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M%%%%'/+O^" ****.>7?\$ 4444<\N_X( HHHHYY=_P $ 4444<\N_P"" *** M*.>7?\$ 4444<\N_X( HHHHYY=_P0!1111SR[_@@"BBBCGEW_! %%%%'/+O^ >" ****.>7?\ ! %%%%'/+O\ @@"BBBCGEW_! ?_9 end NPORT-EX 3 NPORT_FDA7_92538278_0722.htm

Lord Abbett

Quarterly Portfolio Holdings Report

 

Lord Abbett

Alpha Strategy Fund

Durable Growth Fund

Focused Growth Fund

Focused Large Cap Value Fund

Focused Small Cap Value Fund

Fundamental Equity Fund

Global Equity Fund

Growth Leaders Fund

Health Care Fund

International Equity Fund

International Opportunities Fund

International Value Fund

Micro Cap Growth Fund

Value Opportunities Fund

 

For the period ended July 31, 2022

 

Schedule of Investments (unaudited)

ALPHA STRATEGY FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 100.01%    
           
INVESTMENTS IN UNDERLYING FUNDS(a)(b) 100.01% 
Lord Abbett Developing Growth Fund, Inc. - Class I*(c)   5,737,899   $139,545,710 
Lord Abbett Securities Trust-Focused Small Cap Value Fund-Class I*(d)   2,666,567    71,117,344 
Lord Abbett Securities Trust - International Opportunities Fund - Class I(d)   7,883,469    137,014,702 
Lord Abbett Securities Trust - Micro Cap Growth Fund - Class I*(d)   4,014,954    64,961,951 
Lord Abbett Research Fund, Inc. - Small Cap Value Fund - Class I(d)   7,973,483    140,173,827 
Lord Abbett Securities Trust-Value Opportunities Fund-Class I(d)   7,419,458    141,340,673 
Total Investments in Underlying Funds
(cost 731,941,657)
        694,154,207 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 0.03%          
           
Repurchase Agreements 0.03%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $200,300 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $196,266; proceeds: $192,384
(cost $192,371)
  $192,371   $192,371 
Total Investments in Securities 100.04%
(cost $732,134,028)
    694,346,578 
Other Assets and Liabilities – Net (0.04)%    (292,365)
Net Assets 100.00%       $694,054,213 

 

*   Non-income producing security.
(a)   Affiliated issuer.
(b)   These investments offer daily redemptions.
(c)   Fund investment objective is long-term growth of capital through a diversified and actively managed portfolio consisting of developing growth companies, many of which are traded over the counter.
(d)   Fund investment objective is long-term capital appreciation.


 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Investments in Underlying Funds  $694,154,207   $   $   $694,154,207 
Short-Term Investments                    
Repurchase Agreements       192,371        192,371 
Total  $694,154,207   $192,371   $   $694,346,578 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each in each investment in Underlying Funds. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 1
 

Schedule of Investments (unaudited)

DURABLE GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 97.47%          
           
COMMON STOCKS 97.47%          
           
Aerospace & Defense 3.58%          
Airbus SE(a)  EUR 24,515   $2,643,249 
CAE, Inc. (Canada)*(b)   72,804    1,927,850 
Northrop Grumman Corp.   12,124    5,806,183 
TransDigm Group, Inc.*   7,174    4,464,667 
Total        14,841,949 
           
Air Freight & Logistics 0.63%          
GXO Logistics, Inc.*   54,545    2,618,160 
           
Automobiles 4.02%          
Tesla, Inc.*   18,675    16,647,829 
           
Banks 1.14%          
First Republic Bank   29,009    4,720,054 
           
Beverages 2.69%          
Brown-Forman Corp. Class B   36,817    2,732,558 
Coca-Cola Co. (The)   131,009    8,406,847 
Total        11,139,405 
           
Biotechnology 1.92%          
BioNTech SE ADR   8,088    1,335,733 
Genmab A/S ADR*   79,648    2,837,062 
Seagen, Inc.*   21,145    3,805,677 
Total        7,978,472 
           
Capital Markets 0.86%          
Moody’s Corp.   11,493    3,565,703 
           
Chemicals 1.14%          
Air Products & Chemicals, Inc.   19,008    4,718,356 
           
Construction Materials 1.25%          
Vulcan Materials Co.   31,374    5,187,063 
           
Containers & Packaging 1.40%          
Avery Dennison Corp.   15,492    2,950,606 
Ball Corp.   38,916    2,857,213 
Total        5,807,819 
Investments  Shares   Fair
Value
 
Diversified Consumer Services 0.76%     
Service Corp. International   42,215  $3,143,329 
           
Entertainment 0.84%          
Roku, Inc.*   14,145    926,781 
Walt Disney Co. (The)*   23,942    2,540,246 
Total        3,467,027 
           
Equity Real Estate Investment Trusts 2.27%      
American Tower Corp.   10,941    2,963,151 
SBA Communications Corp.   19,222    6,454,555 
Total        9,417,706 
           
Food & Staples Retailing 1.70%          
Sysco Corp.   42,133    3,577,092 
Walmart, Inc.   26,203    3,460,106 
Total        7,037,198 
           
Health Care Equipment & Supplies 2.54%      
DexCom, Inc.*   39,319    3,227,303 
Edwards Lifesciences Corp.*   72,783    7,317,603 
Total        10,544,906 
           
Hotels, Restaurants & Leisure 2.18%      
Airbnb, Inc. Class A*   14,262    1,582,797 
Chipotle Mexican Grill, Inc.*   3,181    4,975,784 
Hilton Worldwide Holdings, Inc.   19,439    2,489,552 
Total        9,048,133 
           
Household Products 0.79%          
Church & Dwight Co., Inc.   37,350    3,285,680 
           
Industrial Conglomerates 0.83%          
Honeywell International, Inc.   17,816    3,428,867 
           
Information Technology Services 5.92%      
Accenture plc Class A (Ireland)(b)   9,194    2,815,754 
Fidelity National Information Services, Inc.   21,047    2,150,162 
Genpact Ltd.   84,012    4,039,297 
Mastercard, Inc. Class A   43,953    15,550,132 
Total        24,555,345 


 

2 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

DURABLE GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Interactive Media & Services 5.96%          
Alphabet, Inc. Class A*   166,118   $19,322,846 
Match Group, Inc.*   28,890    2,117,926 
Meta Platforms, Inc.Class A*   20,507    3,262,663 
Total        24,703,435 
           
Internet & Direct Marketing Retail 7.01%     
Amazon.com, Inc.*   215,504    29,082,265 
           
Life Sciences Tools & Services 2.98%     
Danaher Corp.   15,590    4,544,018 
Repligen Corp.*   18,925    4,037,838 
West Pharmaceutical Services, Inc.   11,038    3,792,215 
Total        12,374,071 
           
Machinery 1.18%          
Parker-Hannifin Corp.   9,988    2,887,431 
Stanley Black & Decker, Inc.   20,782    2,022,712 
Total        4,910,143 
           
Oil, Gas & Consumable Fuels 0.48%          
Pioneer Natural Resources Co.   8,411    1,992,987 
           
Personal Products 1.21%          
Estee Lauder Cos., Inc. (The) Class A   18,339    5,008,381 
           
Pharmaceuticals 4.44%          
Eli Lilly & Co.   29,123    9,601,562 
Novo Nordisk A/S ADR   31,344    3,637,784 
Zoetis, Inc.   28,414    5,186,976 
Total        18,426,322 
           
Road & Rail 1.95%          
Norfolk Southern Corp.   18,840    4,732,043 
Old Dominion Freight Line, Inc.   11,010    3,341,645 
Total        8,073,688 
Investments  Shares   Fair
Value
 
Semiconductors & Semiconductor Equipment 7.77% 
Advanced Micro Devices, Inc.*   11,868   $1,121,170 
Analog Devices, Inc.   29,732    5,112,715 
Lam Research Corp.   7,720    3,863,937 
NVIDIA Corp.   77,229    14,027,103 
NXP Semiconductors NV (Netherlands)(b)   15,444    2,839,843 
QUALCOMM, Inc.   36,288    5,263,937 
Total        32,228,705 
           
Software 16.28%          
Cadence Design Systems, Inc.*   39,562    7,361,697 
Datadog, Inc. Class A*   16,846    1,718,461 
Microsoft Corp.   142,309    39,951,829 
Palo Alto Networks, Inc.*   4,324    2,158,108 
Roper Technologies, Inc.   7,583    3,311,269 
Salesforce, Inc.*   36,509    6,718,386 
ServiceNow, Inc.*   14,084    6,290,759 
Total        67,510,509 
           
Specialty Retail 2.78%          
Burlington Stores, Inc.*   21,755    3,070,283 
Five Below, Inc.*   15,811    2,009,104 
Home Depot, Inc. (The)   21,450    6,455,163 
Total        11,534,550 
           
Technology Hardware, Storage & Peripherals 7.20% 
Apple, Inc.   183,638    29,843,011 
           
Textiles, Apparel & Luxury Goods 1.77%    
Lululemon Athletica, Inc. (Canada)*(b)   3,221    1,000,153 
NIKE, Inc. Class B   55,075    6,329,219 
Total        7,329,372 
Total Common Stocks
(cost $402,594,234)
        404,170,440 


 

  See Notes to Schedule of Investments. 3
 

Schedule of Investments (unaudited)(concluded)

DURABLE GROWTH FUND July 31, 2022

 

Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 1.48%      
           
Repurchase Agreements 1.48%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $5,165,100 of U.S. Treasury Inflation Indexed Note at 0.50% due 01/15/2028; value: $6,236,802; proceeds: $6,114,903
(cost $6,114,470)
  $6,114,470   $6,114,470 
Total Investments in Securities 98.95%
(cost $408,708,704)
        410,284,910 
Other Assets and Liabilities – Net 1.05%        4,366,546 
Net Assets 100.00%       $414,651,456 
     
ADR   American Depositary Receipt.
EUR   Euro.
*   Non-income producing security.
(a)   Investment in non-U.S. dollar denominated securities.
(b)   Foreign security traded in U.S. dollars.


 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Aerospace & Defense  $12,198,700   $2,643,249   $   $14,841,949 
Remaining Industries   389,328,491            389,328,491 
Short-Term Investments                    
Repurchase Agreements       6,114,470        6,114,470 
Total  $401,527,191   $8,757,719   $   $410,284,910 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

4 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

FOCUSED GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 97.16%          
           
COMMON STOCKS 97.16%          
           
Aerospace & Defense 1.77%          
Raytheon Technologies Corp.   6,843  $637,836 
           
Automobiles 5.60%          
Tesla, Inc.*   2,257    2,012,003 
           
Biotechnology 9.12%          
Argenx SE ADR*   2,416    879,931 
Cytokinetics, Inc.*   8,273    350,196 
Seagen, Inc.*   5,177    931,757 
Vertex Pharmaceuticals, Inc.*   3,973    1,114,069 
Total        3,275,953 
           
Chemicals 1.40%          
Albemarle Corp.   2,066    504,744 
           
Communications Equipment 2.79%          
Arista Networks, Inc.*   8,602    1,003,251 
           
Entertainment 2.64%          
Live Nation Entertainment, Inc.*   10,115    950,709 
           
Food & Staples Retailing 2.19%          
Costco Wholesale Corp.   1,453    786,509 
           
Health Care Equipment & Supplies 1.82% 
Edwards Lifesciences Corp.*   6,494    652,907 
           
Health Care Providers & Services 2.87% 
UnitedHealth Group, Inc.   1,899    1,029,904 
           
Hotels, Restaurants & Leisure 2.19%          
Airbnb, Inc. Class A*   7,090    786,848 
           
Information Technology Services 8.04% 
Mastercard, Inc. Class A   3,958    1,400,301 
MongoDB, Inc.*   2,319    724,618 
Visa, Inc. Class A   3,608    765,293 
Total        2,890,212 
Investments  Shares   Fair
Value
 
Interactive Media & Services 6.00%          
Alphabet, Inc. Class A*   18,543   $2,156,922 
           
Internet & Direct Marketing Retail 5.49%      
Amazon.com, Inc.*   10,503    1,417,380 
MercadoLibre, Inc. (Argentina)*(a)   682    554,950 
Total        1,972,330 
           
Oil, Gas & Consumable Fuels 2.64%          
Cheniere Energy, Inc.   6,353    950,282 
           
Pharmaceuticals 2.34%          
Novo Nordisk A/S ADR   7,233    839,462 
           
Semiconductors & Semiconductor Equipment 11.64% 
Advanced Micro Devices, Inc.*   7,679    725,435 
Enphase Energy, Inc.*   4,870    1,383,957 
KLA Corp.   1,456    558,434 
Monolithic Power Systems, Inc.   1,547    718,922 
NVIDIA Corp.   4,383    796,084 
Total        4,182,832 
           
Software 17.18%          
Atlassian Corp. plc Class A (Australia)*(a)   3,442    720,479 
Datadog, Inc. Class A*   5,942    606,143 
Intuit, Inc.   1,444    658,710 
Microsoft Corp.   11,987    3,365,230 
Palo Alto Networks, Inc.*   1,649    823,016 
Total        6,173,578 
           
Technology Hardware, Storage & Peripherals 9.48% 
Apple, Inc.   20,955    3,405,397 
           
Textiles, Apparel & Luxury Goods 1.96%      
Lululemon Athletica, Inc. (Canada)*(a)   2,270    704,858 
Total Common Stocks
(cost $35,429,620)
        34,916,537 


 

  See Notes to Schedule of Investments. 5
 

Schedule of Investments (unaudited)(concluded)

FOCUSED GROWTH FUND July 31, 2022

 

Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 4.30%          
           
Repurchase Agreements 4.30%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $1,757,700 of U.S. Treasury Note at 0.50% due 08/31/2027; value: $1,575,786; proceeds: $1,544,945
(cost $1,544,835)
  $1,544,835   $1,544,835 
Total Investments in Securities 101.46%
(cost $36,974,455)
        36,461,372 
Other Assets and Liabilities – Net (1.46)%        (522,937)
Net Assets 100.00%       $35,938,435 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.


