0001752724-20-193692.txt : 20200925 0001752724-20-193692.hdr.sgml : 20200925 20200925101254 ACCESSION NUMBER: 0001752724-20-193692 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20200731 FILED AS OF DATE: 20200925 PERIOD START: 20201031 FILER: COMPANY DATA: COMPANY CONFORMED NAME: PRINCIPAL FUNDS INC CENTRAL INDEX KEY: 0000898745 IRS NUMBER: 000000000 STATE OF INCORPORATION: MD FISCAL YEAR END: 1031 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-07572 FILM NUMBER: 201197427 BUSINESS ADDRESS: STREET 1: 711 HIGH STREET CITY: DES MOINES STATE: IA ZIP: 50392 BUSINESS PHONE: 515-248-4745 MAIL ADDRESS: STREET 1: PRINCIPAL FINANCIAL GROUP CITY: DES MOINES STATE: IA ZIP: 50392 FORMER COMPANY: FORMER CONFORMED NAME: PRINCIPAL INVESTORS FUND INC DATE OF NAME CHANGE: 20001012 FORMER COMPANY: FORMER CONFORMED NAME: PRINCIPAL SPECIAL MARKETS FUND INC DATE OF NAME CHANGE: 19930714 0000898745 S000007203 SmallCap S&P 600 Index Fund 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Mortgage Trust Inc 549300JFGR0M7ULHWG48 New York Mortgage Trust Inc 649604501 596290.00000000 NS USD 1562279.80000000 0.146070298415 Long EC CORP US N 1 N N N Veritiv Corp 529900VQARHWQROHAS58 Veritiv Corp 923454102 19801.00000000 NS USD 303153.31000000 0.028344278955 Long EC CORP US N 1 N N N Diodes Inc 549300XP2X1ARVH3BX23 Diodes Inc 254543101 65881.00000000 NS USD 3389577.45000000 0.316919280159 Long EC CORP US N 1 N N N Easterly Government Properties Inc 549300ERMCEFC6S8HL77 Easterly Government Properties Inc 27616P103 118664.00000000 NS USD 2901334.80000000 0.271269487091 Long EC CORP US N 1 N N N RR Donnelley & Sons Co SU4X0P4WWRGOQDTSV032 RR Donnelley & Sons Co 257867200 112633.00000000 NS USD 127275.29000000 0.011900006382 Long EC CORP US N 1 N N N ESCO Technologies Inc 5493007JJLP5MEWVDH10 ESCO Technologies Inc 296315104 41131.00000000 NS USD 3534798.14000000 0.330497148557 Long EC CORP US N 1 N N N Mercer International Inc 549300Z5IAG39VRTY874 Mercer International Inc 588056101 63406.00000000 NS USD 472374.70000000 0.044166168821 Long EC CORP CA N 1 N N N Livent Corp 254900OOLQ2VNMZTJL47 Livent Corp 53814L108 230938.00000000 NS USD 1447981.26000000 0.135383594378 Long EC CORP US N 1 N N USANA Health Sciences Inc 549300YTURXE814MAH96 USANA Health Sciences Inc 90328M107 19255.00000000 NS USD 1563120.90000000 0.146148939724 Long EC CORP US N 1 N N N ATN International Inc 54930013NP7VEU877V56 ATN International Inc 00215F107 17168.00000000 NS USD 989391.84000000 0.092506323975 Long EC CORP US N 1 N N N Stewart Information Services Corp 529900TV1XI0PLKENU10 Stewart Information Services Corp 860372101 37412.00000000 NS USD 1569433.40000000 0.146739146906 Long EC CORP US N 1 N N N Forrester Research Inc 549300UUSFXYLJ80Z897 Forrester Research Inc 346563109 16891.00000000 NS USD 593043.01000000 0.055448434681 Long EC CORP US N 1 N N N Forward Air Corp N/A Forward Air Corp 349853101 44193.00000000 NS USD 2297594.07000000 0.214820835194 Long EC CORP US N 1 N N N Pacific Premier Bancorp Inc 549300Q1KIC3KLI0XG98 Pacific Premier Bancorp Inc 69478X105 127667.00000000 NS USD 2682283.67000000 0.250788607848 Long EC CORP US N 1 N N N ANI Pharmaceuticals Inc 5493000T6CXTND40YH31 ANI Pharmaceuticals Inc 00182C103 14997.00000000 NS USD 444061.17000000 0.041518905651 Long EC CORP US N 1 N N N Resideo Technologies Inc 5493006TKFPYISY2DS54 Resideo Technologies Inc 76118Y104 194538.00000000 NS USD 2583464.64000000 0.241549209630 Long EC CORP US N 1 N N N PDF Solutions Inc 549300GMSP6MROFBI160 PDF Solutions Inc 693282105 44535.00000000 NS USD 1094670.30000000 0.102349667062 Long EC CORP US N 1 N N N Comfort Systems USA Inc 5299009DT1ZA5HTU6R38 Comfort Systems USA Inc 199908104 57614.00000000 NS USD 2863991.94000000 0.267777998112 Long EC CORP US N 1 N N N Hanger Inc 254900ZJJJYVLHJXSZ60 Hanger Inc 41043F208 59701.00000000 NS USD 1042379.46000000 0.097460569345 Long EC CORP US N 1 N N N Allegiance Bancshares Inc N/A Allegiance Bancshares Inc 01748H107 29653.00000000 NS USD 723236.67000000 0.067621303310 Long EC CORP US N 1 N N N Inogen Inc 549300J8WJIVTOJ8IH97 Inogen Inc 45780L104 28907.00000000 NS USD 887444.90000000 0.082974471903 Long EC CORP US N 1 N N N Cooper-Standard Holdings Inc 549300VVOH2RQP5YMB08 Cooper-Standard Holdings Inc 21676P103 26673.00000000 NS USD 285667.83000000 0.026709418617 Long EC CORP US N 1 N N N Surmodics Inc 549300H76KXCAAGUS878 Surmodics Inc 868873100 21496.00000000 NS USD 1016545.84000000 0.095045173215 Long EC CORP US N 1 N N N Matrix Service Co 529900VYBKSX6HD2YW58 Matrix Service Co 576853105 41293.00000000 NS USD 361520.22000000 0.033801478082 Long EC CORP US N 1 N N N Westamerica BanCorp N/A Westamerica BanCorp 957090103 42557.00000000 NS USD 2568740.52000000 0.240172531392 Long EC CORP US N 1 N N N Banner Corp N/A Banner Corp 06652V208 55537.00000000 NS USD 1967675.91000000 0.183974091810 Long EC CORP US N 1 N N N Griffon Corp 5493000C2SGNC7ZN3242 Griffon Corp 398433102 68184.00000000 NS USD 1559368.08000000 0.145798057931 Long EC CORP US N 1 N N N LGI Homes Inc 549300W02B4WNV8CV109 LGI Homes Inc 50187T106 34462.00000000 NS USD 3932458.82000000 0.367677693422 Long EC CORP US N 1 N N N P H Glatfelter Co 549300LDQLQBT38QDY28 P H Glatfelter Co 377316104 69999.00000000 NS USD 1115084.07000000 0.104258317148 Long EC CORP US N 1 N N N Omnicell Inc 5493008RH0GTKHHPZI77 Omnicell Inc 68213N109 67328.00000000 NS USD 4732485.12000000 0.442478686420 Long EC CORP US N 1 N N N Columbia Banking System Inc N/A Columbia Banking System Inc 197236102 113060.00000000 NS USD 3270825.80000000 0.305816218497 Long EC CORP US N 1 N N N Xencor Inc 549300V5IF65437JKG30 Xencor Inc 98401F105 78345.00000000 NS USD 2357401.05000000 0.220412678227 Long EC CORP US N 1 N N N Mueller Industries Inc 5493005IZFE4VJLLYG84 Mueller Industries Inc 624756102 89684.00000000 NS USD 2507564.64000000 0.234452698717 Long EC CORP US N 1 N N N Sonic Automotive Inc 549300NTLRGJ2JCBZU03 Sonic Automotive Inc 83545G102 38062.00000000 NS USD 1450923.44000000 0.135658682816 Long EC CORP US N 1 N N N Orthofix Medical Inc N/A Orthofix Medical Inc 68752M108 30335.00000000 NS USD 931587.85000000 0.087101756836 Long EC CORP US N 1 N N N Pennsylvania Real Estate Investment Trust 5493001GPBXRIG8WJO70 Pennsylvania Real Estate Investment Trust 709102107 95943.00000000 NS USD 113212.74000000 0.010585183727 Long EC CORP US N 1 N N N Community Healthcare Trust Inc 549300FATSRCMKOV9536 Community Healthcare Trust Inc 20369C106 32528.00000000 NS USD 1487505.44000000 0.139079032779 Long EC CORP US N 1 N N N AAON Inc N/A AAON Inc 000360206 64114.00000000 NS USD 3798754.50000000 0.355176584516 Long EC CORP US N 1 N N N Anika Therapeutics Inc 529900R9LS3Z0O6QH455 Anika Therapeutics Inc 035255108 22435.00000000 NS USD 816634.00000000 0.076353782514 Long EC CORP US N 1 N N N Capri Holdings Ltd 549300LPG8W0H1OX3A26 Capri Holdings Ltd G1890L107 235955.00000000 NS USD 3534605.90000000 0.330479174469 Long EC CORP GB N 1 N N N LivePerson Inc 549300IN2P1JZ20G7N40 LivePerson Inc 538146101 97254.00000000 NS USD 4179976.92000000 0.390820182194 Long EC CORP US N 1 N N N Cardtronics PLC 549300Y550MRJSMQQY02 Cardtronics PLC G1991C105 56894.00000000 NS USD 1270443.02000000 0.118784094277 Long EC CORP GB N 1 N N N Valaris plc 7N0UJMJLXD0MDT5D5086 Valaris plc G9402V109 313481.00000000 NS USD 122915.90000000 0.011492411406 Long EC CORP GB N 1 N N Endo International PLC 5493007TBMWZWGZIB256 Endo International PLC G30401106 322953.00000000 NS USD 1123876.44000000 0.105080387631 Long EC CORP IE N 1 N N N Uniti Group Inc 549300V3NU625PJUVA84 Uniti Group Inc 91325V108 306649.00000000 NS USD 3035825.10000000 0.283844083687 Long EC CORP US N 1 N N N HealthStream Inc 529900OJ88H8635JNH64 HealthStream Inc 42222N103 39933.00000000 NS USD 876729.02000000 0.081972556760 Long EC CORP US N 1 N N N 2020-09-04 Principal Funds, Inc Sara Reece /s/ Sara Reece Vice President and Controller XXXX NPORT-EX 2 principal_4092.htm
Schedule
of
Investments
California
Municipal
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
1
INVESTMENT
COMPANIES
-
0.97%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.97%
iShares
California
Muni
Bond
ETF
99,731‌
$
6,279‌
TOTAL
INVESTMENT
COMPANIES
$
6,279‌
MUNICIPAL
BONDS
-
100.17%
Principal
Amount
(000's)
Value
(000's)
California
-
98.70%
Abag
Finance
Authority
for
Nonprofit
Corps
5.00%,
08/01/2043
$
1,500‌
$
1,655‌
Alameda
Community
Improvement
Commission
Successor
Agency
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
09/01/2031
(a)
1,000‌
1,163‌
Alameda
Corridor
Transportation
Authority
5.00%,
10/01/2034
6,805‌
7,969‌
5.00%,
10/01/2036
6,250‌
7,277‌
Alameda
Unified
School
District-Alameda
County/CA
5.00%,
08/01/2032
1,795‌
2,169‌
Alum
Rock
Union
Elementary
School
District
5.25%,
08/01/2043
240‌
269‌
Anaheim
Housing
&
Public
Improvements
Authority
5.00%,
10/01/2045
750‌
876‌
5.00%,
10/01/2050
1,000‌
1,164‌
California
Educational
Facilities
Authority
5.00%,
10/01/2036
1,000‌
1,205‌
5.00%,
10/01/2045
1,000‌
1,191‌
California
Health
Facilities
Financing
Authority
5.00%,
08/15/2031
2,700‌
3,332‌
5.00%,
08/15/2033
1,750‌
2,104‌
5.00%,
08/15/2034
2,000‌
2,442‌
5.00%,
02/01/2035
2,000‌
2,295‌
5.00%,
11/15/2046
(b)
4,504‌
5,281‌
5.00%,
11/15/2048
2,785‌
3,383‌
California
Health
Facilities
Financing
Authority
(credit
support
from
California
Mortgage
Insurance
)
5.00%,
07/01/2035
(a)
1,000‌
1,166‌
California
Housing
Finance
4.25%,
01/15/2035
8,869‌
9,905‌
California
Infrastructure
&
Economic
Development
Bank
5.00%,
11/01/2029
5,000‌
6,768‌
5.00%,
08/01/2036
2,250‌
2,910‌
5.00%,
08/01/2037
1,000‌
1,289‌
5.00%,
08/01/2038
1,175‌
1,508‌
5.00%,
08/01/2039
1,130‌
1,447‌
California
Municipal
Finance
Authority
2.40%,
10/01/2044
(c)
4,000‌
4,341‌
4.00%,
07/15/2029
11,500‌
11,534‌
4.00%,
10/01/2039
2,150‌
2,330‌
5.00%,
05/15/2033
1,000‌
1,176‌
5.00%,
05/15/2034
1,000‌
1,170‌
5.00%,
12/31/2034
7,550‌
9,000‌
5.00%,
12/31/2036
3,000‌
3,550‌
5.00%,
05/15/2038
2,000‌
2,307‌
5.00%,
12/31/2038
5,500‌
6,470‌
5.00%,
10/01/2044
1,000‌
1,149‌
5.25%,
11/01/2036
4,000‌
4,565‌
California
Municipal
Finance
Authority
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
05/15/2043
(a)
600‌
710‌
5.00%,
05/15/2044
(a)
5,000‌
5,907‌
California
Municipal
Finance
Authority
(credit
support
from
Build
America
Mutual
Assurance
Corp
-
Transfer
Custodial
Receipt
)
5.00%,
05/15/2031
(a)
10,000‌
12,159‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
California
Pollution
Control
Financing
Authority
3.00%,
11/01/2025
$
10,500‌
$
11,519‌
3.25%,
12/01/2027
(c)
2,000‌
2,175‌
4.30%,
07/01/2040
3,400‌
3,859‌
5.00%,
07/01/2029
(d)
1,000‌
1,211‌
5.00%,
07/01/2030
(d)
2,000‌
2,113‌
5.00%,
07/01/2037
(d)
10,000‌
10,450‌
5.00%,
07/01/2039
(d)
4,250‌
4,995‌
5.00%,
11/21/2045
(d)
1,500‌
1,746‌
California
Public
Finance
Authority
0.11%,
08/01/2052
(c)
1,745‌
1,745‌
California
School
Finance
Authority
5.00%,
07/01/2035
(d)
1,925‌
2,167‌
5.00%,
08/01/2038
(d)
1,000‌
1,163‌
California
State
Public
Works
Board
5.00%,
11/01/2037
1,375‌
1,499‌
5.00%,
10/01/2039
4,500‌
5,197‌
California
State
University
5.00%,
11/01/2037
2,000‌
2,501‌
California
Statewide
Communities
Development
Authority
0.13%,
07/15/2040
(c)
5,500‌
5,500‌
3.00%,
06/01/2029
(d)
750‌
702‌
4.00%,
02/01/2022
830‌
842‌
4.00%,
02/01/2025
940‌
971‌
4.00%,
09/02/2029
1,000‌
1,107‌
4.00%,
07/01/2048
1,800‌
2,024‌
4.00%,
09/02/2050
850‌
872‌
5.00%,
10/01/2028
1,875‌
2,109‌
5.00%,
02/01/2030
2,775‌
2,832‌
5.00%,
11/01/2032
(d)
1,135‌
1,220‌
5.00%,
05/15/2034
4,855‌
5,443‌
5.00%,
06/01/2034
(d)
375‌
393‌
5.00%,
09/02/2034
1,000‌
1,173‌
5.00%,
12/01/2036
(d)
5,000‌
5,555‌
5.00%,
04/01/2038
(c)
10,000‌
13,536‌
5.00%,
09/02/2038
3,000‌
3,521‌
5.00%,
06/01/2039
(d)
475‌
490‌
5.00%,
09/02/2039
500‌
577‌
5.00%,
09/02/2039
745‌
858‌
5.00%,
09/02/2039
900‌
1,037‌
5.00%,
09/02/2039
1,000‌
1,181‌
5.00%,
05/15/2040
3,500‌
3,865‌
5.00%,
09/02/2040
1,000‌
1,152‌
5.00%,
12/01/2041
(d)
1,000‌
1,102‌
5.00%,
09/02/2044
1,425‌
1,620‌
5.00%,
12/01/2046
(d)
1,620‌
1,773‌
5.00%,
09/02/2048
1,000‌
1,164‌
5.00%,
09/02/2049
600‌
683‌
5.00%,
06/01/2051
(d)
1,950‌
1,978‌
5.25%,
12/01/2034
3,500‌
3,853‌
5.25%,
12/01/2038
(d)
1,000‌
1,116‌
5.25%,
12/01/2043
(d)
3,825‌
4,236‌
California
Statewide
Financing
Authority
6.00%,
05/01/2043
2,050‌
2,067‌
6.00%,
05/01/2043
1,550‌
1,563‌
Chino
Valley
Unified
School
District
5.25%,
08/01/2047
2,000‌
2,492‌
City
of
Compton
CA
Water
Revenue
6.00%,
08/01/2039
1,250‌
1,254‌
City
of
Irvine
CA
4.00%,
09/02/2038
1,000‌
1,191‌
5.00%,
09/01/2049
2,000‌
2,187‌
City
of
Los
Angeles
CA
Wastewater
System
Revenue
5.00%,
06/01/2034
2,000‌
2,405‌
Schedule
of
Investments
California
Municipal
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
2
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
City
of
Los
Angeles
Department
of
Airports
5.00%,
05/15/2026
$
1,000‌
$
1,191‌
5.00%,
05/15/2026
3,500‌
4,312‌
5.00%,
05/15/2028
3,175‌
4,091‌
5.00%,
05/15/2031
295‌
324‌
5.00%,
05/15/2032
535‌
622‌
5.00%,
05/15/2035
5,425‌
6,907‌
5.00%,
05/15/2036
1,500‌
1,727‌
5.00%,
05/15/2037
(b)
3,463‌
4,377‌
5.00%,
05/15/2038
1,155‌
1,456‌
5.00%,
05/15/2039
(b)
2,416‌
3,037‌
5.00%,
05/15/2042
(b)
966‌
1,134‌
5.00%,
05/15/2044
(b)
6,644‌
7,995‌
5.00%,
05/15/2044
(b)
2,980‌
3,700‌
5.00%,
05/15/2044
(b)
443‌
537‌
5.00%,
05/15/2047
(b)
2,819‌
3,343‌
5.25%,
05/15/2048
(b)
1,611‌
1,985‌
City
of
Oroville
CA
5.25%,
04/01/2049
2,500‌
2,686‌
5.25%,
04/01/2054
3,000‌
3,191‌
City
of
Riverside
CA
Sewer
Revenue
5.00%,
08/01/2040
4,000‌
4,802‌
City
of
San
Francisco
CA
Public
Utilities
Commission
Water
Revenue
5.00%,
11/01/2034
1,800‌
2,251‌
5.00%,
11/01/2036
2,010‌
2,132‌
Coachella
Valley
Unified
School
District/
CA
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
0.00%,
08/01/2039
(a),(e)
4,000‌
2,603‌
Compton
Public
Finance
Authority
4.50%,
09/01/2032
(d)
8,000‌
7,956‌
County
of
Riverside
CA
4.00%,
06/30/2021
5,000‌
5,176‌
County
of
Sacramento
CA
Airport
System
Revenue
5.00%,
07/01/2036
1,350‌
1,585‌
5.00%,
07/01/2037
2,000‌
2,434‌
Dinuba
Redevelopment
Agency
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
09/01/2033
(a)
2,000‌
2,297‌
East
Bay
Municipal
Utility
District
Water
System
Revenue
3.00%,
06/01/2037
10‌
11‌
Escondido
Union
High
School
District
0.00%,
08/01/2041
(e)
1,000‌
597‌
Foothill-De
Anza
Community
College
District
5.00%,
08/01/2040
1,500‌
1,573‌
Golden
State
Tobacco
Securitization
Corp
5.00%,
06/01/2026
1,000‌
1,222‌
5.00%,
06/01/2028
7,000‌
8,660‌
5.25%,
06/01/2047
7,500‌
7,692‌
5.30%,
06/01/2037
9,000‌
9,300‌
Golden
State
Tobacco
Securitization
Corp
(credit
support
from
State
of
California
Appropriations
)
5.00%,
06/01/2033
(a)
2,000‌
2,379‌
Indio
Redevelopment
Agency
Successor
Agency
5.63%,
08/15/2035
330‌
331‌
Inland
Valley
Development
Agency
5.25%,
09/01/2037
1,000‌
1,125‌
La
Verne
Public
Financing
Authority
7.25%,
09/01/2026
590‌
592‌
Long
Beach
Bond
Finance
Authority
5.00%,
11/15/2035
3,385‌
4,671‌
5.50%,
11/15/2030
1,010‌
1,371‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
Los
Angeles
County
Public
Works
Financing
Authority
5.00%,
12/01/2033
$
2,000‌
$
2,403‌
5.00%,
08/01/2042
1,400‌
1,506‌
5.00%,
12/01/2045
(b)
5,500‌
6,470‌
Los
Angeles
County
Sanitation
Districts
Financing
Authority
5.00%,
10/01/2035
4,500‌
5,478‌
Los
Angeles
Unified
School
District/CA
5.00%,
07/01/2035
2,700‌
3,451‌
5.25%,
07/01/2042
6,500‌
8,226‌
Marin
Healthcare
District
5.00%,
08/01/2034
1,000‌
1,196‌
Merced
Union
High
School
District
0.00%,
08/01/2032
(e)
3,380‌
2,801‌
Metropolitan
Water
District
of
Southern
California
5.00%,
10/01/2045
1,410‌
1,860‌
Middle
Fork
Project
Finance
Authority
5.00%,
04/01/2036
3,550‌
4,232‌
Mountain
View
Shoreline
Regional
Park
Community
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
08/01/2048
(a)
3,000‌
3,752‌
Norco
Community
Redevelopment
Agency
Successor
Agency
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
03/01/2032
(a)
1,000‌
1,139‌
Norman
Y
Mineta
San
Jose
International
Airport
SJC
5.00%,
03/01/2041
6,000‌
7,075‌
5.00%,
03/01/2047
1,500‌
1,798‌
Oakland
Unified
School
District/Alameda
County
5.00%,
08/01/2040
3,400‌
3,946‌
Oakland
Unified
School
District/Alameda
County
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
3.00%,
08/01/2040
(a)
2,250‌
2,398‌
4.00%,
08/01/2037
(a)
1,505‌
1,750‌
Pittsburg
Successor
Agency
Redevelopment
Agency
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
09/01/2028
(a)
1,000‌
1,237‌
5.00%,
09/01/2029
(a)
1,000‌
1,230‌
Pittsburg
Unified
School
District
5.00%,
08/01/2043
2,900‌
3,339‌
Pomona
Unified
School
District
(credit
support
from
National
Public
Finance
Guarantee
Corp
)
6.15%,
08/01/2030
(a)
1,000‌
1,083‌
Port
Commission
of
the
City
&
County
of
San
Francisco
4.00%,
03/01/2035
1,000‌
1,080‌
Port
of
Los
Angeles
5.00%,
08/01/2032
1,740‌
1,995‌
Poway
Unified
School
District
0.00%,
08/01/2036
(e)
4,000‌
2,923‌
Regents
of
the
University
of
California
Medical
Center
Pooled
Revenue
5.00%,
05/15/2035
4,540‌
5,476‌
Rialto
Redevelopment
Agency
5.00%,
09/01/2037
1,000‌
1,241‌
Richmond
Joint
Powers
Financing
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
11/01/2035
(a)
1,180‌
1,500‌
5.00%,
11/01/2036
(a)
3,330‌
4,217‌
Schedule
of
Investments
California
Municipal
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
3
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
Ripon
Unified
School
District
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
0.00%,
08/01/2033
(a),(e)
$
855‌
$
492‌
Ripon
Unified
School
District
-
Unrefunded
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
0.00%,
08/01/2033
(a),(e)
255‌
148‌
Riverside
Community
Properties
Development
Inc
6.00%,
10/15/2038
1,000‌
1,184‌
Riverside
County
Public
Financing
Authority
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
10/01/2029
(a)
1,500‌
1,793‌
Sacramento
Area
Flood
Control
Agency
5.00%,
10/01/2033
2,000‌
2,502‌
Sacramento
Municipal
Utility
District
5.00%,
08/15/2038
5,025‌
6,829‌
Salinas
Valley
Solid
Waste
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.50%,
08/01/2031
(a)
3,250‌
3,877‌
San
Diego
Association
of
Governments
South
Bay
Expressway
Revenue
5.00%,
07/01/2036
1,500‌
1,779‌
5.00%,
07/01/2037
2,300‌
2,721‌
San
Diego
Convention
Center
Expansion
Financing
Authority
5.00%,
04/15/2025
5,000‌
5,408‌
San
Diego
County
Regional
Airport
Authority
4.00%,
07/01/2037
6,500‌
7,655‌
4.00%,
07/01/2038
2,000‌
2,349‌
4.00%,
07/01/2044
1,000‌
1,122‌
5.00%,
07/01/2042
5,000‌
5,929‌
5.00%,
07/01/2044
2,000‌
2,511‌
5.00%,
07/01/2049
1,500‌
1,825‌
San
Diego
County
Water
Authority
5.00%,
05/01/2031
(f)
1,000‌
1,397‌
San
Diego
Public
Facilities
Financing
Authority
4.00%,
08/01/2045
1,000‌
1,223‌
5.00%,
08/01/2030
1,000‌
1,417‌
San
Diego
Unified
School
District/CA
4.00%,
07/01/2038
2,120‌
2,563‌
San
Francisco
Bay
Area
Rapid
Transit
District
Sales
Tax
Revenue
4.00%,
07/01/2036
3,035‌
3,597‌
4.00%,
07/01/2037
2,500‌
2,956‌
San
Francisco
City
&
County
Airport
Comm
-San
Francisco
International
Airport
5.00%,
05/01/2031
1,000‌
1,224‌
5.00%,
05/01/2034
1,000‌
1,261‌
5.00%,
05/01/2042
1,500‌
1,778‌
San
Joaquin
Hills
Transportation
Corridor
Agency
5.00%,
01/15/2034
7,800‌
8,803‌
San
Luis
Obispo
County
Financing
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
08/01/2030
(a)
1,000‌
1,047‌
San
Luis
Obispo
County
Financing
Authority
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
09/01/2037
(a)
1,000‌
1,203‌
San
Mateo
Foster
City
Public
Financing
Authority
4.00%,
08/01/2037
2,070‌
2,539‌
Santa
Monica-Malibu
Unified
School
District
3.00%,
08/01/2049
4,650‌
4,996‌
4.00%,
08/01/2038
2,975‌
3,506‌
4.00%,
08/01/2039
1,510‌
1,776‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
South
Placer
Wastewater
Authority/CA
5.00%,
11/01/2035
$
500‌
$
739‌
Southern
California
Public
Power
Authority
5.00%,
11/01/2028
2,150‌
2,740‌
5.00%,
11/01/2029
2,725‌
3,524‌
5.25%,
07/01/2029
695‌
726‌
5.25%,
07/01/2031
695‌
725‌
State
of
California
0.12%,
05/01/2034
(c)
2,000‌
2,000‌
0.14%,
05/01/2034
(c)
5,800‌
5,800‌
2.45%,
12/01/2031
380‌
387‌
4.00%,
09/01/2033
1,580‌
1,871‌
5.00%,
09/01/2034
5,000‌
6,230‌
5.00%,
02/01/2038
1,450‌
1,593‌
5.00%,
04/01/2043
3,380‌
3,722‌
5.25%,
11/01/2040
1,500‌
1,516‌
6.00%,
03/01/2033
670‌
673‌
Stockton
Unified
School
District
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
08/01/2038
(a)
1,500‌
1,713‌
Tobacco
Securitization
Authority
of
Southern
California
5.00%,
06/01/2034
1,000‌
1,281‌
5.00%,
06/01/2035
500‌
637‌
5.00%,
06/01/2036
2,000‌
2,537‌
5.00%,
06/01/2048
5,000‌
6,059‌
Transbay
Joint
Powers
Authority
5.00%,
10/01/2030
400‌
528‌
5.00%,
10/01/2035
500‌
643‌
5.00%,
10/01/2037
700‌
894‌
5.00%,
10/01/2038
1,000‌
1,273‌
5.00%,
10/01/2045
1,500‌
1,888‌
Travis
Unified
School
District
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
09/01/2029
(a)
1,000‌
1,207‌
Tulare
County
Transportation
Authority
5.00%,
02/01/2029
1,000‌
1,142‌
Tustin
Public
Financing
Authority
5.00%,
04/01/2041
1,000‌
1,032‌
University
of
California
5.00%,
05/15/2044
1,000‌
1,142‌
West
Valley-Mission
Community
College
District
4.00%,
08/01/2044
5,000‌
6,036‌
Woodland-Davis
Clean
Water
Agency
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
03/01/2039
(a)
1,500‌
1,814‌
$
634,779‌
Guam
-
1.47%
Guam
Government
Waterworks
Authority
5.00%,
01/01/2046
2,525‌
2,883‌
5.00%,
01/01/2050
4,390‌
5,410‌
Port
Authority
of
Guam
5.00%,
07/01/2048
1,000‌
1,138‌
$
9,431‌
TOTAL
MUNICIPAL
BONDS
$
644,210‌
Total
Investments
$
650,489‌
Liability
for
Floating
Rate
Notes
Issued
in
Conjunction
with
Securities
Held
-
(2.99)%
Notes
with
interest
rates
of
0.20%
-
0.24%
at
July
31,
2020
and
contractual
maturities
of
collateral
of
2023-2025.
(g)
$
(19,231‌)
(19,231‌)
Total
Net
Investments
$
631,258‌
Other
Assets
and
Liabilities
-  1.85%
11,871‌
TOTAL
NET
ASSETS
-
100.00%
$
643,129‌
Schedule
of
Investments
California
Municipal
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
4
(a)
Credit
support
indicates
investments
that
benefit
from
credit
enhancement
or
liquidity
support
provided
by
a
third
party
bank,
institution,
or
government
agency.
(b)
Security
or
portion
of
underlying
security
related
to
Inverse
Floaters
entered
into
by
the
Fund.  See
Notes
to
Financial
Statements
for
additional
information.
(c)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(d)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$50,366
or
7.83%
of
net
assets.
(e)
Non-income
producing
security
(f)
Security
purchased
on
a
when-issued
basis.
(g)
Floating
rate
securities.
The
interest
rate(s)
shown
reflect
the
rates
in
effect
at
July
31,
2020.
Portfolio
Summary  (unaudited)
Sector
Percent
Revenue
Bonds
72.31‌%
General
Obligation
Unlimited
11.53‌%
Insured
9.32‌%
Special
Assessment
2.90‌%
Prerefunded
1.75‌%
Tax
Allocation
1.22‌%
Investment
Companies
0.97‌%
Revenue
Notes
0.80‌%
Special
Tax
0.34‌%
Liability
For
Floating
Rate
Notes
Issued
(2.99‌)%
Other
Assets
and
Liabilities
1.85‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
5
INVESTMENT
COMPANIES
-
2.78%
Shares
Held
Value
(000's)
Money
Market
Funds
-
2.78%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
1,134,215‌
$
1,134‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
233,986,059‌
233,986‌
$
235,120‌
TOTAL
INVESTMENT
COMPANIES
$
235,120‌
COMMON
STOCKS
-
0.21%
Shares
Held
Value
(000's)
Diversified
Financial
Services
-
0.00%
Adelphia
Recovery
Trust
(d),(e),(f)
658,740‌
$
—‌
Transportation
-
0.21%
Trailer
Bridge
Inc
(d),(e),(f),(g)
178,279‌
17,786‌
TOTAL
COMMON
STOCKS
$
17,786‌
BONDS
-
65.05%
Principal
Amount
(000's)
Value
(000's)
Airlines
-
0.54%
Alaska
Airlines
2020-1
Class
A
Pass
Through
Trust
4.80%,
02/15/2029
(h)
$
30,000‌
$
31,084‌
United
Airlines
2013-1
Class
A
Pass
Through
Trust
4.30%,
02/15/2027
7,008‌
6,547‌
United
Airlines
2019-2
Class
AA
Pass
Through
Trust
2.70%,
11/01/2033
9,000‌
8,249‌
$
45,880‌
Apparel
-
0.16%
Under
Armour
Inc
3.25%,
06/15/2026
14,750‌
13,773‌
Automobile
Floor
Plan
Asset
Backed
Securities
-
1.28%
Ford
Credit
Floorplan
Master
Owner
Trust
A
0.57%,
10/15/2023
1,000‌
997‌
1.00
x
1
Month
USD
LIBOR
+
0.40%
0.77%,
09/15/2024
40,000‌
39,889‌
1.00
x
1
Month
USD
LIBOR
+
0.60%
Navistar
Financial
Dealer
Note
Master
Owner
Trust
II
0.80%,
09/25/2023
(h)
6,750‌
6,748‌
1.00
x
1
Month
USD
LIBOR
+
0.63%
0.81%,
05/25/2024
(h)
14,000‌
13,949‌
1.00
x
1
Month
USD
LIBOR
+
0.64%
Nissan
Master
Owner
Trust
Receivables
0.60%,
11/15/2023
20,000‌
19,986‌
1.00
x
1
Month
USD
LIBOR
+
0.43%
0.73%,
02/15/2024
26,845‌
26,829‌
1.00
x
1
Month
USD
LIBOR
+
0.56%
$
108,398‌
Automobile
Manufacturers
-
0.80%
American
Honda
Finance
Corp
1.95%,
05/20/2022
48,000‌
49,303‌
2.30%,
09/09/2026
7,000‌
7,531‌
3.80%,
09/20/2021
(h)
10,000‌
10,347‌
$
67,181‌
Banks
-
12.60%
Bank
of
America
Corp
2.46%,
10/22/2025
(i)
35,000‌
37,142‌
3
Month
USD
LIBOR
+
0.87%
2.88%,
04/24/2023
(i)
15,000‌
15,567‌
3
Month
USD
LIBOR
+
1.02%
3.19%,
07/23/2030
(i)
8,000‌
8,934‌
3
Month
USD
LIBOR
+
1.18%
3.88%,
08/01/2025
10,000‌
11,440‌
3.97%,
02/07/2030
(i)
8,000‌
9,417‌
3
Month
USD
LIBOR
+
1.21%
6.75%,
06/01/2028
(j)
2,000‌
2,682‌
Bank
of
New
York
Mellon
Corp/The
2.10%,
10/24/2024
50,000‌
53,131‌
2.20%,
08/16/2023
9,500‌
9,978‌
2.80%,
05/04/2026
8,000‌
8,962‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Bank
of
New
York
Mellon
Corp/The  
(continued)
3.00%,
10/30/2028
$
9,000‌
$
10,174‌
Citigroup
Inc
2.98%,
11/05/2030
(i)
51,000‌
55,855‌
United
States
Secured
Overnight
Financing
Rate
+
1.42%
3.88%,
03/26/2025
23,000‌
25,578‌
4.45%,
09/29/2027
8,000‌
9,314‌
4.50%,
01/14/2022
4,900‌
5,180‌
Cullen/Frost
Bankers
Inc
4.50%,
03/17/2027
11,000‌
12,179‌
Fifth
Third
Bancorp
2.38%,
01/28/2025
59,000‌
62,636‌
2.60%,
06/15/2022
10,000‌
10,367‌
3.65%,
01/25/2024
14,000‌
15,349‌
Goldman
Sachs
Group
Inc/The
3.50%,
11/16/2026
21,000‌
23,430‌
3.63%,
01/22/2023
7,000‌
7,519‌
3.81%,
04/23/2029
(i)
13,000‌
15,017‌
3
Month
USD
LIBOR
+
1.16%
4.25%,
10/21/2025
23,500‌
26,830‌
5.25%,
07/27/2021
13,000‌
13,618‌
JPMorgan
Chase
&
Co
2.74%,
10/15/2030
(i)
47,000‌
51,407‌
United
States
Secured
Overnight
Financing
Rate
+
1.51%
3.25%,
09/23/2022
5,000‌
5,303‌
3.63%,
05/13/2024
15,900‌
17,648‌
3.74%,
12/31/2049
(k)
3,911‌
3,747‌
3
Month
USD
LIBOR
+
3.47%
3.90%,
07/15/2025
8,000‌
9,112‌
KeyCorp
2.25%,
04/06/2027
30,000‌
32,030‌
2.55%,
10/01/2029
50,000‌
53,864‌
Morgan
Stanley
2.70%,
01/22/2031
(i)
38,000‌
41,431‌
United
States
Secured
Overnight
Financing
Rate
+
1.14%
2.72%,
07/22/2025
(i)
12,000‌
12,839‌
United
States
Secured
Overnight
Financing
Rate
+
1.15%
3.95%,
04/23/2027
10,000‌
11,433‌
4.00%,
07/23/2025
5,000‌
5,764‌
4.88%,
11/01/2022
2,000‌
2,177‌
5.50%,
07/28/2021
5,900‌
6,194‌
6.25%,
08/09/2026
4,000‌
5,177‌
PNC
Bank
NA
2.70%,
10/22/2029
53,000‌
58,160‌
2.95%,
02/23/2025
10,000‌
10,991‌
3.10%,
10/25/2027
4,750‌
5,440‌
PNC
Financial
Services
Group
Inc/The
6.75%,
12/31/2049
(i),(k)
19,800‌
20,146‌
3
Month
USD
LIBOR
+
3.68%
Truist
Bank
2.64%,
09/17/2029
(i)
52,000‌
53,086‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
1.15%
2.75%,
05/01/2023
21,000‌
22,243‌
3.30%,
05/15/2026
5,000‌
5,594‌
Truist
Financial
Corp
2.70%,
01/27/2022
9,500‌
9,806‌
US
Bancorp
2.95%,
07/15/2022
5,000‌
5,245‌
3.00%,
03/15/2022
2,000‌
2,083‌
3.00%,
07/30/2029
6,000‌
6,692‌
3.15%,
04/27/2027
3,800‌
4,338‌
3.60%,
09/11/2024
12,000‌
13,412‌
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
6
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
US
Bancorp  
(continued)
3.90%,
04/26/2028
$
5,000‌
$
6,069‌
4.13%,
05/24/2021
3,000‌
3,084‌
US
Bank
NA/Cincinnati
OH
1.95%,
01/09/2023
35,000‌
36,347‌
2.80%,
01/27/2025
7,000‌
7,658‌
Wells
Fargo
&
Co
2.41%,
10/30/2025
(i)
32,000‌
33,674‌
3
Month
USD
LIBOR
+
0.83%
2.88%,
10/30/2030
(i)
32,000‌
34,742‌
3
Month
USD
LIBOR
+
1.17%
3.07%,
01/24/2023
16,000‌
16,564‌
$
1,063,799‌
Beverages
-
0.45%
Anheuser-Busch
Cos
LLC
/
Anheuser-Busch
InBev
Worldwide
Inc
4.70%,
02/01/2036
14,000‌
17,175‌
Anheuser-Busch
InBev
Worldwide
Inc
2.50%,
07/15/2022
2,578‌
2,678‌
4.90%,
01/23/2031
14,000‌
17,969‌
$
37,822‌
Biotechnology
-
2.39%
Amgen
Inc
2.20%,
02/21/2027
11,500‌
12,274‌
2.45%,
02/21/2030
26,000‌
28,031‌
3.63%,
05/15/2022
8,000‌
8,410‌
3.88%,
11/15/2021
38,529‌
39,919‌
Biogen
Inc
2.25%,
05/01/2030
65,000‌
67,856‌
Gilead
Sciences
Inc
3.50%,
02/01/2025
10,000‌
11,206‌
3.65%,
03/01/2026
21,000‌
24,203‌
4.40%,
12/01/2021
9,900‌
10,343‌
$
202,242‌
Chemicals
-
1.08%
Air
Liquide
Finance
SA
2.25%,
09/10/2029
(h)
24,000‌
25,557‌
Airgas
Inc
3.65%,
07/15/2024
12,750‌
14,080‌
Westlake
Chemical
Corp
3.38%,
06/15/2030
4,500‌
4,776‌
3.60%,
08/15/2026
43,000‌
47,043‌
$
91,456‌
Commercial
Services
-
0.37%
ERAC
USA
Finance
LLC
3.30%,
10/15/2022
(h)
7,000‌
7,299‌
4.50%,
08/16/2021
(h)
6,000‌
6,213‌
7.00%,
10/15/2037
(h)
13,000‌
17,915‌
$
31,427‌
Computers
-
1.04%
Apple
Inc
1.13%,
05/11/2025
10,000‌
10,276‌
2.05%,
09/11/2026
30,000‌
32,345‌
2.40%,
05/03/2023
14,650‌
15,490‌
3.20%,
05/11/2027
13,000‌
14,891‌
3.25%,
02/23/2026
13,000‌
14,754‌
$
87,756‌
Credit
Card
Asset
Backed
Securities
-
0.41%
American
Express
Credit
Account
Master
Trust
0.41%,
04/15/2024
35,000‌
35,049‌
1.00
x
1
Month
USD
LIBOR
+
0.24%
Diversified
Financial
Services
-
0.45%
Jefferies
Group
LLC
5.13%,
01/20/2023
1,500‌
1,636‌
6.25%,
01/15/2036
10,325‌
12,957‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Diversified
Financial
Services
(continued)
Jefferies
Group
LLC
/
Jefferies
Group
Capital
Finance
Inc
4.15%,
01/23/2030
$
19,000‌
$
21,407‌
4.85%,
01/15/2027
1,750‌
1,995‌
$
37,995‌
Electric
-
10.15%
AEP
Transmission
Co
LLC
3.15%,
09/15/2049
24,000‌
28,081‌
Alabama
Power
Co
3.45%,
10/01/2049
42,000‌
51,456‌
Berkshire
Hathaway
Energy
Co
4.05%,
04/15/2025
(h)
10,000‌
11,503‌
Black
Hills
Corp
2.50%,
06/15/2030
15,000‌
15,875‌
3.05%,
10/15/2029
39,500‌
43,512‌
3.15%,
01/15/2027
7,500‌
8,072‌
4.35%,
05/01/2033
8,000‌
9,540‌
Dayton
Power
&
Light
Co/The
3.95%,
06/15/2049
10,000‌
11,477‌
Entergy
Louisiana
LLC
2.90%,
03/15/2051
7,000‌
7,991‌
3.25%,
04/01/2028
12,000‌
13,540‌
4.20%,
09/01/2048
31,000‌
42,469‌
Entergy
Texas
Inc
2.55%,
06/01/2021
15,000‌
15,232‌
Florida
Power
&
Light
Co
2.85%,
04/01/2025
3,000‌
3,303‌
3.15%,
10/01/2049
25,000‌
30,762‌
GenOn
Energy
Inc
-
Escrow
0.00%,
10/15/2020
(d),(e),(f)
9,300‌
—‌
Interstate
Power
and
Light
Co
2.30%,
06/01/2030
9,500‌
10,041‌
3.50%,
09/30/2049
66,000‌
79,053‌
LG&E
and
KU
Energy
LLC
3.75%,
11/15/2020
5,000‌
5,005‌
4.38%,
10/01/2021
5,900‌
6,090‌
Louisville
Gas
and
Electric
Co
3.30%,
10/01/2025
3,000‌
3,343‌
Metropolitan
Edison
Co
3.50%,
03/15/2023
(h)
9,900‌
10,488‌
4.30%,
01/15/2029
(h)
14,000‌
16,322‌
Monongahela
Power
Co
3.55%,
05/15/2027
(h)
5,000‌
5,635‌
Nevada
Power
Co
2.40%,
05/01/2030
20,500‌
22,454‌
NextEra
Energy
Capital
Holdings
Inc
2.75%,
11/01/2029
51,000‌
56,960‌
Northern
States
Power
Co/MN
2.90%,
03/01/2050
18,500‌
21,521‌
Oncor
Electric
Delivery
Co
LLC
2.95%,
04/01/2025
7,000‌
7,680‌
3.10%,
09/15/2049
33,500‌
39,904‌
4.10%,
11/15/2048
5,000‌
6,790‌
5.75%,
03/15/2029
21,000‌
28,233‌
PacifiCorp
5.25%,
06/15/2035
5,750‌
8,291‌
6.25%,
10/15/2037
2,500‌
3,846‌
PPL
Electric
Utilities
Corp
3.00%,
10/01/2049
17,000‌
19,585‌
Public
Service
Co
of
Colorado
3.20%,
03/01/2050
15,000‌
18,266‌
Solar
Star
Funding
LLC
3.95%,
06/30/2035
(h)
6,038‌
6,127‌
5.38%,
06/30/2035
(h)
21,236‌
24,510‌
Southwestern
Electric
Power
Co
2.75%,
10/01/2026
10,000‌
10,795‌
3.55%,
02/15/2022
12,900‌
13,340‌
3.85%,
02/01/2048
7,900‌
9,310‌
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
7
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
Talen
Energy
Supply
LLC
4.60%,
12/15/2021
$
11,750‌
$
10,387‌
TransAlta
Corp
4.50%,
11/15/2022
19,650‌
19,846‌
Tucson
Electric
Power
Co
3.05%,
03/15/2025
2,000‌
2,165‌
3.85%,
03/15/2023
19,900‌
21,308‌
4.85%,
12/01/2048
7,000‌
9,759‌
5.15%,
11/15/2021
3,000‌
3,134‌
Xcel
Energy
Inc
2.60%,
12/01/2029
32,000‌
35,129‌
3.50%,
12/01/2049
24,000‌
29,297‌
$
857,427‌
Electronics
-
0.46%
Keysight
Technologies
Inc
3.00%,
10/30/2029
35,000‌
39,196‌
Environmental
Control
-
0.64%
Advanced
Disposal
Services
Inc
5.63%,
11/15/2024
(h)
12,000‌
12,452‌
Republic
Services
Inc
2.30%,
03/01/2030
16,500‌
17,747‌
3.20%,
03/15/2025
13,000‌
14,419‌
3.55%,
06/01/2022
9,000‌
9,446‌
$
54,064‌
Food
-
0.46%
Kraft
Heinz
Foods
Co
3.75%,
04/01/2030
(h)
21,000‌
22,758‌
3.95%,
07/15/2025
15,000‌
16,489‌
$
39,247‌
Gas
-
0.63%
NiSource
Inc
2.95%,
09/01/2029
29,000‌
32,364‌
3.60%,
05/01/2030
14,000‌
16,459‌
3.85%,
02/15/2023
4,000‌
4,290‌
$
53,113‌
Healthcare
-
Services
-
0.83%
HCA
Inc
4.13%,
06/15/2029
14,000‌
16,386‌
5.63%,
09/01/2028
2,000‌
2,385‌
5.88%,
05/01/2023
4,500‌
4,939‌
7.50%,
11/06/2033
1,950‌
2,628‌
UnitedHealth
Group
Inc
2.00%,
05/15/2030
9,000‌
9,594‌
2.88%,
08/15/2029
15,000‌
17,119‌
3.50%,
08/15/2039
14,000‌
17,167‌
$
70,218‌
Insurance
-
2.64%
Berkshire
Hathaway
Finance
Corp
1.85%,
03/12/2030
8,000‌
8,493‌
Berkshire
Hathaway
Inc
3.00%,
02/11/2023
8,000‌
8,555‌
3.75%,
08/15/2021
5,000‌
5,176‌
Fidelity
National
Financial
Inc
3.40%,
06/15/2030
32,000‌
34,669‌
4.50%,
08/15/2028
39,500‌
44,758‌
5.50%,
09/01/2022
5,000‌
5,390‌
First
American
Financial
Corp
4.00%,
05/15/2030
28,000‌
30,271‌
4.30%,
02/01/2023
21,800‌
22,936‌
4.60%,
11/15/2024
5,000‌
5,397‌
Five
Corners
Funding
Trust
4.42%,
11/15/2023
(h)
15,500‌
17,369‌
Prudential
Financial
Inc
2.10%,
03/10/2030
(j)
23,000‌
24,614‌
3.88%,
03/27/2028
7,000‌
8,332‌
4.50%,
11/16/2021
7,000‌
7,367‌
$
223,327‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Internet
-
1.10%
Amazon.com
Inc
2.80%,
08/22/2024
$
44,000‌
$
47,941‌
4.05%,
08/22/2047
32,650‌
44,962‌
$
92,903‌
Iron
&
Steel
-
0.18%
Allegheny
Technologies
Inc
7.88%,
08/15/2023
14,750‌
15,530‌
Lodging
-
0.65%
Choice
Hotels
International
Inc
3.70%,
12/01/2029
42,000‌
43,076‌
3.70%,
01/15/2031
11,000‌
11,408‌
$
54,484‌
Media
-
2.63%
Comcast
Corp
2.65%,
02/01/2030
33,000‌
36,538‌
2.85%,
01/15/2023
13,000‌
13,892‌
3.13%,
07/15/2022
2,000‌
2,109‌
3.30%,
02/01/2027
10,000‌
11,352‌
3.95%,
10/15/2025
15,000‌
17,378‌
4.25%,
10/15/2030
4,500‌
5,645‌
6.45%,
03/15/2037
1,800‌
2,814‌
Discovery
Communications
LLC
3.63%,
05/15/2030
9,000‌
9,986‌
4.13%,
05/15/2029
22,000‌
25,394‌
5.30%,
05/15/2049
13,000‌
16,811‌
Time
Warner
Cable
LLC
6.55%,
05/01/2037
7,400‌
10,242‌
6.75%,
06/15/2039
6,000‌
8,421‌
7.30%,
07/01/2038
7,750‌
11,266‌
Walt
Disney
Co/The
2.00%,
09/01/2029
28,000‌
29,129‌
4.50%,
02/15/2021
7,000‌
7,152‌
6.40%,
12/15/2035
8,900‌
13,713‌
$
221,842‌
Oil
&
Gas
-
2.76%
BP
Capital
Markets
America
Inc
2.94%,
04/06/2023
7,000‌
7,430‌
3.12%,
05/04/2026
10,000‌
11,152‌
3.41%,
02/11/2026
13,000‌
14,548‌
3.94%,
09/21/2028
13,000‌
15,309‌
BP
Capital
Markets
PLC
2.50%,
11/06/2022
7,000‌
7,309‌
3.56%,
11/01/2021
17,000‌
17,663‌
Canadian
Natural
Resources
Ltd
2.05%,
07/15/2025
9,000‌
9,153‌
3.80%,
04/15/2024
35,000‌
37,699‌
Helmerich
&
Payne
Inc
4.65%,
03/15/2025
7,000‌
7,800‌
Marathon
Petroleum
Corp
5.13%,
12/15/2026
8,500‌
10,047‌
5.38%,
10/01/2022
11,000‌
11,052‌
Nabors
Industries
Inc
5.10%,
09/15/2023
5,000‌
2,694‌
Phillips
66
4.30%,
04/01/2022
28,000‌
29,703‌
Suncor
Energy
Inc
2.80%,
05/15/2023
8,000‌
8,412‌
3.60%,
12/01/2024
18,000‌
19,732‌
4.00%,
11/15/2047
4,500‌
4,990‌
9.25%,
10/15/2021
9,475‌
10,328‌
Valaris
plc
4.88%,
06/01/2022
8,650‌
627‌
W&T
Offshore
Inc
9.75%,
11/01/2023
(h)
6,750‌
4,500‌
Whiting
Petroleum
Corp
0.00%,
03/15/2021
(d)
19,150‌
3,255‌
$
233,403‌
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
8
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
Services
-
0.56%
Schlumberger
Holdings
Corp
3.63%,
12/21/2022
(h),(j)
$
10,000‌
$
10,378‌
4.00%,
12/21/2025
(h)
33,000‌
36,624‌
$
47,002‌
Other
Asset
Backed
Securities
-
1.26%
Drug
Royalty
III
LP
1
1.87%,
10/15/2031
(h)
2,441‌
2,399‌
1.00
x
3
Month
USD
LIBOR
+
1.60%
2.77%,
04/15/2027
(h)
1,076‌
1,075‌
1.00
x
3
Month
USD
LIBOR
+
2.50%
3.60%,
04/15/2027
(h)
1,020‌
1,024‌
4.27%,
10/15/2031
(h)
3,139‌
3,237‌
PFS
Financing
Corp
0.72%,
09/15/2023
(h)
40,000‌
39,834‌
1.00
x
1
Month
USD
LIBOR
+
0.55%
0.72%,
04/15/2024
(h)
13,000‌
12,964‌
1.00
x
1
Month
USD
LIBOR
+
0.55%
Verizon
Owner
Trust
2017-3
0.46%,
04/20/2022
(h)
2,920‌
2,921‌
1.00
x
1
Month
USD
LIBOR
+
0.27%
Verizon
Owner
Trust
2019-C
0.61%,
04/22/2024
42,500‌
42,624‌
1.00
x
1
Month
USD
LIBOR
+
0.42%
$
106,078‌
Packaging
&
Containers
-
0.13%
Sealed
Air
Corp
5.50%,
09/15/2025
(h)
2,000‌
2,210‌
6.88%,
07/15/2033
(h)
6,900‌
8,383‌
$
10,593‌
Pharmaceuticals
-
2.37%
AbbVie
Inc
2.15%,
11/19/2021
(h)
33,000‌
33,694‌
2.30%,
11/21/2022
(h)
18,000‌
18,696‌
2.90%,
11/06/2022
14,650‌
15,405‌
Bristol-Myers
Squibb
Co
3.20%,
06/15/2026
20,000‌
22,715‌
3.40%,
07/26/2029
27,000‌
31,794‌
3.45%,
11/15/2027
9,000‌
10,461‌
3.90%,
02/20/2028
10,500‌
12,549‌
CVS
Health
Corp
3.00%,
08/15/2026
7,000‌
7,741‌
4.30%,
03/25/2028
13,000‌
15,444‌
5.05%,
03/25/2048
23,000‌
31,682‌
$
200,181‌
Pipelines
-
1.74%
ANR
Pipeline
Co
9.63%,
11/01/2021
900‌
1,004‌
Buckeye
Partners
LP
3.95%,
12/01/2026
10,500‌
10,421‌
4.15%,
07/01/2023
10,000‌
10,050‌
4.35%,
10/15/2024
8,000‌
8,020‌
Columbia
Pipeline
Group
Inc
4.50%,
06/01/2025
11,900‌
13,870‌
El
Paso
Natural
Gas
Co
LLC
7.50%,
11/15/2026
11,400‌
14,657‌
NGPL
PipeCo
LLC
4.88%,
08/15/2027
(h)
22,000‌
24,340‌
Plains
All
American
Pipeline
LP
/
PAA
Finance
Corp
4.50%,
12/15/2026
13,500‌
14,527‌
Southeast
Supply
Header
LLC
4.25%,
06/15/2024
(h)
14,650‌
14,506‌
Southern
Natural
Gas
Co
LLC
8.00%,
03/01/2032
4,750‌
6,879‌
Tennessee
Gas
Pipeline
Co
LLC
8.38%,
06/15/2032
2,000‌
2,738‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
(continued)
TransCanada
PipeLines
Ltd
6.10%,
06/01/2040
$
7,000‌
$
10,024‌
7.25%,
08/15/2038
10,000‌
15,617‌
$
146,653‌
REITs
-
9.76%
Alexandria
Real
Estate
Equities
Inc
1.88%,
02/01/2033
(l)
13,000‌
13,050‌
2.75%,
12/15/2029
14,500‌
15,851‌
3.38%,
08/15/2031
30,000‌
34,681‌
4.30%,
01/15/2026
9,900‌
11,537‌
4.90%,
12/15/2030
4,250‌
5,435‌
American
Tower
Corp
2.10%,
06/15/2030
3,000‌
3,120‌
2.40%,
03/15/2025
7,000‌
7,490‌
2.75%,
01/15/2027
53,000‌
57,897‌
3.38%,
10/15/2026
5,000‌
5,666‌
CBL
&
Associates
LP
5.95%,
12/15/2026
13,750‌
3,197‌
Crown
Castle
International
Corp
2.25%,
01/15/2031
13,000‌
13,488‌
3.10%,
11/15/2029
8,000‌
8,923‌
4.00%,
11/15/2049
17,000‌
20,794‌
4.30%,
02/15/2029
13,000‌
15,613‌
CubeSmart
LP
3.00%,
02/15/2030
18,000‌
19,638‌
4.00%,
11/15/2025
5,000‌
5,603‌
4.38%,
12/15/2023
8,000‌
8,821‌
4.38%,
02/15/2029
2,000‌
2,368‌
4.80%,
07/15/2022
16,800‌
17,804‌
Duke
Realty
LP
2.88%,
11/15/2029
12,500‌
14,066‌
3.25%,
06/30/2026
5,000‌
5,529‌
3.38%,
12/15/2027
25,000‌
28,390‌
Healthcare
Realty
Trust
Inc
2.40%,
03/15/2030
9,000‌
8,895‌
3.63%,
01/15/2028
3,500‌
3,778‌
3.88%,
05/01/2025
5,000‌
5,362‌
Healthpeak
Properties
Inc
2.88%,
01/15/2031
7,000‌
7,427‌
3.00%,
01/15/2030
50,000‌
53,907‌
Omega
Healthcare
Investors
Inc
3.63%,
10/01/2029
32,000‌
32,201‌
4.75%,
01/15/2028
7,000‌
7,674‌
5.25%,
01/15/2026
8,000‌
8,638‌
Physicians
Realty
LP
4.30%,
03/15/2027
17,900‌
19,008‌
SBA
Tower
Trust
2.33%,
07/15/2052
(h)
10,000‌
10,170‌
2.84%,
01/15/2050
(h)
30,000‌
31,308‌
Service
Properties
Trust
4.35%,
10/01/2024
12,000‌
10,742‌
4.50%,
06/15/2023
5,000‌
4,750‌
4.65%,
03/15/2024
5,650‌
5,170‌
4.95%,
02/15/2027
5,900‌
5,341‌
5.00%,
08/15/2022
14,650‌
14,464‌
Simon
Property
Group
LP
2.00%,
09/13/2024
32,000‌
33,050‌
2.75%,
02/01/2023
7,000‌
7,291‌
STORE
Capital
Corp
4.63%,
03/15/2029
33,500‌
36,008‌
Ventas
Realty
LP
3.00%,
01/15/2030
8,000‌
8,137‌
3.85%,
04/01/2027
21,000‌
22,688‌
Ventas
Realty
LP
/
Ventas
Capital
Corp
3.25%,
08/15/2022
9,650‌
9,951‌
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
9
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
REITs
(continued)
Welltower
Inc
2.70%,
02/15/2027
$
12,000‌
$
12,740‌
2.75%,
01/15/2031
7,000‌
7,145‌
3.10%,
01/15/2030
23,000‌
24,136‌
3.75%,
03/15/2023
3,000‌
3,182‌
4.13%,
03/15/2029
6,000‌
6,758‌
4.25%,
04/15/2028
4,000‌
4,582‌
4.50%,
01/15/2024
5,000‌
5,522‌
Weyerhaeuser
Co
3.25%,
03/15/2023
5,000‌
5,280‌
7.38%,
03/15/2032
40,000‌
57,667‌
WP
Carey
Inc
3.85%,
07/15/2029
30,000‌
32,446‌
$
824,379‌
Savings
&
Loans
-
0.08%
First
Niagara
Financial
Group
Inc
7.25%,
12/15/2021
6,500‌
7,035‌
Semiconductors
-
0.37%
NVIDIA
Corp
2.85%,
04/01/2030
14,000‌
15,679‌
3.50%,
04/01/2040
13,000‌
15,615‌
$
31,294‌
Software
-
0.77%
Oracle
Corp
2.50%,
05/15/2022
35,000‌
36,232‌
2.95%,
05/15/2025
25,900‌
28,588‌
$
64,820‌
Telecommunications
-
1.80%
Corning
Inc
2.90%,
05/15/2022
5,000‌
5,183‌
4.75%,
03/15/2042
4,650‌
5,887‌
5.45%,
11/15/2079
35,000‌
45,480‌
Crown
Castle
Towers
LLC
4.24%,
07/15/2048
(h)
16,000‌
18,166‌
Qwest
Corp
6.75%,
12/01/2021
20,800‌
22,197‌
Sprint
Corp
7.88%,
09/15/2023
7,750‌
8,990‌
Sprint
Spectrum
Co
LLC
/
Sprint
Spectrum
Co
II
LLC
/
Sprint
Spectrum
Co
III
LLC
3.36%,
03/20/2023
(h)
12,031‌
12,182‌
5.15%,
03/20/2028
(h)
16,500‌
19,316‌
T-Mobile
USA
Inc
6.38%,
03/01/2025
14,000‌
14,372‌
$
151,773‌
Transportation
-
0.97%
Ryder
System
Inc
2.90%,
12/01/2026
51,000‌
54,426‌
3.35%,
09/01/2025
25,000‌
27,134‌
Trailer
Bridge
Inc
0.00%,
11/15/2011
(d),(e),(f)
14,000‌
—‌
$
81,560‌
Trucking
&
Leasing
-
0.54%
Penske
Truck
Leasing
Co
Lp
/
PTL
Finance
Corp
2.70%,
11/01/2024
(h)
28,000‌
29,484‌
3.45%,
07/01/2024
(h)
9,000‌
9,804‌
4.88%,
07/11/2022
(h)
5,500‌
5,911‌
$
45,199‌
TOTAL
BONDS
$
5,494,099‌
SENIOR
FLOATING
RATE
INTERESTS
-
0.23%
Principal
Amount
(000's)
Value
(000's)
Pipelines
-
0.10%
BCP
Renaissance
Parent
LLC
4.50%,
10/31/2024
(m)
$
9,554‌
$
8,591‌
3
Month
USD
LIBOR
+
2.00%
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
-
0.13%
Ivanti
Software
Inc
10.00%,
01/20/2025
(m)
$
12,250‌
$
10,902‌
3
Month
USD
LIBOR
+
3.25%
TOTAL
SENIOR
FLOATING
RATE
INTERESTS
$
19,493‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
31.39%
Principal
Amount
(000's)
Value
(000's)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
-
1.36%
3.00%,
10/01/2042
$
8,102‌
$
8,748‌
3.00%,
10/01/2042
7,762‌
8,352‌
3.00%,
11/01/2042
8,236‌
8,861‌
3.00%,
06/01/2043
9,367‌
10,074‌
3.00%,
12/01/2046
15,241‌
16,322‌
3.00%,
07/01/2047
16,560‌
17,535‌
3.50%,
04/01/2042
5,844‌
6,330‌
3.50%,
04/01/2045
7,704‌
8,469‌
3.50%,
03/01/2048
17,128‌
18,726‌
4.00%,
02/01/2046
10,000‌
10,925‌
9.00%,
01/01/2025
2‌
2‌
$
114,344‌
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
-
15.73%
3.00%,
03/01/2042
6,188‌
6,654‌
3.00%,
03/01/2042
6,694‌
7,197‌
3.00%,
05/01/2042
7,007‌
7,530‌
3.00%,
06/01/2042
6,296‌
6,770‌
3.00%,
06/01/2042
6,739‌
7,248‌
3.00%,
08/01/2049
43,439‌
46,215‌
3.00%,
09/01/2049
41,122‌
43,608‌
3.00%,
10/01/2049
41,857‌
44,450‌
3.00%,
10/01/2049
45,595‌
48,481‌
3.00%,
10/01/2049
44,171‌
46,792‌
3.00%,
11/01/2049
45,017‌
48,023‌
3.00%,
11/01/2049
55,523‌
58,784‌
3.00%,
11/01/2049
45,820‌
48,783‌
3.00%,
03/01/2050
45,187‌
48,170‌
3.50%,
12/01/2040
4,471‌
4,848‌
3.50%,
01/01/2042
4,410‌
4,840‌
3.50%,
02/01/2043
7,855‌
8,637‌
3.50%,
03/01/2045
8,351‌
9,179‌
3.50%,
06/01/2045
11,781‌
12,835‌
3.50%,
07/01/2045
9,143‌
9,961‌
3.50%,
11/01/2045
11,021‌
11,933‌
3.50%,
06/01/2046
43,491‌
46,840‌
3.50%,
08/01/2047
34,983‌
37,032‌
3.50%,
11/01/2047
17,230‌
18,229‌
3.50%,
12/01/2047
37,851‌
40,048‌
3.50%,
09/01/2048
12,890‌
13,615‌
3.50%,
06/01/2049
32,729‌
34,523‌
3.50%,
07/01/2049
38,860‌
40,994‌
3.50%,
09/01/2049
35,422‌
37,323‌
3.50%,
09/01/2049
39,733‌
41,885‌
3.50%,
11/01/2049
43,551‌
46,277‌
3.50%,
11/01/2049
34,437‌
36,291‌
3.50%,
12/01/2049
37,429‌
39,443‌
4.00%,
09/01/2040
4,521‌
4,997‌
4.00%,
08/01/2043
7,033‌
7,788‌
4.00%,
08/01/2043
6,162‌
6,779‌
4.00%,
11/01/2043
8,358‌
9,341‌
4.00%,
11/01/2043
6,025‌
6,614‌
4.00%,
02/01/2044
8,127‌
9,004‌
4.00%,
07/01/2044
4,344‌
4,698‌
4.00%,
11/01/2044
6,515‌
7,098‌
4.00%,
09/01/2045
14,161‌
15,795‌
4.00%,
06/01/2046
30,713‌
33,767‌
4.00%,
08/01/2046
10,001‌
10,907‌
4.00%,
01/01/2047
9,302‌
9,956‌
4.00%,
08/01/2047
11,241‌
12,024‌
4.00%,
09/01/2048
27,229‌
28,911‌
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
10
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
(continued)
4.00%,
10/01/2048
$
13,155‌
$
13,963‌
4.00%,
07/01/2049
29,663‌
31,485‌
4.00%,
09/01/2049
26,231‌
28,037‌
4.00%,
10/01/2049
42,033‌
45,379‌
4.50%,
12/01/2040
4,584‌
5,104‌
4.50%,
06/01/2046
37,481‌
41,684‌
4.50%,
05/01/2047
9,067‌
9,808‌
4.50%,
05/01/2047
8,872‌
9,580‌
4.50%,
02/01/2049
11,787‌
12,655‌
6.50%,
04/01/2032
4‌
4‌
$
1,328,816‌
Government
National
Mortgage
Association
(GNMA)
-
0.48%
3.00%,
02/20/2046
37,938‌
40,286‌
U.S.
Treasury
-
13.82%
1.50%,
08/15/2026
40,000‌
42,812‌
1.63%,
11/15/2022
40,000‌
41,375‌
1.63%,
08/15/2029
40,000‌
43,992‌
1.75%,
05/15/2022
40,000‌
41,153‌
2.00%,
02/28/2021
40,000‌
40,434‌
2.00%,
11/15/2026
40,000‌
44,120‌
2.13%,
05/15/2025
40,000‌
43,639‌
2.25%,
11/15/2024
40,000‌
43,519‌
2.25%,
08/15/2027
40,000‌
45,166‌
2.25%,
11/15/2027
40,000‌
45,295‌
2.25%,
08/15/2046
35,000‌
43,421‌
2.25%,
08/15/2049
35,000‌
44,112‌
2.38%,
02/29/2024
30,000‌
32,384‌
2.63%,
11/15/2020
40,000‌
40,283‌
2.63%,
02/28/2023
40,000‌
42,578‌
2.63%,
02/15/2029
40,000‌
47,188‌
2.75%,
11/15/2023
40,000‌
43,422‌
2.75%,
02/15/2028
40,000‌
46,911‌
2.75%,
08/15/2047
35,000‌
47,780‌
2.88%,
08/15/2028
40,000‌
47,652‌
2.88%,
05/15/2049
35,000‌
49,510‌
3.00%,
09/30/2025
40,000‌
45,653‌
3.00%,
11/15/2045
35,000‌
49,157‌
3.13%,
05/15/2021
40,000‌
40,938‌
3.63%,
02/15/2044
35,000‌
53,229‌
3.75%,
11/15/2043
40,000‌
61,773‌
$
1,167,496‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
2,650,942‌
Total
Investments
$
8,417,440‌
Other
Assets
and
Liabilities
-  0.34%
28,416‌
TOTAL
NET
ASSETS
-
100.00%
$
8,445,856‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$11,504
or
0.14%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(f)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$17,786
or
0.21%
of
net
assets.
(g)
Restricted
Security.
Please
see
Restricted
Security
sub-schedule
for
additional
information.
(h)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$599,402
or
7.10%
of
net
assets.
(i)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(j)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(k)
Perpetual
security.
Perpetual
securities
pay
an
indefinite
stream
of
interest,
but
they
may
be
called
by
the
issuer
at
an
earlier
date.
Date
shown,
if
any,
reflects
the
next
call
date
or
final
legal
maturity
date.
Rate
shown
is
as
of
period
end.
(l)
Security
purchased
on
a
when-issued
basis.
(m)
Rate
information
disclosed
is
based
on
an
average
weighted
rate
of
the
underlying
tranches
as
of
period
end.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
25.53‌%
Mortgage
Securities
17.57‌%
Government
13.82‌%
Utilities
10.78‌%
Consumer,
Non-cyclical
6.87‌%
Communications
5.53‌%
Energy
5.16‌%
Industrial
2.95‌%
Asset
Backed
Securities
2.95‌%
Money
Market
Funds
2.78‌%
Technology
2.31‌%
Consumer,
Cyclical
2.15‌%
Basic
Materials
1.26‌%
Other
Assets
and
Liabilities
0.34‌%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,067,368‌
$
2,661,517‌
$
3,494,899‌
$
233,986‌
$
1,067,368‌
$
2,661,517‌
$
3,494,899‌
$
233,986‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
2,798‌
$
—‌
$
—‌
$
—‌
$
2,798‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Core
Fixed
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
11
Restricted
Securities
Security
Name
Acquisition
Date
Cost
Value
Percent
of
Net
Assets
Trailer
Bridge
Inc
05/07/2012
-
05/28/2019
$
21,314‌
$
17,786‌
0.21%
Total
$
17,786‌
0.21%
Amounts
in
thousands.
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
12
INVESTMENT
COMPANIES
-
8.55%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
3.48%
iShares
iBoxx
$
Investment
Grade
Corporate
Bond
ETF
99,000‌
$
13,697‌
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
85,000‌
9,018‌
$
22,715‌
Money
Market
Funds
-
5.07%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
1,818,438‌
1,819‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
31,353,032‌
31,353‌
$
33,172‌
TOTAL
INVESTMENT
COMPANIES
$
55,887‌
COMMON
STOCKS
-
0.01%
Shares
Held
Value
(000's)
Retail
-
0.01%
Claire's
Holdings
LLC
(d)
232‌
$
61‌
TOTAL
COMMON
STOCKS
$
61‌
PREFERRED
STOCKS
-
0.56%
Shares
Held
Value
(000's)
Sovereign
-
0.56%
CoBank
ACB
6.20%,
01/01/2025
(e)
35,000‌
$
3,693‌
3
Month
USD
LIBOR
+
3.74%
TOTAL
PREFERRED
STOCKS
$
3,693‌
BONDS
-
58.01%
Principal
Amount
(000's)
Value
(000's)
Aerospace
&
Defense
-
1.67%
Air
2
US
8.63%,
10/01/2020
(f)
$
1‌
$
1‌
Boeing
Co/The
2.70%,
02/01/2027
1,965‌
1,898‌
2.80%,
03/01/2024
845‌
862‌
3.20%,
03/01/2029
500‌
496‌
3.50%,
03/01/2039
740‌
684‌
3.75%,
02/01/2050
70‌
64‌
3.90%,
05/01/2049
120‌
113‌
4.88%,
05/01/2025
845‌
914‌
5.04%,
05/01/2027
220‌
238‌
Lockheed
Martin
Corp
1.85%,
06/15/2030
240‌
254‌
4.09%,
09/15/2052
210‌
293‌
Raytheon
Technologies
Corp
3.50%,
03/15/2027
(f)
505‌
574‌
3.95%,
08/16/2025
985‌
1,141‌
4.45%,
11/16/2038
715‌
924‌
4.50%,
06/01/2042
710‌
949‌
5.40%,
05/01/2035
215‌
300‌
SSL
Robotics
LLC
9.75%,
12/31/2023
(f)
215‌
239‌
TransDigm
Inc
6.25%,
03/15/2026
(f)
115‌
121‌
7.50%,
03/15/2027
485‌
491‌
Triumph
Group
Inc
6.25%,
09/15/2024
(f)
185‌
163‌
7.75%,
08/15/2025
(g)
285‌
185‌
$
10,904‌
Agriculture
-
0.60%
Altria
Group
Inc
5.80%,
02/14/2039
380‌
498‌
BAT
Capital
Corp
2.76%,
08/15/2022
1,035‌
1,076‌
3.22%,
08/15/2024
505‌
546‌
3.56%,
08/15/2027
670‌
738‌
4.54%,
08/15/2047
25‌
28‌
JBS
Investments
II
GmbH
7.00%,
01/15/2026
(f)
200‌
215‌
Reynolds
American
Inc
5.70%,
08/15/2035
635‌
810‌
$
3,911‌
Airlines
-
1.12%
American
Airlines
2013-1
Class
B
Pass
Through
Trust
5.63%,
07/15/2022
(f)
102‌
87‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Airlines
(continued)
American
Airlines
2013-2
Class
A
Pass
Through
Trust
4.95%,
07/15/2024
$
545‌
$
442‌
American
Airlines
2014-1
Class
A
Pass
Through
Trust
3.70%,
04/01/2028
723‌
604‌
Continental
Airlines
2007-1
Class
A
Pass
Through
Trust
5.98%,
10/19/2023
1,260‌
1,206‌
Continental
Airlines
2012-1
Class
A
Pass
Through
Trust
4.15%,
10/11/2025
1,167‌
1,095‌
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets
Ltd
6.50%,
06/20/2027
(f)
115‌
119‌
Southwest
Airlines
Co
4.75%,
05/04/2023
435‌
457‌
5.13%,
06/15/2027
530‌
557‌
5.25%,
05/04/2025
880‌
937‌
United
Airlines
2014-2
Class
A
Pass
Through
Trust
3.75%,
03/03/2028
917‌
847‌
United
Airlines
2018-1
Class
A
Pass
Through
Trust
3.70%,
09/01/2031
746‌
619‌
United
Airlines
2018-1
Class
AA
Pass
Through
Trust
3.50%,
09/01/2031
397‌
372‌
$
7,342‌
Automobile
Asset
Backed
Securities
-
1.66%
CarMax
Auto
Owner
Trust
2020-3
0.41%,
06/15/2023
780‌
780‌
1.00
x
1
Month
USD
LIBOR
+
0.25%
Drive
Auto
Receivables
Trust
2020-2
0.70%,
07/17/2023
1,000‌
1,001‌
1.00
x
1
Month
USD
LIBOR
+
0.53%
Ford
Credit
Auto
Lease
Trust
2020-B
0.44%,
12/15/2022
1,520‌
1,520‌
1.00
x
1
Month
USD
LIBOR
+
0.26%
0.50%,
12/15/2022
815‌
815‌
Hyundai
Auto
Receivables
Trust
2020-B
0.38%,
03/15/2023
1,500‌
1,501‌
Santander
Drive
Auto
Receivables
Trust
2020-2
0.53%,
05/15/2023
1,400‌
1,400‌
1.00
x
1
Month
USD
LIBOR
+
0.35%
Santander
Retail
Auto
Lease
Trust
2019-A
2.72%,
01/20/2022
(f)
1,685‌
1,699‌
Tesla
Auto
Lease
Trust
2019-A
2.13%,
04/20/2022
(f)
1,595‌
1,613‌
World
Omni
Auto
Receivables
Trust
1.05%,
03/15/2021
540‌
541‌
$
10,870‌
Automobile
Manufacturers
-
0.95%
BMW
US
Capital
LLC
3.80%,
04/06/2023
(f)
695‌
749‌
3.90%,
04/09/2025
(f)
1,250‌
1,403‌
Ford
Motor
Co
8.50%,
04/21/2023
255‌
283‌
9.00%,
04/22/2025
250‌
295‌
9.63%,
04/22/2030
(g)
45‌
59‌
Ford
Motor
Credit
Co
LLC
3.34%,
03/28/2022
500‌
503‌
4.14%,
02/15/2023
450‌
458‌
General
Motors
Co
6.25%,
10/02/2043
525‌
625‌
General
Motors
Financial
Co
Inc
3.45%,
01/14/2022
730‌
749‌
3.95%,
04/13/2024
670‌
715‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
13
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Manufacturers
(continued)
Navistar
International
Corp
6.63%,
11/01/2025
(f)
$
243‌
$
249‌
9.50%,
05/01/2025
(f)
100‌
114‌
$
6,202‌
Automobile
Parts
&
Equipment
-
0.04%
American
Axle
&
Manufacturing
Inc
6.88%,
07/01/2028
100‌
102‌
Dana
Inc
5.38%,
11/15/2027
90‌
95‌
5.63%,
06/15/2028
65‌
68‌
$
265‌
Banks
-
9.84%
ANZ
New
Zealand
Int'l
Ltd/London
2.55%,
02/13/2030
(f)
700‌
773‌
Banco
Mercantil
del
Norte
SA/Grand
Cayman
8.38%,
12/31/2049
(e),(f),(h)
375‌
379‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
7.76%
Banco
Santander
Mexico
SA
Institucion
de
Banca
Multiple
Grupo
Financiero
Santand
5.38%,
04/17/2025
(f)
205‌
227‌
Banco
Santander
SA
2.75%,
05/28/2025
3,800‌
4,014‌
Bancolombia
SA
3.00%,
01/29/2025
200‌
199‌
Bank
of
America
Corp
2.68%,
06/19/2041
(h)
1,635‌
1,741‌
United
States
Secured
Overnight
Financing
Rate
+
1.93%
2.88%,
10/22/2030
(h)
425‌
467‌
3
Month
USD
LIBOR
+
1.19%
3.19%,
07/23/2030
(h)
440‌
491‌
3
Month
USD
LIBOR
+
1.18%
3.46%,
03/15/2025
(h)
260‌
284‌
3
Month
USD
LIBOR
+
0.97%
4.20%,
08/26/2024
1,585‌
1,776‌
4.25%,
10/22/2026
915‌
1,054‌
4.30%,
12/31/2099
(e),(h)
400‌
378‌
3
Month
USD
LIBOR
+
2.66%
Bank
of
Montreal
3.80%,
12/15/2032
(h)
455‌
506‌
USD
Swap
Semi-Annual
5
Year
+
1.43%
Barclays
PLC
2.85%,
05/07/2026
(h)
1,100‌
1,166‌
3
Month
USD
LIBOR
+
2.45%
5.09%,
06/20/2030
(h)
400‌
470‌
3
Month
USD
LIBOR
+
3.05%
5.20%,
05/12/2026
500‌
568‌
BNP
Paribas
SA
2.22%,
06/09/2026
(f),(h)
2,200‌
2,291‌
United
States
Secured
Overnight
Financing
Rate
+
2.07%
4.50%,
12/31/2049
(e),(f),(h)
710‌
661‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.94%
CIT
Group
Inc
5.00%,
08/15/2022
190‌
196‌
5.80%,
12/31/2049
(e),(h)
310‌
240‌
3
Month
USD
LIBOR
+
3.97%
Citigroup
Inc
3.11%,
04/08/2026
(h)
1,125‌
1,223‌
United
States
Secured
Overnight
Financing
Rate
+
2.75%
3.52%,
10/27/2028
(h)
95‌
107‌
3
Month
USD
LIBOR
+
1.15%
4.65%,
07/23/2048
185‌
260‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Citigroup
Inc  
(continued)
4.70%,
12/31/2049
(e),(h)
$
175‌
$
168‌
United
States
Secured
Overnight
Financing
Rate
+
3.23%
Cooperatieve
Rabobank
UA
3.95%,
11/09/2022
820‌
872‌
Credicorp
Ltd
2.75%,
06/17/2025
(f)
200‌
201‌
Credit
Suisse
AG/New
York
NY
2.95%,
04/09/2025
2,235‌
2,452‌
Credit
Suisse
Group
AG
2.19%,
06/05/2026
(f),(h)
2,500‌
2,571‌
United
States
Secured
Overnight
Financing
Rate
+
2.04%
4.19%,
04/01/2031
(f),(h)
250‌
292‌
United
States
Secured
Overnight
Financing
Rate
+
3.73%
5.10%,
12/31/2049
(e),(f),(g),(h)
400‌
395‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.29%
Credit
Suisse
Group
Funding
Guernsey
Ltd
4.88%,
05/15/2045
375‌
528‌
Danske
Bank
A/S
3.00%,
09/20/2022
(f),(h)
2,250‌
2,295‌
3
Month
USD
LIBOR
+
1.25%
Deutsche
Bank
AG
4.30%,
05/24/2028
(h)
375‌
366‌
USD
Swap
Semi-Annual
5
Year
+
2.25%
Discover
Bank
2.70%,
02/06/2030
250‌
259‌
First
Republic
Bank/CA
4.38%,
08/01/2046
500‌
615‌
4.63%,
02/13/2047
1,200‌
1,544‌
Goldman
Sachs
Group
Inc
/The
3.63%,
02/20/2024
405‌
443‌
3.85%,
01/26/2027
1,153‌
1,312‌
5.75%,
01/24/2022
750‌
807‌
6.75%,
10/01/2037
465‌
699‌
HSBC
Holdings
PLC
2.63%,
11/07/2025
(h)
500‌
523‌
3
Month
USD
LIBOR
+
1.14%
4.25%,
03/14/2024
840‌
917‌
JPMorgan
Chase
&
Co
2.08%,
04/22/2026
(h)
1,435‌
1,507‌
United
States
Secured
Overnight
Financing
Rate
+
1.85%
3.96%,
11/15/2048
(h)
105‌
136‌
3
Month
USD
LIBOR
+
1.38%
4.60%,
12/31/2049
(e),(h)
1,680‌
1,626‌
United
States
Secured
Overnight
Financing
Rate
+
3.13%
4.95%,
06/01/2045
335‌
486‌
5.50%,
10/15/2040
345‌
517‌
Lloyds
Banking
Group
PLC
3.87%,
07/09/2025
(h)
1,900‌
2,093‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
3.50%
Morgan
Stanley
2.19%,
04/28/2026
(h)
335‌
353‌
United
States
Secured
Overnight
Financing
Rate
+
1.99%
3.62%,
04/01/2031
(h)
380‌
445‌
United
States
Secured
Overnight
Financing
Rate
+
3.12%
4.08%,
12/31/2049
(e)
1,401‌
1,345‌
3
Month
USD
LIBOR
+
3.81%
5.00%,
11/24/2025
995‌
1,186‌
6.38%,
07/24/2042
130‌
217‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
14
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Natwest
Group
PLC
5.13%,
05/28/2024
$
3,164‌
$
3,497‌
6.00%,
12/31/2049
(e),(h)
1,020‌
1,071‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.63%
7.50%,
12/31/2049
(e),(h)
1,291‌
1,291‌
USD
Swap
Semi-Annual
5
Year
+
5.80%
NatWest
Markets
PLC
2.38%,
05/21/2023
(f)
475‌
491‌
Popular
Inc
6.13%,
09/14/2023
145‌
154‌
Santander
UK
PLC
5.00%,
11/07/2023
(f)
594‌
652‌
Standard
Chartered
PLC
2.82%,
01/30/2026
(f),(h)
1,020‌
1,052‌
3
Month
USD
LIBOR
+
1.21%
6.00%,
12/31/2099
(e),(f),(h)
1,620‌
1,641‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.66%
Synchrony
Bank
3.00%,
06/15/2022
1,415‌
1,458‌
UBS
Group
AG
1.01%,
07/30/2024
(f),(h)
710‌
714‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.83%
1.36%,
01/30/2027
(f),(h)
460‌
464‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
1.08%
6.88%,
12/31/2049
(e),(h)
1,115‌
1,132‌
USD
Swap
Semi-Annual
(VS
6
Month)
5
Year
+
5.50%
US
Bancorp
3.00%,
07/30/2029
175‌
195‌
Wells
Fargo
&
Co
2.39%,
06/02/2028
(h)
1,500‌
1,571‌
United
States
Secured
Overnight
Financing
Rate
+
2.10%
3.07%,
04/30/2041
(h)
240‌
262‌
United
States
Secured
Overnight
Financing
Rate
+
2.53%
3.75%,
01/24/2024
360‌
395‌
4.40%,
06/14/2046
465‌
582‌
Westpac
Banking
Corp
4.11%,
07/24/2034
(h)
125‌
142‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.00%
4.42%,
07/24/2039
760‌
962‌
$
64,367‌
Beverages
-
1.06%
Anheuser-Busch
Cos
LLC
/
Anheuser-Busch
InBev
Worldwide
Inc
3.65%,
02/01/2026
850‌
970‌
4.90%,
02/01/2046
1,320‌
1,686‌
Anheuser-Busch
InBev
Worldwide
Inc
4.38%,
04/15/2038
1,260‌
1,516‌
Central
American
Bottling
Corp
5.75%,
01/31/2027
(f)
210‌
220‌
Constellation
Brands
Inc
2.88%,
05/01/2030
200‌
218‌
3.15%,
08/01/2029
975‌
1,079‌
3.70%,
12/06/2026
390‌
450‌
4.40%,
11/15/2025
660‌
776‌
Corp
Lindley
SA
6.75%,
11/23/2021
(f)
11‌
11‌
6.75%,
11/23/2021
11‌
11‌
$
6,937‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Biotechnology
-
0.06%
Amgen
Inc
2.20%,
02/21/2027
$
390‌
$
416‌
Building
Materials
-
0.24%
Boise
Cascade
Co
4.88%,
07/01/2030
(f)
85‌
90‌
Builders
FirstSource
Inc
5.00%,
03/01/2030
(f)
145‌
152‌
6.75%,
06/01/2027
(f)
242‌
266‌
Carrier
Global
Corp
2.24%,
02/15/2025
(f)
630‌
658‌
Martin
Marietta
Materials
Inc
2.50%,
03/15/2030
255‌
268‌
Norbord
Inc
5.75%,
07/15/2027
(f)
100‌
107‌
$
1,541‌
Chemicals
-
0.73%
Aruba
Investments
Inc
8.75%,
02/15/2023
(f)
445‌
457‌
Avient
Corp
5.75%,
05/15/2025
(f)
50‌
54‌
Blue
Cube
Spinco
LLC
9.75%,
10/15/2023
125‌
130‌
Braskem
Netherlands
Finance
BV
4.50%,
01/31/2030
(f)
250‌
232‌
CF
Industries
Inc
4.95%,
06/01/2043
310‌
363‌
CNAC
HK
Finbridge
Co
Ltd
4.63%,
03/14/2023
350‌
374‌
Consolidated
Energy
Finance
SA
4.06%,
06/15/2022
(f)
250‌
230‌
3
Month
USD
LIBOR
+
3.75%
6.88%,
06/15/2025
(f)
390‌
369‌
DuPont
de
Nemours
Inc
5.32%,
11/15/2038
525‌
699‌
5.42%,
11/15/2048
100‌
141‌
EI
du
Pont
de
Nemours
and
Co
1.70%,
07/15/2025
280‌
293‌
2.30%,
07/15/2030
80‌
85‌
Equate
Petrochemical
BV
3.00%,
03/03/2022
375‌
381‌
LYB
International
Finance
III
LLC
2.88%,
05/01/2025
575‌
622‌
NOVA
Chemicals
Corp
5.25%,
08/01/2023
(f)
130‌
130‌
Valvoline
Inc
4.25%,
02/15/2030
(f)
70‌
74‌
4.38%,
08/15/2025
(f)
30‌
31‌
Westlake
Chemical
Corp
3.38%,
06/15/2030
90‌
96‌
$
4,761‌
Commercial
Mortgage
Backed
Securities
-
1.89%
Citigroup
Commercial
Mortgage
Trust
2019-C7
3.10%,
12/15/2072
1,000‌
1,128‌
COMM
2013-CCRE6
Mortgage
Trust
4.09%,
03/10/2046
(f),(
i
)
500‌
358‌
Credit
Suisse
Commercial
Mortgage
Trust
Series
2006-C5
0.88%,
12/15/2039
(
i
),(j)
640‌
9‌
GS
Mortgage
Securities
Trust
2012-GCJ7
2.16%,
05/10/2045
(
i
),(j)
10,600‌
184‌
GS
Mortgage
Securities
Trust
2013-GC16
5.31%,
11/10/2046
(
i
)
800‌
759‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2011-C5
5.42%,
08/15/2046
(f),(
i
)
800‌
781‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2012-LC9
1.50%,
12/15/2047
(
i
),(j)
10,052‌
275‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
15
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C18
4.81%,
02/15/2047
(
i
)
$
2,700‌
$
2,519‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C19
0.75%,
04/15/2047
(
i
),(j)
23,696‌
417‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C24
0.92%,
11/15/2047
(
i
),(j)
7,646‌
193‌
3.91%,
11/15/2047
(f),(
i
)
1,000‌
803‌
LB-UBS
Commercial
Mortgage
Trust
2005-C3
0.63%,
07/15/2040
(f),(
i
),(j)
1,221‌
—‌
LB-UBS
Commercial
Mortgage
Trust
2007-C1
0.21%,
02/15/2040
(
i
),(j)
253‌
—‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2013-C11
0.30%,
08/15/2046
(
i
),(j)
18,624‌
128‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2014-C16
1.00%,
06/15/2047
(
i
),(j)
20,097‌
567‌
4.77%,
06/15/2047
(
i
)
4,250‌
3,333‌
MSBAM
Commercial
Mortgage
Securities
Trust
2012-CKSV
1.05%,
10/15/2030
(f),(
i
),(j)
21,678‌
383‌
UBS-Barclays
Commercial
Mortgage
Trust
2012-C4
1.61%,
12/10/2045
(f),(
i
),(j)
18,956‌
516‌
$
12,353‌
Commercial
Services
-
0.49%
Ahern
Rentals
Inc
7.38%,
05/15/2023
(f)
360‌
160‌
Brink's
Co/The
5.50%,
07/15/2025
(f)
260‌
276‌
CoStar
Group
Inc
2.80%,
07/15/2030
(f)
340‌
359‌
Garda
World
Security
Corp
9.50%,
11/01/2027
(f)
233‌
254‌
Global
Payments
Inc
2.65%,
02/15/2025
500‌
536‌
PayPal
Holdings
Inc
2.65%,
10/01/2026
330‌
365‌
Prime
Security
Services
Borrower
LLC
/
Prime
Finance
Inc
6.25%,
01/15/2028
(f)
180‌
188‌
Refinitiv
US
Holdings
Inc
8.25%,
11/15/2026
(f)
335‌
370‌
Tms
International
Holding
Corp
7.25%,
08/15/2025
(f)
335‌
278‌
United
Rentals
North
America
Inc
3.88%,
02/15/2031
(k),(l)
70‌
70‌
4.63%,
10/15/2025
175‌
180‌
4.88%,
01/15/2028
55‌
59‌
5.88%,
09/15/2026
95‌
101‌
$
3,196‌
Computers
-
0.62%
Apple
Inc
4.65%,
02/23/2046
555‌
805‌
Dell
International
LLC
/
EMC
Corp
4.42%,
06/15/2021
(f)
529‌
544‌
4.90%,
10/01/2026
(f)
615‌
694‌
5.45%,
06/15/2023
(f)
920‌
1,014‌
NetApp
Inc
1.88%,
06/22/2025
690‌
715‌
Seagate
HDD
Cayman
4.13%,
01/15/2031
(f)
235‌
252‌
$
4,024‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Credit
Card
Asset
Backed
Securities
-
0.96%
Barclays
Dryrock
Issuance
Trust
0.50%,
07/15/2024
$
3,250‌
$
3,253‌
1.00
x
1
Month
USD
LIBOR
+
0.33%
Chase
Issuance
Trust
0.37%,
04/17/2023
1,247‌
1,248‌
1.00
x
1
Month
USD
LIBOR
+
0.20%
0.72%,
06/15/2023
1,750‌
1,756‌
1.00
x
1
Month
USD
LIBOR
+
0.55%
$
6,257‌
Distribution
&
Wholesale
-
0.07%
American
Builders
&
Contractors
Supply
Co
Inc
4.00%,
01/15/2028
(f)
110‌
114‌
5.88%,
05/15/2026
(f)
305‌
323‌
$
437‌
Diversified
Financial
Services
-
1.64%
AerCap
Holdings
NV
5.88%,
10/10/2079
(h)
340‌
261‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.54%
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
4.50%,
09/15/2023
1,670‌
1,698‌
Air
Lease
Corp
3.38%,
07/01/2025
890‌
904‌
Ally
Financial
Inc
4.63%,
03/30/2025
650‌
720‌
5.80%,
05/01/2025
750‌
869‌
Avation
Capital
SA
6.50%,
05/15/2021
(f)
200‌
147‌
Blackstone
Holdings
Finance
Co
LLC
3.50%,
09/10/2049
(f)
85‌
96‌
Brookfield
Finance
Inc
4.00%,
04/01/2024
1,138‌
1,244‌
Brookfield
Finance
LLC
3.45%,
04/15/2050
800‌
833‌
Credit
Acceptance
Corp
5.13%,
12/31/2024
(f)
155‌
158‌
6.63%,
03/15/2026
360‌
376‌
GE
Capital
Funding
LLC
4.40%,
05/15/2030
(f)
430‌
453‌
GE
Capital
International
Funding
Co
Unlimited
Co
4.42%,
11/15/2035
500‌
516‌
Global
Aircraft
Leasing
Co
Ltd
6.50%,
PIK
7.25%,
09/15/2024
(f),(
i
),(m)
165‌
103‌
ILFC
E-Capital
Trust
II
3.27%,
12/21/2065
(f),(
i
)
155‌
82‌
Navient
Corp
5.00%,
03/15/2027
10‌
10‌
6.63%,
07/26/2021
175‌
179‌
6.75%,
06/15/2026
250‌
260‌
Nuveen
Finance
LLC
4.13%,
11/01/2024
(f)
505‌
574‌
OneMain
Finance
Corp
5.63%,
03/15/2023
190‌
201‌
6.63%,
01/15/2028
290‌
332‌
6.88%,
03/15/2025
340‌
380‌
8.88%,
06/01/2025
55‌
62‌
Visa
Inc
1.90%,
04/15/2027
220‌
235‌
$
10,693‌
Electric
-
2.95%
Alabama
Power
Co
3.45%,
10/01/2049
655‌
802‌
Avangrid
Inc
3.20%,
04/15/2025
1,115‌
1,235‌
Centrais
Eletricas
Brasileiras
SA
3.63%,
02/04/2025
(f)
200‌
199‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
16
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
CMS
Energy
Corp
3.00%,
05/15/2026
$
275‌
$
300‌
4.70%,
03/31/2043
110‌
141‌
Commonwealth
Edison
Co
4.00%,
03/01/2049
405‌
540‌
Dominion
Energy
Inc
4.25%,
06/01/2028
475‌
570‌
DTE
Electric
Co
3.95%,
03/01/2049
100‌
133‌
DTE
Energy
Co
3.40%,
06/15/2029
700‌
778‌
6.38%,
04/15/2033
81‌
113‌
Duke
Energy
Florida
LLC
3.80%,
07/15/2028
855‌
1,019‌
Elwood
Energy
LLC
8.16%,
07/05/2026
93‌
101‌
Enel
Chile
SA
4.88%,
06/12/2028
260‌
307‌
Evergy
Inc
2.90%,
09/15/2029
1,085‌
1,200‌
Exelon
Corp
3.50%,
06/01/2022
465‌
487‌
FirstEnergy
Corp
1.60%,
01/15/2026
345‌
340‌
2.25%,
09/01/2030
115‌
114‌
3.40%,
03/01/2050
550‌
564‌
Fortis
Inc
/Canada
3.06%,
10/04/2026
174‌
191‌
Georgia
Power
Co
3.70%,
01/30/2050
105‌
126‌
4.30%,
03/15/2043
130‌
164‌
Indiantown
Cogeneration
LP
9.77%,
12/15/2020
56‌
56‌
Louisville
Gas
and
Electric
Co
4.25%,
04/01/2049
180‌
240‌
MidAmerican
Energy
Co
3.15%,
04/15/2050
130‌
158‌
National
Rural
Utilities
Cooperative
Finance
Corp
4.75%,
04/30/2043
(h)
355‌
357‌
3
Month
USD
LIBOR
+
2.91%
NextEra
Energy
Capital
Holdings
Inc
2.75%,
05/01/2025
845‌
924‌
NextEra
Energy
Operating
Partners
LP
4.25%,
07/15/2024
(f)
270‌
288‌
NRG
Energy
Inc
5.25%,
06/15/2029
(f)
390‌
431‌
7.25%,
05/15/2026
180‌
194‌
Pacific
Gas
and
Electric
Co
1.75%,
06/16/2022
1,760‌
1,766‌
Pattern
Energy
Operations
LP
/
Pattern
Energy
Operations
Inc
4.50%,
08/15/2028
(f)
70‌
74‌
PPL
WEM
Ltd
/
Western
Power
Distribution
PLC
5.38%,
05/01/2021
(f)
2,660‌
2,716‌
Southern
California
Edison
Co
4.20%,
03/01/2029
460‌
543‌
4.88%,
03/01/2049
500‌
661‌
Southern
Co/The
5.50%,
03/15/2057
(h)
180‌
185‌
3
Month
USD
LIBOR
+
3.63%
State
Grid
Overseas
Investment
2016
Ltd
3.50%,
05/04/2027
250‌
280‌
Tucson
Electric
Power
Co
4.85%,
12/01/2048
100‌
139‌
Virginia
Electric
and
Power
Co
3.80%,
04/01/2028
200‌
238‌
4.60%,
12/01/2048
95‌
138‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
Vistra
Operations
Co
LLC
5.00%,
07/31/2027
(f)
$
200‌
$
213‌
5.63%,
02/15/2027
(f)
230‌
247‌
$
19,272‌
Electrical
Components
&
Equipment
-
0.12%
Energizer
Holdings
Inc
4.75%,
06/15/2028
(f)
285‌
306‌
6.38%,
07/15/2026
(f)
70‌
74‌
WESCO
Distribution
Inc
7.13%,
06/15/2025
(f)
270‌
296‌
7.25%,
06/15/2028
(f)
105‌
115‌
$
791‌
Engineering
&
Construction
-
0.06%
MasTec
Inc
4.50%,
08/15/2028
(f),(k)
255‌
267‌
4.88%,
03/15/2023
130‌
131‌
$
398‌
Entertainment
-
0.38%
Boyne
USA
Inc
7.25%,
05/01/2025
(f)
365‌
390‌
Caesars
Resort
Collection
LLC
/
CRC
Finco
Inc
5.25%,
10/15/2025
(f)
205‌
185‌
CCM
Merger
Inc
6.00%,
03/15/2022
(f)
195‌
191‌
Colt
Merger
Sub
Inc
6.25%,
07/01/2025
(f)
300‌
313‌
8.13%,
07/01/2027
(f)
305‌
311‌
Enterprise
Development
Authority/The
12.00%,
07/15/2024
(f)
175‌
173‌
International
Game
Technology
PLC
5.25%,
01/15/2029
(f)
380‌
388‌
Lions
Gate
Capital
Holdings
LLC
5.88%,
11/01/2024
(f)
190‌
189‌
Scientific
Games
International
Inc
8.63%,
07/01/2025
(f)
125‌
126‌
Wynn
Resorts
Finance
LLC
/
Wynn
Resorts
Capital
Corp
7.75%,
04/15/2025
(f)
240‌
252‌
$
2,518‌
Environmental
Control
-
0.05%
Republic
Services
Inc
2.30%,
03/01/2030
315‌
339‌
Food
-
0.54%
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC
3.50%,
02/15/2023
(f)
120‌
123‌
4.63%,
01/15/2027
(f)
140‌
148‌
5.75%,
03/15/2025
55‌
57‌
5.88%,
02/15/2028
(f)
75‌
82‌
6.63%,
06/15/2024
125‌
130‌
7.50%,
03/15/2026
(f)
235‌
264‌
Ingles
Markets
Inc
5.75%,
06/15/2023
109‌
111‌
JBS
USA
LUX
SA
/
JBS
USA
Finance
Inc
5.75%,
06/15/2025
(f)
475‌
488‌
Kraft
Heinz
Foods
Co
4.38%,
06/01/2046
275‌
289‌
Mars
Inc
2.38%,
07/16/2040
(f)
815‌
840‌
McCormick
&
Co
Inc
/MD
3.15%,
08/15/2024
250‌
274‌
Post
Holdings
Inc
4.63%,
04/15/2030
(f)
180‌
189‌
5.00%,
08/15/2026
(f)
410‌
430‌
TreeHouse
Foods
Inc
4.88%,
03/15/2022
135‌
135‌
$
3,560‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
17
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Gas
-
0.25%
Dominion
Energy
Gas
Holdings
LLC
3.00%,
11/15/2029
$
200‌
$
223‌
Piedmont
Natural
Gas
Co
Inc
3.50%,
06/01/2029
615‌
718‌
Southern
California
Gas
Co
2.55%,
02/01/2030
300‌
332‌
Southern
Co
Gas
Capital
Corp
4.40%,
05/30/2047
295‌
379‌
$
1,652‌
Healthcare
-
Products
-
0.37%
Abbott
Laboratories
4.90%,
11/30/2046
200‌
304‌
Boston
Scientific
Corp
3.45%,
03/01/2024
785‌
856‌
4.55%,
03/01/2039
605‌
791‌
4.70%,
03/01/2049
335‌
473‌
$
2,424‌
Healthcare
-
Services
-
0.83%
Centene
Corp
3.38%,
02/15/2030
340‌
360‌
4.25%,
12/15/2027
35‌
37‌
4.63%,
12/15/2029
230‌
257‌
4.75%,
05/15/2022
130‌
132‌
5.25%,
04/01/2025
(f)
500‌
521‌
5.38%,
06/01/2026
(f)
420‌
449‌
CHS/Community
Health
Systems
Inc
6.25%,
03/31/2023
420‌
423‌
8.00%,
03/15/2026
(f)
255‌
261‌
DaVita
Inc
4.63%,
06/01/2030
(f)
250‌
266‌
HCA
Inc
5.88%,
05/01/2023
330‌
362‌
5.88%,
02/01/2029
640‌
779‌
Tenet
Healthcare
Corp
4.63%,
09/01/2024
(f)
110‌
113‌
4.63%,
06/15/2028
(f)
90‌
95‌
5.13%,
11/01/2027
(f)
300‌
319‌
7.50%,
04/01/2025
(f)
190‌
210‌
8.13%,
04/01/2022
70‌
76‌
UnitedHealth
Group
Inc
2.75%,
05/15/2040
530‌
594‌
3.50%,
08/15/2039
150‌
184‌
$
5,438‌
Home
Builders
-
0.24%
Forestar
Group
Inc
5.00%,
03/01/2028
(f)
120‌
120‌
8.00%,
04/15/2024
(f)
560‌
601‌
KB
Home
7.63%,
05/15/2023
110‌
121‌
Lennar
Corp
4.88%,
12/15/2023
125‌
134‌
LGI
Homes
Inc
6.88%,
07/15/2026
(f)
325‌
346‌
Picasso
Finance
Sub
Inc
6.13%,
06/15/2025
(f)
220‌
234‌
$
1,556‌
Home
Equity
Asset
Backed
Securities
-
0.11%
First
NLC
Trust
2005-1
0.67%,
05/25/2035
222‌
204‌
1.00
x
1
Month
USD
LIBOR
+
0.50%
JP
Morgan
Mortgage
Acquisition
Trust
2006-CW2
0.32%,
08/25/2036
29‌
29‌
1.00
x
1
Month
USD
LIBOR
+
0.15%
Saxon
Asset
Securities
Trust
2004-1
1.87%,
03/25/2035
264‌
174‌
1.00
x
1
Month
USD
LIBOR
+
1.70%
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Home
Equity
Asset
Backed
Securities
(continued)
Specialty
Underwriting
&
Residential
Finance
Trust
Series
2004-BC1
0.94%,
02/25/2035
$
303‌
$
283‌
1.00
x
1
Month
USD
LIBOR
+
0.77%
$
690‌
Insurance
-
2.61%
American
International
Group
Inc
3.90%,
04/01/2026
500‌
576‌
4.50%,
07/16/2044
478‌
590‌
Arch
Capital
Finance
LLC
5.03%,
12/15/2046
105‌
142‌
Arch
Capital
Group
Ltd
3.64%,
06/30/2050
900‌
1,023‌
Markel
Corp
3.35%,
09/17/2029
65‌
71‌
4.30%,
11/01/2047
350‌
424‌
Massachusetts
Mutual
Life
Insurance
Co
3.38%,
04/15/2050
(f)
240‌
266‌
New
York
Life
Insurance
Co
3.75%,
05/15/2050
(f)
270‌
328‌
Pricoa
Global
Funding
I
3.45%,
09/01/2023
(f)
1,275‌
1,389‌
Progressive
Corp/The
3.95%,
03/26/2050
185‌
253‌
Swiss
Re
Finance
Luxembourg
SA
5.00%,
04/02/2049
(f),(h)
200‌
226‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.58%
Voya
Financial
Inc
5.65%,
05/15/2053
(h)
935‌
971‌
3
Month
USD
LIBOR
+
3.58%
XLIT
Ltd
4.45%,
03/31/2025
6,080‌
6,861‌
5.50%,
03/31/2045
2,770‌
3,968‌
$
17,088‌
Internet
-
0.59%
Alibaba
Group
Holding
Ltd
3.60%,
11/28/2024
250‌
277‌
Amazon.com
Inc
2.50%,
06/03/2050
300‌
327‌
2.70%,
06/03/2060
265‌
293‌
Baidu
Inc
3.08%,
04/07/2025
300‌
320‌
4.38%,
05/14/2024
375‌
415‌
Expedia
Group
Inc
3.60%,
12/15/2023
(f)
495‌
501‌
4.63%,
08/01/2027
(f)
565‌
581‌
Netflix
Inc
4.38%,
11/15/2026
455‌
505‌
Prosus
NV
3.68%,
01/21/2030
(f)
325‌
348‌
Tencent
Holdings
Ltd
3.80%,
02/11/2025
(f)
250‌
277‌
$
3,844‌
Investment
Companies
-
0.13%
Icahn
Enterprises
LP
/
Icahn
Enterprises
Finance
Corp
4.75%,
09/15/2024
105‌
107‌
6.25%,
02/01/2022
130‌
133‌
6.25%,
05/15/2026
580‌
613‌
$
853‌
Iron
&
Steel
-
0.72%
Cleveland-Cliffs
Inc
4.88%,
01/15/2024
(f)
125‌
121‌
6.38%,
10/15/2025
(f)
85‌
69‌
6.75%,
03/15/2026
(f)
50‌
50‌
CSN
Islands
XI
Corp
6.75%,
01/28/2028
(f)
235‌
217‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
18
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Iron
&
Steel
(continued)
Evraz
PLC
5.25%,
04/02/2024
(f)
$
350‌
$
381‌
Nucor
Corp
2.00%,
06/01/2025
320‌
337‌
2.70%,
06/01/2030
75‌
81‌
Steel
Dynamics
Inc
2.40%,
06/15/2025
530‌
557‌
2.80%,
12/15/2024
1,550‌
1,648‌
3.25%,
01/15/2031
120‌
131‌
3.45%,
04/15/2030
225‌
252‌
Vale
Overseas
Ltd
3.75%,
07/08/2030
645‌
693‌
6.88%,
11/21/2036
129‌
176‌
$
4,713‌
Leisure
Products
&
Services
-
0.01%
NCL
Corp
Ltd
3.63%,
12/15/2024
(f)
85‌
56‌
Lodging
-
0.04%
Hilton
Domestic
Operating
Co
Inc
5.38%,
05/01/2025
(f)
25‌
26‌
5.75%,
05/01/2028
(f)
23‌
25‌
MGM
Resorts
International
6.00%,
03/15/2023
150‌
157‌
Wyndham
Destinations
Inc
6.63%,
07/31/2026
(f)
60‌
62‌
$
270‌
Machinery
-
Diversified
-
0.13%
Maxim
Crane
Works
Holdings
Capital
LLC
10.13%,
08/01/2024
(f)
475‌
465‌
Westinghouse
Air
Brake
Technologies
Corp
3.20%,
06/15/2025
355‌
371‌
$
836‌
Media
-
2.79%
Altice
Financing
SA
5.00%,
01/15/2028
(f)
200‌
205‌
7.50%,
05/15/2026
(f)
285‌
307‌
AMC
Networks
Inc
4.75%,
12/15/2022
86‌
87‌
4.75%,
08/01/2025
305‌
313‌
Cable
Onda
SA
4.50%,
01/30/2030
(f)
200‌
210‌
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp
4.50%,
08/15/2030
(f)
355‌
376‌
5.38%,
06/01/2029
(f)
320‌
350‌
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
3.70%,
04/01/2051
415‌
435‌
3.75%,
02/15/2028
290‌
325‌
4.46%,
07/23/2022
695‌
741‌
4.80%,
03/01/2050
440‌
533‌
4.91%,
07/23/2025
485‌
563‌
6.48%,
10/23/2045
200‌
279‌
Comcast
Corp
1.95%,
01/15/2031
300‌
313‌
3.75%,
04/01/2040
380‌
474‌
3.97%,
11/01/2047
580‌
743‌
4.60%,
10/15/2038
1,240‌
1,677‌
4.60%,
08/15/2045
630‌
880‌
CSC
Holdings
LLC
6.50%,
02/01/2029
(f)
420‌
481‌
6.63%,
10/15/2025
(f)
235‌
246‌
Diamond
Sports
Group
LLC
/
Diamond
Sports
Finance
Co
5.38%,
08/15/2026
(f)
185‌
143‌
Discovery
Communications
LLC
5.00%,
09/20/2037
645‌
791‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Media
(continued)
DISH
DBS
Corp
5.88%,
07/15/2022
$
85‌
$
90‌
6.75%,
06/01/2021
85‌
88‌
7.38%,
07/01/2028
(f)
425‌
450‌
7.75%,
07/01/2026
120‌
135‌
Fox
Corp
3.05%,
04/07/2025
235‌
258‌
5.48%,
01/25/2039
200‌
276‌
5.58%,
01/25/2049
285‌
416‌
Meredith
Corp
6.88%,
02/01/2026
440‌
382‌
Radiate
Holdco
LLC
/
Radiate
Finance
Inc
6.63%,
02/15/2025
(f)
95‌
97‌
Time
Warner
Cable
LLC
5.50%,
09/01/2041
735‌
920‌
5.88%,
11/15/2040
780‌
1,013‌
UPC
Holding
BV
5.50%,
01/15/2028
(f)
505‌
513‌
ViacomCBS
Inc
2.90%,
01/15/2027
810‌
873‌
4.38%,
03/15/2043
120‌
132‌
4.75%,
05/15/2025
490‌
564‌
4.95%,
05/19/2050
270‌
326‌
Walt
Disney
Co/The
2.65%,
01/13/2031
65‌
71‌
3.50%,
05/13/2040
660‌
758‌
Ziggo
Bond
Co
BV
6.00%,
01/15/2027
(f)
150‌
159‌
Ziggo
BV
5.50%,
01/15/2027
(f)
220‌
232‌
$
18,225‌
Metal
Fabrication
&
Hardware
-
0.06%
Advanced
Drainage
Systems
Inc
5.00%,
09/30/2027
(f)
210‌
216‌
Park-Ohio
Industries
Inc
6.63%,
04/15/2027
225‌
198‌
$
414‌
Mining
-
1.08%
BHP
Billiton
Finance
USA
Ltd
6.75%,
10/19/2075
(f),(h)
385‌
455‌
USD
Swap
Semi-Annual
5
Year
+
5.09%
First
Quantum
Minerals
Ltd
7.25%,
04/01/2023
(f)
200‌
201‌
7.50%,
04/01/2025
(f)
390‌
394‌
FMG
Resources
August
2006
Pty
Ltd
4.75%,
05/15/2022
(f)
130‌
136‌
Freeport-McMoRan
Inc
4.25%,
03/01/2030
175‌
183‌
4.63%,
08/01/2030
110‌
118‌
Glencore
Funding
LLC
3.00%,
10/27/2022
(f)
800‌
824‌
Gold
Fields
Orogen
Holdings
BVI
Ltd
6.13%,
05/15/2029
(f)
300‌
351‌
Hudbay
Minerals
Inc
7.25%,
01/15/2023
(f)
130‌
132‌
7.63%,
01/15/2025
(f)
225‌
228‌
IAMGOLD
Corp
7.00%,
04/15/2025
(f)
265‌
276‌
Indonesia
Asahan
Aluminium
Persero
PT
6.53%,
11/15/2028
(f)
300‌
370‌
Joseph
T
Ryerson
&
Son
Inc
8.50%,
08/01/2028
(f)
75‌
82‌
New
Gold
Inc
7.50%,
07/15/2027
(f)
280‌
304‌
Newmont
Corp
2.25%,
10/01/2030
590‌
623‌
Novelis
Corp
4.75%,
01/30/2030
(f)
370‌
386‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
19
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mining
(continued)
Taseko
Mines
Ltd
8.75%,
06/15/2022
(f)
$
215‌
$
183‌
Teck
Resources
Ltd
3.90%,
07/15/2030
(f)
400‌
414‌
5.40%,
02/01/2043
690‌
716‌
6.13%,
10/01/2035
580‌
679‌
$
7,055‌
Miscellaneous
Manufacturers
-
0.20%
General
Electric
Co
3.45%,
05/01/2027
190‌
200‌
5.55%,
01/05/2026
535‌
621‌
5.88%,
01/14/2038
215‌
256‌
6.88%,
01/10/2039
200‌
260‌
$
1,337‌
Mortgage
Backed
Securities
-
3.55%
Fannie
Mae
REMIC
Trust
2005-W2
0.37%,
05/25/2035
125‌
125‌
1.00
x
1
Month
USD
LIBOR
+
0.20%
Fannie
Mae
REMICS
2.25%,
07/25/2040
73‌
76‌
3.00%,
04/25/2027
(j)
1,911‌
118‌
3.50%,
09/25/2027
(j)
3,090‌
231‌
3.50%,
11/25/2027
(j)
810‌
56‌
3.50%,
05/25/2028
(j)
1,031‌
63‌
3.50%,
03/25/2031
(j)
1,750‌
65‌
4.00%,
04/25/2043
(j)
488‌
49‌
6.33%,
12/25/2021
(j)
34‌
1‌
(1.00)
x
1
Month
USD
LIBOR
+
6.50%
6.33%,
03/25/2022
(j)
55‌
2‌
(1.00)
x
1
Month
USD
LIBOR
+
6.50%
38.28%,
08/25/2035
(j)
1‌
—‌
(10.00)
x
1
Month
USD
LIBOR
+
40.00%
Freddie
Mac
REMICS
0.62%,
05/15/2049
5,398‌
5,415‌
1.00
x
1
Month
USD
LIBOR
+
0.45%
2.00%,
02/15/2036
354‌
364‌
3.00%,
09/15/2025
(j)
173‌
—‌
3.00%,
05/15/2027
(j)
1,871‌
104‌
3.00%,
10/15/2027
(j)
505‌
33‌
3.00%,
02/15/2029
(j)
3,024‌
168‌
3.50%,
02/15/2028
(j)
1,853‌
126‌
3.50%,
01/15/2040
(j)
2,547‌
132‌
3.50%,
03/15/2041
(j)
3,439‌
289‌
4.00%,
04/15/2025
(j)
446‌
3‌
6.48%,
05/15/2026
(j)
1,279‌
117‌
(1.00)
x
1
Month
USD
LIBOR
+
6.65%
6.58%,
09/15/2034
(j)
149‌
6‌
(1.00)
x
1
Month
USD
LIBOR
+
6.75%
Freddie
Mac
Structured
Agency
Credit
Risk
Debt
Notes
3.02%,
04/25/2028
54‌
54‌
1.00
x
1
Month
USD
LIBOR
+
2.85%
Ginnie
Mae
1.75%,
10/16/2037
45‌
45‌
3.50%,
02/20/2040
(j)
2,025‌
87‌
3.50%,
01/20/2043
(j)
3,733‌
567‌
4.00%,
03/16/2039
(j)
1,666‌
99‌
4.00%,
09/20/2040
(j)
2,122‌
218‌
4.50%,
05/16/2043
(j)
1,653‌
259‌
5.86%,
11/20/2040
(j)
2,314‌
497‌
(1.00)
x
1
Month
USD
LIBOR
+
6.05%
5.86%,
05/20/2046
(j)
594‌
131‌
(1.00)
x
1
Month
USD
LIBOR
+
6.05%
5.92%,
07/16/2042
(j)
5,521‌
1,260‌
(1.00)
x
1
Month
USD
LIBOR
+
6.10%
5.96%,
08/20/2044
(j)
2,158‌
502‌
(1.00)
x
1
Month
USD
LIBOR
+
6.15%
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mortgage
Backed
Securities
(continued)
Ginnie
Mae  
(continued)
5.96%,
03/20/2047
(j)
$
3,247‌
$
684‌
(1.00)
x
1
Month
USD
LIBOR
+
6.15%
6.01%,
08/20/2042
(j)
2,390‌
412‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
08/20/2047
(j)
2,952‌
658‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
08/20/2047
(j)
6,056‌
1,917‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
08/20/2047
(j)
1,183‌
266‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.06%,
10/20/2047
(j)
2,572‌
631‌
(1.00)
x
1
Month
USD
LIBOR
+
6.25%
6.41%,
07/20/2042
(j)
6,184‌
1,739‌
(1.00)
x
1
Month
USD
LIBOR
+
6.60%
6.47%,
04/16/2042
(j)
2,711‌
658‌
(1.00)
x
1
Month
USD
LIBOR
+
6.65%
6.89%,
04/20/2041
(j)
1,199‌
286‌
(1.10)
x
1
Month
USD
LIBOR
+
7.10%
JP
Morgan
Mortgage
Trust
2016-2
2.82%,
06/25/2046
(f),(
i
)
4,470‌
4,626‌
Merrill
Lynch
Mortgage
Investors
Trust
Series
2005-A8
0.52%,
08/25/2036
50‌
49‌
1.00
x
1
Month
USD
LIBOR
+
0.35%
$
23,188‌
Office
&
Business
Equipment
-
0.02%
Xerox
Corp
4.12%,
03/15/2023
120‌
123‌
Oil
&
Gas
-
2.92%
Ascent
Resources
Utica
Holdings
LLC
/
ARU
Finance
Corp
7.00%,
11/01/2026
(f)
165‌
106‌
10.00%,
04/01/2022
(f)
191‌
158‌
BP
Capital
Markets
America
Inc
2.94%,
04/06/2023
1,800‌
1,910‌
3.19%,
04/06/2025
1,250‌
1,370‌
3.59%,
04/14/2027
435‌
493‌
4.23%,
11/06/2028
85‌
102‌
Canadian
Natural
Resources
Ltd
4.95%,
06/01/2047
(g)
210‌
254‌
Chesapeake
Oil
Op/Fin
Escrow
Shares
0.00%,
11/15/2019
(d),(l),(n)
1,385‌
—‌
CNOOC
Finance
2013
Ltd
3.00%,
05/09/2023
1,100‌
1,155‌
Comstock
Resources
Inc
7.50%,
05/15/2025
(f)
120‌
113‌
9.75%,
08/15/2026
395‌
395‌
Continental
Resources
Inc
/OK
3.80%,
06/01/2024
1,278‌
1,237‌
Ecopetrol
SA
6.88%,
04/29/2030
355‌
428‌
Endeavor
Energy
Resources
LP
/
EER
Finance
Inc
6.63%,
07/15/2025
(f)
190‌
200‌
EP
Energy
LLC
/
Everest
Acquisition
Finance
Inc
0.00%,
05/15/2026
(d),(f)
800‌
214‌
Exxon
Mobil
Corp
2.44%,
08/16/2029
255‌
279‌
3.00%,
08/16/2039
160‌
177‌
Laredo
Petroleum
Inc
9.50%,
01/15/2025
135‌
98‌
10.13%,
01/15/2028
205‌
145‌
Marathon
Oil
Corp
4.40%,
07/15/2027
370‌
375‌
6.60%,
10/01/2037
555‌
582‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
20
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
MEG
Energy
Corp
6.50%,
01/15/2025
(f)
$
30‌
$
29‌
7.00%,
03/31/2024
(f)
255‌
243‌
7.13%,
02/01/2027
(f)
135‌
120‌
Mesquite
Energy
Corp
-
Escrow
0.00%,
02/15/2023
(d)
115‌
1‌
Nabors
Industries
Inc
5.75%,
02/01/2025
390‌
154‌
Oasis
Petroleum
Inc
6.25%,
05/01/2026
(f)
305‌
54‌
6.88%,
01/15/2023
210‌
40‌
Occidental
Petroleum
Corp
2.60%,
08/13/2021
840‌
829‌
2.70%,
08/15/2022
280‌
270‌
2.90%,
08/15/2024
475‌
447‌
3.20%,
08/15/2026
535‌
487‌
3.40%,
04/15/2026
75‌
68‌
4.30%,
08/15/2039
315‌
255‌
4.40%,
04/15/2046
325‌
265‌
8.00%,
07/15/2025
(g)
210‌
229‌
Parsley
Energy
LLC
/
Parsley
Finance
Corp
5.63%,
10/15/2027
(f)
135‌
141‌
Petrobras
Global
Finance
BV
5.09%,
01/15/2030
(f)
200‌
206‌
5.30%,
01/27/2025
300‌
324‌
Petroleos
Mexicanos
6.50%,
01/23/2029
860‌
795‌
Petronas
Capital
Ltd
3.50%,
04/21/2030
(f)
200‌
227‌
Shelf
Drilling
Holdings
Ltd
8.25%,
02/15/2025
(f)
165‌
63‌
Shell
International
Finance
BV
3.13%,
11/07/2049
500‌
555‌
Sinopec
Group
Overseas
Development
2017
Ltd
2.50%,
09/13/2022
(f),(g)
500‌
513‌
SM
Energy
Co
5.00%,
01/15/2024
190‌
104‌
6.63%,
01/15/2027
120‌
59‌
Southwestern
Energy
Co
7.75%,
10/01/2027
(g)
370‌
348‌
Sunoco
LP
/
Sunoco
Finance
Corp
4.88%,
01/15/2023
180‌
183‌
5.50%,
02/15/2026
80‌
82‌
Tengizchevroil
Finance
Co
International
Ltd
4.00%,
08/15/2026
(f)
275‌
294‌
Total
Capital
International
SA
2.83%,
01/10/2030
280‌
315‌
Valero
Energy
Corp
2.85%,
04/15/2025
1,200‌
1,276‌
WPX
Energy
Inc
4.50%,
01/15/2030
130‌
121‌
5.25%,
09/15/2024
20‌
21‌
5.25%,
10/15/2027
60‌
59‌
5.75%,
06/01/2026
40‌
41‌
5.88%,
06/15/2028
65‌
67‌
$
19,076‌
Other
Asset
Backed
Securities
-
0.51%
Chase
Funding
Trust
Series
2003-5
0.77%,
07/25/2033
612‌
567‌
1.00
x
1
Month
USD
LIBOR
+
0.60%
Chase
Funding
Trust
Series
2004-1
0.63%,
12/25/2033
22‌
20‌
1.00
x
1
Month
USD
LIBOR
+
0.46%
John
Deere
Owner
Trust
2020-B
0.41%,
03/15/2023
1,000‌
1,000‌
Verizon
Owner
Trust
2018-A
3.23%,
04/20/2023
1,735‌
1,771‌
$
3,358‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Packaging
&
Containers
-
0.46%
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA
Inc
4.13%,
08/15/2026
(f)
$
390‌
$
405‌
6.00%,
02/15/2025
(f)
200‌
209‌
Bemis
Co
Inc
2.63%,
06/19/2030
430‌
457‌
Cascades
Inc
/Cascades
USA
Inc
5.38%,
01/15/2028
(f)
185‌
191‌
Crown
Cork
&
Seal
Co
Inc
7.38%,
12/15/2026
555‌
655‌
Flex
Acquisition
Co
Inc
6.88%,
01/15/2025
(f)
140‌
142‌
7.88%,
07/15/2026
(f)
95‌
99‌
Mauser
Packaging
Solutions
Holding
Co
7.25%,
04/15/2025
(f)
365‌
350‌
Reynolds
Group
Issuer
Inc
/
Reynolds
Group
Issuer
LLC
/
Reynolds
Group
Issuer
(Luxembourg)
S.A.
5.13%,
07/15/2023
(f)
90‌
91‌
Sealed
Air
Corp
4.88%,
12/01/2022
(f)
190‌
199‌
WRKCo
Inc
3.00%,
06/15/2033
175‌
191‌
$
2,989‌
Pharmaceuticals
-
2.42%
AbbVie
Inc
2.30%,
11/21/2022
(f)
500‌
519‌
2.60%,
11/21/2024
(f)
380‌
406‌
4.05%,
11/21/2039
(f)
110‌
135‌
Bausch
Health
Americas
Inc
8.50%,
01/31/2027
(f)
300‌
334‌
Bausch
Health
Cos
Inc
5.00%,
01/30/2028
(f)
80‌
80‌
Bayer
US
Finance
II
LLC
3.38%,
07/15/2024
(f)
300‌
325‌
3.88%,
12/15/2023
(f)
1,770‌
1,936‌
4.25%,
12/15/2025
(f)
1,015‌
1,164‌
4.38%,
12/15/2028
(f)
1,195‌
1,413‌
Becton
Dickinson
and
Co
3.36%,
06/06/2024
690‌
751‌
3.70%,
06/06/2027
504‌
577‌
4.67%,
06/06/2047
275‌
368‌
4.69%,
12/15/2044
553‌
732‌
Bristol-Myers
Squibb
Co
4.13%,
06/15/2039
650‌
870‌
4.25%,
10/26/2049
445‌
638‌
Cigna
Corp
3.75%,
07/15/2023
160‌
174‌
4.13%,
11/15/2025
225‌
261‌
4.38%,
10/15/2028
340‌
412‌
4.80%,
08/15/2038
395‌
523‌
4.90%,
12/15/2048
165‌
232‌
CVS
Health
Corp
3.63%,
04/01/2027
350‌
401‌
4.30%,
03/25/2028
445‌
529‌
4.88%,
07/20/2035
570‌
741‌
Endo
Dac
/
Endo
Finance
LLC
/
Endo
Finco
Inc
6.00%,
06/30/2028
(f)
25‌
19‌
Pfizer
Inc
2.55%,
05/28/2040
290‌
319‌
Upjohn
Inc
1.65%,
06/22/2025
(f)
175‌
180‌
2.30%,
06/22/2027
(f)
260‌
273‌
Zoetis
Inc
3.25%,
02/01/2023
545‌
577‌
4.45%,
08/20/2048
685‌
951‌
$
15,840‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
21
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
-
2.13%
Abu
Dhabi
Crude
Oil
Pipeline
LLC
3.65%,
11/02/2029
(f)
$
300‌
$
347‌
Buckeye
Partners
LP
3.95%,
12/01/2026
205‌
203‌
Crestwood
Midstream
Partners
LP
/
Crestwood
Midstream
Finance
Corp
5.63%,
05/01/2027
(f)
185‌
173‌
Energy
Transfer
Operating
LP
3.75%,
05/15/2030
840‌
831‌
4.50%,
04/15/2024
1,075‌
1,145‌
5.15%,
03/15/2045
355‌
344‌
6.25%,
04/15/2049
300‌
322‌
Enterprise
Products
Operating
LLC
3.13%,
07/31/2029
355‌
390‌
3.95%,
01/31/2060
185‌
203‌
4.20%,
01/31/2050
335‌
389‌
5.38%,
02/15/2078
(h)
460‌
405‌
3
Month
USD
LIBOR
+
2.57%
Hess
Midstream
Operations
LP
5.63%,
02/15/2026
(f)
505‌
524‌
Kinder
Morgan
Energy
Partners
LP
4.70%,
11/01/2042
245‌
280‌
MPLX
LP
4.00%,
03/15/2028
140‌
153‌
4.88%,
12/01/2024
200‌
225‌
5.50%,
02/15/2049
315‌
377‌
NuStar
Logistics
LP
6.00%,
06/01/2026
190‌
195‌
6.75%,
02/01/2021
130‌
132‌
Rattler
Midstream
LP
5.63%,
07/15/2025
(f)
65‌
69‌
Sabine
Pass
Liquefaction
LLC
4.20%,
03/15/2028
465‌
512‌
4.50%,
05/15/2030
(f)
185‌
213‌
5.00%,
03/15/2027
275‌
315‌
5.75%,
05/15/2024
3,250‌
3,703‌
Targa
Resources
Partners
LP
/
Targa
Resources
Partners
Finance
Corp
6.50%,
07/15/2027
391‌
418‌
Western
Midstream
Operating
LP
3.10%,
02/01/2025
705‌
700‌
Williams
Cos
Inc
/The
4.55%,
06/24/2024
1,225‌
1,363‌
$
13,931‌
Real
Estate
-
0.02%
Cushman
&
Wakefield
US
Borrower
LLC
6.75%,
05/15/2028
(f)
155‌
166‌
REITs
-
0.95%
Alexandria
Real
Estate
Equities
Inc
3.45%,
04/30/2025
520‌
584‌
4.70%,
07/01/2030
395‌
498‌
American
Campus
Communities
Operating
Partnership
LP
3.88%,
01/30/2031
980‌
1,060‌
American
Tower
Corp
1.30%,
09/15/2025
445‌
453‌
CC
Holdings
GS
V
LLC
/
Crown
Castle
GS
III
Corp
3.85%,
04/15/2023
670‌
724‌
CyrusOne
LP
/
CyrusOne
Finance
Corp
2.90%,
11/15/2024
585‌
630‌
HAT
Holdings
I
LLC
/
HAT
Holdings
II
LLC
6.00%,
04/15/2025
(f)
125‌
134‌
Healthcare
Trust
of
America
Holdings
LP
3.10%,
02/15/2030
200‌
211‌
Healthpeak
Properties
Inc
2.88%,
01/15/2031
395‌
419‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
REITs
(continued)
Iron
Mountain
Inc
5.00%,
07/15/2028
(f)
$
105‌
$
109‌
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer
7.50%,
06/01/2025
(f)
110‌
117‌
Prologis
LP
3.00%,
04/15/2050
235‌
271‌
VEREIT
Operating
Partnership
LP
3.10%,
12/15/2029
100‌
101‌
VICI
Properties
LP
/
VICI
Note
Co
Inc
3.50%,
02/15/2025
(f)
130‌
132‌
Welltower
Inc
2.75%,
01/15/2031
775‌
791‌
$
6,234‌
Retail
-
0.26%
Claire's
Stores
Escrow
-
GCB
0.00%,
03/15/2019
(d),(l),(n)
400‌
—‌
Home
Depot
Inc
/The
3.30%,
04/15/2040
150‌
180‌
5.88%,
12/16/2036
300‌
465‌
IRB
Holding
Corp
6.75%,
02/15/2026
(f)
140‌
141‌
7.00%,
06/15/2025
(f)
30‌
33‌
L
Brands
Inc
6.88%,
07/01/2025
(f)
90‌
97‌
9.38%,
07/01/2025
(f)
80‌
89‌
Nordstrom
Inc
8.75%,
05/15/2025
(f)
35‌
38‌
PetSmart
Inc
5.88%,
06/01/2025
(f)
370‌
379‌
7.13%,
03/15/2023
(f)
125‌
126‌
Yum!
Brands
Inc
7.75%,
04/01/2025
(f)
115‌
129‌
$
1,677‌
Semiconductors
-
1.57%
Analog
Devices
Inc
2.95%,
04/01/2025
680‌
747‌
Applied
Materials
Inc
1.75%,
06/01/2030
1,000‌
1,056‌
2.75%,
06/01/2050
295‌
331‌
Broadcom
Inc
3.15%,
11/15/2025
(f)
600‌
647‌
4.70%,
04/15/2025
(f)
1,445‌
1,653‌
Lam
Research
Corp
1.90%,
06/15/2030
35‌
37‌
Microchip
Technology
Inc
4.25%,
09/01/2025
(f)
65‌
68‌
Micron
Technology
Inc
2.50%,
04/24/2023
605‌
632‌
4.19%,
02/15/2027
945‌
1,085‌
NVIDIA
Corp
3.50%,
04/01/2040
595‌
715‌
NXP
BV
/
NXP
Funding
LLC
4.63%,
06/15/2022
(f)
745‌
796‌
4.63%,
06/01/2023
(f)
500‌
550‌
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.70%,
05/01/2025
(f)
135‌
145‌
3.15%,
05/01/2027
(f)
140‌
152‌
Sensata
Technologies
UK
Financing
Co
PLC
6.25%,
02/15/2026
(f)
475‌
500‌
Xilinx
Inc
2.38%,
06/01/2030
875‌
948‌
2.95%,
06/01/2024
205‌
223‌
$
10,285‌
Software
-
0.76%
Adobe
Inc
2.30%,
02/01/2030
170‌
187‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
22
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
(continued)
Epicor
Software
Corp
7.56%,
06/30/2023
(f)
$
110‌
$
110‌
3
Month
USD
LIBOR
+
7.25%
Fiserv
Inc
4.40%,
07/01/2049
925‌
1,242‌
Intuit
Inc
1.35%,
07/15/2027
505‌
517‌
Microsoft
Corp
2.53%,
06/01/2050
715‌
785‌
Open
Text
Corp
3.88%,
02/15/2028
(f)
275‌
286‌
5.88%,
06/01/2026
(f)
195‌
207‌
Oracle
Corp
2.50%,
04/01/2025
270‌
292‌
2.80%,
04/01/2027
525‌
583‌
4.00%,
11/15/2047
110‌
138‌
salesforce.com
Inc
3.70%,
04/11/2028
505‌
600‌
$
4,947‌
Sovereign
-
1.56%
Abu
Dhabi
Government
International
Bond
2.13%,
09/30/2024
(f)
450‌
471‌
CoBank
ACB
6.25%,
12/31/2049
(e),(h)
670‌
683‌
3
Month
USD
LIBOR
+
4.66%
Colombia
Government
International
Bond
3.00%,
01/30/2030
375‌
386‌
Dominican
Republic
International
Bond
4.50%,
01/30/2030
(f)
250‌
242‌
Egypt
Government
International
Bond
5.58%,
02/21/2023
(f)
200‌
205‌
Guatemala
Government
Bond
5.38%,
04/24/2032
(f)
200‌
229‌
Honduras
Government
International
Bond
7.50%,
03/15/2024
350‌
383‌
Hungary
Government
International
Bond
5.38%,
02/21/2023
176‌
194‌
Indonesia
Government
International
Bond
5.38%,
10/17/2023
(f)
800‌
899‌
Israel
Government
International
Bond
2.75%,
07/03/2030
425‌
470‌
Mexico
Government
International
Bond
4.15%,
03/28/2027
665‌
731‌
5.00%,
04/27/2051
335‌
392‌
Morocco
Government
International
Bond
4.25%,
12/11/2022
390‌
409‌
Panama
Government
International
Bond
3.88%,
03/17/2028
200‌
232‌
Qatar
Government
International
Bond
3.25%,
06/02/2026
600‌
666‌
4.40%,
04/16/2050
(f)
400‌
543‌
Republic
of
Belarus
Ministry
of
Finance
6.38%,
02/24/2031
(f)
200‌
192‌
Romanian
Government
International
Bond
4.88%,
01/22/2024
170‌
188‌
Russian
Foreign
Bond
-
Eurobond
5.10%,
03/28/2035
(f)
600‌
750‌
Saudi
Government
International
Bond
4.00%,
04/17/2025
(f)
725‌
811‌
Turkey
Government
International
Bond
6.35%,
08/10/2024
700‌
683‌
Ukraine
Government
International
Bond
9.75%,
11/01/2028
(f)
375‌
418‌
$
10,177‌
Student
Loan
Asset
Backed
Securities
-
0.27%
SMB
Private
Education
Loan
Trust
2020-A
0.47%,
03/15/2027
(f)
1,778‌
1,769‌
1.00
x
1
Month
USD
LIBOR
+
0.30%
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Telecommunications
-
2.45%
Altice
France
Holding
SA
10.50%,
05/15/2027
(f)
$
265‌
$
303‌
AT&T
Inc
2.30%,
06/01/2027
545‌
577‌
2.75%,
06/01/2031
315‌
337‌
3.10%,
02/01/2043
(k)
370‌
381‌
3.50%,
06/01/2041
500‌
543‌
3.50%,
02/01/2061
(k)
465‌
482‌
3.60%,
07/15/2025
335‌
377‌
4.05%,
12/15/2023
785‌
879‌
5.35%,
09/01/2040
1,205‌
1,594‌
5.45%,
03/01/2047
240‌
324‌
Axtel
SAB
de
CV
6.38%,
11/14/2024
200‌
209‌
CenturyLink
Inc
4.00%,
02/15/2027
(f)
75‌
78‌
Colombia
Telecomunicaciones
SA
ESP
4.95%,
07/17/2030
(f)
400‌
411‌
CommScope
Inc
8.25%,
03/01/2027
(f)
450‌
485‌
Embarq
Corp
8.00%,
06/01/2036
210‌
246‌
Level
3
Financing
Inc
4.25%,
07/01/2028
(f)
255‌
266‌
5.13%,
05/01/2023
135‌
136‌
Rogers
Communications
Inc
3.70%,
11/15/2049
305‌
362‌
Sprint
Communications
Inc
6.00%,
11/15/2022
150‌
162‌
Sprint
Corp
7.13%,
06/15/2024
350‌
408‌
7.25%,
09/15/2021
40‌
42‌
7.63%,
03/01/2026
240‌
300‌
7.88%,
09/15/2023
125‌
145‌
Telecom
Italia
Capital
SA
6.38%,
11/15/2033
185‌
226‌
Telecom
Italia
SpA
/Milano
5.30%,
05/30/2024
(f)
235‌
263‌
T-Mobile
USA
Inc
2.05%,
02/15/2028
(f)
515‌
529‌
3.50%,
04/15/2025
(f)
715‌
789‌
3.88%,
04/15/2030
(f)
285‌
326‌
4.00%,
04/15/2022
260‌
272‌
4.50%,
02/01/2026
225‌
232‌
5.13%,
04/15/2025
185‌
190‌
6.50%,
01/15/2026
330‌
348‌
Verizon
Communications
Inc
3.88%,
02/08/2029
1,290‌
1,555‌
5.25%,
03/16/2037
795‌
1,122‌
Vodafone
Group
PLC
4.88%,
06/19/2049
350‌
457‌
VTR
Comunicaciones
SpA
5.13%,
01/15/2028
(f)
310‌
329‌
Zayo
Group
Holdings
Inc
4.00%,
03/01/2027
(f)
185‌
185‌
6.13%,
03/01/2028
(f)
115‌
119‌
$
15,989‌
Textiles
-
0.02%
Delta
Merlin
Dunia
Tekstil
PT
0.00%,
03/12/2024
(d),(f)
1,000‌
112‌
Transportation
-
0.18%
Burlington
Northern
Santa
Fe
LLC
4.38%,
09/01/2042
90‌
120‌
Eletson
Holdings
Inc
/
Eletson
Finance
US
LLC
/
Agathonissos
Finance
LLC
0.00%,
01/15/2022
(d),(l),(n)
1,749‌
332‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
23
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Transportation
(continued)
Navios
Maritime
Acquisition
Corp
/
Navios
Acquisition
Finance
US
Inc
8.13%,
11/15/2021
(f)
$
365‌
$
221‌
Navios
Maritime
Holdings
Inc
/
Navios
Maritime
Finance
II
US
Inc
7.38%,
01/15/2022
(f)
130‌
53‌
11.25%,
08/15/2022
(f)
110‌
77‌
Navios
South
American
Logistics
Inc
/
Navios
Logistics
Finance
US
Inc
10.75%,
07/01/2025
(f)
125‌
134‌
Union
Pacific
Corp
4.38%,
11/15/2065
35‌
48‌
Watco
Cos
LLC
/
Watco
Finance
Corp
6.50%,
06/15/2027
(f)
210‌
224‌
$
1,209‌
Trucking
&
Leasing
-
0.06%
DAE
Funding
LLC
4.50%,
08/01/2022
(f)
130‌
127‌
5.75%,
11/15/2023
(f)
295‌
290‌
$
417‌
TOTAL
BONDS
$
379,292‌
SENIOR
FLOATING
RATE
INTERESTS
-
0.84%
Principal
Amount
(000's)
Value
(000's)
Automobile
Manufacturers
-
0.05%
Navistar
Inc
3.69%,
11/06/2024
(o)
$
356‌
$
343‌
3
Month
USD
LIBOR
+
3.00%
Commercial
Services
-
0.06%
Garda
World
Security
Corp
4.93%,
10/23/2026
(o)
141‌
139‌
1
Month
USD
LIBOR
+
4.75%
Refinitiv
US
Holdings
Inc
3.41%,
10/01/2025
(o)
254‌
252‌
3
Month
USD
LIBOR
+
3.00%
$
391‌
Computers
-
0.07%
McAfee
LLC
9.50%,
09/29/2025
(o)
476‌
482‌
3
Month
USD
LIBOR
+
3.25%
Diversified
Financial
Services
-
0.07%
Russell
Investments
US
Institutional
Holdco
Inc
3.82%,
06/01/2023
(o)
438‌
431‌
1
Month
USD
LIBOR
+
2.75%
Electrical
Components
&
Equipment
-
0.01%
Energizer
Holdings
Inc
2.43%,
12/17/2025
(o)
66‌
65‌
1
Month
USD
LIBOR
+
4.50%
Entertainment
-
0.02%
Lions
Gate
Capital
Holdings
LLC
2.41%,
03/24/2025
(o)
124‌
119‌
3
Month
USD
LIBOR
+
2.00%
Food
-
0.02%
Bellring
Brands
LLC
6.00%,
10/21/2024
(o)
127‌
127‌
1
Month
USD
LIBOR
+
5.00%
Forest
Products
&
Paper
-
0.03%
Pixelle
Specialty
Solutions
LLC
7.50%,
10/31/2024
(o)
178‌
171‌
1
Month
USD
LIBOR
+
6.50%
Insurance
-
0.10%
AssuredPartners
Inc
5.50%,
02/12/2027
(o)
244‌
242‌
1
Month
USD
LIBOR
+
4.50%
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Insurance
(continued)
Asurion
LLC
3.16%,
11/03/2023
(o)
$
201‌
$
197‌
1
Month
USD
LIBOR
+
7.25%
6.66%,
08/04/2025
(o)
230‌
232‌
3
Month
USD
LIBOR
+
3.25%
$
671‌
Lodging
-
0.08%
Golden
Nugget
LLC
3.25%,
10/04/2023
(o)
441‌
367‌
1
Month
USD
LIBOR
+
2.50%
Spectacle
Gary
Holdings
LLC
11.00%,
12/23/2025
(o)
159‌
147‌
1
Month
USD
LIBOR
+
9.00%
$
514‌
Media
-
0.03%
CSC
Holdings
LLC
2.67%,
04/15/2027
(o)
193‌
186‌
1
Month
USD
LIBOR
+
2.50%
Oil
&
Gas
-
0.00%
Mesquite
Energy
Inc
8.25%,
05/15/2020
(l),(n),(o)
15‌
11‌
1
Month
USD
LIBOR
+
8.00%
12.00%,
05/20/2020
(o)
16‌
16‌
1
Month
USD
LIBOR
+
8.00%
$
27‌
Pharmaceuticals
-
0.17%
Bausch
Health
Americas
Inc
3.18%,
05/19/2025
(o)
601‌
591‌
3
Month
USD
LIBOR
+
7.50%
Endo
International
PLC
5.00%,
04/29/2024
(o)
515‌
491‌
3
Month
USD
LIBOR
+
4.00%
$
1,082‌
Pipelines
-
0.03%
Buckeye
Partners
LP
2.92%,
11/01/2026
(o)
185‌
180‌
1
Month
USD
LIBOR
+
2.75%
Retail
-
0.03%
IRB
Holding
Corp
3.75%,
02/05/2025
(o)
205‌
192‌
1
Month
USD
LIBOR
+
2.75%
Telecommunications
-
0.07%
Level
3
Financing
Inc
1.88%,
03/01/2027
(o)
30‌
29‌
1
Month
USD
LIBOR
+
1.75%
Maxar
Technologies
Ltd
2.91%,
10/05/2024
(o)
280‌
269‌
3
Month
USD
LIBOR
+
4.25%
Zayo
Group
Holdings
Inc
3.16%,
02/19/2027
(o)
195‌
189‌
1
Month
USD
LIBOR
+
3.00%
$
487‌
TOTAL
SENIOR
FLOATING
RATE
INTERESTS
$
5,468‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
41.14%
Principal
Amount
(000's)
Value
(000's)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
-
3.41%
3.00%,
01/01/2043
$
2,448‌
$
2,676‌
3.00%,
02/01/2043
961‌
1,045‌
3.00%,
03/01/2043
429‌
472‌
3.99%,
01/01/2034
39‌
39‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.37%
4.00%,
02/01/2046
8,498‌
9,188‌
4.50%,
04/01/2031
601‌
659‌
4.50%,
04/01/2041
3,930‌
4,372‌
5.00%,
06/01/2031
452‌
507‌
5.50%,
08/01/2023
124‌
129‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
24
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
(continued)
5.50%,
05/01/2033
$
42‌
$
49‌
5.50%,
10/01/2033
40‌
44‌
5.50%,
12/01/2033
568‌
659‌
5.50%,
11/01/2036
456‌
517‌
5.50%,
04/01/2038
152‌
174‌
5.50%,
08/01/2038
319‌
372‌
6.00%,
03/01/2022
3‌
4‌
6.00%,
07/01/2023
54‌
60‌
6.00%,
06/01/2028
2‌
2‌
6.00%,
12/01/2031
20‌
23‌
6.00%,
12/01/2032
20‌
24‌
6.00%,
02/01/2033
95‌
106‌
6.00%,
12/01/2033
26‌
30‌
6.00%,
10/01/2036
160‌
189‌
6.00%,
01/01/2038
11‌
12‌
6.00%,
07/01/2038
645‌
738‌
6.50%,
03/01/2029
3‌
4‌
6.50%,
05/01/2029
5‌
6‌
6.50%,
04/01/2031
3‌
3‌
6.50%,
09/01/2031
2‌
2‌
6.50%,
02/01/2032
2‌
2‌
6.50%,
05/01/2032
7‌
8‌
6.50%,
04/01/2035
60‌
72‌
6.50%,
10/01/2035
43‌
51‌
7.00%,
12/01/2029
4‌
4‌
7.00%,
06/01/2030
10‌
12‌
7.00%,
12/01/2030
3‌
4‌
7.00%,
09/01/2031
1‌
1‌
7.50%,
09/01/2030
1‌
1‌
7.50%,
01/01/2031
5‌
6‌
7.50%,
03/01/2031
1‌
2‌
7.50%,
02/01/2032
2‌
3‌
8.00%,
09/01/2030
43‌
45‌
$
22,316‌
Federal
National
Mortgage
Association
(FNMA)
-
0.44%
2.66%,
10/01/2034
30‌
31‌
1.00
x
6
Month
USD
LIBOR
+
1.08%
3.05%,
07/01/2033
420‌
436‌
1.00
x
12
Month
USD
LIBOR
+
1.54%
3.53%,
04/01/2036
18‌
18‌
1.00
x
12
Month
USD
LIBOR
+
1.54%
3.61%,
02/01/2036
4‌
4‌
1.00
x
12
Month
USD
LIBOR
+
1.61%
3.76%,
01/01/2033
43‌
43‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.14%
3.88%,
04/01/2033
68‌
69‌
1.00
x
6
Month
USD
LIBOR
+
2.26%
4.36%,
08/01/2035
88‌
89‌
1.00
x
12
Month
USD
LIBOR
+
1.74%
5.00%,
07/01/2044
1,969‌
2,201‌
$
2,891‌
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
-
16.46%
2.00%,
08/01/2035
(p)
2,500‌
2,601‌
2.00%,
09/01/2050
(p)
4,000‌
4,138‌
2.50%,
04/01/2028
1,720‌
1,828‌
2.50%,
06/01/2028
125‌
132‌
2.50%,
09/01/2029
489‌
521‌
2.50%,
08/01/2035
(p)
5,800‌
6,088‌
2.50%,
09/01/2050
(p)
14,600‌
15,317‌
3.00%,
10/01/2029
81‌
86‌
3.00%,
09/01/2032
158‌
169‌
3.00%,
08/01/2035
(p)
2,000‌
2,099‌
3.00%,
12/01/2040
171‌
184‌
3.00%,
04/01/2043
484‌
520‌
3.00%,
05/01/2043
633‌
692‌
3.00%,
08/01/2043
3,093‌
3,325‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
(continued)
3.00%,
03/01/2048
$
5,894‌
$
6,241‌
3.00%,
12/01/2048
175‌
185‌
3.00%,
09/01/2050
(p)
17,000‌
17,944‌
3.50%,
02/01/2033
33‌
35‌
3.50%,
05/01/2034
1,648‌
1,776‌
3.50%,
01/01/2041
207‌
224‌
3.50%,
01/01/2044
1,232‌
1,362‌
3.50%,
11/01/2044
3,393‌
3,713‌
3.50%,
08/01/2045
5,074‌
5,558‌
3.50%,
11/01/2046
10,455‌
11,632‌
3.50%,
04/01/2047
185‌
205‌
3.50%,
10/01/2047
73‌
80‌
3.50%,
11/01/2047
4,834‌
5,311‌
3.50%,
03/01/2048
70‌
74‌
4.00%,
08/01/2020
1‌
1‌
4.00%,
02/01/2031
222‌
239‌
4.00%,
03/01/2034
608‌
669‌
4.00%,
05/01/2047
7,769‌
8,325‌
4.00%,
06/01/2048
31‌
32‌
4.50%,
04/01/2024
507‌
533‌
4.50%,
06/01/2044
772‌
865‌
5.00%,
06/01/2048
1,590‌
1,799‌
5.50%,
09/01/2020
9‌
9‌
5.50%,
02/01/2023
11‌
13‌
5.50%,
06/01/2023
38‌
42‌
5.50%,
07/01/2023
1‌
1‌
5.50%,
07/01/2033
91‌
106‌
5.50%,
09/01/2033
125‌
146‌
5.50%,
05/01/2040
445‌
507‌
6.00%,
02/01/2023
5‌
5‌
6.00%,
02/01/2038
327‌
366‌
6.00%,
05/01/2038
31‌
35‌
6.00%,
08/01/2038
212‌
237‌
6.00%,
08/01/2038
140‌
156‌
6.50%,
05/01/2022
2‌
2‌
6.50%,
12/01/2031
2‌
2‌
6.50%,
02/01/2032
2‌
2‌
6.50%,
02/01/2032
1‌
2‌
6.50%,
04/01/2032
6‌
7‌
6.50%,
08/01/2032
5‌
6‌
6.50%,
07/01/2037
120‌
136‌
6.50%,
07/01/2037
251‌
303‌
6.50%,
12/01/2037
197‌
236‌
6.50%,
02/01/2038
296‌
347‌
6.50%,
03/01/2038
66‌
76‌
6.50%,
09/01/2038
310‌
362‌
7.00%,
03/01/2032
19‌
22‌
7.50%,
08/01/2032
5‌
5‌
$
107,634‌
Government
National
Mortgage
Association
(GNMA)
-
6.11%
2.50%,
08/01/2050
6,500‌
6,868‌
3.00%,
06/20/2043
2,353‌
2,512‌
3.00%,
01/20/2045
1,111‌
1,183‌
3.00%,
06/20/2046
601‌
637‌
3.00%,
07/20/2046
2,587‌
2,748‌
3.00%,
08/01/2050
5,000‌
5,287‌
3.50%,
03/15/2042
1,025‌
1,122‌
3.50%,
04/15/2042
1,018‌
1,103‌
3.50%,
09/20/2044
74‌
84‌
3.50%,
09/20/2047
1,484‌
1,638‌
3.50%,
06/20/2048
2,883‌
3,060‌
4.00%,
01/20/2048
5,164‌
5,663‌
4.50%,
06/20/2025
1,406‌
1,500‌
4.50%,
09/15/2039
298‌
340‌
4.50%,
03/15/2040
1,603‌
1,766‌
5.00%,
11/15/2033
1,327‌
1,522‌
5.00%,
06/15/2034
24‌
28‌
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
25
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Government
National
Mortgage
Association
(GNMA)
(continued)
5.00%,
10/20/2039
$
105‌
$
119‌
5.00%,
07/20/2040
159‌
173‌
5.00%,
02/15/2042
964‌
1,106‌
5.50%,
10/15/2033
506‌
592‌
5.50%,
05/20/2035
50‌
58‌
5.50%,
02/15/2038
462‌
541‌
6.00%,
07/20/2028
20‌
22‌
6.00%,
11/20/2028
18‌
20‌
6.00%,
01/20/2029
20‌
22‌
6.00%,
07/20/2029
4‌
5‌
6.00%,
08/15/2031
17‌
19‌
6.00%,
01/15/2032
2‌
3‌
6.00%,
02/15/2032
9‌
10‌
6.00%,
02/15/2033
28‌
32‌
6.00%,
12/15/2033
30‌
34‌
6.50%,
03/20/2028
4‌
5‌
6.50%,
05/20/2029
4‌
4‌
6.50%,
10/15/2032
13‌
15‌
6.50%,
12/15/2032
45‌
50‌
7.00%,
06/15/2031
8‌
9‌
7.00%,
07/15/2031
1‌
1‌
7.00%,
06/15/2032
45‌
51‌
8.00%,
01/20/2031
3‌
4‌
$
39,956‌
U.S.
Treasury
-
9.98%
0.50%,
06/30/2027
7,000‌
7,053‌
1.63%,
08/15/2029
6,000‌
6,599‌
3.13%,
05/15/2048
20,000‌
29,268‌
3.88%,
08/15/2040
14,545‌
22,302‌
$
65,222‌
U.S.
Treasury
Bill
-
4.74%
0.11%,
10/15/2020
(q)
13,500‌
13,497‌
0.12%,
09/17/2020
(q)
17,510‌
17,508‌
$
31,005‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
269,024‌
Total
Investments
$
713,425‌
Other
Assets
and
Liabilities
-  (9.11)%
(59,594‌)
TOTAL
NET
ASSETS
-
100.00%
$
653,831‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$1,819
or
0.28%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Perpetual
security.
Perpetual
securities
pay
an
indefinite
stream
of
interest,
but
they
may
be
called
by
the
issuer
at
an
earlier
date.
Date
shown,
if
any,
reflects
the
next
call
date
or
final
legal
maturity
date.
Rate
shown
is
as
of
period
end.
(f)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$98,515
or
15.07%
of
net
assets.
(g)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(h)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(
i
)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(j)
Security
is
an
Interest
Only
Strip.
(k)
Security
purchased
on
a
when-issued
basis.
(l)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$413
or
0.06%
of
net
assets.
(m)
Payment
in
kind;
the
issuer
has
the
option
of
paying
additional
securities
in
lieu
of
cash.
(n)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(o)
Rate
information
disclosed
is
based
on
an
average
weighted
rate
of
the
underlying
tranches
as
of
period
end.
(p)
Security
was
purchased
in
a
"to-be-announced"
("TBA")
transaction.  See
Notes
to
Financial
Statements
for
additional
information.
(q)
Rate
shown
is
the
discount
rate
of
the
original
purchase.
Portfolio
Summary  (unaudited)
Sector
Percent
Mortgage
Securities
31.86‌%
Government
16.84‌%
Financial
15.36‌%
Consumer,
Non-cyclical
6.62‌%
Communications
5.93‌%
Energy
5.08‌%
Money
Market
Funds
5.07‌%
Asset
Backed
Securities
3.51‌%
Investment
Companies
3.48‌%
Consumer,
Cyclical
3.32‌%
Industrial
3.24‌%
Utilities
3.20‌%
Technology
3.04‌%
Basic
Materials
2.56‌%
Other
Assets
and
Liabilities
(9.11‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
61,205‌
$
551,426‌
$
581,278‌
$
31,353‌
$
61,205‌
$
551,426‌
$
581,278‌
$
31,353‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
153‌
$
—‌
$
—‌
$
—‌
$
153‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Core
Plus
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
26
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
US
10
Year
Note;
September
2020
Long
134‌
$
18,770‌
$
166‌
US
10
Year
Ultra
Note;
September
2020
Short
17‌
2,707‌
(42‌)
US
2
Year
Note;
September
2020
Long
50‌
11,049‌
9‌
US
5
Year
Note;
September
2020
Long
37‌
4,667‌
10‌
US
Long
Bond;
September
2020
Long
37‌
6,744‌
100‌
Total
$
243‌
Amounts
in
thousands
except
contracts.
Exchange
Cleared
Credit
Default
Swaps
Buy
Protection
Reference
Entity
Implied
Credit
Spread
as
of
July
31,
2020
(a)
(Pay)/
Receive
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
Upfront
Payments/
(Receipts)
Unrealized
Appreciation/
(Depreciation)
Fair
Value
CDX.EM.32
N/A
(1.00)%
Quarterly
12/20/2024
$
13,485‌
$
800‌
$
(373‌)
$
427‌
Total
$
800‌
$
(373‌)
$
427‌
Amounts
in
thousands.
(a)
Implied
credit
spreads,
represented
in
absolute
terms,
used
in
determining
the
market
value
of
credit
default
swap
agreements
on
corporate
issues
or
sovereign
issues
as
of
period
end
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
likelihood
or
risk
of
default
for
the
credit
derivative.
The
implied
credit
spread
of
a
particular
referenced
entity
reflects
the
cost
of
buying/selling
protection
and
may
include
upfront
payments
required
to
be
made
to
enter
into
the
agreement.
Wider
credit
spreads
represent
a
deterioration
of
the
referenced
entity's
credit
soundness
and
a
greater
likelihood
or
risk
of
default
or
other
credit
event
occurring
as
defined
under
the
terms
of
the
agreement.
Schedule
of
Investments
Diversified
International
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
27
INVESTMENT
COMPANIES
-
1.23%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.23%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
2,643,872‌
$
2,644‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
155,773,841‌
155,774‌
$
158,418‌
TOTAL
INVESTMENT
COMPANIES
$
158,418‌
COMMON
STOCKS
-
98.42%
Shares
Held
Value
(000's)
Apparel
-
1.40%
Adidas
AG
(d)
234,221‌
$
64,593‌
boohoo
Group
PLC
(d)
45,144‌
153‌
LVMH
Moet
Hennessy
Louis
Vuitton
SE
267,054‌
116,127‌
$
180,873‌
Automobile
Manufacturers
-
3.50%
Ferrari
NV
531,012‌
94,953‌
Honda
Motor
Co
Ltd
1,853,700‌
45,193‌
Kia
Motors
Corp
1,083,260‌
36,870‌
Maruti
Suzuki
India
Ltd
584,500‌
48,853‌
Toyota
Motor
Corp
3,032,600‌
180,027‌
Volvo
AB
-
B
Shares
(d)
2,705,002‌
46,747‌
$
452,643‌
Automobile
Parts
&
Equipment
-
0.54%
Toyota
Industries
Corp
1,366,200‌
69,407‌
Banks
-
5.73%
Bank
Leumi
Le-Israel
BM
8,234,193‌
41,742‌
Canadian
Imperial
Bank
of
Commerce
763,200‌
52,836‌
Credicorp
Ltd
501,714‌
63,803‌
DBS
Group
Holdings
Ltd
6,405,800‌
92,536‌
DNB
ASA
(d)
4,639,893‌
71,266‌
Erste
Group
Bank
AG
(d)
1,687,925‌
37,781‌
Grupo
Financiero
Banorte
SAB
de
CV
(d)
10,606,030‌
37,987‌
HDFC
Bank
Ltd
ADR
(d)
888,459‌
41,536‌
ICICI
Bank
Ltd
ADR
(d)
3,073,212‌
28,858‌
Kotak
Mahindra
Bank
Ltd
(d)
1,356,463‌
24,721‌
Mediobanca
Banca
di
Credito
Finanziario
SpA
6,718,526‌
54,259‌
PT
Bank
Central
Asia
Tbk
32,324,300‌
69,238‌
Toronto-Dominion
Bank/The
2,103,000‌
93,057‌
United
Overseas
Bank
Ltd
2,231,000‌
31,411‌
$
741,031‌
Beverages
-
0.67%
Carlsberg
AS
588,965‌
86,984‌
Biotechnology
-
1.22%
CSL
Ltd
812,730‌
158,078‌
Building
Materials
-
1.89%
Anhui
Conch
Cement
Co
Ltd
3,751,125‌
33,017‌
China
Lesso
Group
Holdings
Ltd
16,080,000‌
31,110‌
Cie
de
Saint-Gobain
(d)
1,651,308‌
61,090‌
CRH
PLC
2,770,951‌
100,887‌
HeidelbergCement
AG
336,005‌
18,647‌
$
244,751‌
Chemicals
-
1.55%
BASF
SE
915,361‌
50,497‌
Evonik
Industries
AG
1,449,819‌
39,169‌
Koninklijke
DSM
NV
(e)
514,098‌
78,691‌
Nutrien
Ltd
1,004,000‌
32,696‌
$
201,053‌
Commercial
Services
-
1.71%
Adecco
Group
AG
686,220‌
32,427‌
Adyen
NV
(d),(f)
61,926‌
103,913‌
Aggreko
PLC
678,394‌
3,404‌
Dai
Nippon
Printing
Co
Ltd
1,443,100‌
31,352‌
New
Oriental
Education
&
Technology
Group
Inc
ADR
(d)
353,646‌
49,581‌
$
220,677‌
Computers
-
2.69%
Capgemini
SE
602,584‌
78,152‌
Logitech
International
SA
2,157,609‌
157,394‌
Nomura
Research
Institute
Ltd
2,109,100‌
55,666‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Computers
(continued)
Obic
Co
Ltd
318,100‌
$
57,045‌
$
348,257‌
Consumer
Products
-
0.45%
Hindustan
Unilever
Ltd
1,974,490‌
58,246‌
Cosmetics
&
Personal
Care
-
0.44%
Unilever
NV
954,927‌
56,427‌
Distribution
&
Wholesale
-
1.91%
Bunzl
PLC
1,464,392‌
41,949‌
Ferguson
PLC
1,212,016‌
106,844‌
ITOCHU
Corp
4,501,700‌
98,706‌
$
247,499‌
Diversified
Financial
Services
-
2.02%
B3
SA
-
Brasil
Bolsa
Balcao
5,218,400‌
63,782‌
Housing
Development
Finance
Corp
Ltd
2,514,917‌
59,811‌
KB
Financial
Group
Inc
1,332,847‌
39,446‌
London
Stock
Exchange
Group
PLC
412,548‌
45,570‌
ORIX
Corp
3,406,718‌
36,844‌
Tisco
Financial
Group
PCL
7,614,500‌
15,912‌
$
261,365‌
Electric
-
2.49%
Enel
SpA
14,752,220‌
135,139‌
Iberdrola
SA
11,846,852‌
153,124‌
Northland
Power
Inc
1,226,303‌
33,600‌
$
321,863‌
Electrical
Components
&
Equipment
-
0.46%
Delta
Electronics
Inc
8,812,000‌
60,234‌
Electronics
-
1.61%
Halma
PLC
1,784,343‌
50,683‌
Hoya
Corp
1,596,704‌
157,466‌
$
208,149‌
Energy
-
Alternate
Sources
-
0.82%
Vestas
Wind
Systems
A/S
828,031‌
106,141‌
Entertainment
-
0.38%
Flutter
Entertainment
PLC
324,000‌
49,092‌
Food
-
3.54%
Dino
Polska
SA
(d),(f)
514,183‌
28,466‌
Koninklijke
Ahold
Delhaize
NV
1,515,222‌
43,640‌
Nestle
India
Ltd
148,648‌
32,740‌
Nestle
SA
2,678,722‌
318,558‌
Seven
&
i
Holdings
Co
Ltd
1,128,900‌
34,115‌
$
457,519‌
Forest
Products
&
Paper
-
0.15%
Mondi
PLC
1,083,841‌
19,198‌
Hand
&
Machine
Tools
-
1.06%
Techtronic
Industries
Co
Ltd
13,175,000‌
137,798‌
Healthcare
-
Products
-
1.96%
Ambu
A/S
970,244‌
33,875‌
Carl
Zeiss
Meditec
AG
207,121‌
21,677‌
GN
Store
Nord
A/S
465,697‌
28,638‌
Koninklijke
Philips
NV
(d)
2,266,902‌
117,133‌
Sartorius
Stedim
Biotech
165,286‌
51,699‌
$
253,022‌
Healthcare
-
Services
-
2.00%
ICON
PLC
(d)
526,654‌
97,673‌
Lonza
Group
AG
257,238‌
160,860‌
$
258,533‌
Holding
Companies
-
Diversified
-
0.00%
Swire
Pacific
Ltd
21,000‌
103‌
Home
Builders
-
0.92%
Persimmon
PLC
2,328,928‌
72,710‌
Taylor
Wimpey
PLC
30,094,367‌
46,421‌
$
119,131‌
Home
Furnishings
-
1.53%
Howden
Joinery
Group
PLC
7,581,862‌
48,383‌
Sony
Corp
1,919,000‌
149,097‌
$
197,480‌
Schedule
of
Investments
Diversified
International
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
28
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
-
5.52%
AIA
Group
Ltd
9,978,400‌
$
89,975‌
ASR
Nederland
NV
1,125,420‌
36,359‌
AXA
SA
(e)
3,582,931‌
71,887‌
Fairfax
Financial
Holdings
Ltd
126,000‌
39,479‌
Hannover
Rueck
SE
499,252‌
84,459‌
ICICI
Lombard
General
Insurance
Co
Ltd
(f)
1,537,926‌
26,760‌
Legal
&
General
Group
PLC
27,427,807‌
75,928‌
NN
Group
NV
1,238,036‌
45,315‌
PICC
Property
&
Casualty
Co
Ltd
32,320,000‌
25,540‌
Prudential
PLC
4,249,075‌
60,723‌
Sompo
Holdings
Inc
1,447,800‌
47,711‌
Tokio
Marine
Holdings
Inc
1,960,500‌
82,782‌
Unipol
Gruppo
SpA
(d)
6,465,546‌
27,163‌
$
714,081‌
Internet
-
8.28%
Alibaba
Group
Holding
Ltd
(d)
10,601,944‌
332,647‌
MercadoLibre
Inc
(d)
35,738‌
40,192‌
Naspers
Ltd
427,149‌
77,720‌
NCSoft
Corp
56,889‌
38,764‌
Shopify
Inc
(d)
152,095‌
155,745‌
Tencent
Holdings
Ltd
4,907,632‌
336,655‌
Vipshop
Holdings
Ltd
ADR
(d)
3,922,445‌
89,314‌
$
1,071,037‌
Investment
Companies
-
0.40%
Kinnevik
AB
1,480,841‌
52,126‌
Machinery
-
Construction
&
Mining
-
0.37%
Komatsu
Ltd
2,421,100‌
47,567‌
Machinery
-
Diversified
-
1.90%
Daifuku
Co
Ltd
524,100‌
47,759‌
Ebara
Corp
1,148,600‌
27,285‌
Keyence
Corp
263,100‌
110,946‌
Miura
Co
Ltd
536,500‌
20,400‌
Valmet
Oyj
1,421,292‌
39,819‌
$
246,209‌
Metal
Fabrication
&
Hardware
-
0.91%
NSK
Ltd
3,391,800‌
22,832‌
SKF
AB
5,102,916‌
94,470‌
$
117,302‌
Mining
-
3.15%
Anglo
American
PLC
2,178,198‌
52,730‌
Antofagasta
PLC
3,089,383‌
41,076‌
Barrick
Gold
Corp
1,498,645‌
43,311‌
Franco-Nevada
Corp
(e)
789,357‌
126,179‌
Rio
Tinto
Ltd
1,964,051‌
143,746‌
$
407,042‌
Miscellaneous
Manufacturers
-
1.62%
JSR
Corp
2,124,600‌
46,328‌
Pidilite
Industries
Ltd
1,487,617‌
26,924‌
Siemens
AG
796,026‌
101,443‌
Trelleborg
AB
(d)
2,281,631‌
35,435‌
$
210,130‌
Oil
&
Gas
-
3.00%
LUKOIL
PJSC
ADR
764,410‌
51,854‌
Neste
Oyj
3,315,883‌
152,304‌
Parkland
Corp/Canada
1,129,400‌
29,739‌
Petrobras
Distribuidora
SA
5,805,700‌
25,375‌
Reliance
Industries
Ltd
3,289,233‌
90,966‌
Suncor
Energy
Inc
2,381,400‌
37,460‌
$
387,698‌
Pharmaceuticals
-
5.11%
Galapagos
NV
(d)
159,692‌
29,658‌
Merck
KGaA
2,805‌
358‌
Novartis
AG
1,830,384‌
150,764‌
Novo
Nordisk
A/S
2,404,702‌
157,779‌
Recordati
SpA
538,608‌
28,929‌
Roche
Holding
AG
846,348‌
293,138‌
$
660,626‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pipelines
-
1.35%
Pembina
Pipeline
Corp
3,626,100‌
$
88,118‌
TC
Energy
Corp
1,911,100‌
87,105‌
$
175,223‌
Private
Equity
-
2.43%
3i
Group
PLC
11,346,555‌
130,605‌
Brookfield
Asset
Management
Inc
4,366,053‌
141,010‌
Intermediate
Capital
Group
PLC
2,430,640‌
42,546‌
$
314,161‌
Real
Estate
-
1.39%
CK
Asset
Holdings
Ltd
8,248,500‌
45,801‌
PSP
Swiss
Property
AG
4,348‌
483‌
Sun
Hung
Kai
Properties
Ltd
3,032,000‌
36,875‌
Tokyo
Tatemono
Co
Ltd
(e)
1,898,700‌
20,293‌
Vonovia
SE
1,189,601‌
76,891‌
$
180,343‌
Retail
-
4.43%
Alimentation
Couche-Tard
Inc
4,725,792‌
164,236‌
ANTA
Sports
Products
Ltd
3,327,000‌
31,583‌
Hennes
&
Mauritz
AB
2,064,139‌
32,175‌
Home
Product
Center
PCL
80,150,200‌
40,109‌
JD
Sports
Fashion
PLC
5,904,283‌
46,676‌
Li
Ning
Co
Ltd
13,076,500‌
42,148‌
Lojas
Renner
SA
1,021,500‌
8,042‌
Magazine
Luiza
SA
3,169,300‌
48,822‌
Pan
Pacific
International
Holdings
Corp
4,492,100‌
101,814‌
Wal-Mart
de
Mexico
SAB
de
CV
24,511,178‌
57,690‌
$
573,295‌
Semiconductors
-
8.39%
ASM
International
NV
201,489‌
30,822‌
ASML
Holding
NV
560,358‌
199,229‌
MediaTek
Inc
2,735,000‌
65,306‌
NXP
Semiconductors
NV
528,517‌
62,117‌
Samsung
Electronics
Co
Ltd
5,118,545‌
250,163‌
SK
Hynix
Inc
1,228,793‌
86,035‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
26,920,544‌
391,791‌
$
1,085,463‌
Software
-
1.61%
Capcom
Co
Ltd
1,437,400‌
56,491‌
Dassault
Systemes
SE
425,002‌
77,390‌
Nemetschek
SE
412,796‌
30,261‌
NetEase
Inc
2,415,600‌
43,884‌
$
208,026‌
Telecommunications
-
3.92%
Deutsche
Telekom
AG
4,358,208‌
72,760‌
Nice
Ltd
ADR
(d)
508,543‌
104,373‌
Nippon
Telegraph
&
Telephone
Corp
5,227,900‌
121,347‌
Orange
SA
2,938,791‌
34,445‌
SoftBank
Group
Corp
2,772,400‌
174,864‌
$
507,789‌
Toys,
Games
&
Hobbies
-
0.99%
Nintendo
Co
Ltd
290,200‌
127,633‌
Transportation
-
1.01%
Canadian
National
Railway
Co
1,340,048‌
130,898‌
TOTAL
COMMON
STOCKS
$
12,732,203‌
PREFERRED
STOCKS
-
0.44%
Shares
Held
Value
(000's)
Investment
Companies
-
0.24%
Itausa
SA
0.08%
14,949,589‌
$
30,578‌
Telecommunications
-
0.20%
Telefonica
Brasil
SA
2.68%
2,573,600‌
26,167‌
TOTAL
PREFERRED
STOCKS
$
56,745‌
Total
Investments
$
12,947,366‌
Other
Assets
and
Liabilities
-  (0.09)%
(11,247‌)
TOTAL
NET
ASSETS
-
100.00%
$
12,936,119‌
Schedule
of
Investments
Diversified
International
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
29
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$26,904
or
0.21%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(f)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$159,139
or
1.23%
of
net
assets.
Portfolio
Summary  (unaudited)
Location
Percent
Japan
15.26‌%
Canada
9.70‌%
Switzerland
8.61‌%
United
Kingdom
8.09‌%
China
7.84‌%
Netherlands
5.56‌%
Germany
4.31‌%
Taiwan
3.99‌%
France
3.79‌%
Korea,
Republic
Of
3.50‌%
India
3.39‌%
Denmark
3.19‌%
Italy
2.63‌%
Hong
Kong
2.39‌%
Sweden
2.01‌%
Ireland
1.92‌%
Brazil
1.57‌%
Finland
1.49‌%
United
States
1.23‌%
Australia
1.22‌%
Spain
1.18‌%
Israel
1.13‌%
Singapore
0.96‌%
Mexico
0.75‌%
South
Africa
0.60‌%
Norway
0.55‌%
Indonesia
0.54‌%
Peru
0.49‌%
Thailand
0.43‌%
Russian
Federation
0.40‌%
Chile
0.32‌%
Argentina
0.31‌%
Austria
0.29‌%
Belgium
0.23‌%
Poland
0.22‌%
Other
Assets
and
Liabilities
(0.09‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
120,902‌
$
3,480,611‌
$
3,445,739‌
$
155,774‌
$
120,902‌
$
3,480,611‌
$
3,445,739‌
$
155,774‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,420‌
$
—‌
$
—‌
$
—‌
$
1,420‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Equity
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
30
INVESTMENT
COMPANIES
-
4.89%
Shares
Held
Value
(000's)
Money
Market
Funds
-
4.89%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
6,580,421‌
$
6,580‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
376,704,591‌
376,705‌
$
383,285‌
TOTAL
INVESTMENT
COMPANIES
$
383,285‌
COMMON
STOCKS
-
97.26%
Shares
Held
Value
(000's)
Apparel
-
1.46%
NIKE
Inc
1,173,880‌
$
114,582‌
Automobile
Manufacturers
-
2.66%
PACCAR
Inc
2,451,014‌
208,532‌
Automobile
Parts
&
Equipment
-
1.66%
Magna
International
Inc
2,817,624‌
130,090‌
Banks
-
8.02%
First
Republic
Bank/CA
1,211,104‌
136,225‌
JPMorgan
Chase
&
Co
1,953,793‌
188,815‌
Morgan
Stanley
1,885,525‌
92,164‌
PNC
Financial
Services
Group
Inc
/The
1,230,825‌
131,292‌
Truist
Financial
Corp
1,064,333‌
39,870‌
US
Bancorp
1,068,821‌
39,375‌
$
627,741‌
Beverages
-
1.84%
Coca-Cola
Co/The
3,054,947‌
144,316‌
Biotechnology
-
1.27%
Corteva
Inc
3,470,695‌
99,123‌
Chemicals
-
2.80%
Air
Products
and
Chemicals
Inc
456,695‌
130,903‌
PPG
Industries
Inc
822,759‌
88,570‌
$
219,473‌
Computers
-
1.98%
Apple
Inc
364,472‌
154,915‌
Diversified
Financial
Services
-
4.15%
BlackRock
Inc
372,571‌
214,232‌
Discover
Financial
Services
2,241,312‌
110,788‌
$
325,020‌
Electric
-
6.70%
Eversource
Energy
1,126,789‌
101,490‌
NextEra
Energy
Inc
451,474‌
126,729‌
Sempra
Energy
542,932‌
67,573‌
WEC
Energy
Group
Inc
1,239,913‌
118,114‌
Xcel
Energy
Inc
1,601,484‌
110,567‌
$
524,473‌
Electronics
-
0.77%
Honeywell
International
Inc
403,364‌
60,250‌
Food
-
3.84%
Hormel
Foods
Corp
3,471,954‌
176,583‌
Tyson
Foods
Inc
2,019,880‌
124,122‌
$
300,705‌
Healthcare
-
Products
-
4.68%
Abbott
Laboratories
2,050,437‌
206,356‌
Medtronic
PLC
1,663,603‌
160,504‌
$
366,860‌
Insurance
-
4.33%
Allstate
Corp/The
341,062‌
32,193‌
Chubb
Ltd
1,024,148‌
130,312‌
Fidelity
National
Financial
Inc
3,079,604‌
99,656‌
Swiss
Re
AG
ADR
(e)
3,916,562‌
76,569‌
$
338,730‌
Machinery
-
Construction
&
Mining
-
0.19%
Caterpillar
Inc
114,075‌
15,158‌
Machinery
-
Diversified
-
2.68%
Deere
&
Co
1,192,200‌
210,197‌
Media
-
2.46%
Walt
Disney
Co/The
1,644,149‌
192,267‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Miscellaneous
Manufacturers
-
3.19%
3M
Co
179,415‌
$
26,997‌
Parker-Hannifin
Corp
936,829‌
167,617‌
Trane
Technologies
PLC
493,372‌
55,194‌
$
249,808‌
Oil
&
Gas
-
4.17%
Chevron
Corp
1,162,280‌
97,562‌
EOG
Resources
Inc
1,867,770‌
87,505‌
Exxon
Mobil
Corp
441,045‌
18,559‌
Marathon
Petroleum
Corp
2,675,884‌
102,219‌
Royal
Dutch
Shell
PLC
-
B
shares
ADR
732,457‌
20,728‌
$
326,573‌
Pharmaceuticals
-
9.68%
Becton
Dickinson
and
Co
573,156‌
161,252‌
Merck
&
Co
Inc
2,180,036‌
174,926‌
Novartis
AG
ADR
1,397,619‌
114,800‌
Pfizer
Inc
2,999,351‌
115,415‌
Roche
Holding
AG
ADR
4,454,050‌
191,970‌
$
758,363‌
Pipelines
-
1.21%
Enterprise
Products
Partners
LP
5,363,523‌
94,398‌
Private
Equity
-
2.35%
KKR
&
Co
Inc
5,205,912‌
184,133‌
REITs
-
5.28%
Alexandria
Real
Estate
Equities
Inc
850,394‌
150,987‌
Digital
Realty
Trust
Inc
1,060,525‌
170,257‌
Realty
Income
Corp
1,530,633‌
91,915‌
$
413,159‌
Retail
-
3.68%
Costco
Wholesale
Corp
624,519‌
203,300‌
Starbucks
Corp
1,111,467‌
85,060‌
$
288,360‌
Semiconductors
-
3.52%
Microchip
Technology
Inc
1,316,808‌
133,959‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
ADR
1,797,390‌
141,796‌
$
275,755‌
Software
-
4.00%
Fidelity
National
Information
Services
Inc
749,581‌
109,671‌
Microsoft
Corp
438,500‌
89,897‌
SAP
SE
ADR
(e)
715,608‌
113,939‌
$
313,507‌
Telecommunications
-
4.97%
BCE
Inc
4,301,311‌
180,354‌
Verizon
Communications
Inc
3,632,864‌
208,817‌
$
389,171‌
Toys,
Games
&
Hobbies
-
1.68%
Hasbro
Inc
1,810,838‌
131,757‌
Transportation
-
2.04%
Union
Pacific
Corp
923,447‌
160,080‌
TOTAL
COMMON
STOCKS
$
7,617,496‌
Total
Investments
$
8,000,781‌
Other
Assets
and
Liabilities
-  (2.15)%
(168,586‌)
TOTAL
NET
ASSETS
-
100.00%
$
7,832,195‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$67,230
or
0.86%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Schedule
of
Investments
Equity
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
31
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
24.13‌%
Consumer,
Non-cyclical
21.31‌%
Consumer,
Cyclical
11.14‌%
Technology
9.50‌%
Industrial
8.87‌%
Communications
7.43‌%
Utilities
6.70‌%
Energy
5.38‌%
Money
Market
Funds
4.89‌%
Basic
Materials
2.80‌%
Other
Assets
and
Liabilities
(2.15‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
189,995‌
$
1,961,231‌
$
1,774,521‌
$
376,705‌
$
189,995‌
$
1,961,231‌
$
1,774,521‌
$
376,705‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,197‌
$
—‌
$
—‌
$
—‌
$
1,197‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
32
INVESTMENT
COMPANIES
-
4.10%
Shares
Held
Value
(000's)
Money
Market
Funds
-
4.10%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
9,269,772‌
$
9,270‌
TOTAL
INVESTMENT
COMPANIES
$
9,270‌
BONDS
-
86.98%
Principal
Amount
(000's)
Value
(000's)
Agriculture
-
0.91%
JBS
Investments
II
GmbH
7.00%,
01/15/2026
(d)
$
1,925‌
$
2,069‌
Banks
-
1.34%
International
Bank
of
Azerbaijan
OJSC
3.50%,
09/01/2024
3,350‌
3,024‌
Chemicals
-
2.43%
MEGlobal
Canada
ULC
5.00%,
05/18/2025
(d)
2,675‌
2,923‌
5.88%,
05/18/2030
2,175‌
2,567‌
$
5,490‌
Commercial
Services
-
1.09%
Adani
Ports
&
Special
Economic
Zone
Ltd
4.20%,
08/04/2027
(d),(e)
2,450‌
2,457‌
Diversified
Financial
Services
-
1.70%
Power
Finance
Corp
Ltd
5.25%,
08/10/2028
3,610‌
3,849‌
Electric
-
1.64%
Adani
Electricity
Mumbai
Ltd
3.95%,
02/12/2030
(d)
2,700‌
2,667‌
3.95%,
02/12/2030
1,050‌
1,037‌
$
3,704‌
Food
-
1.85%
MARB
BondCo
PLC
7.00%,
03/15/2024
4,025‌
4,188‌
Iron
&
Steel
-
0.14%
Metinvest
BV
8.50%,
04/23/2026
325‌
318‌
Metal
Fabrication
&
Hardware
-
1.14%
HTA
Group
Ltd/Mauritius
7.00%,
12/18/2025
(d)
2,500‌
2,580‌
Mining
-
2.17%
Indonesia
Asahan
Aluminium
Persero
PT
4.75%,
05/15/2025
(d)
3,175‌
3,489‌
4.75%,
05/15/2025
1,300‌
1,428‌
$
4,917‌
Oil
&
Gas
-
9.78%
Odebrecht
Drilling
Norbe
VIII/IX
Ltd
6.35%,
12/01/2021
1,698‌
1,528‌
Odebrecht
Offshore
Drilling
Finance
Ltd
6.72%,
12/01/2022
832‌
724‌
Petrobras
Global
Finance
BV
5.09%,
01/15/2030
1,625‌
1,674‌
6.00%,
01/27/2028
2,925‌
3,221‌
Petroleos
Mexicanos
6.50%,
03/13/2027
2,700‌
2,572‌
6.84%,
01/23/2030
(d)
2,050‌
1,907‌
6.84%,
01/23/2030
200‌
186‌
Petronas
Capital
Ltd
3.50%,
04/21/2030
(d)
1,625‌
1,844‌
Tengizchevroil
Finance
Co
International
Ltd
2.63%,
08/15/2025
(d)
3,200‌
3,225‌
3.25%,
08/15/2030
(d)
2,025‌
2,053‌
Tullow
Oil
PLC
6.25%,
04/15/2022
1,575‌
1,103‌
7.00%,
03/01/2025
3,500‌
2,083‌
$
22,120‌
Real
Estate
-
5.35%
Arabian
Centres
Sukuk
Ltd
5.38%,
11/26/2024
(d)
2,150‌
1,911‌
Country
Garden
Holdings
Co
Ltd
4.75%,
07/25/2022
1,175‌
1,197‌
4.75%,
09/28/2023
1,050‌
1,067‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Real
Estate
(continued)
Kaisa
Group
Holdings
Ltd
8.50%,
06/30/2022
$
2,198‌
$
2,201‌
Sunac
China
Holdings
Ltd
7.25%,
06/14/2022
325‌
332‌
7.88%,
02/15/2022
2,325‌
2,389‌
Yuzhou
Group
Holdings
Co
Ltd
6.00%,
01/25/2022
750‌
755‌
8.50%,
02/04/2023
2,150‌
2,266‌
$
12,118‌
Sovereign
-
53.89%
1MDB
Global
Investments
Ltd
4.40%,
03/09/2023
3,900‌
3,829‌
Abu
Dhabi
Government
International
Bond
2.50%,
04/16/2025
(d)
1,250‌
1,331‌
3.13%,
04/16/2030
(d)
1,900‌
2,140‌
3.88%,
04/16/2050
(d)
1,900‌
2,406‌
Argentine
Republic
Government
International
Bond
0.00%,
04/22/2026
(b)
1,400‌
602‌
0.00%,
07/06/2036
(b)
2,400‌
1,020‌
0.00%,
04/22/2046
(b)
1,850‌
786‌
Brazilian
Government
International
Bond
2.88%,
06/06/2025
1,675‌
1,697‌
Colombia
Government
International
Bond
3.88%,
04/25/2027
3,800‌
4,127‌
4.50%,
03/15/2029
575‌
653‌
Dominican
Republic
International
Bond
5.50%,
01/27/2025
2,225‌
2,311‌
5.95%,
01/25/2027
1,175‌
1,247‌
Ghana
Government
International
Bond
8.13%,
01/18/2026
2,175‌
2,185‌
Hungary
Government
International
Bond
6.38%,
03/29/2021
5,000‌
5,185‌
Indonesia
Treasury
Bond
7.00%,
09/15/2030
IDR
110,950,000‌
7,698‌
Israel
Government
International
Bond
2.75%,
07/03/2030
$
3,700‌
4,088‌
3.88%,
07/03/2050
1,975‌
2,458‌
4.50%,
04/03/2120
1,325‌
1,927‌
Ivory
Coast
Government
International
Bond
5.25%,
03/22/2030
EUR
1,950‌
2,120‌
Malaysia
Government
Bond
4.07%,
06/15/2050
MYR
5,900‌
1,520‌
Mexican
Bonos
5.75%,
03/05/2026
MXN
47,900‌
2,211‌
7.75%,
11/13/2042
46,300‌
2,318‌
Mexico
Government
International
Bond
4.75%,
04/27/2032
$
2,900‌
3,323‌
Peru
Government
Bond
6.15%,
08/12/2032
(d)
PEN
15,150‌
5,087‌
Peruvian
Government
International
Bond
6.35%,
08/12/2028
16,700‌
5,801‌
Qatar
Government
International
Bond
3.40%,
04/16/2025
(d)
$
2,250‌
2,481‌
3.75%,
04/16/2030
(d)
1,875‌
2,203‌
4.40%,
04/16/2050
(d)
1,500‌
2,036‌
Republic
of
Belarus
Ministry
of
Finance
5.88%,
02/24/2026
(d)
1,225‌
1,185‌
Republic
of
Poland
Government
International
Bond
5.13%,
04/21/2021
5,000‌
5,176‌
Republic
of
South
Africa
Government
Bond
8.88%,
02/28/2035
ZAR
121,700‌
6,089‌
Romanian
Government
International
Bond
2.00%,
01/28/2032
EUR
2,875‌
3,230‌
2.12%,
07/16/2031
1,900‌
2,183‌
3.62%,
05/26/2030
(d)
1,200‌
1,563‌
3.88%,
10/29/2035
1,575‌
2,055‌
Schedule
of
Investments
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
33
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Sovereign
(continued)
Russian
Federal
Bond
-
OFZ
7.25%,
05/10/2034
RUB
375,500‌
$
5,609‌
Serbia
International
Bond
3.13%,
05/15/2027
(d)
EUR
3,425‌
4,292‌
Sri
Lanka
Government
International
Bond
6.85%,
11/03/2025
$
3,975‌
3,041‌
Ukraine
Government
International
Bond
0.00%,
05/31/2040
(b),(f)
3,670‌
3,219‌
4.38%,
01/27/2030
(d)
EUR
1,150‌
1,136‌
7.25%,
03/15/2033
(d)
$
2,350‌
2,268‌
7.75%,
09/01/2023
2,800‌
2,905‌
Zambia
Government
International
Bond
5.38%,
09/20/2022
1,475‌
826‌
8.50%,
04/14/2024
2,750‌
1,539‌
8.97%,
07/30/2027
1,475‌
834‌
$
121,940‌
Supranational
Bank
-
0.65%
Eastern
&
Southern
African
Trade
&
Development
Bank
4.88%,
05/23/2024
1,450‌
1,465‌
Telecommunications
-
2.90%
C&W
Senior
Financing
DAC
7.50%,
10/15/2026
(d)
900‌
958‌
7.50%,
10/15/2026
1,425‌
1,518‌
MTN
Mauritius
Investments
Ltd
5.37%,
02/13/2022
3,995‌
4,082‌
$
6,558‌
TOTAL
BONDS
$
196,797‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
2.24%
Principal
Amount
(000's)
Value
(000's)
U.S.
Treasury
-
2.24%
1.13%,
02/28/2022
$
5,000‌
$
5,079‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
5,079‌
Total
Investments
$
211,146‌
Other
Assets
and
Liabilities
-  6.68%
15,123‌
TOTAL
NET
ASSETS
-
100.00%
$
226,269‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$56,211
or
24.84%
of
net
assets.
(e)
Security
purchased
on
a
when-issued
basis.
