SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 99.7% OF NET ASSETS
|
||
|
||
Capital Goods 5.7%
|
||
A O Smith Corp.
|
189,437
|
14,702,206
|
Caterpillar, Inc.
|
72,830
|
21,871,577
|
Fastenal Co.
|
122,982
|
8,391,062
|
General Dynamics Corp.
|
45,415
|
12,034,521
|
Lockheed Martin Corp.
|
15,326
|
6,581,138
|
Parker-Hannifin Corp.
|
12,337
|
5,730,536
|
Rockwell Automation, Inc.
|
22,358
|
5,662,834
|
|
|
74,973,874
|
|
||
Commercial & Professional Services 2.2%
|
||
Republic Services, Inc., Class A
|
80,544
|
13,782,690
|
Rollins, Inc.
|
334,978
|
14,507,897
|
|
|
28,290,587
|
|
||
Consumer Discretionary Distribution & Retail 7.6%
|
||
Amazon.com, Inc. *
|
394,176
|
61,176,115
|
Home Depot, Inc.
|
36,635
|
12,930,690
|
TJX Cos., Inc.
|
261,519
|
24,820,768
|
|
|
98,927,573
|
|
||
Consumer Services 3.2%
|
||
McDonald's Corp.
|
50,040
|
14,647,709
|
Starbucks Corp.
|
295,544
|
27,494,458
|
|
|
42,142,167
|
|
||
Consumer Staples Distribution & Retail 2.0%
|
||
Costco Wholesale Corp.
|
14,143
|
9,827,688
|
Walmart, Inc.
|
99,765
|
16,486,166
|
|
|
26,313,854
|
|
||
Energy 4.4%
|
||
EOG Resources, Inc.
|
161,844
|
18,416,229
|
Exxon Mobil Corp.
|
377,413
|
38,801,830
|
|
|
57,218,059
|
|
||
Equity Real Estate Investment Trusts (REITs) 1.0%
|
||
Public Storage
|
46,451
|
13,154,459
|
|
||
Financial Services 12.6%
|
||
Berkshire Hathaway, Inc., Class B *
|
55,625
|
21,345,537
|
CME Group, Inc.
|
41,495
|
8,541,331
|
Fidelity National Information Services,
Inc.
|
630,979
|
39,284,753
|
Interactive Brokers Group, Inc., Class A
|
81,929
|
7,271,199
|
Morgan Stanley
|
123,592
|
10,782,166
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
PayPal Holdings, Inc. *
|
563,877
|
34,593,854
|
Raymond James Financial, Inc.
|
60,375
|
6,652,117
|
Visa, Inc., Class A
|
134,673
|
36,800,744
|
|
|
165,271,701
|
|
||
Food, Beverage & Tobacco 2.3%
|
||
Constellation Brands, Inc., Class A
|
91,600
|
22,449,328
|
Diageo PLC, ADR
|
54,716
|
7,897,160
|
|
|
30,346,488
|
|
||
Health Care Equipment & Services 7.0%
|
||
Abbott Laboratories
|
186,054
|
21,052,010
|
Boston Scientific Corp. *
|
207,454
|
13,123,540
|
CVS Health Corp.
|
200,272
|
14,894,229
|
Intuitive Surgical, Inc. *
|
85,130
|
32,197,869
|
UnitedHealth Group, Inc.
|
19,557
|
10,008,099
|
|
|
91,275,747
|
|
||
Household & Personal Products 2.8%
|
||
Estee Lauder Cos., Inc., Class A
|
54,905
|
7,246,911
|
Kenvue, Inc.
|
794,004
|
16,483,523
|
L'Oreal SA, Sponsored ADR
|
141,090
|
13,488,204
|
|
|
37,218,638
|
|
||
Insurance 0.5%
|
||
Progressive Corp.
|
38,879
|
6,930,182
|
|
||
Materials 0.7%
|
||
Linde PLC
|
23,368
|
9,460,067
|
|
||
Media & Entertainment 10.0%
|
||
Alphabet, Inc., Class A *
|
615,810
|
86,274,981
|
Meta Platforms, Inc., Class A *
|
114,677
|
44,740,085
|
|
|
131,015,066
|
|
||
Pharmaceuticals, Biotechnology & Life Sciences 7.8%
|
||
Eli Lilly & Co.
|
21,268
|
13,730,834
|
Johnson & Johnson
|
215,776
|
34,286,806
|
Mettler-Toledo International, Inc. *
|
5,555
|
6,650,390
|
Thermo Fisher Scientific, Inc.
|
45,948
|
24,765,053
|
Zoetis, Inc.
|
118,905
|
22,331,548
|
|
|
101,764,631
|
|
||
Semiconductors & Semiconductor Equipment 7.1%
|
||
ASML Holding NV NY Registry Shares
|
20,750
|
18,048,765
|
Broadcom, Inc.
|
38,165
|
45,034,700
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
NVIDIA Corp.
|
20,292
|
12,485,059
|
QUALCOMM, Inc.
|
119,591
|
17,760,459
|
|
|
93,328,983
|
|
||
Software & Services 14.1%
|
||
Accenture PLC, Class A
|
37,155
|
13,519,961
|
Adobe, Inc. *
|
21,000
|
12,973,380
|
Fortinet, Inc. *
|
219,005
|
14,123,633
|
Microsoft Corp.
|
328,583
|
130,638,029
|
Oracle Corp.
|
115,283
|
12,877,111
|
|
|
184,132,114
|
|
||
Technology Hardware & Equipment 7.2%
|
||
Apple, Inc.
|
511,264
|
94,277,082
|
|
||
Utilities 1.5%
|
||
Duke Energy Corp.
|
209,354
|
20,062,394
|
Total Common Stocks
(Cost $815,735,822)
|
1,306,103,666
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
SHORT-TERM INVESTMENTS 0.7% OF NET ASSETS
|
||
|
||
Money Market Funds 0.7%
|
||
State Street Institutional
U.S. Government Money Market
Fund, Premier Class 5.30% (a)
|
9,316,199
|
9,316,199
|
Total Short-Term Investments
(Cost $9,316,199)
|
9,316,199
|
|
Total Investments in Securities
(Cost $825,052,021)
|
1,315,419,865
|
*
|
Non-income producing security.
|
(a)
|
The rate shown is the annualized 7-day yield.
|
ADR —
|
American Depositary Receipt
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$1,306,103,666
|
$—
|
$—
|
$1,306,103,666
|
Short-Term Investments1
|
9,316,199
|
—
|
—
|
9,316,199
|
Total
|
$1,315,419,865
|
$—
|
$—
|
$1,315,419,865
|
1
|
As categorized in the Portfolio Holdings.
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 99.8% OF NET ASSETS
|
||
|
||
Banks 6.9%
|
||
Bank of America Corp.
|
270,000
|
9,182,700
|
JPMorgan Chase & Co.
|
125,000
|
21,795,000
|
Truist Financial Corp.
|
90,000
|
3,335,400
|
|
|
34,313,100
|
|
||
Capital Goods 8.2%
|
||
Caterpillar, Inc.
|
10,000
|
3,003,100
|
Fastenal Co.
|
62,000
|
4,230,260
|
General Dynamics Corp.
|
15,000
|
3,974,850
|
Illinois Tool Works, Inc.
|
18,500
|
4,826,650
|
Lockheed Martin Corp.
|
27,000
|
11,594,070
|
Parker-Hannifin Corp.
|
13,000
|
6,038,500
|
RTX Corp.
|
43,000
|
3,918,160
|
Watsco, Inc.
|
8,000
|
3,127,840
|
|
|
40,713,430
|
|
||
Consumer Discretionary Distribution & Retail 5.5%
|
||
Genuine Parts Co.
|
35,000
|
4,908,050
|
Home Depot, Inc.
|
33,500
|
11,824,160
|
TJX Cos., Inc.
|
110,000
|
10,440,100
|
|
|
27,172,310
|
|
||
Consumer Services 2.3%
|
||
McDonald's Corp.
|
39,000
|
11,416,080
|
|
||
Consumer Staples Distribution & Retail 2.3%
|
||
Walmart, Inc.
|
70,000
|
11,567,500
|
|
||
Energy 7.5%
|
||
Chevron Corp.
|
100,000
|
14,743,000
|
Exxon Mobil Corp.
|
170,000
|
17,477,700
|
Kinder Morgan, Inc.
|
290,000
|
4,906,800
|
|
|
37,127,500
|
|
||
Equity Real Estate Investment Trusts (REITs) 2.9%
|
||
Crown Castle, Inc.
|
48,750
|
5,277,187
|
Lamar Advertising Co., Class A
|
40,000
|
4,187,200
|
Public Storage
|
17,500
|
4,955,825
|
|
|
14,420,212
|
|
||
Financial Services 9.4%
|
||
BlackRock, Inc.
