA LUX S.A. / JBS Food Co. / JBS USA Finance, Inc.(a)          
  5.50%, due 1/15/30   1,208,000    1,314,872 
  6.50%, due 4/15/29   944,000    1,047,812 
  JBS USA LUX S.A. / JBS USA Finance, Inc.
6.75%, due 2/15/28 (a)
   612,000    665,501 
  Mars, Inc.
4.20%, due 4/1/59 (a)
   233,000    297,475 
  Mondelez International, Inc.          
  2.25%, due 9/19/24 (a)   727,000    764,809 
  2.75%, due 4/13/30   173,000    188,125 
  Sysco Corp.          
  2.40%, due 2/15/30   299,000    300,027 
  5.65%, due 4/1/25   917,000    1,084,447 
  5.95%, due 4/1/30   1,883,000    2,386,568 
  6.60%, due 4/1/40   938,000    1,268,673 
  6.60%, due 4/1/50   850,000    1,193,179 
           10,858,460 
  Food Services 0.2%
  Aramark Services, Inc.
6.375%, due 5/1/25 (a)
   2,032,000    2,116,684 
             
  Forest Products & Paper 0.1%
  Georgia-Pacific LLC
3.163%, due 11/15/21 (a)
   855,000    877,489 
             
  Gas 0.0% ‡
  East Ohio Gas Co. (a)          
  1.30%, due 6/15/25   165,000    168,185 
  2.00%, due 6/15/30   152,000    157,433 
  3.00%, due 6/15/50   221,000    224,200 
           549,818 
  Health Care - Products 0.6%
  Avantor Funding, Inc.
4.625%, due 7/15/28 (a)
   923,000    957,612 
  Baxter International, Inc.(a)          
  3.75%, due 10/1/25   908,000    1,030,061 
  3.95%, due 4/1/30   1,002,000    1,200,408 
  Boston Scientific Corp.          
  3.75%, due 3/1/26   560,000    638,164 
  4.00%, due 3/1/29   291,000    338,532 
  4.70%, due 3/1/49   467,000    616,907 
  DH Europe Finance II S.A.R.L.          
  2.20%, due 11/15/24   543,000    573,754 
  2.60%, due 11/15/29   298,000    323,973 
  Thermo Fisher Scientific, Inc.          
  4.133%, due 3/25/25   429,000    488,686 
  4.497%, due 3/25/30   1,566,000    1,937,328 
           8,105,425 
  Health Care - Services 1.1%
  Centene Corp.          
  3.375%, due 2/15/30   876,000    908,850 
  4.25%, due 12/15/27   1,112,000    1,163,630 
  4.625%, due 12/15/29   1,770,000    1,909,228 
  4.75%, due 5/15/22   64,000    64,800 
  5.375%, due 6/1/26 (a)   1,510,000    1,591,163 
  Cigna Corp.          
  2.40%, due 3/15/30   218,000    226,093 
  3.20%, due 3/15/40   217,000    230,039 
  3.40%, due 9/17/21   186,000    191,418 
  3.40%, due 3/15/50   328,000    343,374 
  DaVita, Inc.(a)          
  3.75%, due 2/15/31   1,295,000    1,247,797 
  4.625%, due 6/1/30   1,054,000    1,079,612 
  HCA, Inc.          
  3.50%, due 9/1/30   1,621,000    1,651,604 
  5.375%, due 2/1/25   545,000    596,775 
  5.375%, due 9/1/26   220,000    243,100 
  5.625%, due 9/1/28   310,000    354,625 
  5.875%, due 2/15/26   286,000    320,320 
  5.875%, due 2/1/29   459,000    534,735 
  Molina Healthcare, Inc.
4.375%, due 6/15/28 (a)
   2,834,000    2,892,097 
           15,549,260 
  Home Builders 0.0% ‡
  MDC Holdings, Inc.
5.50%, due 1/15/24
   465,000    501,038 
             
  Household Products & Wares 0.1%
  Avery Dennison Corp.
2.65%, due 4/30/30
   1,251,000    1,327,840 
             
  Insurance 0.2%
  Brown & Brown, Inc.          
  2.375%, due 3/15/31   216,000    217,328 
  4.50%, due 3/15/29   451,000    514,749 
  Prudential Financial, Inc.
3.70% (5 Year Treasury Constant Maturity Rate + 3.035%), due 10/1/50 (f)
   1,777,000    1,813,073 
           2,545,150 
  Internet 0.4%
  Booking Holdings, Inc.          
  4.10%, due 4/13/25   2,655,000    2,987,462 
  4.50%, due 4/13/27   1,201,000    1,410,146 
  4.625%, due 4/13/30   999,000    1,200,192 
           5,597,800 
  Iron & Steel 0.1%
  Allegheny Technologies, Inc.
5.875%, due 12/1/27 (g)
   1,047,000    1,006,115 
  Reliance Steel & Aluminum Co.
4.50%, due 4/15/23
   469,000    508,560 
           1,514,675 
  Lodging 0.2%
  Choice Hotels International, Inc.          
  3.70%, due 12/1/29   817,000    865,113 
  3.70%, due 1/15/31   294,000    309,391 
  Marriott International, Inc.
5.75%, due 5/1/25
   1,540,000    1,718,671 
  MGM Resorts International
7.75%, due 3/15/22
   182,000    191,837 
           3,085,012 
  Machinery - Diversified 0.4%
  Otis Worldwide Corp.
2.056%, due 4/5/25
   711,000    748,142 
  Westinghouse Air Brake Technologies Corp.          
  3.20%, due 6/15/25   1,132,000    1,193,306 
  3.45%, due 11/15/26   273,000    289,859 
  4.40%, due 3/15/24   662,000    718,945 
  4.95%, due 9/15/28   2,293,000    2,672,061 
           5,622,313 
  Media 1.1%
  CCO Holdings LLC / CCO Holdings Capital Corp.
4.25%, due 2/1/31 (a)
   1,527,000    1,582,678 
  Charter Communications Operating LLC / Charter Communications Operating Capital          
  2.80%, due 4/1/31   811,000    843,452 
  3.70%, due 4/1/51   1,084,000    1,071,307 
  4.80%, due 3/1/50   1,115,000    1,267,904 
  5.375%, due 5/1/47   205,000    243,409 
  6.484%, due 10/23/45   256,000    343,361 
  Comcast Corp.          
  3.30%, due 4/1/27   914,000    1,033,505 
  3.75%, due 4/1/40   365,000    426,860 
  CSC Holdings LLC (a)          
  3.375%, due 2/15/31   926,000    896,599 
  4.125%, due 12/1/30   1,351,000    1,377,007 
  4.625%, due 12/1/30   1,204,000    1,213,030 
  Fox Corp.
4.03%, due 1/25/24
   429,000    472,299 
  GCI LLC
4.75%, due 10/15/28 (a)
   2,154,000    2,180,947 
  Sirius XM Radio, Inc.
4.125%, due 7/1/30 (a)
   1,625,000    1,655,469 
           14,607,827 
  Mining 0.1%
  Constellium S.E.
5.75%, due 5/15/24 (a)
   849,000    863,858 
             
  Miscellaneous - Manufacturing 0.1%
  General Electric Co.          
  3.45%, due 5/1/27   188,000    199,052 
  5.00%, due 1/21/21 (d)(e)   1,414,000    1,126,623 
  Series A
6.75%, due 3/15/32
   542,000    681,856 
           2,007,531 
  Pharmaceuticals 0.4%
  AbbVie, Inc.(a)          
  2.60%, due 11/21/24   695,000    736,355 
  2.80%, due 3/15/23   57,000    59,590 
  3.25%, due 10/1/22   721,000    754,087 
  3.45%, due 3/15/22   1,331,000    1,380,553 
  3.80%, due 3/15/25   288,000    319,347 
  Bristol-Myers Squibb Co.
3.40%, due 7/26/29
   513,000    597,496 
  Elanco Animal Health, Inc.
5.272%, due 8/28/23
   1,242,000    1,332,045 
  Upjohn, Inc.
1.65%, due 6/22/25 (a)
   206,000    210,870 
           5,390,343 
  Pipelines 0.7%
  Cheniere Corpus Christi Holdings LLC
3.70%, due 11/15/29 (a)
   1,121,000    1,165,149 
  Cheniere Energy, Inc.
4.625%, due 10/15/28 (a)
   2,401,000    2,464,026 
  Energy Transfer Operating, L.P.          
  4.95%, due 6/15/28   116,000    122,916 
  5.50%, due 6/1/27   159,000    175,073 
  5.875%, due 1/15/24   301,000    331,397 
  Hess Midstream Operations, L.P.
5.125%, due 6/15/28 (a)
   1,336,000    1,333,488 
  Kinder Morgan, Inc.
4.30%, due 3/1/28
   280,000    318,630 
  NGPL PipeCo LLC
4.375%, due 8/15/22 (a)
   747,000    775,416 
  ONEOK, Inc.          
  5.85%, due 1/15/26   378,000    434,738 
  6.35%, due 1/15/31   808,000    939,200 
  7.15%, due 1/15/51   211,000    250,724 
  TransCanada PipeLines, Ltd.
4.10%, due 4/15/30
   1,552,000    1,789,877 
           10,100,634 
  Real Estate 0.2%
  Camden Property Trust
2.80%, due 5/15/30
   1,469,000    1,600,595 
  Crown Castle International Corp.
3.10%, due 11/15/29
   912,000    988,267 
  Jones Lang LaSalle, Inc.
4.40%, due 11/15/22
   651,000    688,536 
           3,277,398 
  Real Estate Investment Trusts 0.7%
  Agree L.P.
2.90%, due 10/1/30
   473,000    490,603 
  Alexandria Real Estate Equities, Inc.
4.90%, due 12/15/30
   1,155,000    1,453,879 
  Crown Castle International Corp.          
  3.65%, due 9/1/27   548,000    613,198 
  4.30%, due 2/15/29   636,000    742,371 
  Equinix, Inc.          
  1.80%, due 7/15/27   1,374,000    1,386,835 
  2.15%, due 7/15/30   623,000    630,710 
  2.90%, due 11/18/26   437,000    471,318 
  3.20%, due 11/18/29   688,000    758,233 
  GLP Capital, L.P. / GLP Financing II, Inc.          
  3.35%, due 9/1/24   187,000    189,676 
  4.00%, due 1/15/30   1,005,000    1,040,175 
  4.00%, due 1/15/31   429,000    446,602 
  5.25%, due 6/1/25   361,000    391,981 
  5.30%, due 1/15/29   86,000    95,776 
  5.375%, due 4/15/26   381,000    422,262 
  Mid-America Apartments, L.P.
1.70%, due 2/15/31
   473,000    465,723 
           9,599,342 
  Retail 1.0%
  AutoZone, Inc.          
  1.65%, due 1/15/31   1,216,000    1,190,468 
  3.75%, due 4/18/29   984,000    1,138,016 
  CVS Health Corp.          
  2.70%, due 8/21/40   445,000    424,122 
  3.00%, due 8/15/26   135,000    147,804 
  4.10%, due 3/25/25   329,000    371,648 
  4.125%, due 4/1/40   593,000    675,415 
  4.25%, due 4/1/50   293,000    344,389 
  4.30%, due 3/25/28   491,000    574,702 
  5.05%, due 3/25/48   617,000    787,544 
  Dollar General Corp.          
  3.50%, due 4/3/30   790,000    899,146 
  4.125%, due 4/3/50   762,000    903,699 
  Lowe's Cos., Inc.          
  4.50%, due 4/15/30   1,070,000    1,327,397 
  5.00%, due 4/15/40   682,000    893,982 
  McDonald's Corp.          
  3.30%, due 7/1/25   363,000    403,634 
  3.50%, due 7/1/27   559,000    636,548 
  3.625%, due 9/1/49   349,000    391,876 
  Nordstrom, Inc.
4.375%, due 4/1/30
   1,153,000    931,047 
  O'Reilly Automotive, Inc.          
  3.60%, due 9/1/27   25,000    28,438 
  3.90%, due 6/1/29   1,129,000    1,320,034 
  4.35%, due 6/1/28   192,000    228,494 
           13,618,403 
  Semiconductors 1.1%
  Analog Devices, Inc.
2.95%, due 4/1/25
   676,000    735,229 
  Broadcom, Inc.          
  3.15%, due 11/15/25   1,496,000    1,620,361 
  4.15%, due 11/15/30   1,233,000    1,385,083 
  4.30%, due 11/15/32   986,000    1,126,398 
  4.70%, due 4/15/25   1,495,000    1,698,787 
  Marvell Technology Group, Ltd.          
  4.20%, due 6/22/23   142,000    153,310 
  4.875%, due 6/22/28   1,601,000    1,932,103 
  Microchip Technology, Inc.(a)          
  2.67%, due 9/1/23   1,514,000    1,567,040 
  4.25%, due 9/1/25   1,186,000    1,230,545 
  Micron Technology, Inc.
2.497%, due 4/24/23
   1,576,000    1,636,604 
  Qorvo, Inc.
3.375%, due 4/1/31 (a)
   1,333,000    1,354,661 
           14,440,121 
  Shipbuilding 0.3%
  Huntington Ingalls Industries, Inc.(a)          
  3.844%, due 5/1/25   864,000    949,359 
  4.20%, due 5/1/30   1,554,000    1,783,672 
  5.00%, due 11/15/25   1,190,000    1,223,137 
           3,956,168 
  Software 0.5%
  Broadridge Financial Solutions, Inc.
2.90%, due 12/1/29
   1,789,000    1,938,074 
  MSCI, Inc.(a)          
  3.625%, due 9/1/30   821,000    842,165 
  3.875%, due 2/15/31   1,122,000    1,169,349 
  4.00%, due 11/15/29   104,000    109,200 
  ServiceNow, Inc.
1.40%, due 9/1/30
   704,000    687,719 
  VMware, Inc.          
  4.50%, due 5/15/25   1,128,000    1,276,925 
  4.65%, due 5/15/27   1,266,000    1,477,626 
           7,501,058 
  Telecommunications 1.1%
  AT&T, Inc.          
  1.65%, due 2/1/28   711,000    712,344 
  3.50%, due 9/15/53 (a)   1,050,000    1,015,165 
  3.50%, due 2/1/61   1,089,000    1,036,926 
  3.55%, due 9/15/55 (a)   518,000    502,031 
  3.65%, due 9/15/59 (a)   105,000    103,147 
  4.50%, due 3/9/48   548,000    628,893 
  CenturyLink, Inc.          
  5.80%, due 3/15/22   419,000    432,115 
  6.45%, due 6/15/21   447,000    458,734 
  Level 3 Financing, Inc.
3.875%, due 11/15/29 (a)
   1,755,000    1,899,596 
  T-Mobile USA, Inc. (a)          
  2.05%, due 2/15/28   270,000    276,431 
  2.55%, due 2/15/31   367,000    379,702 
  3.00%, due 2/15/41   686,000    678,783 
  3.30%, due 2/15/51   595,000    589,472 
  3.50%, due 4/15/25   718,000    787,861 
  3.75%, due 4/15/27   2,663,000    2,988,259 
  3.875%, due 4/15/30   976,000    1,107,389 
  Verizon Communications, Inc.          
  3.00%, due 3/22/27   535,000    595,645 
  4.522%, due 9/15/48   82,000    107,430 
  4.862%, due 8/21/46   381,000    520,255 
           14,820,178 
  Toys, Games & Hobbies 0.3%
  Hasbro, Inc.          
  3.00%, due 11/19/24   479,000    508,400 
  3.55%, due 11/19/26   1,834,000    1,943,231 
  3.90%, due 11/19/29   1,867,000    1,964,941 
  5.10%, due 5/15/44   303,000    315,640 
           4,732,212 
  Transportation 0.2%
  United Parcel Service, Inc.          
  3.90%, due 4/1/25   487,000    554,852 
  5.20%, due 4/1/40   415,000    574,854 
  5.30%, due 4/1/50   897,000    1,331,195 
           2,460,901 
  Water 0.1%
  American Water Capital Corp.          
  2.80%, due 5/1/30   654,000    716,354 
  3.45%, due 5/1/50   1,072,000    1,201,962 
           1,918,316 
  Total Corporate Bonds
(Cost $281,814,799)
        303,273,435 
             
  Loan Assignments 0.2%
  Healthcare, Education & Childcare 0.2%
  Elanco Animal Health, Inc.
Term Loan B
1.905%(1 Month LIBOR + 1.75%), due 8/1/27 (f)
   2,252,886    2,187,712 
  Total Loan Assignments
(Cost $2,252,886)
        2,187,712 
             
  Mortgage-Backed Securities 3.9%
  Agency (Collateralized Mortgage Obligations) 0.2%
  Federal National Mortgage Association          
  Series 2018-27, Class EA
3.00%, due 5/25/48
   1,022,316    1,091,795 
  REMIC, Series 2019-71, Class P
3.00%, due 11/25/49
   1,710,706    1,834,256 
           2,926,051 
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 1.6%
  280 Park Avenue Mortgage Trust
Series 2017-280P, Class A
1.032% (1 Month LIBOR + 0.88%), due 9/15/34 (a)(f)
   699,152    697,838 
  BANK          
  Series 2019-BN23, Class A3
2.92%, due 12/15/52
   888,598    994,433 
  Series 2019-BN24, Class A3
2.96%, due 11/15/62
   218,800    244,767 
  Series 2019-BN20, Class A3
3.011%, due 9/15/62
   493,957    552,860 
  Series 2019-BN18, Class A4
3.584%, due 5/15/62
   1,026,801    1,186,498 
  Series 2019-BN17, Class A4
3.714%, due 4/15/52
   603,641    701,209 
  Series 2018-BN12, Class A4
4.255%, due 5/15/61 (h)
   271,673    321,878 
  BBCMS Mortgage Trust (a)          
  Series 2017-DELC, Class A
1.002% (1 Month LIBOR + 0.85%), due 8/15/36 (f)
   495,000    480,558 
  Series 2015-SRCH, Class A2
4.197%, due 8/10/35
   875,000    987,278 
  Benchmark Mortgage Trust
Series 2020-B16, Class A5
2.732%, due 2/15/53
   550,000    604,271 
  BX Commercial Mortgage Trust (a)          
  Series 2018-IND, Class A
0.902% (1 Month LIBOR + 0.75%), due 11/15/35 (f)
   674,503    674,503 
  Series 2019-XL, Class A
1.072% (1 Month LIBOR + 0.92%), due 10/15/36 (f)
   1,121,121    1,120,784 
  Series 2019-XL, Class B
1.232% (1 Month LIBOR + 1.08%), due 10/15/36 (f)
   181,316    180,975 
  Series 2019-OC11, Class A
3.202%, due 12/9/41
   1,129,000    1,195,080 
  Series 2017-GM, Class A
3.379%, due 6/13/39
   396,000    440,642 
  Series 2019-OC11, Class B
3.605%, due 12/9/41
   564,000    584,790 
  Series 2019-OC11, Class C
3.856%, due 12/9/41
   564,000    554,327 
  Series 2019-OC11, Class D
4.076%, due 12/9/41 (h)
   847,000    821,797 
  Series 2019-OC11, Class E
4.076%, due 12/9/41 (h)
   215,000    197,516 
  CHT Mortgage Trust
Series 2017-CSMO, Class A
1.082% (1 Month LIBOR + 0.93%), due 11/15/36 (a)(f)
   617,327    596,419 
  Credit Suisse Mortgage Capital Certificates
Series 2019-ICE4, Class A
1.132% (1 Month LIBOR + 0.98%), due 5/15/36 (a)(f)
   1,783,000    1,780,855 
  Great Wolf Trust (a)(f)          
  Series 2019-WOLF, Class A
1.186% (1 Month LIBOR + 1.034%), due 12/15/36
   270,000    260,357 
  Series 2019-WOLF, Class B
1.486% (1 Month LIBOR + 1.334%), due 12/15/36
   303,000    284,921 
  Series 2019-WOLF, Class C
1.785% (1 Month LIBOR + 1.633%), due 12/15/36
   337,000    310,046 
  GS Mortgage Securities Trust          
  Series 2020-GC47, Class A5
2.377%, due 5/12/53
   736,000    787,277 
  Series 2020-GC45, Class A5
2.911%, due 2/13/53
   547,000    611,752 
  Series 2018-GS9, Class A4
3.992%, due 3/10/51 (h)
   645,957    753,492 
  Series 2018-GS10, Class A5
4.155%, due 7/10/51 (h)
   388,105    456,358 
  Morgan Stanley Capital I Trust          
  Series 2016-UB11, Class A4
2.782%, due 8/15/49
   656,000    705,045 
  Series 2019-H6, Class A4
3.417%, due 6/15/52
   343,549    390,881 
  Series 2015-UBS8, Class A4
3.809%, due 12/15/48
   517,000    578,285 
  Series 2018-H3, Class A5
4.177%, due 7/15/51
   561,262    666,246 
  Series 2018-H4, Class A4
4.31%, due 12/15/51
   840,223    1,002,906 
  WFRBS Commercial Mortgage Trust
Series 2014-C25, Class A5
3.631%, due 11/15/47
   556,000    604,486 
           22,331,330 
  Whole Loan (Collateralized Mortgage Obligations) 2.1%
  Angel Oak Mortgage Trust (a)(h)          
  Series 2020-3, Class A2
2.41%, due 4/25/65
   811,302    817,716 
  Series 2019-5, Class A1
2.593%, due 10/25/49
   561,974    569,049 
  Series 2019-6, Class A1
2.62%, due 11/25/59
   532,861    538,179 
  Series 2018-2, Class A1
3.674%, due 7/27/48
   110,182    111,931 
  Arroyo Mortgage Trust
Series 2018-1, Class A1
3.763%, due 4/25/48 (a)(h)
   235,484    240,165 
  Chase Home Lending Mortgage Trust
Series 2019-ATR2, Class A11
1.048% (1 Month LIBOR + 0.90%), due 7/25/49 (a)(f)
   123,341    123,093 
  COLT Mortgage Loan Trust (a)(h)          
  Series 2020-3, Class A1
1.506%, due 4/27/65
   477,152    479,596 
  Series 2020-2, Class A1
1.853%, due 3/25/65
   468,249    471,696 
  Connecticut Avenue Securities Trust (Mortgage Pass-Through Securities) (f)          
  Series 2020-R01, Class 1M1
0.948% (1 Month LIBOR + 0.80%), due 1/25/40 (a)
   252,842    251,792 
  Series 2018-C06, Class 1M2
2.148% (1 Month LIBOR + 2.00%), due 3/25/31
   899,581    883,639 
  Series 2019-R05, Class 1M2
2.148% (1 Month LIBOR + 2.00%), due 7/25/39 (a)
   1,042,812    1,033,646 
  Series 2020-R02, Class 2M2
2.148% (1 Month LIBOR + 2.00%), due 1/25/40 (a)
   1,290,627    1,257,245 
  Series 2019-R04, Class 2M2
2.248% (1 Month LIBOR + 2.10%), due 6/25/39 (a)
   524,787    521,382 
  Series 2019-R07, Class 1M2
2.248% (1 Month LIBOR + 2.10%), due 10/25/39 (a)
   1,170,014    1,163,591 
  Series 2019-R03, Class 1M2
2.298% (1 Month LIBOR + 2.15%), due 9/25/31 (a)
   788,187    785,061 
  Series 2019-R02, Class 1M2
2.448% (1 Month LIBOR + 2.30%), due 8/25/31 (a)
   432,753    430,314 
  Series 2018-C05, Class 1M2
2.498% (1 Month LIBOR + 2.35%), due 1/25/31
   350,018    343,317 
  Series 2018-R07, Class 1M2
2.548% (1 Month LIBOR + 2.40%), due 4/25/31 (a)
   766,947    762,784 
  Series 2017-C01, Class 1M2
3.698% (1 Month LIBOR + 3.55%), due 7/25/29
   536,937    552,351 
  Series 2016-C04, Class 1M2
4.398% (1 Month LIBOR + 4.25%), due 1/25/29
   389,657    403,690 
  Series 2014-C04, Class 1M2
5.048% (1 Month LIBOR + 4.90%), due 11/25/24
   107,545    111,512 
  Series 2015-C03, Class 1M2
5.148% (1 Month LIBOR + 5.00%), due 7/25/25
   649,685    664,296 
  Series 2015-C04, Class 1M2
5.848% (1 Month LIBOR + 5.70%), due 4/25/28
   329,943    341,539 
  Series 2016-C03, Class 2M2
6.048% (1 Month LIBOR + 5.90%), due 10/25/28
   157,894    166,802 
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) (f)          
  Series 2020-HQA4, Class M2
3.302% (1 Month LIBOR + 3.15%), due 9/25/50 (a)
   556,000    557,488 
  Series 2016-DNA1, Class M3
5.725% (1 Month LIBOR + 5.55%), due 7/25/28
   424,414    449,826 
  Federal Home Loan Mortgage Corporation Structured Agency Credit Risk Debt Notes (a)(f)          
  REMIC, Series 2020-DNA1, Class M2
1.848% (1 Month LIBOR + 1.70%), due 1/25/50
   977,000    955,738 
  Series 2020-DNA3, Class M2
3.148% (1 Month LIBOR + 3.00%), due 6/25/50
   895,247    897,489 
  JP Morgan Mortgage Trust
Series 2019-LTV2, Class A11
1.048% (1 Month LIBOR + 0.90%), due 12/25/49 (a)(f)
   318,241    317,068 
  Mello Warehouse Securitization Trust (a)(f)          
  Series 2018-W1, Class A
0.998% (1 Month LIBOR + 0.85%), due 11/25/51
   1,312,000    1,311,501 
  Series 2018-W1, Class B
1.198% (1 Month LIBOR + 1.05%), due 11/25/51
   95,333    95,310 
  New Residential Mortgage Loan Trust
Series 2018-2A, Class A1
4.50%, due 2/25/58 (a)(h)
   308,799    336,776 
  Preston Ridge Partners Mortgage LLC          
  Series 2020-3, Class A1
1.00%, due 9/25/25
   1,398,000    1,397,977 
  Series 2020-1A, Class A1
2.981%, due 2/25/25 (a)(c)
   256,024    255,099 
  Series 2019-3A, Class A1
3.351%, due 7/25/24 (a)(c)
   451,059    449,729 
  Series 2019-4A, Class A1
3.351%, due 11/25/24 (a)(c)
   635,122    636,708 
  Series 2020-2, Class A1
3.671%, due 8/25/25 (a)(c)
   476,177    476,260 
  Series 2019-2A, Class A1
3.967%, due 4/25/24 (a)(c)
   609,800    614,895 
  Series 2019-1A, Class A1
4.50%, due 1/25/24 (a)(c)
   310,013    312,390 
  Provident Funding Mortgage Trust
Series 2020-1, Class A5
3.00%, due 2/25/50 (a)(h)
   256,728    261,836 
  Sequoia Mortgage Trust          
  Series 2013-5, Class A1
2.50%, due 5/25/43 (a)(i)
   523,765    528,889 
  Series 2013-7, Class A2
3.00%, due 6/25/43 (i)
   139,909    141,978 
  Series 2013-9, Class A1
3.50%, due 7/25/43 (a)
   66,286    68,271 
  Series 2019-3, Class A2
3.50%, due 9/25/49 (a)(h)
   147,179    150,819 
  Series 2020-2, Class A19
3.50%, due 3/25/50 (a)(h)
   228,287    233,673 
  Spruce Hill Mortgage Loan Trust (a)(h)          
  Series 2020-SH1, Class A1
2.521%, due 1/28/50
   182,002    183,925 
  Series 2020-SH1, Class A2
2.624%, due 1/28/50
   453,533    457,914 
  Series 2020-SH2, Class A1
3.407%, due 6/25/55
   1,545,919    1,544,110 
  Starwood Mortgage Residential Trust
Series 2020-2, Class A1
2.718%, due 4/25/60 (a)(h)
   430,586    432,333 
  Station Place Securitization Trust
Series 2020-1
1.051% (1 Month LIBOR + 0.90%), due 10/24/20 (a)(f)
   2,000,000    1,999,943 
  Towd Point HE Trust
Series 2019-HE1, Class A1
1.048% (1 Month LIBOR + 0.90%), due 4/25/48 (a)(f)
   313,127    311,928 
  Wells Fargo Mortgage Backed Securities Trust
Series 2019-4, Class A3
3.50%, due 9/25/49 (a)(h)
   322,799    328,228 
           28,732,487 
  Total Mortgage-Backed Securities
(Cost $52,800,553)
        53,989,868 
             
  U.S. Government & Federal Agencies 9.7%
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 2.2%
  1.50%, due 10/1/35 TBA (j)   404,515    413,901 
  2.00%, due 10/1/35 TBA (j)   2,603,869    2,707,210 
  2.00%, due 10/1/50 TBA (j)   85,600    88,502 
  2.50%, due 12/1/33   1,761,848    1,844,114 
  2.50%, due 11/1/34   333,782    356,502 
  2.50%, due 11/1/34   299,513    319,884 
  2.50%, due 1/1/50   58,986    62,734 
  2.50%, due 10/1/50 TBA (j)   2,940,762    3,084,699 
  3.00%, due 5/1/31   1,355,730    1,452,306 
  3.00%, due 9/1/32   324,569    347,904 
  3.00%, due 10/1/32   120,805    126,807 
  3.00%, due 1/1/33   173,470    185,926 
  3.00%, due 10/1/34   150,985    160,371 
  3.00%, due 10/1/34   357,540    383,623 
  3.00%, due 6/1/43   57,763    59,739 
  3.00%, due 1/1/45   253,007    266,768 
  3.00%, due 8/1/46   19,041    20,024 
  3.00%, due 10/1/46   1,065,827    1,136,671 
  3.00%, due 4/1/47   27,363    28,655 
  3.00%, due 8/1/49   266,873    284,586 
  3.00%, due 8/1/49   92,484    99,544 
  3.00%, due 10/1/49   182,458    191,242 
  3.00%, due 11/1/49   210,979    221,268 
  3.00%, due 11/1/49   584,589    612,730 
  3.00%, due 12/1/49   293,570    307,702 
  3.00%, due 12/1/49   187,225    196,238 
  3.00%, due 12/1/49   317,157    332,424 
  3.00%, due 3/1/50   110,460    115,829 
  3.50%, due 7/1/42   43,399    47,109 
  3.50%, due 8/1/42   47,550    51,251 
  3.50%, due 8/1/42   56,547    61,329 
  3.50%, due 2/1/43   297,382    323,142 
  3.50%, due 2/1/44   352,302    382,646 
  3.50%, due 12/1/44   732,915    794,471 
  3.50%, due 7/1/46   220,458    238,950 
  3.50%, due 7/1/46   915,271    1,018,353 
  3.50%, due 1/1/47   115,097    123,912 
  3.50%, due 9/1/47   965,392    1,024,631 
  3.50%, due 9/1/47   485,702    514,041 
  3.50%, due 11/1/47   309,952    335,663 
  3.50%, due 12/1/47   1,399,467    1,533,040 
  3.50%, due 12/1/47   243,739    264,422 
  3.50%, due 2/1/48   418,550    453,981 
  3.50%, due 2/1/48   336,801    360,222 
  3.50%, due 7/1/49   1,349,437    1,426,032 
  3.50%, due 8/1/49   54,281    57,369 
  3.50%, due 8/1/49   256,876    271,103 
  3.50%, due 9/1/49   443,515    467,384 
  3.50%, due 3/1/50   12,892    13,794 
  4.00%, due 3/1/47   56,891    62,165 
  4.00%, due 3/1/48   254,968    280,362 
  4.00%, due 4/1/48   8,856    9,448 
  4.00%, due 4/1/48   428,813    466,702 
  4.00%, due 5/1/48   960,201    1,025,391 
  4.50%, due 5/1/44   692,951    773,146 
  4.50%, due 3/1/48   343,290    371,625 
  4.50%, due 12/1/48   363,041    409,411 
  5.00%, due 9/1/48   65,303    71,561 
  6.00%, due 4/1/40   630,454    751,287 
           29,391,846 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 3.7%
  2.50%, due 11/1/34   410,180    437,970 
  2.50%, due 10/1/35 TBA (j)   1,253,900    1,309,346 
  2.50%, due 1/1/50   133,752    142,253 
  3.00%, due 10/1/34   196,539    208,707 
  3.00%, due 11/1/34   38,478    41,518 
  3.00%, due 12/1/34   39,086    42,092 
  3.00%, due 1/1/43   75,522    80,507 
  3.00%, due 2/1/43   27,363    29,076 
  3.00%, due 5/1/43   107,547    114,307 
  3.00%, due 5/1/43   922,168    978,967 
  3.00%, due 1/1/46   3,972    4,160 
  3.00%, due 9/1/46   1,378,022    1,467,680 
  3.00%, due 2/1/47   11,717,976    12,478,664 
  3.00%, due 3/1/47   802,519    860,258 
  3.00%, due 11/1/48   136,893    143,494 
  3.00%, due 8/1/49   276,751    297,798 
  3.00%, due 9/1/49   61,012    65,475 
  3.00%, due 2/1/57   1,203,072    1,282,261 
  3.00%, due 6/1/57   19,461    20,735 
  3.50%, due 4/1/44   473,862    527,189 
  3.50%, due 12/1/45   219,812    234,762 
  3.50%, due 12/1/45   244,236    271,724 
  3.50%, due 7/1/46   472,192    520,777 
  3.50%, due 3/1/47   186,552    199,738 
  3.50%, due 7/1/47   150,565    161,246 
  3.50%, due 8/1/47   121,777    136,907 
  3.50%, due 8/1/47   212,495    225,009 
  3.50%, due 8/1/47   151,743    163,371 
  3.50%, due 12/1/47   65,945    74,139 
  3.50%, due 12/1/47   34,457    38,738 
  3.50%, due 12/1/47   371,467    402,990 
  3.50%, due 12/1/47   253,115    271,679 
  3.50%, due 1/1/48   259,043    280,970 
  3.50%, due 1/1/48   415,145    448,404 
  3.50%, due 3/1/48   52,900    58,843 
  3.50%, due 3/1/48   163,452    177,289 
  3.50%, due 4/1/48   571,320    635,223 
  3.50%, due 7/1/48   4,511,858    4,808,479 
  3.50%, due 11/1/48   963,270    1,071,016 
  3.50%, due 7/1/49   381,709    402,832 
  3.50%, due 8/1/56   1,538,848    1,690,560 
  3.50%, due 2/1/57   1,693,947    1,879,887 
  4.00%, due 6/1/47   22,021    23,888 
  4.00%, due 6/1/47   44,309    47,478 
  4.00%, due 6/1/47   75,308    80,614 
  4.00%, due 6/1/47   52,580    57,038 
  4.00%, due 7/1/47   8,527    9,100 
  4.00%, due 7/1/47   27,038    28,948 
  4.00%, due 7/1/47   76,075    81,753 
  4.00%, due 7/1/47   49,238    52,667 
  4.00%, due 8/1/47   90,993    97,757 
  4.00%, due 8/1/47   147,848    158,731 
  4.00%, due 9/1/47   43,712    48,031 
  4.00%, due 10/1/47   183,837    202,101 
  4.00%, due 10/1/47   116,361    127,961 
  4.00%, due 10/1/47   180,939    198,802 
  4.00%, due 10/1/47   183,724    196,560 
  4.00%, due 10/1/47   101,227    108,476 
  4.00%, due 11/1/47   83,775    89,800 
  4.00%, due 11/1/47   243,486    260,367 
  4.00%, due 12/1/47   458,851    491,689 
  4.00%, due 1/1/48   854,229    934,867 
  4.00%, due 1/1/48   1,752,907    1,910,384 
  4.00%, due 1/1/48   96,250    103,188 
  4.00%, due 3/1/48   349,923    384,773 
  4.00%, due 5/1/48   613,655    653,955 
  4.00%, due 2/1/49   301,483    321,320 
  4.00%, due 9/1/49   1,645,751    1,804,087 
  4.50%, due 11/1/42   103,373    116,393 
  4.50%, due 10/1/44   302,104    345,990 
  4.50%, due 3/1/45   460,507    527,428 
  4.50%, due 6/1/45   240,479    268,418 
  4.50%, due 2/1/46   578,282    649,886 
  4.50%, due 5/1/47   27,735    30,758 
  4.50%, due 5/1/47   17,753    19,721 
  4.50%, due 5/1/47   83,599    93,346 
  4.50%, due 5/1/47   74,399    82,875 
  4.50%, due 5/1/47   74,590    82,633 
  4.50%, due 5/1/47   56,200    63,250 
  4.50%, due 5/1/47   41,018    45,287 
  4.50%, due 5/1/47   55,563    61,555 
  4.50%, due 5/1/47   17,199    19,357 
  4.50%, due 6/1/47   23,105    25,389 
  4.50%, due 6/1/47   337,208    369,133 
  4.50%, due 7/1/47   155,634    169,521 
  4.50%, due 7/1/47   139,191    152,459 
  4.50%, due 7/1/47   246,701    270,058 
  4.50%, due 8/1/47   24,408    26,596 
  4.50%, due 8/1/47   235,058    256,066 
  4.50%, due 9/1/47   200,883    218,887 
  4.50%, due 9/1/47   357,377    390,650 
  4.50%, due 9/1/47   143,923    156,809 
  4.50%, due 10/1/47   18,447    20,166 
  4.50%, due 10/1/47   30,729    33,485 
  4.50%, due 11/1/47   143,248    156,077 
  4.50%, due 3/1/48   228,227    249,288 
  4.50%, due 3/1/48   366,983    397,772 
  4.50%, due 4/1/48   256,277    281,472 
  4.50%, due 5/1/48   143,088    156,077 
  4.50%, due 5/1/48   161,004    174,723 
  4.50%, due 6/1/48   190,219    207,998 
  4.50%, due 6/1/48   145,101    157,141 
  4.50%, due 8/1/48   279,150    301,909 
  5.00%, due 7/1/44   429,213    480,715 
  5.00%, due 5/1/48   280,725    308,520 
  6.00%, due 2/1/37   35,836    42,469 
           50,571,652 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 0.9%
  2.00%, due 10/1/50 TBA (j)   798,569    829,638 
  2.50%, due 10/1/50 TBA (j)   4,969,800    5,219,261 
  4.00%, due 1/15/45   811,897    875,538 
  4.00%, due 7/15/47   904,571    961,108 
  4.00%, due 8/15/47   200,888    217,267 
  4.00%, due 8/20/47   52,589    58,094 
  4.00%, due 8/20/47   96,846    104,606 
  4.00%, due 8/20/47   29,113    31,601 
  4.00%, due 11/15/47   185,846    201,155 
  4.00%, due 12/15/47   232,615    251,222 
  4.00%, due 6/20/48   697,242    744,875 
  4.50%, due 8/15/46   853,178    944,451 
  4.50%, due 2/20/48   139,276    150,822 
  4.50%, due 5/20/48   141,796    153,830 
  4.50%, due 5/20/48   566,998    615,076 
  5.00%, due 8/20/48   913,042    994,644 
           12,353,188 
  United States Treasury Bonds 2.1%
  1.125%, due 5/15/40   673,000    663,641 
  1.25%, due 5/15/50   19,135,000    18,190,210 
  2.75%, due 8/15/42   8,109,900    10,410,767 
           29,264,618 
  United States Treasury Notes 0.8%
  0.375%, due 9/30/27   816,000    810,679 
  0.625%, due 8/15/30   5,127,200    5,101,564 
  1.125%, due 2/28/22   5,369,700    5,445,631 
           11,357,874 
  Total U.S. Government & Federal Agencies
(Cost $128,435,500)
        132,939,178 
  Total Long-Term Bonds
(Cost $489,599,949)
        517,091,629 

 

     Shares     
  Common Stocks 61.1%          
  Aerospace & Defense 0.9%          
  General Dynamics Corp.   92,976    12,870,668 
             
  Air Freight & Logistics 0.6%          
  United Parcel Service, Inc., Class B   46,667    7,776,122 
             
  Banks 0.7%          
  Bank of America Corp.   420,856    10,138,421 
             
  Beverages 0.7%          
  Monster Beverage Corp. (k)   122,636    9,835,407 
             
  Biotechnology 0.6%          
  AbbVie, Inc.   88,932    7,789,554 
             
  Capital Markets 2.5%          
  Apollo Global Management, Inc.   31,174    1,395,037 
  Blackstone Group, Inc., Class A   197,949    10,332,938 
  CME Group, Inc.   58,204    9,738,111 
  Morgan Stanley   190,641    9,217,492 
  S&P Global, Inc.   11,399    4,110,479 
           34,794,057 
  Chemicals 0.5%          
  Sherwin-Williams Co.   9,146    6,372,384 
             
  Communications Equipment 0.3%          
  Motorola Solutions, Inc.   27,322    4,284,363 
             
  Consumer Finance 0.6%          
  American Express Co.   78,097    7,829,224 
             
  Electronic Equipment, Instruments & Components 0.4%          
  Corning, Inc.   167,981    5,444,264 
             
  Entertainment 0.9%          
  Activision Blizzard, Inc.   31,446    2,545,554 
  Walt Disney Co.   74,515    9,245,821 
           11,791,375 
  Equity Real Estate Investment Trusts 0.9%          
  Crown Castle International Corp.   51,991    8,656,502 
  MGM Growth Properties LLC, Class A   149,190    4,174,336 
           12,830,838 
  Food & Staples Retailing 1.6%          
  Costco Wholesale Corp.   50,401    17,892,355 
  Sysco Corp.   62,529    3,890,554 
           21,782,909 
  Food Products 0.5%          
  Hershey Co.   46,515    6,667,460 
             
  Health Care Equipment & Supplies 2.5%          
  Abbott Laboratories   146,555    15,949,581 
  Intuitive Surgical, Inc. (k)   5,544    3,933,690 
  Medtronic PLC   90,905    9,446,848 
  Stryker Corp.   20,650    4,302,840 
           33,632,959 
  Health Care Providers & Services 2.0%          
  UnitedHealth Group, Inc.   86,627    27,007,700 
             
  Hotels, Restaurants & Leisure 2.6%          
  Hilton Worldwide Holdings, Inc.   74,880    6,388,761 
  McDonald's Corp.   95,824    21,032,410 
  Starbucks Corp.   86,266    7,411,975 
           34,833,146 
  Household Products 1.1%          
  Clorox Co.   15,240    3,202,991 
  Procter & Gamble Co.   87,570    12,171,354 
           15,374,345 
  Industrial Conglomerates 0.9%          
  Honeywell International, Inc.   78,401    12,905,589 
             
  Insurance 1.6%          
  Marsh & McLennan Cos., Inc.   34,994    4,013,812 
  Progressive Corp.   192,052    18,181,563 
           22,195,375 
  Interactive Media & Services 2.4%          
  Alphabet, Inc., Class C (k)   21,848    32,107,821 
             
  Internet & Direct Marketing Retail 3.4%          
  Amazon.com, Inc. (k)   13,537    42,624,358 
  Booking Holdings, Inc. (k)   2,444    4,180,902 
           46,805,260 
  IT Services 4.0%          
  Accenture PLC, Class A   86,201    19,480,564 
  Mastercard, Inc.   102,769    34,753,393 
           54,233,957 
  Leisure Products 0.5%          
  Hasbro, Inc.   81,927    6,777,001 
             
  Life Sciences Tools & Services 1.0%          
  Thermo Fisher Scientific, Inc.   32,137    14,189,128 
             
  Machinery 0.8%          
  Deere & Co.   48,775    10,810,003 
             
  Media 1.4%          
  Comcast Corp., Class A   413,037    19,107,092 
             
  Multi-Utilities 0.4%          
  Sempra Energy   40,644    4,810,624 
             
  Multiline Retail 1.0%          
  Dollar General Corp.   63,350    13,279,427 
             
  Personal Products 0.2%          
  Estee Lauder Cos., Inc., Class A   13,965    3,047,861 
             
  Pharmaceuticals 3.6%          
  Bristol-Myers Squibb Co.   216,241    13,037,170 
  Eli Lilly & Co.   103,679    15,346,566 
  Merck & Co., Inc.   245,939    20,400,640 
           48,784,376 
  Real Estate Management & Development 0.4%          
  CBRE Group, Inc., Class A (k)   125,794    5,908,544 
             
  Road & Rail 0.7%          
  CSX Corp.   129,133    10,029,760 
             
  Semiconductors & Semiconductor Equipment 4.2%          
  Intel Corp.   236,702    12,256,430 
  Lam Research Corp.   48,907    16,224,897 
  NVIDIA Corp.   29,368    15,894,549 
  QUALCOMM, Inc.   16,374    1,926,892 
  Texas Instruments, Inc.   74,398    10,623,290 
           56,926,058 
  Software 7.8%          
  Adobe, Inc. (k)   58,882    28,877,499 
  Microsoft Corp.   312,961    65,825,087 
  salesforce.com, Inc. (k)   49,518    12,444,864 
           107,147,450 
  Specialty Retail 1.9%          
  Home Depot, Inc.   95,487    26,517,695 
             
  Technology Hardware, Storage & Peripherals 3.4%          
  Apple, Inc.   402,447    46,607,387 
             
  Textiles, Apparel & Luxury Goods 1.0%          
  NIKE, Inc., Class B   106,389    13,356,075 
             
  Tobacco 0.3%          
  Altria Group, Inc.   98,511    3,806,465 
             
  Wireless Telecommunication Services 0.3%          
  T-Mobile U.S., Inc. (k)   40,566    4,639,128 
             
  Total Common Stocks
(Cost $550,313,229)
        835,047,272 
             
  Convertible Preferred Stocks 0.3%          

 

     Principal
Amount
     
  Banks 0.3%          
  First Republic Bank
4.125%, due 10/30/25 (e)
   65,750    1,670,050 
  Truist Financial Corp.
4.75%, due 9/1/25 (e)
   76,175    1,976,741 
  Total Convertible Preferred Stocks
(Cost $3,548,125)
        3,646,791 
             
  Short-Term Investments 2.2%          
             
      Shares      
  Affiliated Investment Company 2.1%          
  MainStay U.S. Government Liquidity Fund, 0.02% (l)   29,199,232    29,199,232 
             
  Unaffiliated Investment Company 0.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (l)(m)   1,036,000    1,036,000 
  Total Short-Term Investments
(Cost $30,235,232)
        30,235,232 
  Total Investments
(Cost $1,073,696,535)
   101.4%   1,386,020,924 
  Other Assets, Less Liabilities   (1.4)   (19,499,039)
  Net Assets   100.0%   $1,366,521,885 

 

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) Fair valued security - Represents fair value as measured in good faith under procedures approved by the Board of Trustees. As of September 30, 2020, the total market value of fair valued securities was $2,320,000, which represented 0.2% of the Portfolio's net assets.
(c) Step coupon - Rate shown was the rate in effect as of September 30, 2020.
(d) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 2020.
(e) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(f) Floating rate - Rate shown was the rate in effect as of September 30, 2020.
(g) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $1,015,663. The Portfolio received cash collateral with a value of $1,036,000.  
(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 September 30, 2020.
(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 September 30, 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 September 30, 2020, the total net market value of these securities was $13,652,557, which represented 1.0% of the Portfolio's net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement.
(k) Non-income producing security.
(l) Current yield as of September 30, 2020.
(m) Represents a security purchased with cash collateral received for securities on loan.

 

The following abbreviations are used in the preceding pages:

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 September 30, 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  $   $24,701,436   $   $24,701,436 
Corporate Bonds       303,273,435        303,273,435 
Loan Assignments       2,187,712        2,187,712 
Mortgage-Backed Securities       53,989,868        53,989,868 
U.S. Government & Federal Agencies       132,939,178        132,939,178 
Total Long-Term Bonds       517,091,629        517,091,629 
Common Stocks   835,047,272            835,047,272 
Convertible Preferred Stocks   3,646,791            3,646,791 
Short-Term Investments                    
Affiliated Investment Company   29,199,232            29,199,232 
Unaffiliated Investment Company   1,036,000            1,036,000 
Total Short-Term Investments   30,235,232            30,235,232 
Total Investments in Securities  $868,929,295   $517,091,629   $        —   $1,386,020,924 

 

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

 

 

 

 

MainStay VP MacKay Common Stock Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

   Shares   Value 
  Common Stocks 98.4% †
  Aerospace & Defense 2.4%          
  Boeing Co.   13,013   $2,150,528 
  Huntington Ingalls Industries, Inc.   7,784    1,095,598 
  Lockheed Martin Corp.   13,835    5,302,679 
  Northrop Grumman Corp.   9,044    2,853,292 
  Raytheon Technologies Corp.   37,395    2,151,708 
  Textron, Inc.   83,131    3,000,198 
           16,554,003 
  Air Freight & Logistics 0.8%          
  FedEx Corp.   14,752    3,710,423 
  United Parcel Service, Inc., Class B   9,497    1,582,485 
           5,292,908 
  Auto Components 0.1%          
  Aptiv PLC   6,613    606,280 
             
  Banks 3.0%          
  Bank of America Corp.   113,598    2,736,576 
  Comerica, Inc.   11,765    450,011 
  Fifth Third Bancorp   50,912    1,085,444 
  First Republic Bank   33,607    3,665,179 
  JPMorgan Chase & Co.   42,577    4,098,888 
  Signature Bank   35,894    2,978,843 
  SVB Financial Group (a)   5,551    1,335,682 
  Truist Financial Corp.   116,671    4,439,331 
           20,789,954 
  Beverages 0.9%          
  Coca-Cola Co.   33,767    1,667,077 
  Molson Coors Beverage Co., Class B   94,440    3,169,406 
  PepsiCo., Inc.   11,007    1,525,570 
           6,362,053 
  Biotechnology 3.7%          
  AbbVie, Inc.   52,083    4,561,950 
  Alexion Pharmaceuticals, Inc. (a)   14,499    1,659,120 
  Amgen, Inc.   13,883    3,528,503 
  Biogen, Inc. (a)   14,986    4,251,228 
  Emergent BioSolutions, Inc. (a)   2,776    286,844 
  Exelixis, Inc. (a)   48,648    1,189,444 
  Gilead Sciences, Inc.   78,499    4,960,352 
  Incyte Corp. (a)   15,636    1,403,175 
  Regeneron Pharmaceuticals, Inc. (a)   3,661    2,049,355 
  United Therapeutics Corp. (a)   14,812    1,496,012 
           25,385,983 
  Building Products 1.0%          
  Fortune Brands Home & Security, Inc.   7,333    634,451 
  Johnson Controls International PLC   33,460    1,366,841 
  Masco Corp.   59,989    3,307,194 
  Owens Corning   22,788    1,568,042 
  Trane Technologies PLC   1,808    219,220 
           7,095,748 
  Capital Markets 3.3%          
  Ameriprise Financial, Inc.   23,325    3,594,616 
  Bank of New York Mellon Corp.   110,432    3,792,235 
  BlackRock, Inc.   4,158    2,343,241 
  Intercontinental Exchange, Inc.   27,884    2,789,794 
  Moody's Corp.   7,493    2,171,846 
  Raymond James Financial, Inc.   46,118    3,355,545 
  S&P Global, Inc.   14,558    5,249,615 
           23,296,892 
  Chemicals 0.7%          
  CF Industries Holdings, Inc.   102,150    3,137,027 
  Linde PLC   4,248    1,011,576 
  Mosaic Co.   40,444    738,912 
           4,887,515 
  Communications Equipment 0.2%          
  Cisco Systems, Inc.   26,719    1,052,461 
             
  Construction & Engineering 0.6%          
  EMCOR Group, Inc.   7,213    488,392 
  Quanta Services, Inc.   63,876    3,376,486 
           3,864,878 
  Consumer Finance 0.8%          
  American Express Co.   19,323    1,937,131 
  Synchrony Financial   131,746    3,447,793 
           5,384,924 
  Distributors 0.2%          
  LKQ Corp. (a)   60,221    1,669,928 
             
  Diversified Financial Services 1.1%          
  Berkshire Hathaway, Inc., Class B (a)   34,433    7,332,163 
             
  Diversified Telecommunication Services 0.7%          
  AT&T, Inc.   68,267    1,946,292 
  Verizon Communications, Inc.   50,774    3,020,545 
           4,966,837 
  Electric Utilities 1.3%          
  Duke Energy Corp.   1,641    145,327 
  Entergy Corp.   5,332    525,362 
  NextEra Energy, Inc.   9,352    2,595,741 
  NRG Energy, Inc.   44,168    1,357,724 
  OGE Energy Corp.   41,291    1,238,317 
  PPL Corp.   33,197    903,291 
  Southern Co.   43,788    2,374,185 
           9,139,947 
  Electrical Equipment 0.6%          
  Eaton Corp. PLC   13,703    1,398,117 
  Regal Beloit Corp.   27,792    2,608,835 
           4,006,952 
  Electronic Equipment, Instruments & Components 1.3%          
  Arrow Electronics, Inc. (a)   38,813    3,053,031 
  Jabil, Inc.   91,117    3,121,668 
  SYNNEX Corp.   22,904    3,207,934 
           9,382,633 
  Energy Equipment & Services 0.1%          
  TechnipFMC PLC   56,713    357,859 
             
  Entertainment 1.4%          
  Activision Blizzard, Inc.   14,850    1,202,107 
  Electronic Arts, Inc. (a)   28,204    3,678,084 
  Netflix, Inc. (a)   4,634    2,317,139 
  Take-Two Interactive Software, Inc. (a)   62    10,244 
  Walt Disney Co.   20,487    2,542,027 
           9,749,601 
  Equity Real Estate Investment Trusts 0.8%          
  American Tower Corp.   6,696    1,618,624 
  Crown Castle International Corp.   3,971    661,172 
  Equinix, Inc.   823    625,587 
  Prologis, Inc.   7,923    797,212 
  SBA Communications Corp.   5,424    1,727,436 
           5,430,031 
  Food & Staples Retailing 2.4%          
  BJ's Wholesale Club Holdings, Inc. (a)   56,543    2,349,362 
  Costco Wholesale Corp.   7,110    2,524,050 
  Kroger Co.   108,982    3,695,579 
  Walmart, Inc.   55,946    7,827,405 
           16,396,396 
  Food Products 0.5%          
  Tyson Foods, Inc., Class A   58,285    3,466,792 
             
  Health Care Equipment & Supplies 2.1%          
  Abbott Laboratories   65,818    7,162,973 
  Baxter International, Inc.   7,821    628,965 
  Becton Dickinson & Co.   7,101    1,652,261 
  Danaher Corp.   844    181,739 
  Hill-Rom Holdings, Inc.   2,206    184,223 
  Hologic, Inc. (a)   39,047    2,595,454 
  Medtronic PLC   15,121    1,571,374 
  ResMed, Inc.   3,984    682,977 
           14,659,966 
  Health Care Providers & Services 4.5%          
  Anthem, Inc.   18,425    4,948,771 
  Cardinal Health, Inc.   18,854    885,195 
  Centene Corp. (a)   28,242    1,647,356 
  HCA Healthcare, Inc.   31,593    3,939,015 
  Humana, Inc.   11,074    4,583,418 
  McKesson Corp.   17,309    2,577,829 
  Molina Healthcare, Inc. (a)   16,339    2,990,691 
  UnitedHealth Group, Inc.   29,764    9,279,522 
  Universal Health Services, Inc., Class B   3,040    325,341 
           31,177,138 
  Health Care Technology 0.5%          
  Cerner Corp.   49,703    3,593,030 
             
  Hotels, Restaurants & Leisure 1.7%          
  Darden Restaurants, Inc.   36,898    3,717,105 
  Domino's Pizza, Inc.   8,284    3,523,020 
  McDonald's Corp.   4,231    928,662 
  Yum! Brands, Inc.   37,695    3,441,553 
           11,610,340 
  Household Durables 0.1%          
  Mohawk Industries, Inc. (a)   9,769    953,357 
             
  Household Products 2.8%          
  Colgate-Palmolive Co.   49,992    3,856,883 
  Kimberly-Clark Corp.   28,961    4,276,381 
  Procter & Gamble Co.   82,986    11,534,224 
           19,667,488 
  Independent Power & Renewable Electricity Producers 0.1%          
  AES Corp.   19,293    349,396 
             
  Insurance 0.8%          
  Allstate Corp.   35,565    3,348,089 
  Unum Group   129,406    2,177,903 
           5,525,992 
  Interactive Media & Services 6.2%          
  Alphabet, Inc. (a)          
  Class A   8,317    12,189,395 
  Class C   8,314    12,218,254 
  Facebook, Inc., Class A (a)   70,821    18,548,020 
           42,955,669 
  Internet & Direct Marketing Retail 5.9%          
  Amazon.com, Inc. (a)   11,404    35,908,117 
  Booking Holdings, Inc. (a)   388    663,744 
  eBay, Inc.   75,783    3,948,294 
  Etsy, Inc. (a)   2,518    306,264 
           40,826,419 
  IT Services 4.4%          
  Accenture PLC, Class A   3,011    680,456 
  DXC Technology Co.   94,748    1,691,252 
  Fidelity National Information Services, Inc.   4,836    711,908 
  Leidos Holdings, Inc.   36,392    3,244,347 
  Mastercard, Inc., Class A   21,650    7,321,380 
  PayPal Holdings, Inc. (a)   42,449    8,363,726 
  Visa, Inc., Class A   41,335    8,265,760 
           30,278,829 
  Leisure Products 0.4%          
  Polaris, Inc.   33,002    3,113,409 
             
  Life Sciences Tools & Services 1.1%          
  IQVIA Holdings, Inc. (a)   24,469    3,857,048 
  PRA Health Sciences, Inc. (a)   28,648    2,906,053 
  Thermo Fisher Scientific, Inc.   2,644    1,167,379 
           7,930,480 
  Machinery 0.9%          
  AGCO Corp.   16,016    1,189,508 
  Cummins, Inc.   448    94,600 
  Deere & Co.   21,604    4,788,095 
           6,072,203 
  Media 1.3%          
  Charter Communications, Inc., Class A (a)   8,457    5,280,043 
  Comcast Corp., Class A   46,127    2,133,835 
  News Corp., Class A   104,481    1,464,824 
           8,878,702 
  Metals & Mining 1.3%          
  Freeport-McMoRan, Inc.   35,648    557,535 
  Newmont Corp.   67,398    4,276,403 
  Reliance Steel & Aluminum Co.   18,137    1,850,699 
  Royal Gold, Inc.   24    2,884 
  Steel Dynamics, Inc.   84,822    2,428,454 
           9,115,975 
  Multi-Utilities 0.9%          
  Consolidated Edison, Inc.   10,887    847,009 
  Dominion Energy, Inc.   59,699    4,712,042 
  MDU Resources Group, Inc.   17,616    396,360 
           5,955,411 
  Multiline Retail 1.3%          
  Dollar General Corp.   20,655    4,329,701 
  Target Corp.   31,950    5,029,569 
           9,359,270 
  Oil, Gas & Consumable Fuels 1.9%          
  Chevron Corp.   29,529    2,126,088 
  Concho Resources, Inc.   35,125    1,549,715 
  ConocoPhillips   40,470    1,329,035 
  EOG Resources, Inc.   40,523    1,456,396 
  Exxon Mobil Corp.   18,385    631,157 
  HollyFrontier Corp.   147,139    2,900,110 
  Phillips 66   7,152    370,760 
  Valero Energy Corp.   73,850    3,199,182 
           13,562,443 
  Pharmaceuticals 4.1%          
  Bristol-Myers Squibb Co.   7,122    429,385 
  Eli Lilly and Co.   9,346    1,383,395 
  Johnson & Johnson   84,424    12,569,045 
  Merck & Co., Inc.   54,463    4,517,706 
  Perrigo Co. PLC   68,430    3,141,621 
  Pfizer, Inc.   182,572    6,700,393 
           28,741,545 
  Professional Services 0.4%          
  ManpowerGroup, Inc.   42,096    3,086,900 
             
  Road & Rail 1.2%          
  CSX Corp.   16,834    1,307,497 
  J.B. Hunt Transport Services, Inc.   25,534    3,226,987 
  Union Pacific Corp.   20,052    3,947,637 
           8,482,121 
  Semiconductors & Semiconductor Equipment 4.8%          
  Advanced Micro Devices, Inc. (a)   9,273    760,293 
  Applied Materials, Inc.   48,443    2,879,936 
  Broadcom, Inc.   13,673    4,981,347 
  Intel Corp.   164,893    8,538,160 
  Lam Research Corp.   1,046    347,011 
  NVIDIA Corp.   15,120    8,183,246 
  Qorvo, Inc. (a)   11,801    1,522,447 
  QUALCOMM, Inc.   54,257    6,384,964 
  Texas Instruments, Inc.   582    83,104 
           33,680,508 
  Software 9.8%          
  Adobe, Inc. (a)   5,533    2,713,549 
  Autodesk, Inc. (a)   18,569    4,289,625 
  CDK Global, Inc.   52,548    2,290,567 
  Citrix Systems, Inc.   25,131    3,460,790 
  Fortinet, Inc. (a)   28,826    3,395,991 
  Microsoft Corp.   200,102    42,087,454 
  Oracle Corp.   36,312    2,167,826 
  salesforce.com, Inc. (a)   22,314    5,607,955 
  ServiceNow, Inc. (a)   4,724    2,291,140 
           68,304,897 
  Specialty Retail 3.4%          
  Aaron's, Inc.   53,223    3,015,083 
  Best Buy Co., Inc.   33,788    3,760,267 
  Foot Locker, Inc.   2,897    95,688 
  Home Depot, Inc.   26,309    7,306,272 
  L Brands, Inc.   27,241    866,536 
  Lithia Motors, Inc., Class A   10,705    2,440,098 
  Murphy USA, Inc. (a)   22,365    2,868,759 
  Tractor Supply Co.   24,254    3,476,568 
           23,829,271 
  Technology Hardware, Storage & Peripherals 8.0%          
  Apple, Inc.   421,145    48,772,802 
  HP, Inc.   197,947    3,759,014 
  Xerox Holdings Corp.   170,580    3,201,787 
           55,733,603 
  Textiles, Apparel & Luxury Goods 0.1%          
  NIKE, Inc., Class B   4,609    578,614 
             
  Thrifts & Mortgage Finance 0.3%          
  New York Community Bancorp, Inc.   247,941    2,050,472 
             
  Tobacco 0.2%          
  Philip Morris International, Inc.   20,054    1,503,849 
  Total Common Stocks
(Cost $552,363,003)
        684,050,035 
             
  Exchange-Traded Fund 1.3%          
  SPDR S&P 500 ETF Trust   28,062    9,397,683 
  Total Exchange-Traded Fund
(Cost $9,316,102)
        9,397,683 
             
  Short-Term Investment 0.2%          
  Affiliated Investment Company 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.02% (b)   1,394,773    1,394,773 
  Total Short-Term Investment
(Cost $1,394,773)
        1,394,773 
  Total Investments
(Cost $563,073,878)
   99.9%   694,842,491 
  Other Assets, Less Liabilities   0.1    430,930 
  Net Assets   100.0%  $695,273,421 

  

Percentages indicated are based on Portfolio net assets.
(a)Non-income producing security.
(b)Current yield as of September 30, 2020.