(f)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
Portfolio
Summary  (unaudited)
Location
Percent
Cayman
Islands
6.35‌%
United
States
6.34‌%
Indonesia
5.57‌%
Mexico
5.53‌%
Peru
4.81‌%
India
4.43‌%
Ukraine
4.20‌%
Romania
3.99‌%
Israel
3.75‌%
United
Kingdom
3.26‌%
Qatar
2.97‌%
Mauritius
2.95‌%
South
Africa
2.69‌%
United
Arab
Emirates
2.60‌%
Russian
Federation
2.48‌%
Canada
2.43‌%
Bermuda
2.34‌%
Netherlands
2.30‌%
Poland
2.29‌%
Hungary
2.29‌%
Colombia
2.11‌%
Serbia
1.90‌%
Virgin
Islands,
British
1.69‌%
Dominican
Republic
1.57‌%
Malaysia
1.48‌%
Zambia
1.42‌%
Azerbaijan
1.34‌%
Sri
Lanka
1.34‌%
Ireland
1.09‌%
Argentina
1.07‌%
Ghana
0.97‌%
Cote
d'Ivoire
0.94‌%
Austria
0.91‌%
Brazil
0.75‌%
Supranational
0.65‌%
Belarus
0.52‌%
Other
Assets
and
Liabilities
6.68‌%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
—‌
$
124,396‌
$
115,126‌
$
9,270‌
$
—‌
$
124,396‌
$
115,126‌
$
9,270‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
—‌
$
—‌
$
—‌
$
—‌
$
—‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
34
Foreign
Currency
Contracts
Unrealized
Appreciation/(Depreciation)
Counterparty
Settlement
Date
Currency
to
Accept
Currency
to
Deliver
Asset
Liability
Citigroup
Inc
08/17/2020
$
53‌
EUR
46‌
$
—‌
$
(1‌)
HSBC
Securities
Inc
08/14/2020
BRL
36,150‌
$
6,717‌
210‌
—‌
HSBC
Securities
Inc
08/14/2020
$
4,532‌
BRL
23,400‌
48‌
—‌
HSBC
Securities
Inc
08/14/2020
$
4,468‌
CLP
3,550,000‌
—‌
(222‌)
HSBC
Securities
Inc
08/14/2020
CLP
3,550,000‌
$
4,526‌
164‌
—‌
HSBC
Securities
Inc
08/14/2020
PEN
19,250‌
$
5,490‌
—‌
(42‌)
HSBC
Securities
Inc
08/14/2020
$
5,421‌
PEN
19,250‌
—‌
(27‌)
HSBC
Securities
Inc
08/14/2020
RUB
612,700‌
$
8,511‌
—‌
(267‌)
HSBC
Securities
Inc
08/14/2020
$
17,571‌
RUB
1,273,500‌
436‌
—‌
HSBC
Securities
Inc
08/14/2020
$
2,301‌
ZAR
38,200‌
68‌
—‌
HSBC
Securities
Inc
08/14/2020
$
4,218‌
TRY
29,500‌
33‌
—‌
HSBC
Securities
Inc
08/17/2020
$
9,519‌
EUR
8,359‌
—‌
(330‌)
JPMorgan
Chase
08/14/2020
$
2,271‌
BRL
11,900‌
—‌
(9‌)
JPMorgan
Chase
08/14/2020
BRL
11,700‌
$
2,270‌
—‌
(28‌)
JPMorgan
Chase
08/14/2020
BRL
12,100‌
$
2,304‌
15‌
—‌
JPMorgan
Chase
08/14/2020
CZK
104,400‌
$
4,504‌
184‌
—‌
JPMorgan
Chase
08/14/2020
MXN
101,500‌
$
4,532‌
23‌
—‌
JPMorgan
Chase
08/14/2020
$
4,641‌
MXN
102,600‌
36‌
—‌
JPMorgan
Chase
08/14/2020
$
4,484‌
MXN
101,500‌
—‌
(71‌)
JPMorgan
Chase
08/14/2020
PLN
17,400‌
$
4,478‌
169‌
—‌
JPMorgan
Chase
08/14/2020
RUB
238,600‌
$
3,359‌
—‌
(149‌)
JPMorgan
Chase
08/14/2020
$
8,957‌
ZAR
154,132‌
—‌
(51‌)
JPMorgan
Chase
08/14/2020
$
2,293‌
ZAR
38,500‌
43‌
—‌
JPMorgan
Chase
08/14/2020
ZAR
47,100‌
$
2,856‌
—‌
(103‌)
JPMorgan
Chase
08/14/2020
TRY
2,500‌
$
364‌
—‌
(9‌)
JPMorgan
Chase
08/14/2020
$
4,444‌
TRY
31,100‌
32‌
—‌
JPMorgan
Chase
08/17/2020
EUR
1,837‌
$
2,159‌
5‌
—‌
Total
$
1,466‌
$
(1,309‌)
Amounts
in
thousands.
Credit
Default
Swaps
Buy
Protection
Counterparty
Reference
Entity
Implied
Credit
Spread
as
of
July
31,
2020
(a)
(Pay)/
Receive
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
Upfront
Payments/
(Receipts)
Unrealized
Appreciation/
(Depreciation)
Fair
Value
Asset
----
Liability
Barclays
Bank
PLC
CDX.33.EM.100
N/A
(1.00)%
Quarterly
06/20/2025
$
998‌
$
96‌
$
(54‌)
$
42‌
$
—‌
Barclays
Bank
PLC
CDX.33.EM.100
N/A
(1.00)%
Quarterly
06/20/2025
618‌
60‌
(34‌)
26‌
—‌
Barclays
Bank
PLC
CDX.33.EM.100
N/A
(1.00)%
Quarterly
06/20/2025
95‌
10‌
(6‌)
4‌
—‌
Barclays
Bank
PLC
CDX.33.EM.100
N/A
(1.00)%
Quarterly
06/20/2025
4,370‌
323‌
(138‌)
185‌
—‌
Barclays
Bank
PLC
Republic
of
South
Africa,
5.87%,
09/16/2025
3.10%
(1.00)%
Quarterly
06/20/2025
3,750‌
311‌
45‌
356‌
—‌
Citigroup
Inc
CDX.33.EM.100
N/A
(1.00)%
Quarterly
06/20/2025
2,803‌
282‌
(163‌)
119‌
—‌
JPMorgan
Chase
Republic
of
South
Africa,
5.87%,
09/16/2025
3.10%
(1.00)%
Quarterly
06/20/2025
1,700‌
143‌
19‌
162‌
—‌
JPMorgan
Chase
Republic
of
South
Africa,
5.87%,
09/16/2025
3.10%
(1.00)%
Quarterly
06/20/2025
750‌
73‌
(2‌)
71‌
—‌
Total
$
1,298‌
$
(333‌)
$
965‌
$
—‌
Amounts
in
thousands.
(a)
Implied
credit
spreads,
represented
in
absolute
terms,
used
in
determining
the
market
value
of
credit
default
swap
agreements
on
corporate
issues
or
sovereign
issues
as
of
period
end
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
likelihood
or
risk
of
default
for
the
credit
derivative.
The
implied
credit
spread
of
a
particular
referenced
entity
reflects
the
cost
of
buying/selling
protection
and
may
include
upfront
payments
required
to
be
made
to
enter
into
the
agreement.
Wider
credit
spreads
represent
a
deterioration
of
the
referenced
entity's
credit
soundness
and
a
greater
likelihood
or
risk
of
default
or
other
credit
event
occurring
as
defined
under
the
terms
of
the
agreement.
Schedule
of
Investments
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
35
Interest
Rate
Swaps
Counterparty
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
Asset
Liability
JPMorgan
Chase
Brazil
Cetip
DI
Interbank
Deposit
Rate
Receive
3.03%
Annual
Annual
N/A
01/03/2022
BRL
321,000‌
$
(351‌)
$
—‌
$
—‌
$
(351‌)
JPMorgan
Chase
Brazil
Cetip
DI
Interbank
Deposit
Rate
Pay
5.46%
Annual
Annual
N/A
01/02/2025
128,500‌
487‌
—‌
487‌
—‌
Total
$
136‌
$
—‌
$
487‌
$
(351‌)
Amounts
in
thousands.
Exchange
Cleared
Interest
Rate
Swaps
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
6
Month
Warsaw
Interbank
Offered
Rate
Pay
1.85%
Semiannual
Annual
N/A
01/28/2022
PLN
243,050‌
$
1,477‌
$
106‌
$
1,583‌
6
Month
Warsaw
Interbank
Offered
Rate
Receive
2.02%
Annual
Semiannual
N/A
01/28/2030
51,650‌
(1,469‌)
(107‌)
(1,576‌)
6
Month
Warsaw
Interbank
Offered
Rate
Receive
1.85%
Annual
Semiannual
N/A
01/28/2022
19,000‌
(113‌)
(11‌)
(124‌)
6
Month
Warsaw
Interbank
Offered
Rate
Pay
2.02%
Semiannual
Annual
N/A
01/28/2030
4,000‌
111‌
11‌
122‌
6
Month
Warsaw
Interbank
Offered
Rate
Receive
1.85%
Annual
Semiannual
N/A
01/28/2022
110,000‌
(687‌)
(29‌)
(716‌)
6
Month
Warsaw
Interbank
Offered
Rate
Pay
2.02%
Semiannual
Annual
N/A
01/28/2030
24,000‌
762‌
(30‌)
732‌
China
Foreign
Exchange
Trade
System
Fixing
Repo
Rates
7
Day
Pay
2.26%
Annual
Annual
N/A
06/11/2025
$
150,000‌
(249‌)
1‌
(248‌)
China
Foreign
Exchange
Trade
System
Fixing
Repo
Rates
7
Day
Pay
2.26%
Annual
Annual
N/A
06/11/2025
77,000‌
29‌
(180‌)
(151‌)
Total
$
(139‌)
$
(239‌)
$
(378‌)
Amounts
in
thousands.
(a)    
Forward
swap.
Total
Return
Swaps
Counterparty
Reference
Entity
Contracts
Pay/Receive
Positive
Return
Financing
Rate
Payment
Frequency
Expiration
Date
Notional
Amount
Upfront
Payments/
(Receipts)
Value
and
Unrealized
Appreciation/
(Depreciation)
Asset
----
Liability
HSBC
Securities
Inc
Egypt
Treasury
Bills,
0.00%,
10/06/2020
33,450,000
Receive
3
Month
USD
LIBOR
+
0.90%
Annual
10/07/2020
$
2,038‌
$
—‌
$
9‌
$
—‌
HSBC
Securities
Inc
Egypt
Treasury
Bills,
0.00%,
10/13/2020
33,450,000
Receive
3
Month
USD
LIBOR
+
0.90%
Quarterly
10/14/2020
2,033‌
—‌
7‌
—‌
HSBC
Securities
Inc
Egypt
Treasury
Bills,
0.00%,
10/13/2020
50,150,000
Receive
3
Month
USD
LIBOR
+
0.80%
Quarterly
10/14/2020
3,055‌
—‌
4‌
—‌
Total
$
—‌
$
20‌
$
—‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
36
INVESTMENT
COMPANIES
-
2.76%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.19%
Invesco
Preferred
ETF
81,179‌
$
1,195‌
iShares
Preferred
&
Income
Securities
ETF
(a)
47,641‌
1,724‌
SPDR
Bloomberg
Barclays
High
Yield
Bond
ETF
23,650‌
2,509‌
WisdomTree
Trust
-
WisdomTree
International
High
Dividend
Fund
ETP
96,390‌
3,201‌
WisdomTree
US
High
Dividend
Fund
ETP
27,776‌
1,767‌
$
10,396‌
Money
Market
Funds
-
2.57%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(b),(c)
3,538,332‌
3,538‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(b),(c),(d),(e)
133,958,984‌
133,959‌
$
137,497‌
TOTAL
INVESTMENT
COMPANIES
$
147,893‌
COMMON
STOCKS
-
19.69%
Shares
Held
Value
(000's)
Advertising
-
0.06%
Interpublic
Group
of
Cos
Inc
/The
109,438‌
$
1,975‌
Publicis
Groupe
SA
38,353‌
1,227‌
$
3,202‌
Aerospace
&
Defense
-
0.08%
CAE
Inc
50,500‌
754‌
Elbit
Systems
Ltd
347‌
49‌
HEICO
Corp
8,719‌
837‌
HEICO
Corp
-
Class
A
987‌
76‌
Hexcel
Corp
8,203‌
306‌
Meggitt
PLC
289,317‌
1,011‌
MTU
Aero
Engines
AG
1,305‌
226‌
Spirit
AeroSystems
Holdings
Inc
8,925‌
175‌
TransDigm
Group
Inc
1,936‌
836‌
$
4,270‌
Agriculture
-
0.06%
Imperial
Brands
PLC
117,408‌
1,956‌
Japan
Tobacco
Inc
63,900‌
1,092‌
$
3,048‌
Airlines
-
0.06%
Alaska
Air
Group
Inc
29,094‌
1,002‌
Delta
Air
Lines
Inc
38,062‌
951‌
Japan
Airlines
Co
Ltd
29,100‌
471‌
Qantas
Airways
Ltd
209,091‌
479‌
Southwest
Airlines
Co
17,052‌
527‌
$
3,430‌
Apparel
-
0.11%
Adidas
AG
(e)
1,192‌
329‌
Carter's
Inc
12,423‌
978‌
Gildan
Activewear
Inc
31,900‌
566‌
Hanesbrands
Inc
178,030‌
2,515‌
Ralph
Lauren
Corp
19,224‌
1,371‌
Tapestry
Inc
30,181‌
403‌
$
6,162‌
Automobile
Manufacturers
-
0.10%
Cummins
Inc
11,532‌
2,229‌
Fiat
Chrysler
Automobiles
NV
(e)
113,849‌
1,157‌
Peugeot
SA
(e)
56,347‌
906‌
Volvo
AB
-
B
Shares
(e)
67,968‌
1,174‌
$
5,466‌
Automobile
Parts
&
Equipment
-
0.24%
Allison
Transmission
Holdings
Inc
18,920‌
707‌
BorgWarner
Inc
35,411‌
1,296‌
Cie
Generale
des
Etablissements
Michelin
SCA
8,852‌
917‌
Continental
AG
10,188‌
984‌
Denso
Corp
26,500‌
980‌
Faurecia
SE
(e)
16,559‌
640‌
Goodyear
Tire
&
Rubber
Co/The
354,902‌
3,198‌
Koito
Manufacturing
Co
Ltd
10,900‌
427‌
Lear
Corp
12,701‌
1,402‌
Magna
International
Inc
24,800‌
1,146‌
Toyota
Industries
Corp
9,300‌
472‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Automobile
Parts
&
Equipment
(continued)
Yokohama
Rubber
Co
Ltd/The
39,400‌
$
504‌
$
12,673‌
Banks
-
1.04%
AIB
Group
PLC
(a)
854,965‌
1,072‌
Associated
Banc-Corp
127,023‌
1,631‌
Bank
Hapoalim
BM
15,503‌
94‌
Bank
Leumi
Le-Israel
BM
20,213‌
102‌
Bank
of
America
Corp
42,255‌
1,051‌
Bank
of
Ireland
Group
PLC
(e)
314,465‌
653‌
Bank
of
New
York
Mellon
Corp/The
39,520‌
1,417‌
Bank
OZK
79,060‌
1,901‌
Bankinter
SA
185,169‌
963‌
BankUnited
Inc
49,521‌
997‌
Cathay
General
Bancorp
30,585‌
740‌
Chiba
Bank
Ltd/The
107,300‌
492‌
Citizens
Financial
Group
Inc
113,332‌
2,811‌
Comerica
Inc
66,016‌
2,543‌
Credicorp
Ltd
5,509‌
701‌
Credit
Agricole
SA
(e)
130,707‌
1,258‌
Cullen/Frost
Bankers
Inc
17,923‌
1,291‌
DBS
Group
Holdings
Ltd
25,600‌
370‌
DNB
ASA
(e)
19,593‌
301‌
East
West
Bancorp
Inc
38,111‌
1,321‌
First
Citizens
BancShares
Inc
/NC
406‌
173‌
First
Horizon
National
Corp
163,920‌
1,520‌
Fukuoka
Financial
Group
Inc
59,800‌
870‌
Goldman
Sachs
Group
Inc
/The
5,935‌
1,175‌
ICICI
Bank
Ltd
ADR
(e)
79,961‌
751‌
ING
Groep
NV
203,102‌
1,416‌
Israel
Discount
Bank
Ltd
15,896‌
49‌
KeyCorp
138,149‌
1,659‌
M&T
Bank
Corp
11,087‌
1,175‌
Macquarie
Group
Ltd
5,524‌
485‌
Mediobanca
Banca
di
Credito
Finanziario
SpA
126,137‌
1,019‌
Mizrahi
Tefahot
Bank
Ltd
1,985‌
42‌
Morgan
Stanley
34,619‌
1,692‌
Northern
Trust
Corp
17,544‌
1,375‌
Oversea-Chinese
Banking
Corp
Ltd
42,500‌
266‌
PacWest
Bancorp
21,219‌
388‌
Paragon
Banking
Group
PLC
266,465‌
1,092‌
Pinnacle
Financial
Partners
Inc
12,005‌
476‌
PNC
Financial
Services
Group
Inc
/The
14,321‌
1,528‌
PT
Bank
Central
Asia
Tbk
244,500‌
524‌
Regions
Financial
Corp
280,139‌
3,042‌
Resona
Holdings
Inc
279,700‌
917‌
Signature
Bank/New
York
NY
7,444‌
763‌
State
Street
Corp
22,190‌
1,415‌
Synovus
Financial
Corp
74,110‌
1,493‌
TCF
Financial
Corp
41,388‌
1,138‌
Toronto-Dominion
Bank/The
29,400‌
1,301‌
UBS
Group
AG
(e)
263,106‌
3,100‌
United
Overseas
Bank
Ltd
20,900‌
294‌
Western
Alliance
Bancorp
18,391‌
661‌
Zions
Bancorp
NA
64,371‌
2,090‌
$
55,598‌
Beverages
-
0.05%
Asahi
Group
Holdings
Ltd
11,100‌
362‌
Carlsberg
AS
4,229‌
625‌
Coca-Cola
Amatil
Ltd
90,970‌
531‌
Coca-Cola
European
Partners
PLC
4,119‌
170‌
Kirin
Holdings
Co
Ltd
28,300‌
545‌
Treasury
Wine
Estates
Ltd
79,883‌
613‌
$
2,846‌
Biotechnology
-
0.02%
Mirati
Therapeutics
Inc
(e)
9,095‌
1,103‌
Building
Materials
-
0.19%
AGC
Inc
/Japan
23,800‌
669‌
Buzzi
Unicem
SpA
62,243‌
1,416‌
China
Lesso
Group
Holdings
Ltd
490,000‌
948‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
37
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Building
Materials
(continued)
Fletcher
Building
Ltd
11,698‌
$
26‌
Ibstock
PLC
(f)
332,483‌
688‌
Lennox
International
Inc
2,949‌
791‌
Martin
Marietta
Materials
Inc
5,976‌
1,238‌
Masco
Corp
44,097‌
2,521‌
Vulcan
Materials
Co
10,795‌
1,268‌
Xinyi
Glass
Holdings
Ltd
358,000‌
525‌
$
10,090‌
Chemicals
-
0.33%
Arkema
SA
20,381‌
2,121‌
BASF
SE
25,147‌
1,387‌
Brenntag
AG
16,274‌
1,004‌
Celanese
Corp
14,667‌
1,426‌
CF
Industries
Holdings
Inc
45,930‌
1,439‌
Denka
Co
Ltd
36,100‌
868‌
Eastman
Chemical
Co
34,628‌
2,584‌
EMS-
Chemie
Holding
AG
2,633‌
2,274‌
ICL
Group
Ltd
9,934‌
31‌
Lintec
Corp
60,200‌
1,405‌
Nissan
Chemical
Corp
7,700‌
408‌
PPG
Industries
Inc
9,571‌
1,030‌
Showa
Denko
KK
45,500‌
943‌
Sumitomo
Bakelite
Co
Ltd
26,800‌
650‌
$
17,570‌
Commercial
Services
-
0.40%
Adecco
Group
AG
39,999‌
1,890‌
ADT
Inc
178,347‌
1,536‌
Ashtead
Group
PLC
56,260‌
1,792‌
ATD
New
Holdings
Inc
(e),(g),(h)
385,347‌
6,304‌
Cengage
Learning
Holdings
II
Inc
(e)
34,465‌
86‌
Global
Payments
Inc
350‌
62‌
H&R
Block
Inc
121,735‌
1,765‌
ManpowerGroup
Inc
19,652‌
1,352‌
Persol
Holdings
Co
Ltd
27,600‌
349‌
QinetiQ
Group
PLC
277,616‌
1,111‌
Randstad
NV
23,031‌
1,109‌
Robert
Half
International
Inc
25,979‌
1,322‌
Sabre
Corp
157,136‌
1,188‌
SGS
SA
576‌
1,509‌
Sohgo
Security
Services
Co
Ltd
5,300‌
250‌
$
21,625‌
Computers
-
0.16%
Appen
Ltd
18,878‌
481‌
Atos
SE
(e)
8,315‌
711‌
DXC
Technology
Co
73,359‌
1,314‌
Fujitsu
Ltd
2,400‌
321‌
HP
Inc
79,039‌
1,389‌
NetApp
Inc
43,837‌
1,942‌
Nomura
Research
Institute
Ltd
10,300‌
272‌
Obic
Co
Ltd
8,000‌
1,435‌
Wiwynn
Corp
36,000‌
965‌
$
8,830‌
Consumer
Products
-
0.01%
Henkel
AG
&
Co
KGaA
6,863‌
596‌
Cosmetics
&
Personal
Care
-
0.01%
Kao
Corp
4,000‌
290‌
Distribution
&
Wholesale
-
0.12%
Bunzl
PLC
19,842‌
569‌
Fastenal
Co
36,348‌
1,710‌
ITOCHU
Corp
27,700‌
607‌
Marubeni
Corp
127,900‌
589‌
Mitsubishi
Corp
33,600‌
677‌
Seven
Group
Holdings
Ltd
(a)
54,311‌
657‌
Toromont
Industries
Ltd
16,200‌
883‌
Toyota
Tsusho
Corp
19,600‌
497‌
$
6,189‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Diversified
Financial
Services
-
0.38%
Alliance
Data
Systems
Corp
17,757‌
$
788‌
Ameriprise
Financial
Inc
10,111‌
1,553‌
Charles
Schwab
Corp/The
21,604‌
716‌
Discover
Financial
Services
20,789‌
1,028‌
Eaton
Vance
Corp
43,523‌
1,573‌
Evercore
Inc
-
Class
A
27,177‌
1,503‌
Hana
Financial
Group
Inc
20,823‌
517‌
Jefferies
Financial
Group
Inc
70,288‌
1,139‌
Mastercard
Inc
858‌
265‌
Mebuki
Financial
Group
Inc
819,400‌
1,823‌
Navient
Corp
263,972‌
2,101‌
Nomura
Holdings
Inc
149,100‌
702‌
Omni
Bridgeway
Ltd
309,272‌
1,012‌
OneMain
Holdings
Inc
41,581‌
1,193‌
ORIX
Corp
50,900‌
550‌
Raymond
James
Financial
Inc
10,327‌
717‌
SBI
Holdings
Inc
/Japan
40,100‌
844‌
Synchrony
Financial
53,428‌
1,182‌
Tisco
Financial
Group
PCL
268,000‌
560‌
Visa
Inc
1,736‌
331‌
$
20,097‌
Electric
-
3.73%
AGL
Energy
Ltd
77,500‌
918‌
Alliant
Energy
Corp
333,206‌
17,943‌
Ameren
Corp
11,767‌
944‌
CMS
Energy
Corp
287,209‌
18,433‌
Duke
Energy
Corp
76,000‌
6,440‌
Edison
International
317,738‌
17,689‌
Emera
Inc
(a)
184,000‌
7,658‌
Enel
SpA
675,000‌
6,183‌
Entergy
Corp
12,530‌
1,317‌
Eversource
Energy
206,320‌
18,583‌
FirstEnergy
Corp
18,108‌
525‌
Fortis
Inc
/Canada
441,500‌
17,980‌
Hera
SpA
220,004‌
846‌
Mercury
NZ
Ltd
9,331‌
29‌
Meridian
Energy
Ltd
17,003‌
55‌
NextEra
Energy
Inc
64,350‌
18,063‌
Orsted
A/S
(f)
38,000‌
5,434‌
PG&E
Corp
(e)
350,000‌
3,273‌
PNM
Resources
Inc
24,154‌
1,020‌
Portland
General
Electric
Co
20,528‌
906‌
Public
Service
Enterprise
Group
Inc
379,952‌
21,255‌
Sempra
Energy
54,800‌
6,821‌
WEC
Energy
Group
Inc
149,090‌
14,202‌
Xcel
Energy
Inc
196,520‌
13,568‌
$
200,085‌
Electrical
Components
&
Equipment
-
0.03%
Acuity
Brands
Inc
2,546‌
253‌
AMETEK
Inc
10,126‌
944‌
Brother
Industries
Ltd
30,900‌
481‌
$
1,678‌
Electronics
-
0.20%
Assa
Abloy
AB
11,405‌
252‌
Avnet
Inc
45,300‌
1,210‌
FLEXium
Interconnect
Inc
195,000‌
944‌
FLIR
Systems
Inc
19,596‌
816‌
Gentex
Corp
95,678‌
2,583‌
ITEQ
Corp
161,063‌
735‌
Mycronic
AB
69,699‌
1,327‌
Roper
Technologies
Inc
2,086‌
902‌
Taiwan
Union
Technology
Corp
189,000‌
876‌
Yageo
Corp
64,000‌
850‌
$
10,495‌
Engineering
&
Construction
-
0.19%
ACS
Actividades
de
Construccion
y
Servicios
SA
84,975‌
1,971‌
Auckland
International
Airport
Ltd
150,945‌
644‌
CIMIC
Group
Ltd
70,654‌
1,087‌
Eiffage
SA
(e)
8,259‌
722‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
38
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Engineering
&
Construction
(continued)
Frontken
Corp
Bhd
1,110,600‌
$
927‌
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
123,100‌
829‌
HOCHTIEF
AG
13,939‌
1,138‌
Kyowa
Exeo
Corp
20,700‌
489‌
SATS
Ltd
233,300‌
468‌
SPIE
SA
67,870‌
1,105‌
Sydney
Airport
147,730‌
553‌
$
9,933‌
Entertainment
-
0.06%
Aristocrat
Leisure
Ltd
13,068‌
245‌
Genting
Singapore
Ltd
527,000‌
283‌
GVC
Holdings
PLC
215,636‌
1,866‌
Vail
Resorts
Inc
4,778‌
917‌
$
3,311‌
Food
-
0.09%
Calbee
Inc
12,000‌
381‌
Dairy
Farm
International
Holdings
Ltd
5,962‌
26‌
Empire
Co
Ltd
24,800‌
637‌
Jardine
Strategic
Holdings
Ltd
3,798‌
76‌
Koninklijke
Ahold
Delhaize
NV
49,351‌
1,421‌
METRO
AG
140,949‌
1,286‌
Seven
&
i
Holdings
Co
Ltd
13,300‌
402‌
Sonae
SGPS
SA
761,997‌
533‌
$
4,762‌
Forest
Products
&
Paper
-
0.15%
Domtar
Corp
113,109‌
2,374‌
International
Paper
Co
76,619‌
2,666‌
Oji
Holdings
Corp
93,400‌
392‌
Stora
Enso
Oyj
96,493‌
1,210‌
West
Fraser
Timber
Co
Ltd
25,800‌
1,277‌
$
7,919‌
Gas
-
1.47%
Atmos
Energy
Corp
198,323‌
21,020‌
Naturgy
Energy
Group
SA
54,206‌
1,009‌
New
Jersey
Resources
Corp
488,988‌
15,188‌
NiSource
Inc
1,002,447‌
24,510‌
Southwest
Gas
Holdings
Inc
247,442‌
17,232‌
$
78,959‌
Hand
&
Machine
Tools
-
0.08%
Amada
Co
Ltd
91,700‌
616‌
Lincoln
Electric
Holdings
Inc
14,727‌
1,331‌
Snap-on
Inc
10,078‌
1,470‌
Techtronic
Industries
Co
Ltd
97,000‌
1,015‌
$
4,432‌
Healthcare
-
Products
-
0.04%
Carl
Zeiss
Meditec
AG
10,746‌
1,125‌
Fisher
&
Paykel
Healthcare
Corp
Ltd
7,619‌
183‌
Olympus
Corp
3,300‌
59‌
STERIS
PLC
6,397‌
1,021‌
$
2,388‌
Healthcare
-
Services
-
0.09%
Encompass
Health
Corp
16,539‌
1,126‌
Fresenius
SE
&
Co
KGaA
9,848‌
491‌
Humana
Inc
1,121‌
440‌
NMC
Health
PLC
(e),(g),(h)
9,858‌
—‌
Quest
Diagnostics
Inc
10,943‌
1,390‌
Ryman
Healthcare
Ltd
5,389‌
48‌
UnitedHealth
Group
Inc
3,316‌
1,004‌
Universal
Health
Services
Inc
2,380‌
262‌
$
4,761‌
Holding
Companies
-
Diversified
-
0.02%
CK
Hutchison
Holdings
Ltd
80,000‌
522‌
Jardine
Matheson
Holdings
Ltd
3,805‌
156‌
Swire
Pacific
Ltd
73,000‌
359‌
$
1,037‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Builders
-
0.13%
Daiwa
House
Industry
Co
Ltd
25,500‌
$
563‌
DR
Horton
Inc
11,900‌
787‌
Persimmon
PLC
49,495‌
1,545‌
PulteGroup
Inc
55,510‌
2,420‌
Sekisui
Chemical
Co
Ltd
34,000‌
463‌
Taylor
Wimpey
PLC
256,738‌
396‌
Toll
Brothers
Inc
22,484‌
859‌
$
7,033‌
Home
Furnishings
-
0.02%
Hoshizaki
Corp
2,500‌
190‌
SEB
SA
3,347‌
553‌
Sony
Corp
1,800‌
140‌
Targus
Group
International
Inc
(e),(g),(h)
75,880‌
4‌
$
887‌
Insurance
-
0.62%
Ageas
SA/NV
19,440‌
728‌
Allstate
Corp/The
9,583‌
905‌
American
Financial
Group
Inc
/OH
14,463‌
879‌
Arthur
J
Gallagher
&
Co
16,084‌
1,729‌
ASR
Nederland
NV
44,899‌
1,451‌
Assurant
Inc
8,692‌
934‌
Aviva
PLC
337,732‌
1,161‌
Dai-ichi
Life
Holdings
Inc
50,800‌
599‌
Fidelity
National
Financial
Inc
49,983‌
1,617‌
First
American
Financial
Corp
26,789‌
1,367‌
Hannover
Rueck
SE
5,375‌
909‌
Hanover
Insurance
Group
Inc
/The
9,432‌
961‌
Hartford
Financial
Services
Group
Inc
/The
25,523‌
1,080‌
iA
Financial
Corp
Inc
21,300‌
748‌
Manulife
Financial
Corp
95,200‌
1,276‌
Mercury
General
Corp
69,658‌
2,989‌
MGIC
Investment
Corp
64,686‌
535‌
NN
Group
NV
71,169‌
2,605‌
Power
Corp
of
Canada
85,500‌
1,517‌
Primerica
Inc
5,960‌
713‌
Progressive
Corp/The
3,878‌
350‌
Prudential
Financial
Inc
37,450‌
2,373‌
Reinsurance
Group
of
America
Inc
9,429‌
804‌
Swiss
Life
Holding
AG
2,451‌
896‌
T&D
Holdings
Inc
73,900‌
608‌
Travelers
Cos
Inc
/The
11,703‌
1,339‌
Unum
Group
104,338‌
1,798‌
Voya
Financial
Inc
8,622‌
426‌
$
33,297‌
Internet
-
0.08%
CDW
Corp/DE
5,392‌
627‌
E*TRADE
Financial
Corp
13,883‌
705‌
Expedia
Group
Inc
7,049‌
571‌
Kakaku.com
Inc
13,300‌
321‌
TD
Ameritrade
Holding
Corp
35,569‌
1,276‌
VeriSign
Inc
(e)
3,816‌
808‌
$
4,308‌
Investment
Companies
-
0.01%
EXOR
NV
2,325‌
131‌
Wendel
SE
5,064‌
475‌
$
606‌
Iron
&
Steel
-
0.43%
ArcelorMittal
SA
(e)
20,384‌
226‌
BlueScope
Steel
Ltd
25,628‌
205‌
Fortescue
Metals
Group
Ltd
286,980‌
3,572‌
Nucor
Corp
48,736‌
2,044‌
Reliance
Steel
&
Aluminum
Co
24,680‌
2,425‌
Specialty
Steel
Holdings,
Inc.
(e),(g),(h)
87‌
11,849‌
Steel
Dynamics
Inc
91,330‌
2,504‌
$
22,825‌
Leisure
Products
&
Services
-
0.02%
Yamaha
Motor
Co
Ltd
57,500‌
838‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
39
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Lodging
-
0.03%
Choice
Hotels
International
Inc
4,566‌
$
384‌
City
Developments
Ltd
113,400‌
679‌
Melco
Resorts
&
Entertainment
Ltd
ADR
3,741‌
61‌
NagaCorp
Ltd
430,000‌
460‌
$
1,584‌
Machinery
-
Construction
&
Mining
-
0.04%
Hitachi
Ltd
12,700‌
380‌
Mitsubishi
Electric
Corp
40,200‌
525‌
Oshkosh
Corp
11,380‌
896‌
Sandvik
AB
(e)
25,491‌
476‌
$
2,277‌
Machinery
-
Diversified
-
0.14%
AGCO
Corp
8,960‌
588‌
ANDRITZ
AG
33,676‌
1,131‌
Dover
Corp
16,016‌
1,649‌
GrafTech
International
Ltd
265,601‌
1,612‌
IDEX
Corp
4,756‌
784‌
KION
Group
AG
11,441‌
874‌
Sumitomo
Heavy
Industries
Ltd
40,500‌
789‌
$
7,427‌
Media
-
0.65%
Altice
USA
Inc
(e)
570,022‌
15,385‌
Charter
Communications
Inc
(e)
2,923‌
1,695‌
Cogeco
Communications
Inc
196,700‌
14,994‌
Fox
Corp
-
B
Shares
25,791‌
665‌
Quebecor
Inc
18,600‌
424‌
Sinclair
Broadcast
Group
Inc
(a)
77,232‌
1,591‌
Telenet
Group
Holding
NV
7,432‌
288‌
$
35,042‌
Metal
Fabrication
&
Hardware
-
0.01%
NSK
Ltd
111,100‌
748‌
Mining
-
0.51%
Alumina
Ltd
821,338‌
890‌
Anglo
American
PLC
38,676‌
936‌
Antofagasta
PLC
90,740‌
1,206‌
BHP
Group
Ltd
43,454‌
1,144‌
BHP
Group
PLC
71,902‌
1,555‌
Glencore
PLC
(e)
579,678‌
1,327‌
Impala
Platinum
Holdings
Ltd
115,934‌
1,035‌
Kirkland
Lake
Gold
Ltd
5,600‌
306‌
Lundin
Mining
Corp
180,400‌
1,010‌
Newcrest
Mining
Ltd
12,092‌
308‌
OZ
Minerals
Ltd
131,550‌
1,277‌
Polymetal
International
PLC
42,645‌
1,055‌
Real
Alloy
Holding
Inc
(e),(g),(h)
362‌
12,259‌
Rio
Tinto
Ltd
15,790‌
1,156‌
Rio
Tinto
PLC
27,372‌
1,666‌
$
27,130‌
Miscellaneous
Manufacturers
-
0.06%
A
O
Smith
Corp
30,583‌
1,473‌
Carlisle
Cos
Inc
4,688‌
558‌
Elite
Material
Co
Ltd
140,000‌
846‌
ITT
Inc
8,440‌
487‌
$
3,364‌
Office
&
Business
Equipment
-
0.02%
FUJIFILM
Holdings
Corp
6,000‌
268‌
Sato
Holdings
Corp
35,000‌
727‌
$
995‌
Oil
&
Gas
-
0.55%
Aker
BP
ASA
55,985‌
1,066‌
BP
PLC
283,602‌
1,027‌
Cabot
Oil
&
Gas
Corp
101,848‌
1,905‌
Canadian
Natural
Resources
Ltd
59,300‌
1,046‌
ConocoPhillips
32,156‌
1,202‌
DCC
PLC
14,826‌
1,318‌
ENEOS
Holdings
Inc
222,400‌
780‌
Eni
SpA
149,351‌
1,330‌
EOG
Resources
Inc
14,052‌
658‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Oil
&
Gas
(continued)
Frontera
Energy
Corp
71,984‌
$
151‌
Galp
Energia
SGPS
SA
97,467‌
1,021‌
Helmerich
&
Payne
Inc
23,370‌
417‌
HollyFrontier
Corp
62,356‌
1,715‌
Imperial
Oil
Ltd
46,300‌
724‌
Inpex
Corp
65,300‌
373‌
Kosmos
Energy
Ltd
1,011,019‌
1,628‌
Lundin
Energy
AB
28,946‌
675‌
Marathon
Oil
Corp
107,621‌
591‌
Marathon
Petroleum
Corp
50,181‌
1,917‌
Milagro
Oil
&
Gas
Inc
(e),(g),(h)
1,874‌
191‌
OMV
AG
27,041‌
854‌
Patterson-UTI
Energy
Inc
253,488‌
982‌
Phillips
66
33,400‌
2,071‌
PTT
Exploration
&
Production
PCL
273,900‌
803‌
Royal
Dutch
Shell
PLC
-
A
Shares
72,861‌
1,065‌
Royal
Dutch
Shell
PLC
-
B
Shares
73,033‌
1,025‌
Santos
Ltd
169,764‌
634‌
Suncor
Energy
Inc
57,900‌
911‌
TOTAL
SE
39,074‌
1,479‌
$
29,559‌
Packaging
&
Containers
-
0.07%
DS
Smith
PLC
116,331‌
393‌
Graphic
Packaging
Holding
Co
41,470‌
578‌
Packaging
Corp
of
America
20,004‌
1,923‌
Westrock
Co
41,537‌
1,116‌
$
4,010‌
Pharmaceuticals
-
0.16%
AbbVie
Inc
31,073‌
2,949‌
Alfresa
Holdings
Corp
25,900‌
530‌
Ipsen
SA
6,452‌
619‌
Kyowa
Kirin
Co
Ltd
12,100‌
299‌
Medipal
Holdings
Corp
19,600‌
359‌
Nippon
Shinyaku
Co
Ltd
2,500‌
193‌
Novartis
AG
18,241‌
1,503‌
Ono
Pharmaceutical
Co
Ltd
17,400‌
489‌
Reata
Pharmaceuticals
Inc
(e)
4,618‌
682‌
Shionogi
&
Co
Ltd
5,600‌
333‌
Ship
Healthcare
Holdings
Inc
19,000‌
818‌
$
8,774‌
Pipelines
-
0.02%
ONEOK
Inc
28,861‌
806‌
Private
Equity
-
0.05%
Intermediate
Capital
Group
PLC
63,140‌
1,105‌
KKR
&
Co
Inc
48,123‌
1,702‌
$
2,807‌
Real
Estate
-
0.62%
A-Living
Services
Co
Ltd
(f)
153,500‌
867‌
Azrieli
Group
Ltd
605‌
29‌
CA
Immobilien
Anlagen
AG
30,652‌
961‌
Castellum
AB
90,641‌
1,949‌
CBRE
Group
Inc
(e)
18,095‌
793‌
CK
Asset
Holdings
Ltd
94,000‌
522‌
Daito
Trust
Construction
Co
Ltd
9,700‌
761‌
Echo
Investment
SA
(a)
163,424‌
164‌
Entra
ASA
(f)
49,365‌
697‌
ESR
Cayman
Ltd
(e),(f)
76,800‌
189‌
Fabege
AB
53,377‌
685‌
Hongkong
Land
Holdings
Ltd
20,697‌
79‌
Kerry
Properties
Ltd
317,000‌
754‌
LEG
Immobilien
AG
11,329‌
1,580‌
Midea
Real
Estate
Holding
Ltd
(f)
737,200‌
1,886‌
Mitsubishi
Estate
Co
Ltd
169,900‌
2,441‌
Mitsui
Fudosan
Co
Ltd
52,370‌
819‌
New
World
Development
Co
Ltd
789,395‌
3,854‌
Nomura
Real
Estate
Holdings
Inc
27,300‌
451‌
Sino
Land
Co
Ltd
566,000‌
686‌
Sun
Hung
Kai
Properties
Ltd
248,000‌
3,016‌
Swire
Properties
Ltd
186,000‌
430‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
40
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Real
Estate
(continued)
TAG
Immobilien
AG
(e)
76,124‌
$
2,002‌
UOL
Group
Ltd
201,700‌
977‌
Vonovia
SE
72,900‌
4,712‌
Wihlborgs
Fastigheter
AB
45,578‌
768‌
Zhongliang
Holdings
Group
Co
Ltd
1,945,000‌
1,383‌
$
33,455‌
REITs
-
3.49%
AIMS
APAC
REIT
1,330,890‌
1,171‌
Alexandria
Real
Estate
Equities
Inc
18,976‌
3,369‌
American
Assets
Trust
Inc
13,851‌
374‌
American
Homes
4
Rent
117,388‌
3,404‌
American
Tower
Corp
8,710‌
2,277‌
Americold
Realty
Trust
36,406‌
1,469‌
Apartment
Investment
and
Management
Co
81,584‌
3,167‌
Apple
Hospitality
REIT
Inc
365,338‌
3,222‌
Arena
REIT
568,005‌
911‌
Assura
PLC
643,177‌
663‌
AvalonBay
Communities
Inc
24,778‌
3,794‌
Big
Yellow
Group
PLC
54,637‌
728‌
Blackstone
Mortgage
Trust
Inc
53,344‌
1,284‌
Brandywine
Realty
Trust
316,481‌
3,427‌
British
Land
Co
PLC/The
172,238‌
822‌
Camden
Property
Trust
30,263‌
2,748‌
CareTrust
REIT
Inc
66,289‌
1,195‌
Centuria
Industrial
REIT
162,214‌
379‌
Centuria
Office
REIT
96,669‌
129‌
Charter
Hall
Group
65,101‌
485‌
City
Office
REIT
Inc
41,631‌
360‌
CoreSite
Realty
Corp
78,578‌
10,140‌
Cousins
Properties
Inc
22,969‌
706‌
Covivio
11,082‌
796‌
Cromwell
European
Real
Estate
Investment
Trust
1,575,500‌
802‌
Crown
Castle
International
Corp
2,305‌
384‌
CubeSmart
80,914‌
2,401‌
CyrusOne
Inc
19,580‌
1,633‌
Daiwa
Office
Investment
Corp
185‌
970‌
Dexus
164,129‌
996‌
Dream
Industrial
Real
Estate
Investment
Trust
310,530‌
2,550‌
Duke
Realty
Corp
41,743‌
1,678‌
Equinix
Inc
6,661‌
5,232‌
Essential
Properties
Realty
Trust
Inc
34,572‌
557‌
Essex
Property
Trust
Inc
9,447‌
2,085‌
Far
East
Hospitality
Trust
900,030‌
323‌
First
Industrial
Realty
Trust
Inc
34,383‌
1,510‌
Gecina
SA
7,365‌
955‌
GLP
J-
Reit
(e)
697‌
1,163‌
Goodman
Group
322,682‌
3,923‌
Granite
Real
Estate
Investment
Trust
17,400‌
1,012‌
Healthcare
Trust
of
America
Inc
86,701‌
2,394‌
Healthpeak
Properties
Inc
118,958‌
3,247‌
Highwoods
Properties
Inc
13,280‌
509‌
Host
Hotels
&
Resorts
Inc
198,460‌
2,139‌
Independence
Realty
Trust
Inc
429,199‌
4,936‌
Industrial
&
Infrastructure
Fund
Investment
Corp
932‌
1,753‌
Industrial
Logistics
Properties
Trust
220,946‌
4,664‌
Ingenia
Communities
Group
320,452‌
1,083‌
Inmobiliaria
Colonial
Socimi
SA
89,459‌
767‌
Investec
Australia
Property
Fund
489,868‌
425‌
Invitation
Homes
Inc
184,924‌
5,514‌
Irish
Residential
Properties
REIT
PLC
587,495‌
1,003‌
Japan
Hotel
REIT
Investment
Corp
1,566‌
568‌
Kenedix
Office
Investment
Corp
116‌
631‌
Keppel
DC
REIT
461,400‌
1,003‌
Kilroy
Realty
Corp
16,915‌
986‌
Klepierre
SA
63,674‌
1,103‌
Land
Securities
Group
PLC
91,029‌
686‌
Lendlease
Global
Commercial
REIT
569,700‌
260‌
Link
REIT
274,100‌
2,127‌
Mapletree
Industrial
Trust
362,700‌
867‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Mapletree
Logistics
Trust
1,404,230‌
$
2,188‌
MCUBS
MidCity
Investment
Corp
2,946‌
1,920‌
Merlin
Properties
Socimi
SA
125,207‌
1,036‌
MGM
Growth
Properties
LLC
77,837‌
2,128‌
Minto
Apartment
Real
Estate
Investment
Trust
71,416‌
994‌
Mitsui
Fudosan
Logistics
Park
Inc
450‌
2,456‌
Mori
Hills
REIT
Investment
Corp
462‌
599‌
New
Residential
Investment
Corp
137,016‌
1,087‌
NewRiver
REIT
PLC
333,343‌
266‌
NexPoint
Residential
Trust
Inc
35,484‌
1,357‌
Nippon
Accommodations
Fund
Inc
191‌
1,233‌
Nomura
Real
Estate
Master
Fund
Inc
1,719‌
2,132‌
Northview
Apartment
Real
Estate
Investment
Trust
38,100‌
997‌
NSI
NV
32,140‌
1,144‌
Park
Hotels
&
Resorts
Inc
103,312‌
854‌
Physicians
Realty
Trust
46,467‌
838‌
Primary
Health
Properties
PLC
316,619‌
638‌
Prologis
Inc
116,996‌
12,334‌
Rexford
Industrial
Realty
Inc
32,872‌
1,543‌
Sabra
Health
Care
REIT
Inc
91,706‌
1,352‌
Segro
PLC
211,083‌
2,673‌
Sekisui
House
Reit
Inc
2,643‌
1,729‌
Simon
Property
Group
Inc
37,677‌
2,349‌
STAG
Industrial
Inc
51,711‌
1,686‌
STORE
Capital
Corp
182,851‌
4,332‌
Summit
Industrial
Income
REIT
129,049‌
1,161‌
Sun
Communities
Inc
25,060‌
3,757‌
Taubman
Centers
Inc
7,110‌
275‌
Terreno
Realty
Corp
18,137‌
1,102‌
Tritax
Big
Box
REIT
PLC
807,243‌
1,596‌
UNITE
Group
PLC/The
92,763‌
1,139‌
United
Urban
Investment
Corp
1,717‌
1,670‌
Ventas
Inc
38,189‌
1,465‌
VICI
Properties
Inc
141,655‌
3,075‌
Vicinity
Centres
423,793‌
391‌
Welltower
Inc
60,219‌
3,225‌
Weyerhaeuser
Co
43,937‌
1,222‌
WPT
Industrial
Real
Estate
Investment
Trust
369,998‌
5,013‌
$
186,815‌
Retail
-
0.38%
Alimentation
Couche-Tard
Inc
7,300‌
254‌
Best
Buy
Co
Inc
31,904‌
3,178‌
Canadian
Tire
Corp
Ltd
(a)
11,500‌
1,060‌
China
Meidong
Auto
Holdings
Ltd
216,000‌
604‌
Darden
Restaurants
Inc
5,479‌
416‌
Dufry
AG
(e)
34,258‌
875‌
FamilyMart
Co
Ltd
13,200‌
296‌
Foot
Locker
Inc
60,160‌
1,768‌
Home
Depot
Inc
/The
5,962‌
1,583‌
J
Front
Retailing
Co
Ltd
51,800‌
300‌
Kohl's
Corp
90,939‌
1,731‌
Magazine
Luiza
SA
52,500‌
809‌
Moncler
SpA
(e)
7,140‌
276‌
Pandora
A/S
36,086‌
2,295‌
Penske
Automotive
Group
Inc
39,778‌
1,783‌
Ross
Stores
Inc
4,477‌
401‌
Tractor
Supply
Co
9,299‌
1,327‌
Tsuruha
Holdings
Inc
6,400‌
887‌
USS
Co
Ltd
33,800‌
501‌
$
20,344‌
Savings
&
Loans
-
0.01%
Sterling
Bancorp/DE
52,966‌
596‌
Semiconductors
-
0.28%
Applied
Materials
Inc
12,922‌
831‌
ASPEED
Technology
Inc
9,000‌
359‌
Broadcom
Inc
7,836‌
2,482‌
Cabot
Microelectronics
Corp
9,535‌
1,437‌
Entegris
Inc
24,502‌
1,762‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
41
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Semiconductors
(continued)
Intel
Corp
21,507‌
$
1,027‌
Lam
Research
Corp
2,720‌
1,026‌
Microchip
Technology
Inc
15,253‌
1,552‌
NXP
Semiconductors
NV
4,970‌
584‌
Powertech
Technology
Inc
338,000‌
1,129‌
SiTime
Corp
(e)
16,388‌
871‌
Texas
Instruments
Inc
13,336‌
1,701‌
$
14,761‌
Shipbuilding
-
0.01%
Yangzijiang
Shipbuilding
Holdings
Ltd
560,700‌
376‌
Software
-
0.08%
Micro
Focus
International
PLC
385,762‌
1,389‌
Oracle
Corp
20,401‌
1,131‌
Synopsys
Inc
(e)
7,546‌
1,503‌
WiseTech
Global
Ltd
3,926‌
58‌
$
4,081‌
Storage
&
Warehousing
-
0.03%
Safestore
Holdings
PLC
147,380‌
1,482‌
Telecommunications
-
0.94%
Accton
Technology
Corp
152,000‌
1,191‌
BCE
Inc
154,975‌
6,498‌
Cisco
Systems
Inc
45,657‌
2,150‌
KDDI
Corp
22,400‌
712‌
Millicom
International
Cellular
SA
19,654‌
592‌
Motorola
Solutions
Inc
10,194‌
1,425‌
NTT
DOCOMO
Inc
25,500‌
702‌
Softbank
Corp
76,500‌
1,024‌
Spark
New
Zealand
Ltd
24,366‌
80‌
Tele2
AB
34,051‌
483‌
TELUS
Corp
1,160,500‌
20,127‌
T-Mobile
US
Inc
(e)
138,675‌
14,891‌
Ubiquiti
Inc
3,110‌
576‌
$
50,451‌
Toys,
Games
&
Hobbies
-
0.04%
Hasbro
Inc
23,696‌
1,724‌
Nintendo
Co
Ltd
1,300‌
572‌
$
2,296‌
Transportation
-
0.26%
AP
Moller
-
Maersk
A/S
-
A
682‌
810‌
Aurizon
Holdings
Ltd
260,932‌
832‌
Canadian
Pacific
Railway
Ltd
1,300‌
358‌
CH
Robinson
Worldwide
Inc
22,012‌
2,063‌
CSX
Corp
10,259‌
732‌
Deutsche
Post
AG
34,614‌
1,405‌
Expeditors
International
of
Washington
Inc
10,473‌
885‌
Kamigumi
Co
Ltd
20,400‌
372‌
Kuehne
+
Nagel
International
AG
12,839‌
2,213‌
Landstar
System
Inc
3,676‌
448‌
Norfolk
Southern
Corp
5,761‌
1,107‌
Poste
Italiane
SpA
(f)
60,022‌
552‌
Sankyu
Inc
29,300‌
1,010‌
SITC
International
Holdings
Co
Ltd
659,000‌
661‌
Yamato
Holdings
Co
Ltd
19,000‌
490‌
$
13,938‌
Water
-
0.36%
American
Water
Works
Co
Inc
125,400‌
18,468‌
Pennon
Group
PLC
44,744‌
618‌
$
19,086‌
TOTAL
COMMON
STOCKS
$
1,054,843‌
CONVERTIBLE
PREFERRED
STOCKS
-
0.03%
Shares
Held
Value
(000's)
Banks
-
0.03%
Wells
Fargo
&
Co
7.50%
(
i
)
1,100‌
$
1,487‌
TOTAL
CONVERTIBLE
PREFERRED
STOCKS
$
1,487‌
PREFERRED
STOCKS
-
1.32%
Shares
Held
Value
(000's)
Banks
-
0.39%
AgriBank
FCB
6.88%,
01/01/2024
(
i
)
33,000‌
$
3,465‌
3
Month
USD
LIBOR
+
4.23%
Bank
of
America
Corp
6.00%,
04/25/2021
(
i
)
64,419‌
1,681‌
Citigroup
Inc
6.88%,
11/15/2023
(
i
)
1,531‌
43‌
3
Month
USD
LIBOR
+
4.13%
Citizens
Financial
Group
Inc
6.35%,
04/06/2024
(
i
)
2,569‌
69‌
3
Month
USD
LIBOR
+
3.64%
Fifth
Third
Bancorp
6.63%,
12/31/2023
(
i
)
66,578‌
1,826‌
3
Month
USD
LIBOR
+
3.71%
Goldman
Sachs
Group
Inc
/The
5.50%,
05/10/2023
(a),(
i
)
32,200‌
867‌
3
Month
USD
LIBOR
+
3.64%
Huntington
Bancshares
Inc
/OH
6.25%,
04/15/2021
(
i
)
62,796‌
1,604‌
KeyCorp
6.13%,
12/15/2026
(
i
)
40,000‌
1,127‌
3
Month
USD
LIBOR
+
3.89%
Morgan
Stanley
5.85%,
04/15/2027
(a),(
i
)
60,000‌
1,717‌
3
Month
USD
LIBOR
+
3.49%
Northern
Trust
Corp
4.70%,
01/01/2025
(a),(
i
)
3,727‌
101‌
PNC
Financial
Services
Group
Inc
/The
6.13%,
05/01/2022
(
i
)
26,986‌
732‌
3
Month
USD
LIBOR
+
4.07%
Regions
Financial
Corp
5.70%,
05/15/2029
(
i
)
37,100‌
981‌
3
Month
USD
LIBOR
+
3.15%
State
Street
Corp
5.35%,
03/15/2026
(
i
)
3,704‌
105‌
3
Month
USD
LIBOR
+
3.71%
State
Street
Corp
5.90%,
03/15/2024
(
i
)
65,000‌
1,780‌
3
Month
USD
LIBOR
+
3.11%
Synovus
Financial
Corp
5.88%,
07/01/2024
(
i
)
7,437‌
181‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.13%
US
Bancorp
6.50%,
01/15/2022
(
i
)
3,000‌
80‌
3
Month
USD
LIBOR
+
4.47%
Valley
National
Bancorp
6.25%,
06/30/2025
(
i
)
119,724‌
3,291‌
3
Month
USD
LIBOR
+
3.85%
Wells
Fargo
&
Co
5.63%,
06/15/2022
(
i
)
8,227‌
213‌
Wells
Fargo
&
Co
5.85%,
09/15/2023
(
i
)
26,786‌
676‌
3
Month
USD
LIBOR
+
3.09%
Wells
Fargo
&
Co
6.63%,
03/15/2024
(
i
)
14,460‌
387‌
3
Month
USD
LIBOR
+
3.69%
$
20,926‌
Consumer
Products
-
0.01%
Henkel
AG
&
Co
KGaA
1.85%
5,855‌
576‌
Diversified
Financial
Services
-
0.03%
Affiliated
Managers
Group
Inc
5.88%,
03/30/2059
5,000‌
139‌
Charles
Schwab
Corp/The
6.00%,
12/01/2020
(
i
)
55,283‌
1,424‌
$
1,563‌
Electric
-
0.34%
Alabama
Power
Co
5.00%,
10/01/2022
(
i
)
70,493‌
1,880‌
Algonquin
Power
&
Utilities
Corp
6.20%,
07/01/2079
50,000‌
1,353‌
3
Month
USD
LIBOR
+
4.01%
CMS
Energy
Corp
5.88%,
03/01/2079
190,290‌
5,248‌
Dominion
Energy
Inc
5.25%,
07/30/2076
76,841‌
2,000‌
DTE
Energy
Co
5.25%,
12/01/2077
35,000‌
931‌
Duke
Energy
Corp
5.75%,
06/15/2024
(
i
)
6,645‌
190‌
Entergy
Louisiana
LLC
4.70%,
06/01/2063
89,253‌
2,281‌
National
Rural
Utilities
Cooperative
Finance
Corp
5.50%,
05/15/2064
6,271‌
169‌
NextEra
Energy
Capital
Holdings
Inc
5.65%,
03/01/2079
114,700‌
3,193‌
Southern
Co/The
5.25%,
12/01/2077
30,863‌
832‌
$
18,077‌
Food
-
0.02%
Dairy
Farmers
of
America
Inc
7.88%,
12/01/2025
(f),(
i
)
10,000‌
880‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
42
PREFERRED
STOCKS
(continued)
Shares
Held
Value
(000’s)
Gas
-
0.01%
Entergy
New
Orleans
LLC
5.00%,
12/01/2052
(a)
14,194‌
$
364‌
Insurance
-
0.09%
Arch
Capital
Group
Ltd
5.25%,
09/29/2021
(
i
)
30,800‌
785‌
Hartford
Financial
Services
Group
Inc
/The
7.88%,
04/15/2042
68,767‌
1,966‌
3
Month
USD
LIBOR
+
5.60%
MetLife
Inc
4.75%,
03/15/2025
(
i
)
1,795‌
46‌
Reinsurance
Group
of
America
Inc
5.75%,
06/15/2056
2,147‌
59‌
3
Month
USD
LIBOR
+
4.04%
Voya
Financial
Inc
5.35%,
09/15/2029
(
i
)
77,800‌
2,193‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.21%
W
R
Berkley
Corp
5.70%,
03/30/2058
629‌
17‌
$
5,066‌
Pipelines
-
0.02%
Enbridge
Inc
6.38%,
04/15/2078
37,405‌
931‌
3
Month
USD
LIBOR
+
3.59%
REITs
-
0.17%
Equity
Residential
8.29%,
12/10/2026
(
i
)
20,702‌
1,315‌
Kimco
Realty
Corp
5.25%,
12/20/2022
(
i
)
20,619‌
505‌
Prologis
Inc
8.54%,
11/13/2026
(
i
)
86,965‌
6,417‌
Public
Storage
5.60%,
03/11/2024
(
i
)
40,000‌
1,141‌
$
9,378‌
Savings
&
Loans
-
0.01%
People's
United
Financial
Inc
5.63%,
12/15/2026
(
i
)
21,629‌
576‌
3
Month
USD
LIBOR
+
4.02%
Sovereign
-
0.20%
CoBank
ACB
1.45%,
07/10/2022
(f),(
i
)
8,000‌
4,880‌
3
Month
USD
LIBOR
+
1.18%
CoBank
ACB
6.20%,
01/01/2025
(
i
)
7,000‌
739‌
3
Month
USD
LIBOR
+
3.74%
CoBank
ACB
6.25%,
10/01/2022
(
i
)
51,000‌
5,227‌
3
Month
USD
LIBOR
+
4.56%
$
10,846‌
Telecommunications
-
0.03%
Telephone
and
Data
Systems
Inc
6.88%,
11/15/2059
5,409‌
137‌
Telephone
and
Data
Systems
Inc
7.00%,
03/15/2060
52,304‌
1,322‌
$
1,459‌
TOTAL
PREFERRED
STOCKS
$
70,642‌
BONDS
-
67.86%
Principal
Amount
(000's)
Value
(000's)
Advertising
-
0.22%
Lamar
Media
Corp
4.88%,
01/15/2029
(f)
$
6,175‌
$
6,468‌
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp
4.63%,
03/15/2030
(f)
475‌
444‌
5.00%,
08/15/2027
(f)
4,725‌
4,627‌
$
11,539‌
Aerospace
&
Defense
-
0.61%
Leonardo
SpA
4.88%,
03/24/2025
EUR
500‌
661‌
TransDigm
Inc
5.50%,
11/15/2027
$
13,650‌
12,950‌
6.25%,
03/15/2026
(f)
6,475‌
6,831‌
6.38%,
06/15/2026
8,370‌
8,206‌
7.50%,
03/15/2027
2,950‌
2,987‌
TransDigm
UK
Holdings
PLC
6.88%,
05/15/2026
1,025‌
1,022‌
$
32,657‌
Agriculture
-
0.28%
Cargill
Inc
1.38%,
07/23/2023
(f)
2,350‌
2,404‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Agriculture
(continued)
JBS
Investments
II
GmbH
7.00%,
01/15/2026
$
4,567‌
$
4,910‌
Kernel
Holding
SA
8.75%,
01/31/2022
1,145‌
1,179‌
Philip
Morris
International
Inc
6.38%,
05/16/2038
1,500‌
2,379‌
Reynolds
American
Inc
4.00%,
06/12/2022
1,800‌
1,907‌
Tereos
Finance
Groupe
I
SA
4.13%,
06/16/2023
EUR
600‌
658‌
Vector
Group
Ltd
6.13%,
02/01/2025
(f)
$
1,500‌
1,491‌
$
14,928‌
Apparel
-
0.00%
Levi
Strauss
&
Co
3.38%,
03/15/2027
EUR
200‌
239‌
Automobile
Manufacturers
-
1.13%
Ford
Motor
Co
7.45%,
07/16/2031
$
8,740‌
10,360‌
9.00%,
04/22/2025
3,320‌
3,911‌
9.63%,
04/22/2030
(a)
14,650‌
19,301‌
Ford
Motor
Credit
Co
LLC
3.09%,
01/09/2023
200‌
199‌
3.81%,
01/09/2024
850‌
857‌
3.82%,
11/02/2027
500‌
491‌
4.06%,
11/01/2024
5,975‌
6,108‌
4.13%,
08/04/2025
600‌
615‌
4.27%,
01/09/2027
1,600‌
1,624‌
4.38%,
08/06/2023
1,183‌
1,224‌
4.54%,
08/01/2026
7,250‌
7,468‌
4.69%,
06/09/2025
300‌
313‌
5.11%,
05/03/2029
925‌
989‌
5.13%,
06/16/2025
2,800‌
2,985‌
5.58%,
03/18/2024
3,150‌
3,347‌
Tesla
Inc
5.30%,
08/15/2025
(f)
600‌
621‌
$
60,413‌
Automobile
Parts
&
Equipment
-
0.39%
Cie
Generale
des
Etablissements
Michelin
SCA
1.75%,
09/03/2030
EUR
1,800‌
2,461‌
Clarios
Global
LP
/
Clarios
US
Finance
Co
6.25%,
05/15/2026
(f)
$
5,325‌
5,698‌
Goodyear
Tire
&
Rubber
Co/The
5.00%,
05/31/2026
500‌
500‌
LKQ
European
Holdings
BV
3.63%,
04/01/2026
EUR
600‌
717‌
Truck
Hero
Inc
8.50%,
04/21/2024
(f)
$
5,440‌
5,685‌
Weichai
International
Hong
Kong
Energy
Group
Co
Ltd
3.75%,
12/31/2049
(
i
),(j)
3,100‌
3,133‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
6.08%
ZF
North
America
Capital
Inc
4.75%,
04/29/2025
(f)
2,400‌
2,532‌
$
20,726‌
Banks
-
7.47%
Australia
&
New
Zealand
Banking
Group
Ltd/
United
Kingdom
6.75%,
12/31/2049
(f),(
i
),(j)
2,600‌
2,907‌
USD
Swap
Rate
NY
5
Year
+
5.17%
Banco
BPM
SpA
1.63%,
02/18/2025
EUR
1,000‌
1,103‌
Banco
de
Credito
del
Peru
3.13%,
07/01/2030
(f),(j)
$
475‌
471‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.00%
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
43
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Banco
de
Sabadell
SA
5.38%,
12/12/2028
(j)
EUR
1,700‌
$
2,022‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
5.10%
Banco
do
Brasil
SA/Cayman
6.25%,
12/31/2049
(f),(
i
),(j)
$
900‌
844‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
4.40%
6.25%,
12/31/2049
(
i
),(j)
6,050‌
5,672‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
4.40%
Banco
Mercantil
del
Norte
SA/Grand
Cayman
6.75%,
12/31/2049
(f),(
i
),(j)
2,150‌
2,048‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.97%
6.75%,
12/31/2049
(
i
),(j)
3,000‌
2,857‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.97%
6.88%,
12/31/2049
(f),(
i
),(j)
430‌
414‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
5.04%
7.50%,
12/31/2099
(f),(
i
),(j)
1,115‌
1,063‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
5.47%
Banco
Santander
SA
2.75%,
05/28/2025
2,200‌
2,324‌
Banco
Votorantim
SA
4.38%,
07/29/2025
(f)
570‌
572‌
Bancolombia
SA
4.63%,
12/18/2029
(j)
3,831‌
3,639‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.94%
Banistmo
SA
4.25%,
07/31/2027
(f)
1,250‌
1,240‌
Bank
of
America
Corp
6.30%,
12/31/2049
(
i
),(j)
12,800‌
14,718‌
3
Month
USD
LIBOR
+
4.55%
Bank
of
Montreal
1.61%,
10/28/2021
CAD
825‌
624‌
Bank
of
New
York
Mellon
Corp/The
4.70%,
12/31/2049
(
i
),(j)
$
7,150‌
7,742‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.36%
Banque
Centrale
de
Tunisie
International
Bond
5.63%,
02/17/2024
EUR
5,850‌
6,284‌
Barclays
Bank
PLC
6.28%,
12/31/2049
(
i
),(j)
$
9,500‌
10,377‌
3
Month
USD
LIBOR
+
1.55%
Barclays
PLC
7.88%,
12/31/2049
(
i
),(j)
5,500‌
5,640‌
USD
Swap
Semi-Annual
5
Year
+
6.77%
BBVA
Bancomer
SA/Texas
5.88%,
09/13/2034
(f),(j)
850‌
835‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.31%
BNP
Paribas
SA
7.37%,
12/31/2049
(f),(
i
),(j)
13,000‌
14,446‌
USD
Swap
Semi-Annual
5
Year
+
5.15%
7.63%,
12/31/2049
(f),(
i
),(j)
5,600‌
5,727‌
USD
Swap
Semi-Annual
5
Year
+
6.31%
BOS
Funding
Ltd
4.00%,
09/18/2024
4,600‌
4,653‌
CaixaBank
SA
3.50%,
02/15/2027
(j)
EUR
1,500‌
1,812‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
3.35%
Canadian
Imperial
Bank
of
Commerce
3.30%,
05/26/2025
CAD
3,325‌
2,757‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
CIT
Group
Inc
5.00%,
08/15/2022
$
1,125‌
$
1,162‌
6.13%,
03/09/2028
720‌
813‌
Citigroup
Capital
III
7.63%,
12/01/2036
4,600‌
6,698‌
Citigroup
Inc
5.90%,
12/31/2049
(
i
),(j)
5,043‌
5,283‌
3
Month
USD
LIBOR
+
4.23%
5.95%,
12/31/2049
(
i
),(j)
13,000‌
13,512‌
3
Month
USD
LIBOR
+
4.07%
5.95%,
12/31/2049
(
i
),(j)
2,500‌
2,669‌
3
Month
USD
LIBOR
+
3.91%
Citizens
Financial
Group
Inc
4.26%,
12/31/2049
(
i
)
10,000‌
9,100‌
3
Month
USD
LIBOR
+
3.96%
6.38%,
12/31/2049
(a),(
i
),(j)
10,930‌
10,540‌
3
Month
USD
LIBOR
+
3.16%
Credit
Agricole
SA
7.88%,
12/31/2049
(f),(
i
),(j)
6,000‌
6,584‌
USD
Swap
Semi-Annual
5
Year
+
4.90%
8.13%,
12/31/2049
(f),(
i
),(j)
4,300‌
5,009‌
USD
Swap
Semi-Annual
5
Year
+
6.19%
Credit
Bank
of
Moscow
Via
CBOM
Finance
PLC
8.88%,
12/31/2049
(
i
),(j)
600‌
557‌
USD
Swap
Semi-Annual
5
Year
+
6.94%
Credit
Suisse
AG/New
York
NY
2.95%,
04/09/2025
2,200‌
2,413‌
Credit
Suisse
Group
AG
6.25%,
12/31/2049
(f),(
i
),(j)
6,600‌
7,029‌
USD
Swap
Semi-Annual
5
Year
+
3.46%
6.38%,
12/31/2099
(f),(
i
),(j)
500‌
527‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.82%
7.50%,
12/31/2049
(f),(
i
),(j)
8,300‌
9,099‌
USD
Swap
Semi-Annual
5
Year
+
4.60%
7.50%,
12/31/2049
(
i
),(j)
3,000‌
3,289‌
USD
Swap
Semi-Annual
5
Year
+
4.60%
DNB
Bank
ASA
6.50%,
12/31/2049
(
i
),(j)
3,000‌
3,094‌
USD
Swap
Semi-Annual
5
Year
+
5.08%
Ecobank
Transnational
Inc
9.50%,
04/18/2024
2,600‌
2,705‌
Emirates
Development
Bank
PJSC
3.52%,
03/06/2024
4,000‌
4,245‌
Fifth
Third
Bancorp
5.10%,
12/31/2049
(
i
),(j)
2,492‌
2,298‌
3
Month
USD
LIBOR
+
3.03%
8.25%,
03/01/2038
900‌
1,520‌
FirstRand
Bank
Ltd
6.25%,
04/23/2028
(j)
550‌
566‌
USD
Swap
Semi-Annual
5
Year
+
3.56%
Goldman
Sachs
Group
Inc
/The
4.22%,
05/01/2029
(j)
1,750‌
2,071‌
3
Month
USD
LIBOR
+
1.30%
4.95%,
12/31/2049
(
i
),(j)
16,889‌
16,941‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.22%
5.50%,
12/31/2049
(a),(
i
),(j)
1,000‌
1,072‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.62%
HBOS
Capital
Funding
LP
6.85%,
12/31/2049
(
i
)
3,000‌
3,039‌
HSBC
Capital
Funding
Dollar
1
LP
10.18%,
12/31/2049
(
i
),(j)
4,300‌
6,849‌
3
Month
USD
LIBOR
+
4.98%
HSBC
Holdings
PLC
4.38%,
11/23/2026
1,800‌
2,031‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
44
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Huntington
Bancshares
Inc
/OH
5.63%,
12/31/2049
(
i
),(j)
$
1,400‌
$
1,545‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
10
Year
+
4.95%
ING
Groep
NV
2.95%,
04/11/2028
(j)
EUR
1,000‌
1,243‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
2.85%
6.50%,
12/31/2049
(
i
),(j)
$
2,500‌
2,598‌
USD
Swap
Semi-Annual
5
Year
+
4.45%
6.87%,
12/31/2049
(
i
),(j)
5,000‌
5,227‌
USD
Swap
Semi-Annual
5
Year
+
5.12%
International
Bank
of
Azerbaijan
OJSC
3.50%,
09/01/2024
6,132‌
5,535‌
Itau
Unibanco
Holding
SA/Cayman
Island
4.63%,
12/31/2099
(f),(
i
),(j)
770‌
656‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.22%
6.13%,
12/31/2049
(
i
),(j)
2,750‌
2,629‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.98%
6.13%,
12/31/2049
(f),(
i
),(j)
2,500‌
2,390‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.98%
JPMorgan
Chase
&
Co
1.09%,
03/11/2027
(j)
EUR
2,000‌
2,436‌
3
Month
Euro
Interbank
Offered
Rate
+
0.76%
4.49%,
12/31/2099
(
i
)
$
7,745‌
7,646‌
3
Month
USD
LIBOR
+
3.80%
6.75%,
12/31/2049
(
i
),(j)
6,200‌
6,872‌
3
Month
USD
LIBOR
+
3.78%
KeyCorp
Capital
III
7.75%,
07/15/2029
795‌
1,044‌
Lloyds
Bank
PLC
12.00%,
12/31/2049
(f),(
i
),(j)
4,100‌
4,770‌
3
Month
USD
LIBOR
+
11.76%
13.00%,
12/31/2049
(
i
),(j)
GBP
400‌
898‌
Generic
Britain
5
Year
Government
Bond
+
13.40%
Lloyds
Banking
Group
PLC
0.63%,
01/15/2024
(j)
EUR
1,600‌
1,889‌
EUR
Swap
Annual
(VS
6
Month)
1
Year
+
0.47%
2.25%,
10/16/2024
GBP
400‌
545‌
6.41%,
12/31/2049
(f),(
i
),(j)
$
3,500‌
3,911‌
3
Month
USD
LIBOR
+
1.50%
6.66%,
12/31/2049
(f),(
i
),(j)
2,700‌
3,078‌
3
Month
USD
LIBOR
+
1.27%
7.50%,
12/31/2049
(
i
),(j)
5,000‌
5,312‌
USD
Swap
Semi-Annual
5
Year
+
4.50%
M&T
Bank
Corp
5.00%,
12/31/2049
(
i
),(j)
2,710‌
2,768‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.17%
6.45%,
12/31/2049
(
i
),(j)
535‌
572‌
3
Month
USD
LIBOR
+
3.61%
Morgan
Stanley
2.63%,
03/09/2027
GBP
1,700‌
2,428‌
National
Australia
Bank
Ltd/New
York
2.50%,
07/12/2026
$
2,000‌
2,186‌
Natwest
Group
PLC
7.50%,
12/31/2049
(
i
),(j)
4,400‌
4,400‌
USD
Swap
Semi-Annual
5
Year
+
5.80%
8.62%,
12/31/2049
(
i
),(j)
6,000‌
6,269‌
USD
Swap
Semi-Annual
5
Year
+
7.60%
Noor
Sukuk
Co
Ltd
4.47%,
04/24/2023
700‌
741‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Nordea
Bank
Abp
0.50%,
05/14/2027
EUR
1,000‌
$
1,212‌
Provident
Funding
Associates
LP
/
PFG
Finance
Corp
6.38%,
06/15/2025
(f)
$
13,130‌
12,539‌
QNB
Finansbank
AS
4.88%,
05/19/2022
(f)
990‌
972‌
4.88%,
05/19/2022
2,000‌
1,965‌
6.88%,
09/07/2024
(f)
800‌
810‌
Santander
UK
Group
Holdings
PLC
3.82%,
11/03/2028
(j)
1,600‌
1,794‌
3
Month
USD
LIBOR
+
1.40%
Societe
Generale
SA
7.88%,
12/31/2049
(a),(f),(
i
),(j)
6,000‌
6,382‌
USD
Swap
Semi-Annual
5
Year
+
4.98%
Standard
Chartered
PLC
4.25%,
01/20/2023
(f),(j)
5,000‌
5,197‌
3
Month
USD
LIBOR
+
1.15%
5.70%,
03/26/2044
(f)
1,500‌
1,916‌
7.75%,
12/31/2049
(f),(
i
),(j)
8,000‌
8,440‌
USD
Swap
Semi-Annual
5
Year
+
5.72%
Swedbank
AB
6.00%,
12/31/2049
(
i
),(j)
8,000‌
8,160‌
USD
Swap
Semi-Annual
5
Year
+
4.11%
Truist
Financial
Corp
4.80%,
12/31/2099
(
i
),(j)
12,300‌
12,400‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.00%
4.95%,
12/31/2099
(
i
),(j)
1,900‌
2,028‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.61%
UBS
AG/London
1.25%,
09/03/2021
EUR
1,500‌
1,795‌
UBS
Group
AG
6.88%,
12/31/2049
(
i
),(j)
$
3,000‌
3,225‌
USD
Swap
Semi-Annual
(VS
6
Month)
5
Year
+
4.59%
United
Bank
for
Africa
PLC
7.75%,
06/08/2022
2,800‌
2,772‌
Wachovia
Capital
Trust
III
5.57%,
12/31/2049
(
i
)
5,400‌
5,372‌
3
Month
USD
LIBOR
+
0.93%
Wells
Fargo
&
Co
5.87%,
12/31/2049
(
i
),(j)
7,100‌
7,686‌
3
Month
USD
LIBOR
+
3.99%
Wells
Fargo
Bank
NA
6.60%,
01/15/2038
1,500‌
2,280‌
$
400,039‌
Beverages
-
0.15%
Anheuser-Busch
InBev
SA/NV
1.50%,
04/18/2030
EUR
700‌
887‌
2.00%,
03/17/2028
1,000‌
1,305‌
Constellation
Brands
Inc
3.75%,
05/01/2050
$
1,750‌
2,065‌
Diageo
Capital
PLC
1.38%,
09/29/2025
1,000‌
1,034‌
Fomento
Economico
Mexicano
SAB
de
CV
3.50%,
01/16/2050
800‌
897‌
Molson
Coors
Beverage
Co
2.10%,
07/15/2021
1,900‌
1,924‌
$
8,112‌
Building
Materials
-
0.09%
Cemex
SAB
de
CV
5.70%,
01/11/2025
1,000‌
1,007‌
7.38%,
06/05/2027
(f)
800‌
853‌
HeidelbergCement
AG
2.25%,
03/30/2023
EUR
1,600‌
1,964‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
45
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Building
Materials
(continued)
Standard
Industries
Inc
/NJ
4.75%,
01/15/2028
(f)
$
1,015‌
$
1,084‌
$
4,908‌
Chemicals
-
0.75%
Axalta
Coating
Systems
Dutch
Holding
B
BV
3.75%,
01/15/2025
EUR
400‌
470‌
Braskem
Idesa
SAPI
7.45%,
11/15/2029
(f)
$
7,650‌
6,732‌
Braskem
Netherlands
Finance
BV
4.50%,
01/31/2030
(f)
1,700‌
1,575‌
5.88%,
01/31/2050
(f)
450‌
406‌
8.50%,
01/23/2081
(f),(j)
875‌
886‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
8.22%
CF
Industries
Inc
5.15%,
03/15/2034
1,640‌
1,886‌
Cornerstone
Chemical
Co
6.75%,
08/15/2024
(f)
6,632‌
6,101‌
DuPont
de
Nemours
Inc
4.21%,
11/15/2023
700‌
773‌
ICL
Group
Ltd
6.38%,
05/31/2038
(f)
800‌
973‌
INEOS
Finance
PLC
2.88%,
05/01/2026
EUR
2,000‌
2,285‌
Kronos
International
Inc
3.75%,
09/15/2025
200‌
228‌
MEGlobal
Canada
ULC
5.00%,
05/18/2025
(f)
$
3,875‌
4,234‌
5.88%,
05/18/2030
(f)
815‌
962‌
OCI
NV
5.00%,
04/15/2023
EUR
400‌
481‌
6.63%,
04/15/2023
(f)
$
800‌
830‌
OCP
SA
5.63%,
04/25/2024
2,200‌
2,366‌
Orbia
Advance
Corp
SAB
de
CV
5.88%,
09/17/2044
500‌
580‌
Petkim
Petrokimya
Holding
AS
5.88%,
01/26/2023
1,800‌
1,775‌
Sasol
Financing
International
Ltd
4.50%,
11/14/2022
775‌
735‌
Sasol
Financing
USA
LLC
5.88%,
03/27/2024
3,000‌
2,805‌
6.50%,
09/27/2028
850‌
767‌
Sociedad
Quimica
y
Minera
de
Chile
SA
4.25%,
01/22/2050
(f)
935‌
956‌
Solvay
Finance
SACA
5.87%,
12/31/2049
(
i
),(j)
EUR
400‌
525‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
5.22%
TPC
Group
Inc
10.50%,
08/01/2024
(f)
$
700‌
623‌
$
39,954‌
Coal
-
0.04%
Alliance
Resource
Operating
Partners
LP
/
Alliance
Resource
Finance
Corp
7.50%,
05/01/2025
(a),(f)
3,085‌
2,144‌
Commercial
Mortgage
Backed
Securities
-
15.13%
Banc
of
America
Merrill
Lynch
Commercial
Mortgage
Inc
5.48%,
11/10/2042
(k)
2,336‌
2,287‌
BANK
2017-BNK4
0.81%,
05/15/2050
(k),(l)
13,843‌
695‌
BANK
2017-BNK5
1.18%,
06/15/2060
(f),(k),(l)
42,403‌
2,920‌
3.08%,
06/15/2060
(f),(k)
18,288‌
13,920‌
4.25%,
06/15/2060
(f),(k)
8,356‌
4,476‌
BANK
2017-BNK9
1.42%,
11/15/2054
(f),(k),(l)
15,200‌
1,352‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
BANK
2018-BNK10
1.74%,
02/15/2061
(f),(k),(l)
$
31,334‌
$
3,560‌
BANK
2018-BNK12
1.42%,
05/15/2061
(f),(k),(l)
18,728‌
1,742‌
3.00%,
05/15/2061
(f)
6,000‌
3,676‌
BANK
2018-BNK13
1.55%,
08/15/2061
(f),(k),(l)
41,485‌
4,471‌
BANK
2018-BNK14
1.60%,
09/15/2060
(f),(k),(l)
11,466‌
1,230‌
BANK
2019-BNK16
1.83%,
02/15/2052
(f),(k),(l)
13,120‌
1,682‌
BANK
2019-BNK17
1.60%,
04/15/2052
(f),(k),(l)
11,541‌
1,306‌
BANK
2019-BNK18
1.35%,
05/15/2062
(f),(k),(l)
17,647‌
1,739‌
Bank
2019-BNK19
1.03%,
08/15/2061
(f),(k),(l)
17,014‌
1,297‌
BANK
2019-BNK20
1.21%,
09/15/2062
(f),(k)
15,674‌
1,402‌
BANK
2019-BNK22
0.96%,
11/15/2062
(f),(k),(l)
18,082‌
1,319‌
1.50%,
11/15/2062
(f),(k),(l)
11,840‌
1,263‌
1.96%,
11/15/2062
(f),(k)
7,340‌
2,816‌
2.50%,
11/15/2062
(f)
5,000‌
3,774‌
BANK
2019-BNK23
1.01%,
12/15/2052
(f),(k),(l)
9,170‌
703‌
2.50%,
12/15/2052
(f)
1,500‌
1,004‌
BANK
2019-BNK24
1.13%,
11/15/2062
(f),(k),(l)
26,932‌
2,105‌
2.50%,
11/15/2062
(f)
5,000‌
3,917‌
BANK
2020-BNK25
0.92%,
01/15/2063
(f),(k),(l)
9,704‌
686‌
1.50%,
01/15/2063
(f),(k),(l)
10,561‌
1,144‌
1.92%,
01/15/2063
(f),(k)
10,561‌
4,406‌
2.50%,
01/15/2063
(f)
1,250‌
850‌
Barclays
Commercial
Mortgage
Trust
2019-C3
1.79%,
05/15/2052
(f),(k),(l)
6,117‌
786‌
Barclays
Commercial
Mortgage
Trust
2019-C4
1.17%,
08/15/2052
(f),(k),(l)
13,091‌
1,112‌
3.25%,
08/15/2052
(f)
4,090‌
3,085‌
Barclays
Commercial
Mortgage
Trust
2019-C5
1.35%,
11/15/2052
(f),(k),(l)
14,866‌
1,464‌
2.50%,
11/15/2052
(f)
5,000‌
3,744‌
2.60%,
11/15/2052
(f),(k)
7,386‌
3,025‌
BBCMS
Mortgage
Trust
2020-C6
1.20%,
02/15/2053
(f),(k),(l)
7,424‌
679‌
2.40%,
02/15/2053
(f)
3,000‌
1,718‌
Benchmark
2018-B1
Mortgage
Trust
1.12%,
01/15/2051
(f),(k),(l)
12,667‌
912‌
1.37%,
01/15/2051
(f),(k),(l)
30,260‌
2,715‌
Benchmark
2018-B3
Mortgage
Trust
1.50%,
04/10/2051
(f),(k),(l)
5,520‌
527‌
Benchmark
2018-B5
Mortgage
Trust
0.49%,
07/15/2051
(k),(l)
96,759‌
2,890‌
3.11%,
07/15/2051
(f),(k)
4,500‌
2,952‌
Benchmark
2018-B6
Mortgage
Trust
1.50%,
10/10/2051
(f),(k),(l)
37,790‌
3,710‌
3.12%,
10/10/2051
(f),(k)
3,801‌
2,243‌
3.12%,
10/10/2051
(f),(k)
11,720‌
7,880‌
Benchmark
2018-B7
Mortgage
Trust
1.86%,
05/15/2053
(f),(k)
16,962‌
2,194‌
3.00%,
05/15/2053
(f),(k)
5,000‌
3,650‌
Benchmark
2018-B8
Mortgage
Trust
1.87%,
01/15/2052
(f),(k),(l)
6,900‌
878‌
3.00%,
01/15/2052
(f)
9,250‌
5,960‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
46
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
Benchmark
2019-B10
Mortgage
Trust
1.23%,
03/15/2062
(k),(l)
$
47,857‌
$
3,896‌
1.87%,
03/15/2062
(f),(k),(l)
12,985‌
1,728‌
3.00%,
03/15/2062
(f)
3,250‌
2,819‌
3.00%,
03/15/2062
(f)
5,236‌
3,645‌
3.62%,
03/15/2062
(f),(k)
2,500‌
1,209‌
Benchmark
2019-B11
Mortgage
Trust
1.52%,
05/15/2052
(f),(k),(l)
13,924‌
1,508‌
3.00%,
05/15/2052
(f)
2,000‌
1,543‌
Benchmark
2019-B12
Mortgage
Trust
1.13%,
08/15/2052
(f),(k),(l)
13,870‌
1,136‌
3.00%,
08/15/2052
(f)
12,000‌
9,370‌
Benchmark
2019-B13
Mortgage
Trust
1.14%,
08/15/2057
(f),(k),(l)
6,500‌
474‌
1.27%,
08/15/2057
(k),(l)
57,851‌
4,462‌
1.64%,
08/15/2057
(f),(k),(l)
4,000‌
441‌
2.50%,
08/15/2057
(f)
7,500‌
5,353‌
2.50%,
08/15/2057
(f)
4,000‌
2,544‌
3.00%,
08/15/2057
(f)
6,500‌
2,598‌
Benchmark
2019-B14
Mortgage
Trust
1.28%,
12/15/2062
(f),(k),(l)
14,908‌
1,439‌
Benchmark
2019-B15
Mortgage
Trust
0.97%,
12/15/2072
(f),(k),(l)
24,552‌
1,806‌
Benchmark
2019-B9
Mortgage
Trust
2.00%,
03/15/2052
(f),(k),(l)
11,550‌
1,603‌
Benchmark
2020-B16
Mortgage
Trust
1.09%,
02/15/2053
(f),(k),(l)
7,615‌
642‌
2.50%,
02/15/2053
(f)
2,000‌
1,570‌
2.50%,
02/15/2053
(f)
1,583‌
1,062‌
Benchmark
2020-B17
Mortgage
Trust
1.41%,
03/15/2053
(f),(k),(l)
12,580‌
1,320‌
2.25%,
03/15/2053
(f)
6,752‌
5,194‌
Cantor
Commercial
Real
Estate
Lending
2019-CF2
1.60%,
11/15/2052
(f),(k),(l)
10,105‌
981‌
2.50%,
11/15/2052
(f)
5,000‌
3,710‌
Cantor
Commercial
Real
Estate
Lending
2019-CF3
1.11%,
01/15/2053
(f),(k),(l)
11,514‌
973‌
CD
2017-CD5
Mortgage
Trust
3.35%,
08/15/2050
(f)
7,000‌
4,303‌
CD
2018-CD7
Mortgage
Trust
1.75%,
08/15/2051
(f),(k),(l)
20,444‌
2,294‌
CFCRE
Commercial
Mortgage
Trust
2016-C6
1.13%,
11/10/2049
(k),(l)
43,469‌
2,424‌
Citigroup
Commercial
Mortgage
Trust
2012-GC8
4.88%,
09/10/2045
(f),(k)
1,875‌
1,465‌
Citigroup
Commercial
Mortgage
Trust
2013-GC15
4.25%,
09/10/2046
(f),(k)
16,492‌
12,133‌
5.21%,
09/10/2046
(f),(k)
7,700‌
6,993‌
Citigroup
Commercial
Mortgage
Trust
2016-C1
1.87%,
05/10/2049
(k),(l)
35,991‌
3,019‌
Citigroup
Commercial
Mortgage
Trust
2016-GC37
1.74%,
04/10/2049
(k),(l)
14,641‌
1,099‌
Citigroup
Commercial
Mortgage
Trust
2018-B2
1.50%,
03/10/2051
(f),(k),(l)
13,247‌
1,212‌
3.17%,
03/10/2051
(f),(k)
2,500‌
1,620‌
Citigroup
Commercial
Mortgage
Trust
2018-C5
3.22%,
06/10/2051
(f),(k)
1,000‌
723‌
Citigroup
Commercial
Mortgage
Trust
2019-C7
1.20%,
12/15/2072
(f),(k),(l)
15,766‌
1,439‌
Citigroup
Commercial
Mortgage
Trust
2019-GC41
0.85%,
08/10/2056
(f),(k),(l)
13,007‌
799‌
3.00%,
08/10/2056
(f)
15,500‌
12,858‌
3.00%,
08/10/2056
(f)
4,000‌
2,425‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
Citigroup
Commercial
Mortgage
Trust
2019-
GC41  
(continued)
3.00%,
08/10/2056
(f)
$
9,330‌
$
3,992‌
Citigroup
Commercial
Mortgage
Trust
2019-GC43
0.62%,
11/10/2052
(f),(k),(l)
11,280‌
536‌
0.62%,
11/10/2052
(f),(k),(l)
2,528‌
120‌
0.62%,
11/10/2052
(f),(k),(l)
1,750‌
82‌
3.00%,
11/10/2052
(f)
5,000‌
3,091‌
3.00%,
11/10/2052
(f)
3,787‌
1,989‌
3.00%,
11/10/2052
(f),(k)
2,528‌
1,013‌
3.00%,
11/10/2052
(f),(k)
1,750‌
615‌
Citigroup
Commercial
Mortgage
Trust
2020-GC46
1.07%,
02/15/2053
(f),(k),(l)
21,133‌
1,765‌
2.60%,
02/15/2053
(f)
6,000‌
4,668‌
COMM
2012-CCRE1
Mortgage
Trust
2.46%,
05/15/2045
(f)
13,993‌
7,211‌
5.32%,
05/15/2045
(f),(k)
8,889‌
5,860‌
COMM
2012-CCRE4
Mortgage
Trust
4.59%,
10/15/2045
(f),(k)
5,000‌
1,478‌
COMM
2012-CCRE5
Mortgage
Trust
4.32%,
12/10/2045
(f),(k)
3,475‌
3,092‌
4.32%,
12/10/2045
(f),(k)
7,500‌
4,923‌
Comm
2013-CCRE13
Mortgage
Trust
4.89%,
11/10/2046
(f),(k)
6,421‌
4,361‌
4.89%,
11/10/2046
(f),(k)
4,110‌
2,361‌
COMM
2013-CCRE6
Mortgage
Trust
1.02%,
03/10/2046
(k),(l)
45,763‌
826‌
4.09%,
03/10/2046
(f),(k)
13,215‌
9,457‌
4.09%,
03/10/2046
(f),(k)
13,750‌
7,925‌
COMM
2013-CCRE9
Mortgage
Trust
4.24%,
07/10/2045
(f),(k)
3,500‌
3,239‌
COMM
2014-CCRE15
Mortgage
Trust
4.24%,
02/10/2047
(f),(k)
5,414‌
3,971‌
COMM
2014-CCRE17
Mortgage
Trust
0.33%,
05/10/2047
(f),(k),(l)
44,717‌
463‌
4.85%,
05/10/2047
(f),(k)
12,469‌
8,640‌
Comm
2014-UBS2
Mortgage
Trust
5.00%,
03/10/2047
(f),(k)
13,690‌
10,929‌
COMM
2014-UBS3
Mortgage
Trust
4.77%,
06/10/2047
(f),(k)
11,861‌
10,181‌
COMM
2014-UBS5
Mortgage
Trust
3.50%,
09/10/2047
(f)
6,500‌
3,356‌
COMM
2015-LC19
Mortgage
Trust
4.24%,
02/10/2048
(f),(k)
8,000‌
5,227‌
COMM
2016-COR1
Mortgage
Trust
1.42%,
10/10/2049
(k),(l)
44,225‌
2,651‌
COMM
2017-COR2
Mortgage
Trust
1.17%,
09/10/2050
(k),(l)
75,526‌
4,890‌
COMM
2018-COR3
Mortgage
Trust
1.75%,
05/10/2051
(f),(k),(l)
15,800‌
1,732‌
2.81%,
05/10/2051
(f),(k)
8,500‌
5,587‌
COMM
2019-GC44
Mortgage
Trust
1.03%,
08/15/2057
(f),(k),(l)
5,500‌
431‌
2.50%,
08/15/2057
(f)
5,000‌
3,370‌
2.50%,
08/15/2057
(f)
5,000‌
2,838‌
CSAIL
2018-CX12
Commercial
Mortgage
Trust
1.50%,
08/15/2051
(f),(k),(l)
8,985‌
866‌
3.27%,
08/15/2051
(f),(k)
3,500‌
2,337‌
CSAIL
2019-C15
Commercial
Mortgage
Trust
1.05%,
03/15/2052
(k),(l)
55,844‌
3,766‌
1.98%,
03/15/2052
(f),(k),(l)
3,981‌
550‌
CSAIL
2019-C17
Commercial
Mortgage
Trust
1.37%,
09/15/2052
(k),(l)
29,901‌
2,833‌
DBGS
2018-BIOD
Mortgage
Trust
1.75%,
10/15/2051
(f),(k),(l)
9,496‌
1,087‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
47
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
DBUBS
2011-LC1
Mortgage
Trust
0.30%,
11/10/2046
(f),(k),(l)
$
142,384‌
$
89‌
DBUBS
2011-LC2
Mortgage
Trust
1.01%,
07/10/2044
(f),(k),(l)
8,286‌
34‌
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
1.48%,
01/25/2043
(k),(l)
79,054‌
4,640‌
1.63%,
11/25/2042
(k),(l)
83,688‌
1,262‌
1.65%,
11/25/2040
(k),(l)
16,936‌
533‌
1.66%,
06/25/2041
(k),(l)
20,000‌
819‌
1.66%,
10/25/2041
(k),(l)
43,000‌
1,963‌
1.77%,
01/25/2048
(k),(l)
38,129‌
3,534‌
1.97%,
11/25/2044
(k),(l)
16,293‌
1,187‌
2.01%,
09/25/2047
(k),(l)
41,400‌
4,257‌
2.02%,
02/25/2041
(k),(l)
33,968‌
432‌
2.03%,
02/25/2045
(k),(l)
27,900‌
2,170‌
2.17%,
07/25/2026
(k),(l)
39,161‌
4,038‌
2.17%,
05/25/2046
(k),(l)
75,770‌
7,003‌
2.19%,
01/25/2026
(k),(l)
70,234‌
6,719‌
2.20%,
12/25/2039
(k),(l)
25,654‌
606‌
2.21%,
10/25/2028
(k),(l)
17,800‌
2,528‌
2.27%,
08/25/2045
(k),(l)
37,838‌
5,477‌
3.61%,
06/25/2041
(k),(l)
4,400‌
91‌
4.57%,
11/25/2044
(k),(l)
1,800‌
23‌
GS
Mortgage
Securities
Corp
II
1.41%,
07/10/2051
(f),(k),(l)
8,017‌
790‌
GS
Mortgage
Securities
Trust
2010-C2
5.18%,
12/10/2043
(f),(k)
5,000‌
4,942‌
GS
Mortgage
Securities
Trust
2011-GC5
5.39%,
08/10/2044
(f),(k)
3,660‌
2,650‌
GS
Mortgage
Securities
Trust
2012-GCJ7
5.70%,
05/10/2045
(f),(k)
7,429‌
6,368‌
GS
Mortgage
Securities
Trust
2012-GCJ9
4.74%,
11/10/2045
(f),(k)
5,000‌
4,394‌
4.74%,
11/10/2045
(f),(k)
8,500‌
6,101‌
GS
Mortgage
Securities
Trust
2013-GC16
3.50%,
11/10/2046
(f)
2,500‌
1,553‌
GS
Mortgage
Securities
Trust
2013-GCJ14
4.74%,
08/10/2046
(f),(k)
10,460‌
7,774‌
4.74%,
08/10/2046
(f),(k)
7,742‌
4,630‌
4.74%,
08/10/2046
(f),(k)
2,500‌
1,382‌
GS
Mortgage
Securities
Trust
2014-GC26
1.21%,
11/10/2047
(f),(k),(l)
29,811‌
1,357‌
GS
Mortgage
Securities
Trust
2017-GS7
1.13%,
08/10/2050
(k),(l)
28,823‌
1,683‌
GS
Mortgage
Securities
Trust
2018-GS9
1.36%,
03/10/2051
(f),(k),(l)
8,353‌
727‌
GS
Mortgage
Securities
Trust
2019-GC38
3.00%,
02/10/2052
(f)
2,500‌
1,698‌
GS
Mortgage
Securities
Trust
2019-GC39
1.63%,
05/10/2052
(f),(k),(l)
16,430‌
1,918‌
3.00%,
05/10/2052
(f)
4,864‌
3,285‌
GS
Mortgage
Securities
Trust
2019-GC40
1.16%,
07/10/2052
(f),(k),(l)
4,941‌
439‌
1.16%,
07/10/2052
(f),(k),(l)
16,500‌
1,383‌
GS
Mortgage
Securities
Trust
2019-GC42
0.94%,
09/01/2052
(f),(k),(l)
13,000‌
942‌
2.80%,
09/01/2052
(f)
8,500‌
6,090‌
2.80%,
09/01/2052
(f)
3,500‌
1,990‌
GS
Mortgage
Securities
Trust
2019-GSA1
1.01%,
11/10/2052
(f),(k),(l)
21,600‌
1,658‌
2.80%,
11/10/2052
(f)
5,000‌
3,605‌
GS
Mortgage
Securities
Trust
2020-GC45
0.69%,
02/13/2053
(f),(k),(l)
25,009‌
1,334‌
2.85%,
02/13/2053
(f),(k)
5,000‌
4,169‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2006-CIBC17
5.49%,
12/12/2043
(k)
8,919‌
6,227‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2006-LDP9
5.34%,
05/15/2047
$
764‌
$
652‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2011-C5
4.00%,
08/15/2046
(f),(k)
6,000‌
4,624‌
5.42%,
08/15/2046
(f),(k)
4,844‌
3,966‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2012-C6
2.97%,
05/15/2045
(f),(k)
3,750‌
1,128‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2012-C8
2.75%,
10/15/2045
(f),(k)
8,553‌
4,227‌
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2013-C16
3.74%,
12/15/2046
(f),(k)
10,000‌
7,062‌
JPMBB
Commercial
Mortgage
Securities
Trust
2013-C12
4.10%,
07/15/2045
(k)
7,286‌
6,211‌
JPMBB
Commercial
Mortgage
Securities
Trust
2013-C15
3.50%,
11/15/2045
(f)
9,191‌
6,510‌
5.20%,
11/15/2045
(f),(k)
5,250‌
4,620‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C18
0.83%,
02/15/2047
(k),(l)
43,984‌
1,024‌
4.81%,
02/15/2047
(f),(k)
7,850‌
3,614‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C19
4.68%,
04/15/2047
(f),(k)
1,359‌
1,134‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C21
1.00%,
08/15/2047
(k),(l)
38,002‌
1,167‌
JPMBB
Commercial
Mortgage
Securities
Trust
2014-C24
3.91%,
11/15/2047
(f),(k)
20,500‌
16,465‌
JPMBB
Commercial
Mortgage
Securities
Trust
2015-C28
0.50%,
10/15/2048
(f),(k),(l)
54,005‌
1,075‌
0.97%,
10/15/2048
(k),(l)
47,373‌
1,677‌
JPMBB
Commercial
Mortgage
Securities
Trust
2015-C29
3.71%,
05/15/2048
(k)
5,270‌
3,475‌
JPMBB
Commercial
Mortgage
Securities
Trust
2015-C30
0.51%,
07/15/2048
(k),(l)
71,149‌
1,543‌
JPMBB
Commercial
Mortgage
Securities
Trust
2015-C31
0.50%,
08/15/2048
(f),(k),(l)
42,377‌
893‌
JPMCC
Commercial
Mortgage
Securities
Trust
2017-JP6
1.14%,
07/15/2050
(k),(l)
19,819‌
1,024‌
JPMCC
Commercial
Mortgage
Securities
Trust
2017-JP7
4.40%,
09/15/2050
(f),(k)
14,734‌
12,008‌
JPMCC
Commercial
Mortgage
Securities
Trust
2019-COR4
1.12%,
03/10/2052
(k),(l)
34,292‌
2,622‌
2.01%,
03/10/2052
(f),(k),(l)
18,869‌
2,644‌
3.00%,
03/10/2052
(f)
7,000‌
4,516‌
3.00%,
03/10/2052
(f)
1,000‌
553‌
JPMCC
Commercial
Mortgage
Securities
Trust
2019-COR5
1.78%,
06/13/2052
(f),(k),(l)
8,500‌
1,084‌
LB
Commercial
Mortgage
Trust
2007-C3
5.91%,
07/15/2044
(k)
242‌
239‌
5.91%,
07/15/2044
(k)
6,369‌
6,146‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
48
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
LB-UBS
Commercial
Mortgage
Trust
2006-C7
5.41%,
11/15/2038
$
10,449‌
$
5,728‌
LB-UBS
Commercial
Mortgage
Trust
2007-C6
6.28%,
07/15/2040
(k)
13,250‌
12,707‌
6.28%,
07/15/2040
(k)
8,841‌
7,515‌
ML-CFC
Commercial
Mortgage
Trust
2007-5
5.45%,
08/12/2048
(k)
2,797‌
1,617‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2012-C5
4.68%,
08/15/2045
(f),(k)
3,037‌
2,652‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2013-C8
4.06%,
12/15/2048
(f),(k)
10,000‌
7,984‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2014-C14
4.95%,
02/15/2047
(f),(k)
5,331‌
3,928‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2014-C16
4.27%,
06/15/2047
(f),(k)
17,104‌
8,844‌
4.77%,
06/15/2047
(f),(k)
10,598‌
6,888‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2015-C20
1.31%,
02/15/2048
(k),(l)
47,831‌
1,981‌
1.39%,
02/15/2048
(f),(k),(l)
41,500‌
2,254‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2015-C21
0.88%,
03/15/2048
(k),(l)
30,641‌
989‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2015-C26
3.06%,
10/15/2048
(f)
2,185‌
1,665‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2016-C29
1.58%,
05/15/2049
(k),(l)
41,234‌
2,659‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2016-C31
1.31%,
11/15/2049
(f),(k),(l)
21,213‌
1,394‌
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2016-C32
0.72%,
12/15/2049
(k),(l)
74,074‌
2,630‌
Morgan
Stanley
Capital
I
Trust
2011-C3
0.62%,
07/15/2049
(f),(k),(l)
13,379‌
50‌
Morgan
Stanley
Capital
I
Trust
2018-H3
1.85%,
07/15/2051
(f),(k),(l)
7,682‌
922‌
Morgan
Stanley
Capital
I
Trust
2018-L1
3.00%,
10/15/2051
(f)
5,000‌
3,247‌
Morgan
Stanley
Capital
I
Trust
2019-H6
1.58%,
06/15/2052
(f),(k),(l)
4,693‌
522‌
3.00%,
06/15/2052
(f)
2,122‌
1,448‌
Morgan
Stanley
Capital
I
Trust
2019-L3
1.16%,
11/15/2052
(f),(k),(l)
15,090‌
1,311‌
2.50%,
11/15/2052
(f),(k)
1,300‌
659‌
Morgan
Stanley
Capital
I
Trust
2020-L4
1.17%,
02/15/2053
(f),(k),(l)
13,626‌
1,237‌
2.50%,
02/15/2053
(f)
3,000‌
1,903‌
2.50%,
02/15/2053
(f)
2,250‌
1,098‌
SG
Commercial
Mortgage
Securities
Trust
2016-C5
0.91%,
10/10/2048
(k),(l)
17,960‌
886‌
UBS
Commercial
Mortgage
Trust
1.90%,
10/15/2052
(f),(k),(l)
12,767‌
1,666‌
UBS
Commercial
Mortgage
Trust
2012-C1
5.00%,
05/10/2045
(f),(k)
8,000‌
2,729‌
UBS
Commercial
Mortgage
Trust
2019-C18
1.45%,
12/15/2052
(f),(k)
11,574‌
1,220‌
2.50%,
12/15/2052
(f)
2,500‌
1,640‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
UBS-Barclays
Commercial
Mortgage
Trust
2012-C3
5.00%,
08/10/2049
(f),(k)
$
20,994‌
$
17,207‌
5.03%,
08/10/2049
(f),(k)
15,827‌
14,465‌
Wells
Fargo
Commercial
Mortgage
Trust
2010-C1
0.58%,
11/15/2043
(f),(k),(l)
13,501‌
3‌
Wells
Fargo
Commercial
Mortgage
Trust
2014-LC18
1.04%,
12/15/2047
(k),(l)
72,064‌
2,560‌
Wells
Fargo
Commercial
Mortgage
Trust
2015-C28
4.10%,
05/15/2048
(k)
5,000‌
3,661‌
Wells
Fargo
Commercial
Mortgage
Trust
2015-NXS1
0.41%,
05/15/2048
(k),(l)
24,936‌
538‌
4.16%,
05/15/2048
(k)
3,580‌
2,857‌
Wells
Fargo
Commercial
Mortgage
Trust
2015-NXS3
1.06%,
09/15/2057
(k),(l)
20,946‌
754‌
Wells
Fargo
Commercial
Mortgage
Trust
2016-C34
2.11%,
06/15/2049
(k),(l)
34,575‌
2,688‌
Wells
Fargo
Commercial
Mortgage
Trust
2016-C35
1.94%,
07/15/2048
(k),(l)
37,925‌
3,213‌
Wells
Fargo
Commercial
Mortgage
Trust
2016-C36
4.18%,
11/15/2059
(k)
4,000‌
3,231‌
Wells
Fargo
Commercial
Mortgage
Trust
2016-NXS5
4.97%,
01/15/2059
(k)
4,254‌
3,202‌
Wells
Fargo
Commercial
Mortgage
Trust
2017-C40
4.33%,
10/15/2050
(k)
5,000‌
4,474‌
Wells
Fargo
Commercial
Mortgage
Trust
2017-C42
1.57%,
12/15/2050
(f),(k),(l)
20,343‌
1,930‌
Wells
Fargo
Commercial
Mortgage
Trust
2018-C43
1.62%,
03/15/2051
(f),(k),(l)
6,614‌
683‌
Wells
Fargo
Commercial
Mortgage
Trust
2018-C44
1.83%,
05/15/2051
(f),(k),(l)
8,022‌
938‌
3.00%,
05/15/2051
(f)
5,000‌
3,766‌
Wells
Fargo
Commercial
Mortgage
Trust
2018-C45
1.88%,
06/15/2051
(f),(k),(l)
2,647‌
326‌
3.00%,
06/15/2051
(f)
1,250‌
825‌
Wells
Fargo
Commercial
Mortgage
Trust
2018-C47
1.94%,
09/15/2061
(f),(k),(l)
14,133‌
1,852‌
Wells
Fargo
Commercial
Mortgage
Trust
2018-C48
0.95%,
01/15/2052
(k),(l)
68,458‌
4,278‌
Wells
Fargo
Commercial
Mortgage
Trust
2019-C49
2.14%,
03/15/2052
(f),(k),(l)
4,336‌
645‌
3.00%,
03/15/2052
(f)
2,500‌
1,617‌
Wells
Fargo
Commercial
Mortgage
Trust
2019-C50
2.01%,
05/15/2052
(f),(k),(l)
14,851‌
2,123‌
Wells
Fargo
Commercial
Mortgage
Trust
2019-C53
1.44%,
10/15/2052
(f),(k),(l)
8,777‌
955‌
2.50%,
10/15/2052
(f)
3,000‌
2,335‌
Wells
Fargo
Commercial
Mortgage
Trust
2019-C54
1.37%,
12/15/2052
(f),(k),(l)
6,363‌
667‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
49
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
Wells
Fargo
Commercial
Mortgage
Trust
2020-C55
1.43%,
02/15/2053
(f),(k),(l)
$
14,583‌
$
1,591‌
2.50%,
02/15/2053
(f)
5,000‌
3,513‌
WFRBS
Commercial
Mortgage
Trust
2014-C20
3.99%,
05/15/2047
(f)
8,600‌
4,872‌
4.51%,
05/15/2047
(k)
1,000‌
871‌
WFRBS
Commercial
Mortgage
Trust
2014-C22
3.90%,
09/15/2057
(f),(k)
10,000‌
7,502‌
WFRBS
Commercial
Mortgage
Trust
2014-C24
3.69%,
11/15/2047
(f)
3,047‌
1,552‌
3.93%,
11/15/2047
2,370‌
2,550‌
$
810,621‌
Commercial
Services
-
0.80%
Adani
Ports
&
Special
Economic
Zone
Ltd
4.20%,
08/04/2027
(f),(m)
725‌
727‌
4.38%,
07/03/2029
(f)
1,605‌
1,612‌
ASGN
Inc
4.63%,
05/15/2028
(f)
6,975‌
7,132‌
GEMS
MENASA
Cayman
Ltd
/
GEMS
Education
Delaware
LLC
7.13%,
07/31/2026
(f)
800‌
776‌
Loxam
SAS
6.00%,
04/15/2025
EUR
500‌
544‌
MPH
Acquisition
Holdings
LLC
7.13%,
06/01/2024
(f)
$
9,900‌
10,160‌
Nielsen
Finance
LLC
/
Nielsen
Finance
Co
5.00%,
04/15/2022
(f)
4,875‌
4,896‌
Refinitiv
US
Holdings
Inc
6.25%,
05/15/2026
(f)
7,375‌
7,974‌
ServiceMaster
Co
LLC/The
5.13%,
11/15/2024
(f)
2,025‌
2,086‌
Sotheby's
7.38%,
10/15/2027
(a),(f)
7,075‌
7,146‌
$
43,053‌
Computers
-
0.07%
International
Business
Machines
Corp
5.60%,
11/30/2039
800‌
1,193‌
Presidio
Holdings
Inc
4.88%,
02/01/2027
(f)
2,225‌
2,270‌
$
3,463‌
Consumer
Products
-
0.03%
Kimberly-Clark
de
Mexico
SAB
de
CV
2.43%,
07/01/2031
(f)
1,540‌
1,561‌
Cosmetics
&
Personal
Care
-
0.12%
High
Ridge
Brands
Co
0.00%,
03/15/2025
(e),(f)
15,607‌
468‌
Procter
&
Gamble
Co/The
1.13%,
11/02/2023
EUR
750‌
923‌
Walnut
Bidco
PLC
9.13%,
08/01/2024
(f)
$
4,700‌
4,756‌
$
6,147‌
Distribution
&
Wholesale
-
0.27%
IAA
Inc
5.50%,
06/15/2027
(f)
4,364‌
4,653‌
Performance
Food
Group
Inc
5.50%,
06/01/2024
(f)
400‌
403‌
5.50%,
10/15/2027
(f)
5,650‌
5,834‌
6.88%,
05/01/2025
(f)
3,375‌
3,637‌
$
14,527‌
Diversified
Financial
Services
-
3.35%
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
6.50%,
07/15/2025
1,100‌
1,180‌
Aircastle
Ltd
4.25%,
06/15/2026
1,200‌
1,128‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Diversified
Financial
Services
(continued)
Alliance
Data
Systems
Corp
4.75%,
12/15/2024
(f)
$
8,750‌
$
8,094‌
Ally
Financial
Inc
5.75%,
11/20/2025
2,115‌
2,388‌
8.00%,
11/01/2031
3,575‌
4,945‌
8.00%,
11/01/2031
700‌
943‌
Capital
One
Financial
Corp
4.15%,
12/31/2049
(
i
)
16,366‌
14,238‌
3
Month
USD
LIBOR
+
3.80%
Charles
Schwab
Corp/The
7.00%,
12/31/2049
(
i
),(j)
4,198‌
4,471‌
3
Month
USD
LIBOR
+
4.82%
Coastal
Emerald
Ltd
4.30%,
12/31/2049
(
i
),(j)
4,600‌
4,694‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
7.45%
Credit
Acceptance
Corp
6.63%,
03/15/2026
1,900‌
1,983‌
Credito
Real
SAB
de
CV
SOFOM
ER
5.00%,
02/01/2027
(f)
EUR
4,000‌
4,021‌
Curo
Group
Holdings
Corp
8.25%,
09/01/2025
(f)
$
2,000‌
1,595‌
Garfunkelux
Holdco
3
SA
8.50%,
11/01/2022
GBP
2,100‌
2,547‌
Intrum
AB
2.75%,
07/15/2022
EUR
850‌
1,000‌
Lincoln
Financing
SARL
3.63%,
04/01/2024
(f)
4,900‌
5,668‌
Mastercard
Inc
3.35%,
03/26/2030
$
2,000‌
2,390‌
Mongolian
Mortgage
Corp
Hfc
LLC
9.75%,
01/29/2022
(f)
1,620‌
1,444‌
Muthoot
Finance
Ltd
4.40%,
09/02/2023
(f)
265‌
260‌
6.13%,
10/31/2022
(f)
790‌
807‌
Nationstar
Mortgage
Holdings
Inc
6.00%,
01/15/2027
(f)
5,650‌
5,763‌
8.13%,
07/15/2023
(f)
9,680‌
10,065‌
NFP
Corp
6.88%,
07/15/2025
(f)
12,043‌
12,438‌
6.88%,
08/15/2028
(f),(m)
28,170‌
28,205‌
8.00%,
07/15/2025
(f)
2,000‌
2,087‌
OneMain
Finance
Corp
6.63%,
01/15/2028
10,675‌
12,233‌
6.88%,
03/15/2025
1,795‌
2,006‌
7.13%,
03/15/2026
2,900‌
3,400‌
Oxford
Finance
LLC
/
Oxford
Finance
Co-Issuer
II
Inc
6.38%,
12/15/2022
(f)
5,375‌
4,999‌
Power
Finance
Corp
Ltd
4.50%,
06/18/2029
5,550‌
5,658‌
Quicken
Loans
LLC
5.25%,
01/15/2028
(f)
7,750‌
8,371‌
5.75%,
05/01/2025
(f)
4,764‌
4,911‌
Swiss
Insured
Brazil
Power
Finance
Sarl
9.85%,
07/16/2032
(f)
BRL
22,530‌
4,956‌
Unifin
Financiera
SAB
de
CV
8.38%,
01/27/2028
(f)
$
5,650‌
4,280‌
Vertex
Capital
Investment
Ltd
4.75%,
04/03/2024
3,600‌
3,743‌
Visa
Inc
3.15%,
12/14/2025
2,000‌
2,256‌
$
179,167‌
Electric
-
1.45%
Acwa
Power
Management
And
Investments
One
Ltd
5.95%,
12/15/2039
(f)
840‌
937‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
50
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
Adani
Electricity
Mumbai
Ltd
3.95%,
02/12/2030
(f)
$
8,023‌
$
7,924‌
Bi
Hai
Co
Ltd
6.25%,
03/05/2022
2,800‌
2,860‌
Cometa
Energia
SA
de
CV
6.38%,
04/24/2035
5,415‌
5,710‌
Dominion
Energy
Inc
4.65%,
12/31/2099
(
i
),(j)
14,597‌
14,866‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.99%
Duke
Energy
Corp
3.75%,
09/01/2046
1,000‌
1,233‌
4.88%,
12/31/2099
(
i
),(j)
6,850‌
7,073‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.39%
E.ON
SE
0.38%,
09/29/2027
EUR
1,700‌
2,029‌
Emera
US
Finance
LP
4.75%,
06/15/2046
$
800‌
1,039‌
Empresas
Publicas
de
Medellin
ESP
4.38%,
02/15/2031
(f)
630‌
644‌
Enel
Chile
SA
4.88%,
06/12/2028
2,000‌
2,362‌
Enel
SpA
8.75%,
09/24/2073
(f),(j)
2,500‌
2,900‌
USD
Swap
Semi-Annual
5
Year
+
5.88%
Eskom
Holdings
SOC
Ltd
7.85%,
04/02/2026
ZAR
31,500‌
1,779‌
FirstEnergy
Corp
7.38%,
11/15/2031
$
1,250‌
1,794‌
Fortis
Inc
/Canada
3.06%,
10/04/2026
1,239‌
1,358‌
Lamar
Funding
Ltd
3.96%,
05/07/2025
1,500‌
1,399‌
LLPL
Capital
Pte
Ltd
6.88%,
02/04/2039
(f)
1,384‌
1,578‌
Minejesa
Capital
BV
4.63%,
08/10/2030
(f)
790‌
831‌
4.63%,
08/10/2030
600‌
631‌
Mong
Duong
Finance
Holdings
BV
5.13%,
05/07/2029
(f)
1,750‌
1,755‌
National
Rural
Utilities
Cooperative
Finance
Corp
5.25%,
04/20/2046
(j)
500‌
540‌
3
Month
USD
LIBOR
+
3.63%
Naturgy
Finance
BV
3.37%,
12/31/2049
(
i
),(j)
EUR
300‌
362‌
EUR
Swap
Annual
(VS
6
Month)
9
Year
+
3.08%
NextEra
Energy
Operating
Partners
LP
4.25%,
09/15/2024
(f)
$
1,750‌
1,864‌
Pampa
Energia
SA
7.50%,
01/24/2027
(f)
1,800‌
1,544‌
7.50%,
01/24/2027
3,000‌
2,572‌
Perusahaan
Perseroan
Persero
PT
Perusahaan
Listrik
Negara
4.13%,
05/15/2027
1,800‌
1,962‌
RWE
AG
3.50%,
04/21/2075
(j)
EUR
500‌
620‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
3.25%
Southern
Co/The
2.95%,
07/01/2023
$
1,800‌
1,912‌
5.50%,
03/15/2057
(j)
2,500‌
2,570‌
3
Month
USD
LIBOR
+
3.63%
Star
Energy
Geothermal
Wayang
Windu
Ltd
6.75%,
04/24/2033
1,814‌
1,946‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
Vistra
Operations
Co
LLC
5.50%,
09/01/2026
(f)
$
890‌
$
938‌
$
77,532‌
Electrical
Components
&
Equipment
-
0.08%
Belden
Inc
2.88%,
09/15/2025
EUR
500‌
567‌
Energizer
Gamma
Acquisition
BV
4.63%,
07/15/2026
550‌
666‌
Energizer
Holdings
Inc
6.38%,
07/15/2026
(f)
$
610‌
650‌
WESCO
Distribution
Inc
7.13%,
06/15/2025
(f)
2,100‌
2,304‌
$
4,187‌
Energy
-
Alternate
Sources
-
0.13%
Azure
Power
Energy
Ltd
5.50%,
11/03/2022
551‌
561‌
Azure
Power
Solar
Energy
Pvt
Ltd
5.65%,
12/24/2024
(f)
800‌
816‌
Enviva
Partners
LP
/
Enviva
Partners
Finance
Corp
6.50%,
01/15/2026
(f)
4,375‌
4,714‌
Greenko
Solar
Mauritius
Ltd
5.55%,
01/29/2025
(a)
900‌
907‌
$
6,998‌
Engineering
&
Construction
-
0.22%
Bioceanico
Sovereign
Certificate
Ltd
0.00%,
06/05/2034
(e),(f)
1,471‌
1,057‌
IHS
Netherlands
Holdco
BV
7.13%,
03/18/2025
(f)
5,850‌
5,924‌
8.00%,
09/18/2027
(f)
1,580‌
1,608‌
MasTec
Inc
4.88%,
03/15/2023
1,220‌
1,231‌
Mexico
City
Airport
Trust
5.50%,
07/31/2047
(f)
990‌
831‌
Tutor
Perini
Corp
6.88%,
05/01/2025
(f)
1,240‌
1,237‌
$
11,888‌
Entertainment
-
0.70%
Caesars
Resort
Collection
LLC
/
CRC
Finco
Inc
5.25%,
10/15/2025
(f)
8,004‌
7,216‌
Cinemark
USA
Inc
4.88%,
06/01/2023
5,575‌
4,739‌
8.75%,
05/01/2025
(f)
2,700‌
2,788‌
Colt
Merger
Sub
Inc
5.75%,
07/01/2025
(f)
2,625‌
2,730‌
International
Game
Technology
PLC
6.50%,
02/15/2025
(f)
2,365‌
2,548‌
Lions
Gate
Capital
Holdings
LLC
5.88%,
11/01/2024
(f)
1,315‌
1,312‌
Live
Nation
Entertainment
Inc
5.63%,
03/15/2026
(f)
1,550‌
1,473‌
6.50%,
05/15/2027
(f)
6,000‌
6,450‌
Resorts
World
Las
Vegas
LLC
/
RWLV
Capital
Inc
4.63%,
04/16/2029
1,500‌
1,482‌
Sisal
Group
SpA
7.00%,
07/31/2023
EUR
344‌
410‌
Speedway
Motorsports
LLC
/
Speedway
Funding
II
Inc
4.88%,
11/01/2027
(f)
$
5,500‌
5,005‌
Stars
Group
Holdings
BV
/
Stars
Group
US
Co-
Borrower
LLC
7.00%,
07/15/2026
(f)
1,200‌
1,295‌
$
37,448‌
Environmental
Control
-
0.30%
Covanta
Holding
Corp
5.88%,
07/01/2025
4,425‌
4,580‌
6.00%,
01/01/2027
6,750‌
6,986‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
51
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Environmental
Control
(continued)
GFL
Environmental
Inc
5.13%,
12/15/2026
(f)
$
875‌
$
929‌
7.00%,
06/01/2026
(f)
2,544‌
2,697‌
8.50%,
05/01/2027
(f)
890‌
997‌
$
16,189‌
Food
-
0.59%
Alicorp
SAA
6.88%,
04/17/2027
(f)
PEN
5,949‌
1,892‌
BRF
SA
4.88%,
01/24/2030
(f)
$
785‌
785‌
Casino
Guichard
Perrachon
SA
4.50%,
03/07/2024
EUR
1,700‌
1,677‌
Grupo
Bimbo
SAB
de
CV
5.95%,
12/31/2099
(f),(
i
),(j)
$
1,290‌
1,355‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.28%
Ingles
Markets
Inc
5.75%,
06/15/2023
1,506‌
1,528‌
Kraft
Heinz
Foods
Co
5.00%,
07/15/2035
1,700‌
1,992‌
MARB
BondCo
PLC
6.88%,
01/19/2025
480‌
502‌
6.88%,
01/19/2025
(f)
3,850‌
4,023‌
Minerva
Luxembourg
SA
5.88%,
01/19/2028
(f)
950‌
990‌
Mondelez
International
Inc
2.13%,
04/13/2023
1,300‌
1,354‌
Nestle
Holdings
Inc
4.00%,
09/24/2048
(f)
1,600‌
2,245‌
Post
Holdings
Inc
5.00%,
08/15/2026
(f)
4,460‌
4,674‌
Simmons
Foods
Inc
5.75%,
11/01/2024
(f)
3,670‌
3,688‌
US
Foods
Inc
5.88%,
06/15/2024
(f)
5,018‌
5,009‌
$
31,714‌
Food
Service
-
0.16%
Aramark
Services
Inc
5.00%,
02/01/2028
(f)
5,585‌
5,620‌
6.38%,
05/01/2025
(f)
2,850‌
3,007‌
$
8,627‌
Forest
Products
&
Paper
-
0.01%
Celulosa
Arauco
y
Constitucion
SA
4.25%,
04/30/2029
(f)
600‌
631‌
Gas
-
0.13%
NiSource
Inc
5.65%,
12/31/2049
(
i
),(j)
7,000‌
6,825‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.84%
Hand
&
Machine
Tools
-
0.37%
Apex
Tool
Group
LLC
/
BC
Mountain
Finance
Inc
9.00%,
02/15/2023
(f)
17,280‌
13,824‌
Stanley
Black
&
Decker
Inc
4.00%,
03/15/2060
(j)
5,566‌
5,796‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.66%
$
19,620‌
Healthcare
-
Products
-
0.07%
Avantor
Funding
Inc
4.63%,
07/15/2028
(f)
3,000‌
3,170‌
Medtronic
Global
Holdings
SCA
1.75%,
07/02/2049
EUR
500‌
626‌
$
3,796‌
Healthcare
-
Services
-
2.72%
Acadia
Healthcare
Co
Inc
5.50%,
07/01/2028
(f)
$
2,050‌
2,160‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Healthcare
-
Services
(continued)
Anthem
Inc
3.65%,
12/01/2027
$
1,700‌
$
1,960‌
Centene
Corp
5.25%,
04/01/2025
(f)
1,210‌
1,262‌
Encompass
Health
Corp
4.50%,
02/01/2028
3,400‌
3,553‌
5.75%,
09/15/2025
1,550‌
1,604‌
Envision
Healthcare
Corp
8.75%,
10/15/2026
(f)
15,900‌
6,360‌
Fresenius
SE
&
Co
KGaA
0.75%,
01/15/2028
EUR
800‌
941‌
IQVIA
Inc
3.25%,
03/15/2025
700‌
836‌
LifePoint
Health
Inc
4.38%,
02/15/2027
(f)
$
2,375‌
2,427‌
MEDNAX
Inc
6.25%,
01/15/2027
(f)
2,000‌
2,115‌
One
Call
Corp
8.25%,
PIK
11.50%,
07/01/2024
(f),(k),(n)
77,900‌
70,110‌
Polaris
Intermediate
Corp
8.50%,
PIK
9.25%,
12/01/2022
(a),(f),(k),(n)
7,025‌
7,148‌
Radiology
Partners
Inc
9.25%,
02/01/2028
(f)
6,275‌
6,291‌
Surgery
Center
Holdings
Inc
6.75%,
07/01/2025
(f)
6,488‌
6,277‌
10.00%,
04/15/2027
(f)
9,637‌
10,218‌
Tenet
Healthcare
Corp
4.63%,
07/15/2024
2,650‌
2,696‌
4.63%,
09/01/2024
(f)
2,550‌
2,607‌
5.13%,
05/01/2025
5,800‌
5,967‌
5.13%,
11/01/2027
(f)
200‌
212‌
8.13%,
04/01/2022
4,375‌
4,714‌
UnitedHealth
Group
Inc
6.88%,
02/15/2038
1,250‌
2,070‌
West
Street
Merger
Sub
Inc
6.38%,
09/01/2025
(f)
4,350‌
4,415‌
$
145,943‌
Holding
Companies
-
Diversified
-
0.08%
CK
Hutchison
Finance
16
Ltd
1.25%,
04/06/2023
EUR
2,100‌
2,520‌
ProGroup
AG
3.00%,
03/31/2026
1,550‌
1,792‌
$
4,312‌
Home
Builders
-
0.04%
Taylor
Morrison
Communities
Inc
/
Taylor
Morrison
Holdings
II
Inc
5.63%,
03/01/2024
(f)
$
1,755‌
1,869‌
Insurance
-
3.29%
Acrisure
LLC
/
Acrisure
Finance
Inc
7.00%,
11/15/2025
(f)
19,032‌
19,224‌
8.13%,
02/15/2024
(f)
4,110‌
4,367‌
AIG
Life
Holdings
Inc
8.50%,
07/01/2030
4,995‌
6,562‌
Allstate
Corp/The
5.75%,
08/15/2053
(j)
4,808‌
5,114‌
3
Month
USD
LIBOR
+
2.94%
6.50%,
05/15/2067
(j)
7,232‌
8,948‌
3
Month
USD
LIBOR
+
2.12%
American
International
Group
Inc
5.75%,
04/01/2048
(j)
1,350‌
1,480‌
3
Month
USD
LIBOR
+
2.87%
8.18%,
05/15/2068
(j)
3,850‌
5,313‌
3
Month
USD
LIBOR
+
4.20%
Argentum
Netherlands
BV
for
Swiss
Re
Ltd
5.63%,
08/15/2052
(j)
9,500‌
10,533‌
3
Month
USD
LIBOR
+
3.78%
5.75%,
08/15/2050
(j)
1,000‌
1,098‌
3
Month
USD
LIBOR
+
3.59%
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
52
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Insurance
(continued)
Argentum
Netherlands
BV
for
Zurich
Insurance
Co
Ltd
5.13%,
06/01/2048
(j)
$
2,000‌
$
2,243‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.27%
AssuredPartners
Inc
7.00%,
08/15/2025
(f)
14,223‌
14,436‌
AXA
SA
6.38%,
12/31/2049
(f),(
i
),(j)
3,000‌
3,982‌
3
Month
USD
LIBOR
+
2.26%
8.60%,
12/15/2030
1,000‌
1,490‌
Caisse
Nationale
de
Reassurance
Mutuelle
Agricole
Groupama
6.38%,
12/31/2049
(
i
),(j)
EUR
1,500‌
1,979‌
3
Month
Euro
Interbank
Offered
Rate
+
5.77%
CCB
Life
Insurance
Co
Ltd
4.50%,
04/21/2077
(j)
$
2,700‌
2,647‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.68%
Cloverie
PLC
for
Zurich
Insurance
Co
Ltd
5.63%,
06/24/2046
(j)
2,000‌
2,296‌
3
Month
USD
LIBOR
+
4.92%
GTCR
AP
Finance
Inc
8.00%,
05/15/2027
(f)
4,790‌
5,053‌
Heungkuk
Life
Insurance
Co
Ltd
4.48%,
12/31/2049
(
i
),(j)
600‌
595‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
2.47%
Liberty
Mutual
Group
Inc
3.95%,
10/15/2050
(f)
1,500‌
1,746‌
7.80%,
03/07/2087
(f)
7,361‌
8,850‌
3
Month
USD
LIBOR
+
3.58%
Liberty
Mutual
Insurance
Co
7.70%,
10/15/2097
(f)
946‌
1,606‌
Lincoln
National
Corp
2.31%,
04/20/2067
5,584‌
3,797‌
3
Month
USD
LIBOR
+
2.04%
2.74%,
05/17/2066
600‌
420‌
3
Month
USD
LIBOR
+
2.36%
M&G
PLC
6.50%,
10/20/2048
(j)
3,200‌
3,728‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.41%
Mapfre
SA
1.63%,
05/19/2026
EUR
1,600‌
2,036‌
Massachusetts
Mutual
Life
Insurance
Co
3.38%,
04/15/2050
(f)
$
2,300‌
2,550‌
Meiji
Yasuda
Life
Insurance
Co
5.20%,
10/20/2045
(f),(j)
1,850‌
2,104‌
USD
Swap
Semi-Annual
5
Year
+
4.23%
MetLife
Inc
9.25%,
04/08/2068
(f)
8,000‌
11,880‌
3
Month
USD
LIBOR
+
5.54%
10.75%,
08/01/2069
900‌
1,477‌
3
Month
USD
LIBOR
+
7.55%
Mitsui
Sumitomo
Insurance
Co
Ltd
7.00%,
03/15/2072
(f),(j)
7,500‌
8,100‌
3
Month
USD
LIBOR
+
5.90%
Nippon
Life
Insurance
Co
5.10%,
10/16/2044
(f),(j)
5,000‌
5,650‌
USD
Swap
Rate
NY
5
Year
+
3.65%
Prudential
Financial
Inc
5.88%,
09/15/2042
2,879‌
3,085‌
3
Month
USD
LIBOR
+
8.35%
QBE
Insurance
Group
Ltd
6.75%,
12/02/2044
(j)
6,000‌
6,632‌
USD
Swap
Semi-Annual
10
Year
+
4.30%
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Insurance
(continued)
Societa
Cattolica
di
Assicurazioni
SC
4.25%,
12/14/2047
(j)
EUR
800‌
$
938‌
3
Month
Euro
Interbank
Offered
Rate
+
4.46%
Sumitomo
Life
Insurance
Co
6.50%,
09/20/2073
(f),(j)
$
6,985‌
7,937‌
3
Month
USD
LIBOR
+
4.44%
Swiss
Re
Finance
Luxembourg
SA
5.00%,
04/02/2049
(f),(j)
1,200‌
1,354‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.58%
Talanx
AG
2.25%,
12/05/2047
(j)
EUR
200‌
245‌
3
Month
Euro
Interbank
Offered
Rate
+
2.45%
Voya
Financial
Inc
5.65%,
05/15/2053
(j)
$
3,300‌
3,429‌
3
Month
USD
LIBOR
+
3.58%
6.13%,
12/31/2049
(
i
),(j)
1,500‌
1,551‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.36%
$
176,475‌
Internet
-
0.35%
Alibaba
Group
Holding
Ltd
3.40%,
12/06/2027
2,000‌
2,273‌
Alphabet
Inc
2.00%,
08/15/2026
2,200‌
2,382‌
Booking
Holdings
Inc
3.60%,
06/01/2026
1,200‌
1,352‌
JD.com
Inc
4.13%,
01/14/2050
1,340‌
1,589‌
Netflix
Inc
3.63%,
05/15/2027
EUR
500‌
638‌
4.38%,
11/15/2026
$
1,885‌
2,093‌
Prosus
NV
4.03%,
08/03/2050
(f),(m)
770‌
802‌
Tencent
Holdings
Ltd
2.39%,
06/03/2030
(f)
1,455‌
1,512‌
3.98%,
04/11/2029
(f)
3,940‌
4,589‌
Uber
Technologies
Inc
8.00%,
11/01/2026
(f)
1,500‌
1,574‌
$
18,804‌
Investment
Companies
-
0.02%
Huarong
Finance
2017
Co
Ltd
4.50%,
12/31/2049
(
i
),(j)
600‌
610‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
7.77%
PTT
Treasury
Center
Co
Ltd
3.70%,
07/16/2070
(f)
625‌
694‌
$
1,304‌
Iron
&
Steel
-
2.30%
Allegheny
Technologies
Inc
5.88%,
12/01/2027
3,380‌
3,203‌
7.88%,
08/15/2023
1,820‌
1,916‌
Baffinland
Iron
Mines
Corp
/
Baffinland
Iron
Mines
LP
8.75%,
07/15/2026
(f)
18,230‌
18,920‌
Big
River
Steel
LLC
/
BRS
Finance
Corp
7.25%,
09/01/2025
(f)
6,098‌
6,155‌
Cleveland-Cliffs
Inc
6.75%,
03/15/2026
(f)
3,560‌
3,578‌
CSN
Islands
XI
Corp
6.75%,
01/28/2028
(f)
5,760‌
5,328‌
GTL
Trade
Finance
Inc
7.25%,
04/16/2044
(a)
1,800‌
2,259‌
GTL
Trade
Finance
Inc
/
Gerdau
Holdings
Inc
5.89%,
04/29/2024
(f)
385‌
419‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
53
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Iron
&
Steel
(continued)
JSW
Steel
Ltd
5.25%,
04/13/2022
$
2,850‌
$
2,840‌
Material
Sciences
Corp
0.00%,
PIK
9.75%,
01/09/2024
(e),(g),(h),(k),(n),(o)
22,692‌
22,465‌
Metinvest
BV
5.63%,
06/17/2025
(f)
EUR
4,950‌
5,236‌
7.75%,
04/23/2023
$
4,213‌
4,143‌
Samarco
Mineracao
SA
0.00%,
11/01/2022
(e),(f)
2,300‌
1,196‌
Specialty
Steel
10.68%,
11/15/2022
(g),(h),(k),(o)
41,564‌
41,564‌
Vale
Overseas
Ltd
3.75%,
07/08/2030
890‌
955‌
6.25%,
08/10/2026
270‌
325‌
6.88%,
11/10/2039
325‌
447‌
Vale
SA
3.75%,
01/10/2023
EUR
1,600‌
1,978‌
$
122,927‌
Lodging
-
0.65%
Boyd
Gaming
Corp
4.75%,
12/01/2027
(f)
$
4,975‌
4,782‌
6.00%,
08/15/2026
3,675‌
3,704‌
Gohl
Capital
Ltd
4.25%,
01/24/2027
4,000‌
4,071‌
Melco
Resorts
Finance
Ltd
4.88%,
06/06/2025
4,500‌
4,557‌
Station
Casinos
LLC
5.00%,
10/01/2025
(f)
12,023‌
11,377‌
Studio
City
Finance
Ltd
7.25%,
02/11/2024
4,500‌
4,791‌
Wynn
Las
Vegas
LLC
/
Wynn
Las
Vegas
Capital
Corp
5.25%,
05/15/2027
(f)
1,840‌
1,639‌
$
34,921‌
Machinery
-
Diversified
-
0.39%
JPW
Industries
Holding
Corp
9.00%,
10/01/2024
(f)
17,080‌
14,347‌
Mueller
Water
Products
Inc
5.50%,
06/15/2026
(f)
1,175‌
1,235‌
Titan
Acquisition
Ltd
/
Titan
Co-Borrower
LLC
7.75%,
04/15/2026
(f)
5,440‌
5,372‌
$
20,954‌
Media
-
2.35%
Altice
Finco
SA
4.75%,
01/15/2028
EUR
300‌
328‌
AMC
Networks
Inc
4.75%,
08/01/2025
$
2,045‌
2,096‌
5.00%,
04/01/2024
3,875‌
3,938‌
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp
4.50%,
08/15/2030
(f)
5,675‌
6,015‌
4.50%,
05/01/2032
(f)
2,975‌
3,139‌
4.75%,
03/01/2030
(f)
1,925‌
2,049‌
5.38%,
06/01/2029
(f)
4,800‌
5,256‌
5.50%,
05/01/2026
(f)
2,105‌
2,227‌
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
3.70%,
04/01/2051
500‌
524‌
4.46%,
07/23/2022
1,450‌
1,545‌
Comcast
Corp
4.15%,
10/15/2028
2,000‌
2,458‌
CSC
Holdings
LLC
4.63%,
12/01/2030
(f)
1,850‌
1,942‌
5.25%,
06/01/2024
4,615‌
5,076‌
5.38%,
02/01/2028
(f)
4,676‌
5,062‌
5.75%,
01/15/2030
(f)
4,700‌
5,210‌
7.50%,
04/01/2028
(f)
2,150‌
2,473‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Media
(continued)
Diamond
Sports
Group
LLC
/
Diamond
Sports
Finance
Co
5.38%,
08/15/2026
(f)
$
6,000‌
$
4,620‌
6.63%,
08/15/2027
(f)
11,250‌
6,159‌
DISH
DBS
Corp
5.88%,
11/15/2024
1,565‌
1,632‌
7.75%,
07/01/2026
610‌
688‌
Grupo
Televisa
SAB
5.00%,
05/13/2045
1,400‌
1,617‌
Meredith
Corp
6.88%,
02/01/2026
1,130‌
982‌
Midcontinent
Communications
/
Midcontinent
Finance
Corp
5.38%,
08/15/2027
(f)
3,414‌
3,544‌
Nexstar
Broadcasting
Inc
5.63%,
07/15/2027
(f)
7,850‌
8,402‌
Shaw
Communications
Inc
6.75%,
11/09/2039
CAD
1,100‌
1,199‌
Sinclair
Television
Group
Inc
5.50%,
03/01/2030
(f)
$
4,175‌
4,174‌
SportsNet
New
York
10.25%,
01/15/2025
(g),(h),(o)
20,090‌
20,944‌
UPC
Holding
BV
3.88%,
06/15/2029
EUR
500‌
561‌
Urban
One
Inc
7.38%,
04/15/2022
(f)
$
2,960‌
2,627‌
Virgin
Media
Finance
PLC
5.00%,
07/15/2030
(f)
4,500‌
4,702‌
Virgin
Media
Secured
Finance
PLC
5.50%,
08/15/2026
(f)
1,350‌
1,434‌
VTR
Finance
NV
6.38%,
07/15/2028
(f)
575‌
613‌
Ziggo
Bond
Co
BV
6.00%,
01/15/2027
(f)
4,900‌
5,194‌
Ziggo
BV
5.50%,
01/15/2027
(f)
7,025‌
7,411‌
$
125,841‌
Metal
Fabrication
&
Hardware
-
0.30%
HTA
Group
Ltd/Mauritius
7.00%,
12/18/2025
(f)
515‌
531‌
Optimas
OE
Solutions
Holding
LLC
/
Optimas
OE
Solutions
Inc
8.63%,
06/01/2021
(f)
29,884‌
14,942‌
Park-Ohio
Industries
Inc
6.63%,
04/15/2027
885‌
777‌
$
16,250‌
Mining
-
1.37%
Arconic
Corp
6.13%,
02/15/2028
(f)
8,375‌
8,909‌
Century
Aluminum
Co
12.00%,
07/01/2025
(f)
8,850‌
9,116‌
Constellium
SE
5.63%,
06/15/2028
(f)
850‌
892‌
First
Quantum
Minerals
Ltd
6.88%,
03/01/2026
(f)
750‌
752‌
Hudbay
Minerals
Inc
7.63%,
01/15/2025
(f)
955‌
967‌
Indonesia
Asahan
Aluminium
Persero
PT
4.75%,
05/15/2025
(f)
2,950‌
3,241‌
Industrias
Penoles
SAB
de
CV
4.15%,
09/12/2029
2,800‌
3,010‌
4.75%,
08/06/2050
(f),(m)
675‌
699‌
5.65%,
09/12/2049
(f)
790‌
920‌
Joseph
T
Ryerson
&
Son
Inc
8.50%,
08/01/2028
(f)
7,230‌
7,875‌
Kaiser
Aluminum
Corp
6.50%,
05/01/2025
(f)
2,000‌
2,120‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
54
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mining
(continued)
Newmont
Corp
4.88%,
03/15/2042
$
1,000‌
$
1,382‌
Northwest
Acquisitions
ULC
/
Dominion
Finco
Inc
0.00%,
11/01/2022
(e),(f)
19,888‌
249‌
Novelis
Corp
4.75%,
01/30/2030
(f)
9,325‌
9,728‌
5.88%,
09/30/2026
(f)
700‌
747‌
Petropavlovsk
2016
Ltd
8.13%,
11/14/2022
1,500‌
1,574‌
Real
Alloy
Holding
Inc
0.00%,
PIK
13.00%,
11/30/2023
(e),(g),(h),(k),(n),(o)
19,795‌
19,795‌
Rusal
Capital
DAC
5.13%,
02/02/2022
1,600‌
1,610‌
$
73,586‌
Miscellaneous
Manufacturers
-
0.02%
Illinois
Tool
Works
Inc
3.90%,
09/01/2042
1,000‌
1,313‌
Oil
&
Gas
-
3.29%
BP
Capital
Markets
America
Inc
3.00%,
02/24/2050
1,500‌
1,616‌
Cenovus
Energy
Inc
5.38%,
07/15/2025
5,440‌
5,441‌
CNOOC
Finance
2013
Ltd
2.88%,
09/30/2029
2,500‌
2,710‌
Cosan
Luxembourg
SA
7.00%,
01/20/2027
(a)
1,800‌
1,928‌
Ecopetrol
SA
6.88%,
04/29/2030
1,280‌
1,542‌
Endeavor
Energy
Resources
LP
/
EER
Finance
Inc
5.75%,
01/30/2028
(f)
4,775‌
4,900‌
Energy
Ventures
Gom
LLC
/
EnVen
Finance
Corp
11.00%,
02/15/2023
(f)
4,270‌
3,587‌
Exxon
Mobil
Corp
4.23%,
03/19/2040
1,000‌
1,283‌
Gran
Tierra
Energy
Inc
7.75%,
05/23/2027
(f)
1,285‌
606‌
Hilcorp
Energy
I
LP
/
Hilcorp
Finance
Co
5.75%,
10/01/2025
(f)
8,391‌
7,956‌
HollyFrontier
Corp
5.88%,
04/01/2026
1,500‌
1,646‌
Jagged
Peak
Energy
LLC
5.88%,
05/01/2026
7,730‌
7,885‌
KazMunayGas
National
Co
JSC
4.75%,
04/19/2027
335‌
375‌
Kosmos
Energy
Ltd
7.13%,
04/04/2026
(f)
650‌
579‌
Medco
Bell
Pte
Ltd
6.38%,
01/30/2027
(f)
1,590‌
1,448‌
MEG
Energy
Corp
6.50%,
01/15/2025
(f)
1,050‌
1,032‌
7.13%,
02/01/2027
(f)
8,525‌
7,587‌
Moss
Creek
Resources
Holdings
Inc
7.50%,
01/15/2026
(f)
700‌
408‌
NAK
Naftogaz
Ukraine
via
Kondor
Finance
PLC
7.13%,
07/19/2024
EUR
4,000‌
4,599‌
Nexen
Inc
5.88%,
03/10/2035
$
500‌
722‌
Occidental
Petroleum
Corp
2.90%,
08/15/2024
3,225‌
3,035‌
3.00%,
02/15/2027
3,450‌
3,045‌
3.20%,
08/15/2026
4,556‌
4,147‌
3.40%,
04/15/2026
7,956‌
7,200‌
3.50%,
08/15/2029
1,650‌
1,466‌
4.10%,
02/15/2047
700‌
549‌
5.55%,
03/15/2026
400‌
401‌
6.45%,
09/15/2036
2,300‌
2,314‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
Occidental
Petroleum
Corp  
(continued)
8.88%,
07/15/2030
$
3,470‌
$
3,904‌
Odebrecht
Drilling
Norbe
VIII/IX
Ltd
6.35%,
12/01/2021
4,138‌
3,724‌
Odebrecht
Offshore
Drilling
Finance
Ltd
6.72%,
12/01/2022
4,293‌
3,735‌
Oil
India
Ltd
5.13%,
02/04/2029
2,200‌
2,362‌
PDC
Energy
Inc
5.75%,
05/15/2026
7,575‌
7,592‌
Pertamina
Persero
PT
5.63%,
05/20/2043
(f)
1,190‌
1,492‌
Petroamazonas
EP
4.63%,
12/06/2021
117‌
90‌
4.63%,
12/06/2021
(f)
1,899‌
1,472‌
Petrobras
Global
Finance
BV
5.09%,
01/15/2030
(f)
5,300‌
5,459‌
5.60%,
01/03/2031
490‌
516‌
6.75%,
06/03/2050
785‌
854‌
7.25%,
03/17/2044
1,500‌
1,725‌
Petroleos
de
Venezuela
SA
0.00%,
10/27/2020
(e)
1,028‌
103‌
0.00%,
11/17/2021
(e)
17,250‌
431‌
0.00%,
05/16/2024
(e)
38,002‌
950‌
0.00%,
11/15/2026
(e)
12,045‌
301‌
0.00%,
04/12/2027
(e)
425‌
11‌
0.00%,
05/17/2035
(e)
536‌
13‌
0.00%,
04/12/2037
(e)
12,840‌
321‌
Petroleos
Mexicanos
5.95%,
01/28/2031
(f)
1,095‌
942‌
5.95%,
01/28/2031
340‌
292‌
6.50%,
03/13/2027
5,950‌
5,667‌
6.84%,
01/23/2030
(f)
6,150‌
5,719‌
7.19%,
09/12/2024
MXN
46,500‌
1,813‌
7.69%,
01/23/2050
(f)
$
1,425‌
1,253‌
9.50%,
09/15/2027
1,204‌
1,265‌
Petron
Corp
4.60%,
12/31/2049
(
i
),(j)
750‌
709‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.77%
Petronas
Capital
Ltd
4.55%,
04/21/2050
(f)
510‌
698‌
Phillips
66
3.85%,
04/09/2025
1,200‌
1,346‌
Repsol
International
Finance
BV
4.50%,
03/25/2075
(j)
EUR
300‌
368‌
EUR
Swap
Annual
(VS
6
Month)
10
Year
+
4.20%
SandRidge
Energy
Inc
0.00%,
03/15/2021
(e),(g),(h)
$
3,450‌
—‌
Saudi
Arabian
Oil
Co
4.38%,
04/16/2049
(f)
1,500‌
1,882‌
SEPLAT
Petroleum
Development
Co
Plc
9.25%,
04/01/2023
(f)
890‌
897‌
Southwestern
Energy
Co
7.75%,
10/01/2027
1,030‌
968‌
Sunoco
LP
/
Sunoco
Finance
Corp
4.88%,
01/15/2023
3,020‌
3,069‌
5.50%,
02/15/2026
4,845‌
4,966‌
5.88%,
03/15/2028
1,200‌
1,254‌
6.00%,
04/15/2027
4,450‌
4,695‌
Tecpetrol
SA
4.88%,
12/12/2022
800‌
778‌
Tengizchevroil
Finance
Co
International
Ltd
3.25%,
08/15/2030
(f)
800‌
811‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
55
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
TOTAL
SE
2.63%,
12/31/2049
(
i
),(j)
EUR
2,000‌
$
2,436‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
2.15%
Transocean
Inc
7.25%,
11/01/2025
(f)
$
11,380‌
5,576‌
Tullow
Oil
PLC
7.00%,
03/01/2025
8,000‌
4,760‌
Tupras
Turkiye
Petrol
Rafinerileri
AS
4.50%,
10/18/2024
2,000‌
1,848‌
Valero
Energy
Corp
6.63%,
06/15/2037
900‌
1,243‌
W&T
Offshore
Inc
9.75%,
11/01/2023
(f)
2,500‌
1,667‌
WPX
Energy
Inc
5.25%,
10/15/2027
1,500‌
1,479‌
5.75%,
06/01/2026
2,925‌
2,965‌
$
176,428‌
Oil
&
Gas
Services
-
0.02%
USA
Compression
Partners
LP
/
USA
Compression
Finance
Corp
6.88%,
04/01/2026
1,180‌
1,209‌
Packaging
&
Containers
-
1.16%
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA
Inc
6.00%,
02/15/2025
(f)
1,161‌
1,213‌
Ball
Corp
4.38%,
12/15/2023
EUR
800‌
1,030‌
Berry
Global
Inc
4.50%,
02/15/2026
(f)
$
2,575‌
2,640‌
4.88%,
07/15/2026
(f)
2,400‌
2,535‌
5.63%,
07/15/2027
(f)
5,050‌
5,404‌
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
VI
4.75%,
02/01/2026
325‌
339‌
Crown
Cork
&
Seal
Co
Inc
7.38%,
12/15/2026
1,385‌
1,634‌
Crown
European
Holdings
SA
3.38%,
05/15/2025
EUR
300‌
374‌
Klabin
Austria
GmbH
7.00%,
04/03/2049
$
250‌
274‌
Plastipak
Holdings
Inc
6.25%,
10/15/2025
(f)
6,248‌
6,240‌
Reynolds
Group
Issuer
Inc
/
Reynolds
Group
Issuer
LLC
/
Reynolds
Group
Issuer
(Luxembourg)
S.A.
5.13%,
07/15/2023
(f)
8,500‌
8,630‌
Silgan
Holdings
Inc
3.25%,
03/15/2025
EUR
600‌
716‌
4.13%,
02/01/2028
$
1,125‌
1,153‌
Smurfit
Kappa
Treasury
ULC
1.50%,
09/15/2027
EUR
1,700‌
1,965‌
Trident
TPI
Holdings
Inc
6.63%,
11/01/2025
(f)
$
11,936‌
11,727‌
9.25%,
08/01/2024
(f)
8,420‌
8,936‌
Trivium
Packaging
Finance
BV
5.50%,
08/15/2026
(f)
7,100‌
7,564‌
$
62,374‌
Pharmaceuticals
-
0.48%
AbbVie
Inc
3.85%,
06/15/2024
(f)
1,800‌
1,991‌
AstraZeneca
PLC
4.00%,
01/17/2029
1,150‌
1,406‌
Bausch
Health
Americas
Inc
8.50%,
01/31/2027
(f)
2,330‌
2,592‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pharmaceuticals
(continued)
Bausch
Health
Cos
Inc
5.00%,
01/30/2028
(f)
$
1,800‌
$
1,809‌
5.25%,
01/30/2030
(f)
3,875‌
3,957‌
5.88%,
05/15/2023
(f)
160‌
160‌
7.00%,
01/15/2028
(f)
3,450‌
3,752‌
Bayer
Capital
Corp
BV
1.50%,
06/26/2026
EUR
1,600‌
1,984‌
Bristol-Myers
Squibb
Co
4.63%,
05/15/2044
$
1,700‌
2,410‌
Eli
Lilly
and
Co
1.70%,
11/01/2049
EUR
425‌
558‌
Mylan
NV
3.95%,
06/15/2026
$
1,775‌
2,024‌
Teva
Pharmaceutical
Finance
Netherlands
II
BV
1.88%,
03/31/2027
EUR
900‌
920‌
Teva
Pharmaceutical
Finance
Netherlands
III
BV
3.15%,
10/01/2026
$
1,100‌
1,003‌
7.13%,
01/31/2025
(f)
790‌
867‌
$
25,433‌
Pipelines
-
1.07%
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp
5.38%,
09/15/2024
7,240‌
6,568‌
5.75%,
03/01/2027
(f)
950‌
830‌
5.75%,
01/15/2028
(f)
1,550‌
1,322‌
Buckeye
Partners
LP
4.13%,
03/01/2025
(f)
1,800‌
1,809‌
4.50%,
03/01/2028
(f)
4,600‌
4,577‌
Enbridge
Inc
6.25%,
03/01/2078
(j)
5,600‌
5,544‌
3
Month
USD
LIBOR
+
3.64%
Enterprise
Products
Operating
LLC
5.25%,
08/16/2077
(j)
11,000‌
10,313‌
3
Month
USD
LIBOR
+
3.03%
EQM
Midstream
Partners
LP
6.50%,
07/01/2027
(f)
1,800‌
1,985‌
Hess
Midstream
Operations
LP
5.63%,
02/15/2026
(f)
3,810‌
3,952‌
Holly
Energy
Partners
LP
/
Holly
Energy
Finance
Corp
5.00%,
02/01/2028
(f)
5,800‌
5,731‌
NuStar
Logistics
LP
6.00%,
06/01/2026
1,375‌
1,409‌
Rockies
Express
Pipeline
LLC
4.80%,
05/15/2030
(f)
1,900‌
1,798‌
4.95%,
07/15/2029
(f)
325‌
317‌
Targa
Resources
Partners
LP
/
Targa
Resources
Partners
Finance
Corp
5.50%,
03/01/2030
(f)
4,625‌
4,879‌
Transcanada
Trust
5.87%,
08/15/2076
(j)
4,230‌
4,552‌
3
Month
USD
LIBOR
+
4.64%
Williams
Cos
Inc
/The
3.60%,
03/15/2022
1,000‌
1,041‌
6.30%,
04/15/2040
700‌
899‌
$
57,526‌
Real
Estate
-
0.66%
Arabian
Centres
Sukuk
Ltd
5.38%,
11/26/2024
(f)
3,784‌
3,364‌
China
Evergrande
Group
9.50%,
04/11/2022
6,850‌
6,602‌
Country
Garden
Holdings
Co
Ltd
5.13%,
01/17/2025
4,950‌
5,095‌
8.00%,
01/27/2024
2,600‌
2,822‌
Easy
Tactic
Ltd
8.13%,
02/27/2023
1,400‌
1,293‌
Kaisa
Group
Holdings
Ltd
11.25%,
04/09/2022
6,100‌
6,390‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
56
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Real
Estate
(continued)
MAF
Global
Securities
Ltd
6.37%,
12/31/2049
(
i
),(j)
$
5,610‌
$
5,385‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
3.54%
Scenery
Journey
Ltd
13.00%,
11/06/2022
1,200‌
1,197‌
Shimao
Group
Holdings
Ltd
6.13%,
02/21/2024
1,500‌
1,588‌
Wanda
Properties
International
Co
Ltd
7.25%,
01/29/2024
1,500‌
1,468‌
$
35,204‌
REITs
-
0.53%
CoreCivic
Inc
4.63%,
05/01/2023
8,000‌
7,780‌
ESH
Hospitality
Inc
5.25%,
05/01/2025
(f)
7,640‌
7,804‌
Iron
Mountain
Inc
5.25%,
03/15/2028
(f)
2,165‌
2,273‌
MGM
Growth
Properties
Operating
Partnership
LP
/
MGP
Finance
Co-Issuer
Inc
5.75%,
02/01/2027
2,300‌
2,490‌
RHP
Hotel
Properties
LP
/
RHP
Finance
Corp
4.75%,
10/15/2027
1,775‌
1,656‌
VICI
Properties
LP
/
VICI
Note
Co
Inc
3.75%,
02/15/2027
(f)
3,100‌
3,123‌
4.13%,
08/15/2030
(f)
1,300‌
1,316‌
Welltower
Inc
4.00%,
06/01/2025
1,800‌
2,013‌
$
28,455‌
Retail
-
0.70%
1011778
BC
ULC
/
New
Red
Finance
Inc
4.38%,
01/15/2028
(f)
6,800‌
7,073‌
5.00%,
10/15/2025
(f)
7,068‌
7,227‌
Carvana
Co
8.88%,
10/01/2023
(f)
1,300‌
1,352‌
Dollar
Tree
Inc
4.20%,
05/15/2028
1,700‌
2,023‌
DriveTime
Automotive
Group
Inc
/
Bridgecrest
Acceptance
Corp
8.00%,
06/01/2021
(f)
7,063‌
6,856‌
IRB
Holding
Corp
7.00%,
06/15/2025
(f)
5,225‌
5,694‌
L
Brands
Inc
6.75%,
07/01/2036
1,095‌
1,057‌
Reliance
Intermediate
Holdings
LP
6.50%,
04/01/2023
(f)
855‌
870‌
Staples
Inc
10.75%,
04/15/2027
(f)
1,700‌
1,079‌
Walmart
Inc
5.63%,
03/27/2034
GBP
500‌
1,038‌
Yum!
Brands
Inc
7.75%,
04/01/2025
(f)
$
2,900‌
3,255‌
$
37,524‌
Semiconductors
-
0.07%
Micron
Technology
Inc
2.50%,
04/24/2023
2,000‌
2,088‌
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.70%,
05/01/2025
(f)
1,500‌
1,608‌
$
3,696‌
Software
-
1.43%
ACI
Worldwide
Inc
5.75%,
08/15/2026
(f)
3,425‌
3,570‌
Ascend
Learning
LLC
6.88%,
08/01/2025
(f)
10,873‌
11,199‌
6.88%,
08/01/2025
(f)
1,375‌
1,409‌
Camelot
Finance
SA
4.50%,
11/01/2026
(f)
3,000‌
3,105‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
(continued)
Change
Healthcare
Holdings
LLC
/
Change
Healthcare
Finance
Inc
5.75%,
03/01/2025
(f)
$
12,944‌
$
13,235‌
Genesys
Telecommunications
Laboratories
Inc
/
Greeneden
Lux
3
Sarl
10.00%,
11/30/2024
(f)
16,945‌
18,089‌
Microsoft
Corp
3.13%,
12/06/2028
EUR
1,550‌
2,312‌
Open
Text
Corp
3.88%,
02/15/2028
(f)
$
1,300‌
1,352‌
Oracle
Corp
4.13%,
05/15/2045
1,400‌
1,776‌
Sophia
LP
/
Sophia
Finance
Inc
9.00%,
09/30/2023
(f)
6,875‌
6,927‌
SS&C
Technologies
Inc
5.50%,
09/30/2027
(f)
12,625‌
13,556‌
$
76,530‌
Sovereign
-
5.77%
1MDB
Global
Investments
Ltd
4.40%,
03/09/2023
6,600‌
6,479‌
Abu
Dhabi
Government
International
Bond
2.50%,
04/16/2025
(f)
890‌
948‌
3.13%,
10/11/2027
(f)
500‌
559‌
3.13%,
10/11/2027
600‌
671‌
3.13%,
09/30/2049
(f)
2,900‌
3,246‌
Angolan
Government
International
Bond
8.00%,
11/26/2029
(f)
3,700‌
3,080‌
9.50%,
11/12/2025
790‌
719‌
Argentina
Bonar
Bonds
0.00%,
05/07/2024
(e)
1,458‌
562‌
Argentine
Republic
Government
International
Bond
0.00%,
04/22/2021
(e)
2,370‌
1,064‌
0.00%,
04/22/2026
(e)
2,365‌
1,017‌
0.00%,
01/15/2027
(e)
EUR
3,570‌
1,671‌
0.00%,
01/26/2027
(e)
$
400‌
169‌
0.00%,
12/31/2033
(e)
329‌
167‌
0.00%,
12/31/2033
(e)
2,426‌
1,220‌
0.00%,
12/15/2035
(e)
23,615‌
26‌
0.00%,
07/06/2036
(e)
1,275‌
542‌
Brazil
Notas
do
Tesouro
Nacional
Serie
F
10.00%,
01/01/2025
BRL
5,410‌
1,232‌
10.00%,
01/01/2031
15,074‌
3,593‌
Chile
Government
International
Bond
2.45%,
01/31/2031
$
1,000‌
1,074‌
3.24%,
02/06/2028
3,600‌
4,041‌
Colombia
Government
International
Bond
4.00%,
02/26/2024
970‌
1,034‌
4.13%,
05/15/2051
755‌
840‌
Colombian
TES
6.00%,
04/28/2028
COP
3,652,400‌
1,024‌
6.25%,
11/26/2025
5,703,900‌
1,683‌
7.25%,
10/18/2034
4,514,600‌
1,279‌
Costa
Rica
Government
International
Bond
6.13%,
02/19/2031
(f)
$
6,100‌
5,530‌
Dominican
Republic
International
Bond
5.88%,
01/30/2060
(f)
1,020‌
974‌
5.95%,
01/25/2027
6,250‌
6,631‌
6.40%,
06/05/2049
(f)
4,500‌
4,545‌
6.50%,
02/15/2048
1,400‌
1,426‌
6.88%,
01/29/2026
(f)
200‌
220‌
Egypt
Government
International
Bond
5.75%,
05/29/2024
(a),(f)
800‌
806‌
6.13%,
01/31/2022
1,700‌
1,744‌
6.38%,
04/11/2031
EUR
7,150‌
7,794‌
8.88%,
05/29/2050
(f)
$
1,750‌
1,750‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
57
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Sovereign
(continued)
El
Salvador
Government
International
Bond
5.88%,
01/30/2025
$
840‌
$
759‌
7.75%,
01/24/2023
530‌
519‌
Export-Import
Bank
of
India
3.88%,
02/01/2028
3,200‌
3,368‌
Export-Import
Bank
of
Korea
6.20%,
08/07/2021
(f)
INR
99,100‌
1,335‌
8.00%,
05/15/2024
(f)
IDR
25,800,000‌
1,812‌
Finance
Department
Government
of
Sharjah
4.00%,
07/28/2050
(f)
$
2,480‌
2,606‌
Gabon
Government
International
Bond
6.38%,
12/12/2024
(f)
440‌
431‌
6.95%,
06/16/2025
(f)
775‌
760‌
6.95%,
06/16/2025
5,178‌
5,075‌
Ghana
Government
International
Bond
8.13%,
03/26/2032
2,000‌
1,868‌
8.63%,
06/16/2049
5,150‌
4,558‌
8.75%,
03/11/2061
(f)
630‌
557‌
Guatemala
Government
Bond
6.13%,
06/01/2050
900‌
1,096‌
Honduras
Government
International
Bond
6.25%,
01/19/2027
1,750‌
1,894‌
Indonesia
Government
International
Bond
3.50%,
01/11/2028
830‌
911‌
4.35%,
01/08/2027
(f)
500‌
574‌
4.45%,
04/15/2070
400‌
498‌
4.63%,
04/15/2043
(f)
990‌
1,215‌
4.75%,
07/18/2047
(f)
725‌
916‌
4.75%,
07/18/2047
400‌
506‌
Indonesia
Treasury
Bond
7.00%,
09/15/2030
IDR
13,935,000‌
967‌
7.50%,
08/15/2032
17,835,000‌
1,240‌
8.38%,
03/15/2034
53,405,000‌
3,966‌
Israel
Government
International
Bond
4.50%,
01/30/2043
$
3,050‌
4,056‌
Ivory
Coast
Government
International
Bond
5.75%,
12/31/2032
(k)
7,470‌
7,218‌
6.88%,
10/17/2040
(f)
EUR
2,190‌
2,393‌
Jordan
Government
International
Bond
5.85%,
07/07/2030
(f)
$
980‌
980‌
Kenya
Government
International
Bond
7.00%,
05/22/2027
(f)
3,217‌
3,165‌
8.00%,
05/22/2032
4,409‌
4,347‌
8.25%,
02/28/2048
2,000‌
1,956‌
Malaysia
Government
Bond
3.76%,
05/22/2040
MYR
6,184‌
1,579‌
3.83%,
07/05/2034
5,973‌
1,544‌
Mexican
Bonos
7.50%,
06/03/2027
MXN
20,398‌
1,026‌
7.75%,
05/29/2031
61,540‌
3,165‌
8.00%,
11/07/2047
19,017‌
973‌
8.50%,
05/31/2029
50,258‌
2,695‌
10.00%,
12/05/2024
15,868‌
854‌
10.00%,
11/20/2036
34,490‌
2,115‌
Mexico
Government
International
Bond
4.75%,
04/27/2032
$
1,105‌
1,266‌
4.75%,
03/08/2044
2,350‌
2,670‌
Mongolia
Government
International
Bond
5.13%,
12/05/2022
885‌
887‌
Morocco
Government
International
Bond
4.25%,
12/11/2022
1,400‌
1,470‌
Mozambique
International
Bond
5.00%,
09/15/2031
(f)
6,450‌
5,478‌
Nigeria
Government
International
Bond
6.50%,
11/28/2027
9,400‌
8,940‌
7.14%,
02/23/2030
(f)
1,040‌
997‌
7.63%,
11/21/2025
(f)
890‌
917‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Sovereign
(continued)
Oman
Government
International
Bond
6.75%,
01/17/2048
$
2,375‌
$
2,102‌
Oman
Sovereign
Sukuk
Co
4.40%,
06/01/2024
1,100‌
1,088‌
Panama
Government
International
Bond
4.50%,
04/01/2056
615‌
830‌
Peru
Government
Bond
5.94%,
02/12/2029
(f)
PEN
24,020‌
8,154‌
6.15%,
08/12/2032
(f)
24,200‌
8,127‌
Perusahaan
Penerbit
SBSN
Indonesia
III
4.55%,
03/29/2026
$
1,150‌
1,308‌
Peruvian
Government
International
Bond
2.39%,
01/23/2026
860‌
914‌
2.78%,
01/23/2031
1,315‌
1,464‌
5.63%,
11/18/2050
1,200‌
2,046‌
6.35%,
08/12/2028
(f)
PEN
4,689‌
1,629‌
6.90%,
08/12/2037
(f)
3,933‌
1,378‌
Qatar
Government
International
Bond
3.40%,
04/16/2025
(f)
$
745‌
822‌
3.75%,
04/16/2030
(f)
2,125‌
2,497‌
4.40%,
04/16/2050
(f)
725‌
984‌
Republic
of
Belarus
International
Bond
6.88%,
02/28/2023
1,600‌
1,616‌
Republic
of
Belarus
Ministry
of
Finance
5.88%,
02/24/2026
(f)
4,675‌
4,521‌
Republic
of
Poland
Government
International
Bond
3.25%,
04/06/2026
3,500‌
3,946‌
Republic
of
South
Africa
Government
Bond
8.00%,
01/31/2030
ZAR
83,940‌
4,533‌
Romania
Government
Bond
3.65%,
09/24/2031
RON
9,650‌
2,207‌
5.00%,
02/12/2029
6,085‌
1,586‌
Romanian
Government
International
Bond
2.00%,
01/28/2032
(f)
EUR
5,750‌
6,460‌
3.00%,
02/14/2031
(a),(f)
$
930‌
946‌
3.62%,
05/26/2030
(f)
EUR
815‌
1,061‌
5.13%,
06/15/2048
$
2,500‌
3,094‌
Russian
Federal
Bond
-
OFZ
6.90%,
05/23/2029
RUB
120,733‌
1,753‌
7.07%,
01/19/2028
615,967‌
9,043‌
7.10%,
10/16/2024
120,143‌
1,754‌
7.40%,
12/07/2022
122,298‌
1,755‌
7.65%,
04/10/2030
91,758‌
1,398‌
7.70%,
03/23/2033
174,167‌
2,685‌
Russian
Foreign
Bond
-
Eurobond
4.38%,
03/21/2029
$
3,400‌
3,897‌
4.50%,
04/04/2022
200‌
212‌
4.75%,
05/27/2026
800‌
923‌
5.25%,
06/23/2047
400‌
546‌
Saudi
Government
International
Bond
3.25%,
10/26/2026
(f)
1,200‌
1,317‌
3.25%,
10/22/2030
(f)
1,290‌
1,426‌
4.50%,
10/26/2046
3,000‌
3,795‌
Senegal
Government
International
Bond
4.75%,
03/13/2028
EUR
6,100‌
6,901‌
Serbia
International
Bond
3.13%,
05/15/2027
(f)
560‌
702‌
Sri
Lanka
Government
International
Bond
7.55%,
03/28/2030
$
5,900‌
4,337‌
Trinidad
&
Tobago
Government
International
Bond
4.50%,
08/04/2026
(a)
1,700‌
1,738‌
Turkey
Government
International
Bond
5.25%,
03/13/2030
1,090‌
938‌
5.75%,
05/11/2047
1,595‌
1,262‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
58
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Sovereign
(continued)
Ukraine
Government
Bond
16.00%,
08/11/2021
UAH
86,000‌
$
3,232‌
17.00%,
05/11/2022
101,000‌
3,894‌
Ukraine
Government
International
Bond
0.00%,
05/31/2040
(e),(k)
$
3,245‌
2,846‌
4.38%,
01/27/2030
(f)
EUR
7,905‌
7,807‌
6.75%,
06/20/2026
1,200‌
1,419‌
7.25%,
03/15/2033
(f)
$
1,275‌
1,230‌
7.75%,
09/01/2026
5,000‌
5,113‌
Ukreximbank
Via
Biz
Finance
PLC
9.75%,
01/22/2025
1,240‌
1,273‌
Venezuela
Government
International
Bond
0.00%,
10/13/2019
(e)
15,701‌
1,076‌
0.00%,
05/07/2023
(e)
9,395‌
644‌
0.00%,
09/15/2027
(e)
6,190‌
424‌
0.00%,
08/05/2031
(e)
6,825‌
468‌
Vietnam
Government
International
Bond
4.80%,
11/19/2024
1,400‌
1,547‌
Zambia
Government
International
Bond
8.50%,
04/14/2024
1,640‌
918‌
$
309,068‌
Supranational
Bank
-
0.30%
African
Export-Import
Bank/The
3.99%,
09/21/2029
(f)
6,185‌
6,270‌
Banque
Ouest
Africaine
de
Developpement
4.70%,
10/22/2031
(f)
1,430‌
1,452‌
Eastern
&
Southern
African
Trade
&
Development
Bank
4.88%,
05/23/2024
7,269‌
7,346‌
5.38%,
03/14/2022
1,140‌
1,154‌
$
16,222‌
Telecommunications
-
3.06%
Altice
France
SA/France
7.38%,
05/01/2026
(f)
5,950‌
6,347‌
AT&T
Inc
2.45%,
03/15/2035
EUR
250‌
326‌
4.38%,
09/14/2029
GBP
850‌
1,357‌
7.00%,
04/30/2040
200‌
439‌
Axtel
SAB
de
CV
6.38%,
11/14/2024
$
9,400‌
9,824‌
6.38%,
11/14/2024
(f)
400‌
418‌
C&W
Senior
Financing
DAC
6.88%,
09/15/2027
(f)
8,565‌
9,146‌
Colombia
Telecomunicaciones
SA
ESP
4.95%,
07/17/2030
(f)
680‌
699‌
CommScope
Inc
6.00%,
03/01/2026
(f)
6,750‌
7,201‌
8.25%,
03/01/2027
(f)
3,250‌
3,505‌
CommScope
Technologies
LLC
5.00%,
03/15/2027
(f)
2,150‌
2,077‌
6.00%,
06/15/2025
(f)
9,110‌
9,308‌
Comunicaciones
Celulares
SA
Via
Comcel
Trust
6.88%,
02/06/2024
(f)
790‌
810‌
6.88%,
02/06/2024
6,950‌
7,124‌
Connect
Finco
SARL
/
Connect
US
Finco
LLC
6.75%,
10/01/2026
(f)
5,185‌
5,316‌
Digicel
Group
0.5
Ltd
10.00%,
PIK
0.00%,
04/01/2024
(k),(n)
2,512‌
1,897‌
Digicel
International
Finance
Ltd
/
Digicel
Holdings
Bermuda
Ltd
8.75%,
05/25/2024
(f)
450‌
453‌
8.75%,
05/25/2024
(f)
1,000‌
1,006‌
8.75%,
05/25/2024
5,175‌
5,207‌
Digicel
Ltd
6.75%,
03/01/2023
(f)
2,600‌
1,768‌
Embarq
Corp
8.00%,
06/01/2036
755‌
885‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Telecommunications
(continued)
GTT
Communications
Inc
7.88%,
12/31/2024
(f)
$
27,763‌
$
15,686‌
Kenbourne
Invest
SA
6.88%,
11/26/2024
(f)
800‌
816‌
Koninklijke
KPN
NV
5.75%,
09/17/2029
GBP
1,200‌
2,007‌
7.00%,
03/28/2073
(f),(j)
$
400‌
438‌
USD
Swap
Semi-Annual
10
Year
+
5.21%
Level
3
Financing
Inc
5.13%,
05/01/2023
5,300‌
5,322‌
MTN
Mauritius
Investments
Ltd
4.76%,
11/11/2024
7,090‌
7,191‌
Nokia
Oyj
2.00%,
03/15/2024
EUR
400‌
484‌
Oi
SA
8.00%,
PIK
4.00%,
07/27/2025
(k),(n)
$
1,165‌
1,126‌
Sprint
Capital
Corp
8.75%,
03/15/2032
1,130‌
1,743‌
Sprint
Corp
7.13%,
06/15/2024
6,100‌
7,116‌
Telecom
Italia
SpA
/Milano
5.30%,
05/30/2024
(f)
1,815‌
2,028‌
Telefonica
Celular
del
Paraguay
SA
5.88%,
04/15/2027
(f)
700‌
741‌
Telefonica
Europe
BV
3.75%,
12/31/2049
(
i
),(j)
EUR
1,000‌
1,190‌
EUR
Swap
Annual
(VS
6
Month)
5
Year
+
3.86%
T-Mobile
USA
Inc
5.13%,
04/15/2025
$
1,575‌
1,614‌
Turk
Telekomunikasyon
AS
4.88%,
06/19/2024
1,200‌
1,170‌
Turkcell
Iletisim
Hizmetleri
AS
5.80%,
04/11/2028
2,000‌
1,953‌
Verizon
Communications
Inc
2.50%,
05/16/2030
CAD
1,000‌
789‌
4.86%,
08/21/2046
$
400‌
573‌
ViaSat
Inc
5.63%,
09/15/2025
(f)
11,775‌
11,863‌
5.63%,
04/15/2027
(f)
4,100‌
4,345‌
6.50%,
07/15/2028
(f)
3,400‌
3,492‌
Vodafone
Group
PLC
5.00%,
05/30/2038
950‌
1,232‌
VTR
Comunicaciones
SpA
5.13%,
01/15/2028
(f)
325‌
345‌
Zayo
Group
Holdings
Inc
4.00%,
03/01/2027
(f)
12,325‌
12,352‌
6.13%,
03/01/2028
(f)
2,950‌
3,046‌
$
163,775‌
Transportation
-
0.26%
BNSF
Funding
Trust
I
6.61%,
12/15/2055
(j)
3,510‌
3,852‌
3
Month
USD
LIBOR
+
2.35%
Burlington
Northern
Santa
Fe
LLC
4.15%,
04/01/2045
950‌
1,262‌
Empresa
de
Transporte
de
Pasajeros
Metro
SA
3.65%,
05/07/2030
(f)
600‌
664‌
4.70%,
05/07/2050
(f)
615‌
770‌
JSL
Europe
SA
7.75%,
07/26/2024
1,900‌
1,905‌
Lima
Metro
Line
2
Finance
Ltd
4.35%,
04/05/2036
(f)
1,500‌
1,656‌
MV24
Capital
BV
6.75%,
06/01/2034
(f)
600‌
598‌
Pelabuhan
Indonesia
II
PT
4.25%,
05/05/2025
(f)
300‌
323‌
5.38%,
05/05/2045
(f)
850‌
952‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
59
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Transportation
(continued)
Rumo
Luxembourg
Sarl
7.38%,
02/09/2024
(a)
$
1,800‌
$
1,896‌
$
13,878‌
Trucking
&
Leasing
-
0.01%
DAE
Funding
LLC
5.00%,
08/01/2024
750‌
694‌
Water
-
0.06%
American
Water
Capital
Corp
2.80%,
05/01/2030
800‌
902‌
Essential
Utilities
Inc
2.70%,
04/15/2030
1,950‌
2,130‌
$
3,032‌
TOTAL
BONDS
$
3,635,200‌
CONVERTIBLE
BONDS
-
0.01%
Principal
Amount
(000's)
Value
(000's)
Mining
-
0.01%
Mirabela
Nickel
Ltd
0.00%,
06/24/2019
(e),(f)
$
6,966‌
$
348‌
TOTAL
CONVERTIBLE
BONDS
$
348‌
SENIOR
FLOATING
RATE
INTERESTS
-
8.20%
Principal
Amount
(000's)
Value
(000's)
Automobile
Parts
&
Equipment
-
0.85%
Clarios
Global
LP
3.66%,
04/30/2026
(p)
$
6,823‌
$
6,651‌
3
Month
USD
LIBOR
+
3.50%
Dexko
Global
Inc
9.25%,
07/24/2025
(p)
21,140‌
18,868‌
3
Month
USD
LIBOR
+
8.25%
Truck
Hero
Inc
9.25%,
05/16/2025
(p)
22,010‌
20,084‌
3
Month
USD
LIBOR
+
8.25%
$
45,603‌
Commercial
Services
-
0.67%
KUEHG
Corp
9.25%,
08/22/2025
(p)
16,360‌
13,252‌
3
Month
USD
LIBOR
+
8.25%
Learning
Care
Group
US
No
2
Inc
4.25%,
03/06/2025
(p)
2,437‌
2,142‌
3
Month
USD
LIBOR
+
3.25%
8.50%,
03/13/2026
(p)
16,300‌
13,040‌
3
Month
USD
LIBOR
+
7.50%
PAREXEL
International
Corp
2.92%,
08/09/2024
(p)
4,525‌
4,341‌
3
Month
USD
LIBOR
+
2.75%
Refinitiv
US
Holdings
Inc
3.42%,
10/01/2025
(p)
3,127‌
3,102‌
1
Month
USD
LIBOR
+
3.25%
$
35,877‌
Computers
-
0.18%
Flexential
Intermediate
Corp
7.59%,
07/24/2025
(p)
21,350‌
9,434‌
3
Month
USD
LIBOR
+
7.25%
Cosmetics
&
Personal
Care
-
0.31%
Wellness
Merger
Sub
Inc
9.75%,
06/27/2025
(p)
19,410‌
16,498‌
3
Month
USD
LIBOR
+
8.75%
Distribution
&
Wholesale
-
0.00%
Targus
Group
International
Inc
0.00%,
05/24/2016
(e),(g),(h),(p)
880‌
—‌
3
Month
USD
LIBOR
+
4.00%
Electronics
-
0.28%
Deliver
Buyer
Inc
6.00%,
05/01/2024
(p)
15,756‌
15,073‌
3
Month
USD
LIBOR
+
5.00%
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Entertainment
-
0.40%
18
Fremont
Street
Acquisition
LLC
9.50%,
08/09/2025
(p)
$
17,870‌
$
15,690‌
1
Month
USD
LIBOR
+
8.00%
Playtika
Holding
Corp
7.71%,
12/03/2024
(p)
5,838‌
5,881‌
1
Month
USD
LIBOR
+
6.00%
$
21,571‌
Healthcare
-
Services
-
0.88%
ATI
Holdings
Acquisition
Inc
4.57%,
05/10/2023
(p)
1,380‌
1,271‌
3
Month
USD
LIBOR
+
3.50%
Aveanna
Healthcare
LLC
9.00%,
03/16/2025
(p)
23,880‌
20,776‌
3
Month
USD
LIBOR
+
8.00%
Dental
Corp
of
Canada
Inc
8.50%,
06/01/2026
(p)
17,170‌
14,594‌
3
Month
USD
LIBOR
+
7.50%
Dentalcorp
Health
Services
ULC
4.75%,
06/01/2025
(p)
2,671‌
2,395‌
3
Month
USD
LIBOR
+
3.75%
Sound
Inpatient
Physicians
Holdings
LLC
6.93%,
06/26/2026
(p)
8,525‌
8,163‌
3
Month
USD
LIBOR
+
6.75%
$
47,199‌
Insurance
-
0.77%
Asurion
LLC
6.67%,
08/04/2025
(p)
22,019‌
22,178‌
3
Month
USD
LIBOR
+
6.50%
6.67%,
08/04/2025
(p)
19,070‌
19,207‌
3
Month
USD
LIBOR
+
6.50%
Internet
-
1.06%
MH
Sub
I
LLC
8.57%,
09/15/2025
(p)
22,223‌
21,584‌
3
Month
USD
LIBOR
+
7.50%
Ten-X
LLC
9.00%,
09/29/2025
(g),(h),(p)
35,440‌
35,440‌
1
Month
USD
LIBOR
+
8.00%
$
57,024‌
Investment
Companies
-
0.40%
Masergy
Holdings
Inc
8.56%,
12/16/2024
(p)
13,674‌
12,717‌
3
Month
USD
LIBOR
+
7.50%
Zest
Acquisition
Corp
8.66%,
03/06/2026
(p)
11,260‌
8,895‌
3
Month
USD
LIBOR
+
7.50%
$
21,612‌
Lodging
-
0.03%
Caesers
Resort
4.72%,
06/19/2025
(p)
1,825‌
1,756‌
1
Month
USD
LIBOR
+
4.50%
Machinery
-
Diversified
-
0.49%
Engineered
Machinery
Holdings
Inc
8.25%,
07/25/2025
(p)
22,333‌
20,770‌
3
Month
USD
LIBOR
+
7.25%
Granite
US
Holdings
Corp
6.39%,
09/30/2026
(p)
6,343‌
5,566‌
1
Month
USD
LIBOR
+
5.25%
$
26,336‌
Miscellaneous
Manufacturers
-
0.10%
UTEX
Industries
Inc
5.16%,
05/22/2021
(p)
11,628‌
3,036‌
3
Month
USD
LIBOR
+
4.00%
7.43%,
05/22/2022
(p)
21,490‌
2,445‌
1
Month
USD
LIBOR
+
7.25%
$
5,481‌
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
60
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
-
0.08%
Encino
Acquisition
7.75%,
10/29/2025
(p)
$
5,860‌
$
4,014‌
3
Month
USD
LIBOR
+
6.75%
Pharmaceuticals
-
0.77%
Lanai
Holdings
III
Inc
1.00%,
PIK
10.50%,
08/14/2023
(n),(p)
26,421‌
17,174‌
3
Month
USD
LIBOR
+
8.50%
Packaging
Coordinators
Midco
Inc
9.83%,
06/29/2024
(p)
24,050‌
23,809‌
3
Month
USD
LIBOR
+
8.75%
$
40,983‌
REITs
-
0.06%
CoreCivic
Inc
5.50%,
12/12/2024
(p)
3,291‌
3,225‌
1
Month
USD
LIBOR
+
4.50%
Software
-
0.87%
Applied
Systems
Inc
8.00%,
09/19/2025
(p)
5,425‌
5,461‌
3
Month
USD
LIBOR
+
7.00%
Evergreen
Skills
Lux
Sarl
0.00%,
04/28/2021
(e),(p)
13,162‌
8,378‌
3
Month
USD
LIBOR
+
4.75%
Greeneden
US
Holdings
II
LLC
3.42%,
12/01/2023
(p)
2,896‌
2,847‌
3
Month
USD
LIBOR
+
3.25%
Informatica
LLC
7.13%,
02/14/2025
(p)
7,950‌
8,016‌
Sophia
LP
4.25%,
09/30/2022
(p)
1,493‌
1,481‌
3
Month
USD
LIBOR
+
3.25%
Ultimate
Software
7.50%,
05/03/2027
(p)
1,950‌
1,982‌
3
Month
USD
LIBOR
+
6.75%
Vertafore
Inc
3.43%,
07/02/2025
(p)
298‌
283‌
3
Month
USD
LIBOR
+
3.25%
7.43%,
06/04/2026
(p)
18,400‌
18,085‌
3
Month
USD
LIBOR
+
7.25%
$
46,533‌
TOTAL
SENIOR
FLOATING
RATE
INTERESTS
$
439,604‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
0.10%
Principal
Amount
(000's)
Value
(000's)
U.S.
Treasury
-
0.10%
0.50%,
06/30/2027
$
3,000‌
$
3,023‌
0.63%,
05/15/2030
1,600‌
1,613‌
1.25%,
05/15/2050
800‌
811‌
$
5,447‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
5,447‌
Total
Investments
$
5,355,464‌
Other
Assets
and
Liabilities
-  0.03%
1,508‌
TOTAL
NET
ASSETS
-
100.00%
$
5,356,972‌
(a)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(b)
Current
yield
shown
is
as
of
period
end.
(c)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$36,047
or
0.67%
of
net
assets.
(d)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(e)
Non-income
producing
security
(f)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$2,058,519
or
38.43%
of
net
assets.
(g)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(h)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$170,815
or
3.19%
of
net
assets.
(
i
)
Perpetual
security.
Perpetual
securities
pay
an
indefinite
stream
of
interest,
but
they
may
be
called
by
the
issuer
at
an
earlier
date.
Date
shown,
if
any,
reflects
the
next
call
date
or
final
legal
maturity
date.
Rate
shown
is
as
of
period
end.
(j)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(k)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(l)
Security
is
an
Interest
Only
Strip.
(m)
Security
purchased
on
a
when-issued
basis.
(n)
Payment
in
kind;
the
issuer
has
the
option
of
paying
additional
securities
in
lieu
of
cash.
(o)
Restricted
Security.
Please
see
Restricted
Security
sub-schedule
for
additional
information.
(p)
Rate
information
disclosed
is
based
on
an
average
weighted
rate
of
the
underlying
tranches
as
of
period
end.
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
61
Portfolio
Summary  (unaudited)
Location
Percent
United
States
69.85‌%
Canada
3.86‌%
United
Kingdom
2.50‌%
Netherlands
1.97‌%
Japan
1.70‌%
Cayman
Islands
1.60‌%
Mexico
1.59‌%
France
1.42‌%
Supranational
0.85‌%
Switzerland
0.80‌%
Australia
0.71‌%
Luxembourg
0.70‌%
Virgin
Islands,
British
0.65‌%
Germany
0.52‌%
Peru
0.51‌%
India
0.48‌%
Ukraine
0.47‌%
Russian
Federation
0.44‌%
Brazil
0.43‌%
Indonesia
0.39‌%
Ireland
0.38‌%
Italy
0.37‌%
Hong
Kong
0.33‌%
Jersey,
Channel
Islands
0.31‌%
Sweden
0.30‌%
Romania
0.29‌%
Nigeria
0.28‌%
Singapore
0.27‌%
Dominican
Republic
0.26‌%
Spain
0.26‌%
United
Arab
Emirates
0.25‌%
Turkey
0.24‌%
Egypt
0.23‌%
Colombia
0.23‌%
Chile
0.22‌%
Argentina
0.20‌%
Kenya
0.18‌%
Mauritius
0.18‌%
China
0.17‌%
Cote
d'Ivoire
0.17‌%
Denmark
0.16‌%
Saudi
Arabia
0.15‌%
Austria
0.15‌%
Taiwan
0.15‌%
Ghana
0.14‌%
South
Africa
0.14‌%
Senegal
0.13‌%
Isle
of
Man
0.12‌%
Bermuda
0.12‌%
Tunisia
0.12‌%
Gabon
0.11‌%
Belarus
0.11‌%
Mozambique
0.10‌%
Azerbaijan
0.10‌%
Costa
Rica
0.10‌%
Venezuela
0.10‌%
Norway
0.10‌%
Israel
0.10‌%
Qatar
0.09‌%
Malaysia
0.09‌%
Sri
Lanka
0.08‌%
Korea,
Republic
Of
0.08‌%
Poland
0.07‌%
Angola
0.07‌%
Morocco
0.07‌%
Oman
0.06‌%
Belgium
0.05‌%
Mongolia
0.05‌%
Finland
0.05‌%
Togo
0.05‌%
Portfolio
Summary  (unaudited)
(continued)
Location
Percent
Panama
0.04‌%
Honduras
0.04‌%
Thailand
0.04‌%
Vietnam
0.03‌%
Portugal
0.03‌%
Ecuador
0.03‌%
Trinidad
And
Tobago
0.03‌%
Cyprus
0.02‌%
Guatemala
0.02‌%
El
Salvador
0.02‌%
Jordan
0.02‌%
Zambia
0.02‌%
Philippines
0.01‌%
Serbia
0.01‌%
New
Zealand
0.01‌%
Cambodia
0.01‌%
Paraguay
0.01‌%
Kazakhstan
0.01‌%
Other
Assets
and
Liabilities
0.03‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Global
Diversified
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
62
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
225,082‌
$
5,233,178‌
$
5,324,301‌
$
133,959‌
$
225,082‌
$
5,233,178‌
$
5,324,301‌
$
133,959‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,380‌
$
—‌
$
—‌
$
—‌
$
1,380‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Restricted
Securities
Security
Name
Acquisition
Date
Cost
Value
Percent
of
Net
Assets
Material
Sciences
Corp  
0.00%,
01/09/2024
12/22/2016
-
06/30/2020
$
23,518‌
$
22,465‌
0.42%
Real
Alloy
Holding
Inc
0.00%,
11/30/2023
05/31/2018-06/30/2020
19,795‌
19,795‌
0.37%
Specialty
Steel  
10.68%,
11/15/2022
11/15/2017
41,148‌
41,564‌
0.78%
SportsNet
New
York  
10.25%,
01/15/2025
12/27/2017
19,789‌
20,944‌
0.39%
Total
$
104,768‌
1.96%
Amounts
in
thousands.