|
16,500
|
12,776,115
|
Fidelity National Information Services, Inc.
|
155,000
|
9,650,300
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Morgan Stanley
|
155,000
|
13,522,200
|
Visa, Inc., Class A
|
38,500
|
10,520,510
|
|
|
46,469,125
|
|
||
Food, Beverage & Tobacco 6.9%
|
||
Altria Group, Inc.
|
85,000
|
3,410,200
|
Coca-Cola Co.
|
245,000
|
14,575,050
|
Constellation Brands, Inc., Class A
|
15,000
|
3,676,200
|
Philip Morris International, Inc.
|
138,000
|
12,537,300
|
|
|
34,198,750
|
|
||
Health Care Equipment & Services 7.5%
|
||
Abbott Laboratories
|
77,000
|
8,712,550
|
CVS Health Corp.
|
110,000
|
8,180,700
|
Medtronic PLC
|
113,000
|
9,892,020
|
UnitedHealth Group, Inc.
|
20,000
|
10,234,800
|
|
|
37,020,070
|
|
||
Household & Personal Products 4.1%
|
||
Kenvue, Inc.
|
280,000
|
5,812,800
|
Procter & Gamble Co.
|
91,000
|
14,299,740
|
|
|
20,112,540
|
|
||
Insurance 2.3%
|
||
Allstate Corp.
|
56,000
|
8,694,000
|
Progressive Corp.
|
15,000
|
2,673,750
|
|
|
11,367,750
|
|
||
Materials 0.6%
|
||
PPG Industries, Inc.
|
23,000
|
3,243,920
|
|
||
Media & Entertainment 3.1%
|
||
Comcast Corp., Class A
|
275,000
|
12,798,500
|
Omnicom Group, Inc.
|
26,250
|
2,372,475
|
|
|
15,170,975
|
|
||
Pharmaceuticals, Biotechnology & Life Sciences 8.0%
|
||
AbbVie, Inc.
|
60,000
|
9,864,000
|
Johnson & Johnson
|
72,310
|
11,490,059
|
Merck & Co., Inc.
|
30,000
|
3,623,400
|
Pfizer, Inc.
|
200,000
|
5,416,000
|
Roche Holding AG
|
20,000
|
5,694,327
|
Zoetis, Inc.
|
18,750
|
3,521,438
|
|
|
39,609,224
|
|
||
Semiconductors & Semiconductor Equipment 3.4%
|
||
Broadcom, Inc.
|
14,300
|
16,874,000
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Software & Services 8.4%
|
||
Accenture PLC, Class A
|
36,500
|
13,281,620
|
International Business Machines Corp.
|
60,000
|
11,019,600
|
Microsoft Corp.
|
43,000
|
17,095,940
|
|
|
41,397,160
|
|
||
Technology Hardware & Equipment 3.9%
|
||
Apple, Inc.
|
26,000
|
4,794,400
|
Cisco Systems, Inc.
|
287,500
|
14,426,750
|
|
|
19,221,150
|
|
||
Telecommunication Services 2.4%
|
||
BCE, Inc.
|
65,000
|
2,622,750
|
Verizon Communications, Inc.
|
225,000
|
9,528,750
|
|
|
12,151,500
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Transportation 0.9%
|
||
United Parcel Service, Inc., Class B
|
30,000
|
4,257,000
|
|
||
Utilities 3.3%
|
||
Duke Energy Corp.
|
127,500
|
12,218,325
|
Eversource Energy
|
80,000
|
4,337,600
|
|
|
16,555,925
|
Total Common Stocks
(Cost $392,388,490)
|
494,379,221
|
|
Total Investments in Securities
(Cost $392,388,490)
|
494,379,221
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$454,769,997
|
$—
|
$—
|
$454,769,997
|
Pharmaceuticals, Biotechnology & Life Sciences
|
33,914,897
|
5,694,327
|
—
|
39,609,224
|
Total
|
$488,684,894
|
$5,694,327
|
$—
|
$494,379,221
|
1
|
As categorized in the Portfolio Holdings.
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 95.4% OF NET ASSETS
|
||
|
||
Automobiles & Components 0.9%
|
||
Tesla, Inc. *
|
17,116
|
3,205,656
|
|
||
Capital Goods 5.5%
|
||
Caterpillar, Inc.
|
11,998
|
3,603,119
|
Fastenal Co.
|
38,044
|
2,595,742
|
Illinois Tool Works, Inc.
|
4,799
|
1,252,059
|
Lockheed Martin Corp.
|
7,652
|
3,285,845
|
Parker-Hannifin Corp.
|
10,673
|
4,957,609
|
Quanta Services, Inc.
|
9,885
|
1,918,184
|
Watsco, Inc.
|
3,371
|
1,317,994
|
|
|
18,930,552
|
|
||
Commercial & Professional Services 1.4%
|
||
Paychex, Inc.
|
13,902
|
1,692,290
|
Republic Services, Inc., Class A
|
17,758
|
3,038,749
|
|
|
4,731,039
|
|
||
Consumer Discretionary Distribution & Retail 7.6%
|
||
Amazon.com, Inc. *
|
114,359
|
17,748,517
|
Home Depot, Inc.
|
12,073
|
4,261,286
|
O'Reilly Automotive, Inc. *
|
1,888
|
1,931,519
|
TJX Cos., Inc.
|
25,285
|
2,399,799
|
|
|
26,341,121
|
|
||
Consumer Durables & Apparel 1.2%
|
||
Deckers Outdoor Corp. *
|
1,850
|
1,394,400
|
NIKE, Inc., Class B
|
28,300
|
2,873,299
|
|
|
4,267,699
|
|
||
Consumer Services 3.2%
|
||
Airbnb, Inc., Class A *
|
22,675
|
3,268,375
|
McDonald's Corp.
|
11,088
|
3,245,679
|
Starbucks Corp.
|
48,462
|
4,508,420
|
|
|
11,022,474
|
|
||
Consumer Staples Distribution & Retail 1.5%
|
||
Costco Wholesale Corp.
|
7,253
|
5,039,965
|
|
||
Energy 0.5%
|
||
EOG Resources, Inc.
|
14,768
|
1,680,451
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Equity Real Estate Investment Trusts (REITs) 0.7%
|
||
American Tower Corp.
|
6,424
|
1,256,856
|
Public Storage
|
4,253
|
1,204,407
|
|
|
2,461,263
|
|
||
Financial Services 4.7%
|
||
Interactive Brokers Group, Inc., Class A
|
26,880
|
2,385,600
|
Mastercard, Inc., Class A
|
11,969
|
5,376,834
|
MSCI, Inc., Class A
|
2,815
|
1,685,115
|
Visa, Inc., Class A
|
24,440
|
6,678,475
|
|
|
16,126,024
|
|
||
Food, Beverage & Tobacco 2.9%
|
||
Celsius Holdings, Inc. *
|
32,834
|
1,638,417
|
Constellation Brands, Inc., Class A
|
20,689
|
5,070,460
|
Philip Morris International, Inc.
|
34,383
|
3,123,695
|
|
|
9,832,572
|
|
||
Health Care Equipment & Services 4.7%
|
||
Edwards Lifesciences Corp. *
|
27,680
|
2,172,050
|
IDEXX Laboratories, Inc. *
|
3,556
|
1,831,624
|
Intuitive Surgical, Inc. *
|
16,517
|
6,247,060
|
UnitedHealth Group, Inc.
|
11,673
|
5,973,541
|
|
|
16,224,275
|
|
||
Insurance 1.4%
|
||
Arthur J Gallagher & Co.
|
13,345
|
3,098,175
|
Progressive Corp.
|
10,421
|
1,857,543
|
|
|
4,955,718
|
|
||
Media & Entertainment 9.5%
|
||
Alphabet, Inc., Class A *
|
120,240
|
16,845,624
|
Meta Platforms, Inc., Class A *
|
32,346
|
12,619,468
|
Netflix, Inc. *
|
6,145
|
3,466,456
|
|
|
32,931,548
|
|
||
Pharmaceuticals, Biotechnology & Life Sciences 6.0%
|
||
Eli Lilly & Co.
|
12,008
|
7,752,485
|
Thermo Fisher Scientific, Inc.
|
12,359
|
6,661,254
|
Vertex Pharmaceuticals, Inc. *
|
5,729
|
2,482,834
|
Zoetis, Inc.
|
20,079
|
3,771,037
|
|
|
20,667,610
|
|
||
Semiconductors & Semiconductor Equipment 11.4%
|
||
Advanced Micro Devices, Inc. *
|
21,181
|
3,551,842
|
ASML Holding NV NY Registry Shares
|
5,852
|
5,090,187
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Broadcom, Inc.