 

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 September 30, 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  $684,050,035   $   $   $684,050,035 
Exchange-Traded Fund   9,397,683            9,397,683 
Short-Term Investment                    
Affiliated Investment Company   1,394,773            1,394,773 
Total Investments in Securities  $694,842,491   $   $   $694,842,491 

 

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

 

 

 

MainStay VP MacKay Convertible Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

     Principal Amount   Value 
  Convertible Securities 95.5% †
  Convertible Bonds 89.0%
  Aerospace & Defense 1.1%
  Aerojet Rocketdyne Holdings, Inc.
2.25%, due 12/15/23
  $7,117,000   $11,320,478 
   
  Airlines 2.7%
  American Airlines Group, Inc.
6.50%, due 7/1/25
   4,290,000    3,976,294 
  Southwest Airlines Co.
1.25%, due 5/1/25
   17,704,000    23,192,240 
           27,168,534 
  Auto Manufacturers 2.9%
  Tesla, Inc.
1.25%, due 3/1/21
   4,806,000    28,620,068 
   
  Biotechnology 6.0%
  Apellis Pharmaceuticals, Inc.
3.50%, due 9/15/26
   4,715,000    5,062,731 
  BioMarin Pharmaceutical, Inc.
0.599%, due 8/1/24 (a)
   18,042,000    18,977,530 
  BridgeBio Pharma, Inc.
2.50%, due 3/15/27 (b)
   4,381,000    4,991,465 
  Exact Sciences Corp.
1.00%, due 1/15/25 (a)
   8,726,000    13,546,256 
  Illumina, Inc.
(zero coupon), due 8/15/23
   7,893,000    8,428,375 
  Ionis Pharmaceuticals, Inc.
1.00%, due 11/15/21
   8,329,000    8,628,109 
           59,634,466 
  Building Materials 1.2%
  Patrick Industries, Inc.
1.00%, due 2/1/23
   11,666,000    11,592,766 
   
  Commercial Services 2.9%
  Chegg, Inc.
(zero coupon), due 9/1/26 (b)
   5,466,000    5,474,199 
  Euronet Worldwide, Inc.
0.75%, due 3/15/49
   7,730,000    7,435,294 
  Sabre GLBL, Inc.
4.00%, due 4/15/25 (a)(b)
   1,185,000    1,398,136 
  Square, Inc.          
  0.125%, due 3/1/25 (b)   4,495,000    6,852,903 
  0.50%, due 5/15/23   3,658,000    7,933,510 
           29,094,042 
  Computers 2.9%
  Lumentum Holdings, Inc.
0.25%, due 3/15/24
   12,334,000    17,274,476 
  Parsons Corp.
0.25%, due 8/15/25 (b)
   2,878,000    2,907,366 
  Western Digital Corp.
1.50%, due 2/1/24
   4,634,000    4,422,670 
  Zscaler, Inc.
0.125%, due 7/1/25 (b)
   3,575,000    4,236,735 
           28,841,247 
  Diversified Financial Services 0.4%
  LendingTree, Inc.
0.625%, due 6/1/22
   2,437,000    3,823,244 
   
  Electric 1.0%
  NRG Energy, Inc.
2.75%, due 6/1/48
   9,299,000    9,677,804 
   
  Energy - Alternate Sources 1.2%
  Enphase Energy, Inc.
0.25%, due 3/1/25 (b)
   5,563,000    7,127,645 
  Solaredge Technologies, Inc.
(zero coupon), due 9/15/25 (b)
   4,415,000    5,079,536 
           12,207,181 
  Entertainment 0.5%
  Live Nation Entertainment, Inc.
2.50%, due 3/15/23
   4,439,000    4,966,647 
   
  Food 0.5%
  Chefs' Warehouse, Inc.
1.875%, due 12/1/24 (b)
   5,853,000    4,659,372 
   
  Health Care - Products 5.8%
  Cantel Medical Corp.
3.25%, due 5/15/25 (b)
   2,749,000    3,531,968 
  CONMED Corp.
2.625%, due 2/1/24
   9,264,000    10,417,767 
  Danaher Corp.
(zero coupon), due 1/22/21
   4,340,000    35,760,437 
  Integra LifeSciences Holdings Corp.
0.50%, due 8/15/25 (b)
   4,154,000    3,908,663 
  NuVasive, Inc.
0.375%, due 3/15/25 (b)
   4,971,000    4,367,825 
           57,986,660 
  Health Care - Services 5.4%
  Anthem, Inc.
2.75%, due 10/15/42
   7,296,000    27,370,660 
  Teladoc Health, Inc.          
  1.25%, due 6/1/27 (b)   8,562,000    10,750,011 
  1.375%, due 5/15/25   3,750,000    15,342,757 
           53,463,428 
  Internet 10.8%
  Boingo Wireless, Inc.
1.00%, due 10/1/23
   4,790,000    4,209,082 
  Booking Holdings, Inc.
0.90%, due 9/15/21
   13,680,000    14,591,151 
  Etsy, Inc.
0.125%, due 10/1/26 (b)
   9,415,000    14,834,509 
  FireEye, Inc.
0.875%, due 6/1/24
   1,422,000    1,325,074 
  Match Group Financeco 2, Inc.
0.875%, due 6/15/26 (b)
   7,897,000    11,314,554 
  Okta, Inc.
0.125%, due 9/1/25
   3,533,000    4,670,085 
  Palo Alto Networks, Inc.          
  0.375%, due 6/1/25 (b)   5,715,000    6,079,451 
  0.75%, due 7/1/23   8,986,000    10,152,305 
  Q2 Holdings, Inc.
0.75%, due 6/1/26
   2,800,000    3,443,610 
  Shopify, Inc.
0.125%, due 11/1/25
   10,310,000    11,558,160 
  Snap, Inc.
0.75%, due 8/1/26
   6,296,000    8,739,635 
  Wix.com, Ltd.
(zero coupon), due 7/1/23 (a)
   5,631,000    10,584,761 
  Zendesk, Inc.
0.625%, due 6/15/25 (b)
   5,370,000    6,397,108 
           107,899,486 
  Leisure Time 2.0%
  Carnival Corp.
5.75%, due 4/1/23 (b)
   5,827,000    9,978,139 
  NCL Corp., Ltd. (b)          
  5.375%, due 8/1/25   2,860,000    3,362,430 
  6.00%, due 5/15/24   1,756,000    2,577,392 
  Royal Caribbean Cruises, Ltd.
4.25%, due 6/15/23 (b)
   3,070,000    3,597,839 
           19,515,800 
  Machinery - Diversified 2.2%
  Chart Industries, Inc.
1.00%, due 11/15/24 (b)
   15,599,000    21,697,833 
   
  Media 2.4%
  DISH Network Corp.
3.375%, due 8/15/26
   10,403,000    9,575,926 
  Liberty Media Corp-Liberty Formula One
1.00%, due 1/30/23
   6,664,000    7,938,807 
  Liberty Media Corp.
1.375%, due 10/15/23
   5,512,000    6,025,977 
           23,540,710 
  Oil & Gas 2.5%
  Ensco Jersey Finance, Ltd.
3.00%, due 1/31/24
   11,037,000    1,490,777 
  EQT Corp.
1.75%, due 5/1/26 (a)(b)
   11,868,000    13,585,268 
  Pioneer Natural Resources Co.
0.25%, due 5/15/25 (b)
   8,757,000    9,685,182 
           24,761,227 
  Oil & Gas Services 1.8%
  Helix Energy Solutions Group, Inc.
6.75%, due 2/15/26
   6,639,000    5,463,830 
  Newpark Resources, Inc.
4.00%, due 12/1/21
   5,174,000    4,563,735 
  Oil States International, Inc.
1.50%, due 2/15/23
   13,274,000    7,511,378 
  Weatherford International, Ltd.
11.00%, due 12/1/24 (a)(b)
   1,137,000    682,200 
           18,221,143 
  Pharmaceuticals 3.4%
  DexCom, Inc.
0.25%, due 11/15/25 (b)
   18,004,000    19,072,988 
  Neurocrine Biosciences, Inc.
2.25%, due 5/15/24
   6,250,000    8,656,250 
  Pacira BioSciences, Inc.          
  0.75%, due 8/1/25 (b)   4,690,000    5,078,960 
  2.375%, due 4/1/22   1,094,000    1,259,718 
           34,067,916 
  Retail 1.7%
  American Eagle Outfitters, Inc.
3.75%, due 4/15/25 (b)
   3,570,000    6,632,590 
  Burlington Stores, Inc.
2.25%, due 4/15/25 (b)
   8,536,000    10,213,531 
           16,846,121 
  Semiconductors 7.2%
  Cree, Inc.
1.75%, due 5/1/26 (b)
   1,495,000    2,295,759 
  Inphi Corp.
0.75%, due 4/15/25 (b)
   12,268,000    14,745,594 
  Microchip Technology, Inc.          
  1.625%, due 2/15/25   6,103,000    13,610,477 
  1.625%, due 2/15/27   5,198,000    8,021,393 
  Micron Technology, Inc.
3.125%, due 5/1/32
   1,993,000    9,321,012 
  Novellus Systems, Inc.
2.625%, due 5/15/41
   724,000    7,547,948 
  ON Semiconductor Corp.
1.625%, due 10/15/23
   1,450,000    1,918,531 
  Rambus, Inc.
1.375%, due 2/1/23
   6,552,000    6,841,002 
  Silicon Laboratories, Inc.
0.625%, due 6/15/25 (b)
   7,180,000    7,716,695 
           72,018,411 
  Software 17.2%
  Akamai Technologies, Inc.
0.375%, due 9/1/27
   7,080,000    8,226,381 
  Atlassian, Inc.
0.625%, due 5/1/23
   5,325,000    11,987,906 
  Coupa Software, Inc.
0.375%, due 6/15/26 (b)
   3,760,000    4,448,550 
  Datadog, Inc.
0.125%, due 6/15/25 (b)
   4,595,000    6,088,375 
  Envestnet, Inc.
1.75%, due 6/1/23
   7,583,000    9,745,645 
  Everbridge, Inc.
0.125%, due 12/15/24 (b)
   3,415,000    4,542,852 
  Five9, Inc.
0.50%, due 6/1/25 (b)
   2,865,000    3,476,638 
  J2 Global, Inc.
1.75%, due 11/1/26 (b)
   3,285,000    2,921,097 
  MongoDB, Inc.
0.25%, due 1/15/26 (b)
   4,445,000    5,816,635 
  NICE Systems, Inc.
1.25%, due 1/15/24
   12,416,000    33,783,030 
  Nuance Communications, Inc.
1.25%, due 4/1/25
   8,331,000    14,798,355 
  Omnicell, Inc.
0.25%, due 9/15/25 (b)
   1,735,000    1,787,208 
  PagerDuty, Inc.
1.25%, due 7/1/25 (b)
   330,000    335,385 
  RingCentral, Inc.
(zero coupon), due 3/1/25 (b)
   16,999,000    18,188,930 
  Slack Technologies, Inc.
0.50%, due 4/15/25 (b)
   4,125,000    4,805,389 
  Splunk, Inc.
0.50%, due 9/15/23
   10,919,000    15,231,345 
  Twilio, Inc.
0.25%, due 6/1/23
   2,263,000    7,893,169 
  Workday, Inc.
0.25%, due 10/1/22
   5,605,000    8,636,983 
  Zynga, Inc.
0.25%, due 6/1/24
   6,772,000    8,604,672 
           171,318,545 
  Telecommunications 2.3%
  Infinera Corp.
2.50%, due 3/1/27 (b)
   4,490,000    4,731,910 
  InterDigital, Inc.
2.00%, due 6/1/24
   2,860,000    2,960,701 
  Viavi Solutions, Inc.
1.00%, due 3/1/24
   9,569,000    10,818,951 
  Vonage Holdings Corp.
1.75%, due 6/1/24
   5,148,000    4,985,338 
           23,496,900 
  Transportation 1.0%
  Atlas Air Worldwide Holdings, Inc.
2.25%, due 6/1/22
   9,024,000    9,937,680 
  Total Convertible Bonds
(Cost $722,370,268)
        886,377,708 
      Shares      
  Convertible Preferred Stocks 6.5%
  Banks 2.4%
  Bank of America Corp.
Series L
7.25%
   8,636    12,850,368 
  Wells Fargo & Co.
Series L
7.50%
   8,264    11,090,701 
           23,941,069 
  Capital Markets 0.5%
  KKR & Co., Inc.
6.00%
   101,200    5,262,400 
   
  Chemicals 0.4%
  Lyondellbasell Advanced Polymers, Inc.
6.00%
   4,110    4,239,465 
   
  Electric Utilities 1.0%
  PG&E Corp.
5.50%
   99,000    9,710,910 
   
  Health Care Equipment & Supplies 0.3%
  Becton Dickinson & Co.
6.00%
   50,000    2,632,500 
   
  Machinery 1.2%
  Stanley Black & Decker, Inc.
5.25%
   115,000    11,603,500 
   
  Semiconductors & Semiconductor Equipment 0.7%
  Broadcom, Inc.
8.00%
   6,025    7,511,669 
  Total Convertible Preferred Stocks
(Cost $60,176,759)
        64,901,513 
  Total Convertible Securities
(Cost $782,547,027)
        951,279,221 
             
  Common Stocks 0.7%
  Banks 0.7%
  Bank of America Corp.   267,678    6,448,363 
   
  Energy Equipment & Services 0.0% ‡
  Weatherford International PLC (c)   157,538    307,199 
  Total Common Stocks
(Cost $7,568,418)
        6,755,562 
             
  Short-Term Investments 5.5%
  Affiliated Investment Company 4.7%
  MainStay U.S. Government Liquidity Fund, 0.02% (d)   46,721,668    46,721,668 
   
  Unaffiliated Investment Company 0.8%
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (d)(e)   8,548,808    8,548,808 
  Total Short-Term Investments
(Cost $55,270,476)
        55,270,476 
  Total Investments
(Cost $845,385,921)
   101.7%   1,013,305,259 
  Other Assets, Less Liabilities   (1.7)   (17,185,933)
  Net Assets   100.0%  $996,119,326 

 

  Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.
  (a) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $20,895,588; the total market value of collateral held by the Portfolio was $21,298,967. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $12,750,159.  
  (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) Non-income producing security.
  (d) Current yield as of September 30, 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 September 30, 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   $     $ 886,377,708     $     $ 886,377,708  
Convertible Preferred Stocks     64,901,513                   64,901,513  
Total Convertible Securities     64,901,513       886,377,708             951,279,221  
Common Stocks     6,755,562                   6,755,562  
Short-Term Investments                                
Affiliated Investment Company     46,721,668                   46,721,668  
Unaffiliated Investment Company     8,548,808                   8,548,808  
Total Short-Term Investments     55,270,476                   55,270,476  
Total Investments in Securities   $ 126,927,551     $ 886,377,708     $     $ 1,013,305,259  

 

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

 

 

 

 

MainStay VP MacKay Government Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Principal
Amount
   Value 
  Long-Term Bonds 98.1% †          
  Asset-Backed Securities 2.5%          
  Other Asset-Backed Securities 2.4%          
  FirstEnergy Ohio PIRB Special Purpose Trust
Series 2013-1, Class A3
3.45%, due 1/15/36
  $522,744   $557,496 
  PSNH Funding LLC
Series 2018-1, Class A1
3.094%, due 2/1/26
   297,496    310,007 
  Small Business Administration Participation Certificates          
  Series 2012-20L, Class 1
1.93%, due 12/1/32
   451,393    465,387 
  Series 2014-20H, Class 1
2.88%, due 8/1/34
   467,884    498,006 
  Series 2015-20G, Class 1
2.88%, due 7/1/35
   1,229,909    1,336,786 
  Series 2014-20I, Class 1
2.92%, due 9/1/34
   522,441    557,065 
  Series 2014-20C, Class 1
3.21%, due 3/1/34
   902,064    969,992 
  Series 2018-20B, Class 1
3.22%, due 2/1/38
   1,830,892    2,013,724 
  Series 2018-20D, Class 1
3.31%, due 4/1/38
   2,098,997    2,303,518 
           9,011,981 
  Utilities 0.1%          
  Atlantic City Electric Transition Funding LLC
Series 2002-1, Class A4
5.55%, due 10/20/23
   357,400    367,778 
  Total Asset-Backed Securities
(Cost $8,919,331)
        9,379,759 

 

  Corporate Bonds 3.1%          
  Agriculture 0.3%          
  Altria Group, Inc.
2.85%, due 8/9/22
   1,170,000    1,218,443 
             
  Electric 1.8%          
  Consolidated Edison Co. of New York, Inc.
0.625% (3 Month LIBOR + 0.40%), due 6/25/21 (a)
   1,550,000    1,553,676 
  Duke Energy Florida Project Finance LLC
2.538%, due 9/1/29
   1,900,000    2,040,682 
  Monongahela Power Co.
4.10%, due 4/15/24 (b)
   2,000,000    2,194,996 
  PECO Energy Co.
1.70%, due 9/15/21
   670,000    678,437 
           6,467,791 
  Pipelines 0.3%          
  Plains All American Pipeline, L.P. / PAA Finance Corp.
5.00%, due 2/1/21
   1,200,000    1,204,388 
             
  Real Estate Investment Trusts 0.7%          
  Host Hotels & Resorts, L.P.
3.75%, due 10/15/23
   2,350,000    2,424,442 
  Total Corporate Bonds
(Cost $10,954,699)
        11,315,064 

 

  Mortgage-Backed Securities 15.7%          
  Agency (Collateralized Mortgage Obligations) 5.5%          
  Federal Home Loan Mortgage Corporation          
  REMIC, Series 4913, Class UA
3.00%, due 3/15/49
   845,984    889,930 
  REMIC, Series 4908, Class BD
3.00%, due 4/25/49
   2,835,233    2,930,234 
  REMIC, Series 4926, Class BP
3.00%, due 10/25/49
   3,135,000    3,352,124 
  REMIC Series 4888, Class BA
3.50%, due 9/15/48
   339,767    356,185 
  REMIC Series 4877, Class AT
3.50%, due 11/15/48
   512,285    542,892 
  REMIC Series 4877, Class BE
3.50%, due 11/15/48
   783,387    827,838 
  REMIC, Series 4886, Class LA
4.00%, due 3/15/43
   115,325    116,287 
  REMIC, Series 4837, Class BA
4.00%, due 6/15/43
   1,112,610    1,123,098 
  Federal National Mortgage Association          
  Series 2020-63, Class B
1.25%, due 9/25/50
   1,145,304    1,155,663 
  REMIC, Series 2019-13, Class PE
3.00%, due 3/25/49
   528,041    562,425 
  REMIC, Series 2019-58, Class LP
3.00%, due 10/25/49
   1,350,000    1,428,598 
  REMIC, Series 2018-76, Class BC
3.50%, due 11/25/42
   432,803    434,859 
  REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   2,520,356    2,779,929 
  Government National Mortgage Association          
  REMIC, Series 2019-3, Class A
3.00%, due 4/20/48
   1,263,410    1,302,098 
  Series 2019-59, Class KA
3.00%, due 12/20/48
   851,747    899,534 
  Series 2013-149, Class BA
3.25%, due 8/16/41
   1,543,325    1,641,960 
           20,343,654 
  Agency Collateral PAC CMO 0.9%          
  Federal National Mortgage Association
Series 2012-124, Class PG
2.00%, due 7/25/42
   1,595,127    1,640,338 
  Government National Mortgage Association
REMIC, Series 2014-63, Class PG
2.50%, due 7/20/43
   1,445,954    1,501,842 
           3,142,180 
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 8.7%          
  BX Trust
Series 2019-OC11, Class A
3.202%, due 12/9/41 (b)
   460,000    486,923 
  BXP Trust
Series 2017-GM, Class A
3.379%, due 6/13/39 (b)
   1,750,000    1,947,283 
  FREMF Mortgage Trust (b)(c)          
  Series 2015-K720, Class B
3.51%, due 7/25/22
   430,000    444,346 
  Series 2013-K33, Class B
3.613%, due 8/25/46
   933,000    990,127 
  Series 2013-K27, Class B
3.616%, due 1/25/46
   1,300,000    1,367,133 
  Series 2013-K24, Class B
3.627%, due 11/25/45
   2,000,000    2,095,565 
  Series 2013-K30, Class B
3.668%, due 6/25/45
   275,000    290,967 
  Series 2015-K721, Class B
3.681%, due 11/25/47
   3,040,000    3,161,996 
  Series 2014-K717, Class B
3.754%, due 11/25/47
   2,500,000    2,547,888 
  Series 2012-K23, Class B
3.782%, due 10/25/45
   1,222,000    1,274,897 
  Series 2014-K41, Class B
3.964%, due 11/25/47
   2,700,000    2,966,554 
  Series 2013-K35, Class B
4.073%, due 12/25/46
   2,675,000    2,879,204 
  Series 2014-K716, Class B
4.081%, due 8/25/47
   2,150,000    2,184,519 
  Series 2016-K54, Class B
4.189%, due 4/25/48
   695,000    770,713 
  Series 2014-K40, Class B
4.207%, due 11/25/47
   1,645,000    1,818,966 
  Series 2014-K38, Class B
4.376%, due 6/25/47
   2,000,000    2,199,740 
  Series 2014-K714, Class B
4.404%, due 1/25/47
   197,000    196,820 
  Series 2012-K17, Class B
4.466%, due 12/25/44
   2,264,000    2,346,593 
  One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (b)
   1,265,000    1,346,036 
  Wells Fargo Commercial Mortgage Trust
Series 2018-1745, Class A
3.874%, due 6/15/36 (b)(c)
   695,000    765,768 
           32,082,038 
  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)
   132,554    133,330 
  Citigroup Mortgage Loan Trust, Inc.
Series 2006-AR6, Class 1A1
3.311%, due 8/25/36 (c)
   99,858    91,684 
  Seasoned Loans Structured Transaction Trust
Series 2019-1, Class A1
3.50%, due 5/25/29
   420,102    456,744 
  Wells Fargo Mortgage Backed Securities Trust
Series 2020-2, Class A1
3.00%, due 12/25/49 (b)(d)
   1,397,034    1,440,274 
           2,122,032 
  Total Mortgage-Backed Securities
(Cost $56,648,589)
        57,689,904 

 

  U.S. Government & Federal Agencies 76.8%          
  Fannie Mae (Collateralized Mortgage Obligation) 0.0% ‡ (e)          
  Series 360, Class 2, IO
5.00%, due 8/25/35
   71,010    12,164 
  Series 361, Class 2
6.00%, due 10/25/35
   15,688    3,487 
           15,651 
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 18.3%          
  2.00%, due 6/1/35   1,255,541    1,306,094 
  2.00%, due 4/1/50 TBA (f)   5,000,000    5,169,531 
  2.00%, due 7/1/50   2,517,932    2,603,806 
  2.00%, due 7/1/50   3,981,822    4,117,622 
  2.00%, due 8/1/50   3,309,784    3,461,217 
  2.00%, due 8/1/50   1,705,762    1,763,937 
  2.00%, due 8/1/50   2,448,097    2,531,590 
  2.50%, due 9/1/34   675,648    705,830 
  2.50%, due 1/1/40   1,129,031    1,185,230 
  2.50%, due 8/1/46   1,318,499    1,402,297 
  2.50%, due 12/1/49 TBA (f)   7,750,000    8,129,326 
  2.50%, due 3/1/50   2,446,078    2,567,834 
  2.50%, due 4/1/50   957,487    1,005,147 
  2.50%, due 6/1/50   2,905,115    3,049,720 
  2.50%, due 7/1/50   2,951,621    3,098,541 
  3.00%, due 2/1/46   2,390,964    2,521,916 
  3.00%, due 6/1/46   1,325,283    1,394,888 
  3.00%, due 4/1/47   2,520,425    2,648,992 
  3.00%, due 9/1/49   435,078    456,010 
  3.00%, due 11/1/49   1,647,458    1,737,765 
  3.50%, due 1/1/43   624,522    702,076 
  3.50%, due 1/1/44   557,957    603,715 
  3.50%, due 1/1/48   1,857,364    1,974,894 
  3.50%, due 2/1/48   1,968,632    2,085,020 
  3.50%, due 1/1/50   2,274,433    2,398,769 
  4.00%, due 7/1/44   1,222,776    1,346,989 
  4.00%, due 3/1/45   289,386    319,352 
  4.00%, due 12/1/46   935,472    1,019,605 
  4.00%, due 2/1/48   477,015    511,350 
  4.00%, due 10/1/48   936,548    1,027,099 
  4.00%, due 3/1/49   727,411    775,774 
  4.50%, due 3/1/41   283,932    314,271 
  4.50%, due 8/1/44   197,484    229,227 
  4.50%, due 12/1/44   814,677    916,544 
  4.50%, due 7/1/45   538,122    605,717 
  4.50%, due 4/1/46   88,495    99,508 
  4.50%, due 8/1/47   181,569    207,681 
  5.00%, due 11/1/41   1,042,158    1,198,430 
  6.50%, due 4/1/37   30,453    34,987 
           67,228,301 
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 33.4%          
  2.00%, due 6/1/35   2,327,297    2,420,782 
  2.00%, due 6/1/50   2,209,240    2,289,010 
  2.00%, due 8/1/50   3,972,251    4,107,725 
  2.50%, due 8/1/35   533,098    557,120 
  2.50%, due 12/1/37   1,745,895    1,839,193 
  2.50%, due 2/1/40   2,408,486    2,528,370 
  2.50%, due 1/1/47   2,766,507    2,944,065 
  2.50%, due 9/1/49   2,689,150    2,826,236 
  2.50%, due 3/1/50   2,853,209    2,995,230 
  2.50%, due 3/1/50   2,876,820    3,020,016 
  2.50%, due 3/1/50   609,869    643,849 
  2.50%, due 4/1/50   2,869,120    3,058,510 
  2.50%, due 5/1/50   4,922,658    5,167,689 
  2.50%, due 5/1/50   1,934,737    2,031,041 
  2.50%, due 7/1/50   2,955,863    3,102,994 
  2.50%, due 8/1/50   2,863,595    3,018,413 
  2.50%, due 8/1/50   3,788,284    3,992,496 
  2.50%, due 1/1/57   804,198    849,650 
  3.00%, due 10/1/32   518,872    550,086 
  3.00%, due 10/1/44   1,757,713    1,872,650 
  3.00%, due 9/1/46   1,441,890    1,486,546 
  3.00%, due 10/1/46   1,317,000    1,357,104 
  3.00%, due 3/1/47   1,196,124    1,257,582 
  3.00%, due 12/1/47   1,591,368    1,671,663 
  3.00%, due 10/1/48   30,191    30,736 
  3.00%, due 7/1/49 TBA (f)   4,500,000    4,714,014 
  3.00%, due 7/1/49 TBA (f)   2,000,000    2,095,508 
  3.00%, due 10/1/49   2,088,050    2,186,385 
  3.00%, due 3/1/50   3,135,069    3,315,291 
  3.00%, due 3/1/50   1,898,465    2,006,343 
  3.00%, due 3/1/50   2,926,639    3,068,892 
  3.00%, due 4/1/50   1,958,294    2,053,305 
  3.00%, due 5/1/50   983,134    1,032,428 
  3.00%, due 2/1/57   712,339    759,226 
  3.00%, due 6/1/57   805,552    858,307 
  3.50%, due 3/1/37   416,937    461,574 
  3.50%, due 2/1/43   1,502,202    1,688,225 
  3.50%, due 5/1/43   491,712    532,261 
  3.50%, due 7/1/43   504,304    560,661 
  3.50%, due 11/1/44   785,143    851,074 
  3.50%, due 3/1/45   786,150    858,501 
  3.50%, due 11/1/45   2,509,493    2,712,000 
  3.50%, due 8/1/46   636,849    687,148 
  3.50%, due 10/1/47   568,668    602,455 
  3.50%, due 2/1/48   348,177    368,558 
  3.50%, due 8/1/49   2,116,393    2,230,482 
  3.50%, due 9/1/50   3,000,000    3,209,747 
  4.00%, due 8/1/38   2,616,529    2,876,699 
  4.00%, due 1/1/46   821,477    906,014 
  4.00%, due 9/1/47   480,116    514,091 
  4.00%, due 7/1/48   1,243,838    1,326,815 
  4.00%, due 9/1/48   1,355,306    1,446,087 
  4.00%, due 9/1/48   2,091,223    2,257,887 
  4.00%, due 4/1/49   346,734    369,422 
  4.50%, due 2/1/41   2,317,506    2,625,606 
  4.50%, due 4/1/41   5,714,403    6,568,007 
  4.50%, due 8/1/42   1,025,515    1,152,857 
  4.50%, due 12/1/43   258,647    290,584 
  4.50%, due 8/1/44   1,174,924    1,320,759 
  5.00%, due 9/1/41   1,991,342    2,290,656 
  5.00%, due 10/1/41   1,715,608    1,971,296 
  5.50%, due 7/1/41   3,078,011    3,624,157 
  6.00%, due 4/1/37   9,471    10,752 
  6.00%, due 7/1/39   698,509    827,273 
  6.50%, due 10/1/39   129,295    149,139 
  6.50%, due 8/1/47   14,640    15,860 
           123,015,102 
  Government National Mortgage Association (Mortgage Pass-Through Securities) 0.8%          
  4.00%, due 11/20/49   1,432,992    1,520,688 
  4.50%, due 7/20/49   1,158,306    1,244,210 
           2,764,898 
  Overseas Private Investment Corporation 0.2%          
  5.142%, due 12/15/23   792,845    861,736 
             
  Tennessee Valley Authority 2.2%          
  3.875%, due 2/15/21   2,000,000    2,027,644 
  4.65%, due 6/15/35   4,395,000    6,137,084 
           8,164,728 
  United States Treasury Bonds 2.3%          
  3.00%, due 5/15/45   2,790,000    3,743,287 
  3.00%, due 2/15/48   2,000,000    2,724,375 
  4.375%, due 11/15/39   1,200,000    1,877,531 
           8,345,193 
  United States Treasury Notes 15.9%          
  0.25%, due 4/15/23   2,500,000    2,506,738 
  0.375%, due 4/30/25   5,000,000    5,029,492 
  1.50%, due 2/15/30   2,615,000    2,822,566 
  1.625%, due 5/15/26   380,000    407,209 
  1.75%, due 9/30/22   3,070,000    3,169,295 
  1.75%, due 5/15/23   500,000    520,996 
  2.25%, due 4/30/21   5,500,000    5,568,750 
  2.25%, due 4/30/24   16,190,000    17,382,115 
  2.375%, due 8/15/24   1,695,000    1,837,022 
  2.625%, due 1/31/26   1,700,000    1,908,250 
  2.75%, due 4/30/23   5,885,000    6,279,479 
  2.75%, due 7/31/23   845,000    907,055 
  2.75%, due 8/31/23   1,325,000    1,424,944 
  3.00%, due 10/31/25   7,805,000    8,873,005 
           58,636,916 
  United States Treasury Inflation - Indexed Bond 2.4%          
  0.125%, due 1/15/30 (g)   7,834,114    8,660,368 
             
  United States Treasury Inflation - Indexed Note 1.3%          
  0.875%, due 1/15/29 (g)   4,052,542    4,722,003 
  Total U.S. Government & Federal Agencies
(Cost $270,051,013)
        282,414,896 
  Total Long-Term Bonds
(Cost $346,573,632)
        360,799,623 

 

     Shares     
  Short-Term Investments 7.7%          
  Affiliated Investment Company 2.5%          
  MainStay U.S. Government Liquidity Fund, 0.02% (h)   9,306,209    9,306,209 
  Total Affiliated Investment Company
(Cost $9,306,209)
        9,306,209 

 

 

    

Principal

Amount

     
  U.S. Government & Federal Agencies 5.2%          
  United States Treasury Bills (i)
0.085%, due 11/12/20
  $19,000,000    18,997,961 
  Total U.S. Government & Federal Agencies
(Cost $18,997,961)
        18,997,961 
  Total Short-Term Investments
(Cost $28,304,170)
        28,304,170 
  Total Investments
(Cost $374,877,802)
   105.8%   389,103,793 
  Other Assets, Less Liabilities   (5.8)   (21,174,942)
  Net Assets   100.0%  $367,928,851 

 

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 September 30, 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 September 30, 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 September 30, 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) 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 September 30, 2020, the total net market value of these securities was $20,108,379, which represented 5.5% of the Portfolio's net assets. All or a portion of these securities are a part of a mortgage dollar roll agreement.
(g) 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.
(h) Current yield as of September 30, 2020.
(i) Interest rate shown represents yield to maturity.

 

The following abbreviations are used in the preceding pages:
IO —Interest Only
LIBOR —London Interbank Offered Rate
REMIC —Real Estate Mortgage Investment Conduit
TBA —To Be Announced

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $   $9,379,759   $   $9,379,759 
Corporate Bonds       11,315,064        11,315,064 
Mortgage-Backed Securities       57,689,904        57,689,904 
U.S. Government & Federal Agencies       282,414,896        282,414,896 
Total Long-Term Bonds       360,799,623        360,799,623 
Short-Term Investments                    
Affiliated Investment Company   9,306,209            9,306,209 
U.S. Government & Federal Agencies       18,997,961        18,997,961 
Total Short-Term Investments   9,306,209    18,997,961        28,304,170 
Total Investments in Securities  $9,306,209   $379,797,584   $   $389,103,793 

   

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

 

 

 

 

MainStay VP MacKay Growth Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 98.8% †
  Aerospace & Defense 0.9%          
  Lockheed Martin Corp.   16,305   $6,249,380 
             
  Automobiles 1.9%          
  Tesla, Inc. (a)   30,036    12,885,744 
             
  Beverages 0.4%          
  Coca-Cola Co.   19,656    970,417 
  PepsiCo., Inc.   14,550    2,016,630 
           2,987,047 
  Biotechnology 6.1%          
  AbbVie, Inc.   39,174    3,431,251 
  Alexion Pharmaceuticals, Inc. (a)   32,863    3,760,513 
  Alkermes PLC (a)   106,882    1,771,035 
  Amgen, Inc.   25,920    6,587,827 
  Biogen, Inc. (a)   15,035    4,265,129 
  Exelixis, Inc. (a)   156,469    3,825,667 
  Incyte Corp. (a)   48,938    4,391,696 
  Moderna, Inc. (a)   11,534    816,030 
  Regeneron Pharmaceuticals, Inc. (a)   10,268    5,747,821 
  Seattle Genetics, Inc. (a)   4,941    966,904 
  United Therapeutics Corp. (a)   707    71,407 
  Vertex Pharmaceuticals, Inc. (a)   21,674    5,897,929 
           41,533,209 
  Capital Markets 1.4%          
  LPL Financial Holdings, Inc.   47,785    3,663,676 
  S&P Global, Inc.   15,993    5,767,076 
           9,430,752 
  Construction & Engineering 0.4%          
  Quanta Services, Inc.   47,354    2,503,132 
             
  Consumer Finance 0.2%          
  SLM Corp.   151,817    1,228,200 
             
  Diversified Consumer Services 0.0% ‡          
  Graham Holdings Co., Class B   638    257,822 
             
  Electronic Equipment, Instruments & Components 0.6%          
  Jabil, Inc.   103,809    3,556,497 
  SYNNEX Corp.   3,503    490,630 
           4,047,127 
  Entertainment 2.5%          
  Activision Blizzard, Inc.   15,318    1,239,992 
  Electronic Arts, Inc. (a)   27,387    3,571,539 
  Lions Gate Entertainment Corp., Class B (a)   173,888    1,516,303 
  Netflix, Inc. (a)   9,804    4,902,294 
  Roku, Inc. (a)   4,288    809,575 
  Spotify Technology S.A. (a)   3,688    894,598 
  Take-Two Interactive Software, Inc. (a)   25,849    4,270,772 
           17,205,073 
  Equity Real Estate Investment Trusts 0.1%          
  American Tower Corp.   2,964    716,488 
             
  Food & Staples Retailing 0.4%          
  Costco Wholesale Corp.   7,120    2,527,600 
  Sprouts Farmers Market, Inc. (a)   3,372    70,576 
           2,598,176 
  Health Care Equipment & Supplies 0.9%          
  Hill-Rom Holdings, Inc.   5,065    422,978 
  Hologic, Inc. (a)   44,618    2,965,759 
  West Pharmaceutical Services, Inc.   11,177    3,072,557 
           6,461,294 
  Health Care Providers & Services 5.4%          
  Amedisys, Inc. (a)   8,095    1,913,901 
  Anthem, Inc.   16,837    4,522,250 
  Cardinal Health, Inc.   72,592    3,408,194 
  Centene Corp. (a)   49,301    2,875,727 
  HCA Healthcare, Inc.   35,872    4,472,521 
  Humana, Inc.   11,172    4,623,979 
  McKesson Corp.   28,975    4,315,247 
  Molina Healthcare, Inc. (a)   12,256    2,243,338 
  UnitedHealth Group, Inc.   27,245    8,494,174 
           36,869,331 
  Health Care Technology 0.6%          
  Cerner Corp.   18,468    1,335,052 
  Veeva Systems, Inc., Class A (a)   10,605    2,982,020 
           4,317,072 
  Hotels, Restaurants & Leisure 0.6%          
  Domino's Pizza, Inc.   10,134    4,309,787 
             
  Household Products 0.4%          
  Procter & Gamble Co.   18,440    2,562,976 
             
  Interactive Media & Services 9.2%          
  Alphabet, Inc. (a)          
  Class A   9,509    13,936,390 
  Class C   11,156    16,394,858 
  Facebook, Inc., Class A (a)   111,716    29,258,420 
  Zillow Group, Inc., Class A (a)   36,527    3,708,952 
           63,298,620 
  Internet & Direct Marketing Retail 11.0%          
  Amazon.com, Inc. (a)   17,437    54,904,405 
  Booking Holdings, Inc. (a)   3,798    6,497,163 
  eBay, Inc.   93,056    4,848,217 
  Etsy, Inc. (a)   35,886    4,364,814 
  Qurate Retail, Inc., Series A (a)   501,926    3,603,829 
  Wayfair, Inc., Class A (a)   3,429    997,873 
           75,216,301 
  IT Services 7.1%          
  Accenture PLC, Class A   9,408    2,126,114 
  DXC Technology Co.   109,194    1,949,113 
  GoDaddy, Inc., Class A (a)   54,918    4,172,120 
  Leidos Holdings, Inc.   3,904    348,042 
  Mastercard, Inc., Class A   35,841    12,120,351 
  PayPal Holdings, Inc. (a)   67,106    13,221,895 
  Twilio, Inc., Class A (a)   4,635    1,145,262 
  Visa, Inc., Class A   68,577    13,713,343 
           48,796,240 
  Leisure Products 0.5%          
  Polaris, Inc.   39,279    3,705,581 
             
  Life Sciences Tools & Services 2.3%          
  Bruker Corp.   25,470    1,012,432 
  Charles River Laboratories International, Inc. (a)   18,439    4,175,512 
  IQVIA Holdings, Inc. (a)   26,770    4,219,755 
  PPD, Inc. (a)   46,015    1,702,095 
  PRA Health Sciences, Inc. (a)   38,991    3,955,247 
  Thermo Fisher Scientific, Inc.   967    426,950 
           15,491,991 
  Media 1.1%          
  Altice U.S.A., Inc., Class A (a)   54,258    1,410,708 
  Charter Communications, Inc., Class A (a)   9,110    5,687,737 
  Interpublic Group of Cos., Inc.   7,626    127,126 
           7,225,571 
  Metals & Mining 0.3%          
  Newmont Corp.   29,842    1,893,475 
             
  Multiline Retail 1.2%          
  Dollar General Corp.   27,450    5,754,069 
  Target Corp.   14,163    2,229,539 
           7,983,608 
  Oil, Gas & Consumable Fuels 0.1%          
  Cheniere Energy, Inc. (a)   9,381    434,059 
             
  Personal Products 0.6%          
  Herbalife Nutrition, Ltd. (a)   57,477    2,681,302 
  Nu Skin Enterprises, Inc., Class A   24,516    1,228,006 
           3,909,308 
  Pharmaceuticals 1.2%          
  Eli Lilly & Co.   22,363    3,310,171 
  Merck & Co., Inc.   47,209    3,915,986 
  Zoetis, Inc.   6,491    1,073,417 
           8,299,574 
  Professional Services 0.5%          
  ManpowerGroup, Inc.   50,299    3,688,426 
             
  Road & Rail 0.2%          
  Schneider National, Inc., Class B   48,070    1,188,771 
             
  Semiconductors & Semiconductor Equipment 6.5%          
  Advanced Micro Devices, Inc. (a)   35,095    2,877,439 
  Applied Materials, Inc.   64,678    3,845,107 
  Broadcom, Inc.   25,058    9,129,130 
  KLA Corp.   15,819    3,064,773 
  NVIDIA Corp.   31,139    16,853,050 
  QUALCOMM, Inc.   77,194    9,084,190 
           44,853,689 
  Software 19.9%          
  Adobe, Inc. (a)   16,074    7,883,172 
  Alteryx, Inc., Class A (a)(b)   2,106    239,136 
  Anaplan, Inc. (a)   5,325    333,239 
  Atlassian Corp. PLC, Class A (a)   5,153    936,764 
  Autodesk, Inc. (a)   21,923    5,064,432 
  Cadence Design Systems, Inc. (a)   5,550    591,796 
  CDK Global, Inc.   50,930    2,220,039 
  Citrix Systems, Inc.   27,743    3,820,489 
  Coupa Software, Inc. (a)   2,696    739,351 
  DocuSign, Inc. (a)   7,217    1,553,387 
  Dropbox, Inc., Class A (a)   198,076    3,814,944 
  Fair Isaac Corp. (a)   5,785    2,460,823 
  Fortinet, Inc. (a)   35,989    4,239,864 
  Manhattan Associates, Inc. (a)   12,529    1,196,394 
  Microsoft Corp.   308,368    64,859,041 
  Oracle Corp.   9,100    543,270 
  Proofpoint, Inc. (a)   36,706    3,874,318 
  RingCentral, Inc., Class A (a)   3,145    863,648 
  salesforce.com, Inc. (a)   32,616    8,197,053 
  ServiceNow, Inc. (a)   15,400    7,469,000 
  SS&C Technologies Holdings, Inc.   20,076    1,215,000 
  Synopsys, Inc. (a)   14,707    3,147,004 
  Workday, Inc., Class A (a)   23,590    5,074,917 
  Zendesk, Inc. (a)   4,651    478,681 
  Zoom Video Communications, Inc., Class A (a)   11,546    5,427,890 
           136,243,652 
  Specialty Retail 3.5%          
  AutoNation, Inc. (a)   62,532    3,309,819 
  Best Buy Co., Inc.   35,382    3,937,663 
  Home Depot, Inc.   13,432    3,730,201 
  Lowe's Cos., Inc.   53,011    8,792,404 
  Tractor Supply Co.   30,250    4,336,035 
           24,106,122 
  Technology Hardware, Storage & Peripherals 10.4%          
  Apple, Inc.   613,906    71,096,454 
             
  Textiles, Apparel & Luxury Goods 0.4%          
  NIKE, Inc., Class B   20,857    2,618,388 
  Total Common Stocks
(Cost $483,518,520)
        676,212,440 
             
  Exchange-Traded Fund 1.3%          
  iShares Russell 1000 Growth ETF   40,566    8,798,360 
  Total Exchange-Traded Fund
(Cost $8,605,356)
        8,798,360 
             
  Short-Term Investments 0.1%          
  Affiliated Investment Company 0.1%           
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   772,102    772,102 
             
  Unaffiliated Investment Company 0.0% ‡          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (c)(d)   227,617    227,617 
  Total Short-Term Investments
(Cost $999,719)
        999,719 
  Total Investments
(Cost $493,123,595)
   100.2%   686,010,519 
  Other Assets, Less Liabilities   (0.2)   (1,522,564)
  Net Assets   100.0%  $684,487,955 

 

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 September 30, 2020, the aggregate market value of securities on loan was $236,670; the total market value of collateral held by the Portfolio was $242,245. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $14,628.
(c)Current yield as of September 30, 2020.
(d)Represents a security purchased with cash collateral received for securities on loan.

