0001752724-24-265891.txt : 20241125 0001752724-24-265891.hdr.sgml : 20241125 20241125112801 ACCESSION NUMBER: 0001752724-24-265891 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20240930 FILED AS OF DATE: 20241125 DATE AS OF CHANGE: 20241125 PERIOD START: 20241231 FILER: COMPANY DATA: COMPANY CONFORMED NAME: NEW YORK LIFE INVESTMENTS VP FUNDS TRUST CENTRAL INDEX KEY: 0000887340 ORGANIZATION NAME: IRS NUMBER: 133186036 STATE OF INCORPORATION: DE FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-03833-01 FILM NUMBER: 241493181 BUSINESS ADDRESS: STREET 1: 51 MADISON AVE CITY: NEW YORK STATE: NY ZIP: 10010 BUSINESS PHONE: 2125767000 MAIL ADDRESS: STREET 1: 51 MADISON AVE CITY: NEW YORK STATE: NY ZIP: 10010 FORMER COMPANY: FORMER CONFORMED NAME: MAINSTAY VP FUNDS TRUST DATE OF NAME CHANGE: 20110429 FORMER COMPANY: FORMER CONFORMED NAME: MAINSTAY VP SERIES FUND INC DATE OF NAME CHANGE: 20010518 FORMER COMPANY: FORMER CONFORMED NAME: NEW YORK LIFE MFA SERIES FUND INC DATE OF NAME CHANGE: 19920929 0000887340 S000009438 NYLI VP Floating Rate Portfolio C000025806 Initial Class C000025807 Service Class NPORT-P 1 primary_doc.xml NPORT-P false 0000887340 XXXXXXXX S000009438 C000025806 C000025807 NEW YORK LIFE INVESTMENTS VP FUNDS TRUST 811-03833-01 0000887340 549300AG6K4RXYNOVN04 51 Madison Avenue New York 10010 212-576-7000 NYLI VP Floating Rate Portfolio S000009438 549300L3WR2UTWLDL306 2024-12-31 2024-09-30 N 1032116042.02 46606301.27 985509740.75 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 0.00000000 4414103.67000000 USD N OPENLANE, Inc. 5493004HKD20LBSG7D03 OPENLANE, Inc. 48238TAA7 350000.00000000 PA USD 348304.99000000 0.035342622766 Long DBT CORP US Y 2 2025-06-01 Fixed 5.12500000 N N N N N N Light & Wonder International, Inc. RLTHESQ0RNFQJWPBJN60 Light & Wonder International, Inc. 80874YBC3 900000.00000000 PA USD 907880.40000000 0.092122925067 Long DBT CORP US Y 2 2028-05-15 Fixed 7.00000000 N N N N N N Clydesdale Acquisition Holdings, Inc. 254900QKSDYFR3K5YD98 Clydesdale Acquisition Holdings, Inc. 18972EAB1 100000.00000000 PA USD 101544.30000000 0.010303733773 Long DBT CORP US Y 2 2030-04-15 Fixed 8.75000000 N N N N N N Select Medical Corp. 549300X05KS0JKR8CB50 Select Medical Corp., First Lien Tranche Term Loan B1 816194AX2 363297.04800000 PA USD 364507.92000000 0.036986739443 Long LON CORP US N 2 2027-03-08 Variable 8.24674000 N N N N N N Brown Group Holding LLC 25490094PF4HHK9QS109 Brown Group Holding LLC, First Lien Initial Term Loan 11565HAB2 2130853.17000000 PA USD 2123751.04000000 0.215497721857 Long LON CORP US N 2 2031-07-01 Variable 7.59544000 N N N N N N Allied Universal Holdco LLC N/A Allied Universal Holdco LLC 019576AB3 1000000.00000000 PA USD 1002151.00000000 0.101688594091 Long DBT CORP US Y 2 2027-07-15 Fixed 9.75000000 N N N N N N AmWINS Group, Inc. 549300SJE7MUB8NMRG61 AmWINS Group, Inc., First Lien Term Loan 03234TAW8 4675757.05790000 PA USD 4666503.73000000 0.473511680001 Long LON CORP US N 2 2028-02-21 Variable 7.20992000 N N N N N N Iron Mountain, Inc. SQL3F6CKNNBM3SQGHX24 Iron Mountain, Inc. 46284VAG6 350000.00000000 PA USD 345396.35000000 0.035047482101 Long DBT CORP US Y 2 2028-07-15 Fixed 5.00000000 N N N N N N Castle U.S. Holding Corp. N/A Castle U.S. Holding Corp., First Lien Dollar Term Loan B2 14852DAE1 1680288.50070000 PA USD 1098488.61000000 0.111464003304 Long LON CORP US N 2 2027-01-29 Variable 9.31879000 N N N N N N Sempra Texas Holdings Corp. 549300X5X81JXQ093E23 Sempra Texas Holdings Corp. N/A 94456.00000000 NS USD 0.00000000 0.000000 Long EC CORP US N 3 N N N Gen Digital, Inc. N/A Gen Digital, Inc., First Lien Term Loan B 66877AAF5 3069183.01650000 PA USD 3060070.61000000 0.310506378929 Long LON CORP US N 2 2029-09-12 Variable 6.59544000 N N N N N N Gates Global LLC N/A Gates Global LLC, First Lien Initial Dollar Term Loan B5 36740UAY8 3500000.00000000 PA USD 3504375.00000000 0.355590092628 Long LON CORP US N 2 2031-06-04 Variable 7.09544000 N N N N N N Applied Systems, Inc. N/A Applied Systems, Inc., First Lien Term Loan B 03827FBD2 3009631.96240000 PA USD 3011341.43000000 0.305561812885 Long LON CORP US N 2 2031-02-24 Variable 7.60367000 N N N N N N Post Holdings, Inc. JM1I5YUAURL6DC8N1468 Post Holdings, Inc. 737446AP9 240000.00000000 PA USD 238258.73000000 0.024176192294 Long DBT CORP US Y 2 2029-12-15 Fixed 5.50000000 N N N N N N Trident TPI Holdings, Inc. 549300TPLK304J3RNC85 Trident TPI Holdings, Inc. 89616RAC3 790000.00000000 PA USD 876997.96000000 0.088989273645 Long DBT CORP US Y 2 2028-12-31 Fixed 12.75000000 N N N N N N FC Compassus LLC N/A FC Compassus LLC, First Lien Term Loan B1 20452RAD3 2986447.69260000 PA USD 2949117.10000000 0.299247889498 Long LON CORP US N 2 2026-12-31 Variable 9.56879000 N N N N N N INEOS U.S. Petrochem LLC N/A INEOS U.S. Petrochem LLC, First Lien 2030 Dollar Tranche Term Loan B G4770MAJ3 982512.62630000 PA USD 981284.49000000 0.099571262406 Long LON CORP US N 2 2030-03-14 Variable 8.69544000 N N N N N N IRB Holding Corp. 549300HVW4WNWYBXN830 IRB Holding Corp. 44988MAC9 580000.00000000 PA USD 580000.00000000 0.058852792216 Long DBT CORP US Y 2 2025-06-15 Fixed 7.00000000 N N N N N N AHP Health Partners, Inc. 549300QMM8MQ6SM5KX05 AHP Health Partners, Inc., First Lien Initial Term Loan 00130MAJ3 1177888.27000000 PA USD 1178771.69000000 0.119610354039 Long LON CORP US N 2 2028-08-24 Variable 8.61122000 N N N N N N KKR Apple Bidco LLC 2549001SCJD3WEYJFM53 KKR Apple Bidco LLC, First Lien Initial Term Loan 48254EAB7 2304825.00000000 PA USD 2300708.58000000 0.233453662086 Long LON CORP US N 2 2028-09-22 Variable 7.70992000 N N N N N N Lumen Technologies, Inc. N/A Lumen Technologies, Inc., First Lien Term Loan B2 55024EAG0 894621.48040000 PA USD 771051.89000000 0.078238890811 Long LON CORP US N 2 2030-04-15 Variable 7.31895000 N N N N N N Physician Partners LLC N/A Physician Partners LLC, First Lien Initial Term Loan 71947JAB1 1096875.00000000 PA USD 693225.00000000 0.070341770490 Long LON CORP US N 2 2028-12-22 Variable 9.56384000 N N N N N N Proofpoint, Inc. 529900C5FODDK0WSR085 Proofpoint, Inc., First Lien Term Loan 74345HAG6 2431531.24500000 PA USD 2429843.76000000 0.246557051597 Long LON CORP US N 2 2028-08-31 Variable 7.84544000 N N N N N N Truist Insurance Holdings LLC N/A Truist Insurance Holdings LLC, First Lien Initial Term Loan 89788VAB8 2000000.00000000 PA USD 1994166.00000000 0.202348684903 Long LON CORP US N 2 2031-05-06 Variable 7.85367000 N N N N N N Naked Juice LLC N/A Naked Juice LLC, First Lien Initial Term Loan 62984CAD5 3708624.48710000 PA USD 3026701.16000000 0.307120369779 Long LON CORP US N 2 2029-01-24 Variable 7.95367000 N N N N N N Triton Water Holdings, Inc. 5493005IYCEL7QJFZZ63 Triton Water Holdings, Inc., First Lien Initial Term Loan 89678QAB2 4644242.50100000 PA USD 4634289.89000000 0.470242930980 Long LON CORP US N 2 2028-03-31 Variable 8.11528000 N N N N N N Liberty Media Corp. N/A Liberty Media Corp., First Lien Term Loan N/A 1000000.00000000 PA USD 998750.00000000 0.101343493494 Long LON CORP US N 2 2031-08-01 Variable 0.00000000 N N N N N N TransMontaigne Operating Co. LP 549300V4T155OZCUJ734 TransMontaigne Operating Co. LP, First Lien Tranche Term Loan B 89376WAH1 1988587.95000000 PA USD 1989830.82000000 0.201908792751 Long LON CORP US N 2 2028-11-17 Variable 8.45992000 N N N N N N Clarios Global LP 549300474L1ZLXZY2P98 Clarios Global LP, First Lien 2024 Dollar Term Loan C8000CAM5 3420000.00000000 PA USD 3417862.50000000 0.346811640582 Long LON CORP US N 2 2030-05-06 Variable 7.34544000 N N N N N N Fortress Transportation and Infrastructure Investors LLC 529900E7PUVK6BC8PE80 Fortress Transportation and Infrastructure Investors LLC 34960PAG6 1150000.00000000 PA USD 1207156.24000000 0.122490543734 Long DBT CORP US Y 2 2032-06-15 Fixed 7.00000000 N N N N N N Brown Group Holding LLC 25490094PF4HHK9QS109 Brown Group Holding LLC, First Lien Incremental Term Loan B2 11565HAD8 1030405.38000000 PA USD 1027644.92000000 0.104275470602 Long LON CORP US N 2 2031-07-01 Variable 7.95646526 N N N N N N Mauser Packaging Solutions Holding Co. 549300DNGHXL0OMHW304 Mauser Packaging Solutions Holding Co. 57763RAD9 1500000.00000000 PA USD 1549766.25000000 0.157255294992 Long DBT CORP US Y 2 2027-04-15 Fixed 7.87500000 N N N N N N AssuredPartners, Inc. 549300HNDSDQWQ3L2P80 AssuredPartners, Inc., First Lien 2024 Term Loan 04621HAW3 4977493.73000000 PA USD 4971714.86000000 0.504481554511 Long LON CORP US N 2 2031-02-14 Variable 8.34544000 N N N N N N GGAM Finance Ltd. 254900X2QXEN0FVXRF65 GGAM Finance Ltd. 36170JAD8 560000.00000000 PA USD 582557.36000000 0.059112288383 Long DBT CORP KY Y 2 2029-04-15 Fixed 6.87500000 N N N N N N Boyd Gaming Corp. 254900787YGRYS2A1Z35 Boyd Gaming Corp. 103304BU4 400000.00000000 PA USD 395473.40000000 0.040128816961 Long DBT CORP US N 2 2027-12-01 Fixed 4.75000000 N N N N N N Mitchell International, Inc. N/A Mitchell International, Inc., First Lien Initial Term Loan 60662WAW2 3000000.00000000 PA USD 2953635.00000000 0.299706322309 Long LON CORP US N 2 2031-06-17 Variable 8.09544000 N N N N N N LSF11 A5 Holdco LLC N/A LSF11 A5 Holdco LLC, First Lien 2024 Refinancing Term Loan 50216YAE0 1744346.33710000 PA USD 1739985.47000000 0.176556902286 Long LON CORP US N 2 2028-10-16 Variable 8.45992000 N N N N N N GrafTech Global Enterprises, Inc. N/A GrafTech Global Enterprises, Inc. 38431AAA4 900000.00000000 PA USD 720888.97000000 0.073148842694 Long DBT CORP US Y 2 2028-12-15 Fixed 9.87500000 N N N N N N Mallinckrodt International Corp. N/A Mallinckrodt International Corp. N/A 5706.00000000 NS USD 427950.00000000 0.043424228326 Long EC CORP US N 3 N N N Sovos Compliance LLC 549300M9XYG5WP2QHH07 Sovos Compliance LLC, First Lien Initial Term Loan 84611YAB6 487868.16000000 PA USD 487380.29000000 0.049454639548 Long LON CORP US N 2 2028-08-11 Variable 9.86122000 N N N N N N Covanta Holding Corp. 40XIFLS8XDQGGHGPGC04 Covanta Holding Corp., First Lien Term Loan C 22282GAH0 206771.90000000 PA USD 206836.41000000 0.020987759070 Long LON CORP US N 2 2028-11-30 Variable 7.84651000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797HE0 4900000.00000000 PA USD 4880908.38000000 0.495267390892 Long STIV UST US N 2 2024-10-31 None 0.00000000 N N N N N N Barnes Group, Inc. G1MSYD2DQZX30V5DMX12 Barnes Group, Inc., First Lien 2024 Facility Term Loan B 067809AM5 476883.09770000 PA USD 476763.88000000 0.048377388907 Long LON CORP US N 2 2030-08-30 Variable 7.34544000 N N N N N N Bausch Health Cos., Inc. B3BS7ACMDUWISF18KY76 Bausch Health Cos., Inc. 91911KAN2 300000.00000000 PA USD 293072.43000000 0.029738156598 Long DBT CORP CA Y 2 2025-11-01 Fixed 5.50000000 N N N N N N American Builders & Contractors Supply Co., Inc. N/A American Builders & Contractors Supply Co., Inc., First Lien Term Loan B 02474RAJ2 1657611.71490000 PA USD 1658026.12000000 0.168240459880 Long LON CORP US N 2 2031-01-31 Variable 6.59544000 N N N N N N GGAM Finance Ltd. 254900X2QXEN0FVXRF65 GGAM Finance Ltd. 36170JAC0 750000.00000000 PA USD 783759.00000000 0.079528285474 Long DBT CORP KY Y 2 2027-02-15 Fixed 8.00000000 N N N N N N Modena Buyer LLC N/A Modena Buyer LLC, First Lien Initial Term Loan 60753DAC8 1500000.00000000 PA USD 1432500.00000000 0.145356249742 Long LON CORP US N 2 2031-07-01 Variable 9.10367000 N N N N N N Onex TSG Intermediate Corp. N/A Onex TSG Intermediate Corp., First Lien Initial Term Loan 68276QAJ5 967500.00000000 PA USD 965383.11000000 0.097957744107 Long LON CORP US N 2 2028-02-28 Variable 9.70992000 N N N N N N Avaya, Inc. J6LB5QIFSP2MFEFG4U76 Avaya, Inc. 05351X507 12043.00000000 NS USD 72258.00000000 0.007332043206 Long EC CORP US N 3 N N N 1000732905 Ontario, Inc. N/A 1000732905 Ontario, Inc., First Lien Initial Term Loan C6902LAB2 2025000.00000000 PA USD 2027531.25000000 0.205734267878 Long LON CORP CA N 2 2031-03-03 Variable 9.83458000 N N N N N N Entain plc N/A Entain plc, First Lien USD Facility Term Loan B X3000CAB7 1243928.51440000 PA USD 1248074.53000000 0.126642536181 Long LON CORP IM N 2 2027-03-29 Variable 7.86398000 N N N N N N Univision Communications, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc. 914906AU6 600000.00000000 PA USD 600734.40000000 0.060956718656 Long DBT CORP US Y 2 2027-06-01 Fixed 6.62500000 N N N N N N Hilton Domestic Operating Co., Inc. 5493003EG7H0N1E4XV50 Hilton Domestic Operating Co., Inc., First Lien Term Loan B4 43289DAK9 235804.09000000 PA USD 235450.38000000 0.023891228088 Long LON CORP US N 2 2030-11-08 Variable 6.60478000 N N N N N N ASP Unifrax Holdings, Inc. 549300RRU6BWJLD0YT71 ASP Unifrax Holdings, Inc., First Lien Term Loan 00216UAC7 994736.84000000 PA USD 981992.27000000 0.099643081077 Long LON CORP US N 2 2025-12-12 Variable 9.23458000 N N N N N N SSB Equipment Co., Inc. N/A SSB Equipment Co., Inc. N/A 735.00000000 NS USD 0.00000000 0.000000 Long EC CORP US N 3 N N N Ecovyst Catalyst Technologies LLC 254900NH3N3I82Z6Q744 Ecovyst Catalyst Technologies LLC, First Lien Second Amendment Term Loan 27922JAC0 1746000.00000000 PA USD 1733268.17000000 0.175875295629 Long LON CORP US N 2 2031-06-12 Variable 7.50211000 N N N N N N Cushman & Wakefield U.S. Borrower LLC 549300870CMN3WI5IF97 Cushman & Wakefield U.S. Borrower LLC, First Lien New Term Loan 23340DAP7 37142.44350000 PA USD 37126.96000000 0.003767284935 Long LON CORP US N 2 2025-08-21 Variable 7.70992000 N N N N N N Sixth Street CLO XXI Ltd. N/A Sixth Street CLO XXI Ltd., Series 2022-21A, Class D 83011PAG2 1071000.00000000 PA USD 1071000.00000000 0.108674724938 Long ABS-CBDO CORP KY Y 2 2035-10-15 Floating 10.40136840 N N N N N N Insulet Corp. N/A Insulet Corp., First Lien 2024 Incremental Term Loan A 45784QAE9 1666666.67000000 PA USD 1672396.67000000 0.169698644351 Long LON CORP US N 2 2031-08-01 Variable 7.74674000 N N N N N N Rocket Software, Inc. 549300PVG26ISP5X1556 Rocket Software, Inc. 77314EAB4 1500000.00000000 PA USD 1565377.50000000 0.158839373704 Long DBT CORP US Y 2 2028-11-28 Fixed 9.00000000 N N N N N N Altice France SA 5493001ZMCICV4N02J21 Altice France SA, First Lien Term Loan B14 F6628DAN4 2962954.47050000 PA USD 2217276.61000000 0.224987792440 Long LON CORP FR N 2 2028-08-15 Variable 10.80137000 N N N N N N Covanta Holding Corp. N/A Covanta Holding Corp., First Lien 2024 Incremental Term Loan B 22282GAG2 3774465.95560000 PA USD 3775643.59000000 0.383115806356 Long LON CORP US N 2 2028-11-30 Variable 7.84651000 N N N N N N Medical Solutions Holdings, Inc. N/A Medical Solutions Holdings, Inc., First Lien Term Loan 58462QAH4 501858.11970000 PA USD 377397.31000000 0.038294630118 Long LON CORP US N 2 2028-11-01 Variable 8.85211000 N N N N N N Champions Financing, Inc. 391200ZDD75EGEUJ7625 Champions Financing, Inc. 15870LAA6 1350000.00000000 PA USD 1375047.90000000 0.139526566115 Long DBT CORP US Y 2 2029-02-15 Fixed 8.75000000 N N N N N N Velocity Vehicle Group LLC N/A Velocity Vehicle Group LLC 92262TAA4 880000.00000000 PA USD 916261.28000000 0.092973335738 Long DBT CORP US Y 2 2029-06-01 Fixed 8.00000000 N N N N N N Clarivate Science Holdings Corp. N/A Clarivate Science Holdings Corp. 18064PAC3 300000.00000000 PA USD 287902.02000000 0.029213513382 Long DBT CORP US Y 2 2028-07-01 Fixed 3.87500000 N N N N N N Columbus McKinnon Corp. 549300W3HQB0HO1F3G69 Columbus McKinnon Corp., First Lien Initial Term Loan 19933MAQ6 2503939.46370000 PA USD 2503939.46000000 0.254075566832 Long LON CORP US N 2 2028-05-15 Variable 7.10367000 N N N N N N Cogeco Financing 2 LP N/A Cogeco Financing 2 LP, First Lien Term Loan B 19239BAE8 2719722.15350000 PA USD 2669575.92000000 0.270882753321 Long LON CORP US N 2 2028-09-01 Variable 7.45992000 N N N N N N Mitnick Corp. Purchaser, Inc. N/A Mitnick Corp. Purchaser, Inc., First Lien Initial Term Loan 60672HAC7 1965000.00000000 PA USD 1748850.00000000 0.177456389083 Long LON CORP US N 2 2029-05-02 Variable 9.85211000 N N N N N N Carpenter Technology Corp. DX6I6ZD3X5WNNCDJKP85 Carpenter Technology Corp. 144285AL7 310000.00000000 PA USD 312126.29000000 0.031671558087 Long DBT CORP US N 2 2028-07-15 Fixed 6.37500000 N N N N N N ASP Blade Holdings, Inc. N/A ASP Blade Holdings, Inc., First Lien Initial Term Loan 00217HAB7 1070508.24130000 PA USD 785819.42000000 0.079737356974 Long LON CORP US N 2 2028-10-13 Variable 8.86528000 N N N N N N Carestream Health, Inc. N/A Carestream Health, Inc., First Lien Term Loan 14173VAT0 1715221.66730000 PA USD 1561566.96000000 0.158452716947 Long LON CORP US N 2 2027-09-30 Variable 12.20367000 N N N N N N Prairie Eci Acquiror LP N/A Prairie Eci Acquiror LP, First Lien Initial Term Loan B2 73955HAD6 1176408.09080000 PA USD 1173650.59000000 0.119090714324 Long LON CORP US N 2 2029-08-01 Variable 9.59544000 N N N N N N Mavis Tire Express Services Topco Corp. 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(The), First Lien Term Loan B 59408UAB3 3096000.00000000 PA USD 2470781.38000000 0.250711005466 Long LON CORP US N 2 2028-04-17 Variable 9.11528000 N N N N N N Elanco Animal Health, Inc. N/A Elanco Animal Health, Inc., First Lien Term Loan 28414BAF3 978202.55370000 PA USD 975757.05000000 0.099010391237 Long LON CORP US N 2 2027-08-02 Variable 7.05055000 N N N N N N Ballyrock CLO 21 Ltd. 254900FOV48Z8K26JH50 Ballyrock CLO 21 Ltd., Series 2022-21A, Class C 05874JAJ9 1000000.00000000 PA USD 1000000.00000000 0.101470331408 Long ABS-CBDO CORP JE Y 2 2035-10-20 Floating 10.60201080 N N N N N N DS Admiral Bidco LLC N/A DS Admiral Bidco LLC, First Lien Initial Term Loan 23344UAF7 2000000.00000000 PA USD 1920000.00000000 0.194823036303 Long LON CORP US N 2 2031-06-26 Variable 9.09544000 N N N N N N Amentum Government Services Holdings LLC 5493008CT6B5L54YSE94 Amentum Government Services Holdings LLC, First Lien Initial Term Loan 57776DAB9 1083627.28000000 PA USD 1081595.48000000 0.109749851805 Long LON CORP US N 2 2027-01-29 Variable 9.36122000 N N N N N N American Rock Salt Co. LLC N/A American Rock Salt Co. LLC, First Lien First Out Term Loan 02932JAT4 480217.00000000 PA USD 480217.00000000 0.048727778137 Long LON CORP US N 2 2028-06-11 Variable 12.07930000 N N N N N N Sixth Street CLO XXIV Ltd. 254900750L60VUYV0C32 Sixth Street CLO XXIV Ltd., Series 2024-24A, Class B 83011QAC9 1500000.00000000 PA USD 1515283.50000000 0.153756318922 Long ABS-CBDO CORP JE Y 2 2037-04-23 Floating 7.29451080 N N N N N N Embecta Corp. 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N/A Bombardier Recreational Products, Inc., First Lien ARR Borrowing Term Loan 09776MAS3 2947725.00000000 PA USD 2940355.69000000 0.298358866322 Long LON CORP CA N 2 2029-12-13 Variable 7.59544000 N N N N N N ASP Unifrax Holdings, Inc. 549300RRU6BWJLD0YT71 ASP Unifrax Holdings, Inc. 90473LAA0 330000.00000000 PA USD 164627.81000000 0.016704838439 Long DBT CORP US Y 2 2028-09-30 Fixed 5.25000000 N N N N N N Quikrete Holdings, Inc. N/A Quikrete Holdings, Inc., First Lien Tranche Term Loan B1 74839XAJ8 5179616.95660000 PA USD 5182496.82000000 0.525869669847 Long LON CORP US N 2 2031-04-14 Variable 7.34544000 N N N N N N Golden Entertainment, Inc. N/A Golden Entertainment, Inc., First Lien Facility Term Loan B1 38101JAE6 1851562.50000000 PA USD 1844619.14000000 0.187174115457 Long LON CORP US N 2 2030-05-27 Variable 6.85367000 N N N N N N Aruba Investments Holdings LLC N/A Aruba Investments Holdings LLC, First Lien Initial Dollar Term Loan 04317JAB4 516067.48000000 PA USD 512196.97000000 0.051972796292 Long LON CORP US N 2 2027-11-24 Variable 8.94544000 N N N N N N Belron Finance U.S. LLC N/A Belron Finance U.S. LLC, First Lien 2023 Facility Term Loan B 08078UAK9 495000.00000000 PA USD 494845.56000000 0.050212142969 Long LON CORP US N 2 2029-04-18 Variable 7.62924000 N N N N N N GIP III Stetson I LP N/A GIP III Stetson I LP, First Lien Initial Term Loan 36173DAC0 1099865.11460000 PA USD 1098490.28000000 0.111464172760 Long LON CORP US N 2 2028-10-31 Variable 8.74674000 N N N N N N RLG Holdings, Inc. 254900Y6CDN3X5BPSO77 RLG Holdings, Inc., First Lien Closing Date Initial Term Loan 74970AAB4 2265282.02290000 PA USD 2205818.37000000 0.223825121030 Long LON CORP US N 2 2028-07-07 Variable 9.20992000 N N N N N N LSF11 Trinity Bidco, Inc. N/A LSF11 Trinity Bidco, Inc., First Lien Initial Term Loan 50221BAE3 3659400.68000000 PA USD 3657113.55000000 0.371088523916 Long LON CORP US N 2 2030-06-14 Variable 8.41991000 N N N N N N Prime Security Services Borrower LLC N/A Prime Security Services Borrower LLC, First Lien SOFR Term Loan C 03765VAM2 2493749.99990000 PA USD 2490348.52000000 0.252696489646 Long LON CORP US N 2 2030-10-11 Variable 7.44535000 N N N N N N Iron Mountain, Inc. N/A Iron Mountain, Inc., First Lien Amendment No. 1 Incremental Term Loan B 46284NAV1 1753395.88570000 PA USD 1740245.42000000 0.176583279499 Long LON CORP US N 2 2031-01-31 Variable 6.84544000 N N N N N N LBM Acquisition LLC 549300FAEB3VWZL4NI86 LBM Acquisition LLC 05552BAA4 1000000.00000000 PA USD 945606.80000000 0.095951035377 Long DBT CORP US Y 2 2029-01-15 Fixed 6.25000000 N N N N N N 720 East CLO IV Ltd. N/A 720 East CLO IV Ltd., Series 2024-1A, Class D 81785BAJ5 1250000.00000000 PA USD 1270797.50000000 0.128948243477 Long ABS-CBDO CORP KY Y 2 2037-04-15 Floating 9.14484960 N N N N N N Ford Motor Co. 20S05OYHG0MQM4VUIC57 Ford Motor Co. 345370DB3 2100000.00000000 PA USD 2152438.20000000 0.218408617489 Long DBT CORP US N 2 2032-08-19 Fixed 6.10000000 N N N N N N Chromalloy Corp. N/A Chromalloy Corp., First Lien Term Loan 17110EAB6 1500000.00000000 PA USD 1422000.00000000 0.144290811262 Long LON CORP US N 2 2031-03-27 Variable 9.08156000 N N N N N N Hunter Douglas, Inc. N/A Hunter Douglas, Inc., First Lien Tranche Term Loan B1 N8137FAB6 3940000.00000000 PA USD 3903413.16000000 0.396080626968 Long LON CORP US N 2 2029-02-25 Variable 8.57131000 N N N N N N Spirit AeroSystems, Inc. ZD2NBKV6GCC3UMGBM518 Spirit AeroSystems, Inc. 85205TAN0 250000.00000000 PA USD 271213.00000000 0.027520072992 Long DBT CORP US Y 2 2029-11-30 Fixed 9.37500000 N N N N N N Bakelite U.S. Holdco, Inc. N/A Bakelite U.S. Holdco, Inc., First Lien Term Loan 05710LAC7 2761578.75000000 PA USD 2765892.34000000 0.280656012379 Long LON CORP US N 2 2029-05-28 Variable 8.10367000 N N N N N N Jane Street Group LLC N/A Jane Street Group LLC, First Lien 2021 Term Loan 47077DAH3 3701161.00000000 PA USD 3695872.04000000 0.375021360741 Long LON CORP US N 2 2028-01-26 Variable 7.86122000 N N N N N N Harbor Freight Tools USA, Inc. 549300Y48HLCFTTB4249 Harbor Freight Tools USA, Inc., First Lien Initial Term Loan 41151PAR6 4444444.44000000 PA USD 4370706.66000000 0.443497053278 Long LON CORP US N 2 2031-06-11 Variable 7.33311435 N N N N N N Cloud Software Group, Inc. 04EEB871XLHVNY4RZJ65 Cloud Software Group, Inc. 18912UAC6 1330000.00000000 PA USD 1390247.55000000 0.141068879638 Long DBT CORP US Y 2 2032-06-30 Fixed 8.25000000 N N N N N N Univision Communications, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc., First Lien Initial Term Loan 914908BB3 2028000.00000000 PA USD 1972230.00000000 0.200122831713 Long LON CORP US N 2 2029-01-31 Variable 8.20992000 N N N N N N Pluto Acquisition I, Inc. 254900MOXD90LKQ6AY47 Pluto Acquisition I, Inc., First Lien Tranche Term Loan B 72941DAK8 2032143.75000000 PA USD 1859411.53000000 0.188675104173 Long LON CORP US N 2 2028-09-20 Variable 9.13241000 N N N N N N NYLI MacKay High Yield Corporate Bond Fund 549300Y73VYUL00YQH40 NYLI MacKay High Yield Corporate Bond Fund, Class I 56062X708 436570.67000000 NS USD 2298806.52000000 0.233260659427 Long RF US N 1 N N N Delta Topco, Inc. N/A Delta Topco, Inc., First Lien Second Amendment Term Loan 24780DAF4 712499.99570000 PA USD 711164.06000000 0.072162052853 Long LON CORP US N 2 2029-11-30 Variable 8.19822000 N N N N N N Cornerstone OnDemand, Inc. 549300Z402F16H5EGH48 Cornerstone OnDemand, Inc., First Lien Initial Term Loan 86803YAB9 1828125.00000000 PA USD 1704726.56000000 0.172979169003 Long LON CORP US N 2 2028-10-16 Variable 8.70992000 N N N N N N GGAM Finance Ltd. 254900X2QXEN0FVXRF65 GGAM Finance Ltd. 36170JAB2 1125000.00000000 PA USD 1150355.25000000 0.116726928454 Long DBT CORP KY Y 2 2026-05-15 Fixed 7.75000000 N N N N N N CHG PPC Parent LLC 54930019XJQNJAGXQ664 CHG PPC Parent LLC, First Lien 2021-1 U.S. Term Loan 12546FAF9 1286741.33590000 PA USD 1277090.78000000 0.129586824685 Long LON CORP US N 2 2028-12-08 Variable 7.70992000 N N N N N N Delta 2 SARL N/A Delta 2 SARL, First Lien Term Loan B1 L2465BAW6 2000001.00000000 PA USD 1997501.00000000 0.202687088458 Long LON CORP LU N 2 2031-09-10 Variable 6.74481000 N N N N N N Sixth Street CLO XXI Ltd. N/A Sixth Street CLO XXI Ltd., Series 2022-21A, Class B 83011PAC1 1500000.00000000 PA USD 1500000.00000000 0.152205497112 Long ABS-CBDO CORP KY Y 2 2035-10-15 Floating 8.30136960 N N N N N N White Cap Supply Holdings LLC N/A White Cap Supply Holdings LLC, First Lien Facility Tranche Term Loan C 96350TAH3 5746746.73000000 PA USD 5697767.21000000 0.578154327085 Long LON CORP US N 2 2029-10-19 Variable 8.09544000 N N N N N N LSCS Holdings, Inc. N/A LSCS Holdings, Inc., First Lien Initial Term Loan 50219NAH4 682500.00000000 PA USD 678234.38000000 0.068820667311 Long LON CORP US N 2 2028-12-16 Variable 9.45992000 N N N N N N Univision Communications, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc. 914906AZ5 1750000.00000000 PA USD 1753909.03000000 0.177969730534 Long DBT CORP US Y 2 2031-07-31 Fixed 8.50000000 N N N N N N Amneal Pharmaceuticals LLC N/A Amneal Pharmaceuticals LLC, First Lien Term Loan 03167DAQ7 3028291.67830000 PA USD 3059837.39000000 0.310482714018 Long LON CORP US N 2 2028-05-04 Variable 10.34544000 N N N N N N GrafTech Finance, Inc. 1Z010BU876CF2HDBIN43 GrafTech Finance, Inc. 384311AA4 220000.00000000 PA USD 146952.43000000 0.014911311773 Long DBT CORP US Y 2 2028-12-15 Fixed 4.62500000 N N N N N N VS Buyer LLC N/A VS Buyer LLC, First Lien 2024 Initial Term Loan 91834WAD2 2172774.28040000 PA USD 2168248.39000000 0.220012882708 Long LON CORP US N 2 2031-04-14 Variable 8.34651000 N N N N N N LSF12 Badger Bidco LLC N/A LSF12 Badger Bidco LLC, First Lien Initial Term Loan 50221PAB8 1240625.00000000 PA USD 1238687.14000000 0.125689994606 Long LON CORP US N 2 2030-08-30 Variable 10.84544000 N N N N N N Sound Inpatient Physicians Holdings LLC N/A Sound Inpatient Physicians Holdings LLC, First Lien Tranche Term Loan A 83607JAD3 334656.70000000 PA USD 338003.27000000 0.034297303823 Long LON CORP US N 2 2028-06-28 Variable 10.36528000 N N N N N N Acuris Finance U.S., Inc. N/A Acuris Finance U.S., Inc., First Lien Initial Dollar Term Loan 00510DAB0 1409248.07440000 PA USD 1402789.49000000 0.142341514446 Long LON CORP US N 2 2028-02-16 Variable 9.48458000 N N N N N N Surf Holdings LLC N/A Surf Holdings LLC, First Lien Dollar Tranche Term Loan 86875TAB3 1964365.10060000 PA USD 1967557.19000000 0.199648680134 Long LON CORP US N 2 2027-03-05 Variable 8.53439000 N N N N N N Chariot Buyer LLC N/A Chariot Buyer LLC, First Lien Term Loan 15963CAD8 1990000.00000000 PA USD 1986268.75000000 0.201547348328 Long LON CORP US N 2 2028-11-03 Variable 8.34544000 N N N N N N Indy U.S. Bidco LLC N/A Indy U.S. Bidco LLC, First Lien Facility Tranche Term Loan B1 45674PAF1 1447725.00990000 PA USD 1425104.31000000 0.144605806627 Long LON CORP US N 2 2028-03-06 Variable 8.70992000 N N N N N N Whatabrands LLC N/A Whatabrands LLC, First Lien 2024 Facility Term Loan B 96244UAH0 3781279.20850000 PA USD 3773402.80000000 0.382888432652 Long LON CORP US N 2 2028-08-03 Variable 7.59544000 N N N N N N OVG Business Services LLC N/A OVG Business Services LLC, First Lien Initial Term Loan 62955EAJ3 1875000.00000000 PA USD 1863281.25000000 0.189067765944 Long LON CORP US N 2 2031-06-25 Variable 7.84544000 N N N N N N Boost Newco Borrower LLC N/A Boost Newco Borrower LLC, First Lien USD Term Loan B1 92943EAE6 5000000.00000000 PA USD 4996430.00000000 0.506989407958 Long LON CORP US N 2 2031-01-31 Variable 7.10367000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797LK1 1600000.00000000 PA USD 1600000.00000000 0.162352530253 Long STIV UST US N 2 2024-10-01 None 0.00000000 N N N N N N Padagis LLC N/A Padagis LLC, First Lien Term Loan B 69526PAC8 2129411.76000000 PA USD 1980352.94000000 0.200947069127 Long LON CORP US N 2 2028-07-06 Variable 10.32587000 N N N N N N United Airlines, Inc. K1OQBWM7XEOO08LDNP29 United Airlines, Inc. 90932LAH0 600000.00000000 PA USD 579635.43000000 0.058815799178 Long DBT CORP US Y 2 2029-04-15 Fixed 4.62500000 N N N N N N Alterra Mountain Co. 549300C5O4FSVNUEI843 Alterra Mountain Co., First Lien Term Loan 46124CAP2 1200000.00000000 PA USD 1204500.00000000 0.122221014181 Long LON CORP US N 2 2030-05-31 Variable 8.34544000 N N N N N N Lightning Power LLC 254900BWCHJ03XRL8K59 Lightning Power LLC 53229KAA7 980000.00000000 PA USD 1030506.26000000 0.104565811720 Long DBT CORP US Y 2 2032-08-15 Fixed 7.25000000 N N N N N N AllSpring Buyer LLC N/A AllSpring Buyer LLC, First Lien Initial Term Loan 98922AAC0 1556854.79460000 PA USD 1549070.52000000 0.157184699039 Long LON CORP US N 2 2028-11-01 Variable 8.13661000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797LS4 5000000.00000000 PA USD 4995447.55000000 0.506889718431 Long STIV UST US N 2 2024-10-08 None 0.00000000 N N N N N N Belron Finance U.S. LLC N/A Belron Finance U.S. LLC, First Lien Dollar Second Incremental Term Loan 08078UAE3 1193750.00000000 PA USD 1192257.81000000 0.120978795104 Long LON CORP US N 2 2026-10-30 Variable 7.76698000 N N N N N N Envision Financial Technologies, Inc. N/A Envision Financial Technologies, Inc. N/A 21582.00000000 NS USD 226611.00000000 0.022994293270 Long EC CORP US N 3 N N N Leslie's Poolmart, Inc. 549300MZRH1GJYUMRM83 Leslie's Poolmart, Inc., First Lien Term Loan B 52706YAJ2 1181937.98450000 PA USD 1144756.58000000 0.116158829554 Long LON CORP US N 2 2028-03-09 Variable 7.70992000 N N N N N N Thunder Generation Funding LLC N/A Thunder Generation Funding LLC, First Lien Term Loan B N/A 1500000.00000000 PA USD 1498125.00000000 0.152015240241 Long LON CORP US N 2 2031-09-26 Variable 0.00000000 N N N N N N Nouryon Finance BV 549300K7VB5G6LULFT41 Nouryon Finance BV, First Lien Term Loan B N8232NAJ6 3387710.21830000 PA USD 3387710.22000000 0.343752078738 Long LON CORP NL N 2 2028-04-03 Variable 8.62841000 N N N N N N RealPage, Inc. 5493001RSFZX4122A604 RealPage, Inc., First Lien Initial Term Loan 75605VAD4 1614130.20100000 PA USD 1565706.29000000 0.158872736134 Long LON CORP US N 2 2028-04-24 Variable 7.95992000 N N N N N N Avis Budget Car Rental LLC N/A Avis Budget Car Rental LLC, First Lien New Tranche Term Loan C 05377JAT9 1492481.20150000 PA USD 1491361.84000000 0.151328980154 Long LON CORP US N 2 2029-03-16 Variable 7.94544000 N N N N N N Palmer Square CLO Ltd. N/A Palmer Square CLO Ltd., Series 2021-4A, Class D 69702EAG0 1575000.00000000 PA USD 1581706.35000000 0.160496267525 Long ABS-CBDO CORP KY Y 2 2034-10-15 Floating 8.51298120 N N N N N N Endurance International Group, Inc. N/A Endurance International Group, Inc., First Lien Initial Term Loan 29279UAB2 5767374.46360000 PA USD 5076489.14000000 0.515113035426 Long LON CORP US N 2 2028-02-10 Variable 8.80983000 N N N N N N LABL, Inc. 5493004FUZN8R6Y3VB98 LABL, Inc., First Lien Term Loan B 50168EAN2 1458750.00000000 PA USD 1423922.34000000 0.144485871739 Long LON CORP US N 2 2028-10-30 Variable 9.94544000 N N N N N N TransUnion LLC N/A TransUnion LLC, First Lien 2024 Replacement Term Loan B7 89334GBE3 2490337.21130000 PA USD 2487859.33000000 0.252443910712 Long LON CORP US N 2 2028-12-01 Variable 6.84544000 N N N N N N Sotheby's N/A Sotheby's, First Lien 2021 Second Refinancing Term Loan 08883CAE8 2222424.06000000 PA USD 2187420.88000000 0.221958321623 Long LON CORP US N 2 2027-01-15 Variable 10.06298000 N N N N N N Allied Universal Holdco LLC 98450038B4549046D794 Allied Universal Holdco LLC 019576AD9 950000.00000000 PA USD 970412.65000000 0.098468093198 Long DBT CORP US Y 2 2031-02-15 Fixed 7.87500000 N N N N N N ADMI Corp. 5493008U1LYGMQWO7N12 ADMI Corp., First Lien Amendment No. 5 Term Loan 00709LAJ6 727500.00000000 PA USD 710676.56000000 0.072112586067 Long LON CORP US N 2 2027-12-23 Variable 8.70992000 N N N N N N Plano Holdco, Inc. N/A Plano Holdco, Inc., First Lien Term Loan N/A 1200000.00000000 PA USD 1200000.00000000 0.121764397689 Long LON CORP US N 2 2031-08-15 Variable 8.54004000 N N N N N N Jane Street Group N/A Jane Street Group 47077WAC2 1500000.00000000 PA USD 1589340.00000000 0.161270856520 Long DBT CORP US Y 2 2031-04-30 Fixed 7.12500000 N N N N N N GTCR Everest Borrower LLC N/A GTCR Everest Borrower LLC, First Lien Term Loan B 36269YAC9 750000.00000000 PA USD 741562.50000000 0.075246592634 Long LON CORP US N 2 2031-09-05 Variable 7.60367000 N N N N N N Asurion LLC 549300KNQVXGIOXWK278 Asurion LLC, First Lien New Term Loan B9 04649VAY6 482500.00000000 PA USD 475090.25000000 0.048207565116 Long LON CORP US N 2 2027-07-30 Variable 8.20992000 N N N N N N Olympus Water U.S. Holding Corp. 549300YU2GGVCBN3MY89 Olympus Water U.S. Holding Corp., First Lien Dollar Term Loan B5 68163YAG0 1127408.78410000 PA USD 1126704.15000000 0.114327043499 Long LON CORP US N 2 2031-06-20 Variable 8.10367000 N N N N N N Cloud Software Group, Inc. N/A Cloud Software Group, Inc., First Lien Third Amendment Term Loan 88632NBB5 500000.00000000 PA USD 500982.01000000 0.050834810584 Long LON CORP US N 2 2031-03-21 Variable 9.10392000 N N N N N N Galaxy 32 CLO Ltd. 391200J1K1EF617W8568 Galaxy 32 CLO Ltd., Series 2023-32A, Class B 362943AC6 1000000.00000000 PA USD 1001197.00000000 0.101591791394 Long ABS-CBDO CORP KY Y 2 2036-10-20 Floating 7.58201040 N N N N N N Flutter Entertainment plc 635400VFWPBIKJK6GN11 Flutter Entertainment plc, First Lien Term Loan B N3313EAB6 992500.00000000 PA USD 992003.75000000 0.100658949270 Long LON CORP IE N 2 2030-11-25 Variable 6.60367000 N N N N N N ECI Macola/Max Holding LLC N/A ECI Macola/Max Holding LLC, First Lien 2024 Extended Term Loan 26825UAL5 1930162.50000000 PA USD 1933264.27000000 0.196168966176 Long LON CORP US N 2 2030-05-09 Variable 8.35367000 N N N N N N Rocket Software, Inc. 549300PVG26ISP5X1556 Rocket Software, Inc., First Lien Term Loan 77313DAW1 2302492.50510000 PA USD 2302812.55000000 0.233667152619 Long LON CORP US N 2 2028-11-28 Variable 9.59544000 N N N N N N Tronox Finance LLC 549300LMZ1DX1PWSP524 Tronox Finance LLC, First Lien Facility Term Loan B 89705DAG7 1219315.98000000 PA USD 1218300.29000000 0.123621334181 Long LON CORP US N 2 2028-03-10 Variable 8.05659416 N N N N N N Grant Thornton LLP N/A Grant Thornton LLP, First Lien Term Loan B N/A 750000.00000000 PA USD 750937.50000000 0.076197876991 Long LON CORP US N 2 2031-06-02 Variable 8.49674000 N N N N N N AAdvantage Loyalty IP Ltd. N/A AAdvantage Loyalty IP Ltd., First Lien Initial Term Loan 02376CBJ3 3050000.00000000 PA USD 3131450.25000000 0.317749294656 Long LON CORP US N 2 2028-04-20 Variable 10.29362000 N N N N N N Vizient, Inc. N/A Vizient, Inc., First Lien Term Loan B8 92855LAR7 400000.00000000 PA USD 399750.00000000 0.040562764980 Long LON CORP US N 2 2031-08-01 Variable 6.84544000 N N N N N N Colorado Buyer, Inc. N/A Colorado Buyer, Inc., First Lien Initial Term Loan 19633FAD3 327646.26000000 PA USD 327.65000000 0.000033246754 Long LON CORP US N 3 2024-05-01 Variable 10.50000000 Y N N N N N 8th Avenue Food & Provisions, Inc. 549300PBCACU45IZ2V05 8th Avenue Food & Provisions, Inc., First Lien Term Loan 28253PAC3 1068536.66520000 PA USD 1032473.55000000 0.104765433288 Long LON CORP US N 2 2025-10-01 Variable 8.70992000 N N N N N N Medallion Midland Acquisition LP N/A Medallion Midland Acquisition LP, First Lien 2023 Repricing Term Loan 58404BAF2 1548120.56200000 PA USD 1548120.56000000 0.157088306283 Long LON CORP US N 2 2028-10-18 Variable 8.31353000 N N N N N N Acrisure LLC N/A Acrisure LLC, First Lien Term Loan B6 00488PAS4 2641693.00550000 PA USD 2613294.81000000 0.265171890438 Long LON CORP US N 2 2030-11-06 Variable 8.21086000 N N N N N N Aramark Services, Inc. N/A Aramark Services, Inc., First Lien Term Loan B7 03852JAU5 1402972.20000000 PA USD 1403673.69000000 0.142431234513 Long LON CORP US N 2 2028-04-06 Variable 6.84544000 N N N N N N Surgery Center Holdings, Inc. 54930054EVI5HWPPW113 Surgery Center Holdings, Inc., First Lien 2024 Refinancing Term Loan 86880NBB8 1496240.60150000 PA USD 1496240.60000000 0.151824029548 Long LON CORP US N 2 2030-12-19 Variable 7.66991000 N N N N N N CHG Healthcare Services, Inc. 54930016Y1HPAVB9PZ54 CHG Healthcare Services, Inc., First Lien Initial Term Loan 12541HAT0 3253301.10990000 PA USD 3252487.78000000 0.330031012938 Long LON CORP US N 2 2028-09-29 Variable 8.45992000 N N N N N N Wilsonart LLC 549300SAZRUMYKDJBY14 Wilsonart LLC 97246JAA6 2000000.00000000 PA USD 2000601.84000000 0.203001731720 Long DBT CORP US Y 2 2032-08-15 Fixed 11.00000000 N N N N N N Acadia Healthcare Co., Inc. 5493005CW985Y9D0NC11 Acadia Healthcare Co., Inc. 00404AAP4 120000.00000000 PA USD 114274.83000000 0.011595504871 Long DBT CORP US Y 2 2029-04-15 Fixed 5.00000000 N N N N N N Dun & Bradstreet Corp. (The) RI37BMPWE56BCJ747E14 Dun & Bradstreet Corp. (The), First Lien Term Loan B 26483NAV2 3072206.45840000 PA USD 3069324.73000000 0.311445397552 Long LON CORP US N 2 2029-01-18 Variable 7.60528000 N N N N N N Star Holding LLC N/A Star Holding LLC, First Lien Term Loan B 85512FAC2 933333.32000000 PA USD 910194.12000000 0.092357699002 Long LON CORP US N 2 2031-07-18 Variable 9.34544000 N N N N N N LTI Holdings, Inc. N/A LTI Holdings, Inc., First Lien 2024 Term Loan 50217UBF3 2400000.00000000 PA USD 2358600.00000000 0.239327923659 Long LON CORP US N 2 2029-07-29 Variable 9.59544000 N N N N N N EMRLD Borrower LP N/A EMRLD Borrower LP 26873CAB8 990000.00000000 PA USD 1032428.43000000 0.104760854947 Long DBT CORP US Y 2 2031-07-15 Fixed 6.75000000 N N N N N N WR Grace Holdings LLC 549300WNOVFRGYOAEB12 WR Grace Holdings LLC 92943GAA9 300000.00000000 PA USD 281814.96000000 0.028595857387 Long DBT CORP US Y 2 2029-08-15 Fixed 5.62500000 N N N N N N Oryx Midstream Services Permian Basin LLC 254900YYHRDANYFAHC43 Oryx Midstream Services Permian Basin LLC, First Lien Initial Term Loan 68764JAH4 1945455.24890000 PA USD 1945282.10000000 0.197388419369 Long LON CORP US N 2 2028-10-05 Variable 8.22525000 N N N N N N Alliant Holdings Intermediate LLC N/A Alliant Holdings Intermediate LLC, First Lien Initial Term Loan 01881UAM7 1598037.92000000 PA USD 1588686.20000000 0.161204515217 Long LON CORP US N 2 2031-09-19 Variable 7.96482000 N N N N N N Apria Healthcare Group, Inc. N/A Apria Healthcare Group, Inc., First Lien Initial Term Loan B1 69073LAD2 852474.59680000 PA USD 850876.21000000 0.086338691016 Long LON CORP US N 2 2029-03-29 Variable 8.69544000 N N N N N N Koppers, Inc. LTO4ZL5EBDR1NE6FGJ36 Koppers, Inc., First Lien Incremental Tranche Term Loan B 50060JAG5 3456424.79560000 PA USD 3469386.39000000 0.352039786776 Long LON CORP US N 2 2030-04-10 Variable 8.10000000 N N N N N N DT Midstream, Inc. N/A DT Midstream, Inc., First Lien Initial Term Loan 23345NAB1 319462.40000000 PA USD 320021.46000000 0.032472683603 Long LON CORP US N 2 2028-06-26 Variable 7.36122000 N N N N N N AIMCO CLO 16 Ltd. N/A AIMCO CLO 16 Ltd., Series 2021-16A, Class D2R 00901FAU0 1937500.00000000 PA USD 1898379.94000000 0.192629241650 Long ABS-CBDO CORP KY Y 2 2037-07-17 Floating 9.48579840 N N N N N N Dynasty Acquisition Co., Inc. 549300L1RCRPOAUCB870 Dynasty Acquisition Co., Inc., First Lien 2024 Specified Refinancing Term Loan B1 26812CAK2 2717989.79020000 PA USD 2718606.77000000 0.275857929920 Long LON CORP US N 2 2028-08-24 Variable 8.74674000 N N N N N N AppLovin Corp. N/A AppLovin Corp., First Lien Amendment No. 1 10-I Replacement Term Loan 03835EAJ3 1173105.00000000 PA USD 1172895.01000000 0.119014045371 Long LON CORP US N 2 2028-10-25 Variable 7.34544000 N N N N N N OHA Credit Funding 16 Ltd. 254900W0AHSZOPI4ZP08 OHA Credit Funding 16 Ltd., Series 2023-16A, Class B 676924AE3 1000000.00000000 PA USD 1010542.00000000 0.102540031641 Long ABS-CBDO CORP BM Y 2 2036-10-20 Floating 7.53201000 N N N N N N TricorBraun Holdings, Inc. N/A TricorBraun Holdings, Inc., First Lien Closing Date Initial Term Loan 00184NAB3 2582152.32020000 PA USD 2529432.52000000 0.256662356079 Long LON CORP US N 2 2028-03-03 Variable 8.20992000 N N N N N N CP Atlas Buyer, Inc. 2549006ZZ07G0NDDCR36 CP Atlas Buyer, Inc., First Lien Term Loan B 12658HAG7 2281098.74620000 PA USD 2247833.48000000 0.228088408166 Long LON CORP US N 2 2027-11-23 Variable 8.69544000 N N N N N N Acrisure LLC N/A Acrisure LLC 00489LAM5 1050000.00000000 PA USD 1096370.10000000 0.111249037393 Long DBT CORP US Y 2 2029-06-15 Fixed 8.50000000 N N N N N N BrightView Landscapes LLC N/A BrightView Landscapes LLC, First Lien Term Loan B 10801XAK3 666321.33000000 PA USD 664655.53000000 0.067442816901 Long LON CORP US N 2 2029-04-20 Variable 7.75211000 N N N N N N Carestream Equity N/A Carestream Equity N/A 3656.00000000 NS USD 36.56000000 0.000003709755 Long EC CORP US N 3 N N N Focus Financial Partners LLC 5493007L0E0VKRC2CP39 Focus Financial Partners LLC 34417VAA5 1500000.00000000 PA USD 1514319.00000000 0.153658450787 Long DBT CORP US Y 2 2031-09-15 Fixed 6.75000000 N N N N N N Rexnord LLC N/A Rexnord LLC, First Lien Term Loan B 76168JAS5 742397.73000000 PA USD 746264.14000000 0.075723669603 Long LON CORP US N 2 2028-10-04 Variable 7.36122000 N N N N N N Cornerstone Building Brands, Inc. N/A Cornerstone Building Brands, Inc., First Lien Initial Term Loan 21925FAB0 1179000.00000000 PA USD 1184158.13000000 0.120156917890 Long LON CORP US N 2 2028-08-01 Variable 10.72151000 N N N N N N New Topco Shares N/A New Topco Shares, Class A N/A 405109.05000000 NS USD 0.00000000 0.000000 Long EC CORP US N 3 N N N Empower CLO Ltd. N/A Empower CLO Ltd., Series 2023-2A, Class B 29247BAG2 1250000.00000000 PA USD 1268058.75000000 0.128670341607 Long ABS-CBDO CORP KY Y 2 2036-07-15 Floating 8.05137120 N N N N N N Hamilton Projects Acquiror LLC N/A Hamilton Projects Acquiror LLC, First Lien Term Loan 40444KAB1 2671875.00140000 PA USD 2688157.41000000 0.272768223270 Long LON CORP US N 2 2031-05-30 Variable 8.59544000 N N N N N N SBA Senior Finance II LLC N/A SBA Senior Finance II LLC, First Lien Term Loan B 78404XAJ4 1726021.87160000 PA USD 1725630.06000000 0.175100254076 Long LON CORP US N 2 2031-01-27 Variable 6.84544000 N N N N N N Light & Wonder International, Inc. RLTHESQ0RNFQJWPBJN60 Light & Wonder International, Inc., First Lien Term Loan B2 80875AAW1 3684515.62000000 PA USD 3670698.69000000 0.372467012574 Long LON CORP US N 2 2029-04-16 Variable 7.33273000 N N N N N N Raptor Acquisition Corp. 549300FU60SSFLTE0M84 Raptor Acquisition Corp., First Lien Term Loan B C4111RAE5 3211683.91000000 PA USD 3175552.47000000 0.322224361535 Long LON CORP US N 2 2026-11-01 Variable 9.01488000 N N N N N N Polaris Newco LLC 254900LEPDAG7EDOA064 Polaris Newco LLC, First Lien Dollar Term Loan 73108RAB4 1350635.09350000 PA USD 1327562.19000000 0.134708175384 Long LON CORP US N 2 2028-06-02 Variable 9.51372000 N N N N N N Cornerstone Building Brands, Inc. N/A Cornerstone Building Brands, Inc., First Lien New Term Loan B 72431HAD2 2431715.24000000 PA USD 2378305.05000000 0.241327401613 Long LON CORP US N 2 2028-04-12 Variable 8.44651000 N N N N N N Informatica LLC 5493007SV33RZV7RPS40 Informatica LLC, First Lien Term Loan B 45673YAL0 1901151.50260000 PA USD 1897191.40000000 0.192508640102 Long LON CORP US N 2 2028-10-27 Variable 7.09544000 N N N N N N Lonza Group AG N/A Lonza Group AG, First Lien USD Facility Term Loan B L4780EAC8 2641581.60480000 PA USD 2465752.65000000 0.250200738566 Long LON CORP LU N 2 2028-07-03 Variable 8.62867000 N N N N N N LifePoint Health, Inc. N/A LifePoint Health, Inc., First Lien Term Loan B N/A 2000000.00000000 PA USD 1993000.00000000 0.202230370496 Long LON CORP US N 2 2031-05-16 Variable 8.19705000 N N N N N N Sound Inpatient Physicians Holdings LLC N/A Sound Inpatient Physicians Holdings LLC, First Lien PIK Term Loan B 83607JAE1 410465.82000000 PA USD 362236.09000000 0.036756216100 Long LON CORP US N 2 2028-06-28 Variable 8.36528000 N N N N N N Frontier Communications Holdings LLC N/A Frontier Communications Holdings LLC, First Lien 2024 Refinancing Term Loan 35906EAT7 1700000.00000000 PA USD 1712750.00000000 0.173793310119 Long LON CORP US N 2 2031-07-01 Variable 8.76295000 N N N N N N Lightning Power LLC N/A Lightning Power LLC, First Lien Initial Term Loan B 53229LAB3 3000000.00000000 PA USD 3005001.00000000 0.304918447352 Long LON CORP US N 2 2031-08-18 Variable 8.34553000 N N N N N N U.S. Anesthesia Partners, Inc. 549300J001GMNRO7SQ51 U.S. Anesthesia Partners, Inc., First Lien Initial Term Loan 90350HAL3 1915330.46130000 PA USD 1873731.40000000 0.190128146128 Long LON CORP US N 2 2028-10-02 Variable 9.56503000 N N N N N N AZZ, Inc. 549300HD1X2NFLWPYC83 AZZ, Inc., First Lien Initial Term Loan 00247NAG7 1621666.41000000 PA USD 1627747.66000000 0.165168094509 Long LON CORP US N 2 2029-05-14 Variable 7.34544000 N N N N N N Radiate Holdco LLC 5493000GQJ5RDX9DNJ71 Radiate Holdco LLC, First Lien Amendment No. 6 Term Loan 75025KAH1 2007861.19310000 PA USD 1718871.74000000 0.174414485106 Long LON CORP US N 2 2026-09-25 Variable 8.20992000 N N N N N N Avaya, Inc. N/A Avaya, Inc., First Lien Exit Term Loan 05349UBN1 126204.36900000 PA USD 110954.72000000 0.011258612209 Long LON CORP US N 2 2028-08-01 Variable 12.34544000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797LC9 2200000.00000000 PA USD 2189377.87000000 0.222156898046 Long STIV UST US N 2 2024-11-07 None 0.00000000 N N N N N N Masterbrand, Inc. 549300E0Y4BR5Z9RDZ64 Masterbrand, Inc. 57638PAA2 1500000.00000000 PA USD 1571755.50000000 0.159486551477 Long DBT CORP US Y 2 2032-07-15 Fixed 7.00000000 N N N N N N Gates Global LLC 549300XI79MQJV13DW27 Gates Global LLC, First Lien Initial Dollar Term Loan B4 36740UAX0 1965000.00000000 PA USD 1966340.13000000 0.199525184652 Long LON CORP US N 2 2029-11-16 Variable 7.09544000 N N N N N N Husky Injection Molding Systems Ltd. N/A Husky Injection Molding Systems Ltd., First Lien Amendment No. 5 Refinancing Term Loan C8856UAE8 4429378.99950000 PA USD 4404463.74000000 0.446922395373 Long LON CORP CA N 2 2029-02-15 Variable 10.32594000 N N N N N N McAfee Corp. 2549009UKR8UEZYVCR93 McAfee Corp., First Lien Tranche Term Loan B1 57906HAE7 8900269.12110000 PA USD 8852990.89000000 0.898315919562 Long LON CORP US N 2 2029-03-01 Variable 8.45055000 N N N N N N KFC Holding Co. N/A KFC Holding Co., First Lien 2021 Term Loan B 72584DAF1 1423428.80060000 PA USD 1428054.94000000 0.144905208031 Long LON CORP US N 2 2028-03-15 Variable 6.87877000 N N N N N N Potters Borrower LP N/A Potters Borrower LP, First Lien 2024 Refinancing Term Loan 73813HAD8 1010920.00000000 PA USD 1015342.78000000 0.103027168379 Long LON CORP US N 2 2027-12-14 Variable 8.59544000 N N N N N N GoGo Intermediate Holdings LLC N/A GoGo Intermediate Holdings LLC, First Lien Initial Term Loan 38046JAB0 2498292.49970000 PA USD 2345896.66000000 0.238038911539 Long LON CORP US N 2 2028-05-01 Variable 9.11122000 N N N N N N Peraton Corp. 549300EQPCK07ZW63836 Peraton Corp., First Lien Term Loan B 71360HAB3 3325266.14760000 PA USD 3192947.16000000 0.323989406494 Long LON CORP US N 2 2028-02-01 Variable 8.69544000 N N N N N N Cloud Software Group, Inc. 04EEB871XLHVNY4RZJ65 Cloud Software Group, Inc., First Lien Initial Dollar Facility Term Loan B 88632NBD1 4076241.50740000 PA USD 4056785.61000000 0.411643380299 Long LON CORP US N 2 2029-03-30 Variable 9.33458040 N N N N N N American Auto Auction Group LLC N/A American Auto Auction Group LLC, First Lien Tranche Term Loan B 02403MAM2 2628734.65740000 PA USD 2637496.23000000 0.267627616546 Long LON CORP US N 2 2027-12-30 Variable 9.75367000 N N N N N N Crosby U.S. Acquisition Corp. 549300V5HSWHDNVOWE35 Crosby U.S. Acquisition Corp., First Lien Amendment No.3 Replacement Term Loan 22739PAN6 597000.00000000 PA USD 597853.11000000 0.060664353205 Long LON CORP US N 2 2029-08-16 Variable 9.24674000 N N N N N N Element Materials Technology Group N/A Element Materials Technology Group, First Lien Initial U.S. Dollar Term Loan B 284375LE0 1684449.51000000 PA USD 1685151.93000000 0.170992924810 Long LON CORP US N 2 2029-07-06 Variable 9.68458000 N N N N N N J&J Ventures Gaming LLC 549300BYPH8FLKS5ZS70 J&J Ventures Gaming LLC, First Lien Initial Term Loan 46604BAB4 3880000.00000000 PA USD 3868220.32000000 0.392509597830 Long LON CORP US N 2 2028-04-26 Variable 8.95992000 N N N N N N Journey Personal Care Corp. 5493000G9KGROJ41TP46 Journey Personal Care Corp., First Lien Initial Term Loan 48114NAB7 4944383.53550000 PA USD 4933258.67000000 0.500579392167 Long LON CORP US N 2 2028-03-01 Variable 9.20992000 N N N N N N athenahealth Group, Inc. 254900AA3KZN4Q7A5Z33 athenahealth Group, Inc., First Lien Initial Term Loan 04686RAB9 7341872.68150000 PA USD 7283365.30000000 0.739045490758 Long LON CORP US N 2 2029-02-15 Variable 8.49674000 N N N N N N Engineering Research & Consulting LLC N/A Engineering Research & Consulting LLC, First Lien Term Loan B 29288KAE7 1600000.00000000 PA USD 1576000.00000000 0.159917242299 Long LON CORP US N 2 2031-08-15 Variable 10.06197000 N N N N N N Marriott Ownership Resorts, Inc. BW4532OH033VURR0IT68 Marriott Ownership Resorts, Inc., First Lien 2024 Incremental Term Loan 57163KAJ7 1310480.23840000 PA USD 1306112.41000000 0.132531659099 Long LON CORP US N 2 2031-04-01 Variable 7.09544000 N N N N N N Innophos Holdings, Inc. N/A Innophos Holdings, Inc., First Lien Initial Term Loan 45778EAG9 2427291.80300000 PA USD 2433966.86000000 0.246975423920 Long LON CORP US N 2 2027-02-07 Variable 8.70992000 N N N N N N UFC Holdings LLC 549300JEOTH7UMZ3C491 UFC Holdings LLC, First Lien Term Loan B3 90266UAJ2 3937841.04170000 PA USD 3939809.96000000 0.399773822326 Long LON CORP US N 2 2026-04-29 Variable 8.29082000 N N N N N N SCIL IV LLC N/A SCIL IV LLC 78397UAA8 350000.00000000 PA USD 345653.25000000 0.035073549829 Long DBT CORP US Y 2 2026-11-01 Fixed 5.37500000 N N N N N N Flint Group Topco Ltd. N/A Flint Group Topco Ltd., First Lien USD Facility Term Loan B N/A 380824.49640000 PA USD 333935.48000000 0.033884543824 Long LON CORP JE N 2 2027-12-31 Variable 12.54460000 N N N N N N PetSmart LLC N/A PetSmart LLC, First Lien Initial Term Loan 71677HAL9 2601622.18870000 PA USD 2576071.66000000 0.261394845071 Long LON CORP US N 2 2028-02-11 Variable 8.69544000 N N N N N N Ryan LLC N/A Ryan LLC, First Lien Delayed Term Loan N/A 85714.29000000 PA USD 84642.86000000 0.008588739055 Long LON CORP US N 2 2030-11-14 Variable 0.00000000 N Y N N N N Sinclair Television Group, Inc. N/A Sinclair Television Group, Inc., First Lien Term Loan B4 82925BAG0 1456275.51020000 PA USD 1058348.23000000 0.107390945643 Long LON CORP US N 2 2029-04-23 Variable 8.69544000 N N N N N N Filtration Group Corp. 549300ZA0D9WN5ECE978 Filtration Group Corp., First Lien 2021 Incremental Term Loan 31732FAR7 3469090.41510000 PA USD 3467789.51000000 0.351877750833 Long LON CORP US N 2 2028-10-23 Variable 8.45992000 N N N N N N Oceankey U.S. II Corp. N/A Oceankey U.S. II Corp., First Lien Initial Term Loan 67526KAC3 1957367.76830000 PA USD 1955737.28000000 0.198449309949 Long LON CORP US N 2 2028-12-15 Variable 8.44544000 N N N N N N ProAmpac PG Borrower LLC N/A ProAmpac PG Borrower LLC, First Lien 2024 Term Loan B 74274NAL7 3644187.50000000 PA USD 3648742.73000000 0.370239134036 Long LON CORP US N 2 2028-09-15 Variable 9.22872566 N N N N N N US Foods, Inc. 5493000JOOFAOUY1JZ87 US Foods, Inc. 90290MAH4 250000.00000000 PA USD 264586.25000000 0.026847654473 Long DBT CORP US Y 2 2032-01-15 Fixed 7.25000000 N N N N N N Blackhawk Network Holdings, Inc. 549300LFU3K8UIR03132 Blackhawk Network Holdings, Inc., First Lien Term Loan 09238FAL5 2493750.00000000 PA USD 2502582.86000000 0.253937912180 Long LON CORP US N 2 2029-03-12 Variable 9.84544000 N N N N N N Clarivate Science Holdings Corp. N/A Clarivate Science Holdings Corp. 18064PAD1 300000.00000000 PA USD 288551.97000000 0.029279464024 Long DBT CORP US Y 2 2029-07-01 Fixed 4.87500000 N N N N N N Russell Investments U.S. Institutional Holdco, Inc. N/A Russell Investments U.S. Institutional Holdco, Inc., First Lien 2027 Commitment Term Loan 78249LAE0 4442498.97910000 PA USD 3836097.87000000 0.389250122183 Long LON CORP US N 2 2027-05-28 Variable 10.25211000 N N N N N N SWF Holdings I Corp. N/A SWF Holdings I Corp., First Lien Initial Term Loan 78489HAB4 2047500.00000000 PA USD 1645166.25000000 0.166935564609 Long LON CORP US N 2 2028-10-06 Variable 8.95992000 N N N N N N Ontario Gaming GTA LP 894500EC9KLZLOC3V025 Ontario Gaming GTA LP, First Lien Term Loan B C6907UAB7 2315833.33650000 PA USD 2312216.00000000 0.234621323807 Long LON CORP US N 2 2030-08-01 Variable 8.89317000 N N N N N N Agiliti Health, Inc. N/A Agiliti Health, Inc., First Lien Term Loan 00847YAE2 4230020.69980000 PA USD 4113695.13000000 0.417418008153 Long LON CORP US N 2 2030-05-01 Variable 8.33156000 N N N N N N Pediatric Associates Holding Co. LLC N/A Pediatric Associates Holding Co. LLC, First Lien Initial Term Loan 70533DAF7 1560941.04710000 PA USD 1515331.91000000 0.153761231101 Long LON CORP US N 2 2028-12-29 Variable 8.76372000 N N N N N N Scientific Games Holdings LP N/A Scientific Games Holdings LP, First Lien 2024 Refinancing Dollar Term Loan 80875CAE7 2704807.71000000 PA USD 2687902.66000000 0.272742373703 Long LON CORP US N 2 2029-04-04 Variable 8.31817000 N N N N N N ICU Medical, Inc. N/A ICU Medical, Inc., First Lien Tranche Term Loan B 44931YAD9 1825489.91660000 PA USD 1822638.50000000 0.184943732632 Long LON CORP US N 2 2029-01-08 Variable 7.25367000 N N N N N N Gen Digital, Inc. YF6ZV0M6AU4FY94MK914 Gen Digital, Inc. 668771AK4 560000.00000000 PA USD 575385.65000000 0.058384572593 Long DBT CORP US Y 2 2027-09-30 Fixed 6.75000000 N N N N N N Electron Bidco, Inc. N/A Electron Bidco, Inc., First Lien Term Loan 28542CAC3 3579887.20200000 PA USD 3582124.63000000 0.363479373351 Long LON CORP US N 2 2028-11-01 Variable 7.95992000 N N N N N N Castle U.S. Holding Corp. N/A Castle U.S. Holding Corp., First Lien Initial Dollar Term Loan 14852DAC5 266897.04080000 PA USD 176352.22000000 0.017894518207 Long LON CORP US N 2 2027-01-29 Variable 9.06879000 N N N N N N Aimbridge Acquisition Co., Inc. N/A Aimbridge Acquisition Co., Inc., First Lien Term Loan B 00900YAD8 3386373.42000000 PA USD 3294094.74000000 0.334252884958 Long LON CORP US N 2 2026-02-02 Variable 8.70992000 N N N N N N Herc Holdings, Inc. 549300TP80QLITMSBP82 Herc Holdings, Inc. 42704LAA2 850000.00000000 PA USD 848955.18000000 0.086143763465 Long DBT CORP US Y 2 2027-07-15 Fixed 5.50000000 N N N N N N Asplundh Tree Expert LLC N/A Asplundh Tree Expert LLC, First Lien 2021 Refinancing Term Loan 04538FAD1 2504299.84080000 PA USD 2504690.51000000 0.254151776124 Long LON CORP US N 2 2027-09-06 Variable 6.69544000 N N N N N N Serta Simmons Bedding LLC 549300M4F4V4WFPNI116 Serta Simmons Bedding LLC N/A 735.00000000 NS USD 4042.50000000 0.000410193814 Long EC CORP US N 3 N N N Pro Mach Group, Inc. N/A Pro Mach Group, Inc., First Lien Term Loan B 74273JAJ2 3016809.67000000 PA USD 3025060.64000000 0.306953905670 Long LON CORP US N 2 2028-08-31 Variable 8.34544000 N N N N N N Pactiv Evergreen Group Holdings, Inc. N/A Pactiv Evergreen Group Holdings, Inc., First Lien Term Loan B4 69526MAC5 460623.35520000 PA USD 460143.39000000 0.046690902278 Long LON CORP US N 2 2028-09-25 Variable 7.34544000 N N N N N N Vertiv Group Corp. N/A Vertiv Group Corp., First Lien Term Loan B 92537EAE8 2908650.37170000 PA USD 2912286.18000000 0.295510643840 Long LON CORP US N 2 2027-03-02 Variable 7.20055000 N N N N N N Froneri International Ltd. N/A Froneri International Ltd., First Lien Facility Term Loan B2 G3679YAC6 1182110.53730000 PA USD 1178109.09000000 0.119543119797 Long LON CORP GB N 2 2027-01-29 Variable 7.19544000 N N N N N N Compass Power Generation LLC N/A Compass Power Generation LLC, First Lien Tranche Term Loan B2 20451VAE3 986851.39000000 PA USD 991648.47000000 0.100622898891 Long LON CORP US N 2 2029-04-14 Variable 9.61074000 N N N N N N AIMCO CLO 20 Ltd. 2549009AFNTQKXTAWE65 AIMCO CLO 20 Ltd., Series 2023-20A, Class B1 00901QAC6 1000000.00000000 PA USD 1009284.00000000 0.102412381965 Long ABS-CBDO CORP JE Y 2 2036-10-16 Floating 7.48611000 N N N N N N TransDigm, Inc. 88Q84GB3X55CF5OC7582 TransDigm, Inc. 893647BT3 500000.00000000 PA USD 528830.71000000 0.053660627402 Long DBT CORP US Y 2 2031-12-01 Fixed 7.12500000 N N N N N N Medline Borrower LP 254900QT3R363TVK6F09 Medline Borrower LP, First Lien Initial Term Loan 58503UAE3 7754566.67000000 PA USD 7754566.67000000 0.786858449932 Long LON CORP US N 2 2028-10-23 Variable 7.99674000 N N N N N N Millennium Industries Corp. N/A Millennium Industries Corp. N/A 1324.00000000 NS USD 0.00000000 0.000000 Long EC CORP US N 3 N N N Fleet Midco I Ltd. N/A Fleet Midco I Ltd., First Lien Term Loan B2 33902UAD5 3199583.33000000 PA USD 3191584.37000000 0.323851123741 Long LON CORP GB N 2 2031-02-21 Variable 7.57768000 N N N N N N Red Ventures LLC N/A Red Ventures LLC, First Lien Term Loan B4 75703UAK1 528479.66110000 PA USD 522722.93000000 0.053040868941 Long LON CORP US N 2 2030-03-01 Variable 7.84544000 N N N N N N Entain plc N/A Entain plc, First Lien Facility Term Loan B3 36270BAC6 1576063.16700000 PA USD 1575571.44000000 0.159873756174 Long LON CORP IM N 2 2029-10-31 Variable 8.01398000 N N N N N N Ardagh Metal Packaging Finance USA LLC N/A Ardagh Metal Packaging Finance USA LLC 03969YAB4 400000.00000000 PA USD 357047.09000000 0.036229686550 Long DBT CORP US Y 2 2029-09-01 Fixed 4.00000000 N N N N N N Penn National Gaming, Inc. N/A Penn National Gaming, Inc., First Lien Term Loan B 70757DAZ2 488750.00000000 PA USD 489605.31000000 0.049680413064 Long LON CORP US N 2 2029-05-03 Variable 7.69544000 N N N N N N Veritas U.S., Inc. 549300RFUWCPWS8FQ104 Veritas U.S., Inc., First Lien 2020 Dollar Term Loan B G9341JAN0 1160804.01460000 PA USD 1085559.54000000 0.110152086287 Long LON CORP US N 2 2025-09-02 Variable 9.95992000 N N N N N N Broadstreet Partners, Inc. N/A Broadstreet Partners, Inc., First Lien 2024 Term Loan B 11132VAY5 3784599.14000000 PA USD 3768276.17000000 0.382368231807 Long LON CORP US N 2 2031-06-16 Variable 8.09543880 N N N N N N PCI Gaming Authority 549300KPXAJ1LRW5LP59 PCI Gaming Authority, First Lien Facility Term Loan B 70455DAG9 2443003.30470000 PA USD 2427734.53000000 0.246343027330 Long LON CORP US N 2 2031-07-18 Variable 6.84544000 N N N N N N Advanced Drainage Systems, Inc. N/A Advanced Drainage Systems, Inc., First Lien Initial Term Loan 00769QAG8 446517.85000000 PA USD 446964.37000000 0.045353622751 Long LON CORP US N 2 2026-07-31 Variable 7.55055000 N N N N N N PECF USS Intermediate Holding III Corp. 254900DIL842DEXPYJ91 PECF USS Intermediate Holding III Corp., First Lien Initial Term Loan 69291LAB2 2437406.97000000 PA USD 1681810.81000000 0.170653900256 Long LON CORP US N 2 2028-12-15 Variable 9.76357761 N N N N N N Madison IAQ LLC 549300IXDNBXNHUPBU73 Madison IAQ LLC, First Lien Initial Term Loan 55759VAB4 2283300.00000000 PA USD 2280706.17000000 0.231424010914 Long LON CORP US N 2 2028-06-21 Variable 7.88923000 N N N N N N LABL, Inc. 5493004FUZN8R6Y3VB98 LABL, Inc. 50168QAF2 2000000.00000000 PA USD 1984715.30000000 0.201389719242 Long DBT CORP US Y 2 2031-10-01 Fixed 8.62500000 N N N N N N Park River Holdings, Inc. 254900PGY077KWCROT75 Park River Holdings, Inc., First Lien Initial Term Loan 70082HAC0 4282237.59030000 PA USD 4207833.71000000 0.426970281064 Long LON CORP US N 2 2027-12-28 Variable 8.84317000 N N N N N N GYP Holdings III Corp. N/A GYP Holdings III Corp., First Lien Term Loan B 36249VAK2 1356791.20690000 PA USD 1355943.21000000 0.137588006889 Long LON CORP US N 2 2030-05-13 Variable 7.09544000 N N N N N N MKS Instruments, Inc. N/A MKS Instruments, Inc., First Lien 2024-1 Dollar Term Loan B 55314NAX2 2213029.78610000 PA USD 2209156.98000000 0.224163890893 Long LON CORP US N 2 2029-08-17 Variable 7.16991000 N N N N N N Epicor Software Corp. N/A Epicor Software Corp., First Lien 2024 Delayed Draw Term Loan 29426NBA1 544990.07000000 PA USD 545075.63000000 0.055309004818 Long LON CORP US N 2 2031-05-22 Variable 0.00000000 N N N N N N Trident TPI Holdings, Inc. 549300TPLK304J3RNC85 Trident TPI Holdings, Inc., First Lien Initial Tranche Term Loan B6 00216EAK5 3539824.27050000 PA USD 3541834.89000000 0.359391160081 Long LON CORP US N 2 2028-09-15 Variable 8.60367000 N N N N N N Mallinckrodt plc N/A Mallinckrodt plc, First Lien Second Out Term Loan L6232UAV9 441444.36150000 PA USD 476208.10000000 0.048320993726 Long LON CORP GB N 2 2028-11-14 Variable 14.41991000 N N N N N N Spa Holdings 3 Oy N/A Spa Holdings 3 Oy, First Lien USD Facility Term Loan B N/A 772450.48450000 PA USD 770519.36000000 0.078184854815 Long LON CORP FI N 2 2028-02-04 Variable 8.61528000 N N N N N N AP Gaming I LLC N/A AP Gaming I LLC, First Lien Term Loan B 00185NAE6 2767663.01340000 PA USD 2774582.17000000 0.281537772309 Long LON CORP US N 2 2029-02-15 Variable 8.59544000 N N N N N N INEOS Finance plc 2138002D68XDR4LZCG32 INEOS Finance plc 44984WAJ6 1250000.00000000 PA USD 1306108.75000000 0.132531287717 Long DBT CORP GB Y 2 2029-04-15 Fixed 7.50000000 N N N N N N Avis Budget Car Rental LLC N/A Avis Budget Car Rental LLC 053773BH9 1500000.00000000 PA USD 1534078.50000000 0.155663453801 Long DBT CORP US Y 2 2031-02-15 Fixed 8.00000000 N N N N N N Eagle Parent Corp. N/A Eagle Parent Corp., First Lien Initial Term Loan 26972CAC6 1249696.52240000 PA USD 1182525.34000000 0.119991238148 Long LON CORP US N 2 2029-04-02 Variable 8.85367000 N N N N N N RHP Hotel Properties LP N/A RHP Hotel Properties LP 749571AF2 300000.00000000 PA USD 296339.97000000 0.030069714965 Long DBT CORP US N 2 2027-10-15 Fixed 4.75000000 N N N N N N Connect Finco SARL 2594001KNYIQ456J2792 Connect Finco SARL, First Lien First Amendment Term Loan L2000DAG9 1139893.78000000 PA USD 1131819.91000000 0.114846141362 Long LON CORP LU N 2 2026-12-11 Variable 8.34544000 N N N N N N Perrigo Investments LLC N/A Perrigo Investments LLC, First Lien Initial Term Loan B 71429TAC4 1417146.84960000 PA USD 1408880.63000000 0.142959584440 Long LON CORP IE N 2 2029-04-20 Variable 7.19544000 N N N N N N LD Holdings Group LLC N/A LD Holdings Group LLC 521088AD6 1069000.00000000 PA USD 1037042.51000000 0.105229047174 Long DBT CORP US Y 2 2027-11-01 Fixed 8.75000000 N N N N N N FCG Acquisitions, Inc. 254900BHD5AK9H7EKF91 FCG Acquisitions, Inc., First Lien Initial Term Loan 30260UAC9 2204777.09160000 PA USD 2202021.12000000 0.223439812814 Long LON CORP US N 2 2028-03-31 Variable 8.70992000 N N N N N N TransDigm, Inc. 88Q84GB3X55CF5OC7582 TransDigm, Inc., First Lien Tranche Term Loan K 89364MCB8 1388355.60930000 PA USD 1387776.67000000 0.140818158625 Long LON CORP US N 2 2030-03-22 Variable 7.35367000 N N N N N N Univision Communications, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc., First Lien 2022 Incremental Term Loan 914908BD9 659812.50000000 PA USD 648678.16000000 0.065821587872 Long LON CORP US N 2 2029-06-25 Variable 8.85367000 N N N N N N TruGreen Ltd. Partnership N/A TruGreen Ltd. Partnership, First Lien Term Loan B 89787RAH5 2630829.31710000 PA USD 2538750.29000000 0.257607833289 Long LON CORP US N 2 2027-11-02 Variable 9.34674000 N N N N N N Asurion LLC 549300KNQVXGIOXWK278 Asurion LLC, Second Lien New Term Loan B3 04649VAZ3 1800000.00000000 PA USD 1682677.80000000 0.170741874019 Long LON CORP US N 2 2028-01-31 Variable 10.20992000 N N N N N N WCG Intermediate Corp. N/A WCG Intermediate Corp., First Lien 2024 Refinancing Term Loan 23343FAD6 2197897.68380000 PA USD 2196981.16000000 0.222928406402 Long LON CORP US N 2 2027-01-08 Variable 8.34544000 N N N N N N Terrier Media Buyer, Inc. N/A Terrier Media Buyer, Inc., First Lien Facility Term Loan 88145LAE4 1952709.37810000 PA USD 1709597.06000000 0.173473380252 Long LON CORP US N 2 2026-12-17 Variable 8.20367000 N N N N N N NAB Holdings LLC N/A NAB Holdings LLC, First Lien 2024 Refinancing Term Loan 62871PAB6 1750702.49000000 PA USD 1744762.36000000 0.177041614897 Long LON CORP US N 2 2028-11-24 Variable 7.35367000 N N N N N N Amern Rock Salt Co. LLC N/A Amern Rock Salt Co. LLC, First Lien Delayed Term Loan N/A 513700.00000000 PA USD 513700.00000000 0.052125309244 Long LON CORP US N 2 2028-06-09 Variable 0.00000000 N N N N N N Arcline FM Holdings LLC N/A Arcline FM Holdings LLC, First Lien 2024-2 New Term Loan 03960DAG8 2848035.70000000 PA USD 2852484.34000000 0.289442531316 Long LON CORP US N 2 2028-06-23 Variable 9.74212000 N N N N N N Focus Financial Partners LLC N/A Focus Financial Partners LLC, First Lien Initial Term Loan 34416DBB3 1264220.00000000 PA USD 1259676.39000000 0.127819780760 Long LON CORP US N 2 2031-09-11 Variable 8.09544000 N N N N N N Foundation Building Materials, Inc. 549300ZVE6MONHB01I28 Foundation Building Materials, Inc., First Lien Initial Term Loan 35039KAB2 1707858.50890000 PA USD 1661604.58000000 0.168603567402 Long LON CORP US N 2 2028-01-31 Variable 8.76372000 N N N N N N Redstone Holdco 2 LP N/A Redstone Holdco 2 LP, First Lien Initial Term Loan 75774EAG0 915765.75000000 PA USD 701705.51000000 0.071202290650 Long LON CORP US N 2 2028-04-27 Variable 10.26372000 N N N N N N Aramark Services, Inc. N/A Aramark Services, Inc., First Lien Term Loan B8 03852JAV3 1420003.47450000 PA USD 1422488.48000000 0.144340377490 Long LON CORP US N 2 2030-06-24 Variable 6.84544000 N N N N N N Brand Industrial Services, Inc. 549300B658W2BPDQMW42 Brand Industrial Services, Inc. 104931AA8 1000000.00000000 PA USD 1070851.00000000 0.108659605858 Long DBT CORP US Y 2 2030-08-01 Fixed 10.37500000 N N N N N N Gray Television, Inc. 529900TM5726KDN7UU35 Gray Television, Inc., First Lien Term Loan D 389376AZ7 1552000.00000000 PA USD 1428324.22000000 0.144932531961 Long LON CORP US N 2 2028-12-01 Variable 8.31503000 N N N N N N CoreLogic, Inc. 54930086CD8K2UIL0516 CoreLogic, Inc., First Lien Initial Term Loan 21870FBA6 6354743.58490000 PA USD 6280602.79000000 0.637294846545 Long LON CORP US N 2 2028-06-02 Variable 8.45992000 N N N N N N Concentra Health Services, Inc. N/A Concentra Health Services, Inc., First Lien Initial Term Loan 20602RAC4 937500.00000000 PA USD 935156.25000000 0.094890614606 Long LON CORP US N 2 2031-07-26 Variable 7.09544000 N N N N N N Zayo Group Holdings, Inc. 529900Z6OTS7RT0V0I47 Zayo Group Holdings, Inc., First Lien Initial Dollar Term Loan 98919XAB7 3348135.96000000 PA USD 3050988.89000000 0.309584853791 Long LON CORP US N 2 2027-03-09 Variable 7.95992000 N N N N N N SS&C Technologies, Inc. 549300KY09TR3J12JU49 SS&C Technologies, Inc., First Lien Term Loan B8 78466DBJ2 2679252.13610000 PA USD 2678609.12000000 0.271799355119 Long LON CORP US N 2 2031-05-09 Variable 6.84544000 N N N N N N Endo Finance Holdings, Inc. N/A Endo Finance Holdings, Inc. 29281RAA7 863000.00000000 PA USD 924732.98000000 0.093832961944 Long DBT CORP US Y 2 2031-04-15 Fixed 8.50000000 N N N N N N Arsenal AIC Parent LLC N/A Arsenal AIC Parent LLC, First Lien 2024 Refinancing Term Loan B 04287KAF8 1697196.37500000 PA USD 1695074.88000000 0.171999809835 Long LON CORP US N 2 2030-08-19 Variable 8.09544000 N N N N N N Elmwood CLO 26 Ltd. N/A Elmwood CLO 26 Ltd., Series 2024-1A, Class B 29004CAE8 1500000.00000000 PA USD 1511896.50000000 0.153412638910 Long ABS-CBDO CORP KY Y 2 2037-04-18 Floating 7.29149040 N N N N N N Petco Health & Wellness Co., Inc. 2549007TYGV6RVSE9M61 Petco Health & Wellness Co., Inc., First Lien Initial Term Loan 71601HAB2 1876764.72960000 PA USD 1781624.02000000 0.180781979754 Long LON CORP US N 2 2028-03-03 Variable 8.11528000 N N N N N N Ameriforge Group, Inc. 549300T5I2LOKUMVKN83 Ameriforge Group, Inc. N/A 45694.00000000 NS USD 8681.86000000 0.000880951211 Long EC CORP US N 3 N N N Hanesbrands, Inc. GX5LWVWZLL5S4W1L2F20 Hanesbrands, Inc., First Lien Initial Tranche Term Loan B 410346AX8 1477500.00000000 PA USD 1473806.25000000 0.149547608619 Long LON CORP US N 2 2030-03-08 Variable 8.59544000 N N N N N N West Technology Group LLC 5493005Z5DB0O5S30R71 West Technology Group LLC, First Lien Term Loan B3 68162RAH4 403578.80460000 PA USD 356179.68000000 0.036141670170 Long LON CORP US N 2 2027-04-12 Variable 9.50211000 N N N N N N Traverse Midstream Partners LLC 549300DHTM8B2X5QMJ22 Traverse Midstream Partners LLC, First Lien Advance Term Loan 89435TAB0 1059500.77000000 PA USD 1060162.96000000 0.107575086897 Long LON CORP US N 2 2028-02-16 Variable 8.75211000 N N N N N N Magenta Buyer LLC N/A Magenta Buyer LLC, First Lien Initial Term Loan 55910RAB9 680750.00000000 PA USD 204225.00000000 0.020722778431 Long LON CORP US N 2 2028-07-27 Variable 10.51372000 N N N N N N Murphy USA, Inc. N/A Murphy USA, Inc., First Lien Tranche Term Loan B 62675KAB5 435375.00000000 PA USD 435647.11000000 0.044205256628 Long LON CORP US N 2 2028-01-31 Variable 7.06503000 N N N N N N United Airlines, Inc. K1OQBWM7XEOO08LDNP29 United Airlines, Inc. 90932LAG2 200000.00000000 PA USD 196789.73000000 0.019968319120 Long DBT CORP US Y 2 2026-04-15 Fixed 4.37500000 N N N N N N Open Text Corp. N/A Open Text Corp., First Lien Term Loan B 68371YAP8 2468354.26000000 PA USD 2476067.87000000 0.251247427358 Long LON CORP CA N 2 2030-01-31 Variable 7.09544000 N N N N N N Prime Security Services Borrower LLC N/A Prime Security Services Borrower LLC 74166MAE6 1000000.00000000 PA USD 1000269.00000000 0.101497626927 Long DBT CORP US Y 2 2028-01-15 Fixed 6.25000000 N N N N N N Prometric Holdings, Inc. 54930034OH1XQT27TX40 Prometric Holdings, Inc., First Lien Term Loan C 80358TAF3 1605534.92270000 PA USD 1613228.65000000 0.163694845752 Long LON CORP US N 2 2028-01-31 Variable 9.70992000 N N N N N N ChampionX Corp. N/A ChampionX Corp., First Lien Term Loan B1 15872NAC6 1477584.36000000 PA USD 1479431.34000000 0.150118388365 Long LON CORP US N 2 2029-06-07 Variable 8.10213000 N N N N N N WIN Waste Innovations Holdings, Inc. 549300DJBUN7Z75R2S83 WIN Waste Innovations Holdings, Inc., First Lien New Term Loan B 38723BAJ0 2167200.00000000 PA USD 2059141.24000000 0.208941744039 Long LON CORP US N 2 2028-03-24 Variable 7.70992000 N N N N N N Focus Financial Partners LLC N/A Focus Financial Partners LLC, First Lien 2024 Delayed Draw Term Loan Commitment 34416DBC1 135780.00000000 PA USD 135292.01000000 0.013728125091 Long LON CORP US N 2 2031-09-10 Variable 0.00000000 N N N N N N VistaJet Malta Finance plc N/A VistaJet Malta Finance plc 92841HAA0 1000000.00000000 PA USD 977387.80000000 0.099175863980 Long DBT CORP US Y 2 2028-06-01 Fixed 9.50000000 N N N N N N Anchor Glass Container Corp. N/A Anchor Glass Container Corp., First Lien August 2023 Extended Term Loan 37712UAG9 2060537.69980000 PA USD 1478435.80000000 0.150017370591 Long LON CORP US N 2 2025-12-08 Variable 10.37817317 N N N N N N Genesys Cloud Services Holdings II LLC 549300CVRD4OUCPHWQ42 Genesys Cloud Services Holdings II LLC, First Lien 2024 Incremental Dollar Term Loan 39479UAT0 1990000.00000000 PA USD 1990000.00000000 0.201925959502 Long LON CORP US N 2 2027-12-01 Variable 8.70992000 N N N N N N Cushman & Wakefield U.S. Borrower LLC 549300870CMN3WI5IF97 Cushman & Wakefield U.S. Borrower LLC, First Lien Term Loan 23340DAS1 831250.00000000 PA USD 831250.00000000 0.084347212983 Long LON CORP US N 2 2030-01-31 Variable 8.59544000 N N N N N N GFL Environmental, Inc. 549300FYK4MBXWIVZU26 GFL Environmental, Inc., First Lien 2024 Refinancing Term Loan C7052BAL8 2200000.00000000 PA USD 2196856.20000000 0.222915726670 Long LON CORP CA N 2 2031-07-03 Variable 7.32089000 N N N N N N Severin Acquisition LLC 549300L10R4RABI1ER67 Severin Acquisition LLC, First Lien Term Loan 81812HAB6 1900506.18080000 PA USD 1900506.18000000 0.192844991928 Long LON CORP US N 2 2027-08-01 Variable 8.25211000 N N N N N N Palmer Square CLO Ltd. N/A Palmer Square CLO Ltd., Series 2024-1A, Class D 69703JAG8 1250000.00000000 PA USD 1269118.75000000 0.128777900158 Long ABS-CBDO CORP KY Y 2 2037-04-15 Floating 8.70510960 N N N N N N Planet U.S. Buyer LLC N/A Planet U.S. Buyer LLC, First Lien Term Loan 72706RAB2 1745625.00000000 PA USD 1747262.40000000 0.177295294785 Long LON CORP US N 2 2031-02-07 Variable 8.60416000 N N N N N N Ryan LLC N/A Ryan LLC, First Lien Term Loan 78350LAZ8 2074225.87000000 PA USD 2048298.05000000 0.207841481956 Long LON CORP US N 2 2030-11-14 Variable 8.34544000 N N N N N N CPG International LLC 549300SVLALB4NVWP891 CPG International LLC, First Lien Closing Date Term Loan 12594VAD0 1228125.00000000 PA USD 1228125.00000000 0.124618250760 Long LON CORP US N 2 2029-04-30 Variable 7.84674000 N N N N N N Inizio Group Ltd. N/A Inizio Group Ltd., First Lien Initial Dollar Term Loan 12509YAE6 4033000.00000000 PA USD 4002752.50000000 0.406160622720 Long LON CORP GB N 2 2028-08-21 Variable 8.95367000 N N N N N N RealTruck Group, Inc. 54930007KT5CX7XNSD31 RealTruck Group, Inc., First Lien Initial Term Loan 89778PAG2 2037045.36060000 PA USD 2000761.51000000 0.203017933488 Long LON CORP US N 2 2028-01-31 Variable 8.45992000 N N N N N N HUB International Ltd. N/A HUB International Ltd., First Lien 2024-1 Incremental Term Loan 44332EAY2 2382044.96250000 PA USD 2378005.01000000 0.241296956455 Long LON CORP US N 2 2030-06-20 Variable 8.25537000 N N N N N N W.R. Grace Holdings LLC N/A W.R. Grace Holdings LLC, First Lien Initial Term Loan 92943HAB5 2459942.46020000 PA USD 2463632.37000000 0.249985593052 Long LON CORP US N 2 2028-09-22 Variable 7.85367000 N N N N N N Organon & Co. 549300AMCKY57OK2CO56 Organon & Co., First Lien Dollar Term Loan 68621XAF0 1865927.42000000 PA USD 1858930.19000000 0.188626262444 Long LON CORP US N 2 2031-05-19 Variable 7.46482000 N N N N N N Bausch Health Cos., Inc. B3BS7ACMDUWISF18KY76 Bausch Health Cos., Inc., First Lien Second Amendment Term Loan C9413PBD4 1331250.00000000 PA USD 1274006.25000000 0.129273836403 Long LON CORP CA N 2 2027-02-01 Variable 10.19544000 N N N N N N First Brands Group LLC N/A First Brands Group LLC, First Lien 2022-II Incremental Term Loan 31935HAG2 1792038.02000000 PA USD 1771877.59000000 0.179793006272 Long LON CORP US N 2 2027-03-30 Variable 10.51372000 N N N N N N Mission Broadcasting, Inc. N/A Mission Broadcasting, Inc., First Lien Term Loan B4 605024AS7 582000.00000000 PA USD 581454.08000000 0.059000338196 Long LON CORP US N 2 2028-06-02 Variable 7.81503000 N N N N N N Charter Next Generation, Inc. N/A Charter Next Generation, Inc., First Lien Term Loan B 16125TAL6 2798441.31000000 PA USD 2798441.31000000 0.283958767152 Long LON CORP US N 2 2027-12-01 Variable 8.09544000 N N N N N N Prestige Brands, Inc. N/A Prestige Brands, Inc., First Lien Term Loan B5 74112CAW3 90000.00000000 PA USD 90032.13000000 0.009135590068 Long LON CORP US N 2 2028-07-03 Variable 6.95992000 N N N N N N Zekelman Industries, Inc. 549300S5LMRAKDWWI425 Zekelman Industries, Inc., First Lien 2024 Term Loan 98931YAD5 2198099.13280000 PA USD 2200160.95000000 0.223251060748 Long LON CORP US N 2 2031-01-24 Variable 7.16991000 N N N N N N Level 3 Financing, Inc. 254900AE5FEFIJOXWL19 Level 3 Financing, Inc. 527298BU6 368000.00000000 PA USD 396060.00000000 0.040188339457 Long DBT CORP US Y 2 2030-05-15 Fixed 10.50000000 N N N N N N Asurion LLC N/A Asurion LLC, First Lien New Term Loan B12 04649VBD1 965000.00000000 PA USD 947308.66000000 0.096123723676 Long LON CORP US N 2 2030-09-19 Variable 9.09544000 N N N N N N Wyndham Destinations, Inc. N/A Wyndham Destinations, Inc., First Lien New Term Loan B 98309GAC0 1887103.30820000 PA USD 1882974.33000000 0.191066029298 Long LON CORP US N 2 2025-05-30 Variable 7.20992000 N N N N N N Boxer Parent Co., Inc. 5493006T045HLTF7YX04 Boxer Parent Co., Inc., First Lien 2031 New Dollar Term Loan 05988HAJ6 4204527.47020000 PA USD 4192515.14000000 0.425415900690 Long LON CORP US N 2 2031-07-30 Variable 9.00537000 N N N N N N Univision Communications, Inc. 549300YQDE2JSGTL8V47 Univision Communications, Inc. 914906AY8 2113000.00000000 PA USD 2160468.55000000 0.219223459765 Long DBT CORP US Y 2 2028-08-15 Fixed 8.00000000 N N N N N N Allied Universal Holdco LLC 98450038B4549046D794 Allied Universal Holdco LLC, First Lien Initial U.S. Dollar Term Loan 01957TAH0 4186321.68200000 PA USD 4143411.88000000 0.420433376624 Long LON CORP US N 2 2028-05-12 Variable 8.69544000 N N N N N N VC GB Holdings I Corp. N/A VC GB Holdings I Corp., First Lien Initial Term Loan 91823JAC6 3308917.06990000 PA USD 3298348.39000000 0.334684504233 Long LON CORP US N 2 2028-07-23 Variable 8.36528000 N N N N N N Project Boost Purchaser LLC N/A Project Boost Purchaser LLC, First Lien Initial Term Loan 74339NAG1 3118989.49820000 PA USD 3116553.57000000 0.316237723599 Long LON CORP US N 2 2031-07-16 Variable 8.78611000 N N N N N N Creative Artists Agency LLC 5493008FV5TCFL3KHH96 Creative Artists Agency LLC, First Lien Incremental Term Loan B2 22526WAR9 5339175.32560000 PA USD 5335005.43000000 0.541344769047 Long LON CORP US N 2 2028-11-27 Variable 10.25000000 N N N N N N Amazon Holdco, Inc. N/A Amazon Holdco, Inc., First Lien Term Loan B N/A 3500000.00000000 PA USD 3486875.00000000 0.353814361829 Long LON CORP US N 2 2031-07-30 Variable 7.30453000 N N N N N N Concentra Escrow Issuer Corp. N/A Concentra Escrow Issuer Corp. 20600DAA1 1000000.00000000 PA USD 1051513.00000000 0.106697372590 Long DBT CORP US Y 2 2032-07-15 Fixed 6.87500000 N N N N N N United States of America 254900HROIFWPRGM1V77 U.S. Treasury Bills 912797MC8 52900000.00000000 PA USD 52565229.23000000 5.333811230520 Long STIV UST US N 2 2024-11-19 None 0.00000000 N N N N N N Pretium PKG Holdings, Inc. N/A Pretium PKG Holdings, Inc., First Lien Third Amendment Tranche Term Loan A 74142KAJ8 432493.19960000 PA USD 439521.21000000 0.044598362839 Long LON CORP US N 2 2028-10-02 Variable 10.24768000 N N N N N N Gainwell Acquisition Corp. N/A Gainwell Acquisition Corp., First Lien Term Loan B 59909TAC8 2480989.84050000 PA USD 2353839.11000000 0.238844834573 Long LON CORP US N 2 2027-10-01 Variable 8.70367000 N N N N N N Caesars Entertainment, Inc. 549300FA4CTCW903Y781 Caesars Entertainment, Inc., First Lien Term Loan B1 12768EAH9 1393000.00000000 PA USD 1391476.06000000 0.141193536954 Long LON CORP US N 2 2031-02-06 Variable 7.59544000 N N N N N N Lions Gate Capital Holdings LLC 549300MWJHNLR35C0837 Lions Gate Capital Holdings LLC, First Lien Term Loan B 53627MAB9 727168.49000000 PA USD 725577.45000000 0.073624584313 Long LON CORP US N 2 2025-03-24 Variable 7.19544000 N N N N N N Wilsonart LLC N/A Wilsonart LLC, First Lien Initial Term Loan 97246FAM8 2500000.00000000 PA USD 2470832.50000000 0.250716192629 Long LON CORP US N 2 2031-08-05 Variable 8.85367000 N N N N N N DCert Buyer, Inc. 549300EF826JEEUCHZ67 DCert Buyer, Inc., First Lien Initial Term Loan 24022KAB5 1732437.14020000 PA USD 1678298.48000000 0.170297502967 Long LON CORP US N 2 2026-10-16 Variable 9.24674000 N N N N N N Altar Bidco, Inc. N/A Altar Bidco, Inc., First Lien Term Loan B 02090CAE0 1832812.50000000 PA USD 1833576.78000000 0.186053643529 Long LON CORP US N 2 2029-02-01 Variable 7.94692000 N N N N N N ICON Luxembourg SARL 635400PUWMHSPI2DDA35 ICON Luxembourg SARL, First Lien Repriced Lux Term Loan L5000DAE7 346161.21640000 PA USD 347773.98000000 0.035288741005 Long LON CORP LU N 2 2028-07-03 Variable 6.60367000 N N N N N N Pretium Packaging LLC N/A Pretium Packaging LLC, First Lien Initial Tranche Term Loan A1 74142KAK5 1600566.23890000 PA USD 1272450.16000000 0.129115939435 Long LON CORP US N 2 2028-10-02 Variable 9.84768000 N N N N N N Great Outdoors Group LLC 549300IYLDI2E8I2AU46 Great Outdoors Group LLC, First Lien Term Loan B1 07014QAN1 3766416.97970000 PA USD 3761185.43000000 0.381648732070 Long LON CORP US N 2 2028-03-06 Variable 8.70992000 N N N N N N Sixth Street CLO XXIV Ltd. 254900750L60VUYV0C32 Sixth Street CLO XXIV Ltd., Series 2024-24A, Class D 83011QAG0 1500000.00000000 PA USD 1520278.50000000 0.154263163227 Long ABS-CBDO CORP JE Y 2 2037-04-23 Floating 8.89450920 N N N N N N Astoria Energy LLC 549300BXD26J7I0IPB62 Astoria Energy LLC, First Lien Term Loan B 04626LAE9 1541316.49000000 PA USD 1542762.25000000 0.156544596791 Long LON CORP US N 2 2027-12-10 Variable 8.02646615 N N N N N N Aruba Investments Holdings LLC N/A Aruba Investments Holdings LLC, First Lien 2022 Incremental Term Loan 04317JAG3 1477500.00000000 PA USD 1466418.75000000 0.148797996545 Long LON CORP US N 2 2027-11-24 Variable 9.59544000 N N N N N N Cotiviti, Inc. 254900YAQHVRTG4IFI64 Cotiviti, Inc., First Lien Initial Floating Rate Term Loan 22164MAB3 4179000.00000000 PA USD 4170295.14000000 0.423161229926 Long LON CORP US N 2 2031-05-01 Variable 8.45055000 N N N N N N Azalea Topco, Inc. 549300HC42NZULO53062 Azalea Topco, Inc., First Lien Initial Term Loan 05477JAB7 1428571.43000000 PA USD 1426562.86000000 0.144753806178 Long LON CORP US N 2 2031-04-30 Variable 8.74674000 N N N N N N Palmer Square CLO Ltd. N/A Palmer Square CLO Ltd., Series 2022-2A, Class D1R 69688NAS2 625000.00000000 PA USD 624951.88000000 0.063414074377 Long ABS-CBDO CORP KY Y 2 2037-07-20 Floating 8.28200880 N N N N N N Frontier Communications Holdings LLC N/A Frontier Communications Holdings LLC 35906ABE7 280000.00000000 PA USD 281138.76000000 0.028527243148 Long DBT CORP US Y 2 2027-10-15 Fixed 5.87500000 N N N N N N Anywhere Real Estate Group LLC N/A Anywhere Real Estate Group LLC 75606DAL5 1330000.00000000 PA USD 1109354.10000000 0.112566528176 Long DBT CORP US Y 2 2029-01-15 Fixed 5.75000000 N N N N N N Chariot Buyer LLC 25490092IFNOZBRVE539 Chariot Buyer LLC, First Lien Initial Term Loan 15963CAC0 5155085.32160000 PA USD 5130918.28000000 0.520635978300 Long LON CORP US N 2 2028-11-03 Variable 8.19544000 N N N N N N Gray Television, Inc. 529900TM5726KDN7UU35 Gray Television, Inc. 389375AM8 1040000.00000000 PA USD 1086241.52000000 0.110221287023 Long DBT CORP US Y 2 2029-07-15 Fixed 10.50000000 N N N N N N Alliance Laundry Systems LLC N/A Alliance Laundry Systems LLC, First Lien Initial Term Loan B 01862LBA5 1714285.72000000 PA USD 1716428.58000000 0.174166576851 Long LON CORP US N 2 2031-08-19 Variable 8.34544000 N N N N N N MPH Acquisition Holdings LLC 5493002WXOPRPTXWTU06 MPH Acquisition Holdings LLC, First Lien Initial Term Loan 55328HAK7 1427570.69410000 PA USD 1070678.02000000 0.108642053520 Long LON CORP US N 2 2028-09-01 Variable 9.56879000 N N N N N N Diebold Nixdorf, Inc. 549300XZK6EWDBAZSY16 Diebold Nixdorf, Inc. 253651202 8023.00000000 NS USD 358307.18000000 0.036357548300 Long EC CORP US N 1 N N N Discovery Energy Holding Corp. 254900T31FAYMRQSAA12 Discovery Energy Holding Corp., First Lien Initial Dollar Term Loan 25472PAB6 1728999.99670000 PA USD 1745209.37000000 0.177086973150 Long LON CORP US N 2 2031-05-01 Variable 9.35367000 N N N N N N Isolved, Inc. N/A Isolved, Inc., First Lien Term Loan B1 46488HAD8 585297.78820000 PA USD 586273.48000000 0.059489364311 Long LON CORP US N 2 2030-10-15 Variable 8.34544000 N N N N N N AppLovin Corp. N/A AppLovin Corp., First Lien Term Loan B 03835EAH7 1492500.00000000 PA USD 1490867.21000000 0.151278789884 Long LON CORP US N 2 2030-08-16 Variable 7.34544000 N N N N N N Clydesdale Acquisition Holdings, Inc. 254900QKSDYFR3K5YD98 Clydesdale Acquisition Holdings, Inc. 18972EAC9 714000.00000000 PA USD 729160.36000000 0.073988143378 Long DBT CORP US Y 2 2030-01-15 Fixed 6.87500000 N N N N N N Genesys Cloud Services Holdings II LLC N/A Genesys Cloud Services Holdings II LLC, First Lien Dollar Facility Term Loan B4 39479UAU7 2371288.08660000 PA USD 2375141.43000000 0.241006388043 Long LON CORP US N 2 2027-12-01 Variable 8.42340483 N N N N N N Alterra Mountain Co. 549300C5O4FSVNUEI843 Alterra Mountain Co., First Lien Term Loan B4 46124CAN7 2331690.29030000 PA USD 2331690.29000000 0.236597386467 Long LON CORP US N 2 2028-08-17 Variable 8.09544000 N N N N N N Belron Finance U.S. LLC N/A Belron Finance U.S. LLC, First Lien 2028 Incremental Dollar Term Loan B 08078UAJ2 936056.25000000 PA USD 935276.52000000 0.094902818442 Long LON CORP US N 2 2028-04-13 Variable 7.31902000 N N N N N N Buckeye Partners LP N/A Buckeye Partners LP, First Lien Tranche Term Loan B4 11823LAN5 456044.53130000 PA USD 455422.49000000 0.046211870991 Long LON CORP US N 2 2030-11-22 Variable 6.84544000 N N N N N N KKR Apple Bidco LLC 2549001SCJD3WEYJFM53 KKR Apple Bidco LLC, First Lien Amendment No. 1 Term Loan 48254EAF8 736931.24250000 PA USD 738576.81000000 0.074943633681 Long LON CORP US N 2 2028-09-22 Variable 8.34544000 N N N N N N Flexera Software LLC FHBIRN3K4PSRU4ZOQQ49 Flexera Software LLC, First Lien Term Loan B2 33937KAW4 2305140.79860000 PA USD 2304020.50000000 0.233789723706 Long LON CORP US N 2 2028-03-03 Variable 8.46086000 N N N N N N United Airlines, Inc. N/A United Airlines, Inc., First Lien Term Loan B 90932RAM6 1346625.00000000 PA USD 1347466.64000000 0.136727886522 Long LON CORP US N 2 2031-02-22 Variable 8.03336000 N N N N N N MIWD Holdco II LLC 254900X3SPV5RVFJEY72 MIWD Holdco II LLC, First Lien 2024 Incremental Term Loan 55336CAK8 1088181.80730000 PA USD 1091128.60000000 0.110717180651 Long LON CORP US N 2 2031-03-28 Variable 8.34544000 N N N N N N Caesars Entertainment, Inc. 549300FA4CTCW903Y781 Caesars Entertainment, Inc., First Lien 2023 Incremental Term Loan B 12768EAG1 1984500.00000000 PA USD 1982019.38000000 0.201116163346 Long LON CORP US N 2 2030-02-06 Variable 7.59544000 N N N N N N AIMCO CLO 20 Ltd. 2549009AFNTQKXTAWE65 AIMCO CLO 20 Ltd., Series 2023-20A, Class D 00901QAG7 848215.00000000 PA USD 858511.48000000 0.087113444393 Long ABS-CBDO CORP JE Y 2 2036-10-16 Floating 9.28611000 N N N N N N GIP Pilot Acquisition Partners LP N/A GIP Pilot Acquisition Partners LP, First Lien 2024 Term Loan B 31773HAD4 1356799.50600000 PA USD 1357647.51000000 0.137760942775 Long LON CORP US N 2 2030-10-04 Variable 7.81817000 N N N N N N Tronox Finance LLC N/A Tronox Finance LLC, First Lien 2024 Term Loan 89705DAN2 996817.42000000 PA USD 996817.42000000 0.101147393960 Long LON CORP US N 2 2029-04-04 Variable 7.35367000 N N N N N N INEOS Quattro Finance 2 plc 213800V48W4Y5MT5Q131 INEOS Quattro Finance 2 plc 45674GAB0 1000000.00000000 PA USD 1068827.00000000 0.108454229908 Long DBT CORP GB Y 2 2029-03-15 Fixed 9.62500000 N N N N N N Tacala Investment Corp. N/A Tacala Investment Corp., First Lien Initial Term Loan 87339PAB9 4389000.00000000 PA USD 4389000.00000000 0.445353284550 Long LON CORP US N 2 2031-01-31 Variable 9.24674000 N N N N N N Mauser Packaging Solutions Holding Co. 549300DNGHXL0OMHW304 Mauser Packaging Solutions Holding Co., First Lien Initial Facility Term Loan 57763TAE3 181041.68000000 PA USD 181267.99000000 0.018393323019 Long LON CORP US N 2 2027-04-15 Variable 8.70055000 N N N N N N First Brands Group LLC N/A First Brands Group LLC, First Lien 2021 Term Loan 31935HAD9 2649519.79000000 PA USD 2619619.96000000 0.265813705504 Long LON CORP US N 2 2027-03-30 Variable 10.51372000 N N N N N N Flint Group Packaging Inks NA Holdings LLC N/A Flint Group Packaging Inks NA Holdings LLC, First Lien USD Facility Term Loan B N/A 715163.37500000 PA USD 679852.18000000 0.068984826013 Long LON CORP US N 2 2026-12-31 Variable 10.54460000 N N N N N N Lumen Technologies, Inc. 8M3THTGWLTYZVE6BBY25 Lumen Technologies, Inc., First Lien Term Loan B1 55024EAF2 894621.48040000 PA USD 785589.49000000 0.079714025901 Long LON CORP US N 2 2029-04-16 Variable 7.31895000 N N N N N N Palmer Square CLO Ltd. N/A Palmer Square CLO Ltd., Series 2022-2A, Class D2R 69688NAU7 625000.00000000 PA USD 630441.25000000 0.063971082570 Long ABS-CBDO CORP KY Y 2 2037-07-20 Floating 9.48201120 N N N N N N ION Trading Finance Ltd. N/A ION Trading Finance Ltd., First Lien Replacement 2024 Dollar Term Loan L5582BAY3 723816.88000000 PA USD 723515.05000000 0.073415311902 Long LON CORP IE N 2 2028-04-03 Variable 9.01569000 N N N N N N Travel + Leisure Co. T4VNTWMFQ7JQB65L7T35 Travel + Leisure Co., First Lien 2023 Incremental Term Loan 98309GAE6 1488750.00000000 PA USD 1491231.75000000 0.151315779879 Long LON CORP US N 2 2029-12-14 Variable 8.26991000 N N N N N N RHP Hotel Properties LP N/A RHP Hotel Properties LP 749571AJ4 900000.00000000 PA USD 941741.10000000 0.095558781517 Long DBT CORP US Y 2 2028-07-15 Fixed 7.25000000 N N N N N N Global Partners LP N/A Global Partners LP 37954FAK0 400000.00000000 PA USD 414915.60000000 0.042101623438 Long DBT CORP US Y 2 2032-01-15 Fixed 8.25000000 N N N N N N Vistra Operations Co. LLC 549300ZH5GKBTJZ7NM23 Vistra Operations Co. LLC 92840VAF9 1500000.00000000 PA USD 1492671.15000000 0.151461836274 Long DBT CORP US Y 2 2027-07-31 Fixed 5.00000000 N N N N N N Cushman & Wakefield U.S. Borrower LLC N/A Cushman & Wakefield U.S. Borrower LLC, First Lien 2023 Term Loan B 23340DAT9 1517562.14970000 PA USD 1515665.20000000 0.153795050148 Long LON CORP US N 2 2030-01-31 Variable 7.84544000 N N N N N N SM Energy Co. 84BUTVXV5ODI6BXNMH43 SM Energy Co. 78454LAY6 900000.00000000 PA USD 903478.50000000 0.091676262815 Long DBT CORP US Y 2 2032-08-01 Fixed 7.00000000 N N N N N N Fertitta Entertainment LLC N/A Fertitta Entertainment LLC, First Lien Initial Term Loan B 31556PAB3 4148637.22860000 PA USD 4132710.61000000 0.419347515211 Long LON CORP US N 2 2029-01-29 Variable 8.84651000 N N N N N N Miter Brands Acquisition Holdco, Inc. N/A Miter Brands Acquisition Holdco, Inc. 60672JAA7 1250000.00000000 PA USD 1295782.50000000 0.131483479708 Long DBT CORP US Y 2 2032-04-01 Fixed 6.75000000 N N N N N N TransDigm, Inc. 88Q84GB3X55CF5OC7582 TransDigm, Inc., First Lien Facility Tranche Term Loan I 89364MCC6 4167432.24460000 PA USD 4164827.60000000 0.422606436830 Long LON CORP US N 2 2028-08-24 Variable 7.35367000 N N N N N N Station Casinos LLC N/A Station Casinos LLC, First Lien Facility Term Loan B 85769EBB6 3980000.00000000 PA USD 3966070.00000000 0.402438437288 Long LON CORP US N 2 2031-03-14 Variable 7.09544000 N N N N N N Exgen Renewables IV LLC 5493004JBPWTPTK8LB51 Exgen Renewables IV LLC, First Lien Term Loan 30204KAD8 1267854.50000000 PA USD 1268559.43000000 0.128721145773 Long LON CORP US N 2 2027-12-15 Variable 7.30718000 N N N N N N Olympus Water US Holding Corp. 549300YU2GGVCBN3MY89 Olympus Water US Holding Corp. 25259KAA8 1500000.00000000 PA USD 1600888.50000000 0.162442686642 Long DBT CORP US Y 2 2028-11-15 Fixed 9.75000000 N N N N N N Star Parent, Inc. 254900GRGCJYRMDRWT73 Star Parent, Inc., First Lien Term Loan 87169DAB1 4477500.00000000 PA USD 4347048.04000000 0.441096405266 Long LON CORP US N 2 2030-09-27 Variable 9.08458000 N N N N N N Mercury Borrower, Inc. N/A Mercury Borrower, Inc., First Lien Initial Term Loan 03836BAB5 4556499.12740000 PA USD 4547955.69000000 0.461482571094 Long LON CORP US N 2 2028-08-02 Variable 8.45992000 N N N N N N Palmer Square CLO Ltd. N/A Palmer Square CLO Ltd., Series 2024-1A, Class B 69703JAC7 1250000.00000000 PA USD 1259723.75000000 0.127824586395 Long ABS-CBDO CORP KY Y 2 2037-04-15 Floating 7.30510920 N N N N N N Vistra Zero Operating Co. LLC N/A Vistra Zero Operating Co. LLC, First Lien Initial Term Loan 92841DAB7 298500.00000000 PA USD 298947.75000000 0.030334327266 Long LON CORP US N 2 2031-04-30 Variable 7.59544000 N N N N N N Ryan Specialty Group LLC N/A Ryan Specialty Group LLC, First Lien Term Loan B1 78350UAJ4 962500.00000000 PA USD 960093.75000000 0.097421030995 Long LON CORP US N 2 2031-09-15 Variable 7.09544000 N N N N N N Beacon Roofing Supply, Inc. N/A Beacon Roofing Supply, Inc., First Lien 2024 Refinancing Term Loan 07368RAG6 1451531.25000000 PA USD 1450805.48000000 0.147213712864 Long LON CORP US N 2 2028-05-19 Variable 6.84544000 N N N N N N LBM Acquisition LLC N/A LBM Acquisition LLC, First Lien Amendment No. 3 Incremental Term Loan 50179JAH1 3494171.87730000 PA USD 3422345.68000000 0.347266550343 Long LON CORP US N 2 2031-06-06 Variable 8.96800000 N N N N N N Getty Images, Inc. N/A Getty Images, Inc., First Lien Initial Dollar Term Loan 37427UAJ9 850899.32170000 PA USD 845049.39000000 0.085747441659 Long LON CORP US N 2 2026-02-19 Variable 8.84520000 N N N N N N Project Boost Purchaser LLC N/A Project Boost Purchaser LLC, Second Lien Initial Term Loan 74339NAK2 1000000.00000000 PA USD 1000625.00000000 0.101533750365 Long LON CORP US N 2 2032-07-02 Variable 10.53611000 N N N N N N Millennium Corporate Trust N/A Millennium Corporate Trust N/A 1243.00000000 NS USD 0.00000000 0.000000 Long EC CORP IL N 3 N N N Ballyrock CLO 21 Ltd. 254900FOV48Z8K26JH50 Ballyrock CLO 21 Ltd., Series 2022-21A, Class A2A 05874JAC4 900000.00000000 PA USD 900000.00000000 0.091323298267 Long ABS-CBDO CORP JE Y 2 2035-10-20 Floating 8.08201080 N N N N N N Elmwood CLO 26 Ltd. N/A Elmwood CLO 26 Ltd., Series 2024-1A, Class D 29004CAJ7 1200000.00000000 PA USD 1222352.40000000 0.124032503125 Long ABS-CBDO CORP KY Y 2 2037-04-18 Floating 8.89148880 N N N N N N WEC U.S. Holdings Ltd. 5493002M6GRSU1IWMG57 WEC U.S. Holdings Ltd., First Lien Initial Term Loan 92943LAC4 3013944.35000000 PA USD 3011683.89000000 0.305596562415 Long LON CORP US N 2 2031-01-27 Variable 7.59544000 N N N N N N SCIH Salt Holdings, Inc. N/A SCIH Salt Holdings, Inc., First Lien Incremental Term Loan B1 78397GAF8 4627159.26310000 PA USD 4622953.18000000 0.469092591259 Long LON CORP US N 2 2027-03-16 Variable 8.75537000 N N N N N N Neon Maple U.S. Debt Mergersub, Inc. N/A Neon Maple U.S. Debt Mergersub, Inc., First Lien Term Loan N/A 2400000.00000000 PA USD 2371999.20000000 0.240687544924 Long LON CORP US N 2 2031-07-18 Variable 8.15295000 N N N N N N Foundation Building Materials, Inc. N/A Foundation Building Materials, Inc., First Lien 2024 Incremental Term Loan 35039KAD8 2846250.00000000 PA USD 2768422.14000000 0.280912712023 Long LON CORP US N 2 2031-01-29 Variable 9.25209654 N N N N N N JetBlue Airways Corp. N/A JetBlue Airways Corp. 476920AA1 2200000.00000000 PA USD 2317359.00000000 0.235143185721 Long DBT CORP US Y 2 2031-09-20 Fixed 9.87500000 N N N N N N GIP II Blue Holding LP N/A GIP II Blue Holding LP, First Lien Initial Term Loan 31575AAB3 1992651.72860000 PA USD 1997135.19000000 0.202649969596 Long LON CORP US N 2 2028-09-29 Variable 8.99674000 N N N N N N Telesat Canada N/A Telesat Canada 87952VAP1 600000.00000000 PA USD 277130.13000000 0.028120486134 Long DBT CORP CA Y 2 2027-06-01 Fixed 4.87500000 N N N N N N Dynasty Acquisition Co., Inc. 549300WM2IKMXZ5LGL49 Dynasty Acquisition Co., Inc., First Lien 2024 Specified Refinancing Term Loan B2 26812CAL0 1047986.91000000 PA USD 1048224.80000000 0.106363717846 Long LON CORP US N 2 2028-08-24 Variable 8.74674000 N N N N N N Nexstar Media, Inc. 5493006PK6I4I2OOT688 Nexstar Media, Inc., First Lien Term Loan B4 65336RAW8 1660302.75690000 PA USD 1659135.56000000 0.168353035124 Long LON CORP US N 2 2026-09-18 Variable 7.45992000 N N N N N N NGL Energy Operating LLC N/A NGL Energy Operating LLC 62922LAC2 500000.00000000 PA USD 512673.50000000 0.052021149949 Long DBT CORP US Y 2 2029-02-15 Fixed 8.12500000 N N N N N N Flint Group Topco Ltd. N/A Flint Group Topco Ltd., Second Lien Facility Term Loan B N/A 507849.94410000 PA USD 93952.24000000 0.009533364929 Long LON CORP JE N 2 2027-12-31 Variable 12.54460000 N N N N N N Star Holding LLC 254900BDGPE9N1WAKD59 Star Holding LLC 85513AAA6 1250000.00000000 PA USD 1192000.00000000 0.120952635038 Long DBT CORP US Y 2 2031-08-01 Fixed 8.75000000 N N N N N N Amentum Government Services Holdings LLC 5493008CT6B5L54YSE94 Amentum Government Services Holdings LLC, First Lien Term Loan B3 57776DAE3 2776666.68030000 PA USD 2771460.43000000 0.281221008317 Long LON CORP US N 2 2029-02-15 Variable 8.85447000 N N N N N N Minimax Viking GmbH N/A Minimax Viking GmbH, First Lien Facility Term Loan B1D 55404TAD4 2117467.71000000 PA USD 2120997.53000000 0.215218322285 Long LON CORP DE N 2 2028-07-31 Variable 7.70992000 N N N N N N Graham Packaging Co., Inc. N/A Graham Packaging Co., Inc., First Lien Initial Term Loan 38469EAE3 3172747.71040000 PA USD 3168518.44000000 0.321510616180 Long LON CORP US N 2 2027-08-04 Variable 7.74674000 N N N N N N Fortrea Holdings, Inc. 5493000FIVFABOVCDU97 Fortrea Holdings, Inc., First Lien Initial Term Loan B 34965PAD8 383297.97000000 PA USD 382100.16000000 0.038771829866 Long LON CORP US N 2 2030-07-01 Variable 8.49058000 N N N N N N Nielsen Consumer LLC N/A Nielsen Consumer LLC, First Lien Ninth Amendment Dollar Refinancing Term Loan 45674PAN4 1750000.00000000 PA USD 1741250.00000000 0.176685214564 Long LON CORP US N 2 2028-03-06 Variable 9.59544000 N N N N N N Parexel International, Inc. N/A Parexel International, Inc., First Lien Fifth Amendment Term Loan 71911KAD6 5219617.13080000 PA USD 5218964.68000000 0.529570075687 Long LON CORP US N 2 2028-11-15 Variable 7.84544000 N N N N N N N/A N/A THAIHOT Investment Co. Ltd. N/A 22.00000000 NS USD 0.22000000 0.000000022323 N/A DE US N 3 THAIHOT Investment Co. Ltd. N/A Call Purchased THAIHOT Investment Co. Ltd. THAIHOT Investment Co. Ltd. 1.00000000 1.00000000 USD 2027-10-13 XXXX 0.22000000 N N N ConnectWise LLC N/A ConnectWise LLC, First Lien Initial Term Loan 20786NAC1 1760474.35900000 PA USD 1756073.17000000 0.178189326537 Long LON CORP US N 2 2028-09-29 Variable 8.36528000 N N N N N N Coherent Corp. 549300O5C25A0MMHHU33 Coherent Corp., First Lien Term Loan B1 45173JAR5 2237760.31540000 PA USD 2235522.56000000 0.226839215033 Long LON CORP US N 2 2029-07-02 Variable 7.34544000 N N N N N N 720 East CLO IV Ltd. N/A 720 East CLO IV Ltd., Series 2024-1A, Class B 81785BAE6 525000.00000000 PA USD 527916.38000000 0.053567850034 Long ABS-CBDO CORP KY Y 2 2037-04-15 Floating 7.29484920 N N N N N N PQ Performance Chemicals 5493004EFF9NBQ1A8453 PQ Performance Chemicals, First Lien Initial Term Loan 84673EAB5 875250.00000000 PA USD 873843.47000000 0.088669186499 Long LON CORP US N 2 2030-08-02 Variable 8.45055000 N N N N N N Camelot U.S. Acquisition LLC N/A Camelot U.S. Acquisition LLC, First Lien Incremental Term Loan B L2000AAF7 3314707.19540000 PA USD 3307249.11000000 0.335587663241 Long LON CORP US N 2 2031-01-31 Variable 7.59544000 N N N N N N CPC Acquisition Corp. 254900UFA4AMH3PZZW32 CPC Acquisition Corp., First Lien Initial Term Loan 12656UAB1 1738715.12000000 PA USD 1509783.72000000 0.153198254423 Long LON CORP US N 2 2027-12-29 Variable 8.61528000 N N N N N N Telesat Canada N/A Telesat Canada, First Lien Term Loan B5 87951YAU5 1220446.69000000 PA USD 593442.20000000 0.060216776705 Long LON CORP CA N 2 2026-12-06 Variable 8.06879000 N N N N N N CommScope, Inc. 724500R0MD16646Q8383 CommScope, Inc., First Lien Initial Term Loan 20337EAQ4 4095684.47300000 PA USD 3965134.53000000 0.402343514837 Long LON CORP US N 2 2026-04-06 Variable 8.20992000 N N N N N N 1011778 B.C. Unlimited Liability Co. N/A 1011778 B.C. Unlimited Liability Co. 68245XAM1 1040000.00000000 PA USD 959026.33000000 0.097312719534 Long DBT CORP CA Y 2 2030-10-15 Fixed 4.00000000 N N N N N N Acrisure LLC N/A Acrisure LLC 00489LAK9 550000.00000000 PA USD 567514.75000000 0.057585909761 Long DBT CORP US Y 2 2029-02-01 Fixed 8.25000000 N N N N N N Vestis Corp. N/A Vestis Corp., First Lien Term Loan B1 92550HAE3 1163750.00000000 PA USD 1155021.88000000 0.117200452947 Long LON CORP US N 2 2031-02-24 Variable 7.37108000 N N N N N N Autokiniton U.S. Holdings, Inc. 254900EHNKMJ1OSEZL85 Autokiniton U.S. Holdings, Inc., First Lien Term Loan B 05278HAC0 2973687.54000000 PA USD 2972447.51000000 0.301615233933 Long LON CORP US N 2 2028-04-06 Variable 8.95992000 N N N N N N Fortrea Holdings, Inc. 5493000FIVFABOVCDU97 Fortrea Holdings, Inc. 34965KAA5 360000.00000000 PA USD 362363.42000000 0.036769136317 Long DBT CORP US Y 2 2030-07-01 Fixed 7.50000000 N N N N N N Virgin Media Bristol LLC N/A Virgin Media Bristol LLC, First Lien Facility Term Loan Y G9368PBH6 3666666.67000000 PA USD 3500522.67000000 0.355199195427 Long LON CORP US N 2 2031-03-31 Variable 8.65621000 N N N N N N Central Parent LLC N/A Central Parent LLC, First Lien Term Loan B 15477BAE7 2500000.00000000 PA USD 2469642.50000000 0.250595442934 Long LON CORP US N 2 2029-07-06 Variable 7.85367000 N N N N N N Axalta Coating Systems U.S. Holdings, Inc. 549300NZ43V4QV4UGN28 Axalta Coating Systems U.S. Holdings, Inc., First Lien Dollar Term Loan B6 90347BAL2 2127620.16310000 PA USD 2132496.67000000 0.216385143831 Long LON CORP US N 2 2029-12-20 Variable 6.60367000 N N N N N N Covanta Holding Corp. 40XIFLS8XDQGGHGPGC04 Covanta Holding Corp., First Lien Initial Term Loan B 22282GAC1 544233.43960000 PA USD 544403.24000000 0.055240777182 Long LON CORP US N 2 2028-11-30 Variable 7.35009283 N N N N N N Chart Industries, Inc. EM7QGKC1GYOF3LSZSL80 Chart Industries, Inc., First Lien Amendment No. 7 Term Loan 16115EAT4 1952570.51000000 PA USD 1947689.08000000 0.197632656427 Long LON CORP US N 2 2030-03-15 Variable 7.82460000 N N N N N N Sedgwick Claims Management Services, Inc. 549300BIN4DWJG5VWF64 Sedgwick Claims Management Services, Inc., First Lien 2024 Term Loan 81527CAP2 3811594.78010000 PA USD 3803125.42000000 0.385904396754 Long LON CORP US N 2 2031-07-31 Variable 8.25211000 N N N N N N Alltech, Inc. N/A Alltech, Inc., First Lien Term Loan B 02003DAX2 1511013.63620000 PA USD 1507236.10000000 0.152939746577 Long LON CORP US N 2 2028-10-13 Variable 8.95992000 N N N N N N Epicor Software Corp. N/A Epicor Software Corp., First Lien Term Loan E 29426NAZ7 4644991.93000000 PA USD 4645721.19000000 0.471402868779 Long LON CORP US N 2 2031-05-30 Variable 8.09544000 N N N N N N Windsor Holdings III LLC N/A Windsor Holdings III LLC, First Lien 2024 Facility Term Loan B 97360BAF2 2475078.03690000 PA USD 2480233.62000000 0.251670127391 Long LON CORP US N 2 2030-08-01 Variable 8.46086000 N N N N N N Cablevision Lightpath LLC 5493002ZVBLRLGES1R71 Cablevision Lightpath LLC, First Lien Initial Term Loan 12687HAB3 2448414.41000000 PA USD 2443517.58000000 0.247944538644 Long LON CORP US N 2 2027-11-30 Variable 8.46099000 N N N N N N American Rock Salt Co. LLC 549300FBKBNV4GSVVR46 American Rock Salt Co. LLC, First Lien Initial Term Loan 02932JAP2 1216285.68290000 PA USD 991272.83000000 0.100584782576 Long LON CORP US N 2 2028-06-09 Variable 9.31879000 N N N N N N National Mentor Holdings, Inc. N/A National Mentor Holdings, Inc., First Lien Initial Term Loan C 63689EAT2 49562.69000000 PA USD 47556.94000000 0.004825618462 Long LON CORP US N 2 2028-03-02 Variable 8.45367000 N N N N N N OQ Chemicals International Holding GmbH N/A OQ Chemicals International Holding GmbH, First Lien Refinancing Tranche Term Loan B D4980EAE1 415813.92000000 PA USD 427768.57000000 0.043405818563 Long LON CORP DE N 2 2025-06-23 Variable 12.91991000 N N N N N N Hayward Industries, Inc. N/A Hayward Industries, Inc., First Lien Initial Term Loan 421300AL8 1724267.17930000 PA USD 1720572.07000000 0.174587018154 Long LON CORP US N 2 2028-05-30 Variable 7.45992000 N N N N N N Armor HoldCo, Inc. 254900X6HLK0YPTHHF09 Armor HoldCo, Inc., First Lien Initial Dollar Term Loan 04225VAD4 491161.59380000 PA USD 493617.40000000 0.050087521166 Long LON CORP GB N 2 2028-12-11 Variable 10.01398000 N N N N N N GFL Environmental, Inc. 549300FYK4MBXWIVZU26 GFL Environmental, Inc. 36168QAN4 1000000.00000000 PA USD 975458.70000000 0.098980117564 Long DBT CORP CA Y 2 2029-06-15 Fixed 4.75000000 N N N N N N Olympus Water US Holding Corp. 549300YU2GGVCBN3MY89 Olympus Water US Holding Corp. 681639AD2 1220000.00000000 PA USD 1269507.60000000 0.128817356897 Long DBT CORP US Y 2 2031-06-15 Fixed 7.25000000 N N N N N N Leia Finco U.S. LLC N/A Leia Finco U.S. LLC, First Lien Term Loan N/A 1200000.00000000 PA USD 1180125.60000000 0.119747735735 Long LON CORP GB N 2 2031-07-02 Variable 8.26214000 N N N N N N Asurion LLC 549300KNQVXGIOXWK278 Asurion LLC, Second Lien New Term Loan B4 04649VBA7 2500000.00000000 PA USD 2305470.00000000 0.233936804951 Long LON CORP US N 2 2029-01-19 Variable 10.20992000 N N N N N N Danby Park CLO Ltd. N/A Danby Park CLO Ltd., Series 2022-1A, Class B 236057AC9 1000000.00000000 PA USD 1001629.00000000 0.101635626578 Long ABS-CBDO CORP JE Y 2 2035-10-21 Floating 8.23200840 N N N N N N Tripadvisor, Inc. N/A Tripadvisor, Inc., First Lien Initial Term Loan B 89677NAE4 1166666.66000000 PA USD 1162291.66000000 0.117938119933 Long LON CORP US N 2 2031-07-08 Variable 7.59544000 N N N N N N Sharp Services LLC N/A Sharp Services LLC, First Lien Tranche Term Loan C 81989LAE8 2750180.00000000 PA USD 2750180.00000000 0.279061676032 Long LON CORP US N 2 2028-12-29 Variable 8.35367000 N N N N N N Edgewater Generation LLC N/A Edgewater Generation LLC, First Lien Refinancing Term Loan 28031FAJ9 2928757.00890000 PA USD 2951454.88000000 0.299485104810 Long LON CORP US N 2 2030-08-01 Variable 9.09544000 N N N N N N Delta Air Lines, Inc. 2549008L7P4I8VB90936 Delta Air Lines, Inc., First Lien Initial Term Loan 24736CBS2 1070560.37220000 PA USD 1089517.86000000 0.110553738329 Long LON CORP US N 2 2027-10-20 Variable 9.03201000 N N N N N N Project Alpha Intermediate Holding, Inc. N/A Project Alpha Intermediate Holding, Inc., First Lien 2024 Refinancing Term Loan 74339DAK4 3482500.00000000 PA USD 3487643.65000000 0.353892356999 Long LON CORP US N 2 2030-10-28 Variable 9.00211000 N N N N N N Pluto Acquisition I, Inc. 254900MOXD90LKQ6AY47 Pluto Acquisition I, Inc., First Lien Term Loan A 72941DAH5 1008986.15000000 PA USD 1019076.01000000 0.103405980464 Long LON CORP US N 2 2028-06-20 Variable 10.35327000 N N N N N N Altium Packaging LLC N/A Altium Packaging LLC, First Lien 2024 Refinancing Term Loan 20902CAX8 2018337.05110000 PA USD 2009506.83000000 0.203905324007 Long LON CORP US N 2 2031-06-11 Variable 7.34544000 N N N N N N SRAM LLC N/A SRAM LLC, First Lien 2021 Refinancing Term Loan B 85232BAT3 1701818.21650000 PA USD 1700754.58000000 0.172576130876 Long LON CORP US N 2 2028-05-18 Variable 7.70992000 N N N N N N Amentum Escrow Corp. N/A Amentum Escrow Corp. 02352BAA3 340000.00000000 PA USD 354835.22000000 0.036005247368 Long DBT CORP US Y 2 2032-08-01 Fixed 7.25000000 N N N N N N Nouryon Finance BV 549300K7VB5G6LULFT41 Nouryon Finance BV, First Lien 2024 Dollar Term Loan B2 N8232NAK3 1237523.43750000 PA USD 1237007.39000000 0.125519549817 Long LON CORP NL N 2 2028-04-03 Variable 8.82089000 N N N N N N Auris Luxembourg III SARL N/A Auris Luxembourg III SARL, First Lien Facility Term Loan B4 N/A 999893.60100000 PA USD 999893.60000000 0.101459534965 Long LON CORP LU N 2 2029-02-28 Variable 9.56384000 N N N N N N Zegona Finance plc 254900B3KC1SS7T2TE92 Zegona Finance plc 98927UAA5 2000000.00000000 PA USD 2135000.00000000 0.216639157556 Long DBT CORP GB Y 2 2029-07-15 Fixed 8.62500000 N N N N N N INEOS U.S. Finance LLC 5493008MHJ4R367SNK31 INEOS U.S. Finance LLC, First Lien 2030 Dollar Term Loan G4768PAN1 2400994.28000000 PA USD 2397392.79000000 0.243264240917 Long LON CORP US N 2 2030-02-18 Variable 8.49674000 N N N N N N Deerfield Dakota Holding LLC 549300FDREJLOIGXY104 Deerfield Dakota Holding LLC, First Lien Initial Dollar Term Loan 24440EAB3 3438149.46840000 PA USD 3363895.75000000 0.341335616575 Long LON CORP US N 2 2027-04-09 Variable 8.35367000 N N N N N N Ellucian Holdings, Inc. N/A Ellucian Holdings, Inc., First Lien 2024 Incremental Term Loan B 83578BAQ6 664307.88040000 PA USD 665731.49000000 0.067551994919 Long LON CORP US N 2 2029-10-07 Variable 8.44544000 N N N N N N Clydesdale Acquisition Holdings, Inc. 254900QKSDYFR3K5YD98 Clydesdale Acquisition Holdings, Inc., First Lien Term Loan B 18972FAC6 2440000.00000000 PA USD 2426711.76000000 0.246239246519 Long LON CORP US N 2 2029-04-13 Variable 8.02044000 N N N N N N Soliant Lower Intermediate LLC N/A Soliant Lower Intermediate LLC, First Lien Initial Term Loan 83421EAB2 1000000.00000000 PA USD 1000000.00000000 0.101470331408 Long LON CORP US N 2 2031-07-18 Variable 8.59544000 N N N N N N Varsity Brands LLC N/A Varsity Brands LLC, First Lien Initial Term Loan 92227QAE6 1600000.00000000 PA USD 1588286.40000000 0.161163947379 Long LON CORP US N 2 2031-08-26 Variable 8.82131000 N N N N N N Pra Health Sciences, Inc. 635400PUWMHSPI2DDA35 Pra Health Sciences, Inc., First Lien Term Loan B L5000DAF4 86246.28250000 PA USD 86648.10000000 0.008792211422 Long LON CORP US N 2 2028-07-03 Variable 6.60367000 N N N N N N SM Energy Co. 84BUTVXV5ODI6BXNMH43 SM Energy Co. 78454LAX8 900000.00000000 PA USD 903716.10000000 0.091700372166 Long DBT CORP US Y 2 2029-08-01 Fixed 6.75000000 N N N N N N Radiate Holdco LLC N/A Radiate Holdco LLC 75026JAC4 370000.00000000 PA USD 315656.51000000 0.032029770680 Long DBT CORP US Y 2 2026-09-15 Fixed 4.50000000 N N N N N N CPM Holdings, Inc. N/A CPM Holdings, Inc., First Lien Initial Term Loan 12620BAR1 1982506.28140000 PA USD 1877433.45000000 0.190503794368 Long LON CORP US N 2 2028-09-28 Variable 9.70055000 N N N N N N Belron Finance U.S. LLC N/A Belron Finance U.S. LLC, First Lien First Incremental Term Loan 08078UAD5 945000.00000000 PA USD 944605.94000000 0.095849477782 Long LON CORP US N 2 2025-11-13 Variable 7.83514000 N N N N N N Edelman Financial Engines Center LLC (The) 549300Z31KZXNP05U733 Edelman Financial Engines Center LLC (The), First Lien 2024 Refinancing Term Loan 27943UAL0 2606954.11040000 PA USD 2601904.44000000 0.264016105819 Long LON CORP US N 2 2028-04-07 Variable 8.09544000 N N N N N N Danby Park CLO Ltd. N/A Danby Park CLO Ltd., Series 2022-1A, Class D 236057AG0 1000000.00000000 PA USD 1008685.00000000 0.102351601236 Long ABS-CBDO CORP JE Y 2 2035-10-21 Floating 10.61201160 N N N N N N Galaxy 32 CLO Ltd. 391200J1K1EF617W8568 Galaxy 32 CLO Ltd., Series 2023-32A, Class D 362943AG7 1000000.00000000 PA USD 1005883.00000000 0.102067281367 Long ABS-CBDO CORP KY Y 2 2036-10-20 Floating 9.58200840 N N N N N N Quartz AcquireCo LLC N/A Quartz AcquireCo LLC, First Lien Term Loan B1 74773KAD7 1237500.00000000 PA USD 1231312.50000000 0.124941687442 Long LON CORP US N 2 2030-06-28 Variable 7.35367000 N N N N N N Reynolds Consumer Products, Inc. 549300DWNZYMOSR1X343 Reynolds Consumer Products, Inc., First Lien Initial Term Loan 76171JAB7 1057310.60960000 PA USD 1058632.25000000 0.107419765247 Long LON CORP US N 2 2027-02-04 Variable 6.69544000 N N N N N N Ford Motor Credit Co. LLC UDSQCVRUX5BONN0VY111 Ford Motor Credit Co. LLC 345397C35 2000000.00000000 PA USD 2123639.38000000 0.215486391680 Long DBT CORP US N 2 2027-11-04 Fixed 7.35000000 N N N N N N Vision Solutions, Inc. N/A Vision Solutions, Inc., First Lien New Term Loan B 70477BAE2 1620833.30000000 PA USD 1574234.34000000 0.159738080194 Long LON CORP US N 2 2028-04-24 Variable 9.51372000 N N N N N N Berlin Packaging LLC N/A Berlin Packaging LLC, First Lien 2024 Replacement Term Loan 08511LBB3 3983025.74100000 PA USD 3978875.43000000 0.403737808514 Long LON CORP US N 2 2031-06-09 Variable 8.89151791 N N N N N N Covanta Holding Corp. 40XIFLS8XDQGGHGPGC04 Covanta Holding Corp., First Lien Initial Term Loan C 22282GAD9 41811.85000000 PA USD 41824.90000000 0.004243986464 Long LON CORP US N 2 2028-11-30 Variable 7.58769000 N N N N N N ADMI Corp. 5493008U1LYGMQWO7N12 ADMI Corp., First Lien Amendment No.4 Refinancing Term Loan 00709LAH0 1447500.00000000 PA USD 1404798.75000000 0.142545394724 Long LON CORP US N 2 2027-12-23 Variable 8.33492000 N N N N N N NGL Energy Operating LLC N/A NGL Energy Operating LLC, First Lien Initial Term Loan 62922KAF7 530666.66670000 PA USD 527217.33000000 0.053496917199 Long LON CORP US N 2 2031-02-03 Variable 8.59544000 N N N N N N Diamond Sports Group LLC N/A Diamond Sports Group LLC, Second Lien Term Loan 25277BAG3 2898312.04020000 PA USD 31156.85000000 0.003161495895 Long LON CORP US N 2 2026-08-24 Variable 10.69950000 Y N N N N N National Mentor Holdings, Inc. N/A National Mentor Holdings, Inc., First Lien Initial Term Loan 63689EAR6 1522808.74960000 PA USD 1461182.20000000 0.148266642081 Long LON CORP US N 2 2028-03-02 Variable 8.64929487 N N N N N N Asurion LLC 549300KNQVXGIOXWK278 Asurion LLC, First Lien New Term Loan B11 04649VBC3 1403217.59400000 PA USD 1380707.18000000 0.140100815132 Long LON CORP US N 2 2028-08-21 Variable 9.19544000 N N N N N N Medline Borrower LP 254900QT3R363TVK6F09 Medline Borrower LP 62482BAB8 200000.00000000 PA USD 196236.54000000 0.019912186748 Long DBT CORP US Y 2 2029-10-01 Fixed 5.25000000 N N N N N N PMHC II, Inc. 549300GYZ1T3S8OPH343 PMHC II, Inc., First Lien Initial Term Loan 69346EAG2 2940000.00000000 PA USD 2865888.48000000 0.290802653844 Long LON CORP US N 2 2029-04-23 Variable 9.70404000 N N N N N N IRB Holding Corp. 549300HVW4WNWYBXN830 IRB Holding Corp., First Lien Term Loan B 44988LAK3 3648649.36050000 PA USD 3643329.63000000 0.369689864985 Long LON CORP US N 2 2027-12-15 Variable 7.69544000 N N N N N N Standard Building Solutions, Inc. N/A Standard Building Solutions, Inc., First Lien Initial Term Loan 85350EAB2 689882.15050000 PA USD 691434.39000000 0.070160076700 Long LON CORP US N 2 2028-09-22 Variable 6.91991000 N N N N N N MH Sub I LLC (Micro Holding Corp.) 2549005VFKP807SR8N49 MH Sub I LLC (Micro Holding Corp.), First Lien Term Loan 45567YAN5 5470087.11790000 PA USD 5430199.24000000 0.551004116495 Long LON CORP US N 2 2028-05-03 Variable 9.09544000 N N N N N N Plastipak Holdings, Inc. 549300Y39ISK7CP7EO21 Plastipak Holdings, Inc., First Lien New Tranche Term Loan B 72761JAG1 897647.06000000 PA USD 899766.40000000 0.091299594798 Long LON CORP US N 2 2028-12-01 Variable 7.44544000 N N N N N N INEOS U.S. Petrochem LLC N/A INEOS U.S. Petrochem LLC, First Lien New Term Loan B1 G4770MAL8 1886868.24470000 PA USD 1886868.24000000 0.191461145636 Long LON CORP US N 2 2029-04-02 Variable 9.19544000 N N N N N N Organon & Co. N/A Organon & Co. 68622TAB7 600000.00000000 PA USD 565272.84000000 0.057358422410 Long DBT CORP US Y 2 2031-04-30 Fixed 5.12500000 N N N N N N William Morris Endeavor Entertainment LLC 5493008R7J9HEQ30DZ33 William Morris Endeavor Entertainment LLC, First Lien Term Loan 96925HAF9 1975025.44130000 PA USD 1974201.86000000 0.200322917001 Long LON CORP US N 2 2025-05-19 Variable 7.70992000 N N N N N N Core & Main LP N/A Core & Main LP, First Lien Tranche Term Loan D 40416VAG0 2461924.24380000 PA USD 2455769.43000000 0.249187737924 Long LON CORP US N 2 2028-07-27 Variable 6.85528000 N N N N N N AI Aqua Merger Sub, Inc. 5493005QMH1D47U26R45 AI Aqua Merger Sub, Inc., First Lien Initial Term Loan B 00132UAG9 4346911.03060000 PA USD 4339995.10000000 0.440380741107 Long LON CORP US N 2 2028-07-31 Variable 8.70055000 N N N N N N Empower CLO Ltd. N/A Empower CLO Ltd., Series 2023-2A, Class D 29247BAL1 1250000.00000000 PA USD 1283682.50000000 0.130255688698 Long ABS-CBDO CORP KY Y 2 2036-07-15 Floating 10.70137080 N N N N N N Bausch + Lomb Corp. 549300NY6OZM39SO6475 Bausch + Lomb Corp., First Lien Initial Term Loan C0787FAB8 1955000.00000000 PA USD 1946040.24000000 0.197465348086 Long LON CORP US N 2 2027-05-10 Variable 8.26991000 N N N N N N Jazz Financing Lux SARL N/A Jazz Financing Lux SARL, First Lien Dollar Tranche Term Loan B2 G5080AAJ1 3606467.87510000 PA USD 3601458.49000000 0.365441186533 Long LON CORP LU N 2 2028-05-05 Variable 7.09544000 N N N N N N Everi Holdings, Inc. 5299006DK5S7BG10K532 Everi Holdings, Inc., First Lien Term Loan B 30034UAC4 1426140.28000000 PA USD 1427922.96000000 0.144891815976 Long LON CORP US N 2 2028-08-03 Variable 7.45992000 N N N N N N Caesars Entertainment, Inc. 549300FA4CTCW903Y781 Caesars Entertainment, Inc. 12769GAB6 1410000.00000000 PA USD 1473021.36000000 0.149467965570 Long DBT CORP US Y 2 2030-02-15 Fixed 7.00000000 N N N N N N CSC Holdings LLC 3HG2WD2W22M120IUNG49 CSC Holdings LLC, First Lien Term Loan B5 64072UAK8 3534096.92020000 PA USD 3228397.54000000 0.327586568301 Long LON CORP US N 2 2027-04-15 Variable 7.17346000 N N N N N N UKG, Inc. 529900FKHWSTQ1GXK240 UKG, Inc., First Lien Initial Term Loan 89841EAB1 4993045.61160000 PA USD 4993045.61000000 0.506645992783 Long LON CORP US N 2 2031-02-10 Variable 8.55463000 N N N N N N Pretium PKG Holdings, Inc. N/A Pretium PKG Holdings, Inc., Second Lien Initial Term Loan 74142KAH2 750000.00000000 PA USD 293750.25000000 0.029806935218 Long LON CORP US N 2 2029-09-30 Variable 12.06812000 N N N N N N Pegasus Bidco BV N/A Pegasus Bidco BV, First Lien Term Loan B N6872PAJ0 1572120.00000000 PA USD 1574085.15000000 0.159722941835 Long LON CORP NL N 2 2029-07-12 Variable 8.86809000 N N N N N N LifePoint Health, Inc. 549300G8ZVHRTBBBSZ90 LifePoint Health, Inc. 53219LAX7 1000000.00000000 PA USD 1099367.00000000 0.111553133829 Long DBT CORP US Y 2 2032-06-01 Fixed 10.00000000 N N N N N N Civitas Resources, Inc. IIVIHPH28S64K95M2381 Civitas Resources, Inc. 17888HAC7 1130000.00000000 PA USD 1197209.01000000 0.121481195009 Long DBT CORP US Y 2 2030-11-01 Fixed 8.62500000 N N N N N N Wand NewCo 3, Inc. N/A Wand NewCo 3, Inc., First Lien Initial Term Loan 93369PAL8 3324999.99670000 PA USD 3319330.87000000 0.336813603432 Long LON CORP US N 2 2031-01-30 Variable 8.00649470 N N N N N N Alpha Generation LLC N/A Alpha Generation LLC, First Lien Term Loan B 02072UAC6 600000.00000000 PA USD 600000.00000000 0.060882198844 Long LON CORP US N 2 2031-09-19 Variable 6.94705000 N N N N N N Cobham Ultra SeniorCo SARL N/A Cobham Ultra SeniorCo SARL, First Lien USD Facility Term Loan B L1802PAC3 1972692.85760000 PA USD 1884274.79000000 0.191197987405 Long LON CORP US N 2 2029-08-03 Variable 9.24483000 N N N N N N AlixPartners LLP 5493005G2MHUFTGARL57 AlixPartners LLP, First Lien Initial Dollar Term Loan 01642PBB1 1447496.65250000 PA USD 1448301.46000000 0.146959629125 Long LON CORP US N 2 2028-02-04 Variable 7.45992000 N N N N N N 2024-10-31 NEW YORK LIFE INVESTMENTS VP FUNDS TRUST Jack Benintende Jack Benintende Treasurer XXXX NPORT-EX 2 VP0930.htm MSVP 09.30.24
NYLI VP Balanced Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 32.2%
Asset-Backed Securities 1.0%
Other Asset-Backed Securities 1.0% 
Ballyrock CLO 23 Ltd.    
Series 2023-23A, Class A1                       
7.265% (3 Month SOFR + 1.98%), due 4/25/36 (Jersey, C.I.) (a)(b) $      600,000 $     603,486
Barings CLO Ltd.    
Series 2024-1A, Class B                       
7.369% (3 Month SOFR + 2.10%), due 1/20/37 (Cayman Islands) (a)(b)     500,000      504,111
Benefit Street Partners CLO XXX Ltd.    
Series 2023-30A, Class A    
7.385% (3 Month SOFR + 2.10%), due 4/25/36 (Jersey, C.I.) (a)(b) 600,000 603,047
Carlyle Global Market Strategies CLO Ltd.    
Series 2013-3A, Class A2R    
6.963% (3 Month SOFR + 1.662%), due 10/15/30 (Cayman Islands) (a)(b) 800,000 801,472
Invesco US CLO Ltd.    
Series 2024-3A, Class A    
6.829% (3 Month SOFR + 1.51%), due 7/20/37 (Jersey, C.I.) (a)(b) 444,444 446,061
Juniper Valley Park CLO Ltd.    
Series 2023-1A, Class BR    
6.832% (3 Month SOFR + 1.55%), due 7/20/36 (Jersey, C.I.) (a)(b) 500,000 500,540
Store Master Funding I-VII XIV XIX XX    
Series 2021-1A, Class A1    
2.12%, due 6/20/51 (a) 239,789 216,162
    3,674,879
Total Asset-Backed Securities
(Cost $3,681,518)
  3,674,879
Corporate Bonds 13.9%
Aerospace & Defense 0.3% 
BAE Systems plc    
5.125%, due 3/26/29 (United Kingdom) (a) 670,000 689,384
Boeing Co. (The)    
5.15%, due 5/1/30 230,000 230,552
5.805%, due 5/1/50 95,000 91,781
HEICO Corp.    
5.35%, due 8/1/33 (c) 170,000 176,708
    1,188,425
Auto Manufacturers 0.6% 
Ford Motor Co.    
3.25%, due 2/12/32 (c) 175,000 149,034
Ford Motor Credit Co. LLC    
4.542%, due 8/1/26 355,000 351,981
General Motors Financial Co., Inc. (c)    
4.90%, due 10/6/29 485,000 485,550
6.05%, due 10/10/25 505,000 511,199
Hyundai Capital America    
5.68%, due 6/26/28 (a)(c) 460,000 477,149