|
9,252
|
10,917,360
|
NVIDIA Corp.
|
32,256
|
19,846,149
|
|
|
39,405,538
|
|
||
Software & Services 21.9%
|
||
Accenture PLC, Class A
|
12,870
|
4,683,136
|
Adobe, Inc. *
|
10,158
|
6,275,409
|
Gartner, Inc. *
|
10,548
|
4,825,077
|
Intuit, Inc.
|
4,573
|
2,887,072
|
Microsoft Corp.
|
99,364
|
39,505,139
|
Oracle Corp.
|
34,209
|
3,821,145
|
Palo Alto Networks, Inc. *
|
25,239
|
8,543,654
|
ServiceNow, Inc. *
|
2,645
|
2,024,483
|
Synopsys, Inc. *
|
5,560
|
2,965,426
|
|
|
75,530,541
|
|
||
Technology Hardware & Equipment 9.9%
|
||
Apple, Inc.
|
186,176
|
34,330,854
|
|
||
Transportation 0.5%
|
||
Uber Technologies, Inc. *
|
27,145
|
1,771,754
|
Total Common Stocks
(Cost $153,758,587)
|
329,456,654
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
INVESTMENT COMPANIES 1.4% OF NET ASSETS
|
||
|
||
Equity Funds 1.4%
|
||
Invesco S&P 500 Equal Weight ETF
|
31,462
|
4,922,545
|
Total Investment Companies
(Cost $4,945,908)
|
4,922,545
|
|
Total Investments in Securities
(Cost $158,704,495)
|
334,379,199
|
|
NUMBER OF
CONTRACTS
|
NOTIONAL
AMOUNT
($)
|
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
|
FUTURES CONTRACTS
|
|||
Long
|
|
|
|
S&P 500 Index, e-mini, expires
03/15/24
|
20
|
4,870,500
|
210,389
|
*
|
Non-income producing security.
|
ETF —
|
Exchange-Traded Fund
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$329,456,654
|
$—
|
$—
|
$329,456,654
|
Investment Companies1
|
4,922,545
|
—
|
—
|
4,922,545
|
Futures Contracts2
|
210,389
|
—
|
—
|
210,389
|
Total
|
$334,589,588
|
$—
|
$—
|
$334,589,588
|
1
|
As categorized in the Portfolio Holdings.
|
2
|
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 96.0% OF NET ASSETS
|
||
|
||
Automobiles & Components 1.3%
|
||
Adient PLC *
|
19,412
|
673,790
|
American Axle & Manufacturing Holdings,
Inc. *
|
81,681
|
660,799
|
Goodyear Tire & Rubber Co. *
|
36,918
|
514,637
|
Modine Manufacturing Co. *
|
45,326
|
3,131,573
|
Patrick Industries, Inc.
|
15,563
|
1,562,370
|
Visteon Corp. *
|
7,506
|
865,367
|
|
|
7,408,536
|
|
||
Banks 9.2%
|
||
Associated Banc-Corp.
|
228,008
|
4,790,448
|
BankUnited, Inc.
|
170,880
|
4,829,069
|
Byline Bancorp, Inc.
|
16,574
|
361,976
|
Cathay General Bancorp
|
13,538
|
557,359
|
Customers Bancorp, Inc. *
|
22,302
|
1,191,819
|
CVB Financial Corp.
|
123,534
|
2,071,665
|
Eagle Bancorp, Inc.
|
33,074
|
819,904
|
Enterprise Financial Services Corp.
|
34,085
|
1,418,959
|
First Financial Corp.
|
5,234
|
206,324
|
Great Southern Bancorp, Inc.
|
37,856
|
1,971,919
|
Hancock Whitney Corp.
|
55,206
|
2,490,343
|
HomeTrust Bancshares, Inc.
|
44,652
|
1,212,302
|
International Bancshares Corp.
|
114,611
|
6,058,337
|
Mercantile Bank Corp.
|
80,576
|
3,230,292
|
Metropolitan Bank Holding Corp. *
|
9,073
|
439,950
|
OceanFirst Financial Corp.
|
168,407
|
2,901,653
|
Old Second Bancorp, Inc.
|
58,767
|
800,407
|
Peapack-Gladstone Financial Corp.
|
45,193
|
1,246,423
|
Premier Financial Corp.
|
66,678
|
1,392,903
|
Renasant Corp.
|
64,594
|
2,043,108
|
Republic Bancorp, Inc., Class A
|
29,304
|
1,500,072
|
Trustmark Corp.
|
52,006
|
1,403,642
|
UMB Financial Corp.
|
34,016
|
2,806,320
|
Univest Financial Corp.
|
74,816
|
1,589,092
|
WaFd, Inc.
|
81,155
|
2,356,741
|
WesBanco, Inc.
|
54,069
|
1,586,384
|
Westamerica BanCorp
|
7,809
|
372,646
|
|
|
51,650,057
|
|
||
Capital Goods 12.6%
|
||
AAR Corp. *
|
68,740
|
4,180,767
|
AeroVironment, Inc. *
|
22,644
|
2,731,772
|
Allient, Inc.
|
30,379
|
846,359
|
Applied Industrial Technologies, Inc.
|
8,582
|
1,514,380
|
Array Technologies, Inc. *
|
67,368
|
891,952
|
Atkore, Inc. *
|
45,141
|
6,885,357
|
Blue Bird Corp. *
|
51,010
|
1,485,921
|
Boise Cascade Co.
|
9,083
|
1,230,383
|
Ducommun, Inc. *
|
14,017
|
691,739
|
EMCOR Group, Inc.
|
26,931
|
6,143,231
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
EnerSys
|
42,645
|
4,075,583
|
H&E Equipment Services, Inc.
|
6,562
|
352,970
|
Herc Holdings, Inc.
|
10,232
|
1,509,118
|
Hillenbrand, Inc.
|
7,369
|
343,174
|
IES Holdings, Inc. *
|
20,949
|
1,716,980
|
JELD-WEN Holding, Inc. *
|
110,689
|
2,058,815
|
Manitowoc Co., Inc. *
|
87,783
|
1,413,306
|
Moog, Inc., Class A
|
35,636
|
4,981,913
|
Mueller Industries, Inc.
|
51,380
|
2,466,240
|
MYR Group, Inc. *
|
7,626
|
1,097,000
|
NEXTracker, Inc., Class A *
|
28,116
|
1,272,811
|
Preformed Line Products Co.
|
9,869
|
1,206,485
|
REV Group, Inc.
|
224,595
|
4,384,095
|
Shoals Technologies Group, Inc., Class A *
|
29,734
|
391,597
|
Simpson Manufacturing Co., Inc.
|
8,345
|
1,510,362
|
SPX Technologies, Inc. *
|
9,150
|
920,856
|
Sterling Infrastructure, Inc. *
|
43,665
|
3,279,242
|
Tennant Co.
|
4,077
|
385,358
|
Terex Corp.
|
69,038
|
4,241,004
|
Thermon Group Holdings, Inc. *
|
41,005
|
1,344,144
|
Titan International, Inc. *
|
103,699
|
1,530,597
|
UFP Industries, Inc.
|
8,612
|
977,031
|
V2X, Inc. *
|
10,567
|
410,951
|
Wabash National Corp.
|
42,901
|
1,085,395
|
Watts Water Technologies, Inc., Class A
|
5,805
|
1,149,448
|
|
|
70,706,336
|
|
||
Commercial & Professional Services 1.9%
|
||
Brink's Co.
|
13,573
|
1,097,241
|
Cimpress PLC *
|
23,325
|
1,754,507
|
Conduent, Inc. *
|
224,829
|
809,385
|
ExlService Holdings, Inc. *
|
113,469
|
3,549,310
|
IBEX Holdings Ltd. *
|
50,906
|
917,326
|
Insperity, Inc.
|
7,628
|
874,855
|
Legalzoom.com, Inc. *
|
121,114
|
1,248,685
|
Mastech Digital, Inc. *
|
20,057
|
172,490
|
TriNet Group, Inc. *
|
3,542
|
402,726
|
|
|
10,826,525
|
|
||
Consumer Discretionary Distribution & Retail 2.9%
|
||
Abercrombie & Fitch Co., Class A *
|
15,894
|
1,619,599
|
American Eagle Outfitters, Inc.
|
148,507
|
2,943,409
|
Build-A-Bear Workshop, Inc.
|
57,306
|
1,291,104
|
Caleres, Inc.
|
21,791
|
683,584
|
CarParts.com, Inc. *
|
319,180
|
858,594
|
Dillard's, Inc., Class A
|
4,168
|
1,614,141
|
Group 1 Automotive, Inc.
|
7,928
|
2,061,756
|
Nordstrom, Inc.
|
102,926
|
1,868,107
|
Signet Jewelers Ltd.