Foreign
Currency
Contracts
Unrealized
Appreciation/(Depreciation)
Counterparty
Settlement
Date
Currency
to
Accept
Currency
to
Deliver
Asset
Liability
Bank
of
New
York
Mellon
08/31/2020
$
6,091‌
EUR
5,525‌
$
—‌
$
(420‌)
Bank
of
New
York
Mellon
08/31/2020
EUR
820‌
$
935‌
31‌
—‌
Barclays
Bank
PLC
08/31/2020
CZK
72,813‌
$
3,247‌
24‌
—‌
Barclays
Bank
PLC
08/31/2020
HUF
878,976‌
$
2,967‌
43‌
—‌
Barclays
Bank
PLC
08/31/2020
PLN
8,850‌
$
2,347‌
18‌
—‌
Citigroup
Inc
08/17/2020
EUR
6,856‌
$
7,980‌
98‌
—‌
Citigroup
Inc
08/17/2020
$
215‌
EUR
185‌
—‌
(3‌)
Goldman
Sachs
&
Co
08/14/2020
$
4,846‌
BRL
25,800‌
—‌
(98‌)
Goldman
Sachs
&
Co
08/14/2020
$
4,607‌
RUB
330,000‌
167‌
—‌
Goldman
Sachs
&
Co
08/14/2020
RUB
28,300‌
$
393‌
—‌
(12‌)
Goldman
Sachs
&
Co
08/14/2020
$
4,077‌
ZAR
70,000‌
—‌
(14‌)
HSBC
Securities
Inc
08/14/2020
PEN
29,975‌
$
8,548‌
—‌
(65‌)
HSBC
Securities
Inc
08/14/2020
$
8,440‌
PEN
29,975‌
—‌
(43‌)
HSBC
Securities
Inc
08/14/2020
RUB
744,400‌
$
10,304‌
—‌
(288‌)
HSBC
Securities
Inc
08/14/2020
$
14,497‌
RUB
1,060,200‌
232‌
—‌
HSBC
Securities
Inc
08/14/2020
ZAR
3,500‌
$
209‌
—‌
(4‌)
HSBC
Securities
Inc
08/17/2020
$
55,613‌
EUR
48,857‌
—‌
(1,951‌)
HSBC
Securities
Inc
08/31/2020
$
1,315‌
CLP
995,497‌
—‌
(1‌)
HSBC
Securities
Inc
08/31/2020
COP
4,880,233‌
$
1,314‌
—‌
(9‌)
JPMorgan
Chase
08/04/2020
$
6,312‌
BRL
32,527‌
77‌
—‌
JPMorgan
Chase
08/04/2020
BRL
22,345‌
$
4,334‌
—‌
(51‌)
JPMorgan
Chase
08/14/2020
BRL
25,800‌
$
4,913‌
31‌
—‌
JPMorgan
Chase
08/14/2020
$
3,860‌
ZAR
64,800‌
73‌
—‌
JPMorgan
Chase
08/17/2020
EUR
986‌
$
1,170‌
—‌
(8‌)
JPMorgan
Chase
08/17/2020
$
552‌
EUR
478‌
—‌
(12‌)
JPMorgan
Chase
08/17/2020
EUR
86‌
$
100‌
2‌
—‌
JPMorgan
Chase
08/31/2020
$
1,491‌
MXN
32,778‌
23‌
—‌
JPMorgan
Chase
08/31/2020
$
2,513‌
ZAR
41,615‌
85‌
—‌
JPMorgan
Chase
09/02/2020
BRL
30,852‌
$
5,982‌
—‌
(74‌)
JPMorgan
Chase
09/03/2020
RUB
120,335‌
$
1,620‌
—‌
(5‌)
Standard
Chartered
Bank,
Hong
Kong
08/04/2020
BRL
37,608‌
$
7,085‌
124‌
—‌
Standard
Chartered
Bank,
Hong
Kong
08/04/2020
$
5,016‌
BRL
27,234‌
—‌
(205‌)
Toronto
Dominion
Bank
08/31/2020
$
2,637‌
EUR
2,247‌
—‌
(11‌)
Toronto
Dominion
Bank
08/31/2020
$
300‌
HUF
87,534‌
—‌
—‌
Total
$
1,028‌
$
(3,274‌)
Amounts
in
thousands.
Schedule
of
Investments
Global
Real
Estate
Securities
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
63
INVESTMENT
COMPANIES
-
0.76%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.76%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
21,793,294‌
$
21,793‌
TOTAL
INVESTMENT
COMPANIES
$
21,793‌
COMMON
STOCKS
-
99.08%
Shares
Held
Value
(000's)
Engineering
&
Construction
-
0.70%
Lendlease
Corp
Ltd
2,469,230‌
$
20,059‌
Lodging
-
1.21%
Choice
Hotels
International
Inc
71,968‌
6,048‌
City
Developments
Ltd
2,932,800‌
17,563‌
Hilton
Worldwide
Holdings
Inc
149,347‌
11,209‌
$
34,820‌
Real
Estate
-
16.11%
Castellum
AB
1,053,429‌
22,656‌
Entra
ASA
(d)
1,697,641‌
23,965‌
ESR
Cayman
Ltd
(b),(d)
1,346,800‌
3,321‌
Fabege
AB
1,753,693‌
22,491‌
Hang
Lung
Properties
Ltd
4,768,000‌
11,698‌
LEG
Immobilien
AG
209,001‌
29,142‌
Mitsubishi
Estate
Co
Ltd
3,818,200‌
54,850‌
Mitsui
Fudosan
Co
Ltd
1,847,593‌
28,885‌
New
World
Development
Co
Ltd
10,531,250‌
51,422‌
Sun
Hung
Kai
Properties
Ltd
4,247,000‌
51,651‌
Sunac
China
Holdings
Ltd
2,347,000‌
11,067‌
Vonovia
SE
2,143,885‌
138,572‌
Wihlborgs
Fastigheter
AB
822,441‌
13,860‌
$
463,580‌
REITs
-
79.43%
Alexandria
Real
Estate
Equities
Inc
364,722‌
64,756‌
Allied
Properties
Real
Estate
Investment
Trust
1,121,104‌
33,572‌
American
Homes
4
Rent
2,193,833‌
63,621‌
American
Tower
Corp
184,233‌
48,157‌
Apartment
Investment
and
Management
Co
922,327‌
35,805‌
Ascendas
Real
Estate
Investment
Trust
11,759,700‌
30,440‌
AvalonBay
Communities
Inc
685,377‌
104,945‌
Big
Yellow
Group
PLC
910,519‌
12,140‌
Boston
Properties
Inc
195,015‌
17,374‌
Brandywine
Realty
Trust
971,348‌
10,520‌
Camden
Property
Trust
269,983‌
24,517‌
Canadian
Apartment
Properties
REIT
879,716‌
31,899‌
CapitaLand
Commercial
Trust
11,027,700‌
13,004‌
Charter
Hall
Group
1,109,082‌
8,268‌
CoreSite
Realty
Corp
153,353‌
19,790‌
Cousins
Properties
Inc
964,924‌
29,642‌
CubeSmart
1,243,374‌
36,891‌
CyrusOne
Inc
368,696‌
30,757‌
Daiwa
Office
Investment
Corp
5,605‌
29,385‌
Dexus
3,933,477‌
23,878‌
Equinix
Inc
78,656‌
61,783‌
Equity
LifeStyle
Properties
Inc
456,311‌
31,175‌
Equity
Residential
443,830‌
23,803‌
Essential
Properties
Realty
Trust
Inc
562,479‌
9,056‌
Essex
Property
Trust
Inc
252,665‌
55,773‌
Extra
Space
Storage
Inc
407,689‌
42,131‌
Federal
Realty
Investment
Trust
83,432‌
6,366‌
First
Industrial
Realty
Trust
Inc
572,413‌
25,140‌
Gecina
SA
230,560‌
29,909‌
Goodman
Group
5,371,807‌
65,314‌
Great
Portland
Estates
PLC
1,638,257‌
12,633‌
Healthcare
Trust
of
America
Inc
1,782,824‌
49,224‌
Healthpeak
Properties
Inc
425,670‌
11,616‌
Industrial
&
Infrastructure
Fund
Investment
Corp
20,728‌
38,984‌
Inmobiliaria
Colonial
Socimi
SA
3,458,303‌
29,644‌
InterRent
Real
Estate
Investment
Trust
1,237,450‌
12,620‌
Invitation
Homes
Inc
3,299,473‌
98,390‌
Japan
Hotel
REIT
Investment
Corp
38,447‌
13,946‌
Japan
Retail
Fund
Investment
Corp
8,583‌
10,320‌
Kilroy
Realty
Corp
367,700‌
21,426‌
Klepierre
SA
611,153‌
10,584‌
Link
REIT
6,194,800‌
48,066‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Mapletree
Industrial
Trust
2,415,700‌
$
5,776‌
Merlin
Properties
Socimi
SA
2,460,991‌
20,361‌
MGM
Growth
Properties
LLC
386,181‌
10,558‌
Mori
Hills
REIT
Investment
Corp
10,600‌
13,745‌
Nippon
Prologis
REIT
Inc
(b)
6,723‌
23,208‌
Nomura
Real
Estate
Master
Fund
Inc
35,095‌
43,524‌
Park
Hotels
&
Resorts
Inc
924,515‌
7,646‌
Prologis
Inc
1,759,956‌
185,535‌
Prologis
Property
Mexico
SA
de
CV
4,227,382‌
8,320‌
Regency
Centers
Corp
615,297‌
25,246‌
Rexford
Industrial
Realty
Inc
1,444,189‌
67,776‌
Sabra
Health
Care
REIT
Inc
926,755‌
13,660‌
Saul
Centers
Inc
229,063‌
7,034‌
Segro
PLC
8,457,001‌
107,102‌
Sekisui
House
Reit
Inc
28,225‌
18,463‌
Simon
Property
Group
Inc
288,850‌
18,010‌
STORE
Capital
Corp
1,738,936‌
41,195‌
Summit
Industrial
Income
REIT
1,496,837‌
13,466‌
Sun
Communities
Inc
408,691‌
61,275‌
Taubman
Centers
Inc
95,462‌
3,696‌
Terreno
Realty
Corp
335,314‌
20,374‌
UNITE
Group
PLC/The
2,572,209‌
31,570‌
United
Urban
Investment
Corp
28,044‌
27,272‌
Ventas
Inc
637,152‌
24,441‌
VICI
Properties
Inc
1,388,131‌
30,136‌
Vicinity
Centres
7,404,442‌
6,840‌
Welltower
Inc
1,169,034‌
62,613‌
Weyerhaeuser
Co
315,727‌
8,780‌
$
2,284,886‌
Storage
&
Warehousing
-
0.83%
Safestore
Holdings
PLC
2,384,663‌
23,971‌
Telecommunications
-
0.80%
NEXTDC
Ltd
(b)
2,833,204‌
22,934‌
TOTAL
COMMON
STOCKS
$
2,850,250‌
Total
Investments
$
2,872,043‌
Other
Assets
and
Liabilities
-  0.16%
4,546‌
TOTAL
NET
ASSETS
-
100.00%
$
2,876,589‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$27,286
or
0.95%
of
net
assets.
Schedule
of
Investments
Global
Real
Estate
Securities
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
64
Portfolio
Summary  (unaudited)
Location
Percent
United
States
53.86‌%
Japan
10.52‌%
United
Kingdom
6.51‌%
Germany
5.83‌%
Hong
Kong
5.78‌%
Australia
5.13‌%
Canada
3.19‌%
Singapore
2.32‌%
Sweden
2.05‌%
Spain
1.74‌%
France
1.41‌%
Norway
0.83‌%
China
0.38‌%
Mexico
0.29‌%
Other
Assets
and
Liabilities
0.16‌%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
6,414‌
$
720,646‌
$
705,267‌
$
21,793‌
$
6,414‌
$
720,646‌
$
705,267‌
$
21,793‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
237‌
$
—‌
$
—‌
$
—‌
$
237‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
65
INVESTMENT
COMPANIES
-
12.21%
Shares
Held
Value
(000's)
Money
Market
Funds
-
12.21%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
205,105,653‌
$
205,106‌
TOTAL
INVESTMENT
COMPANIES
$
205,106‌
BONDS
-
18.67%
Principal
Amount
(000's)
Value
(000's)
Commercial
Mortgage
Backed
Securities
-
5.65%
Citigroup
Commercial
Mortgage
Trust
2016-GC36
4.76%,
02/10/2049
(d)
$
4,400‌
$
4,111‌
COMM
2013-CCRE9
Mortgage
Trust
4.24%,
07/10/2045
(d),(e)
2,400‌
2,221‌
COMM
2014-CCRE19
Mortgage
Trust
4.73%,
08/10/2047
(d)
3,700‌
3,743‌
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2.37%,
05/25/2022
7,700‌
7,912‌
3.30%,
04/25/2023
(d)
13,000‌
13,914‌
3.46%,
08/25/2023
(d)
12,400‌
13,402‌
3.53%,
10/25/2023
(d)
5,800‌
6,305‌
Ginnie
Mae
0.37%,
10/16/2053
(d),(f)
10,868‌
289‌
0.43%,
10/16/2054
(d),(f)
37,413‌
720‌
0.46%,
06/16/2052
(d),(f)
21,527‌
304‌
0.52%,
10/16/2054
(d),(f)
35,414‌
734‌
0.55%,
04/16/2047
(d),(f)
61,122‌
1,784‌
0.56%,
12/16/2053
(d),(f)
24,634‌
770‌
0.58%,
03/16/2060
(d),(f)
22,398‌
1,200‌
0.60%,
06/16/2054
(d),(f)
45,723‌
835‌
0.60%,
10/16/2054
(d),(f)
44,408‌
1,088‌
0.60%,
07/16/2060
(d),(f)
20,374‌
1,286‌
0.61%,
08/16/2051
(d),(f)
60,017‌
1,577‌
0.68%,
11/16/2052
(d),(f)
40,878‌
1,309‌
0.71%,
01/16/2056
(d),(f)
14,841‌
550‌
0.73%,
06/16/2057
(d),(f)
9,856‌
453‌
0.74%,
02/16/2053
(d),(f)
31,414‌
1,255‌
0.77%,
09/16/2053
(d),(f)
37,878‌
1,257‌
0.83%,
02/16/2053
(d),(f)
91,011‌
3,072‌
2.60%,
05/16/2059
3,542‌
3,730‌
2.60%,
03/16/2060
6,669‌
7,018‌
GS
Mortgage
Securities
Trust
2013-GC13
4.08%,
07/10/2046
(d),(e)
5,000‌
3,566‌
Wells
Fargo
Commercial
Mortgage
Trust
2014-LC16
4.46%,
08/15/2050
5,250‌
4,912‌
Wells
Fargo
Commercial
Mortgage
Trust
2015-C31
4.61%,
11/15/2048
(d)
6,000‌
5,577‌
$
94,894‌
Credit
Card
Asset
Backed
Securities
-
1.78%
Barclays
Dryrock
Issuance
Trust
0.50%,
07/15/2024
12,745‌
12,758‌
1.00
x
1
Month
USD
LIBOR
+
0.33%
Chase
Issuance
Trust
0.37%,
04/17/2023
17,208‌
17,226‌
1.00
x
1
Month
USD
LIBOR
+
0.20%
$
29,984‌
Mortgage
Backed
Securities
-
10.43%
Citigroup
Mortgage
Loan
Trust
2015-PS1
5.25%,
09/25/2042
(d),(e)
6,720‌
7,096‌
CSMC
Trust
2015-1
3.94%,
01/25/2045
(d),(e)
6,611‌
6,745‌
Fannie
Mae
Interest
Strip
3.50%,
12/25/2043
(d),(f)
3,616‌
539‌
7.00%,
04/25/2024
(f)
16‌
1‌
Fannie
Mae
REMICS
0.77%,
04/25/2027
5‌
5‌
1.00
x
1
Month
USD
LIBOR
+
0.60%
2.50%,
02/25/2028
(f)
8,840‌
472‌
3.00%,
07/25/2032
(f)
8,636‌
703‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mortgage
Backed
Securities
(continued)
Fannie
Mae
REMICS  
(continued)
3.00%,
10/25/2040
(f)
$
20,009‌
$
929‌
3.00%,
04/25/2042
5,277‌
5,418‌
3.00%,
08/25/2042
3,073‌
3,137‌
3.00%,
02/25/2043
3,801‌
3,938‌
3.00%,
03/25/2046
4,898‌
5,076‌
3.00%,
05/25/2048
1,788‌
1,879‌
3.18%,
06/25/2045
(f)
12,711‌
689‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.00%
3.50%,
02/25/2036
(f)
6,502‌
689‌
3.50%,
01/25/2040
(f)
8,191‌
364‌
3.50%,
11/25/2042
9,708‌
10,569‌
3.50%,
02/25/2043
(f)
11,844‌
827‌
3.50%,
02/25/2043
714‌
752‌
3.50%,
07/25/2043
(f)
8,962‌
691‌
3.50%,
08/25/2045
2,931‌
3,231‌
4.00%,
06/25/2039
7,667‌
7,894‌
4.00%,
12/25/2039
(f)
3,837‌
155‌
4.50%,
04/25/2045
(f)
17,025‌
2,896‌
5.83%,
10/25/2046
(f)
4,160‌
970‌
(1.00)
x
1
Month
USD
LIBOR
+
6.00%
7.00%,
04/25/2032
680‌
804‌
Freddie
Mac
REMICS
2.50%,
11/15/2032
3,564‌
3,781‌
2.50%,
02/15/2043
1,963‌
2,083‌
3.00%,
11/15/2030
(f)
3,041‌
70‌
3.00%,
06/15/2040
3,196‌
3,287‌
3.00%,
10/15/2041
1,638‌
1,680‌
3.00%,
10/15/2042
1,122‌
1,190‌
3.00%,
04/15/2046
2,158‌
2,337‌
3.00%,
11/15/2046
2,911‌
3,104‌
3.50%,
03/15/2029
3,617‌
3,791‌
3.50%,
04/15/2040
(f)
4,159‌
160‌
3.50%,
07/15/2042
2,972‌
3,016‌
3.50%,
05/15/2043
3,361‌
3,461‌
3.50%,
09/15/2043
7,680‌
7,893‌
4.00%,
05/15/2039
4,825‌
4,988‌
4.00%,
11/15/2042
(f)
6,065‌
740‌
4.00%,
11/15/2045
553‌
617‌
6.50%,
08/15/2027
60‌
64‌
Ginnie
Mae
3.00%,
05/16/2037
9,483‌
9,643‌
3.50%,
08/20/2039
(f)
12,739‌
595‌
3.50%,
01/20/2043
(f)
12,444‌
1,909‌
3.50%,
10/20/2044
(f)
15,563‌
1,668‌
3.50%,
11/20/2045
4,500‌
4,756‌
4.00%,
11/16/2038
222‌
230‌
4.00%,
04/20/2044
(f)
4,656‌
393‌
4.00%,
01/20/2046
(f)
7,695‌
592‌
5.00%,
11/20/2039
2,396‌
2,746‌
5.86%,
08/20/2042
(f)
5,627‌
1,250‌
(1.00)
x
1
Month
USD
LIBOR
+
6.05%
5.91%,
06/20/2046
(f)
4,316‌
902‌
(1.00)
x
1
Month
USD
LIBOR
+
6.10%
6.01%,
08/20/2042
(f)
7,463‌
1,288‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
11/20/2045
(f)
4,229‌
904‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
09/20/2047
(f)
5,210‌
956‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.01%,
09/20/2047
(f)
5,958‌
1,277‌
(1.00)
x
1
Month
USD
LIBOR
+
6.20%
6.06%,
06/20/2044
(f)
11,241‌
1,490‌
(1.00)
x
1
Month
USD
LIBOR
+
6.25%
6.07%,
08/16/2045
(f)
2,891‌
661‌
(1.00)
x
1
Month
USD
LIBOR
+
6.25%
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
66
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mortgage
Backed
Securities
(continued)
Ginnie
Mae  
(continued)
6.56%,
11/20/2045
(f)
$
3,991‌
$
958‌
(1.00)
x
1
Month
USD
LIBOR
+
6.75%
JP
Morgan
Mortgage
Trust
2016-4
3.50%,
10/25/2046
(d),(e)
3,166‌
3,249‌
JP
Morgan
Mortgage
Trust
2018-8
4.00%,
01/25/2049
(d),(e)
2,098‌
2,150‌
JP
Morgan
Mortgage
Trust
2019-9
3.50%,
05/25/2050
(d),(e)
2,995‌
3,089‌
New
Residential
Mortgage
Loan
Trust
2015-2
5.53%,
08/25/2055
(d),(e)
5,229‌
5,577‌
NRP
Mortgage
Trust
2013-1
3.31%,
07/25/2043
(d),(e)
6,016‌
5,963‌
Sequoia
Mortgage
Trust
2013-2
3.64%,
02/25/2043
(d)
5,813‌
5,929‌
Sequoia
Mortgage
Trust
2017-2
3.62%,
02/25/2047
(d),(e)
2,291‌
2,269‌
Sequoia
Mortgage
Trust
2017-3
3.79%,
04/25/2047
(d),(e)
2,298‌
2,410‌
Sequoia
Mortgage
Trust
2017-5
3.50%,
08/25/2047
(d),(e)
963‌
999‌
Sequoia
Mortgage
Trust
2018-5
3.50%,
05/25/2048
(d),(e)
2,540‌
2,635‌
$
175,219‌
Other
Asset
Backed
Securities
-
0.81%
CNH
Equipment
Trust
2016-C
1.76%,
09/15/2023
1,456‌
1,461‌
TAL
Advantage
V
LLC
3.33%,
05/20/2039
(e)
1,714‌
1,705‌
Towd
Point
Mortgage
Trust
4.25%,
10/25/2053
(d),(e)
5,000‌
5,420‌
Verizon
Owner
Trust
2018-A
3.23%,
04/20/2023
4,834‌
4,934‌
$
13,520‌
TOTAL
BONDS
$
313,617‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
77.61%
Principal
Amount
(000's)
Value
(000's)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
-
10.72%
2.50%,
08/01/2027
$
907‌
$
954‌
2.50%,
02/01/2028
2,791‌
2,975‌
3.00%,
02/01/2027
2,351‌
2,481‌
3.00%,
02/01/2032
5,953‌
6,411‌
3.00%,
01/01/2033
4,025‌
4,326‌
3.00%,
04/01/2035
1,771‌
1,895‌
3.00%,
03/01/2037
4,149‌
4,398‌
3.00%,
10/01/2042
5,884‌
6,353‌
3.00%,
10/01/2042
5,269‌
5,798‌
3.00%,
05/01/2043
2,035‌
2,225‌
3.00%,
07/01/2045
5,822‌
6,330‌
3.00%,
10/01/2046
7,109‌
7,821‌
3.00%,
01/01/2047
5,740‌
6,315‌
3.50%,
11/01/2026
1,276‌
1,342‌
3.50%,
02/01/2032
2,956‌
3,193‌
3.50%,
04/01/2032
2,668‌
2,882‌
3.50%,
12/01/2041
2,103‌
2,341‌
3.50%,
04/01/2042
5,448‌
5,901‌
3.50%,
07/01/2042
6,892‌
7,504‌
3.50%,
08/01/2043
4,764‌
5,269‌
3.50%,
02/01/2044
5,091‌
5,511‌
3.50%,
07/01/2046
7,758‌
8,633‌
3.50%,
11/01/2046
4,803‌
5,260‌
3.50%,
01/01/2048
8,478‌
9,428‌
3.50%,
04/01/2049
11,393‌
12,423‌
3.85%,
10/01/2032
1‌
1‌
1.00
x
12
Month
USD
LIBOR
+
1.98%
4.00%,
12/01/2041
3,402‌
3,860‌
4.00%,
07/01/2042
2,588‌
2,939‌
4.00%,
09/15/2042
1,681‌
1,945‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
(continued)
4.00%,
07/01/2043
$
3,154‌
$
3,584‌
4.00%,
10/01/2045
6,640‌
7,482‌
4.00%,
11/01/2047
2,210‌
2,508‌
4.00%,
01/01/2048
6,775‌
7,687‌
4.50%,
04/01/2041
3,632‌
4,189‌
4.50%,
11/01/2043
3,343‌
3,855‌
5.00%,
10/01/2025
31‌
34‌
5.00%,
12/01/2032
25‌
28‌
5.00%,
02/01/2033
308‌
349‌
5.00%,
01/01/2034
3,038‌
3,488‌
5.00%,
05/01/2034
82‌
94‌
5.00%,
07/01/2035
2‌
2‌
5.00%,
07/01/2035
28‌
32‌
5.00%,
10/01/2035
6‌
7‌
5.00%,
11/01/2035
246‌
283‌
5.00%,
07/01/2044
2,339‌
2,687‌
5.00%,
03/01/2048
3,982‌
4,622‌
5.50%,
03/01/2029
1‌
1‌
5.50%,
05/01/2033
6‌
7‌
5.50%,
10/01/2033
11‌
13‌
5.50%,
12/01/2033
230‌
269‌
5.50%,
07/01/2037
13‌
15‌
5.50%,
04/01/2038
3‌
4‌
5.50%,
05/01/2038
26‌
29‌
6.00%,
01/01/2021
3‌
3‌
6.00%,
06/01/2028
5‌
5‌
6.00%,
05/01/2031
61‌
71‌
6.00%,
10/01/2031
2‌
2‌
6.00%,
02/01/2032
14‌
16‌
6.00%,
11/01/2033
266‌
300‌
6.00%,
11/01/2033
78‌
86‌
6.00%,
09/01/2034
49‌
58‌
6.00%,
02/01/2035
44‌
52‌
6.00%,
10/01/2036
32‌
38‌
6.00%,
03/01/2037
72‌
82‌
6.00%,
05/01/2037
86‌
102‌
6.00%,
01/01/2038
10‌
11‌
6.00%,
03/01/2038
30‌
33‌
6.00%,
04/01/2038
57‌
64‌
6.00%,
07/01/2038
131‌
148‌
6.00%,
10/01/2038
73‌
85‌
6.50%,
12/01/2021
26‌
26‌
6.50%,
04/01/2022
35‌
36‌
6.50%,
05/01/2022
22‌
22‌
6.50%,
08/01/2022
11‌
12‌
6.50%,
05/01/2023
23‌
23‌
6.50%,
07/01/2023
1‌
1‌
6.50%,
07/01/2025
1‌
1‌
6.50%,
09/01/2025
1‌
1‌
6.50%,
10/01/2025
1‌
1‌
6.50%,
03/01/2029
25‌
28‌
6.50%,
04/01/2031
110‌
123‌
6.50%,
10/01/2031
42‌
48‌
6.50%,
02/01/2032
6‌
7‌
6.50%,
04/01/2032
5‌
6‌
6.50%,
04/01/2035
4‌
5‌
6.50%,
02/01/2037
27‌
31‌
7.00%,
07/01/2024
1‌
1‌
7.00%,
01/01/2028
162‌
177‌
7.00%,
06/01/2029
54‌
63‌
7.00%,
04/01/2031
40‌
45‌
7.00%,
10/01/2031
74‌
86‌
7.00%,
04/01/2032
98‌
115‌
7.50%,
12/01/2030
3‌
3‌
7.50%,
02/01/2031
1‌
1‌
7.50%,
02/01/2031
10‌
10‌
8.50%,
07/01/2029
66‌
70‌
$
180,081‌
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
67
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)
-
0.45%
3.00%,
04/01/2043
$
5,588‌
$
5,940‌
3.65%,
12/01/2033
44‌
45‌
1.00
x
12
Month
USD
LIBOR
+
1.65%
5.50%,
05/01/2033
70‌
74‌
6.00%,
01/01/2032
98‌
106‌
6.00%,
04/01/2033
156‌
171‌
6.00%,
09/01/2034
340‌
384‌
6.50%,
06/01/2031
57‌
67‌
6.50%,
11/01/2032
321‌
358‌
6.50%,
11/01/2032
88‌
97‌
7.00%,
08/01/2028
39‌
44‌
7.00%,
12/01/2028
38‌
42‌
7.00%,
07/01/2029
44‌
51‌
7.00%,
07/01/2032
53‌
58‌
7.50%,
12/01/2024
45‌
47‌
7.50%,
02/01/2030
49‌
52‌
$
7,536‌
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
-
44.67%
2.00%,
08/01/2028
1,735‌
1,814‌
2.00%,
07/01/2030
4,644‌
4,855‌
2.00%,
08/01/2035
(g)
8,000‌
8,324‌
2.00%,
09/01/2050
(g)
17,100‌
17,688‌
2.50%,
06/01/2027
3,315‌
3,526‌
2.50%,
05/01/2028
1,486‌
1,572‌
2.50%,
08/01/2028
1,964‌
2,098‌
2.50%,
03/01/2030
4,584‌
4,896‌
2.50%,
07/01/2030
6,520‌
6,938‌
2.50%,
12/01/2031
6,278‌
6,691‌
2.50%,
08/01/2035
(g)
12,495‌
13,115‌
2.50%,
04/01/2050
13,839‌
14,545‌
2.50%,
06/01/2050
12,568‌
13,215‌
2.50%,
09/01/2050
(g)
49,005‌
51,411‌
3.00%,
04/01/2027
2,291‌
2,421‌
3.00%,
05/01/2029
4,065‌
4,340‌
3.00%,
01/01/2030
342‌
363‌
3.00%,
08/01/2031
6,756‌
7,272‌
3.00%,
06/01/2033
9,025‌
9,602‌
3.00%,
12/01/2034
5,457‌
5,726‌
3.00%,
10/01/2036
5,073‌
5,536‌
3.00%,
11/01/2042
6,115‌
6,714‌
3.00%,
12/01/2042
4,701‌
5,161‌
3.00%,
12/01/2042
4,704‌
5,141‌
3.00%,
01/01/2043
4,421‌
4,832‌
3.00%,
02/01/2043
4,852‌
5,339‌
3.00%,
06/01/2043
8,477‌
9,307‌
3.00%,
08/01/2043
5,477‌
6,011‌
3.00%,
07/01/2045
2,165‌
2,365‌
3.00%,
01/01/2046
4,479‌
4,916‌
3.00%,
07/01/2046
6,233‌
6,729‌
3.00%,
09/01/2046
5,201‌
5,714‌
3.00%,
10/01/2046
6,038‌
6,565‌
3.00%,
11/01/2046
9,494‌
10,507‌
3.00%,
12/01/2046
4,933‌
5,414‌
3.00%,
12/01/2046
7,067‌
7,629‌
3.00%,
01/01/2047
5,596‌
6,156‌
3.00%,
01/01/2047
8,742‌
9,611‌
3.00%,
01/01/2047
7,937‌
8,726‌
3.00%,
10/01/2049
12,198‌
12,915‌
3.00%,
12/01/2049
9,232‌
9,775‌
3.00%,
01/01/2050
14,122‌
14,951‌
3.00%,
02/01/2050
13,904‌
14,721‌
3.50%,
08/01/2031
3,317‌
3,579‌
3.50%,
02/01/2033
6,987‌
7,536‌
3.50%,
09/01/2033
6,992‌
7,544‌
3.50%,
06/01/2039
3,490‌
3,775‌
3.50%,
02/01/2042
4,940‌
5,532‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
(continued)
3.50%,
06/01/2042
$
2,511‌
$
2,734‌
3.50%,
07/01/2042
3,687‌
4,073‌
3.50%,
09/01/2042
6,658‌
7,362‌
3.50%,
11/01/2042
3,835‌
4,241‌
3.50%,
02/01/2043
1,608‌
1,801‌
3.50%,
05/01/2043
2,198‌
2,462‌
3.50%,
05/01/2043
4,000‌
4,452‌
3.50%,
09/01/2044
11,597‌
12,973‌
3.50%,
10/01/2044
5,044‌
5,645‌
3.50%,
11/01/2044
4,513‌
5,051‌
3.50%,
03/01/2045
2,471‌
2,716‌
3.50%,
03/01/2045
4,199‌
4,671‌
3.50%,
06/01/2045
4,968‌
5,560‌
3.50%,
08/01/2045
4,631‌
5,183‌
3.50%,
09/01/2045
4,103‌
4,535‌
3.50%,
10/01/2045
4,725‌
5,289‌
3.50%,
11/01/2045
8,192‌
9,114‌
3.50%,
01/01/2046
4,160‌
4,656‌
3.50%,
03/01/2046
5,807‌
6,500‌
3.50%,
04/01/2046
6,035‌
6,754‌
3.50%,
10/01/2047
4,326‌
4,840‌
3.50%,
11/01/2048
11,434‌
12,788‌
3.50%,
05/01/2049
7,620‌
8,472‌
4.00%,
01/01/2034
950‌
1,025‌
4.00%,
10/01/2037
4,703‌
5,067‌
4.00%,
09/01/2040
2,028‌
2,242‌
4.00%,
02/01/2042
1,681‌
1,891‌
4.00%,
01/01/2043
1,669‌
1,896‌
4.00%,
03/01/2043
2,951‌
3,263‌
4.00%,
08/01/2043
5,676‌
6,448‌
4.00%,
04/01/2044
2,160‌
2,454‌
4.00%,
08/01/2044
7,840‌
8,904‌
4.00%,
08/01/2044
2,985‌
3,391‌
4.00%,
11/01/2044
2,350‌
2,669‌
4.00%,
12/01/2044
4,940‌
5,611‌
4.00%,
02/01/2045
3,951‌
4,487‌
4.00%,
07/01/2045
4,369‌
4,899‌
4.00%,
08/01/2045
4,694‌
5,331‌
4.00%,
01/01/2046
6,432‌
7,297‌
4.00%,
07/01/2046
6,166‌
7,003‌
4.00%,
08/01/2046
8,221‌
9,112‌
4.00%,
07/01/2047
6,487‌
7,363‌
4.00%,
10/01/2047
5,379‌
6,056‌
4.00%,
12/01/2047
4,515‌
5,124‌
4.00%,
02/01/2048
6,336‌
7,130‌
4.50%,
09/01/2025
747‌
799‌
4.50%,
08/01/2039
2,224‌
2,520‌
4.50%,
03/01/2041
2,795‌
3,112‌
4.50%,
03/01/2042
6,032‌
6,938‌
4.50%,
09/01/2043
2,944‌
3,394‌
4.50%,
09/01/2043
5,061‌
5,835‌
4.50%,
11/01/2043
4,644‌
5,354‌
4.50%,
10/01/2044
2,624‌
2,992‌
4.50%,
12/01/2044
6,475‌
7,465‌
4.50%,
05/01/2045
2,905‌
3,349‌
4.50%,
09/01/2045
4,130‌
4,691‌
4.50%,
10/01/2045
5,474‌
6,306‌
4.50%,
11/01/2045
6,858‌
7,788‌
4.50%,
08/01/2048
5,471‌
6,207‌
4.50%,
09/01/2048
10,132‌
11,663‌
4.50%,
11/01/2048
6,479‌
7,227‌
4.50%,
12/01/2048
7,006‌
7,842‌
5.00%,
01/01/2026
34‌
38‌
5.00%,
04/01/2035
106‌
121‌
5.00%,
05/01/2035
53‌
61‌
5.00%,
07/01/2035
18‌
20‌
5.00%,
02/01/2038
1,553‌
1,780‌
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
68
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
(continued)
5.00%,
03/01/2038
$
995‌
$
1,141‌
5.00%,
02/01/2040
4,910‌
5,656‌
5.00%,
05/01/2040
2,063‌
2,392‌
5.00%,
07/01/2040
1,203‌
1,376‌
5.00%,
07/01/2041
5,735‌
6,661‌
5.00%,
02/01/2044
2,569‌
2,985‌
5.00%,
06/01/2044
2,480‌
2,854‌
5.00%,
05/01/2048
4,346‌
5,042‌
5.50%,
06/01/2026
37‌
41‌
5.50%,
07/01/2033
463‌
542‌
5.50%,
02/01/2037
3‌
3‌
5.50%,
12/01/2037
689‌
795‌
5.50%,
03/01/2038
143‌
165‌
6.00%,
12/01/2022
3‌
4‌
6.00%,
03/01/2029
28‌
31‌
6.00%,
12/01/2031
1‌
1‌
6.00%,
12/01/2031
2‌
2‌
6.00%,
11/01/2032
6‌
7‌
6.00%,
11/01/2037
11‌
12‌
6.00%,
02/01/2038
40‌
46‌
6.00%,
03/01/2038
44‌
52‌
6.00%,
04/01/2039
410‌
468‌
6.50%,
09/01/2024
70‌
78‌
6.50%,
08/01/2028
15‌
17‌
6.50%,
02/01/2029
3‌
3‌
6.50%,
03/01/2029
22‌
24‌
6.50%,
04/01/2029
20‌
22‌
6.50%,
06/01/2031
58‌
65‌
6.50%,
12/01/2031
2‌
2‌
6.50%,
01/01/2032
28‌
31‌
6.50%,
04/01/2032
18‌
21‌
6.50%,
04/01/2032
18‌
21‌
6.50%,
08/01/2032
59‌
67‌
6.50%,
02/01/2033
61‌
70‌
6.50%,
04/01/2036
2‌
3‌
6.50%,
08/01/2036
23‌
27‌
6.50%,
08/01/2036
51‌
59‌
6.50%,
10/01/2036
25‌
30‌
6.50%,
11/01/2036
18‌
22‌
6.50%,
07/01/2037
9‌
10‌
6.50%,
07/01/2037
18‌
22‌
6.50%,
08/01/2037
314‌
374‌
6.50%,
08/01/2037
27‌
31‌
6.50%,
02/01/2038
21‌
25‌
6.50%,
05/01/2038
3‌
3‌
7.00%,
05/01/2022
2‌
2‌
7.00%,
11/01/2031
115‌
131‌
7.50%,
08/01/2032
6‌
7‌
8.50%,
09/01/2025
1‌
1‌
9.00%,
09/01/2030
1‌
1‌
$
750,595‌
Government
National
Mortgage
Association
(GNMA)
-
15.97%
2.50%,
08/01/2050
36,500‌
38,565‌
3.00%,
11/15/2042
3,306‌
3,501‌
3.00%,
12/15/2042
3,450‌
3,656‌
3.00%,
02/15/2043
4,186‌
4,586‌
3.00%,
07/20/2045
14,015‌
14,896‌
3.00%,
07/20/2046
5,113‌
5,430‌
3.00%,
08/20/2046
11,155‌
11,867‌
3.00%,
09/20/2046
13,462‌
14,270‌
3.00%,
09/20/2046
5,798‌
6,367‌
3.00%,
11/20/2046
3,894‌
4,191‌
3.00%,
12/20/2046
6,712‌
7,120‌
3.00%,
02/20/2047
8,021‌
8,494‌
3.00%,
08/20/2047
5,566‌
5,897‌
3.00%,
11/15/2047
6,678‌
7,193‌
3.00%,
08/01/2050
16,055‌
16,977‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Government
National
Mortgage
Association
(GNMA)
(continued)
3.50%,
08/20/2042
$
3,564‌
$
3,927‌
3.50%,
05/15/2043
5,929‌
6,459‌
3.50%,
06/20/2043
4,248‌
4,688‌
3.50%,
08/15/2043
4,997‌
5,456‌
3.50%,
04/20/2045
3,386‌
3,620‌
3.50%,
02/20/2047
1,955‌
2,157‌
3.50%,
04/20/2047
9,995‌
10,635‌
3.50%,
05/20/2047
11,816‌
12,729‌
3.50%,
10/20/2047
4,004‌
4,312‌
3.50%,
11/20/2047
4,071‌
4,344‌
3.50%,
02/20/2048
11,463‌
12,174‌
4.00%,
08/15/2041
3,093‌
3,387‌
4.00%,
09/15/2041
4,933‌
5,528‌
4.00%,
03/15/2044
3,368‌
3,784‌
4.00%,
10/20/2044
2,968‌
3,248‌
4.00%,
01/20/2048
20,456‌
22,435‌
5.00%,
02/15/2034
88‌
101‌
5.00%,
10/15/2039
2,021‌
2,322‌
5.50%,
07/20/2033
744‌
859‌
5.50%,
03/20/2034
786‌
909‌
5.50%,
05/20/2035
80‌
93‌
6.00%,
10/15/2023
39‌
43‌
6.00%,
11/15/2023
4‌
4‌
6.00%,
11/15/2023
6‌
7‌
6.00%,
12/15/2023
2‌
2‌
6.00%,
04/20/2026
21‌
24‌
6.00%,
10/20/2028
3‌
4‌
6.00%,
02/20/2029
41‌
46‌
6.00%,
09/15/2032
46‌
51‌
6.00%,
02/15/2033
16‌
18‌
6.00%,
07/20/2033
589‌
674‌
6.00%,
08/15/2038
64‌
71‌
6.50%,
09/15/2023
1‌
1‌
6.50%,
09/15/2023
8‌
9‌
6.50%,
09/15/2023
3‌
3‌
6.50%,
10/15/2023
6‌
6‌
6.50%,
12/15/2023
1‌
1‌
6.50%,
12/15/2023
7‌
8‌
6.50%,
12/15/2023
8‌
9‌
6.50%,
12/15/2023
1‌
1‌
6.50%,
01/15/2024
1‌
1‌
6.50%,
01/15/2024
14‌
15‌
6.50%,
01/15/2024
3‌
3‌
6.50%,
01/15/2024
1‌
1‌
6.50%,
01/15/2024
7‌
8‌
6.50%,
04/15/2024
5‌
5‌
6.50%,
04/20/2024
3‌
3‌
6.50%,
07/15/2024
12‌
13‌
6.50%,
01/15/2026
4‌
4‌
6.50%,
03/15/2026
3‌
3‌
6.50%,
07/20/2026
1‌
1‌
6.50%,
10/20/2028
5‌
5‌
6.50%,
03/20/2031
40‌
47‌
6.50%,
04/20/2031
33‌
39‌
6.50%,
07/15/2031
1‌
1‌
6.50%,
10/15/2031
9‌
10‌
6.50%,
07/15/2032
2‌
2‌
6.50%,
05/20/2034
410‌
466‌
6.80%,
04/20/2025
1‌
1‌
7.00%,
11/15/2022
1‌
1‌
7.00%,
12/15/2022
6‌
6‌
7.00%,
01/15/2023
1‌
1‌
7.00%,
01/15/2023
3‌
3‌
7.00%,
02/15/2023
9‌
9‌
7.00%,
07/15/2023
3‌
3‌
7.00%,
07/15/2023
1‌
1‌
7.00%,
08/15/2023
4‌
4‌
7.00%,
12/15/2023
2‌
3‌
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
69
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Government
National
Mortgage
Association
(GNMA)
(continued)
7.00%,
12/15/2023
$
7‌
$
8‌
7.00%,
01/15/2026
5‌
5‌
7.00%,
01/15/2027
9‌
9‌
7.00%,
10/15/2027
1‌
1‌
7.00%,
10/15/2027
6‌
6‌
7.00%,
10/15/2027
1‌
1‌
7.00%,
12/15/2027
2‌
2‌
7.00%,
12/15/2027
1‌
1‌
7.00%,
04/15/2028
2‌
2‌
7.00%,
06/15/2028
84‌
94‌
7.00%,
12/15/2028
45‌
50‌
7.00%,
01/15/2029
32‌
36‌
7.00%,
03/15/2029
19‌
19‌
7.00%,
04/15/2029
129‌
144‌
7.00%,
05/15/2031
4‌
5‌
7.00%,
07/15/2031
1‌
1‌
7.00%,
09/15/2031
1‌
1‌
7.50%,
12/15/2021
2‌
2‌
7.50%,
03/15/2022
2‌
2‌
7.50%,
08/15/2022
1‌
1‌
7.50%,
08/15/2022
1‌
1‌
7.50%,
08/15/2022
5‌
5‌
7.50%,
02/15/2023
1‌
1‌
7.50%,
05/15/2023
1‌
1‌
7.50%,
05/15/2023
3‌
3‌
7.50%,
06/15/2023
1‌
1‌
7.50%,
03/15/2024
6‌
7‌
7.50%,
08/15/2024
1‌
1‌
7.50%,
05/15/2027
4‌
4‌
7.50%,
06/15/2027
6‌
7‌
7.50%,
08/15/2029
21‌
22‌
7.50%,
10/15/2029
14‌
14‌
7.50%,
11/15/2029
38‌
39‌
8.00%,
02/15/2022
1‌
1‌
8.00%,
12/15/2030
5‌
6‌
9.00%,
11/15/2021
3‌
3‌
9.50%,
08/15/2021
1‌
1‌
$
268,325‌
U.S.
Treasury
-
1.10%
2.13%,
12/31/2022
4,920‌
5,157‌
3.13%,
05/15/2021
13,000‌
13,305‌
$
18,462‌
U.S.
Treasury
Bill
-
4.70%
0.11%,
10/15/2020
(h)
79,000‌
78,984‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
1,303,983‌
Total
Investments
$
1,822,706‌
Other
Assets
and
Liabilities
-  (8.49)%
(142,625‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,680,081‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(e)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$55,094
or
3.28%
of
net
assets.
(f)
Security
is
an
Interest
Only
Strip.
(g)
Security
was
purchased
in
a
"to-be-announced"
("TBA")
transaction.  See
Notes
to
Financial
Statements
for
additional
information.
(h)
Rate
shown
is
the
discount
rate
of
the
original
purchase.
Portfolio
Summary  (unaudited)
Sector
Percent
Mortgage
Securities
87.89‌%
Money
Market
Funds
12.21‌%
Government
5.80‌%
Asset
Backed
Securities
2.59‌%
Other
Assets
and
Liabilities
(8.49‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
61,450‌
$
701,558‌
$
557,902‌
$
205,106‌
$
61,450‌
$
701,558‌
$
557,902‌
$
205,106‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
404‌
$
—‌
$
—‌
$
—‌
$
404‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Government
&
High
Quality
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
70
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
US
10
Year
Note;
September
2020
Short
439‌
$
61,494‌
$
(557‌)
US
Long
Bond;
September
2020
Short
130‌
23,696‌
(520‌)
US
Ultra
Bond;
September
2020
Short
11‌
2,505‌
(84‌)
Total
$
(1,161‌)
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
71
INVESTMENT
COMPANIES
-
3.86%
Shares
Held
Value
(000's)
Money
Market
Funds
-
3.86%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
2,831,015‌
$
2,831‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
110,079,827‌
110,080‌
$
112,911‌
TOTAL
INVESTMENT
COMPANIES
$
112,911‌
COMMON
STOCKS
-
0.06%
Shares
Held
Value
(000's)
Automobile
Manufacturers
-
0.00%
Motors
Liquidation
Co
GUC
Trust
(d)
270‌
$
—‌
Commercial
Services
-
0.06%
ATD
New
Holdings
Inc
(d),(e),(f)
101,514‌
1,661‌
Electric
-
0.00%
Vistra
Energy
Corp
-
Rights
(d),(e),(f)
164,087‌
—‌
Telecommunications
-
0.00%
Goodman
Networks
Inc
(d),(e),(f)
15,207‌
—‌
TOTAL
COMMON
STOCKS
$
1,661‌
PREFERRED
STOCKS
-
0.00%
Shares
Held
Value
(000's)
Telecommunications
-
0.00%
Goodman
Networks
Inc
0.00%
(d),(e),(f)
18,092‌
$
—‌
TOTAL
PREFERRED
STOCKS
$
—‌
BONDS
-
84.68%
Principal
Amount
(000's)
Value
(000's)
Advertising
-
0.43%
Clear
Channel
International
BV
6.63%,
08/01/2025
(g),(h)
$
326‌
$
333‌
Lamar
Media
Corp
3.75%,
02/15/2028
(h)
1,000‌
1,009‌
5.75%,
02/01/2026
601‌
631‌
MDC
Partners
Inc
6.50%,
05/01/2024
(h)
1,260‌
1,194‌
National
CineMedia
LLC
5.88%,
04/15/2028
(h)
900‌
718‌
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp
4.63%,
03/15/2030
(h)
575‌
538‌
5.00%,
08/15/2027
(h)
7,180‌
7,030‌
5.63%,
02/15/2024
124‌
125‌
Terrier
Media
Buyer
Inc
8.88%,
12/15/2027
(h)
830‌
851‌
$
12,429‌
Aerospace
&
Defense
-
2.16%
Bombardier
Inc
5.75%,
03/15/2022
(h)
300‌
285‌
6.00%,
10/15/2022
(h)
890‌
819‌
6.13%,
01/15/2023
(h)
782‌
672‌
7.45%,
05/01/2034
(h)
200‌
140‌
7.50%,
12/01/2024
(h)
400‌
324‌
7.50%,
03/15/2025
(h)
1,123‌
907‌
7.88%,
04/15/2027
(h)
1,455‌
1,157‌
8.75%,
12/01/2021
(h)
800‌
800‌
F-
Brasile
SpA
/
F-
Brasile
US
LLC
7.38%,
08/15/2026
(h)
500‌
401‌
Leonardo
US
Holdings
Inc
6.25%,
01/15/2040
(h)
140‌
158‌
Rolls-Royce
PLC
3.63%,
10/14/2025
(h)
1,500‌
1,551‌
Signature
Aviation
US
Holdings
Inc
4.00%,
03/01/2028
(h)
655‌
619‌
5.38%,
05/01/2026
(h)
395‌
410‌
Spirit
AeroSystems
Inc
3.95%,
06/15/2023
1,460‌
1,232‌
4.60%,
06/15/2028
560‌
437‌
7.50%,
04/15/2025
(h)
1,000‌
983‌
SSL
Robotics
LLC
9.75%,
12/31/2023
(h)
875‌
971‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Aerospace
&
Defense
(continued)
TransDigm
Inc
5.50%,
11/15/2027
$
15,070‌
$
14,297‌
6.25%,
03/15/2026
(h)
13,335‌
14,068‌
6.38%,
06/15/2026
10,208‌
10,008‌
6.50%,
07/15/2024
1,120‌
1,123‌
6.50%,
05/15/2025
1,054‌
1,033‌
7.50%,
03/15/2027
8,005‌
8,105‌
8.00%,
12/15/2025
(h)
989‌
1,073‌
TransDigm
UK
Holdings
PLC
6.88%,
05/15/2026
235‌
234‌
Triumph
Group
Inc
5.25%,
06/01/2022
755‌
614‌
6.25%,
09/15/2024
(h)
250‌
221‌
7.75%,
08/15/2025
(
i
)
631‌
409‌
$
63,051‌
Agriculture
-
0.10%
JBS
Investments
II
GmbH
5.75%,
01/15/2028
(h)
730‌
775‌
7.00%,
01/15/2026
(h)
785‌
844‌
Vector
Group
Ltd
6.13%,
02/01/2025
(h)
906‌
900‌
10.50%,
11/01/2026
(h)
415‌
425‌
$
2,944‌
Airlines
-
0.34%
American
Airlines
2013-2
Class
A
Pass
Through
Trust
4.95%,
07/15/2024
239‌
194‌
American
Airlines
Group
Inc
3.75%,
03/01/2025
(h)
405‌
180‌
5.00%,
06/01/2022
(h)
605‌
338‌
American
Airlines
Inc
11.75%,
07/15/2025
(h)
2,020‌
1,761‌
Delta
Air
Lines
Inc
2.90%,
10/28/2024
1,405‌
1,219‌
3.63%,
03/15/2022
1,400‌
1,375‌
3.75%,
10/28/2029
830‌
677‌
3.80%,
04/19/2023
685‌
638‌
4.38%,
04/19/2028
730‌
628‌
7.38%,
01/15/2026
2,250‌
2,230‌
UAL
2007-1
Pass
Through
Trust
6.64%,
01/02/2024
178‌
157‌
United
Airlines
Holdings
Inc
4.25%,
10/01/2022
(
i
)
450‌
402‌
5.00%,
02/01/2024
(
i
)
242‌
202‌
$
10,001‌
Apparel
-
0.09%
Hanesbrands
Inc
4.63%,
05/15/2024
(h)
1,045‌
1,105‌
4.88%,
05/15/2026
(h)
715‌
779‌
Levi
Strauss
&
Co
5.00%,
05/01/2025
150‌
154‌
Under
Armour
Inc
3.25%,
06/15/2026
420‌
392‌
Wolverine
World
Wide
Inc
5.00%,
09/01/2026
(h)
80‌
79‌
$
2,509‌
Automobile
Manufacturers
-
2.93%
Allison
Transmission
Inc
4.75%,
10/01/2027
(h)
25‌
26‌
5.00%,
10/01/2024
(h)
630‌
642‌
5.88%,
06/01/2029
(h)
465‌
514‌
Aston
Martin
Capital
Holdings
Ltd
6.50%,
04/15/2022
(h),(
i
)
324‌
283‌
BCD
Acquisition
Inc
9.63%,
09/15/2023
(h)
800‌
784‌
Fiat
Chrysler
Automobiles
NV
5.25%,
04/15/2023
1,323‌
1,402‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
72
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Manufacturers
(continued)
Ford
Motor
Co
4.35%,
12/08/2026
$
740‌
$
751‌
4.75%,
01/15/2043
1,446‌
1,323‌
5.29%,
12/08/2046
1,145‌
1,088‌
6.63%,
10/01/2028
720‌
783‌
7.45%,
07/16/2031
4,040‌
4,788‌
8.50%,
04/21/2023
1,330‌
1,476‌
9.00%,
04/22/2025
3,588‌
4,227‌
9.63%,
04/22/2030
(
i
)
10,110‌
13,320‌
Ford
Motor
Credit
Co
LLC
3.09%,
01/09/2023
930‌
926‌
3.10%,
05/04/2023
1,700‌
1,683‌
3.22%,
01/09/2022
500‌
494‌
3.34%,
03/28/2022
415‌
417‌
3.35%,
11/01/2022
1,050‌
1,057‌
3.55%,
10/07/2022
290‌
291‌
3.66%,
09/08/2024
845‌
851‌
3.81%,
10/12/2021
750‌
758‌
3.81%,
01/09/2024
1,900‌
1,915‌
3.82%,
11/02/2027
775‌
760‌
4.06%,
11/01/2024
4,739‌
4,844‌
4.13%,
08/04/2025
3,000‌
3,075‌
4.27%,
01/09/2027
1,910‌
1,940‌
4.38%,
08/06/2023
2,025‌
2,095‌
4.39%,
01/08/2026
1,300‌
1,335‌
4.54%,
08/01/2026
8,580‌
8,838‌
4.69%,
06/09/2025
1,875‌
1,956‌
5.11%,
05/03/2029
3,725‌
3,985‌
5.13%,
06/16/2025
4,525‌
4,824‌
5.58%,
03/18/2024
6,900‌
7,331‌
5.60%,
01/07/2022
680‌
706‌
General
Motors
Co
0.00%,
12/01/2020
(d),(e),(f),(j)
25‌
—‌
0.00%,
12/01/2020
(d),(e),(f),(j)
50‌
—‌
0.00%,
07/15/2023
(d),(e),(f),(j)
1,000‌
—‌
0.00%,
09/01/2025
(d),(e),(f),(j)
700‌
—‌
0.00%,
05/01/2028
(d),(e),(f),(j)
150‌
—‌
0.00%,
03/06/2032
(d),(e),(f),(j)
75‌
—‌
0.00%,
07/15/2033
(d),(e),(f),(j)
100‌
—‌
0.00%,
07/15/2033
(d),(e),(f),(j)
5,050‌
—‌
0.00%,
03/15/2036
(d),(e),(f),(j)
725‌
—‌
Jaguar
Land
Rover
Automotive
PLC
4.50%,
10/01/2027
(h)
405‌
323‌
5.63%,
02/01/2023
(h)
405‌
381‌
JB
Poindexter
&
Co
Inc
7.13%,
04/15/2026
(h)
115‌
121‌
Navistar
International
Corp
6.63%,
11/01/2025
(h)
1,505‌
1,543‌
Tesla
Inc
5.30%,
08/15/2025
(h)
1,090‌
1,128‌
Wabash
National
Corp
5.50%,
10/01/2025
(h)
792‌
770‌
$
85,754‌
Automobile
Parts
&
Equipment
-
1.13%
Adient
Global
Holdings
Ltd
4.88%,
08/15/2026
(h)
1,250‌
1,167‌
Adient
US
LLC
7.00%,
05/15/2026
(h)
250‌
268‌
9.00%,
04/15/2025
(h)
650‌
722‌
American
Axle
&
Manufacturing
Inc
6.25%,
04/01/2025
(
i
)
280‌
289‌
6.25%,
03/15/2026
649‌
654‌
6.50%,
04/01/2027
802‌
822‌
6.88%,
07/01/2028
1,700‌
1,734‌
Clarios
Global
LP
6.75%,
05/15/2025
(h)
405‌
435‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Parts
&
Equipment
(continued)
Clarios
Global
LP
/
Clarios
US
Finance
Co
6.25%,
05/15/2026
(h)
$
12,315‌
$
13,179‌
8.50%,
05/15/2027
(h)
1,490‌
1,566‌
Cooper-Standard
Automotive
Inc
5.63%,
11/15/2026
(h)
626‌
344‌
Dana
Financing
Luxembourg
Sarl
5.75%,
04/15/2025
(h)
910‌
951‌
6.50%,
06/01/2026
(h)
537‌
565‌
Dealer
Tire
LLC
/
DT
Issuer
LLC
8.00%,
02/01/2028
(h)
1,000‌
982‌
Delphi
Technologies
PLC
5.00%,
10/01/2025
(h)
650‌
717‌
Goodyear
Tire
&
Rubber
Co/The
4.88%,
03/15/2027
585‌
578‌
5.00%,
05/31/2026
700‌
700‌
5.13%,
11/15/2023
600‌
599‌
9.50%,
05/31/2025
2,430‌
2,741‌
IHO
Verwaltungs
GmbH
4.75%,
PIK
5.50%,
09/15/2026
(h),(k),(l)
950‌
967‌
Meritor
Inc
6.25%,
02/15/2024
69‌
71‌
Tenneco
Inc
5.00%,
07/15/2026
434‌
291‌
5.38%,
12/15/2024
42‌
28‌
Truck
Hero
Inc
8.50%,
04/21/2024
(h)
300‌
314‌
ZF
North
America
Capital
Inc
4.50%,
04/29/2022
(h)
975‌
1,019‌
4.75%,
04/29/2025
(h)
1,400‌
1,477‌
$
33,180‌
Banks
-
1.21%
CIT
Group
Inc
4.75%,
02/16/2024
795‌
823‌
5.00%,
08/15/2022
2,471‌
2,551‌
5.00%,
08/01/2023
905‌
947‌
5.25%,
03/07/2025
515‌
551‌
6.13%,
03/09/2028
650‌
735‌
Commerzbank
AG
8.13%,
09/19/2023
(h)
985‌
1,138‌
Deutsche
Bank
AG
4.30%,
05/24/2028
(m)
750‌
733‌
USD
Swap
Semi-Annual
5
Year
+
2.25%
4.50%,
04/01/2025
1,255‌
1,273‌
Deutsche
Bank
AG/New
York
NY
4.88%,
12/01/2032
(m)
645‌
617‌
USD
Swap
Rate
NY
5
Year
+
2.55%
Dresdner
Funding
Trust
I
8.15%,
06/30/2031
(h)
795‌
1,113‌
Freedom
Mortgage
Corp
8.13%,
11/15/2024
(h)
580‌
571‌
8.25%,
04/15/2025
(h)
900‌
898‌
10.75%,
04/01/2024
(h)
300‌
309‌
Intesa
Sanpaolo
SpA
5.02%,
06/26/2024
(h)
1,645‌
1,731‌
5.71%,
01/15/2026
(h)
1,200‌
1,306‌
Natwest
Group
PLC
7.65%,
12/31/2049
(m),(n)
605‌
903‌
3
Month
USD
LIBOR
+
2.50%
Provident
Funding
Associates
LP
/
PFG
Finance
Corp
6.38%,
06/15/2025
(h)
14,033‌
13,401‌
RBS
Capital
Trust
II
6.43%,
12/31/2049
(m),(n)
150‌
225‌
3
Month
USD
LIBOR
+
1.94%
Standard
Chartered
PLC
7.01%,
12/31/2049
(h),(m),(n)
600‌
680‌
3
Month
USD
LIBOR
+
1.46%
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
73
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Synovus
Financial
Corp
5.90%,
02/07/2029
(m)
$
900‌
$
919‌
USD
Swap
Semi-Annual
5
Year
+
3.38%
UniCredit
SpA
5.46%,
06/30/2035
(h),(m)
1,210‌
1,244‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.75%
5.86%,
06/19/2032
(h),(m)
1,000‌
1,065‌
USD
Swap
Rate
NY
5
Year
+
3.70%
7.30%,
04/02/2034
(h),(m)
1,465‌
1,703‌
USD
Swap
Rate
NY
5
Year
+
4.91%
$
35,436‌
Beverages
-
0.02%
Cott
Holdings
Inc
5.50%,
04/01/2025
(h)
585‌
608‌
Building
Materials
-
0.41%
American
Woodmark
Corp
4.88%,
03/15/2026
(h)
300‌
301‌
BMC
East
LLC
5.50%,
10/01/2024
(h)
235‌
240‌
Boise
Cascade
Co
4.88%,
07/01/2030
(h)
325‌
344‌
Builders
FirstSource
Inc
5.00%,
03/01/2030
(h)
640‌
671‌
6.75%,
06/01/2027
(h)
725‌
798‌
Cornerstone
Building
Brands
Inc
8.00%,
04/15/2026
(h)
1,175‌
1,212‌
Forterra
Finance
LLC
/
FRTA
Finance
Corp
6.50%,
07/15/2025
(h)
405‌
429‌
James
Hardie
International
Finance
DAC
5.00%,
01/15/2028
(h)
300‌
320‌
JELD-WEN
Inc
4.63%,
12/15/2025
(h)
1,280‌
1,293‌
4.88%,
12/15/2027
(h)
371‌
377‌
Louisiana-Pacific
Corp
4.88%,
09/15/2024
6‌
6‌
Masonite
International
Corp
5.38%,
02/01/2028
(h)
395‌
421‌
5.75%,
09/15/2026
(h)
220‌
231‌
Norbord
Inc
5.75%,
07/15/2027
(h)
300‌
320‌
6.25%,
04/15/2023
(h)
2‌
2‌
Patrick
Industries
Inc
7.50%,
10/15/2027
(h)
435‌
463‌
Standard
Industries
Inc
/NJ
4.38%,
07/15/2030
(h)
900‌
972‌
4.75%,
01/15/2028
(h)
870‌
930‌
5.00%,
02/15/2027
(h)
675‌
717‌
6.00%,
10/15/2025
(h)
765‌
797‌
Summit
Materials
LLC
/
Summit
Materials
Finance
Corp
5.13%,
06/01/2025
(h)
238‌
243‌
5.25%,
01/15/2029
(g),(h)
565‌
586‌
US
Concrete
Inc
6.38%,
06/01/2024
248‌
253‌
$
11,926‌
Chemicals
-
0.93%
Aruba
Investments
Inc
8.75%,
02/15/2023
(h)
179‌
184‌
Ashland
LLC
4.75%,
08/15/2022
120‌
126‌
6.88%,
05/15/2043
250‌
299‌
Avient
Corp
5.25%,
03/15/2023
355‌
390‌
5.75%,
05/15/2025
(h)
525‌
570‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Chemicals
(continued)
CF
Industries
Inc
3.45%,
06/01/2023
$
625‌
$
655‌
4.95%,
06/01/2043
515‌
603‌
5.15%,
03/15/2034
517‌
595‌
5.38%,
03/15/2044
621‌
758‌
Chemours
Co/The
5.38%,
05/15/2027
375‌
367‌
6.63%,
05/15/2023
497‌
497‌
7.00%,
05/15/2025
(
i
)
575‌
584‌
Consolidated
Energy
Finance
SA
6.88%,
06/15/2025
(h)
300‌
284‌
Cornerstone
Chemical
Co
6.75%,
08/15/2024
(h)
6,853‌
6,305‌
CVR
Partners
LP
/
CVR
Nitrogen
Finance
Corp
9.25%,
06/15/2023
(h)
300‌
294‌
Element
Solutions
Inc
5.88%,
12/01/2025
(h)
800‌
826‌
GCP
Applied
Technologies
Inc
5.50%,
04/15/2026
(h)
600‌
612‌
HB
Fuller
Co
4.00%,
02/15/2027
750‌
735‌
Hexion
Inc
7.88%,
07/15/2027
(h)
325‌
323‌
INEOS
Group
Holdings
SA
5.63%,
08/01/2024
(h)
430‌
432‌
Innophos
Holdings
Inc
9.38%,
02/15/2028
(h)
440‌
449‌
Kraton
Polymers
LLC
/
Kraton
Polymers
Capital
Corp
7.00%,
04/15/2025
(h)
900‌
931‌
Methanex
Corp
4.25%,
12/01/2024
275‌
266‌
5.25%,
12/15/2029
625‌
605‌
Nouryon
Holding
BV
8.00%,
10/01/2026
(h),(
i
)
525‌
559‌
Nufarm
Australia
Ltd
/
Nufarm
Americas
Inc
5.75%,
04/30/2026
(h)
600‌
597‌
OCI
NV
5.25%,
11/01/2024
(h)
485‌
487‌
6.63%,
04/15/2023
(h)
545‌
565‌
Olin
Corp
5.00%,
02/01/2030
520‌
489‌
5.13%,
09/15/2027
477‌
461‌
5.50%,
08/15/2022
190‌
194‌
5.63%,
08/01/2029
500‌
478‌
9.50%,
06/01/2025
(h)
375‌
428‌
Rain
CII
Carbon
LLC
/
CII
Carbon
Corp
7.25%,
04/01/2025
(h)
432‌
424‌
Rayonier
AM
Products
Inc
5.50%,
06/01/2024
(h),(
i
)
790‌
478‌
SPCM
SA
4.88%,
09/15/2025
(h)
395‌
406‌
TPC
Group
Inc
10.50%,
08/01/2024
(h)
705‌
627‌
Trinseo
Materials
Operating
SCA
/
Trinseo
Materials
Finance
Inc
5.38%,
09/01/2025
(h)
1,018‌
1,005‌
Tronox
Finance
PLC
5.75%,
10/01/2025
(h)
880‌
871‌
Tronox
Inc
6.50%,
04/15/2026
(h)
575‌
576‌
Valvoline
Inc
4.25%,
02/15/2030
(h)
525‌
552‌
4.38%,
08/15/2025
318‌
329‌
Venator
Finance
Sarl
/
Venator
Materials
LLC
5.75%,
07/15/2025
(h)
15‌
11‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
74
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Chemicals
(continued)
WR
Grace
&
Co-Conn
5.63%,
10/01/2024
(h)
$
60‌
$
65‌
$
27,292‌
Coal
-
0.10%
Alliance
Resource
Operating
Partners
LP
/
Alliance
Resource
Finance
Corp
7.50%,
05/01/2025
(h)
1,061‌
737‌
CONSOL
Energy
Inc
11.00%,
11/15/2025
(h)
295‌
122‌
Natural
Resource
Partners
LP
/
NRP
Finance
Corp
9.13%,
06/30/2025
(h)
1,000‌
844‌
Peabody
Energy
Corp
6.00%,
03/31/2022
(h)
236‌
155‌
SunCoke
Energy
Partners
LP
/
SunCoke
Energy
Partners
Finance
Corp
7.50%,
06/15/2025
(h)
340‌
313‌
Warrior
Met
Coal
Inc
8.00%,
11/01/2024
(h)
585‌
602‌
$
2,773‌
Commercial
Services
-
3.17%
ACE
Cash
Express
Inc
12.00%,
12/15/2022
(h)
3‌
2‌
Adani
Abbot
Point
Terminal
Pty
Ltd
4.45%,
12/15/2022
(h)
1,085‌
971‌
ADT
Security
Corp/The
3.50%,
07/15/2022
560‌
575‌
4.13%,
06/15/2023
315‌
330‌
4.88%,
07/15/2032
(h)
540‌
543‌
Ahern
Rentals
Inc
7.38%,
05/15/2023
(h)
545‌
243‌
Algeco
Global
Finance
Plc
8.00%,
02/15/2023
(h)
600‌
597‌
Allied
Universal
Holdco
LLC
/
Allied
Universal
Finance
Corp
6.63%,
07/15/2026
(h)
1,635‌
1,749‌
9.75%,
07/15/2027
(h)
1,005‌
1,117‌
AMN
Healthcare
Inc
5.13%,
10/01/2024
(h)
253‌
257‌
Aptim
Corp
7.75%,
06/15/2025
(h)
300‌
124‌
APX
Group
Inc
6.75%,
02/15/2027
(h)
485‌
484‌
7.88%,
12/01/2022
508‌
512‌
ASGN
Inc
4.63%,
05/15/2028
(h)
7,020‌
7,178‌
Atento
Luxco
1
SA
6.13%,
08/10/2022
(h)
100‌
93‌
Avis
Budget
Car
Rental
LLC
/
Avis
Budget
Finance
Inc
6.38%,
04/01/2024
(h)
118‌
113‌
Brink's
Co/The
4.63%,
10/15/2027
(h)
1,100‌
1,119‌
Capitol
Investment
Merger
Sub
2
LLC
10.00%,
08/01/2024
(h)
360‌
372‌
Carriage
Services
Inc
6.63%,
06/01/2026
(h)
8‌
8‌
Cimpress
PLC
7.00%,
06/15/2026
(h)
626‌
634‌
Emeco
Pty
Ltd
9.25%,
03/31/2022
255‌
257‌
Garda
World
Security
Corp
4.63%,
02/15/2027
(h)
460‌
473‌
8.75%,
05/15/2025
(h)
140‌
144‌
9.50%,
11/01/2027
(h)
795‌
867‌
Gartner
Inc
5.13%,
04/01/2025
(h)
440‌
455‌
Graham
Holdings
Co
5.75%,
06/01/2026
(h)
1,029‌
1,091‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Services
(continued)
Herc
Holdings
Inc
5.50%,
07/15/2027
(h)
$
155‌
$
164‌
Jaguar
Holding
Co
II
/
PPD
Development
LP
4.63%,
06/15/2025
(h)
1,380‌
1,442‌
5.00%,
06/15/2028
(h)
3,540‌
3,769‌
Midas
Intermediate
Holdco
II
LLC
/
Midas
Intermediate
Holdco
II
Finance
Inc
7.88%,
10/01/2022
(h),(
i
)
220‌
171‌
MPH
Acquisition
Holdings
LLC
7.13%,
06/01/2024
(h)
22,154‌
22,736‌
Nielsen
Co
Luxembourg
SARL/The
5.00%,
02/01/2025
(h),(
i
)
775‌
795‌
5.50%,
10/01/2021
(h)
131‌
131‌
Nielsen
Finance
LLC
/
Nielsen
Finance
Co
5.00%,
04/15/2022
(h)
4,299‌
4,318‌
Prime
Security
Services
Borrower
LLC
/
Prime
Finance
Inc
5.25%,
04/15/2024
(h)
1,385‌
1,489‌
5.75%,
04/15/2026
(h)
950‌
1,055‌
6.25%,
01/15/2028
(h)
1,015‌
1,058‌
Refinitiv
US
Holdings
Inc
6.25%,
05/15/2026
(h)
10,170‌
10,996‌
8.25%,
11/15/2026
(h)
1,255‌
1,385‌
Ritchie
Bros
Auctioneers
Inc
5.38%,
01/15/2025
(h)
405‌
419‌
Service
Corp
International/US
5.13%,
06/01/2029
565‌
624‌
5.38%,
05/15/2024
475‌
484‌
8.00%,
11/15/2021
370‌
393‌
ServiceMaster
Co
LLC/The
5.13%,
11/15/2024
(h)
2,260‌
2,328‌
Sotheby's
7.38%,
10/15/2027
(h),(
i
)
8,665‌
8,752‌
Team
Health
Holdings
Inc
6.38%,
02/01/2025
(h),(
i
)
654‌
379‌
United
Rentals
North
America
Inc
3.88%,
11/15/2027
605‌
635‌
4.00%,
07/15/2030
780‌
807‌
4.63%,
10/15/2025
939‌
966‌
4.88%,
01/15/2028
1,965‌
2,110‌
5.25%,
01/15/2030
200‌
219‌
5.50%,
07/15/2025
452‌
465‌
5.50%,
05/15/2027
905‌
974‌
5.88%,
09/15/2026
1,060‌
1,132‌
6.50%,
12/15/2026
1,075‌
1,193‌
Verscend
Escrow
Corp
9.75%,
08/15/2026
(h)
890‌
985‌
WEX
Inc
4.75%,
02/01/2023
(h)
130‌
130‌
WW
International
Inc
8.63%,
12/01/2025
(h)
17‌
18‌
$
92,830‌
Computers
-
0.49%
Banff
Merger
Sub
Inc
9.75%,
09/01/2026
(h)
1,450‌
1,535‌
Booz
Allen
Hamilton
Inc
5.13%,
05/01/2025
(h)
174‌
178‌
Dell
Inc
5.40%,
09/10/2040
150‌
157‌
6.50%,
04/15/2038
314‌
346‌
Diebold
Nixdorf
Inc
8.50%,
04/15/2024
(
i
)
300‌
275‌
9.38%,
07/15/2025
(h)
565‌
598‌
EMC
Corp
3.38%,
06/01/2023
415‌
435‌
Everi
Payments
Inc
7.50%,
12/15/2025
(h)
7‌
7‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
75
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Computers
(continued)
Exela
Intermediate
LLC
/
Exela
Finance
Inc
10.00%,
07/15/2023
(h)
$
735‌
$
184‌
MTS
Systems
Corp
5.75%,
08/15/2027
(h)
510‌
496‌
NCR
Corp
5.75%,
09/01/2027
(h)
875‌
903‌
6.13%,
09/01/2029
(h)
835‌
915‌
6.38%,
12/15/2023
480‌
494‌
Presidio
Holdings
Inc
4.88%,
02/01/2027
(h)
4,400‌
4,488‌
8.25%,
02/01/2028
(h)
330‌
343‌
Tempo
Acquisition
LLC
/
Tempo
Acquisition
Finance
Corp
6.75%,
06/01/2025
(h)
994‌
1,026‌
Western
Digital
Corp
4.75%,
02/15/2026
1,883‌
2,046‌
$
14,426‌
Consumer
Products
-
0.10%
ACCO
Brands
Corp
5.25%,
12/15/2024
(h)
316‌
324‌
Central
Garden
&
Pet
Co
5.13%,
02/01/2028
642‌
679‌
Kronos
Acquisition
Holdings
Inc
9.00%,
08/15/2023
(h)
721‌
734‌
Prestige
Brands
Inc
6.38%,
03/01/2024
(h)
228‌
236‌
Spectrum
Brands
Inc
5.75%,
07/15/2025
785‌
808‌
$
2,781‌
Cosmetics
&
Personal
Care
-
0.09%
Avon
International
Capital
PLC
6.50%,
08/15/2022
(h)
878‌
874‌
Avon
Products
Inc
7.00%,
03/15/2023
84‌
86‌
8.95%,
03/15/2043
240‌
271‌
Coty
Inc
6.50%,
04/15/2026
(h)
1,033‌
806‌
Edgewell
Personal
Care
Co
4.70%,
05/24/2022
405‌
426‌
High
Ridge
Brands
Co
0.00%,
03/15/2025
(d),(h)
4,938‌
148‌
$
2,611‌
Distribution
&
Wholesale
-
0.95%
American
Builders
&
Contractors
Supply
Co
Inc
4.00%,
01/15/2028
(h)
565‌
588‌
5.88%,
05/15/2026
(h)
450‌
476‌
Core
&
Main
Holdings
LP
8.63%,
PIK
9.38%,
09/15/2024
(h),(k),(l)
300‌
303‌
Core
&
Main
LP
6.13%,
08/15/2025
(h)
580‌
598‌
H&E
Equipment
Services
Inc
5.63%,
09/01/2025
493‌
513‌
HD
Supply
Inc
5.38%,
10/15/2026
(h)
595‌
624‌
IAA
Inc
5.50%,
06/15/2027
(h)
6,403‌
6,827‌
KAR
Auction
Services
Inc
5.13%,
06/01/2025
(h)
932‌
937‌
Performance
Food
Group
Inc
5.50%,
06/01/2024
(h)
4,260‌
4,297‌
5.50%,
10/15/2027
(h)
7,590‌
7,837‌
6.88%,
05/01/2025
(h)
2,225‌
2,397‌
Resideo
Funding
Inc
6.13%,
11/01/2026
(h)
703‌
717‌
Univar
Solutions
USA
Inc
/Washington
5.13%,
12/01/2027
(h)
405‌
428‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Distribution
&
Wholesale
(continued)
Wolverine
Escrow
LLC
8.50%,
11/15/2024
(h)
$
517‌
$
375‌
9.00%,
11/15/2026
(h)
715‌
518‌
13.13%,
11/15/2027
(h)
420‌
277‌
$
27,712‌
Diversified
Financial
Services
-
5.47%
AerCap
Holdings
NV
5.88%,
10/10/2079
(m)
700‌
537‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.54%
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
6.50%,
07/15/2025
1,350‌
1,449‌
AG
Issuer
LLC
6.25%,
03/01/2028
(h)
49‌
50‌
Aircastle
Ltd
4.25%,
06/15/2026
1,345‌
1,264‌
Alliance
Data
Systems
Corp
4.75%,
12/15/2024
(h)
8,875‌
8,209‌
Ally
Financial
Inc
5.75%,
11/20/2025
2,025‌
2,286‌
8.00%,
11/01/2031
5,340‌
7,386‌
8.00%,
11/01/2031
1,237‌
1,666‌
Credit
Acceptance
Corp
5.13%,
12/31/2024
(h)
900‌
916‌
6.63%,
03/15/2026
1,209‌
1,262‌
Curo
Group
Holdings
Corp
8.25%,
09/01/2025
(h)
650‌
518‌
Enova
International
Inc
8.50%,
09/01/2024
(h)
635‌
575‌
8.50%,
09/15/2025
(h)
170‌
153‌
Global
Aircraft
Leasing
Co
Ltd
6.50%,
PIK
7.25%,
09/15/2024
(h),(k),(l)
830‌
517‌
goeasy
Ltd
5.38%,
12/01/2024
(h)
445‌
461‌
Lincoln
Financing
SARL
3.63%,
04/01/2024
(h)
EUR
5,500‌
6,362‌
LPL
Holdings
Inc
4.63%,
11/15/2027
(h)
$
160‌
165‌
5.75%,
09/15/2025
(h)
859‌
893‌
Nationstar
Mortgage
Holdings
Inc
6.00%,
01/15/2027
(h)
9,300‌
9,486‌
8.13%,
07/15/2023
(h)
11,655‌
12,119‌
9.13%,
07/15/2026
(h)
595‌
647‌
Navient
Corp
5.00%,
03/15/2027
575‌
551‌
5.50%,
01/25/2023
100‌
102‌
5.63%,
08/01/2033
122‌
104‌
5.88%,
10/25/2024
763‌
782‌
6.13%,
03/25/2024
455‌
471‌
6.50%,
06/15/2022
1,000‌
1,045‌
6.75%,
06/25/2025
550‌
575‌
6.75%,
06/15/2026
510‌
530‌
7.25%,
01/25/2022
625‌
656‌
7.25%,
09/25/2023
140‌
148‌
NFP
Corp
6.88%,
07/15/2025
(h)
18,741‌
19,355‌
6.88%,
08/15/2028
(g),(h)
24,120‌
24,150‌
8.00%,
07/15/2025
(h)
4,278‌
4,464‌
Ocwen
Loan
Servicing
LLC
8.38%,
11/15/2022
(h)
223‌
196‌
OneMain
Finance
Corp
5.38%,
11/15/2029
1,335‌
1,409‌
5.63%,
03/15/2023
950‌
1,005‌
6.13%,
05/15/2022
500‌
526‌
6.13%,
03/15/2024
850‌
925‌
6.63%,
01/15/2028
14,145‌
16,210‌
6.88%,
03/15/2025
1,400‌
1,565‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
76
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Diversified
Financial
Services
(continued)
OneMain
Finance
Corp  
(continued)
7.13%,
03/15/2026
$
3,724‌
$
4,366‌
7.75%,
10/01/2021
548‌
578‌
Oxford
Finance
LLC
/
Oxford
Finance
Co-Issuer
II
Inc
6.38%,
12/15/2022
(h)
2,500‌
2,324‌
Quicken
Loans
LLC
5.25%,
01/15/2028
(h)
9,850‌
10,639‌
5.75%,
05/01/2025
(h)
8,693‌
8,962‌
SLM
Corp
5.13%,
04/05/2022
1,200‌
1,224‌
Voyager
Aviation
Holdings
LLC
/
Voyager
Finance
Co
8.50%,
08/15/2021
(h)
397‌
290‌
$
160,073‌
Electric
-
0.84%
AES
Corp/The
5.13%,
09/01/2027
402‌
435‌
5.50%,
04/15/2025
177‌
182‌
6.00%,
05/15/2026
919‌
972‌
Calpine
Corp
4.50%,
02/15/2028
(h)
995‌
1,027‌
4.63%,
02/01/2029
(g),(h)
525‌
530‌
5.00%,
02/01/2031
(g),(h)
685‌
702‌
5.13%,
03/15/2028
(h)
1,050‌
1,092‌
5.25%,
06/01/2026
(h)
1,150‌
1,196‌
5.50%,
02/01/2024
800‌
812‌
5.75%,
01/15/2025
890‌
916‌
Clearway
Energy
Operating
LLC
4.75%,
03/15/2028
(h)
280‌
299‌
5.00%,
09/15/2026
100‌
105‌
Drax
Finco
PLC
6.63%,
11/01/2025
(h)
400‌
417‌
InterGen
NV
7.00%,
06/30/2023
(h)
750‌
729‌
Midland
Cogeneration
Venture
LP
6.00%,
03/15/2025
(h)
400‌
411‌
NextEra
Energy
Operating
Partners
LP
4.25%,
09/15/2024
(h)
600‌
639‌
4.50%,
09/15/2027
(h)
273‌
297‌
NRG
Energy
Inc
5.25%,
06/15/2029
(h)
1,340‌
1,482‌
5.75%,
01/15/2028
1,155‌
1,270‌
6.63%,
01/15/2027
1,193‌
1,271‌
7.25%,
05/15/2026
1,299‌
1,401‌
Pattern
Energy
Operations
LP
/
Pattern
Energy
Operations
Inc
4.50%,
08/15/2028
(h)
565‌
599‌
PG&E
Corp
5.25%,
07/01/2030
825‌
858‌
Talen
Energy
Supply
LLC
6.50%,
06/01/2025
475‌
318‌
6.63%,
01/15/2028
(h)
345‌
346‌
7.25%,
05/15/2027
(h)
505‌
525‌
10.50%,
01/15/2026
(h)
528‌
409‌
TransAlta
Corp
4.50%,
11/15/2022
751‌
759‌
6.50%,
03/15/2040
275‌
275‌
Vistra
Operations
Co
LLC
5.00%,
07/31/2027
(h)
1,225‌
1,308‌
5.50%,
09/01/2026
(h)
1,250‌
1,317‌
5.63%,
02/15/2027
(h)
1,570‌
1,685‌
$
24,584‌
Electrical
Components
&
Equipment
-
0.27%
Energizer
Holdings
Inc
6.38%,
07/15/2026
(h)
755‌
804‌
7.75%,
01/15/2027
(h)
640‌
710‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electrical
Components
&
Equipment
(continued)
EnerSys
5.00%,
04/30/2023
(h)
$
838‌
$
858‌
WESCO
Distribution
Inc
5.38%,
12/15/2021
405‌
408‌
5.38%,
06/15/2024
11‌
11‌
7.13%,
06/15/2025
(h)
3,660‌
4,017‌
7.25%,
06/15/2028
(h)
1,070‌
1,169‌
$
7,977‌
Electronics
-
0.10%
Ingram
Micro
Inc
5.00%,
08/10/2022
200‌
203‌
5.45%,
12/15/2024
393‌
405‌
Sensata
Technologies
BV
4.88%,
10/15/2023
(h)
675‌
710‌
5.00%,
10/01/2025
(h)
681‌
735‌
5.63%,
11/01/2024
(h)
890‌
970‌
$
3,023‌
Energy
-
Alternate
Sources
-
0.26%
Enviva
Partners
LP
/
Enviva
Partners
Finance
Corp
6.50%,
01/15/2026
(h)
5,525‌
5,953‌
Pattern
Energy
Group
Inc
5.88%,
02/01/2024
(h)
94‌
97‌
TerraForm
Power
Operating
LLC
5.00%,
01/31/2028
(h)
720‌
794‌
Topaz
Solar
Farms
LLC
4.88%,
09/30/2039
(h)
149‌
164‌
5.75%,
09/30/2039
(h)
536‌
639‌
$
7,647‌
Engineering
&
Construction
-
0.18%
AECOM
5.13%,
03/15/2027
750‌
824‌
5.88%,
10/15/2024
16‌
18‌
AECOM
Global
II
LLC
/
URS
Fox
US
LP
5.00%,
04/01/2022
337‌
345‌
Brand
Industrial
Services
Inc
8.50%,
07/15/2025
(h)
640‌
592‌
Fluor
Corp
3.50%,
12/15/2024
420‌
345‌
4.25%,
09/15/2028
505‌
429‌
frontdoor
Inc
6.75%,
08/15/2026
(h)
215‌
232‌
MasTec
Inc
4.50%,
08/15/2028
(g),(h)
485‌
507‌
4.88%,
03/15/2023
137‌
138‌
New
Enterprise
Stone
&
Lime
Co
Inc
6.25%,
03/15/2026
(h)
569‌
586‌
PowerTeam
Services
LLC
9.03%,
12/04/2025
(h)
595‌
630‌
TopBuild
Corp
5.63%,
05/01/2026
(h)
258‌
267‌
Tutor
Perini
Corp
6.88%,
05/01/2025
(h)
431‌
430‌
Weekley
Homes
LLC
/
Weekley
Finance
Corp
6.00%,
02/01/2023
25‌
25‌
6.63%,
08/15/2025
27‌
28‌
$
5,396‌
Entertainment
-
2.32%
Allen
Media
LLC
/
Allen
Media
Co-Issuer
Inc
10.50%,
02/15/2028
(h)
250‌
231‌
Boyne
USA
Inc
7.25%,
05/01/2025
(h)
2,128‌
2,275‌
Caesars
Resort
Collection
LLC
/
CRC
Finco
Inc
5.25%,
10/15/2025
(h)
7,575‌
6,829‌
Cedar
Fair
LP
5.25%,
07/15/2029
405‌
383‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
77
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Entertainment
(continued)
Cedar
Fair
LP
/
Canada's
Wonderland
Co
/
Magnum
Management
Corp
5.38%,
06/01/2024
$
100‌
$
98‌
Cedar
Fair
LP
/
Canada's
Wonderland
Co
/
Magnum
Management
Corp
/
Millennium
Op
5.38%,
04/15/2027
925‌
893‌
5.50%,
05/01/2025
(h)
105‌
107‌
Churchill
Downs
Inc
4.75%,
01/15/2028
(h)
1,255‌
1,280‌
5.50%,
04/01/2027
(h)
660‌
691‌
Cinemark
USA
Inc
4.88%,
06/01/2023
7,850‌
6,672‌
8.75%,
05/01/2025
(h)
2,575‌
2,659‌
Cirsa
Finance
International
Sarl
7.88%,
12/20/2023
(h)
400‌
370‌
Colt
Merger
Sub
Inc
5.75%,
07/01/2025
(h)
4,550‌
4,732‌
6.25%,
07/01/2025
(h)
2,790‌
2,910‌
Downstream
Development
Authority
of
the
Quapaw
Tribe
of
Oklahoma
10.50%,
02/15/2023
(h)
475‌
378‌
Enterprise
Development
Authority/The
12.00%,
07/15/2024
(h)
80‌
79‌
Gateway
Casinos
&
Entertainment
Ltd
8.25%,
03/01/2024
(h)
210‌
164‌
Golden
Entertainment
Inc
7.63%,
04/15/2026
(h)
50‌
43‌
International
Game
Technology
PLC
5.25%,
01/15/2029
(h)
625‌
639‌
6.25%,
02/15/2022
(h)
586‌
612‌
6.25%,
01/15/2027
(h)
475‌
506‌
6.50%,
02/15/2025
(h)
660‌
711‌
Jacobs
Entertainment
Inc
7.88%,
02/01/2024
(h)
310‌
281‌
Lions
Gate
Capital
Holdings
LLC
5.88%,
11/01/2024
(h)
495‌
494‌
6.38%,
02/01/2024
(h)
550‌
555‌
Live
Nation
Entertainment
Inc
4.75%,
10/15/2027
(h)
1,300‌
1,201‌
4.88%,
11/01/2024
(h)
650‌
614‌
5.63%,
03/15/2026
(h)
2,250‌
2,138‌
6.50%,
05/15/2027
(h)
10,175‌
10,938‌
Merlin
Entertainments
Ltd
5.75%,
06/15/2026
(h)
325‌
309‌
Mohegan
Gaming
&
Entertainment
7.88%,
10/15/2024
(h)
1,025‌
866‌
Motion
Bondco
DAC
6.63%,
11/15/2027
(h)
173‌
148‌
Penn
National
Gaming
Inc
5.63%,
01/15/2027
(h)
250‌
247‌
Powdr
Corp
6.00%,
08/01/2025
(h)
240‌
245‌
Scientific
Games
International
Inc
5.00%,
10/15/2025
(h)
1,205‌
1,194‌
7.00%,
05/15/2028
(h)
575‌
529‌
8.25%,
03/15/2026
(h)
900‌
901‌
SeaWorld
Parks
&
Entertainment
Inc
9.50%,
08/01/2025
(g),(h)
3,310‌
3,356‌
Six
Flags
Entertainment
Corp
4.88%,
07/31/2024
(h)
1,341‌
1,274‌
5.50%,
04/15/2027
(h),(
i
)
890‌
841‌
Six
Flags
Theme
Parks
Inc
7.00%,
07/01/2025
(h)
95‌
102‌
Speedway
Motorsports
LLC
/
Speedway
Funding
II
Inc
4.88%,
11/01/2027
(h)
6,225‌
5,665‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Entertainment
(continued)
Stars
Group
Holdings
BV
/
Stars
Group
US
Co-
Borrower
LLC
7.00%,
07/15/2026
(h)
$
630‌
$
680‌
Vail
Resorts
Inc
6.25%,
05/15/2025
(h)
485‌
523‌
WMG
Acquisition
Corp
3.88%,
07/15/2030
(h)
430‌
460‌
5.50%,
04/15/2026
(h)
21‌
22‌
Wynn
Resorts
Finance
LLC
/
Wynn
Resorts
Capital
Corp
5.13%,
10/01/2029
(h)
585‌
560‌
7.75%,
04/15/2025
(h)
485‌
509‌
$
67,914‌
Environmental
Control
-
1.03%
Clean
Harbors
Inc
4.88%,
07/15/2027
(h)
440‌
466‌
5.13%,
07/15/2029
(h)
300‌
321‌
Covanta
Holding
Corp
5.88%,
03/01/2024
850‌
872‌
5.88%,
07/01/2025
12,217‌
12,645‌
6.00%,
01/01/2027
4,888‌
5,059‌
GFL
Environmental
Inc
4.25%,
06/01/2025
(h)
405‌
421‌
5.13%,
12/15/2026
(h)
615‌
653‌
7.00%,
06/01/2026
(h)
3,262‌
3,457‌
8.50%,
05/01/2027
(h)
4,285‌
4,801‌
Harsco
Corp
5.75%,
07/31/2027
(h)
595‌
624‌
Stericycle
Inc
5.38%,
07/15/2024
(h)
80‌
84‌
Tervita
Corp
7.63%,
12/01/2021
(h)
275‌
217‌
Waste
Pro
USA
Inc
5.50%,
02/15/2026
(h)
431‌
438‌
$
30,058‌
Food
-
2.35%
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC
3.50%,
02/15/2023
(h)
445‌
455‌
4.63%,
01/15/2027
(h)
1,155‌
1,221‌
4.88%,
02/15/2030
(h)
800‌
866‌
5.75%,
03/15/2025
980‌
1,014‌
5.88%,
02/15/2028
(h)
612‌
670‌
7.50%,
03/15/2026
(h)
725‌
816‌
B&G
Foods
Inc
5.25%,
04/01/2025
589‌
616‌
5.25%,
09/15/2027
575‌
611‌
Chobani
LLC
/
Chobani
Finance
Corp
Inc
7.50%,
04/15/2025
(h)
755‌
787‌
Dole
Food
Co
Inc
7.25%,
06/15/2025
(h)
656‌
646‌
FAGE
International
SA
/
FAGE
USA
Dairy
Industry
Inc
5.63%,
08/15/2026
(h)
375‌
367‌
Fresh
Market
Inc
/The
9.75%,
05/01/2023
(h)
743‌
609‌
Ingles
Markets
Inc
5.75%,
06/15/2023
56‌
57‌
JBS
USA
LUX
SA
/
JBS
USA
Finance
Inc
5.88%,
07/15/2024
(h)
777‌
792‌
6.75%,
02/15/2028
(h)
1,455‌
1,626‌
JBS
USA
LUX
SA
/
JBS
USA
Food
Co
/
JBS
USA
Finance
Inc
5.50%,
01/15/2030
(h)
1,020‌
1,125‌
6.50%,
04/15/2029
(h)
1,145‌
1,297‌
KeHE
Distributors
LLC
/
KeHE
Finance
Corp
8.63%,
10/15/2026
(h)
40‌
43‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
78
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Food
(continued)
Kraft
Heinz
Foods
Co
3.00%,
06/01/2026
$
1,615‌
$
1,708‌
3.75%,
04/01/2030
(h)
1,280‌
1,387‌
3.88%,
05/15/2027
(h)
1,065‌
1,147‌
3.95%,
07/15/2025
1,334‌
1,466‌
4.25%,
03/01/2031
(h)
765‌
844‌
4.38%,
06/01/2046
2,385‌
2,508‌
4.63%,
01/30/2029
1,355‌
1,544‌
4.63%,
10/01/2039
(h)
825‌
866‌
4.88%,
10/01/2049
(h)
1,750‌
1,934‌
5.00%,
07/15/2035
1,265‌
1,482‌
5.00%,
06/04/2042
1,648‌
1,850‌
5.20%,
07/15/2045
2,205‌
2,515‌
5.50%,
06/01/2050
(h)
630‌
739‌
6.50%,
02/09/2040
1,040‌
1,314‌
6.75%,
03/15/2032
305‌
405‌
6.88%,
01/26/2039
1,110‌
1,488‌
7.13%,
08/01/2039
(h)
1,050‌
1,421‌
Lamb
Weston
Holdings
Inc
4.63%,
11/01/2024
(h)
835‌
875‌
4.88%,
11/01/2026
(h)
1,235‌
1,297‌
Pilgrim's
Pride
Corp
5.75%,
03/15/2025
(h)
920‌
943‌
5.88%,
09/30/2027
(h)
690‌
730‌
Post
Holdings
Inc
5.00%,
08/15/2026
(h)
7,013‌
7,350‌
5.50%,
12/15/2029
(h)
665‌
730‌
5.63%,
01/15/2028
(h)
1,755‌
1,918‌
5.75%,
03/01/2027
(h)
1,789‌
1,905‌
Safeway
Inc
7.25%,
02/01/2031
125‌
140‌
Sigma
Holdco
BV
7.88%,
05/15/2026
(h),(
i
)
1,075‌
1,083‌
Simmons
Foods
Inc
5.75%,
11/01/2024
(h)
600‌
603‌
7.75%,
01/15/2024
(h)
195‌
205‌
US
Foods
Inc
5.88%,
06/15/2024
(h)
985‌
983‌
6.25%,
04/15/2025
(h)
11,000‌
11,798‌
$
68,796‌
Food
Service
-
0.53%
Aramark
Services
Inc
4.75%,
06/01/2026
580‌
577‌
5.00%,
04/01/2025
(h)
550‌
565‌
5.00%,
02/01/2028
(h)
3,625‌
3,648‌
6.38%,
05/01/2025
(h)
10,100‌
10,655‌
$
15,445‌
Forest
Products
&
Paper
-
0.08%
Cascades
Inc
5.75%,
07/15/2023
(h)
160‌
162‌
Mercer
International
Inc
5.50%,
01/15/2026
703‌
665‌
6.50%,
02/01/2024
1,275‌
1,256‌
Smurfit
Kappa
Treasury
Funding
DAC
7.50%,
11/20/2025
150‌
181‌
$
2,264‌
Gas
-
0.08%
AmeriGas
Partners
LP
/
AmeriGas
Finance
Corp
5.50%,
05/20/2025
247‌
267‌
5.63%,
05/20/2024
671‌
721‌
5.75%,
05/20/2027
421‌
461‌
5.88%,
08/20/2026
818‌
903‌
$
2,352‌
Hand
&
Machine
Tools
-
0.32%
Apex
Tool
Group
LLC
/
BC
Mountain
Finance
Inc
9.00%,
02/15/2023
(h)
10,575‌
8,460‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Hand
&
Machine
Tools
(continued)
Colfax
Corp
6.00%,
02/15/2024
(h)
$
140‌
$
147‌
6.38%,
02/15/2026
(h)
317‌
342‌
Werner
FinCo
LP
/
Werner
FinCo
Inc
8.75%,
07/15/2025
(h)
375‌
323‌
$
9,272‌
Healthcare
-
Products
-
0.41%
Avantor
Funding
Inc
4.63%,
07/15/2028
(h)
7,930‌
8,378‌
Hologic
Inc
4.38%,
10/15/2025
(h)
490‌
502‌
Immucor
Inc
11.13%,
02/15/2022
(h)
289‌
290‌
Ortho-Clinical
Diagnostics
Inc
/
Ortho-Clinical
Diagnostics
SA
7.25%,
02/01/2028
(h)
1,280‌
1,339‌
Teleflex
Inc
4.63%,
11/15/2027
565‌
611‌
4.88%,
06/01/2026
800‌
840‌
$
11,960‌
Healthcare
-
Services
-
6.41%
Acadia
Healthcare
Co
Inc
5.50%,
07/01/2028
(h)
4,000‌
4,215‌
5.63%,
02/15/2023
1,052‌
1,069‌
6.50%,
03/01/2024
429‌
441‌
AHP
Health
Partners
Inc
9.75%,
07/15/2026
(h)
1,000‌
1,062‌
Air
Medical
Group
Holdings
Inc
6.38%,
05/15/2023
(h)
274‌
260‌
Air
Methods
Corp
8.00%,
05/15/2025
(h),(
i
)
470‌
330‌
Catalent
Pharma
Solutions
Inc
4.88%,
01/15/2026
(h)
339‌
348‌
5.00%,
07/15/2027
(h)
570‌
607‌
Centene
Corp
4.25%,
12/15/2027
2,300‌
2,444‌
4.63%,
12/15/2029
4,000‌
4,461‌
4.75%,
05/15/2022
425‌
432‌
4.75%,
01/15/2025
1,190‌
1,233‌
5.25%,
04/01/2025
(h)
1,060‌
1,105‌
5.38%,
06/01/2026
(h)
2,250‌
2,406‌
5.38%,
08/15/2026
(h)
400‌
428‌
Charles
River
Laboratories
International
Inc
4.25%,
05/01/2028
(h)
900‌
952‌
5.50%,
04/01/2026
(h)
480‌
507‌
CHS/Community
Health
Systems
Inc
6.25%,
03/31/2023
2,158‌
2,174‌
6.63%,
02/15/2025
(h)
950‌
960‌
6.88%,
02/01/2022
188‌
145‌
8.00%,
03/15/2026
(h)
1,374‌
1,407‌
8.00%,
12/15/2027
(h)
570‌
573‌
8.13%,
06/30/2024
(h)
1,040‌
659‌
8.63%,
01/15/2024
(h)
855‌
881‌
9.88%,
06/30/2023
(h),(
i
),(k)
2,000‌
1,580‌
DaVita
Inc
4.63%,
06/01/2030
(h)
1,415‌
1,507‌
5.00%,
05/01/2025
330‌
339‌
Encompass
Health
Corp
4.50%,
02/01/2028
3,630‌
3,793‌
4.75%,
02/01/2030
570‌
602‌
5.13%,
03/15/2023
900‌
905‌
5.75%,
11/01/2024
25‌
25‌
5.75%,
09/15/2025
2,642‌
2,734‌
Envision
Healthcare
Corp
8.75%,
10/15/2026
(h)
14,950‌
5,980‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
79
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Healthcare
-
Services
(continued)
HCA
Inc
3.50%,
09/01/2030
$
2,000‌
$
2,102‌
5.38%,
02/01/2025
2,682‌
3,024‌
5.38%,
09/01/2026
800‌
914‌
5.63%,
09/01/2028
1,105‌
1,318‌
5.88%,
05/01/2023
978‌
1,073‌
5.88%,
02/15/2026
1,210‌
1,416‌
5.88%,
02/01/2029
810‌
986‌
7.50%,
11/06/2033
413‌
557‌
7.69%,
06/15/2025
225‌
265‌
IQVIA
Inc
5.00%,
10/15/2026
(h)
1,062‌
1,120‌
5.00%,
05/15/2027
(h)
900‌
960‌
LifePoint
Health
Inc
4.38%,
02/15/2027
(h)
3,660‌
3,741‌
6.75%,
04/15/2025
(h)
485‌
523‌
Magellan
Health
Inc
4.90%,
09/22/2024
325‌
328‌
MEDNAX
Inc
5.25%,
12/01/2023
(h)
611‌
619‌
6.25%,
01/15/2027
(h)
810‌
857‌
Molina
Healthcare
Inc
4.88%,
06/15/2025
(h)
483‌
494‌
5.38%,
11/15/2022
775‌
814‌
One
Call
Corp
8.25%,
PIK
11.50%,
07/01/2024
(h),(k),(l)
58,703‌
52,833‌
Polaris
Intermediate
Corp
8.50%,
PIK
9.25%,
12/01/2022
(h),(
i
),(k),(l)
13,984‌
14,228‌
Radiology
Partners
Inc
9.25%,
02/01/2028
(h)
6,600‌
6,616‌
RegionalCare
Hospital
Partners
Holdings
Inc
/
LifePoint
Health
Inc
9.75%,
12/01/2026
(h)
1,700‌
1,887‌
Select
Medical
Corp
6.25%,
08/15/2026
(h)
500‌
539‌
Surgery
Center
Holdings
Inc
6.75%,
07/01/2025
(h),(
i
)
6,119‌
5,920‌
10.00%,
04/15/2027
(h)
680‌
721‌
Tenet
Healthcare
Corp
4.63%,
07/15/2024
3,775‌
3,841‌
4.63%,
09/01/2024
(h)
2,170‌
2,219‌
4.63%,
06/15/2028
(h)
4,000‌
4,207‌
4.88%,
01/01/2026
(h)
8,042‌
8,412‌
5.13%,
05/01/2025
1,120‌
1,152‌
5.13%,
11/01/2027
(h)
1,833‌
1,946‌
6.25%,
02/01/2027
(h)
1,295‌
1,376‌
6.75%,
06/15/2023
1,168‌
1,232‌
6.88%,
11/15/2031
285‌
272‌
7.50%,
04/01/2025
(h)
570‌
631‌
8.13%,
04/01/2022
8,073‌
8,699‌
US
Renal
Care
Inc
10.63%,
07/15/2027
(h)
414‌
441‌
West
Street
Merger
Sub
Inc
6.38%,
09/01/2025
(h)
2,531‌
2,568‌
$
187,415‌
Holding
Companies
-
Diversified
-
0.05%
Stena
AB
7.00%,
02/01/2024
(h),(
i
)
425‌
414‌
Stena
International
SA
5.75%,
03/01/2024
(h)
285‌
270‌
6.13%,
02/01/2025
(h)
285‌
275‌
VistaJet
Malta
Finance
PLC
/
XO
Management
Holding
Inc
10.50%,
06/01/2024
(h)
488‌
439‌
$
1,398‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Home
Builders
-
0.91%
Ashton
Woods
USA
LLC
/
Ashton
Woods
Finance
Co
6.63%,
01/15/2028
(h)
$
900‌
$
907‌
Beazer
Homes
USA
Inc
5.88%,
10/15/2027
245‌
246‌
6.75%,
03/15/2025
151‌
155‌
Brookfield
Residential
Properties
Inc
/
Brookfield
Residential
US
Corp
4.88%,
02/15/2030
(h)
405‌
367‌
6.25%,
09/15/2027
(h)
485‌
485‌
6.38%,
05/15/2025
(h)
591‌
600‌
Century
Communities
Inc
5.88%,
07/15/2025
538‌
554‌
6.75%,
06/01/2027
800‌
854‌
KB
Home
4.80%,
11/15/2029
144‌
150‌
7.00%,
12/15/2021
340‌
356‌
7.50%,
09/15/2022
226‌
247‌
7.63%,
05/15/2023
30‌
33‌
Lennar
Corp
4.13%,
01/15/2022
580‌
594‌
4.50%,
04/30/2024
490‌
530‌
4.75%,
11/15/2022
1,200‌
1,266‌
4.75%,
05/30/2025
485‌
533‌
4.75%,
11/29/2027
500‌
571‌
4.88%,
12/15/2023
600‌
647‌
5.00%,
06/15/2027
457‌
514‌
5.25%,
06/01/2026
232‌
260‌
5.38%,
10/01/2022
(
i
)
73‌
78‌
5.88%,
11/15/2024
882‌
1,000‌
6.25%,
12/15/2021
187‌
194‌
M/I
Homes
Inc
5.63%,
08/01/2025
231‌
240‌
Mattamy
Group
Corp
4.63%,
03/01/2030
(h)
485‌
492‌
5.25%,
12/15/2027
(h)
405‌
420‌
MDC
Holdings
Inc
5.50%,
01/15/2024
263‌
283‌
6.00%,
01/15/2043
400‌
460‌
Meritage
Homes
Corp
6.00%,
06/01/2025
1,208‌
1,387‌
New
Home
Co
Inc
/The
7.25%,
04/01/2022
625‌
591‌
Picasso
Finance
Sub
Inc
6.13%,
06/15/2025
(h)
525‌
558‌
PulteGroup
Inc
5.00%,
01/15/2027
985‌
1,129‌
5.50%,
03/01/2026
185‌
214‌
6.00%,
02/15/2035
212‌
251‌
6.38%,
05/15/2033
320‌
400‌
7.88%,
06/15/2032
179‌
238‌
Shea
Homes
LP
/
Shea
Homes
Funding
Corp
4.75%,
02/15/2028
(h)
365‌
383‌
Taylor
Morrison
Communities
Inc
5.13%,
08/01/2030
(h)
405‌
442‌
5.75%,
01/15/2028
(h)
795‌
893‌
6.63%,
07/15/2027
(h)
90‌
98‌
Taylor
Morrison
Communities
Inc
/
Taylor
Morrison
Holdings
II
Inc
5.63%,
03/01/2024
(h)
670‌
714‌
5.88%,
04/15/2023
(h)
566‌
597‌
Toll
Brothers
Finance
Corp
3.80%,
11/01/2029
320‌
333‌
4.35%,
02/15/2028
740‌
801‌
4.38%,
04/15/2023
811‌
852‌
4.88%,
03/15/2027
345‌
386‌
5.63%,
01/15/2024
383‌
421‌
5.88%,
02/15/2022
430‌
449‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
80
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Home
Builders
(continued)
TRI
Pointe
Group
Inc
5.25%,
06/01/2027
$
795‌
$
835‌
TRI
Pointe
Group
Inc
/
TRI
Pointe
Homes
Inc
5.88%,
06/15/2024
901‌
971‌
Williams
Scotsman
International
Inc
6.88%,
08/15/2023
(h)
385‌
398‌
Winnebago
Industries
Inc
6.25%,
07/15/2028
(h)
240‌
254‌
$
26,631‌
Home
Furnishings
-
0.02%
Tempur
Sealy
International
Inc
5.50%,
06/15/2026
533‌
558‌
Housewares
-
0.21%
CD&R
Smokey
Buyer
Inc
6.75%,
07/15/2025
(h)
505‌
540‌
Newell
Brands
Inc
4.00%,
06/15/2022
200‌
206‌
4.00%,
12/01/2024
200‌
205‌
4.35%,
04/01/2023
1,125‌
1,195‌
4.70%,
04/01/2026
1,550‌
1,678‌
4.88%,
06/01/2025
400‌
435‌
5.50%,
04/01/2046
697‌
769‌
5.87%,
04/01/2036
375‌
424‌
Scotts
Miracle-
Gro
Co/The
4.50%,
10/15/2029
500‌
530‌
5.25%,
12/15/2026
187‌
200‌
$
6,182‌
Insurance
-
1.86%
Acrisure
LLC
/
Acrisure
Finance
Inc
7.00%,
11/15/2025
(h)
14,925‌
15,076‌
8.13%,
02/15/2024
(h)
10,515‌
11,172‌
10.13%,
08/01/2026
(h)
847‌
936‌
Alliant
Holdings
Intermediate
LLC
/
Alliant
Holdings
Co-Issuer
6.75%,
10/15/2027
(h)
74‌
79‌
AmWINS
Group
Inc
7.75%,
07/01/2026
(h)
440‌
485‌
Assurant
Inc
7.00%,
03/27/2048
(m)
425‌
444‌
3
Month
USD
LIBOR
+
4.14%
AssuredPartners
Inc
7.00%,
08/15/2025
(h)
17,237‌
17,495‌
Genworth
Holdings
Inc
4.80%,
02/15/2024
383‌
337‌
4.90%,
08/15/2023
625‌
556‌
6.50%,
06/15/2034
150‌
124‌
7.63%,
09/24/2021
(
i
)
250‌
251‌
GTCR
AP
Finance
Inc
8.00%,
05/15/2027
(h)
1,910‌
2,015‌
HUB
International
Ltd
7.00%,
05/01/2026
(h)
1,347‌
1,432‌
MGIC
Investment
Corp
5.75%,
08/15/2023
1,335‌
1,402‌
Radian
Group
Inc
4.50%,
10/01/2024
1,353‌
1,360‌
4.88%,
03/15/2027
800‌
775‌
USI
Inc
/NY
6.88%,
05/01/2025
(h)
532‌
545‌
$
54,484‌
Internet
-
0.97%
Cogent
Communications
Group
Inc
5.38%,
03/01/2022
(h)
575‌
599‌
E*TRADE
Financial
Corp
5.88%,
12/31/2049
(m),(n)
290‌
315‌
3
Month
USD
LIBOR
+
4.44%
EIG
Investors
Corp
10.88%,
02/01/2024
1,000‌
1,022‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Internet
(continued)
Getty
Images
Inc
9.75%,
03/01/2027
(h)
$
250‌
$
233‌
Go
Daddy
Operating
Co
LLC
/
GD
Finance
Co
Inc
5.25%,
12/01/2027
(h)
695‌
741‌
GrubHub
Holdings
Inc
5.50%,
07/01/2027
(h)
621‌
648‌
Match
Group
Holdings
II
LLC
4.13%,
08/01/2030
(h)
945‌
973‌
5.00%,
12/15/2027
(h)
785‌
824‌
5.63%,
02/15/2029
(h)
695‌
754‌
Netflix
Inc
3.63%,
06/15/2025
(h)
487‌
516‌
4.38%,
11/15/2026
1,656‌
1,839‌
4.88%,
04/15/2028
1,926‌
2,239‌
5.38%,
11/15/2029
(h)
699‌
847‌
5.50%,
02/15/2022
540‌
570‌
5.75%,
03/01/2024
1,125‌
1,263‌
5.88%,
02/15/2025
725‌
834‌
5.88%,
11/15/2028
2,600‌
3,211‌
6.38%,
05/15/2029
1,000‌
1,270‌
NortonLifeLock
Inc
3.95%,
06/15/2022
250‌
258‌
5.00%,
04/15/2025
(h)
699‌
718‌
Photo
Holdings
Merger
Sub
Inc
8.50%,
10/01/2026
(h)
825‌
764‌
TripAdvisor
Inc
7.00%,
07/15/2025
(h)
405‌
424‌
Twitter
Inc
3.88%,
12/15/2027
(h)
565‌
604‌
Uber
Technologies
Inc
7.50%,
11/01/2023
(h)
900‌
934‌
7.50%,
05/15/2025
(h)
990‌
1,044‌
7.50%,
09/15/2027
(h)
1,200‌
1,256‌
8.00%,
11/01/2026
(h)
1,793‌
1,882‌
VeriSign
Inc
4.75%,
07/15/2027
1,035‌
1,124‌
5.25%,
04/01/2025
635‌
724‌
$
28,430‌
Investment
Companies
-
0.15%
Compass
Group
Diversified
Holdings
LLC
8.00%,
05/01/2026
(h)
265‌
280‌
FS
Energy
and
Power
Fund
7.50%,
08/15/2023
(h)
155‌
136‌
Icahn
Enterprises
LP
/
Icahn
Enterprises
Finance
Corp
4.75%,
09/15/2024
495‌
505‌
5.25%,
05/15/2027
770‌
793‌
6.25%,
05/15/2026
1,200‌
1,268‌
6.38%,
12/15/2025
1,225‌
1,274‌
$
4,256‌
Iron
&
Steel
-
1.78%
Allegheny
Technologies
Inc
5.88%,
12/01/2027
2,040‌
1,933‌
7.88%,
08/15/2023
1,364‌
1,436‌
ArcelorMittal
SA
3.60%,
07/16/2024
890‌
931‌
4.25%,
07/16/2029
465‌
493‌
4.55%,
03/11/2026
915‌
993‌
6.13%,
06/01/2025
690‌
800‌
7.00%,
03/01/2041
570‌
715‌
7.25%,
10/15/2039
773‌
1,013‌
Baffinland
Iron
Mines
Corp
/
Baffinland
Iron
Mines
LP
8.75%,
07/15/2026
(h)
13,520‌
14,032‌
Big
River
Steel
LLC
/
BRS
Finance
Corp
7.25%,
09/01/2025
(h)
8,202‌
8,279‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
81
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Iron
&
Steel
(continued)
Carpenter
Technology
Corp
6.38%,
07/15/2028
$
325‌
$
341‌
Cleveland-Cliffs
Inc
4.88%,
01/15/2024
(h)
1,380‌
1,332‌
5.75%,
03/01/2025
375‌
323‌
5.88%,
06/01/2027
566‌
487‌
6.25%,
10/01/2040
300‌
195‌
6.75%,
03/15/2026
(h)
6,025‌
6,055‌
9.88%,
10/17/2025
(h)
600‌
656‌
Commercial
Metals
Co
4.88%,
05/15/2023
766‌
800‌
5.38%,
07/15/2027
154‌
161‌
Infrabuild
Australia
Pty
Ltd
12.00%,
10/01/2024
(h)
295‌
277‌
Mineral
Resources
Ltd
8.13%,
05/01/2027
(h)
1,075‌
1,187‌
Specialty
Steel
10.68%,
11/15/2022
(e),(f),(j),(k)
8,680‌
8,680‌
United
States
Steel
Corp
6.25%,
03/15/2026
(
i
)
537‌
358‌
6.88%,
08/15/2025
(
i
)
614‌
430‌
$
51,907‌
Leisure
Products
&
Services
-
0.63%
Carlson
Travel
Inc
9.50%,
12/15/2024
(h),(
i
)
12,676‌
6,829‌
Carnival
Corp
10.50%,
02/01/2026
(h)
625‌
647‌
11.50%,
04/01/2023
(h)
3,270‌
3,556‌
Constellation
Merger
Sub
Inc
8.50%,
09/15/2025
(h),(
i
)
315‌
262‌
LTF
Merger
Sub
Inc
8.50%,
06/15/2023
(h)
100‌
83‌
NCL
Corp
Ltd
10.25%,
02/01/2026
(h)
605‌
597‌
Royal
Caribbean
Cruises
Ltd
3.70%,
03/15/2028
1,340‌
938‌
5.25%,
11/15/2022
1,175‌
999‌
7.50%,
10/15/2027
(
i
)
565‌
475‌
Sabre
GLBL
Inc
5.25%,
11/15/2023
(h)
581‌
570‌
5.38%,
04/15/2023
(h)
610‌
599‌
9.25%,
04/15/2025
(h)
775‌
853‌
Viking
Cruises
Ltd
5.88%,
09/15/2027
(h)
1,075‌
707‌
13.00%,
05/15/2025
(h)
545‌
593‌
Vista
Outdoor
Inc
5.88%,
10/01/2023
125‌
125‌
VOC
Escrow
Ltd
5.00%,
02/15/2028
(h)
545‌
444‌
$
18,277‌
Lodging
-
1.69%
Boyd
Gaming
Corp
4.75%,
12/01/2027
(h)
825‌
793‌
6.00%,
08/15/2026
5,725‌
5,770‌
6.38%,
04/01/2026
5,710‌
5,839‌
8.63%,
06/01/2025
(h)
500‌
551‌
Diamond
Resorts
International
Inc
7.75%,
09/01/2023
(h)
300‌
291‌
10.75%,
09/01/2024
(h)
935‌
830‌
Hilton
Domestic
Operating
Co
Inc
4.25%,
09/01/2024
92‌
93‌
4.88%,
01/15/2030
1,510‌
1,582‌
5.13%,
05/01/2026
1,000‌
1,035‌
Hilton
Grand
Vacations
Borrower
LLC
/
Hilton
Grand
Vacations
Borrower
Inc
6.13%,
12/01/2024
369‌
373‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Lodging
(continued)
Hilton
Worldwide
Finance
LLC
/
Hilton
Worldwide
Finance
Corp
4.63%,
04/01/2025
$
553‌
$
562‌
4.88%,
04/01/2027
1,117‌
1,160‌
Marriott
Ownership
Resorts
Inc
6.13%,
09/15/2025
(h)
405‌
432‌
Marriott
Ownership
Resorts
Inc
/
ILG
LLC
6.50%,
09/15/2026
875‌
897‌
Melco
Resorts
Finance
Ltd
5.38%,
12/04/2029
(h)
845‌
849‌
5.75%,
07/21/2028
(h)
405‌
411‌
MGM
China
Holdings
Ltd
5.25%,
06/18/2025
(h)
405‌
416‌
5.38%,
05/15/2024
(h)
730‌
750‌
5.88%,
05/15/2026
(h)
730‌
772‌
MGM
Resorts
International
5.50%,
04/15/2027
653‌
656‌
5.75%,
06/15/2025
1,788‌
1,847‌
6.00%,
03/15/2023
1,045‌
1,092‌
6.75%,
05/01/2025
1,000‌
1,040‌
7.75%,
03/15/2022
713‌
758‌
Station
Casinos
LLC
4.50%,
02/15/2028
(h)
625‌
559‌
5.00%,
10/01/2025
(h)
13,063‌
12,361‌
Studio
City
Finance
Ltd
6.00%,
07/15/2025
(h)
405‌
411‌
6.50%,
01/15/2028
(h)
405‌
419‌
Wyndham
Destinations
Inc
3.90%,
03/01/2023
82‌
80‌
4.25%,
03/01/2022
440‌
437‌
5.40%,
04/01/2024
266‌
265‌
5.75%,
04/01/2027
280‌
277‌
6.63%,
07/31/2026
(h)
525‌
544‌
Wyndham
Hotels
&
Resorts
Inc
5.38%,
04/15/2026
(h)
465‌
474‌
Wynn
Las
Vegas
LLC
/
Wynn
Las
Vegas
Capital
Corp
4.25%,
05/30/2023
(h)
300‌
281‌
5.25%,
05/15/2027
(h)
595‌
530‌
5.50%,
03/01/2025
(h)
1,735‌
1,631‌
Wynn
Macau
Ltd
4.88%,
10/01/2024
(h)
425‌
422‌
5.13%,
12/15/2029
(h)
810‌
790‌
5.50%,
01/15/2026
(h)
605‌
607‌
5.50%,
10/01/2027
(h)
565‌
564‌
$
49,451‌
Machinery
-
Construction
&
Mining
-
0.16%
BWX
Technologies
Inc
4.13%,
06/30/2028
(h)
1,020‌
1,061‌
5.38%,
07/15/2026
(h)
1,006‌
1,051‌
Manitowoc
Co
Inc
/The
9.00%,
04/01/2026
(h)
1,535‌
1,571‌
Terex
Corp
5.63%,
02/01/2025
(h)
998‌
1,012‌
$
4,695‌
Machinery
-
Diversified
-
0.73%
ATS
Automation
Tooling
Systems
Inc
6.50%,
06/15/2023
(h)
201‌
204‌
Cleaver-Brooks
Inc
7.88%,
03/01/2023
(h)
416‌
398‌
JPW
Industries
Holding
Corp
9.00%,
10/01/2024
(h)
5,945‌
4,994‌
Maxim
Crane
Works
Holdings
Capital
LLC
10.13%,
08/01/2024
(h)
203‌
199‌
Mueller
Water
Products
Inc
5.50%,
06/15/2026
(h)
2,524‌
2,652‌
RBS
Global
Inc
/
Rexnord
LLC
4.88%,
12/15/2025
(h)
1,242‌
1,276‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
82
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Machinery
-
Diversified
(continued)
SPX
FLOW
Inc
5.63%,
08/15/2024
(h)
$
284‌
$
292‌
5.88%,
08/15/2026
(h)
3,010‌
3,152‌
Stevens
Holding
Co
Inc
6.13%,
10/01/2026
(h)
1,265‌
1,354‌
Tennant
Co
5.63%,
05/01/2025
239‌
247‌
Titan
Acquisition
Ltd
/
Titan
Co-Borrower
LLC
7.75%,
04/15/2026
(h)
4,806‌
4,746‌
Vertical
Holdco
GmbH
7.63%,
07/15/2028
(h)
360‌
383‌
Vertical
US
Newco
Inc
5.25%,
07/15/2027
(h)
1,260‌
1,336‌
$
21,233‌
Media
-
7.44%
Altice
Financing
SA
5.00%,
01/15/2028
(h)
1,000‌
1,027‌
7.50%,
05/15/2026
(h)
2,181‌
2,345‌
AMC
Networks
Inc
4.75%,
08/01/2025
1,177‌
1,206‌
5.00%,
04/01/2024
4,648‌
4,723‌
Belo
Corp
7.25%,
09/15/2027
170‌
185‌
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp
4.00%,
03/01/2023
(h)
405‌
411‌
4.25%,
02/01/2031
(h)
2,425‌
2,531‌
4.50%,
08/15/2030
(h)
4,470‌
4,738‌
4.50%,
05/01/2032
(h)
3,800‌
4,009‌
4.75%,
03/01/2030
(h)
7,720‌
8,217‌
5.00%,
02/01/2028
(h)
6,300‌
6,679‌
5.13%,
05/01/2027
(h)
1,769‌
1,877‌
5.38%,
05/01/2025
(h)
411‌
424‌
5.38%,
06/01/2029
(h)
1,305‌
1,429‌
5.50%,
05/01/2026
(h)
1,080‌
1,142‌
5.75%,
02/15/2026
(h)
11,157‌
11,687‌
5.88%,
05/01/2027
(h)
1,380‌
1,459‌
Cengage
Learning
Inc
9.50%,
06/15/2024
(h)
718‌
470‌
Clear
Channel
Worldwide
Holdings
Inc
9.25%,
02/15/2024
1,421‌
1,279‌
CSC
Holdings
LLC
4.63%,
12/01/2030
(h)
9,750‌
10,238‌
5.25%,
06/01/2024
1,630‌
1,793‌
5.38%,
02/01/2028
(h)
1,100‌
1,191‌
5.50%,
05/15/2026
(h)
2,953‌
3,097‌
5.50%,
04/15/2027
(h)
3,381‌
3,626‌
5.75%,
01/15/2030
(h)
4,551‌
5,045‌
5.88%,
09/15/2022
603‌
650‌
6.50%,
02/01/2029
(h)
3,850‌
4,409‌
6.63%,
10/15/2025
(h)
2,635‌
2,753‌
6.75%,
11/15/2021
1,184‌
1,255‌
7.50%,
04/01/2028
(h)
6,770‌
7,787‌
10.88%,
10/15/2025
(h)
1,130‌
1,211‌
Cumulus
Media
New
Holdings
Inc
6.75%,
07/01/2026
(h)
355‌
322‌
Diamond
Sports
Group
LLC
/
Diamond
Sports
Finance
Co
5.38%,
08/15/2026
(h)
8,490‌
6,538‌
6.63%,
08/15/2027
(h)
13,000‌
7,117‌
DISH
DBS
Corp
5.00%,
03/15/2023
1,779‌
1,855‌
5.88%,
07/15/2022
2,555‌
2,689‌
5.88%,
11/15/2024
2,114‌
2,204‌
7.75%,
07/01/2026
1,181‌
1,332‌
Entercom
Media
Corp
6.50%,
05/01/2027
(h)
345‌
308‌
7.25%,
11/01/2024
(h)
322‌
265‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Media
(continued)
EW
Scripps
Co/The
5.13%,
05/15/2025
(h)
$
142‌
$
140‌
GCI
LLC
6.63%,
06/15/2024
(h)
260‌
274‌
6.88%,
04/15/2025
85‌
88‌
Gray
Television
Inc
5.13%,
10/15/2024
(h)
165‌
170‌
5.88%,
07/15/2026
(h)
400‌
414‌
7.00%,
05/15/2027
(h)
735‌
803‌
Houghton
Mifflin
Harcourt
Publishers
Inc
9.00%,
02/15/2025
(h)
245‌
236‌
iHeartCommunications
Inc
4.75%,
01/15/2028
(h)
405‌
402‌
5.25%,
08/15/2027
(h)
390‌
394‌
6.38%,
05/01/2026
775‌
816‌
8.38%,
05/01/2027
1,405‌
1,403‌
LCPR
Senior
Secured
Financing
DAC
6.75%,
10/15/2027
(h)
1,200‌
1,297‌
Liberty
Interactive
LLC
8.25%,
02/01/2030
435‌
459‌
8.50%,
07/15/2029
175‌
183‌
McGraw-Hill
Global
Education
Holdings
LLC
/
McGraw-Hill
Global
Education
Finance
7.88%,
05/15/2024
(h)
500‌
300‌
Meredith
Corp
6.88%,
02/01/2026
1,020‌
886‌
Nexstar
Broadcasting
Inc
5.63%,
08/01/2024
(h)
469‌
482‌
5.63%,
07/15/2027
(h)
13,250‌
14,181‌
Quebecor
Media
Inc
5.75%,
01/15/2023
685‌
747‌
Radiate
Holdco
LLC
/
Radiate
Finance
Inc
6.63%,
02/15/2025
(h)
323‌
331‌
Scripps
Escrow
Inc
5.88%,
07/15/2027
(h)
1,000‌
1,005‌
Sinclair
Television
Group
Inc
5.13%,
02/15/2027
(h)
278‌
272‌
5.50%,
03/01/2030
(h)
8,450‌
8,447‌
5.63%,
08/01/2024
(h)
184‌
186‌
5.88%,
03/15/2026
(h)
270‌
271‌
Sirius
XM
Radio
Inc
3.88%,
08/01/2022
(h)
808‌
823‌
4.63%,
07/15/2024
(h)
1,330‌
1,401‌
5.00%,
08/01/2027
(h)
956‌
1,019‌
5.38%,
07/15/2026
(h)
5,820‌
6,133‌
5.50%,
07/01/2029
(h)
1,388‌
1,546‌
SportsNet
New
York
10.25%,
01/15/2025
(e),(f),(j)
4,130‌
4,306‌
TEGNA
Inc
4.88%,
09/15/2021
(h)
95‌
95‌
5.00%,
09/15/2029
(h)
2,100‌
2,117‌
Telenet
Finance
Luxembourg
Notes
Sarl
5.50%,
03/01/2028
(h)
2,200‌
2,310‌
Univision
Communications
Inc
5.13%,
02/15/2025
(h)
1,929‌
1,871‌
6.63%,
06/01/2027
(h)
1,225‌
1,228‌
UPC
Holding
BV
5.50%,
01/15/2028
(h)
430‌
436‌
Urban
One
Inc
7.38%,
04/15/2022
(h)
2,540‌
2,254‌
ViacomCBS
Inc
5.87%,
02/28/2057
(m)
218‌
228‌
3
Month
USD
LIBOR
+
3.90%
6.25%,
02/28/2057
(m)
352‌
391‌
3
Month
USD
LIBOR
+
3.90%
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
83
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Media
(continued)
Videotron
Ltd
5.00%,
07/15/2022
$
400‌
$
419‌
5.13%,
04/15/2027
(h)
664‌
702‌
5.38%,
06/15/2024
(h)
617‌
669‌
Virgin
Media
Finance
PLC
5.00%,
07/15/2030
(h)
6,976‌
7,288‌
Virgin
Media
Secured
Finance
PLC
4.50%,
08/15/2030
(h)
525‌
559‌
5.50%,
08/15/2026
(h)
9,020‌
9,582‌
5.50%,
05/15/2029
(h)
1,215‌
1,324‌
Virgin
Media
Vendor
Financing
Notes
IV
DAC
5.00%,
07/15/2028
(h)
405‌
423‌
Ziggo
Bond
Co
BV
5.13%,
02/28/2030
(h)
4,705‌
5,012‌
6.00%,
01/15/2027
(h)
2,600‌
2,756‌
Ziggo
BV
4.88%,
01/15/2030
(h)
565‌
601‌
5.50%,
01/15/2027
(h)
6,010‌
6,340‌
$
217,543‌
Metal
Fabrication
&
Hardware
-
0.39%
Advanced
Drainage
Systems
Inc
5.00%,
09/30/2027
(h)
5,000‌
5,150‌
Grinding
Media
Inc
/
Moly-Cop
AltaSteel
Ltd
7.38%,
12/15/2023
(h)
640‌
650‌
Hillman
Group
Inc
/The
6.38%,
07/15/2022
(h)
898‌
880‌
Optimas
OE
Solutions
Holding
LLC
/
Optimas
OE
Solutions
Inc
8.63%,
06/01/2021
(h)
9,626‌
4,813‌
$
11,493‌
Mining
-
2.59%
Alcoa
Nederland
Holding
BV
5.50%,
12/15/2027
(h)
605‌
652‌
6.13%,
05/15/2028
(h)
430‌
464‌
6.75%,
09/30/2024
(h)
393‌
410‌
7.00%,
09/30/2026
(h)
700‌
749‌
Arconic
Corp
6.00%,
05/15/2025
(h)
565‌
609‌
6.13%,
02/15/2028
(h)
11,772‌
12,523‌
Century
Aluminum
Co
12.00%,
07/01/2025
(h)
6,980‌
7,189‌
Coeur
Mining
Inc
5.88%,
06/01/2024
78‌
79‌
Compass
Minerals
International
Inc
4.88%,
07/15/2024
(h)
1,260‌
1,285‌
6.75%,
12/01/2027
(h)
353‌
383‌
Constellium
SE
5.63%,
06/15/2028
(h)
1,650‌
1,731‌
5.75%,
05/15/2024
(h)
466‌
475‌
5.88%,
02/15/2026
(h)
500‌
515‌
6.63%,
03/01/2025
(h)
3,087‌
3,187‌
Ferroglobe
PLC
/
Globe
Specialty
Metals
Inc
9.38%,
03/01/2022
(h)
325‌
140‌
FMG
Resources
August
2006
Pty
Ltd
4.50%,
09/15/2027
(h)
485‌
528‌
4.75%,
05/15/2022
(h)
593‌
621‌
5.13%,
03/15/2023
(h)
300‌
316‌
5.13%,
05/15/2024
(h)
1,242‌
1,326‌
Freeport-McMoRan
Inc
3.55%,
03/01/2022
430‌
446‌
3.88%,
03/15/2023
805‌
851‌
4.13%,
03/01/2028
250‌
263‌
4.25%,
03/01/2030
485‌
507‌
4.38%,
08/01/2028
525‌
557‌
4.55%,
11/14/2024
590‌
643‌
4.63%,
08/01/2030
685‌
734‌
5.00%,
09/01/2027
200‌
213‌
5.25%,
09/01/2029
485‌
534‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mining
(continued)
Freeport-McMoRan
Inc  
(continued)
5.40%,
11/14/2034
$
605‌
$
679‌
5.45%,
03/15/2043
1,510‌
1,680‌
Joseph
T
Ryerson
&
Son
Inc
8.50%,
08/01/2028
(h)
4,515‌
4,918‌
11.00%,
05/15/2022
(h)
5,064‌
5,222‌
JW
Aluminum
Continuous
Cast
Co
10.25%,
06/01/2026
(h)
435‌
453‌
Kaiser
Aluminum
Corp
6.50%,
05/01/2025
(h)
2,325‌
2,464‌
Northwest
Acquisitions
ULC
/
Dominion
Finco
Inc
0.00%,
11/01/2022
(d),(h)
15,820‌
198‌
Novelis
Corp
4.75%,
01/30/2030
(h)
9,300‌
9,703‌
5.88%,
09/30/2026
(h)
7,205‌
7,687‌
Real
Alloy
Holding
Inc
0.00%,
PIK
13.00%,
11/30/2023
(d),(e),(f),(j),(k),(l)
4,697‌
4,697‌
Taseko
Mines
Ltd
8.75%,
06/15/2022
(h)
100‌
85‌
$
75,716‌
Miscellaneous
Manufacturers
-
0.15%
Amsted
Industries
Inc
5.63%,
07/01/2027
(h)
495‌
522‌
FXI
Holdings
Inc
7.88%,
11/01/2024
(h)
543‌
472‌
12.25%,
11/15/2026
(h)
693‌
680‌
Gates
Global
LLC
/
Gates
Corp
6.25%,
01/15/2026
(h)
680‌
712‌
Hillenbrand
Inc
4.50%,
09/15/2026
1,260‌
1,354‌
Koppers
Inc
6.00%,
02/15/2025
(h)
139‌
143‌
LSB
Industries
Inc
9.63%,
05/01/2023
(h),(
i
)
345‌
336‌
Trinity
Industries
Inc
4.55%,
10/01/2024
133‌
134‌
$
4,353‌
Office
&
Business
Equipment
-
0.14%
CDW
LLC
/
CDW
Finance
Corp
4.13%,
05/01/2025
300‌
317‌
4.25%,
04/01/2028
485‌
519‌
5.00%,
09/01/2025
230‌
238‌
5.50%,
12/01/2024
920‌
1,033‌
Pitney
Bowes
Inc
4.63%,
03/15/2024
(
i
)
351‌
295‌
5.70%,
04/01/2023
(
i
)
250‌
219‌
Xerox
Corp
3.80%,
05/15/2024
(
i
)
215‌
216‌
4.12%,
03/15/2023
715‌
735‌
4.80%,
03/01/2035
180‌
169‌
6.75%,
12/15/2039
280‌
308‌
$
4,049‌
Oil
&
Gas
-
6.61%
Aker
BP
ASA
5.88%,
03/31/2025
(h)
365‌
384‌
Antero
Resources
Corp
5.00%,
03/01/2025
(
i
)
450‌
285‌
5.13%,
12/01/2022
581‌
465‌
5.38%,
11/01/2021
(
i
)
405‌
388‌
5.63%,
06/01/2023
(
i
)
570‌
409‌
Apache
Corp
3.25%,
04/15/2022
705‌
709‌
4.25%,
01/15/2030
755‌
727‌
4.25%,
01/15/2044
915‌
819‌
4.38%,
10/15/2028
948‌
947‌
4.75%,
04/15/2043
1,387‌
1,321‌
5.10%,
09/01/2040
1,570‌
1,523‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
84
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
Apache
Corp  
(continued)
5.25%,
02/01/2042
$
660‌
$
629‌
5.35%,
07/01/2049
580‌
560‌
6.00%,
01/15/2037
735‌
731‌
Ascent
Resources
Utica
Holdings
LLC
/
ARU
Finance
Corp
7.00%,
11/01/2026
(h)
900‌
576‌
10.00%,
04/01/2022
(h)
540‌
446‌
Athabasca
Oil
Corp
9.88%,
02/24/2022
(h)
165‌
65‌
Baytex
Energy
Corp
5.63%,
06/01/2024
(h)
438‌
267‌
8.75%,
04/01/2027
(h)
375‌
194‌
Berry
Petroleum
Co
LLC
7.00%,
02/15/2026
(h)
315‌
252‌
Callon
Petroleum
Co
6.13%,
10/01/2024
643‌
198‌
6.38%,
07/01/2026
430‌
133‌
8.25%,
07/15/2025
125‌
37‌
Calumet
Specialty
Products
Partners
LP
/
Calumet
Finance
Corp
7.63%,
01/15/2022
280‌
283‌
7.75%,
04/15/2023
(
i
)
365‌
333‌
11.00%,
04/15/2025
(h),(
i
)
440‌
426‌
Cenovus
Energy
Inc
3.00%,
08/15/2022
420‌
424‌
3.80%,
09/15/2023
1,600‌
1,604‌
4.25%,
04/15/2027
1,245‌
1,184‌
5.25%,
06/15/2037
800‌
734‌
5.38%,
07/15/2025
8,235‌
8,236‌
5.40%,
06/15/2047
855‌
770‌
6.75%,
11/15/2039
1,350‌
1,409‌
CNX
Resources
Corp
5.88%,
04/15/2022
408‌
404‌
7.25%,
03/14/2027
(h)
250‌
245‌
Comstock
Resources
Inc
7.50%,
05/15/2025
(h)
625‌
587‌
9.75%,
08/15/2026
460‌
460‌
9.75%,
08/15/2026
685‌
685‌
Continental
Resources
Inc
/OK
3.80%,
06/01/2024
1,300‌
1,258‌
4.38%,
01/15/2028
(
i
)
825‌
770‌
4.50%,
04/15/2023
1,000‌
1,000‌
4.90%,
06/01/2044
575‌
495‌
5.00%,
09/15/2022
1,081‌
1,081‌
CrownRock
LP
/
CrownRock
Finance
Inc
5.63%,
10/15/2025
(h)
859‌
842‌
CVR
Energy
Inc
5.25%,
02/15/2025
(h)
485‌
443‌
5.75%,
02/15/2028
(h)
300‌
269‌
Endeavor
Energy
Resources
LP
/
EER
Finance
Inc
5.50%,
01/30/2026
(h)
757‌
761‌
5.75%,
01/30/2028
(h)
7,110‌
7,297‌
6.63%,
07/15/2025
(h)
485‌
510‌
Energy
Ventures
Gom
LLC
/
EnVen
Finance
Corp
11.00%,
02/15/2023
(h)
2,180‌
1,831‌
Ensign
Drilling
Inc
9.25%,
04/15/2024
(h)
900‌
360‌
EQT
Corp
3.00%,
10/01/2022
1,500‌
1,488‌
3.90%,
10/01/2027
1,116‌
1,052‌
6.13%,
02/01/2025
1,000‌
1,096‌
7.00%,
02/01/2030
725‌
839‌
Global
Marine
Inc
7.00%,
06/01/2028
65‌
27‌
Gran
Tierra
Energy
Inc
7.75%,
05/23/2027
(h)
295‌
139‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
Great
Western
Petroleum
LLC
/
Great
Western
Finance
Corp
9.00%,
09/30/2021
(h)
$
150‌
$
85‌
Gulfport
Energy
Corp
6.00%,
10/15/2024
655‌
343‌
6.38%,
05/15/2025
540‌
259‌
6.38%,
01/15/2026
440‌
220‌
HighPoint
Operating
Corp
7.00%,
10/15/2022
895‌
224‌
Hilcorp
Energy
I
LP
/
Hilcorp
Finance
Co
5.75%,
10/01/2025
(h)
6,100‌
5,784‌
6.25%,
11/01/2028
(h)
485‌
446‌
Indigo
Natural
Resources
LLC
6.88%,
02/15/2026
(h)
325‌
313‌
Ithaca
Energy
North
Sea
PLC
9.38%,
07/15/2024
(h)
325‌
283‌
Jagged
Peak
Energy
LLC
5.88%,
05/01/2026
9,625‌
9,817‌
Laredo
Petroleum
Inc
9.50%,
01/15/2025
350‌
253‌
10.13%,
01/15/2028
300‌
213‌
Magnolia
Oil
&
Gas
Operating
LLC
/
Magnolia
Oil
&
Gas
Finance
Corp
6.00%,
08/01/2026
(h)
285‌
275‌
Matador
Resources
Co
5.88%,
09/15/2026
1,400‌
1,064‌
MEG
Energy
Corp
6.50%,
01/15/2025
(h)
2,387‌
2,345‌
7.00%,
03/31/2024
(h)
648‌
617‌
7.13%,
02/01/2027
(h)
10,005‌
8,904‌
Montage
Resources
Corp
8.88%,
07/15/2023
375‌
307‌
Moss
Creek
Resources
Holdings
Inc
7.50%,
01/15/2026
(h)
809‌
471‌
10.50%,
05/15/2027
(h),(
i
)
600‌
360‌
Murphy
Oil
Corp
4.95%,
12/01/2022
11‌
11‌
5.75%,
08/15/2025
31‌
29‌
6.37%,
12/01/2042
245‌
195‌
Nabors
Industries
Inc
4.63%,
09/15/2021
26‌
21‌
5.75%,
02/01/2025
725‌
286‌
Neptune
Energy
Bondco
PLC
6.63%,
05/15/2025
(h)
800‌
700‌
Oasis
Petroleum
Inc
6.25%,
05/01/2026
(h)
205‌
36‌
6.88%,
03/15/2022
1,304‌
242‌
Occidental
Petroleum
Corp
2.60%,
08/13/2021
1,703‌
1,682‌
2.60%,
04/15/2022
1,000‌
967‌
2.70%,
08/15/2022
7,889‌
7,621‌
2.70%,
02/15/2023
2,585‌
2,475‌
2.90%,
08/15/2024
6,685‌
6,292‌
3.00%,
02/15/2027
8,220‌
7,254‌
3.13%,
02/15/2022
1,410‌
1,388‌
3.20%,
08/15/2026
3,425‌
3,118‌
3.40%,
04/15/2026
7,315‌
6,620‌
3.50%,
06/15/2025
1,465‌
1,384‌
3.50%,
08/15/2029
4,725‌
4,200‌
4.20%,
03/15/2048
1,410‌
1,146‌
4.30%,
08/15/2039
1,000‌
810‌
4.40%,
04/15/2046
1,925‌
1,568‌
4.40%,
08/15/2049
95‌
77‌
4.50%,
07/15/2044
1,090‌
894‌
5.55%,
03/15/2026
200‌
201‌
6.45%,
09/15/2036
3,425‌
3,446‌
6.95%,
07/01/2024
1,245‌
1,304‌
7.50%,
05/01/2031
1,505‌
1,592‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
85
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
Occidental
Petroleum
Corp  
(continued)
7.88%,
09/15/2031
$
1,045‌
$
1,112‌
7.95%,
06/15/2039
740‌
743‌
8.88%,
07/15/2030
1,920‌
2,160‌
Par
Petroleum
LLC
/
Par
Petroleum
Finance
Corp
7.75%,
12/15/2025
(h)
195‌
168‌
Parkland
Corp/Canada
5.88%,
07/15/2027
(h)
405‌
429‌
6.00%,
04/01/2026
(h)
245‌
260‌
Parsley
Energy
LLC
/
Parsley
Finance
Corp
4.13%,
02/15/2028
(h)
570‌
561‌
5.25%,
08/15/2025
(h)
630‌
639‌
5.38%,
01/15/2025
(h)
473‌
487‌
5.63%,
10/15/2027
(h)
565‌
592‌
Patterson-UTI
Energy
Inc
3.95%,
02/01/2028
440‌
345‌
5.15%,
11/15/2029
1,255‌
981‌
PBF
Holding
Co
LLC
/
PBF
Finance
Corp
6.00%,
02/15/2028
(h)
1,000‌
802‌
7.25%,
06/15/2025
595‌
538‌
9.25%,
05/15/2025
(h)
725‌
810‌
PDC
Energy
Inc
5.75%,
05/15/2026
6,250‌
6,264‌
6.13%,
09/15/2024
595‌
602‌
Precision
Drilling
Corp
5.25%,
11/15/2024
213‌
150‌
7.13%,
01/15/2026
(h),(
i
)
250‌
172‌
Puma
International
Financing
SA
5.00%,
01/24/2026
(h)
730‌
644‌
5.13%,
10/06/2024
(h)
400‌
356‌
QEP
Resources
Inc
5.25%,
05/01/2023
232‌
162‌
5.38%,
10/01/2022
450‌
360‌
5.63%,
03/01/2026
375‌
218‌
Range
Resources
Corp
4.88%,
05/15/2025
550‌
461‌
5.00%,
08/15/2022
500‌
480‌
5.00%,
03/15/2023
(
i
)
620‌
575‌
Seven
Generations
Energy
Ltd
5.38%,
09/30/2025
(h)
1,630‌
1,516‌
6.75%,
05/01/2023
(h)
125‌
127‌
SM
Energy
Co
6.63%,
01/15/2027
375‌
185‌
6.75%,
09/15/2026
375‌
187‌
10.00%,
01/15/2025
(h)
962‌
950‌
Southwestern
Energy
Co
6.45%,
01/23/2025
685‌
633‌
7.50%,
04/01/2026
235‌
220‌
7.75%,
10/01/2027
(
i
)
90‌
85‌
Suncor
Energy
Ventures
Corp
4.50%,
04/01/2022
(h)
700‌
711‌
Sunoco
LP
/
Sunoco
Finance
Corp
4.88%,
01/15/2023
500‌
508‌
5.50%,
02/15/2026
3,200‌
3,279‌
5.88%,
03/15/2028
8,316‌
8,690‌
6.00%,
04/15/2027
3,450‌
3,640‌
Teine
Energy
Ltd
6.88%,
09/30/2022
(h)
255‌
252‌
Transocean
Guardian
Ltd
5.88%,
01/15/2024
(h)
792‌
697‌
Transocean
Inc
6.80%,
03/15/2038
1,252‌
321‌
7.25%,
11/01/2025
(h)
7,215‌
3,536‌
7.50%,
01/15/2026
(h)
550‌
270‌
7.50%,
04/15/2031
690‌
185‌
8.00%,
02/01/2027
(h)
550‌
268‌
9.35%,
12/15/2041
200‌
56‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
Transocean
Pontus
Ltd
6.13%,
08/01/2025
(h),(
i
)
$
752‌
$
693‌
Transocean
Sentry
Ltd
5.38%,
05/15/2023
(h)
205‌
180‌
Vantage
Drilling
International
9.25%,
11/15/2023
(h)
400‌
258‌
Vermilion
Energy
Inc
5.63%,
03/15/2025
(h)
179‌
150‌
Vine
Oil
&
Gas
LP
/
Vine
Oil
&
Gas
Finance
Corp
8.75%,
04/15/2023
(h)
425‌
239‌
Viper
Energy
Partners
LP
5.38%,
11/01/2027
(h)
405‌
421‌
W&T
Offshore
Inc
9.75%,
11/01/2023
(h)
445‌
297‌
WPX
Energy
Inc
5.25%,
09/15/2024
207‌
213‌
5.75%,
06/01/2026
3,869‌
3,922‌
$
193,309‌
Oil
&
Gas
Services
-
0.18%
Archrock
Partners
LP
/
Archrock
Partners
Finance
Corp
6.25%,
04/01/2028
(h)
110‌
111‌
6.88%,
04/01/2027
(h)
435‌
445‌
CGG
Holding
US
Inc
9.00%,
05/01/2023
(h)
124‌
125‌
ChampionX
Corp
6.38%,
05/01/2026
500‌
469‌
Exterran
Energy
Solutions
LP
/
EES
Finance
Corp
8.13%,
05/01/2025
301‌
255‌
FTS
International
Inc
6.25%,
05/01/2022
325‌
92‌
Oceaneering
International
Inc
4.65%,
11/15/2024
113‌
76‌
6.00%,
02/01/2028
225‌
142‌
SESI
LLC
7.13%,
12/15/2021
(h)
55‌
22‌
Telford
Offshore
Ltd
12.00%,
PIK
12.00%,
12/31/2049
(k),(l),(n)
320‌
74‌
Transocean
Phoenix
2
Ltd
7.75%,
10/15/2024
(h),(
i
)
390‌
371‌
Transocean
Proteus
Ltd
6.25%,
12/01/2024
(h)
534‌
499‌
USA
Compression
Partners
LP
/
USA
Compression
Finance
Corp
6.88%,
04/01/2026
800‌
820‌
6.88%,
09/01/2027
270‌
276‌
Weatherford
International
Ltd
11.00%,
12/01/2024
(h),(
i
)
1,695‌
1,229‌
Welltec
A/S
9.50%,
12/01/2022
(h)
335‌
301‌
$
5,307‌
Packaging
&
Containers
-
2.83%
ARD
Finance
SA
6.50%,
PIK
7.25%,
06/30/2027
(h),(k),(l)
1,150‌
1,176‌
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA
Inc
4.13%,
08/15/2026
(h)
980‌
1,017‌
5.25%,
04/30/2025
(h)
780‌
827‌
5.25%,
08/15/2027
(h)
450‌
471‌
5.25%,
08/15/2027
(h)
810‌
848‌
6.00%,
02/15/2025
(h)
636‌
665‌
Ball
Corp
4.00%,
11/15/2023
830‌
884‌
4.88%,
03/15/2026
1,140‌
1,296‌
5.00%,
03/15/2022
983‌
1,030‌
5.25%,
07/01/2025
246‌
280‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
86
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Packaging
&
Containers
(continued)
Berry
Global
Inc
4.50%,
02/15/2026
(h)
$
8,840‌
$
9,065‌
4.88%,
07/15/2026
(h)
6,250‌
6,601‌
5.63%,
07/15/2027
(h)
3,500‌
3,745‌
6.00%,
10/15/2022
160‌
161‌
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
IV
4.50%,
01/15/2023
1,030‌
1,087‌
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
V
4.25%,
09/30/2026
650‌
689‌
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
VI
4.75%,
02/01/2026
625‌
652‌
Flex
Acquisition
Co
Inc
6.88%,
01/15/2025
(h)
818‌
830‌
7.88%,
07/15/2026
(h)
560‌
580‌
GPC
Merger
Sub
Inc
7.13%,
08/15/2028
(g),(h)
410‌
426‌
Graphic
Packaging
International
LLC
4.88%,
11/15/2022
363‌
377‌
LABL
Escrow
Issuer
LLC
6.75%,
07/15/2026
(h)
695‌
751‌
10.50%,
07/15/2027
(h)
715‌
781‌
Matthews
International
Corp
5.25%,
12/01/2025
(h)
255‌
234‌
Mauser
Packaging
Solutions
Holding
Co
5.50%,
04/15/2024
(h)
1,179‌
1,202‌
7.25%,
04/15/2025
(h)
1,280‌
1,229‌
Owens-Brockway
Glass
Container
Inc
5.38%,
01/15/2025
(h)
205‌
211‌
5.88%,
08/15/2023
(h)
608‌
642‌
6.38%,
08/15/2025
(h)
83‌
89‌
Pactiv
LLC
7.95%,
12/15/2025
400‌
432‌
8.38%,
04/15/2027
(
i
)
330‌
361‌
Plastipak
Holdings
Inc
6.25%,
10/15/2025
(h)
7,037‌
7,028‌
Reynolds
Group
Issuer
Inc
/
Reynolds
Group
Issuer
LLC
/
Reynolds
Group
Issuer
(Luxembourg)
S.A.
5.13%,
07/15/2023
(h)
3,255‌
3,305‌
7.00%,
07/15/2024
(h)
646‌
658‌
Sealed
Air
Corp
5.13%,
12/01/2024
(h)
80‌
88‌
5.25%,
04/01/2023
(h)
385‌
409‌
5.50%,
09/15/2025
(h)
808‌
893‌
6.88%,
07/15/2033
(h)
355‌
431‌
Silgan
Holdings
Inc
4.13%,
02/01/2028
3,590‌
3,679‌
Trident
TPI
Holdings
Inc
6.63%,
11/01/2025
(h)
9,030‌
8,872‌
9.25%,
08/01/2024
(h)
3,150‌
3,343‌
TriMas
Corp
4.88%,
10/15/2025
(h)
200‌
205‌
Trivium
Packaging
Finance
BV
5.50%,
08/15/2026
(h)
13,681‌
14,575‌
8.50%,
08/15/2027
(h)
680‌
745‌
$
82,870‌
Pharmaceuticals
-
1.14%
AdaptHealth
LLC
6.13%,
08/01/2028
(h)
285‌
297‌
Bausch
Health
Americas
Inc
8.50%,
01/31/2027
(h)
2,280‌
2,536‌
9.25%,
04/01/2026
(h)
1,720‌
1,935‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pharmaceuticals
(continued)
Bausch
Health
Cos
Inc
5.00%,
01/30/2028
(h)
$
4,553‌
$
4,576‌
5.25%,
01/30/2030
(h)
4,857‌
4,960‌
5.50%,
03/01/2023
(h)
212‌
212‌
5.50%,
11/01/2025
(h)
1,910‌
1,982‌
5.88%,
05/15/2023
(h)
88‌
88‌
6.13%,
04/15/2025
(h)
2,440‌
2,519‌
6.25%,
02/15/2029
(h)
1,225‌
1,301‌
7.00%,
03/15/2024
(h)
1,352‌
1,413‌
7.00%,
01/15/2028
(h)
4,100‌
4,459‌
7.25%,
05/30/2029
(h)
930‌
1,023‌
9.00%,
12/15/2025
(h)
1,470‌
1,624‌
Elanco
Animal
Health
Inc
4.90%,
08/28/2028
150‌
174‌
5.02%,
08/28/2023
400‌
441‌
Herbalife
Nutrition
Ltd
/
HLF
Financing
Inc
7.88%,
09/01/2025
(h)
1,000‌
1,088‌
HLF
Financing
Sarl
LLC
/
Herbalife
International
Inc
7.25%,
08/15/2026
(h)
318‌
334‌
Horizon
Therapeutics
USA
Inc
5.50%,
08/01/2027
(h)
875‌
951‌
Mallinckrodt
International
Finance
SA
/
Mallinckrodt
CB
LLC
5.50%,
04/15/2025
(h)
965‌
169‌
5.63%,
10/15/2023
(h)
389‌
62‌
5.75%,
08/01/2022
(h)
43‌
7‌
Par
Pharmaceutical
Inc
7.50%,
04/01/2027
(h)
1,125‌
1,197‌
$
33,348‌
Pipelines
-
2.94%
AI
Candelaria
Spain
SLU
7.50%,
12/15/2028
(h)
565‌
602‌
American
Midstream
Partners
LP
/
American
Midstream
Finance
Corp
9.50%,
12/15/2021
(h)
345‌
321‌
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp
5.38%,
09/15/2024
7,241‌
6,568‌
5.75%,
03/01/2027
(h)
525‌
459‌
5.75%,
01/15/2028
(h)
1,275‌
1,087‌
Blue
Racer
Midstream
LLC
/
Blue
Racer
Finance
Corp
6.13%,
11/15/2022
(h)
320‌
318‌
6.63%,
07/15/2026
(h)
200‌
176‌
Buckeye
Partners
LP
4.13%,
03/01/2025
(h)
1,875‌
1,884‌
4.13%,
12/01/2027
395‌
385‌
4.15%,
07/01/2023
495‌
497‌
4.35%,
10/15/2024
295‌
296‌
4.50%,
03/01/2028
(h)
3,725‌
3,706‌
5.60%,
10/15/2044
1,257‌
1,125‌
5.85%,
11/15/2043
395‌
363‌
6.37%,
01/22/2078
(m)
390‌
269‌
3
Month
USD
LIBOR
+
4.02%
Cheniere
Energy
Partners
LP
4.50%,
10/01/2029
3,509‌
3,712‌
5.25%,
10/01/2025
1,321‌
1,354‌
5.63%,
10/01/2026
875‌
924‌
CNX
Midstream
Partners
LP
/
CNX
Midstream
Finance
Corp
6.50%,
03/15/2026
(h)
970‌
947‌
Crestwood
Midstream
Partners
LP
/
Crestwood
Midstream
Finance
Corp
5.63%,
05/01/2027
(h)
368‌
344‌
5.75%,
04/01/2025
424‌
404‌
6.25%,
04/01/2023
565‌
547‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
87
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
(continued)
DCP
Midstream
Operating
LP
3.88%,
03/15/2023
$
458‌
$
459‌
4.75%,
09/30/2021
(h)
381‌
388‌
4.95%,
04/01/2022
298‌
304‌
5.13%,
05/15/2029
740‌
745‌
5.38%,
07/15/2025
475‌
500‌
6.45%,
11/03/2036
(h)
170‌
163‌
6.75%,
09/15/2037
(h)
315‌
306‌
8.13%,
08/16/2030
220‌
257‌
Delek
Logistics
Partners
LP
/
Delek
Logistics
Finance
Corp
6.75%,
05/15/2025
665‌
604‌
EnLink
Midstream
LLC
5.38%,
06/01/2029
110‌
88‌
EnLink
Midstream
Partners
LP
4.15%,
06/01/2025
550‌
441‌
4.40%,
04/01/2024
450‌
387‌
4.85%,
07/15/2026
480‌
372‌
5.05%,
04/01/2045
250‌
135‌
EQM
Midstream
Partners
LP
4.00%,
08/01/2024
460‌
461‌
4.13%,
12/01/2026
828‌
805‌
4.75%,
07/15/2023
510‌
518‌
5.50%,
07/15/2028
923‌
957‌
6.50%,
07/01/2027
(h)
2,225‌
2,453‌
6.50%,
07/15/2048
960‌
956‌
Genesis
Energy
LP
/
Genesis
Energy
Finance
Corp
5.63%,
06/15/2024
669‌
618‌
6.00%,
05/15/2023
355‌
334‌
6.25%,
05/15/2026
360‌
338‌
6.50%,
10/01/2025
361‌
334‌
7.75%,
02/01/2028
890‌
858‌
Global
Partners
LP
/
GLP
Finance
Corp
7.00%,
06/15/2023
90‌
89‌
Hess
Midstream
Operations
LP
5.13%,
06/15/2028
(h)
445‌
451‌
5.63%,
02/15/2026
(h)
641‌
665‌
Holly
Energy
Partners
LP
/
Holly
Energy
Finance
Corp
5.00%,
02/01/2028
(h)
4,715‌
4,659‌
NGL
Energy
Partners
LP
/
NGL
Energy
Finance
Corp
6.13%,
03/01/2025
1,076‌
737‌
7.50%,
11/01/2023
1,064‌
841‌
7.50%,
04/15/2026
85‌
59‌
NuStar
Logistics
LP
4.75%,
02/01/2022
150‌
149‌
5.63%,
04/28/2027
7,390‌
7,214‌
6.00%,
06/01/2026
405‌
415‌
Rattler
Midstream
LP
5.63%,
07/15/2025
(h)
405‌
427‌
Rockies
Express
Pipeline
LLC
3.60%,
05/15/2025
(h)
400‌
388‌
4.80%,
05/15/2030
(h)
2,825‌
2,673‌
4.95%,
07/15/2029
(h)
849‌
829‌
6.88%,
04/15/2040
(h)
500‌
503‌
7.50%,
07/15/2038
(h)
250‌
255‌
Tallgrass
Energy
Partners
LP
/
Tallgrass
Energy
Finance
Corp
4.75%,
10/01/2023
(h)
30‌
29‌
5.50%,
09/15/2024
(h)
440‌
422‌
5.50%,
01/15/2028
(h)
872‌
776‌
Targa
Resources
Partners
LP
/
Targa
Resources
Partners
Finance
Corp
4.25%,
11/15/2023
1,525‌
1,536‌
5.00%,
01/15/2028
1,065‌
1,086‌
5.13%,
02/01/2025
2,410‌
2,446‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
(continued)
Targa
Resources
Partners
LP
/
Targa
Resources
Partners
Finance
Corp  
(continued)
5.25%,
05/01/2023
$
405‌
$
408‌
5.38%,
02/01/2027
94‌
97‌
5.50%,
03/01/2030
(h)
4,765‌
5,027‌
5.88%,
04/15/2026
725‌
771‌
6.50%,
07/15/2027
615‌
658‌
6.75%,
03/15/2024
2,695‌
2,759‌
6.88%,
01/15/2029
550‌
620‌
Western
Midstream
Operating
LP
3.10%,
02/01/2025
1,350‌
1,340‌
3.95%,
06/01/2025
730‌
726‌
4.00%,
07/01/2022
1,045‌
1,078‌
4.05%,
02/01/2030
1,615‌
1,635‌
4.50%,
03/01/2028
758‌
760‌
4.65%,
07/01/2026
735‌
752‌
4.75%,
08/15/2028
720‌
725‌
5.25%,
02/01/2050
1,225‌
1,210‌
5.45%,
04/01/2044
885‌
808‌
$
86,092‌
Real
Estate
-
0.26%
Cushman
&
Wakefield
US
Borrower
LLC
6.75%,
05/15/2028
(h)
525‌
562‌
Five
Point
Operating
Co
LP
/
Five
Point
Capital
Corp
7.88%,
11/15/2025
(h)
1,236‌
1,194‌
Greystar
Real
Estate
Partners
LLC
5.75%,
12/01/2025
(h)
361‌
364‌
Howard
Hughes
Corp/The
5.38%,
03/15/2025
(h)
1,250‌
1,262‌
Hunt
Cos
Inc
6.25%,
02/15/2026
(h)
1,170‌
1,094‌
Kennedy-Wilson
Inc
5.88%,
04/01/2024
1,525‌
1,531‌
Newmark
Group
Inc
6.13%,
11/15/2023
310‌
318‌
Realogy
Group
LLC
/
Realogy
Co-Issuer
Corp
4.88%,
06/01/2023
(h)
845‌
836‌
WeWork
Cos
Inc
7.88%,
05/01/2025
(h)
640‌
429‌
$
7,590‌
REITs
-
2.30%
Brookfield
Property
REIT
Inc
/
BPR
Cumulus
LLC
/
BPR
Nimbus
LLC
/
GGSI
Sellco
LL
5.75%,
05/15/2026
(h)
806‌
677‌
CoreCivic
Inc
4.63%,
05/01/2023
3,263‌
3,174‌
5.00%,
10/15/2022
6,475‌
6,316‌
Diversified
Healthcare
Trust
4.75%,
05/01/2024
170‌
156‌
4.75%,
02/15/2028
340‌
296‌
6.75%,
12/15/2021
199‌
201‌
ESH
Hospitality
Inc
4.63%,
10/01/2027
(h)
3,325‌
3,200‌
5.25%,
05/01/2025
(h)
7,454‌
7,615‌
FelCor
Lodging
LP
6.00%,
06/01/2025
100‌
99‌
GEO
Group
Inc
/The
5.13%,
04/01/2023
640‌
546‌
5.88%,
01/15/2022
700‌
665‌
5.88%,
10/15/2024
1,000‌
792‌
6.00%,
04/15/2026
300‌
231‌
Iron
Mountain
Inc
4.88%,
09/15/2027
(h)
1,546‌
1,606‌
4.88%,
09/15/2029
(h)
600‌
625‌
5.25%,
03/15/2028
(h)
2,050‌
2,152‌
Iron
Mountain
US
Holdings
Inc
5.38%,
06/01/2026
(h)
720‌
745‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
88
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
REITs
(continued)
iStar
Inc
4.75%,
10/01/2024
$
1,000‌
$
987‌
5.25%,
09/15/2022
500‌
500‌
Ladder
Capital
Finance
Holdings
LLLP
/
Ladder
Capital
Finance
Corp
5.25%,
03/15/2022
(h)
503‌
493‌
5.25%,
10/01/2025
(h)
324‌
298‌
5.88%,
08/01/2021
(h)
353‌
351‌
Mack-Cali
Realty
LP
3.15%,
05/15/2023
320‌
287‌
MGM
Growth
Properties
Operating
Partnership
LP
/
MGP
Finance
Co-Issuer
Inc
4.50%,
09/01/2026
900‌
936‌
4.63%,
06/15/2025
(h)
645‌
678‌
5.63%,
05/01/2024
1,215‌
1,318‌
5.75%,
02/01/2027
605‌
655‌
MPT
Operating
Partnership
LP
/
MPT
Finance
Corp
4.63%,
08/01/2029
835‌
882‌
5.00%,
10/15/2027
1,130‌
1,212‌
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer
7.50%,
06/01/2025
(h)
525‌
559‌
RHP
Hotel
Properties
LP
/
RHP
Finance
Corp
4.75%,
10/15/2027
5,265‌
4,911‌
SBA
Communications
Corp
4.00%,
10/01/2022
1,350‌
1,368‌
Service
Properties
Trust
3.95%,
01/15/2028
715‌
593‌
4.35%,
10/01/2024
1,025‌
918‌
4.38%,
02/15/2030
720‌
588‌
4.50%,
06/15/2023
750‌
712‌
4.50%,
03/15/2025
645‌
582‌
4.65%,
03/15/2024
640‌
586‌
4.75%,
10/01/2026
740‌
651‌
4.95%,
02/15/2027
700‌
634‌
4.95%,
10/01/2029
740‌
633‌
5.00%,
08/15/2022
745‌
736‌
5.25%,
02/15/2026
650‌
585‌
Starwood
Property
Trust
Inc
4.75%,
03/15/2025
406‌
391‌
5.00%,
12/15/2021
715‌
723‌
Uniti
Group
LP
/
Uniti
Fiber
Holdings
Inc
/
CSL
Capital
LLC
7.13%,
12/15/2024
(h)
190‌
179‌
7.88%,
02/15/2025
(h)
1,499‌
1,578‌
Uniti
Group
LP
/
Uniti
Group
Finance
Inc
/
CSL
Capital
LLC
6.00%,
04/15/2023
(h)
1,422‌
1,429‌
8.25%,
10/15/2023
685‌
664‌
VICI
Properties
LP
/
VICI
Note
Co
Inc
3.50%,
02/15/2025
(h)
550‌
557‌
3.75%,
02/15/2027
(h)
2,975‌
2,997‌
4.13%,
08/15/2030
(h)
3,650‌
3,693‌
4.25%,
12/01/2026
(h)
1,750‌
1,803‌
4.63%,
12/01/2029
(h)
750‌
786‌
Washington
Prime
Group
LP
6.45%,
08/15/2024
(
i
)
1,970‌
768‌
$
67,317‌
Retail
-
2.99%
1011778
BC
ULC
/
New
Red
Finance
Inc
3.88%,
01/15/2028
(h)
605‌
629‌
4.25%,
05/15/2024
(h)
1,126‌
1,149‌
4.38%,
01/15/2028
(h)
2,705‌
2,813‌
5.00%,
10/15/2025
(h)
19,150‌
19,581‌
5.75%,
04/15/2025
(h)
375‌
401‌
Asbury
Automotive
Group
Inc
4.75%,
03/01/2030
(h)
78‌
80‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Retail
(continued)
Beacon
Roofing
Supply
Inc
4.88%,
11/01/2025
(h)
$
1,305‌
$
1,277‌
Bed
Bath
&
Beyond
Inc
4.92%,
08/01/2034
(
i
)
290‌
195‌
5.17%,
08/01/2044
1,124‌
716‌
Brinker
International
Inc
5.00%,
10/01/2024
(h)
235‌
222‌
Caleres
Inc
6.25%,
08/15/2023
3‌
3‌
Carvana
Co
8.88%,
10/01/2023
(h)
763‌
794‌
Conn's
Inc
7.25%,
07/15/2022
285‌
242‌
DriveTime
Automotive
Group
Inc
/
Bridgecrest
Acceptance
Corp
8.00%,
06/01/2021
(h)
12,510‌
12,143‌
eG
Global
Finance
PLC
6.75%,
02/07/2025
(h)
605‌
632‌
8.50%,
10/30/2025
(h)
515‌
563‌
Ferrellgas
LP
/
Ferrellgas
Finance
Corp
6.75%,
01/15/2022
(
i
)
450‌
388‌
6.75%,
06/15/2023
(
i
)
385‌
333‌
FirstCash
Inc
5.38%,
06/01/2024
(h)
114‌
117‌
GameStop
Corp
10.00%,
03/15/2023
(h)
175‌
156‌
Gap
Inc
/The
8.38%,
05/15/2023
(h),(
i
)
405‌
446‌
8.63%,
05/15/2025
(h),(
i
)
605‌
667‌
8.88%,
05/15/2027
(h),(
i
)
810‌
905‌
Golden
Nugget
Inc
6.75%,
10/15/2024
(h)
681‌
472‌
8.75%,
10/01/2025
(h)
530‌
278‌
Guitar
Center
Inc
9.50%,
10/15/2021
(h)
535‌
376‌
IRB
Holding
Corp
6.75%,
02/15/2026
(h)
160‌
161‌
7.00%,
06/15/2025
(h)
5,980‌
6,517‌
KFC
Holding
Co/Pizza
Hut
Holdings
LLC/Taco
Bell
of
America
LLC
4.75%,
06/01/2027
(h)
717‌
766‌
5.25%,
06/01/2026
(h)
800‌
840‌
L
Brands
Inc
5.25%,
02/01/2028
90‌
84‌
5.63%,
02/15/2022
538‌
550‌
5.63%,
10/15/2023
706‌
716‌
6.75%,
07/01/2036
450‌
434‌
6.88%,
11/01/2035
744‌
712‌
6.95%,
03/01/2033
(
i
)
320‌
275‌
7.50%,
06/15/2029
358‌
368‌
7.60%,
07/15/2037
(
i
)
200‌
170‌
Macy's
Retail
Holdings
LLC
2.88%,
02/15/2023
1,333‌
1,112‌
3.63%,
06/01/2024
(
i
)
420‌
328‌
3.88%,
01/15/2022
380‌
357‌
4.30%,
02/15/2043
265‌
162‌
4.38%,
09/01/2023
175‌
141‌
4.50%,
12/15/2034
385‌
229‌
5.13%,
01/15/2042
265‌
166‌
Marks
&
Spencer
PLC
7.13%,
12/01/2037
(h)
200‌
200‌
Michaels
Stores
Inc
8.00%,
07/15/2027
(h),(
i
)
400‌
378‌
Murphy
Oil
USA
Inc
4.75%,
09/15/2029
500‌
529‌
5.63%,
05/01/2027
695‌
737‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
89
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Retail
(continued)
Penske
Automotive
Group
Inc
5.50%,
05/15/2026
$
786‌
$
821‌
5.75%,
10/01/2022
67‌
68‌
PetSmart
Inc
5.88%,
06/01/2025
(h)
859‌
880‌
7.13%,
03/15/2023
(h)
1,535‌
1,550‌
8.88%,
06/01/2025
(h)
650‌
673‌
PriSo
Acquisition
Corp
9.00%,
05/15/2023
(h)
136‌
128‌
QVC
Inc
4.38%,
03/15/2023
1,015‌
1,058‌
4.45%,
02/15/2025
920‌
947‌
4.75%,
02/15/2027
900‌
923‌
4.85%,
04/01/2024
910‌
957‌
5.13%,
07/02/2022
820‌
853‌
5.45%,
08/15/2034
850‌
803‌
5.95%,
03/15/2043
810‌
763‌
Rite
Aid
Corp
7.50%,
07/01/2025
(h)
165‌
168‌
8.00%,
11/15/2026
(h)
685‌
705‌
Sally
Holdings
LLC
/
Sally
Capital
Inc
5.63%,
12/01/2025
755‌
775‌
Sonic
Automotive
Inc
6.13%,
03/15/2027
801‌
829‌
SRS
Distribution
Inc
8.25%,
07/01/2026
(h),(
i
)
5,410‌
5,626‌
Staples
Inc
7.50%,
04/15/2026
(h)
1,615‌
1,417‌
10.75%,
04/15/2027
(h)
830‌
527‌
Suburban
Propane
Partners
LP/Suburban
Energy
Finance
Corp
5.50%,
06/01/2024
1,073‌
1,093‌
5.88%,
03/01/2027
750‌
763‌
Yum!
Brands
Inc
3.75%,
11/01/2021
295‌
300‌
3.88%,
11/01/2023
275‌
285‌
4.75%,
01/15/2030
(h)
800‌
868‌
5.35%,
11/01/2043
208‌
216‌
6.88%,
11/15/2037
300‌
348‌
7.75%,
04/01/2025
(h)
1,275‌
1,431‌
$
87,285‌
Semiconductors
-
0.14%
Advanced
Micro
Devices
Inc
7.50%,
08/15/2022
250‌
279‌
Amkor
Technology
Inc
6.63%,
09/15/2027
(h)
500‌
550‌
ams
AG
7.00%,
07/31/2025
(h)
365‌
375‌
Entegris
Inc
4.63%,
02/10/2026
(h)
431‌
448‌
Qorvo
Inc
4.38%,
10/15/2029
(h)
860‌
926‌
5.50%,
07/15/2026
475‌
510‌
Sensata
Technologies
UK
Financing
Co
PLC
6.25%,
02/15/2026
(h)
868‌
914‌
$
4,002‌
Software
-
3.36%
ACI
Worldwide
Inc
5.75%,
08/15/2026
(h)
3,200‌
3,336‌
Ascend
Learning
LLC
6.88%,
08/01/2025
(h)
3,343‌
3,443‌
6.88%,
08/01/2025
(h)
4,750‌
4,869‌
Blackboard
Inc
10.38%,
11/15/2024
(h)
195‌
192‌
Boxer
Parent
Co
Inc
7.13%,
10/02/2025
(h)
485‌
532‌
BY
Crown
Parent
LLC
/
BY
Bond
Finance
Inc
4.25%,
01/31/2026
(h)
605‌
627‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
(continued)
Camelot
Finance
SA
4.50%,
11/01/2026
(h)
$
3,905‌
$
4,042‌
Castle
US
Holding
Corp
9.50%,
02/15/2028
(h)
100‌
92‌
CDK
Global
Inc
4.88%,
06/01/2027
984‌
1,052‌
5.00%,
10/15/2024
266‌
300‌
5.25%,
05/15/2029
(h)
1,775‌
1,944‌
Change
Healthcare
Holdings
LLC
/
Change
Healthcare
Finance
Inc
5.75%,
03/01/2025
(h)
20,122‌
20,575‌
Dun
&
Bradstreet
Corp/The
6.88%,
08/15/2026
(h)
565‌
617‌
10.25%,
02/15/2027
(h)
360‌
409‌
Fair
Isaac
Corp
5.25%,
05/15/2026
(h)
75‌
84‌
Genesys
Telecommunications
Laboratories
Inc
/
Greeneden
Lux
3
Sarl
10.00%,
11/30/2024
(h)
19,879‌
21,220‌
Granite
Merger
Sub
2
Inc
11.00%,
07/15/2027
(h)
90‌
94‌
j2
Cloud
Services
LLC
/
j2
Cloud
Co-Obligor
Inc
6.00%,
07/15/2025
(h)
744‌
776‌
MSCI
Inc
3.63%,
09/01/2030
(h)
300‌
317‌
3.88%,
02/15/2031
(h)
810‌
880‌
4.00%,
11/15/2029
(h)
825‌
887‌
4.75%,
08/01/2026
(h)
565‌
593‌
5.38%,
05/15/2027
(h)
650‌
709‌
Nuance
Communications
Inc
5.63%,
12/15/2026
430‌
458‌
Open
Text
Corp
5.88%,
06/01/2026
(h)
1,584‌
1,683‌
PTC
Inc
4.00%,
02/15/2028
(h)
381‌
400‌
Rackspace
Hosting
Inc
8.63%,
11/15/2024
(h),(
i
)
705‌
737‌
Riverbed
Technology
Inc
8.88%,
03/01/2023
(h)
300‌
184‌
Solera
LLC
/
Solera
Finance
Inc
10.50%,
03/01/2024
(h)
1,260‌
1,333‌
Sophia
LP
/
Sophia
Finance
Inc
9.00%,
09/30/2023
(h)
5,100‌
5,138‌
SS&C
Technologies
Inc
5.50%,
09/30/2027
(h)
18,345‌
19,698‌
Veritas
US
Inc
/
Veritas
Bermuda
Ltd
7.50%,
02/01/2023
(h)
350‌
350‌
10.50%,
02/01/2024
(h)
714‌
653‌
$
98,224‌
Storage
&
Warehousing
-
0.01%
LBC
Tank
Terminals
Holding
Netherlands
BV
6.88%,
05/15/2023
(h)
325‌
326‌
Telecommunications
-
6.39%
Altice
France
Holding
SA
6.00%,
02/15/2028
(h)
1,450‌
1,448‌
10.50%,
05/15/2027
(h)
1,000‌
1,144‌
Altice
France
SA/France
5.50%,
01/15/2028
(h)
1,100‌
1,156‌
7.38%,
05/01/2026
(h)
10,831‌
11,553‌
8.13%,
02/01/2027
(h)
1,415‌
1,580‌
C&W
Senior
Financing
DAC
6.88%,
09/15/2027
(h)
797‌
851‌
7.50%,
10/15/2026
(h)
405‌
431‌
CenturyLink
Inc
4.00%,
02/15/2027
(h)
850‌
888‌
5.13%,
12/15/2026
(h)
950‌
995‌
5.63%,
04/01/2025
345‌
368‌
5.80%,
03/15/2022
1,005‌
1,053‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
90
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Telecommunications
(continued)
CenturyLink
Inc  
(continued)
6.75%,
12/01/2023
$
455‌
$
505‌
6.88%,
01/15/2028
202‌
220‌
7.50%,
04/01/2024
770‌
870‌
7.60%,
09/15/2039
395‌
453‌
7.65%,
03/15/2042
380‌
433‌
Cincinnati
Bell
Inc
7.00%,
07/15/2024
(h)
419‌
434‌
8.00%,
10/15/2025
(h)
140‌
148‌
CommScope
Inc
5.50%,
03/01/2024
(h)
1,660‌
1,724‌
6.00%,
03/01/2026
(h)
10,420‌
11,117‌
7.13%,
07/01/2028
(h)
425‌
450‌
8.25%,
03/01/2027
(h)
3,720‌
4,012‌
CommScope
Technologies
LLC
5.00%,
03/15/2027
(h)
5,390‌
5,206‌
6.00%,
06/15/2025
(h)
11,318‌
11,564‌
Connect
Finco
SARL
/
Connect
US
Finco
LLC
6.75%,
10/01/2026
(h)
4,435‌
4,547‌
Consolidated
Communications
Inc
6.50%,
10/01/2022
(
i
)
1,275‌
1,245‌
DKT
Finance
ApS
9.38%,
06/17/2023
(h)
125‌
126‌
Embarq
Corp
8.00%,
06/01/2036
1,067‌
1,251‌
Gogo
Intermediate
Holdings
LLC
/
Gogo
Finance
Co
Inc
9.88%,
05/01/2024
(h)
325‌
300‌
GTT
Communications
Inc
7.88%,
12/31/2024
(h)
17,840‌
10,080‌
Hughes
Satellite
Systems
Corp
5.25%,
08/01/2026
1,039‌
1,141‌
6.63%,
08/01/2026
1,115‌
1,240‌
Intrado
Corp
8.50%,
10/15/2025
(h)
1,405‌
1,187‌
Koninklijke
KPN
NV
7.00%,
03/28/2073
(h),(
i
),(m)
405‌
443‌
USD
Swap
Semi-Annual
10
Year
+
5.21%
Level
3
Financing
Inc
4.25%,
07/01/2028
(h)
975‌
1,016‌
4.63%,
09/15/2027
(h)
825‌
867‌
5.13%,
05/01/2023
3,585‌
3,600‌
5.25%,
03/15/2026
480‌
501‌
5.38%,
01/15/2024
4,235‌
4,308‌
5.38%,
05/01/2025
383‌
395‌
Metropolitan
Light
Co
Ltd
5.50%,
11/21/2022
(h)
500‌
507‌
Nokia
Oyj
3.38%,
06/12/2022
405‌
418‌
4.38%,
06/12/2027
495‌
528‌
6.63%,
05/15/2039
416‌
530‌
ORBCOMM
Inc
8.00%,
04/01/2024
(h)
1,113‌
1,069‌
Plantronics
Inc
5.50%,
05/31/2023
(h)
432‌
408‌
Qwest
Corp
6.75%,
12/01/2021
730‌
779‌
Sprint
Capital
Corp
6.88%,
11/15/2028
2,262‌
2,933‌
8.75%,
03/15/2032
1,588‌
2,450‌
Sprint
Communications
Inc
6.00%,
11/15/2022
2,215‌
2,395‌
11.50%,
11/15/2021
459‌
515‌
Sprint
Corp
7.13%,
06/15/2024
7,608‌
8,875‌
7.25%,
09/15/2021
1,038‌
1,096‌
7.63%,
02/15/2025
1,927‌
2,340‌
7.63%,
03/01/2026
1,945‌
2,431‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Telecommunications
(continued)
Sprint
Corp  
(continued)
7.88%,
09/15/2023
$
2,540‌
$
2,946‌
Telecom
Italia
Capital
SA
6.00%,
09/30/2034
809‌
981‌
6.38%,
11/15/2033
805‌
982‌
7.20%,
07/18/2036
807‌
1,060‌
7.72%,
06/04/2038
550‌
764‌
Telecom
Italia
SpA
/Milano
5.30%,
05/30/2024
(h)
1,210‌
1,352‌
Telefonaktiebolaget
LM
Ericsson
4.13%,
05/15/2022
1,100‌
1,164‌
Telesat
Canada
/
Telesat
LLC
6.50%,
10/15/2027
(h)
445‌
457‌
T-Mobile
USA
Inc
4.50%,
02/01/2026
1,685‌
1,736‌
4.75%,
02/01/2028
1,320‌
1,430‌
5.13%,
04/15/2025
130‌
133‌
5.38%,
04/15/2027
731‌
798‌
6.00%,
04/15/2024
607‌
621‌
6.50%,
01/15/2026
2,152‌
2,269‌
Trilogy
International
Partners
LLC
/
Trilogy
International
Finance
Inc
8.88%,
05/01/2022
(h)
100‌
91‌
United
States
Cellular
Corp
6.70%,
12/15/2033
300‌
376‌
VEON
Holdings
BV
4.00%,
04/09/2025
(h)
810‌
845‌
ViaSat
Inc
5.63%,
09/15/2025
(h)
20,076‌
20,227‌
5.63%,
04/15/2027
(h)
4,575‌
4,848‌
6.50%,
07/15/2028
(h)
835‌
858‌
Vodafone
Group
PLC
7.00%,
04/04/2079
(m)
2,050‌
2,466‌
USD
Swap
Semi-Annual
5
Year
+
4.87%
Zayo
Group
Holdings
Inc
4.00%,
03/01/2027
(h)
15,375‌
15,409‌
6.13%,
03/01/2028
(h)
6,550‌
6,763‌
$
186,700‌
Toys,
Games
&
Hobbies
-
0.12%
Mattel
Inc
3.15%,
03/15/2023
1,000‌
977‌
5.45%,
11/01/2041
810‌
725‌
5.88%,
12/15/2027
(h)
650‌
705‌
6.20%,
10/01/2040
150‌
139‌
6.75%,
12/31/2025
(h)
953‌
1,021‌
$
3,567‌
Transportation
-
0.17%
Altera
Infrastructure
LP/
Teekay
Offshore
Finance
Corp
8.50%,
07/15/2023
(h)
775‌
682‌
Cargo
Aircraft
Management
Inc
4.75%,
02/01/2028
(h)
405‌
414‌
Kenan
Advantage
Group
Inc
/The
7.88%,
07/31/2023
(h),(
i
)
662‌
602‌
Navios
Maritime
Acquisition
Corp
/
Navios
Acquisition
Finance
US
Inc
8.13%,
11/15/2021
(h)
350‌
212‌
Teekay
Corp
9.25%,
11/15/2022
(h)
250‌
245‌
XPO
CNW
Inc
6.70%,
05/01/2034
237‌
245‌
XPO
Logistics
Inc
6.13%,
09/01/2023
(h)
420‌
428‌
6.25%,
05/01/2025
(h)
1,000‌
1,081‌
6.75%,
08/15/2024
(h)
970‌
1,043‌
$
4,952‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
91
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Trucking
&
Leasing
-
0.07%
AerCap
Global
Aviation
Trust
6.50%,
06/15/2045
(h),(m)
$
400‌
$
318‌
3
Month
USD
LIBOR
+
4.30%
Fortress
Transportation
and
Infrastructure
Investors
LLC
6.50%,
10/01/2025
(h)
360‌
339‌
6.75%,
03/15/2022
(h)
1,150‌
1,167‌
9.75%,
08/01/2027
(h)
325‌
336‌
$
2,160‌
TOTAL
BONDS
$
2,476,144‌
SENIOR
FLOATING
RATE
INTERESTS
-
10.98%
Principal
Amount
(000's)
Value
(000's)
Automobile
Parts
&
Equipment
-
1.09%
Clarios
Global
LP
3.66%,
04/30/2026
(o)
$
2,970‌
$
2,895‌
3
Month
USD
LIBOR
+
3.50%
Dexko
Global
Inc
9.25%,
07/24/2025
(o)
13,518‌
12,065‌
3
Month
USD
LIBOR
+
8.25%
Truck
Hero
Inc
9.25%,
05/16/2025
(o)
18,532‌
16,910‌
3
Month
USD
LIBOR
+
8.25%
$
31,870‌
Commercial
Services
-
0.91%
KUEHG
Corp
4.75%,
02/21/2025
(o)
2,085‌
1,805‌
3
Month
USD
LIBOR
+
3.75%
9.25%,
08/22/2025
(o)
12,738‌
10,318‌
3
Month
USD
LIBOR
+
8.25%
Learning
Care
Group
US
No
2
Inc
4.25%,
03/06/2025
(o)
2,085‌
1,832‌
3
Month
USD
LIBOR
+
3.25%
8.50%,
03/13/2026
(o)
6,500‌
5,200‌
3
Month
USD
LIBOR
+
7.50%
PAREXEL
International
Corp
2.92%,
08/09/2024
(o)
4,816‌
4,621‌
3
Month
USD
LIBOR
+
2.75%
Refinitiv
US
Holdings
Inc
3.42%,
10/01/2025
(o)
2,970‌
2,945‌
1
Month
USD
LIBOR
+
3.25%
$
26,721‌
Computers
-
0.15%
Flexential
Intermediate
Corp
7.59%,
07/24/2025
(o)
9,715‌
4,293‌
3
Month
USD
LIBOR
+
7.25%
TierPoint
LLC
4.75%,
05/05/2024
(o)
11‌
11‌
3
Month
USD
LIBOR
+
3.75%
$
4,304‌
Cosmetics
&
Personal
Care
-
0.40%
Wellness
Merger
Sub
Inc
9.75%,
06/27/2025
(o)
13,700‌
11,645‌
3
Month
USD
LIBOR
+
8.75%
Distribution
&
Wholesale
-
0.11%
American
Tire
Distributors
Inc
7.20%,
09/01/2023
(o)
2,297‌
2,151‌
3
Month
USD
LIBOR
+
6.00%
8.50%,
08/30/2024
(o)
1,508‌
1,182‌
3
Month
USD
LIBOR
+
7.50%
$
3,333‌
Electronics
-
0.41%
Deliver
Buyer
Inc
6.00%,
05/01/2024
(o)
12,638‌
12,090‌
3
Month
USD
LIBOR
+
5.00%
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Entertainment
-
0.72%
18
Fremont
Street
Acquisition
LLC
9.50%,
08/09/2025
(o)
$
13,420‌
$
11,783‌
1
Month
USD
LIBOR
+
8.00%
Playtika
Holding
Corp
7.71%,
12/03/2024
(o)
9,154‌
9,222‌
1
Month
USD
LIBOR
+
6.00%
$
21,005‌
Environmental
Control
-
0.18%
Packers
Holdings
LLC
4.00%,
12/04/2024
(o)
5,417‌
5,312‌
3
Month
USD
LIBOR
+
3.25%
Healthcare
-
Services
-
1.00%
ATI
Holdings
Acquisition
Inc
4.57%,
05/10/2023
(o)
2,184‌
2,012‌
3
Month
USD
LIBOR
+
3.50%
Aveanna
Healthcare
LLC
9.00%,
03/16/2025
(o)
6,940‌
6,038‌
3
Month
USD
LIBOR
+
8.00%
Dental
Corp
of
Canada
Inc
8.50%,
06/01/2026
(o)
17,346‌
14,744‌
3
Month
USD
LIBOR
+
7.50%
Dentalcorp
Health
Services
ULC
4.75%,
06/01/2025
(o)
3,960‌
3,551‌
3
Month
USD
LIBOR
+
3.75%
Sound
Inpatient
Physicians
Holdings
LLC
6.93%,
06/26/2026
(o)
2,875‌
2,753‌
3
Month
USD
LIBOR
+
6.75%
$
29,098‌
Insurance
-
1.50%
Asurion
LLC
6.67%,
08/04/2025
(o)
18,445‌
18,578‌
3
Month
USD
LIBOR
+
6.50%
6.67%,
08/04/2025
(o)
25,129‌
25,309‌
3
Month
USD
LIBOR
+
6.50%
Internet
-
0.54%
MH
Sub
I
LLC
8.57%,
09/15/2025
(o)
16,119‌
15,656‌
3
Month
USD
LIBOR
+
7.50%
Investment
Companies
-
0.24%
Masergy
Holdings
Inc
8.56%,
12/16/2024
(o)
5,393‌
5,015‌
3
Month
USD
LIBOR
+
7.50%
Zest
Acquisition
Corp
8.66%,
03/06/2026
(o)
2,580‌
2,038‌
3
Month
USD
LIBOR
+
7.50%
$
7,053‌
Lodging
-
0.18%
Caesers
Resort
4.72%,
06/19/2025
(o)
5,525‌
5,316‌
1
Month
USD
LIBOR
+
4.50%
Machinery
-
Diversified
-
0.62%
Engineered
Machinery
Holdings
Inc
8.25%,
07/25/2025
(o)
16,681‌
15,514‌
3
Month
USD
LIBOR
+
7.25%
Granite
US
Holdings
Corp
6.39%,
09/30/2026
(o)
2,967‌
2,603‌
1
Month
USD
LIBOR
+
5.25%
$
18,117‌
Miscellaneous
Manufacturers
-
0.18%
UTEX
Industries
Inc
5.16%,
05/22/2021
(o)
10,615‌
2,772‌
3
Month
USD
LIBOR
+
4.00%
7.43%,
05/22/2022
(o)
20,650‌
2,349‌
1
Month
USD
LIBOR
+
7.25%
$
5,121‌
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
92
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pharmaceuticals
-
0.56%
Change
Healthcare
Holdings
LLC
3.50%,
03/01/2024
(o)
$
1,868‌
$
1,824‌
1
Month
USD
LIBOR
+
2.50%
Lanai
Holdings
III
Inc
1.00%,
PIK
10.50%,
08/14/2023
(l),(o)
5,423‌
3,525‌
3
Month
USD
LIBOR
+
8.50%
Packaging
Coordinators
Midco
Inc
9.83%,
06/29/2024
(o)
11,090‌
10,979‌
3
Month
USD
LIBOR
+
8.75%
$
16,328‌
REITs
-
0.10%
CoreCivic
Inc
5.50%,
12/12/2024
(o)
3,096‌
3,034‌
1
Month
USD
LIBOR
+
4.50%
Software
-
2.09%
Applied
Systems
Inc
8.00%,
09/19/2025
(o)
4,450‌
4,479‌
3
Month
USD
LIBOR
+
7.00%
Ascend
Learning
LLC
4.00%,
07/12/2024
(o)
8,035‌
7,854‌
3
Month
USD
LIBOR
+
3.00%
Evergreen
Skills
Lux
Sarl
0.00%,
04/28/2021
(d),(o)
10,798‌
6,873‌
3
Month
USD
LIBOR
+
4.75%
Greeneden
US
Holdings
II
LLC
3.42%,
12/01/2023
(o)
5,366‌
5,277‌
3
Month
USD
LIBOR
+
3.25%
Informatica
LLC
7.13%,
02/14/2025
(o)
6,972‌
7,030‌
Sophia
LP
4.25%,
09/30/2022
(o)
3,802‌
3,772‌
3
Month
USD
LIBOR
+
3.25%
Ultimate
Software
7.50%,
05/03/2027
(o)
3,175‌
3,228‌
3
Month
USD
LIBOR
+
6.75%
Vertafore
Inc
3.43%,
07/02/2025
(o)
5,446‌
5,170‌
3
Month
USD
LIBOR
+
3.25%
7.43%,
06/04/2026
(o)
17,665‌
17,362‌
3
Month
USD
LIBOR
+
7.25%
$
61,045‌
TOTAL
SENIOR
FLOATING
RATE
INTERESTS
$
320,935‌
Total
Investments
$
2,911,651‌
Other
Assets
and
Liabilities
-  0.42%
12,407‌
TOTAL
NET
ASSETS
-
100.00%
$
2,924,058‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$28,821
or
0.99%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(f)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$19,344
or
0.66%
of
net
assets.