  Principal
Amount
Value
Corporate Bonds
Auto Manufacturers  
Volkswagen Group of America Finance LLC    
5.60%, due 3/22/34 (Germany) (a) $      230,000 $     235,357
    2,210,270
Auto Parts & Equipment 0.1% 
Aptiv plc    
3.25%, due 3/1/32 (c)     260,000      232,709
BorgWarner, Inc.    
4.95%, due 8/15/29     265,000     269,409
    502,118
Banks 4.4% 
ABN AMRO Bank NV    
6.339% (1 Year Treasury Constant Maturity Rate + 1.65%), due 9/18/27 (Netherlands) (a)(b) 315,000 326,092
Bank of America Corp. (d)    
1.734%, due 7/22/27 845,000 806,712
2.087%, due 6/14/29 675,000 623,332
5.202%, due 4/25/29 530,000 544,950
5.468%, due 1/23/35 155,000 162,999
Bank of New York Mellon Corp. (The)    
6.474%, due 10/25/34 (d) 140,000 158,230
Barclays plc    
7.385% (1 Year Treasury Constant Maturity Rate + 3.30%), due 11/2/28 (United Kingdom) (b) 325,000 351,023
Citigroup, Inc. (d)    
2.014%, due 1/25/26 (c) 733,000 725,589
5.61%, due 9/29/26 885,000 892,671
6.174%, due 5/25/34 325,000 346,773
Citizens Bank NA    
6.064%, due 10/24/25 (d) 320,000 319,994
Citizens Financial Group, Inc.    
6.645%, due 4/25/35 (d) 210,000 230,558
Danske Bank A/S    
6.466% (1 Year Treasury Constant Maturity Rate + 2.10%), due 1/9/26 (Denmark) (a)(b) 690,000 692,285
Deutsche Bank AG    
7.079%, due 2/10/34 (Germany) (d) 210,000 226,186
Goldman Sachs Group, Inc. (The)    
6.484%, due 10/24/29 (d) 275,000 296,131
HSBC Holdings plc (United Kingdom) (d)    
6.547%, due 6/20/34 260,000 284,483
7.39%, due 11/3/28 395,000 427,626
JPMorgan Chase & Co. (d)    
5.012%, due 1/23/30 475,000 487,162
5.04%, due 1/23/28 490,000 498,196
5.546%, due 12/15/25 595,000 595,343
5.571%, due 4/22/28 235,000 242,301
5.581%, due 4/22/30 470,000 493,307
Morgan Stanley (d)    
4.679%, due 7/17/26 1,150,000 1,148,378

  Principal
Amount
Value
Corporate Bonds
Banks  
Morgan Stanley (d)    
5.173%, due 1/16/30 $      125,000 $     128,856
5.32%, due 7/19/35     150,000      155,763
5.656%, due 4/18/30     245,000      257,719
Morgan Stanley Bank NA    
4.754%, due 4/21/26     340,000      343,135
4.952%, due 1/14/28 (d)     250,000      253,770
PNC Financial Services Group, Inc. (The) (d)    
6.615%, due 10/20/27 430,000 449,381
6.875%, due 10/20/34 60,000 68,699
Toronto-Dominion Bank (The)    
5.146% (5 Year Treasury Constant Maturity Rate + 1.50%), due 9/10/34 (Canada) (b)(c) 270,000 272,578
Truist Bank    
4.632% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (b) 250,000 248,642
Truist Financial Corp.    
5.122%, due 1/26/34 (d) 130,000 131,428
U.S. Bancorp (d)    
4.653%, due 2/1/29 135,000 136,307
6.787%, due 10/26/27 305,000 320,304
UBS AG    
7.95%, due 1/9/25 (Switzerland) 805,000 811,231
UBS Group AG (Switzerland) (a)    
5.428% (1 Year Treasury Constant Maturity Rate + 1.52%), due 2/8/30  (b) 265,000 273,963
6.442%, due 8/11/28  (d) 440,000 462,881
Wells Fargo & Co. (d)    
5.198%, due 1/23/30 690,000 711,333
5.499%, due 1/23/35 300,000 314,487
    16,220,798
Beverages 0.1% 
Constellation Brands, Inc.    
4.90%, due 5/1/33 (c) 270,000 272,817
Keurig Dr Pepper, Inc.    
Series 10    
5.20%, due 3/15/31 100,000 104,404
    377,221
Biotechnology 0.1% 
Amgen, Inc.    
5.15%, due 3/2/28 250,000 257,428
Chemicals 0.2% 
Celanese US Holdings LLC    
6.33%, due 7/15/29 (c) 335,000 355,243
6.55%, due 11/15/30 185,000 199,409
    554,652

  Principal
Amount
Value
Corporate Bonds
Commercial Services 0.1% 
Global Payments, Inc.    
2.15%, due 1/15/27 $      325,000 $     309,761
Computers 0.1% 
Dell International LLC    
5.40%, due 4/15/34 (c)     105,000      109,568
Hewlett Packard Enterprise Co.    
4.55%, due 10/15/29     425,000     423,909
    533,477
Diversified Financial Services 0.6% 
AerCap Ireland Capital DAC    
4.625%, due 9/10/29 (Ireland) 425,000 425,210
American Express Co.    
6.489%, due 10/30/31 (d) 305,000 337,175
Ares Management Corp.    
6.375%, due 11/10/28 335,000 360,251
Blackstone Holdings Finance Co. LLC    
5.90%, due 11/3/27 (a)(c) 500,000 523,244
Charles Schwab Corp. (The)    
6.196%, due 11/17/29 (d) 370,000 395,526
Intercontinental Exchange, Inc.    
3.625%, due 9/1/28 (c) 100,000 97,660
    2,139,066
Electric 1.7% 
AEP Texas, Inc.    
4.70%, due 5/15/32 45,000 45,160
American Electric Power Co., Inc.    
5.625%, due 3/1/33 175,000 184,633
Appalachian Power Co.    
Series BB    
4.50%, due 8/1/32 35,000 34,531
Arizona Public Service Co.    
5.55%, due 8/1/33 330,000 344,047
Connecticut Light and Power Co. (The)    
4.95%, due 8/15/34 305,000 313,604
Duke Energy Carolinas LLC    
4.95%, due 1/15/33 170,000 175,246
Duke Energy Corp.    
2.45%, due 6/1/30 195,000 175,908
4.50%, due 8/15/32 130,000 128,548
Duke Energy Ohio, Inc.    
5.25%, due 4/1/33 60,000 62,634
Enel Finance America LLC    
7.10%, due 10/14/27 (Italy) (a) 200,000 214,846
Entergy Arkansas LLC    
5.15%, due 1/15/33 (c) 180,000 187,199

  Principal
Amount
Value
Corporate Bonds
Electric  
Entergy Louisiana LLC    
5.15%, due 9/15/34 $      300,000 $     309,064
Florida Power & Light Co.    
5.05%, due 4/1/28     520,000      536,676
Georgia Power Co.    
4.65%, due 5/16/28     605,000      615,966
National Rural Utilities Cooperative Finance Corp.    
5.05%, due 9/15/28     260,000      268,504
Pacific Gas and Electric Co.    
5.45%, due 6/15/27 320,000 327,615
6.10%, due 1/15/29 (c) 190,000 200,600
6.15%, due 1/15/33 (c) 365,000 391,832
6.40%, due 6/15/33 (c) 90,000 98,371
PECO Energy Co.    
4.90%, due 6/15/33 245,000 251,372
Southern California Edison Co.    
5.30%, due 3/1/28 310,000 320,658
5.95%, due 11/1/32 145,000 157,808
Southern Co. (The)    
5.15%, due 10/6/25 (c) 190,000 191,385
5.70%, due 10/15/32 90,000 96,448
Virginia Electric and Power Co.    
5.05%, due 8/15/34 300,000 307,960
Xcel Energy, Inc.    
5.50%, due 3/15/34 230,000 239,213
    6,179,828
Electronics 0.1% 
Honeywell International, Inc.    
5.00%, due 3/1/35 300,000 312,273
Entertainment 0.0%  ‡
Warnermedia Holdings, Inc.    
4.054%, due 3/15/29 192,000 181,888
Environmental Control 0.3% 
Waste Connections, Inc.    
2.60%, due 2/1/30 (c) 380,000 350,775
Waste Management, Inc.    
4.95%, due 7/3/31 (c) 570,000 593,256
    944,031
Food 0.1% 
Kraft Heinz Foods Co.    
3.75%, due 4/1/30 105,000 102,431

  Principal
Amount
Value
Corporate Bonds
Food  
Tyson Foods, Inc.    
5.40%, due 3/15/29 $      420,000 $     436,111
    538,542
Gas 0.1% 
CenterPoint Energy Resources Corp.    
1.75%, due 10/1/30     420,000      361,169
Southwest Gas Corp.    
5.45%, due 3/23/28     180,000     185,614
    546,783
Healthcare-Products 0.3% 
Baxter International, Inc.    
3.95%, due 4/1/30 480,000 469,149
Solventum Corp.    
5.45%, due 2/25/27 (a) 480,000 489,914
    959,063
Healthcare-Services 0.1% 
Cigna Group (The)    
5.25%, due 2/15/34 155,000 160,509
HCA, Inc.    
3.625%, due 3/15/32 420,000 388,380
    548,889
Home Furnishings 0.1% 
Leggett & Platt, Inc.    
4.40%, due 3/15/29 (c) 511,000 492,109
Insurance 0.4% 
Corebridge Global Funding (a)    
5.20%, due 1/12/29 430,000 441,734
5.20%, due 6/24/29 275,000 283,775
RGA Global Funding    
6.00%, due 11/21/28 (a) 555,000 588,599
    1,314,108
Internet 0.2% 
Amazon.com, Inc.    
2.10%, due 5/12/31 355,000 314,255
Meta Platforms, Inc.    
3.85%, due 8/15/32 365,000 354,820
    669,075
Investment Companies 0.1% 
Blackstone Private Credit Fund    
7.05%, due 9/29/25 (c) 350,000 356,571

  Principal
Amount
Value
Corporate Bonds
Media 0.1% 
Paramount Global    
4.20%, due 5/19/32 $      490,000 $     434,515
Mining 0.0%  ‡
Newmont Corp.    
5.35%, due 3/15/34     155,000     162,435
Miscellaneous—Manufacturing 0.0%  ‡
3M Co.    
3.05%, due 4/15/30     169,000     160,297
Oil & Gas 0.2% 
Occidental Petroleum Corp.    
5.20%, due 8/1/29 455,000 462,553
Patterson-UTI Energy, Inc.    
7.15%, due 10/1/33 325,000 349,962
    812,515
Packaging & Containers 0.1% 
Berry Global, Inc.    
5.65%, due 1/15/34 (a) 240,000 246,390
Pharmaceuticals 0.5% 
AbbVie, Inc.    
2.95%, due 11/21/26 (c) 190,000 185,998
5.05%, due 3/15/34 305,000 318,579
CVS Health Corp.    
3.75%, due 4/1/30 140,000 134,157
5.30%, due 6/1/33 55,000 56,205
5.40%, due 6/1/29 550,000 570,535
Merck & Co., Inc.    
2.15%, due 12/10/31 385,000 337,387
Pfizer Investment Enterprises Pte. Ltd.    
4.75%, due 5/19/33 175,000 178,377
    1,781,238
Pipelines 0.5% 
Columbia Pipelines Operating Co. LLC    
5.927%, due 8/15/30 (a) 215,000 227,694
Energy Transfer LP    
3.75%, due 5/15/30 150,000 143,291
5.75%, due 2/15/33 165,000 172,567
Enterprise Products Operating LLC    
4.85%, due 1/31/34 (c) 330,000 334,772
MPLX LP    
5.50%, due 6/1/34 305,000 313,351

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Targa Resources Corp.    
5.50%, due 2/15/35 (c) $      200,000 $     205,976
Targa Resources Partners LP    
5.50%, due 3/1/30 (c)     595,000     605,888
    2,003,539
Real Estate Investment Trusts 0.6% 
American Tower Corp.    
2.10%, due 6/15/30     515,000      453,580
CubeSmart LP    
2.25%, due 12/15/28 290,000 266,705
Host Hotels & Resorts LP    
Series I    
3.50%, due 9/15/30 250,000 231,851
5.50%, due 4/15/35 (c) 290,000 294,204
5.70%, due 7/1/34 230,000 237,481
Simon Property Group LP    
1.75%, due 2/1/28 (c) 375,000 347,402
Sun Communities Operating LP    
2.70%, due 7/15/31 345,000 301,679
    2,132,902
Retail 0.3% 
Home Depot, Inc. (The)    
1.875%, due 9/15/31 310,000 266,882
4.95%, due 6/25/34 300,000 311,888
Lowe's Cos., Inc.    
4.80%, due 4/1/26 245,000 246,959
5.00%, due 4/15/33 170,000 175,323
5.15%, due 7/1/33 85,000 88,586
    1,089,638
Semiconductors 0.3% 
Broadcom, Inc.    
2.45%, due 2/15/31 (a)(c) 315,000 279,146
Intel Corp.    
5.125%, due 2/10/30 235,000 240,105
5.15%, due 2/21/34 (c) 155,000 156,606
QUALCOMM, Inc.    
2.15%, due 5/20/30 (c) 410,000 370,945
    1,046,802
Software 0.3% 
Fiserv, Inc.    
5.35%, due 3/15/31 405,000 423,634
Oracle Corp.    
4.30%, due 7/8/34 250,000 241,956

  Principal
Amount
Value
Corporate Bonds
Software  
Oracle Corp.    
4.50%, due 5/6/28 (c) $      180,000 $     182,215
6.15%, due 11/9/29     160,000     173,087
    1,020,892
Telecommunications 0.6% 
AT&T, Inc.    
2.25%, due 2/1/32      60,000       51,501
4.35%, due 3/1/29     775,000      779,688
T-Mobile USA, Inc.    
2.625%, due 4/15/26 545,000 531,116
2.625%, due 2/15/29 130,000 121,095
5.75%, due 1/15/34 320,000 343,642
Verizon Communications, Inc.    
2.10%, due 3/22/28 300,000 279,910
4.016%, due 12/3/29 2,000 1,971
    2,108,923
Transportation 0.2% 
Norfolk Southern Corp.    
3.00%, due 3/15/32 200,000 182,214
Union Pacific Corp.    
2.80%, due 2/14/32 200,000 181,961
United Parcel Service, Inc.    
4.45%, due 4/1/30 180,000 183,561
5.15%, due 5/22/34 300,000 315,313
    863,049
Trucking & Leasing 0.1% 
Penske Truck Leasing Co. LP    
5.75%, due 5/24/26 (a) 190,000 193,442
Total Corporate Bonds
(Cost $49,968,766)
  51,392,953
Foreign Government Bond 0.1%
France 0.1% 
Electricite de France SA    
5.65%, due 4/22/29 (a) 295,000 309,764
Total Foreign Government Bond
(Cost $294,614)
  309,764
Mortgage-Backed Securities 0.4%
Agency (Collateralized Mortgage Obligation) 0.2% 
FHLMC    
REMIC, Series 5425, Class KB    
6.00%, due 6/25/54 750,000 777,073

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligation) 0.1% 
Citigroup Commercial Mortgage Trust    
Series 2020-GC46, Class A5                       
2.717%, due 2/15/53 $      500,000 $     455,818
Whole Loan (Collateralized Mortgage Obligation) 0.1% 
BRAVO Residential Funding Trust    
Series 2023-NQM8, Class A1                       
6.394%, due 10/25/63 (a)(e)     441,665     448,726
Total Mortgage-Backed Securities
(Cost $1,735,807)
  1,681,617
U.S. Government & Federal Agencies 16.8%
United States Treasury Bonds 0.1% 
U.S. Treasury Bonds    
4.25%, due 8/15/54 210,000 214,430
4.625%, due 5/15/44 200,000 211,969
    426,399
United States Treasury Notes 16.7% 
U.S. Treasury Notes    
2.75%, due 6/30/25 7,630,000 7,556,532
3.375%, due 9/15/27 15,000,000 14,923,828
3.50%, due 9/30/26 22,525,000 22,462,528
3.50%, due 9/30/29 4,875,000 4,860,527
3.625%, due 9/30/31 11,085,000 11,064,216
3.875%, due 8/15/34 710,000 714,992
    61,582,623
Total U.S. Government & Federal Agencies
(Cost $62,104,724)
  62,009,022
Total Long-Term Bonds
(Cost $117,785,429)
  119,068,235
 
  Shares  
 
Common Stocks 59.1%
Aerospace & Defense 1.7% 
General Dynamics Corp. 9,292 2,808,043
L3Harris Technologies, Inc. 14,613 3,475,994
    6,284,037
Air Freight & Logistics 1.0% 
United Parcel Service, Inc., Class B 26,458 3,607,284
Automobile Components 0.8% 
Gentex Corp. 99,677 2,959,410

  Shares Value
Common Stocks
Banks 4.2% 
JPMorgan Chase & Co.     39,471 $   8,322,855
M&T Bank Corp.     21,930    3,906,171
PNC Financial Services Group, Inc. (The)     17,762   3,283,306
    15,512,332
Beverages 1.4% 
Keurig Dr Pepper, Inc.     79,550    2,981,534
Pernod Ricard SA, Sponsored ADR (France)     75,101   2,278,564
    5,260,098
Biotechnology 1.0% 
Gilead Sciences, Inc.     44,292   3,713,441
Building Products 1.7% 
Fortune Brands Innovations, Inc.     29,776    2,665,845
Johnson Controls International plc     45,027   3,494,546
    6,160,391
Capital Markets 5.7% 
Ares Management Corp.     20,130    3,137,059
Intercontinental Exchange, Inc. 18,539 2,978,105
KKR & Co., Inc. 23,194 3,028,672
LPL Financial Holdings, Inc. 10,820 2,517,057
Morgan Stanley 33,467 3,488,600
Nasdaq, Inc. 31,066 2,268,129
Raymond James Financial, Inc. 29,555 3,619,305
    21,036,927
Chemicals 1.3% 
Axalta Coating Systems Ltd.  (f) 67,052 2,426,612
Celanese Corp. 17,581 2,390,313
    4,816,925
Communications Equipment 2.4% 
Cisco Systems, Inc. 101,644 5,409,494
F5, Inc.  (f) 15,763 3,471,012
    8,880,506
Consumer Staples Distribution & Retail 0.8% 
U.S. Foods Holding Corp.  (f) 46,859 2,881,828
Distributors 0.3% 
LKQ Corp. 27,361 1,092,251
Diversified Consumer Services 0.6% 
H&R Block, Inc. 34,540 2,195,017

  Shares Value
Common Stocks
Electrical Equipment 0.9% 
Emerson Electric Co.     30,741 $   3,362,143
Electronic Equipment, Instruments & Components 0.9% 
Corning, Inc.     73,650   3,325,297
Entertainment 0.9% 
Electronic Arts, Inc.     22,159   3,178,487
Food Products 0.7% 
Archer-Daniels-Midland Co.     46,425   2,773,430
Gas Utilities 0.9% 
Atmos Energy Corp.     24,045   3,335,282
Ground Transportation 0.6% 
Knight-Swift Transportation Holdings, Inc.     40,609   2,190,856
Health Care Equipment & Supplies 0.9% 
Boston Scientific Corp.  (f)     38,516   3,227,641
Health Care Providers & Services 4.4% 
Centene Corp.  (f)     49,468    3,723,951
Elevance Health, Inc.      8,219    4,273,880
UnitedHealth Group, Inc. 14,295 8,358,001
    16,355,832
Hotels, Restaurants & Leisure 1.3% 
Starbucks Corp. 27,799 2,710,125
Wyndham Hotels & Resorts, Inc. 29,288 2,288,564
    4,998,689
Household Durables 0.7% 
Lennar Corp., Class A 13,903 2,606,534
Industrial Conglomerates 0.8% 
3M Co. 21,406 2,926,200
Insurance 2.8% 
American International Group, Inc. 47,971 3,512,916
Everest Group Ltd. 6,660 2,609,588
MetLife, Inc. 51,828 4,274,774
    10,397,278
Interactive Media & Services 0.6% 
Alphabet, Inc., Class C 14,202 2,374,432

  Shares Value
Common Stocks
IT Services 0.8% 
Amdocs Ltd.     32,254 $   2,821,580
Machinery 0.7% 
Middleby Corp. (The)  (f)     17,462   2,429,488
Media 0.8% 
Omnicom Group, Inc.     29,294   3,028,707
Multi-Utilities 1.6% 
Sempra     42,166    3,526,343
WEC Energy Group, Inc.     26,103   2,510,586
    6,036,929
Oil, Gas & Consumable Fuels 4.9% 
Antero Resources Corp.  (f)     87,039    2,493,667
ConocoPhillips     31,400    3,305,792
Coterra Energy, Inc.    107,944    2,585,259
EOG Resources, Inc.     22,332    2,745,273
Hess Corp.     13,722    1,863,448
Phillips 66     22,440    2,949,738
Targa Resources Corp. 14,358 2,125,127
    18,068,304
Personal Care Products 1.4% 
Kenvue, Inc. 121,497 2,810,225
Unilever plc, Sponsored ADR (United Kingdom) 35,805 2,325,893
    5,136,118
Pharmaceuticals 5.1% 
AstraZeneca plc, Sponsored ADR (United Kingdom) 30,328 2,362,854
Johnson & Johnson 39,016 6,322,933
Merck & Co., Inc. 25,919 2,943,362
Pfizer, Inc. 161,346 4,669,353
Roche Holding AG 8,266 2,642,854
    18,941,356
Real Estate Management & Development 0.8% 
CBRE Group, Inc., Class A  (f) 23,493 2,924,409
Semiconductors & Semiconductor Equipment 1.4% 
NXP Semiconductors NV (China) 13,691 3,285,977
QUALCOMM, Inc. 12,212 2,076,651
    5,362,628
Software 0.6% 
Adobe, Inc.  (f) 4,088 2,116,685

  Shares   Value
Common Stocks
Specialized REITs 1.7% 
Crown Castle, Inc.     26,854   $   3,185,690
Gaming and Leisure Properties, Inc.     60,949     3,135,826
      6,321,516
Total Common Stocks
(Cost $175,672,983)
    218,640,268
Exchange-Traded Funds 6.3%
iShares Intermediate Government/Credit Bond ETF (c)     75,230      8,057,133
iShares Russell 1000 Value ETF     48,509      9,207,008
Vanguard Russell 1000 Value (c)     71,403     5,950,012
Total Exchange-Traded Funds
(Cost $19,939,158)
    23,214,153
Short-Term Investments 1.8%
Affiliated Investment Company 0.3% 
NYLI U.S. Government Liquidity Fund, 4.88% (g)  1,053,472     1,053,472
Unaffiliated Investment Company 1.5% 
Invesco Government & Agency Portfolio, 4.917% (g)(h)  5,861,549     5,861,549
Total Short-Term Investments
(Cost $6,915,021)
    6,915,021
Total Investments
(Cost $320,312,591)
99.4%   367,837,677
Other Assets, Less Liabilities 0.6   2,124,759
Net Assets 100.0%   $ 369,962,436
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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, 2024.
(c) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $6,384,127; the total market value of collateral held by the Portfolio was $6,640,526. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $778,977. The Portfolio received cash collateral with a value of $5,861,549.  
(d) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(e) Step coupon—Rate shown was the rate in effect as of September 30, 2024.
(f) Non-income producing security.
(g) Current yield as of September 30, 2024.
(h) Represents a security purchased with cash collateral received for securities on loan.

Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 1,725 $ 31,502 $ (32,174) $ — $ — $ 1,053 $ 78 $ — 1,053
Futures Contracts
As of September 30, 2024, 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          
U.S. Treasury 5 Year Notes 108 December 2024  $ 11,847,483  $ 11,867,344  $ 19,861
U.S. Treasury 10 Year Ultra Bonds 11 December 2024   1,301,232   1,301,265      33
Total Long Contracts         19,894
Short Contracts          
U.S. Treasury 2 Year Notes (17) December 2024   (3,530,526)   (3,540,117)   (9,591)
U.S. Treasury Long Bonds (2) December 2024     (249,387)     (248,375)   1,012
U.S. Treasury Ultra Bonds (3) December 2024     (402,291)     (399,281)   3,010
Total Short Contracts         (5,569)
Net Unrealized Appreciation         $ 14,325
    
1. As of September 30, 2024, cash in the amount of $154,740 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, 2024.
Abbreviation(s):
ADR—American Depositary Receipt
CLO—Collateralized Loan Obligation
ETF—Exchange-Traded Fund
FHLMC—Federal Home Loan Mortgage Corp.
REIT—Real Estate Investment Trust
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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           $ —      $ 3,674,879   $ —      $ 3,674,879
Corporate Bonds           —     51,392,953       51,392,953
Foreign Government Bond           —        309,764          309,764
Mortgage-Backed Securities           —      1,681,617        1,681,617
U.S. Government & Federal Agencies           —     62,009,022       62,009,022
Total Long-Term Bonds   119,068,235     119,068,235
Common Stocks  218,640,268             —      218,640,268
Exchange-Traded Funds   23,214,153             —       23,214,153
Short-Term Investments              
Affiliated Investment Company    1,053,472             —        1,053,472
Unaffiliated Investment Company    5,861,549             —        5,861,549
Total Short-Term Investments 6,915,021       6,915,021
Total Investments in Securities 248,769,442   119,068,235     367,837,677
Other Financial Instruments              
Futures Contracts (b)       23,916             —           23,916
Total Investments in Securities and Other Financial Instruments $ 248,793,358   $ 119,068,235   $ —   $ 367,861,593
Liability Valuation Inputs              
Other Financial Instruments              
Futures Contracts (b)        $ (9,591)             $ —   $ —          $ (9,591)
    
(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.

NYLI VP Bond Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 98.1%
Asset-Backed Securities 7.4%
Home Equity Asset-Backed Securities 0.1% 
Chase Funding Trust  
Series 2002-2, Class 1A5                       
6.333%, due 4/25/32 (a) $        4,363 $       4,341
J.P. Morgan Mortgage Acquisition Trust  
Series 2007-CH2, Class AF3                       
4.347%, due 10/25/30 (a)     387,950      198,961
Morgan Stanley Mortgage Loan Trust  
Series 2006-17XS, Class A3A    
6.151%, due 10/25/46 (a) 751,078 222,075
    425,377
Other Asset-Backed Securities 7.3% 
AGL CLO 29 Ltd.  
Series 2024-29A, Class B    
7.332% (3 Month SOFR + 2.05%), due 4/21/37 (b)(c) 2,250,000 2,267,973
ALLO Issuer LLC  
Series 2023-1A, Class A2    
6.20%, due 6/20/53 (b) 2,200,000 2,256,679
Barings CLO Ltd.  
Series 2024-1A, Class B    
7.369% (3 Month SOFR + 2.10%), due 1/20/37 (b)(c) 1,000,000 1,008,222
Barings Loan Partners CLO Ltd. 3  
Series LP-3A, Class BR    
7.382% (3 Month SOFR + 2.10%), due 7/20/33 (b)(c) 2,250,000 2,251,712
Benefit Street Partners CLO XIX Ltd.  
Series 2019-19A, Class BR    
6.901% (3 Month SOFR + 1.60%), due 1/15/33 (b)(c) 2,000,000 2,000,500
Capital Automotive REIT  
Series 2024-2A, Class A2    
5.25%, due 5/15/54 (b) 1,742,708 1,741,260
Cars Net Lease Mortgage Notes  
Series 2020-1A, Class A2    
2.48%, due 12/15/50 (b) 1,942,500 1,652,544
CARS-DB7 LP  
Series 2023-1A, Class A2    
6.50%, due 9/15/53 (b) 1,728,125 1,770,787
College Ave Student Loans LLC  
Series 2024-B, Class A1A    
5.69%, due 8/25/54 (b) 2,451,167 2,513,287
CyrusOne Data Centers Issuer I LLC  
Series 2023-1A, Class A2    
4.30%, due 4/20/48 (b) 2,750,000 2,662,722
Frontier Issuer LLC  
Series 2024-1, Class A2    
6.19%, due 6/20/54 (b) 2,000,000 2,083,159

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Juniper Valley Park CLO Ltd.  
Series 2023-1A, Class BR                       
6.832% (3 Month SOFR + 1.55%), due 7/20/36 (b)(c) $    2,000,000 $   2,002,162
Lewey Park CLO Ltd.  
Series 2024-1A, Class B1                       
(zero coupon) (3 Month SOFR + 1.70%), due 10/20/37 (b)(c)(d)   2,000,000    2,000,000
Onemain Financial Issuance Trust  
Series 2024-1A, Class C                       
6.42%, due 5/14/41 (b) 1,500,000 1,615,294
Owl Rock CLO XIV LLC  
Series 2023-14A, Class A    
7.682% (3 Month SOFR + 2.40%), due 10/20/35 (b)(c) 2,500,000 2,521,690
SMB Private Education Loan Trust  
Series 2021-A, Class B    
2.31%, due 1/15/53 (b) 2,011,499 1,920,955
Subway Funding LLC  
Series 2024-3A, Class A2II    
5.566%, due 7/30/54 (b) 2,000,000 2,002,945
Sunnova Helios XIII Issuer LLC  
Series 2024-A, Class A    
5.30%, due 2/20/51 (b) 1,499,707 1,458,872
Sunnova Helios XIV Issuer LLC  
Series 2024-B, Class A    
6.15%, due 5/22/51 (b) 3,156,818 3,176,955
Voya CLO Ltd.  
Series 2022-4A, Class BR    
7.232% (3 Month SOFR + 1.95%), due 4/20/37 (b)(c) 2,000,000 2,012,340
Ziply Fiber Issuer LLC  
Series 2024-1A, Class A2    
6.64%, due 4/20/54 (b) 2,400,000 2,477,335
    43,397,393
Total Asset-Backed Securities
(Cost $43,389,977)
  43,822,770
Corporate Bonds 46.3%
Aerospace & Defense 1.3% 
BAE Systems plc (b)    
5.125%, due 3/26/29 1,380,000 1,419,925
5.50%, due 3/26/54 430,000 450,646
Boeing Co. (The)    
5.15%, due 5/1/30 1,190,000 1,192,859
5.805%, due 5/1/50 495,000 478,229
HEICO Corp.    
5.35%, due 8/1/33 865,000 899,131
L3Harris Technologies, Inc.    
5.40%, due 7/31/33 430,000 449,155

  Principal
Amount
Value
Corporate Bonds
Aerospace & Defense  
Lockheed Martin Corp.    
4.75%, due 2/15/34 $    1,095,000 $   1,123,135
RTX Corp.    
6.40%, due 3/15/54   1,225,000   1,446,367
    7,459,447
Auto Manufacturers 2.4% 
Ford Motor Credit Co. LLC    
4.542%, due 8/1/26   1,870,000    1,854,095
7.122%, due 11/7/33 1,780,000 1,924,361
General Motors Financial Co., Inc.    
4.90%, due 10/6/29 2,350,000 2,352,664
5.80%, due 1/7/29 980,000 1,019,307
6.05%, due 10/10/25 3,295,000 3,335,449
Hyundai Capital America    
5.68%, due 6/26/28 (b) 2,350,000 2,437,608
Volkswagen Group of America Finance LLC    
5.60%, due 3/22/34 (b) 1,390,000 1,422,374
    14,345,858
Auto Parts & Equipment 0.2% 
Aptiv plc    
4.15%, due 5/1/52 730,000 565,978
BorgWarner, Inc.    
5.40%, due 8/15/34 765,000 781,075
    1,347,053
Banks 13.3% 
ABN AMRO Bank NV    
6.339% (1 Year Treasury Constant Maturity Rate + 1.65%), due 9/18/27 (b)(c) 1,655,000 1,713,278
Bank of America Corp. (e)    
1.734%, due 7/22/27 3,345,000 3,193,433
2.087%, due 6/14/29 1,590,000 1,468,293
5.288%, due 4/25/34 1,350,000 1,403,565
5.468%, due 1/23/35 1,290,000 1,356,569
Bank of New York Mellon Corp. (The)    
6.474%, due 10/25/34 (e) 725,000 819,404
Barclays plc    
7.119%, due 6/27/34 (e) 930,000 1,035,586
Citigroup, Inc. (e)    
5.61%, due 9/29/26 3,705,000 3,737,115
6.174%, due 5/25/34 1,640,000 1,749,871
Citizens Bank NA    
6.064%, due 10/24/25 (e) 1,750,000 1,749,969
Citizens Financial Group, Inc.    
6.645%, due 4/25/35 (e) 1,080,000 1,185,724
Cooperatieve Rabobank UA    
4.655% (1 Year Treasury Constant Maturity Rate + 1.75%), due 8/22/28 (b)(c) 1,495,000 1,506,598

  Principal
Amount
Value
Corporate Bonds
Banks  
Danske Bank A/S    
6.466% (1 Year Treasury Constant Maturity Rate + 2.10%), due 1/9/26 (b)(c) $    3,420,000 $   3,431,327
Deutsche Bank AG    
7.079%, due 2/10/34 (e)   1,200,000    1,292,491
Goldman Sachs Group, Inc. (The)    
6.484%, due 10/24/29 (e)   2,835,000    3,052,837
HSBC Holdings plc (e)    
6.547%, due 6/20/34   1,320,000    1,444,299
7.39%, due 11/3/28 2,415,000 2,614,474
HSBC USA, Inc.    
5.625%, due 3/17/25 3,405,000 3,416,798
JPMorgan Chase & Co. (e)    
2.005%, due 3/13/26 1,440,000 1,420,792
5.012%, due 1/23/30 1,675,000 1,717,886
5.04%, due 1/23/28 3,090,000 3,141,684
5.546%, due 12/15/25 2,685,000 2,686,550
5.571%, due 4/22/28 1,115,000 1,149,642
5.581%, due 4/22/30 2,235,000 2,345,834
Morgan Stanley (e)    
4.679%, due 7/17/26 2,590,000 2,586,348
5.173%, due 1/16/30 645,000 664,897
5.32%, due 7/19/35 735,000 763,241
5.466%, due 1/18/35 850,000 888,753
5.831%, due 4/19/35 715,000 768,014
Morgan Stanley Bank NA    
4.754%, due 4/21/26 1,730,000 1,745,952
4.952%, due 1/14/28 (e) 895,000 908,498
National Securities Clearing Corp.    
5.00%, due 5/30/28 (b) 1,490,000 1,531,415
PNC Financial Services Group, Inc. (The) (e)    
5.812%, due 6/12/26 1,670,000 1,680,828
6.875%, due 10/20/34 620,000 709,887
Toronto-Dominion Bank (The)    
5.146% (5 Year Treasury Constant Maturity Rate + 1.50%), due 9/10/34 (c) 1,310,000 1,322,507
Truist Bank    
4.632% (5 Year Treasury Constant Maturity Rate + 1.15%), due 9/17/29 (c) 1,005,000 999,541
Truist Financial Corp.    
5.122%, due 1/26/34 (e) 825,000 834,064
U.S. Bancorp (e)    
4.653%, due 2/1/29 700,000 706,775
6.787%, due 10/26/27 1,580,000 1,659,277
UBS AG    
7.95%, due 1/9/25 3,360,000 3,386,008
UBS Group AG (b)    
5.428% (1 Year Treasury Constant Maturity Rate + 1.52%), due 2/8/30 (c) 800,000 827,057
5.699% (1 Year Treasury Constant Maturity Rate + 1.77%), due 2/8/35 (c) 760,000 802,242
6.442%, due 8/11/28 (e) 1,445,000 1,520,145

  Principal
Amount
Value
Corporate Bonds
Banks  
Wells Fargo & Co. (e)    
4.54%, due 8/15/26 $    2,260,000 $   2,256,059
5.198%, due 1/23/30   1,125,000    1,159,781
5.499%, due 1/23/35   2,550,000   2,673,138
    79,028,446
Beverages 1.1% 
Anheuser-Busch InBev Worldwide, Inc.    
5.55%, due 1/23/49   1,770,000    1,908,070
Constellation Brands, Inc.    
4.90%, due 5/1/33 1,595,000 1,611,639
Keurig Dr Pepper, Inc.    
3.20%, due 5/1/30 825,000 778,622
Series 10    
5.20%, due 3/15/31 1,045,000 1,091,022
PepsiCo, Inc.    
2.625%, due 10/21/41 1,230,000 919,002
    6,308,355
Biotechnology 0.4% 
Amgen, Inc.    
4.875%, due 3/1/53 605,000 568,871
5.25%, due 3/2/30 805,000 839,945
Biogen, Inc.    
2.25%, due 5/1/30 1,300,000 1,160,977
    2,569,793
Chemicals 0.6% 
Celanese US Holdings LLC    
6.33%, due 7/15/29 1,000,000 1,060,426
6.55%, due 11/15/30 955,000 1,029,383
Solvay Finance America LLC    
5.85%, due 6/4/34 (b) 1,620,000 1,700,138
    3,789,947
Computers 0.3% 
Dell International LLC    
5.40%, due 4/15/34 1,335,000 1,393,081
Hewlett Packard Enterprise Co.    
5.60%, due 10/15/54 635,000 623,392
    2,016,473
Diversified Financial Services 2.2% 
AerCap Ireland Capital DAC    
4.625%, due 9/10/29 2,055,000 2,056,018
American Express Co.    
6.489%, due 10/30/31 (e) 1,585,000 1,752,203
Ares Management Corp.    
6.375%, due 11/10/28 1,750,000 1,881,906

  Principal
Amount
Value
Corporate Bonds
Diversified Financial Services  
Blackstone Holdings Finance Co. LLC    
5.90%, due 11/3/27 (b) $    3,000,000 $   3,139,464
Blue Owl Finance LLC    
6.25%, due 4/18/34 (b)   1,225,000    1,282,921
Charles Schwab Corp. (The)    
6.196%, due 11/17/29 (e)   1,945,000    2,079,184
Intercontinental Exchange, Inc.    
3.625%, due 9/1/28     825,000     805,696
    12,997,392
Electric 5.4% 
AEP Texas, Inc.    
5.40%, due 6/1/33 90,000 92,444
AEP Transmission Co. LLC    
Series O    
4.50%, due 6/15/52 235,000 212,035
American Electric Power Co., Inc.    
5.625%, due 3/1/33 865,000 912,616
Arizona Public Service Co.    
5.55%, due 8/1/33 1,700,000 1,772,365
Baltimore Gas and Electric Co.    
5.40%, due 6/1/53 505,000 523,287
Connecticut Light and Power Co. (The)    
4.95%, due 8/15/34 1,525,000 1,568,022
Dayton Power & Light Co. (The)    
3.95%, due 6/15/49 500,000 394,792
Duke Energy Corp.    
2.45%, due 6/1/30 960,000 866,008
5.00%, due 8/15/52 365,000 345,605
Duke Energy Indiana LLC    
6.45%, due 4/1/39 600,000 687,957
Duke Energy Ohio, Inc.    
5.25%, due 4/1/33 205,000 214,001
5.65%, due 4/1/53 110,000 116,447
Enel Finance America LLC    
7.10%, due 10/14/27 (b) 2,280,000 2,449,244
Entergy Arkansas LLC    
5.15%, due 1/15/33 1,695,000 1,762,792
Entergy Louisiana LLC    
5.15%, due 9/15/34 1,500,000 1,545,320
Florida Power & Light Co.    
5.05%, due 4/1/28 2,550,000 2,631,776
Georgia Power Co.    
4.30%, due 3/15/42 141,000 128,358
4.95%, due 5/17/33 1,735,000 1,783,563
National Rural Utilities Cooperative Finance Corp.    
5.05%, due 9/15/28 1,345,000 1,388,990

  Principal
Amount
Value
Corporate Bonds
Electric  
NSTAR Electric Co.    
4.55%, due 6/1/52 $    1,060,000 $     972,508
Oklahoma Gas and Electric Co.    
5.60%, due 4/1/53     700,000      737,660
Pacific Gas and Electric Co.    
5.45%, due 6/15/27   1,460,000    1,494,743
6.10%, due 1/15/29     675,000      712,659
6.40%, due 6/15/33     310,000      338,833
6.75%, due 1/15/53 400,000 456,069
6.95%, due 3/15/34 600,000 681,923
PECO Energy Co.    
4.90%, due 6/15/33 1,255,000 1,287,639
Southern California Edison Co.    
5.30%, due 3/1/28 760,000 786,130
5.70%, due 3/1/53 195,000 205,760
5.95%, due 11/1/32 885,000 963,172
Southern Co. (The)    
5.15%, due 10/6/25 770,000 775,612
5.70%, due 10/15/32 370,000 396,508
Virginia Electric and Power Co.    
5.05%, due 8/15/34 1,510,000 1,550,064
Xcel Energy, Inc.    
5.50%, due 3/15/34 1,180,000 1,227,266
    31,982,168
Electronics 0.3% 
Honeywell International, Inc.    
5.00%, due 3/1/35 1,500,000 1,561,364
Engineering & Construction 0.4% 
Jacobs Engineering Group, Inc.    
5.90%, due 3/1/33 805,000 844,576
6.35%, due 8/18/28 1,300,000 1,383,299
    2,227,875
Entertainment 0.2% 
Warnermedia Holdings, Inc.    
4.054%, due 3/15/29 535,000 506,824
5.141%, due 3/15/52 560,000 431,914
    938,738
Environmental Control 0.6% 
Waste Connections, Inc.    
2.60%, due 2/1/30 1,785,000 1,647,721
Waste Management, Inc.    
4.95%, due 7/3/31 1,575,000 1,639,260
    3,286,981

  Principal
Amount
Value
Corporate Bonds
Food 0.4% 
Kraft Heinz Foods Co.    
4.875%, due 10/1/49 $      275,000 $     259,197
Tyson Foods, Inc.    
5.40%, due 3/15/29   1,225,000    1,271,990
5.70%, due 3/15/34     775,000     816,597
    2,347,784
Gas 0.5% 
CenterPoint Energy Resources Corp.    
1.75%, due 10/1/30 1,945,000 1,672,556
NiSource, Inc.    
5.65%, due 2/1/45 590,000 611,528
Southwest Gas Corp.    
5.45%, due 3/23/28 445,000 458,878
    2,742,962
Healthcare-Products 0.4% 
Solventum Corp.    
5.90%, due 4/30/54 (b) 815,000 844,249
Thermo Fisher Scientific, Inc.    
4.95%, due 11/21/32 1,305,000 1,359,001
    2,203,250
Healthcare-Services 0.7% 
Cigna Group (The)    
4.90%, due 12/15/48 870,000 819,343
5.25%, due 2/15/34 680,000 704,166
HCA, Inc.    
3.625%, due 3/15/32 2,035,000 1,881,795
4.625%, due 3/15/52 85,000 73,774
UnitedHealth Group, Inc.    
6.05%, due 2/15/63 825,000 934,029
    4,413,107
Home Furnishings 0.4% 
Leggett & Platt, Inc.    
4.40%, due 3/15/29 2,455,000 2,364,242
Insurance 1.6% 
CNA Financial Corp.    
5.125%, due 2/15/34 805,000 823,188
Corebridge Financial, Inc.    
4.35%, due 4/5/42 190,000 168,249
Corebridge Global Funding    
5.20%, due 1/12/29 (b) 2,230,000 2,290,855
MetLife, Inc.    
5.875%, due 2/6/41 660,000 719,617

  Principal
Amount
Value
Corporate Bonds
Insurance  
Metropolitan Life Global Funding I    
5.15%, due 3/28/33 (b) $    1,300,000 $   1,349,309
Pine Street Trust III    
6.223%, due 5/15/54 (b)     840,000      910,600
Prudential Financial, Inc.    
3.935%, due 12/7/49     225,000      186,079
RGA Global Funding    
6.00%, due 11/21/28 (b)   2,870,000   3,043,743
    9,491,640
Internet 0.7% 
Amazon.com, Inc.    
3.10%, due 5/12/51 950,000 705,722
3.95%, due 4/13/52 650,000 564,985
Meta Platforms, Inc.    
3.85%, due 8/15/32 990,000 962,389
4.45%, due 8/15/52 890,000 820,665
5.55%, due 8/15/64 800,000 854,456
    3,908,217
Investment Companies 0.3% 
Blackstone Private Credit Fund    
7.05%, due 9/29/25 1,870,000 1,905,109
Media 0.5% 
Charter Communications Operating LLC    
6.65%, due 2/1/34 1,695,000 1,774,046
Comcast Corp.    
4.60%, due 10/15/38 740,000 719,274
Paramount Global    
4.85%, due 7/1/42 780,000 622,147
    3,115,467
Mining 0.1% 
Newmont Corp.    
5.35%, due 3/15/34 790,000 827,894
Miscellaneous—Manufacturing 0.1% 
3M Co.    
3.625%, due 10/15/47 410,000 327,258
Oil & Gas 0.8% 
Occidental Petroleum Corp.    
5.20%, due 8/1/29 2,395,000 2,434,760
6.45%, due 9/15/36 720,000 777,571

  Principal
Amount
Value
Corporate Bonds
Oil & Gas  
Patterson-UTI Energy, Inc.    
7.15%, due 10/1/33 $    1,595,000 $   1,717,505
    4,929,836
Packaging & Containers 0.3% 
Berry Global, Inc.    
5.50%, due 4/15/28     550,000      563,576
5.65%, due 1/15/34 (b)   1,065,000   1,093,355
    1,656,931
Pharmaceuticals 1.0% 
AbbVie, Inc.    
2.95%, due 11/21/26 850,000 832,097
4.05%, due 11/21/39 135,000 124,702
5.05%, due 3/15/34 1,560,000 1,629,450
CVS Health Corp.    
5.30%, due 6/1/33 850,000 868,626
6.05%, due 6/1/54 675,000 704,220
Eli Lilly & Co.    
3.375%, due 3/15/29 1,215,000 1,187,748
Pfizer Investment Enterprises Pte. Ltd.    
5.30%, due 5/19/53 370,000 382,744
    5,729,587
Pipelines 2.3% 
Cheniere Energy Partners LP    
4.00%, due 3/1/31 1,280,000 1,211,377
Energy Transfer LP    
5.00%, due 5/15/50 1,045,000 944,074
Enterprise Products Operating LLC    
4.80%, due 2/1/49 390,000 364,297
4.85%, due 1/31/34 1,210,000 1,227,499
Kinder Morgan, Inc.    
5.45%, due 8/1/52 390,000 379,121
MPLX LP    
5.50%, due 6/1/34 1,480,000 1,520,525
ONEOK, Inc.    
5.55%, due 11/1/26 980,000 1,002,208
5.70%, due 11/1/54 505,000 502,127
5.85%, due 1/15/26 1,615,000 1,639,490
Targa Resources Corp.    
5.50%, due 2/15/35 1,030,000 1,060,778
Targa Resources Partners LP    
5.50%, due 3/1/30 3,075,000 3,131,268
Williams Cos., Inc. (The)    
4.85%, due 3/1/48 570,000 519,857
    13,502,621

  Principal
Amount
Value
Corporate Bonds
Real Estate Investment Trusts 1.6% 
American Tower Corp.    
2.10%, due 6/15/30 $    2,695,000 $   2,373,590
Crown Castle, Inc.    
5.80%, due 3/1/34   1,225,000    1,299,203
Host Hotels & Resorts LP    
Series I                       
3.50%, due 9/15/30     750,000      695,554
5.50%, due 4/15/35     725,000      735,510
5.70%, due 7/1/34 1,195,000 1,233,868
Simon Property Group LP    
1.75%, due 2/1/28 1,950,000 1,806,491
Sun Communities Operating LP    
2.70%, due 7/15/31 1,800,000 1,573,974
    9,718,190
Retail 1.1% 
Alimentation Couche-Tard, Inc.    
5.267%, due 2/12/34 (b) 1,545,000 1,573,937
AutoZone, Inc.    
5.20%, due 8/1/33 905,000 929,669
Home Depot, Inc. (The)    
4.95%, due 6/25/34 1,500,000 1,559,440
4.95%, due 9/15/52 1,070,000 1,067,504
Lowe's Cos., Inc.    
3.00%, due 10/15/50 890,000 605,016
5.15%, due 7/1/33 450,000 468,987
5.75%, due 7/1/53 230,000 242,689
    6,447,242
Semiconductors 0.9% 
Broadcom, Inc. (b)    
2.45%, due 2/15/31 1,250,000 1,107,720
3.137%, due 11/15/35 925,000 791,000
3.469%, due 4/15/34 835,000 751,914
Intel Corp.    
5.15%, due 2/21/34 535,000 540,544
5.70%, due 2/10/53 910,000 896,510
5.90%, due 2/10/63 195,000 195,736
NXP BV    
5.00%, due 1/15/33 955,000 966,408
QUALCOMM, Inc.    
4.50%, due 5/20/52 260,000 239,411
Texas Instruments, Inc.    
5.05%, due 5/18/63 90,000 90,310
    5,579,553
Software 0.7% 
Fiserv, Inc.    
5.35%, due 3/15/31 1,770,000 1,851,438

  Principal
Amount
Value
Corporate Bonds
Software  
Oracle Corp.    
3.95%, due 3/25/51 $      360,000 $     289,729
4.30%, due 7/8/34   1,250,000    1,209,781
5.55%, due 2/6/53     850,000     869,848
    4,220,796
Telecommunications 2.0% 
AT&T, Inc.    
2.25%, due 2/1/32   1,695,000    1,454,892
3.50%, due 9/15/53 585,000 429,784
3.55%, due 9/15/55 797,000 582,953
4.35%, due 3/1/29 1,174,000 1,181,101
Cisco Systems, Inc.    
5.30%, due 2/26/54 870,000 923,061
Rogers Communications, Inc.    
3.80%, due 3/15/32 1,200,000 1,113,389
4.55%, due 3/15/52 385,000 333,386
T-Mobile USA, Inc.    
2.625%, due 2/15/29 1,530,000 1,425,198
3.40%, due 10/15/52 290,000 212,276
5.50%, due 1/15/55 315,000 326,306
5.75%, due 1/15/34 1,225,000 1,315,503
Verizon Communications, Inc.    
3.40%, due 3/22/41 685,000 559,431
4.50%, due 8/10/33 705,000 696,623
5.05%, due 5/9/33 1,285,000 1,326,226
    11,880,129
Transportation 0.9% 
FedEx Corp.    
5.25%, due 5/15/50 970,000 956,837
Norfolk Southern Corp.    
3.00%, due 3/15/32 1,005,000 915,627
3.05%, due 5/15/50 605,000 426,176
Union Pacific Corp.    
2.80%, due 2/14/32 2,060,000 1,874,199
United Parcel Service, Inc.    
4.25%, due 3/15/49 480,000 425,374
5.50%, due 5/22/54 750,000 799,951
    5,398,164
Trucking & Leasing 0.3% 
Penske Truck Leasing Co. LP (b)    
5.75%, due 5/24/26 940,000 957,029
6.05%, due 8/1/28 670,000 705,221
    1,662,250
Total Corporate Bonds
(Cost $265,471,683)
  274,232,119

  Principal
Amount
Value
Foreign Government Bonds 0.3%
France 0.3% 
Electricite de France SA (b)    
5.65%, due 4/22/29 $    1,050,000 $   1,102,549
6.00%, due 4/22/64     585,000     593,728
    1,696,277
Total Foreign Government Bonds
(Cost $1,586,807)
  1,696,277
Mortgage-Backed Securities 8.0%
Agency (Collateralized Mortgage Obligations) 2.4% 
FHLMC  
REMIC, Series 5366, Class MZ    
6.00%, due 12/25/53 2,102,280 2,187,298
REMIC, Series 5425, Class KB    
6.00%, due 6/25/54 2,500,000 2,590,245
FNMA  
REMIC, Series 2021-61, Class MI    
2.50%, due 4/25/51 (f) 7,154,660 808,463
REMIC, Series 2024-34, Class B    
6.00%, due 6/25/54 2,250,000 2,333,079
GNMA  
REMIC, Series 2021-24, Class TI    
2.00%, due 2/20/51 (f) 12,318,251 1,593,597
REMIC, Series 2021-46, Class BI    
2.00%, due 3/20/51 (f) 15,018,088 1,911,106
REMIC, Series 2023-40, Class DL    
5.50%, due 3/20/53 2,500,000 2,535,108
    13,958,896
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.4% 
CENT Trust  
Series 2023-CITY, Class A    
7.717% (1 Month SOFR + 2.62%), due 9/15/38 (b)(c) 2,400,000 2,404,500
FNMA, ACES  
Series 2019-M12, Class X3    
0.717%, due 6/25/29 (f)(g) 77,000,000 1,959,504
GNMA (f)(g)  
REMIC, Series 2023-179    
0.611%, due 9/16/63 49,032,997 2,064,701
REMIC, Series 2024-32    
0.706%, due 6/16/63 46,875,125 2,349,658
REMIC, Series 2021-106    
0.86%, due 4/16/63 39,796,892 2,667,203
LBA Trust  
Series 2024-BOLT, Class A    
6.688% (1 Month SOFR + 1.591%), due 6/15/26 (b)(c) 2,000,000 2,000,000

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
OPEN Trust  
Series 2023-AIR, Class A                       
8.186% (1 Month SOFR + 3.089%), due 10/15/28 (b)(c) $    2,067,855 $   2,087,242
SHR Trust  
Series 2024-LXRY, Class A                       
6.754% (1 Month SOFR + 1.95%), due 10/15/41 (b)(c)(d)   2,750,000    2,750,000
VLS Commercial Mortgage Trust  
Series 2020-LAB, Class A                       
2.13%, due 10/10/42 (b) 2,500,000 2,065,022
    20,347,830
Whole Loan (Collateralized Mortgage Obligations) 2.2% 
A&D Mortgage Trust (a)(b)  
Series 2023-NQM4, Class A1    
7.472%, due 9/25/68 2,458,809 2,526,369
Series 2023-NQM4, Class A2    
7.826%, due 9/25/68 1,788,225 1,833,287
COLT Mortgage Loan Trust (a)(b)  
Series 2023-4, Class A1    
7.163%, due 10/25/68 2,336,719 2,392,871
Series 2023-3, Class A1    
7.18%, due 9/25/68 1,684,904 1,723,880
GCAT Trust  
Series 2023-NQM3, Class A1    
6.889%, due 8/25/68 (a)(b) 2,511,781 2,559,422
PRKCM Trust  
Series 2024-HOME1, Class A1    
6.431%, due 5/25/59 (a)(b) 2,064,945 2,105,930
    13,141,759
Total Mortgage-Backed Securities
(Cost $46,736,252)
  47,448,485
U.S. Government & Federal Agencies 36.1%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 7.2% 
FHLMC Gold Pools, 30 Year
6.50%, due 11/1/35 1,454 1,500
6.50%, due 8/1/37 12,616 13,183
UMBS Pool, 30 Year
2.00%, due 11/1/50 2,442,053 2,056,658
2.00%, due 1/1/52 3,114,349 2,603,970
2.00%, due 2/1/52 4,279,706 3,580,987
2.50%, due 7/1/50 3,934,310 3,462,938
2.50%, due 11/1/50 2,389,961 2,113,698
2.50%, due 2/1/51 3,834,073 3,380,880
2.50%, due 4/1/52 2,200,835 1,934,667
3.00%, due 5/1/51 4,336,439 3,971,953
3.00%, due 5/1/52 1,790,316 1,632,298

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities)  
UMBS Pool, 30 Year
3.00%, due 6/1/52 $    4,578,267 $   4,135,675
3.50%, due 11/1/51   2,861,756    2,683,777
4.00%, due 10/1/52   2,740,258    2,650,141
5.00%, due 11/1/52   2,679,076    2,682,681
5.00%, due 12/1/52   2,402,657    2,412,260
5.50%, due 10/1/52   1,543,465    1,569,108
5.50%, due 8/1/53   1,658,967   1,705,685
    42,592,059
Federal National Mortgage Association (Mortgage Pass-Through Securities) 8.3% 
UMBS, 30 Year
2.00%, due 8/1/50 4,290,610 3,598,901
2.00%, due 12/1/50 3,897,495 3,271,957
2.00%, due 3/1/51 4,012,749 3,384,902
2.00%, due 3/1/51 5,104,381 4,292,227
2.50%, due 5/1/43 215,812 191,065
2.50%, due 9/1/50 4,640,188 4,096,744
2.50%, due 8/1/51 4,677,914 4,125,274
2.50%, due 10/1/51 3,385,562 2,970,701
2.50%, due 4/1/52 2,176,142 1,910,540
3.50%, due 2/1/52 2,025,385 1,897,722
4.50%, due 7/1/52 2,564,299 2,523,926
4.50%, due 7/1/52 1,782,306 1,769,114
5.50%, due 10/1/52 2,445,135 2,485,722
5.50%, due 11/1/52 3,513,368 3,578,656
6.00%, due 11/1/52 2,659,992 2,731,998
6.50%, due 10/1/36 9,362 9,854
6.50%, due 8/1/37 1,770 1,840
7.00%, due 9/1/37 15,240 16,057
7.00%, due 10/1/37 239 255
7.00%, due 11/1/37 3,313 3,458
7.50%, due 7/1/28 2,092 2,094
UMBS, Single Family, 30 Year TBA (h)
2.50%, due 10/25/54 1,250,000 1,078,858
3.50%, due 10/25/54 2,200,000 2,048,568
6.00%, due 10/25/54 3,000,000 3,066,087
    49,056,520
Government National Mortgage Association (Mortgage Pass-Through Securities) 4.1% 
GNMA I, Single Family, 30 Year
4.00%, due 3/15/44 18,654 18,363
4.00%, due 7/15/44 112,827 110,419
4.00%, due 7/15/45 55,008 54,060
4.50%, due 6/15/39 280,944 286,002
4.50%, due 6/15/40 116,709 117,924
GNMA II, 30 Year
2.00%, due 3/20/51 3,600,130 3,009,594

  Principal
Amount
  Value
U.S. Government & Federal Agencies
Government National Mortgage Association (Mortgage Pass-Through Securities)  
GNMA II, 30 Year
2.50%, due 3/20/51 $    3,479,210   $   3,053,078
2.50%, due 4/20/51   4,387,663      3,850,086
3.50%, due 5/20/52   3,036,239      2,868,452
4.50%, due 9/20/52   2,745,291      2,718,877
GNMA II, Single Family, 30 Year
3.00%, due 10/20/51   3,013,767      2,749,869
4.00%, due 4/20/52   2,050,298      1,983,816
5.00%, due 7/20/52 1,476,006   1,481,170
5.50%, due 10/15/54 TBA (h) 2,000,000   2,019,259
      24,320,969
United States Treasury Bonds 2.7% 
U.S. Treasury Bonds
2.00%, due 11/15/41 3,420,000   2,514,502
2.375%, due 2/15/42 2,140,000   1,666,692
2.875%, due 5/15/52 5,285,000   4,139,022
3.25%, due 5/15/42 500,000   444,531
4.25%, due 8/15/54 1,930,000   1,970,711
4.625%, due 5/15/44 5,050,000   5,352,211
      16,087,669
United States Treasury Notes 13.8% 
U.S. Treasury Notes
2.75%, due 6/30/25 9,500,000   9,408,525
3.375%, due 9/15/27 22,400,000   22,286,250
3.50%, due 9/30/26 19,685,000   19,630,405
3.50%, due 9/30/29 14,240,000   14,197,725
3.625%, due 9/30/31 9,295,000   9,277,572
3.875%, due 8/15/34 7,240,000   7,290,906
      82,091,383
Total U.S. Government & Federal Agencies
(Cost $212,440,406)
    214,148,600
Total Long-Term Bonds
(Cost $569,625,125)
    581,348,251
Total Investments
(Cost $569,625,125)
98.1%   581,348,251
Other Assets, Less Liabilities 1.9   11,406,876
 Net Assets 100.0%   $ 592,755,127
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Step coupon—Rate shown was the rate in effect as of September 30, 2024.
(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) Floating rate—Rate shown was the rate in effect as of September 30, 2024.

(d) Delayed delivery security.
(e) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(f) 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.
(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, 2024.
(h) TBA—Security 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, 2024, the total net market value was $8,212,772, which represented 1.4% of the Portfolio’s net assets. All or a portion of this security is a part of a mortgage dollar roll agreement.
Futures Contracts
As of September 30, 2024, 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          
U.S. Treasury 2 Year Notes 103 December 2024  $ 21,402,967  $ 21,448,945   $ 45,978
U.S. Treasury 5 Year Notes 90 December 2024   9,869,363   9,889,453   20,090
U.S. Treasury Ultra Bonds 333 December 2024  44,644,741  44,320,219  (324,522)
Total Long Contracts         (258,454)
Short Contracts          
U.S. Treasury 10 Year Notes (5) December 2024     (573,131)     (571,406)    1,725
U.S. Treasury 10 Year Ultra Bonds (254) December 2024  (30,073,277)  (30,047,406)   25,871
Total Short Contracts         27,596
Net Unrealized Depreciation         $ (230,858)
    
1. As of September 30, 2024, cash in the amount of $1,631,190 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, 2024.
Abbreviation(s):
ACES—Alternative Credit Enhancement Securities
CLO—Collateralized Loan Obligation
FHLMC—Federal Home Loan Mortgage Corp.
FNMA—Federal National Mortgage Association
GNMA—Government National Mortgage Association
REIT—Real Estate Investment Trust
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate
TBA—To Be Announced
UMBS—Uniform Mortgage Backed Securities

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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       $ —     $ 43,822,770   $ —     $ 43,822,770
Corporate Bonds       —    274,232,119      274,232,119
Foreign Government Bonds       —      1,696,277        1,696,277
Mortgage-Backed Securities       —     47,448,485       47,448,485
U.S. Government & Federal Agencies       —    214,148,600      214,148,600
Total Investments in Securities   581,348,251     581,348,251
Other Financial Instruments              
Futures Contracts (b)   93,664             —           93,664
Total Investments in Securities and Other Financial Instruments $ 93,664   $ 581,348,251   $ —   $ 581,441,915
Liability Valuation Inputs              
Other Financial Instruments              
Futures Contracts (b)  $ (324,522)             $ —   $ —        $ (324,522)
    
(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.

NYLI VP Conservative Allocation Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Affiliated Investment Companies 89.9%
Equity Funds 38.9% 
NYLI 500 International ETF    153,649 $   5,391,036
NYLI Candriam International Equity ETF    170,151    5,345,158
NYLI Candriam U.S. Large Cap Equity ETF    183,935    8,804,858
NYLI Candriam U.S. Mid Cap Equity ETF    203,345    6,684,845
NYLI CBRE NextGen Real Estate ETF (a)    432,366    9,581,231
NYLI Epoch Capital Growth Fund Class I     95,182    1,513,132
NYLI Epoch International Choice Fund Class I    122,882    5,247,404
NYLI Fiera SMID Growth Fund Class R6    397,899    6,830,738
NYLI FTSE International Equity Currency Neutral ETF    306,935    8,483,683
NYLI PineStone U.S. Equity Fund Class R6    421,021    8,380,213
NYLI VP American Century Sustainable Equity Portfolio Initial Class    844,430    8,983,640
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class    819,423    6,713,939
NYLI VP Dimensional U.S. Equity Portfolio Initial Class    163,749    5,287,219
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class    388,582    7,814,237
NYLI VP MacKay Convertible Portfolio Initial Class    540,940    8,490,756
NYLI VP PineStone International Equity Portfolio Initial Class    439,550    5,370,515
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class 737,932 6,676,441
NYLI VP Small Cap Growth Portfolio Initial Class 532,635 6,321,258
NYLI VP Wellington Growth Portfolio Initial Class 312,611 9,285,833
NYLI VP Wellington Small Cap Portfolio Initial Class 582,634 5,673,282
NYLI VP Winslow Large Cap Growth Portfolio Initial Class 295,177 9,521,131
NYLI WMC Enduring Capital Fund Class R6 93,316 3,773,114
NYLI WMC International Research Equity Fund Class I 655,608 5,459,642
NYLI WMC Value Fund Class R6 215,234 7,344,824
Total Equity Funds
(Cost $135,537,140)
  162,978,129
Fixed Income Funds 51.0% 
NYLI MacKay ESG Core Plus Bond ETF (a) 1,245,721 27,094,432
NYLI MacKay ESG High Income ETF (a) 254,728 6,908,223
NYLI MacKay Securitized Income ETF (a) 272,539 7,261,366
NYLI MacKay Short Duration High Income Fund Class I 1,827,594 17,526,445
NYLI Short Term Bond Fund Class I (a) 452,337 4,159,784
NYLI VP Bond Portfolio Initial Class 345,569 4,480,574
NYLI VP Floating Rate Portfolio Initial Class (a) 2,433,111 20,838,134
NYLI VP Indexed Bond Portfolio Initial Class (a) 11,820,952 107,496,190
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class 711,841 6,900,654
NYLI VP MacKay U.S. Infrastructure Bond Portfolio (a) 723,906 7,272,216
NYLI VP PIMCO Real Return Portfolio Initial Class 510,544 4,185,948
Total Fixed Income Funds
(Cost $227,601,255)
  214,123,966
Total Affiliated Investment Companies
(Cost $363,138,395)
  377,102,095

  Shares   Value
Short-Term Investment 9.5%
Affiliated Investment Company 9.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 39,741,625   $  39,741,625
Total Short-Term Investment
(Cost $39,741,625)
9.5%   39,741,625
Total Investments
(Cost $402,880,020)
99.4%   416,843,720
Other Assets, Less Liabilities 0.6   2,443,588
Net Assets 100.0%   $ 419,287,308
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) As of September 30, 2024, 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, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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 U.S. Small Cap ETF $ 3,697 $ — $ (3,739) $ 495 $ (453) $ — $ 12 $ —
NYLI 500 International ETF 7,613 193 (2,785) 401 (31) 5,391 138 154
NYLI Candriam International Equity ETF 7,669 101 (3,108) 620 63 5,345 119 170
NYLI Candriam U.S. Large Cap Equity ETF 9,998 81 (2,484) 898 312 8,805 77 184
NYLI Candriam U.S. Mid Cap Equity ETF 6,437 865 (1,166) 106 443 6,685 53 203
NYLI CBRE NextGen Real Estate ETF 10,434 294 (1,916) 122 647 9,581 211 432
NYLI Epoch Capital Growth Fund Class I 1,665 4 (361) 32 173 1,513 95
NYLI Epoch International Choice Fund Class I 4,667 1,108 (919) 132 259 5,247 123
NYLI Fiera SMID Growth Fund Class R6 6,650 954 (992) 75 144 6,831 398
NYLI FTSE International Equity Currency Neutral ETF 9,193 142 (1,787) 427 509 8,484 136 307
NYLI MacKay ESG Core Plus Bond ETF 29,621 6,167 (9,468) (1,044) 1,818 27,094 1,145 1,246
NYLI MacKay ESG High Income ETF 7,538 (765) 16 119 6,908 351 255
NYLI MacKay Securitized Income ETF 7,830 (937) 18 350 7,261 86 273
NYLI MacKay Short Duration High Income Fund Class I 18,896 950 (2,522) (89) 292 17,527 859 1,828
NYLI MacKay U.S. Infrastructure Bond Fund Class R6 6,062 7,078 (12,981) 17 (176) 218
NYLI PineStone U.S. Equity Fund Class R6 9,160 14 (1,979) 214 971 8,380 421
NYLI Short Term Bond Fund Class I 8,999 251 (5,093) (34) 37 4,160 225 452
NYLI U.S. Government Liquidity Fund 43,091 82,566 (85,915) 39,742 1,513 39,742
NYLI VP American Century Sustainable Equity Portfolio Initial Class 8,083 1,149 (1,835) (679) 2,266 8,984 844
NYLI VP Bond Portfolio Initial Class 14,947 4,565 (15,155) (2,010) 2,134 4,481 346
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class 6,944 33 (1,360) (138) 1,235 6,714 819
NYLI VP Dimensional U.S. Equity Portfolio Initial Class 4,503 1,368 (1,721) (184) 1,321 5,287 164
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class 6,772 1,259 (1,756) 207 1,332 7,814 389
NYLI VP Floating Rate Portfolio Initial Class 24,784 1,510 (5,402) (187) 133 20,838 1,393 2,433
NYLI VP Indexed Bond Portfolio Initial Class 117,998 3 (14,904) (2,933) 7,332 107,496 11,821

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
NYLI VP MacKay Convertible Portfolio Initial Class $ — $ 9,042 $ (981) $ 1 $ 429 $ 8,491 $ 242 $ — 541
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class 7,522 11 (1,097) 35 430 6,901 712
NYLI VP MacKay U.S. Infrastructure Bond Portfolio 7,413 (510) 15 354 7,272 724
NYLI VP PIMCO Real Return Portfolio Initial Class 4,531 11 (579) (59) 282 4,186 511
NYLI VP PineStone International Equity Portfolio Initial Class 4,572 1,134 (1,000) (555) 1,220 5,371 440
NYLI VP S&P 500 Index Portfolio Initial Class 6,951 (7,098) 1,489 (1,342)
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class 6,429 900 (1,090) (585) 1,022 6,676 738
NYLI VP Small Cap Growth Portfolio Initial Class 5,711 1,168 (1,124) (713) 1,279 6,321 533
NYLI VP Wellington Growth Portfolio Initial Class 10,244 525 (3,410) (878) 2,805 9,286 313
NYLI VP Wellington Small Cap Portfolio Initial Class 4,709 1,583 (1,193) (281) 855 5,673 583
NYLI VP Winslow Large Cap Growth Portfolio Initial Class 10,431 473 (3,534) (363) 2,514 9,521 295
NYLI WMC Enduring Capital Fund Class R6 4,215 (1,055) 121 492 3,773 93
NYLI WMC International Research Equity Fund Class I 4,678 1,084 (1,069) 80 687 5,460 656
NYLI WMC Value Fund Class R6 6,095 1,393 (1,092) 65 884 7,345 215
  $451,509 $143,222 $(205,882) $(5,146) $33,141 $416,844 $6,778 $ 
Swap Contracts
Open OTC total return equity swap contracts as of September 30, 2024 were as follows1:
Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Citibank NA Citi Artificial Intelligence (AI) Basket 1 day FEDF plus 0.35% 12/2/24 Daily 4,297 $ —
Citibank NA Citi Zombie Company Basket 1 day FEDF minus 0.50% 12/2/24 Daily (8,739)
JPMorgan Chase Bank NA Global X Uranium ETF 1 day FEDF plus 0.00% - 0.50% 10/7/24 - 11/12/24 Daily 12,146
Citibank NA iShares 20+ Year Treasury Bond ETF 1 day FEDF plus 0.60% 12/2/24 Daily 7,397
Citibank NA iShares MSCI EAFE ETF 1 day FEDF minus 0.75% 12/2/24 Daily (36,104)
Citibank NA iShares MSCI Emerging Markets ex China ETF 1 day FEDF plus 0.61% 12/2/24 Daily 10,720
Citibank NA iShares MSCI Hong Kong ETF 1 day FEDF plus 0.40% 12/2/24 Daily 8,527
Citibank NA iShares MSCI India ETF 1 day FEDF plus 0.40% 12/2/24 Daily 8,593
JPMorgan Chase Bank NA iShares MSCI Japan ETF 1 day FEDF plus 0.00% - 0.55% 4/24/25 Daily 6,317
JPMorgan Chase Bank NA Russell 2000 Total Return Index 1 day FEDF plus 0.10% - 0.13% 4/9/25 Daily (19,027)
Citibank NA S&P 500 Total Return Index 1 day FEDF plus 0.05% 12/2/24 Daily (7,603)
Citibank NA S&P 600 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 28,334
Citibank NA S&P Midcap 400 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 15,949
            $ —

The following table represents the basket holdings underlying the total return swap with Citi Artificial Intelligence (AI) Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Alphabet Inc. 1,257 128,778  3.00
Amazon.com Inc. 1,340 137,231  3.19
AppLovin Corp. 2,196 224,954  5.24
Aptiv plc 1,214 124,381  2.89
Autoliv Inc. 368 37,712  0.88
BILL Holdings Inc. 614 62,934  1.46
Block Inc. 1,497 153,403  3.57
Booking Holdings Inc. 1,515 155,156  3.61
Broadcom Inc. 1,416 145,022  3.38
DocuSign Inc. 1,010 103,514  2.41
Etsy Inc. 1,178 120,704 2.81
Expedia Group Inc. 1,690 173,114 4.03
Fidelity National Information Services Inc. 1,603 164,228 3.82
Fiserv Inc. 1,705 174,648 4.06
Fortive Corp. 826 84,618 1.97
Globant SA 689 70,632 1.64
Informatica Inc. 291 29,795 0.69
Intel Corp. 989 101,305 2.36
Lear Corp. 490 50,243 1.17
Magna International Inc. 442 45,291 1.05
Marvell Technology Inc. 1,379 141,310 3.29
Meta Platforms Inc. 1,550 158,733 3.69
MKS Instruments Inc. 556 56,961 1.33
Northrop Grumman Corp. 1,759 180,147 4.19
Okta Inc. 925 94,750 2.21
Pinterest Inc. 1,068 109,373 2.55
PTC Inc. 884 90,597 2.11
QUALCOMM Inc. 1,172 120,060 2.79
RTX Corp. 1,734 177,656 4.13
Salesforce Inc. 1,524 156,095 3.63
Smartsheet Inc. 601 61,583 1.43
TE Connectivity Ltd. 1,438 147,322 3.43
Teradyne Inc. 1,245 127,507 2.97
Veeva Systems Inc. 1,372 140,518 3.27
Visa Inc. 1,479 151,487 3.53
Wix.com Ltd. 669 68,513 1.59
Zillow Group Inc. 257 26,366 0.61
The following table represents the basket holdings underlying the total return swap with Citi Zombie Company Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Akero Therapeutics Inc. (603) (77,041)  0.88
AMC Entertainment Holdings Inc. (1,716) (219,174)  2.51
Arcutis Biotherapeutics Inc. (1,066) (136,173)  1.56
BioCryst Pharmaceuticals Inc. (619) (78,993)  0.90
Bloom Energy Corp. (1,575) (201,081)  2.30
Bridgebio Pharma Inc. (1,097) (140,097)  1.60
Cardlytics Inc. (125) (15,920)  0.18
Carvana Co. (4,986) (636,806)  7.29
Chegg Inc. (235) (30,004)  0.34
Chemours Co/The (616) (78,695)  0.90
Coeur Mining Inc. (1,890) (241,428) 2.76
Compass Inc. (493) (62,912) 0.72
Cytokinetics Inc. (2,043) (260,911) 2.99
EchoStar Corp. (885) (113,055) 1.29
FuelCell Energy Inc. (394) (50,254) 0.58
Global Net Lease Inc. (373) (47,676) 0.55
Goodyear Tire & Rubber Co/The (620) (79,219) 0.91

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Guardant Health Inc. (928) (118,522)  1.36
Hudson Pacific Properties Inc. (320) (40,839)  0.47
Infinera Corp. (607) (77,565)  0.89
Ironwood Pharmaceuticals Inc. (377) (48,097)  0.55
JBG SMITH Properties (442) (56,401)  0.65
JetBlue Airways Corp. (2,917) (372,504)  4.26
Lumen Technologies Inc. (2,100) (268,184)  3.07
Lumentum Holdings Inc. (1,614) (206,103)  2.36
NeoGenomics Inc. (338) (43,105)  0.49
Newell Brands Inc. (827) (105,677)  1.21
Novocure Ltd. (375) (47,945) 0.55
Ocular Therapeutix Inc. (765) (97,743) 1.12
Opendoor Technologies Inc. (729) (93,098) 1.07
Pacific Biosciences of California Inc. (633) (80,896) 0.93
Paramount Global (2,843) (363,044) 4.15
Peloton Interactive Inc. (1,309) (167,139) 1.91
Penn Entertainment Inc. (3,233) (412,878) 4.72
Recursion Pharmaceuticals Inc. (689) (88,015) 1.01
Redfin Corp. (1,185) (151,395) 1.73
Rivian Automotive Inc. (3,414) (435,987) 4.99
Semtech Corp. (3,750) (478,966) 5.48
Spirit AeroSystems Holdings Inc. (2,360) (301,401) 3.45
Sunnova Energy International Inc. (2,059) (262,994) 3.01
Tandem Diabetes Care Inc. (1,142) (145,829) 1.67
Telephone and Data Systems Inc. (384) (49,076) 0.56
Terawulf Inc. (1,975) (252,191) 2.89
Upstart Holdings Inc. (3,736) (477,102) 5.46
Viasat Inc. (354) (45,266) 0.52
Virgin Galactic Holdings Inc. (179) (22,875) 0.26
Walgreens Boots Alliance Inc. (1,631) (208,353) 2.38
Warner Bros Discovery Inc. (3,260) (416,279) 4.76
Wolfspeed Inc. (1,258) (160,665) 1.84
Xerox Holdings Corp. (1,017) (129,923) 1.49
Xometry Inc. (339) (43,316) 0.50
    
1. As of September 30, 2024, cash in the amount $1,200,000 was pledged to brokers for OTC swap contracts.
2. Portfolio pays the floating rate and receives the total return of the reference entity.
3. 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.
4. Reflects the value at reset date as of September 30, 2024.
    
Abbreviation(s):
EAFE—Europe, Australasia and Far East
ETF—Exchange-Traded Fund
FEDF—Federal Funds Rate
FTSE—Financial Times Stock Exchange
MSCI—Morgan Stanley Capital International

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Affiliated Investment Companies              
Equity Funds  $ 162,978,129   $ —   $ —    $ 162,978,129
Fixed Income Funds  214,123,966        214,123,966
Total Affiliated Investment Companies 377,102,095       377,102,095
Short-Term Investment              
Affiliated Investment Company   39,741,625         39,741,625
Total Investments in Securities $ 416,843,720   $ —   $ —   $ 416,843,720
    
(a) For a complete listing of investments, see the Portfolio of Investments.