 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks  $34,916,537   $   $   $34,916,537 
Short-Term Investments                    
Repurchase Agreements       1,544,835        1,544,835 
Total  $34,916,537   $1,544,835   $   $36,461,372 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

6 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

FOCUSED LARGE CAP VALUE FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 95.36%  
           
COMMON STOCKS 95.36%          
           
Aerospace & Defense 3.77%          
Raytheon Technologies Corp.   108,270   $10,091,847 
           
Automobiles 2.56%          
General Motors Co.*   188,820    6,846,613 
           
Banks 6.41%          
Popular, Inc.   96,350    7,483,504 
Wells Fargo & Co.   220,010    9,651,839 
Total        17,135,343 
           
Biotechnology 5.86%          
AbbVie, Inc.   64,290    9,226,258 
Horizon Therapeutics plc*   77,800    6,455,066 
Total        15,681,324 
           
Building Products 2.56%          
Masco Corp.   123,810    6,856,598 
           
Capital Markets 7.89%          
Ameriprise Financial, Inc.   37,850    10,216,472 
KKR & Co., Inc.   196,280    10,885,689 
Total        21,102,161 
           
Chemicals 2.61%          
Valvoline, Inc.   217,000    6,991,740 
           
Communications Equipment 2.11%
Cisco Systems, Inc.   124,120    5,631,324 
           
Construction Materials 2.56%          
Eagle Materials, Inc.   54,150    6,847,267 
           
Electric: Utilities 3.15%          
NRG Energy, Inc.   223,160    8,424,290 
           
Energy Equipment & Services 2.07%
Schlumberger NV   149,300    5,528,579 
Investments  Shares   Fair
Value
 
Food & Staples Retailing 2.37%          
BJ’s Wholesale Club Holdings, Inc.*   93,610   $6,337,397 
           
Health Care Providers & Services 6.87%
Centene Corp.*   96,590    8,979,972 
CVS Health Corp.   98,260    9,401,517 
Total        18,381,489 
           
Hotels, Restaurants & Leisure 2.41%
Caesars Entertainment, Inc.*   140,970    6,440,919 
           
Household Products 1.90%          
Spectrum Brands Holdings, Inc.   73,050    5,079,897 
           
Information Technology Services 5.24%
Euronet Worldwide, Inc.*   65,570    6,443,564 
Fiserv, Inc.*   71,780    7,585,710 
Total        14,029,274 
           
Insurance 5.80%          
Allstate Corp. (The)   85,770    10,032,517 
Fidelity National Financial, Inc.   137,410    5,490,903 
Total        15,523,420 
           
Machinery 2.87%          
Parker-Hannifin Corp.   26,540    7,672,449 
           
Media 2.26%          
Comcast Corp. Class A   161,390    6,055,353 
           
Metals & Mining 1.02%          
Alcoa Corp.   53,800    2,737,882 
           
Multi-Line Retail 2.74%          
Target Corp.   44,870    7,330,861 
           
Oil, Gas & Consumable Fuels 5.96%
Chesapeake Energy Corp.   78,180    7,362,210 
Pioneer Natural Resources Co.   16,720    3,961,804 
Shell plc ADR   86,620    4,623,776 
Total        15,947,790 

 

  See Notes to Schedule of Investments. 7
 

Schedule of Investments (unaudited)(concluded)

FOCUSED LARGE CAP VALUE FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Pharmaceuticals 6.82%          
Organon & Co.   289,770   $9,191,505 
Pfizer, Inc.   179,430    9,063,009 
Total        18,254,514 
           
Semiconductors & Semiconductor Equipment 2.02%
Micron Technology, Inc.   87,310    5,400,997 
           
Trading Companies & Distributors 2.40%
AerCap Holdings NV (Ireland)*(a)   143,070    6,418,120 
           
Wireless Telecommunication Services 3.13%
T-Mobile US, Inc.*   58,530    8,373,302 
Total Common Stocks
(cost $270,354,603)
        255,120,750 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 4.50%  
           
Repurchase Agreements 4.50%
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $13,710,700 of U.S. Treasury Note at 0.50% due 8/31/2027; value: $12,291,706; proceeds: $12,051,545
(cost $12,050,692)
  $12,050,692   $12,050,692 
Total Investments in Securities 99.86%
(cost $282,405,295)
        267,171,442 
Other Assets and Liabilities – Net 0.14%        365,421 
Net Assets 100.00%       $267,536,863 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks  $255,120,750   $   $   $255,120,750 
Short-Term Investments                    
Repurchase Agreements       12,050,692        12,050,692 
Total  $255,120,750   $12,050,692   $   $267,171,442 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

8 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

FOCUSED SMALL CAP VALUE FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 98.41%  
           
COMMON STOCKS 98.41%          
           
Banks 13.87%          
Eastern Bankshares, Inc.   188,552   $3,846,461 
First BanCorp   293,155    4,423,709 
Heritage Financial Corp.   85,000    2,211,700 
Prosperity Bancshares, Inc.   36,175    2,680,206 
SouthState Corp.   31,229    2,647,282 
Western Alliance Bancorp   20,473    1,563,728 
Wintrust Financial Corp.   36,529    3,142,955 
Total        20,516,041 
           
Building Products 3.09%          
Masonite International Corp.*   50,244    4,573,711 
           
Capital Markets 4.10%          
Bridge Investment Group Holdings, Inc. Class A   222,278    3,785,394 
CI Financial Corp.(a)   CAD 198,500    2,287,970 
Total        6,073,364 
           
Commercial Services & Supplies 3.63%      
SP Plus Corp.*   156,618    5,365,733 
           
Construction & Engineering 2.97%       
EMCOR Group, Inc.   37,814    4,400,415 
           
Construction Materials 3.62%          
Eagle Materials, Inc.   42,341    5,354,019 
           
Containers & Packaging 2.63%       
Pactiv Evergreen, Inc.   380,600    3,889,732 
           
Electronic Equipment, Instruments & Components 2.90% 
Belden, Inc.   66,421    4,298,767 
           
Energy Equipment & Services 3.23%
NOV, Inc.   122,764    2,284,638 
TechnipFMC PLC (United Kingdom)*(b)   308,419    2,495,110 
Total        4,779,748 
Investments  Shares   Fair
Value
 
Entertainment 2.83%          
Marcus Corp. (The)*   254,569   $4,182,569 
           
Equity Real Estate Investment Trusts 7.28%
Outfront Media, Inc.   136,767    2,524,719 
Physicians Realty Trust   182,899    3,250,115 
Sunstone Hotel Investors, Inc.*   440,672    4,992,814 
Total        10,767,648 
           
Health Care Providers & Services 3.04%
Tenet Healthcare Corp.*   67,982    4,494,970 
           
Hotels, Restaurants & Leisure 1.47%
Dave & Buster’s Entertainment, Inc.*   58,200    2,174,352 
           
Household Products 3.85%          
Reynolds Consumer Products, Inc.   96,200    2,795,572 
Spectrum Brands Holdings, Inc.   41,662    2,897,176 
Total        5,692,748 
           
Information Technology Services 4.11%
International Money Express, Inc.*   252,777    6,076,759 
           
Insurance 6.80%          
Kemper Corp.   73,209    3,426,181 
Selective Insurance Group, Inc.   48,942    3,810,624 
Stewart Information Services Corp.   51,594    2,819,612 
Total        10,056,417 
           
Interactive Media & Services 2.81%
Cars.com, Inc.*   353,757    4,160,182 
           
Machinery 2.98%          
Columbus McKinnon Corp.   133,366    4,414,415 
           
Metals & Mining 0.62%          
Century Aluminum Co.*   117,119    924,069 

 

  See Notes to Schedule of Investments. 9
 

Schedule of Investments (unaudited)(continued)

FOCUSED SMALL CAP VALUE FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Oil, Gas & Consumable Fuels 5.26%  
Chesapeake Energy Corp.   58,079   $5,469,299 
MEG Energy Corp.*(a)   CAD 167,600    2,307,437 
Total        7,776,736 
           
Pharmaceuticals 4.00%          
Organon & Co.   186,417    5,913,147 
           
Professional Services 3.17%          
TrueBlue, Inc.*   216,600    4,687,224 
           
Real Estate Management & Development 2.33%
Marcus & Millichap, Inc.   84,191    3,445,096 
           
Specialty Retail 2.69%          
Boot Barn Holdings, Inc.*   20,929    1,303,877 
Sally Beauty Holdings, Inc.*   209,669    2,679,570 
Total        3,983,447 
           
Textiles, Apparel & Luxury Goods 0.85%
Deckers Outdoor Corp.*   4,021    1,259,417 
           
Tobacco 1.35%          
Turning Point Brands, Inc.   83,571    2,005,704 
           
Trading Companies & Distributors 2.93%
MRC Global, Inc.*   373,705    4,342,452 
Total Common Stocks
(cost $146,302,693)
        145,608,882 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 1.70%  
           
Repurchase Agreements 1.70%
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $2,623,700 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $2,570,855; proceeds: $2,520,538
(cost $2,520,359)
  $2,520,359   $2,520,359 
Total Investments in Securities 100.11%
(cost $148,823,052)
        148,129,241 
Other Assets and Liabilities – Net (0.11)%        (164,983)
Net Assets 100.00%       $147,964,258 

 

CAD   Canadian Dollar.
*   Non-income producing security.
(a)   Investment in non-U.S. dollar denominated securities.
(b)   Foreign security traded in U.S. dollars.

 

10 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(concluded)

FOCUSED SMALL CAP VALUE FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type  Level 1   Level 2   Level 3   Total 
Long-Term Investments(2)                    
Common Stocks  $145,608,882   $   $   $145,608,882 
Short-Term Investments                    
Repurchase Agreements       2,520,359        2,520,359 
Total  $145,608,882   $2,520,359   $   $148,129,241 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 11
 

Schedule of Investments (unaudited)

FUNDAMENTAL EQUITY FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 97.44%  
           
COMMON STOCKS 97.44%          
           
Aerospace & Defense 4.24%          
Lockheed Martin Corp.   79,500   $32,897,895 
Raytheon Technologies Corp.   485,450    45,248,795 
Total        78,146,690 
           
Automobiles 1.55%          
General Motors Co.*   790,390    28,659,541 
           
Banks 3.68%          
East West Bancorp, Inc.   429,460    30,826,639 
Wells Fargo & Co.   843,080    36,985,919 
Total        67,812,558 
           
Biotechnology 1.96%          
AbbVie, Inc.   251,990    36,163,085 
           
Building Products 1.44%          
Masco Corp.   479,690    26,565,232 
           
Capital Markets 5.86%          
Ameriprise Financial, Inc.   130,590    35,248,853 
Blackstone Group, Inc. (The)   279,260    28,504,068 
Charles Schwab Corp. (The)   213,290    14,727,675 
Morgan Stanley   349,660    29,476,338 
Total        107,956,934 
           
Chemicals 2.45%          
Dow, Inc.   261,970    13,939,424 
Valvoline, Inc.   967,300    31,166,406 
Total        45,105,830 
           
Communications Equipment 1.49%
Cisco Systems, Inc.   606,520    27,517,812 
           
Construction & Engineering 1.43%
EMCOR Group, Inc.   225,940    26,292,638 
Investments  Shares   Fair
Value
 
Consumer Finance 1.45%          
American Express Co.   173,420   $26,710,148 
           
Containers & Packaging 1.15%          
Avery Dennison Corp.   111,550    21,245,813 
           
Diversified Financial Services 0.77%
Equitable Holdings, Inc.   499,260    14,193,962 
           
Electric: Utilities 2.66%          
NextEra Energy, Inc.   322,090    27,213,384 
NRG Energy, Inc.   577,370    21,795,718 
Total        49,009,102 
           
Electronic Equipment, Instruments & Components 1.06%
Teledyne Technologies, Inc.*   49,900    19,530,860 
           
Energy Equipment & Services 1.65%
Schlumberger NV   820,360    30,377,931 
           
Equity Real Estate Investment Trusts 3.91%
American Homes 4 Rent Class A   526,630    19,948,744 
Life Storage, Inc.   183,940    23,156,207 
Prologis, Inc.   218,540    28,969,662 
Total        72,074,613 
           
Food & Staples Retailing 1.72%          
BJ’s Wholesale Club Holdings, Inc.*   467,410    31,643,657 
           
Health Care Providers & Services 5.99%
CVS Health Corp.   279,760    26,767,437 
McKesson Corp.   80,870    27,623,575 
UnitedHealth Group, Inc.   103,400    56,077,956 
Total        110,468,968 
           
Hotels, Restaurants & Leisure 2.13%
Caesars Entertainment, Inc.*   483,750    22,102,537 
Hilton Worldwide Holdings, Inc.   134,080    17,171,626 
Total        39,274,163 

 

12 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

FUNDAMENTAL EQUITY FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Household Products 3.24%          
Clorox Co. (The)   124,760   $17,695,958 
Procter & Gamble Co. (The)   302,660    42,042,501 
Total        59,738,459 
           
Information Technology Services 1.56%
Fiserv, Inc.*   271,530    28,695,290 
           
Insurance 7.15%          
Allstate Corp. (The)   296,240    34,651,193 
American International Group, Inc.   330,230    17,096,007 
Arch Capital Group Ltd.*   539,390    23,948,916 
Arthur J Gallagher & Co.   210,150    37,614,749 
Fidelity National Financial, Inc.   460,640    18,407,174 
Total        131,718,039 
           
Interactive Media & Services 2.18%
Alphabet, Inc. Class A*   345,270    40,161,806 
           
Life Sciences Tools & Services 1.64%
Thermo Fisher Scientific, Inc.   50,630    30,297,498 
           
Machinery 1.86%          
Parker-Hannifin Corp.   118,490    34,254,274 
           
Media 1.93%          
Comcast Corp. Class A   948,480    35,586,970 
           
Metals & Mining 1.73%          
Alcoa Corp.   239,650    12,195,789 
Reliance Steel & Aluminum Co.   103,350    19,662,337 
Total        31,858,126 
           
Multi-Line Retail 1.50%          
Target Corp.   169,730    27,730,487 
Investments  Shares   Fair
Value
 
Oil, Gas &Consumable Fuels 6.37%          
Chesapeake Energy Corp.    443,610    $41,774,754 
Pioneer Natural Resources Co.   151,170    35,819,731 
Shell plc ADR   747,000    39,874,860 
Total        117,469,345 
           
Pharmaceuticals 6.11%          
Eli Lilly & Co.   56,930    18,769,252 
Organon & Co.   1,258,910    39,932,625 
Pfizer, Inc.   1,067,760    53,932,558 
Total        112,634,435 
           
Professional Services 1.04%          
Jacobs Engineering Group, Inc.   139,150    19,105,295 
           
Road & Rail 1.44%          
Norfolk Southern Corp.   105,860    26,588,856 
           
Semiconductors & Semiconductor Equipment 4.31%
KLA Corp.   55,270    21,198,256 
Micron Technology, Inc.   331,020    20,476,897 
Taiwan Semiconductor Manufacturing Co. Ltd. ADR   123,560    10,932,589 
Texas Instruments, Inc.   149,880    26,812,033 
Total        79,419,775 
           
Software 1.77%          
Microsoft Corp.   116,480    32,700,595 
           
Specialty Retail 2.55%          
AutoZone, Inc.*   8,180    17,483,850 
Lowe’s Cos., Inc.   153,690    29,436,246 
Total        46,920,096 
           
Technology Hardware, Storage & Peripherals 1.53%
NetApp, Inc.   395,730    28,227,421 


 

  See Notes to Schedule of Investments. 13
 

Schedule of Investments (unaudited)(concluded)

FUNDAMENTAL EQUITY FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Trading Companies & Distributors 1.46%
AerCap Holdings NV (Ireland)*(a)   602,020   $27,006,617 
           
Wireless Telecommunication Services 1.48% 
T-Mobile US, Inc.*   190,130    27,199,998 
Total Common Stocks
(cost $1,544,702,076)
        1,796,062,919 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 2.50%          
           
Repurchase Agreements 2.50%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $47,886,200 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $46,921,705; proceeds: $46,004,884
(cost $46,001,625)
  $46,001,625   $46,001,625 
Total Investments in Securities 99.94%
(cost $1,590,703,701)
        1,842,064,544 
Other Assets and Liabilities – Net 0.06%        1,155,683 
Net Assets 100.00%       $1,843,220,227 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks  $1,796,062,919   $   $   $1,796,062,919 
Short-Term Investments                    
Repurchase Agreements       46,001,625        46,001,625 
Total  $1,796,062,919   $46,001,625   $   $1,842,064,544 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

14 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

GLOBAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 96.42%          
           
COMMON STOCKS 96.42%          
           
Australia 1.67%          
           
Equity Real Estate Investment Trusts 0.81%          
Charter Hall Group   9,120   $82,419 
           
Metals & Mining 0.86%          
BHP Group Ltd.   3,225    88,253 
Total Australia        170,672 
           
Austria 0.98%          
           
Banks          
BAWAG Group AG*   2,173    100,327 
           
Brazil 0.51%          
           
Internet & Direct Marketing Retail          
MercadoLibre, Inc.*   64    52,077 
           
Canada 4.11%          
           
Banks 1.86%          
Royal Bank of Canada   1,953    190,427 
           
Chemicals 0.50%          
Nutrien Ltd.   598    51,191 
           
Food & Staples Retailing 1.49%          
Alimentation Couche-Tard, Inc.   3,415    152,569 
           
Metals & Mining 0.26%          
Capstone Copper Corp.*   11,497    25,947 
Total Canada        420,134 
           
China 5.24%          
           
Beverages 0.83%          
Kweichow Moutai Co. Ltd. Class A   300    84,525 
Investments  Shares   U.S. $
Fair Value
 
China (continued)          
           
Construction Materials 0.77%          
China Resources Cement Holdings Ltd.   128,252   $78,888 
           
Entertainment 0.63%          
NetEase, Inc.   3,416    63,902 
           
Gas Utilities 0.92%          
ENN Energy Holdings Ltd.   5,770    94,124 
           
Interactive Media & Services 0.80%          
Tencent Holdings Ltd.   2,125    82,129 
           
Internet & Direct Marketing Retail 1.29%          
Alibaba Group Holding Ltd.*    7,146    80,346 
JD.com, Inc. Class A   1,720    51,312 
         131,658 
Total China        535,226 
           