|
13,397
|
1,332,733
|
Urban Outfitters, Inc. *
|
49,018
|
1,862,684
|
|
|
16,135,711
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Consumer Durables & Apparel 2.0%
|
||
Beazer Homes USA, Inc. *
|
55,612
|
1,765,681
|
Crocs, Inc. *
|
15,879
|
1,611,401
|
Dream Finders Homes, Inc., Class A *
|
14,373
|
472,440
|
Green Brick Partners, Inc. *
|
10,756
|
561,141
|
Hovnanian Enterprises, Inc., Class A *
|
7,753
|
1,310,024
|
JAKKS Pacific, Inc. *
|
5,187
|
162,664
|
M/I Homes, Inc. *
|
10,152
|
1,293,568
|
MasterCraft Boat Holdings, Inc. *
|
68,126
|
1,319,601
|
Solo Brands, Inc., Class A *
|
150,438
|
419,722
|
Taylor Morrison Home Corp., Class A *
|
29,262
|
1,525,721
|
Tri Pointe Homes, Inc. *
|
27,606
|
953,235
|
|
|
11,395,198
|
|
||
Consumer Services 3.2%
|
||
Bloomin' Brands, Inc.
|
89,761
|
2,389,438
|
Boyd Gaming Corp.
|
5,491
|
348,624
|
Brinker International, Inc. *
|
79,767
|
3,413,230
|
Dave & Buster's Entertainment, Inc. *
|
6,544
|
350,300
|
Duolingo, Inc. *
|
6,322
|
1,130,942
|
Everi Holdings, Inc. *
|
50,705
|
527,839
|
Frontdoor, Inc. *
|
68,685
|
2,250,121
|
Hilton Grand Vacations, Inc. *
|
17,709
|
738,465
|
Inspired Entertainment, Inc. *
|
82,270
|
755,239
|
International Game Technology PLC
|
19,494
|
506,064
|
Light & Wonder, Inc. *
|
12,679
|
1,019,138
|
PlayAGS, Inc. *
|
173,835
|
1,514,103
|
SeaWorld Entertainment, Inc. *
|
38,997
|
1,926,452
|
Stride, Inc. *
|
16,456
|
986,537
|
|
|
17,856,492
|
|
||
Consumer Staples Distribution & Retail 0.8%
|
||
Andersons, Inc.
|
82,220
|
4,333,816
|
|
||
Energy 5.7%
|
||
Cactus, Inc., Class A
|
26,604
|
1,129,074
|
California Resources Corp.
|
7,290
|
347,587
|
ChampionX Corp.
|
22,180
|
607,954
|
Chord Energy Corp.
|
4,511
|
693,611
|
Civitas Resources, Inc.
|
10,337
|
669,941
|
CONSOL Energy, Inc.
|
24,725
|
2,338,985
|
CVR Energy, Inc.
|
72,575
|
2,447,955
|
Liberty Energy, Inc., Class A
|
196,060
|
4,076,087
|
Matador Resources Co.
|
39,715
|
2,179,956
|
Murphy Oil Corp.
|
48,428
|
1,874,164
|
Par Pacific Holdings, Inc. *
|
57,002
|
2,085,703
|
Patterson-UTI Energy, Inc.
|
105,955
|
1,175,041
|
PBF Energy, Inc., Class A
|
41,032
|
2,072,526
|
Peabody Energy Corp.
|
27,391
|
731,340
|
Scorpio Tankers, Inc.
|
10,204
|
721,423
|
Select Water Solutions, Inc.
|
94,748
|
736,192
|
SM Energy Co.
|
53,225
|
1,973,583
|
Teekay Corp. *
|
212,659
|
1,911,805
|
Teekay Tankers Ltd., Class A
|
36,202
|
2,264,435
|
U.S. Silica Holdings, Inc. *
|
138,465
|
1,484,345
|
W&T Offshore, Inc.
|
151,384
|
460,207
|
|
|
31,981,914
|
|
||
Equity Real Estate Investment Trusts (REITs) 6.5%
|
||
American Assets Trust, Inc.
|
237,457
|
5,326,161
|
Armada Hoffler Properties, Inc.
|
412,138
|
4,929,170
|
Brandywine Realty Trust
|
118,018
|
559,405
|
Broadstone Net Lease, Inc.
|
134,081
|
2,154,682
|
COPT Defense Properties
|
252,144
|
5,940,513
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
EastGroup Properties, Inc.
|
16,695
|
2,962,194
|
Empire State Realty Trust, Inc., Class A
|
234,155
|
2,229,156
|
Innovative Industrial Properties, Inc.
|
4,603
|
429,138
|
Orion Office REIT, Inc.
|
230,986
|
1,187,268
|
Plymouth Industrial REIT, Inc.
|
39,482
|
874,131
|
Ryman Hospitality Properties, Inc.
|
61,718
|
6,782,808
|
Sabra Health Care REIT, Inc.
|
48,950
|
652,993
|
Tanger, Inc.
|
85,815
|
2,308,423
|
|
|
36,336,042
|
|
||
Financial Services 5.9%
|
||
AssetMark Financial Holdings, Inc. *
|
17,932
|
549,974
|
Donnelley Financial Solutions, Inc. *
|
18,902
|
1,174,192
|
Enact Holdings, Inc.
|
71,144
|
2,026,893
|
Enova International, Inc. *
|
45,801
|
2,492,948
|
Essent Group Ltd.
|
36,634
|
2,020,731
|
EVERTEC, Inc.
|
19,151
|
769,104
|
Federal Agricultural Mortgage Corp.,
Class C
|
15,930
|
2,967,600
|
Jackson Financial, Inc., Class A
|
29,413
|
1,472,709
|
Merchants Bancorp
|
47,445
|
2,075,244
|
MGIC Investment Corp.
|
95,345
|
1,891,645
|
NMI Holdings, Inc., Class A *
|
121,007
|
3,862,544
|
OneMain Holdings, Inc.
|
13,692
|
651,739
|
Radian Group, Inc.
|
60,648
|
1,757,579
|
Regional Management Corp.
|
48,070
|
1,171,947
|
StepStone Group, Inc., Class A
|
25,213
|
843,375
|
Stifel Financial Corp.
|
18,983
|
1,384,810
|
StoneCo Ltd., Class A *
|
63,084
|
1,084,414
|
StoneX Group, Inc. *
|
30,757
|
2,022,273
|
Virtus Investment Partners, Inc.
|
12,939
|
3,055,027
|
|
|
33,274,748
|
|
||
Food, Beverage & Tobacco 2.1%
|
||
Cal-Maine Foods, Inc.
|
16,422
|
910,107
|
Coca-Cola Consolidated, Inc.
|
8,051
|
6,935,051
|
National Beverage Corp. *
|
22,612
|
1,045,579
|
Primo Water Corp.
|
200,893
|
2,929,020
|
|
|
11,819,757
|
|
||
Health Care Equipment & Services 3.4%
|
||
AirSculpt Technologies, Inc. *(a)
|
44,104
|
320,195
|
Cerus Corp. *
|
270,093
|
488,868
|
Haemonetics Corp. *
|
18,775
|
1,435,537
|
Health Catalyst, Inc. *
|
82,185
|
802,947
|
HealthEquity, Inc. *
|
18,515
|
1,399,364
|
Hims & Hers Health, Inc. *
|
189,621
|
1,626,948
|
Lantheus Holdings, Inc. *
|
53,601
|
2,783,500
|
Merit Medical Systems, Inc. *
|
43,245
|
3,386,083
|
OmniAb, Inc., Class A *(b)
|
5,508
|
0
|
OmniAb, Inc., Class B *(b)
|
5,508
|
0
|
Option Care Health, Inc. *
|
25,933
|
810,147
|
OraSure Technologies, Inc. *
|
150,626
|
1,110,114
|
Tenet Healthcare Corp. *
|
8,781
|
726,540
|
UFP Technologies, Inc. *
|
2,246
|
378,473
|
Utah Medical Products, Inc.
|
4,981
|
394,545
|
Veradigm, Inc. *
|
86,267
|
787,618
|
Zimvie, Inc. *
|
97,895
|
1,711,205
|
Zynex, Inc. *(a)
|
65,072
|
770,452
|
|
|
18,932,536
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Household & Personal Products 0.5%
|
||
elf Beauty, Inc. *
|
10,309
|
1,644,595
|
Medifast, Inc.
|
13,522
|
738,977
|
Nature's Sunshine Products, Inc. *
|
37,813
|
658,324
|
|
|
3,041,896
|
|
||
Insurance 1.2%
|
||
CNO Financial Group, Inc.
|
132,276
|
3,595,262
|
Employers Holdings, Inc.