NYLI VP CBRE Global Infrastructure Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.7%
Canada 7.6% 
Canadian National Railway Co. (Transportation)   6,256 $    732,569
Pembina Pipeline Corp. (Midstream / Pipelines)  31,641   1,304,289
TC Energy Corp. (Midstream / Pipelines) (a)  13,474    640,499
    2,677,357
China 2.3% 
Beijing Enterprises Holdings Ltd. (Utilities)  92,281     331,192
China Resources Gas Group Ltd. (Utilities)  74,407     300,065
Jiangsu Expressway Co. Ltd., Class H (Transportation) 178,185    180,389
    811,646
France 4.3% 
Aeroports de Paris SA (Transportation)   1,341     172,112
Getlink SE (Transportation)   8,980     160,137
Vinci SA (Transportation)   9,912  1,157,971
    1,490,220
Germany 0.9% 
E.ON SE (Utilities)  21,209    315,296
Hong Kong 2.1% 
CLP Holdings Ltd. (Utilities) 84,197 745,700
Italy 3.1% 
Enel SpA (Utilities) 137,680 1,099,630
Japan 2.2% 
East Japan Railway Co. (Transportation) (a) 31,100 616,374
West Japan Railway Co. (Transportation) 8,848 167,695
    784,069
Mexico 1.3% 
Grupo Aeroportuario del Pacifico SAB de CV, Class B (Transportation) 6,560 113,909
Grupo Aeroportuario del Sureste SAB de CV, Class B (Transportation) 12,047 341,017
    454,926
New Zealand 1.2% 
Auckland International Airport Ltd. (Transportation) 92,384 438,426
Spain 8.8% 
Aena SME SA (Transportation) 5,076 1,116,509
Cellnex Telecom SA (Communications) 25,995 1,054,151
Ferrovial SE (Transportation) 21,017 902,582
    3,073,242
Switzerland 1.4% 
Flughafen Zurich AG (Registered) (Transportation) 1,984 476,807

  Shares Value
Common Stocks
United Kingdom 4.2% 
National Grid plc (Utilities)  48,009 $    661,112
Pennon Group plc (Utilities)  44,152     349,452
Severn Trent plc (Utilities)  12,793    451,877
    1,462,441
United States 60.3% 
AES Corp. (The) (Utilities)  54,565   1,094,574
Ameren Corp. (Utilities)   4,129     361,122
American Tower Corp. (Communications)   5,620   1,306,987
Atmos Energy Corp. (Utilities)  10,318   1,431,210
California Water Service Group (Utilities)   8,692     471,280
CenterPoint Energy, Inc. (Utilities)  24,284     714,435
CMS Energy Corp. (Utilities)  15,938   1,125,701
Constellation Energy Corp. (Utilities)   2,615     679,952
CSX Corp. (Transportation)  44,419   1,533,788
Equinix, Inc. (Communications)   1,306   1,159,245
Essential Utilities, Inc. (Utilities)  15,333     591,394
Evergy, Inc. (Utilities) 13,058 809,727
NextEra Energy Partners LP (Utilities) 5,114 141,249
NextEra Energy, Inc. (Utilities) 5,373 454,180
NiSource, Inc. (Utilities) 15,691 543,693
OGE Energy Corp. (Utilities) 11,664 478,457
PG&E Corp. (Utilities) 63,393 1,253,280
Plains GP Holdings LP, Class A (Midstream / Pipelines) (b) 13,583 251,285
Portland General Electric Co. (Utilities) 13,039 624,568
PPL Corp. (Utilities) 33,562 1,110,231
SBA Communications Corp. (Communications) 740 178,118
Sempra (Utilities) 8,185 684,511
Targa Resources Corp. (Midstream / Pipelines) 10,103 1,495,345
WEC Energy Group, Inc. (Utilities) 16,126 1,550,999
Xcel Energy, Inc. (Utilities) 16,559 1,081,303
    21,126,634
Total Common Stocks
(Cost $29,479,709)
  34,956,394
Short-Term Investments 2.4%
Affiliated Investment Company 0.5% 
United States 0.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 178,997 178,997

  Shares   Value
Short-Term Investments
Unaffiliated Investment Company 1.9% 
United States 1.9% 
Invesco Government & Agency Portfolio, 4.917% (c)(d) 662,872   $    662,872
Total Short-Term Investments
(Cost $841,869)
    841,869
Total Investments
(Cost $30,321,578)
102.1%   35,798,263
Other Assets, Less Liabilities (2.1)   (753,397)
Net Assets 100.0%   $ 35,044,866
    
Percentages indicated are based on Portfolio net assets.
^ Industry and country classifications may be different than those used for compliance monitoring purposes.
(a) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $1,195,169; the total market value of collateral held by the Portfolio was $1,318,367. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $655,495. The Portfolio received cash collateral with a value of $662,872.  
(b) Non-income producing security.
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 97 $ 7,432 $ (7,350) $ — $ — $ 179 $ 9 $ — 179
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 34,956,394   $ —   $ —    $ 34,956,394
Short-Term Investments              
Affiliated Investment Company     178,997           178,997
Unaffiliated Investment Company     662,872           662,872
Total Short-Term Investments 841,869       841,869
Total Investments in Securities $ 35,798,263   $ —   $ —   $ 35,798,263
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Candriam Emerging Markets Equity Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 97.9%
Argentina 1.2% 
Banco Macro SA, ADR (Banks)    20,000 $   1,270,000
YPF SA, Sponsored ADR (Oil, Gas & Consumable Fuels) (a)    68,000   1,442,280
    2,712,280
Brazil 5.1% 
Cia de Saneamento Basico do Estado de Sao Paulo SABESP (Water Utilities)    94,000    1,559,851
MercadoLibre, Inc. (Broadline Retail) (a)       820    1,682,607
NU Holdings Ltd., Class A (Banks) (a)   150,000    2,047,500
PRIO SA (Oil, Gas & Consumable Fuels)   110,000      874,920
Rede D'Or Sao Luiz SA (Health Care Providers & Services) (a)(b)   263,000    1,493,215
Suzano SA (Paper & Forest Products) (a)   160,000    1,598,913
WEG SA (Electrical Equipment)   230,000   2,296,327
    11,553,333
China 31.0% 
Alibaba Group Holding Ltd. (Broadline Retail)   570,000    8,065,502
APT Medical, Inc., Class A (Health Care Equipment & Supplies) (c)    35,200    2,053,923
Bank of Hangzhou Co. Ltd., Class A (Banks) (c)   399,996      803,857
Bank of Jiangsu Co. Ltd., Class A (Banks) (c) 1,160,946 1,389,938
Bilibili, Inc., Class Z (Entertainment) (a) 8,000 199,438
BYD Co. Ltd., Class H (Automobiles) 55,000 2,007,885
China Merchants Bank Co. Ltd., Class H (Banks) 420,000 2,082,752
China State Construction International Holdings Ltd. (Construction & Engineering) 1,360,000 2,116,840
Chongqing Rural Commercial Bank Co. Ltd., Class H (Banks) 1,360,000 705,030
CMOC Group Ltd., Class H (Metals & Mining) 2,257,001 2,215,237
Eastroc Beverage Group Co. Ltd., Class A (Beverages) (c) 63,985 2,471,267
Eoptolink Technology, Inc. Ltd., Class A (Electronic Equipment, Instruments & Components) (c) 67,992 1,259,520
Fuyao Glass Industry Group Co. Ltd., Class H (Automobile Components) (b) 176,775 1,188,149
Giant Biogene Holding Co. Ltd. (Personal Care Products) (b) 290,000 1,900,667
Gree Electric Appliances, Inc. of Zhuhai, Class A (Household Durables) (c) 200,000 1,366,571
JD.com, Inc., Class A (Broadline Retail) 140,000 3,009,320
Lenovo Group Ltd. (Technology Hardware, Storage & Peripherals) 350,000 477,241
Meituan (Hotels, Restaurants & Leisure) (a)(b) 296,000 6,549,136
NAURA Technology Group Co. Ltd., Class A (Semiconductors & Semiconductor Equipment) (c) 45,956 2,397,197
Ningbo Orient Wires & Cables Co. Ltd., Class A (Electrical Equipment) (c) 225,992 1,777,053
PDD Holdings, Inc., ADR (Broadline Retail) (a) 16,200 2,183,922
Ping An Insurance Group Co. of China Ltd., Class H (Insurance) 580,000 3,741,647
Pop Mart International Group Ltd. (Specialty Retail) (b) 272,000 1,863,169
Sailun Group Co. Ltd., Class A (Automobile Components) (c) 260,995 596,679
Shenzhen New Industries Biomedical Engineering Co. Ltd., Class A (Health Care Equipment & Supplies) (c) 44,997 525,642
Silergy Corp. (Semiconductors & Semiconductor Equipment) 114,000 1,685,874
Tencent Holdings Ltd. (Interactive Media & Services) 216,000 12,353,416
Xiaomi Corp., Class B (Technology Hardware, Storage & Peripherals) (a)(b) 993,000 2,874,058
    69,860,930
Greece 0.0%  ‡
FF Group (Textiles, Apparel & Luxury Goods) (a)(c)(d) 19,000

  Shares Value
Common Stocks
Hong Kong 0.0%  ‡
China Lumena New Materials Corp. (Chemicals) (a)(c)(d)     6,500 $          —
India 18.6% 
ABB India Ltd. (Electrical Equipment)    18,000    1,730,165
Apollo Hospitals Enterprise Ltd. (Health Care Providers & Services)    30,000    2,577,223
Axis Bank Ltd. (Banks)   132,000    1,940,907
Bharti Airtel Ltd. (Wireless Telecommunication Services)   246,000    5,018,413
Cholamandalam Investment and Finance Co. Ltd. (Consumer Finance)   143,000    2,743,921
Coforge Ltd. (IT Services)    25,000    2,093,182
Dixon Technologies India Ltd. (Household Durables)    12,000    1,976,526
ICICI Bank Ltd. (Banks)   302,000    4,587,593
Infosys Ltd. (IT Services)    91,700    2,052,386
KEI Industries Ltd. (Electrical Equipment)    31,800    1,630,693
KPIT Technologies Ltd. (Software)    72,000    1,398,738
MakeMyTrip Ltd. (Hotels, Restaurants & Leisure) (a)    11,000    1,022,450
Reliance Industries Ltd. (Oil, Gas & Consumable Fuels)   104,000    3,664,952
Shriram Finance Ltd. (Consumer Finance)    54,600    2,330,532
Torrent Pharmaceuticals Ltd. (Pharmaceuticals) 59,559 2,413,987
Trent Ltd. (Specialty Retail) 36,000 3,253,978
Varun Beverages Ltd. (Beverages) 190,000 1,374,645
    41,810,291
Indonesia 1.7% 
Bank Mandiri Persero Tbk. PT (Banks) 3,300,000 1,509,412
Merdeka Copper Gold Tbk. PT (Metals & Mining) (a) 5,000,000 898,283
Sumber Alfaria Trijaya Tbk. PT (Consumer Staples Distribution & Retail) 6,400,000 1,335,799
    3,743,494
Kazakhstan 0.4% 
Kaspi.KZ JSC, ADR (Consumer Finance) 9,400 996,306
Malaysia 0.7% 
Press Metal Aluminium Holdings Bhd. (Metals & Mining) 1,320,000 1,619,789
Mexico 1.7% 
America Movil SAB de CV (Wireless Telecommunication Services) (e) 1,720,000 1,410,767
Gruma SAB de CV, Class B (Food Products) 42,000 779,912
Grupo Financiero Banorte SAB de CV, Class O (Banks) 100,000 708,481
Industrias Penoles SAB de CV (Metals & Mining) (a) 63,000 836,182
    3,735,342
Philippines 1.4% 
International Container Terminal Services, Inc. (Transportation Infrastructure) 344,500 2,483,658
PLDT, Inc. (Wireless Telecommunication Services) 23,000 611,555
    3,095,213
Poland 0.5% 
Allegro.eu SA (Broadline Retail) (a)(b) 117,000 1,058,137

  Shares Value
Common Stocks
Republic of Korea 8.3% 
Daejoo Electronic Materials Co. Ltd. (Electronic Equipment, Instruments & Components) (a)     5,000 $     428,233
DB Insurance Co. Ltd. (Insurance)    28,000    2,404,527
KB Financial Group, Inc. (Banks)    23,000    1,422,880
KIWOOM Securities Co. Ltd. (Capital Markets)    18,400    1,829,166
Meritz Financial Group, Inc. (Financial Services)    29,800    2,212,725
Samsung Biologics Co. Ltd. (Life Sciences Tools & Services) (a)(b)     3,190    2,383,291
Samsung Electronics Co. Ltd. (Technology Hardware, Storage & Peripherals)    80,000    3,762,331
Samsung Heavy Industries Co. Ltd. (Machinery) (a)   280,000    2,147,587
SK Hynix, Inc. (Semiconductors & Semiconductor Equipment)    15,200   2,029,456
    18,620,196
Russia 0.0%  ‡
Magnit PJSC (Consumer Staples Distribution & Retail) (c)(d)    22,529          —
Saudi Arabia 2.5% 
Al Rajhi Bank (Banks)    82,000    1,906,062
Dr. Sulaiman Al Habib Medical Services Group Co. (Health Care Providers & Services)    13,400    1,059,455
Elm Co. (IT Services)     4,800    1,488,596
Leejam Sports Co. JSC (Hotels, Restaurants & Leisure) 4,000 220,505
United Electronics Co. (Specialty Retail) 39,000 985,552
    5,660,170
Singapore 0.8% 
Sea Ltd., ADR (Entertainment) (a) 18,900 1,781,892
South Africa 5.8% 
Capitec Bank Holdings Ltd. (Banks) 22,600 3,982,401
Clicks Group Ltd. (Consumer Staples Distribution & Retail) 102,000 2,343,565
Gold Fields Ltd. (Metals & Mining) 218,000 3,391,980
Naspers Ltd., Class N (Broadline Retail) 13,800 3,350,578
    13,068,524
Taiwan 14.5% 
Accton Technology Corp. (Communications Equipment) 84,000 1,412,099
ASE Technology Holding Co. Ltd. (Semiconductors & Semiconductor Equipment) 152,000 725,262
Asia Vital Components Co. Ltd. (Technology Hardware, Storage & Peripherals) 44,000 820,312
ASPEED Technology, Inc. (Semiconductors & Semiconductor Equipment) 8,800 1,197,099
CTBC Financial Holding Co. Ltd. (Banks) 1,100,000 1,195,709
Delta Electronics, Inc. (Electronic Equipment, Instruments & Components) 112,000 1,346,626
E Ink Holdings, Inc. (Electronic Equipment, Instruments & Components) 192,400 1,781,341
Elite Material Co. Ltd. (Electronic Equipment, Instruments & Components) 64,000 903,986
Lotes Co. Ltd. (Electronic Equipment, Instruments & Components) 12,800 560,188
Realtek Semiconductor Corp. (Semiconductors & Semiconductor Equipment) 63,300 942,104
Taiwan Semiconductor Manufacturing Co. Ltd. (Semiconductors & Semiconductor Equipment) 696,300 21,056,329
Wiwynn Corp. (Technology Hardware, Storage & Peripherals) 14,900 807,467
    32,748,522

  Shares   Value
Common Stocks
Thailand 1.6% 
Muangthai Capital PCL, NVDR (Consumer Finance) (e)   923,500   $   1,420,659
Thai Oil PCL, NVDR (Oil, Gas & Consumable Fuels) (e) 1,376,100     2,191,753
      3,612,412
Turkey 1.3% 
BIM Birlesik Magazalar A/S (Consumer Staples Distribution & Retail)    78,000      1,131,881
Turkiye Garanti Bankasi A/S (Banks)   520,000     1,861,189
      2,993,070
United Kingdom 0.8% 
Anglogold Ashanti plc (Metals & Mining)    68,000     1,806,472
Total Common Stocks
(Cost $180,235,216)
    220,476,373
Preferred Stocks 2.0%
Brazil 0.8% 
Itau Unibanco Holding SA (Banks)   272,000     1,802,948
Republic of Korea 1.2% 
Samsung Electronics Co. Ltd. (Technology Hardware, Storage & Peripherals) 1.88%    70,000     2,724,631
Total Preferred Stocks
(Cost $4,806,939)
    4,527,579
Short-Term Investment 0.1%
Unaffiliated Investment Company 0.1% 
United States 0.1% 
Invesco Government & Agency Portfolio, 4.917% (f)(g) 233,847   233,847
Total Short-Term Investment
(Cost $233,847)
    233,847
Total Investments
(Cost $185,276,002)
100.0%   225,237,799
Other Assets, Less Liabilities (0.0)‡   (33,326)
Net Assets 100.0%   $ 225,204,473
    
Percentages indicated are based on Portfolio net assets.
^ Industry and country classifications may be different than those used for compliance monitoring purposes.
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) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $14,641,647, which represented 6.5% of the Portfolio’s net assets.
(d) Security in which significant unobservable inputs (Level 3) were used in determining fair value.

(e) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $1,681,327; the total market value of collateral held by the Portfolio was $1,957,671. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $1,723,824. The Portfolio received cash collateral with a value of $233,847.  
(f) Current yield as of September 30, 2024.
(g) Represents a security purchased with cash collateral received for securities on loan.
Foreign Currency Forward Contracts
As of September 30, 2024, the Portfolio held the following foreign currency forward contracts1:
Currency Purchased Currency Sold Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
CNY 892,011 USD 127,652 JPMorgan Chase Bank N.A. 10/8/24    $ (514)
CNY 2,763,837 USD 395,520 JPMorgan Chase Bank N.A. 10/8/24  (1,592)
CNY 1,072,434 USD 153,549 JPMorgan Chase Bank N.A. 10/8/24    (696)
Total Unrealized Depreciation $ (2,802)
    
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.
    
Abbreviation(s):
ADR—American Depositary Receipt
CNY—China Yuan Renminbi
NVDR—Non-Voting Depositary Receipt
PCL—Provision for Credit Losses
USD—United States Dollar
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Common Stocks  $ 220,476,373       $ —   $ —    $ 220,476,373
Preferred Stocks    4,527,579       —        4,527,579
Short-Term Investment              
Unaffiliated Investment Company      233,847       —          233,847
Total Investments in Securities $ 225,237,799   $ —   $ —   $ 225,237,799
Liability Valuation Inputs              
Other Financial Instruments              
Foreign Currency Forward Contracts (b)           $ —    $ (2,802)   $ —          $ (2,802)
    
(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.

NYLI VP Epoch U.S. Equity Yield Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 97.6%
Aerospace & Defense 2.8% 
General Dynamics Corp.     27,287 $   8,246,131
Lockheed Martin Corp.     15,834    9,255,923
RTX Corp.     77,134   9,345,556
    26,847,610
Air Freight & Logistics 1.0% 
United Parcel Service, Inc., Class B     68,198   9,298,115
Banks 9.2% 
Bank of America Corp.    422,844   16,778,450
Columbia Banking System, Inc.    327,901    8,561,495
JPMorgan Chase & Co.    102,517   21,616,735
PNC Financial Services Group, Inc. (The)     44,450    8,216,582
Regions Financial Corp.    328,842    7,671,884
Truist Financial Corp.    167,432    7,161,067
U.S. Bancorp    284,163   12,994,774
Wells Fargo & Co.     89,233   5,040,772
    88,041,759
Beverages 2.3% 
Coca-Cola Co. (The) 96,712 6,949,725
Coca-Cola Europacific Partners plc 120,107 9,458,426
PepsiCo, Inc. 31,839 5,414,222
    21,822,373
Biotechnology 2.9% 
AbbVie, Inc. 102,566 20,254,733
Amgen, Inc. 23,394 7,537,781
    27,792,514
Capital Markets 3.0% 
BlackRock, Inc. 12,543 11,909,704
CME Group, Inc. 28,618 6,314,562
Lazard, Inc. 204,906 10,323,164
    28,547,430
Chemicals 3.9% 
Dow, Inc. 166,807 9,112,667
Linde plc 17,634 8,408,949
LyondellBasell Industries NV, Class A 89,939 8,625,150
Nutrien Ltd. 118,190 5,680,211
PPG Industries, Inc. 40,580 5,375,227
    37,202,204
Commercial Services & Supplies 0.6% 
Republic Services, Inc. 27,776 5,578,532
Communications Equipment 1.1% 
Cisco Systems, Inc. 200,692 10,680,828

  Shares Value
Common Stocks
Consumer Staples Distribution & Retail 1.9% 
Walmart, Inc.    223,161 $  18,020,251
Diversified Telecommunication Services 2.1% 
AT&T, Inc.    471,515   10,373,330
Verizon Communications, Inc.    219,098   9,839,691
    20,213,021
Electric Utilities 5.3% 
Alliant Energy Corp.    101,731    6,174,054
American Electric Power Co., Inc.    118,153   12,122,498
Duke Energy Corp.     54,090    6,236,577
Entergy Corp.     72,203    9,502,637
NextEra Energy, Inc.    133,308   11,268,525
Pinnacle West Capital Corp.     60,683   5,375,907
    50,680,198
Electrical Equipment 3.2% 
Eaton Corp. plc     35,286   11,695,192
Emerson Electric Co.    103,055   11,271,125
Hubbell, Inc. 17,112 7,329,925
    30,296,242
Food Products 0.7% 
Mondelez International, Inc., Class A 94,115 6,933,452
Health Care Equipment & Supplies 1.6% 
Medtronic plc 170,002 15,305,280
Health Care Providers & Services 2.8% 
CVS Health Corp. 166,343 10,459,648
UnitedHealth Group, Inc. 27,648 16,165,233
    26,624,881
Health Care REITs 0.6% 
Welltower, Inc. 46,282 5,925,484
Hotels, Restaurants & Leisure 1.7% 
McDonald's Corp. 31,223 9,507,716
Vail Resorts, Inc. 37,697 6,570,210
    16,077,926
Household Durables 0.6% 
Garmin Ltd. 32,886 5,788,923
Household Products 1.6% 
Colgate-Palmolive Co. 55,247 5,735,191

  Shares Value
Common Stocks
Household Products  
Procter & Gamble Co. (The)     57,286 $   9,921,935
    15,657,126
Industrial Conglomerates 0.9% 
Honeywell International, Inc.     42,832   8,853,803
Industrial REITs 0.6% 
Prologis, Inc.     47,822   6,038,962
Insurance 4.5% 
Marsh & McLennan Cos., Inc.     41,678    9,297,945
MetLife, Inc.    262,298   21,634,339
Travelers Cos., Inc. (The)     49,683  11,631,784
    42,564,068
Interactive Media & Services 0.6% 
Meta Platforms, Inc., Class A      9,549   5,466,230
IT Services 1.6% 
International Business Machines Corp.     67,507  14,924,448
Leisure Products 0.9% 
Hasbro, Inc. 122,202 8,837,649
Machinery 2.0% 
Cummins, Inc. 59,077 19,128,542
Media 2.5% 
Comcast Corp., Class A 309,469 12,926,520
Omnicom Group, Inc. 102,602 10,608,021
    23,534,541
Multi-Utilities 2.6% 
Ameren Corp. 65,482 5,727,056
CMS Energy Corp. 99,346 7,016,808
NiSource, Inc. 186,382 6,458,136
WEC Energy Group, Inc. 62,149 5,977,491
    25,179,491
Oil, Gas & Consumable Fuels 5.6% 
Chevron Corp. 103,155 15,191,637
Enterprise Products Partners LP 386,815 11,260,185
MPLX LP 245,310 10,906,483
TotalEnergies SE, Sponsored ADR 86,810 5,609,662
Williams Cos., Inc. (The) 217,428 9,925,588
    52,893,555

  Shares Value
Common Stocks
Pharmaceuticals 6.6% 
Bristol-Myers Squibb Co.    122,230 $   6,324,180
Eli Lilly & Co.     17,668   15,652,788
Johnson & Johnson    105,546   17,104,785
Merck & Co., Inc.    136,153   15,461,534
Pfizer, Inc.    291,938   8,448,686
    62,991,973
Professional Services 0.6% 
Paychex, Inc.     40,857   5,482,601
Retail REITs 0.6% 
Realty Income Corp.     94,808   6,012,723
Semiconductors & Semiconductor Equipment 5.1% 
Analog Devices, Inc.     55,247   12,716,202
Broadcom, Inc.    104,959   18,105,427
KLA Corp.     14,136   10,947,060
Texas Instruments, Inc.     34,352   7,096,093
    48,864,782
Software 2.1% 
Microsoft Corp. 32,079 13,803,594
Salesforce, Inc. 22,347 6,116,597
    19,920,191
Specialized REITs 3.8% 
American Tower Corp. 26,119 6,074,235
Iron Mountain, Inc. 160,277 19,045,716
VICI Properties, Inc. 329,089 10,961,954
    36,081,905
Specialty Retail 1.8% 
Best Buy Co., Inc. 72,435 7,482,536
Home Depot, Inc. (The) 24,102 9,766,130
    17,248,666
Technology Hardware, Storage & Peripherals 3.4% 
Apple, Inc. 27,549 6,418,917
Dell Technologies, Inc., Class C 82,018 9,722,414
Hewlett Packard Enterprise Co. 314,523 6,435,140
NetApp, Inc. 75,810 9,363,293
    31,939,764
Tobacco 1.4% 
Philip Morris International, Inc. 109,616 13,307,382
Trading Companies & Distributors 1.0% 
MSC Industrial Direct Co., Inc., Class A 110,735 9,529,854

  Shares   Value
Common Stocks
Water Utilities 0.5% 
Essential Utilities, Inc.    128,148   $   4,942,668
Total Common Stocks
(Cost $677,444,817)
    931,077,947
Short-Term Investment 2.4%
Affiliated Investment Company 2.4% 
NYLI U.S. Government Liquidity Fund, 4.88% (a) 22,823,198    22,823,198
Total Short-Term Investment
(Cost $22,823,198)
    22,823,198
Total Investments
(Cost $700,268,015)
100.0%   953,901,145
Other Assets, Less Liabilities 0.0‡   47,460
Net Assets 100.0%   $ 953,948,605
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
(a) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 14,122 $ 109,175 $ (100,474) $ — $ — $ 22,823 $ 509 $ — 22,823
Abbreviation(s):
ADR—American Depositary Receipt
REIT—Real Estate Investment Trust

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 931,077,947   $ —   $ —    $ 931,077,947
Short-Term Investment              
Affiliated Investment Company   22,823,198         22,823,198
Total Investments in Securities $ 953,901,145   $ —   $ —   $ 953,901,145
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Fidelity Institutional AM® Utilities Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 100.2%
Electric Utilities 62.1% 
American Electric Power Co., Inc.   475,663 $  48,803,024
Constellation Energy Corp.   253,768   65,984,755
Duke Energy Corp.   191,013   22,023,799
Edison International   557,766   48,575,841
Entergy Corp.   360,948   47,504,366
Evergy, Inc.   202,200   12,538,422
Eversource Energy   602,209   40,980,323
FirstEnergy Corp.   624,881   27,713,472
Hawaiian Electric Industries, Inc. (a)   926,047    8,964,135
NextEra Energy, Inc. 1,581,631 133,695,268
NRG Energy, Inc.   273,656   24,930,062
PG&E Corp. 2,911,099   57,552,427
Pinnacle West Capital Corp.   124,100   10,994,019
PPL Corp.   916,169   30,306,871
Southern Co. (The)   270,396   24,384,311
TXNM Energy, Inc.    11,700      512,109
Xcel Energy, Inc. 175,420 11,454,926
    616,918,130
Gas Utilities 2.3% 
Southwest Gas Holdings, Inc. 150,749 11,119,246
UGI Corp. 463,025 11,584,886
    22,704,132
Independent Power and Renewable Electricity Producers 11.8% 
AES Corp. (The) 1,040,587 20,874,175
Clearway Energy, Inc. 84,500 2,405,715
NextEra Energy Partners LP (b) 668,432 18,462,092
Talen Energy Corp. (a) 123,800 22,066,112
Vistra Corp. 446,610 52,941,150
    116,749,244
Multi-Utilities 24.0% 
Ameren Corp. 295,866 25,876,440
CenterPoint Energy, Inc. 1,335,046 39,277,053
Consolidated Edison, Inc. 186,219 19,390,985
NiSource, Inc. 870,884 30,176,131
Public Service Enterprise Group, Inc. 614,449 54,814,995
Sempra 819,303 68,518,310
    238,053,914
Total Common Stocks
(Cost $794,866,590)
  994,425,420

  Shares   Value
Short-Term Investment 0.0% ‡
Affiliated Investment Company 0.0%  ‡
NYLI U.S. Government Liquidity Fund, 4.88% (c)   339,544   $     339,544
Total Short-Term Investment
(Cost $339,544)
    339,544
Total Investments
(Cost $795,206,134)
100.2%   994,764,964
Other Assets, Less Liabilities (0.2)   (1,682,413)
Net Assets 100.0%   $ 993,082,551
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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, 2024, the aggregate market value of securities on loan was $3,718,812. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $3,862,419.  
(c) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 13,214 $ 200,337 $ (213,211) $ — $ — $ 340 $ 220 $ — 340
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 994,425,420   $ —   $ —    $ 994,425,420
Short-Term Investment              
Affiliated Investment Company      339,544            339,544
Total Investments in Securities $ 994,764,964   $ —   $ —   $ 994,764,964
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Floating Rate Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 94.8%
Asset-Backed Securities 3.0%
Other Asset-Backed Securities 3.0% 
720 East CLO IV Ltd. (a)(b)  
Series 2024-1A, Class B                         
7.295% (3 Month SOFR + 2.00%), due 4/15/37 $      525,000 $       527,916
Series 2024-1A, Class D                         
9.145% (3 Month SOFR + 3.85%), due 4/15/37   1,250,000      1,270,798
AIMCO CLO 16 Ltd.  
Series 2021-16A, Class D2R                         
9.486% (3 Month SOFR + 4.20%), due 7/17/37 (a)(b) 1,937,500 1,898,380
AIMCO CLO 20 Ltd. (a)(b)  
Series 2023-20A, Class B1    
7.486% (3 Month SOFR + 2.20%), due 10/16/36 1,000,000 1,009,284
Series 2023-20A, Class D    
9.286% (3 Month SOFR + 4.00%), due 10/16/36 848,215 858,511
Ballyrock CLO 21 Ltd. (a)(b)  
Series 2022-21A, Class A2A    
8.082% (3 Month SOFR + 2.80%), due 10/22/35 900,000 900,000
Series 2022-21A, Class C    
10.602% (3 Month SOFR + 5.32%), due 10/22/35 1,000,000 1,000,000
Danby Park CLO Ltd. (a)(b)  
Series 2022-1A, Class B    
8.232% (3 Month SOFR + 2.95%), due 10/22/35 1,000,000 1,001,629
Series 2022-1A, Class D    
10.612% (3 Month SOFR + 5.33%), due 10/22/35 1,000,000 1,008,685
Elmwood CLO 26 Ltd. (a)(b)  
Series 2024-1A, Class B    
7.291% (3 Month SOFR + 2.00%), due 4/20/37 1,500,000 1,511,897
Series 2024-1A, Class D    
8.891% (3 Month SOFR + 3.60%), due 4/20/37 1,200,000 1,222,352
Empower CLO Ltd. (a)(b)  
Series 2023-2A, Class B    
8.051% (3 Month SOFR + 2.75%), due 7/15/36 1,250,000 1,268,059
Series 2023-2A, Class D    
10.701% (3 Month SOFR + 5.40%), due 7/15/36 1,250,000 1,283,683
Galaxy 32 CLO Ltd. (a)(b)  
Series 2023-32A, Class B    
7.582% (3 Month SOFR + 2.30%), due 10/20/36 1,000,000 1,001,197
Series 2023-32A, Class D    
9.582% (3 Month SOFR + 4.30%), due 10/20/36 1,000,000 1,005,883
OHA Credit Funding 16 Ltd. (a)(b)  
Series 2023-16A, Class B    
7.532% (3 Month SOFR + 2.25%), due 10/20/36 1,000,000 1,010,542
Series 2023-16A, Class D    
9.282% (3 Month SOFR + 4.00%), due 10/20/36 1,000,000 1,019,436
Palmer Square CLO Ltd. (a)(b)  
Series 2024-1A, Class B    
7.305% (3 Month SOFR + 2.00%), due 4/15/37 1,250,000 1,259,724

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Palmer Square CLO Ltd. (a)(b)  
Series 2022-2A, Class D1R                         
8.282% (3 Month SOFR + 3.00%), due 7/20/37 $      625,000 $       624,952
Series 2021-4A, Class D                         
8.513% (3 Month SOFR + 3.212%), due 10/16/34   1,575,000      1,581,706
Series 2024-1A, Class D                         
8.705% (3 Month SOFR + 3.40%), due 4/15/37   1,250,000      1,269,119
Series 2022-2A, Class D2R                         
9.482% (3 Month SOFR + 4.20%), due 7/20/37 625,000 630,441
Sixth Street CLO XXI Ltd. (a)(b)  
Series 2022-21A, Class B    
8.301% (3 Month SOFR + 3.00%), due 10/15/35 1,500,000 1,500,000
Series 2022-21A, Class D    
10.401% (3 Month SOFR + 5.10%), due 10/15/35 1,071,000 1,071,000
Sixth Street CLO XXIV Ltd. (a)(b)  
Series 2024-24A, Class B    
7.295% (3 Month SOFR + 2.00%), due 4/23/37 1,500,000 1,515,283
Series 2024-24A, Class D    
8.895% (3 Month SOFR + 3.60%), due 4/23/37 1,500,000 1,520,278
Total Asset-Backed Securities
(Cost $29,457,759)
  29,770,755
Corporate Bonds 8.4%
Aerospace & Defense 0.1% 
Spirit AeroSystems, Inc.    
9.375%, due 11/30/29 (a) 250,000 271,213
TransDigm, Inc.    
7.125%, due 12/1/31 (a) 500,000 528,831
    800,044
Airlines 0.4% 
JetBlue Airways Corp.    
9.875%, due 9/20/31 (a) 2,200,000 2,317,359
United Airlines, Inc. (a)    
4.375%, due 4/15/26 200,000 196,790
4.625%, due 4/15/29 600,000 579,635
VistaJet Malta Finance plc    
9.50%, due 6/1/28 (a) 1,000,000 977,388
    4,071,172
Auto Manufacturers 0.4% 
Ford Motor Co.    
6.10%, due 8/19/32 2,100,000 2,152,438
Ford Motor Credit Co. LLC    
7.35%, due 11/4/27 2,000,000 2,123,640
    4,276,078

  Principal
Amount
Value
Corporate Bonds
Building Materials 0.6% 
EMRLD Borrower LP    
6.75%, due 7/15/31 (a) $      990,000 $     1,032,428
Masterbrand, Inc.    
7.00%, due 7/15/32 (a)   1,500,000      1,571,755
Miter Brands Acquisition Holdco, Inc.    
6.75%, due 4/1/32 (a)   1,250,000      1,295,783
Wilsonart LLC    
11.00%, due 8/15/32 (a)(c)   2,000,000     2,000,602
    5,900,568
Chemicals 0.6% 
ASP Unifrax Holdings, Inc.    
5.25%, due 9/30/28 (a) 330,000 164,628
INEOS Finance plc    
7.50%, due 4/15/29 (a) 1,250,000 1,306,109
INEOS Quattro Finance 2 plc    
9.625%, due 3/15/29 (a) 1,000,000 1,068,827
Olympus Water US Holding Corp. (a)    
7.25%, due 6/15/31 1,220,000 1,269,508
9.75%, due 11/15/28 1,500,000 1,600,888
SCIL IV LLC    
5.375%, due 11/1/26 (a) 350,000 345,653
WR Grace Holdings LLC    
5.625%, due 8/15/29 (a) 300,000 281,815
    6,037,428
Commercial Services 0.7% 
Allied Universal Holdco LLC (a)    
7.875%, due 2/15/31 950,000 970,413
9.75%, due 7/15/27 1,000,000 1,002,151
Avis Budget Car Rental LLC    
8.00%, due 2/15/31 (a) 1,500,000 1,534,078
Champions Financing, Inc.    
8.75%, due 2/15/29 (a) 1,350,000 1,375,048
Herc Holdings, Inc.    
5.50%, due 7/15/27 (a) 850,000 848,955
Prime Security Services Borrower LLC    
6.25%, due 1/15/28 (a) 1,000,000 1,000,269
    6,730,914
Computers 0.0%  ‡
Amentum Escrow Corp.    
7.25%, due 8/1/32 (a) 340,000 354,835
Distribution & Wholesale 0.1% 
OPENLANE, Inc.    
5.125%, due 6/1/25 (a) 350,000 348,305

  Principal
Amount
Value
Corporate Bonds
Distribution & Wholesale  
Velocity Vehicle Group LLC    
8.00%, due 6/1/29 (a) $      880,000 $       916,261
    1,264,566
Diversified Financial Services 0.7% 
Focus Financial Partners LLC    
6.75%, due 9/15/31 (a)   1,500,000      1,514,319
GGAM Finance Ltd. (a)    
6.875%, due 4/15/29     560,000        582,557
7.75%, due 5/15/26 1,125,000 1,150,355
8.00%, due 2/15/27 750,000 783,759
Jane Street Group    
7.125%, due 4/30/31 (a) 1,500,000 1,589,340
LD Holdings Group LLC    
8.75%, due 11/1/27 (a) 1,069,000 1,037,043
    6,657,373
Electric 0.3% 
Lightning Power LLC    
7.25%, due 8/15/32 (a) 980,000 1,030,506
Vistra Operations Co. LLC    
5.00%, due 7/31/27 (a) 1,500,000 1,492,671
    2,523,177
Engineering & Construction 0.1% 
Brand Industrial Services, Inc.    
10.375%, due 8/1/30 (a) 1,000,000 1,070,851
Entertainment 0.2% 
Caesars Entertainment, Inc.    
7.00%, due 2/15/30 (a) 1,410,000 1,473,021
Light & Wonder International, Inc.    
7.00%, due 5/15/28 (a) 900,000 907,881
    2,380,902
Environmental Control 0.1% 
GFL Environmental, Inc.    
4.75%, due 6/15/29 (a) 1,000,000 975,459
Food 0.0%  ‡
Post Holdings, Inc.    
5.50%, due 12/15/29 (a) 240,000 238,259
US Foods, Inc.    
7.25%, due 1/15/32 (a) 250,000 264,586
    502,845

  Principal
Amount
Value
Corporate Bonds
Healthcare-Products 0.0%  ‡
Medline Borrower LP    
5.25%, due 10/1/29 (a) $      200,000 $       196,237
Healthcare-Services 0.3% 
Acadia Healthcare Co., Inc.    
5.00%, due 4/15/29 (a)     120,000        114,275
Concentra Escrow Issuer Corp.    
6.875%, due 7/15/32 (a)   1,000,000      1,051,513
Fortrea Holdings, Inc.    
7.50%, due 7/1/30 (a) 360,000 362,363
LifePoint Health, Inc.    
10.00%, due 6/1/32 (a) 1,000,000 1,099,367
    2,627,518
Insurance 0.4% 
Acrisure LLC (a)    
8.25%, due 2/1/29 550,000 567,515
8.50%, due 6/15/29 1,050,000 1,096,370
Panther Escrow Issuer LLC    
7.125%, due 6/1/31 (a) 2,000,000 2,097,818
    3,761,703
Internet 0.1% 
Gen Digital, Inc.    
6.75%, due 9/30/27 (a) 560,000 575,386
Iron & Steel 0.0%  ‡
Carpenter Technology Corp.    
6.375%, due 7/15/28 310,000 312,126
Lodging 0.0%  ‡
Boyd Gaming Corp.    
4.75%, due 12/1/27 400,000 395,473
Machinery-Diversified 0.1% 
GrafTech Finance, Inc.    
4.625%, due 12/15/28 (a) 220,000 146,952
GrafTech Global Enterprises, Inc.    
9.875%, due 12/15/28 (a) 900,000 720,889
    867,841
Media 0.6% 
Gray Television, Inc.    
10.50%, due 7/15/29 (a) 1,040,000 1,086,242
Radiate Holdco LLC    
4.50%, due 9/15/26 (a) 370,000 315,656

  Principal
Amount
Value
Corporate Bonds
Media  
Univision Communications, Inc. (a)    
6.625%, due 6/1/27 $      600,000 $       600,734
8.00%, due 8/15/28   2,113,000      2,160,469
8.50%, due 7/31/31   1,750,000     1,753,909
    5,917,010
Oil & Gas 0.3% 
Civitas Resources, Inc.    
8.625%, due 11/1/30 (a)   1,130,000      1,197,209
SM Energy Co. (a)    
6.75%, due 8/1/29 900,000 903,716
7.00%, due 8/1/32 900,000 903,479
    3,004,404
Oil & Gas Services 0.1% 
Star Holding LLC    
8.75%, due 8/1/31 (a) 1,250,000 1,192,000
Packaging & Containers 0.6% 
Ardagh Metal Packaging Finance USA LLC    
4.00%, due 9/1/29 (a) 400,000 357,047
Clydesdale Acquisition Holdings, Inc. (a)    
6.875%, due 1/15/30 714,000 729,161
8.75%, due 4/15/30 100,000 101,544
LABL, Inc.    
8.625%, due 10/1/31 (a) 2,000,000 1,984,715
Mauser Packaging Solutions Holding Co.    
7.875%, due 4/15/27 (a) 1,500,000 1,549,766
Trident TPI Holdings, Inc.    
12.75%, due 12/31/28 (a) 790,000 876,998
    5,599,231
Pharmaceuticals 0.2% 
Bausch Health Cos., Inc.    
5.50%, due 11/1/25 (a) 300,000 293,072
Endo Finance Holdings, Inc.    
8.50%, due 4/15/31 (a) 863,000 924,733
Organon & Co.    
5.125%, due 4/30/31 (a) 600,000 565,273
    1,783,078
Pipelines 0.1% 
Global Partners LP    
8.25%, due 1/15/32 (a) 400,000 414,916
NGL Energy Operating LLC    
8.125%, due 2/15/29 (a) 500,000 512,673
    927,589

  Principal
Amount
Value
Corporate Bonds
Real Estate 0.1% 
Anywhere Real Estate Group LLC    
5.75%, due 1/15/29 (a) $    1,330,000 $     1,109,354
Real Estate Investment Trusts 0.2% 
Iron Mountain, Inc.    
5.00%, due 7/15/28 (a)     350,000        345,397
RHP Hotel Properties LP    
4.75%, due 10/15/27     300,000        296,340
7.25%, due 7/15/28 (a)     900,000       941,741
    1,583,478
Retail 0.2% 
1011778 B.C. Unlimited Liability Co.    
4.00%, due 10/15/30 (a) 1,040,000 959,026
LBM Acquisition LLC    
6.25%, due 1/15/29 (a) 1,000,000 945,607
    1,904,633
Software 0.4% 
Clarivate Science Holdings Corp. (a)    
3.875%, due 7/1/28 300,000 287,902
4.875%, due 7/1/29 300,000 288,552
Cloud Software Group, Inc.    
8.25%, due 6/30/32 (a) 1,330,000 1,390,248
Rocket Software, Inc.    
9.00%, due 11/28/28 (a) 1,500,000 1,565,377
    3,532,079
Telecommunications 0.3% 
Frontier Communications Holdings LLC    
5.875%, due 10/15/27 (a) 280,000 281,139
Level 3 Financing, Inc.    
10.50%, due 5/15/30 (a) 368,000 396,060
Telesat Canada    
4.875%, due 6/1/27 (a) 600,000 277,130
Zegona Finance plc    
8.625%, due 7/15/29 (a) 2,000,000 2,135,000
    3,089,329
Trucking & Leasing 0.1% 
Fortress Transportation and Infrastructure Investors LLC    
7.00%, due 6/15/32 (a) 1,150,000 1,207,156
Total Corporate Bonds
(Cost $82,020,174)
  83,131,837

  Principal
Amount
Value
Loan Assignments 83.4%
Aerospace & Defense 2.3% 
Arcline FM Holdings LLC  
First Lien 2024-2 New Term Loan              
9.567% (3 Month SOFR + 4.50%), due 6/23/28 (b) $    2,848,036 $     2,852,484
Asplundh Tree Expert LLC  
First Lien 2021 Refinancing Term Loan              
6.695% (1 Month SOFR + 1.75%), due 9/6/27 (b)   2,504,300      2,504,690
Barnes Group, Inc.  
First Lien 2024 Facility Term Loan B              
7.345% (1 Month SOFR + 2.50%), due 8/30/30 (b) 476,883 476,764
Chromalloy Corp.  
First Lien Term Loan  
9.082% (3 Month SOFR + 3.75%), due 3/27/31 (b) 1,496,250 1,418,445
Cobham Ultra SeniorCo SARL  
First Lien USD Facility Term Loan B  
9.245% (6 Month SOFR + 3.75%), due 8/3/29 (b) 1,972,693 1,884,275
Delta Air Lines, Inc.  
First Lien Initial Term Loan  
9.032% (3 Month SOFR + 3.75%), due 10/20/27 (b) 1,070,560 1,089,518
Dynasty Acquisition Co., Inc. (b)  
First Lien 2024 Specified Refinancing Term Loan B1  
8.747% (1 Month SOFR + 3.50%), due 8/24/28 2,711,178 2,711,793
First Lien 2024 Specified Refinancing Term Loan B2  
8.747% (1 Month SOFR + 3.50%), due 8/24/28 1,045,360 1,045,598
Engineering Research and Consulting LLC  
First Lien Term Loan B  
10.062% (3 Month SOFR + 5.00%), due 8/15/31 (b) 1,600,000 1,576,000
TransDigm, Inc. (b)  
First Lien Facility Tranche Term Loan I  
7.354% (3 Month SOFR + 2.75%), due 8/24/28 4,167,432 4,164,828
First Lien Tranche Term Loan K  
7.354% (3 Month SOFR + 2.75%), due 3/22/30 1,388,356 1,387,777
United Airlines, Inc.  
First Lien Term Loan B  
8.033% (3 Month SOFR + 2.75%), due 2/22/31 (b) 1,343,250 1,344,089
    22,456,261
Animal Food 0.2% 
Alltech, Inc.  
First Lien Term Loan B  
8.96% (1 Month SOFR + 4.00%), due 10/13/28 (b) 1,511,014 1,507,236
Automobile 2.7% 
American Auto Auction Group LLC  
First Lien Tranche Term Loan B  
9.754% (3 Month SOFR + 5.00%), due 12/30/27 (b) 2,628,735 2,637,496
Autokiniton US Holdings, Inc.  
First Lien Term Loan B  
8.96% (1 Month SOFR + 4.00%), due 4/6/28 (b) 2,973,688 2,972,447

  Principal
Amount
Value
Loan Assignments
Automobile  
Belron Finance US LLC (b)  
First Lien 2028 Incremental Dollar Term Loan B              
7.319% (3 Month SOFR + 1.925%), due 4/13/28 $      933,637 $       932,860
First Lien First Incremental Term Loan              
7.624% (3 Month SOFR + 2.25%), due 11/13/25     942,500        942,107
First Lien 2023 Facility Term Loan B              
7.629% (3 Month SOFR + 2.25%), due 4/18/29     493,750        493,596
First Lien Dollar Second Incremental Term Loan              
7.767% (3 Month SOFR + 2.25%), due 10/30/26 1,193,750 1,192,258
Clarios Global LP  
First Lien 2024 Dollar Term Loan  
7.345% (1 Month SOFR + 2.50%), due 5/6/30 (b) 3,420,000 3,417,862
First Brands Group LLC (b)  
First Lien 2021 Term Loan  
10.514% (3 Month SOFR + 5.00%), due 3/30/27 2,649,520 2,619,620
First Lien 2022-II Incremental Term Loan  
10.514% (3 Month SOFR + 5.00%), due 3/30/27 1,792,038 1,771,878
Gates Global LLC  
First Lien Initial Dollar Term Loan B5  
7.095% (1 Month SOFR + 2.25%), due 6/4/31 (b) 3,491,250 3,495,614
Mavis Tire Express Services Topco Corp.  
First Lien 2024-2 Incremental Term Loan  
8.345% (1 Month SOFR + 3.50%), due 5/4/28 (b) 3,379,530 3,375,306
Wand NewCo 3, Inc.  
First Lien Initial Term Loan 7.854% - 8.10%  
(1 Month SOFR + 3.25%, 3 Month SOFR + 3.25%), due 1/30/31 (b) 3,325,000 3,319,331
    27,170,375
Banking 0.6% 
Edelman Financial Engines Center LLC (The)  
First Lien 2024 Refinancing Term Loan  
8.095% (1 Month SOFR + 3.25%), due 4/7/28 (b) 2,606,954 2,601,904
Jane Street Group LLC  
First Lien 2021 Term Loan 7.46% - 7.861%  
(1 Month SOFR + 2.50%), due 1/26/28 (b) 3,701,161 3,695,872
    6,297,776
Beverage, Food & Tobacco 1.0% 
8th Avenue Food & Provisions, Inc.  
First Lien Term Loan  
8.71% (1 Month SOFR + 3.75%), due 10/1/25 (b) 1,068,537 1,032,474
CHG PPC Parent LLC  
First Lien 2021-1 US Term Loan  
7.71% (1 Month SOFR + 2.75%), due 12/8/28 (b) 1,286,741 1,277,091
Froneri International Ltd.  
First Lien Facility Term Loan B2  
7.195% (1 Month SOFR + 2.25%), due 1/29/27 (b) 1,182,111 1,178,109

  Principal
Amount
Value
Loan Assignments
Beverage, Food & Tobacco  
Naked Juice LLC  
First Lien Initial Term Loan              
7.954% (3 Month SOFR + 3.25%), due 1/24/29 (b) $    3,708,624 $     3,026,701
Pegasus Bidco BV  
First Lien Term Loan B              
8.868% (3 Month SOFR + 3.75%), due 7/12/29 (b)   1,572,120      1,574,085
Sotheby's  
First Lien 2021 Second Refinancing Term Loan              
10.063% (3 Month SOFR + 4.50%), due 1/15/27 (b) 2,222,424 2,187,421
    10,275,881
Broadcasting & Entertainment 1.0% 
Altice France SA  
First Lien Term Loan B14  
10.801% (3 Month SOFR + 5.50%), due 8/15/28 (b) 2,962,954 2,217,277
Gray Television, Inc.  
First Lien Term Loan D  
8.315% (1 Month SOFR + 3.00%), due 12/1/28 (b) 1,552,000 1,428,324
Nexstar Media, Inc.  
First Lien Term Loan B4  
7.46% (1 Month SOFR + 2.50%), due 9/18/26 (b) 1,660,303 1,659,136
Terrier Media Buyer, Inc.  
First Lien Facility Term Loan  
8.204% (3 Month SOFR + 3.50%), due 12/17/26 (b) 1,952,709 1,709,597
Univision Communications, Inc. (b)  
First Lien Initial Term Loan  
8.21% (1 Month SOFR + 3.25%), due 1/31/29 2,028,000 1,972,230
First Lien 2022 Incremental Term Loan  
8.854% (3 Month SOFR + 4.25%), due 6/25/29 659,813 648,678
    9,635,242
Buildings & Real Estate 2.0% 
AllSpring Buyer LLC  
First Lien Initial Term Loan  
8.137% (3 Month SOFR + 3.25%), due 11/1/28 (b) 1,556,855 1,549,071
Beacon Roofing Supply, Inc.  
First Lien 2024 Refinancing Term Loan  
6.845% (1 Month SOFR + 2.00%), due 5/19/28 (b) 1,451,531 1,450,805
Core & Main LP  
First Lien Tranche Term Loan D  
6.855% (1 Month SOFR + 2.00%), due 7/27/28 (b) 2,461,924 2,455,769
Cornerstone Building Brands, Inc. (b)  
First Lien New Term Loan B  
8.447% (1 Month SOFR + 3.25%), due 4/12/28 2,431,715 2,378,305
First Lien Initial Term Loan  
10.722% (1 Month SOFR + 5.625%), due 8/1/28 1,179,000 1,184,158

  Principal
Amount
Value
Loan Assignments
Buildings & Real Estate  
Cushman & Wakefield US Borrower LLC (b)  
First Lien New Term Loan              
7.71% (1 Month SOFR + 2.75%), due 8/21/25 $       37,143 $        37,127
First Lien 2023 Term Loan B              
7.845% (1 Month SOFR + 3.00%), due 1/31/30   1,517,562      1,515,665
First Lien Term Loan              
8.595% (1 Month SOFR + 3.75%), due 1/31/30     831,250        831,250
VC GB Holdings I Corp.  
First Lien Initial Term Loan  
8.365% (3 Month SOFR + 3.50%), due 7/23/28 (b) 3,308,917 3,298,348
WEC US Holdings Ltd.  
First Lien Initial Term Loan  
7.595% (1 Month SOFR + 2.75%), due 1/27/31 (b) 3,013,945 3,011,684
Wilsonart LLC  
First Lien Initial Term Loan  
8.854% (3 Month SOFR + 4.25%), due 8/5/31 (b) 2,500,000 2,470,833
    20,183,015
Capital Equipment 0.7% 
AZZ, Inc.  
First Lien Initial Term Loan  
7.345% (1 Month SOFR + 2.50%), due 5/14/29 (b) 1,621,666 1,627,748
CPM Holdings, Inc.  
First Lien Initial Term Loan  
9.701% (1 Month SOFR + 4.50%), due 9/28/28 (b) 1,982,506 1,877,433
Crosby U.S. Acquisition Corp.  
First Lien Amendment No. 4 Replacement Term Loan  
8.355% (1 Month SOFR + 3.50%), due 8/16/29 (b) 597,000 597,853
Discovery Energy Holding Corp.  
First Lien Initial Dollar Term Loan  
9.354% (3 Month SOFR + 4.75%), due 5/1/31 (b) 1,729,000 1,745,209
MIWD Holdco II LLC  
First Lien 2024 Incremental Term Loan  
8.345% (1 Month SOFR + 3.50%), due 3/28/31 (b) 1,088,182 1,091,129
    6,939,372
Chemicals 0.2% 
LSF11 A5 Holdco LLC  
First Lien 2024 Refinancing Term Loan  
8.46% (1 Month SOFR + 3.50%), due 10/16/28 (b) 1,744,346 1,739,985
Chemicals, Plastics & Rubber 5.0% 
Aruba Investments Holdings LLC (b)  
First Lien Initial Dollar Term Loan  
8.945% (1 Month SOFR + 4.00%), due 11/24/27 516,068 512,197
First Lien 2022 Incremental Term Loan  
9.595% (1 Month SOFR + 4.75%), due 11/24/27 (c) 1,473,750 1,462,697

  Principal
Amount
Value
Loan Assignments
Chemicals, Plastics & Rubber  
Axalta Coating Systems US Holdings, Inc.  
First Lien Dollar Term Loan B6              
6.604% (3 Month SOFR + 2.00%), due 12/20/29 (b) $    2,127,620 $     2,132,497
Bakelite US Holdco, Inc.  
First Lien Term Loan              
8.104% (3 Month SOFR + 3.50%), due 5/28/29 (b)   2,761,579      2,765,892
Clydesdale Acquisition Holdings, Inc.  
First Lien Term Loan B              
8.02% (1 Month SOFR + 3.175%), due 4/13/29 (b) 2,440,000 2,426,712
INEOS US Petrochem LLC (b)  
First Lien 2030 Dollar Tranche Term Loan B  
8.695% (1 Month SOFR + 3.75%), due 3/14/30 982,513 981,285
First Lien New Term Loan B1  
9.195% (1 Month SOFR + 4.25%), due 4/2/29 1,886,868 1,886,868
Innophos Holdings, Inc.  
First Lien Initial Term Loan  
8.71% (1 Month SOFR + 3.75%), due 2/7/27 (b) 2,427,292 2,433,967
Jazz Financing Lux SARL  
First Lien Dollar Tranche Term Loan B2  
7.095% (1 Month SOFR + 2.25%), due 5/5/28 (b) 3,606,468 3,601,459
Koppers, Inc.  
First Lien Incremental Tranche Term Loan B  
8.34% (1 Month SOFR + 3.00%), due 4/10/30 (b) 3,456,425 3,469,386
Lonza Group AG  
First Lien USD Facility Term Loan B  
8.629% (3 Month SOFR + 3.925%), due 7/3/28 (b) 2,641,582 2,465,753
Nouryon Finance BV (b)  
First Lien Term Loan B  
8.628% (3 Month SOFR + 3.50%), due 4/3/28 3,387,710 3,387,710
First Lien 2024 Dollar Term Loan B2  
8.821% (3 Month SOFR + 3.50%), due 4/3/28 1,237,523 1,237,007
Olympus Water US Holding Corp.  
First Lien Dollar Term Loan B5  
8.104% (3 Month SOFR + 3.50%), due 6/20/31 (b) 1,127,409 1,126,704
OQ Chemicals International Holding GmbH (b)  
First Lien Tranche Term Loan B2  
8.918% (3 Month SOFR + 3.50%), due 12/31/26 (d)(e) 1,713,513 1,435,067
First Lien Refinancing Tranche Term Loan B  
12.92% (1 Month SOFR + 8.00%), due 6/23/25 415,814 427,769
PMHC II, Inc.  
First Lien Initial Term Loan  
9.704% (3 Month SOFR + 4.25%), due 4/23/29 (b) 2,940,000 2,865,889
PQ Performance Chemicals  
First Lien Initial Term Loan  
8.451% (1 Month SOFR + 3.25%), due 8/2/30 (b) 875,250 873,844
SCIH Salt Holdings, Inc.  
First Lien Incremental Term Loan B1  
8.755% (3 Month SOFR + 3.50%), due 3/16/27 (b) 4,627,159 4,622,953

  Principal
Amount
Value
Loan Assignments
Chemicals, Plastics & Rubber  
TricorBraun Holdings, Inc.  
First Lien Closing Date Initial Term Loan              
8.21% (1 Month SOFR + 3.25%), due 3/3/28 (b) $    2,575,497 $     2,522,913
Tronox Finance LLC (b)  
First Lien 2024 Term Loan B 7.104% - 7.345%              
(1 Month SOFR + 2.50%, 3 Month SOFR + 2.50%), due 9/30/31   1,219,316      1,218,300
First Lien 2024 Term Loan              
7.354% (3 Month SOFR + 2.75%), due 4/4/29     996,817        996,817
W.R. Grace Holdings LLC  
First Lien Initial Term Loan  
7.854% (3 Month SOFR + 3.25%), due 9/22/28 (b) 2,453,635 2,457,315
Windsor Holdings III LLC  
First Lien 2024 Facility Term Loan B  
8.461% (1 Month SOFR + 3.50%), due 8/1/30 (b) 2,475,078 2,480,234
    49,791,235
Commercial Services 0.2% 
Prime Security Services Borrower LLC  
First Lien SOFR Term Loan C  
7.445% (1 Month SOFR + 2.25%), due 10/11/30 (b) 2,487,516 2,484,123
Construction & Buildings 0.1% 
Star Holding LLC  
First Lien Term Loan B  
9.345% (1 Month SOFR + 4.50%), due 7/18/31 (b) 933,333 910,194
Consumer Durables 0.2% 
SWF Holdings I Corp.  
First Lien Initial Term Loan  
8.96% (1 Month SOFR + 4.00%), due 10/6/28 (b) 2,047,500 1,645,166
Containers, Packaging & Glass 2.9% 
Alliance Laundry Systems LLC  
First Lien Initial Term Loan B  
8.345% (1 Month SOFR + 3.50%), due 8/19/31 (b) 1,714,286 1,716,429
Altium Packaging LLC  
First Lien 2024 Refinancing Term Loan  
7.345% (1 Month SOFR + 2.50%), due 6/11/31 (b) 2,018,337 2,009,507
Anchor Glass Container Corp.  
First Lien August 2023 Extended Term Loan 10.374% - 10.596%  
(3 Month SOFR + 5.00%), due 12/8/25 (b) 2,060,538 1,478,436
Berlin Packaging LLC  
First Lien 2024 Replacement Term Loan 8.354% - 8.951%  
(1 Month SOFR + 3.75%, 3 Month SOFR + 3.75%), due 6/9/31 (b) 3,983,026 3,978,876
Charter Next Generation, Inc.  
First Lien Term Loan B  
8.095% (1 Month SOFR + 3.25%), due 12/1/27 (b) 2,798,441 2,798,441

  Principal
Amount
Value
Loan Assignments
Containers, Packaging & Glass  
Flint Group Packaging Inks NA Holdings LLC  
First Lien USD Facility Term Loan B              
10.545% (0.75% PIK) (3 Month SOFR + 4.25%), due 12/31/26 (b)(f) $      715,163 $       679,852
Flint Group Topco Ltd. (f)  
First Lien USD Facility Term Loan B              
12.545% (6.90% PIK), due 12/31/27     380,825        333,936
Second Lien Facility Term Loan B              
12.545% (6.90% PIK), due 12/31/27     507,850         93,952
Graham Packaging Co., Inc.  
First Lien Initial Term Loan  
7.345% (1 Month SOFR + 2.50%), due 8/4/27 (b) 2,830,389 2,826,617
Mauser Packaging Solutions Holding Co.  
First Lien Initial Facility Term Loan  
8.701% (1 Month SOFR + 3.50%), due 4/15/27 (b) 181,042 181,268
Pactiv Evergreen Group Holdings, Inc.  
First Lien Term Loan B4  
7.345% (1 Month SOFR + 2.50%), due 9/25/28 (b) 460,623 460,143
Pretium Packaging LLC  
First Lien Initial Tranche Term Loan A1  
9.848% (1.403% PIK) (3 Month SOFR + 4.60%), due 10/2/28 (b)(f) 1,600,566 1,272,450
Pretium PKG Holdings, Inc. (b)  
First Lien Third Amendment Tranche Term Loan A  
10.248% (2.50% PIK) (3 Month SOFR + 5.00%), due 10/2/28 (f) 432,493 439,521
Second Lien Initial Term Loan  
12.068% (3 Month SOFR + 6.75%), due 9/30/29 (c) 750,000 293,750
ProAmpac PG Borrower LLC  
First Lien 2024 Term Loan B 9.118% - 9.301%  
(3 Month SOFR + 4.00%), due 9/15/28 (b) 3,644,188 3,648,743
Reynolds Consumer Products, Inc.  
First Lien Initial Term Loan  
6.695% (1 Month SOFR + 1.75%), due 2/4/27 (b) 1,057,311 1,058,632
RLG Holdings, Inc.  
First Lien Closing Date Initial Term Loan  
9.21% (1 Month SOFR + 4.25%), due 7/7/28 (b) 2,265,282 2,205,818
Trident TPI Holdings, Inc.  
First Lien Initial Tranche Term Loan B6  
8.604% (3 Month SOFR + 4.00%), due 9/15/28 (b) 3,539,824 3,541,835
    29,018,206
Diversified/Conglomerate Manufacturing 1.9% 
Allied Universal Holdco LLC  
First Lien Initial US Dollar Term Loan  
8.695% (1 Month SOFR + 3.75%), due 5/12/28 (b) 4,186,322 4,143,412
Filtration Group Corp.  
First Lien 2021 Incremental Term Loan  
8.46% (1 Month SOFR + 3.50%), due 10/23/28 (b) 3,469,090 3,467,790

  Principal
Amount
Value
Loan Assignments
Diversified/Conglomerate Manufacturing  
GYP Holdings III Corp.  
First Lien Term Loan B              
7.095% (1 Month SOFR + 2.25%), due 5/13/30 (b) $    1,356,791 $     1,355,943
Iron Mountain , Inc.  
First Lien Amendment No.1 Incremental Term Loan              
6.845% (1 Month SOFR + 2.00%), due 1/31/31 (b)   1,753,396      1,740,245
LTI Holdings, Inc.  
First Lien 2024 Term Loan              
9.595% (1 Month SOFR + 4.75%), due 7/29/29 (b) 2,400,000 2,358,600
Quikrete Holdings, Inc.  
First Lien Tranche Term Loan B1  
7.345% (1 Month SOFR + 2.50%), due 4/14/31 (b) 5,179,617 5,182,497
Red Ventures LLC  
First Lien Term Loan B4  
7.845% (1 Month SOFR + 3.00%), due 3/1/30 (b) 528,480 522,723
    18,771,210
Diversified/Conglomerate Service 1.5% 
Applied Systems, Inc.  
First Lien Term Loan B  
7.604% (3 Month SOFR + 3.00%), due 2/24/31 (b) 3,009,632 3,011,341
Blackhawk Network Holdings, Inc.  
First Lien Term Loan  
9.845% (1 Month SOFR + 5.00%), due 3/12/29 (b) 2,493,750 2,502,583
BrightView Landscapes LLC  
First Lien Term Loan B  
7.752% (3 Month SOFR + 2.50%), due 4/20/29 (b) 666,321 664,656
Genesys Cloud Services Holdings II LLC (b)  
First Lien Dollar Facility Term Loan B4 8.345% - 8.46%  
(1 Month SOFR + 3.50%), due 12/1/27 2,371,288 2,375,141
First Lien 2024 Incremental Dollar Term Loan  
8.71% (1 Month SOFR + 3.75%), due 12/1/27 1,990,000 1,990,000
MKS Instruments, Inc.  
First Lien 2024-1 Dollar Term Loan B  
7.17% (1 Month SOFR + 2.25%), due 8/17/29 (b) 2,213,030 2,209,157
TruGreen Ltd. Partnership  
First Lien Term Loan B  
8.845% (1 Month SOFR + 4.00%), due 11/2/27 (b) 2,630,829 2,538,750
    15,291,628
Ecological 0.2% 
GFL Environmental, Inc.  
First Lien 2024 Refinancing Term Loan  
7.321% (3 Month SOFR + 2.00%), due 7/3/31 (b) 2,200,000 2,196,856

  Principal
Amount
Value
Loan Assignments
Electronics 5.6% 
Camelot US Acquisition LLC  
First Lien Incremental Term Loan B              
7.595% (1 Month SOFR + 2.75%), due 1/31/31 (b) $    3,314,707 $     3,307,249
Castle US Holding Corp. (b)  
First Lien Initial Dollar Term Loan              
9.069% (3 Month SOFR + 3.75%), due 1/29/27     266,897        176,352
First Lien Dollar Term Loan B2              
9.319% (3 Month SOFR + 4.00%), due 1/29/27   1,680,289      1,098,489
CommScope, Inc.  
First Lien Initial Term Loan  
8.21% (1 Month SOFR + 3.25%), due 4/6/26 (b) 4,095,684 3,965,135
CoreLogic, Inc.  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 6/2/28 (b) 6,354,744 6,280,603
DCert Buyer, Inc.  
First Lien Initial Term Loan  
8.845% (1 Month SOFR + 4.00%), due 10/16/26 (b) 1,727,914 1,673,917
Eagle Parent Corp.  
First Lien Initial Term Loan  
8.854% (3 Month SOFR + 4.25%), due 4/2/29 (b) 1,249,697 1,182,525
ECI Macola/Max Holding LLC  
First Lien 2024 Extended Term Loan  
8.354% (3 Month SOFR + 3.75%), due 5/9/30 (b) 1,930,162 1,933,264
Epicor Software Corp.  
First Lien Term Loan E  
8.095% (1 Month SOFR + 3.25%), due 5/30/31 (b) 4,644,992 4,645,721
Flexera Software LLC  
First Lien Term Loan B2  
8.461% (1 Month SOFR + 3.50%), due 3/3/28 (b) 2,305,141 2,304,020
Gainwell Acquisition Corp.  
First Lien Term Loan B  
8.704% (3 Month SOFR + 4.00%), due 10/1/27 (b) 2,480,990 2,353,839
ION Trading Finance Ltd.  
First Lien Replacement 2024 Dollar Term Loan  
9.016% (3 Month SOFR + 4.00%), due 4/3/28 (b) 723,817 723,515
MH Sub I LLC (Micro Holding Corp.)  
First Lien Term Loan  
9.095% (1 Month SOFR + 4.25%), due 5/3/28 (b) 5,470,087 5,430,199
Project Alpha Intermediate Holding, Inc.  
First Lien 2024 Refinancing Term Loan  
9.002% (3 Month SOFR + 3.75%), due 10/28/30 (b) 3,482,500 3,487,644
Proofpoint, Inc.  
First Lien Term Loan  
7.845% (1 Month SOFR + 3.00%), due 8/31/28 (b) 2,431,531 2,429,844
Rocket Software, Inc.  
First Lien Term Loan  
9.595% (1 Month SOFR + 4.75%), due 11/28/28 (b) 2,302,493 2,302,813

  Principal
Amount
Value
Loan Assignments
Electronics  
Sharp Services LLC  
First Lien Tranche Term Loan C              
8.354% (3 Month SOFR + 3.75%), due 12/29/28 (b) $    2,750,180 $     2,750,180
SS&C Technologies, Inc.  
First Lien Term Loan B8              
6.845% (1 Month SOFR + 2.00%), due 5/9/31 (b)   2,679,252      2,678,609
Surf Holdings LLC  
First Lien Dollar Tranche Term Loan              
8.534% (1 Month SOFR + 3.50%), due 3/5/27 (b) 1,964,365 1,967,557
Vertiv Group Corp.  
First Lien Term Loan B  
7.201% (1 Month SOFR + 2.00%), due 3/2/27 (b) 2,908,650 2,912,286
VS Buyer LLC  
First Lien 2024 Initial Term Loan  
8.347% (1 Month SOFR + 3.25%), due 4/14/31 (b) 2,172,774 2,168,248
    55,772,009
Energy (Electricity) 0.9% 
Alpha Generation LLC  
First Lien Term Loan B  
6.947% (1 Year SOFR + 2.75%), due 9/30/31 (b) 600,000 600,000
Covanta Holding Corp. (b)  
First Lien Initial Term Loan B 7.345% - 7.588%  
(1 Month SOFR + 2.50%, 6 Month SOFR + 2.50%), due 11/30/28 544,233 544,403
First Lien Initial Term Loan C  
7.588% (6 Month SOFR + 2.50%), due 11/30/28 41,812 41,825
First Lien 2024 Incremental Term Loan B  
7.847% (1 Month SOFR + 2.75%), due 11/30/28 3,774,466 3,775,644
First Lien Term Loan C  
7.847% (1 Month SOFR + 2.75%), due 11/30/28 206,772 206,836
Lightning Power LLC  
First Lien Initial Term Loan B  
8.346% (3 Month SOFR + 3.25%), due 8/18/31 (b) 3,000,000 3,005,001
Vistra Zero Operating Co. LLC  
First Lien Initial Term Loan  
7.595% (1 Month SOFR + 2.75%), due 4/30/31 (b) 298,500 298,948
    8,472,657
Entertainment 1.4% 
Alterra Mountain Co. (b)  
First Lien Term Loan B4  
8.095% (1 Month SOFR + 3.25%), due 8/17/28 2,325,861 2,325,861
First Lien Term Loan  
8.345% (1 Month SOFR + 3.50%), due 5/31/30 1,197,000 1,201,489
Delta 2 SARL  
First Lien Term Loan B1  
6.745% (1 Year SOFR + 2.00%), due 9/10/31 (b) 2,000,001 1,997,501

  Principal
Amount
Value
Loan Assignments
Entertainment  
Fertitta Entertainment LLC  
First Lien Initial Term Loan B              
8.847% (1 Month SOFR + 3.75%), due 1/29/29 (b) $    4,148,637 $     4,132,711
J&J Ventures Gaming LLC  
First Lien Initial Term Loan              
8.96% (1 Month SOFR + 4.00%), due 4/26/28 (b)   3,880,000     3,868,220
    13,525,782
Finance 6.9% 
AAdvantage Loyalty IP Ltd.  
First Lien Initial Term Loan  
10.294% (3 Month SOFR + 4.75%), due 4/20/28 (b) 3,050,000 3,131,450
ADMI Corp. (b)  
First Lien Amendment No.4 Refinancing Term Loan  
8.335% (1 Month SOFR + 3.375%), due 12/23/27 1,447,500 1,404,799
First Lien Amendment No. 5 Term Loan  
8.71% (1 Month SOFR + 3.75%), due 12/23/27 727,500 710,677
AlixPartners LLP  
First Lien Initial Dollar Term Loan  
7.46% (1 Month SOFR + 2.50%), due 2/4/28 (b) 1,447,497 1,448,301
Boost Newco Borrower LLC  
First Lien USD Term Loan B1  
7.104% (3 Month SOFR + 2.50%), due 1/31/31 (b) 5,000,000 4,996,430
Boxer Parent Co., Inc.  
First Lien 2031 New Dollar Term Loan  
9.005% (3 Month SOFR + 3.75%), due 7/30/31 (b) 4,204,527 4,192,515
Covia Holdings LLC  
First Lien Initial Term Loan  
9.58% (3 Month SOFR + 4.00%), due 7/31/26 (b) 709,736 704,413
CPC Acquisition Corp.  
First Lien Initial Term Loan  
8.615% (3 Month SOFR + 3.75%), due 12/29/27 (b) 1,738,715 1,509,784
Deerfield Dakota Holding LLC  
First Lien Initial Dollar Term Loan  
8.354% (3 Month SOFR + 3.75%), due 4/9/27 (b) 3,438,149 3,363,896
Endurance International Group, Inc.  
First Lien Initial Term Loan  
8.81% (1 Month SOFR + 3.50%), due 2/10/28 (b) 5,767,374 5,076,489
Focus Financial Partners LLC  
First Lien Initial Term Loan  
8.095% (1 Month SOFR + 3.25%), due 9/10/31 (b) 1,264,220 1,259,676
GTCR Everest Borrower LLC  
First Lien Initial Term Loan  
7.604% (3 Month SOFR + 3.00%), due 9/5/31 (b) 750,000 741,562
LBM Acquisition LLC  
First Lien Amendment No. 3 Incremental Term Loan  
8.968% (1 Month SOFR + 3.75%), due 6/6/31 (b) 3,494,172 3,422,346

  Principal
Amount
Value
Loan Assignments
Finance  
Leia Finco US LLC  
First Lien Term Loan              
8.262% (1 Year SOFR + 3.25%), due 7/2/31 (b) $    1,200,000 $     1,180,126
LSF11 Trinity Bidco, Inc.  
First Lien Initial Term Loan              
8.42% (1 Month SOFR + 3.50%), due 6/14/30 (b)   3,650,183      3,647,902
Minimax Viking GmbH  
First Lien Facility Term Loan B1D              
7.71% (1 Month SOFR + 2.75%), due 7/31/28 (b) 2,117,468 2,120,998
Onex TSG Intermediate Corp.  
First Lien Initial Term Loan  
9.71% (1 Month SOFR + 4.75%), due 2/28/28 (b) 967,500 965,383
Park River Holdings, Inc.  
First Lien Initial Term Loan  
8.843% (3 Month SOFR + 3.25%), due 12/28/27 (b) 4,282,238 4,207,834
Peraton Corp.  
First Lien Term Loan B  
8.695% (1 Month SOFR + 3.75%), due 2/1/28 (b) 3,325,266 3,192,947
Pluto Acquisition I, Inc. (b)  
First Lien Tranche Term Loan B  
9.132% (3 Month SOFR + 4.00%), due 9/20/28 2,032,144 1,859,412
First Lien Term Loan A  
10.353% (3 Month SOFR + 5.50%), due 6/20/28 1,008,986 1,019,076
Potters Borrower LP  
First Lien 2024 Refinancing Term Loan  
8.595% (1 Month SOFR + 3.75%), due 12/14/27 (b) 1,010,920 1,015,343
RealPage, Inc.  
First Lien Initial Term Loan  
7.96% (1 Month SOFR + 3.00%), due 4/24/28 (b) 1,614,130 1,565,706
RealTruck Group, Inc.  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 1/31/28 (b) 2,037,045 2,000,761
Russell Investments US Institutional Holdco, Inc.  
First Lien 2027 Commitment Term Loan  
10.252% (1.50% PIK) (3 Month SOFR + 5.00%), due 5/28/27 (b)(f) 4,442,499 3,836,098
Spa Holdings 3 Oy  
First Lien USD Facility Term Loan B  
8.615% (3 Month SOFR + 3.75%), due 2/4/28 (b) 772,451 770,519
Triton Water Holdings, Inc.  
First Lien Initial Term Loan  
8.115% (3 Month SOFR + 3.25%), due 3/31/28 (b) 4,632,274 4,622,347
WCG Intermediate Corp.  
First Lien 2024 Refinancing Term Loan  
8.345% (1 Month SOFR + 3.50%), due 1/8/27 (b) 2,197,898 2,196,981
WIN Waste Innovations Holdings, Inc.  
First Lien New Term Loan B  
7.71% (1 Month SOFR + 2.75%), due 3/24/28 (b) 2,167,200 2,059,141
    68,222,912

  Principal
Amount
Value
Loan Assignments
Healthcare 2.4% 
AHP Health Partners, Inc.  
First Lien 2024 Term Loan B              
7.595% (1 Month SOFR + 2.75%), due 8/24/28 (b) $    1,177,888 $     1,178,772
Chariot Buyer LLC (b)  
First Lien Initial Term Loan              
8.195% (1 Month SOFR + 3.25%), due 11/3/28   4,668,000      4,646,116
First Lien Term Loan              
8.345% (1 Month SOFR + 3.50%), due 11/3/28   1,990,000      1,986,269
CHG Healthcare Services, Inc.  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 9/29/28 (b) 3,253,301 3,252,488
ICU Medical, Inc.  
First Lien Tranche Term Loan B  
7.254% (3 Month SOFR + 2.50%), due 1/8/29 (b) 1,825,490 1,822,639
LSCS Holdings, Inc.  
First Lien Initial Term Loan  
9.46% (1 Month SOFR + 4.50%), due 12/16/28 (b) 680,750 676,495
Medical Solutions Holdings, Inc.  
First Lien Term Loan  
8.852% (3 Month SOFR + 3.50%), due 11/1/28 (b) 501,858 377,397
Medline Borrower LP  
First Lien Initial Term Loan  
7.595% (1 Month SOFR + 2.75%), due 10/23/28 (b) 7,754,567 7,754,567
US Anesthesia Partners, Inc.  
First Lien Initial Term Loan  
9.565% (1 Month SOFR + 4.25%), due 10/2/28 (b) 1,915,331 1,873,731
    23,568,474
Healthcare & Pharmaceuticals 1.2% 
Bausch + Lomb Corp.  
First Lien Initial Term Loan  
8.27% (1 Month SOFR + 3.25%), due 5/10/27 (b) 1,955,000 1,946,040
Bausch Health Cos., Inc.  
First Lien Second Amendment Term Loan  
10.195% (1 Month SOFR + 5.25%), due 2/1/27 (b) 1,331,250 1,274,006
Concentra Health Services, Inc.  
First Lien Initial Term Loan  
7.095% (1 Month SOFR + 2.25%), due 7/26/31 (b) 937,500 935,156
Embecta Corp.  
First Lien Initial Term Loan  
7.845% (1 Month SOFR + 3.00%), due 3/30/29 (b) 3,001,789 2,922,242
Owens & Minor, Inc.  
First Lien Initial Term Loan B1  
8.695% (1 Month SOFR + 3.75%), due 3/29/29 (b) 852,474 850,876
Pediatric Associates Holding Co. LLC  
First Lien Initial Term Loan  
8.764% (3 Month SOFR + 3.25%), due 12/29/28 (b) 1,560,941 1,515,332

  Principal
Amount
Value
Loan Assignments
Healthcare & Pharmaceuticals  
Physician Partners LLC  
First Lien Initial Term Loan              
9.564% (6 Month SOFR + 4.00%), due 12/22/28 (b) $    1,096,875 $       693,225
Surgery Center Holdings, Inc.  
First Lien 2024 Refinancing Term Loan              
7.67% (1 Month SOFR + 2.75%), due 12/19/30 (b)   1,496,241     1,496,241
    11,633,118
Healthcare, Education & Childcare 4.1% 
Agiliti Health, Inc.  
First Lien Term Loan  
8.332% (3 Month SOFR + 3.00%), due 5/1/30 (b) 4,230,021 4,113,695
Amneal Pharmaceuticals LLC  
First Lien Term Loan  
10.345% (1 Month SOFR + 5.50%), due 5/4/28 (b) 3,028,292 3,059,837
athenahealth Group, Inc.  
First Lien Initial Term Loan  
8.095% (1 Month SOFR + 3.25%), due 2/15/29 (b) 7,341,873 7,283,365
Auris Luxembourg III SARL  
First Lien Facility Term Loan B4  
9.564% (6 Month SOFR + 4.25%), due 2/28/29 (b) 999,894 999,894
Carestream Health, Inc.  
First Lien Term Loan  
12.204% (3 Month SOFR + 7.50%), due 9/30/27 (b) 1,715,222 1,561,567
Ecovyst Catalyst Technologies LLC  
First Lien Second Amendment Term Loan  
7.502% (3 Month SOFR + 2.25%), due 6/12/31 (b) 1,746,000 1,733,268
Elanco Animal Health, Inc.  
First Lien Term Loan  
7.051% (1 Month SOFR + 1.75%), due 8/2/27 (b) 978,202 975,757
FC Compassus LLC  
First Lien Term Loan B1  
9.569% (3 Month SOFR + 4.25%), due 12/31/26 (b)(c) 2,986,448 2,949,117
Insulet Corp.  
First Lien 2024-A Incremental Term Loan  
7.345% (1 Month SOFR + 2.50%), due 8/1/31 (b) 1,666,667 1,672,397
Journey Personal Care Corp.  
First Lien Initial Term Loan  
9.21% (1 Month SOFR + 4.25%), due 3/1/28 (b) 4,944,383 4,933,259
LifePoint Health, Inc.  
First Lien Term Loan B  
8.197% (1 Year SOFR + 4.00%), due 5/16/31 (b) 2,000,000 1,993,000
Mallinckrodt plc  
First Lien Second Out Term Loan  
14.42% (1 Month SOFR + 9.50%), due 11/14/28 (b) 441,444 476,208
National Mentor Holdings, Inc. (b)  
First Lien Initial Term Loan 8.454% - 8.70%  
(1 Month SOFR + 3.75%, 3 Month SOFR + 3.75%), due 3/2/28 1,522,809 1,461,182

  Principal
Amount
Value
Loan Assignments
Healthcare, Education & Childcare  
National Mentor Holdings, Inc. (b)  
First Lien Initial Term Loan C              
8.454% (3 Month SOFR + 3.75%), due 3/2/28 $       49,563 $        47,557
Organon & Co.  
First Lien Dollar Term Loan              
7.465% (1 Month SOFR + 2.50%), due 5/19/31 (b)   1,865,927      1,858,930
Petco Health & Wellness Co., Inc.  
First Lien Initial Term Loan              
8.115% (3 Month SOFR + 3.25%), due 3/3/28 (b) 1,876,765 1,781,624
Raptor Acquisition Corp.  
First Lien Term Loan B  
9.015% (3 Month SOFR + 4.00%), due 11/1/26 (b) 3,211,684 3,175,553
Select Medical Corp.  
First Lien Tranche Term Loan B1  
7.845% (1 Month SOFR + 3.00%), due 3/8/27 (b) 363,297 364,508
Sound Inpatient Physicians Holdings LLC (b)(f)  
First Lien PIK Term Loan B  
8.365% (1.50% PIK) (3 Month SOFR + 3.50%), due 6/28/28 411,048 362,750
First Lien Tranche Term Loan A  
10.365% (1.00% PIK) (3 Month SOFR + 5.50%), due 6/28/28 334,694 338,042
    41,141,510
High Tech Industries 2.8% 
Altar Bidco, Inc.  
First Lien Term Loan B  
7.947% (1 Year SOFR + 3.10%), due 2/1/29 (b) 1,832,813 1,833,577
AP Gaming I LLC  
First Lien Term Loan B  
8.595% (1 Month SOFR + 3.75%), due 2/15/29 (b) 2,767,663 2,774,582
Central Parent LLC  
First Lien Term Loan B  
7.854% (3 Month SOFR + 3.25%), due 7/6/29 (b) 2,500,000 2,469,643
Hanesbrands, Inc.  
First Lien Initial Tranche Term Loan B  
8.595% (1 Month SOFR + 3.75%), due 3/8/30 (b) 1,477,500 1,473,806
Modena Buyer LLC  
First Lien Initial Term Loan  
9.104% (3 Month SOFR + 4.50%), due 7/1/31 (b) 1,500,000 1,432,500
NAB Holdings LLC  
First Lien 2024 Refinancing Term Loan  
7.354% (3 Month SOFR + 2.75%), due 11/24/28 (b) 1,750,702 1,744,762
Neon Maple US Debt Mergersub, Inc.  
First Lien Term Loan  
8.153% (1 Year SOFR + 3.00%), due 7/18/31 (b) 2,400,000 2,371,999
Open Text Corp.  
First Lien Term Loan B  
7.095% (1 Month SOFR + 2.25%), due 1/31/30 (b) 2,468,354 2,476,068

  Principal
Amount
Value
Loan Assignments
High Tech Industries  
Plusgrade, Inc.  
First Lien 2024 Replacement Initial Term Loan              
8.604%, due 3/3/31 $    2,025,000 $     2,027,531
Scientific Games Holdings LP  
First Lien 2024 Refinancing Dollar Term Loan              
8.318% (3 Month SOFR + 3.00%), due 4/4/29 (b)   2,704,808      2,687,903
Star Parent, Inc.  
First Lien Term Loan              
8.354% (3 Month SOFR + 3.75%), due 9/27/30 (b) 4,477,500 4,347,048
TransUnion LLC  
First Lien 2024 Replacement Term Loan B7  
6.845% (1 Month SOFR + 2.00%), due 12/1/28 (b) 2,490,337 2,487,859
    28,127,278
Hotel, Gaming & Leisure 0.8% 
Flutter Entertainment plc  
First Lien Term Loan B  
6.604% (3 Month SOFR + 2.00%), due 11/25/30 (b) 992,500 992,004
Hilton Domestic Operating Co., Inc.  
First Lien Term Loan B4  
6.605% (1 Month SOFR + 1.75%), due 11/8/30 (b) 235,804 235,450
Ontario Gaming GTA LP  
First Lien Term Loan B  
8.893% (3 Month SOFR + 4.25%), due 8/1/30 (b) 2,315,833 2,312,216
Tacala Investment Corp.  
First Lien Initial Term Loan  
9.247% (1 Month SOFR + 4.00%), due 1/31/31 (b) 4,378,000 4,378,000
    7,917,670
Hotels, Motels, Inns & Gaming 3.7% 
Aimbridge Acquisition Co., Inc.  
First Lien Term Loan B  
8.71% (1 Month SOFR + 3.75%), due 2/2/26 (b) 3,386,373 3,294,095
Caesars Entertainment, Inc. (b)  
First Lien 2023 Incremental Term Loan B  
7.595% (1 Month SOFR + 2.75%), due 2/6/30 1,984,500 1,982,019
First Lien Term Loan B1  
7.595% (1 Month SOFR + 2.75%), due 2/6/31 1,393,000 1,391,476
Entain plc (b)  
First Lien USD Facility Term Loan B  
7.864% (6 Month SOFR + 2.50%), due 3/29/27 1,243,929 1,248,075
First Lien Facility Term Loan B3  
8.014% (6 Month SOFR + 2.75%), due 10/31/29 1,576,063 1,575,571
Everi Holdings, Inc.  
First Lien Term Loan B  
7.46% (1 Month SOFR + 2.50%), due 8/3/28 (b) 1,426,140 1,427,923

  Principal
Amount
Value
Loan Assignments
Hotels, Motels, Inns & Gaming  
Golden Entertainment, Inc.  
First Lien Facility Term Loan B1              
6.854% (3 Month SOFR + 2.25%), due 5/27/30 (b) $    1,851,563 $     1,844,619
Light & Wonder International, Inc.  
First Lien Term Loan B2              
7.333% (1 Month SOFR + 2.25%), due 4/16/29 (b)   3,684,516      3,670,699
Oceankey US II Corp.  
First Lien Initial Term Loan              
8.445% (1 Month SOFR + 3.50%), due 12/15/28 (b) 1,957,368 1,955,737
PCI Gaming Authority  
First Lien Facility Term Loan B  
6.845% (1 Month SOFR + 2.00%), due 7/18/31 (b) 2,443,003 2,427,735
Penn National Gaming, Inc.  
First Lien Term Loan B  
7.695% (1 Month SOFR + 2.75%), due 5/3/29 (b) 488,750 489,605
Station Casinos LLC  
First Lien Facility Term Loan B  
7.095% (1 Month SOFR + 2.25%), due 3/14/31 (b) 3,980,000 3,966,070
Travel + Leisure Co.  
First Lien 2023 Incremental Term Loan  
8.27% (1 Month SOFR + 3.25%), due 12/14/29 (b) 1,488,750 1,491,232
UFC Holdings LLC  
First Lien Term Loan B3  
8.291% (3 Month SOFR + 2.75%), due 4/29/26 (b) 3,937,841 3,939,810
Whatabrands LLC  
First Lien 2024 Facility Term Loan B  
7.595% (1 Month SOFR + 2.75%), due 8/3/28 (b) 3,781,279 3,773,403
Wyndham Destinations, Inc.  
First Lien New Term Loan B  
7.21% (1 Month SOFR + 2.25%), due 5/30/25 (b) 1,887,103 1,882,974
    36,361,043
Insurance 3.3% 
Acrisure LLC  
First Lien Term Loan B6  
8.211% (1 Month SOFR + 3.25%), due 11/6/30 (b) 2,641,693 2,613,295
Alliant Holdings Intermediate LLC  
First Lien Initial Term Loan  
7.965% (1 Month SOFR + 3.00%), due 9/19/31 (b) 1,598,038 1,588,686
AmWINS Group, Inc.  
First Lien Term Loan  
7.21% (1 Month SOFR + 2.25%), due 2/21/28 (b) 4,675,757 4,666,504
AssuredPartners, Inc.  
First Lien 2024 Term Loan  
8.345% (1 Month SOFR + 3.50%), due 2/14/31 (b) 4,977,494 4,971,715
Asurion LLC (b)  
First Lien New Term Loan B9  
8.21% (1 Month SOFR + 3.25%), due 7/30/27 482,500 475,090

  Principal
Amount
Value
Loan Assignments
Insurance  
Asurion LLC (b)  
First Lien New Term Loan B12              
9.095% (1 Month SOFR + 4.25%), due 9/19/30 $      965,000 $       947,309
First Lien New Term Loan B11              
9.195% (1 Month SOFR + 4.25%), due 8/21/28   1,403,217      1,380,707
Second Lien New Term Loan B3              
10.21% (1 Month SOFR + 5.25%), due 1/31/28   1,800,000      1,682,678
Second Lien New Term Loan B4              
10.21% (1 Month SOFR + 5.25%), due 1/19/29 2,500,000 2,305,470
Broadstreet Partners, Inc.  
First Lien 2024 Term Loan B  
8.095% (1 Month SOFR + 3.25%), due 6/16/31 (b) 3,784,599 3,768,276
HUB International Ltd.  
First Lien 2024-1 Incremental Term Loan  
8.255% (3 Month SOFR + 3.00%), due 6/20/30 (b) 2,382,045 2,378,005
Sedgwick Claims Management Services, Inc.  
First Lien 2024 Term Loan  
8.252% (3 Month SOFR + 3.00%), due 7/31/31 (b) 3,811,595 3,803,125
Truist Insurance Holdings LLC  
First Lien Initial Term Loan  
7.854% (3 Month SOFR + 3.25%), due 5/6/31 (b) 2,000,000 1,994,166
    32,575,026
Leisure, Amusement, Motion Pictures & Entertainment 1.3% 
Bombardier Recreational Products, Inc.  
First Lien ARR Borrowing Term Loan  
7.595% (1 Month SOFR + 2.75%), due 12/13/29 (b) 2,947,725 2,940,356
Creative Artists Agency LLC  
First Lien Incremental Term Loan B2  
10.25% (3 Month PRIME + 2.25%), due 11/27/28 (b) 5,339,175 5,335,005
Lions Gate Capital Holdings LLC  
First Lien Term Loan B  
7.195% (1 Month SOFR + 2.25%), due 3/24/25 (b) 300,450 299,792
Marriott Ownership Resorts, Inc.  
First Lien 2024 Incremental Term Loan  
7.095% (1 Month SOFR + 2.25%), due 4/1/31 (b) 1,310,480 1,306,112
Tripadvisor, Inc.  
First Lien Initial Term Loan B  
7.595% (1 Month SOFR + 2.75%), due 7/8/31 (b) 1,166,667 1,162,292
William Morris Endeavor Entertainment LLC  
First Lien Term Loan  
7.71% (1 Month SOFR + 2.75%), due 5/19/25 (b) 1,975,025 1,974,202
    13,017,759
Machinery (Non-Agriculture, Non-Construct & Non-Electronic) 0.7% 
Advanced Drainage Systems, Inc.  
First Lien Initial Term Loan  
7.551% (1 Month SOFR + 2.25%), due 7/31/26 (b) 446,518 446,964

  Principal
Amount
Value
Loan Assignments
Machinery (Non-Agriculture, Non-Construct & Non-Electronic)  
Columbus McKinnon Corp.  
First Lien Initial Term Loan              
7.104% (3 Month SOFR + 2.50%), due 5/15/28 (b) $    2,503,939 $     2,503,940
Husky Injection Molding Systems Ltd.  
First Lien Amendment No. 5 Refinancing Term Loan              
10.326% (6 Month SOFR + 5.00%), due 2/15/29 (b)   4,429,379     4,404,464
    7,355,368
Manufacturing 1.9% 
ASP Blade Holdings, Inc.  
First Lien Initial Term Loan  
8.865% (3 Month SOFR + 4.00%), due 10/13/28 (b) 1,070,508 785,819
Chart Industries, Inc.  
First Lien Amendment No. 7 Term Loan  
7.825% (3 Month SOFR + 2.50%), due 3/15/30 (b) 1,952,570 1,947,689
Coherent Corp.  
First Lien Term Loan B1  
7.345% (1 Month SOFR + 2.50%), due 7/2/29 (b) 2,237,760 2,235,523
CP Atlas Buyer, Inc.  
First Lien Term Loan B  
8.695% (1 Month SOFR + 3.75%), due 11/23/27 (b) 2,281,099 2,247,834
FCG Acquisitions, Inc.  
First Lien Initial Term Loan  
8.71% (1 Month SOFR + 3.75%), due 3/31/28 (b) 2,204,777 2,202,021
LSF12 Badger Bidco LLC  
First Lien Initial Term Loan  
10.845% (1 Month SOFR + 6.00%), due 8/30/30 (b) 1,240,625 1,238,687
Madison IAQ LLC  
First Lien Initial Term Loan  
7.889% (6 Month SOFR + 2.75%), due 6/21/28 (b) 2,283,300 2,280,706
Pro Mach Group, Inc.  
First Lien Amendment No.4 Term Loan  
8.345% (1 Month SOFR + 3.50%), due 8/31/28 (b) 3,016,810 3,025,061
Rexnord LLC  
First Lien Term Loan B  
6.96% (1 Month SOFR + 2.00%), due 10/4/28 (b) 742,398 746,264
Standard Building Solutions, Inc.  
First Lien Initial Term Loan  
6.92% (1 Month SOFR + 2.00%), due 9/22/28 (b) 689,882 691,434
Vortex Opco LLC  
First Lien Closing Date Second-Out Purchased Term Loan  
9.118% (3 Month SOFR + 4.25%), due 12/31/24 (b) 1,949,926 1,381,197
    18,782,235
Media 1.3% 
Cogeco Financing 2 LP  
First Lien Term Loan B  
7.46% (1 Month SOFR + 2.50%), due 9/1/28 (b) 2,719,722 2,669,576

  Principal
Amount
Value
Loan Assignments
Media  
Diamond Sports Group LLC  
Second Lien Term Loan              
TBD, due 8/24/26 (d)(e) $    2,898,312 $        31,157
KKR Apple Bidco LLC (b)  
First Lien Initial Term Loan              
7.71% (1 Month SOFR + 2.75%), due 9/22/28   2,304,825      2,300,708
First Lien Amendment No. 1 Term Loan              
8.345% (1 Month SOFR + 3.50%), due 9/22/28     736,931        738,577
Mission Broadcasting, Inc.  
First Lien Term Loan B4  
7.815% (1 Month SOFR + 2.50%), due 6/2/28 (b) 582,000 581,454
Radiate Holdco LLC  
First Lien Amendment No. 6 Term Loan  
8.21% (1 Month SOFR + 3.25%), due 9/25/26 (b) 2,007,861 1,718,872
Sinclair Television Group, Inc.  
First Lien Term Loan B4  
8.695% (1 Month SOFR + 3.75%), due 4/23/29 (b) 1,456,276 1,058,348
Virgin Media Bristol LLC  
First Lien Facility Term Loan Y  
8.656% (6 Month SOFR + 3.25%), due 3/31/31 (b) 3,666,667 3,500,523
    12,599,215
Mining, Steel, Iron & Non-Precious Metals 0.7% 
American Rock Salt Company LLC (b)  
First Lien Initial Term Loan  
9.319% (3 Month SOFR + 4.00%), due 6/9/28 1,216,286 991,273
First Lien First Out Term Loan  
12.079% (1 Month SOFR + 7.00%), due 6/11/28 480,217 480,217
Arsenal AIC Parent LLC  
First Lien 2024 Refinancing Term Loan B  
8.095% (1 Month SOFR + 3.25%), due 8/19/30 (b) 1,697,196 1,695,075
Gates Global LLC  
First Lien Initial Dollar Term Loan B4  
7.095% (1 Month SOFR + 2.25%), due 11/16/29 (b) 1,965,000 1,966,340
Zekelman Industries, Inc.  
First Lien 2024 Term Loan  
7.17% (1 Month SOFR + 2.25%), due 1/24/31 (b) 2,198,099 2,200,161
    7,333,066
Oil & Gas 2.6% 
Buckeye Partners LP  
First Lien Tranche Term Loan B4  
6.845% (1 Month SOFR + 2.00%), due 11/22/30 (b) 456,045 455,422
ChampionX Corp.  
First Lien Term Loan B1  
7.695% (1 Month SOFR + 2.75%), due 6/7/29 (b) 1,473,862 1,475,705

  Principal
Amount
Value
Loan Assignments
Oil & Gas  
Compass Power Generation LLC  
First Lien Tranche Term Loan B3              
8.595% (1 Month SOFR + 3.75%), due 4/16/29 (b) $      986,851 $       991,648
Element Materials Technology Group  
First Lien Initial US Dollar Term Loan B              
8.354% (3 Month SOFR + 4.25%), due 7/6/29 (b)   1,684,450      1,685,152
Fleet Midco I Ltd.  
First Lien Term Loan B2              
7.578% (6 Month SOFR + 2.75%), due 2/21/31 (b) 3,199,583 3,191,584
GIP III Stetson I LP  
First Lien Initial Term Loan  
8.345% (1 Month SOFR + 3.50%), due 10/31/28 (b) 1,099,865 1,098,490
GIP Pilot Acquisition Partners LP  
First Lien 2024 Term Loan B  
7.818% (3 Month SOFR + 2.50%), due 10/4/30 (b) 1,356,799 1,357,648
Grant Thornton LLP  
First Lien Term Loan B  
8.095% (1 Month SOFR + 3.25%), due 6/2/31 (b) 750,000 750,937
INEOS US Finance LLC  
First Lien 2030 Dollar Term Loan  
8.497% (1 Month SOFR + 3.25%), due 2/18/30 (b) 2,400,994 2,397,393
Liberty Media Corp.  
First Lien Term Loan  
TBD, due 9/10/31 1,000,000 998,750
Medallion Midland Acquisition LP  
First Lien 2023 Repricing Term Loan  
8.314% (3 Month SOFR + 3.50%), due 10/18/28 (b) 1,548,121 1,548,121
Murphy USA, Inc.  
First Lien Tranche Term Loan B  
7.065% (1 Month SOFR + 1.75%), due 1/31/28 (b) 435,375 435,647
NGL Energy Operating LLC  
First Lien Initial Term Loan  
8.595% (1 Month SOFR + 3.75%), due 2/3/31 (b) 530,667 527,217
Oryx Midstream Services Permian Basin LLC  
First Lien Initial Term Loan  
8.225% (1 Month SOFR + 3.00%), due 10/5/28 (b) 1,945,455 1,945,282
Prairie Eci Acquiror LP  
First Lien Initial Term Loan B2  
9.595% (1 Month SOFR + 4.75%), due 8/1/29 (b) 1,176,408 1,173,651
Thunder Generation Funding LLC  
First Lien Term Loan B  
TBD, due 9/26/31 1,500,000 1,498,125
TransMontaigne Operating Co. LP  
First Lien Tranche Term Loan B  
8.46% (1 Month SOFR + 3.50%), due 11/17/28 (b) 1,988,588 1,989,831
Traverse Midstream Partners LLC  
First Lien Advance Term Loan  
8.752% (3 Month SOFR + 3.50%), due 2/16/28 (b) 1,059,501 1,060,163

  Principal
Amount
Value
Loan Assignments
Oil & Gas  
Veritas US, Inc.  
First Lien 2020 Dollar Term Loan B              
9.96% (1 Month SOFR + 5.00%), due 9/2/25 (b) $    1,160,804 $     1,085,560
    25,666,326
Packaging 0.2% 
LABL, Inc.  
First Lien Term Loan B              
9.945% (1 Month SOFR + 5.00%), due 10/30/28 (b)   1,458,750      1,423,922
Plastipak Holdings, Inc.  
First Lien New Tranche Term Loan B  
7.445% (1 Month SOFR + 2.50%), due 12/1/28 (b) 897,647 899,767
    2,323,689
Personal & Nondurable Consumer Products 1.7% 
ABG Intermediate Holdings 2 LLC  
First Lien 2024 Refinancing Term Loan  
7.595% (1 Month SOFR + 2.75%), due 12/21/28 (b) 3,812,908 3,814,098
Foundation Building Materials, Inc. (b)  
First Lien Initial Term Loan  
8.764% (3 Month SOFR + 3.25%), due 1/31/28 1,707,859 1,661,605
First Lien 2024 Incremental Term Loan  
9.252% (3 Month SOFR + 4.00%), due 1/29/31 2,846,250 2,768,422
Hunter Douglas, Inc.  
First Lien Tranche Term Loan B1  
8.571% (3 Month SOFR + 3.50%), due 2/25/29 (b) 3,929,949 3,893,455
Leslie's Poolmart, Inc.  
First Lien Term Loan B  
7.71% (1 Month SOFR + 2.75%), due 3/9/28 (b) 1,181,938 1,144,757
Michaels Cos., Inc. (The)  
First Lien Term Loan B  
9.115% (3 Month SOFR + 4.25%), due 4/17/28 (b) 3,096,000 2,470,781
Perrigo Investments LLC  
First Lien Initial Term Loan B  
7.195% (1 Month SOFR + 2.25%), due 4/20/29 (b) 1,417,147 1,408,881
Prestige Brands, Inc.  
First Lien Term Loan B5  
6.96% (1 Month SOFR + 2.00%), due 7/3/28 (b) 90,000 90,032
    17,252,031
Personal & Nondurable Consumer Products (Manufacturing Only) 0.5% 
American Builders & Contractors Supply Co., Inc.  
First Lien Term Loan B  
6.595% (1 Month SOFR + 1.75%), due 1/31/31 (b) 1,657,612 1,658,026
SRAM LLC  
First Lien 2021 Refinancing Term Loan B  
7.71% (1 Month SOFR + 2.75%), due 5/18/28 (b) 1,701,818 1,700,755

  Principal
Amount
Value
Loan Assignments
Personal & Nondurable Consumer Products (Manufacturing Only)  
Varsity Brands LLC  
First Lien Initial Term Loan              
8.821% (3 Month SOFR + 3.75%), due 8/26/31 (b) $    1,600,000 $     1,588,286
    4,947,067
Personal, Food & Miscellaneous Services 1.0% 
Aramark Services, Inc. (b)  
First Lien Term Loan B7              
6.845% (1 Month SOFR + 2.00%), due 4/6/28   1,402,972      1,403,674
First Lien Term Loan B8  
6.845% (1 Month SOFR + 2.00%), due 6/24/30 1,420,004 1,422,488
Hayward Industries, Inc.  
First Lien Initial Term Loan  
7.46% (1 Month SOFR + 2.50%), due 5/30/28 (b) 1,724,267 1,720,572
IRB Holding Corp.  
First Lien Term Loan B  
7.695% (1 Month SOFR + 2.75%), due 12/15/27 (b) 3,639,505 3,634,199
KFC Holding Co.  
First Lien 2021 Term Loan B  
6.879% (1 Month SOFR + 1.75%), due 3/15/28 (b) 1,423,429 1,428,055
    9,608,988
Pharmaceuticals 0.2% 
Padagis LLC  
First Lien Term Loan B  
10.326% (3 Month SOFR + 4.75%), due 7/6/28 (b) 2,129,412 1,980,353
Printing & Publishing 0.3% 
Getty Images, Inc.  
First Lien Initial Dollar Term Loan  
8.845% (6 Month SOFR + 4.50%), due 2/19/26 (b) 850,900 845,050
Severin Acquisition LLC  
First Lien Term Loan  
8.252% (3 Month SOFR + 3.00%), due 8/1/27 (b) 1,900,506 1,900,506
    2,745,556
Retail 0.4% 
Great Outdoors Group LLC  
First Lien Term Loan B1  
8.71% (1 Month SOFR + 3.75%), due 3/6/28 (b) 3,766,417 3,761,185
Retail Store 1.3% 
Harbor Freight Tools USA, Inc.  
First Lien Initial Term Loan 7.241% - 7.345%  
(1 Month SOFR + 2.50%, 6 Month SOFR + 2.50%), due 6/11/31 (b) 4,444,444 4,370,706
PetSmart LLC  
First Lien Initial Term Loan  
8.695% (1 Month SOFR + 3.75%), due 2/11/28 (b) 2,601,622 2,576,072

  Principal
Amount
Value
Loan Assignments
Retail Store  
White Cap Supply Holdings LLC  
First Lien Facility Tranche Term Loan C              
8.095% (1 Month SOFR + 3.25%), due 10/19/29 (b) $    5,746,747 $     5,697,767
    12,644,545
Services: Business 5.7% 
Amazon Holdco, Inc.  
First Lien Term Loan B              
7.305% (1 Year SOFR + 2.25%), due 9/29/31 (b)   3,500,000      3,486,875
Armor HoldCo, Inc.  
First Lien Initial Dollar Term Loan  
10.014% (6 Month SOFR + 4.50%), due 12/11/28 (b) 491,162 493,617
Avis Budget Car Rental LLC  
First Lien New Tranche Term Loan C  
7.945% (1 Month SOFR + 3.00%), due 3/16/29 (b) 1,492,481 1,491,362
Brown Group Holding LLC (b)  
First Lien Incremental Term Loan B2 7.595% - 8.002%  
(1 Month SOFR + 2.75%, 3 Month SOFR + 2.75%), due 7/1/31 1,030,405 1,027,645
First Lien Initial Term Loan  
7.595% (1 Month SOFR + 2.75%), due 7/1/31 2,130,853 2,123,751
ConnectWise LLC  
First Lien Initial Term Loan  
8.365% (3 Month SOFR + 3.50%), due 9/29/28 (b) 1,760,474 1,756,073
Dun & Bradstreet Corp. (The)  
First Lien Term Loan B  
7.605% (1 Month SOFR + 2.75%), due 1/18/29 (b) 3,064,507 3,061,632
Electron Bidco, Inc.  
First Lien Term Loan  
7.96% (1 Month SOFR + 3.00%), due 11/1/28 (b) 3,579,887 3,582,125
Fortrea Holdings, Inc.  
First Lien Initial Term Loan B  
8.491% (6 Month SOFR + 3.75%), due 7/1/30 (b) 383,298 382,100
GIP II Blue Holding LP  
First Lien Initial Term Loan  
8.595% (1 Month SOFR + 3.75%), due 9/29/28 (b) 1,992,652 1,997,135
ICON Luxembourg SARL  
First Lien Repriced Lux Term Loan  
6.604% (3 Month SOFR + 2.00%), due 7/3/28 (b) 346,161 347,774
Indy US Bidco LLC  
First Lien Facility Tranche Term Loan B1  
8.71% (1 Month SOFR + 3.75%), due 3/6/28 (b) 1,447,725 1,425,104
Inizio Group Ltd.  
First Lien Initial Dollar Term Loan  
8.954% (3 Month SOFR + 4.25%), due 8/21/28 (b) 4,033,000 4,002,752
Mercury Borrower, Inc.  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 8/2/28 (b) 4,556,499 4,547,956

  Principal
Amount
Value
Loan Assignments
Services: Business  
Mitchell International, Inc.  
First Lien Initial Term Loan              
8.095% (1 Month SOFR + 3.25%), due 6/17/31 (b) $    2,992,847 $     2,946,593
MPH Acquisition Holdings LLC  
First Lien Initial Term Loan              
9.569% (3 Month SOFR + 4.25%), due 9/1/28 (b)   1,427,571      1,070,678
Nielsen Consumer LLC  
First Lien Ninth Amendment Dollar Refinancing Term Loan              
9.595% (1 Month SOFR + 4.75%), due 3/6/28 (b) 1,750,000 1,741,250
OVG Business Services LLC  
First Lien Initial Term Loan  
7.845% (1 Month SOFR + 3.00%), due 6/25/31 (b) 1,875,000 1,863,281
Parexel International, Inc.  
First Lien Fifth Amendment Term Loan  
7.845% (1 Month SOFR + 3.00%), due 11/15/28 (b) 5,219,617 5,218,965
Plano Holdco, Inc.  
First Lien Term Loan  
8.54% (1 Year SOFR + 3.50%), due 8/15/31 (b) 1,200,000 1,200,000
Polaris Newco LLC  
First Lien Dollar Term Loan  
9.514% (3 Month SOFR + 4.00%), due 6/2/28 (b) 1,350,635 1,327,562
Pra Health Sciences, Inc.  
First Lien Term Loan B  
6.604% (3 Month SOFR + 2.00%), due 7/3/28 (b) 86,246 86,648
Project Boost Purchaser LLC (b)  
First Lien Initial Term Loan  
8.786% (3 Month SOFR + 3.50%), due 7/16/31 3,118,990 3,116,554
Second Lien Initial Term Loan  
10.536% (3 Month SOFR + 5.25%), due 7/2/32 1,000,000 1,000,625
Prometric Holdings, Inc.  
First Lien Term Loan C  
9.71% (1 Month SOFR + 4.75%), due 1/31/28 (b) 1,605,535 1,613,229
Ryan LLC  
First Lien Term Loan  
8.345% (1 Month SOFR + 3.50%), due 11/14/30 (b) 2,074,226 2,048,298
Ryan Specialty Group LLC  
First Lien Term Loan B1  
7.095% (1 Month SOFR + 2.25%), due 9/15/31 (b) 962,500 960,094
Soliant Lower Intermediate LLC  
First Lien Initial Term Loan  
8.595% (1 Month SOFR + 3.75%), due 7/18/31 (b) 1,000,000 1,000,000
Vestis Corp.  
First Lien Term Loan B1  
7.371% (3 Month SOFR + 2.25%), due 2/24/31 (b) 1,163,750 1,155,022
Vizient, Inc.  
First Lien Term Loan B8  
6.845% (1 Month SOFR + 2.00%), due 8/1/31 (b) 400,000 399,750
    56,474,450

  Principal
Amount
Value
Loan Assignments
Services: Consumer 0.2% 
Planet U.S. Buyer LLC  
First Lien Term Loan              
8.604% (3 Month SOFR + 3.50%), due 2/7/31 (b) $    1,745,625 $     1,747,262
West Technology Group LLC  
First Lien Term Loan B3              
9.502% (3 Month SOFR + 4.00%), due 4/12/27 (b)     403,579       356,180
    2,103,442
Software 4.3% 
AppLovin Corp. (b)  
First Lien Amendment No. 1 10-I Replacement Term Loan  
7.345% (1 Month SOFR + 2.50%), due 10/25/28 1,173,105 1,172,895
First Lien Term Loan B  
7.345% (1 Month SOFR + 2.50%), due 8/16/30 1,492,500 1,490,867
Cloud Software Group, Inc. (b)  
First Lien Third Amendment Term Loan 9.104% - 9.204%  
(3 Month SOFR + 4.50%), due 3/21/31 500,000 500,982
First Lien Initial Dollar Facility Term Loan B  
8.604% (3 Month SOFR + 4.00%), due 3/30/29 4,076,241 4,056,786
Cloudera, Inc.  
First Lien Initial Term Loan  
8.695% (1 Month SOFR + 3.75%), due 10/9/28 (b) 1,488,550 1,446,684
Cornerstone OnDemand, Inc.  
First Lien Initial Term Loan  
8.71% (1 Month SOFR + 3.75%), due 10/16/28 (b) 1,828,125 1,704,727
Cotiviti, Inc.  
First Lien Initial Floating Rate Term Loan  
8.451% (1 Month SOFR + 3.25%), due 5/1/31 (b) 4,179,000 4,170,295
Delta Topco, Inc.  
First Lien Second Amendment Term Loan  
8.198% (6 Month SOFR + 3.50%), due 11/30/29 (b) 712,500 711,164
DS Admiral Bidco LLC  
First Lien Initial Term Loan  
9.095% (1 Month SOFR + 4.25%), due 6/26/31 (b) 2,000,000 1,920,000
Ellucian Holdings, Inc.  
First Lien 2024 Incremental Term Loan B  
8.445% (1 Month SOFR + 3.50%), due 10/7/29 (b) 664,308 665,731
Gen Digital, Inc.  
First Lien Term Loan B  
6.595% (1 Month SOFR + 1.75%), due 9/12/29 (b) 3,069,183 3,060,071
Informatica LLC  
First Lien Term Loan B  
7.095% (1 Month SOFR + 2.25%), due 10/27/28 (b) 1,901,151 1,897,191
Isolved, Inc.  
First Lien Term Loan B1  
8.345% (1 Month SOFR + 3.50%), due 10/15/30 (b) 585,298 586,273

  Principal
Amount
Value
Loan Assignments
Software  
Magenta Security Holdings LLC (b)  
First Lien Super Priority Third Out Term Loan              
6.876% (3 Month SOFR + 1.50%), due 7/27/28 $      359,436 $        99,968
First Lien Super Priority Second Out Term Loan              
6.876% (3 Month SOFR + 1.50%), due 7/27/28     103,474         70,466
First Lien Super Priority First Out Term Loan              
12.126% (3 Month SOFR + 6.75%), due 7/27/28      81,690         77,197
McAfee Corp.  
First Lien Tranche Term Loan B1  
8.451% (1 Month SOFR + 3.25%), due 3/1/29 (b) 8,900,269 8,852,991
Mitnick Corp. Purchaser, Inc.  
First Lien Initial Term Loan  
9.852% (3 Month SOFR + 4.50%), due 5/2/29 (b) 1,960,000 1,744,400
Quartz AcquireCo LLC  
First Lien Term Loan B1  
7.354% (3 Month SOFR + 2.75%), due 6/28/30 (b) 1,237,500 1,231,313
Sovos Compliance LLC  
First Lien Initial Term Loan  
9.46% (1 Month SOFR + 4.50%), due 8/11/28 (b) 486,618 486,132
UKG, Inc.  
First Lien Initial Term Loan  
8.555% (3 Month SOFR + 3.25%), due 2/10/31 (b) 4,993,046 4,993,046
Vision Solutions, Inc.  
First Lien New Term Loan B  
9.514% (3 Month SOFR + 4.00%), due 4/24/28 (b) 1,616,667 1,570,187
    42,509,366
Telecommunications 2.0% 
Avaya, Inc.  
First Lien Exit Term Loan  
12.345% (1 Month SOFR + 7.50%), due 8/1/28 (b) 126,204 110,955
Azalea Topco, Inc.  
First Lien Initial Term Loan  
8.345% (1 Month SOFR + 3.50%), due 4/30/31 (b) 1,428,571 1,426,563
Cablevision Lightpath LLC  
First Lien Initial Term Loan  
8.461% (1 Month SOFR + 3.25%), due 11/30/27 (b) 2,448,414 2,443,518
Colorado Buyer, Inc.  
First Lien Initial Term Loan  
TBD, due 9/30/24 (c)(d)(e)(g) 327,646 328
Connect Finco SARL  
First Lien First Amendment Term Loan  
8.345% (1 Month SOFR + 3.50%), due 12/11/26 (b) 1,139,894 1,131,820
CSC Holdings LLC  
First Lien Term Loan B5  
7.173% (6 Month SOFR + 2.50%), due 4/15/27 (b) 3,534,097 3,228,397

  Principal
Amount
Value
Loan Assignments
Telecommunications  
Frontier Communications Holdings LLC  
First Lien 2024 Refinancing Term Loan              
8.763% (6 Month SOFR + 3.50%), due 7/1/31 (b) $    1,700,000 $     1,712,750
GoGo Intermediate Holdings LLC  
First Lien Initial Term Loan              
8.71% (1 Month SOFR + 3.75%), due 5/1/28 (b)   2,498,293      2,345,897
Lumen Technologies, Inc. (b)  
First Lien Term Loan B1              
7.319% (1 Month SOFR + 2.35%), due 4/16/29 894,622 785,589
First Lien Term Loan B2  
7.319% (1 Month SOFR + 2.35%), due 4/15/30 894,621 771,052
Redstone Holdco 2 LP  
First Lien Initial Term Loan  
10.264% (3 Month SOFR + 4.75%), due 4/27/28 (b) 915,766 701,705
SBA Senior Finance II LLC  
First Lien Term Loan B  
6.845% (1 Month SOFR + 2.00%), due 1/27/31 (b) 1,726,022 1,725,630
Telesat Canada  
First Lien Term Loan B5  
8.069% (3 Month SOFR + 2.75%), due 12/6/26 (b) 1,220,447 593,442
Zayo Group Holdings, Inc.  
First Lien Initial Dollar Term Loan  
7.96% (1 Month SOFR + 3.00%), due 3/9/27 (b) 3,348,136 3,050,989
    20,028,635
Utilities 0.9% 
Astoria Energy LLC  
First Lien Term Loan B 7.854% - 8.10%  
(1 Month SOFR + 3.25%, 3 Month SOFR + 3.25%), due 12/10/27 (b) 1,541,316 1,542,762
Edgewater Generation LLC  
First Lien Refinancing Term Loan  
9.095% (1 Month SOFR + 4.25%), due 8/1/30 (b) 2,928,757 2,951,455
Exgen Renewables IV LLC  
First Lien Term Loan  
7.307% (3 Month SOFR + 2.25%), due 12/15/27 (b) 1,267,855 1,268,560
Hamilton Projects Acquiror LLC  
First Lien Term Loan  
8.595% (1 Month SOFR + 3.75%), due 5/30/31 (b) 2,671,875 2,688,157
    8,450,934

  Principal
Amount
Value
Loan Assignments
Water 0.4% 
AI Aqua Merger Sub, Inc.  
First Lien Initial Term Loan B              
8.701% (1 Month SOFR + 3.50%), due 7/31/28 (b) $    4,346,911 $     4,339,995
Total Loan Assignments
(Cost $842,617,206)
  827,555,445
Total Long-Term Bonds
(Cost $954,095,139)
  940,458,037
 
  Shares  
 
Affiliated Investment Company 0.2%
Fixed Income Fund 0.2%     
NYLI MacKay High Yield Corporate Bond Fund Class I    436,571     2,298,807
Total Affiliated Investment Company
(Cost $2,445,689)
  2,298,807
Common Stocks 0.1%
Automobile Components 0.0% ‡
Millennium Corporate Trust (c)(g)(h)      1,243             —
Millennium Industries Corp. (c)(g)(h)      1,324            —
   
Communications Equipment 0.0% ‡
Avaya, Inc. (c)(g)(h) 12,043 72,258
Financial Services 0.0% ‡
New Topco Shares, Class A (c)(g)(h) 405,109
Health Care Equipment & Supplies 0.0% ‡
Carestream Equity (c)(g)(h) 3,656 37
Health Care Providers & Services 0.1% 
Mallinckrodt International Corp. (c)(g)(h) 5,706 427,950
Household Durables 0.0% ‡
SSB Equipment Co., Inc. (c)(g)(h) 735
Independent Power and Renewable Electricity Producers 0.0% ‡
Sempra Texas Holdings Corp. (c)(g)(h) 94,456
IT Services 0.0% ‡
Envision Financial Technologies, Inc. (c)(g)(h) 21,582 226,611

  Shares   Value
Common Stocks
Machinery 0.0% ‡
Ameriforge Group, Inc. (c)(g)(h)     45,694   $         8,682
Specialty Retail 0.0% ‡
Serta Simmons Bedding LLC (c)(g)(h)        735           4,042
Technology Hardware, Storage & Peripherals 0.0% ‡
Diebold Nixdorf, Inc. (h)      8,023         358,307
Total Common Stocks
(Cost $2,424,447)
    1,097,887
 
  Number of
Warrants
   
 
Warrants 0.0% ‡
Capital Markets 0.0% ‡
THAIHOT Investment Co. Ltd.      
Expires 10/13/27 (c)(g)(h)(i) 22   0
Total Warrants
(Cost $0)
    0
 
  Principal
Amount
   
 
Short-Term Investments 7.2%
U.S. Treasury Debt 7.2% 
U.S. Treasury Bills (j)      
4.635%, due 11/19/24 $   52,900,000   52,565,229
4.711%, due 10/31/24 4,900,000   4,880,908
4.715%, due 10/22/24 4,800,000   4,786,810
5.021%, due 10/8/24 5,000,000   4,995,448
5.184%, due 10/1/24 1,600,000   1,600,000
18.639%, due 11/7/24 2,200,000   2,189,378
Total Short-Term Investments
(Cost $71,021,002)
    71,017,773
Total Investments
(Cost $1,029,986,277)
102.3%   1,014,872,504
Other Assets, Less Liabilities (2.3)   (22,631,084)
 Net Assets 100.0%   $ 992,241,420
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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, 2024.