   

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 September 30, 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  $676,212,440   $   $   $676,212,440 
Exchange-Traded Fund   8,798,360            8,798,360 
Short-Term Investments                    
Affiliated Investment Company   772,102            772,102 
Unaffiliated Investment Company   227,617            227,617 
Total Short-Term Investments   999,719            999,719 
Total Investments in Securities  $686,010,519   $   $   $686,010,519 

 

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

 

 

 

 

MainStay VP MacKay High Yield Corporate Bond Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)

 

      Principal
Amount
    Value  
  Long-Term Bonds 95.3% †                
  Convertible Bonds 0.7%                
  Investment Company 0.1%                
  Ares Capital Corp.
4.625%, due 3/1/24
  $ 4,365,000     $ 4,547,894  
                   
  Media 0.3%                
  DISH Network Corp.                
  2.375%, due 3/15/24     3,050,000       2,756,284  
  3.375%, due 8/15/26     5,220,000       4,804,992  
                7,561,276  
  Oil & Gas Services 0.3%                
  Forum Energy Technologies, Inc.
9.00% (6.25% Cash and 2.75% PIK), due 8/4/25 (a)
    13,290,000       8,472,375  
                   
  Total Convertible Bonds
(Cost $24,432,517)
            20,581,545  
                   
  Corporate Bonds 92.2%                
  Advertising 1.5%                
  Lamar Media Corp.                
  3.75%, due 2/15/28 (b)     6,320,000       6,288,400  
  4.00%, due 2/15/30 (b)     6,400,000       6,400,000  
  4.875%, due 1/15/29 (b)     2,195,000       2,282,800  
  5.75%, due 2/1/26     8,465,000       8,740,112  
  Outfront Media Capital LLC / Outfront Media Capital Corp.                
  5.00%, due 8/15/27 (b)     7,660,000       7,468,500  
  5.625%, due 2/15/24     12,030,000       12,180,375  
                43,360,187  
  Aerospace & Defense 1.6%                
  F-Brasile S.p.A. / F-Brasile U.S. LLC
7.375%, due 8/15/26 (b)
    5,587,000       4,721,015  
  TransDigm UK Holdings PLC
6.875%, due 5/15/26
    7,637,000       7,674,421  
  TransDigm, Inc.                
  6.25%, due 3/15/26 (b)     22,850,000       23,862,141  
  6.50%, due 7/15/24     3,050,000       3,042,375  
  7.50%, due 3/15/27     2,500,000       2,595,775  
  8.00%, due 12/15/25 (b)     2,000,000       2,175,000  
  Triumph Group, Inc.
8.875%, due 6/1/24 (b)
    2,000,000       2,130,000  
                46,200,727  
  Airlines 0.8%                
  Delta Air Lines, Inc.                
  7.00%, due 5/1/25 (b)     1,220,000       1,339,590  
  7.375%, due 1/15/26     2,160,000       2,264,422  
  Delta Air Lines, Inc. / SkyMiles IP, Ltd. (b)                
  4.50%, due 10/20/25     4,095,000       4,204,961  
  4.75%, due 10/20/28     5,450,000       5,658,621  
  Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets, Ltd.
6.50%, due 6/20/27 (b)
    6,405,000       6,669,206  
  Spirit Loyalty Cayman, Ltd. / Spirit I.P. Cayman, Ltd.
8.00%, due 9/20/25 (b)
    2,500,000       2,648,800  
                22,785,600  
  Auto Manufacturers 2.1%                
  BCD Acquisition, Inc.
9.625%, due 9/15/23 (b)
    6,410,000       6,377,950  
  Ford Holdings LLC
9.30%, due 3/1/30
    8,454,000       9,975,720  
  Ford Motor Co.                
  5.291%, due 12/8/46     1,000,000       938,125  
  7.45%, due 7/16/31     5,200,000       5,999,500  
  9.625%, due 4/22/30     1,500,000       1,936,875  
  Ford Motor Credit Co. LLC                
  3.339%, due 3/28/22     2,561,000       2,551,012  
  4.125%, due 8/17/27     1,000,000       972,500  
  4.271%, due 1/9/27     1,647,000       1,615,872  
  4.389%, due 1/8/26     750,000       741,443  
  5.125%, due 6/16/25     3,500,000       3,609,375  
  General Motors Co.
6.80%, due 10/1/27
    3,000,000       3,653,827  
  J.B. Poindexter & Company, Inc.
7.125%, due 4/15/26 (b)
    8,055,000       8,541,361  
  McLaren Finance PLC
5.75%, due 8/1/22 (b)
    8,170,000       7,373,425  
  PM General Purchaser LLC
9.50%, due 10/1/28 (b)
    3,500,000       3,630,200  
  Wabash National Corp.
5.50%, due 10/1/25 (b)
    4,867,000       4,867,000  
                62,784,185  
  Auto Parts & Equipment 2.4%                
  Adient Global Holdings, Ltd.
4.875%, due 8/15/26 (b)
    6,300,000       6,000,750  
  Adient U.S. LLC
7.00%, due 5/15/26 (b)
    4,000,000       4,283,940  
  American Axle & Manufacturing, Inc.
6.25%, due 4/1/25 (c)
    4,000,000       3,950,000  
  Exide International Holdings, L.P.
10.75% (6.25% Cash and 4.50% PIK), due 10/31/21 (a)(b)(d)(e)(f)(g)(h)
    9,857,254       8,664,526  
  Exide Technologies (a)(b)(d)(e)(f)(g)(h)                
  11.00% (3.00% Cash and 8.00% PIK), due 10/31/24     24,651,983       4,314,097  
  11.00% (3.00% Cash and 8.00% PIK), due 10/31/24     10,241,653       0  
  IHO Verwaltungs GmbH (a)(b)                
  4.75% (4.75% Cash or 5.50% PIK), due 9/15/26     6,643,000       6,726,037  
  6.00% (6.00% Cash or 6.75% PIK), due 5/15/27     9,191,000       9,696,505  
  6.375% (6.375% Cash or 7.125% PIK), due 5/15/29     10,105,000       10,761,825  
  Lithia Motors, Inc.
4.375%, due 1/15/31
    2,720,000       2,720,000  
  Meritor, Inc.                
  6.25%, due 2/15/24     1,300,000       1,326,000  
  6.25%, due 6/1/25 (b)     1,000,000       1,045,000  
  Nexteer Automotive Group, Ltd.
5.875%, due 11/15/21 (b)
    6,640,000       6,652,024  
  Tenneco, Inc.
5.00%, due 7/15/26
    6,982,000       5,166,680  
                71,307,384  
  Building Materials 1.1%                
  BMC East LLC
5.50%, due 10/1/24 (b)
    705,000       724,388  
  James Hardie International Finance DAC (b)                
  4.75%, due 1/15/25     3,300,000       3,370,125  
  5.00%, due 1/15/28     8,011,000       8,351,467  
  Patrick Industries, Inc.
7.50%, due 10/15/27 (b)
    5,210,000       5,652,850  
  Summit Materials LLC / Summit Materials Finance Corp. (b)                
  5.125%, due 6/1/25     3,270,000       3,314,963  
  5.25%, due 1/15/29     3,930,000       4,092,112  
  6.50%, due 3/15/27     5,135,000       5,468,775  
                30,974,680  
  Chemicals 2.0%                
  Avient Corp.                
  5.25%, due 3/15/23     8,636,000       9,165,128  
  5.75%, due 5/15/25 (b)     2,000,000       2,120,000  
  Blue Cube Spinco LLC                
  9.75%, due 10/15/23     6,343,000       6,541,219  
  10.00%, due 10/15/25     6,000,000       6,345,000  
  Innophos Holdings, Inc.
9.375%, due 2/15/28 (b)
    5,500,000       5,850,625  
  Neon Holdings, Inc.
10.125%, due 4/1/26 (b)
    5,400,000       5,697,000  
  NOVA Chemicals Corp. (b)                
  4.875%, due 6/1/24     2,635,000       2,616,094  
  5.25%, due 6/1/27     1,000,000       941,250  
  Olin Corp.                
  5.625%, due 8/1/29     2,219,000       2,180,145  
  9.50%, due 6/1/25 (b)     2,000,000       2,331,200  
  TPC Group, Inc.
10.50%, due 8/1/24 (b)
    15,103,000       12,686,520  
  Valvoline, Inc.
4.375%, due 8/15/25
    2,000,000       2,057,500  
                58,531,681  
  Coal 0.1%                
  Natural Resource Partners LP / NRP Finance Corp.
9.125%, due 6/30/25 (b)
    3,465,000       3,042,409  
                   
  Commercial Services 4.0%                
  Allied Universal Holdco LLC / Allied Universal Finance Corp. (b)                
  6.625%, due 7/15/26     3,000,000       3,195,000  
  9.75%, due 7/15/27     4,115,000       4,471,030  
  AMN Healthcare, Inc.
4.625%, due 10/1/27 (b)
    2,100,000       2,152,500  
  Ashtead Capital, Inc. (b)                
  4.00%, due 5/1/28     4,595,000       4,767,312  
  4.25%, due 11/1/29     5,300,000       5,577,937  
  4.375%, due 8/15/27     2,008,000       2,088,320  
  5.25%, due 8/1/26     2,500,000       2,634,375  
  Booz Allen Hamilton, Inc.
3.875%, due 9/1/28 (b)
    1,020,000       1,047,081  
  Cimpress PLC
7.00%, due 6/15/26 (b)
    8,542,000       8,114,900  
  Gartner, Inc.
3.75%, due 10/1/30 (b)
    4,200,000       4,248,510  
  Graham Holdings Co.
5.75%, due 6/1/26 (b)
    11,107,000       11,690,117  
  IHS Markit, Ltd. (b)                
  4.75%, due 2/15/25     3,950,000       4,475,192  
  5.00%, due 11/1/22     18,089,000       19,413,539  
  Jaguar Holding Co. II / Pharmaceutical Product Development LLC
5.00%, due 6/15/28 (b)
    1,030,000       1,075,063  
  Korn Ferry
4.625%, due 12/15/27 (b)
    4,000,000       4,040,000  
  Nielsen Co. Luxembourg S.A.R.L.
5.50%, due 10/1/21 (b)
    911,000       911,000  
  Nielsen Finance LLC / Nielsen Finance Co. (b)                
  5.00%, due 4/15/22     16,824,000       16,866,060  
  5.875%, due 10/1/30     1,800,000       1,863,000  
  Ritchie Bros. Auctioneers, Inc.
5.375%, due 1/15/25 (b)
    2,800,000       2,884,000  
  Service Corp. International
3.375%, due 8/15/30
    4,480,000       4,485,600  
  United Rentals North America, Inc.                
  3.875%, due 11/15/27     4,495,000       4,629,850  
  3.875%, due 2/15/31     3,500,000       3,552,500  
  4.875%, due 1/15/28     1,000,000       1,050,000  
  5.50%, due 5/15/27     1,000,000       1,061,250  
                116,294,136  
  Cosmetics & Personal Care 0.4%                
  Edgewell Personal Care Co.                
  4.70%, due 5/24/22     7,320,000       7,548,750  
  5.50%, due 6/1/28 (b)     4,000,000       4,208,920  
                11,757,670  
  Distribution & Wholesale 0.3%                
  G III Apparel Group, Ltd.
7.875%, due 8/15/25 (b)
    4,700,000       4,723,500  
  Performance Food Group, Inc.
5.50%, due 10/15/27 (b)
    2,500,000       2,575,000  
  Resideo Funding, Inc.
6.125%, due 11/1/26 (b)
    3,000,000       2,955,000  
                10,253,500  
  Diversified Financial Services 1.6%                
  Credit Acceptance Corp.                
  5.125%, due 12/31/24 (b)     2,605,000       2,586,843  
  6.625%, due 3/15/26     8,090,000       8,352,925  
  Genworth Mortgage Holdings, Inc.
6.50%, due 8/15/25 (b)
    4,485,000       4,685,480  
  Jefferies Finance LLC / JFIN Co-Issuer Corp. (b)                
  6.25%, due 6/3/26     5,000,000       5,075,000  
  7.25%, due 8/15/24     3,955,000       4,098,369  
  LPL Holdings, Inc. (b)                
  4.625%, due 11/15/27     1,535,000       1,550,350  
  5.75%, due 9/15/25     9,320,000       9,657,244  
  Oxford Finance LLC / Oxford Finance Co-Issuer II, Inc.
6.375%, due 12/15/22 (b)
    5,480,000       5,343,000  
  PRA Group, Inc.
7.375%, due 9/1/25 (b)
    3,500,000       3,650,080  
  StoneX Group, Inc.
8.625%, due 6/15/25 (b)
    1,298,000       1,401,840  
                46,401,131  
  Electric 1.4%                
  AES Corp.
5.50%, due 4/15/25
    2,000,000       2,062,140  
  Clearway Energy Operating LLC
4.75%, due 3/15/28 (b)
    2,000,000       2,065,000  
  DPL, Inc.
4.125%, due 7/1/25 (b)
    5,815,000       6,085,107  
  Keystone Power Pass-Through Holders LLC / Conemaugh Power Pass-Through Holders
13.00% (13.00% PIK), due 6/1/24 (a)(b)(h)
    3,040,811       2,736,730  
  NextEra Energy Operating Partners, L.P.
3.875%, due 10/15/26 (b)
    4,500,000       4,646,250  
  NRG Energy, Inc.
6.625%, due 1/15/27
    7,000,000       7,402,500  
  Pattern Energy Operations L.P. / Pattern Energy Operations, Inc.
4.50%, due 8/15/28 (b)
    3,705,000       3,843,937  
  PG&E Corp.                
  5.00%, due 7/1/28     5,550,000       5,383,500  
  5.25%, due 7/1/30     3,000,000       2,902,500  
  Vistra Operations Co. LLC
5.00%, due 7/31/27 (b)
    3,300,000       3,458,400  
                40,586,064  
  Electrical Components & Equipment 0.6%                
  Energizer Holdings, Inc.
6.375%, due 7/15/26 (b)
    2,935,000       3,155,712  
  WESCO Distribution, Inc.                
  5.375%, due 12/15/21     5,660,000       5,660,000  
  7.125%, due 6/15/25 (b)     4,535,000       4,939,975  
  7.25%, due 6/15/28 (b)     3,235,000       3,544,509  
                17,300,196  
  Electronics 0.2%                
  Itron, Inc.
5.00%, due 1/15/26 (b)
    6,365,000       6,524,125  
                   
  Energy - Alternate Sources 0.1%                
  Terraform Power Operating LLC
4.75%, due 1/15/30 (b)
    3,000,000       3,172,500  
                   
  Engineering & Construction 0.3%                
  PowerTeam Services LLC
9.033%, due 12/4/25 (b)
    3,000,000       3,161,250  
  Weekley Homes LLC / Weekley Finance Corp.
4.875%, due 9/15/28 (b)
    4,500,000       4,545,000  
                7,706,250  
  Entertainment 2.2%                
  Allen Media LLC / Allen Media Co-Issuer, Inc.
10.50%, due 2/15/28 (b)
    5,000,000       4,825,000  
  Boyne USA, Inc.
7.25%, due 5/1/25 (b)
    3,250,000       3,412,500  
  Churchill Downs, Inc. (b)                
  4.75%, due 1/15/28     6,067,000       6,097,335  
  5.50%, due 4/1/27     8,051,000       8,403,634  
  International Game Technology PLC
6.25%, due 1/15/27 (b)
    6,725,000       7,212,563  
  Jacobs Entertainment, Inc.
7.875%, due 2/1/24 (b)
    2,193,000       2,139,995  
  Live Nation Entertainment, Inc. (b)                
  4.75%, due 10/15/27     2,500,000       2,341,400  
  4.875%, due 11/1/24     570,000       551,475  
  6.50%, due 5/15/27     6,435,000       6,944,909  
  Merlin Entertainments PLC
5.75%, due 6/15/26 (b)
    10,940,000       10,420,350  
  Powdr Corp.
6.00%, due 8/1/25 (b)
    1,860,000       1,901,850  
  Twin River Worldwide Holdings, Inc.
6.75%, due 6/1/27 (b)
    7,710,000       7,670,486  
  Vail Resorts, Inc.
6.25%, due 5/15/25 (b)
    2,000,000       2,122,500  
                64,043,997  
  Food 2.1%                
  B&G Foods, Inc.
5.25%, due 4/1/25
    4,142,000       4,255,905  
  Kraft Heinz Foods Co.                
  3.875%, due 5/15/27 (b)     4,625,000       4,898,849  
  3.95%, due 7/15/25     1,879,000       2,038,806  
  4.25%, due 3/1/31 (b)     3,500,000       3,840,028  
  6.50%, due 2/9/40     7,715,000       9,805,133  
  6.875%, due 1/26/39     7,588,000       10,163,809  
  Land O'Lakes Capital Trust I
7.45%, due 3/15/28 (b)
    5,130,000       5,822,550  
  Land O'Lakes, Inc.
6.00%, due 11/15/22 (b)
    7,880,000       8,328,604  
  Post Holdings, Inc.
4.625%, due 4/15/30 (b)
    2,500,000       2,571,875  
  Treehouse Foods, Inc.
4.00%, due 9/1/28
    2,150,000       2,174,467  
  TreeHouse Foods, Inc.
6.00%, due 2/15/24 (b)
    9,045,000       9,271,125  
                63,171,151  
  Food Services 0.2%                
  Aramark Services, Inc.
6.375%, due 5/1/25 (b)
    4,500,000       4,687,538  
                   
  Forest Products & Paper 1.2%                
  Mercer International, Inc.                
  5.50%, due 1/15/26     1,000,000       960,000  
  6.50%, due 2/1/24     6,605,000       6,621,512  
  7.375%, due 1/15/25     5,600,000       5,670,000  
  Schweitzer-Mauduit International, Inc.
6.875%, due 10/1/26 (b)
    3,000,000       3,165,000  
  Smurfit Kappa Treasury Funding DAC
7.50%, due 11/20/25
    15,843,000       19,090,815  
                35,507,327  
  Gas 0.7%                
  AmeriGas Partners, L.P. / AmeriGas Finance Corp.                
  5.625%, due 5/20/24     5,030,000       5,321,187  
  5.75%, due 5/20/27     2,485,000       2,721,075  
  5.875%, due 8/20/26     6,885,000       7,568,198  
  Rockpoint Gas Storage Canada, Ltd.
7.00%, due 3/31/23 (b)
    5,100,000       4,730,250  
                20,340,710  
  Hand & Machine Tools 0.4%                
  Colfax Corp. (b)                
  6.00%, due 2/15/24     3,240,000       3,357,450  
  6.375%, due 2/15/26     4,071,000       4,315,260  
  Werner FinCo, L.P. / Werner FinCo, Inc.
8.75%, due 7/15/25 (b)
    4,250,000       4,058,750  
                11,731,460  
  Health Care - Products 1.0%                
  Hologic, Inc. (b)                
  3.25%, due 2/15/29     7,000,000       7,043,750  
  4.375%, due 10/15/25     4,080,000       4,171,800  
  4.625%, due 2/1/28     3,000,000       3,151,140  
  Teleflex, Inc.                
  4.25%, due 6/1/28 (b)     6,805,000       7,043,175  
  4.625%, due 11/15/27     3,500,000       3,683,750  
  Varex Imaging Corp.
7.875%, due 10/15/27 (b)
    4,750,000       4,916,250  
                30,009,865  
  Health Care - Services 5.6%                
  Acadia Healthcare Co., Inc.                
  5.00%, due 4/15/29 (b)     1,750,000       1,774,063  
  5.50%, due 7/1/28 (b)     1,500,000       1,542,769  
  5.625%, due 2/15/23     6,732,000       6,774,075  
  6.50%, due 3/1/24     2,000,000       2,052,500  
  AHP Health Partners, Inc.
9.75%, due 7/15/26 (b)
    5,890,000       6,317,025  
  Catalent Pharma Solutions, Inc. (b)                
  4.875%, due 1/15/26     4,890,000       4,987,800  
  5.00%, due 7/15/27     220,000       228,800  
  Centene Corp.                
  3.00%, due 10/15/30     4,000,000       4,080,800  
  4.25%, due 12/15/27     1,810,000       1,894,038  
  4.625%, due 12/15/29     5,370,000       5,792,404  
  4.75%, due 1/15/25     4,605,000       4,733,019  
  5.25%, due 4/1/25 (b)     4,455,000       4,629,859  
  5.375%, due 6/1/26 (b)     3,245,000       3,419,419  
  5.375%, due 8/15/26 (b)     2,380,000       2,520,836  
  Charles River Laboratories International, Inc.
5.50%, due 4/1/26 (b)
    5,525,000       5,815,062  
  DaVita, Inc. (b)                
  3.75%, due 2/15/31     4,600,000       4,432,330  
  4.625%, due 6/1/30     1,600,000       1,638,880  
  Encompass Health Corp.                
  4.50%, due 2/1/28     5,000,000       5,025,000  
  4.625%, due 4/1/31     1,875,000       1,875,000  
  4.75%, due 2/1/30     7,100,000       7,203,234  
  5.75%, due 11/1/24     4,072,000       4,078,108  
  HCA, Inc.                
  3.50%, due 9/1/30     7,300,000       7,437,824  
  5.25%, due 4/15/25     4,220,000       4,872,619  
  5.375%, due 2/1/25     7,420,000       8,124,900  
  5.625%, due 9/1/28     2,090,000       2,390,856  
  5.875%, due 5/1/23     4,800,000       5,225,016  
  5.875%, due 2/15/26     9,015,000       10,096,800  
  7.50%, due 11/6/33     6,000,000       7,980,000  
  7.58%, due 9/15/25     2,007,000       2,393,348  
  7.69%, due 6/15/25     9,195,000       10,804,125  
  8.36%, due 4/15/24     1,955,000       2,302,013  
  IQVIA, Inc.
5.00%, due 10/15/26 (b)
    9,792,000       10,232,640  
  RegionalCare Hospital Partners Holdings, Inc. / LifePoint Health, Inc.
9.75%, due 12/1/26 (b)
    10,055,000       10,683,437  
  Select Medical Corp.
6.25%, due 8/15/26 (b)
    2,550,000       2,652,000  
                166,010,599  
  Holding Company - Diversified 0.3%                
  Stena International S.A.
6.125%, due 2/1/25 (b)
    9,470,000       9,103,037  
                   
  Home Builders 2.7%                
  Adams Homes, Inc.
7.50%, due 2/15/25 (b)
    3,925,000       3,964,250  
  Ashton Woods USA LLC / Ashton Woods Finance Co. (b)                
  6.625%, due 1/15/28     2,000,000       2,010,000  
  6.75%, due 8/1/25     2,237,000       2,270,555  
  9.875%, due 4/1/27     3,230,000       3,553,000  
  Brookfield Residential Properties, Inc. / Brookfield Residential U.S. Corp. (b)                
  6.25%, due 9/15/27     4,855,000       4,895,903  
  6.375%, due 5/15/25     3,520,000       3,520,000  
  Century Communities, Inc.                
  5.875%, due 7/15/25     3,100,000       3,222,450  
  6.75%, due 6/1/27     6,775,000       7,147,625  
  Installed Building Products, Inc.
5.75%, due 2/1/28 (b)
    4,230,000       4,452,075  
  M/I Homes, Inc.                
  4.95%, due 2/1/28     3,000,000       3,090,000  
  5.625%, due 8/1/25     515,000       533,025  
  New Home Co., Inc.
7.25%, due 4/1/22
    5,400,000       5,359,500  
  Picasso Finance Sub, Inc.
6.125%, due 6/15/25 (b)
    3,005,000       3,236,806  
  PulteGroup, Inc.
7.875%, due 6/15/32
    3,595,000       4,943,125  
  Shea Homes, L.P. / Shea Homes Funding Corp. (b)                
  4.75%, due 2/15/28     6,000,000       6,012,600  
  4.75%, due 4/1/29     2,200,000       2,191,750  
  6.125%, due 4/1/25     10,705,000       11,042,208  
  STL Holding Co., LLC
7.50%, due 2/15/26 (b)
    2,700,000       2,710,125  
  Williams Scotsman International, Inc.
4.625%, due 8/15/28 (b)
    2,000,000       2,008,080  
  Winnebago Industries, Inc.
6.25%, due 7/15/28 (b)
    3,300,000       3,481,500  
                79,644,577  
  Household Products & Wares 0.8%                
  Prestige Brands, Inc. (b)                
  5.125%, due 1/15/28     4,245,000       4,382,962  
  6.375%, due 3/1/24     12,915,000       13,237,875  
  Spectrum Brands, Inc.                
  5.50%, due 7/15/30 (b)     2,500,000       2,637,500  
  5.75%, due 7/15/25     3,840,000       3,959,040  
                24,217,377  
  Housewares 0.1%                
  CD&R Smokey Buyer, Inc.
6.75%, due 7/15/25 (b)
    1,540,000       1,624,700  
                   
  Insurance 1.0%                
  American Equity Investment Life Holding Co.
5.00%, due 6/15/27
    8,145,000       8,838,268  
  Fairfax Financial Holdings, Ltd.
8.30%, due 4/15/26
    4,273,000       5,351,027  
  Fidelity & Guaranty Life Holdings, Inc.
5.50%, due 5/1/25 (b)
    2,500,000       2,803,125  
  MGIC Investment Corp.
5.25%, due 8/15/28
    3,400,000       3,506,845  
  NMI Holdings, Inc.
7.375%, due 6/1/25 (b)
    2,000,000       2,137,500  
  USI, Inc.
6.875%, due 5/1/25 (b)
    5,890,000       5,963,625  
                28,600,390  
  Internet 2.6%                
  Cogent Communications Group, Inc.
5.375%, due 3/1/22 (b)
    2,870,000       2,927,400  
  Expedia Group, Inc. (b)                
  4.625%, due 8/1/27     1,500,000       1,576,163  
  6.25%, due 5/1/25     2,000,000       2,205,818  
  7.00%, due 5/1/25     3,385,000       3,661,105  
  Netflix, Inc.                
  4.875%, due 4/15/28     1,692,000       1,890,810  
  4.875%, due 6/15/30 (b)     3,000,000       3,420,000  
  5.375%, due 11/15/29 (b)     2,500,000       2,946,625  
  5.50%, due 2/15/22     7,455,000       7,809,113  
  5.75%, due 3/1/24     10,899,000       12,016,147  
  5.875%, due 2/15/25     3,320,000       3,743,234  
  5.875%, due 11/15/28     8,800,000       10,500,204  
  Uber Technologies, Inc. (b)                
  7.50%, due 5/15/25     2,000,000       2,131,180  
  7.50%, due 9/15/27     5,565,000       5,954,550  
  VeriSign, Inc.                
  4.75%, due 7/15/27     6,000,000       6,360,000  
  5.25%, due 4/1/25     9,025,000       9,972,625  
                77,114,974  
  Investment Companies 1.4%                
  Compass Group Diversified Holdings LLC
8.00%, due 5/1/26 (b)
    6,090,000       6,394,500  
  FS Energy & Power Fund
7.50%, due 8/15/23 (b)
    18,275,000       16,630,250  
  Icahn Enterprises, L.P. / Icahn Enterprises Finance Corp.                
  4.75%, due 9/15/24     3,570,000       3,614,625  
  5.25%, due 5/15/27     7,615,000       7,933,307  
  6.25%, due 5/15/26     7,290,000       7,599,825  
                42,172,507  
  Iron & Steel 0.9%                
  Allegheny Ludlum LLC
6.95%, due 12/15/25
    7,400,000       7,344,500  
  Allegheny Technologies, Inc.
7.875%, due 8/15/23
    1,423,000       1,455,174  
  Big River Steel LLC / BRS Finance Corp.
6.625%, due 1/31/29 (b)
    8,500,000       8,594,775  
  Mineral Resources, Ltd.
8.125%, due 5/1/27 (b)
    9,495,000       10,304,069  
                27,698,518  
  Leisure Time 1.9%                
  Carlson Travel, Inc. (b)                
  6.75%, due 12/15/25     21,868,000       16,510,340  
  8.50%, due 3/31/25     3,764,150       3,782,971  
  11.50% (9.50% Cash and 2.00% PIK), due 12/15/26 (a)     12,943,000       7,796,993  
  Carnival Corp. (b)                
  9.875%, due 8/1/27     5,000,000       5,297,950  
  10.50%, due 2/1/26     6,090,000       6,744,675  
  Silversea Cruise Finance, Ltd.
7.25%, due 2/1/25 (b)
    8,735,000       8,844,187  
  Vista Outdoor, Inc.
5.875%, due 10/1/23
    7,369,000       7,387,422  
                56,364,538  
  Lodging 2.0%                
  Boyd Gaming Corp.                
  4.75%, due 12/1/27     5,430,000       5,328,187  
  6.00%, due 8/15/26     9,995,000       10,307,344  
  6.375%, due 4/1/26     2,335,000       2,431,179  
  Hilton Domestic Operating Co., Inc.                
  4.875%, due 1/15/30     7,000,000       7,210,000  
  5.125%, due 5/1/26     11,615,000       11,954,971  
  5.75%, due 5/1/28 (b)     2,100,000       2,212,875  
  Hyatt Hotels Corp.
5.75%, due 4/23/30
    2,315,000       2,658,228  
  Marriott International, Inc.                
  3.50%, due 10/15/32     4,000,000       3,969,465  
  4.625%, due 6/15/30     2,000,000       2,141,894  
  5.75%, due 5/1/25     7,050,000       7,867,943  
  Marriott Ownership Resorts, Inc. / ILG LLC
6.50%, due 9/15/26
    3,001,000       3,081,187  
  MGM Resorts International
5.75%, due 6/15/25
    1,000,000       1,048,800  
                60,212,073  
  Machinery - Construction & Mining 0.1%                
  BWX Technologies, Inc.
4.125%, due 6/30/28 (b)
    2,000,000       2,045,000  
                   
  Machinery - Diversified 0.5%                
  Briggs & Stratton Corp.
6.875%, due 12/15/20 (f)(g)
    5,030,000       251,500  
  Stevens Holding Co., Inc.
6.125%, due 10/1/26 (b)
    3,734,000       3,995,380  
  Tennant Co.
5.625%, due 5/1/25
    6,770,000       7,025,906  
  Vertical Holdco GmbH Co.
7.625%, due 7/15/28 (b)
    1,570,000       1,659,294  
  Vertical U.S. Newco, Inc.
5.25%, due 7/15/27 (b)
    2,820,000       2,930,727  
                15,862,807  
  Media 6.6%                
  Block Communications, Inc.
4.875%, due 3/1/28 (b)
    3,775,000       3,850,500  
  CCO Holdings LLC / CCO Holdings Capital Corp. (b)                
  4.25%, due 2/1/31     5,000,000       5,182,311  
  4.50%, due 8/15/30     13,555,000       14,233,360  
  4.50%, due 5/1/32     8,180,000       8,537,875  
  4.75%, due 3/1/30     7,715,000       8,168,256  
  5.00%, due 2/1/28     8,550,000       8,977,500  
  5.125%, due 5/1/27     12,000,000       12,626,640  
  5.375%, due 5/1/25     1,961,000       2,017,379  
  5.375%, due 6/1/29     4,780,000       5,180,325  
  5.75%, due 2/15/26     5,090,000       5,293,600  
  5.875%, due 5/1/27     2,850,000       2,992,215  
  CSC Holdings LLC (b)                
  5.75%, due 1/15/30     9,020,000       9,583,750  
  6.50%, due 2/1/29     2,660,000       2,949,275  
  Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (b)
    3,500,000       1,822,187  
  DISH DBS Corp.                
  5.875%, due 7/15/22     7,655,000       7,961,200  
  6.75%, due 6/1/21     5,500,000       5,637,500  
  7.75%, due 7/1/26     10,255,000       11,273,937  
  LCPR Senior Secured Financing DAC
6.75%, due 10/15/27 (b)
    15,606,000       16,308,270  
  Meredith Corp.
6.875%, due 2/1/26
    17,060,000       14,245,100  
  Quebecor Media, Inc.
5.75%, due 1/15/23
    14,647,000       15,708,907  
  Sterling Entertainment Enterprises LLC
10.25%, due 1/15/25 (d)(e)(h)(i)
    7,000,000       7,413,700  
  Videotron, Ltd.                
  5.00%, due 7/15/22     3,365,000       3,512,219  
  5.125%, due 4/15/27 (b)     5,890,000       6,196,280  
  5.375%, due 6/15/24 (b)     11,450,000       12,480,500  
  Virgin Media Finance PLC
5.00%, due 7/15/30 (b)
    2,100,000       2,089,500  
                194,242,286  
  Metal Fabricate & Hardware 1.0%                
  Advanced Drainage Systems, Inc.
5.00%, due 9/30/27 (b)
    1,740,000       1,818,300  
  Grinding Media, Inc. / Moly-Cop AltaSteel, Ltd.
7.375%, due 12/15/23 (b)
    20,535,000       20,791,687  
  Optimas OE Solutions Holding LLC / Optimas OE Solutions, Inc.
8.625%, due 6/1/21 (b)
    3,250,000       1,950,000  
  Park-Ohio Industries, Inc.
6.625%, due 4/15/27
    5,325,000       4,899,000  
                29,458,987  
  Mining 2.5%                
  Alcoa Nederland Holding B.V. (b)                
  6.75%, due 9/30/24     2,765,000       2,851,406  
  7.00%, due 9/30/26     5,745,000       6,017,888  
  Arconic Corp.
6.00%, due 5/15/25 (b)
    2,200,000       2,349,435  
  Century Aluminum Co.
12.00%, due 7/1/25 (b)
    3,540,000       3,743,550  
  Compass Minerals International, Inc. (b)                
  4.875%, due 7/15/24     2,250,000       2,295,473  
  6.75%, due 12/1/27     7,990,000       8,629,200  
  Constellium S.E.
6.625%, due 3/1/25 (b)
    1,650,000       1,688,156  
  First Quantum Minerals, Ltd. (b)                
  6.875%, due 10/15/27     1,800,000       1,734,750  
  7.25%, due 4/1/23     7,480,000       7,470,650  
  IAMGOLD Corp.
5.75%, due 10/15/28 (b)
    7,000,000       6,807,500  
  Joseph T. Ryerson & Son, Inc
8.50%, due 8/1/28 (b)
    3,200,000       3,368,000  
  Novelis Corp. (b)                
  4.75%, due 1/30/30     4,595,000       4,513,301  
  5.875%, due 9/30/26     20,805,000       21,377,137  
                72,846,446  
  Miscellaneous - Manufacturing 1.0%                
  Amsted Industries, Inc. (b)                
  4.625%, due 5/15/30     2,615,000       2,699,988  
  5.625%, due 7/1/27     7,240,000       7,702,057  
  EnPro Industries, Inc.
5.75%, due 10/15/26
    4,240,000       4,473,200  
  FXI Holdings, Inc. (b)                
  7.875%, due 11/1/24     1,720,000       1,634,000  
  12.25%, due 11/15/26     4,206,000       4,489,905  
  Hillenbrand, Inc.
5.75%, due 6/15/25
    2,000,000       2,132,500  
  Koppers, Inc.
6.00%, due 2/15/25 (b)
    6,270,000       6,356,212  
                29,487,862  
  Oil & Gas 7.0%                
  Apache Corp.                
  4.625%, due 11/15/25     1,500,000       1,429,688  
  4.875%, due 11/15/27     3,130,000       2,957,850  
  Ascent Resources Utica Holdings LLC / ARU Finance Corp. (b)                
  7.00%, due 11/1/26     3,900,000       2,983,500  
  10.00%, due 4/1/22     4,206,000       4,142,910  
  California Resources Corp.
8.00%, due 12/15/22 (b)(f)(g)
    16,905,000       338,100  
  Callon Petroleum Co.
6.125%, due 10/1/24
    8,080,000       2,302,800  
  CNX Resources Corp.
5.875%, due 4/15/22
    953,000       953,000  
  Comstock Resources, Inc.                
  9.75%, due 8/15/26     1,110,000       1,137,972  
  9.75%, due 8/15/26     17,700,000       18,207,990  
  Continental Resources, Inc.                
  4.50%, due 4/15/23     3,250,000       3,097,250  
  5.00%, due 9/15/22     2,000,000       1,985,160  
  CVR Energy, Inc.
5.25%, due 2/15/25 (b)
    1,590,000       1,383,300  
  Endeavor Energy Resources, L.P. / EER Finance, Inc.
6.625%, due 7/15/25 (b)
    1,805,000       1,854,638  
  Energy Ventures Gom LLC / EnVen Finance Corp.
11.00%, due 2/15/23 (b)
    5,648,000       4,236,000  
  EQT Corp.
7.875%, due 2/1/25
    4,500,000       4,988,025  
  Gulfport Energy Corp.                
  6.00%, due 10/15/24     15,745,000       9,761,900  
  6.375%, due 5/15/25     8,500,000       5,185,000  
  6.375%, due 1/15/26     5,051,000       3,106,365  
  Indigo Natural Resources LLC
6.875%, due 2/15/26 (b)
    4,505,000       4,384,626  
  Marathon Oil Corp.                
  4.40%, due 7/15/27     5,300,000       5,272,334  
  6.80%, due 3/15/32     2,665,000       2,856,783  
  Matador Resources Co.
5.875%, due 9/15/26
    3,300,000       2,758,635  
  Moss Creek Resources Holdings, Inc.
7.50%, due 1/15/26 (b)
    4,065,000       2,439,000  
  Murphy Oil Corp.
6.875%, due 8/15/24
    3,315,000       3,066,375  
  Noble Energy, Inc.                
  4.95%, due 8/15/47     4,330,000       5,677,515  
  5.05%, due 11/15/44     2,760,000       3,581,582  
  5.25%, due 11/15/43     1,800,000       2,386,414  
  Occidental Petroleum Corp.                
  2.70%, due 8/15/22     2,153,000       2,011,699  
  2.70%, due 2/15/23     3,156,000       2,887,740  
  2.90%, due 8/15/24     3,150,000       2,672,555  
  5.55%, due 3/15/26     9,840,000       8,914,154  
  5.875%, due 9/1/25     1,500,000       1,374,690  
  6.375%, due 9/1/28     1,500,000       1,388,550  
  6.45%, due 9/15/36     3,100,000       2,642,750  
  6.625%, due 9/1/30     3,345,000       3,085,762  
  7.50%, due 5/1/31     1,200,000       1,140,000  
  8.00%, due 7/15/25     1,750,000       1,760,903  
  Parkland Corp.
5.875%, due 7/15/27 (b)
    3,130,000       3,290,412  
  Parsley Energy LLC / Parsley Finance Corp.
5.25%, due 8/15/25 (b)
    2,210,000       2,187,900  
  PBF Holding Co. LLC / PBF Finance Corp.                
  6.00%, due 2/15/28 (b)     10,410,000       6,985,630  
  7.25%, due 6/15/25     2,500,000       1,887,500  
  9.25%, due 5/15/25 (b)     4,880,000       5,002,098  
  PDC Energy, Inc.
6.125%, due 9/15/24
    5,783,000       5,508,307  
  PetroQuest Energy, Inc.
10.00% (10.00% PIK), due 2/15/24 (a)(d)(e)(h)
    6,657,969       666  
  QEP Resources, Inc.                
  5.25%, due 5/1/23     2,588,000       1,882,770  
  5.625%, due 3/1/26     5,580,000       3,166,650  
  Range Resources Corp.
9.25%, due 2/1/26 (b)
    9,038,000       9,286,545  
  Southwestern Energy Co.                
  6.45%, due 1/23/25     7,455,000       7,222,031  
  7.50%, due 4/1/26     8,420,000       8,230,550  
  8.375%, due 9/15/28     1,600,000       1,572,176  
  Sunoco, L.P. / Sunoco Finance Corp.
6.00%, due 4/15/27
    2,000,000       2,055,000  
  Talos Production LLC / Talos Production Finance, Inc.
11.00%, due 4/3/22
    9,828,857       9,337,414  
  Transocean Pontus, Ltd.
6.125%, due 8/1/25 (b)
    2,070,900       1,851,799  
  Transocean Poseidon, Ltd.
6.875%, due 2/1/27 (b)
    2,225,000       1,783,293  
  Transocean Sentry, Ltd.
5.375%, due 5/15/23 (b)
    3,600,000       2,412,000  
  Ultra Resources, Inc.
6.875%, due 4/15/22 (b)(f)(g)(h)
    9,675,000       43,538  
  Viper Energy Partners, L.P.
5.375%, due 11/1/27 (b)
    2,000,000       1,970,000  
                206,029,794  
  Oil & Gas Services 0.1%                
  Nine Energy Service, Inc.
8.75%, due 11/1/23 (b)
    5,657,000       1,697,100  
                   
  Packaging 0.1%                
  Graphic Packaging International LLC
3.50%, due 3/1/29 (b)
    2,300,000       2,314,375  
                   
  Packaging & Containers 0.4%                
  ARD Finance S.A.
6.50% (6.50% Cash or 7.25% PIK), due 6/30/27 (a)(b)
    4,350,000       4,327,380  
  Cascades, Inc. / Cascades U.S.A., Inc. (b)                
  5.125%, due 1/15/26     2,810,000       2,936,450  
  5.375%, due 1/15/28     4,200,000       4,415,250  
                11,679,080  
  Pharmaceuticals 1.3%                
  Bausch Health Americas, Inc. (b)                
  8.50%, due 1/31/27     1,600,000       1,758,000  
  9.25%, due 4/1/26     1,435,000       1,578,500  
  Bausch Health Cos., Inc. (b)                
  5.00%, due 1/30/28     3,430,000       3,331,387  
  5.25%, due 1/30/30     2,645,000       2,605,325  
  6.125%, due 4/15/25     3,200,000       3,276,000  
  6.25%, due 2/15/29     6,400,000       6,582,784  
  7.00%, due 1/15/28     1,750,000       1,855,000  
  Endo Dac / Endo Finance LLC / Endo Finco, Inc. (b)                
  6.00%, due 6/30/28     4,575,000       3,362,625  
  9.50%, due 7/31/27     3,185,000       3,328,325  
 

Par Pharmaceutical, Inc.
7.50%, due 4/1/27 (b)

    6,411,000       6,716,676  
  Vizient, Inc.
6.25%, due 5/15/27 (b)
    2,325,000       2,435,438  
                36,830,060  
  Pipelines 4.9%                
  ANR Pipeline Co.                
  7.375%, due 2/15/24     395,000       465,292  
  9.625%, due 11/1/21     5,950,000       6,457,761  
  Antero Midstream Partners, L.P. / Antero Midstream Finance Corp.                
  5.375%, due 9/15/24     3,810,000       3,257,550  
  5.75%, due 1/15/28 (b)     1,565,000       1,287,213  
  Cheniere Energy Partners, L.P.                
  5.25%, due 10/1/25     4,630,000       4,736,490  
  5.625%, due 10/1/26     1,800,000       1,872,000  
  CNX Midstream Partners, L.P. / CNX Midstream Finance Corp.
6.50%, due 3/15/26 (b)
    6,022,000       6,097,275  
  Enable Midstream Partners, L.P.                
  4.15%, due 9/15/29     2,260,000       2,095,258  
  4.40%, due 3/15/27     5,702,000       5,464,665  
  4.95%, due 5/15/28     2,925,000       2,855,750  
  EQM Midstream Partners, L.P. (b)                
  6.00%, due 7/1/25     2,000,000       2,062,500  
  6.50%, due 7/1/27     1,405,000       1,489,328  
  Harvest Midstream I L.P.
7.50%, due 9/1/28 (b)
    4,180,000       4,159,100  
  Hess Midstream Operations L.P.
5.625%, due 2/15/26 (b)
    3,300,000       3,361,809  
  Holly Energy Partners, L.P. / Holly Energy Finance Corp.
5.00%, due 2/1/28 (b)
    2,845,000       2,773,875  
  MPLX, L.P.                
  4.875%, due 12/1/24     5,790,000       6,468,512  
  4.875%, due 6/1/25     8,383,000       9,488,231  
  6.25%, due 10/15/22     524,000       524,569  
  NGPL PipeCo LLC (b)                
  4.375%, due 8/15/22     2,500,000       2,595,101  
  4.875%, due 8/15/27     5,280,000       5,729,551  
  Northwest Pipeline LLC
7.125%, due 12/1/25
    2,195,000       2,780,776  
  NuStar Logistics, L.P.                
  6.375%, due 10/1/30     1,800,000       1,867,500  
  6.75%, due 2/1/21     6,125,000       6,178,594  
  PBF Logistics, L.P. / PBF Logistics Finance Corp.
6.875%, due 5/15/23
    1,200,000       1,128,000  
  Plains All American Pipeline, L.P.
6.125%, due 11/15/22 (j)(k)
    14,265,000       9,049,716  
  Rockies Express Pipeline LLC (b)                
  3.60%, due 5/15/25     2,000,000       1,960,400  
  4.80%, due 5/15/30     5,000,000       4,850,000  
  Ruby Pipeline LLC
7.75%, due 4/1/22 (b)
    10,673,864       8,968,949  
  Tallgrass Energy Partners, L.P. / Tallgrass Energy Finance Corp. (b)                
  5.50%, due 9/15/24     9,560,000       8,986,400  
  6.00%, due 3/1/27     1,500,000       1,372,500  
  Targa Resources Partners, L.P. / Targa Resources Partners Finance Corp.                
  5.50%, due 3/1/30 (b)     2,000,000       2,002,100  
  5.875%, due 4/15/26     4,915,000       5,046,230  
  TransMontaigne Partners, L.P. / TLP Finance Corp.
6.125%, due 2/15/26
    8,055,000       8,336,925  
  Western Midstream Operating, L.P.                
  4.10%, due 2/1/25     1,600,000       1,524,000  
  4.65%, due 7/1/26     2,000,000       1,945,000  
  5.50%, due 8/15/48     6,360,000       5,247,000  
                144,485,920  
  Real Estate 0.8%                
  CBRE Services, Inc.
5.25%, due 3/15/25
    2,295,000       2,631,592  
  Howard Hughes Corp.
5.375%, due 3/15/25 (b)
    7,670,000       7,793,487  
  Kennedy-Wilson, Inc.
5.875%, due 4/1/24
    4,000,000       3,980,000  
  Newmark Group, Inc.
6.125%, due 11/15/23
    9,839,000       10,231,812  
                24,636,891  
  Real Estate Investment Trusts 4.1%                
  Crown Castle International Corp.
5.25%, due 1/15/23
    20,235,000       22,275,456  
  CTR Partnership, L.P. / CareTrust Capital Corp.
5.25%, due 6/1/25
    3,500,000       3,587,500  
  Diversified Healthcare Trust
9.75%, due 6/15/25
    4,200,000       4,671,576  
  Equinix, Inc.
5.375%, due 5/15/27
    16,710,000       18,207,690  
  GLP Capital, L.P. / GLP Financing II, Inc.                
  5.30%, due 1/15/29     5,700,000       6,347,919  
  5.375%, due 11/1/23     1,500,000       1,604,940  
  5.375%, due 4/15/26     1,506,000       1,669,100  
  5.75%, due 6/1/28     1,000,000       1,141,690  
  Host Hotels & Resorts, L.P.
3.50%, due 9/15/30
    1,000,000       957,210  
  Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp.
5.875%, due 8/1/21 (b)
    5,600,000       5,593,000  
  MGM Growth Properties Operating Partnership, L.P. / MGP Finance Co-Issuer, Inc.                
  4.625%, due 6/15/25 (b)     4,000,000       4,080,000  
  5.625%, due 5/1/24     19,120,000       20,272,554  
  5.75%, due 2/1/27     6,090,000       6,561,975  
  MPT Operating Partnership, L.P. / MPT Finance Corp.                
  4.625%, due 8/1/29     3,000,000       3,121,410  
  5.00%, due 10/15/27     7,726,000       8,055,900  
  Park Intermediate Holdings LLC / PK Domestic Property LLC / PK Finance Co-Issuer
5.875%, due 10/1/28 (b)
    2,745,000       2,738,137  
  RHP Hotel Properties, L.P. / RHP Finance Corp.
4.75%, due 10/15/27
    5,575,000       5,139,704  
  SBA Communications Corp.
3.875%, due 2/15/27 (b)
    3,000,000       3,045,000  
  VICI Properties, L.P. / VICI Note Co., Inc. (b)                
  3.75%, due 2/15/27     1,810,000       1,779,737  
  4.125%, due 8/15/30     1,000,000       983,750  
                121,834,248  
  Retail 2.7%                
  1011778 B.C. ULC / New Red Finance, Inc.
4.00%, due 10/15/30 (b)
    6,000,000       6,046,260  
  Asbury Automotive Group, Inc. (b)                
  4.50%, due 3/1/28     3,500,000       3,521,875  
  4.75%, due 3/1/30     3,580,000       3,606,850  
  Beacon Roofing Supply, Inc.
4.875%, due 11/1/25 (b)
    3,825,000       3,748,500  
  Group 1 Automotive, Inc.
4.00%, due 8/15/28 (b)
    2,100,000       2,063,250  
  Ken Garff Automotive LLC
4.875%, due 9/15/28 (b)
    2,775,000       2,729,906  
  KFC Holding Co. / Pizza Hut Holdings LLC / Taco Bell of America LLC (b)                
  4.75%, due 6/1/27     5,275,000       5,535,058  
  5.00%, due 6/1/24     6,020,000       6,172,306  
  5.25%, due 6/1/26     7,500,000       7,792,500  
  Kohl's Corp.
9.50%, due 5/15/25
    2,380,000       2,814,276  
  Lithia Motors, Inc.
4.625%, due 12/15/27 (b)
    2,430,000       2,508,975  
  Murphy Oil USA, Inc.                
  4.75%, due 9/15/29     2,000,000       2,130,000  
  5.625%, due 5/1/27     2,994,000       3,181,125  
  Penske Automotive Group, Inc.                
  3.50%, due 9/1/25     3,945,000       3,928,924  
  5.375%, due 12/1/24     2,970,000       3,016,065  
  5.50%, due 5/15/26     3,097,000       3,194,803  
  TPro Acquisition Corp.
11.00%, due 10/15/24 (b)
    1,962,000       1,971,810  
  Yum! Brands, Inc.                
  3.625%, due 3/15/31     7,500,000       7,500,000  
  4.75%, due 1/15/30 (b)     8,767,000       9,468,360  
                80,930,843  
  Software 3.9%                
  ACI Worldwide, Inc.
5.75%, due 8/15/26 (b)
    4,405,000       4,651,944  
  Ascend Learning LLC
6.875%, due 8/1/25 (b)
    7,485,000       7,698,697  
  Black Knight InfoServ, LLC
3.625%, due 9/1/28 (b)
    2,230,000       2,253,694  
  BY Crown Parent LLC
7.375%, due 10/15/24 (b)
    7,110,000       7,216,650  
  BY Crown Parent LLC / BY Bond Finance, Inc.
4.25%, due 1/31/26 (b)
    3,200,000       3,258,000  
  Camelot Finance S.A.
4.50%, due 11/1/26 (b)
    4,405,000       4,493,100  
  CDK Global, Inc.                
  5.25%, due 5/15/29 (b)     4,070,000       4,334,550  
  5.875%, due 6/15/26     10,900,000       11,363,250  
  Change Healthcare Holdings LLC / Change Healthcare Finance, Inc.
5.75%, due 3/1/25 (b)
    2,300,000       2,332,890  
  Fair Isaac Corp.
5.25%, due 5/15/26 (b)
    3,590,000       3,984,900  
  MSCI, Inc. (b)                
  3.625%, due 9/1/30     3,215,000       3,297,883  
  3.875%, due 2/15/31     10,620,000       11,068,164  
  4.00%, due 11/15/29     9,150,000       9,607,500  
  4.75%, due 8/1/26     3,570,000       3,703,875  
  5.375%, due 5/15/27     6,230,000       6,650,525  
  Open Text Corp. (b)                
  3.875%, due 2/15/28     4,560,000       4,612,714  
  5.875%, due 6/1/26     5,675,000       5,887,812  
  Open Text Holdings, Inc.
4.125%, due 2/15/30 (b)
    3,680,000       3,784,659  
  PTC, Inc. (b)                
  3.625%, due 2/15/25     3,400,000       3,451,000  
  4.00%, due 2/15/28     5,160,000       5,303,577  
  SS&C Technologies, Inc.
5.50%, due 9/30/27 (b)
    5,000,000       5,313,600  
                114,268,984  
  Telecommunications 6.3%                
  Altice France S.A.
7.375%, due 5/1/26 (b)
    7,000,000       7,335,300  
  CenturyLink, Inc.
5.80%, due 3/15/22
    9,925,000       10,235,652  
  CommScope Technologies LLC
6.00%, due 6/15/25 (b)
    1,400,000       1,418,970  
  CommScope, Inc.
8.25%, due 3/1/27 (b)
    8,924,000       9,280,960  
  Connect Finco SARL / Connect U.S. Finco LLC
6.75%, due 10/1/26 (b)
    12,365,000       12,403,950  
  Consolidated Communications Holdings, Inc.
6.50%, due 10/1/28 (b)
    1,000,000       1,020,000  
  Hughes Satellite Systems Corp.                
  5.25%, due 8/1/26     7,035,000       7,479,331  
  6.625%, due 8/1/26     6,460,000       6,991,012  
  7.625%, due 6/15/21     8,695,000       9,021,063  
  Level 3 Financing, Inc.
5.375%, due 5/1/25
    6,300,000       6,495,363  
  Qualitytech, L.P. / QTS Finance Corp. (b)                
  3.875%, due 10/1/28     4,000,000       4,026,400  
  4.75%, due 11/15/25     6,650,000       6,897,380  
  Sprint Capital Corp.
6.875%, due 11/15/28
    31,465,000       39,331,250  
  Sprint Corp.
7.875%, due 9/15/23
    14,030,000       16,116,962  
  T-Mobile USA, Inc.                
  4.50%, due 2/1/26     3,345,000       3,446,688  
  4.75%, due 2/1/28     9,585,000       10,253,458  
  5.125%, due 4/15/25     7,520,000       7,684,462  
  5.375%, due 4/15/27     8,875,000       9,473,175  
  6.00%, due 4/15/24     6,840,000       6,983,230  
  6.50%, due 1/15/26     10,150,000       10,606,750  
                186,501,356  
  Textiles 0.2%                
  Eagle Intermediate Global Holding B.V. / Ruyi U.S. Finance LLC
7.50%, due 5/1/25 (b)
    9,745,000       6,821,500  
                   
  Toys, Games & Hobbies 0.7%                
                   
  Mattel, Inc.
6.75%, due 12/31/25 (b)
    18,465,000       19,480,575  
                   
  Transportation 0.4%                
  Teekay Corp.
9.25%, due 11/15/22 (b)
    1,500,000       1,414,560  
  Watco Cos. LLC / Watco Finance Corp.
6.50%, due 6/15/27 (b)
    9,090,000       9,300,206  
                10,714,766  
  Total Corporate Bonds
(Cost $2,724,104,661)
            2,713,406,643  
                   
  Loan Assignments 2.4%                
  Aerospace & Defense 0.1%                
  TransDigm, Inc.
2020 Term Loan F
2.397% (1 Month LIBOR + 2.25%), due 12/9/25 (l)
    2,779,000       2,627,197  
                   
  Automobile 0.2%                
  Dealer Tire LLC
2020 Term Loan B
4.399% (1 Month LIBOR + 4.25%), due 12/12/25 (l)
    5,955,000       5,806,125  
                   
  Beverage, Food & Tobacco 0.3%                
  United Natural Foods, Inc.
Term Loan B
4.397% (1 Month LIBOR + 4.25%), due 10/22/25 (l)
    9,031,337       8,787,816  
                   
  Chemicals, Plastics & Rubber 0.4%                
  Innophos, Inc.
2020 Term Loan B
3.897% (1 Month LIBOR + 3.75%), due 2/7/27 (l)
    1,890,500       1,871,595  
  SCIH Salt Holdings, Inc.
Term Loan B
5.50% (3 Month LIBOR + 4.50%), due 3/16/27 (l)
    9,975,000       9,950,063  
                11,821,658  
  Containers, Packaging & Glass 0.0% ‡                
  Neenah Foundry Co.
2020 PIK Delayed Draw Term Loan
TBD, due 12/31/22
    320,000       272,000  
                   
  Iron & Steel 0.0% ‡                
  Big River Steel LLC
Term Loan B
TBD, due 8/23/23
    700,000       698,833  
                   
  Oil & Gas 0.2%                
  PetroQuest Energy LLC
2020 Term Loan
8.50% (3 Month LIBOR + 7.50%), due 11/8/23 (e)(h)(l)
    500,000       500,000  
  PetroQuest Energy, Inc.
Term Loan Note
10.013%, due 11/8/23 (d)(e)(h)
    5,117,026       4,195,962  
                4,695,962  
  Retail Store 0.7%                
  Bass Pro Group LLC
Term Loan B
5.75% (3 Month LIBOR + 5.00%), due 9/25/24 (l)
    21,350,020       21,144,526  
                   
  Software 0.0% ‡                
  By Crown Parent LLC
Term Loan B1
4.00% (1 Month LIBOR + 3.00%), due 1/31/26 (l)
    1,197,039       1,182,076  
                   
  Utilities 0.5%                
  Pacific Gas & Electric Co.
2020 Term Loan
5.50% (3 Month LIBOR + 4.50%), due 6/23/25 (l)
    13,466,250       13,208,142  
  Total Loan Assignments
(Cost $70,667,135)
            70,244,335  
  Total Long-Term Bonds
(Cost $2,819,204,313)
            2,804,232,523  
                   
        Shares          
  Common Stocks 1.0%                
  Auto Parts & Equipment 0.0% ‡                
  ATD New Holdings, Inc. (h)(m)     44,740       715,840  
  Exide Technologies (d)(e)(h)(i)(m)     7,037,072       0  
                715,840  
  Commercial Services 0.0% ‡                
  Carlson Travel, Inc. (d)(e)     3,764       209,128  
                   
  Electric Utilities 0.0% ‡                
  Keycon Power Holdings LLC (d)(e)(h)     11,280       113  
                   
  Independent Power & Renewable Electricity Producers 0.7%                
  GenOn Energy, Inc. (d)(e)(i)     115,826       20,848,680  
  PetroQuest Energy, Inc. (d)(e)(h)     668,661       0  
                20,848,680  
  Media 0.0% ‡                
  ION Media Networks, Inc. (d)(e)(h)(i)     725       341,990  
                   
  Metals & Mining 0.1%                
  Neenah Enterprises, Inc. (d)(e)(h)(m)     230,859       2,006,164  
                   
  Oil, Gas & Consumable Fuels 0.2%                
  Talos Energy, Inc. (m)     637,880       4,114,326  
  Titan Energy LLC (h)(m)     25,911       908  
  Whiting Petroleum Corp. (m)     134,779       2,330,329  
                6,445,563  
  Software 0.0% ‡                
  ASG Corp. (d)(e)(h)     3,368       0  
  Total Common Stocks
(Cost $78,881,062)
            30,567,478  
                   
  Short-Term Investments 3.4%                
  Unaffiliated Investment Company 3.4%                
  State Street Institutional U.S. Government Money Market Fund, Premier Class, 0.03% (n)     97,053,083       97,053,083  
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (n)(o)     4,108,500       4,108,500  
  Total Short-Term Investments
(Cost $101,161,583)
            101,161,583  
  Total Investments
(Cost $2,999,246,958)
    99.7 %     2,935,961,584  
  Other Assets, Less Liabilities     0.3       7,572,774  
  Net Assets     100.0 %   $ 2,943,534,358  

 

  Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.
  (a) PIK ("Payment-in-Kind") - issuer may pay interest or dividends with additional securities and/or in cash.
  (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) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $4,033,561. The Portfolio received cash collateral with a value of $4,108,500.  
  (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 September 30, 2020, the total market value of the fair valued securities was $48,495,026, which represented 1.6% of the Portfolio's net assets.
  (f) Issue in default.
  (g) Issue in non-accrual status.
  (h) Illiquid security - As of September 30, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $30,934,234, which represented 1.1% of the Portfolio's net assets.
  (i) Restricted security.
  (j) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
  (k) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 2020.
  (l) Floating rate - Rate shown was the rate in effect as of September 30, 2020.
  (m) Non-income producing security.
  (n) Current yield as of September 30, 2020.
  (o) Represents a security purchased with cash collateral received for securities on loan.