Denmark 2.01%          
           
Biotechnology 0.96%          
Genmab A/S*   274    97,495 
           
Pharmaceuticals 1.05%          
Novo Nordisk A/S Class B   921    107,272 
Total Denmark        204,767 
           
France 4.47%          
           
Beverages 1.18%          
Pernod Ricard SA   616    121,010 
           
Life Sciences Tools & Services 1.08%          
Sartorius Stedim Biotech   275    110,011 
           
Professional Services 0.27%          
Teleperformance   83    27,755 
           
Software 0.22%          
Esker SA   149    22,381 


 

  See Notes to Schedule of Investments. 15
 

Schedule of Investments (unaudited)(continued)

GLOBAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
France (continued)          
           
Textiles, Apparel & Luxury Goods 1.72%          
LVMH Moet Hennessy Louis Vuitton SE   253   $175,672 
Total France        456,829 
           
Germany 0.40%          
           
Semiconductors & Semiconductor Equipment          
Infineon Technologies AG   1,501    41,164 
           
India 0.72%          
           
Banks          
ICICI Bank Ltd. ADR   3,548    73,727 
           
Japan 4.30%          
           
Electrical Equipment 0.69%          
Fuji Electric Co. Ltd.   1,562    70,549 
           
Electronic Equipment, Instruments & Components 0.71% 
Keyence Corp.   184    72,927 
           
Household Durables 0.98%          
Sony Group Corp.   1,174    99,588 
           
Machinery 1.16%          
Fujitec Co. Ltd.   5,499    118,041 
           
Professional Services 0.76%          
TechnoPro Holdings, Inc.   3,362    78,128 
Total Japan        439,233 
           
Mexico 0.91%          
           
Banks          
Grupo Financiero Banorte SAB de CV Class O   16,408    93,359 
Investments  Shares   U.S. $
Fair Value
 
Netherlands 4.95%          
           
Insurance 1.45%          
NN Group NV   3,142   $147,430 
           
Oil, Gas & Consumable Fuels 2.58%          
Shell plc   9,881    263,589 
           
Semiconductors & Semiconductor Equipment 0.92%
ASML Holding NV   164    94,260 
Total Netherlands        505,279 
           
South Korea 1.28%          
           
Technology Hardware, Storage & Peripherals          
Samsung Electronics Co. Ltd.   2,771    131,166 
           
Spain 1.85%          
           
Electric: Utilities          
Iberdrola SA   17,187    183,531 
Iberdrola SA   465    4,958 
         188,489 
           
Sweden 0.63%          
           
Electronic Equipment, Instruments & Components          
Hexagon AB B Shares   5,472    64,430 
           
Taiwan 1.34%          
           
Semiconductors & Semiconductor Equipment
Taiwan Semiconductor Manufacturing Co. Ltd.   7,980    136,854 
           
United Kingdom 3.30%          
           
Capital Markets 0.48%          
London Stock Exchange Group plc   509    49,675 


 

16 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

GLOBAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United Kingdom (continued)          
           
Equity Real Estate Investment Trusts 0.71%          
UNITE Group plc (The)   5,083   $72,470 
           
Multi-Line Retail 0.80%          
Next plc   983    81,836 
           
Personal Products 1.31%          
Unilever plc   2,742    133,543 
Total United Kingdom        337,524 
           
United States 57.75%          
           
Aerospace & Defense 1.71%          
Northrop Grumman Corp.   248    118,767 
TransDigm Group, Inc.*   90    56,011 
         174,778 
           
Automobiles 0.20%          
General Motors Co.*   563    20,414 
           
Banks 0.48%          
JPMorgan Chase & Co.   426    49,143 
           
Biotechnology 1.65%          
Vertex Pharmaceuticals, Inc.*    601    168,526 
           
Building Products 1.61%          
Carlisle Cos., Inc.   556    164,632 
           
Capital Markets 4.91%          
Ameriprise Financial, Inc.   551    148,726 
Cboe Global Markets, Inc.   1,471    181,492 
KKR & Co., Inc.   955    52,964 
Morgan Stanley   1,410    118,863 
         502,045 
           
Chemicals 1.26%          
Valvoline, Inc.   4,002    128,945 
Investments  Shares   U.S. $
Fair Value
 
United States (continued)          
           
Consumer Finance 0.47%          
American Express Co.   314   $48,362 
           
Containers & Packaging 0.87%          
Avery Dennison Corp.   466    88,754 
           
Electric: Utilities 1.38%          
NextEra Energy, Inc.   1,667    140,845 
           
Electrical Equipment 0.75%          
AMETEK, Inc.   624    77,064 
           
Entertainment 0.49%          
Live Nation Entertainment, Inc.*   527    49,533 
           
Equity Real Estate Investment Trusts 1.57%          
Alexandria Real Estate Equities, Inc.   377    62,499 
Prologis, Inc.   737    97,697 
         160,196 
           
Food & Staples Retailing 1.94%          
BJ’s Wholesale Club Holdings, Inc.*   1,809    122,469 
Walmart, Inc.   575    75,929 
         198,398 
           
Health Care Equipment & Supplies 0.64%          
DexCom, Inc.*   429    35,212 
Intuitive Surgical, Inc.*   130    29,922 
         65,134 
           
Health Care Providers & Services 3.29%          
UnitedHealth Group, Inc.   620    336,251 
           
Hotels, Restaurants & Leisure 0.54%          
Airbnb, Inc. Class A*   493    54,713 
           
Information Technology Services 1.21%          
Accenture plc Class A   404    123,729 


 

  See Notes to Schedule of Investments. 17
 

Schedule of Investments (unaudited)(continued)

GLOBAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United States (continued)          
           
Insurance 1.56%          
Allstate Corp. (The)   959   $112,174 
American Financial Group, Inc./OH   354    47,323 
         159,497 
           
Interactive Media & Services 4.01%          
Alphabet, Inc. Class A*   3,520    409,446 
           
Internet & Direct Marketing Retail 2.28%          
Amazon.com, Inc.*   1,722    232,384 
           
Life Sciences Tools & Services 1.64%          
Thermo Fisher Scientific, Inc.    280    167,555 
           
Machinery 1.41%          
Crane Holdings Co.   1,221    120,794 
Fortive Corp.   363    23,395 
         144,189 
           
Oil, Gas & Consumable Fuels 3.35%          
Cheniere Energy, Inc.   408    61,029 
Marathon Petroleum Corp.   2,093    191,844 
Pioneer Natural Resources Co.   376    89,093 
         341,966 
           
Personal Products 0.80%          
Estee Lauder Cos., Inc. (The) Class A   299    81,657 
           
Pharmaceuticals 2.93%          
Eli Lilly & Co.   501    165,175 
Organon & Co.   4,239    134,461 
         299,636 
           
Road & Rail 1.43%          
Norfolk Southern Corp.   583    146,432 
Investments  Shares   U.S. $
Fair Value
 
United States (continued)          
           
Semiconductors & Semiconductor Equipment 1.07%
NVIDIA Corp.   602   $109,341 
           
Software 6.11%          
Cadence Design Systems, Inc.*    557    103,646 
Microsoft Corp.   1,805    506,736 
Trade Desk, Inc. (The) Class A*   312    14,040 
         624,422 
           
Specialty Retail 0.91%          
Lowe’s Cos., Inc.   487    93,275 
           
Technology Hardware, Storage & Peripherals 4.68%
Apple, Inc.   2,944    478,430 
           
Textiles, Apparel & Luxury Goods 0.60%
NIKE, Inc. Class B   530    60,908 
Total United States        5,900,600 
Total Common Stocks
(cost $9,900,143)
        9,851,857 
           
   Principal
Amount
      
           
SHORT-TERM INVESTMENTS 3.35%          
           
Repurchase Agreements 3.35%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $288,700 of U.S. Treasury Inflation Indexed Note at 0.50% due 1/15/2028; value: $348,602; proceeds: $341,711
(cost $341,687)
  $341,687    341,687 


 

18 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(concluded)

GLOBAL EQUITY FUND July 31, 2022

 

Investments  U.S. $
Fair Value
 
Total Investments in Securities 99.77%
(cost $10,241,830)
  $10,193,544 
Other Assets and Liabilities – Net 0.23%   23,679 
Net Assets 100.00%  $10,217,223 

 

ADR   American Depositary Receipt.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At July 31, 2022, the total value of Rule 144A securities was $100,327, which represents 0.98% of net assets.
*   Non-income producing security.

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total  
Long-Term Investments                     
Common Stocks                     
Australia  $   $170,672   $   $170,672  
Austria       100,327        100,327  
China       535,226        535,226  
Denmark       204,767        204,767  
France       456,829        456,829  
Germany       41,164        41,164  
Japan       439,233        439,233  
Netherlands       505,279        505,279  
South Korea       131,166        131,166  
Spain       188,489        188,489  
Sweden       64,430        64,430  
Taiwan       136,854        136,854  
United Kingdom       337,524        337,524  
Remaining Countries   6,539,897            6,539,897  
Short-Term Investments                     
Repurchase Agreements       341,687        341,687  
Total  $6,539,897   $3,653,647   $   $10,193,544  
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 19
 

Schedule of Investments (unaudited)

GROWTH LEADERS FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 96.00%          
           
COMMON STOCKS 96.00%          
           
Aerospace & Defense 1.20%          
Raytheon Technologies Corp.   828,791  $77,251,609 
           
Automobiles 5.12%          
Tesla, Inc.*   368,846    328,807,767 
           
Beverages 0.71%          
Constellation Brands, Inc. Class A   186,181    45,858,242 
           
Biotechnology 6.58%          
Argenx SE ADR*   254,839    92,814,912 
Cytokinetics, Inc.*   2,021,412    85,566,370 
Seagen, Inc.*   567,030    102,054,060 
Vertex Pharmaceuticals, Inc.*   508,454    142,575,586 
Total        423,010,928 
           
Chemicals 0.73%          
Albemarle Corp.   192,802    47,103,457 
           
Communications Equipment 1.74%          
Arista Networks, Inc.*   955,927    111,489,766 
           
Electronic Equipment, Instruments & Components 0.76%
Trimble, Inc.*   703,567    48,848,657 
           
Entertainment 2.04%          
Liberty Media Corp.-Liberty Formula One Class C*   721,586    48,901,883 
Live Nation Entertainment, Inc.*   873,994    82,146,696 
Total        131,048,579 
           
Food & Staples Retailing 1.54%          
Costco Wholesale Corp.   182,719    98,905,795 
Investments  Shares   Fair
Value
 
Health Care Equipment & Supplies 1.93%          
Edwards Lifesciences Corp.*   894,702  $89,953,339 
iRhythm Technologies, Inc.*   218,877    33,844,951 
Total        123,798,290 
           
Health Care Providers & Services 2.83%          
Centene Corp.*   872,343    81,101,729 
UnitedHealth Group, Inc.   185,738    100,733,147 
Total        181,834,876 
           
Hotels, Restaurants & Leisure 4.53%          
Airbnb, Inc. Class A*   751,483    83,399,583 
Booking Holdings, Inc.*   31,179    60,352,878 
Chipotle Mexican Grill, Inc.*   55,485    86,790,747 
Marriott International, Inc. Class A   381,168    60,537,102 
Total        291,080,310 
           
Information Technology Services 7.41%          
Accenture plc Class A (Ireland)(a)   348,899    106,853,808 
Mastercard, Inc. Class A   501,025    177,257,635 
MongoDB, Inc.*   321,094    100,332,242 
Visa, Inc. Class A   430,514    91,316,324 
Total        475,760,009 
           
Interactive Media & Services 6.13%          
Alphabet, Inc. Class A*   3,387,040    393,980,493 
           
Internet & Direct Marketing Retail 4.23%          
Amazon.com, Inc.*   1,637,095    220,925,970 
MercadoLibre, Inc. (Argentina)*(a)   62,246    50,650,193 
Total        271,576,163 
           
Life Sciences Tools & Services 0.99%          
Thermo Fisher Scientific, Inc.   106,647    63,818,631 


 

20 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

GROWTH LEADERS FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Oil, Gas & Consumable Fuels 1.57%          
Cheniere Energy, Inc.   672,328   $100,566,822 
           
Pharmaceuticals 4.05%          
AstraZeneca plc ADR   919,558    60,902,326 
Eli Lilly & Co.   298,312    98,350,483 
Novo Nordisk A/S ADR   871,111    101,101,143 
Total        260,353,952 
           
Semiconductors & Semiconductor Equipment 10.88%
Advanced Micro Devices, Inc.*   1,209,159    114,229,250 
Enphase Energy, Inc.*   669,889    190,369,056 
KLA Corp.   197,272    75,661,703 
Monolithic Power Systems, Inc.   323,332    150,258,847 
NVIDIA Corp.   603,633    109,637,862 
QUALCOMM, Inc.   404,517    58,679,236 
Total        698,835,954 
           
Software 19.64%          
Aspen Technology, Inc.*   194,980    39,793,468 
Atlassian Corp. plc Class A (Australia)*(a)   392,446    82,146,797 
Cadence Design Systems, Inc.*   240,206    44,697,532 
Crowdstrike Holdings, Inc. Class A*   411,201    75,496,504 
Datadog, Inc. Class A*   989,703    100,959,603 
Fortinet, Inc.*   1,134,138    67,651,332 
HubSpot, Inc.*   159,057    48,989,556 
Intuit, Inc.   198,431    90,518,269 
Microsoft Corp.   2,166,758    608,295,641 
Palo Alto Networks, Inc.*   207,423    103,524,819 
Total        1,262,073,521 
           
Specialty Retail 0.63%          
Ulta Beauty, Inc.*   103,898    40,406,971 
Investments  Shares   Fair
Value
 
Technology Hardware, Storage & Peripherals 9.75%
Apple, Inc.   3,855,478   $626,553,730 
           
Textiles, Apparel & Luxury Goods 1.01%
Lululemon Athletica, Inc. (Canada)*(a)   208,575    64,764,623 
Total Common Stocks
(cost $5,911,100,721)
        6,167,729,145 
          
     Principal
Amount
      
           
SHORT-TERM INVESTMENTS 5.13%          
           
Repurchase Agreements 5.13%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $378,120,300 of U.S. Treasury Note at 0.375% due 9/30/2027; value: $335,810,344; proceeds: $329,249,099
(cost $329,225,779)
  $329,225,779    329,225,779 
Total Investments in Securities 101.13%
(cost $6,240,326,500)
        6,496,954,924 
Other Assets and Liabilities – Net (1.13)%    (72,531,077)
Net Assets 100.00%       $6,424,423,847 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.