(c) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $7,446,074, which represented 0.8% of the Portfolio’s net assets.
(d) Issue in default.
(e) Issue in non-accrual status.
(f) PIK ("Payment-in-Kind")—issuer may pay interest or dividends with additional securities and/or in cash.
(g) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(h) Non-income producing security.
(i) Less than $1.
(j) Interest rate shown represents yield to maturity.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI MacKay High Yield Corporate Bond Fund Class I $ 2,255 $ — $ — $ — $ 44 $ 2,299 $ 105 $ — 437
Abbreviation(s):
CLO—Collateralized Loan Obligation
SOFR—Secured Overnight Financing Rate
TBD—To Be Determined
USD—United States Dollar

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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         $ —       $ 29,770,755         $ —       $ 29,770,755
Corporate Bonds         —       83,131,837         —       83,131,837
Loan Assignments         —      827,555,117        328      827,555,445
Total Long-Term Bonds   940,457,709   328   940,458,037
Affiliated Investment Company              
Fixed Income Fund  2,298,807               —         —        2,298,807
Common Stocks    358,307               —    739,580        1,097,887
Warrants (b)         —               —          0                0
Short-Term Investments              
U.S. Treasury Debt         —       71,017,773         —       71,017,773
Total Investments in Securities $ 2,657,114   $ 1,011,475,482   $ 739,908   $ 1,014,872,504
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.
(b) Less than $1.

NYLI VP Equity Allocation Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares   Value
Affiliated Investment Companies 97.1%
Equity Funds 97.1% 
NYLI 500 International ETF (a)    840,456   $  29,488,828
NYLI Candriam International Equity ETF (a)    930,774     29,239,521
NYLI Candriam U.S. Large Cap Equity ETF (a)    931,558     44,593,123
NYLI Candriam U.S. Mid Cap Equity ETF (a)  1,341,187     44,090,718
NYLI CBRE NextGen Real Estate ETF (a)    822,075     18,217,182
NYLI Epoch Capital Growth Fund Class I    184,387      2,931,252
NYLI Epoch International Choice Fund Class I (a)    672,161     28,703,224
NYLI Fiera SMID Growth Fund Class R6 (a)  2,552,602     43,820,516
NYLI FTSE International Equity Currency Neutral ETF    596,165     16,478,001
NYLI PineStone U.S. Equity Fund Class R6 (a)  2,203,336     43,856,303
NYLI VP American Century Sustainable Equity Portfolio Initial Class (a)  4,212,147     44,811,770
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class (a)  5,336,173     43,721,930
NYLI VP Dimensional U.S. Equity Portfolio Initial Class    717,904     23,180,122
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class (a)  2,143,246     43,099,827
NYLI VP PineStone International Equity Portfolio Initial Class (a)  2,404,418     29,377,665
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class (a)  4,824,947     43,653,705
NYLI VP Small Cap Growth Portfolio Initial Class (a) 3,681,007   43,685,820
NYLI VP Wellington Growth Portfolio Initial Class (a) 1,538,579   45,702,114
NYLI VP Wellington Small Cap Portfolio Initial Class (a) 4,374,737   42,598,125
NYLI VP Winslow Large Cap Growth Portfolio Initial Class (a) 1,431,011   46,158,275
NYLI WMC Enduring Capital Fund Class R6 (a) 528,961   21,387,948
NYLI WMC International Research Equity Fund Class I (a) 3,584,863   29,853,303
NYLI WMC Value Fund Class R6 (a) 1,243,655   42,439,608
Total Affiliated Investment Companies
(Cost $692,052,928)
    801,088,880
Short-Term Investment 2.6%
Affiliated Investment Company 2.6% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 21,418,057   21,418,057
Total Short-Term Investment
(Cost $21,418,057)
2.6%   21,418,057
Total Investments
(Cost $713,470,985)
99.7%   822,506,937
Other Assets, Less Liabilities 0.3   2,556,785
Net Assets 100.0%   $ 825,063,722
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) As of September 30, 2024, 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, 2024.

Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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 U.S. Small Cap ETF $ 30,880 $ 139 $ (30,474) $ 1,622 $ (2,167) $ — $ 102 $ —
NYLI 500 International ETF 33,795 1,162 (7,546) 1,410 668 29,489 763 840
NYLI Candriam International Equity ETF 34,048 665 (9,046) 848 2,725 29,240 656 931
NYLI Candriam U.S. Large Cap Equity ETF 49,612 (11,214) 3,797 2,398 44,593 400 932
NYLI Candriam U.S. Mid Cap Equity ETF 38,052 7,332 (4,823) 658 2,872 44,091 338 1,341
NYLI CBRE NextGen Real Estate ETF 19,802 1,235 (4,347) 286 1,241 18,217 411 822
NYLI Epoch Capital Growth Fund Class I 3,241 (698) 53 335 2,931 184
NYLI Epoch International Choice Fund Class I 28,699 2,982 (5,081) 650 1,453 28,703 672
NYLI Fiera SMID Growth Fund Class R6 38,953 7,335 (3,836) 286 1,083 43,821 2,553
NYLI FTSE International Equity Currency Neutral ETF 17,168 146 (2,634) 476 1,322 16,478 267 596
NYLI PineStone U.S. Equity Fund Class R6 38,561 7,309 (8,305) 1,025 5,266 43,856 2,203
NYLI U.S. Government Liquidity Fund 19,068 149,391 (147,041) 21,418 885 21,418
NYLI VP American Century Sustainable Equity Portfolio Initial Class 46,317 860 (10,627) (2,508) 10,770 44,812 4,212
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class 43,392 677 (7,468) (2,428) 9,549 43,722 5,336
NYLI VP Dimensional U.S. Equity Portfolio Initial Class 26,000 1,272 (9,564) (781) 6,253 23,180 718
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class 42,095 1,690 (9,237) 1,526 7,026 43,100 2,143
NYLI VP PineStone International Equity Portfolio Initial Class 28,721 3,113 (6,232) (2,425) 6,201 29,378 2,404
NYLI VP S&P 500 Index Portfolio Initial Class 13,696 (14,007) 2,386 (2,075)
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class 38,858 7,076 (5,035) (2,416) 5,171 43,654 4,825
NYLI VP Small Cap Growth Portfolio Initial Class 36,835 8,934 (5,876) (1,453) 5,245 43,685 3,681
NYLI VP Wellington Growth Portfolio Initial Class 50,809 (14,803) (6,346) 16,042 45,702 1,539
NYLI VP Wellington Small Cap Portfolio Initial Class 33,901 10,538 (6,065) (3,313) 7,537 42,598 4,375
NYLI VP Winslow Large Cap Growth Portfolio Initial Class 51,148 (15,713) 2,079 8,644 46,158 1,431
NYLI WMC Enduring Capital Fund Class R6 22,967 (4,963) 545 2,839 21,388 529
NYLI WMC International Research Equity Fund Class I 28,767 2,855 (5,962) (1,202) 5,395 29,853 3,585
NYLI WMC Value Fund Class R6 40,117 2,340 (5,459) (193) 5,635 42,440 1,244
  $855,502 $217,051 $(356,056) $(5,418) $111,428 $822,507 $3,822 $ 

Swap Contracts
Open OTC total return equity swap contracts as of September 30, 2024 were as follows1:
Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Citibank NA Citi Artificial Intelligence (AI) Basket 1 day FEDF plus 0.35% 12/2/24 Daily 8,549 $ —
Citibank NA Citi Zombie Company Basket 1 day FEDF minus 0.50% 12/2/24 Daily (17,166)
JPMorgan Chase Bank NA Global X Uranium ETF 1 day FEDF plus 0.00% - 0.50% 10/7/24 - 11/12/24 Daily 22,933
Citibank NA iShares MSCI EAFE ETF 1 day FEDF minus 0.75% 12/2/24 Daily (70,398)
Citibank NA iShares MSCI Emerging Markets ex China ETF 1 day FEDF plus 0.61% 12/2/24 Daily 20,659
Citibank NA iShares MSCI Hong Kong ETF 1 day FEDF plus 0.40% 12/2/24 Daily 16,785
Citibank NA iShares MSCI India ETF 1 day FEDF plus 0.40% 12/2/24 Daily 16,911
JPMorgan Chase Bank NA iShares MSCI Japan ETF 1 day FEDF plus 0.00% - 0.55% 4/24/25 Daily 12,286
JPMorgan Chase Bank NA J.P. Morgan IDEX Pure Size Short 1 day FEDF plus 0.00% - 0.20% 6/18/25 Daily (8,604)
JPMorgan Chase Bank NA Russell 2000 Total Return Index 1 day FEDF plus 0.10% 4/8/25 - 4/9/25 Daily (35,579)
Citibank NA S&P 500 Information Technology 1 day FEDF plus 0.70% 12/2/24 Daily 2,569
Citibank NA S&P 500 Total Return Index 1 day FEDF plus 0.05% 12/2/24 Daily (25,456)
Citibank NA S&P 600 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 54,668
Citibank NA S&P Midcap 400 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 31,889
            $ —
The following table represents the basket holdings underlying the total return swap with Citi Artificial Intelligence (AI) Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Alphabet Inc. 2,501 256,235  3.00
Amazon.com Inc. 2,666 273,055  3.19
AppLovin Corp. 4,369 447,603  5.24
Aptiv plc 2,416 247,487  2.89
Autoliv Inc. 733 75,038  0.88
BILL Holdings Inc. 1,222 125,223  1.46
Block Inc. 2,980 305,234  3.57
Booking Holdings Inc. 3,014 308,721  3.61
Broadcom Inc. 2,817 288,558  3.38
DocuSign Inc. 2,011 205,967  2.41
Etsy Inc. 2,345 240,171 2.81
Expedia Group Inc. 3,362 344,453 4.03
Fidelity National Information Services Inc. 3,190 326,773 3.82
Fiserv Inc. 3,392 347,505 4.06
Fortive Corp. 1,644 168,369 1.97
Globant SA 1,372 140,540 1.64
Informatica Inc. 579 59,284 0.69
Intel Corp. 1,968 201,572 2.36
Lear Corp. 976 99,970 1.17
Magna International Inc. 880 90,118 1.05
Marvell Technology Inc. 2,745 281,170 3.29
Meta Platforms Inc. 3,083 315,839 3.69
MKS Instruments Inc. 1,106 113,337 1.33
Northrop Grumman Corp. 3,499 358,446 4.19
Okta Inc. 1,840 188,528 2.21
Pinterest Inc. 2,124 217,624 2.55
PTC Inc. 1,760 180,265 2.11
QUALCOMM Inc. 2,332 238,889 2.79
RTX Corp. 3,451 353,491 4.13

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Salesforce Inc. 3,032 310,589  3.63
Smartsheet Inc. 1,196 122,535  1.43
TE Connectivity Ltd. 2,862 293,133  3.43
Teradyne Inc. 2,477 253,706  2.97
Veeva Systems Inc. 2,729 279,594  3.27
Visa Inc. 2,942 301,421  3.53
Wix.com Ltd. 1,331 136,324  1.59
Zillow Group Inc. 512 52,463  0.61
The following table represents the basket holdings underlying the total return swap with Citi Zombie Company Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Akero Therapeutics Inc. (1,185) (151,332)  0.88
AMC Entertainment Holdings Inc. (3,371) (430,524)  2.51
Arcutis Biotherapeutics Inc. (2,094) (267,484)  1.56
BioCryst Pharmaceuticals Inc. (1,215) (155,165)  0.90
Bloom Energy Corp. (3,093) (394,983)  2.30
Bridgebio Pharma Inc. (2,155) (275,192)  1.60
Cardlytics Inc. (245) (31,271)  0.18
Carvana Co. (9,795) (1,250,876)  7.29
Chegg Inc. (461) (58,936)  0.34
Chemours Co/The (1,210) (154,581)  0.90
Coeur Mining Inc. (3,713) (474,236) 2.76
Compass Inc. (968) (123,578) 0.72
Cytokinetics Inc. (4,013) (512,508) 2.99
EchoStar Corp. (1,739) (222,073) 1.29
FuelCell Energy Inc. (773) (98,714) 0.58
Global Net Lease Inc. (733) (93,649) 0.55
Goodyear Tire & Rubber Co/The (1,218) (155,610) 0.91
Guardant Health Inc. (1,823) (232,812) 1.36
Hudson Pacific Properties Inc. (628) (80,221) 0.47
Infinera Corp. (1,193) (152,360) 0.89
Ironwood Pharmaceuticals Inc. (740) (94,478) 0.55
JBG SMITH Properties (868) (110,788) 0.65
JetBlue Airways Corp. (5,729) (731,709) 4.26
Lumen Technologies Inc. (4,125) (526,793) 3.07
Lumentum Holdings Inc. (3,170) (404,848) 2.36
NeoGenomics Inc. (663) (84,671) 0.49
Newell Brands Inc. (1,625) (207,580) 1.21
Novocure Ltd. (737) (94,178) 0.55
Ocular Therapeutix Inc. (1,503) (191,997) 1.12
Opendoor Technologies Inc. (1,432) (182,872) 1.07
Pacific Biosciences of California Inc. (1,244) (158,904) 0.93
Paramount Global (5,584) (713,127) 4.15
Peloton Interactive Inc. (2,571) (328,311) 1.91
Penn Entertainment Inc. (6,350) (811,015) 4.72
Recursion Pharmaceuticals Inc. (1,354) (172,887) 1.01
Redfin Corp. (2,329) (297,385) 1.73
Rivian Automotive Inc. (6,706) (856,408) 4.99
Semtech Corp. (7,367) (940,831) 5.48
Spirit AeroSystems Holdings Inc. (4,636) (592,041) 3.45
Sunnova Energy International Inc. (4,045) (516,598) 3.01
Tandem Diabetes Care Inc. (2,243) (286,451) 1.67
Telephone and Data Systems Inc. (755) (96,401) 0.56
Terawulf Inc. (3,879) (495,378) 2.89
Upstart Holdings Inc. (7,338) (937,170) 5.46
Viasat Inc. (696) (88,915) 0.52
Virgin Galactic Holdings Inc. (352) (44,934) 0.26
Walgreens Boots Alliance Inc. (3,205) (409,267) 2.38

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Warner Bros Discovery Inc. (6,403) (817,696)  4.76
Wolfspeed Inc. (2,471) (315,594)  1.84
Xerox Holdings Corp. (1,998) (255,208)  1.49
Xometry Inc. (666) (85,086)  0.50
    
1. As of September 30, 2024, cash in the amount $1,488,612 due to brokers for OTC swap contracts.
2. Portfolio pays the floating rate and receives the total return of the reference entity.
3. 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.
4. Reflects the value at reset date as of September 30, 2024.
Abbreviation(s):
EAFE—Europe, Australasia and Far East
ETF—Exchange-Traded Fund
FEDF—Federal Funds Rate
FTSE—Financial Times Stock Exchange
MSCI—Morgan Stanley Capital International
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Affiliated Investment Companies              
Equity Funds  $ 801,088,880   $ —   $ —    $ 801,088,880
Short-Term Investment              
Affiliated Investment Company   21,418,057         21,418,057
Total Investments in Securities $ 822,506,937   $ —   $ —   $ 822,506,937
    
(a) For a complete listing of investments, see the Portfolio of Investments.

NYLI VP Income Builder Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 36.4%
Asset-Backed Securities 2.6%
Automobile Asset-Backed Securities 0.9% 
Ally Bank Auto Credit-Linked Notes    
Series 2024-A, Class G                       
12.748%, due 5/17/32 (a) $      653,826 $     666,942
American Credit Acceptance Receivables Trust    
Series 2021-2, Class D                       
1.34%, due 7/13/27 (a)     159,813      158,358
Exeter Automobile Receivables Trust    
Series 2021-3A, Class E    
3.04%, due 12/15/28 (a) 855,000 821,291
Series 2022-2A, Class E    
6.34%, due 10/15/29 (a) 915,000 910,544
Series 2023-4A, Class D    
6.95%, due 12/17/29 120,000 124,981
Series 2022-5A, Class E    
10.45%, due 4/15/30 (a) 210,000 226,938
Flagship Credit Auto Trust (a)    
Series 2021-1, Class D    
1.27%, due 3/15/27 575,000 554,095
Series 2020-3, Class D    
2.50%, due 9/15/26 280,000 275,481
Series 2022-2, Class D    
5.80%, due 4/17/28 655,000 622,315
Huntington Bank Auto Credit-Linked Notes    
Series 2024-1, Class D    
10.595% (SOFR 30A + 5.25%), due 5/20/32 (a)(b) 430,262 432,443
OneMain Direct Auto Receivables Trust    
Series 2019-1A, Class D    
4.68%, due 4/14/31 (a) 400,000 395,311
    5,188,699
Other Asset-Backed Securities 1.7% 
AGL CLO 32 Ltd.    
Series 2024-32A, Class A1    
6.645% (3 Month SOFR + 1.38%), due 7/21/37 (Cayman Islands) (a)(b) 400,000 401,534
American Airlines Pass-Through Trust    
Series 2016-2, Class A    
3.65%, due 6/15/28 492,260 458,931
Series 2019-1, Class B    
3.85%, due 2/15/28 319,034 301,823
British Airways Pass-Through Trust    
Series 2021-1, Class A    
2.90%, due 3/15/35 (United Kingdom) (a) 738,178 654,769
CF Hippolyta Issuer LLC (a)    
Series 2021-1A, Class A1    
1.53%, due 3/15/61 315,720 296,604
Series 2020-1, Class A1    
1.69%, due 7/15/60 499,196 483,029

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
CF Hippolyta Issuer LLC (a)    
Series 2020-1, Class A2                       
1.99%, due 7/15/60 $      479,635 $     434,757
CVS Pass-Through Trust    
5.789%, due 1/10/26 (a)       7,138        7,154
Golub Capital Partners CLO 76 B Ltd.    
Series 2024-76A, Class A1                       
6.112% (3 Month SOFR + 1.37%), due 10/25/37 (Jersey, C.I.) (a)(b)     350,000      349,912
Home Partners of America Trust (a)    
Series 2021-2, Class A    
1.901%, due 12/17/26 266,111 251,500
Series 2021-2, Class B    
2.302%, due 12/17/26 249,831 236,416
HPEFS Equipment Trust    
Series 2024-1A, Class D    
5.82%, due 11/20/31 (a) 630,000 644,940
Ivy Hill Middle Market Credit Fund VII Ltd.    
Series 7A, Class AR3    
6.831% (3 Month SOFR + 1.60%), due 10/15/36 (Cayman Islands) (a)(b) 250,000 250,129
Navient Private Education Refi Loan Trust (a)    
Series 2021-BA, Class A    
0.94%, due 7/15/69 328,468 297,066
Series 2020-EA, Class A    
1.69%, due 5/15/69 230,489 214,497
New Economy Assets Phase 1 Sponsor LLC (a)    
Series 2021-1, Class A1    
1.91%, due 10/20/61 665,000 612,937
Series 2021-1, Class B1    
2.41%, due 10/20/61 255,000 229,444
OCP CLO Ltd.    
Series 2017-14A, Class A1R    
6.111% (3 Month SOFR + 1.37%), due 7/20/37 (Cayman Islands) (a)(b) 350,000 350,285
Rad CLO 25 Ltd.    
Series 2024-25A, Class A1    
6.781% (3 Month SOFR + 1.46%), due 7/20/37 (Bermuda) (a)(b) 250,000 250,241
Regatta XI Funding Ltd.    
Series 2018-1A, Class AR    
6.702% (3 Month SOFR + 1.40%), due 7/17/37 (Cayman Islands) (a)(b) 350,000 351,350
Signal Peak CLO 12 Ltd.    
Series 2022-12A, Class A1R    
6.671% (3 Month SOFR + 1.40%), due 7/18/37 (Jersey, C.I.) (a)(b) 270,000 271,480
Silver Point Scf CLO I Ltd.    
Series 2021-1A, Class A2R    
6.798% (3 Month SOFR + 1.95%), due 10/15/36 (a)(b) 250,000 250,043
Stifel SBA IO Trust    
Series 2024-1A, Class A2    
1.268%, due 6/25/50 (a)(c)(d) 8,947,460 348,110

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Subway Funding LLC    
Series 2024-3A, Class A23                       
5.914%, due 7/30/54 (a) $      500,000 $     500,393
U.S. Airways Pass-Through Trust    
Series 2012-1, Class A                       
5.90%, due 10/1/24     338,190      338,193
United Airlines Pass-Through Trust    
Series 2020-1, Class A                       
5.875%, due 10/15/27 427,504 436,234
    9,221,771
Total Asset-Backed Securities
(Cost $14,530,937)
  14,410,470
Corporate Bonds 13.2%
Aerospace & Defense 0.1% 
Boeing Co. (The) (a)    
6.528%, due 5/1/34 295,000 316,613
6.858%, due 5/1/54 310,000 340,259
    656,872
Airlines 0.4% 
American Airlines, Inc. (a)    
5.50%, due 4/20/26 350,000 349,002
5.75%, due 4/20/29 (e) 360,000 359,403
Delta Air Lines, Inc. (a)    
4.50%, due 10/20/25 194,377 193,194
4.75%, due 10/20/28 900,000 898,934
Mileage Plus Holdings LLC    
6.50%, due 6/20/27 (a) 437,250 442,688
    2,243,221
Apparel 0.0%  ‡
Tapestry, Inc.    
7.85%, due 11/27/33 230,000 249,393
Auto Manufacturers 0.8% 
Ford Motor Credit Co. LLC    
2.30%, due 2/10/25 230,000 227,426
2.70%, due 8/10/26 595,000 571,631
4.125%, due 8/17/27 485,000 472,394
6.80%, due 5/12/28 365,000 382,395
General Motors Financial Co., Inc.    
2.35%, due 1/8/31 344,000 294,454
2.70%, due 6/10/31 485,000 417,939
4.30%, due 4/6/29 470,000 460,097

  Principal
Amount
Value
Corporate Bonds
Auto Manufacturers  
Nissan Motor Acceptance Co. LLC    
1.85%, due 9/16/26 (a) $    1,350,000 $   1,265,213
    4,091,549
Banks 4.7% 
Australia & New Zealand Banking Group Ltd.    
5.731% (5 Year Treasury Constant Maturity Rate + 1.618%), due 9/18/34 (Australia) (a)(b)     585,000      602,909
Banco Santander SA (Spain)    
5.294%, due 8/18/27     600,000      613,713
6.35%, due 3/14/34 600,000 642,503
Bank of America Corp. (f)    
2.496%, due 2/13/31 650,000 589,257
2.572%, due 10/20/32 510,000 447,186
2.687%, due 4/22/32 465,000 414,719
3.384%, due 4/2/26 465,000 461,284
Series MM    
4.30%, due 1/28/25 (g) 236,000 233,955
Barclays plc (United Kingdom) (b)(g)    
4.375% (5 Year Treasury Constant Maturity Rate + 3.41%), due 3/15/28 835,000 747,376
8.00% (5 Year Treasury Constant Maturity Rate + 5.431%), due 3/15/29 260,000 273,804
BNP Paribas SA (France) (a)    
3.052%, due 1/13/31  (f) 565,000 521,322
4.625% (5 Year Treasury Constant Maturity Rate + 3.196%), due 1/12/27  (b)(g) 625,000 592,265
BPCE SA    
2.045%, due 10/19/27 (France) (a)(f) 530,000 502,547
Citigroup, Inc.    
5.411% (5 Year Treasury Constant Maturity Rate + 1.73%), due 9/19/39 (b) 425,000 423,801
6.625%, due 6/15/32 190,000 210,484
Citizens Bank NA    
6.064%, due 10/24/25 (f) 475,000 474,991
Citizens Financial Group, Inc.    
2.638%, due 9/30/32 (e) 540,000 445,272
Comerica, Inc.    
5.982%, due 1/30/30 (e)(f) 555,000 572,141
Credit Agricole SA    
4.75% (5 Year Treasury Constant Maturity Rate + 3.237%), due 3/23/29 (France) (a)(b)(e)(g) 590,000 545,050
Deutsche Bank AG (Germany)    
3.035%, due 5/28/32  (e)(f) 255,000 227,119
6.091% (SOFR + 1.219%), due 11/16/27  (b) 820,000 816,446
First Horizon Bank    
5.75%, due 5/1/30 815,000 827,514
First Horizon Corp.    
4.00%, due 5/26/25 775,000 768,064
Goldman Sachs Group, Inc. (The)    
1.431%, due 3/9/27 (f) 535,000 511,736
1.992%, due 1/27/32 (f) 480,000 410,600
6.75%, due 10/1/37 159,000 183,087

  Principal
Amount
Value
Corporate Bonds
Banks  
Huntington Bancshares, Inc.    
5.709%, due 2/2/35 (f) $      555,000 $     577,786
Intesa Sanpaolo SpA    
7.00%, due 11/21/25 (Italy) (a)     200,000      204,791
KeyBank NA    
4.90%, due 8/8/32     445,000      433,178
KeyCorp    
6.401%, due 3/6/35 (f)     270,000      293,560
Lloyds Banking Group plc (United Kingdom)    
4.582%, due 12/10/25 508,000 506,206
4.65%, due 3/24/26 1,075,000 1,072,868
4.976% (1 Year Treasury Constant Maturity Rate + 2.30%), due 8/11/33  (b) 365,000 368,637
Macquarie Group Ltd.    
2.871%, due 1/14/33 (Australia) (a)(f) 820,000 712,246
Mizuho Financial Group, Inc.    
5.579% (1 Year Treasury Constant Maturity Rate + 1.30%), due 5/26/35 (Japan) (b) 310,000 327,143
Morgan Stanley (f)    
2.484%, due 9/16/36 885,000 740,522
2.511%, due 10/20/32 645,000 563,018
NatWest Group plc    
5.778% (1 Year Treasury Constant Maturity Rate + 1.50%), due 3/1/35 (United Kingdom) (b) 355,000 377,513
Nordea Bank Abp    
6.30% (5 Year Treasury Constant Maturity Rate + 2.66%), due 9/25/31 (Finland) (a)(b)(g) 425,000 421,214
Santander Holdings USA, Inc.    
6.499%, due 3/9/29 (f) 340,000 356,039
Societe Generale SA (France) (a)(b)(g)    
4.75% (5 Year Treasury Constant Maturity Rate + 3.931%), due 5/26/26 395,000 369,883
5.375% (5 Year Treasury Constant Maturity Rate + 4.514%), due 11/18/30 810,000 694,551
Standard Chartered plc    
1.822% (1 Year Treasury Constant Maturity Rate + 0.95%), due 11/23/25 (United Kingdom) (a)(b) 550,000 547,218
Truist Financial Corp.    
5.153%, due 8/5/32 (f) 540,000 553,076
UBS Group AG (Switzerland) (a)    
3.091%, due 5/14/32  (f) 500,000 450,877
4.375% (5 Year Treasury Constant Maturity Rate + 3.313%), due 2/10/31  (b)(g) 1,005,000 875,045
4.751% (1 Year Treasury Constant Maturity Rate + 1.75%), due 5/12/28  (b) 160,000 161,022
6.442%, due 8/11/28  (f) 245,000 257,741
Wells Fargo & Co. (f)    
3.35%, due 3/2/33 390,000 356,528
5.499%, due 1/23/35 610,000 639,456
Westpac Banking Corp.    
3.02% (5 Year Treasury Constant Maturity Rate + 1.53%), due 11/18/36 (Australia) (b) 533,000 462,588
    25,381,851
Biotechnology 0.1% 
Amgen, Inc.    
5.75%, due 3/2/63 250,000 263,882

  Principal
Amount
Value
Corporate Bonds
Chemicals 0.4% 
Braskem Netherlands Finance BV    
4.50%, due 1/10/28 (Brazil) (a) $      745,000 $     702,600
Huntsman International LLC    
4.50%, due 5/1/29     731,000      717,618
Sasol Financing USA LLC    
8.75%, due 5/3/29 (South Africa) (a)     650,000     687,441
    2,107,659
Commercial Services 0.1% 
Ashtead Capital, Inc.    
4.00%, due 5/1/28 (United Kingdom) (a) 380,000 370,135
Computers 0.3% 
Dell International LLC    
3.375%, due 12/15/41 885,000 695,103
5.30%, due 10/1/29 318,000 331,220
8.10%, due 7/15/36 527,000 656,423
    1,682,746
Diversified Financial Services 1.4% 
AerCap Ireland Capital DAC    
2.45%, due 10/29/26 (Ireland) 665,000 638,598
Air Lease Corp.    
2.30%, due 2/1/25 820,000 811,873
Ally Financial, Inc.    
6.992%, due 6/13/29 (f) 265,000 280,135
8.00%, due 11/1/31 640,000 724,555
Aviation Capital Group LLC    
1.95%, due 1/30/26 (a) 520,000 500,965
Avolon Holdings Funding Ltd. (Ireland) (a)    
2.125%, due 2/21/26 645,000 620,516
2.875%, due 2/15/25 1,040,000 1,029,135
Banco BTG Pactual SA    
2.75%, due 1/11/26 (Brazil) (a) 505,000 489,614
Capital One Financial Corp. (f)    
6.051%, due 2/1/35 (e) 205,000 217,063
6.312%, due 6/8/29 515,000 542,473
Jefferies Financial Group, Inc.    
6.20%, due 4/14/34 360,000 385,377
Nomura Holdings, Inc.    
5.099%, due 7/3/25 (Japan) 770,000 771,257
OneMain Finance Corp.    
3.50%, due 1/15/27 375,000 358,433
7.50%, due 5/15/31 415,000 427,189
    7,797,183

  Principal
Amount
Value
Corporate Bonds
Electric 1.3% 
AEP Texas, Inc.    
4.70%, due 5/15/32 $      475,000 $     476,690
Alabama Power Co.    
3.00%, due 3/15/52     335,000      235,247
Arizona Public Service Co.    
2.20%, due 12/15/31     750,000      634,972
Calpine Corp.    
5.125%, due 3/15/28 (a)     290,000      285,967
Duke Energy Ohio, Inc.    
4.30%, due 2/1/49 565,000 488,764
Duquesne Light Holdings, Inc.    
3.616%, due 8/1/27 (a) 865,000 845,085
EnfraGen Energia Sur SA    
5.375%, due 12/30/30 (Colombia) (a) 425,000 366,145
Evergy Metro, Inc.    
5.40%, due 4/1/34 470,000 491,192
Eversource Energy    
5.95%, due 7/15/34 535,000 575,006
Jersey Central Power & Light Co.    
2.75%, due 3/1/32 (a) 700,000 612,902
Nevada Power Co.    
Series GG    
5.90%, due 5/1/53 230,000 249,406
Ohio Power Co.    
Series R    
2.90%, due 10/1/51 420,000 276,052
Public Service Co. of Oklahoma    
5.25%, due 1/15/33 200,000 205,915
Southern California Edison Co.    
4.00%, due 4/1/47 520,000 434,654
5.70%, due 3/1/53 165,000 174,105
Virginia Electric and Power Co.    
2.95%, due 11/15/51 435,000 296,087
5.45%, due 4/1/53 225,000 233,186
Vistra Operations Co. LLC    
6.875%, due 4/15/32 (a) 300,000 315,578
    7,196,953
Engineering & Construction 0.0%  ‡
Great Lakes Dredge & Dock Corp.    
5.25%, due 6/1/29 (a) 215,000 199,854
Entertainment 0.0%  ‡
Warnermedia Holdings, Inc.    
4.279%, due 3/15/32 (e) 200,000 177,667

  Principal
Amount
Value
Corporate Bonds
Food 0.3% 
JBS USA Holding LUX SARL    
5.75%, due 4/1/33 $      589,000 $     610,251
Minerva Luxembourg SA    
8.875%, due 9/13/33 (Brazil) (a)     630,000      686,929
Smithfield Foods, Inc.    
4.25%, due 2/1/27 (a)     500,000     491,700
    1,788,880
Forest Products & Paper 0.1% 
Suzano Austria GmbH    
3.75%, due 1/15/31 (Brazil) 625,000 575,944
Gas 0.3% 
Brooklyn Union Gas Co. (The)    
6.388%, due 9/15/33 (a) 425,000 462,780
National Fuel Gas Co.    
2.95%, due 3/1/31 450,000 397,192
Southern California Gas Co.    
Series VV    
4.30%, due 1/15/49 325,000 280,147
Southern Co. Gas Capital Corp.    
Series 21A    
3.15%, due 9/30/51 830,000 573,537
    1,713,656
Healthcare-Services 0.1% 
Prime Healthcare Services, Inc.    
9.375%, due 9/1/29 (a)(e) 330,000 340,390
Insurance 0.3% 
Athene Holding Ltd.    
6.25%, due 4/1/54 (e) 320,000 341,135
Peachtree Corners Funding Trust    
3.976%, due 2/15/25 (a) 425,000 422,827
Reliance Standard Life Global Funding II    
2.50%, due 10/30/24 (a) 950,000 947,877
    1,711,839
Lodging 0.3% 
Hilton Domestic Operating Co., Inc.    
5.875%, due 4/1/29 (a) 550,000 563,885
Sands China Ltd.    
5.125%, due 8/8/25 (Macao) (h) 460,000 459,004
Studio City Finance Ltd.    
5.00%, due 1/15/29 (Macao) (a) 505,000 464,233
    1,487,122

  Principal
Amount
Value
Corporate Bonds
Machinery—Construction & Mining 0.1% 
Terex Corp.    
6.25%, due 10/15/32 (a) $      425,000 $     425,000
Mining 0.1% 
Perenti Finance Pty. Ltd.    
7.50%, due 4/26/29 (Australia) (a)     365,000     380,074
Miscellaneous—Manufacturing 0.2% 
Textron Financial Corp.    
7.115% (3 Month SOFR + 1.997%), due 2/15/42 (a)(b)   1,020,000     914,572
Oil & Gas 0.0%  ‡
Gazprom PJSC Via Gaz Capital SA    
7.288%, due 8/16/37 (Russia) (a)(i) 325,000 209,625
Packaging & Containers 0.1% 
Berry Global, Inc.    
4.875%, due 7/15/26 (a) 40,000 39,936
Owens-Brockway Glass Container, Inc.    
6.625%, due 5/13/27 (a) 320,000 321,505
    361,441
Pharmaceuticals 0.2% 
Teva Pharmaceutical Finance Netherlands III BV (Israel)    
3.15%, due 10/1/26 360,000 346,034
4.75%, due 5/9/27 545,000 537,321
    883,355
Pipelines 1.0% 
Cheniere Corpus Christi Holdings LLC    
2.742%, due 12/31/39 670,000 556,223
Columbia Pipelines Operating Co. LLC    
6.544%, due 11/15/53 (a) 360,000 405,456
DT Midstream, Inc.    
4.30%, due 4/15/32 (a) 500,000 467,862
Energy Transfer LP    
5.35%, due 5/15/45 415,000 395,354
EnLink Midstream LLC    
5.625%, due 1/15/28 (a) 260,000 266,126
Flex Intermediate Holdco LLC    
3.363%, due 6/30/31 (a) 865,000 757,963
MPLX LP    
2.65%, due 8/15/30 730,000 657,040
Targa Resources Corp.    
4.20%, due 2/1/33 335,000 317,209
Transcontinental Gas Pipe Line Co. LLC    
4.60%, due 3/15/48 840,000 737,513

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Venture Global LNG, Inc.    
7.00%, due 1/15/30 (a) $      276,000 $     281,966
Western Midstream Operating LP    
5.25%, due 2/1/50 (h)     630,000     571,332
    5,414,044
Real Estate Investment Trusts 0.3% 
GLP Capital LP    
4.00%, due 1/15/30     810,000      773,431
Starwood Property Trust, Inc. (a)    
3.75%, due 12/31/24 710,000 705,977
4.375%, due 1/15/27 415,000 404,411
    1,883,819
Retail 0.1% 
AutoNation, Inc.    
4.75%, due 6/1/30 308,000 306,547
Telecommunications 0.1% 
AT&T, Inc.    
3.50%, due 9/15/53 680,000 499,578
Transportation 0.0%  ‡
Genesee & Wyoming, Inc.    
6.25%, due 4/15/32 (a) 245,000 251,946
Water 0.0%  ‡
Aegea Finance SARL    
9.00%, due 1/20/31 (Brazil) (a) 210,000 227,286
Total Corporate Bonds
(Cost $74,817,331)
  71,794,083
Foreign Government Bonds 0.6%
Argentina 0.1% 
Argentina Government Bond    
4.125%, due 7/9/35 (h) 800,000 384,000
Chile 0.0%  ‡
Empresa Nacional del Petroleo    
3.45%, due 9/16/31 (a) 320,000 288,787
Colombia 0.1% 
Colombia Government Bond    
3.25%, due 4/22/32 725,000 584,107

  Principal
Amount
Value
Foreign Government Bonds
Dominican Republic 0.1% 
Dominican Republic Government Bond    
4.875%, due 9/23/32 (a) $      620,000 $     589,463
Egypt 0.1% 
Egypt Government Bond    
7.625%, due 5/29/32 (a)     520,000     460,376
Israel 0.1% 
Israel Government Bond    
5.75%, due 3/12/54     585,000     556,253
Paraguay 0.1% 
Paraguay Government Bond    
6.10%, due 8/11/44 (a) 685,000 702,275
Total Foreign Government Bonds
(Cost $3,564,148)
  3,565,261
Loan Assignments 0.1%
Diversified/Conglomerate Service 0.1% 
TruGreen Ltd. Partnership    
First Lien Term Loan B    
8.845% (1 Month SOFR + 4.00%), due 11/2/27 (b) 309,706 298,866
Total Loan Assignments
(Cost $308,342)
  298,866
Mortgage-Backed Securities 14.1%
Agency (Collateralized Mortgage Obligations) 5.9% 
FHLMC    
REMIC, Series 5326, Class QO    
(zero coupon), due 9/25/50 769,004 529,512
REMIC, Series 5021, Class SA    
(zero coupon) (SOFR 30A + 3.55%), due 10/25/50 (b)(c) 1,178,192 50,852
REMIC, Series 5092, Class SH    
(zero coupon) (SOFR 30A + 2.45%), due 2/25/51 (b)(c) 683,088 5,579
REMIC, Series 5187, Class SA    
(zero coupon) (SOFR 30A + 1.80%), due 1/25/52 (b)(c) 896,522 1,936
REMIC, Series 5200, Class SA    
(zero coupon) (SOFR 30A + 3.50%), due 2/25/52 (b)(c) 168,475 6,516
REMIC, Series 5351, Class DO    
(zero coupon), due 9/25/53 442,043 384,433
REMIC, Series 5351, Class EO    
(zero coupon), due 10/25/53 854,050 740,155
REMIC, Series 5315, Class OQ    
(zero coupon), due 1/25/55 359,848 300,204

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
FHLMC    
REMIC, Series 4993, Class KS                       
0.655% (SOFR 30A + 5.936%), due 7/25/50 (b)(c) $    1,441,654 $     217,449
REMIC, Series 4994, Class TS                       
0.705% (SOFR 30A + 5.986%), due 7/25/50 (b)(c)     753,679       98,754
REMIC, Series 4831, Class SA                       
0.743% (SOFR 30A + 6.086%), due 10/15/48 (b)(c)     675,552       95,477
REMIC, Series 5092, Class XA                       
1.00%, due 1/15/41 400,478 345,328
REMIC, Series 5136, Class ZJ    
2.50%, due 8/25/51 441,254 280,904
REMIC, Series 5204, Class KA    
3.00%, due 5/25/49 844,281 798,307
REMIC, Series 5070, Class PI    
3.00%, due 8/25/50 (c) 799,599 141,893
REMIC, Series 5011, Class MI    
3.00%, due 9/25/50 (c) 744,114 123,466
REMIC, Series 5023, Class LI    
3.00%, due 10/25/50 (c) 530,102 90,617
REMIC, Series 5094, Class IP    
3.00%, due 4/25/51 (c) 594,385 95,163
REMIC, Series 5160    
3.00%, due 10/25/51 (c) 624,222 67,345
REMIC, Series 4710, Class WZ    
3.50%, due 8/15/47 518,761 483,197
REMIC, Series 4725, Class WZ    
3.50%, due 11/15/47 923,252 856,905
REMIC, Series 5040    
3.50%, due 11/25/50 (c) 436,459 82,912
REMIC, Series 5268, Class B    
4.50%, due 10/25/52 567,241 557,746
FHLMC, Strips    
Series 272    
(zero coupon), due 8/15/42 498,529 391,603
Series 311    
(zero coupon), due 8/15/43 264,558 197,516
Series 402    
(zero coupon), due 9/25/53 518,054 437,494
Series 311, Class S1    
0.493% (SOFR 30A + 5.836%), due 8/15/43 (b)(c) 1,450,143 167,353
Series 389, Class C35    
2.00%, due 6/15/52 (c) 1,258,194 158,499
FNMA    
REMIC, Series 2022-5, Class SN    
(zero coupon) (SOFR 30A + 1.80%), due 2/25/52 (b)(c) 543,519 420
REMIC, Series 2022-3, Class YS    
(zero coupon) (SOFR 30A + 2.55%), due 2/25/52 (b)(c) 3,623,699 37,369

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
FNMA    
REMIC, Series 2023-70, Class AO                       
(zero coupon), due 3/25/53 $      424,450 $     349,094
REMIC, Series 2023-24, Class OQ                       
(zero coupon), due 7/25/54     469,006      394,932
REMIC, Series 2022-10, Class SA                       
0.47% (SOFR 30A + 5.75%), due 2/25/52 (b)(c)     807,296      131,294
REMIC, Series 2021-40, Class SI                       
0.555% (SOFR 30A + 5.836%), due 9/25/47 (b)(c) 884,021 107,505
REMIC, Series 2016-57, Class SN    
0.655% (SOFR 30A + 5.936%), due 6/25/46 (b)(c) 726,993 92,379
REMIC, Series 2020-70, Class SD    
0.855% (SOFR 30A + 6.136%), due 10/25/50 (b)(c) 993,139 146,056
REMIC, Series 2021-3, Class TI    
2.50%, due 2/25/51 (c) 1,375,640 222,241
REMIC, Series 2021-12, Class JI    
2.50%, due 3/25/51 (c) 523,311 81,282
REMIC, Series 2021-10, Class LI    
2.50%, due 3/25/51 (c) 354,334 49,031
REMIC, Series 2021-34, Class MI    
2.50%, due 3/25/51 (c) 1,492,844 201,329
REMIC, Series 2021-54, Class HI    
2.50%, due 6/25/51 (c) 232,770 30,329
REMIC, Series 2021-57, Class ZW    
2.50%, due 7/25/51 457,880 289,135
REMIC, Series 2021-53, Class GI    
3.00%, due 7/25/48 (c) 1,963,418 278,737
REMIC, Series 2021-85, Class BI    
3.00%, due 12/25/51 (c) 1,363,625 230,032
REMIC, Series 2021-8, Class ID    
3.50%, due 3/25/51 (c) 933,584 194,722
FNMA, Strips (c)    
Series 426, Class C32    
1.50%, due 2/25/52 2,180,636 211,023
Series 429, Class C5    
3.00%, due 10/25/52 2,008,632 323,600
GNMA    
REMIC, Series 2019-136, Class YS    
(zero coupon) (1 Month SOFR + 2.716%), due 11/20/49 (b)(c) 401,904 3,175
REMIC, Series 2020-1, Class YS    
(zero coupon) (1 Month SOFR + 2.716%), due 1/20/50 (b)(c) 1,344,501 23,655
REMIC, Series 2021-16, Class AS    
(zero coupon) (1 Month SOFR + 2.636%), due 1/20/51 (b)(c) 2,262,618 29,624
REMIC, Series 2023-101, Class KO    
(zero coupon), due 1/20/51 1,088,118 744,692
REMIC, Series 2021-29, Class AS    
(zero coupon) (SOFR 30A + 2.70%), due 2/20/51 (b)(c) 2,190,027 40,444

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA    
REMIC, Series 2021-46, Class BS                       
(zero coupon) (1 Month SOFR + 2.686%), due 3/20/51 (b)(c) $    2,096,947 $      26,987
REMIC, Series 2021-64, Class GS                       
(zero coupon) (SOFR 30A + 1.65%), due 4/20/51 (b)(c)     350,275          524
REMIC, Series 2021-64, Class SG                       
(zero coupon) (SOFR 30A + 1.60%), due 4/20/51 (b)(c)     788,120        1,141
REMIC, Series 2021-77, Class SN                       
(zero coupon) (1 Month SOFR + 2.486%), due 5/20/51 (b)(c) 2,962,480 27,402
REMIC, Series 2021-97, Class SA    
(zero coupon) (SOFR 30A + 2.60%), due 6/20/51 (b)(c) 2,462,052 23,359
REMIC, Series 2021-136, Class SB    
(zero coupon) (SOFR 30A + 3.20%), due 8/20/51 (b)(c) 6,941,061 128,112
REMIC, Series 2021-158, Class SB    
(zero coupon) (SOFR 30A + 3.70%), due 9/20/51 (b)(c) 1,443,721 72,684
REMIC, Series 2021-205, Class DS    
(zero coupon) (SOFR 30A + 3.20%), due 11/20/51 (b)(c) 2,980,118 91,205
REMIC, Series 2021-226, Class SA    
(zero coupon) (SOFR 30A + 1.70%), due 12/20/51 (b)(c) 1,558,818 3,749
REMIC, Series 2022-19, Class SG    
(zero coupon) (SOFR 30A + 2.45%), due 1/20/52 (b)(c) 2,265,996 22,607
REMIC, Series 2022-24, Class SC    
(zero coupon) (SOFR 30A + 2.37%), due 2/20/52 (b)(c) 11,579,059 79,552
REMIC, Series 2022-78, Class S    
(zero coupon) (SOFR 30A + 3.70%), due 4/20/52 (b)(c) 1,151,619 31,440
REMIC, Series 2022-87, Class SA    
(zero coupon) (SOFR 30A + 3.30%), due 5/20/52 (b)(c) 2,379,354 36,757
REMIC, Series 2022-107, Class SA    
(zero coupon) (SOFR 30A + 3.47%), due 6/20/52 (b)(c) 5,994,685 156,513
REMIC, Series 2022-101, Class SB    
(zero coupon) (SOFR 30A + 3.30%), due 6/20/52 (b)(c) 1,192,315 18,419
REMIC, Series 2023-66, Class OQ    
(zero coupon), due 7/20/52 641,647 516,690
REMIC, Series 2023-53    
(zero coupon), due 4/20/53 283,652 229,403
REMIC, Series 2023-114, Class MO    
(zero coupon), due 8/20/53 313,035 272,952
REMIC, Series 2023-80, Class SA    
0.36% (SOFR 30A + 5.25%), due 6/20/53 (b)(c) 2,683,438 147,214
REMIC, Series 2023-60, Class ES    
0.509% (SOFR 30A + 11.20%), due 4/20/53 (b) 616,277 596,005
REMIC, Series 2019-115, Class SA    
0.975% (1 Month SOFR + 5.936%), due 9/20/49 (b)(c) 1,028,760 137,565
REMIC, Series 2020-34, Class SC    
0.975% (1 Month SOFR + 5.936%), due 3/20/50 (b)(c) 968,237 132,268
REMIC, Series 2023-47, Class KS    
1.025% (1 Month SOFR + 5.986%), due 4/20/48 (b)(c) 2,767,972 365,187

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA    
REMIC, Series 2020-146, Class SA                       
1.225% (1 Month SOFR + 6.186%), due 10/20/50 (b)(c) $      922,054 $     141,569
REMIC, Series 2020-175, Class CS                       
1.225% (1 Month SOFR + 6.186%), due 11/20/50 (b)(c)     981,175      141,608
REMIC, Series 2021-179, Class SA                       
1.225% (1 Month SOFR + 6.186%), due 11/20/50 (b)(c)   1,354,825      207,137
REMIC, Series 2020-167, Class SN                       
1.225% (1 Month SOFR + 6.186%), due 11/20/50 (b)(c) 461,556 74,301
REMIC, Series 2020-189, Class SU    
1.225% (1 Month SOFR + 6.186%), due 12/20/50 (b)(c) 610,767 99,955
REMIC, Series 2021-46, Class QS    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 544,087 86,051
REMIC, Series 2021-57, Class SA    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 2,073,531 298,035
REMIC, Series 2021-57, Class SD    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 3,511,673 521,623
REMIC, Series 2021-46, Class TS    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 663,484 105,822
REMIC, Series 2021-96, Class SN    
1.225% (1 Month SOFR + 6.186%), due 6/20/51 (b)(c) 1,171,483 167,804
REMIC, Series 2021-122, Class HS    
1.225% (1 Month SOFR + 6.186%), due 7/20/51 (b)(c) 1,130,502 168,275
REMIC, Series 2022-137, Class S    
1.225% (1 Month SOFR + 6.186%), due 7/20/51 (b)(c) 1,214,640 178,643
REMIC, Series 2021-135, Class GS    
1.225% (1 Month SOFR + 6.186%), due 8/20/51 (b)(c) 1,830,496 285,521
REMIC, Series 2021-96, Class JS    
1.275% (1 Month SOFR + 6.236%), due 6/20/51 (b)(c) 965,081 152,147
REMIC, Series 2023-86, Class SE    
1.305% (SOFR 30A + 6.65%), due 9/20/50 (b)(c) 814,119 132,503
REMIC, Series 2023-66, Class MP    
1.609% (SOFR 30A + 12.30%), due 5/20/53 (b) 657,723 644,425
REMIC, Series 2020-166, Class IC    
2.00%, due 11/20/50 (c) 316,561 31,655
REMIC, Series 2020-188    
2.00%, due 12/20/50 (c) 1,447,009 162,238
REMIC, Series 2020-185, Class BI    
2.00%, due 12/20/50 (c) 688,857 75,528
REMIC, Series 2021-30, Class HI    
2.00%, due 2/20/51 (c) 2,017,358 204,036
REMIC, Series 2022-10, Class IC    
2.00%, due 11/20/51 (c) 1,005,578 117,566
REMIC, Series 2021-97, Class IN    
2.50%, due 8/20/49 (c) 1,952,176 187,666
REMIC, Series 2022-1, Class IA    
2.50%, due 6/20/50 (c) 242,267 31,741

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA    
REMIC, Series 2020-122, Class IW                       
2.50%, due 7/20/50 (c) $      857,388 $     111,296
REMIC, Series 2020-151, Class TI                       
2.50%, due 10/20/50 (c)     811,441      113,312
REMIC, Series 2020-188, Class DI                       
2.50%, due 12/20/50 (c)   1,993,318      270,057
REMIC, Series 2021-1, Class PI                       
2.50%, due 12/20/50 (c) 557,710 70,133
REMIC, Series 2021-83, Class FM    
2.50% (SOFR 30A + 0.51%), due 5/20/51 (b) 923,508 783,348
REMIC, Series 2021-140, Class GF    
2.50% (1 Month SOFR + 0.764%), due 8/20/51 (b) 489,614 417,093
REMIC, Series 2021-188    
2.50%, due 10/20/51 (c) 1,609,361 267,332
REMIC, Series 2022-83    
2.50%, due 11/20/51 (c) 1,263,094 177,964
REMIC, Series 2021-1, Class IT    
3.00%, due 1/20/51 (c) 1,258,556 204,342
REMIC, Series 2021-44, Class IQ    
3.00%, due 3/20/51 (c) 1,308,488 209,256
REMIC, Series 2021-74, Class HI    
3.00%, due 4/20/51 (c) 164,523 25,594
REMIC, Series 2021-67, Class PI    
3.00%, due 4/20/51 (c) 763,303 123,514
REMIC, Series 2021-97, Class FA    
3.00% (SOFR 30A + 0.40%), due 6/20/51 (b) 1,466,403 1,290,214
REMIC, Series 2021-98, Class IN    
3.00%, due 6/20/51 (c) 604,011 108,257
REMIC, Series 2022-207    
3.00%, due 8/20/51 (c) 794,231 127,102
REMIC, Series 2021-139, Class IA    
3.00%, due 8/20/51 (c) 1,924,891 321,611
REMIC, Series 2021-158, Class NI    
3.00%, due 9/20/51 (c) 1,602,459 240,372
REMIC, Series 2021-177, Class IM    
3.00%, due 10/20/51 (c) 1,360,915 210,387
REMIC, Series 2023-19, Class CI    
3.00%, due 11/20/51 (c) 1,204,798 191,691
REMIC, Series 2019-92, Class GF    
3.50% (1 Month SOFR + 0.804%), due 7/20/49 (b) 248,979 227,087
REMIC, Series 2019-97, Class FG    
3.50% (1 Month SOFR + 0.804%), due 8/20/49 (b) 653,864 596,045
REMIC, Series 2019-128, Class KF    
3.50% (1 Month SOFR + 0.764%), due 10/20/49 (b) 258,437 235,105
REMIC, Series 2019-128, Class YF    
3.50% (1 Month SOFR + 0.764%), due 10/20/49 (b) 266,678 242,658

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA    
REMIC, Series 2020-5, Class FA                       
3.50% (1 Month SOFR + 0.814%), due 1/20/50 (b) $      706,894 $     646,333
REMIC, Series 2020-1, Class YF                       
3.50% (1 Month SOFR + 0.784%), due 1/20/50 (b)     488,301      439,172
REMIC, Series 2021-146, Class IN                       
3.50%, due 8/20/51 (c)   1,661,954      292,156
REMIC, Series 2023-1, Class HD                       
3.50%, due 1/20/52 472,915 435,391
REMIC, Series 2019-106, Class FA    
4.00% (1 Month SOFR + 0.714%), due 8/20/49 (b) 264,850 247,149
REMIC, Series 2022-69, Class FA    
4.50% (SOFR 30A + 0.75%), due 4/20/52 (b) 235,784 223,627
REMIC, Series 2023-81, Class LA    
5.00%, due 6/20/52 304,432 304,912
REMIC, Series 2023-38, Class WT    
6.651%, due 12/20/51 (j) 287,572 310,288
REMIC, Series 2023-59, Class YC    
6.955%, due 9/20/51 (j) 638,492 704,453
REMIC, Series 2023-55, Class CG    
7.506%, due 7/20/51 (j) 490,422 556,936
REMIC, Series 2023-55, Class LB    
7.822%, due 11/20/51 (j) 463,728 539,510
Multifamily Connecticut Avenue Securities Trust (a)(b)    
Series 2020-01, Class M10    
9.145% (SOFR 30A + 3.864%), due 3/25/50 585,196 591,812
Series 2023-01, Class M10    
11.78% (SOFR 30A + 6.50%), due 11/25/53 880,000 985,212
    32,093,520
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 3.6% 
Alen Mortgage Trust    
Series 2021-ACEN, Class A    
6.361% (1 Month SOFR + 1.264%), due 4/15/34 (a)(b) 480,000 434,400
BANK    
Series 2019-BN19, Class C    
4.162%, due 8/15/61 (d) 685,000 547,470
Series 2017-BNK4, Class C    
4.372%, due 5/15/50 (j) 520,000 442,000
Bayview Commercial Asset Trust    
Series 2006-4A, Class A1    
5.314% (1 Month SOFR + 0.459%), due 12/25/36 (a)(b) 18,203 17,562
BBCMS Mortgage Trust (a)    
Series 2022-C16, Class D    
2.50%, due 6/15/55 (j) 575,000 352,154
Series 2018-TALL, Class C    
6.415% (1 Month SOFR + 1.318%), due 3/15/37 (b) 905,000 796,400

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
BBCMS Mortgage Trust (a)    
Series 2018-TALL, Class D                       
6.743% (1 Month SOFR + 1.646%), due 3/15/37 (b) $    1,090,000 $     931,950
Benchmark Mortgage Trust (d)    
Series 2018-B6, Class D                       
3.243%, due 10/10/51 (a)     425,000      316,148
Series 2019-B15, Class C                       
3.836%, due 12/15/72     590,000      462,808
Series 2019-B14, Class C    
3.897%, due 12/15/62 790,000 606,487
Series 2018-B1, Class C    
4.317%, due 1/15/51 700,000 581,662
Series 2018-B3, Class C    
4.665%, due 4/10/51 635,000 531,391
BWAY Mortgage Trust    
Series 2013-1515, Class B    
3.473%, due 3/10/33 (a) 565,000 528,996
BX Commercial Mortgage Trust    
Series 2022-CSMO, Class D    
9.434% (1 Month SOFR + 4.337%), due 6/15/27 (a)(b) 350,000 351,969
CFCRE Commercial Mortgage Trust (a)(d)    
Series 2016-C3, Class D    
3.052%, due 1/10/48 365,000 325,020
Series 2011-C2, Class E    
5.08%, due 12/15/47 245,000 210,933
Citigroup Commercial Mortgage Trust    
Series 2018-B2, Class D    
3.307%, due 3/10/51 (a)(d) 605,000 429,233
Series 2016-C2, Class C    
4.031%, due 8/10/49 (j) 365,000 342,532
Series 2014-GC25, Class B    
4.345%, due 10/10/47 (j) 600,000 591,787
Commercial Mortgage Trust (d)    
Series 2014-CR15, Class D    
4.104%, due 2/10/47 (a) 640,000 575,746
Series 2014-CR17, Class C    
4.941%, due 5/10/47 330,000 301,241
Series 2012-LC4, Class C    
5.479%, due 12/10/44 380,000 337,973
CONE Trust    
Series 2024-DFW1, Class E    
8.985% (1 Month SOFR + 3.888%), due 8/15/41 (a)(b) 275,000 274,541
CSAIL Commercial Mortgage Trust    
Series 2016-C6, Class D    
5.082%, due 1/15/49 (a)(d) 675,000 517,980
DROP Mortgage Trust    
Series 2021-FILE, Class A    
6.361% (1 Month SOFR + 1.264%), due 10/15/43 (a)(b) 430,000 407,156

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
GNMA    
REMIC, Series 2023-194, Class CI                       
0.876%, due 10/16/65 (c)(d) $    2,259,206 $     158,158
REMIC, Series 2021-164                       
0.949%, due 10/16/63 (c)(d)   1,881,134      138,506
REMIC, Series 2023-159, Class CI                       
0.956%, due 7/16/65 (c)(j)   2,977,663      232,519
REMIC, Series 2020-168, Class IA                       
0.979%, due 12/16/62 (c)(d) 1,424,984 103,797
REMIC, Series 2021-47    
0.992%, due 3/16/61 (c)(d) 3,317,702 227,011
REMIC, Series 2022-185, Class DI    
1.023%, due 10/16/65 (c)(d) 1,270,345 94,824
REMIC, Series 2023-172    
1.386%, due 2/16/66 (c)(d) 2,061,732 205,862
REMIC, Series 2022-164, Class A    
2.20%, due 8/16/62 490,718 455,982
REMIC, Series 2024-29, Class B    
2.50%, due 8/16/64 (j) 610,000 480,060
J.P. Morgan Chase Commercial Mortgage Securities Trust (a)(d)    
Series 2021-1MEM, Class C    
2.742%, due 10/9/42 550,000 389,327
Series 2012-C6, Class E    
5.129%, due 5/15/45 375,000 338,942
JPMDB Commercial Mortgage Securities Trust    
Series 2017-C7, Class D    
3.00%, due 10/15/50 (a) 540,000 418,265
Morgan Stanley Capital I Trust    
Series 2018-H3, Class D    
3.00%, due 7/15/51 (a) 560,000 461,306
Multifamily Connecticut Avenue Securities Trust (a)(b)    
Series 2019-01, Class B10    
10.895% (SOFR 30A + 5.614%), due 10/25/49 545,000 554,749
Series 2020-01, Class CE    
12.895% (SOFR 30A + 7.614%), due 3/25/50 520,000 531,648
ORL Trust (a)(b)    
Series 2023-GLKS, Class C    
8.747% (1 Month SOFR + 3.651%), due 10/19/36 395,000 396,234
Series 2023-GLKS, Class D    
9.398% (1 Month SOFR + 4.301%), due 10/19/36 320,000 321,100
TX Trust    
Series 2024-HOU, Class E    
9.484% (1 Month SOFR + 4.387%), due 6/15/39 (a)(b) 375,000 371,974
UBS Commercial Mortgage Trust    
Series 2018-C10, Class D    
3.00%, due 5/15/51 (a) 385,000 292,490
Series 2018-C9, Class C    
5.111%, due 3/15/51 (d) 480,000 368,608

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
Wells Fargo Commercial Mortgage Trust (a)    
Series 2018-C43, Class D                       
3.00%, due 3/15/51 $      135,000 $     108,557
Series 2017-C39, Class D                       
4.508%, due 9/15/50 (d)     285,000      229,040
Series 2022-ONL, Class E                       
5.092%, due 12/15/39 (d)     535,000      456,845
WFRBS Commercial Mortgage Trust    
Series 2013-C11, Class D    
4.198%, due 3/15/45 (a)(d) 540,000 433,002
WP Glimcher Mall Trust    
Series 2015-WPG, Class C    
3.633%, due 6/5/35 (a)(d) 600,000 512,991
    19,497,336
Whole Loan (Collateralized Mortgage Obligations) 4.6% 
CIM Trust    
Series 2021-J2, Class AS    
0.21%, due 4/25/51 (a)(c)(j) 17,156,740 205,081
Connecticut Avenue Securities Trust (a)(b)    
Series 2024-R03, Class 2M2    
7.213% (SOFR 30A + 1.95%), due 3/25/44 295,000 297,153
Series 2020-SBT1, Class 1M2    
9.045% (SOFR 30A + 3.764%), due 2/25/40 355,000 375,343
Series 2022-R01, Class 1B2    
11.28% (SOFR 30A + 6.00%), due 12/25/41 940,000 987,274
Series 2020-SBT1, Class 1B1    
12.145% (SOFR 30A + 6.864%), due 2/25/40 200,000 216,542
Series 2019-HRP1, Class B1    
14.645% (SOFR 30A + 9.364%), due 11/25/39 1,000,000 1,112,240
Series 2022-R03, Class 1B2    
15.13% (SOFR 30A + 9.85%), due 3/25/42 270,000 306,112
CSMC Trust    
Series 2021-NQM2, Class A1    
1.179%, due 2/25/66 (a)(j) 391,589 349,527
FHLMC STACR REMIC Trust (a)(b)    
Series 2021-HQA1, Class B1    
8.28% (SOFR 30A + 3.00%), due 8/25/33 990,000 1,091,953
Series 2020-DNA6, Class B1    
8.28% (SOFR 30A + 3.00%), due 12/25/50 300,000 324,142
Series 2021-DNA5, Class B1    
8.33% (SOFR 30A + 3.05%), due 1/25/34 1,115,000 1,196,540
Series 2021-HQA2, Class B1    
8.43% (SOFR 30A + 3.15%), due 12/25/33 535,000 591,175
Series 2020-HQA5, Class B1    
9.28% (SOFR 30A + 4.00%), due 11/25/50 1,080,000 1,218,204
Series 2021-DNA1, Class B2    
10.03% (SOFR 30A + 4.75%), due 1/25/51 1,120,000 1,201,046

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
FHLMC STACR REMIC Trust (a)(b)    
Series 2020-DNA2, Class B2                       
10.195% (SOFR 30A + 4.914%), due 2/25/50 $      850,000 $     913,900
Series 2021-HQA1, Class B2                       
10.28% (SOFR 30A + 5.00%), due 8/25/33     760,700      833,395
Series 2020-HQA1, Class B2                       
10.495% (SOFR 30A + 5.214%), due 1/25/50     955,000    1,041,408
Series 2022-HQA3, Class M2                       
10.63% (SOFR 30A + 5.35%), due 8/25/42 880,000 958,443
Series 2021-HQA2, Class B2    
10.73% (SOFR 30A + 5.45%), due 12/25/33 615,000 690,048
Series 2021-DNA5, Class B2    
10.78% (SOFR 30A + 5.50%), due 1/25/34 450,000 505,140
Series 2023-HQA1, Class M2    
10.78% (SOFR 30A + 5.50%), due 5/25/43 390,000 431,481
Series 2022-HQA2, Class M2    
11.28% (SOFR 30A + 6.00%), due 7/25/42 750,000 828,743
Series 2021-HQA3, Class B2    
11.53% (SOFR 30A + 6.25%), due 9/25/41 880,000 921,585
Series 2021-HQA4, Class B2    
12.28% (SOFR 30A + 7.00%), due 12/25/41 340,000 364,512
Series 2022-HQA1, Class B1    
12.28% (SOFR 30A + 7.00%), due 3/25/42 670,000 740,130
Series 2022-DNA1, Class B2    
12.38% (SOFR 30A + 7.10%), due 1/25/42 655,000 698,394
FHLMC STACR Securitized Participation Interests Trust    
Series 2018-SPI3, Class B    
4.149%, due 8/25/48 (a)(j) 832,800 628,336
FHLMC STACR Trust (a)(b)    
REMIC, Series 2019-FTR3, Class B2    
10.195% (SOFR 30A + 4.914%), due 9/25/47 700,000 740,070
REMIC, Series 2019-FTR2, Class B2    
12.795% (SOFR 30A + 7.514%), due 11/25/48 375,000 429,516
REMIC, Series 2019-HQA3, Class B2    
12.895% (SOFR 30A + 7.614%), due 9/25/49 450,000 508,009
REMIC, Series 2019-FTR1, Class B2    
13.745% (SOFR 30A + 8.464%), due 1/25/48 570,000 677,484
Flagstar Mortgage Trust    
Series 2021-6INV, Class A18    
2.50%, due 8/25/51 (a)(j) 386,261 320,472
Mill City Mortgage Loan Trust (a)(j)    
Series 2018-4, Class B4    
3.07%, due 4/25/66 559,347 364,929
Series 2018-3, Class B4    
3.696%, due 8/25/58 349,255 205,566
RCKT Mortgage Trust    
Series 2021-5, Class A1    
2.50%, due 11/25/51 (a)(j) 1,077,364 909,351

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
Sequoia Mortgage Trust    
Series 2021-4, Class A1                       
0.165%, due 6/25/51 (a)(c)(d) $   13,956,896 $     132,275
STACR Trust (a)(b)    
Series 2018-HRP2, Class B2                       
15.895% (SOFR 30A + 10.614%), due 2/25/47     830,000    1,007,451
Series 2018-HRP1, Class B2                       
17.145% (SOFR 30A + 11.864%), due 5/25/43     531,240      646,253
Towd Point Mortgage Trust    
Series 2017-4, Class B5    
3.638%, due 6/25/57 (a)(j) 452,415 293,824
    25,263,047
Total Mortgage-Backed Securities
(Cost $73,847,560)
  76,853,903
U.S. Government & Federal Agencies 5.8%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 1.2% 
FHLMC Gold Pools, 30 Year    
3.50%, due 1/1/48 475,087 448,816
UMBS Pool, 30 Year    
3.00%, due 6/1/52 2,038,996 1,832,922
3.50%, due 7/1/50 434,666 409,349
4.00%, due 3/1/53 1,146,273 1,102,401
4.50%, due 10/1/52 184,995 181,853
5.00%, due 3/1/54 391,133 390,884
5.50%, due 7/1/53 278,190 281,385
5.50%, due 3/1/54 645,497 656,411
6.00%, due 10/1/53 788,830 812,570
6.00%, due 10/1/53 543,486 560,831
6.00%, due 11/1/53 47,041 48,691
    6,726,113
Federal National Mortgage Association (Mortgage Pass-Through Securities) 3.1% 
FNMA, Other    
6.00%, due 4/1/37 3,153 3,237
UMBS, 30 Year    
2.00%, due 10/1/50 2,300,885 1,911,952
2.00%, due 3/1/52 1,521,863 1,260,249
2.00%, due 3/1/52 662,557 548,485
2.50%, due 11/1/51 5,643,095 4,916,661
4.00%, due 8/1/48 212,146 206,349
4.00%, due 2/1/49 93,417 90,750
4.00%, due 6/1/52 308,632 296,373
4.00%, due 6/1/52 529,528 509,314
4.50%, due 1/1/54 1,425,533 1,401,911
5.00%, due 11/1/52 2,104,592 2,108,841
5.50%, due 2/1/53 176,869 178,979

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year    
5.50%, due 8/1/53 $      476,914 $     485,712
5.50%, due 4/1/54     659,962      670,791
6.00%, due 9/1/53     499,130      515,516
6.00%, due 9/1/53   1,292,394    1,321,135
6.00%, due 11/1/53      48,601       50,246
6.50%, due 12/1/53      66,326      68,738
    16,545,239
Government National Mortgage Association (Mortgage Pass-Through Security) 0.4% 
GNMA II, Single Family, 30 Year    
3.00%, due 10/20/51 2,508,848 2,289,163
United States Treasury Bonds 0.8% 
U.S. Treasury Bonds    
4.125%, due 8/15/44 3,895,000 3,864,570
4.25%, due 8/15/54 415,000 423,754
    4,288,324
United States Treasury Notes 0.3% 
U.S. Treasury Notes    
3.875%, due 8/15/34 190,000 191,336
4.00%, due 7/31/29 1,170,000 1,192,212
4.125%, due 7/31/31 270,000 277,551
    1,661,099
Total U.S. Government & Federal Agencies
(Cost $30,682,454)
  31,509,938
Total Long-Term Bonds
(Cost $197,750,772)
  198,432,521
 
  Shares  
 
Common Stocks 58.9%
Aerospace & Defense 2.0% 
BAE Systems plc (United Kingdom) 172,850 2,859,761
General Dynamics Corp. 6,548 1,978,806
Lockheed Martin Corp. 5,067 2,961,965
RTX Corp. 23,351 2,829,207
    10,629,739
Air Freight & Logistics 0.9% 
Deutsche Post AG (Germany) 60,049 2,675,747
United Parcel Service, Inc., Class B 18,275 2,491,614
    5,167,361
Automobile Components 0.3% 
Cie Generale des Etablissements Michelin SCA (France) 46,248 1,876,996

  Shares Value
Common Stocks
Automobiles 0.3% 
Toyota Motor Corp. (Japan)     98,000 $   1,733,623
Banks 3.9% 
Bank of America Corp.     86,133    3,417,757
BAWAG Group AG (Austria) (a)     28,151    2,179,439
Columbia Banking System, Inc.     78,886    2,059,713
JPMorgan Chase & Co.     19,182    4,044,716
PNC Financial Services Group, Inc. (The)     11,129    2,057,196
Regions Financial Corp.     80,629    1,881,075
Royal Bank of Canada (Canada)     15,058    1,879,397
Truist Financial Corp.     44,190    1,890,006
U.S. Bancorp     44,764   2,047,058
    21,456,357
Beverages 1.8% 
Coca-Cola Co. (The)     37,705    2,709,481
Coca-Cola Europacific Partners plc (United Kingdom)     66,022    5,199,233
PepsiCo, Inc.      9,894   1,682,475
    9,591,189
Biotechnology 0.9% 
AbbVie, Inc. 24,069 4,753,146
Capital Markets 1.2% 
BlackRock, Inc. 1,915 1,818,311
Lazard, Inc. 50,092 2,523,635
Schroders plc (United Kingdom) 450,762 2,104,441
    6,446,387
Chemicals 1.9% 
Dow, Inc. 46,631 2,547,452
Linde plc 5,805 2,768,172
LyondellBasell Industries NV, Class A 27,387 2,626,413
Nutrien Ltd. (Canada) 45,907 2,206,291
    10,148,328
Commercial Services & Supplies 0.0%  ‡
Quad/Graphics, Inc.  (e) 6 27
Communications Equipment 0.9% 
Cisco Systems, Inc. 87,048 4,632,695
Construction & Engineering 0.3% 
Vinci SA (France) 16,063 1,876,561
Consumer Staples Distribution & Retail 0.8% 
Walmart, Inc. 53,230 4,298,323

  Shares Value
Common Stocks
Diversified Telecommunication Services 2.7% 
AT&T, Inc.    102,978 $   2,265,494
BCE, Inc. (Canada) (e)     56,670    1,970,219
Deutsche Telekom AG (Registered) (Germany)    152,365    4,475,879
Orange SA (France)    213,374    2,442,865
TELUS Corp. (Canada)    105,635    1,772,234
Verizon Communications, Inc.     40,370   1,813,017
    14,739,708
Electric Utilities 2.3% 
American Electric Power Co., Inc.     23,023    2,362,160
Duke Energy Corp.     16,558    1,909,137
Entergy Corp.     15,226    2,003,894
NextEra Energy, Inc.     51,157    4,324,301
Pinnacle West Capital Corp.     21,094   1,868,718
    12,468,210
Electrical Equipment 0.9% 
Eaton Corp. plc      7,203    2,387,362
Emerson Electric Co. 23,489 2,568,992
    4,956,354
Food Products 0.8% 
Mondelez International, Inc., Class A 36,310 2,674,957
Nestle SA (Registered) 17,455 1,752,203
    4,427,160
Gas Utilities 0.4% 
Snam SpA (Italy) 385,139 1,959,668
Health Care Equipment & Supplies 0.6% 
Medtronic plc 33,539 3,019,516
Health Care Providers & Services 0.7% 
CVS Health Corp. 30,106 1,893,065
UnitedHealth Group, Inc. 3,434 2,007,791
    3,900,856
Hotels, Restaurants & Leisure 1.6% 
McDonald's Corp. 8,140 2,478,712
Restaurant Brands International, Inc. (Canada) 57,618 4,155,410
Vail Resorts, Inc. 10,377 1,808,607
    8,442,729
Household Durables 0.4% 
Garmin Ltd. 13,789 2,427,278
Industrial Conglomerates 0.8% 
Honeywell International, Inc. 8,702 1,798,791

  Shares Value
Common Stocks
Industrial Conglomerates  
Siemens AG (Registered) (Germany)     12,236 $   2,469,942
    4,268,733
Industrial REITs 0.3% 
Segro plc (United Kingdom)    147,143   1,719,358
Insurance 3.5% 
AIA Group Ltd. (Hong Kong)    236,400    2,118,032
Allianz SE (Registered) (Germany)      6,375    2,093,418
AXA SA (France)     64,565    2,481,689
Manulife Financial Corp. (Canada)    130,699    3,862,649
MetLife, Inc.     51,696    4,263,886
Muenchener Rueckversicherungs-Gesellschaft AG (Registered) (Germany)      4,592    2,526,656
Travelers Cos., Inc. (The)      7,499   1,755,666
    19,101,996
Interactive Media & Services 0.5% 
Meta Platforms, Inc., Class A      4,400   2,518,736
IT Services 1.3% 
International Business Machines Corp. 31,381 6,937,711
Leisure Products 0.5% 
Hasbro, Inc. 34,951 2,527,656
Machinery 0.7% 
Cummins, Inc. 12,309 3,985,531
Media 0.4% 
Omnicom Group, Inc. 22,839 2,361,324
Multi-Utilities 0.7% 
NiSource, Inc. 61,042 2,115,106
WEC Energy Group, Inc. 19,907 1,914,655
    4,029,761
Oil, Gas & Consumable Fuels 2.2% 
Chevron Corp. 11,403 1,679,320
Enterprise Products Partners LP 69,368 2,019,303
MPLX LP 43,726 1,944,058
TotalEnergies SE (France) 62,428 4,065,266
Williams Cos., Inc. (The) 47,845 2,184,124
    11,892,071
Personal Care Products 0.4% 
Unilever plc (United Kingdom) 29,888 1,933,604

  Shares Value
Common Stocks
Pharmaceuticals 5.6% 
Astellas Pharma, Inc. (Japan)    160,200 $   1,835,793
AstraZeneca plc, Sponsored ADR (United Kingdom)     45,829    3,570,537
Bristol-Myers Squibb Co.     39,397    2,038,401
Eli Lilly & Co.      4,567    4,046,088
GSK plc     85,934    1,742,299
Johnson & Johnson     11,400    1,847,484
Merck & Co., Inc.     24,263    2,755,306
Novartis AG (Registered) (Switzerland)     37,871    4,347,100
Pfizer, Inc.     72,298    2,092,304
Roche Holding AG      6,421    2,052,960
Sanofi SA (France)     36,380   4,167,079
    30,495,351
Professional Services 0.3% 
Paychex, Inc.     13,083   1,755,608
Retail REITs 0.4% 
Realty Income Corp.     34,502   2,188,117
Semiconductors & Semiconductor Equipment 4.8% 
Analog Devices, Inc. 25,678 5,910,305
Broadcom, Inc. 41,692 7,191,870
KLA Corp. 4,878 3,777,572
Taiwan Semiconductor Manufacturing Co. Ltd., Sponsored ADR (Taiwan) 30,112 5,229,551
Texas Instruments, Inc. 20,291 4,191,512
    26,300,810
Software 1.9% 
Microsoft Corp. 16,454 7,080,156
Salesforce, Inc. 11,986 3,280,688
    10,360,844
Specialized REITs 1.7% 
Iron Mountain, Inc. 51,551 6,125,806
VICI Properties, Inc. 94,191 3,137,502
    9,263,308
Specialty Retail 0.9% 
Best Buy Co., Inc. 21,538 2,224,875
Home Depot, Inc. (The) 6,953 2,817,356
    5,042,231
Technology Hardware, Storage & Peripherals 3.3% 
Apple, Inc. 22,608 5,267,664
Dell Technologies, Inc., Class C 28,775 3,410,988
Hewlett Packard Enterprise Co. 163,376 3,342,673
NetApp, Inc. 27,047 3,340,575

  Shares   Value
Common Stocks
Technology Hardware, Storage & Peripherals  
Samsung Electronics Co. Ltd., GDR (Republic of Korea)      2,244   $   2,623,236
      17,985,136
Tobacco 1.6% 
British American Tobacco plc (United Kingdom)     50,718      1,847,074
Imperial Brands plc (United Kingdom)     96,167      2,793,836
Philip Morris International, Inc.     35,189     4,271,945
      8,912,855
Trading Companies & Distributors 0.5% 
MSC Industrial Direct Co., Inc., Class A     33,968     2,923,286
Water Utilities 0.3% 
Essential Utilities, Inc.     45,577     1,757,905
Wireless Telecommunication Services 0.7% 
Rogers Communications, Inc., Class B (Canada) (e)     45,059      1,811,755
SK Telecom Co. Ltd. (Republic of Korea)     46,108     1,970,970
      3,782,725
Total Common Stocks
(Cost $249,940,457)
    320,996,868
Short-Term Investments 3.3%
Affiliated Investment Company 1.6% 
NYLI U.S. Government Liquidity Fund, 4.88% (k) 8,797,819   8,797,819
Unaffiliated Investment Company 0.7% 
Invesco Government & Agency Portfolio, 4.917% (k)(l) 3,554,656   3,554,656
 
  Principal
Amount
   
 
U.S. Treasury Debt 1.0% 
U.S. Treasury Bills (m)      
4.92%, due 10/17/24 $   2,050,000   2,045,715
4.99%, due 12/24/24 1,750,000   1,731,596
5.05%, due 11/29/24 1,725,000   1,711,737
Total U.S. Treasury Debt
(Cost $5,486,401)
    5,489,048
Total Short-Term Investments
(Cost $17,838,877)
    17,841,523
Total Investments
(Cost $465,530,106)
98.6%   537,270,912
Other Assets, Less Liabilities 1.4   7,426,741
 Net Assets 100.0%   $ 544,697,653
    

Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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, 2024.
(c) 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.
(d) 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, 2024.
(e) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $5,799,923; the total market value of collateral held by the Portfolio was $6,183,951. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $2,629,295. The Portfolio received cash collateral with a value of $3,554,656.  
(f) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(g) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(h) Step coupon—Rate shown was the rate in effect as of September 30, 2024.
(i) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $209,625, which represented less than one-tenth of a percent of the Portfolio’s net assets.
(j) 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, 2024.
(k) Current yield as of September 30, 2024.
(l) Represents a security purchased with cash collateral received for securities on loan.
(m) Interest rate shown represents yield to maturity.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 12,142 $ 116,591 $ (119,935) $ — $ — $ 8,798 $ 312 $ — 8,798
Foreign Currency Forward Contracts
As of September 30, 2024, the Portfolio held the following foreign currency forward contracts1:
Currency Purchased Currency Sold Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
AUD 9,875,000 USD 6,488,505 JPMorgan Chase Bank N.A. 11/1/24    $ 342,112
EUR 3,515,853 USD 3,834,293 JPMorgan Chase Bank N.A. 11/1/24     84,762
GBP 133,000 USD 171,102 JPMorgan Chase Bank N.A. 11/1/24      6,709
JPY 1,896,682,000 USD 12,534,949 JPMorgan Chase Bank N.A. 11/1/24    722,836
USD 14,195,399 JPY 2,010,929,000 JPMorgan Chase Bank N.A. 11/1/24    139,028
Total Unrealized Appreciation $ 1,295,447
    
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, 2024, 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          
Russell 2000 E-Mini Index 65 December 2024   $ 7,170,605   $ 7,309,900    $ 139,295
S&P 500 E-Mini Index 80 December 2024  22,762,560  23,257,000    494,440
S&P Midcap 400 E-Mini Index 57 December 2024  17,479,737  17,947,020    467,283
U.S. Treasury 2 Year Notes 12 December 2024   2,493,245   2,498,906      5,661
U.S. Treasury 5 Year Notes 106 December 2024  11,649,706  11,647,578      (2,128)
U.S. Treasury 10 Year Notes 51 December 2024   5,834,837   5,828,344      (6,493)
U.S. Treasury 10 Year Ultra Bonds 38 December 2024   4,489,273   4,495,281      6,008
U.S. Treasury Long Bonds 57 December 2024   7,116,980   7,078,688     (38,292)
U.S. Treasury Ultra Bonds 93 December 2024  12,455,902  12,377,719     (78,183)
Yen Denominated Nikkei 225 Index 247 December 2024 30,126,156 32,751,452 2,625,296
Total Long Contracts         3,612,887
Short Contracts          
Euro STOXX 50 Index (148) December 2024 (8,007,386) (8,286,734) (279,348)
FTSE 100 Index (71) December 2024 (7,911,914) (7,867,730) 44,184
Total Short Contracts         (235,164)
Net Unrealized Appreciation         $ 3,377,723
    
1. As of September 30, 2024, cash in the amount of $7,372,836 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, 2024.
Abbreviation(s):
ADR—American Depositary Receipt
AUD—Australia Dollar
CLO—Collateralized Loan Obligation
EUR—Euro
FHLMC—Federal Home Loan Mortgage Corp.
FNMA—Federal National Mortgage Association
FTSE—Financial Times Stock Exchange
GBP—British Pound Sterling
GDR—Global Depositary Receipt
GNMA—Government National Mortgage Association
IO—Interest Only
JPY—Japanese Yen
REIT—Real Estate Investment Trust
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate
STACR—Structured Agency Credit Risk
UMBS—Uniform Mortgage Backed Securities
USD—United States Dollar

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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           $ —     $ 14,410,470   $ —     $ 14,410,470
Corporate Bonds           —     71,794,083       71,794,083
Foreign Government Bonds           —      3,565,261        3,565,261
Loan Assignments           —        298,866          298,866
Mortgage-Backed Securities           —     76,853,903       76,853,903
U.S. Government & Federal Agencies           —     31,509,938       31,509,938
Total Long-Term Bonds   198,432,521     198,432,521
Common Stocks  320,996,868             —      320,996,868
Short-Term Investments              
Affiliated Investment Company    8,797,819             —        8,797,819
Unaffiliated Investment Company    3,554,656             —        3,554,656
U.S. Treasury Debt           —      5,489,048        5,489,048
Total Short-Term Investments 12,352,475   5,489,048     17,841,523
Total Investments in Securities 333,349,343   203,921,569     537,270,912
Other Financial Instruments (b)              
Foreign Currency Forward Contracts           —      1,295,447        1,295,447
Futures Contracts    3,782,167             —        3,782,167
Total Other Financial Instruments 3,782,167   1,295,447     5,077,614
Total Investments in Securities and Other Financial Instruments $ 337,131,510   $ 205,217,016   $ —   $ 542,348,526
Liability Valuation Inputs              
Other Financial Instruments              
Futures Contracts (b)      $ (404,444)             $ —   $ —        $ (404,444)
    
(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.

NYLI VP Indexed Bond Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 97.8%
Corporate Bonds 24.9%
Aerospace & Defense 0.7% 
Boeing Co. (The)    
3.25%, due 3/1/28 $     585,000 $     551,590
5.15%, due 5/1/30    250,000      250,601
General Electric Co.    
4.125%, due 10/9/42     99,000       87,910
Lockheed Martin Corp.    
4.30%, due 6/15/62    135,000      119,231
Northrop Grumman Systems Corp.    
7.75%, due 2/15/31 275,000 322,370
RTX Corp.    
3.125%, due 7/1/50 105,000 75,216
3.50%, due 3/15/27 275,000 270,998
    1,677,916
Apparel 0.0%  ‡
NIKE, Inc.    
3.625%, due 5/1/43 95,000 81,095
Auto Manufacturers 0.2% 
General Motors Co.    
5.40%, due 4/1/48 81,000 74,452
General Motors Financial Co., Inc.    
2.40%, due 10/15/28 250,000 228,701
3.10%, due 1/12/32 167,000 146,052
4.35%, due 1/17/27 130,000 129,717
    578,922
Banks 6.1% 
Bank of America Corp.    
2.972%, due 7/21/52 (a) 525,000 372,617
3.846% (5 Year Treasury Constant Maturity Rate + 2.00%), due 3/8/37 (b) 230,000 212,609
5.08%, due 1/20/27 (a) 3,040,000 3,064,711
Barclays plc    
5.25%, due 8/17/45 270,000 273,653
Citigroup, Inc.    
2.561%, due 5/1/32 (a) 260,000 228,520
4.45%, due 9/29/27 1,085,000 1,086,511
4.65%, due 7/30/45 180,000 171,223
Cooperatieve Rabobank UA    
5.25%, due 5/24/41 215,000 227,100
Fifth Third Bancorp    
4.337%, due 4/25/33 (a) 200,000 192,139
Goldman Sachs Group, Inc. (The)    
2.64%, due 2/24/28 (a) 715,000 687,249
4.80%, due 7/8/44 420,000 410,011
HSBC Holdings plc (a)    
7.336%, due 11/3/26 575,000 591,268

  Principal
Amount
Value
Corporate Bonds
Banks  
HSBC Holdings plc (a)    
7.39%, due 11/3/28 $     305,000 $     330,193
JPMorgan Chase & Co. (a)    
1.578%, due 4/22/27    870,000      833,433
4.26%, due 2/22/48    605,000      548,619
4.912%, due 7/25/33    305,000      311,521
Lloyds Banking Group plc    
3.75%, due 1/11/27 1,265,000    1,251,026
Morgan Stanley    
5.05%, due 1/28/27 (a) 75,000 75,700
5.948% (5 Year Treasury Constant Maturity Rate + 2.43%), due 1/19/38 (b) 55,000 57,658
6.296%, due 10/18/28 (a) 1,270,000 1,342,596
6.342%, due 10/18/33 (a) 375,000 417,013
State Street Corp.    
5.82%, due 11/4/28 (a) 810,000 851,280
Wells Fargo & Co.    
3.00%, due 4/22/26 525,000 515,763
4.75%, due 12/7/46 605,000 554,677
    14,607,090
Beverages 0.5% 
Anheuser-Busch InBev Worldwide, Inc.    
5.55%, due 1/23/49 525,000 565,953
Coca-Cola Co. (The)    
2.60%, due 6/1/50 260,000 176,119
Constellation Brands, Inc.    
3.60%, due 2/15/28 130,000 127,120
Keurig Dr Pepper, Inc.    
4.985%, due 5/25/38 95,000 94,798
Molson Coors Beverage Co.    
4.20%, due 7/15/46 95,000 81,957
PepsiCo, Inc.    
3.625%, due 3/19/50 30,000 24,552
    1,070,499
Biotechnology 0.2% 
Amgen, Inc.    
3.375%, due 2/21/50 205,000 156,195
Gilead Sciences, Inc.    
4.60%, due 9/1/35 215,000 215,537
    371,732
Building Materials 0.0%  ‡
Johnson Controls International plc    
6.00%, due 1/15/36 80,000 87,754

  Principal
Amount
Value
Corporate Bonds
Chemicals 1.0% 
Dow Chemical Co. (The)    
2.10%, due 11/15/30 $     145,000 $     128,752
3.60%, due 11/15/50     65,000       48,971
DuPont de Nemours, Inc.    
4.493%, due 11/15/25    470,000      469,170
Ecolab, Inc.    
2.70%, due 11/1/26    275,000      267,982
LYB International Finance II BV    
3.50%, due 3/2/27 275,000 269,500
LYB International Finance III LLC    
3.625%, due 4/1/51 50,000 37,264
Mosaic Co. (The)    
4.05%, due 11/15/27 505,000 500,144
Nutrien Ltd.    
5.875%, due 12/1/36 275,000 294,583
Sherwin-Williams Co. (The)    
3.95%, due 1/15/26 320,000 317,882
    2,334,248
Commercial Services 0.0%  ‡
PayPal Holdings, Inc.    
5.05%, due 6/1/52 95,000 94,756
Computers 0.7% 
Apple, Inc.    
4.50%, due 2/23/36 660,000 682,978
Dell International LLC    
3.45%, due 12/15/51 95,000 69,605
5.25%, due 2/1/28 310,000 320,242
5.75%, due 2/1/33 180,000 193,178
HP, Inc.    
6.00%, due 9/15/41 40,000 42,958
International Business Machines Corp.    
3.50%, due 5/15/29 465,000 451,941
    1,760,902
Cosmetics & Personal Care 0.2% 
Procter & Gamble Co. (The)    
2.70%, due 2/2/26 275,000 270,730
Unilever Capital Corp.    
3.10%, due 7/30/25 100,000 99,095
    369,825
Diversified Financial Services 0.3% 
AerCap Ireland Capital DAC    
3.85%, due 10/29/41 150,000 125,426
Capital One Financial Corp.    
5.268%, due 5/10/33 (a) 155,000 156,470

  Principal
Amount
Value
Corporate Bonds
Diversified Financial Services  
Nomura Holdings, Inc.    
2.999%, due 1/22/32 $     200,000 $     176,076
Visa, Inc.    
4.30%, due 12/14/45    210,000     195,660
    653,632
Electric 2.1% 
AEP Texas, Inc.    
5.25%, due 5/15/52     95,000       92,814
CenterPoint Energy Houston Electric LLC    
Series AC    
4.25%, due 2/1/49 315,000 277,141
Commonwealth Edison Co.    
3.65%, due 6/15/46 195,000 158,597
Consolidated Edison Co. of New York, Inc.    
Series 06-A    
5.85%, due 3/15/36 410,000 445,206
DTE Electric Co.    
3.375%, due 3/1/25 215,000 213,683
Duke Energy Carolinas LLC    
3.875%, due 3/15/46 365,000 303,729
Duke Energy Corp.    
4.50%, due 8/15/32 95,000 93,939
5.00%, due 8/15/52 95,000 89,952
Entergy Louisiana LLC    
4.20%, due 4/1/50 365,000 309,413
Florida Power & Light Co.    
3.80%, due 12/15/42 175,000 150,032
MidAmerican Energy Co.    
3.95%, due 8/1/47 400,000 338,891
Ohio Power Co.    
Series G    
6.60%, due 2/15/33 200,000 220,159
PPL Electric Utilities Corp.    
3.95%, due 6/1/47 130,000 111,010
Public Service Electric and Gas Co.    
2.70%, due 5/1/50 235,000 158,144
Sempra    
3.80%, due 2/1/38 275,000 239,856
Southern California Edison Co.    
Series C    
4.125%, due 3/1/48 275,000 232,251
Southern Co. (The)    
4.40%, due 7/1/46 350,000 313,918
Virginia Electric and Power Co.    
4.00%, due 1/15/43 410,000 352,060

  Principal
Amount
Value
Corporate Bonds
Electric  
Xcel Energy, Inc.    
3.30%, due 6/1/25 $     885,000 $     875,186
    4,975,981
Entertainment 0.1% 
Warnermedia Holdings, Inc.    
5.141%, due 3/15/52    218,000     168,138
Environmental Control 0.3% 
Republic Services, Inc.    
3.20%, due 3/15/25 320,000 317,487
Waste Management, Inc.    
3.15%, due 11/15/27 320,000 312,660
    630,147
Food 0.4% 
General Mills, Inc.    
4.20%, due 4/17/28 95,000 95,105
Kraft Heinz Foods Co.    
4.375%, due 6/1/46 230,000 203,559
Kroger Co. (The)    
2.20%, due 5/1/30 230,000 204,813
Sysco Corp.    
3.25%, due 7/15/27 320,000 311,770
Tyson Foods, Inc.    
5.10%, due 9/28/48 155,000 146,750
    961,997
Forest Products & Paper 0.2% 
Suzano International Finance BV    
5.50%, due 1/17/27 505,000 514,291
Gas 0.1% 
NiSource, Inc.    
3.49%, due 5/15/27 275,000 270,175
Healthcare-Products 0.4% 
Abbott Laboratories    
3.75%, due 11/30/26 185,000 184,879
4.90%, due 11/30/46 290,000 295,279
Boston Scientific Corp.    
4.70%, due 3/1/49 80,000 76,180
Medtronic, Inc.    
4.625%, due 3/15/45 209,000 200,715
Stryker Corp.    
3.65%, due 3/7/28 275,000 271,064
    1,028,117

  Principal
Amount
Value
Corporate Bonds
Healthcare-Services 0.7% 
Aetna, Inc.    
6.625%, due 6/15/36 $     275,000 $     310,894
Cigna Group (The)    
4.90%, due 12/15/48    185,000      174,228
Elevance Health, Inc.    
4.375%, due 12/1/47    320,000      283,311
HCA, Inc.    
3.625%, due 3/15/32     85,000       78,601
4.625%, due 3/15/52 170,000 147,547
Laboratory Corp. of America Holdings    
3.60%, due 2/1/25 320,000 318,102
UnitedHealth Group, Inc.    
4.25%, due 4/15/47 315,000 278,721
    1,591,404
Household Products & Wares 0.2% 
Clorox Co. (The)    
3.90%, due 5/15/28 275,000 272,486
Kimberly-Clark Corp.    
2.75%, due 2/15/26 275,000 270,144
    542,630
Insurance 0.9% 
Allstate Corp. (The)    
5.35%, due 6/1/33 275,000 287,678
American International Group, Inc.    
6.25%, due 5/1/36 350,000 389,828
Berkshire Hathaway Finance Corp.    
4.30%, due 5/15/43 425,000 403,681
MetLife, Inc.    
3.60%, due 11/13/25 815,000 809,066
Prudential Financial, Inc.    
3.70%, due 3/13/51 135,000 106,837
3.935%, due 12/7/49 155,000 128,188
    2,125,278
Internet 0.3% 
Alibaba Group Holding Ltd.    
2.70%, due 2/9/41 200,000 147,960
Amazon.com, Inc.    
3.875%, due 8/22/37 535,000 503,128
    651,088
Machinery—Construction & Mining 0.1% 
Caterpillar, Inc.    
5.30%, due 9/15/35 325,000 350,732

  Principal
Amount
Value
Corporate Bonds
Machinery-Diversified 0.1% 
Deere & Co.    
3.90%, due 6/9/42 $     180,000 $     161,170
Media 0.7% 
Charter Communications Operating LLC    
4.908%, due 7/23/25    103,000      102,832
5.75%, due 4/1/48    420,000      366,777
Comcast Corp.    
3.40%, due 7/15/46    795,000      615,201
Discovery Communications LLC    
3.95%, due 3/20/28 121,000 115,251
Fox Corp.    
5.576%, due 1/25/49 86,000 84,749
Paramount Global    
4.95%, due 1/15/31 352,000 332,020
Walt Disney Co. (The)    
3.60%, due 1/13/51 204,000 163,047
    1,779,877
Mining 0.1% 
Barrick North America Finance LLC    
5.70%, due 5/30/41 130,000 137,134
Newmont Corp.    
2.25%, due 10/1/30 125,000 111,981
2.60%, due 7/15/32 105,000 93,095
    342,210
Miscellaneous—Manufacturing 0.2% 
3M Co.    
4.00%, due 9/14/48 135,000 119,920
Eaton Corp.    
4.00%, due 11/2/32 275,000 270,455
Parker-Hannifin Corp.    
4.20%, due 11/21/34 95,000 92,249
    482,624
Oil & Gas 0.8% 
BP Capital Markets America, Inc.    
3.001%, due 3/17/52 115,000 78,941
3.588%, due 4/14/27 315,000 311,450
Canadian Natural Resources Ltd.    
6.25%, due 3/15/38 130,000 139,673
ConocoPhillips Co.    
5.95%, due 3/15/46 200,000 218,777
EOG Resources, Inc.    
3.90%, due 4/1/35 215,000 201,531
Exxon Mobil Corp.    
4.114%, due 3/1/46 215,000 191,602

  Principal
Amount
Value
Corporate Bonds
Oil & Gas  
Hess Corp.    
7.125%, due 3/15/33 $     130,000 $     150,032
Phillips 66 Co.    
4.68%, due 2/15/45    260,000      234,572
Shell International Finance BV    
3.75%, due 9/12/46    325,000     266,592
    1,793,170
Oil & Gas Services 0.0%  ‡
Halliburton Co.    
3.80%, due 11/15/25 12,000 11,916
Pharmaceuticals 1.2% 
AbbVie, Inc.    
3.80%, due 3/15/25 185,000 184,342
4.70%, due 5/14/45 345,000 333,849
Allergan Funding SCS    
3.80%, due 3/15/25 50,000 49,394
4.75%, due 3/15/45 25,000 19,615
AstraZeneca plc    
6.45%, due 9/15/37 250,000 292,320
Bristol-Myers Squibb Co.    
3.70%, due 3/15/52 75,000 59,586
CVS Health Corp.    
3.75%, due 4/1/30 50,000 47,913
5.05%, due 3/25/48 340,000 310,328
Eli Lilly & Co.    
3.95%, due 3/15/49 155,000 134,918
GlaxoSmithKline Capital, Inc.    
3.875%, due 5/15/28 320,000 318,571
Johnson & Johnson    
4.95%, due 5/15/33 315,000 337,791
Merck & Co., Inc.    
5.00%, due 5/17/53 220,000 221,618
Mylan, Inc.    
5.20%, due 4/15/48 95,000 82,195
Pfizer, Inc.    
4.00%, due 12/15/36 395,000 376,383
    2,768,823
Pipelines 1.1% 
Enbridge, Inc.    
4.50%, due 6/10/44 275,000 243,748
Energy Transfer LP    
5.00%, due 5/15/50 200,000 180,684
Enterprise Products Operating LLC    
3.70%, due 2/15/26 500,000 497,232
4.80%, due 2/1/49 260,000 242,865

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Kinder Morgan, Inc.    
4.30%, due 6/1/25 $     590,000 $     587,314
4.80%, due 2/1/33    240,000      237,843
5.45%, due 8/1/52    115,000      111,792
MPLX LP    
4.95%, due 3/14/52    145,000      130,107
ONEOK, Inc.    
5.20%, due 7/15/48     85,000       79,382
TransCanada PipeLines Ltd.    
4.875%, due 1/15/26 10,000 10,043
4.875%, due 5/15/48 150,000 140,386
Williams Cos., Inc. (The)    
3.50%, due 10/15/51 65,000 47,215
    2,508,611
Real Estate Investment Trusts 0.4% 
American Tower Corp.    
2.30%, due 9/15/31 145,000 124,767
AvalonBay Communities, Inc.    
2.90%, due 10/15/26 215,000 210,012
Crown Castle, Inc.    
3.25%, due 1/15/51 95,000 67,654
ERP Operating LP    
3.25%, due 8/1/27 275,000 268,530
Realty Income Corp.    
4.65%, due 3/15/47 155,000 143,899
Simon Property Group LP    
4.25%, due 11/30/46 260,000 226,681
    1,041,543
Retail 0.5% 
Home Depot, Inc. (The)    
2.375%, due 3/15/51 365,000 229,121
Lowe's Cos., Inc.    
4.05%, due 5/3/47 185,000 155,084
McDonald's Corp.    
4.20%, due 4/1/50 85,000 73,489
Starbucks Corp.    
3.00%, due 2/14/32 260,000 236,959
Target Corp.    
2.35%, due 2/15/30 185,000 169,935
Walmart, Inc.    
4.30%, due 4/22/44 340,000 324,189
    1,188,777
Semiconductors 0.8% 
Applied Materials, Inc.    
5.10%, due 10/1/35 275,000 291,794

  Principal
Amount
Value
Corporate Bonds
Semiconductors  
Broadcom, Inc.    
4.926%, due 5/15/37 (c) $     410,000 $     409,645
Intel Corp.    
2.00%, due 8/12/31    338,000      282,346
4.75%, due 3/25/50    112,000       97,057
KLA Corp.    
4.95%, due 7/15/52    105,000      104,333
NVIDIA Corp.    
1.55%, due 6/15/28 460,000 425,321
2.00%, due 6/15/31 220,000 194,469
NXP BV    
5.00%, due 1/15/33 75,000 75,896
QUALCOMM, Inc.    
4.65%, due 5/20/35 115,000 117,308
    1,998,169
Software 1.3% 
Fidelity National Information Services, Inc.    
5.625%, due 7/15/52 75,000 78,522
Fiserv, Inc.    
4.40%, due 7/1/49 105,000 92,817
Microsoft Corp.    
2.921%, due 3/17/52 290,000 212,915
3.30%, due 2/6/27 240,000 237,850
Oracle Corp.    
2.95%, due 5/15/25 2,100,000 2,076,909
4.00%, due 7/15/46 70,000 58,068
5.375%, due 7/15/40 210,000 214,202
Salesforce, Inc.    
3.05%, due 7/15/61 65,000 43,686
    3,014,969
Telecommunications 1.1% 
AT&T, Inc.    
2.55%, due 12/1/33 507,000 427,344
3.50%, due 9/15/53 217,000 159,424
3.55%, due 9/15/55 261,000 190,905
Corning, Inc.    
5.45%, due 11/15/79 30,000 29,716
Deutsche Telekom International Finance BV    
8.75%, due 6/15/30 (d) 275,000 332,076
Telefonica Emisiones SA    
4.895%, due 3/6/48 150,000 136,356
T-Mobile USA, Inc.    
3.40%, due 10/15/52 113,000 82,714
3.875%, due 4/15/30 430,000 418,162
Verizon Communications, Inc.    
2.355%, due 3/15/32 128,000 110,277

  Principal
Amount
Value
Corporate Bonds
Telecommunications  
Verizon Communications, Inc.    
3.00%, due 11/20/60 $     104,000 $      67,122
5.50%, due 3/16/47    470,000      502,408
Vodafone Group plc    
4.25%, due 9/17/50    190,000     158,526
    2,615,030
Transportation 0.9% 
Burlington Northern Santa Fe LLC    
3.25%, due 6/15/27 751,000 738,776
Canadian National Railway Co.    
6.25%, due 8/1/34 275,000 313,638
CSX Corp.    
3.35%, due 9/15/49 155,000 118,062
FedEx Corp.    
2.40%, due 5/15/31 75,000 66,362
5.25%, due 5/15/50 75,000 73,982
Norfolk Southern Corp.    
3.942%, due 11/1/47 156,000 129,771
Union Pacific Corp.    
2.80%, due 2/14/32 180,000 163,765
3.50%, due 2/14/53 75,000 58,433
3.85%, due 2/14/72 40,000 31,061
United Parcel Service, Inc.    
3.40%, due 11/15/46 505,000 401,020
    2,094,870
Total Corporate Bonds
(Cost $65,179,904)
  59,300,108
Foreign Government Bonds 3.3%
Canada 0.8% 
Province of Ontario Canada    
2.50%, due 4/27/26 1,205,000 1,178,909
Province of Quebec Canada    
2.50%, due 4/20/26 820,000 802,433
    1,981,342
Japan 0.3% 
Japan Bank for International Cooperation    
2.875%, due 6/1/27 576,000 561,774
Mexico 1.2% 
Mexico Government Bond    
4.125%, due 1/21/26 2,585,000 2,569,291
4.875%, due 5/19/33 360,000 344,879
    2,914,170

  Principal
Amount
Value
Foreign Government Bonds
Norway 0.2% 
Equinor ASA    
5.10%, due 8/17/40 $     405,000 $     414,815
Panama 0.3% 
Panama Government Bond    
3.75%, due 3/16/25    750,000     744,173
Philippines 0.3% 
Philippines Government Bond    
5.00%, due 1/13/37    600,000     618,750
Supranational 0.2% 
European Investment Bank    
2.375%, due 5/24/27 545,000 527,862
Total Foreign Government Bonds
(Cost $8,120,083)
  7,762,886
Mortgage-Backed Securities 1.6%
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 1.6% 
CFCRE Commercial Mortgage Trust  
Series 2016-C6, Class A3    
3.217%, due 11/10/49 (e) 300,000 290,719
Series 2017-C8, Class A3    
3.305%, due 6/15/50 163,342 158,244
Citigroup Commercial Mortgage Trust  
Series 2017-P8, Class A4    
3.465%, due 9/15/50 300,000 287,896
Series 2015-GC35, Class A4    
3.818%, due 11/10/48 300,000 293,590
CSAIL Commercial Mortgage Trust  
Series 2017-CX9, Class A5    
3.446%, due 9/15/50 300,000 283,637
FHLMC, Multifamily Structured Pass-Through Certificates  
REMIC, Series K094, Class A2    
2.903%, due 6/25/29 2,000,000 1,910,399
GS Mortgage Securities Trust  
Series 2016-GS3, Class A4    
2.85%, due 10/10/49 300,000 289,260
Series 2014-GC22, Class A5    
3.862%, due 6/10/47 73,751 70,708
Wells Fargo Commercial Mortgage Trust  
Series 2015-SG1, Class A4    
3.789%, due 9/15/48 286,899 283,209
Total Mortgage-Backed Securities
(Cost $4,203,308)
  3,867,662

  Principal
Amount
Value
U.S. Government & Federal Agencies 68.0%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 5.1% 
FFCB
0.68%, due 1/13/27 $   1,125,000 $   1,049,580
FHLMC Gold Pools, 15 Year
2.50%, due 10/1/31     27,161       25,998
2.50%, due 2/1/32    107,051      102,548
2.50%, due 2/1/33     98,669       94,051
2.50%, due 4/1/33    148,783      142,250
2.50%, due 6/1/33     21,402       20,454
2.50%, due 7/1/33 46,360 44,246
3.00%, due 9/1/27 31,219 30,709
3.00%, due 4/1/32 62,838 61,076
3.00%, due 6/1/32 16,657 16,182
3.00%, due 9/1/32 7,988 7,778
3.00%, due 10/1/32 35,461 34,493
3.00%, due 5/1/33 44,007 42,761
3.00%, due 9/1/33 32,343 31,410
3.50%, due 12/1/25 3,861 3,831
3.50%, due 5/1/33 37,473 36,967
3.50%, due 9/1/33 10,478 10,333
FHLMC Gold Pools, 20 Year
3.00%, due 9/1/36 65,952 62,777
3.00%, due 11/1/37 31,850 30,164
3.00%, due 12/1/37 57,484 54,418
3.50%, due 2/1/37 60,900 59,561
3.50%, due 1/1/38 58,951 57,158
4.50%, due 5/1/38 31,912 32,401
5.50%, due 1/1/29 2,217 2,244
FHLMC Gold Pools, 30 Year
3.00%, due 9/1/46 296,648 272,477
3.00%, due 12/1/46 20,005 18,349
3.00%, due 2/1/47 26,131 24,039
3.00%, due 3/1/47 117,839 108,225
3.00%, due 4/1/47 33,384 30,660
3.00%, due 1/1/48 213,700 196,084
3.00%, due 2/1/48 125,306 114,910
3.00%, due 3/1/48 113,656 104,250
3.00%, due 4/1/48 309,735 283,425
3.00%, due 6/1/48 209,347 191,977
3.50%, due 6/1/43 90,226 86,243
3.50%, due 9/1/44 65,903 62,790
3.50%, due 8/1/45 106,954 101,040
3.50%, due 8/1/46 143,957 136,923
3.50%, due 8/1/47 13,216 12,485
3.50%, due 9/1/47 32,707 30,899
3.50%, due 11/1/47 74,389 70,277
3.50%, due 12/1/47 153,060 144,599
3.50%, due 1/1/48 14,986 14,158
3.50%, due 3/1/48 219,899 207,740

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities)  
FHLMC Gold Pools, 30 Year
3.50%, due 5/1/48 $      67,119 $      63,408
3.50%, due 8/1/48    113,807      107,514
3.50%, due 9/1/48     85,762       81,019
3.50%, due 11/1/48     29,907       28,253
3.50%, due 12/1/48     84,195       79,713
4.00%, due 4/1/46    125,425      122,601
4.00%, due 5/1/46     39,166       38,285
4.00%, due 4/1/47 28,759 28,022
4.00%, due 6/1/47 72,710 70,825
4.00%, due 8/1/47 141,421 137,710
4.00%, due 10/1/47 34,828 33,810
4.00%, due 12/1/47 91,052 88,663
4.00%, due 1/1/48 28,153 27,533
4.00%, due 5/1/48 38,406 37,494
4.00%, due 9/1/48 139,620 135,956
4.00%, due 12/1/48 77,301 75,272
4.50%, due 9/1/46 7,630 7,652
4.50%, due 9/1/46 24,991 25,058
4.50%, due 10/1/46 60,030 60,215
4.50%, due 2/1/47 12,978 13,002
4.50%, due 11/1/47 14,695 14,688
4.50%, due 2/1/48 29,619 29,552
4.50%, due 4/1/48 34,643 34,564
4.50%, due 6/1/48 19,125 19,087
4.50%, due 7/1/48 72,039 71,746
4.50%, due 8/1/48 70,722 70,404
5.00%, due 9/1/38 27,705 28,572
5.00%, due 11/1/41 38,816 40,031
5.00%, due 3/1/47 98,253 100,242
5.00%, due 9/1/48 139,616 141,892
5.00%, due 1/1/49 45,340 46,266
5.50%, due 7/1/38 43,614 44,772
UMBS Pool, 20 Year
2.00%, due 1/1/41 1,904,578 1,668,996
UMBS Pool, 30 Year
2.00%, due 11/1/50 2,092,278 1,743,533
2.50%, due 5/1/50 1,787,937 1,568,592
4.00%, due 7/1/52 1,054,477 1,014,269
4.50%, due 1/1/49 92,131 91,608
    12,255,759
Federal National Mortgage Association (Mortgage Pass-Through Securities) 15.8% 
UMBS, 10 Year
3.00%, due 4/1/25 1,383 1,372
UMBS, 15 Year
1.50%, due 3/1/36 1,028,353 923,358
1.50%, due 7/1/36 1,500,439 1,346,273

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 15 Year
2.00%, due 9/1/36 $   2,003,097 $   1,851,556
2.50%, due 10/1/27     41,356       40,368
2.50%, due 4/1/30     36,742       35,814
2.50%, due 10/1/31     72,297       69,527
2.50%, due 2/1/32     86,469       82,899
2.50%, due 2/1/32     98,788       94,588
2.50%, due 8/1/32    295,958      282,499
2.50%, due 3/1/33 128,547 121,738
2.50%, due 6/1/33 69,252 66,207
3.00%, due 11/1/31 59,417 57,838
3.00%, due 1/1/32 58,453 56,758
3.00%, due 6/1/32 43,090 41,916
3.00%, due 1/1/33 63,005 60,858
3.00%, due 2/1/33 88,350 85,802
3.00%, due 4/1/33 81,669 79,278
3.00%, due 5/1/33 112,183 108,965
3.00%, due 9/1/33 18,548 17,968
3.50%, due 5/1/26 5,435 5,382
3.50%, due 11/1/31 9,935 9,817
3.50%, due 5/1/33 32,869 32,486
3.50%, due 6/1/33 47,080 46,398
3.50%, due 7/1/33 22,210 21,886
3.50%, due 9/1/33 29,162 28,823
4.00%, due 11/1/29 11,182 11,100
UMBS, 20 Year
3.00%, due 2/1/37 92,213 87,698
3.00%, due 1/1/38 185,804 176,384
4.00%, due 2/1/37 16,208 16,131
4.00%, due 8/1/38 95,288 94,481
5.00%, due 8/1/31 4,076 4,083
5.50%, due 8/1/27 14,356 14,521
UMBS, 30 Year
2.00%, due 8/1/50 1,456,154 1,218,708
2.00%, due 8/1/50 1,527,995 1,281,660
2.00%, due 9/1/50 1,925,481 1,601,997
2.00%, due 2/1/51 1,546,514 1,286,018
2.00%, due 3/1/51 1,605,100 1,353,961
2.00%, due 5/1/51 1,885,844 1,567,866
2.00%, due 1/1/52 2,416,875 2,027,098
2.50%, due 4/1/46 22,191 19,766
2.50%, due 10/1/46 101,565 89,457
2.50%, due 11/1/50 1,577,468 1,372,721
2.50%, due 6/1/51 1,943,038 1,690,350
2.50%, due 12/1/51 643,908 560,531
2.50%, due 4/1/52 800,802 709,813
2.50%, due 4/1/52 1,759,434 1,544,692
3.00%, due 9/1/42 406,605 377,247

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year
3.00%, due 3/1/43 $   1,181,841 $   1,096,013
3.00%, due 12/1/43    475,814      440,692
3.00%, due 10/1/44    310,924      288,367
3.00%, due 10/1/46     43,888       40,267
3.00%, due 12/1/46    530,991      485,708
3.00%, due 2/1/47     83,834       76,400
3.00%, due 8/1/47    424,813      390,908
3.00%, due 11/1/47 78,806 72,254
3.00%, due 6/1/48 43,118 39,471
3.00%, due 5/1/52 941,509 850,971
3.50%, due 5/1/45 369,302 352,695
3.50%, due 9/1/45 24,955 23,549
3.50%, due 12/1/45 66,917 63,148
3.50%, due 12/1/45 175,914 167,970
3.50%, due 1/1/46 122,085 116,596
3.50%, due 1/1/46 99,407 93,931
3.50%, due 4/1/46 42,193 39,816
3.50%, due 9/1/46 222,448 211,186
3.50%, due 10/1/46 101,225 95,522
3.50%, due 10/1/46 40,505 38,223
3.50%, due 1/1/47 75,560 71,595
3.50%, due 7/1/47 15,914 15,018
3.50%, due 7/1/47 93,272 89,060
3.50%, due 10/1/47 56,418 53,240
3.50%, due 11/1/47 187,184 176,639
3.50%, due 11/1/47 80,705 76,157
3.50%, due 11/1/47 216,630 204,426
3.50%, due 12/1/47 15,474 14,602
3.50%, due 8/1/48 101,544 95,822
3.50%, due 9/1/48 126,085 118,979
3.50%, due 2/1/49 238,456 224,120
3.50%, due 6/1/49 2,692 2,539
3.50%, due 10/1/52 592,047 551,335
4.00%, due 8/1/44 104,504 102,771
4.00%, due 2/1/45 82,135 80,197
4.00%, due 9/1/45 14,968 14,615
4.00%, due 5/1/46 71,450 69,764
4.00%, due 9/1/46 28,886 28,204
4.00%, due 9/1/46 34,416 33,541
4.00%, due 2/1/47 15,407 15,044
4.00%, due 4/1/47 5,892 5,735
4.00%, due 5/1/47 43,429 42,269
4.00%, due 5/1/47 35,550 34,601
4.00%, due 6/1/47 137,912 134,651
4.00%, due 10/1/47 14,699 14,312
4.00%, due 11/1/47 14,447 14,052
4.00%, due 12/1/47 31,824 30,955

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year
4.00%, due 1/1/48 $      80,346 $      78,151
4.00%, due 1/1/48     15,068       14,657
4.00%, due 1/1/48     86,450       84,088
4.00%, due 2/1/48     42,706       41,539
4.00%, due 6/1/48    207,275      201,611
4.00%, due 7/1/48    100,877       98,120
4.00%, due 7/1/48     34,055       33,124
4.00%, due 7/1/48 164,795 160,292
4.00%, due 8/1/48 26,096 25,383
4.00%, due 9/1/48 104,312 101,462
4.00%, due 9/1/48 25,407 24,712
4.00%, due 10/1/48 17,727 17,242
4.00%, due 11/1/48 46,343 45,076
4.00%, due 1/1/49 36,870 35,863
4.50%, due 7/1/46 15,377 15,410
4.50%, due 12/1/46 25,089 25,123
4.50%, due 4/1/47 246,454 245,470
4.50%, due 5/1/47 6,677 6,671
4.50%, due 7/1/47 102,718 101,896
4.50%, due 7/1/47 21,848 21,774
4.50%, due 8/1/47 1,348 1,345
4.50%, due 2/1/48 97,439 96,798
4.50%, due 4/1/48 13,034 12,965
4.50%, due 4/1/48 7,020 6,995
4.50%, due 4/1/48 31,810 31,753
4.50%, due 5/1/48 61,429 61,209
4.50%, due 6/1/48 32,192 32,077
4.50%, due 8/1/48 57,325 56,882
4.50%, due 10/1/48 19,535 19,434
4.50%, due 9/1/49 263,656 262,169
4.50%, due 11/1/52 1,068,472 1,051,651
5.00%, due 6/1/39 64,021 65,951
5.00%, due 6/1/40 16,206 16,696
5.00%, due 7/1/47 29,894 30,400
5.00%, due 1/1/48 38,581 39,317
5.00%, due 4/1/48 26,506 27,133
5.00%, due 5/1/48 30,282 30,714
5.00%, due 9/1/48 14,815 15,139
5.00%, due 2/1/53 443,541 443,635
5.50%, due 6/1/36 19,953 20,675
5.50%, due 5/1/44 41,178 42,648
5.50%, due 9/1/48 64,309 66,167
5.50%, due 11/1/52 1,528,141 1,549,586
UMBS, Single Family, 30 Year TBA (f)
2.50%, due 10/25/54 1,300,000 1,122,012
6.00%, due 10/25/54 1,100,000 1,124,232
    37,579,834

  Principal
Amount
Value
U.S. Government & Federal Agencies
Government National Mortgage Association (Mortgage Pass-Through Securities) 5.6% 
GNMA I, Single Family, 30 Year
3.00%, due 6/15/45 $      12,818 $      11,944
3.00%, due 10/15/45      7,514        7,020
3.00%, due 5/15/48     57,566       52,991
3.50%, due 3/15/45      6,364        6,122
3.50%, due 4/15/45     12,583       12,104
3.50%, due 5/15/48     22,530       21,304
4.00%, due 8/15/46     21,854       21,405
4.00%, due 11/15/47 53,208 52,115
4.00%, due 7/15/49 46,306 45,116
4.50%, due 8/15/46 18,179 18,251
4.50%, due 2/15/47 2,754 2,761
4.50%, due 4/15/47 14,904 15,293
4.50%, due 8/15/47 86,918 88,087
4.50%, due 8/15/47 119,990 123,000
5.00%, due 4/15/47 15,686 15,842
5.00%, due 12/15/47 17,978 18,049
GNMA II, Single Family, 30 Year
2.00%, due 6/20/51 4,257,086 3,609,956
2.50%, due 4/20/47 23,284 20,875
2.50%, due 5/20/51 4,312,194 3,804,481
3.00%, due 11/20/45 228,281 211,723
3.00%, due 8/20/46 75,832 70,082
3.00%, due 9/20/46 40,334 37,187
3.00%, due 10/20/46 253,800 233,688
3.00%, due 1/20/47 295,259 271,935
3.00%, due 5/20/47 51,996 48,042
3.00%, due 12/20/47 152,795 140,763
3.00%, due 2/20/48 167,752 154,726
3.00%, due 3/20/48 192,216 177,044
3.00%, due 9/20/51 1,239,337 1,130,577
3.50%, due 11/20/42 97,463 91,976
3.50%, due 9/20/44 125,292 119,632
3.50%, due 11/20/45 141,475 134,895
3.50%, due 7/20/46 14,565 13,858
3.50%, due 10/20/46 15,570 14,809
3.50%, due 11/20/46 189,422 180,102
3.50%, due 1/20/47 215,180 204,607
3.50%, due 5/20/47 154,710 146,955
3.50%, due 9/20/47 153,352 145,380
3.50%, due 10/20/47 275,005 260,798
3.50%, due 12/20/47 136,758 129,676
3.50%, due 7/20/48 73,337 69,529
3.50%, due 10/20/48 78,071 74,151
4.00%, due 12/20/46 12,888 12,632
4.00%, due 1/20/47 98,862 97,072
4.00%, due 2/20/47 23,434 22,978
4.00%, due 3/20/47 17,307 16,933

  Principal
Amount
Value
U.S. Government & Federal Agencies
Government National Mortgage Association (Mortgage Pass-Through Securities)  
GNMA II, Single Family, 30 Year
4.00%, due 4/20/47 $      37,045 $      36,272
4.00%, due 5/20/47     31,304       30,531
4.00%, due 7/20/47     12,145       11,910
4.00%, due 11/20/47    152,213      148,971
4.00%, due 12/20/47     33,635       32,918
4.00%, due 4/20/48    112,638      109,925
4.00%, due 5/20/48     50,750       49,574
4.00%, due 6/20/48 21,151 20,684
4.00%, due 8/20/48 142,697 139,346
4.00%, due 9/20/48 76,645 74,917
4.00%, due 3/20/49 19,246 18,794
4.50%, due 8/20/46 44,580 44,893
4.50%, due 4/20/47 34,761 34,727
4.50%, due 11/20/47 32,453 32,512
4.50%, due 1/20/48 73,595 73,682
4.50%, due 3/20/48 31,014 31,064
4.50%, due 5/20/48 25,602 25,612
4.50%, due 6/20/48 42,025 42,031
5.00%, due 8/20/45 58,044 59,592
5.00%, due 11/20/46 35,248 36,217
5.00%, due 11/20/47 31,511 32,058
5.00%, due 3/20/48 18,426 18,802
5.00%, due 6/20/48 38,063 38,654
    13,302,152
United States Treasury Bonds 7.1% 
U.S. Treasury Bonds
2.75%, due 8/15/47 235,000 183,401
2.75%, due 11/15/47 300,000 233,578
2.875%, due 5/15/49 250,000 197,354
3.00%, due 2/15/47 315,000 258,128
3.00%, due 5/15/47 175,000 143,179
3.00%, due 2/15/48 1,730,000 1,407,044
3.00%, due 8/15/48 715,000 579,848
3.00%, due 2/15/49 845,000 684,087
3.00%, due 8/15/52 4,145,000 3,331,058
3.125%, due 5/15/48 1,310,000 1,088,016
3.375%, due 11/15/48 550,000 476,652
3.625%, due 5/15/53 1,965,000 1,788,227
4.00%, due 11/15/52 2,650,000 2,578,574
4.125%, due 8/15/53 1,775,000 1,767,581
4.625%, due 5/15/54 1,980,000 2,147,681
    16,864,408
United States Treasury Notes 34.4% 
U.S. Treasury Notes
0.50%, due 8/31/27 800,000 732,469

  Principal
Amount
Value
U.S. Government & Federal Agencies
United States Treasury Notes  
U.S. Treasury Notes
1.00%, due 7/31/28 $     225,000 $     204,346
1.125%, due 2/29/28    400,000      368,719
1.25%, due 3/31/28    200,000      184,820
1.25%, due 5/31/28    875,000      805,376
1.25%, due 6/30/28    500,000      459,414
1.50%, due 1/31/27    325,000      309,753
1.875%, due 2/28/27    475,000      456,167
1.875%, due 2/28/29 610,000 567,919
2.375%, due 3/31/29 5,575,000 5,296,903
2.375%, due 5/15/29 825,000 782,977
2.50%, due 3/31/27 300,000 292,289
2.625%, due 7/31/29 700,000 670,387
2.75%, due 7/31/27 775,000 757,714
2.75%, due 5/31/29 675,000 650,927
2.875%, due 4/30/29 400,000 388,141
3.25%, due 6/30/29 675,000 665,270
3.375%, due 9/15/27 3,000,000 2,984,766
3.50%, due 1/31/28 1,075,000 1,072,564
3.50%, due 1/31/30 1,810,000 1,800,950
3.625%, due 3/31/28 250,000 250,508
3.75%, due 8/15/27 2,250,000 2,260,723
3.75%, due 12/31/28 300,000 302,016
3.75%, due 6/30/30 375,000 377,461
3.875%, due 1/15/26 500,000 500,254
3.875%, due 11/30/27 6,675,000 6,733,406
3.875%, due 9/30/29 1,675,000 1,696,265
3.875%, due 11/30/29 1,425,000 1,443,647
3.875%, due 8/15/34 3,775,000 3,801,543
4.00%, due 2/15/26 1,500,000 1,504,043
4.00%, due 1/15/27 900,000 907,453
4.00%, due 2/29/28 500,000 506,797
4.00%, due 1/31/29 450,000 457,594
4.00%, due 10/31/29 1,520,000 1,548,144
4.00%, due 2/28/30 2,075,000 2,114,798
4.00%, due 1/31/31 275,000 280,425
4.125%, due 6/15/26 425,000 427,872
4.125%, due 2/15/27 1,200,000 1,213,875
4.125%, due 10/31/27 960,000 975,187
4.125%, due 3/31/29 700,000 715,887
4.125%, due 8/31/30 585,000 600,311
4.25%, due 1/31/26 500,000 502,695
4.25%, due 3/15/27 600,000 609,258
4.25%, due 6/30/29 365,000 375,665
4.25%, due 2/28/31 4,650,000 4,808,936
4.25%, due 6/30/31 5,100,000 5,279,695
4.375%, due 10/31/24 2,200,000 2,198,923
4.375%, due 8/15/26 1,300,000 1,316,250

  Principal
Amount
  Value
U.S. Government & Federal Agencies
United States Treasury Notes  
U.S. Treasury Notes
4.375%, due 12/15/26 $     500,000   $     507,930
4.375%, due 5/15/34    300,000        314,203
4.50%, due 3/31/26    200,000        202,109
4.50%, due 7/15/26    700,000        709,680
4.50%, due 4/15/27    300,000        306,527
4.50%, due 5/15/27    150,000        153,393
4.50%, due 5/31/29    200,000        208,000
4.625%, due 2/28/26 500,000   505,566
4.625%, due 3/15/26 175,000   177,105
4.625%, due 9/15/26 2,325,000   2,366,686
4.625%, due 10/15/26 1,385,000   1,411,077
4.625%, due 11/15/26 1,625,000   1,657,436
4.625%, due 4/30/29 550,000   574,320
4.625%, due 4/30/31 3,035,000   3,206,311
4.625%, due 5/31/31 5,150,000   5,442,102
4.875%, due 4/30/26 150,000   152,561
4.875%, due 10/31/30 795,000   848,538
      81,905,046
Total U.S. Government & Federal Agencies
(Cost $166,621,374)
    161,907,199
Total Long-Term Bonds
(Cost $244,124,669)
    232,837,855
 
  Shares    
 
Exchange-Traded Fund 1.0%
iShares iBoxx $ Investment Grade Corporate Bond ETF 21,017   2,374,501
Total Exchange-Traded Fund
(Cost $2,285,272)
    2,374,501
Total Investments
(Cost $246,409,941)
98.8%   235,212,356
Other Assets, Less Liabilities 1.2   2,913,770
Net Assets 100.0%   $ 238,126,126
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
(a) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(b) Floating rate—Rate shown was the rate in effect as of September 30, 2024.
(c) May be sold to institutional investors only under Rule 144A or securities offered pursuant to Section 4(a)(2) of the Securities Act of 1933, as amended.
(d) Step coupon—Rate shown was the rate in effect as of September 30, 2024.