(g)
Security
purchased
on
a
when-issued
basis.
(h)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$1,667,512
or
57.03%
of
net
assets.
(
i
)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(j)
Restricted
Security.
Please
see
Restricted
Security
sub-schedule
for
additional
information.
(k)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(l)
Payment
in
kind;
the
issuer
has
the
option
of
paying
additional
securities
in
lieu
of
cash.
(m)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(n)
Perpetual
security.
Perpetual
securities
pay
an
indefinite
stream
of
interest,
but
they
may
be
called
by
the
issuer
at
an
earlier
date.
Date
shown,
if
any,
reflects
the
next
call
date
or
final
legal
maturity
date.
Rate
shown
is
as
of
period
end.
(o)
Rate
information
disclosed
is
based
on
an
average
weighted
rate
of
the
underlying
tranches
as
of
period
end.
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Cyclical
16.97‌%
Consumer,
Non-cyclical
16.72‌%
Communications
15.77‌%
Financial
13.09‌%
Industrial
10.36‌%
Energy
10.09‌%
Technology
6.37‌%
Basic
Materials
5.38‌%
Money
Market
Funds
3.86‌%
Utilities
0.92‌%
Diversified
0.05‌%
Other
Assets
and
Liabilities
0.42‌%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
150,593‌
$
1,396,408‌
$
1,436,921‌
$
110,080‌
$
150,593‌
$
1,396,408‌
$
1,436,921‌
$
110,080‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
735‌
$
—‌
$
—‌
$
—‌
$
735‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
Schedule
of
Investments
High
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
93
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Restricted
Securities
Security
Name
Acquisition
Date
Cost
Value
Percent
of
Net
Assets
General
Motors
Co  
0.00%,
12/01/2020
04/11/2013
$
—‌
$
—‌
0.00%
General
Motors
Co  
0.00%,
07/15/2033
04/11/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
03/06/2032
04/11/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
12/01/2020
04/11/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
09/01/2025
01/31/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
03/15/2036
01/31/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
05/01/2028
01/31/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
07/15/2033
01/31/2013
—‌
—‌
0.00%
General
Motors
Co  
0.00%,
07/15/2023
01/31/2013
—‌
—‌
0.00%
Real
Alloy
Holding
Inc
0.00%,
11/30/2023
05/31/2018-06/30/2020
4,697‌
4,697‌
0.16%
Specialty
Steel  
10.68%,
11/15/2022
11/15/2017
8,680‌
8,680‌
0.30%
SportsNet
New
York  
10.25%,
01/15/2025
12/27/2017
4,068‌
4,306‌
0.15%
Total
$
17,683‌
0.61%
Amounts
in
thousands.
Foreign
Currency
Contracts
Unrealized
Appreciation/(Depreciation)
Counterparty
Settlement
Date
Currency
to
Accept
Currency
to
Deliver
Asset
Liability
Bank
of
New
York
Mellon
08/31/2020
$
5,946‌
EUR
5,381‌
$
—‌
$
(395‌)
Total
$
—‌
$
(395‌)
Amounts
in
thousands.
Exchange
Cleared
Credit
Default
Swaps
Sell
Protection
Reference
Entity
Implied
Credit
Spread
as
of
July
31,
2020
(a)
(Pay)/
Receive
Fixed
Rate
Payment
Frequency
Maturity
Date
Notional
Amount
(b)
Upfront
Payments/
(Receipts)
Unrealized
Appreciation/
(Depreciation)
Fair
Value
(c)
CDX.NA.HY.34
N/A
5.00%
Quarterly
06/20/2025
$
1,880‌
$
(37‌)
$
86‌
$
49‌
Total
$
(37‌)
$
86‌
$
49‌
Amounts
in
thousands.
(a)
Implied
credit
spreads,
represented
in
absolute
terms,
used
in
determining
the
market
value
of
credit
default
swap
agreements
on
corporate
issues
or
sovereign
issues
as
of
period
end
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
likelihood
or
risk
of
default
for
the
credit
derivative.
The
implied
credit
spread
of
a
particular
referenced
entity
reflects
the
cost
of
buying/selling
protection
and
may
include
upfront
payments
required
to
be
made
to
enter
into
the
agreement.
Wider
credit
spreads
represent
a
deterioration
of
the
referenced
entity's
credit
soundness
and
a
greater
likelihood
or
risk
of
default
or
other
credit
event
occurring
as
defined
under
the
terms
of
the
agreement.
(b)
The
maximum
potential
payment
amount
that
the
seller
of
credit
protection
could
be
required
to
make
if
a
credit
event
occurs
as
defined
under
the
terms
of
that
particular
swap
agreement
is
$1,880.
(c)
The
market
price
and
resulting
market
value
for
credit
default
swap
agreements
on
an
issuer
serve
as
an
indicator
of
the
current
status
of
the
payment/performance
risk
and
represent
the
likelihood
of
an
expected
liability
(or
profit)
for
the
credit
default
swap
as
of
the
period
end.
Increasing
market
values,
in
absolute
terms,
when
compared
to
the
notional
amount
of
the
swap,
represent
a
deterioration
of
the
referenced
entity's
credit
soundness
and
a
greater
likelihood
or
risk
of
default
or
other
credit
event
occurring
as
defined
under
the
terms
of
the
agreement.
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
94
INVESTMENT
COMPANIES
-
6.48%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.81%
iShares
iBoxx
High
Yield
Corporate
Bond
ETF
300,000‌
$
25,617‌
Money
Market
Funds
-
5.67%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
967,539‌
967‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
178,145,832‌
178,146‌
$
179,113‌
TOTAL
INVESTMENT
COMPANIES
$
204,730‌
COMMON
STOCKS
-
0.03%
Shares
Held
Value
(000's)
Energy
-
Alternate
Sources
-
0.00%
Ogden
Corp
(d),(e),(f)
5,000,000‌
$
—‌
Retail
-
0.03%
Claire's
Holdings
LLC
(d)
4,036‌
1,060‌
TOTAL
COMMON
STOCKS
$
1,060‌
BONDS
-
87.73%
Principal
Amount
(000's)
Value
(000's)
Aerospace
&
Defense
-
1.84%
Air
2
US
8.63%,
10/01/2020
(g)
$
17‌
$
17‌
Signature
Aviation
US
Holdings
Inc
4.00%,
03/01/2028
(g)
8,250‌
7,796‌
5.38%,
05/01/2026
(g)
5,200‌
5,397‌
SSL
Robotics
LLC
9.75%,
12/31/2023
(g)
6,695‌
7,434‌
TransDigm
Inc
5.50%,
11/15/2027
9,945‌
9,435‌
6.25%,
03/15/2026
(g)
12,880‌
13,588‌
7.50%,
03/15/2027
3,875‌
3,924‌
8.00%,
12/15/2025
(g)
1,065‌
1,156‌
Triumph
Group
Inc
6.25%,
09/15/2024
(g)
175‌
154‌
7.75%,
08/15/2025
(h)
14,190‌
9,193‌
$
58,094‌
Airlines
-
0.46%
American
Airlines
2015-1
Class
B
Pass
Through
Trust
3.70%,
11/01/2024
1,558‌
1,090‌
Delta
Air
Lines
Inc
7.00%,
05/01/2025
(g)
4,540‌
4,848‌
Mileage
Plus
Holdings
LLC
/
Mileage
Plus
Intellectual
Property
Assets
Ltd
6.50%,
06/20/2027
(g)
4,910‌
5,082‌
United
Airlines
2016-1
Class
B
Pass
Through
Trust
3.65%,
07/07/2027
4,838‌
3,600‌
$
14,620‌
Automobile
Manufacturers
-
3.06%
Ford
Motor
Co
8.50%,
04/21/2023
13,895‌
15,423‌
9.00%,
04/22/2025
13,685‌
16,123‌
9.63%,
04/22/2030
(h)
2,225‌
2,931‌
Ford
Motor
Credit
Co
LLC
4.14%,
02/15/2023
14,373‌
14,625‌
4.39%,
01/08/2026
5,025‌
5,162‌
4.54%,
08/01/2026
9,495‌
9,780‌
5.13%,
06/16/2025
5,430‌
5,789‌
Navistar
International
Corp
6.63%,
11/01/2025
(g)
21,843‌
22,389‌
9.50%,
05/01/2025
(g)
3,875‌
4,422‌
$
96,644‌
Automobile
Parts
&
Equipment
-
0.87%
American
Axle
&
Manufacturing
Inc
6.25%,
04/01/2025
(h)
8,240‌
8,513‌
6.25%,
03/15/2026
3,480‌
3,507‌
6.88%,
07/01/2028
2,760‌
2,815‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Parts
&
Equipment
(continued)
Dana
Inc
5.38%,
11/15/2027
$
10,100‌
$
10,645‌
5.63%,
06/15/2028
1,970‌
2,069‌
$
27,549‌
Banks
-
3.34%
Barclays
PLC
4.84%,
05/09/2028
2,865‌
3,227‌
5.09%,
06/20/2030
(
i
)
6,395‌
7,518‌
3
Month
USD
LIBOR
+
3.05%
7.75%,
12/31/2049
(
i
),(j)
9,830‌
10,014‌
USD
Swap
Semi-Annual
5
Year
+
4.84%
CIT
Group
Inc
5.80%,
12/31/2049
(
i
),(j)
10,154‌
7,863‌
3
Month
USD
LIBOR
+
3.97%
Citigroup
Inc
4.70%,
12/31/2049
(
i
),(j)
10,165‌
9,771‌
United
States
Secured
Overnight
Financing
Rate
+
3.23%
Deutsche
Bank
AG
4.30%,
05/24/2028
(
i
)
7,350‌
7,183‌
USD
Swap
Semi-Annual
5
Year
+
2.25%
6.00%,
12/31/2049
(
i
),(j)
7,955‌
6,923‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.52%
Deutsche
Bank
AG/New
York
NY
3.96%,
11/26/2025
(
i
)
7,695‌
8,208‌
United
States
Secured
Overnight
Financing
Rate
+
2.58%
Intesa
Sanpaolo
SpA
5.02%,
06/26/2024
(g)
8,175‌
8,603‌
JPMorgan
Chase
&
Co
4.60%,
12/31/2049
(
i
),(j)
22,005‌
21,292‌
United
States
Secured
Overnight
Financing
Rate
+
3.13%
Lloyds
Banking
Group
PLC
7.50%,
12/31/2049
(
i
),(j)
4,450‌
4,728‌
USD
Swap
Semi-Annual
5
Year
+
4.50%
Popular
Inc
6.13%,
09/14/2023
9,720‌
10,303‌
$
105,633‌
Building
Materials
-
2.10%
BMC
East
LLC
5.50%,
10/01/2024
(g)
14,620‌
14,949‌
Boise
Cascade
Co
4.88%,
07/01/2030
(g)
5,035‌
5,337‌
Builders
FirstSource
Inc
5.00%,
03/01/2030
(g)
4,065‌
4,263‌
6.75%,
06/01/2027
(g)
6,205‌
6,826‌
Cemex
SAB
de
CV
7.38%,
06/05/2027
(g)
4,250‌
4,531‌
Griffon
Corp
5.75%,
03/01/2028
8,265‌
8,637‌
5.75%,
03/01/2028
(g)
3,810‌
3,981‌
Norbord
Inc
5.75%,
07/15/2027
(g)
8,250‌
8,786‌
Summit
Materials
LLC
/
Summit
Materials
Finance
Corp
5.25%,
01/15/2029
(g),(k)
8,710‌
9,037‌
$
66,347‌
Chemicals
-
2.34%
Aruba
Investments
Inc
8.75%,
02/15/2023
(g)
15,278‌
15,698‌
Avient
Corp
5.75%,
05/15/2025
(g)
11,475‌
12,456‌
CF
Industries
Inc
4.95%,
06/01/2043
5,555‌
6,500‌
5.15%,
03/15/2034
6,510‌
7,487‌
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
95
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Chemicals
(continued)
Consolidated
Energy
Finance
SA
6.50%,
05/15/2026
(g)
$
13,785‌
$
12,458‌
6.88%,
06/15/2025
(g)
12,285‌
11,640‌
Olin
Corp
9.50%,
06/01/2025
(g)
3,000‌
3,420‌
Valvoline
Inc
4.38%,
08/15/2025
(g)
4,315‌
4,461‌
$
74,120‌
Commercial
Services
-
3.01%
Ahern
Rentals
Inc
7.38%,
05/15/2023
(g)
17,324‌
7,709‌
Brink's
Co/The
4.63%,
10/15/2027
(g)
2,800‌
2,848‌
5.50%,
07/15/2025
(g)
6,240‌
6,630‌
Garda
World
Security
Corp
9.50%,
11/01/2027
(g)
8,886‌
9,686‌
Prime
Security
Services
Borrower
LLC
/
Prime
Finance
Inc
6.25%,
01/15/2028
(g)
11,145‌
11,619‌
Refinitiv
US
Holdings
Inc
6.25%,
05/15/2026
(g)
11,680‌
12,629‌
8.25%,
11/15/2026
(g)
4,745‌
5,237‌
Tms
International
Holding
Corp
7.25%,
08/15/2025
(g)
11,135‌
9,242‌
United
Rentals
North
America
Inc
3.88%,
02/15/2031
(f),(k)
12,050‌
12,050‌
4.63%,
10/15/2025
6,135‌
6,311‌
4.88%,
01/15/2028
2,815‌
3,023‌
5.25%,
01/15/2030
2,595‌
2,841‌
5.88%,
09/15/2026
2,720‌
2,904‌
6.50%,
12/15/2026
2,225‌
2,470‌
$
95,199‌
Computers
-
1.05%
Dell
International
LLC
/
EMC
Corp
4.90%,
10/01/2026
(g)
23,975‌
27,049‌
7.13%,
06/15/2024
(g)
5,880‌
6,108‌
$
33,157‌
Consumer
Products
-
0.61%
Prestige
Brands
Inc
5.13%,
01/15/2028
(g)
2,615‌
2,744‌
6.38%,
03/01/2024
(g)
9,095‌
9,413‌
Spectrum
Brands
Inc
5.00%,
10/01/2029
(g)
3,805‌
3,919‌
5.75%,
07/15/2025
3,095‌
3,188‌
$
19,264‌
Distribution
&
Wholesale
-
0.78%
American
Builders
&
Contractors
Supply
Co
Inc
4.00%,
01/15/2028
(g)
16,585‌
17,248‌
5.88%,
05/15/2026
(g)
6,930‌
7,329‌
$
24,577‌
Diversified
Financial
Services
-
2.42%
AerCap
Holdings
NV
5.88%,
10/10/2079
(
i
)
11,870‌
9,102‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
5
Year
+
4.54%
Avation
Capital
SA
6.50%,
05/15/2021
(g)
5,900‌
4,351‌
Credit
Acceptance
Corp
5.13%,
12/31/2024
(g)
7,605‌
7,742‌
6.63%,
03/15/2026
3,410‌
3,559‌
Global
Aircraft
Leasing
Co
Ltd
6.50%,
PIK
7.25%,
09/15/2024
(g),(l),(m)
6,730‌
4,190‌
Navient
Corp
6.13%,
03/25/2024
5,490‌
5,682‌
6.63%,
07/26/2021
4,245‌
4,351‌
6.75%,
06/15/2026
4,905‌
5,101‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Diversified
Financial
Services
(continued)
OneMain
Finance
Corp
5.38%,
11/15/2029
$
5,775‌
$
6,093‌
6.63%,
01/15/2028
2,730‌
3,129‌
6.88%,
03/15/2025
14,400‌
16,092‌
7.13%,
03/15/2026
3,140‌
3,681‌
8.88%,
06/01/2025
3,095‌
3,490‌
$
76,563‌
Electric
-
2.19%
Clearway
Energy
Operating
LLC
4.75%,
03/15/2028
(g)
8,920‌
9,533‌
Elwood
Energy
LLC
8.16%,
07/05/2026
4,617‌
4,986‌
Indiantown
Cogeneration
LP
9.77%,
12/15/2020
200‌
201‌
NextEra
Energy
Operating
Partners
LP
4.25%,
07/15/2024
(g)
7,190‌
7,657‌
NRG
Energy
Inc
5.25%,
06/15/2029
(g)
3,570‌
3,947‌
6.63%,
01/15/2027
3,460‌
3,685‌
7.25%,
05/15/2026
8,070‌
8,704‌
Pattern
Energy
Operations
LP
/
Pattern
Energy
Operations
Inc
4.50%,
08/15/2028
(g)
3,960‌
4,198‌
Vistra
Operations
Co
LLC
5.00%,
07/31/2027
(g)
5,765‌
6,154‌
5.50%,
09/01/2026
(g)
10,735‌
11,312‌
5.63%,
02/15/2027
(g)
8,335‌
8,943‌
$
69,320‌
Electrical
Components
&
Equipment
-
0.80%
Energizer
Holdings
Inc
4.75%,
06/15/2028
(g)
7,495‌
8,039‌
6.38%,
07/15/2026
(g)
8,557‌
9,113‌
WESCO
Distribution
Inc
7.13%,
06/15/2025
(g)
1,235‌
1,356‌
7.25%,
06/15/2028
(g)
6,165‌
6,735‌
$
25,243‌
Electronics
-
0.30%
Sensata
Technologies
BV
5.00%,
10/01/2025
(g)
6,405‌
6,917‌
Sensata
Technologies
Inc
4.38%,
02/15/2030
(g)
2,440‌
2,608‌
$
9,525‌
Engineering
&
Construction
-
0.50%
MasTec
Inc
4.50%,
08/15/2028
(g),(k)
15,010‌
15,685‌
Entertainment
-
4.65%
Boyne
USA
Inc
7.25%,
05/01/2025
(g)
12,390‌
13,242‌
Caesars
Resort
Collection
LLC
/
CRC
Finco
Inc
5.25%,
10/15/2025
(g)
15,665‌
14,124‌
CCM
Merger
Inc
6.00%,
03/15/2022
(g)
14,575‌
14,283‌
Colt
Merger
Sub
Inc
6.25%,
07/01/2025
(g)
7,915‌
8,256‌
8.13%,
07/01/2027
(g)
18,080‌
18,419‌
Enterprise
Development
Authority/The
12.00%,
07/15/2024
(g)
14,220‌
14,045‌
International
Game
Technology
PLC
5.25%,
01/15/2029
(g)
6,590‌
6,734‌
6.25%,
01/15/2027
(g)
2,030‌
2,162‌
6.50%,
02/15/2025
(g)
11,815‌
12,731‌
Lions
Gate
Capital
Holdings
LLC
5.88%,
11/01/2024
(g)
3,005‌
2,997‌
6.38%,
02/01/2024
(g)
6,795‌
6,859‌
Motion
Bondco
DAC
6.63%,
11/15/2027
(g)
855‌
730‌
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
96
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Entertainment
(continued)
Scientific
Games
International
Inc
5.00%,
10/15/2025
(g)
$
5,995‌
$
5,943‌
7.25%,
11/15/2029
(g)
3,770‌
3,450‌
8.63%,
07/01/2025
(g)
7,100‌
7,135‌
Wynn
Resorts
Finance
LLC
/
Wynn
Resorts
Capital
Corp
5.13%,
10/01/2029
(g)
13,670‌
13,089‌
7.75%,
04/15/2025
(g)
2,800‌
2,941‌
$
147,140‌
Food
-
4.00%
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC
4.63%,
01/15/2027
(g)
2,710‌
2,866‌
5.75%,
03/15/2025
2,710‌
2,805‌
5.88%,
02/15/2028
(g)
905‌
991‌
6.63%,
06/15/2024
1,500‌
1,561‌
7.50%,
03/15/2026
(g)
17,225‌
19,378‌
Ingles
Markets
Inc
5.75%,
06/15/2023
8,970‌
9,104‌
JBS
USA
LUX
SA
/
JBS
USA
Finance
Inc
5.75%,
06/15/2025
(g)
14,775‌
15,163‌
JBS
USA
LUX
SA
/
JBS
USA
Food
Co
/
JBS
USA
Finance
Inc
6.50%,
04/15/2029
(g)
15,915‌
18,024‌
Kraft
Heinz
Foods
Co
4.38%,
06/01/2046
25,245‌
26,544‌
Post
Holdings
Inc
4.63%,
04/15/2030
(g)
11,739‌
12,355‌
5.00%,
08/15/2026
(g)
16,840‌
17,648‌
$
126,439‌
Forest
Products
&
Paper
-
0.14%
Sappi
Papier
Holding
GmbH
7.50%,
06/15/2032
(g)
4,886‌
4,510‌
Healthcare
-
Products
-
0.24%
Avantor
Funding
Inc
4.63%,
07/15/2028
(g),(h)
7,045‌
7,443‌
Healthcare
-
Services
-
4.66%
AHP
Health
Partners
Inc
9.75%,
07/15/2026
(g)
7,155‌
7,602‌
Centene
Corp
3.38%,
02/15/2030
12,025‌
12,731‌
4.25%,
12/15/2027
3,395‌
3,607‌
4.63%,
12/15/2029
6,015‌
6,708‌
5.25%,
04/01/2025
(g)
20,745‌
21,631‌
5.38%,
06/01/2026
(g)
1,455‌
1,556‌
Charles
River
Laboratories
International
Inc
4.25%,
05/01/2028
(g)
2,660‌
2,813‌
CHS/Community
Health
Systems
Inc
6.25%,
03/31/2023
12,365‌
12,458‌
8.00%,
03/15/2026
(g)
5,515‌
5,649‌
DaVita
Inc
4.63%,
06/01/2030
(g)
10,580‌
11,268‌
HCA
Inc
3.50%,
09/01/2030
5,920‌
6,222‌
5.50%,
06/15/2047
6,070‌
8,168‌
5.88%,
02/01/2029
9,215‌
11,219‌
LifePoint
Health
Inc
6.75%,
04/15/2025
(g)
3,375‌
3,637‌
Tenet
Healthcare
Corp
4.63%,
07/15/2024
13,860‌
14,103‌
4.63%,
06/15/2028
(g)
4,185‌
4,401‌
5.13%,
11/01/2027
(g)
9,650‌
10,241‌
7.50%,
04/01/2025
(g)
2,930‌
3,241‌
$
147,255‌
Home
Builders
-
2.91%
Century
Communities
Inc
5.88%,
07/15/2025
6,775‌
6,972‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Home
Builders
(continued)
Forestar
Group
Inc
5.00%,
03/01/2028
(g)
$
8,370‌
$
8,370‌
8.00%,
04/15/2024
(g)
10,685‌
11,464‌
KB
Home
7.63%,
05/15/2023
6,670‌
7,337‌
Lennar
Corp
4.50%,
04/30/2024
4,537‌
4,911‌
4.75%,
11/15/2022
7,061‌
7,449‌
4.88%,
12/15/2023
6,661‌
7,179‌
LGI
Homes
Inc
6.88%,
07/15/2026
(g)
13,710‌
14,601‌
Picasso
Finance
Sub
Inc
6.13%,
06/15/2025
(g)
4,800‌
5,100‌
Taylor
Morrison
Communities
Inc
5.75%,
01/15/2028
(g)
5,305‌
5,956‌
Taylor
Morrison
Communities
Inc
/
Taylor
Morrison
Holdings
II
Inc
5.63%,
03/01/2024
(g)
8,500‌
9,053‌
Williams
Scotsman
International
Inc
6.88%,
08/15/2023
(g)
3,500‌
3,614‌
$
92,006‌
Insurance
-
1.86%
Acrisure
LLC
/
Acrisure
Finance
Inc
8.13%,
02/15/2024
(g)
8,020‌
8,521‌
AssuredPartners
Inc
7.00%,
08/15/2025
(g)
6,800‌
6,902‌
Voya
Financial
Inc
5.65%,
05/15/2053
(
i
)
41,717‌
43,345‌
3
Month
USD
LIBOR
+
3.58%
$
58,768‌
Internet
-
0.60%
Netflix
Inc
4.38%,
11/15/2026
14,505‌
16,106‌
5.38%,
11/15/2029
(g)
2,440‌
2,956‌
$
19,062‌
Investment
Companies
-
0.49%
Icahn
Enterprises
LP
/
Icahn
Enterprises
Finance
Corp
6.25%,
05/15/2026
8,515‌
8,998‌
6.38%,
12/15/2025
6,240‌
6,490‌
$
15,488‌
Iron
&
Steel
-
0.60%
Cleveland-Cliffs
Inc
6.38%,
10/15/2025
(g),(h)
9,710‌
7,865‌
6.75%,
03/15/2026
(g)
1,125‌
1,131‌
Commercial
Metals
Co
4.88%,
05/15/2023
9,523‌
9,951‌
$
18,947‌
Leisure
Products
&
Services
-
0.08%
Viking
Cruises
Ltd
13.00%,
05/15/2025
(g)
2,460‌
2,676‌
Lodging
-
0.63%
Boyd
Gaming
Corp
8.63%,
06/01/2025
(g)
6,445‌
7,105‌
Hilton
Domestic
Operating
Co
Inc
5.38%,
05/01/2025
(g)
3,940‌
4,119‌
5.75%,
05/01/2028
(g)
2,626‌
2,803‌
Marriott
Ownership
Resorts
Inc
6.13%,
09/15/2025
(g)
2,100‌
2,240‌
Wyndham
Destinations
Inc
6.63%,
07/31/2026
(g)
3,365‌
3,490‌
$
19,757‌
Machinery
-
Diversified
-
0.41%
Maxim
Crane
Works
Holdings
Capital
LLC
10.13%,
08/01/2024
(g)
13,355‌
13,071‌
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
97
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Media
-
7.93%
Altice
Financing
SA
5.00%,
01/15/2028
(g)
$
12,005‌
$
12,324‌
7.50%,
05/15/2026
(g)
14,435‌
15,521‌
AMC
Networks
Inc
4.75%,
08/01/2025
13,775‌
14,119‌
5.00%,
04/01/2024
2,750‌
2,795‌
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp
4.25%,
02/01/2031
(g)
1,850‌
1,930‌
4.50%,
08/15/2030
(g)
15,960‌
16,916‌
4.75%,
03/01/2030
(g)
17,645‌
18,781‌
5.38%,
06/01/2029
(g)
9,270‌
10,151‌
CSC
Holdings
LLC
4.63%,
12/01/2030
(g)
3,400‌
3,570‌
5.50%,
04/15/2027
(g)
3,195‌
3,427‌
6.50%,
02/01/2029
(g)
22,203‌
25,422‌
6.63%,
10/15/2025
(g)
4,225‌
4,415‌
7.50%,
04/01/2028
(g)
2,872‌
3,304‌
Diamond
Sports
Group
LLC
/
Diamond
Sports
Finance
Co
5.38%,
08/15/2026
(g)
8,570‌
6,599‌
DISH
DBS
Corp
5.88%,
07/15/2022
7,915‌
8,331‌
5.88%,
11/15/2024
5,000‌
5,213‌
7.38%,
07/01/2028
(g)
6,725‌
7,118‌
7.75%,
07/01/2026
1,785‌
2,013‌
LCPR
Senior
Secured
Financing
DAC
6.75%,
10/15/2027
(g)
9,580‌
10,351‌
Meredith
Corp
6.88%,
02/01/2026
16,710‌
14,516‌
Radiate
Holdco
LLC
/
Radiate
Finance
Inc
6.63%,
02/15/2025
(g)
3,925‌
4,024‌
6.88%,
02/15/2023
(g)
4,515‌
4,583‌
Sirius
XM
Radio
Inc
4.13%,
07/01/2030
(g)
7,500‌
7,915‌
UPC
Holding
BV
5.50%,
01/15/2028
(g)
21,570‌
21,894‌
Ziggo
Bond
Co
BV
5.13%,
02/28/2030
(g)
11,620‌
12,379‌
6.00%,
01/15/2027
(g)
5,225‌
5,538‌
Ziggo
BV
5.50%,
01/15/2027
(g)
7,245‌
7,643‌
$
250,792‌
Metal
Fabrication
&
Hardware
-
0.37%
Advanced
Drainage
Systems
Inc
5.00%,
09/30/2027
(g)
5,810‌
5,984‌
Park-Ohio
Industries
Inc
6.63%,
04/15/2027
6,640‌
5,827‌
$
11,811‌
Mining
-
3.26%
ACN
113
874
712
Pty
Ltd
0.00%,
02/15/2018
(d),(g)
10,465‌
18‌
Constellium
SE
5.63%,
06/15/2028
(g)
4,260‌
4,469‌
First
Quantum
Minerals
Ltd
7.25%,
04/01/2023
(g)
4,650‌
4,671‌
7.50%,
04/01/2025
(g)
7,470‌
7,545‌
Freeport-McMoRan
Inc
4.25%,
03/01/2030
11,955‌
12,490‌
4.63%,
08/01/2030
6,475‌
6,937‌
Hudbay
Minerals
Inc
7.63%,
01/15/2025
(g)
9,985‌
10,110‌
IAMGOLD
Corp
7.00%,
04/15/2025
(g)
11,195‌
11,643‌
Joseph
T
Ryerson
&
Son
Inc
8.50%,
08/01/2028
(g)
4,330‌
4,716‌
New
Gold
Inc
7.50%,
07/15/2027
(g)
15,565‌
16,927‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mining
(continued)
Novelis
Corp
4.75%,
01/30/2030
(g)
$
14,955‌
$
15,602‌
Taseko
Mines
Ltd
8.75%,
06/15/2022
(g)
9,405‌
8,018‌
$
103,146‌
Oil
&
Gas
-
7.07%
Ascent
Resources
Utica
Holdings
LLC
/
ARU
Finance
Corp
7.00%,
11/01/2026
(g)
7,220‌
4,621‌
10.00%,
04/01/2022
(g)
4,826‌
3,989‌
Cenovus
Energy
Inc
5.38%,
07/15/2025
6,685‌
6,686‌
Chesapeake
Oil
Op/Fin
Escrow
Shares
0.00%,
11/15/2019
(d),(e),(f)
11,835‌
—‌
Comstock
Resources
Inc
7.50%,
05/15/2025
(g)
5,775‌
5,429‌
9.75%,
08/15/2026
15,175‌
15,170‌
CrownRock
LP
/
CrownRock
Finance
Inc
5.63%,
10/15/2025
(g)
9,680‌
9,486‌
Endeavor
Energy
Resources
LP
/
EER
Finance
Inc
5.50%,
01/30/2026
(g)
7,665‌
7,703‌
6.63%,
07/15/2025
(g)
5,520‌
5,800‌
EP
Energy
LLC
/
Everest
Acquisition
Finance
Inc
0.00%,
05/15/2026
(d),(g)
14,700‌
3,932‌
Laredo
Petroleum
Inc
10.13%,
01/15/2028
8,165‌
5,797‌
MEG
Energy
Corp
6.50%,
01/15/2025
(g)
6,001‌
5,896‌
7.00%,
03/31/2024
(g)
5,790‌
5,515‌
7.13%,
02/01/2027
(g)
4,035‌
3,591‌
Mesquite
Energy
Corp
-
Escrow
0.00%,
02/15/2023
(d)
4,268‌
21‌
Nabors
Industries
Inc
5.75%,
02/01/2025
8,415‌
3,324‌
Nabors
Industries
Ltd
7.50%,
01/15/2028
(g)
3,570‌
2,268‌
Oasis
Petroleum
Inc
6.25%,
05/01/2026
(g)
14,740‌
2,616‌
6.88%,
01/15/2023
235‌
45‌
Occidental
Petroleum
Corp
2.60%,
08/13/2021
7,400‌
7,308‌
2.70%,
08/15/2022
12,410‌
11,989‌
2.70%,
02/15/2023
2,429‌
2,326‌
3.40%,
04/15/2026
4,475‌
4,050‌
4.40%,
04/15/2046
15,320‌
12,481‌
8.00%,
07/15/2025
(h)
12,055‌
13,170‌
Parkland
Corp/Canada
5.88%,
07/15/2027
(g)
10,780‌
11,427‌
Parsley
Energy
LLC
/
Parsley
Finance
Corp
5.63%,
10/15/2027
(g)
7,615‌
7,977‌
Shelf
Drilling
Holdings
Ltd
8.25%,
02/15/2025
(g)
7,970‌
3,029‌
SM
Energy
Co
5.00%,
01/15/2024
13,775‌
7,576‌
Southwestern
Energy
Co
7.75%,
10/01/2027
(h)
22,220‌
20,893‌
Sunoco
LP
/
Sunoco
Finance
Corp
4.88%,
01/15/2023
2,130‌
2,165‌
5.50%,
02/15/2026
5,575‌
5,714‌
Transocean
Inc
8.00%,
02/01/2027
(g)
4,525‌
2,207‌
Unit
Corp
0.00%,
05/15/2021
(d)
8,600‌
1,183‌
WPX
Energy
Inc
4.50%,
01/15/2030
7,555‌
7,033‌
5.25%,
09/15/2024
1,125‌
1,160‌
5.25%,
10/15/2027
3,140‌
3,097‌
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
98
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Oil
&
Gas
(continued)
WPX
Energy
Inc  
(continued)
5.75%,
06/01/2026
$
2,177‌
$
2,207‌
5.88%,
06/15/2028
4,490‌
4,599‌
$
223,480‌
Packaging
&
Containers
-
3.44%
ARD
Finance
SA
6.50%,
PIK
7.25%,
06/30/2027
(g),(l),(m)
7,255‌
7,418‌
Ardagh
Packaging
Finance
PLC
/
Ardagh
Holdings
USA
Inc
4.13%,
08/15/2026
(g)
5,015‌
5,205‌
5.25%,
08/15/2027
(g)
4,725‌
4,946‌
6.00%,
02/15/2025
(g)
9,265‌
9,682‌
Cascades
Inc
/Cascades
USA
Inc
5.38%,
01/15/2028
(g)
6,310‌
6,531‌
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
VI
4.75%,
02/01/2026
8,490‌
8,859‌
Crown
Cork
&
Seal
Co
Inc
7.38%,
12/15/2026
16,099‌
18,997‌
Flex
Acquisition
Co
Inc
6.88%,
01/15/2025
(g)
8,590‌
8,719‌
7.88%,
07/15/2026
(g)
5,705‌
5,914‌
Mauser
Packaging
Solutions
Holding
Co
7.25%,
04/15/2025
(g)
16,030‌
15,389‌
Reynolds
Group
Issuer
Inc
/
Reynolds
Group
Issuer
LLC
/
Reynolds
Group
Issuer
(Luxembourg)
S.A.
3.77%,
07/15/2021
(g)
6,620‌
6,620‌
3
Month
USD
LIBOR
+
3.50%
5.13%,
07/15/2023
(g)
8,460‌
8,589‌
7.00%,
07/15/2024
(g)
1,950‌
1,986‌
$
108,855‌
Pharmaceuticals
-
0.89%
Bausch
Health
Americas
Inc
8.50%,
01/31/2027
(g)
12,710‌
14,140‌
Bausch
Health
Cos
Inc
5.00%,
01/30/2028
(g)
5,065‌
5,090‌
Endo
Dac
/
Endo
Finance
LLC
/
Endo
Finco
Inc
6.00%,
06/30/2028
(g)
6,027‌
4,595‌
9.50%,
07/31/2027
(g)
814‌
876‌
Par
Pharmaceutical
Inc
7.50%,
04/01/2027
(g)
3,217‌
3,422‌
$
28,123‌
Pipelines
-
3.60%
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp
5.38%,
09/15/2024
5,790‌
5,252‌
5.75%,
03/01/2027
(g)
9,965‌
8,704‌
Buckeye
Partners
LP
3.95%,
12/01/2026
6,905‌
6,853‌
4.13%,
12/01/2027
6,220‌
6,065‌
5.85%,
11/15/2043
1,860‌
1,711‌
Crestwood
Midstream
Partners
LP
/
Crestwood
Midstream
Finance
Corp
5.63%,
05/01/2027
(g)
14,640‌
13,688‌
EQM
Midstream
Partners
LP
6.00%,
07/01/2025
(g)
3,500‌
3,712‌
6.50%,
07/01/2027
(g)
8,050‌
8,876‌
Global
Partners
LP
/
GLP
Finance
Corp
7.00%,
06/15/2023
9,225‌
9,089‌
Hess
Midstream
Operations
LP
5.63%,
02/15/2026
(g)
10,520‌
10,912‌
NuStar
Logistics
LP
5.63%,
04/28/2027
10,009‌
9,771‌
6.00%,
06/01/2026
2,835‌
2,906‌
Rattler
Midstream
LP
5.63%,
07/15/2025
(g)
4,495‌
4,741‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
(continued)
Targa
Resources
Partners
LP
/
Targa
Resources
Partners
Finance
Corp
5.88%,
04/15/2026
$
6,382‌
$
6,783‌
6.50%,
07/15/2027
9,712‌
10,392‌
6.88%,
01/15/2029
3,867‌
4,363‌
$
113,818‌
Real
Estate
-
0.21%
Cushman
&
Wakefield
US
Borrower
LLC
6.75%,
05/15/2028
(g)
6,295‌
6,736‌
REITs
-
0.75%
HAT
Holdings
I
LLC
/
HAT
Holdings
II
LLC
6.00%,
04/15/2025
(g)
4,095‌
4,407‌
Iron
Mountain
Inc
5.00%,
07/15/2028
(g)
6,360‌
6,583‌
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer
7.50%,
06/01/2025
(g)
6,180‌
6,579‌
VICI
Properties
LP
/
VICI
Note
Co
Inc
4.63%,
12/01/2029
(g)
5,765‌
6,040‌
$
23,609‌
Retail
-
3.16%
1011778
BC
ULC
/
New
Red
Finance
Inc
5.00%,
10/15/2025
(g)
8,195‌
8,379‌
5.75%,
04/15/2025
(g)
2,160‌
2,311‌
Abercrombie
&
Fitch
Management
Co
8.75%,
07/15/2025
(g)
7,430‌
7,411‌
Claire's
Stores
Escrow
-
GCB
0.00%,
03/15/2019
(d),(e),(f)
6,962‌
—‌
Golden
Nugget
Inc
6.75%,
10/15/2024
(g)
8,229‌
5,699‌
IRB
Holding
Corp
6.75%,
02/15/2026
(g)
10,450‌
10,502‌
7.00%,
06/15/2025
(g)
6,015‌
6,555‌
L
Brands
Inc
6.75%,
07/01/2036
8,725‌
8,421‌
6.88%,
07/01/2025
(g)
2,535‌
2,730‌
9.38%,
07/01/2025
(g)
4,345‌
4,845‌
Nordstrom
Inc
4.00%,
03/15/2027
6,340‌
5,416‌
8.75%,
05/15/2025
(g)
1,990‌
2,179‌
PetSmart
Inc
5.88%,
06/01/2025
(g)
7,095‌
7,272‌
7.13%,
03/15/2023
(g)
7,200‌
7,272‌
Yum!
Brands
Inc
4.75%,
01/15/2030
(g)
14,555‌
15,792‌
7.75%,
04/01/2025
(g)
4,650‌
5,220‌
$
100,004‌
Savings
&
Loans
-
0.00%
Washington
Mutual
Bank
/
Henderson
NV
0.00%,
06/15/2011
(d),(e),(f)
3,500‌
—‌
0.00%,
01/15/2013
(d)
3,000‌
—‌
0.00%,
01/15/2015
(d),(e),(f)
2,000‌
—‌
3
Month
USD
LIBOR
+
0.65%
$
—‌
Semiconductors
-
0.51%
Microchip
Technology
Inc
4.25%,
09/01/2025
(g)
3,805‌
4,000‌
Sensata
Technologies
UK
Financing
Co
PLC
6.25%,
02/15/2026
(g)
11,500‌
12,105‌
$
16,105‌
Software
-
0.77%
Epicor
Software
Corp
7.56%,
06/30/2023
(g)
5,658‌
5,657‌
3
Month
USD
LIBOR
+
7.25%
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
99
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
(continued)
Open
Text
Corp
3.88%,
02/15/2028
(g)
$
11,250‌
$
11,697‌
5.88%,
06/01/2026
(g)
6,635‌
7,048‌
$
24,402‌
Telecommunications
-
6.62%
Altice
France
Holding
SA
6.00%,
02/15/2028
(g)
9,470‌
9,459‌
10.50%,
05/15/2027
(g)
7,205‌
8,241‌
Altice
France
SA/France
5.50%,
01/15/2028
(g)
6,670‌
7,012‌
8.13%,
02/01/2027
(g)
6,375‌
7,116‌
CenturyLink
Inc
4.00%,
02/15/2027
(g)
4,120‌
4,303‌
CommScope
Inc
7.13%,
07/01/2028
(g)
6,510‌
6,892‌
8.25%,
03/01/2027
(g)
22,580‌
24,350‌
Embarq
Corp
8.00%,
06/01/2036
14,230‌
16,678‌
Level
3
Financing
Inc
4.25%,
07/01/2028
(g)
5,660‌
5,901‌
5.13%,
05/01/2023
4,440‌
4,459‌
5.38%,
01/15/2024
6,895‌
7,013‌
Sprint
Communications
Inc
6.00%,
11/15/2022
13,755‌
14,871‌
Sprint
Corp
7.13%,
06/15/2024
8,840‌
10,312‌
7.88%,
09/15/2023
14,995‌
17,394‌
Telecom
Italia
Capital
SA
6.38%,
11/15/2033
3,120‌
3,807‌
Telecom
Italia
SpA
/Milano
5.30%,
05/30/2024
(g)
13,065‌
14,600‌
T-Mobile
USA
Inc
5.13%,
04/15/2025
13,770‌
14,114‌
6.50%,
01/15/2026
11,120‌
11,722‌
Zayo
Group
Holdings
Inc
4.00%,
03/01/2027
(g)
13,795‌
13,825‌
6.13%,
03/01/2028
(g)
6,885‌
7,109‌
$
209,178‌
Transportation
-
1.80%
Eletson
Holdings
Inc
/
Eletson
Finance
US
LLC
/
Agathonissos
Finance
LLC
0.00%,
01/15/2022
(d),(e),(f)
18,905‌
3,592‌
Navios
Maritime
Acquisition
Corp
/
Navios
Acquisition
Finance
US
Inc
8.13%,
11/15/2021
(g)
23,475‌
14,202‌
Navios
Maritime
Holdings
Inc
/
Navios
Maritime
Finance
II
US
Inc
7.38%,
01/15/2022
(g)
9,350‌
3,833‌
11.25%,
08/15/2022
(g)
5,870‌
4,109‌
Navios
South
American
Logistics
Inc
/
Navios
Logistics
Finance
US
Inc
10.75%,
07/01/2025
(g)
6,805‌
7,281‌
Watco
Cos
LLC
/
Watco
Finance
Corp
6.50%,
06/15/2027
(g)
9,505‌
10,147‌
XPO
Logistics
Inc
6.25%,
05/01/2025
(g)
12,610‌
13,635‌
$
56,799‌
Trucking
&
Leasing
-
0.41%
DAE
Funding
LLC
4.50%,
08/01/2022
(g)
4,235‌
4,160‌
5.75%,
11/15/2023
(g)
8,890‌
8,734‌
$
12,894‌
TOTAL
BONDS
$
2,773,854‌
CONVERTIBLE
BONDS
-
0.00%
Principal
Amount
(000's)
Value
(000's)
Food
-
0.00%
Fresh
Express
Delivery
Holding
Group
Co
Ltd
0.00%,
11/09/2009
(d),(e),(f)
HKD
46,500‌
$
—‌
0.00%,
10/18/2010
(d),(e),(f)
CNY
245,000‌
—‌
$
—‌
TOTAL
CONVERTIBLE
BONDS
$
—‌
SENIOR
FLOATING
RATE
INTERESTS
-
6.10%
Principal
Amount
(000's)
Value
(000's)
Automobile
Manufacturers
-
0.13%
Navistar
Inc
3.69%,
11/06/2024
(n)
$
4,361‌
$
4,212‌
3
Month
USD
LIBOR
+
3.00%
Chemicals
-
0.26%
Aruba
Investments
Inc
5.25%,
07/01/2025
(n)
4,000‌
3,985‌
1
Month
USD
LIBOR
+
4.25%
Chemours
Co/The
1.92%,
04/03/2025
(n)
4,402‌
4,166‌
3
Month
USD
LIBOR
+
1.75%
$
8,151‌
Commercial
Services
-
0.26%
Garda
World
Security
Corp
4.93%,
10/23/2026
(n)
2,899‌
2,867‌
1
Month
USD
LIBOR
+
4.75%
Prime
Security
Services
Borrower
LLC
4.25%,
09/23/2026
(n)
3,491‌
3,427‌
1
Month
USD
LIBOR
+
3.25%
Refinitiv
US
Holdings
Inc
3.41%,
10/01/2025
(n)
2,048‌
2,031‌
3
Month
USD
LIBOR
+
3.00%
$
8,325‌
Computers
-
0.41%
McAfee
LLC
9.50%,
09/29/2025
(n)
12,667‌
12,825‌
3
Month
USD
LIBOR
+
3.25%
Consumer
Products
-
0.15%
Prestige
Brands
Inc
2.16%,
01/26/2024
(n)
2,902‌
2,859‌
3
Month
USD
LIBOR
+
2.00%
Reynolds
Consumer
Products
LLC
1.91%,
01/29/2027
(n)
1,995‌
1,954‌
1
Month
USD
LIBOR
+
1.75%
$
4,813‌
Diversified
Financial
Services
-
0.22%
Russell
Investments
US
Institutional
Holdco
Inc
3.82%,
06/01/2023
(n)
7,163‌
7,045‌
1
Month
USD
LIBOR
+
2.75%
Engineering
&
Construction
-
0.02%
Landry's
Finance
Acquisition
Co
13.00%,
10/06/2023
(n)
500‌
562‌
1
Month
USD
LIBOR
+
12.00%
Entertainment
-
0.13%
Lions
Gate
Capital
Holdings
LLC
2.41%,
03/24/2025
(n)
4,272‌
4,093‌
3
Month
USD
LIBOR
+
2.00%
Environmental
Control
-
0.12%
Filtration
Group
Corp
3.16%,
03/31/2025
(n)
4,027‌
3,931‌
3
Month
USD
LIBOR
+
1.75%
Food
-
0.44%
Bellring
Brands
LLC
6.00%,
10/21/2024
(n)
13,771‌
13,805‌
1
Month
USD
LIBOR
+
5.00%
Forest
Products
&
Paper
-
0.11%
Pixelle
Specialty
Solutions
LLC
7.50%,
10/31/2024
(n)
3,515‌
3,379‌
1
Month
USD
LIBOR
+
6.50%
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
100
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Healthcare
-
Services
-
0.28%
LifePoint
Health
Inc
3.91%,
11/16/2025
(n)
$
9,221‌
$
8,999‌
1
Month
USD
LIBOR
+
3.75%
Insurance
-
0.75%
Acrisure
LLC
3.66%,
02/15/2027
(n)
3,229‌
3,101‌
1
Month
USD
LIBOR
+
3.50%
AssuredPartners
Inc
5.50%,
02/12/2027
(n)
7,172‌
7,100‌
1
Month
USD
LIBOR
+
4.50%
Asurion
LLC
6.66%,
08/04/2025
(n)
13,268‌
13,364‌
3
Month
USD
LIBOR
+
3.25%
$
23,565‌
Lodging
-
0.36%
Golden
Nugget
LLC
3.25%,
10/04/2023
(n)
4,972‌
4,148‌
1
Month
USD
LIBOR
+
2.50%
Spectacle
Gary
Holdings
LLC
11.00%,
12/23/2025
(n)
7,949‌
7,353‌
1
Month
USD
LIBOR
+
9.00%
$
11,501‌
Media
-
0.28%
CSC
Holdings
LLC
2.67%,
04/15/2027
(n)
2,184‌
2,108‌
1
Month
USD
LIBOR
+
2.50%
Diamond
Sports
Group
LLC
3.42%,
08/24/2026
(n)
3,221‌
2,565‌
1
Month
USD
LIBOR
+
3.50%
Radiate
Holdco
LLC
3.75%,
02/01/2024
(n)
4,229‌
4,143‌
3
Month
USD
LIBOR
+
3.00%
$
8,816‌
Oil
&
Gas
-
0.03%
Mesquite
Energy
Inc
8.25%,
05/15/2020
(e),(f),(n)
572‌
425‌
1
Month
USD
LIBOR
+
8.00%
12.00%,
05/20/2020
(n)
579‌
576‌
1
Month
USD
LIBOR
+
8.00%
$
1,001‌
Packaging
&
Containers
-
0.16%
Mauser
Packaging
Solutions
Holding
Co
3.52%,
04/03/2024
(n)
5,422‌
5,051‌
3
Month
USD
LIBOR
+
8.50%
Pharmaceuticals
-
0.84%
Bausch
Health
Americas
Inc
2.93%,
11/14/2025
(n)
5,973‌
5,841‌
3
Month
USD
LIBOR
+
8.75%
3.18%,
05/19/2025
(n)
10,889‌
10,701‌
3
Month
USD
LIBOR
+
7.50%
Endo
International
PLC
5.00%,
04/29/2024
(n)
10,332‌
9,864‌
3
Month
USD
LIBOR
+
4.00%
$
26,406‌
Pipelines
-
0.19%
Buckeye
Partners
LP
2.92%,
11/01/2026
(n)
6,030‌
5,885‌
1
Month
USD
LIBOR
+
2.75%
Retail
-
0.20%
IRB
Holding
Corp
3.75%,
02/05/2025
(n)
4,574‌
4,285‌
1
Month
USD
LIBOR
+
2.75%
Sally
Holdings
LLC
0.00%,
07/05/2024
(n),(o)
2,000‌
1,990‌
$
6,275‌
SENIOR
FLOATING
RATE
INTERESTS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Telecommunications
-
0.76%
GTT
Communications
Inc
2.91%,
05/31/2025
(n)
$
7,877‌
$
5,836‌
3
Month
USD
LIBOR
+
2.75%
Level
3
Financing
Inc
1.88%,
03/01/2027
(n)
2,458‌
2,378‌
1
Month
USD
LIBOR
+
1.75%
Maxar
Technologies
Ltd
2.91%,
10/05/2024
(n)
8,955‌
8,591‌
3
Month
USD
LIBOR
+
4.25%
Zayo
Group
Holdings
Inc
3.16%,
02/19/2027
(n)
7,566‌
7,339‌
1
Month
USD
LIBOR
+
3.00%
$
24,144‌
TOTAL
SENIOR
FLOATING
RATE
INTERESTS
$
192,784‌
Total
Investments
$
3,172,428‌
Other
Assets
and
Liabilities
-  (0.34)%
(10,677‌)
TOTAL
NET
ASSETS
-
100.00%
$
3,161,751‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$9,817
or
0.31%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(f)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$16,067
or
0.51%
of
net
assets.
(g)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$1,765,890
or
55.85%
of
net
assets.
(h)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(
i
)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(j)
Perpetual
security.
Perpetual
securities
pay
an
indefinite
stream
of
interest,
but
they
may
be
called
by
the
issuer
at
an
earlier
date.
Date
shown,
if
any,
reflects
the
next
call
date
or
final
legal
maturity
date.
Rate
shown
is
as
of
period
end.
(k)
Security
purchased
on
a
when-issued
basis.
(l)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(m)
Payment
in
kind;
the
issuer
has
the
option
of
paying
additional
securities
in
lieu
of
cash.
(n)
Rate
information
disclosed
is
based
on
an
average
weighted
rate
of
the
underlying
tranches
as
of
period
end.
(o)
This
Senior
Floating
Rate
Note
will
settle
after
July
31,
2020,
at
which
time
the
interest
rate
will
be
determined.
Schedule
of
Investments
High
Yield
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
101
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Cyclical
17.45‌%
Communications
16.19‌%
Consumer,
Non-cyclical
15.38‌%
Industrial
12.27‌%
Energy
10.89‌%
Financial
10.04‌%
Basic
Materials
6.71‌%
Money
Market
Funds
5.67‌%
Technology
2.74‌%
Utilities
2.19‌%
Investment
Companies
0.81‌%
Other
Assets
and
Liabilities
(0.34‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
145,374‌
$
1,369,632‌
$
1,336,860‌
$
178,146‌
$
145,374‌
$
1,369,632‌
$
1,336,860‌
$
178,146‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
594‌
$
—‌
$
—‌
$
—‌
$
594‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
102
INVESTMENT
COMPANIES
-
2.47%
Shares
Held
Value
(000's)
Money
Market
Funds
-
2.47%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
41,519,804‌
$
41,520‌
TOTAL
INVESTMENT
COMPANIES
$
41,520‌
BONDS
-
8.53%
Principal
Amount
(000's)
Value
(000's)
Commercial
Mortgage
Backed
Securities
-
0.00%
CD
2007-CD4
Commercial
Mortgage
Trust
1.30%,
12/11/2049
(d),(e),(f)
$
4‌
$
—‌
Commercial
Mortgage
Trust
2007-GG9
0.63%,
03/10/2039
(d),(e),(f)
305‌
1‌
Ginnie
Mae
1.46%,
03/16/2047
(d),(e)
151‌
5‌
ML-CFC
Commercial
Mortgage
Trust
2006-3
0.78%,
07/12/2046
(d),(e),(f)
64‌
—‌
$
6‌
Home
Equity
Asset
Backed
Securities
-
0.00%
Option
One
Mortgage
Loan
Trust
2005-1
1.67%,
02/25/2035
23‌
15‌
1.00
x
1
Month
USD
LIBOR
+
1.50%
Mortgage
Backed
Securities
-
0.07%
Chase
Mortgage
Finance
Trust
Series
2007-A2
3.51%,
06/25/2035
(e)
26‌
25‌
Fannie
Mae
REMIC
Trust
2004-W5
0.62%,
02/25/2047
18‌
18‌
1.00
x
1
Month
USD
LIBOR
+
0.45%
Fannie
Mae
REMIC
Trust
2005-W2
0.37%,
05/25/2035
6‌
6‌
1.00
x
1
Month
USD
LIBOR
+
0.20%
Impac
CMB
Trust
Series
2004-5
2.50%,
10/25/2034
8‌
8‌
1.00
x
1
Month
USD
LIBOR
+
2.33%
Impac
CMB
Trust
Series
2004-6
1.15%,
10/25/2034
6‌
6‌
1.00
x
1
Month
USD
LIBOR
+
0.98%
Impac
CMB
Trust
Series
2005-1
0.79%,
04/25/2035
64‌
61‌
1.00
x
1
Month
USD
LIBOR
+
0.62%
Impac
CMB
Trust
Series
2005-5
0.94%,
08/25/2035
12‌
11‌
1.00
x
1
Month
USD
LIBOR
+
0.77%
Merrill
Lynch
Alternative
Note
Asset
Trust
Series
2007-A3
0.38%,
04/25/2037
1,720‌
923‌
1.00
x
1
Month
USD
LIBOR
+
0.21%
WaMu
Mortgage
Pass-Through
Certificates
Series
2005-AR2
Trust
0.54%,
01/25/2045
30‌
29‌
1.00
x
1
Month
USD
LIBOR
+
0.37%
$
1,087‌
Other
Asset
Backed
Securities
-
0.00%
Argent
Securities
Trust
2006-W3
0.29%,
04/25/2036
27‌
11‌
1.00
x
1
Month
USD
LIBOR
+
0.12%
Countrywide
Asset-Backed
Certificates
1.30%,
12/25/2032
15‌
14‌
1.00
x
1
Month
USD
LIBOR
+
1.13%
Fannie
Mae
REMIC
Trust
2003-W16
0.48%,
11/25/2033
1‌
1‌
1.00
x
1
Month
USD
LIBOR
+
0.15%
Long
Beach
Mortgage
Loan
Trust
2004-2
0.97%,
06/25/2034
28‌
27‌
1.00
x
1
Month
USD
LIBOR
+
0.80%
$
53‌
Sovereign
-
8.46%
Australia
Government
Bond
3.00%,
03/21/2047
AUD
7,145‌
6,572‌
Colombia
Government
International
Bond
3.00%,
01/30/2030
$
2,970‌
3,058‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Sovereign
(continued)
Hungary
Government
International
Bond
1.63%,
04/28/2032
EUR
715‌
$
887‌
Italy
Buoni
Poliennali
Del
Tesoro
1.30%,
05/15/2028
(f)
11,639‌
14,601‌
Japanese
Government
CPI
Linked
Bond
0.10%,
03/10/2028
JPY
1,762,416‌
16,594‌
0.10%,
03/10/2029
4,618,982‌
43,513‌
Mexico
Government
International
Bond
3.25%,
04/16/2030
$
2,030‌
2,078‌
4.50%,
04/22/2029
1,020‌
1,144‌
New
Zealand
Government
Bond
1.75%,
05/15/2041
NZD
12,525‌
8,845‌
New
Zealand
Government
Inflation
Linked
Bond
2.00%,
09/20/2025
23,374‌
17,161‌
2.50%,
09/20/2035
7,747‌
7,021‌
2.50%,
09/20/2040
3,624‌
3,436‌
Spain
Government
Bond
0.50%,
04/30/2030
(f)
EUR
11,535‌
13,895‌
1.00%,
10/31/2050
(f)
3,155‌
3,596‌
$
142,401‌
TOTAL
BONDS
$
143,562‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
90.32%
Principal
Amount
(000's)
Value
(000's)
U.S.
Treasury
Inflation-Indexed
Obligations
-
90.32%
0.13%,
01/15/2022
$
56,275‌
$
57,251‌
0.13%,
04/15/2022
146,705‌
149,526‌
0.13%,
07/15/2022
19,484‌
20,022‌
0.13%,
01/15/2023
48,462‌
49,951‌
0.13%,
07/15/2024
32,815‌
34,684‌
0.13%,
10/15/2024
32,083‌
34,023‌
0.13%,
04/15/2025
56,758‌
60,412‌
0.13%,
07/15/2026
49,750‌
53,832‌
0.13%,
01/15/2030
28,421‌
31,501‌
0.13%,
07/15/2030
27,010‌
30,205‌
0.25%,
01/15/2025
61,233‌
65,270‌
0.25%,
07/15/2029
18,022‌
20,175‌
0.25%,
02/15/2050
3,141‌
3,828‌
0.38%,
07/15/2023
25,950‌
27,249‌
0.38%,
07/15/2025
63,251‌
68,583‌
0.38%,
01/15/2027
42,925‌
47,169‌
0.38%,
07/15/2027
43,493‌
48,250‌
0.50%,
01/15/2028
55,598‌
62,232‌
0.63%,
04/15/2023
59,056‌
61,842‌
0.63%,
01/15/2024
34,922‌
37,117‌
0.63%,
01/15/2026
(g)
36,558‌
40,220‌
0.63%,
02/15/2043
26,302‌
32,958‌
0.75%,
07/15/2028
(g)
74,950‌
86,323‌
0.75%,
02/15/2042
27,773‌
35,445‌
0.75%,
02/15/2045
(h)
31,264‌
40,750‌
0.88%,
01/15/2029
23,266‌
27,105‌
0.88%,
02/15/2047
6,883‌
9,398‌
1.00%,
02/15/2046
24,396‌
33,746‌
1.00%,
02/15/2048
25,931‌
36,744‌
1.00%,
02/15/2049
18,432‌
26,443‌
1.38%,
02/15/2044
15,800‌
22,934‌
1.75%,
01/15/2028
18,266‌
22,220‌
2.00%,
01/15/2026
16,296‌
19,203‌
2.13%,
02/15/2040
12,747‌
19,775‌
2.13%,
02/15/2041
13,287‌
20,917‌
2.38%,
01/15/2025
3,757‌
4,369‌
2.38%,
01/15/2027
28,931‌
35,730‌
2.50%,
01/15/2029
12,705‌
16,626‌
3.38%,
04/15/2032
9,325‌
14,233‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
103
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
U.S.
Treasury
Inflation-Indexed
Obligations
(continued)
3.88%,
04/15/2029
$
8,450‌
$
12,193‌
$
1,520,454‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
1,520,454‌
TOTAL
PURCHASED
OPTIONS
-
0.03%
$
439‌
TOTAL
PURCHASED
INTEREST
RATE
SWAPTIONS
-
0.54%
$
9,135‌
TOTAL
PURCHASED
CAPPED
OPTIONS
-
0.02%
$
353‌
Total
Investments
$
1,715,463‌
Other
Assets
and
Liabilities
-  (1.91)%
(32,125‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,683,338‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Security
is
an
Interest
Only
Strip.
(e)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(f)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$32,093
or
1.91%
of
net
assets.
(g)
Security
or
a
portion
of
the
security
was
pledged
to
cover
margin
requirements
for
swap
and/or
swaption
contracts.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$4,311
or
0.26%
of
net
assets.
(h)
Security
or
a
portion
of
the
security
was
pledged
to
cover
margin
requirements
for
futures
contracts.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$2,147
or
0.13%
of
net
assets.
Portfolio
Summary  (unaudited)
Sector
Percent
Government
98.78‌%
Money
Market
Funds
2.47‌%
Purchased
Interest
Rate
Swaptions
0.54‌%
Mortgage
Securities
0.07‌%
Purchased
Options
0.03‌%
Purchased
Capped
Options
0.02‌%
Asset
Backed
Securities
0.00‌%
Other
Assets
and
Liabilities
(1.91‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
38,171‌
$
611,822‌
$
608,473‌
$
41,520‌
$
38,171‌
$
611,822‌
$
608,473‌
$
41,520‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
156‌
$
—‌
$
—‌
$
—‌
$
156‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Purchased
Capped
Options
Description
Counterparty
Range
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
5Y-30Y
CMS
Index
Cap
Barclays
Bank
PLC
Max
(0,
5Y
CMS-0.30%)
Receive
$
109,200‌
0.30%
02/15/2022
$
193‌
$
353‌
$
160‌
Total
$
193‌
$
353‌
$
160‌
Written
Capped
Options
Description
Counterparty
Range
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Put
-
5Y-30Y
CMS
Index
Cap
Barclays
Bank
PLC
Max
(0,
5Y
CMS-0.55%)
Receive
$
54,600‌
0.55%
02/15/2022
$
(45‌)
$
(99‌)
$
(54‌)
Put
-
5Y-30Y
CMS
Index
Cap
Barclays
Bank
PLC
Max
(0,
5Y
CMS-0.55%)
Receive
54,600‌
0.55%
02/15/2022
(56‌)
(99‌)
(43‌)
Total
$
(101‌)
$
(198‌)
$
(97‌)
Amounts
in
thousands.
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
104
Options
Purchased
Options
Outstanding
Counterparty
Contracts/
Shares
Notional
Amount
Exercise
Price
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
EUR
versus
GBP
Citigroup
Inc
1
EUR
7,365‌
EUR
0.90‌
11/03/2020
$
118‌
$
136‌
$
18‌
Call
-
90
Day
Eurodollar
Future;
December
2021
N/A
638‌
$
1,595‌
$
99.75‌
12/14/2021
113‌
275‌
162‌
Call
-
US
10
Year
Note
Future;
September
2020
N/A
36‌
36‌
$
140.00‌
08/24/2020
12‌
16‌
4‌
Put
-
US
Long
Bond
Future;
September
2020
N/A
44‌
44‌
$
178.00‌
08/24/2020
18‌
12‌
(6‌)
Total
$
261‌
$
439‌
$
178‌
Written
Options
Outstanding
Counterparty
Contracts/
Shares
Notional
Amount
Exercise
Price
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
90
Day
Eurodollar
Future;
December
2021
N/A
319‌
$
798‌
$
99.38‌
12/14/2021
$
(139‌)
$
(393‌)
$
(254‌)
Call
-
US
10
Year
Note
Future;
September
2020
N/A
36‌
36‌
$
141.00‌
08/24/2020
(5‌)
(4‌)
1‌
Total
$
(144‌)
$
(397‌)
$
(253‌)
Amounts
in
thousands
except
contracts/shares.
Interest
Rate
Swaptions
Purchased
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
1
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
$
18,530‌
0.39%
05/23/2023
$
56‌
$
66‌
$
10‌
Call
-
1
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
33,110‌
1.77%
11/06/2024
179‌
458‌
279‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
3,705‌
3.09%
12/07/2038
173‌
822‌
649‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
1,410‌
3.05%
01/11/2029
80‌
297‌
217‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
1,420‌
3.08%
01/30/2029
81‌
303‌
222‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,740‌
1.46%
08/17/2021
205‌
501‌
296‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,470‌
1.50%
02/26/2025
182‌
310‌
128‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
4,872‌
2.98%
03/08/2024
224‌
1,045‌
821‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
4,870‌
2.95%
03/13/2024
220‌
1,032‌
812‌
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,475‌
1.42%
06/06/2025
79‌
125‌
46‌
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,475‌
1.28%
06/05/2025
80‌
112‌
32‌
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
2,130‌
0.89%
05/01/2025
115‌
115‌
—‌
Call
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
1,310‌
2.99%
04/28/2038
62‌
280‌
218‌
Call
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
1,295‌
2.86%
02/23/2039
64‌
266‌
202‌
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
1,410‌
3.04%
01/12/2029
80‌
295‌
215‌
Call
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
56,710‌
1.20%
09/24/2020
178‌
1,170‌
992‌
Call
-
2
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
37,540‌
1.25%
08/11/2020
179‌
806‌
627‌
Call
-
20
Year
Interest
Rate
Swap
JPMorgan
Chase
6
Month
JPY
LIBOR
Receive
JPY
151,300‌
0.78%
04/19/2021
48‌
164‌
116‌
Call
-
30
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
$
1,610‌
0.83%
11/24/2020
111‌
79‌
(32‌)
Put
-
1
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
33,110‌
1.77%
11/06/2024
179‌
35‌
(144‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
4,870‌
2.95%
03/13/2024
219‌
21‌
(198‌)
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
105
Interest
Rate
Swaptions
(continued)
Purchased
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
3,470‌
1.50%
02/26/2025
$
182‌
$
103‌
$
(79‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
3,705‌
3.09%
12/07/2038
172‌
105‌
(67‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
1,410‌
3.05%
01/11/2029
80‌
22‌
(58‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
5,740‌
1.46%
08/17/2021
205‌
22‌
(183‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
1,420‌
3.08%
01/30/2029
80‌
21‌
(59‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
JPY
LIBOR
Pay
JPY
2,357,900‌
1.10%
06/30/2022
321‌
4‌
(317‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
4,872‌
2.98%
03/08/2024
224‌
21‌
(203‌)
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
5,610‌
2.25%
08/09/2022
133‌
17‌
(116‌)
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
2,130‌
0.89%
05/01/2025
115‌
115‌
—‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,475‌
1.28%
06/05/2025
80‌
57‌
(23‌)
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,475‌
1.42%
06/06/2025
79‌
50‌
(29‌)
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
1,295‌
2.86%
02/23/2039
64‌
41‌
(23‌)
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
5,530‌
2.25%
08/03/2022
150‌
17‌
(133‌)
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
1,310‌
2.99%
04/28/2038
62‌
39‌
(23‌)
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
5,390‌
2.50%
06/21/2024
218‌
45‌
(173‌)
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
5,390‌
2.50%
06/14/2024
242‌
44‌
(198‌)
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
1,410‌
3.04%
01/12/2029
80‌
22‌
(58‌)
Put
-
20
Year
Interest
Rate
Swap
JPMorgan
Chase
6
Month
JPY
LIBOR
Receive
JPY
151,300‌
0.78%
04/19/2021
47‌
1‌
(46‌)
Put
-
30
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
5,130‌
3.80%
06/08/2021
200‌
1‌
(199‌)
Put
-
30
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
6,520‌
2.85%
05/10/2022
379‌
27‌
(352‌)
Put
-
30
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,445‌
1.35%
09/07/2020
58‌
—‌
(58‌)
Put
-
30
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,610‌
0.83%
11/24/2020
111‌
59‌
(52‌)
Total
$
6,076‌
$
9,135‌
$
3,059‌
Written
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
1
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
$
18,530‌
0.69%
04/12/2023
$
(71‌)
$
(104‌)
$
(33‌)
Call
-
1
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
11,540‌
0.61%
04/07/2023
(43‌)
(58‌)
(15‌)
Call
-
1
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
33,110‌
1.58%
11/06/2020
(79‌)
(463‌)
(384‌)
Call
-
1
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
33,110‌
0.41%
03/18/2021
(56‌)
(88‌)
(32‌)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
7,307‌
2.79%
03/09/2021
(218‌)
(1,599‌)
(1,381‌)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
3,930‌
3.05%
03/13/2029
(208‌)
(827‌)
(619‌)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
3,370‌
0.71%
04/07/2021
(95‌)
(90‌)
5‌
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
1,690‌
0.69%
04/07/2021
(47‌)
(43‌)
4‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
106
Interest
Rate
Swaptions
(continued)
Written
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
7,450‌
1.74%
11/20/2020
$
(179‌)
$
(878‌)
$
(699‌)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
5,740‌
1.42%
08/18/2020
(149‌)
(501‌)
(352‌)
Call
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
1,630‌
0.88%
04/15/2021
(44‌)
(62‌)
(18‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,680‌
0.69%
04/07/2021
(45‌)
(42‌)
3‌
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,300‌
0.74%
05/03/2022
(114‌)
(118‌)
(4‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,535‌
0.72%
04/19/2021
(43‌)
(42‌)
1‌
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,535‌
0.77%
04/16/2021
(42‌)
(46‌)
(4‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
1,800‌
0.79%
04/16/2021
(48‌)
(57‌)
(9‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,300‌
0.67%
07/15/2021
(84‌)
(87‌)
(3‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,210‌
0.74%
06/28/2021
(85‌)
(98‌)
(13‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,190‌
0.69%
05/14/2021
(81‌)
(83‌)
(2‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
6,370‌
0.75%
06/03/2021
(160‌)
(192‌)
(32‌)
Call
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,210‌
0.72%
06/30/2021
(84‌)
(93‌)
(9‌)
Call
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
7,180‌
1.20%
08/18/2020
(134‌)
(473‌)
(339‌)
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
3,270‌
0.87%
04/12/2021
(88‌)
(122‌)
(34‌)
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
3,370‌
0.71%
04/02/2021
(95‌)
(88‌)
7‌
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
1,350‌
0.85%
04/08/2021
(35‌)
(48‌)
(13‌)
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
4,920‌
0.74%
04/20/2021
(137‌)
(142‌)
(5‌)
Call
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
2,020‌
0.73%
04/07/2021
(53‌)
(56‌)
(3‌)
Call
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
113,410‌
0.70%
09/24/2020
(125‌)
(1,205‌)
(1,080‌)
Call
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
17,665‌
1.53%
12/14/2020
(85‌)
(484‌)
(399‌)
Call
-
2
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Receive
75,070‌
0.75%
08/11/2020
(143‌)
(862‌)
(719‌)
Call
-
2
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
17,665‌
1.51%
12/15/2020
(84‌)
(475‌)
(391‌)
Call
-
30
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
7,295‌
1.39%
08/24/2020
(234‌)
(1,241‌)
(1,007‌)
Call
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Receive
EUR
3,540‌
0.04%
09/14/2022
(55‌)
(83‌)
(28‌)
Call
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Receive
3,535‌
0.14%
09/13/2022
(53‌)
(68‌)
(15‌)
Call
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Receive
7,120‌
0.12%
04/05/2022
(90‌)
(138‌)
(48‌)
Call
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Receive
8,140‌
0.02%
04/08/2022
(104‌)
(192‌)
(88‌)
Call
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
$
3,620‌
0.20%
09/23/2020
(5‌)
(4‌)
1‌
Call
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
4,530‌
0.15%
10/14/2020
(5‌)
(4‌)
1‌
Call
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
3,620‌
0.20%
09/25/2020
(4‌)
(4‌)
—‌
Call
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Receive
29,470‌
0.25%
06/30/2021
(186‌)
(193‌)
(7‌)
Call
-
5
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Receive
8,930‌
0.61%
06/16/2022
(134‌)
(163‌)
(29‌)
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
107
Interest
Rate
Swaptions
(continued)
Written
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Put
-
1
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
$
86,280‌
2.15%
05/28/2021
$
(242‌)
$
—‌
$
242‌
Put
-
1
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
63,350‌
2.35%
05/18/2021
(129‌)
—‌
129‌
Put
-
1
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
11,540‌
0.61%
04/07/2023
(43‌)
(17‌)
26‌
Put
-
1
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
18,530‌
0.69%
04/12/2023
(71‌)
(24‌)
47‌
Put
-
1
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
33,110‌
1.58%
11/06/2020
(78‌)
—‌
78‌
Put
-
1
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
106,820‌
2.40%
06/02/2021
(193‌)
—‌
193‌
Put
-
1
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
33,110‌
0.41%
03/18/2021
(56‌)
(3‌)
53‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,740‌
1.42%
08/18/2020
(149‌)
—‌
149‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
2,660‌
1.75%
08/10/2020
(44‌)
—‌
44‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,610‌
2.75%
08/09/2022
(68‌)
(8‌)
60‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
10,870‌
3.87%
06/08/2021
(213‌)
—‌
213‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,370‌
0.71%
04/07/2021
(95‌)
(47‌)
48‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,610‌
3.25%
08/09/2022
(33‌)
(4‌)
29‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
1,690‌
0.69%
04/07/2021
(48‌)
(25‌)
23‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,130‌
1.05%
06/14/2021
(45‌)
(24‌)
21‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
2,990‌
2.00%
08/04/2020
(45‌)
—‌
45‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
7,450‌
1.74%
11/20/2020
(180‌)
(1‌)
179‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
1,630‌
0.88%
04/15/2021
(44‌)
(15‌)
29‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
4,030‌
1.85%
02/23/2022
(69‌)
(15‌)
54‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
7,307‌
2.79%
03/09/2021
(218‌)
(1‌)
217‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,930‌
3.05%
03/13/2029
(209‌)
(62‌)
147‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
2,030‌
1.10%
07/15/2021
(21‌)
(15‌)
6‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,771‌
1.60%
03/07/2022
(62‌)
(23‌)
39‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,520‌
2.15%
01/11/2022
(129‌)
(11‌)
118‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
5,590‌
2.10%
01/07/2022
(129‌)
(12‌)
117‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
14,210‌
2.75%
05/10/2022
(412‌)
(16‌)
396‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,740‌
1.62%
11/03/2020
(91‌)
—‌
91‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
13,570‌
1.00%
06/02/2021
(205‌)
(111‌)
94‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
2,080‌
1.10%
07/19/2021
(21‌)
(16‌)
5‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
6,970‌
1.76%
09/17/2020
(175‌)
—‌
175‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,740‌
1.64%
11/03/2020
(90‌)
—‌
90‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
3,490‌
1.62%
09/15/2020
(87‌)
—‌
87‌
Put
-
10
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
4,030‌
1.85%
02/23/2022
(71‌)
(15‌)
56‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
108
Interest
Rate
Swaptions
(continued)
Written
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
$
6,010‌
1.60%
03/07/2022
$
(101‌)
$
(36‌)
$
65‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,300‌
0.67%
07/15/2021
(84‌)
(68‌)
16‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,190‌
0.69%
05/14/2021
(81‌)
(53‌)
28‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,210‌
0.72%
06/30/2021
(84‌)
(57‌)
27‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,210‌
0.74%
06/28/2021
(84‌)
(53‌)
31‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,860‌
1.15%
01/11/2022
(28‌)
(22‌)
6‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
6,370‌
0.75%
06/03/2021
(160‌)
(98‌)
62‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,800‌
0.79%
04/16/2021
(49‌)
(21‌)
28‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,535‌
0.72%
04/19/2021
(43‌)
(22‌)
21‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,810‌
1.60%
03/04/2022
(68‌)
(23‌)
45‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,535‌
0.77%
04/16/2021
(42‌)
(19‌)
23‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,300‌
0.74%
05/03/2022
(114‌)
(96‌)
18‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,810‌
1.60%
03/01/2022
(70‌)
(23‌)
47‌
Put
-
10
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
1,680‌
0.69%
04/07/2021
(46‌)
(25‌)
21‌
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
7,180‌
1.60%
08/18/2020
(134‌)
—‌
134‌
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
5,530‌
2.75%
08/03/2022
(76‌)
(8‌)
68‌
Put
-
10
Year
Interest
Rate
Swap
JPMorgan
Chase
3
Month
USD
LIBOR
Pay
5,530‌
3.25%
08/03/2022
(36‌)
(4‌)
32‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
1,350‌
0.85%
04/08/2021
(35‌)
(13‌)
22‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
4,920‌
0.74%
04/20/2021
(137‌)
(66‌)
71‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
2,020‌
0.73%
04/07/2021
(53‌)
(27‌)
26‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
3,370‌
0.71%
04/02/2021
(96‌)
(47‌)
49‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,500‌
1.95%
01/31/2022
(128‌)
(16‌)
112‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,390‌
3.00%
06/21/2024
(132‌)
(26‌)
106‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,730‌
2.25%
08/21/2024
(170‌)
(67‌)
103‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,390‌
3.00%
06/14/2024
(148‌)
(25‌)
123‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,390‌
3.50%
06/14/2024
(90‌)
(15‌)
75‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
3,270‌
0.87%
04/12/2021
(89‌)
(30‌)
59‌
Put
-
10
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
5,390‌
3.50%
06/21/2024
(79‌)
(15‌)
64‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
36,220‌
2.00%
11/30/2020
(49‌)
—‌
49‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
19,480‌
0.16%
04/13/2021
(66‌)
(1‌)
65‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
25,030‌
0.10%
03/30/2021
(87‌)
(2‌)
85‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
19,480‌
0.10%
04/13/2021
(66‌)
(2‌)
64‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
38,710‌
0.12%
04/09/2021
(147‌)
(3‌)
144‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
109
Interest
Rate
Swaptions
(continued)
Written
Swaptions
Outstanding
Counterparty
Floating
Rate
Index
Pay/
Receive
Floating
Rate
Notional
Amount
Exercise
Rate
Expiration
Date
Upfront
Payments/
(Premiums)
Fair
Value
Unrealized
Appreciation/
(Depreciation)
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
5,880‌
0.00%
06/15/2021
$
(16‌)
$
(1‌)
$
15‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
20,240‌
3.25%
12/30/2020
(75‌)
—‌
75‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
13,390‌
0.05%
06/11/2021
(34‌)
(3‌)
31‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
6,630‌
0.00%
06/28/2021
(15‌)
(2‌)
13‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
6,030‌
0.00%
06/15/2021
(16‌)
(1‌)
15‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
6,060‌
0.00%
06/21/2021
(14‌)
(1‌)
13‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
7,080‌
0.00%
06/22/2021
(18‌)
(2‌)
16‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
7,190‌
0.00%
07/20/2021
(13‌)
(2‌)
11‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
7,060‌
0.00%
07/02/2021
(15‌)
(2‌)
13‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
6,870‌
0.05%
07/06/2021
(14‌)
(2‌)
12‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Receive
$
22,110‌
3.50%
08/25/2020
(75‌)
—‌
75‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
9,180‌
0.15%
08/10/2021
(12‌)
(5‌)
7‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
16,230‌
0.15%
08/10/2021
(23‌)
(10‌)
13‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
$
16,180‌
1.05%
10/05/2020
(28‌)
—‌
28‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
29,530‌
0.25%
09/07/2021
(48‌)
(30‌)
18‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
3
Month
USD
LIBOR
Pay
$
17,665‌
1.53%
12/14/2020
(84‌)
—‌
84‌
Put
-
2
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
13,011‌
0.11%
05/18/2021
(43‌)
(2‌)
41‌
Put
-
2
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
$
16,180‌
1.05%
10/05/2020
(21‌)
—‌
21‌
Put
-
2
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
15,025‌
1.00%
10/06/2020
(16‌)
—‌
16‌
Put
-
2
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
29,770‌
0.60%
09/25/2020
(35‌)
—‌
35‌
Put
-
2
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
8,670‌
0.08%
06/01/2021
(25‌)
(1‌)
24‌
Put
-
2
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
$
17,665‌
1.51%
12/15/2020
(84‌)
—‌
84‌
Put
-
2
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
6
Month
Euro
Interbank
Offered
Rate
Pay
EUR
19,300‌
0.15%
04/20/2021
(70‌)
(2‌)
68‌
Put
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
3,540‌
0.04%
09/14/2022
(55‌)
(29‌)
26‌
Put
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
8,140‌
0.02%
04/08/2022
(105‌)
(46‌)
59‌
Put
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
3,535‌
0.14%
09/13/2022
(53‌)
(36‌)
17‌
Put
-
5
Year
Interest
Rate
Swap
Barclays
Bank
PLC
6
Month
Euro
Interbank
Offered
Rate
Pay
7,120‌
0.12%
04/05/2022
(90‌)
(50‌)
40‌
Put
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
$
3,620‌
0.50%
09/23/2020
(6‌)
—‌
6‌
Put
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
3,620‌
0.50%
09/25/2020
(8‌)
—‌
8‌
Put
-
5
Year
Interest
Rate
Swap
Deutsche
Bank
AG
3
Month
USD
LIBOR
Pay
9,060‌
0.45%
10/14/2020
(15‌)
(4‌)
11‌
Put
-
5
Year
Interest
Rate
Swap
Morgan
Stanley
&
Co
3
Month
USD
LIBOR
Pay
8,930‌
0.61%
06/16/2022
(134‌)
(93‌)
41‌
Total
$
(11,721‌)
$
(13,388‌)
$
(1,667‌)
Amounts
in
thousands.
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
110
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
Australia
10
Year
Bond;
September
2020
Short
155‌
$
16,550‌
$
(122‌)
Canada
10
Year
Bond;
September
2020
Long
136‌
15,707‌
100‌
Euro
Bond
10
Year
Bond;
September
2020
Short
96‌
20,075‌
(340‌)
Euro
Buxl
30
Year
Bond;
September
2020
Short
16‌
4,238‌
(150‌)
Euro-BTP;
September
2020
Short
31‌
5,367‌
(260‌)
Japan
10
Year
Bond
TSE;
September
2020
Short
28‌
40,304‌
(87‌)
US
10
Year
Note;
September
2020
Short
257‌
36,000‌
(279‌)
US
10
Year
Ultra
Note;
September
2020
Short
194‌
30,894‌
(280‌)
US
2
Year
Note;
September
2020
Long
635‌
140,325‌
130‌
US
5
Year
Note;
September
2020
Long
367‌
46,288‌
165‌
US
Long
Bond;
September
2020
Long
5‌
911‌
5‌
US
Ultra
Bond;
September
2020
Long
44‌
10,018‌
283‌
Total
$
(835‌)
Amounts
in
thousands
except
contracts.
Foreign
Currency
Contracts
Unrealized
Appreciation/(Depreciation)
Counterparty
Settlement
Date
Currency
to
Accept
Currency
to
Deliver
Asset
Liability
Barclays
Bank
PLC
08/05/2020
GBP
4,861‌
$
6,013‌
$
350‌
$
—‌
Barclays
Bank
PLC
08/05/2020
$
6,013‌
EUR
5,390‌
—‌
(336‌)
BNP
Paribas
08/05/2020
$
6,462‌
AUD
9,039‌
4‌
—‌
BNP
Paribas
08/05/2020
JPY
6,421,034‌
$
61,153‌
—‌
(493‌)
BNP
Paribas
09/03/2020
$
61,172‌
JPY
6,421,034‌
482‌
—‌
Citigroup
Inc
08/05/2020
$
2,500‌
CAD
3,362‌
—‌
(10‌)
Citigroup
Inc
08/05/2020
CAD
3,363‌
$
2,500‌
11‌
—‌
Citigroup
Inc
08/05/2020
EUR
9,191‌
$
10,768‌
59‌
—‌
Citigroup
Inc
08/05/2020
$
59,821‌
JPY
6,421,713‌
—‌
(845‌)
Citigroup
Inc
08/05/2020
$
16,633‌
NZD
25,725‌
—‌
(428‌)
Citigroup
Inc
09/16/2020
$
2,500‌
CAD
3,363‌
—‌
(11‌)
Deutsche
Bank
AG
08/05/2020
$
1,908‌
GBP
1,575‌
—‌
(154‌)
Deutsche
Bank
AG
08/05/2020
EUR
1,725‌
$
1,908‌
124‌
—‌
Goldman
Sachs
&
Co
08/05/2020
GBP
2,962‌
$
3,434‌
443‌
—‌
Goldman
Sachs
&
Co
08/05/2020
$
37,994‌
EUR
34,010‌
—‌
(2,069‌)
Goldman
Sachs
&
Co
11/02/2020
GBP
2,607‌
$
3,264‌
149‌
—‌
Goldman
Sachs
&
Co
11/02/2020
$
3,264‌
EUR
2,870‌
—‌
(123‌)
HSBC
Securities
Inc
08/05/2020
EUR
89‌
$
105‌
—‌
—‌
HSBC
Securities
Inc
08/05/2020
$
8,385‌
NZD
12,807‌
—‌
(108‌)
HSBC
Securities
Inc
09/03/2020
$
105‌
EUR
89‌
—‌
—‌
JPMorgan
Chase
08/05/2020
$
7,538‌
GBP
6,556‌
—‌
(1,043‌)
JPMorgan
Chase
08/05/2020
EUR
6,985‌
$
7,538‌
690‌
—‌
Morgan
Stanley
&
Co
08/05/2020
AUD
9,039‌
$
6,451‌
7‌
—‌
Morgan
Stanley
&
Co
08/05/2020
$
5,806‌
EUR
5,142‌
—‌
(251‌)
Morgan
Stanley
&
Co
09/03/2020
$
6,452‌
AUD
9,039‌
—‌
(5‌)
Royal
Bank
of
Scotland
08/05/2020
NZD
54,111‌
$
35,927‌
—‌
(41‌)
Royal
Bank
of
Scotland
09/03/2020
$
35,928‌
NZD
54,111‌
52‌
—‌
Standard
Chartered
Bank,
Hong
Kong
08/05/2020
$
10,019‌
NZD
15,579‌
—‌
(313‌)
Standard
Chartered
Bank,
Hong
Kong
09/03/2020
$
847‌
EUR
718‌
1‌
—‌
Standard
Chartered
Bank,
Hong
Kong
09/16/2020
CAD
13,278‌
$
9,801‌
115‌
—‌
UBS
AG
08/05/2020
GBP
308‌
$
405‌
—‌
(2‌)
UBS
AG
08/05/2020
EUR
26,573‌
$
31,422‌
—‌
(120‌)
UBS
AG
09/03/2020
$
405‌
GBP
308‌
2‌
—‌
UBS
AG
09/03/2020
$
31,441‌
EUR
26,573‌
124‌
—‌
Westpac
Banking
Corporation
08/05/2020
$
24‌
EUR
21‌
—‌
(1‌)
Total
$
2,613‌
$
(6,353‌)
Amounts
in
thousands.
Exchange
Cleared
Interest
Rate
Swaps
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
3
Month
Johannesburg
Interbank
Agreed
Rate
Receive
1.08%
Semiannual
Quarterly
N/A
09/16/2030
NZD
22,950‌
$
(610‌)
$
(56‌)
$
(666‌)
3
Month
USD
LIBOR
Receive
0.55%
Semiannual
Quarterly
N/A
03/12/2021
$
35,890‌
(66‌)
—‌
(66‌)
3
Month
USD
LIBOR
Pay
0.62%
Quarterly
Semiannual
N/A
05/04/2030
2,290‌
21‌
—‌
21‌
3
Month
USD
LIBOR
Pay
0.35%
Quarterly
Semiannual
N/A
10/02/2022
8,420‌
31‌
—‌
31‌
3
Month
USD
LIBOR
Pay
0.64%
Quarterly
Semiannual
N/A
05/05/2030
920‌
10‌
1‌
11‌
3
Month
USD
LIBOR
Pay
0.64%
Quarterly
Semiannual
N/A
04/07/2030
3,410‌
39‌
—‌
39‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
111
Exchange
Cleared
Interest
Rate
Swaps
(continued)
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
3
Month
USD
LIBOR
Receive
0.63%
Semiannual
Quarterly
N/A
04/14/2025
$
6,490‌
$
(118‌)
$
—‌
$
(118‌)
3
Month
USD
LIBOR
Pay
0.82%
Quarterly
Semiannual
N/A
04/14/2030
3,390‌
97‌
1‌
98‌
3
Month
USD
LIBOR
Receive
2.89%
Semiannual
Quarterly
N/A
04/16/2022
24,070‌
(1,114‌)
1‌
(1,113‌)
3
Month
USD
LIBOR
Receive
2.88%
Semiannual
Quarterly
N/A
04/16/2022
3,940‌
(182‌)
—‌
(182‌)
3
Month
USD
LIBOR
Receive
0.65%
Semiannual
Quarterly
N/A
04/20/2027
710‌
(8‌)
—‌
(8‌)
3
Month
USD
LIBOR
Receive
0.70%
Semiannual
Quarterly
N/A
07/22/2030
3,170‌
(52‌)
—‌
(52‌)
3
Month
USD
LIBOR
Pay
0.66%
Quarterly
Semiannual
N/A
04/29/2030
1,610‌
19‌
—‌
19‌
3
Month
USD
LIBOR
Pay
0.30%
Quarterly
Semiannual
N/A
07/30/2022
3,710‌
9‌
—‌
9‌
3
Month
USD
LIBOR
Pay
0.65%
Quarterly
Semiannual
N/A
04/30/2030
1,630‌
21‌
—‌
21‌
3
Month
USD
LIBOR
Receive
0.76%
Semiannual
Quarterly
N/A
05/03/2032
4,950‌
(41‌)
—‌
(41‌)
3
Month
USD
LIBOR
Pay
0.59%
Quarterly
Semiannual
N/A
05/01/2030
1,630‌
11‌
—‌
11‌
3
Month
USD
LIBOR
Receive
0.77%
Semiannual
Quarterly
N/A
05/04/2032
5,060‌
(45‌)
1‌
(44‌)
3
Month
USD
LIBOR
Pay
0.30%
Quarterly
Semiannual
N/A
05/05/2023
7,190‌
21‌
—‌
21‌
3
Month
USD
LIBOR
Receive
0.77%
Semiannual
Quarterly
N/A
05/06/2032
4,660‌
(43‌)
—‌
(43‌)
3
Month
USD
LIBOR
Pay
0.79%
Quarterly
Semiannual
N/A
05/09/2032
3,890‌
43‌
—‌
43‌
3
Month
USD
LIBOR
Pay
0.34%
Quarterly
Semiannual
N/A
09/29/2022
16,880‌
59‌
—‌
59‌
3
Month
USD
LIBOR
Pay
0.36%
Quarterly
Semiannual
N/A
09/29/2022
4,210‌
16‌
—‌
16‌
3
Month
USD
LIBOR
Pay
0.37%
Quarterly
Semiannual
N/A
09/29/2022
7,420‌
30‌
—‌
30‌
3
Month
USD
LIBOR
Pay
0.43%
Quarterly
Semiannual
N/A
09/29/2022
3,960‌
20‌
—‌
20‌
3
Month
USD
LIBOR
Pay
1.10%
Quarterly
Semiannual
N/A
03/01/2023
18,070‌
341‌
1‌
342‌
3
Month
USD
LIBOR
Pay
2.52%
Quarterly
Semiannual
N/A
02/28/2025
13,420‌
1,401‌
—‌
1,401‌
3
Month
USD
LIBOR
Pay
1.24%
Quarterly
Semiannual
N/A
03/02/2030
1,870‌
129‌
—‌
129‌
3
Month
USD
LIBOR
Pay
0.88%
Quarterly
Semiannual
N/A
03/02/2023
580‌
8‌
—‌
8‌
3
Month
USD
LIBOR
Pay
0.88%
Quarterly
Semiannual
N/A
03/02/2023
9,060‌
132‌
—‌
132‌
3
Month
USD
LIBOR
Pay
0.73%
Quarterly
Semiannual
N/A
09/04/2022
17,950‌
200‌
—‌
200‌
3
Month
USD
LIBOR
Pay
0.73%
Quarterly
Semiannual
N/A
09/04/2022
7,360‌
83‌
—‌
83‌
3
Month
USD
LIBOR
Pay
1.02%
Quarterly
Semiannual
N/A
09/08/2030
2,540‌
120‌
—‌
120‌
3
Month
USD
LIBOR
Receive
1.11%
Semiannual
Quarterly
N/A
03/08/2032
1,695‌
(75‌)
—‌
(75‌)
3
Month
USD
LIBOR
Pay
0.29%
Quarterly
Semiannual
N/A
08/10/2022
10,500‌
25‌
—‌
25‌
3
Month
USD
LIBOR
Pay
0.68%
Quarterly
Semiannual
N/A
03/06/2022
4,160‌
32‌
—‌
32‌
3
Month
USD
LIBOR
Pay
1.25%
Quarterly
Semiannual
N/A
09/08/2050
591‌
77‌
—‌
77‌
3
Month
USD
LIBOR
Pay
0.76%
Quarterly
Semiannual
N/A
09/08/2025
1,791‌
45‌
—‌
45‌
3
Month
USD
LIBOR
Pay
0.69%
Quarterly
Semiannual
N/A
03/11/2050
340‌
(8‌)
—‌
(8‌)
3
Month
USD
LIBOR
Receive
0.66%
Semiannual
Quarterly
N/A
03/11/2030
960‌
(13‌)
—‌
(13‌)
3
Month
USD
LIBOR
Pay
0.53%
Quarterly
Semiannual
N/A
08/04/2030
835‌
—‌
—‌
—‌
3
Month
USD
LIBOR
Pay
0.85%
Quarterly
Semiannual
N/A
03/12/2040
3,690‌
(46‌)
—‌
(46‌)
3
Month
USD
LIBOR
Pay
1.10%
Quarterly
Semiannual
N/A
08/21/2050
1,235‌
111‌
—‌
111‌
3
Month
USD
LIBOR
Pay
0.71%
Quarterly
Semiannual
N/A
03/25/2030
1,990‌
36‌
—‌
36‌
3
Month
USD
LIBOR
Pay
0.38%
Quarterly
Semiannual
N/A
09/28/2022
3,280‌
14‌
—‌
14‌
3
Month
USD
LIBOR
Receive
0.82%
Semiannual
Quarterly
N/A
09/08/2025
3,440‌
(96‌)
—‌
(96‌)
3
Month
USD
LIBOR
Pay
0.60%
Quarterly
Semiannual
N/A
05/18/2030
1,630‌
12‌
—‌
12‌
3
Month
USD
LIBOR
Receive
0.81%
Semiannual
Quarterly
N/A
05/18/2050
580‌
(4‌)
—‌
(4‌)
3
Month
USD
LIBOR
Pay
0.92%
Quarterly
Semiannual
N/A
05/16/2035
1,690‌
5‌
—‌
5‌
3
Month
USD
LIBOR
Pay
0.25%
Quarterly
Semiannual
N/A
07/08/2023
6,930‌
6‌
—‌
6‌
3
Month
USD
LIBOR
Receive
0.67%
Semiannual
Quarterly
N/A
10/09/2030
3,800‌
(47‌)
—‌
(47‌)
3
Month
USD
LIBOR
Pay
0.64%
Quarterly
Semiannual
N/A
07/10/2030
1,030‌
11‌
—‌
11‌
3
Month
USD
LIBOR
Receive
0.21%
Semiannual
Quarterly
N/A
06/15/2022
26,240‌
(17‌)
—‌
(17‌)
3
Month
USD
LIBOR
Pay
0.63%
Quarterly
Semiannual
N/A
07/10/2030
1,650‌
15‌
—‌
15‌
3
Month
USD
LIBOR
Pay
0.61%
Quarterly
Semiannual
N/A
02/15/2030
2,610‌
24‌
—‌
24‌
3
Month
USD
LIBOR
Pay
0.58%
Quarterly
Semiannual
N/A
07/14/2030
825‌
4‌
—‌
4‌
3
Month
USD
LIBOR
Pay
0.65%
Quarterly
Semiannual
N/A
07/12/2028
5,240‌
17‌
—‌
17‌
3
Month
USD
LIBOR
Receive
0.88%
Semiannual
Quarterly
N/A
07/12/2053
960‌
(11‌)
—‌
(11‌)
3
Month
USD
LIBOR
Receive
0.68%
Semiannual
Quarterly
N/A
07/06/2030
840‌
(12‌)
—‌
(12‌)
3
Month
USD
LIBOR
Pay
0.61%
Quarterly
Semiannual
N/A
07/15/2030
480‌
4‌
—‌
4‌
3
Month
USD
LIBOR
Pay
0.58%
Quarterly
Semiannual
N/A
07/24/2030
230‌
1‌
—‌
1‌
3
Month
USD
LIBOR
Receive
0.27%
Semiannual
Quarterly
N/A
11/30/2024
5,890‌
(12‌)
—‌
(12‌)
3
Month
USD
LIBOR
Pay
0.57%
Quarterly
Semiannual
N/A
07/27/2030
1,660‌
6‌
—‌
6‌
3
Month
USD
LIBOR
Pay
0.57%
Quarterly
Semiannual
N/A
07/28/2030
500‌
2‌
—‌
2‌
3
Month
USD
LIBOR
Pay
0.58%
Quarterly
Semiannual
N/A
07/28/2030
2,550‌
11‌
—‌
11‌
3
Month
USD
LIBOR
Pay
0.57%
Quarterly
Semiannual
N/A
07/29/2030
380‌
1‌
—‌
1‌
3
Month
USD
LIBOR
Pay
0.58%
Quarterly
Semiannual
N/A
07/31/2030
2,320‌
9‌
1‌
10‌
3
Month
USD
LIBOR
Pay
0.56%
Quarterly
Semiannual
N/A
08/03/2030
830‌
2‌
—‌
2‌
3
Month
USD
LIBOR
Pay
0.54%
Quarterly
Semiannual
N/A
08/03/2030
830‌
—‌
—‌
—‌
3
Month
USD
LIBOR
Receive
0.84%
Semiannual
Quarterly
N/A
07/20/2050
3,080‌
(51‌)
—‌
(51‌)
3
Month
USD
LIBOR
Receive
0.69%
Semiannual
Quarterly
N/A
07/06/2030
840‌
(13‌)
—‌
(13‌)
3
Month
USD
LIBOR
Receive
0.66%
Semiannual
Quarterly
N/A
07/03/2030
1,030‌
(13‌)
—‌
(13‌)
3
Month
USD
LIBOR
Pay
0.64%
Quarterly
Semiannual
N/A
07/02/2030
1,700‌
18‌
—‌
18‌
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
112
Exchange
Cleared
Interest
Rate
Swaps
(continued)
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
3
Month
USD
LIBOR
Receive
0.65%
Semiannual
Quarterly
N/A
06/02/2030
$
2,580‌
$
(30‌)
$
—‌
$
(30‌)
3
Month
USD
LIBOR
Pay
0.36%
Quarterly
Semiannual
N/A
06/02/2025
5,050‌
27‌
—‌
27‌
3
Month
USD
LIBOR
Receive
1.00%
Semiannual
Quarterly
N/A
06/03/2022
40,635‌
(609‌)
1‌
(608‌)
3
Month
USD
LIBOR
Receive
0.76%
Semiannual
Quarterly
N/A
06/03/2031
4,646‌
(75‌)
—‌
(75‌)
3
Month
USD
LIBOR
Pay
0.67%
Quarterly
Semiannual
N/A
06/03/2030
2,380‌
32‌
—‌
32‌
3
Month
USD
LIBOR
Pay
0.31%
Quarterly
Semiannual
N/A
06/14/2023
6,180‌
19‌
1‌
20‌
3
Month
USD
LIBOR
Pay
0.29%
Quarterly
Semiannual
N/A
06/14/2023
6,180‌
18‌
—‌
18‌
3
Month
USD
LIBOR
Pay
0.70%
Quarterly
Semiannual
N/A
06/16/2030
1,610‌
27‌
—‌
27‌
3
Month
USD
LIBOR
Pay
0.66%
Quarterly
Semiannual
N/A
06/17/2030
710‌
9‌
—‌
9‌
3
Month
USD
LIBOR
Receive
0.67%
Semiannual
Quarterly
N/A
07/17/2030
2,150‌
(29‌)
—‌
(29‌)
3
Month
USD
LIBOR
Receive
0.25%
Semiannual
Quarterly
N/A
06/15/2022
12,280‌
(16‌)
—‌
(16‌)
3
Month
USD
LIBOR
Receive
1.14%
Semiannual
Quarterly
N/A
06/20/2052
920‌
(80‌)
—‌
(80‌)
3
Month
USD
LIBOR
Pay
0.68%
Quarterly
Semiannual
N/A
06/20/2027
5,060‌
58‌
—‌
58‌
3
Month
USD
LIBOR
Receive
1.09%
Semiannual
Quarterly
N/A
06/20/2052
920‌
(69‌)
—‌
(69‌)
3
Month
USD
LIBOR
Pay
0.65%
Quarterly
Semiannual
N/A
06/20/2027
5,060‌
51‌
—‌
51‌
3
Month
USD
LIBOR
Pay
0.70%
Quarterly
Semiannual
N/A
06/23/2030
1,150‌
19‌
—‌
19‌
3
Month
USD
LIBOR
Pay
0.68%
Quarterly
Semiannual
N/A
02/15/2030
5,060‌
78‌
—‌
78‌
3
Month
USD
LIBOR
Receive
0.68%
Semiannual
Quarterly
N/A
09/16/2030
3,580‌
(49‌)
—‌
(49‌)
3
Month
USD
LIBOR
Pay
0.66%
Quarterly
Semiannual
N/A
06/30/2030
510‌
7‌
—‌
7‌
3
Month
USD
LIBOR
Pay
0.64%
Quarterly
Semiannual
N/A
07/01/2030
760‌
8‌
—‌
8‌
3
Month
USD
LIBOR
Receive
0.65%
Semiannual
Quarterly
N/A
11/04/2030
3,820‌
(38‌)
1‌
(37‌)
3
Month
USD
LIBOR
Receive
1.31%
Semiannual
Quarterly
N/A
02/27/2030
3,740‌
(283‌)
—‌
(283‌)
3
Month
USD
LIBOR
Receive
1.32%
Semiannual
Quarterly
N/A
08/27/2030
5,710‌
(439‌)
—‌
(439‌)
3
Month
USD
LIBOR
Pay
0.53%
Quarterly
Semiannual
N/A
08/04/2030
835‌
(1‌)
—‌
(1‌)
3
Month
USD
LIBOR
Pay
1.31%
Quarterly
Semiannual
N/A
02/26/2030
2,080‌
158‌
—‌
158‌
3
Month
USD
LIBOR
Receive
1.67%
Semiannual
Quarterly
N/A
08/17/2049
600‌
(42‌)
—‌
(42‌)
3
Month
USD
LIBOR
Pay
1.57%
Quarterly
Semiannual
N/A
04/29/2030
2,270‌
226‌
1‌
227‌
3
Month
USD
LIBOR
Pay
1.57%
Quarterly
Semiannual
N/A
01/29/2030
1,760‌
176‌
—‌
176‌
3
Month
USD
LIBOR
Pay
1.53%
Quarterly
Semiannual
N/A
11/22/2020
16,060‌
63‌
—‌
63‌
3
Month
USD
LIBOR
Pay
1.58%
Quarterly
Semiannual
N/A
01/29/2030
1,880‌
190‌
—‌
190‌
3
Month
USD
LIBOR
Pay
1.69%
Quarterly
Semiannual
N/A
01/28/2030
1,870‌
209‌
—‌
209‌
3
Month
USD
LIBOR
Receive
1.65%
Semiannual
Quarterly
N/A
08/22/2034
1,765‌
(136‌)
—‌
(136‌)
3
Month
USD
LIBOR
Pay
1.75%
Quarterly
Semiannual
N/A
01/23/2030
1,590‌
186‌
—‌
186‌
3
Month
USD
LIBOR
Pay
1.36%
Quarterly
Semiannual
N/A
09/28/2021
8,610‌
100‌
—‌
100‌
3
Month
USD
LIBOR
Receive
1.56%
Semiannual
Quarterly
N/A
03/27/2021
19,930‌
(172‌)
—‌
(172‌)
3
Month
USD
LIBOR
Receive
1.76%
Semiannual
Quarterly
N/A
07/09/2030
1,690‌
(205‌)
—‌
(205‌)
3
Month
USD
LIBOR
Receive
2.11%
Semiannual
Quarterly
N/A
11/12/2034
2,060‌
(249‌)
—‌
(249‌)
3
Month
USD
LIBOR
Pay
1.73%
Quarterly
Semiannual
N/A
01/08/2030
1,890‌
216‌
—‌
216‌
3
Month
USD
LIBOR
Receive
1.91%
Semiannual
Quarterly
N/A
10/21/2034
1,660‌
(169‌)
—‌
(169‌)
3
Month
USD
LIBOR
Receive
1.93%
Semiannual
Quarterly
N/A
10/22/2034
1,940‌
(202‌)
—‌
(202‌)
3
Month
USD
LIBOR
Receive
1.98%
Semiannual
Quarterly
N/A
10/23/2034
850‌
(92‌)
—‌
(92‌)
3
Month
USD
LIBOR
Receive
1.98%
Semiannual
Quarterly
N/A
10/23/2034
850‌
(92‌)
—‌
(92‌)
3
Month
USD
LIBOR
Receive
2.10%
Semiannual
Quarterly
N/A
10/23/2039
1,100‌
(115‌)
—‌
(115‌)
3
Month
USD
LIBOR
Pay
3.21%
Quarterly
Semiannual
N/A
10/29/2024
1,345‌
171‌
—‌
171‌
3
Month
USD
LIBOR
Receive
2.00%
Semiannual
Quarterly
N/A
11/07/2034
2,040‌
(224‌)
—‌
(224‌)
3
Month
USD
LIBOR
Receive
2.40%
Semiannual
Quarterly
N/A
02/26/2022
186,030‌
(6,460‌)
2‌
(6,458‌)
3
Month
USD
LIBOR
Pay
3.09%
Quarterly
Semiannual
N/A
11/29/2024
27,160‌
3,374‌
—‌
3,374‌
3
Month
USD
LIBOR
Pay
1.93%
Quarterly
Semiannual
N/A
12/01/2056
150‌
43‌
—‌
43‌
3
Month
USD
LIBOR
Receive
2.11%
Semiannual
Quarterly
N/A
11/15/2044
2,490‌
(261‌)
—‌
(261‌)
3
Month
USD
LIBOR
Pay
1.80%
Quarterly
Semiannual
N/A
01/07/2030
1,910‌
231‌
—‌
231‌
3
Month
USD
LIBOR
Pay
1.71%
Quarterly
Semiannual
N/A
07/13/2022
53,710‌
843‌
1‌
844‌
3
Month
USD
LIBOR
Receive
1.71%
Semiannual
Quarterly
N/A
08/16/2049
780‌
(57‌)
—‌
(57‌)
3
Month
USD
LIBOR
Receive
2.38%
Semiannual
Quarterly
N/A
07/05/2049
840‌
(110‌)
—‌
(110‌)
3
Month
USD
LIBOR
Pay
1.32%
Quarterly
Semiannual
N/A
02/26/2030
1,860‌
142‌
—‌
142‌
3
Month
USD
LIBOR
Pay
1.43%
Quarterly
Semiannual
N/A
02/25/2030
1,865‌
162‌
—‌
162‌
3
Month
USD
LIBOR
Receive
2.57%
Semiannual
Quarterly
N/A
02/07/2025
13,710‌
(1,463‌)
12‌
(1,451‌)
3
Month
USD
LIBOR
Pay
2.53%
Semiannual
Semiannual
N/A
02/07/2022
157,520‌
5,523‌
(61‌)
5,462‌
3
Month
USD
LIBOR
Pay
2.60%
Quarterly
Semiannual
N/A
03/26/2029
2,830‌
519‌
—‌
519‌
3
Month
USD
LIBOR
Pay
1.83%
Quarterly
Semiannual
N/A
02/10/2050
730‌
210‌
—‌
210‌
3
Month
USD
LIBOR
Receive
1.63%
Semiannual
Quarterly
N/A
02/10/2030
1,870‌
(198‌)
—‌
(198‌)
3
Month
USD
LIBOR
Pay
2.25%
Quarterly
Semiannual
N/A
04/27/2022
29,060‌
1,043‌
1‌
1,044‌
3
Month
USD
LIBOR
Receive
2.35%
Semiannual
Quarterly
N/A
04/27/2025
7,830‌
(784‌)
—‌
(784‌)
3
Month
USD
LIBOR
Receive
1.77%
Semiannual
Quarterly
N/A
07/12/2023
54,580‌
(881‌)
1‌
(880‌)
3
Month
USD
LIBOR
Pay
2.45%
Quarterly
Semiannual
N/A
05/18/2031
1,190‌
218‌
—‌
218‌
3
Month
USD
LIBOR
Receive
1.87%
Semiannual
Quarterly
N/A
06/03/2022
33,170‌
(573‌)
1‌
(572‌)
3
Month
USD
LIBOR
Pay
1.61%
Quarterly
Semiannual
N/A
01/30/2030
1,860‌
192‌
—‌
192‌
3
Month
USD
LIBOR
Receive
2.37%
Semiannual
Quarterly
N/A
06/15/2050
910‌
(401‌)
—‌
(401‌)
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
113
Exchange
Cleared
Interest
Rate
Swaps
(continued)
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
3
Month
USD
LIBOR
Pay
2.32%
Quarterly
Semiannual
N/A
10/25/2021
$
34,020‌
$
889‌
$
(1‌)
$
888‌
3
Month
USD
LIBOR
Pay
1.74%
Quarterly
Semiannual
N/A
06/16/2022
10,650‌
311‌
—‌
311‌
3
Month
USD
LIBOR
Pay
2.10%
Quarterly
Semiannual
N/A
06/22/2031
590‌
87‌
—‌
87‌
3
Month
USD
LIBOR
Receive
2.33%
Semiannual
Quarterly
N/A
06/24/2034
420‌
(61‌)
—‌
(61‌)
3
Month
USD
LIBOR
Pay
1.58%
Quarterly
Semiannual
N/A
01/30/2030
2,570‌
259‌
—‌
259‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.29)%
Annual
Semiannual
N/A
07/26/2023
EUR
19,820‌
(66‌)
(2‌)
(68‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.30)%
Annual
Semiannual
N/A
07/25/2023
18,090‌
(56‌)
(1‌)
(57‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.42)%
Semiannual
Annual
N/A
07/02/2023
3,190‌
1‌
—‌
1‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.40)%
Semiannual
Annual
N/A
06/25/2023
3,540‌
3‌
—‌
3‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.41)%
Semiannual
Annual
N/A
07/27/2023
3,560‌
(313‌)
—‌
(313‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.38)%
Semiannual
Annual
N/A
05/04/2023
4,460‌
6‌
—‌
6‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.37)%
Semiannual
Annual
N/A
05/06/2023
3,760‌
6‌
—‌
6‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.45)%
Semiannual
Annual
N/A
08/11/2023
2,280‌
(1‌)
—‌
(1‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.42)%
Semiannual
Annual
N/A
06/24/2023
3,550‌
1‌
1‌
2‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.40)%
Semiannual
Annual
N/A
07/08/2023
3,470‌
3‌
—‌
3‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.34)%
Semiannual
Annual
N/A
07/20/2026
2,850‌
3‌
—‌
3‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.41)%
Semiannual
Annual
N/A
07/20/2023
7,900‌
4‌
—‌
4‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.44)%
Semiannual
Annual
N/A
10/06/2023
1,880‌
—‌
—‌
—‌
6
Month
Euro
Interbank
Offered
Rate
Receive
0.06%
Annual
Semiannual
N/A
06/23/2050
2,400‌
(89‌)
(3‌)
(92‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.15)%
Semiannual
Annual
N/A
06/23/2030
7,375‌
66‌
2‌
68‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.01)%
Annual
Semiannual
N/A
07/14/2050
2,405‌
(33‌)
1‌
(32‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.19)%
Semiannual
Annual
N/A
07/14/2030
7,160‌
27‌
1‌
28‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.45)%
Semiannual
Annual
N/A
09/28/2023
1,580‌
(1‌)
—‌
(1‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.43)%
Semiannual
Annual
N/A
09/14/2023
1,830‌
—‌
—‌
—‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.50)%
Semiannual
Annual
N/A
09/14/2023
2,350‌
(4‌)
—‌
(4‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.58)%
Semiannual
Annual
N/A
08/17/2023
2,290‌
(7‌)
(1‌)
(8‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.40)%
Annual
Semiannual
N/A
07/21/2022
7,220‌
(3‌)
—‌
(3‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.35)%
Semiannual
Annual
N/A
11/02/2022
4,490‌
9‌
—‌
9‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.17)%
Annual
Semiannual
N/A
11/11/2024
1,640‌
(17‌)
(1‌)
(18‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.17)%
Annual
Semiannual
N/A
12/13/2023
7,310‌
(43‌)
(2‌)
(45‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.28)%
Semiannual
Annual
N/A
06/26/2022
1,341‌
4‌
—‌
4‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.29)%
Semiannual
Annual
N/A
06/25/2022
1,341‌
3‌
—‌
3‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.25)%
Semiannual
Annual
N/A
06/24/2022
3,576‌
11‌
1‌
12‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.18)%
Annual
Semiannual
N/A
03/24/2023
14,740‌
(86‌)
(4‌)
(90‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.18)%
Annual
Semiannual
N/A
03/24/2023
14,780‌
(87‌)
(5‌)
(92‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.17)%
Annual
Semiannual
N/A
03/24/2023
14,780‌
(89‌)
(5‌)
(94‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.26)%
Annual
Semiannual
N/A
09/22/2022
7,300‌
(29‌)
(1‌)
(30‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.34)%
Semiannual
Annual
N/A
05/03/2023
4,480‌
10‌
—‌
10‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.34)%
Annual
Semiannual
N/A
03/20/2022
3,740‌
(6‌)
—‌
(6‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.35)%
Annual
Semiannual
N/A
03/20/2022
3,730‌
(5‌)
—‌
(5‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.38)%
Annual
Semiannual
N/A
06/19/2022
6,190‌
(3‌)
1‌
(2‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.49)%
Semiannual
Annual
N/A
03/09/2022
5,370‌
(6‌)
(1‌)
(7‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.48)%
Semiannual
Annual
N/A
03/06/2022
3,200‌
(2‌)
(1‌)
(3‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.48)%
Semiannual
Annual
N/A
03/05/2022
7,950‌
(7‌)
(1‌)
(8‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.47)%
Semiannual
Annual
N/A
03/04/2023
3,990‌
(3‌)
(1‌)
(4‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.41)%
Semiannual
Annual
N/A
03/02/2023
7,490‌
5‌
(1‌)
4‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.33)%
Semiannual
Annual
N/A
02/12/2023
2,440‌
6‌
—‌
6‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.28)%
Semiannual
Annual
N/A
06/30/2022
1,341‌
4‌
—‌
4‌
6
Month
Euro
Interbank
Offered
Rate
Receive
0.19%
Annual
Semiannual
N/A
01/16/2030
3,190‌
(149‌)
(8‌)
(157‌)
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.30)%
Annual
Semiannual
N/A
03/23/2022
14,130‌
(33‌)
—‌
(33‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.34)%
Semiannual
Annual
N/A
10/02/2022
6,920‌
14‌
1‌
15‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.30)%
Semiannual
Annual
N/A
07/20/2022
7,480‌
19‌
1‌
20‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.45)%
Annual
Semiannual
N/A
12/16/2021
7,070‌
8‌
2‌
10‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.30)%
Semiannual
Annual
N/A
07/20/2022
5,910‌
15‌
1‌
16‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.18)%
Annual
Semiannual
N/A
03/18/2025
375‌
(4‌)
(1‌)
(5‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.31)%
Semiannual
Annual
N/A
04/29/2023
8,020‌
24‌
1‌
25‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.30)%
Semiannual
Annual
N/A
07/16/2022
7,460‌
19‌
1‌
20‌
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.32)%
Semiannual
Annual
N/A
09/29/2022
4,420‌
12‌
—‌
12‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.05)%
Annual
Semiannual
N/A
01/03/2024
3,855‌
(33‌)
(2‌)
(35‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.33)%
Semiannual
Annual
N/A
10/02/2022
6,270‌
15‌
1‌
16‌
6
Month
Euro
Interbank
Offered
Rate
Receive
(0.06)%
Annual
Semiannual
N/A
01/03/2024
3,855‌
(32‌)
(2‌)
(34‌)
6
Month
Euro
Interbank
Offered
Rate
Pay
(0.30)%
Semiannual
Annual
N/A
01/16/2022
15,460‌
27‌
—‌
27‌
6
Month
JPY
LIBOR
Receive
0.34%
Semiannual
Semiannual
N/A
02/08/2034
JPY
38,580‌
(12‌)
—‌
(12‌)
6
Month
JPY
LIBOR
Receive
0.20%
Semiannual
Semiannual
N/A
08/28/2044
12,400‌
2‌
—‌
2‌
6
Month
JPY
LIBOR
Receive
0.30%
Semiannual
Semiannual
N/A
06/17/2039
33,410‌
(7‌)
—‌
(7‌)
6
Month
JPY
LIBOR
Receive
0.17%
Semiannual
Semiannual
N/A
08/08/2039
24,710‌
—‌
1‌
1‌
6
Month
JPY
LIBOR
Receive
0.72%
Semiannual
Semiannual
N/A
03/21/2044
24,090‌
(20‌)
—‌
(20‌)
Schedule
of
Investments
Inflation
Protection
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
114
Exchange
Cleared
Interest
Rate
Swaps
(continued)
Floating
Rate
Index
(Pay)/
Receive
Floating
Rate
Fixed
Rate
Payment
Frequency
Paid
by
Fund
Payment
Frequency
Received
by
Fund
Effective
Date
(a)
Maturity
Date
Notional
Amount
Unrealized
Appreciation/
(Depreciation)
Upfront
Payments/
(Receipts)
Fair
Value
6
Month
JPY
LIBOR
Receive
0.37%
Semiannual
Semiannual
N/A
01/30/2045
JPY
18,410‌
$
(2‌)
$
—‌
$
(2‌)
Canada
Bankers
Acceptances
3
Month
Pay
1.35%
Semiannual
Semiannual
N/A
07/16/2050
CAD
4,385‌
65‌
1‌
66‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.92%
Annual
Annual
N/A
05/08/2021
$
35,952‌
(553‌)
1‌
(552‌)
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.29%
Annual
Annual
N/A
05/05/2030
13,930‌
481‌
1‌
482‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.82%
Annual
Annual
N/A
02/03/2030
16,775‌
(442‌)
1‌
(441‌)
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.33%
Annual
Annual
N/A
05/04/2030
16,200‌
474‌
—‌
474‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.96%
Annual
Annual
N/A
12/12/2049
4,480‌
(378‌)
—‌
(378‌)
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.78%
Annual
Annual
N/A
07/17/2050
1,603‌
25‌
—‌
25‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
2.25%
Annual
Annual
N/A
10/30/2028
7,950‌
(603‌)
1‌
(602‌)
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.50%
Annual
Annual
N/A
03/10/2030
24,845‌
224‌
1‌
225‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.25%
Annual
Annual
N/A
03/11/2030
8,300‌
305‌
1‌
306‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
0.85%
Annual
Annual
N/A
03/24/2030
6,700‌
534‌
—‌
534‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
0.82%
Annual
Annual
N/A
03/23/2030
4,500‌
372‌
—‌
372‌
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.71%
Annual
Annual
N/A
08/12/2024
15,060‌
(289‌)
—‌
(289‌)
Consumer
Price
All
Urban
Non-
Seasonally
Adjusted
Index
Receive
1.85%
Annual
Annual
N/A
08/01/2024
24,120‌
(663‌)
1‌
(662‌)
Harmonised
Indices
of
Consumer
Prices
Excluding
Food
and
Energy
Pay
1.37%
Annual
Annual
N/A
07/15/2050
EUR
1,585‌
(11‌)
—‌
(11‌)
Harmonised
Indices
of
Consumer
Prices
Excluding
Food
and
Energy
Receive
1.29%
Annual
Annual
N/A
03/15/2029
12,460‌
(680‌)
(39‌)
(719‌)
Harmonised
Indices
of
Consumer
Prices
Excluding
Food
and
Energy
Receive
1.13%
Annual
Annual
N/A
02/15/2030
2,645‌
(84‌)
(6‌)
(90‌)
United
Kingdom
Retail
Prices
Index
Pay
3.51%
Annual
Annual
N/A
10/15/2028
GBP
9,490‌
636‌
(25‌)
611‌
United
Kingdom
Retail
Prices
Index
Receive
3.46%
Annual
Annual
N/A
12/15/2029
5,125‌
(146‌)
7‌
(139‌)
United
Kingdom
Retail
Prices
Index
Pay
3.45%
Annual
Annual
N/A
02/15/2030
2,135‌
43‌
(3‌)
40‌
United
Kingdom
Retail
Prices
Index
Pay
3.49%
Annual
Annual
N/A
03/15/2029
8,890‌
408‌
(20‌)
388‌
United
Kingdom
Retail
Prices
Index
Receive
3.42%
Annual
Annual
N/A
10/15/2034
12,690‌
(793‌)
94‌
(699‌)
United
Kingdom
Retail
Prices
Index
Receive
3.13%
Annual
Annual
N/A
01/15/2050
4,000‌
(564‌)
37‌
(527‌)
United
Kingdom
Retail
Prices
Index
Pay
3.36%
Annual
Annual
N/A
10/15/2039
12,690‌
1,126‌
(106‌)
1,020‌
United
Kingdom
Retail
Prices
Index
Receive
3.16%
Annual
Annual
N/A
10/15/2049
9,745‌
(1,637‌)
(11‌)
(1,648‌)
United
Kingdom
Retail
Prices
Index
Receive
3.11%
Annual
Annual
N/A
01/15/2050
4,100‌
(500‌)
39‌
(461‌)
United
Kingdom
Retail
Prices
Index
Pay
3.27%
Annual
Annual
N/A
10/15/2044
9,745‌
1,294‌
(55‌)
1,239‌
United
Kingdom
Retail
Prices
Index
Pay
3.29%
Annual
Annual
N/A
03/15/2030
10,270‌
(59‌)
(17‌)
(76‌)
United
Kingdom
Retail
Prices
Index
Pay
3.22%
Annual
Annual
N/A
01/15/2045
4,100‌
363‌
(31‌)
332‌
United
Kingdom
Retail
Prices
Index
Receive
3.36%
Annual
Annual
N/A
01/15/2035
5,400‌
(153‌)
23‌
(130‌)
United
Kingdom
Retail
Prices
Index
Pay
3.31%
Annual
Annual
N/A
01/15/2040
5,400‌
267‌
(34‌)
233‌
United
Kingdom
Retail
Prices
Index
Pay
3.24%
Annual
Annual
N/A
01/15/2045
4,000‌
404‌
(29‌)
375‌
United
Kingdom
Retail
Prices
Index
Pay
3.34%
Annual
Annual
N/A
01/15/2040
5,200‌
332‌
(32‌)
300‌
United
Kingdom
Retail
Prices
Index
Receive
3.39%
Annual
Annual
N/A
01/15/2035
5,200‌
(195‌)
22‌
(173‌)
United
Kingdom
Retail
Prices
Index
Pay
3.40%
Annual
Annual
N/A
08/15/2028
21,695‌
1,034‌
(146‌)
888‌
Total
$
1,797‌
$
(441‌)
$
1,356‌
Amounts
in
thousands.
(a)    
Forward
swap.
Schedule
of
Investments
International
Emerging
Markets
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
115
INVESTMENT
COMPANIES
-
0.64%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.64%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
1,663,840‌
$
1,664‌
TOTAL
INVESTMENT
COMPANIES
$
1,664‌
COMMON
STOCKS
-
96.99%
Shares
Held
Value
(000's)
Automobile
Manufacturers
-
3.33%
Ashok
Leyland
Ltd
1,718,598‌
$
1,114‌
Eicher
Motors
Ltd
2,904‌
800‌
Hyundai
Motor
Co
20,948‌
2,234‌
Kia
Motors
Corp
62,992‌
2,144‌
Maruti
Suzuki
India
Ltd
21,539‌
1,800‌
Tofas
Turk
Otomobil
Fabrikasi
AS
144,930‌
527‌
$
8,619‌
Automobile
Parts
&
Equipment
-
0.42%
Weichai
Power
Co
Ltd
506,000‌
1,084‌
Banks
-
8.55%
Banco
do
Brasil
SA
269,200‌
1,741‌
Bank
Rakyat
Indonesia
Persero
Tbk
PT
4,243,300‌
922‌
Commercial
International
Bank
Egypt
SAE
234,122‌
903‌
Credicorp
Ltd
22,304‌
2,836‌
Grupo
Financiero
Banorte
SAB
de
CV
(b)
487,500‌
1,746‌
HDFC
Bank
Ltd
146,504‌
2,024‌
ICICI
Bank
Ltd
(b)
326,143‌
1,518‌
Kotak
Mahindra
Bank
Ltd
(b)
43,812‌
798‌
Postal
Savings
Bank
of
China
Co
Ltd
(d)
1,100,000‌
606‌
PT
Bank
Central
Asia
Tbk
1,721,000‌
3,686‌
Sberbank
of
Russia
PJSC
ADR
(b)
294,674‌
3,497‌
Shinhan
Financial
Group
Co
Ltd
74,631‌
1,873‌
$
22,150‌
Beverages
-
1.73%
Arca
Continental
SAB
de
CV
184,600‌
926‌
Kweichow
Moutai
Co
Ltd
11,800‌
2,838‌
Thai
Beverage
PCL
1,512,200‌
709‌
$
4,473‌
Building
Materials
-
3.10%
Anhui
Conch
Cement
Co
Ltd
315,564‌
2,778‌
China
Lesso
Group
Holdings
Ltd
1,006,000‌
1,946‌
Huaxin
Cement
Co
Ltd
481,405‌
1,891‌
UltraTech
Cement
Ltd
25,724‌
1,413‌
$
8,028‌
Chemicals
-
0.64%
Asian
Paints
Ltd
72,783‌
1,666‌
Commercial
Services
-
1.66%
China
New
Higher
Education
Group
Ltd
(d)
301,000‌
209‌
New
Oriental
Education
&
Technology
Group
Inc
ADR
(b)
20,463‌
2,869‌
NICE
Information
Service
Co
Ltd
71,764‌
1,223‌
$
4,301‌
Computers
-
0.23%
Wiwynn
Corp
22,000‌
590‌
Consumer
Products
-
0.97%
Hindustan
Unilever
Ltd
84,971‌
2,507‌
Cosmetics
&
Personal
Care
-
0.24%
Colgate-Palmolive
India
Ltd
32,887‌
625‌
Distribution
&
Wholesale
-
0.39%
LG
Corp
16,458‌
1,022‌
Diversified
Financial
Services
-
4.04%
B3
SA
-
Brasil
Bolsa
Balcao
163,277‌
1,996‌
Fubon
Financial
Holding
Co
Ltd
904,000‌
1,287‌
Housing
Development
Finance
Corp
Ltd
160,844‌
3,825‌
KB
Financial
Group
Inc
63,410‌
1,877‌
Tisco
Financial
Group
PCL
701,200‌
1,465‌
$
10,450‌
Electrical
Components
&
Equipment
-
0.76%
Delta
Electronics
Inc
286,000‌
1,955‌
Electronics
-
0.28%
Taiwan
Union
Technology
Corp
157,000‌
728‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Energy
-
Alternate
Sources
-
0.55%
Sao
Martinho
SA
346,529‌
$
1,435‌
Engineering
&
Construction
-
0.61%
Frontken
Corp
Bhd
726,100‌
606‌
Grupo
Aeroportuario
del
Pacifico
SAB
de
CV
143,400‌
967‌
$
1,573‌
Food
-
2.92%
Dino
Polska
SA
(b),(d)
23,382‌
1,295‌
Indofood
Sukses
Makmur
Tbk
PT
2,416,500‌
1,071‌
Minerva
SA/Brazil
(b)
520,000‌
1,356‌
Nestle
India
Ltd
2,953‌
650‌
Tingyi
Cayman
Islands
Holding
Corp
1,222,000‌
2,278‌
X5
Retail
Group
NV
24,092‌
904‌
$
7,554‌
Gas
-
1.22%
China
Resources
Gas
Group
Ltd
164,000‌
809‌
ENN
Energy
Holdings
Ltd
194,800‌
2,361‌
$
3,170‌
Healthcare
-
Services
-
0.31%
Pharmaron
Beijing
Co
Ltd
(d)
72,700‌
791‌
Holding
Companies
-
Diversified
-
0.57%
KOC
Holding
AS
144,778‌
336‌
Swire
Pacific
Ltd
233,000‌
1,147‌
$
1,483‌
Home
Furnishings
-
0.55%
Gree
Electric
Appliances
Inc
of
Zhuhai
174,683‌
1,424‌
Insurance
-
2.32%
AIA
Group
Ltd
139,000‌
1,253‌
ICICI
Lombard
General
Insurance
Co
Ltd
(d)
72,594‌
1,263‌
ICICI
Prudential
Life
Insurance
Co
Ltd
(d)
110,371‌
667‌
PICC
Property
&
Casualty
Co
Ltd
2,336,000‌
1,846‌
Qualitas
Controladora
SAB
de
CV
243,900‌
987‌
$
6,016‌
Internet
-
24.69%
AfreecaTV
Co
Ltd
9,845‌
521‌
Alibaba
Group
Holding
Ltd
(b)
675,324‌
21,189‌
JD.com
Inc
ADR
(b)
57,342‌
3,658‌
Meituan
Dianping
(b)
199,000‌
4,925‌
MercadoLibre
Inc
(b)
2,580‌
2,902‌
Naspers
Ltd
28,723‌
5,226‌
NCSoft
Corp
2,610‌
1,778‌
Tencent
Holdings
Ltd
295,500‌
20,271‌
Tencent
Music
Entertainment
Group
ADR
(b)
68,850‌
1,111‌
Vipshop
Holdings
Ltd
ADR
(b)
103,017‌
2,346‌
$
63,927‌
Iron
&
Steel
-
1.33%
Eregli
Demir
ve
Celik
Fabrikalari
TAS
1,092,025‌
1,193‌
Severstal
PAO
133,522‌
1,626‌
Ternium
SA
ADR
(b)
44,226‌
637‌
$
3,456‌
Lodging
-
0.57%
Galaxy
Entertainment
Group
Ltd
97,000‌
661‌
NagaCorp
Ltd
752,000‌
804‌
$
1,465‌
Metal
Fabrication
&
Hardware
-
0.03%
Astral
Poly
Technik
Ltd
5,704‌
73‌
Mining
-
2.46%
Anglo
American
PLC
42,313‌
1,024‌
Antofagasta
PLC
28,705‌
382‌
Impala
Platinum
Holdings
Ltd
144,415‌
1,289‌
Polymetal
International
PLC
41,875‌
1,036‌
Polyus
PJSC
23,188‌
2,651‌
$
6,382‌
Miscellaneous
Manufacturers
-
1.97%
Elite
Material
Co
Ltd
141,000‌
852‌
Escorts
Ltd
41,061‌
622‌
Lens
Technology
Co
Ltd
237,100‌
1,114‌
Pidilite
Industries
Ltd
59,913‌
1,084‌
Schedule
of
Investments
International
Emerging
Markets
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
116
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Miscellaneous
Manufacturers
(continued)
Sunny
Optical
Technology
Group
Co
Ltd
76,300‌
$
1,433‌
$
5,105‌
Oil
&
Gas
-
4.18%
LUKOIL
PJSC
ADR
43,816‌
2,972‌
Petrobras
Distribuidora
SA
188,100‌
822‌
Reliance
Industries
Ltd
254,470‌
7,038‌
$
10,832‌
Pharmaceuticals
-
0.44%
Sino
Biopharmaceutical
Ltd
873,000‌
1,140‌
Real
Estate
-
2.04%
A-Living
Services
Co
Ltd
(d)
280,000‌
1,581‌
Shenzhen
Overseas
Chinese
Town
Co
Ltd
1,017,990‌
1,046‌
Shimao
Group
Holdings
Ltd
623,000‌
2,644‌
$
5,271‌
Retail
-
3.68%
China
Meidong
Auto
Holdings
Ltd
316,000‌
883‌
Home
Product
Center
PCL
4,208,100‌
2,106‌
Li
Ning
Co
Ltd
327,000‌
1,054‌
Lojas
Renner
SA
191,040‌
1,504‌
Magazine
Luiza
SA
72,800‌
1,121‌
Wal-Mart
de
Mexico
SAB
de
CV
1,210,400‌
2,849‌
$
9,517‌
Semiconductors
-
16.99%
ASPEED
Technology
Inc
21,000‌
838‌
Keystone
Microtech
Corp
79,000‌
935‌
MediaTek
Inc
152,000‌
3,629‌
Powertech
Technology
Inc
234,000‌
782‌
Realtek
Semiconductor
Corp
(b)
166,000‌
2,118‌
Samsung
Electronics
Co
Ltd
257,720‌
12,596‌
SK
Hynix
Inc
46,928‌
3,286‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
1,360,685‌
19,803‌
$
43,987‌
Software
-
1.93%
Bilibili
Inc
ADR
(b)
27,003‌
1,177‌
NetEase
Inc
ADR
8,357‌
3,831‌
$
5,008‌
Telecommunications
-
0.71%
Accton
Technology
Corp
234,000‌
1,833‌
Transportation
-
0.58%
Hyundai
Glovis
Co
Ltd
15,934‌
1,494‌
TOTAL
COMMON
STOCKS
$
251,134‌
PREFERRED
STOCKS
-
0.89%
Shares
Held
Value
(000's)
Semiconductors
-
0.21%
Samsung
Electronics
Co
Ltd
1417.00%
13,335‌
$
557‌
Telecommunications
-
0.68%
Telefonica
Brasil
SA
2.68%
172,200‌
1,751‌
TOTAL
PREFERRED
STOCKS
$
2,308‌
Total
Investments
$
255,106‌
Other
Assets
and
Liabilities
-  1.48%
3,829‌
TOTAL
NET
ASSETS
-
100.00%
$
258,935‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$6,412
or
2.48%
of
net
assets.
Portfolio
Summary  (unaudited)
Location
Percent
China
34.19‌%
Taiwan
13.66‌%
Korea,
Republic
Of
11.81‌%
India
11.41‌%
Brazil
4.52‌%
Russian
Federation
4.50‌%
Hong
Kong
2.95‌%
Mexico
2.88‌%
South
Africa
2.52‌%
Indonesia
2.19‌%
Thailand
1.66‌%
Argentina
1.12‌%
Peru
1.10‌%
Turkey
0.79‌%
United
States
0.64‌%
Poland
0.50‌%
Cyprus
0.40‌%
United
Kingdom
0.39‌%
Egypt
0.35‌%
Cambodia
0.31‌%
Luxembourg
0.24‌%
Malaysia
0.24‌%
Chile
0.15‌%
Other
Assets
and
Liabilities
1.48‌%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,949‌
$
83,327‌
$
83,612‌
$
1,664‌
$
1,949‌
$
83,327‌
$
83,612‌
$
1,664‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
17‌
$
—‌
$
—‌
$
—‌
$
17‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
International
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
117
INVESTMENT
COMPANIES
-
0.00%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.00%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
100‌
$
—‌
TOTAL
INVESTMENT
COMPANIES
$
—‌
COMMON
STOCKS
-
99.73%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
0.53%
Aselsan
Elektronik
Sanayi
Ve
Ticaret
AS
328,000‌
$
1,652‌
Agriculture
-
0.57%
British
American
Tobacco
PLC
54,000‌
1,785‌
Apparel
-
2.53%
Kering
SA
5,211‌
2,953‌
LVMH
Moet
Hennessy
Louis
Vuitton
SE
11,378‌
4,948‌
$
7,901‌
Automobile
Manufacturers
-
0.63%
Toyota
Motor
Corp
33,000‌
1,959‌
Automobile
Parts
&
Equipment
-
0.57%
Weichai
Power
Co
Ltd
831,000‌
1,780‌
Banks
-
7.59%
Banca
Generali
SpA
59,000‌
1,765‌
China
Merchants
Bank
Co
Ltd
942,500‌
4,399‌
DBS
Group
Holdings
Ltd
144,900‌
2,093‌
Macquarie
Group
Ltd
27,346‌
2,403‌
National
Bank
of
Canada
80,000‌
3,777‌
OTP
Bank
Nyrt
(b)
36,000‌
1,289‌
Royal
Bank
of
Canada
29,800‌
2,056‌
Sberbank
of
Russia
PJSC
ADR
(b)
194,243‌
2,305‌
Svenska
Handelsbanken
AB
(b)
382,000‌
3,603‌
$
23,690‌
Biotechnology
-
0.52%
Genmab
A/S
(b)
4,700‌
1,618‌
Building
Materials
-
2.32%
Anhui
Conch
Cement
Co
Ltd
418,400‌
3,164‌
China
Resources
Cement
Holdings
Ltd
970,000‌
1,328‌
Sika
AG
12,460‌
2,738‌
$
7,230‌
Chemicals
-
0.70%
Soulbrain
Holdings
Co
Ltd
(d)
27,000‌
2,173‌
Commercial
Services
-
1.48%
Ashtead
Group
PLC
90,137‌
2,870‌
QinetiQ
Group
PLC
439,000‌
1,757‌
$
4,627‌
Computers
-
5.23%
BayCurrent
Consulting
Inc
17,400‌
2,108‌
Bechtle
AG
13,000‌
2,530‌
Gigabyte
Technology
Co
Ltd
710,000‌
2,034‌
Itochu
Techno-Solutions
Corp
67,500‌
2,741‌
Nomura
Research
Institute
Ltd
67,900‌
1,792‌
Otsuka
Corp
31,500‌
1,642‌
Teleperformance
6,822‌
1,997‌
Wiwynn
Corp
55,000‌
1,475‌
$
16,319‌
Cosmetics
&
Personal
Care
-
1.40%
L'Oreal
SA
13,000‌
4,363‌
Diversified
Financial
Services
-
3.77%
Amundi
SA
(b),(e)
19,500‌
1,484‌
Azimut
Holding
SpA
152,892‌
2,913‌
Deutsche
Boerse
AG
8,500‌
1,546‌
E.Sun
Financial
Holding
Co
Ltd
2,675,969‌
2,476‌
Euronext
NV
(e)
17,000‌
1,964‌
IG
Group
Holdings
PLC
144,000‌
1,376‌
$
11,759‌
Electric
-
2.21%
Enel
SpA
192,000‌
1,759‌
Iberdrola
SA
399,000‌
5,157‌
$
6,916‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electrical
Components
&
Equipment
-
1.19%
LG
Innotek
Co
Ltd
13,000‌
$
1,765‌
Schneider
Electric
SE
17,000‌
1,949‌
$
3,714‌
Electronics
-
3.08%
Compeq
Manufacturing
Co
Ltd
1,012,000‌
1,677‌
FLEXium
Interconnect
Inc
423,000‌
2,048‌
Halma
PLC
72,800‌
2,068‌
Micro-Star
International
Co
Ltd
436,000‌
1,940‌
Tripod
Technology
Corp
433,000‌
1,880‌
$
9,613‌
Energy
-
Alternate
Sources
-
0.67%
SolarEdge
Technologies
Inc
(b)
12,000‌
2,101‌
Engineering
&
Construction
-
1.23%
HomeServe
PLC
142,000‌
2,458‌
Obayashi
Corp
156,000‌
1,393‌
$
3,851‌
Entertainment
-
1.00%
Evolution
Gaming
Group
AB
(e)
46,000‌
3,122‌
Food
-
4.41%
a2
Milk
Co
Ltd
(b)
113,000‌
1,574‌
Coles
Group
Ltd
118,000‌
1,530‌
Magnit
PJSC
121,000‌
1,793‌
Metro
Inc
/CN
67,500‌
2,961‌
Nestle
SA
25,000‌
2,973‌
WH
Group
Ltd
(e)
1,223,000‌
1,089‌
X5
Retail
Group
NV
49,000‌
1,839‌
$
13,759‌
Gas
-
1.24%
ENN
Energy
Holdings
Ltd
319,400‌
3,872‌
Home
Builders
-
1.28%
Berkeley
Group
Holdings
PLC
45,783‌
2,656‌
Open
House
Co
Ltd
47,000‌
1,327‌
$
3,983‌
Home
Furnishings
-
0.55%
Sony
Corp
22,000‌
1,709‌
Insurance
-
7.33%
Allianz
SE
8,123‌
1,685‌
Assicurazioni
Generali
SpA
128,000‌
1,922‌
BB
Seguridade
Participacoes
SA
191,000‌
1,020‌
Japan
Post
Insurance
Co
Ltd
137,114‌
1,823‌
Legal
&
General
Group
PLC
1,156,230‌
3,201‌
Manulife
Financial
Corp
191,000‌
2,560‌
Ping
An
Insurance
Group
Co
of
China
Ltd
165,670‌
1,748‌
Power
Corp
of
Canada
70,350‌
1,248‌
Sun
Life
Financial
Inc
85,500‌
3,333‌
Swiss
Life
Holding
AG
5,764‌
2,106‌
Tokio
Marine
Holdings
Inc
53,037‌
2,239‌
$
22,885‌
Internet
-
7.44%
Alibaba
Group
Holding
Ltd
ADR
(b)
34,600‌
8,685‌
JD.com
Inc
ADR
(b)
30,200‌
1,927‌
Masmovil
Ibercom
SA
(b)
58,000‌
1,551‌
NCSoft
Corp
2,600‌
1,772‌
Tencent
Holdings
Ltd
107,500‌
7,374‌
Vipshop
Holdings
Ltd
ADR
(b)
85,000‌
1,935‌
$
23,244‌
Iron
&
Steel
-
1.63%
Fortescue
Metals
Group
Ltd
248,000‌
3,087‌
Mineral
Resources
Ltd
109,500‌
2,016‌
$
5,103‌
Machinery
-
Diversified
-
1.19%
Atlas
Copco
AB
-
A
Shares
84,000‌
3,729‌
Media
-
0.44%
Wolters
Kluwer
NV
17,500‌
1,381‌
Schedule
of
Investments
International
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
118
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Mining
-
6.49%
Anglo
American
PLC
95,500‌
$
2,312‌
BHP
Group
PLC
73,000‌
1,579‌
Centamin
PLC
680,000‌
1,820‌
Centerra
Gold
Inc
155,000‌
1,944‌
Kirkland
Lake
Gold
Ltd
33,500‌
1,829‌
Polymetal
International
PLC
141,000‌
3,488‌
Regis
Resources
Ltd
853,000‌
3,476‌
Rio
Tinto
Ltd
22,000‌
1,610‌
Saracen
Mineral
Holdings
Ltd
(b)
508,000‌
2,214‌
$
20,272‌
Miscellaneous
Manufacturers
-
1.35%
Elite
Material
Co
Ltd
446,000‌
2,695‌
Siemens
AG
12,000‌
1,529‌
$
4,224‌
Oil
&
Gas
-
1.49%
Beach
Energy
Ltd
1,542,000‌
1,545‌
Reliance
Industries
Ltd
(e)
57,000‌
3,123‌
$
4,668‌
Pharmaceuticals
-
9.23%
Astellas
Pharma
Inc
184,000‌
2,870‌
AstraZeneca
PLC
14,000‌
1,547‌
Chugai
Pharmaceutical
Co
Ltd
63,000‌
2,844‌
Hikma
Pharmaceuticals
PLC
41,000‌
1,149‌
Novo
Nordisk
A/S
29,000‌
1,903‌
Roche
Holding
AG
24,140‌
8,361‌
Sanofi
29,000‌
3,045‌
Sawai
Pharmaceutical
Co
Ltd
33,000‌
1,567‌
Shionogi
&
Co
Ltd
29,000‌
1,725‌
Sino
Biopharmaceutical
Ltd
1,269,000‌
1,658‌
UCB
SA
16,800‌
2,159‌
$
28,828‌
Private
Equity
-
0.56%
Partners
Group
Holding
AG
1,820‌
1,763‌
Real
Estate
-
0.55%
TAG
Immobilien
AG
(b)
65,000‌
1,709‌
Retail
-
2.36%
Alimentation
Couche-Tard
Inc
58,000‌
2,016‌
ANTA
Sports
Products
Ltd
192,600‌
1,828‌
B&M
European
Value
Retail
SA
288,000‌
1,732‌
JB
Hi-Fi
Ltd
55,000‌
1,801‌
$
7,377‌
Semiconductors
-
8.44%
Lasertec
Corp
28,500‌
2,516‌
Novatek
Microelectronics
Corp
421,000‌
4,173‌
Realtek
Semiconductor
Corp
(b)
315,000‌
4,019‌
Samsung
Electronics
Co
Ltd
91,000‌
4,448‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
233,854‌
3,403‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
ADR
70,700‌
5,578‌
Tokyo
Electron
Ltd
8,000‌
2,214‌
$
26,351‌
Software
-
3.48%
Constellation
Software
Inc
/Canada
1,650‌
1,952‌
NetEase
Inc
ADR
7,471‌
3,425‌
Nexon
Co
Ltd
86,000‌
2,210‌
Open
Text
Corp
38,000‌
1,710‌
TIS
Inc
73,000‌
1,563‌
$
10,860‌
Telecommunications
-
3.05%
Accton
Technology
Corp
201,000‌
1,575‌
KDDI
Corp
138,000‌
4,388‌
Nice
Ltd
(b)
8,300‌
1,705‌
Telefonaktiebolaget
LM
Ericsson
160,000‌
1,861‌
$
9,529‌
TOTAL
COMMON
STOCKS
$
311,419‌
Total
Investments
$
311,419‌
Other
Assets
and
Liabilities
-  0.27%
855‌
TOTAL
NET
ASSETS
-
100.00%
$
312,274‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
(d)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$2,173
or
0.70%
of
net
assets.
(e)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$10,782
or
3.45%
of
net
assets.
Portfolio
Summary  (unaudited)
Location
Percent
Japan
13.01‌%
China
12.85‌%
Taiwan
11.20‌%
Canada
8.14‌%
United
Kingdom
8.11‌%
France
6.64‌%
Australia
6.29‌%
Switzerland
5.74‌%
Sweden
3.94‌%
Korea,
Republic
Of
3.26‌%
Germany
2.89‌%
Italy
2.68‌%
Spain
2.14‌%
Russian
Federation
1.91‌%
Hong
Kong
1.31‌%
Israel
1.22‌%
Denmark
1.13‌%
Cyprus
1.12‌%
Netherlands
1.07‌%
India
1.00‌%
Belgium
0.69‌%
Singapore
0.67‌%
Jersey,
Channel
Islands
0.58‌%
Turkey
0.53‌%
New
Zealand
0.50‌%
Hungary
0.41‌%
Jordan
0.37‌%
Brazil
0.33‌%
United
States
0.00‌%
Other
Assets
and
Liabilities
0.27‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
International
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
119
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
3,998‌
$
87,779‌
$
91,777‌
$
—‌
$
3,998‌
$
87,779‌
$
91,777‌
$
—‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
14‌
$
—‌
$
—‌
$
—‌
$
14‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
120
INVESTMENT
COMPANIES
-
2.43%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.87%
Technology
Select
Sector
SPDR
Fund
ETP
533,664‌
$
58,932‌
Vanguard
Mega
Cap
Growth
ETF
254,778‌
44,849‌
$
103,781‌
Money
Market
Funds
-
1.56%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
3,445,962‌
3,446‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
181,438,174‌
181,438‌
$
184,884‌
TOTAL
INVESTMENT
COMPANIES
$
288,665‌
COMMON
STOCKS
-
97.09%
Shares
Held
Value
(000's)
Advertising
-
0.01%
Trade
Desk
Inc
/The
(d)
3,569‌
$
1,611‌
Aerospace
&
Defense
-
1.12%
HEICO
Corp
3,164‌
304‌
HEICO
Corp
-
Class
A
5,511‌
422‌
L3Harris
Technologies
Inc
705,681‌
118,787‌
Lockheed
Martin
Corp
22,718‌
8,610‌
Mercury
Systems
Inc
(d)
3,916‌
303‌
Northrop
Grumman
Corp
13,632‌
4,431‌
TransDigm
Group
Inc
1,020‌
440‌
$
133,297‌
Agriculture
-
0.03%
Altria
Group
Inc
77,022‌
3,169‌
Apparel
-
0.13%
NIKE
Inc
161,070‌
15,722‌
VF
Corp
1,668‌
101‌
$
15,823‌
Automobile
Manufacturers
-
0.16%
Tesla
Inc
(d)
13,574‌
19,421‌
Automobile
Parts
&
Equipment
-
0.41%
Allison
Transmission
Holdings
Inc
6,434‌
241‌
Aptiv
PLC
623,554‌
48,481‌
$
48,722‌
Banks
-
0.22%
Goldman
Sachs
Group
Inc
/The
131,353‌
26,003‌
Beverages
-
1.40%
Boston
Beer
Co
Inc
/The
(d)
762‌
618‌
Brown-Forman
Corp
-
A
Shares
3,387‌
214‌
Brown-Forman
Corp
-
B
Shares
2,018,227‌
139,944‌
Coca-Cola
Co/The
215,583‌
10,184‌
Monster
Beverage
Corp
(d)
32,573‌
2,556‌
PepsiCo
Inc
96,786‌
13,324‌
$
166,840‌
Biotechnology
-
2.40%
ACADIA
Pharmaceuticals
Inc
(d)
9,640‌
401‌
Acceleron
Pharma
Inc
(d)
3,803‌
377‌
Alexion
Pharmaceuticals
Inc
(d)
2,887‌
296‌
Alnylam
Pharmaceuticals
Inc
(d)
10,076‌
1,469‌
Amgen
Inc
55,920‌
13,682‌
Biogen
Inc
(d)
4,349‌
1,194‌
BioMarin
Pharmaceutical
Inc
(d)
14,444‌
1,730‌
Bluebird
Bio
Inc
(d)
2,550‌
155‌
Exact
Sciences
Corp
(d)
11,389‌
1,079‌
Exelixis
Inc
(d)
9,718‌
224‌
Guardant
Health
Inc
(d)
6,547‌
558‌
Illumina
Inc
(d)
378,871‌
144,790‌
Immunomedics
Inc
(d)
18,158‌
767‌
Incyte
Corp
(d)
331,082‌
32,698‌
Ionis
Pharmaceuticals
Inc
(d)
5,664‌
326‌
Iovance
Biotherapeutics
Inc
(d)
11,924‌
346‌
Livongo
Health
Inc
(d),(e)
4,748‌
604‌
Moderna
Inc
(d)
23,692‌
1,755‌
Regeneron
Pharmaceuticals
Inc
(d)
8,869‌
5,606‌
Sage
Therapeutics
Inc
(d)
356‌
16‌
Seattle
Genetics
Inc
(d)
10,730‌
1,784‌
Vertex
Pharmaceuticals
Inc
(d)
274,476‌
74,658‌
$
284,515‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Building
Materials
-
0.01%
Armstrong
World
Industries
Inc
1,551‌
$
111‌
Carrier
Global
Corp
27,498‌
749‌
Trex
Co
Inc
(d)
5,097‌
710‌
$
1,570‌
Chemicals
-
1.61%
Air
Products
and
Chemicals
Inc
2,474‌
709‌
Ecolab
Inc
4,374‌
818‌
FMC
Corp
2,247‌
238‌
NewMarket
Corp
500‌
188‌
RPM
International
Inc
9,421‌
769‌
Sherwin-Williams
Co/The
290,511‌
188,228‌
W
R
Grace
&
Co
1,894‌
87‌
$
191,037‌
Commercial
Services
-
6.76%
2U
Inc
(d)
1,881‌
89‌
Automatic
Data
Processing
Inc
30,425‌
4,044‌
Avalara
Inc
(d)
6,781‌
912‌
Booz
Allen
Hamilton
Holding
Corp
12,133‌
992‌
Bright
Horizons
Family
Solutions
Inc
(d)
3,526‌
378‌
Chegg
Inc
(d)
10,674‌
864‌
Cintas
Corp
554,889‌
167,505‌
CoreLogic
Inc
/United
States
380‌
26‌
CoStar
Group
Inc
(d)
52,922‌
44,971‌
Equifax
Inc
7,915‌
1,287‌
FleetCor
Technologies
Inc
(d)
7,272‌
1,880‌
Gartner
Inc
(d)
7,628‌
951‌
Global
Payments
Inc
789,213‌
140,496‌
H&R
Block
Inc
11,936‌
173‌
IHS
Markit
Ltd
19,083‌
1,541‌
MarketAxess
Holdings
Inc
3,250‌
1,679‌
Moody's
Corp
14,893‌
4,189‌
Morningstar
Inc
1,597‌
268‌
Paylocity
Holding
Corp
(d)
3,049‌
406‌
PayPal
Holdings
Inc
(d)
1,941,856‌
380,740‌
Quanta
Services
Inc
2,433‌
97‌
Rollins
Inc
11,435‌
599‌
S&P
Global
Inc
113,603‌
39,789‌
Square
Inc
(d)
33,728‌
4,380‌
StoneCo
Ltd
(d)
13,683‌
653‌
TransUnion
15,262‌
1,367‌
Verisk
Analytics
Inc
15,041‌
2,838‌
WEX
Inc
(d)
350‌
55‌
$
803,169‌
Computers
-
4.60%
Accenture
PLC
-
Class
A
53,476‌
12,020‌
Apple
Inc
824,264‌
350,345‌
CACI
International
Inc
(d)
376‌
78‌
Crowdstrike
Holdings
Inc
(d)
164,289‌
18,598‌
Dell
Technologies
Inc
(d)
879‌
53‌
EPAM
Systems
Inc
(d)
4,685‌
1,359‌
Fortinet
Inc
(d)
11,724‌
1,621‌
Genpact
Ltd
4,005,809‌
159,511‌
Globant
SA
(d)
3,187‌
551‌
Leidos
Holdings
Inc
1,149‌
109‌
Lumentum
Holdings
Inc
(d)
753‌
70‌
NetApp
Inc
10,580‌
469‌
Pure
Storage
Inc
(d)
12,183‌
218‌
Science
Applications
International
Corp
704‌
56‌
Zscaler
Inc
(d)
6,198‌
805‌
$
545,863‌
Consumer
Products
-
0.04%
Avery
Dennison
Corp
3,021‌
342‌
Church
&
Dwight
Co
Inc
21,683‌
2,089‌
Clorox
Co/The
7,888‌
1,865‌
Reynolds
Consumer
Products
Inc
1,254‌
43‌
$
4,339‌
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
121
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Cosmetics
&
Personal
Care
-
1.28%
Estee
Lauder
Cos
Inc
/The
703,149‌
$
138,900‌
Procter
&
Gamble
Co/The
103,488‌
13,569‌
$
152,469‌
Distribution
&
Wholesale
-
0.05%
Copart
Inc
(d)
17,916‌
1,671‌
Fastenal
Co
40,962‌
1,927‌
IAA
Inc
(d)
2,815‌
122‌
Pool
Corp
3,416‌
1,082‌
WW
Grainger
Inc
2,880‌
983‌
$
5,785‌
Diversified
Financial
Services
-
3.98%
Ares
Management
Corp
8,646‌
345‌
Cboe
Global
Markets
Inc
2,102‌
184‌
Charles
Schwab
Corp/The
472,866‌
15,676‌
Credit
Acceptance
Corp
(d),(e)
63‌
29‌
Intercontinental
Exchange
Inc
16,783‌
1,624‌
LendingTree
Inc
(d),(e)
658‌
228‌
LPL
Financial
Holdings
Inc
584‌
46‌
Mastercard
Inc
723,401‌
223,191‌
SLM
Corp
8,138‌
55‌
T
Rowe
Price
Group
Inc
5,068‌
700‌
Tradeweb
Markets
Inc
6,150‌
333‌
Virtu
Financial
Inc
4,916‌
122‌
Visa
Inc
1,155,712‌
220,048‌
Western
Union
Co/The
7,009‌
170‌
XP
Inc
(d)
209,185‌
9,727‌
$
472,478‌
Electric
-
0.68%
NextEra
Energy
Inc
204,737‌
57,470‌
NRG
Energy
Inc
7,439‌
251‌
Sempra
Energy
181,787‌
22,625‌
$
80,346‌
Electrical
Components
&
Equipment
-
0.01%
Energizer
Holdings
Inc
4,339‌
217‌
Generac
Holdings
Inc
(d)
4,911‌
774‌
Universal
Display
Corp
3,783‌
660‌
$
1,651‌
Electronics
-
3.63%
Agilent
Technologies
Inc
2,345‌
226‌
Allegion
plc
5,278‌
525‌
Amphenol
Corp
820,526‌
86,779‌
Coherent
Inc
(d)
1,755‌
244‌
Fortive
Corp
2,130,240‌
149,521‌
Jabil
Inc
2,629‌
92‌
Keysight
Technologies
Inc
(d)
5,542‌
553‌
Mettler
-Toledo
International
Inc
(d)
1,953‌
1,826‌
PerkinElmer
Inc
1,902‌
226‌
Roper
Technologies
Inc
442,371‌
191,303‌
Waters
Corp
(d)
426‌
91‌
$
431,386‌
Energy
-
Alternate
Sources
-
0.01%
Enphase
Energy
Inc
(d)
9,313‌
562‌
SolarEdge
Technologies
Inc
(d)
4,306‌
754‌
$
1,316‌
Engineering
&
Construction
-
0.00%
frontdoor
Inc
(d)
1,354‌
57‌
Entertainment
-
0.20%
DraftKings
Inc
(d),(e)
685,746‌
22,887‌
Live
Nation
Entertainment
Inc
(d)
12,505‌
585‌
Vail
Resorts
Inc
301‌
58‌
$
23,530‌
Environmental
Control
-
0.00%
Waste
Management
Inc
4,807‌
527‌
Food
-
0.05%
Beyond
Meat
Inc
(d)
3,623‌
456‌
Campbell
Soup
Co
7,706‌
382‌
Grocery
Outlet
Holding
Corp
(d)
3,272‌
144‌
Hershey
Co/The
10,044‌
1,460‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Food
(continued)
Kellogg
Co
7,503‌
$
518‌
Lamb
Weston
Holdings
Inc
2,944‌
177‌
McCormick
&
Co
Inc
/MD
6,112‌
1,191‌
Pilgrim's
Pride
Corp
(d)
1,554‌
24‌
Sprouts
Farmers
Market
Inc
(d)
8,755‌
231‌
Sysco
Corp
30,461‌
1,610‌
$
6,193‌
Hand
&
Machine
Tools
-
0.00%
Lincoln
Electric
Holdings
Inc
2,141‌
194‌
MSA
Safety
Inc
760‌
90‌
$
284‌
Healthcare
-
Products
-
8.69%
10X
Genomics
Inc
(d)
4,795‌
472‌
Abbott
Laboratories
63,056‌
6,346‌
ABIOMED
Inc
(d)
3,901‌
1,170‌
Adaptive
Biotechnologies
Corp
(d)
6,269‌
234‌
Align
Technology
Inc
(d)
6,884‌
2,023‌
Avantor
Inc
(d)
1,368,706‌
30,221‌
Baxter
International
Inc
18,839‌
1,627‌
Bio-
Techne
Corp
3,146‌
866‌
Bruker
Corp
3,866‌
172‌
Cooper
Cos
Inc
/The
517‌
146‌
Danaher
Corp
978,536‌
199,426‌
Edwards
Lifesciences
Corp
(d)
1,794,592‌
140,714‌
Haemonetics
Corp
(d)
4,094‌
359‌
Hill-Rom
Holdings
Inc
734‌
71‌
Hologic
Inc
(d)
15,783‌
1,101‌
ICU
Medical
Inc
(d)
492‌
90‌
IDEXX
Laboratories
Inc
(d)
7,978‌
3,173‌
Insulet
Corp
(d)
5,556‌
1,130‌
Intuitive
Surgical
Inc
(d)
447,662‌
306,845‌
Masimo
Corp
(d)
4,241‌
934‌
Novocure
Ltd
(d)
8,762‌
664‌
Penumbra
Inc
(d)
2,821‌
626‌
Quidel
Corp
(d)
3,274‌
925‌
Repligen
Corp
(d)
4,602‌
694‌
ResMed
Inc
13,594‌
2,753‌
STERIS
PLC
419‌
67‌
Stryker
Corp
466,303‌
90,137‌
Tandem
Diabetes
Care
Inc
(d)
4,592‌
480‌
Teleflex
Inc
2,574‌
960‌
Thermo
Fisher
Scientific
Inc
569,461‌
235,729‌
Varian
Medical
Systems
Inc
(d)
1,005‌
143‌
West
Pharmaceutical
Services
Inc
6,471‌
1,740‌
$
1,032,038‌
Healthcare
-
Services
-
2.31%
Amedisys
Inc
(d)
2,783‌
652‌
Anthem
Inc
106,781‌
29,237‌
Centene
Corp
(d)
470,996‌
30,733‌
Charles
River
Laboratories
International
Inc
(d)
3,813‌
759‌
Chemed
Corp
1,364‌
671‌
DaVita
Inc
(d)
1,218‌
106‌
Encompass
Health
Corp
3,880‌
264‌
HCA
Healthcare
Inc
423,367‌
53,615‌
Humana
Inc
106,719‌
41,881‌
IQVIA
Holdings
Inc
(d)
6,355‌
1,007‌
Laboratory
Corp
of
America
Holdings
(d)
468‌
90‌
Molina
Healthcare
Inc
(d)
3,480‌
643‌
PPD
Inc
(d)
4,611‌
135‌
Syneos
Health
Inc
(d)
630‌
39‌
Teladoc
Health
Inc
(d)
5,885‌
1,399‌
UnitedHealth
Group
Inc
372,304‌
112,727‌
$
273,958‌
Home
Builders
-
0.00%
NVR
Inc
(d)
28‌
110‌
Home
Furnishings
-
0.00%
Dolby
Laboratories
Inc
700‌
48‌
Tempur
Sealy
International
Inc
(d)
3,085‌
250‌
$
298‌
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
122
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Housewares
-
0.01%
Scotts
Miracle-
Gro
Co/The
3,345‌
$
530‌
Toro
Co/The
8,489‌
606‌
$
1,136‌
Insurance
-
0.09%
Alleghany
Corp
122‌
64‌
Aon
PLC
20,247‌
4,155‌
Axis
Capital
Holdings
Ltd
695‌
28‌
Brown
&
Brown
Inc
1,176‌
53‌
Erie
Indemnity
Co
1,265‌
266‌
Lincoln
National
Corp
2,248‌
84‌
Marsh
&
McLennan
Cos
Inc
34,723‌
4,049‌
Primerica
Inc
2,186‌
261‌
Progressive
Corp/The
14,865‌
1,343‌
RenaissanceRe
Holdings
Ltd
1,456‌
263‌
$
10,566‌
Internet
-
21.76%
Alibaba
Group
Holding
Ltd
ADR
(d)
808,378‌
202,919‌
Alphabet
Inc
-
A
Shares
(d)
171,776‌
255,594‌
Alphabet
Inc
-
C
Shares
(d)
233,264‌
345,921‌
Amazon.com
Inc
(d)
290,003‌
917,766‌
Anaplan
Inc
(d)
11,489‌
522‌
Booking
Holdings
Inc
(d)
30,648‌
50,941‌
CDW
Corp/DE
12,510‌
1,454‌
eBay
Inc
57,905‌
3,201‌
Etsy
Inc
(d)
10,406‌
1,232‌
Expedia
Group
Inc
1,333‌
108‌
Facebook
Inc
(d)
1,364,185‌
346,053‌
FireEye
Inc
(d)
4,663‌
70‌
GoDaddy
Inc
(d)
14,597‌
1,026‌
Grubhub
Inc
(d)
831‌
60‌
IAC/InterActiveCorp
(d)
166,413‌
22,037‌
Match
Group
Inc
(d)
390,736‌
40,129‌
Netflix
Inc
(d)
260,983‌
127,589‌
NortonLifeLock
Inc
49,180‌
1,055‌
Okta
Inc
(d)
10,905‌
2,410‌
Palo
Alto
Networks
Inc
(d)
8,620‌
2,206‌
Pinterest
Inc
(d)
29,405‌
1,008‌
Proofpoint
Inc
(d)
4,990‌
577‌
Roku
Inc
(d)
8,968‌
1,389‌
Snap
Inc
Class
A
(d)
2,104,847‌
47,191‌
Spotify
Technology
SA
(d)
309,788‌
79,869‌
Tencent
Holdings
Ltd
ADR
1,479,146‌
101,307‌
Uber
Technologies
Inc
(d)
92,625‌
2,803‌
VeriSign
Inc
(d)
5,346‌
1,132‌
Wayfair
Inc
(d)
5,291‌
1,408‌
Wix.com
Ltd
(d)
84,488‌
24,542‌
Zendesk
Inc
(d)
9,964‌
908‌
Zillow
Group
Inc
-
A
Shares
(d)
596‌
41‌
Zillow
Group
Inc
-
C
Shares
(d)
1,403‌
96‌
$
2,584,564‌
Leisure
Products
&
Services
-
0.00%
Peloton
Interactive
Inc
(d)
2,093‌
143‌
Planet
Fitness
Inc
(d)
4,012‌
210‌
Polaris
Inc
563‌
58‌
Virgin
Galactic
Holdings
Inc
(d),(e)
4,560‌
102‌
$
513‌
Lodging
-
0.24%
Hilton
Worldwide
Holdings
Inc
319,440‌
23,974‌
Las
Vegas
Sands
Corp
12,506‌
546‌
Wynn
Resorts
Ltd
50,048‌
3,625‌
$
28,145‌
Machinery
-
Construction
&
Mining
-
0.00%
BWX
Technologies
Inc
5,374‌
293‌
Vertiv
Holdings
Co
(d)
17,539‌
254‌
$
547‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Machinery
-
Diversified
-
0.29%
Cognex
Corp
14,523‌
$
971‌
Graco
Inc
7,278‌
387‌
Ingersoll
Rand
Inc
(d)
982,844‌
31,048‌
Nordson
Corp
4,136‌
801‌
Rockwell
Automation
Inc
4,967‌
1,084‌
$
34,291‌
Media
-
0.09%
Altice
USA
Inc
(d)
28,527‌
770‌
Cable
One
Inc
446‌
813‌
Charter
Communications
Inc
(d)
12,334‌
7,154‌
FactSet
Research
Systems
Inc
3,272‌
1,133‌
Liberty
Media
Corp-Liberty
SiriusXM
-
A
Shares
(d)
906‌
31‌
Liberty
Media
Corp-Liberty
SiriusXM
-
C
Shares
(d)
1,894‌
66‌
Nexstar
Media
Group
Inc
2,574‌
226‌
Sirius
XM
Holdings
Inc
62,503‌
367‌
World
Wrestling
Entertainment
Inc
4,045‌
189‌
$
10,749‌
Mining
-
0.01%
Royal
Gold
Inc
4,136‌
579‌
Miscellaneous
Manufacturers
-
0.07%
3M
Co
35,232‌
5,301‌
Axon
Enterprise
Inc
(d)
5,456‌
454‌
Donaldson
Co
Inc
1,231‌
59‌
Illinois
Tool
Works
Inc
12,314‌
2,278‌
$
8,092‌
Office
&
Business
Equipment
-
0.01%
Zebra
Technologies
Corp
(d)
4,228‌
1,187‌
Oil
&
Gas
-
0.12%
Concho
Resources
Inc
274,255‌
14,409‌
Packaging
&
Containers
-
0.02%
Amcor
PLC
21,179‌
218‌
Ball
Corp
26,341‌
1,939‌
Berry
Global
Group
Inc
(d)
3,978‌
199‌
Crown
Holdings
Inc
(d)
1,257‌
90‌
Graphic
Packaging
Holding
Co
5,704‌
80‌
$
2,526‌
Pharmaceuticals
-
5.17%
AbbVie
Inc
157,321‌
14,931‌
Agios
Pharmaceuticals
Inc
(d)
555‌
25‌
AmerisourceBergen
Corp
6,166‌
618‌
Becton
Dickinson
and
Co
163,876‌
46,105‌
Bristol-Myers
Squibb
Co
72,609‌
4,259‌
Cardinal
Health
Inc
25,798‌
1,409‌
Cigna
Corp
532,964‌
92,037‌
DexCom
Inc
(d)
445,722‌
194,130‌
Eli
Lilly
and
Co
80,021‌
12,026‌
Global
Blood
Therapeutics
Inc
(d)
5,158‌
348‌
Herbalife
Nutrition
Ltd
(d)
1,279‌
66‌
Horizon
Therapeutics
Plc
(d)
14,996‌
918‌
Johnson
&
Johnson
33,567‌
4,893‌
McKesson
Corp
10,617‌
1,594‌
Merck
&
Co
Inc
209,766‌
16,832‌
Neurocrine
Biosciences
Inc
(d)
8,109‌
976‌
PRA
Health
Sciences
Inc
(d)
4,736‌
505‌
Reata
Pharmaceuticals
Inc
(d)
1,868‌
276‌
Sarepta
Therapeutics
Inc
(d)
6,561‌
1,007‌
Zoetis
Inc
1,457,780‌
221,116‌
$
614,071‌
Pipelines
-
0.01%
Cheniere
Energy
Inc
(d)
20,403‌
1,010‌
Equitrans
Midstream
Corp
3,534‌
34‌
$
1,044‌
Private
Equity
-
0.00%
Apollo
Global
Management
Inc
7,458‌
366‌
Carlyle
Group
Inc
/The
1,030‌
30‌
$
396‌
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
123
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
-
1.97%
American
Tower
Corp
40,450‌
$
10,573‌
Americold
Realty
Trust
1,866‌
75‌
Brookfield
Property
REIT
Inc
4,838‌
56‌
CoreSite
Realty
Corp
2,386‌
308‌
Crown
Castle
International
Corp
35,455‌
5,910‌
Equinix
Inc
8,066‌
6,336‌
Equity
LifeStyle
Properties
Inc
6,283‌
429‌
Extra
Space
Storage
Inc
7,826‌
809‌
Iron
Mountain
Inc
14,773‌
417‌
Public
Storage
8,685‌
1,736‌
SBA
Communications
Corp
661,499‌
206,083‌
Simon
Property
Group
Inc
21,122‌
1,317‌
$
234,049‌
Retail
-
5.40%
AutoZone
Inc
(d)
1,215‌
1,467‌
Best
Buy
Co
Inc
3,642‌
363‌
Burlington
Stores
Inc
(d)
5,121‌
963‌
CarMax
Inc
(d)
238,853‌
23,161‌
Carvana
Co
(d)
435,347‌
67,457‌
Chipotle
Mexican
Grill
Inc
(d)
26,420‌
30,520‌
Costco
Wholesale
Corp
424,153‌
138,074‌
Dollar
General
Corp
390,822‌
74,412‌
Dollar
Tree
Inc
(d)
9,893‌
924‌
Domino's
Pizza
Inc
3,433‌
1,327‌
Dunkin'
Brands
Group
Inc
6,156‌
423‌
Five
Below
Inc
(d)
4,811‌
524‌
Floor
&
Decor
Holdings
Inc
(d)
7,158‌
472‌
Home
Depot
Inc
/The
47,453‌
12,598‌
Lowe's
Cos
Inc
69,271‌
10,315‌
Lululemon
Athletica
Inc
(d)
569,146‌
185,309‌
McDonald's
Corp
7,642‌
1,485‌
Ollie's
Bargain
Outlet
Holdings
Inc
(d)
4,142‌
435‌
O'Reilly
Automotive
Inc
(d)
6,455‌
3,081‌
Ross
Stores
Inc
845,242‌
75,793‌
Starbucks
Corp
59,580‌
4,560‌
TJX
Cos
Inc
/The
85,734‌
4,457‌
Tractor
Supply
Co
10,191‌
1,455‌
Ulta
Beauty
Inc
(d)
4,414‌
852‌
Wendy's
Co/The
15,804‌
366‌
Williams-Sonoma
Inc
1,102‌
96‌
Yum
China
Holdings
Inc
2,191‌
112‌
Yum!
Brands
Inc
1,992‌
181‌
$
641,182‌
Semiconductors
-
2.60%
Advanced
Micro
Devices
Inc
(d)
588,854‌
45,594‌
Analog
Devices
Inc
131‌
15‌
Applied
Materials
Inc
76,729‌
4,936‌
ASML
Holding
NV
-
NY
Reg
Shares
171,630‌
60,709‌
Broadcom
Inc
30,799‌
9,756‌
Entegris
Inc
11,055‌
795‌
Inphi
Corp
(d)
4,212‌
550‌
IPG
Photonics
Corp
(d)
213‌
38‌
KLA
Corp
13,693‌
2,736‌
Lam
Research
Corp
12,150‌
4,583‌
Marvell
Technology
Group
Ltd
747,164‌
27,249‌
Maxim
Integrated
Products
Inc
7,774‌
529‌
Microchip
Technology
Inc
15,531‌
1,580‌
MKS
Instruments
Inc
3,621‌
461‌
Monolithic
Power
Systems
Inc
3,836‌
1,017‌
NVIDIA
Corp
49,363‌
20,959‌
NXP
Semiconductors
NV
927,980‌
109,066‌
QUALCOMM
Inc
99,434‌
10,501‌
Teradyne
Inc
14,586‌
1,298‌
Texas
Instruments
Inc
33,012‌
4,211‌
Xilinx
Inc
21,547‌
2,313‌
$
308,896‌
Shipbuilding
-
0.00%
Huntington
Ingalls
Industries
Inc
354‌
61‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
-
19.04%
Activision
Blizzard
Inc
26,630‌
$
2,200‌
Adobe
Inc
(d)
311,408‌
138,365‌
Akamai
Technologies
Inc
(d)
11,618‌
1,306‌
Alteryx
Inc
(d)
4,641‌
814‌
ANSYS
Inc
(d)
7,555‌
2,347‌
Aspen
Technology
Inc
(d)
5,553‌
540‌
Atlassian
Corp
PLC
(d)
11,021‌
1,947‌
Autodesk
Inc
(d)
795,643‌
188,114‌
Bill.com
Holdings
Inc
(d)
1,415‌
132‌
Black
Knight
Inc
(d)
12,734‌
954‌
Broadridge
Financial
Solutions
Inc
10,090‌
1,355‌
Cadence
Design
Systems
Inc
(d)
24,320‌
2,657‌
CDK
Global
Inc
1,456‌
66‌
Ceridian
HCM
Holding
Inc
(d)
6,577‌
515‌
Cerner
Corp
26,839‌
1,864‌
Change
Healthcare
Inc
(d)
15,670‌
183‌
Citrix
Systems
Inc
2,955‌
422‌
Cloudflare
Inc
(d)
9,612‌
400‌
Coupa
Software
Inc
(d)
5,855‌
1,794‌
Datadog
Inc
(d)
13,443‌
1,262‌
DocuSign
Inc
(d)
16,721‌
3,626‌
Dropbox
Inc
-
A
Shares
(d)
21,635‌
492‌
Dynatrace
Inc
(d)
13,388‌
560‌
Elastic
NV
(d)
4,817‌
463‌
Electronic
Arts
Inc
(d)
1,837,981‌
260,294‌
Everbridge
Inc
(d)
3,021‌
431‌
Fair
Isaac
Corp
(d)
2,466‌
1,083‌
Fastly
Inc
(d)
6,421‌
620‌
Fidelity
National
Information
Services
Inc
341,839‌
50,014‌
Fiserv
Inc
(d)
9,249‌
923‌
Five9
Inc
(d)
5,439‌
657‌
Guidewire
Software
Inc
(d)
1,389‌
163‌
HubSpot
Inc
(d)
3,647‌
856‌
Intuit
Inc
976,799‌
299,262‌
Jack
Henry
&
Associates
Inc
5,262‌
938‌
Manhattan
Associates
Inc
(d)
4,972‌
476‌
Medallia
Inc
(d)
7,218‌
222‌
Microsoft
Corp
3,810,228‌
781,134‌
MongoDB
Inc
(d)
73,083‌
16,742‌
MSCI
Inc
7,849‌
2,951‌
New
Relic
Inc
(d)
4,437‌
315‌
Nutanix
Inc
(d)
15,707‌
349‌
Oracle
Corp
147,968‌
8,205‌
Paychex
Inc
22,363‌
1,608‌
Paycom
Software
Inc
(d)
4,343‌
1,235‌
Pegasystems
Inc
3,122‌
365‌
Pluralsight
Inc
(d)
8,266‌
175‌
PTC
Inc
(d)
9,198‌
787‌
RealPage
Inc
(d)
6,767‌
426‌
RingCentral
Inc
(d)
6,737‌
1,956‌
salesforce.com
Inc
(d)
1,293,494‌
252,038‌
ServiceNow
Inc
(d)
153,846‌
67,569‌
Slack
Technologies
Inc
(d)
547,306‌
16,173‌
Smartsheet
Inc
(d)
9,737‌
465‌
Snowflake
Inc
-
Class
B
(d),(f),(g)
10,583‌
410‌
Splunk
Inc
(d)
360,228‌
75,583‌
SS&C
Technologies
Holdings
Inc
4,138‌
238‌
Stripe
Inc
-
Class
B
(d),(f),(g),(h)
114,126‌
1,791‌
Synopsys
Inc
(d)
170,743‌
34,015‌
Take-Two
Interactive
Software
Inc
(d)
9,169‌
1,504‌
Teradata
Corp
(d)
7,411‌
156‌
Twilio
Inc
(d)
10,136‌
2,812‌
Tyler
Technologies
Inc
(d)
3,453‌
1,234‌
Veeva
Systems
Inc
(d)
12,669‌
3,352‌
VMware
Inc
(d)
6,966‌
977‌
Workday
Inc
(d)
78,367‌
14,179‌
Zoom
Video
Communications
Inc
(d)
15,861‌
4,027‌
Zynga
Inc
(d)
64,328‌
632‌
$
2,261,720‌
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
124
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Telecommunications
-
0.01%
Arista
Networks
Inc
(d)
4,253‌
$
1,105‌
CommScope
Holding
Co
Inc
(d)
1,128‌
10‌
LogMeIn
Inc
379‌
33‌
Motorola
Solutions
Inc
318‌
44‌
PagerDuty
Inc
(d)
6,036‌
184‌
Switch
Inc
7,767‌
140‌
Ubiquiti
Inc
610‌
113‌
$
1,629‌
Toys,
Games
&
Hobbies
-
0.00%
Mattel
Inc
(d)
17,957‌
200‌
Transportation
-
0.39%
CH
Robinson
Worldwide
Inc
1,832‌
172‌
Expeditors
International
of
Washington
Inc
8,971‌
758‌
JB
Hunt
Transport
Services
Inc
93,450‌
12,092‌
Landstar
System
Inc
2,728‌
332‌
Norfolk
Southern
Corp
104,025‌
19,995‌
Old
Dominion
Freight
Line
Inc
7,414‌
1,355‌
Union
Pacific
Corp
30,588‌
5,303‌
United
Parcel
Service
Inc
41,117‌
5,870‌
XPO
Logistics
Inc
(d)
427‌
32‌
$
45,909‌
TOTAL
COMMON
STOCKS
$
11,534,266‌
CONVERTIBLE
PREFERRED
STOCKS
-
0.12%
Shares
Held
Value
(000's)
Automobile
Manufacturers
-
0.04%
Waymo
LLC
Series
A-2
0.00%
(d),(f),(g)
48,770‌
$
4,188‌
Internet
-
0.08%
Airbnb
Inc
-
Series
D
0.00%
(d),(f),(g),(h)
121,527‌
7,951‌
Airbnb
Inc
-
Series
E
0.00%
(d),(f),(g),(h)
29,361‌
1,921‌
$
9,872‌
TOTAL
CONVERTIBLE
PREFERRED
STOCKS
$
14,060‌
PREFERRED
STOCKS
-
0.50%
Shares
Held
Value
(000's)
Automobile
Manufacturers
-
0.39%
Rivian
Automotive
Series
D
0.00%
(d),(f),(g),(h)
1,213,721‌
18,801‌
Rivian
Automotive
Series
E
0.00%
(d),(f),(g)
1,774,321‌
27,484‌
$
46,285‌
Internet
-
0.01%
Doordash
0.00%
(d),(f),(g)
7,400‌
$
1,699‌
Software
-
0.07%
Magic
Leap
Inc
-
Series
C
0.00%
(d),(f),(g),(h)
168,788‌
778‌
Magic
Leap
Inc
-
Series
D
0.00%
(d),(f),(g),(h)
48,744‌
263‌
UIPATH
Inc
Series
D-1
0.00%
(d),(f),(g),(h)
345,675‌
6,427‌
UIPATH
Inc
Series
D-2
0.00%
(d),(f),(g),(h)
58,044‌
1,079‌
UIPATH
Inc
Series
E
0.00%
(d),(f),(g)
9,487‌
176‌
$
8,723‌
Telecommunications
-
0.03%
Aurora
Innovation
0.00%
(d),(f),(g),(h)
327,430‌
3,026‌
TOTAL
PREFERRED
STOCKS
$
59,733‌
Total
Investments
$
11,896,724‌
Other
Assets
and
Liabilities
-  (0.14)%
(16,578‌)
TOTAL
NET
ASSETS
-
100.00%
$
11,880,146‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$3,446
or
0.03%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(f)
Restricted
Security.
Please
see
Restricted
Security
sub-schedule
for
additional
information.
(g)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$75,994
or
0.64%
of
net
assets.
