0001398344-23-016751.txt : 20230829 0001398344-23-016751.hdr.sgml : 20230829 20230829105753 ACCESSION NUMBER: 0001398344-23-016751 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20230630 FILED AS OF DATE: 20230829 DATE AS OF CHANGE: 20230829 PERIOD START: 20230930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: MASSMUTUAL SELECT FUNDS CENTRAL INDEX KEY: 0000916053 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-08274 FILM NUMBER: 231219346 BUSINESS ADDRESS: STREET 1: 1295 STATE STREET CITY: SPRINGFIELD STATE: MA ZIP: 01111 BUSINESS PHONE: 413-744-1000 MAIL ADDRESS: STREET 1: 1295 STATE STREET CITY: SPRINGFIELD STATE: MA ZIP: 01111 FORMER COMPANY: FORMER CONFORMED NAME: MASSMUTUAL INSTITUTIONAL FUNDS DATE OF NAME CHANGE: 19931213 0000916053 S000013194 MassMutual Mid Cap Value Fund C000035486 Class A MLUAX C000035487 Administrative Class MLULX C000035488 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MassMutual Total Return Bond Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

   Principal
Amount
   Value 
BONDS & NOTES — 114.4%          
           
BANK LOANS — 1.9%          
Aerospace & Defense — 0.0%          
TransDigm, Inc., 2023 Term Loan I, 3 mo. USD Term SOFR + 3.250%          
8.492% VRN 8/24/28  $190,023   $189,840 
Airlines — 0.0%          
American Airlines, Inc., 2021 Term Loan, 3 mo. USD LIBOR + 4.750%          
10.000% VRN 4/20/28   48,698    49,672 
United Airlines, Inc., 2021 Term Loan B, 3 mo. USD LIBOR + 3.750%          
9.292% VRN 4/21/28   42,032    41,950 
         91,622 
Beverages — 0.0%          
City Brewing Co. LLC, Closing Date Term Loan, 1 mo. USD LIBOR          
0.000% FRN 4/05/28 (a)   27,547    17,768 
Naked Juice LLC          
Term Loan, 1 mo. USD Term SOFR + 3.250%, 3 mo. USD Term SOFR + 3.250%          
8.453% VRN 1/24/29   90,142    83,679 
2nd Lien Term Loan, 3 mo. USD Term SOFR + 6.000%          
11.342% VRN 1/24/30   68,440    53,896 
         155,343 
Chemicals — 0.0%          
Chemours Co., 2018 USD Term Loan B, 1 mo. USD Term SOFR + 1.750%          
6.952% VRN 4/03/25   12,888    12,765 
Zep, Inc., 2017 1st Lien Term Loan, 3 mo. USD LIBOR + 4.000%          
9.242% VRN 8/12/24   257,988    218,257 
         231,022 
Commercial Services — 0.1%          
Creative Artists Agency LLC, 2023 Term Loan B, 1 mo. USD Term SOFR + 3.500%          
8.602% VRN 11/27/28   29,715    29,618 
Element Materials Technology Group U.S. Holdings, Inc.          
2022 USD Term Loan, 3 mo. USD Term SOFR + 4.250%          
9.485% VRN 7/06/29   48,230    47,145 
2022 USD Delayed Draw Term Loan, 3 mo. USD Term SOFR + 4.250%          
9.489% VRN 7/06/29   22,260    21,759 
Pre-Paid Legal Services, Inc., 2021 Term Loan, 1 mo. USD LIBOR + 3.750%          
8.943% VRN 12/15/28   103,285    101,704 
Prime Security Services Borrower LLC, 2021 Term Loan, 1 mo. USD LIBOR + 2.750%          
7.943% VRN 9/23/26   110,543    110,442 
Safe Fleet Holdings LLC, 2022 Term Loan, 1 mo. USD Term SOFR + 3.750%          
8.932% VRN 2/23/29   30,683    30,620 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

    Principal
Amount
    Value  
Spin Holdco, Inc., 2021 Term Loan, 3 mo. USD LIBOR + 4.000%                
9.230% VRN 3/04/28   $ 229,792     $ 196,144  
Trans Union LLC, 2021 Term Loan B6, 1 mo. USD Term SOFR + 2.250%                
7.467% VRN 12/01/28     223,401       222,679  
TruGreen Ltd. Partnership, 2020 Term Loan, 1 mo. USD Term SOFR + 4.000%                
9.202% VRN 11/02/27     56,901       52,235  
              812,346  
Computers — 0.0%                
Amentum Government Services Holdings LLC, Term Loan B, 1 mo. USD Term SOFR + 4.000%                
9.217% VRN 1/29/27     68,808       67,604  
Peraton Corp., Term Loan B, 1 mo. USD Term SOFR + 3.750%                
8.952% VRN 2/01/28     221,157       216,853  
              284,457  
Cosmetics & Personal Care — 0.0%                
Sunshine Luxembourg VII Sarl, 2021 Term Loan B3, 3 mo. USD Term SOFR + 3.750%                
9.092% VRN 10/01/26     114,549       113,791  
Distribution & Wholesale — 0.0%                
Patriot Container Corp., 2018 1st Lien Term Loan, 1 mo. USD Term SOFR                
0.000% FRN 3/20/25 (a)     17,406       15,976  
Diversified Financial Services — 0.1%                
Avolon TLB Borrower 1 (U.S.) LLC                
2023 Term Loan B6,                
0.000% 6/22/28 (a)     148,921       148,735  
Term Loan B3, 1 mo. USD LIBOR + 1.750%                
6.896% VRN 1/15/25     70,325       70,211  
Deerfield Dakota Holding LLC, 2020 USD Term Loan B, 3 mo. USD Term SOFR + 3.750%                
8.992% VRN 4/09/27     140,232       135,824  
Setanta Aircraft Leasing Designated Activity Co., Term Loan B, 3 mo. USD LIBOR + 2.000%                
7.538% VRN 11/05/28     700,000       699,251  
              1,054,021  
Electronics — 0.0%                
II-VI, Inc., 2022 Term Loan B, 1 mo. USD Term SOFR + 2.750%                
7.967% VRN 7/02/29     36,571       36,434  
Entertainment — 0.1%                
Crown Finance US, Inc., 2022 DIP Term Loan, 3 mo. USD Term SOFR + 10.000%                
15.174% - 15.249% VRN 9/07/23     323,835       326,737  
Formula One Holdings Ltd., Term Loan B, 1 mo. USD Term SOFR + 3.000%                
8.102% VRN 1/15/30     14,243       14,236  
PENN Entertainment, Inc., 2022 Term Loan B, 1 mo. USD Term SOFR + 2.750%                
7.952% VRN 5/03/29     52,668       52,448  
Scientific Games International, Inc., 2022 USD Term Loan, 1 mo. USD Term SOFR + 3.000%                
8.248% VRN 4/14/29     106,804       106,520  

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
William Morris Endeavor Entertainment LLC, 2018 1st Lien Term Loan, 1 mo. USD LIBOR + 2.750%          
7.950% VRN 5/18/25  $222,679   $221,879 
         721,820 
Environmental Controls — 0.0%          
Filtration Group Corp.          
2018 1st Lien Term Loan, 3 mo. USD LIBOR          
0.000% FRN3/29/25 (a)   60,323    60,260 
2023 USD Term Loan, 1 mo. USD Term SOFR + 4.250%          
9.326% VRN 10/21/28   20,647    20,621 
         80,881 
Food — 0.1%          
8th Avenue Food & Provisions, Inc., 2018 1st Lien Term Loan, 1 mo. USD Term SOFR + 3.750%          
0.000% VRN 10/01/25 (a)   17,406    15,945 
Dave & Buster's, Inc., 2023 Term Loan,          
0.000% 6/29/29 (a)   39,250    39,054 
H Food Holdings LLC, 2018 Term Loan B, 6 mo. USD LIBOR + 3.687%          
9.269% VRN 5/23/25   31,170    27,330 
Hostess Brands, LLC, 2023 Term Loan B,          
0.000% 6/28/30 (a)   285,238    284,287 
         366,616 
Health Care – Products — 0.1%          
Avantor Funding, Inc., 2021 Term Loan B5, 1 mo. USD Term SOFR + 2.250%          
7.452% VRN 11/08/27   221,024    220,778 
Bausch & Lomb, Inc., Term Loan, 3 mo. USD Term SOFR + 3.250%          
8.592% VRN 5/10/27   228,947    221,793 
Medline Borrower LP, USD Term Loan B, 1 mo. USD Term SOFR + 3.250%          
8.352% VRN 10/23/28   103,688    102,424 
         544,995 
Health Care – Services — 0.0%          
ICON Luxembourg Sarl, LUX Term Loan, 3 mo. USD Term SOFR + 2.250%          
7.753% VRN 7/03/28   103,105    103,046 
IQVIA, Inc., 2018 USD Term Loan B3, 1 mo. USD LIBOR + 1.750%          
7.288% VRN 6/11/25   119,723    119,582 
         222,628 
Home Furnishing — 0.0%          
AI Aqua Merger Sub, Inc., 2021 1st Lien Term Loan B, 1 mo. USD Term SOFR + 3.750%          
8.355% VRN 7/31/28   98,110    96,197 
Insurance — 0.2%          
Acrisure LLC, 2020 Term Loan B, 1 mo. USD LIBOR + 3.500%          
8.693% VRN 2/15/27   196,947    190,827 
AmWINS Group, Inc., 2021 Term Loan B, 1 mo. USD LIBOR + 2.250%          
7.442% VRN 2/19/28   438,475    434,037 
Asurion LLC          
2018 Term Loan B7, 1 mo. USD LIBOR          
0.000% FRN11/03/24 (a)   181,783    181,489 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2020 Term Loan B8, 3 mo. USD LIBOR + 3.250%          
8.788% VRN 12/23/26  $202,727   $194,922 
2022 Term Loan B10, 1 mo. USD Term SOFR + 4.000%          
9.202% VRN 8/19/28   131,744    124,539 
Hub International Ltd., 2021 Term Loan B, 3 mo. USD LIBOR + 3.250%          
8.770% VRN 4/25/25   113,576    113,303 
         1,239,117 
Internet — 0.1%          
Arches Buyer, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 3.250%          
8.452% VRN 12/06/27   64,586    62,224 
MH Sub I LLC, 2023 Term Loan, 1 mo. USD Term SOFR + 4.250%          
9.352% VRN 5/03/28   75,454    72,285 
NortonLifeLock, Inc., 2021 Term Loan A, 1 mo. USD Term SOFR + 1.750%          
6.952% VRN 9/10/27   254,921    249,027 
Proofpoint, Inc., 1st Lien Term Loan, 1 mo. USD LIBOR + 3.250%          
8.467% VRN 8/31/28   9,899    9,677 
         393,213 
Lodging — 0.1%          
Fertitta Entertainment LLC, 2022 Term Loan B, 1 mo. USD Term SOFR + 4.000%          
9.103% VRN 1/27/29   296,250    291,993 
Hilton Domestic Operating Co., Inc., 2019 Term Loan B2, 1 mo. USD Term SOFR + 1.750%          
6.939% VRN 6/22/26   32,149    32,100 
         324,093 
Media — 0.1%          
Charter Communications Operating LLC, 2019 Term Loan B2, 1 mo. USD Term SOFR + 1.750%, 3 mo. USD Term SOFR + 1.750%          
6.795% VRN 2/01/27   96,491    95,848 
CSC Holdings LLC, 2019 Term Loan B5, 1 mo. USD Term SOFR          
0.000% FRN 4/15/27 (a)   113,364    98,748 
DirecTV Financing LLC, Term Loan, 1 mo. USD LIBOR + 5.000%          
10.217% VRN 8/02/27   379,125    370,227 
         564,823 
Metal Fabricate & Hardware — 0.0%          
AZZ, Inc., Term Loan B, 1 mo. USD Term SOFR + 4.250%          
9.355% VRN 5/13/29   22,396    22,389 
Packaging & Containers — 0.1%          
Berry Global, Inc., 2021 Term Loan Z, 1 mo. USD LIBOR + 1.750%          
6.972% VRN 7/01/26   942,660    941,218 
Pharmaceuticals — 0.4%          
Elanco Animal Health, Inc., Term Loan B, 1 mo. USD LIBOR + 1.750%          
7.010% VRN 8/01/27   606,323    594,766 
Gainwell Acquisition Corp., Term Loan B, 3 mo. USD Term SOFR + 4.000%          
9.342% VRN 10/01/27   221,591    217,990 
Grifols Worldwide Operations USA, Inc., USD 2019 Term Loan B, 3 mo. USD Term SOFR + 2.000%          
7.414% VRN 11/15/27   573,383    563,589 
Horizon Therapeutics USA, Inc.          

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Term Loan B1,          
0.000%VRN 5/22/26 (a)  $105,000   $104,812 
2021 Term Loan B2, 1 mo. USD Term SOFR + 1.750%          
6.954% VRN 3/15/28   255,589    254,723 
Jazz Financing Lux Sarl, USD Term Loan, 1 mo. USD LIBOR + 3.500%          
8.864% VRN 5/05/28   382,682    382,066 
Organon & Co., USD Term Loan, 1 mo. USD LIBOR + 3.000%          
8.250% VRN 6/02/28   420,271    419,615 
PRA Health Sciences, Inc., US Term Loan, 3 mo. USD Term SOFR + 2.250%          
7.753% VRN 7/03/28   25,689    25,674 
Prestige Brands, Inc., 2021 Term Loan B5, 1 mo. USD LIBOR + 2.000%          
7.192% VRN 7/03/28   262,500    262,219 
         2,825,454 
Retail — 0.1%          
1011778 BC Unlimited Liability Co., Term Loan B4, 1 mo. USD LIBOR + 1.750%          
6.942% VRN 11/19/26   364,109    361,225 
KFC Holding Co., 2021 Term Loan B, 1 mo. USD LIBOR + 1.750%          
6.896% VRN 3/15/28   101,128    100,167 
Whatabrands LLC, 2021 Term Loan B, 1 mo. USD SOFR + 3.250%,          
8.467% VRN 8/03/28   467,875    464,511 
         925,903 
Semiconductors — 0.0%          
Entegris, Inc., 2023 Term Loan B, 1 mo. USD Term SOFR + 2.750%, 3 mo. USD Term SOFR + 2.750%          
7.903% - 7.989% VRN 7/06/29   51,050    51,083 
Software — 0.1%          
Athenahealth Group, Inc., 2021 Delayed Draw Term Loan, 1 mo. USD Term SOFR + 3.500%          
8.589% VRN 2/15/29   38,296    36,812 
CDK Global, Inc., 2022 USD Term Loan B, 3 mo. USD Term SOFR + 4.250%          
9.492% VRN 7/06/29   132,811    132,351 
DTI Holdco, Inc., 2022 Term Loan, 3 mo. USD Term SOFR + 4.750%          
9.795% VRN 4/26/29   22,907    21,225 
Open Text Corp., 2022 Term Loan B, 1 mo. USD Term SOFR + 3.500%          
8.584% VRN 1/31/30   82,196    82,538 
Oracle Corp., Term Loan A1, 1 mo. USD Term SOFR + 1.600%          
6.777% VRN 8/16/27 (b)   488,855    483,966 
RealPage, Inc., 1st Lien Term Loan, 3 mo. USD Term SOFR + 3.000%          
8.217% VRN 4/24/28   35,637    34,827 
Renaissance Holding Corp., 2023 Refi Term Loan, 1 mo. USD Term SOFR + 4.750%          
10.226% VRN 4/05/30   92,990    91,711 
Sophia, LP, 2021 Term Loan B, 3 mo. USD LIBOR + 3.500%          
9.038% VRN 10/07/27   97,412    96,256 
         979,686 
Telecommunications — 0.2%          
CommScope, Inc., 2019 Term Loan B, 1 mo. USD LIBOR + 3.250%          
8.443% VRN 4/06/26   288,750    276,045 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Frontier Communications Corp., 2021 1st Lien Term Loan, 1 mo. USD LIBOR + 3.750%          
9.000% VRN 5/01/28  $57,128   $55,192 
SBA Senior Finance II LLC, 2018 Term Loan B, 1 mo. USD LIBOR + 1.750%          
6.950% VRN 4/11/25   635,511    635,226 
Zayo Group Holdings, Inc., USD Term Loan, 1 mo. USD Term SOFR + 3.000%          
8.217% VRN 3/09/27   837,204    655,254 
         1,621,717 
Transportation — 0.0%          
Genesee & Wyoming, Inc., Term Loan, 3 mo. USD Term SOFR + 2.000%          
7.342% VRN 12/30/26   100,769    100,612 
           
TOTAL BANK LOANS
(Cost $15,207,405)
        15,007,297 
           
CORPORATE DEBT — 28.5%          
Agriculture — 0.6%          
BAT Capital Corp.          
4.390% 8/15/37   340,000    271,969 
4.540% 8/15/47   2,165,000    1,593,156 
4.758% 9/06/49   86,000    64,922 
5.650% 3/16/52   495,000    430,026 
BAT International Finance PLC          
2.250% 9/09/52 GBP (c) (d)   480,000    238,549 
Imperial Brands Finance PLC          
3.875% 7/26/29 (c)   50,000    44,036 
6.125% 7/27/27 (c)   690,000    691,202 
Reynolds American, Inc.          
5.850% 8/15/45   1,160,000    1,031,593 
         4,365,453 
Airlines — 0.1%          
U.S. Airways Pass-Through Trust, Series 2011-2, Class A,          
7.125% 4/22/25   530,961    529,574 
Auto Manufacturers — 0.1%          
Allison Transmission, Inc.          
3.750% 1/30/31 (c)   475,000    401,267 
Banks — 10.3%          
Bank of America Corp.          
SOFR + 1.370% 1.922% VRN 10/24/31   345,000    273,092 
SOFR + 1.060% 2.087% VRN 6/14/29   1,835,000    1,565,546 
SOFR + 1.220% 2.299% VRN 7/21/32   865,000    691,798 
SOFR + 1.050% 2.551% VRN 2/04/28   2,801,000    2,528,146 
SOFR + 1.210% 2.572% VRN 10/20/32   1,175,000    957,038 
SOFR + 2.150% 2.592% VRN 4/29/31   290,000    243,466 
3 mo. USD Term SOFR + 1.774% 3.705% VRN 4/24/28   1,400,000    1,312,160 
3 mo. USD Term SOFR + 1.837% 3.824% VRN 1/20/28   2,564,000    2,424,382 
3 mo. USD Term SOFR + 1.332% 3.970% VRN 3/05/29   1,670,000    1,563,503 
Citigroup, Inc.          
SOFR + .770% 1.462% VRN 6/09/27   1,225,000    1,087,899 
SOFR + 1.167% 2.561% VRN 5/01/32   1,030,000    841,022 
SOFR + 2.107% 2.572% VRN 6/03/31   1,070,000    892,719 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
SOFR + 1.146% 2.666% VRN 1/29/31  $430,000   $363,992 
SOFR + 1.422% 2.976% VRN 11/05/30   500,000    433,286 
SOFR + 1.351% 3.057% VRN 1/25/33   2,590,000    2,162,326 
SOFR + 3.914% 4.412% VRN 3/31/31   830,000    780,417 
Discover Bank          
4.200% 8/08/23   1,120,000    1,117,808 
Global Bank Corp. 3 mo. USD LIBOR + 3.300%          
5.250% VRN 4/16/29 (c)   200,000    181,534 
Goldman Sachs Group, Inc.          
SOFR + .486% 0.925% VRN 10/21/24   895,000    879,862 
1.217% 12/06/23   2,245,000    2,201,778 
SOFR + .798% 1.431% VRN 3/09/27   2,295,000    2,050,594 
SOFR + .818% 1.542% VRN 9/10/27   485,000    426,268 
SOFR + .913% 1.948% VRN 10/21/27   1,755,000    1,561,122 
SOFR + 1.090% 1.992% VRN 1/27/32   60,000    47,233 
SOFR + 1.248% 2.383% VRN 7/21/32   590,000    472,589 
SOFR + 1.264% 2.650% VRN 10/21/32   85,000    69,286 
HSBC Holdings PLC          
SOFR + 1.732% 2.013% VRN 9/22/28   1,370,000    1,173,958 
SOFR + 1.929% 2.099% VRN 6/04/26   1,480,000    1,369,524 
SOFR + 1.285% 2.206% VRN 8/17/29   1,135,000    949,504 
SOFR + 2.110% 4.755% VRN 6/09/28   1,080,000    1,037,672 
SOFR + 2.650% 6.332% VRN 3/09/44   665,000    689,348 
JP Morgan Chase & Co.          
3 mo. USD Term SOFR + .580% 0.969% VRN 6/23/25   2,650,000    2,515,419 
SOFR + .605% 1.561% VRN 12/10/25   1,890,000    1,769,603 
SOFR + .885% 1.578% VRN 4/22/27   1,360,000    1,221,570 
SOFR + 1.015% 2.069% VRN 6/01/29   350,000    300,170 
SOFR + 1.180% 2.545% VRN 11/08/32   660,000    540,754 
3 mo. USD Term SOFR + 1.250% 2.580% VRN 4/22/32   60,000    49,837 
3 mo. USD Term SOFR + 1.510% 2.739% VRN 10/15/30   540,000    465,168 
SOFR + 1.170% 2.947% VRN 2/24/28   535,000    491,219 
3 mo. USD Term SOFR + 1.382% 4.005% VRN 4/23/29   410,000    385,996 
Lloyds Banking Group PLC          
1 yr. CMT + .850% 1.627% VRN 5/11/27   1,000,000    884,519 
3 mo. USD LIBOR + 1.205% 3.574% VRN 11/07/28   425,000    384,912 
1 yr. CMT + 3.500% 3.870% VRN 7/09/25   415,000    404,205 
1 yr. CMT + 2.300% 4.976% VRN 8/11/33   995,000    930,724 
Macquarie Group Ltd.          
SOFR + 1.069% 1.340% VRN 1/12/27 (c)   920,000    818,898 
SOFR + 1.440% 2.691% VRN 6/23/32 (c)   5,000    3,940 
SOFR + 1.532% 2.871% VRN 1/14/33 (c)   1,335,000    1,066,202 
SOFR + 2.405% 4.442% VRN 6/21/33 (c)   525,000    468,160 
Morgan Stanley          
SOFR + .560% 1.164% VRN 10/21/25   2,885,000    2,696,396 
SOFR + .879% 1.593% VRN 5/04/27   970,000    868,362 
SOFR + 1.020% 1.928% VRN 4/28/32   1,005,000    784,533 
SOFR + 1.178% 2.239% VRN 7/21/32   1,235,000    981,561 
SOFR + 1.360% 2.484% VRN 9/16/36   980,000    743,566 
Natwest Group PLC 3 mo. USD LIBOR + 1.762%          
4.269% VRN 3/22/25   1,710,000    1,679,683 
PNC Financial Services Group, Inc.          
SOFR + 1.933% 5.068% VRN 1/24/34 (e)   715,000    685,657 
SOFR + 1.841% 5.582% VRN 6/12/29   395,000    393,141 
SOFR + 2.140% 6.037% VRN 10/28/33   1,025,000    1,048,957 
Santander U.K. Group Holdings PLC          
SOFR + .787% 1.089% VRN 3/15/25   1,825,000    1,748,405 
1 yr. CMT + 1.250% 1.532% VRN 8/21/26   295,000    262,666 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
SOFR + .989% 1.673% VRN 6/14/27  $340,000   $292,923 
SOFR + 1.220% 2.469% VRN 1/11/28   285,000    248,800 
3 mo. USD LIBOR + 1.570% 4.796% VRN 11/15/24   525,000    520,999 
Santander U.K. PLC          
5.000% 11/07/23 (c)   1,390,000    1,380,770 
U.S. Bancorp          
SOFR + 1.600% 4.839% VRN 2/01/34 (e)   1,575,000    1,471,093 
SOFR + 2.260% 5.836% VRN 6/12/34   455,000    458,292 
SOFR + 2.090% 5.850% VRN 10/21/33   715,000    715,950 
UBS Group AG          
SOFR + .980% 1.305% VRN 2/02/27 (c)   1,315,000    1,148,873 
1 yr. CMT + .850% 1.494% VRN 8/10/27 (c)   395,000    339,238 
SOFR + 1.560% 2.593% VRN 9/11/25 (c)   310,000    295,483 
SOFR + 1.730% 3.091% VRN 5/14/32 (c)   1,990,000    1,609,763 
4.282% 1/09/28 (c)   345,000    318,850 
SOFR + 3.340% 6.373% VRN 7/15/26 (c)   510,000    506,779 
SOFR + 3.920% 6.537% VRN 8/12/33 (c)   4,055,000    4,153,992 
SOFR + 5.020% 9.016% VRN 11/15/33 (c)   2,275,000    2,726,902 
Wells Fargo & Co.          
SOFR + 2.100% 2.393% VRN 6/02/28   1,370,000    1,220,849 
SOFR + 1.500% 3.350% VRN 3/02/33   3,530,000    3,021,163 
SOFR + 1.510% 3.526% VRN 3/24/28   1,800,000    1,680,029 
3 mo. USD Term SOFR + 1.572% 3.584% VRN 5/22/28   1,345,000    1,252,656 
SOFR + 2.100% 4.897% VRN 7/25/33   795,000    762,574 
         81,069,073 
Beverages — 0.1%          
Bacardi Ltd.          
5.300% 5/15/48 (c)   275,000    258,774 
Triton Water Holdings, Inc.          
6.250% 4/01/29 (c) (e)   450,000    386,199 
         644,973 
Biotechnology — 0.3%          
Amgen, Inc.          
5.250% 3/02/33   725,000    725,925 
5.600% 3/02/43   725,000    727,194 
5.650% 3/02/53   875,000    886,117 
Grifols Escrow Issuer SA          
4.750% 10/15/28 (c) (e)   230,000    199,612 
         2,538,848 
Chemicals — 0.3%          
International Flavors & Fragrances, Inc.          
2.300% 11/01/30 (c)   1,685,000    1,335,250 
3.268% 11/15/40 (c)   350,000    244,768 
5.000% 9/26/48   430,000    363,952 
SK Invictus Intermediate II Sarl          
5.000% 10/30/29 (c)   80,000    63,570 
         2,007,540 
Commercial Services — 0.2%          
Adtalem Global Education, Inc.          
5.500% 3/01/28 (c)   85,000    77,137 
Global Payments, Inc.          
5.400% 8/15/32   365,000    355,669 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
5.950% 8/15/52  $495,000   $473,640 
S&P Global, Inc.          
2.900% 3/01/32   415,000    359,701 
Upbound Group, Inc.          
6.375% 2/15/29 (c) (e)   85,000    75,438 
WASH Multifamily Acquisition, Inc.          
5.750% 4/15/26 (c)   85,000    79,354 
         1,420,939 
Computers — 0.0%          
NCR Corp.          
5.125% 4/15/29 (c)   175,000    154,921 
5.250% 10/01/30 (c)   90,000    78,246 
         233,167 
Diversified Financial Services — 0.9%          
AerCap Ireland Capital DAC/AerCap Global Aviation Trust          
3.300% 1/30/32   2,270,000    1,857,084 
3.875% 1/23/28   265,000    243,634 
Air Lease Corp.          
3.250% 3/01/25   950,000    904,417 
5.850% 12/15/27   905,000    903,784 
Avolon Holdings Funding Ltd.          
2.528% 11/18/27 (c)   1,109,000    934,995 
2.875% 2/15/25 (c)   45,000    41,848 
3.950% 7/01/24 (c)   380,000    368,619 
4.375% 5/01/26 (c)   815,000    761,514 
Capital One Financial Corp. SOFR + 1.790%          
3.273% VRN 3/01/30   1,160,000    984,931 
Discover Financial Services          
3.950% 11/06/24   150,000    144,548 
Park Aerospace Holdings Ltd.          
5.500% 2/15/24 (c)   75,000    74,146 
         7,219,520 
Electric — 2.3%          
Ameren Illinois Co.          
3.700% 12/01/47   480,000    385,590 
Arizona Public Service Co.          
5.550% 8/01/33   830,000    830,600 
Baltimore Gas & Electric Co.          
5.400% 6/01/53   810,000    822,881 
Duke Energy Carolinas LLC          
3.700% 12/01/47   738,000    578,375 
Duke Energy Corp.          
3.750% 9/01/46   471,000    356,275 
Duke Energy Progress LLC          
5.250% 3/15/33   875,000    888,730 
Entergy Louisiana LLC          
3.780% 4/01/25   1,250,000    1,211,245 
Eversource Energy          
4.600% 7/01/27   735,000    716,578 
5.125% 5/15/33   810,000    798,254 
FirstEnergy Transmission LLC          
2.866% 9/15/28 (c)   1,401,000    1,232,906 
5.450% 7/15/44 (c)   600,000    554,822 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Florida Power & Light Co.          
3.990% 3/01/49  $1,000,000   $842,907 
Metropolitan Edison Co.          
4.000% 4/15/25 (c)   985,000    943,053 
MidAmerican Energy Co.          
4.400% 10/15/44   1,905,000    1,662,360 
Mong Duong Finance Holdings BV          
5.125% 5/07/29 (c)   250,000    219,375 
Oncor Electric Delivery Co. LLC          
4.950% 9/15/52 (c)   810,000    781,135 
Public Service Co. of Colorado          
5.250% 4/01/53   770,000    739,500 
Southwestern Electric Power Co.          
3.250% 11/01/51   425,000    285,037 
5.300% 4/01/33   1,030,000    1,016,607 
TenneT Holding BV          
2.750% 5/17/42 EUR (c) (d)   515,000    495,926 
4.500% 10/28/34 EUR (c) (d)   750,000    870,068 
4.750% 10/28/42 EUR (c) (d)   185,000    224,114 
Wisconsin Power & Light Co.          
4.950% 4/01/33   1,535,000    1,518,140 
         17,974,478 
Engineering & Construction — 0.1%          
Artera Services LLC          
9.033% 12/04/25 (c)   257,000    224,875 
Cellnex Finance Co. SA          
2.000% 9/15/32 EUR (c) (d)   300,000    257,028 
         481,903 
Entertainment — 0.5%          
Warnermedia Holdings, Inc.          
5.050% 3/15/42   1,760,000    1,483,447 
5.141% 3/15/52   3,001,000    2,443,558 
         3,927,005 
Environmental Controls — 0.1%          
Waste Pro USA, Inc.          
5.500% 2/15/26 (c)   575,000    533,024 
Food — 0.4%          
JBS USA LUX SA/JBS USA Food Co./JBS USA Finance, Inc.          
3.000% 2/02/29 (c)   730,000    619,047 
3.000% 5/15/32 (c)   410,000    314,655 
6.500% 12/01/52 (c)   900,000    852,931 
Pilgrim's Pride Corp.          
3.500% 3/01/32 (e)   500,000    395,300 
5.875% 9/30/27 (c)   75,000    74,100 
6.250% 7/01/33   720,000    697,386 
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed          
4.625% 3/01/29 (c)   400,000    320,486 
         3,273,905 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Gas — 0.2%          
KeySpan Gas East Corp.          
5.819% 4/01/41 (c)  $1,337,000   $1,283,926 
Health Care – Products — 0.0%          
Embecta Corp.          
5.000% 2/15/30 (c)   64,000    53,138 
Health Care – Services — 1.5%          
Aetna, Inc.          
3.500% 11/15/24   500,000    484,359 
Catalent Pharma Solutions, Inc.          
3.500% 4/01/30 (c)   380,000    307,800 
Centene Corp.          
2.450% 7/15/28   1,951,000    1,667,629 
4.250% 12/15/27   590,000    551,623 
CommonSpirit Health          
2.782% 10/01/30   455,000    382,506 
3.347% 10/01/29   65,000    57,184 
HCA, Inc.          
2.375% 7/15/31   230,000    183,939 
3.500% 9/01/30   859,000    752,956 
4.125% 6/15/29   1,262,000    1,167,841 
5.125% 6/15/39   650,000    602,993 
5.250% 4/15/25   644,000    635,731 
5.250% 6/15/49   485,000    437,630 
5.375% 9/01/26   590,000    585,364 
5.500% 6/15/47   775,000    729,965 
Humana, Inc.          
3.700% 3/23/29   2,050,000    1,877,544 
ModivCare Escrow Issuer, Inc.          
5.000% 10/01/29 (c)   450,000    333,000 
ModivCare, Inc.          
5.875% 11/15/25 (c)   250,000    231,535 
Molina Healthcare, Inc.          
3.875% 11/15/30 (c)   417,000    358,269 
3.875% 5/15/32 (c)   520,000    435,942 
Tenet Healthcare Corp.          
6.750% 5/15/31 (c)   250,000    250,609 
         12,034,419 
Household Products & Wares — 0.0%          
Central Garden & Pet Co.          
5.125% 2/01/28   22,000    20,668 
Insurance — 1.6%          
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer          
6.750% 10/15/27 (c)   90,000    84,600 
Aon Corp./Aon Global Holdings PLC          
3.900% 2/28/52   845,000    663,083 
Athene Global Funding          
1.985% 8/19/28 (c)   2,200,000    1,765,454 
3.205% 3/08/27 (c)   445,000    398,132 
Farmers Exchange Capital II          
3 mo. USD LIBOR + 3.454% 5.454% VRN 10/15/54 (c)   3,290,000    2,892,897 
3 mo. USD LIBOR + 3.744% 6.151% VRN 11/01/53 (c)   350,000    339,951 
Marsh & McLennan Cos., Inc.          
5.750% 11/01/32   545,000    572,824 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Metropolitan Life Global Funding I          
5.150% 3/28/33 (c)  $480,000   $474,719 
Teachers Insurance & Annuity Association of America 3 mo. USD LIBOR + 2.661%          
4.375% VRN 9/15/54 (c)   4,000,000    3,860,981 
Willis North America, Inc.          
5.350% 5/15/33   1,205,000    1,174,971 
         12,227,612 
Internet — 0.4%          
Meta Platforms, Inc.          
4.450% 8/15/52   430,000    373,901 
5.600% 5/15/53   1,235,000    1,268,360 
Northwest Fiber LLC/Northwest Fiber Finance Sub, Inc.          
4.750% 4/30/27 (c)   75,000    66,240 
Tencent Holdings Ltd.          
3.680% 4/22/41 (c)   455,000    351,113 
3.840% 4/22/51 (c)   455,000    334,186 
3.975% 4/11/29 (c)   410,000    381,179 
         2,774,979 
Lodging — 0.1%          
Hyatt Hotels Corp.          
1.800% 10/01/24   930,000    885,163 
Machinery – Diversified — 0.0%          
OT Merger Corp.          
7.875% 10/15/29 (c)   250,000    156,254 
Media — 0.8%          
Cable One, Inc.          
4.000% 11/15/30 (c) (e)   1,085,000    847,656 
Charter Communications Operating LLC/Charter Communications Operating Capital          
3.750% 2/15/28   500,000    458,364 
4.800% 3/01/50   375,000    282,937 
4.908% 7/23/25   1,105,000    1,083,615 
5.250% 4/01/53   250,000    201,921 
5.375% 4/01/38   5,000    4,259 
5.375% 5/01/47   180,000    148,780 
5.750% 4/01/48   1,088,000    931,286 
CSC Holdings LLC          
5.375% 2/01/28 (c)   150,000    120,531 
5.750% 1/15/30 (c)   250,000    118,042 
6.500% 2/01/29 (c)   1,033,000    834,701 
7.500% 4/01/28 (c)   80,000    45,598 
11.250% 5/15/28 (c)   200,000    193,946 
Diamond Sports Group LLC/Diamond Sports Finance Co.          
5.375% 8/15/26 (c)   656,000    22,140 
Time Warner Cable LLC          
5.500% 9/01/41   370,000    307,816 
5.875% 11/15/40   360,000    317,574 
VZ Secured Financing BV          
5.000% 1/15/32 (c)   700,000    563,757 
         6,482,923 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Oil & Gas — 0.4%          
Ecopetrol SA          
8.875% 1/13/33  $100,000   $99,022 
KazMunayGas National Co. JSC          
4.750% 4/19/27 (c)   200,000    189,762 
Occidental Petroleum Corp.          
0.000% 10/10/36   115,000    61,064 
4.500% 7/15/44   400,000    305,000 
Pertamina Persero PT          
3.100% 8/27/30 (c)   675,000    585,012 
Petroleos Mexicanos          
6.625% 6/15/35   2,100,000    1,464,396 
7.690% 1/23/50   295,000    199,961 
Transocean Poseidon Ltd.          
6.875% 2/01/27 (c)   189,313    186,709 
         3,090,926 
Oil & Gas Services — 0.0%          
Archrock Partners LP/Archrock Partners Finance Corp.          
6.250% 4/01/28 (c)   75,000    70,415 
Packaging & Containers — 0.2%          
Berry Global, Inc.          
1.650% 1/15/27   85,000    73,321 
4.875% 7/15/26 (c)   585,000    562,331 
5.500% 4/15/28 (c)   310,000    305,071 
Sealed Air Corp.          
1.573% 10/15/26 (c)   1,200,000    1,043,958 
         1,984,681 
Pharmaceuticals — 1.2%          
AbbVie, Inc.          
4.450% 5/14/46   339,000    298,488 
Bayer U.S. Finance II LLC          
4.375% 12/15/28 (c)   3,281,000    3,112,501 
4.625% 6/25/38 (c)   1,310,000    1,140,598 
4.875% 6/25/48 (c)   220,000    197,855 
Becton Dickinson & Co.          
2.823% 5/20/30   1,735,000    1,517,422 
Cigna Group          
3.400% 3/15/51   210,000    153,077 
CVS Health Corp.          
5.050% 3/25/48   2,360,000    2,175,313 
Kevlar SpA          
6.500% 9/01/29 (c)   675,000    575,437 
         9,170,691 
Pipelines — 0.8%          
Enbridge, Inc.          
5.700% 3/08/33   215,000    217,952 
Energy Transfer LP          
4.950% 6/15/28   1,131,000    1,097,037 
5.350% 5/15/45   370,000    323,361 
5.400% 10/01/47   1,275,000    1,123,750 
5.950% 10/01/43   750,000    699,696 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Galaxy Pipeline Assets Bidco Ltd.          
2.160% 3/31/34 (c)  $354,840   $301,272 
Kinder Morgan, Inc.          
5.550% 6/01/45   565,000    520,518 
Plains All American Pipeline LP/PAA Finance Corp.          
3.550% 12/15/29   228,000    200,911 
Rockies Express Pipeline LLC          
4.950% 7/15/29 (c)   1,000,000    915,000 
6.875% 4/15/40 (c)   745,000    672,370 
Sabine Pass Liquefaction LLC          
4.500% 5/15/30   164,000    155,892 
Southern Gas Corridor CJSC          
6.875% 3/24/26 (c)   400,000    406,080 
         6,633,839 
Real Estate — 0.2%          
Annington Funding PLC          
2.308% 10/06/32 GBP (c) (d)   220,000    193,716 
3.184% 7/12/29 GBP (c) (d)   100,000    101,088 
3.685% 7/12/34 GBP (c) (d)   200,000    190,577 
Blackstone Property Partners Europe Holdings Sarl          
1.625% 4/20/30 EUR (c) (d)   500,000    382,399 
1.750% 3/12/29 EUR (c) (d)   350,000    283,280 
Vonovia Finance BV          
2.250% 4/07/30 EUR (c) (d)   100,000    89,767 
Vonovia SE          
1.500% 6/14/41 EUR (c) (d)   400,000    241,417 
         1,482,244 
Real Estate Investment Trusts (REITS) — 2.4%          
American Assets Trust LP          
3.375% 2/01/31   865,000    675,952 
American Homes 4 Rent LP          
3.625% 4/15/32   1,275,000    1,101,846 
4.300% 4/15/52   375,000    292,025 
American Tower Corp.          
1.000% 1/15/32 EUR (d)   100,000    81,449 
2.700% 4/15/31   195,000    161,699 
5.550% 7/15/33   1,025,000    1,032,030 
5.650% 3/15/33   1,080,000    1,095,138 
CapitaLand Ascendas REIT          
0.750% 6/23/28 EUR (c) (d)   445,000    384,918 
Crown Castle, Inc.          
3.250% 1/15/51   1,004,000    684,301 
CubeSmart LP          
2.000% 2/15/31   730,000    570,829 
Digital Intrepid Holding BV          
0.625% 7/15/31 EUR (c) (d)   1,050,000    794,044 
Extra Space Storage LP          
2.350% 3/15/32   1,075,000    840,064 
3.900% 4/01/29   670,000    610,303 
GLP Capital LP/GLP Financing II, Inc.          
3.250% 1/15/32   9,000    7,267 
4.000% 1/15/30   85,000    73,666 
4.000% 1/15/31   95,000    82,133 
5.300% 1/15/29   620,000    590,335 
5.375% 4/15/26   1,375,000    1,346,007 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Healthcare Realty Holdings LP          
2.000% 3/15/31  $240,000   $184,249 
2.050% 3/15/31   106,000    79,448 
2.400% 3/15/30   615,000    486,693 
3.100% 2/15/30   825,000    706,681 
3.625% 1/15/28   157,000    138,914 
Hudson Pacific Properties LP          
3.250% 1/15/30   160,000    101,250 
3.950% 11/01/27   95,000    69,091 
4.650% 4/01/29 (e)   1,275,000    899,755 
Invitation Homes Operating Partnership LP          
2.000% 8/15/31   940,000    720,144 
2.700% 1/15/34   115,000    86,950 
Life Storage LP          
2.400% 10/15/31   1,040,000    823,901 
Physicians Realty LP          
2.625% 11/01/31   465,000    361,704 
4.300% 3/15/27   105,000    98,847 
Prologis Euro Finance LLC          
4.250% 1/31/43 EUR (d)   710,000    714,966 
Realty Income Corp.          
5.125% 7/06/34 EUR (d) (f)   365,000    397,830 
VICI Properties LP          
4.950% 2/15/30   20,000    18,762 
5.125% 5/15/32   1,029,000    962,778 
5.625% 5/15/52   233,000    207,556 
VICI Properties LP/VICI Note Co., Inc.          
3.750% 2/15/27 (c)   30,000    27,520 
3.875% 2/15/29 (c)   430,000    377,352 
4.125% 8/15/30 (c)   125,000    110,054 
4.500% 9/01/26 (c)   240,000    226,733 
4.500% 1/15/28 (c)   160,000    147,007 
4.625% 6/15/25 (c)   65,000    62,806 
5.750% 2/01/27 (c)   75,000    73,404 
         18,508,401 
Retail — 0.1%          
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.          
6.750% 1/15/30 (c) (e)   203,000    172,761 
Michaels Cos., Inc.          
5.250% 5/01/28 (c)   556,000    449,215 
7.875% 5/01/29 (c)   339,000    228,415 
Papa John's International, Inc.          
3.875% 9/15/29 (c) (e)   233,000    197,234 
         1,047,625 
Savings & Loans — 0.1%          
Nationwide Building Society          
SOFR + 1.290% 2.972% VRN 2/16/28 (c)   720,000    646,714 
3 mo. USD LIBOR + 1.392% 4.363% VRN 8/01/24 (c)   300,000    299,394 
         946,108 
Semiconductors — 0.1%          
Broadcom, Inc.          
2.600% 2/15/33 (c)   412,000    321,975 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.419% 4/15/33 (c)  $420,000   $351,229 
         673,204 
Software — 0.5%          
Open Text Corp.          
6.900% 12/01/27 (c)   125,000    127,254 
Oracle Corp.          
3.800% 11/15/37   200,000    163,521 
3.950% 3/25/51   2,988,000    2,259,293 
6.500% 4/15/38   515,000    548,277 
6.900% 11/09/52   355,000    398,441 
Take-Two Interactive Software, Inc.          
4.000% 4/14/32   810,000    741,958 
         4,238,744 
Telecommunications — 1.6%          
AT&T, Inc.          
3.800% 12/01/57   887,000    642,186 
4.500% 5/15/35   110,000    101,123 
4.850% 3/01/39   366,000    336,695 
5.250% 3/01/37   850,000    829,991 
CommScope, Inc.          
4.750% 9/01/29 (c)   700,000    551,880 
Frontier Communications Holdings LLC          
8.625% 3/15/31 (c)   705,000    682,304 
8.750% 5/15/30 (c)   200,000    195,475 
Intelsat Jackson Holdings S.A., Escrow          
8.500% 10/15/24 (b) (c) (g)   378,000     
9.750% 7/15/25 (b) (c) (g)   1,379,000     
Intelsat Jackson Holdings SA          
6.500% 3/15/30 (c)   1,440,000    1,310,914 
Sprint Capital Corp.          
8.750% 3/15/32   665,000    803,724 
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC          
4.738% 9/20/29 (c)   347,818    343,279 
5.152% 9/20/29 (c)   1,914,250    1,894,045 
T-Mobile USA, Inc.          
2.250% 2/15/26   1,217,000    1,118,247 
2.550% 2/15/31   955,000    793,806 
3.750% 4/15/27   1,270,000    1,202,189 
3.875% 4/15/30   180,000    165,828 
4.375% 4/15/40   840,000    741,798 
Vodafone Group PLC          
4.875% 6/19/49   1,260,000    1,116,002 
         12,829,486 
Transportation — 0.0%          
Transnet SOC Ltd.          
8.250% 2/06/28 (c) (e)   200,000    194,250 
           
TOTAL CORPORATE DEBT
(Cost $242,752,474)
        223,410,365 
           
MUNICIPAL OBLIGATIONS — 0.5%          
City of New York NY, General Obligation,          
3.000% 8/01/34   945,000    787,842 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
County of Miami-Dade FL Aviation Revenue, Revenue Bond,          
2.707% 10/01/33  $375,000   $306,776 
New York City Transitional Finance Authority Future Tax Secured Revenue          
Revenue Bond, 5.130% 2/01/35   1,033,000    1,039,985 
Revenue Bond, 5.150% 2/01/36   1,033,000    1,038,262 
New York State Dormitory Authority, Revenue Bond,          
5.628% 3/15/39   860,000    895,835 
           
TOTAL MUNICIPAL OBLIGATIONS
(Cost $4,346,529)
        4,068,700 
           
NON-U.S. GOVERNMENT AGENCY OBLIGATIONS — 15.2%          
Commercial Mortgage-Backed Securities — 2.5%          
BAMLL Commercial Mortgage Securities Trust          
Series 2019-BPR, Class AMP, 3.287% 11/05/32 (c)   1,920,000    1,754,032 
Series 2018-PARK, Class A, 4.227% VRN 8/10/38 (c) (h)   1,280,000    1,126,322 
BX Commercial Mortgage Trust          
Series 2019-XL, Class A, 1 mo. USD Term SOFR + 1.034% 6.182% FRN 10/15/36 (c)   2,263,222    2,249,103 
Series 2022-CSMO, Class A, 1 mo. USD Term SOFR + 2.115% 7.262% FRN 6/15/27 (c)   1,641,000    1,637,926 
BX Trust          
Series 2019-OC11, Class A, 3.202% 12/09/41 (c)   420,000    358,841 
Series 2022-VAMF, Class C, 1 mo. USD Term SOFR + 1.580% 6.727% FRN 1/15/39 (c)   1,057,000    1,022,667 
Series 2022-PSB, Class D, 1 mo. USD Term SOFR + 4.693% 9.840% FRN 8/15/39 (c)   1,196,107    1,191,815 
Century Plaza Towers, Series 2019-CPT, Class B,          
3.097% VRN 11/13/39 (c) (h)   1,000,000    713,066 
Citigroup Commercial Mortgage Trust, Series 2020-420K, Class D,          
3.422% VRN 11/10/42 (c) (h)   700,000    507,660 
CPT Mortgage Trust, Series 2019-CPT, Class A          
2.865% 11/13/39 (c)   805,000    639,957 
DC Office Trust, Series 2019-MTC, Class A          
2.965% 9/15/45 (c)   860,000    686,707 
Hudson Yards Mortgage Trust          
Series 2019-55HY, Class A, 3.041% VRN 12/10/41 (c) (h)   860,000    719,447 
Series 2019-30HY, Class A, 3.228% 7/10/39 (c)   880,000    753,175 
JP Morgan Chase Commercial Mortgage Securities Trust          
Series 2019-OSB, Class A, 3.397% 6/05/39 (c)   900,000    776,461 
Series 2021-HTL5, Class A, 1 mo. USD LIBOR + 1.115% 6.309% FRN 11/15/38 (c)   2,138,000    2,085,921 
MKT Mortgage Trust, Series 2020-525M, Class A          
2.694% 2/12/40 (c)   570,000    425,055 
One Bryant Park Trust, Series 2019-OBP, Class A          
2.516% 9/15/54 (c)   1,085,000    880,845 
RBS Commercial Funding, Inc. Trust, Series 2013-GSP, Class A,          
3.961% VRN 1/15/32 (c) (h)   640,000    617,906 
SFAVE Commercial Mortgage Securities Trust, Series 2015-5AVE, Class A2B,          
4.144% VRN 1/05/43 (c) (h)   50,000    33,899 
TTAN, Series 2021-MHC, Class E, 1 mo. USD LIBOR + 2.400%          
7.594% FRN 3/15/38 (c)   1,180,801    1,133,618 
         19,314,423 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Home Equity Asset-Backed Securities — 0.7%          
Argent Securities, Inc. Asset-Backed Pass-Through Certificates, Series 2005-W2, Class M1, 1 mo. USD LIBOR + .735%          
5.885% FRN 10/25/35  $1,631,419   $1,562,803 
Morgan Stanley Capital I, Inc. Trust, Series 2006-HE1, Class A4, 1 mo. USD LIBOR + .580%          
5.730% FRN 1/25/36   1,808,831    1,706,425 
Option One Mortgage Loan Trust, Series 2006-3, Class 1A1, 1 mo. USD LIBOR + .140%          
5.290% FRN 2/25/37   3,534,783    2,241,964 
         5,511,192 
Other Asset-Backed Securities — 4.0%          
AGL CLO Ltd., Series 2021-13A, Class A1, 3 mo. USD LIBOR + 1.160%          
6.410% FRN 10/20/34 (c)   2,400,000    2,359,075 
AIG CLO Ltd., Series 2019-2A, Class BR, 3 mo. USD LIBOR + 1.600%          
6.855% FRN 10/25/33 (c)   2,400,000    2,340,485 
Aimco CLO Ltd., Series 2020-11A, Class AR, 3 mo. USD LIBOR + 1.130%          
6.390% FRN 10/17/34 (c)   2,075,000    2,037,005 
Arbor Realty Commercial Real Estate Notes Ltd., Series 2021-FL3, Class A, 1 mo. USD LIBOR + 1.070%          
6.263% FRN 8/15/34 (c)   2,018,000    1,968,867 
CIM Trust, Series 2023-NR1, Class A1,          
6.000% STEP 6/25/62 (c)   3,775,203    3,601,421 
Countrywide Asset-Backed Certificates Trust          
Series 2007-7, Class 1A, 1 mo. USD LIBOR + .200% 5.350% FRN 10/25/47   2,719,721    2,567,567 
Series 2004-5, Class M1, 1 mo. USD LIBOR + .855% 6.005% FRN 8/25/34   115,928    113,749 
First Franklin Mortgage Loan Trust, Series 2005-FF9, Class A4, US0001M + .720%          
5.870% FRN 10/25/35   10,995    10,998 
Flatiron CLO Ltd., Series 2021-1A, Class B, 3 mo. USD LIBOR + 1.600%          
6.865% FRN 7/19/34 (c)   2,400,000    2,340,415 
GoldenTree Loan Opportunities Ltd., Series 2014-9A, Class AR2, 3 mo. USD LIBOR + 1.110%          
6.409% FRN 10/29/29 (c)   1,345,582    1,341,142 
GSAMP Trust, Series 2006-HE1, Class M1, 1 mo. USD LIBOR + .585%          
5.735% FRN 1/25/36   513,516    508,805 
Magnetite Ltd., Series 2012-7A, Class A1R2, 3 mo. USD LIBOR + .800%          
6.060% FRN 1/15/28 (c)   1,048,703    1,041,863 
Morgan Stanley Capital I, Inc. Trust, Series 2006-NC2, Class A2D, 1 mo. USD LIBOR + .580%          
5.730% FRN 2/25/36   1,412,105    1,364,175 
New Economy Assets Phase 1 Sponsor LLC, Series 2021-1, Class A1          
1.910% 10/20/61 (c)   1,646,000    1,398,350 
Progress Residential Trust          
Series 2021-SFR8, Class C, 1.931% 10/17/38 (c)   2,500,000    2,156,149 
Series 2020-SFR3, Class F, 2.796% 10/17/27 (c)   860,000    758,497 
Series 2021-SFR10, Class F, 4.608% 12/17/40 (c)   1,156,996    969,127 
Rockford Tower CLO Ltd., Series 2019-1A, Class AR, 3 mo. USD LIBOR + 1.120%          
6.370% FRN 4/20/34 (c)   2,435,000    2,385,414 
VOLT CIII LLC, Series 2021-CF1, Class A1,          
1.992% STEP 8/25/51 (c)   2,312,119    2,146,367 
         31,409,471 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Student Loans Asset-Backed Securities — 1.6%          
Access Group, Inc., Series 2015-1, Class A, 1 mo. USD LIBOR + .700%          
5.850% FRN 7/25/56 (c)  $1,172,568   $1,122,242 
Education Loan Asset-Backed Trust I, Series 2013-1, Class A2, 1 mo. USD LIBOR + .800%          
5.950% FRN 4/26/32 (c)   1,632,880    1,616,674 
Nelnet Student Loan Trust, Series 2006-1, Class A6, 3 mo. USD LIBOR + .450%          
5.843% FRN 8/23/36 (c)   1,470,044    1,443,390 
SLM Student Loan Trust          
Series 2014-1, Class A3, 1 mo. USD LIBOR + .600% 5.750% FRN 2/26/29   1,229,887    1,176,023 
Series 2012-7, Class A3, 1 mo. USD LIBOR + .650% 5.800% FRN 5/26/26   2,132,740    2,038,154 
Series 2008-5, Class B, 3 mo. USD LIBOR + 1.850% 7.105% FRN 7/25/73   3,735,000    3,684,506 
Wachovia Student Loan Trust, Series 2006-1, Class A6, 3 mo. USD LIBOR + .170%          
5.425% FRN 4/25/40 (c)   1,494,059    1,429,735 
         12,510,724 
Whole Loan Collateral Collateralized Mortgage Obligations — 6.4%          
Ajax Mortgage Loan Trust          
Series 2019-F, 2.860% STEP 7/25/59 (c)   1,699,931    1,578,089 
Series 2022-B, Class A1, 3.500% STEP 3/27/62 (c)   2,865,059    2,629,850 
American Home Mortgage Investment Trust, Series 2006-1, Class 12A1, 1 mo. USD LIBOR + .400%          
5.550% FRN 3/25/46   1,384,664    1,163,710 
Bear Stearns Trust, Series 2005-4, Class 25A1,          
4.305% VRN 5/25/35 (h)   626,404    567,242 
BINOM Securitization Trust, Series 2022-RPL1, Class A1,          
3.000% VRN 2/25/61 (c) (h)   2,666,949    2,402,274 
CIM Trust, Series 2021-J3, Class A1,          
2.500% VRN 6/25/51 (c) (h)   4,418,379    3,555,932 
Citigroup Mortgage Loan Trust, Series 2006-AR2, Class 1A2,          
4.047% VRN 3/25/36 (h)   2,167    2,001 
Credit Suisse Mortgage Trust          
Series 2021-NQM6, Class A1, 1.174% VRN 7/25/66 (c) (h)   3,036,823    2,416,513 
Series 2018-RPL9, Class A, 3.850% VRN 9/25/57 (c) (h)   1,525,436    1,411,956 
First Horizon Alternative Mortgage Securities Trust, Series 2005-AA9, Class 2A1,          
5.438% VRN 11/25/35 (h)   1,175,892    994,534 
GS Mortgage-Backed Securities Trust, Series 2022-PJ6 , Class A4,          
3.000% VRN 1/25/53 (c) (h)   4,139,008    3,470,462 
HarborView Mortgage Loan Trust          
Series 2006-10, Class 1A1A, 1 mo. USD LIBOR + .200% 5.357% FRN 11/19/36   2,609,239    1,894,881 
Series 2007-6, Class 1A1A, 1 mo. USD LIBOR + .200% 5.357% FRN 8/19/37   2,328,204    1,838,792 
HomeBanc Mortgage Trust, Series 2005-5, Class A1, 1 mo. USD LIBOR + .520%          
5.670% FRN 1/25/36   1,803,926    1,708,893 
JP Morgan Mortgage Trust          
Series 2021-13, Class A3, 2.500% VRN 4/25/52 (c) (h)   3,731,304    2,998,307 
Series 2005-A5, Class 1A2, 3.613% VRN 8/25/35 (h)   76,641    71,988 
MASTR Adjustable Rate Mortgages Trust, Series 2004-3, Class 4A1,          
3.461% VRN 4/25/34 (h)   470,009    409,325 
Onslow Bay Mortgage Loan Trust, Series 2021-NQM4, Class A1,          
1.957% VRN 10/25/61 (c) (h)   3,832,609    3,084,675 
Preston Ridge Partners Mortgage LLC          

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2021-5, Class A1, 1.793% STEP 6/25/26 (c)  $3,557,569   $3,212,682 
Series 2021-6, Class A1, 1.793% STEP 7/25/26 (c)   1,548,776    1,433,135 
Series 2022-1, Class A1, 3.720% STEP 2/25/27 (c)   3,520,220    3,340,405 
Series 2022-4, Class A1, 5.000% STEP 8/25/27 (c)   832,516    791,838 
Residential Accredit Loans, Inc. Trust, Series 2006-QA7, Class 2A1, 1 mo. USD LIBOR + .370%          
5.520% FRN 8/25/36   483,099    411,257 
Residential Asset Securitization Trust, Series 2006-A14C, Class 1A1          
6.250% 12/25/36   1,840,914    1,349,419 
Structured Asset Mortgage Investments Trust, Series 2006-AR1, Class 3A1, 1 mo. USD LIBOR + .460%          
5.610% FRN 2/25/36   1,378,145    1,120,808 
Washington Mutual Mortgage Pass-Through Certificates Trust          
Series 2006-AR12, Class 1A4, 3.816% VRN 10/25/36 (h)   3,869,056    3,380,132 
Series 2005-AR2, Class 2A1A, 1 mo. USD LIBOR + .620% 5.770% FRN 1/25/45   452,666    440,364 
Series 2005-7, Class 4CB, 7.000% 8/25/35   2,414,586    1,878,441 
Wells Fargo Mortgage-Backed Securities Trust, Series 2007-AR3, Class A4,          
4.628% VRN 4/25/37 (h)   741,614    634,164 
         50,192,069 
           
TOTAL NON-U.S. GOVERNMENT AGENCY OBLIGATIONS
(Cost $125,457,183)
        118,937,879 
           
SOVEREIGN DEBT OBLIGATIONS — 0.6%          
Brazilian Government International Bonds          
3.875% 6/12/30   730,000    646,404 
Chile Government International Bonds          
2.550% 1/27/32 (e)   400,000    341,504 
Colombia Government International Bonds          
4.500% 3/15/29   200,000    174,963 
Dominican Republic International Bonds          
4.500% 1/30/30 (c)   440,000    385,066 
Guatemala Government Bonds          
3.700% 10/07/33 (c)   300,000    241,502 
Hungary Government International Bonds          
2.125% 9/22/31 (c)   250,000    192,901 
5.250% 6/16/29 (c)   200,000    194,246 
Mexico Government International Bonds          
2.659% 5/24/31 (e)   413,000    343,329 
4.750% 4/27/32   200,000    190,548 
Oman Government International Bonds          
6.750% 10/28/27 (c)   200,000    206,520 
Pakistan Government International Bonds          
2.252% 9/29/32 (e)   200,000    152,633 
3.160% 1/23/30   425,000    371,664 
Paraguay Government International Bonds          
4.950% 4/28/31 (c)   200,000    191,782 
Peruvian Government International Bonds          
2.844% 6/20/30   200,000    175,024 
4.125% 8/25/27   254,000    246,743 
Poland Government International Bonds          
4.875% 10/04/33   200,000    196,192 
5.750% 11/16/32   43,000    45,064 
Romania Government International Bonds          
3.000% 2/14/31 (c)   270,000    223,476 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
South Africa Government International Bonds          
5.875% 4/20/32  $200,000   $176,900 
         4,696,461 
           
TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $5,245,264)
        4,696,461 
           
U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES (i) — 40.1%          
Collateralized Mortgage Obligations — 2.7%          
Federal Home Loan Banks          
5.300% 5/22/24   8,450,000    8,411,279 
5.370% 5/21/24   8,300,000    8,265,244 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates
Series K155, Class A3 3.750% 4/25/33
   2,115,000    1,954,789 
Federal National Mortgage Association REMICS          
Series 2018-43, Class CT, 3.000% 6/25/48   537,042    481,014 
Series 2018-54, Class KA, 3.500% 1/25/47   377,465    362,908 
Series 2018-55, Class PA, 3.500% 1/25/47   391,709    376,602 
Series 2018-38, Class PA, 3.500% 6/25/47   610,217    576,066 
Government National Mortgage Association          
Series 2018-124, Class NW, 3.500% 9/20/48   511,104    471,072 
Series 2019-15, Class GT, 3.500% 2/20/49   538,875    498,376 
         21,397,350 
Pass-Through Securities — 36.8%          
Federal Home Loan Mortgage Corp.          
Pool #SD8193 2.000% 2/01/52   4,068,539    3,320,572 
Pool #SD8199 2.000% 3/01/52   2,152,670    1,756,247 
Pool #QE0312 2.000% 4/01/52   1,959,949    1,599,016 
Pool #SD8147 2.500% 5/01/51 (f)   3,253,148    2,763,682 
Pool #SD8189 2.500% 1/01/52   2,311,617    1,961,646 
Pool #SD8194 2.500% 2/01/52   3,785,509    3,212,396 
Pool #SD8200 2.500% 3/01/52   2,268,941    1,925,431 
Pool #SD8205 2.500% 4/01/52   4,028,927    3,416,128 
Pool #SD8212 2.500% 5/01/52   3,932,907    3,334,713 
Pool #G18596 3.000% 4/01/31   223,783    213,134 
Pool #G18691 3.000% 6/01/33   82,765    78,387 
Pool #G08710 3.000% 6/01/46   54,957    49,307 
Pool #G08715 3.000% 8/01/46   1,176,095    1,055,185 
Pool #G08721 3.000% 9/01/46   158,584    142,281 
Pool #G08726 3.000% 10/01/46   2,122,822    1,904,583 
Pool #G08732 3.000% 11/01/46   1,503,972    1,346,534 
Pool #G08741 3.000% 1/01/47   1,021,517    914,584 
Pool #G18713 3.500% 11/01/33   616,456    590,794 
Pool #G16756 3.500% 1/01/34   246,242    235,838 
Pool #G60038 3.500% 1/01/44   523,248    488,096 
Pool #G07848 3.500% 4/01/44   4,064,559    3,790,057 
Pool #G07924 3.500% 1/01/45   1,107,605    1,031,862 
Pool #G60138 3.500% 8/01/45   2,327,648    2,178,657 
Pool #G08711 3.500% 6/01/46   903,607    837,578 
Pool #G08716 3.500% 8/01/46   1,296,365    1,200,422 
Pool #G67706 3.500% 12/01/47   1,283,708    1,195,922 
Pool #G08792 3.500% 12/01/47   1,096,646    1,013,770 
Pool #G67707 3.500% 1/01/48   1,510,817    1,412,694 
Pool #G67709 3.500% 3/01/48   3,630,095    3,377,315 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #G67711 4.000% 3/01/48  $413,362   $396,874 
Pool #G67713 4.000% 6/01/48   1,078,306    1,034,286 
Pool #G67714 4.000% 7/01/48   1,492,167    1,432,185 
Pool #G67717 4.000% 11/01/48   1,329,359    1,275,921 
Pool #G08843 4.500% 10/01/48   481,364    470,379 
Pool #G08826 5.000% 6/01/48   155,135    154,711 
Pool #G08844 5.000% 10/01/48   53,698    53,532 
Federal National Mortgage Association          
Pool #MA4093 2.000% 8/01/40   804,802    687,781 
Pool #MA4152 2.000% 10/01/40   3,029,645    2,589,122 
Pool #MA4176 2.000% 11/01/40   2,195,878    1,876,588 
Pool #MA4333 2.000% 5/01/41   655,919    557,676 
Pool #MA4158 2.000% 10/01/50 (f)   2,882,948    2,363,753 
Pool #BT9728 2.000% 10/01/51   4,984,683    4,069,848 
Pool #BQ6913 2.000% 12/01/51   4,249,627    3,469,697 
Pool #CB2767 2.000% 1/01/52   4,105,449    3,355,828 
Pool #CB2766 2.000% 2/01/52   2,776,799    2,271,514 
Pool #FS1598 2.000% 4/01/52   4,133,267    3,372,108 
Pool #BL6060 2.455% 4/01/40   1,265,000    904,614 
Pool #MA4548 2.500% 2/01/52   3,813,858    3,236,453 
Pool #MA4563 2.500% 3/01/52   3,910,270    3,318,268 
Pool #MA3029 3.000% 6/01/32   222,850    211,153 
Pool #MA1607 3.000% 10/01/33   1,675,238    1,577,662 
Pool #BN7755 3.000% 9/01/49   1,730,138    1,546,642 
Pool #BO2259 3.000% 10/01/49   2,980,313    2,659,569 
Pool #MA3811 3.000% 10/01/49   466,599    408,509 
Pool #MA4579 3.000% 4/01/52   3,802,532    3,348,442 
Pool #AB4262 3.500% 1/01/32   1,154,679    1,103,692 
Pool #MA1148 3.500% 8/01/42   2,249,403    2,076,244 
Pool #CA0996 3.500% 1/01/48   77,924    72,315 
Pool #MA3276 3.500% 2/01/48   170,236    157,186 
Pool #MA3305 3.500% 3/01/48   575,079    530,635 
Pool #MA3332 3.500% 4/01/48   22,963    21,188 
Pool #CA3633 3.500% 6/01/49   661,887    613,683 
Pool #MA2995 4.000% 5/01/47   476,179    453,984 
Pool #MA3027 4.000% 6/01/47   441,737    421,010 
Pool #AS9830 4.000% 6/01/47   267,987    255,412 
Pool #AS9972 4.000% 7/01/47   247,274    235,671 
Pool #AL9106 4.500% 2/01/46   215,450    211,977 
Pool #CA1710 4.500% 5/01/48   867,711    848,301 
Pool #CA1711 4.500% 5/01/48   15,761    15,408 
Pool #CA2208 4.500% 8/01/48   620,713    605,858 
Government National Mortgage Association II          
Pool #MA4126 3.000% 12/20/46   1,377,187    1,247,275 
Pool #MA4836 3.000% 11/20/47   972,654    879,991 
Pool #MA6209 3.000% 10/20/49   415,655    362,157 
Pool #MA4127 3.500% 12/20/46   938,706    879,688 
Pool #MA4382 3.500% 4/20/47   159,198    148,990 
Pool #MA4719 3.500% 9/20/47   1,397,316    1,306,408 
Pool #MA4837 3.500% 11/20/47   190,654    178,250 
Pool #MA4962 3.500% 1/20/48   475,451    444,518 
Pool #MA5019 3.500% 2/20/48   653,910    610,550 
Pool #MA4838 4.000% 11/20/47   400,044    383,740 
Pool #MA4901 4.000% 12/20/47   327,057    313,728 
Pool #MA5078 4.000% 3/20/48   266,416    255,309 
Pool #MA5466 4.000% 9/20/48   185,546    177,694 
Pool #MA5528 4.000% 10/20/48   743,752    712,279 
Pool #MA4264 4.500% 2/20/47   201,174    198,442 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #MA4512 4.500% 6/20/47  $1,230,989   $1,213,502 
Pool #MA3666 5.000% 5/20/46   27,535    27,704 
Pool #MA3806 5.000% 7/20/46   186,177    187,222 
Pool #MA4072 5.000% 11/20/46   36,639    36,801 
Pool #MA4454 5.000% 5/20/47   661,060    665,692 
Government National Mortgage Association II TBA          
2.500% 7/20/53 (f)   11,675,000    10,103,780 
4.500% 7/20/53 (f)   4,000,000    3,859,458 
5.000% 7/20/53 (f)   1,825,000    1,793,143 
Uniform Mortgage-Backed Security TBA          
2.000% 7/13/53 (f)   4,875,000    3,972,571 
2.000% 8/14/53 (f)   24,425,000    19,934,132 
2.500% 7/13/53 (f)   18,875,000    15,995,823 
2.500% 8/14/53 (f)   4,675,000    3,967,540 
3.000% 7/13/53 (f)   19,375,000    17,046,970 
3.000% 8/14/53 (f)   6,400,000    5,637,999 
3.500% 8/14/53 (f)   9,500,000    8,662,812 
4.000% 7/13/53 (f)   14,900,000    13,979,223 
4.500% 7/13/53 (f)   17,325,000    16,648,247 
4.500% 8/14/53 (f)   12,775,000    12,283,965 
5.000% 7/13/53 (f)   27,350,000    26,795,522 
5.500% 7/13/53 (f)   16,350,000    16,271,430 
         287,795,065 
Whole Loans — 0.6%          
Federal Home Loan Mortgage Corp. Structured Agency Credit Risk Debt Notes, Series 2022-DNA2, Class M1B, 30 day USD SOFR + 2.400%          
7.467% FRN 2/25/42 (c)   2,450,000    2,420,435 
Federal National Mortgage Association Connecticut Avenue Securities, Series 2022-R03, Class 1M2, 30 day USD SOFR + 3.500%          
8.567% FRN 3/25/42 (c)   2,400,000    2,451,908 
         4,872,343 
           
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES
(Cost $325,392,740)
        314,064,758 
           
U.S. TREASURY OBLIGATIONS — 27.6%          
U.S. Treasury Bonds & Notes — 27.6%          
U.S. Treasury Bonds          
2.000% 11/15/41   23,557,000    17,223,253 
2.375% 2/15/42   290,000    225,662 
3.625% 5/15/53   18,745,000    18,031,850 
3.875% 5/15/43   32,355,000    31,591,166 
U.S. Treasury Inflation Index          
1.125% 1/15/33   5,671,653    5,432,657 
1.250% 4/15/28   4,943,806    4,783,132 
U.S. Treasury Notes          
3.375% 5/15/33   7,005,000    6,757,794 
3.625% 5/31/28   10,901,000    10,660,323 
4.000% 6/30/28   58,315,000    57,999,335 
4.250% 5/31/25   4,827,000    4,765,876 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
4.625% 6/30/25  $59,185,000   $58,917,070 
         216,388,118 
           
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $219,679,628)
        216,388,118 
           
TOTAL BONDS & NOTES
(Cost $938,081,223)
        896,573,578 
           
           
   Number of
Shares
    
EQUITIES — 0.0%          
COMMON STOCK — 0.0%          
Communications — 0.0%          
Telecommunications — 0.0%          
Intelsat Emergence SA (j)   16,754    356,860 
           
TOTAL COMMON STOCK
(Cost $1,575,355)
        356,860 
           
TOTAL EQUITIES
(Cost $1,575,355)
        356,860 
           
           
RIGHTS — 0.0%          
Communications — 0.0%          
Telecommunications — 0.0%          
Intelsat Jackson Holdings S.A. (b) (g) (j)   1,754     
Intelsat Jackson Holdings S.A. (b) (g) (j)   1,754     
          
           
TOTAL RIGHTS
(Cost $0)
         
           
TOTAL LONG-TERM INVESTMENTS
(Cost $939,656,578)
        896,930,438 
           
           
SHORT-TERM INVESTMENTS — 8.0%          
Investment of Cash Collateral from Securities Loaned — 0.7%          
State Street Navigator Securities Lending Government Money Market Portfolio (k)   5,263,660    5,263,660 
           
Repurchase Agreement — 0.4%  Principal
Amount
      
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (l)  $2,750,308   2,750,308 
U.S. Treasury Bill — 6.9%          
U.S. Treasury Bill          
4.931% 10/05/23 (m)   5,175,000    5,105,090 
5.049% 11/02/23 (m)   8,045,000    7,902,211 
5.137% 8/31/23 (m)   8,440,000    8,368,602 
5.176% 10/26/23 (m)   6,310,000    6,205,184 
5.192% 8/15/23 (m)   1,460,000    1,451,016 
5.244% 8/24/23 (m)   4,740,000    4,704,534 

 

 

 

 

MassMutual Total Return Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
5.331% 10/03/23 (m)  $10,000,000   $9,867,359 
5.346% 11/02/23 (m)   5,890,000    5,785,460 
5.380% 12/21/23 (m)   4,605,000    4,490,381 
         53,879,837 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $61,903,479)
        61,893,805 
           
TOTAL INVESTMENTS — 122.4%
(Cost $1,001,560,057) (n)
        958,824,243 
           
Other Assets/(Liabilities) — (22.4)%        (175,593,568) 
           
NET ASSETS — 100.0%       $783,230,675 

 

Abbreviation Legend

CLO Collateralized Loan Obligation
DIP Debtor In Possession
FRN Floating Rate Note
REMICS Real Estate Mortgage Investment Conduits
STEP Step Up Bond
TBA To Be Announced
VRN Variable Rate Note

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) All or a portion of the security represents unsettled bank loan commitments at June 30, 2023 where the rate will be determined at time of settlement.
(b) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $483,966 or 0.06% of net assets.
(c) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $159,674,056 or 20.39% of net assets.
(d) The principal amount of the security is in foreign currency. The market value is in U.S. dollars.
(e) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $6,341,873 or 0.81% of net assets. The Fund received $1,220,928 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(f) A portion of this security is purchased on a when-issued, delayed-delivery or forward commitment basis.
(g) Investment is valued using significant unobservable inputs.
(h) 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 above. The rates shown are the current interest rates at June 30, 2023.
(i) May contain securities that are issued by a U.S. Government Agency, but are unsecured and are not guaranteed by a U.S. Government Agency.
(j) Non-income producing security.
(k) Represents investment of security lending cash collateral. (Note 2).
(l) Maturity value of $2,750,657. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $2,805,329.
(m) The rate shown represents yield-to-maturity.
(n) See Note 3 for aggregate cost for federal tax purposes.