|
21,853
|
911,707
|
Genworth Financial, Inc., Class A *
|
272,283
|
1,679,986
|
Investors Title Co.
|
1,858
|
310,750
|
|
|
6,497,705
|
|
||
Materials 4.3%
|
||
Alpha Metallurgical Resources, Inc.
|
2,951
|
1,178,157
|
Arch Resources, Inc.
|
3,578
|
633,163
|
Avient Corp.
|
65,501
|
2,371,791
|
Cabot Corp.
|
12,426
|
895,915
|
Carpenter Technology Corp.
|
21,295
|
1,311,559
|
Commercial Metals Co.
|
19,790
|
1,033,434
|
Constellium SE, Class A *
|
220,404
|
4,132,575
|
Ecovyst, Inc. *
|
187,295
|
1,734,352
|
Mativ Holdings, Inc.
|
24,167
|
290,729
|
O-I Glass, Inc. *
|
56,088
|
816,641
|
Orion SA
|
118,416
|
2,652,518
|
Pactiv Evergreen, Inc.
|
18,849
|
275,195
|
Quaker Chemical Corp.
|
16,828
|
3,196,310
|
Ryerson Holding Corp.
|
30,061
|
1,031,694
|
SunCoke Energy, Inc.
|
216,983
|
2,224,076
|
|
|
23,778,109
|
|
||
Media & Entertainment 2.4%
|
||
AMC Networks, Inc., Class A *
|
134,372
|
2,430,790
|
Cars.com, Inc. *
|
33,273
|
579,948
|
Entravision Communications Corp., Class A
|
227,618
|
917,301
|
EW Scripps Co., Class A *
|
43,160
|
343,985
|
Gaia, Inc., Class A *
|
44,500
|
129,050
|
Gray Television, Inc.
|
138,864
|
1,326,151
|
IMAX Corp. *
|
54,112
|
755,945
|
Lions Gate Entertainment Corp., Class A *
|
119,163
|
1,242,870
|
Yelp, Inc., Class A *
|
113,319
|
4,955,440
|
Ziff Davis, Inc. *
|
8,866
|
597,568
|
|
|
13,279,048
|
|
||
Pharmaceuticals, Biotechnology & Life Sciences 12.7%
|
||
2seventy bio, Inc. *
|
197,336
|
1,014,307
|
ACADIA Pharmaceuticals, Inc. *
|
130,149
|
3,372,161
|
Agios Pharmaceuticals, Inc. *
|
25,200
|
570,024
|
Alector, Inc. *
|
72,578
|
432,565
|
Alkermes PLC *
|
136,415
|
3,690,026
|
Amicus Therapeutics, Inc. *
|
152,254
|
1,892,517
|
Amneal Pharmaceuticals, Inc. *
|
348,137
|
1,862,533
|
Amphastar Pharmaceuticals, Inc. *
|
32,714
|
1,745,619
|
Amylyx Pharmaceuticals, Inc. *
|
53,933
|
862,928
|
ANI Pharmaceuticals, Inc. *
|
44,330
|
2,474,501
|
Anika Therapeutics, Inc. *
|
24,888
|
585,366
|
Arcus Biosciences, Inc. *
|
37,827
|
572,701
|
Arrowhead Pharmaceuticals, Inc. *
|
23,361
|
749,888
|
Arvinas, Inc. *
|
51,754
|
2,147,791
|
Aurinia Pharmaceuticals, Inc. *
|
173,739
|
1,309,992
|
Beam Therapeutics, Inc. *
|
12,397
|
302,487
|
BioCryst Pharmaceuticals, Inc. *
|
116,784
|
618,955
|
Bridgebio Pharma, Inc. *
|
78,133
|
2,679,180
|
CareDx, Inc. *
|
92,448
|
791,355
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Caribou Biosciences, Inc. *
|
164,797
|
1,010,206
|
Catalyst Pharmaceuticals, Inc. *
|
131,521
|
1,893,902
|
Collegium Pharmaceutical, Inc. *
|
32,695
|
1,077,627
|
Deciphera Pharmaceuticals, Inc. *
|
89,616
|
1,283,301
|
Denali Therapeutics, Inc. *
|
65,562
|
1,049,648
|
Editas Medicine, Inc. *
|
128,266
|
901,710
|
Fate Therapeutics, Inc. *
|
331,124
|
2,039,724
|
Halozyme Therapeutics, Inc. *
|
49,316
|
1,669,347
|
Harmony Biosciences Holdings, Inc. *
|
53,515
|
1,687,863
|
Harvard Bioscience, Inc. *
|
126,539
|
556,772
|
Intellia Therapeutics, Inc. *
|
16,605
|
395,531
|
Ironwood Pharmaceuticals, Inc., Class A *
|
205,940
|
2,922,289
|
Kiniksa Pharmaceuticals Ltd., Class A *
|
48,448
|
854,138
|
Ligand Pharmaceuticals, Inc. *
|
28,305
|
2,069,095
|
MacroGenics, Inc. *
|
178,739
|
2,555,968
|
Medpace Holdings, Inc. *
|
19,555
|
5,701,847
|
MiMedx Group, Inc. *
|
236,778
|
1,832,662
|
Morphic Holding, Inc. *
|
9,921
|
314,396
|
Mural Oncology PLC *
|
11,720
|
51,451
|
Myriad Genetics, Inc. *
|
18,320
|
391,865
|
Nurix Therapeutics, Inc. *
|
268,046
|
2,117,563
|
Organogenesis Holdings, Inc., Class A *
|
265,465
|
876,034
|
Phibro Animal Health Corp., Class A
|
79,718
|
861,752
|
Prestige Consumer Healthcare, Inc. *
|
10,201
|
627,769
|
PTC Therapeutics, Inc. *
|
27,076
|
706,413
|
Quanterix Corp. *
|
37,022
|
817,816
|
Relay Therapeutics, Inc. *
|
162,618
|
1,504,216
|
Rigel Pharmaceuticals, Inc. *
|
286,774
|
335,526
|
TG Therapeutics, Inc. *
|
43,238
|
702,185
|
Vanda Pharmaceuticals, Inc. *
|
196,999
|
709,196
|
Veracyte, Inc. *
|
97,313
|
2,434,771
|
Vericel Corp. *
|
19,832
|
852,379
|
Xencor, Inc. *
|
37,121
|
694,163
|
|
|
71,174,021
|
|
||
Real Estate Management & Development 0.4%
|
||
Cushman & Wakefield PLC *
|
190,056
|
1,999,389
|
RMR Group, Inc., Class A
|
12,431
|
324,325
|
|
|
2,323,714
|
|
||
Semiconductors & Semiconductor Equipment 2.7%
|
||
Ambarella, Inc. *
|
5,097
|
267,898
|
Amkor Technology, Inc.
|
78,392
|
2,481,891
|
Axcelis Technologies, Inc. *
|
34,362
|
4,468,778
|
Diodes, Inc. *
|
18,066
|
1,216,203
|
Lattice Semiconductor Corp. *
|
64,917
|
3,950,849
|
Photronics, Inc. *
|
60,931
|
1,780,404
|
Synaptics, Inc. *
|
8,159
|
871,463
|
|
|
15,037,486
|
|
||
Software & Services 7.0%
|
||
8x8, Inc. *
|
315,131
|
1,058,840
|
Agilysys, Inc. *
|
4,228
|
353,926
|
Alarm.com Holdings, Inc. *
|
10,732
|
652,720
|
Appfolio, Inc., Class A *
|
21,632
|
4,743,032
|
Asana, Inc., Class A *
|
65,921
|
1,148,344
|
BlackLine, Inc. *
|
35,649
|
2,091,883
|
Box, Inc., Class A *
|
30,222
|
785,168
|
CommVault Systems, Inc. *
|
16,288
|
1,493,284
|
Domo, Inc., Class B *
|
74,301
|
807,652
|
eGain Corp. *
|
188,200
|
1,411,500
|
Everbridge, Inc. *
|
54,978
|
1,229,308
|
Hackett Group, Inc.
|
64,409
|
1,489,136
|
PagerDuty, Inc. *
|
107,748
|
2,551,473
|
Q2 Holdings, Inc. *
|
72,443
|
3,082,450
|
Qualys, Inc. *
|
20,748
|
3,924,899
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Rimini Street, Inc. *
|
247,510
|
811,833
|
Sprinklr, Inc., Class A *
|
49,359
|
616,000
|
Sprout Social, Inc., Class A *
|
18,153
|
1,113,323
|
Squarespace, Inc., Class A *
|
27,723
|
859,413
|
Tenable Holdings, Inc. *
|
25,061
|
1,180,373
|
Unisys Corp. *
|
266,506
|
1,796,250
|
Weave Communications, Inc. *
|
115,634
|
1,450,050
|
Xperi, Inc. *
|
72,251
|
771,641
|
Yext, Inc. *
|
285,334
|
1,692,031
|
Zeta Global Holdings Corp., Class A *
|
92,943
|
899,688
|
Zuora, Inc., Class A *
|
117,441
|
1,073,411
|
|
|
39,087,628
|
|
||
Technology Hardware & Equipment 4.7%
|
||
Arlo Technologies, Inc. *
|
179,986
|
1,598,276
|
Bel Fuse, Inc., Class B
|
20,150
|
1,347,229
|
Belden, Inc.