(h)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Non-cyclical
28.13‌%
Technology
26.32‌%
Communications
21.99‌%
Consumer,
Cyclical
7.03‌%
Financial
6.26‌%
Industrial
5.54‌%
Basic
Materials
1.62‌%
Money
Market
Funds
1.56‌%
Investment
Companies
0.87‌%
Utilities
0.68‌%
Energy
0.14‌%
Other
Assets
and
Liabilities
(0.14‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
LargeCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
125
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
99,165‌
$
3,012,948‌
$
2,930,675‌
$
181,438‌
Principal
Millennials
Index
ETF
474‌
—‌
507‌
—‌
Principal
Price
Setters
Index
ETF
159‌
—‌
163‌
—‌
Principal
Sustainable
Momentum
Index
ETF
53‌
—‌
53‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
398‌
—‌
391‌
—‌
$
100,249‌
$
3,012,948‌
$
2,931,789‌
$
181,438‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
852‌
$
—‌
$
—‌
$
—‌
Principal
Millennials
Index
ETF
3‌
94‌
—‌
(61‌)
Principal
Price
Setters
Index
ETF
2‌
26‌
—‌
(22‌)
Principal
Sustainable
Momentum
Index
ETF
—‌
3‌
—‌
(3‌)
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
4‌
30‌
—‌
(37‌)
$
861‌
$
153‌
$
—‌
$
(123‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Restricted
Securities
Security
Name
Acquisition
Date
Cost
Value
Percent
of
Net
Assets
Airbnb
Inc
-
Series
D  
0.00%
04/16/2014
$
4,948‌
$
7,951‌
0.07%
Airbnb
Inc
-
Series
E  
0.00%
07/14/2015
2,733‌
1,921‌
0.01%
Aurora
Innovation  
0.00%
03/01/2019
3,026‌
3,026‌
0.03%
Doordash
0.00%
06/17/2020
1,699‌
1,699‌
0.01%
Magic
Leap
Inc
-
Series
C  
0.00%
01/20/2016
3,888‌
778‌
0.01%
Magic
Leap
Inc
-
Series
D  
0.00%
10/12/2017
1,316‌
263‌
0.00%
Rivian
Automotive
Series
D  
0.00%
12/23/2019
13,040‌
18,801‌
0.16%
Rivian
Automotive
Series
E  
0.00%
07/10/2020
27,484‌
27,484‌
0.23%
Snowflake
Inc
-
Class
B
03/17/2020
410‌
410‌
0.00%
Stripe
Inc
-
Class
B
12/17/2019
1,791‌
1,791‌
0.02%
UIPATH
Inc
Series
D-1  
0.00%
04/26/2019
4,534‌
6,427‌
0.05%
UIPATH
Inc
Series
D-2  
0.00%
04/26/2019
761‌
1,079‌
0.01%
UIPATH
Inc
Series
E  
0.00%
07/09/2020
176‌
176‌
0.00%
Waymo
LLC
Series
A-2  
0.00%
05/08/2020
4,188‌
4,188‌
0.04%
Total
$
75,994‌
0.64%
Amounts
in
thousands.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
500
Emini
;
September
2020
Long
545‌
$
88,930‌
$
2,147‌
Total
$
2,147‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
126
INVESTMENT
COMPANIES
-
1.88%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.25%
iShares
Core
S&P
500
ETF
47,300‌
$
15,506‌
Money
Market
Funds
-
1.63%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
2,804,349‌
2,804‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
97,736,926‌
97,737‌
$
100,541‌
TOTAL
INVESTMENT
COMPANIES
$
116,047‌
COMMON
STOCKS
-
97.99%
Shares
Held
Value
(000's)
Advertising
-
0.07%
Interpublic
Group
of
Cos
Inc/The
86,945‌
$
1,570‌
Omnicom
Group
Inc
47,819‌
2,569‌
$
4,139‌
Aerospace
&
Defense
-
1.52%
Boeing
Co/The
119,637‌
18,903‌
General
Dynamics
Corp
51,854‌
7,609‌
Howmet
Aerospace
Inc
85,642‌
1,266‌
L3Harris
Technologies
Inc
48,173‌
8,109‌
Lockheed
Martin
Corp
55,072‌
20,871‌
Northrop
Grumman
Corp
34,598‌
11,245‌
Raytheon
Technologies
Corp
328,217‌
18,603‌
Teledyne
Technologies
Inc
(d)
8,183‌
2,510‌
TransDigm
Group
Inc
11,223‌
4,843‌
$
93,959‌
Agriculture
-
0.80%
Altria
Group
Inc
414,710‌
17,065‌
Archer-Daniels-Midland
Co
123,963‌
5,309‌
Philip
Morris
International
Inc
347,487‌
26,691‌
$
49,065‌
Airlines
-
0.18%
Alaska
Air
Group
Inc
27,356‌
942‌
American
Airlines
Group
Inc
(e)
110,909‌
1,233‌
Delta
Air
Lines
Inc
126,679‌
3,163‌
Southwest
Airlines
Co
119,689‌
3,697‌
United
Airlines
Holdings
Inc
(d)
56,386‌
1,770‌
$
10,805‌
Apparel
-
0.58%
Hanesbrands
Inc
77,667‌
1,098‌
NIKE
Inc
276,720‌
27,011‌
PVH
Corp
15,830‌
770‌
Ralph
Lauren
Corp
10,661‌
760‌
Tapestry
Inc
61,614‌
823‌
Under
Armour
Inc
-
Class
A
(d)
42,054‌
442‌
Under
Armour
Inc
-
Class
C
(d)
43,852‌
416‌
VF
Corp
71,156‌
4,295‌
$
35,615‌
Automobile
Manufacturers
-
0.42%
Cummins
Inc
32,921‌
6,362‌
Ford
Motor
Co
871,697‌
5,762‌
General
Motors
Co
281,034‌
6,995‌
PACCAR
Inc
77,152‌
6,564‌
$
25,683‌
Automobile
Parts
&
Equipment
-
0.10%
Aptiv
PLC
59,818‌
4,651‌
BorgWarner
Inc
46,263‌
1,693‌
$
6,344‌
Banks
-
4.09%
Bank
of
America
Corp
1,742,430‌
43,352‌
Bank
of
New
York
Mellon
Corp/The
179,810‌
6,446‌
Citigroup
Inc
464,572‌
23,233‌
Citizens
Financial
Group
Inc
95,204‌
2,362‌
Comerica
Inc
31,027‌
1,195‌
Fifth
Third
Bancorp
158,869‌
3,155‌
First
Republic
Bank/CA
38,265‌
4,304‌
Goldman
Sachs
Group
Inc/The
69,067‌
13,673‌
Huntington
Bancshares
Inc/OH
226,330‌
2,098‌
JPMorgan
Chase
&
Co
679,968‌
65,712‌
KeyCorp
217,670‌
2,614‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
M&T
Bank
Corp
28,625‌
$
3,033‌
Morgan
Stanley
267,232‌
13,062‌
Northern
Trust
Corp
46,429‌
3,638‌
PNC
Financial
Services
Group
Inc/The
94,677‌
10,099‌
Regions
Financial
Corp
213,562‌
2,319‌
State
Street
Corp
78,542‌
5,010‌
SVB
Financial
Group
(d)
11,495‌
2,578‌
Truist
Financial
Corp
300,698‌
11,264‌
US
Bancorp
305,888‌
11,269‌
Wells
Fargo
&
Co
832,603‌
20,199‌
Zions
Bancorp
NA
36,567‌
1,188‌
$
251,803‌
Beverages
-
1.64%
Brown-Forman
Corp
-
B
Shares
40,697‌
2,822‌
Coca-Cola
Co/The
862,596‌
40,749‌
Constellation
Brands
Inc
37,480‌
6,679‌
Molson
Coors
Beverage
Co
41,966‌
1,575‌
Monster
Beverage
Corp
(d)
83,428‌
6,547‌
PepsiCo
Inc
309,632‌
42,624‌
$
100,996‌
Biotechnology
-
1.95%
Alexion
Pharmaceuticals
Inc
(d)
49,279‌
5,051‌
Amgen
Inc
131,273‌
32,118‌
Biogen
Inc
(d)
36,418‌
10,004‌
Bio-Rad
Laboratories
Inc
(d)
4,771‌
2,504‌
Corteva
Inc
167,004‌
4,770‌
Gilead
Sciences
Inc
279,840‌
19,457‌
Illumina
Inc
(d)
32,805‌
12,537‌
Incyte
Corp
(d)
40,262‌
3,976‌
Regeneron
Pharmaceuticals
Inc
(d)
22,511‌
14,228‌
Vertex
Pharmaceuticals
Inc
(d)
57,860‌
15,738‌
$
120,383‌
Building
Materials
-
0.38%
Carrier
Global
Corp
181,693‌
4,949‌
Fortune
Brands
Home
&
Security
Inc
31,177‌
2,385‌
Johnson
Controls
International
plc
165,999‌
6,388‌
Martin
Marietta
Materials
Inc
13,890‌
2,878‌
Masco
Corp
58,859‌
3,364‌
Vulcan
Materials
Co
29,554‌
3,470‌
$
23,434‌
Chemicals
-
1.71%
Air
Products
and
Chemicals
Inc
49,287‌
14,127‌
Albemarle
Corp
23,726‌
1,956‌
Celanese
Corp
26,384‌
2,565‌
CF
Industries
Holdings
Inc
47,711‌
1,495‌
Dow
Inc
165,300‌
6,787‌
DuPont
de
Nemours
Inc
163,753‌
8,758‌
Eastman
Chemical
Co
30,326‌
2,263‌
Ecolab
Inc
55,185‌
10,324‌
FMC
Corp
28,888‌
3,064‌
International
Flavors
&
Fragrances
Inc
23,845‌
3,003‌
Linde
PLC
117,200‌
28,727‌
LyondellBasell
Industries
NV
57,342‌
3,585‌
Mosaic
Co/The
77,815‌
1,048‌
PPG
Industries
Inc
52,648‌
5,668‌
Sherwin-Williams
Co/The
18,035‌
11,685‌
$
105,055‌
Commercial
Services
-
2.42%
Automatic
Data
Processing
Inc
95,908‌
12,747‌
Cintas
Corp
18,809‌
5,678‌
Equifax
Inc
27,088‌
4,403‌
FleetCor
Technologies
Inc
(d)
18,702‌
4,836‌
Gartner
Inc
(d)
19,900‌
2,480‌
Global
Payments
Inc
66,748‌
11,882‌
H&R
Block
Inc
42,952‌
623‌
IHS
Markit
Ltd
89,022‌
7,187‌
MarketAxess
Holdings
Inc
8,461‌
4,372‌
Moody's
Corp
35,985‌
10,123‌
Nielsen
Holdings
PLC
79,550‌
1,148‌
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
127
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Commercial
Services
(continued)
PayPal
Holdings
Inc
(d)
262,024‌
$
51,375‌
Quanta
Services
Inc
30,717‌
1,228‌
Robert
Half
International
Inc
25,575‌
1,301‌
Rollins
Inc
31,451‌
1,648‌
S&P
Global
Inc
53,760‌
18,829‌
United
Rentals
Inc
(d)
16,078‌
2,498‌
Verisk
Analytics
Inc
36,210‌
6,833‌
$
149,191‌
Computers
-
7.71%
Accenture
PLC
-
Class
A
142,158‌
31,954‌
Apple
Inc
909,209‌
386,450‌
Cognizant
Technology
Solutions
Corp
120,635‌
8,242‌
DXC
Technology
Co
56,627‌
1,014‌
Fortinet
Inc
(d)
29,941‌
4,141‌
Hewlett
Packard
Enterprise
Co
286,703‌
2,830‌
HP
Inc
319,107‌
5,610‌
International
Business
Machines
Corp
198,140‌
24,359‌
Leidos
Holdings
Inc
29,796‌
2,835‌
NetApp
Inc
49,358‌
2,187‌
Seagate
Technology
PLC
50,395‌
2,279‌
Western
Digital
Corp
66,881‌
2,883‌
$
474,784‌
Consumer
Products
-
0.41%
Avery
Dennison
Corp
18,588‌
2,107‌
Church
&
Dwight
Co
Inc
54,873‌
5,286‌
Clorox
Co/The
27,917‌
6,603‌
Kimberly-Clark
Corp
75,996‌
11,554‌
$
25,550‌
Cosmetics
&
Personal
Care
-
1.58%
Colgate-Palmolive
Co
191,141‌
14,756‌
Coty
Inc
66,410‌
246‌
Estee
Lauder
Cos
Inc/The
50,158‌
9,908‌
Procter
&
Gamble
Co/The
552,460‌
72,439‌
$
97,349‌
Distribution
&
Wholesale
-
0.25%
Copart
Inc
(d)
46,106‌
4,300‌
Fastenal
Co
127,829‌
6,013‌
LKQ
Corp
(d)
67,833‌
1,912‌
WW
Grainger
Inc
9,666‌
3,301‌
$
15,526‌
Diversified
Financial
Services
-
3.82%
American
Express
Co
147,301‌
13,746‌
Ameriprise
Financial
Inc
27,300‌
4,194‌
BlackRock
Inc
34,426‌
19,795‌
Capital
One
Financial
Corp
101,607‌
6,483‌
Cboe
Global
Markets
Inc
24,485‌
2,147‌
Charles
Schwab
Corp/The
255,694‌
8,476‌
CME
Group
Inc
80,021‌
13,298‌
Discover
Financial
Services
68,354‌
3,379‌
Franklin
Resources
Inc
61,898‌
1,303‌
Intercontinental
Exchange
Inc
122,117‌
11,819‌
Invesco
Ltd
83,972‌
843‌
Mastercard
Inc
197,229‌
60,851‌
Nasdaq
Inc
25,630‌
3,366‌
Raymond
James
Financial
Inc
27,216‌
1,891‌
Synchrony
Financial
119,839‌
2,652‌
T
Rowe
Price
Group
Inc
50,779‌
7,013‌
Visa
Inc
376,493‌
71,684‌
Western
Union
Co/The
91,697‌
2,226‌
$
235,166‌
Electric
-
2.89%
AES
Corp/The
148,379‌
2,260‌
Alliant
Energy
Corp
55,679‌
2,998‌
Ameren
Corp
55,096‌
4,421‌
American
Electric
Power
Co
Inc
110,594‌
9,608‌
CenterPoint
Energy
Inc
121,553‌
2,311‌
CMS
Energy
Corp
63,872‌
4,099‌
Consolidated
Edison
Inc
74,558‌
5,728‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electric
(continued)
Dominion
Energy
Inc
187,285‌
$
15,176‌
DTE
Energy
Co
42,983‌
4,970‌
Duke
Energy
Corp
163,989‌
13,896‌
Edison
International
84,340‌
4,695‌
Entergy
Corp
44,668‌
4,696‌
Evergy
Inc
50,599‌
3,280‌
Eversource
Energy
75,080‌
6,762‌
Exelon
Corp
217,447‌
8,396‌
FirstEnergy
Corp
120,897‌
3,506‌
NextEra
Energy
Inc
109,226‌
30,660‌
NRG
Energy
Inc
54,470‌
1,842‌
Pinnacle
West
Capital
Corp
25,104‌
2,086‌
PPL
Corp
171,556‌
4,567‌
Public
Service
Enterprise
Group
Inc
112,835‌
6,312‌
Sempra
Energy
65,281‌
8,125‌
Southern
Co/The
235,645‌
12,869‌
WEC
Energy
Group
Inc
70,392‌
6,706‌
Xcel
Energy
Inc
117,165‌
8,089‌
$
178,058‌
Electrical
Components
&
Equipment
-
0.21%
AMETEK
Inc
51,200‌
4,774‌
Emerson
Electric
Co
133,331‌
8,268‌
$
13,042‌
Electronics
-
1.30%
Agilent
Technologies
Inc
68,906‌
6,638‌
Allegion
plc
20,580‌
2,047‌
Amphenol
Corp
66,031‌
6,984‌
FLIR
Systems
Inc
29,199‌
1,216‌
Fortive
Corp
66,151‌
4,643‌
Garmin
Ltd
32,397‌
3,194‌
Honeywell
International
Inc
156,623‌
23,395‌
Keysight
Technologies
Inc
(d)
41,739‌
4,169‌
Mettler-Toledo
International
Inc
(d)
5,336‌
4,989‌
PerkinElmer
Inc
24,857‌
2,956‌
Roper
Technologies
Inc
23,298‌
10,075‌
TE
Connectivity
Ltd
73,608‌
6,556‌
Waters
Corp
(d)
13,816‌
2,945‌
$
79,807‌
Engineering
&
Construction
-
0.04%
Jacobs
Engineering
Group
Inc
29,033‌
2,478‌
Entertainment
-
0.02%
Live
Nation
Entertainment
Inc
(d)
31,704‌
1,484‌
Environmental
Control
-
0.25%
Pentair
PLC
36,983‌
1,585‌
Republic
Services
Inc
46,882‌
4,090‌
Waste
Management
Inc
86,644‌
9,496‌
$
15,171‌
Food
-
1.22%
Campbell
Soup
Co
37,761‌
1,872‌
Conagra
Brands
Inc
108,695‌
4,070‌
General
Mills
Inc
135,265‌
8,558‌
Hershey
Co/The
32,893‌
4,783‌
Hormel
Foods
Corp
62,541‌
3,181‌
J
M
Smucker
Co/The
25,449‌
2,783‌
Kellogg
Co
55,822‌
3,851‌
Kraft
Heinz
Co/The
139,057‌
4,781‌
Kroger
Co/The
175,444‌
6,104‌
Lamb
Weston
Holdings
Inc
32,590‌
1,958‌
McCormick
&
Co
Inc/MD
27,592‌
5,378‌
Mondelez
International
Inc
318,550‌
17,676‌
Sysco
Corp
113,280‌
5,987‌
Tyson
Foods
Inc
65,678‌
4,036‌
$
75,018‌
Forest
Products
&
Paper
-
0.05%
International
Paper
Co
87,710‌
3,051‌
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
128
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Gas
-
0.08%
Atmos
Energy
Corp
27,295‌
$
2,893‌
NiSource
Inc
85,424‌
2,089‌
$
4,982‌
Hand
&
Machine
Tools
-
0.11%
Snap-on
Inc
12,129‌
1,769‌
Stanley
Black
&
Decker
Inc
34,394‌
5,274‌
$
7,043‌
Healthcare
-
Products
-
4.09%
Abbott
Laboratories
394,732‌
39,726‌
ABIOMED
Inc
(d)
10,033‌
3,009‌
Align
Technology
Inc
(d)
15,996‌
4,700‌
Baxter
International
Inc
113,551‌
9,808‌
Boston
Scientific
Corp
(d)
318,824‌
12,297‌
Cooper
Cos
Inc/The
10,966‌
3,103‌
Danaher
Corp
140,422‌
28,618‌
DENTSPLY
SIRONA
Inc
48,889‌
2,180‌
Edwards
Lifesciences
Corp
(d)
138,284‌
10,843‌
Henry
Schein
Inc
(d)
31,857‌
2,189‌
Hologic
Inc
(d)
57,621‌
4,021‌
IDEXX
Laboratories
Inc
(d)
18,954‌
7,539‌
Intuitive
Surgical
Inc
(d)
26,025‌
17,839‌
Medtronic
PLC
299,272‌
28,874‌
ResMed
Inc
32,283‌
6,538‌
STERIS
PLC
18,957‌
3,026‌
Stryker
Corp
71,936‌
13,905‌
Teleflex
Inc
10,361‌
3,866‌
Thermo
Fisher
Scientific
Inc
88,138‌
36,485‌
Varian
Medical
Systems
Inc
(d)
20,266‌
2,892‌
West
Pharmaceutical
Services
Inc
16,426‌
4,416‌
Zimmer
Biomet
Holdings
Inc
46,150‌
6,224‌
$
252,098‌
Healthcare
-
Services
-
2.02%
Anthem
Inc
56,262‌
15,404‌
Centene
Corp
(d)
129,237‌
8,433‌
DaVita
Inc
(d)
19,027‌
1,663‌
HCA
Healthcare
Inc
58,767‌
7,442‌
Humana
Inc
29,504‌
11,579‌
IQVIA
Holdings
Inc
(d)
39,632‌
6,277‌
Laboratory
Corp
of
America
Holdings
(d)
21,691‌
4,185‌
Quest
Diagnostics
Inc
29,844‌
3,792‌
UnitedHealth
Group
Inc
211,639‌
64,080‌
Universal
Health
Services
Inc
17,333‌
1,905‌
$
124,760‌
Home
Builders
-
0.24%
DR
Horton
Inc
73,825‌
4,884‌
Lennar
Corp
-
A
Shares
61,284‌
4,434‌
NVR
Inc
(d)
772‌
3,034‌
PulteGroup
Inc
56,250‌
2,453‌
$
14,805‌
Home
Furnishings
-
0.06%
Leggett
&
Platt
Inc
29,524‌
1,183‌
Whirlpool
Corp
13,872‌
2,263‌
$
3,446‌
Housewares
-
0.02%
Newell
Brands
Inc
85,177‌
1,397‌
Insurance
-
3.26%
Aflac
Inc
160,118‌
5,695‌
Allstate
Corp/The
70,098‌
6,617‌
American
International
Group
Inc
192,204‌
6,177‌
Aon
PLC
51,569‌
10,583‌
Arthur
J
Gallagher
&
Co
42,315‌
4,548‌
Assurant
Inc
13,312‌
1,431‌
Berkshire
Hathaway
Inc
-
Class
B
(d)
433,826‌
84,934‌
Chubb
Ltd
100,724‌
12,816‌
Cincinnati
Financial
Corp
33,672‌
2,624‌
Everest
Re
Group
Ltd
8,924‌
1,952‌
Globe
Life
Inc
21,852‌
1,739‌
Hartford
Financial
Services
Group
Inc/The
79,908‌
3,382‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
(continued)
Lincoln
National
Corp
43,119‌
$
1,607‌
Loews
Corp
54,011‌
1,967‌
Marsh
&
McLennan
Cos
Inc
113,860‌
13,276‌
MetLife
Inc
172,155‌
6,516‌
Principal
Financial
Group
Inc
56,837‌
2,412‌
Progressive
Corp/The
130,614‌
11,800‌
Prudential
Financial
Inc
88,148‌
5,586‌
Travelers
Cos
Inc/The
56,422‌
6,456‌
Unum
Group
45,395‌
782‌
W
R
Berkley
Corp
31,509‌
1,946‌
Willis
Towers
Watson
PLC
28,728‌
6,033‌
$
200,879‌
Internet
-
11.75%
Alphabet
Inc
-
A
Shares
(d)
66,960‌
99,633‌
Alphabet
Inc
-
C
Shares
(d)
65,266‌
96,787‌
Amazon.com
Inc
(d)
93,498‌
295,891‌
Booking
Holdings
Inc
(d)
9,135‌
15,184‌
CDW
Corp/DE
31,760‌
3,692‌
E*TRADE
Financial
Corp
49,328‌
2,504‌
eBay
Inc
147,400‌
8,148‌
Expedia
Group
Inc
30,229‌
2,449‌
F5
Networks
Inc
(d)
13,589‌
1,847‌
Facebook
Inc
(d)
536,596‌
136,118‌
Netflix
Inc
(d)
98,147‌
47,982‌
NortonLifeLock
Inc
120,931‌
2,594‌
Twitter
Inc
(d)
175,096‌
6,374‌
VeriSign
Inc
(d)
22,690‌
4,803‌
$
724,006‌
Iron
&
Steel
-
0.05%
Nucor
Corp
67,201‌
2,819‌
Leisure
Products
&
Services
-
0.07%
Carnival
Corp
(e)
105,723‌
1,468‌
Norwegian
Cruise
Line
Holdings
Ltd
(d)
60,923‌
831‌
Royal
Caribbean
Cruises
Ltd
38,315‌
1,866‌
$
4,165‌
Lodging
-
0.26%
Hilton
Worldwide
Holdings
Inc
61,873‌
4,644‌
Las
Vegas
Sands
Corp
74,991‌
3,273‌
Marriott
International
Inc/MD
60,059‌
5,034‌
MGM
Resorts
International
110,066‌
1,771‌
Wynn
Resorts
Ltd
21,665‌
1,569‌
$
16,291‌
Machinery
-
Construction
&
Mining
-
0.26%
Caterpillar
Inc
120,782‌
16,050‌
Machinery
-
Diversified
-
0.62%
Deere
&
Co
69,817‌
12,310‌
Dover
Corp
32,123‌
3,306‌
Flowserve
Corp
29,038‌
809‌
IDEX
Corp
16,825‌
2,773‌
Ingersoll
Rand
Inc
(d)
77,162‌
2,438‌
Otis
Worldwide
Corp
90,846‌
5,700‌
Rockwell
Automation
Inc
25,847‌
5,638‌
Westinghouse
Air
Brake
Technologies
Corp
40,341‌
2,509‌
Xylem
Inc/NY
40,149‌
2,930‌
$
38,413‌
Media
-
1.97%
Charter
Communications
Inc
(d)
33,634‌
19,508‌
Comcast
Corp
-
Class
A
1,016,421‌
43,503‌
Discovery
Inc
-
A
Shares
(d)
35,710‌
753‌
Discovery
Inc
-
C
Shares
(d)
70,597‌
1,338‌
DISH
Network
Corp
(d)
57,385‌
1,843‌
Fox
Corp
-
A
Shares
76,464‌
1,970‌
Fox
Corp
-
B
Shares
35,539‌
916‌
News
Corp
-
A
Shares
86,777‌
1,104‌
News
Corp
-
B
Shares
27,174‌
347‌
ViacomCBS
Inc
120,635‌
3,145‌
Walt
Disney
Co/The
403,083‌
47,136‌
$
121,563‌
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
129
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Mining
-
0.27%
Freeport-McMoRan
Inc
324,020‌
$
4,186‌
Newmont
Corp
179,104‌
12,394‌
$
16,580‌
Miscellaneous
Manufacturers
-
1.07%
3M
Co
128,360‌
19,314‌
A
O
Smith
Corp
30,148‌
1,451‌
Eaton
Corp
PLC
89,263‌
8,313‌
General
Electric
Co
1,951,984‌
11,849‌
Illinois
Tool
Works
Inc
64,158‌
11,869‌
Parker-Hannifin
Corp
28,645‌
5,125‌
Textron
Inc
50,801‌
1,775‌
Trane
Technologies
PLC
53,382‌
5,972‌
$
65,668‌
Office
&
Business
Equipment
-
0.06%
Xerox
Holdings
Corp
40,866‌
680‌
Zebra
Technologies
Corp
(d)
11,849‌
3,327‌
$
4,007‌
Oil
&
Gas
-
2.06%
Apache
Corp
84,226‌
1,293‌
Cabot
Oil
&
Gas
Corp
88,945‌
1,663‌
Chevron
Corp
416,632‌
34,972‌
Concho
Resources
Inc
43,895‌
2,306‌
ConocoPhillips
239,321‌
8,948‌
Devon
Energy
Corp
85,403‌
896‌
Diamondback
Energy
Inc
35,218‌
1,404‌
EOG
Resources
Inc
129,888‌
6,085‌
Exxon
Mobil
Corp
943,560‌
39,705‌
Hess
Corp
58,260‌
2,867‌
HollyFrontier
Corp
33,236‌
914‌
Marathon
Oil
Corp
176,364‌
968‌
Marathon
Petroleum
Corp
145,111‌
5,543‌
Noble
Energy
Inc
107,049‌
1,070‌
Occidental
Petroleum
Corp
200,847‌
3,161‌
Occidental
Petroleum
Corp
-
Warrants
(d)
25,875‌
145‌
Phillips
66
97,448‌
6,044‌
Pioneer
Natural
Resources
Co
36,791‌
3,566‌
Valero
Energy
Corp
90,981‌
5,116‌
$
126,666‌
Oil
&
Gas
Services
-
0.20%
Baker
Hughes
Co
146,177‌
2,264‌
Halliburton
Co
195,772‌
2,806‌
National
Oilwell
Varco
Inc
86,635‌
997‌
Schlumberger
Ltd
309,702‌
5,618‌
TechnipFMC
PLC
93,859‌
754‌
$
12,439‌
Packaging
&
Containers
-
0.22%
Amcor
PLC
351,348‌
3,619‌
Ball
Corp
72,750‌
5,357‌
Packaging
Corp
of
America
21,165‌
2,034‌
Sealed
Air
Corp
34,736‌
1,239‌
Westrock
Co
57,854‌
1,554‌
$
13,803‌
Pharmaceuticals
-
5.94%
AbbVie
Inc
393,281‌
37,326‌
AmerisourceBergen
Corp
33,135‌
3,320‌
Becton
Dickinson
and
Co
65,805‌
18,513‌
Bristol-Myers
Squibb
Co
504,938‌
29,620‌
Cardinal
Health
Inc
65,159‌
3,559‌
Cigna
Corp
82,342‌
14,220‌
CVS
Health
Corp
291,689‌
18,359‌
DexCom
Inc
(d)
20,599‌
8,972‌
Eli
Lilly
and
Co
187,942‌
28,246‌
Johnson
&
Johnson
587,931‌
85,697‌
McKesson
Corp
36,119‌
5,423‌
Merck
&
Co
Inc
563,274‌
45,197‌
Mylan
NV
(d)
115,361‌
1,858‌
Perrigo
Co
PLC
30,420‌
1,613‌
Pfizer
Inc
1,239,606‌
47,700‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
(continued)
Zoetis
Inc
105,987‌
$
16,076‌
$
365,699‌
Pipelines
-
0.23%
Kinder
Morgan
Inc
434,015‌
6,120‌
ONEOK
Inc
98,168‌
2,740‌
Williams
Cos
Inc/The
270,735‌
5,179‌
$
14,039‌
Real
Estate
-
0.05%
CBRE
Group
Inc
(d)
74,795‌
3,277‌
REITs
-
2.69%
Alexandria
Real
Estate
Equities
Inc
28,161‌
5,000‌
American
Tower
Corp
98,929‌
25,859‌
Apartment
Investment
and
Management
Co
33,221‌
1,290‌
AvalonBay
Communities
Inc
31,405‌
4,809‌
Boston
Properties
Inc
32,245‌
2,873‌
Crown
Castle
International
Corp
93,001‌
15,503‌
Digital
Realty
Trust
Inc
59,876‌
9,613‌
Duke
Realty
Corp
82,208‌
3,304‌
Equinix
Inc
19,754‌
15,516‌
Equity
Residential
78,061‌
4,186‌
Essex
Property
Trust
Inc
14,599‌
3,223‌
Extra
Space
Storage
Inc
28,807‌
2,977‌
Federal
Realty
Investment
Trust
15,696‌
1,198‌
Healthpeak
Properties
Inc
120,119‌
3,278‌
Host
Hotels
&
Resorts
Inc
157,316‌
1,696‌
Iron
Mountain
Inc
64,243‌
1,811‌
Kimco
Realty
Corp
96,521‌
1,076‌
Mid-America
Apartment
Communities
Inc
25,518‌
3,041‌
Prologis
Inc
164,820‌
17,375‌
Public
Storage
33,546‌
6,705‌
Realty
Income
Corp
76,636‌
4,602‌
Regency
Centers
Corp
37,854‌
1,553‌
SBA
Communications
Corp
24,911‌
7,761‌
Simon
Property
Group
Inc
68,230‌
4,254‌
SL
Green
Realty
Corp
17,081‌
794‌
UDR
Inc
65,806‌
2,382‌
Ventas
Inc
83,254‌
3,194‌
Vornado
Realty
Trust
35,397‌
1,222‌
Welltower
Inc
93,164‌
4,990‌
Weyerhaeuser
Co
166,522‌
4,631‌
$
165,716‌
Retail
-
5.35%
Advance
Auto
Parts
Inc
15,421‌
2,315‌
AutoZone
Inc
(d)
5,211‌
6,292‌
Best
Buy
Co
Inc
50,726‌
5,052‌
CarMax
Inc
(d)
36,318‌
3,522‌
Chipotle
Mexican
Grill
Inc
(d)
5,727‌
6,616‌
Costco
Wholesale
Corp
98,531‌
32,075‌
Darden
Restaurants
Inc
28,983‌
2,200‌
Dollar
General
Corp
56,174‌
10,696‌
Dollar
Tree
Inc
(d)
52,941‌
4,942‌
Domino's
Pizza
Inc
8,731‌
3,375‌
Gap
Inc/The
47,506‌
635‌
Genuine
Parts
Co
32,193‌
2,902‌
Home
Depot
Inc/The
240,013‌
63,721‌
Kohl's
Corp
35,201‌
670‌
L
Brands
Inc
52,080‌
1,271‌
Lowe's
Cos
Inc
168,485‌
25,089‌
McDonald's
Corp
165,931‌
32,237‌
O'Reilly
Automotive
Inc
(d)
16,565‌
7,908‌
Ross
Stores
Inc
79,307‌
7,111‌
Starbucks
Corp
260,671‌
19,949‌
Target
Corp
111,582‌
14,046‌
Tiffany
&
Co
24,371‌
3,055‌
TJX
Cos
Inc/The
267,316‌
13,898‌
Tractor
Supply
Co
25,804‌
3,683‌
Ulta
Beauty
Inc
(d)
12,566‌
2,425‌
Walgreens
Boots
Alliance
Inc
164,437‌
6,694‌
Walmart
Inc
315,987‌
40,889‌
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
130
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
(continued)
Yum!
Brands
Inc
67,167‌
$
6,116‌
$
329,384‌
Savings
&
Loans
-
0.02%
People's
United
Financial
Inc
94,766‌
1,023‌
Semiconductors
-
4.61%
Advanced
Micro
Devices
Inc
(d)
261,361‌
20,237‌
Analog
Devices
Inc
82,218‌
9,443‌
Applied
Materials
Inc
204,520‌
13,157‌
Broadcom
Inc
89,218‌
28,260‌
Intel
Corp
944,851‌
45,098‌
IPG
Photonics
Corp
(d)
7,928‌
1,419‌
KLA
Corp
34,600‌
6,914‌
Lam
Research
Corp
32,395‌
12,218‌
Maxim
Integrated
Products
Inc
59,500‌
4,051‌
Microchip
Technology
Inc
54,748‌
5,570‌
Micron
Technology
Inc
(d)
248,193‌
12,423‌
NVIDIA
Corp
137,273‌
58,285‌
Qorvo
Inc
(d)
25,604‌
3,281‌
QUALCOMM
Inc
251,037‌
26,512‌
Skyworks
Solutions
Inc
37,231‌
5,420‌
Texas
Instruments
Inc
204,809‌
26,123‌
Xilinx
Inc
54,264‌
5,825‌
$
284,236‌
Shipbuilding
-
0.03%
Huntington
Ingalls
Industries
Inc
9,032‌
1,569‌
Software
-
10.14%
Activision
Blizzard
Inc
171,940‌
14,207‌
Adobe
Inc
(d)
107,519‌
47,773‌
Akamai
Technologies
Inc
(d)
36,213‌
4,072‌
ANSYS
Inc
(d)
19,173‌
5,955‌
Autodesk
Inc
(d)
48,916‌
11,565‌
Broadridge
Financial
Solutions
Inc
25,623‌
3,442‌
Cadence
Design
Systems
Inc
(d)
62,303‌
6,807‌
Cerner
Corp
67,918‌
4,717‌
Citrix
Systems
Inc
25,896‌
3,697‌
Electronic
Arts
Inc
(d)
64,423‌
9,124‌
Fidelity
National
Information
Services
Inc
137,875‌
20,172‌
Fiserv
Inc
(d)
125,497‌
12,523‌
Intuit
Inc
58,194‌
17,829‌
Jack
Henry
&
Associates
Inc
17,097‌
3,048‌
Microsoft
Corp
1,692,307‌
346,940‌
MSCI
Inc
18,973‌
7,133‌
Oracle
Corp
464,474‌
25,755‌
Paychex
Inc
71,245‌
5,124‌
Paycom
Software
Inc
(d)
10,767‌
3,062‌
salesforce.com
Inc
(d)
201,065‌
39,178‌
ServiceNow
Inc
(d)
42,558‌
18,691‌
Synopsys
Inc
(d)
33,650‌
6,704‌
Take-Two
Interactive
Software
Inc
(d)
25,427‌
4,171‌
Tyler
Technologies
Inc
(d)
8,874‌
3,170‌
$
624,859‌
Telecommunications
-
2.86%
Arista
Networks
Inc
(d)
11,994‌
3,115‌
AT&T
Inc
1,590,002‌
47,032‌
CenturyLink
Inc
220,424‌
2,127‌
Cisco
Systems
Inc
946,387‌
44,575‌
Corning
Inc
169,377‌
5,251‌
Juniper
Networks
Inc
73,944‌
1,877‌
Motorola
Solutions
Inc
37,952‌
5,306‌
T-Mobile
US
Inc
(d)
129,929‌
13,952‌
Verizon
Communications
Inc
923,427‌
53,078‌
$
176,313‌
Textiles
-
0.02%
Mohawk
Industries
Inc
(d)
13,275‌
1,060‌
Toys,
Games
&
Hobbies
-
0.03%
Hasbro
Inc
28,435‌
2,069‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Transportation
-
1.57%
CH
Robinson
Worldwide
Inc
30,040‌
$
2,815‌
CSX
Corp
170,820‌
12,186‌
Expeditors
International
of
Washington
Inc
37,139‌
3,139‌
FedEx
Corp
53,636‌
9,032‌
JB
Hunt
Transport
Services
Inc
18,827‌
2,436‌
Kansas
City
Southern
21,204‌
3,644‌
Norfolk
Southern
Corp
57,168‌
10,988‌
Old
Dominion
Freight
Line
Inc
21,056‌
3,850‌
Union
Pacific
Corp
151,428‌
26,250‌
United
Parcel
Service
Inc
157,129‌
22,432‌
$
96,772‌
Water
-
0.10%
American
Water
Works
Co
Inc
40,397‌
5,949‌
TOTAL
COMMON
STOCKS
$
6,036,801‌
Total
Investments
$
6,152,848‌
Other
Assets
and
Liabilities
-  0.13%
8,109‌
TOTAL
NET
ASSETS
-
100.00%
$
6,160,957‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$2,804
or
0.05%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Technology
22.52‌%
Consumer,
Non-cyclical
22.07‌%
Communications
16.65‌%
Financial
13.93‌%
Consumer,
Cyclical
7.60‌%
Industrial
7.58‌%
Utilities
3.07‌%
Energy
2.49‌%
Basic
Materials
2.08‌%
Money
Market
Funds
1.63‌%
Investment
Companies
0.25‌%
Other
Assets
and
Liabilities
0.13‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
LargeCap
S&P
500
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
131
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
20,673‌
$
1,239,099‌
$
1,162,035‌
$
97,737‌
$
20,673‌
$
1,239,099‌
$
1,162,035‌
$
97,737‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
509‌
$
—‌
$
—‌
$
—‌
$
509‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
500
Emini;
September
2020
Long
653‌
$
106,553‌
$
2,528‌
Total
$
2,528‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
132
INVESTMENT
COMPANIES
-
2.91%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.18%
iShares
Russell
1000
Value
ETF
28,591‌
$
3,349‌
Money
Market
Funds
-
2.73%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
554,863‌
555‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
51,656,120‌
51,656‌
$
52,211‌
TOTAL
INVESTMENT
COMPANIES
$
55,560‌
COMMON
STOCKS
-
97.10%
Shares
Held
Value
(000's)
Advertising
-
0.02%
Interpublic
Group
of
Cos
Inc
/The
8,110‌
$
146‌
Omnicom
Group
Inc
4,437‌
239‌
$
385‌
Aerospace
&
Defense
-
2.30%
Boeing
Co/The
11,168‌
1,764‌
General
Dynamics
Corp
66,956‌
9,825‌
HEICO
Corp
194‌
19‌
HEICO
Corp
-
Class
A
338‌
26‌
Hexcel
Corp
1,737‌
65‌
Howmet
Aerospace
Inc
8,238‌
122‌
L3Harris
Technologies
Inc
78,698‌
13,247‌
Mercury
Systems
Inc
(d)
225‌
17‌
Northrop
Grumman
Corp
263‌
85‌
Raytheon
Technologies
Corp
319,655‌
18,118‌
Spirit
AeroSystems
Holdings
Inc
2,185‌
43‌
Teledyne
Technologies
Inc
(d)
757‌
232‌
TransDigm
Group
Inc
847‌
366‌
$
43,929‌
Agriculture
-
0.21%
Altria
Group
Inc
21,936‌
903‌
Archer-Daniels-Midland
Co
11,570‌
495‌
Bunge
Ltd
2,881‌
125‌
Philip
Morris
International
Inc
32,546‌
2,500‌
$
4,023‌
Airlines
-
0.06%
Alaska
Air
Group
Inc
2,501‌
86‌
American
Airlines
Group
Inc
(e)
10,309‌
115‌
Copa
Holdings
SA
698‌
29‌
Delta
Air
Lines
Inc
13,312‌
332‌
JetBlue
Airways
Corp
(d)
5,615‌
58‌
Southwest
Airlines
Co
12,306‌
380‌
United
Airlines
Holdings
Inc
(d)
6,056‌
190‌
$
1,190‌
Apparel
-
0.05%
Capri
Holdings
Ltd
(d)
2,959‌
44‌
Carter's
Inc
892‌
70‌
Columbia
Sportswear
Co
598‌
46‌
Hanesbrands
Inc
7,234‌
102‌
PVH
Corp
1,465‌
71‌
Ralph
Lauren
Corp
996‌
71‌
Skechers
USA
Inc
(d)
2,789‌
82‌
Tapestry
Inc
5,771‌
77‌
Under
Armour
Inc
-
Class
A
(d)
3,926‌
41‌
Under
Armour
Inc
-
Class
C
(d)
3,944‌
38‌
VF
Corp
6,423‌
388‌
$
1,030‌
Automobile
Manufacturers
-
0.12%
Cummins
Inc
3,079‌
595‌
Ford
Motor
Co
81,410‌
538‌
General
Motors
Co
26,117‌
650‌
PACCAR
Inc
7,084‌
603‌
$
2,386‌
Automobile
Parts
&
Equipment
-
0.04%
Allison
Transmission
Holdings
Inc
825‌
31‌
Aptiv
PLC
5,592‌
435‌
BorgWarner
Inc
4,319‌
158‌
Lear
Corp
1,250‌
138‌
$
762‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
-
9.20%
Associated
Banc-Corp
3,162‌
$
41‌
Bank
of
America
Corp
740,330‌
18,419‌
Bank
of
Hawaii
Corp
822‌
47‌
Bank
of
New
York
Mellon
Corp/The
16,686‌
598‌
Bank
OZK
2,548‌
61‌
BOK
Financial
Corp
654‌
36‌
Citigroup
Inc
257,964‌
12,901‌
Citizens
Financial
Group
Inc
8,897‌
221‌
Comerica
Inc
2,902‌
112‌
Commerce
Bancshares
Inc
/MO
2,099‌
120‌
Cullen/Frost
Bankers
Inc
1,168‌
84‌
East
West
Bancorp
Inc
2,942‌
102‌
Fifth
Third
Bancorp
14,850‌
295‌
First
Citizens
BancShares
Inc
/NC
137‌
58‌
First
Hawaiian
Inc
2,705‌
47‌
First
Horizon
National
Corp
11,359‌
105‌
First
Republic
Bank/CA
3,555‌
400‌
FNB
Corp/PA
6,690‌
50‌
Goldman
Sachs
Group
Inc
/The
103,819‌
20,552‌
Huntington
Bancshares
Inc
/OH
21,064‌
195‌
JPMorgan
Chase
&
Co
491,740‌
47,522‌
KeyCorp
20,282‌
244‌
M&T
Bank
Corp
2,673‌
283‌
Morgan
Stanley
23,055‌
1,127‌
Northern
Trust
Corp
173,928‌
13,627‌
PacWest
Bancorp
2,435‌
45‌
Pinnacle
Financial
Partners
Inc
1,541‌
61‌
PNC
Financial
Services
Group
Inc
/The
8,866‌
946‌
Popular
Inc
1,811‌
67‌
Prosperity
Bancshares
Inc
1,863‌
104‌
Regions
Financial
Corp
20,054‌
218‌
Signature
Bank/New
York
NY
1,083‌
111‌
State
Street
Corp
7,349‌
469‌
SVB
Financial
Group
(d)
1,074‌
241‌
Synovus
Financial
Corp
3,051‌
61‌
TCF
Financial
Corp
3,146‌
86‌
Truist
Financial
Corp
28,160‌
1,055‌
Umpqua
Holdings
Corp
4,585‌
50‌
US
Bancorp
591,187‌
21,779‌
Webster
Financial
Corp
1,866‌
51‌
Wells
Fargo
&
Co
1,358,748‌
32,963‌
Western
Alliance
Bancorp
2,039‌
73‌
Wintrust
Financial
Corp
1,191‌
51‌
Zions
Bancorp
NA
3,369‌
109‌
$
175,787‌
Beverages
-
1.90%
Brown-Forman
Corp
-
A
Shares
149‌
9‌
Brown-Forman
Corp
-
B
Shares
556‌
39‌
Coca-Cola
Co/The
33,394‌
1,577‌
Coca-Cola
European
Partners
PLC
405,472‌
16,693‌
Constellation
Brands
Inc
3,332‌
594‌
Keurig
Dr
Pepper
Inc
7,129‌
218‌
Molson
Coors
Beverage
Co
3,642‌
137‌
PepsiCo
Inc
123,750‌
17,036‌
$
36,303‌
Biotechnology
-
1.37%
Acceleron
Pharma
Inc
(d)
60‌
6‌
Alexion
Pharmaceuticals
Inc
(d)
3,756‌
385‌
Biogen
Inc
(d)
2,371‌
651‌
BioMarin
Pharmaceutical
Inc
(d)
349‌
42‌
Bio-Rad
Laboratories
Inc
(d)
441‌
232‌
Bluebird
Bio
Inc
(d)
744‌
45‌
Corteva
Inc
791,842‌
22,615‌
Exact
Sciences
Corp
(d)
404‌
38‌
Exelixis
Inc
(d)
4,039‌
93‌
Gilead
Sciences
Inc
26,263‌
1,826‌
Ionis
Pharmaceuticals
Inc
(d)
1,383‌
80‌
Nektar
Therapeutics
(d)
3,614‌
80‌
Sage
Therapeutics
Inc
(d)
987‌
45‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
133
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
(continued)
United
Therapeutics
Corp
(d)
905‌
$
101‌
$
26,239‌
Building
Materials
-
0.13%
Armstrong
World
Industries
Inc
623‌
44‌
Carrier
Global
Corp
11,625‌
317‌
Eagle
Materials
Inc
858‌
69‌
Fortune
Brands
Home
&
Security
Inc
2,872‌
220‌
Johnson
Controls
International
plc
15,556‌
599‌
Lennox
International
Inc
720‌
193‌
Martin
Marietta
Materials
Inc
1,296‌
268‌
Masco
Corp
5,486‌
313‌
MDU
Resources
Group
Inc
4,160‌
87‌
Owens
Corning
2,231‌
135‌
Vulcan
Materials
Co
2,757‌
324‌
$
2,569‌
Chemicals
-
2.49%
Air
Products
and
Chemicals
Inc
85,885‌
24,617‌
Albemarle
Corp
2,203‌
182‌
Ashland
Global
Holdings
Inc
1,154‌
87‌
Axalta
Coating
Systems
Ltd
(d)
4,394‌
98‌
Cabot
Corp
1,162‌
42‌
Celanese
Corp
2,459‌
239‌
CF
Industries
Holdings
Inc
4,456‌
140‌
Chemours
Co/The
3,408‌
63‌
Dow
Inc
15,509‌
637‌
DuPont
de
Nemours
Inc
298,315‌
15,954‌
Eastman
Chemical
Co
2,831‌
211‌
Ecolab
Inc
4,170‌
780‌
Element
Solutions
Inc
(d)
4,524‌
49‌
FMC
Corp
2,170‌
230‌
Huntsman
Corp
4,179‌
77‌
International
Flavors
&
Fragrances
Inc
2,231‌
281‌
Linde
PLC
10,986‌
2,693‌
LyondellBasell
Industries
NV
5,355‌
335‌
Mosaic
Co/The
7,207‌
97‌
NewMarket
Corp
26‌
10‌
Olin
Corp
(e)
2,974‌
33‌
PPG
Industries
Inc
4,926‌
530‌
RPM
International
Inc
438‌
36‌
Valvoline
Inc
3,867‌
79‌
W
R
Grace
&
Co
750‌
35‌
Westlake
Chemical
Corp
707‌
39‌
$
47,574‌
Commercial
Services
-
2.38%
2U
Inc
(d)
860‌
41‌
ADT
Inc
2,490‌
21‌
AMERCO
186‌
59‌
Aramark
974,862‌
20,589‌
Automatic
Data
Processing
Inc
1,257‌
167‌
Bright
Horizons
Family
Solutions
Inc
(d)
365‌
39‌
Cintas
Corp
209‌
63‌
CoreLogic
Inc
/United
States
1,568‌
107‌
Equifax
Inc
97,285‌
15,815‌
Euronet
Worldwide
Inc
(d)
1,047‌
101‌
FTI
Consulting
Inc
(d)
760‌
91‌
Global
Payments
Inc
6,222‌
1,108‌
Graham
Holdings
Co
87‌
35‌
Grand
Canyon
Education
Inc
(d)
973‌
86‌
H&R
Block
Inc
1,275‌
19‌
IHS
Markit
Ltd
3,770‌
304‌
Macquarie
Infrastructure
Corp
1,533‌
46‌
ManpowerGroup
Inc
1,207‌
83‌
Morningstar
Inc
77‌
13‌
Nielsen
Holdings
PLC
7,435‌
107‌
Quanta
Services
Inc
125,799‌
5,028‌
Robert
Half
International
Inc
2,328‌
118‌
Rollins
Inc
411‌
22‌
S&P
Global
Inc
2,063‌
723‌
Sabre
Corp
5,720‌
43‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Commercial
Services
(continued)
Service
Corp
International/US
3,627‌
$
157‌
ServiceMaster
Global
Holdings
Inc
(d)
2,760‌
113‌
TransUnion
351‌
31‌
United
Rentals
Inc
(d)
1,502‌
233‌
WEX
Inc
(d)
825‌
131‌
$
45,493‌
Computers
-
3.21%
Amdocs
Ltd
2,768‌
172‌
Apple
Inc
47,085‌
20,013‌
CACI
International
Inc
(d)
65,454‌
13,602‌
Cognizant
Technology
Solutions
Corp
338,115‌
23,101‌
Crowdstrike
Holdings
Inc
(d)
657‌
74‌
Dell
Technologies
Inc
(d)
2,998‌
179‌
DXC
Technology
Co
5,292‌
95‌
Genpact
Ltd
2,390‌
95‌
Hewlett
Packard
Enterprise
Co
26,923‌
266‌
HP
Inc
29,893‌
526‌
International
Business
Machines
Corp
18,580‌
2,284‌
Leidos
Holdings
Inc
2,536‌
241‌
Lumentum
Holdings
Inc
(d)
1,392‌
129‌
NCR
Corp
(d)
2,650‌
49‌
NetApp
Inc
2,115‌
94‌
Pure
Storage
Inc
(d)
2,149‌
38‌
Science
Applications
International
Corp
1,052‌
84‌
Western
Digital
Corp
6,263‌
270‌
$
61,312‌
Consumer
Products
-
0.95%
Avery
Dennison
Corp
1,020‌
115‌
Church
&
Dwight
Co
Inc
173,640‌
16,727‌
Clorox
Co/The
765‌
181‌
Kimberly-Clark
Corp
7,101‌
1,080‌
Reynolds
Consumer
Products
Inc
794‌
27‌
Spectrum
Brands
Holdings
Inc
884‌
48‌
$
18,178‌
Cosmetics
&
Personal
Care
-
1.30%
Colgate-Palmolive
Co
271,378‌
20,950‌
Coty
Inc
6,410‌
24‌
Estee
Lauder
Cos
Inc
/The
489‌
97‌
Procter
&
Gamble
Co/The
28,187‌
3,696‌
$
24,767‌
Distribution
&
Wholesale
-
0.04%
Fastenal
Co
2,258‌
106‌
HD
Supply
Holdings
Inc
(d)
3,358‌
118‌
IAA
Inc
(d)
2,133‌
92‌
LKQ
Corp
(d)
6,322‌
178‌
Univar
Solutions
Inc
(d)
3,480‌
62‌
Watsco
Inc
681‌
161‌
WW
Grainger
Inc
245‌
84‌
$
801‌
Diversified
Financial
Services
-
1.80%
Affiliated
Managers
Group
Inc
978‌
67‌
Air
Lease
Corp
2,223‌
58‌
Alliance
Data
Systems
Corp
974‌
43‌
Ally
Financial
Inc
7,799‌
157‌
American
Express
Co
127,956‌
11,941‌
Ameriprise
Financial
Inc
2,569‌
395‌
BlackRock
Inc
3,077‌
1,769‌
Capital
One
Financial
Corp
9,457‌
603‌
Cboe
Global
Markets
Inc
1,787‌
157‌
Charles
Schwab
Corp/The
439,586‌
14,573‌
CME
Group
Inc
7,420‌
1,233‌
Credit
Acceptance
Corp
(d),(e)
196‌
92‌
Discover
Financial
Services
6,397‌
316‌
Eaton
Vance
Corp
2,311‌
83‌
Evercore
Inc
-
Class
A
824‌
46‌
Franklin
Resources
Inc
5,654‌
119‌
Interactive
Brokers
Group
Inc
-
A
Shares
1,503‌
74‌
Intercontinental
Exchange
Inc
7,313‌
708‌
Invesco
Ltd
7,864‌
79‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
134
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Diversified
Financial
Services
(continued)
Jefferies
Financial
Group
Inc
4,732‌
$
77‌
Lazard
Ltd
2,104‌
62‌
LendingTree
Inc
(d),(e)
9‌
3‌
LPL
Financial
Holdings
Inc
1,507‌
119‌
Nasdaq
Inc
2,389‌
314‌
OneMain
Holdings
Inc
1,355‌
39‌
Raymond
James
Financial
Inc
2,560‌
178‌
Santander
Consumer
USA
Holdings
Inc
(e)
1,680‌
31‌
SEI
Investments
Co
2,405‌
126‌
SLM
Corp
5,961‌
40‌
Synchrony
Financial
12,170‌
269‌
T
Rowe
Price
Group
Inc
3,522‌
486‌
Tradeweb
Markets
Inc
273‌
15‌
Virtu
Financial
Inc
147‌
4‌
Western
Union
Co/The
6,899‌
167‌
$
34,443‌
Electric
-
4.80%
AES
Corp/The
13,801‌
210‌
Alliant
Energy
Corp
5,214‌
281‌
Ameren
Corp
5,139‌
412‌
American
Electric
Power
Co
Inc
10,378‌
902‌
Avangrid
Inc
1,183‌
59‌
CenterPoint
Energy
Inc
10,515‌
200‌
CMS
Energy
Corp
5,963‌
383‌
Consolidated
Edison
Inc
6,997‌
538‌
Dominion
Energy
Inc
17,534‌
1,421‌
DTE
Energy
Co
134,676‌
15,573‌
Duke
Energy
Corp
15,361‌
1,302‌
Edison
International
161,207‌
8,975‌
Entergy
Corp
4,194‌
441‌
Evergy
Inc
4,725‌
306‌
Eversource
Energy
7,039‌
634‌
Exelon
Corp
506,808‌
19,567‌
FirstEnergy
Corp
11,319‌
328‌
Hawaiian
Electric
Industries
Inc
2,233‌
81‌
IDACORP
Inc
1,051‌
98‌
NextEra
Energy
Inc
69,592‌
19,534‌
NRG
Energy
Inc
3,315‌
112‌
OGE
Energy
Corp
4,171‌
137‌
PG&E
Corp
(d)
19,865‌
186‌
Pinnacle
West
Capital
Corp
2,348‌
195‌
PPL
Corp
16,093‌
428‌
Public
Service
Enterprise
Group
Inc
10,552‌
590‌
Sempra
Energy
6,124‌
762‌
Southern
Co/The
22,083‌
1,206‌
Vistra
Corp
10,184‌
190‌
WEC
Energy
Group
Inc
167,183‌
15,926‌
Xcel
Energy
Inc
10,976‌
758‌
$
91,735‌
Electrical
Components
&
Equipment
-
0.07%
Acuity
Brands
Inc
821‌
81‌
AMETEK
Inc
4,784‌
446‌
Emerson
Electric
Co
12,440‌
772‌
Energizer
Holdings
Inc
285‌
14‌
Generac
Holdings
Inc
(d)
119‌
19‌
Littelfuse
Inc
491‌
87‌
$
1,419‌
Electronics
-
1.96%
Agilent
Technologies
Inc
5,903‌
569‌
Allegion
plc
671‌
67‌
Amphenol
Corp
2,452‌
259‌
Arrow
Electronics
Inc
(d)
1,627‌
116‌
Avnet
Inc
2,045‌
55‌
Coherent
Inc
(d)
93‌
13‌
FLIR
Systems
Inc
2,722‌
113‌
Fortive
Corp
229,949‌
16,140‌
Garmin
Ltd
3,122‌
308‌
Gentex
Corp
5,120‌
138‌
Honeywell
International
Inc
114,535‌
17,108‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electronics
(continued)
Hubbell
Inc
1,126‌
$
152‌
Jabil
Inc
2,485‌
87‌
Keysight
Technologies
Inc
(d)
2,591‌
259‌
Mettler
-Toledo
International
Inc
(d)
31‌
29‌
National
Instruments
Corp
2,689‌
95‌
nVent
Electric
PLC
3,242‌
59‌
PerkinElmer
Inc
1,873‌
223‌
Roper
Technologies
Inc
1,874‌
810‌
Sensata
Technologies
Holding
PLC
(d)
3,219‌
122‌
SYNNEX
Corp
866‌
108‌
Trimble
Inc
(d)
5,206‌
232‌
Waters
Corp
(d)
1,182‌
252‌
Woodward
Inc
1,159‌
87‌
$
37,401‌
Energy
-
Alternate
Sources
-
0.01%
First
Solar
Inc
(d)
1,735‌
103‌
Engineering
&
Construction
-
0.87%
AECOM
(d)
276,043‌
9,990‌
frontdoor
Inc
(d)
1,486‌
62‌
Jacobs
Engineering
Group
Inc
75,886‌
6,477‌
$
16,529‌
Entertainment
-
0.01%
Lions
Gate
Entertainment
Corp
-
A
shares
(d),(e)
1,322‌
10‌
Lions
Gate
Entertainment
Corp
-
B
shares
(d)
2,546‌
18‌
Madison
Square
Garden
Sports
Corp
(d)
392‌
60‌
Six
Flags
Entertainment
Corp
1,591‌
28‌
Vail
Resorts
Inc
765‌
147‌
$
263‌
Environmental
Control
-
0.08%
Clean
Harbors
Inc
(d)
1,074‌
64‌
Pentair
PLC
3,445‌
148‌
Republic
Services
Inc
4,381‌
382‌
Stericycle
Inc
(d)
1,904‌
115‌
Waste
Management
Inc
7,686‌
842‌
$
1,551‌
Food
-
1.17%
Beyond
Meat
Inc
(d)
231‌
29‌
Campbell
Soup
Co
1,839‌
91‌
Conagra
Brands
Inc
10,179‌
381‌
Flowers
Foods
Inc
4,067‌
93‌
General
Mills
Inc
12,683‌
802‌
Grocery
Outlet
Holding
Corp
(d)
720‌
32‌
Hain
Celestial
Group
Inc
/The
(d)
1,695‌
58‌
Hershey
Co/The
703‌
102‌
Hormel
Foods
Corp
322,296‌
16,392‌
Ingredion
Inc
1,401‌
121‌
J
M
Smucker
Co/The
2,305‌
252‌
Kellogg
Co
3,463‌
239‌
Kraft
Heinz
Co/The
13,524‌
465‌
Kroger
Co/The
16,169‌
563‌
Lamb
Weston
Holdings
Inc
2,348‌
141‌
McCormick
&
Co
Inc
/MD
1,141‌
222‌
Mondelez
International
Inc
29,531‌
1,639‌
Pilgrim's
Pride
Corp
(d)
807‌
12‌
Post
Holdings
Inc
(d)
1,327‌
118‌
Seaboard
Corp
5‌
13‌
Sprouts
Farmers
Market
Inc
(d)
412‌
11‌
Sysco
Corp
2,914‌
154‌
TreeHouse
Foods
Inc
(d)
1,172‌
51‌
Tyson
Foods
Inc
6,004‌
369‌
US
Foods
Holding
Corp
(d)
4,586‌
93‌
$
22,443‌
Forest
Products
&
Paper
-
0.02%
International
Paper
Co
8,211‌
286‌
Gas
-
0.04%
Atmos
Energy
Corp
2,529‌
268‌
National
Fuel
Gas
Co
1,725‌
70‌
NiSource
Inc
7,991‌
195‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
135
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Gas
(continued)
UGI
Corp
4,341‌
$
145‌
$
678‌
Hand
&
Machine
Tools
-
1.30%
Colfax
Corp
(d)
2,067‌
60‌
Lincoln
Electric
Holdings
Inc
682‌
62‌
MSA
Safety
Inc
589‌
70‌
Regal
Beloit
Corp
844‌
78‌
Snap-on
Inc
1,124‌
164‌
Stanley
Black
&
Decker
Inc
159,319‌
24,426‌
$
24,860‌
Healthcare
-
Products
-
4.19%
Abbott
Laboratories
263,962‌
26,565‌
Baxter
International
Inc
6,183‌
534‌
Bio-
Techne
Corp
50‌
14‌
Boston
Scientific
Corp
(d)
29,220‌
1,127‌
Bruker
Corp
1,236‌
55‌
Cooper
Cos
Inc
/The
892‌
252‌
Danaher
Corp
13,093‌
2,668‌
DENTSPLY
SIRONA
Inc
4,563‌
203‌
Envista
Holdings
Corp
(d)
3,328‌
73‌
Globus
Medical
Inc
(d)
1,545‌
74‌
Haemonetics
Corp
(d)
73‌
6‌
Henry
Schein
Inc
(d)
2,976‌
205‌
Hill-Rom
Holdings
Inc
1,226‌
119‌
Hologic
Inc
(d)
1,614‌
113‌
ICU
Medical
Inc
(d)
297‌
55‌
Integra
LifeSciences
Holdings
Corp
(d)
1,489‌
71‌
Medtronic
PLC
458,181‌
44,206‌
QIAGEN
NV
(d)
4,693‌
232‌
STERIS
PLC
1,662‌
265‌
Stryker
Corp
4,881‌
943‌
Tandem
Diabetes
Care
Inc
(d)
140‌
15‌
Teleflex
Inc
358‌
134‌
Thermo
Fisher
Scientific
Inc
3,411‌
1,412‌
Varian
Medical
Systems
Inc
(d)
1,654‌
236‌
Zimmer
Biomet
Holdings
Inc
4,324‌
583‌
$
80,160‌
Healthcare
-
Services
-
3.19%
Acadia
Healthcare
Co
Inc
(d)
1,833‌
55‌
Anthem
Inc
71,337‌
19,532‌
Catalent
Inc
(d)
3,203‌
280‌
Centene
Corp
(d)
8,461‌
552‌
Charles
River
Laboratories
International
Inc
(d)
123‌
24‌
DaVita
Inc
(d)
1,441‌
126‌
Encompass
Health
Corp
1,113‌
76‌
HCA
Healthcare
Inc
2,668‌
338‌
Humana
Inc
1,711‌
671‌
IQVIA
Holdings
Inc
(d)
2,465‌
390‌
Laboratory
Corp
of
America
Holdings
(d)
1,912‌
369‌
Molina
Healthcare
Inc
(d)
403‌
74‌
PPD
Inc
(d)
213‌
6‌
Quest
Diagnostics
Inc
2,790‌
355‌
Syneos
Health
Inc
(d)
1,164‌
73‌
Teladoc
Health
Inc
(d)
156‌
37‌
UnitedHealth
Group
Inc
124,962‌
37,836‌
Universal
Health
Services
Inc
1,538‌
169‌
$
60,963‌
Home
Builders
-
1.27%
DR
Horton
Inc
6,903‌
457‌
Lennar
Corp
-
A
Shares
318,349‌
23,033‌
Lennar
Corp
-
B
Shares
350‌
19‌
NVR
Inc
(d)
62‌
244‌
PulteGroup
Inc
5,583‌
243‌
Thor
Industries
Inc
1,151‌
131‌
Toll
Brothers
Inc
2,416‌
92‌
$
24,219‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Furnishings
-
0.02%
Dolby
Laboratories
Inc
1,159‌
$
81‌
Leggett
&
Platt
Inc
2,755‌
110‌
Tempur
Sealy
International
Inc
(d)
271‌
22‌
Whirlpool
Corp
1,274‌
208‌
$
421‌
Housewares
-
0.01%
Newell
Brands
Inc
8,015‌
131‌
Scotts
Miracle-
Gro
Co/The
56‌
9‌
Toro
Co/The
235‌
17‌
$
157‌
Insurance
-
6.67%
Aflac
Inc
14,835‌
528‌
Alleghany
Corp
263‌
137‌
Allstate
Corp/The
6,551‌
618‌
American
Financial
Group
Inc
/OH
1,538‌
93‌
American
International
Group
Inc
1,369,871‌
44,028‌
American
National
Group
Inc
165‌
12‌
Arch
Capital
Group
Ltd
(d)
8,209‌
252‌
Arthur
J
Gallagher
&
Co
3,929‌
422‌
Assurant
Inc
136,045‌
14,621‌
Assured
Guaranty
Ltd
1,751‌
38‌
Athene
Holding
Ltd
(d)
2,410‌
78‌
Axis
Capital
Holdings
Ltd
1,576‌
63‌
Berkshire
Hathaway
Inc
-
Class
B
(d)
40,779‌
7,984‌
Brighthouse
Financial
Inc
(d)
2,051‌
58‌
Brown
&
Brown
Inc
4,658‌
212‌
Chubb
Ltd
304,750‌
38,776‌
Cincinnati
Financial
Corp
3,124‌
243‌
CNA
Financial
Corp
625‌
21‌
Equitable
Holdings
Inc
8,487‌
174‌
Erie
Indemnity
Co
224‌
47‌
Everest
Re
Group
Ltd
834‌
182‌
Fidelity
National
Financial
Inc
5,737‌
186‌
First
American
Financial
Corp
2,264‌
116‌
Globe
Life
Inc
2,189‌
174‌
Hanover
Insurance
Group
Inc
/The
790‌
81‌
Hartford
Financial
Services
Group
Inc
/The
7,464‌
316‌
Kemper
Corp
1,288‌
101‌
Lincoln
National
Corp
3,521‌
131‌
Loews
Corp
5,000‌
182‌
Markel
Corp
(d)
283‌
296‌
Marsh
&
McLennan
Cos
Inc
2,357‌
275‌
Mercury
General
Corp
608‌
26‌
MetLife
Inc
16,076‌
608‌
MGIC
Investment
Corp
7,019‌
58‌
Old
Republic
International
Corp
5,906‌
95‌
Primerica
Inc
315‌
38‌
Progressive
Corp/The
8,700‌
786‌
Prudential
Financial
Inc
8,263‌
524‌
Reinsurance
Group
of
America
Inc
1,414‌
121‌
RenaissanceRe
Holdings
Ltd
677‌
122‌
Travelers
Cos
Inc
/The
5,283‌
604‌
Unum
Group
4,243‌
73‌
Voya
Financial
Inc
2,622‌
130‌
W
R
Berkley
Corp
2,906‌
179‌
White
Mountains
Insurance
Group
Ltd
62‌
55‌
Willis
Towers
Watson
PLC
64,631‌
13,573‌
$
127,437‌
Internet
-
1.23%
Alphabet
Inc
-
A
Shares
(d)
12,765‌
18,994‌
Alphabet
Inc
-
C
Shares
(d)
1,387‌
2,057‌
E*TRADE
Financial
Corp
4,617‌
234‌
eBay
Inc
1,197‌
66‌
Expedia
Group
Inc
2,504‌
203‌
F5
Networks
Inc
(d)
1,270‌
173‌
FireEye
Inc
(d)
3,537‌
53‌
Grubhub
Inc
(d)
1,733‌
125‌
Lyft
Inc
(d)
4,974‌
145‌
Pinterest
Inc
(d)
1,424‌
49‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
136
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Internet
(continued)
TD
Ameritrade
Holding
Corp
5,418‌
$
195‌
TripAdvisor
Inc
2,096‌
42‌
Twitter
Inc
(d)
16,062‌
585‌
Uber
Technologies
Inc
(d)
6,586‌
199‌
VeriSign
Inc
(d)
869‌
184‌
Wayfair
Inc
(d)
127‌
34‌
Zillow
Group
Inc
-
A
Shares
(d)
1,069‌
73‌
Zillow
Group
Inc
-
C
Shares
(d)
2,516‌
172‌
$
23,583‌
Iron
&
Steel
-
0.03%
Nucor
Corp
6,292‌
264‌
Reliance
Steel
&
Aluminum
Co
1,323‌
130‌
Steel
Dynamics
Inc
4,230‌
116‌
$
510‌
Leisure
Products
&
Services
-
0.04%
Brunswick
Corp/DE
1,646‌
110‌
Carnival
Corp
(e)
9,824‌
136‌
Harley-Davidson
Inc
3,192‌
83‌
Norwegian
Cruise
Line
Holdings
Ltd
(d),(e)
5,342‌
73‌
Peloton
Interactive
Inc
(d)
1,543‌
105‌
Planet
Fitness
Inc
(d)
720‌
38‌
Polaris
Inc
1,085‌
113‌
Royal
Caribbean
Cruises
Ltd
3,572‌
174‌
Virgin
Galactic
Holdings
Inc
(d),(e)
187‌
4‌
$
836‌
Lodging
-
0.08%
Choice
Hotels
International
Inc
723‌
61‌
Extended
Stay
America
Inc
3,691‌
42‌
Hilton
Worldwide
Holdings
Inc
5,699‌
428‌
Hyatt
Hotels
Corp
729‌
35‌
Las
Vegas
Sands
Corp
3,971‌
173‌
Marriott
International
Inc
/MD
5,610‌
470‌
MGM
Resorts
International
9,823‌
158‌
Wyndham
Destinations
Inc
1,752‌
47‌
Wyndham
Hotels
&
Resorts
Inc
1,911‌
84‌
Wynn
Resorts
Ltd
1,537‌
111‌
$
1,609‌
Machinery
-
Construction
&
Mining
-
0.09%
BWX
Technologies
Inc
711‌
39‌
Caterpillar
Inc
11,324‌
1,505‌
Oshkosh
Corp
1,414‌
111‌
$
1,655‌
Machinery
-
Diversified
-
2.14%
AGCO
Corp
1,289‌
85‌
Crane
Co
1,015‌
57‌
Curtiss-Wright
Corp
866‌
77‌
Deere
&
Co
117,177‌
20,660‌
Dover
Corp
2,998‌
309‌
Flowserve
Corp
2,715‌
76‌
Gates
Industrial
Corp
PLC
(d)
993‌
10‌
Graco
Inc
1,721‌
92‌
GrafTech
International
Ltd
1,512‌
9‌
IDEX
Corp
1,570‌
259‌
Ingersoll
Rand
Inc
(d)
7,232‌
228‌
Middleby
Corp/The
(d)
1,147‌
95‌
Nordson
Corp
218‌
42‌
Otis
Worldwide
Corp
8,521‌
535‌
Rockwell
Automation
Inc
1,243‌
271‌
Westinghouse
Air
Brake
Technologies
Corp
286,907‌
17,843‌
Xylem
Inc
/NY
3,732‌
272‌
$
40,920‌
Media
-
3.35%
Charter
Communications
Inc
(d)
304‌
176‌
Comcast
Corp
-
Class
A
593,224‌
25,390‌
Discovery
Inc
-
A
Shares
(d)
3,257‌
69‌
Discovery
Inc
-
C
Shares
(d)
6,797‌
129‌
DISH
Network
Corp
(d)
5,129‌
165‌
Fox
Corp
-
A
Shares
7,080‌
183‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Media
(continued)
Fox
Corp
-
B
Shares
3,339‌
$
86‌
John
Wiley
&
Sons
Inc
900‌
31‌
Liberty
Broadband
Corp
-
A
Shares
(d)
516‌
70‌
Liberty
Broadband
Corp
-
C
Shares
(d)
123,531‌
16,957‌
Liberty
Media
Corp-Liberty
Formula
One
-
A
Shares
(d)
557‌
18‌
Liberty
Media
Corp-Liberty
Formula
One
-
C
Shares
(d)
4,135‌
147‌
Liberty
Media
Corp-Liberty
SiriusXM
-
A
Shares
(d)
1,531‌
53‌
Liberty
Media
Corp-Liberty
SiriusXM
-
C
Shares
(d)
3,201‌
112‌
Madison
Square
Garden
Entertainment
Corp
(d)
415‌
29‌
New
York
Times
Co/The
3,397‌
157‌
News
Corp
-
A
Shares
8,097‌
103‌
News
Corp
-
B
Shares
2,529‌
32‌
Nexstar
Media
Group
Inc
322‌
28‌
Sirius
XM
Holdings
Inc
9,732‌
57‌
ViacomCBS
Inc
-
Class
B
11,327‌
295‌
ViacomCBS
Inc
-
Class
A
241‌
7‌
Walt
Disney
Co/The
168,098‌
19,657‌
$
63,951‌
Metal
Fabrication
&
Hardware
-
0.01%
Timken
Co/The
1,321‌
60‌
Valmont
Industries
Inc
437‌
53‌
$
113‌
Mining
-
0.09%
Freeport-McMoRan
Inc
30,280‌
391‌
Newmont
Corp
16,781‌
1,162‌
Royal
Gold
Inc
387‌
54‌
Southern
Copper
Corp
1,720‌
75‌
$
1,682‌
Miscellaneous
Manufacturers
-
1.08%
3M
Co
3,994‌
601‌
A
O
Smith
Corp
2,769‌
133‌
AptarGroup
Inc
1,338‌
154‌
Carlisle
Cos
Inc
1,126‌
134‌
Donaldson
Co
Inc
2,375‌
115‌
Eaton
Corp
PLC
176,147‌
16,405‌
General
Electric
Co
181,693‌
1,103‌
Illinois
Tool
Works
Inc
3,665‌
678‌
ITT
Inc
1,803‌
104‌
Parker-Hannifin
Corp
2,672‌
478‌
Textron
Inc
4,754‌
166‌
Trane
Technologies
PLC
4,987‌
558‌
Trinity
Industries
Inc
1,894‌
37‌
$
20,666‌
Office
&
Business
Equipment
-
0.00%
Xerox
Holdings
Corp
3,774‌
63‌
Zebra
Technologies
Corp
(d)
100‌
28‌
$
91‌
Oil
&
Gas
-
5.38%
Apache
Corp
7,879‌
121‌
Cabot
Oil
&
Gas
Corp
8,182‌
153‌
Chevron
Corp
370,693‌
31,115‌
Cimarex
Energy
Co
2,096‌
51‌
Concho
Resources
Inc
4,073‌
214‌
ConocoPhillips
292,351‌
10,931‌
Continental
Resources
Inc
/OK
(e)
1,664‌
29‌
Devon
Energy
Corp
7,964‌
83‌
Diamondback
Energy
Inc
3,288‌
131‌
EOG
Resources
Inc
241,341‌
11,307‌
EQT
Corp
5,319‌
77‌
Exxon
Mobil
Corp
88,525‌
3,725‌
Helmerich
&
Payne
Inc
2,179‌
39‌
Hess
Corp
202,356‌
9,958‌
HollyFrontier
Corp
3,115‌
86‌
Marathon
Oil
Corp
16,357‌
90‌
Marathon
Petroleum
Corp
13,517‌
516‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
137
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Oil
&
Gas
(continued)
Murphy
Oil
Corp
3,033‌
$
40‌
Noble
Energy
Inc
9,932‌
99‌
Occidental
Petroleum
Corp
16,961‌
267‌
Occidental
Petroleum
Corp
-
Warrants
(d)
2,259‌
13‌
Parsley
Energy
Inc
6,276‌
69‌
Phillips
66
368,121‌
22,831‌
Pioneer
Natural
Resources
Co
3,428‌
332‌
Valero
Energy
Corp
186,846‌
10,507‌
WPX
Energy
Inc
(d)
8,321‌
50‌
$
102,834‌
Oil
&
Gas
Services
-
0.06%
Baker
Hughes
Co
13,704‌
212‌
Halliburton
Co
18,287‌
262‌
National
Oilwell
Varco
Inc
8,096‌
93‌
Schlumberger
Ltd
29,015‌
527‌
$
1,094‌
Packaging
&
Containers
-
0.07%
Amcor
PLC
28,471‌
293‌
Ardagh
Group
SA
412‌
6‌
Ball
Corp
424‌
31‌
Berry
Global
Group
Inc
(d)
1,828‌
91‌
Crown
Holdings
Inc
(d)
2,425‌
174‌
Graphic
Packaging
Holding
Co
4,536‌
63‌
Packaging
Corp
of
America
1,955‌
188‌
Sealed
Air
Corp
3,243‌
116‌
Silgan
Holdings
Inc
1,641‌
63‌
Sonoco
Products
Co
2,090‌
108‌
Westrock
Co
5,355‌
144‌
$
1,277‌
Pharmaceuticals
-
5.78%
AbbVie
Inc
2,210‌
210‌
Agios
Pharmaceuticals
Inc
(d)
1,158‌
53‌
Alkermes
PLC
(d)
3,293‌
59‌
AmerisourceBergen
Corp
1,580‌
158‌
Becton
Dickinson
and
Co
89,617‌
25,213‌
Bristol-Myers
Squibb
Co
30,162‌
1,769‌
Cigna
Corp
5,526‌
954‌
CVS
Health
Corp
732,658‌
46,114‌
Elanco
Animal
Health
Inc
(d)
8,345‌
197‌
Herbalife
Nutrition
Ltd
(d)
1,832‌
94‌
Horizon
Therapeutics
Plc
(d)
303‌
19‌
Jazz
Pharmaceuticals
PLC
(d)
1,126‌
122‌
Johnson
&
Johnson
205,178‌
29,907‌
McKesson
Corp
861‌
129‌
Merck
&
Co
Inc
6,658‌
534‌
Mylan
NV
(d)
10,763‌
173‌
Perrigo
Co
PLC
2,851‌
151‌
Pfizer
Inc
116,315‌
4,476‌
PRA
Health
Sciences
Inc
(d)
208‌
22‌
Premier
Inc
1,284‌
45‌
Reata
Pharmaceuticals
Inc
(d)
54‌
8‌
Zoetis
Inc
944‌
143‌
$
110,550‌
Pipelines
-
0.08%
Antero
Midstream
Corp
5,922‌
33‌
Equitrans
Midstream
Corp
7,716‌
74‌
Kinder
Morgan
Inc
40,645‌
573‌
ONEOK
Inc
9,158‌
256‌
Targa
Resources
Corp
4,807‌
88‌
Williams
Cos
Inc
/The
25,393‌
486‌
$
1,510‌
Private
Equity
-
0.69%
Apollo
Global
Management
Inc
1,792‌
88‌
Brookfield
Asset
Management
Inc
389,952‌
12,607‌
Carlyle
Group
Inc
/The
2,199‌
63‌
KKR
&
Co
Inc
11,123‌
393‌
$
13,151‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Real
Estate
-
0.02%
CBRE
Group
Inc
(d)
6,964‌
$
305‌
Howard
Hughes
Corp/The
(d)
814‌
44‌
Jones
Lang
LaSalle
Inc
1,074‌
106‌
$
455‌
REITs
-
3.34%
AGNC
Investment
Corp
11,852‌
161‌
Alexandria
Real
Estate
Equities
Inc
2,614‌
464‌
American
Campus
Communities
Inc
2,857‌
102‌
American
Homes
4
Rent
5,416‌
157‌
Americold
Realty
Trust
3,763‌
152‌
Annaly
Capital
Management
Inc
29,841‌
221‌
Apartment
Investment
and
Management
Co
3,090‌
120‌
Apple
Hospitality
REIT
Inc
4,357‌
38‌
AvalonBay
Communities
Inc
2,940‌
450‌
Boston
Properties
Inc
3,246‌
289‌
Brandywine
Realty
Trust
3,513‌
38‌
Brixmor
Property
Group
Inc
6,181‌
71‌
Brookfield
Property
REIT
Inc
124‌
2‌
Camden
Property
Trust
1,968‌
179‌
CoreSite
Realty
Corp
273‌
35‌
Corporate
Office
Properties
Trust
2,343‌
62‌
Cousins
Properties
Inc
3,089‌
95‌
Crown
Castle
International
Corp
581‌
97‌
CubeSmart
4,032‌
120‌
CyrusOne
Inc
2,399‌
200‌
Digital
Realty
Trust
Inc
5,583‌
896‌
Douglas
Emmett
Inc
3,472‌
101‌
Duke
Realty
Corp
7,691‌
309‌
Empire
State
Realty
Trust
Inc
3,254‌
22‌
EPR
Properties
1,627‌
47‌
Equity
Commonwealth
2,436‌
77‌
Equity
LifeStyle
Properties
Inc
2,140‌
146‌
Equity
Residential
7,675‌
412‌
Essex
Property
Trust
Inc
1,362‌
301‌
Extra
Space
Storage
Inc
776‌
80‌
Federal
Realty
Investment
Trust
1,569‌
120‌
First
Industrial
Realty
Trust
Inc
2,632‌
116‌
Gaming
and
Leisure
Properties
Inc
4,310‌
156‌
Healthcare
Trust
of
America
Inc
4,537‌
125‌
Healthpeak
Properties
Inc
11,259‌
307‌
Highwoods
Properties
Inc
2,147‌
82‌
Host
Hotels
&
Resorts
Inc
14,588‌
157‌
Hudson
Pacific
Properties
Inc
3,134‌
74‌
Invitation
Homes
Inc
11,362‌
339‌
Iron
Mountain
Inc
2,471‌
70‌
JBG
SMITH
Properties
2,542‌
74‌
Kilroy
Realty
Corp
2,397‌
140‌
Kimco
Realty
Corp
8,618‌
96‌
Lamar
Advertising
Co
1,791‌
118‌
Life
Storage
Inc
973‌
96‌
Medical
Properties
Trust
Inc
10,855‌
219‌
MGM
Growth
Properties
LLC
588,475‌
16,089‌
Mid-America
Apartment
Communities
Inc
2,377‌
283‌
National
Retail
Properties
Inc
3,574‌
127‌
New
Residential
Investment
Corp
8,618‌
68‌
Omega
Healthcare
Investors
Inc
4,695‌
152‌
Outfront
Media
Inc
2,999‌
43‌
Paramount
Group
Inc
4,209‌
30‌
Park
Hotels
&
Resorts
Inc
4,971‌
41‌
Prologis
Inc
183,340‌
19,327‌
Public
Storage
78,210‌
15,633‌
Rayonier
Inc
2,848‌
79‌
Realty
Income
Corp
7,182‌
431‌
Regency
Centers
Corp
3,517‌
144‌
Rexford
Industrial
Realty
Inc
2,420‌
114‌
SBA
Communications
Corp
1,996‌
622‌
Simon
Property
Group
Inc
1,353‌
84‌
SL
Green
Realty
Corp
1,614‌
75‌
Spirit
Realty
Capital
Inc
2,147‌
74‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
138
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Starwood
Property
Trust
Inc
5,702‌
$
85‌
STORE
Capital
Corp
4,691‌
111‌
Sun
Communities
Inc
2,017‌
302‌
Taubman
Centers
Inc
1,251‌
48‌
UDR
Inc
6,112‌
221‌
Ventas
Inc
7,793‌
299‌
VEREIT
Inc
22,486‌
146‌
VICI
Properties
Inc
9,799‌
213‌
Vornado
Realty
Trust
3,662‌
126‌
Weingarten
Realty
Investors
2,530‌
43‌
Welltower
Inc
8,732‌
468‌
Weyerhaeuser
Co
15,599‌
434‌
WP
Carey
Inc
3,572‌
255‌
$
63,900‌
Retail
-
6.13%
Advance
Auto
Parts
Inc
181,166‌
27,201‌
AutoNation
Inc
(d)
1,227‌
63‌
AutoZone
Inc
(d)
198‌
239‌
Best
Buy
Co
Inc
3,903‌
389‌
Burlington
Stores
Inc
(d)
152‌
29‌
CarMax
Inc
(d)
3,138‌
304‌
Casey's
General
Stores
Inc
769‌
122‌
Costco
Wholesale
Corp
1,078‌
351‌
Darden
Restaurants
Inc
2,713‌
206‌
Dick's
Sporting
Goods
Inc
1,287‌
59‌
Dollar
General
Corp
59,792‌
11,384‌
Dollar
Tree
Inc
(d)
2,558‌
239‌
Dunkin'
Brands
Group
Inc
268‌
18‌
Foot
Locker
Inc
2,159‌
63‌
Gap
Inc
/The
3,808‌
51‌
Genuine
Parts
Co
2,933‌
264‌
Home
Depot
Inc
/The
79,017‌
20,978‌
Kohl's
Corp
3,232‌
62‌
L
Brands
Inc
4,786‌
117‌
Lowe's
Cos
Inc
190,082‌
28,305‌
McDonald's
Corp
93,677‌
18,199‌
MSC
Industrial
Direct
Co
Inc
932‌
61‌
Nordstrom
Inc
(e)
2,274‌
31‌
Nu
Skin
Enterprises
Inc
1,070‌
48‌
Ollie's
Bargain
Outlet
Holdings
Inc
(d)
134‌
14‌
Penske
Automotive
Group
Inc
664‌
30‌
Qurate
Retail
Inc
(d)
7,940‌
87‌
Ross
Stores
Inc
1,391‌
125‌
Starbucks
Corp
10,338‌
791‌
Target
Corp
10,451‌
1,316‌
Tiffany
&
Co
2,526‌
317‌
TJX
Cos
Inc
/The
4,759‌
247‌
Ulta
Beauty
Inc
(d)
83‌
16‌
Walgreens
Boots
Alliance
Inc
15,316‌
623‌
Walmart
Inc
29,147‌
3,772‌
Williams-Sonoma
Inc
1,341‌
117‌
Yum
China
Holdings
Inc
7,006‌
359‌
Yum!
Brands
Inc
5,821‌
530‌
$
117,127‌
Savings
&
Loans
-
0.69%
New
York
Community
Bancorp
Inc
1,236,236‌
13,018‌
People's
United
Financial
Inc
8,824‌
95‌
Sterling
Bancorp/DE
4,030‌
45‌
TFS
Financial
Corp
1,087‌
16‌
$
13,174‌
Semiconductors
-
4.69%
Advanced
Micro
Devices
Inc
(d)
1,705‌
132‌
Analog
Devices
Inc
6,757‌
776‌
Broadcom
Inc
72,248‌
22,884‌
Cirrus
Logic
Inc
(d)
1,217‌
83‌
Cree
Inc
(d)
2,257‌
155‌
Entegris
Inc
190‌
14‌
Intel
Corp
88,661‌
4,232‌
IPG
Photonics
Corp
(d)
691‌
124‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Semiconductors
(continued)
Marvell
Technology
Group
Ltd
13,764‌
$
502‌
Maxim
Integrated
Products
Inc
3,701‌
252‌
Microchip
Technology
Inc
1,225‌
125‌
Micron
Technology
Inc
(d)
172,987‌
8,659‌
MKS
Instruments
Inc
281‌
36‌
ON
Semiconductor
Corp
(d)
8,471‌
174‌
Qorvo
Inc
(d)
2,411‌
309‌
QUALCOMM
Inc
155,977‌
16,473‌
Skyworks
Solutions
Inc
3,480‌
507‌
Texas
Instruments
Inc
268,431‌
34,238‌
$
89,675‌
Shipbuilding
-
0.01%
Huntington
Ingalls
Industries
Inc
746‌
129‌
Software
-
2.58%
Activision
Blizzard
Inc
201,418‌
16,643‌
Akamai
Technologies
Inc
(d)
588‌
66‌
Aspen
Technology
Inc
(d)
102‌
10‌
Autodesk
Inc
(d)
1,530‌
362‌
CDK
Global
Inc
2,217‌
101‌
Ceridian
HCM
Holding
Inc
(d)
655‌
51‌
Change
Healthcare
Inc
(d)
1,429‌
17‌
Citrix
Systems
Inc
1,872‌
267‌
Electronic
Arts
Inc
(d)
5,133‌
727‌
Fidelity
National
Information
Services
Inc
12,911‌
1,889‌
Fiserv
Inc
(d)
8,225‌
821‌
Guidewire
Software
Inc
(d)
1,402‌
165‌
Jack
Henry
&
Associates
Inc
346‌
62‌
Manhattan
Associates
Inc
(d)
151‌
14‌
Microsoft
Corp
87,082‌
17,853‌
Nuance
Communications
Inc
(d)
5,867‌
160‌
Oracle
Corp
166,675‌
9,243‌
Paychex
Inc
1,405‌
101‌
Pegasystems
Inc
88‌
10‌
RealPage
Inc
(d)
246‌
15‌
salesforce.com
Inc
(d)
1,321‌
257‌
SolarWinds
Corp
(d)
1,036‌
19‌
SS&C
Technologies
Holdings
Inc
3,708‌
213‌
Synopsys
Inc
(d)
224‌
45‌
Take-Two
Interactive
Software
Inc
(d)
189‌
31‌
Teradata
Corp
(d)
571‌
12‌
Twilio
Inc
(d)
450‌
125‌
Zynga
Inc
(d)
3,266‌
32‌
$
49,311‌
Telecommunications
-
3.72%
Arista
Networks
Inc
(d)
217‌
56‌
AT&T
Inc
698,323‌
20,656‌
CenturyLink
Inc
22,830‌
220‌
Ciena
Corp
(d)
3,190‌
190‌
Cisco
Systems
Inc
590,462‌
27,810‌
CommScope
Holding
Co
Inc
(d)
3,760‌
35‌
Corning
Inc
15,656‌
485‌
EchoStar
Corp
(d)
1,070‌
29‌
GCI
Liberty
Inc
(d)
2,056‌
161‌
Juniper
Networks
Inc
6,862‌
174‌
LogMeIn
Inc
928‌
80‌
Motorola
Solutions
Inc
106,197‌
14,847‌
Telephone
and
Data
Systems
Inc
2,099‌
41‌
T-Mobile
US
Inc
(d)
11,488‌
1,234‌
Ubiquiti
Inc
34‌
6‌
United
States
Cellular
Corp
(d)
321‌
10‌
Verizon
Communications
Inc
86,670‌
4,982‌
ViaSat
Inc
(d)
1,202‌
46‌
$
71,062‌
Textiles
-
0.01%
Mohawk
Industries
Inc
(d)
1,212‌
97‌
Toys,
Games
&
Hobbies
-
0.01%
Hasbro
Inc
2,652‌
193‌
Mattel
Inc
(d)
2,910‌
32‌
$
225‌
Schedule
of
Investments
LargeCap
Value
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
139
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Transportation
-
2.41%
CH
Robinson
Worldwide
Inc
2,330‌
$
218‌
CSX
Corp
15,944‌
1,137‌
Expeditors
International
of
Washington
Inc
1,339‌
113‌
FedEx
Corp
5,051‌
851‌
JB
Hunt
Transport
Services
Inc
172,828‌
22,364‌
Kansas
City
Southern
1,979‌
340‌
Kirby
Corp
(d)
1,243‌
58‌
Knight-Swift
Transportation
Holdings
Inc
2,608‌
113‌
Landstar
System
Inc
160‌
20‌
Norfolk
Southern
Corp
5,350‌
1,028‌
Old
Dominion
Freight
Line
Inc
281‌
51‌
Ryder
System
Inc
1,093‌
40‌
Schneider
National
Inc
1,312‌
33‌
Union
Pacific
Corp
108,414‌
18,794‌
United
Parcel
Service
Inc
5,013‌
716‌
XPO
Logistics
Inc
(d)
1,798‌
135‌
$
46,011‌
Water
-
0.04%
American
Water
Works
Co
Inc
3,783‌
557‌
Essential
Utilities
Inc
4,666‌
212‌
$
769‌
TOTAL
COMMON
STOCKS
$
1,855,763‌
Total
Investments
$
1,911,323‌
Other
Assets
and
Liabilities
-  (0.01)%
(140‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,911,183‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$555
or
0.03%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Non-cyclical
22.44‌%
Financial
22.41‌%
Industrial
12.52‌%
Technology
10.48‌%
Communications
8.32‌%
Consumer,
Cyclical
7.89‌%
Energy
5.53‌%
Utilities
4.88‌%
Money
Market
Funds
2.73‌%
Basic
Materials
2.63‌%
Investment
Companies
0.18‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
63,693‌
$
520,841‌
$
532,878‌
$
51,656‌
Principal
Shareholder
Yield
Index
ETF
140‌
—‌
113‌
—‌
Principal
Sustainable
Momentum
Index
ETF
151‌
—‌
141‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
454‌
—‌
426‌
—‌
$
64,438‌
$
520,841‌
$
533,558‌
$
51,656‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
320‌
$
—‌
$
—‌
$
—‌
Principal
Shareholder
Yield
Index
ETF
1‌
(22‌)
—‌
(5‌)
Principal
Sustainable
Momentum
Index
ETF
1‌
(1‌)
—‌
(9‌)
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
5‌
14‌
—‌
(42‌)
$
327‌
$
(9‌)
$
—‌
$
(56‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
500
Emini
;
September
2020
Long
121‌
$
19,744‌
$
304‌
Total
$
304‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
MidCap
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
140
INVESTMENT
COMPANIES
-
0.13%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.13%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
2,444,463‌
$
2,444‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
22,494,794‌
22,495‌
$
24,939‌
TOTAL
INVESTMENT
COMPANIES
$
24,939‌
COMMON
STOCKS
-
99.95%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
4.80%
HEICO
Corp
-
Class
A
2,271,145‌
$
173,856‌
TransDigm
Group
Inc
1,711,831‌
738,792‌
$
912,648‌
Banks
-
1.17%
First
Republic
Bank/CA
1,539,677‌
173,183‌
M&T
Bank
Corp
470,779‌
49,879‌
$
223,062‌
Beverages
-
0.56%
Brown-Forman
Corp
-
B
Shares
1,524,637‌
105,718‌
Building
Materials
-
3.50%
Martin
Marietta
Materials
Inc
967,172‌
200,379‌
Summit
Materials
Inc
(d)
4,403,603‌
64,821‌
Vulcan
Materials
Co
3,407,338‌
400,089‌
$
665,289‌
Chemicals
-
0.74%
Air
Products
and
Chemicals
Inc
491,481‌
140,873‌
Commercial
Services
-
10.55%
CoStar
Group
Inc
(d)
514,337‌
437,063‌
Everarc
Holdings
Ltd
(c),(d)
2,883,826‌
37,482‌
Everarc
Holdings
Ltd
-
Warrants
(d)
2,883,826‌
735‌
Gartner
Inc
(d)
2,515,667‌
313,553‌
IHS
Markit
Ltd
3,323,055‌
268,270‌
Moody's
Corp
709,420‌
199,560‌
S&P
Global
Inc
245,966‌
86,149‌
Square
Inc
(d)
676,329‌
87,821‌
TransUnion
3,273,940‌
293,247‌
Verisk
Analytics
Inc
1,504,042‌
283,828‌
$
2,007,708‌
Distribution
&
Wholesale
-
4.14%
Copart
Inc
(d)
5,547,203‌
517,277‌
Fastenal
Co
5,740,813‌
270,048‌
$
787,325‌
Diversified
Financial
Services
-
2.03%
Credit
Acceptance
Corp
(d)
824,536‌
385,834‌
Electric
-
2.06%
Brookfield
Infrastructure
Partners
LP
7,336,070‌
306,941‌
Brookfield
Renewable
Partners
LP
1,990,326‌
85,763‌
$
392,704‌
Electronics
-
3.51%
Mettler
-Toledo
International
Inc
(d)
295,597‌
276,383‌
Roper
Technologies
Inc
907,669‌
392,522‌
$
668,905‌
Entertainment
-
2.82%
Liberty
Media
Corp-Liberty
Braves
-
A
Shares
(d)
146,140‌
2,764‌
Liberty
Media
Corp-Liberty
Braves
-
C
Shares
(d)
587,859‌
10,964‌
Live
Nation
Entertainment
Inc
(d)
5,637,524‌
263,892‌
Vail
Resorts
Inc
1,348,416‌
258,936‌
$
536,556‌
Hand
&
Machine
Tools
-
0.64%
Colfax
Corp
(d)
4,222,220‌
122,782‌
Healthcare
-
Products
-
1.41%
IDEXX
Laboratories
Inc
(d)
674,721‌
268,370‌
Home
Builders
-
2.44%
Lennar
Corp
-
A
Shares
2,896,409‌
209,555‌
Lennar
Corp
-
B
Shares
37,905‌
2,042‌
NVR
Inc
(d)
64,292‌
252,677‌
$
464,274‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
-
8.29%
Aon
PLC
722,605‌
$
148,293‌
Arch
Capital
Group
Ltd
(d)
8,810,293‌
270,916‌
Brown
&
Brown
Inc
6,144,327‌
279,383‌
Fidelity
National
Financial
Inc
6,975,335‌
225,722‌
Markel
Corp
(d)
475,714‌
496,902‌
Progressive
Corp/The
1,727,736‌
156,084‌
$
1,577,300‌
Internet
-
5.04%
VeriSign
Inc
(d)
1,775,478‌
375,833‌
Wix.com
Ltd
(d)
2,006,768‌
582,926‌
$
958,759‌
Investment
Companies
-
0.33%
Brookfield
Business
Partners
LP
459,540‌
12,215‌
Brookfield
Infrastructure
Corp
(e)
614,692‌
28,055‌
Brookfield
Renewable
Corp
497,581‌
22,361‌
$
62,631‌
Lodging
-
2.56%
Hilton
Worldwide
Holdings
Inc
5,185,964‌
389,207‌
Hyatt
Hotels
Corp
2,031,612‌
97,517‌
$
486,724‌
Machinery
-
Diversified
-
0.14%
Cognex
Corp
409,708‌
27,397‌
Media
-
3.88%
Liberty
Broadband
Corp
-
A
Shares
(d)
688,662‌
92,976‌
Liberty
Broadband
Corp
-
C
Shares
(d)
2,179,444‌
299,172‌
Liberty
Media
Corp-Liberty
Formula
One
-
A
Shares
(d)
513,920‌
17,006‌
Liberty
Media
Corp-Liberty
Formula
One
-
C
Shares
(d)
4,440,662‌
157,377‌
Liberty
Media
Corp-Liberty
SiriusXM
-
A
Shares
(d)
1,022,267‌
35,565‌
Liberty
Media
Corp-Liberty
SiriusXM
-
C
Shares
(d)
3,876,541‌
135,640‌
$
737,736‌
Private
Equity
-
6.98%
Brookfield
Asset
Management
Inc
22,073,576‌
713,639‌
Kennedy-Wilson
Holdings
Inc
5,215,351‌
77,396‌
KKR
&
Co
Inc
11,468,252‌
405,632‌
Onex
Corp
2,950,983‌
131,909‌
$
1,328,576‌
Real
Estate
-
2.38%
Brookfield
Property
Partners
LP
2,697,665‌
30,187‌
CBRE
Group
Inc
(d)
7,003,694‌
306,832‌
Howard
Hughes
Corp/The
(d)
2,182,672‌
116,096‌
$
453,115‌
REITs
-
3.76%
Equinix
Inc
160,389‌
125,982‌
SBA
Communications
Corp
1,776,720‌
553,519‌
Vornado
Realty
Trust
1,052,133‌
36,320‌
$
715,821‌
Retail
-
10.64%
CarMax
Inc
(d)
6,724,032‌
652,030‌
Dollar
General
Corp
515,254‌
98,104‌
Domino's
Pizza
Inc
726,133‌
280,730‌
O'Reilly
Automotive
Inc
(d)
1,151,629‌
549,765‌
Restaurant
Brands
International
Inc
6,100,506‌
344,801‌
Ross
Stores
Inc
1,099,179‌
98,563‌
$
2,023,993‌
Semiconductors
-
1.50%
Microchip
Technology
Inc
2,802,754‌
285,124‌
Software
-
12.17%
ANSYS
Inc
(d)
1,188,160‌
369,043‌
Autodesk
Inc
(d)
2,177,284‌
514,775‌
Black
Knight
Inc
(d)
6,501,660‌
487,104‌
Guidewire
Software
Inc
(d)
2,602,075‌
306,160‌
MSCI
Inc
471,371‌
177,226‌
RealPage
Inc
(d)
3,456,593‌
217,800‌
Slack
Technologies
Inc
(d)
3,409,526‌
100,752‌
Schedule
of
Investments
MidCap
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
141
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
(continued)
Tyler
Technologies
Inc
(d)
398,075‌
$
142,212‌
$
2,315,072‌
Telecommunications
-
1.91%
GCI
Liberty
Inc
(d)
2,431,372‌
190,595‌
Motorola
Solutions
Inc
1,238,045‌
173,079‌
$
363,674‌
TOTAL
COMMON
STOCKS
$
19,017,970‌
Total
Investments
$
19,042,909‌
Other
Assets
and
Liabilities
-  (0.08)%
(15,365‌)
TOTAL
NET
ASSETS
-
100.00%
$
19,027,544‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$24,934
or
0.13%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
24.94‌%
Consumer,
Cyclical
22.60‌%
Technology
13.67‌%
Industrial
12.59‌%
Consumer,
Non-cyclical
12.52‌%
Communications
10.83‌%
Utilities
2.06‌%
Basic
Materials
0.74‌%
Money
Market
Funds
0.13‌%
Other
Assets
and
Liabilities
(0.08‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Everarc
Holdings
Ltd
$
—‌
$
28,83
8‌
$
—‌
$
37,482‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
67,193‌
2,053,095‌
2,097,793‌
22,495‌
$
67,193‌
$
2,081,93
3‌
$
2,097,793‌
$
59,977‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Everarc
Holdings
Ltd
$
—‌
$
—‌
$
—‌
$
8,64
4‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
125‌
—‌
—‌
—‌
$
125‌
$
—‌
$
—‌
$
8,64
4‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
MidCap
Growth
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
142
INVESTMENT
COMPANIES
-
0.63%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.63%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
3‌
$
—‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
1,149,800‌
1,150‌
$
1,150‌
TOTAL
INVESTMENT
COMPANIES
$
1,150‌
COMMON
STOCKS
-
100.07%
Shares
Held
Value
(000's)
Apparel
-
3.59%
Crocs
Inc
(d)
86,171‌
$
3,097‌
Deckers
Outdoor
Corp
(d)
16,833‌
3,522‌
$
6,619‌
Automobile
Manufacturers
-
1.30%
Cummins
Inc
12,433‌
2,403‌
Automobile
Parts
&
Equipment
-
1.77%
Visteon
Corp
(d)
44,853‌
3,257‌
Banks
-
1.36%
SVB
Financial
Group
(d)
11,174‌
2,506‌
Biotechnology
-
7.60%
ACADIA
Pharmaceuticals
Inc
(d)
64,215‌
2,670‌
Biohaven
Pharmaceutical
Holding
Co
Ltd
(d)
46,289‌
2,964‌
Bio-Rad
Laboratories
Inc
(d)
6,781‌
3,559‌
Exact
Sciences
Corp
(d)
28,812‌
2,730‌
Seattle
Genetics
Inc
(d)
12,505‌
2,079‌
$
14,002‌
Building
Materials
-
1.60%
Masco
Corp
51,621‌
2,951‌
Commercial
Services
-
3.67%
CoStar
Group
Inc
(d)
3,259‌
2,769‌
Square
Inc
(d)
16,138‌
2,096‌
TransUnion
21,235‌
1,902‌
$
6,767‌
Computers
-
2.14%
Crowdstrike
Holdings
Inc
(d)
34,884‌
3,949‌
Diversified
Financial
Services
-
1.41%
Tradeweb
Markets
Inc
47,948‌
2,593‌
Energy
-
Alternate
Sources
-
1.38%
Enphase
Energy
Inc
(d)
42,130‌
2,543‌
Engineering
&
Construction
-
1.35%
TopBuild
Corp
(d)
18,788‌
2,478‌
Healthcare
-
Products
-
11.49%
Align
Technology
Inc
(d)
5,662‌
1,664‌
Inspire
Medical
Systems
Inc
(d)
48,518‌
4,821‌
Insulet
Corp
(d)
20,440‌
4,157‌
Penumbra
Inc
(d)
13,170‌
2,922‌
Tandem
Diabetes
Care
Inc
(d)
43,374‌
4,531‌
Teleflex
Inc
8,280‌
3,089‌
$
21,184‌
Healthcare
-
Services
-
1.06%
Molina
Healthcare
Inc
(d)
10,543‌
1,947‌
Internet
-
9.72%
Chewy
Inc
(d)
37,906‌
1,990‌
MercadoLibre
Inc
(d)
4,617‌
5,192‌
Okta
Inc
(d)
8,459‌
1,869‌
Snap
Inc
Class
A
(d)
196,930‌
4,415‌
Zendesk
Inc
(d)
48,783‌
4,447‌
$
17,913‌
Leisure
Products
&
Services
-
3.83%
Brunswick
Corp/DE
45,591‌
3,054‌
Fox
Factory
Holding
Corp
(d)
44,936‌
3,999‌
$
7,053‌
Machinery
-
Diversified
-
1.46%
Rockwell
Automation
Inc
12,331‌
2,690‌
Metal
Fabrication
&
Hardware
-
1.06%
Timken
Co/The
42,833‌
1,956‌
Office
&
Business
Equipment
-
1.31%
Zebra
Technologies
Corp
(d)
8,620‌
2,420‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
-
5.79%
DexCom
Inc
(d)
13,083‌
$
5,698‌
Horizon
Therapeutics
Plc
(d)
81,353‌
4,978‌
$
10,676‌
Retail
-
4.92%
Chipotle
Mexican
Grill
Inc
(d)
2,708‌
3,128‌
Floor
&
Decor
Holdings
Inc
(d)
34,916‌
2,301‌
Lululemon
Athletica
Inc
(d)
11,187‌
3,642‌
$
9,071‌
Semiconductors
-
10.48%
Advanced
Micro
Devices
Inc
(d)
47,067‌
3,644‌
Cree
Inc
(d)
46,066‌
3,175‌
Lam
Research
Corp
5,732‌
2,162‌
Marvell
Technology
Group
Ltd
123,439‌
4,502‌
Microchip
Technology
Inc
24,680‌
2,511‌
MKS
Instruments
Inc
26,103‌
3,326‌
$
19,320‌
Software
-
18.68%
Activision
Blizzard
Inc
44,505‌
3,677‌
DocuSign
Inc
(d)
11,870‌
2,574‌
Nuance
Communications
Inc
(d)
122,841‌
3,360‌
RingCentral
Inc
(d)
16,140‌
4,685‌
Sea
Ltd
ADR
(d)
21,519‌
2,630‌
ServiceNow
Inc
(d)
13,486‌
5,923‌
Splunk
Inc
(d)
12,360‌
2,593‌
Synopsys
Inc
(d)
23,535‌
4,689‌
Twilio
Inc
(d)
7,930‌
2,200‌
Tyler
Technologies
Inc
(d)
5,891‌
2,104‌
$
34,435‌
Transportation
-
3.10%
Kansas
City
Southern
15,851‌
2,724‌
Knight-Swift
Transportation
Holdings
Inc
68,753‌
2,990‌
$
5,714‌
TOTAL
COMMON
STOCKS
$
184,447‌
Total
Investments
$
185,597‌
Other
Assets
and
Liabilities
-  (0.70)%
(1,282‌)
TOTAL
NET
ASSETS
-
100.00%
$
184,315‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$0
or
0.00%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Sector
Percent
Technology
32.61‌%
Consumer,
Non-cyclical
29.61‌%
Consumer,
Cyclical
15.41‌%
Communications
9.72‌%
Industrial
8.57‌%
Financial
2.77‌%
Energy
1.38‌%
Money
Market
Funds
0.63‌%
Other
Assets
and
Liabilities
(0.70‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
MidCap
Growth
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
143
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
1,467‌
$
76,651‌
$
76,968‌
$
1,150‌
$
1,467‌
$
76,651‌
$
76,968‌
$
1,150‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
15‌
$
—‌
$
—‌
$
—‌
$
15‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
MidCap
Growth
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
144
INVESTMENT
COMPANIES
-
3.02%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.12%
iShares
Russell
Mid-Cap
Growth
ETF
8,287‌
$
1,416‌
Money
Market
Funds
-
2.90%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
3,977,313‌
3,977‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
31,145,490‌
31,146‌
$
35,123‌
TOTAL
INVESTMENT
COMPANIES
$
36,539‌
COMMON
STOCKS
-
97.45%
Shares
Held
Value
(000's)
Advertising
-
0.07%
Trade
Desk
Inc/The
(d)
1,934‌
$
873‌
Aerospace
&
Defense
-
1.48%
HEICO
Corp
62,433‌
6,001‌
HEICO
Corp
-
Class
A
2,984‌
228‌
L3Harris
Technologies
Inc
30,562‌
5,145‌
Mercury
Systems
Inc
(d)
80,978‌
6,270‌
TransDigm
Group
Inc
555‌
240‌
$
17,884‌
Apparel
-
0.00%
VF
Corp
902‌
54‌
Automobile
Parts
&
Equipment
-
0.29%
Allison
Transmission
Holdings
Inc
3,485‌
130‌
Aptiv
PLC
43,942‌
3,417‌
$
3,547‌
Banks
-
0.41%
Pinnacle
Financial
Partners
Inc
124,049‌
4,915‌
Beverages
-
0.92%
Boston
Beer
Co
Inc/The
(d)
413‌
335‌
Brown-Forman
Corp
-
A
Shares
1,833‌
116‌
Brown-Forman
Corp
-
B
Shares
7,345‌
509‌
Constellation
Brands
Inc
23,503‌
4,188‌
Monster
Beverage
Corp
(d)
76,993‌
6,043‌
$
11,191‌
Biotechnology
-
2.69%
ACADIA
Pharmaceuticals
Inc
(d)
5,219‌
217‌
Acceleron
Pharma
Inc
(d)
31,909‌
3,165‌
Alexion
Pharmaceuticals
Inc
(d)
1,562‌
160‌
Alnylam
Pharmaceuticals
Inc
(d)
21,983‌
3,204‌
BioMarin
Pharmaceutical
Inc
(d)
44,239‌
5,300‌
Bluebird
Bio
Inc
(d)
1,379‌
84‌
Corteva
Inc
142,897‌
4,081‌
Exact
Sciences
Corp
(d)
6,165‌
584‌
Exelixis
Inc
(d)
5,260‌
121‌
Guardant
Health
Inc
(d)
31,006‌
2,641‌
Immunomedics
Inc
(d)
9,830‌
415‌
Incyte
Corp
(d)
8,693‌
859‌
Ionis
Pharmaceuticals
Inc
(d)
3,068‌
177‌
Iovance
Biotherapeutics
Inc
(d)
6,456‌
188‌
Livongo
Health
Inc
(d),(e)
2,571‌
327‌
Moderna
Inc
(d)
57,640‌
4,271‌
Sage
Therapeutics
Inc
(d)
193‌
9‌
Seattle
Genetics
Inc
(d)
40,767‌
6,778‌
$
32,581‌
Building
Materials
-
1.88%
Armstrong
World
Industries
Inc
841‌
60‌
Carrier
Global
Corp
14,886‌
406‌
Fortune
Brands
Home
&
Security
Inc
96,625‌
7,392‌
Martin
Marietta
Materials
Inc
22,823‌
4,728‌
Trex
Co
Inc
(d)
73,099‌
10,185‌
$
22,771‌
Chemicals
-
0.31%
Albemarle
Corp
37,323‌
3,078‌
FMC
Corp
1,216‌
129‌
NewMarket
Corp
271‌
102‌
RPM
International
Inc
5,100‌
416‌
W
R
Grace
&
Co
960‌
44‌
$
3,769‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Commercial
Services
-
9.02%
2U
Inc
(d)
952‌
$
45‌
Avalara
Inc
(d)
3,670‌
493‌
Booz
Allen
Hamilton
Holding
Corp
6,570‌
537‌
Bright
Horizons
Family
Solutions
Inc
(d)
1,910‌
205‌
Chegg
Inc
(d)
5,778‌
468‌
Cintas
Corp
3,734‌
1,127‌
CoreLogic
Inc/United
States
205‌
14‌
CoStar
Group
Inc
(d)
9,038‌
7,680‌
Equifax
Inc
4,284‌
696‌
Euronet
Worldwide
Inc
(d)
69,657‌
6,697‌
FleetCor
Technologies
Inc
(d)
25,473‌
6,587‌
Gartner
Inc
(d)
4,130‌
515‌
Global
Payments
Inc
48,647‌
8,660‌
H&R
Block
Inc
6,464‌
94‌
IHS
Markit
Ltd
108,176‌
8,733‌
MarketAxess
Holdings
Inc
38,183‌
19,729‌
Moody's
Corp
18,118‌
5,097‌
Morningstar
Inc
864‌
145‌
Paylocity
Holding
Corp
(d)
1,649‌
220‌
Quanta
Services
Inc
1,318‌
53‌
Ritchie
Bros
Auctioneers
Inc
109,507‌
5,068‌
Rollins
Inc
6,191‌
324‌
StoneCo
Ltd
(d)
7,408‌
354‌
TransUnion
222,111‌
19,894‌
United
Rentals
Inc
(d)
26,166‌
4,065‌
Verisk
Analytics
Inc
61,824‌
11,667‌
WEX
Inc
(d)
189‌
30‌
$
109,197‌
Computers
-
2.69%
CACI
International
Inc
(d)
189‌
39‌
Crowdstrike
Holdings
Inc
(d)
95,537‌
10,814‌
EPAM
Systems
Inc
(d)
52,924‌
15,352‌
Fortinet
Inc
(d)
6,349‌
878‌
Genpact
Ltd
3,483‌
139‌
Globant
SA
(d)
1,724‌
298‌
Leidos
Holdings
Inc
621‌
59‌
Lumentum
Holdings
Inc
(d)
405‌
38‌
NetApp
Inc
5,729‌
254‌
Perspecta
Inc
192,966‌
4,130‌
Pure
Storage
Inc
(d)
6,599‌
118‌
Science
Applications
International
Corp
378‌
30‌
Zscaler
Inc
(d)
3,355‌
436‌
$
32,585‌
Consumer
Products
-
0.19%
Avery
Dennison
Corp
1,637‌
185‌
Church
&
Dwight
Co
Inc
11,739‌
1,131‌
Clorox
Co/The
4,271‌
1,010‌
Reynolds
Consumer
Products
Inc
674‌
23‌
$
2,349‌
Distribution
&
Wholesale
-
4.81%
Copart
Inc
(d)
118,576‌
11,057‌
Fastenal
Co
180,331‌
8,483‌
IAA
Inc
(d)
92,308‌
4,002‌
Pool
Corp
86,431‌
27,372‌
WW
Grainger
Inc
21,456‌
7,328‌
$
58,242‌
Diversified
Financial
Services
-
0.38%
Ares
Management
Corp
4,680‌
187‌
Cboe
Global
Markets
Inc
1,139‌
100‌
Credit
Acceptance
Corp
(d),(e)
34‌
16‌
LendingTree
Inc
(d),(e)
358‌
124‌
LPL
Financial
Holdings
Inc
42,749‌
3,378‌
SLM
Corp
4,378‌
29‌
T
Rowe
Price
Group
Inc
2,742‌
379‌
Tradeweb
Markets
Inc
3,328‌
180‌
Virtu
Financial
Inc
2,662‌
66‌
Western
Union
Co/The
3,795‌
92‌
$
4,551‌
Schedule
of
Investments
MidCap
Growth
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
145
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electric
-
0.01%
NRG
Energy
Inc
4,027‌
$
136‌
Electrical
Components
&
Equipment
-
1.24%
Energizer
Holdings
Inc
2,348‌
118‌
Generac
Holdings
Inc
(d)
91,899‌
14,481‌
Universal
Display
Corp
2,047‌
357‌
$
14,956‌
Electronics
-
1.82%
Agilent
Technologies
Inc
1,268‌
122‌
Allegion
plc
2,858‌
284‌
Amphenol
Corp
8,177‌
865‌
Coherent
Inc
(d)
31,460‌
4,368‌
Jabil
Inc
1,331‌
46‌
Keysight
Technologies
Inc
(d)
152,203‌
15,204‌
Mettler-Toledo
International
Inc
(d)
1,059‌
990‌
PerkinElmer
Inc
1,029‌
122‌
Waters
Corp
(d)
216‌
46‌
$
22,047‌
Energy
-
Alternate
Sources
-
0.06%
Enphase
Energy
Inc
(d)
5,042‌
304‌
SolarEdge
Technologies
Inc
(d)
2,330‌
408‌
$
712‌
Engineering
&
Construction
-
0.00%
frontdoor
Inc
(d)
727‌
31‌
Entertainment
-
0.96%
Caesars
Entertainment
Inc
(d)
124,788‌
3,874‌
DraftKings
Inc
(d),(e)
60,949‌
2,034‌
Lions
Gate
Entertainment
Corp
-
A
shares
(d),(e)
192,255‌
1,473‌
Live
Nation
Entertainment
Inc
(d)
6,770‌
317‌
Vail
Resorts
Inc
20,570‌
3,950‌
$
11,648‌
Environmental
Control
-
0.99%
Waste
Connections
Inc
116,999‌
11,977‌
Food
-
0.89%
Beyond
Meat
Inc
(d)
1,961‌
247‌
Campbell
Soup
Co
4,174‌
207‌
Grocery
Outlet
Holding
Corp
(d)
1,770‌
78‌
Hershey
Co/The
5,437‌
790‌
Kellogg
Co
4,063‌
280‌
Lamb
Weston
Holdings
Inc
139,296‌
8,369‌
McCormick
&
Co
Inc/MD
3,310‌
645‌
Pilgrim's
Pride
Corp
(d)
838‌
13‌
Sprouts
Farmers
Market
Inc
(d)
4,739‌
125‌
$
10,754‌
Hand
&
Machine
Tools
-
0.01%
Lincoln
Electric
Holdings
Inc
1,160‌
105‌
MSA
Safety
Inc
383‌
45‌
$
150‌
Healthcare
-
Products
-
10.07%
10X
Genomics
Inc
(d)
2,595‌
255‌
ABIOMED
Inc
(d)
2,113‌
634‌
Adaptive
Biotechnologies
Corp
(d)
3,392‌
127‌
Align
Technology
Inc
(d)
58,333‌
17,140‌
Avantor
Inc
(d)
19,655‌
434‌
Bio-Techne
Corp
1,704‌
469‌
Bruker
Corp
2,094‌
93‌
Cooper
Cos
Inc/The
30,870‌
8,734‌
Haemonetics
Corp
(d)
2,216‌
194‌
Hill-Rom
Holdings
Inc
372‌
36‌
Hologic
Inc
(d)
8,546‌
596‌
ICU
Medical
Inc
(d)
250‌
46‌
IDEXX
Laboratories
Inc
(d)
60,522‌
24,073‌
Insulet
Corp
(d)
78,688‌
16,002‌
Masimo
Corp
(d)
28,206‌
6,208‌
Novocure
Ltd
(d)
4,742‌
359‌
Penumbra
Inc
(d)
1,526‌
339‌
Quidel
Corp
(d)
19,592‌
5,534‌
Repligen
Corp
(d)
56,519‌
8,529‌
ResMed
Inc
90,920‌
18,412‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Healthcare
-
Products
(continued)
STERIS
PLC
212‌
$
34‌
Tandem
Diabetes
Care
Inc
(d)
27,696‌
2,894‌
Teleflex
Inc
14,234‌
5,311‌
Varian
Medical
Systems
Inc
(d)
545‌
78‌
West
Pharmaceutical
Services
Inc
20,089‌
5,401‌
$
121,932‌
Healthcare
-
Services
-
3.52%
Amedisys
Inc
(d)
20,575‌
4,818‌
Catalent
Inc
(d)
138,988‌
12,139‌
Charles
River
Laboratories
International
Inc
(d)
2,065‌
411‌
Chemed
Corp
739‌
364‌
DaVita
Inc
(d)
659‌
58‌
Encompass
Health
Corp
2,101‌
143‌
ICON
PLC
(d)
63,170‌
11,716‌
IQVIA
Holdings
Inc
(d)
36,575‌
5,793‌
Laboratory
Corp
of
America
Holdings
(d)
254‌
49‌
Molina
Healthcare
Inc
(d)
1,885‌
348‌
PPD
Inc
(d)
2,495‌
73‌
Syneos
Health
Inc
(d)
338‌
21‌
Teladoc
Health
Inc
(d)
27,964‌
6,645‌
$
42,578‌
Home
Builders
-
1.11%
DR
Horton
Inc
122,609‌
8,112‌
Lennar
Corp
-
A
Shares
72,602‌
5,252‌
NVR
Inc
(d)
16‌
63‌
$
13,427‌
Home
Furnishings
-
0.60%
Dolby
Laboratories
Inc
101,886‌
7,091‌
Tempur
Sealy
International
Inc
(d)
1,671‌
136‌
$
7,227‌
Housewares
-
0.05%
Scotts
Miracle-Gro
Co/The
1,810‌
287‌
Toro
Co/The
4,596‌
328‌
$
615‌
Insurance
-
0.82%
Alleghany
Corp
66‌
35‌
Arthur
J
Gallagher
&
Co
86,885‌
9,339‌
Axis
Capital
Holdings
Ltd
375‌
15‌
Brown
&
Brown
Inc
634‌
29‌
Erie
Indemnity
Co
685‌
144‌
Lincoln
National
Corp
1,138‌
42‌
Primerica
Inc
1,182‌
141‌
RenaissanceRe
Holdings
Ltd
787‌
142‌
$
9,887‌
Internet
-
4.90%
Anaplan
Inc
(d)
6,220‌
282‌
CDW
Corp/DE
102,475‌
11,912‌
Etsy
Inc
(d)
5,633‌
667‌
Expedia
Group
Inc
722‌
59‌
FireEye
Inc
(d)
2,510‌
38‌
GoDaddy
Inc
(d)
7,902‌
555‌
Grubhub
Inc
(d)
448‌
32‌
IAC/InterActiveCorp
(d)
3,579‌
474‌
Match
Group
Inc
(d)
10,452‌
1,073‌
NortonLifeLock
Inc
26,629‌
571‌
Okta
Inc
(d)
5,491‌
1,213‌
Palo
Alto
Networks
Inc
(d)
4,668‌
1,195‌
Pinterest
Inc
(d)
270,722‌
9,283‌
Proofpoint
Inc
(d)
2,702‌
313‌
Roku
Inc
(d)
4,854‌
752‌
Shopify
Inc
(d)
4,433‌
4,539‌
Spotify
Technology
SA
(d)
16,318‌
4,208‌
Twitter
Inc
(d)
184,066‌
6,700‌
VeriSign
Inc
(d)
39,479‌
8,357‌
Wayfair
Inc
(d)
2,865‌
762‌
Zendesk
Inc
(d)
68,533‌
6,247‌
Zillow
Group
Inc
-
A
Shares
(d)
319‌
22‌
Schedule
of
Investments
MidCap
Growth
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
146
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Internet
(continued)
Zillow
Group
Inc
-
C
Shares
(d)
709‌
$
49‌
$
59,303‌
Leisure
Products
&
Services
-
0.75%
Peloton
Interactive
Inc
(d)
101,648‌
6,934‌
Planet
Fitness
Inc
(d)
39,223‌
2,048‌
Polaris
Inc
304‌
32‌
Virgin
Galactic
Holdings
Inc
(d),(e)
2,465‌
55‌
$
9,069‌
Lodging
-
0.01%
Wynn
Resorts
Ltd
1,154‌
84‌
Machinery
-
Construction
&
Mining
-
0.02%
BWX
Technologies
Inc
2,908‌
158‌
Vertiv
Holdings
Co
(d)
9,493‌
138‌
$
296‌
Machinery
-
Diversified
-
3.24%
Cognex
Corp
137,649‌
9,205‌
Graco
Inc
151,925‌
8,089‌
IDEX
Corp
51,297‌
8,455‌
Nordson
Corp
2,239‌
433‌
Rockwell
Automation
Inc
41,397‌
9,030‌
Westinghouse
Air
Brake
Technologies
Corp
63,847‌
3,970‌
$
39,182‌
Media
-
1.21%
Altice
USA
Inc
(d)
15,443‌
417‌
Cable
One
Inc
5,946‌
10,837‌
FactSet
Research
Systems
Inc
1,772‌
613‌
Liberty
Media
Corp-Liberty
SiriusXM
-
A
Shares
(d)
486‌
17‌
Liberty
Media
Corp-Liberty
SiriusXM
-
C
Shares
(d)
958‌
33‌
Nexstar
Media
Group
Inc
1,392‌
122‌
Sirius
XM
Holdings
Inc
422,035‌
2,482‌
World
Wrestling
Entertainment
Inc
2,189‌
102‌
$
14,623‌
Mining
-
0.03%
Royal
Gold
Inc
2,238‌
313‌
Miscellaneous
Manufacturers
-
0.42%
AptarGroup
Inc
41,287‌
4,756‌
Axon
Enterprise
Inc
(d)
2,953‌
246‌
Donaldson
Co
Inc
663‌
32‌
$
5,034‌
Office
&
Business
Equipment
-
0.05%
Zebra
Technologies
Corp
(d)
2,292‌
644‌
Oil
&
Gas
Services
-
0.30%
Baker
Hughes
Co
156,929‌
2,431‌
National
Oilwell
Varco
Inc
107,406‌
1,236‌
$
3,667‌
Packaging
&
Containers
-
0.48%
Amcor
PLC
11,463‌
118‌
Ball
Corp
73,952‌
5,445‌
Berry
Global
Group
Inc
(d)
2,153‌
108‌
Crown
Holdings
Inc
(d)
638‌
46‌
Graphic
Packaging
Holding
Co
2,877‌
40‌
$
5,757‌
Pharmaceuticals
-
3.16%
Agios
Pharmaceuticals
Inc
(d)
297‌
14‌
AmerisourceBergen
Corp
3,340‌
335‌
Cardinal
Health
Inc
13,966‌
763‌
DexCom
Inc
(d)
36,469‌
15,883‌
Global
Blood
Therapeutics
Inc
(d)
2,792‌
188‌
Herbalife
Nutrition
Ltd
(d)
689‌
35‌
Horizon
Therapeutics
Plc
(d)
96,438‌
5,901‌
Jazz
Pharmaceuticals
PLC
(d)
40,304‌
4,363‌
McKesson
Corp
5,748‌
863‌
Neurocrine
Biosciences
Inc
(d)
4,389‌
528‌
PRA
Health
Sciences
Inc
(d)
2,563‌
273‌
Reata
Pharmaceuticals
Inc
(d)
1,011‌
149‌
Sarepta
Therapeutics
Inc
(d)
26,919‌
4,133‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
(continued)
Zoetis
Inc
31,728‌
$
4,813‌
$
38,241‌
Pipelines
-
0.05%
Cheniere
Energy
Inc
(d)
11,046‌
547‌
Equitrans
Midstream
Corp
1,900‌
18‌
$
565‌
Private
Equity
-
0.02%
Apollo
Global
Management
Inc
4,037‌
198‌
Carlyle
Group
Inc/The
554‌
16‌
$
214‌
REITs
-
1.03%
Americold
Realty
Trust
947‌
38‌
Brookfield
Property
REIT
Inc
2,602‌
30‌
CoreSite
Realty
Corp
1,291‌
167‌
Equity
LifeStyle
Properties
Inc
3,403‌
232‌
Extra
Space
Storage
Inc
4,236‌
438‌
Iron
Mountain
Inc
7,999‌
225‌
SBA
Communications
Corp
33,927‌
10,570‌
Simon
Property
Group
Inc
11,435‌
713‌
$
12,413‌
Retail
-
8.60%
AutoZone
Inc
(d)
5,706‌
6,889‌
Best
Buy
Co
Inc
1,972‌
196‌
Burlington
Stores
Inc
(d)
93,544‌
17,587‌
CarMax
Inc
(d)
582‌
56‌
Carvana
Co
(d)
2,606‌
404‌
Chipotle
Mexican
Grill
Inc
(d)
19,384‌
22,392‌
Dollar
Tree
Inc
(d)
5,358‌
500‌
Domino's
Pizza
Inc
1,860‌
719‌
Dunkin'
Brands
Group
Inc
3,332‌
229‌
Five
Below
Inc
(d)
70,939‌
7,726‌
Floor
&
Decor
Holdings
Inc
(d)
3,875‌
255‌
Lululemon
Athletica
Inc
(d)
36,410‌
11,854‌
Ollie's
Bargain
Outlet
Holdings
Inc
(d)
75,194‌
7,903‌
O'Reilly
Automotive
Inc
(d)
36,838‌
17,586‌
Tractor
Supply
Co
63,075‌
9,004‌
Ulta
Beauty
Inc
(d)
2,392‌
462‌
Wendy's
Co/The
8,555‌
198‌
Williams-Sonoma
Inc
597‌
52‌
Yum
China
Holdings
Inc
1,188‌
61‌
$
104,073‌
Semiconductors
-
5.76%
Advanced
Micro
Devices
Inc
(d)
121,726‌
9,425‌
Entegris
Inc
5,984‌
430‌
Inphi
Corp
(d)
2,280‌
298‌
IPG
Photonics
Corp
(d)
33,592‌
6,013‌
KLA
Corp
7,414‌
1,482‌
Marvell
Technology
Group
Ltd
143,948‌
5,250‌
Maxim
Integrated
Products
Inc
89,636‌
6,104‌
Microchip
Technology
Inc
179,067‌
18,216‌
MKS
Instruments
Inc
1,960‌
250‌
Monolithic
Power
Systems
Inc
55,143‌
14,613‌
Teradyne
Inc
7,896‌
703‌
Xilinx
Inc
64,909‌
6,968‌
$
69,752‌
Shipbuilding
-
0.00%
Huntington
Ingalls
Industries
Inc
191‌
33‌
Software
-
18.94%
Akamai
Technologies
Inc
(d)
6,291‌
707‌
Alteryx
Inc
(d)
68,789‌
12,072‌
ANSYS
Inc
(d)
4,090‌
1,270‌
Aspen
Technology
Inc
(d)
75,810‌
7,373‌
Bill.com
Holdings
Inc
(d)
765‌
71‌
Black
Knight
Inc
(d)
6,896‌
517‌
Broadridge
Financial
Solutions
Inc
47,705‌
6,409‌
Cadence
Design
Systems
Inc
(d)
13,166‌
1,438‌
CDK
Global
Inc
784‌
36‌
Ceridian
HCM
Holding
Inc
(d)
3,559‌
279‌
Schedule
of
Investments
MidCap
Growth
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
147
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
(continued)
Cerner
Corp
14,530‌
$
1,009‌
Change
Healthcare
Inc
(d)
8,481‌
99‌
Citrix
Systems
Inc
22,941‌
3,276‌
Cloudflare
Inc
(d)
5,203‌
217‌
Coupa
Software
Inc
(d)
3,170‌
971‌
Datadog
Inc
(d)
7,278‌
683‌
DocuSign
Inc
(d)
30,809‌
6,680‌
Dropbox
Inc
-
A
Shares
(d)
11,713‌
266‌
Dynatrace
Inc
(d)
7,247‌
303‌
Elastic
NV
(d)
51,895‌
4,992‌
Everbridge
Inc
(d)
1,635‌
233‌
Fair
Isaac
Corp
(d)
16,797‌
7,377‌
Fastly
Inc
(d)
3,475‌
335‌
Fidelity
National
Information
Services
Inc
40,103‌
5,867‌
Five9
Inc
(d)
2,944‌
356‌
Guidewire
Software
Inc
(d)
753‌
89‌
HubSpot
Inc
(d)
1,975‌
463‌
Jack
Henry
&
Associates
Inc
33,281‌
5,934‌
Manhattan
Associates
Inc
(d)
2,692‌
258‌
Medallia
Inc
(d)
3,906‌
120‌
MongoDB
Inc
(d)
1,995‌
457‌
MSCI
Inc
27,282‌
10,257‌
New
Relic
Inc
(d)
2,402‌
170‌
Nutanix
Inc
(d)
8,504‌
189‌
Paychex
Inc
12,107‌
871‌
Paycom
Software
Inc
(d)
29,559‌
8,406‌
Pegasystems
Inc
1,689‌
197‌
Pluralsight
Inc
(d)
4,475‌
95‌
PTC
Inc
(d)
122,121‌
10,449‌
RealPage
Inc
(d)
131,917‌
8,312‌
RingCentral
Inc
(d)
42,596‌
12,364‌
ServiceNow
Inc
(d)
5,216‌
2,291‌
Slack
Technologies
Inc
(d)
17,902‌
529‌
Smartsheet
Inc
(d)
5,271‌
252‌
Splunk
Inc
(d)
69,005‌
14,479‌
SS&C
Technologies
Holdings
Inc
2,242‌
129‌
Synopsys
Inc
(d)
143,105‌
28,510‌
Take-Two
Interactive
Software
Inc
(d)
90,673‌
14,872‌
Teradata
Corp
(d)
4,015‌
84‌
Twilio
Inc
(d)
5,104‌
1,416‌
Tyler
Technologies
Inc
(d)
55,358‌
19,777‌
Veeva
Systems
Inc
(d)
80,317‌
21,249‌
Workday
Inc
(d)
21,131‌
3,823‌
Zynga
Inc
(d)
34,822‌
342‌
$
229,220‌
Telecommunications
-
0.08%
Arista
Networks
Inc
(d)
2,304‌
598‌
CommScope
Holding
Co
Inc
(d)
605‌
6‌
LogMeIn
Inc
203‌
17‌
Motorola
Solutions
Inc
828‌
116‌
PagerDuty
Inc
(d)
3,265‌
99‌
Switch
Inc
4,206‌
76‌
Ubiquiti
Inc
329‌
61‌
$
973‌
Toys,
Games
&
Hobbies
-
0.01%
Mattel
Inc
(d)
9,717‌
108‌
Transportation
-
1.10%
CH
Robinson
Worldwide
Inc
993‌
93‌
Expeditors
International
of
Washington
Inc
4,858‌
410‌
JB
Hunt
Transport
Services
Inc
42,660‌
5,520‌
Landstar
System
Inc
1,476‌
180‌
Old
Dominion
Freight
Line
Inc
39,051‌
7,140‌
XPO
Logistics
Inc
(d)
231‌
17‌
$
13,360‌
TOTAL
COMMON
STOCKS
$
1,179,510‌
Total
Investments
$
1,216,049‌
Other
Assets
and
Liabilities
-  (0.47)%
(5,636‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,210,413‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$3,977
or
0.33%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Non-cyclical
30.46‌%
Technology
27.44‌%
Consumer,
Cyclical
17.19‌%
Industrial
12.68‌%
Communications
6.26‌%
Money
Market
Funds
2.90‌%
Financial
2.66‌%
Energy
0.41‌%
Basic
Materials
0.34‌%
Investment
Companies
0.12‌%
Utilities
0.01‌%
Other
Assets
and
Liabilities
(0.47‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
MidCap
Growth
Fund
III
July
31,
2020
(unaudited)
See
accompanying
notes.
148
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
19,809‌
$
459,341‌
$
448,004‌
$
31,146‌
Principal
Healthcare
Innovators
Index
ETF
171‌
—‌
218‌
—‌
Principal
Shareholder
Yield
Index
ETF
306‌
—‌
260‌
—‌
Principal
Sustainable
Momentum
Index
ETF
56‌
—‌
56‌
—‌
$
20,342‌
$
459,341‌
$
448,538‌
$
31,146‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
145‌
$
—‌
$
—‌
$
—‌
Principal
Healthcare
Innovators
Index
ETF
—‌
56‌
—‌
(9‌)
Principal
Shareholder
Yield
Index
ETF
3‌
(36‌)
—‌
(10‌)
Principal
Sustainable
Momentum
Index
ETF
—‌
3‌
—‌
(3‌)
$
148‌
$
23‌
$
—‌
$
(22‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
Mid
400
Emini;
September
2020
Long
35‌
$
6,512‌
$
119‌
Total
$
119‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
MidCap
S&P
400
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
149
INVESTMENT
COMPANIES
-
1.67%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.17%
iShares
Core
S&P
Mid-Cap
ETF
9,100‌
$
1,692‌
Money
Market
Funds
-
1.50%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
4,497,298‌
4,497‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
10,859,950‌
10,860‌
$
15,357‌
TOTAL
INVESTMENT
COMPANIES
$
17,049‌
COMMON
STOCKS
-
99.23%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
0.45%
Hexcel
Corp
51,425‌
$
1,918‌
Mercury
Systems
Inc
(d)
34,246‌
2,652‌
$
4,570‌
Agriculture
-
0.28%
Darling
Ingredients
Inc
(d)
101,039‌
2,822‌
Airlines
-
0.17%
JetBlue
Airways
Corp
(d)
166,127‌
1,718‌
Apparel
-
0.93%
Carter's
Inc
26,862‌
2,115‌
Columbia
Sportswear
Co
17,512‌
1,328‌
Deckers
Outdoor
Corp
(d)
17,247‌
3,609‌
Skechers
USA
Inc
(d)
83,876‌
2,456‌
$
9,508‌
Automobile
Parts
&
Equipment
-
0.88%
Adient
PLC
(d)
53,776‌
895‌
Dana
Inc
88,993‌
1,017‌
Delphi
Technologies
PLC
(d)
53,187‌
797‌
Goodyear
Tire
&
Rubber
Co/The
143,324‌
1,291‌
Lear
Corp
33,587‌
3,707‌
Visteon
Corp
(d)
17,138‌
1,245‌
$
8,952‌
Banks
-
5.51%
Associated
Banc-Corp
94,656‌
1,215‌
BancorpSouth
Bank
59,874‌
1,253‌
Bank
of
Hawaii
Corp
24,645‌
1,396‌
Bank
OZK
74,458‌
1,791‌
Cathay
General
Bancorp
46,552‌
1,126‌
CIT
Group
Inc
60,588‌
1,149‌
Commerce
Bancshares
Inc/MO
61,829‌
3,540‌
Cullen/Frost
Bankers
Inc
35,061‌
2,526‌
East
West
Bancorp
Inc
87,149‌
3,020‌
First
Financial
Bankshares
Inc
87,496‌
2,618‌
First
Horizon
National
Corp
340,292‌
3,154‌
FNB
Corp/PA
198,990‌
1,474‌
Fulton
Financial
Corp
99,658‌
967‌
Glacier
Bancorp
Inc
54,648‌
1,930‌
Hancock
Whitney
Corp
53,146‌
1,013‌
Home
BancShares
Inc/AR
94,603‌
1,545‌
International
Bancshares
Corp
34,295‌
1,043‌
PacWest
Bancorp
71,746‌
1,311‌
Pinnacle
Financial
Partners
Inc
43,915‌
1,740‌
Prosperity
Bancshares
Inc
57,075‌
3,171‌
Signature
Bank/New
York
NY
32,996‌
3,383‌
Synovus
Financial
Corp
90,721‌
1,828‌
TCF
Financial
Corp
93,692‌
2,576‌
Texas
Capital
Bancshares
Inc
(d)
31,059‌
1,032‌
Trustmark
Corp
39,063‌
880‌
UMB
Financial
Corp
26,092‌
1,299‌
Umpqua
Holdings
Corp
135,642‌
1,472‌
United
Bankshares
Inc/WV
78,338‌
2,062‌
Valley
National
Bancorp
241,261‌
1,802‌
Webster
Financial
Corp
55,541‌
1,515‌
Wintrust
Financial
Corp
35,459‌
1,518‌
$
56,349‌
Beverages
-
0.47%
Boston
Beer
Co
Inc/The
(d)
5,948‌
4,821‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
-
1.64%
Arrowhead
Pharmaceuticals
Inc
(d)
62,687‌
$
2,700‌
Emergent
BioSolutions
Inc
(d)
27,454‌
3,054‌
Exelixis
Inc
(d)
188,887‌
4,361‌
Ligand
Pharmaceuticals
Inc
(d)
9,887‌
1,159‌
Nektar
Therapeutics
(d)
109,632‌
2,429‌
United
Therapeutics
Corp
(d)
27,110‌
3,022‌
$
16,725‌
Building
Materials
-
2.11%
Eagle
Materials
Inc
25,632‌
2,056‌
Lennox
International
Inc
21,440‌
5,749‌
Louisiana-Pacific
Corp
69,113‌
2,189‌
MDU
Resources
Group
Inc
123,511‌
2,591‌
Owens
Corning
66,424‌
4,017‌
Trex
Co
Inc
(d)
35,637‌
4,965‌
$
21,567‌
Chemicals
-
2.22%
Ashland
Global
Holdings
Inc
37,236‌
2,811‌
Avient
Corp
56,295‌
1,345‌
Cabot
Corp
34,771‌
1,268‌
Chemours
Co/The
101,149‌
1,874‌
Ingevity
Corp
(d)
25,382‌
1,484‌
Minerals
Technologies
Inc
21,011‌
985‌
NewMarket
Corp
4,448‌
1,667‌
Olin
Corp
97,229‌
1,093‌
RPM
International
Inc
79,759‌
6,508‌
Sensient
Technologies
Corp
26,089‌
1,362‌
Valvoline
Inc
113,970‌
2,339‌
$
22,736‌
Commercial
Services
-
4.04%
Aaron's
Inc
41,616‌
2,171‌
Adtalem
Global
Education
Inc
(d)
31,908‌
1,096‌
ASGN
Inc
(d)
32,337‌
2,214‌
Avis
Budget
Group
Inc
(d),(e)
32,989‌
854‌
Brink's
Co/The
31,096‌
1,379‌
CoreLogic
Inc/United
States
48,911‌
3,334‌
FTI
Consulting
Inc
(d)
22,852‌
2,729‌
Graham
Holdings
Co
2,634‌
1,049‌
Grand
Canyon
Education
Inc
(d)
29,142‌
2,586‌
HealthEquity
Inc
(d)
46,803‌
2,413‌
Insperity
Inc
22,445‌
1,501‌
LiveRamp
Holdings
Inc
(d)
40,248‌
1,834‌
ManpowerGroup
Inc
35,755‌
2,460‌
Paylocity
Holding
Corp
(d)
22,157‌
2,951‌
Sabre
Corp
169,709‌
1,283‌
Service
Corp
International/US
109,728‌
4,758‌
Strategic
Education
Inc
13,684‌
1,727‌
WEX
Inc
(d)
26,802‌
4,245‌
WW
International
Inc
(d)
28,702‌
740‌
$
41,324‌
Computers
-
1.91%
CACI
International
Inc
(d)
15,453‌
3,211‌
Lumentum
Holdings
Inc
(d)
46,135‌
4,283‌
MAXIMUS
Inc
37,766‌
2,802‌
NCR
Corp
(d)
78,718‌
1,451‌
NetScout
Systems
Inc
(d)
39,146‌
997‌
Perspecta
Inc
84,076‌
1,799‌
Qualys
Inc
(d)
20,635‌
2,548‌
Science
Applications
International
Corp
30,428‌
2,434‌
$
19,525‌
Consumer
Products
-
0.29%
Helen
of
Troy
Ltd
(d)
15,550‌
2,927‌
Cosmetics
&
Personal
Care
-
0.10%
Edgewell
Personal
Care
Co
(d)
33,469‌
1,000‌
Distribution
&
Wholesale
-
1.84%
IAA
Inc
(d)
82,502‌
3,577‌
KAR
Auction
Services
Inc
79,589‌
1,204‌
Pool
Corp
24,600‌
7,791‌
Univar
Solutions
Inc
(d)
85,308‌
1,507‌
Schedule
of
Investments
MidCap
S&P
400
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
150
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Distribution
&
Wholesale
(continued)
Watsco
Inc
20,179‌
$
4,764‌
$
18,843‌
Diversified
Financial
Services
-
2.47%
Affiliated
Managers
Group
Inc
29,096‌
2,002‌
Alliance
Data
Systems
Corp
26,108‌
1,158‌
Eaton
Vance
Corp
70,174‌
2,536‌
Evercore
Inc
-
Class
A
24,967‌
1,381‌
Federated
Hermes
Inc
59,064‌
1,557‌
Interactive
Brokers
Group
Inc
-
A
Shares
47,276‌
2,345‌
Janus
Henderson
Group
PLC
94,536‌
1,975‌
Jefferies
Financial
Group
Inc
139,093‌
2,253‌
LendingTree
Inc
(d),(e)
4,749‌
1,645‌
Navient
Corp
105,054‌
836‌
SEI
Investments
Co
76,540‌
4,005‌
SLM
Corp
231,042‌
1,564‌
Stifel
Financial
Corp
42,199‌
2,046‌
$
25,303‌
Electric
-
1.70%
ALLETE
Inc
31,897‌
1,891‌
Black
Hills
Corp
38,649‌
2,236‌
Hawaiian
Electric
Industries
Inc
67,227‌
2,438‌
IDACORP
Inc
31,076‌
2,898‌
NorthWestern
Corp
31,100‌
1,750‌
OGE
Energy
Corp
123,294‌
4,056‌
PNM
Resources
Inc
49,062‌
2,072‌
$
17,341‌
Electrical
Components
&
Equipment
-
1.97%
Acuity
Brands
Inc
24,415‌
2,419‌
Belden
Inc
23,568‌
745‌
Energizer
Holdings
Inc
39,214‌
1,966‌
EnerSys
26,147‌
1,759‌
Generac
Holdings
Inc
(d)
38,608‌
6,084‌
Littelfuse
Inc
14,954‌
2,656‌
Universal
Display
Corp
26,114‌
4,556‌
$
20,185‌
Electronics
-
3.91%
Arrow
Electronics
Inc
(d)
48,455‌
3,470‌
Avnet
Inc
60,832‌
1,625‌
Coherent
Inc
(d)
14,939‌
2,074‌
Gentex
Corp
150,830‌
4,071‌
Hubbell
Inc
33,386‌
4,506‌
II-VI
Inc
(d)
59,443‌
3,015‌
Jabil
Inc
84,480‌
2,945‌
National
Instruments
Corp
72,396‌
2,570‌
nVent
Electric
PLC
96,249‌
1,748‌
SYNNEX
Corp
25,365‌
3,164‌
Trimble
Inc
(d)
153,841‌
6,848‌
Vishay
Intertechnology
Inc
81,642‌
1,281‌
Woodward
Inc
34,913‌
2,616‌
$
39,933‌
Energy
-
Alternate
Sources
-
1.27%
Enphase
Energy
Inc
(d)
50,130‌
3,025‌
First
Solar
Inc
(d)
46,968‌
2,797‌
SolarEdge
Technologies
Inc
(d)
30,571‌
5,353‌
Sunrun
Inc
(d)
48,915‌
1,795‌
$
12,970‌
Engineering
&
Construction
-
1.34%
AECOM
(d)
98,604‌
3,568‌
Dycom
Industries
Inc
(d)
19,485‌
835‌
EMCOR
Group
Inc
33,782‌
2,314‌
Fluor
Corp
86,339‌
880‌
KBR
Inc
87,648‌
1,949‌
MasTec
Inc
(d)
35,888‌
1,428‌
TopBuild
Corp
(d)
20,546‌
2,710‌
$
13,684‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Entertainment
-
1.25%
Caesars
Entertainment
Inc
(d)
94,331‌
$
2,929‌
Churchill
Downs
Inc
21,619‌
2,995‌
Cinemark
Holdings
Inc
65,911‌
780‌
Marriott
Vacations
Worldwide
Corp
22,505‌
1,905‌
Penn
National
Gaming
Inc
(d)
79,560‌
2,693‌
Scientific
Games
Corp
(d)
33,750‌
593‌
Six
Flags
Entertainment
Corp
48,510‌
843‌
$
12,738‌
Environmental
Control
-
0.80%
Clean
Harbors
Inc
(d)
31,495‌
1,877‌
Stericycle
Inc
(d)
56,308‌
3,403‌
Tetra
Tech
Inc
33,278‌
2,950‌
$
8,230‌
Food
-
2.02%
Flowers
Foods
Inc
118,590‌
2,698‌
Grocery
Outlet
Holding
Corp
(d)
39,145‌
1,722‌
Hain
Celestial
Group
Inc/The
(d)
48,354‌
1,643‌
Ingredion
Inc
41,252‌
3,568‌
Lancaster
Colony
Corp
12,203‌
1,935‌
Pilgrim's
Pride
Corp
(d)
31,915‌
490‌
Post
Holdings
Inc
(d)
39,473‌
3,503‌
Sanderson
Farms
Inc
12,193‌
1,360‌
Sprouts
Farmers
Market
Inc
(d)
72,549‌
1,914‌
Tootsie
Roll
Industries
Inc
(e)
10,533‌
334‌
TreeHouse
Foods
Inc
(d)
34,759‌
1,523‌
$
20,690‌
Food
Service
-
0.12%
Healthcare
Services
Group
Inc
45,836‌
1,200‌
Forest
Products
&
Paper
-
0.07%
Domtar
Corp
33,995‌
714‌
Gas
-
1.48%
National
Fuel
Gas
Co
55,657‌
2,258‌
New
Jersey
Resources
Corp
58,977‌
1,832‌
ONE
Gas
Inc
32,562‌
2,465‌
Southwest
Gas
Holdings
Inc
33,949‌
2,364‌
Spire
Inc
31,557‌
1,946‌
UGI
Corp
128,282‌
4,277‌
$
15,142‌
Hand
&
Machine
Tools
-
1.08%
Colfax
Corp
(d)
51,746‌
1,505‌
Kennametal
Inc
51,070‌
1,377‌
Lincoln
Electric
Holdings
Inc
36,580‌
3,306‌
MSA
Safety
Inc
22,015‌
2,609‌
Regal
Beloit
Corp
24,959‌
2,296‌
$
11,093‌
Healthcare
-
Products
-
4.75%
Avanos
Medical
Inc
(d)
29,414‌
902‌
Bio-Techne
Corp
23,544‌
6,478‌
Cantel
Medical
Corp
22,849‌
1,080‌
Globus
Medical
Inc
(d)
46,605‌
2,245‌
Haemonetics
Corp
(d)
31,036‌
2,721‌
Hill-Rom
Holdings
Inc
40,996‌
3,986‌
ICU
Medical
Inc
(d)
11,934‌
2,193‌
Integra
LifeSciences
Holdings
Corp
(d)
43,375‌
2,071‌
LivaNova
PLC
(d)
29,924‌
1,393‌
Masimo
Corp
(d)
30,667‌
6,750‌
NuVasive
Inc
(d)
31,566‌
1,804‌
Patterson
Cos
Inc
53,110‌
1,410‌
Penumbra
Inc
(d)
20,366‌
4,519‌
Quidel
Corp
(d)
23,541‌
6,650‌
Repligen
Corp
(d)
28,997‌
4,376‌
$
48,578‌
Healthcare
-
Services
-
4.46%
Acadia
Healthcare
Co
Inc
(d)
54,783‌
1,633‌
Amedisys
Inc
(d)
19,945‌
4,670‌
Catalent
Inc
(d)
100,181‌
8,750‌
Charles
River
Laboratories
International
Inc
(d)
30,482‌
6,066‌
Chemed
Corp
9,780‌
4,814‌
Schedule
of
Investments
MidCap
S&P
400
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
151
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Healthcare
-
Services
(continued)
Encompass
Health
Corp
61,227‌
$
4,168‌
LHC
Group
Inc
(d)
18,291‌
3,569‌
MEDNAX
Inc
(d)
52,607‌
1,051‌
Molina
Healthcare
Inc
(d)
36,466‌
6,735‌
Syneos
Health
Inc
(d)
38,496‌
2,402‌
Tenet
Healthcare
Corp
(d)
64,498‌
1,705‌
$
45,563‌
Home
Builders
-
1.14%
KB
Home
53,594‌
1,803‌
Taylor
Morrison
Home
Corp
(d)
79,828‌
1,872‌
Thor
Industries
Inc
34,000‌
3,876‌
Toll
Brothers
Inc
71,191‌
2,719‌
TRI
Pointe
Group
Inc
(d)
80,219‌
1,341‌
$
11,611‌
Home
Furnishings
-
0.21%
Tempur
Sealy
International
Inc
(d)
26,666‌
2,159‌
Housewares
-
0.84%
Scotts
Miracle-Gro
Co/The
24,275‌
3,849‌
Toro
Co/The
66,013‌
4,710‌
$
8,559‌
Insurance
-
4.77%
Alleghany
Corp
8,816‌
4,605‌
American
Financial
Group
Inc/OH
45,930‌
2,791‌
Brighthouse
Financial
Inc
(d)
57,803‌
1,638‌
Brown
&
Brown
Inc
144,887‌
6,588‌
CNO
Financial
Group
Inc
88,461‌
1,336‌
Essent
Group
Ltd
68,137‌
2,441‌
First
American
Financial
Corp
68,630‌
3,501‌
Genworth
Financial
Inc
(d)
310,017‌
632‌
Hanover
Insurance
Group
Inc/The
23,405‌
2,385‌
Kemper
Corp
37,781‌
2,967‌
Mercury
General
Corp
16,706‌
717‌
Old
Republic
International
Corp
176,010‌
2,829‌
Primerica
Inc
25,120‌
3,006‌
Reinsurance
Group
of
America
Inc
41,774‌
3,561‌
RenaissanceRe
Holdings
Ltd
30,984‌
5,589‌
RLI
Corp
24,626‌
2,170‌
Selective
Insurance
Group
Inc
36,776‌
1,998‌
$
48,754‌
Internet
-
1.47%
Etsy
Inc
(d)
73,101‌
8,654‌
Grubhub
Inc
(d)
56,639‌
4,092‌
TripAdvisor
Inc
62,060‌
1,255‌
Yelp
Inc
(d)
40,294‌
1,006‌
$
15,007‌
Iron
&
Steel
-
1.03%
Allegheny
Technologies
Inc
(d)
77,997‌
678‌
Commercial
Metals
Co
73,335‌
1,517‌
Reliance
Steel
&
Aluminum
Co
39,200‌
3,852‌
Steel
Dynamics
Inc
129,555‌
3,551‌
United
States
Steel
Corp
(e)
135,658‌
903‌
$
10,501‌
Leisure
Products
&
Services
-
0.92%
Brunswick
Corp/DE
48,739‌
3,264‌
Harley-Davidson
Inc
94,347‌
2,456‌
Polaris
Inc
35,462‌
3,675‌
$
9,395‌
Lodging
-
0.66%
Boyd
Gaming
Corp
49,337‌
1,168‌
Choice
Hotels
International
Inc
19,435‌
1,633‌
Wyndham
Destinations
Inc
52,438‌
1,395‌
Wyndham
Hotels
&
Resorts
Inc
57,340‌
2,532‌
$
6,728‌
Machinery
-
Construction
&
Mining
-
0.39%
Oshkosh
Corp
41,927‌
3,301‌
Terex
Corp
39,270‌
740‌
$
4,041‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Machinery
-
Diversified
-
2.74%
AGCO
Corp
38,276‌
$
2,512‌
Cognex
Corp
105,751‌
7,072‌
Crane
Co
30,355‌
1,717‌
Curtiss-Wright
Corp
25,655‌
2,286‌
Graco
Inc
102,616‌
5,463‌
Middleby
Corp/The
(d)
34,233‌
2,843‌
Nordson
Corp
31,620‌
6,123‌
$
28,016‌
Media
-
2.20%
AMC
Networks
Inc
(d)
24,980‌
577‌
Cable
One
Inc
3,241‌
5,907‌
FactSet
Research
Systems
Inc
23,328‌
8,078‌
John
Wiley
&
Sons
Inc
26,905‌
910‌
New
York
Times
Co/The
88,881‌
4,101‌
TEGNA
Inc
134,603‌
1,586‌
World
Wrestling
Entertainment
Inc
28,528‌
1,330‌
$
22,489‌
Metal
Fabrication
&
Hardware
-
0.42%
Timken
Co/The
41,612‌
1,900‌
Valmont
Industries
Inc
13,156‌
1,595‌
Worthington
Industries
Inc
22,581‌
845‌
$
4,340‌
Mining
-
0.66%
Compass
Minerals
International
Inc
20,882‌
1,064‌
Royal
Gold
Inc
40,395‌
5,652‌
$
6,716‌
Miscellaneous
Manufacturers
-
1.93%
AptarGroup
Inc
39,536‌
4,555‌
Axon
Enterprise
Inc
(d)
38,696‌
3,217‌
Carlisle
Cos
Inc
33,826‌
4,028‌
Donaldson
Co
Inc
77,688‌
3,755‌
ITT
Inc
53,156‌
3,069‌
Trinity
Industries
Inc
58,064‌
1,134‌
$
19,758‌
Office
Furnishings
-
0.16%
Herman
Miller
Inc
36,198‌
848‌
HNI
Corp
26,267‌
780‌
$
1,628‌
Oil
&
Gas
-
1.09%
Cimarex
Energy
Co
62,889‌
1,538‌
CNX
Resources
Corp
(d)
115,219‌
1,112‌
EQT
Corp
157,407‌
2,286‌
Murphy
Oil
Corp
89,969‌
1,188‌
Murphy
USA
Inc
(d)
16,896‌
2,237‌
PBF
Energy
Inc
62,820‌
545‌
Transocean
Ltd
(d),(e)
355,839‌
726‌
WPX
Energy
Inc
(d)
251,535‌
1,502‌
$
11,134‌
Oil
&
Gas
Services
-
0.11%
ChampionX
Corp
(d)
114,418‌
1,088‌
Packaging
&
Containers
-
0.64%
Greif
Inc
-
Class
A
16,286‌
567‌
O-I
Glass
Inc
96,440‌
1,007‌
Silgan
Holdings
Inc
47,802‌
1,828‌
Sonoco
Products
Co
61,797‌
3,197‌
$
6,599‌
Pharmaceuticals
-
0.52%
PRA
Health
Sciences
Inc
(d)
39,191‌
4,176‌
Prestige
Consumer
Healthcare
Inc
(d)
30,848‌
1,147‌
$
5,323‌
Pipelines
-
0.33%
Antero
Midstream
Corp
173,165‌
982‌
Equitrans
Midstream
Corp
250,340‌
2,416‌
$
3,398‌
Real
Estate
-
0.31%
Jones
Lang
LaSalle
Inc
31,802‌
3,146‌
Schedule
of
Investments
MidCap
S&P
400
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
152
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
-
9.52%
American
Campus
Communities
Inc
84,756‌
$
3,021‌
Brixmor
Property
Group
Inc
182,598‌
2,102‌
Camden
Property
Trust
59,981‌
5,447‌
CoreCivic
Inc
73,684‌
657‌
CoreSite
Realty
Corp
24,828‌
3,204‌
Corporate
Office
Properties
Trust
69,090‌
1,829‌
Cousins
Properties
Inc
91,492‌
2,811‌
CyrusOne
Inc
70,957‌
5,919‌
Douglas
Emmett
Inc
101,540‌
2,959‌
EastGroup
Properties
Inc
24,057‌
3,191‌
EPR
Properties
47,724‌
1,366‌
First
Industrial
Realty
Trust
Inc
78,353‌
3,441‌
GEO
Group
Inc/The
74,752‌
795‌
Healthcare
Realty
Trust
Inc
83,111‌
2,435‌
Highwoods
Properties
Inc
63,988‌
2,453‌
Hudson
Pacific
Properties
Inc
94,424‌
2,226‌
JBG
SMITH
Properties
72,415‌
2,101‌
Kilroy
Realty
Corp
65,208‌
3,800‌
Lamar
Advertising
Co
53,180‌
3,496‌
Life
Storage
Inc
28,894‌
2,835‌
Macerich
Co/The
71,617‌
546‌
Mack-Cali
Realty
Corp
55,802‌
805‌
Medical
Properties
Trust
Inc
325,428‌
6,551‌
National
Retail
Properties
Inc
105,920‌
3,755‌
Omega
Healthcare
Investors
Inc
139,760‌
4,525‌
Park
Hotels
&
Resorts
Inc
145,115‌
1,200‌
Pebblebrook
Hotel
Trust
80,539‌
854‌
Physicians
Realty
Trust
124,766‌
2,251‌
PotlatchDeltic
Corp
41,238‌
1,765‌
PS
Business
Parks
Inc
12,357‌
1,705‌
Rayonier
Inc
85,287‌
2,369‌
Rexford
Industrial
Realty
Inc
75,564‌
3,546‌
Sabra
Health
Care
REIT
Inc
126,614‌
1,866‌
Service
Properties
Trust
101,364‌
679‌
Spirit
Realty
Capital
Inc
63,405‌
2,185‌
STORE
Capital
Corp
137,049‌
3,247‌
Taubman
Centers
Inc
37,946‌
1,469‌
Urban
Edge
Properties
68,190‌
715‌
Weingarten
Realty
Investors
74,170‌
1,265‌
$
97,386‌
Retail
-
4.70%
American
Eagle
Outfitters
Inc
95,825‌
958‌
AutoNation
Inc
(d)
35,455‌
1,820‌
BJ's
Wholesale
Club
Holdings
Inc
(d)
75,983‌
3,043‌
Casey's
General
Stores
Inc
22,664‌
3,608‌
Cracker
Barrel
Old
Country
Store
Inc
14,595‌
1,612‌
Dick's
Sporting
Goods
Inc
40,131‌
1,831‌
Dunkin'
Brands
Group
Inc
50,577‌
3,476‌
FirstCash
Inc
25,525‌
1,471‌
Five
Below
Inc
(d)
34,329‌
3,739‌
Foot
Locker
Inc
64,176‌
1,886‌
Jack
in
the
Box
Inc
13,964‌
1,147‌
MSC
Industrial
Direct
Co
Inc
27,979‌
1,847‌
Nordstrom
Inc
(e)
66,725‌
913‌
Nu
Skin
Enterprises
Inc
31,966‌
1,434‌
Ollie's
Bargain
Outlet
Holdings
Inc
(d)
34,829‌
3,661‌
Papa
John's
International
Inc
13,720‌
1,299‌
RH
(d)
10,219‌
2,937‌
Sally
Beauty
Holdings
Inc
(d)
69,523‌
807‌
Texas
Roadhouse
Inc
40,129‌
2,255‌
Urban
Outfitters
Inc
(d)
43,361‌
717‌
Wendy's
Co/The
109,735‌
2,544‌
Williams-Sonoma
Inc
47,894‌
4,172‌
World
Fuel
Services
Corp
39,001‌
918‌
$
48,095‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Savings
&
Loans
-
0.53%
New
York
Community
Bancorp
Inc
285,764‌
$
3,009‌
Sterling
Bancorp/DE
119,776‌
1,348‌
Washington
Federal
Inc
46,631‌
1,088‌
$
5,445‌
Semiconductors
-
3.57%
Cabot
Microelectronics
Corp
17,902‌
2,698‌
Cirrus
Logic
Inc
(d)
35,955‌
2,464‌
Cree
Inc
(d)
66,621‌
4,592‌
MKS
Instruments
Inc
33,799‌
4,307‌
Monolithic
Power
Systems
Inc
25,630‌
6,792‌
Semtech
Corp
(d)
40,129‌
2,236‌
Silicon
Laboratories
Inc
(d)
26,907‌
2,705‌
Synaptics
Inc
(d)
20,964‌
1,678‌
Teradyne
Inc
102,105‌
9,083‌
$
36,555‌
Software
-
3.26%
ACI
Worldwide
Inc
(d)
71,416‌
1,913‌
Blackbaud
Inc
30,563‌
1,911‌
CDK
Global
Inc
74,854‌
3,403‌
Ceridian
HCM
Holding
Inc
(d)
62,528‌
4,895‌
CommVault
Systems
Inc
(d)
26,162‌
1,153‌
Fair
Isaac
Corp
(d)
17,866‌
7,847‌
J2
Global
Inc
(d)
27,920‌
1,584‌
Manhattan
Associates
Inc
(d)
39,111‌
3,747‌
PTC
Inc
(d)
64,135‌
5,487‌
Teradata
Corp
(d)
66,832‌
1,404‌
$
33,344‌
Telecommunications
-
1.16%
Ciena
Corp
(d)
94,636‌
5,632‌
InterDigital
Inc
18,941‌
1,137‌
LogMeIn
Inc
30,040‌
2,578‌
Telephone
and
Data
Systems
Inc
60,127‌
1,167‌
ViaSat
Inc
(d)
35,982‌
1,366‌
$
11,880‌
Toys,
Games
&
Hobbies
-
0.23%
Mattel
Inc
(d)
213,672‌
2,374‌
Transportation
-
1.45%
Kirby
Corp
(d)
36,979‌
1,710‌
Knight-Swift
Transportation
Holdings
Inc
75,313‌
3,275‌
Landstar
System
Inc
23,636‌
2,879‌
Ryder
System
Inc
33,097‌
1,212‌
Werner
Enterprises
Inc
35,324‌
1,554‌
XPO
Logistics
Inc
(d)
56,129‌
4,211‌
$
14,841‌
Trucking
&
Leasing
-
0.13%
GATX
Corp
21,496‌
1,311‌
Water
-
0.61%
Essential
Utilities
Inc
137,348‌
6,229‌
TOTAL
COMMON
STOCKS
$
1,014,601‌
Total
Investments
$
1,031,650‌
Other
Assets
and
Liabilities
-  (0.90)%
(9,206‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,022,444‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$4,497
or
0.44%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Schedule
of
Investments
MidCap
S&P
400
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
153
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
23.11‌%
Industrial
19.36‌%
Consumer,
Non-cyclical
18.57‌%
Consumer,
Cyclical
14.05‌%
Technology
8.74‌%
Communications
4.83‌%
Basic
Materials
3.98‌%
Utilities
3.79‌%
Energy
2.80‌%
Money
Market
Funds
1.50‌%
Investment
Companies
0.17‌%
Other
Assets
and
Liabilities
(0.90‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
10,157‌
$
316,355‌
$
315,652‌
$
10,860‌
$
10,157‌
$
316,355‌
$
315,652‌
$
10,860‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
87‌
$
—‌
$
—‌
$
—‌
$
87‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
Mid
400
Emini;
September
2020
Long
36‌
$
6,698‌
$
458‌
Total
$
458‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
154
INVESTMENT
COMPANIES
-
1.71%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.14%
iShares
Russell
Mid-Cap
Value
ETF
37,733‌
$
3,021‌
Money
Market
Funds
-
1.57%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
1,652,657‌
1,653‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(c),(d)
33,101,601‌
33,101‌
$
34,754‌
TOTAL
INVESTMENT
COMPANIES
$
37,775‌
COMMON
STOCKS
-
98.63%
Shares
Held
Value
(000's)
Advertising
-
1.01%
Interpublic
Group
of
Cos
Inc/The
1,207,095‌
$
21,788‌
Omnicom
Group
Inc
12,230‌
657‌
$
22,445‌
Aerospace
&
Defense
-
0.26%
HEICO
Corp
534‌
51‌
HEICO
Corp
-
Class
A
874‌
67‌
Hexcel
Corp
91,760‌
3,423‌
Howmet
Aerospace
Inc
22,701‌
335‌
Mercury
Systems
Inc
(d)
619‌
48‌
Spirit
AeroSystems
Holdings
Inc
6,024‌
118‌
Teledyne
Technologies
Inc
(d)
2,083‌
639‌
TransDigm
Group
Inc
2,335‌
1,008‌
$
5,689‌
Agriculture
-
1.81%
Archer-Daniels-Midland
Co
927,879‌
39,741‌
Bunge
Ltd
7,938‌
345‌
$
40,086‌
Airlines
-
0.48%
Alaska
Air
Group
Inc
146,845‌
5,057‌
American
Airlines
Group
Inc
(e)
28,409‌
316‌
Copa
Holdings
SA
1,801‌
75‌
Delta
Air
Lines
Inc
36,680‌
916‌
JetBlue
Airways
Corp
(d)
15,493‌
160‌
Southwest
Airlines
Co
117,949‌
3,643‌
United
Airlines
Holdings
Inc
(d)
16,690‌
524‌
$
10,691‌
Apparel
-
0.31%
Capri
Holdings
Ltd
(d)
8,157‌
122‌
Carter's
Inc
2,461‌
194‌
Columbia
Sportswear
Co
1,652‌
125‌
Hanesbrands
Inc
305,337‌
4,315‌
PVH
Corp
4,037‌
197‌
Ralph
Lauren
Corp
2,745‌
196‌
Skechers
USA
Inc
(d)
7,689‌
225‌
Tapestry
Inc
15,901‌
212‌
Under
Armour
Inc
-
Class
A
(d),(e)
10,821‌
114‌
Under
Armour
Inc
-
Class
C
(d)
10,885‌
103‌
VF
Corp
17,699‌
1,068‌
$
6,871‌
Automobile
Manufacturers
-
0.38%
Cummins
Inc
8,483‌
1,639‌
Ford
Motor
Co
776,751‌
5,134‌
PACCAR
Inc
19,519‌
1,661‌
$
8,434‌
Automobile
Parts
&
Equipment
-
2.05%
Allison
Transmission
Holdings
Inc
2,278‌
85‌
Aptiv
PLC
138,809‌
10,792‌
BorgWarner
Inc
929,599‌
34,024‌
Lear
Corp
3,445‌
380‌
$
45,281‌
Banks
-
4.09%
Associated
Banc-Corp
8,713‌
112‌
Bank
of
Hawaii
Corp
38,938‌
2,205‌
Bank
OZK
7,019‌
169‌
BOK
Financial
Corp
1,800‌
100‌
Citizens
Financial
Group
Inc
24,512‌
608‌
Comerica
Inc
8,001‌
308‌
Commerce
Bancshares
Inc/MO
5,782‌
331‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Cullen/Frost
Bankers
Inc
3,216‌
$
232‌
East
West
Bancorp
Inc
8,106‌
281‌
Fifth
Third
Bancorp
40,913‌
813‌
First
Citizens
BancShares
Inc/NC
376‌
160‌
First
Hawaiian
Inc
7,450‌
130‌
First
Horizon
National
Corp
31,256‌
290‌
First
Republic
Bank/CA
9,797‌
1,102‌
FNB
Corp/PA
18,519‌
137‌
Huntington
Bancshares
Inc/OH
58,087‌
538‌
KeyCorp
55,882‌
671‌
M&T
Bank
Corp
7,365‌
780‌
Northern
Trust
Corp
11,047‌
866‌
PacWest
Bancorp
6,708‌
123‌
Pinnacle
Financial
Partners
Inc
4,246‌
168‌
Popular
Inc
110,850‌
4,113‌
Prosperity
Bancshares
Inc
392,230‌
21,792‌
Regions
Financial
Corp
55,266‌
600‌
Signature
Bank/New
York
NY
2,991‌
307‌
State
Street
Corp
92,158‌
5,879‌
SVB
Financial
Group
(d)
27,714‌
6,216‌
Synovus
Financial
Corp
8,406‌
169‌
TCF
Financial
Corp
561,373‌
15,432‌
Umpqua
Holdings
Corp
12,645‌
137‌
Webster
Financial
Corp
5,145‌
140‌
Western
Alliance
Bancorp
121,778‌
4,378‌
Wintrust
Financial
Corp
3,279‌
140‌
Zions
Bancorp
NA
647,585‌
21,028‌
$
90,455‌
Beverages
-
0.02%
Brown-Forman
Corp
-
A
Shares
407‌
26‌
Brown-Forman
Corp
-
B
Shares
1,535‌
106‌
Molson
Coors
Beverage
Co
10,037‌
377‌
$
509‌
Biotechnology
-
0.33%
Acceleron
Pharma
Inc
(d)
167‌
17‌
Alexion
Pharmaceuticals
Inc
(d)
10,353‌
1,061‌
BioMarin
Pharmaceutical
Inc
(d)
964‌
115‌
Bio-Rad
Laboratories
Inc
(d)
1,214‌
637‌
Bluebird
Bio
Inc
(d)
48,578‌
2,948‌
Corteva
Inc
43,165‌
1,233‌
Exact
Sciences
Corp
(d)
1,118‌
106‌
Exelixis
Inc
(d)
11,128‌
257‌
Ionis
Pharmaceuticals
Inc
(d)
3,814‌
220‌
Nektar
Therapeutics
(d)
9,961‌
221‌
Sage
Therapeutics
Inc
(d)
2,722‌
124‌
United
Therapeutics
Corp
(d)
2,495‌
278‌
$
7,217‌
Building
Materials
-
1.99%
Armstrong
World
Industries
Inc
1,723‌
123‌
Carrier
Global
Corp
32,027‌
872‌
Eagle
Materials
Inc
2,370‌
190‌
Fortune
Brands
Home
&
Security
Inc
7,920‌
606‌
Johnson
Controls
International
plc
42,860‌
1,649‌
Lennox
International
Inc
1,986‌
533‌
Martin
Marietta
Materials
Inc
15,614‌
3,235‌
Masco
Corp
15,116‌
864‌
MDU
Resources
Group
Inc
259,831‌
5,451‌
Owens
Corning
434,247‌
26,259‌
Vulcan
Materials
Co
35,735‌
4,196‌
$
43,978‌
Chemicals
-
2.96%
Albemarle
Corp
6,071‌
501‌
Ashland
Global
Holdings
Inc
3,179‌
240‌
Axalta
Coating
Systems
Ltd
(d)
12,108‌
269‌
Cabot
Corp
3,201‌
117‌
Celanese
Corp
6,777‌
659‌
CF
Industries
Holdings
Inc
12,279‌
385‌
Chemours
Co/The
9,389‌
174‌
Eastman
Chemical
Co
359,799‌
26,852‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
155
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Chemicals
(continued)
Element
Solutions
Inc
(d)
12,474‌
$
135‌
FMC
Corp
5,981‌
634‌
Huntsman
Corp
219,901‌
4,068‌
International
Flavors
&
Fragrances
Inc
6,152‌
775‌
LyondellBasell
Industries
NV
14,753‌
922‌
Mosaic
Co/The
19,862‌
267‌
NewMarket
Corp
71‌
27‌
Olin
Corp
(e)
8,196‌
92‌
PPG
Industries
Inc
13,574‌
1,461‌
RPM
International
Inc
1,204‌
98‌
Valvoline
Inc
328,693‌
6,745‌
W
R
Grace
&
Co
2,071‌
95‌
Westlake
Chemical
Corp
387,448‌
21,116‌
$
65,632‌
Commercial
Services
-
2.48%
2U
Inc
(d)
2,373‌
112‌
ADT
Inc
6,423‌
55‌
AMERCO
513‌
163‌
Aramark
13,124‌
277‌
Bright
Horizons
Family
Solutions
Inc
(d)
1,012‌
108‌
Cintas
Corp
28,934‌
8,734‌
CoreLogic
Inc/United
States
4,320‌
294‌
Equifax
Inc
1,794‌
292‌
Euronet
Worldwide
Inc
(d)
2,889‌
278‌
FTI
Consulting
Inc
(d)
2,098‌
251‌
Graham
Holdings
Co
237‌
94‌
Grand
Canyon
Education
Inc
(d)
81,694‌
7,250‌
H&R
Block
Inc
246,310‌
3,572‌
IHS
Markit
Ltd
10,390‌
839‌
Macquarie
Infrastructure
Corp
4,222‌
126‌
ManpowerGroup
Inc
287,328‌
19,765‌
Morningstar
Inc
212‌
36‌
Nielsen
Holdings
PLC
20,490‌
296‌
Quanta
Services
Inc
72,367‌
2,893‌
Robert
Half
International
Inc
6,418‌
326‌
Rollins
Inc
1,131‌
59‌
Sabre
Corp
15,844‌
120‌
Service
Corp
International/US
9,998‌
433‌
ServiceMaster
Global
Holdings
Inc
(d)
7,606‌
311‌
TransUnion
970‌
87‌
United
Rentals
Inc
(d)
50,139‌
7,790‌
WEX
Inc
(d)
2,274‌
360‌
$
54,921‌
Computers
-
4.33%
Amdocs
Ltd
7,627‌
474‌
CACI
International
Inc
(d)
1,197‌
249‌
Crowdstrike
Holdings
Inc
(d)
1,815‌
205‌
DXC
Technology
Co
514,581‌
9,216‌
Genpact
Ltd
632,889‌
25,201‌
Hewlett
Packard
Enterprise
Co
1,369,211‌
13,514‌
HP
Inc
82,362‌
1,448‌
Leidos
Holdings
Inc
209,988‌
19,983‌
Lumentum
Holdings
Inc
(d)
3,838‌
356‌
MAXIMUS
Inc
320,300‌
23,770‌
NCR
Corp
(d)
7,306‌
135‌
NetApp
Inc
5,830‌
258‌
Pure
Storage
Inc
(d)
5,926‌
106‌
Science
Applications
International
Corp
2,903‌
232‌
Western
Digital
Corp
17,257‌
744‌
$
95,891‌
Consumer
Products
-
1.55%
Avery
Dennison
Corp
259,813‌
29,447‌
Clorox
Co/The
20,215‌
4,781‌
Reynolds
Consumer
Products
Inc
2,050‌
70‌
Spectrum
Brands
Holdings
Inc
2,437‌
132‌
$
34,430‌
Cosmetics
&
Personal
Care
-
0.00%
Coty
Inc
16,496‌
61‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Distribution
&
Wholesale
-
0.10%
Fastenal
Co
6,224‌
$
293‌
HD
Supply
Holdings
Inc
(d)
9,253‌
325‌
IAA
Inc
(d)
5,881‌
255‌
LKQ
Corp
(d)
17,416‌
491‌
Univar
Solutions
Inc
(d)
9,589‌
169‌
Watsco
Inc
1,871‌
442‌
WW
Grainger
Inc
678‌
231‌
$
2,206‌
Diversified
Financial
Services
-
1.49%
Affiliated
Managers
Group
Inc
2,695‌
185‌
Air
Lease
Corp
6,122‌
161‌
Alliance
Data
Systems
Corp
2,689‌
119‌
Ally
Financial
Inc
21,487‌
432‌
Ameriprise
Financial
Inc
7,076‌
1,087‌
Cboe
Global
Markets
Inc
98,154‌
8,608‌
Credit
Acceptance
Corp
(d),(e)
541‌
253‌
Discover
Financial
Services
17,628‌
871‌
Eaton
Vance
Corp
6,367‌
230‌
Evercore
Inc
-
Class
A
2,268‌
125‌
Franklin
Resources
Inc
15,578‌
328‌
Interactive
Brokers
Group
Inc
-
A
Shares
4,143‌
206‌
Invesco
Ltd
21,682‌
218‌
Jefferies
Financial
Group
Inc
13,035‌
211‌
Lazard
Ltd
5,797‌
170‌
LendingTree
Inc
(d),(e)
24‌
8‌
LPL
Financial
Holdings
Inc
4,156‌
328‌
Nasdaq
Inc
6,581‌
864‌
Navient
Corp
220,295‌
1,754‌
OneMain
Holdings
Inc
3,736‌
107‌
Raymond
James
Financial
Inc
7,059‌
491‌
Santander
Consumer
USA
Holdings
Inc
(e)
4,336‌
80‌
SEI
Investments
Co
6,633‌
347‌
SLM
Corp
16,523‌
112‌
Synchrony
Financial
234,884‌
5,198‌
T
Rowe
Price
Group
Inc
73,046‌
10,087‌
Tradeweb
Markets
Inc
751‌
41‌
Virtu
Financial
Inc
408‌
10‌
Western
Union
Co/The
19,007‌
462‌
$
33,093‌
Electric
-
4.24%
AES
Corp/The
38,029‌
579‌
Alliant
Energy
Corp
449,365‌
24,199‌
Ameren
Corp
14,165‌
1,137‌
Avangrid
Inc
3,258‌
162‌
CenterPoint
Energy
Inc
28,972‌
551‌
CMS
Energy
Corp
16,433‌
1,055‌
Consolidated
Edison
Inc
19,279‌
1,481‌
DTE
Energy
Co
11,053‌
1,278‌
Edison
International
20,580‌
1,146‌
Entergy
Corp
11,558‌
1,215‌
Evergy
Inc
13,020‌
844‌
Eversource
Energy
19,398‌
1,747‌
FirstEnergy
Corp
31,185‌
904‌
Hawaiian
Electric
Industries
Inc
6,151‌
223‌
IDACORP
Inc
72,521‌
6,763‌
NRG
Energy
Inc
312,947‌
10,581‌
OGE
Energy
Corp
11,491‌
378‌
PG&E
Corp
(d)
54,653‌
511‌
Pinnacle
West
Capital
Corp
6,471‌
538‌
PPL
Corp
136,645‌
3,637‌
Public
Service
Enterprise
Group
Inc
29,074‌
1,626‌
Vistra
Corp
352,360‌
6,575‌
WEC
Energy
Group
Inc
18,175‌
1,731‌
Xcel
Energy
Inc
363,245‌
25,078‌
$
93,939‌
Electrical
Components
&
Equipment
-
0.20%
Acuity
Brands
Inc
2,260‌
224‌
AMETEK
Inc
40,628‌
3,789‌
Energizer
Holdings
Inc
782‌
39‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
156
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electrical
Components
&
Equipment
(continued)
Generac
Holdings
Inc
(d)
327‌
$
51‌
Littelfuse
Inc
1,354‌
241‌
$
4,344‌
Electronics
-
5.00%
Agilent
Technologies
Inc
16,271‌
1,567‌
Allegion
plc
1,852‌
184‌
Amphenol
Corp
108,460‌
11,471‌
Arrow
Electronics
Inc
(d)
4,483‌
321‌
Avnet
Inc
5,634‌
151‌
Coherent
Inc
(d)
158,257‌
21,971‌
Flex
Ltd
(d)
2,211,800‌
25,414‌
FLIR
Systems
Inc
7,498‌
312‌
Fortive
Corp
17,113‌
1,201‌
Garmin
Ltd
133,197‌
13,132‌
Gentex
Corp
14,105‌
381‌
Hubbell
Inc
157,105‌
21,204‌
Jabil
Inc
171,166‌
5,967‌
Keysight
Technologies
Inc
(d)
7,144‌
714‌
Mettler-Toledo
International
Inc
(d)
79‌
74‌
National
Instruments
Corp
7,407‌
263‌
nVent
Electric
PLC
8,933‌
162‌
PerkinElmer
Inc
5,157‌
613‌
Sensata
Technologies
Holding
PLC
(d)
8,873‌
337‌
SYNNEX
Corp
29,908‌
3,731‌
Trimble
Inc
(d)
14,343‌
638‌
Waters
Corp
(d)
3,257‌
694‌
Woodward
Inc
3,196‌
239‌
$
110,741‌
Energy
-
Alternate
Sources
-
0.01%
First
Solar
Inc
(d)
4,780‌
285‌
Engineering
&
Construction
-
0.05%
AECOM
(d)
8,787‌
318‌
frontdoor
Inc
(d)
4,095‌
172‌
Jacobs
Engineering
Group
Inc
7,201‌
615‌
$
1,105‌
Entertainment
-
0.22%
Lions
Gate
Entertainment
Corp
-
A
shares
(d),(e)
3,628‌
28‌
Lions
Gate
Entertainment
Corp
-
B
shares
(d)
6,993‌
50‌
Madison
Square
Garden
Sports
Corp
(d)
28,233‌
4,339‌
Six
Flags
Entertainment
Corp
4,385‌
76‌
Vail
Resorts
Inc
2,111‌
405‌
$
4,898‌
Environmental
Control
-
1.14%
Clean
Harbors
Inc
(d)
45,717‌
2,724‌
Pentair
PLC
9,492‌
407‌
Republic
Services
Inc
248,755‌
21,705‌
Stericycle
Inc
(d)
5,251‌
317‌
$
25,153‌
Food
-
5.23%
Beyond
Meat
Inc
(d)
598‌
75‌
Campbell
Soup
Co
5,065‌
251‌
Conagra
Brands
Inc
28,043‌
1,050‌
Flowers
Foods
Inc
11,205‌
255‌
Grocery
Outlet
Holding
Corp
(d)
1,861‌
82‌
Hain
Celestial
Group
Inc/The
(d)
4,677‌
159‌
Hershey
Co/The
127,433‌
18,530‌
Hormel
Foods
Corp
255,253‌
12,982‌
Ingredion
Inc
3,858‌
334‌
J
M
Smucker
Co/The
6,352‌
695‌
Kellogg
Co
9,542‌
658‌
Kroger
Co/The
669,450‌
23,290‌
Lamb
Weston
Holdings
Inc
6,468‌
389‌
McCormick
&
Co
Inc/MD
3,144‌
613‌
Pilgrim's
Pride
Corp
(d)
118,755‌
1,823‌
Post
Holdings
Inc
(d)
3,662‌
325‌
Seaboard
Corp
16‌
43‌
Sprouts
Farmers
Market
Inc
(d)
373,227‌
9,846‌
Sysco
Corp
412,200‌
21,785‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Food
(continued)
TreeHouse
Foods
Inc
(d)
3,230‌
$
141‌
Tyson
Foods
Inc
362,542‌
22,278‌
US
Foods
Holding
Corp
(d)
12,632‌
256‌
$
115,860‌
Forest
Products
&
Paper
-
0.04%
International
Paper
Co
22,621‌
787‌
Gas
-
0.20%
Atmos
Energy
Corp
6,969‌
739‌
National
Fuel
Gas
Co
66,113‌
2,682‌
NiSource
Inc
22,015‌
538‌
UGI
Corp
11,960‌
399‌
$
4,358‌
Hand
&
Machine
Tools
-
0.40%
Colfax
Corp
(d)
5,696‌
166‌
Lincoln
Electric
Holdings
Inc
1,881‌
170‌
MSA
Safety
Inc
1,626‌
193‌
Regal
Beloit
Corp
2,328‌
214‌
Snap-on
Inc
3,094‌
451‌
Stanley
Black
&
Decker
Inc
49,479‌
7,586‌
$
8,780‌
Healthcare
-
Products
-
3.08%
Bio-Techne
Corp
139‌
38‌
Bruker
Corp
53,741‌
2,398‌
Cooper
Cos
Inc/The
2,460‌
696‌
DENTSPLY
SIRONA
Inc
12,574‌
561‌
Envista
Holdings
Corp
(d)
209,974‌
4,592‌
Globus
Medical
Inc
(d)
4,259‌
205‌
Haemonetics
Corp
(d)
203‌
18‌
Henry
Schein
Inc
(d)
8,198‌
563‌
Hill-Rom
Holdings
Inc
250,083‌
24,313‌
Hologic
Inc
(d)
4,451‌
311‌
ICU
Medical
Inc
(d)
818‌
150‌
Integra
LifeSciences
Holdings
Corp
(d)
4,102‌
196‌
QIAGEN
NV
(d)
231,932‌
11,469‌
STERIS
PLC
70,449‌
11,246‌
Tandem
Diabetes
Care
Inc
(d)
388‌
40‌
Teleflex
Inc
989‌
369‌
Varian
Medical
Systems
Inc
(d)
4,560‌
651‌
West
Pharmaceutical
Services
Inc
17,918‌
4,818‌
Zimmer
Biomet
Holdings
Inc
40,640‌
5,481‌
$
68,115‌
Healthcare
-
Services
-
2.44%
Acadia
Healthcare
Co
Inc
(d)
5,051‌
151‌
Catalent
Inc
(d)
8,828‌
771‌
Charles
River
Laboratories
International
Inc
(d)
318‌
63‌
DaVita
Inc
(d)
3,970‌
347‌
Encompass
Health
Corp
3,069‌
209‌
IQVIA
Holdings
Inc
(d)
27,532‌
4,361‌
Laboratory
Corp
of
America
Holdings
(d)
5,270‌
1,017‌
Molina
Healthcare
Inc
(d)
84,106‌
15,534‌
PPD
Inc
(d)
583‌
17‌
Quest
Diagnostics
Inc
242,188‌
30,775‌
Syneos
Health
Inc
(d)
3,210‌
200‌
Teladoc
Health
Inc
(d)
405‌
96‌
Universal
Health
Services
Inc
4,235‌
466‌
$
54,007‌
Home
Builders
-
0.87%
DR
Horton
Inc
107,515‌
7,113‌
Lennar
Corp
-
A
Shares
15,567‌
1,126‌
Lennar
Corp
-
B
Shares
960‌
52‌
NVR
Inc
(d)
171‌
672‌
PulteGroup
Inc
222,646‌
9,708‌
Thor
Industries
Inc
3,171‌
361‌
Toll
Brothers
Inc
6,656‌
254‌
$
19,286‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
157
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Furnishings
-
0.05%
Dolby
Laboratories
Inc
3,195‌
$
223‌
Leggett
&
Platt
Inc
7,591‌
304‌
Tempur
Sealy
International
Inc
(d)
701‌
57‌
Whirlpool
Corp
3,508‌
572‌
$
1,156‌
Housewares
-
0.02%
Newell
Brands
Inc
22,086‌
362‌
Scotts
Miracle-Gro
Co/The
155‌
25‌
Toro
Co/The
646‌
46‌
$
433‌
Insurance
-
9.21%
Aflac
Inc
540,000‌
19,208‌
Alleghany
Corp
58,922‌
30,776‌
American
Financial
Group
Inc/OH
351,239‌
21,345‌
American
National
Group
Inc
452‌
33‌
Arch
Capital
Group
Ltd
(d)
22,619‌
696‌
Arthur
J
Gallagher
&
Co
243,204‌
26,142‌
Assurant
Inc
3,428‌
368‌
Assured
Guaranty
Ltd
4,824‌
105‌
Athene
Holding
Ltd
(d)
6,640‌
214‌
Axis
Capital
Holdings
Ltd
4,345‌
174‌
Brighthouse
Financial
Inc
(d)
88,380‌
2,504‌
Brown
&
Brown
Inc
12,835‌
584‌
Cincinnati
Financial
Corp
8,609‌
671‌
CNA
Financial
Corp
1,612‌
54‌
Equitable
Holdings
Inc
23,384‌
478‌
Erie
Indemnity
Co
618‌
130‌
Everest
Re
Group
Ltd
113,199‌
24,767‌
Fidelity
National
Financial
Inc
179,806‌
5,818‌
First
American
Financial
Corp
142,874‌
7,288‌
Globe
Life
Inc
6,031‌
480‌
Hanover
Insurance
Group
Inc/The
2,177‌
222‌
Hartford
Financial
Services
Group
Inc/The
20,565‌
870‌
Kemper
Corp
36,418‌
2,860‌
Lincoln
National
Corp
9,702‌
362‌
Loews
Corp
13,775‌
502‌
Markel
Corp
(d)
5,126‌
5,355‌
Mercury
General
Corp
1,569‌
67‌
MGIC
Investment
Corp
318,198‌
2,631‌
Old
Republic
International
Corp
918,174‌
14,756‌
Primerica
Inc
867‌
104‌
Prudential
Financial
Inc
22,771‌
1,443‌
Reinsurance
Group
of
America
Inc
3,894‌
332‌
RenaissanceRe
Holdings
Ltd
36,649‌
6,611‌
Unum
Group
11,690‌
201‌
Voya
Financial
Inc
7,223‌
357‌
W
R
Berkley
Corp
384,008‌
23,712‌
White
Mountains
Insurance
Group
Ltd
174‌
153‌
Willis
Towers
Watson
PLC
7,401‌
1,554‌
$
203,927‌
Internet
-
1.76%
E*TRADE
Financial
Corp
391,723‌
19,888‌
Expedia
Group
Inc
6,904‌
559‌
F5
Networks
Inc
(d)
36,843‌
5,007‌
FireEye
Inc
(d)
9,752‌
147‌
Grubhub
Inc
(d)
4,777‌
345‌
Lyft
Inc
(d)
13,708‌
401‌
Pinterest
Inc
(d)
3,925‌
135‌
TD
Ameritrade
Holding
Corp
14,931‌
536‌
TripAdvisor
Inc
5,776‌
117‌
Twitter
Inc
(d)
44,258‌
1,611‌
VeriSign
Inc
(d)
45,199‌
9,567‌
Wayfair
Inc
(d)
331‌
88‌
Zillow
Group
Inc
-
A
Shares
(d)
2,944‌
201‌
Zillow
Group
Inc
-
C
Shares
(d)
6,935‌
474‌
$
39,076‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Iron
&
Steel
-
2.18%
Nucor
Corp
17,335‌
$
727‌
Reliance
Steel
&
Aluminum
Co
266,237‌
26,161‌
Steel
Dynamics
Inc
783,654‌
21,480‌
$
48,368‌
Leisure
Products
&
Services
-
0.10%
Brunswick
Corp/DE
4,534‌
304‌
Carnival
Corp
(e)
27,068‌
376‌
Harley-Davidson
Inc
8,795‌
229‌
Norwegian
Cruise
Line
Holdings
Ltd
(d),(e)
14,718‌
201‌
Peloton
Interactive
Inc
(d)
4,255‌
290‌
Planet
Fitness
Inc
(d)
1,988‌
104‌
Polaris
Inc
2,994‌
310‌
Royal
Caribbean
Cruises
Ltd
9,838‌
479‌
Virgin
Galactic
Holdings
Inc
(d),(e)
514‌
11‌
$
2,304‌
Lodging
-
1.50%
Choice
Hotels
International
Inc
1,997‌
168‌
Extended
Stay
America
Inc
10,170‌
116‌
Hilton
Worldwide
Holdings
Inc
78,708‌
5,907‌
Hyatt
Hotels
Corp
2,008‌
96‌
Las
Vegas
Sands
Corp
249,000‌
10,866‌
Marriott
International
Inc/MD
178,500‌
14,963‌
MGM
Resorts
International
27,070‌
436‌
Wyndham
Destinations
Inc
4,829‌
128‌
Wyndham
Hotels
&
Resorts
Inc
5,270‌
233‌
Wynn
Resorts
Ltd
4,236‌
307‌
$
33,220‌
Machinery
-
Construction
&
Mining
-
0.02%
BWX
Technologies
Inc
1,960‌
107‌
Oshkosh
Corp
3,893‌
306‌
$
413‌
Machinery
-
Diversified
-
2.82%
AGCO
Corp
428,951‌
28,152‌
Crane
Co
2,797‌
158‌
Curtiss-Wright
Corp
78,076‌
6,958‌
Dover
Corp
8,265‌
851‌
Flowserve
Corp
7,480‌
208‌
Gates
Industrial
Corp
PLC
(d)
2,725‌
29‌
Graco
Inc
4,746‌
253‌
GrafTech
International
Ltd
4,149‌
25‌
IDEX
Corp
4,331‌
714‌
Ingersoll
Rand
Inc
(d)
19,931‌
630‌
Middleby
Corp/The
(d)
3,164‌
263‌
Nordson
Corp
602‌
117‌
Otis
Worldwide
Corp
151,940‌
9,532‌
Rockwell
Automation
Inc
3,426‌
747‌
Westinghouse
Air
Brake
Technologies
Corp
10,409‌
647‌
Xylem
Inc/NY
179,286‌
13,085‌
$
62,369‌
Media
-
0.94%
Discovery
Inc
-
A
Shares
(d)
8,973‌
189‌
Discovery
Inc
-
C
Shares
(d)
18,726‌
355‌
DISH
Network
Corp
(d)
14,131‌
454‌
Fox
Corp
-
A
Shares
19,506‌
503‌
Fox
Corp
-
B
Shares
9,199‌
237‌
John
Wiley
&
Sons
Inc
2,479‌
84‌
Liberty
Broadband
Corp
-
A
Shares
(d)
1,422‌
192‌
Liberty
Broadband
Corp
-
C
Shares
(d)
6,036‌
828‌
Liberty
Media
Corp-Liberty
Formula
One
-
A
Shares
(d)
1,529‌
51‌
Liberty
Media
Corp-Liberty
Formula
One
-
C
Shares
(d)
11,396‌
404‌
Liberty
Media
Corp-Liberty
SiriusXM
-
A
Shares
(d)
4,217‌
147‌
Liberty
Media
Corp-Liberty
SiriusXM
-
C
Shares
(d)
8,817‌
308‌
Madison
Square
Garden
Entertainment
Corp
(d)
1,069‌
76‌
New
York
Times
Co/The
9,360‌
432‌
News
Corp
-
A
Shares
22,313‌
284‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
158
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Media
(continued)
News
Corp
-
B
Shares
6,971‌
$
89‌
Nexstar
Media
Group
Inc
834‌
73‌
Sirius
XM
Holdings
Inc
567,502‌
3,336‌
ViacomCBS
Inc
-
Class
A
659‌
18‌
ViacomCBS
Inc
-
Class
B
489,212‌
12,754‌
$
20,814‌
Metal
Fabrication
&
Hardware
-
0.01%
Timken
Co/The
3,641‌
166‌
Valmont
Industries
Inc
1,204‌
146‌
$
312‌
Mining
-
0.51%
Freeport-McMoRan
Inc
83,430‌
1,078‌
Newmont
Corp
67,173‌
4,648‌
Royal
Gold
Inc
39,255‌
5,493‌
$
11,219‌
Miscellaneous
Manufacturers
-
3.86%
A
O
Smith
Corp
200,694‌
9,661‌
AptarGroup
Inc
175,692‌
20,239‌
Carlisle
Cos
Inc
3,105‌
370‌
Donaldson
Co
Inc
6,546‌
316‌
ITT
Inc
59,309‌
3,424‌
Parker-Hannifin
Corp
134,667‌
24,095‌
Textron
Inc
737,995‌
25,786‌
Trane
Technologies
PLC
13,744‌
1,538‌
Trinity
Industries
Inc
5,218‌
102‌
$
85,531‌
Office
&
Business
Equipment
-
0.37%
Xerox
Holdings
Corp
10,399‌
173‌
Zebra
Technologies
Corp
(d)
28,657‌
8,046‌
$
8,219‌
Oil
&
Gas
-
2.67%
Apache
Corp
21,713‌
333‌
Cabot
Oil
&
Gas
Corp
22,545‌
422‌
Cimarex
Energy
Co
425,572‌
10,409‌
Concho
Resources
Inc
11,222‌
590‌
Continental
Resources
Inc/OK
(e)
4,298‌
74‌
Devon
Energy
Corp
962,653‌
10,098‌
Diamondback
Energy
Inc
9,060‌
361‌
EQT
Corp
14,658‌
213‌
Helmerich
&
Payne
Inc
6,006‌
107‌
Hess
Corp
15,795‌
777‌
HollyFrontier
Corp
8,584‌
236‌
Marathon
Oil
Corp
45,267‌
249‌
Marathon
Petroleum
Corp
37,241‌
1,423‌
Murphy
Oil
Corp
8,359‌
110‌
Noble
Energy
Inc
27,373‌
273‌
Occidental
Petroleum
Corp
46,730‌
736‌
Occidental
Petroleum
Corp
-
Warrants
(d)
6,205‌
35‌
Parsley
Energy
Inc
937,302‌
10,292‌
Pioneer
Natural
Resources
Co
62,000‌
6,009‌
Valero
Energy
Corp
287,700‌
16,177‌
WPX
Energy
Inc
(d)
23,081‌
138‌
$
59,062‌
Oil
&
Gas
Services
-
0.07%
Baker
Hughes
Co
37,759‌
585‌
Halliburton
Co
50,387‌
722‌
National
Oilwell
Varco
Inc
22,310‌
257‌
$
1,564‌
Packaging
&
Containers
-
1.12%
Amcor
PLC
78,458‌
808‌
Ardagh
Group
SA
1,129‌
15‌
Ball
Corp
1,171‌
86‌
Berry
Global
Group
Inc
(d)
5,040‌
252‌
Crown
Holdings
Inc
(d)
6,686‌
479‌
Graphic
Packaging
Holding
Co
12,498‌
174‌
Packaging
Corp
of
America
205,882‌
19,790‌
Sealed
Air
Corp
8,936‌
319‌
Silgan
Holdings
Inc
4,521‌
173‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Packaging
&
Containers
(continued)
Sonoco
Products
Co
44,669‌
$
2,311‌
Westrock
Co
14,754‌
396‌
$
24,803‌
Pharmaceuticals
-
1.66%
Agios
Pharmaceuticals
Inc
(d)
3,192‌
145‌
Alkermes
PLC
(d)
9,074‌
163‌
AmerisourceBergen
Corp
148,156‌
14,843‌
Cardinal
Health
Inc
61,985‌
3,386‌
Elanco
Animal
Health
Inc
(d)
22,989‌
543‌
Herbalife
Nutrition
Ltd
(d),(e)
174,052‌
8,919‌
Horizon
Therapeutics
Plc
(d)
832‌
51‌
Jazz
Pharmaceuticals
PLC
(d)
3,108‌
336‌
McKesson
Corp
2,371‌
356‌
Mylan
NV
(d)
29,656‌
478‌
Perrigo
Co
PLC
7,855‌
417‌
PRA
Health
Sciences
Inc
(d)
539‌
57‌
Premier
Inc
199,882‌
6,990‌
Reata
Pharmaceuticals
Inc
(d)
151‌
22‌
$
36,706‌
Pipelines
-
0.12%
Antero
Midstream
Corp
16,445‌
93‌
Equitrans
Midstream
Corp
21,297‌
206‌
ONEOK
Inc
25,233‌
704‌
Targa
Resources
Corp
13,246‌
242‌
Williams
Cos
Inc/The
69,971‌
1,339‌
$
2,584‌
Private
Equity
-
0.07%
Apollo
Global
Management
Inc
4,942‌
243‌
Carlyle
Group
Inc/The
6,064‌
172‌
KKR
&
Co
Inc
30,651‌
1,084‌
$
1,499‌
Real
Estate
-
0.16%
CBRE
Group
Inc
(d)
72,520‌
3,177‌
Howard
Hughes
Corp/The
(d)
2,242‌
119‌
Jones
Lang
LaSalle
Inc
2,961‌
293‌
$
3,589‌
REITs
-
8.25%
AGNC
Investment
Corp
32,658‌
444‌
Alexandria
Real
Estate
Equities
Inc
7,202‌
1,279‌
American
Campus
Communities
Inc
7,871‌
280‌
American
Homes
4
Rent
553,924‌
16,064‌
Americold
Realty
Trust
10,373‌
419‌
Annaly
Capital
Management
Inc
82,303‌
610‌
Apartment
Investment
and
Management
Co
8,513‌
330‌
Apple
Hospitality
REIT
Inc
12,045‌
106‌
AvalonBay
Communities
Inc
28,721‌
4,398‌
Boston
Properties
Inc
32,607‌
2,905‌
Brandywine
Realty
Trust
9,685‌
105‌
Brixmor
Property
Group
Inc
17,033‌
196‌
Brookfield
Property
REIT
Inc
340‌
4‌
Camden
Property
Trust
5,424‌
493‌
CoreSite
Realty
Corp
753‌
97‌
Corporate
Office
Properties
Trust
6,453‌
171‌
Cousins
Properties
Inc
8,510‌
261‌
CubeSmart
11,108‌
330‌
CyrusOne
Inc
6,609‌
551‌
Douglas
Emmett
Inc
9,565‌
279‌
Duke
Realty
Corp
21,189‌
852‌
Empire
State
Realty
Trust
Inc
8,384‌
55‌
EPR
Properties
4,481‌
128‌
Equity
Commonwealth
177,888‌
5,616‌
Equity
LifeStyle
Properties
Inc
5,897‌
403‌
Equity
Residential
21,148‌
1,134‌
Essex
Property
Trust
Inc
13,689‌
3,022‌
Extra
Space
Storage
Inc
2,145‌
222‌
Federal
Realty
Investment
Trust
4,326‌
330‌
First
Industrial
Realty
Trust
Inc
7,256‌
319‌
Gaming
and
Leisure
Properties
Inc
11,937‌
432‌
Healthcare
Trust
of
America
Inc
830,321‌
22,925‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
159
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Healthpeak
Properties
Inc
31,023‌
$
847‌
Highwoods
Properties
Inc
728,843‌
27,944‌
Host
Hotels
&
Resorts
Inc
40,207‌
433‌
Hudson
Pacific
Properties
Inc
8,634‌
203‌
Invitation
Homes
Inc
31,308‌
934‌
Iron
Mountain
Inc
6,808‌
192‌
JBG
SMITH
Properties
7,001‌
203‌
Kilroy
Realty
Corp
6,605‌
385‌
Kimco
Realty
Corp
23,752‌
265‌
Lamar
Advertising
Co
366,539‌
24,093‌
Life
Storage
Inc
96,973‌
9,516‌
Medical
Properties
Trust
Inc
29,906‌
602‌
Mid-America
Apartment
Communities
Inc
6,552‌
781‌
National
Retail
Properties
Inc
497,847‌
17,649‌
New
Residential
Investment
Corp
23,797‌
189‌
Omega
Healthcare
Investors
Inc
12,938‌
419‌
Outfront
Media
Inc
8,264‌
119‌
Paramount
Group
Inc
343,315‌
2,447‌
Park
Hotels
&
Resorts
Inc
13,762‌
114‌
Public
Storage
87,100‌
17,410‌
Rayonier
Inc
7,841‌
218‌
Realty
Income
Corp
19,787‌
1,188‌
Regency
Centers
Corp
9,688‌
397‌
Rexford
Industrial
Realty
Inc
6,671‌
313‌
Simon
Property
Group
Inc
3,726‌
232‌
SL
Green
Realty
Corp
4,444‌
207‌
Spirit
Realty
Capital
Inc
5,913‌
204‌
Starwood
Property
Trust
Inc
15,712‌
235‌
STORE
Capital
Corp
12,924‌
306‌
Sun
Communities
Inc
5,558‌
833‌
Taubman
Centers
Inc
3,447‌
133‌
UDR
Inc
16,846‌
610‌
Ventas
Inc
21,473‌
824‌
VEREIT
Inc
62,066‌
404‌
VICI
Properties
Inc
27,001‌
586‌
Vornado
Realty
Trust
10,089‌
348‌
Weingarten
Realty
Investors
175,332‌
2,991‌
Welltower
Inc
24,060‌
1,289‌
Weyerhaeuser
Co
42,979‌
1,195‌
WP
Carey
Inc
9,838‌
702‌
$
182,720‌
Retail
-
3.69%
Advance
Auto
Parts
Inc
3,830‌
575‌
AutoNation
Inc
(d)
3,381‌
174‌
AutoZone
Inc
(d)
2,658‌
3,210‌
Best
Buy
Co
Inc
41,348‌
4,118‌
Burlington
Stores
Inc
(d)
394‌
74‌
CarMax
Inc
(d)
8,653‌
839‌
Casey's
General
Stores
Inc
2,114‌
336‌
Darden
Restaurants
Inc
357,979‌
27,171‌
Dick's
Sporting
Goods
Inc
3,545‌
162‌
Dollar
Tree
Inc
(d)
7,049‌
658‌
Dunkin'
Brands
Group
Inc
91,847‌
6,313‌
Foot
Locker
Inc
5,948‌
175‌
Gap
Inc/The
10,495‌
140‌
Genuine
Parts
Co
8,082‌
729‌
Kohl's
Corp
8,905‌
169‌
L
Brands
Inc
13,188‌
322‌
MSC
Industrial
Direct
Co
Inc
40,192‌
2,652‌
Nordstrom
Inc
(e)
6,272‌
86‌
Nu
Skin
Enterprises
Inc
2,948‌
132‌
Ollie's
Bargain
Outlet
Holdings
Inc
(d)
373‌
39‌
Penske
Automotive
Group
Inc
1,829‌
82‌
Qurate
Retail
Inc
(d)
21,889‌
239‌
Tiffany
&
Co
6,965‌
873‌
Ulta
Beauty
Inc
(d)
230‌
44‌
Williams-Sonoma
Inc
3,695‌
322‌
Yum
China
Holdings
Inc
139,936‌
7,170‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
(continued)
Yum!