 

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 September 30, 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  $   $20,581,545   $   $20,581,545 
Corporate Bonds (b)       2,693,013,654    20,392,989    2,713,406,643 
Loan Assignments (c)       66,048,373    4,195,962    70,244,335 
Total Long-Term Bonds       2,779,643,572    24,588,951    2,804,232,523 
Common Stocks    6,445,563    715,840(d)   23,406,075(e)   30,567,478 
Short-Term Investments                    
Unaffiliated Investment Company   101,161,583            101,161,583 
Total Investments in Securities  $107,607,146   $2,780,359,412   $47,995,026   $2,935,961,584 

 

(a)For a complete listing of investments and their industries, see the Portfolio of Investments.
   
(b)The Level 3 securities valued at $12,978,623, $7,413,700 and $666 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 $4,195,962 is held in Oil & Gas within the Loan Assignments section of the Portfolio of Investments.
   
 (d)The Level 2 security valued at $715,840 is held in Auto Parts & Equipment within the Common Stocks section of the Portfolio of Investments.
   
(e)The Level 3 securities valued at $0, $209,128, $113, $20,848,680, $341,990, $2,006,164 and $0 are held in Auto Parts & Equipment, Commercial Services, Electric Utilities, Independent Power & Renewable Electricity Producers, 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
September 30,
2020
   Change in
Unrealized
Appreciation
(Depreciation) from
Investments Still
Held at September
30, 2020
 
Long-Term Bonds                                                  
Corporate Bonds  $47,173,493   $(719,497)  $       -   $(26,896,910)  $835,903(a)  $-   $-   $              -   $20,392,989   $(26,896,910)
Loan Assignments   4,893,078    -    -    (921,064)   223,948    -    -    -    4,195,962    (921,064)
Common Stocks   9,085,645    -    -    (12,115,970)   -    -    26,436,400    -    23,406,075    (12,115,970)
Total  $61,152,216   $(719,497)  $-   $(39,933,944)  $1,059,851   $-   $26,436,400   $-   $47,995,026   $(39,933,944)

 

(a) Purchases include PIK securities.

 

As of September 30, 2020, a securities with a market value of $26,436,400 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 MacKay International Equity Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 98.2% †
  Argentina 0.9%
  Globant S.A. (Software) (a)   23,846   $4,273,680 
             
  Brazil 1.0%          
  Notre Dame Intermedica Participacoes S.A. (Health Care Providers & Services)   418,172    4,844,508 
             
  Canada 2.0%          
  Constellation Software, Inc. (Software)   8,948    9,943,096 
             
  China 3.5%          
  Tencent Holdings, Ltd. (Interactive Media & Services)   271,700    17,932,084 
             
  Denmark 5.4%          
  Chr. Hansen Holding A/S (Chemicals)   93,840    10,430,443 
  Novo Nordisk A/S, Class B (Pharmaceuticals)   246,292    17,040,960 
           27,471,403 
  France 6.6%          
  Dassault Systemes S.E. (Software)   47,845    8,961,314 
  Edenred (IT Services)   307,058    13,824,387 
  Teleperformance S.E. (Professional Services)   34,887    10,782,098 
           33,567,799 
  Germany 13.3%          
  Carl Zeiss Meditec A.G. (Health Care Equipment & Supplies)   56,350    7,135,295 
  Deutsche Boerse A.G. (Capital Markets)   58,216    10,224,649 
  Fresenius Medical Care A.G. & Co. KGaA (Health Care Providers & Services)   129,049    10,896,876 
  SAP S.E. (Software)   112,816    17,560,310 
  Scout24 A.G. (Interactive Media & Services) (b)   116,212    10,150,829 
  Symrise A.G. (Chemicals)   82,991    11,481,728 
           67,449,687 
  India 4.9%          
  HDFC Bank, Ltd. (Banks) (a)   677,301    9,896,049 
  Housing Development Finance Corp., Ltd. (Thrifts & Mortgage Finance)   626,965    14,726,624 
           24,622,673 
  Ireland 6.4%          
  Accenture PLC, Class A (IT Services)   70,650    15,966,193 
  ICON PLC (Life Sciences Tools & Services) (a)   86,865    16,599,033 
           32,565,226 
  Israel 0.9%          
  Nice, Ltd., Sponsored ADR (Software) (a)   19,755    4,484,978 
             
  Japan 11.3%          
  CyberAgent, Inc. (Media)   289,700    17,772,332 
  Menicon Co., Ltd. (Health Care Equipment & Supplies)   131,900    8,779,576 
  Relo Group, Inc. (Real Estate Management & Development)   549,600    13,111,398 
  SMS Co., Ltd. (Professional Services)   184,300    5,312,398 
  TechnoPro Holdings, Inc. (Professional Services)   200,400    12,389,020 
           57,364,724 
  Mexico 0.8%          
  Regional S.A.B. de C.V. (Banks) (a)   1,793,972    4,227,840 
             
  Netherlands 7.8%          
  Koninklijke DSM N.V. (Chemicals)   95,742    15,782,728 
  Koninklijke Philips N.V. (Health Care Equipment & Supplies) (a)   502,425    23,680,537 
           39,463,265 
  Spain 6.8%          
  Amadeus IT Group S.A. (IT Services)   326,898    18,239,890 
  Industria de Diseno Textil S.A. (Specialty Retail)   586,561    16,367,577 
           34,607,467 
  Sweden 3.0%          
  Hexagon A.B., Class B (Electronic Equipment, Instruments & Components) (a)   203,373    15,391,752 
             
  Switzerland 3.6%          
  Lonza Group A.G., Registered (Life Sciences Tools & Services)   8,715    5,380,108 
  TE Connectivity, Ltd. (Electronic Equipment, Instruments & Components)   129,759    12,682,645 
           18,062,753 
  Taiwan 3.0%          
  Taiwan Semiconductor Manufacturing Co., Ltd., Sponsored ADR (Semiconductors & Semiconductor Equipment)   186,947    15,155,793 
             
  United Kingdom 14.9%          
  Big Yellow Group PLC (Equity Real Estate Investment Trusts)   499,593    6,704,354 
  Diageo PLC (Beverages)   453,475    15,506,240 
  Experian PLC (Professional Services)   133,246    5,020,469 
  HomeServe PLC (Commercial Services & Supplies)   678,674    10,823,979 
  Prudential PLC (Insurance)   1,472,817    21,075,971 
  St. James's Place PLC (Capital Markets)   1,384,333    16,630,202 
           75,761,215 
  United States 2.1%          
  STERIS PLC (Health Care Equipment & Supplies)   60,876    10,725,742 
  Total Common Stocks
(Cost $444,855,515)
        497,915,685 
             
  Short-Term Investment 0.2%          
  Affiliated Investment Company 0.2%          
  United States 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   1,186,948    1,186,948 
  Total Short-Term Investment
(Cost $1,186,948)
        1,186,948 
  Total Investments
(Cost $446,042,463)
   98.4%   499,102,633 
  Other Assets, Less Liabilities   1.6    8,056,718 
  Net Assets   100.0%  $507,159,351 

 
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 September 30, 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 September 30, 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  $497,915,685   $   $   $497,915,685 
Short-Term Investment                    
Affiliated Investment Company   1,186,948            1,186,948 
Total Investments in Securities  $499,102,633   $   $   $499,102,633 

 

(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 September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 98.9% †
  Aerospace & Defense 0.8%          
  Curtiss-Wright Corp.   8,976   $837,102 
  Huntington Ingalls Industries, Inc.   6,289    885,177 
  Textron, Inc.   142,959    5,159,390 
           6,881,669 
  Air Freight & Logistics 0.6%          
  XPO Logistics, Inc. (a)   62,752    5,312,584 
             
  Auto Components 0.3%          
  Aptiv PLC   28,032    2,569,974 
             
  Automobiles 0.2%          
  Thor Industries, Inc.   18,536    1,765,739 
             
  Banks 1.6%          
  First Hawaiian, Inc.   14,163    204,939 
  First Republic Bank   19,574    2,134,740 
  Signature Bank   53,426    4,433,824 
  SVB Financial Group (a)   24,872    5,984,701 
  Synovus Financial Corp.   30,156    638,402 
           13,396,606 
  Beverages 0.6%          
  Molson Coors Beverage Co., Class B   144,264    4,841,500 
             
  Biotechnology 3.6%          
  Alexion Pharmaceuticals, Inc. (a)   63,305    7,243,991 
  Alkermes PLC (a)   141,684    2,347,704 
  Exelixis, Inc. (a)   222,349    5,436,433 
  Incyte Corp. (a)   67,584    6,064,988 
  Moderna, Inc. (a)   28,942    2,047,647 
  Neurocrine Biosciences, Inc. (a)   24,144    2,321,687 
  Seattle Genetics, Inc. (a)   6,389    1,250,263 
  United Therapeutics Corp. (a)   25,396    2,564,996 
           29,277,709 
  Building Products 4.0%          
  Carrier Global Corp.   235,479    7,191,529 
  Fortune Brands Home & Security, Inc.   66,790    5,778,671 
  Johnson Controls International PLC   79,958    3,266,284 
  Masco Corp.   106,688    5,881,709 
  Owens Corning   78,732    5,417,549 
  Trane Technologies PLC   44,668    5,415,995 
           32,951,737 
  Capital Markets 5.8%          
  Ameriprise Financial, Inc.   42,135    6,493,425 
  Cboe Global Markets, Inc.   33,663    2,953,592 
  E*TRADE Financial Corp.   112,258    5,618,513 
  Evercore, Inc., Class A   29,572    1,935,783 
  Lazard, Ltd., Class A   150,904    4,987,377 
  LPL Financial Holdings, Inc.   64,539    4,948,205 
  MSCI, Inc.   3,038    1,083,898 
  Nasdaq, Inc.   45,305    5,559,376 
  Raymond James Financial, Inc.   75,621    5,502,184 
  T. Rowe Price Group, Inc.   46,423    5,952,357 
  TD Ameritrade Holding Corp.   65,255    2,554,733 
           47,589,443 
  Chemicals 1.4%          
  CF Industries Holdings, Inc.   81,869    2,514,197 
  Huntsman Corp.   203,760    4,525,509 
  LyondellBasell Industries N.V., Class A   61,416    4,329,214 
           11,368,920 
  Commercial Services & Supplies 2.0%          
  ADT, Inc.   368,942    3,014,256 
  Cintas Corp.   21,025    6,997,751 
  Clean Harbors, Inc. (a)   81,321    4,556,416 
  IAA, Inc. (a)   13,906    724,085 
  Republic Services, Inc.   9,921    926,125 
           16,218,633 
  Construction & Engineering 0.3%          
  Quanta Services, Inc.   49,819    2,633,432 
             
  Consumer Finance 1.4%          
  SLM Corp.   649,809    5,256,955 
  Synchrony Financial   236,718    6,194,910 
           11,451,865 
  Containers & Packaging 0.6%          
  Ardagh Group S.A.   1,197    16,818 
  Berry Global Group, Inc. (a)   97,583    4,715,210 
           4,732,028 
  Distributors 0.6%          
  LKQ Corp. (a)   178,382    4,946,533 
             
  Diversified Consumer Services 0.7%          
  frontdoor, Inc. (a)   8,688    338,050 
  Graham Holdings Co., Class B   11,408    4,610,087 
  H&R Block, Inc.   58,719    956,533 
           5,904,670 
  Diversified Financial Services 0.2%          
  Equitable Holdings, Inc.   12,943    236,080 
  Voya Financial, Inc.   30,048    1,440,201 
           1,676,281 
  Electric Utilities 2.0%          
  Entergy Corp.   13,382    1,318,529 
  Evergy, Inc.   1,743    88,579 
  FirstEnergy Corp.   106,864    3,068,065 
  NRG Energy, Inc.   168,202    5,170,530 
  OGE Energy Corp.   8,561    256,744 
  PPL Corp.   249,544    6,790,092 
           16,692,539 
  Electrical Equipment 0.8%          
  Acuity Brands, Inc.   13,474    1,379,064 
  Regal Beloit Corp.   50,665    4,755,924 
           6,134,988 
  Electronic Equipment, Instruments & Components 3.1%          
  Arrow Electronics, Inc. (a)   64,491    5,072,862 
  Avnet, Inc.   174,782    4,516,367 
  CDW Corp.   47,379    5,663,212 
  Jabil, Inc.   146,288    5,011,827 
  SYNNEX Corp.   39,103    5,476,766 
           25,741,034 
  Entertainment 2.7%          
  Lions Gate Entertainment Corp., Class B (a)   546,788    4,767,991 
  Madison Square Garden Entertainment Corp. (a)   23,055    1,579,037 
  Roku, Inc. (a)   10,858    2,049,991 
  Spotify Technology S.A. (a)   19,894    4,825,688 
  Take-Two Interactive Software, Inc. (a)   37,864    6,255,890 
  Zynga, Inc., Class A (a)   276,376    2,520,549 
           21,999,146 
  Equity Real Estate Investment Trusts 4.4%          
  Alexandria Real Estate Equities, Inc.   14,656    2,344,960 
  American Homes 4 Rent, Class A   70,270    2,001,290 
  AvalonBay Communities, Inc.   18,150    2,710,521 
  Boston Properties, Inc.   1,793    143,978 
  CyrusOne, Inc.   27,836    1,949,355 
  Duke Realty Corp.   70,544    2,603,074 
  Equity LifeStyle Properties, Inc.   14,087    863,533 
  Equity Residential   35,706    1,832,789 
  Essex Property Trust, Inc.   8,962    1,799,480 
  Extra Space Storage, Inc.   1,432    153,210 
  First Industrial Realty Trust, Inc.   42,906    1,707,659 
  Gaming and Leisure Properties, Inc.   21,204    783,064 
  Healthpeak Properties, Inc.   11,333    307,691 
  Invitation Homes, Inc.   101,194    2,832,420 
  Life Storage, Inc.   16,416    1,728,112 
  Mid-America Apartment Communities, Inc.   22,416    2,599,135 
  Realty Income Corp.   16,058    975,523 
  Rexford Industrial Realty, Inc.   19,879    909,663 
  Simon Property Group, Inc.   12,361    799,509 
  Sun Communities, Inc.   10,784    1,516,338 
  Ventas, Inc.   8,540    358,338 
  VICI Properties, Inc.   1,937    45,268 
  W.P. Carey, Inc.   230    14,987 
  Welltower, Inc.   21,465    1,182,507 
  Weyerhaeuser Co.   122,145    3,483,575 
           35,645,979 
  Food & Staples Retailing 1.1%          
  Kroger Co.   210,745    7,146,363 
  Sprouts Farmers Market, Inc. (a)   104,946    2,196,520 
           9,342,883 
  Food Products 0.8%          
  Tyson Foods, Inc., Class A   104,191    6,197,281 
             
  Health Care Equipment & Supplies 2.0%          
  DENTSPLY SIRONA, Inc.   13,340    583,358 
  Hill-Rom Holdings, Inc.   42,444    3,544,498 
  Hologic, Inc. (a)   77,717    5,165,849 
  IDEXX Laboratories, Inc. (a)   11,878    4,669,361 
  ResMed, Inc.   9,774    1,675,557 
  West Pharmaceutical Services, Inc.   1,301    357,645 
           15,996,268 
  Health Care Providers & Services 4.0%          
  AmerisourceBergen Corp.   45,853    4,444,073 
  Cardinal Health, Inc.   121,131    5,687,100 
  DaVita, Inc. (a)   43,000    3,682,950 
  Laboratory Corp. of America Holdings (a)   3,034    571,211 
  McKesson Corp.   46,540    6,931,202 
  Molina Healthcare, Inc. (a)   32,226    5,898,647 
  Universal Health Services, Inc., Class B   50,125    5,364,378 
           32,579,561 
  Health Care Technology 1.9%          
  Cerner Corp.   96,128    6,949,093 
  Veeva Systems, Inc., Class A (a)   30,319    8,525,400 
           15,474,493 
  Hotels, Restaurants & Leisure 2.4%          
  Aramark   22,669    599,595 
  Chipotle Mexican Grill, Inc. (a)   6,321    7,861,491 
  Darden Restaurants, Inc.   51,524    5,190,528 
  Domino's Pizza, Inc.   15,081    6,413,647 
           20,065,261 
  Household Durables 2.2%          
  Lennar Corp.          
  Class A   54,865    4,481,373 
  Class B   43,810    2,876,565 
  Mohawk Industries, Inc. (a)   51,794    5,054,576 
  PulteGroup, Inc.   123,216    5,703,669 
           18,116,183 
  Independent Power & Renewable Electricity Producers 1.1%          
  AES Corp.   180,545    3,269,670 
  Vistra Corp.   291,817    5,503,669 
           8,773,339 
  Insurance 1.6%          
  Assured Guaranty, Ltd.   74,925    1,609,389 
  Brighthouse Financial, Inc. (a)   139,472    3,753,192 
  Unum Group   230,074    3,872,145 
  Willis Towers Watson PLC   18,511    3,865,467 
           13,100,193 
  Interactive Media & Services 1.0%          
  IAC/InterActiveCorp. (a)   18,527    2,219,164 
  Match Group, Inc. (a)   23,825    2,636,236 
  TripAdvisor, Inc.   55,257    1,082,485 
  Zillow Group, Inc., Class A (a)   25,808    2,620,544 
           8,558,429 
  Internet & Direct Marketing Retail 1.9%          
  Etsy, Inc. (a)   48,400    5,886,892 
  Grubhub, Inc. (a)   35,113    2,539,723 
  Qurate Retail, Inc., Series A   650,670    4,671,811 
  Wayfair, Inc., Class A (a)   8,040    2,339,720 
           15,438,146 
  IT Services 5.4%          
  Akamai Technologies, Inc. (a)   54,499    6,024,319 
  Alliance Data Systems Corp.   53,436    2,243,243 
  Amdocs, Ltd.   88,407    5,075,446 
  Booz Allen Hamilton Holding Corp.   39,648    3,289,991 
  CACI International, Inc., Class A (a)   15,309    3,263,266 
  DXC Technology Co.   153,628    2,742,260 
  Euronet Worldwide, Inc. (a)   47,396    4,317,776 
  GoDaddy, Inc., Class A (a)   75,370    5,725,859 
  Leidos Holdings, Inc.   62,995    5,616,004 
  Okta, Inc. (a)   2,352    502,975 
  Twilio, Inc., Class A (a)   13,885    3,430,845 
  VeriSign, Inc. (a)   9,762    1,999,746 
           44,231,730 
  Leisure Products 0.9%          
  Brunswick Corp.   39,309    2,315,693 
  Polaris, Inc.   52,265    4,930,680 
           7,246,373 
  Life Sciences Tools & Services 3.7%          
  Agilent Technologies, Inc.   997    100,637 
  Bruker Corp.   108,170    4,299,758 
  Charles River Laboratories International, Inc. (a)   25,653    5,809,122 
  IQVIA Holdings, Inc. (a)   48,469    7,640,168 
  PPD, Inc. (a)   119,496    4,420,157 
  PRA Health Sciences, Inc. (a)   49,538    5,025,135 
  Syneos Health, Inc. (a)   42,981    2,284,870 
  Waters Corp. (a)   3,212    628,524 
           30,208,371 
  Machinery 2.5%          
  AGCO Corp.   60,258    4,475,362 
  Crane Co.   14,980    750,947 
  Fortive Corp.   25,749    1,962,331 
  Gates Industrial Corp. PLC (a)   37,321    415,010 
  Otis Worldwide Corp.   114,129    7,123,932 
  Parker-Hannifin Corp.   26,892    5,441,327 
           20,168,909 
  Media 1.3%          
  Altice U.S.A., Inc., Class A (a)   199,644    5,190,744 
  Fox Corp., Class B   90,874    2,541,746 
  News Corp.          
  Class A   158,513    2,222,352 
  Class B   21,796    304,708 
           10,259,550 
  Metals & Mining 1.3%          
  Freeport-McMoRan, Inc.   151,682    2,372,306 
  Reliance Steel & Aluminum Co.   48,773    4,976,797 
  Royal Gold, Inc.   17,999    2,162,940 
  Steel Dynamics, Inc.   37,187    1,064,664 
           10,576,707 
  Multi-Utilities 0.8%          
  CenterPoint Energy, Inc.   20,995    406,253 
  Consolidated Edison, Inc.   8,189    637,104 
  MDU Resources Group, Inc.   212,161    4,773,623 
  WEC Energy Group, Inc.   8,380    812,022 
           6,629,002 
  Multiline Retail 0.4%          
  Dollar Tree, Inc. (a)   40,102    3,662,917 
             
  Oil, Gas & Consumable Fuels 1.4%          
  Concho Resources, Inc.   69,699    3,075,120 
  Devon Energy Corp.   209,854    1,985,219 
  HollyFrontier Corp.   216,075    4,258,838 
  Pioneer Natural Resources Co.   29,173    2,508,586 
           11,827,763 
  Personal Products 0.9%          
  Herbalife Nutrition, Ltd. (a)   51,292    2,392,772 
  Nu Skin Enterprises, Inc., Class A   93,222    4,669,490 
           7,062,262 
  Pharmaceuticals 1.0%          
  Catalent, Inc. (a)   9,350    800,921 
  Jazz Pharmaceuticals PLC (a)   18,348    2,616,241 
  Mylan N.V. (a)   9,262    137,356 
  Perrigo Co. PLC   106,985    4,911,681 
           8,466,199 
  Professional Services 1.2%          
  FTI Consulting, Inc. (a)   20,866    2,211,170 
  IHS Markit, Ltd.   22,688    1,781,235 
  ManpowerGroup, Inc.   68,224    5,002,866 
  TransUnion   371    31,212 
  Verisk Analytics, Inc.   4,961    919,323 
           9,945,806 
  Road & Rail 1.4%          
  J.B. Hunt Transport Services, Inc.   22,189    2,804,246 
  Knight-Swift Transportation Holdings, Inc.   51,969    2,115,138 
  Old Dominion Freight Line, Inc.   11,162    2,019,429 
  Schneider National, Inc., Class B   184,016    4,550,716 
           11,489,529 
  Semiconductors & Semiconductor Equipment 3.1%          
  Cirrus Logic, Inc. (a)   75,314    5,079,929 
  Inphi Corp. (a)   11,361    1,275,272 
  KLA Corp.   37,549    7,274,743 
  Qorvo, Inc. (a)   45,932    5,925,688 
  Skyworks Solutions, Inc.   40,415    5,880,383 
           25,436,015 
  Software 8.7%          
  Alteryx, Inc., Class A (a)(b)   5,539    628,953 
  Anaplan, Inc. (a)   13,618    852,214 
  Aspen Technology, Inc. (a)   3,134    396,733 
  Cadence Design Systems, Inc. (a)   56,717    6,047,734 
  CDK Global, Inc.   111,796    4,873,188 
  Citrix Systems, Inc.   45,265    6,233,443 
  Coupa Software, Inc. (a)   6,963    1,909,533 
  DocuSign, Inc. (a)   18,532    3,988,828 
  Dropbox, Inc., Class A (a)   235,718    4,539,929 
  Fair Isaac Corp. (a)   10,813    4,599,634 
  Fortinet, Inc. (a)   48,944    5,766,093 
  Palo Alto Networks, Inc. (a)   27,616    6,759,016 
  Proofpoint, Inc. (a)   47,526    5,016,369 
  RealPage, Inc. (a)   21,400    1,233,496 
  RingCentral, Inc., Class A (a)   8,057    2,212,533 
  SS&C Technologies Holdings, Inc.   92,956    5,625,697 
  Synopsys, Inc. (a)   37,774    8,082,880 
  Teradata Corp. (a)   50,647    1,149,687 
  Zendesk, Inc. (a)   11,875    1,222,175 
           71,138,135 
  Specialty Retail 4.3%          
  AutoNation, Inc. (a)   83,961    4,444,056 
  AutoZone, Inc. (a)   4,610    5,428,920 
  Best Buy Co., Inc.   64,046    7,127,679 
  Dick's Sporting Goods, Inc.   39,314    2,275,494 
  Foot Locker, Inc.   48,702    1,608,627 
  L Brands, Inc.   13,133    417,761 
  O'Reilly Automotive, Inc. (a)   17,103    7,885,851 
  Tractor Supply Co.   42,840    6,140,686 
           35,329,074 
  Technology Hardware, Storage & Peripherals 1.5%          
  HP, Inc.   391,972    7,443,548 
  Xerox Holdings Corp.   276,701    5,193,678 
           12,637,226 
  Textiles, Apparel & Luxury Goods 0.4%          
  Lululemon Athletica, Inc. (a)   10,740    3,537,434 
             
  Thrifts & Mortgage Finance 0.3%          
  New York Community Bancorp, Inc.   251,265    2,077,962 
             
  Trading Companies & Distributors 0.7%          
  HD Supply Holdings, Inc. (a)   132,887    5,480,260 
  Total Common Stocks
(Cost $721,818,333)
        810,786,270 
             
  Exchange-Traded Funds 1.1%          
  iShares Core S&P Mid-Cap ETF   16,666    3,088,376 
  iShares Russell Mid-Cap ETF   66,223    3,799,876 
  SPDR S&P 500 ETF Trust   6,409    2,146,310 
  Total Exchange-Traded Funds
(Cost $8,291,422)
        9,034,562 
             
  Short-Term Investments 0.1%          
  Affiliated Investment Company 0.1%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   460,441    460,441 
             
  Unaffiliated Investment Company 0.0% ‡          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (c)(d)   140,081    140,081 
  Total Short-Term Investments
(Cost $600,522)
        600,522 
  Total Investments
(Cost $730,710,277)
   100.1%   820,421,354 
  Other Assets, Less Liabilities   (0.1)   (682,452)
  Net Assets   100.0%  $819,738,902 

 

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 September 30, 2020, the aggregate market value of securities on loan was $623,664; the total market value of collateral held by the Portfolio was $636,725. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $496,644.  
(c) Current yield as of September 30, 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 September 30, 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  $810,786,270   $   $   $810,786,270 
Exchange-Traded Funds   9,034,562            9,034,562 
Short-Term Investments                    
Affiliated Investment Company   460,441            460,441 
Unaffiliated Investment Company   140,081            140,081 
Total Short-Term Investments   600,522            600,522 
Total Investments in Securities  $820,421,354   $   $   $820,421,354 

 

(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  September 30, 2020 (Unaudited)  

 
     Shares   Value 
  Common Stocks 98.2% †          
  Aerospace & Defense 1.6%          
  Boeing Co.   54,570   $9,018,239 
  General Dynamics Corp.   23,904    3,309,031 
  Howmet Aerospace, Inc.   40,372    675,020 
  Huntington Ingalls Industries, Inc.   4,165    586,224 
  L3Harris Technologies, Inc.   22,236    3,776,562 
  Lockheed Martin Corp.   25,301    9,697,367 
  Northrop Grumman Corp.   15,947    5,031,119 
  Raytheon Technologies Corp.   157,120    9,040,685 
  Teledyne Technologies, Inc. (a)   3,792    1,176,316 
  Textron, Inc.   23,454    846,455 
  TransDigm Group, Inc.   5,575    2,648,794 
           45,805,812 
  Air Freight & Logistics 0.7%          
  C.H. Robinson Worldwide, Inc.   13,866    1,416,967 
  Expeditors International of Washington, Inc.   17,244    1,560,927 
  FedEx Corp.   24,791    6,235,432 
  United Parcel Service, Inc., Class B   72,724    12,118,000 
           21,331,326 
  Airlines 0.2%          
  Alaska Air Group, Inc.   12,717    465,824 
  American Airlines Group, Inc. (b)   52,306    642,841 
  Delta Air Lines, Inc.   65,604    2,006,170 
  Southwest Airlines Co.   60,669    2,275,087 
  United Airlines Holdings, Inc. (a)   29,928    1,039,998 
           6,429,920 
  Auto Components 0.1%          
  Aptiv PLC   27,773    2,546,229 
  BorgWarner, Inc.   21,317    825,820 
           3,372,049 
  Automobiles 0.2%          
  Ford Motor Co.   401,893    2,676,608 
  General Motors Co.   129,526    3,832,674 
           6,509,282 
  Banks 3.3%          
  Bank of America Corp.   784,176    18,890,800 
  Citigroup, Inc.   214,121    9,230,756 
  Citizens Financial Group, Inc.   43,899    1,109,767 
  Comerica, Inc.   14,301    547,013 
  Fifth Third Bancorp   73,254    1,561,775 
  First Republic Bank   17,702    1,930,580 
  Huntington Bancshares, Inc.   104,631    959,466 
  JPMorgan Chase & Co.   313,448    30,175,639 
  KeyCorp   100,382    1,197,557 
  M&T Bank Corp.   13,194    1,215,036 
  People's United Financial, Inc.   43,689    450,434 
  PNC Financial Services Group, Inc.   43,660    4,798,671 
  Regions Financial Corp.   98,753    1,138,622 
  SVB Financial Group (a)   5,324    1,281,061 
  Truist Financial Corp.   138,602    5,273,806 
  U.S. Bancorp   140,987    5,054,384 
  Wells Fargo & Co.   423,750    9,962,363 
  Zions Bancorp., N.A.   16,865    492,795 
           95,270,525 
  Beverages 1.6%          
  Brown-Forman Corp., Class B   18,772    1,413,907 
  Coca-Cola Co.   397,611    19,630,055 
  Constellation Brands, Inc., Class A   17,281    3,274,922 
  Molson Coors Beverage Co., Class B   19,341    649,084 
  Monster Beverage Corp. (a)   37,970    3,045,194 
  PepsiCo., Inc.   142,410    19,738,026 
           47,751,188 
  Biotechnology 2.1%          
  AbbVie, Inc.   181,514    15,898,811 
  Alexion Pharmaceuticals, Inc. (a)   22,542    2,579,481 
  Amgen, Inc.   60,239    15,310,344 
  Biogen, Inc. (a)   16,282    4,618,878 
  Gilead Sciences, Inc.   128,946    8,148,098 
  Incyte Corp. (a)   19,119    1,715,739 
  Regeneron Pharmaceuticals, Inc. (a)   10,752    6,018,754 
  Vertex Pharmaceuticals, Inc. (a)   26,789    7,289,823 
           61,579,928 
  Building Products 0.5%          
  A.O. Smith Corp.   13,923    735,134 
  Allegion PLC   9,487    938,359 
  Carrier Global Corp.   83,741    2,557,450 
  Fortune Brands Home & Security, Inc.   14,208    1,229,276 
  Johnson Controls International PLC   76,526    3,126,087 
  Masco Corp.   26,898    1,482,887 
  Trane Technologies PLC   24,618    2,984,933 
           13,054,126 
  Capital Markets 2.5%          
  Ameriprise Financial, Inc.   12,370    1,906,341 
  Bank of New York Mellon Corp.   83,823    2,878,482 
  BlackRock, Inc.   14,585    8,219,377 
  Cboe Global Markets, Inc.   11,186    981,460 
  Charles Schwab Corp.   119,285    4,321,696 
  CME Group, Inc.   36,884    6,171,062 
  E*TRADE Financial Corp.   22,739    1,138,087 
  Franklin Resources, Inc.   27,512    559,869 
  Goldman Sachs Group, Inc.   35,388    7,111,926 
  Intercontinental Exchange, Inc.   57,725    5,775,386 
  Invesco, Ltd.   38,725    441,852 
  MarketAxess Holdings, Inc.   3,906    1,881,090 
  Moody's Corp.   16,602    4,812,090 
  Morgan Stanley   123,250    5,959,137 
  MSCI, Inc.   8,602    3,069,022 
  Nasdaq, Inc.   11,826    1,451,168 
  Northern Trust Corp.   21,403    1,668,792 
  Raymond James Financial, Inc.   12,555    913,502 
  S&P Global, Inc.   24,786    8,937,832 
  State Street Corp.   36,243    2,150,297 
  T. Rowe Price Group, Inc.   23,346    2,993,424 
           73,341,892 
  Chemicals 1.8%          
  Air Products & Chemicals, Inc.   22,718    6,766,783 
  Albemarle Corp.   10,939    976,634 
  Celanese Corp.   12,167    1,307,344 
  CF Industries Holdings, Inc.   21,998    675,559 
  Corteva, Inc.   76,991    2,218,111 
  Dow, Inc.   76,225    3,586,386 
  DuPont de Nemours, Inc.   75,474    4,187,297 
  Eastman Chemical Co.   13,921    1,087,509 
  Ecolab, Inc.   25,536    5,103,114 
  FMC Corp.   13,326    1,411,357 
  International Flavors & Fragrances, Inc.   10,998    1,346,705 
  Linde PLC   54,033    12,866,878 
  LyondellBasell Industries N.V., Class A   26,439    1,863,685 
  Mosaic Co.   35,480    648,220 
  PPG Industries, Inc.   24,270    2,962,882 
  Sherwin-Williams Co.   8,429    5,872,821 
           52,881,285 
  Commercial Services & Supplies 0.4%          
  Cintas Corp.   8,942    2,976,166 
  Copart, Inc. (a)   21,249    2,234,545 
  Republic Services, Inc.   21,619    2,018,134 
  Rollins, Inc.   15,170    822,062 
  Waste Management, Inc.   39,974    4,523,857 
           12,574,764 
  Communications Equipment 0.8%          
  Arista Networks, Inc. (a)   5,630    1,165,016 
  Cisco Systems, Inc.   435,411    17,150,839 
  F5 Networks, Inc. (a)   6,292    772,469 
  Juniper Networks, Inc.   34,120    733,580 
  Motorola Solutions, Inc.   17,463    2,738,373 
           22,560,277 
  Construction & Engineering 0.1%          
  Jacobs Engineering Group, Inc.   13,392    1,242,376 
  Quanta Services, Inc.   14,196    750,400 
           1,992,776 
  Construction Materials 0.1%          
  Martin Marietta Materials, Inc.   6,405    1,507,481 
  Vulcan Materials Co.   13,622    1,846,326 
           3,353,807 
  Consumer Finance 0.5%          
  American Express Co.   67,077    6,724,469 
  Capital One Financial Corp.   46,965    3,374,905 
  Discover Financial Services   31,516    1,820,995 
  Synchrony Financial   55,837    1,461,254 
           13,381,623 
  Containers & Packaging 0.3%          
  Amcor PLC   161,320    1,782,586 
  Avery Dennison Corp.   8,584    1,097,378 
  Ball Corp.   33,587    2,791,751 
  International Paper Co.   40,429    1,638,992 
  Packaging Corp. of America   9,754    1,063,674 
  Sealed Air Corp.   16,011    621,387 
  WestRock Co.   26,704    927,697 
           9,923,465 
  Distributors 0.1%          
  Genuine Parts Co.   14,837    1,412,037 
  LKQ Corp. (a)   28,793    798,430 
           2,210,467 
  Diversified Financial Services 1.5%          
  Berkshire Hathaway, Inc., Class B (a)   203,873    43,412,717 
             
  Diversified Telecommunication Services 1.6%          
  AT&T, Inc.   732,812    20,892,470 
  CenturyLink, Inc.   101,595    1,025,094 
  Verizon Communications, Inc.   425,602    25,319,063 
           47,236,627 
  Electric Utilities 1.8%          
  Alliant Energy Corp.   25,676    1,326,165 
  American Electric Power Co., Inc.   51,029    4,170,600 
  Duke Energy Corp.   75,639    6,698,590 
  Edison International   38,900    1,977,676 
  Entergy Corp.   20,592    2,028,930 
  Evergy, Inc.   23,330    1,185,631 
  Eversource Energy   35,244    2,944,636 
  Exelon Corp.   100,228    3,584,153 
  FirstEnergy Corp.   55,757    1,600,783 
  NextEra Energy, Inc.   50,360    13,977,922 
  NRG Energy, Inc.   25,109    771,851 
  Pinnacle West Capital Corp.   11,577    863,065 
  PPL Corp.   79,069    2,151,468 
  Southern Co.   108,624    5,889,593 
  Xcel Energy, Inc.   54,032    3,728,748 
           52,899,811 
  Electrical Equipment 0.5%          
  AMETEK, Inc.   23,618    2,347,629 
  Eaton Corp. PLC   41,150    4,198,535 
  Emerson Electric Co.   61,463    4,030,129 
  Rockwell Automation, Inc.   11,927    2,632,050 
           13,208,343 
  Electronic Equipment, Instruments & Components 0.5%          
  Amphenol Corp., Class A   30,688    3,322,590 
  CDW Corp.   14,674    1,753,983 
  Corning, Inc.   78,264    2,536,536 
  FLIR Systems, Inc.   13,486    483,473 
  IPG Photonics Corp. (a)   3,670    623,790 
  Keysight Technologies, Inc. (a)   19,248    1,901,317 
  TE Connectivity, Ltd.   33,944    3,317,687 
  Zebra Technologies Corp., Class A (a)   5,487    1,385,248 
           15,324,624 
  Energy Equipment & Services 0.2%          
  Baker Hughes Co.   67,504    897,128 
  Halliburton Co.   90,352    1,088,742 
  National Oilwell Varco, Inc.   39,935    361,811 
  Schlumberger, Ltd.   142,767    2,221,454 
  TechnipFMC PLC   43,441    274,113 
           4,843,248 
  Entertainment 2.0%          
  Activision Blizzard, Inc.   79,387    6,426,378 
  Electronic Arts, Inc. (a)   29,702    3,873,438 
  Live Nation Entertainment, Inc. (a)   14,617    787,564 
  Netflix, Inc. (a)   45,358    22,680,361 
  Take-Two Interactive Software, Inc. (a)   11,760    1,942,987 
  Walt Disney Co.   185,858    23,061,260 
           58,771,988 
  Equity Real Estate Investment Trusts 2.5%          
  Alexandria Real Estate Equities, Inc.   12,064    1,930,240 
  American Tower Corp.   45,621    11,027,964 
  Apartment Investment & Management Co., Class A   15,311    516,287 
  AvalonBay Communities, Inc.   14,475    2,161,697 
  Boston Properties, Inc.   14,567    1,169,730 
  Crown Castle International Corp.   43,163    7,186,639 
  Digital Realty Trust, Inc.   27,666    4,060,262 
  Duke Realty Corp.   38,112    1,406,333 
  Equinix, Inc.   9,108    6,923,264 
  Equity Residential   35,219    1,807,791 
  Essex Property Trust, Inc.   6,707    1,346,699 
  Extra Space Storage, Inc.   13,275    1,420,292 
  Federal Realty Investment Trust   7,079    519,882 
  Healthpeak Properties, Inc.   55,367    1,503,214 
  Host Hotels & Resorts, Inc.   72,536    782,663 
  Iron Mountain, Inc.   29,637    793,975 
  Kimco Realty Corp.   44,483    500,879 
  Mid-America Apartment Communities, Inc.   11,763    1,363,920 
  Prologis, Inc.   75,982    7,645,309 
  Public Storage   15,642    3,483,786 
  Realty Income Corp.   35,488    2,155,896 
  Regency Centers Corp.   16,226    616,913 
  SBA Communications Corp.   11,513    3,666,660 
  Simon Property Group, Inc.   31,461    2,034,897 
  SL Green Realty Corp.   7,535    349,398 
  UDR, Inc.   30,348    989,648 
  Ventas, Inc.   38,372    1,610,089 
  Vornado Realty Trust   16,122    543,473 
  Welltower, Inc.   42,920    2,364,463 
  Weyerhaeuser Co.   76,755    2,189,053 
           74,071,316 
  Food & Staples Retailing 1.5%          
  Costco Wholesale Corp.   45,410    16,120,550 
  Kroger Co.   80,010    2,713,139 
  Sysco Corp.   52,303    3,254,293 
  Walgreens Boots Alliance, Inc.   73,972    2,657,074 
  Walmart, Inc.   142,812    19,980,827 
           44,725,883 
  Food Products 1.1%          
  Archer-Daniels-Midland Co.   57,148    2,656,811 
  Campbell Soup Co.   20,822    1,007,160 
  Conagra Brands, Inc.   50,241    1,794,106 
  General Mills, Inc.   62,834    3,875,601 
  Hershey Co.   15,161    2,173,178 
  Hormel Foods Corp.   28,859    1,410,916 
  J.M. Smucker Co.   11,732    1,355,281 
  Kellogg Co.   26,099    1,685,734 
  Kraft Heinz Co.   66,644    1,995,988 
  Lamb Weston Holdings, Inc.   14,946    990,471 
  McCormick & Co., Inc.   12,748    2,474,387 
  Mondelez International, Inc., Class A   146,905    8,439,692 
  Tyson Foods, Inc., Class A   30,264    1,800,103 
           31,659,428 
  Gas Utilities 0.1%          
  Atmos Energy Corp.   12,687    1,212,750 
             
  Health Care Equipment & Supplies 3.9%          
  Abbott Laboratories   182,100    19,817,943 
  ABIOMED, Inc. (a)   4,634    1,283,896 
  Align Technology, Inc. (a)   7,375    2,414,280 
  Baxter International, Inc.   52,065    4,187,067 
  Becton Dickinson & Co.   29,813    6,936,889 
  Boston Scientific Corp. (a)   147,145    5,622,411 
  Cooper Cos., Inc.   5,053    1,703,467 
  Danaher Corp.   64,937    13,982,884 
  DENTSPLY SIRONA, Inc.   22,472    982,701 
  DexCom, Inc. (a)   9,847    4,059,229 
  Edwards Lifesciences Corp. (a)   63,946    5,104,170 
  Hologic, Inc. (a)   26,637    1,770,561 
  IDEXX Laboratories, Inc. (a)   8,748    3,438,926 
  Intuitive Surgical, Inc. (a)   12,036    8,540,024 
  Medtronic PLC   138,253    14,367,252 
  ResMed, Inc.   14,903    2,554,821 
  STERIS PLC   8,748    1,541,310 
  Stryker Corp.   33,609    7,003,107 
  Teleflex, Inc.   4,784    1,628,569 
  Varian Medical Systems, Inc. (a)   9,373    1,612,156 
  West Pharmaceutical Services, Inc.   7,595    2,087,866 
  Zimmer Biomet Holdings, Inc.   21,295    2,899,101 
           113,538,630 
  Health Care Providers & Services 2.6%          
  AmerisourceBergen Corp.   15,117    1,465,140 
  Anthem, Inc.   25,867    6,947,618 
  Cardinal Health, Inc.   30,078    1,412,162 
  Centene Corp. (a)   59,599    3,476,410 
  Cigna Corp.   37,767    6,398,107 
  CVS Health Corp.   134,601    7,860,698 
  DaVita, Inc. (a)   7,646    654,880 
  HCA Healthcare, Inc.   27,118    3,381,072 
  Henry Schein, Inc. (a)   14,684    863,126 
  Humana, Inc.   13,607    5,631,801 
  Laboratory Corp. of America Holdings (a)   10,018    1,886,089 
  McKesson Corp.   16,681    2,484,301 
  Quest Diagnostics, Inc.   13,813    1,581,450 
  UnitedHealth Group, Inc.   97,742    30,473,023 
  Universal Health Services, Inc., Class B   7,992    855,304 
           75,371,181 
  Health Care Technology 0.1%          
  Cerner Corp.   31,408    2,270,484 
             
  Hotels, Restaurants & Leisure 1.6%          
  Carnival Corp. (b)   53,265    808,563 
  Chipotle Mexican Grill, Inc. (a)   2,877    3,578,154 
  Darden Restaurants, Inc.   13,379    1,347,801 
  Domino's Pizza, Inc.   4,047    1,721,108 
  Hilton Worldwide Holdings, Inc.   28,521    2,433,412 
  Las Vegas Sands Corp.   33,779    1,576,128 
  Marriott International, Inc., Class A   27,352    2,532,248 
  McDonald's Corp.   76,531    16,797,789 
  MGM Resorts International   42,109    915,871 
  Norwegian Cruise Line Holdings, Ltd. (a)(b)   28,348    485,034 
  Royal Caribbean Cruises, Ltd.   18,325    1,186,177 
  Starbucks Corp.   120,232    10,330,333 
  Wynn Resorts, Ltd.   9,983    716,879 
  Yum! Brands, Inc.   30,999    2,830,209 
           47,259,706 
  Household Durables 0.4%          
  D.R. Horton, Inc.   34,040    2,574,445 
  Garmin, Ltd.   15,342    1,455,342 
  Leggett & Platt, Inc.   13,617    560,612 
  Lennar Corp., Class A   28,245    2,307,052 
  Mohawk Industries, Inc. (a)   6,151    600,276 
  Newell Brands, Inc.   38,839    666,477 
  NVR, Inc. (a)   358    1,461,757 
  PulteGroup, Inc.   27,582    1,276,771 
  Whirlpool Corp.   6,407    1,178,183 
           12,080,915 
  Household Products 1.8%          
  Church & Dwight Co., Inc.   25,437    2,383,701 
  Clorox Co.   12,981    2,728,217 
  Colgate-Palmolive Co.   88,183    6,803,319 
  Kimberly-Clark Corp.   35,076    5,179,322 
  Procter & Gamble Co.   256,060    35,589,779 
           52,684,338 
  Independent Power & Renewable Electricity Producers 0.1%          
  AES Corp.   68,409    1,238,887 
             
  Industrial Conglomerates 1.1%          
  3M Co.   59,243    9,489,544 
  General Electric Co.   900,283    5,608,763 
  Honeywell International, Inc.   72,179    11,881,385 
  Roper Technologies, Inc.   10,770    4,255,335 
           31,235,027 
  Insurance 1.8%          
  Aflac, Inc.   68,190    2,478,707 
  Allstate Corp.   32,122    3,023,965 
  American International Group, Inc.   88,599    2,439,130 
  Aon PLC, Class A   23,825    4,915,098 
  Arthur J. Gallagher & Co.   19,696    2,079,504 
  Assurant, Inc.   6,136    744,358 
  Chubb, Ltd.   46,423    5,390,639 
  Cincinnati Financial Corp.   15,386    1,199,646 
  Everest Re Group, Ltd.   4,112    812,284 
  Globe Life, Inc.   10,079    805,312 
  Hartford Financial Services Group, Inc.   36,840    1,357,922 
  Lincoln National Corp.   18,683    585,338 
  Loews Corp.   24,517    851,966 
  Marsh & McLennan Cos., Inc.   52,097    5,975,526 
  MetLife, Inc.   79,350    2,949,440 
  Principal Financial Group, Inc.   26,258    1,057,410 
  Progressive Corp.   60,208    5,699,891 
  Prudential Financial, Inc.   40,626    2,580,564 
  Travelers Cos., Inc.   26,041    2,817,376 
  Unum Group   20,936    352,353 
  W.R. Berkley Corp.   14,463    884,412 
  Willis Towers Watson PLC   13,253    2,767,491 
           51,768,332 
  Interactive Media & Services 5.4%          
  Alphabet, Inc. (a)          
  Class A   30,904    45,292,902 
  Class C   30,196    44,376,042 
  Facebook, Inc., Class A (a)   247,282    64,763,156 
  Twitter, Inc. (a)   81,350    3,620,075 
           158,052,175 
  Internet & Direct Marketing Retail 5.2%          
  Amazon.com, Inc. (a)   43,789    137,879,738 
  Booking Holdings, Inc. (a)   4,212    7,205,384 
  eBay, Inc.   68,384    3,562,807 
  Etsy, Inc. (a)   12,273    1,492,765 
  Expedia Group, Inc.   13,957    1,279,717 
           151,420,411 
  IT Services 5.5%          
  Accenture PLC, Class A   65,434    14,787,430 
  Akamai Technologies, Inc. (a)   16,735    1,849,887 
  Automatic Data Processing, Inc.   44,222    6,168,527 
  Broadridge Financial Solutions, Inc.   11,845    1,563,540 
  Cognizant Technology Solutions Corp., Class A   55,769    3,871,484 
  DXC Technology Co.   26,144    466,670 
  Fidelity National Information Services, Inc.   63,727    9,381,252 
  Fiserv, Inc. (a)   57,165    5,890,853 
  FleetCor Technologies, Inc. (a)   8,645    2,058,375 
  Gartner, Inc. (a)   9,178    1,146,791 
  Global Payments, Inc.   30,778    5,465,557 
  International Business Machines Corp.   91,597    11,144,607 
  Jack Henry & Associates, Inc.   7,883    1,281,697 
  Leidos Holdings, Inc.   13,748    1,225,634 
  Mastercard, Inc., Class A   90,854    30,724,097 
  Paychex, Inc.   32,951    2,628,501 
  PayPal Holdings, Inc. (a)   120,675    23,776,595 
  VeriSign, Inc. (a)   10,395    2,129,416 
  Visa, Inc., Class A   173,406    34,675,998 
  Western Union Co.   42,272    905,889 
           161,142,800 
  Leisure Products 0.0% ‡          
  Hasbro, Inc.   13,107    1,084,211 
             
  Life Sciences Tools & Services 1.2%          
  Agilent Technologies, Inc.   31,709    3,200,707 
  Bio-Rad Laboratories, Inc., Class A (a)   2,201    1,134,527 
  Illumina, Inc. (a)   15,016    4,641,145 
  IQVIA Holdings, Inc. (a)   19,672    3,100,897 
  Mettler-Toledo International, Inc. (a)   2,466    2,381,540 
  PerkinElmer, Inc.   11,501    1,443,491 
  Thermo Fisher Scientific, Inc.   40,687    17,964,124 
  Waters Corp. (a)   6,369    1,246,286 
           35,112,717 
  Machinery 1.6%          
  Caterpillar, Inc.   55,694    8,306,760 
  Cummins, Inc.   15,189    3,207,309 
  Deere & Co.   32,230    7,143,135 
  Dover Corp.   14,808    1,604,299 
  Flowserve Corp.   13,387    365,331 
  Fortive Corp.   34,669    2,642,125 
  IDEX Corp.   7,767    1,416,778 
  Illinois Tool Works, Inc.   29,591    5,717,277 
  Ingersoll Rand, Inc. (a)   38,176    1,359,066 
  Otis Worldwide Corp.   41,870    2,613,525 
  PACCAR, Inc.   35,602    3,036,139 
  Parker-Hannifin Corp.   13,223    2,675,542 
  Pentair PLC   17,064    781,019 
  Snap-On, Inc.   5,602    824,222 
  Stanley Black & Decker, Inc.   16,423    2,663,811 
  Westinghouse Air Brake Technologies Corp.   18,398    1,138,468 
  Xylem, Inc.   18,509    1,556,977 
           47,051,783 
  Media 1.3%          
  Charter Communications, Inc., Class A (a)   15,384    9,604,847 
  Comcast Corp., Class A   468,861    21,689,510 
  Discovery, Inc. (a)          
  Class A   (b)   16,477    358,704 
  Class C   31,838    624,025 
  DISH Network Corp., Class A (a)   25,374    736,607 
  Fox Corp.          
  Class A   35,348    983,735 
  Class B   (a)   16,111    450,625 
  Interpublic Group of Cos., Inc.   40,104    668,534 
  News Corp.          
  Class A   40,009    560,926 
  Class B   12,524    175,085 
  Omnicom Group, Inc.   22,099    1,093,900 
  ViacomCBS, Inc., Class B   57,985    1,624,160 
           38,570,658 
  Metals & Mining 0.3%          
  Freeport-McMoRan, Inc.   149,362    2,336,022 
  Newmont Corp.   82,596    5,240,716 
  Nucor Corp.   31,050    1,392,903 
           8,969,641 
  Multi-Utilities 0.9%          
  Ameren Corp.   25,412    2,009,581 
  CenterPoint Energy, Inc.   56,035    1,084,277 
  CMS Energy Corp.   29,444    1,808,156 
  Consolidated Edison, Inc.   34,403    2,676,553 
  Dominion Energy, Inc.   86,408    6,820,184 
  DTE Energy Co.   19,814    2,279,403 
  NiSource, Inc.   39,394    866,668 
  Public Service Enterprise Group, Inc.   52,018    2,856,308 
  Sempra Energy   29,750    3,521,210 
  WEC Energy Group, Inc.   32,443    3,143,727 
           27,066,067 
  Multiline Retail 0.5%          
  Dollar General Corp.   25,613    5,368,997 
  Dollar Tree, Inc. (a)   24,407    2,229,335 
  Target Corp.   51,489    8,105,399 
           15,703,731 
  Oil, Gas & Consumable Fuels 1.9%          
  Apache Corp.   38,822    367,644 
  Cabot Oil & Gas Corp.   40,994    711,656 
  Chevron Corp.   192,055    13,827,960 
  Concho Resources, Inc.   20,231    892,592 
  ConocoPhillips   110,314    3,622,712 
  Devon Energy Corp.   39,371    372,450 
  Diamondback Energy, Inc.   16,232    488,908 
  EOG Resources, Inc.   59,884    2,152,231 
  Exxon Mobil Corp.   434,877    14,929,327 
  Hess Corp.   28,116    1,150,788 
  HollyFrontier Corp.   15,331    302,174 
  Kinder Morgan, Inc.   200,214    2,468,638 
  Marathon Oil Corp.   81,195    332,087 
  Marathon Petroleum Corp.   66,924    1,963,550 
  Noble Energy, Inc.   49,847    426,192 
  Occidental Petroleum Corp.   86,099    861,851 
  ONEOK, Inc.   45,687    1,186,948 
  Phillips 66   44,914    2,328,342 
  Pioneer Natural Resources Co.   16,896    1,452,887 
  Valero Energy Corp.   41,937    1,816,711 
  Williams Cos., Inc.   124,815    2,452,615 
           54,108,263 
  Personal Products 0.2%          
  Estee Lauder Cos., Inc., Class A   23,200    5,063,400 
             
  Pharmaceuticals 4.1%          
  Bristol-Myers Squibb Co.   231,820    13,976,428 
  Catalent, Inc. (a)   16,882    1,446,112 
  Eli Lilly & Co.   81,650    12,085,833 
  Johnson & Johnson   270,788    40,314,917 
  Merck & Co., Inc.   260,134    21,578,115 
  Mylan N.V. (a)   53,168    788,481 
  Perrigo Co. PLC   14,037    644,439 
  Pfizer, Inc.   571,530    20,975,151 
  Zoetis, Inc.   48,869    8,081,467 
           119,890,943 
  Professional Services 0.3%          
  Equifax, Inc.   12,492    1,959,995 
  IHS Markit, Ltd.   38,363    3,011,879 
  Nielsen Holdings PLC   36,692    520,292 
  Robert Half International, Inc.   11,790    624,163 
  Verisk Analytics, Inc.   16,701    3,094,862 
           9,211,191 
  Real Estate Management & Development 0.1%          
  CBRE Group, Inc., Class A (a)   34,483    1,619,667 
             
  Road & Rail 1.0%          
  CSX Corp.   78,686    6,111,541 
  J.B. Hunt Transport Services, Inc.   8,573    1,083,456 
  Kansas City Southern   9,704    1,754,774 
  Norfolk Southern Corp.   26,238    5,614,670 
  Old Dominion Freight Line, Inc.   9,896    1,790,384 
  Union Pacific Corp.   69,818    13,745,070 
           30,099,895 
  Semiconductors & Semiconductor Equipment 5.0%          
  Advanced Micro Devices, Inc. (a)   120,753    9,900,538 
  Analog Devices, Inc.   38,009    4,437,171 
  Applied Materials, Inc.   93,932    5,584,257 
  Broadcom, Inc.   41,366    15,070,461 
  Intel Corp.   437,425    22,649,867 
  KLA Corp.   15,989    3,097,709 
  Lam Research Corp.   14,978    4,968,952 
  Maxim Integrated Products, Inc.   27,459    1,856,503 
  Microchip Technology, Inc.   25,965    2,668,163 
  Micron Technology, Inc. (a)   114,267    5,365,978 
  NVIDIA Corp.   63,459    34,345,280 
  Qorvo, Inc. (a)   11,749    1,515,739 
  QUALCOMM, Inc.   116,043    13,655,940 
  Skyworks Solutions, Inc.   17,180    2,499,690 
  Teradyne, Inc.   17,077    1,356,938 
  Texas Instruments, Inc.   94,205    13,451,532 
  Xilinx, Inc.   25,128    2,619,343 
           145,044,061 
  Software 9.0%          
  Adobe, Inc. (a)   49,334    24,194,874 
  ANSYS, Inc. (a)   8,824    2,887,477 
  Autodesk, Inc. (a)   22,553    5,209,968 
  Cadence Design Systems, Inc. (a)   28,674    3,057,509 
  Citrix Systems, Inc.   12,705    1,749,606 
  Fortinet, Inc. (a)   13,815    1,627,545 
  Intuit, Inc.   26,927    8,783,857 
  Microsoft Corp.   778,339    163,708,042 
  NortonLifeLock, Inc.   60,786    1,266,780 
  Oracle Corp.   198,838    11,870,629 
  Paycom Software, Inc. (a)   5,037    1,568,018 
  salesforce.com, Inc. (a)   93,595    23,522,295 
  ServiceNow, Inc. (a)   19,727    9,567,595 
  Synopsys, Inc. (a)   15,609    3,340,014 
  Tyler Technologies, Inc. (a)   4,139    1,442,690 
           263,796,899 
  Specialty Retail 2.4%          
  Advance Auto Parts, Inc.   7,112    1,091,692 
  AutoZone, Inc. (a)   2,403    2,829,869 
  Best Buy Co., Inc.   23,693    2,636,794 
  CarMax, Inc. (a)   16,773    1,541,606 
  Gap, Inc.   21,133    359,895 
  Home Depot, Inc.   110,714    30,746,385 
  L Brands, Inc.   24,008    763,695 
  Lowe's Cos., Inc.   77,727    12,891,800 
  O'Reilly Automotive, Inc. (a)   7,618    3,512,507 
  Ross Stores, Inc.   36,607    3,416,165 
  Tiffany & Co.   11,110    1,287,094 
  TJX Cos., Inc.   123,324    6,862,981 
  Tractor Supply Co.   11,954    1,713,486 
  Ulta Beauty, Inc. (a)   5,793    1,297,516 
           70,951,485 
  Technology Hardware, Storage & Peripherals 6.8%          
  Apple, Inc. (c)   1,653,469    191,488,245 
  Hewlett Packard Enterprise Co.   132,306    1,239,707 
  HP, Inc.   141,264    2,682,604 
  NetApp, Inc.   22,833    1,000,999 
  Seagate Technology PLC   22,955    1,130,993 
  Western Digital Corp.   31,115    1,137,253 
  Xerox Holdings Corp.   18,403    345,424 
           199,025,225 
  Textiles, Apparel & Luxury Goods 0.7%          
  Hanesbrands, Inc.   35,808    563,976 
  NIKE, Inc., Class B   128,036    16,073,640 
  PVH Corp.   7,296    435,133 
  Ralph Lauren Corp.   4,953    336,655 
  Tapestry, Inc.   28,411    444,064 
  Under Armour, Inc. (a)          
  Class A   19,391    217,761 
  Class C   20,001    196,810 
  VF Corp.   32,862    2,308,556 
           20,576,595 
  Tobacco 0.7%          
  Altria Group, Inc.   191,137    7,385,534 
  Philip Morris International, Inc.   160,168    12,010,998 
           19,396,532 
  Trading Companies & Distributors 0.2%          
  Fastenal Co.   58,998    2,660,220 
  United Rentals, Inc. (a)   7,414    1,293,743 
  W.W. Grainger, Inc.   4,628    1,651,131 
           5,605,094 
  Water Utilities 0.1%          
  American Water Works Co., Inc.   18,637    2,700,129 
             
  Wireless Telecommunication Services 0.2%          
  T-Mobile U.S., Inc. (a)   59,835    6,842,731 
  Total Common Stocks(d)
(Cost $1,226,898,493)
        2,866,245,051 
             
      Principal Amount      
  Short-Term Investments 1.8%          
  U.S. Government & Federal Agencies 1.7% (e)          
  United States Treasury Bills 1.7%          
  0.039%, due 10/8/20  $200,000    199,998 
  0.052%, due 10/8/20   1,100,000    1,099,989 
  0.053%, due 10/8/20   100,000    99,999 
  0.067%, due 10/8/20   200,000    199,997 
  0.074%, due 10/8/20   500,000    499,995 
  0.078%, due 10/8/20   17,000,000    16,999,746 
  0.081%, due 10/8/20   1,600,000    1,599,975 
  0.082%, due 10/8/20   700,000    699,989 
  0.085%, due 10/8/20   2,800,000    2,799,954 
  0.086%, due 10/8/20   2,200,000    2,199,964 
  0.087%, due 10/8/20   2,300,000    2,299,962 
  0.088%, due 10/8/20   6,900,000    6,899,883 
  0.09%, due 10/8/20   100,000    99,998 
  0.092%, due 10/29/20 (c)   15,600,000    15,598,902 
  Total U.S. Government & Federal Agencies
(Cost $51,298,353)
        51,298,351 
             
      Shares      
  Unaffiliated Investment Company 0.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (f)(g)   2,081,750    2,081,750 
             
  Total Unaffiliated Investment Company
(Cost $2,081,750)
        2,081,750 
  Total Short-Term Investments
(Cost $53,380,103)
        53,380,101 
  Total Investments
(Cost $1,280,278,596)
   100.0%   2,919,625,152 
  Other Assets, Less Liabilities   (0.0)‡   (135,550)
  Net Assets   100.0%  $2,919,489,602 

 

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 September 30, 2020, the aggregate market value of securities on loan was $2,053,212; the total market value of collateral held by the Portfolio was $2,084,279. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $2,529.  
(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 99.9% of the Portfolio's net assets.
(e) Interest rate shown represents yield to maturity.
(f) Represents a security purchased with cash collateral received for securities on loan.
(g) Current yield as of September 30, 2020.