 

  See Notes to Schedule of Investments. 21
 

Schedule of Investments (unaudited)(concluded)

GROWTH LEADERS FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total  
Long-Term Investments                     
Common Stocks  $6,167,729,145   $   $   $6,167,729,145  
Short-Term Investments                     
Repurchase Agreements       329,225,779        329,225,779  
Total  $6,167,729,145   $329,225,779   $   $6,496,954,924  
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

22 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

HEALTH CARE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 98.05%          
           
COMMON STOCKS 98.05%          
           
Belgium 0.38%          
           
Pharmaceuticals          
UCB SA   329   $25,707 
           
Canada 2.09%          
           
Biotechnology          
BELLUS Health, Inc.*   7,372    72,319 
Xenon Pharmaceuticals, Inc.*   2,076    68,820 
         141,139 
           
Denmark 6.16%          
           
Biotechnology 1.38%          
Genmab A/S*   261    92,869 
           
Pharmaceuticals 4.78%          
Novo Nordisk A/S Class B   2,769    322,516 
Total Denmark        415,385 
           
France 1.36%          
           
Life Sciences Tools & Services 0.67%          
Sartorius Stedim Biotech   113    45,204 
           
Pharmaceuticals 0.69%          
Sanofi   470    46,706 
Total France        91,910 
           
Netherlands 2.29%          
           
Biotechnology          
Argenx SE*   306    111,782 
Merus NV*   1,745    42,194 
         153,976 
           
Switzerland 3.08%          
           
Health Care Equipment & Supplies 1.72%
Alcon, Inc.   1,482    115,729 
Investments  Shares   U.S. $
Fair Value
 
Switzerland (continued)          
           
Life Sciences Tools & Services 1.36%          
Lonza Group AG Registered Shares   151   $91,771 
Total Switzerland        207,500 
           
United Kingdom 4.62%          
           
Pharmaceuticals          
AstraZeneca plc   2,365    311,095 
           
United States 78.07%          
           
Biotechnology 15.56%          
Arcellx, Inc.*(a)   2,054    42,579 
Biohaven Pharmaceutical Holding Co. Ltd.*   561    81,917 
Cytokinetics, Inc.*   1,970    83,390 
Horizon Therapeutics plc*   936    77,660 
Insmed, Inc.*   2,540    56,185 
Intellia Therapeutics, Inc.*   712    46,109 
Karuna Therapeutics, Inc.*   347    45,197 
Krystal Biotech, Inc.*   1,235    89,636 
Legend Biotech Corp. ADR*   689    32,548 
Mirati Therapeutics, Inc.*   561    36,128 
Neurocrine Biosciences, Inc.*   598    56,290 
Rocket Pharmaceuticals, Inc.*   2,303    33,394 
Sarepta Therapeutics, Inc.*   662    61,533 
Seagen, Inc.*   558    100,429 
Ultragenyx Pharmaceutical, Inc.*   669    35,644 
Vertex Pharmaceuticals, Inc.*   606    169,929 
         1,048,568 
           
Health Care Equipment & Supplies 16.05%    
Abbott Laboratories   1,632    177,627 
Axonics, Inc.*   581    37,689 
CONMED Corp.   235    22,943 
Cooper Cos., Inc. (The)   228    74,556 
DexCom, Inc.*   788    64,679 
Edwards Lifesciences Corp.*   1,277    128,390 
IDEXX Laboratories, Inc.*   171    68,260 
Inari Medical, Inc.*   364    28,239 
Inspire Medical Systems, Inc.*   302    63,115 
Insulet Corp.*   372    92,182 


 

  See Notes to Schedule of Investments. 23
 

Schedule of Investments (unaudited)(continued)

HEALTH CARE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United States (continued)          
Intuitive Surgical, Inc.*   315   $72,503 
iRhythm Technologies, Inc.*   430    66,491 
Lantheus Holdings, Inc.*   960    73,651 
Shockwave Medical, Inc.*   243    51,256 
Zimmer Biomet Holdings, Inc.   540    59,611 
         1,081,192 
           
Health Care Providers & Services 15.41%
AmerisourceBergen Corp.   645    94,125 
Centene Corp.*   1,307    121,512 
Elevance Health, Inc.   137    65,363 
HCA Healthcare, Inc.   184    39,085 
Humana, Inc.   281    135,442 
Molina Healthcare, Inc.*   209    68,493 
R1 RCM, Inc.*   890    22,250 
Tenet Healthcare Corp.*   786    51,970 
UnitedHealth Group, Inc.   812    440,380 
         1,038,620 
           
Life Sciences Tools & Services 11.10%          
Agilent Technologies, Inc.   624    83,678 
Bio-Rad Laboratories, Inc. Class A*   67    37,739 
Danaher Corp.   747    217,728 
Repligen Corp.*   335    71,476 
Thermo Fisher Scientific, Inc.   456    272,875 
West Pharmaceutical Services, Inc.    188    64,589 
         748,085 
           
Pharmaceuticals 19.95%          
Eli Lilly & Co.   1,066    351,449 
Intra-Cellular Therapies, Inc.*   1,572    85,077 
Merck & Co., Inc.   2,674    238,895 
NGM Biopharmaceuticals, Inc.*   1,600    23,168 
Organon & Co.   2,255    71,529 
Pfizer, Inc.   5,458    275,684 
Roche Holding AG   454    150,730 
Zoetis, Inc.   809    147,683 
         1,344,215 
Total United States        5,260,680 
Total Common Stocks
(cost $5,916,050)
        6,607,392 
Investments  Principal
Amount
   U.S. $
Fair Value
 
SHORT-TERM INVESTMENTS 2.04%          
           
Repurchase Agreements 1.61%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $112,900 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $110,626; proceeds: $108,389
(cost $108,382)
  $108,382   $108,382 
           
   Shares      
           
Money Market Funds 0.39%          
Fidelity Government Portfolio(b)
(cost $25,912)
   25,912    25,912 
           
Time Deposits 0.04%          
CitiBank N.A.(b)
(cost $2,879)
   2,879    2,879 
Total Short-Term Investments
(cost $137,173)
        137,173 
Total Investments in Securities 100.09%
(cost $6,053,223)
        6,744,565 
Other Assets and Liabilities – Net (0.09)%        (5,949)
Net Assets 100.00%       $6,738,616 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(b)   Security was purchased with the cash collateral from loaned securities.


 

24 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(concluded)

HEALTH CARE FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Canada  $141,139   $   $   $141,139 
Netherlands   42,194    111,782        153,976 
Switzerland   115,729    91,771        207,500 
United States   5,109,950    150,730        5,260,680 
Remaining Countries       844,097        844,097 
Short-Term Investments                    
Repurchase Agreements       108,382        108,382 
Money Market Funds   25,912            25,912 
Time Deposits       2,879        2,879 
Total  $5,434,924   $1,309,641   $   $6,744,565 
     
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 25
 

Schedule of Investments (unaudited)

INTERNATIONAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 96.93%          
           
COMMON STOCKS 96.93%          
           
Australia 1.46%          
           
Metals & Mining          
BHP Group Ltd.   169,712   $4,644,229 
           
Austria 0.66%          
           
Banks          
BAWAG Group AG*   45,623    2,106,403 
           
Brazil 1.14%          
           
Insurance 0.79%          
BB Seguridade Participacoes SA   449,900    2,520,748 
           
Internet & Direct Marketing Retail 0.35%
MercadoLibre, Inc.*   1,379    1,122,106 
Total Brazil        3,642,854 
           
Canada 3.73%          
Aerospace & Defense 0.57%          
CAE, Inc.*   68,717    1,818,072 
           
Banks 0.85%          
Royal Bank of Canada   27,800    2,710,639 
           
Information Technology Services 0.31%
Shopify, Inc. Class A*   28,286    985,201 
           
Insurance 0.80%          
Intact Financial Corp.   17,100    2,545,203 
           
Metals & Mining 0.28%          
Capstone Copper Corp.*   394,000    889,196 
           
Oil, Gas & Consumable Fuels 0.92%          
Pembina Pipeline Corp.   77,019    2,940,501 
Total Canada        11,888,812 
Investments  Shares   U.S. $
Fair Value
 
China 8.24%          
           
Automobiles 0.87%          
BYD Co. Ltd. Class H   75,500   $2,762,241 
           
Beverages 0.68%          
Kweichow Moutai Co. Ltd. Class A   7,700    2,169,484 
           
Electrical Equipment 0.31%          
Contemporary Amperex Technology Co. Ltd. Class A*    13,100    995,366 
           
Entertainment 0.78%          
NetEase, Inc.   133,400    2,495,482 
           
Gas Utilities 0.62%          
ENN Energy Holdings Ltd.   120,600    1,967,298 
           
Interactive Media & Services 1.07%          
Tencent Holdings Ltd.   87,900    3,397,230 
           
Internet & Direct Marketing Retail 3.59%
Alibaba Group Holding Ltd.*   395,100    4,442,294 
JD.com, Inc. Class A   120,626    3,598,581 
Meituan Class B*   152,800    3,427,816 
         11,468,691 
           
Semiconductors & Semiconductor Equipment 0.32%
LONGi Green Energy Technology Co. Ltd. Class A   113,040    1,035,706 
Total China        26,291,498 
           
Denmark 3.98%          
           
Air Freight & Logistics 0.87%          
DSV A/S   16,462    2,773,862 
           
Biotechnology 0.84%          
Genmab A/S*   7,532    2,680,035 


 

26 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Denmark (continued)          
           
Pharmaceuticals 2.27%          
Novo Nordisk A/S Class B   62,127   $7,236,165 
Total Denmark        12,690,062 
           
Finland 1.06%          
           
Banks          
Nordea Bank Abp   344,042    3,392,242 
           
France 13.19%          
           
Aerospace & Defense 1.45%          
Airbus SE   18,743    2,020,902 
Thales SA   21,074    2,620,754 
         4,641,656 
           
Auto Components 0.77%          
Cie Generale des Etablissements Michelin SCA   87,588    2,451,112 
           
Beverages 1.06%          
Pernod Ricard SA   17,246    3,387,879 
           
Chemicals 1.07%          
Air Liquide SA   24,766    3,404,888 
           
Diversified Telecommunication Services 0.65%
Orange SA   201,877    2,062,866 
           
Information Technology Services 0.90%
Capgemini SE   15,079    2,876,121 
           
Life Sciences Tools & Services 0.36%
Sartorius Stedim Biotech   2,907    1,162,914 
           
Oil, Gas & Consumable Fuels 1.07%          
TotalEnergies SE   66,907    3,417,433 
           
Personal Products 1.69%          
L’Oreal SA   14,219    5,375,597 
           
Professional Services 0.91%          
Teleperformance   8,659    2,895,578 
Investments  Shares   U.S. $
Fair Value
 
France (continued)          
           
Textiles, Apparel & Luxury Goods 3.26%
Hermes International   2,377   $3,261,111 
LVMH Moet Hennessy Louis Vuitton SE   10,294    7,147,680 
         10,408,791 
Total France        42,084,835 
           
Germany 1.76%          
           
Chemicals 0.89%          
Symrise AG   24,366    2,843,161 
           
Pharmaceuticals 0.53%          
Bayer AG Registered Shares   29,014    1,692,393 
           
Semiconductors & Semiconductor Equipment 0.34%
Aixtron SE   41,377    1,069,714 
Total Germany        5,605,268 
           
Hong Kong 1.46%          
           
Insurance          
AIA Group Ltd.   464,082    4,662,466 
           
India 5.46%          
           
Banks 2.00%          
ICICI Bank Ltd. ADR   218,489    4,540,202 
State Bank of India   274,227    1,837,615 
         6,377,817 
           
Chemicals 0.82%          
Asian Paints Ltd.   62,054    2,621,461 
           
Oil, Gas & Consumable Fuels 1.12%          
Reliance Industries Ltd.   112,954    3,592,425 
           
Personal Products 0.76%          
Hindustan Unilever Ltd.   72,506    2,422,196 
           
Wireless Telecommunication Services 0.76%
Bharti Airtel Ltd.*   281,872    2,417,120 
Total India        17,431,019 


 

  See Notes to Schedule of Investments. 27
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Indonesia 1.44%          
           
Banks 0.87%          
Bank Mandiri Persero Tbk PT   4,973,300   $2,783,846 
           
Diversified Telecommunication Services 0.57%
Telkom Indonesia Persero Tbk PT ADR   63,877    1,820,494 
Total Indonesia        4,604,340 
           
Ireland 0.67%          
           
Construction Materials          
CRH plc   56,099    2,152,007 
           
Japan 17.47%          
           
Auto Components 1.41%          
Bridgestone Corp.   58,700    2,289,644 
Denso Corp.   40,585    2,219,799 
         4,509,443 
           
Automobiles 1.53%          
Toyota Motor Corp.   300,600    4,879,046 
           
Banks 0.68%          
Sumitomo Mitsui Financial Group, Inc.   69,500    2,180,360 
           
Beverages 0.76%          
Asahi Group Holdings Ltd.   69,525    2,417,130 
           
Building Products 0.60%          
Daikin Industries Ltd.   10,875    1,907,238 
           
Diversified Financial Services 0.78%          
ORIX Corp.   139,500    2,486,144 
           
Electrical Equipment 0.83%          
Fuji Electric Co. Ltd.   58,600    2,646,721 
           
Electronic Equipment, Instruments & Components 1.25%
Keyence Corp.   10,060    3,987,201 
           
Health Care Equipment & Supplies 1.01%
Hoya Corp.   32,200    3,226,170 
Investments  Shares   U.S. $
Fair Value
 
Japan (continued)          
           
Household Durables 1.26%          
Sony Group Corp.   47,200   $4,003,877 
           
Industrial Conglomerates 0.80%          
Hitachi Ltd.   50,300    2,546,591 
           
Insurance 0.96%          
Tokio Marine Holdings, Inc.   52,400    3,067,492 
           
Machinery 1.11%          
Ebara Corp.   48,100    1,884,274 
Fujitec Co. Ltd.   77,400    1,661,457 
         3,545,731 
           
Pharmaceuticals 1.15%          
Daiichi Sankyo Co. Ltd.   138,800    3,680,241 
           
Professional Services 0.63%          
TechnoPro Holdings, Inc.   86,900    2,019,447 
           
Semiconductors & Semiconductor Equipment 0.67%
Lasertec Corp.   15,000    2,147,551 
           
Specialty Retail 1.04%          
Fast Retailing Co. Ltd.   5,450    3,300,467 
           
Trading Companies & Distributors 1.00%
ITOCHU Corp.   109,100    3,175,864 
Total Japan        55,726,714 
           
Mexico 1.41%          
           
Banks 0.74%          
Grupo Financiero Banorte SAB de CV Class O   414,217    2,356,824 
           
Transportation Infrastructure 0.67%          
Grupo Aeroportuario del Pacifico SAB de CV ADR   15,961    2,155,373 
Total Mexico        4,512,197 
           
Netherlands 5.49%          
           
Information Technology Services 0.53%
Adyen NV*   944    1,698,041 


 

28 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Netherlands (continued)          
           
Insurance 0.99%          
NN Group NV   67,565   $3,170,311 
           
Oil, Gas & Consumable Fuels 1.83%          
Shell plc   218,192    5,820,558 
           
Semiconductors & Semiconductor Equipment 2.14%
ASML Holding NV   11,850    6,810,881 
Total Netherlands        17,499,791 
           
Norway 1.63%          
           
Oil, Gas & Consumable Fuels          
Aker BP ASA   48,262    1,676,928 
Equinor ASA   91,572    3,525,878 
         5,202,806 
Peru 0.65%          
           
Banks          
Credicorp Ltd.   16,035    2,074,929 
           
Singapore 1.06%          
           
Banks          
United Overseas Bank Ltd.   168,900    3,369,780 
           
South Africa 0.91%          
           
Metals & Mining          
Anglo American plc   80,683    2,916,275 
           
South Korea 0.99%          
           
Technology Hardware, Storage & Peripherals
Samsung Electronics Co. Ltd.   67,022    3,172,496 
           
Spain 1.87%          
           
Banks 0.72%          
CaixaBank SA(a)   764,663    2,296,080 
Investments  Shares   U.S. $
Fair Value
 
Spain (continued)          
           
Electric: Utilities 0.63%          
Iberdrola SA   182,551   $1,949,366 
Iberdrola SA   6,280    66,940 
         2,016,306 
           
Information Technology Services 0.52%
Amadeus IT Group SA*   28,343    1,652,686 
Total Spain        5,965,072 
           
Sweden 1.07%          
           
Machinery          
Atlas Copco AB A Shares   292,025    3,413,585 
           
Switzerland 2.54%          
           
Capital Markets 0.81%          
UBS Group AG Registered Shares   157,507    2,573,715 
           
Health Care Equipment & Supplies 0.85%
Alcon, Inc.   34,553    2,719,462 
           
Life Sciences Tools & Services 0.88%          
Lonza Group AG Registered Shares   4,614    2,804,165 
Total Switzerland        8,097,342 
           
Taiwan 2.67%          
           
Electrical Equipment 0.34%          
Voltronic Power Technology Corp.   22,000    1,072,777 
           
Electronic Equipment, Instruments & Components 0.50%
Delta Electronics, Inc.   185,000    1,608,967 
           
Semiconductors & Semiconductor Equipment 1.83%
Taiwan Semiconductor Manufacturing Co. Ltd.   341,230    5,851,946 
Total Taiwan        8,533,690 


 

  See Notes to Schedule of Investments. 29
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL EQUITY FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United Kingdom 8.59%          
           
Banks 0.97%          
NatWest Group plc   1,023,948   $3,109,992 
           
Beverages 1.39%          
Diageo plc   93,330    4,421,215 
           
Capital Markets 0.65%          
London Stock Exchange Group plc   21,411    2,089,557 
           
Electric: Utilities 0.95%          
SSE plc   140,185    3,027,771 
           
Personal Products 1.93%          
Haleon PLC*   591,766    2,102,864 
Unilever plc   83,118    4,048,087 
         6,150,951 
           
Pharmaceuticals 1.88%          
AstraZeneca plc   45,597    5,997,884 
           
Wireless Telecommunication Services 0.82%
Vodafone Group plc   1,778,946    2,621,557 
Total United Kingdom        27,418,927 
           
United States 6.33%          
           
Electrical Equipment 1.46%          
Schneider Electric SE   33,661    4,655,445 
           
Food Products 2.28%          
Nestle SA Registered Shares   59,296    7,265,377 
           
Pharmaceuticals 2.59%          
Eli Lilly & Co.   5,901    1,945,501 
GSK PLC   122,692    2,577,784 
Roche Holding AG   11,286    3,747,003 
         8,270,288 
Total United States        20,191,110 
Total Common Stocks
(cost $298,086,148)
        309,290,749 
Investments  Principal
Amount
   U.S. $
Fair Value
 
SHORT-TERM INVESTMENTS 4.34%
           
Repurchase Agreements 3.23%
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $6,927,000 of U.S. Treasury Inflation Indexed Bond at 1.75% due 1/15/2028; value: $10,499,993; proceeds: $10,294,797
(cost $10,294,068)
  $10,294,068   $10,294,068 
           
   Shares      
           
Money Market Funds 1.00%          
Fidelity Government Portfolio(b)
(cost $3,196,820)
   3,196,820    3,196,820 
           
Time Deposits 0.11%          
CitiBank N.A.(b)
(cost $355,202)
   355,202    355,202 
Total Short-Term Investments
(cost $13,846,090)
        13,846,090 
Total Investments in Securities 101.27%
(cost $311,932,238)
        323,136,839 
Other Assets and Liabilities – Net (1.27)%        (4,061,874)
Net Assets 100.00%       $319,074,965 

 

ADR   American Depositary Receipt.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At July 31, 2022, the total value of Rule 144A securities was $7,232,260, which represents 2.27% of net assets.
*   Non-income producing security.
(a)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(b)   Security was purchased with the cash collateral from loaned securities.