Brands
Inc
274,000‌
$
24,948‌
$
81,752‌
Savings
&
Loans
-
0.03%
New
York
Community
Bancorp
Inc
25,861‌
272‌
People's
United
Financial
Inc
24,319‌
263‌
Sterling
Bancorp/DE
11,109‌
125‌
TFS
Financial
Corp
2,985‌
43‌
$
703‌
Semiconductors
-
2.15%
Analog
Devices
Inc
20,928‌
2,403‌
Cirrus
Logic
Inc
(d)
3,356‌
230‌
Cree
Inc
(d)
6,221‌
429‌
Entegris
Inc
523‌
38‌
IPG
Photonics
Corp
(d)
1,904‌
341‌
KLA
Corp
28,500‌
5,695‌
Marvell
Technology
Group
Ltd
37,930‌
1,383‌
Maxim
Integrated
Products
Inc
10,204‌
695‌
Microchip
Technology
Inc
31,715‌
3,226‌
MKS
Instruments
Inc
775‌
99‌
ON
Semiconductor
Corp
(d)
23,334‌
481‌
Qorvo
Inc
(d)
90,825‌
11,639‌
Skyworks
Solutions
Inc
119,595‌
17,411‌
Teradyne
Inc
38,595‌
3,433‌
$
47,503‌
Shipbuilding
-
0.02%
Huntington
Ingalls
Industries
Inc
2,057‌
357‌
Software
-
1.64%
Akamai
Technologies
Inc
(d)
1,617‌
182‌
Aspen
Technology
Inc
(d)
280‌
27‌
CDK
Global
Inc
6,112‌
278‌
Ceridian
HCM
Holding
Inc
(d)
1,809‌
142‌
Change
Healthcare
Inc
(d)
3,925‌
46‌
Citrix
Systems
Inc
70,459‌
10,058‌
Guidewire
Software
Inc
(d)
3,868‌
455‌
Jack
Henry
&
Associates
Inc
949‌
169‌
Manhattan
Associates
Inc
(d)
417‌
40‌
Nuance
Communications
Inc
(d)
848,167‌
23,197‌
Paychex
Inc
3,874‌
279‌
Pegasystems
Inc
242‌
28‌
RealPage
Inc
(d)
675‌
43‌
SolarWinds
Corp
(d)
2,845‌
52‌
SS&C
Technologies
Holdings
Inc
10,220‌
588‌
Synopsys
Inc
(d)
617‌
123‌
Take-Two
Interactive
Software
Inc
(d)
484‌
79‌
Teradata
Corp
(d)
1,570‌
33‌
Twilio
Inc
(d)
1,239‌
344‌
Zynga
Inc
(d)
9,025‌
89‌
$
36,252‌
Telecommunications
-
1.41%
Arista
Networks
Inc
(d)
599‌
156‌
CenturyLink
Inc
62,930‌
607‌
Ciena
Corp
(d)
132,535‌
7,887‌
CommScope
Holding
Co
Inc
(d)
10,410‌
97‌
Corning
Inc
43,141‌
1,337‌
EchoStar
Corp
(d)
2,762‌
75‌
GCI
Liberty
Inc
(d)
5,671‌
445‌
Juniper
Networks
Inc
18,906‌
480‌
LogMeIn
Inc
2,557‌
219‌
Motorola
Solutions
Inc
139,746‌
19,536‌
Telephone
and
Data
Systems
Inc
5,782‌
112‌
Ubiquiti
Inc
96‌
18‌
United
States
Cellular
Corp
(d)
879‌
26‌
ViaSat
Inc
(d)
3,310‌
126‌
$
31,121‌
Textiles
-
0.32%
Mohawk
Industries
Inc
(d)
89,240‌
7,126‌
Schedule
of
Investments
MidCap
Value
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
160
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Toys,
Games
&
Hobbies
-
0.03%
Hasbro
Inc
7,313‌
$
532‌
Mattel
Inc
(d)
8,022‌
89‌
$
621‌
Transportation
-
3.01%
CH
Robinson
Worldwide
Inc
6,425‌
602‌
Expeditors
International
of
Washington
Inc
94,691‌
8,002‌
JB
Hunt
Transport
Services
Inc
167,519‌
21,677‌
Kansas
City
Southern
5,453‌
937‌
Kirby
Corp
(d)
3,425‌
158‌
Knight-Swift
Transportation
Holdings
Inc
106,257‌
4,622‌
Landstar
System
Inc
246,437‌
30,011‌
Old
Dominion
Freight
Line
Inc
774‌
142‌
Ryder
System
Inc
3,012‌
110‌
Schneider
National
Inc
3,387‌
85‌
XPO
Logistics
Inc
(d)
4,959‌
372‌
$
66,718‌
Water
-
0.10%
American
Water
Works
Co
Inc
10,426‌
1,536‌
Essential
Utilities
Inc
12,861‌
583‌
$
2,119‌
TOTAL
COMMON
STOCKS
$
2,183,708‌
Total
Investments
$
2,221,483‌
Other
Assets
and
Liabilities
-  (0.34)%
(7,539‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,213,944‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$1,653
or
0.07%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
23.30‌%
Industrial
19.90‌%
Consumer,
Non-cyclical
18.60‌%
Consumer,
Cyclical
10.12‌%
Technology
8.49‌%
Basic
Materials
5.69‌%
Communications
5.12‌%
Utilities
4.54‌%
Energy
2.87‌%
Money
Market
Funds
1.57‌%
Investment
Companies
0.14‌%
Other
Assets
and
Liabilities
(0.34‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
87,362‌
$
556,561‌
$
610,822‌
$
33,101‌
Principal
Shareholder
Yield
Index
ETF
170‌
—‌
137‌
—‌
Principal
Sustainable
Momentum
Index
ETF
144‌
—‌
135‌
—‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
13‌
—‌
10‌
—‌
$
87,689‌
$
556,561‌
$
611,104‌
$
33,101‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
324‌
$
—‌
$
—‌
$
—‌
Principal
Shareholder
Yield
Index
ETF
2‌
(28‌)
—‌
(5‌)
Principal
Sustainable
Momentum
Index
ETF
1‌
—‌
—‌
(9‌)
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
—‌
(3‌)
—‌
—‌
$
327‌
$
(31‌)
$
—‌
$
(14‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
S&P
Mid
400
Emini;
September
2020
Long
28‌
$
5,209‌
$
232‌
Total
$
232‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
161
INVESTMENT
COMPANIES
-
3.21%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.14%
iShares
MSCI
EAFE
Value
ETF
96,000‌
$
3,830‌
Money
Market
Funds
-
3.07%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
2,588,760‌
2,589‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
78,819,540‌
78,819‌
$
81,408‌
TOTAL
INVESTMENT
COMPANIES
$
85,238‌
COMMON
STOCKS
-
95.30%
Shares
Held
Value
(000's)
Advertising
-
0.05%
Dentsu
Group
Inc
11,600‌
$
259‌
JCDecaux
SA
(d)
4,585‌
77‌
Publicis
Groupe
SA
11,655‌
373‌
WPP
PLC
66,642‌
494‌
$
1,203‌
Aerospace
&
Defense
-
2.44%
Airbus
SE
(d)
411,109‌
30,092‌
BAE
Systems
PLC
172,659‌
1,106‌
Elbit
Systems
Ltd
1,426‌
201‌
Kawasaki
Heavy
Industries
Ltd
7,600‌
104‌
Leonardo
SpA
21,795‌
140‌
MTU
Aero
Engines
AG
2,858‌
495‌
Rolls-Royce
Holdings
PLC
(d)
6,982,599‌
20,947‌
Safran
SA
(d)
106,089‌
11,283‌
Thales
SA
5,739‌
415‌
$
64,783‌
Agriculture
-
2.22%
British
American
Tobacco
PLC
1,000,543‌
33,067‌
Imperial
Brands
PLC
50,970‌
849‌
Japan
Tobacco
Inc
1,469,600‌
25,119‌
$
59,035‌
Airlines
-
1.24%
ANA
Holdings
Inc
(e)
6,200‌
128‌
Deutsche
Lufthansa
AG
(d),(e)
16,116‌
141‌
International
Consolidated
Airlines
Group
SA
2,294,752‌
4,946‌
Japan
Airlines
Co
Ltd
6,100‌
99‌
Ryanair
Holdings
PLC
ADR
(d)
366,272‌
27,471‌
Singapore
Airlines
Ltd
72,500‌
181‌
$
32,966‌
Apparel
-
0.22%
Gildan
Activewear
Inc
325,300‌
5,773‌
Automobile
Manufacturers
-
2.75%
Bayerische
Motoren
Werke
AG
17,832‌
1,140‌
Daimler
AG
548,513‌
23,983‌
Fiat
Chrysler
Automobiles
NV
(d)
59,094‌
601‌
Hino
Motors
Ltd
15,500‌
90‌
Honda
Motor
Co
Ltd
1,094,700‌
26,689‌
Isuzu
Motors
Ltd
29,700‌
242‌
Mazda
Motor
Corp
30,700‌
177‌
Mitsubishi
Motors
Corp
36,200‌
71‌
Nissan
Motor
Co
Ltd
124,900‌
427‌
Peugeot
SA
(d)
31,675‌
509‌
Renault
SA
(d)
70,134‌
1,667‌
Subaru
Corp
33,200‌
627‌
Suzuki
Motor
Corp
19,800‌
650‌
Toyota
Motor
Corp
114,310‌
6,786‌
Volkswagen
AG
1,748‌
272‌
Volvo
AB
-
B
Shares
(d)
534,558‌
9,238‌
$
73,169‌
Automobile
Parts
&
Equipment
-
1.10%
Aisin
Seiki
Co
Ltd
8,600‌
248‌
Bridgestone
Corp
28,800‌
848‌
Cie
Generale
des
Etablissements
Michelin
SCA
9,139‌
946‌
Continental
AG
5,924‌
572‌
Denso
Corp
23,200‌
858‌
Faurecia
SE
(d)
4,091‌
158‌
JTEKT
Corp
11,200‌
75‌
Koito
Manufacturing
Co
Ltd
5,700‌
223‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Automobile
Parts
&
Equipment
(continued)
NGK
Insulators
Ltd
14,000‌
$
174‌
NGK
Spark
Plug
Co
Ltd
8,500‌
114‌
Pirelli
&
C
SpA
(d),(f)
21,542‌
85‌
Rheinmetall
AG
187,290‌
17,708‌
Stanley
Electric
Co
Ltd
7,000‌
168‌
Sumitomo
Electric
Industries
Ltd
40,700‌
455‌
Sumitomo
Rubber
Industries
Ltd
9,200‌
77‌
Toyoda
Gosei
Co
Ltd
2,300‌
45‌
Toyota
Industries
Corp
8,000‌
406‌
Valeo
SA
232,682‌
5,972‌
Yokohama
Rubber
Co
Ltd/The
6,400‌
82‌
$
29,214‌
Banks
-
11.35%
ABN
AMRO
Bank
NV
(f)
22,781‌
189‌
Aozora
Bank
Ltd
6,400‌
102‌
Australia
&
New
Zealand
Banking
Group
Ltd
152,744‌
1,940‌
Banco
Bilbao
Vizcaya
Argentaria
SA
5,054,322‌
15,738‌
Banco
Santander
SA
894,974‌
1,919‌
Bank
Hapoalim
BM
30,559‌
184‌
Bank
Leumi
Le-Israel
BM
78,973‌
400‌
Bank
Mandiri
Persero
Tbk
PT
5,376,300‌
2,137‌
Bank
of
East
Asia
Ltd/The
70,200‌
160‌
Bank
of
Kyoto
Ltd/The
3,000‌
110‌
Bankinter
SA
36,305‌
189‌
Banque
Cantonale
Vaudoise
810‌
85‌
Barclays
PLC
20,277,515‌
26,290‌
BNP
Paribas
SA
(d)
738,483‌
29,793‌
BOC
Hong
Kong
Holdings
Ltd
5,827,300‌
16,247‌
CaixaBank
SA
5,773,165‌
12,419‌
Chiba
Bank
Ltd/The
28,600‌
131‌
Commerzbank
AG
(d)
53,955‌
277‌
Commonwealth
Bank
of
Australia
95,336‌
4,850‌
Concordia
Financial
Group
Ltd
57,000‌
169‌
Credit
Agricole
SA
(d)
62,142‌
598‌
Credit
Suisse
Group
AG
85,002‌
907‌
Danske
Bank
A/S
(d)
37,146‌
602‌
DBS
Group
Holdings
Ltd
96,500‌
1,394‌
Deutsche
Bank
AG
(d)
37,008‌
333‌
DNB
ASA
(d)
51,063‌
784‌
Erste
Group
Bank
AG
(d)
15,045‌
337‌
Fukuoka
Financial
Group
Inc
9,300‌
135‌
Grupo
Financiero
Banorte
SAB
de
CV
(d)
7,209,406‌
25,822‌
Hang
Seng
Bank
Ltd
41,100‌
647‌
HSBC
Holdings
PLC
1,093,999‌
4,926‌
ING
Groep
NV
4,315,172‌
30,089‌
Intesa
Sanpaolo
SpA
(d)
801,545‌
1,634‌
Israel
Discount
Bank
Ltd
40,748‌
125‌
Japan
Post
Bank
Co
Ltd
21,900‌
163‌
KBC
Group
NV
13,455‌
767‌
Lloyds
Banking
Group
PLC
3,785,246‌
1,290‌
Macquarie
Group
Ltd
18,131‌
1,593‌
Mediobanca
Banca
di
Credito
Finanziario
SpA
33,449‌
270‌
Mitsubishi
UFJ
Financial
Group
Inc
658,400‌
2,467‌
Mizrahi
Tefahot
Bank
Ltd
7,594‌
159‌
Mizuho
Financial
Group
Inc
1,299,100‌
1,584‌
National
Australia
Bank
Ltd
172,131‌
2,149‌
Natixis
SA
(d)
50,944‌
125‌
Natwest
Group
PLC
260,530‌
359‌
Nordea
Bank
Abp
(d)
174,488‌
1,348‌
Oversea-Chinese
Banking
Corp
Ltd
178,100‌
1,116‌
Raiffeisen
Bank
International
AG
7,973‌
137‌
Resona
Holdings
Inc
112,700‌
369‌
Seven
Bank
Ltd
31,600‌
78‌
Shinsei
Bank
Ltd
8,400‌
95‌
Shizuoka
Bank
Ltd/The
22,600‌
147‌
Skandinaviska
Enskilda
Banken
AB
(d)
87,649‌
848‌
Societe
Generale
SA
(d)
43,661‌
672‌
Standard
Chartered
PLC
146,313‌
732‌
Sumitomo
Mitsui
Financial
Group
Inc
651,400‌
17,357‌
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
162
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Sumitomo
Mitsui
Trust
Holdings
Inc
18,207‌
$
467‌
Svenska
Handelsbanken
AB
(d)
83,788‌
790‌
Swedbank
AB
(d)
363,569‌
5,904‌
UBS
Group
AG
(d)
197,438‌
2,326‌
UniCredit
SpA
(d)
5,076,918‌
46,596‌
United
Overseas
Bank
Ltd
1,962,600‌
27,632‌
Westpac
Banking
Corp
194,509‌
2,336‌
$
301,538‌
Beverages
-
1.25%
Anheuser-Busch
InBev
SA/NV
41,035‌
2,228‌
Asahi
Group
Holdings
Ltd
20,800‌
678‌
Coca-Cola
Amatil
Ltd
17,741‌
104‌
Coca-Cola
European
Partners
PLC
729,450‌
30,032‌
Suntory
Beverage
&
Food
Ltd
3,800‌
143‌
$
33,185‌
Biotechnology
-
0.01%
BeiGene
Ltd
ADR
(d)
1,351‌
282‌
Building
Materials
-
1.18%
AGC
Inc/Japan
10,400‌
292‌
Cie
de
Saint-Gobain
(d)
27,869‌
1,031‌
CRH
PLC
42,290‌
1,540‌
HeidelbergCement
AG
8,016‌
445‌
LafargeHolcim
Ltd
(d)
577,270‌
27,311‌
LIXIL
Group
Corp
14,400‌
192‌
Rinnai
Corp
1,000‌
82‌
Taiheiyo
Cement
Corp
6,500‌
141‌
TOTO
Ltd
4,900‌
185‌
$
31,219‌
Chemicals
-
6.53%
Air
Water
Inc
9,900‌
128‌
Akzo
Nobel
NV
257,787‌
24,290‌
Arkema
SA
3,714‌
386‌
Asahi
Kasei
Corp
67,600‌
486‌
BASF
SE
808,137‌
44,582‌
Brenntag
AG
632,130‌
39,011‌
Clariant
AG
10,725‌
203‌
Covestro
AG
(f)
9,365‌
364‌
Daicel
Corp
13,500‌
90‌
EMS-Chemie
Holding
AG
155‌
134‌
Evonik
Industries
AG
11,293‌
305‌
ICL
Group
Ltd
37,927‌
118‌
Johnson
Matthey
PLC
354,512‌
10,352‌
Kuraray
Co
Ltd
8,500‌
83‌
LANXESS
AG
4,476‌
232‌
Linde
PLC
205,621‌
50,044‌
Mitsubishi
Chemical
Holdings
Corp
69,000‌
371‌
Mitsubishi
Gas
Chemical
Co
Inc
8,500‌
135‌
Mitsui
Chemicals
Inc
9,900‌
189‌
Nitto
Denko
Corp
8,600‌
488‌
Showa
Denko
KK
7,200‌
149‌
Solvay
SA
3,993‌
310‌
Sumitomo
Chemical
Co
Ltd
80,300‌
232‌
Toray
Industries
Inc
74,700‌
323‌
Tosoh
Corp
14,100‌
189‌
Yara
International
ASA
9,537‌
402‌
$
173,596‌
Commercial
Services
-
1.77%
Adecco
Group
AG
8,359‌
395‌
Amadeus
IT
Group
SA
234,182‌
11,694‌
Atlantia
SpA
(d)
245,736‌
3,937‌
Dai
Nippon
Printing
Co
Ltd
13,100‌
285‌
ISS
A/S
(d)
1,167,663‌
18,020‌
Randstad
NV
6,419‌
309‌
RELX
PLC
547,805‌
11,533‌
Secom
Co
Ltd
4,000‌
346‌
Securitas
AB
(d)
16,863‌
251‌
Toppan
Printing
Co
Ltd
14,100‌
211‌
$
46,981‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Computers
-
0.10%
Atos
SE
(d)
2,648‌
$
227‌
Capgemini
SE
8,662‌
1,123‌
Fujitsu
Ltd
10,600‌
1,419‌
$
2,769‌
Consumer
Products
-
0.07%
Henkel
AG
&
Co
KGaA
5,596‌
486‌
Reckitt
Benckiser
Group
PLC
13,378‌
1,342‌
$
1,828‌
Cosmetics
&
Personal
Care
-
0.00%
Pola
Orbis
Holdings
Inc
3,100‌
51‌
Distribution
&
Wholesale
-
1.79%
Bunzl
PLC
711,715‌
20,388‌
Ferguson
PLC
12,141‌
1,070‌
ITOCHU
Corp
36,300‌
796‌
Jardine
Cycle
&
Carriage
Ltd
5,300‌
78‌
Marubeni
Corp
89,000‌
410‌
Mitsubishi
Corp
47,400‌
955‌
Mitsui
&
Co
Ltd
89,200‌
1,334‌
Sumitomo
Corp
64,000‌
711‌
Toyota
Tsusho
Corp
11,400‌
289‌
Travis
Perkins
PLC
1,491,276‌
21,569‌
$
47,600‌
Diversified
Financial
Services
-
1.87%
AerCap
Holdings
NV
(d)
7,091‌
191‌
Amundi
SA
(d),(f)
3,267‌
249‌
Daiwa
Securities
Group
Inc
77,700‌
345‌
Japan
Exchange
Group
Inc
9,500‌
226‌
Julius
Baer
Group
Ltd
616,138‌
27,048‌
Mebuki
Financial
Group
Inc
50,900‌
113‌
Mitsubishi
UFJ
Lease
&
Finance
Co
Ltd
21,800‌
93‌
Nomura
Holdings
Inc
169,400‌
797‌
ORIX
Corp
1,807,400‌
19,547‌
SBI
Holdings
Inc/Japan
12,700‌
267‌
Schroders
PLC
6,694‌
259‌
Standard
Life
Aberdeen
PLC
125,403‌
408‌
Tokyo
Century
Corp
2,400‌
135‌
$
49,678‌
Electric
-
3.62%
AGL
Energy
Ltd
34,414‌
408‌
AusNet
Services
100,355‌
128‌
Chubu
Electric
Power
Co
Inc
34,700‌
413‌
Chugoku
Electric
Power
Co
Inc/The
15,500‌
189‌
CLP
Holdings
Ltd
88,500‌
837‌
E.ON
SE
120,911‌
1,419‌
EDP
-
Energias
de
Portugal
SA
137,018‌
689‌
EDP
-
Energias
de
Portugal
SA
-
Rights
(d)
147,575‌
15‌
Electric
Power
Development
Co
Ltd
7,400‌
101‌
Electricite
de
France
SA
33,430‌
339‌
Endesa
SA
17,107‌
488‌
Enel
SpA
3,428,562‌
31,408‌
Engie
SA
(d)
1,760,799‌
23,456‌
Fortum
Oyj
934,086‌
18,959‌
HK
Electric
Investments
&
HK
Electric
Investments
Ltd
143,000‌
148‌
Iberdrola
SA
319,913‌
4,135‌
Kansai
Electric
Power
Co
Inc/The
38,000‌
361‌
Kyushu
Electric
Power
Co
Inc
20,300‌
170‌
Mercury
NZ
Ltd
36,681‌
114‌
Meridian
Energy
Ltd
69,016‌
224‌
Origin
Energy
Ltd
94,851‌
363‌
Orsted
A/S
(f)
3,564‌
510‌
Power
Assets
Holdings
Ltd
74,500‌
415‌
Red
Electrica
Corp
SA
23,312‌
454‌
RWE
AG
218,751‌
8,246‌
SSE
PLC
55,466‌
941‌
Terna
Rete
Elettrica
Nazionale
SpA
75,773‌
565‌
Tohoku
Electric
Power
Co
Inc
23,100‌
218‌
Tokyo
Electric
Power
Co
Holdings
Inc
(d)
77,900‌
208‌
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
163
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electric
(continued)
Uniper
SE
10,841‌
$
374‌
$
96,295‌
Electrical
Components
&
Equipment
-
0.15%
Brother
Industries
Ltd
12,000‌
187‌
Casio
Computer
Co
Ltd
5,100‌
82‌
Prysmian
SpA
12,999‌
332‌
Schneider
Electric
SE
29,774‌
3,414‌
$
4,015‌
Electronics
-
2.38%
ABB
Ltd
1,668,647‌
41,906‌
Hirose
Electric
Co
Ltd
1,700‌
178‌
Kyocera
Corp
17,300‌
964‌
Murata
Manufacturing
Co
Ltd
294,800‌
18,935‌
Omron
Corp
5,000‌
360‌
TDK
Corp
7,000‌
779‌
Yokogawa
Electric
Corp
12,300‌
189‌
$
63,311‌
Energy
-
Alternate
Sources
-
0.01%
Siemens
Gamesa
Renewable
Energy
SA
8,345‌
197‌
Engineering
&
Construction
-
2.18%
ACS
Actividades
de
Construccion
y
Servicios
SA
14,620‌
339‌
Aena
SME
SA
(d),(f)
85,270‌
11,118‌
Aeroports
de
Paris
1,599‌
151‌
Auckland
International
Airport
Ltd
65,444‌
279‌
Balfour
Beatty
PLC
3,157,414‌
9,910‌
Beijing
Capital
International
Airport
Co
Ltd
8,660,000‌
5,705‌
Bouygues
SA
12,275‌
434‌
CK
Infrastructure
Holdings
Ltd
36,000‌
188‌
Eiffage
SA
(d)
4,487‌
392‌
Fraport
AG
Frankfurt
Airport
Services
Worldwide
(d)
2,240‌
88‌
HOCHTIEF
AG
467‌
38‌
JGC
Holdings
Corp
11,900‌
120‌
Kajima
Corp
24,200‌
266‌
Keppel
Corp
Ltd
(e)
27,300‌
108‌
Lendlease
Corp
Ltd
23,154‌
188‌
NWS
Holdings
Ltd
85,000‌
66‌
Obayashi
Corp
35,100‌
313‌
Shimizu
Corp
29,700‌
213‌
Taisei
Corp
10,200‌
350‌
Vinci
SA
321,867‌
27,701‌
$
57,967‌
Entertainment
-
0.04%
Flutter
Entertainment
PLC
5,401‌
818‌
Tabcorp
Holdings
Ltd
109,073‌
276‌
$
1,094‌
Environmental
Control
-
0.01%
Kurita
Water
Industries
Ltd
5,300‌
142‌
Food
-
3.30%
Associated
British
Foods
PLC
872,510‌
19,984‌
Carrefour
SA
960,706‌
15,268‌
Casino
Guichard
Perrachon
SA
(d),(e)
2,336‌
65‌
Colruyt
SA
1,490‌
87‌
Dairy
Farm
International
Holdings
Ltd
11,838‌
51‌
Danone
SA
270,388‌
18,098‌
ICA
Gruppen
AB
2,707‌
133‌
J
Sainsbury
PLC
95,340‌
232‌
Jardine
Strategic
Holdings
Ltd
11,937‌
241‌
Koninklijke
Ahold
Delhaize
NV
59,281‌
1,707‌
METRO
AG
9,695‌
89‌
Mowi
ASA
8,284‌
150‌
NH
Foods
Ltd
4,400‌
193‌
Nisshin
Seifun
Group
Inc
6,900‌
106‌
Ocado
Group
PLC
(d)
12,445‌
333‌
Orkla
ASA
14,156‌
139‌
Seven
&
i
Holdings
Co
Ltd
933,400‌
28,207‌
Tesco
PLC
527,431‌
1,489‌
Toyo
Suisan
Kaisha
Ltd
2,500‌
152‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Food
(continued)
WH
Group
Ltd
(f)
515,000‌
$
458‌
Wm
Morrison
Supermarkets
PLC
129,520‌
314‌
Yamazaki
Baking
Co
Ltd
3,200‌
54‌
$
87,550‌
Food
Service
-
1.09%
Compass
Group
PLC
2,080,456‌
28,625‌
Sodexo
SA
4,766‌
329‌
$
28,954‌
Forest
Products
&
Paper
-
0.08%
Mondi
PLC
26,148‌
463‌
Oji
Holdings
Corp
46,500‌
195‌
Smurfit
Kappa
Group
PLC
12,173‌
411‌
Stora
Enso
Oyj
31,330‌
393‌
UPM-Kymmene
Oyj
28,744‌
768‌
$
2,230‌
Gas
-
0.88%
Enagas
SA
13,404‌
338‌
National
Grid
PLC
188,940‌
2,217‌
Naturgy
Energy
Group
SA
15,901‌
296‌
Osaka
Gas
Co
Ltd
20,300‌
376‌
Snam
SpA
3,705,488‌
19,726‌
Toho
Gas
Co
Ltd
2,700‌
118‌
Tokyo
Gas
Co
Ltd
20,200‌
429‌
$
23,500‌
Hand
&
Machine
Tools
-
0.02%
Amada
Co
Ltd
17,900‌
120‌
Disco
Corp
500‌
121‌
Fuji
Electric
Co
Ltd
6,900‌
188‌
Makita
Corp
5,900‌
227‌
$
656‌
Healthcare
-
Products
-
1.27%
Alcon
Inc
(d)
9,268‌
560‌
EssilorLuxottica
SA
(d)
5,359‌
714‌
Koninklijke
Philips
NV
(d)
626,459‌
32,370‌
$
33,644‌
Healthcare
-
Services
-
0.07%
Fresenius
Medical
Care
AG
&
Co
KGaA
5,739‌
506‌
Fresenius
SE
&
Co
KGaA
22,513‌
1,123‌
Ryman
Healthcare
Ltd
21,542‌
191‌
$
1,820‌
Holding
Companies
-
Diversified
-
0.06%
CK
Hutchison
Holdings
Ltd
145,500‌
950‌
Jardine
Matheson
Holdings
Ltd
11,839‌
484‌
Swire
Pacific
Ltd
27,500‌
136‌
$
1,570‌
Home
Builders
-
0.12%
Barratt
Developments
PLC
54,841‌
364‌
Berkeley
Group
Holdings
PLC
6,781‌
394‌
Daiwa
House
Industry
Co
Ltd
30,600‌
675‌
Iida
Group
Holdings
Co
Ltd
7,900‌
122‌
Persimmon
PLC
17,177‌
536‌
Sekisui
Chemical
Co
Ltd
19,700‌
268‌
Sekisui
House
Ltd
33,600‌
614‌
Taylor
Wimpey
PLC
196,238‌
303‌
$
3,276‌
Home
Furnishings
-
0.04%
Panasonic
Corp
119,000‌
1,031‌
Insurance
-
6.42%
Admiral
Group
PLC
10,283‌
321‌
Aegon
NV
96,367‌
282‌
Ageas
SA/NV
9,617‌
360‌
Allianz
SE
48,354‌
10,033‌
AMP
Ltd
185,079‌
193‌
Assicurazioni
Generali
SpA
59,179‌
889‌
Aviva
PLC
5,028,212‌
17,292‌
AXA
SA
(e)
1,813,485‌
36,386‌
Baloise
Holding
AG
2,497‌
381‌
CNP
Assurances
(d)
9,245‌
112‌
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
164
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
(continued)
Dai-ichi
Life
Holdings
Inc
58,100‌
$
685‌
Direct
Line
Insurance
Group
PLC
74,052‌
287‌
Hannover
Rueck
SE
3,246‌
549‌
Hiscox
Ltd
984,920‌
10,050‌
Japan
Post
Holdings
Co
Ltd
84,900‌
580‌
Japan
Post
Insurance
Co
Ltd
12,100‌
161‌
Legal
&
General
Group
PLC
321,272‌
889‌
M&G
PLC
140,019‌
293‌
Mapfre
SA
58,048‌
105‌
Medibank
Pvt
Ltd
96,406‌
193‌
MS&AD
Insurance
Group
Holdings
Inc
15,500‌
389‌
Muenchener
Rueckversicherungs-Gesellschaft
AG
in
Muenchen
7,771‌
2,060‌
NN
Group
NV
15,728‌
576‌
Prudential
PLC
3,022,332‌
43,192‌
QBE
Insurance
Group
Ltd
78,137‌
547‌
RSA
Insurance
Group
PLC
55,560‌
310‌
Sampo
Oyj
698,043‌
25,230‌
SCOR
SE
(d)
8,539‌
220‌
Sompo
Holdings
Inc
118,100‌
3,891‌
Suncorp
Group
Ltd
67,909‌
415‌
Swiss
Life
Holding
AG
1,719‌
628‌
Swiss
Re
AG
5,555‌
438‌
T&D
Holdings
Inc
29,000‌
239‌
Zurich
Insurance
Group
AG
33,478‌
12,380‌
$
170,556‌
Internet
-
1.21%
Baidu
Inc
ADR
(d)
265,101‌
31,653‌
Delivery
Hero
SE
(d),(f)
2,412‌
277‌
Trend
Micro
Inc/Japan
2,600‌
152‌
$
32,082‌
Investment
Companies
-
0.05%
BGP
Holdings
PLC
(d),(g),(h)
738,711‌
—‌
Eurazeo
SE
(d)
740‌
39‌
EXOR
NV
3,796‌
213‌
Groupe
Bruxelles
Lambert
SA
6,066‌
526‌
Industrivarden
AB
(d)
8,544‌
211‌
L
E
Lundbergforetagen
AB
(d)
4,095‌
192‌
Melrose
Industries
PLC
170,069‌
188‌
Wendel
SE
937‌
88‌
$
1,457‌
Iron
&
Steel
-
0.32%
ArcelorMittal
SA
(d)
573,300‌
6,347‌
BlueScope
Steel
Ltd
27,226‌
218‌
Evraz
PLC
13,684‌
51‌
Fortescue
Metals
Group
Ltd
91,196‌
1,135‌
Hitachi
Metals
Ltd
11,400‌
149‌
JFE
Holdings
Inc
26,600‌
174‌
Nippon
Steel
Corp
43,500‌
357‌
voestalpine
AG
6,251‌
139‌
$
8,570‌
Leisure
Products
&
Services
-
0.02%
Shimano
Inc
1,400‌
304‌
Yamaha
Motor
Co
Ltd
15,100‌
220‌
$
524‌
Lodging
-
1.73%
Accor
SA
(d)
475,670‌
11,974‌
City
Developments
Ltd
24,300‌
146‌
Crown
Resorts
Ltd
20,059‌
128‌
Melco
Resorts
&
Entertainment
Ltd
ADR
11,767‌
194‌
Sands
China
Ltd
928,800‌
3,541‌
SJM
Holdings
Ltd
26,069,083‌
29,415‌
Whitbread
PLC
10,853‌
308‌
Wynn
Macau
Ltd
84,400‌
148‌
$
45,854‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Machinery
-
Construction
&
Mining
-
1.87%
Hitachi
Construction
Machinery
Co
Ltd
5,600‌
$
162‌
Hitachi
Ltd
787,260‌
23,582‌
Komatsu
Ltd
289,500‌
5,688‌
Mitsubishi
Electric
Corp
98,300‌
1,283‌
Mitsubishi
Heavy
Industries
Ltd
17,200‌
400‌
Sandvik
AB
(d)
60,798‌
1,136‌
Weir
Group
PLC/The
1,114,695‌
17,333‌
$
49,584‌
Machinery
-
Diversified
-
3.58%
CNH
Industrial
NV
(d)
27,556‌
187‌
FANUC
Corp
225,100‌
37,979‌
Husqvarna
AB
22,504‌
215‌
KION
Group
AG
367,779‌
28,108‌
Kone
Oyj
6,406‌
509‌
Kubota
Corp
19,500‌
278‌
Nabtesco
Corp
900,700‌
27,403‌
Sumitomo
Heavy
Industries
Ltd
5,900‌
115‌
THK
Co
Ltd
2,200‌
52‌
Yaskawa
Electric
Corp
4,400‌
146‌
$
94,992‌
Media
-
0.04%
Bollore
SA
47,525‌
159‌
Informa
PLC
80,896‌
384‌
ITV
PLC
195,111‌
144‌
Pearson
PLC
41,346‌
284‌
$
971‌
Metal
Fabrication
&
Hardware
-
0.03%
Maruichi
Steel
Tube
Ltd
3,000‌
71‌
NSK
Ltd
19,200‌
129‌
SKF
AB
20,501‌
380‌
Tenaris
SA
25,430‌
150‌
$
730‌
Mining
-
1.83%
Anglo
American
PLC
66,143‌
1,601‌
Antofagasta
PLC
21,237‌
282‌
BHP
Group
Ltd
158,642‌
4,177‌
BHP
Group
PLC
113,740‌
2,460‌
Boliden
AB
14,729‌
402‌
Fresnillo
PLC
2,080,572‌
33,789‌
Glencore
PLC
(d)
538,166‌
1,232‌
Mitsubishi
Materials
Corp
6,000‌
123‌
Norsk
Hydro
ASA
(d)
72,428‌
205‌
Rio
Tinto
PLC
60,407‌
3,677‌
South32
Ltd
263,875‌
387‌
Sumitomo
Metal
Mining
Co
Ltd
12,500‌
376‌
$
48,711‌
Miscellaneous
Manufacturers
-
2.99%
Alfa
Laval
AB
(d)
16,944‌
401‌
JSR
Corp
11,000‌
240‌
Nikon
Corp
16,300‌
114‌
Siemens
AG
615,075‌
78,383‌
Smiths
Group
PLC
21,337‌
376‌
$
79,514‌
Office
&
Business
Equipment
-
0.08%
Canon
Inc
53,800‌
866‌
FUJIFILM
Holdings
Corp
19,300‌
863‌
Ricoh
Co
Ltd
36,200‌
233‌
Seiko
Epson
Corp
15,200‌
161‌
$
2,123‌
Oil
&
Gas
-
4.02%
BP
PLC
6,130,154‌
22,200‌
DCC
PLC
5,299‌
471‌
Ecopetrol
SA
ADR
2,152,533‌
25,055‌
ENEOS
Holdings
Inc
165,310‌
580‌
Eni
SpA
137,005‌
1,220‌
Equinor
ASA
53,940‌
809‌
Galp
Energia
SGPS
SA
26,994‌
283‌
Idemitsu
Kosan
Co
Ltd
10,600‌
221‌
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
165
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Oil
&
Gas
(continued)
Inpex
Corp
55,200‌
$
315‌
Lundin
Energy
AB
1,041,264‌
24,288‌
Oil
Search
Ltd
106,269‌
219‌
OMV
AG
7,933‌
251‌
Repsol
SA
80,123‌
632‌
Royal
Dutch
Shell
PLC
-
A
Shares
221,664‌
3,240‌
Royal
Dutch
Shell
PLC
-
B
Shares
200,560‌
2,815‌
Santos
Ltd
47,679‌
178‌
TOTAL
SE
(e)
614,428‌
23,253‌
Woodside
Petroleum
Ltd
50,746‌
722‌
$
106,752‌
Pharmaceuticals
-
5.54%
Alfresa
Holdings
Corp
10,100‌
207‌
AstraZeneca
PLC
106,802‌
11,799‌
Bayer
AG
279,736‌
18,584‌
GlaxoSmithKline
PLC
270,161‌
5,382‌
Hisamitsu
Pharmaceutical
Co
Inc
1,900‌
84‌
Kyowa
Kirin
Co
Ltd
9,500‌
235‌
Medipal
Holdings
Corp
9,900‌
181‌
Novartis
AG
510,254‌
42,029‌
Otsuka
Holdings
Co
Ltd
13,600‌
564‌
Roche
Holding
AG
44,085‌
15,269‌
Sanofi
183,804‌
19,299‌
Sumitomo
Dainippon
Pharma
Co
Ltd
9,700‌
121‌
Suzuken
Co
Ltd/Aichi
Japan
1,300‌
46‌
Taisho
Pharmaceutical
Holdings
Co
Ltd
1,800‌
102‌
Takeda
Pharmaceutical
Co
Ltd
901,100‌
32,680‌
Teva
Pharmaceutical
Industries
Ltd
ADR
(d)
58,858‌
679‌
$
147,261‌
Pipelines
-
1.65%
Enbridge
Inc
735,100‌
23,527‌
Koninklijke
Vopak
NV
372,614‌
20,370‌
$
43,897‌
Private
Equity
-
0.02%
3i
Group
PLC
52,405‌
603‌
Real
Estate
-
1.35%
Aeon
Mall
Co
Ltd
5,400‌
64‌
Azrieli
Group
Ltd
2,285‌
111‌
CK
Asset
Holdings
Ltd
139,500‌
775‌
Daito
Trust
Construction
Co
Ltd
3,500‌
274‌
Deutsche
Wohnen
SE
11,962‌
582‌
Hang
Lung
Properties
Ltd
108,000‌
265‌
Henderson
Land
Development
Co
Ltd
79,438‌
297‌
Hongkong
Land
Holdings
Ltd
3,880,848‌
14,783‌
Kerry
Properties
Ltd
35,500‌
84‌
Mitsubishi
Estate
Co
Ltd
22,200‌
319‌
New
World
Development
Co
Ltd
82,451‌
403‌
Nomura
Real
Estate
Holdings
Inc
6,200‌
103‌
Sino
Land
Co
Ltd
86,000‌
104‌
Sumitomo
Realty
&
Development
Co
Ltd
16,700‌
426‌
Sun
Hung
Kai
Properties
Ltd
70,383‌
856‌
Swire
Properties
Ltd
5,976,400‌
13,812‌
Swiss
Prime
Site
AG
4,092‌
373‌
Tokyu
Fudosan
Holdings
Corp
33,000‌
126‌
Vonovia
SE
27,743‌
1,793‌
Wharf
Real
Estate
Investment
Co
Ltd
89,000‌
315‌
$
35,865‌
REITs
-
0.24%
British
Land
Co
PLC/The
47,411‌
226‌
CapitaLand
Commercial
Trust
94,400‌
111‌
CapitaLand
Mall
Trust
48,500‌
67‌
Covivio
2,586‌
186‌
Daiwa
House
REIT
Investment
Corp
106‌
276‌
Dexus
59,048‌
358‌
Gecina
SA
2,469‌
320‌
GLP
J-Reit
(d)
196‌
327‌
GPT
Group/The
104,905‌
290‌
ICADE
1,606‌
106‌
Japan
Prime
Realty
Investment
Corp
43‌
113‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Japan
Real
Estate
Investment
Corp
71‌
$
362‌
Japan
Retail
Fund
Investment
Corp
141‌
170‌
Klepierre
SA
10,596‌
183‌
Land
Securities
Group
PLC
37,936‌
286‌
Mirvac
Group
211,865‌
315‌
Nippon
Building
Fund
Inc
69‌
386‌
Nippon
Prologis
REIT
Inc
(d)
73‌
252‌
Nomura
Real
Estate
Master
Fund
Inc
228‌
283‌
Orix
JREIT
Inc
142‌
183‌
Scentre
Group
282,135‌
409‌
Stockland
128,411‌
290‌
Suntec
Real
Estate
Investment
Trust
105,900‌
104‌
Unibail-Rodamco-Westfield
7,452‌
391‌
United
Urban
Investment
Corp
160‌
156‌
Vicinity
Centres
209,113‌
193‌
$
6,343‌
Retail
-
2.73%
B&M
European
Value
Retail
SA
5,189,907‌
31,203‌
Cie
Financiere
Richemont
SA
432,210‌
26,832‌
E-MART
Inc
121,349‌
11,618‌
Isetan
Mitsukoshi
Holdings
Ltd
18,000‌
82‌
Kingfisher
PLC
113,643‌
359‌
Marui
Group
Co
Ltd
10,100‌
147‌
Next
PLC
7,162‌
505‌
Pandora
A/S
1,886‌
120‌
Ryohin
Keikaku
Co
Ltd
12,700‌
153‌
Shimamura
Co
Ltd
1,300‌
90‌
Swatch
Group
AG/The
-
BR
1,559‌
327‌
Swatch
Group
AG/The
-
REG
2,834‌
113‌
USS
Co
Ltd
7,600‌
113‌
Wesfarmers
Ltd
21,373‌
711‌
Yamada
Denki
Co
Ltd
38,900‌
169‌
$
72,542‌
Semiconductors
-
3.66%
Infineon
Technologies
AG
1,076,653‌
27,450‌
MediaTek
Inc
1,383,667‌
33,039‌
Rohm
Co
Ltd
1,700‌
109‌
Samsung
Electronics
Co
Ltd
747,428‌
36,530‌
$
97,128‌
Shipbuilding
-
0.01%
Wartsila
OYJ
Abp
23,901‌
200‌
Yangzijiang
Shipbuilding
Holdings
Ltd
139,100‌
93‌
$
293‌
Software
-
1.01%
Micro
Focus
International
PLC
850,749‌
3,063‌
SAP
SE
149,766‌
23,641‌
$
26,704‌
Telecommunications
-
1.81%
BT
Group
PLC
478,989‌
615‌
Deutsche
Telekom
AG
179,501‌
2,997‌
Elisa
Oyj
3,829‌
227‌
HKT
Trust
&
HKT
Ltd
205,000‌
302‌
KDDI
Corp
88,800‌
2,824‌
Nippon
Telegraph
&
Telephone
Corp
69,400‌
1,611‌
NTT
DOCOMO
Inc
62,900‌
1,732‌
Orange
SA
107,445‌
1,259‌
PCCW
Ltd
229,000‌
129‌
Proximus
SADP
8,192‌
169‌
SES
SA
20,652‌
146‌
Singapore
Telecommunications
Ltd
285,600‌
518‌
SK
Telecom
Co
Ltd
25,917‌
4,800‌
Softbank
Corp
103,300‌
1,383‌
SoftBank
Group
Corp
42,200‌
2,662‌
Spark
New
Zealand
Ltd
98,936‌
324‌
Swisscom
AG
1,395‌
742‌
Telecom
Italia
SpA/Milano
450,323‌
183‌
Telecom
Italia
SpA/Milano
-
RSP
324,629‌
130‌
Telefonaktiebolaget
LM
Ericsson
55,015‌
640‌
Telefonica
Deutschland
Holding
AG
28,039‌
76‌
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
166
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Telecommunications
(continued)
Telefonica
SA
262,146‌
$
1,098‌
Telenor
ASA
38,843‌
600‌
Telia
Co
AB
136,024‌
530‌
Telstra
Corp
Ltd
224,182‌
537‌
TPG
Telecom
Ltd
(d)
12,991‌
75‌
Vodafone
Group
PLC
14,465,245‌
21,739‌
$
48,048‌
Textiles
-
0.01%
Teijin
Ltd
9,600‌
139‌
Transportation
-
1.20%
AP
Moller
-
Maersk
A/S
-
A
62‌
74‌
Central
Japan
Railway
Co
7,800‌
946‌
Deutsche
Post
AG
668,625‌
27,139‌
East
Japan
Railway
Co
16,400‌
945‌
Hankyu
Hanshin
Holdings
Inc
12,300‌
352‌
Kamigumi
Co
Ltd
5,300‌
97‌
Kuehne
+
Nagel
International
AG
1,453‌
250‌
Kyushu
Railway
Co
8,100‌
160‌
MTR
Corp
Ltd
83,000‌
413‌
Nagoya
Railroad
Co
Ltd
3,400‌
86‌
Nippon
Express
Co
Ltd
4,100‌
195‌
Nippon
Yusen
KK
8,300‌
108‌
Odakyu
Electric
Railway
Co
Ltd
5,500‌
115‌
Poste
Italiane
SpA
(f)
28,137‌
259‌
West
Japan
Railway
Co
8,800‌
380‌
Yamato
Holdings
Co
Ltd
10,800‌
279‌
$
31,798‌
Water
-
0.62%
Severn
Trent
PLC
12,814‌
408‌
Suez
SA
18,613‌
245‌
United
Utilities
Group
PLC
36,722‌
431‌
Veolia
Environnement
SA
667,627‌
15,294‌
$
16,378‌
TOTAL
COMMON
STOCKS
$
2,531,541‌
PREFERRED
STOCKS
-
2.03%
Shares
Held
Value
(000's)
Automobile
Manufacturers
-
1.99%
Bayerische
Motoren
Werke
AG
2.52%
3,064‌
$
156‌
Porsche
Automobil
Holding
SE
2.21%
8,246‌
467‌
Volkswagen
AG
4.86%
357,562‌
52,339‌
$
52,962‌
Chemicals
-
0.00%
FUCHS
PETROLUB
SE
0.97%
2,433‌
106‌
Consumer
Products
-
0.04%
Henkel
AG
&
Co
KGaA
1.85%
9,594‌
943‌
TOTAL
PREFERRED
STOCKS
$
54,011‌
Total
Investments
$
2,670,790‌
Other
Assets
and
Liabilities
-  (0.54)%
(14,428‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,656,362‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$26,409
or
0.99%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(f)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$13,509
or
0.51%
of
net
assets.
(g)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(h)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$0
or
0.00%
of
net
assets.
Portfolio
Summary  (unaudited)
Location
Percent
United
Kingdom
18.61‌%
Germany
15.72‌%
Japan
12.86‌%
France
10.76‌%
Switzerland
7.59‌%
Netherlands
4.39‌%
Italy
4.04‌%
United
States
3.21‌%
Hong
Kong
3.14‌%
Spain
2.30‌%
Mexico
2.25‌%
Korea,
Republic
Of
2.00‌%
Finland
1.80‌%
Sweden
1.71‌%
China
1.42‌%
Taiwan
1.24‌%
Singapore
1.17‌%
Ireland
1.16‌%
Canada
1.10‌%
Australia
1.07‌%
Colombia
0.94‌%
Denmark
0.72‌%
Bermuda
0.38‌%
Luxembourg
0.26‌%
Belgium
0.16‌%
Macao
0.14‌%
Norway
0.12‌%
Indonesia
0.08‌%
Israel
0.08‌%
New
Zealand
0.04‌%
Portugal
0.04‌%
Austria
0.03‌%
Chile
0.01‌%
Russian
Federation
0.00‌%
Other
Assets
and
Liabilities
(0.54‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Overseas
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
167
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
42,278‌
$
1,445,239‌
$
1,408,698‌
$
78,819‌
Principal
International
Multi-Factor
Core
Index
ETF
485‌
—‌
449‌
—‌
$
42,763‌
$
1,445,239‌
$
1,409,147‌
$
78,819‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
305‌
$
—‌
$
—‌
$
—‌
Principal
International
Multi-Factor
Core
Index
ETF
5‌
(14‌)
—‌
(22‌)
$
310‌
$
(14‌)
$
—‌
$
(22‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
eMini
MSCI
EAFE;
September
2020
Long
259‌
$
23,486‌
$
(801‌)
Total
$
(801‌)
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
Principal
Capital
Appreciation
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
168
INVESTMENT
COMPANIES
-
1.36%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.36%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
24,760,888‌
$
24,761‌
TOTAL
INVESTMENT
COMPANIES
$
24,761‌
COMMON
STOCKS
-
98.88%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
0.94%
Northrop
Grumman
Corp
34,565‌
$
11,234‌
Teledyne
Technologies
Inc
(b)
19,519‌
5,986‌
$
17,220‌
Apparel
-
1.92%
Deckers
Outdoor
Corp
(b)
114,231‌
23,903‌
NIKE
Inc
114,942‌
11,219‌
$
35,122‌
Automobile
Manufacturers
-
0.95%
PACCAR
Inc
204,870‌
17,430‌
Banks
-
3.12%
JPMorgan
Chase
&
Co
389,695‌
37,660‌
PNC
Financial
Services
Group
Inc
/The
180,959‌
19,303‌
$
56,963‌
Beverages
-
2.49%
Keurig
Dr
Pepper
Inc
324,139‌
9,915‌
PepsiCo
Inc
258,795‌
35,626‌
$
45,541‌
Chemicals
-
1.14%
FMC
Corp
196,955‌
20,887‌
Commercial
Services
-
0.74%
PayPal
Holdings
Inc
(b)
69,127‌
13,554‌
Computers
-
5.54%
Apple
Inc
238,055‌
101,183‌
Consumer
Products
-
1.55%
Church
&
Dwight
Co
Inc
293,727‌
28,295‌
Diversified
Financial
Services
-
4.93%
Ameriprise
Financial
Inc
94,704‌
14,549‌
BlackRock
Inc
24,126‌
13,873‌
Charles
Schwab
Corp/The
270,013‌
8,951‌
Discover
Financial
Services
195,399‌
9,659‌
Nasdaq
Inc
93,743‌
12,309‌
Visa
Inc
161,362‌
30,723‌
$
90,064‌
Electric
-
3.58%
NextEra
Energy
Inc
127,254‌
35,720‌
Xcel
Energy
Inc
429,481‌
29,652‌
$
65,372‌
Electronics
-
1.93%
Honeywell
International
Inc
130,147‌
19,440‌
Roper
Technologies
Inc
36,383‌
15,734‌
$
35,174‌
Environmental
Control
-
1.06%
Republic
Services
Inc
200,261‌
17,473‌
Waste
Connections
Inc
18,146‌
1,857‌
$
19,330‌
Food
-
1.06%
McCormick
&
Co
Inc
/MD
90,285‌
17,596‌
Tyson
Foods
Inc
28,003‌
1,721‌
$
19,317‌
Hand
&
Machine
Tools
-
0.50%
Snap-on
Inc
62,431‌
9,107‌
Healthcare
-
Products
-
5.05%
Abbott
Laboratories
177,716‌
17,886‌
Edwards
Lifesciences
Corp
(b)
159,102‌
12,475‌
Medtronic
PLC
170,181‌
16,419‌
Thermo
Fisher
Scientific
Inc
81,360‌
33,679‌
Varian
Medical
Systems
Inc
(b)
82,176‌
11,728‌
$
92,187‌
Healthcare
-
Services
-
1.97%
UnitedHealth
Group
Inc
76,432‌
23,142‌
Universal
Health
Services
Inc
117,700‌
12,935‌
$
36,077‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
-
3.31%
Chubb
Ltd
85,666‌
$
10,900‌
Fidelity
National
Financial
Inc
396,708‌
12,838‌
Marsh
&
McLennan
Cos
Inc
202,379‌
23,597‌
Progressive
Corp/The
145,295‌
13,126‌
$
60,461‌
Internet
-
10.11%
Alphabet
Inc
-
A
Shares
(b)
36,542‌
54,373‌
Amazon.com
Inc
(b)
27,927‌
88,380‌
Facebook
Inc
(b)
121,142‌
30,730‌
Netflix
Inc
(b)
22,776‌
11,135‌
$
184,618‌
Machinery
-
Diversified
-
1.15%
Deere
&
Co
119,167‌
21,010‌
Media
-
1.87%
Comcast
Corp
-
Class
A
459,367‌
19,661‌
Nexstar
Media
Group
Inc
45,145‌
3,957‌
Walt
Disney
Co/The
90,340‌
10,564‌
$
34,182‌
Miscellaneous
Manufacturers
-
0.47%
3M
Co
56,693‌
8,531‌
Oil
&
Gas
-
1.93%
Chevron
Corp
295,711‌
24,822‌
Valero
Energy
Corp
184,761‌
10,389‌
$
35,211‌
Packaging
&
Containers
-
1.07%
Ball
Corp
264,736‌
19,493‌
Pharmaceuticals
-
7.46%
Becton
Dickinson
and
Co
105,024‌
29,547‌
Bristol-Myers
Squibb
Co
355,824‌
20,873‌
DexCom
Inc
(b)
15,116‌
6,584‌
Johnson
&
Johnson
157,409‌
22,944‌
Merck
&
Co
Inc
386,147‌
30,984‌
Pfizer
Inc
327,967‌
12,620‌
Roche
Holding
AG
ADR
295,533‌
12,738‌
$
136,290‌
REITs
-
3.41%
Alexandria
Real
Estate
Equities
Inc
174,958‌
31,064‌
American
Tower
Corp
16,493‌
4,311‌
Extra
Space
Storage
Inc
119,808‌
12,381‌
Prologis
Inc
137,915‌
14,539‌
$
62,295‌
Retail
-
5.85%
Costco
Wholesale
Corp
80,740‌
26,283‌
Home
Depot
Inc
/The
120,135‌
31,895‌
Lululemon
Athletica
Inc
(b)
76,575‌
24,932‌
Starbucks
Corp
104,084‌
7,965‌
Target
Corp
125,324‌
15,776‌
$
106,851‌
Semiconductors
-
5.35%
Broadcom
Inc
58,318‌
18,472‌
Lam
Research
Corp
62,543‌
23,589‌
Microchip
Technology
Inc
149,893‌
15,249‌
NVIDIA
Corp
38,976‌
16,549‌
Taiwan
Semiconductor
Manufacturing
Co
Ltd
ADR
303,061‌
23,908‌
$
97,767‌
Software
-
12.48%
Adobe
Inc
(b)
96,200‌
42,744‌
Fair
Isaac
Corp
(b)
58,996‌
25,910‌
Fidelity
National
Information
Services
Inc
201,308‌
29,453‌
Microsoft
Corp
479,902‌
98,385‌
salesforce.com
Inc
(b)
65,954‌
12,851‌
ServiceNow
Inc
(b)
42,193‌
18,531‌
$
227,874‌
Schedule
of
Investments
Principal
Capital
Appreciation
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
169
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Telecommunications
-
4.16%
Cisco
Systems
Inc
339,367‌
$
15,984‌
T-Mobile
US
Inc
(b)
289,084‌
31,042‌
Verizon
Communications
Inc
503,530‌
28,943‌
$
75,969‌
Toys,
Games
&
Hobbies
-
0.09%
Hasbro
Inc
23,431‌
1,705‌
Transportation
-
1.70%
Expeditors
International
of
Washington
Inc
157,002‌
13,268‌
Union
Pacific
Corp
102,398‌
17,751‌
$
31,019‌
TOTAL
COMMON
STOCKS
$
1,806,099‌
Total
Investments
$
1,830,860‌
Other
Assets
and
Liabilities
-  (0.24)%
(4,374‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,826,486‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Sector
Percent
Technology
23.37‌%
Consumer,
Non-cyclical
20.32‌%
Communications
16.14‌%
Financial
14.77‌%
Industrial
8.82‌%
Consumer,
Cyclical
8.81‌%
Utilities
3.58‌%
Energy
1.93‌%
Money
Market
Funds
1.36‌%
Basic
Materials
1.14‌%
Other
Assets
and
Liabilities
(0.24‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
48,465‌
$
332,958‌
$
356,662‌
$
24,761‌
$
48,465‌
$
332,958‌
$
356,662‌
$
24,761‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
228‌
$
—‌
$
—‌
$
—‌
$
228‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
Principal
LifeTime
2010
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
170
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
42.98%
Blue
Chip
Fund
(a)
804,601‌
$
25,401‌
Core
Fixed
Income
Fund
(a)
16,522,265‌
171,171‌
Diversified
International
Fund
(a)
2,462,497‌
30,683‌
Diversified
Real
Asset
Fund
(a)
1,083,299‌
11,765‌
International
Small
Company
Fund
(a)
875,718‌
8,801‌
LargeCap
Growth
Fund
I
(a)
1,321,868‌
25,182‌
MidCap
Fund
(a)
567,844‌
17,688‌
MidCap
Value
Fund
I
(a)
783,250‌
9,845‌
SmallCap
Growth
Fund
I
(a),(b)
468,812‌
6,966‌
SmallCap
Value
Fund
II
(a)
411,221‌
3,545‌
$
311,047‌
Principal
Funds,
Inc.
Institutional
Class
-
57.03%
Bond
Market
Index
Fund
(a)
8,785,080‌
106,563‌
Equity
Income
Fund
(a)
492,706‌
14,983‌
High
Income
Fund
(a)
5,022,638‌
45,405‌
Inflation
Protection
Fund
(a)
3,464,860‌
32,258‌
LargeCap
S&P
500
Index
Fund
(a)
2,008,759‌
40,356‌
LargeCap
Value
Fund
III
(a)
971,589‌
14,477‌
Overseas
Fund
(a)
3,194,933‌
26,709‌
Short-Term
Income
Fund
(a)
10,512,351‌
132,035‌
$
412,786‌
TOTAL
INVESTMENT
COMPANIES
$
723,833‌
Total
Investments
$
723,833‌
Other
Assets
and
Liabilities
-  (0.01)%
(107‌)
TOTAL
NET
ASSETS
-
100.00%
$
723,726‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
71.58‌%
Domestic
Equity
Funds
21.89‌%
International
Equity
Funds
4.91‌%
Specialty
Funds
1.63‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2010
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
171
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
20,395‌
$
6,245‌
$
6,743‌
$
25,401‌
Bond
Market
Index
Fund
112,773‌
7,829‌
19,107‌
106,563‌
Core
Fixed
Income
Fund
174,104‌
14,566‌
26,570‌
171,171‌
Diversified
International
Fund
27,188‌
5,986‌
2,519‌
30,683‌
Diversified
Real
Asset
Fund
12,123‌
1,484‌
1,217‌
11,765‌
Equity
Income
Fund
16,807‌
1,752‌
2,376‌
14,983‌
High
Income
Fund
47,714‌
4,998‌
5,769‌
45,405‌
Inflation
Protection
Fund
32,844‌
2,173‌
5,145‌
32,258‌
International
Small
Company
Fund
8,793‌
1,561‌
682‌
8,801‌
LargeCap
Growth
Fund
I
19,700‌
6,738‌
6,310‌
25,182‌
LargeCap
S&P
500
Index
Fund
35,494‌
10,583‌
9,588‌
40,356‌
LargeCap
Value
Fund
III
17,136‌
2,154‌
2,676‌
14,477‌
MidCap
Fund
18,122‌
1,876‌
2,629‌
17,688‌
MidCap
Value
Fund
I
10,933‌
1,305‌
1,143‌
9,845‌
Overseas
Fund
26,704‌
6,506‌
2,522‌
26,709‌
Short-Term
Income
Fund
135,541‌
15,015‌
21,024‌
132,035‌
SmallCap
Growth
Fund
I
5,812‌
775‌
341‌
6,966‌
SmallCap
Value
Fund
II
4,964‌
357‌
1,081‌
3,545‌
$
727,147‌
$
91,903‌
$
117,442‌
$
723,833‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
166‌
$
1,646‌
$
796‌
$
3,858‌
Bond
Market
Index
Fund
2,578‌
187‌
—‌
4,881‌
Core
Fixed
Income
Fund
3,399‌
—‌
—‌
9,071‌
Diversified
International
Fund
623‌
(508‌)
—‌
536‌
Diversified
Real
Asset
Fund
288‌
39‌
—‌
(664‌)
Equity
Income
Fund
241‌
568‌
459‌
(1,768‌)
High
Income
Fund
2,153‌
(440‌)
—‌
(1,098‌)
Inflation
Protection
Fund
193‌
252‌
—‌
2,134‌
International
Small
Company
Fund
257‌
(13‌)
—‌
(858‌)
LargeCap
Growth
Fund
I
53‌
1,359‌
1,513‌
3,695‌
LargeCap
S&P
500
Index
Fund
737‌
1,817‌
656‌
2,050‌
LargeCap
Value
Fund
III
397‌
227‌
705‌
(2,364‌)
MidCap
Fund
122‌
691‌
750‌
(372‌)
MidCap
Value
Fund
I
242‌
(26‌)
321‌
(1,224‌)
Overseas
Fund
819‌
(25‌)
—‌
(3,954‌)
Short-Term
Income
Fund
2,047‌
20‌
—‌
2,483‌
SmallCap
Growth
Fund
I
—‌
36‌
434‌
684‌
SmallCap
Value
Fund
II
46‌
252‌
—‌
(947‌)
$
14,361‌
$
6,082‌
$
5,634‌
$
16,143‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2015
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
172
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
46.22%
Blue
Chip
Fund
(a)
476,123‌
$
15,031‌
Core
Fixed
Income
Fund
(a)
7,883,114‌
81,669‌
Diversified
International
Fund
(a)
1,605,329‌
20,003‌
Diversified
Real
Asset
Fund
(a)
502,883‌
5,461‌
International
Small
Company
Fund
(a)
567,599‌
5,704‌
LargeCap
Growth
Fund
I
(a)
814,759‌
15,521‌
MidCap
Fund
(a)
373,105‌
11,622‌
MidCap
Value
Fund
I
(a)
517,010‌
6,499‌
SmallCap
Growth
Fund
I
(a),(b)
322,126‌
4,787‌
SmallCap
Value
Fund
II
(a)
309,747‌
2,670‌
$
168,967‌
Principal
Funds,
Inc.
Institutional
Class
-
53.79%
Bond
Market
Index
Fund
(a)
3,908,301‌
47,408‌
Equity
Income
Fund
(a)
320,606‌
9,750‌
High
Income
Fund
(a)
2,233,291‌
20,189‌
Inflation
Protection
Fund
(a)
1,654,257‌
15,401‌
LargeCap
S&P
500
Index
Fund
(a)
1,218,341‌
24,476‌
LargeCap
Value
Fund
III
(a)
631,819‌
9,414‌
Overseas
Fund
(a)
2,075,793‌
17,354‌
Short-Term
Income
Fund
(a)
4,191,474‌
52,645‌
$
196,637‌
TOTAL
INVESTMENT
COMPANIES
$
365,604‌
Total
Investments
$
365,604‌
Other
Assets
and
Liabilities
-  (0.01)%
(46‌)
TOTAL
NET
ASSETS
-
100.00%
$
365,558‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
64.91‌%
Domestic
Equity
Funds
27.30‌%
International
Equity
Funds
6.31‌%
Specialty
Funds
1.49‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2015
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
173
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
13,123‌
$
3,787‌
$
5,131‌
$
15,031‌
Bond
Market
Index
Fund
52,956‌
6,668‌
14,522‌
47,408‌
Core
Fixed
Income
Fund
88,012‌
11,597‌
22,330‌
81,669‌
Diversified
International
Fund
17,948‌
4,780‌
2,664‌
20,003‌
Diversified
Real
Asset
Fund
5,933‌
1,084‌
1,234‌
5,461‌
Equity
Income
Fund
11,165‌
1,521‌
2,087‌
9,750‌
High
Income
Fund
22,411‌
3,621‌
5,043‌
20,189‌
Inflation
Protection
Fund
16,509‌
2,040‌
4,318‌
15,401‌
International
Small
Company
Fund
5,822‌
1,383‌
888‌
5,704‌
LargeCap
Growth
Fund
I
12,820‌
5,052‌
5,407‌
15,521‌
LargeCap
S&P
500
Index
Fund
24,006‌
6,724‌
8,378‌
24,476‌
LargeCap
Value
Fund
III
11,333‌
1,788‌
2,235‌
9,414‌
MidCap
Fund
11,927‌
1,592‌
2,059‌
11,622‌
MidCap
Value
Fund
I
7,425‌
1,139‌
1,182‌
6,499‌
Overseas
Fund
17,724‌
5,029‌
2,664‌
17,354‌
Short-Term
Income
Fund
56,609‌
9,594‌
14,554‌
52,645‌
SmallCap
Growth
Fund
I
4,097‌
673‌
468‌
4,787‌
SmallCap
Value
Fund
II
3,723‌
392‌
882‌
2,670‌
$
383,543‌
$
68,464‌
$
96,046‌
$
365,604‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
107‌
$
1,097‌
$
514‌
$
2,155‌
Bond
Market
Index
Fund
1,216‌
153‌
—‌
2,153‌
Core
Fixed
Income
Fund
1,679‌
45‌
—‌
4,345‌
Diversified
International
Fund
423‌
(9‌)
—‌
(52‌)
Diversified
Real
Asset
Fund
143‌
(106‌)
—‌
(216‌)
Equity
Income
Fund
160‌
328‌
307‌
(1,177‌)
High
Income
Fund
995‌
(390‌)
—‌
(410‌)
Inflation
Protection
Fund
98‌
(80‌)
—‌
1,250‌
International
Small
Company
Fund
172‌
(34‌)
—‌
(579‌)
LargeCap
Growth
Fund
I
37‌
706‌
1,050‌
2,350‌
LargeCap
S&P
500
Index
Fund
503‌
1,767‌
447‌
357‌
LargeCap
Value
Fund
III
265‌
116‌
470‌
(1,588‌)
MidCap
Fund
80‌
323‌
496‌
(161‌)
MidCap
Value
Fund
I
166‌
(36‌)
220‌
(847‌)
Overseas
Fund
559‌
(206‌)
—‌
(2,529‌)
Short-Term
Income
Fund
842‌
23‌
—‌
973‌
SmallCap
Growth
Fund
I
—‌
25‌
309‌
460‌
SmallCap
Value
Fund
II
35‌
149‌
—‌
(712‌)
$
7,480‌
$
3,871‌
$
3,813‌
$
5,772‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2020
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
174
Er
ar
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
49.42%
Blue
Chip
Fund
(a)
6,037,270‌
$
190,597‌
Core
Fixed
Income
Fund
(a)
75,289,689‌
780,001‌
Diversified
International
Fund
(a)
20,282,045‌
252,714‌
Diversified
Real
Asset
Fund
(a)
5,229,736‌
56,795‌
International
Small
Company
Fund
(a)
6,834,135‌
68,683‌
LargeCap
Growth
Fund
I
(a)
10,292,715‌
196,076‌
MidCap
Fund
(a)
4,501,993‌
140,237‌
MidCap
Value
Fund
I
(a)
6,608,636‌
83,071‌
SmallCap
Growth
Fund
I
(a),(b)
3,833,653‌
56,968‌
SmallCap
Value
Fund
II
(a)
3,749,322‌
32,319‌
$
1,857,461‌
Principal
Funds,
Inc.
Institutional
Class
-
50.59%
Bond
Market
Index
Fund
(a)
36,088,219‌
437,750‌
Equity
Income
Fund
(a)
4,053,877‌
123,278‌
High
Income
Fund
(a)
19,398,197‌
175,360‌
Inflation
Protection
Fund
(a)
16,400,465‌
152,688‌
LargeCap
S&P
500
Index
Fund
(a)
15,567,624‌
312,754‌
LargeCap
Value
Fund
III
(a)
7,983,814‌
118,959‌
Overseas
Fund
(a)
26,105,322‌
218,240‌
Short-Term
Income
Fund
(a)
28,878,316‌
362,712‌
$
1,901,741‌
TOTAL
INVESTMENT
COMPANIES
$
3,759,202‌
Total
Investments
$
3,759,202‌
Other
Assets
and
Liabilities
-  (0.01)%
(435‌)
TOTAL
NET
ASSETS
-
100.00%
$
3,758,767‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
57.49‌%
Domestic
Equity
Funds
33.37‌%
International
Equity
Funds
7.64‌%
Specialty
Funds
1.51‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2020
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
175
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
166,529‌
$
29,826‌
$
44,569‌
$
190,597‌
Bond
Market
Index
Fund
477,486‌
38,510‌
99,027‌
437,750‌
Core
Fixed
Income
Fund
839,402‌
62,603‌
163,020‌
780,001‌
Diversified
International
Fund
248,544‌
32,007‌
26,258‌
252,714‌
Diversified
Real
Asset
Fund
65,640‌
2,350‌
7,393‌
56,795‌
Equity
Income
Fund
144,998‌
7,135‌
17,288‌
123,278‌
High
Income
Fund
194,904‌
17,796‌
30,618‌
175,360‌
Inflation
Protection
Fund
162,314‌
11,073‌
32,035‌
152,688‌
International
Small
Company
Fund
77,513‌
5,463‌
6,358‌
68,683‌
LargeCap
Growth
Fund
I
167,999‌
38,101‌
46,479‌
196,076‌
LargeCap
S&P
500
Index
Fund
307,006‌
50,584‌
68,943‌
312,754‌
LargeCap
Value
Fund
III
146,160‌
10,268‌
18,015‌
118,959‌
MidCap
Fund
150,763‌
8,227‌
20,053‌
140,237‌
MidCap
Value
Fund
I
99,079‌
5,913‌
9,880‌
83,071‌
Overseas
Fund
239,219‌
40,768‌
25,257‌
218,240‌
Short-Term
Income
Fund
389,904‌
45,163‌
79,005‌
362,712‌
SmallCap
Growth
Fund
I
50,921‌
4,166‌
3,759‌
56,968‌
SmallCap
Value
Fund
II
45,945‌
792‌
7,134‌
32,319‌
$
3,974,326‌
$
410,745‌
$
705,091‌
$
3,759,202‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
1,353‌
$
11,430‌
$
6,503‌
$
27,381‌
Bond
Market
Index
Fund
11,193‌
542‌
—‌
20,239‌
Core
Fixed
Income
Fund
15,904‌
(301‌)
—‌
41,317‌
Diversified
International
Fund
5,658‌
(4,169‌)
—‌
2,590‌
Diversified
Real
Asset
Fund
1,559‌
(549‌)
—‌
(3,253‌)
Equity
Income
Fund
2,055‌
4,490‌
3,956‌
(16,057‌)
High
Income
Fund
8,529‌
(2,421‌)
—‌
(4,301‌)
Inflation
Protection
Fund
962‌
(151‌)
—‌
11,487‌
International
Small
Company
Fund
2,270‌
(308‌)
—‌
(7,627‌)
LargeCap
Growth
Fund
I
459‌
9,497‌
13,079‌
26,958‌
LargeCap
S&P
500
Index
Fund
6,351‌
15,538‌
5,651‌
8,569‌
LargeCap
Value
Fund
III
3,294‌
1,373‌
5,850‌
(20,827‌)
MidCap
Fund
1,000‌
4,312‌
6,182‌
(3,012‌)
MidCap
Value
Fund
I
2,196‌
(523‌)
2,910‌
(11,518‌)
Overseas
Fund
7,306‌
(1,227‌)
—‌
(35,263‌)
Short-Term
Income
Fund
5,739‌
41‌
—‌
6,609‌
SmallCap
Growth
Fund
I
—‌
385‌
3,802‌
5,255‌
SmallCap
Value
Fund
II
428‌
1,630‌
—‌
(8,914‌)
$
76,256‌
$
39,589‌
$
47,933‌
$
39,633‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2025
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
176
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
53.49%
Blue
Chip
Fund
(a)
3,066,510‌
$
96,810‌
Core
Fixed
Income
Fund
(a)
28,735,715‌
297,702‌
Diversified
International
Fund
(a)
10,338,311‌
128,815‌
Diversified
Real
Asset
Fund
(a)
2,397,419‌
26,036‌
International
Small
Company
Fund
(a)
3,508,374‌
35,259‌
LargeCap
Growth
Fund
I
(a)
5,216,602‌
99,376‌
MidCap
Fund
(a)
2,268,122‌
70,652‌
MidCap
Value
Fund
I
(a)
3,441,919‌
43,265‌
SmallCap
Growth
Fund
I
(a),(b)
1,974,169‌
29,336‌
SmallCap
Value
Fund
II
(a)
2,055,271‌
17,717‌
$
844,968‌
Principal
Funds,
Inc.
Institutional
Class
-
46.52%
Bond
Market
Index
Fund
(a)
12,664,332‌
153,618‌
Equity
Income
Fund
(a)
2,086,224‌
63,442‌
High
Income
Fund
(a)
7,240,354‌
65,453‌
Inflation
Protection
Fund
(a)
4,859,549‌
45,242‌
LargeCap
S&P
500
Index
Fund
(a)
7,849,273‌
157,692‌
LargeCap
Value
Fund
III
(a)
4,113,568‌
61,292‌
Overseas
Fund
(a)
13,399,977‌
112,024‌
Short-Term
Income
Fund
(a)
6,051,724‌
76,010‌
$
734,773‌
TOTAL
INVESTMENT
COMPANIES
$
1,579,741‌
Total
Investments
$
1,579,741‌
Other
Assets
and
Liabilities
-  (0.01)%
(128‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,579,613‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
48.55‌%
Domestic
Equity
Funds
40.49‌%
International
Equity
Funds
9.32‌%
Specialty
Funds
1.65‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2025
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
177
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
80,463‌
$
19,533‌
$
21,613‌
$
96,810‌
Bond
Market
Index
Fund
158,943‌
19,883‌
32,573‌
153,618‌
Core
Fixed
Income
Fund
260,698‌
79,460‌
58,230‌
297,702‌
Diversified
International
Fund
110,142‌
26,660‌
7,588‌
128,815‌
Diversified
Real
Asset
Fund
25,304‌
4,208‌
1,976‌
26,036‌
Equity
Income
Fund
67,862‌
8,994‌
7,935‌
63,442‌
High
Income
Fund
66,032‌
10,612‌
8,793‌
65,453‌
Inflation
Protection
Fund
44,987‌
5,202‌
8,289‌
45,242‌
International
Small
Company
Fund
32,612‌
8,336‌
1,936‌
35,259‌
LargeCap
Growth
Fund
I
89,235‌
20,751‌
28,242‌
99,376‌
LargeCap
S&P
500
Index
Fund
143,097‌
33,256‌
30,024‌
157,692‌
LargeCap
Value
Fund
III
67,259‌
10,462‌
7,154‌
61,292‌
MidCap
Fund
76,321‌
9,037‌
15,550‌
70,652‌
MidCap
Value
Fund
I
44,182‌
7,285‌
2,450‌
43,265‌
Overseas
Fund
110,797‌
28,300‌
9,760‌
112,024‌
Short-Term
Income
Fund
72,728‌
14,388‌
12,505‌
76,010‌
SmallCap
Growth
Fund
I
24,457‌
3,886‌
1,928‌
29,336‌
SmallCap
Value
Fund
II
20,388‌
3,126‌
2,033‌
17,717‌
$
1,495,507‌
$
313,379‌
$
258,579‌
$
1,579,741‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
614‌
$
4,148‌
$
2,943‌
$
14,279‌
Bond
Market
Index
Fund
3,765‌
249‌
—‌
7,116‌
Core
Fixed
Income
Fund
5,929‌
(133‌)
—‌
15,907‌
Diversified
International
Fund
2,608‌
(317‌)
—‌
(82‌)
Diversified
Real
Asset
Fund
622‌
(149‌)
—‌
(1,351‌)
Equity
Income
Fund
1,000‌
336‌
1,825‌
(5,815‌)
High
Income
Fund
3,093‌
(766‌)
—‌
(1,632‌)
Inflation
Protection
Fund
275‌
(77‌)
—‌
3,419‌
International
Small
Company
Fund
980‌
(123‌)
—‌
(3,630‌)
LargeCap
Growth
Fund
I
211‌
6,442‌
6,024‌
11,190‌
LargeCap
S&P
500
Index
Fund
2,860‌
2,785‌
2,544‌
8,578‌
LargeCap
Value
Fund
III
1,547‌
234‌
2,747‌
(9,509‌)
MidCap
Fund
462‌
2,245‌
2,839‌
(1,401‌)
MidCap
Value
Fund
I
1,002‌
(211‌)
1,327‌
(5,541‌)
Overseas
Fund
3,447‌
(867‌)
—‌
(16,446‌)
Short-Term
Income
Fund
1,161‌
3‌
—‌
1,396‌
SmallCap
Growth
Fund
I
—‌
134‌
1,803‌
2,787‌
SmallCap
Value
Fund
II
202‌
(194‌)
—‌
(3,570‌)
$
29,778‌
$
13,739‌
$
22,052‌
$
15,695‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2030
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
178
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
57.27%
Blue
Chip
Fund
(a)
6,665,387‌
$
210,426‌
Core
Fixed
Income
Fund
(a)
91,611,791‌
949,098‌
Diversified
International
Fund
(a)
36,780,309‌
458,283‌
Diversified
Real
Asset
Fund
(a)
8,076,956‌
87,716‌
International
Small
Company
Fund
(a)
13,929,495‌
139,991‌
LargeCap
Growth
Fund
I
(a)
29,792,683‌
567,551‌
MidCap
Fund
(a)
8,898,304‌
277,182‌
MidCap
Value
Fund
I
(a)
13,733,528‌
172,630‌
Origin
Emerging
Markets
Fund
(a)
9,746,330‌
119,393‌
SmallCap
Growth
Fund
I
(a),(b)
7,754,073‌
115,225‌
SmallCap
Value
Fund
II
(a)
7,742,757‌
66,743‌
$
3,164,238‌
Principal
Funds,
Inc.
Institutional
Class
-
42.74%
Bond
Market
Index
Fund
(a)
40,520,893‌
491,519‌
Equity
Income
Fund
(a)
4,169,653‌
126,799‌
High
Income
Fund
(a)
24,848,488‌
224,630‌
Inflation
Protection
Fund
(a)
13,340,096‌
124,196‌
LargeCap
S&P
500
Index
Fund
(a)
31,625,139‌
635,349‌
LargeCap
Value
Fund
III
(a)
24,315,646‌
362,303‌
Overseas
Fund
(a)
47,450,217‌
396,684‌
$
2,361,480‌
TOTAL
INVESTMENT
COMPANIES
$
5,525,718‌
Total
Investments
$
5,525,718‌
Other
Assets
and
Liabilities
-  (0.01)%
(535‌)
TOTAL
NET
ASSETS
-
100.00%
$
5,525,183‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
45.87‌%
Fixed
Income
Funds
40.68‌%
International
Equity
Funds
11.87‌%
Specialty
Funds
1.59‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2030
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
179
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
163,232‌
$
36,821‌
$
27,707‌
$
210,426‌
Bond
Market
Index
Fund
506,270‌
49,488‌
87,993‌
491,519‌
Core
Fixed
Income
Fund
488,684‌
573,484‌
165,045‌
949,098‌
Core
Plus
Bond
Fund
319,186‌
—‌
317,689‌
—‌
Diversified
International
Fund
441,157‌
56,687‌
37,510‌
458,283‌
Diversified
Real
Asset
Fund
94,218‌
5,027‌
5,932‌
87,716‌
Equity
Income
Fund
145,341‌
8,700‌
15,685‌
126,799‌
High
Income
Fund
232,314‌
25,332‌
25,202‌
224,630‌
Inflation
Protection
Fund
128,198‌
8,522‌
21,769‌
124,196‌
International
Small
Company
Fund
152,605‌
16,060‌
12,996‌
139,991‌
LargeCap
Growth
Fund
I
509,847‌
86,750‌
128,760‌
567,551‌
LargeCap
S&P
500
Index
Fund
626,098‌
83,576‌
119,116‌
635,349‌
LargeCap
Value
Fund
III
420,861‌
34,574‌
35,605‌
362,303‌
MidCap
Fund
328,343‌
18,762‌
73,287‌
277,182‌
MidCap
Value
Fund
I
189,596‌
17,022‌
9,689‌
172,630‌
Origin
Emerging
Markets
Fund
107,313‌
12,860‌
11,471‌
119,393‌
Overseas
Fund
433,854‌
65,189‌
38,178‌
396,684‌
SmallCap
Growth
Fund
I
104,443‌
9,629‌
10,391‌
115,225‌
SmallCap
Value
Fund
II
87,833‌
2,565‌
8,851‌
66,743‌
$
5,479,393‌
$
1,111,048‌
$
1,152,876‌
$
5,525,718‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
1,222‌
$
6,311‌
$
5,867‌
$
31,769‌
Bond
Market
Index
Fund
12,116‌
605‌
—‌
23,149‌
Core
Fixed
Income
Fund
18,852‌
(225‌)
—‌
52,200‌
Core
Plus
Bond
Fund
161‌
9,935‌
—‌
(11,432‌)
Diversified
International
Fund
10,000‌
(3,380‌)
—‌
1,329‌
Diversified
Real
Asset
Fund
2,277‌
(533‌)
—‌
(5,064‌)
Equity
Income
Fund
2,068‌
1,674‌
3,883‌
(13,231‌)
High
Income
Fund
10,682‌
(2,179‌)
—‌
(5,635‌)
Inflation
Protection
Fund
775‌
12‌
—‌
9,233‌
International
Small
Company
Fund
4,348‌
(13‌)
—‌
(15,665‌)
LargeCap
Growth
Fund
I
1,273‌
20,088‌
36,280‌
79,626‌
LargeCap
S&P
500
Index
Fund
12,263‌
18,914‌
10,906‌
25,877‌
LargeCap
Value
Fund
III
9,526‌
(1,286‌)
16,910‌
(56,241‌)
MidCap
Fund
1,921‌
14,837‌
11,836‌
(11,473‌)
MidCap
Value
Fund
I
4,246‌
(837‌)
5,624‌
(23,462‌)
Origin
Emerging
Markets
Fund
1,855‌
208‌
—‌
10,483‌
Overseas
Fund
13,162‌
(2,459‌)
—‌
(61,722‌)
SmallCap
Growth
Fund
I
—‌
1,599‌
7,386‌
9,945‌
SmallCap
Value
Fund
II
804‌
(675‌)
—‌
(14,129‌)
$
107,551‌
$
62,596‌
$
98,692‌
$
25,557‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2035
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
180
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.97%
Blue
Chip
Fund
(a)
1,621,926‌
$
51,204‌
Core
Fixed
Income
Fund
(a)
16,825,720‌
174,315‌
Diversified
International
Fund
(a)
9,724,582‌
121,168‌
International
Small
Company
Fund
(a)
3,758,148‌
37,769‌
LargeCap
Growth
Fund
I
(a)
7,664,787‌
146,014‌
MidCap
Value
Fund
I
(a)
3,949,964‌
49,651‌
Origin
Emerging
Markets
Fund
(a)
2,973,193‌
36,422‌
Real
Estate
Securities
Fund
(a)
1,140,296‌
28,644‌
SmallCap
Growth
Fund
I
(a),(b)
1,898,324‌
28,209‌
SmallCap
Value
Fund
II
(a)
2,121,807‌
18,290‌
$
691,686‌
Principal
Funds,
Inc.
Institutional
Class
-
47.04%
Bond
Market
Index
Fund
(a)
7,920,529‌
96,076‌
Equity
Income
Fund
(a)
1,086,539‌
33,042‌
High
Income
Fund
(a)
5,232,797‌
47,304‌
LargeCap
S&P
500
Index
Fund
(a)
8,251,533‌
165,773‌
LargeCap
Value
Fund
III
(a)
6,463,335‌
96,304‌
MidCap
Growth
Fund
III
(a),(b)
5,307,867‌
70,382‌
Overseas
Fund
(a)
12,605,453‌
105,382‌
$
614,263‌
TOTAL
INVESTMENT
COMPANIES
$
1,305,949‌
Total
Investments
$
1,305,949‌
Other
Assets
and
Liabilities
-  (0.01)%
(99‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,305,850‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
52.65‌%
Fixed
Income
Funds
33.61‌%
International
Equity
Funds
13.75‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2035
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
181
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
36,998‌
$
9,825‌
$
5,116‌
$
51,204‌
Bond
Market
Index
Fund
80,174‌
31,679‌
20,472‌
96,076‌
Core
Fixed
Income
Fund
112,988‌
101,314‌
49,437‌
174,315‌
Core
Plus
Bond
Fund
79,899‌
284‌
79,537‌
—‌
Diversified
International
Fund
101,704‌
25,564‌
5,633‌
121,168‌
Equity
Income
Fund
34,886‌
4,523‌
3,506‌
33,042‌
High
Income
Fund
44,876‌
8,823‌
4,795‌
47,304‌
International
Small
Company
Fund
35,314‌
8,377‌
1,896‌
37,769‌
LargeCap
Growth
Fund
I
118,018‌
29,531‌
27,281‌
146,014‌
LargeCap
S&P
500
Index
Fund
149,568‌
31,629‌
27,444‌
165,773‌
LargeCap
Value
Fund
III
101,611‌
15,768‌
6,427‌
96,304‌
MidCap
Growth
Fund
III
58,314‌
9,674‌
4,178‌
70,382‌
MidCap
Value
Fund
I
50,268‌
8,569‌
2,569‌
49,651‌
Origin
Emerging
Markets
Fund
28,076‌
6,560‌
1,459‌
36,422‌
Overseas
Fund
102,082‌
25,298‌
5,632‌
105,382‌
Real
Estate
Securities
Fund
30,409‌
3,437‌
1,459‌
28,644‌
SmallCap
Growth
Fund
I
23,185‌
3,737‌
1,560‌
28,209‌
SmallCap
Value
Fund
II
21,120‌
2,185‌
1,088‌
18,290‌
$
1,209,490‌
$
326,777‌
$
249,489‌
$
1,305,949‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
313‌
$
268‌
$
1,500‌
$
9,229‌
Bond
Market
Index
Fund
2,311‌
201‌
—‌
4,494‌
Core
Fixed
Income
Fund
3,467‌
(128‌)
—‌
9,578‌
Core
Plus
Bond
Fund
92‌
4,843‌
—‌
(5,489‌)
Diversified
International
Fund
2,409‌
(200‌)
—‌
(267‌)
Equity
Income
Fund
526‌
(5‌)
965‌
(2,856‌)
High
Income
Fund
2,166‌
(758‌)
—‌
(842‌)
International
Small
Company
Fund
1,056‌
(176‌)
—‌
(3,850‌)
LargeCap
Growth
Fund
I
313‌
3,781‌
8,925‌
21,965‌
LargeCap
S&P
500
Index
Fund
3,067‌
2,447‌
2,726‌
9,573‌
LargeCap
Value
Fund
III
2,386‌
(443‌)
4,233‌
(14,205‌)
MidCap
Growth
Fund
III
—‌
(13‌)
4,769‌
6,585‌
MidCap
Value
Fund
I
1,131‌
(349‌)
1,497‌
(6,268‌)
Origin
Emerging
Markets
Fund
524‌
(23‌)
—‌
3,268‌
Overseas
Fund
3,252‌
(1,007‌)
—‌
(15,359‌)
Real
Estate
Securities
Fund
420‌
(107‌)
260‌
(3,636‌)
SmallCap
Growth
Fund
I
—‌
14‌
1,752‌
2,833‌
SmallCap
Value
Fund
II
200‌
(246‌)
—‌
(3,681‌)
$
23,633‌
$
8,099‌
$
26,627‌
$
11,072‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2040
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
182
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.92%
Blue
Chip
Fund
(a)
5,198,861‌
$
164,128‌
Core
Fixed
Income
Fund
(a)
38,058,583‌
394,287‌
Diversified
International
Fund
(a)
31,360,587‌
390,753‌
International
Small
Company
Fund
(a)
11,123,338‌
111,789‌
LargeCap
Growth
Fund
I
(a)
24,349,163‌
463,851‌
MidCap
Value
Fund
I
(a)
13,045,533‌
163,982‌
Origin
Emerging
Markets
Fund
(a)
10,281,279‌
125,946‌
Real
Estate
Securities
Fund
(a)
3,523,834‌
88,519‌
SmallCap
Growth
Fund
I
(a),(b)
6,289,285‌
93,459‌
SmallCap
Value
Fund
II
(a)
6,791,760‌
58,545‌
$
2,055,259‌
Principal
Funds,
Inc.
Institutional
Class
-
47.09%
Bond
Market
Index
Fund
(a)
16,894,181‌
204,926‌
Equity
Income
Fund
(a)
3,521,389‌
107,085‌
High
Income
Fund
(a)
12,419,763‌
112,275‌
LargeCap
S&P
500
Index
Fund
(a)
26,085,249‌
524,053‌
LargeCap
Value
Fund
III
(a)
20,812,943‌
310,113‌
MidCap
Growth
Fund
III
(a),(b)
17,465,721‌
231,596‌
Overseas
Fund
(a)
40,508,764‌
338,653‌
$
1,828,701‌
TOTAL
INVESTMENT
COMPANIES
$
3,883,960‌
Total
Investments
$
3,883,960‌
Other
Assets
and
Liabilities
-  (0.01)%
(424‌)
TOTAL
NET
ASSETS
-
100.00%
$
3,883,536‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
56.79‌%
Fixed
Income
Funds
28.38‌%
International
Equity
Funds
14.84‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2040
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
183
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
133,767‌
$
16,447‌
$
15,703‌
$
164,128‌
Bond
Market
Index
Fund
199,242‌
45,766‌
49,968‌
204,926‌
Core
Fixed
Income
Fund
68,645‌
387,450‌
83,822‌
394,287‌
Core
Plus
Bond
Fund
325,975‌
147‌
324,147‌
—‌
Diversified
International
Fund
360,388‌
55,039‌
22,502‌
390,753‌
Equity
Income
Fund
122,315‌
7,348‌
12,908‌
107,085‌
High
Income
Fund
100,865‌
30,192‌
14,868‌
112,275‌
International
Small
Company
Fund
116,785‌
15,559‌
8,043‌
111,789‌
LargeCap
Growth
Fund
I
402,150‌
60,180‌
76,773‌
463,851‌
LargeCap
S&P
500
Index
Fund
516,283‌
55,647‌
81,811‌
524,053‌
LargeCap
Value
Fund
III
355,842‌
29,360‌
26,186‌
310,113‌
MidCap
Growth
Fund
III
211,597‌
20,632‌
21,966‌
231,596‌
MidCap
Value
Fund
I
176,883‌
16,672‌
6,605‌
163,982‌
Origin
Emerging
Markets
Fund
104,360‌
16,489‌
6,001‌
125,946‌
Overseas
Fund
354,908‌
67,053‌
28,469‌
338,653‌
Real
Estate
Securities
Fund
94,338‌
9,630‌
3,365‌
88,519‌
SmallCap
Growth
Fund
I
81,683‌
7,563‌
5,075‌
93,459‌
SmallCap
Value
Fund
II
72,641‌
2,545‌
3,597‌
58,545‌
$
3,798,667‌
$
843,719‌
$
791,809‌
$
3,883,960‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
1,065‌
$
2,678‌
$
5,110‌
$
26,939‌
Bond
Market
Index
Fund
5,384‌
462‌
—‌
9,424‌
Core
Fixed
Income
Fund
7,730‌
(79‌)
—‌
22,093‌
Core
Plus
Bond
Fund
492‌
7,270‌
—‌
(9,245‌)
Diversified
International
Fund
8,304‌
(2,121‌)
—‌
(51‌)
Equity
Income
Fund
1,736‌
1,359‌
3,247‌
(11,029‌)
High
Income
Fund
5,383‌
(1,530‌)
—‌
(2,384‌)
International
Small
Company
Fund
3,362‌
(570‌)
—‌
(11,942‌)
LargeCap
Growth
Fund
I
1,055‌
18,227‌
30,075‌
60,067‌
LargeCap
S&P
500
Index
Fund
10,316‌
12,910‌
9,174‌
21,024‌
LargeCap
Value
Fund
III
8,024‌
(911‌)
14,242‌
(47,992‌)
MidCap
Growth
Fund
III
—‌
1,168‌
16,768‌
20,165‌
MidCap
Value
Fund
I
3,979‌
(589‌)
5,271‌
(22,379‌)
Origin
Emerging
Markets
Fund
1,896‌
58‌
—‌
11,040‌
Overseas
Fund
10,776‌
(996‌)
—‌
(53,843‌)
Real
Estate
Securities
Fund
1,335‌
(191‌)
852‌
(11,893‌)
SmallCap
Growth
Fund
I
—‌
655‌
5,987‌
8,633‌
SmallCap
Value
Fund
II
675‌
(317‌)
—‌
(12,727‌)
$
71,512‌
$
37,483‌
$
90,726‌
$
(4,100‌)
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2045
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
184
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.74%
Blue
Chip
Fund
(a)
1,348,391‌
$
42,569‌
Core
Fixed
Income
Fund
(a)
7,113,548‌
73,696‌
Diversified
International
Fund
(a)
8,495,803‌
105,858‌
International
Small
Company
Fund
(a)
3,022,352‌
30,375‌
LargeCap
Growth
Fund
I
(a)
6,427,421‌
122,442‌
MidCap
Value
Fund
I
(a)
3,581,538‌
45,020‌
Origin
Emerging
Markets
Fund
(a)
2,745,584‌
33,633‌
Real
Estate
Securities
Fund
(a)
895,350‌
22,491‌
SmallCap
Growth
Fund
I
(a),(b)
1,709,512‌
25,403‌
SmallCap
Value
Fund
II
(a)
1,883,576‌
16,237‌
$
517,724‌
Principal
Funds,
Inc.
Institutional
Class
-
47.27%
Bond
Market
Index
Fund
(a)
2,697,900‌
32,726‌
Equity
Income
Fund
(a)
943,451‌
28,690‌
High
Income
Fund
(a)
2,549,093‌
23,044‌
LargeCap
S&P
500
Index
Fund
(a)
6,948,453‌
139,594‌
LargeCap
Value
Fund
III
(a)
5,669,510‌
84,476‌
MidCap
Growth
Fund
III
(a),(b)
4,767,851‌
63,222‌
Overseas
Fund
(a)
11,036,049‌
92,261‌
$
464,013‌
TOTAL
INVESTMENT
COMPANIES
$
981,737‌
Total
Investments
$
981,737‌
Other
Assets
and
Liabilities
-  (0.01)%
(82‌)
TOTAL
NET
ASSETS
-
100.00%
$
981,655‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
60.12‌%
Fixed
Income
Funds
23.97‌%
International
Equity
Funds
15.92‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2045
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
185
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
32,466‌
$
7,047‌
$
4,420‌
$
42,569‌
Bond
Market
Index
Fund
24,825‌
16,913‌
10,577‌
32,726‌
Core
Fixed
Income
Fund
15,142‌
83,226‌
28,569‌
73,696‌
Core
Plus
Bond
Fund
61,703‌
299‌
61,837‌
—‌
Diversified
International
Fund
90,599‌
20,815‌
5,503‌
105,858‌
Equity
Income
Fund
30,431‌
3,864‌
3,230‌
28,690‌
High
Income
Fund
21,545‌
6,257‌
3,962‌
23,044‌
International
Small
Company
Fund
27,941‌
6,846‌
1,316‌
30,375‌
LargeCap
Growth
Fund
I
99,484‌
21,605‌
18,856‌
122,442‌
LargeCap
S&P
500
Index
Fund
127,529‌
22,375‌
18,920‌
139,594‌
LargeCap
Value
Fund
III
88,885‌
13,582‌
5,602‌
84,476‌
MidCap
Growth
Fund
III
53,566‌
8,584‌
4,959‌
63,222‌
MidCap
Value
Fund
I
44,826‌
7,482‌
1,499‌
45,020‌
Origin
Emerging
Markets
Fund
26,118‌
5,830‌
1,359‌
33,633‌
Overseas
Fund
89,423‌
23,337‌
6,700‌
92,261‌
Real
Estate
Securities
Fund
20,179‌
5,856‌
712‌
22,491‌
SmallCap
Growth
Fund
I
20,988‌
3,316‌
1,505‌
25,403‌
SmallCap
Value
Fund
II
18,359‌
2,018‌
767‌
16,237‌
$
894,009‌
$
259,252‌
$
180,293‌
$
981,737‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
264‌
$
729‌
$
1,269‌
$
6,747‌
Bond
Market
Index
Fund
881‌
118‌
—‌
1,447‌
Core
Fixed
Income
Fund
1,431‌
3‌
—‌
3,894‌
Core
Plus
Bond
Fund
131‌
1,927‌
—‌
(2,092‌)
Diversified
International
Fund
2,125‌
(134‌)
—‌
81‌
Equity
Income
Fund
448‌
160‌
812‌
(2,535‌)
High
Income
Fund
1,097‌
(626‌)
—‌
(170‌)
International
Small
Company
Fund
827‌
(113‌)
—‌
(2,983‌)
LargeCap
Growth
Fund
I
261‌
2,234‌
7,432‌
17,975‌
LargeCap
S&P
500
Index
Fund
2,584‌
539‌
2,298‌
8,071‌
LargeCap
Value
Fund
III
2,036‌
(229‌)
3,614‌
(12,160‌)
MidCap
Growth
Fund
III
—‌
63‌
4,205‌
5,968‌
MidCap
Value
Fund
I
1,017‌
(247‌)
1,347‌
(5,542‌)
Origin
Emerging
Markets
Fund
480‌
(7‌)
—‌
3,051‌
Overseas
Fund
2,775‌
(608‌)
—‌
(13,191‌)
Real
Estate
Securities
Fund
326‌
(58‌)
202‌
(2,774‌)
SmallCap
Growth
Fund
I
—‌
61‌
1,540‌
2,543‌
SmallCap
Value
Fund
II
173‌
(150‌)
—‌
(3,223‌)
$
16,856‌
$
3,662‌
$
22,719‌
$
5,107‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2050
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
186
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.66%
Blue
Chip
Fund
(a)
3,387,700‌
$
106,950‌
Core
Fixed
Income
Fund
(a)
12,649,667‌
131,051‌
Diversified
International
Fund
(a)
21,173,387‌
263,820‌
International
Small
Company
Fund
(a)
7,517,370‌
75,550‌
LargeCap
Growth
Fund
I
(a)
16,090,726‌
306,528‌
MidCap
Value
Fund
I
(a)
8,923,208‌
112,165‌
Origin
Emerging
Markets
Fund
(a)
6,911,696‌
84,668‌
Real
Estate
Securities
Fund
(a)
2,138,715‌
53,724‌
SmallCap
Growth
Fund
I
(a),(b)
4,294,380‌
63,814‌
SmallCap
Value
Fund
II
(a)
4,787,220‌
41,266‌
$
1,239,536‌
Principal
Funds,
Inc.
Institutional
Class
-
47.35%
Bond
Market
Index
Fund
(a)
4,467,684‌
54,193‌
Equity
Income
Fund
(a)
2,357,599‌
71,695‌
High
Income
Fund
(a)
4,573,596‌
41,345‌
LargeCap
S&P
500
Index
Fund
(a)
17,408,023‌
349,727‌
LargeCap
Value
Fund
III
(a)
14,148,661‌
210,815‌
MidCap
Growth
Fund
III
(a),(b)
11,888,601‌
157,643‌
Overseas
Fund
(a)
27,383,193‌
228,924‌
$
1,114,342‌
TOTAL
INVESTMENT
COMPANIES
$
2,353,878‌
Total
Investments
$
2,353,878‌
Other
Assets
and
Liabilities
-  (0.01)%
(277‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,353,601‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
62.63‌%
Fixed
Income
Funds
20.84‌%
International
Equity
Funds
16.54‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2050
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
187
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
87,868‌
$
10,796‌
$
10,257‌
$
106,950‌
Bond
Market
Index
Fund
54,252‌
18,697‌
21,290‌
54,193‌
Core
Fixed
Income
Fund
40,379‌
150,994‌
67,371‌
131,051‌
Core
Plus
Bond
Fund
84,377‌
360‌
84,511‌
—‌
Diversified
International
Fund
236,706‌
42,304‌
14,479‌
263,820‌
Equity
Income
Fund
79,909‌
7,389‌
9,329‌
71,695‌
High
Income
Fund
37,420‌
14,249‌
8,882‌
41,345‌
International
Small
Company
Fund
75,254‌
13,569‌
5,076‌
75,550‌
LargeCap
Growth
Fund
I
264,606‌
37,686‌
45,472‌
306,528‌
LargeCap
S&P
500
Index
Fund
335,991‌
35,540‌
41,899‌
349,727‌
LargeCap
Value
Fund
III
234,837‌
25,301‌
16,872‌
210,815‌
MidCap
Growth
Fund
III
141,280‌
16,073‌
14,492‌
157,643‌
MidCap
Value
Fund
I
116,498‌
15,604‌
4,647‌
112,165‌
Origin
Emerging
Markets
Fund
70,257‌
10,774‌
4,017‌
84,668‌
Overseas
Fund
233,080‌
49,542‌
17,617‌
228,924‌
Real
Estate
Securities
Fund
56,155‌
6,836‌
2,110‌
53,724‌
SmallCap
Growth
Fund
I
55,186‌
6,172‌
3,986‌
63,814‌
SmallCap
Value
Fund
II
49,634‌
2,886‌
2,309‌
41,266‌
$
2,253,689‌
$
464,772‌
$
374,616‌
$
2,353,878‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
680‌
$
2,582‌
$
3,262‌
$
15,961‌
Bond
Market
Index
Fund
1,613‌
37‌
—‌
2,497‌
Core
Fixed
Income
Fund
2,646‌
(10‌)
—‌
7,059‌
Core
Plus
Bond
Fund
178‌
2,139‌
—‌
(2,365‌)
Diversified
International
Fund
5,663‌
(1,316‌)
—‌
605‌
Equity
Income
Fund
1,153‌
634‌
2,150‌
(6,908‌)
High
Income
Fund
2,044‌
(619‌)
—‌
(823‌)
International
Small
Company
Fund
2,185‌
(333‌)
—‌
(7,864‌)
LargeCap
Growth
Fund
I
675‌
9,111‌
19,237‌
40,597‌
LargeCap
S&P
500
Index
Fund
6,722‌
4,410‌
5,977‌
15,685‌
LargeCap
Value
Fund
III
5,372‌
(554‌)
9,534‌
(31,897‌)
MidCap
Growth
Fund
III
—‌
329‌
10,933‌
14,453‌
MidCap
Value
Fund
I
2,677‌
(391‌)
3,545‌
(14,899‌)
Origin
Emerging
Markets
Fund
1,286‌
21‌
—‌
7,633‌
Overseas
Fund
7,394‌
(1,375‌)
—‌
(34,706‌)
Real
Estate
Securities
Fund
802‌
(113‌)
508‌
(7,044‌)
SmallCap
Growth
Fund
I
—‌
334‌
4,013‌
6,108‌
SmallCap
Value
Fund
II
472‌
(333‌)
—‌
(8,612‌)
$
41,562‌
$
14,553‌
$
59,159‌
$
(4,520‌)
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2055
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
188
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.50%
Blue
Chip
Fund
(a)
782,543‌
$
24,705‌
Core
Fixed
Income
Fund
(a)
2,215,769‌
22,955‌
Diversified
International
Fund
(a)
4,965,943‌
61,876‌
International
Small
Company
Fund
(a)
1,779,229‌
17,881‌
LargeCap
Growth
Fund
I
(a)
3,632,278‌
69,195‌
MidCap
Value
Fund
I
(a)
2,137,498‌
26,868‌
Origin
Emerging
Markets
Fund
(a)
1,675,789‌
20,528‌
Real
Estate
Securities
Fund
(a)
486,202‌
12,213‌
SmallCap
Growth
Fund
I
(a),(b)
1,011,200‌
15,027‌
SmallCap
Value
Fund
II
(a)
1,126,672‌
9,712‌
$
280,960‌
Principal
Funds,
Inc.
Institutional
Class
-
47.51%
Bond
Market
Index
Fund
(a)
753,598‌
9,141‌
Equity
Income
Fund
(a)
570,089‌
17,336‌
High
Income
Fund
(a)
938,684‌
8,486‌
LargeCap
S&P
500
Index
Fund
(a)
3,908,605‌
78,524‌
LargeCap
Value
Fund
III
(a)
3,325,312‌
49,547‌
MidCap
Growth
Fund
III
(a),(b)
2,799,468‌
37,121‌
Overseas
Fund
(a)
6,467,065‌
54,065‌
$
254,220‌
TOTAL
INVESTMENT
COMPANIES
$
535,180‌
Total
Investments
$
535,180‌
Other
Assets
and
Liabilities
-  (0.01)%
(44‌)
TOTAL
NET
ASSETS
-
100.00%
$
535,136‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
63.58‌%
Fixed
Income
Funds
19.15‌%
International
Equity
Funds
17.28‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2055
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
189
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
20,175‌
$
3,898‌
$
3,590‌
$
24,705‌
Bond
Market
Index
Fund
4,066‌
9,378‌
4,698‌
9,141‌
Core
Fixed
Income
Fund
—‌
25,456‌
3,751‌
22,955‌
Core
Plus
Bond
Fund
13,886‌
162‌
14,011‌
—‌
Diversified
International
Fund
51,345‌
13,506‌
3,167‌
61,876‌
Equity
Income
Fund
17,728‌
3,106‌
2,145‌
17,336‌
High
Income
Fund
9,468‌
1,292‌
2,061‌
8,486‌
International
Small
Company
Fund
15,901‌
4,854‌
1,161‌
17,881‌
LargeCap
Growth
Fund
I
57,016‌
12,330‌
11,128‌
69,195‌
LargeCap
S&P
500
Index
Fund
70,290‌
12,997‌
9,056‌
78,524‌
LargeCap
Value
Fund
III
50,541‌
10,221‌
4,259‌
49,547‌
MidCap
Growth
Fund
III
30,029‌
6,326‌
2,848‌
37,121‌
MidCap
Value
Fund
I
25,358‌
5,961‌
1,160‌
26,868‌
Origin
Emerging
Markets
Fund
15,368‌
4,231‌
966‌
20,528‌
Overseas
Fund
50,171‌
15,471‌
3,850‌
54,065‌
Real
Estate
Securities
Fund
10,732‌
3,453‌
504‌
12,213‌
SmallCap
Growth
Fund
I
11,917‌
2,578‌
1,031‌
15,027‌
SmallCap
Value
Fund
II
10,663‌
1,655‌
680‌
9,712‌
$
464,654‌
$
136,875‌
$
70,066‌
$
535,180‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
157‌
$
386‌
$
751‌
$
3,836‌
Bond
Market
Index
Fund
257‌
(27‌)
—‌
422‌
Core
Fixed
Income
Fund
408‌
7‌
—‌
1,243‌
Core
Plus
Bond
Fund
30‌
333‌
—‌
(370‌)
Diversified
International
Fund
1,222‌
(239‌)
—‌
431‌
Equity
Income
Fund
266‌
(31‌)
478‌
(1,322‌)
High
Income
Fund
399‌
(54‌)
—‌
(159‌)
International
Small
Company
Fund
472‌
(129‌)
—‌
(1,584‌)
LargeCap
Growth
Fund
I
147‌
558‌
4,196‌
10,419‌
LargeCap
S&P
500
Index
Fund
1,436‌
136‌
1,276‌
4,157‌
LargeCap
Value
Fund
III
1,166‌
(249‌)
2,068‌
(6,707‌)
MidCap
Growth
Fund
III
—‌
(56‌)
2,361‌
3,670‌
MidCap
Value
Fund
I
595‌
(247‌)
787‌
(3,044‌)
Origin
Emerging
Markets
Fund
287‌
(39‌)
—‌
1,934‌
Overseas
Fund
1,583‌
(581‌)
—‌
(7,146‌)
Real
Estate
Securities
Fund
174‌
(54‌)
107‌
(1,414‌)
SmallCap
Growth
Fund
I
—‌
(40‌)
874‌
1,603‌
SmallCap
Value
Fund
II
101‌
(154‌)
—‌
(1,772‌)
$
8,700‌
$
(480‌)
$
12,898‌
$
4,197‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2060
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
190
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
52.24%
Blue
Chip
Fund
(a)
643,932‌
$
20,329‌
Core
Fixed
Income
Fund
(a)
1,265,377‌
13,109‌
Diversified
International
Fund
(a)
4,175,824‌
52,031‌
International
Small
Company
Fund
(a)
1,507,980‌
15,155‌
LargeCap
Growth
Fund
I
(a)
3,034,387‌
57,805‌
MidCap
Value
Fund
I
(a)
1,802,499‌
22,658‌
Origin
Emerging
Markets
Fund
(a)
1,495,937‌
18,325‌
Real
Estate
Securities
Fund
(a)
402,398‌
10,108‌
SmallCap
Growth
Fund
I
(a),(b)
850,601‌
12,640‌
SmallCap
Value
Fund
II
(a)
977,136‌
8,423‌
$
230,583‌
Principal
Funds,
Inc.
Institutional
Class
-
47.77%
Bond
Market
Index
Fund
(a)
552,008‌
6,696‌
Equity
Income
Fund
(a)
471,748‌
14,346‌
High
Income
Fund
(a)
614,910‌
5,558‌
LargeCap
S&P
500
Index
Fund
(a)
3,284,017‌
65,976‌
LargeCap
Value
Fund
III
(a)
2,792,296‌
41,605‌
MidCap
Growth
Fund
III
(a),(b)
2,346,746‌
31,118‌
Overseas
Fund
(a)
5,451,061‌
45,571‌
$
210,870‌
TOTAL
INVESTMENT
COMPANIES
$
441,453‌
Total
Investments
$
441,453‌
Other
Assets
and
Liabilities
-  (0.01)%
(42‌)
TOTAL
NET
ASSETS
-
100.00%
$
441,411‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
64.57‌%
International
Equity
Funds
17.90‌%
Fixed
Income
Funds
17.54‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2060
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
191
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
15,781‌
$
3,558‌
$
2,436‌
$
20,329‌
Bond
Market
Index
Fund
3,328‌
6,477‌
3,402‌
6,696‌
Core
Fixed
Income
Fund
—‌
15,328‌
2,935‌
13,109‌
Core
Plus
Bond
Fund
7,858‌
106‌
7,943‌
—‌
Diversified
International
Fund
41,985‌
12,727‌
2,944‌
52,031‌
Equity
Income
Fund
14,005‌
3,119‌
1,686‌
14,346‌
High
Income
Fund
6,454‌
1,074‌
1,829‌
5,558‌
International
Small
Company
Fund
12,798‌
4,622‌
863‌
15,155‌
LargeCap
Growth
Fund
I
45,234‌
11,549‌
8,070‌
57,805‌
LargeCap
S&P
500
Index
Fund
56,270‌
12,776‌
6,639‌
65,976‌
LargeCap
Value
Fund
III
40,452‌
10,180‌
3,329‌
41,605‌
MidCap
Growth
Fund
III
23,857‌
6,255‌
2,024‌
31,118‌
MidCap
Value
Fund
I
20,704‌
5,757‌
1,116‌
22,658‌
Origin
Emerging
Markets
Fund
13,346‌
4,221‌
955‌
18,325‌
Overseas
Fund
41,073‌
14,308‌
3,512‌
45,571‌
Real
Estate
Securities
Fund
8,750‌
3,016‌
477‌
10,108‌
SmallCap
Growth
Fund
I
9,542‌
2,577‌
787‌
12,640‌
SmallCap
Value
Fund
II
8,655‌
1,903‌
506‌
8,423‌
$
370,092‌
$
119,553‌
$
51,453‌
$
441,453‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
123‌
$
90‌
$
589‌
$
3,336‌
Bond
Market
Index
Fund
184‌
(12‌)
—‌
305‌
Core
Fixed
Income
Fund
237‌
8‌
—‌
708‌
Core
Plus
Bond
Fund
17‌
154‌
—‌
(175‌)
Diversified
International
Fund
1,000‌
(218‌)
—‌
481‌
Equity
Income
Fund
217‌
(39‌)
381‌
(1,053‌)
High
Income
Fund
264‌
(35‌)
—‌
(106‌)
International
Small
Company
Fund
388‌
(114‌)
—‌
(1,288‌)
LargeCap
Growth
Fund
I
118‌
135‌
3,367‌
8,957‌
LargeCap
S&P
500
Index
Fund
1,160‌
3‌
1,029‌
3,566‌
LargeCap
Value
Fund
III
945‌
(209‌)
1,673‌
(5,489‌)
MidCap
Growth
Fund
III
—‌
(29‌)
1,912‌
3,059‌
MidCap
Value
Fund
I
484‌
(219‌)
640‌
(2,468‌)
Origin
Emerging
Markets
Fund
251‌
(35‌)
—‌
1,748‌
Overseas
Fund
1,306‌
(483‌)
—‌
(5,815‌)
Real
Estate
Securities
Fund
142‌
(46‌)
85‌
(1,135‌)
SmallCap
Growth
Fund
I
—‌
(37‌)
709‌
1,345‌
SmallCap
Value
Fund
II
84‌
(138‌)
—‌
(1,491‌)
$
6,920‌
$
(1,224‌)
$
10,385‌
$
4,485‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
2065
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
192
INVESTMENT
COMPANIES
-
100.05%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
51.95%
Blue
Chip
Fund
(a)
42,988‌
$
1,357‌
Core
Fixed
Income
Fund
(a)
54,914‌
569‌
Diversified
International
Fund
(a)
297,089‌
3,702‌
International
Small
Company
Fund
(a)
108,128‌
1,087‌
LargeCap
Growth
Fund
I
(a)
208,745‌
3,976‌
MidCap
Value
Fund
I
(a)
129,476‌
1,627‌
Origin
Emerging
Markets
Fund
(a)
103,406‌
1,267‌
Real
Estate
Securities
Fund
(a)
28,559‌
717‌
SmallCap
Growth
Fund
I
(a),(b)
58,486‌
869‌
SmallCap
Value
Fund
II
(a)
71,200‌
614‌
$
15,785‌
Principal
Funds,
Inc.
Institutional
Class
-
48.10%
Bond
Market
Index
Fund
(a)
26,013‌
316‌
Equity
Income
Fund
(a)
33,326‌
1,013‌
High
Income
Fund
(a)
28,297‌
256‌
LargeCap
S&P
500
Index
Fund
(a)
228,685‌
4,594‌
LargeCap
Value
Fund
III
(a)
199,461‌
2,972‌
MidCap
Growth
Fund
III
(a),(b)
162,420‌
2,154‌
Overseas
Fund
(a)
395,692‌
3,308‌
$
14,613‌
TOTAL
INVESTMENT
COMPANIES
$
30,398‌
Total
Investments
$
30,398‌
Other
Assets
and
Liabilities
-  (0.05)%
(16‌)
TOTAL
NET
ASSETS
-
100.00%
$
30,382‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
65.48‌%
International
Equity
Funds
18.64‌%
Fixed
Income
Funds
15.93‌%
Other
Assets
and
Liabilities
(0.05‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Principal
LifeTime
2065
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
193
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
640‌
$
755‌
$
280‌
$
1,357‌
Bond
Market
Index
Fund
201‌
390‌
292‌
316‌
Core
Fixed
Income
Fund
—‌
892‌
357‌
569‌
Core
Plus
Bond
Fund
356‌
46‌
401‌
—‌
Diversified
International
Fund
1,827‌
2,673‌
935‌
3,702‌
Equity
Income
Fund
584‌
754‌
291‌
1,013‌
High
Income
Fund
253‌
238‌
223‌
256‌
International
Small
Company
Fund
560‌
851‌
287‌
1,087‌
LargeCap
Growth
Fund
I
1,858‌
2,351‌
931‌
3,976‌
LargeCap
S&P
500
Index
Fund
2,355‌
3,015‌
1,131‌
4,594‌
LargeCap
Value
Fund
III
1,714‌
2,313‌
817‌
2,972‌
MidCap
Growth
Fund
III
997‌
1,316‌
442‌
2,154‌
MidCap
Value
Fund
I
885‌
1,271‌
435‌
1,627‌
Origin
Emerging
Markets
Fund
576‌
841‌
293‌
1,267‌
Overseas
Fund
1,782‌
2,757‌
965‌
3,308‌
Real
Estate
Securities
Fund
398‌
546‌
185‌
717‌
SmallCap
Growth
Fund
I
391‌
540‌
178‌
869‌
SmallCap
Value
Fund
II
363‌
506‌
178‌
614‌
$
15,740‌
$
22,055‌
$
8,621‌
$
30,398‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
6‌
$
(2‌)
$
25‌
$
244‌
Bond
Market
Index
Fund
8‌
2‌
—‌
15‌
Core
Fixed
Income
Fund
11‌
2‌
—‌
32‌
Core
Plus
Bond
Fund
1‌
13‌
—‌
(14‌)
Diversified
International
Fund
48‌
(122‌)
—‌
259‌
Equity
Income
Fund
13‌
(31‌)
18‌
(3‌)
High
Income
Fund
13‌
(12‌)
—‌
—‌
International
Small
Company
Fund
19‌
(56‌)
—‌
19‌
LargeCap
Growth
Fund
I
6‌
(4‌)
155‌
702‌
LargeCap
S&P
500
Index
Fund
53‌
(45‌)
47‌
400‌
LargeCap
Value
Fund
III
44‌
(126‌)
78‌
(112‌)
MidCap
Growth
Fund
III
—‌
(13‌)
89‌
296‌
MidCap
Value
Fund
I
22‌
(103‌)
30‌
9‌
Origin
Emerging
Markets
Fund
12‌
(17‌)
—‌
160‌
Overseas
Fund
65‌
(250‌)
—‌
(16‌)
Real
Estate
Securities
Fund
9‌
(24‌)
4‌
(18‌)
SmallCap
Growth
Fund
I
—‌
(15‌)
33‌
131‌
SmallCap
Value
Fund
II
4‌
(67‌)
—‌
(10‌)
$
334‌
$
(870‌)
$
479‌
$
2,094‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2015
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
194
INVESTMENT
COMPANIES
-
100.02%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
18.79%
Diversified
International
Fund
(a)
950,209‌
$
11,839‌
Diversified
Real
Asset
Fund
(a)
184,511‌
2,004‌
International
Small
Company
Fund
(a)
170,774‌
1,716‌
MidCap
S&P
400
Index
Fund
(a)
148,505‌
2,734‌
SmallCap
S&P
600
Index
Fund
(a)
96,065‌
2,036‌
$
20,329‌
Principal
Funds,
Inc.
Institutional
Class
-
81.23%
Bond
Market
Index
Fund
(a)
3,046,110‌
36,949‌
High
Income
Fund
(a)
657,791‌
5,947‌
Inflation
Protection
Fund
(a)
481,131‌
4,479‌
LargeCap
S&P
500
Index
Fund
(a)
1,225,875‌
24,628‌
Short-Term
Income
Fund
(a)
1,263,153‌
15,865‌
$
87,868‌
TOTAL
INVESTMENT
COMPANIES
$
108,197‌
Total
Investments
$
108,197‌
Other
Assets
and
Liabilities
-  (0.02)%
(24‌)
TOTAL
NET
ASSETS
-
100.00%
$
108,173‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
69.40‌%
Domestic
Equity
Funds
27.18‌%
Specialty
Funds
1.85‌%
International
Equity
Funds
1.59‌%
Other
Assets
and
Liabilities
(0.02‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
36,367‌
$
7,518‌
$
8,672‌
$
36,949‌
Diversified
International
Fund
10,702‌
2,681‌
1,715‌
11,839‌
Diversified
Real
Asset
Fund
2,191‌
603‌
714‌
2,004‌
High
Income
Fund
5,967‌
1,405‌
1,215‌
5,947‌
Inflation
Protection
Fund
4,336‌
883‌
1,063‌
4,479‌
International
Small
Company
Fund
1,816‌
450‌
411‌
1,716‌
LargeCap
S&P
500
Index
Fund
19,619‌
7,522‌
4,379‌
24,628‌
MidCap
S&P
400
Index
Fund
4,962‌
1,345‌
3,414‌
2,734‌
Short-Term
Income
Fund
14,601‌
4,403‌
3,422‌
15,865‌
SmallCap
S&P
600
Index
Fund
2,014‌
564‌
257‌
2,036‌
$
102,575‌
$
27,374‌
$
25,262‌
$
108,197‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
850‌
$
119‌
$
—‌
$
1,617‌
Diversified
International
Fund
253‌
(182‌)
—‌
353‌
Diversified
Real
Asset
Fund
53‌
(11‌)
—‌
(65‌)
High
Income
Fund
274‌
(75‌)
—‌
(135‌)
Inflation
Protection
Fund
26‌
12‌
—‌
311‌
International
Small
Company
Fund
54‌
(57‌)
—‌
(82‌)
LargeCap
S&P
500
Index
Fund
412‌
(17‌)
366‌
1,883‌
MidCap
S&P
400
Index
Fund
79‌
31‌
232‌
(190‌)
Short-Term
Income
Fund
234‌
1‌
—‌
282‌
SmallCap
S&P
600
Index
Fund
28‌
(33‌)
118‌
(252‌)
$
2,263‌
$
(212‌)
$
716‌
$
3,722‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2020
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
195
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
22.48%
Diversified
International
Fund
(a)
3,840,762‌
$
47,856‌
Diversified
Real
Asset
Fund
(a)
562,259‌
6,106‌
International
Small
Company
Fund
(a)
656,591‌
6,599‌
MidCap
S&P
400
Index
Fund
(a)
539,959‌
9,940‌
SmallCap
S&P
600
Index
Fund
(a)
368,038‌
7,799‌
$
78,300‌
Principal
Funds,
Inc.
Institutional
Class
-
77.53%
Bond
Market
Index
Fund
(a)
9,004,620‌
109,226‌
High
Income
Fund
(a)
1,802,957‌
16,299‌
Inflation
Protection
Fund
(a)
1,496,450‌
13,932‌
LargeCap
S&P
500
Index
Fund
(a)
4,866,875‌
97,776‌
Short-Term
Income
Fund
(a)
2,609,263‌
32,772‌
$
270,005‌
TOTAL
INVESTMENT
COMPANIES
$
348,305‌
Total
Investments
$
348,305‌
Other
Assets
and
Liabilities
-  (0.01)%
(37‌)
TOTAL
NET
ASSETS
-
100.00%
$
348,268‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
63.19‌%
Domestic
Equity
Funds
33.17‌%
International
Equity
Funds
1.90‌%
Specialty
Funds
1.75‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
105,469‌
$
20,431‌
$
21,686‌
$
109,226‌
Diversified
International
Fund
44,030‌
8,393‌
5,111‌
47,856‌
Diversified
Real
Asset
Fund
7,202‌
1,469‌
2,298‌
6,106‌
High
Income
Fund
16,158‌
3,284‌
2,645‌
16,299‌
Inflation
Protection
Fund
13,343‌
2,355‌
2,754‌
13,932‌
International
Small
Company
Fund
7,080‌
1,324‌
1,246‌
6,599‌
LargeCap
S&P
500
Index
Fund
80,226‌
23,667‌
12,831‌
97,776‌
MidCap
S&P
400
Index
Fund
19,806‌
4,276‌
13,405‌
9,940‌
Real
Estate
Securities
Fund
—‌
—‌
—‌
—‌
Short-Term
Income
Fund
30,893‌
7,403‌
6,108‌
32,772‌
SmallCap
S&P
600
Index
Fund
7,709‌
2,108‌
858‌
7,799‌
$
331,916‌
$
74,710‌
$
68,942‌
$
348,305‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
2,468‌
$
185‌
$
—‌
$
4,827‌
Diversified
International
Fund
1,043‌
(84‌)
—‌
628‌
Diversified
Real
Asset
Fund
175‌
19‌
—‌
(286‌)
High
Income
Fund
739‌
(94‌)
—‌
(404‌)
Inflation
Protection
Fund
80‌
17‌
—‌
971‌
International
Small
Company
Fund
210‌
(43‌)
—‌
(516‌)
LargeCap
S&P
500
Index
Fund
1,687‌
(47‌)
1,501‌
6,761‌
MidCap
S&P
400
Index
Fund
317‌
333‌
928‌
(1,070‌)
Real
Estate
Securities
Fund
—‌
—‌
—‌
—‌
Short-Term
Income
Fund
482‌
(1‌)
—‌
585‌
SmallCap
S&P
600
Index
Fund
109‌
(36‌)
452‌
(1,124‌)
$
7,310‌
$
249‌
$
2,881‌
$
10,372‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2025
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
196
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
27.03%
Diversified
International
Fund
(a)
3,984,022‌
$
49,641‌
Diversified
Real
Asset
Fund
(a)
528,508‌
5,740‌
International
Small
Company
Fund
(a)
682,276‌
6,857‌
MidCap
S&P
400
Index
Fund
(a)
619,520‌
11,405‌
SmallCap
S&P
600
Index
Fund
(a)
381,416‌
8,082‌
$
81,725‌
Principal
Funds,
Inc.
Institutional
Class
-
72.98%
Bond
Market
Index
Fund
(a)
6,868,301‌
83,313‌
High
Income
Fund
(a)
1,378,797‌
12,464‌
Inflation
Protection
Fund
(a)
896,604‌
8,347‌
LargeCap
S&P
500
Index
Fund
(a)
5,084,970‌
102,157‌
Short-Term
Income
Fund
(a)
1,139,785‌
14,316‌
$
220,597‌
TOTAL
INVESTMENT
COMPANIES
$
302,322‌
Total
Investments
$
302,322‌
Other
Assets
and
Liabilities
-  (0.01)%
(34‌)
TOTAL
NET
ASSETS
-
100.00%
$
302,288‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
55.60‌%
Domestic
Equity
Funds
40.24‌%
International
Equity
Funds
2.27‌%
Specialty
Funds
1.90‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
70,349‌
$
20,903‌
$
11,923‌
$
83,313‌
Diversified
International
Fund
38,588‌
12,931‌
2,192‌
49,641‌
Diversified
Real
Asset
Fund
5,160‌
1,849‌
1,002‌
5,740‌
High
Income
Fund
10,739‌
3,303‌
1,169‌
12,464‌
Inflation
Protection
Fund
8,774‌
1,669‌
2,705‌
8,347‌
International
Small
Company
Fund
5,921‌
1,900‌
365‌
6,857‌
LargeCap
S&P
500
Index
Fund
69,429‌
30,630‌
4,101‌
102,157‌
MidCap
S&P
400
Index
Fund
17,329‌
6,002‌
11,072‌
11,405‌
Real
Estate
Securities
Fund
1‌
—‌
1‌
—‌
Short-Term
Income
Fund
9,952‌
5,992‌
1,880‌
14,316‌
SmallCap
S&P
600
Index
Fund
7,068‌
2,583‌
384‌
8,082‌
$
243,310‌
$
87,762‌
$
36,794‌
$
302,322‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
1,707‌
$
73‌
$
—‌
$
3,911‌
Diversified
International
Fund
948‌
(192‌)
—‌
506‌
Diversified
Real
Asset
Fund
132‌
(18‌)
—‌
(249‌)
High
Income
Fund
550‌
(88‌)
—‌
(321‌)
Inflation
Protection
Fund
53‌
25‌
—‌
584‌
International
Small
Company
Fund
184‌
(48‌)
—‌
(551‌)
LargeCap
S&P
500
Index
Fund
1,505‌
(121‌)
1,339‌
6,320‌
MidCap
S&P
400
Index
Fund
287‌
(345‌)
841‌
(509‌)
Real
Estate
Securities
Fund
—‌
—‌
—‌
—‌
Short-Term
Income
Fund
194‌
—‌
—‌
252‌
SmallCap
S&P
600
Index
Fund
104‌
(79‌)
429‌
(1,106‌)
$
5,664‌
$
(793‌)
$
2,609‌
$
8,837‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2030
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
197
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
30.65%
Diversified
International
Fund
(a)
4,764,920‌
$
59,371‌
Diversified
Real
Asset
Fund
(a)
553,360‌
6,010‌
International
Small
Company
Fund
(a)
854,478‌
8,588‌
MidCap
S&P
400
Index
Fund
(a)
704,262‌
12,965‌
Origin
Emerging
Markets
Fund
(a)
255,289‌
3,127‌
SmallCap
S&P
600
Index
Fund
(a)
475,422‌
10,074‌
$
100,135‌
Principal
Funds,
Inc.
Institutional
Class
-
69.36%
Bond
Market
Index
Fund
(a)
6,699,386‌
81,263‌
High
Income
Fund
(a)
1,389,814‌
12,564‌
Inflation
Protection
Fund
(a)
737,499‌
6,866‌
LargeCap
S&P
500
Index
Fund
(a)
6,264,509‌
125,854‌
$
226,547‌
TOTAL
INVESTMENT
COMPANIES
$
326,682‌
Total
Investments
$
326,682‌
Other
Assets
and
Liabilities
-  (0.01)%
(40‌)
TOTAL
NET
ASSETS
-
100.00%
$
326,642‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
49.00‌%
Domestic
Equity
Funds
45.58‌%
International
Equity
Funds
3.59‌%
Specialty
Funds
1.84‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
78,120‌
$
20,114‌
$
20,778‌
$
81,263‌
Diversified
International
Fund
51,273‌
13,909‌
6,411‌
59,371‌
Diversified
Real
Asset
Fund
6,171‌
1,680‌
1,572‌
6,010‌
High
Income
Fund
12,411‌
3,083‌
2,528‌
12,564‌
Inflation
Protection
Fund
6,498‌
1,649‌
1,767‌
6,866‌
International
Small
Company
Fund
8,426‌
2,056‌
1,159‌
8,588‌
LargeCap
S&P
500
Index
Fund
96,211‌
35,227‌
13,421‌
125,854‌
MidCap
S&P
400
Index
Fund
24,099‌
6,519‌
16,695‌
12,965‌
Origin
Emerging
Markets
Fund
2,530‌
608‌
318‌
3,127‌
SmallCap
S&P
600
Index
Fund
9,566‌
3,143‌
1,147‌
10,074‌
$
295,305‌
$
87,988‌
$
65,796‌
$
326,682‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
1,869‌
$
144‌
$
—‌
$
3,663‌
Diversified
International
Fund
1,242‌
(124‌)
—‌
724‌
Diversified
Real
Asset
Fund
154‌
(14‌)
—‌
(255‌)
High
Income
Fund
573‌
(92‌)
—‌
(310‌)
Inflation
Protection
Fund
40‌
12‌
—‌
474‌
International
Small
Company
Fund
257‌
(55‌)
—‌
(680‌)
LargeCap
S&P
500
Index
Fund
2,062‌
(59‌)
1,834‌
7,896‌
MidCap
S&P
400
Index
Fund
394‌
(467‌)
1,153‌
(491‌)
Origin
Emerging
Markets
Fund
48‌
(6‌)
—‌
313‌
SmallCap
S&P
600
Index
Fund
138‌
(65‌)
573‌
(1,423‌)
$
6,777‌
$
(726‌)
$
3,560‌
$
9,911‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2035
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
198
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
35.33%
Diversified
International
Fund
(a)
3,728,860‌
$
46,462‌
International
Small
Company
Fund
(a)
686,212‌
6,896‌
MidCap
S&P
400
Index
Fund
(a)
612,696‌
11,280‌
Origin
Emerging
Markets
Fund
(a)
299,727‌
3,672‌
Real
Estate
Securities
Fund
(a)
208,213‌
5,230‌
SmallCap
S&P
600
Index
Fund
(a)
368,003‌
7,798‌
$
81,338‌
Principal
Funds,
Inc.
Institutional
Class
-
64.68%
Bond
Market
Index
Fund
(a)
3,728,515‌
45,227‌
High
Income
Fund
(a)
847,030‌
7,657‌
LargeCap
S&P
500
Index
Fund
(a)
4,780,242‌
96,035‌
$
148,919‌
TOTAL
INVESTMENT
COMPANIES
$
230,257‌
Total
Investments
$
230,257‌
Other
Assets
and
Liabilities
-  (0.01)%
(31‌)
TOTAL
NET
ASSETS
-
100.00%
$
230,226‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
52.27‌%
Fixed
Income
Funds
43.15‌%
International
Equity
Funds
4.59‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
38,663‌
$
11,210‌
$
6,794‌
$
45,227‌
Diversified
International
Fund
34,684‌
12,578‌
1,370‌
46,462‌
High
Income
Fund
6,654‌
1,910‌
647‌
7,657‌
International
Small
Company
Fund
5,618‌
2,029‌
220‌
6,896‌
LargeCap
S&P
500
Index
Fund
64,797‌
27,767‌
2,241‌
96,035‌
MidCap
S&P
400
Index
Fund
15,786‌
5,653‌
9,527‌
11,280‌
Origin
Emerging
Markets
Fund
2,561‌
848‌
100‌
3,672‌
Real
Estate
Securities
Fund
4,510‌
1,417‌
169‌
5,230‌
SmallCap
S&P
600
Index
Fund
6,356‌
2,716‌
243‌
7,798‌
$
179,629‌
$
66,128‌
$
21,311‌
$
230,257‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
932‌
$
31‌
$
—‌
$
2,117‌
Diversified
International
Fund
846‌
(146‌)
—‌
716‌
High
Income
Fund
336‌
(64‌)
—‌
(196‌)
International
Small
Company
Fund
173‌
(39‌)
—‌
(492‌)
LargeCap
S&P
500
Index
Fund
1,397‌
(59‌)
1,243‌
5,771‌
MidCap
S&P
400
Index
Fund
260‌
(263‌)
760‌
(369‌)
Origin
Emerging
Markets
Fund
49‌
(8‌)
—‌
371‌
Real
Estate
Securities
Fund
68‌
(18‌)
40‌
(510‌)
SmallCap
S&P
600
Index
Fund
93‌
(60‌)
383‌
(971‌)
$
4,154‌
$
(626‌)
$
2,426‌
$
6,437‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2040
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
199
INVESTMENT
COMPANIES
-
100.01%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
36.80%
Diversified
International
Fund
(a)
3,942,988‌
$
49,130‌
International
Small
Company
Fund
(a)
663,391‌
6,667‌
MidCap
S&P
400
Index
Fund
(a)
562,001‌
10,346‌
Origin
Emerging
Markets
Fund
(a)
354,942‌
4,348‌
Real
Estate
Securities
Fund
(a)
201,471‌
5,061‌
SmallCap
S&P
600
Index
Fund
(a)
389,647‌
8,257‌
$
83,809‌
Principal
Funds,
Inc.
Institutional
Class
-
63.21%
Bond
Market
Index
Fund
(a)
2,732,687‌
33,148‌
High
Income
Fund
(a)
690,031‌
6,238‌
LargeCap
S&P
500
Index
Fund
(a)
5,204,798‌
104,564‌
$
143,950‌
TOTAL
INVESTMENT
COMPANIES
$
227,759‌
Total
Investments
$
227,759‌
Other
Assets
and
Liabilities
-  (0.01)%
(31‌)
TOTAL
NET
ASSETS
-
100.00%
$
227,728‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
56.31‌%
Fixed
Income
Funds
38.86‌%
International
Equity
Funds
4.84‌%
Other
Assets
and
Liabilities
(0.01‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
33,137‌
$
7,605‌
$
9,242‌
$
33,148‌
Diversified
International
Fund
42,969‌
10,781‌
4,964‌
49,130‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
6,214‌
1,390‌
1,153‌
6,238‌
Inflation
Protection
Fund
78‌
—‌
79‌
—‌
International
Small
Company
Fund
6,626‌
1,440‌
786‌
6,667‌
LargeCap
S&P
500
Index
Fund
79,693‌
26,922‌
8,141‌
104,564‌
MidCap
S&P
400
Index
Fund
20,009‌
4,915‌
13,708‌
10,346‌
Origin
Emerging
Markets
Fund
3,548‌
784‌
406‌
4,348‌
Real
Estate
Securities
Fund
5,173‌
1,040‌
565‌
5,061‌
SmallCap
S&P
600
Index
Fund
7,977‌
2,464‌
893‌
8,257‌
$
205,424‌
$
57,341‌
$
39,937‌
$
227,759‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
803‌
$
77‌
$
—‌
$
1,571‌
Diversified
International
Fund
1,052‌
(128‌)
—‌
472‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
296‌
(73‌)
—‌
(140‌)
Inflation
Protection
Fund
—‌
1‌
—‌
—‌
International
Small
Company
Fund
204‌
(38‌)
—‌
(575‌)
LargeCap
S&P
500
Index
Fund
1,725‌
57‌
1,534‌
6,033‌
MidCap
S&P
400
Index
Fund
330‌
(392‌)
968‌
(478‌)
Origin
Emerging
Markets
Fund
68‌
(11‌)
—‌
433‌
Real
Estate
Securities
Fund
72‌
(5‌)
46‌
(582‌)
SmallCap
S&P
600
Index
Fund
117‌
(48‌)
482‌
(1,243‌)
$
4,667‌
$
(560‌)
$
3,030‌
$
5,491‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2045
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
200
INVESTMENT
COMPANIES
-
100.02%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
40.15%
Diversified
International
Fund
(a)
2,647,786‌
$
32,991‌
International
Small
Company
Fund
(a)
447,463‌
4,497‌
MidCap
S&P
400
Index
Fund
(a)
427,178‌
7,864‌
Origin
Emerging
Markets
Fund
(a)
249,727‌
3,059‌
Real
Estate
Securities
Fund
(a)
128,125‌
3,219‌
SmallCap
S&P
600
Index
Fund
(a)
264,510‌
5,605‌
$
57,235‌
Principal
Funds,
Inc.
Institutional
Class
-
59.87%
Bond
Market
Index
Fund
(a)
1,191,120‌
14,449‌
High
Income
Fund
(a)
338,280‌
3,058‌
LargeCap
S&P
500
Index
Fund
(a)
3,376,763‌
67,839‌
$
85,346‌
TOTAL
INVESTMENT
COMPANIES
$
142,581‌
Total
Investments
$
142,581‌
Other
Assets
and
Liabilities
-  (0.02)%
(25‌)
TOTAL
NET
ASSETS
-
100.00%
$
142,556‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
59.30‌%
Fixed
Income
Funds
35.42‌%
International
Equity
Funds
5.30‌%
Other
Assets
and
Liabilities
(0.02‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
13,268‌
$
4,019‌
$
3,550‌
$
14,449‌
Diversified
International
Fund
25,278‌
8,496‌
992‌
32,991‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
2,974‌
808‌
583‌
3,058‌
International
Small
Company
Fund
3,710‌
1,326‌
143‌
4,497‌
LargeCap
S&P
500
Index
Fund
46,507‌
19,509‌
1,627‌
67,839‌
MidCap
S&P
400
Index
Fund
11,909‌
3,973‌
7,440‌
7,864‌
Origin
Emerging
Markets
Fund
2,173‌
679‌
84‌
3,059‌
Real
Estate
Securities
Fund
2,852‌
825‌
106‌
3,219‌
SmallCap
S&P
600
Index
Fund
4,763‌
1,839‌
181‌
5,605‌
$
113,434‌
$
41,474‌
$
14,706‌
$
142,581‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
326‌
$
33‌
$
—‌
$
679‌
Diversified
International
Fund
626‌
(70‌)
—‌
279‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
144‌
(77‌)
—‌
(64‌)
International
Small
Company
Fund
116‌
(18‌)
—‌
(378‌)
LargeCap
S&P
500
Index
Fund
1,018‌
(25‌)
904‌
3,475‌
MidCap
S&P
400
Index
Fund
199‌
(165‌)
582‌
(413‌)
Origin
Emerging
Markets
Fund
43‌
(4‌)
—‌
295‌
Real
Estate
Securities
Fund
43‌
(8‌)
26‌
(344‌)
SmallCap
S&P
600
Index
Fund
70‌
(32‌)
291‌
(784‌)
$
2,585‌
$
(366‌)
$
1,803‌
$
2,745‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2050
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
201
INVESTMENT
COMPANIES
-
100.02%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
41.12%
Diversified
International
Fund
(a)
2,195,386‌
$
27,355‌
International
Small
Company
Fund
(a)
370,078‌
3,719‌
MidCap
S&P
400
Index
Fund
(a)
316,736‌
5,831‌
Origin
Emerging
Markets
Fund
(a)
195,345‌
2,393‌
Real
Estate
Securities
Fund
(a)
100,062‌
2,514‌
SmallCap
S&P
600
Index
Fund
(a)
219,655‌
4,654‌
$
46,466‌
Principal
Funds,
Inc.
Institutional
Class
-
58.90%
Bond
Market
Index
Fund
(a)
713,608‌
8,656‌
High
Income
Fund
(a)
206,454‌
1,866‌
LargeCap
S&P
500
Index
Fund
(a)
2,788,727‌
56,026‌
$
66,548‌
TOTAL
INVESTMENT
COMPANIES
$
113,014‌
Total
Investments
$
113,014‌
Other
Assets
and
Liabilities
-  (0.02)%
(24‌)
TOTAL
NET
ASSETS
-
100.00%
$
112,990‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
61.09‌%
Fixed
Income
Funds
33.52‌%
International
Equity
Funds
5.41‌%
Other
Assets
and
Liabilities
(0.02‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
8,916‌
$
2,763‌
$
3,428‌
$
8,656‌
Diversified
International
Fund
23,933‌
7,232‌
4,196‌
27,355‌
High
Income
Fund
2,100‌
600‌
757‌
1,866‌
International
Small
Company
Fund
3,599‌
1,050‌
628‌
3,719‌
LargeCap
S&P
500
Index
Fund
43,999‌
16,577‌
7,755‌
56,026‌
MidCap
S&P
400
Index
Fund
11,260‌
3,280‌
8,335‌
5,831‌
Origin
Emerging
Markets
Fund
1,962‌
533‌
344‌
2,393‌
Real
Estate
Securities
Fund
2,572‌
638‌
431‌
2,514‌
SmallCap
S&P
600
Index
Fund
4,599‌
1,499‌
774‌
4,654‌
$
102,940‌
$
34,172‌
$
26,648‌
$
113,014‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
215‌
$
24‌
$
—‌
$
381‌
Diversified
International
Fund
584‌
(48‌)
—‌
434‌
High
Income
Fund
91‌
(62‌)
—‌
(15‌)
International
Small
Company
Fund
110‌
(19‌)
—‌
(283‌)
LargeCap
S&P
500
Index
Fund
950‌
31‌
844‌
3,174‌
MidCap
S&P
400
Index
Fund
185‌
(189‌)
543‌
(185‌)
Origin
Emerging
Markets
Fund
38‌
(4‌)
—‌
246‌
Real
Estate
Securities
Fund
35‌
3‌
23‌
(268‌)
SmallCap
S&P
600
Index
Fund
67‌
(29‌)
277‌
(641‌)
$
2,275‌
$
(293‌)
$
1,687‌
$
2,843‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2055
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
202
INVESTMENT
COMPANIES
-
100.04%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
42.97%
Diversified
International
Fund
(a)
964,298‌
$
12,015‌
International
Small
Company
Fund
(a)
164,131‌
1,650‌
MidCap
S&P
400
Index
Fund
(a)
161,514‌
2,973‌
Origin
Emerging
Markets
Fund
(a)
91,891‌
1,126‌
Real
Estate
Securities
Fund
(a)
43,250‌
1,086‌
SmallCap
S&P
600
Index
Fund
(a)
96,983‌
2,055‌
$
20,905‌
Principal
Funds,
Inc.
Institutional
Class
-
57.07%
Bond
Market
Index
Fund
(a)
232,290‌
2,818‌
High
Income
Fund
(a)
87,555‌
791‌
LargeCap
S&P
500
Index
Fund
(a)
1,202,435‌
24,157‌
$
27,766‌
TOTAL
INVESTMENT
COMPANIES
$
48,671‌
Total
Investments
$
48,671‌
Other
Assets
and
Liabilities
-  (0.04)%
(19‌)
TOTAL
NET
ASSETS
-
100.00%
$
48,652‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
62.21‌%
Fixed
Income
Funds
32.12‌%
International
Equity
Funds
5.71‌%
Other
Assets
and
Liabilities
(0.04‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
2,147‌
$
735‌
$
196‌
$
2,818‌
Diversified
International
Fund
8,783‌
3,772‌
647‌
12,015‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
684‌
226‌
97‌
791‌
International
Small
Company
Fund
1,314‌
566‌
96‌
1,650‌
LargeCap
S&P
500
Index
Fund
15,996‌
8,046‌
1,064‌
24,157‌
MidCap
S&P
400
Index
Fund
4,169‌
1,755‌
2,766‌
2,973‌
Origin
Emerging
Markets
Fund
765‌
309‌
56‌
1,126‌
Real
Estate
Securities
Fund
918‌
344‌
64‌
1,086‌
SmallCap
S&P
600
Index
Fund
1,688‌
767‌
119‌
2,055‌
$
36,464‌
$
16,520‌
$
5,105‌
$
48,671‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
53‌
$
1‌
$
—‌
$
131‌
Diversified
International
Fund
219‌
(82‌)
—‌
189‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
34‌
(4‌)
—‌
(18‌)
International
Small
Company
Fund
42‌
(18‌)
—‌
(116‌)
LargeCap
S&P
500
Index
Fund
353‌
(56‌)
314‌
1,235‌
MidCap
S&P
400
Index
Fund
70‌
(75‌)
205‌
(110‌)
Origin
Emerging
Markets
Fund
15‌
(6‌)
—‌
114‌
Real
Estate
Securities
Fund
14‌
(7‌)
8‌
(105‌)
SmallCap
S&P
600
Index
Fund
25‌
(30‌)
104‌
(251‌)
$
825‌
$
(277‌)
$
631‌
$
1,069‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2060
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
203
INVESTMENT
COMPANIES
-
100.11%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
44.27%
Diversified
International
Fund
(a)
331,751‌
$
4,134‌
International
Small
Company
Fund
(a)
56,714‌
570‌
MidCap
S&P
400
Index
Fund
(a)
57,314‌
1,055‌
Origin
Emerging
Markets
Fund
(a)
33,635‌
412‌
Real
Estate
Securities
Fund
(a)
14,664‌
368‌
SmallCap
S&P
600
Index
Fund
(a)
33,545‌
711‌
$
7,250‌
Principal
Funds,
Inc.
Institutional
Class
-
55.84%
Bond
Market
Index
Fund
(a)
57,389‌
696‌
High
Income
Fund
(a)
23,968‌
217‌
LargeCap
S&P
500
Index
Fund
(a)
409,830‌
8,233‌
$
9,146‌
TOTAL
INVESTMENT
COMPANIES
$
16,396‌
Total
Investments
$
16,396‌
Other
Assets
and
Liabilities
-  (0.11)%
(18‌)
TOTAL
NET
ASSETS
-
100.00%
$
16,378‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
63.30‌%
Fixed
Income
Funds
30.81‌%
International
Equity
Funds
6.00‌%
Other
Assets
and
Liabilities
(0.11‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
549‌
$
272‌
$
156‌
$
696‌
Diversified
International
Fund
3,093‌
1,717‌
751‌
4,134‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
200‌
85‌
63‌
217‌
International
Small
Company
Fund
453‌
265‌
110‌
570‌
LargeCap
S&P
500
Index
Fund
5,562‌
3,432‌
1,228‌
8,233‌
MidCap
S&P
400
Index
Fund
1,450‌
798‌
1,155‌
1,055‌
Origin
Emerging
Markets
Fund
287‌
154‌
71‌
412‌
Real
Estate
Securities
Fund
316‌
159‌
74‌
368‌
SmallCap
S&P
600
Index
Fund
594‌
340‌
139‌
711‌
$
12,504‌
$
7,222‌
$
3,747‌
$
16,396‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
13‌
$
—‌
$
—‌
$
31‌
Diversified
International
Fund
73‌
(51‌)
—‌
126‌
Diversified
Real
Asset
Fund
—‌
—‌
—‌
—‌
High
Income
Fund
9‌
(2‌)
—‌
(3‌)
International
Small
Company
Fund
14‌
(12‌)
—‌
(26‌)
LargeCap
S&P
500
Index
Fund
116‌
(24‌)
103‌
491‌
MidCap
S&P
400
Index
Fund
23‌
(38‌)
67‌
—‌
Origin
Emerging
Markets
Fund
5‌
(4‌)
—‌
46‌
Real
Estate
Securities
Fund
5‌
(4‌)
3‌
(29‌)
SmallCap
S&P
600
Index
Fund
8‌
(23‌)
35‌
(61‌)
$
266‌
$
(158‌)
$
208‌
$
575‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
2065
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
204
INVESTMENT
COMPANIES
-
100.33%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
45.65%
Diversified
International
Fund
(a)
62,316‌
$
777‌
International
Small
Company
Fund
(a)
10,666‌
107‌
MidCap
S&P
400
Index
Fund
(a)
11,280‌
208‌
Origin
Emerging
Markets
Fund
(a)
6,290‌
77‌
Real
Estate
Securities
Fund
(a)
2,823‌
71‌
SmallCap
S&P
600
Index
Fund
(a)
6,341‌
134‌
$
1,374‌
Principal
Funds,
Inc.
Institutional
Class
-
54.68%
Bond
Market
Index
Fund
(a)
7,591‌
92‌
High
Income
Fund
(a)
3,528‌
32‌
LargeCap
S&P
500
Index
Fund
(a)
75,762‌
1,522‌
$
1,646‌
TOTAL
INVESTMENT
COMPANIES
$
3,020‌
Total
Investments
$
3,020‌
Other
Assets
and
Liabilities
-  (0.33)%
(10‌)
TOTAL
NET
ASSETS
-
100.00%
$
3,010‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
64.28‌%
Fixed
Income
Funds
29.93‌%
International
Equity
Funds
6.12‌%
Other
Assets
and
Liabilities
(0.33‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
55‌
$
97‌
$
65‌
$
92‌
Diversified
International
Fund
336‌
704‌
286‌
777‌
High
Income
Fund
21‌
33‌
20‌
32‌
International
Small
Company
Fund
49‌
105‌
42‌
107‌
LargeCap
S&P
500
Index
Fund
612‌
1,289‌
468‌
1,522‌
MidCap
S&P
400
Index
Fund
157‌
323‌
272‌
208‌
Origin
Emerging
Markets
Fund
30‌
65‌
26‌
77‌
Real
Estate
Securities
Fund
35‌
67‌
27‌
71‌
SmallCap
S&P
600
Index
Fund
65‌
135‌
55‌
134‌
$
1,360‌
$
2,818‌
$
1,261‌
$
3,020‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
2‌
$
—‌
$
—‌
$
5‌
Diversified
International
Fund
11‌
(1‌)
—‌
24‌
High
Income
Fund
2‌
—‌
—‌
(2‌)
International
Small
Company
Fund
2‌
—‌
—‌
(5‌)
LargeCap
S&P
500
Index
Fund
17‌
—‌
15‌
89‌
MidCap
S&P
400
Index
Fund
3‌
(2‌)
10‌
2‌
Origin
Emerging
Markets
Fund
1‌
—‌
—‌
8‌
Real
Estate
Securities
Fund
1‌
—‌
—‌
(4‌)
SmallCap
S&P
600
Index
Fund
1‌
—‌
5‌
(11‌)
$
40‌
$
(3‌)
$
30‌
$
106‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Hybrid
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
205
INVESTMENT
COMPANIES
-
100.04%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
12.29%
Diversified
International
Fund
(a)
294,414‌
$
3,668‌
Diversified
Real
Asset
Fund
(a)
129,056‌
1,401‌
International
Small
Company
Fund
(a)
54,004‌
543‌
MidCap
S&P
400
Index
Fund
(a)
63,421‌
1,168‌
SmallCap
S&P
600
Index
Fund
(a)
35,712‌
757‌
$
7,537‌
Principal
Funds,
Inc.
Institutional
Class
-
87.75%
Bond
Market
Index
Fund
(a)
2,105,361‌
25,538‌
High
Income
Fund
(a)
476,728‌
4,310‌
Inflation
Protection
Fund
(a)
305,456‌
2,844‌
LargeCap
S&P
500
Index
Fund
(a)
377,950‌
7,593‌
Short-Term
Income
Fund
(a)
1,077,915‌
13,538‌
$
53,823‌
TOTAL
INVESTMENT
COMPANIES
$
61,360‌
Total
Investments
$
61,360‌
Other
Assets
and
Liabilities
-  (0.04)%
(22‌)
TOTAL
NET
ASSETS
-
100.00%
$
61,338‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
81.35‌%
Domestic
Equity
Funds
15.52‌%
Specialty
Funds
2.28‌%
International
Equity
Funds
0.89‌%
Other
Assets
and
Liabilities
(0.04‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Bond
Market
Index
Fund
$
24,370‌
$
4,953‌
$
4,922‌
$
25,538‌
Diversified
International
Fund
3,341‌
1,414‌
1,227‌
3,668‌
Diversified
Real
Asset
Fund
1,239‌
586‌
411‌
1,401‌
High
Income
Fund
4,218‌
1,009‌
780‌
4,310‌
Inflation
Protection
Fund
2,698‌
513‌
562‌
2,844‌
International
Small
Company
Fund
563‌
239‌
231‌
543‌
LargeCap
S&P
500
Index
Fund
6,297‌
3,330‌
2,757‌
7,593‌
MidCap
S&P
400
Index
Fund
1,576‌
678‌
1,088‌
1,168‌
Short-Term
Income
Fund
12,196‌
3,550‌
2,443‌
13,538‌
SmallCap
S&P
600
Index
Fund
610‌
281‌
65‌
757‌
$
57,108‌
$
16,553‌
$
14,486‌
$
61,360‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Bond
Market
Index
Fund
$
570‌
$
37‌
$
—‌
$
1,100‌
Diversified
International
Fund
79‌
(64‌)
—‌
204‌
Diversified
Real
Asset
Fund
30‌
(8‌)
—‌
(5‌)
High
Income
Fund
192‌
(47‌)
—‌
(90‌)
Inflation
Protection
Fund
16‌
3‌
—‌
192‌
International
Small
Company
Fund
17‌
(18‌)
—‌
(10‌)
LargeCap
S&P
500
Index
Fund
132‌
95‌
118‌
628‌
MidCap
S&P
400
Index
Fund
25‌
15‌
74‌
(13‌)
Short-Term
Income
Fund
192‌
—‌
—‌
235‌
SmallCap
S&P
600
Index
Fund
9‌
(8‌)
35‌
(61‌)
$
1,262‌
$
5‌
$
227‌
$
2,180‌
Amounts
in
thousands.
Schedule
of
Investments
Principal
LifeTime
Strategic
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
206
INVESTMENT
COMPANIES
-
100.02%
Shares
Held
Value
(000's)
Principal
Funds,
Inc.
Class
R-6
-
40.48%
Blue
Chip
Fund
(a)
631,676‌
$
19,942‌
Core
Fixed
Income
Fund
(a)
10,937,291‌
113,310‌
Diversified
International
Fund
(a)
993,362‌
12,377‌
Diversified
Real
Asset
Fund
(a)
684,651‌
7,435‌
International
Small
Company
Fund
(a)
355,017‌
3,568‌
MidCap
Fund
(a)
400,016‌
12,461‌
SmallCap
Growth
Fund
I
(a),(b)
205,954‌
3,061‌
SmallCap
Value
Fund
II
(a)
190,829‌
1,645‌
$
173,799‌
Principal
Funds,
Inc.
Institutional
Class
-
59.54%
Bond
Market
Index
Fund
(a)
5,789,287‌
70,224‌
Equity
Income
Fund
(a)
425,960‌
12,953‌
High
Income
Fund
(a)
3,434,272‌
31,046‌
Inflation
Protection
Fund
(a)
2,193,704‌
20,423‌
LargeCap
S&P
500
Index
Fund
(a)
846,969‌
17,016‌
Overseas
Fund
(a)
1,292,726‌
10,807‌
Short-Term
Income
Fund
(a)
7,417,022‌
93,158‌
$
255,627‌
TOTAL
INVESTMENT
COMPANIES
$
429,426‌
Total
Investments
$
429,426‌
Other
Assets
and
Liabilities
-  (0.02)%
(72‌)
TOTAL
NET
ASSETS
-
100.00%
$
429,354‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
79.31‌%
Domestic
Equity
Funds
15.63‌%
International
Equity
Funds
3.35‌%
Specialty
Funds
1.73‌%
Other
Assets
and
Liabilities
(0.02‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
16,284‌
$
7,216‌
$
8,383‌
$
19,942‌
Bond
Market
Index
Fund
70,971‌
8,683‌
12,681‌
70,224‌
Core
Fixed
Income
Fund
110,221‌
14,324‌
17,052‌
113,310‌
Diversified
International
Fund
11,234‌
2,645‌
1,505‌
12,377‌
Diversified
Real
Asset
Fund
7,095‌
1,413‌
699‌
7,435‌
Equity
Income
Fund
13,974‌
2,152‌
2,183‌
12,953‌
High
Income
Fund
31,020‌
4,961‌
3,903‌
31,046‌
Inflation
Protection
Fund
19,721‌
2,403‌
3,164‌
20,423‌
International
Small
Company
Fund
3,611‌
797‌
474‌
3,568‌
LargeCap
S&P
500
Index
Fund
14,765‌
6,535‌
6,149‌
17,016‌
MidCap
Fund
12,324‌
1,887‌
1,982‌
12,461‌
Overseas
Fund
10,881‌
3,019‌
1,447‌
10,807‌
Short-Term
Income
Fund
90,468‌
14,781‌
13,789‌
93,158‌
SmallCap
Growth
Fund
I
2,399‌
493‌
140‌
3,061‌
SmallCap
Value
Fund
II
2,242‌
270‌
559‌
1,645‌
$
417,210‌
$
71,579‌
$
74,110‌
$
429,426‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
132‌
$
1,803‌
$
637‌
$
3,022‌
Bond
Market
Index
Fund
1,615‌
88‌
—‌
3,163‌
Core
Fixed
Income
Fund
2,176‌
(111‌)
—‌
5,928‌
Diversified
International
Fund
262‌
(403‌)
—‌
406‌
Diversified
Real
Asset
Fund
169‌
(22‌)
—‌
(352‌)
Equity
Income
Fund
204‌
497‌
381‌
(1,487‌)
High
Income
Fund
1,425‌
(280‌)
—‌
(752‌)
Inflation
Protection
Fund
117‌
(78‌)
—‌
1,541‌
International
Small
Company
Fund
106‌
(41‌)
—‌
(325‌)
LargeCap
S&P
500
Index
Fund
307‌
813‌
273‌
1,052‌
MidCap
Fund
82‌
491‌
511‌
(259‌)
Overseas
Fund
339‌
(166‌)
—‌
(1,480‌)
Short-Term
Income
Fund
1,395‌
(11‌)
—‌
1,709‌
SmallCap
Growth
Fund
I
—‌
15‌
179‌
294‌
SmallCap
Value
Fund
II
21‌
69‌
—‌
(377‌)
$
8,350‌
$
2,664‌
$
1,981‌
$
12,083‌
Amounts
in
thousands.
Schedule
of
Investments
Real
Estate
Securities
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
207
INVESTMENT
COMPANIES
-
1.54%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.54%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
73,959,802‌
$
73,960‌
TOTAL
INVESTMENT
COMPANIES
$
73,960‌
COMMON
STOCKS
-
98.63%
Shares
Held
Value
(000's)
Lodging
-
0.44%
Choice
Hotels
International
Inc
131,470‌
$
11,049‌
Hilton
Worldwide
Holdings
Inc
136,221‌
10,223‌
$
21,272‌
REITs
-
98.19%
Alexandria
Real
Estate
Equities
Inc
946,550‌
168,060‌
American
Assets
Trust
Inc
986,682‌
26,640‌
American
Campus
Communities
Inc
388,905‌
13,861‌
American
Homes
4
Rent
6,704,870‌
194,441‌
American
Tower
Corp
522,784‌
136,651‌
Apartment
Investment
and
Management
Co
2,630,543‌
102,118‌
AvalonBay
Communities
Inc
1,879,777‌
287,831‌
Boston
Properties
Inc
1,005,586‌
89,588‌
Brandywine
Realty
Trust
2,317,197‌
25,095‌
Camden
Property
Trust
817,170‌
74,207‌
CoreSite
Realty
Corp
568,900‌
73,417‌
Cousins
Properties
Inc
2,999,973‌
92,159‌
CubeSmart
2,430,134‌
72,102‌
CyrusOne
Inc
998,032‌
83,256‌
DiamondRock
Hospitality
Co
3,223,735‌
14,894‌
Digital
Realty
Trust
Inc
247,623‌
39,753‌
Equinix
Inc
636,524‌
499,977‌
Equity
LifeStyle
Properties
Inc
1,571,796‌
107,385‌
Equity
Residential
1,108,539‌
59,451‌
Essential
Properties
Realty
Trust
Inc
2,475,377‌
39,854‌
Essex
Property
Trust
Inc
700,382‌
154,602‌
Extra
Space
Storage
Inc
1,101,833‌
113,863‌
First
Industrial
Realty
Trust
Inc
1,181,208‌
51,879‌
Healthcare
Trust
of
America
Inc
5,471,546‌
151,069‌
Healthpeak
Properties
Inc
1,115,942‌
30,454‌
Invitation
Homes
Inc
9,396,141‌
280,193‌
Kilroy
Realty
Corp
1,020,087‌
59,440‌
Park
Hotels
&
Resorts
Inc
3,665,548‌
30,314‌
Prologis
Inc
5,204,648‌
548,674‌
PS
Business
Parks
Inc
82,223‌
11,343‌
Public
Storage
221,997‌
44,373‌
Regency
Centers
Corp
1,669,049‌
68,481‌
Rexford
Industrial
Realty
Inc
1,582,346‌
74,260‌
Sabra
Health
Care
REIT
Inc
3,946,300‌
58,168‌
Saul
Centers
Inc
460,406‌
14,139‌
Simon
Property
Group
Inc
675,289‌
42,104‌
STORE
Capital
Corp
5,041,913‌
119,443‌
Sun
Communities
Inc
1,098,646‌
164,720‌
Taubman
Centers
Inc
239,808‌
9,285‌
Terreno
Realty
Corp
1,850,208‌
112,419‌
Ventas
Inc
1,737,447‌
66,648‌
VICI
Properties
Inc
3,673,539‌
79,753‌
Welltower
Inc
3,931,522‌
210,572‌
Weyerhaeuser
Co
1,159,185‌
32,237‌
$
4,729,173‌
TOTAL
COMMON
STOCKS
$
4,750,445‌
Total
Investments
$
4,824,405‌
Other
Assets
and
Liabilities
-  (0.17)%
(8,207‌)
TOTAL
NET
ASSETS
-
100.00%
$
4,816,198‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
98.19‌%
Money
Market
Funds
1.54‌%
Consumer,
Cyclical
0.44‌%
Other
Assets
and
Liabilities
(0.17‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
Real
Estate
Securities
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
208
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
98,955‌
$
781,603‌
$
806,598‌
$
73,960‌
$
98,955‌
$
781,603‌
$
806,598‌
$
73,960‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
556‌
$
—‌
$
—‌
$
—‌
$
556‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
Schedule
of
Investments
SAM
Balanced
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
209
INVESTMENT
COMPANIES
-
99.43%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.95%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
85,032,164‌
$
85,032‌
Principal
Exchange-Traded
Funds
-
17.55%
Principal
Active
Global
Dividend
Income
ETF
(a)
7,864,100‌
216,687‌
Principal
Active
Income
ETF
(a)
535,210‌
20,044‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
(a)
13,609,257‌
429,780‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
(a)
3,542,700‌
99,908‌
$
766,419‌
Principal
Funds,
Inc.
Class
R-6
-
50.71%
Blue
Chip
Fund
(a)
13,556,589‌
427,982‌
Core
Fixed
Income
Fund
(a)
50,863,729‌
526,948‌
Diversified
International
Fund
(a)
40,213,874‌
501,065‌
Diversified
Real
Asset
Fund
(a)
9,967,387‌
108,246‌
Edge
MidCap
Fund
(a)
12,163,697‌
176,617‌
Global
Diversified
Income
Fund
(a)
1,768,421‌
21,840‌
Global
Real
Estate
Securities
Fund
(a)
14,565,937‌
131,093‌
High
Yield
Fund
(a)
11,088,824‌
77,400‌
International
Small
Company
Fund
(a)
5,411,802‌
54,389‌
Origin
Emerging
Markets
Fund
(a)
5,490,890‌
67,263‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
(a)
12,024,123‌
121,323‌
$
2,214,166‌
Principal
Funds,
Inc.
Institutional
Class
-
29.22%
Equity
Income
Fund
(a)
20,185,789‌
613,850‌
Government
&
High
Quality
Bond
Fund
(a)
24,603,321‌
261,533‌
Inflation
Protection
Fund
(a)
7,313,276‌
68,087‌
Short-Term
Income
Fund
(a)
26,438,455‌
332,067‌
$
1,275,537‌
TOTAL
INVESTMENT
COMPANIES
$
4,341,154‌
Total
Investments
$
4,341,154‌
Other
Assets
and
Liabilities
-  0.57%
25,077‌
TOTAL
NET
ASSETS
-
100.00%
$
4,366,231‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
43.72‌%
Domestic
Equity
Funds
40.03‌%
International
Equity
Funds
10.75‌%
Specialty
Funds
2.98‌%
Money
Market
Funds
1.95‌%
Other
Assets
and
Liabilities
0.57‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
SAM
Balanced
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
210
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
406,108‌
$
19,500‌
$
72,229‌
$
427,982‌
Core
Fixed
Income
Fund
565,998‌
34,157‌
98,461‌
526,948‌
Diversified
International
Fund
531,670‌
16,128‌
44,446‌
501,065‌
Diversified
Real
Asset
Fund
145,693‌
4,671‌
33,378‌
108,246‌
Edge
MidCap
Fund
190,950‌
9,420‌
13,454‌
176,617‌
Equity
Income
Fund
593,088‌
100,126‌
28,493‌
613,850‌
Global
Diversified
Income
Fund
—‌
21,840‌
—‌
21,840‌
Global
Real
Estate
Securities
Fund
138,105‌
23,711‌
6,716‌
131,093‌
Government
&
High
Quality
Bond
Fund
311,045‌
9,123‌
61,149‌
261,533‌
High
Yield
Fund
69,618‌
15,642‌
6,628‌
77,400‌
Inflation
Protection
Fund
70,713‌
3,655‌
11,230‌
68,087‌
International
Small
Company
Fund
67,892‌
2,597‌
9,602‌
54,389‌
Origin
Emerging
Markets
Fund
67,284‌
1,763‌
7,816‌
67,263‌
Principal
Active
Global
Dividend
Income
ETF
222,837‌
—‌
—‌
216,687‌
Principal
Active
Income
ETF
62,826‌
3,576‌
41,545‌
20,044‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
7,829‌
159,504‌
82,301‌
85,032‌
Principal
Investment
Grade
Corporate
Active
ETF
35,425‌
—‌
36,240‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
450,514‌
—‌
48,795‌
429,780‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
110,709‌
—‌
—‌
99,908‌
Short-Term
Income
Fund
357,830‌
8,152‌
40,401‌
332,067‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
123,636‌
6,370‌
5,227‌
121,323‌
$
4,529,770‌
$
439,935‌
$
648,111‌
$
4,341,154‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
3,292‌
$
10,702‌
$
15,833‌
$
63,901‌
Core
Fixed
Income
Fund
10,579‌
(21‌)
—‌
25,275‌
Diversified
International
Fund
12,379‌
(161‌)
—‌
(2,126‌)
Diversified
Real
Asset
Fund
3,467‌
(445‌)
—‌
(8,295‌)
Edge
MidCap
Fund
1,988‌
(644‌)
5,765‌
(9,655‌)
Equity
Income
Fund
8,720‌
(452‌)
16,171‌
(50,419‌)
Global
Diversified
Income
Fund
—‌
—‌
—‌
—‌
Global
Real
Estate
Securities
Fund
1,726‌
(308‌)
3,901‌
(23,699‌)
Government
&
High
Quality
Bond
Fund
5,698‌
291‌
—‌
2,223‌
High
Yield
Fund
2,915‌
(466‌)
—‌
(766‌)
Inflation
Protection
Fund
409‌
182‌
—‌
4,767‌
International
Small
Company
Fund
1,974‌
(127‌)
—‌
(6,371‌)
Origin
Emerging
Markets
Fund
1,224‌
(173‌)
—‌
6,205‌
Principal
Active
Global
Dividend
Income
ETF
3,995‌
—‌
—‌
(6,150‌)
Principal
Active
Income
ETF
2,303‌
(2,466‌)
—‌
(2,347‌)
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
92‌
—‌
—‌
—‌
Principal
Investment
Grade
Corporate
Active
ETF
1,664‌
3,733‌
292‌
(2,918‌)
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
6,741‌
6,869‌
—‌
21,192‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
1,207‌
—‌
—‌
(10,801‌)
Short-Term
Income
Fund
5,309‌
(6‌)
—‌
6,492‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
4,468‌
(574‌)
—‌
(2,882‌)
$
80,150‌
$
15,934‌
$
41,962‌
$
3,626‌
Amounts
in
thousands.
Schedule
of
Investments
SAM
Conservative
Balanced
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
211
INVESTMENT
COMPANIES
-
98.23%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.75%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
29,128,320‌
$
29,128‌
Principal
Exchange-Traded
Funds
-
10.76%
Principal
Active
Global
Dividend
Income
ETF
(a)
1,207,000‌
33,258‌
Principal
Active
Income
ETF
(a)
391,412‌
14,658‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
(a)
3,430,648‌
108,340‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
(a)
827,700‌
23,342‌
$
179,598‌
Principal
Funds,
Inc.
Class
R-6
-
52.76%
Blue
Chip
Fund
(a)
3,786,169‌
119,530‌
Core
Fixed
Income
Fund
(a)
29,992,841‌
310,726‌
Diversified
International
Fund
(a)
10,869,425‌
135,433‌
Diversified
Real
Asset
Fund
(a)
3,438,878‌
37,346‌
Edge
MidCap
Fund
(a)
3,301,706‌
47,941‌
Global
Diversified
Income
Fund
(a)
2,920,002‌
36,062‌
Global
Real
Estate
Securities
Fund
(a)
5,187,691‌
46,689‌
High
Yield
Fund
(a)
6,499,038‌
45,363‌
International
Small
Company
Fund
(a)
1,235,329‌
12,415‌
Origin
Emerging
Markets
Fund
(a)
1,479,680‌
18,126‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
(a)
6,972,482‌
70,352‌
$
879,983‌
Principal
Funds,
Inc.
Institutional
Class
-
32.96%
Equity
Income
Fund
(a)
5,388,384‌
163,861‌
Government
&
High
Quality
Bond
Fund
(a)
14,645,409‌
155,681‌
Inflation
Protection
Fund
(a)
4,555,287‌
42,410‌
Short-Term
Income
Fund
(a)
14,955,272‌
187,838‌
$
549,790‌
TOTAL
INVESTMENT
COMPANIES
$
1,638,499‌
Total
Investments
$
1,638,499‌
Other
Assets
and
Liabilities
-  1.77%
29,449‌
TOTAL
NET
ASSETS
-
100.00%
$
1,667,948‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
57.70‌%
Domestic
Equity
Funds
27.76‌%
International
Equity
Funds
6.62‌%
Specialty
Funds
4.40‌%
Money
Market
Funds
1.75‌%
Other
Assets
and
Liabilities
1.77‌%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
SAM
Conservative
Balanced
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
212
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
108,151‌
$
6,108‌
$
15,300‌
$
119,530‌
Core
Fixed
Income
Fund
315,737‌
22,827‌
43,087‌
310,726‌
Diversified
International
Fund
140,205‌
6,288‌
10,821‌
135,433‌
Diversified
Real
Asset
Fund
49,575‌
1,915‌
11,206‌
37,346‌
Edge
MidCap
Fund
49,778‌
3,320‌
2,749‌
47,941‌
Equity
Income
Fund
151,370‌
33,564‌
8,331‌
163,861‌
Global
Diversified
Income
Fund
46,347‌
2,973‌
8,852‌
36,062‌
Global
Real
Estate
Securities
Fund
40,405‌
15,370‌
2,171‌
46,689‌
Government
&
High
Quality
Bond
Fund
179,835‌
6,400‌
32,034‌
155,681‌
High
Yield
Fund
39,478‌
9,760‌
3,225‌
45,363‌
Inflation
Protection
Fund
44,080‌
741‌
5,589‌
42,410‌
International
Small
Company
Fund
17,731‌
659‌
4,310‌
12,415‌
Origin
Emerging
Markets
Fund
17,660‌
493‌
1,674‌
18,126‌
Principal
Active
Global
Dividend
Income
ETF
34,202‌
—‌
—‌
33,258‌
Principal
Active
Income
ETF
46,182‌
2,376‌
30,384‌
14,658‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
4,221‌
49,713‌
24,806‌
29,128‌
Principal
Investment
Grade
Corporate
Active
ETF
17,606‌
—‌
18,075‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
106,540‌
—‌
4,876‌
108,340‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
25,866‌
—‌
—‌
23,342‌
Short-Term
Income
Fund
196,132‌
5,791‌
17,774‌
187,838‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
71,103‌
4,637‌
3,451‌
70,352‌
$
1,702,204‌
$
172,935‌
$
248,715‌
$
1,638,499‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
881‌
$
800‌
$
4,231‌
$
19,771‌
Core
Fixed
Income
Fund
6,074‌
(343‌)
—‌
15,592‌
Diversified
International
Fund
3,282‌
(12‌)
—‌
(227‌)
Diversified
Real
Asset
Fund
1,181‌
(133‌)
—‌
(2,805‌)
Edge
MidCap
Fund
521‌
(9‌)
1,508‌
(2,399‌)
Equity
Income
Fund
2,232‌
(3‌)
4,133‌
(12,739‌)
Global
Diversified
Income
Fund
1,715‌
(905‌)
—‌
(3,501‌)
Global
Real
Estate
Securities
Fund
507‌
(200‌)
1,143‌
(6,715‌)
Government
&
High
Quality
Bond
Fund
3,339‌
(310‌)
—‌
1,790‌
High
Yield
Fund
1,667‌
(215‌)
—‌
(435‌)
Inflation
Protection
Fund
258‌
89‌
—‌
3,089‌
International
Small
Company
Fund
518‌
(3‌)
—‌
(1,662‌)
Origin
Emerging
Markets
Fund
322‌
(38‌)
—‌
1,685‌
Principal
Active
Global
Dividend
Income
ETF
613‌
—‌
—‌
(944‌)
Principal
Active
Income
ETF
1,689‌
(1,426‌)
—‌
(2,090‌)
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
40‌
—‌
—‌
—‌
Principal
Investment
Grade
Corporate
Active
ETF
846‌
1,919‌
145‌
(1,450‌)
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
1,594‌
638‌
—‌
6,038‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
282‌
—‌
—‌
(2,524‌)
Short-Term
Income
Fund
2,954‌
11‌
—‌
3,678‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
2,575‌
(288‌)
—‌
(1,649‌)
$
33,090‌
$
(428‌)
$
11,160‌
$
12,503‌
Amounts
in
thousands.
Schedule
of
Investments
SAM
Conservative
Growth
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
213
INVESTMENT
COMPANIES
-
100.06%
Shares
Held
Value
(000's)
Money
Market
Funds
-
2.69%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
77,934,511‌
$
77,935‌
Principal
Exchange-Traded
Funds
-
20.14%
Principal
Active
Global
Dividend
Income
ETF
(a)
3,580,000‌
98,643‌
Principal
Active
Income
ETF
(a)
359,266‌
13,454‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
(a)
11,991,445‌
378,690‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
(a)
3,294,800‌
92,917‌
$
583,704‌
Principal
Funds,
Inc.
Class
R-6
-
52.10%
Blue
Chip
Fund
(a)
12,515,318‌
395,109‌
Core
Fixed
Income
Fund
(a)
13,479,426‌
139,647‌
Diversified
International
Fund
(a)
39,389,972‌
490,799‌
Diversified
Real
Asset
Fund
(a)
7,401,695‌
80,382‌
Edge
MidCap
Fund
(a)
11,666,923‌
169,404‌
Global
Real
Estate
Securities
Fund
(a)
9,693,163‌
87,238‌
International
Small
Company
Fund
(a)
5,017,965‌
50,431‌
Origin
Emerging
Markets
Fund
(a)
4,643,455‌
56,882‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
(a)
3,928,996‌
39,644‌
$
1,509,536‌
Principal
Funds,
Inc.
Institutional
Class
-
25.13%
Equity
Income
Fund
(a)
17,220,038‌
523,661‌
Government
&
High
Quality
Bond
Fund
(a)
7,407,276‌
78,739‌
Short-Term
Income
Fund
(a)
10,008,411‌
125,706‌
$
728,106‌
TOTAL
INVESTMENT
COMPANIES
$
2,899,281‌
Total
Investments
$
2,899,281‌
Other
Assets
and
Liabilities
-  (0.06)%
(1,765‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,897,516‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
53.84‌%
Fixed
Income
Funds
30.65‌%
International
Equity
Funds
10.11‌%
Specialty
Funds
2.77‌%
Money
Market
Funds
2.69‌%
Other
Assets
and
Liabilities
(0.06‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
SAM
Conservative
Growth
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
214
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
375,472‌
$
18,096‌
$
65,245‌
$
395,109‌
Core
Fixed
Income
Fund
150,120‌
14,914‌
31,553‌
139,647‌
Diversified
International
Fund
522,917‌
13,629‌
43,079‌
490,799‌
Diversified
Real
Asset
Fund
108,274‌
2,861‌
24,120‌
80,382‌
Edge
MidCap
Fund
183,785‌
8,072‌
12,478‌
169,404‌
Equity
Income
Fund
525,258‌
73,867‌
30,021‌
523,661‌
Global
Real
Estate
Securities
Fund
106,781‌
6,155‌
6,639‌
87,238‌
Government
&
High
Quality
Bond
Fund
94,691‌
2,642‌
19,363‌
78,739‌
International
Small
Company
Fund
58,855‌
1,939‌
4,629‌
50,431‌
Origin
Emerging
Markets
Fund
61,517‌
1,174‌
10,738‌
56,882‌
Principal
Active
Global
Dividend
Income
ETF
101,443‌
—‌
—‌
98,643‌
Principal
Active
Income
ETF
40,782‌
3,809‌
27,889‌
13,454‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
7,808‌
108,765‌
38,638‌
77,935‌
Principal
Investment
Grade
Corporate
Active
ETF
15,564‌
—‌
15,889‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
395,274‌
—‌
36,044‌
378,690‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
102,963‌
—‌
—‌
92,917‌
Short-Term
Income
Fund
137,658‌
2,781‌
17,241‌
125,706‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
47,789‌
1,652‌
8,413‌
39,644‌
$
3,036,951‌
$
260,356‌
$
391,979‌
$
2,899,281‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
3,041‌
$
8,151‌
$
14,633‌
$
58,635‌
Core
Fixed
Income
Fund
2,769‌
(51‌)
—‌
6,217‌
Diversified
International
Fund
12,172‌
(1,007‌)
—‌
(1,661‌)
Diversified
Real
Asset
Fund
2,586‌
(644‌)
—‌
(5,989‌)
Edge
MidCap
Fund
1,914‌
(358‌)
5,549‌
(9,617‌)
Equity
Income
Fund
7,677‌
(866‌)
14,272‌
(44,577‌)
Global
Real
Estate
Securities
Fund
1,334‌
(690‌)
3,022‌
(18,369‌)
Government
&
High
Quality
Bond
Fund
1,753‌
145‌
—‌
624‌
International
Small
Company
Fund
1,715‌
(33‌)
—‌
(5,701‌)
Origin
Emerging
Markets
Fund
1,115‌
1,378‌
—‌
3,551‌
Principal
Active
Global
Dividend
Income
ETF
1,819‌
—‌
—‌
(2,800‌)
Principal
Active
Income
ETF
1,523‌
(1,756‌)
—‌
(1,492‌)
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
73‌
—‌
—‌
—‌
Principal
Investment
Grade
Corporate
Active
ETF
721‌
1,609‌
128‌
(1,284‌)
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
5,743‌
1,116‌
—‌
18,344‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
1,123‌
—‌
—‌
(10,046‌)
Short-Term
Income
Fund
2,047‌
112‌
—‌
2,396‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
1,567‌
(264‌)
—‌
(1,120‌)
$
50,692‌
$
6,842‌
$
37,604‌
$
(12,889‌)
Amounts
in
thousands.