 

Futures Contracts

As of September 30, 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 
Short Contracts                      
Standard & Poor's 500 Index Mini  306  December 2020  $51,669,623   $51,285,600   $(384,023)

 

1. Represents the difference between the value of the contracts at the time they were opened and the value as of September 30, 2020.

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $2,866,245,051   $   $   $2,866,245,051 
Short-Term Investments                    
U.S. Government & Federal Agencies       51,298,351        51,298,351 
Unaffiliated Investment Company   2,081,750            2,081,750 
Total Short-Term Investments   2,081,750    51,298,351        53,380,101 
Total Investments in Securities   2,868,326,801    51,298,351        2,919,625,152 
                     
Liability Valuation Inputs                    
                     
Other Financial Instruments Futures Contracts (b)  $(384,023)  $   $   $(384,023)

 

(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 September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 98.6% †
  Aerospace & Defense 0.1%          
  Maxar Technologies, Inc.   8,000   $199,520 
  Vectrus, Inc. (a)   6,000    228,000 
           427,520 
  Air Freight & Logistics 0.5%          
  Atlas Air Worldwide Holdings, Inc. (a)   9,900    602,910 
  Hub Group, Inc., Class A (a)   31,700    1,591,182 
           2,194,092 
  Airlines 0.0% ‡          
  SkyWest, Inc.   2,900    86,594 
  Spirit Airlines, Inc. (a)   4,700    75,670 
           162,264 
  Auto Components 0.8%          
  American Axle & Manufacturing Holdings, Inc. (a)   50,700    292,539 
  Cooper Tire & Rubber Co.   3,300    104,610 
  Dana, Inc.   6,500    80,080 
  Fox Factory Holding Corp. (a)   5,900    438,547 
  Goodyear Tire & Rubber Co.   12,100    92,807 
  LCI Industries   7,800    829,062 
  Modine Manufacturing Co. (a)   29,600    185,000 
  Standard Motor Products, Inc.   22,700    1,013,555 
  Workhorse Group, Inc. (a)(b)   16,400    414,592 
           3,450,792 
  Automobiles 0.3%          
  Winnebago Industries, Inc.   25,700    1,327,919 
             
  Banks 6.3%          
  Amalgamated Bank, Class A   32,300    341,734 
  American National Bankshares, Inc.   1,400    29,288 
  Ameris Bancorp   1,600    36,448 
  Arrow Financial Corp.   4,429    111,124 
  Atlantic Capital Bancshares, Inc. (a)   23,000    261,050 
  Bancorp, Inc. (a)   102,400    884,736 
  BancorpSouth Bank   1,400    27,132 
  Bank of Commerce Holdings   1,100    7,667 
  Bank of N.T. Butterfield & Son, Ltd.   9,600    213,888 
  Bank of Princeton   700    12,719 
  Bank7 Corp.   1,200    11,280 
  BankUnited, Inc.   53,700    1,176,567 
  Boston Private Financial Holdings, Inc.   75,900    418,968 
  Bridge Bancorp, Inc.   44,390    773,718 
  Capstar Financial Holdings, Inc.   200    1,962 
  Cathay General Bancorp   45,600    988,608 
  Central Pacific Financial Corp.   40,400    548,228 
  Century Bancorp, Inc., Class A   5,300    348,422 
  CIT Group, Inc.   9,200    162,932 
  Civista Bancshares, Inc.   20,100    251,652 
  Columbia Banking System, Inc.   100    2,385 
  Community Bank System, Inc.   4,400    239,624 
  ConnectOne Bancorp, Inc.   4,100    57,687 
  Customers Bancorp, Inc. (a)   78,100    874,720 
  CVB Financial Corp.   3,800    63,194 
  Eagle Bancorp, Inc.   37,600    1,007,304 
  Esquire Financial Holdings, Inc. (a)   7,400    111,000 
  Evans Bancorp, Inc.   700    15,575 
  Farmers National Banc Corp.   28,000    305,760 
  Financial Institutions, Inc.   51,100    786,940 
  First BanCorp   196,100    1,023,642 
  First Bank   10,200    63,240 
  First Business Financial Services, Inc.   18,900    270,081 
  First Choice Bancorp   4,600    61,134 
  First Financial Bancorp   1,200    14,406 
  First Financial Bankshares, Inc.   14,100    393,531 
  First Foundation, Inc.   65,300    853,471 
  First Guaranty Bancshares, Inc.   1,100    13,321 
  First Internet Bancorp   32,900    484,617 
  First Merchants Corp.   16,700    386,772 
  First Midwest Bancorp, Inc.   2,000    21,560 
  First Northwest Bancorp   17,600    174,240 
  First of Long Island Corp.   54,800    811,588 
  Flushing Financial Corp.   77,700    817,404 
  Franklin Financial Services Corp.   600    12,828 
  Glacier Bancorp, Inc.   8,500    272,425 
  Great Southern Bancorp, Inc.   5,600    202,832 
  Hancock Whitney Corp.   33,100    622,611 
  Hanmi Financial Corp.   19,000    155,990 
  Home BancShares, Inc.   6,200    93,992 
  Hope Bancorp, Inc.   131,900    1,000,461 
  Horizon Bancorp, Inc.   6,300    63,567 
  Independent Bank Corp.   7,400    96,999 
  International Bancshares Corp.   1,600    41,696 
  Investors Bancorp, Inc.   107,100    777,546 
  Lakeland Bancorp, Inc.   70,100    697,495 
  LCNB Corp.   1,800    24,570 
  Macatawa Bank Corp.   1,600    10,448 
  MainStreet Bancshares, Inc. (a)   2,400    29,376 
  Mercantile Bank Corp.   3,700    66,674 
  Metropolitan Bank Holding Corp. (a)   27,600    772,800 
  Midland States Bancorp, Inc.   7,500    96,375 
  MidWestOne Financial Group, Inc.   8,300    148,321 
  MVB Financial Corp.   100    1,597 
  OceanFirst Financial Corp.   45,500    622,895 
  Old National Bancorp   4,700    59,032 
  Orrstown Financial Services, Inc.   11,600    148,480 
  PCB Bancorp   3,872    34,035 
  Peapack-Gladstone Financial Corp.   27,200    412,080 
  Preferred Bank / Los Angeles CA   20,400    655,248 
  QCR Holdings, Inc.   7,500    205,575 
  RBB Bancorp   17,100    193,914 
  Republic Bancorp, Inc., Class A   10,000    281,600 
  Sierra Bancorp   7,000    117,530 
  SmartFinancial, Inc.   15,600    212,004 
  South Plains Financial, Inc.   14,800    183,668 
  South State Corp.   7,500    361,125 
  Southern National Bancorp of Virginia, Inc.   28,100    243,908 
  Texas Capital Bancshares, Inc. (a)   7,600    236,588 
  UMB Financial Corp.   1,200    58,812 
  United Bankshares, Inc.   9,900    212,553 
  United Community Banks, Inc.   12,900    218,397 
  Unity Bancorp, Inc.   1,100    12,738 
  Valley National Bancorp   30,900    211,665 
  WesBanco, Inc.   53,000    1,132,080 
  West Bancorp., Inc.   12,800    202,752 
           26,666,601 
  Beverages 1.0%          
  Boston Beer Co., Inc., Class A (a)   1,400    1,236,704 
  Coca-Cola Consolidated, Inc.   5,800    1,395,944 
  Primo Water Corp.   124,900    1,773,580 
           4,406,228 
  Biotechnology 10.5%          
  Adverum Biotechnologies, Inc. (a)   38,600    397,580 
  Allakos, Inc. (a)(b)   8,500    692,325 
  Amicus Therapeutics, Inc. (a)   79,440    1,121,693 
  Apellis Pharmaceuticals, Inc. (a)   29,400    886,998 
  Arena Pharmaceuticals, Inc. (a)   20,883    1,561,840 
  Arrowhead Pharmaceuticals, Inc. (a)   28,900    1,244,434 
  Atara Biotherapeutics, Inc. (a)   40,300    522,288 
  Biohaven Pharmaceutical Holding Co., Ltd. (a)   22,100    1,436,721 
  Blueprint Medicines Corp. (a)   16,200    1,501,740 
  Bridgebio Pharma, Inc. (a)(b)   25,800    968,016 
  ChemoCentryx, Inc. (a)   15,100    827,480 
  Deciphera Pharmaceuticals, Inc. (a)   20,600    1,056,780 
  Editas Medicine, Inc. (a)   29,800    836,188 
  Emergent BioSolutions, Inc. (a)   12,492    1,290,798 
  Enanta Pharmaceuticals, Inc. (a)   9,300    425,754 
  Epizyme, Inc. (a)   51,700    616,781 
  Fate Therapeutics, Inc. (a)   24,000    959,280 
  FibroGen, Inc. (a)   31,019    1,275,501 
  Halozyme Therapeutics, Inc. (a)   43,100    1,132,668 
  Heron Therapeutics, Inc. (a)   62,500    926,250 
  Insmed, Inc. (a)   43,490    1,397,769 
  Intercept Pharmaceuticals, Inc. (a)   22,100    916,266 
  Invitae Corp. (a)(b)   38,500    1,668,975 
  Ironwood Pharmaceuticals, Inc. (a)   80,752    726,364 
  Kadmon Holdings, Inc. (a)   130,600    511,952 
  Kodiak Sciences, Inc. (a)   11,200    663,152 
  Ligand Pharmaceuticals, Inc. (a)(b)   7,127    679,346 
  Madrigal Pharmaceuticals, Inc. (a)   5,900    700,507 
  Mirati Therapeutics, Inc. (a)   11,100    1,843,155 
  Momenta Pharmaceuticals, Inc. (a)   32,269    1,693,477 
  Myriad Genetics, Inc. (a)   58,510    762,970 
  Natera, Inc. (a)   20,200    1,459,248 
  Novavax, Inc. (a)   16,000    1,733,600 
  OPKO Health, Inc. (a)(b)   173,600    640,584 
  PTC Therapeutics, Inc. (a)   21,300    995,775 
  REGENXBIO, Inc. (a)   31,500    866,880 
  Retrophin, Inc. (a)   30,800    568,568 
  Sangamo Therapeutics, Inc. (a)   62,200    587,790 
  Sorrento Therapeutics, Inc. (a)(b)   32,200    359,030 
  TG Therapeutics, Inc. (a)   34,500    923,220 
  Turning Point Therapeutics, Inc. (a)   10,800    943,488 
  Twist Bioscience Corp. (a)   11,700    888,849 
  Ultragenyx Pharmaceutical, Inc. (a)   18,344    1,507,693 
  Vir Biotechnology, Inc. (a)   16,900    580,177 
  Xencor, Inc. (a)   26,831    1,040,775 
           44,340,725 
  Building Products 3.4%          
  American Woodmark Corp. (a)   16,400    1,288,056 
  Builders FirstSource, Inc. (a)   66,600    2,172,492 
  Griffon Corp.   1,600    31,264 
  Insteel Industries, Inc.   25,200    471,240 
  JELD-WEN Holding, Inc. (a)   74,500    1,683,700 
  Masonite International Corp. (a)   19,000    1,869,600 
  Patrick Industries, Inc.   24,100    1,386,232 
  PGT Innovations, Inc. (a)   72,600    1,271,952 
  Quanex Building Products Corp.   7,500    138,300 
  Simpson Manufacturing Co., Inc.   19,900    1,933,484 
  UFP Industries, Inc.   35,200    1,989,152 
           14,235,472 
  Capital Markets 1.8%          
  Artisan Partners Asset Management, Inc., Class A   40,000    1,559,600 
  Brightsphere Investment Group, Inc.   49,600    639,840 
  Cowen, Inc., Class A   39,500    642,665 
  Donnelley Financial Solutions, Inc. (a)   66,500    888,440 
  Federated Hermes, Inc.   76,800    1,651,968 
  GAMCO Investors, Inc., Class A   2,300    26,611 
  Stifel Financial Corp.   22,000    1,112,320 
  Stonex Group, Inc. (a)   19,900    1,018,084 
  Waddell & Reed Financial, Inc., Class A   13,000    193,050 
           7,732,578 
  Chemicals 1.6%          
  AdvanSix, Inc. (a)   62,600    806,288 
  Avient Corp.   67,800    1,793,988 
  FutureFuel Corp.   1,400    15,918 
  Hawkins, Inc.   400    18,440 
  Ingevity Corp. (a)   1,800    88,992 
  Koppers Holdings, Inc. (a)   36,700    767,397 
  Kraton Corp. (a)   5,600    99,792 
  Minerals Technologies, Inc.   2,000    102,200 
  Orion Engineered Carbons S.A.   106,900    1,337,319 
  Quaker Chemical Corp.   200    35,942 
  Stepan Co.   13,900    1,515,100 
  Tredegar Corp.   23,000    342,010 
           6,923,386 
  Commercial Services & Supplies 1.5%          
  ACCO Brands Corp.   34,600    200,680 
  Brink's Co.   4,300    176,687 
  CECO Environmental Corp. (a)   400    2,916 
  Deluxe Corp.   18,700    481,151 
  Herman Miller, Inc.   60,800    1,833,728 
  HNI Corp.   39,700    1,245,786 
  Interface, Inc.   55,000    336,600 
  KAR Auction Services, Inc.   9,700    139,680 
  Kimball International, Inc., Class B   16,000    168,640 
  Matthews International Corp., Class A   5,300    118,508 
  McGrath RentCorp.   10,800    643,572 
  Pitney Bowes, Inc.   99,200    526,752 
  Steelcase, Inc., Class A   24,400    246,684 
           6,121,384 
  Communications Equipment 1.0%          
  Calix, Inc. (a)   6,000    106,680 
  Cambium Networks Corp. (a)   9,600    161,952 
  Extreme Networks, Inc. (a)   290,000    1,165,800 
  Infinera Corp. (a)   13,600    83,776 
  Inseego Corp. (a)(b)   4,400    45,408 
  InterDigital, Inc.   4,700    268,182 
  NETGEAR, Inc. (a)   30,400    936,928 
  NetScout Systems, Inc. (a)   10,500    229,215 
  PCTEL, Inc.   18,300    103,578 
  Ribbon Communications, Inc. (a)   128,500    497,295 
  Viavi Solutions, Inc. (a)   39,900    468,027 
           4,066,841 
  Construction & Engineering 1.4%          
  Comfort Systems USA, Inc.   32,600    1,679,226 
  EMCOR Group, Inc.   21,500    1,455,765 
  IES Holdings, Inc. (a)   7,200    228,744 
  MYR Group, Inc. (a)   10,500    390,390 
  Primoris Services Corp.   78,700    1,419,748 
  Sterling Construction Co., Inc. (a)   18,800    266,208 
  Tutor Perini Corp. (a)   24,700    274,911 
  WillScot Mobile Mini Holdings Corp. (a)   4,100    68,388 
           5,783,380 
  Construction Materials 0.0% ‡          
  Forterra, Inc. (a)   12,800    151,296 
             
  Consumer Finance 0.8%          
  Curo Group Holdings Corp.   67,700    477,285 
  Enova International, Inc. (a)   73,200    1,199,748 
  Green Dot Corp., Class A (a)   35,300    1,786,533 
           3,463,566 
  Distributors 0.0% ‡          
  Core-Mark Holding Co., Inc.   4,000    115,720 
  Weyco Group, Inc.   2,000    32,340 
           148,060 
  Diversified Consumer Services 0.5%          
  American Public Education, Inc. (a)   28,000    789,320 
  Carriage Services, Inc.   15,200    339,112 
  K12, Inc. (a)   11,800    310,812 
  Perdoceo Education Corp. (a)   41,100    503,064 
  Strategic Education, Inc.   1,000    91,470 
  Universal Technical Institute, Inc. (a)   10,500    53,340 
           2,087,118 
  Diversified Financial Services 0.1%          
  A-Mark Precious Metals, Inc.   4,700    158,484 
  Alerus Financial Corp.   1,900    37,240 
  Marlin Business Services Corp.   2,300    16,215 
  SWK Holdings Corp. (a)   2,359    33,026 
           244,965 
  Diversified Telecommunication Services 0.4%          
  Alaska Communications Systems Group, Inc.   80,100    160,200 
  ATN International, Inc.   1,100    55,154 
  Bandwidth, Inc., Class A (a)   2,900    506,253 
  Consolidated Communications Holdings, Inc. (a)   60,700    345,383 
  IDT Corp., Class B (a)   79,800    525,084 
  Liberty Latin America, Ltd., Class C (a)   6,700    54,538 
           1,646,612 
  Electrical Equipment 2.2%          
  Allied Motion Technologies, Inc.   6,200    255,936 
  Atkore International Group, Inc. (a)   59,800    1,359,254 
  AZZ, Inc.   34,800    1,187,376 
  Encore Wire Corp.   30,400    1,411,168 
  Generac Holdings, Inc. (a)   4,300    832,652 
  LSI Industries, Inc.   50,700    342,225 
  Orion Energy Systems, Inc. (a)   100    757 
  Plug Power, Inc. (a)   61,700    827,397 
  Powell Industries, Inc.   41,600    1,003,808 
  Preformed Line Products Co.   2,800    136,416 
  Sunrun, Inc. (a)   25,700    1,980,699 
           9,337,688 
  Electronic Equipment, Instruments & Components 2.1%          
  Bel Fuse, Inc., Class B   300    3,204 
  Benchmark Electronics, Inc.   28,000    564,200 
  II-VI, Inc. (a)   19,100    774,696 
  Insight Enterprises, Inc. (a)   1,100    62,238 
  Kimball Electronics, Inc. (a)   81,700    944,452 
  Luna Innovations, Inc. (a)   4,500    26,910 
  MTS Systems Corp.   50,800    970,788 
  Plexus Corp. (a)   10,300    727,489 
  Sanmina Corp. (a)   61,674    1,668,282 
  ScanSource, Inc. (a)   29,000    575,070 
  Vishay Intertechnology, Inc.   96,900    1,508,733 
  Vishay Precision Group, Inc. (a)   33,100    838,092 
           8,664,154 
  Energy Equipment & Services 0.5%          
  Bristow Group, Inc. (a)   24,200    514,250 
  Exterran Corp. (a)   17,600    73,216 
  Matrix Service Co. (a)   42,200    352,370 
  NexTier Oilfield Solutions, Inc. (a)   114,500    211,825 
  ProPetro Holding Corp. (a)   257,000    1,043,420 
           2,195,081 
  Entertainment 0.1%          
  Cinemark Holdings, Inc.   3,100    31,000 
  Glu Mobile, Inc. (a)   28,200    216,435 
           247,435 
  Equity Real Estate Investment Trusts 4.8%          
  Agree Realty Corp.   10,800    687,312 
  Alexander's, Inc.   300    73,566 
  Alpine Income Property Trust, Inc.   16,200    251,910 
  American Assets Trust, Inc.   800    19,272 
  CareTrust REIT, Inc.   54,200    964,489 
  Columbia Property Trust, Inc.   10,000    109,100 
  DiamondRock Hospitality Co.   7,700    39,039 
  EastGroup Properties, Inc.   6,700    866,511 
  First Industrial Realty Trust, Inc.   15,200    604,960 
  Four Corners Property Trust, Inc.   26,700    683,253 
  Front Yard Residential Corp.   13,000    113,620 
  GEO Group, Inc.   83,827    950,598 
  Getty Realty Corp.   24,500    637,245 
  Gladstone Land Corp.   6,900    103,638 
  Healthcare Realty Trust, Inc.   8,100    243,972 
  Industrial Logistics Properties Trust   43,100    942,597 
  Innovative Industrial Properties, Inc.   6,100    757,071 
  Lexington Realty Trust   115,700    1,209,065 
  LTC Properties, Inc.   5,000    174,300 
  Monmouth Real Estate Investment Corp.   63,800    883,630 
  National Health Investors, Inc.   19,700    1,187,319 
  National Storage Affiliates Trust   19,300    631,303 
  Pebblebrook Hotel Trust   8,100    101,493 
  Physicians Realty Trust   34,000    608,940 
  Piedmont Office Realty Trust, Inc., Class A   47,200    640,504 
  Plymouth Industrial REIT, Inc.   7,000    86,380 
  PotlatchDeltic Corp.   29,200    1,229,320 
  PS Business Parks, Inc.   9,400    1,150,466 
  QTS Realty Trust, Inc., Class A   13,600    857,072 
  Retail Properties of America, Inc., Class A   8,500    49,385 
  RLJ Lodging Trust   3,800    32,908 
  Ryman Hospitality Properties, Inc.   3,700    136,160 
  Sabra Health Care REIT, Inc.   68,400    942,894 
  Service Properties Trust   6,600    52,470 
  SITE Centers Corp.   1,900    13,680 
  STAG Industrial, Inc.   13,500    411,615 
  Terreno Realty Corp.   9,100    498,316 
  Uniti Group, Inc.   107,400    1,131,459 
  Universal Health Realty Income Trust   2,600    148,174 
  Urban Edge Properties   15,000    145,800 
           20,370,806 
  Food & Staples Retailing 1.3%          
  Andersons, Inc.   19,800    379,566 
  BJ's Wholesale Club Holdings, Inc. (a)   60,200    2,501,310 
  Ingles Markets, Inc., Class A   200    7,608 
  Performance Food Group Co. (a)   21,000    727,020 
  PriceSmart, Inc.   2,500    166,125 
  SpartanNash Co.   46,800    765,180 
  United Natural Foods, Inc. (a)   45,400    675,098 
  Village Super Market, Inc., Class A   3,700    91,057 
           5,312,964 
  Food Products 0.4%          
  Fresh Del Monte Produce, Inc.   29,600    678,432 
  Freshpet, Inc. (a)   3,500    390,775 
  Seneca Foods Corp., Class A (a)   18,800    671,724 
  Simply Good Foods Co. (a)   600    13,230 
           1,754,161 
  Gas Utilities 0.4%          
  Southwest Gas Holdings, Inc.   14,300    902,330 
  Spire, Inc.   11,300    601,160 
           1,503,490 
  Health Care Equipment & Supplies 3.2%          
  Antares Pharma, Inc. (a)   106,300    287,010 
  AtriCure, Inc. (a)   1,900    75,810 
  Cantel Medical Corp.   800    35,152 
  CONMED Corp.   18,300    1,439,661 
  CryoPort, Inc. (a)(b)   600    28,440 
  FONAR Corp. (a)   3,900    81,432 
  GenMark Diagnostics, Inc. (a)   76,100    1,080,620 
  Glaukos Corp. (a)(b)   800    39,616 
  Integer Holdings Corp. (a)   2,500    147,525 
  iRhythm Technologies, Inc. (a)   4,700    1,119,117 
  Lantheus Holdings, Inc. (a)   105,300    1,334,151 
  LivaNova PLC (a)   1,300    58,773 
  Meridian Bioscience, Inc. (a)   59,400    1,008,612 
  Merit Medical Systems, Inc. (a)   29,400    1,278,900 
  Natus Medical, Inc. (a)   21,300    364,869 
  Nevro Corp. (a)   3,800    529,340 
  NuVasive, Inc. (a)   33,000    1,602,810 
  OraSure Technologies, Inc. (a)   105,300    1,281,501 
  Orthofix Medical, Inc. (a)   13,600    423,504 
  Repro-Med Systems, Inc. (a)   86,700    625,974 
  Shockwave Medical, Inc. (a)   300    22,740 
  Silk Road Medical, Inc. (a)   500    33,605 
  Surmodics, Inc. (a)   2,100    81,711 
  Vapotherm, Inc. (a)   6,300    182,700 
  Zynex, Inc. (a)(b)   19,900    347,255 
           13,510,828 
  Health Care Providers & Services 4.3%          
  Amedisys, Inc. (a)   5,300    1,253,079 
  AMN Healthcare Services, Inc. (a)   6,100    356,606 
  Corvel Corp. (a)   11,100    948,273 
  Covetrus, Inc. (a)   81,100    1,978,840 
  Ensign Group, Inc.   19,000    1,084,140 
  HealthEquity, Inc. (a)   8,800    452,056 
  InfuSystem Holdings, Inc. (a)   19,800    253,836 
  LHC Group, Inc. (a)   6,700    1,424,152 
  Magellan Health, Inc. (a)   5,300    401,634 
  MEDNAX, Inc. (a)   5,600    91,168 
  National Healthcare Corp.   18,000    1,121,580 
  Option Care Health, Inc. (a)   118,700    1,587,019 
  Owens & Minor, Inc.   95,100    2,387,961 
  Providence Service Corp. (a)   6,200    576,042 
  R1 RCM, Inc. (a)   43,000    737,450 
  Select Medical Holdings Corp. (a)   84,800    1,765,536 
  Tenet Healthcare Corp. (a)   34,900    855,399 
  Tivity Health, Inc. (a)   39,400    552,388 
  Triple-S Management Corp., Class B (a)   9,200    164,404 
  Viemed Healthcare, Inc. (a)   18,200    157,248 
           18,148,811 
  Health Care Technology 1.0%          
  Computer Programs & Systems, Inc.   10,600    292,666 
  HealthStream, Inc. (a)   34,800    698,436 
  HMS Holdings Corp. (a)   37,200    890,940 
  Inovalon Holdings, Inc., Class A (a)   34,000    899,300 
  Inspire Medical Systems, Inc. (a)   3,300    425,865 
  NextGen Healthcare, Inc. (a)   43,800    558,012 
  Omnicell, Inc. (a)   4,900    365,834 
  Phreesia, Inc. (a)   2,900    93,177 
  Tabula Rasa Healthcare, Inc. (a)(b)   1,300    53,001 
           4,277,231 
  Hotels, Restaurants & Leisure 2.6%          
  Bluegreen Vacations Corp.   11,600    56,840 
  Bluegreen Vacations Holding Corp.   5,320    71,235 
  Brinker International, Inc.   23,900    1,021,008 
  Caesars Entertainment, Inc. (a)   14,200    796,052 
  Churchill Downs, Inc.   3,400    556,988 
  Cracker Barrel Old Country Store, Inc.   400    45,864 
  Del Taco Restaurants, Inc. (a)   81,400    667,480 
  Hilton Grand Vacations, Inc. (a)   3,000    62,940 
  Jack in the Box, Inc.   6,200    491,722 
  Monarch Casino & Resort, Inc. (a)   500    22,300 
  Papa John's International, Inc.   11,400    937,992 
  Penn National Gaming, Inc. (a)   36,200    2,631,740 
  RCI Hospitality Holdings, Inc.   41,800    852,720 
  Red Rock Resorts, Inc., Class A   13,400    229,140 
  Scientific Games Corp., Class A (a)   1,100    38,401 
  Texas Roadhouse, Inc.   10,300    626,137 
  Twin River Worldwide Holdings, Inc.   57,000    1,497,390 
  Wingstop, Inc.   3,800    519,270 
           11,125,219 
  Household Durables 3.9%          
  Beazer Homes USA, Inc. (a)   77,400    1,021,680 
  Cavco Industries, Inc. (a)   7,300    1,316,263 
  Century Communities, Inc. (a)   38,800    1,642,404 
  Green Brick Partners, Inc. (a)   46,400    747,040 
  Hamilton Beach Brands Holding Co., Class A   5,000    97,250 
  Hooker Furniture Corp.   4,600    118,818 
  KB Home   8,000    307,120 
  La-Z-Boy, Inc.   49,100    1,553,033 
  M/I Homes, Inc. (a)   31,700    1,459,785 
  MDC Holdings, Inc.   37,900    1,785,090 
  Meritage Homes Corp. (a)   20,600    2,274,034 
  Taylor Morrison Home Corp. (a)   19,700    484,423 
  TopBuild Corp. (a)   10,000    1,706,900 
  TRI Pointe Group, Inc. (a)   73,800    1,338,732 
  Tupperware Brands Corp.   18,800    379,008 
  VOXX International Corp. (a)   23,900    183,791 
           16,415,371 
  Household Products 0.4%          
  Central Garden & Pet Co., Class A (a)   43,800    1,582,932 
  Oil-Dri Corp. of America   3,000    107,310 
           1,690,242 
  Independent Power & Renewable Electricity Producers 0.7%          
  Atlantic Power Corp. (a)(b)   24,100    47,236 
  Clearway Energy, Inc.          
  Class A   62,900    1,553,630 
  Class C   29,500    795,320 
  Sunnova Energy International, Inc. (a)   21,900    665,979 
           3,062,165 
  Insurance 1.6%          
  American Equity Investment Life Holding Co.   36,100    793,839 
  AMERISAFE, Inc.   7,900    453,144 
  Argo Group International Holdings, Ltd.   500    17,215 
  CNO Financial Group, Inc.   34,900    559,796 
  Crawford & Co., Class A   5,507    36,016 
  Donegal Group, Inc., Class A   4,800    67,536 
  eHealth, Inc. (a)   2,600    205,400 
  Employers Holdings, Inc.   28,500    862,125 
  FedNat Holding Co.   21,700    137,144 
  Global Indemnity Group LLC, Class A   2,500    51,975 
  Heritage Insurance Holdings, Inc.   10,800    109,296 
  Kinsale Capital Group, Inc.   900    171,162 
  National Western Life Group, Inc., Class A   1,200    219,324 
  Palomar Holdings, Inc. (a)   200    20,848 
  ProSight Global, Inc. (a)   7,300    82,782 
  Safety Insurance Group, Inc.   2,900    200,361 
  Stewart Information Services Corp.   34,100    1,491,193 
  Trupanion, Inc. (a)   6,700    528,630 
  Universal Insurance Holdings, Inc.   38,700    535,608 
           6,543,394 
  Interactive Media & Services 0.7%          
  Cargurus, Inc. (a)   22,100    478,023 
  Cars.com, Inc. (a)   108,400    875,872 
  DHI Group, Inc. (a)   89,900    203,174 
  Eventbrite, Inc., Class A (a)(b)   3,700    40,145 
  Yelp, Inc. (a)   60,100    1,207,409 
           2,804,623 
  Internet & Direct Marketing Retail 1.5%          
  1-800-Flowers.com, Inc., Class A (a)   52,900    1,319,326 
  CarParts.com, Inc. (a)(b)   36,600    395,646 
  Overstock.com, Inc. (a)   10,300    748,295 
  PetMed Express, Inc. (b)   26,800    847,416 
  Shutterstock, Inc.   18,600    967,944 
  Stamps.com, Inc. (a)   9,100    2,192,645 
           6,471,272 
  IT Services 1.8%          
  Brightcove, Inc. (a)   25,600    262,144 
  Conduent, Inc. (a)   400,500    1,273,590 
  CSG Systems International, Inc.   4,000    163,800 
  Endurance International Group Holdings, Inc. (a)   237,800    1,364,972 
  EVERTEC, Inc.   2,600    90,246 
  Limelight Networks, Inc. (a)   123,600    711,936 
  ManTech International Corp., Class A   7,800    537,264 
  Perspecta, Inc.   75,500    1,468,475 
  PFSweb, Inc. (a)   6,200    41,478 
  Sykes Enterprises, Inc. (a)   41,300    1,412,873 
  TTEC Holdings, Inc.   5,100    278,205 
           7,604,983 
  Leisure Products 0.9%          
  Escalade, Inc.   14,600    267,034 
  Johnson Outdoors, Inc., Class A   6,000    491,340 
  Malibu Boats, Inc., Class A (a)   24,600    1,219,176 
  MasterCraft Boat Holdings, Inc. (a)   45,900    802,791 
  Nautilus, Inc. (a)   45,600    782,496 
  YETI Holdings, Inc. (a)   2,600    117,832 
           3,680,669 
  Life Sciences Tools & Services 0.9%          
  Harvard Bioscience, Inc. (a)   600    1,806 
  Luminex Corp.   32,200    845,250 
  Medpace Holdings, Inc. (a)   16,700    1,866,225 
  NanoString Technologies, Inc. (a)   500    22,350 
  NeoGenomics, Inc. (a)   3,100    114,359 
  Pacific Biosciences of California, Inc. (a)   12,000    118,440 
  Syneos Health, Inc. (a)   15,700    834,612 
           3,803,042 
  Machinery 3.1%          
  Altra Industrial Motion Corp.   2,200    81,334 
  Blue Bird Corp. (a)   21,000    255,360 
  Columbus McKinnon Corp.   2,400    79,440 
  EnPro Industries, Inc.   7,200    406,152 
  Evoqua Water Technologies Corp. (a)   81,200    1,723,064 
  Franklin Electric Co., Inc.   31,700    1,864,911 
  Hyster-Yale Materials Handling, Inc.   3,400    126,310 
  L.B. Foster Co., Class A (a)   29,600    397,232 
  Luxfer Holdings PLC   1,000    12,550 
  Lydall, Inc. (a)   28,700    474,698 
  Meritor, Inc. (a)   14,400    301,536 
  Miller Industries, Inc.   5,100    155,907 
  Mueller Industries, Inc.   56,300    1,523,478 
  Mueller Water Products, Inc., Class A   113,900    1,183,421 
  Navistar International Corp. (a)   45,400    1,976,716 
  Rexnord Corp.   5,700    170,088 
  SPX Corp. (a)   39,800    1,845,924 
  Tennant Co.   2,618    158,022 
  Watts Water Technologies, Inc., Class A   4,500    450,675 
           13,186,818 
  Marine 0.1%          
  Costamare, Inc.   14,200    86,194 
  Matson, Inc.   4,100    164,369 
           250,563 
  Media 0.3%          
  Cardlytics, Inc. (a)(b)   200    14,114 
  Entravision Communications Corp., Class A   194,500    295,640 
  Fluent, Inc. (a)   62,400    154,752 
  TEGNA, Inc.   1,500    17,625 
  Tribune Publishing Co.   5,200    60,632 
  WideOpenWest, Inc. (a)   110,000    570,900 
           1,113,663 
  Metals & Mining 1.2%          
  Alcoa Corp. (a)   6,900    80,247 
  Allegheny Technologies, Inc. (a)   1,800    15,696 
  Arconic Corp. (a)   14,900    283,845 
  Caledonia Mining Corp. PLC   45,200    767,948 
  Coeur Mining, Inc. (a)   5,200    38,376 
  Commercial Metals Co.   5,100    101,898 
  Gold Resource Corp.   54,092    184,454 
  Hecla Mining Co.   115,800    588,264 
  Kaiser Aluminum Corp.   24,900    1,334,391 
  Materion Corp.   3,000    156,090 
  Novagold Resources, Inc. (a)   4,100    48,749 
  Ryerson Holding Corp. (a)   53,100    304,263 
  Schnitzer Steel Industries, Inc., Class A   63,400    1,219,182 
           5,123,403 
  Mortgage Real Estate Investment Trusts 0.8%          
  Apollo Commercial Real Estate Finance, Inc.   6,800    61,268 
  Ares Commercial Real Estate Corp.   70,400    643,456 
  Capstead Mortgage Corp.   99,700    560,314 
  Cherry Hill Mortgage Investment Corp.   126,900    1,139,562 
  Chimera Investment Corp.   76,200    624,840 
  MFA Financial, Inc.   16,200    43,416 
  Two Harbors Investment Corp.   13,400    68,206 
           3,141,062 
  Multiline Retail 0.4%          
  Big Lots, Inc.   35,600    1,587,760 
  Macy's, Inc. (b)   27,000    153,900 
           1,741,660 
  Oil, Gas & Consumable Fuels 1.5%          
  Arch Resources, Inc.   2,700    114,696 
  Ardmore Shipping Corp.   98,700    351,372 
  Berry Corp.   66,400    210,488 
  Bonanza Creek Energy, Inc. (a)   69,900    1,314,120 
  DHT Holdings, Inc.   28,500    147,060 
  Diamond S Shipping, Inc. (a)   71,400    490,518 
  Dorian LPG, Ltd. (a)   54,800    438,948 
  International Seaways, Inc.   900    13,149 
  PDC Energy, Inc. (a)   4,000    49,580 
  Renewable Energy Group, Inc. (a)   31,600    1,688,072 
  REX American Resources Corp. (a)   400    26,244 
  World Fuel Services Corp.   65,500    1,387,945 
           6,232,192 
  Paper & Forest Products 0.3%          
  Boise Cascade Co.   33,700    1,345,304 
             
  Personal Products 0.7%          
  LifeVantage Corp. (a)   34,000    410,380 
  Medifast, Inc.   9,800    1,611,610 
  Nature's Sunshine Products, Inc. (a)   9,000    104,130 
  USANA Health Sciences, Inc. (a)   9,100    670,215 
           2,796,335 
  Pharmaceuticals 2.7%          
  Amneal Pharmaceuticals, Inc. (a)   112,100    434,948 
  Amphastar Pharmaceuticals, Inc. (a)   56,400    1,057,500 
  ANI Pharmaceuticals, Inc. (a)   1,500    42,315 
  Avenue Therapeutics, Inc. (a)   1,400    15,162 
  Axsome Therapeutics, Inc. (a)   100    7,125 
  BioDelivery Sciences International, Inc. (a)   263,300    982,109 
  Corcept Therapeutics, Inc. (a)   90,700    1,578,633 
  Durect Corp. (a)   29,200    49,932 
  Endo International PLC (a)   49,500    163,350 
  Harrow Health, Inc. (a)   45,000    251,550 
  Innoviva, Inc. (a)   91,800    959,310 
  Intersect ENT, Inc. (a)   22,600    368,606 
  Intra-Cellular Therapies, Inc. (a)   1,900    48,754 
  MyoKardia, Inc. (a)   9,200    1,254,236 
  Pacira BioSciences, Inc. (a)   30,000    1,803,600 
  Phibro Animal Health Corp., Class A   18,700    325,380 
  Prestige Consumer Healthcare, Inc. (a)   41,100    1,496,862 
  Strongbridge Biopharma PLC (a)   56,000    117,600 
  Supernus Pharmaceuticals, Inc. (a)   19,400    404,296 
  Zogenix, Inc. (a)   2,200    39,446 
           11,400,714 
  Professional Services 1.0%          
  CRA International, Inc.   500    18,735 
  Heidrick & Struggles International, Inc.   1,500    29,475 
  Insperity, Inc.   19,500    1,277,055 
  Kelly Services, Inc., Class A   11,800    201,072 
  Kforce, Inc.   41,000    1,318,970 
  Mastech Digital, Inc. (a)   12,600    226,926 
  TriNet Group, Inc. (a)   9,800    581,336 
  TrueBlue, Inc. (a)   35,700    552,993 
           4,206,562 
  Real Estate 0.3%          
  eXp World Holdings, Inc. (a)   2,100    84,714 
  Redfin Corp. (a)   21,400    1,068,502 
           1,153,216 
  Real Estate Management & Development 0.4%          
  Newmark Group, Inc., Class A   71,000    306,720 
  Realogy Holdings Corp.   83,600    789,184 
  RMR Group, Inc., Class A   18,800    516,436 
           1,612,340 
  Road & Rail 0.9%          
  ArcBest Corp.   44,700    1,388,382 
  Covenant Logistics Group, Inc. (a)   21,300    372,537 
  Marten Transport, Ltd.   13,400    218,688 
  U.S. Xpress Enterprises, Inc., Class A (a)   11,600    95,816 
  Universal Logistics Holdings, Inc.   800    16,688 
  Werner Enterprises, Inc.   41,800    1,755,182 
           3,847,293 
  Semiconductors & Semiconductor Equipment 3.5%          
  Advanced Energy Industries, Inc. (a)   27,068    1,703,660 
  Alpha & Omega Semiconductor, Ltd. (a)   42,900    549,978 
  Amkor Technology, Inc. (a)   128,200    1,435,840 
  Axcelis Technologies, Inc. (a)   49,700    1,093,400 
  CEVA, Inc. (a)   1,400    55,118 
  CyberOptics Corp. (a)   11,100    353,424 
  Diodes, Inc. (a)   23,700    1,337,865 
  FormFactor, Inc. (a)   67,900    1,692,747 
  Ichor Holdings, Ltd. (a)   52,800    1,138,896 
  Lattice Semiconductor Corp. (a)   25,600    741,376 
  MACOM Technology Solutions Holdings, Inc. (a)   6,400    217,664 
  MaxLinear, Inc. (a)   41,300    959,812 
  NeoPhotonics Corp. (a)   13,100    79,779 
  Photronics, Inc. (a)   129,300    1,287,828 
  Rambus, Inc. (a)   17,100    234,099 
  Smart Global Holdings, Inc. (a)   20,600    563,204 
  Ultra Clean Holdings, Inc. (a)   59,600    1,279,016 
           14,723,706 
  Software 6.5%          
  A10 Networks, Inc. (a)   134,300    855,491 
  Alarm.com Holdings, Inc. (a)   3,500    193,375 
  American Software, Inc., Class A   32,600    457,704 
  AppFolio, Inc., Class A (a)   3,900    553,059 
  Appian Corp. (a)(b)   5,400    349,650 
  Avaya Holdings Corp. (a)   103,900    1,579,280 
  Blackbaud, Inc.   9,200    513,636 
  Blackline, Inc. (a)   9,700    869,411 
  Bottomline Technologies, Inc. (a)   800    33,728 
  Box, Inc., Class A (a)   99,700    1,730,792 
  Cerence, Inc. (a)   5,500    268,785 
  ChannelAdvisor Corp. (a)   80,100    1,159,047 
  Cloudera, Inc. (a)   34,700    377,883 
  CommVault Systems, Inc. (a)   39,800    1,623,840 
  Cornerstone OnDemand, Inc. (a)   10,000    363,600 
  Digital Turbine, Inc. (a)   4,200    137,508 
  Envestnet, Inc. (a)   9,200    709,872 
  j2 Global, Inc. (a)   1,800    124,596 
  LivePerson, Inc. (a)   3,300    171,567 
  MicroStrategy, Inc., Class A (a)   7,400    1,114,144 
  Mimecast, Ltd. (a)   28,300    1,327,836 
  Mitek Systems, Inc. (a)   110,000    1,401,400 
  Progress Software Corp.   44,400    1,628,592 
  PROS Holdings, Inc. (a)   800    25,552 
  Q2 Holdings, Inc. (a)   9,700    885,222 
  Rapid7, Inc. (a)   2,200    134,728 
  Rimini Street, Inc. (a)   81,900    263,718 
  Sailpoint Technologies Holding, Inc. (a)   13,900    550,023 
  Sapiens International Corp. N.V.   30,800    941,864 
  SPS Commerce, Inc. (a)   24,200    1,884,454 
  SVMK, Inc. (a)   53,900    1,191,729 
  Tenable Holdings, Inc. (a)   2,500    94,375 
  Varonis Systems, Inc. (a)   2,200    253,924 
  Verint Systems, Inc. (a)   31,000    1,493,580 
  Workiva, Inc. (a)   5,900    328,984 
  Xperi Holding Corp.   56,600    650,334 
  Zix Corp. (a)   214,900    1,255,016 
  Zuora, Inc., Class A (a)   10,400    107,536 
           27,605,835 
  Specialty Retail 3.8%          
  Aaron's, Inc.   31,100    1,761,815 
  America's Car-Mart, Inc. (a)   6,600    560,208 
  Asbury Automotive Group, Inc. (a)   7,000    682,150 
  Citi Trends, Inc.   27,200    679,456 
  Envela Corp. (a)   1,000    4,290 
  Haverty Furniture Cos., Inc.   6,800    142,392 
  Hibbett Sports, Inc. (a)   1,500    58,830 
  Lithia Motors, Inc., Class A   5,300    1,208,082 
  Lumber Liquidators Holdings, Inc. (a)   4,100    90,405 
  MarineMax, Inc. (a)   46,000    1,180,820 
  Michaels Cos., Inc. (a)(b)   31,400    303,167 
  Murphy USA, Inc. (a)   13,600    1,744,472 
  ODP Corp.   68,290    1,328,240 
  Rent-A-Center, Inc.   52,800    1,578,192 
  RH (a)   3,600    1,377,432 
  Sleep Number Corp. (a)   32,700    1,599,357 
  Sportsman's Warehouse Holdings, Inc. (a)   93,800    1,342,278 
  Winmark Corp.   1,100    189,398 
  Zumiez, Inc. (a)   5,400    150,228 
           15,981,212 
  Textiles, Apparel & Luxury Goods 0.6%          
  Deckers Outdoor Corp. (a)   6,000    1,320,060 
  Rocky Brands, Inc.   40,800    1,013,064 
  Steven Madden, Ltd.   5,200    101,400 
  Superior Group of Cos., Inc.   2,500    58,075 
           2,492,599 
  Thrifts & Mortgage Finance 1.2%          
  Bridgewater Bancshares, Inc. (a)   35,700    338,793 
  Flagstar Bancorp, Inc.   49,900    1,478,537 
  FS Bancorp, Inc.   11,300    463,300 
  HomeStreet, Inc.   4,900    126,224 
  Luther Burbank Corp.   8,100    67,635 
  Merchants Bancorp   42,900    845,559 
  Meridian Bancorp, Inc.   76,700    793,845 
  Mr. Cooper Group, Inc. (a)   700    15,624 
  NMI Holdings, Inc., Class A (a)   2,000    35,600 
  OP Bancorp.   36,200    207,064 
  PennyMac Financial Services, Inc.   5,600    325,472 
  Provident Financial Services, Inc.   6,000    73,200 
  Radian Group, Inc.   17,700    258,597 
  Riverview Bancorp, Inc.   16,900    70,135 
  Sterling Bancorp, Inc.   4,500    13,545 
  Waterstone Financial, Inc.   600    9,294 
           5,122,424 
  Tobacco 0.1%          
  Universal Corp.   5,800    242,904 
             
  Trading Companies & Distributors 1.0%          
  GMS, Inc. (a)   60,800    1,465,280 
  Rush Enterprises, Inc.          
  Class A   31,400    1,586,956 
  Class B   3,500    155,050 
  Systemax, Inc.   2,700    64,638 
  Triton International, Ltd.   27,700    1,126,559 
           4,398,483 
  Water Utilities 0.9%          
  American States Water Co.   9,000    674,550 
  Artesian Resources Corp., Class A   8,400    289,548 
  California Water Service Group   12,416    539,475 
  Consolidated Water Co., Ltd.   95,300    992,073 
  Middlesex Water Co.   1,200    74,580 
  Pure Cycle Corp. (a)   24,200    218,042 
  SJW Corp.   11,200    681,632 
  York Water Co.   8,400    355,068 
           3,824,968 
  Wireless Telecommunication Services 0.0% ‡          
  Shenandoah Telecommunications Co.   2,400    106,644 
  Spok Holdings, Inc.   2,900    27,579 
           134,223 
  Total Common Stocks         
  (Cost $400,245,174)        415,781,907 
             
  Exchange-Traded Fund 1.5%          
  iShares Russell 2000 ETF (b)   42,688    6,394,235 
             
  Total Exchange-Traded Fund         
  (Cost $6,563,067)        6,394,235 
             
  Short-Term Investments 0.9%          
  Affiliated Investment Company 0.2%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   872,324    872,324 
             
  Unaffiliated Investment Company 0.7%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (c)(d)   2,935,733    2,935,733 
  Total Short-Term Investments         
  (Cost $3,808,057)        3,808,057 
  Total Investments        
  (Cost $410,616,298)   101.0%   425,984,199 
  Other Assets, Less Liabilities   (1.0)   (4,071,870)
  Net Assets   100.0%  $421,912,329 

 

  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 September 30, 2020, the aggregate market value of securities on loan was $11,604,304; the total market value of collateral held by the Portfolio was $11,928,687. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $8,992,954.  
  (c) Current yield as of September 30, 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 September 30, 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  $415,781,907   $   $   $415,781,907 
Exchange-Traded Fund   6,394,235            6,394,235 
Short-Term Investments                    
Affiliated Investment Company   872,324            872,324 
Unaffiliated Investment Company   2,935,733            2,935,733 
Total Short-Term Investments   3,808,057            3,808,057 
Total Investments in Securities  $425,984,199   $   $   $425,984,199 

 

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

 

 

 

 

MainStay VP MacKay Unconstrained Bond Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)  

 

     Principal
Amount
   Value 
  Long-Term Bonds 96.7% †
  Asset-Backed Securities 6.3%
  Auto Floor Plan Asset-Backed Securities 1.4%
  Ford Credit Floorplan Master Owner Trust          
  Series 2019-4, Class A
2.44%, due 9/15/26
  $2,240,000   $2,379,687 
  Series 2017-3, Class A
2.48%, due 9/15/24
   1,170,000    1,215,130 
  Series 2018-4, Class A
4.06%, due 11/15/30
   5,250,000    5,985,424 
  GMF Floorplan Owner Revolving Trust (a)          
  Series 2020-1, Class B
1.03%, due 8/15/25
   2,347,000    2,346,596 
  Series 2020-1, Class C
1.48%, due 8/15/25
   2,040,000    2,039,832 
           13,966,669 
  Automobile Asset-Backed Securities 1.2%
  American Credit Acceptance Receivables Trust
Series 2020-2, Class C
3.88%, due 4/13/26 (a)
   2,530,000    2,664,185 
  Avis Budget Rental Car Funding AESOP LLC (a)          
  Series 2020-2A, Class A
2.02%, due 2/20/27
   1,815,000    1,831,098 
  Series 2020-1A, Class A
2.33%, due 8/20/26
   1,505,000    1,550,016 
  Series 2017-2A, Class A
2.97%, due 3/20/24
   1,420,000    1,465,468 
  Series 2018-2A, Class A
4.00%, due 3/20/25
   1,200,000    1,283,622 
  Ford Credit Auto Owner Trust
Series 2020-1, Class A
2.04%, due 8/15/31 (a)
   940,000    984,964 
  Santander Revolving Auto Loan Trust
Series 2019-A, Class A
2.51%, due 1/26/32 (a)
   1,350,000    1,430,089 
           11,209,442 
  Credit Cards 0.1%
  Capital One Multi-Asset Execution Trust
Series 2019-A3, Class A3
2.06%, due 8/15/28
   1,415,000    1,520,817 
   