 

30 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(concluded)

INTERNATIONAL EQUITY FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Brazil  $3,642,854   $   $   $3,642,854 
Canada   11,888,812            11,888,812 
India   4,540,202    12,890,817        17,431,019 
Indonesia   1,820,494    2,783,846        4,604,340 
Mexico   4,512,197            4,512,197 
Peru   2,074,929            2,074,929 
United Kingdom   2,102,864    25,316,063        27,418,927 
United States   1,945,501    18,245,609        20,191,110 
Remaining Countries       217,526,561        217,526,561 
Short-Term Investments                    
Repurchase Agreements       10,294,068        10,294,068 
Money Market Funds   3,196,820            3,196,820 
Time Deposits       355,202        355,202 
Total  $35,724,673   $287,412,166   $   $323,136,839 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

The following is a reconciliation of investments with unobservable inputs (Level 3) that were used in determining fair value:

 

Investment Type  Common
Stocks
 
Balance as of November 1, 2021  $4,705,085 
Accrued Discounts (Premiums)    
Realized Gain (Loss)   1,458,876 
Change in Unrealized Appreciation (Depreciation)   (2,036,040)
Purchases    
Sales   (4,127,921)
Transfers into Level 3    
Transfers out of Level 3    
Balance as of July 31, 2022  $ 
Change in unrealized appreciation/depreciation for the period ended July 31, 2022, related to Level 3 investments held at July 31, 2022  $ 

 

  See Notes to Schedule of Investments. 31
 

Schedule of Investments (unaudited)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 94.57%    
           
COMMON STOCKS 93.50%          
           
Australia 2.40%          
           
Auto Components 0.96%          
GUD Holdings Ltd.   550,865  $3,408,081 
           
Food Products 0.26%          
Costa Group Holdings Ltd.   501,316    908,843 
           
Professional Services 1.18%          
IPH Ltd.   675,625    4,170,815 
Total Australia        8,487,739 
           
Austria 3.64%          
           
Banks 0.77%          
BAWAG Group AG*   59,162    2,731,495 
           
Electronic Equipment, Instruments & Components 0.74% 
AT&S Austria Technologie & Systemtechnik AG(a)   52,281    2,612,180 
           
Machinery 2.13%          
ANDRITZ AG   160,916    7,529,228 
Total Austria        12,872,903 
           
Belgium 0.83%          
           
Equity Real Estate Investment Trusts       
Cofinimmo SA   26,032    2,929,615 
           
Canada 3.59%          
           
Gas Utilities 2.12%          
Brookfield Infrastructure Corp. Class A   163,500    7,485,850 
           
Metals & Mining 0.95%          
Capstone Copper Corp.*   1,485,700    3,352,991 
Investments  Shares   U.S. $
Fair Value
 
Canada (continued)          
           
Paper & Forest Products 0.52%          
Interfor Corp.*   75,100  $1,854,408 
Total Canada        12,693,249 
           
France 3.29%          
           
Construction Materials 0.77%          
Vicat SA   104,455    2,723,327 
           
Oil, Gas & Consumable Fuels 1.53%          
Gaztransport Et Technigaz SA    39,210    5,408,000 
           
Personal Products 0.63%          
Interparfums SA   44,608    2,237,908 
           
Software 0.36%          
Esker SA   8,490    1,275,294 
Total France        11,644,529 
           
Germany 9.49%          
           
Aerospace & Defense 2.24%          
Montana Aerospace AG*   152,962    3,047,234 
Rheinmetall AG   26,579    4,873,979 
         7,921,213 
           
Health Care Providers & Services 1.07%      
Medios AG*   130,467    3,792,969 
           
Life Sciences Tools & Services 1.13%      
Gerresheimer AG(a)   66,358    3,985,821 
           
Media 0.90%          
Stroeer SE & Co. KGaA   72,530    3,172,300 
           
Real Estate Management & Development 1.11%
PATRIZIA AG   95,968    1,237,821 
TAG Immobilien AG   244,180    2,704,114 
         3,941,935 


 

32 See Notes to Schedule of Investments.
 
  

Schedule of Investments (unaudited)(continued)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Germany (continued)          
           
Semiconductors & Semiconductor Equipment 1.63% 
Aixtron SE   222,471  $5,751,510 
           
Specialty Retail 0.35%          
MYT Netherlands Parent BV ADR*(a)   93,596    1,234,531 
           
Wireless Telecommunication Services 1.06%    
Freenet AG   160,098    3,769,770 
Total Germany        33,570,049 
           
Hong Kong 1.98%          
           
Hotels, Restaurants & Leisure 0.22%     
Melco International Development Ltd.*   1,144,000    775,859 
           
Real Estate Management & Development 1.02%     
Kerry Properties Ltd.   1,493,500    3,592,070 
           
Textiles, Apparel & Luxury Goods 0.74%      
Stella International Holdings Ltd.   2,701,432    2,632,639 
Total Hong Kong        7,000,568 
           
Iceland 0.94%          
           
Machinery          
Marel HF   738,925    3,334,579 
           
India 2.93%          
           
Banks 1.04%          
Federal Bank Ltd.   2,719,388    3,676,816 
           
Capital Markets 0.92%          
UTI Asset Management Co. Ltd.   369,772    3,247,077 
           
Real Estate Management & Development 0.97%    
Phoenix Mills Ltd. (The)   216,692    3,439,921 
Total India        10,363,814 
Investments  Shares   U.S. $
Fair Value
 
Indonesia 0.99%          
           
Real Estate Management & Development     
Pakuwon Jati Tbk PT    113,832,400   $3,501,883 
           
Israel 0.77%          
           
Capital Markets          
Tel Aviv Stock Exchange Ltd.   566,677    2,735,328 
           
Italy 4.06%          
           
Auto Components 0.86%          
Brembo SpA   289,711    3,060,344 
           
Construction Materials 0.37%          
Buzzi Unicem SpA   70,850    1,295,357 
           
Diversified Financial Services 0.77%      
Banca Mediolanum SpA   412,231    2,729,959 
           
Textiles, Apparel & Luxury Goods 2.06%      
Brunello Cucinelli SpA   78,243    4,547,391 
Salvatore Ferragamo SpA   153,889    2,729,655 
         7,277,046 
Total Italy        14,362,706 
           
Japan 19.67%          
           
Auto Components 0.51%          
FCC Co. Ltd.   168,200    1,790,960 
           
Banks 0.69%          
Aozora Bank Ltd.   117,000    2,445,819 
           
Beverages 0.89%          
Coca-Cola Bottlers Japan Holdings, Inc.   274,900    3,134,134 
           
Building Products 1.05%          
Sanwa Holdings Corp.   344,500    3,721,506 
           
Chemicals 0.79%          
Kansai Paint Co. Ltd.   195,100    2,805,563 


 

  See Notes to Schedule of Investments. 33
 
  

Schedule of Investments (unaudited)(continued)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Japan (continued)          
           
Construction & Engineering 1.80%          
SHO-BOND Holdings Co. Ltd.   143,500  $6,349,085 
           
Distributors 1.03%          
PALTAC Corp.   116,600    3,655,238 
           
Equity Real Estate Investment Trusts 1.04%      
GLP J-REIT   2,791    3,670,595 
           
Information Technology Services 5.31%      
NS Solutions Corp.   239,300    7,041,414 
Simplex Holdings, Inc.   166,900    2,491,922 
TIS, Inc.   180,400    5,115,084 
Zuken, Inc.   161,600    4,125,179 
         18,773,599 
           
Machinery 2.71%          
DMG Mori Co. Ltd.   167,000    2,242,845 
Fujitec Co. Ltd.   157,700    3,385,166 
OSG Corp.   289,300    3,970,530 
         9,598,541 
           
Professional Services 0.84%          
TechnoPro Holdings, Inc.   128,300    2,981,531 
           
Real Estate Management & Development 0.83%
CRE, Inc.   234,900    2,920,132 
           
Software 0.69%          
Money Forward, Inc.*   93,500    2,424,196 
           
Wireless Telecommunication Services 1.49%      
Okinawa Cellular Telephone Co.   129,800    5,284,716 
Total Japan        69,555,615 
           
Mexico 0.86%          
           
Consumer Finance          
Gentera SAB de CV   3,718,820    3,022,778 
Investments  Shares   U.S. $
Fair Value
 
Norway 1.19%          
           
Semiconductors & Semiconductor Equipment 0.49%    
Nordic Semiconductor ASA*   99,295   $1,744,965 
           
Software 0.70%          
Crayon Group Holding ASA*   153,462    2,460,179 
Total Norway        4,205,144 
           
Peru 0.99%          
           
Banks          
Intercorp Financial Services, Inc.   145,212    3,493,801 
           
Portugal 1.85%          
           
Multi-Utilities          
REN - Redes Energeticas Nacionais SGPS SA   2,310,100    6,531,079 
           
Singapore 0.51%          
           
Equity Real Estate Investment Trusts          
Digital Core REIT Management Pte Ltd.*   2,084,500    1,816,271 
           
South Korea 1.98%          
           
Chemicals 1.18%          
Soulbrain Co. Ltd./New   23,157    4,165,002 
           
Semiconductors & Semiconductor Equipment 0.80%  
WONIK IPS Co. Ltd.   116,798    2,847,116 
Total South Korea        7,012,118 
           
Spain 2.39%          
           
Banks 0.48%          
Banco de Sabadell SA   2,672,226    1,710,927 
           
Containers & Packaging 1.09%          
Vidrala SA   58,030    3,865,333 


 

34 See Notes to Schedule of Investments.
 
  

Schedule of Investments (unaudited)(continued)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Spain (continued)          
           
Professional Services 0.82%          
Applus Services SA   396,489  $2,879,170 
Total Spain        8,455,430 
           
Sweden 4.94%          
           
Auto Components 0.52%          
Autoliv, Inc. SDR   21,227    1,840,981 
           
Biotechnology 0.42%          
Vitrolife AB   45,317    1,478,476 
           
Commercial Services & Supplies 1.54%     
Loomis AB   193,086    5,444,691 
           
Food & Staples Retailing 1.71%          
Axfood AB   190,744    6,051,432 
           
Software 0.75%          
Cint Group AB*   372,853    2,631,644 
Total Sweden        17,447,224 
           
Switzerland 3.77%          
           
Containers & Packaging 1.51%          
SIG Group AG*   204,814    5,343,251 
           
Health Care Equipment & Supplies 0.50%      
Medmix AG   78,192    1,771,902 
           
Life Sciences Tools & Services 1.30%     
Tecan Group AG Registered Shares   12,962    4,603,278 
           
Machinery 0.46%          
Sulzer AG Registered Shares   23,930    1,604,130 
Total Switzerland        13,322,561 
           
Taiwan 1.16%          
           
Electrical Equipment          
Bizlink Holding, Inc.   379,000    4,087,817 
Investments  Shares   U.S. $
Fair Value
 
United Kingdom 19.28%          
           
Aerospace & Defense 2.02%          
Chemring Group plc   1,053,742  $4,459,556 
Senior plc*   1,511,277    2,672,309 
         7,131,865 
Banks 0.69%          
Virgin Money UK plc   1,403,279    2,447,541 
           
Beverages 2.34%          
Britvic plc   790,425    8,282,996 
           
Biotechnology 0.69%          
Genus plc   69,920    2,416,516 
           
Capital Markets 2.24%          
Man Group plc   2,054,679    6,835,384 
Petershill Partners plc   382,031    1,088,655 
         7,924,039 
           
Communications Equipment 1.28%          
Spirent Communications PLC   1,317,208    4,530,773 
           
Construction Materials 1.28%          
Breedon Group plc   5,235,870    4,536,294 
           
Entertainment 0.35%          
Frontier Developments plc*    65,438    1,242,946 
           
Equity Real Estate Investment Trusts 2.22%      
Big Yellow Group plc   151,520    2,628,362 
UNITE Group plc (The)   365,907    5,216,845 
         7,845,207 
           
Food Products 1.28%          
Tate & Lyle PLC   461,201    4,518,092 
           
Household Durables 0.38%          
Focusrite plc   99,045    1,331,633 
           
Machinery 0.85%          
Concentric AB   140,608    3,012,504 


 

  See Notes to Schedule of Investments. 35
 
  

Schedule of Investments (unaudited)(continued)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United Kingdom (continued)          
           
Pharmaceuticals 0.62%          
Dechra Pharmaceuticals plc   48,942  $2,202,520 
           
Road & Rail 0.82%          
National Express Group plc*   1,288,047    2,885,745 
           
Specialty Retail 1.33%          
WH Smith plc*   266,401    4,702,107 
           
Trading Companies & Distributors 0.89%     
Grafton Group plc   305,203    3,156,856 
Total United Kingdom        68,167,634 
Total Common Stocks
(cost $372,272,857)
        330,614,434 
           
EXCHANGE-TRADED FUNDS 1.07%
           
United States 1.07%          
           
Exchange-Traded Funds          
VanEck Vectors Junior Gold Miners
Cost ($4,472,353)
    112,154       3,770,617  
Total Long-Term Investments
(cost $376,745,210)
        334,385,051 
           
   Principal
Amount
      
           
SHORT-TERM INVESTMENTS 4.93%      
       
Repurchase Agreements 2.98%      
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $3,894,200 of U.S. Treasury Note at 2.25% due 11/15/2027; $5,754,100 of U.S. Treasury Inflation Indexed Note at 0.50% due 1/15/2028; value: $10,763,778; proceeds: $10,553,397
(cost $10,552,650)
  $10,552,650    10,552,650 
Investments  Shares   U.S. $
Fair Value
 
Money Market Fund 1.75%          
Fidelity Government Portfolio(b)
(cost $6,200,848)
   6,200,848   $6,200,848 
           
Time Deposit 0.20%          
CitiBank N.A.(b)
(cost $688,983)
   688,983    688,983 
Total Short-Term Investments
(cost $17,442,481)
        17,442,481 
Total Investments in Securities 99.50%
(cost $394,187,691)
        351,827,532 
Other Assets and Liabilities – Net(c) 0.50%        1,761,884 
Net Assets 100.00%       $353,589,416 

 

ADR   American Depositary Receipt.
REIT   Real Estate Investment Trust.
SDR   Special Drawing Rights.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At July 31, 2022, the total value of Rule 144A securities was $11,099,465, which represents 3.14% of net assets.
*   Non-income producing security.
(a)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(b)   Security was purchased with the cash collateral from loaned securities.
(c)   Other Assets and Liabilities - Net include net unrealized appreciation/depreciation on swaps as follows:


 

36 See Notes to Schedule of Investments.
 
  

Schedule of Investments (unaudited)(concluded)

INTERNATIONAL OPPORTUNITIES FUND July 31, 2022

 

Open Total Return Swap Contracts at July 31, 2022:

 

Swap
Counterparty
  Referenced
Index*
  Referenced
Spread
  Units  Position  Termination
Date
  Notional
Amount
   Value/
Unrealized
Depreciation
 
Bank of America  MLLACEB  12-Month USD
SOFR Index
  73,000  Long  3/8/2023   $72,600    $1,076,455 
                          
Swap
Counterparty
  Referenced
Index*
  Referenced
Spread
  Units  Position  Termination
Date
   Notional
Amount
   Value/
Unrealized
Depreciation
 
Bank of America  MLLACEB  12-Month USD
SOFR Index
  73,000  Long  3/8/2023   $72,600    $(460,284)

 

* Merrill Lynch Custom Basket Index.