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Citibank N.A.  7/06/23  EUR  363,723   USD  396,071   $842 
Citibank N.A.  7/14/23  EUR  702,000   USD  775,471    (9,119) 
Citibank N.A.  7/14/23  USD  546,421   GBP  437,000    (8,600) 
Citibank N.A.  7/14/23  USD  6,056,236   EUR  5,538,000    10,571 
Goldman Sachs International  7/14/23  USD  199,384   GBP  160,000    (3,827)
                    $(10,133)

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
U.S. Treasury Ultra Bond  9/20/23   43   $5,816,602  $40,804 
U.S. Treasury Note 2 Year  9/29/23   1,295    267,093,473   (3,763,317) 
U.S. Treasury Note 5 Year  9/29/23   41    4,467,161    (76,317) 
                $(3,798,830) 
Short               
Euro-BOBL  9/07/23   4   $(512,814)  $7,763 
Euro-BUXL 30 Year Bond  9/07/23   6    (903,833)   (10,157) 
Euro-Bund  9/07/23   6    (886,809)   11,186 
U.S. Treasury Ultra 10 Year  9/20/23   19    (2,268,336)    18,024 
                $26,816 

 

Centrally Cleared Interest Rate Swaps
Paid by the Fund  Received by the Fund                      
Rate/ Reference  Frequency  Rate/ Reference   Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
Fixed 3.000%  Annually   12- Month USD SOFR    Annually    9/20/53   USD   2,447,000   $70,162   $   $70,162
Fixed 3.000%  Annually   12-Month USD SOFR    Annually    9/20/53   USD   2,346,000    67,266        67,266 
                             $137,428   $   $137,428

 

Currency Legend

EUR Euro
GBP British Pound
USD U.S. Dollar

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Principal
Amount
   Value 
BONDS & NOTES — 98.7%          
           
BANK LOANS — 1.8%          
Advertising — 0.0%          
CMG Media Corp., 2021 Term Loan, 3 mo. USD Term SOFR + 3.500%          
8.842% VRN 12/17/26  $105,393   $94,195 
Airlines — 0.0%          
United Airlines, Inc., 2021 Term Loan B, 3 mo. USD LIBOR + 3.750%          
9.292% VRN 4/21/28   64,545    64,420 
Auto Parts & Equipment — 0.0%          
Clarios Global LP, 2023 Incremental Term Loan, 1 mo. USD Term SOFR + 3.750%          
8.852% VRN 5/06/30   70,000    69,759 
Beverages — 0.1%          
Triton Water Holdings, Inc., Term Loan, 3 mo. USD LIBOR + 0.000%          
5.242% VRN 3/31/28   241,419    233,008 
Building Materials — 0.0%          
Quikrete Holdings, Inc., 2021 Term Loan B1, 1 mo. USD LIBOR + 3.000%          
8.217% VRN 3/18/29   139,295    139,334 
Commercial Services — 0.1%          
API Group DE, Inc., Term Loan B, 1 mo. USD Term SOFR + 2.500%          
7.584% VRN 10/01/26   136,238    136,314 
Emrld Borrower LP, Term Loan B,          
0.000% 5/31/30 (a)   150,000    149,859 
Prime Security Services Borrower LLC, 2021 Term Loan, 1 mo. USD LIBOR + 2.750%          
7.943% VRN 9/23/26   175,009    174,850 
         461,023 
Computers — 0.1%          
Magenta Buyer LLC, 2021 USD 1st Lien Term Loan, 3 mo. USD LIBOR + 4.750%          
10.030% VRN 7/27/28   242,827    182,018 
Peraton Corp., Term Loan B, 1 mo. USD Term SOFR + 3.750%          
8.952% VRN 2/01/28   322,542    316,266 
         498,284 
Diversified Financial Services — 0.2%          
Avolon TLB Borrower 1 (U.S.) LLC, 2021 Term Loan B5, 1 mo. USD LIBOR + 2.250%          
7.396% VRN 12/01/27   37,268    37,193 
Castlelake Aviation Ltd., Term Loan B, 3 mo. USD LIBOR + 2.750%          
8.302% VRN 10/22/26   115,067    114,399 
Citadel Securities LP, 2021 Term Loan B, 1 mo. USD Term SOFR + 2.500%          
7.717% VRN 2/02/28   20,202    20,161 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Deerfield Dakota Holding LLC, 2020 USD Term Loan B, 3 mo. USD Term SOFR + 3.750%          
8.992% VRN 4/09/27  $227,032   $219,896 
Focus Financial Partners LLC, 2022 Term Loan B5, 1 mo. USD Term SOFR + 3.250%          
8.352% VRN 6/30/28   119,100    118,041 
VFH Parent LLC, 2022 Term Loan B, 1 mo. USD Term SOFR + 3.000%          
8.189% VRN 1/13/29   108,900    108,322 
         618,012 
Electronics — 0.0%          
II-VI, Inc., 2022 Term Loan B, 1 mo. USD Term SOFR + 2.750%          
7.967% VRN 7/02/29   146,664    146,114 
Entertainment — 0.1%          
Caesars Entertainment Corp., Term Loan B, 3 mo. USD Term SOFR + 3.250%          
8.452% VRN 2/06/30   19,950    19,932 
PCI Gaming Authority, Term Loan, 1 mo. USD Term SOFR + 2.500%          
7.717% VRN 5/29/26   248,892    248,937 
Scientific Games International, Inc., 2022 USD Term Loan, 1 mo. USD Term SOFR + 3.000%          
8.248% VRN 4/14/29   237,600    236,968 
         505,837 
Health Care – Products — 0.1%          
Medline Borrower LP, USD Term Loan B, 1 mo. USD Term SOFR + 3.250%          
8.352% VRN 10/23/28   249,369    246,329 
Sotera Health Holdings LLC, 2021 Term Loan, 3 mo. USD LIBOR + 2.750%          
8.023% VRN 12/11/26   260,000    255,614 
         501,943 
Health Care – Services — 0.2%          
Global Medical Response, Inc., 2020 Term Loan B, 1 mo. USD LIBOR + 4.250%          
9.439% VRN 10/02/25   379,108    211,163 
Phoenix Guarantor, Inc., 2020 Term Loan B, 1 mo. USD LIBOR + 3.250%          
8.352% VRN 3/05/26   484,890    478,121 
         689,284 
Housewares — 0.1%          
Solis IV BV, USD Term Loan B1, 3 mo. USD Term SOFR + 3.500%          
8.666% VRN 2/26/29   317,225    300,076 
Insurance — 0.1%          
Acrisure LLC, 2021 First Lien Term Loan B, 1 mo. USD LIBOR + 4.250%          
9.443% VRN 2/15/27   89,545    87,568 
AmWINS Group, Inc.          
2021 Term Loan B, 1 mo. USD LIBOR + 2.250%          
7.442% VRN 2/19/28   253,282    250,719 
2023 Incremental Term Loan B, 1 mo. USD Term SOFR + 2.750%          
7.834% VRN 2/19/28   39,900    39,759 
         378,046 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Leisure Time — 0.1%          
Alterra Mountain Co., 2021 Series B-2 Consenting Term Loan, 1 mo. USD LIBOR + 3.500%          
8.693% VRN 8/17/28  $164,935   $164,316 
Lodging — 0.1%          
Hilton Domestic Operating Co., Inc., 2019 Term Loan B2, 1 mo. USD Term SOFR + 1.750%          
6.939% VRN 6/22/26   310,000    309,529 
Station Casinos LLC, 2020 Term Loan B, 1 mo. USD LIBOR + 2.250%          
7.450% VRN 2/08/27   160,651    160,004 
         469,533 
Machinery – Diversified — 0.0%          
Ali Group North America Corp., 2021 Term Loan B, 1 mo. USD Term SOFR + 2.000%          
7.217% VRN 7/30/29   129,105    129,008 
Media — 0.1%          
Nexstar Broadcasting, Inc., 2019 Term Loan B4, 1 mo. USD Term SOFR + 2.500%          
7.717% VRN 9/18/26   160,766    160,478 
Virgin Media Bristol LLC, USD Term Loan N, 1 mo. USD LIBOR + 2.500%          
7.693% VRN 1/31/28   203,954    201,966 
         362,444 
Retail — 0.1%          
Harbor Freight Tools USA, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 2.750%          
7.967% VRN 10/19/27   441,157    434,601 
Software — 0.2%          
Athenahealth Group, Inc., 2021 Delayed Draw Term Loan, 1 mo. USD Term SOFR + 3.500%          
8.589% VRN 2/15/29   336,110    323,086 
Cloudera, Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 3.750%          
8.952% VRN 10/08/28   91,768    89,359 
DCert Buyer, Inc., 2019 Term Loan B, 3 mo. USD Term SOFR + 4.000%          
9.264% VRN 10/16/26   31,537    31,212 
Rackspace Technology Global, Inc., 2021 Term Loan B, 1 mo. USD Term SOFR + 2.750%          
7.996% VRN 2/15/28   360,001    163,088 
         606,745 
Transportation — 0.1%          
Genesee & Wyoming, Inc., Term Loan, 3 mo. USD Term SOFR + 2.000%          
7.342% VRN 12/30/26   471,367    470,632 
           
TOTAL BANK LOANS
(Cost $7,832,110)
        7,336,614 
           
CORPORATE DEBT — 26.9%          
Aerospace & Defense — 0.8%          
Boeing Co.          
2.196% 2/04/26   230,000    211,096 
2.700% 2/01/27   90,000    82,261 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2.800% 3/01/27  $150,000   $136,759 
3.100% 5/01/26   80,000    75,154 
3.200% 3/01/29   210,000    187,761 
3.250% 2/01/35   360,000    291,898 
3.550% 3/01/38   80,000    62,235 
3.750% 2/01/50   240,000    180,256 
5.150% 5/01/30   160,000    158,456 
5.705% 5/01/40   110,000    109,726 
5.805% 5/01/50   300,000    298,905 
5.930% 5/01/60   40,000    39,616 
General Dynamics Corp.          
3.500% 5/15/25   50,000    48,549 
4.250% 4/01/40   20,000    18,401 
4.250% 4/01/50   50,000    45,832 
L3Harris Technologies, Inc.          
5.054% 4/27/45   50,000    45,910 
Lockheed Martin Corp.          
3.550% 1/15/26   45,000    43,643 
3.900% 6/15/32   50,000    47,089 
4.150% 6/15/53   260,000    228,892 
4.500% 5/15/36   60,000    57,909 
Northrop Grumman Corp.          
2.930% 1/15/25   160,000    153,755 
3.250% 1/15/28   290,000    270,448 
5.250% 5/01/50   160,000    162,605 
Raytheon Technologies Corp.          
2.250% 7/01/30   110,000    92,783 
4.125% 11/16/28   160,000    154,102 
4.500% 6/01/42   80,000    73,637 
         3,277,678 
Agriculture — 0.4%          
Altria Group, Inc.          
2.450% 2/04/32   140,000    109,179 
4.400% 2/14/26   192,000    187,871 
5.800% 2/14/39   160,000    156,612 
5.950% 2/14/49   260,000    246,831 
6.200% 2/14/59   56,000    54,051 
BAT Capital Corp.          
3.557% 8/15/27   170,000    156,325 
4.540% 8/15/47   360,000    264,913 
Cargill, Inc.          
1.375% 7/23/23 (b) (c)   180,000    179,642 
Philip Morris International, Inc.          
2.100% 5/01/30   40,000    33,098 
4.500% 3/20/42   80,000    68,956 
Reynolds American, Inc.          
5.850% 8/15/45   110,000    97,824 
         1,555,302 
Airlines — 0.5%          
Delta Air Lines, Inc.          
2.900% 10/28/24   180,000    172,795 
7.000% 5/01/25 (b)   230,000    234,897 
Delta Air Lines, Inc./SkyMiles IP Ltd.          
4.500% 10/20/25 (b)   266,667    260,851 
4.750% 10/20/28 (b)   300,000    291,207 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Hawaiian Brand Intellectual Property Ltd./HawaiianMiles Loyalty Ltd.          
5.750% 1/20/26 (b)  $10,000   $9,465 
Mileage Plus Holdings LLC/Mileage Plus Intellectual Property Assets Ltd.          
6.500% 6/20/27 (b)   264,000    264,659 
Spirit Loyalty Cayman Ltd./Spirit IP Cayman Ltd.          
8.000% 9/20/25 (b)   240,000    241,813 
8.000% 9/20/25 (b)   250,000    251,869 
United Airlines, Inc.          
4.375% 4/15/26 (b)   80,000    76,008 
4.625% 4/15/29 (b)   290,000    264,239 
         2,067,803 
Apparel — 0.1%          
NIKE, Inc.          
2.850% 3/27/30   170,000    153,507 
3.250% 3/27/40   130,000    106,817 
3.375% 3/27/50 (c)   40,000    32,403 
         292,727 
Auto Manufacturers — 1.5%          
Ford Motor Co.          
4.750% 1/15/43   90,000    69,193 
6.100% 8/19/32 (c)   90,000    87,224 
Ford Motor Credit Co. LLC          
2.900% 2/16/28   390,000    333,995 
3.625% 6/17/31   220,000    180,317 
4.000% 11/13/30   200,000    170,917 
4.125% 8/17/27   200,000    182,629 
4.950% 5/28/27   250,000    235,822 
5.125% 6/16/25   200,000    194,506 
General Motors Co.          
5.150% 4/01/38   40,000    35,599 
5.200% 4/01/45   960,000    818,902 
5.600% 10/15/32 (c)   40,000    38,699 
5.950% 4/01/49   110,000    102,781 
6.125% 10/01/25   20,000    20,136 
6.600% 4/01/36   10,000    10,267 
Nissan Motor Co. Ltd.          
3.043% 9/15/23 (b)   200,000    198,585 
3.522% 9/17/25 (b)   410,000    381,429 
4.345% 9/17/27 (b)   300,000    272,852 
Toyota Motor Credit Corp.          
4.450% 5/18/26   3,070,000    3,024,548 
         6,358,401 
Banks — 7.2%          
ABN AMRO Bank NV          
4.750% 7/28/25 (b)   260,000    250,757 
Banco Santander SA          
2.746% 5/28/25   600,000    563,277 
Bank of America Corp.          
SOFR + 1.210% 2.572% VRN 10/20/32   60,000    48,870 
SOFR + 2.150% 2.592% VRN 4/29/31   360,000    302,233 
SOFR + 1.330% 2.972% VRN 2/04/33   550,000    458,494 
3 mo. USD Term SOFR + 1.302% 3.419% VRN 12/20/28   570,000    522,703 
3 mo. USD Term SOFR + 1.632% 3.593% VRN 7/21/28   270,000    250,982 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3 mo. USD Term SOFR + 1.332% 3.970% VRN 3/05/29  $760,000   $711,534 
3 mo. USD Term SOFR + 1.472% 3.974% VRN 2/07/30   270,000    249,982 
4.000% 4/01/24   270,000    266,842 
4.000% 1/22/25   140,000    136,149 
3 mo. USD Term SOFR + 3.412% 4.083% VRN 3/20/51   420,000    348,227 
4.200% 8/26/24   380,000    372,874 
4.250% 10/22/26   50,000    48,260 
3 mo. USD Term SOFR + 1.782% 4.330% VRN 3/15/50   90,000    77,397 
SOFR + 1.580% 4.376% VRN 4/27/28   300,000    287,995 
4.450% 3/03/26   50,000    48,596 
5.000% 1/21/44   130,000    124,583 
3 mo. USD Term SOFR + 3.967% 6.250% VRN (d)   170,000    167,875 
Bank of Montreal          
1.850% 5/01/25   70,000    65,391 
5 yr. USD Swap + 1.432% 3.803% VRN 12/15/32   90,000    79,335 
Bank of New York Mellon Corp.          
1.600% 4/24/25   170,000    159,288 
Bank of Nova Scotia          
1.300% 6/11/25   120,000    110,312 
5 yr. CMT + 2.050% 4.588% VRN 5/04/37   100,000    86,171 
Barclays PLC 3 mo. USD LIBOR + 3.054%          
5.088% VRN 6/20/30   510,000    463,768 
BNP Paribas SA          
SOFR + 2.074% 2.219% VRN 6/09/26 (b)   200,000    184,963 
5 yr. USD Swap + 1.483% 4.375% VRN 3/01/33 (b)   220,000    199,075 
4.400% 8/14/28 (b)   400,000    377,594 
4.625% 3/13/27 (b)   260,000    248,688 
3 mo. USD LIBOR + 2.235% 4.705% VRN 1/10/25 (b)   390,000    386,523 
1 yr. CMT + 1.450% 5.125% VRN 1/13/29 (b)   400,000    391,404 
Citigroup, Inc.          
SOFR + 2.107% 2.572% VRN 6/03/31   170,000    141,834 
SOFR + 1.939% 3.785% VRN 3/17/33   370,000    326,898 
3 mo. USD Term SOFR + 1.600% 3.980% VRN 3/20/30   180,000    166,435 
4.125% 7/25/28   150,000    141,385 
4.300% 11/20/26   510,000    488,104 
SOFR + 3.914% 4.412% VRN 3/31/31   410,000    385,507 
4.450% 9/29/27   480,000    458,318 
4.650% 7/30/45   181,000    160,511 
4.650% 7/23/48   70,000    63,365 
SOFR + 1.887% 4.658% VRN 5/24/28   50,000    48,753 
4.750% 5/18/46   40,000    34,223 
SOFR + 2.086% 4.910% VRN 5/24/33   130,000    125,795 
5.300% 5/06/44   16,000    14,794 
3 mo. USD Term SOFR + 4.167% 5.950% VRN (d)   150,000    143,854 
3 mo. USD Term SOFR + 3.685% 6.300% VRN (c) (d)   60,000    58,350 
6.625% 6/15/32   20,000    21,162 
8.125% 7/15/39   50,000    63,974 
3 mo. USD Term SOFR + 4.068% 9.341% VRN (d)   50,000    50,175 
Cooperatieve Rabobank UA          
1 yr. CMT + 1.220% 3.649% VRN 4/06/28 (b)   300,000    277,748 
4.375% 8/04/25   470,000    453,615 
Credit Agricole SA SOFR + 1.676%          
1.907% VRN 6/16/26 (b)   270,000    248,540 
Credit Suisse AG          
5.000% 7/09/27   250,000    241,348 
7.950% 1/09/25   710,000    724,372 
Danske Bank AS          
5.375% 1/12/24 (b)   240,000    238,582 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Goldman Sachs Capital II 3 mo. USD LIBOR + .768%          
6.264% VRN (d)  $8,000   $6,220 
Goldman Sachs Group, Inc.          
SOFR + 1.472% 2.908% VRN 7/21/42   80,000    56,480 
SOFR + 1.513% 3.210% VRN 4/22/42   40,000    29,553 
3.500% 4/01/25   370,000    355,418 
3.500% 11/16/26   200,000    187,501 
SOFR + 1.846% 3.615% VRN 3/15/28   50,000    46,914 
3 mo. USD Term SOFR + 1.772% 3.691% VRN 6/05/28   350,000    328,840 
3.850% 7/08/24   90,000    88,257 
4.000% 3/03/24   100,000    98,717 
3 mo. USD Term SOFR + 1.563% 4.223% VRN 5/01/29   490,000    462,800 
4.250% 10/21/25   210,000    202,371 
4.750% 10/21/45   80,000    72,716 
5.150% 5/22/45   290,000    270,760 
6.250% 2/01/41   130,000    139,735 
6.750% 10/01/37   80,000    86,044 
HSBC Holdings PLC          
SOFR + 1.929% 2.099% VRN 6/04/26   510,000    471,931 
3.900% 5/25/26   200,000    190,580 
4.250% 8/18/25   330,000    316,947 
SOFR + 2.530% 4.762% VRN 3/29/33   200,000    180,496 
Intesa Sanpaolo SpA          
5.017% 6/26/24 (b)   900,000    871,769 
5.710% 1/15/26 (b)   200,000    190,406 
JP Morgan Chase & Co.          
SOFR + 1.850% 2.083% VRN 4/22/26   340,000    318,411 
SOFR + 2.040% 2.522% VRN 4/22/31   300,000    253,753 
SOFR + 1.180% 2.545% VRN 11/08/32   100,000    81,932 
SOFR + 2.440% 3.109% VRN 4/22/51   80,000    55,895 
3 mo. USD Term SOFR + .945% 3.509% VRN 1/23/29   70,000    64,706 
3.875% 9/10/24   300,000    292,888 
3 mo. USD Term SOFR + 1.522% 4.203% VRN 7/23/29   310,000    294,644 
4.250% 10/01/27   70,000    67,821 
3 mo. USD Term SOFR + 1.592% 4.452% VRN 12/05/29   700,000    670,801 
4.950% 6/01/45   140,000    130,678 
Lloyds Banking Group PLC          
4.550% 8/16/28   370,000    350,043 
Macquarie Group Ltd.          
6.207% 11/22/24 (b)   2,020,000    2,017,505 
Mitsubishi UFJ Financial Group, Inc. 1 yr. CMT + 1.125%          
3.837% VRN 4/17/26   200,000    192,236 
Morgan Stanley          
SOFR + 1.990% 2.188% VRN 4/28/26   260,000    244,064 
SOFR + 1.143% 2.699% VRN 1/22/31   10,000    8,505 
SOFR + 3.120% 3.622% VRN 4/01/31   640,000    576,698 
3 mo. USD Term SOFR + 1.402% 3.772% VRN 1/24/29   350,000    326,751 
3 mo. TSFR + 1.890% 4.431% VRN 1/23/30   10,000    9,514 
National Securities Clearing Corp.          
1.500% 4/23/25 (b)   250,000    232,458 
PNC Financial Services Group, Inc.          
SOFR + 1.841% 5.582% VRN 6/12/29   260,000    258,776 
SOFR + 1.322% 5.812% VRN 6/12/26   70,000    69,574 
Royal Bank of Canada          
1.150% 6/10/25   250,000    230,776 
3.875% 5/04/32   40,000    36,623 
Santander Holdings USA, Inc.          
4.500% 7/17/25   50,000    48,532 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Toronto-Dominion Bank          
1.150% 6/12/25  $280,000   $258,038 
Truist Financial Corp. SOFR + 2.050%          
6.047% VRN 6/08/27   130,000    130,054 
U.S. Bancorp          
1.450% 5/12/25   260,000    242,456 
SOFR + .730% 2.215% VRN 1/27/28   30,000    26,595 
SOFR + 2.020% 5.775% VRN 6/12/29   140,000    139,958 
SOFR + 2.260% 5.836% VRN 6/12/34   50,000    50,362 
UBS Group AG          
SOFR + 2.044% 2.193% VRN 6/05/26 (b)   480,000    440,145 
SOFR + 1.730% 3.091% VRN 5/14/32 (b)   350,000    283,124 
SOFR + 3.730% 4.194% VRN 4/01/31 (b)   250,000    222,515 
4.253% 3/23/28 (b)   340,000    315,509 
5 yr. USD Swap + 4.344% 7.000% VRN (b) (d)   500,000    482,824 
Wells Fargo & Co.          
SOFR + 2.000% 2.188% VRN 4/30/26   200,000    187,388 
SOFR + 2.100% 2.393% VRN 6/02/28   230,000    204,960 
3 mo. USD Term SOFR + 1.432% 2.879% VRN 10/30/30   150,000    129,553 
3.000% 10/23/26   350,000    324,892 
SOFR + 1.500% 3.350% VRN 3/02/33   300,000    256,756 
4.300% 7/22/27   240,000    230,229 
4.400% 6/14/46   180,000    146,178 
3 mo. USD Term SOFR + 4.032% 4.478% VRN 4/04/31   210,000    199,668 
4.650% 11/04/44   80,000    67,865 
4.750% 12/07/46   10,000    8,512 
4.900% 11/17/45   250,000    220,013 
3 mo. USD Term SOFR + 4.502% 5.013% VRN 4/04/51   1,220,000    1,136,315 
5.375% 11/02/43   110,000    103,562 
5.875% VRN (c) (d) (e)   50,000    48,995 
         30,412,289 
Beverages — 0.4%          
Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc.          
3.650% 2/01/26   300,000    290,570 
4.900% 2/01/46   50,000    47,790 
Anheuser-Busch InBev Worldwide, Inc.          
3.500% 6/01/30   130,000    120,885 
4.000% 4/13/28   80,000    77,360 
4.350% 6/01/40   30,000    27,586 
4.600% 4/15/48   15,000    13,924 
4.750% 1/23/29   190,000    189,175 
5.550% 1/23/49   110,000    115,939 
Coca-Cola Co.          
1.450% 6/01/27   250,000    223,418 
2.500% 6/01/40   10,000    7,532 
2.600% 6/01/50   80,000    55,871 
Constellation Brands, Inc.          
3.600% 5/09/24   60,000    58,843 
4.350% 5/09/27   80,000    78,009 
Molson Coors Beverage Co.          
3.000% 7/15/26   50,000    46,705 
4.200% 7/15/46   50,000    41,402 
PepsiCo, Inc.          
1.625% 5/01/30   170,000    141,268 
         1,536,277 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Biotechnology — 0.0%          
Amgen, Inc.          
4.663% 6/15/51  $24,000   $21,493 
Gilead Sciences, Inc.          
3.700% 4/01/24   130,000    128,124 
4.500% 2/01/45   10,000    9,121 
4.750% 3/01/46   40,000    37,647 
         196,385 
Building Materials — 0.0%          
Builders FirstSource, Inc.          
4.250% 2/01/32 (b)   20,000    17,403 
Carrier Global Corp.          
3.577% 4/05/50   20,000    14,780 
         32,183 
Chemicals — 0.2%          
MEGlobal BV          
4.250% 11/03/26 (b)   230,000    220,449 
OCP SA          
3.750% 6/23/31 (b)   260,000    214,531 
5.125% 6/23/51 (b)   220,000    159,614 
Orbia Advance Corp. SAB de CV          
2.875% 5/11/31 (b)   490,000    388,992 
         983,586 
Coal — 0.0%          
Teck Resources Ltd.          
6.000% 8/15/40   20,000    19,485 
Commercial Services — 0.2%          
ADT Security Corp.          
4.125% 8/01/29 (b) (c)   10,000    8,637 
Cintas Corp. No. 2          
3.700% 4/01/27   160,000    154,182 
DP World Ltd.          
5.625% 9/25/48 (b)   330,000    307,761 
PayPal Holdings, Inc.          
1.650% 6/01/25   260,000    243,309 
United Rentals North America, Inc.          
3.750% 1/15/32   80,000    67,757 
3.875% 11/15/27   60,000    56,028 
3.875% 2/15/31   20,000    17,316 
         854,990 
Computers — 0.4%          
Apple, Inc.          
2.450% 8/04/26   290,000    271,470 
Dell International LLC/EMC Corp.          
3.375% 12/15/41 (b)   1,320,000    930,838 
International Business Machines Corp.          
3.000% 5/15/24   320,000    312,745 
         1,515,053 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Cosmetics & Personal Care — 0.1%          
Haleon U.S. Capital LLC          
3.375% 3/24/29  $260,000   $236,242 
Kenvue, Inc.          
4.900% 3/22/33 (b)   200,000    202,363 
Procter & Gamble Co.          
3.000% 3/25/30   100,000    92,527 
         531,132 
Distribution & Wholesale — 0.0%          
H&E Equipment Services, Inc.          
3.875% 12/15/28 (b)   20,000    17,316 
Diversified Financial Services — 0.5%          
AerCap Ireland Capital DAC/AerCap Global Aviation Trust          
2.450% 10/29/26   320,000    285,808 
3.000% 10/29/28   160,000    138,344 
3.150% 2/15/24   190,000    186,386 
3.300% 1/30/32   160,000    130,896 
Air Lease Corp.          
3.375% 7/01/25   80,000    75,822 
5.300% 2/01/28   130,000    127,565 
American Express Co.          
3.375% 5/03/24   130,000    127,463 
4.050% 5/03/29   210,000    199,924 
ILFC E-Capital Trust II          
7.314% VRN 12/21/65 (b) (e)   10,000    6,942 
Intercontinental Exchange, Inc.          
4.600% 3/15/33   80,000    77,537 
4.950% 6/15/52   20,000    18,973 
KKR Group Finance Co. II LLC          
5.500% 2/01/43 (b) (c)   20,000    18,244 
Mastercard, Inc.          
3.850% 3/26/50   50,000    43,039 
Park Aerospace Holdings Ltd.          
5.500% 2/15/24 (b)   50,000    49,430 
Vanguard Group, Inc.          
3.050% 8/22/50   450,000    290,372 
Visa, Inc.          
3.150% 12/14/25   200,000    191,706 
4.300% 12/14/45   160,000    148,444 
         2,116,895 
Electric — 0.2%          
American Transmission Systems, Inc.          
2.650% 1/15/32 (b)   440,000    363,850 
Consolidated Edison Co. of New York, Inc.          
3.350% 4/01/30   70,000    63,592 
3.950% 4/01/50   50,000    40,859 
Duke Energy Ohio, Inc.          
3.650% 2/01/29   210,000    195,047 
Exelon Corp.          
5.625% 6/15/35   40,000    40,447 
Pacific Gas & Electric Co.          
2.100% 8/01/27   140,000    119,586 
2.500% 2/01/31   40,000    31,315 
3.300% 8/01/40   50,000    33,686 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.500% 8/01/50  $80,000   $50,888 
         939,270 
Electronics — 0.0%          
Honeywell International, Inc.          
1.350% 6/01/25   80,000    74,634 
Entertainment — 0.2%          
Warnermedia Holdings, Inc.          
3.755% 3/15/27   60,000    55,966 
4.054% 3/15/29   80,000    73,130 
4.279% 3/15/32   360,000    319,275 
5.050% 3/15/42   20,000    16,857 
5.141% 3/15/52   370,000    301,272 
6.412% 3/15/26   110,000    110,091 
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.          
7.125% 2/15/31 (b) (c)   90,000    89,455 
         966,046 
Environmental Controls — 0.1%          
Republic Services, Inc.          
2.500% 8/15/24   230,000    221,873 
Food — 0.2%          
Danone SA          
2.589% 11/02/23 (b)   310,000    306,761 
Hershey Co.          
0.900% 6/01/25   50,000    46,039 
Mars, Inc.          
2.700% 4/01/25 (b)   140,000    133,735 
3.200% 4/01/30 (b)   80,000    72,568 
Mondelez International, Inc.          
1.500% 5/04/25   340,000    316,881 
         875,984 
Forest Products & Paper — 0.1%          
Suzano Austria GmbH          
3.125% 1/15/32   80,000    64,031 
3.750% 1/15/31   430,000    366,972 
         431,003 
Health Care – Products — 0.1%          
Abbott Laboratories          
3.750% 11/30/26   99,000    96,520 
4.750% 11/30/36   80,000    80,316 
4.900% 11/30/46   100,000    100,963 
Medtronic, Inc.          
4.625% 3/15/45   18,000    17,513 
         295,312 
Health Care – Services — 0.4%          
Centene Corp.          
2.625% 8/01/31   10,000    7,969 
3.000% 10/15/30   10,000    8,333 
4.250% 12/15/27   70,000    65,447 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
4.625% 12/15/29  $120,000   $110,452 
CommonSpirit Health          
4.350% 11/01/42   20,000    17,172 
Elevance Health, Inc.          
3.350% 12/01/24   120,000    116,025 
3.650% 12/01/27   90,000    84,970 
4.100% 5/15/32   60,000    55,910 
4.550% 5/15/52   10,000    8,932 
Fresenius Medical Care U.S. Finance II, Inc.          
4.750% 10/15/24 (b)   70,000    68,524 
HCA, Inc.          
3.500% 9/01/30   70,000    61,358 
4.500% 2/15/27   40,000    38,587 
5.000% 3/15/24   50,000    49,679 
5.250% 6/15/26   60,000    59,344 
5.500% 6/15/47   80,000    75,351 
Humana, Inc.          
2.150% 2/03/32   40,000    31,510 
4.500% 4/01/25   50,000    49,069 
4.625% 12/01/42   70,000    61,701 
4.800% 3/15/47   10,000    9,046 
Tenet Healthcare Corp.          
4.375% 1/15/30   10,000    9,024 
UnitedHealth Group, Inc.          
1.250% 1/15/26   50,000    45,679 
2.300% 5/15/31   20,000    16,911 
3.125% 5/15/60   30,000    20,906 
3.875% 12/15/28   110,000    105,379 
3.875% 8/15/59   90,000    73,156 
4.000% 5/15/29   100,000    95,566 
4.200% 5/15/32   70,000    66,826 
4.250% 6/15/48   110,000    96,957 
4.450% 12/15/48   50,000    45,552 
5.800% 3/15/36   70,000    74,829 
         1,630,164 
Home Builders — 0.0%          
Lennar Corp.          
4.500% 4/30/24   100,000    99,144 
4.750% 11/29/27   40,000    38,810 
MDC Holdings, Inc.          
6.000% 1/15/43   20,000    18,039 
         155,993 
Insurance — 1.0%          
Berkshire Hathaway Finance Corp.          
4.250% 1/15/49   160,000    145,705 
Brighthouse Financial, Inc.          
4.700% 6/22/47   11,000    8,418 
Chubb INA Holdings, Inc.          
3.350% 5/03/26   120,000    115,290 
Guardian Life Global Funding          
1.100% 6/23/25 (b)   120,000    109,137 
Jackson National Life Global Funding SOFR + 1.150%          
6.242% FRN 6/28/24 (b)   3,450,000    3,454,485 
MetLife Capital Trust IV          
7.875% 12/15/67 (b)   200,000    209,348 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
New York Life Global Funding          
0.950% 6/24/25 (b)  $100,000   $91,327 
Principal Life Global Funding II          
1.250% 6/23/25 (b)   110,000    100,351 
Teachers Insurance & Annuity Association of America          
4.900% 9/15/44 (b)   50,000    45,272 
6.850% 12/16/39 (b)   22,000    24,257 
         4,303,590 
Internet — 0.5%          
Alphabet, Inc.          
0.450% 8/15/25   50,000    45,773 
1.900% 8/15/40   100,000    68,871 
2.050% 8/15/50   60,000    37,534 
Amazon.com, Inc.          
2.100% 5/12/31   80,000    67,281 
2.500% 6/03/50   60,000    39,900 
3.150% 8/22/27   470,000    442,204 
3.450% 4/13/29   80,000    75,319 
3.600% 4/13/32   320,000    298,356 
4.050% 8/22/47   100,000    89,696 
4.250% 8/22/57   70,000    62,964 
4.950% 12/05/44   180,000    182,143 
Prosus NV          
3.061% 7/13/31 (b)   370,000    289,268 
3.832% 2/08/51 (b)   210,000    129,019 
4.027% 8/03/50 (b)   310,000    194,778 
         2,023,106 
Investment Companies — 0.3%          
Golub Capital BDC, Inc.          
2.500% 8/24/26   1,570,000    1,357,733 
Iron & Steel — 0.1%          
ArcelorMittal SA          
7.000% STEP 10/15/39   60,000    62,631 
Vale Overseas Ltd.          
6.875% 11/21/36   174,000    181,959 
         244,590 
Leisure Time — 0.0%          
VOC Escrow Ltd.          
5.000% 2/15/28 (b)   210,000    192,675 
Lodging — 0.4%          
Las Vegas Sands Corp.          
2.900% 6/25/25   100,000    93,962 
3.200% 8/08/24   790,000    765,169 
Sands China Ltd.          
4.300% STEP 1/08/26   280,000    263,273 
5.625% STEP 8/08/25   750,000    731,713 
         1,854,117 
Machinery – Construction & Mining — 0.0%          
Vertiv Group Corp.          
4.125% 11/15/28 (b)   30,000    27,029 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Machinery – Diversified — 0.1%          
Deere & Co.          
3.100% 4/15/30  $60,000   $54,851 
3.750% 4/15/50 (c)   260,000    230,149 
Otis Worldwide Corp.          
2.056% 4/05/25   140,000    131,934 
         416,934 
Media — 1.2%          
Altice Financing SA          
5.750% 8/15/29 (b)   210,000    162,679 
CCO Holdings LLC/CCO Holdings Capital Corp.          
4.500% 8/15/30 (b)   30,000    24,981 
4.500% 5/01/32   840,000    670,704 
4.750% 2/01/32 (b)   70,000    57,084 
Charter Communications Operating LLC/Charter Communications Operating Capital          
3.500% 3/01/42   60,000    40,134 
4.200% 3/15/28   140,000    131,246 
4.400% 4/01/33 (c)   140,000    122,886 
4.800% 3/01/50   30,000    22,635 
4.908% 7/23/25   270,000    264,775 
5.050% 3/30/29   360,000    343,284 
5.125% 7/01/49   100,000    78,672 
5.375% 4/01/38   100,000    85,190 
5.375% 5/01/47   20,000    16,531 
5.500% 4/01/63   80,000    64,411 
6.484% 10/23/45   160,000    150,419 
6.834% 10/23/55   60,000    56,564 
Comcast Corp.          
2.800% 1/15/51   30,000    19,858 
2.887% 11/01/51   260,000    174,319 
3.150% 3/01/26   280,000    268,196 
3.250% 11/01/39   30,000    23,797 
3.300% 4/01/27   120,000    113,483 
3.400% 4/01/30   180,000    165,385 
3.400% 7/15/46   30,000    22,767 
3.450% 2/01/50   40,000    30,443 
3.750% 4/01/40   80,000    67,403 
3.969% 11/01/47   80,000    66,258 
3.999% 11/01/49   20,000    16,507 
4.000% 8/15/47   20,000    16,666 
4.000% 3/01/48   50,000    41,667 
4.150% 10/15/28   180,000    174,398 
4.250% 10/15/30   190,000    182,968 
4.250% 1/15/33   20,000    18,999 
4.950% 10/15/58   10,000    9,601 
6.500% 11/15/35   41,000    45,900 
CSC Holdings LLC          
4.125% 12/01/30 (b)   210,000    146,900 
4.500% 11/15/31 (b)   200,000    139,443 
6.500% 2/01/29 (b)   250,000    202,009 
DISH DBS Corp.          
5.250% 12/01/26 (b)   120,000    96,261 
5.750% 12/01/28 (b)   120,000    89,254 
Fox Corp.          
5.476% 1/25/39   90,000    84,070 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Time Warner Cable Enterprises LLC          
8.375% 7/15/33  $20,000   $21,969 
Time Warner Cable LLC          
6.550% 5/01/37   50,000    47,934 
6.750% 6/15/39   120,000    115,329 
7.300% 7/01/38   100,000    101,907 
Virgin Media Secured Finance PLC          
5.500% 5/15/29 (b) (c)   210,000    189,956 
Walt Disney Co.          
6.200% 12/15/34   20,000    21,967 
6.650% 11/15/37   50,000    57,812 
         5,065,621 
Mining — 0.6%          
Anglo American Capital PLC          
4.750% 4/10/27 (b)   230,000    222,281 
Barrick North America Finance LLC          
5.700% 5/30/41   80,000    81,056 
5.750% 5/01/43   80,000    82,180 
BHP Billiton Finance USA Ltd.          
5.000% 9/30/43   100,000    100,033 
First Quantum Minerals Ltd.          
6.875% 10/15/27 (b)   230,000    224,365 
8.625% 6/01/31 (b)   200,000    204,976 
Freeport-McMoRan, Inc.          
4.550% 11/14/24   10,000    9,857 
4.625% 8/01/30   120,000    113,070 
5.450% 3/15/43   416,000    387,896 
Glencore Funding LLC          
3.875% 10/27/27 (b)   90,000    83,999 
4.000% 3/27/27 (b)   270,000    257,336 
4.125% 3/12/24 (b)   130,000    128,431 
Southern Copper Corp.          
5.250% 11/08/42   450,000    430,450 
         2,325,930 
Miscellaneous - Manufacturing — 0.1%          
3M Co.          
2.375% 8/26/29 (c)   140,000    120,235 
3.050% 4/15/30 (c)   60,000    54,061 
3.700% 4/15/50 (c)   150,000    118,702 
Eaton Corp.          
4.150% 11/02/42   40,000    35,584 
         328,582 
Oil & Gas — 2.6%          
BP Capital Markets America, Inc.          
3.000% 2/24/50   320,000    223,008 
3.119% 5/04/26   270,000    257,001 
3.588% 4/14/27   100,000    95,630 
3.633% 4/06/30   120,000    111,520 
Chevron Corp.          
1.995% 5/11/27   110,000    99,885 
3.078% 5/11/50   20,000    14,887 
Chevron USA, Inc.          
3.850% 1/15/28   170,000    165,804 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
ConocoPhillips Co.          
6.950% 4/15/29  $75,000   $82,501 
Continental Resources, Inc.          
2.268% 11/15/26 (b)   70,000    62,315 
4.375% 1/15/28   130,000    122,082 
5.750% 1/15/31 (b)   240,000    228,158 
Coterra Energy, Inc.          
3.900% 5/15/27   310,000    292,195 
4.375% 3/15/29   220,000    205,269 
Devon Energy Corp.          
4.750% 5/15/42   10,000    8,429 
5.000% 6/15/45   410,000    355,481 
5.250% 10/15/27   32,000    31,517 
5.600% 7/15/41   140,000    131,764 
5.850% 12/15/25   120,000    120,910 
5.875% 6/15/28   26,000    25,911 
7.875% 9/30/31   330,000    374,479 
8.250% 8/01/23   30,000    30,016 
Diamondback Energy, Inc.          
3.250% 12/01/26   10,000    9,395 
3.500% 12/01/29   160,000    144,019 
6.250% 3/15/33   1,620,000    1,675,838 
Ecopetrol SA          
5.875% 5/28/45   770,000    527,554 
EOG Resources, Inc.          
3.900% 4/01/35   200,000    179,372 
4.150% 1/15/26   70,000    68,513 
4.375% 4/15/30   60,000    58,670 
4.950% 4/15/50   150,000    148,030 
EQT Corp.          
3.900% 10/01/27   280,000    258,865 
6.125% STEP 2/01/25   12,000    11,933 
7.000% STEP 2/01/30   50,000    52,351 
Exxon Mobil Corp.          
2.992% 3/19/25   260,000    250,482 
3.043% 3/01/26   130,000    124,257 
3.482% 3/19/30   190,000    178,205 
4.114% 3/01/46   200,000    175,906 
4.327% 3/19/50   20,000    18,120 
Hess Corp.          
7.300% 8/15/31   210,000    230,277 
7.875% 10/01/29   110,000    121,234 
KazMunayGas National Co. JSC          
5.375% 4/24/30 (b)   200,000    185,502 
Occidental Petroleum Corp.          
4.400% 4/15/46   40,000    30,891 
4.625% 6/15/45   80,000    61,896 
6.600% 3/15/46 (c)   630,000    648,616 
Petrobras Global Finance BV          
5.999% 1/27/28 (c)   780,000    778,709 
Petroleos Mexicanos          
6.375% 1/23/45   220,000    135,124 
6.625% 6/15/35   303,000    211,291 
6.875% 8/04/26   160,000    149,440 
Pioneer Natural Resources Co.          
1.125% 1/15/26   40,000    36,020 
2.150% 1/15/31   190,000    155,536 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Reliance Industries Ltd.          
3.625% 1/12/52 (b)  $330,000   $235,118 
Shell International Finance BV          
2.750% 4/06/30   160,000    142,866 
2.875% 5/10/26   130,000    123,811 
3.250% 4/06/50   230,000    171,093 
4.000% 5/10/46   180,000    152,871 
4.550% 8/12/43   70,000    64,703 
Sinopec Group Overseas Development Ltd.          
4.375% 4/10/24 (b)   330,000    326,413 
Southwestern Energy Co.          
4.750% 2/01/32   60,000    52,880 
5.375% 3/15/30   20,000    18,664 
         10,953,227 
Oil & Gas Services — 0.0%          
Halliburton Co.          
3.800% 11/15/25   2,000    1,931 
4.850% 11/15/35   20,000    18,833 
5.000% 11/15/45   110,000    99,529 
Schlumberger Holdings Corp.          
3.900% 5/17/28 (b)   31,000    29,209 
         149,502 
Packaging & Containers — 0.0%          
Ball Corp.          
3.125% 9/15/31 (c)   100,000    82,257 
Pharmaceuticals — 1.4%          
AbbVie, Inc.          
2.600% 11/21/24   290,000    278,247 
2.950% 11/21/26   260,000    242,904 
3.200% 11/21/29   540,000    488,309 
3.600% 5/14/25   130,000    125,671 
3.800% 3/15/25   180,000    175,000 
4.250% 11/21/49   20,000    17,263 
4.550% 3/15/35   90,000    85,705 
4.875% 11/14/48   20,000    18,900 
Becton Dickinson & Co.          
3.363% 6/06/24   82,000    80,214 
4.685% 12/15/44   18,000    16,318 
Bristol-Myers Squibb Co.          
2.900% 7/26/24   206,000    200,601 
3.200% 6/15/26   204,000    195,231 
3.400% 7/26/29   19,000    17,648 
Cigna Group          
3.750% 7/15/23   161,000    160,855 
4.125% 11/15/25   100,000    97,350 
4.375% 10/15/28   160,000    154,712 
4.800% 8/15/38   190,000    179,362 
4.900% 12/15/48   100,000    93,067 
CVS Health Corp.          
1.875% 2/28/31   30,000    23,828 
2.125% 9/15/31   140,000    112,423 
3.750% 4/01/30   150,000    137,592 
4.125% 4/01/40   120,000    101,127 
4.250% 4/01/50   30,000    24,850 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
4.300% 3/25/28  $168,000   $162,022 
5.050% 3/25/48   280,000    258,088 
5.125% 7/20/45   100,000    92,513 
CVS Pass-Through Trust          
5.880% 1/10/28   51,973    50,935 
6.036% 12/10/28   49,131    48,726 
6.943% 1/10/30   46,778    47,669 
Johnson & Johnson          
0.950% 9/01/27   40,000    34,968 
3.625% 3/03/37   180,000    161,976 
Merck & Co., Inc.          
0.750% 2/24/26   200,000    180,723 
1.450% 6/24/30   120,000    97,848 
2.750% 12/10/51   200,000    137,947 
Pfizer, Inc.          
1.700% 5/28/30   250,000    207,419 
Teva Pharmaceutical Finance Netherlands BV          
7.125% 1/31/25 (c)   390,000    395,238 
Teva Pharmaceutical Finance Netherlands III BV          
3.150% 10/01/26   900,000    806,441 
6.000% 4/15/24   213,000    211,613 
         5,921,303 
Pipelines — 1.5%          
Cameron LNG LLC          
2.902% 7/15/31 (b)   40,000    34,445 
3.302% 1/15/35 (b)   130,000    108,369 
Cheniere Energy Partners LP          
3.250% 1/31/32   170,000    139,850 
El Paso Natural Gas Co. LLC          
8.375% 6/15/32 (c)   289,000    330,830 
Energy Transfer LP          
2.900% 5/15/25   170,000    161,072 
3.750% 5/15/30   410,000    369,946 
4.950% 6/15/28   50,000    48,499 
5.250% 4/15/29   80,000    78,099 
5.300% 4/01/44   20,000    17,321 
5.400% 10/01/47   40,000    35,255 
6.100% 2/15/42   140,000    132,335 
6.250% 4/15/49   230,000    224,636 
5 yr. CMT + 5.694% 6.500% VRN (d)   50,000    45,416 
5 yr. CMT + 5.134% 6.750% VRN (d)   160,000    142,403 
5 yr. CMT + 5.306% 7.125% VRN (d)   150,000    127,188 
3 mo. USD LIBOR + 4.028% 9.349% VRN (c) (d)   20,000    17,950 
Enterprise Products Operating LLC          
3.700% 1/31/51   260,000    198,909 
4.150% 10/16/28   900,000    860,424 
3 mo. TSFR + 2.832 5.375% VRN 2/15/78   40,000    33,091 
5.700% 2/15/42   40,000    40,645 
EQM Midstream Partners LP          
5.500% 7/15/28   10,000    9,462 
Kinder Morgan Energy Partners LP          
5.500% 3/01/44   30,000    27,341 
Kinder Morgan, Inc.          
4.300% 3/01/28   110,000    105,132 
5.200% 3/01/48   20,000    17,512 
MPLX LP          
4.500% 4/15/38   70,000    60,251 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
4.700% 4/15/48  $210,000   $172,361 
4.800% 2/15/29   190,000    183,230 
4.875% 12/01/24   90,000    88,700 
5.500% 2/15/49   60,000    54,372 
Southern Natural Gas Co. LLC          
8.000% 3/01/32   148,000    170,036 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.          
6.000% 12/31/30 (b)   10,000    8,810 
Targa Resources Corp.          
4.200% 2/01/33   60,000    53,108 
4.950% 4/15/52   40,000    33,049 
Targa Resources Partners LP/Targa Resources Partners Finance Corp.          
4.875% 2/01/31   130,000    120,138 
Tennessee Gas Pipeline Co. LLC          
2.900% 3/01/30 (b)   160,000    136,636 
Transcontinental Gas Pipe Line Co. LLC          
7.850% 2/01/26   60,000    62,822 
Venture Global Calcasieu Pass LLC          
3.875% 11/01/33 (b)   80,000    65,511 
Western Midstream Operating LP          
3.350% STEP 2/01/25   240,000    229,411 
4.300% STEP 2/01/30   850,000    763,171 
5.500% 8/15/48   20,000    16,725 
5.500% STEP 2/01/50   230,000    188,386 
Williams Cos., Inc.          
3.750% 6/15/27   90,000    84,933 
7.500% 1/15/31   200,000    219,585 
7.750% 6/15/31   350,000    387,198 
         6,404,563 
Real Estate Investment Trusts (REITS) — 0.4%          
CTR Partnership LP/CareTrust Capital Corp.          
3.875% 6/30/28 (b)   20,000    17,200 
Equinix, Inc.          
2.500% 5/15/31   1,641,000    1,336,094 
GLP Capital LP/GLP Financing II, Inc.          
5.250% 6/01/25   10,000    9,785 
5.375% 4/15/26   40,000    39,157 
WEA Finance LLC/Westfield U.K. & Europe Finance PLC          
3.750% 9/17/24 (b)   220,000    207,749 
         1,609,985 
Retail — 0.9%          
Costco Wholesale Corp.          
1.375% 6/20/27   190,000    167,749 
1.600% 4/20/30   110,000    91,577 
Home Depot, Inc.          
2.700% 4/15/30   70,000    62,191 
3.300% 4/15/40   120,000    97,443 
3.350% 4/15/50   190,000    144,996 
3.900% 12/06/28   30,000    29,042 
3.900% 6/15/47   40,000    33,994 
Lowe's Cos., Inc.          
4.500% 4/15/30   50,000    48,607 
5.625% 4/15/53 (c)   2,341,000    2,339,597 
McDonald's Corp.          
3.300% 7/01/25   60,000    57,840 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.500% 7/01/27  $100,000   $95,198 
3.600% 7/01/30   190,000    176,765 
3.625% 9/01/49   40,000    31,545 
3.800% 4/01/28   110,000    105,404 
4.200% 4/01/50   140,000    121,094 
Target Corp.          
2.250% 4/15/25   110,000    104,758 
Walmart, Inc.          
1.500% 9/22/28   80,000    69,467 
1.800% 9/22/31   40,000    33,211 
         3,810,478 
Semiconductors — 0.4%          
Broadcom, Inc.          
3.137% 11/15/35 (b)   490,000    375,852 
Intel Corp.          
1.600% 8/12/28   130,000    111,900 
3.050% 8/12/51   90,000    60,314 
3.700% 7/29/25   40,000    38,900 
4.750% 3/25/50   20,000    18,077 
5.125% 2/10/30   100,000    100,614 
Micron Technology, Inc.          
5.875% 2/09/33   130,000    129,350 
5.875% 9/15/33   30,000    29,728 
NVIDIA Corp.          
2.850% 4/01/30   90,000    81,614 
3.500% 4/01/40   240,000    205,462 
3.500% 4/01/50   100,000    81,263 
3.700% 4/01/60   170,000    140,155 
NXP BV/NXP Funding LLC/NXP USA, Inc.          
2.700% 5/01/25   120,000    113,731 
Texas Instruments, Inc.          
1.750% 5/04/30   110,000    92,375 
         1,579,335 
Software — 0.4%          
Microsoft Corp.          
2.400% 8/08/26   530,000    497,402 
2.525% 6/01/50   133,000    92,002 
2.921% 3/17/52   107,000    79,605 
3.041% 3/17/62   83,000    60,523 
3.300% 2/06/27   210,000    201,946 
Open Text Holdings, Inc.          
4.125% 2/15/30 (b)   10,000    8,468 
4.125% 12/01/31 (b) (c)   10,000    8,197 
Oracle Corp.          
1.650% 3/25/26   240,000    217,812 
2.875% 3/25/31   310,000    264,651 
2.950% 4/01/30   20,000    17,457 
4.650% 5/06/30   100,000    96,620 
Salesforce, Inc.          
3.700% 4/11/28   50,000    48,217 
         1,592,900 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Telecommunications — 1.3%          
AT&T, Inc.          
1.650% 2/01/28  $250,000   $214,856 
2.250% 2/01/32   20,000    15,886 
2.300% 6/01/27   250,000    224,840 
2.550% 12/01/33   120,000    94,257 
3.500% 9/15/53   180,000    127,425 
3.550% 9/15/55   323,000    226,121 
3.650% 9/15/59   60,000    41,773 
3.800% 12/01/57   10,000    7,240 
4.350% 6/15/45   101,000    84,640 
5.350% 9/01/40   40,000    38,664 
5.550% 8/15/41   40,000    39,474 
Sprint Spectrum Co. LLC/Sprint Spectrum Co. II LLC/Sprint Spectrum Co. III LLC          
4.738% 9/20/29 (b)   90,236    89,058 
T-Mobile USA, Inc.          
2.250% 2/15/26   70,000    64,320 
2.250% 11/15/31   70,000    56,003 
2.550% 2/15/31   130,000    108,057 
2.625% 2/15/29   170,000    147,650 
2.875% 2/15/31   170,000    143,694 
3.000% 2/15/41   60,000    43,867 
3.300% 2/15/51   20,000    14,030 
3.375% 4/15/29   70,000    63,213 
3.500% 4/15/25   350,000    336,503 
3.500% 4/15/31   380,000    335,311 
3.750% 4/15/27   50,000    47,330 
3.875% 4/15/30   190,000    175,041 
Telefonica Emisiones SA          
5.213% 3/08/47   150,000    130,461 
Verizon Communications, Inc.          
1.750% 1/20/31   280,000    220,902 
2.355% 3/15/32   40,000    32,171 
2.550% 3/21/31   420,000    350,672 
2.650% 11/20/40   260,000    180,855 
2.875% 11/20/50   470,000    306,199 
3.400% 3/22/41   40,000    30,872 
3.850% 11/01/42   40,000    32,356 
3.875% 2/08/29   130,000    121,925 
4.000% 3/22/50   120,000    97,364 
4.125% 8/15/46   180,000    147,960 
4.329% 9/21/28   440,000    424,162 
4.400% 11/01/34   270,000    249,203 
4.500% 8/10/33   40,000    37,746 
5.250% 3/16/37   170,000    168,337 
5.500% 3/16/47   30,000    30,015 
Vmed O2 U.K. Financing I PLC          
4.750% 7/15/31 (b)   200,000    166,300 
         5,466,753 
Transportation — 0.1%          
Union Pacific Corp.          
2.150% 2/05/27   50,000    45,662 
2.891% 4/06/36   270,000    215,267 
3.750% 7/15/25   70,000    67,944 
3.750% 2/05/70   150,000    113,453 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.839% 3/20/60  $120,000   $95,455 
         537,781 
           
TOTAL CORPORATE DEBT
(Cost $123,981,865)
        113,605,772 
           
MUNICIPAL OBLIGATIONS — 0.0%          
State of California, General Obligation          
5.000% 11/01/43   50,000    50,217 
           
TOTAL MUNICIPAL OBLIGATIONS
(Cost $50,018)
        50,217 
           
NON-U.S. GOVERNMENT AGENCY OBLIGATIONS — 6.1%          
Automobile Asset-Backed Securities — 0.1%          
Avis Budget Rental Car Funding AESOP LLC, Series 2021-1A, Class A          
1.380% 8/20/27 (b)   490,000    431,170 
Commercial Mortgage-Backed Securities — 2.4%          
Banc of America Merrill Lynch Trust, Series 2016-GG10, Class AJA,          
5.814% VRN 8/10/45 (b) (e)   379,765    91,143 
Bank          
Series 2017-BNK4, Class XA, 1.500% VRN 5/15/50 (e)   3,016,198    115,309 
Series 2017-BNK8, Class A3, 3.229% 11/15/50   266,500    243,084 
Series 2022-BNK40, Class A4, 3.507% VRN 3/15/64 (e)   270,000    233,877 
Benchmark Mortgage Trust          
Series 2021-B29, Class XA, 1.148% VRN 9/15/54 (e)   2,502,320    129,266 
Series 2019-B13, Class A3, 2.701% 8/15/57   290,000    246,618 
BPR Trust, Series 2021-TY, Class A, 1 mo. USD LIBOR + 1.050%          
6.243% FRN 9/15/38 (b)   140,000    132,900 
BX Commercial Mortgage Trust          
Series 2021-VINO, Class A, 1 mo. USD LIBOR + .652% 5.845% FRN 5/15/38 (b)   830,000    808,232 
Series 2021-21M, Class A, 1 mo. USD LIBOR + .730% 5.923% FRN 10/15/36 (b)   722,661    699,866 
Series 2023-VLT2, Class E, 1 mo. USD Term SOFR + 5.871% 11.018% FRN 6/15/40 (b)   490,000    487,634 
BX Trust, Series 2021-LBA, Class AV, 1 mo. USD Term SOFR + .914%          
6.062% FRN 2/15/36 (b)   250,000    241,879 
Cantor Commercial Real Estate Lending, Series 2019-CF1, Class A2          
3.623% 5/15/52   260,000    253,255 
Citigroup Commercial Mortgage Trust, Series 2014-GC23, Class B,          
4.175% VRN 7/10/47 (e)   350,000    325,232 
Credit Suisse Mortgage Trust          
Series 2014-USA, Class A2, 3.953% 9/15/37 (b)   190,000    163,787 
Series 2014-USA, Class E, 4.373% 9/15/37 (b)   140,000    73,632 
Series 2014-USA, Class F, 4.373% 9/15/37 (b)   2,440,000    981,904 
Series 2022-MARK, Class A, 1 mo. USD Term SOFR + 2.695% 7.842% FRN 6/15/39 (b)   130,000    129,312 
Series 2017-CHOP, Class G, 1 mo. USD LIBOR + 5.350% 10.543% FRN 7/15/32 (b)   750,000    676,409 
Deutsche Bank Commercial Mortgage Trust, Series 2016-C3, Class A4          
2.632% 8/10/49   125,983    113,510 
GS Mortgage Securities Corp. Trust, Series 2018-SRP5, Class A, 1 mo. USD LIBOR + 1.800%          
6.993% FRN 9/15/31 (b)   1,211,658    1,013,127 
JPMBB Commercial Mortgage Securities Trust          
Series 2014-C19, Class XA, 0.719% VRN 4/15/47 (e)   769,085    2,439 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2015-C31, Class B, 4.776% VRN 8/15/48 (e)  $160,000   $138,595 
Series 2013-C17, Class B, 5.048% VRN 1/15/47 (e)   30,000    26,926 
LAQ Mortgage Trust, Series 2023-LAQ, Class A, 1 mo. USD Term SOFR + 2.091%          
7.238% FRN 3/15/36 (b)   121,978    121,447 
ML-CFC Commercial Mortgage Trust, Series 2007-9, Class AJ,          
6.193% VRN 9/12/49 (e)   2,891    2,799 
MTN Commercial Mortgage Trust, Series 2022-LPFL, Class A, 1 mo. USD Term SOFR + 1.397%          
6.544% FRN 3/15/39 (b)   190,000    186,458 
PFP Ltd., Series 2021-8, Class A, 1 mo. USD LIBOR + 1.000%          
6.158% FRN 8/09/37 (b)   454,697    441,908 
Shops at Crystals Trust, Series 2016-CSTL, Class A          
3.126% 7/05/36 (b)   320,000    287,389 
TTAN, Series 2021-MHC, Class A, 1 mo. USD LIBOR + .850%          
6.044% FRN 3/15/38 (b)   411,094    401,854 
UBS Commercial Mortgage Trust, Series 2017-C1, Class A4          
3.460% 6/15/50   170,000    154,799 
Waterfall Commercial Mortgage Trust, Series 2015-SBC5, Class A,          
4.104% VRN 9/14/22 (b) (e)   28,754    28,140 
Wells Fargo Commercial Mortgage Trust          
Series 2019-C52, Class XA, 1.749% VRN 8/15/52 (e)   5,507,365    357,003 
Series 2017-C42, Class D, 2.800% VRN 12/15/50 (b) (e)   710,000    449,625 
Series 2013-LC12, Class B, 4.435% VRN 7/15/46 (e)   140,000    104,131 
WFRBS Commercial Mortgage Trust          
Series 2014-C24, Class B, 4.204% VRN 11/15/47 (e)   190,000    173,268 
Series 2014-C24, Class C, 4.290% VRN 11/15/47 (e)   190,000    162,707 
         10,199,464 
Home Equity Asset-Backed Securities — 0.3%          
Asset-Backed Securities Corp. Home Equity Loan Trust, Series 2003-HE6, Class A3B, 1 mo. USD LIBOR + .960%          
6.110% FRN 11/25/33   1,192,719    1,155,667 
GSAA Home Equity Trust, Series 2006-5, Class 2A3, 1 mo. USD LIBOR + .540%          
5.690% FRN 3/25/36   302,746    151,342 
         1,307,009 
Manufactured Housing Asset-Backed Securities — 0.1%          
Conseco Finance Corp., Series 1996-4, Class M1,          
7.750% VRN 6/15/27 (e)   352,493    348,965 
Other Asset-Backed Securities — 1.1%          
Arbor Realty Commercial Real Estate Notes Ltd., Series 2021-FL3, Class A, 1 mo. USD LIBOR + 1.070%          
6.263% FRN 8/15/34 (b)   790,000    770,766 
Credit Suisse European Mortgage Capital Ltd., Series 2019-1OTF, Class A1, 3 mo. USD LIBOR + 2.900%          
8.199% FRN 8/09/24 (b)   930,000    898,337 
Dividend Solar Loans LLC, Series 2019-1, Class A          
3.670% 8/22/39 (b)   693,097    601,097 
InStar Leasing III LLC, Series 2021-1A, Class A          
2.300% 2/15/54 (b)   559,030    464,760 
ITE Rail Fund Levered LP, Series 2021-1A, Class A          
2.250% 2/28/51 (b)   696,199    591,173 
Mosaic Solar Loans LLC, Series 2021-3A, Class B          
1.920% 6/20/52 (b)   755,167    581,977 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Structured Asset Investment Loan Trust, Series 2004-8, Class A9, 1 mo. USD LIBOR + 1.000%          
6.150% FRN 9/25/34  $539,466   $530,546 
U.S. Small Business Administration          
Series 2019-25G, Class 1, 2.690% 7/01/44   193,952    167,720 
Series 2019-20D, Class 1, 2.980% 4/01/39   129,874    117,875 
         4,724,251 
Student Loans Asset-Backed Securities — 0.3%          
College Ave Student Loans LLC, Series 2019-A, Class A2          
3.280% 12/28/48 (b)   229,541    208,076 
Navient Private Education Refi Loan Trust, Series 2020-IA, Class A1A          
1.330% 4/15/69 (b)   345,019    301,525 
SMB Private Education Loan Trust          
Series 2020-A, Class A2A, 2.230% 9/15/37 (b)   382,938    349,386 
Series 2021-A, Class B, 2.310% 1/15/53 (b)   600,000    539,577 
         1,398,564 
Whole Loan Collateral Collateralized Mortgage Obligations — 1.7%          
Bear Stearns Asset -Backed Securities I Trust, Series 2005-AC8, Class A3, 1 mo. USD LIBOR + 7.650%          
2.500% FRN 11/25/35   628,165    111,973 
BRAVO Residential Funding Trust, Series 2022-NQM3, Class A1,          
5.108% VRN 7/25/62 (b) (e)   317,970    313,475 
Citigroup Mortgage Loan Trust, Series 2007-6, Class 2A4, 1 mo. USD LIBOR + .350%          
5.500% FRN 5/25/37   1,258,721    697,789 
Credit Suisse Mortgage Trust, Series 2015-4R, Class 3A3, 1 mo. USD LIBOR + .310%          
4.106% FRN 10/27/36 (b)   666,285    308,844 
GS Mortgage Securities Trust, Series 2014-2R, Class 3B          
5.748% 11/26/37 (b)   1,220,000    1,014,600 
GSR Mortgage Loan Trust, Series 2005-AR5, Class 2A3,          
4.000% VRN 10/25/35 (e)   44,574    24,129 
HarborView Mortgage Loan Trust, Series 2006-2, Class 1A,          
4.720% VRN 2/25/36 (e)   27,306    9,595 
HOMES Trust, Series 2023-NQM1, Class A1,          
6.182% STEP 1/25/68 (b)   495,906    490,928 
JP Morgan Mortgage Trust          
Series 2018-3, Class A1, 3.500% VRN 9/25/48 (b) (e)   234,027    205,827 
Series 2018-4, Class A1, 3.500% VRN 10/25/48 (b) (e)   100,442    88,406 
New Residential Mortgage Loan Trust          
Series 2018-RPL1, Class M2, 3.500% VRN 12/25/57 (b) (e)   730,000    608,175 
Series 2017-4A, Class A1, 4.000% VRN 5/25/57 (b) (e)   206,237    190,151 
Onslow Bay Financial LLC          
Series 2022-NQM6, Class A1, 4.700% STEP 7/25/62 (b)   500,623    482,670 
Series 2023-NQM3, Class A1, 5.949% STEP 2/25/63 (b)   494,602    491,510 
Prime Mortgage Trust          
Series 2006-DR1, Class 1A1, 5.500% 5/25/35 (b)   2,229    2,091 
Series 2006-DR1, Class 2A2, 6.000% 5/25/35 (b)   450,224    378,522 
PRKCM Trust, Series 2023-AFC1, Class A1,          
6.598% STEP 2/25/58 (b)   484,202    485,675 
Structured Adjustable Rate Mortgage Loan Trust, Series 2006-7, Class 1A1,          
4.300% VRN 8/25/36 (e)   149,902    104,934 
Structured Asset Mortgage Investments Trust, Series 2005-AR7, Class 4A1, 1 yr. MTA + 2.150%          
6.126% FRN 3/25/46   93,370    81,821 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Towd Point Mortgage Trust          
Series 2017-4, Class B2, 3.547% VRN 6/25/57 (b) (e)  $740,000   $590,174 
Series 2022-4,Class A1, 3.750% 9/25/62 (b) (e)   393,125    360,666 
         7,041,955 
Whole Loan Collateral Planned Amortization Classes — 0.0%          
Countrywide Alternative Loan Trust, Series 2006-18CB, Class A6, 1 mo. USD LIBOR + 28.600%          
7.998% FRN 7/25/36   40,005    34,171 
Whole Loan Collateral Support Collateralized Mortgage Obligations — 0.1%          
Washington Mutual Mortgage Pass-Through Certificates Trust, Series 2006-AR3, Class A1B, 1 yr. MTA + 1.000%          
4.976% FRN 2/25/46   438,813    372,789 
           
TOTAL NON-U.S. GOVERNMENT AGENCY OBLIGATIONS
(Cost $28,968,421)
        25,858,338 
           
SOVEREIGN DEBT OBLIGATIONS — 4.5%          
Argentina Government International Bonds          
3.500% STEP 7/09/41   110,000    35,247 
Brazil Notas do Tesouro Nacional Serie F          
10.000% 1/01/27 BRL (f)   3,328,000    657,219 
10.000% 1/01/33 BRL (f)   3,703,000    707,434 
Brazilian Government International Bonds          
5.000% 1/27/45   810,000    630,529 
5.625% 1/07/41   630,000    556,237 
Colombia Government International Bonds          
3.250% 4/22/32   430,000    317,796 
4.125% 2/22/42   440,000    279,483 
Indonesia Government International Bonds          
5.125% 1/15/45 (b)   220,000    218,404 
Indonesia Treasury Bonds          
6.500% 2/15/31 IDR (f)   55,850,000,000    3,753,299 
Israel Government International Bonds          
2.750% 7/03/30   310,000    273,482 
Kenya Government International Bonds          
6.300% 1/23/34 (b)   370,000    278,545 
Mexican Bonos          
7.750% 11/23/34 MXN (f)   17,120,000    933,414 
7.750% 11/13/42 MXN (f)   46,165,600    2,418,886 
8.000% 11/07/47 MXN (f)   76,980,000    4,107,819 
8.500% 5/31/29 MXN (f)   18,880,000    1,092,044 
Mexico Government International Bonds          
4.750% 3/08/44   730,000    623,460 
Nigeria Government International Bonds          
7.143% 2/23/30 (b)   210,000    175,683 
Pakistan Government International Bonds          
4.500% 4/01/56   350,000    262,228 
Peruvian Government International Bonds          
6.550% 3/14/37   210,000    235,200 
Provincia de Buenos Aires/Government Bonds          
5.250% STEP 9/01/37 (b)   1,920,019    729,607 
Russia Federal Bonds - OFZ          
6.900% 5/23/29 RUB (f)   128,828,000    71,971 
7.250% 5/10/34 RUB (f)   60,500,000    226,452 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
7.700% 3/16/39 RUB (f)  $86,260,000   $322,873 
         18,907,312 
           
TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $23,990,854)
        18,907,312 
           