Schedule
of
Investments
SAM
Flexible
Income
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
215
INVESTMENT
COMPANIES
-
102.47%
Shares
Held
Value
(000's)
Money
Market
Funds
-
4.89%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
131,927,993‌
$
131,928‌
Principal
Exchange-Traded
Funds
-
18.19%
Principal
Active
Global
Dividend
Income
ETF
(a)
4,307,100‌
118,678‌
Principal
Active
Income
ETF
(a)
4,689,042‌
175,603‌
Principal
Investment
Grade
Corporate
Active
ETF
(a)
3,703,702‌
102,156‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
(a)
2,980,095‌
94,111‌
$
490,548‌
Principal
Funds,
Inc.
Class
R-6
-
39.61%
Blue
Chip
Fund
(a)
1,647,163‌
52,001‌
Core
Fixed
Income
Fund
(a)
54,386,924‌
563,449‌
Edge
MidCap
Fund
(a)
2,936,728‌
42,641‌
Global
Diversified
Income
Fund
(a)
5,250,571‌
64,845‌
Global
Real
Estate
Securities
Fund
(a)
8,977,613‌
80,798‌
High
Yield
Fund
(a)
16,847,466‌
117,595‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
(a)
14,534,122‌
146,649‌
$
1,067,978‌
Principal
Funds,
Inc.
Institutional
Class
-
39.78%
Equity
Income
Fund
(a)
6,090,848‌
185,223‌
Government
&
High
Quality
Bond
Fund
(a)
36,650,258‌
389,592‌
Inflation
Protection
Fund
(a)
17,083,995‌
159,052‌
Short-Term
Income
Fund
(a)
26,958,435‌
338,598‌
$
1,072,465‌
TOTAL
INVESTMENT
COMPANIES
$
2,762,919‌
Total
Investments
$
2,762,919‌
Other
Assets
and
Liabilities
-  (2.47)%
(66,575‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,696,344‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Fixed
Income
Funds
73.91‌%
Domestic
Equity
Funds
13.87‌%
International
Equity
Funds
7.40‌%
Money
Market
Funds
4.89‌%
Specialty
Funds
2.40‌%
Other
Assets
and
Liabilities
(2.47‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
SAM
Flexible
Income
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
216
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
46,364‌
$
4,122‌
$
7,518‌
$
52,001‌
Core
Fixed
Income
Fund
662,002‌
38,467‌
169,783‌
563,449‌
Edge
MidCap
Fund
41,613‌
4,551‌
1,495‌
42,641‌
Equity
Income
Fund
187,990‌
21,119‌
7,950‌
185,223‌
Global
Diversified
Income
Fund
133,754‌
11,166‌
67,368‌
64,845‌
Global
Real
Estate
Securities
Fund
103,279‌
9,508‌
13,818‌
80,798‌
Government
&
High
Quality
Bond
Fund
338,748‌
72,702‌
24,732‌
389,592‌
High
Yield
Fund
118,071‌
9,114‌
7,562‌
117,595‌
Inflation
Protection
Fund
171,714‌
4,905‌
29,457‌
159,052‌
Principal
Active
Global
Dividend
Income
ETF
206,205‌
—‌
81,909‌
118,678‌
Principal
Active
Income
ETF
71,724‌
109,030‌
—‌
175,603‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
4,990‌
227,720‌
100,782‌
131,928‌
Principal
Investment
Grade
Corporate
Active
ETF
41,326‌
61,485‌
1,597‌
102,156‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
92,879‌
—‌
4,586‌
94,111‌
Short-Term
Income
Fund
341,851‌
17,162‌
26,926‌
338,598‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
141,989‌
12,700‌
4,523‌
146,649‌
$
2,704,499‌
$
603,751‌
$
550,006‌
$
2,762,919‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
379‌
$
388‌
$
1,814‌
$
8,645‌
Core
Fixed
Income
Fund
12,933‌
4,735‌
—‌
28,028‌
Edge
MidCap
Fund
438‌
(6‌)
1,270‌
(2,022‌)
Equity
Income
Fund
2,861‌
(404‌)
5,170‌
(15,532‌)
Global
Diversified
Income
Fund
5,068‌
(6,551‌)
—‌
(6,156‌)
Global
Real
Estate
Securities
Fund
1,272‌
(512‌)
2,901‌
(17,659‌)
Government
&
High
Quality
Bond
Fund
6,480‌
(773‌)
—‌
3,647‌
High
Yield
Fund
5,114‌
(541‌)
—‌
(1,487‌)
Inflation
Protection
Fund
1,004‌
331‌
—‌
11,559‌
Principal
Active
Global
Dividend
Income
ETF
3,697‌
(1,932‌)
—‌
(3,686‌)
Principal
Active
Income
ETF
2,613‌
—‌
—‌
(5,151‌)
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
60‌
—‌
—‌
—‌
Principal
Investment
Grade
Corporate
Active
ETF
2,013‌
120‌
340‌
822‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
1,390‌
760‌
—‌
5,058‌
Short-Term
Income
Fund
5,232‌
(194‌)
—‌
6,705‌
Spectrum
Preferred
and
Capital
Securities
Income
Fund
5,254‌
(141‌)
—‌
(3,376‌)
$
55,808‌
$
(4,720‌)
$
11,495‌
$
9,395‌
Amounts
in
thousands.
Schedule
of
Investments
SAM
Strategic
Growth
Portfolio
July
31,
2020
(unaudited)
See
accompanying
notes.
217
INVESTMENT
COMPANIES
-
100.07%
Shares
Held
Value
(000's)
Money
Market
Funds
-
1.60%
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c)
29,202,408‌
$
29,202‌
Principal
Exchange-Traded
Funds
-
18.89%
Principal
Active
Global
Dividend
Income
ETF
(a)
2,287,000‌
63,016‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
(a)
6,647,800‌
209,937‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
(a)
2,534,500‌
71,476‌
$
344,429‌
Principal
Funds,
Inc.
Class
R-6
-
59.58%
Blue
Chip
Fund
(a)
9,391,421‌
296,487‌
Diversified
International
Fund
(a)
29,891,959‌
372,454‌
Edge
MidCap
Fund
(a)
8,086,677‌
117,419‌
Global
Real
Estate
Securities
Fund
(a)
7,138,327‌
64,245‌
International
Small
Company
Fund
(a)
3,619,357‌
36,375‌
LargeCap
Growth
Fund
I
(a)
5,205,626‌
99,167‌
Origin
Emerging
Markets
Fund
(a)
8,181,078‌
100,218‌
$
1,086,365‌
Principal
Funds,
Inc.
Institutional
Class
-
20.00%
Equity
Income
Fund
(a)
10,699,300‌
325,366‌
LargeCap
Value
Fund
III
(a)
2,636,238‌
39,280‌
$
364,646‌
TOTAL
INVESTMENT
COMPANIES
$
1,824,642‌
Total
Investments
$
1,824,642‌
Other
Assets
and
Liabilities
-  (0.07)%
(1,216‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,823,426‌
(a)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(b)
Non-income
producing
security
(c)
Current
yield
shown
is
as
of
period
end.
Portfolio
Summary  (unaudited)
Fund
Type
Percent
Domestic
Equity
Funds
63.57‌%
Fixed
Income
Funds
20.43‌%
International
Equity
Funds
14.47‌%
Money
Market
Funds
1.60‌%
Other
Assets
and
Liabilities
(0.07‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Blue
Chip
Fund
$
285,159‌
$
14,233‌
$
52,120‌
$
296,487‌
Diversified
International
Fund
403,207‌
12,865‌
41,694‌
372,454‌
Edge
MidCap
Fund
124,535‌
6,687‌
7,218‌
117,419‌
Equity
Income
Fund
352,436‌
20,082‌
16,482‌
325,366‌
Global
Real
Estate
Securities
Fund
99,188‌
6,003‌
23,171‌
64,245‌
International
Small
Company
Fund
47,362‌
2,229‌
8,747‌
36,375‌
LargeCap
Growth
Fund
I
92,613‌
8,038‌
16,768‌
99,167‌
LargeCap
Value
Fund
III
45,138‌
3,621‌
3,015‌
39,280‌
Origin
Emerging
Markets
Fund
100,810‌
2,464‌
12,141‌
100,218‌
Principal
Active
Global
Dividend
Income
ETF
109,292‌
—‌
43,298‌
63,016‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
6,346‌
88,002‌
65,146‌
29,202‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
134,670‌
77,376‌
7,972‌
209,937‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
79,203‌
—‌
—‌
71,476‌
$
1,879,959‌
$
241,600‌
$
297,772‌
$
1,824,642‌
Income
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Blue
Chip
Fund
$
2,321‌
$
2,117‌
$
11,164‌
$
47,098‌
Diversified
International
Fund
9,429‌
(970‌)
—‌
(954‌)
Edge
MidCap
Fund
1,304‌
(425‌)
3,777‌
(6,160‌)
Equity
Income
Fund
5,230‌
(1,534‌)
9,664‌
(29,136‌)
Global
Real
Estate
Securities
Fund
1,248‌
(1,299‌)
2,814‌
(16,476‌)
International
Small
Company
Fund
1,345‌
(306‌)
—‌
(4,163‌)
LargeCap
Growth
Fund
I
250‌
170‌
7,119‌
15,114‌
LargeCap
Value
Fund
III
1,045‌
(361‌)
1,856‌
(6,103‌)
Origin
Emerging
Markets
Fund
1,828‌
93‌
—‌
8,992‌
Principal
Active
Global
Dividend
Income
ETF
1,960‌
2,372‌
—‌
(5,350‌)
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
52‌
—‌
—‌
—‌
Principal
U.S.
Mega-Cap
Multi-Factor
Index
ETF
1,916‌
(1,053‌)
—‌
6,916‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
864‌
—‌
—‌
(7,727‌)
$
28,792‌
$
(1,196‌)
$
36,394‌
$
2,051‌
Amounts
in
thousands.
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
218
INVESTMENT
COMPANIES
-
0.68%
Shares
Held
Value
(000's)
Money
Market
Funds
-
0.68%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
587,801‌
$
588‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
37,652,414‌
37,652‌
$
38,240‌
TOTAL
INVESTMENT
COMPANIES
$
38,240‌
BONDS
-
88.23%
Principal
Amount
(000's)
Value
(000's)
Aerospace
&
Defense
-
0.51%
General
Dynamics
Corp
3.00%,
05/11/2021
$
9,750‌
$
9,952‌
3.25%,
04/01/2025
5,400‌
6,035‌
Northrop
Grumman
Corp
2.08%,
10/15/2020
4,850‌
4,867‌
Raytheon
Technologies
Corp
3.20%,
03/15/2024
(e)
6,750‌
7,321‌
$
28,175‌
Agriculture
-
0.18%
Cargill
Inc
1.38%,
07/23/2023
(e)
9,800‌
10,026‌
Airlines
-
0.27%
Alaska
Airlines
2020-1
Class
A
Pass
Through
Trust
4.80%,
02/15/2029
(e)
7,800‌
8,082‌
American
Airlines
2013-2
Class
A
Pass
Through
Trust
4.95%,
07/15/2024
8,791‌
7,132‌
$
15,214‌
Automobile
Asset
Backed
Securities
-
6.02%
AmeriCredit
Automobile
Receivables
2015-4
3.72%,
12/08/2021
4,467‌
4,470‌
Americredit
Automobile
Receivables
Trust
2018-1
3.07%,
12/19/2022
5,158‌
5,204‌
Americredit
Automobile
Receivables
Trust
2018-2
3.15%,
03/20/2023
5,489‌
5,560‌
Americredit
Automobile
Receivables
Trust
2019-1
2.93%,
06/20/2022
2,513‌
2,522‌
2.97%,
11/20/2023
7,300‌
7,456‌
Americredit
Automobile
Receivables
Trust
2019-2
2.28%,
01/18/2024
14,600‌
14,901‌
2.43%,
09/19/2022
4,677‌
4,700‌
AmeriCredit
Automobile
Receivables
Trust
2019-3
2.17%,
01/18/2023
7,311‌
7,363‌
AmeriCredit
Automobile
Receivables
Trust
2020-1
1.10%,
03/20/2023
8,900‌
8,936‌
AmeriCredit
Automobile
Receivables
Trust
2020-2
0.60%,
12/18/2023
13,500‌
13,511‌
Bank
of
The
West
Auto
Trust
2019-1
2.40%,
10/17/2022
(e)
3,808‌
3,832‌
Capital
Auto
Receivables
Asset
Trust
2018-2
3.27%,
06/20/2023
(e)
6,455‌
6,499‌
CPS
Auto
Receivables
Trust
2019-A
3.18%,
06/15/2022
(e)
806‌
808‌
CPS
Auto
Receivables
Trust
2019-B
2.89%,
05/16/2022
(e)
1,444‌
1,448‌
CPS
Auto
Receivables
Trust
2019-C
2.55%,
09/15/2022
(e)
3,543‌
3,558‌
CPS
Auto
Receivables
Trust
2019-D
2.17%,
12/15/2022
(e)
5,587‌
5,620‌
CPS
Auto
Receivables
Trust
2020-A
2.09%,
05/15/2023
(e)
8,272‌
8,341‌
CPS
Auto
Receivables
Trust
2020-B
1.15%,
07/17/2023
(e)
6,780‌
6,801‌
Ford
Credit
Auto
Owner
Trust
2016-REV2
2.03%,
12/15/2027
(e)
14,000‌
14,171‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Asset
Backed
Securities
(continued)
Ford
Credit
Auto
Owner
Trust
2017-REV1
2.62%,
08/15/2028
(e)
$
11,500‌
$
11,851‌
Ford
Credit
Auto
Owner
Trust
2018-REV2
3.47%,
01/15/2030
(e)
14,600‌
15,571‌
Ford
Credit
Auto
Owner
Trust
2019-REV1
3.52%,
07/15/2030
(e)
11,700‌
12,642‌
Ford
Credit
Auto
Owner
Trust
2020-REV1
2.04%,
08/15/2031
(e)
13,000‌
13,457‌
OneMain
Direct
Auto
Receivables
Trust
2018-1
3.43%,
12/16/2024
(e)
16,000‌
16,191‌
OneMain
Direct
Auto
Receivables
Trust
2019-1
3.63%,
09/14/2027
(e)
16,750‌
18,049‌
Santander
Drive
Auto
Receivables
Trust
2019-2
2.63%,
07/15/2022
247‌
247‌
Santander
Drive
Auto
Receivables
Trust
2019-3
2.28%,
02/15/2022
3,577‌
3,581‌
Santander
Drive
Auto
Receivables
Trust
2020-2
0.62%,
05/15/2023
12,000‌
12,006‌
TCF
Auto
Receivables
Owner
Trust
2016-PT1
1.93%,
06/15/2022
(e)
1,152‌
1,154‌
Toyota
Auto
Loan
Extended
Note
Trust
2019-1
2.56%,
11/25/2031
(e)
17,000‌
18,161‌
Toyota
Auto
Loan
Extended
Note
Trust
2020-1
1.35%,
05/25/2033
(e)
6,100‌
6,262‌
Westlake
Automobile
Receivables
Trust
2018-2
3.20%,
01/16/2024
(e)
331‌
331‌
Westlake
Automobile
Receivables
Trust
2018-3
3.32%,
10/16/2023
(e)
10,687‌
10,737‌
Westlake
Automobile
Receivables
Trust
2019-1
3.06%,
05/16/2022
(e)
3,024‌
3,038‌
3.26%,
10/17/2022
(e)
13,150‌
13,342‌
Westlake
Automobile
Receivables
Trust
2019-2
2.57%,
02/15/2023
(e)
6,552‌
6,605‌
2.62%,
07/15/2024
(e)
8,800‌
8,925‌
Westlake
Automobile
Receivables
Trust
2019-3
2.15%,
02/15/2023
(e)
12,162‌
12,262‌
Westlake
Automobile
Receivables
Trust
2020-2
0.93%,
02/15/2024
(e)
11,000‌
11,053‌
World
Omni
Select
Auto
Trust
2019-A
2.06%,
08/15/2023
14,133‌
14,247‌
$
335,413‌
Automobile
Floor
Plan
Asset
Backed
Securities
-
1.40%
Ally
Master
Owner
Trust
2.70%,
01/17/2023
14,250‌
14,373‌
3.29%,
05/15/2023
19,500‌
19,892‌
Ford
Credit
Floorplan
Master
Owner
Trust
A
0.57%,
10/15/2023
8,750‌
8,728‌
1.00
x
1
Month
USD
LIBOR
+
0.40%
Navistar
Financial
Dealer
Note
Master
Owner
Trust
II
0.80%,
09/25/2023
(e)
11,500‌
11,496‌
1.00
x
1
Month
USD
LIBOR
+
0.63%
Volvo
Financial
Equipment
Master
Owner
Trust
0.67%,
11/15/2022
(e)
8,750‌
8,757‌
1.00
x
1
Month
USD
LIBOR
+
0.50%
0.69%,
07/17/2023
(e)
14,600‌
14,554‌
1.00
x
1
Month
USD
LIBOR
+
0.52%
$
77,800‌
Automobile
Manufacturers
-
0.62%
Ford
Motor
Credit
Co
LLC
1.58%,
03/28/2022
5,000‌
4,800‌
3
Month
USD
LIBOR
+
1.27%
General
Motors
Financial
Co
Inc
1.12%,
04/09/2021
9,700‌
9,678‌
3
Month
USD
LIBOR
+
0.85%
PACCAR
Financial
Corp
3.10%,
05/10/2021
9,750‌
9,962‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
219
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Automobile
Manufacturers
(continued)
Toyota
Motor
Credit
Corp
2.60%,
01/11/2022
$
9,600‌
$
9,910‌
$
34,350‌
Banks
-
18.49%
Bank
of
America
Corp
1.32%,
06/19/2026
(f)
19,400‌
19,636‌
United
States
Secured
Overnight
Financing
Rate
+
1.15%
1.43%,
01/20/2023
28,400‌
28,689‌
3
Month
USD
LIBOR
+
1.16%
2.50%,
10/21/2022
12,000‌
12,306‌
2.63%,
10/19/2020
15,750‌
15,828‌
3.00%,
12/20/2023
(f)
10,347‌
10,904‌
3
Month
USD
LIBOR
+
0.79%
4.20%,
08/26/2024
24,500‌
27,458‌
Bank
of
New
York
Mellon
Corp/The
1.32%,
10/30/2023
24,500‌
24,854‌
3
Month
USD
LIBOR
+
1.05%
2.10%,
10/24/2024
9,750‌
10,360‌
2.50%,
04/15/2021
5,700‌
5,781‌
BNP
Paribas
SA
3.50%,
03/01/2023
(e)
9,750‌
10,390‌
Capital
One
NA
1.42%,
01/30/2023
14,400‌
14,463‌
3
Month
USD
LIBOR
+
1.15%
Citigroup
Inc
1.20%,
04/25/2022
19,800‌
19,998‌
3
Month
USD
LIBOR
+
0.96%
1.78%,
09/01/2023
10,000‌
10,156‌
3
Month
USD
LIBOR
+
1.43%
2.70%,
03/30/2021
28,900‌
29,348‌
3.50%,
05/15/2023
9,750‌
10,454‌
4.00%,
08/05/2024
10,750‌
11,870‌
4.04%,
06/01/2024
(f)
4,750‌
5,168‌
3
Month
USD
LIBOR
+
1.02%
Credit
Suisse
AG/New
York
NY
2.10%,
11/12/2021
9,750‌
9,967‌
Credit
Suisse
Group
AG
2.59%,
09/11/2025
(e),(f)
5,000‌
5,242‌
United
States
Secured
Overnight
Financing
Rate
+
1.56%
4.21%,
06/12/2024
(e),(f)
17,900‌
19,427‌
3
Month
USD
LIBOR
+
1.24%
Credit
Suisse
Group
Funding
Guernsey
Ltd
3.13%,
12/10/2020
700‌
707‌
Fifth
Third
Bancorp
2.60%,
06/15/2022
13,400‌
13,892‌
3.65%,
01/25/2024
9,800‌
10,744‌
4.30%,
01/16/2024
15,700‌
17,359‌
Fifth
Third
Bank
NA
2.25%,
06/14/2021
7,700‌
7,816‌
First
Republic
Bank/CA
1.91%,
02/12/2024
(f)
11,000‌
11,321‌
United
States
Secured
Overnight
Financing
Rate
+
0.62%
Goldman
Sachs
Group
Inc/The
1.35%,
04/26/2022
10,450‌
10,502‌
3
Month
USD
LIBOR
+
1.11%
2.13%,
02/25/2021
9,600‌
9,690‌
3
Month
USD
LIBOR
+
1.77%
3.00%,
04/26/2022
24,050‌
24,489‌
3.20%,
02/23/2023
10,000‌
10,638‌
HSBC
Holdings
PLC
2.63%,
11/07/2025
(f)
9,300‌
9,732‌
3
Month
USD
LIBOR
+
1.14%
3.95%,
05/18/2024
(f)
9,750‌
10,513‌
3
Month
USD
LIBOR
+
0.99%
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
Huntington
Bancshares
Inc/OH
2.63%,
08/06/2024
$
9,800‌
$
10,479‌
ING
Groep
NV
3.15%,
03/29/2022
6,800‌
7,079‌
JPMorgan
Chase
&
Co
1.14%,
04/25/2023
38,500‌
38,806‌
3
Month
USD
LIBOR
+
0.90%
1.49%,
10/24/2023
15,000‌
15,231‌
3
Month
USD
LIBOR
+
1.23%
1.51%,
06/01/2024
(f)
14,700‌
15,054‌
United
States
Secured
Overnight
Financing
Rate
+
1.46%
2.30%,
08/15/2021
9,500‌
9,505‌
3.88%,
09/10/2024
5,249‌
5,876‌
4.25%,
10/15/2020
22,250‌
22,426‌
KeyBank
NA/Cleveland
OH
1.25%,
03/10/2023
13,200‌
13,465‌
2.40%,
06/09/2022
9,600‌
9,937‌
3.30%,
02/01/2022
4,750‌
4,955‌
KeyCorp
5.10%,
03/24/2021
21,000‌
21,641‌
Morgan
Stanley
0.80%,
01/20/2023
9,800‌
9,817‌
United
States
Secured
Overnight
Financing
Rate
+
0.70%
1.66%,
10/24/2023
38,600‌
39,208‌
3
Month
USD
LIBOR
+
1.40%
1.67%,
04/21/2021
20,700‌
20,869‌
3
Month
USD
LIBOR
+
1.40%
4.10%,
05/22/2023
10,200‌
11,091‌
MUFG
Union
Bank
NA
2.10%,
12/09/2022
14,750‌
15,273‌
Natwest
Group
PLC
4.27%,
03/22/2025
(f)
9,750‌
10,737‌
3
Month
USD
LIBOR
+
1.76%
PNC
Bank
NA
0.74%,
07/27/2022
9,600‌
9,663‌
3
Month
USD
LIBOR
+
0.50%
2.70%,
11/01/2022
10,965‌
11,490‌
PNC
Financial
Services
Group
Inc/The
3.90%,
04/29/2024
9,850‌
10,987‌
Societe
Generale
SA
2.63%,
01/22/2025
(e)
9,700‌
10,028‌
State
Street
Corp
2.35%,
11/01/2025
(f)
9,800‌
10,510‌
United
States
Secured
Overnight
Financing
Rate
+
0.94%
3.10%,
05/15/2023
24,100‌
25,868‌
Truist
Bank
1.15%,
08/02/2022
9,750‌
9,791‌
3
Month
USD
LIBOR
+
0.59%
2.45%,
08/01/2022
15,500‌
16,086‌
2.63%,
01/15/2022
14,400‌
14,852‌
Truist
Financial
Corp
2.05%,
05/10/2021
9,500‌
9,617‌
2.70%,
01/27/2022
3,832‌
3,955‌
2.90%,
03/03/2021
12,500‌
12,664‌
UBS
AG/London
1.75%,
04/21/2022
(e)
11,750‌
11,996‌
UBS
Group
AG
1.01%,
07/30/2024
(e),(f)
7,000‌
7,035‌
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
0.83%
3.49%,
05/23/2023
(e)
11,450‌
11,998‌
US
Bancorp
0.90%,
01/24/2022
(g)
5,751‌
5,789‌
3
Month
USD
LIBOR
+
0.64%
3.60%,
09/11/2024
14,400‌
16,095‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
220
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Banks
(continued)
US
Bank
NA/Cincinnati
OH
1.95%,
01/09/2023
$
14,750‌
$
15,318‌
2.05%,
10/23/2020
9,700‌
9,725‌
2.65%,
05/23/2022
10,000‌
10,402‌
Wells
Fargo
&
Co
1.65%,
06/02/2024
(f)
19,600‌
19,979‌
United
States
Secured
Overnight
Financing
Rate
+
1.60%
2.16%,
02/11/2026
(f)
9,800‌
10,217‌
3
Month
USD
LIBOR
+
0.75%
2.19%,
04/30/2026
(f)
14,600‌
15,254‌
United
States
Secured
Overnight
Financing
Rate
+
2.00%
2.41%,
10/30/2025
(f)
10,000‌
10,523‌
3
Month
USD
LIBOR
+
0.83%
3.07%,
01/24/2023
19,000‌
19,670‌
$
1,030,663‌
Beverages
-
1.19%
Anheuser-Busch
InBev
Finance
Inc
3.65%,
02/01/2026
8,700‌
9,878‌
Anheuser-Busch
InBev
Worldwide
Inc
4.15%,
01/23/2025
19,250‌
21,967‌
Diageo
Capital
PLC
1.38%,
09/29/2025
7,800‌
8,065‌
Keurig
Dr
Pepper
Inc
3.55%,
05/25/2021
16,250‌
16,657‌
PepsiCo
Inc
2.15%,
10/14/2020
9,500‌
9,520‌
$
66,087‌
Biotechnology
-
0.65%
Amgen
Inc
2.20%,
02/21/2027
14,750‌
15,742‌
2.65%,
05/11/2022
9,600‌
9,969‌
Biogen
Inc
3.63%,
09/15/2022
8,000‌
8,529‌
4.05%,
09/15/2025
1,500‌
1,735‌
$
35,975‌
Building
Materials
-
0.30%
Martin
Marietta
Materials
Inc
4.25%,
07/02/2024
15,415‌
16,941‌
Chemicals
-
0.95%
Air
Liquide
Finance
SA
1.75%,
09/27/2021
(e)
6,750‌
6,845‌
Celanese
US
Holdings
LLC
3.50%,
05/08/2024
9,800‌
10,448‌
Chevron
Phillips
Chemical
Co
LLC
/
Chevron
Phillips
Chemical
Co
LP
3.30%,
05/01/2023
(e)
7,300‌
7,720‌
DuPont
de
Nemours
Inc
4.21%,
11/15/2023
10,475‌
11,567‌
International
Flavors
&
Fragrances
Inc
3.40%,
09/25/2020
4,900‌
4,916‌
Westlake
Chemical
Corp
3.60%,
07/15/2022
9,272‌
9,641‌
3.60%,
08/15/2026
1,925‌
2,106‌
$
53,243‌
Commercial
Mortgage
Backed
Securities
-
2.81%
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
0.53%,
01/25/2025
9,800‌
9,817‌
0.80%,
02/25/2030
29,500‌
29,598‌
0.81%,
10/25/2029
(h),(i)
39,000‌
38,998‌
0.83%,
10/25/2029
19,600‌
19,651‌
1.02%,
09/25/2029
35,574‌
35,936‌
Ginnie
Mae
0.42%,
09/16/2055
(j),(k)
17,214‌
403‌
0.57%,
10/16/2054
(j),(k)
37,550‌
837‌
0.58%,
01/16/2054
(j),(k)
35,331‌
812‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Commercial
Mortgage
Backed
Securities
(continued)
Ginnie
Mae  
(continued)
0.69%,
02/16/2048
(j),(k)
$
20,869‌
$
509‌
0.72%,
02/16/2055
(j),(k)
57,490‌
960‌
0.79%,
01/16/2055
(j),(k)
79,040‌
2,266‌
0.91%,
06/16/2045
(j),(k)
34,990‌
1,473‌
1.07%,
08/16/2042
(j),(k)
21,436‌
625‌
1.22%,
10/16/2051
(j),(k)
2,705‌
157‌
1.23%,
02/16/2046
(j),(k)
41,558‌
1,963‌
1.26%,
12/16/2036
(j),(k)
14,115‌
393‌
GS
Mortgage
Securities
Trust
2017-GS6
1.95%,
05/10/2050
7,536‌
7,583‌
JPMDB
Commercial
Mortgage
Securities
Trust
2016-C4
1.54%,
12/15/2049
4,410‌
4,417‌
$
156,398‌
Commercial
Services
-
0.27%
PayPal
Holdings
Inc
1.35%,
06/01/2023
14,600‌
14,962‌
Computers
-
0.90%
Apple
Inc
0.75%,
05/11/2023
9,800‌
9,911‌
1.13%,
05/11/2025
13,000‌
13,359‌
Dell
International
LLC
/
EMC
Corp
5.45%,
06/15/2023
(e)
9,800‌
10,798‌
Hewlett
Packard
Enterprise
Co
4.45%,
10/02/2023
14,700‌
16,136‌
$
50,204‌
Consumer
Products
-
0.17%
Reckitt
Benckiser
Treasury
Services
PLC
0.86%,
06/24/2022
(e)
9,600‌
9,596‌
3
Month
USD
LIBOR
+
0.56%
Credit
Card
Asset
Backed
Securities
-
0.68%
BA
Credit
Card
Trust
1.74%,
01/15/2025
37,000‌
38,045‌
Diversified
Financial
Services
-
1.49%
American
Express
Co
2.75%,
05/20/2022
9,800‌
10,202‌
3.00%,
02/22/2021
18,594‌
18,828‌
3.70%,
11/05/2021
6,850‌
7,115‌
Capital
One
Bank
USA
NA
2.01%,
01/27/2023
(f)
19,750‌
20,112‌
United
States
Secured
Overnight
Financing
Rate
+
0.62%
Capital
One
Financial
Corp
3.90%,
01/29/2024
7,900‌
8,649‌
USAA
Capital
Corp
1.50%,
05/01/2023
(e)
3,000‌
3,090‌
2.45%,
08/01/2020
(e)
4,990‌
4,990‌
2.63%,
06/01/2021
(e)
9,800‌
9,991‌
$
82,977‌
Electric
-
5.55%
Alabama
Power
Co
2.45%,
03/30/2022
14,250‌
14,708‌
Alliant
Energy
Finance
LLC
3.75%,
06/15/2023
(e)
17,100‌
18,447‌
Berkshire
Hathaway
Energy
Co
4.05%,
04/15/2025
(e)
5,000‌
5,751‌
Black
Hills
Corp
4.25%,
11/30/2023
27,000‌
29,545‌
CenterPoint
Energy
Inc
3.60%,
11/01/2021
14,700‌
15,268‌
Dominion
Energy
Inc
2.72%,
08/15/2021
(k)
9,800‌
10,007‌
3.07%,
08/15/2024
(k)
9,800‌
10,644‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
221
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Electric
(continued)
DTE
Energy
Co
2.25%,
11/01/2022
$
9,750‌
$
10,095‌
2.53%,
10/01/2024
10,000‌
10,659‌
2.60%,
06/15/2022
9,800‌
10,144‌
Duke
Energy
Florida
LLC
3.10%,
08/15/2021
5,750‌
5,872‌
Emera
US
Finance
LP
2.70%,
06/15/2021
6,700‌
6,814‌
Evergy
Inc
2.45%,
09/15/2024
9,300‌
9,943‌
Exelon
Corp
3.50%,
06/01/2022
22,500‌
23,561‌
Florida
Power
&
Light
Co
2.85%,
04/01/2025
3,500‌
3,853‌
Fortis
Inc/Canada
3.06%,
10/04/2026
4,600‌
5,042‌
Indiantown
Cogeneration
LP
9.77%,
12/15/2020
774‌
777‌
LG&E
and
KU
Energy
LLC
4.38%,
10/01/2021
15,000‌
15,483‌
NextEra
Energy
Capital
Holdings
Inc
2.40%,
09/01/2021
10,000‌
10,224‌
2.90%,
04/01/2022
14,162‌
14,753‌
3.15%,
04/01/2024
5,600‌
6,102‌
Public
Service
Enterprise
Group
Inc
2.88%,
06/15/2024
7,900‌
8,590‌
San
Diego
Gas
&
Electric
Co
1.91%,
02/01/2022
2,085‌
2,100‌
Sempra
Energy
0.78%,
01/15/2021
14,500‌
14,504‌
3
Month
USD
LIBOR
+
0.50%
Southern
California
Edison
Co
1.85%,
02/01/2022
3,345‌
3,340‌
Tucson
Electric
Power
Co
3.05%,
03/15/2025
4,400‌
4,762‌
Vistra
Operations
Co
LLC
3.70%,
01/30/2027
(e)
19,500‌
20,628‌
WEC
Energy
Group
Inc
3.38%,
06/15/2021
17,600‌
18,061‌
$
309,677‌
Electronics
-
0.57%
Fortive
Corp
2.35%,
06/15/2021
11,700‌
11,885‌
Honeywell
International
Inc
1.85%,
11/01/2021
9,600‌
9,778‌
2.15%,
08/08/2022
9,800‌
10,154‌
$
31,817‌
Environmental
Control
-
0.11%
Republic
Services
Inc
2.50%,
08/15/2024
5,650‌
6,056‌
Finance
-
Mortgage
Loan/Banker
-
7.11%
Fannie
Mae
0.50%,
06/17/2025
52,000‌
52,256‌
1.75%,
07/02/2024
(g)
24,600‌
26,019‌
1.88%,
09/24/2026
74,400‌
80,499‌
2.00%,
01/05/2022
24,000‌
24,634‌
2.13%,
04/24/2026
61,600‌
67,320‌
2.50%,
02/05/2024
(g)
35,250‌
37,997‌
Freddie
Mac
0.25%,
06/26/2023
22,600‌
22,600‌
1.50%,
02/12/2025
58,650‌
61,611‌
2.75%,
06/19/2023
21,650‌
23,229‌
$
396,165‌
Food
-
0.98%
Conagra
Brands
Inc
3.80%,
10/22/2021
19,346‌
20,117‌
Mars
Inc
0.88%,
07/16/2026
(e)
24,000‌
24,008‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Food
(continued)
Tyson
Foods
Inc
0.82%,
08/21/2020
$
4,800‌
$
4,800‌
3
Month
USD
LIBOR
+
0.45%
2.25%,
08/23/2021
5,750‌
5,840‌
$
54,765‌
Forest
Products
&
Paper
-
0.32%
Georgia-Pacific
LLC
1.75%,
09/30/2025
(e)
17,000‌
17,832‌
Gas
-
0.07%
NiSource
Inc
2.65%,
11/17/2022
4,000‌
4,182‌
Healthcare
-
Services
-
0.40%
HCA
Inc
5.25%,
06/15/2026
8,950‌
10,515‌
Humana
Inc
2.50%,
12/15/2020
4,900‌
4,940‌
UnitedHealth
Group
Inc
1.95%,
10/15/2020
6,750‌
6,773‌
$
22,228‌
Home
Builders
-
0.19%
DR
Horton
Inc
2.50%,
10/15/2024
9,800‌
10,427‌
Home
Furnishings
-
0.28%
Panasonic
Corp
2.54%,
07/19/2022
(e)
9,800‌
10,111‌
2.68%,
07/19/2024
(e)
5,000‌
5,370‌
$
15,481‌
Insurance
-
4.78%
Allstate
Corp/The
0.94%,
03/29/2023
12,500‌
12,591‌
3
Month
USD
LIBOR
+
0.63%
3.15%,
06/15/2023
11,450‌
12,306‌
Berkshire
Hathaway
Inc
2.75%,
03/15/2023
5,500‌
5,829‌
Five
Corners
Funding
Trust
4.42%,
11/15/2023
(e)
26,875‌
30,116‌
Guardian
Life
Global
Funding
1.10%,
06/23/2025
(e)
9,250‌
9,347‌
MassMutual
Global
Funding
II
0.85%,
06/09/2023
(e)
19,500‌
19,725‌
2.00%,
04/15/2021
(e)
31,938‌
32,330‌
2.75%,
06/22/2024
(e)
13,000‌
14,013‌
Metropolitan
Life
Global
Funding
I
0.67%,
09/07/2020
(e)
9,750‌
9,754‌
United
States
Secured
Overnight
Financing
Rate
+
0.57%
0.90%,
06/08/2023
(e)
13,400‌
13,561‌
1.95%,
09/15/2021
(e)
28,175‌
28,681‌
3.60%,
01/11/2024
(e)
5,000‌
5,524‌
New
York
Life
Global
Funding
0.83%,
06/10/2022
(e)
24,000‌
24,137‌
3
Month
USD
LIBOR
+
0.52%
1.70%,
09/14/2021
(e)
750‌
761‌
2.00%,
04/13/2021
(e)
9,600‌
9,718‌
2.00%,
01/22/2025
(e)
9,800‌
10,406‌
2.30%,
06/10/2022
(e)
13,200‌
13,688‌
Prudential
Financial
Inc
1.50%,
03/10/2026
13,700‌
14,165‌
$
266,652‌
Internet
-
0.36%
Amazon.com
Inc
1.20%,
06/03/2027
19,500‌
20,044‌
Iron
&
Steel
-
0.09%
Nucor
Corp
2.00%,
06/01/2025
4,500‌
4,741‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
222
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Machinery
-
Construction
&
Mining
-
0.18%
Caterpillar
Financial
Services
Corp
2.55%,
11/29/2022
$
9,700‌
$
10,181‌
Machinery
-
Diversified
-
0.51%
John
Deere
Capital
Corp
1.20%,
04/06/2023
6,100‌
6,238‌
2.65%,
01/06/2022
7,212‌
7,457‌
Otis
Worldwide
Corp
0.75%,
04/05/2023
(e)
14,750‌
14,701‌
3
Month
USD
LIBOR
+
0.45%
$
28,396‌
Media
-
1.14%
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
4.91%,
07/23/2025
14,700‌
17,068‌
Discovery
Communications
LLC
4.90%,
03/11/2026
4,000‌
4,690‌
Sky
Ltd
3.13%,
11/26/2022
(e)
8,900‌
9,447‌
ViacomCBS
Inc
4.75%,
05/15/2025
14,850‌
17,100‌
Walt
Disney
Co/The
1.75%,
01/13/2026
14,350‌
14,998‌
$
63,303‌
Mining
-
0.20%
Anglo
American
Capital
PLC
5.38%,
04/01/2025
(e)
9,600‌
11,065‌
Miscellaneous
Manufacturers
-
0.26%
Trane
Technologies
Global
Holding
Co
Ltd
2.90%,
02/21/2021
14,500‌
14,685‌
Mortgage
Backed
Securities
-
5.24%
Banc
of
America
Funding
2004-1
Trust
5.25%,
02/25/2019
9‌
10‌
Chase
Home
Lending
Mortgage
Trust
2019-1
3.50%,
03/25/2050
(e),(k)
9,435‌
9,640‌
CHL
Mortgage
Pass-Through
Trust
2003-46
4.02%,
01/19/2034
(k)
300‌
290‌
Credit
Suisse
First
Boston
Mortgage
Securities
Corp
5.00%,
09/25/2019
5‌
4‌
CSMC
2017-HL1
Trust
3.50%,
06/25/2047
(e),(k)
8,071‌
8,180‌
CSMC
2017-HL2
Trust
3.50%,
10/25/2047
(e),(k)
7,174‌
7,327‌
GS
Mortage-Backed
Securities
Trust
2020-PJ1
3.50%,
05/25/2050
(e),(k)
7,770‌
7,838‌
GS
Mortgage-Backed
Securities
Corp
Trust
2020-PJ3
3.00%,
10/25/2050
(e),(k)
8,202‌
8,315‌
JP
Morgan
Mortgage
Trust
3.00%,
12/25/2050
(e),(k)
5,100‌
5,226‌
JP
Morgan
Mortgage
Trust
2004-A3
3.29%,
07/25/2034
(k)
390‌
368‌
JP
Morgan
Mortgage
Trust
2004-S1
5.00%,
09/25/2034
141‌
143‌
JP
Morgan
Mortgage
Trust
2016-4
3.50%,
10/25/2046
(e),(k)
7,034‌
7,111‌
JP
Morgan
Mortgage
Trust
2017-2
3.50%,
05/25/2047
(e),(k)
5,501‌
5,587‌
JP
Morgan
Mortgage
Trust
2017-4
3.50%,
11/25/2048
(e),(k)
11,336‌
11,417‌
JP
Morgan
Mortgage
Trust
2017-6
3.50%,
12/25/2048
(e),(k)
4,935‌
5,004‌
JP
Morgan
Mortgage
Trust
2018-3
3.50%,
09/25/2048
(e),(k)
7,249‌
7,356‌
JP
Morgan
Mortgage
Trust
2018-4
3.50%,
10/25/2048
(e),(k)
5,171‌
5,280‌
JP
Morgan
Mortgage
Trust
2018-6
3.50%,
12/25/2048
(e),(k)
3,656‌
3,695‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mortgage
Backed
Securities
(continued)
JP
Morgan
Mortgage
Trust
2018-9
4.00%,
02/25/2049
(e),(k)
$
3,004‌
$
3,019‌
JP
Morgan
Mortgage
Trust
2019-2
4.00%,
08/25/2049
(e),(k)
756‌
758‌
JP
Morgan
Mortgage
Trust
2019-5
4.00%,
11/25/2049
(e),(k)
4,920‌
4,964‌
Metlife
Securitization
Trust
2019-1
3.75%,
04/25/2058
(e),(k)
5,596‌
5,914‌
PHH
Mortgage
Trust
Series
2008-CIM1
2.42%,
06/25/2038
1,190‌
1,142‌
1.00
x
1
Month
USD
LIBOR
+
2.25%
PSMC
2018-1
Trust
3.50%,
02/25/2048
(e),(k)
9,790‌
9,902‌
PSMC
2018-2
Trust
3.50%,
06/25/2048
(e),(k)
7,383‌
7,475‌
PSMC
2018-3
Trust
4.00%,
08/25/2048
(e),(k)
2,150‌
2,158‌
PSMC
2018-4
Trust
4.00%,
11/25/2048
(e),(k)
690‌
690‌
PSMC
2019-1
Trust
4.00%,
07/25/2049
(e),(k)
2,601‌
2,616‌
PSMC
2020-1
Trust
3.50%,
01/25/2050
(e),(k)
15,828‌
16,144‌
PSMC
2020-2
Trust
3.00%,
05/25/2050
(e),(k)
11,531‌
11,748‌
RBSSP
Resecuritization
Trust
2009-7
0.58%,
06/26/2037
(e)
77‌
77‌
1.00
x
1
Month
USD
LIBOR
+
0.40%
Sequoia
Mortgage
Trust
2013-4
1.55%,
04/25/2043
(k)
4,447‌
4,427‌
Sequoia
Mortgage
Trust
2013-8
2.25%,
06/25/2043
(k)
1,249‌
1,249‌
Sequoia
Mortgage
Trust
2017-1
3.50%,
02/25/2047
(e),(k)
7,321‌
7,394‌
Sequoia
Mortgage
Trust
2017-2
3.50%,
02/25/2047
(e),(k)
3,512‌
3,588‌
Sequoia
Mortgage
Trust
2017-3
3.50%,
04/25/2047
(e),(k)
5,428‌
5,507‌
Sequoia
Mortgage
Trust
2018-3
3.50%,
03/25/2048
(e),(k)
5,255‌
5,339‌
Sequoia
Mortgage
Trust
2018-5
3.50%,
05/25/2048
(e),(k)
5,245‌
5,291‌
Sequoia
Mortgage
Trust
2018-6
4.00%,
07/25/2048
(e),(k)
1,764‌
1,778‌
Sequoia
Mortgage
Trust
2018-7
4.00%,
09/25/2048
(e),(k)
1,278‌
1,286‌
Sequoia
Mortgage
Trust
2018-8
4.00%,
11/25/2048
(e),(k)
3,233‌
3,250‌
Sequoia
Mortgage
Trust
2018-CH3
4.00%,
08/25/2048
(e),(k)
2,085‌
2,102‌
Sequoia
Mortgage
Trust
2019-1
4.00%,
02/25/2049
(e),(k)
826‌
831‌
Sequoia
Mortgage
Trust
2019-2
4.00%,
06/25/2049
(e),(k)
6,859‌
6,927‌
Sequoia
Mortgage
Trust
2019-3
3.50%,
09/25/2049
(e),(k)
5,818‌
5,902‌
Sequoia
Mortgage
Trust
2020-1
3.50%,
02/25/2050
(e),(k)
3,868‌
3,924‌
Wells
Fargo
Mortgage
Backed
Securities
2018-1
3.50%,
07/25/2047
(e),(k)
9,220‌
9,323‌
Wells
Fargo
Mortgage
Backed
Securities
2019-1
Trust
4.00%,
11/25/2048
(e),(k)
1,728‌
1,742‌
4.00%,
11/25/2048
(e),(k)
702‌
703‌
Wells
Fargo
Mortgage
Backed
Securities
2019-2
Trust
4.00%,
04/25/2049
(e),(k)
2,855‌
2,860‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
223
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Mortgage
Backed
Securities
(continued)
Wells
Fargo
Mortgage
Backed
Securities
2019-3
Trust
3.00%,
07/25/2049
(e),(k)
$
6,839‌
$
6,874‌
Wells
Fargo
Mortgage
Backed
Securities
2019-4
Trust
3.50%,
09/25/2049
(e),(k)
15,560‌
15,839‌
Wells
Fargo
Mortgage
Backed
Securities
2020-1
Trust
3.00%,
12/25/2049
(e),(k)
16,355‌
16,578‌
Wells
Fargo
Mortgage
Backed
Securities
2020-2
Trust
3.00%,
12/25/2049
(e),(k)
14,105‌
14,441‌
Wells
Fargo
Mortgage
Backed
Securities
2020-3
Trust
3.00%,
06/25/2050
(e),(i),(k)
5,560‌
5,689‌
$
292,242‌
Oil
&
Gas
-
1.90%
BP
Capital
Markets
America
Inc
2.94%,
04/06/2023
7,250‌
7,695‌
BP
Capital
Markets
PLC
3.81%,
02/10/2024
5,000‌
5,523‌
Cimarex
Energy
Co
4.38%,
06/01/2024
12,500‌
13,335‌
Exxon
Mobil
Corp
1.57%,
04/15/2023
6,850‌
7,062‌
2.99%,
03/19/2025
9,800‌
10,781‌
Marathon
Petroleum
Corp
4.50%,
05/01/2023
9,800‌
10,619‌
Occidental
Petroleum
Corp
1.68%,
08/13/2021
15,000‌
14,518‌
3
Month
USD
LIBOR
+
1.25%
Phillips
66
0.96%,
02/26/2021
700‌
700‌
3
Month
USD
LIBOR
+
0.60%
3.70%,
04/06/2023
6,850‌
7,358‌
Shell
International
Finance
BV
2.38%,
08/21/2022
11,700‌
12,169‌
Suncor
Energy
Inc
2.80%,
05/15/2023
7,400‌
7,781‌
3.10%,
05/15/2025
7,900‌
8,580‌
$
106,121‌
Oil
&
Gas
Services
-
0.18%
Baker
Hughes
a
GE
Co
LLC
/
Baker
Hughes
Co-
Obligor
Inc
2.77%,
12/15/2022
9,750‌
10,201‌
Other
Asset
Backed
Securities
-
5.72%
CCG
Receivables
Trust
2.80%,
09/14/2026
(e)
11,441‌
11,639‌
CCG
Receivables
Trust
2018-1
2.50%,
06/16/2025
(e)
854‌
858‌
CCG
Receivables
Trust
2018-2
3.09%,
12/15/2025
(e)
7,882‌
7,984‌
CCG
Receivables
Trust
2019-2
2.11%,
03/15/2027
(e)
18,921‌
19,181‌
Daimler
Trucks
Retail
Trust
2019-1
2.77%,
04/15/2021
(e)
1,890‌
1,893‌
Drug
Royalty
III
LP
1
1.87%,
10/15/2031
(e)
2,441‌
2,399‌
1.00
x
3
Month
USD
LIBOR
+
1.60%
2.77%,
04/15/2027
(e)
1,020‌
1,019‌
1.00
x
3
Month
USD
LIBOR
+
2.50%
3.60%,
04/15/2027
(e)
1,020‌
1,024‌
4.27%,
10/15/2031
(e)
2,964‌
3,057‌
MMAF
Equipment
Finance
LLC
2018-A
2.92%,
07/12/2021
(e)
551‌
551‌
MMAF
Equipment
Finance
LLC
2019-A
2.84%,
01/10/2022
(e)
6,228‌
6,275‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Other
Asset
Backed
Securities
(continued)
MMAF
Equipment
Finance
LLC
2020-A
0.74%,
04/09/2024
(e)
$
7,500‌
$
7,525‌
MVW
Owner
Trust
2015-1
2.52%,
12/20/2032
(e)
3,920‌
3,935‌
MVW
Owner
Trust
2016-1
2.25%,
12/20/2033
(e)
2,540‌
2,539‌
MVW
Owner
Trust
2018-1
3.45%,
01/21/2036
(e)
7,519‌
7,805‌
PFS
Financing
Corp
2.23%,
10/15/2024
(e)
29,250‌
29,963‌
2.40%,
10/17/2022
(e)
11,700‌
11,743‌
2.86%,
04/15/2024
(e)
9,750‌
10,040‌
3.19%,
04/17/2023
(e)
8,750‌
8,910‌
3.52%,
10/15/2023
(e)
6,750‌
6,944‌
Trafigura
Securitisation
Finance
PLC
2018-1
3.73%,
03/15/2022
(e)
22,000‌
22,312‌
Verizon
Owner
Trust
2017-2
1.92%,
12/20/2021
(e)
139‌
139‌
Verizon
Owner
Trust
2017-3
2.06%,
04/20/2022
(e)
2,855‌
2,862‌
Verizon
Owner
Trust
2018-1
2.82%,
09/20/2022
(e)
9,486‌
9,569‌
Verizon
Owner
Trust
2018-A
3.23%,
04/20/2023
23,400‌
23,882‌
Verizon
Owner
Trust
2019-A
2.93%,
09/20/2023
13,500‌
13,874‌
Verizon
Owner
Trust
2019-B
2.33%,
12/20/2023
19,500‌
20,023‌
Verizon
Owner
Trust
2019-C
1.94%,
04/22/2024
23,000‌
23,578‌
Verizon
Owner
Trust
2020-A
1.85%,
07/22/2024
22,000‌
22,589‌
Volvo
Financial
Equipment
LLC
Series
2018-1
2.76%,
10/17/2022
(e)
4,900‌
4,980‌
Volvo
Financial
Equipment
LLC
Series
2019-1
3.00%,
03/15/2023
(e)
12,900‌
13,159‌
Volvo
Financial
Equipment
LLC
Series
2019-2
2.02%,
08/15/2022
(e)
9,750‌
9,827‌
VSE
2018-A
VOI
Mortgage
LLC
3.56%,
02/20/2036
(e)
6,567‌
6,758‌
$
318,836‌
Pharmaceuticals
-
2.68%
AbbVie
Inc
2.15%,
11/19/2021
(e)
19,500‌
19,910‌
2.30%,
05/14/2021
14,800‌
14,997‌
Bayer
US
Finance
II
LLC
3.50%,
06/25/2021
(e)
4,750‌
4,865‌
3.88%,
12/15/2023
(e)
5,800‌
6,343‌
Bristol-Myers
Squibb
Co
2.90%,
07/26/2024
8,350‌
9,090‌
3.25%,
08/15/2022
9,750‌
10,310‌
3.63%,
05/15/2024
8,100‌
8,970‌
Cigna
Corp
3.40%,
09/17/2021
9,600‌
9,917‌
CVS
Health
Corp
2.63%,
08/15/2024
10,500‌
11,291‌
3.35%,
03/09/2021
14,216‌
14,472‌
Mead
Johnson
Nutrition
Co
3.00%,
11/15/2020
4,750‌
4,784‌
Merck
&
Co
Inc
0.75%,
02/24/2026
8,800‌
8,934‌
Novartis
Capital
Corp
1.75%,
02/14/2025
14,700‌
15,490‌
Pfizer
Inc
2.80%,
03/11/2022
9,750‌
10,149‌
$
149,522‌
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
224
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pipelines
-
1.82%
Buckeye
Partners
LP
4.15%,
07/01/2023
$
11,300‌
$
11,356‌
Enterprise
Products
Operating
LLC
3.50%,
02/01/2022
19,500‌
20,333‌
Florida
Gas
Transmission
Co
LLC
3.88%,
07/15/2022
(e)
12,550‌
13,104‌
Kinder
Morgan
Inc
1.55%,
01/15/2023
14,500‌
14,511‌
3
Month
USD
LIBOR
+
1.28%
ONEOK
Partners
LP
5.00%,
09/15/2023
13,600‌
14,733‌
Southeast
Supply
Header
LLC
4.25%,
06/15/2024
(e)
11,634‌
11,520‌
TransCanada
PipeLines
Ltd
2.60%,
05/15/2067
23,657‌
16,028‌
3
Month
USD
LIBOR
+
2.21%
$
101,585‌
REITs
-
1.85%
Alexandria
Real
Estate
Equities
Inc
3.90%,
06/15/2023
9,750‌
10,634‌
American
Tower
Corp
2.40%,
03/15/2025
9,600‌
10,273‌
American
Tower
Trust
#1
3.07%,
03/15/2048
(e)
7,100‌
7,297‌
Crown
Castle
International
Corp
1.35%,
07/15/2025
8,750‌
8,934‌
CubeSmart
LP
4.00%,
11/15/2025
1,615‌
1,810‌
4.38%,
12/15/2023
4,000‌
4,410‌
Healthcare
Realty
Trust
Inc
3.75%,
04/15/2023
12,000‌
12,643‌
Omega
Healthcare
Investors
Inc
4.50%,
01/15/2025
7,250‌
7,576‌
4.95%,
04/01/2024
4,750‌
5,040‌
SBA
Tower
Trust
1.88%,
07/15/2050
(e)
5,250‌
5,283‌
3.17%,
04/09/2047
(e)
9,600‌
9,758‌
Ventas
Realty
LP
3.50%,
04/15/2024
9,400‌
9,920‌
Welltower
Inc
3.75%,
03/15/2023
4,920‌
5,219‌
3.95%,
09/01/2023
4,237‌
4,569‌
$
103,366‌
Retail
-
0.39%
McDonald's
Corp
2.75%,
12/09/2020
8,256‌
8,309‌
Walmart
Inc
1.90%,
12/15/2020
6,850‌
6,891‌
2.85%,
07/08/2024
6,000‌
6,546‌
$
21,746‌
Savings
&
Loans
-
0.00%
Washington
Mutual
Bank
/
Henderson
NV
0.00%,
01/15/2013
(d)
1,200‌
—‌
Semiconductors
-
1.21%
Broadcom
Inc
2.25%,
11/15/2023
(e)
6,850‌
7,131‌
4.70%,
04/15/2025
(e)
10,300‌
11,780‌
Microchip
Technology
Inc
4.33%,
06/01/2023
9,800‌
10,563‌
Micron
Technology
Inc
2.50%,
04/24/2023
11,100‌
11,589‌
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.70%,
05/01/2025
(e)
5,300‌
5,680‌
3.15%,
05/01/2027
(e)
9,800‌
10,671‌
QUALCOMM
Inc
2.60%,
01/30/2023
9,750‌
10,269‌
$
67,683‌
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Software
-
0.25%
Intuit
Inc
0.65%,
07/15/2023
$
8,800‌
$
8,856‌
Oracle
Corp
1.90%,
09/15/2021
4,800‌
4,881‌
$
13,737‌
Student
Loan
Asset
Backed
Securities
-
4.24%
Commonbond
Student
Loan
Trust
2018-BGS
3.56%,
09/25/2045
(e)
7,446‌
7,716‌
Commonbond
Student
Loan
Trust
2018-C-GS
3.87%,
02/25/2046
(e)
12,012‌
12,521‌
Commonbond
Student
Loan
Trust
2019-A-GS
2.54%,
01/25/2047
(e)
17,500‌
18,227‌
Commonbond
Student
Loan
Trust
2020-A-GS
1.98%,
08/25/2050
(e)
7,800‌
7,894‌
KeyCorp
Student
Loan
Trust
2000-A
0.68%,
05/25/2029
600‌
599‌
1.00
x
3
Month
USD
LIBOR
+
0.32%
Keycorp
Student
Loan
Trust
2000-b
0.55%,
07/25/2029
7,557‌
7,444‌
1.00
x
3
Month
USD
LIBOR
+
0.31%
KeyCorp
Student
Loan
Trust
2003-A
0.77%,
01/25/2037
15,739‌
15,589‌
1.00
x
3
Month
USD
LIBOR
+
0.53%
Laurel
Road
Prime
Student
Loan
Trust
2019-A
2.34%,
10/25/2048
(e)
2,466‌
2,471‌
Navient
Private
Education
Refi
Loan
Trust
2018-C
3.01%,
06/16/2042
(e)
365‌
365‌
Navient
Private
Education
Refi
Loan
Trust
2018-D
0.47%,
12/15/2059
(e)
819‌
819‌
1.00
x
1
Month
USD
LIBOR
+
0.30%
Navient
Private
Education
Refi
Loan
Trust
2019-A
3.03%,
01/15/2043
(e)
270‌
270‌
3.42%,
01/15/2043
(e)
4,900‌
5,019‌
Navient
Private
Education
Refi
Loan
Trust
2019-C
2.82%,
02/15/2068
(e)
6,887‌
6,929‌
Navient
Private
Education
Refi
Loan
Trust
2019-D
0.57%,
12/15/2059
(e)
3,655‌
3,646‌
1.00
x
1
Month
USD
LIBOR
+
0.40%
Navient
Private
Education
Refi
Loan
Trust
2019-E
2.39%,
05/15/2068
(e)
5,151‌
5,184‌
Navient
Private
Education
Refi
Loan
Trust
2019-F
2.18%,
08/15/2068
(e)
7,332‌
7,370‌
Navient
Private
Education
Refi
Loan
Trust
2019-G
2.40%,
10/15/2068
(e)
16,741‌
17,131‌
Navient
Private
Education
Refi
Loan
Trust
2020-A
0.52%,
11/15/2068
(e)
6,081‌
6,062‌
1.00
x
1
Month
USD
LIBOR
+
0.35%
Navient
Private
Education
Refi
Loan
Trust
2020-B
1.80%,
01/15/2069
(e)
12,267‌
12,327‌
Navient
Private
Education
Refi
Loan
Trust
2020-D
1.69%,
05/15/2069
(e)
17,800‌
17,926‌
Navient
Private
Education
Refi
Loan
Trust
2020-F
1.22%,
07/15/2069
(e)
12,500‌
12,525‌
Navient
Student
Loan
Trust
2018-EA
3.43%,
12/15/2059
(e)
2,998‌
3,012‌
Navient
Student
Loan
Trust
2019-B
0.57%,
12/15/2059
(e)
2,700‌
2,692‌
1.00
x
1
Month
USD
LIBOR
+
0.40%
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
225
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Student
Loan
Asset
Backed
Securities
(continued)
SLM
Private
Credit
Student
Loan
Trust
2004-A
0.71%,
06/15/2033
$
1,083‌
$
1,050‌
1.00
x
3
Month
USD
LIBOR
+
0.40%
SLM
Private
Credit
Student
Loan
Trust
2004-B
0.64%,
03/15/2024
9,273‌
9,154‌
1.00
x
3
Month
USD
LIBOR
+
0.33%
SLM
Private
Credit
Student
Loan
Trust
2006-A
0.60%,
06/15/2039
21,640‌
19,855‌
1.00
x
3
Month
USD
LIBOR
+
0.29%
SLM
Private
Credit
Student
Loan
Trust
2006-B
0.51%,
12/15/2039
12,588‌
12,027‌
1.00
x
3
Month
USD
LIBOR
+
0.20%
SMB
Private
Education
Loan
Trust
2019-A
0.52%,
02/16/2026
(e)
1,567‌
1,566‌
1.00
x
1
Month
USD
LIBOR
+
0.35%
SMB
Private
Education
Loan
Trust
2019-B
0.52%,
07/15/2026
(e)
5,075‌
5,062‌
1.00
x
1
Month
USD
LIBOR
+
0.35%
SMB
Private
Education
Loan
Trust
2020-A
0.47%,
03/15/2027
(e)
13,940‌
13,870‌
1.00
x
1
Month
USD
LIBOR
+
0.30%
$
236,322‌
Telecommunications
-
2.33%
AT&T
Inc
1.10%,
06/01/2021
3,500‌
3,515‌
3
Month
USD
LIBOR
+
0.75%
1.31%,
02/15/2023
8,525‌
8,534‌
3
Month
USD
LIBOR
+
0.89%
2.30%,
06/01/2027
24,500‌
25,949‌
3.60%,
02/17/2023
4,800‌
5,149‌
Cisco
Systems
Inc
2.20%,
02/28/2021
4,750‌
4,787‌
Crown
Castle
Towers
LLC
3.22%,
05/15/2022
(e)
14,500‌
14,740‌
3.72%,
07/15/2043
(e)
1,263‌
1,320‌
Sprint
Spectrum
Co
LLC
/
Sprint
Spectrum
Co
II
LLC
/
Sprint
Spectrum
Co
III
LLC
3.36%,
03/20/2023
(e)
11,984‌
12,134‌
4.74%,
03/20/2025
(e)
39,800‌
43,282‌
Vodafone
Group
PLC
3.75%,
01/16/2024
9,750‌
10,706‌
$
130,116‌
Transportation
-
0.23%
Ryder
System
Inc
2.25%,
09/01/2021
4,800‌
4,874‌
3.75%,
06/09/2023
7,300‌
7,857‌
$
12,731‌
Trucking
&
Leasing
-
0.19%
Penske
Truck
Leasing
Co
Lp
/
PTL
Finance
Corp
3.45%,
07/01/2024
(e)
9,800‌
10,676‌
TOTAL
BONDS
$
4,918,650‌
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
-
11.19%
Principal
Amount
(000's)
Value
(000's)
Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
-
0.00%
3.81%,
09/01/2035
$
38‌
$
40‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.25%
7.00%,
12/01/2022
39‌
40‌
$
80‌
Federal
National
Mortgage
Association
(FNMA)
-
0.01%
3.22%,
07/01/2034
39‌
39‌
1.00
x
12
Month
USD
LIBOR
+
1.64%
3.30%,
07/01/2034
11‌
11‌
1.00
x
12
Month
USD
LIBOR
+
1.64%
3.40%,
08/01/2034
26‌
27‌
1.00
x
12
Month
USD
LIBOR
+
1.63%
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Federal
National
Mortgage
Association
(FNMA)
(continued)
3.41%,
02/01/2037
$
56‌
$
57‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.13%
3.59%,
02/01/2035
13‌
13‌
1.00
x
6
Month
USD
LIBOR
+
2.07%
3.64%,
12/01/2032
13‌
13‌
1.00
x
12
Month
USD
LIBOR
+
1.64%
3.75%,
01/01/2035
26‌
27‌
1.00
x
12
Month
USD
LIBOR
+
1.75%
3.92%,
10/01/2035
83‌
83‌
1.00
x
12
Month
USD
LIBOR
+
1.67%
4.04%,
11/01/2032
24‌
24‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.29%
4.05%,
11/01/2022
1‌
1‌
1.00
x
US
Treasury
Yield
Curve
Rate
T
Note
Constant
Maturity
1
Year
+
2.05%
4.83%,
11/01/2035
1‌
1‌
1.00
x
Cost
of
funds
for
the
11th
District
of
San
Francisco
+
1.25%
$
296‌
Federal
National
Mortgage
Association
(FNMA)/Federal
Home
Loan
Mortgage
Corporation
(FHLMC)
Uniform
Mortgage-Backed
Security
-
0.00%
7.50%,
10/01/2029
2‌
2‌
8.00%,
05/01/2027
1‌
1‌
$
3‌
Government
National
Mortgage
Association
(GNMA)
-
0.00%
9.00%,
04/20/2025
1‌
1‌
U.S.
Treasury
-
3.94%
1.50%,
11/30/2021
19,600‌
19,957‌
1.63%,
06/30/2021
83,000‌
84,135‌
1.63%,
08/31/2022
14,750‌
15,211‌
1.75%,
07/31/2021
98,750‌
100,331‌
$
219,634‌
U.S.
Treasury
Bill
-
7.24%
0.10%,
08/13/2020
(l)
30,000‌
29,999‌
0.12%,
12/24/2020
(l)
29,500‌
29,488‌
0.13%,
09/10/2020
(l)
24,000‌
23,998‌
0.13%,
09/24/2020
(l)
25,000‌
24,996‌
0.13%,
10/15/2020
(l)
24,500‌
24,495‌
0.13%,
11/05/2020
(l)
29,400‌
29,393‌
0.14%,
08/27/2020
(l)
24,500‌
24,498‌
0.14%,
11/19/2020
(l)
29,500‌
29,491‌
0.14%,
01/07/2021
(l)
29,500‌
29,485‌
0.15%,
09/03/2020
(l)
29,000‌
28,998‌
0.15%,
11/12/2020
(l)
25,000‌
24,993‌
0.15%,
01/28/2021
(l)
29,500‌
29,485‌
0.16%,
10/01/2020
(l)
24,500‌
24,496‌
0.16%,
12/03/2020
(l)
50,000‌
49,982‌
$
403,797‌
TOTAL
U.S.
GOVERNMENT
&
GOVERNMENT
AGENCY
OBLIGATIONS
$
623,811‌
Total
Investments
$
5,580,701‌
Other
Assets
and
Liabilities
-  (0.10)%
(5,646‌)
TOTAL
NET
ASSETS
-
100.00%
$
5,575,055‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$5,978
or
0.11%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
Schedule
of
Investments
Short-Term
Income
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
226
(e)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$1,644,809
or
29.50%
of
net
assets.
(f)
Rate
shown
is
as
of
period
end.
The
rate
may
be
a
variable
or
floating
rate
or
a
fixed
rate
which
may
convert
to
a
variable
or
floating
rate
in
the
future.
(g)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(h)
Security
purchased
on
a
when-issued
basis.
(i)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$44,687
or
0.80%
of
net
assets.
(j)
Security
is
an
Interest
Only
Strip.
(k)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(l)
Rate
shown
is
the
discount
rate
of
the
original
purchase.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
26.61‌%
Government
18.29‌%
Asset
Backed
Securities
18.06‌%
Mortgage
Securities
8.06‌%
Consumer,
Non-cyclical
6.52‌%
Utilities
5.62‌%
Energy
3.90‌%
Communications
3.83‌%
Industrial
2.86‌%
Technology
2.36‌%
Consumer,
Cyclical
1.75‌%
Basic
Materials
1.56‌%
Money
Market
Funds
0.68‌%
Other
Assets
and
Liabilities
(0.10‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
38,952‌
$
2,198,343‌
$
2,199,643‌
$
37,652‌
$
38,952‌
$
2,198,343‌
$
2,199,643‌
$
37,652‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
406‌
$
—‌
$
—‌
$
—‌
$
406‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
SmallCap
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
227
INVESTMENT
COMPANIES
-
3.22%
Shares
Held
Value
(000's)
Money
Market
Funds
-
3.22%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
1,235,404‌
$
1,235‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
19,090,870‌
19,091‌
$
20,326‌
TOTAL
INVESTMENT
COMPANIES
$
20,326‌
COMMON
STOCKS
-
99.37%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
0.91%
Aerojet
Rocketdyne
Holdings
Inc
(d)
139,700‌
$
5,763‌
Agriculture
-
2.30%
Darling
Ingredients
Inc
(d)
375,200‌
10,479‌
Vital
Farms
Inc
(d)
114,800‌
4,048‌
$
14,527‌
Automobile
Parts
&
Equipment
-
0.75%
Modine
Manufacturing
Co
(d)
198,100‌
1,078‌
Visteon
Corp
(d)
50,700‌
3,681‌
$
4,759‌
Banks
-
4.94%
BancFirst
Corp
37,500‌
1,634‌
First
Foundation
Inc
110,000‌
1,691‌
First
Horizon
National
Corp
365,344‌
3,387‌
First
Interstate
BancSystem
Inc
143,400‌
4,174‌
First
Merchants
Corp
122,200‌
2,985‌
First
Midwest
Bancorp
Inc
/IL
256,400‌
3,111‌
Flagstar
Bancorp
Inc
127,600‌
4,004‌
Independent
Bank
Corp/MI
86,400‌
1,207‌
Lakeland
Bancorp
Inc
91,500‌
931‌
United
Community
Banks
Inc
/GA
288,550‌
5,174‌
WesBanco
Inc
144,500‌
2,865‌
$
31,163‌
Biotechnology
-
6.09%
Acceleron
Pharma
Inc
(d)
53,700‌
5,325‌
ADC
Therapeutics
SA
(d),(e)
35,410‌
1,647‌
Allogene
Therapeutics
Inc
(d)
58,000‌
2,127‌
Bellicum
Pharmaceuticals
Inc
(d),(e)
38,499‌
258‌
Bluebird
Bio
Inc
(d)
31,200‌
1,894‌
Denali
Therapeutics
Inc
(d)
134,400‌
3,148‌
FibroGen
Inc
(d)
89,500‌
3,622‌
Immunomedics
Inc
(d)
70,200‌
2,965‌
Insmed
Inc
(d)
197,200‌
5,151‌
Iovance
Biotherapeutics
Inc
(d)
118,800‌
3,453‌
MacroGenics
Inc
(d)
120,400‌
3,058‌
Magenta
Therapeutics
Inc
(d)
174,600‌
1,226‌
Seattle
Genetics
Inc
(d)
27,500‌
4,572‌
$
38,446‌
Building
Materials
-
1.42%
Builders
FirstSource
Inc
(d)
261,700‌
6,200‌
JELD-WEN
Holding
Inc
(d)
141,100‌
2,765‌
$
8,965‌
Chemicals
-
1.06%
Cabot
Corp
132,400‌
4,830‌
Koppers
Holdings
Inc
(d)
56,200‌
1,415‌
Kraton
Corp
(d)
33,244‌
437‌
$
6,682‌
Commercial
Services
-
6.61%
AMN
Healthcare
Services
Inc
(d)
84,600‌
4,648‌
BrightView
Holdings
Inc
(d)
257,300‌
3,118‌
Brink's
Co/The
92,100‌
4,085‌
FTI
Consulting
Inc
(d)
24,900‌
2,974‌
HMS
Holdings
Corp
(d)
266,700‌
8,668‌
ICF
International
Inc
61,500‌
4,158‌
K12
Inc
(d)
186,800‌
8,554‌
Medifast
Inc
27,400‌
4,579‌
Nesco
Holdings
Inc
(d),(e)
275,600‌
926‌
$
41,710‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Computers
-
4.85%
CACI
International
Inc
(d)
27,700‌
$
5,757‌
ExlService
Holdings
Inc
(d)
78,000‌
4,997‌
Parsons
Corp
(d)
197,900‌
6,893‌
Perspecta
Inc
333,200‌
7,130‌
Ping
Identity
Holding
Corp
(d)
169,100‌
5,810‌
$
30,587‌
Consumer
Products
-
0.77%
Central
Garden
&
Pet
Co
-
A
Shares
(d)
139,580‌
4,836‌
Diversified
Financial
Services
-
4.14%
Federated
Hermes
Inc
109,700‌
2,892‌
Hamilton
Lane
Inc
81,090‌
5,858‌
LPL
Financial
Holdings
Inc
43,800‌
3,461‌
Piper
Sandler
Cos
72,740‌
4,503‌
PJT
Partners
Inc
28,567‌
1,529‌
Stifel
Financial
Corp
162,111‌
7,859‌
$
26,102‌
Electric
-
2.30%
PNM
Resources
Inc
174,680‌
7,377‌
Portland
General
Electric
Co
161,300‌
7,118‌
$
14,495‌
Electrical
Components
&
Equipment
-
1.53%
EnerSys
119,200‌
8,017‌
nLight
Inc
(d)
70,864‌
1,642‌
$
9,659‌
Electronics
-
4.06%
Advanced
Energy
Industries
Inc
(d)
109,400‌
8,049‌
Atkore
International
Group
Inc
(d)
174,900‌
4,665‌
SYNNEX
Corp
63,300‌
7,896‌
Vishay
Intertechnology
Inc
319,400‌
5,011‌
$
25,621‌
Engineering
&
Construction
-
1.90%
Great
Lakes
Dredge
&
Dock
Corp
(d)
391,700‌
3,275‌
MasTec
Inc
(d)
192,200‌
7,646‌
Tutor
Perini
Corp
(d)
90,268‌
1,062‌
$
11,983‌
Entertainment
-
2.05%
Caesars
Entertainment
Inc
(d)
206,600‌
6,415‌
Golden
Entertainment
Inc
(d)
185,900‌
1,590‌
Vail
Resorts
Inc
25,700‌
4,935‌
$
12,940‌
Environmental
Control
-
1.03%
Tetra
Tech
Inc
73,200‌
6,489‌
Food
-
0.72%
Performance
Food
Group
Co
(d)
162,618‌
4,557‌
Forest
Products
&
Paper
-
0.24%
P
H
Glatfelter
Co
95,400‌
1,520‌
Gas
-
1.09%
Southwest
Gas
Holdings
Inc
98,790‌
6,880‌
Healthcare
-
Products
-
3.60%
Adaptive
Biotechnologies
Corp
(d)
87,500‌
3,266‌
Castle
Biosciences
Inc
(d)
11,554‌
447‌
Natera
Inc
(d)
174,415‌
8,375‌
Nevro
Corp
(d)
46,600‌
6,196‌
Precision
BioSciences
Inc
(d)
254,700‌
1,620‌
RA
Medical
Systems
Inc
(d)
226,500‌
66‌
STAAR
Surgical
Co
(d)
47,000‌
2,735‌
$
22,705‌
Healthcare
-
Services
-
5.05%
Accolade
Inc
(d),(e)
40,055‌
1,299‌
Addus
HomeCare
Corp
(d)
84,700‌
8,166‌
Encompass
Health
Corp
99,800‌
6,794‌
Syneos
Health
Inc
(d)
131,900‌
8,229‌
Teladoc
Health
Inc
(d)
31,000‌
7,367‌
$
31,855‌
Holding
Companies
-
Diversified
-
1.10%
GS
Acquisition
Holdings
Corp
II
(d)
665,700‌
6,923‌
Schedule
of
Investments
SmallCap
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
228
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Builders
-
1.45%
Taylor
Morrison
Home
Corp
(d)
390,300‌
$
9,152‌
Home
Furnishings
-
0.76%
Purple
Innovation
Inc
(d)
197,514‌
4,813‌
Insurance
-
3.87%
Essent
Group
Ltd
130,000‌
4,658‌
First
American
Financial
Corp
66,100‌
3,372‌
Hanover
Insurance
Group
Inc
/The
66,300‌
6,755‌
Kemper
Corp
80,070‌
6,287‌
NMI
Holdings
Inc
(d)
100,650‌
1,562‌
Trean
Insurance
Group
Inc
(d)
112,700‌
1,758‌
$
24,392‌
Internet
-
0.60%
Eventbrite
Inc
(d)
283,000‌
2,411‌
Revolve
Group
Inc
(d),(e)
85,092‌
1,393‌
$
3,804‌
Iron
&
Steel
-
0.63%
Cleveland-Cliffs
Inc
(e)
773,100‌
4,005‌
Leisure
Products
&
Services
-
0.91%
Lindblad
Expeditions
Holdings
Inc
(d)
124,000‌
899‌
Planet
Fitness
Inc
(d)
93,000‌
4,855‌
$
5,754‌
Lodging
-
0.90%
Extended
Stay
America
Inc
498,650‌
5,690‌
Machinery
-
Diversified
-
0.55%
Columbus
McKinnon
Corp/NY
105,200‌
3,485‌
Media
-
0.65%
World
Wrestling
Entertainment
Inc
(e)
87,400‌
4,074‌
Metal
Fabrication
&
Hardware
-
1.75%
Advanced
Drainage
Systems
Inc
84,262‌
4,129‌
Rexnord
Corp
238,600‌
6,912‌
$
11,041‌
Mining
-
0.27%
Alcoa
Corp
(d)
132,690‌
1,725‌
Miscellaneous
Manufacturers
-
1.42%
Hillenbrand
Inc
276,100‌
8,071‌
Trinseo
SA
40,800‌
885‌
$
8,956‌
Oil
&
Gas
-
0.98%
Delek
US
Holdings
Inc
86,500‌
1,512‌
Parsley
Energy
Inc
154,600‌
1,698‌
PDC
Energy
Inc
(d)
59,500‌
848‌
Talos
Energy
Inc
(d)
90,600‌
617‌
WPX
Energy
Inc
(d)
253,900‌
1,516‌
$
6,191‌
Oil
&
Gas
Services
-
0.61%
ChampionX
Corp
(d)
143,000‌
1,360‌
Matrix
Service
Co
(d)
84,900‌
743‌
Select
Energy
Services
Inc
(d)
389,600‌
1,730‌
$
3,833‌
Packaging
&
Containers
-
0.82%
Graphic
Packaging
Holding
Co
370,000‌
5,158‌
Pharmaceuticals
-
3.39%
AdaptHealth
Corp
(d)
194,366‌
3,786‌
DexCom
Inc
(d)
10,000‌
4,355‌
Horizon
Therapeutics
Plc
(d)
118,400‌
7,245‌
Revance
Therapeutics
Inc
(d)
256,600‌
6,025‌
$
21,411‌
REITs
-
7.27%
Agree
Realty
Corp
117,900‌
7,896‌
Brandywine
Realty
Trust
560,500‌
6,070‌
Cousins
Properties
Inc
225,801‌
6,937‌
First
Industrial
Realty
Trust
Inc
197,040‌
8,654‌
Ladder
Capital
Corp
394,800‌
3,067‌
Pebblebrook
Hotel
Trust
403,736‌
4,280‌
Rexford
Industrial
Realty
Inc
157,300‌
7,382‌
Two
Harbors
Investment
Corp
288,475‌
1,566‌
$
45,852‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
-
4.34%
BJ's
Wholesale
Club
Holdings
Inc
(d)
247,051‌
$
9,894‌
Bloomin
'
Brands
Inc
108,500‌
1,250‌
Brinker
International
Inc
70,000‌
1,882‌
Caleres
Inc
435,900‌
2,751‌
Carvana
Co
(d)
51,400‌
7,964‌
Children's
Place
Inc
/The
(e)
26,200‌
640‌
Ruth's
Hospitality
Group
Inc
169,700‌
1,136‌
World
Fuel
Services
Corp
78,200‌
1,840‌
$
27,357‌
Savings
&
Loans
-
0.56%
Meridian
Bancorp
Inc
31,400‌
358‌
Sterling
Bancorp/DE
283,900‌
3,194‌
$
3,552‌
Semiconductors
-
2.52%
Entegris
Inc
118,940‌
8,553‌
SiTime
Corp
(d)
138,000‌
7,335‌
$
15,888‌
Software
-
6.37%
Aspen
Technology
Inc
(d)
57,600‌
5,602‌
Ceridian
HCM
Holding
Inc
(d)
28,200‌
2,208‌
Cloudflare
Inc
(d)
121,400‌
5,053‌
Dynatrace
Inc
(d)
72,900‌
3,049‌
Jamf
Holding
Corp
(d),(e)
91,900‌
3,731‌
Manhattan
Associates
Inc
(d)
79,200‌
7,587‌
SolarWinds
Corp
(d)
366,003‌
6,720‌
Sprout
Social
Inc
(d)
177,500‌
5,128‌
Vertex
Inc
(d)
46,100‌
1,086‌
$
40,164‌
Telecommunications
-
0.24%
Switch
Inc
82,900‌
1,491‌
TOTAL
COMMON
STOCKS
$
626,955‌
Total
Investments
$
647,281‌
Other
Assets
and
Liabilities
-  (2.59)%
(16,370‌)
TOTAL
NET
ASSETS
-
100.00%
$
630,911‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$12,795
or
2.03%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Non-cyclical
28.53‌%
Financial
20.78‌%
Industrial
15.39‌%
Technology
13.74‌%
Consumer,
Cyclical
11.16‌%
Utilities
3.39‌%
Money
Market
Funds
3.22‌%
Basic
Materials
2.20‌%
Energy
1.59‌%
Communications
1.49‌%
Diversified
1.10‌%
Other
Assets
and
Liabilities
(2.59‌)%
TOTAL
NET
ASSETS
100.00%
Schedule
of
Investments
SmallCap
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
229
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
35,326‌
$
276,994‌
$
293,229‌
$
19,091‌
$
35,326‌
$
276,994‌
$
293,229‌
$
19,091‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
80‌
$
—‌
$
—‌
$
—‌
$
80‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
230
INVESTMENT
COMPANIES
-
5.29%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.05%
iShares
Russell
2000
Growth
ETF
(a)
4,892‌
$
1,047‌
Money
Market
Funds
-
5.24%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(b),(c)
4,207,370‌
$
4,208‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(b),(c),(d),(e)
105,597,651‌
105,597‌
$
109,805‌
TOTAL
INVESTMENT
COMPANIES
$
110,852‌
COMMON
STOCKS
-
96.19%
Shares
Held
Value
(000's)
Advertising
-
0.00%
Quotient
Technology
Inc
(e)
7,455‌
60‌
Aerospace
&
Defense
-
1.54%
Aerojet
Rocketdyne
Holdings
Inc
(e)
106,772‌
4,404‌
AeroVironment
Inc
(e)
3,355‌
257‌
Hexcel
Corp
41,990‌
1,566‌
Kaman
Corp
440‌
17‌
Kratos
Defense
&
Security
Solutions
Inc
(e)
444,624‌
8,008‌
Mercury
Systems
Inc
(e)
231,800‌
17,948‌
National
Presto
Industries
Inc
54‌
5‌
$
32,205‌
Agriculture
-
0.22%
Cadiz
Inc
(a),(e)
1,740‌
18‌
Greenlane
Holdings
Inc
(e)
1,696‌
7‌
Limoneira
Co
590‌
8‌
Phibro
Animal
Health
Corp
2,927‌
68‌
Turning
Point
Brands
Inc
(a)
1,331‌
44‌
Vector
Group
Ltd
2,425‌
21‌
Vital
Farms
Inc
(e)
123,226‌
4,345‌
$
4,511‌
Airlines
-
0.00%
Allegiant
Travel
Co
241‌
27‌
Apparel
-
0.07%
Crocs
Inc
(e)
10,347‌
372‌
Deckers
Outdoor
Corp
(e)
4,337‌
907‌
Steven
Madden
Ltd
5,605‌
119‌
Superior
Group
of
Cos
Inc
304‌
6‌
$
1,404‌
Automobile
Manufacturers
-
0.00%
Blue
Bird
Corp
(e)
919‌
11‌
REV
Group
Inc
546‌
4‌
$
15‌
Automobile
Parts
&
Equipment
-
0.06%
Dorman
Products
Inc
(e)
4,128‌
337‌
Douglas
Dynamics
Inc
3,223‌
114‌
Gentherm
Inc
(e)
5,076‌
197‌
Meritor
Inc
(e)
8,236‌
187‌
Methode
Electronics
Inc
975‌
28‌
Motorcar
Parts
of
America
Inc
(e)
390‌
6‌
Shyft
Group
Inc/The
5,283‌
100‌
Standard
Motor
Products
Inc
495‌
23‌
Telenav
Inc
(e)
2,116‌
11‌
Visteon
Corp
(e)
4,294‌
312‌
XPEL
Inc
(e)
2,583‌
43‌
$
1,358‌
Banks
-
0.55%
Altabancorp
137‌
3‌
Bank
First
Corp
(a)
900‌
56‌
Bank7
Corp
196‌
2‌
Baycom
Corp
(e)
506‌
5‌
Cambridge
Bancorp
217‌
12‌
Century
Bancorp
Inc/MA
53‌
4‌
Coastal
Financial
Corp/WA
(e)
133‌
2‌
CrossFirst
Bankshares
Inc
(e)
34,000‌
312‌
Customers
Bancorp
Inc
(e)
340‌
4‌
Esquire
Financial
Holdings
Inc
(e)
324‌
5‌
First
Financial
Bankshares
Inc
20,008‌
599‌
First
Foundation
Inc
1,422‌
22‌
Franklin
Financial
Network
Inc
171‌
4‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Glacier
Bancorp
Inc
1,558‌
$
55‌
Hanmi
Financial
Corp
408‌
4‌
Independent
Bank
Corp
347‌
22‌
Kearny
Financial
Corp/MD
2,718‌
22‌
Lakeland
Financial
Corp
237‌
10‌
Luther
Burbank
Corp
174‌
2‌
Meridian
Corp
157‌
2‌
National
Bank
Holdings
Corp
1,089‌
30‌
Northeast
Bank
88‌
2‌
Pinnacle
Financial
Partners
Inc
59,033‌
2,339‌
Prosperity
Bancshares
Inc
139,249‌
7,737‌
Reliant
Bancorp
Inc
130‌
2‌
ServisFirst
Bancshares
Inc
5,609‌
205‌
Stock
Yards
Bancorp
Inc
458‌
18‌
Unity
Bancorp
Inc
78‌
1‌
Walker
&
Dunlop
Inc
379‌
19‌
West
BanCorp
Inc
398‌
6‌
Westamerica
BanCorp
536‌
32‌
$
11,538‌
Beverages
-
0.02%
Celsius
Holdings
Inc
(a),(e)
5,321‌
78‌
Coca-Cola
Consolidated
Inc
730‌
168‌
Craft
Brew
Alliance
Inc
(e)
113‌
2‌
MGP
Ingredients
Inc
1,494‌
54‌
National
Beverage
Corp
(a),(e)
1,830‌
117‌
New
Age
Beverages
Corp
(a),(e)
6,515‌
15‌
$
434‌
Biotechnology
-
11.52%
Abeona
Therapeutics
Inc
(e)
3,219‌
9‌
Acceleron
Pharma
Inc
(e)
50,282‌
4,986‌
ADC
Therapeutics
SA
(a),(e)
76,261‌
3,546‌
ADMA
Biologics
Inc
(a),(e)
8,091‌
29‌
Aduro
Biotech
Inc
(e)
8,812‌
25‌
Adverum
Biotechnologies
Inc
(e)
9,743‌
163‌
Affimed
NV
(e)
11,374‌
40‌
Agenus
Inc
(e)
21,454‌
65‌
Akero
Therapeutics
Inc
(e)
1,730‌
61‌
Albireo
Pharma
Inc
(e)
1,432‌
40‌
Alder
Biopharmaceuticals
Inc
(a),(e),(f),(g)
9,847‌
12‌
Allakos
Inc
(a),(e)
75,391‌
5,659‌
Allogene
Therapeutics
Inc
(a),(e)
144,038‌
5,282‌
Amicus
Therapeutics
Inc
(e)
39,411‌
570‌
Anavex
Life
Sciences
Corp
(a),(e)
7,927‌
33‌
ANI
Pharmaceuticals
Inc
(e)
766‌
23‌
Annexon
Inc
(e)
75,059‌
1,368‌
Apellis
Pharmaceuticals
Inc
(e)
9,306‌
241‌
Applied
Therapeutics
Inc
(e)
108,307‌
2,794‌
Aprea
Therapeutics
Inc
(e)
1,112‌
31‌
Aravive
Inc
(e)
1,881‌
11‌
Arcturus
Therapeutics
Holdings
Inc
(e)
2,018‌
105‌
Arcus
Biosciences
Inc
(e)
5,100‌
100‌
Arcutis
Biotherapeutics
Inc
(a),(e)
1,466‌
39‌
Ardelyx
Inc
(e)
11,320‌
64‌
Arena
Pharmaceuticals
Inc
(e)
74,339‌
4,564‌
Arrowhead
Pharmaceuticals
Inc
(e)
15,557‌
670‌
Ascendis
Pharma
A/S
ADR
(e)
31,568‌
4,344‌
Aspira
Women's
Health
Inc
(e)
6,915‌
31‌
Assembly
Biosciences
Inc
(e)
85,249‌
1,892‌
Atara
Biotherapeutics
Inc
(e)
6,594‌
82‌
Athersys
Inc
(a),(e)
26,871‌
69‌
Atreca
Inc
(a),(e)
3,061‌
40‌
AVEO
Pharmaceuticals
Inc
(e)
1,332‌
6‌
Avid
Bioservices
Inc
(e)
7,869‌
58‌
Avrobio
Inc
(e)
166,563‌
2,823‌
Beam
Therapeutics
Inc
(a),(e)
1,906‌
37‌
BioCryst
Pharmaceuticals
Inc
(e)
18,839‌
77‌
Biohaven
Pharmaceutical
Holding
Co
Ltd
(e)
236,325‌
15,134‌
Black
Diamond
Therapeutics
Inc
(a),(e)
1,902‌
53‌
Blueprint
Medicines
Corp
(e)
275,029‌
20,126‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
231
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
(continued)
BrainStorm
Cell
Therapeutics
Inc
(e)
4,130‌
$
56‌
Bridgebio
Pharma
Inc
(a),(e)
11,286‌
318‌
Calithera
Biosciences
Inc
(e)
10,191‌
48‌
Cara
Therapeutics
Inc
(e)
6,377‌
105‌
CASI
Pharmaceuticals
Inc
(e)
7,208‌
14‌
Catabasis
Pharmaceuticals
Inc
(e)
1,997‌
12‌
CEL-SCI
Corp
(a),(e)
4,349‌
54‌
Centogene
NV
(e)
673‌
9‌
Cerecor
Inc
(e)
4,765‌
13‌
Champions
Oncology
Inc
(e)
1,191‌
10‌
ChemoCentryx
Inc
(e)
85,307‌
4,496‌
ChromaDex
Corp
(a),(e)
6,317‌
32‌
Cohbar
Inc
(e)
4,040‌
6‌
Constellation
Pharmaceuticals
Inc
(e)
4,187‌
113‌
ContraFect
Corp
(e)
2,086‌
12‌
Cortexyme
Inc
(e)
2,272‌
91‌
Crinetics
Pharmaceuticals
Inc
(e)
4,191‌
58‌
Cue
Biopharma
Inc
(e)
4,295‌
81‌
CytomX
Therapeutics
Inc
(e)
6,995‌
49‌
Deciphera
Pharmaceuticals
Inc
(e)
161,525‌
7,491‌
Denali
Therapeutics
Inc
(e)
9,744‌
228‌
DermTech
Inc
(e)
1,252‌
13‌
Dicerna
Pharmaceuticals
Inc
(e)
95,806‌
2,059‌
Dyadic
International
Inc
(a),(e)
2,466‌
21‌
Dynavax
Technologies
Corp
(e)
11,726‌
95‌
Editas
Medicine
Inc
(e)
8,595‌
252‌
Eiger
BioPharmaceuticals
Inc
(e)
3,648‌
37‌
Emergent
BioSolutions
Inc
(e)
6,918‌
770‌
Epizyme
Inc
(e)
8,707‌
121‌
Esperion
Therapeutics
Inc
(a),(e)
4,010‌
151‌
Evelo
Biosciences
Inc
(a),(e)
2,313‌
9‌
Evolus
Inc
(a),(e)
1,513‌
5‌
Exagen
Inc
(e)
788‌
10‌
Exicure
Inc
(e)
7,859‌
18‌
Fate
Therapeutics
Inc
(e)
9,707‌
304‌
FibroGen
Inc
(e)
11,046‌
447‌
Frequency
Therapeutics
Inc
(a),(e)
4,365‌
92‌
Galera
Therapeutics
Inc
(e)
1,443‌
10‌
Genprex
Inc
(e)
4,414‌
15‌
Gossamer
Bio
Inc
(a),(e)
164,095‌
1,956‌
Guardant
Health
Inc
(e)
108,940‌
9,280‌
Halozyme
Therapeutics
Inc
(e)
21,050‌
572‌
Homology
Medicines
Inc
(e)
5,266‌
69‌
iBio
Inc
(e)
6,462‌
29‌
IGM
Biosciences
Inc
(a),(e)
1,098‌
55‌
Immunic
Inc
(e)
338‌
6‌
ImmunoGen
Inc
(e)
11,451‌
47‌
Immunovant
Inc
(e)
2,960‌
67‌
Innoviva
Inc
(e)
9,831‌
133‌
Inovio
Pharmaceuticals
Inc
(a),(e)
22,299‌
434‌
Insmed
Inc
(e)
270,232‌
7,059‌
Intercept
Pharmaceuticals
Inc
(e)
4,015‌
183‌
Iovance
Biotherapeutics
Inc
(e)
266,543‌
7,748‌
iTeos
Therapeutics
Inc
(a),(e)
90,391‌
1,779‌
Kaleido
Biosciences
Inc
(a),(e)
1,639‌
10‌
Karuna
Therapeutics
Inc
(e)
2,402‌
197‌
Karyopharm
Therapeutics
Inc
(e)
251,733‌
4,040‌
Keros
Therapeutics
Inc
(e)
1,006‌
32‌
Kindred
Biosciences
Inc
(e)
4,756‌
16‌
Kiniksa
Pharmaceuticals
Ltd
(e)
2,708‌
53‌
Kodiak
Sciences
Inc
(e)
4,469‌
207‌
Krystal
Biotech
Inc
(e)
1,849‌
76‌
Legend
Biotech
Corp
ADR
(e)
98,353‌
3,466‌
Lexicon
Pharmaceuticals
Inc
(a),(e)
6,328‌
12‌
Ligand
Pharmaceuticals
Inc
(e)
2,234‌
262‌
Liquidia
Technologies
Inc
(e)
3,153‌
17‌
LogicBio
Therapeutics
Inc
(e)
1,862‌
15‌
Lyra
Therapeutics
Inc
(e)
633‌
9‌
MacroGenics
Inc
(e)
2,643‌
67‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
(continued)
Magenta
Therapeutics
Inc
(e)
2,167‌
$
15‌
Marker
Therapeutics
Inc
(a),(e)
3,567‌
7‌
MEI
Pharma
Inc
(e)
13,608‌
38‌
MeiraGTx
Holdings
plc
(e)
2,880‌
37‌
Menlo
Therapeutics
Inc
(e)
2,445‌
4‌
Mersana
Therapeutics
Inc
(e)
7,107‌
141‌
Mirati
Therapeutics
Inc
(e)
43,148‌
5,234‌
Molecular
Templates
Inc
(e)
3,755‌
41‌
Mustang
Bio
Inc
(e)
4,432‌
14‌
NantKwest
Inc
(a),(e)
3,800‌
43‌
NeoGenomics
Inc
(e)
776,746‌
29,696‌
NextCure
Inc
(e)
2,380‌
21‌
NGM
Biopharmaceuticals
Inc
(e)
3,394‌
62‌
Novavax
Inc
(a),(e)
2,437‌
349‌
Omeros
Corp
(a),(e)
8,127‌
104‌
Oncocyte
Corp
(e)
7,144‌
10‌
Oncternal
Therapeutics
Inc
(e),(f),(g)
139‌
—‌
Organogenesis
Holdings
Inc
(e)
3,342‌
12‌
Orgenesis
Inc
(e)
572‌
3‌
Osmotica
Pharmaceuticals
PLC
(e)
1,396‌
7‌
Ovid
therapeutics
Inc
(e)
6,633‌
43‌
Oyster
Point
Pharma
Inc
(e)
91,319‌
2,042‌
Pacific
Biosciences
of
California
Inc
(e)
19,756‌
74‌
Pfenex
Inc
(e)
5,341‌
38‌
Phathom
Pharmaceuticals
Inc
(e)
1,662‌
55‌
Pieris
Pharmaceuticals
Inc
(e)
7,681‌
20‌
Poseida
Therapeutics
Inc
(e)
185,867‌
2,413‌
Precigen
Inc
(a),(e)
8,179‌
34‌
Prevail
Therapeutics
Inc
(e)
2,211‌
33‌
Protara
Therapeutics
Inc
(e)
332‌
8‌
Provention
Bio
Inc
(e)
6,566‌
68‌
PTC
Therapeutics
Inc
(e)
134,806‌
6,246‌
Puma
Biotechnology
Inc
(e)
4,732‌
49‌
Radius
Health
Inc
(e)
181,182‌
2,273‌
RAPT
Therapeutics
Inc
(e)
1,697‌
37‌
REGENXBIO
Inc
(e)
5,275‌
175‌
Relay
Therapeutics
Inc
(e)
99,912‌
3,543‌
Replimune
Group
Inc
(e)
186,475‌
3,724‌
Retrophin
Inc
(e)
6,425‌
128‌
REVOLUTION
Medicines
Inc
(e)
2,268‌
55‌
Rigel
Pharmaceuticals
Inc
(e)
26,233‌
60‌
Rocket
Pharmaceuticals
Inc
(e)
5,277‌
124‌
Rubius
Therapeutics
Inc
(a),(e)
1,048‌
5‌
Sangamo
Therapeutics
Inc
(e)
17,846‌
193‌
Satsuma
Pharmaceuticals
Inc
(e)
1,421‌
34‌
Scholar
Rock
Holding
Corp
(e)
3,518‌
40‌
Selecta
Biosciences
Inc
(e)
4,946‌
12‌
Solid
Biosciences
Inc
(e)
476‌
1‌
Sorrento
Therapeutics
Inc
(a),(e)
27,180‌
242‌
SpringWorks
Therapeutics
Inc
(e)
3,282‌
140‌
Stoke
Therapeutics
Inc
(e)
1,891‌
48‌
Strongbridge
Biopharma
PLC
(e)
5,088‌
17‌
Sutro
Biopharma
Inc
(e)
2,226‌
17‌
Syndax
Pharmaceuticals
Inc
(e)
4,172‌
59‌
TCR2
Therapeutics
Inc
(e)
172‌
3‌
Tela
Bio
Inc
(e)
895‌
10‌
Theravance
Biopharma
Inc
(e)
6,129‌
119‌
Tobira
Therapeutics
Inc
-
Rights
(e),(f),(g)
1,559‌
2‌
Translate
Bio
Inc
(e)
7,842‌
119‌
TransMedics
Group
Inc
(e)
123,126‌
2,223‌
Turning
Point
Therapeutics
Inc
(e)
139,503‌
8,262‌
Twist
Bioscience
Corp
(e)
228,195‌
12,788‌
Tyme
Technologies
Inc
(e)
9,936‌
12‌
Ultragenyx
Pharmaceutical
Inc
(e)
117,621‌
9,193‌
United
Therapeutics
Corp
(e)
37,056‌
4,131‌
UNITY
Biotechnology
Inc
(a),(e)
5,098‌
48‌
Vaxart
Inc
(e)
5,864‌
55‌
VBI
Vaccines
Inc
(e)
21,636‌
88‌
Veracyte
Inc
(e)
7,745‌
276‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
232
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
(continued)
Verastem
Inc
(e)
10,266‌
$
14‌
Vericel
Corp
(e)
6,150‌
101‌
Veru
Inc
(e)
7,675‌
22‌
Viela
Bio
Inc
(a),(e)
3,098‌
113‌
Viking
Therapeutics
Inc
(e)
785‌
6‌
Vir
Biotechnology
Inc
(e)
148,916‌
7,113‌
VolitionRX
Ltd
(e)
3,660‌
12‌
WaVe
Life
Sciences
Ltd
(e)
3,179‌
28‌
Xencor
Inc
(e)
8,110‌
244‌
XOMA
Corp
(a),(e)
776‌
13‌
Y-mAbs
Therapeutics
Inc
(e)
127,043‌
4,463‌
Zentalis
Pharmaceuticals
Inc
(a),(e)
95,355‌
3,290‌
ZIOPHARM
Oncology
Inc
(a),(e)
22,233‌
66‌
$
241,625‌
Building
Materials
-
2.53%
AAON
Inc
6,363‌
377‌
Apogee
Enterprises
Inc
596‌
13‌
Armstrong
World
Industries
Inc
84,609‌
6,028‌
AZEK
Co
Inc/The
(e)
312,589‌
10,784‌
Boise
Cascade
Co
1,035‌
48‌
Builders
FirstSource
Inc
(e)
16,260‌
385‌
Cornerstone
Building
Brands
Inc
(e)
2,762‌
16‌
Forterra
Inc
(e)
2,940‌
38‌
Gibraltar
Industries
Inc
(e)
1,139‌
59‌
Louisiana-Pacific
Corp
17,484‌
554‌
Masonite
International
Corp
(e)
45,358‌
3,826‌
Patrick
Industries
Inc
3,267‌
209‌
PGT
Innovations
Inc
(e)
3,360‌
57‌
Research
Frontiers
Inc
(e)
4,105‌
14‌
Simpson
Manufacturing
Co
Inc
131,283‌
12,677‌
SPX
Corp
(e)
4,937‌
207‌
Trex
Co
Inc
(e)
124,866‌
17,397‌
UFP
Industries
Inc
7,816‌
455‌
$
53,144‌
Chemicals
-
0.69%
AgroFresh
Solutions
Inc
(e)
245‌
—‌
American
Vanguard
Corp
895‌
12‌
Amyris
Inc
(e)
1,077‌
5‌
Avient
Corp
57,650‌
1,378‌
Balchem
Corp
4,576‌
459‌
Codexis
Inc
(e)
8,308‌
98‌
Ferro
Corp
(e)
9,389‌
110‌
GCP
Applied
Technologies
Inc
(e)
5,915‌
135‌
Hawkins
Inc
807‌
41‌
HB
Fuller
Co
5,177‌
235‌
Ingevity
Corp
(e)
6,436‌
376‌
Innospec
Inc
3,069‌
231‌
Koppers
Holdings
Inc
(e)
1,936‌
49‌
Marrone
Bio
Innovations
Inc
(e)
10,295‌
11‌
Orion
Engineered
Carbons
SA
5,204‌
53‌
PQ
Group
Holdings
Inc
(e)
116,690‌
1,432‌
Quaker
Chemical
Corp
49,243‌
9,553‌
Rogers
Corp
(e)
502‌
60‌
Sensient
Technologies
Corp
2,688‌
140‌
Stepan
Co
265‌
29‌
Tronox
Holdings
PLC
4,840‌
37‌
$
14,444‌
Commercial
Services
-
5.94%
Aaron's
Inc
1,336‌
70‌
AMN
Healthcare
Services
Inc
(e)
7,232‌
397‌
ASGN
Inc
(e)
6,524‌
447‌
Aspen
Group
Inc/CO
(e)
2,872‌
25‌
Avalara
Inc
(e)
34,507‌
4,639‌
Avis
Budget
Group
Inc
(a),(e)
8,160‌
211‌
Barrett
Business
Services
Inc
91‌
5‌
Bright
Horizons
Family
Solutions
Inc
(e)
113,688‌
12,192‌
Brink's
Co/The
7,789‌
345‌
CAI
International
Inc
493‌
8‌
Cardtronics
PLC
(e)
4,055‌
91‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Commercial
Services
(continued)
Cass
Information
Systems
Inc
2,203‌
$
79‌
CBIZ
Inc
(e)
1,309‌
32‌
Chegg
Inc
(e)
461,735‌
37,387‌
Cimpress
PLC
(e)
895‌
90‌
Collectors
Universe
Inc
1,281‌
49‌
CorVel
Corp
(e)
1,374‌
109‌
CRA
International
Inc
878‌
37‌
Cross
Country
Healthcare
Inc
(e)
627‌
4‌
EVERTEC
Inc
9,332‌
290‌
Evo
Payments
Inc
(e)
564,159‌
12,800‌
Forrester
Research
Inc
(e)
1,693‌
59‌
Franchise
Group
Inc
357‌
9‌
Franklin
Covey
Co
(e)
1,937‌
35‌
Genasys
Inc
(a),(e)
5,095‌
21‌
Green
Dot
Corp
(e)
31,804‌
1,612‌
GreenSky
Inc
(a),(e)
9,628‌
54‌
Hackett
Group
Inc/The
3,380‌
47‌
HealthEquity
Inc
(e)
257,263‌
13,264‌
Herc
Holdings
Inc
(e)
222‌
7‌
HMS
Holdings
Corp
(e)
13,656‌
444‌
Huron
Consulting
Group
Inc
(e)
315‌
15‌
ICF
International
Inc
1,401‌
95‌
Insperity
Inc
2,800‌
187‌
Kforce
Inc
3,056‌
88‌
LiveRamp
Holdings
Inc
(e)
8,200‌
374‌
Medifast
Inc
1,750‌
292‌
Monro
Inc
2,515‌
142‌
National
Research
Corp
2,089‌
119‌
Nesco
Holdings
Inc
(a),(e)
476,475‌
1,601‌
Perdoceo
Education
Corp
(e)
10,730‌
155‌
PFSweb
Inc
(e)
1,655‌
13‌
Priority
Technology
Holdings
Inc
(e)
1,191‌
3‌
Progyny
Inc
(e)
149,243‌
3,974‌
R1
RCM
Inc
(e)
16,565‌
226‌
Rent-A-Center
Inc/TX
6,672‌
193‌
Repay
Holdings
Corp
(e)
5,670‌
125‌
Shift4
Payments
Inc
(e)
168,892‌
6,469‌
ShotSpotter
Inc
(e)
1,245‌
29‌
Strategic
Education
Inc
78,765‌
9,941‌
TriNet
Group
Inc
(e)
81,149‌
5,356‌
United
Rentals
Inc
(e)
38,480‌
5,979‌
Universal
Technical
Institute
Inc
(e)
4,205‌
31‌
Vectrus
Inc
(e)
26,730‌
1,176‌
Vivint
Smart
Home
Inc
(e)
2,267‌
35‌
WEX
Inc
(e)
19,177‌
3,037‌
Willdan
Group
Inc
(e)
1,108‌
27‌
WW
International
Inc
(e)
1,752‌
45‌
$
124,586‌
Computers
-
3.24%
Cubic
Corp
548‌
23‌
Diebold
Nixdorf
Inc
(e)
4,340‌
30‌
ExlService
Holdings
Inc
(e)
5,205‌
333‌
ExOne
Co/The
(a),(e)
1,417‌
12‌
Forescout
Technologies
Inc
(e)
7,446‌
216‌
Genpact
Ltd
525,050‌
20,908‌
iCAD
Inc
(e)
3,114‌
29‌
Insight
Enterprises
Inc
(e)
1,465‌
73‌
Lumentum
Holdings
Inc
(e)
14,647‌
1,360‌
Mastech
Digital
Inc
(e)
602‌
13‌
MAXIMUS
Inc
42,764‌
3,173‌
Mitek
Systems
Inc
(e)
6,203‌
64‌
OneSpan
Inc
(e)
5,171‌
161‌
PAE
Inc
(e)
9,153‌
72‌
PAR
Technology
Corp
(e)
2,488‌
77‌
Parsons
Corp
(e)
2,518‌
88‌
Perspecta
Inc
17,870‌
382‌
Ping
Identity
Holding
Corp
(e)
373,032‌
12,817‌
PlayAGS
Inc
(e)
160,839‌
544‌
Qualys
Inc
(e)
5,275‌
651‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
233
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Computers
(continued)
Quantum
Corp
(e)
873‌
$
4‌
Rapid7
Inc
(e)
147,900‌
8,811‌
Rimini
Street
Inc
(e)
3,181‌
17‌
Science
Applications
International
Corp
60,975‌
4,877‌
SecureWorks
Corp
(e)
104‌
1‌
Super
Micro
Computer
Inc
(e)
35,058‌
1,062‌
Sykes
Enterprises
Inc
(e)
354‌
10‌
Tenable
Holdings
Inc
(e)
9,436‌
320‌
TTEC
Holdings
Inc
2,808‌
133‌
Unisys
Corp
(e)
993‌
12‌
USA
Technologies
Inc
(e)
217,718‌
1,552‌
Varonis
Systems
Inc
(e)
89,436‌
9,690‌
Virtusa
Corp
(e)
4,458‌
181‌
Vocera
Communications
Inc
(e)
4,923‌
152‌
$
67,848‌
Consumer
Products
-
0.06%
Central
Garden
&
Pet
Co
(e)
447‌
17‌
Central
Garden
&
Pet
Co
-
A
Shares
(e)
1,841‌
64‌
Helen
of
Troy
Ltd
(e)
3,921‌
738‌
WD-40
Co
1,980‌
389‌
$
1,208‌
Cosmetics
&
Personal
Care
-
0.01%
elf
Beauty
Inc
(e)
4,081‌
73‌
Inter
Parfums
Inc
2,751‌
113‌
Revlon
Inc
(a),(e)
57‌
—‌
$
186‌
Distribution
&
Wholesale
-
2.52%
Core-Mark
Holding
Co
Inc
6,445‌
171‌
EVI
Industries
Inc
(a),(e)
749‌
19‌
IAA
Inc
(e)
375,298‌
16,269‌
Pool
Corp
10,690‌
3,385‌
SiteOne
Landscape
Supply
Inc
(e)
257,295‌
32,942‌
Systemax
Inc
1,280‌
29‌
$
52,815‌
Diversified
Financial
Services
-
2.11%
Altisource
Portfolio
Solutions
SA
(e)
49‌
1‌
Ares
Management
Corp
267,400‌
10,680‌
Artisan
Partners
Asset
Management
Inc
3,503‌
127‌
Assetmark
Financial
Holdings
Inc
(e)
1,069‌
30‌
Atlanticus
Holdings
Corp
(e)
833‌
7‌
Brightsphere
Investment
Group
Inc
9,608‌
129‌
Cohen
&
Steers
Inc
3,787‌
228‌
Columbia
Financial
Inc
(e)
2,169‌
26‌
Cowen
Inc
1,461‌
24‌
Curo
Group
Holdings
Corp
2,833‌
20‌
Federal
Agricultural
Mortgage
Corp
309‌
18‌
Federated
Hermes
Inc
4,370‌
115‌
Focus
Financial
Partners
Inc
(e)
4,873‌
180‌
GAMCO
Investors
Inc
794‌
9‌
Greenhill
&
Co
Inc
2,194‌
26‌
Hamilton
Lane
Inc
180,598‌
13,047‌
Hannon
Armstrong
Sustainable
Infrastructure
Capital
Inc
566‌
20‌
Houlihan
Lokey
Inc
145,159‌
7,955‌
I3
Verticals
Inc
(e)
2,288‌
55‌
International
Money
Express
Inc
(e)
2,053‌
28‌
Moelis
&
Co
139,091‌
4,143‌
Paysign
Inc
(e)
4,770‌
44‌
PennyMac
Financial
Services
Inc
868‌
42‌
PJT
Partners
Inc
3,646‌
195‌
Pzena
Investment
Management
Inc
2,666‌
14‌
Siebert
Financial
Corp
(a),(e)
1,678‌
6‌
Silvercrest
Asset
Management
Group
Inc
805‌
9‌
Stifel
Financial
Corp
143,764‌
6,970‌
StoneX
Group
Inc
(e)
199‌
10‌
Virtus
Investment
Partners
Inc
112‌
15‌
$
44,173‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electric
-
0.04%
Ameresco
Inc
(e)
3,781‌
$
105‌
Atlantic
Power
Corp
(e)
1,139‌
2‌
Clearway
Energy
Inc
-
Class
A
1,072‌
24‌
Clearway
Energy
Inc
-
Class
C
2,457‌
60‌
Genie
Energy
Ltd
2,039‌
17‌
MGE
Energy
Inc
1,450‌
96‌
Ormat
Technologies
Inc
6,200‌
369‌
Otter
Tail
Corp
2,068‌
79‌
Spark
Energy
Inc
1,834‌
14‌
$
766‌
Electrical
Components
&
Equipment
-
1.40%
EnerSys
606‌
41‌
Littelfuse
Inc
79,718‌
14,161‌
nLight
Inc
(e)
5,344‌
124‌
Novanta
Inc
(e)
115,172‌
11,941‌
Orion
Energy
Systems
Inc
(e)
4,135‌
16‌
Vicor
Corp
(e)
37,798‌
3,080‌
$
29,363‌
Electronics
-
1.38%
Advanced
Energy
Industries
Inc
(e)
5,888‌
433‌
Akoustis
Technologies
Inc
(a),(e)
4,807‌
38‌
Alarm.com
Holdings
Inc
(e)
68,207‌
4,777‌
Allied
Motion
Technologies
Inc
1,008‌
38‌
Atkore
International
Group
Inc
(e)
7,338‌
196‌
Badger
Meter
Inc
4,519‌
283‌
Brady
Corp
5,626‌
259‌
CyberOptics
Corp
(e)
1,086‌
43‌
Digimarc
Corp
(e)
1,712‌
24‌
FARO
Technologies
Inc
(e)
2,544‌
152‌
Fitbit
Inc
(e)
24,910‌
163‌
Fluidigm
Corp
(e)
944‌
7‌
GoPro
Inc
(e)
17,827‌
94‌
II-VI
Inc
(e)
321,105‌
16,287‌
Itron
Inc
(e)
6,216‌
432‌
Mesa
Laboratories
Inc
627‌
149‌
Napco
Security
Technologies
Inc
(e)
1,800‌
48‌
NVE
Corp
671‌
36‌
OSI
Systems
Inc
(e)
20,695‌
1,468‌
Plexus
Corp
(e)
3,623‌
269‌
SMART
Global
Holdings
Inc
(e)
2,072‌
58‌
Transcat
Inc
(e)
1,074‌
30‌
Watts
Water
Technologies
Inc
1,885‌
158‌
Woodward
Inc
45,854‌
3,436‌
Wrap
Technologies
Inc
(a),(e)
1,769‌
17‌
$
28,895‌
Energy
-
Alternate
Sources
-
0.07%
FuelCell
Energy
Inc
(a),(e)
21,899‌
49‌
Plug
Power
Inc
(a),(e)
50,245‌
387‌
Sunnova
Energy
International
Inc
(e)
646‌
16‌
SunPower
Corp
(e)
8,228‌
77‌
Sunrun
Inc
(e)
18,011‌
661‌
TPI
Composites
Inc
(e)
4,697‌
120‌
Vivint
Solar
Inc
(e)
7,620‌
155‌
$
1,465‌
Engineering
&
Construction
-
1.21%
Arcosa
Inc
47,730‌
2,015‌
Comfort
Systems
USA
Inc
1,619‌
81‌
Construction
Partners
Inc
(e)
1,310‌
22‌
Dycom
Industries
Inc
(e)
3,419‌
146‌
EMCOR
Group
Inc
716‌
49‌
Exponent
Inc
7,959‌
669‌
Granite
Construction
Inc
783‌
13‌
IES
Holdings
Inc
(e)
476‌
11‌
Iteris
Inc
(e)
6,246‌
29‌
KBR
Inc
2,734‌
61‌
MasTec
Inc
(e)
596‌
24‌
MYR
Group
Inc
(e)
1,602‌
59‌
NV5
Global
Inc
(e)
62,135‌
3,525‌
Primoris
Services
Corp
4,201‌
67‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
234
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Engineering
&
Construction
(continued)
Sterling
Construction
Co
Inc
(e)
727‌
$
8‌
TopBuild
Corp
(e)
140,687‌
18,560‌
WillScot
Mobile
Mini
Holdings
Corp
(e)
8,701‌
131‌
$
25,470‌
Entertainment
-
0.72%
Accel
Entertainment
Inc
(e)
6,540‌
52‌
Caesars
Entertainment
Inc
(e)
12,378‌
384‌
Churchill
Downs
Inc
74,489‌
10,318‌
Everi
Holdings
Inc
(e)
406,158‌
2,307‌
GAN
Ltd
(e)
916‌
18‌
Golden
Entertainment
Inc
(e)
1,037‌
9‌
Liberty
Media
Corp-Liberty
Braves
-
A
Shares
(a),(e)
936‌
18‌
Liberty
Media
Corp-Liberty
Braves
-
C
Shares
(e)
3,399‌
63‌
Marriott
Vacations
Worldwide
Corp
814‌
69‌
Monarch
Casino
&
Resort
Inc
(e)
1,393‌
50‌
Penn
National
Gaming
Inc
(e)
10,415‌
353‌
Red
Rock
Resorts
Inc
7,652‌
84‌
Scientific
Games
Corp
(e)
6,355‌
112‌
SeaWorld
Entertainment
Inc
(e)
88,750‌
1,284‌
Twin
River
Worldwide
Holdings
Inc
2,822‌
61‌
$
15,182‌
Environmental
Control
-
2.15%
Advanced
Disposal
Services
Inc
(e)
10,526‌
317‌
Casella
Waste
Systems
Inc
(e)
6,187‌
343‌
Covanta
Holding
Corp
7,239‌
71‌
Energy
Recovery
Inc
(e)
5,872‌
45‌
Evoqua
Water
Technologies
Corp
(e)
13,287‌
256‌
Montrose
Environmental
Group
Inc
(e)
77,350‌
1,682‌
Pure
Cycle
Corp
(e)
3,008‌
27‌
Sharps
Compliance
Corp
(a),(e)
2,210‌
17‌
Tetra
Tech
Inc
232,992‌
20,655‌
Waste
Connections
Inc
211,539‌
21,655‌
$
45,068‌
Food
-
2.29%
B&G
Foods
Inc
(a)
8,680‌
251‌
BellRing
Brands
Inc
(e)
319,376‌
6,346‌
Bridgford
Foods
Corp
(e)
140‌
2‌
Calavo
Growers
Inc
2,548‌
147‌
Cal-Maine
Foods
Inc
(e)
1,656‌
73‌
Grocery
Outlet
Holding
Corp
(e)
233,931‌
10,291‌
Hain
Celestial
Group
Inc/The
(e)
566,400‌
19,246‌
Hostess
Brands
Inc
(e)
8,493‌
108‌
J
&
J
Snack
Foods
Corp
617‌
76‌
John
B
Sanfilippo
&
Son
Inc
1,361‌
120‌
Lancaster
Colony
Corp
2,937‌
466‌
Natural
Grocers
by
Vitamin
Cottage
Inc
941‌
15‌
Sanderson
Farms
Inc
2,423‌
270‌
Simply
Good
Foods
Co/The
(e)
440,592‌
10,591‌
Tootsie
Roll
Industries
Inc
(a)
2,085‌
66‌
$
48,068‌
Food
Service
-
0.01%
Healthcare
Services
Group
Inc
11,574‌
303‌
Gas
-
0.03%
Chesapeake
Utilities
Corp
2,353‌
199‌
Northwest
Natural
Holding
Co
497‌
27‌
ONE
Gas
Inc
924‌
70‌
RGC
Resources
Inc
578‌
13‌
South
Jersey
Industries
Inc
8,420‌
196‌
Southwest
Gas
Holdings
Inc
701‌
49‌
$
554‌
Hand
&
Machine
Tools
-
0.36%
Franklin
Electric
Co
Inc
6,629‌
359‌
Luxfer
Holdings
PLC
246‌
3‌
MSA
Safety
Inc
60,973‌
7,227‌
$
7,589‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Healthcare
-
Products
-
5.09%
10X
Genomics
Inc
(e)
98,392‌
$
9,679‌
Accelerate
Diagnostics
Inc
(a),(e)
4,725‌
69‌
Accuray
Inc
(e)
13,802‌
31‌
Alpha
Pro
Tech
Ltd
(e)
1,892‌
41‌
Alphatec
Holdings
Inc
(e)
5,983‌
30‌
Apyx
Medical
Corp
(e)
520‌
2‌
AtriCure
Inc
(e)
108,027‌
4,409‌
Atrion
Corp
219‌
136‌
Axogen
Inc
(e)
5,638‌
64‌
Axonics
Modulation
Technologies
Inc
(a),(e)
4,718‌
200‌
Bellerophon
Therapeutics
Inc
(e)
568‌
7‌
BioLife
Solutions
Inc
(e)
1,125‌
22‌
BioSig
Technologies
Inc
(e)
3,282‌
30‌
BioTelemetry
Inc
(e)
5,202‌
221‌
Bruker
Corp
143,495‌
6,403‌
Cantel
Medical
Corp
5,878‌
278‌
Cardiovascular
Systems
Inc
(e)
5,349‌
163‌
CareDx
Inc
(e)
6,633‌
221‌
Castle
Biosciences
Inc
(e)
1,586‌
61‌
Cerus
Corp
(e)
25,114‌
179‌
Chembio
Diagnostics
Inc
(a),(e)
2,854‌
16‌
Co-Diagnostics
Inc
(a),(e)
4,017‌
96‌
CONMED
Corp
4,213‌
348‌
CryoLife
Inc
(e)
4,622‌
90‌
Cutera
Inc
(e)
2,597‌
37‌
CytoSorbents
Corp
(e)
5,343‌
51‌
Electromed
Inc
(e)
1,075‌
18‌
Establishment
Labs
Holdings
Inc
(a),(e)
191,696‌
3,450‌
GenMark
Diagnostics
Inc
(e)
10,499‌
187‌
Glaukos
Corp
(e)
6,551‌
286‌
Hanger
Inc
(e)
710‌
12‌
Inari
Medical
Inc
(e)
107,460‌
6,041‌
InfuSystem
Holdings
Inc
(e)
2,239‌
27‌
Inogen
Inc
(e)
1,909‌
59‌
Inspire
Medical
Systems
Inc
(e)
4,056‌
403‌
Insulet
Corp
(e)
18,466‌
3,755‌
Integer
Holdings
Corp
(e)
67,859‌
4,463‌
Integra
LifeSciences
Holdings
Corp
(e)
53,476‌
2,553‌
Intersect
ENT
Inc
(e)
5,038‌
87‌
iRadimed
Corp
(e)
896‌
20‌
iRhythm
Technologies
Inc
(e)
96,069‌
11,959‌
Lantheus
Holdings
Inc
(e)
10,286‌
139‌
LeMaitre
Vascular
Inc
2,053‌
60‌
LivaNova
PLC
(e)
47,664‌
2,219‌
Luminex
Corp
6,581‌
239‌
Meridian
Bioscience
Inc
(e)
5,713‌
140‌
Merit
Medical
Systems
Inc
(e)
8,395‌
375‌
Milestone
Scientific
Inc
(e)
5,164‌
10‌
Misonix
Inc
(e)
1,016‌
13‌
NanoString
Technologies
Inc
(e)
5,076‌
183‌
Natera
Inc
(e)
10,151‌
487‌
Natus
Medical
Inc
(e)
1,667‌
31‌
Nemaura
Medical
Inc
(e)
1,109‌
7‌
Nevro
Corp
(e)
33,117‌
4,403‌
NuVasive
Inc
(e)
7,964‌
455‌
Nymox
Pharmaceutical
Corp
(a),(e)
5,322‌
17‌
OraSure
Technologies
Inc
(e)
5,872‌
107‌
OrthoPediatrics
Corp
(e)
131,923‌
5,566‌
PAVmed
Inc
(a),(e)
5,922‌
12‌
Penumbra
Inc
(e)
30,569‌
6,784‌
Precision
BioSciences
Inc
(e)
6,673‌
42‌
Pulse
Biosciences
Inc
(a),(e)
2,121‌
22‌
Quanterix
Corp
(e)
2,933‌
95‌
Quotient
Ltd
(e)
9,376‌
73‌
Repligen
Corp
(e)
71,032‌
10,719‌
Repro-Med
Systems
Inc
(e)
3,774‌
39‌
Retractable
Technologies
Inc
(e)
1,911‌
23‌
SeaSpine
Holdings
Corp
(e)
64,466‌
604‌
Shockwave
Medical
Inc
(e)
4,129‌
204‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
235
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Healthcare
-
Products
(continued)
Sientra
Inc
(e)
5,744‌
$
22‌
Silk
Road
Medical
Inc
(e)
230,046‌
10,688‌
Soleno
Therapeutics
Inc
(e)
4,804‌
8‌
Soliton
Inc
(a),(e)
919‌
6‌
STAAR
Surgical
Co
(e)
6,992‌
407‌
Stereotaxis
Inc
(e)
6,849‌
26‌
Surmodics
Inc
(e)
2,049‌
97‌
Tactile
Systems
Technology
Inc
(e)
131,872‌
5,404‌
Utah
Medical
Products
Inc
415‌
34‌
Venus
Concept
Inc
(e)
1,940‌
6‌
ViewRay
Inc
(e)
6,379‌
18‌
Wright
Medical
Group
NV
(e)
19,946‌
599‌
Zynex
Inc
(a),(e)
2,567‌
49‌
$
106,636‌
Healthcare
-
Services
-
4.09%
Accolade
Inc
(a),(e)
105,639‌
3,427‌
Addus
HomeCare
Corp
(e)
42,876‌
4,133‌
American
Renal
Associates
Holdings
Inc
(e)
714‌
5‌
Apollo
Medical
Holdings
Inc
(e)
1,561‌
26‌
Avalon
GloboCare
Corp
(e)
2,629‌
4‌
Catalent
Inc
(e)
216,487‌
18,908‌
Cellular
Biomedicine
Group
Inc
(e)
1,208‌
16‌
Charles
River
Laboratories
International
Inc
(e)
124,815‌
24,837‌
Encompass
Health
Corp
109,469‌
7,453‌
Ensign
Group
Inc/The
7,927‌
365‌
Fulgent
Genetics
Inc
(e)
1,494‌
39‌
ICON
PLC
(e)
45,190‌
8,381‌
Invitae
Corp
(e)
17,889‌
522‌
Joint
Corp/The
(e)
2,055‌
30‌
LHC
Group
Inc
(e)
80,455‌
15,698‌
Magellan
Health
Inc
(e)
1,577‌
117‌
Medpace
Holdings
Inc
(e)
4,232‌
505‌
Pennant
Group
Inc/The
(e)
4,016‌
101‌
Personalis
Inc
(e)
3,027‌
53‌
Providence
Service
Corp/The
(e)
1,872‌
152‌
RadNet
Inc
(e)
6,627‌
105‌
Select
Medical
Holdings
Corp
(e)
16,836‌
320‌
SI-BONE
Inc
(e)
3,930‌
67‌
Surgery
Partners
Inc
(e)
3,489‌
53‌
Tenet
Healthcare
Corp
(e)
1,618‌
43‌
Tivity
Health
Inc
(e)
3,147‌
41‌
Triple-S
Management
Corp
(e)
311‌
6‌
US
Physical
Therapy
Inc
1,963‌
163‌
Vapotherm
Inc
(e)
2,969‌
155‌
Viemed
Healthcare
Inc
(a),(e)
5,325‌
58‌
$
85,783‌
Home
Builders
-
1.35%
Cavco
Industries
Inc
(e)
1,343‌
269‌
Installed
Building
Products
Inc
(e)
62,127‌
4,915‌
KB
Home
1,995‌
67‌
LCI
Industries
3,819‌
480‌
LGI
Homes
Inc
(e)
3,453‌
394‌
Meritage
Homes
Corp
(e)
145,017‌
14,383‌
Skyline
Champion
Corp
(e)
8,441‌
238‌
Taylor
Morrison
Home
Corp
(e)
246,300‌
5,776‌
Winnebago
Industries
Inc
28,145‌
1,701‌
$
28,223‌
Home
Furnishings
-
0.53%
Casper
Sleep
Inc
(a),(e)
277‌
2‌
Hamilton
Beach
Brands
Holding
Co
374‌
6‌
Hooker
Furniture
Corp
107‌
2‌
iRobot
Corp
(e)
4,276‌
311‌
Purple
Innovation
Inc
(e)
2,213‌
54‌
Sleep
Number
Corp
(e)
223,665‌
10,400‌
Sonos
Inc
(e)
12,306‌
197‌
Universal
Electronics
Inc
(e)
1,816‌
84‌
$
11,056‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
-
2.55%
Benefytt
Technologies
Inc
(a),(e)
1,611‌
$
50‌
BRP
Group
Inc
(e)
247,081‌
4,312‌
Crawford
&
Co
283‌
2‌
eHealth
Inc
(e)
36,279‌
2,508‌
FedNat
Holding
Co
102‌
1‌
Global
Indemnity
Ltd
172‌
4‌
Goosehead
Insurance
Inc
(e)
256‌
26‌
GWG
Holdings
Inc
(a),(e)
527‌
4‌
Hanover
Insurance
Group
Inc/The
20,140‌
2,052‌
HCI
Group
Inc
218‌
10‌
Heritage
Insurance
Holdings
Inc
328‌
4‌
Investors
Title
Co
26‌
3‌
James
River
Group
Holdings
Ltd
4,049‌
187‌
Kinsale
Capital
Group
Inc
3,225‌
629‌
Lemonade
Inc
(e)
7,023‌
409‌
National
General
Holdings
Corp
5,009‌
170‌
NMI
Holdings
Inc
(e)
608‌
9‌
Palomar
Holdings
Inc
(e)
203,153‌
18,556‌
RLI
Corp
5,360‌
472‌
Selectquote
Inc
(a),(e)
329,567‌
5,896‌
Trean
Insurance
Group
Inc
(e)
257,676‌
4,020‌
Trupanion
Inc
(a),(e)
278,609‌
14,089‌
Universal
Insurance
Holdings
Inc
1,084‌
19‌
$
53,432‌
Internet
-
3.49%
1-800-Flowers.com
Inc
(e)
3,852‌
109‌
8x8
Inc
(e)
15,750‌
250‌
Anaplan
Inc
(e)
124,711‌
5,663‌
Boingo
Wireless
Inc
(e)
48,878‌
706‌
Cardlytics
Inc
(e)
4,005‌
266‌
Cargurus
Inc
(e)
13,386‌
387‌
CarParts.com
Inc
(e)
3,008‌
41‌
ChannelAdvisor
Corp
(e)
4,225‌
86‌
Cogent
Communications
Holdings
Inc
76,463‌
6,890‌
Endurance
International
Group
Holdings
Inc
(e)
10,247‌
58‌
ePlus
Inc
(e)
1,716‌
128‌
Etsy
Inc
(e)
73,777‌
8,734‌
Eventbrite
Inc
(e)
9,845‌
84‌
EverQuote
Inc
(e)
86,425‌
4,706‌
GlobalSCAPE
Inc
2,208‌
21‌
Limelight
Networks
Inc
(e)
17,989‌
113‌
LiveXLive
Media
Inc
(a),(e)
580‌
2‌
Magnite
Inc
(e)
8,898‌
53‌
MakeMyTrip
Ltd
(e)
423,126‌
6,588‌
Meet
Group
Inc/The
(e)
10,659‌
66‌
Mimecast
Ltd
(e)
362,470‌
17,010‌
NIC
Inc
10,200‌
224‌
Overstock.com
Inc
(e)
5,100‌
386‌
Perficient
Inc
(e)
64,525‌
2,530‌
Q2
Holdings
Inc
(e)
48,598‌
4,571‌
QuinStreet
Inc
(e)
2,360‌
28‌
RealReal
Inc/The
(e)
499,538‌
6,814‌
Shutterstock
Inc
3,011‌
164‌
Stamps.com
Inc
(e)
11,972‌
3,116‌
Stitch
Fix
Inc
(a),(e)
129,575‌
2,870‌
TechTarget
Inc
(e)
3,613‌
131‌
Tucows
Inc
(a),(e)
1,448‌
88‌
Upwork
Inc
(e)
14,377‌
216‌
VirnetX
Holding
Corp
5,080‌
26‌
Yelp
Inc
(e)
2,016‌
50‌
Zix
Corp
(e)
8,468‌
60‌
$
73,235‌
Investment
Companies
-
0.01%
Brookfield
Infrastructure
Corp
2,487‌
114‌
Brookfield
Renewable
Corp
550‌
25‌
Grid
Dynamics
Holdings
Inc
(e)
3,361‌
22‌
$
161‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
236
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Leisure
Products
&
Services
-
1.71%
Acushnet
Holdings
Corp
1,239‌
$
47‌
Camping
World
Holdings
Inc
5,084‌
186‌
Clarus
Corp
329,967‌
3,953‌
Fox
Factory
Holding
Corp
(e)
147,626‌
13,139‌
Johnson
Outdoors
Inc
400‌
35‌
Lindblad
Expeditions
Holdings
Inc
(e)
3,998‌
29‌
Malibu
Boats
Inc
(e)
3,180‌
187‌
Marine
Products
Corp
1,111‌
14‌
MasterCraft
Boat
Holdings
Inc
(e)
2,870‌
60‌
OneSpaWorld
Holdings
Ltd
291,118‌
1,619‌
OneWater
Marine
Inc
(e)
719‌
18‌
Planet
Fitness
Inc
(e)
233,147‌
12,170‌
YETI
Holdings
Inc
(e)
90,556‌
4,427‌
$
35,884‌
Lodging
-
0.22%
Choice
Hotels
International
Inc
50,698‌
4,260‌
Hilton
Grand
Vacations
Inc
(e)
13,203‌
268‌
St
Joe
Co/The
(e)
2,508‌
52‌
$
4,580‌
Machinery
-
Construction
&
Mining
-
0.46%
Bloom
Energy
Corp
(a),(e)
12,407‌
151‌
BWX
Technologies
Inc
175,994‌
9,595‌
$
9,746‌
Machinery
-
Diversified
-
1.85%
Alamo
Group
Inc
1,240‌
128‌
Albany
International
Corp
3,926‌
189‌
Applied
Industrial
Technologies
Inc
2,372‌
150‌
Cactus
Inc
115,659‌
2,616‌
Chart
Industries
Inc
(e)
215,020‌
14,736‌
CSW
Industrials
Inc
2,181‌
146‌
Gencor
Industries
Inc
(e)
166‌
2‌
Gorman-Rupp
Co/The
431‌
13‌
Ichor
Holdings
Ltd
(e)
3,427‌
112‌
IDEX
Corp
48,411‌
7,979‌
Intevac
Inc
(e)
890‌
5‌
Kadant
Inc
1,770‌
192‌
Lindsay
Corp
1,679‌
163‌
Mueller
Water
Products
Inc
-
Class
A
1,432‌
14‌
Nordson
Corp
32,200‌
6,235‌
Ranpak
Holdings
Corp
(e)
729,511‌
5,960‌
Tennant
Co
2,833‌
189‌
Welbilt
Inc
(e)
5,678‌
34‌
$
38,863‌
Media
-
0.01%
AMC
Networks
Inc
(e)
2,424‌
56‌
Central
European
Media
Enterprises
Ltd
(e)
6,611‌
26‌
Gray
Television
Inc
(e)
4,208‌
60‌
Meredith
Corp
3,109‌
45‌
Value
Line
Inc
151‌
4‌
WideOpenWest
Inc
(e)
4,052‌
22‌
$
213‌
Metal
Fabrication
&
Hardware
-
0.05%
Advanced
Drainage
Systems
Inc
7,661‌
375‌
Helios
Technologies
Inc
2,016‌
76‌
Lawson
Products
Inc/DE
(e)
415‌
13‌
Omega
Flex
Inc
449‌
55‌
RBC
Bearings
Inc
(e)
3,817‌
467‌
Rexnord
Corp
1,269‌
37‌
$
1,023‌
Mining
-
0.03%
Caledonia
Mining
Corp
PLC
(a)
605‌
14‌
Compass
Minerals
International
Inc
5,293‌
270‌
Novagold
Resources
Inc
(e)
34,336‌
313‌
United
States
Lime
&
Minerals
Inc
16‌
1‌
Uranium
Energy
Corp
(e)
10,713‌
10‌
$
608‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Miscellaneous
Manufacturers
-
2.02%
Axon
Enterprise
Inc
(e)
121,880‌
$
10,132‌
Carlisle
Cos
Inc
23,184‌
2,761‌
Chase
Corp
1,142‌
115‌
Enerpac
Tool
Group
Corp
3,150‌
60‌
ESCO
Technologies
Inc
40,140‌
3,450‌
Fabrinet
(e)
5,691‌
413‌
Federal
Signal
Corp
8,550‌
264‌
ITT
Inc
147,610‌
8,521‌
John
Bean
Technologies
Corp
168,389‌
15,787‌
Materion
Corp
956‌
55‌
Myers
Industries
Inc
2,044‌
31‌
Proto
Labs
Inc
(e)
4,143‌
498‌
Raven
Industries
Inc
490‌
11‌
Sturm
Ruger
&
Co
Inc
2,298‌
187‌
Trinseo
SA
1,853‌
40‌
$
42,325‌
Office
&
Business
Equipment
-
0.00%
Pitney
Bowes
Inc
10,285‌
34‌
Office
Furnishings
-
0.00%
Interface
Inc
1,696‌
14‌
Oil
&
Gas
-
0.11%
Contango
Oil
&
Gas
Co
(e)
2,546‌
5‌
EQT
Corp
116,200‌
1,687‌
Goodrich
Petroleum
Corp
(e)
832‌
6‌
Magnolia
Oil
&
Gas
Corp
(e)
17,774‌
106‌
Murphy
USA
Inc
(e)
4,273‌
566‌
$
2,370‌
Oil
&
Gas
Services
-
0.00%
DMC
Global
Inc
1,040‌
31‌
Packaging
&
Containers
-
0.01%
O-I
Glass
Inc
18,802‌
196‌
UFP
Technologies
Inc
(e)
86‌
4‌
$
200‌
Pharmaceuticals
-
3.51%
89bio
Inc
(a),(e)
453‌
14‌
AcelRx
Pharmaceuticals
Inc
(e)
3,224‌
4‌
Adamas
Pharmaceuticals
Inc
(e)
143,337‌
355‌
AdaptHealth
Corp
(e)
124,096‌
2,418‌
Aeglea
BioTherapeutics
Inc
(e)
5,524‌
38‌
Aerie
Pharmaceuticals
Inc
(e)
5,683‌
66‌
Agile
Therapeutics
Inc
(a),(e)
9,784‌
24‌
Aimmune
Therapeutics
Inc
(a),(e)
111,697‌
1,475‌
Akcea
Therapeutics
Inc
(e)
1,118‌
12‌
Akebia
Therapeutics
Inc
(e)
20,176‌
225‌
Alector
Inc
(e)
7,172‌
112‌
Allovir
Inc
(e)
95,872‌
2,387‌
Amneal
Pharmaceuticals
Inc
(e)
15,373‌
67‌
Amphastar
Pharmaceuticals
Inc
(e)
5,497‌
110‌
Antares
Pharma
Inc
(e)
25,457‌
66‌
Aquestive
Therapeutics
Inc
(e)
3,077‌
16‌
Artana
Therapeutics
(e),(f),(g)
6,221‌
—‌
Arvinas
Inc
(e)
4,530‌
143‌
Athenex
Inc
(e)
11,409‌
121‌
Avenue
Therapeutics
Inc
(e)
1,099‌
11‌
Axcella
Health
Inc
(e)
1,472‌
7‌
Axsome
Therapeutics
Inc
(e)
64,291‌
4,586‌
Beyond
Air
Inc
(e)
2,024‌
13‌
Beyondspring
Inc
(e)
1,956‌
22‌
BioDelivery
Sciences
International
Inc
(e)
402,750‌
1,688‌
BioSpecifics
Technologies
Corp
(e)
965‌
60‌
Bioxcel
Therapeutics
Inc
(e)
74,790‌
3,392‌
Calyxt
Inc
(e)
1,589‌
7‌
Cassava
Sciences
Inc
(a),(e)
1,362‌
4‌
Catalyst
Pharmaceuticals
Inc
(e)
15,043‌
65‌
Checkpoint
Therapeutics
Inc
(e)
6,746‌
15‌
Chiasma
Inc
(e)
5,677‌
25‌
Cidara
Therapeutics
Inc
(e)
4,079‌
15‌
Clovis
Oncology
Inc
(a),(e)
11,204‌
65‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
237
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
(continued)
Coherus
Biosciences
Inc
(e)
420,082‌
$
7,389‌
Collegium
Pharmaceutical
Inc
(e)
119,328‌
1,883‌
Corbus
Pharmaceuticals
Holdings
Inc
(a),(e)
10,267‌
64‌
Corcept
Therapeutics
Inc
(e)
14,879‌
222‌
CorMedix
Inc
(a),(e)
3,717‌
17‌
Cytokinetics
Inc
(e)
7,615‌
165‌
Dova
Pharmaceuticals
Inc
(e),(f),(g)
1,117‌
1‌
Durect
Corp
(e)
30,608‌
60‌
Eagle
Pharmaceuticals
Inc/DE
(e)
1,687‌
78‌
Eidos
Therapeutics
Inc
(e)
1,693‌
68‌
Eloxx
Pharmaceuticals
Inc
(e)
4,400‌
12‌
Enanta
Pharmaceuticals
Inc
(e)
253‌
12‌
Endo
International
PLC
(e)
15,092‌
53‌
Eton
Pharmaceuticals
Inc
(a),(e)
2,434‌
16‌
Evofem
Biosciences
Inc
(a),(e)
6,778‌
20‌
Fennec
Pharmaceuticals
Inc
(a),(e)
3,345‌
28‌
Flexion
Therapeutics
Inc
(e)
5,305‌
72‌
Fortress
Biotech
Inc
(e)
8,988‌
25‌
Fulcrum
Therapeutics
Inc
(e)
1,936‌
31‌
G1
Therapeutics
Inc
(e)
2,472‌
36‌
Galectin
Therapeutics
Inc
(a),(e)
5,754‌
15‌
Global
Blood
Therapeutics
Inc
(e)
67,232‌
4,537‌
Gritstone
Oncology
Inc
(e)
789‌
3‌
Harpoon
Therapeutics
Inc
(e)
1,635‌
18‌
Harrow
Health
Inc
(e)
3,465‌
19‌
Heron
Therapeutics
Inc
(e)
13,580‌
221‌
Heska
Corp
(e)
387‌
37‌
Hookipa
Pharma
Inc
(a),(e)
1,795‌
17‌
Horizon
Therapeutics
Plc
(e)
159,585‌
9,765‌
Ideaya
Biosciences
Inc
(e)
376‌
5‌
IMARA
Inc
(e)
763‌
15‌
Intellia
Therapeutics
Inc
(e)
6,791‌
121‌
Intra-Cellular
Therapies
Inc
(e)
3,236‌
64‌
Ironwood
Pharmaceuticals
Inc
(e)
24,733‌
227‌
Kadmon
Holdings
Inc
(e)
25,002‌
92‌
Kala
Pharmaceuticals
Inc
(a),(e)
6,133‌
54‌
KalVista
Pharmaceuticals
Inc
(e)
431‌
4‌
Kura
Oncology
Inc
(e)
8,219‌
135‌
La
Jolla
Pharmaceutical
Co
(a),(e)
2,791‌
11‌
Lifevantage
Corp
(e)
2,122‌
27‌
Madrigal
Pharmaceuticals
Inc
(e)
39,765‌
4,080‌
MannKind
Corp
(e)
532,307‌
830‌
Marinus
Pharmaceuticals
Inc
(e)
13,113‌
22‌
MediciNova
Inc
(a),(e)
6,528‌
41‌
Minerva
Neurosciences
Inc
(e)
5,041‌
18‌
Mirum
Pharmaceuticals
Inc
(a),(e)
332‌
7‌
Momenta
Pharmaceuticals
Inc
(e)
17,138‌
505‌
Morphic
Holding
Inc
(a),(e)
2,120‌
48‌
MyoKardia
Inc
(e)
6,739‌
607‌
Neogen
Corp
(e)
8,178‌
628‌
Neoleukin
Therapeutics
Inc
(e)
4,599‌
45‌
Neubase
Therapeutics
Inc
(e)
2,673‌
20‌
NeuroBo
Pharmaceuticals
Inc
(a),(e)
706‌
5‌
Neurocrine
Biosciences
Inc
(e)
76,966‌
9,264‌
Ocular
Therapeutix
Inc
(a),(e)
7,944‌
62‌
Odonate
Therapeutics
Inc
(e)
2,024‌
74‌
Optinose
Inc
(a),(e)
4,780‌
24‌
Option
Care
Health
Inc
(e)
4,923‌
58‌
ORIC
Pharmaceuticals
Inc
(a),(e)
38,268‌
768‌
Pacira
BioSciences
Inc
(e)
6,407‌
337‌
Paratek
Pharmaceuticals
Inc
(e)
5,907‌
26‌
Passage
Bio
Inc
(e)
72,636‌
1,136‌
PhaseBio
Pharmaceuticals
Inc
(a),(e)
2,470‌
10‌
Prestige
Consumer
Healthcare
Inc
(e)
2,750‌
102‌
Principia
Biopharma
Inc
(e)
4,163‌
348‌
Protagonist
Therapeutics
Inc
(e)
3,497‌
55‌
Reata
Pharmaceuticals
Inc
(e)
8,563‌
1,265‌
Recro
Pharma
Inc
(e)
3,003‌
12‌
Relmada
Therapeutics
Inc
(a),(e)
2,176‌
79‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
(continued)
Revance
Therapeutics
Inc
(e)
215,010‌
$
5,049‌
Rhythm
Pharmaceuticals
Inc
(e)
5,207‌
100‌
Rockwell
Medical
Inc
(e)
9,384‌
16‌
scPharmaceuticals
Inc
(e)
887‌
7‌
Seres
Therapeutics
Inc
(e)
6,809‌
25‌
SIGA
Technologies
Inc
(e)
8,381‌
54‌
Spero
Therapeutics
Inc
(e)
1,989‌
23‌
Supernus
Pharmaceuticals
Inc
(e)
1,684‌
38‌
Synergy
Pharmaceuticals
LLC
(e),(f),(g)
28,172‌
—‌
Syros
Pharmaceuticals
Inc
(e)
6,432‌
61‌
TG
Therapeutics
Inc
(e)
12,783‌
250‌
TherapeuticsMD
Inc
(a),(e)
30,987‌
57‌
Tricida
Inc
(e)
4,380‌
59‌
UroGen
Pharma
Ltd
(a),(e)
1,831‌
40‌
USANA
Health
Sciences
Inc
(e)
1,792‌
145‌
Verrica
Pharmaceuticals
Inc
(a),(e)
1,925‌
13‌
Voyager
Therapeutics
Inc
(e)
4,003‌
44‌
vTv
Therapeutics
Inc
(e)
1,602‌
4‌
Xeris
Pharmaceuticals
Inc
(a),(e)
5,358‌
15‌
Zogenix
Inc
(e)
163,720‌
3,895‌
$
73,638‌
Pipelines
-
0.16%
New
Fortress
Energy
LLC
(a),(e)
159,192‌
3,439‌
NextDecade
Corp
(e)
351‌
—‌
$
3,439‌
Real
Estate
-
0.05%
Cushman
&
Wakefield
PLC
(e)
5,841‌
63‌
eXp
World
Holdings
Inc
(e)
3,694‌
73‌
Griffin
Industrial
Realty
Inc
261‌
13‌
Legacy
Housing
Corp
(e)
334‌
5‌
Marcus
&
Millichap
Inc
(e)
355‌
10‌
Maui
Land
&
Pineapple
Co
Inc
(e)
501‌
5‌
McGrath
RentCorp
2,120‌
123‌
Redfin
Corp
(e)
14,872‌
618‌
RMR
Group
Inc/The
2,129‌
61‌
Safehold
Inc
1,461‌
74‌
$
1,045‌
REITs
-
1.73%
Alexander's
Inc
309‌
78‌
Bluerock
Residential
Growth
REIT
Inc
1,318‌
10‌
CareTrust
REIT
Inc
2,043‌
37‌
CatchMark
Timber
Trust
Inc
836‌
8‌
CIM
Commercial
Trust
Corp
1,715‌
17‌
Clipper
Realty
Inc
1,871‌
13‌
Community
Healthcare
Trust
Inc
3,264‌
149‌
Easterly
Government
Properties
Inc
11,693‌
286‌
EastGroup
Properties
Inc
88,418‌
11,729‌
Four
Corners
Property
Trust
Inc
10,906‌
275‌
Gladstone
Commercial
Corp
1,119‌
20‌
Gladstone
Land
Corp
1,381‌
22‌
Innovative
Industrial
Properties
Inc
1,071‌
112‌
LTC
Properties
Inc
2,269‌
84‌
Monmouth
Real
Estate
Investment
Corp
174,307‌
2,516‌
National
Health
Investors
Inc
2,180‌
135‌
National
Storage
Affiliates
Trust
9,600‌
296‌
NexPoint
Residential
Trust
Inc
513‌
20‌
Plymouth
Industrial
REIT
Inc
2,280‌
30‌
PS
Business
Parks
Inc
3,115‌
430‌
QTS
Realty
Trust
Inc
262,411‌
18,880‌
Ryman
Hospitality
Properties
Inc
6,764‌
217‌
Saul
Centers
Inc
1,606‌
49‌
STAG
Industrial
Inc
1,879‌
61‌
Terreno
Realty
Corp
4,390‌
267‌
UMH
Properties
Inc
4,413‌
54‌
Uniti
Group
Inc
29,960‌
297‌
Universal
Health
Realty
Income
Trust
1,730‌
120‌
$
36,212‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
238
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
-
6.12%
America's
Car-Mart
Inc/TX
(e)
719‌
$
68‌
Asbury
Automotive
Group
Inc
(e)
1,170‌
117‌
Aspen
Aerogels
Inc
(e)
286‌
2‌
Big
Lots
Inc
477‌
19‌
BJ's
Wholesale
Club
Holdings
Inc
(e)
21,228‌
850‌
Bloomin'
Brands
Inc
13,568‌
156‌
Boot
Barn
Holdings
Inc
(e)
4,053‌
78‌
Brinker
International
Inc
4,498‌
121‌
Casey's
General
Stores
Inc
56,414‌
8,981‌
Children's
Place
Inc/The
(a)
60,341‌
1,473‌
Chuy's
Holdings
Inc
(e)
93,990‌
1,495‌
Cracker
Barrel
Old
Country
Store
Inc
1,582‌
175‌
Dave
&
Buster's
Entertainment
Inc
(a)
2,613‌
32‌
Denny's
Corp
(e)
5,484‌
49‌
Dick's
Sporting
Goods
Inc
76,290‌
3,480‌
Dine
Brands
Global
Inc
166‌
8‌
El
Pollo
Loco
Holdings
Inc
(e)
198‌
4‌
Envela
Corp
(e)
1,081‌
5‌
FirstCash
Inc
6,304‌
363‌
Five
Below
Inc
(e)
88,046‌
9,589‌
Floor
&
Decor
Holdings
Inc
(e)
119,400‌
7,868‌
Foundation
Building
Materials
Inc
(e)
719‌
10‌
Freshpet
Inc
(e)
298,982‌
28,717‌
GrowGeneration
Corp
(e)
4,445‌
38‌
Jack
in
the
Box
Inc
84,559‌
6,943‌
Lithia
Motors
Inc
30,252‌
6,932‌
Lovesac
Co/The
(a),(e)
81,554‌
2,592‌
Lumber
Liquidators
Holdings
Inc
(e)
646‌
14‌
National
Vision
Holdings
Inc
(e)
444,816‌
14,230‌
Noodles
&
Co
(e)
200,442‌
1,393‌
Ollie's
Bargain
Outlet
Holdings
Inc
(e)
73,620‌
7,737‌
OptimizeRx
Corp
(e)
2,231‌
32‌
Papa
John's
International
Inc
4,270‌
404‌
PC
Connection
Inc
120‌
5‌
PetIQ
Inc
(e)
3,186‌
116‌
PetMed
Express
Inc
(a)
3,027‌
94‌
PriceSmart
Inc
218‌
14‌
RH
(e)
2,591‌
745‌
Ruth's
Hospitality
Group
Inc
4,110‌
28‌
Shake
Shack
Inc
(e)
5,436‌
264‌
Sportsman's
Warehouse
Holdings
Inc
(e)
6,627‌
107‌
Texas
Roadhouse
Inc
189,892‌
10,670‌
Tilly's
Inc
137,784‌
828‌
Waitr
Holdings
Inc
(e)
11,768‌
63‌
Wingstop
Inc
72,899‌
11,391‌
Winmark
Corp
129‌
21‌
$
128,321‌
Savings
&
Loans
-
0.34%
Axos
Financial
Inc
(e)
724‌
16‌
FS
Bancorp
Inc
58‌
2‌
Greene
County
Bancorp
Inc
55‌
1‌
Hingham
Institution
For
Savings
The
13‌
2‌
Investors
Bancorp
Inc
10,080‌
82‌
OceanFirst
Financial
Corp
156,824‌
2,403‌
Pacific
Premier
Bancorp
Inc
224,158‌
4,710‌
Waterstone
Financial
Inc
207‌
3‌
$
7,219‌
Semiconductors
-
5.40%
Ambarella
Inc
(e)
1,540‌
70‌
Amkor
Technology
Inc
(e)
2,565‌
35‌
Atomera
Inc
(a),(e)
2,218‌
24‌
Axcelis
Technologies
Inc
(e)
4,659‌
137‌
Brooks
Automation
Inc
11,257‌
613‌
Cabot
Microelectronics
Corp
4,500‌
678‌
CEVA
Inc
(e)
3,361‌
135‌
Cohu
Inc
426‌
8‌
Cree
Inc
(e)
137,035‌
9,444‌
Diodes
Inc
(e)
1,142‌
59‌
DSP
Group
Inc
(e)
3,084‌
46‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Semiconductors
(continued)
Entegris
Inc
112,430‌
$
8,085‌
FormFactor
Inc
(e)
11,827‌
341‌
Impinj
Inc
(e)
2,608‌
62‌
Inphi
Corp
(e)
71,740‌
9,373‌
Intellicheck
Inc
(e)
2,462‌
18‌
Lattice
Semiconductor
Corp
(e)
942,621‌
29,306‌
MACOM
Technology
Solutions
Holdings
Inc
(e)
487,743‌
20,612‌
MaxLinear
Inc
(e)
6,199‌
157‌
MKS
Instruments
Inc
86,545‌
11,029‌
Monolithic
Power
Systems
Inc
8,524‌
2,259‌
Onto
Innovation
Inc
(e)
72,564‌
2,745‌
Pixelworks
Inc
(e)
5,141‌
16‌
Power
Integrations
Inc
4,567‌
557‌
Semtech
Corp
(e)
55,588‌
3,098‌
Silicon
Laboratories
Inc
(e)
136,861‌
13,756‌
SiTime
Corp
(e)
778‌
41‌
Synaptics
Inc
(e)
4,982‌
399‌
Ultra
Clean
Holdings
Inc
(e)
6,138‌
185‌
$
113,288‌
Software
-
11.08%
1Life
Healthcare
Inc
(a),(e)
3,304‌
98‌
ACI
Worldwide
Inc
(e)
17,755‌
476‌
Agilysys
Inc
(e)
2,815‌
59‌
Akerna
Corp
(e)
1,481‌
10‌
Allscripts
Healthcare
Solutions
Inc
(e)
1,415‌
13‌
Altair
Engineering
Inc
(e)
6,505‌
262‌
American
Software
Inc/GA
4,637‌
76‌
Appfolio
Inc
(e)
2,475‌
345‌
Appian
Corp
(a),(e)
5,089‌
259‌
Aspen
Technology
Inc
(e)
45,456‌
4,421‌
Avaya
Holdings
Corp
(e)
14,369‌
182‌
Avid
Technology
Inc
(e)
4,839‌
40‌
Bandwidth
Inc
(e)
2,971‌
430‌
Benefitfocus
Inc
(e)
4,493‌
53‌
Blackbaud
Inc
7,661‌
479‌
Blackline
Inc
(e)
282,755‌
25,139‌
Bottomline
Technologies
DE
Inc
(e)
6,709‌
324‌
Box
Inc
(e)
22,868‌
410‌
Brightcove
Inc
(e)
6,046‌
64‌
Broadridge
Financial
Solutions
Inc
4,826‌
648‌
Cloudera
Inc
(e)
15,461‌
174‌
CommVault
Systems
Inc
(e)
6,476‌
285‌
Cornerstone
OnDemand
Inc
(e)
9,397‌
334‌
CSG
Systems
International
Inc
5,067‌
213‌
Daily
Journal
Corp
(a),(e)
137‌
39‌
Digital
Turbine
Inc
(e)
12,765‌
177‌
Domo
Inc
(e)
3,948‌
127‌
Dynatrace
Inc
(e)
281,876‌
11,791‌
Ebix
Inc
2,256‌
50‌
eGain
Corp
(e)
1,174‌
12‌
Envestnet
Inc
(e)
32,271‌
2,620‌
Everbridge
Inc
(e)
71,140‌
10,159‌
Evolent
Health
Inc
(e)
1,883‌
22‌
Fastly
Inc
(e)
71,521‌
6,901‌
Five9
Inc
(e)
86,456‌
10,446‌
Glu
Mobile
Inc
(e)
679,211‌
6,412‌
Guidewire
Software
Inc
(e)
46,754‌
5,501‌
Health
Catalyst
Inc
(e)
231,155‌
8,067‌
HubSpot
Inc
(e)
27,582‌
6,471‌
Immersion
Corp
(e)
2,200‌
15‌
Inovalon
Holdings
Inc
(e)
11,432‌
269‌
Intelligent
Systems
Corp
(e)
1,112‌
34‌
J2
Global
Inc
(e)
7,184‌
407‌
Jamf
Holding
Corp
(e)
18,100‌
735‌
LivePerson
Inc
(e)
9,442‌
406‌
Majesco
(e)
1,237‌
16‌
Manhattan
Associates
Inc
(e)
96,230‌
9,218‌
ManTech
International
Corp/VA
31,243‌
2,174‌
MicroStrategy
Inc
(e)
759‌
94‌
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
239
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
(continued)
MobileIron
Inc
(e)
14,919‌
$
93‌
Model
N
Inc
(e)
161,412‌
6,208‌
NantHealth
Inc
(e)
4,176‌
19‌
nCino
Inc
(e)
14,280‌
1,130‌
New
Relic
Inc
(e)
34,144‌
2,421‌
Nuance
Communications
Inc
(e)
310,960‌
8,505‌
Omnicell
Inc
(e)
6,582‌
463‌
Ontrak
Inc
(a),(e)
1,215‌
46‌
Park
City
Group
Inc
(e)
422‌
2‌
PDF
Solutions
Inc
(e)
4,142‌
102‌
Phreesia
Inc
(e)
205,703‌
6,183‌
Pluralsight
Inc
(e)
274,952‌
5,821‌
Progress
Software
Corp
6,955‌
242‌
PROS
Holdings
Inc
(e)
177,110‌
5,779‌
QAD
Inc
1,789‌
71‌
Red
Violet
Inc
(e)
1,001‌
15‌
Rosetta
Stone
Inc
(e)
442‌
12‌
Sailpoint
Technologies
Holdings
Inc
(e)
158,763‌
5,001‌
Sapiens
International
Corp
NV
3,969‌
121‌
Schrodinger
Inc/United
States
(a),(e)
2,137‌
155‌
Simulations
Plus
Inc
1,949‌
137‌
Smartsheet
Inc
(e)
118,576‌
5,661‌
Smith
Micro
Software
Inc
(e)
5,180‌
21‌
Sprout
Social
Inc
(e)
1,229‌
36‌
SPS
Commerce
Inc
(e)
5,446‌
409‌
SVMK
Inc
(e)
281,696‌
6,755‌
Tabula
Rasa
HealthCare
Inc
(a),(e)
154,026‌
8,656‌
Upland
Software
Inc
(e)
3,535‌
122‌
Verint
Systems
Inc
(e)
4,448‌
200‌
Veritone
Inc
(a),(e)
3,556‌
40‌
Verra
Mobility
Corp
(e)
20,728‌
212‌
Vertex
Inc
(e)
175,308‌
4,130‌
Workiva
Inc
(e)
279,195‌
15,607‌
Xperi
Holding
Corp
1,146‌
21‌
Yext
Inc
(e)
15,671‌
264‌
Zuora
Inc
(e)
644,023‌
7,496‌
Zynga
Inc
(e)
2,354,333‌
23,143‌
$
232,256‌
Telecommunications
-
1.91%
A10
Networks
Inc
(e)
9,561‌
77‌
Acacia
Communications
Inc
(e)
6,024‌
410‌
Anterix
Inc
(e)
2,062‌
90‌
ATN
International
Inc
99‌
6‌
CalAmp
Corp
(e)
3,415‌
27‌
Calix
Inc
(e)
7,526‌
154‌
Cambium
Networks
Corp
(e)
920‌
11‌
Casa
Systems
Inc
(e)
4,910‌
28‌
Ciena
Corp
(e)
160,411‌
9,546‌
Cincinnati
Bell
Inc
(e)
2,530‌
38‌
Clearfield
Inc
(e)
1,729‌
32‌
Consolidated
Communications
Holdings
Inc
(e)
1,152‌
9‌
Extreme
Networks
Inc
(e)
18,061‌
82‌
GCI
Liberty
Inc
(e)
262,077‌
20,544‌
Gogo
Inc
(a),(e)
8,371‌
24‌
GTT
Communications
Inc
(a),(e)
4,936‌
31‌
HC2
Holdings
Inc
(e)
6,778‌
18‌
IDT
Corp
-
Class
B
(e)
1,610‌
11‌
Infinera
Corp
(e)
12,064‌
95‌
Inseego
Corp
(a),(e)
10,564‌
142‌
InterDigital
Inc
1,496‌
90‌
Iridium
Communications
Inc
(e)
11,739‌
322‌
Loral
Space
&
Communications
Inc
457‌
8‌
Luna
Innovations
Inc
(e)
4,485‌
26‌
NeoPhotonics
Corp
(e)
5,181‌
47‌
Ooma
Inc
(e)
3,215‌
49‌
ORBCOMM
Inc
(e)
1,601‌
7‌
Plantronics
Inc
1,698‌
34‌
Resonant
Inc
(a),(e)
7,657‌
21‌
Shenandoah
Telecommunications
Co
7,467‌
375‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Telecommunications
(continued)
Viavi
Solutions
Inc
(e)
372,169‌
$
5,147‌
Vonage
Holdings
Corp
(e)
209,826‌
2,507‌
$
40,008‌
Textiles
-
0.00%
UniFirst
Corp/MA
130‌
24‌
Transportation
-
1.51%
Air
Transport
Services
Group
Inc
(e)
128,589‌
3,134‌
Ardmore
Shipping
Corp
760‌
3‌
Atlas
Air
Worldwide
Holdings
Inc
(e)
275‌
14‌
CryoPort
Inc
(a),(e)
5,196‌
172‌
Daseke
Inc
(e)
7,057‌
30‌
Dorian
LPG
Ltd
(e)
825‌
7‌
Echo
Global
Logistics
Inc
(e)
127,550‌
3,197‌
Forward
Air
Corp
2,655‌
138‌
Knight-Swift
Transportation
Holdings
Inc
303,252‌
13,189‌
Marten
Transport
Ltd
2,976‌
79‌
PAM
Transportation
Services
Inc
(e)
41‌
1‌
Saia
Inc
(e)
94,532‌
11,292‌
Universal
Logistics
Holdings
Inc
822‌
15‌
Werner
Enterprises
Inc
8,367‌
368‌
$
31,639‌
Water
-
0.06%
American
States
Water
Co
5,715‌
439‌
Artesian
Resources
Corp
76‌
3‌
California
Water
Service
Group
6,971‌
327‌
Global
Water
Resources
Inc
1,875‌
19‌
Middlesex
Water
Co
2,641‌
169‌
SJW
Group
2,161‌
135‌
York
Water
Co/The
2,010‌
93‌
$
1,185‌
TOTAL
COMMON
STOCKS
$
2,016,995‌
Total
Investments
$
2,127,847‌
Other
Assets
and
Liabilities
-  (1.48)%
(30,985‌)
TOTAL
NET
ASSETS
-
100.00%
$
2,096,862‌
(a)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(b)
Current
yield
shown
is
as
of
period
end.
(c)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$43,398
or
2.07%
of
net
assets.
(d)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(e)
Non-income
producing
security
(f)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(g)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$15
or
0.00%
of
net
assets.
Schedule
of
Investments
SmallCap
Growth
Fund
I
July
31,
2020
(unaudited)
See
accompanying
notes.
240
Portfolio
Summary  (unaudited)
Sector
Percent
Consumer,
Non-cyclical
32.75‌%
Technology
19.72‌%
Industrial
16.47‌%
Consumer,
Cyclical
13.31‌%
Financial
7.34‌%
Communications
5.41‌%
Money
Market
Funds
5.24‌%
Basic
Materials
0.72‌%
Energy
0.34‌%
Utilities
0.13‌%
Investment
Companies
0.05‌%
Other
Assets
and
Liabilities
(1.48‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
92,323‌
$
865,183‌
$
851,909‌
$
105,597‌
Principal
Healthcare
Innovators
Index
ETF
248‌
—‌
335‌
—‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
868‌
—‌
704‌
—‌
$
93,439‌
$
865,183‌
$
852,948‌
$
105,597‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
404‌
$
—‌
$
—‌
$
—‌
Principal
Healthcare
Innovators
Index
ETF
—‌
100‌
—‌
(13‌)
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
6‌
(168‌)
—‌
4‌
$
410‌
$
(68‌)
$
—‌
$
(9‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
Russell
2000
Emini;
September
2020
Long
98‌
$
7,241‌
$
285‌
Total
$
285‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
241
INVESTMENT
COMPANIES
-
2.55%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.09%
iShares
Core
S&P
Small-Cap
ETF
14,044‌
$
1,000‌
Money
Market
Funds
-
2.46%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
1,917,948‌
1,918‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
24,333,451‌
24,333‌
$
26,251‌
TOTAL
INVESTMENT
COMPANIES
$
27,251‌
COMMON
STOCKS
-
98.90%
Shares
Held
Value
(000's)
Aerospace
&
Defense
-
1.57%
AAR
Corp
52,122‌
$
897‌
Aerojet
Rocketdyne
Holdings
Inc
(d)
114,128‌
4,708‌
AeroVironment
Inc
(d)
34,116‌
2,612‌
Barnes
Group
Inc
74,903‌
2,762‌
Kaman
Corp
43,669‌
1,724‌
Moog
Inc
47,397‌
2,546‌
National
Presto
Industries
Inc
7,983‌
682‌
Park
Aerospace
Corp
30,794‌
332‌
Triumph
Group
Inc
81,906‌
555‌
$
16,818‌
Agriculture
-
0.55%
Andersons
Inc/The
51,972‌
739‌
Fresh
Del
Monte
Produce
Inc
47,492‌
1,072‌
Phibro
Animal
Health
Corp
32,050‌
744‌
Universal
Corp/VA
38,594‌
1,627‌
Vector
Group
Ltd
188,628‌
1,664‌
$
5,846‌
Airlines
-
0.49%
Allegiant
Travel
Co
20,730‌
2,322‌
Hawaiian
Holdings
Inc
72,588‌
863‌
SkyWest
Inc
79,208‌
2,084‌
$
5,269‌
Apparel
-
1.48%
Capri
Holdings
Ltd
(d)
235,955‌
3,535‌
Crocs
Inc
(d)
106,434‌
3,825‌
Kontoor
Brands
Inc
73,971‌
1,417‌
Oxford
Industries
Inc
26,503‌
1,138‌
Steven
Madden
Ltd
120,851‌
2,560‌
Unifi
Inc
(d)
23,020‌
275‌
Wolverine
World
Wide
Inc
128,253‌
3,083‌
$
15,833‌
Automobile
Manufacturers
-
0.09%
Wabash
National
Corp
83,489‌
951‌
Automobile
Parts
&
Equipment
-
1.57%
American
Axle
&
Manufacturing
Holdings
Inc
(d)
178,643‌
1,261‌
Cooper
Tire
&
Rubber
Co
79,430‌
2,467‌
Cooper-Standard
Holdings
Inc
(d)
26,673‌
286‌
Dorman
Products
Inc
(d)
45,614‌
3,729‌
Garrett
Motion
Inc
(d)
119,407‌
702‌
Gentherm
Inc
(d)
51,498‌
1,997‌
Meritor
Inc
(d)
114,149‌
2,597‌
Methode
Electronics
Inc
58,593‌
1,652‌
Motorcar
Parts
of
America
Inc
(d)
29,959‌
499‌
Standard
Motor
Products
Inc
31,724‌
1,443‌
Titan
International
Inc
79,459‌
118‌
$
16,751‌
Banks
-
7.58%
Allegiance
Bancshares
Inc
29,653‌
723‌
Ameris
Bancorp
103,112‌
2,379‌
BancFirst
Corp
28,308‌
1,233‌
Banner
Corp
55,537‌
1,968‌
Cadence
BanCorp
198,935‌
1,554‌
Central
Pacific
Financial
Corp
44,414‌
691‌
City
Holding
Co
25,512‌
1,593‌
Columbia
Banking
System
Inc
113,060‌
3,271‌
Community
Bank
System
Inc
82,296‌
4,627‌
Customers
Bancorp
Inc
(d)
45,736‌
542‌
CVB
Financial
Corp
203,366‌
3,675‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Eagle
Bancorp
Inc
50,862‌
$
1,530‌
First
BanCorp/Puerto
Rico
344,628‌
1,875‌
First
Commonwealth
Financial
Corp
155,026‌
1,220‌
First
Financial
Bancorp
154,756‌
2,153‌
First
Hawaiian
Inc
205,095‌
3,565‌
First
Midwest
Bancorp
Inc/IL
180,424‌
2,189‌
Flagstar
Bancorp
Inc
54,666‌
1,715‌
Franklin
Financial
Network
Inc
21,445‌
566‌
Great
Western
Bancorp
Inc
86,907‌
1,130‌
Hanmi
Financial
Corp
48,366‌
446‌
Heritage
Financial
Corp/WA
56,693‌
1,072‌
HomeStreet
Inc
36,959‌
977‌
Hope
Bancorp
Inc
194,609‌
1,641‌
Independent
Bank
Corp
52,029‌
3,357‌
Independent
Bank
Group
Inc
57,794‌
2,539‌
Meta
Financial
Group
Inc
50,297‌
939‌
National
Bank
Holdings
Corp
48,280‌
1,341‌
NBT
Bancorp
Inc
68,856‌
2,051‌
OFG
Bancorp
81,105‌
1,061‌
Old
National
Bancorp/IN
260,279‌
3,641‌
Park
National
Corp
22,351‌
1,917‌
Preferred
Bank/Los
Angeles
CA
21,442‌
799‌
S&T
Bancorp
Inc
60,133‌
1,293‌
Seacoast
Banking
Corp
of
Florida
(d)
83,264‌
1,572‌
ServisFirst
Bancshares
Inc
73,150‌
2,677‌
Simmons
First
National
Corp
172,141‌
2,856‌
Southside
Bancshares
Inc
49,020‌
1,358‌
Tompkins
Financial
Corp
19,311‌
1,246‌
Triumph
Bancorp
Inc
(d)
35,022‌
918‌
TrustCo
Bank
Corp
NY
152,337‌
882‌
United
Community
Banks
Inc/GA
123,677‌
2,217‌
Veritex
Holdings
Inc
72,423‌
1,211‌
Walker
&
Dunlop
Inc
45,629‌
2,300‌
Westamerica
BanCorp
42,557‌
2,569‌
$
81,079‌
Beverages
-
0.34%
Coca-Cola
Consolidated
Inc
7,333‌
1,683‌
MGP
Ingredients
Inc
20,819‌
755‌
National
Beverage
Corp
(d),(e)
18,411‌
1,181‌
$
3,619‌
Biotechnology
-
1.35%
AMAG
Pharmaceuticals
Inc
(d),(e)
54,141‌
517‌
ANI
Pharmaceuticals
Inc
(d)
14,997‌
444‌
Innoviva
Inc
(d)
105,638‌
1,431‌
Myriad
Genetics
Inc
(d)
117,775‌
1,422‌
NeoGenomics
Inc
(d)
173,446‌
6,631‌
REGENXBIO
Inc
(d)
50,004‌
1,655‌
Xencor
Inc
(d)
78,345‌
2,357‌
$
14,457‌
Building
Materials
-
3.07%
AAON
Inc
64,114‌
3,799‌
American
Woodmark
Corp
(d)
24,599‌
1,983‌
Apogee
Enterprises
Inc
41,578‌
898‌
Boise
Cascade
Co
61,920‌
2,885‌
Gibraltar
Industries
Inc
(d)
51,196‌
2,648‌
Griffon
Corp
68,184‌
1,559‌
Patrick
Industries
Inc
34,903‌
2,232‌
PGT
Innovations
Inc
(d)
93,085‌
1,589‌
Simpson
Manufacturing
Co
Inc
62,482‌
6,033‌
SPX
Corp
(d)
70,390‌
2,956‌
UFP
Industries
Inc
96,524‌
5,620‌
US
Concrete
Inc
(d)
25,020‌
621‌
$
32,823‌
Chemicals
-
2.78%
AdvanSix
Inc
(d)
44,238‌
551‌
American
Vanguard
Corp
41,933‌
564‌
Balchem
Corp
51,052‌
5,118‌
Ferro
Corp
(d)
129,920‌
1,519‌
GCP
Applied
Technologies
Inc
(d)
85,244‌
1,945‌
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
242
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Chemicals
(continued)
Hawkins
Inc
14,894‌
$
768‌
HB
Fuller
Co
81,214‌
3,682‌
Innospec
Inc
38,799‌
2,917‌
Koppers
Holdings
Inc
(d)
33,145‌
834‌
Kraton
Corp
(d)
50,320‌
662‌
Quaker
Chemical
Corp
20,480‌
3,973‌
Rayonier
Advanced
Materials
Inc
(d)
78,936‌
230‌
Rogers
Corp
(d)
29,481‌
3,514‌
Stepan
Co
31,597‌
3,450‌
$
29,727‌
Coal
-
0.18%
CONSOL
Energy
Inc
(d)
41,117‌
242‌
SunCoke
Energy
Inc
130,739‌
417‌
Warrior
Met
Coal
Inc
80,830‌
1,287‌
$
1,946‌
Commercial
Services
-
3.88%
ABM
Industries
Inc
105,258‌
3,779‌
American
Public
Education
Inc
(d)
23,350‌
680‌
AMN
Healthcare
Services
Inc
(d)
74,208‌
4,077‌
Arlo
Technologies
Inc
(d)
123,260‌
520‌
Cardtronics
PLC
(d)
56,894‌
1,270‌
CorVel
Corp
(d)
13,911‌
1,106‌
Cross
Country
Healthcare
Inc
(d)
59,177‌
384‌
Deluxe
Corp
65,950‌
1,862‌
EVERTEC
Inc
94,227‌
2,926‌
Forrester
Research
Inc
(d)
16,891‌
593‌
Green
Dot
Corp
(d)
76,997‌
3,903‌
Heidrick
&
Struggles
International
Inc
30,448‌
616‌
HMS
Holdings
Corp
(d)
139,669‌
4,539‌
Kelly
Services
Inc
52,639‌
780‌
Korn
Ferry
86,954‌
2,443‌
Medifast
Inc
18,610‌
3,110‌
Monro
Inc
52,580‌
2,960‌
Perdoceo
Education
Corp
(d)
109,098‌
1,571‌
Rent-A-Center
Inc/TX
76,463‌
2,211‌
Resources
Connection
Inc
47,731‌
539‌
RR
Donnelley
&
Sons
Co
112,633‌
127‌
Team
Inc
(d)
48,383‌
191‌
TrueBlue
Inc
(d)
57,069‌
881‌
Viad
Corp
32,195‌
466‌
$
41,534‌
Computers
-
1.72%
3D
Systems
Corp
(d),(e)
187,794‌
1,238‌
Cubic
Corp
49,444‌
2,077‌
Diebold
Nixdorf
Inc
(d)
122,415‌
853‌
ExlService
Holdings
Inc
(d)
54,210‌
3,473‌
Insight
Enterprises
Inc
(d)
55,707‌
2,776‌
MTS
Systems
Corp
28,259‌
524‌
OneSpan
Inc
(d)
51,583‌
1,606‌
Sykes
Enterprises
Inc
(d)
59,506‌
1,634‌
TTEC
Holdings
Inc
27,970‌
1,327‌
Unisys
Corp
(d)
82,564‌
982‌
Virtusa
Corp
(d)
47,601‌
1,933‌
$
18,423‌
Consumer
Products
-
0.72%
Central
Garden
&
Pet
Co
(d)
15,174‌
575‌
Central
Garden
&
Pet
Co
-
A
Shares
(d)
61,939‌
2,146‌
Quanex
Building
Products
Corp
51,818‌
728‌
WD-40
Co
21,592‌
4,244‌
$
7,693‌
Cosmetics
&
Personal
Care
-
0.11%
Inter
Parfums
Inc
27,894‌
1,141‌
Distribution
&
Wholesale
-
0.62%
Core-Mark
Holding
Co
Inc
71,224‌
1,889‌
Fossil
Group
Inc
(d)
73,501‌
243‌
G-III
Apparel
Group
Ltd
(d)
68,319‌
676‌
Resideo
Technologies
Inc
(d)
194,538‌
2,583‌
ScanSource
Inc
(d)
40,039‌
919‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Distribution
&
Wholesale
(continued)
Veritiv
Corp
(d)
19,801‌
$
303‌
$
6,613‌
Diversified
Financial
Services
-
1.50%
Blucora
Inc
(d)
75,590‌
891‌
Boston
Private
Financial
Holdings
Inc
129,222‌
760‌
Brightsphere
Investment
Group
Inc
98,474‌
1,324‌
Encore
Capital
Group
Inc
(d)
43,913‌
1,604‌
Enova
International
Inc
(d)
47,453‌
764‌
EZCORP
Inc
(d)
82,301‌
471‌
Greenhill
&
Co
Inc
23,144‌
277‌
Piper
Sandler
Cos
22,912‌
1,418‌
PRA
Group
Inc
(d)
71,941‌
2,846‌
StoneX
Group
Inc
(d)
25,805‌
1,354‌
Virtus
Investment
Partners
Inc
11,459‌
1,558‌
Waddell
&
Reed
Financial
Inc
103,666‌
1,513‌
WisdomTree
Investments
Inc
187,801‌
676‌
World
Acceptance
Corp
(d)
8,305‌
617‌
$
16,073‌
Electric
-
0.37%
Avista
Corp
106,303‌
3,947‌
Electrical
Components
&
Equipment
-
0.46%
Encore
Wire
Corp
32,474‌
1,630‌
Insteel
Industries
Inc
28,906‌
539‌
Powell
Industries
Inc
13,943‌
370‌
Vicor
Corp
(d)
29,222‌
2,381‌
$
4,920‌
Electronics
-
3.91%
Advanced
Energy
Industries
Inc
(d)
60,451‌
4,447‌
Alarm.com
Holdings
Inc
(d)
67,009‌
4,693‌
Applied
Optoelectronics
Inc
(d),(e)
30,524‌
434‌
Badger
Meter
Inc
45,998‌
2,880‌
Bel
Fuse
Inc
15,988‌
195‌
Benchmark
Electronics
Inc
57,527‌
1,171‌
Brady
Corp
76,494‌
3,516‌
Comtech
Telecommunications
Corp
39,069‌
642‌
FARO
Technologies
Inc
(d)
27,991‌
1,675‌
Itron
Inc
(d)
56,464‌
3,928‌
Knowles
Corp
(d)
135,909‌
2,074‌
Mesa
Laboratories
Inc
6,391‌
1,514‌
OSI
Systems
Inc
(d)
26,461‌
1,878‌
Plexus
Corp
(d)
46,107‌
3,425‌
Sanmina
Corp
(d)
107,750‌
3,198‌
SMART
Global
Holdings
Inc
(d)
21,603‌
603‌
TTM
Technologies
Inc
(d)
156,086‌
1,921‌
Watts
Water
Technologies
Inc
43,426‌
3,643‌
$
41,837‌
Energy
-
Alternate
Sources
-
0.33%
FutureFuel
Corp
40,770‌
537‌
Green
Plains
Inc
(d)
52,706‌
682‌
Renewable
Energy
Group
Inc
(d)
61,685‌
1,701‌
REX
American
Resources
Corp
(d)
8,697‌
593‌
$
3,513‌
Engineering
&
Construction
-
1.49%
Aegion
Corp
(d)
48,473‌
747‌
Arcosa
Inc
76,160‌
3,216‌
Comfort
Systems
USA
Inc
57,614‌
2,864‌
Exponent
Inc
81,429‌
6,845‌
Granite
Construction
Inc
73,838‌
1,252‌
MYR
Group
Inc
(d)
26,358‌
967‌
$
15,891‌
Entertainment
-
0.06%
Monarch
Casino
&
Resort
Inc
(d)
18,945‌
686‌
Environmental
Control
-
0.32%
Harsco
Corp
(d)
124,615‌
1,989‌
US
Ecology
Inc
40,309‌
1,398‌
$
3,387‌
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
243
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Food
-
1.36%
B&G
Foods
Inc
(e)
101,287‌
$
2,928‌
Calavo
Growers
Inc
25,915‌
1,497‌
Cal-Maine
Foods
Inc
(d)
47,844‌
2,103‌
Chefs'
Warehouse
Inc/The
(d)
48,833‌
563‌
J
&
J
Snack
Foods
Corp
23,573‌
2,903‌
John
B
Sanfilippo
&
Son
Inc
14,121‌
1,245‌
Seneca
Foods
Corp
-
Class
A
(d)
10,665‌
418‌
SpartanNash
Co
56,366‌
1,185‌
United
Natural
Foods
Inc
(d)
84,700‌
1,681‌
$
14,523‌
Forest
Products
&
Paper
-
0.50%
Clearwater
Paper
Corp
(d)
26,174‌
966‌
Mercer
International
Inc
63,406‌
473‌
Neenah
Inc
26,525‌
1,183‌
P
H
Glatfelter
Co
69,999‌
1,115‌
Schweitzer-Mauduit
International
Inc
49,280‌
1,603‌
$
5,340‌
Gas
-
0.56%
Northwest
Natural
Holding
Co
48,227‌
2,579‌
South
Jersey
Industries
Inc
146,064‌
3,408‌
$
5,987‌
Hand
&
Machine
Tools
-
0.31%
Franklin
Electric
Co
Inc
60,530‌
3,272‌
Healthcare
-
Products
-
3.37%
AngioDynamics
Inc
(d)
59,547‌
492‌
BioTelemetry
Inc
(d)
53,939‌
2,296‌
Cardiovascular
Systems
Inc
(d)
55,722‌
1,698‌
CONMED
Corp
45,079‌
3,721‌
CryoLife
Inc
(d)
59,618‌
1,157‌
Cutera
Inc
(d)
27,585‌
393‌
Glaukos
Corp
(d)
62,883‌
2,748‌
Hanger
Inc
(d)
59,701‌
1,042‌
Inogen
Inc
(d)
28,907‌
887‌
Integer
Holdings
Corp
(d)
51,868‌
3,411‌
Invacare
Corp
54,371‌
383‌
Lantheus
Holdings
Inc
(d)
104,322‌
1,406‌
LeMaitre
Vascular
Inc
26,138‌
767‌
Luminex
Corp
67,271‌
2,449‌
Meridian
Bioscience
Inc
(d)
67,664‌
1,657‌
Merit
Medical
Systems
Inc
(d)
87,490‌
3,913‌
Natus
Medical
Inc
(d)
53,398‌
992‌
OraSure
Technologies
Inc
(d)
112,517‌
2,042‌
Orthofix
Medical
Inc
(d)
30,335‌
932‌
Surmodics
Inc
(d)
21,496‌
1,017‌
Tactile
Systems
Technology
Inc
(d)
30,382‌
1,245‌
Varex
Imaging
Corp
(d)
61,766‌
968‌
Zynex
Inc
(d),(e)
24,120‌
461‌
$
36,077‌
Healthcare
-
Services
-
2.22%
Addus
HomeCare
Corp
(d)
21,384‌
2,062‌
Community
Health
Systems
Inc
(d)
189,037‌
941‌
Ensign
Group
Inc/The
79,698‌
3,665‌
Magellan
Health
Inc
(d)
35,105‌
2,604‌
Medpace
Holdings
Inc
(d)
42,471‌
5,069‌
Pennant
Group
Inc/The
(d)
41,442‌
1,039‌
Providence
Service
Corp/The
(d)
18,075‌
1,464‌
RadNet
Inc
(d)
66,082‌
1,050‌
Select
Medical
Holdings
Corp
(d)
169,744‌
3,232‌
Tivity
Health
Inc
(d)
68,934‌
904‌
US
Physical
Therapy
Inc
20,290‌
1,685‌
$
23,715‌
Home
Builders
-
2.82%
Cavco
Industries
Inc
(d)
13,621‌
2,729‌
Century
Communities
Inc
(d)
45,284‌
1,613‌
Installed
Building
Products
Inc
(d)
33,417‌
2,644‌
LCI
Industries
39,708‌
4,995‌
LGI
Homes
Inc
(d)
34,462‌
3,932‌
M/I
Homes
Inc
(d)
45,057‌
1,876‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Builders
(continued)
MDC
Holdings
Inc
79,685‌
$
3,572‌
Meritage
Homes
Corp
(d)
55,830‌
5,537‌
Winnebago
Industries
Inc
53,232‌
3,216‌
$
30,114‌
Home
Furnishings
-
0.65%
Daktronics
Inc
59,102‌
246‌
Ethan
Allen
Interiors
Inc
36,411‌
431‌
iRobot
Corp
(d),(e)
44,050‌
3,202‌
Sleep
Number
Corp
(d)
43,658‌
2,030‌
Universal
Electronics
Inc
(d)
21,978‌
1,013‌
$
6,922‌
Housewares
-
0.11%
Tupperware
Brands
Corp
77,428‌
1,195‌
Insurance
-
3.23%
Ambac
Financial
Group
Inc
(d)
72,317‌
926‌
American
Equity
Investment
Life
Holding
Co
144,585‌
3,680‌
AMERISAFE
Inc
30,494‌
1,935‌
eHealth
Inc
(d)
40,463‌
2,798‌
Employers
Holdings
Inc
47,982‌
1,560‌
HCI
Group
Inc
9,955‌
444‌
Horace
Mann
Educators
Corp
65,229‌
2,451‌
James
River
Group
Holdings
Ltd
48,213‌
2,233‌
Kinsale
Capital
Group
Inc
32,696‌
6,372‌
NMI
Holdings
Inc
(d)
133,871‌
2,078‌
Palomar
Holdings
Inc
(d)
27,970‌
2,555‌
ProAssurance
Corp
85,059‌
1,250‌
Safety
Insurance
Group
Inc
22,976‌
1,739‌
Stewart
Information
Services
Corp
37,412‌
1,569‌
Third
Point
Reinsurance
Ltd
(d)
127,402‌
993‌
United
Fire
Group
Inc
33,590‌
852‌
United
Insurance
Holdings
Corp
32,592‌
241‌
Universal
Insurance
Holdings
Inc
47,093‌
825‌
$
34,501‌
Internet
-
2.44%
8x8
Inc
(d)
163,724‌
2,603‌
Cogent
Communications
Holdings
Inc
66,291‌
5,973‌
ePlus
Inc
(d)
21,327‌
1,590‌
HealthStream
Inc
(d)
39,933‌
877‌
Liquidity
Services
Inc
(d)
42,994‌
221‌
NIC
Inc
105,794‌
2,319‌
Perficient
Inc
(d)
52,259‌
2,049‌
QuinStreet
Inc
(d)
73,864‌
862‌
Shutterstock
Inc
30,394‌
1,652‌
Stamps.com
Inc
(d)
25,641‌
6,674‌
TechTarget
Inc
(d)
36,095‌
1,310‌
$
26,130‌
Iron
&
Steel
-
0.46%
Carpenter
Technology
Corp
75,367‌
1,685‌
Cleveland-Cliffs
Inc
(e)
629,692‌
3,262‌
$
4,947‌
Leisure
Products
&
Services
-
1.43%
Callaway
Golf
Co
148,665‌
2,832‌
Fox
Factory
Holding
Corp
(d)
64,779‌
5,765‌
Vista
Outdoor
Inc
(d)
91,643‌
1,572‌
YETI
Holdings
Inc
(d)
105,767‌
5,171‌
$
15,340‌
Lodging
-
0.14%
Marcus
Corp/The
36,542‌
505‌
St
Joe
Co/The
(d)
49,313‌
1,016‌
$
1,521‌
Machinery
-
Construction
&
Mining
-
0.15%
Astec
Industries
Inc
35,679‌
1,587‌
Machinery
-
Diversified
-
1.90%
Alamo
Group
Inc
15,364‌
1,584‌
Albany
International
Corp
48,498‌
2,332‌
Applied
Industrial
Technologies
Inc
61,148‌
3,860‌
Chart
Industries
Inc
(d)
55,599‌
3,810‌
CIRCOR
International
Inc
(d)
31,575‌
828‌
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
244
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Machinery
-
Diversified
(continued)
DXP
Enterprises
Inc/TX
(d)
25,475‌
$
430‌
Ichor
Holdings
Ltd
(d)
36,029‌
1,182‌
Lindsay
Corp
17,116‌
1,660‌
SPX
FLOW
Inc
(d)
67,371‌
2,700‌
Tennant
Co
29,135‌
1,941‌
$
20,327‌
Media
-
0.31%
EW
Scripps
Co/The
86,680‌
986‌
Gannett
Co
Inc
208,676‌
309‌
Meredith
Corp
63,669‌
914‌
Scholastic
Corp
47,916‌
1,147‌
$
3,356‌
Metal
Fabrication
&
Hardware
-
0.45%
AZZ
Inc
41,324‌
1,305‌
Mueller
Industries
Inc
89,684‌
2,508‌
Olympic
Steel
Inc
14,404‌
152‌
TimkenSteel
Corp
(d)
63,219‌
232‌
Tredegar
Corp
39,174‌
622‌
$
4,819‌
Mining
-
0.58%
Arconic
Corp
(d)
151,601‌
2,470‌
Century
Aluminum
Co
(d)
79,141‌
689‌
Kaiser
Aluminum
Corp
24,944‌
1,545‌
Livent
Corp
(d),(e)
230,938‌
1,448‌
$
6,152‌
Miscellaneous
Manufacturers
-
3.39%
Enerpac
Tool
Group
Corp
84,003‌
1,588‌
EnPro
Industries
Inc
32,408‌
1,547‌
ESCO
Technologies
Inc
41,131‌
3,535‌
Fabrinet
(d)
58,012‌
4,213‌
Federal
Signal
Corp
95,168‌
2,942‌
Haynes
International
Inc
19,836‌
364‌
Hillenbrand
Inc
118,034‌
3,450‌
John
Bean
Technologies
Corp
50,026‌
4,690‌
Lydall
Inc
(d)
27,952‌
453‌
Materion
Corp
32,085‌
1,842‌
Myers
Industries
Inc
56,503‌
851‌
Proto
Labs
Inc
(d)
42,042‌
5,050‌
Raven
Industries
Inc
56,608‌
1,223‌
Standex
International
Corp
19,603‌
1,050‌
Sturm
Ruger
&
Co
Inc
26,239‌
2,135‌
Trinseo
SA
60,407‌
1,311‌
$
36,244‌
Office
&
Business
Equipment
-
0.09%
Pitney
Bowes
Inc
272,702‌
911‌
Office
Furnishings
-
0.07%
Interface
Inc
92,377‌
737‌
Oil
&
Gas
-
1.63%
Bonanza
Creek
Energy
Inc
(d)
29,533‌
537‌
Callon
Petroleum
Co
(d)
627,144‌
715‌
Gulfport
Energy
Corp
(d)
229,825‌
232‌
Helmerich
&
Payne
Inc
169,691‌
3,026‌
Laredo
Petroleum
Inc
(d)
14,370‌
218‌
Matador
Resources
Co
(d)
173,089‌
1,502‌
Nabors
Industries
Ltd
(e)
10,724‌
455‌
Oasis
Petroleum
Inc
(d)
460,704‌
295‌
Par
Pacific
Holdings
Inc
(d)
61,263‌
454‌
Patterson-UTI
Energy
Inc
294,623‌
1,142‌
PDC
Energy
Inc
(d)
150,960‌
2,153‌
Penn
Virginia
Corp
(d)
21,310‌
211‌
ProPetro
Holding
Corp
(d)
130,081‌
699‌
QEP
Resources
Inc
382,580‌
562‌
Range
Resources
Corp
335,327‌
2,166‌
Ring
Energy
Inc
(d),(e)
94,498‌
104‌
SM
Energy
Co
167,782‌
495‌
Southwestern
Energy
Co
(d)
855,719‌
2,079‌
Talos
Energy
Inc
(d)
31,998‌
218‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Oil
&
Gas
(continued)
Valaris
plc
(d),(e)
313,481‌
$
123‌
$
17,386‌
Oil
&
Gas
Services
-
1.00%
Archrock
Inc
202,927‌
1,351‌
Core
Laboratories
NV
70,229‌
1,498‌
DMC
Global
Inc
23,301‌
685‌
Dril-Quip
Inc
(d)
55,387‌
1,844‌
Exterran
Corp
(d)
43,991‌
219‌
Geospace
Technologies
Corp
(d)
21,586‌
163‌
Helix
Energy
Solutions
Group
Inc
(d)
225,117‌
943‌
Matrix
Service
Co
(d)
41,293‌
362‌
Newpark
Resources
Inc
(d)
142,015‌
268‌
NOW
Inc
(d)
172,676‌
1,361‌
Oceaneering
International
Inc
(d)
156,815‌
881‌
Oil
States
International
Inc
(d)
96,269‌
431‌
RPC
Inc
(d)
81,611‌
242‌
US
Silica
Holdings
Inc
116,594‌
412‌
$
10,660‌
Packaging
&
Containers
-
0.10%
Matthews
International
Corp
49,397‌
1,067‌
Pharmaceuticals
-
3.57%
Amphastar
Pharmaceuticals
Inc
(d)
53,276‌
1,067‌
Anika
Therapeutics
Inc
(d)
22,435‌
817‌
Coherus
Biosciences
Inc
(d)
96,339‌
1,695‌
Corcept
Therapeutics
Inc
(d)
162,934‌
2,436‌
Covetrus
Inc
(d)
153,855‌
3,409‌
Cytokinetics
Inc
(d)
105,435‌
2,279‌
Eagle
Pharmaceuticals
Inc/DE
(d)
15,998‌
742‌
Enanta
Pharmaceuticals
Inc
(d)
25,596‌
1,173‌
Endo
International
PLC
(d)
322,953‌
1,124‌
Heska
Corp
(d)
13,353‌
1,285‌
Lannett
Co
Inc
(d)
52,907‌
315‌
Momenta
Pharmaceuticals
Inc
(d)
185,946‌
5,483‌
Neogen
Corp
(d)
83,584‌
6,417‌
Owens
&
Minor
Inc
99,535‌
1,600‌
Pacira
BioSciences
Inc
(d)
66,540‌
3,501‌
Spectrum
Pharmaceuticals
Inc
(d)
181,349‌
542‌
Supernus
Pharmaceuticals
Inc
(d)
82,996‌
1,848‌
USANA
Health
Sciences
Inc
(d)
19,255‌
1,563‌
Vanda
Pharmaceuticals
Inc
(d)
85,687‌
864‌
$
38,160‌
Real
Estate
-
0.43%
Marcus
&
Millichap
Inc
(d)
37,224‌
1,014‌
RE/MAX
Holdings
Inc
28,629‌
927‌
Realogy
Holdings
Corp
182,254‌
1,651‌
Safehold
Inc
20,962‌
1,057‌
$
4,649‌
REITs
-
8.57%
Acadia
Realty
Trust
135,999‌
1,637‌
Agree
Realty
Corp
85,070‌
5,697‌
Alexander
&
Baldwin
Inc
107,372‌
1,269‌
American
Assets
Trust
Inc
75,912‌
2,050‌
Apollo
Commercial
Real
Estate
Finance
Inc
225,987‌
2,102‌
Armada
Hoffler
Properties
Inc
89,241‌
860‌
ARMOUR
Residential
REIT
Inc
102,027‌
953‌
Brandywine
Realty
Trust
269,555‌
2,919‌
Capstead
Mortgage
Corp
152,276‌
936‌
CareTrust
REIT
Inc
151,196‌
2,725‌
Chatham
Lodging
Trust
74,189‌
387‌
Community
Healthcare
Trust
Inc
32,528‌
1,488‌
DiamondRock
Hospitality
Co
314,749‌
1,454‌
Diversified
Healthcare
Trust
375,806‌
1,464‌
Easterly
Government
Properties
Inc
118,664‌
2,901‌
Essential
Properties
Realty
Trust
Inc
145,322‌
2,340‌
Four
Corners
Property
Trust
Inc
111,091‌
2,799‌
Franklin
Street
Properties
Corp
169,456‌
890‌
Getty
Realty
Corp
54,271‌
1,608‌
Global
Net
Lease
Inc
141,328‌
2,353‌
Granite
Point
Mortgage
Trust
Inc
87,100‌
591‌
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
245
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Hersha
Hospitality
Trust
56,875‌
$
271‌
Independence
Realty
Trust
Inc
149,611‌
1,721‌
Industrial
Logistics
Properties
Trust
102,975‌
2,174‌
Innovative
Industrial
Properties
Inc
33,627‌
3,505‌
Invesco
Mortgage
Capital
Inc
286,375‌
879‌
Investors
Real
Estate
Trust
19,219‌
1,390‌
iStar
Inc
114,799‌
1,333‌
Kite
Realty
Group
Trust
132,882‌
1,312‌
KKR
Real
Estate
Finance
Trust
Inc
36,809‌
613‌
Lexington
Realty
Trust
436,407‌
5,062‌
LTC
Properties
Inc
61,953‌
2,302‌
National
Storage
Affiliates
Trust
97,959‌
3,019‌
New
York
Mortgage
Trust
Inc
596,290‌
1,562‌
NexPoint
Residential
Trust
Inc
34,547‌
1,321‌
Office
Properties
Income
Trust
76,144‌
1,915‌
Pennsylvania
Real
Estate
Investment
Trust
95,943‌
113‌
PennyMac
Mortgage
Investment
Trust
157,721‌
2,973‌
Ready
Capital
Corp
59,773‌
479‌
Redwood
Trust
Inc
181,397‌
1,293‌
Retail
Opportunity
Investments
Corp
183,809‌
1,998‌
Retail
Properties
of
America
Inc
338,527‌
2,153‌
RPT
Realty
127,303‌
792‌
Saul
Centers
Inc
18,690‌
574‌
SITE
Centers
Corp
235,108‌
1,723‌
Summit
Hotel
Properties
Inc
166,822‌
864‌
Tanger
Factory
Outlet
Centers
Inc
147,649‌
949‌
Uniti
Group
Inc
306,649‌
3,036‌
Universal
Health
Realty
Income
Trust
19,996‌
1,391‌
Urstadt
Biddle
Properties
Inc
47,381‌
465‌
Washington
Prime
Group
Inc
295,977‌
217‌
Washington
Real
Estate
Investment
Trust
130,037‌
2,908‌
Whitestone
REIT
66,562‌
439‌
Xenia
Hotels
&
Resorts
Inc
179,229‌
1,427‌
$
91,596‌
Retail
-
6.16%
Abercrombie
&
Fitch
Co
97,307‌
937‌
America's
Car-Mart
Inc/TX
(d)
9,829‌
935‌
Asbury
Automotive
Group
Inc
(d)
30,474‌
3,052‌
Barnes
&
Noble
Education
Inc
(d)
61,038‌
129‌
Bed
Bath
&
Beyond
Inc
(e)
199,918‌
2,163‌
Big
Lots
Inc
61,970‌
2,438‌
BJ's
Restaurants
Inc
35,165‌
705‌
Bloomin'
Brands
Inc
138,202‌
1,592‌
Boot
Barn
Holdings
Inc
(d)
45,511‌
881‌
Brinker
International
Inc
70,927‌
1,907‌
Buckle
Inc/The
45,268‌
726‌
Caleres
Inc
63,557‌
401‌
Cato
Corp/The
33,394‌
240‌
Cheesecake
Factory
Inc/The
(e)
66,070‌
1,586‌
Chico's
FAS
Inc
190,174‌
242‌
Children's
Place
Inc/The
(e)
22,974‌
561‌
Chuy's
Holdings
Inc
(d)
26,292‌
418‌
Conn's
Inc
(d)
30,257‌
301‌
Dave
&
Buster's
Entertainment
Inc
(e)
74,854‌
924‌
Designer
Brands
Inc
85,810‌
507‌
Dine
Brands
Global
Inc
25,936‌
1,178‌
El
Pollo
Loco
Holdings
Inc
(d)
31,054‌
614‌
Express
Inc
(d)
101,828‌
103‌
Fiesta
Restaurant
Group
Inc
(d)
31,989‌
207‌
Foundation
Building
Materials
Inc
(d)
27,981‌
384‌
GameStop
Corp
(d),(e)
102,302‌
410‌
Genesco
Inc
(d)
22,035‌
343‌
GMS
Inc
(d)
66,854‌
1,566‌
Group
1
Automotive
Inc
26,991‌
2,268‌
Guess?