 

SOFR Secured Over Night Financing Rate.

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks                    
Canada  $12,693,249   $   $   $12,693,249 
Germany   2,472,352    31,097,697        33,570,049 
Hong Kong   2,632,639    4,367,929        7,000,568 
Mexico   3,022,778            3,022,778 
Peru   3,493,801            3,493,801 
Singapore   1,816,271            1,816,271 
Spain   2,879,170    5,576,260        8,455,430 
Sweden   6,051,432    11,395,792        17,447,224 
United Kingdom   14,460,476    53,707,158        68,167,634 
Remaining Countries       174,947,430        174,947,430 
Exchange-Traded Fund   3,770,617            3,770,617 
Short-Term Investments                    
Repurchase Agreements       10,552,650        10,552,650 
Money Market Funds   6,200,848            6,200,848 
Time Deposits       688,983        688,983 
Total  $59,493,633   $292,333,899   $   $351,827,532 
Other Financial Instruments                    
Total Return Swaps Contracts                    
Assets  $   $1,076,455   $   $1,076,455 
Liabilities       (460,284)       (460,284)
Total  $   $616,171   $   $616,171 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 37
 
  

Schedule of Investments (unaudited)

INTERNATIONAL VALUE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
LONG-TERM INVESTMENTS 98.96% 
           
COMMON STOCKS 98.96% 
           
Australia 3.41% 
           
Equity Real Estate Investment Trusts 0.87% 
Goodman Group   235,659   $3,448,884 
           
Metals & Mining 2.54%          
BHP Group Ltd.   367,407    10,054,223 
Total Australia        13,503,107 
           
Austria 1.49%          
           
Banks          
BAWAG Group AG*   127,966    5,908,159 
           
Canada 6.86%          
           
Banks 0.94%          
Bank of Nova Scotia (The)   61,000    3,716,068 
           
Food & Staples Retailing 1.39%          
Alimentation Couche-Tard, Inc.   123,800    5,530,903 
           
Insurance 1.18%          
Manulife Financial Corp.   256,700    4,698,800 
           
Metals & Mining 0.21%          
Capstone Copper Corp.*   362,700    818,557 
           
Multi-Utilities 1.39%          
Algonquin Power & Utilities Corp.   394,200    5,513,351 
           
Oil, Gas & Consumable Fuels 1.75% 
Pembina Pipeline Corp.   181,833    6,942,185 
Total Canada        27,219,864 
           
China 2.15%          
           
Construction Materials 0.81%          
China Resources Cement Holdings Ltd.   5,236,000    3,220,660 
           
Internet & Direct Marketing Retail 0.60% 
Alibaba Group Holding Ltd.*   212,500    2,389,237 
Investments  Shares   U.S. $
Fair Value
 
China (continued)          
           
Specialty Retail 0.74%          
Topsports International Holdings Ltd.   3,488,000   $2,909,374 
Total China        8,519,271 
           
Finland 1.68%          
           
Banks          
Nordea Bank Abp   675,193    6,657,380 
           
France 13.49%          
           
Aerospace & Defense 3.02%          
Airbus SE   48,311    5,208,973 
Thales SA   54,368    6,761,183 
         11,970,156 
           
Building Products 0.67%          
Cie de Saint-Gobain   56,748    2,646,149 
           
Diversified Telecommunication Services 2.09% 
Orange SA   810,289    8,279,883 
           
Gas Utilities 0.64%          
Rubis SCA   104,842    2,562,466 
           
Information Technology Services 0.74% 
Capgemini SE   15,328    2,923,614 
           
Insurance 1.35%          
AXA SA   233,494    5,380,288 
           
Oil, Gas & Consumable Fuels 0.90% 
Gaztransport Et Technigaz SA   25,785    3,556,370 
           
Pharmaceuticals 2.97%          
Sanofi   118,463    11,772,085 
           
Textiles, Apparel & Luxury Goods 1.11% 
Kering SA   7,719    4,419,058 
Total France        53,510,069 


 

38 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL VALUE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Germany 5.30%        
         
Air Freight & Logistics 1.23% 
Deutsche Post AG Registered Shares Registered Shares   121,859   $4,867,032 
           
Auto Components 0.82%          
Continental AG   45,958    3,274,101 
           
Insurance 1.49%          
Allianz SE Registered Shares Registered Shares   32,448    5,892,754 
           
Pharmaceuticals 1.76%          
Bayer AG Registered Shares    119,581    6,975,188 
Total Germany        21,009,075 
           
Hong Kong 2.19%          
           
Insurance 1.14%          
Prudential plc   366,057    4,515,088 
           
Real Estate Management & Development 1.05% 
Kerry Properties Ltd.   1,733,500    4,169,303 
Total Hong Kong        8,684,391 
           
India 1.67%          
           
Banks 0.95%          
Federal Bank Ltd.   2,778,493    3,756,731 
           
Oil, Gas & Consumable Fuels 0.72% 
Petronet LNG Ltd.   1,024,068    2,850,169 
Total India        6,606,900 
           
Ireland 0.92%          
           
Beverages          
C&C Group plc*   1,508,190    3,645,180 
           
Italy 0.78%          
           
Electric: Utilities          
Enel SpA   613,746    3,094,056 
Investments  Shares   U.S. $
Fair Value
 
Japan 18.16%          
           
Auto Components 0.92%          
Denso Corp.   66,300   $3,626,282 
           
Automobiles 2.59%          
Toyota Motor Corp.   633,000    10,274,238 
           
Banks 1.99%          
Sumitomo Mitsui Financial Group, Inc.   251,800    7,899,492 
           
Beverages 1.73%          
Asahi Group Holdings Ltd.   197,100    6,852,446 
           
Building Products 0.86%          
Sanwa Holdings Corp.   313,700    3,388,785 
           
Diversified Financial Services 1.49% 
ORIX Corp.   331,300    5,904,369 
           
Electrical Equipment 1.41%          
Fuji Electric Co. Ltd.   124,000    5,600,569 
           
Electronic Equipment, Instruments & Components 0.96% 
Murata Manufacturing Co., Ltd.   65,300    3,814,218 
           
Household Durables 1.09%          
Sony Group Corp.   51,100    4,334,706 
           
Industrial Conglomerates 0.99% 
Hitachi Ltd.   77,700    3,933,799 
           
Insurance 1.32%          
Tokio Marine Holdings, Inc.   89,600    5,245,177 
           
Machinery 1.12%          
Fujitec Co. Ltd.   206,800    4,439,140 
           
Trading Companies & Distributors 1.69% 
ITOCHU Corp.   230,500    6,709,777 
Total Japan        72,022,998 


 

  See Notes to Schedule of Investments. 39
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL VALUE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
Mexico 1.75%        
         
Banks 0.88%          
Grupo Financiero Banorte SAB de CV Class O   613,966   $3,493,361 
           
Transportation Infrastructure 0.87% 
Grupo Aeroportuario del Pacifico SAB de CV Class B  253,300    3,434,408 
Total Mexico        6,927,769 
           
Netherlands 5.91%          
           
Food & Staples Retailing 1.57% 
Koninklijke Ahold Delhaize NV   225,351    6,205,879 
           
Oil, Gas & Consumable Fuels 4.34%          
Shell plc ADR   322,489    17,214,463 
Total Netherlands        23,420,342 
           
Norway 1.59%          
           
Oil, Gas & Consumable Fuels 
Aker BP ASA(a)   181,898    6,320,291 
           
Singapore 1.88%          
           
Banks          
United Overseas Bank Ltd.   374,100    7,463,794 
           
South Africa 1.62%          
           
Metals & Mining          
Anglo American plc   177,681    6,422,253 
           
South Korea 1.07%          
           
Technology Hardware, Storage & Peripherals 
Samsung Electronics Co. Ltd.    89,379    4,230,768 
           
Sweden 1.17%          
           
Commercial Services & Supplies 
Loomis AB   165,042    4,653,899 
Investments  Shares   U.S. $
Fair Value
 
Switzerland 4.11%          
           
Capital Markets 1.71%          
UBS Group AG Registered Shares   413,994   $6,764,796 
           
Pharmaceuticals 2.40%          
Novartis AG Registered Shares Registered Shares   110,726    9,514,644 
Total Switzerland        16,279,440 
           
Taiwan 0.89%          
           
Electrical Equipment          
Bizlink Holding, Inc.   329,000    3,548,527 
           
United Kingdom 18.93%          
           
Banks 2.77%          
Barclays plc   1,912,018    3,662,590 
Standard Chartered plc   1,064,149    7,334,848 
         10,997,438 
           
Electric: Utilities 1.74%          
SSE plc   319,487    6,900,406 
           
Equity Real Estate Investment Trusts 1.22% 
UNITE Group plc (The)   339,527    4,840,737 
           
Food Products 1.75%          
Tate & Lyle PLC   709,501    6,950,529 
           
Household Durables 0.71%          
Persimmon plc   121,447    2,801,322 
           
Multi-Line Retail 1.04%          
Next plc   49,540    4,124,294 
           
Personal Products 4.14%          
Haleon PLC*   1,197,742    4,256,224 
Unilever plc   250,089    12,180,056 
         16,436,280 
           
Pharmaceuticals 1.86%          
AstraZeneca plc   56,188    7,391,037 


 

40 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

INTERNATIONAL VALUE FUND July 31, 2022

 

Investments  Shares   U.S. $
Fair Value
 
United Kingdom (continued) 
           
Tobacco 1.63%          
Imperial Brands plc   293,777   $6,450,265 
           
Trading Companies & Distributors 0.81% 
Ashtead Group plc   56,747    3,194,272 
           
Wireless Telecommunication Services 1.26% 
Vodafone Group plc   3,390,882    4,996,997 
Total United Kingdom        75,083,577 
           
United States 1.94%          
           
Pharmaceuticals          
GSK PLC   366,220    7,694,356 
Total Common Stocks
(cost $413,960,895)
        392,425,466 
           
   Principal
Amount
      
           
SHORT-TERM INVESTMENTS 3.85% 
           
Repurchase Agreements 1.77% 
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $7,316,000 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $7,168,646; proceeds: $7,028,503
(cost $7,028,005)
  $7,028,005    7,028,005 
Investments   Shares    U.S. $
Fair Value
 
Money Market Funds 1.87% 
Fidelity Government Portfolio(b)
(cost $7,406,237)
   7,406,237   $7,406,237 
           
Time Deposits 0.21%          
CitiBank N.A.(b)
(cost $822,915)
   822,915    822,915 
Total Short-Term Investments
(cost $15,257,157)
        15,257,157 
Total Investments in Securities 102.81%
(cost $429,218,052)
        407,682,623 
Other Assets and Liabilities – Net (2.81)%        (11,150,943)
Net Assets 100.00%       $396,531,680 

 

ADR   American Depositary Receipt.
  Security was purchased pursuant to Rule 144A under the Securities Act of 1933 and, unless registered under such Act or exempted from registration, may only be resold to qualified institutional buyers. At July 31, 2022, the total value of Rule 144A securities was $8,817,533, which represents 2.22% of net assets.
*   Non-income producing security.
(a)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(b)   Security was purchased with the cash collateral from loaned securities.


 

  See Notes to Schedule of Investments. 41
 

Schedule of Investments (unaudited)(concluded)

INTERNATIONAL VALUE FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total
Long-Term Investments                   
Common Stocks                   
Canada  $27,219,864   $   $   $27,219,864
Mexico   6,927,769            6,927,769
Netherlands   17,214,463    6,205,879        23,420,342
United Kingdom   4,256,224    70,827,353        75,083,577
Remaining Countries       259,773,914        259,773,914
Short-Term Investments                   
Repurchase Agreements       7,028,005        7,028,005
Money Market Funds   7,406,237            7,406,237
Time Deposits       822,915        822,915
Total  $63,024,557   $344,658,066   $   $407,682,623
(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. The table above is presented by Investment Type. Industries are presented within an Investment Type should such Investment Type include securities classified as two or more levels within the three-tier fair value hierarchy. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

42 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

MICRO CAP GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 98.93% 
           
COMMON STOCKS 98.93% 
           
Aerospace & Defense 2.02% 
AAR Corp.*   35,376   $1,575,293 
AeroVironment, Inc.*   35,606    3,084,904 
Total        4,660,197 
           
Air Freight & Logistics 1.22% 
Atlas Air Worldwide Holdings, Inc.*   37,001    2,801,346 
           
Auto Components 0.48% 
Gentherm, Inc.*   17,215    1,111,400 
           
Banks 0.90%          
Byline Bancorp, Inc.   85,004    2,081,748 
           
Beverages 1.70% 
MGP Ingredients, Inc.   37,201    3,912,801 
           
Biotechnology 16.28% 
Arcellx, Inc.*   200,887    4,164,388 
Beam Therapeutics, Inc.*   26,003    1,637,669 
BELLUS Health, Inc. (Canada)*(a)(b)   440,504    4,321,344 
ChemoCentryx, Inc.*   100,048    2,363,134 
Day One Biopharmaceuticals, Inc.*   54,543    934,322 
Insmed, Inc.*   65,337    1,445,255 
Karuna Therapeutics, Inc.*   12,547    1,634,247 
Krystal Biotech, Inc.*   76,190    5,529,870 
Merus NV (Netherlands)*(a)   148,290    3,585,652 
Nkarta, Inc.*(b)   156,338    2,112,126 
Rocket Pharmaceuticals, Inc.*   166,862    2,419,499 
Syndax Pharmaceuticals, Inc.*   101,125    2,059,916 
Xenon Pharmaceuticals, Inc. (Canada)*(a)   158,869    5,266,507 
Total        37,473,929 
Investments  Shares   Fair
Value
 
Capital Markets 1.07% 
AssetMark Financial Holdings, Inc.*   62,277   $1,182,640 
Piper Sandler Cos.   10,048    1,268,058 
Total        2,450,698 
           
Commercial Services & Supplies 2.19% 
Heritage-Crystal Clean, Inc.*   85,796    2,879,314 
Montrose Environmental Group, Inc.*   54,057    2,168,767 
Total        5,048,081 
           
Communications Equipment 3.11% 
AudioCodes Ltd. (Israel)(a)   82,152    1,996,293 
Calix, Inc.*   90,370    5,154,705 
Total        7,150,998 
           
Construction & Engineering 2.64% 
Ameresco, Inc. Class A*   45,917    2,627,371 
NV5 Global, Inc.*   25,451    3,451,155 
Total        6,078,526 
           
Diversified Consumer Services 3.51% 
PowerSchool Holdings, Inc. Class A*   217,406    3,132,820 
Stride, Inc.*   98,017    4,379,400 
Udemy, Inc.*   47,028    561,985 
Total        8,074,205 
           
Diversified Telecommunication Services 0.71% 
Ooma, Inc.*   137,264    1,637,559 
           
Electronic Equipment, Instruments & Components 2.85% 
908 Devices, Inc.*(b)   77,530    1,744,425 
Napco Security Technologies, Inc.*   120,623    3,095,186 
OSI Systems, Inc.*   17,900    1,730,393 
Total        6,570,004 
           
Food & Staples Retailing 1.82% 
Chefs’ Warehouse, Inc. (The)*   120,788    4,180,473 