U.S. Government Agency Obligations and Instrumentalities (g) — 34.8%          
Collateralized Mortgage Obligations — 2.1%          
Federal Home Loan Mortgage Corp.          
Series 3422, Class AI, 0.250% STEP 1/15/38   6,568    46 
Series 353, Class S1, 1 mo. USD LIBOR + 6.000% 0.807% FRN 12/15/46   196,431    17,181 
Series 334, Class S7, 1 mo. USD LIBOR + 6.100% 0.907% FRN 8/15/44   82,238    8,048 
Series 3621, Class SB, 1 mo. USD LIBOR + 6.230% 1.037% FRN 1/15/40   18,944    1,711 
Series 4203, Class PS, 1 mo. USD LIBOR + 6.250% 1.057% FRN 9/15/42   80,420    5,516 
Series 3973, Class SA, 1 mo. USD LIBOR + 6.490% 1.297% FRN 12/15/41   119,496    11,918 
Series 5092, Class AP, 2.000% 4/25/41   80,868    70,245 
Series 5018, Class MI, 2.000% 10/25/50   337,595    41,613 
Series 5140, Class NI, 2.500% 5/25/49   266,671    35,623 
Series 5010, Class IK, 2.500% 9/25/50   200,149    29,317 
Series 5010, Class JI, 2.500% 9/25/50   481,820    72,490 
Series 5013, Class IN, 2.500% 9/25/50   243,538    36,421 
Series 5040, Class IB, 2.500% 11/25/50   143,634    19,571 
Series 5059, Class IB, 2.500% 1/25/51   683,103    103,030 
Series 5069, Class MI, 2.500% 2/25/51   76,411    10,716 
Series 4793, Class CB, 3.000% 5/15/48   184,031    164,582 
Series 4793, Class CD, 3.000% 6/15/48   117,874    105,384 
Series 4813, Class CJ, 3.000% 8/15/48   100,822    92,478 
Series 5224, Class HL, 4.000% 4/25/52   400,000    362,026 
Series R007, Class ZA, 6.000% 5/15/36   50,700    51,924 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates          
Series K741, Class X1, 0.654% VRN 12/25/27 (e)   2,988,710    60,911 
Series K094, Class X1, 1.015% VRN 6/25/29 (e)   992,458    41,452 
Series K743, Class X1, 1.027% VRN 5/25/28 (e)   3,993,212    150,331 
Series KC05, Class X1, 1.349% VRN 6/25/27 (e)   1,518,165    41,018 
Series K736, Class X1, 1.411% VRN 7/25/26 (e)   2,027,605    63,456 
Series K115, Class X1, 1.428% VRN 6/25/30 (e)   996,724    70,883 
Series K110, Class X1, 1.813% VRN 4/25/30 (e)   1,293,552    111,032 
Series K143, Class A2, 2.350% 3/25/32   100,000    84,571 
Series K751, Class A2, 4.412% 3/25/30   100,000    98,771 
Series 2019-KF58, Class B, 1 mo. USD LIBOR + 2.150% 7.343% FRN 1/25/26 (b)   506,574    497,615 
Federal Home Loan Mortgage Corp. REMICS          
Series 5085, Class NI, 2.000% 3/25/51   605,413    70,744 
Series 4391, Class MZ, 3.000% 9/15/44   259,950    224,678 
Federal National Mortgage Association          
Series 2005-88, Class IP, 0.092% FRN 10/25/35 (e)   19,530    1,356 
Series 2006-88, Class IP, 0.255% VRN 3/25/36 (e)   23,534    1,448 
Series 2013-124, Class SB, 1 mo. USD LIBOR + 5.950% 0.800% FRN 12/25/43   192,442    17,732 
Series 2006-59, Class IP, 0.932% FRN 7/25/36 (e)   52,912    2,618 
Series 2016-61, Class BS, 1 mo. USD LIBOR + 6.100% 0.950% FRN 9/25/46   67,594    3,896 
Series 2017-76, Class SB, 1 mo. USD LIBOR + 6.100% 0.950% FRN 10/25/57   418,585    41,533 
Series 2012-133, Class CS, 1 mo. USD LIBOR + 6.150% 1.000% FRN 12/25/42   60,111    7,954 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2012-134, Class SK, 1 mo. USD LIBOR + 6.150% 1.000% FRN 12/25/42  $112,747   $12,970 
Series 2013-54, Class BS, 1 mo. USD LIBOR + 6.150% 1.000% FRN 6/25/43   142,480    14,838 
Series 2017-85, Class SC, 1 mo. USD LIBOR + 6.200% 1.050% FRN 11/25/47   117,309    9,130 
Series 2012-35, Class SC, 1 mo. USD LIBOR + 6.500% 1.350% FRN 4/25/42   53,817    5,996 
Series 2011-87, Class SG, 1 mo. USD LIBOR + 6.550% 1.400% FRN 4/25/40   39,264    446 
Series 2011-96, Class SA, 1 mo. USD LIBOR + 6.550% 1.400% FRN 10/25/41   116,093    8,178 
Series 2012-74, Class SA, 1 mo. USD LIBOR + 6.650% 1.500% FRN 3/25/42   28,436    1,563 
Series 2021-65, Class JA, 2.000% 1/25/46   76,353    65,023 
Series 2020-57, Class 57, 2.000% 4/25/50   208,835    177,413 
Series 2020-47, Class GZ, 2.000% 7/25/50   318,535    188,093 
Series 2020-97, Class AI, 2.000% 1/25/51   176,941    22,262 
Series 2020-56, Class DI, 2.500% 8/25/50   390,170    56,341 
Series 2020-74, Class EI, 2.500% 10/25/50   152,173    22,872 
Series 2020-89, Class DI, 2.500% 12/25/50   1,063,202    157,968 
Series 2021-3, Class QI, 2.500% 2/25/51   719,484    108,432 
Series 409, Class C2, 3.000% 4/25/27   31,186    1,084 
Series 2012-118, Class VZ, 3.000% 11/25/42   135,914    122,014 
Series 409, Class C13, 3.500% 11/25/41   48,169    6,966 
Series 409, Class C18, 4.000% 4/25/42   55,366    9,376 
Series 409, Class C22, 4.500% 11/25/39   36,275    6,204 
Series 2006-118, Class IP1, 5.371% FRN 12/25/36 (e)   47,963    3,630 
Series 2011-59, Class NZ, 5.500% 7/25/41   238,622    243,171 
Series 2013-9, Class CB, 5.500% 4/25/42   195,049    196,836 
Series 2006-118, Class IP2, 5.708% FRN 12/25/36 (e)   37,959    2,480 
Series 2012-46, Class BA, 6.000% 5/25/42   50,153    51,178 
Series 2012-28, Class B, 6.500% 6/25/39   2,679    2,695 
Series 2013-9, Class BC, 6.500% 7/25/42   57,929    60,815 
Series 2012-51, Class B, 7.000% 5/25/42   40,614    42,893 
Federal National Mortgage Association Grantor Trust
Series 2017-T1, Class A 2.898% 6/25/27
   99,300    92,089 
Federal National Mortgage Association REMICS
Series 2014-6, Class Z 2.500% 2/25/44
   253,025    212,795 
Federal National Mortgage Association-ACES          
Series 2020-M36, Class X1, 1.541% VRN 9/25/34 (e)   1,156,653    91,454 
Series 2019-M19, Class A2, 2.560% 9/25/29   433,630    385,005 
Government National Mortgage Association          
Series 2017-H20, Class IB, 0.153% VRN 10/20/67 (e)   52,949    2,028 
Series 2017-H18, Class BI, 0.163% VRN 9/20/67 (e)   2,618,524    111,379 
Series 2012-144, Class IO, 0.325% VRN 1/16/53 (e)   2,064,567    13,065 
Series 2012-135, Class IO, 0.340% VRN 1/16/53 (e)   2,257,698    30,998 
Series 2014-186, Class IO, 0.373% VRN 8/16/54 (e)   341,339    3,008 
Series 2014-22, Class IA, 0.475% FRN 11/20/42 (e)   17,455    648 
Series 2017-41, Class IO, 0.593% VRN 7/16/58 (e)   512,310    15,209 
Series 2021-60, Class IO, 0.826% VRN 5/16/63 (e)   2,273,633    140,352 
Series 2016-135, Class SB, 1 mo. USD LIBOR + 6.100% 0.942% FRN 10/16/46   99,127    13,106 
Series 2016-21, Class ST, 1 mo. USD LIBOR + 6.150% 1.004% FRN 2/20/46   54,568    5,563 
Series 2010-85, Class HS, 1 mo. USD LIBOR + 6.650% 1.504% FRN 1/20/40   3,137    16 
Series 2012-H27, Class AI, 1.732% VRN 10/20/62 (e)   255,912    7,592 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2017-H15, Class KI, 1.763% VRN 7/20/67 (e)  $104,514   $5,178 
Series 2022-3, Class B, 1.850% 2/16/61   200,000    113,992 
Series 2020-181, Class WI, 2.000% 12/20/50   1,289,898    137,976 
Series 2021-188, Class PA, 2.000% 10/20/51   518,310    433,142 
Series 2023-92, Class AH, 2.000% 6/16/64   700,000    555,736 
Series 2020-123, Class NI, 2.500% 8/20/50   389,419    50,429 
Series 2020-123, Class IL, 2.500% 8/20/50   151,568    19,293 
Series 2020-127, Class IN, 2.500% 8/20/50   154,041    20,044 
Series 2020-129, Class IE, 2.500% 9/20/50   158,945    20,748 
Series 2020-160, Class IH, 2.500% 10/20/50   162,926    21,967 
Series 2020-160, Class YI, 2.500% 10/20/50   638,238    83,906 
Series 2020-160, Class VI, 2.500% 10/20/50   238,232    32,026 
Series 2022-115, Class MI, 2.500% 5/20/51   245,652    25,477 
Series 2022-189, Class PT, 2.500% 10/20/51   290,036    241,642 
Series 2013-107, Class AD, 2.841% VRN 11/16/47 (e)   151,113    138,029 
Series 2022-196, Class BE, 3.000% VRN 10/16/64 (e)   200,000    146,025 
Series 2022-220, Class E, 3.000% VRN 10/16/64 (e)   100,000    75,060 
Series 2013-53, Class OI, 3.500% 4/20/43   279,670    29,415 
Series 2020-47, Class MI, 3.500% 4/20/50   259,114    43,745 
Series 2020-47, Class NI, 3.500% 4/20/50   71,855    12,246 
Series 2014-176, Class IA, 4.000% 11/20/44   34,840    5,815 
Series 2015-167, Class OI, 4.000% 4/16/45   44,572    7,694 
Series 2020-H13, Class FC, 1 mo. USD LIBOR + .450% 4.389% FRN 7/20/70   49,454    48,451 
Series 2020-H13, Class FA, 1 mo. USD LIBOR + .450% 4.423% FRN 7/20/70   129,593    126,849 
Series 2016-84, Class IG, 4.500% 11/16/45   203,740    36,829 
Series 2020-H09, Class FL, 1 mo. USD LIBOR + 1.150% 4.855% FRN 5/20/70   373,707    371,385 
Series 2018-H07, Class FD, 1 mo. USD LIBOR + .300% 5.394% FRN 5/20/68   193,314    191,664 
Series 2010-H28, Class FE, 1 mo. USD LIBOR + .400% 5.494% FRN 12/20/60   62,357    61,948 
Series 2011-H08, Class FG, 1 mo. USD LIBOR + .480% 5.574% FRN 3/20/61   54,737    54,434 
Series 2011-H09, Class AF, 1 mo. USD LIBOR + .500% 5.594% FRN 3/20/61   31,389    31,226 
Series 2020-H09, Class NF, 1 mo. USD LIBOR + 1.250% 6.344% FRN 4/20/70   110,498    110,908 
         8,810,292 
Pass-Through Securities — 32.1%          
Federal Home Loan Mortgage Corp.          
Pool #RB5084 1.500% 11/01/40   302,773    250,991 
Pool #RB5110 1.500% 5/01/41   673,361    555,885 
Pool #RB5117 1.500% 7/01/41   513,098    421,658 
Pool #RA4537 1.500% 2/01/51   85,503    66,337 
Pool #RB5125 2.000% 9/01/41   857,176    728,789 
Pool #RB5131 2.000% 10/01/41   87,004    73,864 
Pool #RB5138 2.000% 12/01/41 (h)   177,616    150,791 
Pool #SC0313 2.000% 1/01/42   761,166    642,877 
Pool #QK1354 2.000% 2/01/42   89,738    75,792 
Pool #RB5145 2.000% 2/01/42   272,494    230,147 
Pool #SC0384 2.000% 4/01/42   397,449    337,919 
Pool #RB5153 2.000% 4/01/42   92,745    78,332 
Pool #SC0319 2.000% 4/01/42 (h)   94,977    80,633 
Pool #QB4985 2.000% 11/01/50   75,410    62,065 
Pool #RA3882 2.000% 11/01/50   317,983    261,115 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #QB9087 2.000% 2/01/51  $370,867   $306,974 
Pool #QB8602 2.000% 2/01/51   76,094    63,009 
Pool #QB9482 2.000% 3/01/51   76,550    63,099 
Pool #QC0041 2.000% 3/01/51   76,248    62,850 
Pool #QC0160 2.000% 3/01/51   67,389    55,716 
Pool #QC0161 2.000% 3/01/51   79,723    65,714 
Pool #QB9290 2.000% 3/01/51   249,644    206,401 
Pool #SD0573 2.000% 4/01/51   143,932    119,000 
Pool #QC0885 2.000% 4/01/51   83,217    68,803 
Pool #QC1164 2.000% 4/01/51   74,257    61,371 
Pool #SD8146 2.000% 5/01/51   1,177,401    961,682 
Pool #SD8172 2.000% 10/01/51   270,357    220,823 
Pool #QD2129 2.000% 11/01/51   1,009,499    824,227 
Pool #SD0745 2.000% 11/01/51   87,815    72,439 
Pool #840698 5 yr. CMT + 1.285% 2.104% FRN 3/01/47   17,943    16,542 
Pool #RB5149 2.500% 3/01/42   90,980    79,779 
Pool #SD7521 2.500% 7/01/50   272,385    234,509 
Pool #SD7525 2.500% 10/01/50   142,864    122,999 
Pool #QB5092 2.500% 11/01/50   149,440    128,496 
Pool #QB5093 2.500% 11/01/50   76,598    65,720 
Pool #RA3913 2.500% 11/01/50   441,367    379,649 
Pool #RA4142 2.500% 12/01/50   74,166    63,772 
Pool #SD8129 2.500% 2/01/51   66,130    56,304 
Pool #QC0165 2.500% 3/01/51   75,525    64,988 
Pool #QC5830 2.500% 8/01/51   173,919    149,002 
Pool #QC6551 2.500% 9/01/51   86,000    73,625 
Pool #QC7411 2.500% 9/01/51   89,800    76,794 
Pool #QC9443 2.500% 10/01/51   179,711    152,728 
Pool #SD1751 2.500% 10/01/51   189,162    161,824 
Pool #SD0777 2.500% 11/01/51   89,138    75,953 
Pool #SD7548 2.500% 11/01/51   883,796    757,726 
Pool #QD1850 2.500% 12/01/51   87,296    74,189 
Pool #SD7552 2.500% 1/01/52   271,387    231,911 
Pool #SD0849 2.500% 1/01/52   89,279    76,377 
Pool #RA6562 2.500% 1/01/52   174,394    150,117 
Pool #QD6079 2.500% 2/01/52   91,365    78,161 
Pool #QD8675 2.500% 3/01/52   90,963    77,760 
Pool #SD1749 2.500% 4/01/52   285,510    243,801 
Pool #SD7554 2.500% 4/01/52   1,197,259    1,024,229 
Pool #841077 1 yr. USD LIBOR + 1.619% 2.874% FRN 11/01/47   114,485    108,359 
Pool #ZT1257 3.000% 1/01/46   140,082    126,999 
Pool #G67701 3.000% 10/01/46   557,602    503,239 
Pool #G60985 3.000% 5/01/47   1,110,698    1,001,024 
Pool #SD7509 3.000% 11/01/49   47,380    42,355 
Pool #QC9154 3.000% 10/01/51   92,097    81,811 
Pool #SD0781 3.000% 11/01/51   84,405    74,418 
Pool #QD7333 3.000% 2/01/52   92,760    82,016 
Pool #841076 1 yr. USD LIBOR + 1.628% 3.006% FRN 11/01/48   438,445    411,756 
Pool #841081 1 yr. USD LIBOR + 1.621% 3.098% FRN 2/01/50   184,161    174,284 
Pool #ZS9316 3.500% 1/01/38   256,876    243,767 
Pool #Q41209 3.500% 6/01/46   117,425    109,395 
Pool #SD1549 3.500% 4/01/52   283,375    258,708 
Pool #SD8214 3.500% 5/01/52   281,335    256,472 
Pool #SD1936 3.500% 6/01/52   291,350    265,966 
Pool #Q19135 4.000% 6/01/43   23,147    22,332 
Pool #Q19236 4.000% 6/01/43   15,104    14,501 
Pool #Q19985 4.000% 7/01/43   631,455    609,229 
Pool #Q19615 4.000% 7/01/43   21,819    21,051 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #C09071 4.000% 2/01/45  $121,155   $115,792 
Pool #G67713 4.000% 6/01/48   459,397    440,643 
Pool #SD2866 4.000% 7/01/49   99,019    94,466 
Pool #SD2549 4.000% 7/01/52   96,057    91,339 
Pool #SD7560 4.000% 2/01/53   293,891    278,586 
Pool #U92272 4.500% 12/01/43   2,407    2,365 
Pool #SD2792 4.500% 3/01/47   97,397    95,709 
Pool #Q49177 4.500% 6/01/47   47,575    46,684 
Pool #SD1143 4.500% 9/01/50   84,758    82,624 
Pool #SD0615 4.500% 1/01/51   89,109    86,838 
Pool #SD1807 4.500% 7/01/52   96,940    93,613 
Pool #SD8245 4.500% 9/01/52   2,822,360    2,712,259 
Pool #SD2190 4.500% 10/01/52   97,428    93,627 
Pool #SD8257 4.500% 10/01/52   1,996,712    1,918,819 
Pool #SD2443 4.500% 10/01/52   98,788    94,996 
Pool #QF3201 4.500% 11/01/52   98,020    94,226 
Pool #SD1775 4.500% 11/01/52   193,259    186,324 
Pool #SD2251 4.500% 11/01/52   99,078    95,213 
Pool #SD2394 4.500% 11/01/52   98,834    95,009 
Pool #QF3213 4.500% 11/01/52   95,716    92,213 
Pool #SD2355 4.500% 12/01/52   96,939    93,188 
Pool #SD1305 5.000% 7/01/52   422,190    415,654 
Pool #QF5465 5.000% 12/01/52   98,167    96,463 
Pool #SD2374 5.000% 1/01/53   98,597    96,886 
Pool #SD2395 5.000% 1/01/53   95,567    93,789 
Pool #SD2591 5.000% 3/01/53   196,464    193,300 
Pool #RA8790 5.000% 4/01/53   199,536    195,636 
Pool #G06875 5.500% 12/01/38   4,134    4,201 
Pool #SD8268 5.500% 11/01/52   6,623,157    6,600,582 
Pool #SD2138 5.500% 1/01/53   98,021    97,895 
Pool #SD2723 5.500% 3/01/53   99,573    99,638 
Pool #SD2511 5.500% 4/01/53   99,498    99,273 
Pool #QF9985 5.500% 4/01/53   98,532    98,161 
Pool #QG1295 5.500% 4/01/53   99,803    99,513 
Pool #SD2762 5.500% 5/01/53   198,037    197,733 
Pool #SD2756 5.500% 5/01/53   98,098    97,889 
Pool #SD2284 6.000% 12/01/52   190,921    193,684 
Pool #QF4924 6.000% 12/01/52   96,334    98,175 
Pool #G06669 6.500% 9/01/39   8,102    8,456 
Pool #G07509 6.500% 9/01/39   7,588    7,964 
Pool #QF6690 6.500% 1/01/53   94,180    96,319 
Pool #SD2452 6.500% 2/01/53   97,290    99,830 
Pool #RA8904 6.500% 4/01/53   197,320    202,410 
Pool #RA9081 6.500% 5/01/53   99,881    102,926 
Pool #G07335 7.000% 3/01/39   17,291    18,509 
Federal National Mortgage Association          
Pool #MA4519 1.500% 1/01/42   90,938    74,305 
Pool #MA4236 1.500% 1/01/51   168,223    130,516 
Pool #MA4280 1.500% 3/01/51   299,207    232,140 
Pool #MA4474 2.000% 11/01/41   87,670    74,429 
Pool #MA4501 2.000% 12/01/41   177,851    150,990 
Pool #MA4540 2.000% 2/01/42   90,297    76,265 
Pool #FS4613 2.000% 5/01/42   99,317    84,441 
Pool #BQ3331 2.000% 8/01/50   77,745    63,744 
Pool #BQ0254 2.000% 8/01/50   68,183    56,458 
Pool #BQ1528 2.000% 9/01/50   68,780    56,952 
Pool #CA7023 2.000% 9/01/50   150,150    123,437 
Pool #BQ4926 2.000% 10/01/50   150,782    123,627 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #CA7224 2.000% 10/01/50  $149,279   $122,722 
Pool #CA7225 2.000% 10/01/50   76,028    62,502 
Pool #MA4208 2.000% 12/01/50   76,594    62,705 
Pool #MA4237 2.000% 1/01/51   156,848    128,405 
Pool #BR4052 2.000% 2/01/51   79,626    65,436 
Pool #CA8779 2.000% 2/01/51   246,587    201,793 
Pool #BR2644 2.000% 2/01/51   71,131    58,632 
Pool #BR2664 2.000% 2/01/51   284,505    235,491 
Pool #BR3500 2.000% 2/01/51   61,487    50,337 
Pool #BR3256 2.000% 2/01/51   72,182    59,837 
Pool #CA9220 2.000% 2/01/51   420,134    343,815 
Pool #MA4255 2.000% 2/01/51   79,492    65,076 
Pool #BR2641 2.000% 2/01/51   75,155    62,207 
Pool #BR2643 2.000% 2/01/51   73,828    61,040 
Pool #BR3257 2.000% 2/01/51   76,204    63,099 
Pool #BR3286 2.000% 3/01/51   76,228    63,095 
Pool #BR4722 2.000% 3/01/51   73,771    60,808 
Pool #BR4753 2.000% 3/01/51   81,412    67,386 
Pool #BR4756 2.000% 3/01/51   71,892    59,259 
Pool #BR5487 2.000% 3/01/51   79,296    65,362 
Pool #BR5587 2.000% 3/01/51   82,422    68,145 
Pool #BR5633 2.000% 3/01/51   82,849    68,291 
Pool #FM6343 2.000% 3/01/51   82,917    68,347 
Pool #BQ9453 2.000% 3/01/51   167,708    138,658 
Pool #FM6418 2.000% 3/01/51   82,168    68,012 
Pool #BR7745 2.000% 4/01/51   73,850    61,035 
Pool #BR7744 2.000% 4/01/51   76,453    63,186 
Pool #BR8478 2.000% 4/01/51   80,659    66,662 
Pool #BR8518 2.000% 4/01/51   76,443    63,178 
Pool #FM9441 2.000% 4/01/51   86,606    70,900 
Pool #MA4305 2.000% 4/01/51   499,936    409,276 
Pool #MA4325 2.000% 5/01/51   679,860    555,298 
Pool #FS4269 2.000% 10/01/51   196,019    161,575 
Pool #FM9489 2.000% 11/01/51   181,205    148,345 
Pool #BU2591 2.000% 12/01/51   93,086    75,973 
Pool #FS0349 2.000% 1/01/52   183,941    151,102 
Pool #FS1014 2.000% 2/01/52   90,242    74,272 
Pool #FS1015 2.000% 2/01/52   274,815    225,752 
Pool #FS4314 2.000% 3/01/52   97,954    80,466 
Pool #FS1112 2.000% 3/01/52   184,381    152,155 
Pool #MA2749 2.500% 9/01/36   40,466    37,002 
Pool #FM3123 2.500% 3/01/38   391,774    357,742 
Pool #CA9358 2.500% 3/01/41   79,666    70,430 
Pool #CB0100 2.500% 4/01/41   163,896    144,896 
Pool #MA4571 2.500% 3/01/42   90,325    79,204 
Pool #MA4587 2.500% 4/01/42   91,924    80,349 
Pool #FS4471 2.500% 9/01/42   98,756    86,598 
Pool #BK2620 2.500% 6/01/50   63,141    54,223 
Pool #MA4120 2.500% 9/01/50   56,479    48,069 
Pool #FM5313 2.500% 10/01/50   82,112    70,361 
Pool #FM4577 2.500% 10/01/50   199,196    170,906 
Pool #BM6623 2.500% 10/01/50   92,185    75,909 
Pool #CA7257 2.500% 10/01/50   76,612    65,779 
Pool #BQ5876 2.500% 11/01/50   80,470    69,041 
Pool #FM6460 2.500% 3/01/51   153,565    131,755 
Pool #MA4306 2.500% 4/01/51   77,162    65,552 
Pool #FS1111 2.500% 5/01/51   89,199    75,890 
Pool #CB0458 2.500% 5/01/51   888,579    754,884 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #FM7675 2.500% 6/01/51  $212,368   $182,074 
Pool #FM7676 2.500% 6/01/51   85,535    73,173 
Pool #FM7900 2.500% 7/01/51   165,064    141,209 
Pool #BT5574 2.500% 8/01/51   83,751    71,035 
Pool #BT3303 2.500% 8/01/51   85,710    73,430 
Pool # FS0024 2.500% 9/01/51   79,958    68,902 
Pool #FM9195 2.500% 10/01/51   261,651    222,365 
Pool #FM8864 2.500% 10/01/51   168,687    144,413 
Pool #FM9335 2.500% 10/01/51   88,821    75,402 
Pool #FS0434 2.500% 11/01/51   87,550    75,389 
Pool #FS1104 2.500% 11/01/51   87,198    74,814 
Pool #BU2599 2.500% 1/01/52   88,881    76,035 
Pool #FS0366 2.500% 1/01/52   89,401    77,039 
Pool #FS0424 2.500% 1/01/52   89,089    76,158 
Pool #FS0551 2.500% 2/01/52   90,822    77,640 
Pool #FS0549 2.500% 2/01/52   275,291    234,904 
Pool #BU1322 2.500% 2/01/52   91,904    78,220 
Pool #BV3089 2.500% 2/01/52   88,897    75,993 
Pool #FS0523 2.500% 2/01/52   91,163    77,789 
Pool #FS3368 2.500% 3/01/52   772,614    659,265 
Pool #CB3044 2.500% 3/01/52   93,953    80,169 
Pool #CB3031 2.500% 3/01/52   182,758    155,089 
Pool #FS1626 2.500% 4/01/52   93,795    79,976 
Pool #BF0560 2.500% 9/01/61   91,345    75,703 
Pool #AM8674 2.810% 4/01/25   50,000    47,917 
Pool #MA2320 3.000% 7/01/35   37,111    34,833 
Pool #MA2523 3.000% 2/01/36   250,087    234,426 
Pool #MA2579 3.000% 4/01/36   181,863    170,475 
Pool #MA2773 3.000% 10/01/36   524,349    491,186 
Pool #MA4632 3.000% 6/01/42   187,397    168,576 
Pool #AQ7306 3.000% 1/01/43   24,373    21,784 
Pool #AR1202 3.000% 1/01/43   31,684    28,259 
Pool #AR7399 3.000% 6/01/43   18,227    16,488 
Pool #AS0038 3.000% 7/01/43   40,600    36,725 
Pool #AU6735 3.000% 10/01/43   25,448    23,019 
Pool #BC1509 3.000% 8/01/46   33,292    29,886 
Pool #AS7844 3.000% 9/01/46   57,525    51,640 
Pool #BC2817 3.000% 9/01/46   43,197    38,777 
Pool #BD8104 3.000% 10/01/46   160,032    144,109 
Pool #AL9397 3.000% 10/01/46   67,065    60,204 
Pool #BM1565 3.000% 4/01/47   619,969    558,091 
Pool #FM8576 3.000% 2/01/50   75,643    67,644 
Pool #FM4311 3.000% 8/01/50   70,987    62,970 
Pool #CA7531 3.000% 10/01/50   75,403    67,312 
Pool #FM8577 3.000% 8/01/51   159,256    142,116 
Pool #FS0037 3.000% 8/01/51   77,108    68,834 
Pool #FM8648 3.000% 9/01/51   81,574    72,311 
Pool #CB1878 3.000% 10/01/51   174,290    153,790 
Pool #FM9464 3.000% 11/01/51   167,956    149,513 
Pool #FS0034 3.000% 12/01/51   88,018    78,456 
Pool #CB2664 3.000% 1/01/52   544,742    480,456 
Pool #BU1421 3.000% 1/01/52   180,325    159,946 
Pool #FS1171 3.000% 1/01/52   443,450    391,291 
Pool # FS0240 3.000% 1/01/52   87,130    77,671 
Pool #FS0331 3.000% 1/01/52   90,268    79,841 
Pool #FS1289 3.000% 3/01/52   89,627    80,142 
Pool #FS0957 3.000% 3/01/52   184,720    162,690 
Pool #FS1374 3.000% 3/01/52   183,381    161,697 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool # FS1074 3.000% 3/01/52  $450,243   $401,330 
Pool #CB3833 3.000% 6/01/52   93,736    82,806 
Pool #BL2454 3.160% 5/01/29   85,044    79,122 
Pool #BS5734 3.345% 6/01/32   100,000    92,246 
Pool #MA2110 3.500% 12/01/34   55,224    52,682 
Pool #MA2138 3.500% 1/01/35   28,248    26,947 
Pool #FM5754 3.500% 3/01/37   48,459    46,167 
Pool #890827 3.500% 12/01/37   39,743    37,652 
Pool #FM0068 3.500% 2/01/40   200,074    188,739 
Pool #FM0071 3.500% 2/01/40   40,259    37,978 
Pool #MA1177 3.500% 9/01/42   16,302    15,044 
Pool #MA1213 3.500% 10/01/42   100,369    92,625 
Pool #AL3026 3.500% 12/01/42   31,443    29,296 
Pool #AS6541 3.500% 1/01/46   83,459    77,713 
Pool #AL9546 3.500% 11/01/46   162,789    152,040 
Pool #MA3210 3.500% 12/01/47   273,910    252,913 
Pool #FS5059 3.500% 11/01/48   900,000    834,946 
Pool #FM3773 3.500% 11/01/48   367,913    340,630 
Pool #FM7100 3.500% 6/01/50   59,677    55,219 
Pool #FS1240 3.500% 12/01/51   87,386    80,095 
Pool #FS1237 3.500% 12/01/51   86,579    79,996 
Pool #FS1462 3.500% 1/01/52   89,071    82,299 
Pool #CB2680 3.500% 1/01/52   87,826    80,510 
Pool #FS1118 3.500% 3/01/52   88,070    80,403 
Pool #FS1092 3.500% 4/01/52   273,475    250,300 
Pool #FS1454 3.500% 4/01/52   93,008    85,106 
Pool #FS1555 3.500% 4/01/52   93,354    85,512 
Pool #CB3282 3.500% 4/01/52   183,121    167,166 
Pool #FS2707 3.500% 4/01/52   189,186    172,718 
Pool #BV5395 3.500% 4/01/52   88,237    81,349 
Pool #FS1556 3.500% 5/01/52   369,106    340,552 
Pool #BV8546 3.500% 5/01/52   90,867    83,745 
Pool #FS3339 3.500% 6/01/52   288,547    263,407 
Pool #BS6565 3.740% 9/01/32   100,000    94,691 
Pool #BS6215 3.840% 7/01/32   100,000    95,578 
Pool #BS6131 3.890% 7/01/32   300,000    280,695 
Pool #BS6949 3.980% 10/01/32   200,000    189,686 
Pool #AK8441 4.000% 4/01/42   13,190    12,656 
Pool #AO2711 4.000% 5/01/42   9,946    9,540 
Pool #AO6086 4.000% 6/01/42   20,833    19,981 
Pool #AP0692 4.000% 7/01/42   14,309    13,734 
Pool #AP5333 4.000% 7/01/42   143,235    137,357 
Pool #AP2530 4.000% 8/01/42   15,178    14,561 
Pool #AP4903 4.000% 9/01/42   24,364    23,377 
Pool #AP7399 4.000% 9/01/42   35,845    34,375 
Pool #AP9766 4.000% 10/01/42   58,602    55,569 
Pool #AP9229 4.000% 10/01/42   8,324    7,982 
Pool #MA1217 4.000% 10/01/42   72,476    68,758 
Pool #AQ3599 4.000% 11/01/42   16,051    15,394 
Pool #MA1253 4.000% 11/01/42   44,981    42,671 
Pool #AQ7003 4.000% 12/01/42   26,644    25,564 
Pool #AQ4555 4.000% 12/01/42   27,712    26,577 
Pool #AQ7082 4.000% 1/01/43   36,269    34,795 
Pool #AL3508 4.000% 4/01/43   24,106    23,121 
Pool #AT8394 4.000% 6/01/43   24,072    23,198 
Pool #AB9683 4.000% 6/01/43   33,174    31,816 
Pool #AQ4078 4.000% 6/01/43   21,630    20,758 
Pool #AQ4080 4.000% 6/01/43   15,839    15,197 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #AT9637 4.000% 7/01/43  $65,794   $63,201 
Pool #AT9653 4.000% 7/01/43   49,906    48,095 
Pool #AT9657 4.000% 7/01/43   39,175    37,594 
Pool #AS0070 4.000% 8/01/43   23,008    22,043 
Pool #MA1547 4.000% 8/01/43   23,010    22,045 
Pool #FM3049 4.000% 4/01/44   210,758    202,120 
Pool #AS4347 4.000% 1/01/45   38,236    36,729 
Pool #CA2472 4.000% 10/01/48   88,265    83,682 
Pool #CA5371 4.000% 3/01/50   113,114    106,790 
Pool #FS4645 4.000% 11/01/51   98,157    92,348 
Pool #FM9413 4.000% 11/01/51   70,632    66,452 
Pool #FS4108 4.000% 12/01/51   98,942    93,147 
Pool #CB3320 4.000% 4/01/52   373,875    352,768 
Pool #CB3384 4.000% 4/01/52   86,099    80,889 
Pool #MA4626 4.000% 6/01/52   15,123,645    14,203,683 
Pool #FS2442 4.000% 7/01/52   191,099    180,191 
Pool #BF0104 4.000% 2/01/56   77,164    72,940 
Pool #BF0183 4.000% 1/01/57   42,773    40,431 
Pool #BF0191 4.000% 6/01/57   72,884    68,622 
Pool #BS6124 4.060% 7/01/32   100,000    95,018 
Pool #BS8715 4.320% 6/01/33   100,000    100,015 
Pool #BS8162 4.480% 5/01/33   100,000    99,585 
Pool #MA0706 4.500% 4/01/31   9,267    9,117 
Pool #MA0734 4.500% 5/01/31   32,198    31,679 
Pool #MA0776 4.500% 6/01/31   10,894    10,719 
Pool #MA0913 4.500% 11/01/31   8,449    8,324 
Pool #MA0939 4.500% 12/01/31   8,371    8,246 
Pool #AA0856 4.500% 1/01/39   6,291    6,176 
Pool #AA3495 4.500% 2/01/39   4,904    4,809 
Pool #935520 4.500% 8/01/39   9,435    9,258 
Pool #AD5481 4.500% 5/01/40   233,851    229,627 
Pool #AD6914 4.500% 6/01/40   26,893    26,404 
Pool #AD8685 4.500% 8/01/40   80,587    79,032 
Pool #MA1591 4.500% 9/01/43   42,846    42,048 
Pool #AL4341 4.500% 10/01/43   2,393    2,357 
Pool #MA1629 4.500% 10/01/43   38,944    38,219 
Pool #MA1664 4.500% 11/01/43   18,365    18,023 
Pool #MA1711 4.500% 12/01/43   40,650    39,893 
Pool #AL4741 4.500% 1/01/44   16,954    16,638 
Pool #AW0318 4.500% 2/01/44   45,568    44,876 
Pool #AL5562 4.500% 4/01/44   7,833    7,714 
Pool #890604 4.500% 10/01/44   182,191    179,596 
Pool #AS4271 4.500% 1/01/45   22,261    22,056 
Pool #CA2047 4.500% 7/01/48   163,044    159,550 
Pool #FM1263 4.500% 7/01/49   41,401    40,335 
Pool #FS4480 4.500% 3/01/50   97,343    95,865 
Pool #CA5379 4.500% 3/01/50   169,871    165,766 
Pool #MA4031 4.500% 5/01/50   70,048    68,267 
Pool #FS0067 4.500% 9/01/51   71,786    69,732 
Pool #MA4733 4.500% 9/01/52   4,063,740    3,905,211 
Pool #FS2914 4.500% 9/01/52   95,612    92,420 
Pool #FS3835 4.500% 11/01/52   96,749    93,308 
Pool #BX2186 4.500% 11/01/52   97,896    94,106 
Pool #FS3813 4.500% 11/01/52   95,419    91,756 
Pool #FS3977 4.500% 11/01/52   97,593    93,816 
Pool #FS3836 4.500% 1/01/53   96,121    92,401 
Pool #CB5892 4.500% 3/01/53   97,434    93,663 
Pool #CB6030 4.500% 4/01/53   99,534    95,683 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #BF0148 4.500% 4/01/56  $339,657   $331,037 
Pool #BF0222 4.500% 9/01/57   362,272    350,093 
Pool #BF0301 4.500% 8/01/58   37,922    36,623 
Pool #BF0338 4.500% 1/01/59   89,370    86,030 
Pool #310088 5.000% 6/01/38   17,928    17,948 
Pool #FS4570 5.000% 12/01/47   194,736    194,536 
Pool #CB3880 5.000% 6/01/52   92,647    91,444 
Pool #BW0048 5.000% 7/01/52   91,288    89,660 
Pool #MA4785 5.000% 10/01/52   1,562,552    1,532,504 
Pool #MA4806 5.000% 11/01/52   8,709,939    8,542,443 
Pool #FS3978 5.000% 1/01/53   97,527    95,712 
Pool #FS3941 5.000% 2/01/53   99,529    97,801 
Pool #FS4308 5.000% 4/01/53   95,958    94,083 
Pool #995072 5.500% 8/01/38   10,068    10,288 
Pool #FS3672 5.500% 2/01/53   196,646    196,393 
Pool #FS4166 5.500% 4/01/53   99,440    99,064 
Pool #CB6322 5.500% 5/01/53   99,218    99,283 
Pool #FS4805 5.500% 5/01/53   99,863    99,931 
Pool #BF0141 5.500% 9/01/56   376,995    387,609 
Pool #481473 6.000% 2/01/29   9    9 
Pool #867557 6.000% 2/01/36   1,320    1,332 
Pool #FS4000 6.000% 7/01/41   95,030    97,449 
Pool #FS3411 6.000% 1/01/53   93,035    94,295 
Pool #FS4573 6.000% 5/01/53   197,334    200,191 
Pool #AL4324 6.500% 5/01/40   49,916    52,361 
Pool #CB5497 6.500% 1/01/53   94,965    97,859 
Pool #BX7702 6.500% 2/01/53   95,231    97,420 
Pool #AE0758 7.000% 2/01/39   26,553    28,341 
Government National Mortgage Association          
Pool #AB2892 3.000% 9/15/42   73,176    66,466 
Pool #783669 3.000% 9/15/42   134,350    122,090 
Pool #AA5649 3.000% 9/15/42   71,461    64,878 
Pool #AB9108 3.000% 10/15/42   513,468    466,166 
Pool #AB9109 3.000% 10/15/42   44,130    40,065 
Pool #AB9207 3.000% 11/15/42   38,422    34,882 
Pool #784571 3.500% 6/15/48   159,307    149,453 
Pool #BS8439 3.500% 5/15/50   123,323    114,886 
Pool #487588 6.000% 4/15/29   499    502 
Pool #595077 6.000% 10/15/32   177    180 
Pool #604706 6.000% 10/15/33   24,610    25,051 
Pool #636251 6.000% 3/15/35   3,468    3,539 
Pool #782034 6.000% 1/15/36   26,055    26,564 
Pool #658029 6.000% 7/15/36   6,711    6,873 
Government National Mortgage Association II          
Pool #MA7135 2.000% 1/20/51   146,424    123,322 
Pool #MA7192 2.000% 2/20/51   1,413,691    1,190,639 
Pool #MA7471 2.000% 7/20/51   248,950    209,399 
Pool #MA7648 2.000% 10/20/51   87,790    73,842 
Pool #MA7704 2.000% 11/20/51   88,798    74,635 
Pool #BS8546 2.500% 12/20/50   72,717    62,256 
Pool #MA7136 2.500% 1/20/51   63,324    55,031 
Pool #MA7312 2.500% 4/20/51   146,453    127,227 
Pool #785565 2.500% 6/20/51   170,840    146,263 
Pool #785558 2.500% 7/20/51 (h)   83,664    71,707 
Pool #785568 2.500% 8/20/51   253,867    217,346 
Pool #785657 2.500% 10/20/51   526,469    450,731 
Pool #785663 2.500% 10/20/51   170,178    145,696 
Pool #785667 2.500% 10/20/51   175,694    150,419 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #MA7649 2.500% 10/20/51  $606,170   $525,265 
Pool #785762 2.500% 11/20/51   89,640    76,744 
Pool #MA7705 2.500% 11/20/51   349,974    303,236 
Pool #785789 2.500% 12/20/51   89,087    76,271 
Pool #785821 2.500% 12/20/51   181,783    155,632 
Pool #MA7767 2.500% 12/20/51   1,242,577    1,075,858 
Pool #MA8197 2.500% 8/20/52   93,005    80,541 
Pool #MA8264 2.500% 9/20/52   93,997    81,400 
Pool #MA8485 2.500% 12/20/52   287,917    249,242 
Pool #MA8642 2.500% 2/20/53   291,674    253,611 
Pool #MA4068 3.000% 11/20/46   18,513    16,767 
Pool #MA7590 3.000% 9/20/51   882,530    791,695 
Pool #MA7650 3.000% 10/20/51   166,407    149,280 
Pool #MA7706 3.000% 11/20/51   688,941    618,031 
Pool #CJ9477 3.000% 1/20/52   269,206    239,269 
Pool #785944 3.000% 2/20/52   90,833    80,788 
Pool #786095 3.000% 4/20/52   95,280    83,344 
Pool #786134 3.000% 4/20/52   86,017    76,317 
Pool #MA1995 3.500% 6/20/44   46,819    44,110 
Pool #MA2678 3.500% 3/20/45   20,131    18,953 
Pool #784106 3.500% 1/20/46   53,095    49,873 
Pool #MA3597 3.500% 4/20/46   83,560    78,489 
Pool #BC4732 3.500% 10/20/47   181,575    169,195 
Pool #BD0384 3.500% 10/20/47   136,179    126,894 
Pool #784825 3.500% 10/20/49   39,112    35,907 
Pool #BM7534 3.500% 2/20/50   60,526    56,078 
Pool #MA6711 3.500% 6/20/50   325,357    303,656 
Pool #MA6997 3.500% 11/20/50   396,354    369,794 
Pool #MA7989 3.500% 4/20/52   94,160    86,982 
Pool #786216 3.500% 6/20/52   94,135    86,304 
Pool #MA8487 3.500% 12/20/52   196,327    181,085 
Pool #MA4511 4.000% 6/20/47   517,528    496,760 
Pool #MA4720 4.000% 9/20/47   338,884    325,179 
Pool #MA5078 4.000% 3/20/48   277,894    266,308 
Pool #MA5763 4.000% 2/20/49   116,925    111,940 
Pool #BM9734 4.000% 10/20/49   32,077    30,579 
Pool #BM9743 4.000% 11/20/49   38,281    36,493 
Pool #BS1728 4.000% 1/20/50   39,858    37,997 
Pool #BS1742 4.000% 2/20/50   31,451    29,982 
Pool #BS1757 4.000% 3/20/50   29,817    28,379 
Pool #BS8420 4.000% 4/20/50   130,445    124,150 
Pool #MA8045 4.000% 5/20/52   190,220    179,882 
Pool #MA8100 4.000% 6/20/52   95,432    90,245 
Pool #CK9592 4.000% 6/20/52   95,534    90,686 
Pool #786429 4.000% 6/20/52   96,483    92,461 
Pool #MA8798 4.000% 4/20/53   99,333    93,926 
Pool #783298 4.500% 4/20/41   74,888    73,864 
Pool #783368 4.500% 7/20/41   11,169    11,017 
Pool #MA4654 4.500% 8/20/47   113,894    112,027 
Pool #MA5138 4.500% 4/20/48   171,891    168,322 
Pool #MA5193 4.500% 5/20/48   174,676    171,049 
Pool #MA5265 4.500% 6/20/48   237,456    232,525 
Pool #MA5331 4.500% 7/20/48   38,405    37,595 
Pool #MA5711 4.500% 1/20/49   75,700    74,056 
Pool #MA5764 4.500% 2/20/49   95,774    93,665 
Pool #MA5818 4.500% 3/20/49   288,471    282,210 
Pool #MA8046 4.500% 5/20/52   284,532    274,600 
Pool #786366 4.500% 8/20/52   193,537    187,280 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #MA8268 4.500% 9/20/52  $291,427   $281,345 
Pool #786335 4.500% 9/20/52   193,759    188,040 
Pool #G24747 5.000% 7/20/40   46,716    46,913 
Pool #MA5194 5.000% 5/20/48   19,604    19,601 
Pool #MA5530 5.000% 10/20/48   79,573    79,484 
Pool #MA5597 5.000% 11/20/48   40,169    40,125 
Pool #MA5653 5.000% 12/20/48   48,833    48,702 
Pool #MA5712 5.000% 1/20/49   214,383    213,808 
Pool #MA5878 5.000% 4/20/49   19,762    19,709 
Pool #786340 5.000% 9/20/52   96,969    96,345 
Pool #786526 5.000% 10/20/52   195,921    193,436 
Pool #MA8348 5.000% 10/20/52   97,450    95,909 
Pool #MA8428 5.000% 11/20/52   294,006    289,176 
Pool #786474 5.000% 1/20/53   196,039    194,778 
Pool #MA8647 5.000% 2/20/53   4,141,650    4,071,010 
Pool #786544 5.000% 2/20/53   99,219    98,085 
Pool #MA8725 5.000% 3/20/53   4,482,892    4,407,833 
Pool #786709 5.000% 5/20/53   99,869    99,164 
Pool #MA8947 5.000% 6/20/53   2,220,000    2,181,442 
Pool #MA8429 5.500% 11/20/52   294,491    293,542 
Pool #MA8648 5.500% 2/20/53   1,738,727    1,732,038 
Pool #786535 5.500% 2/20/53   99,452    99,784 
Pool #MA8801 5.500% 4/20/53   3,134,931    3,121,891 
Pool #MA8879 5.500% 5/20/53   2,155,557    2,146,591 
Pool #MA8948 5.500% 6/20/53   1,860,000    1,852,263 
Pool #MA8727 6.000% 3/20/53   99,077    99,820 
Government National Mortgage Association II TBA          
2.500% 7/20/53 (h)   400,000    346,168 
3.500% 7/20/53 (h)   1,000,000    922,729 
4.500% 7/20/53 (h)   400,000    385,946 
5.000% 7/20/53 (h)   200,000    196,509 
5.500% 7/20/53 (h)   100,000    99,560 
6.000% 7/20/53 (h)   100,000    100,651 
Uniform Mortgage-Backed Security, TBA          
2.500% 7/13/53 (h)   3,300,000    2,796,621 
3.000% 7/13/53 (h)   1,900,000    1,671,703 
3.500% 7/13/53 (h)   800,000    728,687 
4.000% 7/13/53 (h)   700,000    656,742 
4.510% 8/01/33 (h) (i) (j)   100,000    100,758 
4.720% 7/01/33 (h) (i) (j)   100,000    101,672 
5.000% 7/13/53 (h)   200,000    195,945 
6.000% 7/13/53 (h)   200,000    201,742 
6.500% 7/13/53 (h)   200,000    204,203 
         135,226,216 
Whole Loans — 0.6%          
Federal Home Loan Mortgage Corp. Structured Agency Credit Risk Debt Notes          
Series 2020-DNA2, Class M2, 1 mo. USD LIBOR + 1.850% 7.000% FRN 2/25/50 (b)   290,147    291,050 
Series 2020-DNA6, Class M2, 30 day USD SOFR Average + 2.000% 7.067% FRN 12/25/50 (b)   612,529    618,253 
Series 2020-DNA1, Class B1, 1 mo. USD LIBOR + 2.300% 7.450% FRN 1/25/50 (b)   380,000    374,553 
Series 2021-DNA6, Class B1, 30 day USD SOFR Average + 3.400% 8.467% FRN 10/25/41 (b)   260,000    258,940 
Series 2020-DNA3, Class B1, 1 mo. USD LIBOR + 5.100% 10.250% FRN 6/25/50 (b)  272,818   293,628 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Federal National Mortgage Association Connecticut Avenue Securities Trust          
Series 2019-R07, Class 1M2, 1 mo. USD LIBOR + 2.100% 7.250% FRN 10/25/39 (b)  $24,798   $24,836 
Series 2019-R02, Class 1M2, 1 mo. USD LIBOR + 2.300% 7.450% FRN 8/25/31 (b)   13,667    13,682 
Series 2022-R04, Class 1M2, 30 day USD SOFR Average + 3.100% 8.167% FRN 3/25/42 (b)   680,000    690,477 
         2,565,419 
           
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES
(Cost $153,434,844)
        146,601,927 
           
U.S. TREASURY OBLIGATIONS — 24.6%          
U.S. Treasury Bonds & Notes — 24.6%          
U.S. Treasury Bonds          
1.625% 11/15/50   390,000    241,801 
1.750% 8/15/41   110,000    77,211 
1.875% 11/15/51   2,067,000    1,362,268 
2.000% 11/15/41   160,000    116,981 
2.000% 2/15/50   410,000    280,748 
2.250% 5/15/41   300,000    230,825 
2.250% 2/15/52   625,000    451,018 
2.375% 5/15/51   2,230,000    1,655,404 
2.875% 8/15/45   790,000    651,316 
2.875% 5/15/49   210,000    173,494 
2.875% 5/15/52   27,720,000    22,936,662 
3.000% 2/15/48   16,000    13,474 
3.000% 2/15/49   920,000    777,562 
3.000% 8/15/52   22,110,000    18,771,313 
3.375% 5/15/44   1,140,000    1,026,588 
3.625% 2/15/53   2,170,000    2,079,654 
3.750% 11/15/43   40,000    38,167 
3.875% 2/15/43   1,070,000    1,042,455 
3.875% 5/15/43   2,540,000    2,480,036 
4.000% 11/15/42   320,000    317,738 
4.000% 11/15/52   200,000    205,144 
U.S. Treasury Floating Rate Notes 3 mo. Treasury money market yield + .200%          
5.449% FRN 1/31/25   32,020,000    32,064,690 
U.S. Treasury Inflation Index          
1.125% 1/15/33   3,034,385    2,906,520 
U.S. Treasury Notes          
0.250% 11/15/23   70,000    68,721 
2.625% 5/31/27   60,000    56,358 
3.375% 5/15/33   55,000    53,059 
4.000% 12/15/25   160,000    157,485 
4.125% 11/15/32   12,780,000    13,056,745 
4.625% 3/15/26   30,000    30,034 
U.S. Treasury Strip          
0.000% 5/15/49  1,450,000   537,203 
         103,860,674 
           
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $108,783,062)
        103,860,674 
           
TOTAL BONDS & NOTES
(Cost $447,041,174)
        416,220,854 

 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
TOTAL PURCHASED OPTIONS(#) — 0.1%
(Cost $349,552)
       $470,124 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $447,390,726)
        416,690,978 
           
    Number
of Shares
      
SHORT-TERM INVESTMENTS — 2.7%          
          
Investment of Cash Collateral from Securities Loaned — 1.2%          
State Street Navigator Securities Lending Government Money Market Portfolio (k)   5,062,800    5,062,800 
           
   Principal
Amount
   Value 
Repurchase Agreement — 1.5%         
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (l)  $6,391,113   6,391,113 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $11,453,913)
        11,453,913 
           
TOTAL INVESTMENTS — 101.5%
(Cost $458,844,639) (m)
        428,144,891 
           
Other Assets/(Liabilities) — (1.5)%        (6,310,263) 
           
NET ASSETS — 100.0%       $421,834,628 

 

Abbreviation Legend

FRN Floating Rate Note
REMICS Real Estate Mortgage Investment Conduits
STEP Step Up Bond
TBA To Be Announced
VRN Variable Rate Note

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) All or a portion of the security represents unsettled bank loan commitments at June 30, 2023 where the rate will be determined at time of settlement.
(b) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $47,386,746 or 11.23% of net assets.
(c) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $5,118,778 or 1.21% of net assets. The Fund received $162,035 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(d) Security is perpetual and has no stated maturity date.
(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 above. The rates shown are the current interest rates at June 30, 2023.
(f) The principal amount of the security is in foreign currency. The market value is in U.S. dollars.
(g) May contain securities that are issued by a U.S. Government Agency, but are unsecured and are not guaranteed by a U.S. Government Agency.
(h) A portion of this security is purchased on a when-issued, delayed-delivery or forward commitment basis.
(i) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $202,430 or 0.05% of net assets.
(j) Investment is valued using significant unobservable inputs.
(k) Represents investment of security lending cash collateral. (Note 2).
(l) Maturity value of $6,391,923. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $6,519,068.
(m) See Note 3 for aggregate cost for federal tax purposes.

 

(#) OTC Options Purchased
Description  Counterparty  Expiration Date  Exercise Price  No. of Contracts  Notional
Amount
  Value  Premiums Paid (Received)  Unrealized Appreciation (Depreciation) 
Put     
USD Put AUD Call  Bank of America N.A.  8/25/23  0.68  2,530,000  USD 2,530,000   $17,457  $22,021  $(4,564) 

 

(#) Exchange-Traded Options Purchased
Description  Expiration Date  Exercise Price   No. of Contracts   Notional
Amount
  Value   Premiums Paid (Received)   Unrealized Appreciation (Depreciation) 
Call       
SOFR 1 Year Mid Curve Future  9/15/23   96.75    240   USD   57,378,000   $36,000   $56,004   $(20,004) 
Put       
U.S. Treasury Note 5 Year Future  7/07/23   107.25    105   USD   11,244,844   $41,836   $45,830   $(3,994)
SOFR 1 Year Mid Curve Future  7/14/23   95.25    522   USD   124,797,150    45,675    22,746    22,929
SOFR 1 Year Mid Curve Future  7/14/23   95.38    110   USD   26,298,250    16,500    11,231    5,269
SOFR 1 Year Mid Curve Future  10/13/23   97.00    51   USD   12,236,813    140,887    55,507    85,380
SOFR 1 Year Mid Curve Future  12/15/23   95.88    45   USD   10,797,188    46,969    40,495    6,474
SOFR 1 Year Mid Curve Future  12/15/23   96.00    104   USD   24,953,500    124,800    95,718    29,082 
                        $416,667   $271,527   $145,140
                        $452,667   $327,531   $125,136

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

Exchange-Traded Options Written
Description  Expiration Date  Exercise Price   No. of Contracts   Notional
Amount
  Value   Premiums Paid (Received)   Unrealized Appreciation (Depreciation) 
Call       
U.S. Treasury Note 10 Year Future  7/21/23   114.00    51   USD   5,725,547   $(8,766)   $(39,787)   $31,021
U.S. Treasury Note 5 Year Future  7/21/23   109.00    52   USD   5,568,875    (3,250)    (30,355)    27,105
3 Month SOFR Future  9/15/23   98.75    43   USD   10,169,500    (269)    (14,560)    14,291
3 Month SOFR Future  6/14/24   97.50    95   USD   22,619,500    (31,469)    (85,476)    54,007
3 Month SOFR Future  9/13/24   97.00    80   USD   19,126,000    (56,500)    (62,832)    6,332 
                        $(100,254)   $(233,010)   $132,756
Put       
U.S. Treasury Note 10 Year Future  7/21/23   112.50    51   USD   5,725,547   $(42,234)   $(39,177)   $(3,057)
U.S. Treasury Note 5 Year Future  7/21/23   108.00    52   USD   5,568,875    (57,688)    (32,059)    (25,629)
SOFR 1 Year Mid Curve Future  10/13/23   96.25    51   USD   12,236,813    (68,850)    (18,418)    (50,432)
SOFR 1 Year Mid Curve Future  10/13/23   96.50    51   USD   12,236,813    (90,525)    (27,355)    (63,170)
SOFR 1 Year Mid Curve Future  12/15/23   95.25    90   USD   21,594,375    (40,500)    (35,811)    (4,689)
SOFR 1 Year Mid Curve Future  12/15/23   95.38    208   USD   49,907,000    (113,100)    (86,838)    (26,262)
3 Month SOFR Future  6/14/24   94.50    337   USD   80,239,700    (208,519)    (117,343)    (91,176) 
                        $(621,416)   $(357,001)   $(264,415)
                        $(721,670)   $(590,011)   $(131,659)

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
BNP Paribas SA  7/18/23  EUR  2,315,079   USD  2,539,510   $(11,709) 
BNP Paribas SA  7/18/23  CAD  6,965,772   USD  5,179,771    79,402 
Citibank N.A.  7/18/23  USD  2,113,232   IDR  31,594,508,090    6,129 
Goldman Sachs Bank USA  7/18/23  ZAR  6,889,002   USD  381,965    (16,405) 
Goldman Sachs Bank USA  7/18/23  JPY  1,009,734,792   USD  7,762,974    (751,653) 
Morgan Stanley & Co. LLC  7/18/23  AUD  10,362,739   USD  6,967,543    (61,892) 
Morgan Stanley & Co. LLC  7/18/23  NOK  12,358,698   EUR  1,082,890    (30,468) 
Morgan Stanley & Co. LLC  7/18/23  MXN  22,114,726   USD  1,229,414    59,338 
Morgan Stanley & Co. LLC  7/18/23  USD  1,469,879   CNH  10,055,443    85,317 
Morgan Stanley & Co. LLC  7/18/23  USD  290,668   GBP  233,085    (5,375) 
Morgan Stanley & Co. LLC  7/18/23  USD  1,575,207   EUR  1,442,631    20 
Morgan Stanley & Co. LLC  7/18/23  USD  890,768   AUD  1,331,077    3,748
                    $(643,548)

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
Euro-BOBL  9/07/23   10   $1,274,590  $(11,962) 
Euro-OAT  9/07/23   16    2,246,006   (4,244) 
Australia Treasury Bond 10 Year  9/15/23   36    2,820,370   (34,395) 
3 Month SOFR  9/19/23   1    241,415   (4,465) 
U.S. Treasury Long Bond  9/20/23   173    21,956,045   (1,264) 
U.S. Treasury Ultra 10 Year  9/20/23   87    10,314,409   (10,346) 
U.S. Treasury Ultra Bond  9/20/23   135    18,245,607   143,924 
UK Long Gilt  9/27/23   14    1,727,706   (33,273) 
U.S. Treasury Note 5 Year  9/29/23   1,729    188,318,763   (3,153,669) 
3 Month SOFR  3/18/25   102    24,528,290   (54,665) 
3 Month SOFR  3/17/26   24    5,783,134    8,966 
                $(3,155,393) 
Short               
Euro-BUXL 30 Year Bond  9/07/23   2   $(301,867)  $(2,796) 
Japanese 10 Year Bond  9/12/23   4    (4,100,189)   (17,764) 
U.S. Treasury Note 10 Year  9/20/23   797    (90,938,340)   1,462,637 
U.S. Treasury Ultra 10 Year  9/20/23   38    (4,551,127)   50,502 
U.S. Treasury Note 2 Year  9/29/23   307    (63,508,216)   1,081,685 
3 Month SOFR  3/19/24   157    (37,575,348)    429,148 
                $3,003,412 

 

 

 

MassMutual Strategic Bond Fund —  Portfolio of Investments (Continued)

 

Centrally Cleared Credit Default Swaps - Buy Protection
Reference
Obligation/Index
  Rate Paid by Fund  Payment Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
CDX.NA.HY Series 40†  5.000%   Quarterly    6/20/28   USD   922,100   $(25,530)   $5,006   $(30,536) 

 

Centrally Cleared Credit Default Swaps - Sell Protection††
Reference
Obligation/ Index
  Rate Received by Fund  Payment Frequency   Termination Date   Credit Rating   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
CDX.NA.IG Series 40†  1.000%   Quarterly    6/20/28    BBB*   USD   78,348,000   $1,170,833   $704,544   $466,289 

 

Centrally Cleared Interest Rate Swaps
Paid by the Fund  Received by the Fund                      
Rate/ Reference  Frequency  Rate/ Reference   Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
28 Day-MXN-TIIE-Banxico  Monthly   Fixed 7.450%    Monthly    7/18/29   MXN   88,370,000   $(184,485)   $37,242   $(221,727)
12-Month USD SOFR  Annually   Fixed 4.100%    Annually    3/10/26   USD   20,642,000    (20,684)    249,051    (269,735)
12-Month USD SOFR  Annually   Fixed 2.980%    Annually    11/30/27   USD   13,414,000    (496,259)    2,603    (498,862)
12-Month USD SOFR  Annually   Fixed 3.450%    Annually    11/30/27   USD   20,268,000    (385,208)    (2,843)    (382,365)
Fixed 2.850%  Annually   12-Month USD SOFR    Annually    2/15/29   USD   3,019,000    148,200    (3,872)    152,072
Fixed 3.270%  Annually   12-Month USD SOFR    Annually    4/30/29   USD   2,504,000    69,728    32,812    36,916
Fixed 3.850%  Annually   12-Month USD SOFR    Annually    6/30/29   USD   1,621,000    (5,081)    (837)    (4,244)
Fixed 3.400%  Annually   12-Month USD SOFR    Annually    3/10/34   USD   4,603,000    (6,380)    (77,564)    71,184
Fixed 1.520%  Annually   12-Month USD SOFR    Annually    2/15/47   USD   1,137,000    330,384    (29,926)    360,310
Fixed 2.600%  Annually   12-Month USD SOFR    Annually    2/15/48   USD   1,787,000    207,887    145,503    62,384
Fixed 3.050%  Annually   12-Month USD SOFR    Annually    2/15/48   USD   2,381,000    100,052    94,235    5,817
Fixed 3.150%  Annually   12-Month USD SOFR    Annually    5/15/48   USD   3,760,000    92,390    (713,734)    806,124
Fixed 2.500%  Annually   12-Month USD SOFR    Annually    4/21/52   USD   1,900,000    245,434    3,408    242,026 
                             $95,978   $(263,922)   $359,900

 

* Rating is determined by Western Asset Management Company and represents a weighted average of the ratings of all securities included in the underlying index for the credit default swap. Ratings used in the weighted average are from Moody's Investors Service, Inc., S&P Global Ratings, or Fitch Ratings, whichever is the highest for each constituent. All ratings are as of the report date and do not reflect subsequent changes.
Payment is based on a percentage of the index. Reference entities are a number of individual issuers comprising the index.
†† For each credit derivative with sold protection, the credit ratings of the entities referenced, as rated by any rating organization, are included in the equivalent S&P Global Ratings or Western Asset Management Company's rating category, as applicable. The reference entity rating represents the likelihood of a potential payment by the Fund if the referenced entity experiences a credit event as of period end. Notional amounts represent the maximum potential amount of future payments (undiscounted) the Fund could be required to make under the credit derivatives with sold protection.

 

Currency Legend

AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CNH Offshore Chinese Yuan
EUR Euro
GBP British Pound
IDR Indonesian Rupiah
JPY Japanese Yen
MXN Mexican Peso
NOK Norwegian Krone
RUB Russian Ruble
USD U.S. Dollar
ZAR South African Rand

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

   Number of
Shares
   Value 
EQUITIES — 97.8%          
           
COMMON STOCK — 96.8%          
Basic Materials — 3.2%          
Chemicals — 1.6%          
CF Industries Holdings, Inc.   40,081   $2,782,423 
Dow, Inc.   14,200    756,292 
Eastman Chemical Co.   2,400    200,928 
FMC Corp.   2,400    250,416 
LyondellBasell Industries NV Class A   6,800    624,444 
Olin Corp.   2,800    143,892 
         4,758,395 
Forest Products & Paper — 0.6%          
International Paper Co.   57,481    1,828,471 
Iron & Steel — 0.9%          
Cleveland-Cliffs, Inc. (a)   8,700    145,812 
Nucor Corp.   7,600    1,246,248 
Reliance Steel & Aluminum Co.   1,700    461,703 
Steel Dynamics, Inc.   5,400    588,222 
U.S. Steel Corp.   4,900    122,549 
         2,564,534 
Mining — 0.1%          
Newmont Corp.   8,800    375,408 
         9,526,808 
Communications — 5.7%          
Advertising — 0.3%          
Interpublic Group of Cos., Inc.   8,200    316,356 
Omnicom Group, Inc.   5,400    513,810 
         830,166 
Media — 3.0%          
Comcast Corp. Class A   90,400    3,756,120 
Fox Corp. Class A   8,700    295,800 
News Corp. Class A   138,119    2,693,320 
News Corp. Class B   28,179    555,690 
Nexstar Media Group, Inc. Class A   800    133,240 
Walt Disney Co. (a)   17,045    1,521,778 
         8,955,948 
Telecommunications — 2.4%          
AT&T, Inc.   146,800    2,341,460 
Cisco Systems, Inc.   85,200    4,408,248 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Corning, Inc.   17,500   $613,200 
         7,362,908 
         17,149,022 
Consumer, Cyclical — 5.9%          
Apparel — 0.2%          
Levi Strauss & Co. Class A (b)   2,100    30,303 
Ralph Lauren Corp.   900    110,970 
Skechers USA, Inc. Class A (a)   2,700    142,182 
Tapestry, Inc.   4,900    209,720 
         493,175 
Auto Manufacturers — 1.4%          
Cummins, Inc.   2,900    710,964 
Ford Motor Co.   98,400    1,488,792 
General Motors Co.   29,600    1,141,376 
PACCAR, Inc.   10,800    903,420 
         4,244,552 
Auto Parts & Equipment — 0.2%          
BorgWarner, Inc.   4,900    239,659 
Lear Corp.   1,300    186,615 
         426,274 
Distribution & Wholesale — 0.3%          
Ferguson PLC   3,500    550,585 
LKQ Corp.   7,700    448,679 
         999,264 
Home Builders — 1.0%          
D.R. Horton, Inc.   9,400    1,143,886 
Lennar Corp. Class A   7,000    877,170 
NVR, Inc. (a)   70    444,543 
PulteGroup, Inc.   6,900    535,992 
Toll Brothers, Inc.   1,300    102,791 
         3,104,382 
Leisure Time — 0.1%          
Brunswick Corp.   2,000    173,280 
Polaris, Inc.   1,200    145,116 
         318,396 
Lodging — 0.6%          
Boyd Gaming Corp.   2,200    152,614 
Las Vegas Sands Corp. (a)   30,232    1,753,456 
         1,906,070 
Retail — 2.1%          
AutoNation, Inc. (a)   2,300    378,603 
Bath & Body Works, Inc.   4,600    172,500 
Best Buy Co., Inc.   4,600    376,970 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Lithia Motors, Inc.   400   $121,644 
Lowe's Cos., Inc.   18,600    4,198,020 
Murphy USA, Inc.   400    124,444 
Penske Automotive Group, Inc.   1,700    283,271 
Walgreens Boots Alliance, Inc.   17,100    487,179 
Williams-Sonoma, Inc.   1,400    175,196 
         6,317,827 
         17,809,940 
Consumer, Non-cyclical — 23.5%          
Agriculture — 3.2%          
Altria Group, Inc.   36,500    1,653,450 
Archer-Daniels-Midland Co.   14,200    1,072,952 
Bunge Ltd.   2,100    198,135 
Darling Ingredients, Inc. (a)   3,300    210,507 
Philip Morris International, Inc.   65,797    6,423,103 
         9,558,147 
Beverages — 0.1%          
Molson Coors Beverage Co. Class B   4,100    269,944 
Biotechnology — 2.1%          
Amgen, Inc.   11,100    2,464,422 
Bio-Rad Laboratories, Inc. Class A (a)   500    189,560 
Biogen, Inc. (a)   2,400    683,640 
Gilead Sciences, Inc.   26,100    2,011,527 
Moderna, Inc. (a)   8,000    972,000 
         6,321,149 
Commercial Services — 0.7%          
Avis Budget Group, Inc. (a)   600    137,202 
FleetCor Technologies, Inc. (a)   1,500    376,620 
Global Payments, Inc.   2,900    285,708 
Robert Half International, Inc.   1,800    135,396 
Service Corp. International   4,400    284,196 
U-Haul Holding Co. (b)   600    33,192 
U-Haul Holding Co.   5,200    263,484 
United Rentals, Inc.   1,500    668,055 
         2,183,853 
Food — 2.1%          
Campbell Soup Co.   5,000    228,550 
Conagra Brands, Inc.   70,828    2,388,320 
Ingredion, Inc.   1,400    148,330 
Kellogg Co.   6,400    431,360 
Kraft Heinz Co.   25,500    905,250 
Kroger Co.   14,800    695,600 
Tyson Foods, Inc. Class A   31,386    1,601,942 
         6,399,352 
Health Care – Products — 0.6%          
Zimmer Biomet Holdings, Inc.   13,004    1,893,382 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Health Care – Services — 4.0%          
DaVita, Inc. (a)   1,500   $150,705 
Elevance Health, Inc.   16,737    7,436,082 
HCA Healthcare, Inc.   8,600    2,609,928 
Laboratory Corp. of America Holdings   2,500    603,325 
Molina Healthcare, Inc. (a)   700    210,868 
Quest Diagnostics, Inc.   3,400    477,904 
Tenet Healthcare Corp. (a)   1,700    138,346 
Universal Health Services, Inc. Class B   2,000    315,540 
         11,942,698 
Household Products & Wares — 0.7%          
Kimberly-Clark Corp.   15,691    2,166,299 
Pharmaceuticals — 10.0%          
AbbVie, Inc.   46,821    6,308,193 
AmerisourceBergen Corp.   5,300    1,019,879 
Becton Dickinson & Co.   15,268    4,030,905 
Bristol-Myers Squibb Co.   44,100    2,820,195 
Cardinal Health, Inc.   5,500    520,135 
Cigna Group   6,900    1,936,140 
Henry Schein, Inc. (a)   2,700    218,970 
Johnson & Johnson   18,711    3,097,045 
McKesson Corp.   4,000    1,709,240 
Merck & Co., Inc.   45,500    5,250,245 
Sanofi ADR   35,903    1,935,172 
Viatris, Inc.   105,827    1,056,153 
         29,902,272 
         70,637,096 
Energy — 10.8%          
Oil & Gas — 10.0%          
APA Corp.   6,900    235,773 
Chevron Corp.   32,000    5,035,200 
ConocoPhillips   25,900    2,683,499 
EOG Resources, Inc.   28,567    3,269,208 
Exxon Mobil Corp.   78,900    8,462,025 
Marathon Oil Corp.   14,800    340,696 
Marathon Petroleum Corp.   7,200    839,520 
Occidental Petroleum Corp.   18,900    1,111,320 
PDC Energy, Inc.   2,000    142,280 
Phillips 66   7,700    734,426 
Range Resources Corp.   4,900    144,060 
TotalEnergies SE   81,272    4,657,899 
TotalEnergies SE Sponsored ADR   22,569    1,300,877 
Valero Energy Corp.   8,100    950,130 
         29,906,913 
Oil & Gas Services — 0.2%          
Halliburton Co.   15,200    501,448 
Nov, Inc.   4,300    68,972 
         570,420 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Pipelines — 0.6%          
Cheniere Energy, Inc.   4,100   $624,676 
Kinder Morgan, Inc.   46,700    804,174 
ONEOK, Inc.   8,400    518,448 
         1,947,298 
         32,424,631 
Financial — 22.0%          
Banks — 11.0%          
Bank of America Corp.   166,100    4,765,409 
BOK Financial Corp.   1,400    113,092 
Citigroup, Inc.   26,700    1,229,268 
Fifth Third Bancorp   119,938    3,143,575 
Goldman Sachs Group, Inc.   7,000    2,257,780 
JP Morgan Chase & Co.   60,800    8,842,752 
Morgan Stanley   35,100    2,997,540 
Regions Financial Corp.   19,700    351,054 
State Street Corp.   7,300    534,214 
The Bank of New York Mellon Corp.   17,600    783,552 
U.S. Bancorp   83,692    2,765,184 
Wells Fargo & Co.   120,619    5,148,019 
         32,931,439 
Diversified Financial Services — 2.1%          
American Express Co.   15,500    2,700,100 
Ameriprise Financial, Inc.   2,300    763,968 
Capital One Financial Corp.   6,400    699,968 
Discover Financial Services   5,800    677,730 
LPL Financial Holdings, Inc.   1,300    282,659 
Stifel Financial Corp.   1,500    89,505 
Synchrony Financial   9,300    315,456 
T. Rowe Price Group, Inc.   4,500    504,090 
Voya Financial, Inc.   2,600    186,446 
         6,219,922 
Insurance — 7.1%          
Aflac, Inc.   13,900    970,220 
American Financial Group, Inc.   1,700    201,875 
American International Group, Inc.   65,169    3,749,824 
Arch Capital Group Ltd. (a)   8,000    598,800 
Chubb Ltd.   28,000    5,391,680 
Cincinnati Financial Corp.   3,200    311,424 
Equitable Holdings, Inc.   97,673    2,652,799 
Everest Re Group Ltd.   1,000    341,860 
Fidelity National Financial, Inc.   5,800    208,800 
First American Financial Corp.   2,200    125,444 
Globe Life, Inc.   1,900    208,278 
Hartford Financial Services Group, Inc.   7,100    511,342 
Loews Corp.   5,300    314,714 
Markel Group, Inc. (a)   310    428,786 
MetLife, Inc.   17,700    1,000,581 
Old Republic International Corp.   6,500    163,605 
Primerica, Inc.   600    118,656 
Principal Financial Group, Inc.   5,400    409,536 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Prudential Financial, Inc.   7,800   $688,116 
Reinsurance Group of America, Inc.   1,400    194,166 
The Allstate Corp.   6,000    654,240 
Travelers Cos., Inc.   9,400    1,632,404 
Unum Group   4,200    200,340 
W. R. Berkley Corp.   5,500    327,580 
         21,405,070 
Real Estate — 0.2%          
CBRE Group, Inc. Class A (a)   6,600    532,686 
Jones Lang LaSalle, Inc. (a)   800    124,640 
         657,326 
Real Estate Investment Trusts (REITS) — 1.6%          
Equity Residential   38,347    2,529,751 
Weyerhaeuser Co.   72,792    2,439,260 
         4,969,011 
         66,182,768 
Industrial — 11.8%          
Aerospace & Defense — 2.7%          
Boeing Co. (a)   9,594    2,025,869 
General Dynamics Corp.   3,700    796,055 
L3 Harris Technologies, Inc.   16,578    3,245,475 
Lockheed Martin Corp.   4,300    1,979,634 
         8,047,033 
Building Materials — 0.5%          
Builders FirstSource, Inc. (a)   3,100    421,600 
Fortune Brands Innovations, Inc.   2,700    194,265 
Masco Corp.   6,700    384,446 
Owens Corning   2,700    352,350 
         1,352,661 
Electronics — 0.3%          
Arrow Electronics, Inc. (a)   2,000    286,460 
Jabil, Inc.   3,800    410,134 
Sensata Technologies Holding PLC   3,200    143,968 
TD SYNNEX Corp.   2,100    197,400 
         1,037,962 
Engineering & Construction — 0.0%          
TopBuild Corp. (a)   400    106,408 
Environmental Controls — 0.1%          
Pentair PLC   3,300    213,180 
Hand & Machine Tools — 1.0%          
Regal Rexnord Corp.   1,100    169,290 
Snap-on, Inc.   1,400    403,466 
Stanley Black & Decker, Inc.   24,571    2,302,549 
         2,875,305 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Machinery – Construction & Mining — 0.7%          
Caterpillar, Inc.   8,700   $2,140,635 
Oshkosh Corp.   1,300    112,567 
         2,253,202 
Machinery – Diversified — 1.0%          
AGCO Corp.   1,500    197,130 
CNH Industrial NV   22,600    325,440 
Deere & Co.   4,900    1,985,431 
Dover Corp.   2,500    369,125 
Middleby Corp. (a)   900    133,047 
         3,010,173 
Metal Fabricate & Hardware — 0.0%          
Timken Co.   1,200    109,836 
Miscellaneous - Manufacturing — 1.7%          
General Electric Co.   34,101    3,745,995 
Parker-Hannifin Corp.   2,700    1,053,108 
Textron, Inc.   5,800    392,254 
         5,191,357 
Packaging & Containers — 0.5%          
Amcor PLC   39,800    397,204 
Berry Global Group, Inc.   2,600    167,284 
Crown Holdings, Inc.   3,400    295,358 
Graphic Packaging Holding Co.   6,500    156,195 
Packaging Corp. of America   2,400    317,184 
Sonoco Products Co.   2,000    118,040 
         1,451,265 
Shipbuilding — 0.1%          
Huntington Ingalls Industries, Inc.   900    204,840 
Transportation — 3.2%          
C.H. Robinson Worldwide, Inc.   2,400    226,440 
CSX Corp.   34,300    1,169,630 
Expeditors International of Washington, Inc.   3,200    387,616 
FedEx Corp.   5,300    1,313,870 
Knight-Swift Transportation Holdings, Inc.   3,200    177,792 
Landstar System, Inc.   800    154,032 
Union Pacific Corp.   7,000    1,432,340 
United Parcel Service, Inc. Class B   26,349    4,723,058 
         9,584,778 
         35,438,000 
Technology — 9.0%          
Computers — 2.1%          
Accenture PLC Class A   2,540    783,793 
CACI International, Inc. Class A (a)   400    136,336 
Cognizant Technology Solutions Corp. Class A   8,600    561,408 
Dell Technologies, Inc. Class C   4,900    265,139 
DXC Technology Co. (a)   4,800    128,256 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Hewlett Packard Enterprise Co.   32,800   $551,040 
HP, Inc.   32,700    1,004,217 
International Business Machines Corp.   16,800    2,248,008 
Leidos Holdings, Inc.   2,800    247,744 
NetApp, Inc.   4,000    305,600 
         6,231,541 
Semiconductors — 5.4%          
Applied Materials, Inc.   17,500    2,529,450 
KLA Corp.   2,700    1,309,554 
Lam Research Corp.   2,800    1,800,008 
Micron Technology, Inc.   22,700    1,432,597 
ON Semiconductor Corp. (a)   7,300    690,434 
QUALCOMM, Inc.   59,905    7,131,091 
Samsung Electronics Co. Ltd.   16,865    929,539 
Skyworks Solutions, Inc.   3,300    365,277 
         16,187,950 
Software — 1.5%          
Fiserv, Inc. (a)   10,700    1,349,805 
Microsoft Corp.   9,508    3,237,854 
         4,587,659 
         27,007,150 
Utilities — 4.9%          
Electric — 4.9%          
Alliant Energy Corp.   5,000    262,400 
CenterPoint Energy, Inc.   8,600    250,690 
Consolidated Edison, Inc.   5,800    524,320 
Dominion Energy, Inc.   49,471    2,562,103 
Duke Energy Corp.   15,600    1,399,944 
Edison International   7,100    493,095 
Evergy, Inc.   4,600    268,732 
Eversource Energy   6,500    460,980 
Exelon Corp.   24,900    1,014,426 
OGE Energy Corp.   4,200    150,822 
Pinnacle West Capital Corp.   2,400    195,504 
PPL Corp.   15,400    407,484 
Public Service Enterprise Group, Inc.   13,400    838,974 
Sempra Energy   6,600    960,894 
Southern Co.   65,931    4,631,653 
Vistra Corp.   9,300    244,125 
         14,666,146 
           
TOTAL COMMON STOCK
(Cost $247,751,296)
        290,841,561 
           
PREFERRED STOCK — 1.0%          
Consumer, Cyclical — 1.0%          
Auto Manufacturers — 1.0%          
Dr Ing hc F Porsche AG 0.888% (c)   12,806    1,589,419 

 

 

 

 

MassMutual Diversified Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Volkswagen AG 22.618%   11,012   $1,477,012 
         3,066,431 
           
TOTAL PREFERRED STOCK
(Cost $3,359,725)
        3,066,431 
           
TOTAL EQUITIES
(Cost $251,111,021)
        293,907,992 
           
           
MUTUAL FUNDS — 1.2%          
Diversified Financial Services — 1.2%          
iShares Russell 1000 Value ETF   23,500    3,709,005 
           
TOTAL MUTUAL FUNDS
(Cost $3,598,748)
        3,709,005 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $254,709,769)
        297,616,997 
           
           
SHORT-TERM INVESTMENTS — 1.2%          
Mutual Fund — 0.0%          
T. Rowe Price Government Reserve Investment Fund   107    107 
           
   Principal
Amount
    
Repurchase Agreement — 1.2%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $3,471,928   $3,471,928 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,472,035)
        3,472,035 
           
TOTAL INVESTMENTS — 100.2%
(Cost $258,181,804) (e)
        301,089,032 
           
Other Assets/(Liabilities) — (0.2)%        (523,332) 
           
NET ASSETS — 100.0%       $300,565,700 

 

Abbreviation Legend

ADR American Depositary Receipt
ETF Exchange-Traded Fund

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $62,801 or 0.02% of net assets. The Fund received $64,672 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $1,589,419 or 0.53% of net assets.
(d) Maturity value of $3,472,367. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/2025 , and an aggregate market value, including accrued interest, of $3,541,471.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 98.4%          
           
COMMON STOCK — 98.4%          
Basic Materials — 4.4%          
Chemicals — 4.4%          
Air Products & Chemicals, Inc.   21,997   $6,588,762 
Axalta Coating Systems Ltd. (a)   68,379    2,243,515 
DuPont de Nemours, Inc.   94,348    6,740,221 
Element Solutions, Inc.   83,192    1,597,286 
International Flavors & Fragrances, Inc.   24,304    1,934,355 
Olin Corp.   18,748    963,460 
         20,067,599 
           
Communications — 6.1%          
Advertising — 0.4%          
Omnicom Group, Inc.   20,621    1,962,088 
Internet — 2.5%          
Alphabet, Inc. Class A (a)   59,968    7,178,170 
Alphabet, Inc. Class C (a)   16,597    2,007,739 
Booking Holdings, Inc. (a)   777    2,098,156 
         11,284,065 
Media — 1.2%          
Comcast Corp. Class A   104,483    4,341,269 
Warner Bros Discovery, Inc. (a)   79,978    1,002,924 
         5,344,193 
Telecommunications — 2.0%          
Cisco Systems, Inc.   108,991    5,639,194 
T-Mobile U.S., Inc. (a)   24,649    3,423,746 
         9,062,940 
         27,653,286 
Consumer, Cyclical — 6.8%          
Airlines — 0.4%          
Southwest Airlines Co.   46,585    1,686,843 
Auto Parts & Equipment — 0.6%          
Aptiv PLC (a)   17,135    1,749,312 
BorgWarner, Inc.   20,011    978,738 
         2,728,050 

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Distribution & Wholesale — 0.7%          
LKQ Corp.   36,616   $2,133,614 
WESCO International, Inc.   7,596    1,360,140 
         3,493,754 
Entertainment — 0.6%          
Marriott Vacations Worldwide Corp.   8,810    1,081,163 
SeaWorld Entertainment, Inc. (a)   28,063    1,571,809 
         2,652,972 
Food Services — 0.5%          
Aramark   52,013    2,239,160 
Home Furnishing — 0.4%          
Sony Group Corp. Sponsored ADR   21,673    1,951,437 
Lodging — 0.9%          
Las Vegas Sands Corp. (a)   46,173    2,678,034 
MGM Resorts International   31,396    1,378,912 
         4,056,946 
Retail — 2.7%          
AutoZone, Inc. (a)   1,714    4,273,619 
Dollar General Corp.   12,143    2,061,639 
Lithia Motors, Inc.   4,553    1,384,613 
Ulta Beauty, Inc. (a)   1,508    709,657 
Walmart, Inc.   25,407    3,993,472 
         12,423,000 
         31,232,162 
Consumer, Non-cyclical — 26.3%          
Agriculture — 2.2%          
Philip Morris International, Inc.   101,457    9,904,232 
Beverages — 2.5%          
Coca-Cola Europacific Partners PLC   86,582    5,578,479 
Keurig Dr Pepper, Inc.   115,904    3,624,318 
Molson Coors Beverage Co. Class B   32,887    2,165,280 
         11,368,077 
Biotechnology — 0.8%          
Amgen, Inc.   10,410    2,311,228 
Corteva, Inc.   22,425    1,284,953 
         3,596,181 
Commercial Services — 1.6%          
FleetCor Technologies, Inc. (a)   10,509    2,638,600 
Global Payments, Inc.   17,964    1,769,813 
United Rentals, Inc.   7,127    3,174,152 
         7,582,565 

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Cosmetics & Personal Care — 0.5%          
Kenvue, Inc. (a)   8,402   $221,981 
Procter & Gamble Co.   13,817    2,096,591 
         2,318,572 
Food — 1.0%          
Kroger Co.   24,544    1,153,568 
Tyson Foods, Inc. Class A   10,610    541,534 
U.S. Foods Holding Corp. (a)   61,598    2,710,312 
         4,405,414 
Health Care – Products — 2.2%          
Avantor, Inc. (a)   176,364    3,622,517 
LivaNova PLC (a)   18,689    961,175 
Medtronic PLC   60,041    5,289,612 
         9,873,304 
Health Care – Services — 4.2%          
Centene Corp. (a)   38,024    2,564,719 
Elevance Health, Inc.   3,754    1,667,865 
Humana, Inc.   5,347    2,390,804 
ICON PLC (a)   11,763    2,943,102 
UnitedHealth Group, Inc.   20,178    9,698,354 
         19,264,844 
Pharmaceuticals — 11.3%          
AmerisourceBergen Corp.   16,710    3,215,505 
Becton Dickinson & Co.   6,052    1,597,788 
Bristol-Myers Squibb Co.   102,137    6,531,661 
Cigna Group   29,760    8,350,656 
CVS Health Corp.   107,729    7,447,306 
Johnson & Johnson   54,350    8,996,012 
McKesson Corp.   4,544    1,941,697 
Merck & Co., Inc.   55,371    6,389,260 
Perrigo Co. PLC   88,706    3,011,569 
Sanofi ADR   81,058    4,369,026 
         51,850,480 
         120,163,669 
Energy — 10.0%          
Coal — 0.4%          
Peabody Energy Corp.   47,302    1,024,561 
Teck Resources Ltd. Class B   23,485    988,719 
         2,013,280 
Oil & Gas — 6.5%          
BP PLC Sponsored ADR   66,209    2,336,516 
Canadian Natural Resources Ltd.   52,447    2,950,668 
Cenovus Energy, Inc.   179,653    3,050,508 
ConocoPhillips   27,979    2,898,904 
Hess Corp.   44,246    6,015,244 
Marathon Petroleum Corp.   30,062    3,505,229 

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Phillips 66   54,465   $5,194,872 
Pioneer Natural Resources Co.   18,802    3,895,398 
         29,847,339 
Oil & Gas Services — 1.8%          
Halliburton Co.   142,173    4,690,288 
Schlumberger NV   66,510    3,266,971 
         7,957,259 
Pipelines — 1.3%          
Enbridge, Inc.   113,484    4,215,930 
Plains GP Holdings LP Class A (b)   120,795    1,791,390 
         6,007,320 
         45,825,198 
Financial — 17.6%          
Banks — 7.6%          
Goldman Sachs Group, Inc.   8,610    2,777,069 
JP Morgan Chase & Co.   84,801    12,333,458 
M&T Bank Corp.   24,723    3,059,719 
Northern Trust Corp.   43,193    3,202,329 
U.S. Bancorp   97,723    3,228,768 
Wells Fargo & Co.   235,293    10,042,305 
         34,643,648 
Diversified Financial Services — 1.4%          
AerCap Holdings NV (a)   26,864    1,706,401 
American Express Co.   6,986    1,216,961 
Discover Financial Services   11,392    1,331,155 
Intercontinental Exchange, Inc.   16,908    1,911,957 
         6,166,474 
Insurance — 7.0%          
American International Group, Inc.   31,535    1,814,524 
Aon PLC Class A   4,027    1,390,120 
Arthur J Gallagher & Co.   9,402    2,064,397 
Axis Capital Holdings Ltd.   23,252    1,251,655 
Berkshire Hathaway, Inc. Class B (a)   30,389    10,362,649 
Chubb Ltd.   34,235    6,592,292 
Progressive Corp.   8,360    1,106,613 
The Allstate Corp.   51,203    5,583,175 
Willis Towers Watson PLC   8,679    2,043,905 
         32,209,330 
Private Equity — 0.2%          
Ares Management Corp. Class A   10,723    1,033,161 
Real Estate — 0.4%          
Howard Hughes Corp. (a)   21,233    1,675,708 
Real Estate Investment Trusts (REITS) — 1.0%          
Corporate Office Properties Trust   81,541    1,936,599 