Inc
69,458‌
718‌
Haverty
Furniture
Cos
Inc
27,279‌
388‌
Hibbett
Sports
Inc
(d)
26,116‌
606‌
La-Z-Boy
Inc
72,719‌
2,070‌
Lithia
Motors
Inc
35,013‌
8,023‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
(continued)
Lumber
Liquidators
Holdings
Inc
(d)
45,518‌
$
1,016‌
Macy's
Inc
(e)
489,192‌
2,965‌
MarineMax
Inc
(d)
33,924‌
941‌
Michaels
Cos
Inc/The
(d)
121,033‌
869‌
Movado
Group
Inc
26,098‌
252‌
ODP
Corp/The
(d)
83,146‌
1,835‌
PC
Connection
Inc
17,322‌
757‌
PetMed
Express
Inc
(e)
31,857‌
994‌
PriceSmart
Inc
35,289‌
2,307‌
Red
Robin
Gourmet
Burgers
Inc
(d),(e)
20,389‌
178‌
Regis
Corp
(d)
38,205‌
293‌
Ruth's
Hospitality
Group
Inc
49,698‌
333‌
Shake
Shack
Inc
(d)
55,478‌
2,694‌
Shoe
Carnival
Inc
14,021‌
344‌
Signet
Jewelers
Ltd
82,687‌
888‌
Sonic
Automotive
Inc
38,062‌
1,451‌
Vera
Bradley
Inc
(d)
36,301‌
159‌
Wingstop
Inc
46,733‌
7,302‌
Zumiez
Inc
(d)
31,737‌
733‌
$
65,834‌
Savings
&
Loans
-
1.09%
Axos
Financial
Inc
(d)
81,989‌
1,837‌
Banc
of
California
Inc
69,850‌
749‌
Berkshire
Hills
Bancorp
Inc
68,179‌
679‌
Brookline
Bancorp
Inc
124,670‌
1,196‌
Dime
Community
Bancshares
Inc
45,247‌
531‌
Northfield
Bancorp
Inc
68,523‌
659‌
Northwest
Bancshares
Inc
187,422‌
1,846‌
Pacific
Premier
Bancorp
Inc
127,667‌
2,682‌
Provident
Financial
Services
Inc
110,437‌
1,508‌
$
11,687‌
Semiconductors
-
3.68%
Axcelis
Technologies
Inc
(d)
51,932‌
1,528‌
Brooks
Automation
Inc
116,518‌
6,344‌
CEVA
Inc
(d)
34,761‌
1,397‌
Cohu
Inc
65,878‌
1,241‌
CTS
Corp
50,962‌
1,012‌
Diodes
Inc
(d)
65,881‌
3,390‌
DSP
Group
Inc
(d)
36,662‌
544‌
FormFactor
Inc
(d)
120,314‌
3,470‌
Kulicke
&
Soffa
Industries
Inc
98,619‌
2,337‌
MaxLinear
Inc
(d)
104,016‌
2,637‌
Onto
Innovation
Inc
(d)
75,165‌
2,843‌
Photronics
Inc
(d)
102,872‌
1,222‌
Power
Integrations
Inc
47,139‌
5,752‌
Rambus
Inc
(d)
178,942‌
2,641‌
Ultra
Clean
Holdings
Inc
(d)
63,030‌
1,897‌
Veeco
Instruments
Inc
(d)
78,082‌
1,056‌
$
39,311‌
Software
-
3.84%
Agilysys
Inc
(d)
31,792‌
666‌
Allscripts
Healthcare
Solutions
Inc
(d)
256,783‌
2,311‌
Bottomline
Technologies
DE
Inc
(d)
59,950‌
2,893‌
Computer
Programs
and
Systems
Inc
19,944‌
492‌
CSG
Systems
International
Inc
52,235‌
2,201‌
Digi
International
Inc
(d)
45,740‌
554‌
Donnelley
Financial
Solutions
Inc
(d)
48,492‌
419‌
Ebix
Inc
35,180‌
776‌
Glu
Mobile
Inc
(d)
207,893‌
1,963‌
LivePerson
Inc
(d)
97,254‌
4,180‌
ManTech
International
Corp/VA
42,769‌
2,976‌
MicroStrategy
Inc
(d)
12,210‌
1,513‌
NextGen
Healthcare
Inc
(d)
77,275‌
1,130‌
Omnicell
Inc
(d)
67,328‌
4,733‌
PDF
Solutions
Inc
(d)
44,535‌
1,095‌
Progress
Software
Corp
70,753‌
2,466‌
Simulations
Plus
Inc
19,367‌
1,363‌
SPS
Commerce
Inc
(d)
55,177‌
4,148‌
Tabula
Rasa
HealthCare
Inc
(d)
32,367‌
1,819‌
Schedule
of
Investments
SmallCap
S&P
600
Index
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
246
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
(continued)
Xperi
Holding
Corp
181,684‌
$
3,350‌
$
41,048‌
Telecommunications
-
2.45%
ADTRAN
Inc
75,759‌
941‌
ATN
International
Inc
17,168‌
989‌
CalAmp
Corp
(d)
54,282‌
428‌
Cincinnati
Bell
Inc
(d)
79,877‌
1,199‌
Consolidated
Communications
Holdings
Inc
(d)
115,385‌
842‌
Extreme
Networks
Inc
(d)
189,899‌
864‌
Harmonic
Inc
(d)
152,569‌
851‌
Iridium
Communications
Inc
(d)
154,573‌
4,234‌
NETGEAR
Inc
(d)
46,679‌
1,435‌
Plantronics
Inc
52,700‌
1,053‌
Shenandoah
Telecommunications
Co
74,013‌
3,721‌
Spok
Holdings
Inc
27,920‌
280‌
Viavi
Solutions
Inc
(d)
360,134‌
4,981‌
Vonage
Holdings
Corp
(d)
364,356‌
4,354‌
$
26,172‌
Textiles
-
0.42%
UniFirst
Corp/MA
24,087‌
4,492‌
Transportation
-
2.00%
ArcBest
Corp
39,907‌
1,213‌
Atlas
Air
Worldwide
Holdings
Inc
(d)
41,273‌
2,149‌
Bristow
Group
Inc
(d)
10,542‌
169‌
Dorian
LPG
Ltd
(d)
42,556‌
363‌
Echo
Global
Logistics
Inc
(d)
42,044‌
1,054‌
Forward
Air
Corp
44,193‌
2,297‌
Heartland
Express
Inc
73,252‌
1,486‌
Hub
Group
Inc
(d)
52,964‌
2,802‌
Marten
Transport
Ltd
61,530‌
1,638‌
Matson
Inc
67,992‌
2,476‌
Saia
Inc
(d)
41,188‌
4,920‌
SEACOR
Holdings
Inc
(d)
27,944‌
813‌
$
21,380‌
Trucking
&
Leasing
-
0.12%
Greenbrier
Cos
Inc/The
51,605‌
1,328‌
Water
-
0.76%
American
States
Water
Co
58,267‌
4,479‌
California
Water
Service
Group
76,954‌
3,607‌
$
8,086‌
TOTAL
COMMON
STOCKS
$
1,057,350‌
Total
Investments
$
1,084,601‌
Other
Assets
and
Liabilities
-  (1.45)%
(15,497‌)
TOTAL
NET
ASSETS
-
100.00%
$
1,069,104‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$17,978
or
1.68%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
22.40‌%
Industrial
19.24‌%
Consumer,
Non-cyclical
17.47‌%
Consumer,
Cyclical
16.11‌%
Technology
9.33‌%
Communications
5.20‌%
Basic
Materials
4.32‌%
Energy
3.14‌%
Money
Market
Funds
2.46‌%
Utilities
1.69‌%
Investment
Companies
0.09‌%
Other
Assets
and
Liabilities
(1.45‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
43,978‌
$
433,287‌
$
452,932‌
$
24,333‌
$
43,978‌
$
433,287‌
$
452,932‌
$
24,333‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
95‌
$
—‌
$
—‌
$
—‌
$
95‌
$
—‌
$
—‌
$
—‌
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
Russell
2000
Emini;
September
2020
Long
152‌
$
11,231‌
$
546‌
Total
$
546‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
247
INVESTMENT
COMPANIES
-
2.70%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
0.12%
iShares
Russell
2000
Value
ETF
10,027‌
$
998‌
Money
Market
Funds
-
2.58%
BlackRock
Liquidity
FedFund
-
Institutional
Class
0.06%
(a),(b)
824,088‌
824‌
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
(a),(b),(c),(d)
20,190,971‌
20,191‌
$
21,015‌
TOTAL
INVESTMENT
COMPANIES
$
22,013‌
COMMON
STOCKS
-
98.76%
Shares
Held
Value
(000's)
Advertising
-
0.03%
Boston
Omaha
Corp
(d)
1,200‌
$
19‌
Fluent
Inc
(d)
4,769‌
9‌
MDC
Partners
Inc
(d)
85,500‌
189‌
National
CineMedia
Inc
6,640‌
16‌
Quotient
Technology
Inc
(d)
4,032‌
32‌
$
265‌
Aerospace
&
Defense
-
0.58%
AAR
Corp
75,774‌
1,305‌
Astronics
Corp
(d)
2,458‌
21‌
Barnes
Group
Inc
5,013‌
185‌
Ducommun
Inc
(d)
1,146‌
41‌
Kaman
Corp
2,641‌
104‌
Mercury
Systems
Inc
(d)
5,680‌
440‌
Moog
Inc
29,560‌
1,588‌
National
Presto
Industries
Inc
11,457‌
978‌
Park
Aerospace
Corp
1,998‌
22‌
Triumph
Group
Inc
5,495‌
37‌
$
4,721‌
Agriculture
-
0.29%
Alico
Inc
553‌
17‌
Andersons
Inc/The
3,325‌
47‌
Cadiz
Inc
(d),(e)
993‌
11‌
Darling
Ingredients
Inc
(d)
36,365‌
1,016‌
Fresh
Del
Monte
Produce
Inc
3,318‌
75‌
Limoneira
Co
1,351‌
18‌
Phibro
Animal
Health
Corp
173‌
4‌
Tejon
Ranch
Co
(d)
2,231‌
32‌
Universal
Corp/VA
24,891‌
1,049‌
Vector
Group
Ltd
12,729‌
112‌
$
2,381‌
Airlines
-
0.19%
Allegiant
Travel
Co
1,225‌
137‌
Hawaiian
Holdings
Inc
41,580‌
495‌
Mesa
Air
Group
Inc
(d)
3,360‌
10‌
SkyWest
Inc
5,261‌
138‌
Spirit
Airlines
Inc
(d),(e)
48,030‌
760‌
$
1,540‌
Apparel
-
0.26%
Kontoor
Brands
Inc
5,497‌
105‌
Lakeland
Industries
Inc
(d),(e)
812‌
19‌
Oxford
Industries
Inc
1,747‌
75‌
Rocky
Brands
Inc
15,330‌
349‌
Steven
Madden
Ltd
4,931‌
104‌
Superior
Group
of
Cos
Inc
947‌
18‌
Tapestry
Inc
44,900‌
600‌
Unifi
Inc
(d)
50,862‌
609‌
Weyco
Group
Inc
641‌
12‌
Wolverine
World
Wide
Inc
8,521‌
205‌
$
2,096‌
Automobile
Manufacturers
-
0.46%
Blue
Bird
Corp
(d)
72,849‌
913‌
Navistar
International
Corp
(d)
45,385‌
1,453‌
REV
Group
Inc
2,577‌
17‌
Wabash
National
Corp
109,342‌
1,245‌
Workhorse
Group
Inc
(d),(e)
6,757‌
105‌
$
3,733‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Automobile
Parts
&
Equipment
-
1.25%
Adient
PLC
(d)
79,963‌
$
1,330‌
American
Axle
&
Manufacturing
Holdings
Inc
(d)
11,999‌
85‌
Cooper
Tire
&
Rubber
Co
45,451‌
1,412‌
Cooper-Standard
Holdings
Inc
(d)
1,784‌
19‌
Dana
Inc
15,447‌
177‌
Douglas
Dynamics
Inc
197‌
7‌
Goodyear
Tire
&
Rubber
Co/The
149,082‌
1,343‌
Meritor
Inc
(d)
57,814‌
1,315‌
Methode
Electronics
Inc
44,995‌
1,269‌
Miller
Industries
Inc/TN
23,282‌
660‌
Modine
Manufacturing
Co
(d)
5,286‌
29‌
Motorcar
Parts
of
America
Inc
(d),(e)
60,245‌
1,003‌
Standard
Motor
Products
Inc
10,795‌
491‌
Telenav
Inc
(d)
78,841‌
409‌
Tenneco
Inc
(d)
5,446‌
40‌
Visteon
Corp
(d)
8,400‌
610‌
$
10,199‌
Banks
-
10.24%
1st
Constitution
Bancorp
963‌
12‌
1st
Source
Corp
19,683‌
652‌
ACNB
Corp
900‌
19‌
Alerus
Financial
Corp
1,591‌
31‌
Allegiance
Bancshares
Inc
2,017‌
49‌
Altabancorp
1,605‌
30‌
Amalgamated
Bank
53,306‌
615‌
American
National
Bankshares
Inc
1,134‌
25‌
Ameris
Bancorp
20,877‌
481‌
Ames
National
Corp
934‌
17‌
Arrow
Financial
Corp
1,371‌
37‌
Associated
Banc-Corp
93,700‌
1,203‌
Atlantic
Capital
Bancshares
Inc
(d)
2,225‌
22‌
Atlantic
Union
Bankshares
Corp
8,317‌
188‌
Auburn
National
BanCorp
Inc
245‌
11‌
BancFirst
Corp
1,998‌
87‌
Bancorp
Inc/The
(d)
5,501‌
52‌
BancorpSouth
Bank
10,570‌
221‌
Bank
First
Corp
53‌
3‌
Bank
of
Commerce
Holdings
1,695‌
13‌
Bank
of
Marin
Bancorp
1,409‌
44‌
Bank
of
NT
Butterfield
&
Son
Ltd/The
5,550‌
144‌
Bank
of
Princeton/The
604‌
11‌
Bank7
Corp
189‌
2‌
BankUnited
Inc
78,696‌
1,585‌
Bankwell
Financial
Group
Inc
758‌
11‌
Banner
Corp
3,706‌
131‌
Bar
Harbor
Bankshares
31,435‌
625‌
Baycom
Corp
(d)
981‌
10‌
BCB
Bancorp
Inc
1,550‌
12‌
Bogota
Financial
Corp
(d)
658‌
5‌
BOK
Financial
Corp
16,900‌
941‌
Bridge
Bancorp
Inc
35,111‌
635‌
Bridgewater
Bancshares
Inc
(d)
35,749‌
332‌
Bryn
Mawr
Bank
Corp
23,900‌
623‌
Business
First
Bancshares
Inc
1,294‌
18‌
Byline
Bancorp
Inc
2,586‌
33‌
C&F
Financial
Corp
367‌
11‌
Cadence
BanCorp
165,387‌
1,292‌
California
Bancorp
Inc
(d)
862‌
11‌
Cambridge
Bancorp
534‌
29‌
Camden
National
Corp
10,461‌
332‌
Capital
Bancorp
Inc
(d)
907‌
10‌
Capital
City
Bank
Group
Inc
1,428‌
27‌
Capstar
Financial
Holdings
Inc
1,702‌
17‌
Carter
Bank
&
Trust
2,416‌
17‌
Cathay
General
Bancorp
70,023‌
1,693‌
CB
Financial
Services
Inc
562‌
10‌
CBTX
Inc
1,883‌
30‌
Central
Pacific
Financial
Corp
2,928‌
46‌
Central
Valley
Community
Bancorp
1,125‌
15‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
248
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Century
Bancorp
Inc/MA
261‌
$
18‌
Chemung
Financial
Corp
412‌
11‌
ChoiceOne
Financial
Services
Inc
723‌
21‌
CIT
Group
Inc
77,929‌
1,479‌
Citizens
&
Northern
Corp
1,421‌
25‌
Citizens
Holding
Co
(e)
494‌
11‌
City
Holding
Co
1,680‌
105‌
Civista
Bancshares
Inc
1,683‌
22‌
CNB
Financial
Corp/PA
19,878‌
325‌
Coastal
Financial
Corp/WA
(d)
879‌
12‌
Codorus
Valley
Bancorp
Inc
996‌
12‌
Colony
Bankcorp
Inc
882‌
9‌
Columbia
Banking
System
Inc
7,664‌
222‌
Community
Bank
System
Inc
13,626‌
766‌
Community
Financial
Corp/The
552‌
12‌
Community
Trust
Bancorp
Inc
29,881‌
915‌
ConnectOne
Bancorp
Inc
68,555‌
946‌
County
Bancorp
Inc
570‌
11‌
CrossFirst
Bankshares
Inc
(d)
35,013‌
321‌
Customers
Bancorp
Inc
(d)
109,085‌
1,293‌
CVB
Financial
Corp
64,609‌
1,167‌
Delmar
Bancorp
1,125‌
7‌
Eagle
Bancorp
Inc
43,612‌
1,312‌
Enterprise
Bancorp
Inc/MA
956‌
21‌
Enterprise
Financial
Services
Corp
2,562‌
74‌
Equity
Bancshares
Inc
(d)
70,346‌
995‌
Esquire
Financial
Holdings
Inc
(d)
545‌
8‌
Evans
Bancorp
Inc
544‌
12‌
Farmers
&
Merchants
Bancorp
Inc/Archbold
OH
1,077‌
23‌
Farmers
National
Banc
Corp
2,768‌
30‌
FB
Financial
Corp
13,891‌
353‌
Fidelity
D&D
Bancorp
Inc
415‌
19‌
Financial
Institutions
Inc
41,909‌
619‌
First
Bancorp
Inc/The
1,077‌
22‌
First
BanCorp/Puerto
Rico
324,838‌
1,767‌
First
Bancorp/Southern
Pines
NC
3,059‌
63‌
First
Bancshares
Inc/The
2,204‌
44‌
First
Bank/Hamilton
NJ
1,873‌
12‌
First
Busey
Corp
5,378‌
92‌
First
Business
Financial
Services
Inc
21,215‌
316‌
First
Choice
Bancorp
1,103‌
17‌
First
Commonwealth
Financial
Corp
10,412‌
82‌
First
Community
Bankshares
Inc
1,846‌
36‌
First
Community
Corp/SC
816‌
11‌
First
Financial
Bancorp
54,749‌
762‌
First
Financial
Corp/IN
27,741‌
927‌
First
Foundation
Inc
3,225‌
50‌
First
Guaranty
Bancshares
Inc
417‌
5‌
First
Hawaiian
Inc
70,707‌
1,229‌
First
Internet
Bancorp
38,926‌
571‌
First
Interstate
BancSystem
Inc
4,535‌
132‌
First
Merchants
Corp
25,362‌
620‌
First
Mid
Bancshares
Inc
24,709‌
603‌
First
Midwest
Bancorp
Inc/IL
87,769‌
1,065‌
First
Northwest
Bancorp
1,021‌
10‌
First
of
Long
Island
Corp/The
49,129‌
732‌
First
United
Corp
765‌
8‌
Flagstar
Bancorp
Inc
3,807‌
119‌
FNB
Corp/PA
121,900‌
903‌
FNCB
Bancorp
Inc
1,951‌
11‌
Franklin
Financial
Network
Inc
25,277‌
667‌
Franklin
Financial
Services
Corp
472‌
11‌
Fulton
Financial
Corp
108,133‌
1,049‌
FVCBankcorp
Inc
(d)
1,255‌
12‌
German
American
Bancorp
Inc
2,626‌
75‌
Glacier
Bancorp
Inc
9,152‌
323‌
Great
Southern
Bancorp
Inc
24,772‌
893‌
Great
Western
Bancorp
Inc
101,799‌
1,324‌
Guaranty
Bancshares
Inc/TX
742‌
20‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Hancock
Whitney
Corp
74,105‌
$
1,412‌
Hanmi
Financial
Corp
135,822‌
1,254‌
HarborOne
Bancorp
Inc
5,646‌
49‌
Hawthorn
Bancshares
Inc
621‌
10‌
HBT
Financial
Inc
1,041‌
12‌
Heartland
Financial
USA
Inc
23,406‌
731‌
Heritage
Commerce
Corp
6,206‌
42‌
Heritage
Financial
Corp/WA
18,840‌
357‌
Hilltop
Holdings
Inc
41,107‌
801‌
Home
BancShares
Inc/AR
81,251‌
1,327‌
HomeStreet
Inc
40,290‌
1,066‌
Hope
Bancorp
Inc
161,641‌
1,363‌
Horizon
Bancorp
Inc/IN
60,962‌
616‌
Howard
Bancorp
Inc
(d)
1,400‌
13‌
Independent
Bank
Corp
3,268‌
211‌
Independent
Bank
Corp/MI
2,250‌
31‌
Independent
Bank
Group
Inc
3,949‌
173‌
International
Bancshares
Corp
25,182‌
766‌
Investar
Holding
Corp
1,081‌
14‌
Kearny
Financial
Corp/MD
6,196‌
50‌
Lakeland
Bancorp
Inc
93,101‌
948‌
Lakeland
Financial
Corp
2,433‌
108‌
Landmark
Bancorp
Inc/Manhattan
KS
427‌
9‌
LCNB
Corp
1,295‌
16‌
Level
One
Bancorp
Inc
585‌
9‌
Limestone
Bancorp
Inc
(d)
575‌
6‌
Live
Oak
Bancshares
Inc
81,376‌
1,384‌
Luther
Burbank
Corp
64,954‌
622‌
Macatawa
Bank
Corp
2,797‌
20‌
Mackinac
Financial
Corp
1,020‌
9‌
MainStreet
Bancshares
Inc
(d)
808‌
10‌
Mercantile
Bank
Corp
1,683‌
36‌
Merchants
Bancorp/IN
37,387‌
689‌
Meridian
Corp
503‌
8‌
Meta
Financial
Group
Inc
3,552‌
66‌
Metrocity
Bankshares
Inc
(e)
1,844‌
25‌
Metropolitan
Bank
Holding
Corp
(d)
22,944‌
679‌
Mid
Penn
Bancorp
Inc
738‌
14‌
Middlefield
Banc
Corp
633‌
11‌
Midland
States
Bancorp
Inc
88,304‌
1,244‌
MidWestOne
Financial
Group
Inc
32,257‌
583‌
MVB
Financial
Corp
1,050‌
14‌
National
Bank
Holdings
Corp
17,046‌
473‌
National
Bankshares
Inc
679‌
17‌
NBT
Bancorp
Inc
4,538‌
135‌
Nicolet
Bankshares
Inc
(d)
994‌
56‌
Northeast
Bank
759‌
14‌
Northrim
BanCorp
Inc
13,898‌
320‌
Norwood
Financial
Corp
617‌
15‌
Oak
Valley
Bancorp
780‌
10‌
OFG
Bancorp
5,400‌
71‌
Ohio
Valley
Banc
Corp
490‌
10‌
Old
National
Bancorp/IN
40,175‌
562‌
Old
Second
Bancorp
Inc
3,066‌
25‌
OP
Bancorp
1,393‌
9‌
Origin
Bancorp
Inc
15,442‌
367‌
Orrstown
Financial
Services
Inc
23,381‌
318‌
PacWest
Bancorp
65,700‌
1,201‌
Park
National
Corp
5,927‌
508‌
Parke
Bancorp
Inc
1,125‌
13‌
PCB
Bancorp
1,327‌
12‌
PCSB
Financial
Corp
1,576‌
17‌
Peapack-Gladstone
Financial
Corp
56,701‌
923‌
Penns
Woods
Bancorp
Inc
728‌
15‌
Peoples
Bancorp
Inc/OH
16,767‌
336‌
Peoples
Bancorp
of
North
Carolina
Inc
511‌
8‌
Peoples
Financial
Services
Corp
742‌
27‌
Pioneer
Bancorp
Inc/NY
(d)
1,324‌
11‌
Plumas
Bancorp
(e)
529‌
11‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
249
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Banks
(continued)
Popular
Inc
32,800‌
$
1,217‌
Preferred
Bank/Los
Angeles
CA
1,466‌
55‌
Premier
Financial
Bancorp
Inc
1,389‌
15‌
Provident
Bancorp
Inc
986‌
8‌
QCR
Holdings
Inc
1,578‌
47‌
RBB
Bancorp
48,303‌
619‌
Red
River
Bancshares
Inc
524‌
21‌
Reliant
Bancorp
Inc
1,550‌
23‌
Renasant
Corp
31,509‌
732‌
Republic
Bancorp
Inc/KY
20,835‌
629‌
Republic
First
Bancorp
Inc
(d)
5,183‌
12‌
Richmond
Mutual
BanCorp
Inc
1,309‌
15‌
S&T
Bancorp
Inc
18,622‌
401‌
Salisbury
Bancorp
Inc
288‌
10‌
Sandy
Spring
Bancorp
Inc
17,869‌
413‌
SB
Financial
Group
Inc
753‌
9‌
Seacoast
Banking
Corp
of
Florida
(d)
5,509‌
104‌
Select
Bancorp
Inc
(d)
1,690‌
13‌
ServisFirst
Bancshares
Inc
1,333‌
49‌
Shore
Bancshares
Inc
1,319‌
12‌
Sierra
Bancorp
18,588‌
327‌
Silvergate
Capital
Corp
(d)
1,641‌
22‌
Simmons
First
National
Corp
63,045‌
1,047‌
SmartFinancial
Inc
1,492‌
21‌
South
Plains
Financial
Inc
23,627‌
316‌
South
State
Corp
7,469‌
356‌
Southern
First
Bancshares
Inc
(d)
771‌
19‌
Southern
National
Bancorp
of
Virginia
Inc
74,293‌
626‌
Southside
Bancshares
Inc
3,373‌
93‌
Spirit
of
Texas
Bancshares
Inc
(d)
1,443‌
17‌
Standard
AVB
Financial
Corp
439‌
9‌
Sterling
Bancorp
Inc/MI
170,138‌
519‌
Stock
Yards
Bancorp
Inc
1,863‌
73‌
Summit
Financial
Group
Inc
1,202‌
18‌
Synovus
Financial
Corp
60,000‌
1,209‌
Texas
Capital
Bancshares
Inc
(d)
49,896‌
1,657‌
Tompkins
Financial
Corp
1,524‌
98‌
Towne
Bank/Portsmouth
VA
7,143‌
126‌
TriCo
Bancshares
13,078‌
366‌
TriState
Capital
Holdings
Inc
(d)
26,139‌
346‌
Triumph
Bancorp
Inc
(d)
2,343‌
61‌
TrustCo
Bank
Corp
NY
109,879‌
637‌
Trustmark
Corp
53,126‌
1,196‌
UMB
Financial
Corp
18,654‌
929‌
Umpqua
Holdings
Corp
84,500‌
917‌
United
Bankshares
Inc/WV
32,795‌
863‌
United
Community
Banks
Inc/GA
28,550‌
511‌
United
Security
Bancshares/Fresno
CA
1,537‌
10‌
Unity
Bancorp
Inc
850‌
11‌
Univest
Financial
Corp
49,850‌
762‌
Valley
National
Bancorp
126,146‌
942‌
Veritex
Holdings
Inc
5,135‌
86‌
Walker
&
Dunlop
Inc
2,754‌
139‌
Washington
Trust
Bancorp
Inc
20,316‌
678‌
Webster
Financial
Corp
46,300‌
1,263‌
WesBanco
Inc
37,055‌
735‌
West
BanCorp
Inc
19,693‌
323‌
Westamerica
BanCorp
2,416‌
146‌
Western
New
England
Bancorp
Inc
2,431‌
12‌
Wintrust
Financial
Corp
27,400‌
1,173‌
$
83,584‌
Beverages
-
0.04%
Craft
Brew
Alliance
Inc
(d)
1,150‌
17‌
Farmer
Bros
Co
(d)
1,831‌
9‌
MGP
Ingredients
Inc
342‌
12‌
New
Age
Beverages
Corp
(d),(e)
5,543‌
13‌
Primo
Water
Corp
16,680‌
237‌
$
288‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
-
0.69%
Abeona
Therapeutics
Inc
(d)
4,279‌
$
12‌
Achillion
Pharamceuticals
Inc
(d),(f),(g)
8,433‌
4‌
ADMA
Biologics
Inc
(d),(e)
905‌
3‌
Aduro
Biotech
Inc
(d)
1,074‌
3‌
Adverum
Biotechnologies
Inc
(d)
1,079‌
18‌
Albireo
Pharma
Inc
(d)
461‌
13‌
AMAG
Pharmaceuticals
Inc
(d),(e)
3,292‌
31‌
AnaptysBio
Inc
(d)
2,281‌
41‌
ANI
Pharmaceuticals
Inc
(d)
471‌
14‌
Applied
Genetic
Technologies
Corp/DE
(d)
2,487‌
13‌
Aptinyx
Inc
(d)
2,617‌
10‌
Arena
Pharmaceuticals
Inc
(d)
5,515‌
339‌
Aspira
Women's
Health
Inc
(d)
284‌
1‌
Assembly
Biosciences
Inc
(d)
1,563‌
35‌
Atara
Biotherapeutics
Inc
(d)
1,582‌
20‌
Atreca
Inc
(d),(e)
173‌
2‌
AVEO
Pharmaceuticals
Inc
(d)
630‌
3‌
Avid
Bioservices
Inc
(d)
635‌
5‌
BioCryst
Pharmaceuticals
Inc
(d)
3,486‌
14‌
Cabaletta
Bio
Inc
(d)
1,374‌
16‌
CASI
Pharmaceuticals
Inc
(d)
816‌
2‌
Catabasis
Pharmaceuticals
Inc
(d)
586‌
3‌
CEL-SCI
Corp
(d),(e)
547‌
7‌
Cortexyme
Inc
(d)
119‌
5‌
Cymabay
Therapeutics
Inc
(d)
7,389‌
26‌
Dyadic
International
Inc
(d),(e)
381‌
3‌
Dynavax
Technologies
Corp
(d)
1,465‌
12‌
Emergent
BioSolutions
Inc
(d)
30,425‌
3,384‌
Enochian
Biosciences
Inc
(d),(e)
1,572‌
6‌
Enzo
Biochem
Inc
(d)
5,068‌
12‌
Epizyme
Inc
(d)
3,518‌
49‌
Evolus
Inc
(d),(e)
1,437‌
5‌
Exicure
Inc
(d)
953‌
2‌
FibroGen
Inc
(d)
1,255‌
51‌
Five
Prime
Therapeutics
Inc
(d)
2,856‌
17‌
Geron
Corp
(d)
19,774‌
31‌
GlycoMimetics
Inc
(d)
3,607‌
14‌
Gossamer
Bio
Inc
(d),(e)
3,076‌
37‌
Harvard
Bioscience
Inc
(d)
4,022‌
12‌
iBio
Inc
(d)
700‌
3‌
Immunic
Inc
(d)
157‌
3‌
ImmunoGen
Inc
(d)
10,452‌
43‌
IVERIC
bio
Inc
(d)
5,143‌
21‌
Keros
Therapeutics
Inc
(d)
51‌
2‌
Kezar
Life
Sciences
Inc
(d)
2,755‌
12‌
Kindred
Biosciences
Inc
(d)
747‌
2‌
Kiniksa
Pharmaceuticals
Ltd
(d)
172‌
3‌
Lyra
Therapeutics
Inc
(d)
30‌
—‌
MacroGenics
Inc
(d)
3,291‌
84‌
Magenta
Therapeutics
Inc
(d)
335‌
2‌
Marker
Therapeutics
Inc
(d),(e)
901‌
2‌
MEI
Pharma
Inc
(d)
1,766‌
5‌
MeiraGTx
Holdings
plc
(d)
219‌
3‌
Menlo
Therapeutics
Inc
(d)
9,706‌
16‌
Myriad
Genetics
Inc
(d)
7,598‌
92‌
NantKwest
Inc
(d),(e)
481‌
5‌
NextCure
Inc
(d)
125‌
1‌
NGM
Biopharmaceuticals
Inc
(d)
178‌
3‌
Novavax
Inc
(d),(e)
4,538‌
649‌
Orgenesis
Inc
(d)
1,664‌
9‌
Osmotica
Pharmaceuticals
PLC
(d)
399‌
2‌
Pacific
Biosciences
of
California
Inc
(d)
2,057‌
8‌
PDL
BioPharma
Inc
(d)
12,132‌
39‌
Precigen
Inc
(d),(e)
1,534‌
6‌
Prothena
Corp
PLC
(d)
3,281‌
40‌
Rubius
Therapeutics
Inc
(d),(e)
3,144‌
15‌
Savara
Inc
(d)
5,294‌
11‌
Selecta
Biosciences
Inc
(d),(e)
4,083‌
10‌
Solid
Biosciences
Inc
(d)
2,488‌
7‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
250
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Biotechnology
(continued)
Strongbridge
Biopharma
PLC
(d)
305‌
$
1‌
Sutro
Biopharma
Inc
(d)
275‌
2‌
TCR2
Therapeutics
Inc
(d)
1,623‌
27‌
Theravance
Biopharma
Inc
(d)
682‌
13‌
Turning
Point
Therapeutics
Inc
(d)
193‌
11‌
Vaxart
Inc
(d),(e)
760‌
7‌
VBI
Vaccines
Inc
(d)
3,661‌
15‌
Verastem
Inc
(d)
10,152‌
14‌
Vericel
Corp
(d)
605‌
10‌
Viking
Therapeutics
Inc
(d),(e)
6,493‌
46‌
VolitionRX
Ltd
(d)
152‌
—‌
X4
Pharmaceuticals
Inc
(d)
1,711‌
13‌
XBiotech
Inc
(d),(e)
1,518‌
22‌
Xencor
Inc
(d)
353‌
11‌
XOMA
Corp
(d)
120‌
2‌
Zentalis
Pharmaceuticals
Inc
(d),(e)
75‌
3‌
ZIOPHARM
Oncology
Inc
(d),(e)
7,436‌
22‌
$
5,592‌
Building
Materials
-
3.25%
American
Woodmark
Corp
(d)
1,802‌
145‌
Apogee
Enterprises
Inc
2,329‌
50‌
Armstrong
Flooring
Inc
(d)
208,851‌
620‌
Armstrong
World
Industries
Inc
85,300‌
6,077‌
Boise
Cascade
Co
3,455‌
161‌
Builders
FirstSource
Inc
(d)
350,595‌
8,306‌
Caesarstone
Ltd
104,264‌
1,196‌
Cornerstone
Building
Brands
Inc
(d)
2,761‌
16‌
Gibraltar
Industries
Inc
(d)
43,481‌
2,249‌
Griffon
Corp
3,929‌
90‌
JELD-WEN
Holding
Inc
(d)
7,246‌
142‌
LSI
Industries
Inc
2,732‌
16‌
Masonite
International
Corp
(d)
14,658‌
1,236‌
Patrick
Industries
Inc
141‌
9‌
PGT
Innovations
Inc
(d)
3,872‌
66‌
Simpson
Manufacturing
Co
Inc
50,350‌
4,862‌
SPX
Corp
(d)
1,184‌
50‌
Summit
Materials
Inc
(d)
40,030‌
589‌
UFP
Industries
Inc
10,629‌
619‌
US
Concrete
Inc
(d)
1,699‌
42‌
$
26,541‌
Chemicals
-
1.74%
AdvanSix
Inc
(d)
2,921‌
36‌
AgroFresh
Solutions
Inc
(d)
3,222‌
8‌
American
Vanguard
Corp
70,878‌
954‌
Amyris
Inc
(d),(e)
6,795‌
29‌
Avient
Corp
9,753‌
233‌
Axalta
Coating
Systems
Ltd
(d)
110,675‌
2,457‌
Balchem
Corp
276‌
28‌
Cabot
Corp
32,700‌
1,193‌
Element
Solutions
Inc
(d)
566,725‌
6,155‌
Ferro
Corp
(d)
2,268‌
26‌
GCP
Applied
Technologies
Inc
(d)
1,137‌
26‌
Hawkins
Inc
472‌
24‌
HB
Fuller
Co
1,926‌
87‌
Huntsman
Corp
32,200‌
596‌
Innospec
Inc
6,240‌
469‌
Intrepid
Potash
Inc
(d)
10,855‌
10‌
Koppers
Holdings
Inc
(d)
859‌
22‌
Kraton
Corp
(d)
3,326‌
44‌
Kronos
Worldwide
Inc
2,386‌
27‌
Marrone
Bio
Innovations
Inc
(d)
567‌
1‌
Minerals
Technologies
Inc
16,219‌
760‌
Oil-Dri
Corp
of
America
551‌
19‌
Orion
Engineered
Carbons
SA
2,845‌
29‌
PQ
Group
Holdings
Inc
(d)
3,435‌
42‌
Rayonier
Advanced
Materials
Inc
(d)
6,606‌
19‌
Rogers
Corp
(d)
1,638‌
195‌
Sensient
Technologies
Corp
2,672‌
139‌
Stepan
Co
2,111‌
231‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Chemicals
(continued)
Tronox
Holdings
PLC
6,216‌
$
47‌
Westlake
Chemical
Partners
LP
16,100‌
308‌
$
14,214‌
Coal
-
0.17%
Advanced
Emissions
Solutions
Inc
1,807‌
8‌
Arch
Resources
Inc
(d)
1,609‌
50‌
CONSOL
Energy
Inc
(d)
2,772‌
16‌
NACCO
Industries
Inc
428‌
9‌
Peabody
Energy
Corp
6,696‌
21‌
SunCoke
Energy
Inc
8,861‌
28‌
Warrior
Met
Coal
Inc
79,192‌
1,261‌
$
1,393‌
Commercial
Services
-
5.35%
Aaron's
Inc
6,273‌
327‌
ABM
Industries
Inc
7,153‌
257‌
Acacia
Research
Corp
(d)
5,074‌
20‌
Adtalem
Global
Education
Inc
(d)
5,552‌
191‌
Alta
Equipment
Group
Inc
(d)
1,814‌
14‌
American
Public
Education
Inc
(d)
1,537‌
45‌
AMN
Healthcare
Services
Inc
(d)
116,425‌
6,396‌
Arlo
Technologies
Inc
(d)
8,269‌
35‌
ASGN
Inc
(d)
99,336‌
6,800‌
Barrett
Business
Services
Inc
733‌
39‌
BG
Staffing
Inc
40,850‌
370‌
BrightView
Holdings
Inc
(d)
3,326‌
40‌
CAI
International
Inc
1,431‌
25‌
Cardtronics
PLC
(d)
47,159‌
1,053‌
Carriage
Services
Inc
1,756‌
39‌
Cass
Information
Systems
Inc
33,500‌
1,200‌
CBIZ
Inc
(d)
4,537‌
110‌
Cimpress
PLC
(d)
1,276‌
128‌
Collectors
Universe
Inc
96‌
4‌
CRA
International
Inc
212‌
9‌
Cross
Country
Healthcare
Inc
(d)
3,414‌
22‌
Deluxe
Corp
33,590‌
948‌
Emerald
Holding
Inc
340,188‌
926‌
Ennis
Inc
75,886‌
1,313‌
Franchise
Group
Inc
1,810‌
44‌
FTI
Consulting
Inc
(d)
51,191‌
6,115‌
GP
Strategies
Corp
(d)
72,372‌
538‌
Green
Dot
Corp
(d)
4,965‌
252‌
H&R
Block
Inc
85,100‌
1,234‌
Hackett
Group
Inc/The
366‌
5‌
Heidrick
&
Struggles
International
Inc
60,744‌
1,228‌
Herc
Holdings
Inc
(d)
2,451‌
82‌
Hertz
Global
Holdings
Inc
(d)
9,110‌
13‌
HMS
Holdings
Corp
(d)
13,000‌
422‌
Huron
Consulting
Group
Inc
(d)
2,195‌
105‌
ICF
International
Inc
972‌
66‌
Information
Services
Group
Inc
(d)
4,010‌
8‌
Insperity
Inc
1,939‌
130‌
K12
Inc
(d)
4,258‌
195‌
Kelly
Services
Inc
82,326‌
1,219‌
Kforce
Inc
21,900‌
632‌
Korn
Ferry
48,417‌
1,360‌
Laureate
Education
Inc
(d)
11,481‌
146‌
LiveRamp
Holdings
Inc
(d)
1,348‌
61‌
ManpowerGroup
Inc
13,000‌
894‌
MoneyGram
International
Inc
(d),(e)
6,614‌
23‌
Monro
Inc
1,784‌
100‌
Nesco
Holdings
Inc
(d),(e)
1,512‌
5‌
PFSweb
Inc
(d)
450‌
4‌
Priority
Technology
Holdings
Inc
(d)
49‌
—‌
Quad/Graphics
Inc
3,792‌
12‌
Rent-A-Center
Inc/TX
575‌
17‌
Resources
Connection
Inc
85,979‌
972‌
Ritchie
Bros
Auctioneers
Inc
97,250‌
4,501‌
ServiceSource
International
Inc
(d)
9,204‌
14‌
SP
Plus
Corp
(d)
2,454‌
39‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
251
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Commercial
Services
(continued)
Team
Inc
(d)
3,200‌
$
13‌
Textainer
Group
Holdings
Ltd
(d)
5,675‌
48‌
TrueBlue
Inc
(d)
90,817‌
1,401‌
Universal
Technical
Institute
Inc
(d)
193‌
1‌
Vectrus
Inc
(d)
28,277‌
1,243‌
Viad
Corp
2,150‌
31‌
Vivint
Smart
Home
Inc
(d),(e)
5,879‌
90‌
Willdan
Group
Inc
(d)
359‌
9‌
WW
International
Inc
(d)
3,826‌
99‌
$
43,682‌
Computers
-
3.28%
3D
Systems
Corp
(d),(e)
12,358‌
81‌
CACI
International
Inc
(d)
37,355‌
7,763‌
Conduent
Inc
(d)
17,585‌
34‌
Cubic
Corp
2,970‌
125‌
CyberArk
Software
Ltd
(d)
22,700‌
2,675‌
Diebold
Nixdorf
Inc
(d)
4,501‌
31‌
ExOne
Co/The
(d),(e)
302‌
3‌
Insight
Enterprises
Inc
(d)
245,617‌
12,242‌
Lumentum
Holdings
Inc
(d)
10,382‌
964‌
MTS
Systems
Corp
2,056‌
38‌
NetScout
Systems
Inc
(d)
7,563‌
192‌
Parsons
Corp
(d)
667‌
23‌
Perspecta
Inc
2,553‌
55‌
PlayAGS
Inc
(d)
2,284‌
8‌
Quantum
Corp
(d)
2,732‌
12‌
SecureWorks
Corp
(d)
948‌
11‌
StarTek
Inc
(d)
1,904‌
9‌
Super
Micro
Computer
Inc
(d)
46,870‌
1,420‌
Sykes
Enterprises
Inc
(d)
37,541‌
1,031‌
Unisys
Corp
(d)
5,961‌
71‌
$
26,788‌
Consumer
Products
-
0.18%
ACCO
Brands
Corp
188,862‌
1,232‌
Central
Garden
&
Pet
Co
(d)
717‌
27‌
Central
Garden
&
Pet
Co
-
A
Shares
(d)
2,945‌
102‌
Quanex
Building
Products
Corp
3,503‌
49‌
WD-40
Co
86‌
17‌
$
1,427‌
Cosmetics
&
Personal
Care
-
0.02%
Edgewell
Personal
Care
Co
(d)
5,818‌
174‌
Revlon
Inc
(d),(e)
744‌
5‌
$
179‌
Distribution
&
Wholesale
-
1.73%
A-Mark
Precious
Metals
Inc
(d)
558‌
13‌
Core-Mark
Holding
Co
Inc
350‌
9‌
Fossil
Group
Inc
(d)
92,237‌
305‌
G-III
Apparel
Group
Ltd
(d)
88,694‌
877‌
H&E
Equipment
Services
Inc
3,415‌
60‌
KAR
Auction
Services
Inc
13,787‌
209‌
Resideo
Technologies
Inc
(d)
104,726‌
1,391‌
ScanSource
Inc
(d)
55,277‌
1,269‌
Systemax
Inc
474‌
11‌
Titan
Machinery
Inc
(d)
2,030‌
22‌
Triton
International
Ltd/Bermuda
5,449‌
171‌
Univar
Solutions
Inc
(d)
286,650‌
5,065‌
Veritiv
Corp
(d)
1,373‌
21‌
Watsco
Inc
14,425‌
3,405‌
WESCO
International
Inc
(d)
33,372‌
1,298‌
$
14,126‌
Diversified
Financial
Services
-
5.00%
Affiliated
Managers
Group
Inc
8,900‌
612‌
AllianceBernstein
Holding
LP
21,452‌
609‌
Altisource
Portfolio
Solutions
SA
(d)
490‌
7‌
Amerant
Bancorp
Inc
(d)
2,417‌
32‌
Arlington
Asset
Investment
Corp
4,163‌
11‌
Artisan
Partners
Asset
Management
Inc
30,916‌
1,120‌
Assetmark
Financial
Holdings
Inc
(d)
1,002‌
28‌
Associated
Capital
Group
Inc
209‌
8‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Diversified
Financial
Services
(continued)
B
Riley
Financial
Inc
2,064‌
$
53‌
BGC
Partners
Inc
32,539‌
90‌
Blucora
Inc
(d)
5,138‌
61‌
Boston
Private
Financial
Holdings
Inc
213,644‌
1,257‌
Brightsphere
Investment
Group
Inc
49,098‌
660‌
Calamos
Asset
Management,
Inc
(d),(f),(g)
32,006‌
—‌
Columbia
Financial
Inc
(d)
3,751‌
45‌
Cowen
Inc
72,242‌
1,190‌
Diamond
Hill
Investment
Group
Inc
326‌
37‌
Ellington
Financial
Inc
4,403‌
52‌
Encore
Capital
Group
Inc
(d)
3,329‌
122‌
Enova
International
Inc
(d)
28,680‌
461‌
Evercore
Inc
-
Class
A
11,000‌
608‌
EZCORP
Inc
(d)
5,162‌
30‌
Federal
Agricultural
Mortgage
Corp
10,854‌
646‌
Federated
Hermes
Inc
33,996‌
896‌
First
Western
Financial
Inc
(d)
712‌
10‌
GAMCO
Investors
Inc
12,964‌
153‌
Greenhill
&
Co
Inc
85,699‌
1,027‌
Hannon
Armstrong
Sustainable
Infrastructure
Capital
Inc
7,153‌
251‌
Lazard
Ltd
42,400‌
1,243‌
LendingClub
Corp
(d)
7,359‌
38‌
LPL
Financial
Holdings
Inc
165,500‌
13,078‌
Marlin
Business
Services
Corp
955‌
7‌
MMA
Capital
Holdings
Inc
(d)
504‌
13‌
Moelis
&
Co
169,600‌
5,052‌
Mr
Cooper
Group
Inc
(d)
8,167‌
133‌
Navient
Corp
133,186‌
1,061‌
Nelnet
Inc
1,887‌
109‌
Oportun
Financial
Corp
(d)
2,070‌
30‌
Oppenheimer
Holdings
Inc
29,848‌
632‌
PennyMac
Financial
Services
Inc
32,453‌
1,566‌
Piper
Sandler
Cos
1,858‌
115‌
PRA
Group
Inc
(d)
16,273‌
643‌
Premier
Financial
Corp
78,263‌
1,384‌
Regional
Management
Corp
(d)
895‌
14‌
Sculptor
Capital
Management
Inc
6,072‌
75‌
Silvercrest
Asset
Management
Group
Inc
532‌
6‌
SLM
Corp
133,800‌
906‌
Stifel
Financial
Corp
41,892‌
2,031‌
StoneX
Group
Inc
(d)
7,212‌
379‌
Virtus
Investment
Partners
Inc
7,910‌
1,076‌
Waddell
&
Reed
Financial
Inc
46,848‌
683‌
Westwood
Holdings
Group
Inc
32,431‌
368‌
WisdomTree
Investments
Inc
15,506‌
56‌
World
Acceptance
Corp
(d)
524‌
39‌
$
40,813‌
Electric
-
1.67%
ALLETE
Inc
33,332‌
1,977‌
Atlantic
Power
Corp
(d)
8,900‌
17‌
Avista
Corp
54,455‌
2,022‌
Black
Hills
Corp
6,713‌
388‌
Clearway
Energy
Inc
-
Class
A
46,008‌
1,054‌
Clearway
Energy
Inc
-
Class
C
6,816‌
167‌
MGE
Energy
Inc
2,725‌
181‌
NorthWestern
Corp
28,248‌
1,589‌
Otter
Tail
Corp
34,252‌
1,310‌
PNM
Resources
Inc
48,768‌
2,060‌
Portland
General
Electric
Co
63,311‌
2,794‌
Unitil
Corp
1,573‌
68‌
$
13,627‌
Electrical
Components
&
Equipment
-
0.75%
Acuity
Brands
Inc
6,500‌
644‌
American
Superconductor
Corp
(d)
2,343‌
22‌
Belden
Inc
42,108‌
1,331‌
Encore
Wire
Corp
26,818‌
1,346‌
EnerSys
22,417‌
1,508‌
Graham
Corp
25,760‌
338‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
252
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Electrical
Components
&
Equipment
(continued)
Insteel
Industries
Inc
49,377‌
$
921‌
Powell
Industries
Inc
954‌
25‌
Ultralife
Corp
(d)
1,035‌
7‌
$
6,142‌
Electronics
-
2.72%
Allied
Motion
Technologies
Inc
92‌
3‌
API
Group
Corp
(d),(h)
14,947‌
208‌
Applied
Optoelectronics
Inc
(d),(e)
2,058‌
29‌
Avnet
Inc
47,600‌
1,272‌
Bel
Fuse
Inc
1,133‌
14‌
Benchmark
Electronics
Inc
3,892‌
79‌
Brady
Corp
133,494‌
6,137‌
Comtech
Telecommunications
Corp
78,792‌
1,294‌
Digimarc
Corp
(d)
100‌
1‌
FARO
Technologies
Inc
(d)
149‌
9‌
Fitbit
Inc
(d)
8,334‌
55‌
Fluidigm
Corp
(d)
6,920‌
49‌
GoPro
Inc
(d)
1,621‌
9‌
II-VI
Inc
(d)
1,261‌
64‌
IntriCon
Corp
(d)
951‌
10‌
Kimball
Electronics
Inc
(d)
48,765‌
648‌
Knowles
Corp
(d)
9,455‌
144‌
NVE
Corp
5,750‌
312‌
Plexus
Corp
(d)
564‌
42‌
Sanmina
Corp
(d)
74,759‌
2,219‌
SMART
Global
Holdings
Inc
(d)
88‌
2‌
Stoneridge
Inc
(d)
2,772‌
57‌
TTM
Technologies
Inc
(d)
10,666‌
131‌
Turtle
Beach
Corp
(d)
1,433‌
26‌
Vishay
Intertechnology
Inc
93,967‌
1,475‌
Vishay
Precision
Group
Inc
(d)
1,321‌
34‌
Watts
Water
Technologies
Inc
93,524‌
7,845‌
$
22,168‌
Energy
-
Alternate
Sources
-
0.32%
Clean
Energy
Fuels
Corp
(d)
14,005‌
33‌
FuelCell
Energy
Inc
(d),(e)
7,628‌
17‌
FutureFuel
Corp
50,258‌
662‌
Green
Plains
Inc
(d),(e)
3,645‌
47‌
Renewable
Energy
Group
Inc
(d)
27,625‌
763‌
REX
American
Resources
Corp
(d)
14,818‌
1,010‌
Sunnova
Energy
International
Inc
(d)
3,032‌
76‌
SunPower
Corp
(d)
2,496‌
23‌
$
2,631‌
Engineering
&
Construction
-
1.81%
Aegion
Corp
(d)
3,233‌
50‌
Arcosa
Inc
53,017‌
2,238‌
Comfort
Systems
USA
Inc
22,814‌
1,134‌
Concrete
Pumping
Holdings
Inc
(d)
3,056‌
12‌
Construction
Partners
Inc
(d)
1,102‌
18‌
Dycom
Industries
Inc
(d)
916‌
39‌
EMCOR
Group
Inc
13,896‌
952‌
Fluor
Corp
163,936‌
1,670‌
Granite
Construction
Inc
4,460‌
76‌
Great
Lakes
Dredge
&
Dock
Corp
(d)
99,988‌
836‌
IES
Holdings
Inc
(d)
557‌
13‌
KBR
Inc
67,820‌
1,508‌
MasTec
Inc
(d)
26,518‌
1,055‌
Mistras
Group
Inc
(d)
2,067‌
7‌
MYR
Group
Inc
(d)
28,398‌
1,041‌
NV5
Global
Inc
(d)
91‌
5‌
Primoris
Services
Corp
76,213‌
1,222‌
Star
Group
LP
66,702‌
628‌
Sterling
Construction
Co
Inc
(d)
58,880‌
607‌
Tutor
Perini
Corp
(d)
75,361‌
887‌
VSE
Corp
943‌
27‌
WillScot
Mobile
Mini
Holdings
Corp
(d)
49,282‌
743‌
$
14,768‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Entertainment
-
1.10%
AMC
Entertainment
Holdings
Inc
(e)
5,550‌
$
22‌
Caesars
Entertainment
Inc
(d)
95,672‌
2,970‌
Cinemark
Holdings
Inc
11,409‌
135‌
Eros
International
PLC
(d),(e)
7,793‌
22‌
Everi
Holdings
Inc
(d)
5,599‌
32‌
GAN
Ltd
(d)
167‌
3‌
Golden
Entertainment
Inc
(d)
1,193‌
10‌
IMAX
Corp
(d)
5,278‌
60‌
International
Game
Technology
PLC
(e)
10,610‌
105‌
Liberty
Media
Corp-Liberty
Braves
-
A
Shares
(d),(e)
451‌
9‌
Liberty
Media
Corp-Liberty
Braves
-
C
Shares
(d)
1,530‌
29‌
Marriott
Vacations
Worldwide
Corp
3,757‌
318‌
Monarch
Casino
&
Resort
Inc
(d)
380‌
14‌
Penn
National
Gaming
Inc
(d)
7,116‌
241‌
RCI
Hospitality
Holdings
Inc
916‌
11‌
Red
Rock
Resorts
Inc
1,752‌
19‌
Scientific
Games
Corp
(d)
227,889‌
4,004‌
SeaWorld
Entertainment
Inc
(d)
3,045‌
44‌
Twin
River
Worldwide
Holdings
Inc
43,500‌
938‌
$
8,986‌
Environmental
Control
-
0.11%
Advanced
Disposal
Services
Inc
(d)
626‌
19‌
Casella
Waste
Systems
Inc
(d)
648‌
36‌
CECO
Environmental
Corp
(d)
3,303‌
22‌
Covanta
Holding
Corp
7,667‌
75‌
Harsco
Corp
(d)
8,344‌
133‌
Heritage-Crystal
Clean
Inc
(d)
1,612‌
23‌
Tetra
Tech
Inc
5,730‌
508‌
US
Ecology
Inc
3,319‌
115‌
$
931‌
Food
-
1.67%
B&G
Foods
Inc
(e)
828‌
24‌
BellRing
Brands
Inc
(d)
4,245‌
84‌
Bridgford
Foods
Corp
(d)
94‌
1‌
Cal-Maine
Foods
Inc
(d)
2,236‌
98‌
Chefs'
Warehouse
Inc/The
(d)
2,642‌
30‌
HF
Foods
Group
Inc
(d),(e)
3,791‌
34‌
Hostess
Brands
Inc
(d)
137,393‌
1,742‌
Ingles
Markets
Inc
23,721‌
955‌
J
&
J
Snack
Foods
Corp
1,168‌
144‌
Lancaster
Colony
Corp
3,750‌
595‌
Landec
Corp
(d)
2,764‌
26‌
Nathan's
Famous
Inc
304‌
15‌
Natural
Grocers
by
Vitamin
Cottage
Inc
391‌
6‌
Performance
Food
Group
Co
(d)
214,361‌
6,006‌
Sanderson
Farms
Inc
477‌
53‌
Seneca
Foods
Corp
-
Class
A
(d)
691‌
27‌
Simply
Good
Foods
Co/The
(d)
9,091‌
219‌
SpartanNash
Co
45,589‌
959‌
Tootsie
Roll
Industries
Inc
298‌
9‌
United
Natural
Foods
Inc
(d)
5,706‌
113‌
Village
Super
Market
Inc
36,562‌
924‌
Weis
Markets
Inc
32,158‌
1,603‌
$
13,667‌
Forest
Products
&
Paper
-
0.28%
Clearwater
Paper
Corp
(d)
1,713‌
63‌
Domtar
Corp
63,763‌
1,338‌
Mercer
International
Inc
78,100‌
582‌
Neenah
Inc
1,785‌
80‌
P
H
Glatfelter
Co
4,674‌
74‌
Schweitzer-Mauduit
International
Inc
3,310‌
108‌
Verso
Corp
3,746‌
46‌
$
2,291‌
Gas
-
1.58%
Chesapeake
Utilities
Corp
107‌
9‌
New
Jersey
Resources
Corp
10,173‌
316‌
Northwest
Natural
Holding
Co
2,902‌
155‌
ONE
Gas
Inc
4,956‌
375‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
253
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Gas
(continued)
RGC
Resources
Inc
443‌
$
10‌
South
Jersey
Industries
Inc
56,444‌
1,317‌
Southwest
Gas
Holdings
Inc
99,360‌
6,919‌
Spire
Inc
62,150‌
3,833‌
$
12,934‌
Hand
&
Machine
Tools
-
0.11%
Franklin
Electric
Co
Inc
344‌
18‌
Hurco
Cos
Inc
676‌
19‌
Kennametal
Inc
30,564‌
824‌
Luxfer
Holdings
PLC
2,883‌
37‌
$
898‌
Healthcare
-
Products
-
2.35%
Alphatec
Holdings
Inc
(d)
674‌
3‌
AngioDynamics
Inc
(d)
3,913‌
32‌
Apyx
Medical
Corp
(d)
3,230‌
15‌
Avanos
Medical
Inc
(d)
5,079‌
156‌
Bruker
Corp
119,025‌
5,311‌
Castle
Biosciences
Inc
(d)
11,144‌
432‌
Chembio
Diagnostics
Inc
(d),(e)
250‌
1‌
CryoLife
Inc
(d)
742‌
14‌
FONAR
Corp
(d)
668‌
16‌
Hanger
Inc
(d)
99,960‌
1,745‌
Inogen
Inc
(d)
645‌
20‌
Integer
Holdings
Corp
(d)
10,341‌
681‌
Integra
LifeSciences
Holdings
Corp
(d)
108,550‌
5,183‌
Invacare
Corp
3,604‌
25‌
Lantheus
Holdings
Inc
(d)
213,432‌
2,877‌
LeMaitre
Vascular
Inc
381‌
11‌
LivaNova
PLC
(d)
1,528‌
71‌
Meridian
Bioscience
Inc
(d)
579‌
14‌
Milestone
Scientific
Inc
(d)
431‌
1‌
Misonix
Inc
(d)
947‌
12‌
NanoString
Technologies
Inc
(d)
531‌
19‌
Natera
Inc
(d)
449‌
22‌
Natus
Medical
Inc
(d)
2,438‌
45‌
Nymox
Pharmaceutical
Corp
(d),(e)
575‌
2‌
OraSure
Technologies
Inc
(d)
2,606‌
47‌
Orthofix
Medical
Inc
(d)
1,989‌
61‌
Patterson
Cos
Inc
82,958‌
2,204‌
Precision
BioSciences
Inc
(d)
296‌
2‌
Retractable
Technologies
Inc
(d)
103‌
1‌
SeaSpine
Holdings
Corp
(d)
2,791‌
26‌
Sientra
Inc
(d)
1,063‌
4‌
Soleno
Therapeutics
Inc
(d)
495‌
1‌
Surgalign
Holdings
Inc
(d)
6,056‌
17‌
Utah
Medical
Products
Inc
85‌
7‌
Varex
Imaging
Corp
(d)
4,007‌
63‌
Venus
Concept
Inc
(d)
759‌
2‌
ViewRay
Inc
(d)
7,462‌
21‌
$
19,164‌
Healthcare
-
Services
-
0.48%
American
Renal
Associates
Holdings
Inc
(d)
1,071‌
7‌
Avalon
GloboCare
Corp
(d)
381‌
1‌
Brookdale
Senior
Living
Inc
(d)
19,601‌
54‌
Cellular
Biomedicine
Group
Inc
(d)
514‌
7‌
Community
Health
Systems
Inc
(d)
9,095‌
45‌
Five
Star
Senior
Living
Inc
(d)
2,153‌
10‌
Magellan
Health
Inc
(d)
17,080‌
1,267‌
MEDNAX
Inc
(d)
72,653‌
1,452‌
National
HealthCare
Corp
1,336‌
79‌
OPKO
Health
Inc
(d),(e)
42,465‌
219‌
Tenet
Healthcare
Corp
(d)
10,038‌
265‌
Tivity
Health
Inc
(d)
2,453‌
32‌
Triple-S
Management
Corp
(d)
26,003‌
506‌
$
3,944‌
Holding
Companies
-
Diversified
-
0.00%
Morgan
Group
Holding
Co
(d)
4‌
—‌
Professional
Holding
Corp
(d)
530‌
6‌
$
6‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Home
Builders
-
1.13%
Beazer
Homes
USA
Inc
(d)
3,041‌
$
34‌
Century
Communities
Inc
(d)
29,760‌
1,060‌
Forestar
Group
Inc
(d)
1,775‌
31‌
Green
Brick
Partners
Inc
(d)
23,934‌
330‌
KB
Home
8,041‌
270‌
M/I
Homes
Inc
(d)
27,266‌
1,135‌
MDC
Holdings
Inc
5,424‌
243‌
Meritage
Homes
Corp
(d)
31,424‌
3,117‌
Taylor
Morrison
Home
Corp
(d)
63,417‌
1,487‌
TRI
Pointe
Group
Inc
(d)
88,867‌
1,486‌
$
9,193‌
Home
Furnishings
-
0.38%
Casper
Sleep
Inc
(d),(e)
768‌
7‌
Daktronics
Inc
3,939‌
16‌
Ethan
Allen
Interiors
Inc
109,429‌
1,296‌
Hamilton
Beach
Brands
Holding
Co
29,321‌
446‌
Hooker
Furniture
Corp
56,738‌
1,214‌
Sleep
Number
Corp
(d)
1,775‌
83‌
Universal
Electronics
Inc
(d)
201‌
9‌
VOXX
International
Corp
(d)
2,112‌
14‌
$
3,085‌
Housewares
-
0.01%
Lifetime
Brands
Inc
1,362‌
9‌
Tupperware
Brands
Corp
(e)
5,234‌
81‌
$
90‌
Insurance
-
6.95%
Ambac
Financial
Group
Inc
(d)
73,664‌
943‌
American
Equity
Investment
Life
Holding
Co
66,709‌
1,698‌
AMERISAFE
Inc
18,157‌
1,153‌
Argo
Group
International
Holdings
Ltd
77,864‌
2,609‌
Axis
Capital
Holdings
Ltd
30,400‌
1,220‌
Brighthouse
Financial
Inc
(d)
32,000‌
907‌
Citizens
Inc/TX
(d),(e)
5,290‌
30‌
CNO
Financial
Group
Inc
93,863‌
1,417‌
Crawford
&
Co
1,658‌
12‌
Donegal
Group
Inc
1,164‌
16‌
Employers
Holdings
Inc
40,850‌
1,329‌
Enstar
Group
Ltd
(d)
8,352‌
1,402‌
Essent
Group
Ltd
59,551‌
2,134‌
FBL
Financial
Group
Inc
1,033‌
36‌
FedNat
Holding
Co
1,247‌
12‌
First
American
Financial
Corp
175,650‌
8,960‌
Genworth
Financial
Inc
(d)
53,853‌
110‌
Global
Indemnity
Ltd
30,498‌
697‌
Goosehead
Insurance
Inc
(d)
1,196‌
124‌
Greenlight
Capital
Re
Ltd
(d)
3,082‌
20‌
Hanover
Insurance
Group
Inc/The
12,400‌
1,263‌
HCI
Group
Inc
498‌
22‌
Heritage
Insurance
Holdings
Inc
2,464‌
29‌
Horace
Mann
Educators
Corp
36,204‌
1,360‌
Independence
Holding
Co
490‌
16‌
Investors
Title
Co
119‌
14‌
James
River
Group
Holdings
Ltd
13,395‌
620‌
MBIA
Inc
(d)
7,415‌
59‌
MGIC
Investment
Corp
442,850‌
3,662‌
National
General
Holdings
Corp
20,748‌
705‌
National
Western
Life
Group
Inc
6,352‌
1,238‌
NI
Holdings
Inc
(d)
976‌
16‌
NMI
Holdings
Inc
(d)
6,734‌
105‌
Old
Republic
International
Corp
557,650‌
8,961‌
ProAssurance
Corp
88,965‌
1,308‌
ProSight
Global
Inc
(d)
1,065‌
8‌
Protective
Insurance
Corp
955‌
12‌
Radian
Group
Inc
142,073‌
2,120‌
RLI
Corp
527‌
47‌
Safety
Insurance
Group
Inc
1,563‌
118‌
Security
National
Financial
Corp
(d)
1,086‌
7‌
Selective
Insurance
Group
Inc
121,533‌
6,604‌
State
Auto
Financial
Corp
20,971‌
325‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
254
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Insurance
(continued)
Stewart
Information
Services
Corp
36,479‌
$
1,530‌
Third
Point
Reinsurance
Ltd
(d)
164,395‌
1,281‌
Tiptree
Inc
2,658‌
13‌
United
Fire
Group
Inc
16,033‌
407‌
United
Insurance
Holdings
Corp
2,168‌
16‌
Universal
Insurance
Holdings
Inc
2,253‌
40‌
Vericity
Inc
211‌
2‌
Watford
Holdings
Ltd
(d)
1,826‌
30‌
$
56,767‌
Internet
-
0.22%
CarParts.com
Inc
(d)
189‌
3‌
Cars.com
Inc
(d)
7,200‌
58‌
comScore
Inc
(d)
6,230‌
19‌
DHI
Group
Inc
(d)
5,545‌
14‌
ePlus
Inc
(d)
8,531‌
636‌
Groupon
Inc
(d)
2,449‌
38‌
HealthStream
Inc
(d)
2,751‌
60‌
Lands'
End
Inc
(d)
1,327‌
11‌
Liquidity
Services
Inc
(d)
2,963‌
15‌
LiveXLive
Media
Inc
(d),(e)
2,823‌
9‌
Magnite
Inc
(d)
4,870‌
29‌
Meet
Group
Inc/The
(d)
98,100‌
611‌
Overstock.com
Inc
(d)
771‌
58‌
QuinStreet
Inc
(d)
3,419‌
40‌
Stitch
Fix
Inc
(d),(e)
925‌
20‌
TrueCar
Inc
(d)
11,306‌
43‌
VirnetX
Holding
Corp
(e)
3,252‌
17‌
Yelp
Inc
(d)
6,079‌
152‌
$
1,833‌
Investment
Companies
-
0.04%
Brookfield
Infrastructure
Corp
1,752‌
80‌
Brookfield
Renewable
Corp
4,081‌
183‌
PDL
Community
Bancorp
(d)
855‌
8‌
Rafael
Holdings
Inc
(d)
975‌
14‌
$
285‌
Iron
&
Steel
-
0.33%
Allegheny
Technologies
Inc
(d)
13,547‌
118‌
Carpenter
Technology
Corp
5,067‌
113‌
Cleveland-Cliffs
Inc
(e)
208,589‌
1,080‌
Commercial
Metals
Co
39,507‌
817‌
Schnitzer
Steel
Industries
Inc
20,652‌
380‌
United
States
Steel
Corp
(e)
23,394‌
156‌
$
2,664‌
Leisure
Products
&
Services
-
0.14%
Acushnet
Holdings
Corp
2,798‌
106‌
Callaway
Golf
Co
9,969‌
190‌
Clarus
Corp
2,316‌
28‌
Escalade
Inc
1,098‌
17‌
Harley-Davidson
Inc
21,700‌
565‌
Johnson
Outdoors
Inc
275‌
24‌
Liberty
TripAdvisor
Holdings
Inc
(d)
7,741‌
19‌
Nautilus
Inc
(d)
3,159‌
33‌
OneSpaWorld
Holdings
Ltd
4,821‌
27‌
Vista
Outdoor
Inc
(d)
6,224‌
107‌
$
1,116‌
Lodging
-
0.30%
BBX
Capital
Corp
(d)
1,329‌
19‌
Bluegreen
Vacations
Corp
590‌
4‌
Boyd
Gaming
Corp
8,676‌
205‌
Century
Casinos
Inc
(d)
3,088‌
12‌
Hilton
Grand
Vacations
Inc
(d)
59,907‌
1,216‌
Marcus
Corp/The
2,391‌
33‌
St
Joe
Co/The
(d)
1,775‌
37‌
Target
Hospitality
Corp
(d)
3,379‌
5‌
Wyndham
Destinations
Inc
33,500‌
891‌
$
2,422‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Machinery
-
Construction
&
Mining
-
0.27%
Argan
Inc
1,568‌
$
67‌
Astec
Industries
Inc
2,391‌
106‌
Bloom
Energy
Corp
(d),(e)
572‌
7‌
Hyster-Yale
Materials
Handling
Inc
25,170‌
939‌
Manitowoc
Co
Inc/The
(d)
90,958‌
970‌
Terex
Corp
7,183‌
136‌
$
2,225‌
Machinery
-
Diversified
-
1.38%
Alamo
Group
Inc
45,494‌
4,691‌
Albany
International
Corp
573‌
28‌
Altra
Industrial
Motion
Corp
6,884‌
236‌
Applied
Industrial
Technologies
Inc
2,488‌
157‌
Cactus
Inc
30,808‌
697‌
Chart
Industries
Inc
(d)
3,850‌
264‌
CIRCOR
International
Inc
(d)
2,127‌
56‌
Columbus
McKinnon
Corp/NY
2,469‌
82‌
Crane
Co
9,900‌
560‌
DXP
Enterprises
Inc/TX
(d)
72,548‌
1,224‌
Eastman
Kodak
Co
(d),(e)
1,756‌
38‌
Flowserve
Corp
30,600‌
853‌
Gencor
Industries
Inc
(d)
930‌
11‌
Gorman-Rupp
Co/The
1,598‌
48‌
GrafTech
International
Ltd
201,800‌
1,225‌
Intevac
Inc
(d)
2,024‌
12‌
Mueller
Water
Products
Inc
-
Class
A
77,646‌
785‌
NN
Inc
(d)
4,479‌
24‌
Ranpak
Holdings
Corp
(d)
3,087‌
25‌
SPX
FLOW
Inc
(d)
4,539‌
182‌
Welbilt
Inc
(d)
10,005‌
61‌
$
11,259‌
Media
-
1.78%
AMC
Networks
Inc
(d)
2,460‌
57‌
Central
European
Media
Enterprises
Ltd
(d)
4,949‌
20‌
Entercom
Communications
Corp
12,358‌
17‌
Entravision
Communications
Corp
590,257‌
779‌
EW
Scripps
Co/The
5,981‌
68‌
Gannett
Co
Inc
13,769‌
21‌
Gray
Television
Inc
(d)
6,636‌
95‌
Hemisphere
Media
Group
Inc
(d)
1,745‌
15‌
Houghton
Mifflin
Harcourt
Co
(d)
11,162‌
33‌
iHeartMedia
Inc
(d),(e)
6,387‌
54‌
Liberty
Latin
America
Ltd
-
Class
A
(d)
4,925‌
51‌
Liberty
Latin
America
Ltd
-
Class
C
(d)
12,007‌
123‌
Media
General
Inc
-
Rights
(d),(f),(g)
15,053‌
1‌
Meredith
Corp
2,087‌
30‌
MSG
Networks
Inc
(d)
4,249‌
41‌
Nexstar
Media
Group
Inc
44,175‌
3,872‌
Saga
Communications
Inc
434‌
10‌
Scholastic
Corp
3,098‌
74‌
Sinclair
Broadcast
Group
Inc
(e)
185,994‌
3,831‌
TEGNA
Inc
453,424‌
5,341‌
Tribune
Publishing
Co
1,664‌
16‌
Value
Line
Inc
12‌
—‌
WideOpenWest
Inc
(d)
2,790‌
15‌
$
14,564‌
Metal
Fabrication
&
Hardware
-
0.77%
AZZ
Inc
41,577‌
1,313‌
Eastern
Co/The
616‌
10‌
Helios
Technologies
Inc
1,741‌
66‌
L
B
Foster
Co
(d)
1,074‌
15‌
Lawson
Products
Inc/DE
(d)
197‌
6‌
Mayville
Engineering
Co
Inc
(d)
828‌
6‌
Mueller
Industries
Inc
32,495‌
909‌
Northwest
Pipe
Co
(d)
1,023‌
26‌
Olympic
Steel
Inc
1,042‌
11‌
Park-Ohio
Holdings
Corp
918‌
13‌
Rexnord
Corp
30,581‌
886‌
Ryerson
Holding
Corp
(d)
1,825‌
10‌
TimkenSteel
Corp
(d)
4,797‌
18‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
255
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Metal
Fabrication
&
Hardware
(continued)
Tredegar
Corp
41,089‌
$
652‌
Valmont
Industries
Inc
10,355‌
1,255‌
Worthington
Industries
Inc
28,362‌
1,061‌
$
6,257‌
Mining
-
0.76%
Alcoa
Corp
(d)
81,839‌
1,064‌
Arconic
Corp
(d)
10,622‌
173‌
Caledonia
Mining
Corp
PLC
795‌
18‌
Century
Aluminum
Co
(d)
197,059‌
1,716‌
Coeur
Mining
Inc
(d)
25,853‌
205‌
Energy
Fuels
Inc/Canada
(d)
12,325‌
21‌
Gold
Resource
Corp
6,968‌
30‌
Hecla
Mining
Co
55,723‌
308‌
Kaiser
Aluminum
Corp
16,019‌
993‌
Livent
Corp
(d),(e)
191,060‌
1,198‌
Novagold
Resources
Inc
(d)
50,552‌
461‌
United
States
Lime
&
Minerals
Inc
200‌
18‌
Uranium
Energy
Corp
(d)
13,322‌
13‌
$
6,218‌
Miscellaneous
Manufacturers
-
3.42%
Enerpac
Tool
Group
Corp
3,612‌
68‌
EnPro
Industries
Inc
27,067‌
1,292‌
ESCO
Technologies
Inc
214‌
18‌
Fabrinet
(d)
93,499‌
6,791‌
Federal
Signal
Corp
141,619‌
4,377‌
Haynes
International
Inc
1,330‌
25‌
Hillenbrand
Inc
52,306‌
1,529‌
Lydall
Inc
(d)
1,823‌
30‌
Materion
Corp
66,952‌
3,844‌
Myers
Industries
Inc
2,414‌
36‌
NL
Industries
Inc
956‌
4‌
Raven
Industries
Inc
3,485‌
75‌
Smith
&
Wesson
Brands
Inc
(d)
31,409‌
750‌
Standex
International
Corp
1,309‌
70‌
Sturm
Ruger
&
Co
Inc
17,864‌
1,454‌
Trinity
Industries
Inc
327,275‌
6,392‌
Trinseo
SA
54,104‌
1,174‌
$
27,929‌
Office
&
Business
Equipment
-
0.00%
Pitney
Bowes
Inc
11,389‌
38‌
Office
Furnishings
-
0.84%
CompX
International
Inc
190‌
3‌
Herman
Miller
Inc
74,302‌
1,740‌
HNI
Corp
4,548‌
135‌
Interface
Inc
157,827‌
1,260‌
Kimball
International
Inc
3,843‌
42‌
Knoll
Inc
110,676‌
1,296‌
Steelcase
Inc
223,653‌
2,400‌
$
6,876‌
Oil
&
Gas
-
2.12%
Adams
Resources
&
Energy
Inc
249‌
5‌
Antero
Resources
Corp
(d)
25,914‌
77‌
Berry
Corp
163,027‌
767‌
Bonanza
Creek
Energy
Inc
(d)
70,005‌
1,273‌
Brigham
Minerals
Inc
3,224‌
36‌
Cimarex
Energy
Co
48,500‌
1,186‌
CNX
Resources
Corp
(d)
19,812‌
191‌
Comstock
Resources
Inc
(d)
2,282‌
12‌
Contango
Oil
&
Gas
Co
(d)
7,909‌
14‌
CVR
Energy
Inc
3,156‌
61‌
Delek
US
Holdings
Inc
6,669‌
117‌
Earthstone
Energy
Inc
(d)
314,334‌
827‌
Evolution
Petroleum
Corp
3,224‌
8‌
Falcon
Minerals
Corp
4,115‌
10‌
Goodrich
Petroleum
Corp
(d)
480‌
4‌
Gulfport
Energy
Corp
(d)
16,913‌
17‌
Kosmos
Energy
Ltd
1,287,165‌
2,072‌
Magnolia
Oil
&
Gas
Corp
(d)
203,516‌
1,217‌
Matador
Resources
Co
(d),(e)
11,777‌
102‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Oil
&
Gas
(continued)
Montage
Resources
Corp
(d)
2,445‌
$
10‌
Murphy
USA
Inc
(d)
6,492‌
860‌
Nabors
Industries
Ltd
(e)
746‌
32‌
Ovintiv
Inc
(e)
27,952‌
271‌
Par
Pacific
Holdings
Inc
(d)
4,269‌
32‌
Parsley
Energy
Inc
298,575‌
3,278‌
Patterson-UTI
Energy
Inc
19,551‌
76‌
PBF
Energy
Inc
10,306‌
89‌
PDC
Energy
Inc
(d)
71,422‌
1,019‌
Penn
Virginia
Corp
(d)
1,451‌
14‌
PrimeEnergy
Resources
Corp
(d)
59‌
4‌
ProPetro
Holding
Corp
(d)
174,052‌
935‌
Range
Resources
Corp
214,762‌
1,388‌
SM
Energy
Co
187,033‌
551‌
Southwestern
Energy
Co
(d)
215,376‌
523‌
Talos
Energy
Inc
(d)
1,259‌
9‌
Tellurian
Inc
(d),(e)
15,225‌
14‌
Transocean
Ltd
(d)
62,380‌
127‌
Trecora
Resources
(d)
2,575‌
15‌
W&T
Offshore
Inc
(d),(e)
10,042‌
23‌
Whiting
Petroleum
Corp
(d),(e)
10,262‌
8‌
$
17,274‌
Oil
&
Gas
Services
-
1.33%
Archrock
Inc
13,853‌
92‌
ChampionX
Corp
(d)
114,535‌
1,090‌
DMC
Global
Inc
831‌
24‌
Dril-Quip
Inc
(d)
12,725‌
424‌
Exterran
Corp
(d)
2,779‌
14‌
Frank's
International
NV
(d)
581,660‌
1,326‌
Helix
Energy
Solutions
Group
Inc
(d)
15,231‌
64‌
Liberty
Oilfield
Services
Inc
146,417‌
827‌
Matrix
Service
Co
(d)
77,763‌
681‌
MRC
Global
Inc
(d)
200,936‌
1,196‌
National
Energy
Services
Reunited
Corp
(d)
2,202‌
15‌
Newpark
Resources
Inc
(d)
9,436‌
18‌
NexTier
Oilfield
Solutions
Inc
(d)
374,407‌
943‌
NOW
Inc
(d)
11,693‌
92‌
Oceaneering
International
Inc
(d)
10,595‌
59‌
Oil
States
International
Inc
(d)
70,825‌
317‌
RPC
Inc
(d)
193,530‌
575‌
Select
Energy
Services
Inc
(d)
133,189‌
591‌
Seventy
Seven
Energy
Inc
(d),(f),(g)
16,216‌
—‌
Solaris
Oilfield
Infrastructure
Inc
168,170‌
1,221‌
TechnipFMC
PLC
38,500‌
309‌
Thermon
Group
Holdings
Inc
(d)
70,279‌
952‌
US
Silica
Holdings
Inc
7,867‌
28‌
$
10,858‌
Packaging
&
Containers
-
0.05%
Greif
Inc
-
Class
A
2,739‌
95‌
Greif
Inc
-
Class
B
635‌
25‌
Matthews
International
Corp
3,252‌
70‌
O-I
Glass
Inc
3,777‌
40‌
TriMas
Corp
(d)
4,615‌
108‌
UFP
Technologies
Inc
(d)
674‌
29‌
$
367‌
Pharmaceuticals
-
1.56%
AcelRx
Pharmaceuticals
Inc
(d)
6,899‌
8‌
Aeglea
BioTherapeutics
Inc
(d)
725‌
5‌
Agile
Therapeutics
Inc
(d),(e)
533‌
1‌
Akcea
Therapeutics
Inc
(d),(e)
980‌
11‌
Anika
Therapeutics
Inc
(d)
29,360‌
1,069‌
Artana
Therapeutics
(d),(f),(g)
581‌
—‌
Axcella
Health
Inc
(d)
72‌
—‌
Aytu
BioScience
Inc
(d)
2,609‌
4‌
Beyondspring
Inc
(d)
103‌
1‌
Calyxt
Inc
(d)
80‌
—‌
Cassava
Sciences
Inc
(d),(e)
1,701‌
5‌
Catalyst
Biosciences
Inc
(d)
1,987‌
10‌
Chimerix
Inc
(d)
5,161‌
16‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
256
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Pharmaceuticals
(continued)
Cidara
Therapeutics
Inc
(d)
803‌
$
3‌
Coherus
Biosciences
Inc
(d)
47,218‌
831‌
Concert
Pharmaceuticals
Inc
(d)
3,048‌
28‌
CorMedix
Inc
(d)
205‌
1‌
Covetrus
Inc
(d)
10,474‌
232‌
Cyclerion
Therapeutics
Inc
(d)
2,359‌
9‌
Cytokinetics
Inc
(d)
724‌
16‌
Enanta
Pharmaceuticals
Inc
(d)
1,853‌
85‌
Endo
International
PLC
(d)
13,782‌
48‌
Evofem
Biosciences
Inc
(d),(e)
359‌
1‌
G1
Therapeutics
Inc
(d)
1,932‌
28‌
Gritstone
Oncology
Inc
(d)
2,657‌
9‌
Heska
Corp
(d)
471‌
45‌
Hookipa
Pharma
Inc
(d),(e)
94‌
1‌
Ideaya
Biosciences
Inc
(d)
1,035‌
13‌
Intra-Cellular
Therapies
Inc
(d)
3,636‌
72‌
Jounce
Therapeutics
Inc
(d)
1,839‌
8‌
KalVista
Pharmaceuticals
Inc
(d)
1,172‌
12‌
Lannett
Co
Inc
(d)
3,395‌
20‌
Mallinckrodt
PLC
(d),(e)
9,038‌
20‌
Mirum
Pharmaceuticals
Inc
(d),(e)
363‌
8‌
Momenta
Pharmaceuticals
Inc
(d)
774‌
23‌
MyoKardia
Inc
(d)
658‌
59‌
Nature's
Sunshine
Products
Inc
(d)
1,012‌
10‌
Option
Care
Health
Inc
(d)
248‌
3‌
ORIC
Pharmaceuticals
Inc
(d),(e)
64‌
1‌
Owens
&
Minor
Inc
6,643‌
107‌
Paratek
Pharmaceuticals
Inc
(d)
302‌
1‌
Passage
Bio
Inc
(d)
552‌
9‌
PRA
Health
Sciences
Inc
(d)
71,000‌
7,566‌
Prestige
Consumer
Healthcare
Inc
(d)
3,473‌
129‌
Principia
Biopharma
Inc
(d)
264‌
22‌
Revance
Therapeutics
Inc
(d)
1,402‌
33‌
Rockwell
Medical
Inc
(d)
827‌
1‌
Spectrum
Pharmaceuticals
Inc
(d)
12,302‌
37‌
Spero
Therapeutics
Inc
(d)
176‌
2‌
Supernus
Pharmaceuticals
Inc
(d)
4,042‌
90‌
Taro
Pharmaceutical
Industries
Ltd
(d)
19,300‌
1,255‌
TG
Therapeutics
Inc
(d)
1,500‌
29‌
TherapeuticsMD
Inc
(d),(e)
4,013‌
7‌
UroGen
Pharma
Ltd
(d)
802‌
18‌
USANA
Health
Sciences
Inc
(d)
8,300‌
674‌
Vanda
Pharmaceuticals
Inc
(d)
5,733‌
58‌
Xeris
Pharmaceuticals
Inc
(d),(e)
302‌
1‌
$
12,755‌
Pipelines
-
0.00%
NextDecade
Corp
(d),(e)
2,154‌
3‌
Private
Equity
-
0.13%
Kennedy-Wilson
Holdings
Inc
13,050‌
193‌
Safeguard
Scientifics
Inc
2,081‌
12‌
Victory
Capital
Holdings
Inc
48,839‌
867‌
$
1,072‌
Real
Estate
-
1.45%
American
Realty
Investors
Inc
(d)
123‌
1‌
CTO
Realty
Growth
Inc
494‌
20‌
Cushman
&
Wakefield
PLC
(d)
546,397‌
5,846‌
FRP
Holdings
Inc
(d)
714‌
28‌
Griffin
Industrial
Realty
Inc
102‌
5‌
Legacy
Housing
Corp
(d),(e)
715‌
10‌
Marcus
&
Millichap
Inc
(d)
152,679‌
4,159‌
Maui
Land
&
Pineapple
Co
Inc
(d)
421‌
4‌
McGrath
RentCorp
1,112‌
64‌
Newmark
Group
Inc
15,247‌
62‌
RE/MAX
Holdings
Inc
18,833‌
609‌
Realogy
Holdings
Corp
12,239‌
111‌
RMR
Group
Inc/The
30,266‌
871‌
Safehold
Inc
835‌
42‌
Stratus
Properties
Inc
(d)
625‌
12‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Real
Estate
(continued)
Transcontinental
Realty
Investors
Inc
(d)
154‌
$
4‌
$
11,848‌
REITs
-
4.04%
Acadia
Realty
Trust
73,519‌
885‌
Agree
Realty
Corp
5,679‌
380‌
Alexander
&
Baldwin
Inc
7,692‌
91‌
Alexander's
Inc
3,615‌
910‌
Alpine
Income
Property
Trust
Inc
772‌
11‌
American
Assets
Trust
Inc
5,368‌
145‌
American
Finance
Trust
Inc
11,656‌
85‌
Anworth
Mortgage
Asset
Corp
10,392‌
19‌
Apollo
Commercial
Real
Estate
Finance
Inc
49,301‌
458‌
Arbor
Realty
Trust
Inc
11,007‌
112‌
Ares
Commercial
Real
Estate
Corp
38,581‌
352‌
Armada
Hoffler
Properties
Inc
5,985‌
58‌
ARMOUR
Residential
REIT
Inc
6,831‌
64‌
Blackstone
Mortgage
Trust
Inc
14,702‌
354‌
Bluerock
Residential
Growth
REIT
Inc
1,632‌
12‌
Broadmark
Realty
Capital
Inc
13,734‌
127‌
BRT
Apartments
Corp
1,134‌
12‌
Capstead
Mortgage
Corp
10,175‌
63‌
CareTrust
REIT
Inc
8,789‌
158‌
CatchMark
Timber
Trust
Inc
4,658‌
45‌
Chatham
Lodging
Trust
4,946‌
26‌
Cherry
Hill
Mortgage
Investment
Corp
1,619‌
15‌
Chimera
Investment
Corp
20,492‌
184‌
City
Office
REIT
Inc
5,008‌
43‌
Clipper
Realty
Inc
316‌
2‌
Colony
Capital
Inc
51,829‌
100‌
Colony
Credit
Real
Estate
Inc
150,306‌
947‌
Columbia
Property
Trust
Inc
12,225‌
146‌
CoreCivic
Inc
66,536‌
593‌
CorEnergy
Infrastructure
Trust
Inc
1,566‌
14‌
CorePoint
Lodging
Inc
(d)
4,188‌
23‌
DiamondRock
Hospitality
Co
21,326‌
99‌
Diversified
Healthcare
Trust
25,320‌
99‌
Dynex
Capital
Inc
2,359‌
36‌
EastGroup
Properties
Inc
205‌
27‌
Ellington
Residential
Mortgage
REIT
1,027‌
11‌
Essential
Properties
Realty
Trust
Inc
9,750‌
157‌
Farmland
Partners
Inc
2,784‌
19‌
First
Industrial
Realty
Trust
Inc
21,127‌
928‌
Franklin
Street
Properties
Corp
11,087‌
58‌
Front
Yard
Residential
Corp
5,345‌
46‌
GEO
Group
Inc/The
12,575‌
134‌
Getty
Realty
Corp
3,599‌
107‌
Gladstone
Commercial
Corp
2,814‌
51‌
Gladstone
Land
Corp
1,067‌
17‌
Global
Medical
REIT
Inc
4,381‌
52‌
Global
Net
Lease
Inc
9,624‌
160‌
Granite
Point
Mortgage
Trust
Inc
52,228‌
355‌
Great
Ajax
Corp
81,957‌
706‌
Healthcare
Realty
Trust
Inc
28,896‌
847‌
Hersha
Hospitality
Trust
3,632‌
17‌
Independence
Realty
Trust
Inc
10,116‌
116‌
Industrial
Logistics
Properties
Trust
6,930‌
146‌
Innovative
Industrial
Properties
Inc
1,039‌
108‌
Invesco
Mortgage
Capital
Inc
157,830‌
484‌
Investors
Real
Estate
Trust
1,295‌
94‌
iStar
Inc
7,921‌
92‌
Jernigan
Capital
Inc
2,382‌
33‌
Kite
Realty
Group
Trust
8,866‌
88‌
KKR
Real
Estate
Finance
Trust
Inc
3,047‌
51‌
Ladder
Capital
Corp
11,283‌
88‌
Lexington
Realty
Trust
68,768‌
798‌
LTC
Properties
Inc
37,142‌
1,380‌
Macerich
Co/The
15,149‌
116‌
Mack-Cali
Realty
Corp
9,708‌
140‌
MFA
Financial
Inc
166,250‌
437‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
257
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
REITs
(continued)
Monmouth
Real
Estate
Investment
Corp
1,172‌
$
17‌
National
Health
Investors
Inc
26,029‌
1,614‌
New
Senior
Investment
Group
Inc
8,745‌
30‌
New
York
Mortgage
Trust
Inc
163,641‌
429‌
NexPoint
Residential
Trust
Inc
1,957‌
75‌
Office
Properties
Income
Trust
20,927‌
526‌
One
Liberty
Properties
Inc
1,683‌
29‌
Orchid
Island
Capital
Inc
7,101‌
37‌
Pebblebrook
Hotel
Trust
162,381‌
1,721‌
PennyMac
Mortgage
Investment
Trust
10,582‌
199‌
Physicians
Realty
Trust
21,689‌
391‌
Piedmont
Office
Realty
Trust
Inc
101,174‌
1,640‌
PotlatchDeltic
Corp
6,993‌
299‌
Preferred
Apartment
Communities
Inc
5,076‌
37‌
QTS
Realty
Trust
Inc
353‌
25‌
Ready
Capital
Corp
3,903‌
31‌
Redwood
Trust
Inc
12,271‌
88‌
Retail
Opportunity
Investments
Corp
104,141‌
1,132‌
Retail
Properties
of
America
Inc
22,897‌
146‌
Retail
Value
Inc
1,749‌
22‌
RLJ
Lodging
Trust
17,524‌
140‌
RPT
Realty
8,613‌
54‌
Ryman
Hospitality
Properties
Inc
722‌
23‌
Sabra
Health
Care
REIT
Inc
21,934‌
323‌
Saul
Centers
Inc
179‌
6‌
Seritage
Growth
Properties
(d)
65,479‌
610‌
Service
Properties
Trust
17,504‌
117‌
SITE
Centers
Corp
16,350‌
120‌
STAG
Industrial
Inc
202,656‌
6,606‌
Summit
Hotel
Properties
Inc
11,037‌
57‌
Sunstone
Hotel
Investors
Inc
75,901‌
568‌
Tanger
Factory
Outlet
Centers
Inc
9,665‌
62‌
Terreno
Realty
Corp
4,091‌
249‌
TPG
RE
Finance
Trust
Inc
43,604‌
379‌
Two
Harbors
Investment
Corp
29,245‌
159‌
UMH
Properties
Inc
933‌
11‌
Universal
Health
Realty
Income
Trust
172‌
12‌
Urban
Edge
Properties
12,390‌
130‌
Urstadt
Biddle
Properties
Inc
3,172‌
31‌
Washington
Real
Estate
Investment
Trust
8,808‌
197‌
Western
Asset
Mortgage
Capital
Corp
5,570‌
12‌
Whitestone
REIT
4,250‌
28‌
Xenia
Hotels
&
Resorts
Inc
12,095‌
96‌
$
33,009‌
Retail
-
6.50%
Abercrombie
&
Fitch
Co
6,567‌
63‌
American
Eagle
Outfitters
Inc
106,000‌
1,060‌
America's
Car-Mart
Inc/TX
(d)
152‌
14‌
Asbury
Automotive
Group
Inc
(d)
10,518‌
1,054‌
Aspen
Aerogels
Inc
(d)
1,992‌
13‌
At
Home
Group
Inc
(d),(e)
5,125‌
64‌
AutoNation
Inc
(d)
17,600‌
904‌
Beacon
Roofing
Supply
Inc
(d)
5,826‌
182‌
Bed
Bath
&
Beyond
Inc
(e)
46,589‌
504‌
Big
Lots
Inc
19,157‌
754‌
Biglari
Holdings
Inc
(d)
5‌
2‌
Biglari
Holdings
Inc
(d)
104‌
7‌
BJ's
Restaurants
Inc
1,978‌
40‌
BJ's
Wholesale
Club
Holdings
Inc
(d)
15,460‌
619‌
BMC
Stock
Holdings
Inc
(d)
28,877‌
739‌
Boot
Barn
Holdings
Inc
(d)
273‌
5‌
Brinker
International
Inc
37,471‌
1,007‌
Buckle
Inc/The
3,091‌
50‌
Caleres
Inc
4,094‌
26‌
Cannae
Holdings
Inc
(d)
9,037‌
340‌
Carrols
Restaurant
Group
Inc
(d)
3,765‌
23‌
Cato
Corp/The
54,530‌
392‌
Cheesecake
Factory
Inc/The
(e)
4,521‌
108‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Retail
(continued)
Chico's
FAS
Inc
12,472‌
$
16‌
Children's
Place
Inc/The
442‌
11‌
Chuy's
Holdings
Inc
(d)
1,764‌
28‌
Citi
Trends
Inc
1,161‌
20‌
Conn's
Inc
(d),(e)
1,861‌
19‌
Container
Store
Group
Inc/The
(d)
1,816‌
6‌
Cracker
Barrel
Old
Country
Store
Inc
1,463‌
162‌
Dave
&
Buster's
Entertainment
Inc
(e)
3,155‌
39‌
Del
Taco
Restaurants
Inc
(d)
3,167‌
24‌
Denny's
Corp
(d)
2,011‌
18‌
Designer
Brands
Inc
149,679‌
885‌
Dillard's
Inc
(e)
38,902‌
916‌
Dine
Brands
Global
Inc
1,550‌
70‌
Duluth
Holdings
Inc
(d),(e)
83,361‌
616‌
El
Pollo
Loco
Holdings
Inc
(d)
40,546‌
801‌
Envela
Corp
(d)
133‌
1‌
Express
Inc
(d)
7,253‌
7‌
Fiesta
Restaurant
Group
Inc
(d)
1,918‌
12‌
FirstCash
Inc
91,251‌
5,260‌
Foot
Locker
Inc
20,100‌
591‌
Foundation
Building
Materials
Inc
(d)
1,710‌
23‌
Gaia
Inc
(d)
1,338‌
12‌
GameStop
Corp
(d),(e)
6,103‌
24‌
Genesco
Inc
(d)
80,268‌
1,248‌
GMS
Inc
(d)
4,441‌
104‌
Group
1
Automotive
Inc
65,514‌
5,504‌
Guess?
Inc
4,661‌
48‌
Haverty
Furniture
Cos
Inc
46,502‌
662‌
Hibbett
Sports
Inc
(d)
67,022‌
1,554‌
Hudson
Ltd
(d)
4,227‌
18‌
Jack
in
the
Box
Inc
2,143‌
176‌
Kura
Sushi
USA
Inc
(d),(e)
383‌
4‌
La-Z-Boy
Inc
37,852‌
1,077‌
Lithia
Motors
Inc
12,113‌
2,775‌
Lumber
Liquidators
Holdings
Inc
(d)
2,628‌
59‌
Macy's
Inc
(e)
33,344‌
202‌
MarineMax
Inc
(d)
2,199‌
61‌
Michaels
Cos
Inc/The
(d)
7,952‌
57‌
Movado
Group
Inc
105,993‌
1,022‌
National
Vision
Holdings
Inc
(d)
1,473‌
47‌
Noodles
&
Co
(d)
1,838‌
13‌
Nu
Skin
Enterprises
Inc
27,200‌
1,220‌
ODP
Corp/The
(d)
44,629‌
985‌
Papa
John's
International
Inc
510‌
48‌
PC
Connection
Inc
30,360‌
1,327‌
Penske
Automotive
Group
Inc
20,100‌
901‌
PriceSmart
Inc
2,273‌
149‌
Red
Robin
Gourmet
Burgers
Inc
(d),(e)
1,365‌
12‌
Regis
Corp
(d)
2,509‌
19‌
RH
(d)
2,897‌
833‌
Rite
Aid
Corp
(d)
5,840‌
89‌
Rush
Enterprises
Inc
-
Class
A
147,301‌
7,008‌
Rush
Enterprises
Inc
-
Class
B
469‌
19‌
Sally
Beauty
Holdings
Inc
(d)
64,489‌
749‌
Shoe
Carnival
Inc
990‌
24‌
Signet
Jewelers
Ltd
5,567‌
60‌
Sonic
Automotive
Inc
33,945‌
1,294‌
Suburban
Propane
Partners
LP
94,037‌
1,247‌
Tilly's
Inc
99,365‌
597‌
Urban
Outfitters
Inc
(d)
65,561‌
1,085‌
Vera
Bradley
Inc
(d)
144,240‌
632‌
Wingstop
Inc
6,376‌
996‌
Winmark
Corp
221‌
35‌
World
Fuel
Services
Corp
19,954‌
470‌
Zumiez
Inc
(d)
47,849‌
1,105‌
$
53,066‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
258
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Savings
&
Loans
-
1.94%
Axos
Financial
Inc
(d)
5,667‌
$
127‌
Banc
of
California
Inc
4,762‌
51‌
BankFinancial
Corp
1,530‌
11‌
Berkshire
Hills
Bancorp
Inc
167,028‌
1,664‌
Brookline
Bancorp
Inc
112,588‌
1,080‌
Capitol
Federal
Financial
Inc
14,165‌
137‌
Community
Bankers
Trust
Corp
2,484‌
13‌
Dime
Community
Bancshares
Inc
105,882‌
1,244‌
Eagle
Bancorp
Montana
Inc
718‌
11‌
ESSA
Bancorp
Inc
997‌
13‌
First
Capital
Inc
(e)
345‌
18‌
First
Savings
Financial
Group
Inc
212‌
9‌
Flushing
Financial
Corp
113,080‌
1,253‌
FS
Bancorp
Inc
8,468‌
322‌
Greene
County
Bancorp
Inc
309‌
7‌
Hingham
Institution
For
Savings
The
3,239‌
570‌
Home
Bancorp
Inc
823‌
19‌
HomeTrust
Bancshares
Inc
22,842‌
329‌
Investors
Bancorp
Inc
213,308‌
1,733‌
Meridian
Bancorp
Inc
31,491‌
359‌
Northfield
Bancorp
Inc
64,985‌
624‌
Northwest
Bancshares
Inc
12,512‌
123‌
OceanFirst
Financial
Corp
24,903‌
381‌
Oconee
Federal
Financial
Corp
(e)
118‌
3‌
Pacific
Premier
Bancorp
Inc
8,998‌
189‌
Provident
Financial
Holdings
Inc
684‌
8‌
Provident
Financial
Services
Inc
160,094‌
2,186‌
Prudential
Bancorp
Inc
981‌
11‌
Riverview
Bancorp
Inc
2,303‌
11‌
Southern
Missouri
Bancorp
Inc
14,636‌
319‌
Sterling
Bancorp/DE
27,200‌
306‌
Territorial
Bancorp
Inc
15,102‌
331‌
Timberland
Bancorp
Inc/WA
791‌
13‌
Washington
Federal
Inc
52,652‌
1,229‌
Waterstone
Financial
Inc
24,132‌
369‌
WSFS
Financial
Corp
27,755‌
792‌
$
15,865‌
Semiconductors
-
6.17%
Alpha
&
Omega
Semiconductor
Ltd
(d)
2,164‌
24‌
Ambarella
Inc
(d)
2,464‌
112‌
Amkor
Technology
Inc
(d)
134,241‌
1,825‌
Axcelis
Technologies
Inc
(d)
299‌
9‌
AXT
Inc
(d)
4,166‌
20‌
Cabot
Microelectronics
Corp
89,000‌
13,414‌
Cirrus
Logic
Inc
(d)
13,005‌
891‌
Cohu
Inc
4,107‌
77‌
CTS
Corp
3,394‌
67‌
Diodes
Inc
(d)
36,409‌
1,873‌
DSP
Group
Inc
(d)
229‌
3‌
GSI
Technology
Inc
(d)
1,726‌
10‌
MaxLinear
Inc
(d)
2,866‌
73‌
MKS
Instruments
Inc
56,925‌
7,255‌
Nova
Measuring
Instruments
Ltd
(d)
113,450‌
5,831‌
Onto
Innovation
Inc
(d)
168,459‌
6,371‌
Photronics
Inc
(d)
86,447‌
1,027‌
Pixelworks
Inc
(d)
535‌
2‌
Rambus
Inc
(d)
348,540‌
5,144‌
Synaptics
Inc
(d)
214‌
17‌
Tower
Semiconductor
Ltd
(d)
290,550‌
6,247‌
Veeco
Instruments
Inc
(d)
5,190‌
70‌
$
50,362‌
Software
-
0.64%
Allscripts
Healthcare
Solutions
Inc
(d)
16,355‌
147‌
Asure
Software
Inc
(d)
1,531‌
10‌
Cerence
Inc
(d)
3,920‌
155‌
Cloudera
Inc
(d)
11,217‌
126‌
Computer
Programs
and
Systems
Inc
1,369‌
34‌
Daily
Journal
Corp
(d),(e)
26‌
7‌
Digi
International
Inc
(d)
3,060‌
37‌
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Software
(continued)
Donnelley
Financial
Solutions
Inc
(d)
3,203‌
$
28‌
Ebix
Inc
57,756‌
1,274‌
eGain
Corp
(d)
1,410‌
14‌
Evolent
Health
Inc
(d)
6,760‌
79‌
GTY
Technology
Holdings
Inc
(d)
4,727‌
15‌
Immersion
Corp
(d)
503‌
3‌
ManTech
International
Corp/VA
1,664‌
116‌
MicroStrategy
Inc
(d)
304‌
38‌
NextGen
Healthcare
Inc
(d)
57,567‌
842‌
Park
City
Group
Inc
(d),(e)
1,113‌
5‌
PDF
Solutions
Inc
(d)
248‌
6‌
Progress
Software
Corp
11,693‌
408‌
Rosetta
Stone
Inc
(d)
2,210‌
59‌
SeaChange
International
Inc
(d)
3,437‌
5‌
SWK
Holdings
Corp
(d)
404‌
5‌
Synchronoss
Technologies
Inc
(d)
4,256‌
14‌
Verint
Systems
Inc
(d)
3,771‌
169‌
Xperi
Holding
Corp
87,149‌
1,608‌
$
5,204‌
Supranational
Bank
-
0.00%
Banco
Latinoamericano
de
Comercio
Exterior
SA
3,302‌
39‌
Telecommunications
-
0.68%
ADTRAN
Inc
5,103‌
63‌
Alaska
Communications
Systems
Group
Inc
5,530‌
13‌
ATN
International
Inc
1,125‌
65‌
CalAmp
Corp
(d)
1,309‌
10‌
Casa
Systems
Inc
(d)
63,700‌
357‌
Cincinnati
Bell
Inc
(d)
3,604‌
54‌
Consolidated
Communications
Holdings
Inc
(d)
7,020‌
51‌
DASAN
Zhone
Solutions
Inc
(d)
1,372‌
14‌
Gogo
Inc
(d)
379‌
1‌
Harmonic
Inc
(d)
10,130‌
57‌
IDT
Corp
-
Class
B
(d)
619‌
4‌
Infinera
Corp
(d)
8,309‌
66‌
InterDigital
Inc
2,250‌
135‌
Iridium
Communications
Inc
(d)
4,467‌
122‌
KVH
Industries
Inc
(d)
1,727‌
14‌
Loral
Space
&
Communications
Inc
1,071‌
20‌
Maxar
Technologies
Inc
6,443‌
115‌
NeoPhotonics
Corp
(d)
68,918‌
628‌
NETGEAR
Inc
(d)
3,106‌
96‌
ORBCOMM
Inc
(d)
6,863‌
29‌
PCTEL
Inc
(d)
1,875‌
12‌
Plantronics
Inc
2,403‌
48‌
Powerfleet
Inc
(d)
2,914‌
13‌
Preformed
Line
Products
Co
13,341‌
657‌
Ribbon
Communications
Inc
(d)
7,273‌
32‌
Spok
Holdings
Inc
1,884‌
19‌
Switch
Inc
149,550‌
2,690‌
Vonage
Holdings
Corp
(d)
10,827‌
129‌
$
5,514‌
Textiles
-
0.69%
Culp
Inc
22,400‌
249‌
UniFirst
Corp/MA
28,965‌
5,401‌
$
5,650‌
Toys,
Games
&
Hobbies
-
0.11%
Funko
Inc
(d),(e)
159,961‌
886‌
Transportation
-
1.81%
ArcBest
Corp
2,687‌
82‌
Ardmore
Shipping
Corp
3,088‌
13‌
Atlas
Air
Worldwide
Holdings
Inc
(d)
2,566‌
134‌
Bristow
Group
Inc
(d)
754‌
12‌
Costamare
Inc
5,295‌
24‌
Covenant
Logistics
Group
Inc
(d)
2,557‌
43‌
DHT
Holdings
Inc
11,899‌
68‌
Diamond
S
Shipping
Inc
(d)
2,918‌
26‌
Dorian
LPG
Ltd
(d)
3,152‌
27‌
Eagle
Bulk
Shipping
Inc
(d),(e)
5,040‌
12‌
Echo
Global
Logistics
Inc
(d)
2,794‌
70‌
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
259
COMMON
STOCKS
(continued)
Shares
Held
Value
(000’s)
Transportation
(continued)
Forward
Air
Corp
1,135‌
$
59‌
Frontline
Ltd/Bermuda
(e)
12,590‌
101‌
Genco
Shipping
&
Trading
Ltd
1,951‌
13‌
Golar
LNG
Ltd
(d),(e)
9,717‌
73‌
Heartland
Express
Inc
4,842‌
98‌
Hoegh
LNG
Partners
LP
(e)
26,900‌
277‌
Hub
Group
Inc
(d)
3,494‌
185‌
International
Seaways
Inc
2,640‌
46‌
Landstar
System
Inc
42,975‌
5,233‌
Marten
Transport
Ltd
2,158‌
57‌
Matson
Inc
39,090‌
1,423‌
Nordic
American
Tankers
Ltd
(e)
15,394‌
70‌
Overseas
Shipholding
Group
Inc
(d)
7,000‌
16‌
PAM
Transportation
Services
Inc
(d)
177‌
5‌
Pangaea
Logistics
Solutions
Ltd
(d)
1,205‌
2‌
Radiant
Logistics
Inc
(d)
4,171‌
18‌
Safe
Bulkers
Inc
(d)
5,919‌
8‌
Saia
Inc
(d)
44,575‌
5,324‌
Scorpio
Bulkers
Inc
619‌
9‌
Scorpio
Tankers
Inc
5,460‌
72‌
SEACOR
Holdings
Inc
(d)
2,046‌
59‌
SFL
Corp
Ltd
9,955‌
83‌
Tidewater
Inc
(d)
4,311‌
27‌
Universal
Logistics
Holdings
Inc
51,068‌
938‌
US
Xpress
Enterprises
Inc
(d)
2,362‌
22‌
Werner
Enterprises
Inc
739‌
33‌
$
14,762‌
Trucking
&
Leasing
-
1.08%
GATX
Corp
122,940‌
7,498‌
General
Finance
Corp
(d)
1,196‌
7‌
Greenbrier
Cos
Inc/The
50,968‌
1,311‌
Willis
Lease
Finance
Corp
(d)
336‌
7‌
$
8,823‌
Water
-
0.04%
Artesian
Resources
Corp
5,711‌
200‌
California
Water
Service
Group
395‌
19‌
Consolidated
Water
Co
Ltd
1,544‌
19‌
Global
Water
Resources
Inc
76‌
1‌
PICO
Holdings
Inc
(d)
1,834‌
15‌
SJW
Group
1,321‌
82‌
$
336‌
TOTAL
COMMON
STOCKS
$
806,233‌
Total
Investments
$
828,246‌
Other
Assets
and
Liabilities
-  (1.46)%
(11,932‌)
TOTAL
NET
ASSETS
-
100.00%
$
816,314‌
(a)
Current
yield
shown
is
as
of
period
end.
(b)
Security
or
a
portion
of
the
security
was
received
as
collateral
for
securities
lending.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$9,303
or
1.14%
of
net
assets.
(c)
Affiliated
Security.
Security
is
either
an
affiliate
(and
registered
under
the
Investment
Company
Act
of
1940)
or
an
affiliate
as
defined
by
the
Investment
Company
Act
of
1940
(controls
5.00%
or
more
of
the
outstanding
voting
shares
of
the
security).
Please
see
affiliated
sub-schedule
for
transactional
information.
(d)
Non-income
producing
security
(e)
Security
or
a
portion
of
the
security
was
on
loan
at
the
end
of
the
period.
(f)
The
value
of
these
investments
was
determined
using
significant
unobservable
inputs.
(g)
Fair
value
of
these
investments
is
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Board
of
Directors.
Certain
inputs
used
in
the
valuation
may
be
unobservable;
however,
each
security
is
evaluated
individually
for
purposes
of
ASC
820
which
results
in
not
all
securities
being
identified
as
Level
3
of
the
fair
value
hierarchy.
At
the
end
of
the
period,
the
fair
value
of
these
securities
totaled
$5
or
0.00%
of
net
assets.
(h)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$208
or
0.03%
of
net
assets.
Portfolio
Summary  (unaudited)
Sector
Percent
Financial
29.79‌%
Industrial
18.11‌%
Consumer,
Cyclical
15.09‌%
Consumer,
Non-cyclical
12.63‌%
Technology
10.09‌%
Energy
3.94‌%
Utilities
3.29‌%
Basic
Materials
3.11‌%
Communications
2.71‌%
Money
Market
Funds
2.58‌%
Investment
Companies
0.12‌%
Diversified
0.00‌%
Government
0.00‌%
Other
Assets
and
Liabilities
(1.46‌)%
TOTAL
NET
ASSETS
100.00%
Affiliated
Securities
October
31,
2019
Purchases
Sales
July
31,
2020
Value
Cost
Proceeds
Value
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
34,976‌
$
429,543‌
$
444,328‌
$
20,191‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
625‌
—‌
508‌
—‌
$
35,601‌
$
429,543‌
$
444,836‌
$
20,191‌
Income
(a)
Realized
Gain/Loss
on
Investments
Realized
Gain
from
Capital
Gain
Distributions
Change
in
Unrealized
Gain/
Loss
Principal
Government
Money
Market
Fund
-
Institutional
Class
0.00%
$
145‌
$
—‌
$
—‌
$
—‌
Principal
U.S.
Small-Cap
Multi-Factor
Index
ETF
4‌
(94‌)
—‌
(23‌)
$
149‌
$
(94‌)
$
—‌
$
(23‌)
Amounts
in
thousands.
(a)
Amount
excludes
earnings
from
securities
lending
collateral.
Schedule
of
Investments
SmallCap
Value
Fund
II
July
31,
2020
(unaudited)
See
accompanying
notes.
260
Futures
Contracts
Description
and
Expiration
Date
Type
Contracts
Notional
Amount
Value
and
Unrealized
Appreciation/(Depreciation)
Russell
2000
Emini;
September
2020
Long
15‌
$
1,108‌
$
13‌
Total
$
13‌
Amounts
in
thousands
except
contracts.
Schedule
of
Investments
Tax-Exempt
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
261
INVESTMENT
COMPANIES
-
2.57%
Shares
Held
Value
(000's)
Exchange-Traded
Funds
-
2.57%
iShares
National
Muni
Bond
ETF
58,600‌
$
6,848‌
iShares
Short-Term
National
Muni
Bond
ETF
81,302‌
8,812‌
SPDR
Nuveen
Bloomberg
Barclays
High
Yield
Municipal
Bond
ETF
6,126‌
351‌
VanEck
Vectors
High-Yield
Municipal
Index
ETF
7,638‌
462‌
$
16,473‌
TOTAL
INVESTMENT
COMPANIES
$
16,473‌
MUNICIPAL
BONDS
-
98.07%
Principal
Amount
(000's)
Value
(000's)
Alabama
-
3.35%
Birmingham
Airport
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.25%,
07/01/2030
(a)
$
1,000‌
$
1,001‌
Lower
Alabama
Gas
District/The
5.00%,
09/01/2034
3,500‌
4,743‌
5.00%,
09/01/2046
4,500‌
6,559‌
Phenix
City
Industrial
Development
Board
4.13%,
05/15/2035
3,000‌
3,082‌
Tuscaloosa
County
Industrial
Development
Authority
4.50%,
05/01/2032
(b)
1,000‌
1,097‌
5.25%,
05/01/2044
(b)
4,500‌
5,009‌
$
21,491‌
Arizona
-
1.73%
Arizona
Industrial
Development
Authority
5.00%,
01/01/2043
575‌
532‌
5.50%,
01/01/2054
(b)
1,500‌
1,291‌
Chandler
Industrial
Development
Authority
2.70%,
12/01/2037
(c)
1,300‌
1,370‌
Navajo
Nation
5.50%,
12/01/2030
(b)
1,240‌
1,346‌
Salt
Verde
Financial
Corp
5.00%,
12/01/2032
4,965‌
6,609‌
$
11,148‌
California
-
8.74%
Alum
Rock
Union
Elementary
School
District
5.25%,
08/01/2043
1,000‌
1,120‌
Bay
Area
Toll
Authority
0.12%,
04/01/2047
(c)
4,000‌
4,000‌
California
Health
Facilities
Financing
Authority
5.00%,
11/15/2046
(d)
1,691‌
1,983‌
California
Municipal
Finance
Authority
5.00%,
05/15/2033
1,000‌
1,176‌
5.00%,
05/15/2034
600‌
702‌
California
Municipal
Finance
Authority
(credit
support
from
Build
America
Mutual
Assurance
Corp
-
Transfer
Custodial
Receipt
)
5.00%,
05/15/2031
(a)
2,240‌
2,724‌
California
Pollution
Control
Financing
Authority
4.30%,
07/01/2040
2,000‌
2,270‌
California
Statewide
Communities
Development
Authority
(credit
support
from
Ginnie
Mae
Collateral
)
4.90%,
07/20/2039
(a)
500‌
506‌
City
of
Los
Angeles
Department
of
Airports
5.00%,
05/15/2028
2,000‌
2,577‌
5.00%,
05/15/2035
1,500‌
1,515‌
5.00%,
05/15/2037
(d)
837‌
1,058‌
5.00%,
05/15/2039
(d)
584‌
734‌
5.00%,
05/15/2042
(d)
234‌
275‌
5.00%,
05/15/2044
(d)
1,606‌
1,932‌
5.00%,
05/15/2044
(d)
720‌
894‌
5.00%,
05/15/2044
(d)
107‌
130‌
5.00%,
05/15/2047
(d)
681‌
808‌
5.25%,
05/15/2048
(d)
389‌
479‌
Golden
State
Tobacco
Securitization
Corp
5.00%,
06/01/2047
2,840‌
2,902‌
5.30%,
06/01/2037
1,000‌
1,033‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
California
(continued)
Oakland
Unified
School
District/Alameda
County
5.00%,
08/01/2034
$
2,210‌
$
2,586‌
Riverside
Community
Properties
Development
Inc
6.00%,
10/15/2038
1,150‌
1,362‌
Sacramento
Area
Flood
Control
Agency
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
10/01/2039
(a)
1,340‌
1,566‌
Sacramento
County
Water
Financing
Authority
5.00%,
06/01/2027
500‌
654‌
San
Diego
County
Regional
Airport
Authority
5.00%,
07/01/2028
340‌
433‌
5.00%,
07/01/2029
410‌
532‌
5.00%,
07/01/2030
480‌
633‌
5.00%,
07/01/2031
500‌
655‌
5.00%,
07/01/2032
455‌
591‌
5.00%,
07/01/2033
500‌
645‌
5.00%,
07/01/2034
415‌
534‌
5.00%,
07/01/2035
300‌
384‌
5.00%,
07/01/2037
450‌
572‌
5.00%,
07/01/2038
500‌
634‌
5.00%,
07/01/2040
265‌
334‌
San
Diego
Unified
School
District/CA
0.00%,
07/01/2032
(e)
5,000‌
4,090‌
Southern
California
Public
Power
Authority
5.00%,
11/01/2028
2,385‌
3,040‌
5.25%,
07/01/2028
1,000‌
1,045‌
State
of
California
0.08%,
05/01/2034
(c)
1,200‌
1,200‌
0.11%,
05/01/2033
(c)
2,000‌
2,000‌
5.00%,
08/01/2028
2,000‌
2,695‌
West
Contra
Costa
Unified
School
District
5.25%,
08/01/2033
1,000‌
1,126‌
$
56,129‌
Colorado
-
3.47%
Colorado
Health
Facilities
Authority
4.00%,
11/01/2039
8,275‌
9,401‌
Cottonwood
Highlands
Metropolitan
District
No
1
5.00%,
12/01/2049
1,250‌
1,264‌
Denver
Convention
Center
Hotel
Authority
5.00%,
12/01/2036
1,000‌
1,072‌
Dominion
Water
&
Sanitation
District
5.25%,
12/01/2027
1,500‌
1,570‌
Elbert
County
Independence
Water
&
Sanitation
District
7.25%,
12/01/2038
1,000‌
1,101‌
Painted
Prairie
Public
Improvement
Authority
5.00%,
12/01/2049
1,000‌
1,035‌
Regional
Transportation
District
6.00%,
01/15/2041
450‌
451‌
6.50%,
01/15/2030
500‌
501‌
STC
Metropolitan
District
No
2
4.00%,
12/01/2029
1,000‌
999‌
Velocity
Metropolitan
District
No
3
5.13%,
12/01/2034
2,235‌
2,310‌
5.50%,
12/01/2048
2,500‌
2,583‌
$
22,287‌
Connecticut
-
1.44%
Mohegan
Tribal
Finance
Authority
7.00%,
02/01/2045
(b)
5,500‌
5,374‌
State
of
Connecticut
(credit
support
from
ACA
Financial
Guaranty
Corp
)
6.60%,
07/01/2024
(a)
860‌
863‌
State
of
Connecticut
Special
Tax
Revenue
5.00%,
05/01/2030
1,755‌
2,360‌
5.00%,
05/01/2038
500‌
643‌
$
9,240‌
Schedule
of
Investments
Tax-Exempt
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
262
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
District
of
Columbia
-
1.32%
District
of
Columbia
5.00%,
03/01/2029
$
2,000‌
$
2,732‌
5.00%,
10/15/2044
3,500‌
4,528‌
Metropolitan
Washington
Airports
Authority
Dulles
Toll
Road
Revenue
5.00%,
10/01/2047
1,000‌
1,200‌
$
8,460‌
Florida
-
3.21%
Canaveral
Port
Authority
5.00%,
06/01/2048
1,900‌
2,159‌
City
of
Lakeland
FL
Department
of
Electric
Utilities
5.25%,
10/01/2036
1,000‌
1,479‌
Collier
County
Health
Facilities
Authority
5.00%,
05/01/2043
3,500‌
4,123‌
Florida
Development
Finance
Corp
6.25%,
01/01/2049
(b),(c)
500‌
440‌
6.38%,
01/01/2049
(b),(c)
3,000‌
2,614‌
Greater
Orlando
Aviation
Authority
5.00%,
10/01/2047
(d)
7,001‌
8,287‌
Village
Community
Development
District
No
13
2.63%,
05/01/2024
500‌
501‌
3.00%,
05/01/2029
1,000‌
1,013‌
$
20,616‌
Georgia
-
0.49%
Atlanta
Development
Authority
The
7.00%,
01/01/2040
2,000‌
1,675‌
Development
Authority
of
Burke
County/The
0.22%,
07/01/2049
(c)
1,500‌
1,500‌
$
3,175‌
Idaho
-
0.32%
Idaho
Health
Facilities
Authority
6.65%,
02/15/2021
(c)
2,000‌
2,068‌
Illinois
-
11.08%
Chicago
O'Hare
International
Airport
5.25%,
01/01/2036
2,000‌
2,410‌
5.25%,
01/01/2037
4,000‌
4,808‌
Chicago
Transit
Authority
5.00%,
12/01/2046
6,480‌
7,308‌
City
of
Chicago
IL
5.25%,
01/01/2029
2,000‌
2,153‌
5.50%,
01/01/2049
1,000‌
1,122‌
6.00%,
01/01/2038
2,965‌
3,435‌
7.13%,
03/15/2022
100‌
100‌
7.46%,
02/15/2026
597‌
426‌
City
of
Chicago
IL
Wastewater
Transmission
Revenue
5.00%,
01/01/2030
1,000‌
1,154‌
5.00%,
01/01/2032
1,000‌
1,145‌
5.00%,
01/01/2033
2,000‌
2,282‌
City
of
Chicago
IL
Waterworks
Revenue
5.00%,
11/01/2028
1,000‌
1,143‌
County
of
Cook
IL
Sales
Tax
Revenue
5.25%,
11/15/2036
1,520‌
1,846‌
Illinois
Finance
Authority
0.00%,
12/01/2042
(e)
1,400‌
756‌
0.14%,
08/15/2042
(c)
900‌
900‌
Illinois
Sports
Facilities
Authority/The
5.00%,
06/15/2028
900‌
1,025‌
5.00%,
06/15/2029
1,000‌
1,144‌
Illinois
Sports
Facilities
Authority/The
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
5.00%,
06/15/2029
(a)
2,050‌
2,575‌
Illinois
State
Toll
Highway
Authority
5.00%,
12/01/2032
5,200‌
6,183‌
5.00%,
01/01/2040
(d)
2,000‌
2,342‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Illinois
(continued)
Metropolitan
Pier
&
Exposition
Authority
5.00%,
06/15/2057
$
700‌
$
764‌
Metropolitan
Pier
&
Exposition
Authority
(credit
support
from
National
Public
Finance
Guarantee
Corp
)
5.50%,
06/15/2029
(a)
2,410‌
2,745‌
Metropolitan
Water
Reclamation
District
of
Greater
Chicago
5.00%,
12/01/2028
5,000‌
6,088‌
Sales
Tax
Securitization
Corp
5.00%,
01/01/2036
1,000‌
1,221‌
5.00%,
01/01/2048
3,000‌
3,429‌
Sales
Tax
Securitization
Corp
(credit
support
from
Build
America
Mutual
Assurance
Corp
)
4.00%,
01/01/2040
(a)
1,750‌
1,941‌
5.00%,
01/01/2037
(a)
2,000‌
2,447‌
State
of
Illinois
5.00%,
11/01/2028
3,500‌
4,012‌
5.50%,
07/01/2027
3,410‌
3,708‌
United
City
of
Yorkville
IL
5.75%,
03/01/2028
400‌
400‌
Village
of
Gilberts
IL
Special
Service
Area
No
24
5.38%,
03/01/2034
149‌
141‌
$
71,153‌
Indiana
-
0.69%
Indiana
Finance
Authority
7.00%,
03/01/2039
(b)
4,000‌
3,714‌
Town
of
Shoals
IN
7.25%,
11/01/2043
700‌
740‌
$
4,454‌
Kentucky
-
0.73%
Kentucky
Municipal
Power
Agency
5.00%,
09/01/2035
1,080‌
1,344‌
Kentucky
Public
Energy
Authority
4.00%,
01/01/2049
(c)
3,000‌
3,348‌
$
4,692‌
Louisiana
-
3.19%
Lafayette
Public
Trust
Financing
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.25%,
10/01/2030
(a)
1,000‌
1,008‌
Louisiana
Local
Government
Environmental
Facilities
&
Community
Development
Authority
3.50%,
11/01/2032
3,000‌
3,179‌
4.40%,
11/01/2044
(b)
2,000‌
2,003‌
5.50%,
11/01/2039
(b)
2,785‌
2,972‌
Louisiana
Offshore
Terminal
Authority
1.65%,
09/01/2027
(c)
3,320‌
3,337‌
Louisiana
Public
Facilities
Authority
0.00%,
07/01/2039
(e)
417‌
—‌
0.00%,
07/01/2039
(e)
659‌
—‌
Parish
of
St
James
LA
5.85%,
08/01/2041
(b),(c)
1,000‌
1,098‌
6.10%,
12/01/2040
(b),(c)
1,000‌
1,186‌
Parish
of
St
John
the
Baptist
LA
2.00%,
06/01/2037
(c)
5,750‌
5,721‌
$
20,504‌
Maine
-
0.30%
Finance
Authority
of
Maine
4.38%,
08/01/2035
(b),(c)
1,800‌
1,916‌
Maryland
-
0.36%
Maryland
Health
&
Higher
Educational
Facilities
Authority
4.00%,
04/15/2045
1,575‌
1,804‌
6.00%,
07/01/2041
500‌
526‌
$
2,330‌
Schedule
of
Investments
Tax-Exempt
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
263
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Massachusetts
-
2.45%
Commonwealth
of
Massachusetts
5.00%,
01/01/2042
$
1,940‌
$
2,439‌
Massachusetts
Bay
Transportation
Authority
5.25%,
07/01/2028
2,000‌
2,713‌
Massachusetts
Educational
Financing
Authority
4.90%,
07/01/2028
1,245‌
1,283‌
Massachusetts
Port
Authority
5.00%,
07/01/2029
1,000‌
1,272‌
5.00%,
07/01/2035
1,000‌
1,231‌
5.00%,
07/01/2049
5,500‌
6,805‌
$
15,743‌
Michigan
-
2.20%
Detroit
City
School
District
(credit
support
from
Qualified
School
Bond
Loan
Fund
)
5.00%,
05/01/2036
(a)
1,000‌
1,288‌
5.00%,
05/01/2037
(a)
1,000‌
1,281‌
5.00%,
05/01/2038
(a)
2,000‌
2,551‌
Kalamazoo
Economic
Development
Corp
5.00%,
05/15/2032
2,835‌
2,932‌
Kentwood
Economic
Development
Corp
5.00%,
11/15/2041
1,000‌
1,048‌
Michigan
Finance
Authority
4.00%,
02/15/2044
3,400‌
3,888‌
Wayne
County
Airport
Authority
5.00%,
12/01/2045
1,000‌
1,151‌
$
14,139‌
Mississippi
-
0.16%
Mississippi
Business
Finance
Corp
2.20%,
03/01/2027
(c)
1,000‌
1,031‌
Missouri
-
0.98%
City
of
St
Louis
MO
Airport
Revenue
5.00%,
07/01/2034
1,285‌
1,608‌
5.00%,
07/01/2044
1,100‌
1,337‌
City
of
St
Louis
MO
Airport
Revenue
(credit
support
from
National
Public
Finance
Guarantee
Corp
)
5.50%,
07/01/2028
(a)
1,500‌
1,957‌
Health
&
Educational
Facilities
Authority
of
the
State
of
Missouri
5.00%,
02/01/2034
1,250‌
1,366‌
$
6,268‌
Montana
-
0.65%
Montana
Board
of
Housing
(credit
support
from
Federal
Housing
Administration,
Guaranteed
by
the
Department
of
Veterans
Affairs
and
HUD
)
4.00%,
06/01/2045
(a)
1,775‌
1,991‌
Montana
Facility
Finance
Authority
4.13%,
07/01/2038
2,000‌
2,187‌
$
4,178‌
Nevada
-
2.23%
Las
Vegas
Convention
&
Visitors
Authority
5.00%,
07/01/2043
(d)
8,604‌
9,948‌
Las
Vegas
Redevelopment
Agency
5.00%,
06/15/2040
3,850‌
4,376‌
$
14,324‌
New
Hampshire
-
3.09%
New
Hampshire
Business
Finance
Authority
2.15%,
07/01/2027
(c)
6,750‌
6,937‌
4.00%,
11/01/2027
(b)
1,000‌
1,025‌
4.13%,
01/20/2034
9,935‌
10,872‌
4.88%,
11/01/2042
(b)
1,000‌
1,021‌
$
19,855‌
New
Jersey
-
5.27%
Casino
Reinvestment
Development
Authority
Inc
5.25%,
11/01/2039
750‌
771‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
New
Jersey
(continued)
New
Jersey
Economic
Development
Authority
0.07%,
07/01/2026
(c)
$
2,900‌
$
2,900‌
4.00%,
07/01/2032
805‌
876‌
5.75%,
04/01/2031
1,005‌
1,051‌
New
Jersey
Transportation
Trust
Fund
Authority
5.25%,
06/15/2032
2,000‌
2,235‌
5.25%,
06/15/2034
2,250‌
2,522‌
South
Jersey
Port
Corp
5.00%,
01/01/2042
5,000‌
5,463‌
5.00%,
01/01/2048
3,000‌
3,250‌
South
Jersey
Transportation
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
11/01/2029
(a)
1,000‌
1,326‌
Tobacco
Settlement
Financing
Corp
4.00%,
06/01/2037
4,700‌
5,323‌
5.00%,
06/01/2046
7,000‌
8,166‌
$
33,883‌
New
York
-
7.48%
Hudson
Yards
Infrastructure
Corp
5.75%,
02/15/2047
1,585‌
1,632‌
5.75%,
02/15/2047
915‌
940‌
Metropolitan
Transportation
Authority
4.00%,
02/01/2022
600‌
611‌
5.00%,
11/15/2021
850‌
893‌
5.00%,
11/15/2025
400‌
446‌
New
York
City
Industrial
Development
Agency
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
6.13%,
01/01/2029
(a)
925‌
929‌
New
York
City
Transitional
Finance
Authority
Future
Tax
Secured
Revenue
5.25%,
08/01/2037
3,000‌
3,872‌
New
York
City
Water
&
Sewer
System
0.14%,
06/15/2050
(c)
4,500‌
4,500‌
0.15%,
06/15/2045
(c)
1,100‌
1,100‌
4.00%,
06/15/2037
2,800‌
3,424‌
New
York
Counties
Tobacco
Trust
VI
5.00%,
06/01/2031
215‌
248‌
5.00%,
06/01/2036
740‌
829‌
5.00%,
06/01/2041
400‌
443‌
New
York
Liberty
Development
Corp
5.00%,
11/15/2031
1,000‌
1,048‌
5.00%,
09/15/2040
1,000‌
1,058‌
5.00%,
12/15/2041
1,000‌
1,049‌
New
York
State
Dormitory
Authority
4.00%,
09/01/2045
2,000‌
2,202‌
5.00%,
07/01/2033
1,200‌
1,404‌
New
York
State
Dormitory
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
-
State
Aid
Withholding
)
5.00%,
10/01/2023
(a)
140‌
140‌
New
York
Transportation
Development
Corp
5.00%,
01/01/2032
7,200‌
7,876‌
5.00%,
01/01/2036
3,200‌
3,496‌
5.25%,
01/01/2050
3,125‌
3,417‌
Port
Authority
of
New
York
&
New
Jersey
5.00%,
07/15/2035
3,000‌
3,853‌
Tompkins
County
Development
Corp
5.00%,
07/01/2027
115‌
63‌
Westchester
County
Local
Development
Corp
5.00%,
11/01/2046
2,400‌
2,554‌
$
48,027‌
North
Carolina
-
3.19%
City
of
Charlotte
NC
5.00%,
06/01/2029
5,790‌
8,001‌
City
of
Raleigh
NC
Combined
Enterprise
System
Revenue
5.00%,
03/01/2031
1,000‌
1,028‌
Schedule
of
Investments
Tax-Exempt
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
264
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
North
Carolina
(continued)
North
Carolina
Medical
Care
Commission
5.00%,
10/01/2047
$
1,000‌
$
1,037‌
North
Carolina
Turnpike
Authority
5.00%,
01/01/2040
4,100‌
4,935‌
Raleigh
Durham
Airport
Authority
5.00%,
05/01/2031
1,750‌
2,294‌
5.00%,
05/01/2034
1,150‌
1,482‌
University
of
North
Carolina
at
Chapel
Hill
5.00%,
02/01/2032
1,310‌
1,692‌
$
20,469‌
Ohio
-
3.71%
American
Municipal
Power
Inc
5.25%,
02/15/2033
2,575‌
2,776‌
Buckeye
Tobacco
Settlement
Financing
Authority
3.00%,
06/01/2048
3,000‌
3,005‌
4.00%,
06/01/2037
3,000‌
3,524‌
5.00%,
06/01/2055
4,000‌
4,408‌
City
of
Cincinnati
OH
5.00%,
12/01/2032
815‌
886‌
Cleveland
Department
of
Public
Utilities
Division
of
Public
Power
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
4.00%,
11/15/2036
(a)
950‌
1,132‌
County
of
Hamilton
OH
5.00%,
01/01/2036
1,435‌
1,504‌
5.00%,
01/01/2046
2,500‌
2,581‌
Ohio
Air
Quality
Development
Authority
4.25%,
01/15/2038
(b)
1,000‌
1,063‌
4.50%,
01/15/2048
(b)
850‌
902‌
5.00%,
07/01/2049
(b)
2,000‌
2,036‌
$
23,817‌
Oklahoma
-
0.20%
Oklahoma
Development
Finance
Authority
5.25%,
08/15/2043
1,085‌
1,285‌
Oregon
-
1.14%
Medford
Hospital
Facilities
Authority
4.00%,
08/15/2039
1,000‌
1,175‌
4.00%,
08/15/2050
1,000‌
1,144‌
Oregon
State
Business
Development
Commission
0.00%,
04/01/2031
(b),(e)
1,000‌
650‌
State
of
Oregon
Housing
&
Community
Services
Department
3.55%,
07/01/2033
3,905‌
4,335‌
$
7,304‌
Pennsylvania
-
4.75%
Allegheny
County
Industrial
Development
Authority
4.88%,
11/01/2024
1,000‌
952‌
5.13%,
05/01/2030
1,030‌
930‌
City
of
Philadelphia
PA
5.00%,
02/01/2038
1,000‌
1,270‌
5.00%,
02/01/2039
1,000‌
1,267‌
Commonwealth
Financing
Authority
5.00%,
06/01/2032
3,000‌
3,766‌
5.00%,
06/01/2033
2,000‌
2,495‌
Luzerne
County
Industrial
Development
Authority
2.45%,
12/01/2039
(c)
2,000‌
2,210‌
Pennsylvania
Economic
Development
Financing
Authority
2.15%,
11/01/2021
(c)
2,250‌
2,291‌
3.25%,
08/01/2039
(b)
1,200‌
1,098‌
5.75%,
06/01/2036
(b)
1,750‌
1,720‌
Pennsylvania
Turnpike
Commission
5.00%,
12/01/2029
2,000‌
2,590‌
5.00%,
12/01/2036
1,725‌
2,069‌
5.25%,
12/01/2044
5,000‌
6,357‌
5.75%,
12/01/2028
175‌
178‌
5.75%,
12/01/2028
245‌
249‌
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Pennsylvania
(continued)
Pennsylvania
Turnpike
Commission  
(continued)
6.00%,
12/01/2034
$
65‌
$
66‌
6.00%,
12/01/2034
80‌
82‌
6.00%,
12/01/2034
355‌
362‌
Pittsburgh
Water
&
Sewer
Authority
(credit
support
from
Assured
Guaranty
Municipal
Corp
)
5.00%,
09/01/2033
(a)
400‌
571‌
$
30,523‌
South
Carolina
-
0.24%
South
Carolina
Jobs-Economic
Development
Authority
5.25%,
11/15/2052
1,500‌
1,529‌
South
Dakota
-
0.23%
Oglala
Sioux
Tribe
5.75%,
10/01/2025
(b)
1,500‌
1,500‌
Tennessee
-
2.71%
Metropolitan
Government
Nashville
&
Davidson
County
Health
&
Educational
Facilities
Board
5.00%,
07/01/2040
5,010‌
5,767‌
Metropolitan
Nashville
Airport
Authority/The
4.00%,
07/01/2049
1,000‌
1,125‌
5.00%,
07/01/2044
5,500‌
6,852‌
5.00%,
07/01/2049
2,000‌
2,474‌
Tennergy
Corp/TN
5.00%,
02/01/2050
(c)
1,000‌
1,166‌
$
17,384‌
Texas
-
9.04%
Central
Texas
Regional
Mobility
Authority
5.00%,
01/01/2048
2,740‌
3,140‌
Central
Texas
Turnpike
System
5.00%,
08/15/2031
1,285‌
1,435‌
City
of
Dallas
TX
Waterworks
&
Sewer
System
Revenue
4.00%,
10/01/2037
5,000‌
6,255‌
City
of
Houston
TX
Airport
System
Revenue
5.00%,
07/01/2029
2,000‌
2,056‌
6.63%,
07/15/2038
2,000‌
2,034‌
Grand
Parkway
Transportation
Corp
3.00%,
10/01/2050
1,810‌
1,883‌
Harris
County-Houston
Sports
Authority
5.00%,
11/15/2030
3,000‌
3,130‌
Love
Field
Airport
Modernization
Corp
5.00%,
11/01/2022
1,000‌
1,085‌
Metropolitan
Transit
Authority
of
Harris
County
Sales
&
Use
Tax
Revenue
5.00%,
11/01/2033
2,435‌
3,082‌
North
Texas
Tollway
Authority
5.00%,
01/01/2045
1,000‌
1,138‌
Port
Beaumont
Navigation
District
3.63%,
01/01/2035
(b)
2,650‌
2,637‌
4.00%,
01/01/2050
(b)
500‌
502‌
Sea
Breeze
Public
Facility
Corp
6.50%,
01/01/2046
100‌
101‌
Tarrant
County
Cultural
Education
Facilities
Finance
Corp
5.00%,
11/15/2037
2,060‌
2,328‌
Texas
Municipal
Gas
Acquisition
and
Supply
Corp
I
6.25%,
12/15/2026
11,395‌
13,546‌
Texas
Private
Activity
Bond
Surface
Transportation
Corp
5.00%,
12/31/2032
4,000‌
4,980‌
7.00%,
12/31/2038
1,000‌
1,154‌
7.00%,
06/30/2040
3,500‌
3,517‌
Texas
Transportation
Commission
5.00%,
08/01/2057
2,000‌
2,273‌
Schedule
of
Investments
Tax-Exempt
Bond
Fund
July
31,
2020
(unaudited)
See
accompanying
notes.
265
MUNICIPAL
BONDS
(continued)
Principal
Amount
(000’s)
Value
(000’s)
Texas
(continued)
West
Harris
County
Regional
Water
Authority
4.00%,
12/15/2049
$
1,500‌
$
1,791‌
$
58,067‌
Utah
-
1.39%
Utah
Infrastructure
Agency
5.00%,
10/15/2028
1,000‌
1,129‌
5.00%,
10/15/2032
4,385‌
4,860‌
5.00%,
10/15/2037
1,500‌
1,637‌
5.38%,
10/15/2040
1,200‌
1,329‌
$
8,955‌
Virginia
-
4.18%
Amelia
County
Industrial
Development
Authority
3.00%,
04/01/2027
(c)
6,500‌
6,611‌
County
of
Botetourt
VA
6.00%,
07/01/2034
1,000‌
1,035‌
6.00%,
07/01/2044
1,000‌
1,022‌
Fairfax
County
Redevelopment
&
Housing
Authority
5.00%,
10/01/2038
1,500‌
1,907‌
5.00%,
10/01/2039
1,500‌
1,902‌
Hampton
Roads
Transportation
Accountability
Commission
5.00%,
07/01/2022
4,000‌
4,358‌
King
George
County
Economic
Development
Authority
2.50%,
06/01/2023
(c)
1,600‌
1,657‌
Roanoke
Economic
Development
Authority
6.63%,
12/01/2044
1,295‌
1,562‌
Virginia
College
Building
Authority
5.00%,
02/01/2029
5,000‌
6,790‌
$
26,844‌
Washington
-
1.05%
Port
of
Seattle
WA
5.00%,
04/01/2029
5,250‌
6,732‌
Wisconsin
-
1.31%
City
of
Superior
WI
5.38%,
11/01/2021
750‌
753‌
Public
Finance
Authority
5.00%,
01/01/2024
2,500‌
2,746‌
5.00%,
12/01/2025
3,000‌
3,423‌
5.00%,
10/01/2043
(b)
1,500‌
1,524‌
$
8,446‌
TOTAL
MUNICIPAL
BONDS
$
629,966‌
Total
Investments
$
646,439‌
Liability
for
Floating
Rate
Notes
Issued
in
Conjunction
with
Securities
Held
-
(2.22)%
Notes
with
interest
rates
of
0.19%
-
0.46%
at
July
31,
2020
and
contractual
maturities
of
collateral
from
2023-2026.
(f)
$
(14,252‌)
(14,252‌)
Total
Net
Investments
$
632,187‌
Other
Assets
and
Liabilities
-  1.58%
10,175‌
TOTAL
NET
ASSETS
-
100.00%
$
642,362‌
(a)
Credit
support
indicates
investments
that
benefit
from
credit
enhancement
or
liquidity
support
provided
by
a
third
party
bank,
institution,
or
government
agency.
(b)
Security
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933.
These
securities
may
be
resold
in
transactions
exempt
from
registration,
normally
to
qualified
institutional
buyers.
At
the
end
of
the
period,
the
value
of
these
securities
totaled
$45,738
or
7.12%
of
net
assets.
(c)
Certain
variable
rate
securities
are
not
based
on
a
published
reference
rate
and
spread
but
are
determined
by
the
issuer
or
agent
and
are
based
on
current
market
conditions.  These
securities
do
not
indicate
a
reference
rate
and
spread
in
their
description.
Rate
shown
is
the
rate
in
effect
as
of
period
end.
(d)
Security
or
portion
of
underlying
security
related
to
Inverse
Floaters
entered
into
by
the
Fund.  See
Notes
to
Financial
Statements
for
additional
information.
(e)
Non-income
producing
security
(f)
Floating
rate
securities.
The
interest
rate(s)
shown
reflect
the
rates
in
effect
at
July
31,
2020.
Portfolio
Summary  (unaudited)
Sector
Percent
Revenue
Bonds
80.49‌%
General
Obligation
Unlimited
7.85‌%
Insured
4.77‌%
Investment
Companies
2.57‌%
Prerefunded
1.98‌%
General
Obligation
Limited
1.50‌%
Tax
Allocation
0.68‌%
Special
Assessment
0.40‌%
Special
Tax
0.31‌%
Certificate
Participation
0.09‌%
Liability
For
Floating
Rate
Notes
Issued
(2.22‌)%
Other
Assets
and
Liabilities
1.58‌%
TOTAL
NET
ASSETS
100.00%
Glossary
to
the
Schedule
of
Investments
July
31,
2020
(unaudited)
See
accompanying
notes.
266
Currency
Abbreviations
AUD
Australian
Dollar
BRL
Brazilian
Real
CAD
Canadian
Dollar
CLP
Chilean
Peso
CNY
Chinese
Renminbi
COP
Colombian
Peso
CZK
Czech
Koruna
EUR
Euro
GBP
British
Pound
Sterling
HKD
Hong
Kong
Dollar
HUF
Hungarian
Forint
IDR
Indonesian
Rupiah
INR
Indian
Rupee
JPY
Japanese
Yen
MXN
Mexican
Peso
MYR
Malaysian
Ringgit
NZD
New
Zealand
Dollar
PEN
Peruvian
Nuevo
Sol
PLN
Polish
Zloty
RON
Romanian
New
Leu
RUB
Russian
Ruble
TRY
Turkish
Lira
UAH
Ukrainian
Hryvnia
USD/$
United
States
Dollar
ZAR
South
African
Rand
July
31,
2020
(unaudited)
267
Security
Valuation.
Principal
LifeTime
2010
Fund,
Principal
LifeTime
2015
Fund,
Principal
LifeTime
2020
Fund,
Principal
LifeTime
2025
Fund,
Principal
LifeTime
2030
Fund,
Principal
LifeTime
2035
Fund,
Principal
LifeTime
2040
Fund,
Principal
LifeTime
2045
Fund,
Principal
LifeTime
2050
Fund,
Principal
LifeTime
2055
Fund,
Principal
LifeTime
2060
Fund,
Principal
LifeTime
2065
Fund,
and
Principal
LifeTime
Strategic
Income
Fund
(collectively,
the
“Principal
LifeTime
Funds”),
Principal
LifeTime
Hybrid
2015
Fund,
Principal
LifeTime
Hybrid
2020
Fund,
Principal
LifeTime
Hybrid
2025
Fund,
Principal
LifeTime
Hybrid
2030
Fund,
Principal
LifeTime
Hybrid
2035
Fund,
Principal
LifeTime
Hybrid
2040
Fund,
Principal
LifeTime
Hybrid
2045
Fund,
Principal
LifeTime
Hybrid
2050
Fund,
Principal
LifeTime
Hybrid
2055
Fund,
Principal
LifeTime
Hybrid
2060
Fund,
Principal
LifeTime
Hybrid
2065
Fund,
and
Principal
LifeTime
Hybrid
Income
Fund
(collectively,
the
“Principal
LifeTime
Hybrid
Funds”),
along
with
the
SAM
Balanced,
SAM
Conservative
Balanced
Portfolio,
SAM
Conservative
Growth
Portfolio,
SAM
Flexible
Income
Portfolio,
and
SAM
Strategic
Growth
Portfolio
(collectively,
the
“SAM
Portfolios”)
invest
in
R-6
and
Institutional
shares
of
other
series
of
Principal
Funds,
Inc.
which
are
valued
at
the
closing
net
asset
value
per
share
of
each
respective
fund
on
the
day
of
valuation.
In
addition,
the
SAM
Portfolios
invest
in
Principal
Exchange-Traded
Funds,
which
are
valued
at
fair
value.
The
SAM
Portfolios
also
invest
in
other
publicly
traded
investment
funds.
Other
publicly
traded
investment
funds
are
valued
at
the
respective
fund’s
net
asset
value.
The
shares
of
the
other
series
of
Principal
Funds,
Inc.,
Principal
Exchange-Traded
Funds
and
other
publicly
traded
investment
funds
are
referred
to
as
the
“Underlying
Funds”.
California
Municipal
Fund,
Core
Fixed
Income
Fund,
Core
Plus
Bond
Fund,
Diversified
International
Fund,
Equity
Income
Fund,
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund,
Global
Diversified
Income
Fund,
Global
Real
Estate
Securities
Fund,
Government
&
High
Quality
Bond
Fund,
High
Income
Fund,
High
Yield
Fund,
Inflation
Protection
Fund,
International
Emerging
Markets
Fund,
International
Fund
I,
LargeCap
Growth
Fund
I,
LargeCap
S&P
500
Index
Fund,
LargeCap
Value
Fund
III,
MidCap
Fund,
MidCap
Growth
Fund,
MidCap
Growth
Fund
III,
MidCap
S&P
400
Index
Fund,
MidCap
Value
Fund
I,
Overseas
Fund,
Principal
Capital
Appreciation
Fund,
Real
Estate
Securities
Fund,
Short-Term
Income
Fund,
SmallCap
Fund,
SmallCap
Growth
Fund
I,
SmallCap
S&P
600
Index
Fund,
SmallCap
Value
Fund
II
and
Tax-Exempt
Bond
Fund
(known
as
the
"Funds")
(with
the
exception
of
Principal
Lifetime
Funds,
Principal
Lifetime
Hybrid
Funds,
and
the
SAM
Portfolios)
value
securities
for
which
market
quotations
are
readily
available
at
fair
value,
which
is
determined
using
the
last
reported
sale
price.
If
no
sales
are
reported,
as
is
regularly
the
case
for
some
securities
traded
over-the-counter,
securities
are
valued
using
the
last
reported
bid
price
or
an
evaluated
bid
price
provided
by
a
pricing
service.
Pricing
services
use
modeling
techniques
that
incorporate
security
characteristics
such
as
current
quotations
by
broker/dealers,
coupon,
maturity,
quality,
type
of
issue,
trading
characteristics,
other
yield
and
risk
factors,
and
other
market
conditions
to
determine
an
evaluated
bid
price
or,
in
the
case
of
certain
credit
default
swaps,
a
mean
price
provided
by
a
pricing
service.
When
reliable
market
quotations
are
not
considered
to
be
readily
available,
which
may
be
the
case,
for
example,
with
respect
to
restricted
securities,
certain
debt
securities,
preferred
stocks,
and
foreign
securities,
the
investments
are
valued
at
their
fair
value
as
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Fund’s
Board
of
Directors.
The
value
of
foreign
securities
used
in
computing
the
net
asset
value
per
share
is
generally
determined
as
of
the
close
of
the
foreign
exchange
where
the
security
is
principally
traded.
Events
that
occur
after
the
close
of
the
applicable
foreign
market
or
exchange
but
prior
to
the
calculation
of
the
Funds’
net
asset
values
are
reflected
in
the
Funds’
net
asset
values
and
these
securities
are
valued
at
fair
value
as
determined
in
good
faith
by
the
Manager
under
procedures
established
and
periodically
reviewed
by
the
Fund’s
Board
of
Directors.
Many
factors,
provided
by
independent
pricing
services,
are
reviewed
in
the
course
of
making
a
good
faith
determination
of
a
security’s
fair
value,
including,
but
not
limited
to,
price
movements
in
ADRs,
futures
contracts,
industry
indices,
general
indices,
and
foreign
currencies.
To
the
extent
the
Funds
invest
in
foreign
securities
listed
on
foreign
exchanges
which
trade
on
days
on
which
the
Funds
do
not
determine
net
asset
values,
for
example
weekends
and
other
customary
national
U.S.
holidays,
the
Funds’
net
asset
values
could
be
significantly
affected
on
days
when
shareholders
cannot
purchase
or
redeem
shares.
Certain
securities
issued
by
companies
in
emerging
market
countries
may
have
more
than
one
quoted
valuation
at
any
given
point
in
time,
sometimes
referred
to
as
a
“local”
price
and
a
“premium”
price.
The
premium
price
is
often
a
negotiated
price,
which
may
not
consistently
represent
a
price
at
which
a
specific
transaction
can
be
effected.
It
is
the
policy
of
the
Funds
to
value
such
securities
at
prices
at
which
it
is
expected
those
shares
may
be
sold,
and
the
Manager
or
any
sub-advisor
is
authorized
to
make
such
determinations
subject
to
such
oversight
by
the
Fund’s
Board
of
Directors
as
may
occasionally
be
necessary.
Fair
value
is
defined
as
the
price
that
the
Funds
would
receive
upon
selling
a
security
in
a
timely
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
of
the
security
at
the
measurement
date.
In
determining
fair
value,
the
Funds
may
use
one
or
more
of
the
following
approaches:
market,
income
and/or
cost.
A
hierarchy
for
inputs
is
used
in
measuring
fair
value
that
maximizes
the
use
of
observable
inputs
and
minimizes
the
use
of
unobservable
inputs
by
requiring
that
the
most
observable
inputs
be
used
when
available.
Observable
inputs
are
inputs
that
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability
developed
based
on
market
data
obtained
from
sources
independent
of
the
Funds.
Unobservable
inputs
are
inputs
that
reflect
the
Fund’s
own
estimates
July
31,
2020
(unaudited)
268
about
the
estimates
market
participants
would
use
in
pricing
the
asset
or
liability
developed
based
on
the
best
information
available
in
the
circumstances.
The
three-tier
hierarchy
of
inputs
is
summarized
in
the
three
broad
levels
listed
below.
Level
1
Quoted
prices
are
available
in
active
markets
for
identical
securities
as
of
the
reporting
date.
The
type
of
securities
included
in
Level
1
includes
listed
equities
and
listed
derivatives.
Level
2
Other
significant
observable
inputs
(including
quoted
prices
for
similar
investments,
interest
rates,
prepayment
speeds,
credit
risk,
etc.).
Investments
which
are
generally
included
in
this
category
include
certain
foreign
equities,
corporate
bonds,
senior
floating
rate
interests,
municipal
bonds,
and
US
Government
and
Government
Agency
Obligations.
Level
3
Significant
unobservable
inputs
(including
the
Funds’
assumptions
in
determining
the
fair
value
of
investments).
Investments
which
may
be
included
in
this
category
include
certain
common
stocks,
corporate
bonds,
mortgage
backed
securities
or
senior
floating
rate
interests.
The
availability
of
observable
inputs
can
vary
from
security
to
security
and
is
affected
by
a
wide
variety
of
factors,
including,
for
example,
the
type
of
security,
whether
the
security
is
new
and
not
yet
established
in
the
market
place,
and
other
characteristics
particular
to
the
transaction.
To
the
extent
that
valuation
is
based
on
models
or
inputs
that
are
less
observable
or
unobservable
in
the
market,
the
determination
of
fair
value
requires
more
judgment.
Accordingly,
the
degree
of
judgment
exercised
by
the
Funds
in
determining
fair
value
is
greatest
for
instruments
categorized
in
Level
3.
In
certain
cases,
the
inputs
used
to
measure
fair
value
may
fall
into
different
levels
of
the
fair
value
hierarchy.
In
such
cases,
for
disclosure
purposes,
the
level
in
the
fair
value
hierarchy
within
which
the
fair
value
measurement
in
its
entirety
falls
is
determined
based
on
the
lowest
level
input
that
is
significant
to
the
fair
value
measurement
in
its
entirety.
Fair
value
is
a
market
based
measure
considered
from
the
perspective
of
a
market
participant
who
holds
the
asset
rather
than
an
entity
specific
measure.
Therefore,
even
when
market
assumptions
are
not
readily
available,
the
Fund’s
own
assumptions
are
set
to
reflect
those
that
market
participants
would
use
in
pricing
the
asset
or
liability
at
the
measurement
date.
The
Funds
use
prices
and
inputs
that
are
current
as
of
the
measurement
date,
when
available.
Investments
which
are
included
in
the
Level
3
category
may
be
valued
using
indicative
quoted
prices
from
brokers
and
dealers
participating
in
the
market
for
these
investments.
These
investments
are
classified
as
Level
3
investments
due
to
the
lack
of
market
transparency
and
market
corroboration
to
support
these
quoted
prices.
Valuation
models
may
be
used
as
the
pricing
source
for
other
investments
classified
as
Level
3.
Valuation
models
rely
on
one
or
more
significant
unobservable
inputs
such
as:
yield
to
maturity,
EBITDA
multiples,
discount
rates
or
available
cash.
Significant
increases
in
yield
to
maturity,
EBITDA
multiples
or
available
cash
would
have
resulted
in
a
significantly
higher
fair
value
measurement.
A
significant
increase
in
discount
rates
would
have
resulted
in
a
significantly
lower
fair
value
measurement.
Benchmark
pricing
procedures
set
the
base
price
of
a
security
based
on
current
market
data.
The
base
price
may
be
a
broker-dealer
quote,
transaction
price,
or
internal
value
based
on
relevant
market
data.
The
fair
values
of
these
securities
are
dependent
on
economic,
political
and
other
considerations.
The
values
of
such
securities
may
be
affected
by
significant
changes
in
the
economic
conditions,
changes
in
government
policies,
and
other
factors
(e.g.,
natural
disasters,
accidents,
conflicts,
etc.).
The
inputs
or
methodology
used
for
valuing
securities
are
not
necessarily
an
indication
of
the
risk
associated
with
investing
in
those
instruments.
The
following
is
a
summary
of
the
inputs
used
as
of
January
31,
2020
in
valuing
the
Funds'
securities
carried
at
value
(amounts
shown
in
thousands):
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
California
Municipal
Fund
Investment
Companies
$
6,279
$
$
$
6,279
Municipal
Bonds*
644,210
644,210
Total
investments
in
securities
$
6,279
$
6
44,210
$
$
650,489
July
31,
2020
(unaudited)
269
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
Core
Fixed
Income
Fund
Bonds*
$
$
5,494,099
$
$
5,494,099
Common
Stocks
Financial
Industrial
17,786
17,786
Investment
Companies
235,120
235,120
Senior
Floating
Rate
Interests*
19,493
19,493
U.S.
Government
&
Government
Agency
Obligations*
2,650,942
2,650,942
Total
investments
in
securities
$
235,120
$
8,164,534
$
17,786
$
8,417,440
Core
Plus
Bond
Fund
Bonds*
378,960
332
379,292
Common
Stocks*
61
61
Investment
Companies
55,887
55,887
Preferred
Stocks
Government
3,693
3,693
Senior
Floating
Rate
Interests*
5,457
11
5,468
U.S.
Government
&
Government
Agency
Obligations*
269,024
269,024
Total
investments
in
securities
$
55,948
$
657,134
$
343
$
713,425
Assets
Interest
Rate
Contracts
Futures**
285
285
Liabilities
Credit
Contracts
Exchange
Cleared
Credit
Default
Swaps**
(373)
(373)
Interest
Rate
Contracts
Futures**
(42)
(42)
Diversified
International
Fund
Common
Stocks
Basic
Materials
202,186
425,107
627,293
Communications
389,624
1,189,202
1,578,826
Consumer,
Cyclical
278,790
1,738,263
2,017,053
Consumer,
Non-cyclical
147,254
2,062,858
2,210,112
Diversified
103
103
Energy
267,797
401,265
669,062
Financial
562,348
1,700,759
2,263,107
Industrial
130,898
1,272,140
1,403,038
Technology
62,117
1,579,629
1,641,746
Utilities
33,600
288,263
321,863
Investment
Companies
158,418
158,418
Preferred
Stocks
56,745
56,745
Total
investments
in
securities
$
2,289,777
$
10,657,589
$
$
12,947,366
Equity
Income
Fund
Common
Stocks*
7,617,496
7,617,496
Investment
Companies
383,285
383,285
Total
investments
in
securities
$
8,000,781
$
$
$
8,000,781
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
Bonds*
196,797
196,797
Investment
Companies
9,270
9,270
U.S.
Government
&
Government
Agency
Obligations*
5,079
5,079
Total
investments
in
securities
$
9,270
$
201,876
$
$
211,146
Assets
Credit
Contracts
Credit
Default
Swaps
965
965
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
1,466
1,466
Interest
Rate
Contracts
Exchange
Cleared
Interest
Rate
Swaps**
2,379
2,379
Interest
Rate
Swaps
487
487
Total
Return
Swaps
2
0
2
0
July
31,
2020
(unaudited)
270
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
Finisterre
Unconstrained
Emerging
Markets
Bond
Fund
Liabilities
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
$
$
(1,309)
$
$
(1,309)
Interest
Rate
Contracts
Exchange
Cleared
Interest
Rate
Swaps**
(2,518)
(2,518)
Interest
Rate
Swaps
(351)
(351)
Global
Diversified
Income
Fund
Bonds*
3,530,432
104,768
3,635,200
Common
Stocks
Basic
Materials
21,085
30,251
24,108
75,444
Communications
86,383
6,620
93,003
Consumer,
Cyclical
42,346
29,345
4
71,695
Consumer,
Non-cyclical
18,009
25,880
6,304
50,193
Diversified
1,037
1,037
Energy
16,724
13,450
191
30,365
Financial
218,252
115,019
333,271
Industrial
36,397
36,641
73,038
Technology
20,552
8,115
28,667
Utilities
283,038
15,092
298,130
Convertible
Bonds*
348
348
Convertible
Preferred
Stocks
Financial
1,487
1,487
Investment
Companies
147,893
147,893
Preferred
Stocks
Communications
1,459
1,459
Consumer,
Non-cyclical
1,456
1,456
Energy
931
931
Financial
32,729
4,780
37,509
Government
10,846
10,846
Utilities
18,441
18,441
Senior
Floating
Rate
Interests*
404,164
35,440
439,604
U.S.
Government
&
Government
Agency
Obligations*
5,447
5,447
Total
investments
in
securities
$
945,726
$
4,238,923
$
170,815
$
5,355,464
Assets
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
1,028
1,028
Liabilities
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
(3,274)
(3,274)
Global
Real
Estate
Securities
Fund
Common
Stocks
Communications
22,934
22,934
Consumer,
Cyclical
17,257
41,534
58,791
Financial
1,610,510
1,137,956
2,748,466
Industrial
20,059
20,059
Investment
Companies
21,793
21,793
Total
investments
in
securities
$
1,649,560
$
1,222,483
$
$
2,872,043
Government
&
High
Quality
Bond
Fund
Bonds*
313,617
313,617
Investment
Companies
205,106
205,106
U.S.
Government
&
Government
Agency
Obligations*
1,303,983
1,303,983
Total
investments
in
securities
$
205,106
$
1,617,600
$
$
1,822,706
Liabilities
Interest
Rate
Contracts
Futures**
(1,161)
(1,161)
High
Income
Fund
Bonds*
2,458,461
17,683
2,476,144
Common
Stocks
Communications
Consumer,
Cyclical
July
31,
2020
(unaudited)
271
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
High
Income
Fund
Consumer,
Non-cyclical
$
$
$
1,661
$
1,661
Utilities
Investment
Companies
112,911
112,911
Preferred
Stocks
Senior
Floating
Rate
Interests*
320,935
320,935
Total
investments
in
securities
$
112,911
$
2,779,396
$
19,344
$
2,911,651
Assets
Credit
Contracts
Exchange
Cleared
Credit
Default
Swaps**
86
86
Liabilities
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
(395)
(395)
High
Yield
Fund
Bonds*
2,770,262
3,592
2,773,854
Common
Stocks*
1,060
1,060
Convertible
Bonds*
Investment
Companies
204,730
204,730
Senior
Floating
Rate
Interests*
192,359
425
192,784
Total
investments
in
securities
$
205,790
$
2,962,621
$
4,017
$
3,172,428
Inflation
Protection
Fund
Bonds*
143,562
143,562
Investment
Companies
41,520
41,520
U.S.
Government
&
Government
Agency
Obligations*
1,520,454
1,520,454
Purchased
Options
303
136
439
Purchased
Interest
Rate
Swaptions
9,135
9,135
Purchased
Capped
Options
353
353
Total
investments
in
securities
$
41,823
$
1,673,640
$
$
1,715,463
Assets
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
2,613
2,613
Interest
Rate
Contracts
Exchange
Cleared
Interest
Rate
Swaps**
28,157
28,157
Futures**
683
683
Liabilities
Foreign
Exchange
Contracts
Foreign
Currency
Contracts
(6,353)
(6,353)
Interest
Rate
Contracts
Capped
Options
(198)
(198)
Exchange
Cleared
Interest
Rate
Swaps**
(26,360)
(26,360)
Futures**
(1,518)
(1,518)
Interest
Rate
Swaptions
(13,388)
(13,388)
Written
Options
(397)
(397)
International
Emerging
Markets
Fund
Common
Stocks
Basic
Materials
637
10,867
11,504
Communications
10,017
55,743
65,760
Consumer,
Cyclical
5,474
17,657
23,131
Consumer,
Non-cyclical
5,151
16,240
21,391
Diversified
1,483
1,483
Energy
2,257
10,010
12,267
Financial
9,306
34,581
43,887
Industrial
967
17,989
18,956
Technology
5,008
44,577
49,585
Utilities
3,170
3,170
Investment
Companies
1,664
1,664
Preferred
Stocks
Communications
1,751
1,751
Technology
557
557
Total
investments
in
securities
$
42,232
$
212,874
$
$
255,106
July
31,
2020
(unaudited)
272
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
International
Fund
I
Common
Stocks
Basic
Materials
$
3,773
$
23,775
$
$
27,548
Communications
12,547
21,607
34,154
Consumer,
Cyclical
2,016
25,815
27,831
Consumer,
Non-cyclical
2,961
52,019
54,980
Energy
2,101
4,668
6,769
Financial
13,994
47,812
61,806
Industrial
34,013
34,013
Technology
12,665
40,865
53,530
Utilities
10,788
10,788
Investment
Companies
Total
investments
in
securities
$
50,057
$
261,362
$
$
311,419
LargeCap
Growth
Fund
I
Common
Stocks
Basic
Materials
191,616
191,616
Communications
2,598,553
2,598,553
Consumer,
Cyclical
784,865
784,865
Consumer,
Non-cyclical
3,340,761
3,340,761
Energy
16,769
16,769
Financial
743,492
743,492
Industrial
660,198
660,198
Technology
3,115,465
410
1,791
3,117,666
Utilities
80,346
80,346
Convertible
Preferred
Stocks
Communications
9,872
9,872
Consumer,
Cyclical
4,188
4,188
Investment
Companies
288,665
288,665
Preferred
Stocks
Communications
1,699
3,026
4,725
Consumer,
Cyclical
27,484
18,801
46,285
Technology
176
8,547
8,723
Total
investments
in
securities
$
11,820,730
$
33,957
$
42,037
$
11,896,724
Assets
Equity
Contracts
Futures**
2,147
2,147
LargeCap
S&P
500
Index
Fund
Common
Stocks*
6,036,801
6,036,801
Investment
Companies
116,047
116,047
Total
investments
in
securities
$
6,152,848
$
$
$
6,152,848
Assets
Equity
Contracts
Futures**
2,528
2,528
LargeCap
Value
Fund
III
Common
Stocks*
1,855,763
1,855,763
Investment
Companies
55,560
55,560
Total
investments
in
securities
$
1,911,323
$
$
$
1,911,323
Assets
Equity
Contracts
Futures**
304
304
MidCap
Fund
Common
Stocks
Basic
Materials
140,873
140,873
Communications
2,060,169
2,060,169
Consumer,
Cyclical
4,298,872
4,298,872
Consumer,
Non-cyclical
2,344,314
37,482
2,381,796
Financial
4,746,339
4,746,339
Industrial
2,397,021
2,397,021
Technology
2,600,196
2,600,196
July
31,
2020
(unaudited)
273
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
MidCap
Fund
Utilities
$
392,704
$
$
$
392,704
Investment
Companies
24,939
24,939
Total
investments
in
securities
$
19,005,427
$
37,482
$
$
19,042,909
MidCap
Growth
Fund
Common
Stocks*
184,447
184,447
Investment
Companies
1,150
1,150
Total
investments
in
securities
$
185,597
$
$
$
185,597
MidCap
Growth
Fund
III
Common
Stocks*
1,179,510
1,179,510
Investment
Companies
36,539
36,539
Total
investments
in
securities
$
1,216,049
$
$
$
1,216,049
Assets
Equity
Contracts
Futures**
119
119
MidCap
S&P
400
Index
Fund
Common
Stocks*
1,014,601
1,014,601
Investment
Companies
17,049
17,049
Total
investments
in
securities
$
1,031,650
$
$
$
1,031,650
Assets
Equity
Contracts
Futures**
458
458
MidCap
Value
Fund
I
Common
Stocks*
2,183,708
2,183,708
Investment
Companies
37,775
37,775
Total
investments
in
securities
$
2,221,483
$
$
$
2,221,483
Assets
Equity
Contracts
Futures**
232
232
Overseas
Fund
Common
Stocks
Basic
Materials
233,107
233,107
Communications
31,653
50,651
82,304
Consumer,
Cyclical
33,438
308,698
342,136
Consumer,
Non-cyclical
30,993
380,644
411,637
Diversified
1,570
1,570
Energy
48,582
102,264
150,846
Financial
26,013
540,027
566,040
Industrial
479,004
479,004
Technology
128,724
128,724
Utilities
136,173
136,173
Investment
Companies
85,238
85,238
Preferred
Stocks
Basic
Materials
106
106
Consumer,
Cyclical
52,962
52,962
Consumer,
Non-cyclical
943
943
Total
investments
in
securities
$
255,917
$
2,414,873
$
$
2,670,790
Liabilities
Equity
Contracts
Futures**
(801)
(801)
Principal
Capital
Appreciation
Fund
Common
Stocks*
1,806,099
1,806,099
Investment
Companies
24,761
24,761
Total
investments
in
securities
$
1,830,860
$
$
$
1,830,860
July
31,
2020
(unaudited)
274
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
Principal
LifeTime
2010
Fund
Investment
Companies
$
723,833
$
$
$
723,833
Total
investments
in
securities
$
723,833
$
$
$
723,833
Principal
LifeTime
2015
Fund
Investment
Companies
365,604
365,604
Total
investments
in
securities
$
365,604
$
$
$
365,604
Principal
LifeTime
2020
Fund
Investment
Companies
3,759,202
3,759,202
Total
investments
in
securities
$
3,759,202
$
$
$
3,759,202
Principal
LifeTime
2025
Fund
Investment
Companies
1,579,741
1,579,741
Total
investments
in
securities
$
1,579,741
$
$
$
1,579,741
Principal
LifeTime
2030
Fund
Investment
Companies
5,525,718
5,525,718
Total
investments
in
securities
$
5,525,718
$
$
$
5,525,718
Principal
LifeTime
2035
Fund
Investment
Companies
1,305,949
1,305,949
Total
investments
in
securities
$
1,305,949
$
$
$
1,305,949
Principal
LifeTime
2040
Fund
Investment
Companies
3,883,960
3,883,960
Total
investments
in
securities
$
3,883,960
$
$
$
3,883,960
Principal
LifeTime
2045
Fund
Investment
Companies
981,737
981,737
Total
investments
in
securities
$
981,737
$
$
$
981,737
Principal
LifeTime
2050
Fund
Investment
Companies
2,353,878
2,353,878
Total
investments
in
securities
$
2,353,878
$
$
$
2,353,878
Principal
LifeTime
2055
Fund
Investment
Companies
535,180
535,180
Total
investments
in
securities
$
535,180
$
$
$
535,180
Principal
LifeTime
2060
Fund
Investment
Companies
441,453
441,453
Total
investments
in
securities
$
441,453
$
$
$
441,453
Principal
LifeTime
2065
Fund
Investment
Companies
30,398
30,398
Total
investments
in
securities
$
30,398
$
$
$
30,398
Principal
LifeTime
Hybrid
2015
Fund
Investment
Companies
108,197
108,197
Total
investments
in
securities
$
108,197
$
$
$
108,197
Principal
LifeTime
Hybrid
2020
Fund
Investment
Companies
348,305
348,305
Total
investments
in
securities
$
348,305
$
$
$
348,305
July
31,
2020
(unaudited)
275
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
Principal
LifeTime
Hybrid
2025
Fund
Investment
Companies
$
302,322
$
$
$
302,322
Total
investments
in
securities
$
302,322
$
$
$
302,322
Principal
LifeTime
Hybrid
2030
Fund
Investment
Companies
326,682
326,682
Total
investments
in
securities
$
326,682
$
$
$
326,682
Principal
LifeTime
Hybrid
2035
Fund
Investment
Companies
230,257
230,257
Total
investments
in
securities
$
230,257
$
$
$
230,257
Principal
LifeTime
Hybrid
2040
Fund
Investment
Companies
227,759
227,759
Total
investments
in
securities
$
227,759
$
$
$
227,759
Principal
LifeTime
Hybrid
2045
Fund
Investment
Companies
142,581
142,581
Total
investments
in
securities
$
142,581
$
$
$
142,581
Principal
LifeTime
Hybrid
2050
Fund
Investment
Companies
113,014
113,014
Total
investments
in
securities
$
113,014
$
$
$
113,014
Principal
LifeTime
Hybrid
2055
Fund
Investment
Companies
48,671
48,671
Total
investments
in
securities
$
48,671
$
$
$
48,671
Principal
LifeTime
Hybrid
2060
Fund
Investment
Companies
16,396
16,396
Total
investments
in
securities
$
16,396
$
$
$
16,396
Principal
LifeTime
Hybrid
2065
Fund
Investment
Companies
3,020
3,020
Total
investments
in
securities
$
3,020
$
$
$
3,020
Principal
LifeTime
Hybrid
Income
Fund
Investment
Companies
61,360
61,360
Total
investments
in
securities
$
61,360
$
$
$
61,360
Principal
LifeTime
Strategic
Income
Fund
Investment
Companies
429,426
429,426
Total
investments
in
securities
$
429,426
$
$
$
429,426
Real
Estate
Securities
Fund
Common
Stocks*
4,750,445
4,750,445
Investment
Companies
73,960
73,960
Total
investments
in
securities
$
4,824,405
$
$
$
4,824,405
SAM
Balanced
Portfolio
Investment
Companies
4,341,154
4,341,154
Total
investments
in
securities
$
4,341,154
$
$
$
4,341,154
SAM
Conservative
Balanced
Portfolio
Investment
Companies
1,638,499
1,638,499
Total
investments
in
securities
$
1,638,499
$
$
$
1,638,499
July
31,
2020
(unaudited)
276
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
SAM
Conservative
Growth
Portfolio
Investment
Companies
$
2,899,281
$
$
$
2,899,281
Total
investments
in
securities
$
2,899,281
$
$
$
2,899,281
SAM
Flexible
Income
Portfolio
Investment
Companies
2,762,919
2,762,919
Total
investments
in
securities
$
2,762,919
$
$
$
2,762,919
SAM
Strategic
Growth
Portfolio
Investment
Companies
1,824,642
1,824,642
Total
investments
in
securities
$
1,824,642
$
$
$
1,824,642
Short-Term
Income
Fund
Bonds*
4,918,650
4,918,650
Investment
Companies
38,240
38,240
U.S.
Government
&
Government
Agency
Obligations*
623,811
623,811
Total
investments
in
securities
$
38,240
$
5,542,461
$
$
5,580,701
SmallCap
Fund
Common
Stocks*
626,955
626,955
Investment
Companies
20,326
20,326
Total
investments
in
securities
$
647,281
$
$
$
647,281
SmallCap
Growth
Fund
I
Common
Stocks
Basic
Materials
15,052
15,052
Communications
113,516
113,516
Consumer,
Cyclical
279,206
279,206
Consumer,
Non-cyclical
686,660
15
686,675
Energy
7,305
7,305
Financial
153,780
153,780
Industrial
345,530
345,530
Technology
413,426
413,426
Utilities
2,505
2,505
Investment
Companies
110,852
110,852
Total
investments
in
securities
$
2,127,832
$
$
15
$
2,127,847
Assets
Equity
Contracts
Futures**
285
285
SmallCap
S&P
600
Index
Fund
Common
Stocks*
1,057,350
1,057,350
Investment
Companies
27,251
27,251
Total
investments
in
securities
$
1,084,601
$
$
$
1,084,601
Assets
Equity
Contracts
Futures**
546
546
SmallCap
Value
Fund
II
Common
Stocks
Basic
Materials
25,387
25,387
Communications
22,175
1
22,176
Consumer,
Cyclical
123,064
123,064
Consumer,
Non-cyclical
103,075
4
103,079
Diversified
6
6
Energy
32,159
32,159
Financial
243,243
243,243
Government
39
39
Industrial
147,791
147,791
Technology
82,392
82,392
July
31,
2020
(unaudited)
277
*For
additional
detail
regarding
sector
classifications,
please
see
the
Schedule
of
Investments.
**Exchange
cleared
swaps
and
futures
are
presented
at
the
unrealized
appreciation/(depreciation)
of
the
instrument.
Certain
detailed
information
is
provided
for
those
Funds
with
significant
investments
in
Level
3
securities.
Quantitative
information
about
the
significant
unobservable
inputs
used
in
the
fair
value
measurements
categorized
with
Level
3
of
the
fair
value
hierarchy
is
as
follows
(amounts
in
thousands):
*Unobservable
inputs
were
weighted
by
the
relative
fair
value
of
the
instruments.
The
changes
in
investments
measured
at
fair
value
for
which
Level
3
inputs
have
been
used
to
determine
fair
value
are
as
follows
(amounts
shown
in
thousands):
*Securities
are
transferred
into
Level
3
for
a
variety
of
reasons
including,
but
not
limited
to:
1.
Securities
where
trading
has
been
halted
2.
Securities
that
have
certain
restrictions
on
trading
3.
Instances
in
which
a
security
is
not
priced
by
a
pricing
services
**Securities
are
transferred
out
of
Level
3
for
a
variety
of
reasons
including,
but
not
limited
to:
1.
Securities
where
trading
resumes
2.
Securities
where
trading
restrictions
have
expired
Fund
Level
1
-
Quoted
Prices
Level
2
-
Other
Significant
Observable
Inputs
Level
3
-
Significant
Unobservable
Inputs
Totals
(Level
1,2,3)
SmallCap
Value
Fund
II
Utilities
$
26,897
$
$
$
26,897
Investment
Companies
22,013
22,013
Total
investments
in
securities
$
828,241
$
$
5
$
828,246
Assets
Equity
Contracts
Futures**
13
13
Tax-Exempt
Bond
Fund
Investment
Companies
16,473
16,473
Municipal
Bonds*
62
9,966
629,966
Total
investments
in
securities
$
16,473
$
62
9,966
$
$
646,439
Fund
Asset
Type
Fair
Value
as
of
July
31,
2020
Valuation
Technique
Unobservable
Input
Input
Valuations*
Global
Diversified
Income
Fund
Bonds
$
104,768
Yield
Analysis
Yield
to
Maturity
8.8
11.0%
(10.4%)
Common
Stocks
30,412
Enterprise
Valuation
Model
EBITDA
Multiples
8.0
9.5x
(8.7x)
Discounted
Cash
Flow
Discount
Rate
11.6
15.2%
(13.0%)
Common
Stocks
191
Liquidation
Analysis
Available
Cash
$
10,200,000
Common
Stocks
4
Indicative
Market
Quotations
Broker
Quote
$
0.05
Senior
Floating
Rate
Interests
35,440
Yield
Analysis
Yield
to
Maturity
9.0%
$
170,815
Fund
Fair
Value
October
31,
2019
Realized
Gain/
(Loss)
Accrued
Discounts/
Premiums
and
Change
in
Unrealized
Gain/
(Loss)
Purchases
Proceeds
from
Sales
Transfers
into
Level
3*
Transfers
Out
of
Level
3**
Fair
Value
July
31,
2020
Net
Change
in
Unrealized
Appreciation/
(Depreciation)
on
Investments
Held
at
July
31,
2020
Global
Diversified
Income
Fund
Bonds
$
107,775
$
46
$
(578)
$
1,971
$
(46)
$
$
(4,400)***
$
104,768
$
(430)
Common
Stock
Basic
Materials
27,293
(3,185)
24,108
(3,185)
Consumer,
ss
Cyclical
4
4
Consumer,
ss
Non-Cyclical
9,649
(3)
(3,592)
18
(7)
239
6,304
(3,592)
Energy
191
191
Senior
Floating
Rates
Interests
35,086
354
35,440
354
Total
$
179,998
$
43
$
(7,001)
$
1,989
$
(53)
$
239
$
(4,400)
$
170,815
$
(6,853)
July
31,
2020
(unaudited)
278
3.
Instances
in
which
a
price
becomes
available
from
a
pricing
service
***$4,400
was
transferred
from
Level
3
to
Level
2
due
to
the
initiation
of
a
vendor
providing
a
price
based
on
market
activity
which
has
been
determined
to
include
significant
observable
inputs.
At
the
end
of
the
period,
there
were
no
other
Funds
which
had
a
significant
Level
3
balance.
During
the
period,
there
were
no
significant
purchases,
sales,
or
transfers
into
or
out
of
Level
3,
except
as
noted
above.
The
Funds'
Schedules
of
Investments
as
of
July
31,
2020
have
not
been
audited.
This
report
is
provided
for
the
general
information
of
the
Funds'
shareholders.
For
more
information
regarding
the
Fund
and
its
holdings,
please
see
the
Funds'
prospectus
and
annual
report.