|
31,827
|
2,360,927
|
Calix, Inc. *
|
7,357
|
244,105
|
CommScope Holding Co., Inc. *
|
256,955
|
596,136
|
Daktronics, Inc. *
|
80,175
|
607,726
|
ePlus, Inc. *
|
5,999
|
453,164
|
Extreme Networks, Inc. *
|
275,134
|
3,717,060
|
Fabrinet *
|
16,503
|
3,523,556
|
Itron, Inc. *
|
10,343
|
746,144
|
OSI Systems, Inc. *
|
15,389
|
1,970,254
|
Sanmina Corp. *
|
8,821
|
527,672
|
Super Micro Computer, Inc. *
|
12,392
|
6,562,927
|
Xerox Holdings Corp.
|
110,771
|
2,044,833
|
|
|
26,300,009
|
|
||
Telecommunication Services 0.6%
|
||
Iridium Communications, Inc.
|
19,928
|
722,589
|
Liberty Latin America Ltd., Class A *
|
333,190
|
2,345,658
|
Ooma, Inc. *
|
15,394
|
166,563
|
|
|
3,234,810
|
|
||
Transportation 0.7%
|
||
ArcBest Corp.
|
7,337
|
874,057
|
Forward Air Corp.
|
15,666
|
694,474
|
Hub Group, Inc., Class A *
|
18,915
|
856,471
|
Matson, Inc.
|
7,717
|
864,535
|
Radiant Logistics, Inc. *
|
69,136
|
424,495
|
|
|
3,714,032
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Utilities 1.3%
|
||
Chesapeake Utilities Corp.
|
9,587
|
970,971
|
Clearway Energy, Inc., Class A
|
124,197
|
2,789,465
|
Genie Energy Ltd., Class B
|
989
|
18,405
|
Otter Tail Corp.
|
34,724
|
3,139,744
|
Via Renewables, Inc., Class A
|
21,017
|
222,991
|
|
|
7,141,576
|
Total Common Stocks
(Cost $461,635,343)
|
537,267,702
|
|
|
|
SHORT-TERM INVESTMENTS 0.2% OF NET ASSETS
|
||
|
||
Money Market Funds 0.2%
|
||
State Street Institutional U.S. Government
Money Market Fund, Premier Class
5.30% (c)(d)
|
1,026,056
|
1,026,056
|
Total Short-Term Investments
(Cost $1,026,056)
|
1,026,056
|
|
Total Investments in Securities
(Cost $462,661,399)
|
538,293,758
|
|
NUMBER OF
CONTRACTS
|
NOTIONAL
AMOUNT
($)
|
CURRENT VALUE/
UNREALIZED
APPRECIATION
($)
|
FUTURES CONTRACTS
|
|||
Long
|
|
|
|
Russell 2000 Index, e-mini,
expires 03/15/24
|
215
|
21,025,925
|
175,548
|
*
|
Non-income producing security.
|
(a)
|
All or a portion of this security is on loan. Securities on loan were valued at
$994,560.
|
(b)
|
Fair valued using significant unobservable inputs (see notes to portfolio
holdings for additional information).
|
(c)
|
The rate shown is the annualized 7-day yield.
|
(d)
|
Security purchased with cash collateral received for securities on loan.
|
REIT —
|
Real Estate Investment Trust
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$518,335,166
|
$—
|
$—
|
$518,335,166
|
Health Care Equipment & Services
|
18,932,536
|
—
|
0
*
|
18,932,536
|
Short-Term Investments1
|
1,026,056
|
—
|
—
|
1,026,056
|
Futures Contracts2
|
175,548
|
—
|
—
|
175,548
|
Total
|
$538,469,306
|
$—
|
$0
|
$538,469,306
|
*
|
Level 3 amount shown includes securities determined to have no value at January 31,
2024.
|
1
|
As categorized in the Portfolio Holdings.
|
2
|
Futures contracts are reported at cumulative unrealized appreciation or depreciation.
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 99.7% OF NET ASSETS
|
||
|
||
Australia 1.4%
|
||
Cochlear Ltd.
|
24,127
|
4,787,977
|
CSL Ltd.
|
9,100
|
1,787,036
|
Pro Medicus Ltd.
|
69,556
|
4,582,280
|
|
|
11,157,293
|
|
||
Denmark 5.8%
|
||
ALK-Abello AS *
|
56,307
|
908,619
|
Demant AS *
|
49,790
|
2,255,431
|
Genmab AS *
|
7,092
|
1,961,094
|
Novo Nordisk AS, Class B
|
356,463
|
40,745,284
|
|
|
45,870,428
|
|
||
France 1.7%
|
||
BioMerieux
|
34,382
|
3,700,474
|
EssilorLuxottica SA
|
6,013
|
1,178,386
|
Ipsen SA
|
56,205
|
6,480,387
|
Sanofi SA
|
22,205
|
2,223,731
|
|
|
13,582,978
|
|
||
Germany 0.1%
|
||
Carl Zeiss Meditec AG, Bearer Shares
|
10,896
|
1,148,566
|
|
||
Ireland 3.0%
|
||
Medtronic PLC
|
267,905
|
23,452,404
|
|
||
Japan 2.8%
|
||
Hoya Corp.
|
93,000
|
11,813,703
|
Olympus Corp.
|
81,000
|
1,199,097
|
Ono Pharmaceutical Co. Ltd.
|
150,300
|
2,709,026
|
Santen Pharmaceutical Co. Ltd.
|
158,000
|
1,596,167
|
Shionogi & Co. Ltd.
|
84,800
|
4,070,096
|
Terumo Corp.
|
25,000
|
846,299
|
|
|
22,234,388
|
|
||
Sweden 0.3%
|
||
Getinge AB, B Shares
|
52,784
|
1,128,370
|
Swedish Orphan Biovitrum AB *
|
44,621
|
1,252,428
|
|
|
2,380,798
|
|
||
Switzerland 5.2%
|
||
Novartis AG
|
241,817
|
25,007,195
|
Roche Holding AG
|
56,410
|
16,060,849
|
|
|
41,068,044
|
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
United Kingdom 3.1%
|
||
AstraZeneca PLC
|
124,408
|
16,493,620
|
GSK PLC
|
393,310
|
7,778,780
|
|
|
24,272,400
|
|
||
United States 76.3%
|
||
Abbott Laboratories
|
215,669
|
24,402,947
|
AbbVie, Inc.
|
194,914
|
32,043,862
|
Addus HomeCare Corp. *
|
8,496
|
735,754
|
Agilent Technologies, Inc.
|
88,508
|
11,514,891
|
Align Technology, Inc. *
|
7,581
|
2,026,553
|
Alkermes PLC *
|
28,600
|
773,630
|
Amgen, Inc.
|
74,383
|
23,375,602
|
Amphastar Pharmaceuticals, Inc. *
|
35,572
|
1,898,122
|
Becton Dickinson & Co.
|
64,508
|
15,405,155
|
BioMarin Pharmaceutical, Inc. *
|
85,542
|
7,534,539
|
Bio-Techne Corp.
|
21,675
|
1,524,186
|
Blueprint Medicines Corp. *
|
9,342
|
742,969
|
Boston Scientific Corp. *
|
64,706
|
4,093,302
|
Bristol-Myers Squibb Co.
|
26,997
|
1,319,343
|
Bruker Corp.
|
30,109
|
2,153,095
|
Cardinal Health, Inc.
|
25,072
|
2,737,612
|
Cigna Group
|
44,755
|
13,469,017
|
Cooper Cos., Inc.
|
5,133
|
1,914,763
|
Danaher Corp.
|
42,006
|
10,077,659
|
DaVita, Inc. *
|
8,300
|
897,728
|
DENTSPLY SIRONA, Inc.
|
74,798
|
2,599,230
|
Dexcom, Inc. *
|
23,446
|
2,845,172
|
Edwards Lifesciences Corp. *
|
12,488
|
979,933
|
Elanco Animal Health, Inc. *
|
428,369
|
6,314,159
|
Elevance Health, Inc.
|
31,612
|
15,598,625
|
Eli Lilly & Co.
|
96,760
|
62,469,224
|
Gilead Sciences, Inc.