 

  See Notes to Schedule of Investments. 43
 

Schedule of Investments (unaudited)(continued)

MICRO CAP GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Health Care Equipment & Supplies 10.59% 
Axonics, Inc.*   60,843   $3,946,885 
Figs, Inc. Class A*   168,414    1,780,136 
Lantheus Holdings, Inc.*   61,629    4,728,177 
OrthoPediatrics Corp.*   77,127    3,644,251 
PROCEPT BioRobotics Corp.*(b)   49,415    1,892,595 
Pulmonx Corp.*   58,566    997,965 
SI-BONE, Inc.*   79,096    1,063,050 
Silk Road Medical, Inc.*   57,877    2,633,982 
TransMedics Group, Inc.*   23,685    956,400 
Treace Medical Concepts, Inc.*   160,946    2,723,206 
Total        24,366,647 
           
Hotels, Restaurants & Leisure 5.39% 
Kura Sushi USA, Inc. Class A*   64,185    5,419,781 
Monarch Casino & Resort, Inc.*   61,473    3,943,493 
Sweetgreen, Inc. Class A*(b)   192,946    3,031,182 
Total        12,394,456 
           
Household Durables 0.73%          
GoPro, Inc. Class A*   264,592    1,682,805 
           
Insurance 0.84%          
Goosehead Insurance, Inc. Class A   34,190    1,921,820 
           
Interactive Media & Services 1.04% 
ZipRecruiter, Inc. Class A*   136,553    2,393,774 
           
Internet & Direct Marketing Retail 1.05% 
Fiverr International Ltd. (Israel)*(a)   44,010    1,411,841 
Lulu’s Fashion Lounge Holdings, Inc.*   181,227    1,014,871 
Total        2,426,712 
           
Life Sciences Tools & Services 0.18% 
SomaLogic, Inc.*   82,048    414,342 
Investments  Shares    Fair
Value
 
Machinery 0.95% 
Proto Labs, Inc.*   44,923   $2,196,285 
           
Media 0.49%          
PubMatic, Inc. Class A*   68,254    1,132,334 
           
Metals & Mining 0.70% 
Carpenter Technology Corp.   50,345    1,618,088 
           
Oil, Gas & Consumable Fuels 1.83% 
Golar LNG Ltd.*   87,290    1,952,677 
Talos Energy, Inc.*   119,386    2,262,365 
Total        4,215,042 
           
Personal Products 1.27% 
elf Beauty, Inc.*   86,920    2,914,428 
           
Pharmaceuticals 3.67% 
Intra-Cellular Therapies, Inc.*   74,245    4,018,140 
Pliant Therapeutics, Inc.*   155,895    2,707,896 
Ventyx Biosciences, Inc.*(b)   114,439    1,729,173 
Total        8,455,209 
           
Professional Services 4.30% 
Forrester Research, Inc.*   37,953    1,764,435 
ICF International, Inc.   56,291    5,311,056 
Kforce, Inc.   26,066    1,716,446 
Resources Connection, Inc.   51,545    1,106,156 
Total        9,898,093 
           
Semiconductors & Semiconductor Equipment 8.26% 
CEVA, Inc.*   81,741    3,043,218 
Ichor Holdings Ltd.*   66,264    2,071,413 
Impinj, Inc.*   72,305    6,147,371 
indie Semiconductor, Inc. Class A*(b)   487,846    3,512,491 
Rambus, Inc.*   167,280    4,228,838 
Total        19,003,331 


 

44 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(continued)

MICRO CAP GROWTH FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Software 8.94%  
Agilysys, Inc.*   96,053   $4,639,360 
Arteris, Inc.*   235,588    1,898,839 
AvidXchange Holdings, Inc.*   408,367    2,948,410 
JFrog Ltd. (Israel)*(a)   166,959    3,706,490 
Olo, Inc. Class A*   272,943    2,923,220 
Riskified Ltd. Class A (Israel)*(a)   222,577    977,113 
UserTesting, Inc.*(b)   336,971    2,133,026 
Zuora, Inc. Class A*   157,843    1,343,244 
Total        20,569,702 
           
Specialty Retail 0.78% 
Warby Parker, Inc. Class A*(b)   144,312    1,788,026 
           
Technology Hardware, Storage & Peripherals 1.46% 
Avid Technology, Inc.*   119,848    3,362,935 
           
Textiles, Apparel & Luxury Goods 2.06% 
Allbirds, Inc. Class A*(b)   474,357    2,438,195 
Oxford Industries, Inc.   24,135    2,302,479 
Total        4,740,674 
           
Trading Companies & Distributors 0.80% 
Distribution Solutions Group, Inc.*   37,326    1,851,370 
           
Wireless Telecommunication Services 3.10% 
Gogo, Inc.*   411,162    7,137,772 
Total Common Stocks
(cost $219,034,064)
        227,715,810 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 8.07% 
           
Repurchase Agreements 1.54% 
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $3,692,800 of U.S. Treasury Note at 2.25% due 11/15/2027; value: $3,618,422; proceeds: $3,547,656
(cost $3,547,404)
  $3,547,404   $3,547,404 
           
     Shares      
           
Money Market Funds 5.88% 
Fidelity Government Portfolio(c)
(cost $13,531,857)
   13,531,857    13,531,857 
           
Time Deposits 0.65%          
CitiBank N.A.(c)
(cost $1,503,540)
   1,503,540    1,503,540 
Total Short-Term Investments
(cost $18,582,801)
        18,582,801 
Total Investments in Securities 107.00%
(cost $237,616,865)
        246,298,611 
Other Assets and Liabilities – Net (7.00)%        (16,116,190)
Net Assets 100.00%       $230,182,421 

 

*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.
(b)   All or a portion of this security is temporarily on loan to unaffiliated broker/dealers.
(c)   Security was purchased with the cash collateral from loaned securities.


 

  See Notes to Schedule of Investments. 45
 

Schedule of Investments (unaudited)(concluded)

MICRO CAP GROWTH FUND July 31, 2022

 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3     Total
Long-Term Investments                   
Common Stocks  $227,715,810   $   $   $227,715,810
Short-Term Investments                   
Repurchase Agreements       3,547,404        3,547,404
Money Market Funds   13,531,857            13,531,857
Time Deposits       1,503,540        1,503,540
Total  $241,247,667   $5,050,944   $   $246,298,611

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

46 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)

VALUE OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
LONG-TERM INVESTMENTS 98.60%
           
COMMON STOCKS 98.60%          
           
Aerospace & Defense 1.26%          
Curtiss-Wright Corp.   125,708   $18,031,555 
           
Auto Components 1.33%          
Gentherm, Inc.*   293,434    18,944,099 
           
Banks 4.58%          
East West Bancorp, Inc.   299,135    21,471,910 
First BanCorp   1,741,309    26,276,353 
Wintrust Financial Corp.   205,356    17,668,830 
Total        65,417,093 
           
Biotechnology 1.23%          
Horizon Therapeutics plc*   211,291    17,530,814 
           
Building Products 5.48%          
Allegion plc (Ireland)(a)   187,887    19,859,656 
Carlisle Cos., Inc.   82,588    24,454,307 
Masonite International Corp.*   245,624    22,359,152 
Simpson Manufacturing Co., Inc.   111,796    11,546,291 
Total        78,219,406 
           
Capital Markets 4.14%          
Cboe Global Markets, Inc.   173,432    21,398,040 
Moelis & Co. Class A   347,256    16,175,185 
TPG, Inc.   756,400    21,572,528 
Total        59,145,753 
           
Chemicals 5.09%          
Avient Corp.   514,122    22,184,364 
Axalta Coating Systems Ltd.*   643,258    16,222,967 
Valvoline, Inc.   1,062,912    34,247,025 
Total        72,654,356 
           
Communications Equipment 1.30%          
F5, Inc.*   110,535    18,499,138 
Investments  Shares   Fair
Value
 
Construction & Engineering 1.72%          
EMCOR Group, Inc.   211,202   $24,577,577 
           
Construction Materials 1.52%          
Eagle Materials, Inc.   171,539    21,691,107 
           
Containers & Packaging 1.87%          
Avery Dennison Corp.   139,803    26,626,879 
           
Electric: Utilities 3.25%          
IDACORP, Inc.   208,582    23,302,781 
Portland General Electric Co.   449,867    23,096,172 
Total        46,398,953 
           
Electrical Equipment 1.83%          
Generac Holdings, Inc.*   97,198    26,078,223 
           
Electronic Equipment, Instruments & Components 1.85% 
Littelfuse, Inc.   94,840    26,448,031 
           
Energy Equipment & Services 1.21%
NOV, Inc.   928,459    17,278,622 
           
Equity Real Estate Investment Trusts 6.50%
American Homes 4 Rent Class A   543,113    20,573,121 
First Industrial Realty Trust, Inc.   494,136    25,670,365 
National Storage Affiliates Trust   438,894    24,068,947 
Sunstone Hotel Investors, Inc.*   1,982,300    22,459,459 
Total        92,771,892 
           
Food & Staples Retailing 1.90%          
BJ’s Wholesale Club Holdings, Inc.*   400,793    27,133,686 
           
Health Care Equipment & Supplies 4.42%
CONMED Corp.   181,200    17,690,556 
Cooper Cos., Inc. (The)   42,312    13,836,024 
STERIS plc   139,784    31,542,260 
Total        63,068,840 


 

  See Notes to Schedule of Investments. 47
 

Schedule of Investments (unaudited)(continued)

VALUE OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Health Care Providers & Services 3.13%     
Molina Healthcare, Inc.*   102,751   $33,673,558 
R1 RCM, Inc.*   438,239    10,955,975 
Total        44,629,533 
           
Hotels, Restaurants & Leisure 3.88%
Caesars Entertainment, Inc.*   392,900    17,951,601 
Choice Hotels International, Inc.   185,333    22,401,200 
Dave & Buster’s Entertainment, Inc.*   192,757    7,201,401 
SeaWorld Entertainment, Inc.*   163,268    7,792,782 
Total        55,346,984 
           
Household Durables 0.93%          
Helen of Troy Ltd.*   99,535    13,316,788 
           
Household Products 0.47%          
Reynolds Consumer Products, Inc.   229,400    6,666,364 
           
Information Technology Services 1.42%
Euronet Worldwide, Inc.*   205,904    20,234,186 
           
Insurance 5.02%          
American Financial Group, Inc./OH   221,879    29,660,785 
Selective Insurance Group, Inc.   252,450    19,655,757 
Stewart Information Services Corp.   408,196    22,307,911 
Total        71,624,453 
           
Life Sciences Tools & Services 5.14%
Azenta, Inc.   208,150    14,208,319 
Bio-Techne Corp.   51,437    19,817,647 
Charles River Laboratories International, Inc.*   77,394    19,390,293 
Repligen Corp.*   93,426    19,933,371 
Total        73,349,630 
Investments  Shares   Fair
Value
 
Machinery 3.49%          
Columbus McKinnon Corp.   597,567   $19,779,468 
Crane Holdings Co.   303,895    30,064,332 
Total        49,843,800 
           
Media 0.96%          
Criteo SA ADR*   536,384    13,624,154 
           
Metals & Mining 1.02%          
Reliance Steel & Aluminum Co.   76,329    14,521,592 
           
Oil, Gas & Consumable Fuels 4.22%
Chesapeake Energy Corp.   387,838    36,522,704 
Devon Energy Corp.   377,834    23,746,867 
Total        60,269,571 
           
Pharmaceuticals 1.43%          
Organon & Co.   643,894    20,424,318 
           
Professional Services 2.16%          
Booz Allen Hamilton Holding Corp.   320,861    30,796,239 
           
Real Estate Management & Development 1.17%
Marcus & Millichap, Inc.   408,400    16,711,728 
           
Road & Rail 1.59%          
Saia, Inc.*   95,151    22,631,665 
           
Semiconductors & Semiconductor Equipment 4.52%
Entegris, Inc.   274,059    30,119,084 
MKS Instruments, Inc.   175,220    20,711,004 
Silicon Motion Technology Corp. ADR   160,490    13,691,402 
Total        64,521,490 
           
Software 4.89%          
Aspen Technology, Inc.*   58,816    12,003,757 
CommVault Systems, Inc.*   365,680    20,510,991 


 

48 See Notes to Schedule of Investments.
 

Schedule of Investments (unaudited)(concluded)

VALUE OPPORTUNITIES FUND July 31, 2022

 

Investments  Shares   Fair
Value
 
Software (continued)          
Descartes Systems Group, Inc. (The) (Canada)*(a)   362,463   $25,024,446 
Paylocity Holding Corp.*   59,354    12,222,769 
Total        69,761,963 
           
Specialty Retail 0.61%          
Burlington Stores, Inc.*   61,843    8,727,903 
           
Textiles, Apparel & Luxury Goods 0.56%          
Deckers Outdoor Corp.*   25,340    7,936,741 
           
Trading Companies & Distributors 1.51%          
AerCap Holdings NV (Ireland)*(a)   481,797    21,613,413 
Total Common Stocks
(cost $1,222,031,511)
        1,407,068,539 
Investments  Principal
Amount
   Fair
Value
 
SHORT-TERM INVESTMENTS 1.53%          
           
Repurchase Agreements 1.53%          
Repurchase Agreement dated 7/29/2022, 0.85% due 8/1/2022 with Fixed Income Clearing Corp. collateralized by $14,688,500 of U.S. Treasury Inflation Indexed Bond at 1.75% due 1/15/2028; value: $22,264,927; proceeds: $21,829,813
(cost $21,828,267)
  $21,828,267   $21,828,267 
Total Investments in Securities 100.13%
(cost $1,243,859,778)
        1,428,896,806 
Other Assets and Liabilities – Net (0.13)%    (1,845,815)
Net Assets 100.00%       $1,427,050,991 

 

ADR   American Depositary Receipt.
*   Non-income producing security.
(a)   Foreign security traded in U.S. dollars.


 

The following is a summary of the inputs used as of July 31, 2022 in valuing the Fund’s investments carried at fair value(1):

 

Investment Type(2)  Level 1   Level 2   Level 3   Total 
Long-Term Investments                    
Common Stocks  $1,407,068,539   $   $   $1,407,068,539 
Short-Term Investments                    
Repurchase Agreements       21,828,267        21,828,267 
Total  $1,407,068,539   $21,828,267   $   $1,428,896,806 

 

(1)   Refer to Note 2(b) for a description of fair value measurements and the three-tier hierarchy of inputs.
(2)   See Schedule of Investments for fair values in each industry and identification of foreign issuers and/or geography. When applicable each Level 3 security is identified on the Schedule of Investments along with the valuation technique utilized.

 

A reconciliation of Level 3 investments is presented when the Fund has a material amount of Level 3 investments at the beginning or end of the period in relation to the Fund’s net assets.

 

  See Notes to Schedule of Investments. 49
 

Notes to Schedule of Investments (unaudited)

 

1. ORGANIZATION  

 

Lord Abbett Securities Trust (the “Trust”) is registered under the Investment Company Act of 1940, as amended (the “Act”), as a diversified, open-end management investment company and was organized as a Delaware statutory trust on February 26, 1993. The Trust consists of the following fourteen funds (separately, a “Fund” and collectively, the “Funds”): Lord Abbett Alpha Strategy Fund (“Alpha Strategy Fund”), Lord Abbett Durable Growth Fund (“Durable Growth Fund”), Lord Abbett Focused Growth Fund (“Focused Growth Fund”), Lord Abbett Focused Large Cap Value Fund (“Focused Large Cap Value Fund”), Lord Abbett Focused Small Cap Value (“Focused Small Cap Value Fund), Lord Abbett Fundamental Equity Fund (“Fundamental Equity Fund”), Lord Abbett Global Equity Fund (“Global Equity Fund”), Lord Abbett Growth Leaders Fund (“Growth Leaders Fund”), Lord Abbett Health Care Fund (“Health Care Fund”), Lord Abbett International Equity Fund (“International Equity Fund”), Lord Abbett International Value Fund (“International Value Fund”), Lord Abbett International Opportunities Fund (“International Opportunities Fund”), Lord Abbett Micro-Cap Growth Fund (“Micro Cap Growth Fund”) and Lord Abbett Value Opportunities Fund (“Value Opportunities Fund”).