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
VICI Properties, Inc.   86,748   $2,726,490 
         4,663,089 
         80,391,410 
Industrial — 12.3%          
Aerospace & Defense — 3.0%          
General Dynamics Corp.   25,959    5,585,079 
Howmet Aerospace, Inc.   59,250    2,936,430 
Raytheon Technologies Corp.   53,997    5,289,546 
         13,811,055 
Building Materials — 2.0%          
CRH PLC Sponsored ADR (b)   77,314    4,308,709 
Knife River Corp. (a)   15,387    669,334 
Masco Corp.   25,699    1,474,609 
MDU Resources Group, Inc.   61,552    1,288,899 
Mohawk Industries, Inc. (a)   13,663    1,409,475 
         9,151,026 
Electronics — 0.9%          
Allegion PLC   13,358    1,603,227 
Fortive Corp.   32,972    2,465,317 
         4,068,544 
Engineering & Construction — 0.4%          
AECOM   21,445    1,816,177 
Hand & Machine Tools — 1.3%          
Stanley Black & Decker, Inc.   61,130    5,728,492 
Machinery – Construction & Mining — 1.7%          
BWX Technologies, Inc.   33,508    2,398,168 
Caterpillar, Inc.   4,857    1,195,065 
Vertiv Holdings Co.   160,124    3,966,271 
         7,559,504 
Machinery – Diversified — 2.0%          
Deere & Co.   11,344    4,596,475 
Dover Corp.   7,718    1,139,563 
Otis Worldwide Corp.   16,516    1,470,089 
Westinghouse Air Brake Technologies Corp.   17,763    1,948,068 
         9,154,195 
Miscellaneous - Manufacturing — 0.5%          
Eaton Corp. PLC   12,544    2,522,598 
Transportation — 0.5%          
JB Hunt Transport Services, Inc.   12,017    2,175,438 
         55,987,029 

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Technology — 11.5%          
Computers — 2.0%          
CACI International, Inc. Class A (a)   6,280   $2,140,475 
Cognizant Technology Solutions Corp. Class A   41,310    2,696,717 
Dell Technologies, Inc. Class C   40,473    2,189,994 
Leidos Holdings, Inc.   20,580    1,820,919 
         8,848,105 
Semiconductors — 5.4%          
Advanced Micro Devices, Inc. (a)   24,986    2,846,155 
Applied Materials, Inc.   21,127    3,053,697 
Broadcom, Inc.   3,836    3,327,462 
Lam Research Corp.   2,540    1,632,864 
Microchip Technology, Inc.   52,795    4,729,904 
Micron Technology, Inc.   39,386    2,485,650 
NXP Semiconductor NV   4,665    954,832 
QUALCOMM, Inc.   33,215    3,953,914 
Skyworks Solutions, Inc.   16,780    1,857,378 
         24,841,856 
Software — 4.1%          
Activision Blizzard, Inc. (a)   54,735    4,614,160 
Electronic Arts, Inc.   15,209    1,972,607 
Fidelity National Information Services, Inc.   62,281    3,406,771 
Oracle Corp.   52,510    6,253,416 
SS&C Technologies Holdings, Inc.   30,287    1,835,392 
Take-Two Interactive Software, Inc. (a)   4,773    702,395 
         18,784,741 
         52,474,702 
Utilities — 3.4%          
Electric — 3.4%          
CenterPoint Energy, Inc.   103,169    3,007,376 
Entergy Corp.   46,936    4,570,158 
Exelon Corp.   37,700    1,535,898 
FirstEnergy Corp.   56,779    2,207,568 
Pinnacle West Capital Corp.   53,875    4,388,658 
         15,709,658 
           
           
TOTAL COMMON STOCK
(Cost $377,702,676)
        449,504,713 
           
TOTAL EQUITIES
(Cost $377,702,676)
        449,504,713 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $377,702,676)
        449,504,713 
           

 

 

 

 

MassMutual Fundamental Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
SHORT-TERM INVESTMENTS — 2.2%          
           
Investment of Cash Collateral from Securities Loaned — 0.7%          
State Street Navigator Securities Lending Government Money Market Portfolio (c)   3,199,759   $3,199,759 
         
   Principal
Amount
    
Repurchase Agreement — 1.5%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $6,971,610   6,971,610 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $10,171,369)
        10,171,369 
           
TOTAL INVESTMENTS — 100.6%
(Cost $387,874,045) (e)
        459,676,082 
           
Other Assets/(Liabilities) — (0.6)%        (2,597,718) 
           
NET ASSETS — 100.0%       $457,078,364 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $5,983,000 or 1.31% of net assets. The Fund received $2,943,739 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Represents investment of security lending cash collateral. (Note 2).
(d) Maturity value of $6,972,493. Collateralized by U.S. Government Agency obligations with rates ranging from 2.375% - 4.250%, maturity dates ranging from 10/15/25 - 5/15/29, and an aggregate market value, including accrued interest, of $7,111,099.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 99.9%          
           
COMMON STOCK — 99.9%          
Basic Materials — 2.0%          
Chemicals — 1.6%          
Air Products & Chemicals, Inc.   15,363   $4,601,679 
Albemarle Corp.   8,129    1,813,499 
Celanese Corp.   6,846    792,767 
CF Industries Holdings, Inc.   13,217    917,524 
Dow, Inc.   48,531    2,584,761 
DuPont de Nemours, Inc.   31,455    2,247,145 
Eastman Chemical Co.   8,302    695,043 
Ecolab, Inc.   17,116    3,195,386 
FMC Corp.   8,671    904,732 
International Flavors & Fragrances, Inc.   17,633    1,403,411 
Linde PLC   33,770    12,869,072 
LyondellBasell Industries NV Class A   17,405    1,598,301 
Mosaic Co.   22,954    803,390 
PPG Industries, Inc.   16,205    2,403,202 
Sherwin-Williams Co.   16,197    4,300,627 
         41,130,539 
Forest Products & Paper — 0.0%          
International Paper Co.   24,130    767,575 
Iron & Steel — 0.2%          
Nucor Corp.   17,244    2,827,671 
Steel Dynamics, Inc.   11,178    1,217,620 
         4,045,291 
Mining — 0.2%          
Freeport-McMoRan, Inc.   98,579    3,943,160 
Newmont Corp.   55,117    2,351,291 
         6,294,451 
         52,237,856 
Communications — 12.9%          
Advertising — 0.1%          
Interpublic Group of Cos., Inc.   26,179    1,009,986 
Omnicom Group, Inc.   13,691    1,302,699 
         2,312,685 
Internet — 9.8%          
Alphabet, Inc. Class A (a)   409,728    49,044,442 
Alphabet, Inc. Class C (a)   352,558    42,648,941 
Amazon.com, Inc. (a)   615,609    80,250,789 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Booking Holdings, Inc. (a)   2,545   $6,872,340 
CDW Corp.   9,367    1,718,845 
eBay, Inc.   37,186    1,661,842 
Etsy, Inc. (a)   8,601    727,731 
Expedia Group, Inc. (a)   9,901    1,083,070 
F5, Inc. (a)   4,251    621,751 
Gen Digital, Inc.   39,889    739,941 
Match Group, Inc. (a)   19,124    800,339 
Meta Platforms, Inc. Class A (a)   152,580    43,787,408 
Netflix, Inc. (a)   30,684    13,515,995 
Palo Alto Networks, Inc. (a)   20,876    5,334,027 
VeriSign, Inc. (a)   6,219    1,405,308 
         250,212,769 
Media — 1.2%          
Charter Communications, Inc. Class A (a)   7,117    2,614,572 
Comcast Corp. Class A   286,936    11,922,191 
FactSet Research Systems, Inc.   2,673    1,070,937 
Fox Corp. Class A   18,544    630,496 
Fox Corp. Class B   9,243    294,759 
News Corp. Class A   27,151    529,445 
News Corp. Class B   8,610    169,789 
Paramount Global Class B   35,813    569,785 
Walt Disney Co. (a)   126,049    11,253,655 
Warner Bros Discovery, Inc. (a)   153,730    1,927,774 
         30,983,403 
Telecommunications — 1.8%          
Arista Networks, Inc. (a)   17,288    2,801,693 
AT&T, Inc.   492,402    7,853,812 
Cisco Systems, Inc.   282,391    14,610,910 
Corning, Inc.   52,349    1,834,309 
Juniper Networks, Inc.   22,006    689,448 
Motorola Solutions, Inc.   11,560    3,390,317 
T-Mobile U.S., Inc. (a)   39,662    5,509,052 
Verizon Communications, Inc.   289,964    10,783,761 
         47,473,302 
         330,982,159 
Consumer, Cyclical — 9.5%          
Airlines — 0.2%          
Alaska Air Group, Inc. (a)   8,761    465,910 
American Airlines Group, Inc. (a)   45,152    810,027 
Delta Air Lines, Inc. (a)   44,162    2,099,461 
Southwest Airlines Co.   40,700    1,473,747 
United Airlines Holdings, Inc. (a)   22,731    1,247,250 
         6,096,395 
Apparel — 0.4%          
NIKE, Inc. Class B   84,967    9,377,808 
Ralph Lauren Corp.   2,898    357,323 
Tapestry, Inc.   16,343    699,481 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
VF Corp.   23,513   $448,863 
         10,883,475 
Auto Manufacturers — 2.4%          
Cummins, Inc.   9,801    2,402,813 
Ford Motor Co.   270,274    4,089,246 
General Motors Co.   95,955    3,700,025 
PACCAR, Inc.   35,884    3,001,696 
Tesla, Inc. (a)   185,809    48,639,222 
         61,833,002 
Auto Parts & Equipment — 0.1%          
Aptiv PLC (a)   18,672    1,906,224 
BorgWarner, Inc.   16,014    783,245 
         2,689,469 
Distribution & Wholesale — 0.4%          
Copart, Inc. (a)   29,520    2,692,519 
Fastenal Co.   39,346    2,321,021 
LKQ Corp.   17,341    1,010,460 
Pool Corp.   2,700    1,011,528 
W.W. Grainger, Inc.   3,064    2,416,240 
         9,451,768 
Entertainment — 0.1%          
Caesars Entertainment, Inc. (a)   15,120    770,666 
Live Nation Entertainment, Inc. (a)   9,879    900,076 
         1,670,742 
Home Builders — 0.3%          
D.R. Horton, Inc.   21,338    2,596,621 
Lennar Corp. Class A   17,454    2,187,161 
NVR, Inc. (a)   210    1,333,630 
PulteGroup, Inc.   15,378    1,194,563 
         7,311,975 
Home Furnishing — 0.0%          
Whirlpool Corp.   3,862    574,627 
Housewares — 0.0%          
Newell Brands, Inc.   27,141    236,127 
Leisure Time — 0.2%          
Carnival Corp. (a)   69,980    1,317,724 
Norwegian Cruise Line Holdings Ltd. (a)   30,129    655,908 
Royal Caribbean Cruises Ltd. (a)   15,303    1,587,533 
         3,561,165 
Lodging — 0.4%          
Hilton Worldwide Holdings, Inc.   18,229    2,653,231 
Las Vegas Sands Corp. (a)   22,404    1,299,432 
Marriott International, Inc. Class A   17,837    3,276,478 
MGM Resorts International   20,778    912,570 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Wynn Resorts Ltd.   7,152   $755,323 
         8,897,034 
Retail — 5.0%          
Advance Auto Parts, Inc.   4,174    293,432 
AutoZone, Inc. (a)   1,266    3,156,594 
Bath & Body Works, Inc.   15,338    575,175 
Best Buy Co., Inc.   13,473    1,104,112 
CarMax, Inc. (a)   10,898    912,163 
Chipotle Mexican Grill, Inc. (a)   1,909    4,083,351 
Costco Wholesale Corp.   30,571    16,458,815 
Darden Restaurants, Inc.   8,339    1,393,280 
Dollar General Corp.   15,050    2,555,189 
Dollar Tree, Inc. (a)   14,389    2,064,821 
Domino's Pizza, Inc.   2,459    828,658 
Genuine Parts Co.   9,601    1,624,777 
Home Depot, Inc.   69,875    21,705,970 
Lowe's Cos., Inc.   41,173    9,292,746 
McDonald's Corp.   50,349    15,024,645 
O'Reilly Automotive, Inc. (a)   4,190    4,002,707 
Ross Stores, Inc.   23,469    2,631,579 
Starbucks Corp.   78,997    7,825,443 
Target Corp.   31,884    4,205,500 
TJX Cos., Inc.   79,352    6,728,256 
Tractor Supply Co.   7,592    1,678,591 
Ulta Beauty, Inc. (a)   3,489    1,641,906 
Walgreens Boots Alliance, Inc.   49,532    1,411,167 
Walmart, Inc.   96,772    15,210,623 
Yum! Brands, Inc.   19,263    2,668,889 
         129,078,389 
Toys, Games & Hobbies — 0.0%          
Hasbro, Inc.   8,948    579,562 
         242,863,730 
Consumer, Non-cyclical — 20.2%          
Agriculture — 0.8%          
Altria Group, Inc.   123,414    5,590,654 
Archer-Daniels-Midland Co.   37,792    2,855,564 
Bunge Ltd.   10,412    982,372 
Philip Morris International, Inc.   107,059    10,451,100 
         19,879,690 
Beverages — 1.7%          
Brown-Forman Corp. Class B   12,822    856,253 
Coca-Cola Co.   268,616    16,176,056 
Constellation Brands, Inc. Class A   11,190    2,754,195 
Keurig Dr Pepper, Inc.   58,535    1,830,389 
Molson Coors Beverage Co. Class B   12,774    841,040 
Monster Beverage Corp. (a)   52,404    3,010,086 
PepsiCo, Inc.   94,997    17,595,344 
         43,063,363 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Biotechnology — 1.5%          
Amgen, Inc.   36,824   $8,175,664 
Bio-Rad Laboratories, Inc. Class A (a)   1,513    573,608 
Biogen, Inc. (a)   9,971    2,840,239 
Corteva, Inc.   48,812    2,796,928 
Gilead Sciences, Inc.   85,972    6,625,862 
Illumina, Inc. (a)   10,943    2,051,703 
Incyte Corp. (a)   12,888    802,278 
Moderna, Inc. (a)   22,516    2,735,694 
Regeneron Pharmaceuticals, Inc. (a)   7,440    5,345,938 
Vertex Pharmaceuticals, Inc. (a)   17,771    6,253,793 
         38,201,707 
Commercial Services — 1.7%          
Automatic Data Processing, Inc.   28,474    6,258,300 
Cintas Corp.   5,960    2,962,597 
CoStar Group, Inc. (a)   28,092    2,500,188 
Equifax, Inc.   8,395    1,975,344 
FleetCor Technologies, Inc. (a)   5,114    1,284,023 
Gartner, Inc. (a)   5,409    1,894,827 
Global Payments, Inc.   18,211    1,794,148 
MarketAxess Holdings, Inc.   2,648    692,240 
Moody's Corp.   10,851    3,773,110 
PayPal Holdings, Inc. (a)   76,796    5,124,597 
Quanta Services, Inc.   9,983    1,961,160 
Robert Half International, Inc.   7,355    553,243 
Rollins, Inc.   16,022    686,222 
S&P Global, Inc.   22,616    9,066,528 
United Rentals, Inc.   4,781    2,129,314 
Verisk Analytics, Inc.   9,956    2,250,355 
         44,906,196 
Cosmetics & Personal Care — 1.3%          
Colgate-Palmolive Co.   57,198    4,406,534 
Estee Lauder Cos., Inc. Class A   15,937    3,129,708 
Procter & Gamble Co.   162,595    24,672,165 
         32,208,407 
Food — 1.1%          
Campbell Soup Co.   14,221    650,042 
Conagra Brands, Inc.   33,361    1,124,933 
General Mills, Inc.   40,520    3,107,884 
Hershey Co.   10,130    2,529,461 
Hormel Foods Corp.   20,243    814,173 
Kellogg Co.   17,903    1,206,662 
Kraft Heinz Co.   55,416    1,967,268 
Kroger Co.   44,939    2,112,133 
Lamb Weston Holdings, Inc.   10,162    1,168,122 
McCormick & Co., Inc.   17,188    1,499,309 
Mondelez International, Inc. Class A   93,806    6,842,210 
Sysco Corp.   35,150    2,608,130 
The J.M. Smucker Co.   7,252    1,070,903 
Tyson Foods, Inc. Class A   19,966    1,019,065 
         27,720,295 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Health Care – Products — 3.7%          
Abbott Laboratories   119,814   $13,062,122 
Align Technology, Inc. (a)   4,879    1,725,410 
Baxter International, Inc.   34,841    1,587,356 
Bio-Techne Corp.   10,930    892,216 
Boston Scientific Corp. (a)   99,397    5,376,384 
Danaher Corp.   45,830    10,999,200 
Dentsply Sirona, Inc.   14,768    591,015 
Edwards Lifesciences Corp. (a)   41,999    3,961,766 
GE HealthCare Technologies, Inc. (a)   27,122    2,203,391 
Hologic, Inc. (a)   16,897    1,368,150 
IDEXX Laboratories, Inc. (a)   5,749    2,887,320 
Insulet Corp. (a)   4,758    1,371,922 
Intuitive Surgical, Inc. (a)   24,176    8,266,741 
Medtronic PLC   91,795    8,087,139 
ResMed, Inc.   10,176    2,223,456 
Revvity, Inc.   8,590    1,020,406 
Steris PLC   6,924    1,557,762 
Stryker Corp.   23,303    7,109,512 
Teleflex, Inc.   3,207    776,190 
The Cooper Cos., Inc.   3,439    1,318,616 
Thermo Fisher Scientific, Inc.   26,572    13,863,941 
Waters Corp. (a)   4,064    1,083,219 
West Pharmaceutical Services, Inc.   5,135    1,963,983 
Zimmer Biomet Holdings, Inc.   14,343    2,088,341 
         95,385,558 
Health Care – Services — 2.2%          
Catalent, Inc. (a)   12,240    530,726 
Centene Corp. (a)   37,647    2,539,290 
Charles River Laboratories International, Inc. (a)   3,531    742,393 
DaVita, Inc. (a)   3,993    401,177 
Elevance Health, Inc.   16,347    7,262,809 
HCA Healthcare, Inc.   14,215    4,313,968 
Humana, Inc.   8,593    3,842,188 
IQVIA Holdings, Inc. (a)   12,844    2,886,946 
Laboratory Corp. of America Holdings   6,100    1,472,113 
Molina Healthcare, Inc. (a)   4,062    1,223,637 
Quest Diagnostics, Inc.   7,638    1,073,597 
UnitedHealth Group, Inc.   64,259    30,885,446 
Universal Health Services, Inc. Class B   4,303    678,884 
         57,853,174 
Household Products & Wares — 0.3%          
Avery Dennison Corp.   5,532    950,398 
Church & Dwight Co., Inc.   16,826    1,686,470 
Clorox Co.   8,545    1,358,997 
Kimberly-Clark Corp.   23,252    3,210,171 
         7,206,036 
Pharmaceuticals — 5.9%          
AbbVie, Inc.   121,667    16,392,195 
AmerisourceBergen Corp.   11,212    2,157,525 
Becton Dickinson & Co.   19,589    5,171,692 
Bristol-Myers Squibb Co.   145,027    9,274,477 
Cardinal Health, Inc.   17,464    1,651,570 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Cigna Group   20,378   $5,718,067 
CVS Health Corp.   88,323    6,105,769 
Dexcom, Inc. (a)   26,653    3,425,177 
Eli Lilly & Co.   54,366    25,496,567 
Henry Schein, Inc. (a)   8,935    724,628 
Johnson & Johnson   179,325    29,681,874 
McKesson Corp.   9,345    3,993,212 
Merck & Co., Inc.   175,135    20,208,828 
Organon & Co.   18,329    381,426 
Pfizer, Inc.   389,594    14,290,308 
Viatris, Inc.   81,434    812,711 
Zoetis, Inc.   31,805    5,477,139 
         150,963,165 
         517,387,591 
Energy — 4.2%          
Energy – Alternate Sources — 0.1%          
Enphase Energy, Inc. (a)   9,497    1,590,557 
First Solar, Inc. (a)   6,876    1,307,059 
SolarEdge Technologies, Inc. (a)   3,940    1,060,057 
         3,957,673 
Oil & Gas — 3.4%          
APA Corp.   21,399    731,204 
Chevron Corp.   120,286    18,927,002 
ConocoPhillips   83,294    8,630,091 
Coterra Energy, Inc.   52,868    1,337,560 
Devon Energy Corp.   43,891    2,121,691 
Diamondback Energy, Inc.   12,587    1,653,428 
EOG Resources, Inc.   40,411    4,624,635 
EQT Corp.   25,358    1,042,975 
Exxon Mobil Corp.   278,882    29,910,095 
Hess Corp.   19,194    2,609,424 
Marathon Oil Corp.   42,933    988,318 
Marathon Petroleum Corp.   29,175    3,401,805 
Occidental Petroleum Corp.   49,334    2,900,839 
Phillips 66   31,511    3,005,519 
Pioneer Natural Resources Co.   16,062    3,327,725 
Valero Energy Corp.   24,822    2,911,621 
         88,123,932 
Oil & Gas Services — 0.4%          
Baker Hughes Co.   70,121    2,216,525 
Halliburton Co.   62,372    2,057,652 
Schlumberger NV   98,105    4,818,918 
         9,093,095 
Pipelines — 0.3%          
Kinder Morgan, Inc.   136,882    2,357,108 
ONEOK, Inc.   31,054    1,916,653 
Targa Resources Corp.   15,429    1,174,147 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Williams Cos., Inc.   83,600   $2,727,868 
         8,175,776 
         109,350,476 
Financial — 13.5%          
Banks — 3.8%          
Bank of America Corp.   478,381    13,724,751 
Citigroup, Inc.   134,121    6,174,931 
Citizens Financial Group, Inc.   33,827    882,208 
Comerica, Inc.   9,176    388,695 
Fifth Third Bancorp   47,162    1,236,116 
Goldman Sachs Group, Inc.   22,912    7,390,036 
Huntington Bancshares, Inc.   98,887    1,066,002 
JP Morgan Chase & Co.   201,592    29,319,540 
KeyCorp.   63,649    588,117 
M&T Bank Corp.   11,567    1,431,532 
Morgan Stanley   89,773    7,666,614 
Northern Trust Corp.   14,297    1,059,980 
PNC Financial Services Group, Inc.   27,433    3,455,186 
Regions Financial Corp.   65,319    1,163,985 
State Street Corp.   23,227    1,699,752 
The Bank of New York Mellon Corp.   49,875    2,220,435 
Truist Financial Corp.   91,296    2,770,834 
U.S. Bancorp   95,835    3,166,388 
Wells Fargo & Co.   258,806    11,045,840 
Zions Bancorp NA   10,489    281,735 
         96,732,677 
Diversified Financial Services — 3.6%          
American Express Co.   40,977    7,138,193 
Ameriprise Financial, Inc.   7,238    2,404,174 
BlackRock, Inc.   10,318    7,131,183 
Capital One Financial Corp.   26,246    2,870,525 
Cboe Global Markets, Inc.   7,296    1,006,921 
Charles Schwab Corp.   102,396    5,803,805 
CME Group, Inc.   24,776    4,590,745 
Discover Financial Services   17,399    2,033,073 
Franklin Resources, Inc.   19,879    530,968 
Intercontinental Exchange, Inc.   38,522    4,356,068 
Invesco Ltd.   32,219    541,601 
Mastercard, Inc. Class A   57,701    22,693,803 
Nasdaq, Inc.   23,043    1,148,694 
Raymond James Financial, Inc.   13,249    1,374,849 
Synchrony Financial   29,901    1,014,242 
T. Rowe Price Group, Inc.   15,508    1,737,206 
Visa, Inc. Class A   111,614    26,506,093 
         92,882,143 
Insurance — 3.7%          
Aflac, Inc.   38,063    2,656,797 
American International Group, Inc.   50,214    2,889,314 
Aon PLC Class A   14,070    4,856,964 
Arch Capital Group Ltd. (a)   25,866    1,936,070 
Arthur J Gallagher & Co.   14,716    3,231,192 
Assurant, Inc.   3,704    465,667 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Berkshire Hathaway, Inc. Class B (a)   123,061   $41,963,801 
Brown & Brown, Inc.   16,438    1,131,592 
Chubb Ltd.   28,523    5,492,389 
Cincinnati Financial Corp.   10,692    1,040,545 
Everest Re Group Ltd.   2,923    999,257 
Globe Life, Inc.   5,976    655,089 
Hartford Financial Services Group, Inc.   21,271    1,531,937 
Lincoln National Corp.   11,351    292,402 
Loews Corp.   12,857    763,449 
Marsh & McLennan Cos., Inc.   34,153    6,423,496 
MetLife, Inc.   44,524    2,516,942 
Principal Financial Group, Inc.   15,625    1,185,000 
Progressive Corp.   40,367    5,343,380 
Prudential Financial, Inc.   25,182    2,221,556 
The Allstate Corp.   18,226    1,987,363 
Travelers Cos., Inc.   15,921    2,764,841 
W. R. Berkley Corp.   14,003    834,019 
Willis Towers Watson PLC   7,375    1,736,812 
         94,919,874 
Real Estate — 0.1%          
CBRE Group, Inc. Class A (a)   21,532    1,737,848 
Real Estate Investment Trusts (REITS) — 2.3%          
Alexandria Real Estate Equities, Inc.   10,817    1,227,621 
American Tower Corp.   32,235    6,251,656 
AvalonBay Communities, Inc.   9,757    1,846,707 
Boston Properties, Inc.   10,064    579,586 
Camden Property Trust   7,421    807,924 
Crown Castle, Inc.   29,804    3,395,868 
Digital Realty Trust, Inc.   19,935    2,269,998 
Equinix, Inc.   6,438    5,047,006 
Equity Residential   23,619    1,558,145 
Essex Property Trust, Inc.   4,499    1,054,116 
Extra Space Storage, Inc.   9,421    1,402,316 
Federal Realty Investment Trust   4,879    472,141 
Healthpeak Properties, Inc.   37,979    763,378 
Host Hotels & Resorts, Inc.   50,073    842,729 
Invitation Homes, Inc.   39,643    1,363,719 
Iron Mountain, Inc.   19,914    1,131,513 
Kimco Realty Corp.   43,624    860,265 
Mid-America Apartment Communities, Inc.   8,076    1,226,421 
Prologis, Inc.   63,554    7,793,627 
Public Storage   10,871    3,173,027 
Realty Income Corp.   46,668    2,790,280 
Regency Centers Corp.   10,845    669,896 
SBA Communications Corp.   7,461    1,729,161 
Simon Property Group, Inc.   22,399    2,586,637 
UDR, Inc.   21,725    933,306 
Ventas, Inc.   27,258    1,288,486 
VICI Properties, Inc.   68,825    2,163,170 
Welltower, Inc.   34,452    2,786,822 
Weyerhaeuser Co.   50,219    1,682,839 
         59,698,360 
         345,970,902 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Industrial — 7.7%          
Aerospace & Defense — 1.6%          
Boeing Co. (a)   38,985   $8,232,073 
General Dynamics Corp.   15,522    3,339,558 
Howmet Aerospace, Inc.   25,225    1,250,151 
L3 Harris Technologies, Inc.   13,139    2,572,222 
Lockheed Martin Corp.   15,541    7,154,766 
Northrop Grumman Corp.   9,843    4,486,439 
Raytheon Technologies Corp.   100,767    9,871,135 
TransDigm Group, Inc.   3,581    3,202,023 
         40,108,367 
Building Materials — 0.6%          
Carrier Global Corp.   57,449    2,855,790 
Johnson Controls International PLC   47,137    3,211,915 
Martin Marietta Materials, Inc.   4,253    1,963,568 
Masco Corp.   15,353    880,955 
Mohawk Industries, Inc. (a)   3,475    358,481 
Trane Technologies PLC   15,662    2,995,514 
Vulcan Materials Co.   9,173    2,067,961 
         14,334,184 
Electrical Components & Equipment — 0.3%          
AMETEK, Inc.   15,948    2,581,662 
Emerson Electric Co.   39,291    3,551,514 
Generac Holdings, Inc. (a)   4,255    634,548 
         6,767,724 
Electronics — 1.1%          
Agilent Technologies, Inc.   20,441    2,458,030 
Allegion PLC   6,027    723,361 
Amphenol Corp. Class A   41,196    3,499,600 
Fortive Corp.   24,180    1,807,939 
Garmin Ltd.   10,650    1,110,688 
Honeywell International, Inc.   45,932    9,530,890 
Keysight Technologies, Inc. (a)   12,214    2,045,234 
Mettler-Toledo International, Inc. (a)   1,525    2,000,251 
TE Connectivity Ltd.   21,726    3,045,116 
Trimble, Inc. (a)   17,158    908,345 
         27,129,454 
Engineering & Construction — 0.0%          
Jacobs Solutions, Inc.   8,747    1,039,931 
Environmental Controls — 0.3%          
Pentair PLC   11,537    745,290 
Republic Services, Inc.   14,244    2,181,753 
Waste Management, Inc.   25,478    4,418,395 
         7,345,438 
Hand & Machine Tools — 0.1%          
Snap-on, Inc.   3,698    1,065,727 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Stanley Black & Decker, Inc.   10,468   $980,956 
         2,046,683 
Machinery – Construction & Mining — 0.3%          
Caterpillar, Inc.   35,541    8,744,863 
Machinery – Diversified — 0.8%          
Deere & Co.   18,604    7,538,155 
Dover Corp.   9,752    1,439,883 
IDEX Corp.   5,173    1,113,540 
Ingersoll Rand, Inc.   28,035    1,832,367 
Nordson Corp.   3,729    925,463 
Otis Worldwide Corp.   28,696    2,554,231 
Rockwell Automation, Inc.   7,965    2,624,069 
Westinghouse Air Brake Technologies Corp.   12,428    1,362,979 
Xylem, Inc.   16,492    1,857,329 
         21,248,016 
Miscellaneous - Manufacturing — 1.1%          
3M Co.   37,940    3,797,415 
A.O. Smith Corp.   8,591    625,253 
Axon Enterprise, Inc. (a)   4,899    955,893 
Eaton Corp. PLC   27,556    5,541,511 
General Electric Co.   75,079    8,247,428 
Illinois Tool Works, Inc.   19,111    4,780,808 
Parker-Hannifin Corp.   8,893    3,468,626 
Teledyne Technologies, Inc. (a)   3,287    1,351,318 
Textron, Inc.   13,721    927,951 
         29,696,203 
Packaging & Containers — 0.1%          
Amcor PLC   101,909    1,017,052 
Ball Corp.   21,584    1,256,405 
Packaging Corp. of America   6,201    819,524 
Sealed Air Corp.   9,602    384,080 
WestRock Co.   18,105    526,312 
         4,003,373 
Shipbuilding — 0.0%          
Huntington Ingalls Industries, Inc.   2,676    609,058 
Transportation — 1.4%          
C.H. Robinson Worldwide, Inc.   7,856    741,214 
CSX Corp.   140,577    4,793,676 
Expeditors International of Washington, Inc.   10,670    1,292,457 
FedEx Corp.   15,902    3,942,106 
JB Hunt Transport Services, Inc.   5,683    1,028,794 
Norfolk Southern Corp.   15,769    3,575,778 
Old Dominion Freight Line, Inc.   6,240    2,307,240 
Union Pacific Corp.   42,036    8,601,406 
United Parcel Service, Inc. Class B   50,029    8,967,698 
         35,250,369 
         198,323,663 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Technology — 27.3%          
Computers — 9.1%          
Accenture PLC Class A   43,596   $13,452,854 
Apple, Inc.   1,019,954    197,840,477 
Cognizant Technology Solutions Corp. Class A   34,781    2,270,504 
DXC Technology Co. (a)   16,034    428,428 
EPAM Systems, Inc. (a)   4,034    906,642 
Fortinet, Inc. (a)   45,056    3,405,783 
Hewlett Packard Enterprise Co.   89,778    1,508,270 
HP, Inc.   59,556    1,828,965 
International Business Machines Corp.   62,603    8,376,907 
Leidos Holdings, Inc.   9,604    849,762 
NetApp, Inc.   14,763    1,127,893 
Seagate Technology Holdings PLC   13,225    818,231 
Western Digital Corp. (a)   21,607    819,554 
         233,634,270 
Office & Business Equipment — 0.1%          
Zebra Technologies Corp. Class A (a)   3,519    1,041,026 
Semiconductors — 7.2%          
Advanced Micro Devices, Inc. (a)   111,126    12,658,363 
Analog Devices, Inc.   34,953    6,809,194 
Applied Materials, Inc.   58,295    8,425,959 
Broadcom, Inc.   28,772    24,957,696 
Intel Corp.   287,645    9,618,849 
KLA Corp.   9,463    4,589,744 
Lam Research Corp.   9,268    5,958,026 
Microchip Technology, Inc.   37,636    3,371,809 
Micron Technology, Inc.   75,437    4,760,829 
Monolithic Power Systems, Inc.   3,094    1,671,472 
NVIDIA Corp.   170,597    72,165,943 
NXP Semiconductor NV   17,856    3,654,766 
ON Semiconductor Corp. (a)   29,673    2,806,472 
Qorvo, Inc. (a)   6,926    706,660 
QUALCOMM, Inc.   76,896    9,153,700 
Skyworks Solutions, Inc.   10,852    1,201,208 
Teradyne, Inc.   10,687    1,189,784 
Texas Instruments, Inc.   62,594    11,268,172 
         184,968,646 
Software — 10.9%          
Activision Blizzard, Inc. (a)   49,364    4,161,385 
Adobe, Inc. (a)   31,623    15,463,331 
Akamai Technologies, Inc. (a)   10,615    953,970 
ANSYS, Inc. (a)   6,005    1,983,271 
Autodesk, Inc. (a)   14,779    3,023,931 
Broadridge Financial Solutions, Inc.   8,100    1,341,603 
Cadence Design Systems, Inc. (a)   18,804    4,409,914 
Ceridian HCM Holding, Inc. (a)   10,572    708,007 
Electronic Arts, Inc.   17,925    2,324,873 
Fair Isaac Corp. (a)   1,715    1,387,795 
Fidelity National Information Services, Inc.   40,529    2,216,936 
Fiserv, Inc. (a)   42,504    5,361,880 
Intuit, Inc.   19,313    8,849,024 
Jack Henry & Associates, Inc.   4,992    835,311 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Microsoft Corp.   512,924   $174,671,139 
MSCI, Inc.   5,517    2,589,073 
Oracle Corp.   106,159    12,642,475 
Paychex, Inc.   22,243    2,488,325 
Paycom Software, Inc.   3,372    1,083,221 
PTC, Inc. (a)   7,428    1,057,004 
Roper Technologies, Inc.   7,339    3,528,591 
Salesforce, Inc. (a)   67,555    14,271,669 
ServiceNow, Inc. (a)   14,044    7,892,307 
Synopsys, Inc. (a)   10,495    4,569,628 
Take-Two Interactive Software, Inc. (a)   10,855    1,597,422 
Tyler Technologies, Inc. (a)   2,892    1,204,431 
         280,616,516 
         700,260,458 
Utilities — 2.6%          
Electric — 2.4%          
AES Corp.   45,831    950,077 
Alliant Energy Corp.   17,276    906,644 
Ameren Corp.   18,184    1,485,087 
American Electric Power Co., Inc.   35,358    2,977,144 
CenterPoint Energy, Inc.   43,363    1,264,031 
CMS Energy Corp.   20,186    1,185,928 
Consolidated Edison, Inc.   24,015    2,170,956 
Constellation Energy Corp.   22,473    2,057,403 
Dominion Energy, Inc.   57,327    2,968,965 
DTE Energy Co.   14,275    1,570,535 
Duke Energy Corp.   53,051    4,760,797 
Edison International   26,640    1,850,148 
Entergy Corp.   14,628    1,424,328 
Evergy, Inc.   15,752    920,232 
Eversource Energy   24,118    1,710,449 
Exelon Corp.   68,264    2,781,075 
FirstEnergy Corp.   37,783    1,469,003 
NextEra Energy, Inc.   139,708    10,366,334 
NRG Energy, Inc.   15,738    588,444 
PG&E Corp. (a)   112,487    1,943,775 
Pinnacle West Capital Corp.   7,690    626,427 
PPL Corp.   50,723    1,342,131 
Public Service Enterprise Group, Inc.   34,564    2,164,052 
Sempra Energy   21,619    3,147,510 
Southern Co.   75,259    5,286,945 
WEC Energy Group, Inc.   21,819    1,925,309 
Xcel Energy, Inc.   37,681    2,342,628 
         62,186,357 
Gas — 0.1%          
Atmos Energy Corp.   10,039    1,167,938 
NiSource, Inc.   28,803    787,762 
         1,955,700 
Water — 0.1%          
American Water Works Co., Inc.   13,511    1,928,695 
        66,070,752 

 

 

 

 

MM S&P 500 Index Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
TOTAL COMMON STOCK
(Cost $1,369,110,055)
       $2,563,447,587 
           
TOTAL EQUITIES
(Cost $1,369,110,055)
        2,563,447,587 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,369,110,055)
        2,563,447,587 
           
   Principal
Amount
    
SHORT-TERM INVESTMENTS — 0.2%          
           
Repurchase Agreement — 0.2%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (b)  $5,480,333   5,480,333 
U.S. Treasury Bill — 0.0%          
U.S. Treasury Bills          
5.294% 10/26/23 (c) (d)   75,000    73,754 
5.324% 10/26/23 (c) (d)   25,000    24,584 
5.489% 10/26/23 (c) (d)   105,000    103,256 
5.591% 10/26/23 (c) (d)   290,000    285,183 
         486,777 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $5,966,860)
        5,967,110 
           
TOTAL INVESTMENTS — 100.1%
(Cost $1,375,076,915) (e)
        2,569,414,697 
           
Other Assets/(Liabilities) — (0.1)%        (3,171,859) 
           
NET ASSETS — 100.0%       $2,566,242,838 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Maturity value of $5,481,027. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $5,589,990.
(c) The rate shown represents yield-to-maturity.
(d) All or a portion of this security is pledged/held as collateral for open derivatives. (Note 2).
(e) See Note 3 for aggregate cost for federal tax purposes.

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
S&P 500 E Mini Index  9/15/23   34   $7,474,591  $155,434 

 

 

 

MassMutual Equity Opportunities Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 97.6%          
           
COMMON STOCK — 96.9%          
Basic Materials — 7.9%          
Chemicals — 7.5%          
CF Industries Holdings, Inc.   65,800   $4,567,836 
Ecolab, Inc.   114,160    21,312,530 
Linde PLC   59,894    22,824,406 
         48,704,772 
Forest Products & Paper — 0.4%          
International Paper Co.   83,300    2,649,773 
         51,354,545 
Communications — 1.2%          
Media — 1.2%          
News Corp. Class A   226,843    4,423,438 
News Corp. Class B   46,300    913,036 
Walt Disney Co. (a)   27,600    2,464,128 
         7,800,602 
         7,800,602 
Consumer, Cyclical — 10.3%          
Apparel — 3.2%          
NIKE, Inc. Class B   187,791    20,726,493 
Lodging — 0.4%          
Las Vegas Sands Corp. (a)   48,700    2,824,600 
Retail — 6.7%          
McDonald's Corp.   63,605    18,980,368 
TJX Cos., Inc.   287,277    24,358,217 
         43,338,585 
         66,889,678 
Consumer, Non-cyclical — 31.6%          
Agriculture — 0.9%          
Philip Morris International, Inc.   57,500    5,613,150 
Beverages — 4.5%          
Coca-Cola Co.   138,971    8,368,833 
PepsiCo, Inc.   112,922    20,915,413 
         29,284,246 

 

 

 

 

MassMutual Equity Opportunities Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Cosmetics & Personal Care — 5.8%          
Colgate-Palmolive Co.   245,422   $18,907,311 
Procter & Gamble Co.   120,976    18,356,898 
         37,264,209 
Food — 0.9%          
Conagra Brands, Inc.   98,200    3,311,304 
Tyson Foods, Inc. Class A   52,400    2,674,496 
         5,985,800 
Health Care – Products — 9.1%          
Danaher Corp.   95,305    22,873,200 
Medtronic PLC   140,942    12,416,990 
Stryker Corp.   67,243    20,515,167 
Zimmer Biomet Holdings, Inc.   21,400    3,115,840 
         58,921,197 
Health Care – Services — 4.9%          
Elevance Health, Inc.   16,920    7,517,387 
UnitedHealth Group, Inc.   50,178    24,117,554 
         31,634,941 
Household Products & Wares — 0.5%          
Kimberly-Clark Corp.   25,800    3,561,948 
Pharmaceuticals — 5.0%          
AbbVie, Inc.   17,000    2,290,410 
Becton Dickinson & Co.   25,033    6,608,962 
Johnson & Johnson   114,461    18,945,585 
Sanofi ADR   58,000    3,126,200 
Viatris, Inc.   140,100    1,398,198 
         32,369,355 
         204,634,846 
Energy — 1.9%          
Oil & Gas — 1.9%          
EOG Resources, Inc.   22,300    2,552,012 
TotalEnergies SE   131,400    7,530,859 
TotalEnergies SE Sponsored ADR   37,100    2,138,444 
         12,221,315 
         12,221,315 
Financial — 20.6%          
Banks — 2.8%          
Fifth Third Bancorp   197,100    5,165,991 
U.S. Bancorp   137,900    4,556,216 
Wells Fargo & Co.   195,000    8,322,600 
         18,044,807 

 

 

 

 

MassMutual Equity Opportunities Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Diversified Financial Services — 6.8%          
American Express Co.   118,891   $20,710,812 
Visa, Inc. Class A   98,284    23,340,485 
         44,051,297 
Insurance — 8.5%          
American International Group, Inc.   86,600    4,982,964 
Chubb Ltd.   123,639    23,807,926 
Equitable Holdings, Inc.   145,000    3,938,200 
Marsh & McLennan Cos., Inc.   117,487    22,096,955 
         54,826,045 
Real Estate Investment Trusts (REITS) — 2.5%          
American Tower Corp.   43,529    8,442,014 
Equity Residential   63,000    4,156,110 
Weyerhaeuser Co.   119,100    3,991,041 
         16,589,165 
         133,511,314 
Industrial — 11.5%          
Aerospace & Defense — 4.3%          
Boeing Co. (a)   15,500    3,272,980 
L3 Harris Technologies, Inc.   27,200    5,324,944 
Lockheed Martin Corp.   10,181    4,687,129 
Northrop Grumman Corp.   32,308    14,725,986 
         28,011,039 
Electronics — 3.4%          
Honeywell International, Inc.   107,144    22,232,380 
Hand & Machine Tools — 0.6%          
Stanley Black & Decker, Inc.   40,400    3,785,884 
Miscellaneous - Manufacturing — 1.0%          
General Electric Co.   55,100    6,052,735 
Transportation — 2.2%          
Union Pacific Corp.   52,885    10,821,329 
United Parcel Service, Inc. Class B   17,900    3,208,575 
         14,029,904 
         74,111,942 
Technology — 10.1%          
Computers — 3.2%          
Accenture PLC Class A   66,446    20,503,907 
Semiconductors — 2.8%          
QUALCOMM, Inc.   60,000    7,142,400 
Samsung Electronics Co. Ltd.   28,800    1,587,353 
Texas Instruments, Inc.   51,832    9,330,797 
         18,060,550 

 

 

 

 

MassMutual Equity Opportunities Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Software — 4.1%          
Microsoft Corp.   79,024   $26,910,833 
         65,475,290 
Utilities — 1.8%          
Electric — 1.8%          
Dominion Energy, Inc.   81,600    4,226,064 
Southern Co.   108,900    7,650,225 
         11,876,289 
         11,876,289 
           
TOTAL COMMON STOCK
(Cost $519,615,998)
        627,875,821 
           
PREFERRED STOCK — 0.7%          
Consumer, Cyclical — 0.7%          
Auto Manufacturers — 0.7%          
Dr Ing hc F Porsche AG 0.888% (b)   20,700    2,569,185 
Volkswagen AG 22.618%   17,800    2,387,469 
         4,956,654 
           
TOTAL PREFERRED STOCK
(Cost $5,563,183)
        4,956,654 
           
TOTAL EQUITIES
(Cost $525,179,181)
        632,832,475 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $525,179,181)
        632,832,475 
           
           
SHORT-TERM INVESTMENTS — 1.6%          
Mutual Fund — 0.0%          
T. Rowe Price Government Reserve Investment Fund   162    162 
         
   Principal
Amount
    
Repurchase Agreement — 1.6%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (c)  $10,233,504   10,233,504 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $10,233,666)
        10,233,666 
           
TOTAL INVESTMENTS — 99.2%
(Cost $535,412,847) (d)
        643,066,141 
           
Other Assets/(Liabilities) — 0.8%        4,863,967 
           
NET ASSETS — 100.0%       $647,930,108 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $2,569,185 or 0.40% of net assets.
(c) Maturity value of $10,234,800. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $10,438,301.
(d) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Fundamental Growth Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 98.5%          
           
COMMON STOCK — 98.5%          
Basic Materials — 0.7%          
Chemicals — 0.7%          
Celanese Corp.   1,950   $225,810 
Communications — 7.1%          
Internet — 5.7%          
CDW Corp.   4,800    880,800 
Etsy, Inc. (a)   5,229    442,426 
Palo Alto Networks, Inc. (a)   1,495    381,987 
         1,705,213 
Telecommunications — 1.4%          
Arista Networks, Inc. (a)   1,220    197,713 
Nice Ltd. Sponsored ADR (a) (b)   1,020    210,630 
         408,343 
         2,113,556 
Consumer, Cyclical — 13.1%          
Apparel — 0.8%          
Tapestry, Inc.   5,970    255,516 
Auto Parts & Equipment — 0.7%          
Aptiv PLC (a)   2,000    204,180 
Distribution & Wholesale — 2.7%          
Copart, Inc. (a)   2,800    255,388 
Watsco, Inc. (b)   754    287,628 
WESCO International, Inc.   1,420    254,265 
         797,281 
Entertainment — 1.2%          
Live Nation Entertainment, Inc. (a)   1,740    158,531 
Vail Resorts, Inc.   780    196,373 
         354,904 
Lodging — 2.6%          
Hilton Worldwide Holdings, Inc.   5,404    786,552 
Retail — 5.1%          
Chipotle Mexican Grill, Inc. (a)   176    376,464 
Freshpet, Inc. (a)   8,691    571,955 

 

 

 

 

MassMutual Fundamental Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Lululemon Athletica, Inc. (a)   1,492   $564,722 
         1,513,141 
         3,911,574 
Consumer, Non-cyclical — 30.2%          
Beverages — 2.1%          
Celsius Holdings, Inc. (a)   1,646    245,567 
Constellation Brands, Inc. Class A   1,490    366,733 
         612,300 
Biotechnology — 2.1%          
Illumina, Inc. (a)   2,173    407,416 
Legend Biotech Corp. ADR (a)   1,350    93,190 
Sarepta Therapeutics, Inc. (a)   1,130    129,408 
         630,014 
Commercial Services — 6.0%          
CoStar Group, Inc. (a)   3,230    287,470 
Gartner, Inc. (a)   2,253    789,249 
Global Payments, Inc.   2,350    231,522 
TransUnion   6,237    488,544 
         1,796,785 
Health Care – Products — 12.1%          
Align Technology, Inc. (a)   2,142    757,497 
Avantor, Inc. (a)   10,560    216,902 
Bio-Techne Corp.   2,460    200,810 
Cooper Cos., Inc.   717    274,919 
Exact Sciences Corp. (a)   5,983    561,804 
IDEXX Laboratories, Inc. (a)   518    260,155 
Insulet Corp. (a)   1,879    541,791 
Masimo Corp. (a)   980    161,259 
Omnicell, Inc. (a)   6,273    462,132 
Repligen Corp. (a)   1,292    182,766 
         3,620,035 
Health Care – Services — 5.8%          
ICON PLC (a)   5,110    1,278,522 
Molina Healthcare, Inc. (a)   1,481    446,137 
         1,724,659 
Pharmaceuticals — 2.1%          
Ascendis Pharma A/S ADR (a)   3,210    286,492 
Dexcom, Inc. (a)   2,670    343,122 
         629,614 
         9,013,407 
Energy — 3.1%          
Oil & Gas — 1.0%          
Devon Energy Corp.   6,200    299,708 

 

 

 

 

MassMutual Fundamental Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Oil & Gas Services — 0.4%          
Halliburton Co.   3,180   $104,908 
Pipelines — 1.7%          
Cheniere Energy, Inc.   3,357    511,473 
         916,089 
Financial — 6.9%          
Diversified Financial Services — 2.7%          
Hamilton Lane, Inc. Class A   7,017    561,220 
LPL Financial Holdings, Inc.   1,100    239,173 
         800,393 
Insurance — 1.4%          
American International Group, Inc.   3,190    183,553 
Arthur J Gallagher & Co.   1,090    239,331 
         422,884 
Private Equity — 2.3%          
Ares Management Corp. Class A   7,179    691,696 
Real Estate Investment Trusts (REITS) — 0.5%          
Essex Property Trust, Inc.   630    147,609 
         2,062,582 
Industrial — 13.5%          
Aerospace & Defense — 2.7%          
Hexcel Corp.   4,315    328,026 
TransDigm Group, Inc.   532    475,699 
         803,725 
Building Materials — 3.3%          
Builders FirstSource, Inc. (a)   5,111    695,096 
Vulcan Materials Co.   1,310    295,326 
         990,422 
Electrical Components & Equipment — 1.1%          
AMETEK, Inc.   1,940    314,047 
Electronics — 1.0%          
Agilent Technologies, Inc.   2,506    301,347 
Environmental Controls — 0.7%          
Waste Connections, Inc.   1,570    224,400 
Machinery – Construction & Mining — 2.4%          
BWX Technologies, Inc.   10,063    720,209 
Machinery – Diversified — 1.4%          
Rockwell Automation, Inc.   1,280    421,696 
Transportation — 0.9%          
JB Hunt Transport Services, Inc.   1,430    258,873 
        4,034,719 

 

 

 

 

MassMutual Fundamental Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Technology — 23.9%          
Computers — 3.5%          
Fortinet, Inc. (a)   5,550   $419,525 
Genpact Ltd.   4,620    173,573 
NetApp, Inc.   3,200    244,480 
Zscaler, Inc. (a)   1,460    213,598 
         1,051,176 
Semiconductors — 3.7%          
KLA Corp.   652    316,233 
Marvell Technology, Inc.   2,370    141,679 
Microchip Technology, Inc.   3,200    286,688 
ON Semiconductor Corp. (a)   3,856    364,700 
         1,109,300 
Software — 16.7%          
Cadence Design Systems, Inc. (a)   1,544    362,099 
Ceridian HCM Holding, Inc. (a)   10,808    723,812 
Electronic Arts, Inc.   4,948    641,756 
Fair Isaac Corp. (a)   349    282,414 
HubSpot, Inc. (a)   554    294,778 
MongoDB, Inc. (a)   1,588    652,652 
MSCI, Inc.   1,639    769,166 
Splunk, Inc. (a)   2,670    283,260 
Veeva Systems, Inc. Class A (a)   2,348    464,270 
ZoomInfo Technologies, Inc. (a)   19,522    495,664 
         4,969,871 
         7,130,347 
           
TOTAL COMMON STOCK
(Cost $26,726,129)
        29,408,084 
           
TOTAL EQUITIES
(Cost $26,726,129)
        29,408,084 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $26,726,129)
        29,408,084 
           
   Principal
Amount
    
SHORT-TERM INVESTMENTS — 1.5%          
Repurchase Agreement — 1.5%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (c)  $440,342   440,342 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $440,342)
        440,342 

 

 

 

 

MassMutual Fundamental Growth Fund —  Portfolio of Investments (Continued)

 

      Value 
TOTAL INVESTMENTS — 100.0%
(Cost $27,166,471) (d)
     $29,848,426 
         
Other Assets/(Liabilities) — (0.0)%      (6,019) 
         
NET ASSETS — 100.0%     $29,842,407 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $488,322 or 1.64% of net assets. The Fund received $502,607 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Maturity value of $440,398. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $449,161.
(d) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Blue Chip Growth Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 98.9%          
           
COMMON STOCK — 98.7%          
Basic Materials — 0.5%          
Chemicals — 0.5%          
Linde PLC   18,142   $6,913,553 
Sherwin-Williams Co.   24,270    6,444,171 
         13,357,724 
Communications — 26.9%          
Internet — 24.7%          
Alibaba Group Holding Ltd. Sponsored ADR (a) (b)   124,672    10,391,411 
Alphabet, Inc. Class A (a)   644,096    77,098,291 
Alphabet, Inc. Class C (a)   758,981    91,813,932 
Amazon.com, Inc. (a)   1,262,809    164,619,781 
Booking Holdings, Inc. (a)   4,069    10,987,643 
DoorDash, Inc., Class A (a)   40,770    3,115,643 
Meta Platforms, Inc. Class A (a)   543,901    156,088,709 
Netflix, Inc. (a)   153,702    67,704,194 
Sea Ltd. ADR (a)   68,177    3,956,993 
Shopify, Inc. Class A (a)   453,554    29,299,589 
         615,076,186 
Media — 1.7%          
FactSet Research Systems, Inc.   39,665    15,891,782 
Walt Disney Co. (a)   286,569    25,584,881 
         41,476,663 
Telecommunications — 0.5%          
T-Mobile U.S., Inc. (a)   97,846    13,590,809 
         670,143,658 
Consumer, Cyclical — 8.0%          
Apparel — 0.2%          
NIKE, Inc. Class B   47,628    5,256,702 
Auto Manufacturers — 4.3%          
Tesla, Inc. (a)   408,140    106,838,808 
Retail — 3.5%          
Chipotle Mexican Grill, Inc. (a)   6,871    14,697,069 
Dollar General Corp.   52,280    8,876,098 
Lululemon Athletica, Inc. (a)   17,784    6,731,244 
Ross Stores, Inc.   73,856    8,281,473 
Starbucks Corp.   212,505    21,050,745 

 

 

 

 

MassMutual Blue Chip Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
TJX Cos., Inc.   74,112   $6,283,957 
Yum China Holdings, Inc.   121,901    6,887,407 
Yum! Brands, Inc.   104,180    14,434,139 
         87,242,132 
         199,337,642 
Consumer, Non-cyclical — 15.4%          
Beverages — 1.4%          
Monster Beverage Corp. (a)   627,551    36,046,530 
Biotechnology — 2.7%          
Illumina, Inc. (a)   90,480    16,964,095 
Regeneron Pharmaceuticals, Inc. (a)   29,701    21,341,357 
Vertex Pharmaceuticals, Inc. (a)   79,861    28,103,884 
         66,409,336 
Commercial Services — 1.8%          
Adyen NV Sponsored ADR (a)   283,604    4,903,513 
Affirm Holdings, Inc. (a) (b)   43,177    661,903 
Ant International Co. Ltd., Class C (Acquired 6/07/18, Cost $3,358,253) (a) (c) (d) (e)   881,113    1,550,759 
Block, Inc. (a)   225,268    14,996,091 
Cintas Corp.   4,939    2,455,078 
PayPal Holdings, Inc. (a)   173,608    11,584,862 
S&P Global, Inc.   19,464    7,802,923 
         43,955,129 
Health Care – Products — 3.2%          
Align Technology, Inc. (a)   5,540    1,959,166 
Danaher Corp.   41,304    9,912,960 
Intuitive Surgical, Inc. (a)   116,108    39,701,969 
Stryker Corp.   29,543    9,013,274 
Teleflex, Inc.   8,558    2,071,293 
Thermo Fisher Scientific, Inc.   35,071    18,298,294 
         80,956,956 
Health Care – Services — 2.5%          
Elevance Health, Inc.   12,113    5,381,685 
Humana, Inc.   21,764    9,731,337 
UnitedHealth Group, Inc.   96,843    46,546,620 
         61,659,642 
Pharmaceuticals — 3.8%          
AstraZeneca PLC Sponsored ADR   54,824    3,923,754 
Eli Lilly & Co.   79,518    37,292,352 
Novartis AG Sponsored ADR   150,578    15,194,826 
Novo Nordisk AS Sponsored ADR   113,173    18,314,786 
Roche Holding AG Sponsored ADR   342,468    13,082,277 
Zoetis, Inc.   45,252    7,792,847 
         95,600,842 
         384,628,435 

 

 

 

 

MassMutual Blue Chip Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Financial — 7.8%          
Banks — 0.4%          
Goldman Sachs Group, Inc.   12,286   $3,962,726 
Morgan Stanley   80,259    6,854,119 
         10,816,845 
Diversified Financial Services — 6.5%          
Charles Schwab Corp.   76,644    4,344,182 
Mastercard, Inc. Class A   95,827    37,688,759 
SEI Investments Co.   225,946    13,470,900 
Visa, Inc. Class A (b)   447,204    106,202,006 
         161,705,847 
Insurance — 0.9%          
Chubb Ltd.   70,917    13,655,777 
Marsh & McLennan Cos., Inc.   49,394    9,290,024 
         22,945,801 
         195,468,493 
Industrial — 4.0%          
Aerospace & Defense — 2.4%          
Boeing Co. (a)   260,836    55,078,130 
TransDigm Group, Inc.   4,168    3,726,900 
         58,805,030 
Electronics — 0.1%          
TE Connectivity Ltd.   18,214    2,552,874 
Machinery – Diversified — 0.3%          
Deere & Co.   18,563    7,521,542 
Miscellaneous - Manufacturing — 0.3%          
General Electric Co.   65,323    7,175,732 
Transportation — 0.9%          
Expeditors International of Washington, Inc.   150,538    18,234,668 
Old Dominion Freight Line, Inc.   14,165    5,237,509 
         23,472,177 
         99,527,355 
Technology — 36.0%          
Computers — 6.5%          
Apple, Inc.   821,314    159,310,277 
Crowdstrike Holdings, Inc. Class A (a)   12,465    1,830,734 
Fortinet, Inc. (a)   20,645    1,560,556 
         162,701,567 
Semiconductors — 9.7%          
Advanced Micro Devices, Inc. (a)   108,634    12,374,499 
ASML Holding NV   26,520    19,220,370 
Lam Research Corp.   3,869    2,487,225 

 

 

 

 

MassMutual Blue Chip Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Marvell Technology, Inc.   69,271   $4,141,020 
Monolithic Power Systems, Inc.   15,324    8,278,484 
NVIDIA Corp.   397,751    168,256,628 
QUALCOMM, Inc.   145,726    17,347,223 
Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR   49,006    4,945,686 
Texas Instruments, Inc.   28,633    5,154,513 
         242,205,648 
Software — 19.8%          
Atlassian Corp. Class A Class A (a)   29,921    5,021,043 
Autodesk, Inc. (a)   151,819    31,063,685 
Bill Holdings, Inc. (a)   41,014    4,792,486 
Canva, Inc. (Acquired 8/16/21-12/17/21, Cost $2,302,739) (a) (c) (d) (e)   1,351    958,629 
Confluent, Inc. Class A (a)   53,275    1,881,140 
Datadog, Inc. Class A (a)   27,128    2,668,853 
Fiserv, Inc. (a)   25,067    3,162,202 
Gusto, Inc. (Acquired 10/04/21, Cost $765,943) (a) (c) (d) (e)   26,606    500,991 
Intuit, Inc.   37,739    17,291,632 
Microsoft Corp.   734,215    250,029,576 
MongoDB, Inc. (a)   21,689    8,913,962 
MSCI, Inc.   4,005    1,879,506 
Oracle Corp.   456,441    54,357,559 
Paycom Software, Inc.   3,417    1,097,677 
Roper Technologies, Inc.   21,277    10,229,982 
Salesforce, Inc. (a)   152,420    32,200,249 
ServiceNow, Inc. (a)   56,279    31,627,110 
Snowflake, Inc. Class A (a)   18,103    3,185,766 
Synopsys, Inc. (a)   37,232    16,211,185 
Veeva Systems, Inc. Class A (a)   15,912    3,146,280 
Workday, Inc. Class A (a)   52,912    11,952,292 
         492,171,805 
         897,079,020 
Utilities — 0.1%          
Electric — 0.1%          
Constellation Energy Corp.   36,235    3,317,314 
           
TOTAL COMMON STOCK
(Cost $1,572,771,669)
        2,462,859,641 
           
PREFERRED STOCK — 0.2%          
Technology — 0.2%          
Software — 0.2%          
Canva, Inc., Series A (Acquired 11/04/21-12/17/21, Cost $144,893) (a) (c) (d) (e)   85    60,313 
Canva, Inc., Series A-3 (Acquired 11/04/21-12/17/21, Cost $17,043) (a) (c) (d) (e)   10    7,096 
Databricks, Inc., Series G (Acquired 2/01/21, Cost $815,183) (a) (c) (d) (e)   13,788    1,008,730 
Databricks, Inc., Series H (Acquired 8/31/21, Cost $2,202,319) (a) (c) (d) (e)   29,970    2,192,605 
Gusto, Inc., Series E (Acquired 7/13/21, Cost $1,117,484) (a) (c) (d) (e)   36,765    692,285 
         3,961,029 

 

 

 

 

MassMutual Blue Chip Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
TOTAL PREFERRED STOCK
(Cost $4,296,923)
       $3,961,029 
           
TOTAL EQUITIES
(Cost $1,577,068,592)
        2,466,820,670 
           
   Principal
Amount
    
BONDS & NOTES — 0.1%          
           
CORPORATE DEBT — 0.1%          
Retail — 0.1%          
Carvana Co.          
10.250% 5/01/30 (f)  $3,685,000   2,902,757 
           
TOTAL CORPORATE DEBT
(Cost $3,685,000)
        2,902,757 
           
TOTAL BONDS & NOTES
(Cost $3,685,000)
        2,902,757 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,580,753,592)
        2,469,723,427 
           
           
   Number of
Shares
    
SHORT-TERM INVESTMENTS — 1.0%          
Mutual Fund — 0.0%          
T. Rowe Price Government Reserve Investment Fund   103    103 
         
   Principal
Amount
    
Repurchase Agreement — 1.0%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (g)  $23,830,987   23,830,987 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $23,831,090)
        23,831,090 
           
TOTAL INVESTMENTS — 100.0%
(Cost $1,604,584,682) (h)
        2,493,554,517 
           
Other Assets/(Liabilities) — 0.0%        654,814 
           
NET ASSETS — 100.0%       $2,494,209,331 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $7,615,939 or 0.31% of net assets. The Fund received $7,792,789 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Investment is valued using significant unobservable inputs.
(d) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $6,971,408 or 0.28% of net assets.
(e) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $6,971,408 or 0.28% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(f) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $2,902,757 or 0.12% of net assets.
(g) Maturity value of $23,834,005. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $24,307,612.
(h) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Growth Opportunities Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

   Number of
Shares
   Value 
EQUITIES — 97.8%          
           
COMMON STOCK — 97.8%          
Basic Materials — 1.3%          
Chemicals — 1.3%          
Linde PLC   5,851   $2,229,699 
Communications — 21.4%          
Internet — 21.4%          
Airbnb, Inc. Class A (a)   9,942    1,274,167 
Alphabet, Inc. Class A (a)   22,986    2,751,424 
Amazon.com, Inc. (a)   95,507    12,450,293 
DoorDash, Inc., Class A (a)   26,089    1,993,721 
Match Group, Inc. (a)   35,718    1,494,798 
Meta Platforms, Inc. Class A (a)   12,188    3,497,712 
Netflix, Inc. (a)   7,447    3,280,329 
Sea Ltd. ADR (a)   26,251    1,523,608 
Shopify, Inc. Class A (a)   41,752    2,697,179 
Uber Technologies, Inc. (a)   137,009    5,914,679 
         36,877,910 
          
Consumer, Cyclical — 3.5%          
Apparel — 1.3%          
NIKE, Inc. Class B   20,774    2,292,827 
Distribution & Wholesale — 1.2%          
Copart, Inc. (a)   22,273    2,031,520 
Retail — 1.0%          
Floor & Decor Holdings, Inc. Class A (a)   15,909    1,653,900 
         5,978,247 
Consumer, Non-cyclical — 19.7%          
Biotechnology — 2.0%          
Corteva, Inc.   45,259    2,593,341 
Ultragenyx Pharmaceutical, Inc. (a)   16,872    778,305 
         3,371,646 
Commercial Services — 5.7%          
Block, Inc. (a)   52,390    3,487,603 
CoStar Group, Inc. (a)   38,340    3,412,260 
S&P Global, Inc.   7,407    2,969,392 
         9,869,255 

 

 

 

 

MassMutual Growth Opportunities Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Health Care – Products — 8.0%          
10X Genomics, Inc. Class A (a)   26,359   $1,471,886 
Align Technology, Inc. (a)   5,212    1,843,172 
Danaher Corp.   9,618    2,308,320 
Edwards Lifesciences Corp. (a)   52,289    4,932,421 
Intuitive Surgical, Inc. (a)   9,271    3,170,126 
         13,725,925 
Health Care – Services — 1.1%          
IQVIA Holdings, Inc. (a)   8,448    1,898,857 
Pharmaceuticals — 2.9%          
Dexcom, Inc. (a)   39,273    5,046,973 
         33,912,656 
Financial — 11.5%          
Diversified Financial Services — 10.3%          
CME Group, Inc.   20,682    3,832,168 
Mastercard, Inc. Class A   12,270    4,825,791 
Visa, Inc. Class A   37,687    8,949,909 
         17,607,868 
Private Equity — 1.2%          
KKR & Co., Inc.   37,195    2,082,920 
         19,690,788 
Industrial — 6.4%          
Aerospace & Defense — 2.2%          
Boeing Co. (a)   17,719    3,741,544 
Environmental Controls — 2.0%          
Waste Management, Inc.   19,714    3,418,802 
Transportation — 2.2%          
Canadian Pacific Kansas City Ltd. (b)   47,856    3,865,329 
         11,025,675 
Technology — 34.0%          
Semiconductors — 10.2%          
Advanced Micro Devices, Inc. (a)   21,633    2,464,215 
Entegris, Inc.   22,497    2,493,117 
Lam Research Corp.   4,552    2,926,299 
NVIDIA Corp.   22,601    9,560,675 
         17,444,306 
Software — 23.8%          
Atlassian Corp. Class A Class A (a)   16,203    2,719,025 
Cloudflare, Inc. Class A (a)   22,911    1,497,692 
Datadog, Inc. Class A (a)   40,184    3,953,302 
Microsoft Corp.   52,736    17,958,717 
ServiceNow, Inc. (a)   16,541    9,295,546 
Snowflake, Inc. Class A (a)   14,716    2,589,722 

 

 

 

 

MassMutual Growth Opportunities Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Veeva Systems, Inc. Class A (a)   15,087   $2,983,153 
         40,997,157 
         58,441,463 
           
TOTAL COMMON STOCK
(Cost $144,613,325)
        168,156,438 
           
TOTAL EQUITIES
(Cost $144,613,325)
        168,156,438 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $144,613,325)
        168,156,438 
           
SHORT-TERM INVESTMENTS — 4.2%        
Investment of Cash Collateral from Securities Loaned — 2.5%          
State Street Navigator Securities Lending Government Money Market Portfolio (c)   4,384,545    4,384,545 
           
Repurchase Agreement — 1.7%  Principal
Amount
      
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $2,927,739   2,927,739 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $7,312,284)
        7,312,284 
           
TOTAL INVESTMENTS — 102.0%
(Cost $151,925,609) (e)
        175,468,722 
           
Other Assets/(Liabilities) — (2.0)%        (3,509,012) 
           
NET ASSETS — 100.0%       $171,959,710 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $4,297,465 or 2.50% of net assets. (Note 2).
(c) Represents investment of security lending cash collateral. (Note 2).
(d) Maturity value of $2,928,110. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/2025 , and an aggregate market value, including accrued interest, of $2,986,299.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 97.3%          
           
COMMON STOCK — 97.0%          
Basic Materials — 4.9%          
Chemicals — 3.2%          
Akzo Nobel NV   7,096   $579,818 
Axalta Coating Systems Ltd. (a)   4,607    151,156 
CF Industries Holdings, Inc.   6,668    462,892 
Huntsman Corp.   9,884    267,066 
LyondellBasell Industries NV Class A   6,914    634,913 
Mosaic Co.   14,700    514,500 
Olin Corp.   20,363    1,046,454 
         3,656,799 
Iron & Steel — 1.7%          
Nucor Corp.   3,870    634,603 
Steel Dynamics, Inc.   5,660    616,544 
U.S. Steel Corp.   31,358    784,263 
         2,035,410 
         5,692,209 
Communications — 9.0%          
Advertising — 0.5%          
Interpublic Group of Cos., Inc.   9,944    383,640 
Omnicom Group, Inc.   2,110    200,766 
Trade Desk, Inc. Class A (a)   433    33,436 
         617,842 
Internet — 3.3%          
Coupang, Inc. (a)   1,973    34,330 
DoorDash, Inc., Class A (a)   3,128    239,042 
eBay, Inc.   13,982    624,856 
Etsy, Inc. (a)   2,923    247,315 
Expedia Group, Inc. (a)   1,841    201,387 
F5, Inc. (a)   3,231    472,566 
GoDaddy, Inc. Class A (a)   3,806    285,945 
IAC, Inc. (a)   11,300    709,640 
TripAdvisor, Inc. (a)   5,175    85,336 
VeriSign, Inc. (a)   2,629    594,075 
Zillow Group, Inc. Class C (a)   5,062    254,416 
         3,748,908 
Media — 4.7%          
Altice USA, Inc. Class A (a)   57,000    172,140 
DISH Network Corp. Class A (a)   43,700    287,983 
Fox Corp. Class A   16,500    561,000 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Fox Corp. Class B   16,039   $511,484 
Liberty Broadband Corp. Class C (a)   12,100    969,331 
Liberty Global PLC Class A (a)   48,300    814,338 
Liberty Media Corp-Liberty SiriusXM Class C (a)   30,000    981,900 
News Corp. Class A   36,800    717,600 
Warner Bros Discovery, Inc. (a)   27,927    350,204 
         5,365,980 
Telecommunications — 0.5%          
BCE, Inc.   2,260    103,041 
Corning, Inc.   5,313    186,168 
Juniper Networks, Inc.   10,421    326,490 
         615,699 
         10,348,429 
Consumer, Cyclical — 8.4%          
Airlines — 2.0%          
Alaska Air Group, Inc. (a)   5,985    318,282 
Delta Air Lines, Inc. (a)   13,814    656,718 
Southwest Airlines Co.   19,235    696,500 
United Airlines Holdings, Inc. (a)   11,606    636,821 
         2,308,321 
Auto Manufacturers — 0.3%          
Cummins, Inc.   1,169    286,592 
Auto Parts & Equipment — 0.9%          
Allison Transmission Holdings, Inc.   1,894    106,935 
Aptiv PLC (a)   1,377    140,578 
BorgWarner, Inc.   11,351    555,177 
Cie Generale des Etablissements Michelin SCA   9,551    282,340 
         1,085,030 
Distribution & Wholesale — 1.0%          
Bunzl PLC   5,379    204,796 
Ferguson PLC   1,376    216,458 
LKQ Corp.   11,600    675,932 
         1,097,186 
Entertainment — 0.0%          
Six Flags Entertainment Corp. (a)   1,165    30,267 
Food Services — 0.1%          
Sodexo SA   959    105,610 
Home Builders — 0.5%          
NVR, Inc. (a)   98    622,361 
Leisure Time — 0.3%          
Carnival Corp. (a)   17,521    329,920 
Lodging — 0.8%          
Hilton Worldwide Holdings, Inc.   4,253    619,024 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Hyatt Hotels Corp. Class A   2,224   $254,826 
         873,850 
Retail — 2.5%          
Advance Auto Parts, Inc.   3,100    217,930 
Beacon Roofing Supply, Inc. (a)   3,724    309,018 
Casey's General Stores, Inc.   153    37,314 
Dollar Tree, Inc. (a)   8,819    1,265,526 
Macy's, Inc.   8,109    130,149 
MSC Industrial Direct Co., Inc. Class A   6,447    614,270 
O'Reilly Automotive, Inc. (a)   16    15,285 
Ross Stores, Inc.   2,900    325,177 
Yum! Brands, Inc.   166    22,999 
         2,937,668 
         9,676,805 
Consumer, Non-cyclical — 18.4%          
Beverages — 0.2%          
Molson Coors Beverage Co. Class B   3,400    223,856 
Biotechnology — 1.2%          
Bio-Rad Laboratories, Inc. Class A (a)   2,400    909,888 
Incyte Corp. (a)   1,658    103,211 
Royalty Pharma PLC Class A   11,554    355,170 
         1,368,269 
Commercial Services — 1.9%          
ADT, Inc.   10,012    60,372 
Clarivate PLC (a)   55,700    530,821 
FleetCor Technologies, Inc. (a)   3,400    853,672 
Gartner, Inc. (a)   48    16,815 
Global Payments, Inc.   6,900    679,788 
         2,141,468 
Food — 3.3%          
Conagra Brands, Inc.   26,311    887,207 
Koninklijke Ahold Delhaize NV   24,190    825,117 
Kroger Co.   13,997    657,859 
Post Holdings, Inc. (a)   8,100    701,865 
The J.M. Smucker Co.   2,010    296,816 
Tyson Foods, Inc. Class A   8,900    454,256 
U.S. Foods Holding Corp. (a)   1,096    48,224 
         3,871,344 
Health Care – Products — 3.5%          
Align Technology, Inc. (a)   113    39,961 
Dentsply Sirona, Inc.   6,310    252,526 
Embecta Corp.   9,834    212,415 
Envista Holdings Corp. (a)   9,103    308,046 
Hologic, Inc. (a)   9,458    765,814 
Koninklijke Philips NV (b)   28,937    627,644 
QIAGEN NV (a)   1,404    63,222 
Smith & Nephew PLC ADR Sponsored ADR   1,441    46,472 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Zimmer Biomet Holdings, Inc.   11,952   $1,740,211 
         4,056,311 
Health Care – Services — 3.5%          
Catalent, Inc. (a)   4,700    203,792 
Centene Corp. (a)   16,556    1,116,702 
IQVIA Holdings, Inc. (a)   78    17,532 
Laboratory Corp. of America Holdings   5,951    1,436,155 
Quest Diagnostics, Inc.   4,675    657,118 
Universal Health Services, Inc. Class B   3,860    608,992 
         4,040,291 
Household Products & Wares — 0.5%          
Kimberly-Clark Corp.   4,295    592,968 
Pharmaceuticals — 4.3%          
AmerisourceBergen Corp.   6,763    1,301,404 
Becton Dickinson & Co.   815    215,168 
Cardinal Health, Inc.   10,844    1,025,517 
Elanco Animal Health, Inc. (a)   23,431    235,716 
Henry Schein, Inc. (a)   9,813    795,834 
Jazz Pharmaceuticals PLC (a)   1,843    228,477 
Organon & Co.   14,900    310,069 
Perrigo Co. PLC   22,100    750,295 
Premier, Inc. Class A   4,519    124,996 
         4,987,476 
         21,281,983 
Energy — 6.0%          
Energy – Alternate Sources — 0.1%          
Enphase Energy, Inc. (a)   185    30,984 
Oil & Gas — 3.6%          
APA Corp.   1,685    57,577 
Chesapeake Energy Corp.   6,200    518,816 
Devon Energy Corp.   6,139    296,759 
Diamondback Energy, Inc.   5,887    773,316 
EQT Corp.   16,940    696,742 
HF Sinclair Corp.   10,022    447,082 
Marathon Oil Corp.   24,413    561,987 
Phillips 66   6,974    665,180 
Range Resources Corp.   3,749    110,221 
Vitesse Energy, Inc.   1,360    30,464 
         4,158,144 
Oil & Gas Services — 0.4%          
Baker Hughes Co.   14,325    452,813 
Pipelines — 1.9%          
Enterprise Products Partners LP (c)   25,473    671,213 
Kinder Morgan, Inc.   42,200    726,684 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Williams Cos., Inc.   25,100   $819,013 
         2,216,910 
         6,858,851 
Financial — 21.0%          
Banks — 3.5%          
Comerica, Inc.   465    19,697 
East West Bancorp, Inc.   5,307    280,156 
First Citizens BancShares, Inc. Class A   394    505,679 
First Hawaiian, Inc.   21,946    395,247 
Northern Trust Corp.   12,550    930,457 
Prosperity Bancshares, Inc.   4,120    232,698 
The Bank of New York Mellon Corp.   19,440    865,469 
Truist Financial Corp.   14,916    452,701 
U.S. Bancorp   7,924    261,809 
Westamerica Bancorp.   2,922    111,913 
         4,055,826 
Diversified Financial Services — 2.2%          
Ally Financial, Inc.   18,850    509,139 
Apollo Global Management, Inc.   450    34,565 
Blue Owl Capital, Inc.   18,156    211,517 
Charles Schwab Corp.   5,833    330,614 
Nasdaq, Inc.   10,221    509,517 
Stifel Financial Corp.   4,906    292,741 
Synchrony Financial   2,529    85,784 
T. Rowe Price Group, Inc.   5,249    587,993 
         2,561,870 
Insurance — 8.1%          
Aflac, Inc.   6,700    467,660 
Arch Capital Group Ltd. (a)   7,500    561,375 
Axis Capital Holdings Ltd.   409    22,016 
Fidelity National Financial, Inc.   18,862    679,032 
Hanover Insurance Group, Inc.   2,935    331,743 
Hartford Financial Services Group, Inc.   8,691    625,926 
Loews Corp.   5,315    315,605 
Markel Group, Inc. (a)   500    691,590 
Old Republic International Corp.   15,500    390,135 
Reinsurance Group of America, Inc.   7,393    1,025,335 
The Allstate Corp.   21,320    2,324,733 
W. R. Berkley Corp.   8,919    531,216 
Willis Towers Watson PLC   5,781    1,361,425 
         9,327,791 
Private Equity — 0.3%          
Carlyle Group, Inc.   10,082    322,120 
Real Estate Investment Trusts (REITS) — 6.8%          
AvalonBay Communities, Inc.   3,486    659,795 
Brixmor Property Group, Inc.   1,564    34,408 
Camden Property Trust   5,169    562,749 
Equinix, Inc.   104    81,530 
Equity Residential   9,874    651,388 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Essex Property Trust, Inc.   2,010   $470,943 
First Industrial Realty Trust, Inc.   1,902    100,121 
Gaming & Leisure Properties, Inc.   10,600    513,676 
Healthpeak Properties, Inc.   50,181    1,008,638 
JBG SMITH Properties   35,543    534,567 
Mid-America Apartment Communities, Inc.   3,863    586,635 
Public Storage   1,402    409,216 
Realty Income Corp.   10,026    599,455 
Regency Centers Corp.   8,517    526,095 
VICI Properties, Inc.   3,292    103,468 
Weyerhaeuser Co.   23,955    802,732 
WP Carey, Inc.   3,192    215,651 
         7,861,067 
Savings & Loans — 0.1%          
Capitol Federal Financial, Inc.   17,778    109,690 
         24,238,364 
Industrial — 13.9%          
Aerospace & Defense — 0.7%          
General Dynamics Corp.   673    144,796 
Howmet Aerospace, Inc.   12,930    640,811 
         785,607 
Building Materials — 1.8%          
Builders FirstSource, Inc. (a)   7,122    968,592 
Cie de Saint-Gobain   8,561    521,514 
Louisiana-Pacific Corp.   7,100    532,358 
Masterbrand, Inc. (a)   3,000    34,890 
         2,057,354 
Electrical Components & Equipment — 0.8%          
Emerson Electric Co.   8,717    787,930 
Legrand SA   1,698    168,444 
         956,374 
Electronics — 3.2%          
Agilent Technologies, Inc.   263    31,626 
Amphenol Corp. Class A   6,919    587,769 
Flex Ltd. (a)   14,700    406,308 
Hubbell, Inc.   239    79,243 
Jabil, Inc.   234    25,256 
Keysight Technologies, Inc. (a)   3,570    597,797 
nVent Electric PLC   17,032    880,043 
TE Connectivity Ltd.   3,106    435,337 
Vontier Corp.   18,702    602,391 
         3,645,770 
Engineering & Construction — 0.4%          
Vinci SA   3,994    464,212 
Environmental Controls — 0.2%          
Republic Services, Inc.   1,311    200,806 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Machinery – Construction & Mining — 0.9%          
Oshkosh Corp.   12,269   $1,062,373 
Machinery – Diversified — 0.6%          
CNH Industrial NV   29,700    427,680 
Gates Industrial Corp. PLC (a)   5,645    76,095 
IMI PLC   9,574    200,062 
         703,837 
Miscellaneous - Manufacturing — 0.9%          
Carlisle Cos., Inc.   245    62,850 
Donaldson Co., Inc.   4,380    273,794 
ITT, Inc.   1,464    136,459 
Textron, Inc.   8,715    589,395 
         1,062,498 
Packaging & Containers — 2.0%          
Amcor PLC   50,289    501,884 
Graphic Packaging Holding Co.   24,500    588,735 
Packaging Corp. of America   5,253    694,236 
Sonoco Products Co.   3,189    188,215 
WestRock Co.   12,141    352,939 
         2,326,009 
Shipbuilding — 1.4%          
Huntington Ingalls Industries, Inc.   7,265    1,653,514 
Transportation — 1.0%          
FedEx Corp.   3,200    793,280 
Heartland Express, Inc.   17,672    289,998 
Kirby Corp. (a)   318    24,470 
         1,107,748 
         16,026,102 
Technology — 4.6%          
Computers — 1.7%          
Amdocs Ltd.   5,417    535,470 
Crowdstrike Holdings, Inc. Class A (a)   209    30,696 
Genpact Ltd.   648    24,345 
Hewlett Packard Enterprise Co.   18,072    303,610 
HP, Inc.   12,921    396,804 
NetApp, Inc.   617    47,139 
Pure Storage, Inc. Class A (a)   2,934    108,030 
Western Digital Corp. (a)   13,066    495,593 
         1,941,687 
Semiconductors — 1.4%          
Cirrus Logic, Inc. (a)   2,893    234,362 
IPG Photonics Corp. (a)   178    24,176 
Microchip Technology, Inc.   6,529    584,933 
Qorvo, Inc. (a)   2,301    234,771 
Skyworks Solutions, Inc.   2,241    248,056 

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Teradyne, Inc.   2,597   $289,124 
         1,615,422 
Software — 1.5%          
Cadence Design Systems, Inc. (a)   64    15,009 
Datadog, Inc. Class A (a)   348    34,236 
DocuSign, Inc. (a)   617    31,523 
Dropbox, Inc. Class A (a)   1,382    36,858 
Dynatrace, Inc. (a)   661    34,022 
Elastic NV (a)   529    33,919 
Electronic Arts, Inc.   6,762    877,031 
Fidelity National Information Services, Inc.   8,200    448,540 
HubSpot, Inc. (a)   65    34,586 
Paychex, Inc.   153    17,116 
RingCentral, Inc. Class A (a)   931    30,472 
Splunk, Inc. (a)   329    34,904 
Synopsys, Inc. (a)   32    13,933 
Teradata Corp. (a)   341    18,213 
Veeva Systems, Inc. Class A (a)   167    33,021 
         1,693,383 
         5,250,492 
Utilities — 10.8%          
Electric — 9.0%          
CenterPoint Energy, Inc.   24,500    714,175 
Dominion Energy, Inc.   14,800    766,492 
DTE Energy Co.   2,186    240,504 
Duke Energy Corp.   6,056    543,466 
Edison International   22,412    1,556,513 
Entergy Corp.   5,854    570,004 
Evergy, Inc.   21,421    1,251,415 
Eversource Energy   12,515    887,564 
Exelon Corp.   15,000    611,100 
NorthWestern Corp.   11,161    633,498 
OGE Energy Corp.   22,719    815,839 
PG&E Corp. (a)   39,510    682,733 
Pinnacle West Capital Corp.   5,509    448,763 
Vistra Corp.   27,300    716,625 
         10,438,691 
Gas — 1.8%          
Atmos Energy Corp.   1,917    223,024 
National Fuel Gas Co.   4,500    231,120 
NiSource, Inc.   33,100    905,285 
Spire, Inc.   10,954    694,921 
         2,054,350 
         12,493,041 
           
TOTAL COMMON STOCK
(Cost $109,294,309)
        111,866,276 
           

 

 

 

 

MassMutual Mid Cap Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
PREFERRED STOCK — 0.3%          
Consumer, Non-cyclical — 0.3%          
Household Products & Wares — 0.3%          
Henkel AG & Co. KGaA 2.525%   4,744   $379,220 
           
TOTAL PREFERRED STOCK
(Cost $313,077)
        379,220 
           
TOTAL EQUITIES
(Cost $109,607,386)
        112,245,496 
           
           
MUTUAL FUNDS — 0.5%          
Diversified Financial Services — 0.5%          
iShares Russell Mid-Cap Value ETF (b)   4,910    539,314 
         539,314 
           
TOTAL MUTUAL FUNDS
(Cost $536,291)
        539,314 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $110,143,677)
        112,784,810 
           
SHORT-TERM INVESTMENTS — 2.3%          
Investment of Cash Collateral from Securities Loaned — 0.0%          
State Street Navigator Securities Lending Government Money Market Portfolio (d)  32,240    32,240 
           
   Principal
Amount
      
Repurchase Agreement — 2.3%         
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (e)  $2,679,056   2,679,056 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $2,711,296)
        2,711,296 
           
TOTAL INVESTMENTS — 100.1%
(Cost $112,854,973) (f)
        115,496,106 
           
Other Assets/(Liabilities) — (0.1)%        (92,371) 
           
NET ASSETS — 100.0%       $115,403,735 

 

Abbreviation Legend

ADR American Depositary Receipt
ETF Exchange-Traded Fund

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $1,177,343 or 1.02% of net assets. The Fund received $1,180,052 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Security is a Master Limited Partnership.
(d) Represents investment of security lending cash collateral. (Note 2).
(e) Maturity value of $2,679,395. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $2,732,744.
(f) See Note 3 for aggregate cost for federal tax purposes.