(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, 2024.
(f) TBA—Security 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, 2024, the total net market value was $2,246,244, which represented 0.9% of the Portfolio’s net assets. All or a portion of this security is a part of a mortgage dollar roll agreement.
    
Abbreviation(s):
ETF—Exchange-Traded Fund
FFCB—Federal Farm Credit Bank
FHLMC—Federal Home Loan Mortgage Corp.
GNMA—Government National Mortgage Association
REMIC—Real Estate Mortgage Investment Conduit
TBA—To Be Announced
UMBS—Uniform Mortgage Backed Securities
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, for valuing the Portfolio’s assets:
Description Quoted
Prices in
Active
Markets for
Identical
Assets
(Level 1)
  Significant
Other
Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)
  Total
Asset Valuation Inputs              
Investments in Securities (a)              
Long-Term Bonds              
Corporate Bonds         $ —     $ 59,300,108   $ —     $ 59,300,108
Foreign Government Bonds         —      7,762,886        7,762,886
Mortgage-Backed Securities         —      3,867,662        3,867,662
U.S. Government & Federal Agencies         —    161,907,199      161,907,199
Total Long-Term Bonds   232,837,855     232,837,855
Exchange-Traded Fund  2,374,501             —        2,374,501
Total Investments in Securities $ 2,374,501   $ 232,837,855   $ —   $ 235,212,356
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Hedge Multi-Strategy Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Exchange-Traded Funds 92.0%
Alternative 9.4%
Affiliated Investment Company 4.2% 
NYLI Merger Arbitrage ETF    315,247 $  10,365,321
Derivative Income Funds 1.7% 
JPMorgan Equity Premium Income ETF (a)     64,661    3,847,976
JPMorgan Nasdaq Equity Premium Income ETF (a)      6,556     360,121
    4,208,097
Managed Futures Funds 1.4% 
iMGP DBi Managed Futures Strategy ETF     83,613    2,352,034
KraneShares Mount Lucas Managed Futures Index Strategy ETF (a)(b)     23,048      673,693
Simplify Managed Futures Strategy ETF (a)     18,449     479,674
    3,505,401
Merger Arbitrage Fund 1.1% 
AltShares Merger Arbitrage ETF (b)     98,191   2,721,855
Private Equity Replication Fund 1.0% 
Invesco Global Listed Private Equity ETF     36,046   2,459,058
Total Alternative
(Cost $22,081,574)
  23,259,732
Bonds 51.4%
Bank Loan Funds 4.8% 
Invesco Senior Loan ETF 318,842 6,698,870
SPDR Blackstone Senior Loan ETF (a) 121,117 5,057,846
    11,756,716
Convertible Bond Funds 10.4% 
iShares Convertible Bond ETF (a) 111,450 9,325,021
SPDR Bloomberg Convertible Securities ETF (a) 213,091 16,320,640
    25,645,661
Floating Rate—Investment Grade Funds 20.7% 
iShares Floating Rate Bond ETF (a) 750,669 38,314,146
SPDR Bloomberg Investment Grade Floating Rate ETF (a) 413,948 12,770,296
    51,084,442
Municipal Bond Funds 5.7% 
iShares National Muni Bond ETF (a) 68,773 7,470,811
Vanguard Tax-Exempt Bond Index ETF (a) 129,198 6,604,602
    14,075,413
Short Duration Fund 5.3% 
Vanguard Short-Term Treasury ETF 223,391 13,184,537

  Shares Value
Bonds
Treasury Inflation Protected Security Funds 4.5% 
iShares 0-5 Year TIPS Bond ETF (a)     46,571 $   4,718,573
Vanguard Short-Term Inflation-Protected Securities ETF    131,993   6,508,575
    11,227,148
Total Bonds
(Cost $122,755,294)
  126,973,917
Commodities 4.6%
Agriculture Fund 2.8% 
Invesco DB Agriculture Fund (b)    261,513   6,822,874
Broad Fund 1.8% 
Invesco Optimum Yield Diversified Commodity Strategy No. K-1 ETF (a)    329,122   4,420,108
Total Commodities
(Cost $10,863,361)
  11,242,982
Equities 26.6%
Emerging Equity Funds 6.8% 
Invesco India ETF (a)(b)      3,545      108,867
iShares Core MSCI Emerging Markets ETF    103,695    5,953,130
iShares MSCI India ETF (b)     80,039    4,684,683
Vanguard FTSE Emerging Markets ETF    126,350   6,045,847
    16,792,527
International Equity Core Funds 7.2% 
iShares Core MSCI EAFE ETF 107,609 8,398,882
Vanguard FTSE Developed Markets ETF 178,427 9,422,730
    17,821,612
U.S. Large Cap Core Funds 2.0% 
Financial Select Sector SPDR Fund 50,485 2,287,980
Materials Select Sector SPDR Fund (a) 13,609 1,311,636
Vanguard Financials ETF 4,974 546,692
Vanguard Materials ETF (a) 3,289 695,525
    4,841,833
U.S. Mid Cap Core Funds 1.5% 
iShares Core S&P Mid-Cap ETF 33,090 2,062,169
Vanguard Mid-Cap ETF 6,182 1,630,997
    3,693,166
U.S. Momentum Funds 3.9% 
Invesco S&P 500 Quality ETF (a) 7,441 500,556
iShares MSCI USA Momentum Factor ETF (a) 33,954 6,884,513
iShares MSCI USA Quality Factor ETF (a) 12,792 2,293,606
    9,678,675

  Shares Value
Equities
U.S. Preferred Funds 3.4% 
Global X U.S. Preferred ETF (a)     57,609 $   1,197,115
iShares Preferred & Income Securities ETF (a)    219,512   7,294,384
    8,491,499
U.S. Small Cap Core Funds 1.8% 
iShares Core S&P Small-Cap ETF (a)     33,812    3,954,651
SPDR Portfolio S&P 600 Small Cap ETF     11,580     527,006
    4,481,657
Total Equities
(Cost $60,223,566)
  65,800,969
Total Exchange-Traded Funds
(Cost $215,923,795)
  227,277,600
Exchange-Traded Vehicles 7.8%
Commodities 0.8%
Broad Fund 0.3% 
iShares GSCI Commodity Dynamic Roll Strategy ETF (a)     33,212     860,523
Gold Fund 0.5% 
SPDR Gold MiniShares Trust (b)     21,395   1,115,321
Total Commodities
(Cost $1,890,104)
  1,975,844
Currency 7.0%
U.S. Dollar Fund 7.0% 
Invesco DB U.S. Dollar Index Bullish Fund (b) 615,442 17,343,156
Total Exchange-Traded Vehicles
(Cost $19,290,996)
  19,319,000
 
Short-Term Investments 18.0%
Affiliated Investment Company 0.1% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 227,058 227,058
Unaffiliated Investment Companies 17.9% 
BlackRock Liquidity FedFund, 4.94% (c)(d) 1,000,000 1,000,000
Invesco Government & Agency Portfolio, 4.92% (c)(d) 36,379,251 36,379,251
Morgan Stanley Institutional Liquidity Fund Government Portfolio, 4.93% (c)(d) 3,000,000 3,000,000

  Shares   Value
Short-Term Investments
Unaffiliated Investment Companies  
State Street Institutional U.S. Government Money Market Fund, 5.00% (c)(d)  4,000,000   $   4,000,000
Total Unaffiliated Investment Companies
(Cost $44,379,251)
    44,379,251
Total Short-Term Investments
(Cost $44,606,309)
    44,606,309
Total Investments
(Cost $279,821,100)
117.8%   291,202,909
Other Assets, Less Liabilities (17.8)   (44,090,365)
Net Assets 100.0%   $ 247,112,544
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $53,603,434; the total market value of collateral held by the Portfolio was $54,830,942. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $10,451,691. The Portfolio received cash collateral with a value of $44,379,251.  
(b) Non-income producing security.
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI Merger Arbitrage ETF $ 12,160 $ 2,415 $ (4,663) $ 50 $ 403 $ 10,365 $ — $ — 315
NYLI U.S. Government Liquidity Fund 2,889 24,862 (27,524) 227 35 227
  $15,049 $27,277 $(32,187) $50 $403 $10,592 $35 $ 
Swap Contracts
Open OTC total return equity swap contracts as of September 30, 2024 were as follows1:
Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Bank of America Merrill Lynch AGF US Market Neutral Anti-Beta Fund Federal Funds Composite Interest Rate 3/2/26 Monthly (3,494) $ —
Morgan Stanley & Co. AGF US Market Neutral Anti-Beta Fund Federal Fund Rate minus 7.38% 9/16/25 Monthly (3,494)
Bank of America Merrill Lynch AltShares Merger Arbitrage ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 130
Morgan Stanley & Co. AltShares Merger Arbitrage ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 130
Bank of America Merrill Lynch Consumer Staples Select Sector SPDR Fund Federal Funds Composite Interest Rate 3/2/26 Monthly (24)

Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Morgan Stanley & Co. Consumer Staples Select Sector SPDR Fund Federal Fund Rate minus 0.35% 9/16/25 Monthly (24) $ —
Bank of America Merrill Lynch Financial Select Sector SPDR Fund Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 109
Morgan Stanley & Co. Financial Select Sector SPDR Fund Federal Fund Rate plus 0.50% 9/16/25 Monthly 109
Bank of America Merrill Lynch Franklin FTSE Japan ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (59)
Morgan Stanley & Co. Franklin FTSE Japan ETF Federal Fund Rate minus 0.58% 9/16/25 Monthly (59)
Bank of America Merrill Lynch Global X US Preferred ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 57
Morgan Stanley & Co. Global X US Preferred ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 57
Bank of America Merrill Lynch iMGP DBi Managed Futures Strategy ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 112
Morgan Stanley & Co. iMGP DBi Managed Futures Strategy ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 112
Bank of America Merrill Lynch Invesco DB Agriculture Fund Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 320
Morgan Stanley & Co. Invesco DB Agriculture Fund Federal Fund Rate plus 0.64% 9/16/25 Monthly 320
Bank of America Merrill Lynch Invesco DB US Dollar Index Bullish Fund Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 840
Morgan Stanley & Co. Invesco DB US Dollar Index Bullish Fund Federal Fund Rate plus 0.67% 9/16/25 Monthly 840
Bank of America Merrill Lynch Invesco Exchange-Traded Fund Trust - Invesco S&P 500 Quality ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 24
Morgan Stanley & Co. Invesco Exchange-Traded Fund Trust - Invesco S&P 500 Quality ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 24
Bank of America Merrill Lynch Invesco Global Listed Private Equity ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 117
Morgan Stanley & Co. Invesco Global Listed Private Equity ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 117
Bank of America Merrill Lynch Invesco India Exchange-Traded Fund Trust Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 5
Morgan Stanley & Co. Invesco India Exchange-Traded Fund Trust Federal Fund Rate plus 0.50% 9/16/25 Monthly 5
Bank of America Merrill Lynch Invesco Optimum Yield Diversified Commodity Strategy No. K-1 ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 211
Morgan Stanley & Co. Invesco Optimum Yield Diversified Commodity Strategy No. K-1 ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 211
Bank of America Merrill Lynch Invesco Senior Loan ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 314
Morgan Stanley & Co. Invesco Senior Loan ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 314
Bank of America Merrill Lynch iShares 0-3 Month Treasury Bond ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (828)
Morgan Stanley & Co. iShares 0-3 Month Treasury Bond ETF Federal Fund Rate minus 0.83% 9/16/25 Monthly (828)
Bank of America Merrill Lynch iShares 0-5 Year TIPS Bond ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 222
Morgan Stanley & Co. iShares 0-5 Year TIPS Bond ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 222
Bank of America Merrill Lynch iShares Convertible Bond ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 437
Morgan Stanley & Co. iShares Convertible Bond ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 437
Bank of America Merrill Lynch iShares Core MSCI EAFE ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 394

Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Morgan Stanley & Co. iShares Core MSCI EAFE ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 394 $ —
Bank of America Merrill Lynch iShares Core MSCI Emerging Markets ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 280
Morgan Stanley & Co. iShares Core MSCI Emerging Markets ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 280
Bank of America Merrill Lynch iShares Core S&P Mid-Cap ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 98
Morgan Stanley & Co. iShares Core S&P Mid-Cap ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 98
Bank of America Merrill Lynch iShares Core S&P Small-Cap ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 189
Morgan Stanley & Co. iShares Core S&P Small-Cap ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 189
Bank of America Merrill Lynch iShares Floating Rate Bond ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 1,856
Morgan Stanley & Co. iShares Floating Rate Bond ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 1,856
Bank of America Merrill Lynch iShares GSCI Commodity Dynamic Roll Strategy ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 41
Morgan Stanley & Co. iShares GSCI Commodity Dynamic Roll Strategy ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 41
Bank of America Merrill Lynch iShares International Treasury Bond ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (755)
Morgan Stanley & Co. iShares International Treasury Bond ETF Federal Fund Rate minus 20.33% 9/16/25 Monthly (755)
Bank of America Merrill Lynch iShares MSCI India ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 221
Morgan Stanley & Co. iShares MSCI India ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 221
Bank of America Merrill Lynch iShares MSCI USA Momentum Factor ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 323
Morgan Stanley & Co. iShares MSCI USA Momentum Factor ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 323
Bank of America Merrill Lynch iShares MSCI USA Quality Factor ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 109
Morgan Stanley & Co. iShares MSCI USA Quality Factor ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 109
Bank of America Merrill Lynch iShares National Muni Bond ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 350
Morgan Stanley & Co. iShares National Muni Bond ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 350
Bank of America Merrill Lynch iShares Preferred & Income Securities ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 342
Morgan Stanley & Co. iShares Preferred & Income Securities ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 342
Bank of America Merrill Lynch JPMorgan BetaBuilders Japan ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (327)
Morgan Stanley & Co. JPMorgan BetaBuilders Japan ETF Federal Fund Rate minus 3.13% 9/16/25 Monthly (327)
Bank of America Merrill Lynch JPMorgan Equity Premium Income ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 183
Morgan Stanley & Co. JPMorgan Equity Premium Income ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 183
Bank of America Merrill Lynch JPMorgan Nasdaq Equity Premium Income ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 17
Morgan Stanley & Co. JPMorgan Nasdaq Equity Premium Income ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 17
Bank of America Merrill Lynch KraneShares Mount Lucas Managed Futures Index Strategy ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 32

Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Morgan Stanley & Co. KraneShares Mount Lucas Managed Futures Index Strategy ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 32 $ —
Bank of America Merrill Lynch Materials Select Sector SPDR Fund Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 62
Morgan Stanley & Co. Materials Select Sector SPDR Fund Federal Fund Rate plus 0.50% 9/16/25 Monthly 62
Bank of America Merrill Lynch NYLI Merger Arbitrage ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 499
Morgan Stanley & Co. NYLI Merger Arbitrage ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 499
Bank of America Merrill Lynch Schwab Intermediate-Term U.S. Treasury ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (464)
Morgan Stanley & Co. Schwab Intermediate-Term U.S. Treasury ETF Federal Fund Rate minus 0.78% 9/16/25 Monthly (464)
Bank of America Merrill Lynch Simplify Managed Futures Strategy ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 23
Morgan Stanley & Co. Simplify Managed Futures Strategy ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 23
Bank of America Merrill Lynch SPDR Blackstone Senior Loan ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 238
Morgan Stanley & Co. SPDR Blackstone Senior Loan ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 238
Bank of America Merrill Lynch SPDR Bloomberg 1-3 Month T-Bill ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (1,190)
Morgan Stanley & Co. SPDR Bloomberg 1-3 Month T-Bill ETF Federal Fund Rate minus 0.35% 9/16/25 Monthly (1,190)
Bank of America Merrill Lynch SPDR Bloomberg Convertible Securities ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 791
Morgan Stanley & Co. SPDR Bloomberg Convertible Securities ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 791
Bank of America Merrill Lynch SPDR Bloomberg International Treasury Bond ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (1,441)
Morgan Stanley & Co. SPDR Bloomberg International Treasury Bond ETF Federal Fund Rate minus 5.28% 9/16/25 Monthly (1,441)
Bank of America Merrill Lynch SPDR Bloomberg Investment Grade Floating Rate ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 619
Morgan Stanley & Co. SPDR Bloomberg Investment Grade Floating Rate ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 619
Bank of America Merrill Lynch SPDR Gold MiniShares Trust Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 53
Morgan Stanley & Co. SPDR Gold MiniShares Trust Federal Fund Rate plus 0.50% 9/16/25 Monthly 53
Bank of America Merrill Lynch SPDR Portfolio S&P 600 Small Cap ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 25
Morgan Stanley & Co. SPDR Portfolio S&P 600 Small Cap ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 25
Bank of America Merrill Lynch United States Natural Gas Fund LP Federal Funds Composite Interest Rate 3/2/26 Monthly (556)
Morgan Stanley & Co. United States Natural Gas Fund LP Federal Fund Rate minus 0.58% 9/16/25 Monthly (556)
Bank of America Merrill Lynch Utilities Select Sector SPDR Fund Federal Funds Composite Interest Rate 3/2/26 Monthly (589)
Morgan Stanley & Co. Utilities Select Sector SPDR Fund Federal Fund Rate minus 0.35% 9/16/25 Monthly (589)
Morgan Stanley & Co. Vanguard Consumer Staples ETF Federal Fund Rate minus 0.78% 9/16/25 Monthly (21)
Bank of America Merrill Lynch Vanguard Financials ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 26
Morgan Stanley & Co. Vanguard Financials ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 26

Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Bank of America Merrill Lynch Vanguard FTSE Developed Markets ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 445 $ —
Morgan Stanley & Co. Vanguard FTSE Developed Markets ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 445
Bank of America Merrill Lynch Vanguard FTSE Emerging Markets ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 285
Morgan Stanley & Co. Vanguard FTSE Emerging Markets ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 285
Bank of America Merrill Lynch Vanguard Intermediate-Term Treasury ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (1,630)
Morgan Stanley & Co. Vanguard Intermediate-Term Treasury ETF Federal Fund Rate minus 0.35% 9/16/25 Monthly (1,630)
Bank of America Merrill Lynch Vanguard Materials ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 33
Morgan Stanley & Co. Vanguard Materials ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 33
Bank of America Merrill Lynch Vanguard Mid-Cap ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 77
Morgan Stanley & Co. Vanguard Mid-Cap ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 77
Bank of America Merrill Lynch Vanguard Short-Term Inflation-Protected Securities ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 305
Morgan Stanley & Co. Vanguard Short-Term Inflation-Protected Securities ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 305
Bank of America Merrill Lynch Vanguard Short-Term Treasury ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 639
Morgan Stanley & Co. Vanguard Short-Term Treasury ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 639
Bank of America Merrill Lynch Vanguard Tax-Exempt Bond Index ETF Federal Funds Composite Interest Rate plus 0.50% 3/2/26 Monthly 310
Morgan Stanley & Co. Vanguard Tax-Exempt Bond Index ETF Federal Fund Rate plus 0.50% 9/16/25 Monthly 310
Bank of America Merrill Lynch Vanguard Utilities ETF Federal Funds Composite Interest Rate 3/2/26 Monthly (233)
Morgan Stanley & Co. Vanguard Utilities ETF Federal Fund Rate minus 0.83% 9/16/25 Monthly (233)
            $ —
    
1. As of September 30, 2024, cash in the amount $660,000 was pledged to brokers for OTC swap contracts.
2. Portfolio pays or receives the floating rate and receives or pays the total return of the referenced entity.
3. 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.
4. Reflects the value at reset date as of September 30, 2024.
    
Abbreviation(s):
DB—Deutsche Bank
EAFE—Europe, Australasia and Far East
ETF—Exchange-Traded Fund
FTSE—Financial Times Stock Exchange
GSCI—Goldman Sachs Commodity Index
MSCI—Morgan Stanley Capital International
SPDR—Standard & Poor’s Depositary Receipt
TIPS—Treasury Inflation-Protected Security

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 227,277,600   $ —   $ —    $ 227,277,600
Exchange-Traded Vehicles   19,319,000         19,319,000
Short-Term Investments              
Affiliated Investment Company      227,058            227,058
Unaffiliated Investment Companies   44,379,251         44,379,251
Total Short-Term Investments 44,606,309       44,606,309
Total Investments in Securities $ 291,202,909   $ —   $ —   $ 291,202,909
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Janus Henderson Balanced Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 37.4%
Asset-Backed Securities 4.7%
Automobile Asset-Backed Securities 0.1% 
Arivo Acceptance Auto Loan Receivables Trust  
Series 2022-1A, Class A                         
3.93%, due 5/15/28 (a) $      110,223 $       109,488
Exeter Automobile Receivables Trust  
Series 2021-1A, Class D                         
1.08%, due 11/16/26     315,186        310,410
JPMorgan Chase Bank NA  
Series 2021-2, Class B    
0.889%, due 12/26/28 (a) 20,973 20,880
LAD Auto Receivables Trust  
Series 2022-1A, Class A    
5.21%, due 6/15/27 (a) 343,915 344,419
Lendbuzz Securitization Trust (a)  
Series 2022-1A, Class A    
4.22%, due 5/17/27 344,359 341,581
Series 2023-1A, Class A2    
6.92%, due 8/15/28 299,570 305,080
Santander Bank Auto Credit-Linked Notes (a)  
Series 2022-A, Class B    
5.281%, due 5/15/32 238,536 238,392
Series 2022-B, Class A2    
5.587%, due 8/16/32 135,636 137,004
Santander Bank NA  
Series 2021-1A, Class B    
1.833%, due 12/15/31 (a) 18,160 18,095
    1,825,349
Home Equity Asset-Backed Securities 0.7% 
FIGRE Trust (a)(b)  
Series 2024-HE4, Class A    
5.056%, due 9/25/54 846,000 849,426
Series 2024-HE3, Class A    
5.937%, due 7/25/54 447,730 457,258
Series 2024-HE1, Class A    
6.165%, due 3/25/54 710,854 723,720
Series 2024-HE2, Class A    
6.38%, due 5/25/54 580,156 593,977
RCKT Mortgage Trust (a)  
Series 2024-CES6, Class A1A    
5.344%, due 9/25/44 (c) 1,176,041 1,182,334
Series 2024-CES1, Class A1A    
6.025%, due 2/25/44 (b) 854,408 863,781
Series 2024-CES2, Class A1A    
6.141%, due 4/25/44 (b) 2,366,817 2,395,125
Series 2024-CES3, Class A1A    
6.591%, due 5/25/44 (b) 906,513 922,292

  Principal
Amount
Value
Asset-Backed Securities
Home Equity Asset-Backed Securities  
RCKT Mortgage Trust (a)  
Series 2023-CES3, Class A1A                         
7.113%, due 11/25/43 (b) $      663,909 $       679,615
Saluda Grade Alternative Mortgage Trust (a)(b)  
Series 2023-FIG4, Class A                         
6.718%, due 11/25/53     896,379        922,291
Series 2023-FIG3, Class A                         
7.067%, due 8/25/53   1,648,533     1,706,428
    11,296,247
Other Asset-Backed Securities 3.9% 
American Tower Trust #1  
5.49%, due 3/15/28 (a) 2,081,000 2,121,375
Aqua Finance Trust  
Series 2021-A, Class A    
1.54%, due 7/17/46 (a) 188,408 173,887
ARES LX CLO Ltd.  
Series 2021-60A, Class A    
6.661% (3 Month SOFR + 1.382%), due 7/18/34 (a)(d) 322,000 322,185
ARES XXXIX CLO Ltd.  
Series 2016-39A, Class AR3    
6.75% (3 Month SOFR + 1.42%), due 7/18/37 (a)(d) 1,331,120 1,333,307
Ballyrock CLO 14 Ltd. (a)(d)  
Series 2020-14A, Class A1AR    
6.679% (3 Month SOFR + 1.38%), due 7/20/37 2,156,678 2,160,208
Series 2020-14A, Class A1BR    
6.879% (3 Month SOFR + 1.58%), due 7/20/37 345,453 346,281
Benefit Street Partners CLO XV Ltd.  
Series 2018-15A, Class A1R    
6.698% (3 Month SOFR + 1.39%), due 7/15/37 (a)(d) 1,290,000 1,291,947
Carlyle U.S. CLO Ltd. (a)(d)  
Series 2018-4A, Class A2R    
6.427% (3 Month SOFR + 1.56%), due 10/17/37 2,203,000 2,204,192
Series 2017-3A, Class A1R2    
6.535% (3 Month SOFR + 1.40%), due 10/21/37 1,575,000 1,575,821
CBAM Ltd. (a)(d)  
Series 2019-11RA, Class A1    
6.724% (3 Month SOFR + 1.442%), due 1/20/35 1,569,000 1,569,554
Series 2019-11RA, Class B    
7.294% (3 Month SOFR + 2.012%), due 1/20/35 400,456 400,802
Cedar Funding IX CLO Ltd.  
Series 2018-9A, Class AR    
6.702% (3 Month SOFR + 1.42%), due 7/20/37 (a)(d) 1,715,000 1,715,250
CF Hippolyta Issuer LLC (a)  
Series 2021-1A, Class A1    
1.53%, due 3/15/61 951,872 894,238
Series 2020-1, Class A1    
1.69%, due 7/15/60 612,237 592,409

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
CF Hippolyta Issuer LLC (a)  
Series 2021-1A, Class B1                         
1.98%, due 3/15/61 $      360,015 $       331,375
Series 2020-1, Class B1                         
2.28%, due 7/15/60      89,945         86,112
Series 2022-1A, Class A1                         
5.97%, due 8/15/62   1,035,790      1,041,277
Series 2022-1A, Class A2                         
6.11%, due 8/15/62 2,900,123 2,920,149
CIFC Funding Ltd. (a)(d)  
Series 2014-2RA, Class AR    
6.497% (3 Month SOFR + 1.36%), due 10/24/37 1,915,000 1,919,787
Series 2021-7A, Class A1    
6.675% (3 Month SOFR + 1.392%), due 1/23/35 483,000 483,570
Series 2014-5A, Class A1R3    
6.684% (3 Month SOFR + 1.38%), due 7/17/37 2,372,000 2,378,895
Series 2021-7A, Class B    
7.145% (3 Month SOFR + 1.862%), due 1/23/35 323,837 324,360
CIM Trust  
Series 2021-NR1, Class A1    
5.569%, due 7/25/55 (a)(c) 213,888 213,316
CP EF Asset Securitization I LLC  
Series 2022-1A, Class A    
5.96%, due 4/15/30 (a) 109,423 109,497
CP EF Asset Securitization II LLC  
Series 2023-1A, Class A    
7.48%, due 3/15/32 (a) 497,952 506,143
CRB Securitization Trust  
Series 2023-1, Class A    
6.96%, due 10/20/33 (a) 165,448 167,366
CyrusOne Data Centers Issuer I LLC (a)  
Series 2024-2A, Class A2    
4.50%, due 5/20/49 227,000 220,848
Series 2024-3A, Class A2    
4.65%, due 5/20/49 2,171,000 2,037,211
Series 2024-1A, Class A2    
4.76%, due 3/22/49 618,025 599,934
Series 2023-1A, Class B    
5.45%, due 4/20/48 301,849 298,406
Series 2023-2A, Class A2    
5.56%, due 11/20/48 557,968 564,739
DB Master Finance LLC  
Series 2021-1A, Class A2II    
2.493%, due 11/20/51 (a) 272,300 249,921
Diamond Infrastructure Funding LLC  
Series 2021-1A, Class A    
1.76%, due 4/15/49 (a) 1,031,000 959,307

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Domino's Pizza Master Issuer LLC  
Series 2018-1A, Class A2I                         
4.116%, due 7/25/48 (a) $      877,385 $       870,273
Elmwood CLO II Ltd.  
Series 2019-2A, Class AR                         
6.694% (3 Month SOFR + 1.412%), due 4/20/34 (a)(d)     485,000        485,440
Elmwood CLO VI Ltd.  
Series 2020-3A, Class ARR                         
6.719% (3 Month SOFR + 1.38%), due 7/18/37 (a)(d) 2,581,000 2,593,260
Gracie Point International Funding LLC  
Series 2024-1A, Class A    
7.068% (SOFR 90A + 1.70%), due 3/1/28 (a)(d) 482,000 483,613
HPS Loan Management Ltd.  
Series 2021-16A, Class B    
7.245% (3 Month SOFR + 1.962%), due 1/23/35 (a)(d) 310,367 310,681
Libra Solutions LLC  
Series 2024-1A, Class A    
5.88%, due 9/30/38 (a) 327,000 326,968
Logan CLO II Ltd.  
Series 2021-2A, Class A    
6.694% (3 Month SOFR + 1.412%), due 1/20/35 (a)(d) 761,109 761,355
M&T Equipment Notes (a)  
Series 2023-1A, Class A3    
5.74%, due 7/15/30 331,000 335,843
Series 2023-1A, Class A2    
6.09%, due 7/15/30 316,302 317,373
Madison Park Funding LV Ltd.  
Series 2022-55A, Class A1R    
6.639% (3 Month SOFR + 1.36%), due 7/18/37 (a)(d) 1,971,512 1,973,365
Madison Park Funding XXXIV Ltd.  
Series 2019-34A, Class A2RR    
6.708% (3 Month SOFR + 1.60%), due 10/16/37 (a)(d) 790,000 790,338
Marlette Funding Trust  
Series 2023-2A, Class B    
6.54%, due 6/15/33 (a) 338,000 340,710
Mercury Financial Credit Card Master Trust  
Series 2023-1A, Class A    
8.04%, due 9/20/27 (a) 1,065,000 1,070,182
NetCredit Combined Receivables LLC  
Series 2024-A, Class A    
7.43%, due 10/21/30 (a) 1,648,763 1,660,512
New Economy Assets Phase 1 Sponsor LLC  
Series 2021-1, Class B1    
2.41%, due 10/20/61 (a) 514,000 462,488
NRZ Excess Spread-Collateralized Notes (a)  
Series 2021-FHT1, Class A    
3.104%, due 7/25/26 270,942 261,248

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
NRZ Excess Spread-Collateralized Notes (a)  
Series 2020-PLS1, Class A                         
3.844%, due 12/25/25 $      136,375 $       133,819
Oak Street Investment Grade Net Lease Fund  
Series 2020-1A, Class A1                         
1.85%, due 11/20/50 (a)     770,816        738,877
OCP CLO Ltd.  
Series 2020-18A, Class A2R2                         
6.804% (3 Month SOFR + 1.57%), due 7/20/37 (a)(d) 602,473 602,007
Octagon Investment Partners 42 Ltd.  
Series 2019-3A, Class A2RR    
6.836% (3 Month SOFR + 1.56%), due 7/15/37 (a)(d) 250,000 250,478
Octagon Investment Partners 48 Ltd.  
Series 2020-3A, Class AR    
6.694% (3 Month SOFR + 1.412%), due 10/20/34 (a)(d) 454,000 454,928
OHA Credit Funding 9 Ltd.  
Series 2021-9A, Class A2R    
6.423% (3 Month SOFR + 1.58%), due 10/19/37 (a)(d) 1,138,000 1,138,201
PRET LLC  
Series 2023-RN1, Class A1    
8.232%, due 9/25/53 (a)(c) 707,205 724,710
PRPM LLC (a)(c)  
Series 2021-9, Class A1    
2.363%, due 10/25/26 580,965 581,028
Series 2021-10, Class A1    
2.487%, due 10/25/26 685,731 683,100
Series 2022-2, Class A1    
5.00%, due 3/25/27 1,197,106 1,188,741
RAD CLO 21 Ltd.  
Series 2023-21A, Class A    
6.875% (3 Month SOFR + 1.59%), due 1/25/33 (a)(d) 835,946 839,714
Regatta XI Funding Ltd.  
Series 2018-1A, Class AR    
6.702% (3 Month SOFR + 1.40%), due 7/17/37 (a)(d) 2,200,710 2,209,200
Regatta XXIII Funding Ltd. (a)(d)  
Series 2021-4A, Class A1    
6.694% (3 Month SOFR + 1.412%), due 1/20/35 1,413,000 1,415,119
Series 2021-4A, Class B    
7.244% (3 Month SOFR + 1.962%), due 1/20/35 343,955 344,517
RR 21 Ltd.  
Series 2022-21A, Class A1AR    
6.701% (3 Month SOFR + 1.40%), due 7/15/39 (a)(d) 1,331,120 1,335,760
Sixth Street CLO IX Ltd.  
Series 2017-9A, Class AR    
6.663% (3 Month SOFR + 1.38%), due 7/21/37 (a)(d) 1,682,000 1,684,523
Taco Bell Funding LLC (a)  
Series 2021-1A, Class A2II    
2.294%, due 8/25/51 371,385 333,602

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Taco Bell Funding LLC (a)  
Series 2021-1A, Class A23                         
2.542%, due 8/25/51 $      805,344 $       689,362
Texas Debt Capital CLO Ltd.  
Series 2023-2A, Class A1R                         
6.221% (3 Month SOFR + 1.37%), due 10/21/37 (a)(d)   1,703,000      1,703,296
THL Credit Wind River CLO Ltd.  
Series 2019-1A, Class AR                         
6.704% (3 Month SOFR + 1.422%), due 7/20/34 (a)(d) 448,000 448,475
Upstart Securitization Trust  
Series 2022-1, Class A    
3.12%, due 3/20/32 (a) 39,468 39,390
Vantage Data Centers Issuer LLC (a)  
Series 2020-1A, Class A2    
1.645%, due 9/15/45 1,091,000 1,055,189
Series 2021-1A, Class A2    
2.165%, due 10/15/46 3,200,644 3,036,680
Vantage Data Centers LLC  
Series 2020-2A, Class A2    
1.992%, due 9/15/45 (a) 705,000 646,644
Voya CLO Ltd.  
Series 2024-4A, Class A2    
6.734% (3 Month SOFR + 1.55%), due 7/20/37 (a)(d) 682,703 682,661
Wendy's Funding LLC (a)  
Series 2021-1A, Class A2I    
2.37%, due 6/15/51 245,652 221,126
Series 2021-1A, Class A2II    
2.775%, due 6/15/51 618,230 539,595
Westgate Resorts LLC  
Series 2022-1A, Class A    
1.788%, due 8/20/36 (a) 131,514 127,906
    69,005,966
Total Asset-Backed Securities
(Cost $81,601,985)
  82,127,562
Corporate Bonds 11.5%
Aerospace & Defense 0.7% 
BAE Systems plc (a)    
5.125%, due 3/26/29 590,000 607,069
5.25%, due 3/26/31 221,000 229,704
5.30%, due 3/26/34 862,000 896,439
Boeing Co. (The)    
5.15%, due 5/1/30 2,305,000 2,310,537
6.298%, due 5/1/29 (a) 1,251,000 1,316,161
6.388%, due 5/1/31 (a) 1,268,000 1,348,311
6.528%, due 5/1/34 (a) 1,221,000 1,310,457
6.858%, due 5/1/54 (a) 534,000 586,124

  Principal
Amount
Value
Corporate Bonds
Aerospace & Defense  
Boeing Co. (The)    
7.008%, due 5/1/64 (a) $      704,000 $       775,652
TransDigm, Inc. (a)    
6.375%, due 3/1/29 (e)     382,000        394,117
6.625%, due 3/1/32   1,722,000     1,793,191
    11,567,762
Auto Manufacturers 0.2% 
Ford Motor Credit Co. LLC    
5.80%, due 3/8/29 1,254,000 1,274,606
6.125%, due 3/8/34 976,000 988,196
7.122%, due 11/7/33 715,000 772,988
7.20%, due 6/10/30 348,000 374,920
7.35%, due 3/6/30 354,000 383,367
    3,794,077
Auto Parts & Equipment 0.0%  ‡
ZF North America Capital, Inc. (a)    
6.75%, due 4/23/30 174,000 175,482
6.875%, due 4/23/32 660,000 662,325
    837,807
Banks 2.4% 
Bank of America Corp.    
5.872%, due 9/15/34 (f) 1,130,000 1,219,110
Bank of New York Mellon Corp. (The) (f)    
4.947%, due 4/26/27 806,000 813,802
6.474%, due 10/25/34 1,448,000 1,636,548
BNP Paribas SA (a)(f)    
2.591%, due 1/20/28 728,000 698,712
5.176%, due 1/9/30 (e) 997,000 1,022,871
Citigroup, Inc. (f)    
3.887%, due 1/10/28 2,060,000 2,039,304
5.827%, due 2/13/35 (e) 3,231,000 3,374,284
Series P    
5.95%, due 5/15/25 (g) 584,000 584,745
Fifth Third Bancorp    
5.631%, due 1/29/32 (f) 373,000 389,605
Goldman Sachs Group, Inc. (The)    
3.50%, due 4/1/25 (e) 2,399,000 2,384,150
JPMorgan Chase & Co. (f)    
5.012%, due 1/23/30 651,000 667,668
5.04%, due 1/23/28 820,000 833,715
5.299%, due 7/24/29 1,374,000 1,421,682
6.087%, due 10/23/29 (e) 1,391,000 1,482,850
6.254%, due 10/23/34 1,193,000 1,326,845
Morgan Stanley    
1.593%, due 5/4/27 (f) 685,000 655,468
2.188%, due 4/28/26 (f) 1,231,000 1,211,723

  Principal
Amount
Value
Corporate Bonds
Banks  
Morgan Stanley    
2.943%, due 1/21/33 (f) $    1,008,000 $       900,393
3.772%, due 1/24/29 (f)     134,000        131,793
4.35%, due 9/8/26     898,000        900,154
5.042%, due 7/19/30 (e)(f)     921,000        946,444
5.164%, due 4/20/29 (e)(f)   1,265,000      1,300,244
5.32%, due 7/19/35 (f)   1,585,000      1,645,900
5.424%, due 7/21/34 (f)   1,150,000      1,199,284
National Australia Bank Ltd.    
2.99%, due 5/21/31 (a) 1,708,000 1,519,183
Nordea Bank Abp    
5.375%, due 9/22/27 (a) 1,834,000 1,889,629
PNC Financial Services Group, Inc. (The) (f)    
5.401%, due 7/23/35 2,345,000 2,445,371
6.875%, due 10/20/34 1,424,000 1,630,450
Sumitomo Mitsui Financial Group, Inc.    
5.852%, due 7/13/30 (e) 472,000 504,671
Truist Financial Corp. (f)    
5.435%, due 1/24/30 590,000 610,685
5.711%, due 1/24/35 (e) 486,000 511,995
6.047%, due 6/8/27 779,000 799,364
U.S. Bancorp    
2.491% (5 Year Treasury Constant Maturity Rate + 0.95%), due 11/3/36 (d)(e) 1,471,000 1,241,417
5.384%, due 1/23/30 (f) 1,259,000 1,307,480
    41,247,539
Beverages 0.0%  ‡
Diageo Capital plc    
1.375%, due 9/29/25 461,000 447,640
Biotechnology 0.1% 
Illumina, Inc.    
5.80%, due 12/12/25 (e) 707,000 716,222
Royalty Pharma plc    
3.55%, due 9/2/50 (e) 899,000 651,435
    1,367,657
Chemicals 0.2% 
Celanese US Holdings LLC    
6.55%, due 11/15/30 1,456,000 1,569,406
6.70%, due 11/15/33 (e) 1,419,000 1,552,480
    3,121,886
Computers 0.1% 
Booz Allen Hamilton, Inc.    
5.95%, due 8/4/33 1,413,000 1,508,160

  Principal
Amount
Value
Corporate Bonds
Distribution & Wholesale 0.1% 
LKQ Corp. (e)    
5.75%, due 6/15/28 $    1,278,000 $     1,326,185
6.25%, due 6/15/33   1,199,000     1,271,395
    2,597,580
Diversified Financial Services 1.0% 
AerCap Ireland Capital DAC    
4.625%, due 10/15/27     610,000        613,358
4.625%, due 9/10/29     856,000        856,424
4.95%, due 9/10/34 698,000 694,178
Blue Owl Finance LLC    
6.25%, due 4/18/34 (a) 2,502,000 2,620,300
Capital One Financial Corp. (f)    
5.70%, due 2/1/30 (e) 329,000 340,707
5.884%, due 7/26/35 (e) 1,566,000 1,638,880
6.312%, due 6/8/29 546,000 575,126
7.624%, due 10/30/31 1,188,000 1,350,200
Discover Financial Services    
7.964%, due 11/2/34 (f) 1,865,000 2,191,344
Jane Street Group    
7.125%, due 4/30/31 (a) 1,532,000 1,623,246
LPL Holdings, Inc.    
6.00%, due 5/20/34 1,275,000 1,332,715
6.75%, due 11/17/28 1,921,000 2,065,836
Nasdaq, Inc.    
5.55%, due 2/15/34 1,947,000 2,053,965
    17,956,279
Electric 0.7% 
American Electric Power Co., Inc.    
5.625%, due 3/1/33 1,325,000 1,397,938
Duke Energy Corp.    
5.45%, due 6/15/34 2,305,000 2,405,583
Duquesne Light Holdings, Inc.    
2.775%, due 1/7/32 (a)(e) 1,005,000 868,144
Exelon Corp.    
5.45%, due 3/15/34 1,120,000 1,174,830
Georgia Power Co.    
4.95%, due 5/17/33 1,077,000 1,107,146
5.25%, due 3/15/34 910,000 954,029
National Grid plc    
5.809%, due 6/12/33 1,006,000 1,075,851
Xcel Energy, Inc.    
5.45%, due 8/15/33 2,316,000 2,402,769
    11,386,290

  Principal
Amount
Value
Corporate Bonds
Electrical Components & Equipment 0.1% 
WESCO Distribution, Inc. (a)    
6.375%, due 3/15/29 $      728,000 $       752,103
6.625%, due 3/15/32 (e)     922,000       960,357
    1,712,460
Electronics 0.1% 
Trimble, Inc.    
4.75%, due 12/1/24   1,238,000      1,234,612
4.90%, due 6/15/28 (e)     468,000        474,816
6.10%, due 3/15/33 286,000 308,693
    2,018,121
Food 0.2% 
Albertsons Cos., Inc.    
6.50%, due 2/15/28 (a) 871,000 886,853
JBS USA Holding LUX SARL    
3.00%, due 5/15/32 795,000 689,408
3.625%, due 1/15/32 551,000 503,752
Pilgrim's Pride Corp.    
6.25%, due 7/1/33 (e) 1,429,000 1,516,113
    3,596,126
Hand & Machine Tools 0.1% 
Regal Rexnord Corp.    
6.05%, due 4/15/28 (e) 1,026,000 1,066,751
Healthcare-Products 0.3% 
Solventum Corp. (a)    
5.45%, due 3/13/31 1,945,000 2,005,072
5.60%, due 3/23/34 2,564,000 2,655,243
6.00%, due 5/15/64 901,000 930,404
    5,590,719
Healthcare-Services 1.4% 
Centene Corp.    
2.45%, due 7/15/28 1,025,000 943,948
3.00%, due 10/15/30 1,079,000 965,950
4.25%, due 12/15/27 3,132,000 3,076,098
HCA, Inc.    
3.625%, due 3/15/32 663,000 613,086
5.375%, due 9/1/26 220,000 222,382
5.45%, due 4/1/31 (e) 1,967,000 2,049,422
5.50%, due 6/1/33 (e) 1,130,000 1,173,424
5.60%, due 4/1/34 1,048,000 1,092,066
5.625%, due 9/1/28 310,000 321,854
5.875%, due 2/15/26 286,000 289,001
5.875%, due 2/1/29 459,000 481,048

  Principal
Amount
Value
Corporate Bonds
Healthcare-Services  
Health Care Service Corp. A Mutual Legal Reserve Co. (a)    
2.20%, due 6/1/30 $      883,000 $       784,976
5.20%, due 6/15/29     939,000        968,240
5.45%, due 6/15/34   2,116,000      2,200,499
5.875%, due 6/15/54   1,740,000      1,839,168
Humana, Inc.    
5.75%, due 4/15/54     857,000        877,205
5.875%, due 3/1/33     334,000        354,574
5.95%, due 3/15/34 558,000 597,168
UnitedHealth Group, Inc.    
4.95%, due 1/15/32 2,140,000 2,213,311
5.15%, due 7/15/34 860,000 897,573
5.625%, due 7/15/54 1,409,000 1,511,577
5.75%, due 7/15/64 1,139,000 1,229,558
Universal Health Services, Inc.    
2.65%, due 10/15/30 251,000 223,867
    24,925,995
Insurance 0.5% 
Aon North America, Inc. (e)    
5.30%, due 3/1/31 1,411,000 1,472,050
5.45%, due 3/1/34 2,887,000 3,031,122
Arthur J. Gallagher & Co.    
5.45%, due 7/15/34 1,244,000 1,296,144
6.50%, due 2/15/34 (e) 648,000 723,428
Athene Global Funding (a)    
2.646%, due 10/4/31 1,063,000 912,156
2.717%, due 1/7/29 1,235,000 1,141,028
Brown & Brown, Inc.    
4.95%, due 3/17/52 1,071,000 980,010
    9,555,938
Internet 0.1% 
Meta Platforms, Inc.    
4.55%, due 8/15/31 436,000 445,769
4.75%, due 8/15/34 1,605,000 1,638,216
    2,083,985
Investment Companies 0.1% 
Blackstone Private Credit Fund    
7.30%, due 11/27/28 (a) 947,000 1,007,758
Blue Owl Credit Income Corp.    
4.70%, due 2/8/27 163,000 159,936
7.95%, due 6/13/28 558,000 596,258
    1,763,952
Leisure Time 0.1% 
Royal Caribbean Cruises Ltd.    
5.625%, due 9/30/31 (a) 873,000 884,458

  Principal
Amount
Value
Corporate Bonds
Media 0.2% 
Charter Communications Operating LLC    
5.50%, due 4/1/63 $    1,005,000 $       818,883
6.65%, due 2/1/34   2,993,000     3,132,578
    3,951,461
Oil & Gas 0.5% 
Occidental Petroleum Corp.    
5.20%, due 8/1/29     611,000        621,143
5.375%, due 1/1/32   1,406,000      1,425,309
5.55%, due 10/1/34 (e) 1,284,000 1,303,497
6.125%, due 1/1/31 (e) 835,000 881,157
6.625%, due 9/1/30 467,000 503,824
8.875%, due 7/15/30 663,000 782,059
Sunoco LP (a)    
7.00%, due 5/1/29 1,457,000 1,522,299
7.25%, due 5/1/32 819,000 868,154
Viper Energy, Inc.    
7.375%, due 11/1/31 (a) 1,269,000 1,338,381
    9,245,823
Packaging & Containers 0.1% 
Berry Global, Inc.    
5.80%, due 6/15/31 (a) 2,122,000 2,207,962
Pharmaceuticals 0.2% 
AbbVie, Inc.    
5.40%, due 3/15/54 (e) 556,000 589,558
Organon & Co. (a)    
6.75%, due 5/15/34 (e) 1,066,000 1,100,933
7.875%, due 5/15/34 1,419,000 1,503,360
    3,193,851
Pipelines 0.4% 
Cheniere Energy, Inc.    
5.65%, due 4/15/34 (a) 1,344,000 1,390,516
Columbia Pipelines Operating Co. LLC (a)    
5.927%, due 8/15/30 (e) 332,000 351,602
6.036%, due 11/15/33 799,000 852,533
6.497%, due 8/15/43 161,000 179,541
6.544%, due 11/15/53 833,000 938,179
DT Midstream, Inc. (a)    
4.30%, due 4/15/32 468,000 437,919
4.375%, due 6/15/31 (e) 967,000 915,365
Energy Transfer LP    
4.95%, due 6/15/28 (e) 116,000 117,977
5.55%, due 2/15/28 880,000 909,554

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Hess Midstream Operations LP    
5.125%, due 6/15/28 (a) $      670,000 $       662,861
    6,756,047
Real Estate 0.2% 
CBRE Services, Inc.    
5.95%, due 8/15/34   2,181,000      2,342,329
CoStar Group, Inc.    
2.80%, due 7/15/30 (a)     711,000       640,548
    2,982,877
Real Estate Investment Trusts 0.2% 
GLP Capital LP    
5.30%, due 1/15/29 86,000 87,461
5.375%, due 4/15/26 381,000 382,543
5.625%, due 9/15/34 (e) 2,040,000 2,083,189
Sun Communities Operating LP    
2.70%, due 7/15/31 (e) 1,283,000 1,121,894
    3,675,087
Savings & Loans 0.1% 
Nationwide Building Society    
5.127%, due 7/29/29 (a) 1,635,000 1,683,835
Semiconductors 0.5% 
Analog Devices, Inc.    
2.95%, due 4/1/25 676,000 670,062
Broadcom, Inc.    
4.35%, due 2/15/30 1,124,000 1,121,809
5.05%, due 7/12/29 1,442,000 1,485,379
5.15%, due 11/15/31 916,000 950,582
Foundry JV Holdco LLC    
5.875%, due 1/25/34 (a) 1,931,000 1,967,253
Intel Corp.    
2.45%, due 11/15/29 433,000 389,767
5.125%, due 2/10/30 576,000 588,512
Marvell Technology, Inc.    
1.65%, due 4/15/26 793,000 759,722
4.875%, due 6/22/28 883,000 891,565
5.75%, due 2/15/29 612,000 642,096
    9,466,747
Software 0.5% 
Cadence Design Systems, Inc.    
4.30%, due 9/10/29 789,000 792,094
4.70%, due 9/10/34 946,000 951,899
Constellation Software, Inc. (a)    
5.158%, due 2/16/29 (e) 391,000 403,050

  Principal
Amount
Value
Corporate Bonds
Software  
Constellation Software, Inc. (a)    
5.461%, due 2/16/34 $    1,136,000 $     1,187,484
Fiserv, Inc.    
4.75%, due 3/15/30     555,000        565,704
5.15%, due 8/12/34   2,198,000      2,253,788
MSCI, Inc. (a)    
3.625%, due 9/1/30 (e)   1,643,000      1,543,745
3.875%, due 2/15/31 (e)   1,122,000      1,061,700
4.00%, due 11/15/29 295,000 286,189
    9,045,653
Telecommunications 0.1% 
AT&T, Inc.    
3.65%, due 9/15/59 105,000 76,184
T-Mobile USA, Inc.    
4.85%, due 1/15/29 934,000 953,650
    1,029,834
Total Corporate Bonds
(Cost $197,597,634)
  202,270,359
Foreign Government Bond 0.0% ‡
France 0.0%  ‡
Electricite de France SA    
5.70%, due 5/23/28 (a) 557,000 579,905
Total Foreign Government Bond
(Cost $557,540)
  579,905
Loan Assignments 0.6%
Capital Equipment 0.1% 
EMRLD Borrower LP  
First Lien Second Amendment Incremental Term Loan  
7.557% (3 Month SOFR + 2.50%), due 8/4/31 (d) 1,943,710 1,939,457
Cargo Transport 0.1% 
Genesee & Wyoming, Inc.  
First Lien Initial Term Loan  
6.604% (3 Month SOFR + 2.00%), due 4/10/31 (d) 2,447,907 2,442,169
Energy (Electricity) 0.2% 
Alpha Generation LLC  
First Lien Term Loan B  
6.947% (1 Year SOFR + 2.75%), due 9/30/31 (d) 992,000 992,000

  Principal
Amount
Value
Loan Assignments
Energy (Electricity)  
Lightning Power LLC  
First Lien Initial Term Loan B              
8.346% (3 Month SOFR + 3.25%), due 8/18/31 (d) $    1,804,000 $     1,807,007
    2,799,007
Healthcare 0.1% 
Medline Borrower LP  
First Lien Dollar Incremental Term Loan              
7.095% (1 Month SOFR + 2.25%), due 10/23/28 (d)   1,522,000     1,520,098
Services Business 0.1% 
Amazon Holdco, Inc.  
First Lien Term Loan B  
7.305% (1 Year SOFR + 2.25%), due 9/29/31 (d) 1,168,000 1,163,620
Total Loan Assignments
(Cost $9,855,400)
  9,864,351
Mortgage-Backed Securities 5.7%
Agency (Collateralized Mortgage Obligations) 0.1% 
CIM Trust  
Series 2021-NR4, Class A1    
2.816%, due 10/25/61 (a)(c) 198,245 197,325
Croton Park CLO Ltd.  
(zero coupon), due 10/15/36 (h) 1,080,000 1,080,000
FNMA  
REMIC, Series 2018-27, Class EA    
3.00%, due 5/25/48 453,995 411,136
REMIC, Series 2019-71, Class P    
3.00%, due 11/25/49 665,125 602,170
    2,290,631
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 2.7% 
280 Park Avenue Mortgage Trust  
Series 2017-280P, Class A    
6.277% (1 Month SOFR + 1.18%), due 9/15/34 (a)(d) 699,152 681,728
BAMLL Re-REMIC Trust (a)(b)  
Series 2024-FRR3, Class E    
0.504%, due 1/27/50 589,014 488,243
Series 2024-FRR3, Class D    
0.587%, due 1/27/50 411,536 349,724
Series 2024-FRR3, Class C    
0.66%, due 1/27/50 542,991 474,523
Series 2024-FRR2, Class E    
1.273%, due 7/27/50 438,000 325,176
Series 2024-FRR4, Class F    
1.514%, due 11/27/48 281,000 255,411

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
BAMLL Re-REMIC Trust (a)(b)  
Series 2024-FRR4, Class E                         
1.614%, due 11/27/48 $      143,000 $       131,745
BBCMS Trust  
Series 2015-SRCH, Class A2                         
4.197%, due 8/10/35 (a)     875,000        834,436
BPR Trust (a)  
Series 2022-OANA, Class A                         
6.995% (1 Month SOFR + 1.898%), due 4/15/37 (d) 1,358,000 1,362,244
Series 2023-BRK2, Class A    
7.146%, due 10/5/38 (b) 1,329,000 1,396,581
BX Commercial Mortgage Trust (a)(d)  
Series 2021-VINO, Class A    
5.864% (1 Month SOFR + 0.767%), due 5/15/38 806,744 802,206
Series 2020-VKNG, Class A    
6.141% (1 Month SOFR + 1.044%), due 10/15/37 179,493 179,044
Series 2021-VOLT, Class B    
6.161% (1 Month SOFR + 1.064%), due 9/15/36 937,000 928,216
Series 2024-AIR2, Class A    
6.592% (1 Month SOFR + 1.492%), due 10/15/41 1,792,000 1,792,000
Series 2024-AIRC, Class A    
6.788% (1 Month SOFR + 1.691%), due 8/15/39 2,458,000 2,461,072
Series 2021-VOLT, Class D    
6.861% (1 Month SOFR + 1.764%), due 9/15/36 984,000 973,545
Series 2024-AIRC, Class C    
7.686% (1 Month SOFR + 2.59%), due 8/15/39 758,000 759,895
BX Trust (a)  
Series 2019-OC11, Class B    
3.605%, due 12/9/41 284,000 264,204
Series 2019-OC11, Class C    
3.856%, due 12/9/41 564,000 525,057
Series 2022-FOX2, Class A2    
5.846% (1 Month SOFR + 0.749%), due 4/15/39 (d) 972,120 955,108
Series 2021-LBA, Class AJV    
6.011% (1 Month SOFR + 0.914%), due 2/15/36 (d) 1,118,000 1,112,759
Series 2021-LBA, Class AV    
6.011% (1 Month SOFR + 0.914%), due 2/15/36 (d) 887,288 879,802
Series 2024-VLT4, Class A    
6.588% (1 Month SOFR + 1.491%), due 7/15/29 (d) 1,621,595 1,621,595
BXP Trust  
Series 2017-GM, Class A    
3.379%, due 6/13/39 (a) 396,000 381,172
CENT Trust  
Series 2023-CITY, Class A    
7.717% (1 Month SOFR + 2.62%), due 9/15/38 (a)(d) 1,337,000 1,339,507
Commercial Mortgage Trust  
Series 2024-WCL1, Class A    
6.924% (1 Month SOFR + 1.841%), due 6/15/41 (a)(d) 1,646,171 1,639,483

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
CONE Trust (a)(d)  
Series 2024-DFW1, Class A                         
6.738% (1 Month SOFR + 1.642%), due 8/15/41 $    1,117,000 $     1,117,000
Series 2024-DFW1, Class B                         
7.387% (1 Month SOFR + 2.291%), due 8/15/41     821,377        821,377
DATA Mortgage Trust  
Series 2024-CTR2, Class A                         
5.476%, due 5/10/46 (a)(i)     445,544        455,326
Extended Stay America Trust  
Series 2021-ESH, Class A    
6.291% (1 Month SOFR + 1.194%), due 7/15/38 (a)(d) 481,159 480,558
FREMF Mortgage Trust (a)  
Series 2017-K729, Class D    
(zero coupon), due 11/25/49 690,821 675,911
Series 2017-K729, Class X2A    
0.10%, due 11/25/49 (j) 2,275,925 5
Series 2017-K729, Class X2B    
0.10%, due 11/25/49 (j) 1,738,317 94
GWT  
Series 2024-WLF2, Class A    
6.788% (1 Month SOFR + 1.691%), due 5/15/41 (a)(d) 1,936,000 1,936,000
Hudsons Bay Simon JV Trust (a)  
Series 2015-HB7, Class A7    
3.914%, due 8/5/34 227,324 221,727
Series 2015-HB10, Class A10    
4.155%, due 8/5/34 521,485 501,472
J.P. Morgan Chase Commercial Mortgage Securities Trust (a)  
Series 2020-ACE, Class A    
3.287%, due 1/10/37 1,235,000 1,225,044
Series 2020-ACE, Class B    
3.64%, due 1/10/37 840,000 830,335
LBA Trust  
Series 2024-BOLT, Class A    
6.688% (1 Month SOFR + 1.591%), due 6/15/26 (a)(d) 1,294,627 1,294,627
LEX Mortgage Trust  
Series 2024-BBG, Class A    
4.874%, due 10/13/33 (a)(i) 394,000 393,380
Life Mortgage Trust (a)(d)  
Series 2021-BMR, Class A    
5.911% (1 Month SOFR + 0.814%), due 3/15/38 1,671,927 1,644,940
Series 2021-BMR, Class C    
6.311% (1 Month SOFR + 1.214%), due 3/15/38 732,856 719,207
Series 2022-BMR2, Class A1    
6.392% (1 Month SOFR + 1.295%), due 5/15/39 1,231,000 1,197,147
Series 2022-BMR2, Class B    
6.89% (1 Month SOFR + 1.794%), due 5/15/39 357,000 340,154

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
MHC Commercial Mortgage Trust (a)(d)  
Series 2021-MHC, Class A                         
6.012% (1 Month SOFR + 0.915%), due 4/15/38 $    1,394,837 $     1,388,735
Series 2021-MHC, Class C                         
6.562% (1 Month SOFR + 1.465%), due 4/15/38     787,631        782,709
NCMF Trust  
Series 2022-MFP, Class A                         
6.839% (1 Month SOFR + 1.742%), due 3/15/39 (a)(d)     639,000        633,957
NRTH Mortgage Trust  
Series 2024-PARK, Class A    
6.738% (1 Month SOFR + 1.641%), due 3/15/39 (a)(d) 2,293,000 2,294,031
OPEN Trust  
Series 2023-AIR, Class C    
10.332% (1 Month SOFR + 5.236%), due 10/15/28 (a)(d) 294,036 296,241
SMRT  
Series 2022-MINI, Class A    
6.097% (1 Month SOFR + 1.00%), due 1/15/39 (a)(d) 1,975,000 1,957,761
SREIT Trust  
Series 2021-MFP, Class A    
5.942% (1 Month SOFR + 0.845%), due 11/15/38 (a)(d) 130,133 129,483
Trust (The)  
Series 2023-MIC, Class A    
8.732%, due 12/5/38 (a)(i) 933,823 1,029,048
TYSN Mortgage Trust  
Series 2023-CRNR, Class A    
6.799%, due 12/10/33 (a)(i) 1,489,099 1,574,612
VASA Trust  
Series 2021-VASA, Class A    
6.111% (1 Month SOFR + 1.014%), due 7/15/39 (a)(d) 525,000 485,625
Wells Fargo Commercial Mortgage Trust  
Series 2021-SAVE, Class A    
6.361% (1 Month SOFR + 1.264%), due 2/15/40 (a)(d) 219,896 218,247
    47,559,229
Whole Loan (Collateralized Mortgage Obligations) 2.9% 
A&D Mortgage Trust  
Series 2023-NQM2, Class A1    
6.132%, due 5/25/68 (a)(c) 808,805 813,585
ABL  
Series 2024-RTL1, Class A1    
6.075%, due 9/25/29 (a)(c) 542,000 541,829
Angel Oak Mortgage Trust (a)  
Series 2020-3, Class A2    
2.41%, due 4/25/65 (b) 136,513 129,101
Series 2019-5, Class A1    
2.593%, due 10/25/49 (b) 47,600 46,505
Series 2019-6, Class A1    
2.62%, due 11/25/59 (b) 121,083 118,486

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
Angel Oak Mortgage Trust (a)  
Series 2024-3, Class A1                         
4.80%, due 11/26/68 (c) $      274,732 $       273,866
Series 2024-5, Class A1                         
4.95%, due 7/25/68 (c)   1,612,780      1,610,010
AOMT  
Series 2024-6, Class A1                         
4.65%, due 11/25/67 (a)(c)   1,763,615      1,746,256
Bayview MSR Opportunity Master Fund Trust (a)  
Series 2022-2, Class A1    
3.00%, due 12/25/51 (b) 1,234,921 1,080,700
Series 2021-5, Class AF    
5.00% (SOFR 30A + 0.85%), due 11/25/51 (d) 812,149 755,078
Chase Mortgage Finance Corp.  
Series 2021-CL1, Class M1    
6.48% (SOFR 30A + 1.20%), due 2/25/50 (a)(d) 815,470 797,571
COLT Mortgage Loan Trust  
Series 2020-3, Class A1    
1.506%, due 4/27/65 (a)(b) 38,412 36,960
Connecticut Avenue Securities Trust (a)(d)  
Series 2024-R05, Class 2M1    
6.28% (SOFR 30A + 1.00%), due 7/25/44 461,285 461,287
Series 2024-R01, Class 1M1    
6.33% (SOFR 30A + 1.05%), due 1/25/44 594,797 595,125
Series 2024-R04, Class 1M1    
6.38% (SOFR 30A + 1.10%), due 5/25/44 598,127 598,125
Series 2024-R03, Class 2M1    
6.413% (SOFR 30A + 1.15%), due 3/25/44 390,711 390,856
Series 2023-R08, Class 1M1    
6.78% (SOFR 30A + 1.50%), due 10/25/43 611,636 613,381
Series 2021-R03, Class 1M2    
6.93% (SOFR 30A + 1.65%), due 12/25/41 612,000 616,381
Series 2023-R06, Class 1M1    
6.98% (SOFR 30A + 1.70%), due 7/25/43 640,149 642,521
Series 2022-R05, Class 2M1    
7.18% (SOFR 30A + 1.90%), due 4/25/42 381,131 383,418
Series 2023-R07, Class 2M1    
7.213% (SOFR 30A + 1.95%), due 9/25/43 299,023 301,104
Series 2023-R04, Class 1M1    
7.563% (SOFR 30A + 2.30%), due 5/25/43 746,451 764,728
Series 2022-R09, Class 2M1    
7.763% (SOFR 30A + 2.50%), due 9/25/42 830,634 846,537
Series 2022-R02, Class 2M2    
8.28% (SOFR 30A + 3.00%), due 1/25/42 706,000 724,455
Series 2022-R05, Class 2M2    
8.28% (SOFR 30A + 3.00%), due 4/25/42 521,000 537,932

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
FHLMC STACR REMIC Trust (a)(d)  
Series 2021-DNA7, Class M1                         
6.13% (SOFR 30A + 0.85%), due 11/25/41 $      375,607 $       375,264
Series 2021-HQA4, Class M1                         
6.23% (SOFR 30A + 0.95%), due 12/25/41     964,029        961,000
Series 2024-DNA2, Class M1                         
6.48% (SOFR 30A + 1.20%), due 5/25/44     865,864        865,762
Series 2022-DNA2, Class M1A                         
6.58% (SOFR 30A + 1.30%), due 2/25/42 154,682 154,990
Series 2021-DNA6, Class M2    
6.78% (SOFR 30A + 1.50%), due 10/25/41 316,549 318,280
Series 2023-HQA3, Class M1    
7.13% (SOFR 30A + 1.85%), due 11/25/43 556,603 560,937
Series 2022-DNA3, Class M1A    
7.28% (SOFR 30A + 2.00%), due 4/25/42 167,673 169,883
Series 2023-HQA2, Class M1A    
7.28% (SOFR 30A + 2.00%), due 6/25/43 76,396 76,797
Series 2023-DNA2, Class M1A    
7.363% (SOFR 30A + 2.10%), due 4/25/43 324,784 329,720
Series 2021-HQA3, Class M2    
7.38% (SOFR 30A + 2.10%), due 9/25/41 337,312 339,896
Series 2022-HQA1, Class M1A    
7.38% (SOFR 30A + 2.10%), due 3/25/42 922,432 928,778
Series 2022-HQA3, Class M1A    
7.58% (SOFR 30A + 2.30%), due 8/25/42 288,630 295,418
Series 2021-HQA4, Class M2    
7.63% (SOFR 30A + 2.35%), due 12/25/41 424,405 429,771
Flagstar Mortgage Trust  
Series 2021-13IN, Class A2    
3.00%, due 12/30/51 (a)(b) 692,568 605,213
FNMA  
REMIC, Series 2021-R02, Class 2M2    
7.28% (SOFR 30A + 2.00%), due 11/25/41 (a)(d) 1,891,000 1,898,091
GCAT Trust (a)(b)  
Series 2022-INV1, Class A1    
3.00%, due 12/25/51 1,665,882 1,461,964
Series 2023-INV1, Class A1    
6.00%, due 8/25/53 1,287,209 1,295,858
Series 2024-INV1, Class 2A2    
6.50%, due 1/25/54 1,159,347 1,176,181
Homeward Opportunities Fund Trust (a)(c)  
Series 2024-RRTL2, Class A1    
5.989%, due 9/25/39 766,000 770,805
Series 2024-RTL1, Class A1    
7.12%, due 7/25/29 1,622,000 1,645,060
Imperial Fund Mortgage Trust  
Series 2023-NQM1, Class A1    
5.941%, due 2/25/68 (a)(c) 612,190 614,411

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
LHOME Mortgage Trust (a)(c)  
Series 2024-RTL4, Class A1                         
5.921%, due 7/25/39 $    1,641,092 $     1,662,016
Series 2024-RTL3, Class A1                         
6.90%, due 5/25/29     540,453        551,048
Series 2024-RTL2, Class A1                         
7.128%, due 3/25/29     421,362        429,635
Series 2022-RTL3, Class A1                         
8.15%, due 11/25/27 2,340,000 2,360,884
Mello Mortgage Capital Acceptance (a)  
Series 2022-INV1, Class A2    
3.00%, due 3/25/52 (b) 422,342 369,599
Series 2024-SD1, Class A1    
4.00%, due 4/25/54 (c) 600,013 581,780
Series 2021-INV2, Class A11    
5.00% (SOFR 30A + 0.95%), due 8/25/51 (d) 597,272 557,756
Series 2021-INV3, Class A11    
5.00% (SOFR 30A + 0.95%), due 10/25/51 (d) 739,734 690,925
New Residential Mortgage Loan Trust (a)  
Series 2018-2A, Class A1    
4.50%, due 2/25/58 (b) 105,874 104,886
Series 2024-NQM2, Class A1    
5.117%, due 9/25/64 (b) 1,204,000 1,206,563
Series 2024-RTL2, Class A1    
5.443%, due 9/25/39 (c) 627,000 625,955
OBX Trust (a)(b)  
Series 2022-INV1, Class A1    
3.00%, due 12/25/51 263,461 230,559
Series 2022-INV1, Class A18    
3.00%, due 12/25/51 697,313 602,351
Oceanview Mortgage Trust  
Series 2022-1, Class A1    
3.00%, due 12/25/51 (a)(b) 437,866 383,184
PRPM LLC (a)(c)  
Series 2024-RCF2, Class A1    
3.75%, due 3/25/54 381,732 372,327
Series 2020-4, Class A1    
5.61%, due 10/25/25 453,769 453,770
RCKT Mortgage Trust (a)  
Series 2021-3, Class A21    
5.00% (SOFR 30A + 0.80%), due 7/25/51 (d) 527,452 488,820
Series 2024-CES7, Class A1A    
5.158%, due 10/25/44 (c) 1,892,000 1,889,228
Series 2024-CES5, Class A1A    
5.846%, due 8/25/44 (c) 1,540,034 1,558,992
Series 2023-CES1, Class A1A    
6.515%, due 6/25/43 (b) 419,621 422,734

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
Saluda Grade Alternative Mortgage Trust (a)  
Series 2024-FIG5, Class A                         
6.255%, due 4/25/54 (b) $      702,347 $       717,882
Series 2024-CES1, Class A1                         
6.306%, due 3/25/54 (b)     628,955        638,125
Series 2024-RTL6, Class A1                         
7.439%, due 7/25/30 (c)   1,239,333      1,257,887
Seasoned Loans Structured Transaction Trust  
Series 2020-2, Class M1    
4.75%, due 9/25/60 (a)(b) 244,048 240,999
Sequoia Mortgage Trust (a)  
Series 2013-5, Class A1    
2.50%, due 5/25/43 (i) 149,684 131,343
Series 2020-2, Class A19    
3.50%, due 3/25/50 (b) 54,076 49,145
UWM Mortgage Trust  
Series 2021-INV1, Class A9    
5.00% (SOFR 30A + 0.90%), due 8/25/51 (a)(d) 715,648 666,647
    49,944,916
Total Mortgage-Backed Securities
(Cost $100,041,255)
  99,794,776
U.S. Government & Federal Agencies 14.9%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 2.0% 
FHLMC Gold Pools, 30 Year
4.00%, due 9/1/48 89,069 86,759
FHLMC Gold Pools, Other
4.50%, due 5/1/44 265,328 266,071
4.50%, due 3/1/50 389,432 376,693
UMBS Pool, 15 Year
2.50%, due 12/1/33 590,785 567,510
2.50%, due 11/1/34 108,669 102,900
2.50%, due 11/1/34 158,606 150,031
2.50%, due 6/1/37 1,449,045 1,364,778
3.00%, due 5/1/31 472,703 461,455
3.00%, due 9/1/32 123,239 119,711
3.00%, due 10/1/32 42,840 41,614
3.00%, due 1/1/33 70,535 68,456
3.00%, due 10/1/34 76,731 74,234
3.00%, due 10/1/34 151,236 146,316
UMBS Pool, 30 Year
2.50%, due 8/1/50 56,674 50,159
2.50%, due 8/1/50 22,840 20,214
2.50%, due 9/1/50 103,110 91,258
2.50%, due 5/1/51 614,559 536,086
2.50%, due 6/1/51 1,081,164 951,700
2.50%, due 8/1/51 151,700 132,224

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities)  
UMBS Pool, 30 Year
2.50%, due 9/1/51 $    2,052,631 $     1,796,355
2.50%, due 10/1/51   2,512,023      2,191,830
2.50%, due 11/1/51     796,162        697,759
2.50%, due 1/1/52     141,114        124,395
2.50%, due 1/1/52     219,004        193,083
2.50%, due 2/1/52     337,854        296,837
2.50%, due 2/1/52      13,046         11,373
2.50%, due 3/1/52 53,151 46,699
2.50%, due 3/1/52 1,761,854 1,537,062
2.50%, due 5/1/52 674,694 583,504
2.50%, due 5/1/52 741,669 647,356
3.00%, due 8/1/49 38,532 34,645
3.00%, due 12/1/49 42,699 39,048
3.00%, due 12/1/49 99,880 91,279
3.00%, due 2/1/52 184,734 168,736
3.00%, due 2/1/52 124,303 113,540
3.00%, due 3/1/52 183,778 167,863
3.00%, due 6/1/52 70,660 64,559
3.50%, due 7/1/46 74,850 71,385
3.50%, due 12/1/47 599,319 568,425
3.50%, due 2/1/48 138,963 131,619
3.50%, due 3/1/50 2,961 2,791
3.50%, due 4/1/52 52,052 49,474
3.50%, due 4/1/52 56,875 54,076
3.50%, due 4/1/52 190,866 180,918
3.50%, due 4/1/52 191,719 181,780
3.50%, due 4/1/52 173,132 164,240
3.50%, due 6/1/52 367,351 349,990
4.00%, due 3/1/47 22,161 21,638
4.00%, due 3/1/48 95,973 94,312
4.00%, due 4/1/48 1,650 1,605
4.00%, due 4/1/48 149,784 146,934
4.00%, due 5/1/48 309,518 301,061
4.00%, due 11/1/48 28,091 27,323
4.00%, due 12/1/48 337,709 328,601
4.00%, due 3/1/50 342,243 332,890
4.50%, due 3/1/48 100,045 99,270
4.50%, due 12/1/48 139,766 141,213
4.50%, due 6/1/49 24,481 24,444
4.50%, due 7/1/49 193,386 192,375
4.50%, due 7/1/49 31,225 31,042
4.50%, due 8/1/49 173,875 172,895
4.50%, due 1/1/50 32,028 31,821
4.50%, due 1/1/50 116,872 116,316
4.50%, due 9/1/50 976,571 969,755
4.50%, due 3/1/52 17,470 17,198
5.00%, due 9/1/48 8,196 8,352

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities)  
UMBS Pool, 30 Year
5.00%, due 8/1/52 $      785,682 $       800,915
5.00%, due 10/1/52      22,016         22,220
5.00%, due 10/1/52     713,485        721,851
5.00%, due 1/1/53      35,504         35,767
5.00%, due 1/1/53      40,833         41,312
5.00%, due 3/1/53     149,655        150,763
5.00%, due 3/1/53     142,927        143,897
5.00%, due 4/1/53 179,537 181,642
5.00%, due 5/1/53 367,148 371,002
5.00%, due 5/1/53 203,247 205,380
5.00%, due 5/1/53 39,301 39,654
5.00%, due 6/1/53 58,052 58,661
5.00%, due 6/1/53 53,144 53,122
5.00%, due 6/1/53 140,133 140,142
5.00%, due 6/1/53 111,927 111,882
5.00%, due 6/1/53 130,911 130,848
5.00%, due 5/1/54 250,665 251,184
5.50%, due 9/1/52 429,373 447,099
5.50%, due 10/1/52 25,516 26,193
5.50%, due 5/1/53 331,293 344,152
5.50%, due 5/1/53 31,500 32,387
5.50%, due 6/1/53 71,630 73,647
5.50%, due 6/1/53 111,547 113,048
5.50%, due 6/1/53 86,423 87,528
5.50%, due 6/1/53 135,194 137,081
5.50%, due 6/1/53 107,062 108,515
5.50%, due 7/1/53 265,007 268,536
5.50%, due 7/1/53 392,211 403,256
5.50%, due 7/1/53 226,372 232,570
5.50%, due 9/1/53 393,057 408,315
5.50%, due 4/1/54 268,970 279,080
6.00%, due 4/1/40 274,577 289,549
6.00%, due 9/1/53 3,064,771 3,182,738
6.00%, due 9/1/53 2,350,744 2,460,256
6.00%, due 10/1/53 1,721,019 1,763,875
6.50%, due 11/1/53 1,049,674 1,112,253
    34,458,155
Federal National Mortgage Association (Mortgage Pass-Through Securities) 5.1% 
FNMA, Other
2.50%, due 3/1/62 3,620,265 3,015,234
3.00%, due 2/1/43 11,432 10,665
3.00%, due 5/1/43 61,979 57,821
3.00%, due 2/1/57 718,896 639,785
3.00%, due 6/1/57 11,276 10,009
3.50%, due 8/1/56 870,563 804,235
4.50%, due 6/1/45 97,415 97,687

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
FNMA, Other
4.50%, due 7/1/50 $      856,339 $       828,036
5.00%, due 7/1/44     161,626        164,713
UMBS, 15 Year
2.50%, due 11/1/34     155,071        146,685
2.50%, due 12/1/36   1,264,135      1,191,547
3.00%, due 10/1/34      62,860         60,761
3.00%, due 11/1/34      15,857         15,341
3.00%, due 12/1/34 14,787 14,306
UMBS, 30 Year
2.00%, due 7/1/51 197,949 164,626
2.50%, due 8/1/50 106,607 94,354
2.50%, due 8/1/50 3,510,653 3,094,946
2.50%, due 1/1/52 722,475 634,808
2.50%, due 2/1/52 3,474,258 3,052,464
2.50%, due 2/1/52 3,285,088 2,866,915
2.50%, due 2/1/52 1,761,151 1,529,309
2.50%, due 3/1/52 537,900 472,653
2.50%, due 3/1/52 1,445,014 1,269,571
2.50%, due 3/1/52 41,899 36,935
2.50%, due 3/1/52 106,840 93,869
2.50%, due 3/1/52 96,275 84,587
2.50%, due 3/1/52 1,420,861 1,248,443
2.50%, due 3/1/52 124,647 109,514
2.50%, due 3/1/52 1,368,674 1,194,140
2.50%, due 5/1/52 3,580,996 3,133,786
3.00%, due 1/1/43 39,405 36,543
3.00%, due 3/1/47 368,459 338,615
3.00%, due 8/1/49 145,359 130,707
3.00%, due 9/1/49 669,063 611,350
3.00%, due 9/1/49 31,854 29,302
3.00%, due 7/1/50 1,092,124 996,559
3.00%, due 2/1/52 80,347 72,849
3.00%, due 2/1/52 582,041 527,701
3.00%, due 3/1/52 656,671 596,730
3.00%, due 4/1/52 570,262 520,876
3.00%, due 4/1/52 486,397 444,213
3.00%, due 4/1/52 1,216,087 1,107,796
3.00%, due 6/1/52 749,866 674,952
3.00%, due 6/1/52 81,729 74,114
3.00%, due 7/1/52 832,538 754,957
3.00%, due 7/1/52 341,844 309,991
3.50%, due 8/1/47 59,703 57,145
3.50%, due 12/1/47 17,913 17,145
3.50%, due 12/1/47 25,150 24,031
3.50%, due 1/1/48 153,366 145,862
3.50%, due 3/1/48 29,427 28,124
3.50%, due 1/1/52 163,402 155,471

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year
3.50%, due 2/1/52 $      428,536 $       407,576
3.50%, due 3/1/52   2,585,439      2,452,884
3.50%, due 3/1/52     291,563        277,213
3.50%, due 4/1/52      88,620         84,313
3.50%, due 4/1/52     260,064        247,264
3.50%, due 4/1/52     480,651        456,006
3.50%, due 4/1/52      84,337         79,794
3.50%, due 4/1/52 156,252 148,196
3.50%, due 4/1/52 363,469 344,644
3.50%, due 5/1/52 265,128 251,309
3.50%, due 6/1/52 1,575,166 1,493,958
3.50%, due 6/1/52 897,697 853,239
3.50%, due 7/1/52 227,770 215,770
3.50%, due 7/1/52 79,526 75,685
3.50%, due 8/1/52 156,559 148,578
4.00%, due 5/1/45 38,981 37,830
4.00%, due 1/1/48 347,535 341,597
4.00%, due 1/1/48 633,357 620,747
4.00%, due 3/1/48 105,602 103,797
4.00%, due 11/1/48 311,678 302,929
4.00%, due 12/1/48 47,657 46,355
4.00%, due 3/1/49 151,567 147,429
4.00%, due 4/1/50 121,979 118,403
4.00%, due 8/1/50 108,093 104,972
4.00%, due 3/1/51 26,192 25,476
4.00%, due 5/1/52 537,270 522,588
4.50%, due 11/1/42 46,317 46,846
4.50%, due 10/1/44 144,016 145,460
4.50%, due 3/1/45 222,797 224,871
4.50%, due 3/1/48 108,646 108,246
4.50%, due 8/1/48 59,975 59,560
4.50%, due 6/1/49 18,230 18,134
4.50%, due 8/1/49 28,628 28,461
4.50%, due 1/1/50 39,121 38,830
4.50%, due 10/1/50 641,487 638,088
4.50%, due 12/1/50 880,356 873,860
4.50%, due 4/1/52 20,811 20,475
4.50%, due 4/1/52 40,714 40,063
4.50%, due 4/1/52 71,024 69,919
4.50%, due 4/1/52 83,914 83,024
4.50%, due 4/1/52 32,316 31,813
4.50%, due 4/1/52 36,986 36,411
4.50%, due 5/1/52 112,723 110,970
4.50%, due 7/1/52 408,671 402,490
4.50%, due 7/1/53 431,474 432,438
4.50%, due 8/1/53 336,532 336,859
5.00%, due 5/1/48 89,298 90,933

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year
5.00%, due 10/1/52 $      159,589 $       161,459
5.00%, due 10/1/52     357,880        362,075
5.00%, due 1/1/53     218,385        220,944
5.00%, due 1/1/53      71,001         71,570
5.00%, due 2/1/53      86,027         87,035
5.00%, due 3/1/53      51,692         52,042
5.00%, due 4/1/53     100,357        101,100
5.00%, due 5/1/53 51,124 51,502
5.00%, due 6/1/53 72,735 73,498
5.00%, due 6/1/53 61,989 62,448
5.00%, due 8/1/53 61,951 62,577
5.00%, due 7/1/54 2,387,122 2,392,055
5.50%, due 3/1/53 15,056 15,442
5.50%, due 4/1/53 7,624 7,815
5.50%, due 5/1/53 7,303 7,508
5.50%, due 5/1/53 14,064 14,425
5.50%, due 6/1/53 30,477 31,336
5.50%, due 6/1/53 1,906,050 1,959,749
5.50%, due 7/1/53 87,489 89,886
5.50%, due 7/1/53 52,689 54,133
5.50%, due 7/1/53 4,163,915 4,254,679
5.50%, due 9/1/53 3,197,787 3,285,377
5.50%, due 11/1/53 553,437 574,240
5.50%, due 3/1/54 1,006,201 1,044,025
6.00%, due 2/1/37 17,155 18,092
6.00%, due 1/1/54 1,382,049 1,454,143
6.00%, due 3/1/54 1,178,483 1,239,964
UMBS, Single Family, 30 Year TBA (k)
2.50%, due 10/25/54 9,800,000 8,458,248
3.00%, due 10/25/54 10,528,812 9,448,774
4.00%, due 10/25/54 6,382,009 6,128,537
    89,323,759
Government National Mortgage Association (Mortgage Pass-Through Securities) 1.5% 
GNMA I, 30 Year
4.00%, due 1/15/45 329,238 325,789
4.50%, due 8/15/46 376,161 377,625
GNMA I, Single Family, 30 Year
4.00%, due 7/15/47 256,225 250,324
4.00%, due 8/15/47 32,238 31,663
4.00%, due 11/15/47 20,105 19,823
4.00%, due 12/15/47 62,730 61,251
GNMA II, 30 Year
2.50%, due 1/20/52 2,881,152 2,504,583
GNMA II, Single Family, 30 Year
2.50%, due 3/20/51 2,325,265 2,052,340
2.50%, due 10/15/54 TBA (k) 4,400,314 3,877,607

  Principal
Amount
Value
U.S. Government & Federal Agencies
Government National Mortgage Association (Mortgage Pass-Through Securities)  
GNMA II, Single Family, 30 Year
3.00%, due 11/20/46 $    1,838,871 $     1,697,632
3.00%, due 4/20/51   1,776,571      1,622,052
3.00%, due 7/20/51   1,198,995      1,093,906
3.00%, due 8/20/51   2,745,102      2,504,743
3.50%, due 5/20/49   2,432,463      2,309,110
4.00%, due 8/20/47      13,447         13,044
4.00%, due 8/20/47      44,136         42,773
4.00%, due 8/20/47 13,046 12,655
4.00%, due 6/20/48 163,367 159,759
4.00%, due 10/15/54 TBA (k) 3,120,650 3,016,941
4.50%, due 2/20/48 33,262 33,317
4.50%, due 5/20/48 29,167 28,853
4.50%, due 5/20/48 70,218 69,505
4.50%, due 10/15/54 TBA (k) 1,844,638 1,821,329
5.00%, due 8/20/48 188,015 190,759
5.00%, due 10/15/54 TBA (k) 1,144,836 1,146,669
    25,264,052
United States Treasury Bonds 2.9% 
U.S. Treasury Bonds
4.125%, due 8/15/44 (e) 36,263,000 35,979,696
4.625%, due 5/15/54 14,268,000 15,476,321
    51,456,017
United States Treasury Notes 3.4% 
U.S. Treasury Notes
3.375%, due 9/15/27 3,981,000 3,960,784
3.50%, due 9/30/26 5,253,000 5,238,431
3.50%, due 9/30/29 35,896,000 35,789,434
3.625%, due 9/30/31 1,932,000 1,928,377
3.875%, due 8/15/34 8,344,300 8,402,971
4.625%, due 6/30/26 4,729,000 4,801,782
    60,121,779
Total U.S. Government & Federal Agencies
(Cost $260,887,800)
  260,623,762
Total Long-Term Bonds
(Cost $650,541,614)
  655,260,715
 
  Shares  
 
Common Stocks 62.0%
Aerospace & Defense 0.9% 
General Dynamics Corp. 19,318 5,837,899
General Electric Co. 49,134 9,265,690
    15,103,589

  Shares Value
Common Stocks
Banks 1.2% 
JPMorgan Chase & Co.    103,235 $    21,768,132
Beverages 1.0% 
Constellation Brands, Inc., Class A     34,688      8,938,751
Monster Beverage Corp. (l)    172,619     9,005,533
    17,944,284
Biotechnology 2.0% 
AbbVie, Inc.     73,721     14,558,423
Amgen, Inc.     34,709     11,183,587
Vertex Pharmaceuticals, Inc. (l)     20,465     9,517,862
    35,259,872
Broadline Retail 2.5% 
Amazon.com, Inc. (l)    233,803    43,564,513
Building Products 0.7% 
Trane Technologies plc     28,997    11,272,004
Capital Markets 2.3% 
Charles Schwab Corp. (The)     52,322      3,390,989
CME Group, Inc. 47,035 10,378,273
Goldman Sachs Group, Inc. (The) 6,847 3,390,018
Intercontinental Exchange, Inc. 41,731 6,703,668
Moody's Corp. 7,408 3,515,763
Morgan Stanley 129,781 13,528,371
    40,907,082
Chemicals 0.4% 
Corteva, Inc. 124,944 7,345,458
Communications Equipment 0.3% 
Motorola Solutions, Inc. 11,917 5,358,241
Consumer Finance 1.6% 
American Express Co. 104,919 28,454,033
Consumer Staples Distribution & Retail 1.1% 
Costco Wholesale Corp. 11,192 9,921,932
Sysco Corp. 121,251 9,464,853
    19,386,785
Electric Utilities 0.3% 
American Electric Power Co., Inc. 52,243 5,360,132

  Shares Value
Common Stocks
Electrical Equipment 0.3% 
Eaton Corp. plc     14,044 $     4,654,743
Energy Equipment & Services 0.2% 
Schlumberger NV     94,064     3,945,985
Entertainment 1.1% 
Netflix, Inc. (l)     12,085      8,571,528
Walt Disney Co. (The)    110,718    10,649,964
    19,221,492
Financial Services 2.2% 
Mastercard, Inc., Class A     79,166    39,092,171
Ground Transportation 0.5% 
Uber Technologies, Inc. (l)    121,464     9,129,234
Health Care Equipment & Supplies 1.1% 
Abbott Laboratories     64,905      7,399,819
Stryker Corp.     31,057    11,219,652
    18,619,471
Health Care Providers & Services 2.4% 
HCA Healthcare, Inc. 22,499 9,144,268
UnitedHealth Group, Inc. 55,429 32,408,228
    41,552,496
Hotels, Restaurants & Leisure 3.4% 
Booking Holdings, Inc. 4,069 17,139,116
Chipotle Mexican Grill, Inc. (l) 129,165 7,442,487
Hilton Worldwide Holdings, Inc. 65,605 15,121,953
McDonald's Corp. 64,945 19,776,402
    59,479,958
Household Products 0.7% 
Procter & Gamble Co. (The) 69,556 12,047,099
Industrial Conglomerates 0.8% 
Honeywell International, Inc. 66,771 13,802,233
Industrial REITs 0.3% 
Prologis, Inc. 44,619 5,634,487
Insurance 2.2% 
Marsh & McLennan Cos., Inc. 38,791 8,653,884
Progressive Corp. (The) 117,084 29,711,236
    38,365,120

  Shares Value
Common Stocks
Interactive Media & Services 5.0% 
Alphabet, Inc., Class C    283,114 $    47,333,830
Meta Platforms, Inc., Class A     71,391    40,867,064
    88,200,894
IT Services 0.9% 
Accenture plc, Class A     42,039    14,859,946
Life Sciences Tools & Services 1.0% 
Danaher Corp.     22,195      6,170,654
Thermo Fisher Scientific, Inc.     17,518    10,836,109
    17,006,763
Machinery 0.5% 
Deere & Co.     22,477     9,380,326
Multi-Utilities 0.2% 
Sempra (e)     31,661     2,647,810
Oil, Gas & Consumable Fuels 1.1% 
Chevron Corp.     66,467      9,788,595
ConocoPhillips     93,852     9,880,739
    19,669,334
Pharmaceuticals 1.9% 
Eli Lilly & Co. 24,261 21,493,790
Merck & Co., Inc. 53,505 6,076,028
Zoetis, Inc. 32,326 6,315,854
    33,885,672
Professional Services 0.7% 
Automatic Data Processing, Inc. 45,576 12,612,247
Semiconductors & Semiconductor Equipment 8.0% 
Broadcom, Inc. 92,622 15,977,295
KLA Corp. 16,279 12,606,621
Lam Research Corp. 19,713 16,087,385
NVIDIA Corp. 711,673 86,425,569
Texas Instruments, Inc. 40,888 8,446,234
    139,543,104
Software 7.6% 
Adobe, Inc. (l) 13,412 6,944,466
Cadence Design Systems, Inc. (l) 14,835 4,020,730
Intuit, Inc. 15,169 9,419,949
Microsoft Corp. 218,497 94,019,259
Oracle Corp. 76,143 12,974,767

  Shares   Value
Common Stocks
Software  
ServiceNow, Inc. (l)      5,588   $     4,997,851
      132,377,022
Specialty Retail 1.5% 
Home Depot, Inc. (The)     35,150       14,242,780
TJX Cos., Inc. (The)    103,347      12,147,406
      26,390,186
Technology Hardware, Storage & Peripherals 3.5% 
Apple, Inc.    259,713      60,513,129
Textiles, Apparel & Luxury Goods 0.6% 
NIKE, Inc., Class B    112,286       9,926,082
Total Common Stocks
(Cost $601,513,019)
    1,084,281,129
Short-Term Investments 4.0%
Affiliated Investment Company 3.3% 
NYLI U.S. Government Liquidity Fund, 4.88% (m)(n) 57,194,774      57,194,774
Unaffiliated Investment Companies 0.7% 
BlackRock Liquidity FedFund, 4.943% (n)(o)  1,000,000        1,000,000
Invesco Government & Agency Portfolio, 4.917% (n)(o) 11,807,768   11,807,768
      12,807,768
Total Short-Term Investments
(Cost $70,002,542)
    70,002,542
Total Investments
(Cost $1,322,057,175)
103.4%   1,809,544,386
Other Assets, Less Liabilities (3.4)   (58,901,414)
Net Assets 100.0%   $ 1,750,642,972
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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) 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, 2024.
(c) Step coupon—Rate shown was the rate in effect as of September 30, 2024.
(d) Floating rate—Rate shown was the rate in effect as of September 30, 2024.
(e) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $44,722,013; the total market value of collateral held by the Portfolio was $46,168,877. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $33,361,109. The Portfolio received cash collateral with a value of $12,807,768.  
(f) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.

(g) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(h) Delayed delivery security.
(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, 2024.
(j) 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.
(k) TBA—Security 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, 2024, the total net market value was $33,898,105, which represented 1.9% of the Portfolio’s net assets. All or a portion of this security is a part of a mortgage dollar roll agreement.
(l) Non-income producing security.
(m) As of September 30, 2024, the Portfolio's ownership exceeds 5% of the outstanding shares of the Underlying Portfolio's share class.
(n) Current yield as of September 30, 2024.
(o) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 42,340 $ 217,804 $ (202,949) $ — $ — $ 57,195 $ 1,940 $ — 57,195
Futures Contracts
As of September 30, 2024, 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          
U.S. Treasury 2 Year Notes 127 December 2024   $ 26,377,792   $ 26,446,758   $ 68,966
U.S. Treasury 5 Year Notes 1,043 December 2024  114,461,069  114,607,774  146,705
U.S. Treasury Long Bonds 123 December 2024   15,246,244   15,275,062   28,818
U.S. Treasury Ultra Bonds 45 December 2024    6,016,485    5,989,219   (27,266)
Total Long Contracts         217,223
Short Contracts          
U.S. Treasury 10 Year Notes (33) December 2024    (3,767,120)    (3,771,281)    (4,161)
U.S. Treasury 10 Year Ultra Bonds (16) December 2024    (1,891,479)    (1,892,750)    (1,271)
Total Short Contracts         (5,432)
Net Unrealized Appreciation         $ 211,791
    
1. As of September 30, 2024, cash in the amount of $2,330,000 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, 2024.
    
Abbreviation(s):
CLO—Collateralized Loan Obligation
FHLMC—Federal Home Loan Mortgage Corp.
FNMA—Federal National Mortgage Association

FREMF—Freddie Mac Multifamily
GNMA—Government National Mortgage Association
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate
STACR—Structured Agency Credit Risk
TBA—To Be Announced
UMBS—Uniform Mortgage Backed Securities
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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             $ —     $ 82,127,562   $ —       $ 82,127,562
Corporate Bonds             —    202,270,359        202,270,359
Foreign Government Bond             —        579,905            579,905
Loan Assignments             —      9,864,351          9,864,351
Mortgage-Backed Securities             —     99,794,776         99,794,776
U.S. Government & Federal Agencies             —    260,623,762        260,623,762
Total Long-Term Bonds   655,260,715     655,260,715
Common Stocks  1,084,281,129             —      1,084,281,129
Short-Term Investments              
Affiliated Investment Company     57,194,774             —         57,194,774
Unaffiliated Investment Companies     12,807,768             —         12,807,768
Total Short-Term Investments 70,002,542       70,002,542
Total Investments in Securities 1,154,283,671   655,260,715     1,809,544,386
Other Financial Instruments              
Futures Contracts (b)        244,489             —            244,489
Total Investments in Securities and Other Financial Instruments $ 1,154,528,160   $ 655,260,715   $ —   $ 1,809,788,875
Liability Valuation Inputs              
Other Financial Instruments              
Futures Contracts (b)         $ (32,698)             $ —   $ —           $ (32,698)
    
(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.