 

Each of Alpha Strategy Fund’s, Focused Large Cap Value Fund’s, Focused Small Cap Value Fund’s, Global Equity Fund’s, Health Care Fund’s, International Equity Fund’s, International Opportunities Fund’s, and Value Opportunities Fund’s investment objective is to seek long-term capital appreciation. Micro Cap Growth Fund’s investment object is long-term capital appreciation. Alpha Strategy Fund invests principally in other funds (“Underlying Funds”) managed by Lord, Abbett & Co. LLC (“Lord Abbett”). Fundamental Equity Fund’s investment objective is long-term growth of capital and income without excessive fluctuations in market value. Durable Growth Fund, Growth Leaders Fund’s and Focused Growth Fund’s investment objective is to seek capital appreciation. International Value Fund’s investment objective is to seek a high level of total return.

 

2. SIGNIFICANT ACCOUNTING POLICIES  

 

(a) Investment Valuation–Under procedures approved by the Funds’ Board of Trustees’ (the “Board”), Lord Abbett & Co. LLC (“Lord Abbett”), each Funds’ investment manager, has formed a Pricing Committee to administer the pricing and valuation of portfolio investments and to ensure that prices utilized reasonably reflect fair value. Among other things, these procedures allow the Funds to utilize independent pricing services, quotations from securities and financial instrument dealers and other market sources to determine fair value.
   
  Securities actively traded on any recognized U.S. or non-U.S. exchange or on The NASDAQ Stock Market LLC are valued at the last sale price or official closing price on the exchange or system on which they are principally traded. Events occurring after the close of trading on non-U.S. exchanges may result in adjustments to the valuation of foreign securities to reflect their fair value as of the close of regular trading on the New York Stock Exchange. When valuing foreign equity securities that meet certain criteria, the Board has approved the use of an independent fair valuation service that values such securities to reflect market trading that occurs after the close of the applicable foreign markets of comparable securities or other instruments that correlate to the fair-valued securities. Unlisted equity securities are valued at the last quoted sale price or, if no sale price is available, at the mean between the most recently quoted bid and ask prices. Investments in the Underlying Funds are valued at their NAV each business day at the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time.

 

50

 

Notes to Schedule of Investments (unaudited)(continued)

 

  Securities for which prices are not readily available are valued at fair value as determined by the Pricing Committee. The Pricing Committee considers a number of factors, including observable and unobservable inputs, when arriving at fair value. The Pricing Committee may use related or comparable assets or liabilities, recent transactions, market multiples, book values and other relevant information to determine the fair value of portfolio investments. The Board or a designated committee thereof regularly reviews fair value determinations made by the Pricing Committee and may employ techniques such as reviewing related market activity, reviewing inputs and assumptions, and retrospectively comparing prices of subsequent purchases and sales transactions to fair value determinations made by the Pricing Committee.
   
  Investments in open-end money market mutual funds are valued at their NAV as of the close of each business day. Short-term securities with 60 days or less remaining to maturity are valued using the amortized cost method, which approximates fair value.
   
(b) Fair Value Measurements–Fair value is defined as the price that each Fund would receive upon selling an investment or transferring a liability in an orderly transaction to an independent buyer in the principal or most advantageous market of the investment. A three-tier hierarchy is used to maximize the use of observable market data and minimize the use of unobservable inputs and to establish 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 - for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability. Observable inputs are based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability. Unobservable inputs are based on the best information available in the circumstances. The three-tier hierarchy classification is determined based on the lowest level of inputs that is significant to the fair value measurement, and is summarized in the three broad Levels listed below:

 

Level 1 -  unadjusted quoted prices in active markets for identical investments;
     
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.); and
     
Level 3 - significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).

 

A summary of inputs used in valuing each Fund’s investments as of July 31, 2022 and, if applicable, Level 3 rollforwards for the period then ended is included in each Fund’s Schedule of Investments.

 

Changes in valuation techniques may result in transfers into or out of an assigned level within the three-tier hierarchy. The inputs or methodology used for valuing securities are not necessarily an indication of the risk associated with investing in those securities.

 

51

 

Notes to Schedule of Investments (unaudited)(continued)

 

3. FEDERAL TAX INFORMATION  

 

It is the policy of the Fund to meet the requirements of Subchapter M of the Internal Revenue Code applicable to regulated investment companies and to distribute substantially all taxable income and capital gains to its shareholders. Therefore, no income tax provision is required.

 

The Fund files U.S. federal and various state and local tax returns. No income tax returns are currently under examination. The statute of limitations on the Fund’s filed U.S. federal tax returns remains open generally three years after the filing of the tax return. The statutes of limitations on the Fund’s, state and local tax returns may remain open for an additional year depending upon the jurisdiction.

 

4. SECURITIES LENDING AGREEMENT  

 

The Funds have established a securities lending agreement with Citibank, N.A. (the “agent”) for the lending of securities to qualified brokers in exchange for securities or cash collateral equal to at least the market value of securities loaned, plus interest, if applicable. Cash collateral is invested in an approved money market fund. In accordance with the Fund’s securities lending agreement, the market value of securities on loan is determined each day at the close of business and any additional collateral required to cover the value of securities on loan is delivered to the Fund on the next business day. As with other extensions of credit, the Funds have may experience a delay in the recovery of its securities or incur a loss should the borrower of the securities breach its agreement with the Funds have or become insolvent at a time when the collateral is insufficient to cover the cost of repurchasing securities on loan.

 

The initial collateral received by the Fund is required to have a value equal to at least 100% of the market value of the securities loaned. The collateral must be marked-to-market daily to cover increases in the market value of the securities loaned (or potentially a decline in the value of the collateral). In general, the risk of borrower default will be borne by Citibank, N.A.; the Funds will bear the risk of loss with respect to the investment of the cash collateral. The advantage of such loans is that the Funds continue to receive income on loaned securities while receiving a portion of any securities lending fees and earning returns on the cash amounts which may be reinvested for the purchase of investments in securities.

 

As of July 31, 2022, the market value of securities loaned and collateral received for the Funds were as follows:

 

Funds Market Value of
Securities Loaned
Collateral Received
International Equity Fund $  1,501,367 $  3,552,022
International Opportunities Fund 6,520,387 6,889,831
International Value Fund 264,350 8,229,152
Health Care Fund 28,421 28,791
Micro-Cap Growth Fund 15,639,374 15,035,396

 

52

 

Notes to Schedule of Investments (unaudited)(concluded)

 

5. TRANSACTIONS WITH AFFILIATED ISSUERS  

 

An affiliated issuer is one in which a Fund has ownership of at least 5% of the outstanding voting securities of the underlying issuer at any point during the fiscal year or any company which is under common ownership or control. Alpha Strategy Fund had the following transactions with affiliated issuers (i.e. the Underlying Funds) during the period ended July 31, 2022:

 

               Net   Change in       Shares     
   Value at   Purchases   Proceeds   Realized   Appreciation   Value at   as of   Dividend 
Affiliated Issuer  10/31/2021   at Cost   from Sales   Gain (Loss)  (Depreciation)  7/31/2022   7/31/2022   Income 
Lord Abbett Developing Growth Fund, Inc. - Class I  $175,650,188   $44,718,463   $(1,280,392)  $14,420,742(a)   $(79,837,701)  $139,545,710    5,737,899  $ 
Lord Abbett Focused Small Cap Value Fund - Class I   90,235,170    8,760,540    (9,823,724)   6,954,955(b)    (16,432,303)   71,117,344    2,666,567    183,247 
Lord Abbett Securities Trust - International Opportunities Fund - Class I   170,753,580    5,536,940    (2,026,883)   (13,972)   (37,234,963)   137,014,702    7,883,469    4,130,841 
Lord Abbett Securities Trust - Micro Cap Growth Fund - Class I   85,447,699    7,099,424            (27,585,172)   64,961,951    4,014,954     
Lord Abbett Research Fund, Inc. - Small-Cap Value Fund - Class I   178,800,321    20,842,471    (16,930,828)   16,206,125(c)    (38,384,976)   140,173,827    7,973,483    483,185 
Lord Abbett Value Opportunities Fund - Class I   180,099,301    21,000,762    (14,818,143)   20,876,338(d)    (45,203,590)   141,340,673    7,419,458    386,767 
Total                 $58,444,188   $(244,678,705)  $694,154,207        $5,184,040 

 

(a)  Represents $14,125,590 of distributed capital gains.
(b)  Includes $8,577,294 of distributed capital gains.
(c)  Includes $20,359,286 of distributed capital gains.
(d)  Includes $20,613,995 of distributed capital gains.

 

53

 

Investments in Underlying Funds (unaudited)

 

Alpha Strategy Fund invests in Underlying Funds managed by Lord Abbett. As of July 31, 2022, Alpha Strategy Fund’s long-term investments were allocated among the Underlying Funds as follows:

 

Underlying Fund Name  %
Lord Abbett Developing Growth Fund, Inc. – Class I   20.10%
Lord Abbett Securities Trust – Focused Small Cap Value Fund – Class I   10.25%
Lord Abbett Securities Trust – International Opportunities Fund – Class I   19.74%
Lord Abbett Securities Trust – Micro Cap Growth Fund – Class I   9.36%
Lord Abbett Research Fund, Inc. – Small Cap Value Fund – Class I   20.19%
Lord Abbett Securities Trust – Value Opportunities Fund – Class I   20.36%
Total   100.00%

 

The Ten Largest Holdings and the Holdings by Sector or Credit Rating, as of July 31, 2022 for each Underlying Fund are presented below. Each Underlying Fund’s annual and semiannual reports, which are sent to shareholders and filed with the SEC, contain information about the Underlying Fund’s portfolio holdings, including a complete schedule of holdings. A complete schedule of holdings for each Underlying Fund is also filed with the SEC on Form N-PORT as of the end of each respective Underlying Fund’s first and third quarters. In addition, on or about the first day of the second month following each calendar quarter-end, each Fund makes publicly available a complete schedule of its portfolio holdings as of the last day of each such quarter. The information for the most recently ended calendar quarter may be viewed at www.lordabbett.com or requested at no charge by calling Lord Abbett at 888-522-2388.

 

Developing Growth Fund

 

Ten Largest Holdings  % of Investments
Lantheus Holdings, Inc.   2.77%
Intra-Cellular Therapies, Inc.   2.58%
Shockwave Medical, Inc.   2.18%
Calix, Inc.   2.14%
Axonics, Inc.   2.05%
Inspire Medical Systems, Inc.   2.02%
iRhythm Technologies, Inc.   1.90%
Planet Fitness, Inc.   1.87%
Krystal Biotech, Inc.   1.87%
Cytokinetics, Inc.   1.80%
      
Holdings by Sector*   % of Investments
Communication Services   3.98%
Consumer Discretionary   5.68%
Consumer Staples   3.36%
Diversified   0.33%
Energy   2.41%
Financials   2.84%
Health Care   27.92%
Industrials   15.53%
Information Technology   30.03%
Materials   3.56%
Repurchase Agreements   2.52%
Money Market Funds(a)   1.66%
Time Deposits(a)   0.18%
Total   100.00%
   
* A sector may comprise several industries.
(a) Securities were purchased with the cash collateral from loaned securities.

 

54

 

Investments in Underlying Funds (unaudited)(continued)

 

Focused Small Cap Value Fund

 

Ten Largest Holdings  % of Investments
International Money Express, Inc.   4.10%
Organon & Co.   3.99%
Chesapeake Energy Corp.   3.69%
SP Plus Corp.   3.62%
Eagle Materials, Inc.   3.61%
Sunstone Hotel Investors, Inc.   3.37%
TrueBlue, Inc.   3.16%
Masonite International Corp.   3.09%
Tenet Healthcare Corp.   3.03%
First BanCorp   2.99%
      
Holdings by Sector*   % of Investments
Communication Services   5.63%
Consumer Discretionary   5.01%
Consumer Staples   5.20%
Energy   8.48%
Financials   24.74%
Health Care   7.03%
Industrials   18.76%
Information Technology   7.00%
Materials   6.86%
Real Estate   9.59%
Repurchase Agreements   1.70%
Total   100.00%
   
* A sector may comprise several industries.

 

International Opportunities Fund

 

Ten Largest Holdings  % of Investments
Britvic plc   2.35%
ANDRITZ AG   2.14%
Brookfield Infrastructure Corp.   2.13%
NS Solutions Corp.   2.00%
Man Group plc   1.94%
REN - Redes Energeticas Nacionais SGPS SA   1.86%
SHO-BOND Holdings Co. Ltd.   1.80%
Axfood AB   1.72%
Aixtron SE   1.63%
Loomis AB   1.55%

 

55

 

Investments in Underlying Funds (unaudited)(continued)

 

Holdings by Sector*  % of Investments
Communication Services   3.83%
Consumer Discretionary   9.01%
Consumer Staples   7.14%
Energy   1.54%
Financials   11.35%
Health Care   5.76%
Industrials   21.55%
Information Technology   12.80%
Materials   8.51%
Real Estate   9.57%
Utilities   3.98%
Repurchase Agreements   3.00%
Money Market Funds(a)   1.76%
Time Deposits(a)   0.20%
Total   100.00%
   
* A sector may comprise several industries.
(a) Securities were purchased with the cash collateral from loaned securities.

 

Micro Cap Growth Fund

 

Ten Largest Holdings  % of Investments
Gogo, Inc.   2.90%
Impinj, Inc.   2.50%
Krystal Biotech, Inc.   2.25%
Kura Sushi USA, Inc.   2.20%
ICF International, Inc.   2.16%
Xenon Pharmaceuticals, Inc.   2.14%
Calix, Inc.   2.09%
Lantheus Holdings, Inc.   1.92%
Agilysys, Inc.   1.88%
Stride, Inc.   1.78%
      
Holdings by Sector*   % of Investments
Communication Services   5.00%
Consumer Discretionary   13.08%
Consumer Staples   4.47%
Energy   1.71%
Financials   2.62%
Health Care   28.71%
Industrials   13.21%
Information Technology   23.00%
Materials   0.66%
Repurchase Agreements   1.44%
Money Market Funds(a)   5.49%
Time Deposits(a)   0.61%
Total   100.00%
   
* A sector may comprise several industries.
(a) Securities were purchased with the cash collateral from loaned securities.

 

56

 

Investments in Underlying Funds (unaudited)(continued)

 

Small Cap Value Fund

 

Ten Largest Holdings  % of Investments
International Money Express, Inc.   2.51%
First BanCorp   2.42%
Valvoline, Inc.   2.41%
Organon & Co.   2.10%
Crane Holdings Co.   2.04%
NOV, Inc.   2.03%
Chesapeake Energy Corp.   2.02%
Avient Corp.   2.02%
Masonite International Corp.   1.96%
Wintrust Financial Corp.   1.86%
      
Holdings by Sector*   % of Investments
Communication Services   4.45%
Consumer Discretionary   6.65%
Consumer Staples   5.74%
Energy   7.08%
Financials   21.25%
Health Care   7.17%
Industrials   19.46%
Information Technology   10.27%
Materials   7.21%
Real Estate   7.37%
Utilities   2.79%
Repurchase Agreements   0.56%
Total   100.00%
   
* A sector may comprise several industries.

 

Value Opportunities Fund

 

Ten Largest Holdings  % of Investments
Chesapeake Energy Corp.   2.56%
Valvoline, Inc.   2.40%
Molina Healthcare, Inc.   2.36%
STERIS plc   2.21%
Booz Allen Hamilton Holding Corp.   2.16%
Entegris, Inc.   2.11%
Crane Holdings Co.   2.10%
American Financial Group, Inc./OH   2.08%
BJ’s Wholesale Club Holdings, Inc.   1.90%
Avery Dennison Corp.   1.86%

 

57

 

Investments in Underlying Funds (unaudited)(concluded)

 

Holdings by Sector*  % of Investments
Communication Services   0.95%
Consumer Discretionary   7.30%
Consumer Staples   2.36%
Energy   5.43%
Financials   13.73%
Health Care   15.33%
Industrials   19.02%
Information Technology   13.96%
Materials   9.48%
Real Estate   7.66%
Utilities   3.25%
Repurchase Agreements   1.53%
Total   100.00%
   
* A sector may comprise several industries.

 

58

 

 

QPHR-SET-3Q

(09/22)