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Bank of America N.A.  9/29/23  USD  708,783   EUR  646,006   $843 
Bank of America N.A.  9/29/23  USD  374,308   GBP  294,752    (99) 
Goldman Sachs & Co.  9/29/23  USD  58,908   CAD  77,973    (30) 
JP Morgan Chase Bank N.A.  9/29/23  USD  1,374,670   EUR  1,254,078    361 
Morgan Stanley & Co. LLC  9/29/23  USD  708,835   EUR  646,006    895
                    $1,970

 

Currency Legend

CAD Canadian Dollar
EUR Euro
GBP British Pound
USD U.S. Dollar

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 96.8%          
           
COMMON STOCK — 96.8%          
Basic Materials — 8.7%          
Chemicals — 4.3%          
Axalta Coating Systems Ltd. (a)   13,239   $434,372 
Cabot Corp.   10,645    712,044 
Element Solutions, Inc.   26,979    517,997 
HB Fuller Co.   5,522    394,878 
Mativ Holdings, Inc.   24,219    366,191 
         2,425,482 
Iron & Steel — 2.2%          
ATI, Inc. (a)   27,728    1,226,409 
Mining — 2.2%          
Ferroglobe PLC (a)   92,716    442,255 
Kaiser Aluminum Corp.   11,388    815,837 
         1,258,092 
         4,909,983 
Communications — 4.1%          
Internet — 2.0%          
ePlus, Inc. (a)   6,442    362,684 
Perficient, Inc. (a)   5,387    448,899 
Shutterstock, Inc.   6,240    303,701 
         1,115,284 
Media — 0.1%          
WideOpenWest, Inc. (a)   10,000    84,400 
Telecommunications — 2.0%          
Ciena Corp. (a)   18,785    798,175 
Infinera Corp. (a) (b)   72,787    351,561 
         1,149,736 
         2,349,420 
Consumer, Cyclical — 11.7%          
Apparel — 1.1%          
Deckers Outdoor Corp. (a)   392    206,843 
Kontoor Brands, Inc.   10,081    424,410 
         631,253 

 

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Auto Parts & Equipment — 4.7%          
Adient PLC (a)   22,281   $853,808 
American Axle & Manufacturing Holdings, Inc. (a)   80,957    669,514 
Gentherm, Inc. (a)   13,121    741,468 
Visteon Corp. (a)   2,938    421,926 
         2,686,716 
Food Services — 1.1%          
Aramark   14,925    642,521 
Home Builders — 1.5%          
Century Communities, Inc.   5,352    410,070 
TRI Pointe Homes, Inc. (a)   13,551    445,286 
         855,356 
Home Furnishing — 0.6%          
Sonos, Inc. (a)   19,885    324,722 
Lodging — 0.7%          
Wyndham Hotels & Resorts, Inc.   5,378    368,769 
Office Furnishings — 0.6%          
Interface, Inc.   41,345    363,423 
Retail — 0.7%          
Five Below, Inc. (a)   1,999    392,884 
Textiles — 0.7%          
UniFirst Corp.   2,537    393,260 
         6,658,904 
Consumer, Non-cyclical — 11.2%          
Agriculture — 1.5%          
Darling Ingredients, Inc. (a)   13,369    852,809 
Commercial Services — 5.1%          
BrightView Holdings, Inc. (a)   29,626    212,715 
Huron Consulting Group, Inc. (a)   5,727    486,279 
ICF International, Inc.   2,317    288,212 
Monro, Inc.   9,688    393,623 
Sterling Check Corp. (a)   30,647    375,732 
TriNet Group, Inc. (a)   2,466    234,196 
WillScot Mobile Mini Holdings Corp. (a)   19,310    922,825 
         2,913,582 
Food — 1.6%          
Post Holdings, Inc. (a)   3,358    290,971 
SunOpta, Inc. (a)   51,000    341,190 
U.S. Foods Holding Corp. (a)   5,619    247,236 
         879,397 
Health Care – Products — 1.9%          
Haemonetics Corp. (a)   2,682    228,346 
ICU Medical, Inc. (a)   2,216    394,869 

 

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Integra LifeSciences Holdings Corp. (a)   11,446   $470,774 
         1,093,989 
Household Products & Wares — 1.1%          
ACCO Brands Corp.   41,281    215,074 
Spectrum Brands Holdings, Inc.   5,504    429,587 
         644,661 
         6,384,438 
Energy — 2.8%          
Oil & Gas — 2.2%          
Chesapeake Energy Corp.   3,364    281,500 
Chord Energy Corp.   3,159    485,854 
Sitio Royalties Corp. Class A   17,614    462,720 
         1,230,074 
Oil & Gas Services — 0.6%          
NOW, Inc. (a)   35,651    369,344 
         1,599,418 
Financial — 25.9%          
Banks — 12.7%          
Cadence Bank   12,953    254,397 
Columbia Banking System, Inc.   33,670    682,828 
Eastern Bankshares, Inc.   25,436    312,100 
First Citizens BancShares, Inc. Class A   417    535,199 
First Interstate BancSystem, Inc. Class A   9,971    237,709 
Hancock Whitney Corp.   8,701    333,944 
International Bancshares Corp.   5,982    264,404 
Live Oak Bancshares, Inc.   20,742    545,722 
OFG Bancorp   32,432    845,826 
Old National Bancorp   43,573    607,408 
Seacoast Banking Corp. of Florida   15,120    334,152 
Synovus Financial Corp.   8,864    268,136 
Texas Capital Bancshares, Inc. (a)   16,835    867,002 
Triumph Financial, Inc. (a)   13,104    795,675 
Webster Financial Corp.   8,142    307,360 
         7,191,862 
Diversified Financial Services — 2.1%          
Air Lease Corp.   10,726    448,883 
Bread Financial Holdings, Inc.   11,859    372,254 
Houlihan Lokey, Inc.   3,607    354,604 
         1,175,741 
Insurance — 4.8%          
Assured Guaranty Ltd.   5,454    304,333 
Kemper Corp.   9,439    455,526 
NMI Holdings, Inc. Class A (a)   15,861    409,531 
ProAssurance Corp.   23,761    358,554 
Reinsurance Group of America, Inc.   3,749    519,949 
SiriusPoint Ltd. (a)   34,404    310,668 

 

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
White Mountains Insurance Group Ltd.   263   $365,283 
         2,723,844 
Real Estate Investment Trusts (REITS) — 6.3%          
Alexander & Baldwin, Inc.   15,154    281,561 
Centerspace   5,257    322,570 
Independence Realty Trust, Inc.   24,863    453,004 
Kimco Realty Corp.   17,845    351,903 
LXP Industrial Trust   26,846    261,749 
NETSTREIT Corp.   15,623    279,183 
Pebblebrook Hotel Trust (b)   26,117    364,071 
Phillips Edison & Co., Inc. (b)   11,062    376,993 
PotlatchDeltic Corp.   8,815    465,873 
RPT Realty   40,605    424,322 
         3,581,229 
         14,672,676 
Industrial — 24.5%          
Aerospace & Defense — 0.6%          
Leonardo DRS, Inc. (a) (b)   19,012    329,668 
Building Materials — 5.9%          
American Woodmark Corp. (a)   5,552    424,006 
Apogee Enterprises, Inc.   16,092    763,887 
Fortune Brands Innovations, Inc.   5,543    398,819 
Gibraltar Industries, Inc. (a)   15,597    981,363 
Masonite International Corp. (a)   7,922    811,530 
         3,379,605 
Electrical Components & Equipment — 0.9%          
Belden, Inc.   5,218    499,102 
Electronics — 3.1%          
Brady Corp. Class A   8,198    389,979 
Coherent Corp. (a)   21,044    1,072,823 
CTS Corp.   7,141    304,421 
         1,767,223 
Environmental Controls — 1.6%          
Clean Harbors, Inc. (a)   1,393    229,051 
Enviri Corp. (a)   68,826    679,313 
         908,364 
Hand & Machine Tools — 2.9%          
Enerpac Tool Group Corp.   35,898    969,246 
Kennametal, Inc.   23,519    667,704 
         1,636,950 
Machinery – Diversified — 0.3%          
Thermon Group Holdings, Inc. (a)   6,132    163,111 
Metal Fabricate & Hardware — 0.9%          
Standex International Corp.   3,713    525,278 

 

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Miscellaneous - Manufacturing — 1.6%          
John Bean Technologies Corp.   2,901   $351,891 
Materion Corp.   4,703    537,083 
         888,974 
Packaging & Containers — 1.7%          
Sealed Air Corp.   10,073    402,920 
TriMas Corp.   19,724    542,213 
         945,133 
Transportation — 2.7%          
Air Transport Services Group, Inc. (a)   37,136    700,756 
Kirby Corp. (a)   10,645    819,133 
         1,519,889 
Trucking & Leasing — 2.3%          
GATX Corp.   2,349    302,410 
Greenbrier Cos., Inc.   24,014    1,035,004 
         1,337,414 
         13,900,711 
Technology — 6.3%          
Computers — 1.3%          
Science Applications International Corp.   3,624    407,627 
WNS Holdings Ltd. ADR (a)   4,293    316,480 
         724,107 
Semiconductors — 3.3%          
Cohu, Inc. (a)   19,063    792,258 
Diodes, Inc. (a)   7,674    709,768 
Onto Innovation, Inc. (a)   1,268    147,684 
Vishay Precision Group, Inc. (a)   6,436    239,098 
         1,888,808 
Software — 1.7%          
ACI Worldwide, Inc. (a)   18,497    428,576 
Progress Software Corp.   9,032    524,759 
         953,335 
         3,566,250 
Utilities — 1.6%          
Electric — 0.5%          
Portland General Electric Co.   5,948    278,545 
Gas — 1.1%          
New Jersey Resources Corp.   6,019    284,097 

 

 

 

 

MassMutual Small Cap Value Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
ONE Gas, Inc.   4,313   $331,281 
         615,378 
         893,923 
           
TOTAL COMMON STOCK
(Cost $48,589,149)
        54,935,723 
           
TOTAL EQUITIES
(Cost $48,589,149)
        54,935,723 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $48,589,149)
        54,935,723 
           
SHORT-TERM INVESTMENTS — 3.6%          
Investment of Cash Collateral from Securities Loaned — 0.9%          
State Street Navigator Securities Lending Government Money Market Portfolio (c)  481,223    481,223 
           
Repurchase Agreement — 2.7%  Principal
Amount
      
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $1,553,063   1,553,063 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $2,034,286)
        2,034,286 
           
TOTAL INVESTMENTS — 100.4%
(Cost $50,623,435) (e)
        56,970,009 
           
Other Assets/(Liabilities) — (0.4)%        (216,605) 
           
NET ASSETS — 100.0%       $56,753,404 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $1,323,732 or 2.33% of net assets. The Fund received $877,929 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Represents investment of security lending cash collateral. (Note 2).
(d) Maturity value of $1,553,260. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,584,228.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

   Number of
Shares
   Value 
EQUITIES — 98.9%          
           
COMMON STOCK — 98.9%          
Basic Materials — 3.5%          
Chemicals — 1.8%          
AdvanSix, Inc.   39,100   $1,367,718 
Element Solutions, Inc.   13,478    258,777 
HB Fuller Co.   18,570    1,327,941 
Ingevity Corp. (a)   4,181    243,167 
Minerals Technologies, Inc.   12,590    726,317 
         3,923,920 
Iron & Steel — 1.7%          
ATI, Inc. (a)   39,310    1,738,681 
Haynes International, Inc.   35,079    1,782,715 
         3,521,396 
         7,445,316 
Communications — 2.6%          
Advertising — 0.2%          
Entravision Communications Corp. Class A   100,897    442,938 
Internet — 1.0%          
Criteo SA Sponsored ADR (a)   59,331    2,001,828 
Solo Brands, Inc. Class A (a)   37,637    213,025 
         2,214,853 
Media — 0.4%          
Cable One, Inc.   1,149    754,985 
Townsquare Media, Inc. Class A   8,035    95,697 
         850,682 
Telecommunications — 1.0%          
A10 Networks, Inc.   121,259    1,769,169 
Casa Systems, Inc. (a)   203,780    248,611 
         2,017,780 
         5,526,253 
Consumer, Cyclical — 18.5%          
Airlines — 0.8%          
Alaska Air Group, Inc. (a)   33,110    1,760,790 
Apparel — 0.9%          
Capri Holdings Ltd. (a)   22,793    818,041 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Tapestry, Inc.   24,831   $1,062,767 
         1,880,808 
Auto Manufacturers — 1.5%          
Blue Bird Corp. (a)   65,696    1,476,846 
REV Group, Inc.   129,710    1,719,955 
         3,196,801 
Auto Parts & Equipment — 2.5%          
Dana, Inc.   87,086    1,480,462 
Goodyear Tire & Rubber Co. (a)   139,570    1,909,317 
Shyft Group, Inc.   79,278    1,748,873 
         5,138,652 
Distribution & Wholesale — 0.6%          
A-Mark Precious Metals, Inc.   15,600    583,986 
H&E Equipment Services, Inc.   5,500    251,625 
OPENLANE, Inc. (a)   18,327    278,937 
Titan Machinery, Inc. (a)   1,883    55,548 
         1,170,096 
Entertainment — 1.9%          
Accel Entertainment, Inc. (a)   43,704    461,514 
Everi Holdings, Inc. (a)   22,065    319,060 
IMAX Corp. (a)   63,733    1,082,823 
Penn Entertainment, Inc. (a)   19,057    457,940 
Six Flags Entertainment Corp. (a)   65,310    1,696,754 
         4,018,091 
Home Builders — 2.8%          
Cavco Industries, Inc. (a)   874    257,830 
KB Home   34,388    1,778,204 
Skyline Champion Corp. (a)   24,055    1,574,400 
Taylor Morrison Home Corp. (a)   44,864    2,188,017 
         5,798,451 
Home Furnishing — 0.1%          
Vizio Holding Corp. Class A (a)   27,811    187,724 
Leisure Time — 1.0%          
Brunswick Corp.   16,671    1,444,376 
Malibu Boats, Inc. Class A (a)   12,229    717,353 
         2,161,729 
Lodging — 0.9%          
Boyd Gaming Corp.   3,783    262,427 
Hilton Grand Vacations, Inc. (a)   33,033    1,501,019 
         1,763,446 
Retail — 5.5%          
Beacon Roofing Supply, Inc. (a)   13,390    1,111,102 
Citi Trends, Inc. (a)   43,009    759,539 
Dave & Buster's Entertainment, Inc. (a)   18,934    843,699 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Dine Brands Global, Inc.   24,418   $1,416,976 
Genesco, Inc. (a)   37,750    945,260 
GMS, Inc. (a)   14,428    998,418 
MarineMax, Inc. (a)   20,994    717,155 
OneWater Marine, Inc. Class A (a) (b)   18,143    657,502 
Papa John's International, Inc.   20,300    1,498,749 
Penske Automotive Group, Inc.   3,219    536,382 
Red Robin Gourmet Burgers, Inc. (a)   8,248    114,070 
Sally Beauty Holdings, Inc. (a)   161,071    1,989,227 
         11,588,079 
         38,664,667 
Consumer, Non-cyclical — 13.3%          
Agriculture — 0.1%          
Turning Point Brands, Inc.   8,948    214,842 
Commercial Services — 6.3%          
Adtalem Global Education, Inc. (a)   50,537    1,735,440 
AMN Healthcare Services, Inc. (a)   1,118    121,996 
Barrett Business Services, Inc.   3,952    344,614 
Brink's Co.   19,278    1,307,627 
Deluxe Corp.   28,900    505,172 
Euronet Worldwide, Inc. (a)   7,099    833,210 
EVERTEC, Inc.   40,280    1,483,512 
Herc Holdings, Inc.   16,114    2,205,201 
ICF International, Inc.   12,740    1,584,729 
Korn Ferry   54,452    2,697,552 
Loomis AB   12,729    371,710 
         13,190,763 
Cosmetics & Personal Care — 0.5%          
Edgewell Personal Care Co.   27,636    1,141,643 
Food — 1.7%          
Hain Celestial Group, Inc. (a)   115,204    1,441,202 
Nomad Foods Ltd. (a)   116,228    2,036,315 
         3,477,517 
Health Care – Products — 2.2%          
Embecta Corp.   21,850    471,960 
Enovis Corp. (a)   8,267    530,080 
Envista Holdings Corp. (a)   58,712    1,986,814 
Integra LifeSciences Holdings Corp. (a)   39,840    1,638,619 
         4,627,473 
Health Care – Services — 1.9%          
Acadia Healthcare Co., Inc. (a)   25,330    2,017,282 
Pediatrix Medical Group, Inc. (a)   137,920    1,959,843 
         3,977,125 
Household Products & Wares — 0.6%          
Spectrum Brands Holdings, Inc.   14,888    1,162,008 
         27,791,371 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Energy — 4.9%          
Energy – Alternate Sources — 0.1%          
Enviva, Inc. (b)   16,292   $176,768 
Oil & Gas — 3.0%          
Earthstone Energy, Inc. Class A (a)   20,811    297,389 
HF Sinclair Corp.   28,380    1,266,032 
Magnolia Oil & Gas Corp. Class A   140,842    2,943,598 
Northern Oil & Gas, Inc.   55,354    1,899,749 
         6,406,768 
Oil & Gas Services — 1.8%          
ChampionX Corp.   121,773    3,779,834 
         10,363,370 
Financial — 28.3%          
Banks — 15.0%          
1st Source Corp.   31,748    1,331,194 
Ameris Bancorp   19,492    666,821 
Associated Banc-Corp.   98,839    1,604,157 
Bank of Marin Bancorp   32,926    581,802 
BankUnited, Inc.   64,735    1,395,039 
Carter Bankshares, Inc. (a)   66,675    986,123 
Columbia Banking System, Inc.   23,653    479,683 
ConnectOne Bancorp, Inc.   7,606    126,183 
CVB Financial Corp.   27,744    368,440 
First BanCorp   271,081    3,312,610 
First Busey Corp.   61,276    1,231,648 
First Interstate BancSystem, Inc. Class A   21,359    509,199 
First Merchants Corp.   9,426    266,096 
First Mid Bancshares, Inc.   1,049    25,323 
FNB Corp.   108,972    1,246,640 
HarborOne Bancorp, Inc.   117,527    1,020,134 
Heritage Financial Corp.   76,792    1,241,727 
Home BancShares, Inc.   55,250    1,259,700 
Independent Bank Group, Inc.   33,458    1,155,305 
Nicolet Bankshares, Inc.   12,682    861,235 
Old National Bancorp   106,532    1,485,056 
Origin Bancorp, Inc.   9,122    267,275 
Peoples Bancorp, Inc.   31,298    830,962 
Premier Financial Corp.   76,972    1,233,091 
QCR Holdings, Inc.   3,798    155,832 
Sandy Spring Bancorp, Inc.   13,409    304,116 
SouthState Corp.   18,841    1,239,738 
Synovus Financial Corp.   27,337    826,944 
Texas Capital Bancshares, Inc. (a)   36,080    1,858,120 
Towne Bank   8,259    191,939 
TriCo Bancshares   41,210    1,368,172 
UMB Financial Corp.   14,518    884,146 
Valley National Bancorp   112,253    869,961 
Veritex Holdings, Inc.   8,330    149,357 
         31,333,768 
Diversified Financial Services — 0.9%          
Enact Holdings, Inc.   5,066    127,308 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Moelis & Co. Class A (b)   37,599   $1,704,739 
         1,832,047 
Insurance — 2.5%          
Axis Capital Holdings Ltd.   24,550    1,321,527 
Fidelis Insurance Holdings Ltd. (a)   21,119    288,274 
Hanover Insurance Group, Inc.   12,590    1,423,048 
Selective Insurance Group, Inc.   21,894    2,100,729 
         5,133,578 
Investment Companies — 0.6%          
Compass Diversified Holdings (b)   58,406    1,266,826 
Private Equity — 0.1%          
Patria Investments Ltd. Class A   16,320    233,376 
Real Estate Investment Trusts (REITS) — 6.7%          
Apartment Income REIT Corp.   37,980    1,370,698 
Broadstone Net Lease, Inc.   95,183    1,469,625 
CareTrust REIT, Inc.   16,206    321,851 
Easterly Government Properties, Inc. (b)   15,574    225,823 
First Industrial Realty Trust, Inc.   20,148    1,060,591 
Four Corners Property Trust, Inc.   24,052    610,921 
Highwoods Properties, Inc.   21,297    509,211 
Kite Realty Group Trust   27,662    617,969 
National Health Investors, Inc.   6,161    322,960 
National Storage Affiliates Trust   28,494    992,446 
NETSTREIT Corp.   93,476    1,670,416 
Physicians Realty Trust   141,470    1,979,165 
STAG Industrial, Inc.   68,742    2,466,463 
Summit Hotel Properties, Inc.   18,260    118,873 
UMH Properties, Inc.   20,353    325,241 
         14,062,253 
Savings & Loans — 2.5%          
Berkshire Hills Bancorp, Inc.   72,857    1,510,326 
Pacific Premier Bancorp, Inc.   93,331    1,930,085 
Provident Financial Services, Inc.   16,463    269,006 
WSFS Financial Corp.   42,245    1,593,481 
         5,302,898 
         59,164,746 
Industrial — 17.4%          
Aerospace & Defense — 0.6%          
Leonardo DRS, Inc. (a) (b)   5,635    97,711 
Spirit AeroSystems Holdings, Inc. Class A   42,220    1,232,402 
         1,330,113 
Building Materials — 1.0%          
Hayward Holdings, Inc. (a)   27,416    352,295 
Masonite International Corp. (a)   12,227    1,252,534 
Tecnoglass, Inc.   11,668    602,769 
         2,207,598 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Electrical Components & Equipment — 0.9%          
Belden, Inc.   20,107   $1,923,235 
Electronics — 2.8%          
Atmus Filtration Technologies, Inc. (a)   11,034    242,307 
Avnet, Inc.   27,978    1,411,490 
Coherent Corp. (a)   31,906    1,626,568 
TTM Technologies, Inc. (a)   151,717    2,108,866 
Vontier Corp.   12,468    401,594 
         5,790,825 
Engineering & Construction — 3.7%          
Arcosa, Inc.   12,159    921,288 
Dycom Industries, Inc. (a)   24,599    2,795,676 
Fluor Corp. (a)   70,901    2,098,670 
Great Lakes Dredge & Dock Corp. (a)   217,790    1,777,166 
NV5 Global, Inc. (a)   1,862    206,254 
         7,799,054 
Environmental Controls — 1.0%          
CECO Environmental Corp. (a)   7,974    106,532 
Heritage-Crystal Clean, Inc. (a)   51,958    1,963,493 
         2,070,025 
Hand & Machine Tools — 0.1%          
Luxfer Holdings PLC   9,596    136,551 
Machinery – Diversified — 2.9%          
Cactus, Inc. Class A   55,317    2,341,016 
DXP Enterprises, Inc. (a)   8,223    299,399 
Esab Corp.   2,987    198,755 
Gates Industrial Corp. PLC (a)   72,363    975,453 
Ichor Holdings Ltd. (a)   57,934    2,172,525 
         5,987,148 
Metal Fabricate & Hardware — 1.9%          
Hillman Solutions Corp. (a)   263,342    2,372,712 
Timken Co.   17,142    1,569,007 
         3,941,719 
Miscellaneous - Manufacturing — 0.0%          
DIRTT Environmental Solutions (a) (b)   61,401    16,038 
Packaging & Containers — 1.0%          
Graphic Packaging Holding Co.   62,479    1,501,370 
Karat Packaging, Inc.   5,242    95,667 
Pactiv Evergreen, Inc.   54,592    413,261 
         2,010,298 
Transportation — 1.5%          
ArcBest Corp.   23,390    2,310,932 

 

 

 

 

MassMutual Small Company Value Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Star Bulk Carriers Corp.   50,616   $895,903 
         3,206,835 
         36,419,439 
Technology — 7.9%          
Computers — 0.8%          
Crane NXT Co.   19,460    1,098,322 
Unisys Corp. (a)   146,112    581,526 
         1,679,848 
Semiconductors — 4.8%          
Amkor Technology, Inc.   58,478    1,739,721 
Cohu, Inc. (a)   48,315    2,007,971 
FormFactor, Inc. (a)   46,163    1,579,698 
Kulicke & Soffa Industries, Inc.   44,458    2,643,028 
Magnachip Semiconductor Corp. (a)   143,340    1,602,541 
MKS Instruments, Inc.   3,818    412,726 
         9,985,685 
Software — 2.3%          
ACI Worldwide, Inc. (a)   59,970    1,389,505 
CommVault Systems, Inc. (a)   18,237    1,324,371 
Digital Turbine, Inc. (a)   24,742    229,606 
Donnelley Financial Solutions, Inc. (a)   9,930    452,113 
IBEX Holdings Ltd. (a)   10,258    217,777 
Teradata Corp. (a)   21,936    1,171,602 
         4,784,974 
         16,450,507 
Utilities — 2.5%          
Electric — 2.1%          
ALLETE, Inc.   4,293    248,865 
IDACORP, Inc.   20,770    2,131,002 
Portland General Electric Co.   44,140    2,067,076 
         4,446,943 
Gas — 0.4%          
Northwest Natural Holding Co.   2,780    119,679 
Southwest Gas Holdings, Inc.   9,740    619,951 
         739,630 
         5,186,573 
           
TOTAL COMMON STOCK
(Cost $217,898,551)
        207,012,242 
           
TOTAL EQUITIES
(Cost $217,898,551)
        207,012,242 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $217,898,551)
        207,012,242 
           
SHORT-TERM INVESTMENTS — 1.8%          
State Street Navigator Securities Lending Government Money Market Portfolio (c)   2,424,090   2,424,090 
           
   Principal
Amount
      
Repurchase Agreement — 0.6%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $1,292,037   1,292,037 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,716,127)
        3,716,127 
           
TOTAL INVESTMENTS — 100.7%
(Cost $221,614,678) (e)
        210,728,369 
           
Other Assets/(Liabilities) — (0.7)%        (1,372,311) 
           
NET ASSETS — 100.0%       $209,356,058 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $3,911,875 or 1.87% of net assets. The Fund received $1,643,244 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Represents investment of security lending cash collateral. (Note 2).
(d) Maturity value of $1,292,200. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/2025, and an aggregate market value, including accrued interest, of $1,318,014.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized
Appreciation
(Depreciation)
 
UBS AG  9/29/23  USD  317,582   SEK  3,390,878 $  1,890

 

Currency Legend

SEK Swedish Krona
USD U.S. Dollar

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 97.4%          
           
COMMON STOCK — 97.1%          
Basic Materials — 1.3%          
Chemicals — 0.9%          
Albemarle Corp.   70,344   $15,693,043 
RPM International, Inc.   266,000    23,868,180 
Sherwin-Williams Co.   37,051    9,837,781 
         49,399,004 
Iron & Steel — 0.4%          
ATI, Inc. (a)   463,120    20,483,798 
         69,882,802 
Communications — 4.9%          
Advertising — 1.8%          
Trade Desk, Inc. Class A (a)   1,263,906    97,598,821 
Internet — 1.7%          
Chewy, Inc. Class A (a)   170,673    6,736,463 
Match Group, Inc. (a)   178,000    7,449,300 
Okta, Inc. (a)   79,711    5,527,958 
Palo Alto Networks, Inc. (a)   137,565    35,149,233 
Spotify Technology SA (a)   212,000    34,036,600 
         88,899,554 
Media — 1.0%          
Liberty Media Corp-Liberty Formula One Class C (a)   512,000    38,543,360 
Warner Bros Discovery, Inc. (a)   1,295,183    16,241,595 
         54,784,955 
Telecommunications — 0.4%          
Arista Networks, Inc. (a)   75,974    12,312,347 
Corning, Inc.   286,000    10,021,440 
         22,333,787 
         263,617,117 
Consumer, Cyclical — 13.9%          
Airlines — 0.8%          
Southwest Airlines Co.   1,203,000    43,560,630 
Auto Parts & Equipment — 0.1%          
Mobileye Global, Inc. Class A (a) (b)   74,000    2,843,080 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Entertainment — 0.6%          
Caesars Entertainment, Inc. (a)   398,621   $20,317,712 
Live Nation Entertainment, Inc. (a)   129,493    11,798,107 
Vail Resorts, Inc.   8,000    2,014,080 
         34,129,899 
Leisure Time — 0.2%          
Planet Fitness, Inc. Class A (a)   138,665    9,351,568 
Lodging — 2.5%          
Boyd Gaming Corp.   209,380    14,524,691 
Hilton Worldwide Holdings, Inc.   416,000    60,548,800 
MGM Resorts International   1,315,609    57,781,547 
         132,855,038 
Retail — 9.2%          
Bath & Body Works, Inc.   801,000    30,037,500 
Beacon Roofing Supply, Inc. (a)   167,803    13,924,293 
Burlington Stores, Inc. (a)   411,392    64,748,987 
Casey's General Stores, Inc.   152,000    37,069,760 
Chipotle Mexican Grill, Inc. (a)   14,960    31,999,440 
Dollar General Corp.   128,264    21,776,662 
Dollar Tree, Inc. (a)   359,000    51,516,500 
Domino's Pizza, Inc.   178,911    60,291,218 
Five Below, Inc. (a)   164,000    32,232,560 
Floor & Decor Holdings, Inc. Class A (a)   21,010    2,184,199 
Lithia Motors, Inc.   46,352    14,096,107 
Lululemon Athletica, Inc. (a)   35,000    13,247,500 
O'Reilly Automotive, Inc. (a)   26,217    25,045,100 
Ross Stores, Inc.   379,638    42,568,809 
Tractor Supply Co.   109,612    24,235,213 
Yum! Brands, Inc.   232,000    32,143,600 
         497,117,448 
Toys, Games & Hobbies — 0.5%          
Mattel, Inc. (a)   1,425,176    27,847,939 
         747,705,602 
Consumer, Non-cyclical — 30.1%          
Beverages — 0.3%          
Boston Beer Co., Inc. Class A (a) (b)   42,000    12,954,480 
Biotechnology — 3.2%          
Alnylam Pharmaceuticals, Inc. (a)   221,000    41,976,740 
Apellis Pharmaceuticals, Inc. (a)   169,000    15,395,900 
Argenx SE ADR (a)   48,000    18,707,040 
Biogen, Inc. (a)   89,000    25,351,650 
BioMarin Pharmaceutical, Inc. (a)   73,972    6,411,893 
CRISPR Therapeutics AG (a) (b)   169,000    9,487,660 
Illumina, Inc. (a)   33,330    6,249,042 
Ionis Pharmaceuticals, Inc. (a)   635,000    26,054,050 
Karuna Therapeutics, Inc. (a)   67,000    14,528,950 
Seagen, Inc. (a)   37,000    7,121,020 
         171,283,945 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Commercial Services — 8.5%          
Block, Inc. (a)   84,964   $5,656,053 
Bright Horizons Family Solutions, Inc. (a)   365,079    33,751,554 
Cintas Corp.   38,706    19,239,978 
CoStar Group, Inc. (a)   506,000    45,034,000 
Equifax, Inc.   306,292    72,070,508 
FleetCor Technologies, Inc. (a)   249,000    62,518,920 
Global Payments, Inc.   54,717    5,390,719 
MarketAxess Holdings, Inc.   91,000    23,789,220 
Moody's Corp.   25,585    8,896,416 
Paylocity Holding Corp. (a)   167,000    30,816,510 
Quanta Services, Inc.   115,388    22,667,973 
TransUnion   789,858    61,869,577 
United Rentals, Inc.   74,000    32,957,380 
Verisk Analytics, Inc.   150,000    33,904,500 
         458,563,308 
Cosmetics & Personal Care — 0.2%          
Kenvue, Inc. (a)   482,210    12,739,988 
Food — 0.3%          
TreeHouse Foods, Inc. (a)   362,000    18,237,560 
Health Care – Products — 13.0%          
Alcon, Inc.   592,789    48,673,905 
Align Technology, Inc. (a)   36,592    12,940,395 
Avantor, Inc. (a)   2,334,000    47,940,360 
Bruker Corp.   781,747    57,786,738 
Dentsply Sirona, Inc.   323,000    12,926,460 
Edwards Lifesciences Corp. (a)   95,738    9,030,966 
Enovis Corp. (a)   426,000    27,315,120 
Exact Sciences Corp. (a)   299,933    28,163,709 
Hologic, Inc. (a)   1,699,648    137,620,499 
ICU Medical, Inc. (a)   115,000    20,491,850 
IDEXX Laboratories, Inc. (a)   41,280    20,732,054 
Inspire Medical Systems, Inc. (a)   55,399    17,984,731 
Insulet Corp. (a)   41,796    12,051,459 
Natera, Inc. (a)   169,202    8,233,369 
Novocure Ltd. (a)   122,000    5,063,000 
Quidelortho Corp. (a)   269,000    22,289,340 
ResMed, Inc.   48,983    10,702,785 
Steris PLC   56,702    12,756,816 
Teleflex, Inc.   391,244    94,692,785 
The Cooper Cos., Inc.   131,000    50,229,330 
West Pharmaceutical Services, Inc.   107,000    40,924,290 
         698,549,961 
Health Care – Services — 2.7%          
Acadia Healthcare Co., Inc. (a)   546,000    43,483,440 
agilon health, Inc. (a) (b)   982,509    17,036,706 
Catalent, Inc. (a)   770,977    33,429,563 
Humana, Inc.   17,073    7,633,850 
IQVIA Holdings, Inc. (a)   54,226    12,188,378 
Molina Healthcare, Inc. (a)   101,000    30,425,240 
         144,197,177 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Household Products & Wares — 1.2%          
Avery Dennison Corp.   273,000   $46,901,400 
Reynolds Consumer Products, Inc.   554,000    15,650,500 
         62,551,900 
Pharmaceuticals — 0.7%          
Ascendis Pharma AS ADR (a)   157,000    14,012,250 
Dexcom, Inc. (a)   170,096    21,859,037 
         35,871,287 
         1,614,949,606 
Energy — 4.1%          
Energy – Alternate Sources — 0.8%          
Array Technologies, Inc. (a)   716,249    16,187,227 
Shoals Technologies Group, Inc. Class A (a)   596,054    15,235,140 
SolarEdge Technologies, Inc. (a)   32,095    8,635,160 
         40,057,527 
Oil & Gas — 2.8%          
Coterra Energy, Inc.   1,412,559    35,737,743 
Devon Energy Corp.   157,000    7,589,380 
EQT Corp.   449,000    18,467,370 
Permian Resources Corp.   1,059,186    11,608,679 
Pioneer Natural Resources Co.   164,000    33,977,520 
SM Energy Co.   492,710    15,584,417 
Venture Global LNG, Inc., Series B (Acquired 3/08/18, Cost $652,320) (a) (c) (d) (e)   216    3,888,000 
Venture Global LNG, Inc., Series C (Acquired 10/16/17-3/08/18, Cost $4,872,708) (a) (c) (d) (e)   1,328    23,904,000 
         150,757,109 
Pipelines — 0.5%          
Cheniere Energy, Inc.   177,000    26,967,720 
         217,782,356 
Financial — 5.3%          
Diversified Financial Services — 2.3%          
Apollo Global Management, Inc.   238,359    18,308,355 
Cboe Global Markets, Inc.   34,000    4,692,340 
Intercontinental Exchange, Inc.   370,000    41,839,600 
Raymond James Financial, Inc.   243,000    25,216,110 
Tradeweb Markets, Inc. Class A   542,000    37,116,160 
         127,172,565 
Insurance — 1.8%          
Aon PLC Class A   88,862    30,675,162 
Assurant, Inc.   294,000    36,961,680 
Axis Capital Holdings Ltd.   279,000    15,018,570 
Kemper Corp.   142,000    6,852,920 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Markel Group, Inc. (a)   4,000   $5,532,720 
         95,041,052 
Private Equity — 1.2%          
KKR & Co., Inc.   1,135,170    63,569,520 
         285,783,137 
Industrial — 16.9%          
Building Materials — 1.7%          
Builders FirstSource, Inc. (a)   138,262    18,803,632 
Eagle Materials, Inc.   97,397    18,156,749 
Martin Marietta Materials, Inc.   120,000    55,402,800 
         92,363,181 
Electrical Components & Equipment — 0.5%          
Littelfuse, Inc.   30,000    8,739,300 
Universal Display Corp.   113,598    16,372,880 
         25,112,180 
Electronics — 4.9%          
Agilent Technologies, Inc.   776,043    93,319,171 
Amphenol Corp. Class A   480,356    40,806,242 
Coherent Corp. (a) (b)   132,230    6,741,085 
Fortive Corp.   809,000    60,488,930 
Keysight Technologies, Inc. (a)   354,000    59,277,300 
         260,632,728 
Engineering & Construction — 0.3%          
MasTec, Inc. (a)   156,275    18,435,762 
Environmental Controls — 0.6%          
Waste Connections, Inc.   215,463    30,796,126 
Hand & Machine Tools — 0.2%          
Stanley Black & Decker, Inc.   140,825    13,196,711 
Machinery – Construction & Mining — 0.4%          
BWX Technologies, Inc.   334,540    23,943,028 
Machinery – Diversified — 3.0%          
Cognex Corp.   349,000    19,550,980 
Esab Corp.   420,000    27,946,800 
IDEX Corp.   125,000    26,907,500 
Ingersoll Rand, Inc.   1,296,000    84,706,560 
         159,111,840 
Miscellaneous - Manufacturing — 1.4%          
Textron, Inc.   1,107,000    74,866,410 
Packaging & Containers — 1.8%          
Ball Corp.   1,167,000    67,931,070 
Sealed Air Corp.   728,000    29,120,000 
         97,051,070 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Transportation — 2.1%          
JB Hunt Transport Services, Inc.   355,000   $64,265,650 
Knight-Swift Transportation Holdings, Inc.   312,505    17,362,778 
XPO, Inc. (a)   491,324    28,988,116 
         110,616,544 
         906,125,580 
Technology — 20.6%          
Computers — 2.4%          
Crowdstrike Holdings, Inc. Class A (a)   336,000    49,348,320 
EPAM Systems, Inc. (a)   39,191    8,808,177 
Fortinet, Inc. (a)   546,000    41,272,140 
KBR, Inc.   473,361    30,796,867 
         130,225,504 
Semiconductors — 8.1%          
KLA Corp.   119,412    57,917,208 
Lam Research Corp.   33,618    21,611,668 
Lattice Semiconductor Corp. (a)   282,000    27,091,740 
Marvell Technology, Inc.   2,079,482    124,311,434 
Microchip Technology, Inc.   1,713,658    153,526,620 
Monolithic Power Systems, Inc.   42,441    22,927,901 
NXP Semiconductor NV   63,000    12,894,840 
Wolfspeed, Inc. (a) (b)   240,747    13,383,126 
         433,664,537 
Software — 10.1%          
Atlassian Corp. Class A Class A (a)   89,000    14,935,090 
Bill Holdings, Inc. (a) (b)   309,267    36,137,849 
Black Knight, Inc. (a)   553,000    33,030,690 
Broadridge Financial Solutions, Inc.   205,000    33,954,150 
CCC Intelligent Solutions Holdings, Inc. (a)   2,125,172    23,823,178 
Clear Secure, Inc. Class A (b)   241,000    5,583,970 
Confluent, Inc. Class A (a) (b)   148,000    5,225,880 
Doximity, Inc. Class A (a) (b)   284,000    9,661,680 
Fair Isaac Corp. (a)   76,293    61,737,059 
Guidewire Software, Inc. (a)   123,066    9,362,861 
HashiCorp, Inc. Class A (a)   75,000    1,963,500 
HubSpot, Inc. (a)   43,382    23,083,128 
MongoDB, Inc. (a)   82,555    33,929,279 
MSCI, Inc.   33,517    15,729,191 
Palantir Technologies, Inc. Class A (a)   668,953    10,255,050 
Paycom Software, Inc.   20,168    6,478,768 
PTC, Inc. (a)   288,000    40,982,400 
Roper Technologies, Inc.   82,000    39,425,600 
Synopsys, Inc. (a)   75,000    32,655,750 
Twilio, Inc. Class A (a)   124,064    7,892,952 
Veeva Systems, Inc. Class A (a)   443,595    87,712,039 

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Workday, Inc. Class A (a)   36,986   $8,354,768 
         541,914,832 
         1,105,804,873 
           
TOTAL COMMON STOCK
(Cost $4,187,648,812)
        5,211,651,073 
           
PREFERRED STOCK — 0.3%          
Consumer, Cyclical — 0.0%          
Auto Manufacturers — 0.0%          
Nuro, Inc., Series D (Acquired 10/29/21, Cost $3,125,295) (a) (c) (d) (e)   149,925    929,535 
Consumer, Non-cyclical — 0.1%          
Commercial Services — 0.1%          
Redwood Materials, Inc., Series C (Acquired 5/28/21, Cost $3,678,889) (a) (c) (d) (e)   77,608    3,704,685 
Health Care – Services — 0.0%          
Caris Life Sciences, Inc., Series D (Acquired 5/11/21, Cost $5,006,003) (a) (c) (d) (e)   618,025    3,306,434 
         7,011,119 
Financial — 0.0%          
Investment Companies — 0.0%          
Maplebear, Inc., Series E (Acquired 11/19/21-12/01/21, Cost $10,196,717) (a) (c) (d) (e)   84,807    2,756,228 
Maplebear, Inc., Series I (Acquired 2/26/21, Cost $1,765,375) (a) (c) (d) (e)   14,123    458,998 
         3,215,226 
Industrial — 0.1%          
Electrical Components & Equipment — 0.1%          
Sila Nanotechnologies, Inc., Series F (Acquired 1/07/21, Cost $7,310,569) (a) (c) (d) (e)   177,128    3,592,156 
Technology — 0.1%          
Software — 0.1%          
Databricks, Inc., Series H (Acquired 8/31/21, Cost $3,472,860) (a) (c) (d) (e)   47,260    3,457,542 
           
TOTAL PREFERRED STOCK
(Cost $34,555,708)
        18,205,578 
           
TOTAL EQUITIES
(Cost $4,222,204,520)
        5,229,856,651 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $4,222,204,520)
        5,229,856,651 
           

 

 

 

 

MassMutual Mid Cap Growth Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
SHORT-TERM INVESTMENTS — 2.8%          
           
Investment of Cash Collateral from Securities Loaned — 0.1%          
State Street Navigator Securities Lending Government Money Market Portfolio (f)  5,449,385   $5,449,385 
Mutual Fund — 0.0%          
T. Rowe Price Treasury Reserve Fund   66,892    66,892 
           
Repurchase Agreement — 2.7%  Principal
Amount
      
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (g)  $144,670,496   144,670,496 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $150,186,773)
        150,186,773 
           
TOTAL INVESTMENTS — 100.2%
(Cost $4,372,391,293) (h)
        5,380,043,424 
           
Other Assets/(Liabilities) — (0.2)%        (9,415,516) 
           
NET ASSETS — 100.0%       $5,370,627,908 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $61,722,667 or 1.15% of net assets. The Fund received $57,709,221 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Investment is valued using significant unobservable inputs.
(d) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $45,997,578 or 0.86% of net assets.
(e) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $45,997,578 or 0.86% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(f) Represents investment of security lending cash collateral. (Note 2).
(g) Maturity value of $144,688,821. Collateralized by U.S. Government Agency obligations with rates ranging from 0.250% - 4.250%, maturity dates ranging from 10/15/25 – 5/15/29, and an aggregate market value, including accrued interest, of $147,563,965.
(h) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 97.2%          
           
COMMON STOCK — 97.2%          
Basic Materials — 3.1%          
Chemicals — 2.4%          
Cabot Corp.   101,749   $6,805,991 
Livent Corp. (a) (b)   352,963    9,681,775 
Methanex Corp. (b)   54,120    2,238,944 
         18,726,710 
Iron & Steel — 0.7%          
ATI, Inc. (a)   91,294    4,037,934 
Commercial Metals Co.   33,413    1,759,528 
         5,797,462 
         24,524,172 
Communications — 3.8%          
Internet — 2.0%          
Cargurus, Inc. (a)   135,721    3,071,366 
Criteo SA Sponsored ADR (a)   74,059    2,498,751 
Eventbrite, Inc. Class A (a)   281,703    2,690,264 
Perficient, Inc. (a)   45,122    3,760,016 
Squarespace, Inc. Class A (a)   34,500    1,088,130 
Ziff Davis, Inc. (a)   35,838    2,510,810 
         15,619,337 
Media — 0.9%          
New York Times Co. Class A   67,264    2,648,856 
World Wrestling Entertainment, Inc. Class A   37,750    4,094,743 
         6,743,599 
Telecommunications — 0.9%          
Calix, Inc. (a)   101,513    5,066,514 
Viavi Solutions, Inc. (a)   198,915    2,253,707 
         7,320,221 
         29,683,157 
Consumer, Cyclical — 12.1%          
Apparel — 1.8%          
Carter's, Inc. (b)   24,426    1,773,327 
Crocs, Inc. (a)   61,850    6,954,414 
Deckers Outdoor Corp. (a)   2,530    1,334,980 
On Holding AG, Class A (a) (b)   56,881    1,877,073 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Steven Madden Ltd. (b)   62,952   $2,057,901 
         13,997,695 
Auto Parts & Equipment — 0.9%          
Visteon Corp. (a)   46,752    6,714,055 
Distribution & Wholesale — 1.5%          
H&E Equipment Services, Inc.   86,802    3,971,191 
Rush Enterprises, Inc. Class A   87,823    5,334,369 
WESCO International, Inc.   13,431    2,404,955 
         11,710,515 
Entertainment — 1.1%          
Cinemark Holdings, Inc. (a) (b)   117,846    1,944,459 
DraftKings, Inc. Class A (a)   61,628    1,637,456 
Red Rock Resorts, Inc. Class A   110,058    5,148,513 
         8,730,428 
Food Services — 0.3%          
Sovos Brands, Inc. (a)   115,067    2,250,711 
Home Builders — 1.9%          
Century Communities, Inc.   43,977    3,369,518 
Meritage Home Corp.   8,349    1,187,812 
Skyline Champion Corp. (a)   85,819    5,616,854 
Taylor Morrison Home Corp. (a)   91,833    4,478,695 
         14,652,879 
Leisure Time — 1.0%          
Acushnet Holdings Corp.   39,571    2,163,742 
Planet Fitness, Inc. Class A (a)   30,105    2,030,281 
YETI Holdings, Inc. (a)   105,082    4,081,385 
         8,275,408 
Lodging — 0.4%          
Boyd Gaming Corp.   49,614    3,441,723 
Retail — 3.2%          
Cava Group, Inc. (a)   28,908    1,183,783 
Denny's Corp. (a)   116,931    1,440,590 
Freshpet, Inc. (a)   16,400    1,079,284 
Nu Skin Enterprises, Inc. Class A   17,969    596,571 
Patrick Industries, Inc. (b)   29,983    2,398,640 
Savers Value Village, Inc. (a)   30,100    713,370 
Shake Shack, Inc. Class A (a)   23,732    1,844,451 
Texas Roadhouse, Inc.   22,105    2,481,949 
Victoria's Secret & Co. (a) (b)   62,935    1,096,957 
Wingstop, Inc.   63,542    12,718,567 
         25,554,162 
         95,327,576 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Consumer, Non-cyclical — 25.5%          
Beverages — 1.3%          
Celsius Holdings, Inc. (a)   69,418   $10,356,471 
Biotechnology — 6.2%          
Akero Therapeutics, Inc. (a)   36,759    1,716,278 
Amicus Therapeutics, Inc. (a)   173,139    2,174,626 
Apellis Pharmaceuticals, Inc. (a)   57,558    5,243,534 
Blueprint Medicines Corp. (a)   21,104    1,333,773 
Celldex Therapeutics, Inc. (a)   25,693    871,764 
Crinetics Pharmaceuticals, Inc. (a)   100,884    1,817,930 
Cytokinetics, Inc. (a)   113,306    3,696,042 
Halozyme Therapeutics, Inc. (a)   34,475    1,243,513 
Immatics NV (a)   180,237    2,079,935 
Immunocore Holdings PLC ADR ADR (a)   21,035    1,261,259 
ImmunoGen, Inc. (a)   49,635    936,612 
Intellia Therapeutics, Inc. (a)   31,410    1,280,900 
Intra-Cellular Therapies, Inc. (a)   86,779    5,494,846 
Karuna Therapeutics, Inc. (a)   19,577    4,245,272 
Kymera Therapeutics, Inc. (a)   53,516    1,230,333 
Myriad Genetics, Inc. (a)   89,691    2,079,037 
Prothena Corp. PLC (a)   21,294    1,453,954 
PTC Therapeutics, Inc. (a)   29,684    1,207,248 
Revolution Medicines, Inc. (a)   74,396    1,990,093 
Rocket Pharmaceuticals, Inc. (a)   95,322    1,894,048 
Sage Therapeutics, Inc. (a)   14,384    676,336 
Syndax Pharmaceuticals, Inc. (a)   83,801    1,753,955 
Ultragenyx Pharmaceutical, Inc. (a)   15,691    723,826 
Veracyte, Inc. (a)   67,488    1,718,919 
Zentalis Pharmaceuticals, Inc. (a) (b)   23,925    674,924 
         48,798,957 
Commercial Services — 3.0%          
Cross Country Healthcare, Inc. (a)   106,039    2,977,575 
European Wax Center, Inc. Class A (a)   86,678    1,614,811 
Flywire Corp. (a)   49,565    1,538,498 
H&R Block, Inc.   63,019    2,008,416 
Herc Holdings, Inc.   14,618    2,000,473 
ManpowerGroup, Inc.   23,304    1,850,338 
Progyny, Inc. (a)   20,154    792,858 
Shift4 Payments, Inc. Class A (a) (b)   22,907    1,555,614 
TriNet Group, Inc. (a)   52,002    4,938,630 
WillScot Mobile Mini Holdings Corp. (a)   85,846    4,102,580 
         23,379,793 
Cosmetics & Personal Care — 1.6%          
elf Beauty, Inc. (a)   107,759    12,309,311 
Food — 0.5%          
Performance Food Group Co. (a)   21,769    1,311,365 
TreeHouse Foods, Inc. (a)   50,706    2,554,568 
         3,865,933 
Health Care – Products — 8.1%          
10X Genomics, Inc. Class A (a)   43,765    2,443,838 
Axonics Inc. (a)   64,009    3,230,534 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Glaukos Corp. (a)   90,739   $6,461,524 
Globus Medical, Inc. Class A (a)   31,342    1,866,103 
Haemonetics Corp. (a)   93,799    7,986,047 
ICU Medical, Inc. (a)   10,947    1,950,646 
Inari Medical, Inc. (a)   70,147    4,078,347 
Inspire Medical Systems, Inc. (a)   44,897    14,575,362 
iRhythm Technologies, Inc. (a)   12,783    1,333,522 
Lantheus Holdings, Inc. (a)   28,480    2,390,042 
Merit Medical Systems, Inc. (a)   28,936    2,420,207 
Omnicell, Inc. (a)   30,263    2,229,475 
Repligen Corp. (a)   4,113    581,825 
Shockwave Medical, Inc. (a)   35,242    10,058,419 
TransMedics Group, Inc. (a)   22,592    1,897,276 
         63,503,167 
Health Care – Services — 3.6%          
Acadia Healthcare Co., Inc. (a)   117,425    9,351,727 
Amedisys, Inc. (a)   19,013    1,738,549 
Encompass Health Corp.   42,270    2,862,102 
HealthEquity, Inc. (a)   32,860    2,074,780 
Medpace Holdings, Inc. (a)   14,994    3,601,109 
Radnet, Inc. (a)   50,314    1,641,243 
Surgery Partners, Inc. (a) (b)   159,756    7,187,422 
         28,456,932 
Pharmaceuticals — 1.2%          
Aclaris Therapeutics, Inc. (a)   129,426    1,342,148 
Ascendis Pharma AS ADR (a)   5,609    500,603 
BellRing Brands, Inc. (a)   57,209    2,093,850 
Bioxcel Therapeutics, Inc. (a) (b)   23,680    157,709 
Merus NV (a) (b)   38,254    1,007,228 
Morphic Holding, Inc. (a)   8,046    461,277 
Revance Therapeutics, Inc. (a)   53,281    1,348,542 
Vaxcyte, Inc. (a)   25,894    1,293,146 
Verona Pharma PLC ADR ADR (a)   63,580    1,344,081 
         9,548,584 
         200,219,148 
Energy — 5.5%          
Energy – Alternate Sources — 1.2%          
Maxeon Solar Technologies Ltd. (a)   43,693    1,230,395 
Shoals Technologies Group, Inc. Class A (a)   330,002    8,434,851 
         9,665,246 
Oil & Gas — 3.7%          
Chord Energy Corp.   39,204    6,029,575 
Magnolia Oil & Gas Corp. Class A   107,856    2,254,190 
Matador Resources Co.   78,782    4,121,874 
PBF Energy, Inc. Class A   37,859    1,549,948 
PDC Energy, Inc.   22,511    1,601,433 
Seadrill Ltd. (a)   47,530    1,961,563 
Sitio Royalties Corp. Class A   91,212    2,396,139 
Viper Energy Partners LP (c)   222,224    5,962,270 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Weatherford International PLC (a)   42,101   $2,796,349 
         28,673,341 
Oil & Gas Services — 0.6%          
Aris Water Solutions, Inc. Class A (b)   80,690    832,721 
TechnipFMC PLC (a)   244,452    4,062,792 
         4,895,513 
         43,234,100 
Financial — 10.2%          
Banks — 1.6%          
Ameris Bancorp   69,100    2,363,911 
Cadence Bank   87,818    1,724,746 
First Interstate BancSystem, Inc. Class A   67,018    1,597,709 
Hancock Whitney Corp.   60,169    2,309,286 
National Bank Holdings Corp. Class A   70,388    2,044,068 
Seacoast Banking Corp. of Florida   105,583    2,333,384 
         12,373,104 
Diversified Financial Services — 3.4%          
Air Lease Corp.   73,542    3,077,733 
Evercore, Inc. Class A   27,025    3,340,020 
Hamilton Lane, Inc. Class A   90,047    7,201,959 
Hannon Armstrong Sustainable Infrastructure Capital, Inc. (b)   179,572    4,489,300 
PJT Partners, Inc. Class A   63,828    4,444,982 
PRA Group, Inc. (a)   91,220    2,084,377 
StepStone Group, Inc. Class A   94,036    2,333,033 
         26,971,404 
Insurance — 2.1%          
Assured Guaranty Ltd.   47,885    2,671,983 
Kemper Corp.   44,538    2,149,404 
Kinsale Capital Group, Inc.   20,001    7,484,374 
MGIC Investment Corp.   162,043    2,558,659 
Selective Insurance Group, Inc.   20,843    1,999,886 
         16,864,306 
Real Estate — 0.3%          
McGrath RentCorp   22,574    2,087,643 
Real Estate Investment Trusts (REITS) — 2.8%          
Douglas Emmett, Inc. (b)   103,064    1,295,514 
Essential Properties Realty Trust, Inc.   100,075    2,355,766 
National Storage Affiliates Trust   51,130    1,780,858 
Phillips Edison & Co., Inc. (b)   168,434    5,740,231 
PotlatchDeltic Corp.   56,530    2,987,610 
Ryman Hospitality Properties, Inc.   40,094    3,725,534 
Terreno Realty Corp.   34,140    2,051,814 
Xenia Hotels & Resorts, Inc.   173,900    2,140,709 
         22,078,036 
         80,374,493 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Industrial — 18.6%          
Aerospace & Defense — 2.1%          
Curtiss-Wright Corp.   42,691   $7,840,629 
Hexcel Corp.   49,671    3,775,989 
Leonardo DRS, Inc. (a) (b)   123,237    2,136,930 
Mercury Systems, Inc. (a)   41,094    1,421,442 
Spirit AeroSystems Holdings, Inc. Class A   35,615    1,039,602 
         16,214,592 
Building Materials — 1.9%          
AAON, Inc.   27,465    2,603,957 
AZEK Co., Inc (a)   203,360    6,159,774 
Eagle Materials, Inc.   13,938    2,598,322 
Louisiana-Pacific Corp.   38,774    2,907,274 
Trex Co., Inc. (a)   13,676    896,599 
         15,165,926 
Electrical Components & Equipment — 1.6%          
Acuity Brands, Inc.   9,969    1,625,745 
Novanta, Inc. (a)   60,034    11,052,259 
         12,678,004 
Electronics — 0.9%          
Atkore, Inc. (a)   19,053    2,971,125 
Badger Meter, Inc.   19,852    2,929,361 
NEXTracker, Inc. Class A (a)   38,092    1,516,443 
         7,416,929 
Engineering & Construction — 2.9%          
Comfort Systems USA, Inc.   54,813    9,000,295 
EMCOR Group, Inc.   13,525    2,499,150 
Fluor Corp. (a)   232,534    6,883,006 
MasTec, Inc. (a)   14,054    1,657,950 
TopBuild Corp. (a)   9,023    2,400,298 
         22,440,699 
Environmental Controls — 2.1%          
Casella Waste Systems, Inc. Class A (a)   79,903    7,227,226 
Clean Harbors, Inc. (a)   57,872    9,515,893 
         16,743,119 
Hand & Machine Tools — 0.3%          
Kennametal, Inc.   76,998    2,185,973 
Machinery – Construction & Mining — 0.3%          
Vertiv Holdings Co.   102,345    2,535,086 
Machinery – Diversified — 3.4%          
Albany International Corp. Class A   18,889    1,761,966 
Applied Industrial Technologies, Inc.   56,221    8,142,487 
Cactus, Inc. Class A   72,557    3,070,612 
Esab Corp.   39,330    2,617,018 
Flowserve Corp.   72,725    2,701,734 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Middleby Corp. (a)   15,511   $2,292,991 
Zurn Elkay Water Solutions Corp. Class C   226,504    6,090,693 
         26,677,501 
Metal Fabricate & Hardware — 0.5%          
Helios Technologies, Inc.   31,440    2,077,870 
Valmont Industries, Inc.   5,671    1,650,544 
         3,728,414 
Miscellaneous - Manufacturing — 0.2%          
EnPro Industries, Inc.   13,900    1,856,067 
Packaging & Containers — 0.6%          
Graphic Packaging Holding Co.   208,009    4,998,456 
Transportation — 1.4%          
Kirby Corp. (a)   38,027    2,926,178 
RXO, Inc. (a)   101,262    2,295,609 
Saia, Inc. (a)   15,810    5,413,502 
         10,635,289 
Trucking & Leasing — 0.4%          
GATX Corp.   23,175    2,983,550 
         146,259,605 
Technology — 17.2%          
Computers — 2.6%          
CyberArk Software Ltd. (a)   39,839    6,228,031 
Exlservice Holdings, Inc. (a)   44,358    6,700,719 
KBR, Inc.   60,539    3,938,667 
Rapid7, Inc. (a)   36,410    1,648,645 
WNS Holdings Ltd. ADR (a)   21,904    1,614,763 
         20,130,825 
Semiconductors — 5.3%          
Allegro MicroSystems, Inc. (a)   42,303    1,909,557 
Axcelis Technologies, Inc. (a)   24,965    4,576,834 
Cirrus Logic, Inc. (a)   23,102    1,871,493 
Diodes, Inc. (a)   29,653    2,742,606 
FormFactor, Inc. (a)   69,492    2,378,016 
Impinj, Inc. (a) (b)   17,081    1,531,312 
Lattice Semiconductor Corp. (a)   80,834    7,765,722 
MACOM Technology Solutions Holdings, Inc. (a)   28,990    1,899,715 
MKS Instruments, Inc.   9,581    1,035,706 
Nova Ltd. (a)   13,840    1,623,432 
Power Integrations, Inc.   50,273    4,759,345 
Rambus, Inc. (a)   59,408    3,812,211 
Silicon Laboratories, Inc. (a)   10,170    1,604,216 
SiTime Corp. (a) (b)   14,717    1,736,165 
Synaptics, Inc. (a)   32,006    2,732,672 
         41,979,002 
Software — 9.3%          
Altair Engineering, Inc. Class A (a)   43,351    3,287,740 

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Braze, Inc. Class A (a)   26,079   $1,141,999 
CCC Intelligent Solutions Holdings, Inc. (a)   146,150    1,638,341 
Clearwater Analytics Holdings, Inc. Class A (a)   78,070    1,238,971 
Confluent, Inc. Class A (a) (b)   70,054    2,473,607 
DigitalOcean Holdings, Inc. (a) (b)   34,435    1,382,221 
DoubleVerify Holdings, Inc. (a)   219,499    8,542,901 
Duolingo, Inc. (a)   32,308    4,618,106 
Evolent Health, Inc. Class A (a)   94,569    2,865,441 
Five9, Inc. (a)   40,403    3,331,227 
Gitlab, Inc. Class A (a)   64,279    3,285,300 
Global-e Online Ltd. (a) (b)   32,165    1,316,835 
Intapp, Inc. (a)   18,200    762,762 
Jamf Holding Corp. (a) (b)   256,544    5,007,739 
Manhattan Associates, Inc. (a)   46,383    9,271,034 
Monday.com Ltd. (a)   6,941    1,188,438 
New Relic, Inc. (a)   32,378    2,118,816 
PowerSchool Holdings, Inc. Class A (a) (b)   172,105    3,294,090 
Privia Health Group, Inc. (a)   78,589    2,051,959 
RingCentral, Inc. Class A (a)   20,319    665,041 
Samsara, Inc. Class A (a)   68,181    1,889,295 
Sprout Social, Inc. Class A (a)   124,125    5,729,610 
Verra Mobility Corp. (a)   322,553    6,360,745 
         73,462,218 
         135,572,045 
Utilities — 1.2%          
Electric — 0.9%          
Ameresco, Inc. Class A (a) (b)   46,541    2,263,289 
Atlantica Sustainable Infrastructure PLC   93,324    2,187,514 
Portland General Electric Co.   58,089    2,720,308 
         7,171,111 
Gas — 0.3%          
ONE Gas, Inc.   26,599    2,043,069 
         9,214,180 
           
TOTAL COMMON STOCK
(Cost $682,686,982)
        764,408,476 
           
TOTAL EQUITIES
(Cost $682,686,982)
        764,408,476 
           
           
MUTUAL FUNDS — 1.5%          
Diversified Financial Services — 1.5%          
iShares Russell 2000 ETF (b)   30,471    5,706,304 
iShares Russell 2000 Growth ETF   25,186    6,111,635 
         11,817,939 
           
TOTAL MUTUAL FUNDS
(Cost $11,178,053)
        11,817,939 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $693,865,035)
        776,226,415 
           

 

 

 

 

MassMutual Small Cap Growth Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
SHORT-TERM INVESTMENTS — 2.9%          
           
Investment of Cash Collateral from Securities Loaned — 1.6%          
State Street Navigator Securities Lending Government Money Market Portfolio (d)  12,407,115   $12,407,115 
           
Repurchase Agreement — 1.3%  Principal
Amount
      
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (e)  $10,094,225   10,094,225 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $22,501,340)
        22,501,340 
           
TOTAL INVESTMENTS — 101.6%
(Cost $716,366,375) (f)
        798,727,755 
           
Other Assets/(Liabilities) — (1.6)%        (12,788,298) 
           
NET ASSETS — 100.0%       $785,939,457 

 

Abbreviation Legend

ADR American Depositary Receipt
ETF Exchange-Traded Fund

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $55,031,893 or 7.00% of net assets. The Fund received $43,995,159 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Security is a Master Limited Partnership.
(d) Represents investment of security lending cash collateral. (Note 2).
(e) Maturity value of $10,095,504. Collateralized by U.S. Government Agency obligations with rates ranging from 2.375% - 4.250%, maturity dates ranging from 10/15/25 - 5/15/29, and an aggregate market value, including accrued interest, of $10,296,136.
(f) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Overseas Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 98.4%          
           
COMMON STOCK — 97.8%          
Australia — 1.2%          
Glencore PLC   513,900   $2,915,117 
Orica Ltd.   29,133    288,938 
Rio Tinto PLC   41,031    2,606,679 
         5,810,734 
Belgium — 1.0%          
Anheuser-Busch InBev SA   48,400    2,741,192 
KBC Group NV   29,564    2,067,373 
         4,808,565 
Canada — 3.1%          
Canadian National Railway Co. (a)   36,244    4,388,061 
Intact Financial Corp.   14,924    2,304,250 
Open Text Corp. (a)   71,090    2,956,829 
Restaurant Brands International, Inc. (a)   5,500    426,360 
Suncor Energy, Inc. (a)   61,913    1,816,146 
Toronto-Dominion Bank   55,512    3,440,717 
         15,332,363 
China — 3.0%          
Alibaba Group Holding Ltd. (b)   327,940    3,410,598 
NetEase, Inc.   126,300    2,454,353 
Prosus NV (b)   47,423    3,470,321 
Tencent Holdings Ltd.   65,400    2,783,589 
Vipshop Holdings Ltd. ADR (b)   53,143    876,860 
Yum China Holdings, Inc.   32,234    1,821,221 
         14,816,942 
Denmark — 2.3%          
Carlsberg AS Class B   18,334    2,931,470 
DSV AS   8,480    1,784,633 
Novo Nordisk AS Class B   40,533    6,546,637 
         11,262,740 
France — 16.5%          
Accor SA   90,170    3,353,025 
Air Liquide SA   52,772    9,461,073 
BNP Paribas SA   84,931    5,365,039 
Capgemini SE   52,391    9,925,017 
Cie de Saint-Gobain   56,344    3,432,332 
Cie Generale des Etablissements Michelin SCA   67,383    1,991,927 
Danone SA   37,400    2,291,753 
Dassault Systemes SE   42,362    1,878,590 

 

 

 

 

MassMutual Overseas Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Edenred   23,500   $1,573,582 
Engie SA   266,306    4,429,503 
EssilorLuxottica SA   26,580    5,030,208 
Kering SA   6,325    3,503,024 
L'Oreal SA   5,992    2,796,332 
Legrand SA   30,082    2,984,185 
LVMH Moet Hennessy Louis Vuitton SE   9,328    8,803,075 
Pernod Ricard SA   24,878    5,496,529 
Publicis Groupe SA   30,369    2,369,056 
Valeo   124,230    2,665,640 
Worldline SA (b) (c)   100,000    3,659,988 
         81,009,878 
Germany — 15.4%          
adidas AG   14,115    2,737,675 
Allianz SE Registered   17,185    3,997,386 
Bayer AG Registered   157,579    8,711,909 
Bayerische Motoren Werke AG   31,685    3,891,436 
Beiersdorf AG   42,509    5,624,243 
Brenntag SE   19,600    1,527,027 
Continental AG   52,680    3,970,192 
Daimler Truck Holding AG   101,361    3,649,459 
Deutsche Boerse AG   29,069    5,368,590 
Fresenius Medical Care AG & Co. KGaA   78,421    3,745,276 
Fresenius SE & Co. KGaA   137,700    3,811,542 
Henkel AG & Co. KGaA   29,722    2,091,940 
Mercedes-Benz Group AG Registered   65,173    5,245,226 
Merck KGaA   29,011    4,796,458 
MTU Aero Engines AG   8,234    2,133,467 
SAP SE   72,358    9,880,046 
Siemens AG Registered   16,865    2,807,155 
thyssenkrupp AG   172,517    1,349,098 
         75,338,125 
Hong Kong — 2.5%          
AIA Group Ltd.   622,400    6,350,461 
Prudential PLC   418,825    5,906,412 
         12,256,873 
India — 1.6%          
Axis Bank Ltd.   116,905    1,408,837 
HDFC Bank Ltd.   99,073    2,057,633 
Housing Development Finance Corp. Ltd.   70,942    2,442,807 
Tata Consultancy Services Ltd.   45,551    1,835,789 
         7,745,066 
Indonesia — 0.0%          
Bank Mandiri Persero Tbk PT   565,400    197,975 
Ireland — 1.5%          
Ryanair Holdings PLC Sponsored ADR (b)   64,705    7,156,373 
Israel — 0.8%          
Check Point Software Technologies Ltd. (b)   30,680    3,854,022 

 

 

 

 

MassMutual Overseas Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Italy — 2.6%          
Eni SpA   252,157   $3,635,975 
Intesa Sanpaolo SpA   3,434,850    9,027,861 
         12,663,836 
Japan — 10.6%          
Daikin Industries Ltd.   26,300    5,368,479 
Denso Corp.   60,200    4,058,464 
Fujitsu Ltd.   14,600    1,882,334 
Hitachi Ltd.   116,100    7,185,616 
Hoya Corp.   26,000    3,101,524 
Koito Manufacturing Co. Ltd.   120,700    2,190,783 
Komatsu Ltd.   76,900    2,080,784 
Kose Corp.   19,800    1,903,314 
Kubota Corp.   83,300    1,213,460 
Kyocera Corp.   63,900    3,473,363 
Mitsubishi Electric Corp.   122,500    1,721,461 
Olympus Corp.   168,800    2,671,915 
Recruit Holdings Co. Ltd.   53,200    1,697,799 
Shin-Etsu Chemical Co. Ltd.   57,500    1,911,115 
SMC Corp.   6,200    3,445,962 
Sony Group Corp.   51,600    4,628,398 
Terumo Corp.   101,300    3,221,758 
         51,756,529 
Luxembourg — 0.4%          
Eurofins Scientific SE (a)   27,700    1,759,465 
Netherlands — 3.2%          
Akzo Nobel NV   70,711    5,777,833 
EXOR NV   37,300    3,332,868 
ING Groep NV   353,774    4,777,567 
Randstad NV   34,005    1,792,120 
         15,680,388 
Portugal — 0.4%          
Galp Energia SGPS SA   180,221    2,107,214 
Republic of Korea — 1.0%          
NAVER Corp.   24,465    3,425,415 
Samsung Electronics Co. Ltd.   31,350    1,727,900 
         5,153,315 
Singapore — 0.7%          
DBS Group Holdings Ltd.   151,900    3,551,777 
Spain — 1.3%          
Amadeus IT Group SA (b)   84,400    6,434,762 
Sweden — 1.2%          
Sandvik AB   47,900    935,325 
SKF AB Class B   152,200    2,650,594 
Volvo AB Class B   121,000    2,509,775 
         6,095,694 

 

 

 

 