|
221,652
|
17,346,486
|
Halozyme Therapeutics, Inc. *
|
72,907
|
2,467,902
|
HCA Healthcare, Inc.
|
9,558
|
2,914,234
|
HealthEquity, Inc. *
|
10,785
|
815,130
|
Hologic, Inc. *
|
133,177
|
9,913,696
|
Humana, Inc.
|
3,330
|
1,258,940
|
IDEXX Laboratories, Inc. *
|
4,510
|
2,323,011
|
Incyte Corp. *
|
78,045
|
4,586,705
|
Intuitive Surgical, Inc. *
|
29,296
|
11,080,333
|
IQVIA Holdings, Inc. *
|
57,440
|
11,960,731
|
Jazz Pharmaceuticals PLC *
|
28,774
|
3,531,145
|
Johnson & Johnson
|
191,300
|
30,397,570
|
Lantheus Holdings, Inc. *
|
31,722
|
1,647,323
|
McKesson Corp.
|
39,397
|
19,694,166
|
Medpace Holdings, Inc. *
|
19,082
|
5,563,930
|
Merck & Co., Inc.
|
335,715
|
40,547,658
|
Merit Medical Systems, Inc. *
|
50,493
|
3,953,602
|
Mettler-Toledo International, Inc. *
|
9,140
|
10,942,317
|
Neurocrine Biosciences, Inc. *
|
35,581
|
4,973,156
|
Option Care Health, Inc. *
|
180,658
|
5,643,756
|
Pfizer, Inc.
|
196,570
|
5,323,116
|
Prestige Consumer Healthcare, Inc. *
|
84,613
|
5,207,084
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Regeneron Pharmaceuticals, Inc. *
|
16,449
|
15,507,788
|
STERIS PLC
|
7,219
|
1,580,600
|
Stryker Corp.
|
50,401
|
16,908,527
|
Thermo Fisher Scientific, Inc.
|
22,414
|
12,080,698
|
United Therapeutics Corp. *
|
37,155
|
7,980,151
|
UnitedHealth Group, Inc.
|
83,440
|
42,699,586
|
Veeva Systems, Inc., Class A *
|
34,443
|
7,143,823
|
Veracyte, Inc. *
|
39,324
|
983,886
|
Vertex Pharmaceuticals, Inc. *
|
56,091
|
24,308,718
|
West Pharmaceutical Services, Inc.
|
7,983
|
2,977,898
|
Zimmer Biomet Holdings, Inc.
|
58,903
|
7,398,217
|
Zoetis, Inc.
|
65,210
|
12,247,090
|
|
|
603,356,045
|
Total Common Stocks
(Cost $494,919,691)
|
788,523,344
|
|
Total Investments in Securities
(Cost $494,919,691)
|
788,523,344
|
*
|
Non-income producing security.
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$626,808,449
|
$—
|
$—
|
$626,808,449
|
Australia
|
—
|
11,157,293
|
—
|
11,157,293
|
Denmark
|
—
|
45,870,428
|
—
|
45,870,428
|
France
|
—
|
13,582,978
|
—
|
13,582,978
|
Germany
|
—
|
1,148,566
|
—
|
1,148,566
|
Japan
|
—
|
22,234,388
|
—
|
22,234,388
|
Sweden
|
—
|
2,380,798
|
—
|
2,380,798
|
Switzerland
|
—
|
41,068,044
|
—
|
41,068,044
|
United Kingdom
|
—
|
24,272,400
|
—
|
24,272,400
|
Total
|
$626,808,449
|
$161,714,895
|
$—
|
$788,523,344
|
1
|
As categorized in the Portfolio Holdings.
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
COMMON STOCKS 100.3% OF NET ASSETS
|
||
|
||
Australia 6.3%
|
||
ANZ Group Holdings Ltd.
|
206,416
|
3,642,082
|
Aristocrat Leisure Ltd.
|
153,174
|
4,416,100
|
BHP Group Ltd.
|
267,183
|
8,174,199
|
BlueScope Steel Ltd.
|
41,000
|
626,001
|
Commonwealth Bank of Australia
|
40,263
|
3,070,231
|
Fortescue Ltd.
|
321,838
|
6,220,082
|
JB Hi-Fi Ltd.
|
15,200
|
565,477
|
Macquarie Group Ltd.
|
23,114
|
2,852,023
|
National Australia Bank Ltd.
|
108,648
|
2,291,429
|
Qantas Airways Ltd. *
|
385,482
|
1,389,802
|
Technology One Ltd.
|
205,762
|
2,102,308
|
|
|
35,349,734
|
|
||
Austria 1.0%
|
||
Erste Group Bank AG
|
23,066
|
993,646
|
Wienerberger AG
|
131,042
|
4,440,747
|
|
|
5,434,393
|
|
||
Belgium 0.1%
|
||
Colruyt Group NV
|
16,581
|
757,553
|
|
||
Brazil 0.2%
|
||
Vale SA
|
94,900
|
1,297,922
|
|
||
Canada 2.0%
|
||
CGI, Inc. *
|
66,709
|
7,470,495
|
Imperial Oil Ltd.
|
51,700
|
2,982,138
|
Suncor Energy, Inc.
|
27,900
|
923,878
|
|
|
11,376,511
|
|
||
China 0.7%
|
||
COSCO SHIPPING Holdings Co. Ltd.,
H Shares
|
1,977,500
|
2,077,615
|
Tencent Holdings Ltd.
|
57,500
|
1,995,900
|
|
|
4,073,515
|
|
||
Denmark 5.2%
|
||
Novo Nordisk AS, Class B
|
221,307
|
25,296,361
|
Pandora AS
|
19,126
|
2,794,632
|
Rockwool AS, B Shares
|
4,210
|
1,147,759
|
|
|
29,238,752
|
|
||
France 12.1%
|
||
BNP Paribas SA
|
35,323
|
2,373,146
|
Cie de Saint-Gobain SA
|
127,447
|
9,011,335
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Cie Generale des Etablissements Michelin
SCA
|
227,505
|
7,553,771
|
Eiffage SA
|
55,801
|
5,838,468
|
Engie SA
|
351,374
|
5,612,311
|
Hermes International SCA
|
1,695
|
3,575,872
|
Ipsen SA
|
57,701
|
6,652,874
|
Klepierre SA
|
41,000
|
1,061,518
|
L'Oreal SA
|
25,318
|
12,116,031
|
LVMH Moet Hennessy Louis Vuitton SE
|
5,204
|
4,330,033
|
Sanofi SA
|
22,454
|
2,248,668
|
Schneider Electric SE
|
14,200
|
2,789,590
|
Societe Generale SA
|
127,605
|
3,280,089
|
TotalEnergies SE
|
28,969
|
1,879,381
|
|
|
68,323,087
|
|
||
Germany 9.1%
|
||
Allianz SE
|
17,113
|
4,572,182
|
Bayerische Motoren Werke AG
|
22,220
|
2,312,060
|
Deutsche Telekom AG
|
209,837
|
5,151,039
|
Fresenius SE & Co. KGaA
|
38,820
|
1,089,787
|
Heidelberg Materials AG
|
107,711
|
9,946,512
|
Infineon Technologies AG
|
85,787
|
3,127,530
|
Mercedes-Benz Group AG
|
57,599
|
3,888,668
|
SAP SE
|
55,888
|
9,682,405
|
Siemens AG
|
52,477
|
9,394,634
|
Vonovia SE
|
72,567
|
2,260,633
|
|
|
51,425,450
|
|
||
Hong Kong 0.8%
|
||
China Medical System Holdings Ltd.
|
366,000
|
523,026
|
NetEase, Inc.
|
57,000
|
1,107,972
|
PetroChina Co. Ltd., H Shares
|
3,942,000
|
2,851,507
|
|
|
4,482,505
|
|
||
Israel 0.3%
|
||
Check Point Software Technologies Ltd. *
|
11,600
|
1,843,588
|
|
||
Italy 4.0%
|
||
A2A SpA
|
335,375
|
664,936
|
Assicurazioni Generali SpA
|
61,244
|
1,366,165
|
Enel SpA
|
899,393
|
6,136,896
|
Stellantis NV
|
335,309
|
7,385,732
|
UniCredit SpA
|
102,000
|
2,987,790
|
Unipol Gruppo SpA
|
682,764
|
4,239,696
|
|
|
22,781,215
|
|
||
Japan 22.6%
|
||
Dai-ichi Life Holdings, Inc.
|
69,000
|
1,513,361
|
Daiwa House Industry Co. Ltd.
|
36,000
|
1,113,190
|
Denso Corp.
|
148,000
|
2,324,791
|
Disco Corp.
|
7,300
|
1,969,824
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Fast Retailing Co. Ltd.
|
10,400
|
2,776,558
|
Fujikura Ltd.