  Home Equity 0.1%
  Bayview Financial Acquisition Trust
Series 2006-D, Class 2A4
0.425% (1 Month LIBOR + 0.28%), due 12/28/36 (b)
   471,653    469,703 
  First NLC Trust
Series 2007-1, Class A1
0.218% (1 Month LIBOR + 0.07%), due 8/25/37 (a)(b)
   66,716    40,920 
  MASTR Asset-Backed Securities Trust
Series 2006-HE4, Class A1
0.198% (1 Month LIBOR + 0.05%), due 11/25/36 (b)
   18,007    8,296 
  Morgan Stanley ABS Capital I Trust
Series 2007-HE4, Class A2A
0.258% (1 Month LIBOR + 0.11%), due 2/25/37 (b)
   18,575    7,801 
           526,720 
  Other Asset-Backed Securities 3.2%
  Carrington Mortgage Loan Trust
Series 2007-HE1, Class A3
0.338% (1 Month LIBOR + 0.19%), due 6/25/37 (b)
   4,400,000    4,186,754 
  CF Hippolyta LLC (a)          
  Series 2020-1, Class A1
1.69%, due 7/15/60
   1,980,000    2,002,376 
  Series 2020-1, Class A2
1.99%, due 7/15/60
   1,212,976    1,237,027 
  DB Master Finance LLC (a)          
  Series 2017-1A, Class A2I
3.629%, due 11/20/47
   1,837,875    1,892,699 
  Series 2019-1A, Class A23
4.352%, due 5/20/49
   1,930,500    2,100,674 
  Domino's Pizza Master Issuer LLC
Series 2015-1A, Class A2II
4.474%, due 10/25/45 (a)
   1,972,800    2,093,614 
  Hilton Grand Vacations Trust (a)          
  Series 2019-AA, Class A
2.34%, due 7/25/33
   1,977,995    2,024,163 
  Series 2020-AA, Class A
2.74%, due 2/25/39
   1,730,875    1,789,155 
  Series 2020-AA, Class B
4.22%, due 2/25/39
   910,987    961,721 
  JPMorgan Mortgage Acquisition Trust
Series 2007-HE1, Class AF1
0.248% (1 Month LIBOR + 0.10%), due 3/25/47 (b)
   23,081    14,613 
  MVW LLC
Series 2019-2A, Class A
2.22%, due 10/20/38 (a)
   2,556,940    2,610,748 
  PFS Financing Corp. (a)          
  Series 2020-B, Class B
1.71%, due 6/15/24
   910,000    917,902 
  Series 2020-A, Class B
1.77%, due 6/15/25
   1,880,000    1,887,285 
  Sierra Timeshare Receivables Funding LLC (a)          
  Series 2019-3A, Class A
2.34%, due 8/20/36
   1,178,609    1,205,687 
  Series 2019-1A, Class A
3.20%, due 1/20/36
   2,649,746    2,741,393 
  Series 2020-2A, Class C
3.51%, due 7/20/37
   1,140,923    1,153,859 
  Wendy's Funding LLC
Series 2019-1A, Class A2I
3.783%, due 6/15/49 (a)
   1,998,988    2,119,626 
           30,939,296 
  Student Loans 0.3%
  KeyCorp Student Loan Trust
Series 2000-A, Class A2
0.57% (3 Month LIBOR + 0.32%), due 5/25/29 (b)
   8,774    8,761 
  Navient Private Education Refi Loan Trust (a)          
  Series 2020-GA, Class B
2.50%, due 9/16/69
   1,590,000    1,595,573 
  Series 2020-FA, Class B
2.69%, due 7/15/69
   1,385,000    1,386,091 
           2,990,425 
  Total Asset-Backed Securities
(Cost $58,764,009)
        61,153,369 
   
  Convertible Bonds 0.8%
  Machinery - Diversified 0.4%
  Chart Industries, Inc.
1.00%, due 11/15/24 (a)
   3,036,000    4,223,003 
   
  Semiconductors 0.4%
  ON Semiconductor Corp.
1.625%, due 10/15/23
   2,562,000    3,389,846 
  Total Convertible Bonds
(Cost $5,018,484)
        7,612,849 
   
  Corporate Bonds 60.0%
  Advertising 0.1%
  Clear Channel International B.V.
6.625%, due 8/1/25 (a)
   1,389,000    1,420,669 
   
  Aerospace & Defense 0.6%
  BAE Systems PLC
3.00%, due 9/15/50 (a)
   1,600,000    1,617,519 
  L3Harris Technologies, Inc.
4.40%, due 6/15/28
   3,270,000    3,897,889 
           5,515,408 
   
  Agriculture 0.7%
  Altria Group, Inc.
3.80%, due 2/14/24
   3,400,000    3,716,294 
  BAT Capital Corp.
3.734%, due 9/25/40
   875,000    878,059 
  JBS Investments II GmbH
7.00%, due 1/15/26 (a)
   1,775,000    1,894,812 
           6,489,165 
  Airlines 1.8%
  American Airlines Pass-Through Trust          
  Series 2015-2, Class A
4.00%, due 9/22/27
   393,431    331,445 
  Series 2013-2, Class A, Pass-Through Trust
4.95%, due 1/15/23
   2,775,990    2,380,508 
  Continental Airlines Pass-Through Trust          
  Series 2007-1, Class A
5.983%, due 4/19/22
   506,961    497,190 
  Series 2005-ERJ1
9.798%, due 4/1/21
   15,459    14,637 
  Delta Air Lines Pass-Through Trust
Series 2019-1, Class AA, Pass-Through Trust
3.204%, due 4/25/24
   3,695,000    3,682,488 
  Delta Air Lines, Inc.
7.00%, due 5/1/25 (a)
   2,555,000    2,805,453 
  Delta Air Lines, Inc. / SkyMiles IP, Ltd.(a)          
  4.50%, due 10/20/25   1,185,000    1,216,820 
  4.75%, due 10/20/28   955,000    991,557 
  Mileage Plus Holdings LLC / Mileage Plus Intellectual Property Assets, Ltd.
6.50%, due 6/20/27 (a)
   2,050,000    2,134,562 
  U.S. Airways Pass-Through Trust          
  Series 2012-1, Class A, Pass-Through Trust
5.90%, due 4/1/26
   1,035,942    1,014,946 
  Series 2010-1, Class A, Pass-Through Trust
6.25%, due 10/22/24
   691,296    629,641 
  UAL Pass-Through Trust
Series 2007-1, Pass-Through Trust
6.636%, due 1/2/24
   1,421,744    1,322,327 
  United Airlines Pass-Through Trust
Series 2014-2, Class B
4.625%, due 3/3/24
   936,767    871,976 
           17,893,550 
  Apparel 0.2%
  Hanesbrands, Inc.(a)          
  4.875%, due 5/15/26   790,000    843,325 
  5.375%, due 5/15/25   1,465,000    1,545,575 
           2,388,900 
  Auto Manufacturers 2.2%
  Daimler Finance North America LLC
0.799% (3 Month LIBOR + 0.55%), due 5/4/21 (a)(b)
   2,335,000    2,336,036 
  Ford Motor Co.          
  8.50%, due 4/21/23   2,335,000    2,545,150 
  9.00%, due 4/22/25   2,400,000    2,751,624 
  Ford Motor Credit Co. LLC          
  1.515% (3 Month LIBOR + 1.235%), due 2/15/23 (b)   1,230,000    1,131,833 
  4.063%, due 11/1/24   2,485,000    2,481,894 
  4.25%, due 9/20/22   900,000    907,794 
  General Motors Co.
6.125%, due 10/1/25
   745,000    865,436 
  General Motors Financial Co., Inc.          
  3.45%, due 4/10/22 (c)   4,000,000    4,112,496 
  5.20%, due 3/20/23   905,000    981,783 
  Volkswagen Group of America Finance LLC
3.875%, due 11/13/20 (a)
   3,100,000    3,111,949 
           21,225,995 
  Auto Parts & Equipment 0.3%
  LKQ European Holdings B.V.
3.625%, due 4/1/26 (a)
  EUR2,835,000    3,353,012 
   
  Banks 10.1%
  Bank of America Corp.          
  2.676%, due 6/19/41 (d)  $2,985,000    3,047,928 
  3.004%, due 12/20/23 (d)   6,566,000    6,892,955 
  3.705%, due 4/24/28 (d)   1,695,000    1,916,680 
  4.30%, due 1/28/25 (d)(e)   4,056,000    3,934,320 
  6.30%, due 3/10/26 (d)(e)   1,810,000    2,045,481 
  8.57%, due 11/15/24   455,000    580,878 
  Barclays Bank PLC
Series Reg S
10.00%, due 5/21/21
  GBP401,000    545,653 
  Barclays PLC          
  2.852%, due 5/7/26 (d)  $3,010,000    3,130,666 
  5.20%, due 5/12/26   1,725,000    1,912,594 
  BNP Paribas S.A.
3.052%, due 1/13/31 (a)(d)
   2,900,000    3,110,144 
  Citigroup, Inc.          
  5.50%, due 9/13/25   2,710,000    3,212,300 
  6.30%, due 5/15/24 (d)(e)   3,975,000    4,163,812 
  Citizens Financial Group, Inc.
4.30%, due 12/3/25
   2,550,000    2,935,916 
  Goldman Sachs Group, Inc.          
  1.45% (3 Month LIBOR + 1.17%), due 5/15/26 (b)   3,075,000    3,104,890 
  6.75%, due 10/1/37   1,828,000    2,655,953 
  Huntington National Bank
3.55%, due 10/6/23
   1,445,000    1,572,279 
  JPMorgan Chase & Co.(d)          
  2.956%, due 5/13/31   1,245,000    1,335,766 
  3.54%, due 5/1/28   6,265,000    7,056,884 
  4.60%, due 2/1/25 (e)   5,617,000    5,504,660 
  Lloyds Banking Group PLC          
  2.907%, due 11/7/23 (d)   1,160,000    1,204,720 
  4.582%, due 12/10/25   2,500,000    2,747,849 
  Morgan Stanley          
  3.875%, due 4/29/24   6,015,000    6,637,787 
  3.875%, due 1/27/26   400,000    455,910 
  3.885% (3 Month LIBOR + 3.61%), due 1/15/21 (b)(e)   2,125,000    2,005,469 
  5.00%, due 11/24/25   3,840,000    4,511,345 
  Natwest Group PLC
3.073% (1 Year Treasury Constant Maturity Rate + 2.55%), due 5/22/28 (b)
   2,685,000    2,821,602 
  Popular, Inc.
6.125%, due 9/14/23
   1,953,000    2,060,415 
  Santander Holdings USA, Inc.
3.40%, due 1/18/23
   5,055,000    5,292,377 
  Truist Bank
2.636% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (b)
   2,700,000    2,801,049 
  Truist Financial Corp.
4.95% (5 Year Treasury Constant Maturity Rate + 4.605%), due 9/1/25 (b)(e)
   2,420,000    2,547,050 
  Wells Fargo & Co.          
  3.00%, due 10/23/26   1,640,000    1,792,670 
  5.875%, due 6/15/25 (d)(e)   595,000    640,584 
  5.90%, due 6/15/24 (d)(e)   3,270,000    3,342,257 
           97,520,843 
  Beverages 0.6%
  Anheuser-Busch InBev Worldwide, Inc.
4.75%, due 1/23/29
   1,833,000    2,237,028 
  Constellation Brands, Inc.
4.25%, due 5/1/23
   2,985,000    3,255,652 
           5,492,680 
  Biotechnology 0.5%
  Biogen, Inc.          
  3.15%, due 5/1/50   1,125,000    1,110,178 
  3.625%, due 9/15/22   3,560,000    3,769,954 
           4,880,132 
  Building Materials 0.5%
  Builders FirstSource, Inc.(a)          
  5.00%, due 3/1/30   2,750,000    2,846,250 
  6.75%, due 6/1/27   845,000    905,206 
  Standard Industries, Inc.
4.75%, due 1/15/28 (a)
   970,000    1,006,375 
           4,757,831 
  Chemicals 0.6%
  Braskem Netherlands Finance B.V.
4.50%, due 1/10/28 (a)
   1,015,000    976,937 
  Nutrition & Biosciences, Inc.
2.30%, due 11/1/30 (a)
   2,035,000    2,052,129 
  Orbia Advance Corp. S.A.B. de C.V.
4.00%, due 10/4/27 (a)
   2,200,000    2,370,500 
           5,399,566 
  Commercial Services 1.8%
  Allied Universal Holdco LLC / Allied Universal Finance Corp.
6.625%, due 7/15/26 (a)
   1,320,000    1,405,800 
  Ashtead Capital, Inc.
4.25%, due 11/1/29 (a)
   2,250,000    2,367,992 
  California Institute of Technology
3.65%, due 9/1/19 (c)
   2,434,000    2,661,048 
  Herc Holdings, Inc.
5.50%, due 7/15/27 (a)
   2,435,000    2,519,373 
  IHS Markit, Ltd.          
  4.125%, due 8/1/23   2,175,000    2,365,312 
  4.75%, due 2/15/25 (a)   3,105,000    3,517,841 
  Trustees of the University of Pennsylvania
3.61%, due 2/15/19
   2,515,000    2,798,158 
           17,635,524 
  Computers 1.2%
  Dell International LLC / EMC Corp.(a)          
  4.90%, due 10/1/26   3,695,000    4,176,912 
  6.02%, due 6/15/26   625,000    733,862 
  8.10%, due 7/15/36   1,240,000    1,630,647 
  NCR Corp.(a)          
  5.00%, due 10/1/28   2,230,000    2,231,784 
  6.125%, due 9/1/29   893,000    945,616 
  8.125%, due 4/15/25   1,484,000    1,640,191 
           11,359,012 
  Distribution & Wholesale 0.7%
  H&E Equipment Services, Inc.
5.625%, due 9/1/25
   3,000,000    3,127,500 
  Performance Food Group, Inc.
5.50%, due 10/15/27 (a)
   3,400,000    3,502,000 
           6,629,500 
  Diversified Financial Services 3.3%
  AerCap Ireland Capital DAC / AerCap Global Aviation Trust          
  3.30%, due 1/23/23   1,400,000    1,405,010 
  4.45%, due 12/16/21 (c)   2,200,000    2,247,883 
  Air Lease Corp.          
  2.30%, due 2/1/25   3,640,000    3,581,501 
  2.625%, due 7/1/22   2,155,000    2,183,598 
  2.75%, due 1/15/23   1,040,000    1,063,092 
  Ally Financial, Inc.          
  5.75%, due 11/20/25   3,570,000    4,002,632 
  8.00%, due 11/1/31   3,450,000    4,723,480 
  Avolon Holdings Funding, Ltd.
3.25%, due 2/15/27 (a)
   2,340,000    2,087,587 
  Capital One Financial Corp.
4.046% (3 Month LIBOR + 3.80%), due 12/1/20 (b)(c)(e)
   2,365,000    2,090,494 
  Charles Schwab Corp.
5.375% (5 Year Treasury Constant Maturity Rate + 4.971%), due 6/1/25 (b)(e)
   2,600,000    2,817,230 
  Discover Financial Services
3.85%, due 11/21/22
   300,000    319,918 
  Intercontinental Exchange, Inc.
3.00%, due 9/15/60
   2,270,000    2,295,424 
  Nationstar Mortgage Holdings, Inc.
6.00%, due 1/15/27 (a)
   1,725,000    1,758,396 
  OneMain Finance Corp.
6.125%, due 3/15/24
   880,000    921,800 
           31,498,045 
  Electric 1.6%
  AEP Transmission Co. LLC
3.10%, due 12/1/26
   3,360,000    3,781,078 
  Appalachian Power Co.
3.30%, due 6/1/27
   1,400,000    1,539,494 
  Duke Energy Corp.
4.875% (5 Year Treasury Constant Maturity Rate + 3.388%), due 9/16/24 (b)(e)
   2,625,000    2,776,738 
  FirstEnergy Transmission LLC
4.35%, due 1/15/25 (a)
   1,675,000    1,867,004 
  Pacific Gas & Electric Co.
3.50%, due 8/1/50
   1,605,000    1,447,102 
  Puget Energy, Inc.
5.625%, due 7/15/22
   585,000    626,868 
  WEC Energy Group, Inc.          
  2.393% (3 Month LIBOR + 2.113%), due 5/15/67 (b)   1,860,340    1,509,781 
  3.10%, due 3/8/22   2,165,000    2,248,486 
           15,796,551 
  Electronics 0.1%
  FLIR Systems, Inc.
2.50%, due 8/1/30
   1,335,000    1,366,129 
   
  Entertainment 0.5%
  International Game Technology PLC
6.25%, due 2/15/22 (a)
   1,491,000    1,522,684 
  Six Flags Theme Parks, Inc.
7.00%, due 7/1/25 (a)
   2,760,000    2,935,950 
           4,458,634 
  Environmental Controls 0.5%
  Republic Services, Inc.
4.75%, due 5/15/23 (c)
   3,665,000    4,030,209 
  Waste Management, Inc.
2.40%, due 5/15/23
   505,000    527,653 
           4,557,862 
  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    1,561,954 
  Kraft Heinz Foods Co.          
  4.25%, due 3/1/31 (a)   2,364,000    2,593,665 
  5.00%, due 7/15/35   997,000    1,148,042 
  Smithfield Foods, Inc.(a)          
  3.00%, due 10/15/30   2,005,000    2,009,331 
  3.35%, due 2/1/22   1,805,000    1,824,140 
  Sysco Corp.
3.30%, due 7/15/26
   1,735,000    1,891,502 
  U.S. Foods, Inc.
6.25%, due 4/15/25 (a)
   1,425,000    1,508,719 
           12,537,353 
  Food Services 0.1%
  Aramark Services, Inc.
6.375%, due 5/1/25 (a)
   1,294,000    1,347,927 
   
  Health Care - Products 0.7%
  Baxter International, Inc.
2.60%, due 8/15/26
   6,085,000    6,653,115 
   
  Health Care - Services 0.4%
  Health Care Service Corp. A Mutual Legal Reserve Co.
3.20%, due 6/1/50 (a)
   1,845,000    1,914,227 
  NYU Langone Hospitals
3.38%, due 7/1/55
   1,880,000    1,900,681 
           3,814,908 
  Home Builders 1.0%
  D.R. Horton, Inc.
4.375%, due 9/15/22
   3,350,000    3,553,522 
  Lennar Corp.
4.75%, due 11/29/27
   868,000    991,039 
  Toll Brothers Finance Corp.          
  3.80%, due 11/1/29   1,251,000    1,324,496 
  4.35%, due 2/15/28   764,000    828,940 
  5.875%, due 2/15/22   2,475,000    2,570,907 
           9,268,904 
  Home Furnishing 0.4%
  Panasonic Corp.
2.536%, due 7/19/22 (a)
   3,500,000    3,611,839 
             
  Housewares 0.2%
  Scotts Miracle-Gro Co.
5.25%, due 12/15/26
   1,960,000    2,089,850 
             
  Insurance 1.8%
  Empower Finance L.P.
3.075%, due 9/17/51 (a)
   2,270,000    2,357,226 
  Lincoln National Corp.
2.638% (3 Month LIBOR + 2.358%), due 5/17/66 (b)
   6,418,000    4,630,651 
  MassMutual Global Funding II
2.95%, due 1/11/25 (a)
   2,995,000    3,266,888 
  NMI Holdings, Inc.
7.375%, due 6/1/25 (a)
   870,000    929,812 
  Protective Life Corp.
8.45%, due 10/15/39
   1,564,000    2,455,381 
  Reliance Standard Life Global Funding II
2.50%, due 10/30/24 (a)
   3,100,000    3,236,361 
  Willis North America, Inc.
3.875%, due 9/15/49
   840,000    965,412 
           17,841,731 
  Internet 2.1%
  Booking Holdings, Inc.
3.60%, due 6/1/26 (c)
   2,875,000    3,184,780 
  Cablevision Lightpath LLC
3.875%, due 9/15/27 (a)
   875,000    875,000 
  Expedia Group, Inc.          
  3.25%, due 2/15/30   2,315,000    2,230,527 
  3.60%, due 12/15/23 (a)   1,215,000    1,241,380 
  3.80%, due 2/15/28   2,245,000    2,267,095 
  5.00%, due 2/15/26   315,000    335,949 
  6.25%, due 5/1/25 (a)   525,000    579,027 
  Match Group Holdings II LLC(a)          
  4.125%, due 8/1/30   148,000    149,711 
  5.00%, due 12/15/27   1,775,000    1,872,625 
  VeriSign, Inc.
4.625%, due 5/1/23
   3,670,000    3,688,717 
  Weibo Corp.          
  3.375%, due 7/8/30   1,810,000    1,838,978 
  3.50%, due 7/5/24   1,625,000    1,709,772 
           19,973,561 
  Investment Company 0.3%
  Icahn Enterprises, L.P. / Icahn Enterprises Finance Corp.
6.25%, due 5/15/26
   2,440,000    2,543,700 
   
  Iron & Steel 0.7%
  ArcelorMittal S.A.
4.55%, due 3/11/26
   3,205,000    3,472,813 
  Vale Overseas, Ltd.
6.25%, due 8/10/26
   2,780,000    3,287,350 
           6,760,163 
  Lodging 1.1%
  Boyd Gaming Corp.          
  6.375%, due 4/1/26   1,000    1,041 
  8.625%, due 6/1/25 (a)   620,000    679,694 
  Hilton Domestic Operating Co., Inc.          
  4.875%, due 1/15/30   2,120,000    2,183,600 
  5.375%, due 5/1/25 (a)   1,135,000    1,185,280 
  Marriott International, Inc.
3.75%, due 10/1/25 (f)
   4,205,000    4,328,234 
  MGM Resorts International
6.00%, due 3/15/23
   2,300,000    2,386,031 
           10,763,880 
  Machinery - Diversified 1.0%
  Clark Equipment Co.
5.875%, due 6/1/25 (a)
   1,535,000    1,590,644 
  CNH Industrial Capital LLC          
  4.375%, due 4/5/22   3,550,000    3,720,755 
  4.875%, due 4/1/21   4,355,000    4,439,068 
           9,750,467 
  Media 1.6%
  Charter Communications Operating LLC / Charter Communications Operating Capital Corp.
4.464%, due 7/23/22 (c)
   2,770,000    2,932,702 
  Diamond Sports Group LLC / Diamond Sports Finance Co.
6.625%, due 8/15/27 (a)(f)
   4,528,000    2,357,390 
  Grupo Televisa S.A.B.
5.25%, due 5/24/49
   1,735,000    2,038,122 
  Sirius XM Radio, Inc.(a)          
  3.875%, due 8/1/22   2,545,000    2,572,041 
  5.375%, due 7/15/26   3,000,000    3,122,100 
  Sky, Ltd.
3.75%, due 9/16/24 (a)
   1,105,000    1,232,388 
  Time Warner Entertainment Co., L.P.
8.375%, due 3/15/23
   740,000    869,646 
           15,124,389 
  Mining 1.7%
  Anglo American Capital PLC
4.125%, due 4/15/21 (a)
   3,300,000    3,351,385 
  Corp. Nacional del Cobre de Chile(a)          
  3.00%, due 9/30/29   2,055,000    2,170,635 
  3.75%, due 1/15/31   1,635,000    1,817,384 
  Glencore Funding LLC
1.625%, due 9/1/25 (a)
   3,165,000    3,138,446 
  Indonesia Asahan Aluminium Persero PT
5.45%, due 5/15/30 (a)
   2,685,000    3,104,003 
  Industrias Penoles S.A.B de C.V.
4.75%, due 8/6/50 (a)
   2,672,000    2,761,098 
           16,342,951 
  Miscellaneous - Manufacturing 0.9%
  General Electric Co.          
  3.625%, due 5/1/30   1,715,000    1,776,077 
  4.25%, due 5/1/40   1,865,000    1,892,154 
  4.35%, due 5/1/50   2,525,000    2,574,517 
  Textron Financial Corp.
2.015% (3 Month LIBOR + 1.735%), due 2/15/67 (a)(b)
   3,720,000    2,566,800 
           8,809,548 
  Oil & Gas 3.0%
  BP Capital Markets PLC
4.875% (5 Year Treasury Constant Maturity Rate + 4.398%), due 3/22/30 (b)(e)
   2,895,000    3,097,650 
  Concho Resources, Inc.
4.30%, due 8/15/28
   2,900,000    3,207,557 
  Gazprom PJSC Via Gaz Capital S.A.
7.288%, due 8/16/37 (a)
   2,500,000    3,532,825 
  Marathon Petroleum Corp.          
  4.50%, due 5/1/23   1,615,000    1,742,918 
  4.70%, due 5/1/25   1,755,000    1,983,278 
  5.125%, due 12/15/26   5,755,000    6,672,026 
  Petrobras Global Finance B.V.
6.75%, due 6/3/50
   2,085,000    2,258,243 
  Petroleos Mexicanos
6.75%, due 9/21/47
   4,990,000    3,873,238 
  Valero Energy Corp.
4.00%, due 4/1/29
   2,250,000    2,465,317 
  WPX Energy, Inc.
4.50%, due 1/15/30
   415,000    408,001 
           29,241,053 
  Packaging & Containers 2.0%
  Ball Corp.
5.00%, due 3/15/22
   4,240,000    4,457,300 
  Berry Global, Inc.
4.875%, due 7/15/26 (a)
   166,000    174,300 
  Graham Packaging Co., Inc.
7.125%, due 8/15/28 (a)
   1,000,000    1,041,250 
  Owens Brockway Glass Container, Inc.
6.625%, due 5/13/27 (a)
   2,950,000    3,195,219 
  Reynolds Group Issuer, Inc. / Reynolds Group Issuer LLC
5.125%, due 7/15/23 (a)
   4,215,000    4,267,688 
  Sealed Air Corp.(a)          
  4.00%, due 12/1/27   1,580,000    1,650,784 
  4.875%, due 12/1/22   1,875,000    1,955,400 
  WestRock RKT LLC
4.00%, due 3/1/23
   2,230,000    2,382,821 
           19,124,762 
  Pharmaceuticals 1.9%
  AbbVie, Inc.(a)          
  3.45%, due 3/15/22   4,165,000    4,320,062 
  4.25%, due 11/21/49   3,065,000    3,638,697 
  Bausch Health Cos., Inc.(a)          
  5.50%, due 11/1/25   4,590,000    4,710,488 
  6.25%, due 2/15/29   1,440,000    1,481,126 
  Becton Dickinson and Co.
3.363%, due 6/6/24
   2,245,000    2,429,601 
  Teva Pharmaceutical Finance Netherlands III B.V.
3.15%, due 10/1/26
   2,575,000    2,271,691 
           18,851,665 
  Pipelines 1.6%
  Enterprise Products Operating LLC          
  3.95%, due 1/31/60   1,760,000    1,736,736 
  4.20%, due 1/31/50   545,000    579,417 
  Hess Midstream Operations L.P.
5.625%, due 2/15/26 (a)
   389,000    396,286 
  MPLX, L.P.          
  4.00%, due 3/15/28   2,500,000    2,720,732 
  4.125%, due 3/1/27   1,780,000    1,956,654 
  Plains All American Pipeline, L.P. / PAA Finance Corp.
3.80%, due 9/15/30
   1,330,000    1,289,677 
  Sabine Pass Liquefaction LLC
5.75%, due 5/15/24
   2,710,000    3,069,015 
  Spectra Energy Partners, L.P.
4.75%, due 3/15/24
   818,000    910,960 
  Targa Resources Partners, L.P. / Targa Resources Partners Finance Corp.
5.25%, due 5/1/23
   950,000    947,815 
  Western Midstream Operating L.P.
6.25%, due 2/1/50
   1,975,000    1,829,344 
           15,436,636 
  Real Estate 0.2%
  Realogy Group LLC / Realogy Co-Issuer Corp.
7.625%, due 6/15/25 (a)
   1,900,000    1,990,250 
   
  Real Estate Investment Trusts 1.1%
  Boston Properties, L.P.
3.20%, due 1/15/25
   4,800,000    5,198,185 
  CyrusOne L.P. / CyrusOne Finance Corp.
3.45%, due 11/15/29
   2,030,000    2,199,647 
  Host Hotels & Resorts, L.P.
3.75%, due 10/15/23
   329,000    339,422 
  Iron Mountain, Inc.
4.875%, due 9/15/29 (a)
   2,599,000    2,644,482 
           10,381,736 
  Retail 2.3%
  1011778 B.C. ULC / New Red Finance, Inc.
5.75%, due 4/15/25 (a)
   618,000    659,715 
  Alimentation Couche-Tard, Inc.
2.70%, due 7/26/22 (a)
   1,650,000    1,701,763 
  AutoNation, Inc.
4.75%, due 6/1/30
   2,880,000    3,393,258 
  Darden Restaurants, Inc.
3.85%, due 5/1/27
   2,025,000    2,144,237 
  Dollar General Corp.
3.25%, due 4/15/23
   2,794,000    2,964,839 
  Kohl's Corp.
9.50%, due 5/15/25
   2,975,000    3,517,845 
  Macy's, Inc.
8.375%, due 6/15/25 (a)
   2,605,000    2,693,388 
  QVC, Inc.
4.375%, due 9/1/28
   2,430,000    2,478,600 
  Starbucks Corp.
4.45%, due 8/15/49
   2,065,000    2,493,017 
           22,046,662 
  Semiconductors 0.5%
  Broadcom, Inc.
3.625%, due 10/15/24
   2,470,000    2,693,226 
  NXP B.V. / NXP Funding LLC
4.625%, due 6/1/23 (a)
   1,065,000    1,164,735 
  NXP B.V. / NXP Funding LLC / NXP USA, Inc.
3.40%, due 5/1/30 (a)
   1,380,000    1,510,698 
           5,368,659 
  Telecommunications 4.2%
  Altice France S.A.
7.375%, due 5/1/26 (a)
   2,870,000    3,007,473 
  AT&T, Inc.          
  2.875% (EUAMDB05 + 3.14%), due 3/2/25 (b)(e)  EUR2,200,000    2,487,176 
  3.65%, due 6/1/51  $1,860,000    1,876,090 
  CommScope Technologies LLC
5.00%, due 3/15/27 (a)
   3,909,000    3,752,640 
  CommScope, Inc.
7.125%, due 7/1/28 (a)
   930,000    955,575 
  Crown Castle Towers LLC(a)          
  3.72%, due 7/15/43   1,550,000    1,623,206 
  4.241%, due 7/15/48   3,755,000    4,279,099 
  Sprint Communications, Inc.
6.00%, due 11/15/22
   1,454,000    1,566,685 
  Sprint Spectrum Co. LLC / Sprint Spectrum Co. II LLC / Sprint Spectrum Co. III LLC
4.738%, due 9/20/29 (a)
   4,750,000    5,135,937 
  T-Mobile USA, Inc.          
  3.50%, due 4/15/25 (a)   2,150,000    2,359,195 
  4.50%, due 2/1/26   2,245,000    2,313,248 
  4.50%, due 4/15/50 (a)   1,130,000    1,355,633 
  6.00%, due 3/1/23   1,200,000    1,203,120 
  6.50%, due 1/15/26   1,235,000    1,290,575 
  Telefonica Emisiones S.A.          
  4.57%, due 4/27/23   1,781,000    1,951,560 
  5.462%, due 2/16/21   279,000    284,158 
  Verizon Communications, Inc.
1.38% (3 Month LIBOR + 1.10%), due 5/15/25 (b)
   2,455,000    2,507,925 
  Vodafone Group PLC
4.25%, due 9/17/50
   2,020,000    2,342,818 
           40,292,113 
  Total Corporate Bonds
(Cost $553,986,726)
        579,606,830 
   
  Foreign Government Bonds 1.3%
  Brazil 0.8%
  Brazilian Government International Bond
4.625%, due 1/13/28
   6,824,000    7,397,284 
   
  Mexico 0.5%
  Mexico Government International Bond
3.25%, due 4/16/30
   4,596,000    4,707,729 
  Total Foreign Government Bonds
(Cost $11,841,407)
        12,105,013 
   
  Loan Assignments 5.6% (b)
  Beverage, Food & Tobacco 0.5%
  U.S. Foods, Inc.
2016 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 6/27/23
   5,050,813    4,848,780 
   
  Buildings & Real Estate 0.4%
  Realogy Group LLC
2018 Term Loan B
3.00% (1 Month LIBOR + 2.25%), due 2/8/25
   4,320,573    4,127,948 
   
  Chemicals, Plastics & Rubber 0.4%
  Axalta Coating Systems U.S. Holdings, Inc.
Term Loan B3
1.97% (3 Month LIBOR + 1.75%), due 6/1/24
   3,725,989    3,630,976 
   
  Containers, Packaging & Glass 0.5%
  BWAY Holding Co.
2017 Term Loan B
3.523% (3 Month LIBOR + 3.25%), due 4/3/24
   5,057,724    4,764,796 
   
  Diversified/Conglomerate Service 0.5%
  Change Healthcare Holdings LLC
2017 Term Loan B
3.50% (1 Month LIBOR + 2.50%, 3 Month LIBOR + 2.500%), due 3/1/24
   4,510,262    4,414,419 
   
  Ecological 0.3%
  GFL Environmental, Inc.
2018 Term Loan B
4.00% (1 Month LIBOR + 3.00%, 3 Month LIBOR + 3.000%), due 5/30/25
   3,102,977    3,085,346 
   
  Finance 0.2%
  ON Semiconductor Corp.
2019 Term Loan B
2.147% (1 Month LIBOR + 2.00%), due 9/19/26
   1,867,286    1,836,476 
   
  Insurance 0.4%
  Alliant Holdings Intermediate LLC
2018 Term Loan B
2.897% (1 Month LIBOR + 2.75%), due 5/9/25
   3,999,089    3,874,117 
   
  Internet 0.2%
  Match Group, Inc.
2020 Term Loan B
2.004% (3 Month LIBOR + 1.75%), due 2/13/27
   1,859,000    1,821,045 
   
  Leisure, Amusement, Motion Pictures & Entertainment 0.3%
  Bombardier Recreational Products, Inc.
2020 Term Loan
2.147% (1 Month LIBOR + 2.00%), due 5/24/27
   3,013,731    2,913,093 
   
  Personal & Nondurable Consumer Products 0.2%
  Prestige Brands, Inc.
Term Loan B4
2.147% (1 Month LIBOR + 2.00%), due 1/26/24
   1,810,362    1,794,522 
   
  Radio and TV Broadcasting 0.3%
  Nielsen Finance LLC
Term Loan B4
2.154% (1 Month LIBOR + 2.00%), due 10/4/23
   2,902,500    2,840,822 
   
  Software 0.6%
  IQVIA, Inc.
2018 Term Loan B3
1.97% (3 Month LIBOR + 1.75%), due 6/11/25
   3,763,375    3,708,099 
  Syneos Health, Inc.
2018 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 8/1/24
   2,438,558    2,378,355 
           6,086,454 
  Telecommunications 0.8%
  Level 3 Financing, Inc.
2019 Term Loan B
1.897% (1 Month LIBOR + 1.75%), due 3/1/27
   3,963,602    3,829,830 
  SBA Senior Finance II LLC
2018 Term Loan B
1.90% (1 Month LIBOR + 1.75%), due 4/11/25
   4,180,806    4,067,924 
           7,897,754 
  Total Loan Assignments
(Cost $55,354,876)
        53,936,548 
   
  Mortgage-Backed Securities 14.0%
  Agency (Collateralized Mortgage Obligations) 0.7%
  Federal Home Loan Mortgage Corporation          
  REMIC Series 4888, Class BA
3.50%, due 9/15/48
   1,672,642    1,753,466 
  REMIC, Series 4924, Class NS
5.898% (1 Month LIBOR + 6.05%), due 10/25/49 (b)
   6,607,210    887,755 
  REMIC, Series 4957, Class SB
5.898% (1 Month LIBOR + 6.05%), due 11/25/49 (b)
   4,664,721    622,201 
  Federal National Mortgage Association
REMIC, Series 2020-10, Class DA
3.50%, due 3/25/60
   3,299,375    3,639,180 
           6,902,602 
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 9.7%
  BANK          
  Series 2019-BN21, Class A5
2.851%, due 10/17/52
   3,800,000    4,204,092 
  Series 2019-BN19, Class A2
2.926%, due 8/15/61
   3,965,000    4,330,466 
  Bayview Commercial Asset Trust
Series 2005-3A, Class A1
0.468% (1 Month LIBOR + 0.32%), due 11/25/35 (a)(b)
   1,294,221    1,215,899 
  Benchmark Mortgage Trust          
  Series 2020-B19, Class AS
2.148%, due 9/15/53
   1,000,000    1,027,680 
  Series 2020-B18, Class AM
2.335%, due 7/15/53
   2,250,000    2,338,641 
  Series 2019-B12, Class A5
3.116%, due 8/15/52
   3,752,000    4,221,097 
  Series 2020-IG3, Class AS
3.229%, due 9/15/48 (a)(g)
   1,505,000    1,648,745 
  BX Trust (a)          
  Series 2018-BILT, Class A
0.952% (1 Month LIBOR + 0.80%), due 5/15/30 (b)
   2,675,000    2,560,946 
  Series 2018-GW, Class A
0.952% (1 Month LIBOR + 0.80%), due 5/15/35 (b)
   1,955,000    1,886,353 
  Series 2019-OC11, Class A
3.202%, due 12/9/41
   1,330,000    1,407,844 
  Series 2019-OC11, Class B
3.605%, due 12/9/41
   1,120,000    1,161,284 
  Series 2019-OC11, Class C
3.856%, due 12/9/41
   2,970,000    2,919,060 
  Series 2019-OC11, Class D
4.076%, due 12/9/41 (h)
   705,000    684,022 
  CSAIL Commercial Mortgage Trust
Series 2015-C3, Class A4
3.718%, due 8/15/48
   2,530,220    2,789,347 
  CSMC WEST Trust
Series 2020-WEST, Class A
3.04%, due 2/15/35 (a)
   2,587,500    2,471,743 
  FREMF Mortgage Trust (a)(g)          
  Series 2013-K33, Class B
3.613%, due 8/25/46
   3,090,000    3,279,198 
  Series 2013-K30, Class B
3.668%, due 6/25/45
   4,220,000    4,465,014 
  Series 2015-K721, Class B
3.681%, due 11/25/47
   1,625,000    1,690,212 
  Series 2013-K35, Class B
4.073%, due 12/25/46
   655,000    705,001 
  GB Trust (a)(b)          
  Series 2020-FLIX, Class C
1.752% (1 Month LIBOR + 1.60%), due 8/15/37
   1,300,000    1,303,170 
  Series 2020-FLIX, Class D
2.502% (1 Month LIBOR + 2.35%), due 8/15/37
   1,750,000    1,754,269 
  GS Mortgage Securities Corp Trust
Series 2019-BOCA, Class A
1.352% (1 Month LIBOR + 1.20%), due 6/15/38 (a)(b)
   4,480,000    4,368,545 
  GS Mortgage Securities Trust          
  Series 2019-GC42, Class A4
3.001%, due 9/1/52
   1,490,000    1,664,354 
  Series 2019-GC40, Class A4
3.16%, due 7/10/52
   2,699,000    3,043,220 
  Series 2017-GS7, Class A4
3.43%, due 8/10/50
   2,990,000    3,381,563 
  Hawaii Hotel Trust
Series 2019-MAUI, Class A
1.302% (1 Month LIBOR + 1.15%), due 5/15/38 (a)(b)
   2,025,000    1,959,496 
  Hudson Yards Mortgage Trust
Series 2019-30HY, Class A
3.228%, due 7/10/39 (a)
   1,405,000    1,574,030 
  JP Morgan Chase Commercial Mortgage Securities Corp.
Series 2018-AON, Class A
4.128%, due 7/5/31 (a)
   3,043,000    3,238,346 
  JP Morgan Chase Commercial Mortgage Securities Trust
Series 2013-C16, Class A4
4.166%, due 12/15/46
   2,930,000    3,195,355 
  JPMBB Commercial Mortgage Securities Trust
Series 2014-C26, Class A3
3.231%, due 1/15/48
   2,092,995    2,230,013 
  Manhattan West (a)          
  Series 2020-1MW, Class A
2.13%, due 9/10/39
   1,725,000    1,789,219 
  Series 2020-1MW, Class D
2.413%, due 9/10/39 (g)
   1,100,000    1,069,795 
  Morgan Stanley Bank of America Merrill Lynch Trust
Series-2015-C23, Class A3
3.451%, due 7/15/50
   1,391,013    1,522,189 
  One Bryant Park Trust
Series 2019-OBP, Class A
2.516%, due 9/15/54 (a)
   3,825,000    4,070,031 
  Wells Fargo Commercial Mortgage Trust          
  Series 2019-C53, Class A3
2.787%, due 10/15/52
   1,005,000    1,105,271 
  Series 2019-C53, Class A4
3.04%, due 10/15/52
   3,566,000    3,993,205 
  Series 2018-1745, Class A
3.874%, due 6/15/36 (a)(g)
   2,900,000    3,195,291 
  Series 2018-AUS, Class A
4.194%, due 8/17/36 (a)(g)
   4,325,000    4,749,356 
           94,213,362 
  Whole Loan (Collateralized Mortgage Obligations) 3.6%
  Chase Home Lending Mortgage Trust
Series 2019-ATR2, Class A3
3.50%, due 7/25/49 (a)(h)
   624,446    642,960 
  Connecticut Avenue Securities Trust (Mortgage Pass-Through Securities)
Series 2020-R02, Class 2M2
2.148% (1 Month LIBOR + 2.00%), due 1/25/40 (a)(b)
   2,330,000    2,269,735 
  Fannie Mae Connecticut Avenue Securities (Mortgage Pass-Through Securities) (b)          
  Series 2017-C02, Class 2M2
3.798% (1 Month LIBOR + 3.65%), due 9/25/29
   924,312    934,609 
  Series 2016-C04, Class 1M2
4.398% (1 Month LIBOR + 4.25%), due 1/25/29
   1,846,728    1,913,234 
  Series 2016-C06, Class 1M2
4.398% (1 Month LIBOR + 4.25%), due 4/25/29
   2,345,353    2,398,375 
  Series 2016-C07, Class 2M2
4.498% (1 Month LIBOR + 4.35%), due 5/25/29
   1,533,354    1,584,314 
  Series 2016-C05, Class 2M2
4.598% (1 Month LIBOR + 4.45%), due 1/25/29
   5,732,675    5,914,024 
  Federal Home Loan Mortgage Corporation Structured Agency Credit Risk Debt Notes (b)          
  Series 2020-DNA2, Class M2
1.998% (1 Month LIBOR + 1.85%), due 2/25/50 (a)
   2,405,000    2,341,356 
  Series 2016-DNA4, Class M3
3.948% (1 Month LIBOR + 3.80%), due 3/25/29
   2,180,095    2,256,521 
  Series 2016-HQA3, Class M3
3.998% (1 Month LIBOR + 3.85%), due 3/25/29
   5,458,561    5,664,205 
  Series 2016-HQA1, Class M3
6.498% (1 Month LIBOR + 6.35%), due 9/25/28
   1,956,601    2,035,201 
  Galton Funding Mortgage Trust
Series 2018-2, Class A51
4.50%, due 10/25/58 (a)(h)
   1,750,000    1,846,824 
  GreenPoint Mortgage Funding Trust
Series 2007-AR3, Class A1
0.368% (1 Month LIBOR + 0.22%), due 6/25/37 (b)
   780,215    736,927 
  MASTR Alternative Loans Trust
Series 2004-11, Class BI1
6.097%, due 11/25/34 (g)
   348,334    327,092 
  Sequoia Mortgage Trust (a)(h)          
  Series 2017-1, Class A4
3.50%, due 2/25/47
   592,456    597,423 
  Series 2018-7, Class B3
4.218%, due 9/25/48
   1,622,638    1,520,163 
  WaMu Mortgage Pass-Through Certificates Trust
Series 2006-AR9, Class 2A
2.182% (11th District Cost of Funds Index + 1.50%), due 8/25/46 (b)
   1,049,402    977,559 
  Wells Fargo Mortgage Backed Securities Trust
Series 2007-7, Class A36
6.00%, due 6/25/37
   694,083    632,537 
           34,593,059 
  Total Mortgage-Backed Securities
(Cost $129,705,696)
        135,709,023 
   
  Municipal Bonds 0.4%
  Texas 0.4%
  New York State Thruway Authority, Revenue Bonds
Series M
2.90%, due 1/1/35
   640,000    695,571 
  Regents of the University of California Medical Center Pooled Revenue, Revenue Bonds
Series N
3.006%, due 5/15/50
   3,170,000    3,432,635 
  Total Municipal Bonds
(Cost $3,810,000)
        4,128,206 
   
  U.S. Government & Federal Agencies 8.3%
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 0.6%
  2.00%, due 7/1/50   2,657,866    2,748,513 
  2.50%, due 6/1/50   3,069,738    3,222,538 
           5,971,051 
  United States Treasury Notes 0.1%
  0.625%, due 8/15/30   1,215,000    1,208,925 
   
  United States Treasury Inflation - Indexed Notes 7.6%(i)
  0.125%, due 1/15/30   5,089,829    5,626,647 
  0.75%, due 7/15/28   22,524,055    25,956,040 
  0.875%, due 1/15/29   35,764,966    41,673,170 
           73,255,857 
  Total U.S. Government & Federal Agencies
(Cost $71,888,328)
        80,435,833 
  Total Long-Term Bonds
(Cost $890,369,526)
        934,687,671 
             
      Shares      
  Common Stocks 0.0%‡
  Software 0.0% ‡
  salesforce.com, Inc. (j)   1,267    318,422 
  Total Common Stocks
(Cost $146,797)
        318,422 
   
  Short-Term Investments 2.7%
  Affiliated Investment Company 2.4%
  MainStay U.S. Government Liquidity Fund, 0.02% (k)   23,453,144    23,453,144 
   
  Unaffiliated Investment Company 0.3%
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (k)(l)   2,498,210    2,498,210 
             
  Total Short-Term Investments
(Cost $25,951,354)
        25,951,354 
  Total Investments, Before Investments Sold Short
(Cost $916,467,677)
   99.4%   960,957,447 
             
      Principal Amount      
  Investments Sold Short (0.5%)
  Corporate Bonds Sold Short (0.5%)
  Metals & Mining (0.5%)
  FMG Resources (August 2006) Pty, Ltd.
5.125%, due 5/15/24 (a)
  $(5,000,000)   (5,337,500)
             
  Total Investments Sold Short
(Proceeds $5,218,925)
        (5,337,500)
             
  Total Investments, Net of Investments Sold Short
(Cost $911,248,752)
   98.9%   955,619,947 
  Other Assets, Less Liabilities   1.1    11,043,214 
  Net Assets   100.0%  $966,663,161 

 

  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 September 30, 2020.
  (c) Security, or a portion thereof, was maintained in a segregated account at the Portfolio's custodian as collateral for securities sold short.
  (d) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 2020.
  (e) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
  (f) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $2,381,059. The Portfolio received cash collateral with a value of $2,498,210.  
  (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 September 30, 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 September 30, 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) Current yield as of September 30, 2020.
  (l) Represents a security purchased with cash collateral received for securities on loan.

 

Foreign Currency Forward Contracts

 

As of September 30, 2020, the Portfolio held the following foreign currency forward contracts1:  

 

Currency Purchased  Currency Sold  Counterparty  Settlement Date  Unrealized Appreciation (Depreciation) 
USD   5,920,263   EUR   5,187,000   JPMorgan Chase Bank N.A.  11/2/20  $(165,124)
USD   547,738   GBP   436,000   JPMorgan Chase Bank N.A.  11/2/20   (14,946)
Total Unrealized Depreciation                 $(180,070)

 

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 September 30, 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     100     December 2020   $ 22,093,967     $ 22,096,094     $ 2,127  
Total Long Contracts                                 2,127  
Short Contracts                                    
5-Year United States Treasury Note     (139)     December 2020     (17,516,956 )     (17,518,344 )     (1,388 )
10-Year United States Treasury Note     (451)     December 2020     (62,797,450 )     (62,928,594 )     (131,144 )
10-Year United States Treasury Ultra Note     (598)     December 2020     (95,562,270 )     (95,633,281 )     (71,011 )
United States Treasury Long Bond     (82)     December 2020     (14,516,910 )     (14,455,063 )     61,847  
United States Treasury Ultra Bond     (132)     December 2020     (29,512,274 )     (29,279,250 )     233,024  
Total Short Contracts                                 91,328  
Net Unrealized Appreciation                               $ 93,455  

 

1. As of September 30, 2020, cash in the amount of $4,365,955 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 September 30, 2020.

 

Swap Contracts

 

As of September 30, 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   $     $ (3,162,750 )   $(3,162,750)
  50,000,000       USD     3/29/2023   Fixed 2.762%   3-Month USD-LIBOR   Semi-Annually/ Quarterly           (3,170,495 )   (3,170,495)
                                                 
Total Unrealized Depreciation                $     $ (6,333,245 )   $(6,333,245)

 

1. As of September 30, 2020, cash in the amount of $1,200,112 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 September 30, 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  $   $61,153,369   $   $61,153,369 
Convertible Bonds       7,612,849        7,612,849 
Corporate Bonds       579,606,830        579,606,830 
Foreign Government Bonds       12,105,013        12,105,013 
Loan Assignments       53,936,548        53,936,548 
Mortgage-Backed Securities       135,709,023        135,709,023 
Municipal Bonds       4,128,206        4,128,206 
U.S. Government & Federal Agencies       80,435,833        80,435,833 
Total Long-Term Bonds       934,687,671        934,687,671 
Common Stocks   318,422            318,422 
Short-Term Investments                    
Affiliated Investment Company   23,453,144            23,453,144 
Unaffiliated Investment Company   2,498,210            2,498,210 
Total Short-Term Investments   25,951,354            25,951,354 
Total Investments in Securities   26,269,776    934,687,671        960,957,447 
Other Financial Instruments  Futures Contracts (b)   296,998            296,998 
Total Investments in Securities and Other Financial Instruments  $26,566,774   $934,687,671   $   $961,254,445 
                     
Liability Valuation Inputs                    
Long-Term Bonds Sold Short Corporate Bonds Sold Short  $   $(5,337,500)  $   $(5,337,500)
Total Long-Term Bonds Sold Short       (5,337,500)       (5,337,500)
Other Financial Instruments                    
Foreign Currency Forward Contracts (b)       (180,070)       (180,070)
Futures Contracts (b)   (203,543)           (203,543)
Interest Rate Swap Contracts       (6,333,245)       (6,333,245)
Total Other Financial Instruments   (203,543)   (6,513,315)       (6,716,858)
Total Investments in Securities Sold Short and Other Financial Instruments  $(203,543)  $(11,850,815)  $   $(12,054,358)

 

(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 Mellon Natural Resources Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)

 

     Shares   Value 
  Common Stocks 99.3% †
  Brazil 2.6%
  Petroleo Brasileiro S.A., Sponsored ADR (Oil, Gas & Consumable Fuels)   731,798   $5,151,858 
             
  Canada 12.4%          
  Alamos Gold, Inc., Class A (Metals & Mining)   228,803    2,015,755 
  Barrick Gold Corp. (Metals & Mining)   338,381    9,511,890 
  Kinross Gold Corp. (Metals & Mining) (a)   831,485    7,337,275 
  Lundin Mining Corp. (Metals & Mining)   707,123    3,945,720 
  Norbord, Inc. (Paper & Forest Products)   69,329    2,048,812 
           24,859,452 
  Denmark 4.1%          
  Orsted A/S (Electric Utilities) (b)   21,813    3,007,150 
  Vestas Wind Systems A/S (Electrical Equipment)   32,428    5,260,057 
           8,267,207 
  France 2.9%          
  Air Liquide S.A. (Chemicals)   36,448    5,790,382 
             
  Luxembourg 2.7%          
  ArcelorMittal S.A. (Metals & Mining) (a)   404,407    5,397,688 
             
  Norway 4.7%          
  Equinor ASA (Oil, Gas & Consumable Fuels)   608,926    8,669,566 
  NEL ASA (Electrical Equipment) (a)(c)   463,986    843,656 
           9,513,222 
  Peru 1.4%          
  Southern Copper Corp. (Metals & Mining)   61,320    2,775,957 
             
  South Africa 5.5%          
  Anglo American PLC (Metals & Mining)   451,668    10,932,340 
             
  United Kingdom 0.0% ‡          
  BP PLC (Oil, Gas & Consumable Fuels)   17,607    51,164 
             
  United States 62.0%          
  Archer-Daniels-Midland Co. (Food Products)   231,461    10,760,622 
  Ball Corp. (Containers & Packaging)   59,456    4,941,983 
  Bunge, Ltd. (Food Products)   146,576    6,698,523 
  Cabot Oil & Gas Corp. (Oil, Gas & Consumable Fuels)   111,032    1,927,516 
  Casella Waste Systems, Inc., Class A (Commercial Services & Supplies) (a)   89,046    4,973,219 
  CF Industries Holdings, Inc. (Chemicals)   127,982    3,930,327 
  Clean Harbors, Inc. (Commercial Services & Supplies) (a)   34,749    1,946,986 
  CNX Resources Corp. (Oil, Gas & Consumable Fuels) (a)   141,558    1,336,308 
  Coeur Mining, Inc. (Metals & Mining) (a)   298,428    2,202,399 
  Comstock Resources, Inc. (Oil, Gas & Consumable Fuels) (a)   461,958    2,023,376 
  Concho Resources, Inc. (Oil, Gas & Consumable Fuels)   138,098    6,092,884 
  ConocoPhillips (Oil, Gas & Consumable Fuels)   270,076    8,869,296 
  Covanta Holding Corp. (Commercial Services & Supplies)   194,094    1,504,228 
  EQT Corp. (Oil, Gas & Consumable Fuels)   248,052    3,207,312 
  First Solar, Inc. (Semiconductors & Semiconductor Equipment) (a)   45,403    3,005,679 
  FMC Corp. (Chemicals)   43,392    4,595,647 
  Freeport-McMoRan, Inc. (Metals & Mining)   540,404    8,451,919 
  Hess Corp. (Oil, Gas & Consumable Fuels)   158,951    6,505,864 
  Itron, Inc. (Electronic Equipment, Instruments & Components) (a)   30,638    1,860,952 
  Louisiana-Pacific Corp. (Paper & Forest Products)   135,371    3,994,798 
  Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)   175,845    5,159,292 
  Mosaic Co. (Chemicals)   254,724    4,653,807 
  Newmont Corp. (Metals & Mining)   133,693    8,482,821 
  NextEra Energy Partners, L.P. (Independent Power & Renewable Electricity Producers)   35,502    2,128,700 
  NextEra Energy, Inc. (Electric Utilities)   15,521    4,308,009 
  Pioneer Natural Resources Co. (Oil, Gas & Consumable Fuels)   73,091    6,285,095 
  Range Resources Corp. (Oil, Gas & Consumable Fuels)   166,060    1,099,317 
  Steel Dynamics, Inc. (Metals & Mining)   115,700    3,312,491 
           124,259,370 
  Zambia 1.0%          
  First Quantum Minerals, Ltd. (Metals & Mining)   234,851    2,093,561 
  Total Common Stocks
(Cost $203,967,509)
        199,092,201 
             
  Short-Term Investment 0.1%          
  Affiliated Investment Company 0.1%          
  United States 0.1%          
  MainStay U.S. Government Liquidity Fund, 0.02% (d)   256,213    256,213 
  Total Short-Term Investment
(Cost $256,213)
        256,213 
  Total Investments
(Cost $204,223,722)
   99.4%   199,348,414 
  Other Assets, Less Liabilities   0.6    1,171,921 
  Net Assets   100.0%  $200,520,335 

 

  Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.
  (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) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $806,132. The Portfolio received non-cash collateral in the form of U.S. Treasury securities with a value of $847,059.  
  (d) Current yield as of September 30, 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 September 30, 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  $199,092,201   $   $   $199,092,201 
Short-Term Investment                    
Affiliated Investment Company   256,213            256,213 
Total Investments in Securities  $199,348,414   $   $   $199,348,414 

 

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

 

 

 

 

MainStay VP Moderate Allocation Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

     Shares   Value 
  Affiliated Investment Companies 97.9% †
  Equity Funds 56.5%
  IQ 50 Percent Hedged FTSE International ETF (a)   1,081,402   $21,509,086 
  IQ 500 International ETF (a)   1,076,216    26,461,891 
  IQ Candriam ESG International Equity ETF (a)   708,412    17,001,321 
  IQ Candriam ESG U.S. Equity ETF (a)   682,223    19,823,354 
  IQ Chaikin U.S. Large Cap ETF (a)   1,240,191    31,162,527 
  IQ Chaikin U.S. Small Cap ETF   196,845    4,365,668 
  MainStay Epoch Capital Growth Fund Class I   121,356    1,774,219 
  MainStay Epoch International Choice Fund Class I (a)   731,493    25,916,786 
  MainStay Epoch U.S. All Cap Fund Class R6 (a)   1,356,945    35,294,147 
  MainStay MacKay International Opportunities Fund Class I (a)   3,705,563    24,716,108 
  MainStay MAP Equity Fund Class I (a)   1,030,750    42,920,421 
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   3,321,995    32,619,661 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   2,752,787    39,771,434 
  MainStay VP MacKay Common Stock Portfolio Initial Class   132,915    3,683,226 
  MainStay VP MacKay Growth Portfolio Initial Class (a)   895,323    34,796,101 
  MainStay VP MacKay International Equity Portfolio Initial Class   525,736    9,062,644 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   2,202,262    27,816,986 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class   949,925    61,819,718 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   1,317,577    12,127,246 
  MainStay VP Small Cap Growth Portfolio Initial Class (a)   1,607,588    23,778,956 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   3,234,203    34,800,345 
  MainStay VP Winslow Large Cap Growth Portfolio Initial Class (a)   1,804,300    57,703,132 
           588,924,977 
  Fixed Income Funds 41.4%
  IQ S&P High Yield Low Volatility Bond ETF (a)   426,153    10,557,940 
  MainStay MacKay Short Duration High Yield Fund Class I   5,788,876    54,994,324 
  MainStay VP Bond Portfolio Initial Class (a)   4,145,588    64,454,360 
  MainStay VP Floating Rate Portfolio Initial Class   620,579    5,334,127 
  MainStay VP Indexed Bond Portfolio Initial Class (a)   25,045,274    284,146,151 
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   1,271,529    12,053,965 
           431,540,867 
  Total Affiliated Investment Companies
(Cost $968,552,374)
        1,020,465,844 
             
  Short-Term Investment 2.1%
  Affiliated Investment Company 2.1%
  MainStay U.S. Government Liquidity Fund, 0.02% (b)   22,292,940    22,292,940 
  Total Short-Term Investment
(Cost $22,292,940)
        22,292,940 
  Total Investments
(Cost $990,845,314)
   100.0%   1,042,758,784 
  Other Assets, Less Liabilities   (0.0)‡   (227,197)
  Net Assets   100.0%  $1,042,531,587 

 

  Percentages indicated are based on Portfolio net assets.
  Less than one-tenth of a percent.