MassMutual Overseas Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Switzerland — 6.9%          
Cie Financiere Richemont SA Registered Class A   43,506   $7,381,822 
Julius Baer Group Ltd.   38,423    2,422,682 
Novartis AG Registered   73,530    7,421,192 
Schindler Holding AG   4,905    1,150,683 
Sika AG Registered   8,946    2,558,758 
Sonova Holding AG Registered   8,987    2,394,098 
Swatch Group AG   4,735    1,387,779 
UBS Group AG Registered   226,936    4,617,156 
Zurich Insurance Group AG   9,623    4,571,923 
         33,906,093 
Taiwan — 0.7%          
Taiwan Semiconductor Manufacturing Co. Ltd. Sponsored ADR   35,833    3,616,266 
United Kingdom — 10.7%          
Ashtead Group PLC   34,200    2,374,846 
CNH Industrial NV   321,297    4,643,915 
Compass Group PLC   290,629    8,129,836 
Diageo PLC   100,913    4,328,758 
Informa PLC   157,800    1,454,606 
Liberty Global PLC Class A (b)   94,300    1,589,898 
Lloyds Banking Group PLC   9,615,397    5,330,499 
London Stock Exchange Group PLC   37,796    4,005,117 
Reckitt Benckiser Group PLC   53,489    4,017,040 
RELX PLC   151,589    5,053,736 
Rolls-Royce Holdings PLC (b)   1,178,151    2,262,771 
Schroders PLC   590,664    3,285,820 
Smiths Group PLC   39,056    817,190 
Tesco PLC   853,615    2,697,450 
WPP PLC   217,444    2,272,952 
         52,264,434 
United States — 9.2%          
Experian PLC   130,691    5,021,873 
Holcim AG   40,984    2,755,457 
Linde PLC   12,059    4,595,444 
Nestle SA Registered   87,380    10,513,972 
QIAGEN NV (b)   62,957    2,824,083 
Roche Holding AG   33,513    10,241,422 
Schneider Electric SE   50,894    9,276,304 
         45,228,555 
           
TOTAL COMMON STOCK
(Cost $404,139,545)
        479,807,984 
           
PREFERRED STOCK — 0.6%          
Republic of Korea — 0.6%          
Samsung Electronics Co. Ltd. 1.821%          
   64,600    2,931,865 

 

 

 

 

MassMutual Overseas Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
TOTAL PREFERRED STOCK
(Cost $3,503,195)
       $2,931,865 
           
TOTAL EQUITIES
(Cost $407,642,740)
        482,739,849 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $407,642,740)
        482,739,849 
           
SHORT-TERM INVESTMENTS — 1.4%          
           
Investment of Cash Collateral from Securities Loaned — 0.4%          
State Street Navigator Securities Lending Government Money Market Portfolio (d)  1,789,182   1,789,182 
           
   Principal
Amount
      
Repurchase Agreement — 1.0%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (e)  $4,757,432   4,757,432 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $6,546,614)
        6,546,614 
           
TOTAL INVESTMENTS — 99.8%
(Cost $414,189,354) (f)
        489,286,463 
           
Other Assets/(Liabilities) — 0.2%        1,043,482 
           
NET ASSETS — 100.0%       $490,329,945 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $7,349,459 or 1.50% of net assets. The Fund received $5,910,250 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(b) Non-income producing security.
(c) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $3,659,988 or 0.75% of net assets.
(d) Represents investment of security lending cash collateral. (Note 2).
(e) Maturity value of $4,758,035. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $4,852,662.
(f) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments

 

 

   Number of
Shares
   Value 
EQUITIES — 97.6%          
           
COMMON STOCK — 96.8%          
Australia — 2.3%          
ANZ Group Holdings Ltd.   118,872   $1,884,992 
BHP Group Ltd.   116,435    3,474,074 
BHP Group Ltd. Class DI   214,722    6,377,532 
Challenger Ltd.   203,981    885,922 
Downer EDI Ltd.   654,438    1,801,769 
IGO Ltd.   544,912    5,561,703 
Macquarie Group Ltd.   18,236    2,173,097 
Rio Tinto Ltd.   12,834    987,685 
Scentre Group   1,149,001    2,029,398 
South32 Ltd.   1,775,221    4,477,124 
Suncorp Group Ltd.   208,420    1,880,190 
Worley Ltd.   428,303    4,531,573 
         36,065,059 
Austria — 0.6%          
BAWAG Group AG (a)   72,633    3,353,987 
Erste Group Bank AG   89,795    3,153,040 
Mondi PLC   52,857    807,028 
OMV AG   44,571    1,888,553 
         9,202,608 
Belgium — 0.3%          
KBC Group NV   30,137    2,107,442 
Umicore SA   69,397    1,939,933 
         4,047,375 
Brazil — 2.1%          
B3 SA - Brasil Bolsa Balcao   834,400    2,545,964 
Banco BTG Pactual SA   464,500    3,050,943 
EDP - Energias do Brasil SA   219,468    1,082,627 
Hypera SA   71,740    689,353 
Klabin SA   609,600    2,771,604 
Localiza Rent a Car SA   420,037    6,009,050 
MercadoLibre, Inc. (b)   2,669    3,161,697 
Multiplan Empreendimentos Imobiliarios SA   636,100    3,675,888 
Raia Drogasil SA   813,787    5,030,720 
Suzano SA   228,327    2,108,646 
WEG SA   127,728    1,007,003 
XP, Inc. Class A (b)   50,826    1,192,378 
         32,325,873 
Canada — 3.8%          
Brookfield Corp.   60,200    2,026,737 
Canadian National Railway Co.   24,600    2,978,322 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Canadian Pacific Kansas City Ltd. (c)   62,263   $5,028,983 
Cenovus Energy, Inc.   101,500    1,723,910 
Constellation Software, Inc. (c)   2,022    4,189,398 
Definity Financial Corp.   114,085    3,027,052 
Element Fleet Management Corp.   295,496    4,501,309 
Magna International, Inc. (c)   76,549    4,320,426 
National Bank of Canada   129,827    9,672,712 
Shopify, Inc. Class A (b)   51,509    3,327,481 
Sun Life Financial, Inc.   126,766    6,608,387 
Suncor Energy, Inc. (c)   162,953    4,780,037 
The Descartes Systems Group, Inc. (b)   17,886    1,432,847 
TMX Group Ltd.   245,375    5,521,516 
         59,139,117 
Chile — 0.4%          
Antofagasta PLC   134,577    2,507,966 
Banco de Chile   25,725,259    2,685,293 
Banco Santander Chile Sponsored ADR   46,681    879,937 
         6,073,196 
China — 10.2%          
Alibaba Group Holding Ltd. (b)   708,980    7,373,439 
Alibaba Group Holding Ltd. Sponsored ADR (b)   121,238    10,105,187 
Baidu, Inc. Class A (b)   229,950    3,930,524 
Baidu, Inc. Sponsored ADR (b)   16,232    2,222,323 
BeiGene Ltd. ADR (b)   5,727    1,021,124 
Beijing Capital International Airport Co. Ltd. Class H (b)   1,990,000    1,289,069 
Beijing Enterprises Holdings Ltd.   227,000    824,220 
Budweiser Brewing Co. APAC Ltd. (a)   1,027,600    2,649,765 
Chacha Food Co. Ltd. Class A   203,800    1,167,746 
China Construction Bank Corp. Class H   3,965,000    2,571,133 
China Oilfield Services Ltd. Class A   1,041,800    1,996,475 
China Overseas Land & Investment Ltd.   1,154,000    2,522,181 
China Resources Gas Group Ltd.   702,500    2,408,662 
China Resources Mixc Lifestyle Services Ltd. (a)   158,600    789,090 
Focus Media Information Technology Co. Ltd. Class A   2,098,900    1,968,659 
Fosun International Ltd.   1,231,000    846,873 
Fuyao Glass Industry Group Co. Ltd. Class A   887,000    4,383,405 
Glodon Co. Ltd. Class A   175,560    785,181 
Guangdong Investment Ltd.   1,316,000    1,136,359 
Hongfa Technology Co. Ltd. Class A   140,420    616,518 
Hundsun Technologies, Inc. Class A   245,000    1,500,307 
Inner Mongolia Yili Industrial Group Co. Ltd. Class A   1,100,900    4,303,790 
JD Health International, Inc. (a) (b)   262,950    1,666,945 
JD.com, Inc. Class A   35,000    595,431 
Jiumaojiu International Holdings Ltd. (a)   528,000    868,902 
JOYY, Inc. ADR   35,606    1,093,460 
KE Holdings, Inc. ADR (b)   234,906    3,488,354 
Kweichow Moutai Co. Ltd. Class A   12,398    2,890,847 
Li Auto, Inc. ADR (b)   47,400    1,663,740 
Li Auto, Inc. Class A (b)   5,200    90,863 
Li Ning Co. Ltd.   330,500    1,787,389 
Longfor Group Holdings Ltd. (a)   547,591    1,341,159 
NARI Technology Co. Ltd. Class A   1,503,645    4,791,675 
Nongfu Spring Co. Ltd. Class H (a)   142,600    788,590 
NXP Semiconductor NV   30,579    6,258,910 
PDD Holdings, Inc. (b)   13,259    916,727 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
PICC Property & Casualty Co. Ltd. Class H   1,496,000   $1,667,636 
Ping An Insurance Group Co. of China Ltd. Class H   146,000    935,449 
Pony Testing International Group Co. Ltd. Class A   106,331    579,934 
Prosus NV   168,784    12,351,279 
Prosus NV (c)   37,811    2,777,288 
Sangfor Technologies, Inc. Class A (b)   1,500    23,414 
Shandong Pharmaceutical Glass Co. Ltd. Class A   314,700    1,180,818 
Shandong Weigao Group Medical Polymer Co. Ltd. Class H   1,180,000    1,547,666 
Shenzhen Inovance Technology Co. Ltd. Class A   392,800    3,476,284 
Silergy Corp.   137,000    1,712,972 
Songcheng Performance Development Co. Ltd. Class A   334,970    572,118 
Sunny Optical Technology Group Co. Ltd.   34,400    345,708 
Tencent Holdings Ltd.   259,400    11,040,720 
Tingyi Cayman Islands Holding Corp.   738,000    1,147,077 
Tongcheng Travel Holdings Ltd. (a) (b)   1,351,200    2,835,850 
Trip.com Group Ltd. (b)   81,900    2,865,276 
Tsingtao Brewery Co. Ltd. Class H   246,000    2,241,738 
Weichai Power Co. Ltd. Class A   1,461,700    2,510,152 
Wilmar International Ltd.   992,800    2,795,826 
Xiamen Faratronic Co. Ltd. Class A   21,000    397,054 
Yangzijiang Shipbuilding Holdings Ltd.   3,270,100    3,632,996 
Yifeng Pharmacy Chain Co. Ltd. Class A   368,082    1,876,198 
Yum China Holdings, Inc.   161,000    9,096,500 
Yum China Holdings, Inc.   8,400    474,706 
Zhejiang Sanhua Intelligent Controls Co. Ltd. Class A   263,800    1,101,771 
Zhongsheng Group Holdings Ltd.   967,000    3,715,681 
ZWSOFT Co. Ltd. Guangzhou Class A   35,569    713,338 
         158,270,471 
Denmark — 1.0%          
Carlsberg AS Class B   16,438    2,628,313 
Genmab AS (b)   8,503    3,227,280 
Novo Nordisk AS Class B   28,910    4,669,363 
Novo Nordisk AS Sponsored ADR   28,069    4,542,406 
         15,067,362 
Finland — 0.6%          
Sampo OYJ Class A   154,483    6,928,391 
Stora Enso OYJ Class R   165,855    1,922,187 
         8,850,578 
France — 6.8%          
Air Liquide SA   21,734    3,896,516 
Airbus SE   36,873    5,330,189 
Alstom SA   77,367    2,309,381 
AXA SA   427,202    12,621,058 
BNP Paribas SA   117,265    7,407,558 
Capgemini SE   23,235    4,401,668 
Dassault Aviation SA   32,426    6,488,096 
Engie SA   568,819    9,461,242 
EssilorLuxottica SA   25,199    4,768,857 
Forvia (b)   64,942    1,531,868 
Kering SA   11,208    6,207,413 
L'Oreal SA   9,509    4,437,637 
Legrand SA   35,676    3,539,119 
LVMH Moet Hennessy Louis Vuitton SE   2,318    2,187,556 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Safran SA   45,620   $7,167,436 
Teleperformance   23,079    3,874,403 
Thales SA   25,380    3,799,081 
TotalEnergies SE   234,003    13,411,291 
Ubisoft Entertainment SA (b)   70,022    1,979,247 
         104,819,616 
Germany — 6.0%          
BASF SE   43,387    2,106,550 
Bayer AG Registered   156,798    8,668,731 
Brenntag SE   21,517    1,676,379 
Covestro AG (a) (b)   105,285    5,466,964 
Daimler Truck Holding AG   121,533    4,375,743 
Deutsche Boerse AG   10,855    2,004,749 
Deutsche Post AG Registered   60,849    2,971,404 
Deutsche Telekom AG Registered   427,720    9,322,989 
Evotec SE (b)   180,267    4,052,238 
Fresenius SE & Co. KGaA   140,298    3,883,455 
Heidelberg Materials AG   22,797    1,871,973 
Infineon Technologies AG   37,003    1,526,023 
KION Group AG   38,097    1,531,949 
Mercedes-Benz Group AG Registered   37,261    2,998,824 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen Registered   17,841    6,690,131 
Puma SE   74,918    4,505,248 
SAP SE   62,063    8,474,326 
Siemens AG Registered   98,708    16,429,802 
Siemens Healthineers AG (a)   63,012    3,566,305 
Zalando SE (a) (b)   41,189    1,185,062 
         93,308,845 
Guatemala — 0.1%          
Millicom International Cellular SA (b) (c)   86,303    1,319,986 
Hong Kong — 1.4%          
AIA Group Ltd.   1,285,600    13,117,213 
Hong Kong Exchanges & Clearing Ltd.   40,200    1,528,767 
Hongkong Land Holdings Ltd.   300,000    1,172,065 
Prudential PLC   463,842    6,541,257 
         22,359,302 
Hungary — 0.4%          
OTP Bank Nyrt   186,106    6,612,362 
India — 4.3%          
Ashok Leyland Ltd.   378,561    773,672 
Asian Paints Ltd.   28,052    1,148,926 
Axis Bank Ltd.   529,389    6,379,735 
HDFC Asset Management Co. Ltd. (a)   23,024    642,352 
HDFC Bank Ltd.   72,570    1,507,196 
HDFC Life Insurance Co. Ltd. (a)   496,193    3,924,301 
Hindalco Industries Ltd.   318,444    1,640,732 
Hindustan Unilever Ltd.   28,483    929,419 
Housing Development Finance Corp. Ltd.   234,994    8,091,750 
ICICI Bank Ltd.   319,024    3,643,847 
ICICI Bank Ltd. Sponsored ADR   99,443    2,295,144 
Indus Towers Ltd.   283,616    567,543 
Infosys Ltd.   158,179    2,568,303 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Kotak Mahindra Bank Ltd.   122,962   $2,763,737 
Larsen & Toubro Ltd.   106,106    3,198,943 
Maruti Suzuki India Ltd.   6,372    760,912 
NTPC Ltd.   2,230,173    5,143,513 
Petronet LNG Ltd.   857,585    2,330,657 
Reliance Industries Ltd.   159,816    4,989,170 
Shree Cement Ltd.   6,812    1,985,498 
Shriram Finance Ltd.   237,437    5,033,200 
Tata Consultancy Services Ltd.   11,420    460,247 
Tech Mahindra Ltd.   148,647    2,052,271 
Varun Beverages Ltd.   126,334    1,243,042 
Voltas Ltd.   214,065    1,989,602 
         66,063,712 
Indonesia — 0.7%          
Bank Central Asia Tbk PT   8,909,400    5,492,415 
Bank Rakyat Indonesia Persero Tbk PT   9,838,264    3,576,114 
Sarana Menara Nusantara Tbk PT   23,074,900    1,629,256 
Sumber Alfaria Trijaya Tbk PT   2,742,800    472,339 
         11,170,124 
Ireland — 0.3%          
AerCap Holdings NV (b)   38,506    2,445,901 
Kerry Group PLC Class A   21,104    2,059,153 
         4,505,054 
Italy — 1.9%          
Amplifon SpA (c)   49,318    1,810,061 
Banca Mediolanum SpA   265,439    2,406,591 
DiaSorin SpA   19,938    2,075,010 
Enel SpA   663,526    4,469,704 
Ermenegildo Zegna NV   131,238    1,664,098 
Intesa Sanpaolo SpA   458,414    1,204,856 
Leonardo SpA   192,250    2,184,228 
Moncler SpA   43,351    2,999,607 
Prysmian SpA   149,211    6,249,568 
UniCredit SpA   184,433    4,301,012 
         29,364,735 
Japan — 13.9%          
Asahi Group Holdings Ltd.   82,900    3,213,453 
Asahi Kasei Corp.   221,600    1,504,233 
Astellas Pharma, Inc.   522,500    7,786,019 
Calbee, Inc.   57,100    1,081,650 
Central Japan Railway Co.   12,300    1,542,498 
Chugai Pharmaceutical Co. Ltd.   131,000    3,725,647 
CyberAgent, Inc.   189,000    1,380,310 
Daiichi Sankyo Co. Ltd.   82,500    2,616,192 
Daikin Industries Ltd.   12,300    2,510,733 
Denso Corp.   45,600    3,074,185 
DIC Corp. (c)   55,600    1,012,725 
Disco Corp.   16,000    2,531,275 
Electric Power Development Co. Ltd. Class C   85,800    1,261,169 
Fujitsu Ltd.   26,400    3,403,672 
Hamamatsu Photonics KK   41,400    2,032,321 
Hikari Tsushin, Inc.   7,600    1,092,239 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Hitachi Ltd.   87,300   $5,403,138 
Honda Motor Co. Ltd.   34,400    1,039,175 
Isetan Mitsukoshi Holdings Ltd.   90,700    924,299 
Kao Corp. (c)   63,900    2,314,431 
Keyence Corp.   8,200    3,877,929 
Kirin Holdings Co. Ltd. (c)   87,300    1,274,958 
MatsukiyoCocokara & Co.   43,000    2,416,365 
MINEBEA MITSUMI, Inc.   62,800    1,189,218 
Mitsubishi Corp.   64,000    3,102,341 
Mitsubishi Electric Corp.   480,700    6,755,151 
Mitsubishi Estate Co. Ltd.   178,800    2,132,729 
Mitsubishi HC Capital, Inc.   223,600    1,332,319 
Mitsubishi UFJ Financial Group, Inc.   1,109,500    8,189,622 
Mitsui Fudosan Co. Ltd.   354,200    7,067,018 
Murata Manufacturing Co. Ltd.   96,000    5,508,466 
Nextage Co. Ltd. (c)   70,000    1,360,815 
Nippon Sanso Holdings Corp.   68,300    1,484,611 
Nippon Shokubai Co. Ltd.   23,400    877,439 
Nippon Steel Corp.   88,900    1,866,145 
Nippon Telegraph & Telephone Corp.   13,097,700    15,519,391 
Niterra Co. Ltd.   31,100    618,795 
NTT Data Corp.   241,600    3,382,796 
Olympus Corp.   202,200    3,200,600 
Omron Corp.   23,800    1,457,963 
ORIX Corp.   162,000    2,962,748 
Otsuka Holdings Co. Ltd. (c)   175,700    6,439,506 
Outsourcing, Inc.   153,600    1,466,140 
Panasonic Holdings Corp.   232,100    2,843,220 
Persol Holdings Co. Ltd.   207,100    3,747,852 
Recruit Holdings Co. Ltd.   118,200    3,772,178 
Renesas Electronics Corp. (b)   115,700    2,189,598 
Seven & i Holdings Co. Ltd.   195,900    8,470,309 
Shimadzu Corp.   62,000    1,919,465 
SMC Corp.   3,500    1,945,301 
Sompo Holdings, Inc.   55,300    2,479,110 
Sony Group Corp.   81,800    7,337,267 
Stanley Electric Co. Ltd.   194,200    3,937,513 
Sumitomo Corp.   277,400    5,893,777 
Sumitomo Metal Mining Co. Ltd.   49,300    1,588,983 
Sumitomo Mitsui Trust Holdings, Inc.   40,500    1,449,192 
Suzuki Motor Corp.   92,100    3,346,797 
Taiheiyo Cement Corp.   74,600    1,463,964 
Takeda Pharmaceutical Co. Ltd.   66,000    2,074,449 
TechnoPro Holdings, Inc. (c)   84,800    1,839,153 
THK Co. Ltd. (c)   43,300    891,641 
Tokio Marine Holdings, Inc.   165,600    3,823,570 
Tokyo Electron Ltd.   45,100    6,458,481 
Tosoh Corp.   21,300    252,528 
Toyota Motor Corp.   681,300    10,887,880 
Welcia Holdings Co. Ltd.   39,700    826,035 
Z Holdings Corp.   1,428,000    3,448,473 
         215,819,165 
Luxembourg — 0.3%          
ArcelorMittal SA   75,525    2,057,642 
Eurofins Scientific SE   36,233    2,301,469 
         4,359,111 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Malaysia — 0.2%          
CIMB Group Holdings Bhd   2,765,696   $3,001,360 
Mexico — 0.9%          
Becle SAB de CV (c)   156,041    382,331 
Fresnillo PLC   181,368    1,405,682 
Gruma SAB de CV Class B   176,117    2,827,935 
Grupo Aeroportuario del Pacifico SAB de CV ADR   10,106    1,806,144 
Grupo Financiero Banorte SAB de CV Class O   91,900    756,053 
Grupo Mexico SAB de CV Series B   908,517    4,368,228 
Wal-Mart de Mexico SAB de CV   635,100    2,518,954 
         14,065,327 
Mongolia — 0.3%          
Galaxy Entertainment Group Ltd. (b)   701,000    4,473,976 
Netherlands — 4.9%          
Adyen NV (a) (b)   1,327    2,299,179 
Akzo Nobel NV   133,282    10,890,542 
ASML Holding NV   35,499    25,696,695 
ASR Nederland NV   32,772    1,474,020 
Euronext NV (a)   15,503    1,054,489 
Heineken NV   34,581    3,558,793 
ING Groep NV   986,059    13,316,307 
Koninklijke Philips NV   382,474    8,276,870 
Shell PLC   193,591    5,763,899 
Shell PLC ADR   56,602    3,417,629 
         75,748,423 
Norway — 0.8%          
DNB Bank ASA   250,802    4,688,931 
Equinor ASA   176,068    5,114,723 
Storebrand ASA   298,397    2,326,366 
         12,130,020 
Peru — 0.1%          
Credicorp Ltd.   5,045    744,844 
Philippines — 0.4%          
BDO Unibank, Inc.   466,444    1,163,442 
Jollibee Foods Corp.   220,900    957,914 
SM Investments Corp.   154,430    2,591,880 
TELUS International CDA, Inc. (b)   57,509    872,131 
Universal Robina Corp.   299,400    747,301 
         6,332,668 
Poland — 0.1%          
Powszechny Zaklad Ubezpieczen SA   208,335    2,020,488 
Portugal — 0.6%          
Banco Comercial Portugues SA Class R   4,349,863    1,043,804 
Galp Energia SGPS SA   400,498    4,682,780 
Jeronimo Martins SGPS SA   136,594    3,765,948 
         9,492,532 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Republic of Korea — 3.6%          
Amorepacific Corp.   8,998   $666,548 
CJ CheilJedang Corp.   5,580    1,145,233 
Hyundai Motor Co.   18,731    2,947,217 
KT Corp.   74,036    1,677,995 
KT Corp. Sponsored ADR (c)   135,526    1,531,444 
LG Chem Ltd.   4,368    2,234,005 
Lotte Chemical Corp.   22,612    2,664,089 
NAVER Corp.   26,658    3,732,463 
POSCO Holdings, Inc.   3,555    1,054,962 
Samsung Electronics Co. Ltd.   634,003    34,943,987 
SK Hynix, Inc.   40,866    3,603,335 
         56,201,278 
Russia — 0.0%          
Gazprom PJSC (d) (e)   496,602     
Novatek PJSC (d) (e)   73,140     
TCS Group Holding, PLC (a) (b) (d) (e)   10,848     
X5 Retail Group NV GDR (a) (b) (d) (e) (f)   43,260     
          
Saudi Arabia — 0.9%          
Al Rajhi Bank   50,958    996,590 
Arabian Internet & Communications Services Co.   7,966    686,107 
Nahdi Medical Co.   39,313    1,782,363 
Saudi Basic Industries Corp.   135,373    3,184,267 
Saudi British Bank   281,631    2,869,355 
Saudi National Bank (f)   405,665    3,983,331 
         13,502,013 
Singapore — 0.8%          
DBS Group Holdings Ltd.   85,900    2,008,543 
Jardine Cycle & Carriage Ltd.   68,100    1,757,701 
Sea Ltd. ADR (b)   39,211    2,275,807 
United Overseas Bank Ltd.   326,700    6,772,511 
         12,814,562 
South Africa — 0.5%          
Capitec Bank Holdings Ltd.   26,799    2,232,113 
Clicks Group Ltd.   100,581    1,398,565 
FirstRand Ltd.   691,342    2,522,852 
Kumba Iron Ore Ltd.   55,049    1,294,944 
         7,448,474 
Spain — 0.9%          
Amadeus IT Group SA (b)   83,843    6,392,296 
Fluidra SA (c)   141,863    2,762,963 
Iberdrola SA   337,395    4,407,013 
         13,562,272 
Sweden — 1.5%          
Assa Abloy AB Class B   111,771    2,682,983 
Autoliv, Inc.   26,477    2,255,082 
Elekta AB (c)   208,671    1,613,870 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Essity AB Class B   143,581   $3,821,698 
Olink Holding AB ADR (b) (c)   49,013    918,994 
Svenska Handelsbanken AB Class A   309,181    2,593,323 
Swedbank AB Class A   247,642    4,182,415 
Telefonaktiebolaget LM Ericsson Class B   1,014,983    5,535,790 
         23,604,155 
Switzerland — 3.6%          
ABB Ltd. Registered   125,299    4,930,303 
Alcon, Inc.   103,630    8,610,164 
Barry Callebaut AG Registered   2,510    4,845,251 
DSM-Firmenich AG (b)   13,253    1,426,225 
Julius Baer Group Ltd.   103,178    6,505,672 
Lonza Group AG Registered   4,195    2,505,214 
Novartis AG Registered   114,992    11,605,844 
Partners Group Holding AG   4,670    4,397,237 
UBS Group AG Registered   162,627    3,308,748 
Zurich Insurance Group AG   16,509    7,843,488 
         55,978,146 
Taiwan — 3.7%          
ASE Technology Holding Co. Ltd.   804,000    2,867,756 
Bizlink Holding, Inc.   211,263    2,193,013 
Chailease Holding Co. Ltd.   172,000    1,132,738 
Hon Hai Precision Industry Co. Ltd.   1,212,000    4,411,382 
Largan Precision Co. Ltd.   11,000    755,660 
MediaTek, Inc.   177,000    3,928,898 
Taiwan Semiconductor Manufacturing Co. Ltd.   2,191,000    40,830,003 
Vanguard International Semiconductor Corp.   370,000    1,050,822 
         57,170,272 
Thailand — 0.6%          
Bangkok Dusit Medical Services PCL Class F   2,059,000    1,611,543 
Bumrungrad Hospital PCL   149,100    951,270 
CP ALL PCL   1,735,800    3,059,864 
Land & Houses PCL   5,716,300    1,364,888 
SCB X PCL   613,000    1,845,050 
Siam Cement PCL   44,700    406,545 
         9,239,160 
United Arab Emirates — 0.1%          
First Abu Dhabi Bank PJSC   343,659    1,281,835 
United Kingdom — 8.7%          
Ashtead Group PLC   96,646    6,711,092 
AstraZeneca PLC Sponsored ADR   282,159    20,194,120 
Barclays PLC   1,088,626    2,126,454 
Bridgepoint Group PLC (a)   755,345    1,942,180 
British American Tobacco PLC   57,131    1,895,403 
Bunzl PLC   50,564    1,925,135 
CK Hutchison Holdings Ltd.   259,000    1,585,319 
Compass Group PLC   161,739    4,524,364 
DCC PLC   32,319    1,806,476 
Diageo PLC   96,492    4,139,115 
Dowlais Group PLC (b)   494,221    796,773 
Dr Martens PLC   235,578    365,971 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Great Portland Estates PLC   362,653   $1,916,468 
HSBC Holdings PLC   695,778    5,503,188 
Imperial Brands PLC   181,500    4,013,831 
Informa PLC   228,947    2,110,442 
InterContinental Hotels Group PLC   32,878    2,270,432 
Investec PLC   199,732    1,122,566 
Johnson Matthey PLC   82,176    1,827,982 
Kingfisher PLC   1,055,364    3,104,849 
Lloyds Banking Group PLC   8,371,340    4,640,830 
London Stock Exchange Group PLC   46,795    4,958,711 
Melrose Industries PLC   479,708    3,087,993 
National Grid PLC   226,708    2,995,746 
Next PLC   48,462    4,255,845 
Pearson PLC   153,071    1,613,154 
Persimmon PLC   88,512    1,153,920 
Rightmove PLC   219,866    1,460,554 
Rolls-Royce Holdings PLC (b)   2,228,336    4,279,770 
Smith & Nephew PLC   221,964    3,581,573 
Smiths Group PLC   98,580    2,062,644 
Standard Chartered PLC   161,983    1,412,674 
Taylor Wimpey PLC   1,130,819    1,477,092 
Unilever PLC   107,614    5,602,303 
Unilever PLC   257,446    13,423,880 
Vodafone Group PLC   1,704,363    1,608,099 
Vodafone Group PLC Sponsored ADR   181,194    1,712,283 
WPP PLC   596,651    6,236,819 
         135,446,050 
United States — 6.2%          
Amcor PLC   226,360    2,252,361 
Broadcom, Inc.   6,477    5,618,344 
BRP, Inc.   19,421    1,641,787 
Canva, Inc. (Acquired 8/16/21-11/04/21, Cost $652,842) (b) (d) (e) (g)   383    271,765 
Globant SA (b)   5,500    988,460 
GSK PLC Sponsored ADR   184,357    6,570,484 
Holcim AG   39,174    2,633,766 
Las Vegas Sands Corp. (b)   29,600    1,716,800 
Linde PLC   13,238    5,045,435 
Mastercard, Inc. Class A   7,106    2,794,790 
Nestle SA Registered   168,472    20,271,343 
Roche Holding AG   65,859    20,126,214 
Samsonite International SA (a) (b)   450,000    1,279,329 
Sanofi   136,090    14,589,259 
Signify NV (a)   63,377    1,777,138 
Stellantis NV   147,978    2,600,902 
Tenaris SA   151,793    2,271,385 
Waste Connections, Inc.   21,476    3,069,565 
         95,519,127 
           
TOTAL COMMON STOCK
(Cost $1,386,244,684)
        1,498,520,633 
           
PREFERRED STOCK — 0.8%          
Brazil — 0.2%          
Banco Bradesco SA 4.052%          
   772,100    2,652,572 

 

 

 

 

MassMutual Select T. Rowe Price International Equity Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Germany — 0.6%          
Dr Ing hc F Porsche AG 0.888%          
(a)   37,532   $4,658,292 
Sartorius AG 0.4538%          
   7,676    2,632,291 
Volkswagen AG 22.618%          
   15,796    2,118,678 
         9,409,261 
United States — 0.0%          
Canva, Inc., Series A, (Acquired 11/04/21, Cost $39,209)          
(b) (d) (e) (g)   23    16,320 
           
TOTAL PREFERRED STOCK
(Cost $10,523,717)
        12,078,153 
           
TOTAL EQUITIES
(Cost $1,396,768,401)
        1,510,598,786 
           
           
RIGHTS — 0.0%          
Russia — 0.0%          
Moscow Exchange (b) (d) (e)   83,990     
Moscow Exchange (b) (d) (e)   1,181,630     
          
           
TOTAL RIGHTS
(Cost $2,619,126)
         
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,399,387,527)
        1,510,598,786 
           
SHORT-TERM INVESTMENTS — 2.4%          
Investment of Cash Collateral from Securities Loaned — 0.7%          
State Street Navigator Securities Lending Government Money Market Portfolio (h)   11,533,155    11,533,155 
           
   Principal
Amount
    
Mutual Fund — 1.6%          
T. Rowe Price Government Reserve Investment Fund  $25,569,338    25,569,338 
Repurchase Agreement — 0.1%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (i)  1,094,313   1,094,313 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $38,196,806)
        38,196,806 
           
TOTAL INVESTMENTS — 100.0%
(Cost $1,437,584,333) (j)
        1,548,795,592 
           
Other Assets/(Liabilities) — (0.0)%        (427,104) 
           
NET ASSETS — 100.0%       $1,548,368,488 

 

Abbreviation Legend

ADR American Depositary Receipt
GDR Global Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $42,089,879 or 2.72% of net assets.
(b) Non-income producing security.
(c) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $31,206,532 or 2.02% of net assets. The Fund received $21,051,648 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(d) Investment is valued using significant unobservable inputs.
(e) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $288,085 or 0.02% of net assets.
(f) A portion of this security is purchased on a when-issued, delayed-delivery or forward commitment basis.
(g) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $288,085 or 0.02% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(h) Represents investment of security lending cash collateral. (Note 2).
(i) Maturity value of $1,094,451. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,116,277.
(j) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual 20/80 Allocation Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 21.3%          
DFA Commodity Strategy Portfolio   193,714   $867,839 
Invesco Real Estate Fund, Class R6   42,483    703,094 
MassMutual Blue Chip Growth Fund, Class I (a)   157,040    3,484,723 
MassMutual Diversified Value Fund, Class I (a)   195,728    2,192,148 
MassMutual Equity Opportunities Fund, Class I (a)   287,028    4,865,131 
MassMutual Fundamental Value Fund, Class I (a)   234,280    2,003,096 
MassMutual Growth Opportunities Fund, Class I (a)   171,185    936,382 
MassMutual International Equity Fund, Class I (a)   151,286    1,281,397 
MassMutual Mid Cap Growth Fund, Class I (a)   55,106    1,089,454 
MassMutual Mid Cap Value Fund, Class I (a)   95,945    1,067,866 
MassMutual Overseas Fund, Class I (a)   301,080    2,607,350 
MassMutual Small Cap Growth Equity Fund, Class I (a)   21,076    292,951 
MassMutual Small Cap Value Equity Fund, Class I (a)   63,681    583,319 
MassMutual Strategic Emerging Markets Fund, Class I (a)   51,063    511,651 
MM Equity Asset Fund, Class I (a)   1,183,717    9,019,925 
Vanguard Developed Markets Index Fund, Admiral Shares   179,314    2,659,233 
Vanguard Emerging Markets Stock Index Fund, Admiral Shares   15,750    531,557 
Vanguard Mid-Cap Index Fund, Admiral Shares   5,430    1,480,515 
Vanguard Small-Cap Index Fund, Admiral Shares   6,178    588,837 
         36,766,468 
Fixed Income Funds — 78.7%          
Invesco International Bond Fund, Class R6   1,600,235    6,945,019 
MassMutual Core Bond Fund, Class I (a)   3,107,835    28,156,988 
MassMutual Global Floating Rate Fund, Class I (a)   24,145    210,300 
MassMutual High Yield Fund, Class I (a)   63,568    483,115 
MassMutual Inflation-Protected and Income Fund, Class I (a)   145,350    1,356,113 
MassMutual Short-Duration Bond Fund, Class I (a)   1,570,731    13,586,821 
MassMutual Strategic Bond Fund, Class I (a)   3,872,371    34,038,137 
MassMutual Total Return Bond Fund, Class I (a)   4,605,911    39,288,420 
Vanguard Long-Term Treasury Index Fund, Admiral Shares   8,462    179,984 
Vanguard Total Bond Market Index Fund, Institutional Shares   1,198,525    11,445,911 
         135,690,808 
           
TOTAL MUTUAL FUNDS
(Cost $190,946,454)
        172,457,276 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $190,946,454)
        172,457,276 
           
TOTAL INVESTMENTS — 100.0%
(Cost $190,946,454) (b)
        172,457,276 
           
Other Assets/(Liabilities) — (0.0)%        (62,051) 
           
NET ASSETS — 100.0%       $172,395,225 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual 40/60 Allocation Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 41.8%          
DFA Commodity Strategy Portfolio   201,476   $902,612 
Invesco Real Estate Fund, Class R6   86,803    1,436,591 
MassMutual Blue Chip Growth Fund, Class I (a)   320,908    7,120,941 
MassMutual Diversified Value Fund, Class I (a)   399,948    4,479,414 
MassMutual Equity Opportunities Fund, Class I (a)   586,367    9,938,917 
MassMutual Fundamental Value Fund, Class I (a)   476,426    4,073,441 
MassMutual Growth Opportunities Fund, Class I (a)   345,635    1,890,625 
MassMutual International Equity Fund, Class I (a)   305,450    2,587,162 
MassMutual Mid Cap Growth Fund, Class I (a)   112,641    2,226,904 
MassMutual Mid Cap Value Fund, Class I (a)   196,079    2,182,358 
MassMutual Overseas Fund, Class I (a)   607,468    5,260,675 
MassMutual Small Cap Growth Equity Fund, Class I (a)   43,006    597,781 
MassMutual Small Cap Value Equity Fund, Class I (a)   129,957    1,190,410 
MassMutual Strategic Emerging Markets Fund, Class I (a)   103,068    1,032,744 
MM Equity Asset Fund, Class I (a)   2,423,290    18,465,471 
Vanguard Developed Markets Index Fund, Institutional Shares   372,083    5,525,438 
Vanguard Emerging Markets Stock Index Fund, Admiral Shares   32,731    1,104,673 
Vanguard Mid-Cap Index Fund, Admiral Shares   11,282    3,076,102 
Vanguard Small-Cap Index Fund, Admiral Shares   12,836    1,223,428 
         74,315,687 
Fixed Income Funds — 58.3%          
Invesco International Bond Fund, Class R6   1,227,648    5,327,992 
MassMutual Core Bond Fund, Class I (a)   2,366,295    21,438,634 
MassMutual Global Floating Rate Fund, Class I (a)   18,779    163,567 
MassMutual High Yield Fund, Class I (a)   48,568    369,117 
MassMutual Inflation-Protected and Income Fund, Class I (a)   110,922    1,034,907 
MassMutual Short-Duration Bond Fund, Class I (a)   1,199,464    10,375,366 
MassMutual Strategic Bond Fund, Class I (a)   2,947,685    25,910,150 
MassMutual Total Return Bond Fund, Class I (a)   3,505,537    29,902,227 
Vanguard Long-Term Treasury Index Fund, Admiral Shares   17,301    367,995 
Vanguard Total Bond Market Index Fund, Institutional Shares   929,757    8,879,177 
         103,769,132 
           
TOTAL MUTUAL FUNDS
(Cost $197,283,119)
        178,084,819 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $197,283,119)
        178,084,819 
           
TOTAL INVESTMENTS — 100.1%
(Cost $197,283,119) (b)
        178,084,819 
           
Other Assets/(Liabilities) — (0.1)%        (177,219) 
           
NET ASSETS — 100.0%       $177,907,600 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual 60/40 Allocation Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 61.8%          
DFA Commodity Strategy Portfolio   191,692   $858,780 
Invesco Real Estate Fund, Class R6   122,956    2,034,914 
MassMutual Blue Chip Growth Fund, Class I (a)   455,289    10,102,857 
MassMutual Diversified Value Fund, Class I (a)   569,939    6,383,322 
MassMutual Equity Opportunities Fund, Class I (a)   830,944    14,084,505 
MassMutual Fundamental Value Fund, Class I (a)   676,672    5,785,542 
MassMutual Growth Opportunities Fund, Class I (a)   491,172    2,686,710 
MassMutual International Equity Fund, Class I (a)   431,595    3,655,610 
MassMutual Mid Cap Growth Fund, Class I (a)   159,837    3,159,987 
MassMutual Mid Cap Value Fund, Class I (a)   279,404    3,109,764 
MassMutual Overseas Fund, Class I (a)   860,049    7,448,029 
MassMutual Small Cap Growth Equity Fund, Class I (a)   61,016    848,123 
MassMutual Small Cap Value Equity Fund, Class I (a)   184,444    1,689,508 
MassMutual Strategic Emerging Markets Fund, Class I (a)   145,997    1,462,895 
MM Equity Asset Fund, Class I (a)   3,437,271    26,192,007 
Vanguard Developed Markets Index Fund, Institutional Shares   531,189    7,888,153 
Vanguard Emerging Markets Stock Index Fund, Admiral Shares   46,747    1,577,700 
Vanguard Mid-Cap Index Fund, Admiral Shares   16,108    4,392,023 
Vanguard Small-Cap Index Fund, Admiral Shares   18,328    1,746,878 
         105,107,307 
Fixed Income Funds — 38.3%          
Invesco International Bond Fund, Class R6   775,388    3,365,184 
MassMutual Core Bond Fund, Class I (a)   1,477,189    13,383,330 
MassMutual Global Floating Rate Fund, Class I (a)   11,869    103,382 
MassMutual High Yield Fund, Class I (a)   30,578    232,392 
MassMutual Inflation-Protected and Income Fund, Class I (a)   69,978    652,891 
MassMutual Short-Duration Bond Fund, Class I (a)   752,946    6,512,986 
MassMutual Strategic Bond Fund, Class I (a)   1,841,167    16,183,854 
MassMutual Total Return Bond Fund, Class I (a)   2,189,746    18,678,531 
Vanguard Long-Term Treasury Index Fund, Admiral Shares   24,438    519,789 
Vanguard Total Bond Market Index Fund, Institutional Shares   584,679    5,583,683 
         65,216,022 
           
TOTAL MUTUAL FUNDS
(Cost $182,970,606)
        170,323,329 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $182,970,606)
        170,323,329 
           
TOTAL INVESTMENTS — 100.1%
(Cost $182,970,606) (b)
        170,323,329 
           
Other Assets/(Liabilities) — (0.1)%        (141,987) 
           
NET ASSETS — 100.0%       $170,181,342 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual 80/20 Allocation Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 81.3%          
DFA Commodity Strategy Portfolio   141,932   $635,857 
Invesco Real Estate Fund, Class R6   124,802    2,065,480 
MassMutual Blue Chip Growth Fund, Class I (a)   462,953    10,272,916 
MassMutual Diversified Value Fund, Class I (a)   575,988    6,451,062 
MassMutual Equity Opportunities Fund, Class I (a)   843,632    14,299,557 
MassMutual Fundamental Value Fund, Class I (a)   688,030    5,882,652 
MassMutual Growth Opportunities Fund, Class I (a)   497,334    2,720,417 
MassMutual International Equity Fund, Class I (a)   447,477    3,790,132 
MassMutual Mid Cap Growth Fund, Class I (a)   162,156    3,205,822 
MassMutual Mid Cap Value Fund, Class I (a)   282,362    3,142,689 
MassMutual Overseas Fund, Class I (a)   892,045    7,725,108 
MassMutual Small Cap Growth Equity Fund, Class I (a)   61,890    860,268 
MassMutual Small Cap Value Equity Fund, Class I (a)   187,042    1,713,305 
MassMutual Strategic Emerging Markets Fund, Class I (a)   151,357    1,516,596 
MM Equity Asset Fund, Class I (a)   3,500,401    26,673,053 
Vanguard Developed Markets Index Fund, Institutional Shares   524,956    7,795,595 
Vanguard Emerging Markets Stock Index Fund, Admiral Shares   46,189    1,558,896 
Vanguard Mid-Cap Index Fund, Admiral Shares   15,918    4,340,153 
Vanguard Small-Cap Index Fund, Admiral Shares   18,112    1,726,225 
         106,375,783 
Fixed Income Funds — 18.8%          
Invesco International Bond Fund, Class R6   294,544    1,278,321 
MassMutual Core Bond Fund, Class I (a)   546,651    4,952,659 
MassMutual Global Floating Rate Fund, Class I (a)   7,521    65,511 
MassMutual High Yield Fund, Class I (a)   8,486    64,494 
MassMutual Inflation-Protected and Income Fund, Class I (a)   26,759    249,666 
MassMutual Short-Duration Bond Fund, Class I (a)   282,824    2,446,426 
MassMutual Strategic Bond Fund, Class I (a)   683,140    6,004,799 
MassMutual Total Return Bond Fund, Class I (a)   812,319    6,929,078 
Vanguard Long-Term Treasury Index Fund, Admiral Shares   24,121    513,056 
Vanguard Total Bond Market Index Fund, Admiral Shares   210,569    2,010,935 
         24,514,945 
           
TOTAL MUTUAL FUNDS
(Cost $137,147,769)
        130,890,728 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $137,147,769)
        130,890,728 
           
TOTAL INVESTMENTS — 100.1%
(Cost $137,147,769) (b)
        130,890,728 
           
Other Assets/(Liabilities) — (0.1)%        (98,654) 
           
NET ASSETS — 100.0%       $130,792,074 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan In Retirement Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.2%          
           
Equity Funds — 37.4%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   34,454   $534,384 
JPMorgan Large Cap Value Fund, Class R6   57,544    1,070,313 
MassMutual Blue Chip Growth Fund, Class I (a)   69,785    1,548,524 
MassMutual Diversified Value Fund, Class I (a)   81,252    910,022 
MassMutual Equity Opportunities Fund, Class I (a)   145,026    2,458,197 
MassMutual Fundamental Value Fund, Class I (a)   142,959    1,222,297 
MassMutual Growth Opportunities Fund, Class I (a)   85,561    468,020 
MassMutual International Equity Fund, Class I (a)   191,196    1,619,427 
MassMutual Mid Cap Growth Fund, Class I (a)   41,454    819,544 
MassMutual Mid Cap Value Fund, Class I (a)   72,368    805,455 
MassMutual Overseas Fund, Class I (a)   330,077    2,858,466 
MassMutual Small Cap Growth Equity Fund, Class I (a)   42,571    591,732 
MassMutual Small Cap Value Equity Fund, Class I (a)   85,615    784,234 
MassMutual Strategic Emerging Markets Fund, Class I (a)   98,306    985,028 
MM Equity Asset Fund, Class I (a)   1,010,809    7,702,368 
Vanguard Developed Markets Index Fund, Admiral Shares   260,084    3,857,047 
Vanguard Mid-Cap Index Fund, Admiral Shares   2,665    726,636 
Vanguard Real Estate Index Fund, Admiral Shares   5,736    679,093 
Vanguard Small-Cap Index Fund, Admiral Shares   6,472    616,891 
         30,257,678 
Fixed Income Funds — 62.8%          
JPMorgan Emerging Markets Debt Fund, Class R6   6,877    40,920 
JPMorgan U.S. Government Money Market Fund, Class IM   7,936,257    7,936,257 
MassMutual Core Bond Fund, Class I (a)   2,008,754    18,199,308 
MassMutual Global Floating Rate Fund, Class I (a)   4,889    42,583 
MassMutual High Yield Fund, Class I (a)   613,280    4,660,929 
MassMutual Inflation-Protected and Income Fund, Class I (a)   323,559    3,018,808 
MassMutual Strategic Bond Fund, Class I (a)   696,992    6,126,561 
MassMutual Total Return Bond Fund, Class I (a)   714,832    6,097,514 
Vanguard Total Bond Market Index Fund, Institutional Shares   495,609    4,733,066 
         50,855,946 
           
TOTAL MUTUAL FUNDS
(Cost $86,879,323)
        81,113,624 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $86,879,323)
        81,113,624 
           
TOTAL INVESTMENTS — 100.2%
(Cost $86,879,323) (b)
       81,113,624 
           
Other Assets/(Liabilities) — (0.2)%        (148,826) 
           
NET ASSETS — 100.0%       $80,964,798 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2020 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 37.3%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   63,866   $990,568 
JPMorgan Large Cap Value Fund, Class R6   107,994    2,008,686 
MassMutual Blue Chip Growth Fund, Class I (a)   131,473    2,917,376 
MassMutual Diversified Value Fund, Class I (a)   153,068    1,714,359 
MassMutual Equity Opportunities Fund, Class I (a)   272,265    4,614,885 
MassMutual Fundamental Value Fund, Class I (a)   269,222    2,301,845 
MassMutual Growth Opportunities Fund, Class I (a)   161,310    882,368 
MassMutual International Equity Fund, Class I (a)   353,862    2,997,214 
MassMutual Mid Cap Growth Fund, Class I (a)   78,153    1,545,078 
MassMutual Mid Cap Value Fund, Class I (a)   136,340    1,517,465 
MassMutual Overseas Fund, Class I (a)   610,252    5,284,781 
MassMutual Small Cap Growth Equity Fund, Class I (a)   80,191    1,114,651 
MassMutual Small Cap Value Equity Fund, Class I (a)   161,263    1,477,171 
MassMutual Strategic Emerging Markets Fund, Class I (a)   181,771    1,821,347 
MM Equity Asset Fund, Class I (a)   1,903,191    14,502,316 
Vanguard Developed Markets Index Fund, Institutional Shares   506,607    7,523,116 
Vanguard Mid-Cap Index Fund, Admiral Shares   5,198    1,417,203 
Vanguard Real Estate Index Fund, Admiral Shares   11,188    1,324,550 
Vanguard Small-Cap Index Fund, Admiral Shares   12,624    1,203,169 
         57,158,148 
Fixed Income Funds — 62.8%          
JPMorgan Emerging Markets Debt Fund, Class R6   12,998    77,340 
JPMorgan U.S. Government Money Market Fund, Class IM   14,882,130    14,882,130 
MassMutual Core Bond Fund, Class I (a)   3,780,959    34,255,491 
MassMutual Global Floating Rate Fund, Class I (a)   9,535    83,054 
MassMutual High Yield Fund, Class I (a)   1,154,757    8,776,152 
MassMutual Inflation-Protected and Income Fund, Class I (a)   614,299    5,731,413 
MassMutual Strategic Bond Fund, Class I (a)   1,311,989    11,532,381 
MassMutual Total Return Bond Fund, Class I (a)   1,345,414    11,476,380 
Vanguard Total Bond Market Index Fund, Institutional Shares   966,616    9,231,183 
         96,045,524 
           
TOTAL MUTUAL FUNDS
(Cost $163,640,486)
        153,203,672 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $163,640,486)
        153,203,672 
           
TOTAL INVESTMENTS — 100.1%
(Cost $163,640,486) (b)
       153,203,672 
           
Other Assets/(Liabilities) — (0.1)%        (213,236) 
           
NET ASSETS — 100.0%       $152,990,436 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2025 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 46.2%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   114,493   $1,775,788 
JPMorgan Large Cap Value Fund, Class R6   125,980    2,343,227 
MassMutual Blue Chip Growth Fund, Class I (a)   152,065    3,374,315 
MassMutual Diversified Value Fund, Class I (a)   178,372    1,997,768 
MassMutual Equity Opportunities Fund, Class I (a)   317,320    5,378,578 
MassMutual Fundamental Value Fund, Class I (a)   311,348    2,662,028 
MassMutual Growth Opportunities Fund, Class I (a)   186,369    1,019,437 
MassMutual International Equity Fund, Class I (a)   402,640    3,410,362 
MassMutual Mid Cap Growth Fund, Class I (a)   88,301    1,745,714 
MassMutual Mid Cap Value Fund, Class I (a)   154,732    1,722,168 
MassMutual Overseas Fund, Class I (a)   694,880    6,017,660 
MassMutual Small Cap Growth Equity Fund, Class I (a)   90,997    1,264,855 
MassMutual Small Cap Value Equity Fund, Class I (a)   183,690    1,682,599 
MassMutual Strategic Emerging Markets Fund, Class I (a)   326,161    3,268,131 
MM Equity Asset Fund, Class I (a)   2,200,941    16,771,168 
Vanguard Developed Markets Index Fund, Institutional Shares   558,553    8,294,505 
Vanguard Mid-Cap Index Fund, Admiral Shares   5,796    1,580,430 
Vanguard Real Estate Index Fund, Admiral Shares   12,392    1,467,130 
Vanguard Small-Cap Index Fund, Admiral Shares   14,093    1,343,249 
         67,119,112 
Fixed Income Funds — 53.9%          
JPMorgan Emerging Markets Debt Fund, Class R6   11,926    70,960 
JPMorgan U.S. Government Money Market Fund, Class IM   8,236,034    8,236,034 
MassMutual Core Bond Fund, Class I (a)   3,214,809    29,126,168 
MassMutual Global Floating Rate Fund, Class I (a)   8,611    75,002 
MassMutual High Yield Fund, Class I (a)   1,330,879    10,114,681 
MassMutual Inflation-Protected and Income Fund, Class I (a)   370,313    3,455,025 
MassMutual Strategic Bond Fund, Class I (a)   1,116,734    9,816,093 
MassMutual Total Return Bond Fund, Class I (a)   1,145,298    9,769,389 
Vanguard Total Bond Market Index Fund, Institutional Shares   808,920    7,725,187 
         78,388,539 
           
TOTAL MUTUAL FUNDS
(Cost $156,101,634)
        145,507,651 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $156,101,634)
        145,507,651 
           
TOTAL INVESTMENTS — 100.1%
(Cost $156,101,634) (b)
       145,507,651 
           
Other Assets/(Liabilities) — (0.1)%        (140,625) 
           
NET ASSETS — 100.0%       $145,367,026 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2030 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 59.1%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   367,543   $5,700,591 
JPMorgan Large Cap Value Fund, Class R6   373,001    6,937,826 
MassMutual Blue Chip Growth Fund, Class I (a)   455,858    10,115,485 
MassMutual Diversified Value Fund, Class I (a)   528,279    5,916,720 
MassMutual Equity Opportunities Fund, Class I (a)   939,963    15,932,368 
MassMutual Fundamental Value Fund, Class I (a)   932,902    7,976,313 
MassMutual Growth Opportunities Fund, Class I (a)   557,348    3,048,695 
MassMutual International Equity Fund, Class I (a)   1,206,024    10,215,019 
MassMutual Mid Cap Growth Fund, Class I (a)   261,614    5,172,116 
MassMutual Mid Cap Value Fund, Class I (a)   456,780    5,083,960 
MassMutual Overseas Fund, Class I (a)   2,096,824    18,158,498 
MassMutual Small Cap Growth Equity Fund, Class I (a)   269,279    3,742,974 
MassMutual Small Cap Value Equity Fund, Class I (a)   543,023    4,974,088 
MassMutual Strategic Emerging Markets Fund, Class I (a)   1,047,275    10,493,694 
MM Equity Asset Fund, Class I (a)   6,596,237    50,263,323 
Vanguard Developed Markets Index Fund, Institutional Shares   1,628,521    24,183,538 
Vanguard Mid-Cap Index Fund, Admiral Shares   16,759    4,569,453 
Vanguard Real Estate Index Fund, Institutional Shares   231,366    4,238,632 
Vanguard Small-Cap Index Fund, Admiral Shares   40,828    3,891,341 
         200,614,634 
Fixed Income Funds — 41.0%          
JPMorgan Emerging Markets Debt Fund, Class R6   28,277    168,248 
JPMorgan U.S. Government Money Market Fund, Class IM   11,322,942    11,322,942 
MassMutual Core Bond Fund, Class I (a)   6,259,040    56,706,902 
MassMutual High Yield Fund, Class I (a)   2,280,714    17,333,430 
MassMutual Inflation-Protected and Income Fund, Class I (a)   71,862    670,473 
MassMutual Strategic Bond Fund, Class I (a)   2,174,085    19,110,208 
MassMutual Total Return Bond Fund, Class I (a)   2,229,818    19,020,348 
Vanguard Total Bond Market Index Fund, Institutional Shares   1,537,891    14,686,859 
         139,019,410 
           
TOTAL MUTUAL FUNDS
(Cost $362,962,844)
        339,634,044 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $362,962,844)
        339,634,044 
           
TOTAL INVESTMENTS — 100.1%
(Cost $362,962,844) (b)
        339,634,044 
           
Other Assets/(Liabilities) — (0.1)%        (313,081) 
           
NET ASSETS — 100.0%       $339,320,963 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2035 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 71.5%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   388,020   $6,018,189 
JPMorgan Large Cap Value Fund, Class R6   209,043    3,888,201 
MassMutual Blue Chip Growth Fund, Class I (a)   380,403    8,441,131 
MassMutual Diversified Value Fund, Class I (a)   295,530    3,309,937 
MassMutual Equity Opportunities Fund, Class I (a)   328,625    5,570,195 
MassMutual Fundamental Value Fund, Class I (a)   455,224    3,892,169 
MassMutual Growth Opportunities Fund, Class I (a)   516,885    2,827,358 
MassMutual International Equity Fund, Class I (a)   859,022    7,275,917 
MassMutual Mid Cap Growth Fund, Class I (a)   145,479    2,876,124 
MassMutual Mid Cap Value Fund, Class I (a)   254,858    2,836,569 
MassMutual Overseas Fund, Class I (a)   1,356,877    11,750,558 
MassMutual Small Cap Growth Equity Fund, Class I (a)   149,215    2,074,092 
MassMutual Small Cap Value Equity Fund, Class I (a)   302,104    2,767,270 
MassMutual Strategic Emerging Markets Fund, Class I (a)   320,606    3,212,471 
MM Equity Asset Fund, Class I (a)   3,673,442    27,991,626 
Vanguard Developed Markets Index Fund, Institutional Shares   697,088    10,351,751 
Vanguard Mid-Cap Index Fund, Admiral Shares   9,154    2,495,797 
Vanguard Real Estate Index Fund, Admiral Shares   19,561    2,315,866 
Vanguard Small-Cap Index Fund, Admiral Shares   22,224    2,118,130 
         112,013,351 
Fixed Income Funds — 28.6%          
JPMorgan Emerging Markets Debt Fund, Class R6   12,999    77,347 
JPMorgan U.S. Government Money Market Fund, Class IM   4,659,787    4,659,787 
MassMutual Core Bond Fund, Class I (a)   861,699    7,806,997 
MassMutual High Yield Fund, Class I (a)   626,384    4,760,517 
MassMutual Strategic Bond Fund, Class I (a)   1,457,551    12,811,877 
MassMutual Total Return Bond Fund, Class I (a)   1,494,474    12,747,863 
Vanguard Total Bond Market Index Fund, Admiral Shares   207,448    1,981,126 
         44,845,514 
           
TOTAL MUTUAL FUNDS
(Cost $165,144,290)
        156,858,865 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $165,144,290)
        156,858,865 
           
TOTAL INVESTMENTS — 100.1%
(Cost $165,144,290) (b)
        156,858,865 
           
Other Assets/(Liabilities) — (0.1)%        (152,095) 
           
NET ASSETS — 100.0%       $156,706,770 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2040 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 81.3%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   718,912   $11,150,329 
JPMorgan Large Cap Value Fund, Class R6   394,711    7,341,626 
MassMutual Blue Chip Growth Fund, Class I (a)   718,746    15,948,983 
MassMutual Diversified Value Fund, Class I (a)   559,055    6,261,411 
MassMutual Equity Opportunities Fund, Class I (a)   620,857    10,523,523 
MassMutual Fundamental Value Fund, Class I (a)   859,300    7,347,019 
MassMutual Growth Opportunities Fund, Class I (a)   978,271    5,351,143 
MassMutual International Equity Fund, Class I (a)   1,656,941    14,034,293 
MassMutual Mid Cap Growth Fund, Class I (a)   277,437    5,484,925 
MassMutual Mid Cap Value Fund, Class I (a)   484,602    5,393,625 
MassMutual Overseas Fund, Class I (a)   2,610,100    22,603,467 
MassMutual Small Cap Growth Equity Fund, Class I (a)   283,264    3,937,367 
MassMutual Small Cap Value Equity Fund, Class I (a)   571,779    5,237,498 
MassMutual Strategic Emerging Markets Fund, Class I (a)   594,531    5,957,202 
MM Equity Asset Fund, Class I (a)   6,939,844    52,881,610 
Vanguard Developed Markets Index Fund, Institutional Shares   1,350,400    20,053,443 
Vanguard Mid-Cap Index Fund, Admiral Shares   17,428    4,752,032 
Vanguard Real Estate Index Fund, Admiral Shares   37,606    4,452,140 
Vanguard Small-Cap Index Fund, Admiral Shares   42,183    4,020,506 
         212,732,142 
Fixed Income Funds — 18.8%          
JPMorgan Emerging Markets Debt Fund, Class R6   219,217    1,304,340 
JPMorgan U.S. Government Money Market Fund, Class IM   6,446,251    6,446,251 
MassMutual Core Bond Fund, Class I (a)   752,050    6,813,577 
MassMutual High Yield Fund, Class I (a)   957,641    7,278,069 
MassMutual Strategic Bond Fund, Class I (a)   1,454,526    12,785,282 
MassMutual Total Return Bond Fund, Class I (a)   1,491,884    12,725,768 
Vanguard Total Bond Market Index Fund, Admiral Shares   181,687    1,735,108 
         49,088,395 
           
TOTAL MUTUAL FUNDS
(Cost $274,078,604)
        261,820,537 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $274,078,604)
        261,820,537 
           
TOTAL INVESTMENTS — 100.1%
(Cost $274,078,604) (b)
        261,820,537 
           
Other Assets/(Liabilities) — (0.1)%        (217,223) 
           
NET ASSETS — 100.0%       $261,603,314 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2045 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 89.0%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   369,141   $5,725,383 
JPMorgan Large Cap Value Fund, Class R6   194,535    3,618,350 
MassMutual Blue Chip Growth Fund, Class I (a)   356,753    7,916,355 
MassMutual Diversified Value Fund, Class I (a)   275,533    3,085,972 
MassMutual Equity Opportunities Fund, Class I (a)   305,996    5,186,632 
MassMutual Fundamental Value Fund, Class I (a)   426,611    3,647,521 
MassMutual Growth Opportunities Fund, Class I (a)   483,279    2,643,538 
MassMutual International Equity Fund, Class I (a)   811,947    6,877,188 
MassMutual Mid Cap Growth Fund, Class I (a)   136,722    2,702,997 
MassMutual Mid Cap Value Fund, Class I (a)   238,837    2,658,254 
MassMutual Overseas Fund, Class I (a)   1,293,327    11,200,209 
MassMutual Small Cap Growth Equity Fund, Class I (a)   139,955    1,945,376 
MassMutual Small Cap Value Equity Fund, Class I (a)   281,765    2,580,969 
MassMutual Strategic Emerging Markets Fund, Class I (a)   306,057    3,066,689 
MM Equity Asset Fund, Class I (a)   3,443,171    26,236,963 
Vanguard Developed Markets Index Fund, Institutional Shares   659,385    9,791,874 
Vanguard Mid-Cap Index Fund, Admiral Shares   8,591    2,342,343 
Vanguard Real Estate Index Fund, Admiral Shares   18,599    2,201,905 
Vanguard Small-Cap Index Fund, Admiral Shares   20,732    1,975,983 
         105,404,501 
Fixed Income Funds — 11.1%          
JPMorgan Emerging Markets Debt Fund, Class R6   72,858    433,508 
JPMorgan U.S. Government Money Market Fund, Class IM   2,900,807    2,900,807 
MassMutual Core Bond Fund, Class I (a)   180,645    1,636,640 
MassMutual High Yield Fund, Class I (a)   212,508    1,615,060 
MassMutual Strategic Bond Fund, Class I (a)   349,482    3,071,946 
MassMutual Total Return Bond Fund, Class I (a)   358,620    3,059,027 
Vanguard Total Bond Market Index Fund, Admiral Shares   43,252    413,058 
         13,130,046 
           
TOTAL MUTUAL FUNDS
(Cost $123,168,347)
        118,534,547 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $123,168,347)
        118,534,547 
           
TOTAL INVESTMENTS — 100.1%
(Cost $123,168,347) (b)
        118,534,547 
           
Other Assets/(Liabilities) — (0.1)%        (123,096) 
           
NET ASSETS — 100.0%       $118,411,451 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2050 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 91.8%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   641,117   $9,943,721 
JPMorgan Large Cap Value Fund, Class R6   335,591    6,241,984 
MassMutual Blue Chip Growth Fund, Class I (a)   612,935    13,601,031 
MassMutual Diversified Value Fund, Class I (a)   475,178    5,321,990 
MassMutual Equity Opportunities Fund, Class I (a)   527,832    8,946,759 
MassMutual Fundamental Value Fund, Class I (a)   733,714    6,273,257 
MassMutual Growth Opportunities Fund, Class I (a)   832,996    4,556,488 
MassMutual International Equity Fund, Class I (a)   1,406,714    11,914,868 
MassMutual Mid Cap Growth Fund, Class I (a)   236,447    4,674,567 
MassMutual Mid Cap Value Fund, Class I (a)   413,060    4,597,357 
MassMutual Overseas Fund, Class I (a)   2,222,599    19,247,705 
MassMutual Small Cap Growth Equity Fund, Class I (a)   242,302    3,367,999 
MassMutual Small Cap Value Equity Fund, Class I (a)   487,361    4,464,228 
MassMutual Strategic Emerging Markets Fund, Class I (a)   531,013    5,320,750 
MM Equity Asset Fund, Class I (a)   5,918,295    45,097,407 
Vanguard Developed Markets Index Fund, Institutional Shares   1,128,612    16,759,885 
Vanguard Mid-Cap Index Fund, Admiral Shares   14,698    4,007,604 
Vanguard Real Estate Index Fund, Admiral Shares   31,824    3,767,611 
Vanguard Small-Cap Index Fund, Admiral Shares   35,596    3,392,639 
         181,497,850 
Fixed Income Funds — 8.3%          
JPMorgan Emerging Markets Debt Fund, Class R6   115,509    687,277 
JPMorgan U.S. Government Money Market Fund, Class IM   4,852,113    4,852,113 
MassMutual Core Bond Fund, Class I (a)   205,443    1,861,309 
MassMutual High Yield Fund, Class I (a)   217,403    1,652,265 
MassMutual Strategic Bond Fund, Class I (a)   397,689    3,495,689 
MassMutual Total Return Bond Fund, Class I (a)   407,925    3,479,596 
Vanguard Total Bond Market Index Fund, Admiral Shares   48,810    466,135 
         16,494,384 
           
TOTAL MUTUAL FUNDS
(Cost $206,236,593)
        197,992,234 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $206,236,593)
        197,992,234 
           
TOTAL INVESTMENTS — 100.1%
(Cost $206,236,593) (b)
        197,992,234 
           
Other Assets/(Liabilities) — (0.1)%        (150,330) 
           
NET ASSETS — 100.0%       $197,841,904 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2055 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 91.8%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   205,642   $3,189,513 
JPMorgan Large Cap Value Fund, Class R6   107,834    2,005,712 
MassMutual Blue Chip Growth Fund, Class I (a)   197,565    4,383,959 
MassMutual Diversified Value Fund, Class I (a)   152,395    1,706,822 
MassMutual Equity Opportunities Fund, Class I (a)   169,613    2,874,938 
MassMutual Fundamental Value Fund, Class I (a)   236,441    2,021,573 
MassMutual Growth Opportunities Fund, Class I (a)   267,182    1,461,483 
MassMutual International Equity Fund, Class I (a)   450,123    3,812,546 
MassMutual Mid Cap Growth Fund, Class I (a)   75,980    1,502,127 
MassMutual Mid-Cap Value Fund, Class I (a)   132,733    1,477,314 
MassMutual Overseas Fund, Class I (a)   717,138    6,210,413 
MassMutual Small Cap Growth Equity Fund, Class I (a)   77,847    1,082,076 
MassMutual Small Cap Value Equity Fund, Class I (a)   156,592    1,434,381 
MassMutual Strategic Emerging Markets Fund, Class I (a)   169,928    1,702,679 
MM Equity Asset Fund, Class I (a)   1,907,392    14,534,329 
Vanguard Developed Markets Index Fund, Institutional Shares   366,196    5,438,006 
Vanguard Mid-Cap Index Fund, Admiral Shares   4,769    1,300,356 
Vanguard Real Estate Index Fund, Admiral Shares   10,325    1,222,416 
Vanguard Small-Cap Index Fund, Admiral Shares   11,550    1,100,810 
         58,461,453 
Fixed Income Funds — 8.3%          
JPMorgan Emerging Markets Debt Fund, Class R6   37,132    220,934 
JPMorgan U.S. Government Money Market Fund, Class IM   1,560,008    1,560,008 
MassMutual Core Bond Fund, Class I (a)   66,228    600,027 
MassMutual High Yield Fund, Class I (a)   69,883    531,112 
MassMutual Strategic Bond Fund, Class I (a)   128,204    1,126,912 
MassMutual Total Return Bond Fund, Class I (a)   131,501    1,121,702 
Vanguard Total Bond Market Index Fund, Admiral Shares   15,837    151,243 
         5,311,938 
           
TOTAL MUTUAL FUNDS
(Cost $65,509,383)
        63,773,391 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $65,509,383)
        63,773,391 
           
TOTAL INVESTMENTS — 100.1%
(Cost $65,509,383) (b)
        63,773,391 
           
Other Assets/(Liabilities) — (0.1)%        (85,032) 
           
NET ASSETS — 100.0%       $63,688,359 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2060 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.3%          
           
Equity Funds — 91.9%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   72,346   $1,122,085 
JPMorgan Large Cap Value Fund, Class R6   37,666    700,584 
MassMutual Blue Chip Growth Fund, Class I (a)   69,049    1,532,200 
MassMutual Diversified Value Fund, Class I (a)   53,231    596,192 
MassMutual Equity Opportunities Fund, Class I (a)   59,242    1,004,147 
MassMutual Fundamental Value Fund, Class I (a)   82,648    706,642 
MassMutual Growth Opportunities Fund, Class I (a)   93,565    511,798 
MassMutual International Equity Fund, Class I (a)   157,619    1,335,035 
MassMutual Mid Cap Growth Fund, Class I (a)   26,536    524,620 
MassMutual Mid Cap Value Fund, Class I (a)   46,361    516,003 
MassMutual Overseas Fund, Class I (a)   250,586    2,170,074 
MassMutual Small Cap Growth Equity Fund, Class I (a)   27,307    379,567 
MassMutual Small Cap Value Equity Fund, Class I (a)   54,698    501,038 
MassMutual Strategic Emerging Markets Fund, Class I (a)   59,893    600,127 
MM Equity Asset Fund, Class I (a)   666,687    5,080,152 
Vanguard Developed Markets Index Fund, Admiral Shares   126,673    1,878,554 
Vanguard Mid-Cap Index Fund, Admiral Shares   1,647    449,182 
Vanguard Real Estate Index Fund, Admiral Shares   3,568    422,380 
Vanguard Small-Cap Index Fund, Admiral Shares   3,990    380,265 
         20,410,645 
Fixed Income Funds — 8.4%          
JPMorgan Emerging Markets Debt Fund, Class R6   13,038    77,577 
JPMorgan U.S. Government Money Market Fund, Class IM   542,435    542,435 
MassMutual Core Bond Fund, Class I (a)   23,176    209,976 
MassMutual High Yield Fund, Class I (a)   24,434    185,698 
MassMutual Strategic Bond Fund, Class I (a)   44,863    394,350 
MassMutual Total Return Bond Fund, Class I (a)   46,019    392,540 
Vanguard Total Bond Market Index Fund, Admiral Shares   5,471    52,253 
         1,854,829 
           
TOTAL MUTUAL FUNDS
(Cost $22,256,504)
        22,265,474 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $22,256,504)
        22,265,474 
           
TOTAL INVESTMENTS — 100.3%
(Cost $22,256,504) (b)
        22,265,474 
           
Other Assets/(Liabilities) — (0.3)%        (56,793) 
           
NET ASSETS — 100.0%       $22,208,681 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual RetireSMARTsm by JPMorgan 2065 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 103.1%          
           
Equity Funds — 94.5%          
JPMorgan Emerging Markets Research Enhanced Equity Fund, Class R6   3,485   $54,050 
JPMorgan Large Cap Value Fund, Class R6   1,816    33,783 
MassMutual Blue Chip Growth Fund, Class I (a)   3,307    73,372 
MassMutual Diversified Value Fund, Class I (a)   2,567    28,747 
MassMutual Equity Opportunities Fund, Class I (a)   2,857    48,420 
MassMutual Fundamental Value Fund, Class I (a)   3,959    33,847 
MassMutual Growth Opportunities Fund, Class I (a)   4,498    24,606 
MassMutual International Equity Fund, Class I (a)   7,629    64,615 
MassMutual Mid Cap Growth Fund, Class I (a)   1,279    25,294 
MassMutual Mid Cap Value Fund, Class I (a)   2,235    24,881 
MassMutual Overseas Fund, Class I (a)   12,021    104,099 
MassMutual Small Cap Growth Equity Fund, Class I (a)   1,311    18,227 
MassMutual Small Cap Value Equity Fund, Class I (a)   2,637    24,158 
MassMutual Strategic Emerging Markets Fund, Class I (a)   2,881    28,868 
MM Equity Asset Fund, Class I (a)   31,931    243,312 
Vanguard Developed Markets Index Fund, Admiral Shares   6,006    89,065 
Vanguard Mid-Cap Index Fund, Admiral Shares   78    21,297 
Vanguard Real Estate Index Fund, Admiral Shares   169    20,024 
Vanguard Small-Cap Index Fund, Admiral Shares   189    18,029 
         978,694 
Fixed Income Funds — 8.6%          
JPMorgan Emerging Markets Debt Fund, Class R6   624    3,715 
JPMorgan U.S. Government Money Market Fund, Class IM   26,232    26,232 
MassMutual Core Bond Fund, Class I (a)   1,107    10,029 
MassMutual High Yield Fund, Class I (a)   1,175    8,930 
MassMutual Strategic Bond Fund, Class I (a)   2,143    18,836 
MassMutual Total Return Bond Fund, Class I (a)   2,198    18,750 
Vanguard Total Bond Market Index Fund, Admiral Shares   259    2,477 
         88,969 
           
TOTAL MUTUAL FUNDS
(Cost $1,032,537)
        1,067,663 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,032,537)
        1,067,663 
           
TOTAL INVESTMENTS — 103.1%
(Cost $1,032,537) (b)
        1,067,663 
           
Other Assets/(Liabilities) — (3.1)%        (31,643) 
           
NET ASSETS — 100.0%       $1,036,020 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MM Equity Asset Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 98.8%          
           
COMMON STOCK — 98.8%          
Basic Materials — 2.4%          
Chemicals — 2.1%          
Air Products & Chemicals, Inc.   3,582   $1,072,917 
Dow, Inc.   23,308    1,241,384 
Eastman Chemical Co.   10,494    878,558 
Linde PLC   6,180    2,355,074 
LyondellBasell Industries NV Class A   6,904    633,994 
PPG Industries, Inc.   6,664    988,271 
         7,170,198 
Iron & Steel — 0.2%          
Nucor Corp.   3,325    545,234 
Mining — 0.1%          
Freeport-McMoRan, Inc.   12,647    505,880 
         8,221,312 
Communications — 12.7%          
Internet — 10.8%          
Alphabet, Inc. Class A (a)   54,109    6,476,847 
Alphabet, Inc. Class C (a)   45,727    5,531,595 
Amazon.com, Inc. (a)   94,894    12,370,382 
Booking Holdings, Inc. (a)   760    2,052,251 
Expedia Group, Inc. (a)   9,345    1,022,250 
Meta Platforms, Inc. Class A (a)   23,423    6,721,932 
Netflix, Inc. (a)   5,338    2,351,336 
Uber Technologies, Inc. (a)   12,377    534,315 
         37,060,908 
Media — 1.2%          
Charter Communications, Inc. Class A (a)   4,485    1,647,655 
Comcast Corp. Class A   59,946    2,490,756 
         4,138,411 
Telecommunications — 0.7%          
AT&T, Inc.   15,937    254,195 
Corning, Inc.   11,494    402,750 
Motorola Solutions, Inc.   2,588    759,009 
T-Mobile U.S., Inc. (a)   6,136    852,290 
         2,268,244 
         43,467,563 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Consumer, Cyclical — 8.9%          
Airlines — 0.3%          
Delta Air Lines, Inc. (a)   5,929   $281,865 
Southwest Airlines Co.   16,078    582,184 
         864,049 
Apparel — 0.5%          
NIKE, Inc. Class B   14,430    1,592,639 
Auto Manufacturers — 1.7%          
Tesla, Inc. (a)   22,521    5,895,322 
Auto Parts & Equipment — 0.2%          
Aptiv PLC (a)   7,290    744,236 
Distribution & Wholesale — 0.1%          
LKQ Corp.   5,591    325,788 
Home Builders — 0.2%          
Lennar Corp. Class A   2,540    318,287 
Toll Brothers, Inc.   5,501    434,964 
         753,251 
Home Furnishing — 0.1%          
Whirlpool Corp.   1,349    200,718 
Leisure Time — 0.1%          
Royal Caribbean Cruises Ltd. (a)   1,905    197,625 
Lodging — 0.3%          
Marriott International, Inc. Class A   5,938    1,090,751 
Retail — 5.4%          
AutoNation, Inc. (a)   3,893    640,827 
AutoZone, Inc. (a)   703    1,752,832 
Best Buy Co., Inc.   13,194    1,081,248 
Burlington Stores, Inc. (a)   2,715    427,314 
Chipotle Mexican Grill, Inc. (a)   1,090    2,331,510 
Costco Wholesale Corp.   6,403    3,447,247 
Domino's Pizza, Inc.   1,164    392,256 
Home Depot, Inc.   1,179    366,245 
Lowe's Cos., Inc.   15,681    3,539,202 
McDonald's Corp.   3,978    1,187,075 
O'Reilly Automotive, Inc. (a)   565    539,745 
TJX Cos., Inc.   13,620    1,154,840 
Ulta Beauty, Inc. (a)   350    164,708 
Yum! Brands, Inc.   11,066    1,533,194 
         18,558,243 
         30,222,622 
Consumer, Non-cyclical — 18.9%          
Agriculture — 0.4%          
Altria Group, Inc.   11,186    506,726 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Philip Morris International, Inc.   10,015   $977,664 
         1,484,390 
Beverages — 2.5%          
Coca-Cola Co.   61,820    3,722,800 
Constellation Brands, Inc. Class A   4,489    1,104,878 
Monster Beverage Corp. (a)   7,019    403,171 
PepsiCo, Inc.   17,364    3,216,160 
         8,447,009 
Biotechnology — 1.6%          
Biogen, Inc. (a)   3,677    1,047,394 
BioMarin Pharmaceutical, Inc. (a)   2,794    242,184 
Regeneron Pharmaceuticals, Inc. (a)   2,508    1,802,098 
Sarepta Therapeutics, Inc. (a)   2,840    325,237 
Vertex Pharmaceuticals, Inc. (a)   5,808    2,043,893 
         5,460,806 
Commercial Services — 1.1%          
Booz Allen Hamilton Holding Corp.   2,676    298,641 
Cintas Corp.   1,440    715,795 
FleetCor Technologies, Inc. (a)   4,884    1,226,275 
S&P Global, Inc.   4,212    1,688,549 
         3,929,260 
Cosmetics & Personal Care — 1.2%          
Colgate-Palmolive Co.   19,948    1,536,794 
Kenvue, Inc. (a)   3,332    88,031 
Procter & Gamble Co.   15,698    2,382,015 
         4,006,840 
Food — 0.3%          
Mondelez International, Inc. Class A   16,866    1,230,206 
Health Care – Products — 3.9%          
Abbott Laboratories   17,564    1,914,827 
Baxter International, Inc.   20,941    954,072 
Boston Scientific Corp. (a)   30,489    1,649,150 
Danaher Corp.   6,646    1,595,040 
Intuitive Surgical, Inc. (a)   4,921    1,682,687 
Medtronic PLC   12,916    1,137,900 
ResMed, Inc.   1,253    273,780 
Stryker Corp.   2,244    684,622 
Thermo Fisher Scientific, Inc.   6,344    3,309,982 
         13,202,060 
Health Care – Services — 2.5%          
Centene Corp. (a)   14,157    954,890 
Elevance Health, Inc.   3,414    1,516,806 
Humana, Inc.   1,860    831,662 
Town Health International Medical Group Ltd.   62,000    2,570 
UnitedHealth Group, Inc.   11,053    5,312,514 
         8,618,442 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Household Products & Wares — 0.2%          
Church & Dwight Co., Inc.   6,132   $614,610 
Pharmaceuticals — 5.2%          
AbbVie, Inc.   28,562    3,848,158 
Bristol-Myers Squibb Co.   44,744    2,861,379 
CVS Health Corp.   6,788    469,255 
Dexcom, Inc. (a)   3,515    451,713 
Eli Lilly & Co.   6,787    3,182,967 
Johnson & Johnson   23,662    3,916,534 
McKesson Corp.   1,658    708,480 
Merck & Co., Inc.   18,300    2,111,637 
Neurocrine Biosciences, Inc. (a)   1,946    183,508 
         17,733,631 
         64,727,254 
Energy — 4.1%          
Oil & Gas — 3.9%          
Chevron Corp.   10,190    1,603,397 
ConocoPhillips   25,804    2,673,553 
Diamondback Energy, Inc.   13,015    1,709,650 
EOG Resources, Inc.   19,023    2,176,992 
Exxon Mobil Corp.   43,781    4,695,512 
Marathon Oil Corp.   26,568    611,595 
         13,470,699 
Oil & Gas Services — 0.2%          
Baker Hughes Co.   15,986    505,317 
         13,976,016 
Financial — 14.0%          
Banks — 4.1%          
Bank of America Corp.   127,405    3,655,249 
Citigroup, Inc.   21,083    970,661 
Fifth Third Bancorp   30,902    809,941 
Morgan Stanley   18,794    1,605,008 
State Street Corp.   6,947    508,382 
Truist Financial Corp.   50,946    1,546,211 
U.S. Bancorp   53,102    1,754,490 
Wells Fargo & Co.   72,035    3,074,454 
         13,924,396 
Diversified Financial Services — 4.4%          
American Express Co.   4,851    845,044 
Charles Schwab Corp.   6,308    357,537 
CME Group, Inc.   11,331    2,099,521 
Intercontinental Exchange, Inc.   12,968    1,466,421 
Mastercard, Inc. Class A   13,456    5,292,245 
Raymond James Financial, Inc.   11,315    1,174,158 
Visa, Inc. Class A   16,078    3,818,204 
         15,053,130 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Insurance — 3.3%          
Aflac, Inc.   7,711   $538,228 
Berkshire Hathaway, Inc. Class B (a)   14,164    4,829,924 
Globe Life, Inc.   8,866    971,891 
MetLife, Inc.   3,011    170,212 
Progressive Corp.   20,276    2,683,934 
Travelers Cos., Inc.   11,138    1,934,225 
         11,128,414 
Real Estate Investment Trusts (REITS) — 2.2%          
Equinix, Inc.   1,214    951,703 
Equity LifeStyle Properties, Inc.   9,116    609,769 
Prologis, Inc.   18,300    2,244,129 
SBA Communications Corp.   5,066    1,174,096 
Sun Communities, Inc.   5,807    757,581 
UDR, Inc.   17,960    771,562 
Ventas, Inc.   24,738    1,169,365 
         7,678,205 
         47,784,145 
Industrial — 7.9%          
Aerospace & Defense — 0.9%          
Howmet Aerospace, Inc.   6,968    345,334 
Raytheon Technologies Corp.   28,964    2,837,313 
         3,182,647 
Building Materials — 0.9%          
Masco Corp.   14,100    809,058 
Trane Technologies PLC   11,282    2,157,795 
         2,966,853 
Electronics — 1.3%          
Honeywell International, Inc.   18,746    3,889,795 
Keysight Technologies, Inc. (a)   2,244    375,758 
         4,265,553 
Machinery – Diversified — 1.3%          
Deere & Co.   6,113    2,476,927 
Dover Corp.   5,479    808,974 
Otis Worldwide Corp.   14,719    1,310,138 
         4,596,039 
Miscellaneous - Manufacturing — 1.6%          
Eaton Corp. PLC   11,538    2,320,292 
Parker-Hannifin Corp.   4,852    1,892,474 
Textron, Inc.   17,938    1,213,147 
         5,425,913 
Transportation — 1.9%          
CSX Corp.   21,633    737,685 
FedEx Corp.   3,970    984,163 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Norfolk Southern Corp.   4,048   $917,924 
Union Pacific Corp.   5,104    1,044,381 
United Parcel Service, Inc. Class B   16,406    2,940,776 
         6,624,929 
         27,061,934 
Technology — 27.3%          
Computers — 9.4%          
Accenture PLC Class A   9,155    2,825,050 
Apple, Inc.   135,395    26,262,568 
Cognizant Technology Solutions Corp. Class A   19,587    1,278,639 
Leidos Holdings, Inc.   7,828    692,621 
Seagate Technology Holdings PLC   17,096    1,057,730 
         32,116,608 
Semiconductors — 7.9%          
Advanced Micro Devices, Inc. (a)   25,528    2,907,895 
Analog Devices, Inc.   15,494    3,018,386 
Broadcom, Inc.   667    578,576 
Lam Research Corp.   4,468    2,872,298 
NVIDIA Corp.   22,309    9,437,153 
NXP Semiconductor NV   14,428    2,953,123 
Qorvo, Inc. (a)   6,275    640,238 
Teradyne, Inc.   7,638    850,339 
Texas Instruments, Inc.   20,339    3,661,427 
         26,919,435 
Software — 10.0%          
Adobe, Inc. (a)   8,038    3,930,502 
Cadence Design Systems, Inc. (a)   2,785    653,138 
DocuSign, Inc. (a)   2,462    125,784 
Intuit, Inc.   4,480    2,052,691 
Microsoft Corp.   71,618    24,388,794 
Oracle Corp.   13,133    1,564,009 
Salesforce, Inc. (a)   5,701    1,204,393 
ServiceNow, Inc. (a)   902    506,897 
         34,426,208 
         93,462,251 
Utilities — 2.6%          
Electric — 2.6%          
Ameren Corp.   8,968    732,417 
CenterPoint Energy, Inc.   26,969    786,146 
CMS Energy Corp.   6,472    380,230 
Dominion Energy, Inc.   11,261    583,207 
NextEra Energy, Inc.   39,097    2,900,997 
PG&E Corp. (a)   84,732    1,464,169 

 

 

 

 

MM Equity Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Public Service Enterprise Group, Inc.   32,083   $2,008,717 
         8,855,883 
           
TOTAL COMMON STOCK
(Cost $263,206,741)
        337,778,980 
           
TOTAL EQUITIES
(Cost $263,206,741)
        337,778,980 
           
           
RIGHTS — 0.0%          
Consumer, Non-cyclical — 0.0%          
Biotechnology — 0.0%          
Tobira Therapeutics Inc.,CVR (a) (b) (c)   505     
           
TOTAL RIGHTS
(Cost $30)
         
           
TOTAL LONG-TERM INVESTMENTS
(Cost $263,206,771)
        337,778,980 
           
   Principal
Amount
    
SHORT-TERM INVESTMENTS — 1.0%          
Repurchase Agreement — 1.0%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (d)  $3,341,964   3,341,964 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,341,964)
        3,341,964 
           
TOTAL INVESTMENTS — 99.8%
(Cost $266,548,735) (e)
        341,120,944 
           
Other Assets/(Liabilities) — 0.2%        731,857 
           
NET ASSETS — 100.0%       $341,852,801 

 

Abbreviation Legend

CVR Contingent Value Rights

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Investment is valued using significant unobservable inputs.
(c) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $0 or 0.00% of net assets.
(d) Maturity value of $3,342,387. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $3,408,859.
(e) See Note 3 for aggregate cost for federal tax purposes.