NYLI VP Dimensional U.S. Equity Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.7%
Aerospace & Defense 1.2% 
Lockheed Martin Corp.    21,703 $    12,686,706
Air Freight & Logistics 0.5% 
United Parcel Service, Inc., Class B    39,239     5,349,845
Beverages 2.2% 
PepsiCo, Inc.   130,037    22,112,792
Biotechnology 5.8% 
AbbVie, Inc.   164,736     32,532,065
Amgen, Inc.    54,725     17,632,942
Gilead Sciences, Inc.   106,503     8,929,212
    59,094,219
Building Products 0.6% 
Advanced Drainage Systems, Inc.    16,679      2,621,272
Lennox International, Inc.     5,680     3,432,367
    6,053,639
Capital Markets 2.3% 
Ameriprise Financial, Inc.    23,969     11,260,876
LPL Financial Holdings, Inc. 18,250 4,245,497
Moody's Corp. 16,669 7,910,941
    23,417,314
Chemicals 0.9% 
Sherwin-Williams Co. (The) 24,375 9,303,206
Commercial Services & Supplies 0.9% 
Waste Management, Inc. 43,179 8,963,960
Communications Equipment 0.6% 
Motorola Solutions, Inc. 13,664 6,143,744
Consumer Finance 0.1% 
American Express Co. 2,569 696,713
Consumer Staples Distribution & Retail 5.6% 
Costco Wholesale Corp. 35,892 31,818,976
Kroger Co. (The) 153,748 8,809,760
Sysco Corp. 110,003 8,586,834
Target Corp. 49,273 7,679,690
    56,895,260
Distributors 0.2% 
Pool Corp. 4,203 1,583,690

  Shares Value
Common Stocks
Electric Utilities 0.5% 
NRG Energy, Inc.    50,890 $     4,636,079
Electrical Equipment 0.7% 
Vertiv Holdings Co., Class A    71,757     7,139,104
Electronic Equipment, Instruments & Components 0.7% 
CDW Corp.    30,630     6,931,569
Energy Equipment & Services 0.3% 
Halliburton Co.    96,977     2,817,182
Entertainment 0.1% 
Warner Music Group Corp., Class A    28,804       901,565
Financial Services 8.5% 
Corpay, Inc. (a)    17,153      5,364,772
Equitable Holdings, Inc.    65,046      2,733,883
Mastercard, Inc., Class A    66,807     32,989,297
Visa, Inc., Class A   164,879    45,333,481
    86,421,433
Food Products 0.9% 
Hershey Co. (The) 15,728 3,016,316
Kellanova 72,910 5,884,566
    8,900,882
Ground Transportation 1.6% 
Union Pacific Corp. 65,545 16,155,532
Health Care Equipment & Supplies 0.8% 
IDEXX Laboratories, Inc. (a) 16,793 8,484,160
Health Care Providers & Services 1.1% 
Cencora, Inc. 36,793 8,281,369
DaVita, Inc. (a) 20,041 3,285,321
    11,566,690
Hotels, Restaurants & Leisure 3.0% 
Chipotle Mexican Grill, Inc. (a) 117,005 6,741,828
Darden Restaurants, Inc. 29,506 4,842,820
Expedia Group, Inc. (a) 28,986 4,290,508
Las Vegas Sands Corp. 70,784 3,563,266
Royal Caribbean Cruises Ltd. 62,838 11,144,948
    30,583,370

  Shares Value
Common Stocks
Household Products 1.7% 
Clorox Co. (The)     9,797 $     1,596,029
Colgate-Palmolive Co.    61,239      6,357,221
Kimberly-Clark Corp.    66,428     9,451,376
    17,404,626
Independent Power and Renewable Electricity Producers 0.9% 
Vistra Corp.    76,336     9,048,869
IT Services 3.3% 
Gartner, Inc. (a)    14,515      7,355,621
GoDaddy, Inc., Class A (a)    26,554      4,163,136
International Business Machines Corp.   101,843    22,515,451
    34,034,208
Life Sciences Tools & Services 0.7% 
Medpace Holdings, Inc. (a)     6,072      2,026,833
Waters Corp. (a)    13,565     4,881,908
    6,908,741
Machinery 3.1% 
Caterpillar, Inc. 52,619 20,580,343
Deere & Co. 8,814 3,678,347
Illinois Tool Works, Inc. 29,728 7,790,817
    32,049,507
Media 0.2% 
Charter Communications, Inc., Class A (a) 5,662 1,834,941
Metals & Mining 0.1% 
Southern Copper Corp. 9,491 1,097,824
Oil, Gas & Consumable Fuels 3.2% 
Cheniere Energy, Inc. 55,879 10,049,279
Devon Energy Corp. 138,848 5,431,734
Hess Corp. 67,691 9,192,438
Targa Resources Corp. 53,479 7,915,427
    32,588,878
Passenger Airlines 0.7% 
Delta Air Lines, Inc. 138,885 7,053,969
Pharmaceuticals 6.7% 
Bristol-Myers Squibb Co. 124,097 6,420,779
Eli Lilly & Co. 57,681 51,101,905
Merck & Co., Inc. 8,167 927,444
Zoetis, Inc. 51,765 10,113,846
    68,563,974

  Shares Value
Common Stocks
Professional Services 3.0% 
Automatic Data Processing, Inc.    40,775 $    11,283,666
Booz Allen Hamilton Holding Corp.    24,711      4,021,962
Paychex, Inc.    68,884      9,243,544
Verisk Analytics, Inc.    22,702     6,083,228
    30,632,400
Semiconductors & Semiconductor Equipment 8.6% 
KLA Corp.    13,761     10,656,656
Lam Research Corp.    12,848     10,484,996
Microchip Technology, Inc.    71,635      5,751,574
NVIDIA Corp.   443,467     53,854,632
NXP Semiconductors NV    28,163     6,759,402
    87,507,260
Software 11.4% 
Adobe, Inc. (a)    43,576     22,562,781
AppLovin Corp., Class A (a)    56,093      7,322,941
Autodesk, Inc. (a)    22,062      6,077,640
Manhattan Associates, Inc. (a) 10,032 2,822,804
Microsoft Corp. 115,691 49,781,837
Oracle Corp. 161,254 27,477,682
    116,045,685
Specialty Retail 8.3% 
Best Buy Co., Inc. 52,657 5,439,468
Burlington Stores, Inc. (a) 14,542 3,831,526
Dick's Sporting Goods, Inc. 12,725 2,655,708
Home Depot, Inc. (The) 80,180 32,488,936
Ross Stores, Inc. 73,285 11,030,126
TJX Cos., Inc. (The) 128,743 15,132,452
Tractor Supply Co. 24,563 7,146,114
Ulta Beauty, Inc. (a) 6,169 2,400,481
Williams-Sonoma, Inc. 31,396 4,863,868
    84,988,679
Technology Hardware, Storage & Peripherals 5.6% 
Apple, Inc. 223,092 51,980,436
NetApp, Inc. 42,088 5,198,289
    57,178,725
Textiles, Apparel & Luxury Goods 1.0% 
Lululemon Athletica, Inc. (a) 14,633 3,970,664
NIKE, Inc., Class B 65,989 5,833,428
    9,804,092
Trading Companies & Distributors 2.1% 
United Rentals, Inc. 14,232 11,524,077

  Shares   Value
Common Stocks
Trading Companies & Distributors  
WW Grainger, Inc.     9,339   $     9,701,447
      21,225,524
Total Common Stocks
(Cost $837,089,041)
    1,014,806,556
Short-Term Investment 0.3%
Affiliated Investment Company 0.3% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 3,012,546       3,012,546
Total Short-Term Investment
(Cost $3,012,546)
    3,012,546
Total Investments
(Cost $840,101,587)
100.0%   1,017,819,102
Other Assets, Less Liabilities 0.0‡   67,391
Net Assets 100.0%   $ 1,017,886,493
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 2,752 $ 108,724 $ (108,463) $ — $ — $ 3,013 $ 206 $ — 3,013

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 1,014,806,556   $ —   $ —    $ 1,014,806,556
Short-Term Investment              
Affiliated Investment Company      3,012,546            3,012,546
Total Investments in Securities $ 1,017,819,102   $ —   $ —   $ 1,017,819,102
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP MacKay Convertible Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 0.0% ‡
Corporate Bond 0.0% ‡
Hotels, Restaurants & Leisure 0.0%  ‡
NCL Corp. Ltd.    
5.375%, due 8/1/25 $        4,000 $         4,956
Total Long-Term Bonds
(Cost $4,461)
  4,956
 
Convertible Securities 95.2%
Convertible Bonds 90.0%
Automobile Components 1.5% 
Patrick Industries, Inc.    
1.75%, due 12/1/28 17,313,000 26,149,122
Automobiles 2.3% 
Ford Motor Co.    
(zero coupon), due 3/15/26 32,843,000 32,268,247
Rivian Automotive, Inc.    
4.625%, due 3/15/29 8,137,000 7,369,071
    39,637,318
Beverages 1.3% 
MGP Ingredients, Inc.    
1.875%, due 11/15/41 20,955,000 22,438,975
Biotechnology 8.4% 
Alnylam Pharmaceuticals, Inc.    
1.00%, due 9/15/27 5,744,000 6,729,096
BioMarin Pharmaceutical, Inc.    
1.25%, due 5/15/27 (a) 33,633,000 32,094,290
Bridgebio Pharma, Inc.    
2.25%, due 2/1/29 13,325,000 11,193,000
Exact Sciences Corp.    
1.75%, due 4/15/31 (b) 33,449,000 33,995,755
Halozyme Therapeutics, Inc.    
1.00%, due 8/15/28 18,801,000 22,373,190
Ionis Pharmaceuticals, Inc.    
1.75%, due 6/15/28 15,349,000 15,951,448
Mirum Pharmaceuticals, Inc.    
4.00%, due 5/1/29 15,959,000 23,445,759
    145,782,538
Broadline Retail 1.0% 
Etsy, Inc.    
0.125%, due 10/1/26 17,222,000 17,067,002

  Principal
Amount
Value
Convertible Bonds
Commercial Services & Supplies 2.3% 
Tetra Tech, Inc.    
2.25%, due 8/15/28 $   30,569,000 $    40,152,381
Communications Equipment 1.5% 
Lumentum Holdings, Inc.    
0.50%, due 12/15/26 26,640,000    26,267,040
Consumer Staples Distribution & Retail 1.2% 
Chefs' Warehouse, Inc. (The)    
2.375%, due 12/15/28 17,361,000    20,398,327
Electric Utilities 3.7% 
NRG Energy, Inc.    
2.75%, due 6/1/48 14,817,000 32,878,923
PG&E Corp.    
4.25%, due 12/1/27 (b) 28,204,000 30,580,187
    63,459,110
Electrical Equipment 0.3% 
Array Technologies, Inc.    
1.00%, due 12/1/28 8,045,000 6,003,089
Electronic Equipment, Instruments & Components 2.0% 
Advanced Energy Industries, Inc.    
2.50%, due 9/15/28 19,979,000 21,127,792
OSI Systems, Inc.    
2.25%, due 8/1/29 (b) 12,410,000 12,930,163
    34,057,955
Energy Equipment & Services 0.8% 
Oil States International, Inc.    
4.75%, due 4/1/26 13,362,000 13,021,269
Entertainment 3.0% 
Liberty Media Corp.    
2.25%, due 8/15/27 14,461,000 15,963,617
Live Nation Entertainment, Inc.    
3.125%, due 1/15/29 (a) 16,943,000 20,898,992
Sirius XM Holdings, Inc.    
3.75%, due 3/15/28 14,595,000 15,113,123
    51,975,732
Financial Services 2.5% 
Euronet Worldwide, Inc.    
0.75%, due 3/15/49 11,685,000 11,509,725
Global Payments, Inc.    
1.50%, due 3/1/31 (b) 13,765,000 13,214,400

  Principal
Amount
Value
Convertible Bonds
Financial Services  
Shift4 Payments, Inc.    
(zero coupon), due 12/15/25 $   15,202,000 $    18,554,041
    43,278,166
Food Products 1.9% 
Post Holdings, Inc.    
2.50%, due 8/15/27 27,478,000    32,740,037
Ground Transportation 1.4% 
Uber Technologies, Inc.    
Series 2028    
0.875%, due 12/1/28 (b) 18,821,000 23,610,944
Health Care Equipment & Supplies 11.8% 
CONMED Corp.    
2.25%, due 6/15/27 24,108,000 22,424,734
Dexcom, Inc.    
0.25%, due 11/15/25 16,942,000 16,166,904
Envista Holdings Corp.    
1.75%, due 8/15/28 14,683,000 13,333,999
Haemonetics Corp.    
(zero coupon), due 3/1/26 9,354,000 8,652,450
Integer Holdings Corp.    
2.125%, due 2/15/28 18,837,000 29,790,715
iRhythm Technologies, Inc.    
1.50%, due 9/1/29 (b) 4,061,000 3,697,541
Lantheus Holdings, Inc.    
2.625%, due 12/15/27 25,213,000 39,225,125
Merit Medical Systems, Inc.    
3.00%, due 2/1/29 (b) 25,905,000 33,780,120
TransMedics Group, Inc.    
1.50%, due 6/1/28 20,255,000 37,392,755
    204,464,343
Health Care REITs 1.3% 
Welltower OP LLC    
3.125%, due 7/15/29 (b) 19,279,000 22,469,674
Health Care Technology 0.6% 
Teladoc Health, Inc.    
1.25%, due 6/1/27 (a) 12,551,000 10,900,544
Hotel & Resort REITs 1.0% 
Pebblebrook Hotel Trust    
1.75%, due 12/15/26 5,863,000 5,405,686

  Principal
Amount
Value
Convertible Bonds
Hotel & Resort REITs  
Summit Hotel Properties, Inc.    
1.50%, due 2/15/26 $   13,238,000 $    12,528,940
    17,934,626
Hotels, Restaurants & Leisure 6.1% 
Booking Holdings, Inc.    
0.75%, due 5/1/25 11,000,000     24,650,748
Carnival Corp.    
5.75%, due 12/1/27 18,634,000     30,044,996
Cheesecake Factory, Inc. (The)    
0.375%, due 6/15/26 9,488,000 8,990,280
Expedia Group, Inc.    
(zero coupon), due 2/15/26 2,758,000 2,646,301
Marriott Vacations Worldwide Corp.    
(zero coupon), due 1/15/26 3,060,000 2,854,960
NCL Corp. Ltd.    
1.125%, due 2/15/27 23,229,000 22,571,564
Royal Caribbean Cruises Ltd.    
6.00%, due 8/15/25 3,850,000 13,778,669
    105,537,518
Household Durables 1.0% 
Meritage Homes Corp.    
1.75%, due 5/15/28 (b) 15,293,000 17,487,546
Household Products 0.5% 
Spectrum Brands, Inc.    
3.375%, due 6/1/29 (b) 8,174,000 8,502,941
Interactive Media & Services 1.2% 
Match Group Financeco 2, Inc.    
0.875%, due 6/15/26 (b) 13,160,000 12,372,019
Snap, Inc.    
0.50%, due 5/1/30 (b) 5,295,000 4,516,635
Ziff Davis, Inc.    
1.75%, due 11/1/26 3,285,000 3,048,891
    19,937,545
IT Services 2.7% 
Akamai Technologies, Inc.    
0.375%, due 9/1/27 19,295,000 19,965,501
MongoDB, Inc.    
0.25%, due 1/15/26 7,540,000 10,425,935
Okta, Inc.    
0.125%, due 9/1/25 7,194,000 6,891,852
Snowflake, Inc.    
(zero coupon), due 10/1/27 (b) 9,020,000 9,398,840
    46,682,128

  Principal
Amount
Value
Convertible Bonds
Machinery 0.6% 
Greenbrier Cos., Inc. (The)    
2.875%, due 4/15/28 $    9,472,000 $    10,426,304
Media 0.6% 
Liberty Broadband Corp.    
3.125%, due 3/31/53 (b)   9,771,000     9,741,622
Oil, Gas & Consumable Fuels 2.8% 
Kosmos Energy Ltd.    
3.125%, due 3/15/30 (b) 16,764,000     15,544,419
Northern Oil & Gas, Inc.    
3.625%, due 4/15/29 13,890,000 15,907,523
Permian Resources Operating LLC    
3.25%, due 4/1/28 7,534,000 17,905,304
    49,357,246
Passenger Airlines 2.1% 
American Airlines Group, Inc.    
6.50%, due 7/1/25 6,895,000 7,088,060
Southwest Airlines Co.    
1.25%, due 5/1/25 29,005,000 29,329,225
    36,417,285
Pharmaceuticals 1.1% 
Amphastar Pharmaceuticals, Inc.    
2.00%, due 3/15/29 18,758,000 19,901,027
Pacira BioSciences, Inc.    
0.75%, due 8/1/25 1,000 955
    19,901,982
Professional Services 0.3% 
Parsons Corp.    
2.625%, due 3/1/29 (b) 4,035,000 5,086,118
Real Estate Management & Development 1.9% 
Zillow Group, Inc.    
1.375%, due 9/1/26 22,334,000 33,076,654
2.75%, due 5/15/25 5,000 5,593
    33,082,247
Semiconductors & Semiconductor Equipment 5.5% 
Enphase Energy, Inc.    
(zero coupon), due 3/1/26 16,664,000 15,701,654
Impinj, Inc.    
1.125%, due 5/15/27 4,870,000 9,758,993
Microchip Technology, Inc.    
0.125%, due 11/15/24 35,083,000 35,100,541

  Principal
Amount
Value
Convertible Bonds
Semiconductors & Semiconductor Equipment  
MKS Instruments, Inc.    
1.25%, due 6/1/30 (b) $    9,765,000 $     9,779,648
ON Semiconductor Corp.    
0.50%, due 3/1/29 24,345,000    24,704,089
    95,044,925
Software 10.7% 
Bentley Systems, Inc.    
0.125%, due 1/15/26   3,445,000      3,462,225
Datadog, Inc.    
0.125%, due 6/15/25 10,168,000 13,218,400
Dropbox, Inc.    
(zero coupon), due 3/1/28 12,063,000 11,693,571
Envestnet, Inc.    
2.625%, due 12/1/27 17,335,000 18,427,105
Five9, Inc.    
1.00%, due 3/15/29 (b) 6,540,000 5,501,775
Nice Ltd.    
(zero coupon), due 9/15/25 31,231,000 29,997,375
Nutanix, Inc.    
0.25%, due 10/1/27 18,104,000 21,679,540
Palo Alto Networks, Inc.    
0.375%, due 6/1/25 6,470,000 22,263,270
Progress Software Corp.    
3.50%, due 3/1/30 (b) 4,025,000 4,846,100
Q2 Holdings, Inc.    
0.75%, due 6/1/26 2,800,000 3,058,392
Rapid7, Inc.    
1.25%, due 3/15/29 6,375,000 6,021,467
Tyler Technologies, Inc.    
0.25%, due 3/15/26 15,238,000 18,757,978
Vertex, Inc.    
0.75%, due 5/1/29 (b) 5,627,000 7,061,885
Workiva, Inc.    
1.25%, due 8/15/28 (a) 8,290,000 7,856,019
Zscaler, Inc.    
0.125%, due 7/1/25 9,088,000 11,132,800
    184,977,902
Specialty Retail 0.8% 
Burlington Stores, Inc.    
1.25%, due 12/15/27 10,100,000 14,276,350
Technology Hardware, Storage & Peripherals 2.3% 
Seagate HDD Cayman    
3.50%, due 6/1/28 15,180,000 21,866,790
Super Micro Computer, Inc.    
(zero coupon), due 3/1/29 (b) 8,754,000 7,086,363

  Principal
Amount
Value
Convertible Bonds
Technology Hardware, Storage & Peripherals  
Western Digital Corp.    
3.00%, due 11/15/28 (b) $    7,380,000 $    10,955,610
    39,908,763
Total Convertible Bonds
(Cost $1,432,450,183)
  1,558,176,614
 
  Shares  
 
Convertible Preferred Stocks 5.2%
Banks 1.8% 
Bank of America Corp.  
Series L    
7.25% (c) 11,636 14,812,744
Wells Fargo & Co.  
Series L    
7.50% (c) 12,264 15,724,901
    30,537,645
Electric Utilities 1.3% 
NextEra Energy, Inc.  
6.926% 480,000 22,252,800
Financial Services 1.2% 
Apollo Global Management, Inc.  
6.75% 308,350 20,964,717
Machinery 0.5% 
Chart Industries, Inc.  
Series B    
6.75% 172,700 8,678,175
Technology Hardware, Storage & Peripherals 0.4% 
Hewlett Packard Enterprise Co.  
7.625% (d) 124,800 7,551,648
Total Convertible Preferred Stocks
(Cost $84,573,366)
  89,984,985
Total Convertible Securities
(Cost $1,517,023,549)
  1,648,161,599
Common Stock 1.2%
Life Sciences Tools & Services 1.2% 
Danaher Corp. 76,813 21,355,550
Total Common Stock
(Cost $19,581,752)
  21,355,550

  Shares   Value
Short-Term Investments 5.6%
Affiliated Investment Company 3.4% 
NYLI U.S. Government Liquidity Fund, 4.88% (e)(f) 58,132,456   $    58,132,456
Unaffiliated Investment Companies 2.2% 
BlackRock Liquidity FedFund, 4.943% (f)(g)  1,000,000        1,000,000
Dreyfus Treasury Obligations Cash Management Fund, 4.944% (f)(g)  1,000,000        1,000,000
Invesco Government & Agency Portfolio, 4.917% (f)(g) 36,158,723      36,158,723
      38,158,723
Total Short-Term Investments
(Cost $96,291,179)
    96,291,179
Total Investments
(Cost $1,632,900,941)
102.0%   1,765,813,284
Other Assets, Less Liabilities (2.0)   (34,015,077)
Net Assets 100.0%   $ 1,731,798,207
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
    
(a) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $37,393,353. The Portfolio received cash collateral with a value of $38,158,723.  
(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) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(d) Non-income producing security.
(e) As of September 30, 2024, the Portfolio's ownership exceeds 5% of the outstanding shares of the Underlying Portfolio's share class.
(f) Current yield as of September 30, 2024.
(g) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 133,029 $ 355,620 $ (430,517) $ — $ — $ 58,132 $ 4,251 $ — 58,132
Abbreviation(s):
REIT—Real Estate Investment Trust

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, for valuing the Portfolio’s assets:
Description Quoted
Prices in
Active
Markets for
Identical
Assets
(Level 1)
  Significant
Other
Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)
  Total
Asset Valuation Inputs              
Investments in Securities (a)              
Long-Term Bonds              
Corporate Bond           $ —            $ 4,956   $ —            $ 4,956
Total Corporate Bond   4,956     4,956
Convertible Securities              
Convertible Bonds           —    1,558,176,614      1,558,176,614
Convertible Preferred Stocks   89,984,985               —         89,984,985
Total Convertible Securities 89,984,985   1,558,176,614     1,648,161,599
Common Stock   21,355,550               —         21,355,550
Short-Term Investments              
Affiliated Investment Company   58,132,456               —         58,132,456
Unaffiliated Investment Companies   38,158,723               —         38,158,723
Total Short-Term Investments 96,291,179       96,291,179
Total Investments in Securities $ 207,631,714   $ 1,558,181,570   $ —   $ 1,765,813,284
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP MacKay U.S. Infrastructure Bond Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 95.9%
Corporate Bonds 8.4%
Commercial Services 5.0% 
Cornell University    
4.835%, due 6/15/34 $   3,000,000 $   3,100,511
Emory University    
Series 2020                      
2.143%, due 9/1/30 3,250,000    2,927,789
Toll Road Investors Partnership II LP    
(zero coupon), due 2/15/49 (a) 2,000,000      338,598
Yale University    
Series 2020    
1.482%, due 4/15/30 5,000,000 4,365,080
    10,731,978
Healthcare-Services 3.4% 
Adventist Health System    
5.757%, due 12/1/34 1,100,000 1,146,401
Ascension Health    
Series B    
2.532%, due 11/15/29 2,370,000 2,200,697
CommonSpirit Health    
5.205%, due 12/1/31 1,000,000 1,030,615
Marshfield Clinic Health System, Inc.    
Series 2024    
5.75%, due 2/15/34 1,500,000 1,570,538
Southeast Alaska Regional Health Consortium    
2.262%, due 7/1/31 1,555,000 1,335,125
    7,283,376
Total Corporate Bonds
(Cost $17,311,214)
  18,015,354
Municipal Bonds 87.5%
Arizona 1.2% 
City of Phoenix Civic Improvement Corp., Water System
Revenue Bonds, Junior Lien
   
Series C    
1.939%, due 7/1/30 2,775,000 2,506,817
California 16.2% 
Alameda Corridor Transportation Authority
Revenue Bonds, Sub. Lien
   
Series B, Insured: BAM AMBAC    
(zero coupon), due 10/1/32 1,000,000 706,611
Antelope Valley Community College District
Unlimited General Obligation
   
2.321%, due 8/1/34 2,000,000 1,677,626

  Principal
Amount
Value
Municipal Bonds
California  
California Public Finance Authority, PIH Health, Inc, Obligated Group
Revenue Bonds
   
Series B, Insured: AGM                      
5.447%, due 6/1/34 $   2,180,000 $   2,280,862
California State Public Works Board, State of California Department of General Services
Revenue Bonds
   
Series B                      
4.942%, due 4/1/30 2,000,000    2,068,371
City of Los Angeles
Unlimited General Obligation
   
Series A                      
2.15%, due 9/1/32 1,000,000 863,576
City of Los Angeles, Department of Airports
Revenue Bonds, Senior Lien
   
Series C    
3.887%, due 5/15/38 1,360,000 1,271,169
City of Los Angeles, Sustainable Bond
Unlimited General Obligation
   
Series A    
4.72%, due 9/1/34 1,895,000 1,964,480
Series A    
5.50%, due 9/1/32 1,000,000 1,099,993
City of San Francisco, Public Utilities Commission Water
Revenue Bonds
   
Series A    
2.803%, due 11/1/31 2,065,000 1,911,487
County of Santa Clara, Election of 2016
Unlimited General Obligation
   
Series C    
4.85%, due 8/1/34 2,000,000 2,083,570
Fremont Unified School District
Unlimited General Obligation
   
1.577%, due 8/1/29 1,500,000 1,348,293
Kern Community College District
Unlimited General Obligation
   
2.951%, due 11/1/32 1,250,000 1,132,749
Los Angeles Unified School District
Unlimited General Obligation
   
Series QRR    
4.85%, due 1/1/25 2,000,000 1,999,848
Marin Community College District
Unlimited General Obligation
   
Series B    
2.29%, due 8/1/35 1,000,000 818,501
Palomar Community College District
Unlimited General Obligation
   
2.173%, due 8/1/33 2,145,000 1,828,466
2.323%, due 8/1/34 1,000,000 843,287

  Principal
Amount
Value
Municipal Bonds
California  
Port of Oakland
Revenue Bonds, Senior Lien
   
Series R                      
2.349%, due 5/1/33 $   1,276,616 $   1,092,581
San Diego County Water Authority, Sustainable Bond
Revenue Bonds
   
Series A                      
1.531%, due 5/1/30 2,000,000    1,763,871
State of California
Unlimited General Obligation
   
5.15%, due 9/1/34 1,000,000    1,057,912
7.50%, due 4/1/34 2,500,000 2,999,898
University of California
Revenue Bonds
   
Series BG    
1.614%, due 5/15/30 4,250,000 3,744,327
    34,557,478
Colorado 1.6% 
Colorado Housing and Finance Authority
Revenue Bonds
   
Series E-1, Insured: GNMA / FNMA / FHLMC    
6.00%, due 5/1/49 2,000,000 2,109,396
Metro Wastewater Reclamation District
Revenue Bonds
   
Series B    
2.813%, due 4/1/32 1,500,000 1,387,834
    3,497,230
Connecticut 2.7% 
City of Norwalk
Unlimited General Obligation
   
Series B    
1.325%, due 8/1/28 1,320,000 1,204,877
Connecticut Housing Finance Authority
Revenue Bonds
   
Series E-1    
5.75%, due 11/15/54 1,000,000 1,033,519
State of Connecticut
Unlimited General Obligation
   
Series A    
4.648%, due 5/15/33 1,500,000 1,543,062
Series A    
4.846%, due 5/1/33 2,000,000 2,087,546
    5,869,004

  Principal
Amount
Value
Municipal Bonds
District of Columbia 1.7% 
District of Columbia, Income Tax
Revenue Bonds
   
Series B                      
3.759%, due 7/1/29 $   3,750,000 $   3,735,443
Florida 1.2% 
Central Florida Tourism Oversight District
Limited General Obligation
   
Series A                      
2.731%, due 6/1/38 1,100,000      903,476
County of Miami-Dade, Seaport Department
Revenue Bonds
   
Series A-3, Insured: AGM    
1.962%, due 10/1/30 2,000,000 1,763,273
    2,666,749
Guam 0.9% 
Guam Government Waterworks Authority
Revenue Bonds
   
Series B    
2.75%, due 7/1/30 2,000,000 1,823,600
Hawaii 1.8% 
State of Hawaii
Unlimited General Obligation
   
Series FZ    
1.695%, due 8/1/32 4,500,000 3,771,493
Idaho 0.5% 
City of Boise City, Airport
Revenue Bonds
   
Insured: BAM    
5.376%, due 9/1/32 1,000,000 1,074,211
Illinois 6.7% 
Chicago O'Hare International Airport, General
Revenue Bonds, Senior Lien
   
Series D    
2.346%, due 1/1/30 3,785,000 3,481,518
Sales Tax Securitization Corp.
Revenue Bonds, Second Lien
   
Series B    
3.057%, due 1/1/34 4,000,000 3,571,983
State of Illinois
Unlimited General Obligation
   
Series A    
5.277%, due 5/1/31 4,000,000 4,189,262

  Principal
Amount
Value
Municipal Bonds
Illinois  
State of Illinois
Unlimited General Obligation
   
Series 3                      
6.725%, due 4/1/35 $   2,961,539 $   3,180,847
    14,423,610
Indiana 1.0% 
Evansville Waterworks District
Revenue Bonds
   
Insured: BAM                      
2.458%, due 1/1/32 2,400,000   2,147,437
Iowa 0.5% 
Iowa Student Loan Liquidity Corp.
Revenue Bonds
   
Series A    
5.343%, due 12/1/34 1,000,000 1,008,590
Louisiana 0.4% 
Louisiana Energy & Power Authority
Revenue Bonds
   
Series A, Insured: AGM    
2.332%, due 6/1/32 1,060,000 914,883
Massachusetts 3.5% 
Commonwealth of Massachusetts
Limited General Obligation
   
Series E    
1.67%, due 11/1/31 1,920,000 1,645,412
Commonwealth of Massachusetts, Commonwealth of Massachusetts COVID-19 Recovery Assessment Revenue
Revenue Bonds
   
Series A    
3.769%, due 7/15/29 3,000,000 2,982,908
Massachusetts School Building Authority
Revenue Bonds
   
Series B    
1.753%, due 8/15/30 3,225,000 2,903,842
    7,532,162
Michigan 1.3% 
Great Lakes Water Authority, Sewage Disposal System
Revenue Bonds, Senior Lien
   
Series A    
2.515%, due 7/1/35 3,170,000 2,694,494

  Principal
Amount
Value
Municipal Bonds
Minnesota 0.5% 
Minnesota Housing Finance Agency
Revenue Bonds
   
Series J, Insured: GNMA / FNMA / FHLMC                      
6.50%, due 7/1/54 $   1,000,000 $   1,068,786
Mississippi 1.8% 
State of Mississippi
Unlimited General Obligation
   
Series A                      
1.632%, due 11/1/31 2,000,000    1,707,088
Series A                      
1.732%, due 11/1/32 2,500,000 2,093,219
    3,800,307
Missouri 0.6% 
Bi-State Development Agency of the Missouri-Illinois Metropolitan District
Revenue Bonds
   
Series B    
1.344%, due 10/1/25 1,325,000 1,288,954
Nebraska 0.5% 
University of Nebraska Facilities Corp. (The), University of Nebraska
Revenue Bonds
   
Series A    
2.815%, due 10/1/34 1,310,000 1,148,298
New Jersey 3.0% 
New Jersey Economic Development Authority
Revenue Bonds
   
Series NNN    
3.77%, due 6/15/31 2,500,000 2,427,770
New Jersey Turnpike Authority
Revenue Bonds
   
Series B    
1.483%, due 1/1/28 1,040,000 963,717
Rutgers The State University of New Jersey
Revenue Bonds
   
Series S    
2.093%, due 5/1/33 2,510,000 2,107,443
Series R    
2.449%, due 5/1/26 1,000,000 975,837
    6,474,767

  Principal
Amount
Value
Municipal Bonds
New York 8.2% 
City of New York, Fiscal of 2021
Unlimited General Obligation
   
Series D                      
1.923%, due 8/1/31 $   4,000,000 $   3,468,645
New York City Transitional Finance Authority, Future Tax Secured
Revenue Bonds
   
Series D-3                      
2.40%, due 11/1/32 4,500,000    3,910,374
Series F-2                      
3.05%, due 5/1/27 1,020,000      998,214
Series G-2    
4.91%, due 5/1/32 1,000,000 1,039,528
Series G-3    
5.01%, due 5/1/34 1,500,000 1,556,944
New York Power Authority
Revenue Bonds
   
Series A, Insured: AGM    
5.749%, due 11/15/33 2,115,000 2,323,368
New York State Dormitory Authority, State of New York Personal Income Tax
Revenue Bonds
   
Series C    
2.202%, due 3/15/34 2,620,000 2,187,943
New York State Dormitory Authority, Workers' Compensation Board
Revenue Bonds
   
Series A    
4.802%, due 12/1/34 2,000,000 2,058,356
    17,543,372
Ohio 5.8% 
American Municipal Power, Inc., Combined Hydroelectric
Revenue Bonds
   
Series B    
6.424%, due 2/15/32 1,245,000 1,354,899
City of Cleveland, Airport System
Revenue Bonds
   
Series A    
2.592%, due 1/1/26 1,000,000 981,706
City of Columbus
Unlimited General Obligation
   
Series C    
4.688%, due 8/15/30 1,000,000 1,043,901
Series C    
4.778%, due 8/15/32 1,000,000 1,052,825
Series C    
4.928%, due 8/15/35 1,000,000 1,051,871
Columbus Metropolitan Housing Authority, Riverside Sunshine Phase II LLC
Revenue Bonds
   
5.375%, due 9/1/28 1,000,000 1,025,230

  Principal
Amount
Value
Municipal Bonds
Ohio  
JobsOhio Beverage System
Revenue Bonds
   
Series B                      
3.985%, due 1/1/29 $   2,750,000 $   2,774,632
Northeast Ohio Regional Sewer District
Revenue Bonds
   
1.777%, due 11/15/31 1,080,000      940,269
State of Ohio, Common Schools
Unlimited General Obligation
   
Series A                      
1.73%, due 9/15/31 2,500,000   2,178,115
    12,403,448
Oklahoma 1.4% 
Oklahoma Municipal Power Authority
Revenue Bonds
   
Series B, Insured: AGM    
2.501%, due 1/1/35 3,460,000 2,960,615
Oregon 4.5% 
City of Portland, Affordable Housing Project
Unlimited General Obligation
   
Series B    
2.25%, due 6/15/37 1,000,000 779,064
Oregon State Lottery
Revenue Bonds
   
Series B, Insured: Moral Obligation    
5.093%, due 4/1/34 2,000,000 2,121,285
Port of Morrow, Bonneville Power Administration
Revenue Bonds
   
3.371%, due 9/1/25 1,305,000 1,294,181
3.521%, due 9/1/27 1,380,000 1,362,879
4.839%, due 9/1/31 1,250,000 1,297,129
State of Oregon, Sustainable Bond
Unlimited General Obligation
   
Series B    
4.142%, due 5/1/28 2,678,000 2,714,172
    9,568,710
Pennsylvania 0.6% 
Commonwealth Financing Authority, Commonwealth of Pennsylvania Department of Community & Economic Development
Revenue Bonds
   
Series C    
3.058%, due 6/1/34 1,535,000 1,370,689

  Principal
Amount
Value
Municipal Bonds
Rhode Island 0.5% 
Rhode Island Housing & Mortgage Finance Corp.
Revenue Bonds
   
Series 84-T, Insured: GNMA                      
6.00%, due 4/1/54 (b) $   1,000,000 $   1,047,914
South Carolina 1.4% 
Charleston County Airport District
Revenue Bonds
   
Series C                      
4.797%, due 7/1/36 (b) 1,705,000    1,696,346
South Carolina Public Service Authority
Revenue Bonds
   
Series C, Insured: AGM    
5.247%, due 12/1/35 1,245,000 1,286,804
    2,983,150
Tennessee 1.4% 
City of Memphis
Unlimited General Obligation
   
Series B    
2.948%, due 4/1/25 3,000,000 2,980,873
Texas 12.0% 
City of Houston
Limited General Obligation
   
Series B    
1.568%, due 3/1/29 1,500,000 1,363,981
Series B    
2.13%, due 3/1/26 1,260,000 1,228,222
City of Houston, Combined Utility System
Revenue Bonds, First Lien
   
Series E    
3.973%, due 11/15/31 2,000,000 1,990,141
City of San Antonio
Limited General Obligation
   
1.643%, due 2/1/30 3,500,000 3,140,090
Dallas Area Rapid Transit
Revenue Bonds
   
Series C    
1.796%, due 12/1/29 1,450,000 1,310,726
Denton Independent School District
Unlimited General Obligation
   
Series A, Insured: PSF-GTD    
1.677%, due 8/15/32 1,760,000 1,492,761

  Principal
Amount
Value
Municipal Bonds
Texas  
Keller Independent School District
Unlimited General Obligation
   
Insured: PSF-GTD                      
5.00%, due 2/15/31 $   3,800,000 $   4,049,561
North Texas Tollway Authority, North Texas Tollway System
Revenue Bonds, First Tier
   
Series B                      
2.327%, due 1/1/33 1,000,000      867,950
Northwest Independent School District
Unlimited General Obligation
   
Series A, Insured: PSF-GTD                      
1.776%, due 2/15/31 2,910,000 2,562,972
Texas Natural Gas Securitization Finance Corp., Winter Storm URI
Revenue Bonds
   
Series A-1    
5.102%, due 4/1/35 3,637,651 3,764,725
Texas Public Finance Authority, Texas Facilities Commission
Revenue Bonds
   
1.43%, due 2/1/29 1,455,000 1,314,938
Texas Water Development Board, State Water Implementation
Revenue Bonds
   
Series B    
4.559%, due 10/15/37 (b) 1,500,000 1,506,490
University of Houston
Revenue Bonds
   
Series B    
4.294%, due 2/15/30 1,000,000 1,019,392
    25,611,949
Utah 2.1% 
City of Salt Lake City, Sales and Excise Tax
Revenue Bonds
   
Series B    
2.879%, due 4/1/32 1,000,000 916,013
Utah Transit Authority
Revenue Bonds
   
1.783%, due 12/15/30 1,000,000 883,108
Utah Transit Authority, Sustainable Bond
Revenue Bonds
   
1.82%, due 12/15/28 2,800,000 2,587,746
    4,386,867
Washington 2.0% 
County of King
Limited General Obligation
   
Series C    
2.26%, due 12/1/33 3,000,000 2,566,807

  Principal
Amount
  Value
Municipal Bonds
Washington  
County of King, Sewer
Revenue Bonds
     
Series B                        
2.43%, due 1/1/39 $   2,100,000   $   1,649,390
      4,216,197
Total Municipal Bonds
(Cost $179,174,299)
    187,078,097
Total Long-Term Bonds
(Cost $196,485,513)
    205,093,451
 
  Shares    
 
Short-Term Investments 4.5%
Affiliated Investment Company 3.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 7,524,961     7,524,961
 
  Principal
Amount
   
 
Short-Term Municipal Note 1.0% 
Illinois Finance Authority      
4.85%, due 2/15/46 (d) $  2,200,000   2,200,000
Total Short-Term Municipal Note
(Cost $2,200,000)
    2,200,000
Total Short-Term Investments
(Cost $9,724,961)
    9,724,961
Total Investments
(Cost $206,210,474)
100.4%   214,818,412
Other Assets, Less Liabilities (0.4)   (864,528)
 Net Assets 100.0%   $ 213,953,884
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(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) Delayed delivery security.
(c) Current yield as of September 30, 2024.
(d) Variable-rate demand notes (VRDNs)—Provide the right to sell the security at face value on either that day or within the rate-reset period. VRDNs will normally trade as if the maturity is the earlier put date, even though stated maturity is longer. The interest rate is reset on the put date at a stipulated daily, weekly, monthly, quarterly, or other specified time interval to reflect current market conditions. These securities do not indicate a reference rate and spread in their description. The maturity date shown is the final maturity.

Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 1,270 $ 211,959 $ (205,704) $ — $ — $ 7,525 $ 217 $ — 7,525
Abbreviation(s):
AGM—Assured Guaranty Municipal Corp.
AMBAC—Ambac Assurance Corp.
BAM—Build America Mutual Assurance Co.
FHLMC—Federal Home Loan Mortgage Corp.
FNMA—Federal National Mortgage Association
GNMA—Government National Mortgage Association
PSF-GTD—Permanent School Fund Guaranteed
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, for valuing the Portfolio’s assets:
Description Quoted
Prices in
Active
Markets for
Identical
Assets
(Level 1)
  Significant
Other
Observable
Inputs
(Level 2)
  Significant
Unobservable
Inputs
(Level 3)
  Total
Asset Valuation Inputs              
Investments in Securities (a)              
Long-Term Bonds              
Corporate Bonds         $ —     $ 18,015,354   $ —     $ 18,015,354
Municipal Bonds         —    187,078,097      187,078,097
Total Long-Term Bonds   205,093,451     205,093,451
Short-Term Investments              
Affiliated Investment Company  7,524,961             —        7,524,961
Short-Term Municipal Note         —      2,200,000        2,200,000
Total Short-Term Investments 7,524,961   2,200,000     9,724,961
Total Investments in Securities $ 7,524,961   $ 207,293,451   $ —   $ 214,818,412
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Wellington Growth Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.6%
Aerospace & Defense 2.8% 
General Dynamics Corp.    29,755 $   8,991,961
General Electric Co.    49,276   9,292,468
    18,284,429
Automobiles 2.7% 
Tesla, Inc. (a)    68,890  18,023,691
Biotechnology 1.1% 
Vertex Pharmaceuticals, Inc. (a)    14,930   6,943,644
Broadline Retail 5.8% 
Amazon.com, Inc. (a)   205,457  38,282,803
Capital Markets 6.6% 
Ares Management Corp.    39,377    6,136,512
KKR & Co., Inc.    75,450    9,852,261
MSCI, Inc.     2,964    1,727,804
Nasdaq, Inc.    58,418    4,265,098
S&P Global, Inc.    29,219   15,095,120
Tradeweb Markets, Inc., Class A    52,108   6,444,196
    43,520,991
Commercial Services & Supplies 1.5% 
Copart, Inc. (a) 106,595 5,585,578
Waste Connections, Inc. 22,495 4,022,556
    9,608,134
Consumer Finance 1.0% 
American Express Co. 23,031 6,246,007
Entertainment 3.4% 
Netflix, Inc. (a) 19,857 14,083,975
Spotify Technology SA (a) 22,476 8,283,080
    22,367,055
Financial Services 3.7% 
Corpay, Inc. (a) 5,144 1,608,837
Mastercard, Inc., Class A 38,818 19,168,328
Visa, Inc., Class A 12,710 3,494,615
    24,271,780
Ground Transportation 1.5% 
Uber Technologies, Inc. (a) 133,198 10,011,162
Health Care Equipment & Supplies 1.6% 
Boston Scientific Corp. (a) 51,905 4,349,639

  Shares Value
Common Stocks
Health Care Equipment & Supplies  
Stryker Corp.    16,309 $   5,891,789
    10,241,428
Health Care Providers & Services 2.0% 
UnitedHealth Group, Inc.    22,091  12,916,166
Health Care REITs 1.7% 
Welltower, Inc.    88,774  11,365,735
Hotels, Restaurants & Leisure 2.2% 
Chipotle Mexican Grill, Inc. (a)    78,661    4,532,447
DraftKings, Inc., Class A (a)    99,840    3,913,728
Hilton Worldwide Holdings, Inc.    26,609   6,133,374
    14,579,549
Interactive Media & Services 8.4% 
Alphabet, Inc., Class C   186,643   31,204,843
Meta Platforms, Inc., Class A    42,499  24,328,128
    55,532,971
IT Services 1.8% 
Gartner, Inc. (a) 16,956 8,592,623
MongoDB, Inc. (a) 13,012 3,517,794
    12,110,417
Life Sciences Tools & Services 1.3% 
Danaher Corp. 26,081 7,251,040
Mettler-Toledo International, Inc. (a) 898 1,346,730
    8,597,770
Pharmaceuticals 5.2% 
Eli Lilly & Co. 29,856 26,450,625
Zoetis, Inc. 40,616 7,935,554
    34,386,179
Professional Services 0.9% 
TransUnion 56,789 5,945,808
Semiconductors & Semiconductor Equipment 22.3% 
Advanced Micro Devices, Inc. (a) 56,409 9,255,589
ARM Holdings plc, ADR (a)(b) 14,334 2,049,905
ASML Holding NV (Registered), ADR 8,608 7,172,616
Broadcom, Inc. 127,701 22,028,422
KLA Corp. 12,566 9,731,236
Marvell Technology, Inc. 83,338 6,010,337
Microchip Technology, Inc. 89,072 7,151,591
Micron Technology, Inc. 13,872 1,438,665
Monolithic Power Systems, Inc. 13,654 12,623,123

  Shares   Value
Common Stocks
Semiconductors & Semiconductor Equipment  
NVIDIA Corp.   519,902   $  63,136,899
QUALCOMM, Inc.    36,753     6,249,848
      146,848,231
Software 13.3% 
HubSpot, Inc. (a)     6,662      3,541,519
Intuit, Inc.    19,266     11,964,186
Microsoft Corp.   135,423     58,272,517
ServiceNow, Inc. (a)    15,566    13,922,075
      87,700,297
Specialized REITs 1.0% 
Equinix, Inc.     7,649     6,789,482
Specialty Retail 2.9% 
O'Reilly Automotive, Inc. (a)     5,860      6,748,376
TJX Cos., Inc. (The)   105,559    12,407,405
      19,155,781
Technology Hardware, Storage & Peripherals 4.9% 
Apple, Inc. 137,736   32,092,488
Total Common Stocks
(Cost $497,842,437)
    655,821,998
Short-Term Investments 0.8%
Affiliated Investment Company 0.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 3,143,101   3,143,101
Unaffiliated Investment Company 0.3% 
Invesco Government & Agency Portfolio, 4.917% (c)(d) 1,911,641   1,911,641
Total Short-Term Investments
(Cost $5,054,742)
    5,054,742
Total Investments
(Cost $502,897,179)
100.4%   660,876,740
Other Assets, Less Liabilities (0.4)   (2,660,419)
Net Assets 100.0%   $ 658,216,321
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $1,840,968. The Portfolio received cash collateral with a value of $1,911,641.  
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.

Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 3,733 $ 105,792 $ (106,382) $ — $ — $ 3,143 $ 186 $ — 3,143
Abbreviation(s):
ADR—American Depositary Receipt
REIT—Real Estate Investment Trust
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 655,821,998   $ —   $ —    $ 655,821,998
Short-Term Investments              
Affiliated Investment Company    3,143,101          3,143,101
Unaffiliated Investment Company    1,911,641          1,911,641
Total Short-Term Investments 5,054,742       5,054,742
Total Investments in Securities $ 660,876,740   $ —   $ —   $ 660,876,740
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP MacKay High Yield Corporate Bond Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 94.5%
Convertible Bonds 0.9%
Energy-Alternate Sources 0.2% 
NextEra Energy Partners LP (a)    
(zero coupon), due 11/15/25 $    2,500,000 $     2,344,375
2.50%, due 6/15/26   2,250,000     2,123,341
    4,467,716
Media 0.2% 
Cable One, Inc.    
(zero coupon), due 3/15/26   1,570,000      1,444,400
1.125%, due 3/15/28 4,150,000 3,359,963
    4,804,363
Oil & Gas 0.4% 
Gulfport Energy Operating Corp.    
10.00%, due 12/29/49 (b) 1,134,000 12,259,355
Oil & Gas Services 0.1% 
Forum Energy Technologies, Inc.    
9.00% (6.25% Cash and 2.75% PIK), due 8/4/25 (c) 2,438,868 2,440,088
Total Convertible Bonds
(Cost $12,567,385)
  23,971,522
Corporate Bonds 87.8%
Advertising 1.2% 
Lamar Media Corp.    
3.625%, due 1/15/31 10,265,000 9,381,671
3.75%, due 2/15/28 6,320,000 6,062,418
4.00%, due 2/15/30 6,750,000 6,358,738
4.875%, due 1/15/29 2,570,000 2,538,784
Outfront Media Capital LLC (a)    
4.25%, due 1/15/29 1,000,000 952,148
5.00%, due 8/15/27 6,070,000 6,035,389
    31,329,148
Aerospace & Defense 2.4% 
AAR Escrow Issuer LLC    
6.75%, due 3/15/29 (a) 1,500,000 1,560,010
F-Brasile SpA    
Series XR    
7.375%, due 8/15/26 (a) 5,587,000 5,570,015
TransDigm, Inc.    
4.625%, due 1/15/29 5,180,000 5,001,992
4.875%, due 5/1/29 4,155,000 4,045,407
5.50%, due 11/15/27 1,000,000 996,564
6.00%, due 1/15/33 (a) 8,750,000 8,873,942
6.375%, due 3/1/29 (a) 18,105,000 18,679,290
6.625%, due 3/1/32 (a) 6,730,000 7,008,232

  Principal
Amount
Value
Corporate Bonds
Aerospace & Defense  
TransDigm, Inc.    
6.75%, due 8/15/28 (a) $    6,760,000 $     6,957,987
6.875%, due 12/15/30 (a)   3,800,000      3,979,269
7.125%, due 12/1/31 (a)   2,900,000     3,067,218
    65,739,926
Airlines 0.3% 
American Airlines, Inc. (a)    
5.50%, due 4/20/26   1,828,750      1,823,533
5.75%, due 4/20/29 3,750,000 3,743,785
Mileage Plus Holdings LLC    
6.50%, due 6/20/27 (a) 2,917,751 2,954,030
    8,521,348
Auto Manufacturers 0.6% 
JB Poindexter & Co., Inc.    
8.75%, due 12/15/31 (a) 12,500,000 13,215,800
PM General Purchaser LLC    
9.50%, due 10/1/28 (a) 3,775,000 3,840,681
    17,056,481
Auto Parts & Equipment 2.3% 
Adient Global Holdings Ltd. (a)    
4.875%, due 8/15/26 2,800,000 2,774,117
7.00%, due 4/15/28 1,000,000 1,030,047
8.25%, due 4/15/31 1,300,000 1,379,300
Garrett Motion Holdings, Inc.    
7.75%, due 5/31/32 (a) 3,725,000 3,812,150
IHO Verwaltungs GmbH (a)    
4.75%, due 9/15/26 8,853,000 8,667,578
6.00%, due 5/15/27 11,976,000 11,767,872
6.375%, due 5/15/29 11,645,000 11,399,410
Phinia, Inc. (a)    
6.625%, due 10/15/32 1,850,000 1,865,274
6.75%, due 4/15/29 3,060,000 3,157,941
Real Hero Merger Sub 2, Inc.    
6.25%, due 2/1/29 (a) 9,125,000 7,937,414
Tenneco, Inc.    
8.00%, due 11/17/28 (a) 6,095,000 5,655,726
ZF North America Capital, Inc. (a)    
6.75%, due 4/23/30 1,000,000 1,008,519
6.875%, due 4/14/28 1,650,000 1,665,535
7.125%, due 4/14/30 1,750,000 1,813,996
    63,934,879
Beverages 0.1% 
Primo Water Holdings, Inc.    
4.375%, due 4/30/29 (a) 1,500,000 1,438,151

  Principal
Amount
Value
Corporate Bonds
Building Materials 1.5% 
Builders FirstSource, Inc.    
6.375%, due 6/15/32 (a) $    3,000,000 $     3,109,863
EMRLD Borrower LP (a)    
6.625%, due 12/15/30   7,000,000      7,217,665
6.75%, due 7/15/31   2,550,000      2,659,285
James Hardie International Finance DAC    
5.00%, due 1/15/28 (a)   8,011,000      7,919,523
Knife River Corp.    
7.75%, due 5/1/31 (a) 3,765,000 4,003,042
New Enterprise Stone & Lime Co., Inc.    
5.25%, due 7/15/28 (a) 2,500,000 2,441,249
Standard Building Solutions, Inc.    
6.50%, due 8/15/32 (a) 2,100,000 2,174,454
Summit Materials LLC (a)    
5.25%, due 1/15/29 4,380,000 4,331,690
6.50%, due 3/15/27 5,635,000 5,641,210
7.25%, due 1/15/31 2,405,000 2,547,614
    42,045,595
Chemicals 3.3% 
ASP Unifrax Holdings, Inc.    
5.25%, due 9/30/28 (a) 5,565,000 2,776,223
7.50%, due 9/30/29 (a) 5,990,000 2,621,025
10.425%, due 9/30/29 4,008,000 3,917,820
Avient Corp. (a)    
6.25%, due 11/1/31 1,385,000 1,419,802
7.125%, due 8/1/30 3,405,000 3,550,180
Cerdia Finanz GmbH    
9.375%, due 10/3/31 (a) 2,605,000 2,657,100
CVR Partners LP    
6.125%, due 6/15/28 (a) 1,700,000 1,663,923
GPD Cos., Inc.    
10.125%, due 4/1/26 (a) 9,950,000 9,203,460
Innophos Holdings, Inc.    
9.375%, due 2/15/28 (a) 7,096,000 6,607,816
Iris Holdings, Inc.    
8.75%, due 2/15/26 (a) 5,105,000 4,758,966
Mativ Holdings, Inc. (a)    
6.875%, due 10/1/26 3,000,000 2,998,650
8.00%, due 10/1/29 1,000,000 1,020,675
NOVA Chemicals Corp. (a)    
5.25%, due 6/1/27 5,350,000 5,290,094
8.50%, due 11/15/28 2,985,000 3,186,299
9.00%, due 2/15/30 5,075,000 5,496,832
Olympus Water US Holding Corp. (a)    
7.125%, due 10/1/27 1,955,000 1,995,249
9.75%, due 11/15/28 7,825,000 8,351,302

  Principal
Amount
Value
Corporate Bonds
Chemicals  
SCIH Salt Holdings, Inc. (a)    
4.875%, due 5/1/28 $    5,500,000 $     5,302,591
6.625%, due 5/1/29   2,365,000      2,274,076
SCIL IV LLC    
5.375%, due 11/1/26 (a)   3,700,000      3,654,049
SK Invictus Intermediate II SARL    
5.00%, due 10/30/29 (a) 10,450,000     10,032,126
WR Grace Holdings LLC    
7.375%, due 3/1/31 (a) 1,360,000 1,424,921
    90,203,179
Coal 0.4% 
Alliance Resource Operating Partners LP    
8.625%, due 6/15/29 (a) 2,685,000 2,853,194
Coronado Finance Pty. Ltd. (a)    
9.25%, due 10/1/29 3,000,000 3,082,695
10.75%, due 5/15/26 2,740,000 2,850,347
Warrior Met Coal, Inc.    
7.875%, due 12/1/28 (a) 1,337,000 1,383,259
    10,169,495
Commercial Services 2.6% 
Alta Equipment Group, Inc.    
9.00%, due 6/1/29 (a) 4,000,000 3,581,872
AMN Healthcare, Inc.    
4.625%, due 10/1/27 (a) 2,430,000 2,375,288
GEO Group, Inc. (The)    
8.625%, due 4/15/29 1,645,000 1,710,116
10.25%, due 4/15/31 3,750,000 3,997,849
Graham Holdings Co.    
5.75%, due 6/1/26 (a) 11,107,000 11,102,204
Korn Ferry    
4.625%, due 12/15/27 (a) 4,000,000 3,909,641
Matthews International Corp.    
8.625%, due 10/1/27 (a) 2,850,000 2,906,769
NES Fircroft Bondco A/S    
Series Reg S    
8.00%, due 9/30/29 (a) 3,000,000 3,011,444
NESCO Holdings II, Inc.    
5.50%, due 4/15/29 (a) 7,995,000 7,369,611
Service Corp. International    
4.00%, due 5/15/31 6,650,000 6,153,492
TriNet Group, Inc.    
7.125%, due 8/15/31 (a) 2,500,000 2,604,587
United Rentals North America, Inc.    
3.75%, due 1/15/32 2,000,000 1,825,818
3.875%, due 2/15/31 3,500,000 3,255,635
4.875%, due 1/15/28 1,000,000 992,596

  Principal
Amount
Value
Corporate Bonds
Commercial Services  
United Rentals North America, Inc.    
5.50%, due 5/15/27 $      500,000 $       500,810
Williams Scotsman, Inc. (a)    
4.625%, due 8/15/28   5,020,000      4,879,264
6.125%, due 6/15/25   4,705,000      4,700,201
6.625%, due 6/15/29   4,025,000      4,144,092
7.375%, due 10/1/31   1,500,000      1,585,443
WW International, Inc.    
4.50%, due 4/15/29 (a) 2,940,000 649,179
    71,255,911
Computers 0.5% 
Amentum Escrow Corp.    
7.25%, due 8/1/32 (a) 5,285,000 5,515,601
Gartner, Inc.    
3.75%, due 10/1/30 (a) 3,500,000 3,285,631
McAfee Corp.    
7.375%, due 2/15/30 (a) 4,060,000 3,959,952
    12,761,184
Cosmetics & Personal Care 1.1% 
Edgewell Personal Care Co. (a)    
4.125%, due 4/1/29 6,780,000 6,413,795
5.50%, due 6/1/28 4,000,000 3,976,569
Perrigo Finance Unlimited Co.    
6.125%, due 9/30/32 4,580,000 4,615,358
Prestige Brands, Inc. (a)    
3.75%, due 4/1/31 10,940,000 10,019,506
5.125%, due 1/15/28 4,895,000 4,852,458
    29,877,686
Distribution & Wholesale 0.7% 
Dealer Tire LLC    
8.00%, due 2/1/28 (a) 5,000,000 4,977,594
Gates Corp.    
6.875%, due 7/1/29 (a) 1,000,000 1,035,854
H&E Equipment Services, Inc.    
3.875%, due 12/15/28 (a) 3,120,000 2,929,192
Ritchie Bros Holdings, Inc. (a)    
6.75%, due 3/15/28 1,000,000 1,033,837
7.75%, due 3/15/31 6,565,000 6,991,790
Velocity Vehicle Group LLC    
8.00%, due 6/1/29 (a) 3,315,000 3,451,598
    20,419,865
Diversified Financial Services 2.8% 
AG TTMT Escrow Issuer LLC    
8.625%, due 9/30/27 (a) 6,787,000 6,958,012

  Principal
Amount
Value
Corporate Bonds
Diversified Financial Services  
Aretec Group, Inc. (a)    
7.50%, due 4/1/29 $    4,580,000 $     4,349,654
10.00%, due 8/15/30   2,750,000      2,926,594
Credit Acceptance Corp.    
6.625%, due 3/15/26   8,465,000      8,469,478
Enact Holdings, Inc.    
6.25%, due 5/28/29   1,850,000      1,920,787
Jane Street Group    
7.125%, due 4/30/31 (a) 12,500,000 13,244,500
Jefferies Finance LLC    
5.00%, due 8/15/28 (a) 10,185,000 9,684,005
LPL Holdings, Inc. (a)    
4.00%, due 3/15/29 3,450,000 3,302,061
4.375%, due 5/15/31 2,000,000 1,884,848
4.625%, due 11/15/27 3,215,000 3,190,721
Osaic Holdings, Inc.    
10.75%, due 8/1/27 (a) 1,450,000 1,476,261
PennyMac Financial Services, Inc. (a)    
4.25%, due 2/15/29 2,645,000 2,523,441
5.75%, due 9/15/31 1,500,000 1,470,157
7.125%, due 11/15/30 4,000,000 4,141,748
StoneX Group, Inc.    
7.875%, due 3/1/31 (a) 9,000,000 9,583,029
    75,125,296
Electric 2.9% 
Alpha Generation LLC    
6.75%, due 10/15/32 (a) 3,000,000 3,042,292
Clearway Energy Operating LLC    
4.75%, due 3/15/28 (a) 4,050,000 3,974,029
DPL, Inc.    
4.125%, due 7/1/25 5,815,000 5,756,990
Keystone Power Pass-Through Holders LLC    
13.00% (13.00% PIK), due 6/1/28 (a)(c)(d) 1,497,046 1,497,046
Leeward Renewable Energy Operations LLC    
4.25%, due 7/1/29 (a) 3,331,000 3,140,867
Lightning Power LLC    
7.25%, due 8/15/32 (a) 6,800,000 7,150,452
NextEra Energy Operating Partners LP    
3.875%, due 10/15/26 (a) 4,000,000 3,896,372
NRG Energy, Inc.    
6.625%, due 1/15/27 2,555,000 2,558,661
Pattern Energy Operations LP    
4.50%, due 8/15/28 (a) 3,450,000 3,337,488
PG&E Corp.    
5.00%, due 7/1/28 4,770,000 4,728,318
5.25%, due 7/1/30 3,840,000 3,813,876

  Principal
Amount
Value
Corporate Bonds
Electric  
Talen Energy Supply LLC    
8.625%, due 6/1/30 (a) $   13,800,000 $    15,039,544
TransAlta Corp.    
7.75%, due 11/15/29   3,300,000      3,485,688
Vistra Corp. (a)(e)(f)    
7.00% (5 Year Treasury Constant Maturity Rate + 5.74%), due 12/15/26   2,655,000      2,710,235
8.00% (5 Year Treasury Constant Maturity Rate + 6.93%), due 10/15/26   7,800,000      8,170,796
Vistra Operations Co. LLC (a)    
5.00%, due 7/31/27 3,300,000 3,283,876
6.875%, due 4/15/32 2,860,000 3,008,514
    78,595,044
Electrical Components & Equipment 0.5% 
EnerSys    
6.625%, due 1/15/32 (a) 1,900,000 1,965,185
WESCO Distribution, Inc. (a)    
6.375%, due 3/15/29 4,060,000 4,194,423
6.625%, due 3/15/32 4,395,000 4,577,841
7.25%, due 6/15/28 2,500,000 2,559,977
    13,297,426
Electronics 0.1% 
Sensata Technologies, Inc.    
6.625%, due 7/15/32 (a) 1,500,000 1,563,843
Engineering & Construction 0.8% 
Arcosa, Inc.    
6.875%, due 8/15/32 (a) 4,225,000 4,421,627
Artera Services LLC    
8.50%, due 2/15/31 (a) 4,610,000 4,564,932
Great Lakes Dredge & Dock Corp.    
5.25%, due 6/1/29 (a) 4,100,000 3,811,173
Railworks Holdings LP    
8.25%, due 11/15/28 (a) 2,000,000 2,068,750
TopBuild Corp.    
4.125%, due 2/15/32 (a) 2,000,000 1,838,160
Weekley Homes LLC    
4.875%, due 9/15/28 (a) 5,800,000 5,647,268
    22,351,910
Entertainment 3.7% 
Affinity Interactive    
6.875%, due 12/15/27 (a) 3,939,000 3,386,338
Boyne USA, Inc.    
4.75%, due 5/15/29 (a) 4,145,000 3,984,717
Caesars Entertainment, Inc. (a)    
6.50%, due 2/15/32 3,000,000 3,103,242
7.00%, due 2/15/30 3,500,000 3,656,436

  Principal
Amount
Value
Corporate Bonds
Entertainment  
CCM Merger, Inc.    
6.375%, due 5/1/26 (a) $    2,170,000 $     2,166,889
Churchill Downs, Inc. (a)    
4.75%, due 1/15/28 13,847,000     13,576,888
5.50%, due 4/1/27   9,376,000      9,340,673
5.75%, due 4/1/30   6,515,000      6,522,137
6.75%, due 5/1/31   3,340,000      3,449,078
International Game Technology plc    
6.25%, due 1/15/27 (a) 7,225,000 7,374,955
Jacobs Entertainment, Inc. (a)    
6.75%, due 2/15/29 6,470,000 6,292,496
6.75%, due 2/15/29 2,325,000 2,263,417
Light & Wonder International, Inc. (a)    
7.25%, due 11/15/29 3,200,000 3,310,797
7.50%, due 9/1/31 4,400,000 4,615,072
Live Nation Entertainment, Inc.    
6.50%, due 5/15/27 (a) 6,855,000 6,992,052
Merlin Entertainments Group US Holdings, Inc.    
7.375%, due 2/15/31 (a) 2,800,000 2,810,906
Merlin Entertainments Ltd.    
5.75%, due 6/15/26 (a) 10,940,000 10,808,013
Midwest Gaming Borrower LLC    
4.875%, due 5/1/29 (a) 2,280,000 2,186,911
Motion Bondco DAC    
6.625%, due 11/15/27 (a) 4,500,000 4,279,688
    100,120,705
Food 1.3% 
B&G Foods, Inc.    
5.25%, due 4/1/25 1,649,000 1,645,800
8.00%, due 9/15/28 (a) 5,000,000 5,230,250
Chobani LLC    
7.625%, due 7/1/29 (a) 4,785,000 5,024,829
Land O'Lakes Capital Trust I    
7.45%, due 3/15/28 (a) 5,130,000 5,049,234
Performance Food Group, Inc.    
6.125%, due 9/15/32 (a) 3,000,000 3,065,566
Simmons Foods, Inc.    
4.625%, due 3/1/29 (a) 10,530,000 9,990,487
United Natural Foods, Inc.    
6.75%, due 10/15/28 (a) 6,590,000 6,285,123
    36,291,289
Forest Products & Paper 1.4% 
Mercer International, Inc.    
5.125%, due 2/1/29 15,935,000 13,595,242
5.50%, due 1/15/26 4,495,000 4,412,008
12.875%, due 10/1/28 (a) 4,790,000 5,028,566

  Principal
Amount
Value
Corporate Bonds
Forest Products & Paper  
Smurfit Kappa Treasury Funding DAC    
7.50%, due 11/20/25 $   15,843,000 $    16,284,075
    39,319,891
Gas 0.3% 
AltaGas Ltd.    
7.20% (5 Year Treasury Constant Maturity Rate + 3.573%), due 10/15/54 (a)(e)   2,825,000      2,885,408
AmeriGas Partners LP    
5.875%, due 8/20/26   5,000,000     4,965,444
    7,850,852
Hand & Machine Tools 0.4% 
Regal Rexnord Corp.    
6.05%, due 2/15/26 1,750,000 1,776,999
6.05%, due 4/15/28 1,750,000 1,819,507
6.30%, due 2/15/30 1,550,000 1,648,550
6.40%, due 4/15/33 1,000,000 1,069,513
Werner FinCo. LP (a)    
11.50%, due 6/15/28 1,000,000 1,101,452
14.50% (8.75% Cash and 5.75% PIK), due 10/15/28 (b)(c) 4,447,607 4,525,586
    11,941,607
Healthcare-Products 1.5% 
Bausch + Lomb Corp.    
8.375%, due 10/1/28 (a) 8,485,000 8,972,888
Hologic, Inc. (a)    
3.25%, due 2/15/29 8,500,000 7,918,582
4.625%, due 2/1/28 2,000,000 1,962,262
Neogen Food Safety Corp.    
8.625%, due 7/20/30 (a) 4,350,000 4,814,715
Teleflex, Inc.    
4.25%, due 6/1/28 (a) 9,615,000 9,312,261
4.625%, due 11/15/27 3,500,000 3,451,374
Varex Imaging Corp.    
7.875%, due 10/15/27 (a) 5,237,000 5,327,694
    41,759,776
Healthcare-Services 3.6% 
Acadia Healthcare Co., Inc. (a)    
5.00%, due 4/15/29 1,750,000 1,666,508
5.50%, due 7/1/28 1,850,000 1,805,876
Catalent Pharma Solutions, Inc. (a)    
3.125%, due 2/15/29 5,695,000 5,594,207
3.50%, due 4/1/30 1,150,000 1,131,203
5.00%, due 7/15/27 4,500,000 4,477,717
CHS/Community Health Systems, Inc.    
5.25%, due 5/15/30 (a) 2,500,000 2,300,763
DaVita, Inc. (a)    
3.75%, due 2/15/31 2,700,000 2,435,400

  Principal
Amount
Value
Corporate Bonds
Healthcare-Services  
DaVita, Inc. (a)    
4.625%, due 6/1/30 $    4,350,000 $     4,146,834
Encompass Health Corp.    
4.50%, due 2/1/28   5,500,000      5,398,373
4.625%, due 4/1/31   3,875,000      3,710,508
4.75%, due 2/1/30   7,650,000      7,477,276
Fortrea Holdings, Inc.    
7.50%, due 7/1/30 (a)   3,175,000      3,195,844
HCA, Inc.    
5.875%, due 2/15/26 5,500,000 5,557,707
7.50%, due 11/6/33 9,200,000 10,651,445
7.58%, due 9/15/25 1,507,000 1,545,320
7.69%, due 6/15/25 5,800,000 5,905,340
HealthEquity, Inc.    
4.50%, due 10/1/29 (a) 2,650,000 2,561,060
IQVIA, Inc. (a)    
5.00%, due 10/15/26 8,997,000 8,972,239
6.50%, due 5/15/30 2,000,000 2,086,696
LifePoint Health, Inc. (a)    
5.375%, due 1/15/29 4,900,000 4,629,978
10.00%, due 6/1/32 2,230,000 2,451,588
11.00%, due 10/15/30 5,025,000 5,670,140
Select Medical Corp.    
6.25%, due 8/15/26 (a) 2,000,000 2,012,166
Tenet Healthcare Corp.    
6.75%, due 5/15/31 2,500,000 2,605,928
    97,990,116
Holding Companies-Diversified 0.9% 
Benteler International AG    
10.50%, due 5/15/28 (a) 9,735,000 10,291,550
Stena International SA (a)    
7.25%, due 1/15/31 7,325,000 7,697,345
7.625%, due 2/15/31 5,765,000 6,049,928
    24,038,823
Home Builders 1.7% 
Brookfield Residential Properties, Inc.    
6.25%, due 9/15/27 (a) 4,450,000 4,443,335
Century Communities, Inc.    
3.875%, due 8/15/29 (a) 4,370,000 4,095,720
6.75%, due 6/1/27 6,775,000 6,840,060
Installed Building Products, Inc.    
5.75%, due 2/1/28 (a) 6,945,000 6,920,621
M/I Homes, Inc.    
3.95%, due 2/15/30 1,695,000 1,583,118
4.95%, due 2/1/28 3,000,000 2,948,965

  Principal
Amount
Value
Corporate Bonds
Home Builders  
Shea Homes LP    
4.75%, due 2/15/28 $    7,300,000 $     7,141,527
4.75%, due 4/1/29   1,628,000      1,577,518
STL Holding Co. LLC    
8.75%, due 2/15/29 (a)   3,250,000      3,457,369
Winnebago Industries, Inc.    
6.25%, due 7/15/28 (a)   6,785,000     6,790,448
    45,798,681
Household Products & Wares 0.2% 
Central Garden & Pet Co.    
4.125%, due 10/15/30 2,320,000 2,156,788
4.125%, due 4/30/31 (a) 4,323,000 3,959,557
    6,116,345
Housewares 0.7% 
CD&R Smokey Buyer, Inc.    
9.50%, due 10/15/29 (a)(g) 4,380,000 4,384,161
Scotts Miracle-Gro Co. (The)    
4.00%, due 4/1/31 6,500,000 5,955,006
4.375%, due 2/1/32 3,235,000 2,997,933
4.50%, due 10/15/29 6,400,000 6,154,223
    19,491,323
Insurance 1.2% 
Baldwin Insurance Group Holdings LLC    
7.125%, due 5/15/31 (a) 2,650,000 2,788,346
BroadStreet Partners, Inc.    
5.875%, due 4/15/29 (a) 5,500,000 5,247,585
Fairfax Financial Holdings Ltd.    
8.30%, due 4/15/26 4,273,000 4,487,710
Fidelity & Guaranty Life Holdings, Inc.    
5.50%, due 5/1/25 (a) 316,000 315,983
HUB International Ltd. (a)    
7.25%, due 6/15/30 2,140,000 2,229,624
7.375%, due 1/31/32 1,300,000 1,342,374
MGIC Investment Corp.    
5.25%, due 8/15/28 6,708,000 6,671,350
NMI Holdings, Inc.    
6.00%, due 8/15/29 1,000,000 1,027,052
Panther Escrow Issuer LLC    
7.125%, due 6/1/31 (a) 4,250,000 4,457,863
Ryan Specialty LLC (a)    
4.375%, due 2/1/30 1,000,000 963,700
5.875%, due 8/1/32 1,000,000 1,016,661
USI, Inc.    
7.50%, due 1/15/32 (a) 2,000,000 2,071,898
    32,620,146

  Principal
Amount
Value
Corporate Bonds
Internet 1.2% 
Cars.com, Inc.    
6.375%, due 11/1/28 (a) $    5,860,000 $     5,878,354
Gen Digital, Inc.    
6.75%, due 9/30/27 (a)   4,100,000      4,212,645
Netflix, Inc.    
5.875%, due 11/15/28   6,000,000      6,394,009
Uber Technologies, Inc.    
7.50%, due 9/15/27 (a)   6,065,000      6,180,459
VeriSign, Inc.    
4.75%, due 7/15/27 2,500,000 2,503,547
5.25%, due 4/1/25 6,809,000 6,811,169
    31,980,183
Investment Companies 0.6% 
Compass Group Diversified Holdings LLC (a)    
5.00%, due 1/15/32 1,410,000 1,298,917
5.25%, due 4/15/29 7,000,000 6,800,534
Icahn Enterprises LP    
5.25%, due 5/15/27 3,500,000 3,353,845
6.25%, due 5/15/26 4,000,000 3,968,801
    15,422,097
Iron & Steel 1.5% 
Allegheny Ludlum LLC    
6.95%, due 12/15/25 7,400,000 7,537,588
Big River Steel LLC    
6.625%, due 1/31/29 (a) 8,630,000 8,743,122
Mineral Resources Ltd. (a)    
8.125%, due 5/1/27 12,500,000 12,620,875
8.50%, due 5/1/30 4,900,000 5,104,987
9.25%, due 10/1/28 6,380,000 6,793,352
    40,799,924
Leisure Time 1.2% 
Carnival Corp. (a)    
4.00%, due 8/1/28 6,200,000 5,988,072
5.75%, due 3/1/27 13,600,000 13,773,434
Carnival Holdings Bermuda Ltd.    
10.375%, due 5/1/28 (a) 5,500,000 5,934,876
MajorDrive Holdings IV LLC    
6.375%, due 6/1/29 (a) 2,905,000 2,825,629
Royal Caribbean Cruises Ltd. (a)    
5.375%, due 7/15/27 2,000,000 2,017,928
5.50%, due 4/1/28 2,000,000 2,025,358
5.625%, due 9/30/31 1,000,000 1,013,125
    33,578,422

  Principal
Amount
Value
Corporate Bonds
Lodging 2.1% 
Boyd Gaming Corp.    
4.75%, due 12/1/27 $   11,630,000 $    11,498,389
4.75%, due 6/15/31 (a) 13,995,000     13,363,053
Hilton Domestic Operating Co., Inc.    
4.00%, due 5/1/31 (a) 10,490,000      9,808,760
4.875%, due 1/15/30   9,020,000      8,900,360
5.75%, due 5/1/28 (a)   2,200,000      2,209,649
5.875%, due 3/15/33 (a)   7,500,000      7,642,138
6.125%, due 4/1/32 (a) 2,000,000 2,059,340
Station Casinos LLC    
4.50%, due 2/15/28 (a) 1,500,000 1,448,444
    56,930,133
Machinery—Construction & Mining 0.4% 
Terex Corp. (a)    
5.00%, due 5/15/29 2,150,000 2,098,515
6.25%, due 10/15/32 2,320,000 2,320,000
Vertiv Group Corp.    
4.125%, due 11/15/28 (a) 6,755,000 6,528,658
    10,947,173
Machinery-Diversified 0.8% 
Briggs & Stratton Corp. Escrow Claim Shares    
6.875%, due 12/15/20 (d)(h)(i) 5,030,000
Chart Industries, Inc.    
7.50%, due 1/1/30 (a) 3,000,000 3,161,778
Maxim Crane Works Holdings Capital LLC    
11.50%, due 9/1/28 (a) 4,100,000 4,345,832
TK Elevator Holdco GmbH    
7.625%, due 7/15/28 (a) 3,503,000 3,525,349
TK Elevator U.S. Newco, Inc.    
5.25%, due 7/15/27 (a) 10,340,000 10,228,398
    21,261,357
Media 6.2% 
Block Communications, Inc.    
4.875%, due 3/1/28 (a) 4,175,000 3,940,348
Cable One, Inc.    
4.00%, due 11/15/30 (a) 5,650,000 4,503,755
CCO Holdings LLC    
4.25%, due 2/1/31 (a) 10,000,000 8,817,295
4.25%, due 1/15/34 (a) 4,750,000 3,896,235
4.50%, due 8/15/30 (a) 7,000,000 6,345,342
4.50%, due 5/1/32 11,250,000 9,727,350
4.75%, due 3/1/30 (a) 7,715,000 7,096,540
5.00%, due 2/1/28 (a) 7,500,000 7,295,680
5.125%, due 5/1/27 (a) 8,000,000 7,873,730
5.375%, due 6/1/29 (a) 4,780,000 4,606,453

  Principal
Amount
Value
Corporate Bonds
Media  
CSC Holdings LLC (a)    
5.50%, due 4/15/27 $    1,350,000 $     1,187,260
5.75%, due 1/15/30   5,000,000      2,588,181
6.50%, due 2/1/29   4,850,000      4,016,638
7.50%, due 4/1/28   2,250,000      1,504,022
11.25%, due 5/15/28   3,705,000      3,576,499
11.75%, due 1/31/29   4,510,000      4,359,326
Directv Financing LLC (a)    
5.875%, due 8/15/27 16,030,000 15,738,773
8.875%, due 2/1/30 5,015,000 5,044,794
Gray Television, Inc.    
10.50%, due 7/15/29 (a) 4,445,000 4,642,638
LCPR Senior Secured Financing DAC (a)    
5.125%, due 7/15/29 5,345,000 4,331,200
6.75%, due 10/15/27 14,296,000 13,081,242
Midcontinent Communications    
8.00%, due 8/15/32 (a) 3,525,000 3,587,805
News Corp. (a)    
3.875%, due 5/15/29 10,070,000 9,524,429
5.125%, due 2/15/32 4,070,000 3,998,871
Scripps Escrow II, Inc.    
3.875%, due 1/15/29 (a) 4,805,000 3,579,999
Sirius XM Radio, Inc.    
4.00%, due 7/15/28 (a) 2,750,000 2,594,472
Sterling Entertainment Enterprises LLC    
10.25%, due 1/15/25 (b)(d)(i) 7,000,000 5,250,000
Videotron Ltd.    
5.125%, due 4/15/27 (a) 3,835,000 3,822,278
Virgin Media Finance plc    
5.00%, due 7/15/30 (a) 6,385,000 5,615,764
Virgin Media Secured Finance plc    
5.50%, due 5/15/29 (a) 2,000,000 1,918,197
VZ Secured Financing BV    
5.00%, due 1/15/32 (a) 4,600,000 4,233,120
    168,298,236
Metal Fabricate & Hardware 0.3% 
Advanced Drainage Systems, Inc. (a)    
5.00%, due 9/30/27 2,275,000 2,248,190
6.375%, due 6/15/30 3,030,000 3,095,066
Vallourec SACA    
7.50%, due 4/15/32 (a) 3,280,000 3,479,339
    8,822,595
Mining 1.7% 
Alcoa Nederland Holding BV    
7.125%, due 3/15/31 (a) 5,000,000 5,330,125

  Principal
Amount
Value
Corporate Bonds
Mining  
Century Aluminum Co.    
7.50%, due 4/1/28 (a) $    9,235,000 $     9,378,928
Compass Minerals International, Inc.    
6.75%, due 12/1/27 (a)   4,500,000      4,478,339
Eldorado Gold Corp.    
6.25%, due 9/1/29 (a)   6,082,000      6,070,928
First Quantum Minerals Ltd. (a)    
6.875%, due 10/15/27   4,615,000      4,562,806
8.625%, due 6/1/31 1,525,000 1,528,053
9.375%, due 3/1/29 5,000,000 5,299,719
IAMGOLD Corp.    
5.75%, due 10/15/28 (a) 10,010,000 9,923,628
    46,572,526
Miscellaneous—Manufacturing 1.2% 
Amsted Industries, Inc. (a)    
4.625%, due 5/15/30 2,615,000 2,497,683
5.625%, due 7/1/27 7,240,000 7,220,633
Calderys Financing II LLC    
11.75%, due 6/1/28 (a) 4,335,000 4,402,444
Calderys Financing LLC    
11.25%, due 6/1/28 (a) 3,425,000 3,681,933
Enpro, Inc.    
5.75%, due 10/15/26 4,240,000 4,208,612
LSB Industries, Inc.    
6.25%, due 10/15/28 (a) 5,065,000 4,944,860
Trinity Industries, Inc.    
7.75%, due 7/15/28 (a) 4,530,000 4,754,638
    31,710,803
Office Furnishings 0.2% 
Interface, Inc.    
5.50%, due 12/1/28 (a) 4,445,000 4,338,349
Oil & Gas 6.2% 
Ascent Resources Utica Holdings LLC (a)    
7.00%, due 11/1/26 3,400,000 3,403,172
9.00%, due 11/1/27 2,684,000 3,208,585
California Resources Corp.    
7.125%, due 2/1/26 (a) 1,157,000 1,156,825
Civitas Resources, Inc.    
5.00%, due 10/15/26 (a) 1,350,000 1,334,980
Comstock Resources, Inc. (a)    
6.75%, due 3/1/29 3,500,000 3,417,054
6.75%, due 3/1/29 5,000,000 4,866,177
Diamond Foreign Asset Co.    
8.50%, due 10/1/30 (a) 6,280,000 6,561,715

  Principal
Amount
Value
Corporate Bonds
Oil & Gas  
Encino Acquisition Partners Holdings LLC    
8.50%, due 5/1/28 (a) $   10,805,000 $    10,998,258
Gulfport Energy Corp.    
6.75%, due 9/1/29 (a)   3,430,000      3,470,117
HF Sinclair Corp.    
5.00%, due 2/1/28   2,845,000      2,831,223
6.375%, due 4/15/27   1,265,000      1,282,442
Hilcorp Energy I LP (a)    
5.75%, due 2/1/29 1,610,000 1,566,276
6.00%, due 4/15/30 1,000,000 974,730
Marathon Oil Corp.    
4.40%, due 7/15/27 3,000,000 3,003,634
Matador Resources Co. (a)    
6.25%, due 4/15/33 4,350,000 4,277,042
6.50%, due 4/15/32 3,990,000 3,984,300
Noble Finance II LLC    
8.00%, due 4/15/30 (a) 9,630,000 9,936,174
Occidental Petroleum Corp.    
5.55%, due 3/15/26 10,200,000 10,316,079
6.45%, due 9/15/36 3,100,000 3,347,876
Parkland Corp. (a)    
4.50%, due 10/1/29 5,500,000 5,207,304
4.625%, due 5/1/30 4,900,000 4,620,950
5.875%, due 7/15/27 3,630,000 3,620,651
6.625%, due 8/15/32 1,000,000 1,015,180
Permian Resources Operating LLC    
5.375%, due 1/15/26 (a) 5,700,000 5,680,618
Range Resources Corp.    
4.75%, due 2/15/30 (a) 1,000,000 964,607
8.25%, due 1/15/29 1,615,000 1,671,651
SM Energy Co. (a)    
6.75%, due 8/1/29 3,250,000 3,263,419
7.00%, due 8/1/32 1,750,000 1,756,764
Southwestern Energy Co.    
5.375%, due 3/15/30 2,580,000 2,572,176
5.70%, due 1/23/25 (j) 1,008,000 1,007,150
8.375%, due 9/15/28 1,600,000 1,645,938
Sunoco LP    
6.00%, due 4/15/27 2,000,000 2,006,652
Talos Production, Inc. (a)    
9.00%, due 2/1/29 5,050,000 5,199,788
9.375%, due 2/1/31 6,000,000 6,168,672
TGNR Intermediate Holdings LLC    
5.50%, due 10/15/29 (a) 9,910,000 9,415,672
Transocean Aquila Ltd.    
8.00%, due 9/30/28 (a) 2,630,000 2,690,155
Transocean Poseidon Ltd.    
6.875%, due 2/1/27 (a) 6,834,600 6,823,311

  Principal
Amount
Value
Corporate Bonds
Oil & Gas  
Transocean Titan Financing Ltd.    
8.375%, due 2/1/28 (a) $    2,500,000 $     2,575,028
Transocean, Inc.    
8.75%, due 2/15/30 (a)   7,943,250      8,281,887
Vital Energy, Inc. (a)    
7.75%, due 7/31/29   3,930,000      3,910,103
7.875%, due 4/15/32   4,000,000      3,874,840
Wildfire Intermediate Holdings LLC    
7.50%, due 10/15/29 (a) 4,510,000 4,438,077
    168,347,252
Oil & Gas Services 0.8% 
Bristow Group, Inc.    
6.875%, due 3/1/28 (a) 8,135,000 8,030,349
Nine Energy Service, Inc.    
13.00%, due 2/1/28 7,825,000 6,246,849
Oceaneering International, Inc.    
6.00%, due 2/1/28 2,965,000 2,970,681
Weatherford International Ltd.    
8.625%, due 4/30/30 (a) 3,500,000 3,647,076
    20,894,955
Packaging & Containers 0.3% 
Cascades USA, Inc. (a)    
5.125%, due 1/15/26 2,810,000 2,782,900
5.375%, due 1/15/28 5,200,000 5,082,809
    7,865,709
Pharmaceuticals 2.3% 
1375209 BC Ltd.    
9.00%, due 1/30/28 (a) 3,396,000 3,365,826
180 Medical, Inc.    
3.875%, due 10/15/29 (a) 3,270,000 3,098,159
Bausch Health Cos., Inc. (a)    
7.00%, due 1/15/28 1,750,000 1,191,979
11.00%, due 9/30/28 6,000,000 5,595,000
14.00%, due 10/15/30 347,000 316,898
BellRing Brands, Inc.    
7.00%, due 3/15/30 (a) 6,770,000 7,085,265
Endo Finance Holdings, Inc.    
8.50%, due 4/15/31 (a) 10,110,000 10,833,199
Jazz Securities DAC    
4.375%, due 1/15/29 (a) 10,585,000 10,236,915
Organon & Co. (a)    
4.125%, due 4/30/28 7,800,000 7,500,382
5.125%, due 4/30/31 6,260,000 5,897,680
Owens & Minor, Inc. (a)    
4.50%, due 3/31/29 3,725,000 3,368,665
6.625%, due 4/1/30 4,500,000 4,368,138

  Principal
Amount
Value
Corporate Bonds
Pharmaceuticals  
Par Pharmaceutical, Inc. Escrow Claim Shares    
(zero coupon), due 4/1/27 (d)(h) $   16,391,000 $            —
    62,858,106
Pipelines 4.3% 
Antero Midstream Partners LP (a)    
5.75%, due 3/1/27   2,800,000      2,802,456
5.75%, due 1/15/28   1,265,000      1,266,957
Buckeye Partners LP    
6.875%, due 7/1/29 (a) 3,575,000 3,662,838
CNX Midstream Partners LP    
4.75%, due 4/15/30 (a) 2,285,000 2,136,617
DT Midstream, Inc.    
4.375%, due 6/15/31 (a) 1,975,000 1,869,542
Energy Transfer LP    
4.40%, due 3/15/27 3,978,000 3,984,334
EQM Midstream Partners LP    
5.50%, due 7/15/28 720,000 729,652
6.50%, due 7/1/27 (a) 1,850,000 1,905,692
7.50%, due 6/1/30 (a) 1,480,000 1,625,388
FTAI Infra Escrow Holdings LLC    
10.50%, due 6/1/27 (a) 8,515,000 9,088,783
Genesis Energy LP    
7.75%, due 2/1/28 4,900,000 4,961,446
8.00%, due 1/15/27 9,870,000 10,090,101
8.25%, due 1/15/29 2,230,000 2,309,076
Harvest Midstream I LP (a)    
7.50%, due 9/1/28 6,965,000 7,127,459
7.50%, due 5/15/32 1,200,000 1,262,210
Hess Midstream Operations LP    
5.625%, due 2/15/26 (a) 3,300,000 3,300,271
ITT Holdings LLC    
6.50%, due 8/1/29 (a) 6,160,000 5,835,691
MPLX LP    
4.875%, due 12/1/24 2,500,000 2,497,239
New Fortress Energy, Inc. (a)    
6.50%, due 9/30/26 5,060,000 4,252,006
8.75%, due 3/15/29 2,000,000 1,505,778
Northwest Pipeline LLC    
7.125%, due 12/1/25 2,195,000 2,245,203
Plains All American Pipeline LP    
Series B    
9.49% (3 Month SOFR + 4.372%), due 10/28/24 (e)(f) 14,265,000 14,203,543
Prairie Acquiror LP    
9.00%, due 8/1/29 (a) 4,925,000 5,084,974
Tallgrass Energy Partners LP (a)    
5.50%, due 1/15/28 1,000,000 968,177
6.00%, due 3/1/27 2,750,000 2,747,730

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Tallgrass Energy Partners LP (a)    
7.375%, due 2/15/29 $    6,500,000 $     6,573,294
TransMontaigne Partners LP    
6.125%, due 2/15/26   8,330,000      8,186,508
Venture Global LNG, Inc.    
8.125%, due 6/1/28 (a)   3,805,000      3,966,787
Western Midstream Operating LP    
4.65%, due 7/1/26   2,000,000     2,000,254
    118,190,006
Real Estate Investment Trusts 2.0% 
CTR Partnership LP    
3.875%, due 6/30/28 (a) 3,365,000 3,207,203
GLP Capital LP    
5.30%, due 1/15/29 5,700,000 5,796,830
5.375%, due 4/15/26 956,000 959,873
MPT Operating Partnership LP    
4.625%, due 8/1/29 6,225,000 5,006,971
5.00%, due 10/15/27 11,186,000 10,034,711
5.25%, due 8/1/26 4,515,000 4,298,980
RHP Hotel Properties LP    
4.50%, due 2/15/29 (a) 2,081,000 2,013,541
4.75%, due 10/15/27 7,640,000 7,546,791
6.50%, due 4/1/32 (a) 5,850,000 6,045,542
7.25%, due 7/15/28 (a) 2,215,000 2,317,729
VICI Properties LP (a)    
4.625%, due 6/15/25 2,800,000 2,782,905
5.75%, due 2/1/27 3,500,000 3,560,316
    53,571,392
Retail 6.5% 
1011778 B.C. Unlimited Liability Co. (a)    
3.875%, due 1/15/28 6,165,000 5,924,128
4.00%, due 10/15/30 14,205,000 13,099,009
5.625%, due 9/15/29 1,000,000 1,014,450
6.125%, due 6/15/29 4,885,000 5,025,488
Asbury Automotive Group, Inc.    
4.50%, due 3/1/28 4,631,000 4,508,077
4.625%, due 11/15/29 (a) 3,945,000 3,762,334
4.75%, due 3/1/30 5,212,000 4,988,700
5.00%, due 2/15/32 (a) 2,350,000 2,228,458
CEC Entertainment LLC    
6.75%, due 5/1/26 (a) 4,700,000 4,660,663
Cougar JV Subsidiary LLC    
8.00%, due 5/15/32 (a) 3,220,000 3,404,390
Dave & Buster's, Inc.    
7.625%, due 11/1/25 (a) 3,005,000 3,007,100

  Principal
Amount
Value
Corporate Bonds
Retail  
Group 1 Automotive, Inc. (a)    
4.00%, due 8/15/28 $    4,165,000 $     3,973,771
6.375%, due 1/15/30   1,450,000      1,473,035
Ken Garff Automotive LLC    
4.875%, due 9/15/28 (a)   7,000,000      6,770,209
KFC Holding Co.    
4.75%, due 6/1/27 (a)   5,135,000      5,105,551
LCM Investments Holdings II LLC (a)    
4.875%, due 5/1/29 12,530,000 12,039,670
8.25%, due 8/1/31 4,265,000 4,528,662
Murphy Oil USA, Inc.    
4.75%, due 9/15/29 3,000,000 2,915,012
5.625%, due 5/1/27 2,994,000 2,991,419
NMG Holding Co., Inc.    
8.50%, due 10/1/28 (a) 22,850,000 23,256,948
Papa John's International, Inc.    
3.875%, due 9/15/29 (a) 4,930,000 4,562,635
Patrick Industries, Inc. (a)    
4.75%, due 5/1/29 1,795,000 1,707,791
7.50%, due 10/15/27 5,615,000 5,626,017
PetSmart, Inc.    
7.75%, due 2/15/29 (a) 4,285,000 4,230,004
Sonic Automotive, Inc. (a)    
4.625%, due 11/15/29 3,500,000 3,286,204
4.875%, due 11/15/31 3,210,000 2,963,548
Yum! Brands, Inc.    
3.625%, due 3/15/31 11,385,000 10,513,290
4.625%, due 1/31/32 10,950,000 10,482,358
4.75%, due 1/15/30 (a) 9,687,000 9,572,964
5.375%, due 4/1/32 8,235,000 8,207,240
6.875%, due 11/15/37 2,000,000 2,265,446
    178,094,571
Software 3.9% 
ACI Worldwide, Inc.    
5.75%, due 8/15/26 (a) 4,405,000 4,403,790
Camelot Finance SA    
4.50%, due 11/1/26 (a) 4,480,000 4,414,825
Central Parent LLC    
8.00%, due 6/15/29 (a) 5,250,000 5,460,446
Clarivate Science Holdings Corp. (a)    
3.875%, due 7/1/28 8,835,000 8,478,715
4.875%, due 7/1/29 16,800,000 16,158,910
Fair Isaac Corp.    
5.25%, due 5/15/26 (a) 3,219,000 3,218,510
MSCI, Inc. (a)    
3.625%, due 9/1/30 2,500,000 2,348,973
3.875%, due 2/15/31 8,950,000 8,468,998

  Principal
Amount
Value
Corporate Bonds
Software  
MSCI, Inc. (a)    
4.00%, due 11/15/29 $    7,400,000 $     7,178,987
Open Text Corp. (a)    
3.875%, due 2/15/28   4,235,000      4,044,611
3.875%, due 12/1/29   2,500,000      2,323,977
6.90%, due 12/1/27   3,150,000      3,322,516
Open Text Holdings, Inc. (a)    
4.125%, due 2/15/30   8,499,000      7,977,666
4.125%, due 12/1/31 1,500,000 1,378,469
PTC, Inc. (a)    
3.625%, due 2/15/25 1,500,000 1,494,793
4.00%, due 2/15/28 9,236,000 8,959,751
SS&C Technologies, Inc.    
5.50%, due 9/30/27 (a) 5,885,000 5,882,451
UKG, Inc.    
6.875%, due 2/1/31 (a) 4,755,000 4,913,346
Veritas US, Inc.    
7.50%, due 9/1/25 (a) 4,995,000 4,686,004
    105,115,738
Telecommunications 2.3% 
Connect Finco SARL (a)    
6.75%, due 10/1/26 8,000,000 8,000,000
9.00%, due 9/15/29 990,000 958,058
Frontier Communications Holdings LLC (a)    
5.00%, due 5/1/28 1,325,000 1,313,048
5.875%, due 10/15/27 2,825,000 2,836,489
Sprint Capital Corp.    
6.875%, due 11/15/28 30,000,000 32,754,510
T-Mobile USA, Inc.    
4.75%, due 2/1/28 5,000,000 5,004,982
5.375%, due 4/15/27 8,605,000 8,673,074
Vmed O2 UK Financing I plc    
7.75%, due 4/15/32 (a) 3,200,000 3,284,736
Windstream Escrow LLC    
7.75%, due 8/15/28 (a) 850,000 850,799
    63,675,696
Transportation 0.8% 
GN Bondco LLC    
9.50%, due 10/15/31 (a) 4,500,000 4,736,659
Seaspan Corp.    
5.50%, due 8/1/29 (a) 6,765,000 6,443,353
Watco Cos. LLC    
7.125%, due 8/1/32 (a) 9,455,000 9,854,682
    21,034,694
Total Corporate Bonds
(Cost $2,408,504,337)
  2,389,335,838

  Principal
Amount
Value
Loan Assignments 5.8%
Aerospace & Defense 0.3% 
Chromalloy Corp.  
First Lien Term Loan              
9.082% (3 Month SOFR + 3.75%), due 3/27/31 (e) $    6,100,000 $     5,782,800
TransDigm, Inc.  
First Lien Tranche Term Loan L              
7.32% (3 Month SOFR + 2.50%), due 9/6/32 (e)   2,800,000     2,787,532
    8,570,332
Automobile 0.2% 
Tenneco, Inc.  
First Lien Term Loan B 9.704% - 10.228%  
(3 Month SOFR + 5.00%), due 11/17/28 (e) 4,850,000 4,601,438
Banking 0.1% 
Jane Street Group LLC  
First Lien 2021 Term Loan 7.46% - 7.861%  
(1 Month SOFR + 2.50%), due 1/26/28 (e) 3,481,959 3,476,983
Beverage, Food & Tobacco 0.1% 
B&G Foods, Inc.  
First Lien Tranche Term Loan B5  
8.557% (3 Month SOFR + 3.50%), due 10/10/29 (e) 2,200,000 2,179,571
Buildings & Real Estate 0.1% 
GEO Group, Inc. (The)  
First Lien Term Loan  
10.095% (1 Month SOFR + 5.25%), due 4/16/29 (e) 2,491,667 2,522,813
Capital Equipment 0.1% 
TK Elevator Midco GmbH  
First Lien SOFR Term Loan C  
8.588% (6 Month SOFR + 3.50%), due 4/30/30 (e) 3,821,197 3,828,098
Cargo Transport 0.3% 
Clue Opco LLC  
First Lien Term Loan B  
9.752% (3 Month SOFR + 4.50%), due 12/19/30 (e) 5,480,444 5,446,192
Genesee & Wyoming, Inc.  
First Lien Initial Term Loan  
6.604% (3 Month SOFR + 2.00%), due 4/10/31 (e) 3,000,000 2,992,968
    8,439,160
Chemicals 0.1% 
ASP Unifrax Holdings, Inc.  
First Lien Term Loan  
8.354% (3 Month SOFR + 3.75%), due 10/1/29 (e) 4,007,000 3,885,345

  Principal
Amount
Value
Loan Assignments
Chemicals, Plastics & Rubber 0.4% 
Innophos Holdings, Inc.  
First Lien Initial Term Loan              
8.71% (1 Month SOFR + 3.75%), due 2/7/27 (e) $    1,814,500 $     1,819,490
Jazz Financing Lux SARL  
First Lien Dollar Tranche Term Loan B2              
7.095% (1 Month SOFR + 2.25%), due 5/5/28 (e)   9,064,504     9,051,913
    10,871,403
Electronics 0.2% 
Camelot US Acquisition LLC  
First Lien Incremental Term Loan B  
7.595% (1 Month SOFR + 2.75%), due 1/31/31 (e) 2,453,931 2,448,409
VS Buyer LLC  
First Lien 2024 Initial Term Loan  
8.347% (1 Month SOFR + 3.25%), due 4/14/31 (e) 2,294,250 2,289,471
    4,737,880
Energy (Electricity) 0.2% 
Lightning Power LLC  
First Lien Initial Term Loan B  
8.346% (3 Month SOFR + 3.25%), due 8/18/31 (e) 2,000,000 2,003,334
Talen Energy Supply LLC  
First Lien Initial Term Loan B  
8.596% (3 Month SOFR + 3.50%), due 5/17/30 (e) 2,365,063 2,368,019
    4,371,353
Finance 0.6% 
AAdvantage Loyalty IP Ltd.  
First Lien Initial Term Loan  
10.294% (3 Month SOFR + 4.75%), due 4/20/28 (e) 1,500,000 1,540,058
Osaic Holdings, Inc.  
First Lien New Term Loan B3  
8.845% (1 Month SOFR + 4.00%), due 8/17/28 (e) 4,232,517 4,184,901
RealTruck Group, Inc. (e)  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 1/31/28 3,289,224 3,230,636
First Lien Second Amendment Incremental Term Loan  
9.96% (1 Month SOFR + 5.00%), due 1/31/28 2,537,250 2,507,120
Schweitzer-Mauduit International, Inc.  
First Lien Term Loan B  
8.71% (1 Month SOFR + 3.75%), due 4/20/28 (e) 2,270,705 2,267,866
Superannuation And Investments US LLC  
First Lien Initial US Term Loan  
8.71% (1 Month SOFR + 3.75%), due 12/1/28 (e) 2,625,750 2,628,213
    16,358,794

  Principal
Amount
Value
Loan Assignments
Healthcare & Pharmaceuticals 0.0%  ‡
Concentra Health Services, Inc.  
First Lien Initial Term Loan              
7.095% (1 Month SOFR + 2.25%), due 7/26/31 (e) $    1,000,000 $       997,500
Healthcare, Education & Childcare 0.4% 
Endo Finance Holdings, Inc.  
First Lien Initial Term Loan              
9.783% (3 Month SOFR + 4.50%), due 4/9/31 (e)   7,200,000      7,189,502
LifePoint Health, Inc.  
First Lien 2024 Repricing Term Loan B  
10.054% (3 Month SOFR + 4.75%), due 11/16/28 (e) 4,228,777 4,222,734
    11,412,236
High Tech Industries 0.1% 
Open Text Corp.  
First Lien Term Loan B  
7.095% (1 Month SOFR + 2.25%), due 1/31/30 (e) 3,085,443 3,095,085
Hotels, Motels, Inns & Gaming 0.1% 
Caesars Entertainment, Inc.  
First Lien Term Loan B1  
7.595% (1 Month SOFR + 2.75%), due 2/6/31 (e) 2,487,500 2,484,779
Leisure, Amusement, Motion Pictures & Entertainment 0.2% 
Carnival Corp. (e)  
First Lien 2027 Term Loan  
7.997% (1 Month SOFR + 2.75%), due 8/9/27 2,478,861 2,480,925
First Lien 2028 Term Loan  
7.997% (1 Month SOFR + 2.75%), due 10/18/28 2,584,369 2,585,662
    5,066,587
Media 0.2% 
DIRECTV Financing LLC  
First Lien 2024 Refinancing Term Loan B  
10.21% (1 Month SOFR + 5.25%), due 8/2/29 (e) 6,722,006 6,595,034
Mining, Steel, Iron & Non-Precious Metals 0.2% 
American Rock Salt Company LLC (e)  
First Lien Initial Term Loan  
9.319% (3 Month SOFR + 4.00%), due 6/9/28 5,664,021 4,616,177
First Lien First Out Term Loan  
12.079% (1 Month SOFR + 7.00%), due 6/11/28 1,426,326 1,426,326
    6,042,503

  Principal
Amount
Value
Loan Assignments
Oil & Gas 0.5% 
New Fortress Energy, Inc.  
First Lien Initial Term Loan              
10.252% (3 Month SOFR + 5.00%), due 10/30/28 (e) $    5,558,000 $     4,988,305
PetroQuest Energy LLC (b)(d)  
First Lien Term Loan              
11.653% (15.00% PIK) (1 Year SOFR + 6.50%), due 11/10/25 (c)(e)   7,775,835      2,099,475
First Lien 2020 Term Loan              
15.00% (15.00% PIK), due 9/19/26 (c)     758,304        758,304
First Lien Term Loan  
15.00% (15.00% PIK), due 1/1/28 (c) 988,452 988,452
First Lien Term Loan  
15.00% (1 Month SOFR + 6.50%), due 9/3/31 (e) 166,000 166,000
Prairie Eci Acquiror LP  
First Lien Initial Term Loan B2  
9.595% (1 Month SOFR + 4.75%), due 8/1/29 (e) 2,286,786 2,281,426
TransMontaigne Operating Co. LP  
First Lien Tranche Term Loan B  
8.46% (1 Month SOFR + 3.50%), due 11/17/28 (e) 3,315,000 3,317,072
    14,599,034
Personal, Food & Miscellaneous Services 0.0%  ‡
WW International, Inc.  
First Lien Initial Term Loan  
8.46% (1 Month SOFR + 3.50%), due 4/13/28 (e) 1,550,000 406,875
Retail 0.9% 
Great Outdoors Group LLC  
First Lien Term Loan B1  
8.71% (1 Month SOFR + 3.75%), due 3/6/28 (e) 23,507,876 23,475,224
Services: Business 0.2% 
Amazon Holdco, Inc.  
First Lien Term Loan B  
7.305% (1 Year SOFR + 2.25%), due 9/29/31 (e) 2,200,000 2,191,750
GIP II Blue Holding LP  
First Lien Initial Term Loan  
8.595% (1 Month SOFR + 3.75%), due 9/29/28 (e) 2,197,977 2,202,923
    4,394,673
Software 0.3% 
Cloud Software Group, Inc.  
First Lien Initial Dollar Facility Term Loan B  
8.604% (3 Month SOFR + 4.00%), due 3/30/29 (e) 5,921,450 5,893,187

  Principal
Amount
Value
Loan Assignments
Software  
UKG, Inc.  
First Lien Initial Term Loan              
8.555% (3 Month SOFR + 3.25%), due 2/10/31 (e) $    1,496,250 $     1,496,250
    7,389,437
Total Loan Assignments
(Cost $165,920,388)
  159,802,137
Total Long-Term Bonds
(Cost $2,586,992,110)
  2,573,109,497
 
  Shares  
 
Common Stocks 0.8%
Consumer Staples Distribution & Retail 0.0% ‡
ASG warrant Corp. (b)(d)(k)      3,368            —
Distributors 0.0% ‡
ATD New Holdings, Inc. (k)     44,740       313,180
Electric Utilities 0.1% 
Keycon Power Holdings LLC (b)(d)(k)    112,442     1,643,902
Electrical Equipment 0.0% ‡
Energy Technologies, Inc. (b)(d)(k) 4,822 1,629,836
Energy Equipment & Services 0.1% 
Forum Energy Technologies, Inc. (k) 159,661 2,468,359
Independent Power and Renewable Electricity Producers 0.1% 
GenOn Energy, Inc. (i) 115,826 3,474,780
Oil, Gas & Consumable Fuels 0.3% 
Gulfport Energy Corp. (k) 10,441 1,580,246
PetroQuest Energy, Inc. (b)(d)(k) 82,247
Talos Energy, Inc. (k) 550,880 5,701,608
    7,281,854
Pharmaceuticals 0.2% 
Endo, Inc. (k) 217,590 5,544,193
Total Common Stocks
(Cost $63,916,239)
  22,356,104

  Shares   Value
Preferred Stock 0.4%
Electrical Equipment 0.4% 
Energy Technologies Ltd. (b)(d)(k)
    10,741   $    10,203,950
Total Preferred Stock
(Cost $10,297,701)
    10,203,950
 
  Number of
Warrants
   
 
Warrants 0.0% ‡
Oil, Gas & Consumable Fuels 0.0% ‡
California Resources Corp.      
Expires 10/27/24 (k) 9,742   163,373
Total Warrants
(Cost $3,897)
    163,373
Total Investments
(Cost $2,661,209,947)
95.7%   2,605,832,924
Other Assets, Less Liabilities 4.3   116,205,544
Net Assets 100.0%   $ 2,722,038,468
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $39,524,860, which represented 1.5% of the Portfolio’s net assets.
(c) PIK ("Payment-in-Kind")—issuer may pay interest or dividends with additional securities and/or in cash.
(d) Security in which significant unobservable inputs (Level 3) were used in determining fair value.
(e) Floating rate—Rate shown was the rate in effect as of September 30, 2024.
(f) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(g) Delayed delivery security.
(h) Issue in non-accrual status.
(i) Restricted security.  
(j) Step coupon—Rate shown was the rate in effect as of September 30, 2024.
(k) Non-income producing security.
Abbreviation(s):
SOFR—Secured Overnight Financing Rate

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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          $ —       $ 23,971,522            $ —       $ 23,971,522
Corporate Bonds          —    2,382,588,792     6,747,046    2,389,335,838
Loan Assignments          —      155,789,906     4,012,231      159,802,137
Total Long-Term Bonds   2,562,350,220   10,759,277   2,573,109,497
Common Stocks  15,607,586        3,474,780     3,273,738       22,356,104
Preferred Stock          —               —    10,203,950       10,203,950
Warrants     163,373               —            —          163,373
Total Investments in Securities $ 15,770,959   $ 2,565,825,000   $ 24,236,965   $ 2,605,832,924
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP PineStone International Equity Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.4%
Australia 1.6% 
Commonwealth Bank of Australia (Banks)    79,009 $   7,395,391
Canada 2.5% 
Canadian National Railway Co. (Ground Transportation)    98,218  11,506,239
Denmark 6.3% 
Novo Nordisk A/S, Class B (Pharmaceuticals)   244,730  28,754,144
France 15.9% 
Air Liquide SA (Chemicals)    23,331    4,499,719
Air Liquide SA (Chemicals) (a)    77,000   14,850,556
EssilorLuxottica SA (Health Care Equipment & Supplies)    80,653   19,086,991
L'Oreal SA (Personal Care Products)     5,367    2,401,958
L'Oreal SA (Registered) (Personal Care Products) (a)    28,000   12,531,175
LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)    25,441  19,498,078
    72,868,477
Germany 5.5% 
Rational AG (Machinery)     7,774    7,918,070
SAP SE (Software)    75,885  17,265,951
    25,184,021
India 1.7% 
HDFC Bank Ltd., ADR (Banks) 121,906 7,626,439
Japan 7.1% 
Keyence Corp. (Electronic Equipment, Instruments & Components) 33,000 15,695,808
Shimano, Inc. (Leisure Products) 49,500 9,357,558
Unicharm Corp. (Household Products) 199,800 7,205,172
    32,258,538
Netherlands 4.3% 
ASML Holding NV (Semiconductors & Semiconductor Equipment) 23,601 19,587,996
Spain 1.8% 
Amadeus IT Group SA (Hotels, Restaurants & Leisure) 111,362 8,047,653
Switzerland 8.3% 
Cie Financiere Richemont SA (Registered) (Textiles, Apparel & Luxury Goods) 99,543 15,736,815
Geberit AG (Registered) (Building Products) 13,441 8,756,859
Schindler Holding AG (Machinery) 45,342 13,286,248
    37,779,922
Taiwan 7.7% 
Taiwan Semiconductor Manufacturing Co. Ltd., Sponsored ADR (Semiconductors & Semiconductor Equipment) 203,833 35,399,677

  Shares   Value
Common Stocks
United Kingdom 24.4% 
Ashtead Group plc (Trading Companies & Distributors)   127,563   $   9,867,754
Bunzl plc (Trading Companies & Distributors)   185,474      8,763,241
Diageo plc (Beverages)   338,962     11,796,152
Howden Joinery Group plc (Trading Companies & Distributors)   923,305     11,196,122
InterContinental Hotels Group plc (Hotels, Restaurants & Leisure)   168,666     18,346,518
Intertek Group plc (Professional Services)   140,016      9,659,231
London Stock Exchange Group plc (Capital Markets)   184,037     25,146,133
Spirax Group plc (Machinery)    71,914      7,225,328
Unilever plc (Personal Care Products)   144,474     9,363,012
      111,363,491
United States 12.3% 
Alcon, Inc. (Health Care Equipment & Supplies)   137,738     13,722,536
Aon plc, Class A (Insurance)    22,832      7,899,644
Nestle SA (Registered) (Food Products)   185,986     18,670,019
S&P Global, Inc. (Capital Markets)    30,829    15,926,878
      56,219,077
Total Common Stocks
(Cost $378,944,043)
    453,991,065
Short-Term Investment 0.3%
Affiliated Investment Company 0.3% 
United States 0.3% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 1,394,682   1,394,682
Total Short-Term Investment
(Cost $1,394,682)
    1,394,682
Total Investments
(Cost $380,338,725)
99.7%   455,385,747
Other Assets, Less Liabilities 0.3   1,174,276
Net Assets 100.0%   $ 456,560,023
    
Percentages indicated are based on Portfolio net assets.
^ Industry and country classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 83 $ 40,231 $ (38,919) $ — $ — $ 1,395 $ 32 $ — 1,395
    

Abbreviation(s):
ADR—American Depositary Receipt
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 453,991,065   $ —   $ —    $ 453,991,065
Short-Term Investment              
Affiliated Investment Company    1,394,682          1,394,682
Total Investments in Securities $ 455,385,747   $ —   $ —   $ 455,385,747
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP S&P 500 Index Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 98.8%
Aerospace & Defense 1.9% 
Axon Enterprise, Inc. (a)      6,715 $     2,683,314
Boeing Co. (The) (a)     54,748      8,323,886
General Dynamics Corp.     24,119      7,288,762
General Electric Co.    101,415     19,124,841
Howmet Aerospace, Inc.     38,174      3,826,943
Huntington Ingalls Industries, Inc.      3,668        969,746
L3Harris Technologies, Inc.     17,743      4,220,527
Lockheed Martin Corp.     19,841     11,598,255
Northrop Grumman Corp.     12,858      6,789,924
RTX Corp.    124,417     15,074,364
Textron, Inc.     17,524      1,552,276
TransDigm Group, Inc.      5,248     7,489,578
    88,942,416
Air Freight & Logistics 0.4% 
CH Robinson Worldwide, Inc.     10,962      1,209,876
Expeditors International of Washington, Inc.     13,200      1,734,480
FedEx Corp. 21,078 5,768,627
United Parcel Service, Inc., Class B 68,511 9,340,790
    18,053,773
Automobile Components 0.1% 
Aptiv plc (a) 24,856 1,789,880
BorgWarner, Inc. 21,303 773,086
    2,562,966
Automobiles 1.7% 
Ford Motor Co. 365,176 3,856,259
General Motors Co. 105,120 4,713,581
Tesla, Inc. (a) 259,507 67,894,816
    76,464,656
Banks 3.1% 
Bank of America Corp. 631,402 25,054,031
Citigroup, Inc. 178,435 11,170,031
Citizens Financial Group, Inc. 41,929 1,722,024
Fifth Third Bancorp 63,300 2,711,772
Huntington Bancshares, Inc. 135,845 1,996,921
JPMorgan Chase & Co. 266,107 56,111,322
KeyCorp 86,806 1,454,001
M&T Bank Corp. 15,620 2,782,234
PNC Financial Services Group, Inc. (The) 37,178 6,872,353
Regions Financial Corp. 85,591 1,996,838
Truist Financial Corp. 125,267 5,357,670
U.S. Bancorp 145,949 6,674,248
Wells Fargo & Co. 318,353 17,983,761
    141,887,206

  Shares Value
Common Stocks
Beverages 1.3% 
Brown-Forman Corp., Class B     17,146 $       843,583
Coca-Cola Co. (The)    362,790     26,070,089
Constellation Brands, Inc., Class A     14,655      3,776,447
Keurig Dr Pepper, Inc.     98,931      3,707,934
Molson Coors Beverage Co., Class B     16,432        945,169
Monster Beverage Corp. (a)     65,964      3,441,342
PepsiCo, Inc.    128,469    21,846,153
    60,630,717
Biotechnology 1.9% 
AbbVie, Inc.    165,205     32,624,683
Amgen, Inc.     50,256     16,192,986
Biogen, Inc. (a)     13,630      2,642,039
Gilead Sciences, Inc.    116,443      9,762,581
Incyte Corp. (a)(b)     14,951        988,261
Moderna, Inc. (a)     31,638      2,114,368
Regeneron Pharmaceuticals, Inc. (a)      9,925     10,433,557
Vertex Pharmaceuticals, Inc. (a) 24,140 11,227,031
    85,985,506
Broadline Retail 3.6% 
Amazon.com, Inc. (a) 873,664 162,789,813
eBay, Inc. 45,736 2,977,871
    165,767,684
Building Products 0.6% 
A O Smith Corp. 11,220 1,007,893
Allegion plc 8,149 1,187,635
Builders FirstSource, Inc. (a) 10,892 2,111,523
Carrier Global Corp. 78,524 6,320,397
Johnson Controls International plc 62,479 4,848,995
Masco Corp. 20,413 1,713,467
Trane Technologies plc 21,107 8,204,924
    25,394,834
Capital Markets 3.0% 
Ameriprise Financial, Inc. 9,184 4,314,735
Bank of New York Mellon Corp. (The) 69,021 4,959,849
BlackRock, Inc. 13,023 12,365,469
Blackstone, Inc. 67,348 10,312,999
Cboe Global Markets, Inc. 9,786 2,004,858
Charles Schwab Corp. (The) 139,723 9,055,448
CME Group, Inc. 33,679 7,431,271
FactSet Research Systems, Inc. 3,558 1,636,146
Franklin Resources, Inc. 28,860 581,529
Goldman Sachs Group, Inc. (The) 29,537 14,624,064
Intercontinental Exchange, Inc. 53,697 8,625,886
Invesco Ltd. 42,111 739,469
KKR & Co., Inc. 63,079 8,236,856

  Shares Value
Common Stocks
Capital Markets  
MarketAxess Holdings, Inc.      3,531 $       904,642
Moody's Corp.     14,647      6,951,320
Morgan Stanley    116,515     12,145,524
MSCI, Inc.      7,356      4,288,033
Nasdaq, Inc.     38,704      2,825,779
Northern Trust Corp.     18,859      1,697,876
Raymond James Financial, Inc. (b)     17,336      2,122,966
S&P Global, Inc.     29,948     15,471,736
State Street Corp.     27,930      2,470,967
T. Rowe Price Group, Inc.     20,819     2,267,814
    136,035,236
Chemicals 1.5% 
Air Products and Chemicals, Inc.     20,793      6,190,908
Albemarle Corp. (b)     11,002      1,041,999
Celanese Corp.     10,219      1,389,375
CF Industries Holdings, Inc.     16,874      1,447,789
Corteva, Inc. 64,745 3,806,359
Dow, Inc. 65,557 3,581,379
DuPont de Nemours, Inc. 39,048 3,479,567
Eastman Chemical Co. 10,934 1,224,061
Ecolab, Inc. 23,685 6,047,491
FMC Corp. 11,685 770,509
International Flavors & Fragrances, Inc. 23,905 2,508,352
Linde plc 44,961 21,440,102
LyondellBasell Industries NV, Class A 24,324 2,332,672
Mosaic Co. (The) 29,802 798,098
PPG Industries, Inc. 21,820 2,890,277
Sherwin-Williams Co. (The) 21,706 8,284,529
    67,233,467
Commercial Services & Supplies 0.6% 
Cintas Corp. 32,045 6,597,425
Copart, Inc. (a) 81,908 4,291,979
Republic Services, Inc. 19,093 3,834,638
Rollins, Inc. 26,292 1,329,850
Veralto Corp. 23,112 2,585,308
Waste Management, Inc. 34,157 7,090,993
    25,730,193
Communications Equipment 0.8% 
Arista Networks, Inc. (a) 24,094 9,247,759
Cisco Systems, Inc. 376,813 20,053,988
F5, Inc. (a) 5,451 1,200,310
Juniper Networks, Inc. 30,786 1,200,039
Motorola Solutions, Inc. 15,605 7,016,476
    38,718,572

  Shares Value
Common Stocks
Construction & Engineering 0.1% 
Quanta Services, Inc.     13,780 $     4,108,507
Construction Materials 0.1% 
Martin Marietta Materials, Inc.      5,716      3,076,637
Vulcan Materials Co.     12,352     3,093,311
    6,169,948
Consumer Finance 0.5% 
American Express Co.     52,528     14,245,594
Capital One Financial Corp.     35,715      5,347,607
Discover Financial Services (b)     23,483      3,294,430
Synchrony Financial     36,965     1,843,814
    24,731,445
Consumer Staples Distribution & Retail 1.9% 
Costco Wholesale Corp.     41,465     36,759,552
Dollar General Corp. (b)     20,565      1,739,182
Dollar Tree, Inc. (a)     18,897      1,328,837
Kroger Co. (The)     62,108      3,558,788
Sysco Corp. 45,994 3,590,292
Target Corp. 43,270 6,744,062
Walgreens Boots Alliance, Inc. (b) 67,034 600,625
Walmart, Inc. 406,246 32,804,364
    87,125,702
Containers & Packaging 0.2% 
Amcor plc 135,182 1,531,612
Avery Dennison Corp. 7,531 1,662,543
Ball Corp. 28,392 1,928,101
International Paper Co. 32,516 1,588,407
Packaging Corp. of America 8,345 1,797,513
Smurfit WestRock plc 46,147 2,280,585
    10,788,761
Distributors 0.1% 
Genuine Parts Co. 13,030 1,820,031
LKQ Corp. 24,622 982,910
Pool Corp. 3,578 1,348,190
    4,151,131
Diversified Telecommunication Services 0.7% 
AT&T, Inc. 670,629 14,753,838
Verizon Communications, Inc. 393,714 17,681,696
    32,435,534
Electric Utilities 1.6% 
Alliant Energy Corp. 24,001 1,456,621
American Electric Power Co., Inc. 49,769 5,106,300
Constellation Energy Corp. 29,246 7,604,545

  Shares Value
Common Stocks
Electric Utilities  
Duke Energy Corp.     72,205 $     8,325,237
Edison International     36,119      3,145,604
Entergy Corp.     19,991      2,631,016
Evergy, Inc.     21,525      1,334,765
Eversource Energy     33,426      2,274,639
Exelon Corp.     93,529      3,792,601
FirstEnergy Corp.     47,940      2,126,139
NextEra Energy, Inc.    192,159     16,243,200
NRG Energy, Inc.     19,303      1,758,503
PG&E Corp.    199,916      3,952,339
Pinnacle West Capital Corp. (b)     10,631        941,800
PPL Corp.     69,001      2,282,553
Southern Co. (The)    102,268      9,222,528
Xcel Energy, Inc.     52,143     3,404,938
    75,603,328
Electrical Equipment 0.7% 
AMETEK, Inc. 21,655 3,718,380
Eaton Corp. plc 37,234 12,340,837
Emerson Electric Co. 53,558 5,857,639
GE Vernova, Inc. (a) 25,702 6,553,496
Generac Holdings, Inc. (a) 5,626 893,859
Hubbell, Inc. 5,021 2,150,745
Rockwell Automation, Inc. 10,613 2,849,166
    34,364,122
Electronic Equipment, Instruments & Components 0.5% 
Amphenol Corp., Class A 112,637 7,339,427
CDW Corp. 12,493 2,827,166
Corning, Inc. 72,030 3,252,154
Jabil, Inc. 10,610 1,271,396
Keysight Technologies, Inc. (a) 16,325 2,594,532
Teledyne Technologies, Inc. (a) 4,376 1,915,200
Trimble, Inc. (a) 22,862 1,419,502
Zebra Technologies Corp., Class A (a) 4,824 1,786,424
    22,405,801
Energy Equipment & Services 0.2% 
Baker Hughes Co. 92,914 3,358,841
Halliburton Co. 82,571 2,398,688
Schlumberger NV 132,812 5,571,463
    11,328,992
Entertainment 1.2% 
Electronic Arts, Inc. 22,487 3,225,535
Live Nation Entertainment, Inc. (a) 14,648 1,603,810
Netflix, Inc. (a) 40,140 28,470,098
Take-Two Interactive Software, Inc. (a) 15,247 2,343,616
Walt Disney Co. (The) 169,624 16,316,133

  Shares Value
Common Stocks
Entertainment  
Warner Bros Discovery, Inc. (a)    208,744 $     1,722,138
    53,681,330
Financial Services 4.1% 
Berkshire Hathaway, Inc., Class B (a)    171,326     78,854,505
Corpay, Inc. (a)      6,494      2,031,063
Fidelity National Information Services, Inc.     51,026      4,273,427
Fiserv, Inc. (a)     53,847      9,673,614
Global Payments, Inc.     23,797      2,437,289
Jack Henry & Associates, Inc.      6,825      1,204,885
Mastercard, Inc., Class A     77,166     38,104,571
PayPal Holdings, Inc. (a)     95,618      7,461,073
Visa, Inc., Class A    156,236    42,957,088
    186,997,515
Food Products 0.7% 
Archer-Daniels-Midland Co.     44,720      2,671,573
Bunge Global SA     13,256      1,281,060
Campbell Soup Co. (b) 18,419 901,057
Conagra Brands, Inc. 44,805 1,457,059
General Mills, Inc. 52,060 3,844,631
Hershey Co. (The) 13,812 2,648,865
Hormel Foods Corp. 27,174 861,416
J M Smucker Co. (The) 9,955 1,205,551
Kellanova 25,092 2,025,175
Kraft Heinz Co. (The) 82,552 2,898,401
Lamb Weston Holdings, Inc. 13,437 869,911
McCormick & Co., Inc. (Non-Voting) 23,567 1,939,564
Mondelez International, Inc., Class A 124,936 9,204,035
Tyson Foods, Inc., Class A 26,733 1,592,218
    33,400,516
Gas Utilities 0.0% ‡
Atmos Energy Corp. 14,519 2,013,930
Ground Transportation 1.0% 
CSX Corp. 181,329 6,261,290
JB Hunt Transport Services, Inc. 7,536 1,298,679
Norfolk Southern Corp. 21,149 5,255,527
Old Dominion Freight Line, Inc. 17,638 3,503,612
Uber Technologies, Inc. (a) 196,500 14,768,940
Union Pacific Corp. 56,978 14,043,938
    45,131,986
Health Care Equipment & Supplies 2.3% 
Abbott Laboratories 162,732 18,553,075
Align Technology, Inc. (a)(b) 6,567 1,670,120
Baxter International, Inc. 47,705 1,811,359

  Shares Value
Common Stocks
Health Care Equipment & Supplies  
Becton Dickinson & Co.     27,034 $     6,517,897
Boston Scientific Corp. (a)    137,734     11,542,109
Cooper Cos., Inc. (The) (a)     18,624      2,054,972
DexCom, Inc. (a)     37,480      2,512,659
Edwards Lifesciences Corp. (a)     56,342      3,718,009
GE HealthCare Technologies, Inc.     39,722      3,727,910
Hologic, Inc. (a)     21,724      1,769,637
IDEXX Laboratories, Inc. (a)      7,698      3,889,184
Insulet Corp. (a)(b)      6,557      1,526,142
Intuitive Surgical, Inc. (a)     33,175     16,297,882
Medtronic plc    119,961     10,800,089
ResMed, Inc.     13,742      3,354,697
Solventum Corp. (a)     12,935        901,828
STERIS plc      9,224      2,237,189
Stryker Corp.     32,067     11,584,524
Teleflex, Inc.      4,410      1,090,681
Zimmer Biomet Holdings, Inc. 19,047 2,056,124
    107,616,087
Health Care Providers & Services 2.4% 
Cardinal Health, Inc. 22,802 2,520,077
Cencora, Inc. 16,316 3,672,405
Centene Corp. (a) 49,199 3,703,701
Cigna Group (The) 26,146 9,058,020
CVS Health Corp. 117,658 7,398,335
DaVita, Inc. (a) 4,316 707,522
Elevance Health, Inc. 21,688 11,277,760
HCA Healthcare, Inc. 17,379 7,063,347
Henry Schein, Inc. (a) 11,851 863,938
Humana, Inc. 11,261 3,566,809
Labcorp Holdings, Inc. 7,853 1,754,988
McKesson Corp. 12,129 5,996,820
Molina Healthcare, Inc. (a) 5,481 1,888,533
Quest Diagnostics, Inc. 10,411 1,616,308
UnitedHealth Group, Inc. 86,367 50,497,058
Universal Health Services, Inc., Class B 5,561 1,273,525
    112,859,146
Health Care REITs 0.3% 
Alexandria Real Estate Equities, Inc. 14,561 1,729,119
Healthpeak Properties, Inc. 65,885 1,506,790
Ventas, Inc. 38,642 2,478,111
Welltower, Inc. 54,125 6,929,624
    12,643,644
Hotel & Resort REITs 0.0% ‡
Host Hotels & Resorts, Inc. 65,699 1,156,302