 

(a) As of September 30, 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 September 30, 2020.

 

Swap Contracts

 

Open OTC total return swap contracts as of September 30, 2020 were as follows1:

 

Swap
Counterparty
  Reference Obligation 

Floating Rate 2

  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  $15,972   $ 
Citigroup  iShares MSCI EAFE ETF  1 month LIBOR BBA plus 0.40%  12/01/2020  Monthly   21,514     
Citigroup  iShares MSCI Emerging Markets ETF  1 month LIBOR BBA minus 0.65%  12/01/2020  Monthly   (21,453)    
Citigroup  Russell 1000 Value Total Return Index  1 month LIBOR BBA plus 0.242%  12/07/2020  Monthly   38,206     
Citigroup  Russell 2000 Total Return Index  1 month LIBOR BBA minus 0.011%  12/07/2020  Monthly   (43,336)    
Citigroup  Russell Midcap Total Return Index  1 month LIBOR BBA minus 0.068%  12/07/2020  Monthly   (17,451)    
Citigroup  S&P 500 Total Return Index  1 month LIBOR BBA plus 0.25%  10/26/2020  Monthly   23,329     
Citigroup  VanEck Vectors Gold Miners ETF  1 month LIBOR BBA plus 0.50%  12/01/2020  Monthly   16,594     

  

1 As of September 30, 2020, cash in the amount of $1,200,000 was pledged from brokers for OTC swap contracts.
2 Fund pays the floating rate and receives the total return of the reference entity.
3 Reflects the value at reset date as of September 30, 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 September 30, 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  $588,924,977   $   $   $588,924,977 
Fixed Income Funds   431,540,867            431,540,867 
Short-Term Investments   22,292,940            22,292,940 
Total Investments in Securities  $1,042,758,784   $          —   $            —   $1,042,758,784 

 

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

 

 

 

 

MainStay VP Moderate Growth Allocation Portfolio

 

Portfolio of Investments September 30, 2020 (Unaudited)

 

     Shares   Value 
  Affiliated Investment Companies 98.1% †          
  Equity Funds 77.0%          
  IQ 50 Percent Hedged FTSE International ETF (a)   1,830,828   $36,415,169 
  IQ 500 International ETF (a)   2,598,840    63,900,018 
  IQ Candriam ESG International Equity ETF (a)   806,557    19,356,723 
  IQ Candriam ESG U.S. Equity ETF   132,471    3,849,210 
  IQ Chaikin U.S. Large Cap ETF (a)   2,569,954    64,575,748 
  IQ Chaikin U.S. Small Cap ETF (a)   582,129    12,910,573 
  MainStay Epoch Capital Growth Fund Class I (a)   290,530    4,247,545 
  MainStay Epoch International Choice Fund Class I (a)   1,765,596    62,555,059 
  MainStay Epoch U.S. All Cap Fund Class R6 (a)   2,348,208    61,076,895 
  MainStay MacKay International Opportunities Fund Class I (a)   9,201,792    61,375,954 
  MainStay MAP Equity Fund Class I (a)   2,356,411    98,120,969 
  MainStay VP Emerging Markets Equity Portfolio Initial Class (a)   7,447,453    73,128,772 
  MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   6,402,064    92,495,107 
  MainStay VP MacKay Common Stock Portfolio Initial Class   309,529    8,577,412 
  MainStay VP MacKay Growth Portfolio Initial Class (a)   1,857,385    72,185,973 
  MainStay VP MacKay International Equity Portfolio Initial Class (a)   1,508,272    25,999,586 
  MainStay VP MacKay Mid Cap Core Portfolio Initial Class (a)   6,109,106    77,164,731 
  MainStay VP MacKay S&P 500 Index Portfolio Initial Class (a)   1,720,168    111,945,979 
  MainStay VP MacKay Small Cap Core Portfolio Initial Class (a)   5,173,254    47,615,665 
  MainStay VP Small Cap Growth Portfolio Initial Class (a)   7,682,464    113,636,698 
  MainStay VP T. Rowe Price Equity Income Portfolio Initial Class (a)   7,450,832    80,171,695 
  MainStay VP Winslow Large Cap Growth Portfolio Initial Class (a)   3,795,688    121,389,507 
  Total Equity Funds
(Cost $1,274,004,516)
        1,312,694,988 
  Fixed Income Funds 21.1%          
  IQ S&P High Yield Low Volatility Bond ETF (a)   699,368    17,326,842 
  MainStay MacKay Short Duration High Yield Fund Class I (a)   9,372,622    89,039,906 
  MainStay VP Bond Portfolio Initial Class (a)   2,461,306    38,267,654 
  MainStay VP Floating Rate Portfolio Initial Class (a)   1,018,375    8,753,341 
  MainStay VP Indexed Bond Portfolio Initial Class (a)   16,438,433    186,498,951 
  MainStay VP PIMCO Real Return Portfolio Initial Class (a)   2,050,189    19,435,591 
  Total Fixed Income Funds
(Cost $355,577,316)
        359,322,285 
  Total Affiliated Investment Companies
(Cost $1,629,581,832)
        1,672,017,273 
             
  Short-Term Investment 2.0%          
  Affiliated Investment Company 2.0%          
  MainStay U.S. Government Liquidity Fund, 0.02% (b)   35,068,639    35,068,639 
  Total Short-Term Investment
(Cost $35,068,639)
        35,068,639 
  Total Investments
(Cost $1,664,650,471)
   100.1%   1,707,085,912 
  Other Assets, Less Liabilities   (0.1)   (2,195,611)
  Net Assets   100.0%  $1,704,890,301 

 

  Percentages indicated are based on Portfolio net assets.
  (a) As of September 30, 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 September 30, 2020.

 

Swap Contracts

 

Open OTC total return swap contracts as of September 30, 2020 were as follows1:

 

Swap
Counterparty
  Reference Obligation  Floating Rate 2  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  $26,212   $ 
Citigroup  iShares MSCI EAFE ETF  1 month LIBOR BBA plus 0.40%  12/01/2020  Monthly   35,306     
Citigroup  iShares MSCI Emerging Markets ETF  1 month LIBOR BBA minus 0.65%  12/01/2020  Monthly   (35,208)    
Citigroup  Russell 1000 Growth Total Return Index  1 month LIBOR BBA minus 0.03%  8/05/2021  Monthly   (1,520)    
Citigroup  Russell 1000 Value Total Return Index  1 month LIBOR BBA plus 0.322%  12/07/2020  Monthly   61,080     
Citigroup  Russell 2000 Total Return Index  1 month LIBOR BBA minus 0.01%  12/07/2020  Monthly   (32,666)    
Citigroup  Russell Midcap Total Return Index  1 month LIBOR BBA minus 0.177%  12/07/2020  Monthly   (26,661)    
Citigroup  VanEck Vectors Gold Miners ETF  1 month LIBOR BBA plus 0.50%  12/01/2020  Monthly   27,232     

 

1 As of September 30, 2020, cash in the amount of $1,700,000 was pledged from brokers for OTC swap contracts.
2 Fund pays the floating rate and receives the total return of the reference entity.
3 Reflects the value at reset date as of September 30, 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 September 30, 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   $ 1,312,694,988     $     $     $ 1,312,694,988  
Fixed Income Funds     359,322,285                   359,322,285  
Short-Term Investment     35,068,639                   35,068,639  
Total Investments in Securities   $ 1,707,085,912     $     $     $ 1,707,085,912  

 

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

 

 

 

 

MainStay VP PIMCO Real Return Portfolio
 
Portfolio of Investments  September 30, 2020 (Unaudited)

 

    Principal
Amount
    Value  
  Long-Term Bonds 144.4% †                
  Asset-Backed Securities 7.0%                
Other Asset-Backed Securities 7.0%                
 
 
 
Anchorage Capital CLO, Ltd.
Series 2020-16A, Class A
1.00% (3 Month LIBOR + 1.40%), due 10/20/31 (a)(b)
  
 
$ 1,100,000  
 
 
 
 
 
$
1,100,000  
 
      Argent Securities Trust
Series 2006-W4, Class A2C
0.308% (1 Month LIBOR + 0.16%), due 5/25/36 (b)
            321,175                   123,593      
    Atrium XII
Series 2012-A, Class AR
1.088% (3 Month LIBOR + 0.83%), due 4/22/27 (a)(b)
        296,613             293,818    
    Black Diamond CLO Designated Activity Co.
Series 2015-1A, Class A1R
0.65% (3 Month EURIBOR + 0.65%), due 10/3/29 (a)(b)
    EUR 211,825             248,382    
    Catamaran CLO, Ltd.
Series 2013-1A, Class AR
1.095% (3 Month LIBOR + 0.85%), due 1/27/28 (a)(b)
    $   1,034,713             1,019,804    
    CBAM, Ltd.
Series 2017-3A, Class A
1.503% (3 Month LIBOR + 1.23%), due 10/17/29 (a)(b)
        500,000             497,538    
    CoreVest American Finance Trust
Series 2017-1, Class A
2.968%, due 10/15/49 (a)
        57,761             58,895    
    Countrywide Asset-Backed Certificates
Series 2007-08, Class 1A1
0.338% (1 Month LIBOR + 0.19%), due 11/25/37 (b)
        729,058             680,050    
    Credit Suisse First Boston Mortgage Securities Corp.
Series 2001-HE17, Class A1
0.768% (1 Month LIBOR + 0.62%), due 1/25/32 (b)
        927,497             888,885    
    Credit-Based Asset Servicing & Securitization LLC
Series 2007-CB6, Class A3
0.368% (1 Month LIBOR + 0.22%), due 7/25/37 (a)(b)
        1,092,720             862,170    
    Elmwood CLO I, Ltd.
Series 2019-1A, Class A
1.622% (3 Month LIBOR + 1.35%), due 4/20/30 (a)(b)
        2,200,000             2,196,029    
    First Franklin Mortgage Loan Trust
Series 2006-FF17, Class A2
0.268% (1 Month LIBOR + 0.12%), due 12/25/36 (b)
        551,664             477,208    
    GSAA Home Equity Trust
Series 2006-17, Class A3A
0.388% (1 Month LIBOR + 0.24%), due 11/25/36 (b)
        1,261,670             624,728    
    Halcyon Loan Advisors Funding, Ltd.
Series 2015-1A, Class AR
1.192% (3 Month LIBOR + 0.92%), due 4/20/27 (a)(b)
        139,490             138,703    
  Home Equity Asset Trust (b)                
   Series 2005-8, Class M2
0.598% (1 Month LIBOR + 0.45%), due 2/25/36
      300,000          285,034   
   Series 2004-2, Class M1
0.943% (1 Month LIBOR + 0.795%), due 7/25/34
      94,666          93,369   
    ICG US CLO, Ltd.
Series 2020-1A, Class A1
1.62% (3 Month LIBOR + 1.40%), due 10/22/31 (a)(b)
        1,100,000             1,100,000    
    Jamestown CLO IV, Ltd.
Series 2014-4A, Class A1AR
0.965% (3 Month LIBOR + 0.69%), due 7/15/26 (a)(b)
        85,444             85,249    
    Jamestown CLO VII, Ltd.
Series 2015-7A, Class A1R
1.075% (3 Month LIBOR + 0.83%), due 7/25/27 (a)(b)
        982,662             976,122    
    Jubilee CLO B.V.
Series 2015-16A, Class A1R
0.316% (3 Month EURIBOR + 0.80%), due 12/15/29 (a)(b)
    EUR   1,660,000             1,930,574    
    KVK CLO, Ltd.
Series 2013-1A, Class AR
1.168% (3 Month LIBOR + 0.90%), due 1/14/28 (a)(b)
    $   1,239,704             1,230,845    
    Legacy Mortgage Asset Trust
Series 2019-GS3, Class A1
3.75%, due 4/25/59 (a)(c)
        170,679             173,686    
    Long Beach Mortgage Loan Trust
Series 2006-7, Class 2A2
0.268% (1 Month LIBOR + 0.12%), due 8/25/36 (b)
        270,502             140,313    
    MacKay Shields Euro CLO
Series 2A, Class A
1.55% (3 Month EURIBOR + 1.55%), due 8/15/33 (a)(b)
    EUR   250,000             293,666    
    Man GLG Euro CLO II DAC
Series 2A, Class A1R
0.87% (3 Month EURIBOR + 0.87%), due 1/15/30 (a)(b)
        250,000             291,830    
    Marathon CLO V, Ltd.
Series 2013-5A, Class A1R
1.117% (3 Month LIBOR + 0.87%), due 11/21/27 (a)(b)
    $   1,459,700             1,435,578    
    Marlette Funding Trust
Series 2019-3A, Class A
2.69%, due 9/17/29 (a)
        75,753             76,385    
    Mastr Asset Backed Securities Trust
Series 2006-WMC4, Class A5
0.298% (1 Month LIBOR + 0.15%), due 10/25/36 (b)
        128,571             57,184    
    MidOcean Credit CLO VI
Series 2016-6A, Class AR
1.522% (3 Month LIBOR + 1.25%), due 1/20/29 (a)(b)
        2,200,000             2,183,665    
    Morgan Stanley ABS Capital I, Inc. Trust
Series 2005-WMC1, Class M3
0.928% (1 Month LIBOR + 0.78%), due 1/25/35 (b)
        252,207             247,522    
    Nassau, Ltd.
Series 2020-1A, Class A1
2.383% (3 Month LIBOR + 2.15%), due 7/20/29 (a)(b)
        1,100,000             1,098,699    
    New Century Home Equity Loan Trust
Series 2004-04, Class M1
0.913% (1 Month LIBOR + 0.765%), due 2/25/35 (b)
        72,526             70,391    
    New Residential Mortgage Loan Trust
Series 2018-3A, Class A1
4.50%, due 5/25/58 (a)(d)
        203,968             220,781    
  OCP CLO, Ltd. (a)(b)                
   Series 2015-10A, Class A1R
1.065% (3 Month LIBOR + 0.82%), due 10/26/27
      1,124,999          1,117,701   
   Series 2015-9A, Class A1R
1.075% (3 Month LIBOR + 0.80%), due 7/15/27
      143,976          143,343   
    OZLM XXIII, Ltd.
Series 2019-23A, Class A
1.745% (3 Month LIBOR + 1.47%), due 4/15/32 (a)(b)
        1,100,000             1,094,251    
    Palmer Square European Loan Funding
Series 2020-1A, Class A
1.15% (3 Month EURIBOR + 1.15%), due 1/15/30 (a)(b)
    EUR   900,000             1,056,102    
  RASC Trust (b)                
   Series 2006-EMX4, Class A4
0.378% (1 Month LIBOR + 0.23%), due 6/25/36
   772,790          748,386   
   Series 2006-KS6, Class A4
0.398% (1 Month LIBOR + 0.25%), due 8/25/36
      265,803          263,339   
   Series 2005-KS8, Class M4
0.738% (1 Month LIBOR + 0.59%), due 8/25/35
      600,000          597,959   
   Series 2005-EMX1, Class M2
1.243% (1 Month LIBOR + 1.095%), due 3/25/35
      631,322          618,006   
    Saxon Asset Securities Trust
Series 2007-03, Class 1A
0.458% (1 Month LIBOR + 0.31%), due 9/25/37 (b)
        166,888             161,037    
  Securitized Asset-Backed Receivables LLC Trust (b)                
   Series 2006-HE2, Class A2C
0.298% (1 Month LIBOR + 0.15%), due 7/25/36
      226,506          130,514   
   Series 2006-HE1, Class A2C
0.308% (1 Month LIBOR + 0.16%), due 7/25/36
      632,812          311,969   
    SLM Private Education Loan Trust
Series 2011-B, Class A3
2.402% (1 Month LIBOR + 2.25%), due 6/16/42 (a)(b)
        27,966             28,009    
  SLM Student Loan Trust (b)                
   Series 2004-2, Class A5
(zero coupon) (3 Month EURIBOR + 0.18%), due 1/25/24
   EUR  44,486          52,122   
   Series 2003-5, Class A5
(zero coupon) (3 Month EURIBOR + 0.27%), due 6/17/24
      17,774          20,801   
   Series 2004-3A, Class A6B
0.795% (3 Month LIBOR + 0.55%), due 10/25/64 (a)
   469,097          453,651   
  Soundview Home Equity Loan Trust (b)                
   Series 2007-OPT2, Class 2A3
0.328% (1 Month LIBOR + 0.18%), due 7/25/37
      226,402          213,760   
   Series 2007-OPT1, Class 1A1
0.348% (1 Month LIBOR + 0.20%), due 6/25/37
      344,226          284,188   
    SP-STATIC CLO 1, Ltd.
Series 2020-1A, Class A
1.635% (3 Month LIBOR + 1.40%), due 7/22/28 (a)(b)
        600,000             599,279    
    Stanwich Mortgage Loan LLC
Series 2019-NPB1, Class A1
3.375%, due 8/15/24 (a)(c)
        189,327             188,039    
    Symphony CLO XIV, Ltd.
Series 2014-14A, Class AR
1.218% (3 Month LIBOR + 0.95%), due 7/14/26 (a)(b)
        245,479             244,234    
    THL Credit Wind River CLO, Ltd.
Series 2012-1A, Class AR2
1.155% (3 Month LIBOR + 0.88%), due 1/15/26 (a)(b)
        71,849             71,692    
    Venture CLO, Ltd.
Series 2018-35A, Class AS
1.408% (3 Month LIBOR + 1.15%), due 10/22/31 (a)(b)
        200,000             198,901    
    Venture XX CLO, Ltd.
Series 2015-20A, Class AR
1.095% (3 Month LIBOR + 0.82%), due 4/15/27 (a)(b)
        618,794             614,619    
    Venture XXI CLO, Ltd.
Series 2015-21A, Class AR
1.155% (3 Month LIBOR + 0.88%), due 7/15/27 (a)(b)
        317,500             314,413    
    Voya CLO, Ltd.
Series 2014-3A, Class A1R
0.965% (3 Month LIBOR + 0.72%), due 7/25/26 (a)(b)
        180,924             180,226    
    Wachovia Mortgage Loan Trust
Series 2005-WMC1, Class M1
0.808% (1 Month LIBOR + 0.66%), due 10/25/35 (b)
        5,425             5,495    
    Z Capital Credit Partners CLO, Ltd.
Series 2015-1A, Class A1R
1.221% (3 Month LIBOR + 0.95%), due 7/16/27 (a)(b)
        442,384             437,479    
   Total Asset-Backed Securities
(Cost $31,294,421)
                  31,350,211   
                   
  Corporate Bonds 7.1%                
  Agriculture 0.1%                
   Reynolds American, Inc.
4.00%, due 6/12/22
      200,000          210,807   
                   
  Auto Manufacturers 0.8%                
   BMW U.S. Capital LLC
3.40%, due 8/13/21 (a)
      600,000          615,614   
    FCE Bank PLC
Series Reg S
1.875%, due 6/24/21
    EUR   900,000             1,044,505    
  Nissan Motor Acceptance Corp. (a)                
  1.90%, due 9/14/21   $ 100,000       100,406  
  2.65%, due 7/13/22     200,000       202,084  
  Volkswagen Group of America Finance LLC (a)                
  1.083% (3 Month LIBOR + 0.86%), due 9/24/21 (b)     900,000       903,398  
  4.00%, due 11/12/21     600,000       621,990  
                3,487,997  
  Banks 2.5%                
    Banco Bilbao Vizcaya Argentaria S.A.
Series Reg S
5.875% (EUR 5 Year Interest Swap Rate + 5.66%), due 9/24/23 (b)(e)
    EUR   400,000             461,359    
   Bank of America Corp.
5.875%, due 3/15/28 (e)(f)
   190,000          204,868   
    Cooperatieve Rabobank U.A.
Series Reg S
6.625% (EUR 5 Year Interest Swap Rate + 6.697%), due 6/29/21 (b)(e)
    EUR   200,000             241,525    
   Credit Suisse Group Funding Guernsey, Ltd.
3.80%, due 9/15/22
   300,000          317,444   
   Deutsche Bank A.G.
4.25%, due 10/14/21
      1,400,000          1,441,195   
   ING Bank N.V.
2.625%, due 12/5/22 (a)
      400,000          418,959   
   Intesa Sanpaolo S.p.A.
6.50%, due 2/24/21 (a)
      400,000          408,290   
  Lloyds Banking Group PLC (b)                
  1.027% (3 Month LIBOR + 0.80%), due 6/21/21     400,000       401,603  
   Series Reg S
4.947% (EUAM DB05 + 5.29%), due 6/27/25 (e)
   EUR  200,000          231,559   
  Natwest Group PLC                
  1.775% (3 Month LIBOR + 1.55%), due 6/25/24 (b)   $ 300,000       301,381  
  4.519%, due 6/25/24 (f)     200,000       215,565  
  Nykredit Realkredit A/S                
   Series Reg S
1.00%, due 10/1/50
   DKK  28,251,280          4,466,887   
   Series Reg S
2.50%, due 10/1/47
      3,592          598   
   UniCredit S.p.A.
7.83%, due 12/4/23 (a)
   1,800,000          2,107,397   
                11,218,630  
  Beverages 0.5%                
  Keurig Dr. Pepper, Inc.                
  3.551%, due 5/25/21     1,400,000       1,428,058  
  4.057%, due 5/25/23     100,000       108,702  
   Pernod-Ricard S.A.
5.75%, due 4/7/21 (a)
      794,000          815,524   
                2,352,284  
  Biotechnology 0.1%                
   Amgen, Inc.
3.625%, due 5/15/22
      400,000          418,077   
                   
  Commercial Services 0.1%                
   ERAC USA Finance LLC
4.50%, due 8/16/21 (a)
      400,000          413,420   
   RELX Capital, Inc.
3.50%, due 3/16/23
      100,000          106,354   
                519,774  
  Distribution & Wholesale 0.1%                
    Toyota Tsusho Corp.
Series Reg S
3.625%, due 9/13/23
        200,000             215,111    
                   
  Diversified Financial Services 1.3%                
  Ally Financial, Inc.                
  4.125%, due 2/13/22     200,000       207,260  
  4.25%, due 4/15/21     100,000       101,705  
   Avolon Holdings Funding, Ltd.
5.50%, due 1/15/23 (a)
      100,000          100,848   
   BOC Aviation, Ltd.
2.375%, due 9/15/21 (a)
      200,000          201,382   
  Jyske Realkredit A/S                
   Series Reg S
1.00%, due 10/1/50
   DKK  17,974,731          2,843,449   
   Series Reg S
2.50%, due 10/1/47
      10,073          1,677   
   Mitsubishi UFJ Lease & Finance Co., Ltd.
2.652%, due 9/19/22 (a)
   200,000          205,849   
  Nordea Kredit Realkreditaktieselskab                
   Series Reg S
1.00%, due 10/1/50
   DKK  11,545,796          1,827,901   
  2.50%, due 10/1/47     4,106       683  
   Park Aerospace Holdings, Ltd.
5.25%, due 8/15/22 (a)
   200,000          200,809   
    Realkredit Danmark A/S
Series Reg S
2.50%, due 4/1/47
    DKK   18,609             3,096    
                5,694,659  
  Electric 0.1%                
   American Electric Power Co., Inc.
3.65%, due 12/1/21
   100,000          103,549   
   LG&E & KU Energy LLC
4.375%, due 10/1/21
      100,000          102,869   
   Sempra Energy
0.70% (3 Month LIBOR + 0.45%), due 3/15/21 (b)
      100,000          100,136   
                306,554  
  Food 0.2%                
   Campbell Soup Co.
3.30%, due 3/15/21
      300,000          303,408   
   Conagra Brands, Inc.
3.25%, due 9/15/22 (g)
      200,000          210,283   
  Danone S.A. (a)                
  2.077%, due 11/2/21     200,000       203,104  
  3.00%, due 6/15/22     200,000       207,530  
                924,325  
  Gas 0.3%                
   Southern Co. Gas Capital Corp.
3.50%, due 9/15/21
      1,400,000          1,429,902   
                   
  Home Builders 0.0% ‡                
   D.R. Horton, Inc.
5.75%, due 8/15/23
      100,000          112,720   
                   
  Home Furnishing 0.2%                
   Panasonic Corp.
2.536%, due 7/19/22 (a)
      800,000          825,563   
                   
  Media 0.2%                
   Charter Communications Operating LLC / Charter Communications Operating Capital Corp.
4.464%, due 7/23/22
      600,000          635,242   
   COX Communications, Inc.
3.25%, due 12/15/22 (a)
      200,000          210,817   
                846,059  
  Miscellaneous - Manufacturing 0.1%                
   Textron, Inc.
0.793% (3 Month LIBOR + 0.55%), due 11/10/20 (b)
      580,000          580,016   
                   
  Oil & Gas 0.1%                
   Petrobras Global Finance B.V.
5.093%, due 1/15/30
      543,000          570,612   
   YPF S.A
35.642% (BADLARPP Index + 6.00%), due 3/4/21 (b)(h)
   ARS  3,130,000          39,753   
                610,365  
  Pharmaceuticals 0.2%                
   Cigna Corp.
3.75%, due 7/15/23
   133,000          144,128   
  CVS Health Corp.                
  2.125%, due 6/1/21     800,000       808,408  
  3.70%, due 3/9/23     87,000       93,228  
                1,045,764  
  Semiconductors 0.1%                
   NXP B.V. / NXP Funding LLC
3.875%, due 9/1/22 (a)
      400,000          422,767   
                   
  Telecommunications 0.1%                
   Sprint Corp.
7.25%, due 9/15/21
      300,000          313,875   
   Telstra Corp., Ltd.
4.80%, due 10/12/21 (a)
      300,000          313,354   
                627,229  
  Trucking & Leasing 0.0% ‡                
   Penske Truck Leasing Co., L.P. / PTL Finance Corp.
3.65%, due 7/29/21 (a)
      200,000          204,673   
   Total Corporate Bonds
(Cost $30,931,737)
                  32,053,276   
                   
  Foreign Government Bonds 6.9%                
  Argentina 0.0% ‡                
   Argentina Bocon
29.406%, due 10/4/22 (d)(h)
   ARS  50,887          851   
   Bonos del Tesoro Nacional en Pesos
31.641% (BADLARPP Index + 2.00%), due 4/3/22 (b)(h)
      2,854,000          39,713   
                40,564  
  Australia 0.5%                
  Australia Government Bond                
   Series Reg S
1.25%, due 2/21/22
   AUD  980,000          836,673   
   Series Reg S
3.00%, due 9/20/25
      1,450,000          1,542,712   
                2,379,385  
  Brazil 0.6%                
   Brazil Letras do Tesouro Nacional
(zero coupon), due 10/1/20
   BRL  13,706,000          2,440,570   
                   
  Canada 0.2%                
   Canadian Government Real Return Bond
4.25%, due 12/1/26
   CAD  937,308          928,706   
                   
  France 1.2%                
  French Republic Government Bond OAT                
   Series Reg S
0.10%, due 3/1/26 (a)
   EUR  3,093,614          3,855,702   
   Series Reg S
0.25%, due 7/25/24
      1,382,797          1,704,593   
                5,560,295  
  Italy 2.4%                
    Italy Buoni Poliennali Del Tesoro
Series Reg S
1.40%, due 5/26/25 (a)
        8,875,970             10,867,643    
                   
  Japan 1.0%                
  Japanese Government CPI Linked Bond                
  0.10%, due 3/10/28   JPY 208,850,580       1,976,323  
  0.10%, due 3/10/29     263,518,110       2,494,883  
                4,471,206  
  New Zealand 0.6%                
  New Zealand Government Inflation Linked Bond                
   Series Reg S
2.00%, due 9/20/25
   NZD  1,800,000          1,491,833   

 

  

Series Reg S
2.50%, due 9/20/35
      800,000          827,900   
  Series Reg S     500,000       493,126  
  3.00%, due 9/20/30                
                2,812,859  
  Peru 0.3%                
  Peru Government Bond                
   Series Reg S
5.94%, due 2/12/29
   PEN  1,300,000          423,206   
   Series Reg S
6.15%, due 8/12/32
      2,600,000          827,798   
                1,251,004  
  Qatar 0.1%                
    Qatar Government International Bond
Series Reg S
3.875%, due 4/23/23
    $   300,000             321,900    
   Total Foreign Government Bonds
(Cost $29,901,865)
                  31,074,132   
                   
  Mortgage-Backed Securities 3.6%                
  Agency (Collateralized Mortgage Obligations) 0.7%                
    Federal Home Loan Mortgage Corporation REMIC (Collateralized Mortgage Obligations)
Series 4779, Class WF
0.506% (1 Month LIBOR + 0.35%), due 7/15/44 (b)
        305,199             306,649    
    Federal Home Loan Mortgage Corporation Strips
Series 278, Class F1
0.602% (1 Month LIBOR + 0.45%), due 9/15/42 (b)
        407,825             412,998    
    Federal National Mortgage Association REMICS
REMIC, Series 2019-5, Class FA
0.548% (1 Month LIBOR + 0.40%), due 3/25/49 (b)
        1,330,156             1,336,850    
    Government National Mortgage Association
REMIC, Series 2018-H15, Class FG
0.599% (12 Month LIBOR + 0.15%), due 8/20/68 (b)
        571,406             565,338    
    Government National Mortgage Association (Mortgage Pass-Through Securities)
Series 2017-H10, Class FB
1.904% (12 Month LIBOR + 0.75%), due 4/20/67 (b)
        328,688             335,493    
                2,957,328  
  Commercial Mortgage Loans (Collateralized Mortgage Obligations) 0.2%                
    AREIT CRE Trust
Series 2020-CRE4, Class A
2.772% (1 Month LIBOR + 2.62%), due 4/14/37 (a)(b)
        400,000             404,155    
    Citigroup Commercial Mortgage Trust
Series 2020-WSS, Class A
2.102% (1 Month LIBOR + 1.95%), due 2/15/39 (a)(b)
        585,982             578,779    
                982,934  
  Whole Loan (Collateralized Mortgage Obligations) 2.7%                
    CHL Mortgage Pass-Through Trust
Series 2007-1, Class A1
6.00%, due 3/25/37
        39,281             31,739    
    Citigroup Mortgage Loan Trust
Series 2007-AR4, Class 1A1A
3.921%, due 3/25/37 (i)
        346,340             332,129    
  Citigroup Mortgage Loan Trust, Inc.                
   Series 2019-B, Class A1
3.258%, due 4/25/66 (a)(d)
      268,774          271,825   
   Series 2004-NCM2, Class 1CB1
5.50%, due 8/25/34
      232,841          238,404   
  Countrywide Alternative Loan Trust                
   Series 2005-29CB, Class A4
5.00%, due 7/25/35
      46,129          37,943   
   Series 2007-1T1, Class 1A1
6.00%, due 3/25/37
      696,131          443,757   
  Credit Suisse Mortgage Trust (a)                
   Series 2019-RPL9, Class A1
3.05%, due 10/27/59 (d)
      963,756          969,068   
   Series 2019-RPL4, Class A1
3.507%, due 8/26/58
      272,366          274,157   
  Eurosail-UK PLC (b)                
   Series 2007-3A, Class A3C
1.01% (3 Month LIBOR + 0.95%), due 6/13/45 (a)
   GBP  43,932          56,214   
   Series 2007-3X, Class A3C, Reg S
1.01% (3 Month LIBOR + 0.95%), due 6/13/45
      43,932          56,215   
   Series 2007-3X, Class A3A, Reg S
1.01% (3 Month LIBOR + 0.95%), due 6/13/45
      164,765          210,832   
    GreenPoint Mortgage Funding Trust
Series 2006-AR4, Class A6A
0.328% (1 Month LIBOR + 0.18%), due 9/25/46 (b)
    $   96,521             88,241    
  IndyMac INDX Mortgage Loan Trust (b)                
   Series 2005-AR14, Class 1A1A
0.428% (1 Month LIBOR + 0.28%), due 7/25/35
      1,013,289          835,748   
   Series 2005-AR12  Class 2A1A
0.628% (1 Month LIBOR + 0.48%), due 7/25/35
      143,672          134,454   
    Lehman XS Trust
Series 2007-20N, Class A1
1.298% (1 Month LIBOR + 1.15%), due 12/25/37 (b)
        49,445             45,861    
    Merrill Lynch Mortgage Investors Trust
Series 2005-A4, Class 1A
3.32%, due 7/25/35 (i)
        195,555             137,438    
    New Residential Mortgage Loan Trust
Series 2019-RPL3, Class A1
2.75%, due 7/25/59 (a)(d)
        356,343             374,747    
    OBX Trust
Series 2018-1, Class A2
0.798% (1 Month LIBOR + 0.65%), due 6/25/57 (a)(b)
        56,645             56,560    
    Opteum Mortgage Acceptance Corporation
Series 2005-2, Class M7
1.948% (1 Month LIBOR + 1.80%), due 4/25/35 (b)
        100,000             95,378    
    Paragon Mortgages No.13 PLC
Series 13X, Class A1, Reg S
0.322% (3 Month LIBOR + 0.24%), due 1/15/39 (b)
    GBP   1,922,358             2,412,021    
    Residential Asset Securitization Trust
Series 2006-A10, Class A5
6.50%, due 9/25/36
    $   252,993             155,352    
    Residential Mortgage Securities
Series 32A, Class A
1.315% (SONIA3M IR + 1.25%), due 6/20/70 (a)(b)
    GBP   200,000             259,181    
    Structured Asset Securities Corp. Mortgage Loan Trust
Series 2005-OPT1, Class A2
0.358% (1 Month LIBOR + 0.21%), due 11/25/35 (b)
    $   1,042,430             1,032,162    
    Thornburg Mortgage Securities Trust
Series 2004-2, Class A1
0.768% (1 Month LIBOR + 0.62%), due 6/25/44 (b)
        881,135             846,488    
    Towd Point Mortgage Funding
Series 2019-GR4A, Class A1
1.101% (3 Month LIBOR + 1.025%), due 10/20/51 (a)(b)
    GBP   1,067,447             1,380,679    
    Trinity Square PLC
Series 2015-1A, Class A
1.232% (3 Month LIBOR + 1.15%), due 7/15/51 (a)(b)
        507,666             655,706    
  Washington Mutual Mortgage Pass-Through Certificates                
   Series 2007-HY1, Class A2A
0.308% (1 Month LIBOR + 0.16%), due 2/25/37 (b)
   626,449          541,662   
   Series 2006-5, Class 2CB1
6.00%, due 7/25/36
      44,323          38,617   
                12,012,578  
   Total Mortgage-Backed Securities
(Cost $16,456,225)
                  15,952,840    
                   
  U.S. Government & Federal Agencies 119.8%                
  Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 6.7%                
  2.00%, due 1/1/50 (j)     6,300,000       6,490,871  
  2.50%, due 9/1/49 TBA (j)     22,000,000       23,007,708  
  4.00%, due 2/1/50     727,563       782,979  
                30,281,558  
  Federal National Mortgage Association (Mortgage Pass-Through Securities) 6.4%                
  2.371% (12 Month Monthly Treasury Average Index + 1.20%), due 6/1/43 (b)     223,761       224,220  
  3.00%, due 4/1/49 TBA (j)     8,500,000       8,905,908  
  3.366% (1 Year Treasury Constant Maturity Rate + 2.36%), due 11/1/34 (b)     261,583       276,588  
  3.50%, due 1/1/49 TBA (j)     12,900,000       13,616,175  
  4.00%, due 11/1/27 TBA (j)     5,000,000       5,338,184  
  4.00%, due 5/1/50     10,982       11,691  
  4.105% (11th District Cost of Funds Index + 1.926%), due 12/1/36 (b)     185,725       194,733  
                28,567,499  
  Government National Mortgage Association (Mortgage Pass-Through Securities) 1.7%                
  2.50%, due 11/1/49                
  TBA (j)     7,400,000       7,757,859  
                   
  United States Treasury Notes 0.1%                
  1.75%, due 12/31/24     330,000       351,257  
                   
  United States Treasury Inflation - Indexed Bonds 43.0%                
  0.125%, due 10/15/24     6,058,260       6,430,867  
  0.125%, due 7/15/30 (k)     14,775,995       16,436,756  
  0.25%, due 2/15/50     2,599,685       3,072,774  
  0.375%, due 7/15/27 (k)     19,619,742       21,816,616  
  0.625%, due 2/15/43     2,005,651       2,474,785  
  0.75%, due 2/15/42     3,932,392       4,953,432  
  0.75%, due 2/15/45     1,661,181       2,117,746  
  0.875%, due 2/15/47 (k)     12,283,717       16,365,334  
  1.00%, due 2/15/46     4,909,052       6,632,909  
  1.00%, due 2/15/48     2,634,729       3,639,631  
  1.00%, due 2/15/49 (k)     3,141,430       4,390,189  
  1.375%, due 2/15/44 (k)     16,563,939       23,596,064  
  1.75%, due 1/15/28 (k)     14,377,842       17,516,068  
  2.00%, due 1/15/26     11,274,490       13,281,658  
  2.125%, due 2/15/40     4,147,052       6,361,351  
  2.125%, due 2/15/41     5,713,697       8,885,245  
  2.375%, due 1/15/25 (k)     12,496,023       14,509,786  
  2.375%, due 1/15/27     25,692       31,682  
  2.50%, due 1/15/29     6,431,178       8,403,406  
  3.375%, due 4/15/32     477,250       724,926  
  0.125%, due 1/15/30     10,834,527       11,977,231  
                193,618,456  
  United States Treasury Inflation - Indexed Notes 61.9%                
  0.125%, due 4/15/21 (k)     17,154,255       17,228,634  
  0.125%, due 1/15/22     10,335,557       10,499,877  
  0.125%, due 4/15/22 (k)     46,188,793       47,007,923  
  0.125%, due 7/15/22 (k)     4,306,459       4,418,158  
  0.125%, due 1/15/23     13,168,298       13,574,149  
  0.125%, due 7/15/26 (k)     17,307,450       18,775,203  
  0.25%, due 7/15/29 (k)     25,365,535       28,381,325  
  0.375%, due 7/15/23     6,380,748       6,695,174  
  0.375%, due 1/15/27 (k)     14,996,765       16,502,886  
  0.50%, due 4/15/24 (k)     9,678,391       10,276,359  
  0.50%, due 1/15/28 (k)     17,244,543       19,357,673  
  0.625%, due 7/15/21     2,045,950       2,075,800  
  0.625%, due 4/15/23     10,262,530       10,737,973  
  0.625%, due 1/15/24 (l)     8,688,895       9,233,987  
  0.625%, due 1/15/26 (k)     26,821,040       29,569,673  
  0.75%, due 7/15/28 (k)     16,527,283       19,045,542  
  0.875%, due 1/15/29     11,275,283       13,137,907  
  1.125%, due 1/15/21     2,013,225       2,025,886  
                278,544,129  
   Total U.S. Government & Federal Agencies
(Cost $501,080,302)
                  539,120,758    
   Total Long-Term Bonds
(Cost $614,568,712)
                   649,551,217   

 

     Shares     
  Short-Term Investments 1.1%          
  Affiliated Investment Company 0.6%          
  MainStay U.S. Government Liquidity Fund, 0.02% (m)   2,843,087    2,843,087 
  Total Affiliated Investment Company
(Cost $2,843,087)
                  2,843,087    
             
  Unaffiliated Investment Company 0.0% ‡          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (m)(n)   1,073    1,073 
  Total Unaffiliated Investment Company
(Cost $1,073)
                  1,073    

 

     Principal
Amount
     
  Repurchase Agreement 0.5%          
  Credit Agricole Corp.
0.11%, dated 9/30/20
due 10/1/20
Proceeds at Maturity $2,100,007 (Collateralized by a United States Treasury Note with a rate of 2.25% and a maturity date of 8/15/49, with a Principal Amount of $1,781,000 and a Market Value of $2,145,409)
  $2,100,000    2,100,000 
  Total Repurchase Agreement
(Cost $2,100,000)
        2,100,000 
  Total Short-Term Investments
(Cost $4,944,160)
        4,944,160 
  Total Investments Excluding Purchased Options
(Cost $614,608,709)
   145.5%   654,495,378 
  Total Purchased Options
(Cost $9,493)
   0.00%   5,979 
  Total Investments
(Cost $614,618,202)
   145.5%   654,501,356 
  Other Assets, Less Liabilities   (45.5)   (204,581,252)
  Net Assets   100.0%  $449,920,104 

 

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 September 30, 2020.
(c) Step coupon - Rate shown was the rate in effect as of September 30, 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 September 30, 2020.
(e) Securities are perpetual and, thus, do not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(f) Fixed to floating rate - Rate shown was the rate in effect as of September 30, 2020.
(g) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $1,053. The Portfolio received cash collateral with a value of $1,073.  
(h) Illiquid security - As of September 30, 2020, the total market value of these securities deemed illiquid under procedures approved by the Board of Trustees was $80,317, which represented less than one-tenth of a percent 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 September 30, 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 September 30, 2020, the total net market value of these securities was $65,116,705, which represented 14.5% 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) Security, or a portion thereof, was maintained in a segregated account at the Portfolio's custodian as collateral for swap contracts.
(m) Current yield as of September 30, 2020.
(n) Represents a security purchased with cash collateral received for securities on loan.

 

Foreign Currency Forward Contracts
 
As of September 30, 2020, the Portfolio held the following foreign currency forward contracts1,2:

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation)
 
BRL   13,706,000   USD   2,429,840   JPMorgan Chase Bank N.A.*  10/2/20  $10,730 
BRL   13,706,000   USD   2,428,635   Societe Generale*  10/2/20   11,936 
DKK   48,737,943   USD   7,623,035   Bank of America, N.A  10/1/20   52,352 
GBP   1,819,000   USD   2,345,636   JPMorgan Chase Bank N.A.  10/2/20   1,510 
JPY   359,790,216   USD   3,405,492   Morgan Stanley & Co.  10/2/20   5,974 
USD   2,373,727   AUD   3,218,000   JPMorgan Chase Bank N.A.  10/2/20   68,836 
USD   2,504,614   BRL   13,706,000   JPMorgan Chase Bank N.A.*  10/2/20   64,044 
USD   888,063   CAD   1,159,000   JPMorgan Chase Bank N.A.  10/2/20   17,646 
USD   20,510,848   EUR   17,176,000   Bank of America, N.A  10/2/20   372,852 
USD   1,820,720   EUR   1,531,000   Morgan Stanley & Co.  10/2/20   25,700 
USD   105,161   GBP   81,000   JPMorgan Chase Bank N.A.  10/2/20   643 
USD   7,504,564   GBP   5,611,000   Morgan Stanley & Co.  10/2/20   264,414 
USD   98,286   GBP   76,000   Societe Generale  10/2/20   220 
USD   1,312,004   JPY   138,233,415   Morgan Stanley & Co.  11/4/20   824 
USD   2,630,279   NZD   3,913,000   Morgan Stanley & Co.  10/2/20   41,635 
USD   1,291,342   PEN   4,457,841   Bank of America, N.A.*  10/5/20   54,304 
USD   1,239,012   PEN   4,457,841   JPMorgan Chase Bank N.A.*  10/23/20   1,974 
Total unrealized appreciation              995,594 

 

Currency Purchased  Currency Sold  Counterparty  Settlement
Date
  Unrealized
Appreciation
(Depreciation)
 
BRL   13,706,000   USD   2,440,006   Morgan Stanley & Co.*  11/4/20   (1,449)
JPY   138,233,415   USD   1,311,512   Morgan Stanley & Co.  10/2/20   (808)
PEN   4,457,841   USD   1,239,322   JPMorgan Chase Bank N.A.*  10/5/20   (2,285)
USD   2,429,840   BRL   13,706,000   Societe Generale*  10/2/20   (10,730)
USD   2,426,863   BRL   13,706,000   Societe Generale*  11/4/20   (11,694)
USD   7,631,561   DKK   48,737,943   Bank of America, N.A  12/1/20   (51,901)
USD   996,067   DKK   6,562,789   JPMorgan Chase Bank N.A.  10/1/20   (37,459)
USD   1,319,784   DKK   8,404,727   JPMorgan Chase Bank N.A.  12/1/20   (5,208)
USD   6,312,121   DKK   41,737,194   Morgan Stanley & Co.  10/1/20   (260,769)
USD   1,356,752   DKK   8,987,344   Societe Generale  10/1/20   (58,600)
USD   2,833,171   JPY   300,100,000   Bank of America, N.A  10/2/20   (12,322)
USD   1,866,375   JPY   197,923,631   Morgan Stanley & Co.  10/2/20   (10,301)
USD   3,406,749   JPY   359,790,216   Morgan Stanley & Co.  11/4/20   (5,954)
USD   2,577,927   NZD   3,913,000   Morgan Stanley & Co.  11/3/20   (10,676)
Total unrealized depreciation              (480,156)
Net unrealized appreciation             $515,438 

 

* Non-deliverable forward.
1. As of September 30, 2020, cash collateral of $1,344,000 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 September 30, 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  58  December 2020  $9,251,402   $9,275,469   $24,067 
5-Year United States Treasury Note  483  December 2020   60,808,627    60,873,094    64,467 
Euro BOBL  62  December 2020   9,812,619    9,825,762    13,144 
Euro Bund  63  December 2020   12,826,976    12,890,804    63,828 
United States Treasury Ultra Bond  13  December 2020   2,869,378    2,883,563    14,184 
Total Long Contracts                   179,690 
                      
Short Contracts                     
10-Year Australia Government Bond  (7)  December 2020   (742,236)   (749,018)   (6,782)
10-Year Japan Government Bond  (3)  December 2020   (4,315,545)   (4,326,838)   (11,293)
10-Year United States Treasury Note  (607)  December 2020   (84,486,209)   (84,695,469)   (209,259)
2-Year United States Treasury Note  (148)  December 2020   (32,692,617)   (32,702,219)   (9,602)
3-Year Australia Government Bond  (13)  December 2020   (1,089,308)   (1,092,269)   (2,961)
Euro Schatz  (583)  December 2020   (76,726,509)   (76,754,507)   (27,998)
Euro-BTP  (38)  December 2020   (6,506,268)   (6,575,145)   (68,877)
Euro-Buxl 30 Year Bond  (23)  December 2020   (5,908,559)   (6,004,866)   (96,307)
United States Treasury Long Bond  (102)  December 2020   (18,002,936)   (17,980,688)   22,249 
Total Short Contracts                   (410,830)
Net Unrealized Depreciation                  $(231,140)

 

1. As of September 30, 2020, cash in the amount of $1,163,046 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 September 30, 2020.