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
S&P 500 E Mini Index  9/15/23   16   $3,517,084   $73,516 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Principal
Amount
   Value 
BONDS & NOTES — 95.5%          
           
BANK LOANS — 0.9%          
Advertising — 0.1%          
Lamar Media Corp., 2020 Term Loan B, 1 mo. USD LIBOR + 1.500%          
6.689% VRN 2/05/27  $305,000   $298,137 
Aerospace & Defense — 0.0%          
TransDigm, Inc., 2022 Term Loan H, 3 mo. USD Term SOFR + 3.250%          
8.492% VRN 2/22/27   118,595    118,595 
Airlines — 0.0%          
American Airlines, Inc., 2021 Term Loan, 3 mo. USD LIBOR + 4.750%          
10.000% VRN 4/20/28   85,000    86,700 
Mileage Plus Holdings LLC, 2020 Term Loan B, 3 mo. USD LIBOR + 5.250%          
10.764% VRN 6/21/27   82,526    85,638 
         172,338 
Cosmetics & Personal Care — 0.0%          
Sunshine Luxembourg VII Sarl, 2021 Term Loan B3, 3 mo. USD Term SOFR + 3.750%          
9.092% VRN 10/01/26   113,539    112,787 
Entertainment — 0.1%          
Formula One Holdings Ltd., Term Loan B, 1 mo. USD Term SOFR + 3.000%          
8.102% VRN 1/15/30   240,000    239,880 
UFC Holdings LLC, 2021 Term Loan B, 3 mo. USD LIBOR + 2.750%          
8.050% VRN 4/29/26   266,800    266,317 
         506,197 
Environmental Controls — 0.1%          
Filtration Group Corp., 2023 USD Term Loan, 1 mo. USD Term SOFR + 4.250%          
9.326% VRN 10/21/28   394,303    393,810 
Madison IAQ LLC, Term Loan, 6 mo. USD LIBOR + 3.250%          
8.302% VRN 6/21/28   27,548    26,949 
         420,759 
Health Care – Products — 0.0%          
Maravai Intermediate Holdings LLC, 2022 Term Loan B, 3 mo. USD Term SOFR + 3.000%          
8.028% VRN 10/19/27   84,316    84,211 
Insurance — 0.2%          
Acrisure LLC, 2022 Incremental Term Loan, 3 mo. USD Term SOFR + 5.750%          
10.823% VRN 2/15/27   69,650    69,824 
Asurion LLC          

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2023 Term Loan B11, 1 mo. USD Term SOFR + 4.250%          
9.452% VRN 8/19/28  $170,184   $161,569 
2021 2nd Lien Term Loan B3, 1 mo. USD Term LIBOR + 5.250%, 1 mo. USD Term SOFR + 5.250%          
10.452% VRN 1/31/28   25,000    21,203 
2021 Second Lien Term Loan B4, 1 mo. USD LIBOR + 5.250%, 1 mo. USD Term SOFR + 5.200          
10.452% VRN 1/20/29   255,000    213,244 
Hub International Ltd.          
2022 Term Loan B, 3 mo. USD Term SOFR + 4.000%          
9.059% VRN 11/10/29   24,875    24,837 
2023 Term Loan B, 1 mo. USD Term SOFR + 4.250%          
9.341% VRN 6/20/30   403,021    403,751 
         894,428 
Internet — 0.0%          
NortonLifeLock, Inc., 2021 Term Loan A, 1 mo. USD Term SOFR + 1.750%          
6.952% VRN 9/10/27   126,750    123,820 
Machinery – Construction & Mining — 0.0%          
Brookfield WEC Holdings, Inc., 2021 Term Loan, 1 mo. USD LIBOR + 2.750%          
7.943% VRN 8/01/25   90,609    90,357 
Packaging & Containers — 0.0%          
Charter NEX U.S., Inc., 2021 Term Loan, 1 mo. USD Term SOFR + 3.750%          
8.967% VRN 12/01/27   206,323    204,518 
Pharmaceuticals — 0.1%          
Gainwell Acquisition Corp., Term Loan B, 3 mo. USD Term SOFR + 4.000%          
9.342% VRN 10/01/27   139,923    137,650 
PetVet Care Centers LLC, 2021 Term Loan B3, 1 mo. USD LIBOR + 3.500%          
8.693% VRN 2/14/25   103,999    101,633 
         239,283 
Retail — 0.0%          
WOOF Holdings, Inc., 1st Lien Term Loan, 1 mo. USD Term SOFR + 3.750%          
8.954% VRN 12/21/27   125,809    122,978 
Software — 0.3%          
Applied Systems, Inc., 2022 Extended 1st Lien Term Loan, 3 mo. USD Term SOFR + 4.500%          
9.742% VRN 9/18/26   481,022    481,474 
Ascend Learning LLC, 2021 Term Loan, 1 mo. USD Term SOFR + 3.500%          
8.702% VRN 12/11/28   97,372    91,332 
Athenahealth Group, Inc., 2021 Delayed Draw Term Loan, 1 mo. USD Term SOFR + 3.500%          
8.589% VRN 2/15/29   97,091    93,329 
Epicor Software Corp., 2020 Term Loan, 1 mo. USD Term SOFR + 3.250%          
8.467% VRN 7/30/27   99,390    98,036 
RealPage, Inc., 1st Lien Term Loan, 3 mo. USD Term SOFR + 3.000%          
8.217% VRN 4/24/28   86,024    84,067 
Ultimate Software Group, Inc.          
2021 Term Loan, 3 mo. USD Term SOFR + 3.250%          
8.271% VRN 5/04/26   615,020    602,910 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2021 2nd Lien Term Loan, 3 mo. USD Term SOFR + 5.250%          
10.271% VRN 5/03/27  $140,000   $135,400 
         1,586,548 
           
TOTAL BANK LOANS
(Cost $5,060,854)
        4,974,956 
           
CORPORATE DEBT — 23.0%          
Advertising — 0.0%          
Lamar Media Corp.          
4.875% 1/15/29   80,000    74,400 
Aerospace & Defense — 0.0%          
TransDigm, Inc.          
6.750% 8/15/28 (a)   85,000    85,322 
Agriculture — 0.1%          
BAT International Finance PLC          
1.668% 3/25/26   90,000    80,916 
Darling Ingredients, Inc.          
6.000% 6/15/30 (a)   55,000    53,716 
Philip Morris International, Inc.          
5.125% 2/15/30   280,000    276,848 
Reynolds American, Inc.          
4.450% 6/12/25   84,000    81,626 
         493,106 
Airlines — 0.0%          
American Airlines, Inc.          
11.750% 7/15/25 (a)   50,000    54,826 
American Airlines, Inc./AAdvantage Loyalty IP Ltd.          
5.500% 4/20/26 (a)   105,000    104,022 
5.750% 4/20/29 (a)   70,000    67,969 
         226,817 
Apparel — 0.1%          
VF Corp.          
4.125% 3/07/26 EUR (b)   112,000    121,040 
4.250% 3/07/29 EUR (b)   115,000    123,399 
Wolverine World Wide, Inc.          
4.000% 8/15/29 (a) (c)   90,000    71,662 
         316,101 
Auto Manufacturers — 0.7%          
American Honda Finance Corp.          
0.750% 11/25/26 GBP (b)   130,000    137,989 
1.950% 10/18/24 EUR (b)   200,000    212,518 
Daimler Truck Finance North America LLC          
5.125% 1/19/28 (a) (c)   150,000    148,647 
Ford Motor Co.          
6.100% 8/19/32 (c)   105,000    101,761 
9.625% 4/22/30   85,000    98,878 
Ford Motor Credit Co. LLC          
4.867% 8/03/27 EUR (b)   171,000    182,901 
4.950% 5/28/27   265,000    249,971 
6.950% 3/06/26   200,000    201,060 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
7.350% 11/04/27  $200,000   $204,224 
General Motors Financial Co., Inc.          
0.850% 2/26/26 EUR (a) (b)   150,000    149,056 
0.955% 9/07/23 EUR (a) (b)   110,000    119,355 
4.000% 10/06/26   150,000    142,247 
Hyundai Capital America          
1.800% 10/15/25 (a)   300,000    273,656 
5.500% 3/30/26 (a)   135,000    133,781 
Nissan Motor Acceptance Co. LLC          
1.850% 9/16/26 (a)   160,000    135,738 
Volkswagen Group of America Finance LLC          
3.200% 9/26/26 (a)   1,320,000    1,227,389 
Volkswagen Leasing GmbH          
1.500% 6/19/26 EUR (a) (b)   145,000    145,685 
1.625% 8/15/25 EUR (a) (b)   150,000    154,612 
         4,019,468 
Auto Parts & Equipment — 0.1%          
Clarios Global LP/Clarios U.S. Finance Co.          
6.750% 5/15/28 (a) (c)   163,000    162,430 
Continental AG          
0.000% 9/12/23 EUR (a) (b)   45,000    48,708 
Dana Financing Luxembourg Sarl          
8.500% 7/15/31 EUR (a) (b)   100,000    112,557 
Goodyear Tire & Rubber Co.          
5.000% 7/15/29 (c)   140,000    126,243 
ZF North America Capital, Inc.          
6.875% 4/14/28 (a)   150,000    151,903 
7.125% 4/14/30 (a)   150,000    152,558 
         754,399 
Banks — 7.7%          
ABN AMRO Bank NV          
2.500% 11/29/23 EUR (a) (b)   114,000    123,726 
Banca Transilvania SA 1 yr. EURIBOR ICE Swap + 5.580%          
8.875% VRN 4/27/27 EUR (a) (b)   210,000    234,922 
Banco Bilbao Vizcaya Argentaria SA          
3.375% 9/20/27 EUR (a) (b)   200,000    211,333 
1 yr. CMT + 2.300% 5.862% VRN 9/14/26   400,000    394,520 
Banco Comercial Portugues SA          
3 mo. EUR EURIBOR + 1.550% 1.125% VRN 2/12/27 EUR (a) (b)   200,000    190,611 
3 mo. EUR EURIBOR + 2.000% 1.750% VRN 4/07/28 EUR (a) (b)   200,000    184,544 
Banco de Bogota SA          
6.250% 5/12/26 (a)   250,000    241,440 
Banco de Credito del Peru SA 5 yr. CMT + 3.000%          
3.125% VRN 7/01/30 (a)   200,000    183,590 
Banco de Sabadell SA          
1 yr. EURIBOR ICE Swap + 1.150% 0.875% VRN 6/16/28 EUR (a) (b)   200,000    182,849 
1 yr. EUR Swap + 2.250% 5.125% VRN 11/10/28 EUR (a) (b)   100,000    109,849 
Banco Santander SA          
1.125% 1/17/25 EUR (a) (b)   200,000    207,622 
2.746% 5/28/25   1,200,000    1,126,555 
Bangkok Bank PCL 5 yr. CMT + 1.900%          
3.733% VRN 9/25/34 (a)   250,000    211,923 
Bank Hapoalim BM Update Replacements.xls: H15T5Y + 2.155%          
3.255% VRN 1/21/32 (a)   200,000    171,303 
Bank of America Corp.          

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
0.750% 7/26/23 EUR (a) (b)  $110,000   $119,809 
3 mo. EUR EURIBOR + .890% 1.662% VRN 4/25/28 EUR (a) (b)   125,000    122,469 
SOFR + .960% 1.734% VRN 7/22/27   585,000    522,267 
SOFR + 1.530% 1.898% VRN 7/23/31   1,145,000    911,822 
SOFR + 1.220% 2.299% VRN 7/21/32   425,000    339,901 
2.375% 6/19/24 EUR (a) (b)   150,000    160,970 
2.375% 6/19/24 EUR (a) (b)   150,000    160,970 
3 mo. USD Term SOFR + 1.252% 2.496% VRN 2/13/31   1,735,000    1,452,596 
SOFR + 2.150% 2.592% VRN 4/29/31   585,000    491,129 
3 mo. USD Term SOFR + 1.302% 3.419% VRN 12/20/28   55,000    50,436 
3 mo. USD Term SOFR + 1.322% 3.559% VRN 4/23/27   465,000    440,853 
4.250% 10/22/26   302,000    291,489 
Bank of Ireland Group PLC 1 yr. CMT + 2.650%          
6.253% VRN 9/16/26 (a)   355,000    352,203 
Banque Federative du Credit Mutuel SA          
1.250% 5/26/27 EUR (a) (b)   100,000    97,820 
1.375% 7/16/28 EUR (a) (b)   100,000    95,689 
5.125% 1/13/33 EUR (a) (b)   200,000    214,081 
Barclays PLC          
1 yr. EUR Swap + 1.260% 0.577% VRN 8/09/29 EUR (a) (b)   215,000    187,691 
1 yr. EURIBOR ICE Swap + .850% 0.877% VRN 1/28/28 EUR (a) (b)   100,000    94,610 
1 yr. CMT + 2.650% 5.501% VRN 8/09/28   225,000    219,418 
SOFR + 2.980% 6.224% VRN 5/09/34   305,000    303,791 
1 yr. U.K. Government Bond + 2.800% 6.369% VRN 1/31/31 GBP (a) (b)   125,000    151,846 
BBVA Bancomer SA 5 yr. CMT + 2.650%          
5.125% VRN 1/18/33 (a)   300,000    260,321 
BNP Paribas SA          
3 mo. EUR EURIBOR + 1.800% 2.125% VRN 1/23/27 EUR (a) (b)   200,000    204,376 
2.875% 9/26/23 EUR (a) (b)   153,000    166,551 
BPCE SA          
0.250% 1/14/31 EUR (a) (b)   200,000    164,137 
0.375% 10/05/23 EUR (a) (b)   100,000    108,153 
3.500% 1/25/28 EUR (a) (b)   100,000    106,059 
4.625% 7/18/23 EUR (a) (b)   100,000    109,111 
CaixaBank SA          
1.125% 5/17/24 EUR (a) (b)   100,000    106,296 
1.750% 10/24/23 EUR (a) (b)   100,000    108,362 
5 yr. EUR Swap + 2.350% 2.750% VRN 7/14/28 EUR (a) (b)   200,000    218,121 
3.750% 9/07/29 EUR (a) (b)   100,000    107,674 
SOFR + 2.700% 6.208% VRN 1/18/29 (a)   500,000    498,757 
5 yr. EUR Swap + 3.550% 6.250% VRN 2/23/33 EUR (a) (b)   100,000    109,581 
Citigroup, Inc.          
0.750% 10/26/23 EUR (a) (b)   110,000    118,844 
SOFR + 1.167% 2.561% VRN 5/01/32   300,000    244,958 
SOFR + 1.280% 3.070% VRN 2/24/28   570,000    524,538 
SOFR + 2.842% 3.106% VRN 4/08/26   240,000    229,127 
SOFR + 1.546% 5.610% VRN 9/29/26   565,000    564,232 
SOFR + 2.661% 6.174% FRN 5/25/34   195,000    196,699 
Commerzbank AG          
0.500% 8/28/23 EUR (a) (b)   142,000    154,168 
Cooperatieve Rabobank UA          
0.750% 8/29/23 EUR (a) (b)   100,000    108,615 
3.875% 7/25/23 EUR (a) (b)   118,000    128,677 
4.625% 5/23/29 GBP (a) (b)   150,000    166,882 
Credit Agricole SA          
1.000% 9/16/24 EUR (a) (b)   200,000    209,989 
Credit Suisse AG          
1.250% 8/07/26   260,000    223,828 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Danske Bank AS          
1 yr. EURIBOR ICE Swap + .880% 0.750% VRN 6/09/29 EUR (a) (b)  $100,000   $90,034 
1 yr. EUR Swap + .850% 1.375% VRN 2/17/27 EUR (a) (b)   110,000    109,536 
5 yr. EUR Swap + 1.700% 1.375% VRN 2/12/30 EUR (a) (b)   200,000    201,980 
3 mo. USD LIBOR + 1.591% 3.244% VRN 12/20/25 (a)   1,040,000    987,294 
1 yr. CMT + 1.450% 3.773% VRN 3/28/25 (a)   355,000    346,978 
3.875% 9/12/23 (a)   5,000    4,981 
Deutsche Bank AG          
1.125% 8/30/23 EUR (a) (b)   114,000    123,822 
Discover Bank          
4.650% 9/13/28   405,000    375,962 
DNB Bank ASA          
0.050% 11/14/23 EUR (a) (b)   109,000    117,248 
Fifth Third Bancorp          
2.375% 1/28/25   90,000    84,226 
2.550% 5/05/27   50,000    44,164 
3.950% 3/14/28   155,000    142,550 
SOFR + 2.127% 4.772% VRN 7/28/30   140,000    130,821 
Goldman Sachs Group, Inc.          
1.375% 5/15/24 EUR (a) (b)   40,000    42,631 
SOFR + .818% 1.542% VRN 9/10/27   605,000    531,736 
1.625% 7/27/26 EUR (a) (b)   140,000    142,309 
2.000% 7/27/23 EUR (a) (b)   130,000    141,687 
SOFR + 1.248% 2.383% VRN 7/21/32   510,000    408,509 
3.500% 11/16/26   385,000    360,939 
SOFR + 1.846% 3.615% VRN 3/15/28   550,000    516,050 
1 yr. U.K. Government Bond + 1.950% 3.625% VRN 10/29/29 GBP (a) (b)   85,000    93,080 
SOFR + 1.725% 4.482% VRN 8/23/28   520,000    502,744 
HSBC Holdings PLC          
3 mo. EURIBOR + 1.290% 4.752% VRN 3/10/28 EUR (a) (b)   280,000    305,278 
SOFR + 2.110% 4.755% VRN 6/09/28   770,000    739,822 
SOFR + 2.610% 5.210% VRN 8/11/28   440,000    430,217 
SOFR + 2.390% 6.254% VRN 3/09/34   705,000    722,660 
Huntington National Bank SOFR + 1.215%          
5.699% VRN 11/18/25   250,000    242,868 
ING Groep NV          
1.000% 9/20/23 EUR (a) (b)   100,000    108,458 
3 mo. EURIBOR + .850% 1.250% VRN 2/16/27 EUR (a) (b)   200,000    199,671 
Intesa Sanpaolo SpA          
1.000% 7/04/24 EUR (a) (b)   300,000    316,915 
2.125% 8/30/23 EUR (a) (b)   114,000    124,056 
1 yr. CMT + 2.600% 4.198% VRN 6/01/32 (a)   200,000    149,058 
6.625% 6/20/33 (a)   365,000    363,661 
JP Morgan Chase & Co.          
SOFR + .885% 1.578% VRN 4/22/27   465,000    417,669 
3 mo. USD Term SOFR + 1.105% 1.764% VRN 11/19/31   955,000    755,804 
SOFR + 1.890% 2.182% VRN 6/01/28   675,000    599,890 
SOFR + 2.040% 2.522% VRN 4/22/31   165,000    139,564 
3 mo. USD Term SOFR + 1.510% 2.739% VRN 10/15/30   265,000    228,277 
3 mo. TSFR + 2.515% 2.956% VRN 5/13/31   1,060,000    908,897 
KBC Group NV          
0.750% 10/18/23 EUR (a) (b)   100,000    108,135 
1 yr. CMT + 2.100% 5.796% VRN 1/19/29 (a)   620,000    615,688 
Kreditanstalt fuer Wiederaufbau          
4.700% 6/02/37 CAD (b)   75,000    59,416 
4.700% 6/02/37 CAD (b)   65,000    51,494 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Landsbankinn HF          
0.375% 5/23/25 EUR (a) (b)  $265,000   $257,881 
Morgan Stanley          
3 mo. EURIBOR + .698% 0.406% VRN 10/29/27 EUR (b)  100,000   95,113 
3 mo. EURIBOR + .867% 0.495% VRN 10/26/29 EUR (b)   260,000    231,109 
3 mo. EURIBOR + .753% 0.637% VRN 7/26/24 EUR (b)   100,000    108,899 
SOFR + .858% 1.512% VRN 7/20/27   630,000    558,160 
SOFR + .879% 1.593% VRN 5/04/27   670,000    599,796 
SOFR + 1.485% 3.217% VRN 4/22/42   165,000    125,120 
SOFR + 1.730% 5.123% VRN 2/01/29   880,000    867,889 
3 mo. EURIBOR + 1.954% 5.148% VRN 1/25/34 EUR (b)   100,000    114,196 
National Australia Bank Ltd.          
0.625% 11/10/23 EUR (a) (b)   56,000    60,398 
Nationale-Nederlanden Bank NV          
0.375% 2/26/25 EUR (a) (b)   100,000    102,328 
Natwest Group PLC 3 mo. EURIBOR + .949%          
0.780% VRN 2/26/30 EUR (a) (b)   180,000    156,396 
NatWest Group PLC 5 yr. EUR Swap + 1.270%          
1.043% VRN 9/14/32 EUR (a) (b)   135,000    120,125 
NongHyup Bank          
4.875% 7/03/28 (a) (d)   310,000    305,916 
Nordea Bank Abp          
5.375% 9/22/27 (a)   320,000    315,855 
OTP Bank Nyrt 3 mo. EURIBOR + 4.523%          
7.350% VRN 3/04/26 EUR (a) (b)   140,000    154,293 
PNC Financial Services Group, Inc.          
2.550% 1/22/30   145,000    121,812 
SOFR + 2.140% 6.037% VRN 10/28/33   460,000    470,751 
QNB Finance Ltd.          
2.750% 2/12/27 (a)   200,000    184,538 
Santander Holdings USA, Inc.          
SOFR + 1.249% 2.490% VRN 1/06/28   170,000    146,826 
SOFR + 2.356% 6.499% VRN 3/09/29   100,000    98,913 
Santander U.K. Group Holdings PLC          
1 yr. EUR Swap + .800% 0.603% VRN 9/13/29 EUR (a) (b)   275,000    238,998 
1.125% 9/08/23 EUR (a) (b)   111,000    120,505 
1 yr. CMT + 1.250% 1.532% VRN 8/21/26   1,465,000    1,304,428 
1 yr. GBP SONIA Linked ICE Swap + 1.250% 2.421% VRN 1/17/29 GBP (a) (b)   100,000    103,156 
Shinhan Bank Co. Ltd.          
4.500% 4/12/28 (a)   330,000    321,578 
Standard Chartered PLC          
1 yr. CMT + 1.000% 1.456% VRN 1/14/27 (a)   295,000    261,294 
5 yr. EUR Swap + 2.800% 2.500% VRN 9/09/30 EUR (a) (b)   300,000    303,640 
3 mo. USD LIBOR + 1.209% 2.819% VRN 1/30/26 (a)   200,000    188,570 
1 yr. CMT + 1.650% 3.971% VRN 3/30/26 (a)   285,000    272,377 
State Bank of India          
4.875% 5/05/28 (a)   480,000    469,992 
Toronto-Dominion Bank          
0.625% 7/20/23 EUR (a) (b)   110,000    119,865 
Truist Financial Corp. SOFR + 1.368%          
4.123% VRN 6/06/28   525,000    494,695 
U.S. Bancorp SOFR + 1.600%          
4.839% VRN 2/01/34 (c)   240,000    224,167 
UBS Group AG          
SOFR + .980% 1.305% VRN 2/02/27 (a)   340,000    297,047 
12 yr. GBP Swap + 1.230% 2.125% VRN 9/12/25 GBP (a) (b)   250,000    296,906 
1 yr. EUR Swap + 1.950% 2.875% VRN 4/02/32 EUR (a) (b)   185,000    175,754 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.750% 3/26/25  $890,000   $851,641 
1 yr. CMT + 2.200% 5.959% VRN 1/12/34 (a)   445,000    442,664 
UniCredit SpA 5 yr. EURIBOR ICE Swap + 4.739%          
4.875% VRN 2/20/29 EUR (a) (b)  200,000   216,684 
Wells Fargo & Co.          
SOFR + 2.100% 2.393% VRN 6/02/28   1,105,000    984,700 
3 mo. USD Term SOFR + 1.262% 2.572% VRN 2/11/31   1,225,000    1,037,195 
3 mo. USD Term SOFR + 1.432% 2.879% VRN 10/30/30   2,145,000    1,852,604 
SOFR + 2.530% 3.068% VRN 4/30/41   335,000    246,398 
4.300% 7/22/27   290,000    278,193 
         45,080,847 
Beverages — 0.2%          
Anheuser-Busch InBev SA          
1.650% 3/28/31 EUR (a) (b)   165,000    155,994 
Anheuser-Busch InBev Worldwide, Inc.          
4.500% 6/01/50   380,000    350,415 
5.550% 1/23/49   400,000    421,598 
         928,007 
Biotechnology — 0.1%          
Amgen, Inc.          
4.875% 3/01/53   135,000    124,213 
CSL Finance PLC          
4.050% 4/27/29 (a)   260,000    246,695 
         370,908 
Building Materials — 0.1%          
CRH Finance U.K. PLC          
4.125% 12/02/29 GBP (a) (b)   150,000    170,290 
Emerald Debt Merger Sub LLC          
6.625% 12/15/30 (a)   125,000    123,906 
Johnson Controls International PLC          
1.000% 9/15/23 EUR (b)   111,000    120,487 
         414,683 
Chemicals — 0.3%          
Braskem Netherlands Finance BV          
4.500% 1/31/30 (a)   300,000    257,720 
Celanese U.S. Holdings LLC          
6.050% 3/15/25   420,000    418,284 
6.165% 7/15/27   145,000    144,250 
INEOS Finance PLC          
6.625% 5/15/28 EUR (a) (b)   100,000    107,020 
MEGlobal BV          
2.625% 4/28/28 (a)   200,000    174,250 
Methanex Corp.          
5.125% 10/15/27   65,000    60,513 
Westlake Corp.          
1.625% 7/17/29 EUR (b)   575,000    514,414 
         1,676,451 
Commercial Services — 0.2%          
Autostrade per l'Italia SpA          
2.000% 12/04/28 EUR (a) (b)   165,000    157,339 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2.000% 1/15/30 EUR (a) (b)  $155,000   $141,814 
2.250% 1/25/32 EUR (a) (b)   100,000    88,457 
Equifax, Inc.          
5.100% 12/15/27  305,000   301,557 
Holding d'Infrastructures de Transport SASU          
1.475% 1/18/31 EUR (a) (b)   100,000    88,872 
IPD 3 BV          
8.000% 6/15/28 EUR (a) (b)   100,000    111,215 
Loxam SAS          
6.375% 5/15/28 EUR (a) (b)   100,000    107,845 
Transurban Finance Co. Pty. Ltd.          
3.000% 4/08/30 EUR (a) (b)   300,000    306,943 
Verisure Holding AB          
3.875% 7/15/26 EUR (a) (b)   100,000    102,295 
         1,406,337 
Computers — 0.0%          
Capgemini SE          
2.500% 7/01/23 EUR (a) (b)   100,000    109,120 
Distribution & Wholesale — 0.0%          
Ritchie Bros Holdings, Inc.          
6.750% 3/15/28 (a)   20,000    20,159 
7.750% 3/15/31 (a) (c)   15,000    15,561 
         35,720 
Diversified Financial Services — 1.5%          
AerCap Ireland Capital DAC/AerCap Global Aviation Trust          
2.450% 10/29/26   525,000    468,904 
3.500% 1/15/25   150,000    143,611 
4.450% 4/03/26   270,000    257,789 
4.875% 1/16/24   540,000    536,205 
6.500% 7/15/25   150,000    150,742 
Ally Financial, Inc.          
4.750% 6/09/27 (c)   1,065,000    988,668 
CA Auto Bank SPA          
0.500% 9/18/23 EUR (a) (b)   109,000    118,100 
0.500% 9/13/24 EUR (a) (b)   160,000    166,381 
Capital One Financial Corp.          
1.650% 6/12/29 EUR (b)   300,000    265,101 
SOFR + 1.790% 3.273% VRN 3/01/30   265,000    225,006 
3.650% 5/11/27   510,000    473,696 
3.750% 3/09/27   115,000    107,115 
SOFR + 2.160% 4.985% VRN 7/24/26   525,000    508,857 
SOFR + 2.600% 5.247% VRN 7/26/30   140,000    131,979 
SOFR + 2.600% 5.817% VRN 2/01/34   445,000    424,563 
Encore Capital Group, Inc.          
5.375% 2/15/26 GBP (a) (b)   140,000    155,308 
Intercontinental Exchange, Inc.          
2.650% 9/15/40   130,000    91,807 
4.350% 6/15/29   465,000    454,787 
Iqera Group SAS          
4.250% 9/30/24 EUR (a) (b)   100,000    106,578 
Kane Bidco Ltd.          
5.000% 2/15/27 EUR (a) (b)   125,000    127,688 
LeasePlan Corp. NV          
0.125% 9/13/23 EUR (b)   108,000    116,934 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
5 yr. EURIBOR ICE Swap + 7.556% 7.375% VRN EUR (a) (b) (e)  $200,000   $213,655 
LSEGA Financing PLC          
2.000% 4/06/28 (a)  1,520,000   1,302,772 
2.500% 4/06/31 (a)   435,000    362,588 
3.200% 4/06/41 (a)   200,000    149,028 
Nasdaq, Inc.          
5.950% 8/15/53   95,000    97,270 
6.100% 6/28/63   120,000    122,706 
Navient Corp.          
9.375% 7/25/30   115,000    114,385 
OneMain Finance Corp.          
7.125% 3/15/26 (c)   55,000    54,037 
9.000% 1/15/29   125,000    126,056 
         8,562,316 
Electric — 1.7%          
Abu Dhabi National Energy Co. PJSC          
4.375% 1/24/29 (a)   400,000    394,832 
Baltimore Gas & Electric Co.          
5.400% 6/01/53   200,000    203,180 
Duke Energy Corp.          
5.000% 8/15/52   725,000    662,749 
Duke Energy Indiana LLC          
5.400% 4/01/53   165,000    166,300 
E.ON International Finance BV          
6.250% 6/03/30 GBP (a) (b)   135,000    172,393 
Edison International          
4.950% 4/15/25   30,000    29,363 
EDP - Energias de Portugal SA          
2.875% 6/01/26 EUR (a) (b)   200,000    211,571 
EDP Finance BV          
6.300% 10/11/27 (a)   200,000    205,028 
Enel Finance America LLC          
7.100% 10/14/27 (a)   200,000    210,140 
Enel Finance International NV          
5.250% 9/29/23 EUR (b)   26,000    28,459 
5.625% 8/14/24 GBP (a) (b)   150,000    188,953 
6.800% 10/14/25 (a)   200,000    203,725 
Georgia Power Co.          
4.950% 5/17/33   450,000    444,194 
Indiana Michigan Power Co.          
5.625% 4/01/53   35,000    35,915 
Interchile SA          
4.500% 6/30/56 (a)   280,000    232,540 
Israel Electric Corp. Ltd.          
7.875% 12/15/26 (a)   250,000    261,487 
Minejesa Capital BV          
5.625% 8/10/37 (a)   300,000    234,749 
NextEra Energy Capital Holdings, Inc.          
2.440% 1/15/32   435,000    352,678 
3.000% 1/15/52   425,000    279,424 
5.000% 7/15/32   125,000    123,278 
5.250% 2/28/53   175,000    168,468 
NRG Energy, Inc.          
4.450% 6/15/29 (a)   170,000    150,254 
Orsted AS          
4.875% 1/12/32 GBP (a) (b)   150,000    176,516 
Pacific Gas & Electric Co.          

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2.100% 8/01/27  $540,000   $461,259 
2.500% 2/01/31   465,000    364,041 
4.550% 7/01/30  510,000   461,563 
6.700% 4/01/53   145,000    142,352 
Palomino Funding Trust I          
7.233% 5/17/28 (a)   290,000    290,143 
RTE Reseau de Transport d'Electricite SADIR          
0.750% 1/12/34 EUR (a) (b)   200,000    163,504 
Sempra Energy          
3.700% 4/01/29   145,000    132,434 
Southern California Edison Co.          
4.700% 6/01/27   340,000    334,213 
5.700% 3/01/53   220,000    219,951 
Southern Co.          
5.200% 6/15/33   665,000    659,586 
State Grid Overseas Investment BVI Ltd.          
1.375% 5/02/25 EUR (a) (b)   100,000    103,173 
Talen Energy Supply LLC          
8.625% 6/01/30 (a)   40,000    41,400 
TenneT Holding BV          
2.000% 6/05/34 EUR (a) (b)   330,000    309,440 
Vistra Corp. 5 yr. CMT + 6.930%          
8.000% VRN (a) (e)   310,000    289,847 
Vistra Operations Co. LLC          
4.375% 5/01/29 (a) (c)   100,000    87,590 
5.125% 5/13/25 (a)   485,000    472,854 
         9,669,546 
Electrical Components & Equipment — 0.0%          
Schneider Electric SE          
1.500% 9/08/23 EUR (a) (b)   100,000    108,670 
Electronics — 0.1%          
Arrow Electronics, Inc.          
4.000% 4/01/25   375,000    360,055 
Sensata Technologies BV          
5.875% 9/01/30 (a)   345,000    335,438 
         695,493 
Engineering & Construction — 0.2%          
ABB Finance BV          
3.375% 1/16/31 EUR (a) (b)   115,000    122,948 
Avinor AS          
0.750% 10/01/30 EUR (a) (b)   140,000    123,681 
Cellnex Telecom SA          
1.750% 10/23/30 EUR (a) (b)   500,000    439,637 
Infrastrutture Wireless Italiane SpA          
1.625% 10/21/28 EUR (a) (b)   155,000    148,189 
         834,455 
Entertainment — 0.2%          
Caesars Entertainment, Inc.          
7.000% 2/15/30 (a)   110,000    110,466 
Churchill Downs, Inc.          
6.750% 5/01/31 (a)   35,000    34,606 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Cirsa Finance International Sarl          
6.250% 12/20/23 EUR (a) (b)  $24,133   $26,215 
International Game Technology PLC          
3.500% 6/15/26 EUR (a) (b)  100,000   105,165 
3.500% 6/15/26 EUR (a) (b)   100,000    105,165 
Lottomatica SpA 3 mo. EUR EURIBOR + 4.125%          
7.588% VRN 6/01/28 EUR (a) (b)   100,000    109,529 
Motion Finco Sarl          
7.375% 6/15/30 EUR (a) (b)   170,000    184,308 
Warnermedia Holdings, Inc.          
3.755% 3/15/27   705,000    657,600 
         1,333,054 
Environmental Controls — 0.0%          
Madison IAQ LLC          
4.125% 6/30/28 (a)   95,000    83,628 
Food — 0.1%          
Bellis Acquisition Co. PLC          
3.250% 2/16/26 GBP (a) (b)   100,000    106,046 
Chobani LLC/Chobani Finance Corp., Inc.          
4.625% 11/15/28 (a)   105,000    95,550 
Mondelez International Holdings Netherlands BV          
0.250% 9/09/29 EUR (a) (b)   198,000    175,601 
Mondelez International, Inc.          
0.250% 3/17/28 EUR (b)   100,000    92,877 
Tesco Corporate Treasury Services PLC          
0.875% 5/29/26 EUR (a) (b)   150,000    149,278 
1.875% 11/02/28 GBP (a) (b)   150,000    152,097 
         771,449 
Forest Products & Paper — 0.0%          
Suzano Austria GmbH          
5.000% 1/15/30   200,000    189,200 
Gas — 0.1%          
APA Infrastructure Ltd.          
3.125% 7/18/31 GBP (a) (b)   150,000    149,339 
3.500% 3/22/30 GBP (a) (b)   150,000    158,045 
NiSource, Inc.          
5.250% 3/30/28   85,000    84,933 
Snam SpA          
0.875% 10/25/26 EUR (a) (b)   185,000    183,021 
         575,338 
Health Care – Products — 0.2%          
Abbott Ireland Financing DAC          
0.875% 9/27/23 EUR (a) (b)   111,000    120,277 
Avantor Funding, Inc.          
4.625% 7/15/28 (a)   105,000    97,327 
Becton Dickinson Euro Finance Sarl          
1.213% 2/12/36 EUR (b)   100,000    78,402 
Medtronic Global Holdings SCA          
0.375% 10/15/28 EUR (b)   100,000    92,167 
Revvity, Inc.          
1.900% 9/15/28   410,000    347,236 
2.250% 9/15/31   220,000    176,520 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.300% 9/15/29  $195,000   $174,248 
Thermo Fisher Scientific, Inc.          
0.875% 10/01/31 EUR (b)   140,000    122,285 
2.375% 4/15/32 EUR (b)  100,000   97,950 
         1,306,412 
Health Care – Services — 1.2%          
Centene Corp.          
2.450% 7/15/28   230,000    196,594 
2.625% 8/01/31   315,000    251,017 
3.375% 2/15/30   515,000    442,612 
4.625% 12/15/29   875,000    805,382 
Charles River Laboratories International, Inc.          
4.000% 3/15/31 (a)   110,000    95,541 
Elevance Health, Inc.          
5.125% 2/15/53   220,000    213,341 
Fresenius Medical Care AG & Co. KGaA          
0.250% 11/29/23 EUR (a) (b)   72,000    77,277 
Fresenius SE & Co. KGaA          
5.000% 11/28/29 EUR (a) (b)   100,000    110,184 
HCA, Inc.          
3.125% 3/15/27 (a)   235,000    215,809 
3.375% 3/15/29 (a)   90,000    80,024 
3.500% 9/01/30   499,000    437,398 
5.375% 9/01/26   170,000    168,664 
5.875% 2/15/26   160,000    160,101 
Humana, Inc.          
4.875% 4/01/30   550,000    538,872 
5.500% 3/15/53   185,000    184,247 
IQVIA, Inc.          
6.500% 5/15/30 (a)   200,000    201,975 
Molina Healthcare, Inc.          
4.375% 6/15/28 (a)   75,000    69,139 
Sutter Health          
5.164% 8/15/33   140,000    139,670 
5.547% 8/15/53   125,000    129,087 
UnitedHealth Group, Inc.          
2.000% 5/15/30   190,000    159,893 
4.500% 4/15/33   420,000    409,081 
5.050% 4/15/53   1,040,000    1,033,705 
5.875% 2/15/53   735,000    816,385 
         6,935,998 
Insurance — 1.0%          
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer          
6.750% 4/15/28 (a)   295,000    292,563 
Allianz SE 10 yr. EURIBOR ICE Swap + 3.200%          
3.375% VRN EUR (a) (b) (e)   400,000    424,498 
AmWINS Group, Inc.          
4.875% 6/30/29 (a)   140,000    126,418 
Aon Corp.          
2.800% 5/15/30   145,000    125,500 
Athene Global Funding          
0.832% 1/08/27 EUR (a) (b)   165,000    153,993 
Berkshire Hathaway Finance Corp.          
1.500% 3/18/30 EUR (b)   167,000    156,709 
2.500% 1/15/51   610,000    398,554 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
2.850% 10/15/50  $185,000   $128,737 
3.850% 3/15/52   195,000    161,199 
CNO Financial Group, Inc.          
5.250% 5/30/25  217,000   213,145 
Corebridge Financial, Inc.          
3.900% 4/05/32   145,000    125,990 
Credit Agricole Assurances SA 5 yr. EURIBOR ICE Swap + 2.650%          
2.625% VRN 1/29/48 EUR (a) (b)   200,000    191,296 
Equitable Holdings, Inc.          
4.350% 4/20/28   1,150,000    1,076,223 
Hannover Rueck SE          
3 mo. EUR EURIBOR + 2.380% 1.125% VRN 10/09/39 EUR (a) (b)   200,000    171,500 
3 mo. EUR EURIBOR + 3.000% 1.750% VRN 10/08/40 EUR (a) (b)   300,000    259,174 
HUB International Ltd.          
7.250% 6/15/30 (a)   285,000    294,291 
Jackson Financial, Inc.          
5.170% 6/08/27 (c)   400,000    380,925 
Jones Deslauriers Insurance Management, Inc.          
8.500% 3/15/30 (a)   140,000    142,829 
Legal & General Group PLC 5 yr. U.K. Government Bond + 4.580%          
5.375% VRN 10/27/45 GBP (a) (b)   185,000    222,773 
Marsh & McLennan Cos., Inc.          
2.250% 11/15/30   185,000    153,780 
Metropolitan Life Global Funding I          
5.000% 1/10/30 GBP (a) (b)   100,000    120,203 
5.150% 3/28/33 (a)   240,000    237,360 
         5,557,660 
Internet — 0.3%          
Gen Digital, Inc.          
7.125% 9/30/30 (a) (c)   32,000    32,054 
Match Group Holdings II LLC          
5.000% 12/15/27 (a)   128,000    118,709 
MercadoLibre, Inc.          
3.125% 1/14/31   200,000    159,419 
Meta Platforms, Inc.          
5.600% 5/15/53   665,000    682,963 
Netflix, Inc.          
3.875% 11/15/29 EUR (a) (b)   325,000    345,178 
4.625% 5/15/29 EUR (b)   100,000    110,313 
Tencent Holdings Ltd.          
3.240% 6/03/50 (a)   350,000    229,544 
United Group BV          
4.625% 8/15/28 EUR (a) (b)   100,000    87,623 
         1,765,803 
Investment Companies — 0.1%          
JAB Holdings BV          
2.000% 5/18/28 EUR (a) (b)   300,000    297,039 
MDGH GMTN RSC Ltd.          
4.375% 11/22/33 (a)   200,000    192,491 
         489,530 
Iron & Steel — 0.0%          
ABJA Investment Co. Pte Ltd.          
5.450% 1/24/28 (a)   200,000    196,529 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Leisure Time — 0.2%          
Carnival Corp.          
9.875% 8/01/27 (a)  $80,000   $83,331 
10.500% 6/01/30 (a)   165,000    175,045 
Deuce Finco PLC          
5.500% 6/15/27 GBP (a) (b)   100,000    107,632 
Harley-Davidson Financial Services, Inc.          
5.125% 4/05/26 EUR (a) (b)   210,000    231,136 
Life Time, Inc.          
5.750% 1/15/26 (a)   125,000    121,817 
Royal Caribbean Cruises Ltd.          
11.625% 8/15/27 (a)   40,000    43,497 
8.250% 1/15/29 (a)   120,000    125,982 
         888,440 
Lodging — 0.1%          
Las Vegas Sands Corp.          
3.500% 8/18/26   210,000    195,600 
Marriott International, Inc.          
4.900% 4/15/29   100,000    97,294 
5.000% 10/15/27   335,000    332,368 
         625,262 
Machinery – Diversified — 0.0%          
Highland Holdings Sarl          
0.318% 12/15/26 EUR (b)   122,000    117,551 
TK Elevator Midco GmbH          
4.375% 7/15/27 EUR (a) (b)   100,000    97,393 
         214,944 
Media — 0.2%          
Altice Financing SA          
4.250% 8/15/29 EUR (a) (b)   100,000    83,510 
CCO Holdings LLC/CCO Holdings Capital Corp.          
4.250% 2/01/31 (a)   130,000    105,166 
6.375% 9/01/29 (a)   75,000    70,662 
7.375% 3/01/31 (a)   25,000    24,361 
Charter Communications Operating LLC/Charter Communications Operating Capital          
2.250% 1/15/29   355,000    295,602 
6.484% 10/23/45   105,000    98,712 
Comcast Corp.          
3.250% 11/01/39   295,000    234,001 
DISH DBS Corp.          
5.750% 12/01/28 (a)   65,000    48,346 
DISH Network Corp.          
11.750% 11/15/27 (a)   85,000    82,952 
Sirius XM Radio, Inc.          
4.000% 7/15/28 (a)   125,000    108,609 
Univision Communications, Inc.          
7.375% 6/30/30 (a) (c)   65,000    61,888 
Ziggo BV          
2.875% 1/15/30 EUR (a) (b)   100,000    87,705 
         1,301,514 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Mining — 0.0%          
Anglo American Capital PLC          
3.375% 3/11/29 GBP (a) (b)  $140,000   $150,218 
Hudbay Minerals, Inc.          
6.125% 4/01/29 (a) (c)   60,000    55,246 
         205,464 
Miscellaneous - Manufacturing — 0.0%          
Siemens Financieringsmaatschappij NV          
0.375% 9/06/23 EUR (a) (b)   107,000    116,042 
Oil & Gas — 0.5%          
BP Capital Markets PLC          
2.213% 9/25/26 EUR (a) (b)   160,000    165,702 
Chesapeake Energy Corp.          
6.750% 4/15/29 (a) (c)   75,000    74,418 
Eni SpA          
3.250% 7/10/23 EUR (a) (b)   117,000    127,652 
4.750% 9/12/28 (a)   475,000    463,751 
Leviathan Bond Ltd.          
6.500% 6/30/27 (a)   300,000    286,500 
Occidental Petroleum Corp.          
6.200% 3/15/40   95,000    93,631 
6.450% 9/15/36   80,000    82,104 
8.500% 7/15/27 (c)   115,000    124,224 
8.875% 7/15/30   260,000    298,839 
Petroleos Mexicanos          
4.750% 2/26/29 EUR (a) (b)   365,000    311,660 
Pioneer Natural Resources Co.          
5.100% 3/29/26   145,000    144,130 
Saudi Arabian Oil Co.          
4.250% 4/16/39 (a)   200,000    175,858 
Wintershall Dea Finance BV          
0.452% 9/25/23 EUR (a) (b)   100,000    108,067 
Woodside Finance Ltd.          
3.700% 9/15/26 (a)   750,000    705,506 
         3,162,042 
Packaging & Containers — 0.1%          
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC          
3.000% 9/01/29 EUR (a) (b)   180,000    145,855 
Ball Corp.          
6.000% 6/15/29   130,000    129,025 
6.875% 3/15/28 (c)   140,000    142,781 
Graphic Packaging International LLC          
2.625% 2/01/29 EUR (a) (b)   100,000    95,614 
Sealed Air Corp.          
5.000% 4/15/29 (a)   75,000    69,783 
Sealed Air Corp./Sealed Air Corp. U.S.          
6.125% 2/01/28 (a)   20,000    19,852 
Trivium Packaging Finance BV          
3.750% 8/15/26 EUR (a) (b)   100,000    100,481 
         703,391 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pharmaceuticals — 1.2%          
AbbVie, Inc.          
2.625% 11/15/28 EUR (b)  $225,000   $230,801 
4.050% 11/21/39   270,000    235,079 
4.250% 11/21/49   325,000    280,517 
4.700% 5/14/45   530,000    484,226 
4.875% 11/14/48   980,000    926,123 
Bayer Capital Corp. BV          
1.250% 11/13/23 EUR (a) (b)   56,000    60,490 
Becton Dickinson & Co.          
2.823% 5/20/30   510,000    446,043 
3.020% 5/24/25 GBP (b)   150,000    179,459 
CVS Health Corp.          
3.250% 8/15/29   135,000    121,234 
5.050% 3/25/48   823,000    758,594 
5.625% 2/21/53   430,000    427,476 
5.875% 6/01/53   230,000    235,854 
Gruenenthal GMBH          
6.750% 5/15/30 EUR (a) (b)   100,000    111,455 
Merck & Co., Inc.          
5.000% 5/17/53   285,000    288,716 
Pfizer Investment Enterprises Pte. Ltd.          
4.750% 5/19/33   280,000    278,945 
5.300% 5/19/53   275,000    285,912 
Sanofi          
2.500% 11/14/23 EUR (a) (b)   100,000    108,541 
Teva Pharmaceutical Finance Netherlands III BV          
7.875% 9/15/29   200,000    206,106 
Upjohn Finance BV          
1.908% 6/23/32 EUR (a) (b)   145,000    121,355 
Utah Acquisition Sub, Inc.          
3.125% 11/22/28 EUR (a) (b)   155,000    155,959 
3.950% 6/15/26   1,030,000    978,280 
         6,921,165 
Pipelines — 0.8%          
Boardwalk Pipelines LP          
3.400% 2/15/31   890,000    764,494 
Cheniere Corpus Christi Holdings LLC          
5.125% 6/30/27   140,000    137,628 
Energy Transfer LP          
2.900% 5/15/25   185,000    175,284 
Enterprise Products Operating LLC          
3.200% 2/15/52   260,000    182,614 
Kinetik Holdings LP          
5.875% 6/15/30 (a) (c)   90,000    85,544 
NuStar Logistics LP          
5.750% 10/01/25   80,000    77,996 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.          
7.500% 10/01/25 (a)   110,000    109,789 
Targa Resources Partners LP/Targa Resources Partners Finance Corp.          
4.000% 1/15/32   125,000    108,054 
4.875% 2/01/31   25,000    23,104 
5.500% 3/01/30   150,000    144,356 
6.875% 1/15/29   345,000    351,893 
Transcanada Trust 3 mo. CAD CDOR + 3.080%          
4.650% VRN 5/18/77 CAD (b)   650,000    436,102 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Transcontinental Gas Pipe Line Co. LLC          
4.600% 3/15/48  $110,000   $93,499 
Venture Global Calcasieu Pass LLC          
3.875% 8/15/29 (a)   55,000    48,047 
3.875% 11/01/33 (a)   80,000    65,511 
4.125% 8/15/31 (a)   65,000    55,898 
6.250% 1/15/30 (a)   115,000    114,073 
Venture Global LNG, Inc.          
8.125% 6/01/28 (a)   205,000    208,205 
8.375% 6/01/31 (a)   550,000    554,492 
Williams Cos., Inc.          
3.750% 6/15/27   1,170,000    1,104,127 
         4,840,710 
Real Estate — 0.2%          
Akelius Residential Property AB          
1.750% 2/07/25 EUR (a) (b)   170,000    173,133 
Blackstone Property Partners Europe Holdings Sarl          
0.500% 9/12/23 EUR (a) (b)   100,000    107,865 
1.750% 3/12/29 EUR (a) (b)   280,000    226,624 
CBRE Services, Inc.          
5.950% 8/15/34   420,000    414,718 
Howard Hughes Corp.          
5.375% 8/01/28 (a)   40,000    35,603 
Logicor Financing Sarl          
1.500% 7/13/26 EUR (a) (b)   167,000    157,079 
Vonovia Finance BV          
2.250% 12/15/23 EUR (a) (b)   100,000    107,791 
         1,222,813 
Real Estate Investment Trusts (REITS) — 1.4%          
Brixmor Operating Partnership LP          
4.050% 7/01/30   585,000    527,299 
4.125% 6/15/26   2,000,000    1,868,059 
4.125% 5/15/29   160,000    142,719 
Crown Castle, Inc.          
2.250% 1/15/31   715,000    582,754 
Essex Portfolio LP          
4.000% 3/01/29   760,000    701,317 
GLP Capital LP/GLP Financing II, Inc.          
3.350% 9/01/24   125,000    120,658 
Healthcare Realty Holdings LP          
2.050% 3/15/31   230,000    172,387 
3.625% 1/15/28   850,000    752,082 
Inmobiliaria Colonial Socimi SA          
1.625% 11/28/25 EUR (a) (b)   200,000    204,667 
MGM Growth Properties Operating Partnership LP/MGP Finance Co.-Issuer, Inc.          
5.750% 2/01/27   55,000    54,175 
Prologis LP          
2.250% 6/30/29 GBP (b)   150,000    152,529 
Realty Income Corp.          
3.950% 8/15/27   650,000    617,329 
Regency Centers LP          
3.600% 2/01/27   305,000    286,682 
4.125% 3/15/28   815,000    761,172 
SBA Tower Trust          

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
1.840% 4/15/27 (a)  $635,000   $546,183 
2.593% 10/15/56 (a)   515,000    407,917 
         7,897,929 
Retail — 0.3%          
Bath & Body Works, Inc.          
6.625% 10/01/30 (a) (c)   90,000    86,885 
Lowe's Cos., Inc.          
4.250% 4/01/52   265,000    216,208 
5.625% 4/15/53 (c)   195,000    194,883 
5.750% 7/01/53   150,000    152,843 
Next Group PLC          
3.625% 5/18/28 GBP (a) (b)   250,000    278,803 
Ross Stores, Inc.          
1.875% 4/15/31   535,000    422,139 
Yum! Brands, Inc.          
5.375% 4/01/32   140,000    133,065 
         1,484,826 
Savings & Loans — 0.1%          
Nationwide Building Society          
3 mo. EUR EURIBOR + .930% 1.500% VRN 3/08/26 EUR (a) (b)   140,000    144,299 
5 yr. EUR Swap + 1.500% 2.000% VRN 7/25/29 EUR (a) (b)   150,000    156,458 
         300,757 
Semiconductors — 0.1%          
Entegris Escrow Corp.          
5.950% 6/15/30 (a)   55,000    52,725 
Micron Technology, Inc.          
5.875% 9/15/33   330,000    327,008 
6.750% 11/01/29   210,000    218,293 
         598,026 
Software — 0.2%          
Central Parent, Inc./CDK Global, Inc.          
7.250% 6/15/29 (a) (c)   119,000    117,666 
Fiserv, Inc.          
1.625% 7/01/30 EUR (b)   100,000    92,733 
3.000% 7/01/31 GBP (b)   250,000    253,820 
4.500% 5/24/31 EUR (b)   200,000    219,028 
Oracle Corp.          
5.550% 2/06/53   400,000    387,337 
Workday, Inc.          
3.700% 4/01/29 (c)   110,000    102,009 
         1,172,593 
Telecommunications — 1.1%          
Altice France SA          
3.375% 1/15/28 EUR (a) (b)   135,000    107,169 
5.500% 1/15/28 (a)   290,000    218,981 
America Movil SAB de CV          
5.750% 6/28/30 GBP (b)   190,000    237,941 
AT&T, Inc.          
3.500% 9/15/53   1,120,000    792,866 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Chorus Ltd.          
3.625% 9/07/29 EUR (b)  $215,000   $228,260 
CK Hutchison Group Telecom Finance SA          
0.375% 10/17/23 EUR (a) (b)   109,000    117,644 
NBN Co. Ltd.          
4.125% 3/15/29 EUR (a) (b)   355,000    388,244 
Orange SA          
0.750% 9/11/23 EUR (a) (b)   100,000    108,458 
PLT VII Finance Sarl          
4.625% 1/05/26 EUR (a) (b)   100,000    105,819 
Rogers Communications, Inc.          
3.200% 3/15/27 (a)   185,000    171,994 
3.800% 3/15/32 (a)   295,000    257,866 
4.350% 5/01/49   40,000    31,592 
4.550% 3/15/52 (a)   1,015,000    816,286 
Sprint Capital Corp.          
6.875% 11/15/28   60,000    63,600 
T-Mobile USA, Inc.          
5.750% 1/15/54   465,000    480,222 
TDC Net AS          
5.618% 2/06/30 EUR (a) (b)   370,000    395,389 
Tele2 AB          
0.750% 3/23/31 EUR (a) (b)   230,000    195,861 
Telstra Corp. Ltd.          
1.000% 4/23/30 EUR (a) (b)   260,000    238,575 
Verizon Communications, Inc.          
2.550% 3/21/31   370,000    308,925 
2.625% 12/01/31 EUR (b)   235,000    230,310 
2.650% 11/20/40   530,000    368,666 
3.550% 3/22/51   535,000    399,082 
Vmed O2 U.K. Financing I PLC          
4.500% 7/15/31 GBP (a) (b)   150,000    144,039 
4.500% 7/15/31 GBP (a) (b)   155,000    148,840 
Vodafone Group PLC          
1.750% 8/25/23 EUR (a) (b)   113,000    122,907 
         6,679,536 
Toys, Games & Hobbies — 0.0%          
Hasbro, Inc.          
3.550% 11/19/26   245,000    227,617 
Transportation — 0.1%          
Brambles Finance PLC          
4.250% 3/22/31 EUR (a) (b)   280,000    306,252 
Deutsche Post AG          
2.750% 10/09/23 EUR (a) (b)   62,000    67,446 
InPost SA          
2.250% 7/15/27 EUR (a) (b)   100,000    94,234 
         467,932 
Water — 0.1%          
Severn Trent Utilities Finance PLC          
4.625% 11/30/34 GBP (a) (b)   160,000    180,520 
Veolia Environnement SA          
0.314% 10/04/23 EUR (a) (b)   100,000    108,155 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
1.940% 1/07/30 EUR (a) (b)  $200,000   $195,680 
         484,355 
           
TOTAL CORPORATE DEBT
(Cost $146,917,383)
        134,582,125 
           
MUNICIPAL OBLIGATIONS — 0.1%          
Commonwealth of Puerto Rico, General Obligation          
11/01/43   698,226    351,731 
           
TOTAL MUNICIPAL OBLIGATIONS
(Cost $383,503)
        351,731 
           
NON-U.S. GOVERNMENT AGENCY OBLIGATIONS — 6.2%          
Automobile Asset-Backed Securities — 1.4%          
AmeriCredit Automobile Receivables Trust          
Series 2020-3, Class D, 1.490% 9/18/26   275,000    254,411 
Series 2023-1, Class C, 5.800% 12/18/28   400,000    395,595 
CarMax Auto Owner Trust, Series 2022-1, Class D          
2.470% 7/17/28   280,000    250,563 
Exeter Automobile Receivables Trust          
Series 2021-2A, Class D, 1.400% 4/15/27   235,000    218,141 
Series 2021-3A, Class D, 1.550% 6/15/27   195,000    178,773 
Series 2022-1A, Class D, 3.020% 6/15/28   995,000    918,873 
Series 2022-2A, Class C, 3.850% 7/17/28   820,000    793,657 
Series 2022-3A, Class C, 5.300% 9/15/27   520,000    510,087 
Series 2023-1A, Class D, 6.690% 6/15/29   85,000    83,223 
Ford Credit Auto Lease Trust, Series 2023-A, Class C          
5.540% 12/15/26   850,000    821,942 
Ford Credit Auto Owner Trust          
Series 2023-1, Class A, 4.850% 8/15/35 (a)   895,000    876,297 
Series 2022-C, Class C, 5.220% 3/15/30   200,000    193,918 
GMF Floorplan Owner Revolving Trust, Series 2020-2, Class C          
1.310% 10/15/25 (a)   290,000    285,222 
Santander Bank Auto Credit-Linked Notes, Series 2021-1A, Class B          
1.833% 12/15/31 (a)   89,425    85,993 
Santander Consumer Auto Receivables Trust, Series 2021-AA, Class D          
1.570% 1/15/27 (a)   735,000    672,732 
Santander Drive Auto Receivables Trust          
Series 2021-4, Class D, 1.670% 10/15/27   310,000    286,120 
Series 2022-6, Class B, 4.720% 6/15/27   850,000    833,066 
Santander Retail Auto Lease Trust, Series 2021-A, Class D          
1.380% 3/22/27 (a)   715,000    682,782 
         8,341,395 
Commercial Mortgage-Backed Securities — 1.5%          
Austin Fairmont Hotel Trust, Series 2019-FAIR, Class B, 1 mo. USD LIBOR + 1.250%          
6.443% FRN 9/15/32 (a)   235,000    232,080 
Aventura Mall Trust, Series 2018-AVM, Class A,          
4.249% VRN 7/05/40 (a) (f)   380,000    343,012 
Barclays Commercial Mortgage Trust, Series 2019-BWAY, Class D, 1 mo. USD Term SOFR + 2.274%          
7.422% FRN 11/15/34 (a)   245,000    138,091 
BX Commercial Mortgage Trust          
Series 2021-ARIA, Class B, 1 mo. USD LIBOR + 1.297% 6.490% FRN 10/15/36 (a)   475,000    457,199 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2022-CSMO, Class B, 1 mo. USD Term SOFR + 3.141% 8.288% FRN 6/15/27 (a)  $465,000   $462,676 
BXSC Commercial Mortgage Trust, Series 2018, Class B, 1 mo. USD Term SOFR + 2.092%          
7.239% FRN 3/15/35 (a)   920,000    905,630 
Cantor Commercial Real Estate Lending, Series 2019-CF2, Class B          
3.267% 11/15/52   295,000    231,052 
Citigroup Commercial Mortgage Trust          
Series 2013-375P, Class C, 3.635% VRN 5/10/35 (a) (f)   390,000    340,621 
Series 2013-375P, Class D, 3.635% VRN 5/10/35 (a) (f)   315,000    270,295 
COMM Mortgage Trust, Series 2015-LC23, Class AM,          
4.158% VRN 10/10/48 (f)   1,650,000    1,485,025 
Credit Suisse Mortgage Trust          
Series 2020-NET, Class A, 2.257% 8/15/37 (a)   298,082    264,411 
Series 2020-NET, Class C, 3.526% 8/15/37 (a)   480,000    417,680 
DC Office Trust, Series 2019-MTC, Class D,          
3.174% VRN 9/15/45 (a) (f)   520,000    347,052 
Great Wolf Trust          
Series 2019-WOLF, Class A, 1 mo. USD Term SOFR + 1.148% 6.296% FRN 12/15/36 (a)   710,000    701,586 
Series 2019-WOLF, Class C, 1 mo. USD Term SOFR + 1.747% 6.895% FRN 12/15/36 (a)   435,000    426,860 
JP Morgan Chase Commercial Mortgage Securities Trust, Series 2018-WPT, Class AFX          
4.248% 7/05/33 (a)   115,000    103,623 
VNDO Trust, Series 2016-350P,          
4.033% VRN 1/10/35 (a) (f)   215,000    186,770 
Wells Fargo Commercial Mortgage Trust          
Series 2017-C39, Class B, 4.025% 9/15/50   1,010,000    858,972 
Series 2021-SAVE, Class C, 1 mo. USD LIBOR + 1.800% 6.993% FRN 2/15/40 (a)   368,154    331,604 
         8,504,239 
Other Asset-Backed Securities — 2.1%          
522 Funding CLO Ltd., Series 2019-5A, Class BR, 3 mo. USD Term SOFR + 1.850%          
6.836% FRN 4/15/35 (a)   465,000    437,815 
AGL CLO Ltd., Series 2022-17A, Class A, 3 mo. USD Term SOFR + 1.330%          
6.386% FRN 1/21/35 (a)   630,000    616,570 
Amur Equipment Finance Receivables X LLC, Series 2022-1A, Class C          
2.370% 4/20/28 (a)   175,000    157,715 
Applebee's Funding LLC/IHOP Funding LLC, Series 2023-1A, Class A2          
7.824% 3/05/53 (a)   270,000    266,072 
Carlyle U.S. CLO Ltd., Series 2019-4A, Class A11R, 3 mo. USD Term SOFR + 1.320%          
6.306% FRN 4/15/35 (a)   865,000    844,264 
CIFC Funding Ltd.          
Series 2021-3A, Class A, 3 mo. USD LIBOR + 1.140% 6.400% FRN 7/15/36 (a)   585,000    575,745 
Series 2020-1A, Class A1R, 3 mo. USD LIBOR + 1.150% 6.410% FRN 7/15/36 (a)   925,000    905,117 
Cologix Canadian Issuer LP, Series 2022-1CAN, Class A2          
4.940% 1/25/52 CAD (a) (b)   275,000    187,903 
Driven Brands Funding LLC          
Series 2020-2A, Class A2, 3.237% 1/20/51 (a)   552,288    474,734 
Series 2020-1A, Class A2, 3.786% 7/20/50 (a)   267,438    236,170 
Dryden CLO Ltd., Series 2020-86A, Class A1R, 3 mo. USD LIBOR + 1.100%          
6.360% FRN 7/17/34 (a)   600,000    589,559 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Hardee's Funding LLC          
Series 2021-1A, Class A2, 2.865% 6/20/51 (a)  $294,000   $231,990 
Series 2018-1A, Class AII, 4.959% 6/20/48 (a)   309,563    288,405 
HPEFS Equipment Trust          
Series 2022-1A, Class C, 1.960% 5/21/29 (a)   129,000    121,570 
Series 2022-1A, Class D, 2.400% 11/20/29 (a)   350,000    322,420 
Series 2022-3A, Class C, 6.130% 8/20/29 (a)   615,000    610,307 
HPS Loan Management Ltd.          
Series 2021-16A, Class A1, 3 mo. USD LIBOR + 1.140% 6.413% FRN 1/23/35 (a)   290,000    283,552 
Series 11A-17, Class BR, 3 mo. USD LIBOR + 1.550% 6.874% FRN 5/06/30 (a)   265,000    259,356 
Kubota Credit Owner Trust, Series 2023-1A, Class A4          
5.070% 2/15/29 (a)   110,000    107,047 
Madison Park Funding XXXIII Ltd., Series 2019-33A, Class AR, 3 mo. USD Term SOFR + 1.290%          
6.276% FRN 10/15/32 (a)   465,000    458,232 
MVW Owner Trust, Series 2023-1A, Class A          
4.930% 10/20/40 (a)   598,828    587,162 
Neuberger Berman Loan Advisers CLO Ltd.          
Series 2019-32A, Class AR, 3 mo. USD LIBOR + .990% 6.255% FRN 1/20/32 (a)   1,445,000    1,429,553 
Series 2021-43A, Class A, 3 mo. USD LIBOR + 1.130% 6.390% FRN 7/17/35 (a)   685,000    674,280 
Octane Receivables Trust, Series 2023-1A, Class A          
5.870% 5/21/29 (a)   138,425    137,681 
OZLM Ltd., Series 2014-7RA, Class A1R, 3 mo. USD LIBOR + 1.010%          
6.270% FRN 7/17/29 (a)   178,958    178,088 
Palmer Square CLO Ltd., Series 2022-1A, Class A, 3 mo. USD Term SOFR + 1.320%          
6.369% FRN 4/20/35 (a)   480,000    467,830 
Symphony CLO XXXI Ltd., Series 2022-31A, Class B, 3 mo. USD Term SOFR + 1.850%          
6.921% FRN 4/22/35 (a)   410,000    395,396 
Verizon Master Trust, Series 2023-1, Class C          
4.980% 1/22/29   250,000    243,627 
Wellfleet CLO Ltd., Series 2017-2A, Class A1R, 3 mo. USD LIBOR + 1.060%          
6.310% FRN 10/20/29 (a)   367,818    365,192 
         12,453,352 
Student Loans Asset-Backed Securities — 0.3%          
Navient Private Education Refi Loan Trust, Series 2020-CA, Class B          
2.830% 11/15/68 (a)   470,000    371,868 
SMB Private Education Loan Trust          
Series 2020-BA, Class A1A, 1.290% 7/15/53 (a)   168,755    150,199 
Series 2021-A, Class B, 2.310% 1/15/53 (a)   570,000    512,598 
Series 2018-A, Class A2A, 3.500% 2/15/36 (a)   553,037    530,736 
         1,565,401 
Whole Loan Collateral Collateralized Mortgage Obligations — 0.7%          
Angel Oak Mortgage Trust          
Series 2020-5, Class A3, 2.041% VRN 5/25/65 (a) (f)   58,655    53,192 
Series 2022-1, Class A1, 2.881% STEP 12/25/66 (a)   298,149    261,722 
Series 2020-5, Class M1, 2.970% VRN 5/25/65 (a) (f)   275,000    223,075 
BINOM Securitization Trust, Series 2021-INV1, Class A1,          
2.034% VRN 6/25/56 (a) (f)   281,361    239,161 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
CIM Trust, Series 2021-INV1, Class A29,          
2.500% VRN 7/01/51 (a) (f)  $586,293   $454,079 
Citigroup Mortgage Loan Trust, Series 2022-INV1, Class A4B,          
3.000% VRN 11/27/51 (a) (f)   216,774    176,611 
COLT Mortgage Loan Trust, Series 2020-3, Class A1,          
1.506% VRN 4/27/65 (a) (f)   40,930    37,724 
Flagstar Mortgage Trust          
Series 2018-6RR, Class 2A4, 4.000% VRN 9/25/48 (a) (f)   14,402    13,592 
Series 2020-1INV, Class A11, 1 mo. USD LIBOR + .850% 5.988% FRN 3/25/50 (a)   83,809    77,893 
Galton Funding Mortgage Trust, Series 2018-1, Class A23,          
3.500% VRN 11/25/57 (a) (f)   20,306    18,035 
GS Mortgage-Backed Securities Trust, Series 2020-INV1, Class A14,          
2.927% VRN 10/25/50 (a) (f)   238,826    199,666 
Imperial Fund Mortgage Trust, Series 2021-NQM2, Class A1,          
1.073% VRN 9/25/56 (a) (f)   205,994    163,942 
JP Morgan Mortgage Trust          
Series 2020-LTV1, Class B1, 3.286% VRN 6/25/50 (a) (f)   352,932    285,938 
Series 2019-INV3, Class A3, 3.500% VRN 5/25/50 (a) (f)   109,927    98,453 
Series 2020-LTV1, Class A3, 3.500% VRN 6/25/50 (a) (f)   24,870    23,625 
Series 2020-INV1, Class A3, 3.500% VRN 8/25/50 (a) (f)   94,688    83,320 
Series 2020-5, Class B2, 3.578% VRN 12/25/50 (a) (f)   332,133    278,899 
Series 2020-INV1, Class A11, 1 mo. USD LIBOR + .830% 5.968% FRN 8/25/50 (a)   59,969    56,492 
Onslow Bay Financial LLC          
Series 2020-EXP1, Class 1A8, 3.500% VRN 2/25/60 (a) (f)   250,821    218,984 
Series 2019-INV2, Class A25, 4.000% VRN 5/27/49 (a) (f)   103,077    94,408 
Sequoia Mortgage Trust          
Series 2017-CH1, Class A2, 3.500% VRN 8/25/47 (a) (f)   42,931    38,979 
Series 2017-CH1, Class A13, 4.000% VRN 8/25/47 (a) (f)   53,367    49,559 
Series 2018-CH3, Class A2, 4.000% VRN 8/25/48 (a) (f)   8,466    8,108 
Series 2018-CH4, Class A2, 4.000% VRN 10/25/48 (a) (f)   2,145    2,123 
SG Residential Mortgage Trust, Series 2019-3, Class A1,          
2.703% VRN 9/25/59 (a) (f)   11,794    11,357 
Towd Point Mortgage Trust, Series 2019-HY3, Class A1A, 1 mo. USD LIBOR + 1.000%          
6.150% FRN 10/25/59 (a)   105,540    104,549 
Verus Securitization Trust          
Series 2021-5, Class A2, 1.218% VRN 9/25/66 (a) (f)   278,044    222,759 
Series 2019-4, Class A1, 2.642% STEP 11/25/59 (a)   107,835    102,241 
Series 2022-1, Class A1, 2.724% STEP 1/25/67 (a)   730,906    646,966 
Series 2020-INV1, Class A3, 3.889% VRN 3/25/60 (a) (f)   100,000    94,879 
         4,340,331 
Whole Loan Collateral Support Collateralized Mortgage Obligations — 0.2%          
Bayview MSR Opportunity Master Fund Trust, Series 2021-4, Class A20,          
2.500% VRN 10/25/51 (a) (f)   416,102    323,958 
GS Mortgage-Backed Securities Trust          
Series 2021-GR1, Class A4, 2.500% VRN 11/25/51 (a) (f)   441,101    343,421 
Series 2021-GR2, Class A4, 2.500% VRN 2/25/52 (a) (f)   453,490    353,067 
JP Morgan Mortgage Trust          
Series 2019-INV3, Class A15, 3.500% VRN 5/25/50 (a) (f)   94,633    84,512 
Series 2020-LTV1, Class A15, 3.500% VRN 6/25/50 (a) (f)   10,631    10,082 
Sequoia Mortgage Trust          
Series 2018-CH1, Class A19, 4.000% VRN 3/25/48 (a) (f)   68,310    62,393 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2018-CH2, Class A21, 4.000% VRN 6/25/48 (a) (f)  $21,912   $19,959 
         1,197,392 
           