|
327,800
|
2,694,683
|
Hikari Tsushin, Inc.
|
3,600
|
627,299
|
Hitachi Ltd.
|
101,000
|
7,933,585
|
Honda Motor Co. Ltd.
|
297,000
|
3,319,884
|
Hoya Corp.
|
65,803
|
8,358,894
|
Inpex Corp.
|
298,100
|
4,051,911
|
Japan Exchange Group, Inc.
|
236,700
|
5,238,574
|
Japan Post Insurance Co. Ltd.
|
49,100
|
919,244
|
Japan Tobacco, Inc.
|
157,782
|
4,158,721
|
Lawson, Inc.
|
158,500
|
9,072,238
|
Makita Corp.
|
45,100
|
1,213,866
|
Mitsubishi Corp.
|
111,900
|
1,928,590
|
Mitsui Fudosan Co. Ltd.
|
77,000
|
1,932,990
|
Nexon Co. Ltd.
|
105,400
|
1,682,081
|
Nippon Building Fund, Inc.
|
325
|
1,314,985
|
Nippon Yusen KK
|
50,000
|
1,723,043
|
Nomura Holdings, Inc.
|
520,000
|
2,800,796
|
Obic Co. Ltd.
|
4,370
|
671,274
|
Ono Pharmaceutical Co. Ltd.
|
208,100
|
3,750,821
|
Oracle Corp.
|
38,500
|
3,034,152
|
ORIX Corp.
|
345,300
|
6,667,489
|
Panasonic Holdings Corp.
|
274,900
|
2,589,222
|
Persol Holdings Co. Ltd.
|
473,200
|
752,251
|
Recruit Holdings Co. Ltd.
|
155,400
|
6,138,100
|
Sega Sammy Holdings, Inc.
|
224,400
|
3,302,630
|
Sekisui House Ltd. (a)
|
102,000
|
2,302,568
|
Shimamura Co. Ltd.
|
10,600
|
1,162,910
|
Sompo Holdings, Inc.
|
29,200
|
1,514,062
|
Sony Group Corp.
|
37,800
|
3,706,982
|
Sumitomo Mitsui Financial Group, Inc.
|
156,100
|
8,119,284
|
Tokio Marine Holdings, Inc.
|
59,000
|
1,555,678
|
Tokyo Electron Ltd.
|
25,400
|
4,713,539
|
Tokyo Gas Co. Ltd.
|
97,000
|
2,228,271
|
Toyo Suisan Kaisha Ltd.
|
43,000
|
2,239,073
|
Toyota Motor Corp.
|
237,000
|
4,732,372
|
|
|
127,849,786
|
|
||
Netherlands 5.8%
|
||
ABN AMRO Bank NV, GDR
|
133,499
|
1,964,756
|
ASML Holding NV
|
24,119
|
20,925,352
|
Koninklijke Ahold Delhaize NV
|
177,725
|
4,998,187
|
Wolters Kluwer NV
|
32,932
|
4,854,738
|
|
|
32,743,033
|
|
||
Norway 0.4%
|
||
Equinor ASA
|
68,221
|
1,952,286
|
Norsk Hydro ASA
|
85,717
|
502,345
|
|
|
2,454,631
|
|
||
Republic of Korea 1.4%
|
||
Doosan Bobcat, Inc.
|
72,614
|
2,765,433
|
Kia Corp. *
|
62,597
|
4,808,142
|
|
|
7,573,575
|
|
||
Singapore 0.8%
|
||
Jardine Cycle & Carriage Ltd.
|
104,500
|
2,016,435
|
Jardine Matheson Holdings Ltd.
|
63,600
|
2,553,801
|
|
|
4,570,236
|
|
||
Spain 1.7%
|
||
Banco Bilbao Vizcaya Argentaria SA
|
249,581
|
2,335,938
|
Banco Santander SA
|
1,078,329
|
4,333,868
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
Endesa SA
|
105,189
|
2,083,999
|
Industria de Diseno Textil SA
|
24,116
|
1,031,137
|
|
|
9,784,942
|
|
||
Sweden 1.5%
|
||
Assa Abloy AB, B Shares
|
26,900
|
737,752
|
Atlas Copco AB, A Shares
|
237,205
|
3,785,653
|
Investor AB, B Shares
|
67,688
|
1,593,698
|
Nordea Bank Abp
|
144,421
|
1,779,828
|
SSAB AB, A Shares
|
85,965
|
668,791
|
|
|
8,565,722
|
|
||
Switzerland 8.8%
|
||
ABB Ltd.
|
57,000
|
2,411,773
|
Holcim AG *
|
119,580
|
9,133,380
|
Logitech International SA
|
42,871
|
3,594,016
|
Nestle SA
|
75,127
|
8,560,761
|
Novartis AG
|
161,239
|
16,674,324
|
Partners Group Holding AG
|
706
|
952,518
|
Roche Holding AG
|
17,766
|
5,058,271
|
UBS Group AG
|
103,535
|
3,099,072
|
|
|
49,484,115
|
|
||
Taiwan 1.3%
|
||
MediaTek, Inc.
|
89,000
|
2,746,328
|
Taiwan Semiconductor Manufacturing Co.
Ltd.
|
237,000
|
4,744,383
|
|
|
7,490,711
|
|
||
United Kingdom 14.2%
|
||
AstraZeneca PLC
|
17,265
|
2,288,939
|
BAE Systems PLC
|
367,128
|
5,468,909
|
Centrica PLC
|
1,578,971
|
2,763,277
|
CRH PLC
|
58,324
|
4,137,599
|
Games Workshop Group PLC
|
28,587
|
3,588,414
|
Glencore PLC
|
788,625
|
4,172,582
|
GSK PLC
|
336,163
|
6,648,542
|
Hikma Pharmaceuticals PLC
|
71,900
|
1,754,148
|
Howden Joinery Group PLC
|
249,394
|
2,525,584
|
HSBC Holdings PLC
|
962,192
|
7,512,509
|
Imperial Brands PLC
|
180,648
|
4,336,478
|
Investec PLC
|
401,314
|
2,612,761
|
Legal & General Group PLC
|
830,297
|
2,670,602
|
Man Group PLC
|
794,733
|
2,387,989
|
NatWest Group PLC
|
597,172
|
1,685,302
|
Next PLC
|
58,557
|
6,251,341
|
RELX PLC
|
72,000
|
2,971,732
|
Rio Tinto PLC
|
38,893
|
2,692,151
|
Shell PLC
|
299,996
|
9,300,568
|
Tesco PLC
|
762,547
|
2,763,180
|
Unilever PLC
|
28,498
|
1,386,719
|
|
|
79,919,326
|
Total Common Stocks
(Cost $459,802,076)
|
566,820,302
|
SECURITY
|
NUMBER
OF SHARES
|
VALUE ($)
|
SHORT-TERM INVESTMENTS 0.7% OF NET ASSETS
|
||
|
||
Money Market Funds 0.7%
|
||
State Street Institutional U.S. Government
Money Market Fund, Premier Class
5.30% (b)
|
1,619,701
|
1,619,701
|
State Street Institutional U.S. Government
Money Market Fund, Premier Class
5.30% (b)(c)
|
2,284,800
|
2,284,800
|
|
|
3,904,501
|
Total Short-Term Investments
(Cost $3,904,501)
|
3,904,501
|
|
Total Investments in Securities
(Cost $463,706,577)
|
570,724,803
|
*
|
Non-income producing security.
|
(a)
|
All or a portion of this security is on loan. Securities on loan were valued at
$2,167,123.
|
(b)
|
The rate shown is the annualized 7-day yield.
|
(c)
|
Security purchased with cash collateral received for securities on loan.
|
GDR —
|
Global Depositary Receipt
|
DESCRIPTION
|
QUOTED PRICES IN
ACTIVE MARKETS FOR
IDENTICAL ASSETS
(LEVEL 1)
|
OTHER SIGNIFICANT
OBSERVABLE INPUTS
(LEVEL 2)
|
SIGNIFICANT
UNOBSERVABLE INPUTS
(LEVEL 3)
|
TOTAL
|
Assets
|
|
|
|
|
Common Stocks1
|
$—
|
$472,382,955
|
$—
|
$472,382,955
|
Brazil
|
1,297,922
|
—
|
—
|
1,297,922
|
Canada
|
11,376,511
|
—
|
—
|
11,376,511
|
Israel
|
1,843,588
|
—
|
—
|
1,843,588
|
United Kingdom
|
5,976,403
|
73,942,923
|
—
|
79,919,326
|
Short-Term Investments1
|
3,904,501
|
—
|
—
|
3,904,501
|
Total
|
$24,398,925
|
$546,325,878
|
$—
|
$570,724,803
|
1
|
As categorized in the Portfolio Holdings.
|