 

Purchased Options on Futures Contracts
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  $156.00   10/23/2020   40   $40,000   $330   $40 
Call- 10-Year United States Treasury Note  Morgan Stanley & Co., LLC   154.00   10/23/2020   350    350,000    2,891    350 
Call- Euro BOBL  Morgan Stanley & Co., LLC   117.00   11/20/2020   577   EUR

57,700,000

    3,964    3,382 
Call- Euro Schatz  Morgan Stanley & Co., LLC   116.90   11/20/2020   17    1,700,000    117    100 
                        $7,302   $3,872 

 

Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
  Premium Paid
(Received)
   Market
Value
 
Put- Euro BOBL  Morgan Stanley & Co., LLC  $123.00   11/20/2020   10   EUR 1,000,000   $69   $59 
Put- Euro BOBL  Morgan Stanley & Co., LLC   129.75   10/23/2020   91     9,100,000    625    533 
Put- Euro Bund  Morgan Stanley & Co., LLC   157.00   11/20/2020   63     6,300,000    776    739 
                         $1,470   $1,331 

 

Purchased Swaption
Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Put- Markit CDX N.A.  Credit Suisse International  $2.20   12/16/2020   3,600,000   $3,600,000   $720   $776 
                        $720   $776 

 

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.   238.643   Maximum of [0, Final Index/Initial Index –(1 + 4.000%)10]  05/16/2024   (300,000)  $(300,000)  $(35,068)  $ 
Floor-OTC USA Non-Revised Consumer Price Index-Urban (CPI-U), American Style - Put  JPMorgan Chase Bank N.A.   234.781   Maximum of [0, Final Index/Initial Index]  10/02/2020   (1,900,000)   (1,900,000)   (2,085)   (13)
                           $(37,153)  $(13)

 

Written Options on Futures Contracts
Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Call- Federal National Mortgage Association  JPMorgan Chase Bank N.A.  $103.60   10/7/2020   (1,500,000)  $(1,500,000)  $(3,516)  $(53)
                        $(3,516)  $(53)

 

Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Put- Federal National Mortgage Association  JPMorgan Chase Bank N.A.  $102.29   10/7/2020   (2,000,000)  $(2,000,000)  $(6,250)  $(170)
Put- Federal National Mortgage Association  JPMorgan Chase Bank N.A.   101.60   10/7/2020   (1,500,000)   (1,500,000)   (5,391)   (33)
Put- Federal National Mortgage Association  JPMorgan Chase Bank N.A.   101.98   10/7/2020   (400,000)   (400,000)   (1,313)   (19)
Put- Federal National Mortgage Association  JPMorgan Chase Bank N.A.   101.84   10/7/2020   (300,000)   (300,000)   (996)   (11)
                        $(13,950)  $(233)

 

Written Swaptions
Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Call- Markit iTraxx Europe  Bank of America, N.A.  $0.48   12/16/2020   (1,500,000)  EUR

(1,500,000

  $(1,161)  $(583)
Call- Markit iTraxx Europe  Bank of America, N.A.   0.45   12/16/2020   (1,000,000)   (1,000,000)   (681)   (246)
Call- Markit iTraxx Europe  Bank of America, N.A.   0.45   12/16/2020   (1,000,000)   (1,000,000)   (589)   (246)
Call- Markit iTraxx Europe  Bank of America, N.A.   0.48   11/18/2020   (500,000)   (500,000)   (385)   (104)
                        $(2,816)  $(1,179)

 

Description  Counterparty  Strike Price   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Premium Paid
(Received)
   Market
Value
 
Put- Markit CDX N.A. I.G. Series 34  Morgan Stanley & Co., LLC  $1.00   11/18/2020   (1,400,000)  $(1,400,000)  $(2,380)  $(3,979)
Put- Markit CDX N.A. I.G. Series 34  Morgan Stanley & Co., LLC   0.90   10/21/2020   (1,600,000)   (1,600,000)   (1,600)   (3,632)
Put- Markit CDX N.A. I.G. Series 34, 5 Year  Morgan Stanley & Co., LLC   0.95   12/16/2020   (600,000)   (600,000)   (1,275)   (2,853)
Put- Markit iTraxx Europe  Bank of America, N.A.   0.85   12/16/2020   (1,500,000)  EUR

(1,500,000

   (1,896)   (3,466)
Put- Markit iTraxx Europe  Bank of America, N.A.   0.95   12/16/2020   (2,100,000)   (2,100,000)   (3,698)   (3,332)
Put- Markit iTraxx Europe  Bank of America, N.A.   0.80   12/16/2020   (1,000,000)   (1,000,000)   (1,590)   (2,711)
Put- Markit iTraxx Europe  Bank of America, N.A.   0.80   12/16/2020   (1,000,000)   (1,000,000)   (1,451)   (2,711)
Put- Markit iTraxx Europe  Bank of America, N.A.   0.90   11/18/2020   (500,000)   (500,000)   (532)   (560)
                        $(14,422)  $(23,244)

 

Swap Contracts
 
As of September 30, 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)
   
$14,000,000    JPY   9/20/2027  Fixed 0.30%  6-Month JPY-LIBOR  Semi-Annually/ Quarterly  $176   $(3,075)  $(2,899)
 50,000,000    JPY   3/20/2028  Fixed 0.30%  6-Month JPY-LIBOR  Semi-Annually/ Quarterly   658    (11,486)   (10,828)
 1,600,000    NZD   3/21/2028  Fixed 3.25%  3-Month NZD Bank Bill  Semi-Annually/ Quarterly   (3,595)   (231,964)   (235,559)
 106,980,000    JPY   3/20/2029  Fixed 0.45%  6-Month JPY-LIBOR  Semi-Annually/ Quarterly   4,125    (39,255)   (35,130)
                      $1,364   $(285,780)  $(284,416)

 

As of September 30, 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  $   $(5,181)  $(5,181)
 1,300,000    USD   11/25/2020  Fixed 2.021%  12-Month USD-CPI  At Maturity       (5,043)   (5,043)
 300,000    USD   8/7/2021  12-Month USD-CPI  Fixed 1.69%  At Maturity   17    (1,953)   (1,936)
 2,300,000    USD   8/14/2021  12-Month USD-CPI  Fixed 1.825%  At Maturity       (9,634)   (9,634)
 1,200,000    USD   8/14/2021  12-Month USD-CPI  Fixed 1.84%  At Maturity   52    (4,846)   (4,794)
 4,200,000    USD   8/26/2021  12-Month USD-CPI  Fixed 1.863%  At Maturity   431    (9,153)   (8,722)
 4,600,000    USD   9/20/2021  Fixed 1.58%  12-Month USD-CPI  At Maturity       (27,899)   (27,899)
 5,100,000    EUR   5/15/2022  Fixed 0.09%  12-Month EUR-CPI  At Maturity       7,173    7,173 
 1,100,000    EUR   7/15/2022  Fixed 0.33%  12-Month EUR-CPI  At Maturity   (67)   2,406    2,339 
 1,100,000    USD   4/27/2023  Fixed 2.263%  12-Month USD-CPI  At Maturity       (42,141)   (42,141)
 510,000    USD   5/9/2023  Fixed 2.263%  12-Month USD-CPI  At Maturity       (19,343)   (19,343)
 780,000    USD   5/10/2023  Fixed 2.281%  12-Month USD-CPI  At Maturity       (30,325)   (30,325)
 2,800,000    EUR   3/15/2024  Fixed 1.03%  12-Month EUR-CPI  At Maturity   777    (119,164)   (118,387)
 2,200,000    GBP   9/15/2024  UK RPI  Fixed 3.85%  At Maturity   (296)   63,755    63,459 
 6,800,000    GBP   1/15/2025  UK RPI  Fixed 3.33%  At Maturity   (187,594)   113,795    (73,799)
 3,100,000    GBP   8/15/2025  UK RPI  Fixed 3.473%  At Maturity       (7,611)   (7,611)
 800,000    EUR   6/15/2027  12-Month EUR-CPI  Fixed 1.36%  At Maturity   8,433    58,399    66,832 
 1,000,000    EUR   3/15/2028  12-Month EUR-CPI  Fixed 1.535%  At Maturity   (101)   98,336    98,235 
 510,000    USD   5/9/2028  12-Month USD-CPI  Fixed 2.353%  At Maturity       34,978    34,978 
 770,000    USD   5/9/2028  12-Month USD-CPI  Fixed 2.36%  At Maturity       53,505    53,505 
 2,600,000    USD   11/4/2029  12-Month USD-CPI  Fixed 1.76%  At Maturity   1,287    (14,169)   (12,882)
 4,200,000    GBP   1/15/2030  UK RPI  Fixed 3.39%  At Maturity   32,222    26,395    58,617 
 2,200,000    USD   5/19/2030  12-Month USD-CPI  Fixed 1.28%  At Maturity       (133,098)   (133,098)
 3,460,000    GBP   6/15/2030  UK RPI  Fixed 3.40%  At Maturity   (10,784)   239,854    229,070 
 200,000    EUR   3/15/2033  Fixed 1.71%  12-Month EUR-CPI  At Maturity   326    (32,651)   (32,325)
                      $(155,297)  $236,385   $81,088 

 

As of September 30, 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  Buy   150    (1.00)%  Quarterly  $(361)  $316   $(45)
General Electric Co. 2.70%, 10/09/22  12/20/2020  Sell   100    1.00%  Quarterly   306    97    403 
General Electric Co. 2.70%, 10/09/22  12/20/2023  Sell   100    1.00%  Quarterly   3,111    (224)   2,887 
CDX North American High Yield Series 34  6/20/2025  Sell   3,956    5.00%  Quarterly   (226,674)   (193,045)   (419,719)
CDX North American High Yield Series 35  12/20/2025  Sell   400    5.00%  Quarterly   16,633    (16,528)   105 
                      $(206,985)  $(209,384)  $(416,369)

 

1 As of September 30, 2020, cash in the amount of $792,000 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 September 30, 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
BTP —Buoni del Tesoro Poliennali (Eurex Exchange index)
CAD —Canadian Dollar
DKK —Danish Krone
EUAM —European Union Advisory Mission
EUR —Euro
EURIBOR —Euro Interbank Offered Rate
GBP —British Pound Sterling
JPY —Japanese Yen
LIBOR —London Interbank Offered Rate
NZD —New Zealand Dollar
PEN —Peruvian Sol
REMIC —Real Estate Mortgage Investment Conduit
TBA —To Be Announced
USD —United States Dollar

 

The following is a summary of the fair valuations according to the inputs used as of September 30, 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  $   $31,350,211   $   $31,350,211 
Corporate Bonds       32,053,276        32,053,276 
Foreign Government Bonds       31,074,132        31,074,132 
Mortgage-Backed Securities       15,952,840        15,952,840 
U.S. Government & Federal Agencies       539,120,758        539,120,758 
Total Long-Term Bonds       649,551,217        649,551,217 
Purchased Options   5,979            5,979 
Short-Term Investments                
Affiliated Investment Company   2,843,087            2,843,087 
Repurchase Agreement       2,100,000        2,100,000 
Unaffiliated Investment Company   1,073            1,073 
Total Short-Term Investments   2,844,160    2,100,000        4,944,160 
Total Investments in Securities   2,849,363    651,651,993        654,501,356 
Other Financial Instruments                    
Credit Default Swap Contracts (b)       3,395        3,395 
Foreign Currency Forward Contracts (b)       995,594        995,594 
Futures Contracts (b)   201,939            201,939 
Inflation Swap Contracts (b)       614,208        614,208 
Total Other Financial Instruments   201,939    1,613,197        1,815,136 
Total Investments in Securities and Other Financial Instruments  $3,051,302   $653,265,190   $   $656,316,492 
                 
Liability Valuation Inputs                
Other Financial Instruments                
Foreign Currency Forward Contracts (b)  $   $(480,156)  $   $(480,156)
Futures Contracts (b)   (433,079)           (433,079)
Credit Default Swap Contracts (b)       (419,764)       (419,764)
Inflation Swap Contracts (b)       (533,120)       (533,120)
Interest Rate Swap Contracts (b)       (284,416)       (284,416)
Written Options       (24,709)       (24,709)
Total Other Financial Instruments  $(433,079)  $(1,742,165)  $   $(2,175,244)

 

(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 (a)
   Borrowing
Date
  Maturity Date  Amount
Borrowed (a)
   Payable for
Sale-Buyback
Transcations (b)
 
Barclays Capital Inc.   0.15%  9/24/2020  10/1/2020  $1,785,988   $1,785,988 
Barclays Capital Inc.   0.19%  8/3/2020  10/2/2020   116,638    116,664 
Barclays Capital Inc.   0.17%  9/18/2020  10/2/2020   596,489    596,581 
Barclays Capital Inc.   0.18%  9/24/2020  10/2/2020   3,469,771    3,470,096 
Barclays Capital Inc.   0.18%  9/24/2020  10/2/2020   10,295,611    10,296,636 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   14,049,373    14,050,757 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   14,541,263    14,543,276 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   16,394,494    16,395,925 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   16,410,890    16,412,360 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   16,488,008    16,489,617 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   16,639,131    16,640,639 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   17,543,118    17,545,231 
Barclays Capital Inc.   0.18%  9/28/2020  10/2/2020   18,436,556    18,438,343 
Barclays Capital Inc.   0.18%  9/24/2020  10/2/2020   18,748,904    18,750,630 
Barclays Capital Inc.   0.19%  8/3/2020  10/2/2020   30,197,048    30,201,664 
Barclays Capital Inc.   0.19%  8/3/2020  10/2/2020   42,666,926    42,673,951 
Barclays Capital Inc.   0.19%  8/3/2020  10/2/2020   46,692,471    46,700,181 
Barclays Capital Inc.   0.13%  9/22/2020  10/6/2020   2,569,167    2,570,711 
Barclays Capital Inc.   0.17%  8/26/2020  10/7/2020   9,281,235    9,288,947 
Barclays Capital Inc.   0.17%  8/27/2020  10/8/2020   10,238,899    10,248,715 
Barclays Capital Inc.   0.18%  8/18/2020  10/19/2020   6,880,218    6,894,184 
Barclays Capital Inc.   0.17%  8/25/2020  10/22/2020   3,180,347    3,188,085 
              $317,222,545   $317,299,181 

 

(a)During the period ended September 30, 2020, the Portfolio’s average amount of borrowing was $150,711,410 at a weighted average interest rate of 0.88%.
(b)Payable for sale-buyback transactions includes $76,636 of deferred price increase.

 

 

 

 

MainStay VP Small Cap Growth Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 97.4% †          
  Aerospace & Defense 2.9%          
  AeroVironment, Inc. (a)   25,170   $1,510,452 
  BWX Technologies, Inc.   66,950    3,769,954 
  Hexcel Corp.   72,809    2,442,742 
  Kratos Defense & Security Solutions, Inc. (a)   131,175    2,529,054 
  Mercury Systems, Inc. (a)   55,062    4,265,103 
           14,517,305 
  Auto Components 0.4%          
  Fox Factory Holding Corp. (a)   28,641    2,128,885 
             
  Banks 1.0%          
  Bank OZK   42,432    904,650 
  Eagle Bancorp, Inc.   55,258    1,480,362 
  Prosperity Bancshares, Inc.   54,500    2,824,735 
           5,209,747 
  Biotechnology 7.7%          
  Acceleron Pharma, Inc. (a)   19,159    2,155,962 
  Amicus Therapeutics, Inc. (a)   137,036    1,934,948 
  Biohaven Pharmaceutical Holding Co., Ltd. (a)   36,688    2,385,087 
  Blueprint Medicines Corp. (a)   59,907    5,553,378 
  Castle Biosciences, Inc. (a)   48,694    2,505,306 
  Coherus Biosciences, Inc. (a)   39,564    725,604 
  Fate Therapeutics, Inc. (a)   51,410    2,054,858 
  FibroGen, Inc. (a)   15,595    641,266 
  Global Blood Therapeutics, Inc. (a)   24,800    1,367,472 
  Iovance Biotherapeutics, Inc. (a)   33,905    1,116,153 
  Natera, Inc. (a)   77,149    5,573,244 
  Neurocrine Biosciences, Inc. (a)   31,600    3,038,656 
  Turning Point Therapeutics, Inc. (a)   36,356    3,176,060 
  Twist Bioscience Corp. (a)   47,443    3,604,245 
  Xencor, Inc. (a)   64,130    2,487,603 
           38,319,842 
  Building Products 0.9%          
  Trex Co., Inc. (a)   65,576    4,695,242 
             
  Capital Markets 2.5%          
  Ares Management Corp., Class A   75,896    3,067,716 
  Evercore, Inc., Class A   20,252    1,325,696 
  Focus Financial Partners, Inc., Class A (a)   59,405    1,947,890 
  Hamilton Lane, Inc., Class A   56,642    3,658,507 
  Houlihan Lokey, Inc.   37,033    2,186,799 
           12,186,608 
  Chemicals 2.1%          
  Avient Corp.   73,581    1,946,953 
  Ingevity Corp. (a)   48,507    2,398,186 
  Innospec, Inc.   23,145    1,465,542 
  Livent Corp. (a)   152,273    1,365,889 
  Quaker Chemical Corp.   18,700    3,360,577 
           10,537,147 
  Commercial Services & Supplies 5.3%          
  IAA, Inc. (a)   144,855    7,542,600 
  MSA Safety, Inc.   22,759    3,053,575 
  Ritchie Brothers Auctioneers, Inc.   63,737    3,776,417 
  Tetra Tech, Inc.   43,336    4,138,588 
  Waste Connections, Inc.   75,097    7,795,069 
           26,306,249 
  Consumer Finance 0.4%          
  LendingTree, Inc. (a)(b)   6,172    1,894,125 
             
  Diversified Consumer Services 3.7%          
  Bright Horizons Family Solutions, Inc. (a)   99,375    15,108,975 
  Chegg, Inc. (a)   43,920    3,137,645 
           18,246,620 
  Diversified Telecommunication Services 2.6%          
  Cogent Communications Holdings, Inc.   80,371    4,826,278 
  GCI Liberty, Inc., Class A (a)   97,725    8,009,541 
           12,835,819 
  Electrical Equipment 1.2%          
  Generac Holdings, Inc. (a)   14,260    2,761,307 
  TPI Composites, Inc. (a)   111,866    3,239,639 
           6,000,946 
  Electronic Equipment, Instruments & Components 0.9%          
  Littelfuse, Inc.   10,100    1,791,134 
  Novanta, Inc. (a)   26,038    2,742,843 
           4,533,977 
  Energy Equipment & Services 0.2%          
  Cactus, Inc., Class A   41,577    797,863 
             
  Entertainment 1.6%          
  Zynga, Inc., Class A (a)   890,232    8,118,916 
             
  Equity Real Estate Investment Trusts 2.5%          
  Americold Realty Trust   67,312    2,406,404 
  EastGroup Properties, Inc.   32,505    4,203,872 
  QTS Realty Trust, Inc., Class A   73,195    4,612,749 
  Terreno Realty Corp.   19,769    1,082,550 
           12,305,575 
  Food & Staples Retailing 0.8%          
  Casey's General Stores, Inc.   22,265    3,955,377 
             
  Food Products 2.0%          
  Hain Celestial Group, Inc. (a)   211,403    7,251,123 
  Simply Good Foods Co. (a)   112,565    2,482,058 
           9,733,181 
  Health Care Equipment & Supplies 5.0%          
  Cardiovascular Systems, Inc. (a)   68,952    2,713,261 
  CONMED Corp.   45,986    3,617,719 
  Establishment Labs Holdings, Inc. (a)(b)   71,792    1,330,306 
  Globus Medical, Inc., Class A (a)   82,356    4,078,269 
  Inari Medical, Inc. (a)   13,656    942,537 
  Integra LifeSciences Holdings Corp. (a)   62,129    2,933,731 
  LivaNova PLC (a)   28,352    1,281,794 
  Nevro Corp. (a)   9,617    1,339,648 
  OrthoPediatrics Corp. (a)(b)   51,367    2,358,773 
  Silk Road Medical, Inc. (a)   65,769    4,420,334 
           25,016,372 
  Health Care Providers & Services 3.9%          
  Addus HomeCare Corp. (a)   42,914    4,055,802 
  Amedisys, Inc. (a)   27,774    6,566,607 
  Encompass Health Corp.   43,308    2,814,154 
  HealthEquity, Inc. (a)   48,697    2,501,565 
  Oak Street Health, Inc. (a)   27,443    1,466,554 
  Progyny, Inc. (a)   59,746    1,758,324 
           19,163,006 
  Health Care Technology 2.5%          
  Accolade, Inc. (a)   32,563    1,265,724 
  Inspire Medical Systems, Inc. (a)   30,956    3,994,872 
  Omnicell, Inc. (a)   44,264    3,304,750 
  Phreesia, Inc. (a)   86,000    2,763,180 
  Tabula Rasa Healthcare, Inc. (a)(b)   25,061    1,021,737 
           12,350,263 
  Hotels, Restaurants & Leisure 3.6%          
  Choice Hotels International, Inc.   19,302    1,659,200 
  Churchill Downs, Inc.   34,042    5,576,761 
  Shake Shack, Inc., Class A (a)   70,090    4,519,403 
  Vail Resorts, Inc.   18,400    3,937,048 
  Wingstop, Inc.   14,851    2,029,389 
           17,721,801 
  Household Durables 1.2%          
  TopBuild Corp. (a)   33,459    5,711,117 
             
  Insurance 2.5%          
  Goosehead Insurance, Inc., Class A   59,185    5,124,829 
  Trupanion, Inc. (a)   92,964    7,334,860 
           12,459,689 
  Interactive Media & Services 0.2%          
  Eventbrite, Inc., Class A (a)(b)   97,979    1,063,072 
             
  Internet & Direct Marketing Retail 1.4%          
  Etsy, Inc. (a)   18,615    2,264,142 
  MakeMyTrip, Ltd. (a)   152,937    2,349,112 
  Revolve Group, Inc. (a)(b)   59,983    985,521 
  Stitch Fix, Inc., Class A (a)(b)   49,384    1,339,788 
           6,938,563 
  IT Services 4.9%          
  Endava PLC, Sponsored ADR (a)   56,198    3,548,904 
  Evo Payments, Inc., Class A (a)   205,612    5,109,458 
  Genpact, Ltd.   216,714    8,441,010 
  ManTech International Corp., Class A   25,761    1,774,418 
  MAXIMUS, Inc.   64,214    4,392,880 
  WEX, Inc. (a)   7,412    1,030,045 
           24,296,715 
  Leisure Products 0.7%          
  Callaway Golf Co.   89,011    1,703,671 
  Clarus Corp.   113,195    1,598,313 
           3,301,984 
  Life Sciences Tools & Services 4.7%          
  Adaptive Biotechnologies Corp. (a)   69,916    3,400,015 
  Bruker Corp.   60,303    2,397,044 
  Charles River Laboratories International, Inc. (a)   37,946    8,592,872 
  NeoGenomics, Inc. (a)   178,844    6,597,555 
  PRA Health Sciences, Inc. (a)   24,784    2,514,089 
           23,501,575 
  Machinery 2.7%          
  ESCO Technologies, Inc.   12,380    997,333 
  IDEX Corp.   17,667    3,222,637 
  John Bean Technologies Corp.   50,786    4,666,726 
  Proto Labs, Inc. (a)   24,302    3,147,109 
  Woodward, Inc.   18,700    1,498,992 
           13,532,797 
  Media 0.5%          
  New York Times Co., Class A   52,654    2,253,065 
             
  Multiline Retail 0.6%          
  Ollie's Bargain Outlet Holdings, Inc. (a)   36,684    3,204,347 
             
  Pharmaceuticals 1.7%          
  Catalent, Inc. (a)   71,003    6,082,117 
  Pacira BioSciences, Inc. (a)   38,960    2,342,275 
           8,424,392 
  Professional Services 1.6%          
  ASGN, Inc. (a)   35,392    2,249,515 
  Huron Consulting Group, Inc. (a)   58,151    2,287,079 
  Upwork, Inc. (a)   195,974    3,417,787 
           7,954,381 
  Road & Rail 0.8%          
  Knight-Swift Transportation Holdings, Inc.   31,839    1,295,847 
  Saia, Inc. (a)   21,120    2,664,077 
           3,959,924 
  Semiconductors & Semiconductor Equipment 5.6%          
  CMC Materials, Inc.   16,366    2,337,228 
  Entegris, Inc.   111,892    8,318,051 
  Inphi Corp. (a)   39,828    4,470,693 
  Lattice Semiconductor Corp. (a)   131,600    3,811,136 
  Onto Innovation, Inc. (a)   75,220    2,240,052 
  Power Integrations, Inc.   44,361    2,457,599 
  Silicon Laboratories, Inc. (a)   42,528    4,161,365 
           27,796,124 
  Software 11.7%          
  Anaplan, Inc. (a)   39,539    2,474,351 
  Aspen Technology, Inc. (a)   11,852    1,500,345 
  Blackline, Inc. (a)   48,207    4,320,793 
  Dynatrace, Inc. (a)   82,213    3,372,377 
  Envestnet, Inc. (a)   94,754    7,311,218 
  Everbridge, Inc. (a)   30,971    3,893,984 
  Globant S.A. (a)   41,660    7,466,305 
  Guidewire Software, Inc. (a)   11,110    1,158,440 
  Mimecast, Ltd. (a)   122,439    5,744,838 
  Nuance Communications, Inc. (a)   136,000    4,513,840 
  PROS Holdings, Inc. (a)   69,501    2,219,862 
  RealPage, Inc. (a)   29,895    1,723,148 
  Sumo Logic, Inc. (a)(b)   22,150    482,870 
  Workiva, Inc. (a)   104,050    5,801,828 
  Zendesk, Inc. (a)   35,006    3,602,817 
  Zuora, Inc., Class A (a)   238,017    2,461,096 
           58,048,112 
  Specialty Retail 1.6%          
  National Vision Holdings, Inc. (a)   102,400    3,915,776 
  RH (a)   10,029    3,837,296 
           7,753,072 
  Trading Companies & Distributors 1.3%          
  Siteone Landscape Supply, Inc. (a)   51,140    6,236,523 
  Total Common Stocks
(Cost $378,533,252)
        483,010,318 
             
  Short-Term Investments 3.4%          
  Affiliated Investment Company 2.6%          
  MainStay U.S. Government Liquidity Fund, 0.02% (c)   12,877,229    12,877,229 
             
  Unaffiliated Investment Company 0.8%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (c)(d)   3,770,865    3,770,865 
  Total Short-Term Investments
(Cost $16,648,094)
        16,648,094 
  Total Investments
(Cost $395,181,346)
   100.8%   499,658,412 
  Other Assets, Less Liabilities   (0.8)   (4,033,903)
  Net Assets   100.0%  $495,624,509 

 

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 September 30, 2020, the aggregate market value of securities on loan was $5,894,040; the total market value of collateral held by the Portfolio was $6,044,379. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $2,273,514.
(c)Current yield as of September 30, 2020.
(d)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 September 30, 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  $483,010,318   $   $   $483,010,318 
Short-Term Investments                    
Affiliated Investment Company   12,877,229            12,877,229 
Unaffiliated Investment Company   3,770,865            3,770,865 
Total Short-Term Investments   16,648,094            16,648,094 
Total Investments in Securities  $499,658,412   $   $   $499,658,412 

 

(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  September 30, 2020 (Unaudited)

 

     Principal
Amount
   Value 
  Long-Term Bond 0.3% †
  Convertible Bond 0.3%
  Insurance 0.3%
  AXA S.A.
7.25%, due 5/15/21 (a)
  $1,495,000   $1,309,994 
             
  Total Long-Term Bond
(Cost $1,495,246)
        1,309,994 
      Shares      
  Common Stocks 96.2%          
  Aerospace & Defense 2.8%          
  Boeing Co.   39,526    6,532,067 
  L3Harris Technologies, Inc.   43,863    7,449,692 
           13,981,759 
  Air Freight & Logistics 2.7%          
  United Parcel Service, Inc., Class B   82,447    13,738,144 
             
  Airlines 0.3%          
  Alaska Air Group, Inc.   39,101    1,432,270 
             
  Auto Components 0.1%          
  Magna International, Inc.   8,700    398,025 
             
  Automobiles 0.7%          
  General Motors Co.   29,500    872,905 
  Volkswagen A.G., ADR (b)   172,905    2,788,958 
           3,661,863 
  Banks 6.2%          
  Bank of America Corp.   64,173    1,545,928 
  Fifth Third Bancorp   372,889    7,949,993 
  JPMorgan Chase & Co.   46,809    4,506,302 
  PNC Financial Services Group, Inc.   40,071    4,404,204 
  Wells Fargo & Co.   547,495    12,871,607 
           31,278,034 
  Beverages 0.6%          
  Coca-Cola Co.   59,200    2,922,704 
             
  Biotechnology 2.6%          
  AbbVie, Inc.   100,659    8,816,722 
  Gilead Sciences, Inc.   69,030    4,362,005 
           13,178,727 
  Building Products 0.6%          
  Johnson Controls International PLC   70,393    2,875,554 
             
  Capital Markets 4.3%          
  Charles Schwab Corp.   37,100    1,344,133 
  Franklin Resources, Inc.   77,261    1,572,261 
  Morgan Stanley   196,844    9,517,407 
  Raymond James Financial, Inc.   40,938    2,978,649 
  State Street Corp.   107,523    6,379,340 
           21,791,790 
  Chemicals 4.1%          
  Akzo Nobel N.V.   12,742    1,291,059 
  CF Industries Holdings, Inc.   224,204    6,885,305 
  DuPont de Nemours, Inc.   205,527    11,402,638 
  PPG Industries, Inc.   9,522    1,162,446 
           20,741,448 
  Commercial Services & Supplies 0.9%          
  Stericycle, Inc. (b)   71,569    4,513,141 
             
  Communications Equipment 1.5%          
  Cisco Systems, Inc.   189,392    7,460,151 
             
  Containers & Packaging 1.6%          
  International Paper Co.   199,107    8,071,798 
             
  Diversified Financial Services 0.6%          
  Equitable Holdings, Inc.   176,209    3,214,052 
             
  Diversified Telecommunication Services 0.9%          
  AT&T, Inc.   35,645    1,016,239 
  Verizon Communications, Inc.   56,470    3,359,400 
           4,375,639 
  Electric Utilities 4.8%          
  Duke Energy Corp.   7,495    663,757 
  Edison International   99,385    5,052,733 
  NextEra Energy, Inc.   14,162    3,930,805 
  Southern Co.   261,353    14,170,560 
           23,817,855 
  Electrical Equipment 0.4%          
  Emerson Electric Co.   26,006    1,705,213 
  nVent Electric PLC   19,300    341,417 
           2,046,630 
  Electronic Equipment, Instruments & Components 0.4%          
  Corning, Inc.   31,200    1,011,192 
  TE Connectivity, Ltd.   12,100    1,182,654 
           2,193,846 
  Energy Equipment & Services 0.5%          
  Halliburton Co.   199,536    2,404,409 
  Schlumberger N.V.   15,400    239,624 
           2,644,033 
  Entertainment 0.8%          
  Walt Disney Co.   32,914    4,083,969 
             
  Equity Real Estate Investment Trusts 4.4%          
  Equity Residential   99,678    5,116,472 
  Rayonier, Inc.   164,313    4,344,436 
  SL Green Realty Corp.   65,347    3,030,140 
  Welltower, Inc.   5,500    302,995 
  Weyerhaeuser Co.   331,613    9,457,603 
           22,251,646 
  Food & Staples Retailing 0.6%          
  Walmart, Inc.   21,017    2,940,488 
             
  Food Products 3.7%          
  Bunge, Ltd.   30,120    1,376,484 
  Conagra Brands, Inc.   212,622    7,592,732 
  Mondelez International, Inc., Class A   5,800    333,210 
  Tyson Foods, Inc., Class A   152,279    9,057,555 
           18,359,981 
  Health Care Equipment & Supplies 3.6%          
  Becton Dickinson & Co.   28,970    6,740,740 
  Medtronic PLC   80,344    8,349,348 
  Zimmer Biomet Holdings, Inc.   20,374    2,773,716 
           17,863,804 
  Health Care Providers & Services 3.2%          
  Anthem, Inc.   30,264    8,128,608 
  CVS Health Corp.   133,713    7,808,839 
           15,937,447 
  Hotels, Restaurants & Leisure 1.3%          
  Las Vegas Sands Corp.   98,637    4,602,403 
  Marriott International, Inc., Class A   5,200    481,416 
  McDonald's Corp.   3,800    834,062 
  MGM Resorts International   13,671    297,344 
  Royal Caribbean Cruises, Ltd.   4,889    316,465 
           6,531,690 
  Household Products 1.4%          
  Kimberly-Clark Corp.   45,763    6,757,365 
             
  Industrial Conglomerates 1.8%          
  General Electric Co.   1,474,681    9,187,263 
             
  Insurance 7.3%          
  American International Group, Inc.   292,235    8,045,230 
  Chubb, Ltd.   88,167    10,237,952 
  Loews Corp.   191,169    6,643,123 
  Marsh & McLennan Cos., Inc.   12,864    1,475,501 
  MetLife, Inc.   247,494    9,199,352 
  Willis Towers Watson PLC   5,942    1,240,808 
           36,841,966 
  Leisure Products 0.6%          
  Mattel, Inc. (b)   248,416    2,906,467 
             
  Machinery 1.7%          
  Caterpillar, Inc.   11,800    1,759,970 
  Cummins, Inc.   3,700    781,292 
  Flowserve Corp.   11,435    312,061 
  PACCAR, Inc.   27,000    2,302,560 
  Snap-On, Inc.   22,900    3,369,277 
           8,525,160 
  Media 4.2%          
  Comcast Corp., Class A   204,503    9,460,309 
  Fox Corp., Class B   200,247    5,600,908 
  News Corp., Class A   417,447    5,852,607 
           20,913,824 
  Multi-Utilities 3.1%          
  Ameren Corp.   25,575    2,022,471 
  NiSource, Inc.   416,002    9,152,044 
  Sempra Energy   36,805    4,356,240 
           15,530,755 
  Multiline Retail 0.4%          
  Kohl's Corp.   97,650    1,809,454 
             
  Oil, Gas & Consumable Fuels 6.3%          
  Chevron Corp.   14,649    1,054,728 
  Enbridge, Inc.   171,500    5,007,800 
  EOG Resources, Inc.   49,500    1,779,030 
  Exxon Mobil Corp.   108,484    3,724,256 
  Hess Corp.   20,180    825,967 
  Occidental Petroleum Corp.   72,628    727,006 
  Pioneer Natural Resources Co.   7,606    654,040 
  Targa Resources Corp.   172,241    2,416,541 
  TC Energy Corp.   136,032    5,716,065 
  TOTAL S.E.   264,861    9,067,658 
  TOTAL S.E., Sponsored ADR   17,700    607,110 
           31,580,201 
  Pharmaceuticals 4.6%          
  Bristol-Myers Squibb Co.   8,700    524,523 
  GlaxoSmithKline PLC   105,891    1,983,960 
  GlaxoSmithKline PLC, Sponsored ADR   35,400    1,332,456 
  Johnson & Johnson   57,466    8,555,538 
  Merck & Co., Inc.   22,123    1,835,103 
  Pfizer, Inc.   220,131    8,078,808 
  Sanofi   5,544    554,650 
           22,865,038 
  Professional Services 0.7%           
  Nielsen Holdings PLC   239,391    3,394,564 
             
  Semiconductors & Semiconductor Equipment 6.1%          
  Applied Materials, Inc.   90,401    5,374,339 
  NXP Semiconductors N.V.   13,038    1,627,273 
  QUALCOMM, Inc.   147,937    17,409,226 
  Texas Instruments, Inc.   43,767    6,249,490 
           30,660,328 
  Software 1.5%          
  Microsoft Corp.   36,695    7,718,059 
             
  Specialty Retail 0.2%          
  TJX Cos., Inc.   17,300    962,745 
             
  Technology Hardware, Storage & Peripherals 0.1%          
  Western Digital Corp.   10,705    391,268 
             
  Tobacco 2.0%          
  Philip Morris International, Inc.   134,595    10,093,279 
  Total Common Stocks
(Cost $470,676,814)
        482,444,224 
             
  Convertible Preferred Stocks 2.1%          
  Electric Utilities 0.8%          
  NextEra Energy, Inc.
5.279%
   38,925    1,817,019 
  Southern Co.
6.75%
   50,763    2,362,510 
           4,179,529 
  Health Care Equipment & Supplies 0.5%          
  Becton Dickinson & Co.
6.00% (c)
   45,402    2,390,415 
             
  Multi-Utilities 0.8%          
  Sempra Energy          
  6.00%   29,811    2,934,893 
  6.75%   10,478    1,026,949 
           3,961,842 
  Total Convertible Preferred Stocks
(Cost $10,741,595)
        10,531,786 
     Number of Warrants     
  Warrants 0.0%‡
  Oil, Gas & Consumable Fuels 0.0% ‡          
  Occidental Petroleum Corp. (b)   14,792    44,376 
             
  Total Warrants
(Cost $73,220)
        44,376 
      Shares      
  Short-Term Investments 1.3%          
  Affiliated Investment Company 1.0%          
  MainStay U.S. Government Liquidity Fund, 0.02% (d)   5,165,928    5,165,928 
             
  Unaffiliated Investment Company 0.3%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0.09% (d)(e)   1,673,045    1,673,045 
  Total Short-Term Investments
(Cost $6,838,973)
        6,838,973 
  Total Investments
(Cost $489,825,848)
   99.9%   501,169,353 
  Other Assets, Less Liabilities   0.1    355,782 
  Net Assets   100.0%  $501,525,135 

 

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) Non-income producing security.
(c) All or a portion of this security was held on loan. As of September 30, 2020, the aggregate market value of securities on loan was $1,685,853. The Portfolio received cash collateral with a value of $1,673,045.  
(d) Current yield as of September 30, 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 September 30, 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  $   $1,309,994   $   $1,309,994 
Common Stocks   482,444,224            482,444,224 
Convertible Preferred Stocks   10,531,786            10,531,786 
Warrants   44,376            44,376 
Short-Term Investments                    
Affiliated Investment Company   5,165,928            5,165,928 
Unaffiliated Investment Company   1,673,045            1,673,045 
Total Short-Term Investments   6,838,973            6,838,973 
Total Investments in Securities  $499,859,359   $1,309,994   $   $501,169,353 

 

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

 

 

 

 

MainStay VP Winslow Large Cap Growth Portfolio

 

Portfolio of Investments  September 30, 2020 (Unaudited)  

 

     Shares   Value 
  Common Stocks 99.5% †          
  Automobiles 1.5%          
  Ferrari N.V.   117,900   $21,704,211 
             
  Capital Markets 2.8%          
  Moody's Corp.   85,040    24,648,844 
  MSCI, Inc.   48,000    17,125,440 
           41,774,284 
  Chemicals 1.2%          
  Linde PLC   73,300    17,454,929 
             
  Containers & Packaging 1.2%          
  Ball Corp.   222,200    18,469,264 
             
  Entertainment 1.1%          
  Netflix, Inc. (a)   33,000    16,500,990 
             
  Equity Real Estate Investment Trusts 2.5%          
  American Tower Corp.   80,600    19,483,438 
  Equinix, Inc.   23,980    18,227,917 
           37,711,355 
  Food & Staples Retailing 1.8%          
  Costco Wholesale Corp.   75,900    26,944,500 
             
  Health Care Equipment & Supplies 2.0%          
  Abbott Laboratories   143,600    15,627,988 
  Boston Scientific Corp. (a)   379,100    14,485,411 
           30,113,399 
  Health Care Providers & Services 2.5%          
  UnitedHealth Group, Inc.   117,730    36,704,682 
             
  Health Care Technology 1.1%          
  Veeva Systems, Inc., Class A (a)   56,850    15,985,652 
             
  Hotels, Restaurants & Leisure 1.2%          
  Chipotle Mexican Grill, Inc. (a)   14,300    17,785,053 
             
  Interactive Media & Services 9.7%          
  Alphabet, Inc. (a)          
  Class A   25,855    37,893,088 
  Class C   26,349    38,722,490 
  Facebook, Inc., Class A (a)   261,300    68,434,470 
           145,050,048 
  Internet & Direct Marketing Retail 10.1%          
  Alibaba Group Holding, Ltd., Sponsored ADR (a)   53,670    15,777,907 
  Amazon.com, Inc. (a)   42,535    133,931,230 
           149,709,137 
  IT Services 11.7%          
  Mastercard, Inc., Class A   132,750    44,892,067 
  PayPal Holdings, Inc. (a)   183,400    36,135,302 
  Shopify, Inc., Class A (a)   16,050    16,418,668 
  Snowflake, Inc., Class A (a)(b)   5,300    1,330,300 
  Square, Inc., Class A (a)   32,800    5,331,640 
  Visa, Inc., Class A   290,300    58,051,291 
  Wix.com, Ltd. (a)   48,650    12,398,453 
           174,557,721 
  Life Sciences Tools & Services 2.9%          
  IQVIA Holdings, Inc. (a)   143,500    22,619,905 
  Thermo Fisher Scientific, Inc.   46,600    20,574,832 
           43,194,737 
  Media 0.8%          
  Charter Communications, Inc., Class A (a)   19,000    11,862,460 
             
  Personal Products 1.3%          
  Estee Lauder Cos., Inc., Class A   85,500    18,660,375 
             
  Pharmaceuticals 4.6%          
  AstraZeneca PLC, Sponsored ADR   388,400    21,284,320 
  Eli Lilly and Co.   153,800    22,765,476 
  Zoetis, Inc.   151,150    24,995,676 
           69,045,472 
  Professional Services 1.9%          
  CoStar Group, Inc. (a)   16,435    13,945,262 
  TransUnion   168,300    14,159,079 
           28,104,341 
  Semiconductors & Semiconductor Equipment 4.8%          
  ASML Holding N.V., Registered   35,800    13,219,866 
  NVIDIA Corp.   73,350    39,698,487 
  Texas Instruments, Inc.   128,500    18,348,515 
           71,266,868 
  Software 21.5%          
  Adobe, Inc. (a)   113,600    55,712,848 
  Atlassian Corp. PLC, Class A (a)   88,300    16,052,057 
  Intuit, Inc.   112,250    36,617,072 
  Microsoft Corp.   606,900    127,649,277 
  salesforce.com, Inc. (a)   272,950    68,597,794 
  Workday, Inc., Class A (a)   73,550    15,822,812 
           320,451,860 
  Technology Hardware, Storage & Peripherals 7.3%          
  Apple, Inc.   932,800    108,027,568 
             
  Textiles, Apparel & Luxury Goods 4.0%          
  Lululemon Athletica, Inc. (a)   49,900    16,435,563 
  NIKE, Inc., Class B   345,600    43,386,624 
           59,822,187 
  Total Common Stocks
(Cost $863,125,344)
        1,480,901,093 
             
  Short-Term Investments 0.6%          
  Affiliated Investment Company 0.5%          
  MainStay U.S. Government Liquidity Fund, 0.02% (a)   7,889,593    7,889,593 
             
  Unaffiliated Investment Company 0.1%          
  State Street Navigator Securities Lending Government Money Market Portfolio, 0,09% (c)(d)   1,387,832    1,387,832 
  Total Short-Term Investments
(Cost $9,277,425)
        9,277,425 
  Total Investments
(Cost $872,402,769)
   100.1%   1,490,178,518 
  Other Assets, Less Liabilities   (0.1)   (2,211,321)
  Net Assets  100.0%  $1,487,967,197 

   

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 September 30, 2020, the aggregate market value of securities on loan was $1,316,997. The Portfolio received cash collateral with a value of $1,387,832.
(c)Represents a security purchased with cash collateral received for securities on loan.
(d)Current yield as of September 30, 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 September 30, 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  $1,480,901,093   $   $   $1,480,901,093 
Short-Term Investments                    
Affiliated Investment Company   7,889,593            7,889,593 
Unaffiliated Investment Company   1,387,832            1,387,832 
Total Short-Term Investments   9,277,425            9,277,425 
Total Investments in Securities  $1,490,178,518   $   $   $1,490,178,518 

 

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

 

 

 

 

MainStay VP Funds Trust

NOTES TO PORTFOLIOS OF INVESTMENTS September 30, 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 September 30, 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 September 30, 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 September 30, 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 September 30, 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.

 

A portfolio investment may be classified as an illiquid investment under a Portfolio's written liquidity risk management program and related procedures (“Liquidity Program”). Illiquidity of an investment might prevent the sale of such investment at a time when the Manager or the Subadvisor(s) might wish to sell, and these investments could have the effect of decreasing the overall level of a Portfolio's liquidity. Further, the lack of an established secondary market may make it more difficult to value illiquid investments, requiring the 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 investments may result in a loss or may be costly to the Portfolio. An illiquid investment is any investment that the Manager or Subadvisor(s) reasonably expects cannot be sold or disposed of in current market conditions in seven calendar days or less without the sale or disposition significantly changing the market value of the investment. The liquidity classification of each investment will be made using information obtained after reasonable inquiry and taking into account, among other things, relevant market, trading and investment-specific considerations in accordance with the Liquidity Program. Illiquid investments are often valued in accordance with methods deemed by the Board in good faith to be reasonable and appropriate to accurately reflect their fair value. The liquidity of each Portfolio's investments, as shown in their respective accompanying Portfolio of Investments, was determined as of September 30, 2020, and can change at any time. Illiquid investments as of September 30, 2020, are shown in the Portfolio of Investments.

 

Investments in Affiliates (in 000s). During the period ended September 30, 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 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   $162,744   $(157,274)  $   $   $12,877   $25   $   —    12,877 

 

 

 

 

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   $10,953   $(14,953)  $   $   $217   $10  $      217 

 

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   $22   $(181)  $(3)  $(1,247)  $13,481   $227  $      678 
IQ 500 International ETF   16,651    12    (1,869)   (149)   (2,106)   12,539    190        510 
IQ Candriam ESG International Equity ETF       8,061    (72)   14    1,025    9,028    70        376 
IQ Candriam ESG U.S. Equity ETF       15,034    (78)   6    920    15,882    44        547 
IQ Chaikin U.S. Large Cap ETF   10,591    1,164    (67)   4    (468)   11,224    147        447 
IQ Chaikin U.S. Small Cap ETF   4,988    1,254    (2,598)   (18)   (448)   3,178    17        143 
IQ S&P High Yield Low Volatility Bond ETF   4,876    6,941    (4,765)   (189)   (35)   6,828    93        276 
MainStay Epoch Capital Growth Fund Class I   7,986        (8,020)   1,827    (1,329)   464            32 
MainStay Epoch International Choice Fund Class I   11,434        (2,762)   (33)   (445)   8,194            231 
MainStay Epoch U.S. All Cap Fund Class R6   14,049    325    (2,299)   472    (980)   11,567            445 
MainStay MacKay High Yield Municipal Bond Fund Class R6   12,373    80    (12,320)   311    (444)       84         
MainStay MacKay International Opportunities Fund Class I   8,552    276    (109)   (48)   (812)   7,859            1,178 
MainStay MacKay Short Duration High Yield Fund Class I   67,801    4,005    (18,472)   (540)   (2,158)   50,636    1,909        5,330 
MainStay MacKay U.S. Equity Opportunities Fund Class I   8,281        (8,029)   (790)   538                 
MainStay MacKay U.S. Infrastructure Bond Fund Class R6 (a)   17,952    213    (18,949)   661    123        209         
MainStay MAP Equity Fund Class I   22,230    1,784    (8,343)   413    (671)   15,413            370 
MainStay Short Term Bond Class I    7,289    93    (7,480)   (36)   134        84         
MainStay U.S. Government Liquidity Fund   26,803    118,483    (116,512)           28,774    86        28,774 
MainStay VP Bond Portfolio Initial Class   45,853    3,248    (6,239)   481    2,285    45,628            2,935 
MainStay VP Emerging Markets Equity Portfolio Initial Class   15,305        (4,297)   (348)   738    11,398            1,161 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   21,036    2,038    (7,699)   (390)   (2,156)   12,829            888 
MainStay VP Floating Rate Portfolio Initial Class   29,458    2,429    (9,865)   (1,220)   (475)   20,327    691        2,365 
MainStay VP Indexed Bond Portfolio Initial Class   228,724    55,228    (21,742)   2,142    13,517    277,869            24,492 
MainStay VP MacKay Common Stock Portfolio Initial Class   10,301    976    (9,350)   (561)   318    1,684            61 
MainStay VP MacKay Convertible Portfolio Initial Class   8,346    23    (7,958)   54    (465)       23         
MainStay VP MacKay Growth Portfolio Initial Class   16,611    1,570    (9,003)   1,957    1,436    12,571            323 
MainStay VP MacKay International Equity Portfolio Initial Class   4,718    386            320    5,424            315 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   16,287    2    (4,981)   345    (1,135)   10,518            833 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   3,176    27,379    (7,666)   231    4,989    28,109            432 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   8,920    50    (2,133)   (406)   (519)   5,912            642 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   4,676    24    (4,570)   (91)   (39)       24         
MainStay VP PIMCO Real Return Portfolio Initial Class   7,669        (546)   14    716    7,853            828 
MainStay VP Small Cap Growth Portfolio Initial Class (b)   10,042    5,113    (2,372)   478    924    14,185            959 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   22,894    4,801    (13,505)   (2,058)   (1,264)   10,868            1,010 
MainStay VP Winslow Large Cap Growth Portfolio Initial Class (c)   21,592    1,144    (5,557)   1,315    4,172    22,666            709 
   $732,354   $262,158   $(330,408)  $3,845   $14,959   $682,908   $3,898   $      

 

 

 

 

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   $64,094   $(59,516)  $   $   $5,187   $9  $      5,187 
                                              

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   $136,794   $(137,824)  $   $   $19,276   $55  $      19,276 
                                              

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   $221,849   $(268,608)  $   $   $4,809   $75  $      4,809 
                                              

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)  $(312)  $(112)  $2,371   $141  $      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   $103   $(269)  $(11)  $(1,873)  $20,395   $342  $      1,025 
IQ 500 International ETF   60,441        (2,286)   (137)   (8,149)   49,870    735        2,028 
IQ Candriam ESG International Equity ETF       11,908            1,436    13,344    99        556 
IQ Candriam ESG U.S. Equity ETF       30,867            4,240    35,107    140        1,208 
IQ Chaikin U.S. Large Cap ETF   59,605    246    (16,882)   1,065    (3,917)   40,117    549        1,597 
IQ Chaikin U.S. Small Cap ETF   6,669    1,327    (394)   (2)   (1,129)   6,471    39        292 
MainStay Epoch Capital Growth Fund Class I   11,231        (9,920)   2,367    (1,357)   2,321            159 
MainStay Epoch International Choice Fund Class I   59,575        (11,630)   1,279    (3,309)   45,915            1,296 
MainStay Epoch U.S. All Cap Fund Class R6   50,284    374    (10,756)   1,411    (3,369)   37,944            1,459 
MainStay MacKay International Opportunities Fund Class I   44,812    277    (696)   (188)   (4,212)   39,993            5,996 
MainStay MacKay U.S. Equity Opportunities Fund Class I   14,771        (14,061)   (948)   238                 
MainStay MAP Equity Fund Class I   81,930    9    (1,721)   (189)   (2,185)   77,844            1,869 
MainStay U.S. Government Liquidity Fund   31,130    131,265    (137,831)           24,564    104        24,564 
MainStay VP Emerging Markets Equity Portfolio Initial Class   61,663    226    (5,014)   387    1,020    58,282            5,935 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   100,011    21    (18,513)   (1,224)   (9,315)   70,980            4,913 
MainStay VP MacKay Common Stock Portfolio Initial Class   45,944        (34,111)   (5,968)   3,005    8,870            320 
MainStay VP MacKay Growth Portfolio Initial Class   81,723        (33,923)   4,901    4,868    57,569            1,481 
MainStay VP MacKay International Equity Portfolio Initial Class   30,522    1,099            1,989    33,610            1,950 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   57,749        (1,280)   7    (3,943)   52,533            4,159 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   778    87,180    (22)   3    9,410    97,349            1,496 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   36,340    248    (48)   (26)   (4,900)   31,614            3,435 
MainStay VP Small Cap Growth Portfolio Initial Class (b)   72,528    9,267    (18,850)   3,919    4,124    70,988            4,799 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   97,391    6,767    (24,266)   (4,347)   (12,682)   62,863            5,842 
MainStay VP Winslow Large Cap Growth Portfolio Initial Class (c)   89,209    1,170    (16,748)   4,945    15,279    93,855            2,935 
   $1,116,751   $282,354   $(359,221)  $7,244   $(14,730)  $1,032,398   $2,008   $      

 

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   $224,345   $(234,157)  $   $   $21,339   $84  $      21,339 

 

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   $31,853   $(31,805)  $   $   $3,723   $6  $      3,722 

 

 

 

 

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   $381,337   $(372,015)  $   $   $29,199   $79  $      29,199 

 

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  $   $23,071   $(21,676)  $   $   $1,395   $0(d)   $    1,395 

 

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   $230,752   $(240,781)  $   $   $46,722   $171  $      46,722 

 

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   $182,640   $(178,085)  $   $   $9,306   $23  $      9,306 

 

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  $   $25,861   $(25,089)  $   $   $772   $1  $      772 

 

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   $29,729   $(29,312)  $   $   $1,187   $2  $      1,187 

 

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   $30,025   $(31,914)  $   $   $460   $3  $      460 

 

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  $   $20,382   $(19,510)  $   $   $872   $1  $      872 

 

 

 

 

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   $316,766   $(350,984)  $   $   $23,453   $  $      23,453 

 

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   $37,953   $(39,488)  $   $   $256   $6  $     256 

 

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   $18   $(368)  $(18)  $(1,985)  $21,509   $363  $      1,081 
IQ 500 International ETF   31,097    82    (449)   (29)   (4,239)   26,462    380        1,076 
IQ Candriam ESG International Equity ETF       14,609    (145)   27    2,510    17,001    145        708 
IQ Candriam ESG U.S. Equity ETF       18,436            1,387    19,823    57        682 
IQ Chaikin U.S. Large Cap ETF   31,904    1,091    (198)   11    (1,645)   31,163    428        1,240 
IQ Chaikin U.S. Small Cap ETF   10,697    41    (5,359)   (244)   (769)   4,366    30        197 
IQ S&P High Yield Low Volatility Bond ETF   4,538    10,793    (4,469)   (298)   (6)   10,558    132        426 
MainStay Epoch Capital Growth Fund Class I   12,322        (11,515)   2,812    (1,845)   1,774            121 
MainStay Epoch International Choice Fund Class I   39,810        (12,258)   1,773    (3,408)   25,917            731 
MainStay Epoch U.S. All Cap Fund Class R6   40,224    662    (3,865)   40    (1,767)   35,294            1,357 
MainStay MacKay High Yield Municipal Bond Fund Class R6   18,614    134    (18,370)   279    (657)       143         
MainStay MacKay International Opportunities Fund Class I   27,640    32    (259)   (97)   (2,600)   24,716            3,706 
MainStay MacKay Short Duration High Yield Fund Class I   82,707    2,173    (26,713)   (595)   (2,578)   54,994    2,173        5,789 
MainStay MacKay U.S. Equity Opportunities Fund Class I   21,795        (20,604)   (2,724)   1,533                 
MainStay MacKay U.S. Infrastructure Bond Fund Class R6 (a)   28,241    763    (30,245)   1,044    197        340         
MainStay MAP Equity Fund Class I   53,923    3,313    (14,063)   863    (1,115)   42,921            1,031 
MainStay Short Term Bond Class I    11,429    195    (11,777)   (57)   210        133         
MainStay U.S. Government Liquidity Fund   46,852    161,376    (185,935)           22,293    134        22,293 
MainStay VP Bond Portfolio Initial Class   75,822        (15,803)   264    4,171    64,454            4,146 
MainStay VP Emerging Markets Equity Portfolio Initial Class   43,154    38    (10,753)   (465)   646    32,620            3,322 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   50,383    8    (5,359)   (28)   (5,232)   39,772            2,753 
MainStay VP Floating Rate Portfolio Initial Class   17,319    324    (11,021)   (1,139)   (149)   5,334    324        621 
MainStay VP Indexed Bond Portfolio Initial Class   164,486    128,671    (21,561)   1,872    10,678    284,146            25,045 
MainStay VP MacKay Common Stock Portfolio Initial Class   29,337    1,206    (25,636)   (1,736)   512    3,683            133 
MainStay VP MacKay Convertible Portfolio Initial Class   16,222    45    (15,475)   138    (930)       45         
MainStay VP MacKay Growth Portfolio Initial Class   48,632    2,231    (23,689)   4,252    3,370    34,796            895 
MainStay VP MacKay International Equity Portfolio Initial Class   6,450    2,076            537    9,063            526 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   34,677    60    (4,929)   271    (2,262)   27,817            2,202 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   4,126    46,705    (697)   108    11,578    61,820            950 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   14,919    73    (968)   (307)   (1,590)   12,127            1,318 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   9,622    48    (9,405)   (186)   (79)       48         
MainStay VP PIMCO Real Return Portfolio Initial Class   11,400    62    (502)   7    1,087    12,054            1,272 
MainStay VP Small Cap Growth Portfolio Initial Class (b)   16,945    4,572            2,262    23,779            1,608 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   57,471    4,450    (19,246)   (3,222)   (4,653)   34,800            3,234 
MainStay VP Winslow Large Cap Growth Portfolio Initial Class (c)   60,519    16    (16,022)   5,169    8,021    57,703            1,804 
   $1,147,139   $404,303   $(527,658)  $7,785   $11,190   $1,042,759   $4,875   $      

 

 

 

 

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   $   $(676)  $(56)  $(3,347)  $36,415   $615   $    1,831 
IQ 500 International ETF   76,074    35    (1,789)   (94)   (10,326)   63,900    925        2,599 
IQ Candriam ESG International Equity ETF       16,398    (181)   34    3,106    19,357    165        807 
IQ Candriam ESG U.S. Equity ETF       3,697            152    3,849    12        132 
IQ Chaikin U.S. Large Cap ETF   79,542    11    (10,208)   1,259    (6,028)   64,576    889        2,570 
IQ Chaikin U.S. Small Cap ETF   26,623    26    (10,772)   (450)   (2,517)   12,910    88        582 
IQ S&P High Yield Low Volatility Bond ETF   2,221    17,697    (2,440)   (130)   (21)   17,327    180        699 
MainStay Epoch Capital Growth Fund Class I   21,489        (19,137)   4,876    (2,980)   4,248            291 
MainStay Epoch International Choice Fund Class I   91,445        (25,364)   1,704    (5,230)   62,555            1,766 
MainStay Epoch U.S. All Cap Fund Class R6   85,722    104    (21,559)   2,864    (6,054)   61,077            2,348 
MainStay MacKay High Yield Municipal Bond Fund Class R6   31,588    303    (30,532)   (305)   (1,055)       311         
MainStay MacKay International Opportunities Fund Class I   69,135    27    (1,051)   (350)   (6,385)   61,376            9,202 
MainStay MacKay Short Duration High Yield Fund Class I   134,459    3,540    (43,811)   (734)   (4,414)   89,040    3,525        9,373 
MainStay MacKay U.S. Equity Opportunities Fund Class I   38,699        (36,885)   (4,740)   2,926                 
MainStay MacKay U.S. Infrastructure Bond Fund Class R6 (a)   49,549    570    (52,257)   1,775    363        597         
MainStay MAP Equity Fund Class I   104,749    7,970    (15,185)   (1,621)   2,208    98,121            2,356 
MainStay Short Term Bond Class I    19,464    242    (19,966)   (98)   358        225         
MainStay U.S. Government Liquidity Fund   44,601    292,166    (301,698)           35,069    188        35,069 
MainStay VP Bond Portfolio Initial Class   36,345    23    (524)   30    2,394    38,268            2,461 
MainStay VP Emerging Markets Equity Portfolio Initial Class   92,629    320    (20,080)   (1,167)   1,427    73,129            7,447 
MainStay VP Epoch U.S. Equity Yield Portfolio Initial Class   127,750    12    (21,838)   (2,643)   (10,786)   92,495            6,402 
MainStay VP Floating Rate Portfolio Initial Class   29,498    548    (19,066)   (1,894)   (333)   8,753    548        1,018 
MainStay VP Indexed Bond Portfolio Initial Class   27,165    190,500    (33,491)   555    1,770    186,499            16,438 
MainStay VP MacKay Common Stock Portfolio Initial Class   52,487    2,069    (43,934)   (7,625)   5,580    8,577            310 
MainStay VP MacKay Convertible Portfolio Initial Class   26,977    75    (25,721)   192    (1,523)       75         
MainStay VP MacKay Growth Portfolio Initial Class   99,198    47    (39,913)   6,068    6,786    72,186            1,857 
MainStay VP MacKay International Equity Portfolio Initial Class   24,059    396            1,544    25,999            1,508 
MainStay VP MacKay Mid Cap Core Portfolio Initial Class   100,018        (17,051)   (963)   (4,839)   77,165            6,109 
MainStay VP MacKay S&P 500 Index Portfolio Initial Class   5,182    88,026    (66)   10    18,794    111,946            1,720 
MainStay VP MacKay Small Cap Core Portfolio Initial Class   54,887    183            (7,454)   47,616            5,173 
MainStay VP MacKay Unconstrained Bond Portfolio Initial Class   13,884    74    (13,545)   (330)   (83)       74         
MainStay VP PIMCO Real Return Portfolio Initial Class   19,351    17    (1,743)   163    1,647    19,435            2,050 
MainStay VP Small Cap Growth Portfolio Initial Class (b)   78,193    25,274    (577)   (13)   10,760    113,637            7,682 
MainStay VP T. Rowe Price Equity Income Portfolio Initial Class   142,275    10,070    (51,382)   (11,193)   (9,598)   80,172            7,451 
MainStay VP Winslow Large Cap Growth Portfolio Initial Class (c)   113,686    1,594    (19,589)   6,051    19,647    121,389            3,796 
   $1,959,438   $662,015   $(902,031)  $(8,825)  $(3,511)  $1,707,086   $8,417   $      

 

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   $103,654   $(102,339)  $   $   $2,843   $4  $      2,843 

 

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   $627,146   $(627,854)  $   $   $   $7    $     

 

 

 

 

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   $73,296   $(78,587)  $   $   $5,166   $29    $    5,166 

 

MainStay VP Winslow 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   $169,354   $(172,605)  $   $   $7,890   $32    $    7,890 

 

(a) Prior to August 31, 2020, known as MainStay MacKay Infrastructure Bond Fund Class R6.

(b) Prior to May 1, 2020, known as MainStay VP Eagle Small Cap Growth Portfolio Initial Class.

(c) Prior to May 1, 2020, known as MainStay VP Large Cap Growth Portfolio Initial Class.

(d) Less than $500.