  Shares Value
Common Stocks
Hotels, Restaurants & Leisure 1.9% 
Airbnb, Inc., Class A (a)     41,153 $     5,218,612
Booking Holdings, Inc.      3,135     13,204,996
Caesars Entertainment, Inc. (a)     20,260        845,652
Carnival Corp. (a)     94,484      1,746,064
Chipotle Mexican Grill, Inc. (a)    128,086      7,380,315
Darden Restaurants, Inc.     11,080      1,818,560
Domino's Pizza, Inc.      3,271      1,406,988
Expedia Group, Inc. (a)     11,659      1,725,765
Hilton Worldwide Holdings, Inc.     23,048      5,312,564
Las Vegas Sands Corp. (b)     33,061      1,664,291
Marriott International, Inc., Class A     21,854      5,432,905
McDonald's Corp.     67,093     20,430,490
MGM Resorts International (a)(b)     21,593        844,070
Norwegian Cruise Line Holdings Ltd. (a)     41,124        843,453
Royal Caribbean Cruises Ltd.     22,150      3,928,524
Starbucks Corp.    105,988     10,332,770
Wynn Resorts Ltd. 8,746 838,567
Yum! Brands, Inc. 26,297 3,673,954
    86,648,540
Household Durables 0.4% 
DR Horton, Inc. 27,445 5,235,683
Garmin Ltd. 14,385 2,532,192
Lennar Corp., Class A 22,606 4,238,173
Mohawk Industries, Inc. (a) 4,900 787,332
NVR, Inc. (a) 288 2,825,798
PulteGroup, Inc. 19,410 2,785,917
    18,405,095
Household Products 1.2% 
Church & Dwight Co., Inc. 22,897 2,397,774
Clorox Co. (The) 11,585 1,887,312
Colgate-Palmolive Co. 76,422 7,933,368
Kimberly-Clark Corp. 31,501 4,481,962
Procter & Gamble Co. (The) 220,173 38,133,964
    54,834,380
Independent Power and Renewable Electricity Producers 0.1% 
AES Corp. (The) 66,530 1,334,592
Vistra Corp. 32,133 3,809,046
    5,143,638
Industrial Conglomerates 0.4% 
3M Co. 51,381 7,023,783
Honeywell International, Inc. 60,905 12,589,672
    19,613,455
Industrial REITs 0.2% 
Prologis, Inc. 86,600 10,935,848

  Shares Value
Common Stocks
Insurance 2.1% 
Aflac, Inc.     47,141 $     5,270,364
Allstate Corp. (The)     24,696      4,683,596
American International Group, Inc.     60,228      4,410,496
Aon plc, Class A     20,319      7,030,171
Arch Capital Group Ltd. (a)     35,030      3,919,156
Arthur J. Gallagher & Co.     20,492      5,765,834
Assurant, Inc. (b)      4,844        963,278
Brown & Brown, Inc.     22,145      2,294,222
Chubb Ltd.     35,135     10,132,583
Cincinnati Financial Corp.     14,613      1,989,122
Erie Indemnity Co., Class A      2,333      1,259,400
Everest Group Ltd.      4,047      1,585,736
Globe Life, Inc.      8,401        889,750
Hartford Financial Services Group, Inc. (The)     27,405      3,223,102
Loews Corp.     17,041      1,347,091
Marsh & McLennan Cos., Inc.     45,994     10,260,802
MetLife, Inc. 55,021 4,538,132
Principal Financial Group, Inc. 19,927 1,711,729
Progressive Corp. (The) 54,777 13,900,212
Prudential Financial, Inc. 33,390 4,043,529
Travelers Cos., Inc. (The) 21,318 4,990,970
W R Berkley Corp. 28,118 1,595,134
Willis Towers Watson plc 9,498 2,797,446
    98,601,855
Interactive Media & Services 6.2% 
Alphabet, Inc.    
Class A 547,989 90,883,976
Class C 449,231 75,106,931
 
Match Group, Inc. (a) 24,121 912,738
Meta Platforms, Inc., Class A 204,337 116,970,672
    283,874,317
IT Services 1.3% 
Accenture plc, Class A 58,585 20,708,626
Akamai Technologies, Inc. (a) 14,172 1,430,663
Amentum Holdings, Inc. (a) 11,711 377,680
Cognizant Technology Solutions Corp., Class A 46,359 3,577,988
EPAM Systems, Inc. (a) 5,325 1,059,835
Gartner, Inc. (a) 7,207 3,652,219
GoDaddy, Inc., Class A (a) 13,185 2,067,144
International Business Machines Corp. 86,154 19,046,926
TE Connectivity plc 28,425 4,291,891
VeriSign, Inc. (a) 7,850 1,491,186
    57,704,158
Leisure Products 0.0% ‡
Hasbro, Inc. 12,251 885,992

  Shares Value
Common Stocks
Life Sciences Tools & Services 1.3% 
Agilent Technologies, Inc.     27,288 $     4,051,722
Bio-Rad Laboratories, Inc., Class A (a)(b)      1,349        451,349
Bio-Techne Corp.     14,753      1,179,207
Charles River Laboratories International, Inc. (a)(b)      4,829        951,168
Danaher Corp.     60,118     16,714,006
IQVIA Holdings, Inc. (a)     16,198      3,838,440
Mettler-Toledo International, Inc. (a)      1,985      2,976,905
Revvity, Inc. (b)     11,536      1,473,724
Thermo Fisher Scientific, Inc.     35,728     22,100,269
Waters Corp. (a)      5,553      1,998,469
West Pharmaceutical Services, Inc.      6,785     2,036,586
    57,771,845
Machinery 1.7% 
Caterpillar, Inc.     45,352     17,738,074
Cummins, Inc.     12,818      4,150,340
Deere & Co.     23,970     10,003,400
Dover Corp. 12,856 2,465,010
Fortive Corp. 32,767 2,586,299
IDEX Corp. 7,086 1,519,947
Illinois Tool Works, Inc. 25,270 6,622,509
Ingersoll Rand, Inc. 37,738 3,704,362
Nordson Corp. 5,086 1,335,736
Otis Worldwide Corp. 37,464 3,894,008
PACCAR, Inc. 49,030 4,838,280
Parker-Hannifin Corp. 12,022 7,595,740
Pentair plc 15,479 1,513,691
Snap-on, Inc. 4,927 1,427,401
Stanley Black & Decker, Inc. 14,406 1,586,533
Westinghouse Air Brake Technologies Corp. 16,385 2,978,302
Xylem, Inc. 22,718 3,067,612
    77,027,244
Media 0.5% 
Charter Communications, Inc., Class A (a) 9,078 2,941,998
Comcast Corp., Class A 361,310 15,091,919
Fox Corp.    
Class A 21,011 889,396
Class B 12,350 479,180
 
Interpublic Group of Cos., Inc. (The) 35,129 1,111,130
News Corp.    
Class A 35,385 942,302
Class B 10,499 293,447
 
Omnicom Group, Inc. 18,299 1,891,934
Paramount Global, Class B 55,623 590,716
    24,232,022
Metals & Mining 0.4% 
Freeport-McMoRan, Inc. 134,388 6,708,649

  Shares Value
Common Stocks
Metals & Mining  
Newmont Corp.    107,318 $     5,736,147
Nucor Corp.     22,198      3,337,247
Steel Dynamics, Inc.     13,422     1,692,246
    17,474,289
Multi-Utilities 0.6% 
Ameren Corp.     24,965      2,183,439
CenterPoint Energy, Inc.     60,955      1,793,296
CMS Energy Corp.     27,957      1,974,603
Consolidated Edison, Inc.     32,346      3,368,189
Dominion Energy, Inc.     78,470      4,534,781
DTE Energy Co.     19,373      2,487,687
NiSource, Inc.     41,969      1,454,226
Public Service Enterprise Group, Inc.     46,593      4,156,562
Sempra     59,218      4,952,401
WEC Energy Group, Inc.     29,566     2,843,658
    29,748,842
Office REITs 0.0% ‡
BXP, Inc. 13,590 1,093,451
Oil, Gas & Consumable Fuels 3.0% 
APA Corp. 34,597 846,242
Chevron Corp. 159,084 23,428,301
ConocoPhillips 108,611 11,434,566
Coterra Energy, Inc. (b) 69,144 1,655,999
Devon Energy Corp. 58,568 2,291,180
Diamondback Energy, Inc. 16,685 2,876,494
EOG Resources, Inc. 53,181 6,537,540
EQT Corp. 55,561 2,035,755
Exxon Mobil Corp. 415,535 48,709,013
Hess Corp. 25,850 3,510,430
Kinder Morgan, Inc. 180,599 3,989,432
Marathon Oil Corp. 52,319 1,393,255
Marathon Petroleum Corp. 31,303 5,099,572
Occidental Petroleum Corp. 62,976 3,245,783
ONEOK, Inc. 54,639 4,979,252
Phillips 66 39,149 5,146,136
Targa Resources Corp. 20,490 3,032,725
Valero Energy Corp. 29,965 4,046,174
Williams Cos., Inc. (The) 114,006 5,204,374
    139,462,223
Passenger Airlines 0.2% 
American Airlines Group, Inc. (a) 43,366 487,434
Delta Air Lines, Inc. 59,976 3,046,181
Southwest Airlines Co. 56,025 1,660,020

  Shares Value
Common Stocks
Passenger Airlines  
United Airlines Holdings, Inc. (a)     30,781 $     1,756,364
    6,949,999
Personal Care Products 0.1% 
Estee Lauder Cos., Inc. (The), Class A     21,794      2,172,644
Kenvue, Inc.    179,125     4,143,161
    6,315,805
Pharmaceuticals 3.6% 
Bristol-Myers Squibb Co.    189,621      9,810,991
Catalent, Inc. (a)     16,943      1,026,237
Eli Lilly & Co.     73,781     65,365,539
Johnson & Johnson    225,148     36,487,485
Merck & Co., Inc.    237,079     26,922,691
Pfizer, Inc.    530,003     15,338,287
Viatris, Inc.    111,629      1,296,013
Zoetis, Inc.     42,374     8,279,032
    164,526,275
Professional Services 0.6% 
Automatic Data Processing, Inc. 38,141 10,554,759
Broadridge Financial Solutions, Inc. 10,916 2,347,267
Dayforce, Inc. (a)(b) 14,782 905,398
Equifax, Inc. 11,572 3,400,548
Jacobs Solutions, Inc. 11,711 1,532,970
Leidos Holdings, Inc. 12,600 2,053,800
Paychex, Inc. 29,977 4,022,614
Paycom Software, Inc. 4,551 758,060
Verisk Analytics, Inc. 13,321 3,569,495
    29,144,911
Real Estate Management & Development 0.1% 
CBRE Group, Inc., Class A (a) 28,172 3,506,851
CoStar Group, Inc. (a)(b) 38,330 2,891,615
    6,398,466
Residential REITs 0.3% 
AvalonBay Communities, Inc. 13,284 2,992,221
Camden Property Trust 9,973 1,231,965
Equity Residential 31,910 2,376,019
Essex Property Trust, Inc. 6,006 1,774,293
Invitation Homes, Inc. 53,285 1,878,829
Mid-America Apartment Communities, Inc. 10,937 1,737,889
UDR, Inc. 28,072 1,272,784
    13,264,000
Retail REITs 0.3% 
Federal Realty Investment Trust 7,036 808,929
Kimco Realty Corp. 63,049 1,463,998

  Shares Value
Common Stocks
Retail REITs  
Realty Income Corp.     81,452 $     5,165,686
Regency Centers Corp.     15,278      1,103,530
Simon Property Group, Inc.     28,664     4,844,789
    13,386,932
Semiconductors & Semiconductor Equipment 11.0% 
Advanced Micro Devices, Inc. (a)    151,376     24,837,774
Analog Devices, Inc.     46,411     10,682,420
Applied Materials, Inc.     77,440     15,646,752
Broadcom, Inc.    435,369     75,101,153
Enphase Energy, Inc. (a)     12,666      1,431,511
First Solar, Inc. (a)     10,012      2,497,393
Intel Corp.    399,090      9,362,651
KLA Corp.     12,573      9,736,657
Lam Research Corp.     12,194      9,951,280
Microchip Technology, Inc.     50,179      4,028,872
Micron Technology, Inc.    103,709     10,755,660
Monolithic Power Systems, Inc. 4,560 4,215,720
NVIDIA Corp. 2,300,825 279,412,188
NXP Semiconductors NV 23,825 5,718,238
ON Semiconductor Corp. (a) 40,064 2,909,047
Qorvo, Inc. (a) 8,872 916,478
QUALCOMM, Inc. 104,192 17,717,850
Skyworks Solutions, Inc. 14,938 1,475,426
Teradyne, Inc. 15,262 2,044,040
Texas Instruments, Inc. 85,397 17,640,458
    506,081,568
Software 10.1% 
Adobe, Inc. (a) 41,471 21,472,854
ANSYS, Inc. (a) 8,173 2,604,163
Autodesk, Inc. (a) 20,151 5,551,198
Cadence Design Systems, Inc. (a) 25,610 6,941,078
Crowdstrike Holdings, Inc., Class A (a) 21,594 6,056,469
Fair Isaac Corp. (a) 2,293 4,456,491
Fortinet, Inc. (a) 59,379 4,604,842
Gen Digital, Inc. 50,661 1,389,631
Intuit, Inc. 26,146 16,236,666
Microsoft Corp. 695,208 299,148,002
Oracle Corp. 149,497 25,474,289
Palantir Technologies, Inc., Class A (a) 82,071 3,053,041
Palo Alto Networks, Inc. (a) 30,285 10,351,413
PTC, Inc. (a) 11,236 2,029,896
Roper Technologies, Inc. 10,026 5,578,868
Salesforce, Inc. 90,630 24,806,337
ServiceNow, Inc. (a) 19,267 17,232,212
Synopsys, Inc. (a) 14,330 7,256,569

  Shares Value
Common Stocks
Software  
Tyler Technologies, Inc. (a)      3,991 $     2,329,627
    466,573,646
Specialized REITs 1.0% 
American Tower Corp.     43,686     10,159,616
Crown Castle, Inc.     40,645      4,821,716
Digital Realty Trust, Inc.     28,785      4,658,277
Equinix, Inc.      8,880      7,882,154
Extra Space Storage, Inc.     19,821      3,571,546
Iron Mountain, Inc.     27,442      3,260,933
Public Storage     14,732      5,360,533
SBA Communications Corp.     10,052      2,419,516
VICI Properties, Inc.     97,942      3,262,448
Weyerhaeuser Co.     68,025     2,303,327
    47,700,066
Specialty Retail 1.9% 
AutoZone, Inc. (a)      1,598      5,033,764
Bath & Body Works, Inc. 20,879 666,458
Best Buy Co., Inc. 18,360 1,896,588
CarMax, Inc. (a) 14,598 1,129,593
Home Depot, Inc. (The) 92,745 37,580,274
Lowe's Cos., Inc. 53,296 14,435,222
O'Reilly Automotive, Inc. (a) 5,425 6,247,430
Ross Stores, Inc. 31,199 4,695,761
TJX Cos., Inc. (The) 105,702 12,424,213
Tractor Supply Co. 10,093 2,936,356
Ulta Beauty, Inc. (a) 4,463 1,736,643
    88,782,302
Technology Hardware, Storage & Peripherals 7.6% 
Apple, Inc. (c) 1,422,035 331,334,155
Dell Technologies, Inc., Class C 26,906 3,189,437
Hewlett Packard Enterprise Co. 121,558 2,487,077
HP, Inc. 91,524 3,282,966
NetApp, Inc. 19,226 2,374,603
Seagate Technology Holdings plc 19,640 2,151,169
Super Micro Computer, Inc. (a)(b) 4,710 1,961,244
Western Digital Corp. (a) 30,540 2,085,577
    348,866,228
Textiles, Apparel & Luxury Goods 0.4% 
Deckers Outdoor Corp. (a) 14,260 2,273,757
Lululemon Athletica, Inc. (a) 10,756 2,918,640
NIKE, Inc., Class B 112,372 9,933,685
Ralph Lauren Corp. 3,747 726,431
Tapestry, Inc. 21,510 1,010,540
    16,863,053

  Shares Value
Common Stocks
Tobacco 0.6% 
Altria Group, Inc.    159,582 $     8,145,065
Philip Morris International, Inc.    145,420    17,653,988
    25,799,053
Trading Companies & Distributors 0.3% 
Fastenal Co.     53,559      3,825,184
United Rentals, Inc.      6,228      5,042,999
WW Grainger, Inc.      4,156     4,317,294
    13,185,477
Water Utilities 0.1% 
American Water Works Co., Inc.     18,225     2,665,224
Wireless Telecommunication Services 0.2% 
T-Mobile US, Inc.     45,834     9,458,304
Total Common Stocks (d)
(Cost $1,112,416,994)
  4,551,539,456
 
  Number of
Rights
 
 
Rights 0.0% ‡
Health Care Equipment & Supplies 0.0% ‡
ABIOMED, Inc., CVR (a)(e) 4,165 4,248
Total Rights
(Cost $4,248)
  4,248
 
  Shares  
 
Short-Term Investments 1.3%
Affiliated Investment Company 0.0%  ‡
NYLI U.S. Government Liquidity Fund, 4.88% (f) 233,342 233,342
Unaffiliated Investment Companies 0.1% 
BlackRock Liquidity FedFund, 4.943% (f)(g) 1,000,000 1,000,000
Invesco Government & Agency Portfolio, 4.917% (f)(g) 4,923,881 4,923,881
State Street Institutional U.S. Government Money Market Fund, 4.996% (f)(g) 1,000,000 1,000,000
    6,923,881
 

  Principal
Amount
  Value
 
U.S. Treasury Debt 1.2% 
U.S. Treasury Bills      
4.733%, due 12/19/24 (c)(h) $   55,500,000   $    54,951,329
Total Short-Term Investments
(Cost $62,087,760)
    62,108,552
Total Investments
(Cost $1,174,509,002)
100.1%   4,613,652,256
Other Assets, Less Liabilities (0.1)   (4,656,397)
 Net Assets 100.0%   $ 4,608,995,859
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
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, 2024, the aggregate market value of securities on loan was $8,503,071; the total market value of collateral held by the Portfolio was $8,711,486. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $1,787,605. The Portfolio received cash collateral with a value of $6,923,881.  
(c) Represents a security, or portion thereof, 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) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $4,248, which represented less than one-tenth of a percent of the Portfolio’s net assets.
(f) Current yield as of September 30, 2024.
(g) Represents a security purchased with cash collateral received for securities on loan.
(h) Interest rate shown represents yield to maturity.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 22 $ 18,569 $ (18,358) $ — $ — $ 233 $ 5 $ — 233
Futures Contracts
As of September 30, 2024, the Portfolio held the following futures contracts:
Type Number of
Contracts
Expiration
Date
Value at
Trade Date
Current
Notional
Amount
Unrealized
Appreciation
(Depreciation)1
Long Contracts          
S&P 500 E-Mini Index 188 December 2024  $ 53,582,318  $ 54,653,950  $ 1,071,632
    
1. Represents the difference between the value of the contracts at the time they were opened and the value as of September 30, 2024.
    
Abbreviation(s):
REIT—Real Estate Investment Trust

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 4,551,539,456            $ —   $ —    $ 4,551,539,456
Rights             —         4,248              4,248
Short-Term Investments              
Affiliated Investment Company        233,342            —            233,342
Unaffiliated Investment Companies      6,923,881            —          6,923,881
U.S. Treasury Debt             —    54,951,329         54,951,329
Total Short-Term Investments 7,157,223   54,951,329     62,108,552
Total Investments in Securities 4,558,696,679   54,955,577     4,613,652,256
Other Financial Instruments              
Futures Contracts (b)      1,071,632            —          1,071,632
Total Investments in Securities and Other Financial Instruments $ 4,559,768,311   $ 54,955,577   $ —   $ 4,614,723,888
    
(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.

NYLI VP Wellington Small Cap Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 96.7%
Aerospace & Defense 1.1% 
BWX Technologies, Inc.     23,395 $   2,543,036
Spirit AeroSystems Holdings, Inc., Class A (a)     60,845   1,978,071
    4,521,107
Automobile Components 1.4% 
Dana, Inc.     83,307      879,722
Goodyear Tire & Rubber Co. (The) (a)    192,228    1,701,218
Phinia, Inc.     44,453    2,046,171
Visteon Corp. (a)      8,286     789,159
    5,416,270
Banks 9.6% 
Bank OZK     47,936    2,060,769
Banner Corp.     33,112    1,972,151
Cadence Bank    135,531    4,316,662
Columbia Banking System, Inc.     84,272    2,200,342
CVB Financial Corp.     69,600    1,240,272
First Hawaiian, Inc.     90,913    2,104,636
First Interstate BancSystem, Inc., Class A 76,849 2,357,727
FNB Corp. 143,121 2,019,437
Home BancShares, Inc. 99,040 2,682,994
OFG Bancorp 42,038 1,888,347
Old National Bancorp 122,675 2,289,116
Pacific Premier Bancorp, Inc. 81,694 2,055,421
Prosperity Bancshares, Inc. 25,806 1,859,838
Sandy Spring Bancorp, Inc. 79,996 2,509,475
Stellar Bancorp, Inc. 64,351 1,666,047
United Community Banks, Inc. 57,215 1,663,812
Veritex Holdings, Inc. 69,981 1,841,900
WSFS Financial Corp. 31,722 1,617,505
    38,346,451
Biotechnology 7.0% 
ACADIA Pharmaceuticals, Inc. (a) 9,864 151,708
ADMA Biologics, Inc. (a) 18,811 376,032
Agios Pharmaceuticals, Inc. (a) 4,671 207,533
Akero Therapeutics, Inc. (a) 5,566 159,689
Alkermes plc (a) 14,008 392,084
Amicus Therapeutics, Inc. (a) 24,163 258,061
Apogee Therapeutics, Inc. (a)(b) 12,981 762,504
Arcellx, Inc. (a) 3,326 277,754
Arcutis Biotherapeutics, Inc. (a) 8,431 78,408
Ardelyx, Inc. (a) 18,762 129,270
Arrowhead Pharmaceuticals, Inc. (a) 9,820 190,213
Avidity Biosciences, Inc. (a) 28,777 1,321,728
Beam Therapeutics, Inc. (a)(b) 6,186 151,557
BioCryst Pharmaceuticals, Inc. (a) 17,104 129,990
Biohaven Ltd. (a) 6,175 308,565
Blueprint Medicines Corp. (a) 16,392 1,516,260

  Shares Value
Common Stocks
Biotechnology  
Bridgebio Pharma, Inc. (a)     11,039 $     281,053
CareDx, Inc. (a)      4,199      131,114
Catalyst Pharmaceuticals, Inc. (a)      9,452      187,906
Celldex Therapeutics, Inc. (a)     32,186    1,094,002
Cogent Biosciences, Inc. (a)      7,767       83,884
Crinetics Pharmaceuticals, Inc. (a)     28,434    1,452,977
Cytokinetics, Inc. (a)     21,163    1,117,406
Denali Therapeutics, Inc. (a)     10,215      297,563
Disc Medicine, Inc. (a)     10,739      527,714
Dynavax Technologies Corp. (a)     10,704      119,243
Dyne Therapeutics, Inc. (a)      6,609      237,395
Geron Corp. (a)    161,891      734,985
Halozyme Therapeutics, Inc. (a)     10,336      591,633
Ideaya Biosciences, Inc. (a)      6,680      211,622
Immunocore Holdings plc, ADR (a)(b)      6,833      212,711
Immunovant, Inc. (a)      4,545      129,578
Insmed, Inc. (a)(b) 25,118 1,833,614
Intellia Therapeutics, Inc. (a) 19,294 396,492
Iovance Biotherapeutics, Inc. (a) 20,540 192,871
Janux Therapeutics, Inc. (a) 2,300 104,489
Keros Therapeutics, Inc. (a) 2,371 137,684
Krystal Biotech, Inc. (a) 2,004 364,788
Kura Oncology, Inc. (a) 5,917 115,618
Kymera Therapeutics, Inc. (a) 3,645 172,518
Madrigal Pharmaceuticals, Inc. (a)(b) 1,433 304,111
MannKind Corp. (a) 21,342 134,241
Merus NV (a) 14,473 723,071
Mirum Pharmaceuticals, Inc. (a) 3,217 125,463
Myriad Genetics, Inc. (a) 6,977 191,100
Novavax, Inc. (a) 11,599 146,495
Nurix Therapeutics, Inc. (a) 34,704 779,799
Nuvalent, Inc., Class A (a)(b) 6,913 707,200
Protagonist Therapeutics, Inc. (a) 4,743 213,435
PTC Therapeutics, Inc. (a) 20,419 757,545
Recursion Pharmaceuticals, Inc., Class A (a)(b) 16,660 109,789
REVOLUTION Medicines, Inc. (a) 32,309 1,465,213
Rhythm Pharmaceuticals, Inc. (a) 4,397 230,359
Rocket Pharmaceuticals, Inc. (a) 22,840 421,855
Soleno Therapeutics, Inc. (a) 1,751 88,408
SpringWorks Therapeutics, Inc. (a) 5,544 177,630
Summit Therapeutics, Inc. (a)(b) 7,010 153,519
Syndax Pharmaceuticals, Inc. (a) 29,986 577,231
TG Therapeutics, Inc. (a)(b) 11,599 271,301
Twist Bioscience Corp. (a) 4,600 207,828
Vaxcyte, Inc. (a) 22,749 2,599,528
Vera Therapeutics, Inc. (a) 3,184 140,733
Veracyte, Inc. (a) 6,258 213,022

  Shares Value
Common Stocks
Biotechnology  
Vericel Corp. (a)      4,029 $     170,225
    28,049,317
Broadline Retail 0.3% 
Global-e Online Ltd. (a)     33,006   1,268,751
Building Products 1.1% 
AZEK Co., Inc. (The) (a)     52,999    2,480,353
Zurn Elkay Water Solutions Corp. (b)     52,641   1,891,918
    4,372,271
Capital Markets 0.6% 
PJT Partners, Inc., Class A (b)     16,834   2,244,646
Chemicals 2.5% 
Cabot Corp.     25,271    2,824,540
Mativ Holdings, Inc.    114,485    1,945,100
Minerals Technologies, Inc.     35,386    2,732,861
Sensient Technologies Corp.     33,139   2,658,410
    10,160,911
Commercial Services & Supplies 3.1% 
Brady Corp., Class A 41,439 3,175,470
Casella Waste Systems, Inc., Class A (a) 21,981 2,186,890
Interface, Inc. 144,553 2,742,170
Loomis AB 72,853 2,394,515
MillerKnoll, Inc. 78,576 1,945,542
    12,444,587
Communications Equipment 0.7% 
Infinera Corp. (a)(b) 399,858 2,699,041
Construction & Engineering 1.2% 
Ameresco, Inc., Class A (a)(b) 51,278 1,945,487
Fluor Corp. (a) 56,012 2,672,333
    4,617,820
Consumer Finance 2.7% 
Bread Financial Holdings, Inc. 47,349 2,252,866
Encore Capital Group, Inc. (a) 16,138 762,843
Enova International, Inc. (a) 39,253 3,289,009
Navient Corp. 121,363 1,892,049
PROG Holdings, Inc. 56,321 2,731,005
    10,927,772
Containers & Packaging 0.5% 
Greif, Inc., Class A 34,650 2,171,169

  Shares Value
Common Stocks
Diversified Consumer Services 2.2% 
Adtalem Global Education, Inc. (a)     35,224 $   2,658,708
European Wax Center, Inc., Class A (a)      9,913       67,408
H&R Block, Inc.     35,183    2,235,880
Laureate Education, Inc.    170,766    2,836,423
Stride, Inc. (a)     12,983   1,107,580
    8,905,999
Electric Utilities 0.6% 
Portland General Electric Co.     50,338   2,411,190
Electrical Equipment 0.6% 
Acuity Brands, Inc.      3,877    1,067,687
NEXTracker, Inc., Class A (a)     19,926      746,826
Shoals Technologies Group, Inc., Class A (a)     80,454     451,347
    2,265,860
Electronic Equipment, Instruments & Components 1.4% 
Fabrinet (a)      2,728      645,009
Novanta, Inc. (a)     12,484    2,233,637
TTM Technologies, Inc. (a) 142,796 2,606,027
    5,484,673
Energy Equipment & Services 2.5% 
Cactus, Inc., Class A 36,039 2,150,447
ChampionX Corp. 60,240 1,816,236
Helix Energy Solutions Group, Inc. (a) 180,604 2,004,705
Select Water Solutions, Inc. 217,447 2,420,185
Tidewater, Inc. (a) 24,784 1,779,243
    10,170,816
Financial Services 4.4% 
Federal Agricultural Mortgage Corp., Class C 11,371 2,131,039
HA Sustainable Infrastructure Capital, Inc. 40,986 1,412,787
NMI Holdings, Inc. (a) 63,669 2,622,526
Radian Group, Inc. 79,916 2,772,286
Remitly Global, Inc. (a) 176,880 2,368,423
Repay Holdings Corp. (a)(b) 476,917 3,891,643
Shift4 Payments, Inc., Class A (a)(b) 28,168 2,495,685
    17,694,389
Food Products 0.8% 
Freshpet, Inc. (a) 23,325 3,190,160
Gas Utilities 1.6% 
New Jersey Resources Corp. 52,524 2,479,133
Spire, Inc. 32,673 2,198,566
UGI Corp. 76,802 1,921,586
    6,599,285

  Shares Value
Common Stocks
Ground Transportation 1.1% 
Marten Transport Ltd.     92,260 $   1,633,002
Ryder System, Inc.     19,670   2,867,886
    4,500,888
Health Care Equipment & Supplies 4.9% 
Artivion, Inc. (a)    112,755    3,001,538
Glaukos Corp. (a)     14,554    1,896,095
Inspire Medical Systems, Inc. (a)      8,067    1,702,540
Integra LifeSciences Holdings Corp. (a)     93,262    1,694,571
Omnicell, Inc. (a)     56,982    2,484,415
PROCEPT BioRobotics Corp. (a)     51,966    4,163,516
SI-BONE, Inc. (a)     85,356    1,193,277
TransMedics Group, Inc. (a)(b)      8,631    1,355,067
Varex Imaging Corp. (a)    195,732   2,333,126
    19,824,145
Health Care Providers & Services 1.6% 
Acadia Healthcare Co., Inc. (a)     17,504    1,109,929
Hims & Hers Health, Inc. (a) 230,700 4,249,494
Progyny, Inc. (a) 57,413 962,242
    6,321,665
Health Care REITs 0.8% 
CareTrust REIT, Inc. 104,202 3,215,674
Health Care Technology 0.5% 
Veradigm, Inc. (a)(b) 200,062 1,940,601
Hotel & Resort REITs 1.0% 
Pebblebrook Hotel Trust 142,075 1,879,652
Ryman Hospitality Properties, Inc. 18,739 2,009,571
    3,889,223
Hotels, Restaurants & Leisure 3.0% 
Cracker Barrel Old Country Store, Inc. (b) 27,412 1,243,134
Dutch Bros, Inc., Class A (a) 22,884 732,975
Genius Sports Ltd. (a) 192,591 1,509,913
Hilton Grand Vacations, Inc. (a) 59,517 2,161,658
Monarch Casino & Resort, Inc. 28,238 2,238,426
Papa John's International, Inc. 46,666 2,513,897
Wingstop, Inc. 4,145 1,724,652
    12,124,655
Household Durables 2.7% 
Champion Homes, Inc. (a) 69,078 6,552,048
Helen of Troy Ltd. (a)(b) 33,452 2,069,006
Leggett & Platt, Inc. 159,454 2,171,764
    10,792,818

  Shares Value
Common Stocks
Household Products 0.5% 
Energizer Holdings, Inc.     63,933 $   2,030,512
Insurance 2.1% 
Kemper Corp.     31,393    1,922,821
Lancashire Holdings Ltd.    240,695    2,210,747
ProAssurance Corp. (a)    127,730    1,921,059
SiriusPoint Ltd. (a)    168,048   2,409,808
    8,464,435
Interactive Media & Services 0.7% 
Taboola.com Ltd. (a)    607,378    2,040,790
Ziff Davis, Inc. (a)     14,314     696,519
    2,737,309
Leisure Products 0.9% 
Malibu Boats, Inc., Class A (a)     55,763    2,164,162
Sturm Ruger & Co., Inc.     30,681   1,278,784
    3,442,946
Machinery 2.8% 
Blue Bird Corp. (a) 67,108 3,218,500
Greenbrier Cos., Inc. (The) 51,903 2,641,344
Kennametal, Inc. 89,049 2,309,040
Middleby Corp. (The) (a) 7,325 1,019,127
REV Group, Inc. 69,631 1,953,846
    11,141,857
Media 1.9% 
Criteo SA, Sponsored ADR (a) 41,465 1,668,551
Magnite, Inc. (a) 245,153 3,395,369
National CineMedia, Inc. (a)(b) 341,295 2,406,130
    7,470,050
Metals & Mining 0.9% 
Kaiser Aluminum Corp. 24,970 1,810,825
Ramaco Resources, Inc., Class A 165,966 1,941,802
    3,752,627
Mortgage Real Estate Investment Trusts 0.5% 
Rithm Capital Corp. 163,780 1,858,903
Office REITs 0.5% 
Piedmont Office Realty Trust, Inc., Class A 214,468 2,166,127
Oil, Gas & Consumable Fuels 1.6% 
Civitas Resources, Inc. 29,816 1,510,777
PBF Energy, Inc., Class A (b) 48,207 1,492,006

  Shares Value
Common Stocks
Oil, Gas & Consumable Fuels  
Viper Energy, Inc.     78,034 $   3,520,114
    6,522,897
Personal Care Products 1.1% 
BellRing Brands, Inc. (a)     25,500    1,548,360
Edgewell Personal Care Co.     42,854    1,557,314
elf Beauty, Inc. (a)     11,337   1,236,073
    4,341,747
Pharmaceuticals 1.5% 
Amneal Pharmaceuticals, Inc. (a)     13,103      109,017
Amphastar Pharmaceuticals, Inc. (a)      3,129      151,850
ANI Pharmaceuticals, Inc. (a)      1,488       88,774
Arvinas, Inc. (a)      5,182      127,633
Avadel Pharmaceuticals plc, ADR (a)      7,652      100,356
Axsome Therapeutics, Inc. (a)      2,964      266,375
Cassava Sciences, Inc. (a)(b)      3,261       95,971
Collegium Pharmaceutical, Inc. (a)      2,585       99,885
Corcept Therapeutics, Inc. (a) 6,488 300,265
Edgewise Therapeutics, Inc. (a) 5,873 156,750
Harmony Biosciences Holdings, Inc. (a) 2,481 99,240
Harrow, Inc. (a) 2,492 112,040
Innoviva, Inc. (a) 4,468 86,277
Intra-Cellular Therapies, Inc. (a) 11,484 840,284
Ligand Pharmaceuticals, Inc. (a) 1,378 137,924
Longboard Pharmaceuticals, Inc. (a) 15,988 532,880
Ocular Therapeutix, Inc. (a) 12,471 108,498
Pacira BioSciences, Inc. (a) 62,484 940,384
Prestige Consumer Healthcare, Inc. (a) 4,046 291,717
Structure Therapeutics, Inc., ADR (a) 10,349 454,218
Supernus Pharmaceuticals, Inc. (a) 4,122 128,524
Tarsus Pharmaceuticals, Inc. (a)(b) 3,162 103,998
Verona Pharma plc, ADR (a) 18,351 527,958
    5,860,818
Professional Services 2.4% 
ExlService Holdings, Inc. (a) 68,883 2,627,886
Maximus, Inc. 26,861 2,502,371
TriNet Group, Inc. 12,499 1,212,028
Verra Mobility Corp. (a) 113,641 3,160,356
    9,502,641
Real Estate Management & Development 0.6% 
Marcus & Millichap, Inc. 56,419 2,235,885
Residential REITs 0.6% 
Independence Realty Trust, Inc. (b) 121,593 2,492,657

  Shares Value
Common Stocks
Retail REITs 0.7% 
Macerich Co. (The)    159,000 $   2,900,160
Semiconductors & Semiconductor Equipment 2.4% 
Ichor Holdings Ltd. (a)     51,102    1,625,555
MKS Instruments, Inc.      9,014      979,912
Silicon Motion Technology Corp., ADR     30,517    1,853,602
SiTime Corp. (a)      6,925    1,187,707
Synaptics, Inc. (a)      9,245      717,227
Tower Semiconductor Ltd. (a)     70,404   3,116,081
    9,480,084
Software 7.4% 
Adeia, Inc.    147,063    1,751,520
Agilysys, Inc. (a)     25,751    2,806,087
AvePoint, Inc. (a)    164,461    1,935,706
Clearwater Analytics Holdings, Inc., Class A (a)     68,455    1,728,489
CyberArk Software Ltd. (a)      8,858    2,583,082
Docebo, Inc. (a)     54,375    2,403,375
Intapp, Inc. (a) 18,163 868,736
InterDigital, Inc. (b) 15,083 2,136,205
Jamf Holding Corp. (a) 63,129 1,095,288
Manhattan Associates, Inc. (a) 4,311 1,213,029
NCR Voyix Corp. (a)(b) 162,562 2,205,967
SEMrush Holdings, Inc., Class A (a) 149,223 2,344,293
SentinelOne, Inc., Class A (a) 14,700 351,624
SolarWinds Corp. 162,153 2,116,097
Verint Systems, Inc. (a) 77,710 1,968,394
Xperi, Inc. (a) 251,717 2,325,865
    29,833,757
Specialty Retail 1.2% 
Abercrombie & Fitch Co., Class A (a) 7,548 1,055,965
Boot Barn Holdings, Inc. (a) 10,508 1,757,778
Upbound Group, Inc. 59,600 1,906,604
    4,720,347
Textiles, Apparel & Luxury Goods 1.8% 
Carter's, Inc. 23,216 1,508,576
Crocs, Inc. (a) 8,557 1,239,139
Kontoor Brands, Inc. 25,024 2,046,463
Steven Madden Ltd. 53,264 2,609,403
    7,403,581
Trading Companies & Distributors 3.1% 
Air Lease Corp. 46,309 2,097,334
Applied Industrial Technologies, Inc. 13,751 3,068,261
MRC Global, Inc. (a) 272,409 3,470,491
Rush Enterprises, Inc., Class A 30,105 1,590,447

  Shares   Value
Common Stocks
Trading Companies & Distributors  
Xometry, Inc., Class A (a)(b)    126,855   $   2,330,326
      12,556,859
Total Common Stocks
(Cost $334,867,549)
    387,488,353
Exchange-Traded Funds 2.1%
iShares Russell 2000 ETF (b)      2,984        659,136
iShares Russell 2000 Growth ETF (b)      3,784      1,074,656
iShares Russell 2000 Value ETF (b)     38,458     6,415,563
Total Exchange-Traded Funds
(Cost $7,774,165)
    8,149,355
Short-Term Investments 4.7%
Affiliated Investment Company 1.1% 
NYLI U.S. Government Liquidity Fund, 4.88% (c)  4,326,590     4,326,590
Unaffiliated Investment Company 3.6% 
Invesco Government & Agency Portfolio, 4.917% (c)(d) 14,492,626    14,492,626
Total Short-Term Investments
(Cost $18,819,216)
    18,819,216
Total Investments
(Cost $361,460,930)
103.5%   414,456,924
Other Assets, Less Liabilities (3.5)   (13,837,189)
Net Assets 100.0%   $ 400,619,735
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $19,239,227; the total market value of collateral held by the Portfolio was $19,820,872. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $5,328,246. The Portfolio received cash collateral with a value of $14,492,626.  
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 9,754 $ 85,603 $ (91,030) $ — $ — $ 4,327 $ 275 $ — 4,327

Futures Contracts
As of September 30, 2024, 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          
Russell 2000 E-Mini Index 31 December 2024  $ 3,419,878  $ 3,486,260  $ 66,382
    
1. As of September 30, 2024, cash in the amount of $259,160 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, 2024.
Abbreviation(s):
ADR—American Depositary Receipt
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, 2024, 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  $ 387,488,353   $ —   $ —    $ 387,488,353
Exchange-Traded Funds    8,149,355          8,149,355
Short-Term Investments              
Affiliated Investment Company    4,326,590          4,326,590
Unaffiliated Investment Company   14,492,626         14,492,626
Total Short-Term Investments 18,819,216       18,819,216
Total Investments in Securities 414,456,924       414,456,924
Other Financial Instruments (b)              
Futures Contracts       66,382             66,382
Total Investments in Securities and Other Financial Instruments $ 414,523,306   $ —   $ —   $ 414,523,306
    
(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.

NYLI VP MacKay Strategic Bond Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 97.8%
Asset-Backed Securities 12.5%
Automobile Asset-Backed Securities 7.5% 
Ally Bank Auto Credit-Linked Notes  
Series 2024-A, Class G                       
12.748%, due 5/17/32 (a) $    1,525,595 $   1,556,197
American Credit Acceptance Receivables Trust (a)  
Series 2021-2, Class D                       
1.34%, due 7/13/27     765,103      758,141
Series 2021-4, Class E                       
3.12%, due 2/14/28 1,600,000 1,580,753
Bridgecrest Lending Auto Securitization Trust  
Series 2023-1, Class D    
7.84%, due 8/15/29 2,715,000 2,885,893
CarMax Auto Owner Trust  
Series 2024-1, Class D    
6.00%, due 7/15/30 1,300,000 1,333,837
DT Auto Owner Trust (a)  
Series 2021-3A, Class D    
1.31%, due 5/17/27 2,330,000 2,262,917
Series 2021-4A, Class D    
1.99%, due 9/15/27 1,375,000 1,323,330
Series 2021-3A, Class E    
2.65%, due 9/15/28 905,000 875,865
Exeter Automobile Receivables Trust (a)  
Series 2021-1A, Class E    
2.21%, due 2/15/28 1,500,000 1,459,662
Series 2021-3A, Class E    
3.04%, due 12/15/28 3,825,000 3,674,197
Series 2022-1A, Class E    
5.02%, due 10/15/29 1,270,000 1,234,839
Series 2022-2A, Class E    
6.34%, due 10/15/29 2,825,000 2,811,241
Series 2022-5A, Class E    
10.45%, due 4/15/30 2,190,000 2,366,640
Flagship Credit Auto Trust (a)  
Series 2021-4, Class C    
1.96%, due 12/15/27 1,340,000 1,295,943
Series 2021-4, Class D    
2.26%, due 12/15/27 2,765,000 2,603,272
Series 2020-1, Class D    
2.48%, due 3/16/26 437,794 434,567
Series 2020-1, Class E    
3.52%, due 6/15/27 2,460,000 2,424,221
Series 2022-1, Class D    
3.64%, due 3/15/28 985,000 952,302
Series 2019-2, Class E    
4.52%, due 12/15/26 1,068,908 1,067,378
Series 2020-3, Class E    
4.98%, due 12/15/27 1,295,000 1,289,309

  Principal
Amount
Value
Asset-Backed Securities
Automobile Asset-Backed Securities  
Flagship Credit Auto Trust (a)  
Series 2022-2, Class D                       
5.80%, due 4/17/28 $    1,995,000 $   1,895,447
Ford Credit Auto Owner Trust  
Series 2023-2, Class B                       
5.92%, due 2/15/36 (a)   1,405,000    1,470,381
GLS Auto Receivables Issuer Trust (a)  
Series 2021-3A, Class D                       
1.48%, due 7/15/27 2,620,000 2,540,542
Series 2021-4A, Class D    
2.48%, due 10/15/27 2,285,000 2,215,664
Series 2021-3A, Class E    
3.20%, due 10/16/28 2,780,000 2,664,161
Series 2022-3A, Class E    
8.35%, due 10/15/29 685,000 708,931
Huntington Bank Auto Credit-Linked Notes  
Series 2024-1, Class E    
13.595% (SOFR 30A + 8.25%), due 5/20/32 (a)(b) 1,075,654 1,082,216
Santander Bank Auto Credit-Linked Notes  
Series 2023-B, Class F    
12.24%, due 12/15/33 (a) 1,024,636 1,060,836
    47,828,682
Other Asset-Backed Securities 5.0% 
AGL CLO 32 Ltd.  
Series 2024-32A, Class A1    
6.645% (3 Month SOFR + 1.38%), due 7/21/37 (a)(b) 1,250,000 1,254,794
American Airlines Pass-Through Trust  
Series 2016-2, Class A    
3.65%, due 6/15/28 1,305,956 1,217,534
Series 2019-1, Class B    
3.85%, due 2/15/28 938,840 888,192
Series 2021-1, Class B    
3.95%, due 7/11/30 1,230,000 1,160,293
Series 2015-2, Class A    
4.00%, due 9/22/27 298,658 284,963
Auxilior Term Funding LLC  
Series 2023-1A, Class D    
7.27%, due 12/16/30 (a) 955,000 981,024
Avant Loans Funding Trust  
Series 2022-REV1, Class D    
11.02%, due 9/15/31 (a) 1,345,000 1,368,605
CF Hippolyta Issuer LLC (a)  
Series 2020-1, Class A1    
1.69%, due 7/15/60 1,358,173 1,314,187
Series 2021-1A, Class B1    
1.98%, due 3/15/61 5,579,289 5,135,441

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
CF Hippolyta Issuer LLC (a)  
Series 2020-1, Class A2                       
1.99%, due 7/15/60 $    1,299,375 $   1,177,797
Series 2020-1, Class B1                       
2.28%, due 7/15/60   1,300,608    1,245,183
Golub Capital Partners CLO 76 B Ltd.  
Series 2024-76A, Class A1                       
6.112% (3 Month SOFR + 1.37%), due 10/25/37 (a)(b)   1,100,000    1,099,725
Home Partners of America Trust  
Series 2021-2, Class B    
2.302%, due 12/17/26 (a) 749,494 709,249
Ivy Hill Middle Market Credit Fund VII Ltd.  
Series 7A, Class AR3    
6.831% (3 Month SOFR + 1.60%), due 10/15/36 (a)(b) 750,000 750,386
Navient Private Education Refi Loan Trust (a)  
Series 2020-GA, Class B    
2.50%, due 9/16/69 1,485,000 1,221,817
Series 2020-HA, Class B    
2.78%, due 1/15/69 840,000 720,340
OCP CLO Ltd.  
Series 2017-14A, Class A1R    
6.111% (3 Month SOFR + 1.37%), due 7/20/37 (a)(b) 1,050,000 1,050,856
Rad CLO 25 Ltd.  
Series 2024-25A, Class A1    
6.781% (3 Month SOFR + 1.46%), due 7/20/37 (a)(b) 650,000 650,628
Regatta XI Funding Ltd.  
Series 2018-1A, Class AR    
6.702% (3 Month SOFR + 1.40%), due 7/17/37 (a)(b) 1,100,000 1,104,244
Signal Peak CLO 12 Ltd.  
Series 2022-12A, Class A1R    
6.671% (3 Month SOFR + 1.40%), due 7/18/37 (a)(b) 845,000 849,633
Silver Point Scf CLO I Ltd.  
Series 2021-1A, Class A2R    
6.798% (3 Month SOFR + 1.95%), due 10/15/36 (a)(b) 700,000 700,121
Stifel SBA IO Trust  
Series 2024-1A, Class A2    
1.268%, due 6/25/50 (a)(c)(d) 27,764,965 1,080,224
Subway Funding LLC  
Series 2024-3A, Class A23    
5.914%, due 7/30/54 (a) 1,800,000 1,801,413
Synchrony Card Funding LLC  
Series 2023-A2, Class A    
5.74%, due 10/15/29 1,155,000 1,188,545
Tricon American Homes  
Series 2020-SFR1, Class C    
2.249%, due 7/17/38 (a) 1,780,000 1,705,399

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
U.S. Airways Pass-Through Trust  
Series 2012-1, Class A                       
5.90%, due 10/1/24 $      588,388 $     588,393
United Airlines Pass-Through Trust  
Series 2020-1, Class A                       
5.875%, due 10/15/27   1,121,569   1,144,472
    32,393,458
Total Asset-Backed Securities
(Cost $80,380,572)
  80,222,140
Corporate Bonds 40.4%
Aerospace & Defense 0.3% 
Boeing Co. (The) (a)    
6.528%, due 5/1/34 890,000 955,206
6.858%, due 5/1/54 935,000 1,026,265
    1,981,471
Agriculture 0.1% 
BAT International Finance plc    
4.448%, due 3/16/28 650,000 650,439
Airlines 1.3% 
American Airlines, Inc. (a)    
5.50%, due 4/20/26 956,667 953,938
5.75%, due 4/20/29 3,255,000 3,249,605
Delta Air Lines, Inc. (a)    
4.50%, due 10/20/25 491,880 488,887
4.75%, due 10/20/28 2,245,000 2,242,341
Mileage Plus Holdings LLC    
6.50%, due 6/20/27 (a) 1,127,500 1,141,520
    8,076,291
Apparel 0.1% 
Tapestry, Inc.    
7.85%, due 11/27/33 695,000 753,600
Auto Manufacturers 2.4% 
Ford Motor Credit Co. LLC    
2.30%, due 2/10/25 (e) 1,085,000 1,072,857
4.125%, due 8/17/27 1,380,000 1,344,131
6.80%, due 5/12/28 2,175,000 2,278,655
6.95%, due 3/6/26 1,150,000 1,176,971
7.20%, due 6/10/30 965,000 1,039,650
General Motors Financial Co., Inc.    
2.35%, due 1/8/31 908,000 777,223
2.70%, due 6/10/31 2,255,000 1,943,201

  Principal
Amount
Value
Corporate Bonds
Auto Manufacturers  
General Motors Financial Co., Inc.    
4.30%, due 4/6/29 $    1,400,000 $   1,370,501
Nissan Motor Acceptance Co. LLC    
1.85%, due 9/16/26 (a)   5,030,000   4,714,090
    15,717,279
Banks 12.5% 
Akbank TAS    
Series Reg S                       
9.369% (5 Year Treasury Constant Maturity Rate + 5.27%), due 3/14/29 (b)(f) 825,000 854,627
Banco Santander SA    
4.175% (1 Year Treasury Constant Maturity Rate + 2.00%), due 3/24/28 (b) 3,000,000 2,971,342
6.35%, due 3/14/34 1,200,000 1,285,006
Bank of America Corp.    
2.087%, due 6/14/29 (g) 920,000 849,578
2.687%, due 4/22/32 (g) 2,520,000 2,247,510
3.384%, due 4/2/26 (g) 2,185,000 2,167,538
Series MM    
4.30%, due 1/28/25 (f)(g) 711,000 704,839
8.57%, due 11/15/24 455,000 456,218
Bank of Georgia JSC    
Series Reg S    
9.50% (5 Year SOFR + 5.618%), due 7/16/29 (b)(f) 775,000 758,539
Barclays plc (b)(f)    
4.375% (5 Year Treasury Constant Maturity Rate + 3.41%), due 3/15/28 2,340,000 2,094,443
8.00% (5 Year Treasury Constant Maturity Rate + 5.431%), due 3/15/29 745,000 784,553
BNP Paribas SA (a)    
3.052%, due 1/13/31 (g) 1,720,000 1,587,034
4.625% (5 Year Treasury Constant Maturity Rate + 3.196%), due 1/12/27 (b)(f) 1,600,000 1,516,199
4.625% (5 Year Treasury Constant Maturity Rate + 3.34%), due 2/25/31 (b)(f) 1,135,000 988,411
BPCE SA (a)(g)    
2.045%, due 10/19/27 1,370,000 1,299,037
6.714%, due 10/19/29 700,000 748,008
Citigroup, Inc.    
2.52%, due 11/3/32 (e)(g) 1,465,000 1,271,495
5.50%, due 9/13/25 2,710,000 2,726,518
Comerica, Inc.    
5.982%, due 1/30/30 (g) 1,680,000 1,731,887
Credit Agricole SA    
4.75% (5 Year Treasury Constant Maturity Rate + 3.237%), due 3/23/29 (a)(b)(f) 1,745,000 1,612,054
Deutsche Bank AG    
3.035%, due 5/28/32 (e)(g) 640,000 570,025
4.875% (USISDA05 + 2.553%), due 12/1/32 (b) 4,285,000 4,227,325
Fifth Third Bank NA    
3.85%, due 3/15/26 1,375,000 1,360,345
First Horizon Bank    
5.75%, due 5/1/30 1,795,000 1,822,561

  Principal
Amount
Value
Corporate Bonds
Banks  
Goldman Sachs Group, Inc. (The)    
1.948%, due 10/21/27 (g) $    1,555,000 $   1,482,402
6.75%, due 10/1/37 (e)   1,828,000    2,104,922
Intesa Sanpaolo SpA    
4.198% (1 Year Treasury Constant Maturity Rate + 2.60%), due 6/1/32 (a)(b)   2,515,000    2,241,441
KeyCorp    
6.401%, due 3/6/35 (g)   1,985,000    2,158,208
Lloyds Banking Group plc    
4.582%, due 12/10/25 2,500,000 2,491,172
4.976% (1 Year Treasury Constant Maturity Rate + 2.30%), due 8/11/33 (b) 1,095,000 1,105,910
Macquarie Group Ltd.    
2.871%, due 1/14/33 (a)(g) 2,065,000 1,793,644
Morgan Stanley    
2.484%, due 9/16/36 (g) 2,895,000 2,422,387
5.00%, due 11/24/25 (e) 2,190,000 2,200,744
NatWest Group plc (b)    
3.073% (1 Year Treasury Constant Maturity Rate + 2.55%), due 5/22/28 2,055,000 1,985,417
4.60% (5 Year Treasury Constant Maturity Rate + 3.10%), due 6/28/31 (f) 2,740,000 2,351,081
5.847% (1 Year Treasury Constant Maturity Rate + 1.35%), due 3/2/27 (e) 1,665,000 1,694,563
Santander Holdings USA, Inc. (g)    
6.342%, due 5/31/35 1,085,000 1,138,159
6.499%, due 3/9/29 1,270,000 1,329,909
Societe Generale SA (a)(b)(f)    
4.75% (5 Year Treasury Constant Maturity Rate + 3.931%), due 5/26/26 1,540,000 1,442,077
5.375% (5 Year Treasury Constant Maturity Rate + 4.514%), due 11/18/30 1,745,000 1,496,285
Synchrony Bank    
5.40%, due 8/22/25 1,970,000 1,974,152
UBS Group AG (a)    
3.091%, due 5/14/32 (g) 895,000 807,069
4.375% (5 Year Treasury Constant Maturity Rate + 3.313%), due 2/10/31 (b)(f) 2,715,000 2,363,928
4.751% (1 Year Treasury Constant Maturity Rate + 1.75%), due 5/12/28 (b) 590,000 593,769
5.617% (1 Year SOFR + 1.34%), due 9/13/30 (b) 1,565,000 1,635,264
6.442%, due 8/11/28 (g) 830,000 873,163
Wells Fargo & Co.    
3.00%, due 10/23/26 1,640,000 1,602,868
3.35%, due 3/2/33 (g) 1,510,000 1,380,405
5.557%, due 7/25/34 (g) 395,000 414,422
Series U    
5.875%, due 6/15/25 (f)(h) 595,000 596,771
Westpac Banking Corp.    
3.02% (5 Year Treasury Constant Maturity Rate + 1.53%), due 11/18/36 (b) 1,825,000 1,583,908
    79,899,132
Building Materials 0.4% 
CEMEX Materials LLC    
7.70%, due 7/21/25 (a) 2,645,000 2,707,819

  Principal
Amount
Value
Corporate Bonds
Chemicals 0.7% 
Alpek SAB de CV    
3.25%, due 2/25/31 (a) $    1,085,000 $     961,405
Sasol Financing USA LLC    
8.75%, due 5/3/29 (a)   1,945,000    2,057,034
SK Invictus Intermediate II SARL    
5.00%, due 10/30/29 (a)(e)   1,560,000   1,497,619
    4,516,058
Commercial Services 0.9% 
Ashtead Capital, Inc.    
4.25%, due 11/1/29 (a) 1,960,000 1,906,625
DP World Salaam    
Series Reg S    
6.00% (5 Year Treasury Constant Maturity Rate + 5.75%), due 10/1/25 (b)(f) 3,700,000 3,695,560
    5,602,185
Diversified Financial Services 3.5% 
AerCap Ireland Capital DAC    
3.00%, due 10/29/28 2,200,000 2,078,201
Air Lease Corp.    
2.30%, due 2/1/25 1,820,000 1,801,963
Ally Financial, Inc.    
5.75%, due 11/20/25 3,570,000 3,585,423
8.00%, due 11/1/31 2,010,000 2,275,557
Avolon Holdings Funding Ltd. (a)    
3.25%, due 2/15/27 2,340,000 2,257,417
5.75%, due 11/15/29 1,505,000 1,553,337
Banco BTG Pactual SA    
2.75%, due 1/11/26 (a) 1,545,000 1,497,926
Capital One Financial Corp. (g)    
6.051%, due 2/1/35 (e) 635,000 672,365
6.312%, due 6/8/29 1,875,000 1,975,022
Macquarie Airfinance Holdings Ltd.    
6.40%, due 3/26/29 (a) 1,570,000 1,634,046
Nomura Holdings, Inc.    
5.099%, due 7/3/25 1,985,000 1,988,240
OneMain Finance Corp.    
3.50%, due 1/15/27 (e) 1,175,000 1,123,090
    22,442,587
Electric 3.4% 
Adani Electricity Mumbai Ltd.    
Series Reg S    
3.949%, due 2/12/30 1,550,000 1,398,734
AEP Texas, Inc.    
4.70%, due 5/15/32 (e) 1,460,000 1,465,193
AES Andes SA    
Series Reg S    
8.15% (5 Year Treasury Constant Maturity Rate + 3.835%), due 6/10/55 (b) 700,000 722,605

  Principal
Amount
Value
Corporate Bonds
Electric  
Alpha Generation LLC    
6.75%, due 10/15/32 (a) $    1,155,000 $   1,171,283
American Electric Power Co., Inc.    
5.625%, due 3/1/33   1,850,000    1,951,838
Appalachian Power Co.    
5.65%, due 4/1/34     805,000      846,481
Aydem Yenilenebilir Enerji A/S    
7.75%, due 2/2/27 (a)   1,045,000    1,041,002
Banco Actinver SA Institucion de Banca Multiple    
7.25%, due 1/31/41 (a) 400,000 417,080
Calpine Corp.    
5.125%, due 3/15/28 (a) 1,260,000 1,242,476
EnfraGen Energia Sur SA    
5.375%, due 12/30/30 (a) 1,275,000 1,098,436
FirstEnergy Transmission LLC    
4.35%, due 1/15/25 (a) 1,675,000 1,672,443
IPALCO Enterprises, Inc.    
5.75%, due 4/1/34 1,465,000 1,534,632
Kentucky Power Co.    
7.00%, due 11/15/33 (a) 1,205,000 1,335,540
Pacific Gas and Electric Co.    
3.50%, due 8/1/50 (e) 2,460,000 1,781,492
Sempra    
4.125% (5 Year Treasury Constant Maturity Rate + 2.868%), due 4/1/52 (b) 2,935,000 2,790,626
Vistra Operations Co. LLC    
6.875%, due 4/15/32 (a)(e) 1,505,000 1,583,152
WEC Energy Group, Inc.    
7.492% (3 Month SOFR + 2.374%), due 5/15/67 (b) 340 329
    22,053,342
Engineering & Construction 0.1% 
Great Lakes Dredge & Dock Corp.    
5.25%, due 6/1/29 (a) 650,000 604,210
Environmental Control 0.1% 
Reworld Holding Corp.    
4.875%, due 12/1/29 (a) 1,025,000 964,874
Food 0.5% 
JBS USA Holding LUX SARL    
5.75%, due 4/1/33 1,663,000 1,723,001
Smithfield Foods, Inc.    
3.00%, due 10/15/30 (a) 2,005,000 1,797,063
    3,520,064
Forest Products & Paper 0.3% 
Suzano Austria GmbH    
3.75%, due 1/15/31 1,880,000 1,732,438

  Principal
Amount
Value
Corporate Bonds
Gas 1.1% 
Brooklyn Union Gas Co. (The)    
6.388%, due 9/15/33 (a) $    1,300,000 $   1,415,562
National Fuel Gas Co.    
2.95%, due 3/1/31   1,195,000    1,054,764
5.50%, due 10/1/26   2,120,000    2,163,379
Piedmont Natural Gas Co., Inc.    
5.05%, due 5/15/52   1,330,000    1,279,401
Southern Co. Gas Capital Corp.    
Series 21A    
3.15%, due 9/30/51 2,010,000 1,388,927
    7,302,033
Healthcare-Services 0.2% 
Prime Healthcare Services, Inc.    
9.375%, due 9/1/29 (a)(e) 980,000 1,010,854
Home Furnishings 0.1% 
Vestel Elektronik Sanayi ve Ticaret A/S    
Series Reg S    
9.75%, due 5/15/29 723,000 731,387
Insurance 1.0% 
Athene Global Funding    
5.526%, due 7/11/31 (a) 1,280,000 1,315,522
Lincoln National Corp.    
7.721% (3 Month SOFR + 2.619%), due 5/17/66 (b) 6,418,000 5,104,877
    6,420,399
Internet 0.3% 
Prosus NV    
Series Reg S    
4.987%, due 1/19/52 2,200,000 1,857,729
Investment Companies 0.4% 
GACI First Investment Co.    
Series Reg S    
5.375%, due 1/29/54 2,408,000 2,257,982
Iron & Steel 0.4% 
Eregli Demir ve Celik Fabrikalari TAS    
8.375%, due 7/23/29 (a) 1,450,000 1,493,326
Metinvest BV    
Series Reg S    
8.50%, due 4/23/26 1,125,000 880,996
    2,374,322

  Principal
Amount
Value
Corporate Bonds
Lodging 0.7% 
Fortune Star BVI Ltd.    
Series Reg S                       
5.95%, due 10/19/25 $    1,800,000 $   1,759,500
Melco Resorts Finance Ltd.    
Series Reg S                       
5.625%, due 7/17/27   1,050,000    1,021,875
Studio City Finance Ltd.    
6.50%, due 1/15/28 (a)   1,860,000   1,819,058
    4,600,433
Machinery—Construction & Mining 0.2% 
Terex Corp.    
6.25%, due 10/15/32 (a) 1,270,000 1,270,000
Media 0.3% 
Charter Communications Operating LLC    
6.10%, due 6/1/29 1,400,000 1,449,084
Globo Comunicacao e Participacoes SA    
Series Reg S    
5.50%, due 1/14/32 750,000 701,886
    2,150,970
Mining 0.8% 
Freeport Indonesia PT    
Series Reg S    
5.315%, due 4/14/32 1,180,000 1,199,742
Perenti Finance Pty. Ltd.    
7.50%, due 4/26/29 (a) 1,000,000 1,041,299
Vedanta Resources Finance II plc    
10.875%, due 9/17/29 (a) 1,200,000 1,218,924
WE Soda Investments Holding plc    
9.375%, due 2/14/31 (a) 1,875,000 1,947,328
    5,407,293
Miscellaneous—Manufacturing 0.4% 
Textron Financial Corp.    
7.115% (3 Month SOFR + 1.997%), due 2/15/42 (a)(b) 3,055,000 2,739,234
Oil & Gas 0.7% 
Energean Israel Finance Ltd. (a)    
Series Reg S    
4.875%, due 3/30/26 800,000 762,248
Series Reg S    
5.375%, due 3/30/28 770,000 692,199
Gazprom PJSC Via Gaz Capital SA    
7.288%, due 8/16/37 (a)(i) 920,000 593,400

  Principal
Amount
Value
Corporate Bonds
Oil & Gas  
KazMunayGas National Co. JSC    
Series Reg S                       
5.375%, due 4/24/30 $      736,000 $     741,594
Tullow Oil plc    
Series Reg S                       
10.25%, due 5/15/26   1,600,000   1,452,246
    4,241,687
Packaging & Containers 0.2% 
Berry Global, Inc.    
4.875%, due 7/15/26 (a) 78,000 77,875
Owens-Brockway Glass Container, Inc.    
6.625%, due 5/13/27 (a) 943,000 947,435
    1,025,310
Pharmaceuticals 0.6% 
Bayer US Finance LLC    
6.875%, due 11/21/53 (a) 1,020,000 1,143,073
Teva Pharmaceutical Finance Netherlands III BV    
3.15%, due 10/1/26 10,000 9,612
4.75%, due 5/9/27 2,855,000 2,814,772
    3,967,457
Pipelines 4.1% 
Cheniere Corpus Christi Holdings LLC    
2.742%, due 12/31/39 1,825,000 1,515,084
CNX Midstream Partners LP    
4.75%, due 4/15/30 (a) 2,715,000 2,538,694
DCP Midstream Operating LP    
3.25%, due 2/15/32 2,490,000 2,206,686
DT Midstream, Inc.    
4.30%, due 4/15/32 (a) 1,660,000 1,553,304
Energy Transfer LP    
Series H    
6.50% (5 Year Treasury Constant Maturity Rate + 5.694%), due 11/15/26 (b)(f) 3,435,000 3,426,783
EnLink Midstream LLC    
5.625%, due 1/15/28 (a)(e) 785,000 803,495
Flex Intermediate Holdco LLC    
3.363%, due 6/30/31 (a) 2,310,000 2,024,155
Hess Midstream Operations LP    
6.50%, due 6/1/29 (a) 1,980,000 2,049,393
MPLX LP    
4.00%, due 3/15/28 2,500,000 2,465,560
4.125%, due 3/1/27 1,780,000 1,770,642
Plains All American Pipeline LP    
3.80%, due 9/15/30 (e) 1,330,000 1,267,598
Targa Resources Corp.    
4.20%, due 2/1/33 935,000 885,344

  Principal
Amount
Value
Corporate Bonds
Pipelines  
Venture Global LNG, Inc.    
7.00%, due 1/15/30 (a) $      823,000 $     840,791
Western Midstream Operating LP    
5.25%, due 2/1/50 (j)   2,100,000    1,904,441
Williams Cos., Inc. (The)    
3.50%, due 10/15/51   1,000,000     726,388
    25,978,358
Real Estate 0.5% 
Alpha Star Holding VII Ltd.    
Series Reg S    
7.75%, due 4/27/26 750,000 765,937
Dar Al-Arkan Sukuk Co. Ltd.    
Series Reg S    
6.875%, due 2/26/27 1,050,000 1,068,409
MAF Global Securities Ltd.    
Series Reg S    
7.875% (5 Year Treasury Constant Maturity Rate + 4.893%), due 6/30/27 (b)(f) 1,100,000 1,147,905
    2,982,251
Real Estate Investment Trusts 0.9% 
Iron Mountain, Inc.    
4.875%, due 9/15/29 (a)(e) 2,254,000 2,207,450
Starwood Property Trust, Inc.    
3.625%, due 7/15/26 (a) 3,409,000 3,291,805
    5,499,255
Retail 0.1% 
AutoNation, Inc.    
4.75%, due 6/1/30 926,000 921,633
Semiconductors 0.1% 
Broadcom, Inc.    
3.75%, due 2/15/51 (a) 910,000 723,326
Telecommunications 0.6% 
AT&T, Inc.    
3.50%, due 9/15/53 1,405,000 1,032,217
Total Play Telecomunicaciones SA de CV    
Series Reg S    
10.50%, due 12/31/28 750,000 578,094
VEON Holdings BV    
Series Reg S    
3.375%, due 11/25/27 1,750,000 1,535,625
Series Reg S    
4.00%, due 4/9/25 770,000 747,747
    3,893,683

  Principal
Amount
Value
Corporate Bonds
Water 0.1% 
Aegea Finance SARL    
9.00%, due 1/20/31 (a) $      630,000 $     681,858
Total Corporate Bonds
(Cost $266,425,348)
  259,259,243
Foreign Government Bonds 4.4%
Angola 0.1% 
Angola Government Bond    
8.75%, due 4/14/32 (a)     800,000     717,366
Argentina 0.2% 
Argentina Government Bond    
4.125%, due 7/9/35 (j) 2,410,000 1,156,800
Brazil 0.1% 
Centrais Eletricas Brasileiras SA    
6.50%, due 1/11/35 (a) 600,000 602,100
Chile 0.5% 
Corp. Nacional del Cobre de Chile    
6.44%, due 1/26/36 (a) 1,600,000 1,742,009
Empresa Nacional del Petroleo    
3.45%, due 9/16/31 (a) 1,307,000 1,179,516
    2,921,525
Cote D'Ivoire 0.1% 
Ivory Coast Government Bond    
Series Reg S    
8.25%, due 1/30/37 680,000 699,521
Dominican Republic 0.3% 
Dominican Republic Government Bond    
4.875%, due 9/23/32 (a) 1,850,000 1,758,882
Egypt 0.2% 
Egypt Government Bond    
7.625%, due 5/29/32 (a) 1,560,000 1,381,127
Israel 0.5% 
Israel Government Bond    
5.75%, due 3/12/54 3,700,000 3,518,182

  Principal
Amount
Value
Foreign Government Bonds
Mexico 0.6% 
Petroleos Mexicanos    
6.75%, due 9/21/47 $    1,945,000 $   1,393,611
10.00%, due 2/7/33   2,175,000   2,304,558
    3,698,169
Morocco 0.3% 
OCP SA    
Series Reg S                       
6.875%, due 4/25/44   2,000,000   2,035,360
Paraguay 0.2% 
Paraguay Government Bond    
6.10%, due 8/11/44 (a) 1,050,000 1,076,480
Poland 0.2% 
Poland Government Bond    
5.125%, due 9/18/34 1,400,000 1,438,654
Romania 0.2% 
Romanian Government Bond    
Series Reg S    
3.00%, due 2/14/31 1,626,000 1,418,171
Saudi Arabia 0.4% 
KSA Sukuk Ltd.    
Series Reg S    
5.25%, due 6/4/34 (e) 1,890,000 1,974,133
Saudi Government Bond    
Series Reg S    
4.875%, due 7/18/33 310,000 315,352
    2,289,485
Ukraine 0.1% 
Ukraine Government Bond (a)(j)    
(zero coupon), due 2/1/30 57,772 25,466
(zero coupon), due 2/1/34 215,886 73,131
(zero coupon), due 2/1/35 182,439 80,091
(zero coupon), due 2/1/36 152,032 65,754
1.75%, due 2/1/29 634,571 372,867
1.75%, due 2/1/34 423,047 188,214
    805,523
United Arab Emirates 0.2% 
Abu Dhabi Government Bond    
Series Reg S    
5.00%, due 4/30/34 1,300,000 1,375,241

  Principal
Amount
Value
Foreign Government Bonds
Uzbekistan 0.2% 
Uzbekistan Government Bond    
Series Reg S                       
7.85%, due 10/12/28 $    1,300,000 $   1,373,938
Total Foreign Government Bonds
(Cost $28,242,212)
  28,266,524
Loan Assignments 0.6%
Cargo Transport 0.2% 
Genesee & Wyoming, Inc.  
First Lien Initial Term Loan            
6.604% (3 Month SOFR + 2.00%), due 4/10/31 (b) 1,390,000 1,386,742
Diversified/Conglomerate Service 0.2% 
TruGreen Ltd. Partnership  
First Lien Term Loan B  
8.845% (1 Month SOFR + 4.00%), due 11/2/27 (b) 927,229 894,775
High Tech Industries 0.2% 
Ahead DB Holdings LLC  
First Lien Term Loan B3  
8.104% (3 Month SOFR + 3.50%), due 2/3/31 (b) 1,486,275 1,486,275
Total Loan Assignments
(Cost $3,778,713)
  3,767,792
Mortgage-Backed Securities 36.5%
Agency (Collateralized Mortgage Obligations) 11.0% 
FHLMC  
REMIC, Series 4660    
(zero coupon), due 1/15/33 1,930,822 1,588,229
REMIC, Series 5326, Class QO    
(zero coupon), due 9/25/50 2,344,074 1,614,055
REMIC, Series 5021, Class SA    
(zero coupon) (SOFR 30A + 3.55%), due 10/25/50 (b)(c) 3,561,662 153,724
REMIC, Series 5092, Class SH    
(zero coupon) (SOFR 30A + 2.45%), due 2/25/51 (b)(c) 2,104,648 17,187
REMIC, Series 5164, Class SA    
(zero coupon) (SOFR 30A + 3.75%), due 11/25/51 (b)(c) 8,467,903 410,059
REMIC, Series 5200, Class SA    
(zero coupon) (SOFR 30A + 3.50%), due 2/25/52 (b)(c) 2,900,175 112,177
REMIC, Series 5351, Class EO    
(zero coupon), due 10/25/53 2,662,093 2,307,078
REMIC, Series 5357, Class OE    
(zero coupon), due 11/25/53 1,147,684 1,004,031
REMIC, Series 5363    
(zero coupon), due 12/25/53 1,238,908 1,085,215

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
FHLMC  
REMIC, Series 4839, Class WO                       
(zero coupon), due 8/15/56 $    1,078,559 $     724,478
REMIC, Series 4993, Class KS                       
0.655% (SOFR 30A + 5.936%), due 7/25/50 (b)(c)   4,585,580      691,657
REMIC, Series 5038, Class IB                       
2.50%, due 10/25/50 (c)     937,844      149,445
REMIC, Series 5136, Class ZJ                       
2.50%, due 8/25/51 1,332,893 848,522
REMIC, Series 5149, Class LI    
2.50%, due 10/25/51 (c) 4,734,474 558,562
REMIC, Series 5205, Class KI    
3.00%, due 12/25/48 (c) 1,924,220 214,237
REMIC, Series 5152, Class BI    
3.00%, due 7/25/50 (c) 3,322,501 567,924
REMIC, Series 5070, Class PI    
3.00%, due 8/25/50 (c) 2,523,103 447,739
REMIC, Series 5023, Class LI    
3.00%, due 10/25/50 (c) 1,479,867 252,972
REMIC, Series 5167, Class GI    
3.00%, due 11/25/51 (c) 3,961,929 602,767
REMIC, Series 5191    
3.50%, due 9/25/50 (c) 2,114,584 400,805
REMIC, Series 5036    
3.50%, due 11/25/50 (c) 2,615,086 566,016
REMIC, Series 5040    
3.50%, due 11/25/50 (c) 1,335,392 253,677
REMIC, Series 5164, Class FA    
4.00% (SOFR 30A + 0.25%), due 11/25/51 (b) 1,337,929 1,198,855
FHLMC, Strips  
Series 311    
(zero coupon), due 8/15/43 1,349,323 1,007,387
Series 311, Class S1    
0.493% (SOFR 30A + 5.836%), due 8/15/43 (b)(c) 4,334,510 500,223
Series 389, Class C35    
2.00%, due 6/15/52 (c) 3,560,422 448,519
FNMA  
REMIC, Series 2021-81, Class SA    
(zero coupon) (SOFR 30A + 2.60%), due 12/25/51 (b)(c) 12,194,908 171,702
REMIC, Series 2022-3, Class YS    
(zero coupon) (SOFR 30A + 2.55%), due 2/25/52 (b)(c) 9,735,371 100,396
REMIC, Series 2022-5, Class SN    
(zero coupon) (SOFR 30A + 1.80%), due 2/25/52 (b)(c) 1,697,934 1,312
REMIC, Series 2023-70, Class AO    
(zero coupon), due 3/25/53 1,277,864 1,050,995
REMIC, Series 2023-45    
(zero coupon), due 10/25/53 1,392,587 1,116,656

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
FNMA  
REMIC, Series 2023-51                       
(zero coupon), due 11/25/53 $    1,205,816 $   1,046,753
REMIC, Series 2022-10, Class SA                       
0.47% (SOFR 30A + 5.75%), due 2/25/52 (b)(c)   2,327,154      378,475
REMIC, Series 2021-40, Class SI                       
0.555% (SOFR 30A + 5.836%), due 9/25/47 (b)(c)   2,782,448      338,370
REMIC, Series 2016-57, Class SN                       
0.655% (SOFR 30A + 5.936%), due 6/25/46 (b)(c) 2,127,397 270,328
REMIC, Series 2019-32, Class SB    
0.655% (SOFR 30A + 5.936%), due 6/25/49 (b)(c) 2,171,474 246,230
REMIC, Series 2020-23, Class PS    
0.655% (SOFR 30A + 5.936%), due 2/25/50 (b)(c) 2,593,898 362,678
REMIC, Series 2016-19, Class SD    
0.705% (SOFR 30A + 5.986%), due 4/25/46 (b)(c) 4,077,774 371,075
REMIC, Series 2021-10, Class LI    
2.50%, due 3/25/51 (c) 1,508,550 208,744
REMIC, Series 2021-12, Class JI    
2.50%, due 3/25/51 (c) 1,885,403 292,847
REMIC, Series 2021-95, Class KI    
2.50%, due 4/25/51 (c) 5,605,494 774,742
REMIC, Series 2021-54, Class HI    
2.50%, due 6/25/51 (c) 718,038 93,557
REMIC, Series 2021-57, Class ZW    
2.50%, due 7/25/51 1,373,639 867,404
REMIC, Series 2021-85, Class BI    
3.00%, due 12/25/51 (c) 3,837,728 647,393
REMIC, Series 2021-8, Class ID    
3.50%, due 3/25/51 (c) 2,516,749 524,931
REMIC, Series 2020-10, Class DA    
3.50%, due 3/25/60 1,232,624 1,105,930
FNMA, Strips  
Series 426, Class C32    
1.50%, due 2/25/52 (c) 6,599,264 638,619
GNMA  
REMIC, Series 2019-136, Class YS    
(zero coupon) (1 Month SOFR + 2.716%), due 11/20/49 (b)(c) 634,923 5,017
REMIC, Series 2020-1, Class YS    
(zero coupon) (1 Month SOFR + 2.716%), due 1/20/50 (b)(c) 3,772,630 66,374
REMIC, Series 2020-129, Class SB    
(zero coupon) (1 Month SOFR + 3.086%), due 9/20/50 (b)(c) 5,148,218 117,588
REMIC, Series 2021-16, Class AS    
(zero coupon) (1 Month SOFR + 2.636%), due 1/20/51 (b)(c) 6,983,522 91,435
REMIC, Series 2021-29, Class AS    
(zero coupon) (SOFR 30A + 2.70%), due 2/20/51 (b)(c) 6,751,963 124,691
REMIC, Series 2021-46, Class BS    
(zero coupon) (1 Month SOFR + 2.686%), due 3/20/51 (b)(c) 7,149,519 92,013

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA  
REMIC, Series 2021-64, Class GS                       
(zero coupon) (SOFR 30A + 1.65%), due 4/20/51 (b)(c) $    1,085,854 $       1,624
REMIC, Series 2021-64, Class SG                       
(zero coupon) (SOFR 30A + 1.60%), due 4/20/51 (b)(c)   2,427,409        3,515
REMIC, Series 2021-77, Class SN                       
(zero coupon) (1 Month SOFR + 2.486%), due 5/20/51 (b)(c)   1,389,031       12,848
REMIC, Series 2021-97, Class SA                       
(zero coupon) (SOFR 30A + 2.60%), due 6/20/51 (b)(c) 5,366,641 50,917
REMIC, Series 2021-97, Class SD    
(zero coupon) (SOFR 30A + 2.60%), due 6/20/51 (b)(c) 11,796,817 149,083
REMIC, Series 2021-136, Class SB    
(zero coupon) (SOFR 30A + 3.20%), due 8/20/51 (b)(c) 2,407,563 44,437
REMIC, Series 2021-158, Class SB    
(zero coupon) (SOFR 30A + 3.70%), due 9/20/51 (b)(c) 4,462,409 224,659
REMIC, Series 2021-205, Class DS    
(zero coupon) (SOFR 30A + 3.20%), due 11/20/51 (b)(c) 8,755,382 267,955
REMIC, Series 2021-214, Class SA    
(zero coupon) (SOFR 30A + 1.70%), due 12/20/51 (b)(c) 40,698,359 155,549
REMIC, Series 2021-226, Class SA    
(zero coupon) (SOFR 30A + 1.70%), due 12/20/51 (b)(c) 4,802,504 11,550
REMIC, Series 2022-19, Class SG    
(zero coupon) (SOFR 30A + 2.45%), due 1/20/52 (b)(c) 6,747,111 67,314
REMIC, Series 2022-24, Class SC    
(zero coupon) (SOFR 30A + 2.37%), due 2/20/52 (b)(c) 34,229,859 235,169
REMIC, Series 2022-78, Class S    
(zero coupon) (SOFR 30A + 3.70%), due 4/20/52 (b)(c) 3,554,809 97,050
REMIC, Series 2022-87, Class SA    
(zero coupon) (SOFR 30A + 3.30%), due 5/20/52 (b)(c) 7,332,815 113,279
REMIC, Series 2022-101, Class SB    
(zero coupon) (SOFR 30A + 3.30%), due 6/20/52 (b)(c) 3,674,537 56,765
REMIC, Series 2022-107, Class SA    
(zero coupon) (SOFR 30A + 3.47%), due 6/20/52 (b)(c) 18,487,883 482,695
REMIC, Series 2023-66, Class OQ    
(zero coupon), due 7/20/52 1,330,983 1,071,782
REMIC, Series 2023-53    
(zero coupon), due 4/20/53 821,322 664,241
REMIC, Series 2023-101, Class EO    
(zero coupon), due 7/20/53 1,139,383 977,754
REMIC, Series 2023-80, Class SA    
0.36% (SOFR 30A + 5.25%), due 6/20/53 (b)(c) 8,246,445 452,401
REMIC, Series 2020-183, Class HT    
0.425% (SOFR 30A + 5.77%), due 12/20/50 (b)(c) 4,196,719 535,673
REMIC, Series 2023-60, Class ES    
0.509% (SOFR 30A + 11.20%), due 4/20/53 (b) 1,821,529 1,761,611
REMIC, Series 2022-190, Class HS    
0.975% (1 Month SOFR + 5.936%), due 2/20/50 (b)(c) 8,275,065 1,144,297

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA  
REMIC, Series 2020-34, Class SC                       
0.975% (1 Month SOFR + 5.936%), due 3/20/50 (b)(c) $    3,920,097 $     535,511
REMIC, Series 2020-166, Class CA                       
1.00%, due 11/20/50   2,845,684    2,143,181
REMIC, Series 2020-146, Class SA                       
1.225% (1 Month SOFR + 6.186%), due 10/20/50 (b)(c)   2,705,700      415,423
REMIC, Series 2020-167, Class SN                       
1.225% (1 Month SOFR + 6.186%), due 11/20/50 (b)(c) 1,621,167 260,976
REMIC, Series 2021-179, Class SA    
1.225% (1 Month SOFR + 6.186%), due 11/20/50 (b)(c) 4,092,054 625,626
REMIC, Series 2020-189, Class SU    
1.225% (1 Month SOFR + 6.186%), due 12/20/50 (b)(c) 908,353 148,657
REMIC, Series 2021-46, Class TS    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 1,917,149 305,774
REMIC, Series 2021-57, Class SA    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 6,218,799 893,847
REMIC, Series 2021-57, Class SD    
1.225% (1 Month SOFR + 6.186%), due 3/20/51 (b)(c) 2,525,370 375,118
REMIC, Series 2021-96, Class NS    
1.225% (1 Month SOFR + 6.186%), due 6/20/51 (b)(c) 4,977,548 780,811
REMIC, Series 2021-96, Class SN    
1.225% (1 Month SOFR + 6.186%), due 6/20/51 (b)(c) 3,516,974 503,772
REMIC, Series 2021-97, Class SM    
1.225% (1 Month SOFR + 6.186%), due 6/20/51 (b)(c) 3,673,657 617,156
REMIC, Series 2021-122, Class HS    
1.225% (1 Month SOFR + 6.186%), due 7/20/51 (b)(c) 3,341,002 497,307
REMIC, Series 2022-137, Class S    
1.225% (1 Month SOFR + 6.186%), due 7/20/51 (b)(c) 3,501,488 514,981
REMIC, Series 2021-96, Class JS    
1.275% (1 Month SOFR + 6.236%), due 6/20/51 (b)(c) 3,301,409 520,473
REMIC, Series 2023-86, Class SE    
1.305% (SOFR 30A + 6.65%), due 9/20/50 (b)(c) 2,451,112 398,934
REMIC, Series 2023-66, Class MP    
1.609% (SOFR 30A + 12.30%), due 5/20/53 (b) 1,968,812 1,929,008
REMIC, Series 2020-166, Class IC    
2.00%, due 11/20/50 (c) 1,818,544 181,849
REMIC, Series 2020-176, Class AI    
2.00%, due 11/20/50 (c) 11,291,356 1,261,855
REMIC, Series 2020-185, Class BI    
2.00%, due 12/20/50 (c) 2,303,045 252,511
REMIC, Series 2020-188    
2.00%, due 12/20/50 (c) 3,843,412 430,921
REMIC, Series 2021-57, Class AI    
2.00%, due 2/20/51 (c) 4,047,473 396,529
REMIC, Series 2021-49, Class YI    
2.00%, due 3/20/51 (c) 537,042 57,029

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA  
REMIC, Series 2021-205, Class GA                       
2.00%, due 11/20/51 $      692,821 $     579,937
REMIC, Series 2022-10, Class IC                       
2.00%, due 11/20/51 (c)   3,025,292      353,698
REMIC, Series 2021-97, Class IN                       
2.50%, due 8/20/49 (c)   4,744,780      456,125
REMIC, Series 2019-159, Class P                       
2.50%, due 9/20/49 1,454,356 1,283,922
REMIC, Series 2022-1, Class IA    
2.50%, due 6/20/50 (c) 762,040 99,840
REMIC, Series 2020-122, Class IW    
2.50%, due 7/20/50 (c) 2,518,284 326,895
REMIC, Series 2020-151, Class TI    
2.50%, due 10/20/50 (c) 2,388,656 333,560
REMIC, Series 2021-56, Class FE    
2.50% (SOFR 30A + 0.20%), due 10/20/50 (b)(c) 4,610,397 533,169
REMIC, Series 2021-1, Class PI    
2.50%, due 12/20/50 (c) 1,279,015 160,839
REMIC, Series 2021-137, Class HI    
2.50%, due 8/20/51 (c) 2,842,803 384,577
REMIC, Series 2021-149, Class CI    
2.50%, due 8/20/51 (c) 3,704,746 524,920
REMIC, Series 2021-177, Class CI    
2.50%, due 10/20/51 (c) 2,752,908 355,838
REMIC, Series 2022-83    
2.50%, due 11/20/51 (c) 3,983,298 561,227
REMIC, Series 2021-44, Class IQ    
3.00%, due 3/20/51 (c) 4,978,796 796,219
REMIC, Series 2021-67, Class PI    
3.00%, due 4/20/51 (c) 2,287,330 370,125
REMIC, Series 2021-74, Class HI    
3.00%, due 4/20/51 (c) 496,997 77,316
REMIC, Series 2021-97, Class FA    
3.00% (SOFR 30A + 0.40%), due 6/20/51 (b) 1,544,517 1,358,942
REMIC, Series 2021-98, Class IN    
3.00%, due 6/20/51 (c) 1,705,202 305,624
REMIC, Series 2022-207    
3.00%, due 8/20/51 (c) 2,566,619 410,739
REMIC, Series 2021-158, Class NI    
3.00%, due 9/20/51 (c) 4,372,245 655,846
REMIC, Series 2021-177, Class IM    
3.00%, due 10/20/51 (c) 3,637,831 562,380
REMIC, Series 2023-19, Class CI    
3.00%, due 11/20/51 (c) 3,340,576 531,507
REMIC, Series 2020-1, Class YF    
3.50% (1 Month SOFR + 0.784%), due 1/20/50 (b) 1,366,241 1,228,780

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA  
REMIC, Series 2023-63, Class MA                       
3.50%, due 5/20/50 $    1,416,906 $   1,316,293
REMIC, Series 2021-146, Class IN                       
3.50%, due 8/20/51 (c)   4,868,462      855,829
Multifamily Connecticut Avenue Securities Trust (a)(b)  
Series 2020-01, Class M10                       
9.145% (SOFR 30A + 3.864%), due 3/25/50   1,465,409    1,481,974
Series 2023-01, Class M10    
11.78% (SOFR 30A + 6.50%), due 11/25/53 2,555,000 2,860,473
    70,227,806
Commercial Mortgage Loans (Collateralized Mortgage Obligations) 11.1% 
Alen Mortgage Trust  
Series 2021-ACEN, Class A    
6.361% (1 Month SOFR + 1.264%), due 4/15/34 (a)(b) 900,000 814,500
BANK  
Series 2019-BN22, Class D    
2.50%, due 11/15/62 (a) 2,045,000 1,516,191
Series 2020-BN25, Class D    
2.50%, due 1/15/63 (a) 3,125,000 2,249,447
Series 2017-BNK4, Class C    
4.372%, due 5/15/50 (h) 2,005,000 1,704,252
BBCMS Mortgage Trust (a)(b)  
Series 2018-TALL, Class A    
6.016% (1 Month SOFR + 0.919%), due 3/15/37 1,175,000 1,110,375
Series 2018-TALL, Class C    
6.415% (1 Month SOFR + 1.318%), due 3/15/37 2,125,000 1,870,000
Series 2018-TALL, Class D    
6.743% (1 Month SOFR + 1.646%), due 3/15/37 1,695,000 1,449,225
Benchmark Mortgage Trust (d)  
Series 2018-B6, Class D    
3.243%, due 10/10/51 (a) 1,280,000 952,164
Series 2019-B14, Class C    
3.897%, due 12/15/62 2,400,000 1,842,492
Series 2018-B3, Class C    
4.665%, due 4/10/51 1,930,000 1,615,093
BPR Trust  
Series 2021-TY, Class D    
7.561% (1 Month SOFR + 2.464%), due 9/15/38 (a)(b) 700,000 684,250
BX Trust  
Series 2024-BIO, Class C    
7.737% (1 Month SOFR + 2.64%), due 2/15/41 (a)(b) 750,000 738,047
CD Mortgage Trust  
Series 2017-CD4, Class D    
3.30%, due 5/10/50 (a) 2,534,000 2,051,176

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
CFCRE Commercial Mortgage Trust  
Series 2016-C3, Class D                       
3.052%, due 1/10/48 (a)(d) $    1,085,000 $     966,154
Citigroup Commercial Mortgage Trust  
Series 2014-GC25, Class B                       
4.345%, due 10/10/47 (h)   1,575,000    1,553,442
Commercial Mortgage Trust  
Series 2012-CR4, Class AM                       
3.251%, due 10/15/45 1,185,000 1,045,644
Series 2016-DC2, Class D    
4.061%, due 2/10/49 (a)(d) 1,960,000 1,753,213
Series 2014-CR15, Class D    
4.104%, due 2/10/47 (a)(d) 1,940,000 1,745,230
Series 2015-CR22, Class C    
4.199%, due 3/10/48 (d) 1,680,000 1,493,123
Series 2013-CR7, Class E    
4.384%, due 3/10/46 (a)(d) 1,724,000 1,491,088
Series 2012-LC4, Class C    
5.479%, due 12/10/44 (d) 1,405,000 1,249,611
CSAIL Commercial Mortgage Trust  
Series 2016-C6, Class D    
5.082%, due 1/15/49 (a)(d) 1,420,000 1,089,676
DROP Mortgage Trust  
Series 2021-FILE, Class A    
6.361% (1 Month SOFR + 1.264%), due 10/15/43 (a)(b) 2,190,000 2,073,656
FHLMC  
REMIC, Series 2024-MN8, Class M2    
9.53% (SOFR 30A + 4.25%), due 5/25/44 (a)(b) 985,000 1,015,566
GNMA (c)  
REMIC, Series 2020-177    
0.819%, due 6/16/62 (d) 5,352,479 329,896
REMIC, Series 2023-194, Class CI    
0.876%, due 10/16/65 (d) 6,857,413 480,061
REMIC, Series 2021-164    
0.949%, due 10/16/63 (d) 5,969,159 439,503
REMIC, Series 2023-159, Class CI    
0.956%, due 7/16/65 (h) 9,017,495 704,155
REMIC, Series 2020-168, Class IA    
0.979%, due 12/16/62 (d) 4,460,818 324,931
REMIC, Series 2021-47    
0.992%, due 3/16/61 (d) 10,292,785 704,276
REMIC, Series 2022-185, Class DI    
1.023%, due 10/16/65 (d) 3,855,179 287,766
REMIC, Series 2023-172    
1.386%, due 2/16/66 (d) 6,170,293 616,098
J.P. Morgan Chase Commercial Mortgage Securities Trust (a)  
Series 2021-1MEM, Class C    
2.742%, due 10/9/42 (d) 1,370,000 969,778

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
J.P. Morgan Chase Commercial Mortgage Securities Trust (a)  
Series 2013-C13, Class E                       
3.986%, due 1/15/46 (h) $    1,025,000 $     896,335
Series 2012-C6, Class E                       
5.129%, due 5/15/45 (d)   1,678,288    1,516,913
JPMCC Commercial Mortgage Securities Trust  
Series 2019-COR5, Class D                       
3.00%, due 6/13/52 (a)     475,000      359,677
JPMDB Commercial Mortgage Securities Trust  
Series 2017-C7, Class D    
3.00%, due 10/15/50 (a) 1,645,000 1,274,159
Series 2017-C5, Class B    
4.009%, due 3/15/50 (h) 985,000 827,032
Life Mortgage Trust  
Series 2022-BMR2, Class D    
7.638% (1 Month SOFR + 2.542%), due 5/15/39 (a)(b) 2,340,000 2,175,604
Multifamily Connecticut Avenue Securities Trust (a)(b)  
Series 2024-01, Class M10    
9.13% (SOFR 30A + 3.85%), due 7/25/54 565,000 583,510
Series 2019-01, Class B10    
10.895% (SOFR 30A + 5.614%), due 10/25/49 2,500,000 2,544,721
Series 2020-01, Class CE    
12.895% (SOFR 30A + 7.614%), due 3/25/50 1,870,000 1,911,887
ORL Trust  
Series 2023-GLKS, Class D    
9.398% (1 Month SOFR + 4.301%), due 10/19/36 (a)(b) 1,115,000 1,118,833
TX Trust  
Series 2024-HOU, Class E    
9.484% (1 Month SOFR + 4.387%), due 6/15/39 (a)(b) 1,120,000 1,110,962
UBS Commercial Mortgage Trust  
Series 2018-C10, Class D    
3.00%, due 5/15/51 (a) 1,150,000 873,672
Series 2018-C9, Class C    
5.111%, due 3/15/51 (d) 1,405,000 1,078,947
UBS-Barclays Commercial Mortgage Trust  
Series 2013-C5, Class B    
3.649%, due 3/10/46 (a)(h) 2,773,508 2,529,103
Wells Fargo Commercial Mortgage Trust  
Series 2017-C40, Class D    
2.70%, due 10/15/50 (a) 1,045,000 838,781
Series 2018-C43, Class D    
3.00%, due 3/15/51 (a) 600,000 482,478
Series 2018-C44, Class D    
3.00%, due 5/15/51 (a) 1,650,000 1,233,841
Series 2016-NXS6, Class D    
3.059%, due 11/15/49 (a) 2,655,000 2,246,573
Series 2017-C39, Class D    
4.508%, due 9/15/50 (a)(d) 1,530,000 1,229,582

  Principal
Amount
Value
Mortgage-Backed Securities
Commercial Mortgage Loans (Collateralized Mortgage Obligations)  
Wells Fargo Commercial Mortgage Trust  
Series 2022-ONL, Class E                       
5.092%, due 12/15/39 (a)(d) $    1,410,000 $   1,204,022
Series 2016-NXS5, Class D                       
5.141%, due 1/15/59 (d)   2,085,000    1,654,310
Series 2024-1CHI, Class E                       
7.827%, due 7/15/35 (a)(d)   1,450,000    1,461,343
WFRBS Commercial Mortgage Trust (a)(d)  
Series 2013-C13, Class D    
4.142%, due 5/15/45 500,508 444,956
Series 2013-C11, Class D    
4.198%, due 3/15/45 1,506,000 1,207,594
WP Glimcher Mall Trust  
Series 2015-WPG, Class C    
3.633%, due 6/5/35 (a)(d) 1,520,000 1,299,578
    71,034,492
Whole Loan (Collateralized Mortgage Obligations) 14.4% 
CIM Trust  
Series 2021-J2, Class AS    
0.21%, due 4/25/51 (a)(c)(h) 48,312,426 577,498
Connecticut Avenue Securities Trust (a)(b)  
Series 2020-R02, Class 2B1    
8.395% (SOFR 30A + 3.114%), due 1/25/40 615,000 629,479
Series 2020-SBT1, Class 1M2    
9.045% (SOFR 30A + 3.764%), due 2/25/40 2,275,000 2,405,365
Series 2020-SBT1, Class 2M2    
9.045% (SOFR 30A + 3.764%), due 2/25/40 950,000 1,005,615
Series 2019-R03, Class 1B1    
9.495% (SOFR 30A + 4.214%), due 9/25/31 1,102,792 1,171,281
Series 2020-SBT1, Class 2B1    
11.995% (SOFR 30A + 6.714%), due 2/25/40 1,630,000 1,759,418
Series 2020-SBT1, Class 1B1    
12.145% (SOFR 30A + 6.864%), due 2/25/40 2,100,000 2,273,693
Series 2019-HRP1, Class B1    
14.645% (SOFR 30A + 9.364%), due 11/25/39 3,205,000 3,564,730
Series 2022-R03, Class 1B2    
15.13% (SOFR 30A + 9.85%), due 3/25/42 650,000 736,938
CSMC Trust  
Series 2021-NQM2, Class A1    
1.179%, due 2/25/66 (a)(h) 1,201,836 1,072,741
FHLMC STACR REMIC Trust (a)(b)  
Series 2021-HQA1, Class B1    
8.28% (SOFR 30A + 3.00%), due 8/25/33 2,595,000 2,862,240
Series 2020-DNA6, Class B1    
8.28% (SOFR 30A + 3.00%), due 12/25/50 1,345,000 1,453,235
Series 2021-DNA5, Class B1    
8.33% (SOFR 30A + 3.05%), due 1/25/34 1,625,000 1,743,836

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
FHLMC STACR REMIC Trust (a)(b)  
Series 2021-HQA2, Class B1                       
8.43% (SOFR 30A + 3.15%), due 12/25/33 $    1,490,000 $   1,646,450
Series 2021-DNA2, Class B1                       
8.68% (SOFR 30A + 3.40%), due 8/25/33   2,315,000    2,600,997
Series 2020-HQA5, Class B1                       
9.28% (SOFR 30A + 4.00%), due 11/25/50   2,895,000    3,265,464
Series 2021-DNA1, Class B2                       
10.03% (SOFR 30A + 4.75%), due 1/25/51 3,390,500 3,635,844
Series 2020-DNA2, Class B2    
10.195% (SOFR 30A + 4.914%), due 2/25/50 2,605,000 2,800,836
Series 2021-HQA1, Class B2    
10.28% (SOFR 30A + 5.00%), due 8/25/33 2,445,000 2,678,651
Series 2020-HQA1, Class B2    
10.495% (SOFR 30A + 5.214%), due 1/25/50 2,881,000 3,141,672
Series 2020-DNA1, Class B2    
10.645% (SOFR 30A + 5.364%), due 1/25/50 750,000 827,876
Series 2021-HQA2, Class B2    
10.73% (SOFR 30A + 5.45%), due 12/25/33 2,390,000 2,681,651
Series 2021-DNA5, Class B2    
10.78% (SOFR 30A + 5.50%), due 1/25/34 3,190,000 3,580,884
Series 2023-HQA1, Class M2    
10.78% (SOFR 30A + 5.50%), due 5/25/43 1,265,000 1,399,546
Series 2021-DNA3, Class B2    
11.53% (SOFR 30A + 6.25%), due 10/25/33 2,855,000 3,407,081
Series 2021-HQA3, Class B2    
11.53% (SOFR 30A + 6.25%), due 9/25/41 2,640,000 2,764,757
Series 2021-HQA4, Class B2    
12.28% (SOFR 30A + 7.00%), due 12/25/41 3,320,000 3,559,350
Series 2020-HQA5, Class B2    
12.68% (SOFR 30A + 7.40%), due 11/25/50 1,500,000 1,832,454
FHLMC STACR Securitized Participation Interests Trust  
Series 2018-SPI3, Class B    
4.149%, due 8/25/48 (a)(h) 2,318,385 1,749,189
FHLMC STACR Trust (a)(b)  
REMIC, Series 2019-FTR3, Class B2    
10.195% (SOFR 30A + 4.914%), due 9/25/47 3,790,000 4,006,949
REMIC, Series 2019-FTR4, Class B2    
10.395% (SOFR 30A + 5.114%), due 11/25/47 600,000 638,073
REMIC, Series 2019-FTR2, Class B2    
12.795% (SOFR 30A + 7.514%), due 11/25/48 1,680,000 1,924,234
REMIC, Series 2019-HQA3, Class B2    
12.895% (SOFR 30A + 7.614%), due 9/25/49 1,365,000 1,540,960
REMIC, Series 2019-FTR1, Class B2    
13.745% (SOFR 30A + 8.464%), due 1/25/48 1,705,000 2,026,508
REMIC, Series 2018-HQA2, Class B2    
16.395% (SOFR 30A + 11.114%), due 10/25/48 2,795,000 3,557,488

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
Galton Funding Mortgage Trust  
Series 2018-2, Class A51                       
4.50%, due 10/25/58 (a)(h) $      351,558 $     344,413
GS Mortgage-Backed Securities Corp. Trust  
Series 2022-PJ2, Class A4                       
2.50%, due 6/25/52 (a)(h)   2,290,118    1,924,390
Mill City Mortgage Loan Trust (a)(h)  
Series 2018-4, Class B4                       
3.07%, due 4/25/66 1,473,279 961,198
Series 2018-3, Class B4    
3.696%, due 8/25/58 928,022 546,219
RCKT Mortgage Trust  
Series 2021-5, Class A1    
2.50%, due 11/25/51 (a)(h) 3,559,642 3,004,523
Sequoia Mortgage Trust  
Series 2021-4, Class A1    
0.165%, due 6/25/51 (a)(c)(d) 35,456,556 336,036
STACR Trust (a)(b)  
Series 2018-HRP2, Class B2    
15.895% (SOFR 30A + 10.614%), due 2/25/47 2,875,000 3,489,664
Series 2018-HRP1, Class B2    
17.145% (SOFR 30A + 11.864%), due 5/25/43 2,548,070 3,099,726
Towd Point Mortgage Trust (a)(h)  
Series 2017-4, Class B5    
3.638%, due 6/25/57 1,187,590 771,287
Series 2019-1, Class B2    
3.785%, due 3/25/58 545,000 445,171
Verus Securitization Trust  
Series 2023-INV2, Class B2    
8.122%, due 8/25/68 (a)(d) 1,000,000 1,002,195
    92,447,805
Total Mortgage-Backed Securities
(Cost $224,642,713)
  233,710,103
U.S. Government & Federal Agencies 3.4%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Security) 0.5% 
UMBS Pool, 30 Year
3.00%, due 6/1/52 3,600,310 3,236,439
United States Treasury Notes 2.9% 
U.S. Treasury Notes
3.875%, due 8/15/34 10,985,000 11,062,238

  Principal
Amount
  Value
U.S. Government & Federal Agencies
United States Treasury Notes  
U.S. Treasury Notes
4.00%, due 7/31/29 $    5,035,000   $   5,130,586
4.375%, due 7/31/26   2,160,000     2,185,988
      18,378,812
Total U.S. Government & Federal Agencies
(Cost $21,477,337)
    21,615,251
Total Long-Term Bonds
(Cost $624,946,895)
    626,841,053
 
  Shares    
 
Short-Term Investments 2.9%
Affiliated Investment Company 1.7% 
NYLI U.S. Government Liquidity Fund, 4.88% (k) 11,101,175    11,101,175
Unaffiliated Investment Company 1.2% 
Invesco Government & Agency Portfolio, 4.917% (k)(l)  7,587,546     7,587,546
Total Short-Term Investments
(Cost $18,688,721)
    18,688,721
Total Investments
(Cost $643,635,616)
100.7%   645,529,774
Other Assets, Less Liabilities (0.7)   (4,484,054)
Net Assets 100.0%   $ 641,045,720
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(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, 2024.
(c) 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.
(d) 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, 2024.
(e) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $7,338,251. The Portfolio received cash collateral with a value of $7,587,546.  
(f) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(g) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(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, 2024.
(i) Illiquid security—As of September 30, 2024, the total market value deemed illiquid under procedures approved by the Board of Trustees was $593,400, which represented 0.1% of the Portfolio’s net assets.
(j) Step coupon—Rate shown was the rate in effect as of September 30, 2024.

(k) Current yield as of September 30, 2024.
(l) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 5,193 $ 162,769 $ (156,861) $ — $ — $ 11,101 $ 229 $ — 11,101
Foreign Currency Forward Contracts
As of September 30, 2024, the Portfolio held the following foreign currency forward contracts1:
Currency Purchased Currency Sold Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
USD 431,945 EUR 387,000 JPMorgan Chase Bank N.A. 11/1/24  $ 563
USD 684,803 EUR 614,000 JPMorgan Chase Bank N.A. 11/1/24  389
Total Unrealized Appreciation 952
USD 85,642 EUR 77,000 JPMorgan Chase Bank N.A. 11/1/24  (188)
Total Unrealized Depreciation (188)
Net Unrealized Appreciation $ 764
    
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, 2024, 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          
U.S. Treasury 5 Year Notes 207 December 2024  $ 22,752,402  $ 22,745,742    $ (6,660)
U.S. Treasury 10 Year Notes 35 December 2024   4,007,925   3,999,844    (8,081)
U.S. Treasury 10 Year Ultra Bonds 814 December 2024  96,518,123  96,293,656  (224,467)
U.S. Treasury Long Bonds 32 December 2024   3,997,077   3,974,000   (23,077)
U.S. Treasury Ultra Bonds 64 December 2024   8,572,658   8,518,000   (54,658)
Total Long Contracts         (316,943)
Short Contracts          
Euro-Bobl (126) December 2024  (16,717,345)  (16,837,841)  (120,496)
Net Unrealized Depreciation         $ (437,439)
    
1. As of September 30, 2024, cash in the amount of $3,448,977 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, 2024.
Abbreviation(s):
CLO—Collateralized Loan Obligation
EUR—Euro
FHLMC—Federal Home Loan Mortgage Corp.

FNMA—Federal National Mortgage Association
GNMA—Government National Mortgage Association
IO—Interest Only
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate
STACR—Structured Agency Credit Risk
UMBS—Uniform Mortgage Backed Securities
USD—United States Dollar
USISDA—U.S. International Swaps and Derivatives Association
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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          $ —     $ 80,222,140   $ —     $ 80,222,140
Corporate Bonds          —    259,259,243      259,259,243
Foreign Government Bonds          —     28,266,524       28,266,524
Loan Assignments          —      3,767,792        3,767,792
Mortgage-Backed Securities          —    233,710,103      233,710,103
U.S. Government & Federal Agencies          —     21,615,251       21,615,251
Total Long-Term Bonds   626,841,053     626,841,053
Short-Term Investments              
Affiliated Investment Company  11,101,175             —       11,101,175
Unaffiliated Investment Company   7,587,546             —        7,587,546
Total Short-Term Investments 18,688,721       18,688,721
Total Investments in Securities 18,688,721   626,841,053     645,529,774
Other Financial Instruments              
Foreign Currency Forward Contracts (b)          —            952              952
Total Investments in Securities and Other Financial Instruments $ 18,688,721   $ 626,842,005   $ —   $ 645,530,726
Liability Valuation Inputs              
Other Financial Instruments (b)              
Foreign Currency Forward Contracts          $ —            $ (188)   $ —            $ (188)
Futures Contracts     (437,439)             —          (437,439)
Total Other Financial Instruments $ (437,439)   $ (188)   $ —   $ (437,627)
    
(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.

NYLI VP Natural Resources Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.2%
Australia 1.2% 
South32 Ltd. (Metals & Mining) 1,521,874 $   3,966,597
Canada 14.1% 
Alamos Gold, Inc., Class A (Metals & Mining)   159,917    3,186,634
Cameco Corp. (Oil, Gas & Consumable Fuels)   275,958   13,179,754
Capstone Copper Corp. (Metals & Mining) (a) 1,725,666   13,486,850
Ivanhoe Mines Ltd., Class A (Metals & Mining) (a)   239,690    3,565,797
Pan American Silver Corp. (Metals & Mining)   216,629    4,523,349
Teck Resources Ltd., Class B (Metals & Mining)   156,340   8,167,202
    46,109,586
Greece 1.2% 
Star Bulk Carriers Corp. (Marine Transportation) (b)   169,502   4,015,502
Luxembourg 1.2% 
ArcelorMittal SA (Registered), NYRS (Metals & Mining) (b)   150,332   3,947,718
South Africa 2.2% 
Anglo American plc (Metals & Mining)   215,784   7,007,481
United States 79.3% 
Antero Resources Corp. (Oil, Gas & Consumable Fuels) (a) 516,154 14,787,812
CF Industries Holdings, Inc. (Chemicals) 40,428 3,468,722
Chesapeake Energy Corp. (Oil, Gas & Consumable Fuels) (b) 38,200 3,141,950
Cleveland-Cliffs, Inc. (Metals & Mining) (a) 389,852 4,978,410
ConocoPhillips (Oil, Gas & Consumable Fuels) 116,967 12,314,286
Corteva, Inc. (Chemicals) 100,141 5,887,289
Crescent Energy Co., Class A (Oil, Gas & Consumable Fuels) (b) 533,687 5,843,873
Crown Holdings, Inc. (Containers & Packaging) 51,211 4,910,111
Darling Ingredients, Inc. (Food Products) (a) 360,554 13,398,187
Deere & Co. (Machinery) 10,276 4,288,483
Diamondback Energy, Inc. (Oil, Gas & Consumable Fuels) 86,172 14,856,053
DuPont de Nemours, Inc. (Chemicals) 20,096 1,790,754
EQT Corp. (Oil, Gas & Consumable Fuels) 415,130 15,210,363
Fluor Corp. (Construction & Engineering) (a) 65,231 3,112,171
FMC Corp. (Chemicals) 88,080 5,807,995
Freeport-McMoRan, Inc. (Metals & Mining) 309,878 15,469,110
GE Vernova, Inc. (Electrical Equipment) (a) 11,967 3,051,346
International Paper Co. (Containers & Packaging) 305,146 14,906,382
Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels) 66,806 10,883,365
Newmont Corp. (Metals & Mining) 283,251 15,139,766
NOV, Inc. (Energy Equipment & Services) 791,871 12,646,180
Nucor Corp. (Metals & Mining) 10,331 1,553,162
Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels) 234,889 12,106,179
Permian Resources Corp. (Oil, Gas & Consumable Fuels) 1,054,319 14,349,282
Phillips 66 (Oil, Gas & Consumable Fuels) 108,177 14,219,867
Royal Gold, Inc. (Metals & Mining) 22,106 3,101,472

  Shares   Value
Common Stocks
United States  
Schlumberger NV (Energy Equipment & Services)   260,305   $  10,919,795
Transocean Ltd. (Energy Equipment & Services) (a) 1,066,313      4,531,830
Tronox Holdings plc (Chemicals)   163,439      2,391,113
Tyson Foods, Inc., Class A (Food Products)    50,290      2,995,272
Valero Energy Corp. (Oil, Gas & Consumable Fuels)    54,580     7,369,937
      259,430,517
Total Common Stocks
(Cost $297,709,182)
    324,477,401
Short-Term Investments 1.4%
Affiliated Investment Company 0.5% 
United States 0.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 1,695,675     1,695,675
Unaffiliated Investment Company 0.9% 
United States 0.9% 
Invesco Government & Agency Portfolio, 4.917% (c)(d) 3,002,548     3,002,548
Total Short-Term Investments
(Cost $4,698,223)
    4,698,223
Total Investments
(Cost $302,407,405)
100.6%   329,175,624
Other Assets, Less Liabilities (0.6)   (2,103,321)
Net Assets 100.0%   $ 327,072,303
    
Percentages indicated are based on Portfolio net assets.
^ Industry and country classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $3,029,703; the total market value of collateral held by the Portfolio was $3,097,401. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $94,853. The Portfolio received cash collateral with a value of $3,002,548.  
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 1,388 $ 62,647 $ (62,339) $ — $ — $ 1,696 $ 81 $ — 1,696

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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              
All Other Countries  $ 324,477,401   $ —   $ —    $ 324,477,401
Short-Term Investments              
Affiliated Investment Company    1,695,675          1,695,675
Unaffiliated Investment Company    3,002,548          3,002,548
Total Short-Term Investments 4,698,223       4,698,223
Total Investments in Securities $ 329,175,624   $ —   $ —   $ 329,175,624
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Moderate Allocation Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Affiliated Investment Companies 90.3%
Equity Funds 59.2% 
NYLI 500 International ETF (a)    451,030 $  15,825,154
NYLI Candriam International Equity ETF (a)    499,447   15,689,728
NYLI Candriam U.S. Large Cap Equity ETF (a)    589,427   28,215,517
NYLI Candriam U.S. Mid Cap Equity ETF (a)    504,812   16,595,392
NYLI CBRE NextGen Real Estate ETF (a)    777,154   17,221,733
NYLI Epoch Capital Growth Fund Class I    171,003    2,718,493
NYLI Epoch International Choice Fund Class I (a)    360,681   15,402,123
NYLI Fiera SMID Growth Fund Class R6 (a)  1,011,756   17,368,824
NYLI FTSE International Equity Currency Neutral ETF    552,160   15,261,702
NYLI PineStone U.S. Equity Fund Class R6 (a)  1,325,201   26,377,460
NYLI VP American Century Sustainable Equity Portfolio Initial Class (a)  2,721,958   28,958,092
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class (a)  2,446,165   20,042,654
NYLI VP Dimensional U.S. Equity Portfolio Initial Class    555,798   17,945,936
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class  1,190,440   23,939,262
NYLI VP MacKay Convertible Portfolio Initial Class    971,897   15,255,181
NYLI VP PineStone International Equity Portfolio Initial Class (a)  1,290,056   15,762,164
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class (a) 1,844,121 16,684,686
NYLI VP Small Cap Growth Portfolio Initial Class 1,275,989 15,143,306
NYLI VP Wellington Growth Portfolio Initial Class 1,014,011 30,120,282
NYLI VP Wellington Small Cap Portfolio Initial Class (a) 1,292,513 12,585,587
NYLI VP Winslow Large Cap Growth Portfolio Initial Class (a) 963,621 31,082,277
NYLI WMC Enduring Capital Fund Class R6 (a) 280,682 11,349,064
NYLI WMC International Research Equity Fund Class I (a) 1,924,258 16,024,448
NYLI WMC Value Fund Class R6 (a) 642,479 21,924,538
Total Equity Funds
(Cost $378,502,171)
  447,493,603
Fixed Income Funds 31.1% 
NYLI MacKay ESG Core Plus Bond ETF (a) 1,330,719 28,943,138
NYLI MacKay ESG High Income ETF (a) 318,970 8,650,466
NYLI MacKay Securitized Income ETF (a) 291,139 7,756,933
NYLI MacKay Short Duration High Income Fund Class I 2,110,785 20,242,219
NYLI Short Term Bond Fund Class I (a) 812,659 7,473,377
NYLI VP Bond Portfolio Initial Class 369,143 4,786,233
NYLI VP Floating Rate Portfolio Initial Class (a) 2,185,645 18,718,736
NYLI VP Indexed Bond Portfolio Initial Class (a) 12,630,913 114,861,735
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class 891,341 8,640,747
NYLI VP MacKay U.S. Infrastructure Bond Portfolio (a) 773,288 7,768,294
NYLI VP PIMCO Real Return Portfolio Initial Class (a) 917,225 7,520,331
Total Fixed Income Funds
(Cost $246,544,147)
  235,362,209
Total Affiliated Investment Companies
(Cost $625,046,318)
  682,855,812

  Shares   Value
Short-Term Investment 9.3%
Affiliated Investment Company 9.3% 
NYLI U.S. Government Liquidity Fund, 4.88% (a)(b) 69,773,418   $  69,773,418
Total Short-Term Investment
(Cost $69,773,418)
9.3%   69,773,418
Total Investments
(Cost $694,819,736)
99.6%   752,629,230
Other Assets, Less Liabilities 0.4   3,340,941
Net Assets 100.0%   $ 755,970,171
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) As of September 30, 2024, 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, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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 U.S. Small Cap ETF $ 7,598 $ — $ (7,678) $ 859 $ (779) $ — $ 24 $ —
NYLI 500 International ETF 19,290 626 (5,185) 791 303 15,825 402 451
NYLI Candriam International Equity ETF 19,435 339 (6,009) 1,706 219 15,690 346 499
NYLI Candriam U.S. Large Cap Equity ETF 29,989 509 (6,068) 2,052 1,734 28,216 244 589
NYLI Candriam U.S. Mid Cap Equity ETF 16,282 1,859 (2,949) 276 1,127 16,595 133 505
NYLI CBRE NextGen Real Estate ETF 17,946 746 (2,876) 196 1,210 17,222 377 777
NYLI Epoch Capital Growth Fund Class I 2,859 (497) 41 316 2,719 171
NYLI Epoch International Choice Fund Class I 14,377 2,172 (2,263) 320 796 15,402 361
NYLI Fiera SMID Growth Fund Class R6 17,011 2,124 (2,326) 154 406 17,369 1,012
NYLI FTSE International Equity Currency Neutral ETF 15,757 195 (2,334) 492 1,152 15,262 243 552
NYLI MacKay ESG Core Plus Bond ETF 34,291 3,592 (9,739) (1,022) 1,821 28,943 1,242 1,331
NYLI MacKay ESG High Income ETF 9,005 142 (669) 14 158 8,650 433 319
NYLI MacKay Securitized Income ETF 8,328 (962) 18 373 7,757 91 291
NYLI MacKay Short Duration High Income Fund Class I 20,779 1,263 (2,033) (49) 282 20,242 977 2,111
NYLI MacKay U.S. Infrastructure Bond Fund Class R6 10,274 3,642 (13,717) 96 (295) 267
NYLI PineStone U.S. Equity Fund Class R6 26,890 23 (4,171) 470 3,166 26,378 1,325
NYLI Short Term Bond Fund Class I 15,425 610 (8,569) (59) 66 7,473 397 813
NYLI U.S. Government Liquidity Fund 73,467 121,731 (125,425) 69,773 2,752 69,773
NYLI VP American Century Sustainable Equity Portfolio Initial Class 26,357 2,475 (4,875) 16 4,985 28,958 2,722
NYLI VP Bond Portfolio Initial Class 7,054 4,859 (7,347) 252 (32) 4,786 369
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class 19,839 59 (3,088) (791) 4,024 20,043 2,446
NYLI VP Dimensional U.S. Equity Portfolio Initial Class 16,168 2,746 (4,727) (177) 3,936 17,946 556
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class 21,906 1,911 (4,536) 667 3,991 23,939 1,190
NYLI VP Floating Rate Portfolio Initial Class 23,170 1,657 (6,060) (212) 164 18,719 1,274 2,186
NYLI VP Indexed Bond Portfolio Initial Class 120,255 2,865 (12,993) (3,598) 8,333 114,862 12,631
NYLI VP MacKay Convertible Portfolio Initial Class 15,938 (1,454) 2 769 15,255 428 972

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
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class $ 8,986 $ 105 $ (1,026) $ 21 $ 555 $ 8,641 $ — $ — 891
NYLI VP MacKay U.S. Infrastructure Bond Portfolio 7,887 (511) 15 377 7,768 773
NYLI VP PIMCO Real Return Portfolio Initial Class 7,769 157 (805) (78) 477 7,520 917
NYLI VP PineStone International Equity Portfolio Initial Class 14,312 2,342 (2,854) (1,649) 3,611 15,762 1,290
NYLI VP S&P 500 Index Portfolio Initial Class 12,019 (12,275) 2,775 (2,519)
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class 16,403 1,867 (2,704) (1,069) 2,188 16,685 1,844
NYLI VP Small Cap Growth Portfolio Initial Class 13,843 2,571 (2,662) (1,926) 3,317 15,143 1,276
NYLI VP Wellington Growth Portfolio Initial Class 30,611 1,852 (8,349) (1,799) 7,805 30,120 1,014
NYLI VP Wellington Small Cap Portfolio Initial Class 10,774 3,864 (3,367) (1,055) 2,370 12,586 1,293
NYLI VP Winslow Large Cap Growth Portfolio Initial Class 31,228 1,661 (8,561) 181 6,573 31,082 964
NYLI WMC Enduring Capital Fund Class R6 12,307 (2,777) 319 1,500 11,349 281
NYLI WMC International Research Equity Fund Class I 14,410 2,102 (2,703) (307) 2,522 16,024 1,924
NYLI WMC Value Fund Class R6 19,598 2,375 (2,855) 175 2,632 21,925 642
  $777,684 $207,194 $(299,999) $(1,883) $69,633 $752,629 $9,630 $ 
Swap Contracts
Open OTC total return equity swap contracts as of September 30, 2024 were as follows1:
Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Citibank NA Citi Artificial Intelligence (AI) Basket 1 day FEDF plus 0.35% 12/2/24 Daily 7,732 $ —
Citibank NA Citi Zombie Company Basket 1 day FEDF minus 0.50% 12/2/24 Daily (15,583)
JPMorgan Chase Bank NA Global X Uranium ETF 1 day FEDF plus 0.00% - 0.50% 10/7/24 - 11/12/24 Daily 21,500
Citibank NA iShares 20+ Year Treasury Bond ETF 1 day FEDF plus 0.60% 12/2/24 Daily 13,199
Citibank NA iShares MSCI EAFE ETF 1 day FEDF minus 0.75% 12/2/24 Daily (64,958)
Citibank NA iShares MSCI Emerging Markets ex China ETF 1 day FEDF plus 0.61% 12/2/24 Daily 19,196
Citibank NA iShares MSCI Hong Kong ETF 1 day FEDF plus 0.40% 12/2/24 Daily 15,409
Citibank NA iShares MSCI India ETF 1 day FEDF plus 0.40% 12/2/24 Daily 15,394
JPMorgan Chase Bank NA iShares MSCI Japan ETF 1 day FEDF plus 0.00% - 0.55% 4/24/25 Daily 11,361
JPMorgan Chase Bank NA Russell 2000 Total Return Index 1 day FEDF plus 0.10% - 0.13% 4/9/25 Daily (35,723)
Citibank NA S&P 500 Total Return Index 1 day FEDF plus 0.05% 12/2/24 Daily (14,083)
Citibank NA S&P 600 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 50,614
Citibank NA S&P Midcap 400 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 30,217
            $ —
The following table represents the basket holdings underlying the total return swap with Citi Artificial Intelligence (AI) Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Alphabet Inc. 2,262 231,746  3.00
Amazon.com Inc. 2,411 246,959  3.19
AppLovin Corp. 3,952 404,825  5.24
Aptiv plc 2,185 223,834  2.89

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Autoliv Inc. 663 67,867  0.88
BILL Holdings Inc. 1,106 113,256  1.46
Block Inc. 2,695 276,062  3.57
Booking Holdings Inc. 2,726 279,216  3.61
Broadcom Inc. 2,548 260,980  3.38
DocuSign Inc. 1,818 186,282  2.41
Etsy Inc. 2,120 217,218  2.81
Expedia Group Inc. 3,041 311,533  4.03
Fidelity National Information Services Inc. 2,885 295,543  3.82
Fiserv Inc. 3,068 314,294  4.06
Fortive Corp. 1,487 152,278 1.97
Globant SA 1,241 127,109 1.64
Informatica Inc. 523 53,618 0.69
Intel Corp. 1,780 182,308 2.36
Lear Corp. 883 90,416 1.17
Magna International Inc. 796 81,505 1.05
Marvell Technology Inc. 2,482 254,299 3.29
Meta Platforms Inc. 2,788 285,653 3.69
MKS Instruments Inc. 1,001 102,506 1.33
Northrop Grumman Corp. 3,165 324,189 4.19
Okta Inc. 1,664 170,510 2.21
Pinterest Inc. 1,921 196,825 2.55
PTC Inc. 1,592 163,037 2.11
QUALCOMM Inc. 2,109 216,058 2.79
RTX Corp. 3,121 319,708 4.13
Salesforce Inc. 2,742 280,906 3.63
Smartsheet Inc. 1,082 110,824 1.43
TE Connectivity Ltd. 2,588 265,118 3.43
Teradyne Inc. 2,240 229,459 2.97
Veeva Systems Inc. 2,469 252,873 3.27
Visa Inc. 2,661 272,613 3.53
Wix.com Ltd. 1,204 123,296 1.59
Zillow Group Inc. 463 47,449 0.61
The following table represents the basket holdings underlying the total return swap with Citi Zombie Company Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Akero Therapeutics Inc. (1,076) (137,384)  0.88
AMC Entertainment Holdings Inc. (3,060) (390,841)  2.51
Arcutis Biotherapeutics Inc. (1,901) (242,830)  1.56
BioCryst Pharmaceuticals Inc. (1,103) (140,863)  0.90
Bloom Energy Corp. (2,808) (358,576)  2.30
Bridgebio Pharma Inc. (1,956) (249,827)  1.60
Cardlytics Inc. (222) (28,389)  0.18
Carvana Co. (8,892) (1,135,580)  7.29
Chegg Inc. (419) (53,504)  0.34
Chemours Co/The (1,099) (140,333)  0.90
Coeur Mining Inc. (3,371) (430,525) 2.76
Compass Inc. (878) (112,188) 0.72
Cytokinetics Inc. (3,643) (465,269) 2.99
EchoStar Corp. (1,579) (201,604) 1.29
FuelCell Energy Inc. (702) (89,615) 0.58
Global Net Lease Inc. (666) (85,018) 0.55
Goodyear Tire & Rubber Co/The (1,106) (141,267) 0.91
Guardant Health Inc. (1,655) (211,353) 1.36
Hudson Pacific Properties Inc. (570) (72,827) 0.47
Infinera Corp. (1,083) (138,317) 0.89
Ironwood Pharmaceuticals Inc. (672) (85,769) 0.55
JBG SMITH Properties (788) (100,577) 0.65

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
JetBlue Airways Corp. (5,201) (664,265)  4.26
Lumen Technologies Inc. (3,745) (478,237)  3.07
Lumentum Holdings Inc. (2,878) (367,532)  2.36
NeoGenomics Inc. (602) (76,866)  0.49
Newell Brands Inc. (1,476) (188,447)  1.21
Novocure Ltd. (669) (85,498)  0.55
Ocular Therapeutix Inc. (1,365) (174,300)  1.12
Opendoor Technologies Inc. (1,300) (166,016)  1.07
Pacific Biosciences of California Inc. (1,130) (144,257)  0.93
Paramount Global (5,069) (647,396)  4.15
Peloton Interactive Inc. (2,334) (298,050) 1.91
Penn Entertainment Inc. (5,765) (736,262) 4.72
Recursion Pharmaceuticals Inc. (1,229) (156,952) 1.01
Redfin Corp. (2,114) (269,974) 1.73
Rivian Automotive Inc. (6,088) (777,471) 4.99
Semtech Corp. (6,688) (854,112) 5.48
Spirit AeroSystems Holdings Inc. (4,209) (537,471) 3.45
Sunnova Energy International Inc. (3,672) (468,982) 3.01
Tandem Diabetes Care Inc. (2,036) (260,048) 1.67
Telephone and Data Systems Inc. (685) (87,515) 0.56
Terawulf Inc. (3,521) (449,718) 2.89
Upstart Holdings Inc. (6,662) (850,789) 5.46
Viasat Inc. (632) (80,720) 0.52
Virgin Galactic Holdings Inc. (319) (40,792) 0.26
Walgreens Boots Alliance Inc. (2,909) (371,544) 2.38
Warner Bros Discovery Inc. (5,813) (742,327) 4.76
Wolfspeed Inc. (2,243) (286,505) 1.84
Xerox Holdings Corp. (1,814) (231,685) 1.49
Xometry Inc. (605) (77,243) 0.50
    
1. As of September 30, 2024, cash in the amount $1,103,220 due to brokers for OTC swap contracts.
2. Portfolio pays the floating rate and receives the total return of the reference entity.
3. 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.
4. Reflects the value at reset date as of September 30, 2024.
    
Abbreviation(s):
EAFE—Europe, Australasia and Far East
ETF—Exchange-Traded Fund
FEDF—Federal Funds Rate
FTSE—Financial Times Stock Exchange
MSCI—Morgan Stanley Capital International

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Affiliated Investment Companies              
Equity Funds  $ 447,493,603   $ —   $ —    $ 447,493,603
Fixed Income Funds  235,362,209        235,362,209
Total Affiliated Investment Companies 682,855,812       682,855,812
Short-Term Investment              
Affiliated Investment Company   69,773,418         69,773,418
Total Investments in Securities $ 752,629,230   $ —   $ —   $ 752,629,230
    
(a) For a complete listing of investments, see the Portfolio of Investments.

NYLI VP Growth Allocation Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Affiliated Investment Companies 90.6%
Equity Funds 79.3% 
NYLI 500 International ETF (a)     960,585 $    33,703,758
NYLI Candriam International Equity ETF (a)   1,063,781     33,417,829
NYLI Candriam U.S. Large Cap Equity ETF (a)   1,063,668     50,917,149
NYLI Candriam U.S. Mid Cap Equity ETF (a)   1,428,336     46,955,689
NYLI CBRE NextGen Real Estate ETF (a)   1,166,348     25,846,272
NYLI Epoch Capital Growth Fund Class I     262,670      4,175,749
NYLI Epoch International Choice Fund Class I (a)     766,708     32,740,668
NYLI Fiera SMID Growth Fund Class R6 (a)   2,734,250     46,938,875
NYLI FTSE International Equity Currency Neutral ETF     848,333     23,447,924
NYLI PineStone U.S. Equity Fund Class R6 (a)   2,492,695     49,615,852
NYLI VP American Century Sustainable Equity Portfolio Initial Class (a)   4,828,358     51,367,452
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class (a)   5,210,926     42,695,719
NYLI VP Dimensional U.S. Equity Portfolio Initial Class     853,067     27,544,328
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class (a)   2,397,706     48,216,914
NYLI VP MacKay Convertible Portfolio Initial Class   1,492,255     23,422,878
NYLI VP PineStone International Equity Portfolio Initial Class (a)   2,747,617     33,570,928
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class (a) 5,147,328 46,570,454
NYLI VP Small Cap Growth Portfolio Initial Class (a) 3,887,247 46,133,458
NYLI VP Wellington Growth Portfolio Initial Class (a) 1,769,582 52,563,831
NYLI VP Wellington Small Cap Portfolio Initial Class (a) 4,551,909 44,323,307
NYLI VP Winslow Large Cap Growth Portfolio Initial Class (a) 1,652,203 53,292,964
NYLI WMC Enduring Capital Fund Class R6 (a) 589,161 23,822,076
NYLI WMC International Research Equity Fund Class I (a) 4,076,446 33,947,011
NYLI WMC Value Fund Class R6 (a) 1,376,512 46,973,321
Total Equity Funds
(Cost $782,688,702)
  922,204,406
Fixed Income Funds 11.3% 
NYLI MacKay ESG Core Plus Bond ETF 184,395 4,010,591
NYLI MacKay ESG High Income ETF (a) 508,912 13,801,693
NYLI MacKay Securitized Income ETF 40,638 1,082,735
NYLI MacKay Short Duration High Income Fund Class I 3,117,591 29,897,384
NYLI Short Term Bond Fund Class I (a) 1,227,425 11,287,641
NYLI VP Bond Portfolio Initial Class 51,526 668,072
NYLI VP Floating Rate Portfolio Initial Class (a) 3,355,846 28,740,808
NYLI VP Indexed Bond Portfolio Initial Class (a) 1,730,618 15,737,719
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class 1,422,120 13,786,176
NYLI VP MacKay U.S. Infrastructure Bond Portfolio 107,937 1,084,315
NYLI VP PIMCO Real Return Portfolio Initial Class (a) 1,408,310 11,546,736
Total Fixed Income Funds
(Cost $128,002,442)
  131,643,870
Total Affiliated Investment Companies
(Cost $910,691,144)
  1,053,848,276

  Shares   Value
Short-Term Investment 9.1%
Affiliated Investment Company 9.1% 
NYLI U.S. Government Liquidity Fund, 4.88% (a)(b) 105,796,033   $   105,796,033
Total Short-Term Investment
(Cost $105,796,033)
9.1%   105,796,033
Total Investments
(Cost $1,016,487,177)
99.7%   1,159,644,309
Other Assets, Less Liabilities 0.3   3,495,012
Net Assets 100.0%   $ 1,163,139,321
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) As of September 30, 2024, 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, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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 U.S. Small Cap ETF $ 34,045 $ 12 $ (33,580) $ 3,040 $ (3,517) $ — $ 112 $ —
NYLI 500 International ETF 39,762 1,352 (9,786) 1,540 836 33,704 866 961
NYLI Candriam International Equity ETF 40,064 717 (11,478) 2,482 1,633 33,418 746 1,064
NYLI Candriam U.S. Large Cap Equity ETF 55,506 56 (11,590) 3,630 3,315 50,917 449 1,064
NYLI Candriam U.S. Mid Cap Equity ETF 42,600 7,167 (6,631) 627 3,193 46,956 368 1,428
NYLI CBRE NextGen Real Estate ETF 27,934 1,298 (5,542) 386 1,770 25,846 582 1,166
NYLI Epoch Capital Growth Fund Class I 4,406 (786) 72 484 4,176 263
NYLI Epoch International Choice Fund Class I 32,296 3,638 (5,589) 725 1,671 32,741 767
NYLI Fiera SMID Growth Fund Class R6 43,725 7,533 (5,786) 409 1,058 46,939 2,734
NYLI FTSE International Equity Currency Neutral ETF 24,520 179 (3,817) 755 1,811 23,448 378 848
NYLI MacKay ESG Core Plus Bond ETF 5,340 132 (1,571) 44 65 4,010 176 184
NYLI MacKay ESG High Income ETF 14,605 293 (1,368) 29 243 13,802 701 509
NYLI MacKay Securitized Income ETF 1,177 (149) 3 52 1,083 13 41
NYLI MacKay Short Duration High Income Fund Class I 31,600 1,860 (3,912) (115) 464 29,897 1,469 3,118
NYLI MacKay U.S. Infrastructure Bond Fund Class R6 1,933 64 (1,967) 34 (64) 39
NYLI PineStone U.S. Equity Fund Class R6 52,082 22 (9,462) 1,101 5,873 49,616 2,493
NYLI Short Term Bond Fund Class I 24,075 941 (13,738) (92) 102 11,288 618 1,227
NYLI U.S. Government Liquidity Fund 112,556 200,489 (207,249) 105,796 4,277 105,796
NYLI VP American Century Sustainable Equity Portfolio Initial Class 50,219 2,910 (11,003) 2,283 6,958 51,367 4,828
NYLI VP Bond Portfolio Initial Class 33 687 (87) 4 31 668 52
NYLI VP Candriam Emerging Markets Equity Portfolio Initial Class 43,672 2 (7,979) (2,718) 9,719 42,696 5,211
NYLI VP Dimensional U.S. Equity Portfolio Initial Class 27,630 3,548 (9,809) (440) 6,615 27,544 853
NYLI VP Epoch U.S. Equity Yield Portfolio Initial Class 45,277 3,012 (9,534) 1,158 8,304 48,217 2,398
NYLI VP Floating Rate Portfolio Initial Class 36,164 2,654 (10,001) (338) 262 28,741 1,986 3,356
NYLI VP Indexed Bond Portfolio Initial Class 17,063 426 (2,415) 155 509 15,738 1,731

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
NYLI VP MacKay Convertible Portfolio Initial Class $ — $ 25,035 $ (2,796) $ 2 $ 1,182 $ 23,423 $ 671 $ — 1,492
NYLI VP MacKay High Yield Corporate Bond Portfolio Initial Class 14,575 198 (1,917) 82 848 13,786 1,422
NYLI VP MacKay U.S. Infrastructure Bond Portfolio 1,113 (85) 3 53 1,084 108
NYLI VP PIMCO Real Return Portfolio Initial Class 12,123 300 (1,489) (52) 665 11,547 1,408
NYLI VP PineStone International Equity Portfolio Initial Class 32,597 3,697 (7,000) (2,698) 6,975 33,571 2,748
NYLI VP S&P 500 Index Portfolio Initial Class 18,636 (19,030) 3,568 (3,174)
NYLI VP Schroders Mid Cap Opportunities Portfolio Initial Class 42,720 6,907 (6,068) (2,486) 5,497 46,570 5,147
NYLI VP Small Cap Growth Portfolio Initial Class 40,283 8,964 (7,224) (1,687) 5,797 46,133 3,887
NYLI VP Wellington Growth Portfolio Initial Class 56,331 1,636 (16,244) (2,018) 12,859 52,564 1,770
NYLI VP Wellington Small Cap Portfolio Initial Class 37,627 10,841 (8,679) (2,115) 6,649 44,323 4,552
NYLI VP Winslow Large Cap Growth Portfolio Initial Class 56,928 1,424 (17,058) 1,642 10,357 53,293 1,652
NYLI WMC Enduring Capital Fund Class R6 24,892 (4,837) 570 3,197 23,822 589
NYLI WMC International Research Equity Fund Class I 32,381 3,491 (6,696) (1,045) 5,816 33,947 4,076
NYLI WMC Value Fund Class R6 42,923 3,715 (5,664) 362 5,637 46,973 1,377
  $1,219,123 $307,490 $(489,616) $8,902 $113,745 $1,159,644 $13,451 $ 
Swap Contracts
Open OTC total return equity swap contracts as of September 30, 2024 were as follows1:
Swap
Counterparty
Reference Obligation Floating Rate2 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)3
Unrealized
Appreciation/
(Depreciation)4
Citibank NA Citi Artificial Intelligence (AI) Basket 1 day FEDF plus 0.35% 12/2/24 Daily 12,029 $ —
Citibank NA Citi Zombie Company Basket 1 day FEDF minus 0.50% 12/2/24 Daily (24,223)
JPMorgan Chase Bank NA Global X Uranium ETF 1 day FEDF plus 0.00% - 0.50% 10/7/24 - 11/12/24 Daily 32,757
Citibank NA iShares 20+ Year Treasury Bond ETF 1 day FEDF plus 0.60% 12/2/24 Daily 20,306
Citibank NA iShares MSCI EAFE ETF 1 day FEDF minus 0.75% 12/2/24 Daily (99,742)
Citibank NA iShares MSCI Emerging Markets ex China ETF 1 day FEDF plus 0.61% 12/2/24 Daily 29,471
Citibank NA iShares MSCI Hong Kong ETF 1 day FEDF plus 0.40% 12/2/24 Daily 23,664
Citibank NA iShares MSCI India ETF 1 day FEDF plus 0.40% 12/2/24 Daily 23,865
JPMorgan Chase Bank NA iShares MSCI Japan ETF 1 day FEDF plus 0.00% - 0.55% 4/24/25 Daily 17,428
JPMorgan Chase Bank NA Russell 2000 Total Return Index 1 day FEDF plus 0.10% 4/8/25 - 4/9/25 Daily (52,178)
Citibank NA S&P 500 Total Return Index 1 day FEDF plus 0.05% 12/2/24 Daily (26,553)
Citibank NA S&P 600 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 77,721
Citibank NA S&P Midcap 400 Total Return Index 1 day FEDF plus 0.45% 12/2/24 Daily 47,730
            $ —

The following table represents the basket holdings underlying the total return swap with Citi Artificial Intelligence (AI) Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Alphabet Inc. 3,519 360,515  3.00
Amazon.com Inc. 3,750 384,180  3.19
AppLovin Corp. 6,148 629,763  5.24
Aptiv plc 3,399 348,206  2.89
Autoliv Inc. 1,031 105,576  0.88
BILL Holdings Inc. 1,720 176,185  1.46
Block Inc. 4,192 429,454  3.57
Booking Holdings Inc. 4,240 434,361  3.61
Broadcom Inc. 3,963 405,992  3.38
DocuSign Inc. 2,829 289,788  2.41
Etsy Inc. 3,299 337,913 2.81
Expedia Group Inc. 4,731 484,635 4.03
Fidelity National Information Services Inc. 4,488 459,760 3.82
Fiserv Inc. 4,773 488,929 4.06
Fortive Corp. 2,312 236,890 1.97
Globant SA 1,930 197,736 1.64
Informatica Inc. 814 83,411 0.69
Intel Corp. 2,769 283,606 2.36
Lear Corp. 1,373 140,655 1.17
Magna International Inc. 1,238 126,793 1.05
Marvell Technology Inc. 3,862 395,598 3.29
Meta Platforms Inc. 4,338 444,375 3.69
MKS Instruments Inc. 1,557 159,462 1.33
Northrop Grumman Corp. 4,923 504,323 4.19
Okta Inc. 2,589 265,254 2.21
Pinterest Inc. 2,989 306,190 2.55
PTC Inc. 2,476 253,627 2.11
QUALCOMM Inc. 3,281 336,110 2.79
RTX Corp. 4,855 497,351 4.13
Salesforce Inc. 4,266 436,989 3.63
Smartsheet Inc. 1,683 172,403 1.43
TE Connectivity Ltd. 4,026 412,429 3.43
Teradyne Inc. 3,485 356,957 2.97
Veeva Systems Inc. 3,840 393,381 3.27
Visa Inc. 4,140 424,089 3.53
Wix.com Ltd. 1,872 191,804 1.59
Zillow Group Inc. 721 73,813 0.61
The following table represents the basket holdings underlying the total return swap with Citi Zombie Company Basket as of September 30, 2024.
Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Akero Therapeutics Inc. (1,672) (213,551)  0.88
AMC Entertainment Holdings Inc. (4,757) (607,530)  2.51
Arcutis Biotherapeutics Inc. (2,956) (377,458)  1.56
BioCryst Pharmaceuticals Inc. (1,715) (218,960)  0.90
Bloom Energy Corp. (4,364) (557,377)  2.30
Bridgebio Pharma Inc. (3,041) (388,334)  1.60
Cardlytics Inc. (346) (44,128)  0.18
Carvana Co. (13,822) (1,765,164)  7.29
Chegg Inc. (651) (83,167)  0.34
Chemours Co/The (1,708) (218,135)  0.90
Coeur Mining Inc. (5,240) (669,215) 2.76
Compass Inc. (1,365) (174,386) 0.72
Cytokinetics Inc. (5,663) (723,221) 2.99
EchoStar Corp. (2,454) (313,377) 1.29
FuelCell Energy Inc. (1,091) (139,300) 0.58
Global Net Lease Inc. (1,035) (132,153) 0.55
Goodyear Tire & Rubber Co/The (1,719) (219,587) 0.91

Security Description Shares Notional Value Unrealized Appreciation/
Depreciation
Percent of
Basket Net Assets
Guardant Health Inc. (2,572) (328,531)  1.36
Hudson Pacific Properties Inc. (886) (113,203)  0.47
Infinera Corp. (1,684) (215,002)  0.89
Ironwood Pharmaceuticals Inc. (1,044) (133,321)  0.55
JBG SMITH Properties (1,224) (156,338)  0.65
JetBlue Airways Corp. (8,085) (1,032,545)  4.26
Lumen Technologies Inc. (5,821) (743,380)  3.07
Lumentum Holdings Inc. (4,473) (571,298)  2.36
NeoGenomics Inc. (936) (119,482)  0.49
Newell Brands Inc. (2,294) (292,925)  1.21
Novocure Ltd. (1,041) (132,899) 0.55
Ocular Therapeutix Inc. (2,121) (270,935) 1.12
Opendoor Technologies Inc. (2,021) (258,058) 1.07
Pacific Biosciences of California Inc. (1,756) (224,236) 0.93
Paramount Global (7,880) (1,006,323) 4.15
Peloton Interactive Inc. (3,628) (463,293) 1.91
Penn Entertainment Inc. (8,961) (1,144,457) 4.72
Recursion Pharmaceuticals Inc. (1,910) (243,969) 1.01
Redfin Corp. (3,286) (419,652) 1.73
Rivian Automotive Inc. (9,463) (1,208,513) 4.99
Semtech Corp. (10,396) (1,327,646) 5.48
Spirit AeroSystems Holdings Inc. (6,542) (835,454) 3.45
Sunnova Energy International Inc. (5,708) (728,994) 3.01
Tandem Diabetes Care Inc. (3,165) (404,224) 1.67
Telephone and Data Systems Inc. (1,065) (136,035) 0.56
Terawulf Inc. (5,474) (699,049) 2.89
Upstart Holdings Inc. (10,355) (1,322,480) 5.46
Viasat Inc. (982) (125,472) 0.52
Virgin Galactic Holdings Inc. (497) (63,408) 0.26
Walgreens Boots Alliance Inc. (4,522) (577,534) 2.38
Warner Bros Discovery Inc. (9,035) (1,153,886) 4.76
Wolfspeed Inc. (3,487) (445,348) 1.84
Xerox Holdings Corp. (2,820) (360,135) 1.49
Xometry Inc. (940) (120,069) 0.50
    
1. As of September 30, 2024, cash in the amount $2,504,660 due to brokers for OTC swap contracts.
2. Portfolio pays the floating rate and receives the total return of the reference entity.
3. 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.
4. Reflects the value at reset date as of September 30, 2024.
    
Abbreviation(s):
EAFE—Europe, Australasia and Far East
ETF—Exchange-Traded Fund
FEDF—Federal Funds Rate
FTSE—Financial Times Stock Exchange
MSCI—Morgan Stanley Capital International

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Affiliated Investment Companies              
Equity Funds    $ 922,204,406   $ —   $ —      $ 922,204,406
Fixed Income Funds    131,643,870          131,643,870
Total Affiliated Investment Companies 1,053,848,276       1,053,848,276
Short-Term Investment              
Affiliated Investment Company    105,796,033          105,796,033
Total Investments in Securities $ 1,159,644,309   $ —   $ —   $ 1,159,644,309
    
(a) For a complete listing of investments, see the Portfolio of Investments.

NYLI VP PIMCO Real Return Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Principal
Amount
Value
Long-Term Bonds 117.6%
Asset-Backed Securities 8.3%
Home Equity Asset-Backed Securities 1.6% 
Argent Securities Trust  
Series 2006-W4, Class A2C                        
5.289% (1 Month SOFR + 0.434%), due 5/25/36 (a) $       274,441 $      66,257
Credit Suisse First Boston Mortgage Securities Corp.  
Series 2001-HE17, Class A1                        
4.745% (1 Month SOFR + 0.734%), due 1/25/32 (a)      350,633      343,991
Credit-Based Asset Servicing and Securitization LLC  
Series 2007-CB6, Class A3    
5.189% (1 Month SOFR + 0.334%), due 7/25/37 (a)(b) 735,961 485,177
CWABS Asset-Backed Certificates Trust  
Series 2007-8, Class 1A1    
5.159% (1 Month SOFR + 0.304%), due 11/25/37 (a) 1,092,001 1,028,390
First Franklin Mortgage Loan Trust  
Series 2006-FF17, Class A2    
5.089% (1 Month SOFR + 0.234%), due 12/25/36 (a) 352,205 317,097
GSAA Home Equity Trust  
Series 2006-17, Class A3A    
5.449% (1 Month SOFR + 0.594%), due 11/25/36 (a) 938,205 286,019
Home Equity Asset Trust  
Series 2005-8, Class M2    
5.644% (1 Month SOFR + 0.789%), due 2/25/36 (a) 160,096 156,154
Lehman XS Trust  
Series 2007-20N, Class A1    
7.269% (1 Month SOFR + 2.414%), due 12/25/37 (a) 22,873 21,765
Long Beach Mortgage Loan Trust  
Series 2006-7, Class 2A2    
5.209% (1 Month SOFR + 0.354%), due 8/25/36 (a) 211,058 84,185
Mastr Asset-Backed Securities Trust  
Series 2006-WMC4, Class A5    
5.269% (1 Month SOFR + 0.414%), due 10/25/36 (a) 107,221 35,083
Morgan Stanley ABS Capital I, Inc. Trust  
Series 2005-WMC1, Class M3    
5.749% (1 Month SOFR + 0.894%), due 1/25/35 (a) 77,385 77,030
New Century Home Equity Loan Trust  
Series 2004-4, Class M1    
5.734% (1 Month SOFR + 0.879%), due 2/25/35 (a) 44,170 43,493
Option One Mortgage Loan Trust  
Series 2006-1, Class M1    
5.509% (1 Month SOFR + 0.654%), due 1/25/36 (a) 1,200,000 1,115,939
Popular ABS Mortgage Pass-Through Trust  
Series 2006-A, Class M2    
5.839% (1 Month SOFR + 0.984%), due 2/25/36 (a) 1,238,000 1,167,474
RASC Trust (a)  
Series 2006-EMX4, Class A4    
5.429% (1 Month SOFR + 0.344%), due 6/25/36 337,301 329,798
Series 2005-EMX1, Class M2    
6.064% (1 Month SOFR + 1.209%), due 3/25/35 568,754 567,587

  Principal
Amount
Value
Asset-Backed Securities
Home Equity Asset-Backed Securities  
Saxon Asset Securities Trust  
Series 2007-3, Class 1A                        
5.279% (1 Month SOFR + 0.424%), due 9/25/37 (a) $        71,895 $      68,629
Securitized Asset-Backed Receivables LLC Trust (a)  
Series 2006-HE2, Class A2C                        
5.269% (1 Month SOFR + 0.414%), due 7/25/36      313,479      124,362
Series 2006-HE1, Class A2C                        
5.289% (1 Month SOFR + 0.434%), due 7/25/36      514,656      181,728
Soundview Home Loan Trust (a)  
Series 2007-OPT2, Class 2A3    
5.149% (1 Month SOFR + 0.294%), due 7/25/37 133,592 121,166
Series 2007-OPT1, Class 1A1    
5.169% (1 Month SOFR + 0.314%), due 6/25/37 239,372 166,229
    6,787,553
Other Asset-Backed Securities 6.7% 
ACAS CLO Ltd.  
Series 2015-1A, Class AR3    
6.431% (3 Month SOFR + 1.152%), due 10/18/28 (a)(b) 74,101 74,123
Adagio CLO VIII DAC  
Series VIII-A, Class AN    
4.615% (3 Month EURIBOR + 0.93%), due 4/15/32 (a)(b) EUR 1,200,000 1,333,878
Anchorage Capital Europe CLO 1 DAC  
Series 1A, Class A1R    
4.465% (3 Month EURIBOR + 0.78%), due 1/15/31 (a)(b) 992,610 1,102,280
Apidos CLO XXVI  
Series 2017-26A, Class A1AR    
6.441% (3 Month SOFR + 1.162%), due 7/18/29 (a)(b) $ 146,293 146,317
Arbor Realty Commercial Real Estate Notes Ltd. (a)(b)  
Series 2021-FL4, Class A    
6.561% (1 Month SOFR + 1.464%), due 11/15/36 562,174 561,510
Series 2022-FL1, Class A    
6.792% (SOFR 30A + 1.45%), due 1/15/37 1,280,507 1,277,308
Ares European CLO VI DAC  
Series 2013-6A, Class ARR    
4.295% (3 Month EURIBOR + 0.61%), due 4/15/30 (a)(b) EUR 265,726 295,491
Ares European CLO X DAC  
Series 10A, Class AR    
4.465% (3 Month EURIBOR + 0.78%), due 10/15/31 (a)(b) 819,061 909,986
Atlas Senior Loan Fund Ltd.  
Series 2017-8A, Class A    
6.698% (3 Month SOFR + 1.412%), due 1/16/30 (a)(b) $ 119,642 119,767
Atlas Static Senior Loan Fund I Ltd.  
Series 2022-1A, Class AR    
7.051% (3 Month SOFR + 1.75%), due 7/15/30 (a)(b) 237,275 237,727
Bain Capital Euro CLO DAC  
Series 2020-1A, Class A    
4.788% (3 Month EURIBOR + 1.10%), due 1/24/33 (a)(b) EUR 490,276 546,078

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Benefit Street Partners CLO XVI Ltd.  
Series 2018-16A, Class A1R                        
6.577% (3 Month SOFR + 1.292%), due 1/17/32 (a)(b) $       261,281 $     261,271
Black Diamond CLO DAC  
Series 2017-2A, Class A1                        
4.548% (3 Month EURIBOR + 0.86%), due 1/20/32 (a)(b) EUR     387,707      431,583
BlueMountain Fuji EUR CLO V DAC  
Series 5A, Class A                        
4.595% (3 Month EURIBOR + 0.91%), due 1/15/33 (a)(b) 1,100,000 1,224,586
Carlyle Global Market Strategies CLO Ltd.  
Series 2013-1A, Class A1RR    
6.328% (3 Month SOFR + 1.212%), due 8/14/30 (a)(b) $ 103,979 104,031
Carlyle Global Market Strategies Euro CLO Ltd.  
Series 2014-2A, Class AR1    
4.292% (3 Month EURIBOR + 0.75%), due 11/15/31 (a)(b) EUR 851,660 945,139
Carlyle U.S. CLO Ltd.  
Series 2017-1A, Class A1R    
6.544% (3 Month SOFR + 1.262%), due 4/20/31 (a)(b) $ 333,234 333,269
CIFC European Funding CLO III DAC  
Series 3A, Class A    
4.735% (3 Month EURIBOR + 1.05%), due 1/15/34 (a)(b) EUR 1,200,000 1,336,038
CIFC Funding Ltd. (a)(b)  
Series 2017-4A, Class A1R    
6.495% (3 Month SOFR + 1.212%), due 10/24/30 $ 206,910 207,005
Series 2018-3A, Class A    
6.641% (3 Month SOFR + 1.362%), due 7/18/31 417,024 417,712
Crestline Denali CLO XV Ltd.  
Series 2017-1A, Class AR    
6.574% (3 Month SOFR + 1.292%), due 4/20/30 (a)(b) 72,817 72,854
Cumulus Static CLO DAC  
Series 2023-1A, Class A    
5.185% (3 Month EURIBOR + 1.50%), due 4/25/33 (a)(b) EUR 946,307 1,055,457
CVC Cordatus Loan Fund XXI DAC  
Series 21A, Class A1E    
4.415% (3 Month EURIBOR + 0.96%), due 9/22/34 (a)(b) 1,000,000 1,110,911
Dryden 52 Euro CLO DAC  
Series 2017-52A, Class AR    
4.402% (3 Month EURIBOR + 0.86%), due 5/15/34 (a)(b) 447,174 496,731
Elmwood CLO 24 Ltd.  
Series 2023-3A, Class A1    
6.986% (3 Month SOFR + 1.70%), due 12/11/33 (a)(b) $ 1,000,000 1,002,829
Gallatin CLO VIII Ltd.  
Series 2017-1A, Class A1R    
6.653% (3 Month SOFR + 1.352%), due 7/15/31 (a)(b) 365,463 365,731
Invesco Euro CLO I DAC  
Series 1A, Class A1R    
4.335% (3 Month EURIBOR + 0.65%), due 7/15/31 (a)(b) EUR 500,000 551,009

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
LCM 30 Ltd.  
Series 30A, Class AR                        
6.624% (3 Month SOFR + 1.342%), due 4/20/31 (a)(b) $     1,156,301 $   1,156,349
LCM Loan Income Fund I Ltd.  
Series 1A, Class A                        
6.574% (3 Month SOFR + 1.292%), due 4/20/31 (a)(b)      604,828      605,291
LCM XV LP  
Series 15A, Class AR2                        
6.544% (3 Month SOFR + 1.262%), due 7/20/30 (a)(b) 77,424 77,482
LCM XXV Ltd.  
Series 25A, Class AR    
6.382% (3 Month SOFR + 1.10%), due 7/20/30 (a)(b) 375,135 375,307
LoanCore Issuer Ltd.  
Series 2022-CRE7, Class A    
6.892% (SOFR 30A + 1.55%), due 1/17/37 (a)(b) 557,514 556,129
Madison Park Euro Funding IX DAC  
Series 9A, Class AR    
4.565% (3 Month EURIBOR + 0.88%), due 7/15/35 (a)(b) EUR 500,000 553,962
Neuberger Berman Loan Advisers NBLA CLO 53 Ltd.  
Series 2023-53A, Class A    
6.873% (3 Month SOFR + 1.59%), due 10/24/32 (a)(b) $ 700,000 702,099
OSD CLO Ltd.  
Series 2021-23A, Class A    
6.417% (3 Month SOFR + 1.132%), due 4/17/31 (a)(b) 751,458 751,958
OZLM VIII Ltd.  
Series 2014-8A, Class A1R3    
6.527% (3 Month SOFR + 1.242%), due 10/17/29 (a)(b) 96,993 96,999
OZLM XI Ltd.  
Series 2015-11A, Class A1R    
6.767% (3 Month SOFR + 1.512%), due 10/30/30 (a)(b) 51,947 51,974
OZLM XXIV Ltd.  
Series 2019-24A, Class A1AR    
6.704% (3 Month SOFR + 1.422%), due 7/20/32 (a)(b) 200,000 199,950
Palmer Square European Loan Funding DAC  
Series 2023-3A, Class A    
5.042% (3 Month EURIBOR + 1.50%), due 5/15/33 (a)(b) EUR 401,260 447,791
Palmer Square Loan Funding Ltd. (a)(b)  
Series 2021-3A, Class A1    
6.344% (3 Month SOFR + 1.062%), due 7/20/29 $ 257,982 258,214
Series 2021-4A, Class A1    
6.363% (3 Month SOFR + 1.062%), due 10/15/29 157,020 157,104
Rad CLO 5 Ltd.  
Series 2019-5A, Class AR    
6.665% (3 Month SOFR + 1.382%), due 7/24/32 (a)(b) 1,700,000 1,701,229
Romark CLO Ltd.  
Series 2017-1A, Class A1R    
6.575% (3 Month SOFR + 1.292%), due 10/23/30 (a)(b) 192,826 193,011

  Principal
Amount
Value
Asset-Backed Securities
Other Asset-Backed Securities  
Saranac CLO VI Ltd.  
Series 2018-6A, Class A1R                        
6.333% (3 Month SOFR + 1.402%), due 8/13/31 (a)(b) $       164,798 $     165,028
SLM Student Loan Trust  
Series 2004-3A, Class A6B                        
6.171% (SOFR 90A + 0.812%), due 10/25/64 (a)(b)      230,809      227,364
Sound Point CLO IX Ltd.  
Series 2015-2A, Class ARRR                        
6.754% (3 Month SOFR + 1.472%), due 7/20/32 (a)(b) 500,000 500,237
THL Credit Wind River CLO Ltd.  
Series 2019-3A, Class AR    
6.643% (3 Month SOFR + 1.342%), due 7/15/31 (a)(b) 261,980 262,232
Toro European CLO DAC (a)(b)  
Series 5A, Class A    
4.425% (3 Month EURIBOR + 0.74%), due 10/15/30 EUR 173,621 193,254
Series 5A, Class ANV    
4.425% (3 Month EURIBOR + 0.74%), due 10/15/30 243,070 270,556
Venture 36 CLO Ltd.  
Series 2019-36A, Class A1AR    
6.674% (3 Month SOFR + 1.392%), due 4/20/32 (a)(b) $ 600,000 600,300
Venture XXIV CLO Ltd.  
Series 2016-24A, Class ARR    
6.444% (3 Month SOFR + 1.162%), due 10/20/28 (a)(b) 20,535 20,540
Vibrant CLO XI Ltd.  
Series 2019-11A, Class A1R1    
6.664% (3 Month SOFR + 1.382%), due 7/20/32 (a)(b) 400,000 400,189
VMC Finance LLC  
Series 2022-FL5, Class A    
7.241% (SOFR 30A + 1.90%), due 2/18/39 (a)(b) 1,679,730 1,676,051
VOYA CLO  
Series 2017-2A, Class A1R    
6.543% (3 Month SOFR + 1.242%), due 6/7/30 (a)(b) 86,409 86,453
    28,807,674
Total Asset-Backed Securities
(Cost $36,221,965)
  35,595,227
Corporate Bonds 0.4%
Banks 0.2% 
Bank of America Corp.    
Series FF    
5.875%, due 3/15/28 (c)(d) 190,000 192,797
Lloyds Banking Group plc    
Series Reg S    
4.947% (5 Year EURIBOR ICE Swap Rate + 5.29%), due 6/27/25 (a)(d) EUR 200,000 222,352
Nykredit Realkredit A/S    
Series Reg S    
1.00%, due 10/1/50 DKK 33,633 4,026

  Principal
Amount
Value
Corporate Bonds
Banks  
Nykredit Realkredit A/S    
Series Reg S                        
1.50%, due 10/1/52 DKK      319,635 $      38,364
Series Reg S                        
1.50%, due 10/1/52    3,671,100      456,322
Series Reg S                        
1.50%, due 10/1/53       99,636       10,670
Series Reg S                        
2.50%, due 10/1/47 1,556 221
UBS Group AG    
Series Reg S    
7.75%, due 3/1/29 (c) EUR 100,000 127,424
    1,052,176
Diversified Financial Services 0.2% 
Avolon Holdings Funding Ltd.    
2.528%, due 11/18/27 (b) $ 66,000 61,631
Jyske Realkredit A/S    
Series CCE    
0.50%, due 10/1/43 DKK 18,869 2,338
Series Reg S    
1.00%, due 10/1/50 1,538,596 184,117
Series CCE    
1.50%, due 10/1/53 1,977,719 237,512
Series 111E    
2.50%, due 10/1/47 4,071 577
Nordea Kredit Realkreditaktieselskab    
1.00%, due 10/1/53 87,681 10,398
1.50%, due 10/1/53 529,757 63,580
1.50%, due 10/1/53 13,671 1,706
1.50%, due 10/1/53 500,000 53,514
Series Reg S    
2.00%, due 10/1/53 (b) 399,597 50,589
2.50%, due 10/1/47 1,795 254
Realkredit Danmark A/S    
Series Reg S    
1.00%, due 10/1/53 5,925 671
Series Reg S    
1.50%, due 10/1/53 780,264 97,011
Series Reg S    
2.00%, due 10/1/53 360,137 42,250
Series Reg S    
2.50%, due 4/1/47 8,228 1,167
    807,315
Total Corporate Bonds
(Cost $2,176,046)
  1,859,491

  Principal
Amount
Value
Foreign Government Bonds 7.0%
Canada 0.2% 
Canadian Government Real Return Bond    
4.25%, due 12/1/26 (e) CAD    1,107,420 $     868,061
France 1.2% 
France Government Bond (b)(e)    
Series Reg S                        
0.10%, due 3/1/26 EUR   3,715,691    4,084,837
Series Reg S                        
0.10%, due 7/25/31      840,329     898,127
    4,982,964
Italy 3.6% 
Italy Buoni Poliennali Del Tesoro (b)(e)    
Series Reg S    
0.40%, due 5/15/30 1,582,347 1,683,370
Series Reg S    
1.40%, due 5/26/25 11,559,685 12,781,965
Series Reg S    
1.80%, due 5/15/36 610,482 682,521
    15,147,856
Japan 1.9% 
Japan Government CPI Linked Bond (e)    
0.10%, due 3/10/28 JPY 473,121,630 3,404,778
0.10%, due 3/10/29 670,442,250 4,840,897
    8,245,675
Peru 0.1% 
Peru Government Bond    
5.94%, due 2/12/29 PEN 1,000,000 279,578
6.15%, due 8/12/32 900,000 246,242
    525,820
Total Foreign Government Bonds
(Cost $31,715,354)
  29,770,376
Mortgage-Backed Securities 2.6%
Agency (Collateralized Mortgage Obligations) 1.6% 
FHLMC (a)  
REMIC, Series 4779, Class WF    
5.816% (SOFR 30A + 0.464%), due 7/15/44 $ 105,473 106,803
REMIC, Series 4694, Class FA    
5.857% (SOFR 30A + 0.514%), due 6/15/47 769,929 759,873
FHLMC, Strips  
Series 278, Class F1    
5.907% (SOFR 30A + 0.564%), due 9/15/42 (a) 127,214 126,124

  Principal
Amount
Value
Mortgage-Backed Securities
Agency (Collateralized Mortgage Obligations)  
GNMA (a)  
REMIC, Series 2018-H15, Class FG                        
5.461% (12 Month SOFR + 0.865%), due 8/20/68 $       299,049 $     297,943
REMIC, Series 2023-H20, Class FA                        
6.245% (SOFR 30A + 0.90%), due 7/20/73    4,971,394    4,998,843
REMIC, Series 2023-H11, Class FC                        
6.445% (SOFR 30A + 1.10%), due 5/20/73      503,720      512,058
REMIC, Series 2017-H10, Class FB                        
6.522% (12 Month SOFR + 1.465%), due 4/20/67 162,395 165,601
    6,967,245
Commercial Mortgage Loans (Collateralized Mortgage Obligation) 0.3% 
GS Mortgage Securities Corp. Trust  
Series 2022-GTWY, Class A    
8.497% (1 Month SOFR + 3.40%), due 8/15/39 (a)(b) 1,300,000 1,300,000
Whole Loan (Collateralized Mortgage Obligations) 0.7% 
Alternative Loan Trust  
Series 2005-29CB, Class A4    
5.00%, due 7/25/35 24,106 13,414
Series 2007-1T1, Class 1A1    
6.00%, due 3/25/37 528,355 193,884
CHL Mortgage Pass-Through Trust  
Series 2007-1, Class A1    
6.00%, due 3/25/37 24,631 11,076
Citigroup Mortgage Loan Trust  
Series 2007-AR4, Class 1A1A    
4.713%, due 3/25/37 (f) 146,475 123,676
Citigroup Mortgage Loan Trust, Inc.  
Series 2004-NCM2, Class 1CB1    
5.50%, due 8/25/34 103,345 101,016
Eurosail-UK plc (a)  
Series 2007-3A, Class A3C    
6.031% (SONIA3M IR + 1.069%), due 6/13/45 (b) GBP 13,535 18,047
Series 2007-3X, Class A3A    
6.031% (SONIA3M IR + 1.069%), due 6/13/45 50,770 67,583
Series 2007-3X, Class A3C    
6.031% (SONIA3M IR + 1.069%), due 6/13/45 13,535 18,047
GreenPoint Mortgage Funding Trust  
Series 2006-AR4, Class A6A    
5.329% (1 Month SOFR + 0.474%), due 9/25/46 (a) $ 54,175 49,207
IndyMac INDX Mortgage Loan Trust (a)  
Series 2005-AR12, Class 2A1A    
5.449% (1 Month SOFR + 0.594%), due 7/25/35 74,785 68,557
Series 2005-AR14, Class 1A1A    
5.529% (1 Month SOFR + 0.674%), due 7/25/35 612,857 440,434

  Principal
Amount
Value
Mortgage-Backed Securities
Whole Loan (Collateralized Mortgage Obligations)  
Merrill Lynch Mortgage Investors Trust  
Series 2005-A4, Class 1A                        
5.413%, due 7/25/35 (f) $       129,656 $      55,757
New Residential Mortgage Loan Trust (b)(g)  
Series 2019-RPL3, Class A1                        
2.75%, due 7/25/59      145,103      139,525
Series 2018-3A, Class A1                        
4.50%, due 5/25/58       87,501       86,575
OBX Trust  
Series 2018-1, Class A2    
5.619% (1 Month SOFR + 0.764%), due 6/25/57 (a)(b) 18,573 18,154
Opteum Mortgage Acceptance Corp. Asset-Backed Pass-Through Certificates  
Series 2005-2, Class M7    
6.769% (1 Month SOFR + 1.914%), due 4/25/35 (a) 100,000 97,978
RALI Trust  
Series 2006-QH1, Class A1    
5.349% (1 Month SOFR + 0.494%), due 12/25/36 (a) 678,268 596,765
Residential Asset Securitization Trust  
Series 2006-A10, Class A5    
6.50%, due 9/25/36 219,072 77,558
Thornburg Mortgage Securities Trust  
Series 2004-2, Class A1    
5.589% (1 Month SOFR + 0.734%), due 6/25/44 (a) 293,406 274,755
Washington Mutual Mortgage Pass-Through Certificates WMALT Trust  
Series 2007-HY1, Class A2A    
5.289% (1 Month SOFR + 0.434%), due 2/25/37 (a) 324,811 248,689
Series 2006-5, Class 2CB1    
6.00%, due 7/25/36 30,269 21,919
    2,722,616
Total Mortgage-Backed Securities
(Cost $11,549,350)
  10,989,861
U.S. Government & Federal Agencies 99.3%
Federal Home Loan Mortgage Corporation (Mortgage Pass-Through Securities) 0.1% 
UMBS Pool, 30 Year
2.00%, due 3/1/52 174,153 144,177
3.00%, due 1/1/52 380,369 341,990
    486,167
Federal National Mortgage Association (Mortgage Pass-Through Securities) 9.9% 
FNMA  (a)
5.253% (11th District Cost of Funds Index + 1.93%), due 12/1/36 27,439 27,273
6.322% (12 Month Monthly Treasury Average Index + 1.199%), due 6/1/43 82,979 83,731
7.011% (1 Year Treasury Constant Maturity Rate + 2.36%), due 11/1/34 98,419 102,317
UMBS, 30 Year
4.00%, due 8/1/52 425,603 409,039
4.00%, due 2/1/54 298,325 286,474

  Principal
Amount
Value
U.S. Government & Federal Agencies
Federal National Mortgage Association (Mortgage Pass-Through Securities)  
UMBS, 30 Year
4.50%, due 7/1/52 $       529,707 $     521,367
4.50%, due 3/1/53      463,973      456,299
UMBS, Single Family, 30 Year TBA (h)
4.00%, due 10/25/54    5,500,000    5,281,559
4.50%, due 10/25/54   19,700,000   19,365,633
6.00%, due 11/25/54   15,300,000  15,636,445
    42,170,137
Government National Mortgage Association (Mortgage Pass-Through Security) 3.1% 
GNMA II, Single Family, 30 Year
3.50%, due 10/15/54 TBA (h) 13,900,000 13,058,337
United States Treasury Inflation - Indexed Notes 86.2% 
U.S. Treasury Inflation Linked Bonds  (e)
0.125%, due 2/15/51 4,361,385 2,752,651
0.125%, due 2/15/52 (i) 2,033,838 1,264,359
0.25%, due 2/15/50 3,645,851 2,418,783
0.625%, due 2/15/43 2,435,200 1,954,058
0.75%, due 2/15/42 7,280,212 6,066,056
0.75%, due 2/15/45 9,670,685 7,727,227
0.875%, due 2/15/47 10,871,096 8,725,696
1.00%, due 2/15/46 7,951,605 6,623,335
1.00%, due 2/15/48 4,857,180 3,989,303
1.00%, due 2/15/49 812,487 662,536
1.375%, due 2/15/44 9,298,882 8,478,286
1.50%, due 2/15/53 4,444,230 4,016,623
1.75%, due 1/15/28 15,350,416 15,474,143
2.00%, due 1/15/26 7,350,117 7,336,221
2.125%, due 2/15/40 5,035,200 5,253,518
2.125%, due 2/15/41 6,937,377 7,257,560
2.125%, due 2/15/54 4,509,472 4,688,425
2.375%, due 1/15/27 (i) 31,194 31,702
2.50%, due 1/15/29 6,050,533 6,310,089
3.375%, due 4/15/32 (i) 579,464 654,515
U.S. Treasury Inflation Linked Notes  (e)
0.125%, due 10/15/25 (i) 10,546,488 10,341,584
0.125%, due 4/15/26 (i) 5,097,408 4,955,525
0.125%, due 7/15/26 11,298,214 11,013,120
0.125%, due 10/15/26 28,776,750 27,981,166
0.125%, due 4/15/27 12,922,632 12,440,028
0.125%, due 1/15/30 2,762,940 2,577,663
0.125%, due 7/15/30 10,452,336 9,718,794
0.125%, due 1/15/31 8,627,262 7,926,645
0.125%, due 7/15/31 15,608,481 14,277,982
0.125%, due 1/15/32 13,389,342 12,100,082
0.25%, due 7/15/29 11,730,956 11,129,029
0.375%, due 7/15/25 5,438,117 5,360,241

  Principal
Amount
  Value
U.S. Government & Federal Agencies
United States Treasury Inflation - Indexed Notes  
U.S. Treasury Inflation Linked Notes  (e)
0.625%, due 1/15/26 $     5,599,505   $   5,491,789
0.625%, due 7/15/32 (j)   39,838,576     37,298,911
0.75%, due 7/15/28   16,177,005     15,817,537
0.875%, due 1/15/29    4,727,394      4,614,949
1.125%, due 1/15/33   12,460,092     12,021,368
1.25%, due 4/15/28    1,992,416      1,973,509
1.375%, due 7/15/33   19,781,297     19,497,666
1.625%, due 10/15/27 10,724,382   10,794,544
1.75%, due 1/15/34 5,013,974   5,069,576
1.875%, due 7/15/34 4,711,327   4,826,402
2.125%, due 4/15/29 (j) 3,965,988   4,075,933
2.375%, due 10/15/28 14,068,804   14,610,981
      367,600,110
Total U.S. Government & Federal Agencies
(Cost $452,608,103)
    423,314,751
Total Long-Term Bonds
(Cost $534,270,818)
    501,529,706
 
  Shares    
 
Short-Term Investment 0.1%
Affiliated Investment Company 0.1% 
NYLI U.S. Government Liquidity Fund, 4.88% (k) 504,822   504,822
Total Short-Term Investment
(Cost $504,822)
    504,822
Total Investments
(Cost $534,775,640)
117.7%   502,034,528
Other Assets, Less Liabilities (17.7)   (75,605,831)
Net Assets 100.0%   $ 426,428,697
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Floating rate—Rate shown was the rate in effect as of September 30, 2024.
(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) Fixed to floating rate—Rate shown was the rate in effect as of September 30, 2024.
(d) Security is perpetual and, thus, does not have a predetermined maturity date. The date shown, if applicable, reflects the next call date.
(e) 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.
(f) 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, 2024.
(g) 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, 2024.

(h) TBA—Security 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, 2024, the total net market value was $53,341,974, which represented 12.5% of the Portfolio’s net assets. All or a portion of this security is a part of a mortgage dollar roll agreement.
(i) Security, or a portion thereof, was maintained in a segregated account at the Portfolio’s custodian as collateral for futures, swap, foreign currency forward contracts and written swaptions.
(j) Delayed delivery security.
(k) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 1,123 $ 55,893 $ (56,511) $ — $ — $ 505 $ 41 $ — 505
Foreign Currency Forward Contracts
As of September 30, 2024, the Portfolio held the following foreign currency forward contracts1:
Currency Purchased Currency Sold Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
EUR 334,000 USD 371,764 JPMorgan Chase Bank N.A. 10/2/24       $ 28
USD 788,317 CAD 1,062,195 BNP Paribas S.A. 10/2/24    2,931
USD 785,880 CAD 1,061,405 JPMorgan Chase Bank N.A. 11/4/24      436
USD 214,321 DKK 1,430,767 BNP Paribas S.A. 11/4/24      264
USD 10,558 DKK 70,185 BNP Paribas S.A. 11/4/24       58
USD 488,806 DKK 3,269,870 JPMorgan Chase Bank N.A. 10/2/24      514
USD 354,458 DKK 2,358,254 JPMorgan Chase Bank N.A. 11/4/24    1,640
USD 94,246 DKK 628,802 JPMorgan Chase Bank N.A. 11/4/24      171
USD 418,655 DKK 2,796,443 Morgan Stanley & Co. International 11/4/24      279
USD 37,608 DKK 250,484 Morgan Stanley & Co. International 11/4/24      133
USD 934,412 EUR 837,000 BNP Paribas S.A. 10/2/24 2,706
USD 33,477,497 EUR 29,922,000 BNP Paribas S.A. 11/4/24 120,442
USD 32,787,152 EUR 29,419,000 Morgan Stanley & Co. International 10/2/24 39,392
USD 247,528 GBP 185,000 JPMorgan Chase Bank N.A. 11/4/24 198
USD 8,755,319 JPY 1,242,070,639 BNP Paribas S.A. 11/5/24 69,263
Total Unrealized Appreciation 238,455
DKK 2,362,359 USD 354,458 JPMorgan Chase Bank N.A. 10/2/24 (1,686)
USD 252,388 AUD 371,000 Barclays Capital 10/2/24 (4,103)
USD 255,414 AUD 371,000 Barclays Capital 11/4/24 (1,215)
USD 282,330 DKK 1,900,000 Bank of America N.A. 10/2/24 (1,398)
USD 354,373 DKK 2,378,212 Morgan Stanley & Co. International 10/2/24 (767)
USD 244,060 GBP 185,000 Barclays Capital 10/2/24 (3,275)
USD 313,377 JPY 45,800,000 Bank of America N.A. 10/2/24 (5,287)
USD 8,343,080 JPY 1,201,307,574 BNP Paribas S.A. 10/2/24 (15,296)
USD 755,219 PEN 2,811,982 JPMorgan Chase Bank N.A.* 10/15/24 (3,190)
Total Unrealized Depreciation (36,217)
Net Unrealized Appreciation $ 202,238
    
* Non-deliverable forward.
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, 2024, 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          
3 Month Euro EURIBOR 153 September 2026  $ 41,682,148  $ 41,760,490   $ 78,342
Australia 10 Year Bonds 82 December 2024   6,643,981   6,598,586   (45,395)
Euro-Bobl 1 December 2024     132,205     133,634    1,429
Euro-BTP 30 December 2024   3,966,792   4,056,430   89,638
Euro-Bund 40 December 2024   5,909,086   6,007,448   98,362
U.S. Treasury 5 Year Notes 151 December 2024  16,564,294  16,592,305   28,011
U.S. Treasury 10 Year Ultra Bonds 230 December 2024  27,153,001  27,208,281   55,280
Total Long Contracts         305,667
Short Contracts          
3 Month Euro EURIBOR (153) September 2025 (41,644,567) (41,792,424) (147,857)
Euro-BTP (55) December 2024 (6,538,439) (6,591,907) (53,468)
Euro-Buxl (18) December 2024 (2,704,642) (2,730,601) (25,959)
Euro-OAT (93) December 2024 (13,062,232) (13,130,851) (68,619)
Euro-Schatz (32) December 2024 (3,800,893) (3,817,659) (16,766)
U.S. Treasury 2 Year Notes (226) December 2024 (46,940,345) (47,062,735) (122,390)
U.S. Treasury 10 Year Notes (477) December 2024 (54,403,426) (54,512,156) (108,730)
U.S. Treasury Long Bonds (66) December 2024 (8,287,028) (8,196,375) 90,653
U.S. Treasury Ultra Bonds (49) December 2024 (6,567,833) (6,521,594) 46,239
Total Short Contracts         (406,897)
Net Unrealized Depreciation         $ (101,230)
    
1. As of September 30, 2024, cash in the amount of $1,008,000 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, 2024.
Written Options on Futures Contracts
As of September 30, 2024, the Portfolio held the following options agreements:
Description Counterparty Strike
Price
Expiration
Date
Number of
Contracts
Notional
Amount
Premiums Paid
(Received)
  Market
Value
Call-Euro-Schatz Barclays Capital $ 107.30 10/25/24 (108) EUR  (10,800,000) $ (17,087)   $ (15,629)
Written Swaptions
As of September 30, 2024, the Portfolio held the following swaptions agreements:
Description Counterparty Strike
Price
Expiration
Date
Number of
Contracts
Notional
Amount
Premiums Paid
(Received)
  Market
Value
Put-2-Year Interest Rate Swap Barclays Capital $ 3.15 10/6/25 (22,700,000) EUR  (22,700,000) $ (262,860)   $ (20,618)
    
Description Counterparty Strike
Price
Expiration
Date
Number of
Contracts
Notional
Amount
Premiums Paid
(Received)
  Market
Value
Call-2-Year Interest Rate Swap Barclays Capital $ 3.15 10/6/25 (22,700,000) EUR  (22,700,000) $ (262,860)   $ (582,906)
Call-2-Year Interest Rate Swap Morgan Stanley Capital Services LLC 3.25 10/7/24 (11,200,000) $ (11,200,000) (19,712)   (4,003)
            $(282,572)   $(586,909)

Swap Contracts
As of September 30, 2024, 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
Paid/
(Received)
  Value   Unrealized
Appreciation/
(Depreciation)
$ 87,100,000 EUR 2/26/25 Fixed 3.475% 1 Day ESTR At Maturity/At Maturity   $ 11,234      $ (146,301)      $ (157,535)
27,900,000 USD 12/20/25 Fixed 4.25% 1 Day SOFR Annually/Annually  105,867      (169,628)      (275,495)
17,300,000 GBP 9/18/26 1 Day SONIA Fixed 4.25% Annually/Annually  204,520      148,175       (56,345)
14,000,000 JPY 9/20/27 Fixed 0.30% 1 Day TONAR + 0.06% Semi-Annually/Semi-Annually    (1,511)          790        2,301
50,000,000 JPY 3/20/28 Fixed 0.30% 1 Day TONAR + 0.06% Semi-Annually/Semi-Annually    (6,024)        3,562        9,586
420,000,000 JPY 9/14/28 Fixed 0.55% 1 Day TONAR Annually/Annually    (3,870)        1,154        5,024
106,980,000 JPY 3/20/29 Fixed 0.45% 1 Day TONAR + 0.06% Semi-Annually/Semi-Annually   (22,910)        6,239       29,149
386,000,000 JPY 12/15/31 Fixed 0.50% 1 Day TONAR Annually/Annually      377       40,290       39,913
5,900,000 EUR 8/15/32 6 Month EURIBOR Fixed 2.879% Semi-Annually/Annually       —      272,977      272,977
9,600,000 USD 2/13/34 1 Day SOFR Fixed 3.085% Annually/Annually   (79,963)      (174,952)       (94,989)
32,725,000 EUR 3/19/35 6 Month EURIBOR Fixed 2.50% Semi-Annually/Annually  222,238      585,085      362,847
1,400,000 EUR 11/4/52 Fixed 0.19% 6 Month EURIBOR Annually/Semi-Annually       —      674,736      674,736
7,000,000 USD 2/13/54 Fixed 2.865% 1 Day SOFR Annually/Annually  131,403      589,515      458,112
2,800,000 USD 6/20/54 Fixed 3.5% 1 Day SOFR Annually/Annually   73,903       (98,596)      (172,499)
12,674,000 EUR 3/19/55 Fixed 2.25% 6 Month EURIBOR Annually/Semi-Annually   60,825       (10,775)       (71,600)
            $ 696,089   $ 1,722,271   $ 1,026,182
As of September 30, 2024, the Portfolio held the following centrally cleared inflation swap agreements1:
Notional
Amount
Currency Expiration
Date
Payments
Made by Portfolio
Payments
Received by Portfolio
Payment
Frequency
Paid/
Received
Upfront
Premiums
Paid/
(Received)
Value Unrealized
Appreciation/
(Depreciation)
$ 5,400,000 USD 2/26/26 Fixed 2.314% 1 Month USD-CPI At Maturity   $ 55,010  $ 584,553  $ 529,543
2,700,000 USD 3/5/26 Fixed 2.419% 1 Month USD-CPI At Maturity   22,889  276,837  253,948
2,200,000 USD 5/13/26 Fixed 2.768% 1 Month USD-CPI At Maturity    3,904  174,701  170,797
1,000,000 USD 5/14/26 Fixed 2.813% 1 Month USD-CPI At Maturity      921   76,901   75,980
1,250,000 USD 5/25/26 Fixed 2.703% 1 Month USD-CPI At Maturity    3,257  101,754   98,497
500,000 USD 6/1/26 Fixed 2.69% 1 Month USD-CPI At Maturity    1,323   40,645   39,322
360,000 EUR 6/15/27 1 Month EUR-CPI Fixed 1.36% At Maturity      782   (56,670)   (57,452)
1,000,000 EUR 3/15/28 1 Month EUR-CPI Fixed 1.535% At Maturity   14,302  (139,175)  (153,477)
770,000 USD 5/9/28 1 Month USD-CPI Fixed 2.36% At Maturity    (4,842)   (70,253)   (65,411)
510,000 USD 5/9/28 1 Month USD-CPI Fixed 2.353% At Maturity    (3,443)   (46,951)   (43,508)
300,000 USD 8/26/28 Fixed 2.573% 1 Month USD-CPI At Maturity       —   19,476   19,476
500,000 USD 9/10/28 Fixed 2.645% 1 Month USD-CPI At Maturity       —   28,466   28,466
2,600,000 USD 11/4/29 1 Month USD-CPI Fixed 1.76% At Maturity  (136,601)  (415,296)  (278,695)
2,200,000 USD 5/19/30 1 Month USD-CPI Fixed 1.28% At Maturity  (193,995)  (455,679)  (261,684)
4,500,000 EUR 3/15/31 1 Month EUR-CPI Fixed 1.38% At Maturity  (102,923)  (884,643)  (781,720)
270,000 EUR 6/15/32 Fixed 2.72% 1 Month EUR-CPI At Maturity      403    (9,373)    (9,776)
1,000,000 EUR 6/15/32 Fixed 2.72% 1 Month EUR-CPI At Maturity    (7,362)   (34,717)   (27,355)
700,000 EUR 8/15/34 Fixed 2.049% 1 Month EUR-CPI At Maturity       —    (8,526)    (8,526)
1,600,000 EUR 8/15/34 Fixed 2.049% 1 Month EUR-CPI At Maturity    (2,798)   (19,489)   (16,691)
600,000 GBP 8/15/34 1 Month UKRPI-CPI Fixed 3.50% At Maturity    2,678    1,412    (1,266)
1,200,000 GBP 8/15/34 1 Month UKRPI-CPI Fixed 3.50% At Maturity    7,416    2,823    (4,593)
800,000 GBP 9/15/34 1 Month UKRPI-CPI Fixed 3.466% At Maturity       —    (1,401)    (1,401)
1,300,000 EUR 9/15/34 Fixed 2.034% 1 Month EUR-CPI At Maturity       —   (13,494)   (13,494)
700,000 GBP 9/15/34 1 Month UKRPI-CPI Fixed 3.466% At Maturity      (172)    (1,226)    (1,054)
300,000 EUR 9/15/34 Fixed 2.034% 1 Month EUR-CPI At Maturity    (3,348)    (3,114)      234
280,000 EUR 5/15/37 1 Month EUR-CPI Fixed 2.488% At Maturity       —    1,431    1,431
400,000 EUR 3/15/52 1 Month EUR-CPI Fixed 2.59% At Maturity    (9,597)   11,191   20,788
100,000 EUR 3/15/52 1 Month EUR-CPI Fixed 2.58% At Maturity       —    2,423    2,423
100,000 EUR 3/15/52 1 Month EUR-CPI Fixed 2.58% At Maturity      110    2,423    2,313
100,000 EUR 4/15/52 1 Month EUR-CPI Fixed 2.55% At Maturity      119    2,642    2,523

Notional
Amount
Currency Expiration
Date
Payments
Made by Portfolio
Payments
Received by Portfolio
Payment
Frequency
Paid/
Received
Upfront
Premiums
Paid/
(Received)
  Value   Unrealized
Appreciation/
(Depreciation)
$ 400,000 EUR 4/15/53 1 Month EUR-CPI Fixed 2.70% At Maturity    $ 2,546     $ 60,499     $ 57,953
400,000 EUR 9/15/53 1 Month EUR-CPI Fixed 2.763% At Maturity       —     70,222     70,222
300,000 EUR 9/15/53 1 Month EUR-CPI Fixed 2.763% At Maturity      813     52,666     51,853
200,000 EUR 9/15/53 1 Month EUR-CPI Fixed 2.763% At Maturity    1,723     35,111     33,388
100,000 EUR 10/15/53 1 Month EUR-CPI Fixed 2.736% At Maturity       —     16,726     16,726
300,000 EUR 10/15/53 1 Month EUR-CPI Fixed 2.736% At Maturity    3,800     50,178     46,378
300,000 EUR 10/15/53 1 Month EUR-CPI Fixed 2.682% At Maturity       —     44,067     44,067
            $ (343,085)   $ (502,860)   $ (159,775)
As of September 30, 2024, the Portfolio held the following open OTC debt total return swap agreements2:
Swap
Counterparty
Reference Obligation Floating Rate3 Termination
Date(s)
Payment
Frequency
Paid/
Received
Notional
Amount
Long/
(Short)
(000)4
Unrealized
Appreciation/
(Depreciation)
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.125%, 01/15/2030 1 Day SOFR + 5.28% 10/4/24 Daily  $ 15,000  $ 104,429
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.125%, 07/15/2031 1 Day SOFR + 5.28% 10/4/24 Daily  10,000   77,041
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.375%, 07/15/2027 1 Day SOFR + 5.32% 10/10/24 Daily  10,000   19,644
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.625%, 01/15/2026 1 Day SOFR + 5.32% 10/10/24 Daily   5,000   11,610
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.50%, 01/15/2028 1 Day SOFR + 5.32% 10/10/24 Daily  15,000   27,194
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.375%, 01/15/2027 1 Day SOFR + 5.32% 10/10/24 Daily  10,000   19,003
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.125%, 04/15/2025 1 Day SOFR + 5.32% 10/10/24 Daily   5,000   14,559
Morgan Stanley Capital Services LLC U.S. Treasury Inflation Linked Notes, 0.125%, 07/15/2031 1 Day SOFR + 5.32% 10/10/24 Daily  10,000   (20,151)
            $ 253,329
    
1. As of September 30, 2024, cash in the amount of $1,178,000 was on deposit with a broker for centrally cleared swap agreements.
2. As of September 30, 2024, cash in the amount $500,000 was due to broker for OTC debt total return swap agreements.
3. Portfolio pays or receives the floating rate and receives or pays the total return of the referenced entity.
4. 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.
    
Abbreviation(s):
AUD—Australia Dollar
BTP—Buoni del Tesoro Poliennali (Eurex Exchange index)
CAD—Canada Dollar
CLO—Collateralized Loan Obligation
CPI—Consumer Price Index
DKK—Denmark Krone
ESTR—Euro Short Term Rate
EUR—Euro
EURIBOR—Euro Interbank Offered Rate
FHLMC—Federal Home Loan Mortgage Corp.

FNMA—Federal National Mortgage Association
GBP—British Pound Sterling
GNMA—Government National Mortgage Association
JPY—Japanese Yen
PEN—Peru Nuevo Sol
REMIC—Real Estate Mortgage Investment Conduit
SOFR—Secured Overnight Financing Rate
SONIA—Sterling Overnight Interbank Average Rate
SONIA3M IR—Sterling Overnight Interbank Average 3 Month Index Rate
TBA—To Be Announced
TONAR—Tokyo Overnight Average Rate
UKRPI—UK Retail Price Index
UMBS—Uniform Mortgage Backed Securities
USD—United States Dollar

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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       $ —     $ 35,595,227   $ —     $ 35,595,227
Corporate Bonds       —      1,859,491        1,859,491
Foreign Government Bonds       —     29,770,376       29,770,376
Mortgage-Backed Securities       —     10,989,861       10,989,861
U.S. Government & Federal Agencies       —    423,314,751      423,314,751
Total Long-Term Bonds   501,529,706     501,529,706
Short-Term Investment              
Affiliated Investment Company  504,822             —          504,822
Total Investments in Securities 504,822   501,529,706     502,034,528
Other Financial Instruments (b)              
Foreign Currency Forward Contracts       —        238,455          238,455
Futures Contracts  487,954             —          487,954
Interest Rate Swap Contracts       —      1,854,645        1,854,645
Inflation Swap Contracts       —      1,566,328        1,566,328
OTC Debt Total Return Swap Contracts       —        273,480          273,480
Total Other Financial Instruments 487,954   3,932,908     4,420,862
Total Investments in Securities and Other Financial Instruments $ 992,776   $ 505,462,614   $ —   $ 506,455,390
Liability Valuation Inputs              
Other Financial Instruments              
Foreign Currency Forward Contracts (b)       $ —         $ (36,217)   $ —         $ (36,217)
Futures Contracts (b)  (589,184)             —          (589,184)
Written Options       —        (623,156)          (623,156)
Interest Rate Swap Contracts (b)       —        (828,463)          (828,463)
Inflation Swap Contracts (b)       —      (1,726,103)        (1,726,103)
OTC Debt Total Return Swap Contracts (b)       —         (20,151)           (20,151)
Total Other Financial Instruments $ (589,184)   $ (3,234,090)   $ —   $ (3,823,274)
    
(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)
BNP Paribas S.A. 5.03% 9/18/2024 10/10/2024 $ 508,978   $ 508,585
BNP Paribas S.A. 5.03 9/18/2024 10/10/2024 4,122,563   4,120,682
BNP Paribas S.A. 5.02 9/20/2024 10/7/2024 1,426,915   1,426,179
BofA Securities, Inc. 5.05 9/23/2024 10/1/2024 610,012   610,013
BofA Securities, Inc. 5.05 9/23/2024 10/1/2024 14,788,831   14,788,831
BofA Securities, Inc. 5.00 9/25/2024 10/3/2024 4,848,584   4,848,042
BofA Securities, Inc. 5.09 9/25/2024 10/3/2024 203,175   203,140
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 7,380,660   7,380,196
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 15,569,014   15,567,941
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 6,358,247   6,357,920
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 5,254,602   5,254,285
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 7,257,014   7,256,577
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 6,055,283   6,054,780
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 8,468,429   8,467,848
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 7,714,094   7,713,411
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 6,616,314   6,615,769
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 8,720,983   8,720,252
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 11,159,986   11,158,765
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 5,508,185   5,507,666
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 11,038,266   11,037,079
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 5,368,606   5,368,062
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 15,882,276   15,880,735
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 9,738,166   9,737,072
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 9,407,256   9,406,189
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 7,943,419   7,942,533
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 14,307,859   14,306,277
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 28,051,781   28,048,891
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 12,118,807   12,117,483
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 12,471,875   12,470,494
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 35,238,527   35,235,196
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 10,904,273   10,903,504
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 12,056,138   12,055,159
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 19,552,307   19,550,840
BNP Paribas S.A. 5.12 9/26/2024 10/3/2024 14,802,482   14,801,705
BofA Securities, Inc. 5.11 9/30/2024 10/8/2024 1,425,717   1,424,762
BofA Securities, Inc. 5.11 9/30/2024 10/8/2024 14,809,335   14,803,658
        $357,688,959   $357,650,521
(a) During the period ended September 30, 2024, the Portfolio’s average amount of borrowing was $20,769,660 at a weighted average interest rate of 5.44%.
(b) Payable for sale-buyback transactions includes $(38,438) of deferred price drop.

NYLI VP Small Cap Growth Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 93.9%
Aerospace & Defense 1.4% 
Curtiss-Wright Corp.     10,970 $   3,605,729
Woodward, Inc.     17,393   2,983,074
    6,588,803
Automobile Components 0.8% 
Modine Manufacturing Co. (a)     28,697   3,810,675
Banks 2.1% 
Bancorp, Inc. (The) (a)     75,549    4,041,871
Prosperity Bancshares, Inc.     85,409   6,155,427
    10,197,298
Biotechnology 8.2% 
Alkermes plc (a)    120,458    3,371,619
Ascendis Pharma A/S, ADR (a)     14,985    2,237,410
Biohaven Ltd. (a)     34,238    1,710,873
Blueprint Medicines Corp. (a)     66,127    6,116,748
Cytokinetics, Inc. (a)     63,412    3,348,154
Immunome, Inc. (a)(b)     19,204      280,762
Insmed, Inc. (a)(b) 44,894 3,277,262
Krystal Biotech, Inc. (a)(b) 12,465 2,269,004
Natera, Inc. (a) 30,871 3,919,073
Neurocrine Biosciences, Inc. (a) 34,464 3,970,942
SpringWorks Therapeutics, Inc. (a) 42,818 1,371,889
Vaxcyte, Inc. (a) 64,769 7,401,154
    39,274,890
Building Products 3.5% 
AAON, Inc. 30,163 3,252,778
AZEK Co., Inc. (The) (a) 105,063 4,916,949
CSW Industrials, Inc. 6,813 2,496,215
Simpson Manufacturing Co., Inc. 15,163 2,900,227
Zurn Elkay Water Solutions Corp. 88,994 3,198,444
    16,764,613
Capital Markets 3.4% 
Evercore, Inc., Class A 9,576 2,425,984
Hamilton Lane, Inc., Class A 35,269 5,938,947
Houlihan Lokey, Inc. 37,182 5,875,499
StepStone Group, Inc., Class A 38,060 2,162,950
    16,403,380
Chemicals 2.2% 
Arcadium Lithium plc (a)(b) 361,269 1,029,617
HB Fuller Co. 50,699 4,024,486
Innospec, Inc. 26,959 3,048,793
Quaker Chemical Corp. 13,332 2,246,309
    10,349,205

  Shares Value
Common Stocks
Commercial Services & Supplies 6.2% 
Casella Waste Systems, Inc., Class A (a)     83,583 $   8,315,673
Montrose Environmental Group, Inc. (a)     57,652    1,516,248
MSA Safety, Inc.     19,741    3,500,869
Rentokil Initial plc, Sponsored ADR (b)    128,685    3,208,117
Tetra Tech, Inc.     58,781    2,772,112
Vestis Corp.     90,000    1,341,000
Waste Connections, Inc.     48,759   8,719,084
    29,373,103
Communications Equipment 0.6% 
Infinera Corp. (a)(b)    446,109   3,011,236
Construction & Engineering 4.9% 
Comfort Systems USA, Inc.      6,691    2,611,832
Construction Partners, Inc., Class A (a)     47,225    3,296,305
Fluor Corp. (a)    102,286    4,880,065
Limbach Holdings, Inc. (a)     32,838    2,487,807
Sterling Infrastructure, Inc. (a)     31,644    4,589,013
Valmont Industries, Inc. 18,928 5,488,173
    23,353,195
Consumer Finance 0.2% 
SoFi Technologies, Inc. (a)(b) 142,455 1,119,696
Consumer Staples Distribution & Retail 1.7% 
Casey's General Stores, Inc. 14,060 5,282,482
Sprouts Farmers Market, Inc. (a) 27,207 3,003,925
    8,286,407
Diversified Consumer Services 3.3% 
Bright Horizons Family Solutions, Inc. (a) 91,385 12,805,780
Mister Car Wash, Inc. (a)(b) 457,445 2,977,967
    15,783,747
Diversified Telecommunication Services 0.8% 
Cogent Communications Holdings, Inc. 48,722 3,698,974
Electronic Equipment, Instruments & Components 2.0% 
Littelfuse, Inc. 10,638 2,821,730
Mirion Technologies, Inc. (a) 107,725 1,192,516
Novanta, Inc. (a) 30,645 5,483,003
    9,497,249
Energy Equipment & Services 3.5% 
Cactus, Inc., Class A (b) 78,691 4,695,492
ChampionX Corp. 162,577 4,901,697
Oceaneering International, Inc. (a) 88,889 2,210,669

  Shares Value
Common Stocks
Energy Equipment & Services  
TechnipFMC plc    184,166 $   4,830,674
    16,638,532
Entertainment 0.6% 
Take-Two Interactive Software, Inc. (a)     19,598   3,012,409
Financial Services 0.7% 
WEX, Inc. (a)     16,700   3,502,491
Food Products 0.6% 
Freshpet, Inc. (a)     20,480   2,801,050
Ground Transportation 0.7% 
Saia, Inc. (a)      7,938   3,470,970
Health Care Equipment & Supplies 5.2% 
Establishment Labs Holdings, Inc. (a)(b)     69,455    3,005,318
Glaukos Corp. (a)     33,913    4,418,185
Globus Medical, Inc., Class A (a)     34,310    2,454,537
Haemonetics Corp. (a)     14,705    1,181,988
Inari Medical, Inc. (a)     50,795    2,094,786
OrthoPediatrics Corp. (a) 52,493 1,423,085
PROCEPT BioRobotics Corp. (a) 32,099 2,571,772
SI-BONE, Inc. (a) 131,917 1,844,200
TransMedics Group, Inc. (a)(b) 36,045 5,659,065
    24,652,936
Health Care Providers & Services 7.1% 
Accolade, Inc. (a) 166,786 642,126
Encompass Health Corp. 52,567 5,080,075
Ensign Group, Inc. (The) 40,803 5,868,288
HealthEquity, Inc. (a) 82,951 6,789,539
LifeStance Health Group, Inc. (a) 185,862 1,301,034
NeoGenomics, Inc. (a) 237,535 3,503,641
Option Care Health, Inc. (a) 92,494 2,895,062
RadNet, Inc. (a) 66,952 4,645,799
Surgery Partners, Inc. (a) 97,131 3,131,504
    33,857,068
Health Care Technology 0.9% 
Phreesia, Inc. (a) 193,145 4,401,774
Hotels, Restaurants & Leisure 1.9% 
Churchill Downs, Inc. 20,403 2,758,690
First Watch Restaurant Group, Inc. (a) 38,169 595,436
Kura Sushi USA, Inc., Class A (a)(b) 17,751 1,430,020
Sweetgreen, Inc., Class A (a) 55,778 1,977,330

  Shares Value
Common Stocks
Hotels, Restaurants & Leisure  
Texas Roadhouse, Inc.     12,586 $   2,222,688
    8,984,164
Household Durables 1.1% 
Installed Building Products, Inc.     18,405    4,532,599
TopBuild Corp. (a)      2,179     886,439
    5,419,038
Industrial REITs 1.5% 
EastGroup Properties, Inc.     16,370    3,058,244
Terreno Realty Corp. (b)     59,887   4,002,248
    7,060,492
Insurance 1.7% 
Goosehead Insurance, Inc., Class A (a)     26,051    2,326,354
Kinsale Capital Group, Inc.      7,584    3,530,883
Selective Insurance Group, Inc.     23,640   2,205,612
    8,062,849
IT Services 0.3% 
Globant SA (a) 8,142 1,613,256
Life Sciences Tools & Services 1.6% 
Bio-Techne Corp. 39,996 3,196,880
Bruker Corp. 61,955 4,278,612
    7,475,492
Machinery 3.0% 
Enpro, Inc. 14,929 2,421,185
IDEX Corp. 9,427 2,022,091
John Bean Technologies Corp. (b) 37,567 3,700,725
Kadant, Inc. 6,023 2,035,774
Mueller Water Products, Inc., Class A 102,604 2,226,507
SPX Technologies, Inc. (a) 10,912 1,740,028
    14,146,310
Metals & Mining 0.5% 
Materion Corp. 21,273 2,379,598
Oil, Gas & Consumable Fuels 1.1% 
Matador Resources Co. 61,223 3,025,641
Range Resources Corp. 75,296 2,316,105
    5,341,746
Personal Care Products 0.7% 
BellRing Brands, Inc. (a) 55,208 3,352,230

  Shares Value
Common Stocks
Pharmaceuticals 0.1% 
BioAge Labs, Inc. (a)     13,501 $     280,821
Professional Services 1.1% 
CBIZ, Inc. (a)     39,577    2,663,136
FTI Consulting, Inc. (a)     11,919   2,712,288
    5,375,424
Real Estate Management & Development 0.2% 
DigitalBridge Group, Inc.     76,031   1,074,318
Semiconductors & Semiconductor Equipment 5.2% 
Credo Technology Group Holding Ltd. (a)     95,674    2,946,759
Entegris, Inc.     34,432    3,874,633
Lattice Semiconductor Corp. (a)     18,637      989,065
MACOM Technology Solutions Holdings, Inc. (a)     32,910    3,661,567
Onto Innovation, Inc. (a)      9,122    1,893,362
PDF Solutions, Inc. (a)     54,697    1,732,801
Power Integrations, Inc.     33,808    2,167,769
SiTime Corp. (a)     32,233    5,528,282
Veeco Instruments, Inc. (a) 62,847 2,082,121
    24,876,359
Software 9.7% 
Alkami Technology, Inc. (a) 72,682 2,292,390
BlackLine, Inc. (a) 21,881 1,206,518
Box, Inc., Class A (a) 121,106 3,963,799
CCC Intelligent Solutions Holdings, Inc. (a) 473,971 5,237,380
Clear Secure, Inc., Class A 75,159 2,490,769
Clearwater Analytics Holdings, Inc., Class A (a) 143,689 3,628,147
Descartes Systems Group, Inc. (The) (a) 41,396 4,262,132
Dynatrace, Inc. (a) 104,104 5,566,441
Envestnet, Inc. (a) 57,907 3,626,136
Freshworks, Inc., Class A (a) 127,641 1,465,319
Guidewire Software, Inc. (a) 17,807 3,257,613
JFrog Ltd. (a) 63,663 1,848,774
Procore Technologies, Inc. (a) 41,258 2,546,444
PROS Holdings, Inc. (a) 85,730 1,587,720
Sprout Social, Inc., Class A (a) 65,768 1,911,876
Workiva, Inc. (a) 21,319 1,686,759
    46,578,217
Specialty Retail 0.9% 
Boot Barn Holdings, Inc. (a) 26,116 4,368,684
Trading Companies & Distributors 2.7% 
Applied Industrial Technologies, Inc. 12,273 2,738,475
FTAI Aviation Ltd. (b) 30,811 4,094,782

  Shares   Value
Common Stocks
Trading Companies & Distributors  
SiteOne Landscape Supply, Inc. (a)     41,252   $   6,225,339
      13,058,596
Total Common Stocks
(Cost $365,130,291)
    449,297,295
Exchange-Traded Fund 1.0%
SPDR S&P Biotech ETF (b)     47,547     4,697,644
Total Exchange-Traded Fund
(Cost $3,834,104)
    4,697,644
Short-Term Investments 8.7%
Affiliated Investment Company 5.2% 
NYLI U.S. Government Liquidity Fund, 4.88% (c) 25,062,584    25,062,584
Unaffiliated Investment Companies 3.5% 
Dreyfus Treasury Obligations Cash Management Fund, 4.944% (c)(d)  1,000,000      1,000,000
Invesco Government & Agency Portfolio, 4.917% (c)(d) 15,479,598    15,479,598
      16,479,598
Total Short-Term Investments
(Cost $41,542,182)
    41,542,182
Total Investments
(Cost $410,506,577)
103.6%   495,537,121
Other Assets, Less Liabilities (3.6)   (17,145,208)
Net Assets 100.0%   $ 478,391,913
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) All or a portion of this security was held on loan. As of September 30, 2024, the aggregate market value of securities on loan was $20,766,161; the total market value of collateral held by the Portfolio was $21,590,202. The market value of the collateral held included non-cash collateral in the form of U.S. Treasury securities with a value of $5,110,604. The Portfolio received cash collateral with a value of $16,479,598.  
(c) Current yield as of September 30, 2024.
(d) Represents a security purchased with cash collateral received for securities on loan.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 16,936 $ 109,394 $ (101,267) $ — $ — $ 25,063 $ 611 $ — 25,063
    

Abbreviation(s):
ADR—American Depositary Receipt
ETF—Exchange-Traded Fund
REIT—Real Estate Investment Trust
SPDR—Standard & Poor’s Depositary Receipt
The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 449,297,295   $ —   $ —    $ 449,297,295
Exchange-Traded Fund    4,697,644          4,697,644
Short-Term Investments              
Affiliated Investment Company   25,062,584         25,062,584
Unaffiliated Investment Companies   16,479,598         16,479,598
Total Short-Term Investments 41,542,182       41,542,182
Total Investments in Securities $ 495,537,121   $ —   $ —   $ 495,537,121
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP American Century Sustainable Equity Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.8%
Aerospace & Defense 0.4% 
Lockheed Martin Corp.   2,919 $   1,706,331
Air Freight & Logistics 0.9% 
FedEx Corp.   6,654    1,821,067
United Parcel Service, Inc., Class B  15,728   2,144,355
    3,965,422
Automobile Components 0.5% 
Aptiv plc (a)  29,363   2,114,430
Automobiles 1.0% 
Tesla, Inc. (a)  16,817   4,399,832
Banks 3.3% 
Bank of America Corp. 100,435    3,985,261
JPMorgan Chase & Co.  34,066    7,183,157
Regions Financial Corp. 162,855   3,799,407
    14,967,825
Beverages 1.1% 
PepsiCo, Inc.  29,637   5,039,772
Biotechnology 2.1% 
AbbVie, Inc. 29,572 5,839,879
Amgen, Inc. 6,058 1,951,948
Vertex Pharmaceuticals, Inc. (a) 3,890 1,809,161
    9,600,988
Broadline Retail 3.3% 
Amazon.com, Inc. (a) 80,005 14,907,332
Building Products 1.1% 
Johnson Controls International plc 61,212 4,750,663
Capital Markets 4.3% 
Ameriprise Financial, Inc. 5,905 2,774,228
BlackRock, Inc. 3,763 3,573,006
Intercontinental Exchange, Inc. 13,692 2,199,483
Morgan Stanley 53,899 5,618,432
S&P Global, Inc. 9,996 5,164,133
    19,329,282
Chemicals 1.8% 
Ecolab, Inc. 12,528 3,198,774
Linde plc 10,321 4,921,672
    8,120,446

  Shares Value
Common Stocks
Communications Equipment 1.2% 
Cisco Systems, Inc.  39,057 $   2,078,614
Motorola Solutions, Inc.   7,542   3,391,109
    5,469,723
Consumer Finance 0.7% 
American Express Co.  11,510   3,121,512
Consumer Staples Distribution & Retail 2.4% 
Costco Wholesale Corp.   3,994    3,540,761
Sysco Corp.  46,407    3,622,531
Target Corp.  23,540   3,668,944
    10,832,236
Containers & Packaging 0.5% 
Ball Corp.  32,821   2,228,874
Distributors 0.4% 
LKQ Corp.  46,411   1,852,727
Diversified Telecommunication Services 0.9% 
Verizon Communications, Inc.  93,219   4,186,465
Electric Utilities 1.7% 
NextEra Energy, Inc. 91,875 7,766,194
Electrical Equipment 0.9% 
Eaton Corp. plc 12,761 4,229,506
Electronic Equipment, Instruments & Components 0.5% 
CDW Corp. 10,786 2,440,872
Energy Equipment & Services 0.9% 
Schlumberger NV 102,136 4,284,605
Entertainment 0.5% 
Liberty Media Corp.-Liberty Formula One, Class C (a) 7,811 604,806
Walt Disney Co. (The) 16,666 1,603,102
    2,207,908
Financial Services 2.6% 
Block, Inc. (a) 19,992 1,342,063
Mastercard, Inc., Class A 7,680 3,792,384
Visa, Inc., Class A 24,389 6,705,755
    11,840,202

  Shares Value
Common Stocks
Food Products 0.8% 
Mondelez International, Inc., Class A  45,944 $   3,384,694
Ground Transportation 1.6% 
Saia, Inc. (a)   1,661      726,289
Uber Technologies, Inc. (a)  36,779    2,764,310
Union Pacific Corp.  15,463   3,811,320
    7,301,919
Health Care Equipment & Supplies 1.2% 
DexCom, Inc. (a)  15,613    1,046,696
IDEXX Laboratories, Inc. (a)   2,460    1,242,841
Intuitive Surgical, Inc. (a)   6,224   3,057,664
    5,347,201
Health Care Providers & Services 2.9% 
Cigna Group (The)  11,876    4,114,322
UnitedHealth Group, Inc.  15,115   8,837,438
    12,951,760
Hotels, Restaurants & Leisure 0.6% 
Airbnb, Inc., Class A (a) 6,561 832,001
Chipotle Mexican Grill, Inc. (a) 32,770 1,888,207
    2,720,208
Household Products 1.1% 
Colgate-Palmolive Co. 12,407 1,287,971
Procter & Gamble Co. (The) 21,965 3,804,338
    5,092,309
Industrial Conglomerates 0.7% 
Honeywell International, Inc. 14,606 3,019,206
Industrial REITs 1.4% 
Prologis, Inc. 51,018 6,442,553
Insurance 2.4% 
Marsh & McLennan Cos., Inc. 12,094 2,698,050
MetLife, Inc. 28,792 2,374,764
Progressive Corp. (The) 13,539 3,435,657
Prudential Financial, Inc. 17,827 2,158,850
    10,667,321
Interactive Media & Services 6.4% 
Alphabet, Inc., Class A 107,059 17,755,735
Meta Platforms, Inc., Class A 19,645 11,245,584
    29,001,319

  Shares Value
Common Stocks
IT Services 1.6% 
Accenture plc, Class A   9,793 $   3,461,630
International Business Machines Corp.  16,290   3,601,393
    7,063,023
Leisure Products 0.3% 
YETI Holdings, Inc. (a)  31,000   1,271,930
Life Sciences Tools & Services 3.1% 
Agilent Technologies, Inc.  29,447    4,372,290
Danaher Corp.  20,545    5,711,921
Thermo Fisher Scientific, Inc.   6,182   3,824,000
    13,908,211
Machinery 2.6% 
Cummins, Inc.  11,241    3,639,723
Deere & Co.   4,528    1,889,670
Parker-Hannifin Corp.   5,497    3,473,115
Xylem, Inc.  19,736   2,664,952
    11,667,460
Oil, Gas & Consumable Fuels 2.1% 
ConocoPhillips 45,877 4,829,931
EOG Resources, Inc. 36,956 4,543,001
    9,372,932
Pharmaceuticals 3.6% 
Bristol-Myers Squibb Co. 19,279 997,495
Eli Lilly & Co. 5,440 4,819,514
Merck & Co., Inc. 32,075 3,642,437
Novo Nordisk A/S, Class B 22,801 2,678,966
Zoetis, Inc. 20,158 3,938,470
    16,076,882
Semiconductors & Semiconductor Equipment 11.3% 
Advanced Micro Devices, Inc. (a) 35,395 5,807,612
Analog Devices, Inc. 19,677 4,529,055
Applied Materials, Inc. 17,850 3,606,593
ASML Holding NV 2,960 2,456,695
Broadcom, Inc. 28,164 4,858,290
NVIDIA Corp. 244,678 29,713,696
    50,971,941
Software 10.9% 
Adobe, Inc. (a) 2,225 1,152,060
Cadence Design Systems, Inc. (a) 13,385 3,627,737
Crowdstrike Holdings, Inc., Class A (a) 5,670 1,590,265
Dynatrace, Inc. (a) 14,502 775,422
Microsoft Corp. 83,502 35,930,911
Salesforce, Inc. 8,051 2,203,639

  Shares   Value
Common Stocks
Software  
ServiceNow, Inc. (a)   1,411   $   1,261,984
Workday, Inc., Class A (a)   9,854     2,408,416
      48,950,434
Specialized REITs 0.7% 
Equinix, Inc.   3,705     3,288,669
Specialty Retail 3.5% 
CarMax, Inc. (a)  16,324      1,263,151
Home Depot, Inc. (The)  18,452      7,476,750
TJX Cos., Inc. (The)  39,009      4,585,118
Tractor Supply Co.   8,935     2,599,460
      15,924,479
Technology Hardware, Storage & Peripherals 7.0% 
Apple, Inc. 135,677    31,612,741
Textiles, Apparel & Luxury Goods 0.3% 
Deckers Outdoor Corp. (a)   8,430     1,344,163
Trading Companies & Distributors 0.7% 
Ferguson Enterprises, Inc. 9,541   1,894,556
United Rentals, Inc. 1,733   1,403,262
      3,297,818
Total Common Stocks
(Cost $338,778,954)
    450,042,320
Exchange-Traded Fund 0.1%
iShares Core S&P 500 ETF 776   447,613
Total Exchange-Traded Fund
(Cost $426,330)
    447,613
Short-Term Investment 0.2%
Affiliated Investment Company 0.2% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 969,834   969,834
Total Short-Term Investment
(Cost $969,834)
    969,834
Total Investments
(Cost $340,175,118)
100.1%   451,459,767
Other Assets, Less Liabilities (0.1)   (305,794)
Net Assets 100.0%   $ 451,153,973
    

Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
(a) Non-income producing security.
(b) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 906 $ 33,592 $ (33,528) $ — $ — $ 970 $ 31 $ — 970
Foreign Currency Forward Contracts
As of September 30, 2024, the Portfolio held the following foreign currency forward contracts1:
Currency Purchased Currency Sold Counterparty Settlement
Date
Unrealized
Appreciation
(Depreciation)
USD 2,726,189 DKK 18,149,166 Morgan Stanley & Co. 12/20/24  $ 4,685
USD 384,064 EUR 342,983 Goldman Sachs & Co LLC 12/20/24  1,022
USD 69,841 EUR 62,397 Goldman Sachs & Co LLC 12/20/24    157
USD 230,436 EUR 205,646 JPMorgan Chase Bank N.A. 12/20/24    771
Total Unrealized Appreciation 6,635
DKK 2,712,319 USD 407,119 Morgan Stanley & Co. 12/20/24    (402)
USD 363,097 EUR 325,158 Citibank N.A. 12/20/24     (38)
USD 362,837 EUR 325,158 Goldman Sachs & Co LLC 12/20/24    (298)
USD 363,070 EUR 325,158 JPMorgan Chase Bank N.A. 12/20/24     (66)
USD 362,769 EUR 325,158 UBS AG 12/20/24    (366)
Total Unrealized Depreciation (1,170)
Net Unrealized Appreciation $ 5,465
    
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.
    
Abbreviation(s):
DKK—Denmark Krone
ETF—Exchange-Traded Fund
EUR—Euro
REIT—Real Estate Investment Trust
USD—United States Dollar

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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)              
Common Stocks  $ 450,042,320       $ —   $ —    $ 450,042,320
Exchange-Traded Fund      447,613       —          447,613
Short-Term Investment              
Affiliated Investment Company      969,834       —          969,834
Total Investments in Securities 451,459,767       451,459,767
Other Financial Instruments              
Foreign Currency Forward Contracts (b)           —    6,635            6,635
Total Investments in Securities and Other Financial Instruments $ 451,459,767   $ 6,635   $ —   $ 451,466,402
Liability Valuation Inputs              
Other Financial Instruments              
Foreign Currency Forward Contracts (b)           $ —    $ (1,170)   $ —          $ (1,170)
    
(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.

NYLI VP Schroders Mid Cap Opportunities Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 97.6%
Aerospace & Defense 3.7% 
BWX Technologies, Inc.    121,244 $  13,179,223
Hexcel Corp.    211,010  13,046,748
    26,225,971
Banks 2.6% 
Commerce Bancshares, Inc.    141,972    8,433,137
Fifth Third Bancorp    229,848   9,846,688
    18,279,825
Biotechnology 1.5% 
Exact Sciences Corp. (a)    158,744  10,813,641
Building Products 5.3% 
Advanced Drainage Systems, Inc.     67,614   10,626,216
Masco Corp.    129,459   10,866,788
Trane Technologies plc     24,257    9,429,424
Trex Co., Inc. (a)     97,141   6,467,648
    37,390,076
Capital Markets 2.9% 
MarketAxess Holdings, Inc. 37,025 9,485,805
Raymond James Financial, Inc. 88,814 10,876,162
    20,361,967
Chemicals 0.5% 
Westlake Corp. 24,020 3,609,966
Commercial Services & Supplies 3.4% 
Rentokil Initial plc, Sponsored ADR 591,564 14,747,691
Waste Connections, Inc. 53,188 9,511,078
    24,258,769
Communications Equipment 2.7% 
Ciena Corp. (a) 158,945 9,789,423
Motorola Solutions, Inc. 20,611 9,267,324
    19,056,747
Containers & Packaging 3.6% 
AptarGroup, Inc. 94,442 15,128,664
Avery Dennison Corp. 45,205 9,979,456
    25,108,120
Electric Utilities 1.3% 
Alliant Energy Corp. 152,603 9,261,476
Electrical Equipment 1.8% 
Regal Rexnord Corp. 76,881 12,753,020

  Shares Value
Common Stocks
Electronic Equipment, Instruments & Components 4.3% 
CDW Corp.     32,846 $   7,433,050
Teledyne Technologies, Inc. (a)     23,129   10,122,638
Zebra Technologies Corp., Class A (a)     34,713  12,854,918
    30,410,606
Entertainment 1.5% 
Take-Two Interactive Software, Inc. (a)     70,039  10,765,695
Food Products 3.2% 
Hershey Co. (The)     59,343   11,380,801
McCormick & Co., Inc. (Non-Voting)    140,141  11,533,604
    22,914,405
Health Care Equipment & Supplies 3.6% 
Cooper Cos., Inc. (The) (a)    101,530   11,202,820
Masimo Corp. (a)    107,280  14,303,643
    25,506,463
Health Care Providers & Services 3.2% 
Chemed Corp.     18,592   11,173,234
Encompass Health Corp. 117,240 11,330,074
    22,503,308
Health Care REITs 3.3% 
Alexandria Real Estate Equities, Inc. 92,800 11,020,000
Ventas, Inc. 195,351 12,527,860
    23,547,860
Hotels, Restaurants & Leisure 6.0% 
Aramark 587,642 22,759,375
Churchill Downs, Inc. 86,153 11,648,747
Domino's Pizza, Inc. 17,917 7,706,818
    42,114,940
Household Durables 1.0% 
Garmin Ltd. 40,933 7,205,436
Industrial REITs 0.9% 
Rexford Industrial Realty, Inc. 121,955 6,135,556
Insurance 7.4% 
Arthur J. Gallagher & Co. 37,559 10,567,976
Assurant, Inc. 87,483 17,396,869
Everest Group Ltd. 14,542 5,697,992
Reinsurance Group of America, Inc. 46,068 10,036,835
Ryan Specialty Holdings, Inc. 133,257 8,846,932
    52,546,604

  Shares Value
Common Stocks
Interactive Media & Services 3.1% 
Match Group, Inc. (a)    394,743 $  14,937,075
Pinterest, Inc., Class A (a)    211,887   6,858,782
    21,795,857
IT Services 3.9% 
Amdocs Ltd.    107,173    9,375,494
EPAM Systems, Inc. (a)     44,301    8,817,228
VeriSign, Inc. (a)     47,372   8,998,785
    27,191,507
Life Sciences Tools & Services 1.4% 
West Pharmaceutical Services, Inc.     33,429  10,034,049
Machinery 3.4% 
Dover Corp.     57,625   11,049,018
IDEX Corp.     59,179  12,693,895
    23,742,913
Multi-Utilities 1.3% 
CMS Energy Corp.    131,050   9,256,062
Oil, Gas & Consumable Fuels 3.0% 
Coterra Energy, Inc. 334,983 8,022,843
Devon Energy Corp. 139,059 5,439,988
Diamondback Energy, Inc. 43,188 7,445,611
    20,908,442
Professional Services 4.9% 
ExlService Holdings, Inc. (a) 264,007 10,071,867
Leidos Holdings, Inc. 44,722 7,289,686
Robert Half, Inc. 119,661 8,066,348
Verisk Analytics, Inc. 33,447 8,962,458
    34,390,359
Residential REITs 1.2% 
American Homes 4 Rent, Class A 228,406 8,768,506
Retail REITs 1.6% 
Brixmor Property Group, Inc. 402,350 11,209,471
Semiconductors & Semiconductor Equipment 2.8% 
Entegris, Inc. 93,576 10,530,107
ON Semiconductor Corp. (a) 124,245 9,021,430
    19,551,537
Software 5.0% 
AppLovin Corp., Class A (a) 94,979 12,399,508
Dolby Laboratories, Inc., Class A 183,069 14,010,271

  Shares   Value
Common Stocks
Software  
PTC, Inc. (a)     50,381   $   9,101,832
      35,511,611
Specialty Retail 1.2% 
Burlington Stores, Inc. (a)     31,455     8,287,763
Technology Hardware, Storage & Peripherals 1.1% 
Pure Storage, Inc., Class A (a)    157,258     7,900,642
Total Common Stocks
(Cost $639,300,012)
    689,319,170
Short-Term Investment 2.4%
Affiliated Investment Company 2.4% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 17,010,660    17,010,660
Total Short-Term Investment
(Cost $17,010,660)
    17,010,660
Total Investments
(Cost $656,310,672)
100.0%   706,329,830
Other Assets, Less Liabilities (0.0)‡   (323,235)
Net Assets 100.0%   $ 706,006,595
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 1,471 $ 157,652 $ (142,112) $ — $ — $ 17,011 $ 226 $ — 17,011
Abbreviation(s):
ADR—American Depositary Receipt
REIT—Real Estate Investment Trust

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 689,319,170   $ —   $ —    $ 689,319,170
Short-Term Investment              
Affiliated Investment Company   17,010,660         17,010,660
Total Investments in Securities $ 706,329,830   $ —   $ —   $ 706,329,830
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

NYLI VP Winslow Large Cap Growth Portfolio
Portfolio of Investments September 30, 2024†^(Unaudited)
  Shares Value
Common Stocks 99.5%
Aerospace & Defense 2.0% 
General Electric Co.   181,400 $    34,208,412
Automobiles 1.2% 
Tesla, Inc. (a)    77,700    20,328,651
Biotechnology 0.9% 
Alnylam Pharmaceuticals, Inc. (a)    58,500    16,089,255
Broadline Retail 8.3% 
Amazon.com, Inc. (a)   620,100    115,543,233
MercadoLibre, Inc. (a)    12,310    25,259,628
    140,802,861
Building Products 1.9% 
Trane Technologies plc    82,900    32,225,717
Capital Markets 2.0% 
KKR & Co., Inc.   255,800    33,402,364
Chemicals 1.0% 
Ecolab, Inc.    69,200    17,668,836
Commercial Services & Supplies 1.3% 
Waste Connections, Inc. 123,045 22,002,907
Construction Materials 1.2% 
Vulcan Materials Co. 78,230 19,591,139
Electrical Equipment 1.8% 
Eaton Corp. plc 90,300 29,929,032
Electronic Equipment, Instruments & Components 1.5% 
Amphenol Corp., Class A 396,700 25,848,972
Entertainment 4.1% 
Netflix, Inc. (a) 36,330 25,767,779
Spotify Technology SA (a) 119,100 43,891,923
    69,659,702
Financial Services 2.5% 
Mastercard, Inc., Class A 85,990 42,461,862
Ground Transportation 1.6% 
Uber Technologies, Inc. (a) 365,370 27,461,209

  Shares Value
Common Stocks
Health Care Equipment & Supplies 4.9% 
Boston Scientific Corp. (a)   216,020 $    18,102,476
Intuitive Surgical, Inc. (a)    81,430     40,004,116
Stryker Corp.    70,200    25,360,452
    83,467,044
Hotels, Restaurants & Leisure 4.2% 
Booking Holdings, Inc.     2,120      8,929,694
Chipotle Mexican Grill, Inc. (a)   367,300     21,163,826
Hilton Worldwide Holdings, Inc.    76,480     17,628,640
Starbucks Corp.   237,000    23,105,130
    70,827,290
Interactive Media & Services 10.2% 
Alphabet, Inc.    
Class A 244,760 40,593,446
Class C 222,400 37,183,056
 
Meta Platforms, Inc., Class A   168,150    96,255,786
    174,032,288
IT Services 1.1% 
Shopify, Inc., Class A (a) 236,600 18,961,124
Pharmaceuticals 2.5% 
Eli Lilly & Co. 47,570 42,144,166
Semiconductors & Semiconductor Equipment 17.7% 
Advanced Micro Devices, Inc. (a) 176,200 28,910,896
ASML Holding NV (Registered), ADR 28,750 23,955,937
Broadcom, Inc. 392,300 67,671,750
Lam Research Corp. 29,860 24,368,149
NVIDIA Corp. 1,145,350 139,091,304
Texas Instruments, Inc. 83,500 17,248,595
    301,246,631
Software 20.3% 
Adobe, Inc. (a) 27,720 14,352,862
Fair Isaac Corp. (a) 16,370 31,815,422
Intuit, Inc. 42,540 26,417,340
Microsoft Corp. 403,810 173,759,443
Oracle Corp. 126,900 21,623,760
ServiceNow, Inc. (a) 33,020 29,532,758
Synopsys, Inc. (a) 36,190 18,326,254
Workday, Inc., Class A (a) 122,720 29,993,995
    345,821,834
Specialty Retail 1.2% 
O'Reilly Automotive, Inc. (a) 17,300 19,922,680

  Shares   Value
Common Stocks
Technology Hardware, Storage & Peripherals 6.1% 
Apple, Inc.   448,850   $   104,582,050
Total Common Stocks
(Cost $1,157,909,815)
    1,692,686,026
Short-Term Investment 0.5%
Affiliated Investment Company 0.5% 
NYLI U.S. Government Liquidity Fund, 4.88% (b) 8,680,734       8,680,734
Total Short-Term Investment
(Cost $8,680,734)
    8,680,734
Total Investments
(Cost $1,166,590,549)
100.0%   1,701,366,760
Other Assets, Less Liabilities 0.0‡   196,995
Net Assets 100.0%   $ 1,701,563,755
    
Percentages indicated are based on Portfolio net assets.
^ Industry classifications may be different than those used for compliance monitoring purposes.
Less than one-tenth of a percent.
(a) Non-income producing security.
(b) Current yield as of September 30, 2024.
Investments in Affiliates (in 000's)
Investments in issuers considered to be affiliate(s) of the Portfolio during the period ended September 30, 2024 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:
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
NYLI U.S. Government Liquidity Fund $ 6,291 $ 279,328 $ (276,938) $ — $ — $ 8,681 $ 369 $ — 8,681
Abbreviation(s):
ADR—American Depositary Receipt

The following is a summary of the fair valuations according to the inputs used as of September 30, 2024, 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  $ 1,692,686,026   $ —   $ —    $ 1,692,686,026
Short-Term Investment              
Affiliated Investment Company      8,680,734            8,680,734
Total Investments in Securities $ 1,701,366,760   $ —   $ —   $ 1,701,366,760
    
(a) For a complete listing of investments and their industries, see the Portfolio of Investments.

New York Life Investments VP Funds Trust
Notes to Portfolios of Investments September 30, 2024 (Unaudited)
Securities Valuation.
Investments are usually valued as of the close of regular trading on the New York Stock Exchange (the "Exchange") (usually 4:00 p.m. Eastern time) on each day the Portfolios are open for business ("valuation date").
Pursuant to Rule 2a-5 under the 1940 Act, the Board of Trustees of the New York Life Investments VP Funds Trust (the "Board") has designated New York Life Investment Management LLC ("New York Life Investments" or the "Manager") as its Valuation Designee (the "Valuation Designee"). The Valuation Designee is responsible for performing fair valuations relating to all investments in the Portfolio’s portfolio for which market quotations are not readily available; periodically assessing and managing material valuation risks; establishing and applying fair value methodologies; testing fair valuation methodologies; evaluating and overseeing pricing services; ensuring appropriate segregation of valuation and portfolio management functions; providing quarterly, annual and prompt reporting to the Board, as appropriate; identifying potential conflicts of interest; and maintaining appropriate records. The Valuation Designee has established a valuation committee ("Valuation Committee") to assist in carrying out the Valuation Designee’s responsibilities and establish prices of securities for which market quotations are not readily available. The Portfolio’s and the Valuation Designee's policies and procedures ("Valuation Procedures") govern the Valuation Designee’s selection and application of methodologies for determining and calculating the fair value of Portfolio investments. The Valuation Designee may value the Portfolio's portfolio securities for which market quotations are not readily available and other Portfolio assets utilizing inputs from pricing services and other third-party sources. The Valuation Committee meets (in person, via electronic mail or via teleconference) on an ad-hoc basis to determine fair valuations and on a quarterly basis to review fair value events with respect to certain securities for which market quotations are not readily available, including valuation risks and back-testing results, and to preview reports to the Board.
The Valuation Committee establishes prices of securities for which market quotations are not readily available based on such methodologies and measurements on a regular basis after considering information that is reasonably available and deemed relevant by the Valuation Committee. The Board shall oversee the Valuation Designee and review fair valuation materials on a prompt, quarterly and annual basis and approve proposed revisions to the Valuation Procedures.
Investments for which market quotations are not readily available are valued at fair value as determined in good faith pursuant to the Valuation Procedures. A market quotation is readily available only when that quotation is a quoted price (unadjusted) in active markets for identical investments that each Portfolio can access at the measurement date, provided that a quotation will not be readily available if it is not reliable. "Fair value" is defined as the price the 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 (unadjusted) 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, 2024, 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 a market quotation is not readily available is valued by methods deemed reasonable in good faith by the Valuation Committee, following the Valuation Procedures to represent fair value. Under these procedures, the Valuation Designee generally uses a market-based approach which may use related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information. The Valuation Designee 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 the Valuation Procedures may differ from valuations for the same security determined for other funds using their own valuation procedures. Although the 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, 2024, 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 or otherwise does not have a readily available market quotation on a given day; (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 delisted from a national exchange; (v) a security subject to trading collars for which no or limited trading takes place; and (vi) 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 2 or 3 in the hierarchy.
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 of the 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 Valuation Designee conclude that such events may have affected the accuracy of the last price of such securities reported on the local foreign market, the Valuation Designee may, pursuant to the Valuation Procedures, 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 the Valuation Procedures and are generally categorized as Level 2 in the hierarchy.
If the principal market of certain foreign equity securities is closed in observance of a local foreign holiday, these securities are valued using the last closing price of regular trading on the relevant exchange and fair valued by applying factors provided by a third-party vendor in accordance with the Valuation Procedures. These securities are generally categorized as Level 2 in the hierarchy.
Equity securities, rights and warrants, if applicable, 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. These securities are generally categorized as Level 1 in the hierarchy.
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 within. These securities are generally categorized as Level 1 in the hierarchy.
Exchange-traded funds  (“ETFs”) 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. These securities are generally categorized as Level 1 in the hierarchy.
Investments in mutual funds, including money market funds, are valued at their respective NAVs at the close of business each day on the valuation date. These securities are generally categorized as Level 1 in the hierarchy.

Futures contracts are valued at the last posted settlement price on the market where such futures are primarily traded. These securities are generally categorized as Level 1 in the hierarchy.
Options contracts are valued at the last posted settlement price on the market where such options are primarily traded. These securities are generally categorized as Level 1 (exchanged-traded) or Level 2 (OTC) 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 Portfolio 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.
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 broker selected by the Valuation Designee, 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 Valuation Designee, 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 and 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.
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.
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 ("Short-Term Investments") 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 using the amortized cost method 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 fair valued in accordance with each Portfolio's procedures described above. The liquidity of each Portfolio's investments was determined as of September 30, 2024, and can change at any time.