TOTAL NON-U.S. GOVERNMENT AGENCY OBLIGATIONS
(Cost $39,626,571)
        36,402,110 
           
SOVEREIGN DEBT OBLIGATIONS — 18.3%          
Albania Government International Bonds          
3.500% 10/09/25 EUR (a) (b)   160,000    166,742 
3.500% 6/16/27 EUR (a) (b)   105,000    105,410 
3.500% 11/23/31 EUR (a) (b)   490,000    443,406 
5.900% 6/09/28 EUR (a) (b)   410,000    437,102 
Australia Government International Bonds          
3.000% 3/21/47 AUD (a) (b)   738,000    393,471 
4.500% 4/21/33 AUD (a) (b)   3,453,000    2,386,367 
Austria Government Bonds          
0.750% 3/20/51 EUR (a) (b)   1,074,000    678,746 
Brazil Notas do Tesouro Nacional Serie B          
6.000% 5/15/25 BRL (b)   270,000    232,584 
Brazil Notas do Tesouro Nacional Serie F          
10.000% 1/01/27 BRL (b)   2,855,000    564,024 
10.000% 1/01/31 BRL (b)   6,752,000    1,302,611 
Bulgaria Government International Bonds          
4.500% 1/27/33 EUR (a) (b)   230,000    248,184 
4.500% 1/27/33 EUR (a) (b)   485,000    523,345 
Bundesrepublik Deutschland Bundesanleihe          
8/15/52EUR (a) (b)   710,210    396,416 
Canadian Government International Bonds          
1.250% 3/01/27 CAD (b)   8,176,000    5,624,607 
4.000% 12/01/31 CAD (b)   1,750,445    1,577,165 
Chile Government International Bonds          
4.125% 7/05/34 EUR (b) (d)   170,000    183,881 
Colombia TES          
6.000% 4/28/28 COP (b)   1,597,700,000    328,246 
7.000% 3/26/31 COP (b)   2,550,000,000    515,199 
13.250% 2/09/33 COP (b)   50,100,000    14,083 
Cyprus Government International Bonds          
0.950% 1/20/32 EUR (a) (b)   610,000    532,639 
2.750% 2/26/34 EUR (a) (b)   93,000    90,538 
2.750% 5/03/49 EUR (a) (b)   99,000    88,557 
3.750% 7/26/23 EUR (a) (b)   120,000    130,683 
3.750% 7/26/23 EUR (a) (b)   100,000    108,903 
Czech Republic Government Bonds          
1.500% 4/24/40 CZK (b)   10,300,000    307,312 
1.950% 7/30/37 CZK (b)   7,880,000    271,822 
2.750% 7/23/29 CZK (b)   34,640,000    1,439,048 
Deutsche Bundesrepublik Inflation-Linked Bonds          
0.100% 4/15/26 EUR (a) (b)   2,410,349    2,569,243 
0.500% 4/15/30 EUR (a) (b)   2,034,182    2,259,033 
French Republic Government Bonds OAT          
0.000% 5/25/32 EUR (a) (b)   2,662,000    2,257,649 
1.250% 5/25/36 EUR (a) (b)   1,713,000    1,508,955 
Hellenic Republic Government Bonds          
0.750% 6/18/31 EUR (a) (b)   585,000    510,746 
Hungary Government International Bonds          
2.250% 4/20/33 HUF (b)   666,170,000    1,335,110 
4.750% 11/24/32 HUF (b)   53,110,000    131,659 
5.000% 2/22/27 EUR (a) (b)   247,000    270,822 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Iceland Government International Bonds          
4/15/28EUR (a) (b)  $346,000   $315,830 
India Government International Bonds          
7.260% 8/22/32 INR (b)   94,100,000    1,155,370 
Indonesia Government International Bonds          
3.750% 6/14/28 EUR (a) (b)   1,280,000    1,384,026 
Indonesia Treasury Bonds          
6.375% 8/15/28 IDR (b)   11,696,000,000    795,071 
6.375% 4/15/32 IDR (b)   8,575,000,000    573,567 
6.500% 2/15/31 IDR (b)   20,656,000,000    1,388,149 
Ireland Government International Bonds          
1.500% 5/15/50 EUR (a) (b)   73,000    55,752 
2.000% 2/18/45 EUR (a) (b)   191,000    169,690 
Israel Government International Bonds          
1.500% 1/18/27 EUR (a) (b)   530,000    532,318 
1.750% 8/31/25 ILS (b)   4,274,000    1,109,809 
3.750% 3/31/47 ILS (b)   13,054,000    3,387,264 
5.500% 1/31/42 ILS (b)   3,138,000    1,029,273 
Italy Buoni Poliennali Del Tesoro          
2.800% 3/01/67 EUR (a) (b)   1,022,000    796,319 
3.400% 4/01/28 EUR (a) (b)   859,000    924,246 
4.400% 5/01/33 EUR (a) (b)   3,843,000    4,337,185 
Ivory Coast Government International Bonds          
5.875% 10/17/31 EUR (a) (b)   465,000    423,686 
Japan Government Ten Year Bonds          
0.400% 3/20/25 JPY (b)   336,200,000    2,349,194 
Japan Government Thirty Year Bonds          
0.700% 12/20/51 JPY (b)   20,300,000    122,287 
1.000% 3/20/52 JPY (b)   329,400,000    2,144,644 
1.300% 6/20/52 JPY (b)   221,250,000    1,549,984 
1.400% 9/20/52 JPY (b)   234,950,000    1,686,716 
1.700% 9/20/44 JPY (b)   245,550,000    1,912,583 
Japanese Government CPI-Linked Bond          
0.005% 3/10/31 JPY (b)   195,680,316    1,456,465 
0.100% 3/10/24 JPY (b)   111,901,600    790,240 
0.100% 9/10/24 JPY (b)   294,705,400    2,098,547 
0.100% 3/10/25 JPY (b)   264,791,300    1,893,791 
Latvia Government International Bonds          
0.375% 10/07/26 EUR (a) (b)   2,114,000    2,068,229 
Malaysia Government International Bonds          
4.065% 6/15/50 MYR (b)   2,120,000    442,104 
4.642% 11/07/33 MYR (b)   1,255,000    285,506 
4.736% 3/15/46 MYR (b)   5,640,000    1,299,439 
4.921% 7/06/48 MYR (b)   6,150,000    1,462,647 
4.935% 9/30/43 MYR (b)   325,000    77,017 
Mexican Bonos          
7.500% 5/26/33 MXN (b)   23,866,000    1,283,636 
8.500% 5/31/29 MXN (b)   4,567,000    264,161 
8.500% 11/18/38 MXN (b)   18,900,000    1,075,435 
New South Wales Treasury Corp.          
4.000% 5/20/26 AUD (a) (b)   860,000    567,546 
4.000% 5/20/26 AUD (a) (b)   680,000    448,758 
New Zealand Government International Bonds          
3.500% 4/14/33 NZD (a) (b)   2,211,000    1,236,901 
North Macedonia Government International Bonds          
6.960% 3/13/27 EUR (a) (b)   150,000    166,826 
Norway Government International Bonds          
3.000% 3/14/24 NOK (a) (b)  2,700,000   249,700 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Philippines Government International Bonds          
0.250% 4/28/25 EUR (b)  $125,000   $126,852 
Province of Ontario Canada          
3.500% 6/02/43 CAD (b)   76,000    52,414 
3.500% 6/02/43 CAD (b)   62,000    42,759 
Romania Government International Bonds          
2.125% 3/07/28 EUR (a) (b)   430,000    406,501 
2.875% 10/28/24 EUR (a) (b)   100,000    107,250 
2.875% 5/26/28 EUR (a) (b)   560,000    547,238 
3.624% 5/26/30 EUR (a) (b)   509,000    485,971 
4.750% 10/11/34 RON (b)   5,975,000    1,098,984 
Senegal Government International Bonds          
1.000% 9/23/28 EUR (a) (b)   850,000    716,509 
1.500% 6/26/29 EUR (a) (b)   282,000    237,477 
1.650% 3/03/33 EUR (a) (b)   435,000    315,904 
2.050% 9/23/36 EUR (a) (b)   280,000    186,896 
2.050% 9/23/36 EUR (a) (b)   375,000    250,308 
4.750% 3/13/28 EUR (a) (b)   180,000    168,723 
5.375% 6/08/37 EUR (a) (b)   255,000    185,319 
Serbia Treasury Bonds          
4.500% 8/20/32 RSD (b)   22,500,000    183,979 
Singapore Government International Bonds          
0.500% 11/01/25 SGD (b)   1,350,000    931,544 
1.625% 7/01/31 SGD (b)   1,248,000    828,216 
2.375% 6/01/25 SGD (b)   480,000    347,017 
2.875% 7/01/29 SGD (b)   4,270,000    3,114,726 
Slovenia Government International Bonds          
0.000% 2/12/31 EUR (a) (b)   155,000    132,087 
1.500% 3/25/35 EUR (a) (b)   243,000    212,853 
1.750% 11/03/40 EUR (a) (b)   450,000    371,704 
2.250% 3/03/32 EUR (a) (b)   170,000    171,248 
3.125% 8/07/45 EUR (a) (b)   1,035,000    1,048,212 
South Africa Government International Bonds          
7.000% 2/28/31 ZAR (b)   24,785,000    1,053,358 
10.500% 12/21/26 ZAR (b)   12,923,000    712,675 
Spain Government International Bonds          
1/31/28EUR (a) (b)   1,726,000    1,626,062 
Sweden Government International Bonds          
2.250% 6/01/32 SEK (a) (b)   33,150,000    2,999,109 
Thailand Government International Bonds          
2.000% 12/17/31 THB (b)   84,934,000    2,311,798 
3.650% 6/20/31 THB (b)   19,528,000    596,850 
U.K. Inflation-Linked Gilts          
0.125% 3/22/26 GBP (a) (b)   861,399    1,055,687 
0.125% 8/10/28 GBP (a) (b)   2,852,990    3,483,897 
0.625% 6/07/25 GBP (a) (b)   1,393,000    1,620,150 
0.625% 10/22/50 GBP (a) (b)   578,000    297,780 
1.500% 7/22/26 GBP (a) (b)   3,289,000    3,762,560 
4.250% 12/07/46 GBP (a) (b)   209,000    255,683 
         107,363,114 
           
TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $117,724,344)
        107,290,519 
           

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
U.S. Government Agency Obligations and Instrumentalities (g) — 26.4%          
Collateralized Mortgage Obligations — 0.0%          
Federal Home Loan Mortgage Corp. REMICS
Series 4977, Class IO 4.500% 5/25/50
  $241,254   $45,235 
Government National Mortgage Association
Series 2022-63, Class LM 3.500% 10/20/50
   260,000    222,010 
         267,245 
Pass-Through Securities — 26.0%          
Federal Home Loan Mortgage Corp.          
Pool #SB8147 1.500% 4/01/37   321,555    277,295 
Pool #RB5148 2.000% 3/01/42   841,444    710,680 
Pool #RA3046 2.000% 7/01/50   25,989    21,390 
Pool #SD8128 2.000% 2/01/51 (d)   1,571,891    1,286,842 
Pool #SD8140 2.000% 4/01/51   329,504    269,751 
Pool #RA5258 2.000% 5/01/51   834,368    681,237 
Pool #SD8146 2.000% 5/01/51   513,011    419,018 
Pool #QC2565 2.000% 6/01/51   30,956    25,285 
Pool #RA6505 2.000% 12/01/51   1,428,327    1,169,312 
Pool #QD9658 2.000% 2/01/52   33,452    27,271 
Pool #SD1217 2.000% 3/01/52   236,583    194,494 
Pool #SD8199 2.000% 3/01/52   223,569    182,398 
Pool #SD8204 2.000% 4/01/52   217,915    177,785 
Pool #RA7324 2.000% 5/01/52   143,198    117,543 
Pool #RB5149 2.500% 3/01/42   655,056    574,409 
Pool #SD8089 2.500% 7/01/50   145,000    123,478 
Pool #SD8099 2.500% 10/01/50   152,351    129,666 
Pool #SD7535 2.500% 2/01/51   1,233,983    1,061,045 
Pool #QC1292 2.500% 5/01/51   19,429    16,475 
Pool #QC3425 2.500% 6/01/51   220,339    186,774 
Pool #QC2902 2.500% 6/01/51   37,857    32,551 
Pool #QC5575 2.500% 8/01/51   76,584    64,918 
Pool #RA6623 2.500% 1/01/52   1,075,412    918,311 
Pool #SD8200 2.500% 3/01/52   669,427    568,078 
Pool #SD8212 2.500% 5/01/52   2,731,078    2,315,682 
Pool #ZS7930 3.000% 1/01/33   372,734    353,054 
Pool #RB5162 3.000% 6/01/42   115,905    104,264 
Pool #RB5166 3.000% 7/01/42   65,073    58,538 
Pool #RB5173 3.000% 8/01/42   55,402    49,838 
Pool #SD1497 3.000% 4/01/43   301,951    274,058 
Pool #ZS4693 3.000% 12/01/46   68,888    61,603 
Pool #G08756 3.000% 4/01/47   29,306    26,238 
Pool #SD0080 3.000% 9/01/49   131,209    117,704 
Pool #SD7531 3.000% 12/01/50   155,106    138,365 
Pool #RA6348 3.000% 11/01/51   427,130    376,890 
Pool #QD8560 3.000% 3/01/52   384,989    338,894 
Pool #SD8220 3.000% 6/01/52   638,024    561,833 
Pool #QE4043 3.000% 6/01/52   458,709    403,787 
Pool #SD7555 3.000% 8/01/52   900,138    800,733 
Pool #SB0015 3.500% 6/01/33   133,788    127,865 
Pool #U90690 3.500% 6/01/42   46,524    42,985 
Pool #U99051 3.500% 6/01/43   46,629    43,080 
Pool #ZM3532 3.500% 6/01/47   177,566    164,010 
Pool #ZT0179 3.500% 11/01/47   283,188    263,338 
Pool #RA1202 3.500% 8/01/49   108,474    100,303 
Pool #SD0212 3.500% 12/01/49   149,327    137,985 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #SD1361 3.500% 2/01/50  $803,471   $747,403 
Pool #SD0617 3.500% 11/01/50   101,170    93,423 
Pool #SB8171 4.000% 6/01/37   62,432    60,366 
Pool #SB0727 4.000% 8/01/37   220,281    213,335 
Pool #RA1906 4.000% 12/01/49   193,107    184,001 
Pool #SD8039 4.000% 1/01/50   230,404    218,099 
Pool #SD1035 4.000% 5/01/52   217,836    204,654 
Pool #SD0422 4.500% 7/01/45   114,001    111,880 
Pool #RA2607 4.500% 5/01/50   47,163    45,846 
Pool #ZS3941 5.000% 12/01/41   35,147    35,305 
Pool #QF0658 5.000% 8/01/52   758,293    746,080 
Pool #QF1305 5.000% 10/01/52   69,352    68,018 
Federal National Mortgage Association          
Pool #MA4581 1.500% 4/01/37   660,248    569,989 
Pool #MA4601 1.500% 5/01/37   552,693    476,619 
Pool #FS2037 1.500% 5/01/37   775,956    669,151 
Pool #MA4519 1.500% 1/01/42   579,272    473,323 
Pool #MA4582 2.000% 4/01/37   278,027    246,329 
Pool #MA4602 2.000% 5/01/37   1,413,933    1,252,728 
Pool #MA4586 2.000% 4/01/42   987,640    834,157 
Pool #FS2763 2.000% 8/01/42   47,998    40,539 
Pool #CA6587 2.000% 8/01/50   112,902    92,922 
Pool #MA4158 2.000% 10/01/50   268,096    219,814 
Pool #MA4237 2.000% 1/01/51 (d)   2,882,081    2,359,440 
Pool #MA4255 2.000% 2/01/51 (d)   1,678,622    1,374,218 
Pool #MA4281 2.000% 3/01/51 (d)   1,825,000    1,494,051 
Pool #MA4325 2.000% 5/01/51   3,356,786    2,741,767 
Pool #CB2357 2.000% 12/01/51   1,175,469    962,307 
Pool #CB2766 2.000% 2/01/52   358,199    293,019 
Pool #CB2848 2.000% 2/01/52   578,174    472,966 
Pool #FS0733 2.000% 2/01/52   516,825    424,556 
Pool #MA4547 2.000% 2/01/52   580,369    473,673 
Pool #FS1618 2.000% 3/01/52   266,642    218,872 
Pool #MA4562 2.000% 3/01/52   5,617,079    4,582,671 
Pool #FS1571 2.000% 4/01/52   25,385    20,710 
Pool #MA4577 2.000% 4/01/52   619,293    505,248 
Pool #MA4622 2.000% 6/01/52   687,107    560,359 
Pool #BM3859 2.500% 8/01/31   86,494    80,658 
Pool #BC9043 2.500% 11/01/31   262,842    244,944 
Pool #BM1890 2.500% 1/01/32   61,775    57,645 
Pool #CB3210 2.500% 3/01/37   1,584,062    1,442,040 
Pool #MA4628 2.500% 6/01/37   489,163    445,612 
Pool #MA4665 2.500% 7/01/37   405,082    368,764 
Pool #CB4726 2.500% 9/01/37   128,004    116,728 
Pool #MA4326 2.500% 5/01/51   903,453    767,521 
Pool #CB0414 2.500% 5/01/51   85,056    72,258 
Pool #BT1265 2.500% 6/01/51   332,320    281,696 
Pool #BT0163 2.500% 6/01/51   51,085    43,926 
Pool #CB1331 2.500% 8/01/51   725,871    616,204 
Pool #CB1280 2.500% 8/01/51   64,579    54,822 
Pool #CB1783 2.500% 10/01/51   1,471,904    1,250,903 
Pool #CB1866 2.500% 10/01/51   1,114,824    947,437 
Pool #CB2638 2.500% 1/01/52   1,241,556    1,055,141 
Pool #CB2635 2.500% 1/01/52   1,206,646    1,023,964 
Pool #CB2538 2.500% 1/01/52   1,064,221    908,755 
Pool #MA4512 2.500% 1/01/52   30,460    25,849 
Pool #CB2804 2.500% 2/01/52   730,345    623,197 
Pool #FS4283 2.500% 3/01/52   59,641    50,630 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #FS2573 2.500% 3/01/52  $84,055   $71,959 
Pool #MA4578 2.500% 4/01/52   1,693,676    1,436,069 
Pool #AS7056 3.000% 4/01/31   197,775    188,136 
Pool #BM5111 3.000% 11/01/33   94,275    89,297 
Pool #CA4885 3.000% 12/01/34   354,262    332,568 
Pool #BO7256 3.000% 1/01/35   179,036    168,016 
Pool #FM2547 3.000% 2/01/35   109,309    102,615 
Pool #FM8540 3.000% 11/01/35   195,831    185,858 
Pool #AL9412 3.000% 11/01/36   205,442    192,448 
Pool #CA5597 3.000% 4/01/40   821,375    755,823 
Pool #MA4632 3.000% 6/01/42   29,983    26,972 
Pool #MA4695 3.000% 7/01/42   174,123    156,635 
Pool #BM4221 3.000% 1/01/43   119,442    108,268 
Pool #BM5468 3.000% 2/01/43   181,927    164,895 
Pool #AB9248 3.000% 5/01/43   45,765    41,500 
Pool #AU1629 3.000% 7/01/43   13,153    11,897 
Pool #AS0406 3.000% 9/01/43   74,294    67,552 
Pool #BM5469 3.000% 3/01/44   333,387    302,112 
Pool #BM3380 3.000% 6/01/46   300,528    272,317 
Pool #MA2670 3.000% 7/01/46   105,910    94,909 
Pool #AS8295 3.000% 11/01/46   264,943    239,079 
Pool #MA2806 3.000% 11/01/46   200,689    179,467 
Pool #BD8462 3.000% 11/01/46   1,165,163    1,048,870 
Pool #FM1000 3.000% 4/01/47   166,992    149,333 
Pool #MA2956 3.000% 4/01/47   131,636    117,716 
Pool #BM1418 3.000% 4/01/47   1,337,637    1,204,130 
Pool #BM4744 3.000% 6/01/47   114,692    103,496 
Pool #FM1572 3.000% 9/01/48   238,073    212,897 
Pool #FM5499 3.000% 2/01/49   156,149    139,637 
Pool #FM1445 3.000% 8/01/49   112,438    100,865 
Pool #CA4108 3.000% 9/01/49   733,762    656,399 
Pool #FM2870 3.000% 3/01/50   203,925    182,233 
Pool #CA5540 3.000% 4/01/50   13,481    12,013 
Pool #CA6314 3.000% 7/01/50   186,347    164,662 
Pool #CA6738 3.000% 8/01/50   222,941    197,694 
Pool #BQ1348 3.000% 8/01/50   120,769    107,092 
Pool #BQ5052 3.000% 9/01/50   6,805    6,045 
Pool #FM7072 3.000% 4/01/51   660,866    588,504 
Pool #CB2432 3.000% 12/01/51   28,838    25,389 
Pool #FM3462 3.500% 12/01/33   290,150    277,930 
Pool #AS4449 3.500% 2/01/35   95,327    90,939 
Pool #FM3340 3.500% 5/01/35   8,730    8,319 
Pool #FM8137 3.500% 9/01/35   92,866    89,100 
Pool #MA1283 3.500% 12/01/42   38,973    35,951 
Pool #MA1373 3.500% 3/01/43   59,735    55,084 
Pool #MA1437 3.500% 5/01/43   55,706    51,353 
Pool #MA1546 3.500% 8/01/43   134,827    125,249 
Pool #AL6167 3.500% 1/01/44   534,347    492,770 
Pool #AS5182 3.500% 6/01/45   347,110    322,128 
Pool #BC1747 3.500% 1/01/46   883,846    819,683 
Pool #BM5785 3.500% 9/01/46   90,304    83,805 
Pool #FS1400 3.500% 7/01/47   23,646    22,057 
Pool #BM4582 3.500% 8/01/47   102,003    94,917 
Pool #BM3122 3.500% 10/01/47   1,021,942    950,309 
Pool #CA0858 3.500% 12/01/47   47,283    43,658 
Pool #MA3210 3.500% 12/01/47   32,579    30,081 
Pool #MA3238 3.500% 1/01/48   199,512    184,217 
Pool #BH9277 3.500% 2/01/48   354,455    327,283 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #FM1001 3.500% 11/01/48  $42,662   $39,405 
Pool #FM8196 3.500% 12/01/48   709,078    654,944 
Pool #FM3972 3.500% 7/01/50   240,085    220,499 
Pool #FM8086 3.500% 7/01/51   115,130    105,045 
Pool #MA4514 3.500% 1/01/52   493,150    449,647 
Pool #BV3533 3.500% 2/01/52   39,644    36,131 
Pool #FS1694 4.000% 7/01/35   120,483    117,211 
Pool #FS1883 4.000% 6/01/37   130,773    126,486 
Pool #BF0198 4.000% 11/01/40   95,914    91,921 
Pool #MA0639 4.000% 2/01/41   310,500    298,065 
Pool #BM3385 4.000% 6/01/45   508,393    485,491 
Pool #FS1042 4.000% 9/01/45   500,201    480,084 
Pool #FM2673 4.000% 10/01/45   768,475    737,427 
Pool #AL8387 4.000% 3/01/46   548,888    523,990 
Pool #FS2119 4.000% 3/01/46   88,576    85,005 
Pool #MA3088 4.000% 8/01/47   29,479    28,096 
Pool #MA3121 4.000% 9/01/47   268,698    256,090 
Pool #MA3467 4.000% 9/01/48   3,780    3,596 
Pool #BM5527 4.000% 10/01/48   89,867    85,735 
Pool #BM5147 4.000% 10/01/48   23,395    22,473 
Pool #FM3664 4.000% 3/01/49   358,752    341,246 
Pool #CA3503 4.000% 5/01/49   50,337    47,771 
Pool #CA4571 4.000% 11/01/49   77,290    73,210 
Pool #CA4823 4.000% 12/01/49   105,778    100,162 
Pool #FS1792 4.000% 5/01/52   214,698    201,722 
Pool #CB4379 4.000% 8/01/52   207,501    194,814 
Pool #MA4700 4.000% 8/01/52   57,335    53,829 
Pool #MA4732 4.000% 9/01/52   270,906    254,258 
Pool #AL0065 4.500% 4/01/41   177,867    174,731 
Pool #AI1888 4.500% 5/01/41   196,740    193,300 
Pool #AL0160 4.500% 5/01/41   257,183    252,578 
Pool #AL6536 4.500% 3/01/45   268,104    263,949 
Pool #BM4185 4.500% 9/01/46   147,980    145,687 
Pool #FM2899 4.500% 11/01/46   330,348    324,318 
Pool #FM5708 4.500% 5/01/47   162,747    159,904 
Pool #BM3148 4.500% 11/01/47   134,144    131,856 
Pool #BM4343 4.500% 5/01/48   136,877    134,457 
Pool #CA2207 4.500% 8/01/48   29,124    28,427 
Pool #CA5186 4.500% 1/01/50   24,965    24,291 
Pool #CA5696 4.500% 5/01/50   75,488    72,783 
Pool #MA4656 4.500% 7/01/52   78,581    75,540 
Pool #MA4701 4.500% 8/01/52   583,711    561,122 
Pool #MA4805 4.500% 11/01/52   207,267    199,181 
Pool #AD6438 5.000% 6/01/40   46,011    46,217 
Pool #FM8543 5.000% 11/01/44   191,058    192,069 
Pool #AL9893 5.000% 2/01/45   250,294    252,129 
Pool #FM4212 5.000% 12/01/47   388,992    387,918 
Pool #FS1510 5.000% 10/01/48   290,106    291,205 
Pool #FS2620 5.000% 8/01/52   45,024    44,201 
Pool #BW7752 5.000% 10/01/52   99,070    97,165 
Pool #BM3279 5.500% 5/01/44   595,647    603,652 
Pool #BM4971 6.000% 7/01/41   174,690    179,569 
Pool #MA4876 6.000% 12/01/52   621,698    627,393 
Pool #FS3820 6.000% 1/01/53   763,347    781,552 
Pool #CB5702 6.000% 2/01/53   824,781    844,709 
Government National Mortgage Association
Pool #AA5821 3.000% 11/15/42
   38,282    34,750 
Government National Mortgage Association II          

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #MA7736 1.500% 12/20/36  $69,295   $59,671 
Pool #MA7796 1.500% 1/20/37   88,931    76,579 
Pool #MA7851 1.500% 2/20/37   174,673    150,412 
Pool #MA8015 1.500% 5/20/37   149,857    128,715 
Pool #MA7254 2.000% 3/20/51   508,088    427,605 
Pool #MA7471 2.000% 7/20/51   1,765,776    1,485,241 
Pool #MA7533 2.000% 8/20/51   2,467,216    2,075,241 
Pool #MA7826 2.000% 1/20/52   775,466    650,811 
Pool #MA7935 2.000% 3/20/52   1,303,157    1,093,676 
Pool #MA6819 2.500% 8/20/50   309,833    269,980 
Pool #MA7472 2.500% 7/20/51   722,317    626,136 
Pool #MA7589 2.500% 9/20/51   374,535    324,546 
Pool #MA7649 2.500% 10/20/51   2,393,504    2,074,046 
Pool #MA7705 2.500% 11/20/51   604,070    523,399 
Pool #MA7767 2.500% 12/20/51   1,282,517    1,110,439 
Pool #MA7936 2.500% 3/20/52   1,264,476    1,094,029 
Pool #MA2600 3.000% 2/20/45   75,364    68,608 
Pool #MA2891 3.000% 6/20/45   613,214    557,859 
Pool #MA3662 3.000% 5/20/46   97,974    88,885 
Pool #MA3802 3.000% 7/20/46   46,599    42,218 
Pool #MA3873 3.000% 8/20/46   270,547    245,110 
Pool #MA4003 3.000% 10/20/46   461,976    418,397 
Pool #MA4195 3.000% 1/20/47   329,020    297,983 
Pool #MA6144 3.000% 9/20/49   12,801    11,154 
Pool #MA6209 3.000% 10/20/49   80,301    69,966 
Pool #MA6399 3.000% 1/20/50   39,758    34,641 
Pool #MA6531 3.000% 3/20/50   131,011    113,903 
Pool #MA6589 3.000% 4/20/50   59,864    52,047 
Pool #MA6757 3.000% 7/20/50   105,098    91,374 
Pool #MA7473 3.000% 7/20/51   815,966    731,983 
Pool #MA7650 3.000% 10/20/51   1,341,849    1,203,738 
Pool #MA8098 3.000% 6/20/52   1,005,875    898,415 
Pool #MA0318 3.500% 8/20/42   152,751    143,584 
Pool #MA0852 3.500% 3/20/43   108,973    102,389 
Pool #783802 3.500% 4/20/43   174,485    162,114 
Pool #MA1012 3.500% 5/20/43   324,476    304,850 
Pool #MA1090 3.500% 6/20/43   128,458    120,672 
Pool #785587 3.500% 12/20/44   219,774    207,193 
Pool #AL1773 3.500% 1/20/45   161,852    151,170 
Pool #MA3173 3.500% 10/20/45   211,402    198,837 
Pool #MA3310 3.500% 12/20/45   69,179    65,003 
Pool #MA3597 3.500% 4/20/46   101,972    95,784 
Pool #MA3663 3.500% 5/20/46   79,721    74,883 
Pool #MA3736 3.500% 6/20/46   213,918    200,870 
Pool #MA3803 3.500% 7/20/46   15,359    14,422 
Pool #MA3937 3.500% 9/20/46   102,279    96,040 
Pool #786092 3.500% 1/20/47   143,405    134,882 
Pool #MA4382 3.500% 4/20/47   18,508    17,321 
Pool # 784346 3.500% 7/20/47   23,958    22,452 
Pool #MA4586 3.500% 7/20/47   35,111    32,860 
Pool #MA4719 3.500% 9/20/47   12,304    11,503 
Pool #BC1919 3.500% 9/20/47   46,857    43,662 
Pool # 784793 3.500% 12/20/47   6,317    5,896 
Pool #MA4900 3.500% 12/20/47   168,549    157,583 
Pool #785087 3.500% 2/20/48   560,131    525,965 
Pool #MA784472 3.500% 2/20/48   278,601    260,301 
Pool #785327 3.500% 10/20/49   63,577    59,217 
Pool #MA3245 4.000% 11/20/45   149,866    144,648 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Pool #MA4511 4.000% 6/20/47  $92,475   $88,764 
Pool #MA4720 4.000% 9/20/47   326,112    312,923 
Pool #MA4838 4.000% 11/20/47   81,261    77,949 
Pool #MA6934 4.000% 10/20/50   771,889    733,677 
Pool #MA8346 4.000% 10/20/52   1,363,739    1,289,516 
Pool #MA5234 4.500% 11/20/41   129,129    127,376 
Pool #MA2894 4.500% 6/20/45   140,361    138,543 
Pool #MA2963 4.500% 7/20/45   52,291    51,613 
Pool #MA3312 4.500% 12/20/45   2,499    2,467 
Pool #MA4588 4.500% 7/20/47   246,405    242,674 
Pool #MA4654 4.500% 8/20/47   38,155    37,529 
Pool #MA5079 4.500% 3/20/48   57,916    56,894 
Pool #MA5265 4.500% 6/20/48   200    196 
Pool #MA5399 4.500% 8/20/48   48,840    47,811 
Pool #MA5711 4.500% 1/20/49   78,637    76,931 
Pool #786255 4.500% 9/20/49   69,836    68,080 
Pool #MA8347 4.500% 10/20/52   1,261,017    1,217,785 
Pool #MA4781 5.000% 10/20/47   259,374    261,110 
Pool #MA5194 5.000% 5/20/48   53,912    53,902 
Pool #BF2644 5.000% 5/20/48   4,606    4,582 
Pool #MA5266 5.000% 6/20/48   384,234    383,924 
Pool #BF2878 5.000% 6/20/48   15,574    15,494 
Pool #MA5988 5.000% 6/20/49   162,355    161,919 
Pool #MA5081 5.500% 3/20/48   44,096    45,125 
Pool #MA5140 5.500% 4/20/48   32,010    32,757 
Pool #MA5195 5.500% 5/20/48   97,341    99,431 
Pool #MA5469 5.500% 9/20/48   371    378 
Pool #MA5531 5.500% 10/20/48   8,771    8,858 
Pool #MA5598 5.500% 11/20/48   44,806    45,250 
Pool #MA5654 5.500% 12/20/48   119,191    120,111 
Pool #MA5713 5.500% 1/20/49   30,090    30,247 
Pool #MA5820 5.500% 3/20/49   32,398    32,820 
Pool #MA8573 7.000% 1/20/53   349,175    358,605 
Government National Mortgage Association II TBA          
2.000% 7/20/53 (d)   395,000    331,658 
2.500% 7/20/53 (d)   480,000    415,402 
5.000% 7/20/53 (d)   510,000    501,098 
5.500% 7/20/53 (d)   3,385,000    3,370,107 
6.000% 7/20/53 (d)   685,000    689,458 
6.500% 7/20/53 (d)   825,000    839,686 
Uniform Mortgage-Backed Security TBA          
2.000% 7/18/38 (d)   3,735,000    3,309,649 
2.000% 7/13/53 (d)   11,315,000    9,220,440 
2.500% 7/13/53 (d)   10,255,000    8,690,711 
3.000% 7/13/53 (d)   4,025,000    3,541,371 
3.500% 7/13/53 (d)   3,250,000    2,960,292 
4.000% 7/13/53 (d)   2,895,000    2,716,097 
4.500% 7/13/53 (d)   2,145,000    2,061,212 
5.000% 7/13/53 (d)   2,475,000    2,424,823 
5.500% 7/13/53 (d)   3,210,000    3,194,574 
6.000% 7/13/53 (d)   1,240,000    1,250,801 
6.500% 7/13/53 (d)   1,500,000    1,531,522 
         151,937,841 
Whole Loans — 0.4%          
Federal Home Loan Mortgage Corp. Structured Agency Credit Risk Debt Notes, Series 2021-DNA2, Class M2, 30 day USD SOFR Average + 2.300%          
7.367% FRN 8/25/33 (a)   252,053    252,127 

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Federal Home Loan Mortgage Corp. Structured Agency Credit Risk Debt Notes, REMICS, Series 2022-DNA4, Class M1A, 30 day USD SOFR Average + 2.200%          
7.267% FRN 5/25/42 (a)  $320,982   $322,453 
Federal National Mortgage Association Connecticut Avenue Securities Trust          
Series 2021-R03, Class 1M2, 30 day USD SOFR Average + 1.650% 6.717% FRN 12/25/41 (a)   345,000    333,792 
Series 2023-R02, Class 1M1, 30 day USD SOFR Average + 2.300% 7.367% FRN 1/25/43 (a)   667,965    669,898 
Series 2017-C06, Class 1M2B, 1 mo. USD LIBOR + 2.650% 7.800% FRN 2/25/30   279,558    282,923 
Series 2022-R07, Class 1M1, Update Replacements.xls: SOFR30A + 2.950% 8.017% FRN 6/25/42 (a)   198,064    202,698 
         2,063,891 
           
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES
(Cost $162,771,830)
        154,268,977 
           
U.S. TREASURY OBLIGATIONS — 20.6%          
U.S. Treasury Bonds & Notes — 20.6%          
U.S. Treasury Bonds          
3.000% 8/15/52   8,900,000    7,556,069 
3.375% 8/15/42   11,400,000    10,337,748 
3.625% 2/15/53   7,890,000    7,561,507 
3.875% 2/15/43   3,020,000    2,942,255 
4.000% 11/15/42   8,030,000    7,973,227 
4.000% 11/15/52   5,015,000    5,143,985 
U.S. Treasury Notes          
1.500% 1/31/27   27,045,000    24,492,633 
2.250% 1/31/24   10,880,000    10,680,605 
3.125% 8/31/27   2,660,000    2,543,240 
3.875% 1/15/26 (h)   12,245,000    12,015,169 
3.875% 11/30/27   1,100,000    1,084,211 
3.875% 11/30/29   3,420,000    3,387,934 
4.000% 12/15/25   8,290,000    8,159,688 
4.000% 2/15/26   5,220,000    5,140,053 
4.125% 9/30/27   5,655,000    5,621,877 
4.125% 10/31/27   1,400,000    1,392,099 
4.125% 11/15/32   4,445,000    4,541,254 
         120,573,554 
           
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $122,946,473)
        120,573,554 
           
TOTAL BONDS & NOTES
(Cost $595,430,958)
        558,443,972 
           
TOTAL PURCHASED
OPTIONS(#) — 0.0%
(Cost $99,820)
        738 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $595,530,778)
        558,444,710 
           

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
SHORT-TERM INVESTMENTS — 12.2%          
           
Investment of Cash Collateral from Securities Loaned — 0.4%          
State Street Navigator Securities Lending Government Money Market Portfolio (i)   2,612,228   $2,612,228 
Mutual Fund — 10.8%          
T. Rowe Price Government Reserve Investment Fund   63,419,128    63,419,128 
           
   Principal
Amount
    
Repurchase Agreement — 0.3%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (j)  $ 1,510,371    1,510,371 
Sovereign Debt Obligations — 0.6%          
Japan Treasury Discount Bills          
(0.120)% 7/10/23 JPY (b) (k)   393,650,000    2,728,144 
Sri Lanka Treasury Bills          
18.216% 12/08/23 LKR (b) (k)   21,000,000    62,874 
19.052% 12/01/23 LKR (b) (k)   13,000,000    39,031 
19.052% 12/15/23 LKR (b) (k)   42,000,000    125,404 
20.865% 10/06/23 LKR (b) (k)   43,000,000    132,697 
21.810% 4/05/24 LKR (b) (k)   60,000,000    170,567 
22.125% 7/07/23 LKR (b) (k)   11,000,000    35,695 
U.S. Treasury Bill — 0.1%          
U.S. Treasury Bills          
4.975% 9/28/23 (k)   630,000    622,144 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $71,693,640)
        71,458,283 
           
TOTAL INVESTMENTS — 107.7%
(Cost $667,224,418) (l)
        629,902,993 
           
Other Assets/(Liabilities) — (7.7)%        (45,110,406) 
           
NET ASSETS — 100.0%       $584,792,587 

 

Abbreviation Legend

CLO Collateralized Loan Obligation
FRN Floating Rate Note
REMICS Real Estate Mortgage Investment Conduits
STEP Step Up Bond
TBA To Be Announced
VRN Variable Rate Note

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $132,877,151 or 22.72% of net assets.
(b) The principal amount of the security is in foreign currency. The market value is in U.S. dollars.
(c) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $2,884,843 or 0.49% of net assets. The Fund received $335,825 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(d) A portion of this security is purchased on a when-issued, delayed-delivery or forward commitment basis.
(e) Security is perpetual and has no stated maturity date.
(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 above. The rates shown are the current interest rates at June 30, 2023.
(g) May contain securities that are issued by a U.S. Government Agency, but are unsecured and are not guaranteed by a U.S. Government Agency.
(h) All or a portion of this security is pledged/held as collateral for open derivatives.
(i) Represents investment of security lending cash collateral. (Note 2).
(j) Maturity value of $1,510,562. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,540,617.
(k) The rate shown represents yield-to-maturity.
(l) See Note 3 for aggregate cost for federal tax purposes.

 

(#) OTC Options Purchased
Description  Counterparty  Expiration Date   Exercise Price   No. of Contracts   Notional
Amount
  Value   Premiums Paid (Received)   Unrealized Appreciation (Depreciation) 
Put       
USD Put JPY Call  Bank of America N.A.   7/06/23    127.00    6,270,000   USD   6,270,000   $6   $92,796   $(92,790) 

 

(#) Credit Default Index Swaptions Purchased
            Paid by Fund   Received by Fund                  
Description  Counterparty  Expiration Date  Exercise Rate  Rate/
Reference
Obligation
Index
  Frequency  Rate/
Reference
Obligation
Index
  Frequency  Notional
Amount
  Value   Premiums
Paid (Received)
   Unrealized Appreciation (Depreciation) 
Put                                       
Sell Protection on 5-Year Credit Default Swap,
6/20/28
  JP Morgan Chase Bank N.A.  7/19/23  0.80  CDX.NA.IG Series 40 †  Quarterly  1.000%  Quarterly  USD  16,725,000  $732   $7,024   $(6,292)

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Bank of America N.A.  7/07/23  KRW  1,016,941,000   USD  789,201   $(17,359) 
Bank of America N.A.  7/07/23  USD  1,170,933   TWD  35,010,860    46,541 
Bank of America N.A.  7/14/23  USD  411,122   CZK  8,827,000    6,085 
Bank of America N.A.  7/21/23  USD  2,069,096   JPY  291,045,000    47,240 
Bank of America N.A.  7/21/23  CAD  4,709,424   USD  3,514,878    40,901 
Bank of America N.A.  8/18/23  USD  789,739   PLN  3,371,000    (37,503) 
Bank of America N.A.  8/25/23  GBP  2,200,000   USD  2,760,502    34,184 
Bank of America N.A.  8/25/23  USD  406,966   EUR  374,391    (2,597) 
Bank of America N.A.  8/25/23  SEK  746,875   USD  69,913    (500) 
Bank of America N.A.  8/25/23  USD  8,099,147   GBP  6,460,762    (108,034) 
Bank of America N.A.  9/05/23  BRL  2,032,000   USD  396,372   23,281 
Barclays Bank PLC  7/07/23  USD  775,131   KRW  1,016,941,000    3,289 
Barclays Bank PLC  7/14/23  RON  1,635,000   USD  359,910    (155) 
Barclays Bank PLC  7/20/23  USD  628,594   ILS  2,273,047    15,111 
Barclays Bank PLC  7/21/23  USD  470,147   NZD  753,724    7,618 
Barclays Bank PLC  10/06/23  KRW  1,016,941,000   USD  778,949    (3,224) 
BNP Paribas SA  7/14/23  DKK  18,415,000   USD  2,723,085    (22,919) 
BNP Paribas SA  7/14/23  CZK  12,052,000   USD  540,788    12,232 
BNP Paribas SA  7/14/23  USD  492,957   HUF  172,101,000    (9,898) 
BNP Paribas SA  7/14/23  MXN  1,913,348   USD  110,076    1,511 
BNP Paribas SA  7/14/23  USD  2,726,631   DKK  18,415,000    26,465 
BNP Paribas SA  7/21/23  AUD  82,643   USD  55,425    (348) 
BNP Paribas SA  7/21/23  USD  181,016   JPY  26,104,000    (325) 
BNP Paribas SA  8/18/23  PLN  1,876,000   USD  453,143    7,226 
BNP Paribas SA  8/25/23  EUR  81,761   USD  89,650    (210) 
BNP Paribas SA  8/25/23  GBP  169,000   USD  214,953    (270) 
BNP Paribas SA  8/25/23  USD  161,525   GBP  128,808    (2,101) 
BNP Paribas SA  8/25/23  USD  51,487,842   EUR  47,055,081    12,264 
BNP Paribas SA  9/05/23  BRL  1,577,000   USD  310,384    15,301 
BNP Paribas SA  9/08/23  USD  131,382   COP  600,270,665    (9,960) 
BNP Paribas SA  9/08/23  USD  3,304,177   MYR  15,129,528    47,695 
BNP Paribas SA  10/06/23  USD  107,781   TWD  3,341,000    (655) 
BNP Paribas SA  10/13/23  USD  114,865   MXN  2,008,000    (263) 
Citibank N.A.  7/07/23  IDR  22,125,713,377   USD  1,475,343    410 
Citibank N.A.  7/14/23  CZK  6,142,021   USD  278,600    3,234 
Citibank N.A.  7/14/23  HUF  264,909,000   USD  761,860    12,167 
Citibank N.A.  7/14/23  USD  1,062,882   RON  4,829,734    178 
Citibank N.A.  7/20/23  USD  2,239,403   ILS  8,126,818    46,022 
Citibank N.A.  7/21/23  JPY  94,689,000   USD  674,019    (16,225) 
Citibank N.A.  7/21/23  USD  4,355,800   AUD  6,475,648    40,104 
Citibank N.A.  7/21/23  USD  282,572   NOK  2,939,186    8,587 
Citibank N.A.  7/21/23  AUD  729,000   USD  495,871    (10,029) 
Citibank N.A.  8/18/23  RSD  2,576,414   USD  24,083    (70) 
Citibank N.A.  8/18/23  PLN  17,620,000   USD  4,216,118    107,823 
Citibank N.A.  8/18/23  USD  143,503   RSD  15,281,631    1,071 
Citibank N.A.  8/18/23  USD  5,583,067   PLN  23,407,900    (161,222) 
Citibank N.A.  8/25/23  EUR  162,780   USD  178,135    (63) 
Citibank N.A.  8/25/23  USD  676,691   EUR  627,592    (9,859) 
Citibank N.A.  9/08/23  USD  298,844   COP  1,350,608,997    (19,174) 
Citibank N.A.  10/06/23  USD  1,473,378   IDR  22,125,713,377    (1,366) 
Deutsche Bank AG  7/07/23  TWD  18,797,691   USD  603,942    (245) 
Deutsche Bank AG  7/07/23  IDR  261,851,409   USD  17,805    (339) 
Deutsche Bank AG  7/21/23  USD  351,770   NZD  576,615    (2,074) 
Deutsche Bank AG  7/21/23  JPY  291,045,000   USD  2,102,647    (80,791) 
Deutsche Bank AG  7/21/23  AUD  1,396,758   USD  947,282    (16,413) 
Deutsche Bank AG  8/18/23  USD  386,564   PLN  1,633,000    (14,174) 
Deutsche Bank AG  8/25/23  USD  994,654   EUR  922,353    (14,348) 
Deutsche Bank AG  8/25/23  EUR  558,279   USD  611,539    (813) 
Deutsche Bank AG  9/01/23  USD  329,444   INR  27,513,475    (5,262) 
Deutsche Bank AG  9/01/23  INR  32,196,000   USD  387,134    4,535 
Deutsche Bank AG  9/15/23  USD  451,104   ZAR  8,693,672    (7,474) 
Deutsche Bank AG  10/06/23  USD  606,573   TWD  18,797,691    (3,528) 
Goldman Sachs International  7/07/23  USD  1,145,028   TWD  34,254,140    44,939 
Goldman Sachs International  7/07/23  USD  427,285   IDR  6,425,510,000    (1,287) 
Goldman Sachs International  7/07/23  IDR  19,320,547,546   USD  1,292,896    (4,244) 
Goldman Sachs International  7/07/23  TWD  33,115,596   USD  1,062,317    1,207 
Goldman Sachs International  7/14/23  CZK  13,482,654   USD  625,268    (6,600) 
Goldman Sachs International  7/21/23  CAD  2,101,132   USD  1,571,751    14,677 
Goldman Sachs International  8/25/23  GBP  924,000   USD  1,160,742   13,026 
Goldman Sachs International  8/25/23  USD  2,746,795   GBP  2,200,000    (47,891) 
Goldman Sachs International  8/25/23  EUR  641,000   USD  702,983    (1,766) 
Goldman Sachs International  9/08/23  USD  968,561   THB  33,386,500    20,889 
Goldman Sachs International  9/15/23  USD  18,746   CNH  132,937    354 
Goldman Sachs International  10/06/23  USD  1,291,599   IDR  19,320,547,546    3,827 
Goldman Sachs International  10/06/23  USD  1,067,608   TWD  33,115,596    (7,198) 
HSBC Bank USA  7/07/23  TWD  17,351,713   USD  558,184    (925) 
HSBC Bank USA  7/07/23  USD  1,937,010   IDR  29,252,121,332    (14,064) 
HSBC Bank USA  7/14/23  USD  369,715   MXN  6,808,299    (27,348) 
HSBC Bank USA  8/25/23  USD  64,477   EUR  59,583    (703) 
HSBC Bank USA  9/01/23  USD  228,640   INR  19,003,168    (2,536) 
HSBC Bank USA  9/01/23  INR  97,310,000   USD  1,177,106    6,685 
HSBC Bank USA  9/05/23  USD  814,360   BRL  4,122,126    (36,950) 
HSBC Bank USA  9/15/23  USD  192,249   CNH  1,360,063    4,082 
HSBC Bank USA  9/15/23  USD  359,040   SGD  480,000    3,161 
HSBC Bank USA  10/06/23  USD  560,510   TWD  17,351,713    (2,660) 
JP Morgan Chase Bank N.A.  7/14/23  USD  105,805   MXN  1,937,000    (7,162) 
JP Morgan Chase Bank N.A.  7/20/23  USD  2,490,771   ILS  9,072,347    42,199 
JP Morgan Chase Bank N.A.  7/21/23  AUD  308,000   USD  201,101    4,166 
JP Morgan Chase Bank N.A.  7/21/23  USD  91,597   JPY  12,323,000    5,990 
JP Morgan Chase Bank N.A.  7/21/23  JPY  628,167,684   USD  4,456,987    (93,179) 
JP Morgan Chase Bank N.A.  8/18/23  RSD  2,586,732   USD  24,024    86 
JP Morgan Chase Bank N.A.  8/25/23  USD  106,747   EUR  99,000    (1,554) 
JP Morgan Chase Bank N.A.  9/08/23  USD  1,019,762   THB  35,037,541    25,225 
Morgan Stanley & Co. LLC  7/14/23  USD  868,244   MXN  15,962,315    (62,684) 
Morgan Stanley & Co. LLC  7/20/23  USD  274,626   ILS  992,950    6,635 
Morgan Stanley & Co. LLC  7/21/23  CAD  2,795,000   USD  2,097,735    12,588 
Morgan Stanley & Co. LLC  7/21/23  USD  4,107,977   CAD  5,555,000    (86,241) 
Morgan Stanley & Co. LLC  8/25/23  USD  732,795   EUR  675,665    (6,344) 
Morgan Stanley & Co. LLC  8/25/23  USD  75,603   GBP  61,015    (1,905) 
Morgan Stanley & Co. LLC  9/05/23  USD  814,360   BRL  4,122,126    (36,950) 
Morgan Stanley & Co. LLC  9/08/23  USD  175,846   COP  800,360,887    (12,610) 
Royal Bank of Canada  7/14/23  MXN  5,725,990   USD  334,160    (218) 
Royal Bank of Canada  7/14/23  USD  318,302   MXN  5,835,685    (22,037) 
Royal Bank of Canada  7/21/23  JPY  48,672,223   USD  367,348    (29,228) 
Royal Bank of Canada  7/21/23  CAD  1,163,000   USD  855,989    22,117 
Royal Bank of Canada  7/21/23  USD  11,117,907   CAD  14,877,984    (115,487) 
Royal Bank of Canada  10/13/23  USD  328,429   MXN  5,725,990    130 
State Street Bank and Trust  7/05/23  LKR  19,365,045   USD  63,027    (51) 
State Street Bank and Trust  7/14/23  MXN  17,559,436   USD  1,023,430    644 
State Street Bank and Trust  7/14/23  HUF  382,317,387   USD  1,077,497    39,581 
State Street Bank and Trust  7/21/23  JPY  58,333,000   USD  421,015    (15,782) 
State Street Bank and Trust  7/21/23  USD  26,782,572   JPY  3,499,185,398    2,474,142 
State Street Bank and Trust  7/21/23  CAD  565,000   USD  425,255    1,340 
State Street Bank and Trust  8/25/23  GBP  340,000   USD  422,143    9,763 
State Street Bank and Trust  8/25/23  USD  5,802,798   EUR  5,284,039    22,360 
State Street Bank and Trust  8/25/23  USD  8,112,863   GBP  6,460,762    (94,318) 
State Street Bank and Trust  8/25/23  USD  791,356   SEK  8,150,000    33,910 
State Street Bank and Trust  9/15/23  USD  720,837   ZAR  14,005,503    (17,931) 
State Street Bank and Trust  9/15/23  USD  3,411,588   SGD  4,563,930    27,828 
State Street Bank and Trust  10/13/23  USD  1,006,077   MXN  17,559,436    (691) 
UBS AG  7/07/23  USD  409,192   IDR  6,030,481,000    6,968 
UBS AG  7/14/23  RON  5,167,000   USD  1,143,431    (6,517) 
UBS AG  7/14/23  USD  621,365   ZAR  11,454,250    13,311 
UBS AG  7/14/23  USD  368,049   CZK  7,916,000    4,814 
UBS AG  7/14/23  USD  391,962   HUF  138,202,000    (11,844) 
UBS AG  7/21/23  USD  408,288   AUD  625,000    (8,243) 
UBS AG  7/21/23  USD  468,172   NZD  746,230    10,242 
UBS AG  8/11/23  USD  378,653   CLP  308,311,000    (3,989) 
UBS AG  8/18/23  PLN  1,659,000   USD  406,538   580 
UBS AG  8/25/23  USD  208,546   EUR  193,013    (2,599) 
UBS AG  8/25/23  USD  2,502,886   SEK  25,549,316    128,378 
UBS AG  9/08/23  USD  994,674   THB  34,268,501    21,966 
UBS AG  9/08/23  USD  99,317   COP  450,202,999    (6,689) 
UBS AG  9/15/23  CNH  5,424,000   USD  767,916    (17,498)
                    $2,203,172

 

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
Euro-BTP  9/07/23   1   $126,324  $375 
Australia 3 Year Bond  9/15/23   40    2,821,638   (7,010) 
Korea 10 Year Bond  9/19/23   51    4,299,207   (4,470) 
Canada 10 Year Bond  9/20/23   18    1,678,739   (13,866) 
U.S. Treasury Note 10 Year  9/20/23   213    24,249,948   (337,370) 
U.S. Treasury Ultra 10 Year  9/20/23   346    41,301,041    (321,666) 
                $(684,007) 
Short               
Euro-Bund  9/07/23   19   $(2,772,040)  $(766) 
Euro-Schatz  9/07/23   107    (12,322,021)   79,899 
Japanese 10 Year Bond  9/12/23   7    (7,176,095)   (30,322) 
Australia 10 Year Bond  9/15/23   11    (855,470)   4,200 
Korea 3 Year Bond  9/19/23   34    (2,682,731)   6,133 
U.S. Treasury Ultra Bond  9/20/23   45    (6,067,247)   (62,597) 
UK Long Gilt  9/27/23   1    (120,898)   (133) 
U.S. Treasury Note 5 Year  9/29/23   36    (3,854,750)    (625) 
                $(4,211) 

 

Centrally Cleared Credit Default Swaps - Buy Protection
Reference
Obligation/Index
  Rate Paid by Fund  Payment Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
Bombardier, Inc.  5.000%   Quarterly    6/20/28   USD   390,000   $(17,290)   $(15,794)   $(1,496) 

 

OTC Credit Default Swaps-Buy Protection
Reference
Obligation/Index
  Rate Paid by Fund  Payment Frequency   Counterparty   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
CMBX.NA.AAA Series 15†  0.5000%   Monthly    Morgan Stanley & Co. LLC    11/18/64   USD   4,189,000   $111,439   $111,752   $(313)

 

Centrally Cleared Credit Default Swaps - Sell Protection††
Reference
Obligation/ Index
  Rate Received by Fund  Payment Frequency   Termination Date   Credit Rating   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
iTraxx Series 38†  1.000%   Quarterly    12/20/27    NR*   EUR   2,885,000   $41,130   $(531)   $41,661
iTraxx Series 39†  1.000%   Quarterly    6/20/28    NR*   EUR   2,875,000    20,586    18,828    1,758
CDX.NA.IG Series 40†  1.000%   Quarterly    6/20/28    NR*   USD   99,000    (299)    (1,644)    1,345
Republic of Mexico  1.000%   Quarterly    6/20/28    NR*   USD   2,470,000    (1,882)    (45,525)    43,643
CDX.NA.HY Series 40†  5.000%   Quarterly    6/20/28    NR*   USD   3,710,000    106,420    56,106    50,314 
                             $165,955   $27,234   $138,721

 

OTC Credit Default Swaps-Sell Protection††
Reference
Obligation/Index
  Rate Received by Fund  Payment Frequency   Counterparty   Credit Rating   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
Republic of Greece  1.000%   Quarterly    Bank of America N.A.    NR*    12/20/24   USD   151,000   $1,530   $(4,578)   $6,108
Republic of Greece  1.000%   Quarterly    Bank of America N.A.    NR*    12/20/24   USD   303,000    3,069    (9,187)    12,256
Republic of Greece  1.000%   Quarterly    Bank of America N.A.    NR*    12/20/24   USD   152,000    1,540    (10,489)    12,029
Republic of Greece  1.000%   Quarterly    Bank of America N.A.    NR*    12/20/29   USD   225,000    161    (11,045)    11,206
Republic of Greece  1.000%   Quarterly    Bank of America N.A.    NR*    12/20/29   USD   225,000    161    (11,239)    11,400
Republic of Greece  1.000%   Quarterly    Barclays Bank PLC    NR*    6/20/24   USD   135,000    1,000    (8,192)    9,192
Republic of Greece  1.000%   Quarterly    Barclays Bank PLC    NR*    6/20/24   USD   67,500    500    (3,879)    4,379
Republic of Greece  1.000%   Quarterly    Barclays Bank PLC    NR*    6/20/24   USD   67,500    500    (3,879)    4,379
Republic of Greece  1.000%   Quarterly    Barclays Bank PLC    NR*    12/20/24   USD   450,000    4,560    (2,503)    7,063
Republic of Greece  1.000%   Quarterly    Citibank N.A.    NR*    6/20/25   USD   150,000    1,916    (9,034)    10,950
Republic of Greece  1.000%   Quarterly    Citibank N.A.    NR*    6/20/25   USD   75,000    958    (4,350)    5,308
Republic of Greece  1.000%   Quarterly    Citibank N.A.    NR*    12/20/25   USD   300,000    4,168    (280)    4,448
Republic of Indonesia  1.000%   Quarterly    JP Morgan Chase Bank N.A.    NR*    6/20/28   USD   2,060,000    12,435    (18,970)    31,405
Barclays Bank PLC  1.000%   Quarterly    JP Morgan Chase Bank N.A.    A+*    6/20/24   EUR   100,000    99    1,279    (1,180)
Republic of Greece  1.000%   Quarterly    Morgan Stanley & Co. LLC    NR*    12/20/24   USD   134,000    1,357    (994)    2,351
Republic of Greece  1.000%   Quarterly    Morgan Stanley & Co. LLC    NR*    6/20/25   USD   94,000    1,201    (4,498)    5,699 
                                  $35,155   $(101,838)   $136,993 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

Centrally Cleared Interest Rate Swaps
Paid by the Fund  Received by the Fund                      
Rate/ Reference  Frequency  Rate/ Reference   Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.558%    Quarterly    7/17/25   CNY   30,000,000   $43,935   $   $43,935
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.600%    Quarterly    8/06/25   CNY   7,500,000    10,628        10,628
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.855%    Quarterly    11/24/25   CNY   26,575,000    65,430        65,430
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.605%    Quarterly    1/15/26   CNY   58,525,000    101,441        101,441
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.780%    Quarterly    6/28/26   CNY   9,775,000    22,252        22,252
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.560%    Quarterly    7/28/26   CNY   2,800,000    3,935        3,935
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.255%    Quarterly    1/26/27   CNY   24,350,000    (956)        (956)
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.355%    Quarterly    4/15/27   CNY   37,000,000    17,239        17,239
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.440%    Quarterly    7/27/27   CNY   5,400,000    3,850        3,850
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.562%    Quarterly    5/15/28   CNY   1,009,000    1,305        1,305
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.579%    Quarterly    5/15/28   CNY   4,373,000    6,136        6,136
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.568%    Quarterly    5/16/28   CNY   3,429,000    4,544        4,544
3-Month CNREPOFIX=CFXS-Reuters  Quarterly   Fixed 2.476%    Quarterly    6/01/28   CNY   20,850,000    12,627        12,627
6-Month EURIBOR  Semi-Annually   Fixed -0.001%    Annually    10/20/25   EUR   690,000    (64,039)        (64,039)
6-Month EURIBOR  Semi-Annually   Fixed -0.001%    Annually    11/04/25   EUR   1,030,000    (95,594)        (95,594)
6-Month EURIBOR  Semi-Annually   Fixed 2.638%    Annually    12/16/29   EUR   1,275,000    (39,776)        (39,776)
6-Month EURIBOR  Semi-Annually   Fixed 0.830%    Annually    3/02/32   EUR   800,000    (144,827)        (144,827)
6-Month EURIBOR  Semi-Annually   Fixed 1.222%    Annually    4/04/32   EUR   1,350,000    (202,066)        (202,066)
6-Month EURIBOR  Semi-Annually   Fixed 1.627%    Annually    4/21/32   EUR   946,000    (110,711)        (110,711)
6-Month EURIBOR  Semi-Annually   Fixed 1.640%    Annually    5/02/32   EUR   950,000    (110,393)        (110,393)
6-Month EURIBOR  Semi-Annually   Fixed 2.796%    Annually    11/17/32   EUR   82,000    (1,626)        (1,626)
6-Month EURIBOR  Semi-Annually   Fixed 2.803%    Annually    11/18/32   EUR   140,000    (2,686)        (2,686)
6-Month EURIBOR  Semi-Annually   Fixed 2.735%    Annually    11/21/32   EUR   131,000    (3,313)        (3,313)
6-Month EURIBOR  Semi-Annually   Fixed 2.730%    Annually    11/23/32   EUR   2,400,000    (61,869)        (61,869)
6-Month EURIBOR  Semi-Annually   Fixed 2.717%    Annually    11/24/32   EUR   200,000    (5,392)        (5,392)
6-Month EURIBOR  Semi-Annually   Fixed 2.683%    Annually    11/30/32   EUR   126,000    (3,788)        (3,788)
6-Month EURIBOR  Semi-Annually   Fixed 2.698%    Annually    11/30/32   EUR   54,000    (1,554)        (1,554)
GBP-SONIA-COMPOUND  Annually   Fixed 3.955%    Annually    1/25/25   GBP   8,277,000    (323,878)        (323,878)
28 Day-MXN-TIIE  Monthly   Fixed 5.499%    Monthly    5/04/27   MXN   15,000,000    (87,991)        (87,991)
Fixed 3.090%  Annually   6-Month WIBOR    Semi-Annually    2/20/28   PLN   1,070,000    20,443        20,443
Fixed 2.850%  Annually   6-Month WIBOR    Semi-Annually    4/06/28   PLN   100,000    2,183        2,183
Fixed 2.920%  Annually   6-Month WIBOR    Semi-Annually    5/07/28   PLN   200,000    4,277        4,277
Fixed 3.030%  Annually   6-Month WIBOR    Semi-Annually    5/18/28   PLN   300,000    6,102        6,102
Fixed 5.010%  Annually   6-Month WIBOR    Semi-Annually    6/30/28   PLN   4,150,000    (1,056)        (1,056)
Fixed 5.010%  Annually   6-Month WIBOR    Semi-Annually    6/30/28   PLN   4,150,000    (1,056)        (1,056)
Fixed 1.715%  Annually   6-Month WIBOR    Semi-Annually    9/24/29   PLN   1,700,000    70,421        70,421
Fixed 1.780%  Annually   6-Month WIBOR    Semi-Annually    10/22/29   PLN   823,529    33,788        33,788
Fixed 1.775%  Annually   6-Month WIBOR    Semi-Annually    10/22/29   PLN   1,176,471    48,344        48,344 
                             $(783,691)   $   $(783,691)

 

 

 

MassMutual Select T. Rowe Price Bond Asset Fund —  Portfolio of Investments (Continued)

 

OTC Interest Rate Swaps
Paid by the Fund  Received by the Fund   
Rate/ Reference  Frequency   Rate/ Reference  Frequency  Counterparty  Termination Date  Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
1-week CNREPOFIX =CFXS-Reuters  Quarterly   Fixed 2.650%  Quarterly  Citibank N.A.  5/15/30  CNY 3,331,000   $5,717  $   $5,717
1-week CNREPOFIX =CFXS-Reuters  Quarterly   Fixed 2.650%  Quarterly  Citibank N.A.  5/16/30  CNY 3,299,000    5,639       5,639
                         $11,356   $   $11,356 

 

* Rating represents a weighted average of the ratings of all securities included in the underlying index for the credit default swap. Ratings used in the weighted average are from Moody's Investors Service, Inc., S&P Global Ratings, or Fitch Ratings, whichever is the highest for each constituent. All ratings are as of the report date and do not reflect subsequent changes.
Payment is based on a percentage of the index. Reference entities are a number of individual issuers comprising the index.
†† For each credit derivative with sold protection, the credit ratings of the entities referenced, as rated by any rating organization, are included in the equivalent S&P Global Ratings. The reference entity rating represents the likelihood of a potential payment by the Fund if the referenced entity experiences a credit event as of period end. Notional amounts represent the maximum potential amount of future payments (undiscounted) the Fund could be required to make under the credit derivatives with sold protection.

 

Currency Legend

AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CLP Chilean Peso
CNH Offshore Chinese Yuan
CNY Chinese Yuan Renminbi
COP Colombian Peso
CZK Czech Koruna
DKK Danish Krone
EUR Euro
GBP British Pound
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli Shekel
INR Indian Rupee
JPY Japanese Yen
KRW South Korean Won
LKR Sri Lanka Rupee
MXN Mexican Peso
MYR Malaysian Ringgit
NOK Norwegian Krone
NZD New Zealand Dollar
PLN Polish Zloty
RON New Romanian Leu
RSD Serbian dinar
SEK Swedish Krona
SGD Singapore Dollar
THB Thai Baht
TWD Taiwan Dollar
USD U.S. Dollar
ZAR South African Rand

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Principal
Amount
   Value 
BONDS & NOTES — 95.2%          
           
CORPORATE DEBT — 25.9%          
Brazil — 1.3%          
Braskem Netherlands Finance BV          
7.250% 2/13/33 (a)  $200,000   $196,503 
Cosan Overseas Ltd.          
8.250% (a) (b)   100,000    99,441 
Globo Comunicacao e Participacoes SA          
4.875% 1/22/30 (a)   850,000    676,824 
MercadoLibre, Inc., Convertible,          
2.000% 8/15/28 (c)   45,000    123,008 
         1,095,776 
Chile — 3.0%          
AES Andes SA 5 yr. USD Swap + 4.644%          
7.125% VRN 3/26/79 (a)   650,000    600,925 
Agrosuper SA          
4.600% 1/20/32 (a)   200,000    169,011 
Banco Santander Chile          
3.177% 10/26/31 (a)   375,000    324,733 
Celulosa Arauco y Constitucion SA          
4.200% 1/29/30 (a)   200,000    178,565 
5.150% 1/29/50 (a)   250,000    202,060 
Corp. Nacional del Cobre de Chile          
3.150% 1/14/30 (a)   200,000    177,113 
5.125% 2/02/33 (a)   200,000    196,913 
Empresa de los Ferrocarriles del Estado          
3.068% 8/18/50 (a)   450,000    273,375 
Empresa de Transporte de Pasajeros Metro SA          
3.693% 9/13/61 (a)   200,000    131,024 
4.700% 5/07/50 (a)   200,000    165,407 
         2,419,126 
China — 0.2%          
Lenovo Group Ltd.          
3.421% 11/02/30 (a)   200,000    168,549 
Colombia — 1.4%          
Banco Davivienda SA 10 yr. CMT + 5.097%          
6.650% VRN (a) (b)   400,000    293,747 
Banco de Bogota SA          
6.250% 5/12/26 (a)   250,000    241,440 
Bancolombia SA 5 yr. CMT + 2.944%          
4.625% VRN 12/18/29   200,000    170,250 
Ecopetrol SA          
4.625% 11/02/31   355,000    274,035 
6.875% 4/29/30   50,000    45,613 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
8.875% 1/13/33  $100,000   $99,023 
         1,124,108 
Ghana — 0.2%          
Kosmos Energy Ltd.          
7.125% 4/04/26 (a)   200,000    175,760 
India — 0.9%          
Greenko Power II Ltd.          
4.300% 12/13/28 (a)   241,150    209,297 
Periama Holdings LLC          
5.950% 4/19/26 (a)   200,000    192,000 
Reliance Industries Ltd.          
2.875% 1/12/32 (a)   400,000    333,323 
         734,620 
Indonesia — 1.4%          
Bank Negara Indonesia Persero Tbk PT          
3.750% 3/30/26 (a)   213,000    196,607 
Minejesa Capital BV          
5.625% 8/10/37 (a)   500,000    391,249 
Pertamina Persero PT          
5.625% 5/20/43 (a)   200,000    191,951 
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara          
4.000% 6/30/50 (a) (c)   200,000    142,896 
6.150% 5/21/48 (a)   200,000    193,298 
         1,116,001 
Israel — 0.8%          
ICL Group Ltd.          
6.375% 5/31/38 (a)   150,000    150,789 
ICL Group Ltd.          
6.375% 5/31/38 (a)   200,000    201,053 
Leviathan Bond Ltd.          
6.125% 6/30/25 (a)   300,000    292,233 
         644,075 
Jamaica — 0.1%          
TransJamaican Highway Ltd.          
5.750% 10/10/36 (a)   140,251    115,707 
Kazakhstan — 0.4%          
KazMunayGas National Co. JSC          
3.500% 4/14/33 (a)   200,000    154,500 
6.375% 10/24/48 (a)   230,000    196,249 
         350,749 
Kuwait — 0.3%          
MEGlobal Canada ULC          
5.875% 5/18/30 (a)   200,000    201,726 
Mexico — 6.5%          
Axtel SAB de CV          
6.375% 11/14/24 (a)   200,000    203,135 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Banco Mercantil del Norte SA 10 yr. CMT + 7.760%          
8.375% VRN (a) (b)  $200,000   $186,640 
BBVA Bancomer SA          
5 yr. CMT + 2.650% 5.125% VRN 1/18/33 (a)   600,000    520,643 
5 yr. CMT + 4.308% 5.875% VRN 9/13/34 (a)   200,000    178,040 
5 yr. CMT + 4.661% 8.450% VRN 6/29/38 (a)   200,000    200,200 
Cemex SAB de CV          
5.450% 11/19/29 (a) (c)   200,000    192,850 
Cometa Energia SA de CV          
6.375% 4/24/35 (a)   164,200    159,273 
Industrias Penoles SAB de CV          
4.750% 8/06/50 (a)   200,000    159,180 
Infraestructura Energetica Nova SAPI de CV          
4.875% 1/14/48 (a)   300,000    226,155 
Mexico City Airport Trust          
5.500% 7/31/47 (a)   742,000    648,542 
Petroleos Mexicanos          
4.500% 1/23/26   500,000    446,989 
6.500% 3/13/27   850,000    756,268 
6.500% 6/02/41   1,210,000    768,248 
6.840% 1/23/30   55,000    43,736 
8.750% 6/02/29   655,000    592,738 
         5,282,637 
Oman — 0.8%          
Lamar Funding Ltd.          
3.958% 5/07/25 (a)   500,000    478,650 
Oztel Holdings SPC Ltd.          
6.625% 4/24/28 (a)   200,000    207,000 
         685,650 
Panama — 0.7%          
Aeropuerto Internacional de Tocumen SA          
4.000% 8/11/41 (a)   200,000    160,123 
Banco General SA 10 yr. CMT + 3.665%          
5.250% VRN (a) (b)   200,000    172,043 
Banco Nacional de Panama          
2.500% 8/11/30 (a)   310,000    243,255 
         575,421 
Paraguay — 0.2%          
Telfon Celuar Del Paragu SA          
5.875% 4/15/27 (a)   200,000    183,500 
Peru — 0.3%          
Consorcio Transmantaro SA          
4.700% 4/16/34 (a)   200,000    185,204 
Lima Metro Line 2 Finance Ltd.          
5.875% 7/05/34 (a)   91,777    89,253 
         274,457 
Philippines — 1.2%          
Globe Telecom, Inc.          
3.000% 7/23/35 (a)   400,000    298,256 
International Container Terminal Services, Inc.          
4.750% 6/17/30 (a)   400,000    385,700 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Manila Water Co., Inc.          
4.375% 7/30/30 (a)  $300,000   $274,650 
         958,606 
Qatar — 1.0%          
Ooredoo International Finance Ltd.          
2.625% 4/08/31 (a)   260,000    223,786 
QatarEnergy          
2.250% 7/12/31 (a)   300,000    251,511 
3.125% 7/12/41 (a)   450,000    344,604 
         819,901 
Republic of Korea — 0.3%          
POSCO          
5.750% 1/17/28 (a) (c)   200,000    202,897 
Saudi Arabia — 1.1%          
Saudi Arabian Oil Co.          
3.500% 4/16/29 (a)   200,000    184,040 
4.250% 4/16/39 (a)   800,000    703,432 
         887,472 
South Africa — 0.2%          
Transnet SOC Ltd.          
8.250% 2/06/28 (a)   200,000    194,250 
Tanzania, United Republic Of — 0.2%          
HTA Group Ltd.          
7.000% 12/18/25 (a)   200,000    188,880 
Thailand — 1.1%          
Bangkok Bank PCL          
5 yr. CMT + 2.150% 3.466% VRN 9/23/36 (a)   200,000    162,774 
5 yr. CMT + 1.900% 3.733% VRN 9/25/34 (a)   375,000    317,884 
Thaioil Treasury Center Co. Ltd.          
3.500% 10/17/49 (a)   200,000    126,773 
3.500% 10/17/49 (a)   425,000    269,392 
         876,823 
United Arab Emirates — 0.8%          
DP World Crescent Ltd.          
3.875% 7/18/29 (a)   300,000    283,822 
Emirates NBD Bank PJSC 6 yr. CMT + 3.656%          
6.125% VRN (a) (b)   200,000    197,055 
Ruwais Power Co. PJSC          
6.000% 8/31/36 (a)   200,000    207,500 
         688,377 
United States — 0.9%          
Hyundai Capital America          
5.600% 3/30/28 (a)   175,000    174,085 
International Bank for Reconstruction & Development          
0.000% 3/31/27   275,000    248,211 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
LCPR Senior Secured Financing DAC          
5.125% 7/15/29 (a)  $400,000   $336,114 
         758,410 
Venezuela — 0.6%          
Petroleos de Venezuela SA          
5.375% 4/12/27 (a) (d)   900,000    27,279 
6.000% 5/16/24 (a) (d)   2,400,000    84,000 
6.000% 11/15/26 (a) (d)   1,750,000    54,250 
8.500% 10/27/20 (a) (d)   250,000    98,750 
9.000% 11/17/21 (a) (d)   4,990,000    174,650 
9.750% 5/17/35 (a) (d)   150,000    5,325 
12.750% 2/17/22 (a) (d)   1,500,000    54,000 
         498,254 
           
TOTAL CORPORATE DEBT
(Cost $26,485,032)
        21,221,732 
           
SOVEREIGN DEBT OBLIGATIONS — 69.3%          
Albania — 1.7%          
Albania Government International Bonds          
3.500% 6/16/27 EUR (a) (e)   190,000    190,742 
3.500% 11/23/31 EUR (a) (e)   600,000    542,947 
3.500% 11/23/31 EUR (a) (e)   590,000    533,897 
5.900% 6/09/28 EUR (a) (e)   130,000    138,593 
         1,406,179 
Angola — 2.2%          
Angolan Government International Bonds          
8.000% 11/26/29 (a)   400,000    338,540 
8.250% 5/09/28 (a)   925,000    819,088 
9.125% 11/26/49 (a)   300,000    231,000 
9.500% 11/12/25 (a)   400,000    390,262 
         1,778,890 
Argentina — 1.1%          
Argentina Government International Bonds          
0.000% 12/15/35   845,000    8,889 
0.500% STEP 7/09/30   396,224    131,573 
1.500% STEP 7/09/35   649,923    193,877 
3.875% STEP 1/09/38   1,677,891    591,497 
         925,836 
Azerbaijan — 0.3%          
Azerbaijan International Bonds          
3.500% 9/01/32 (a)   300,000    256,163 
Bahamas — 0.7%          
Bahamas Government International Bonds          
6.000% 11/21/28 (a)   675,000    538,313 
Bahrain — 2.2%          
Bahrain Government International Bonds          
5.625% 5/18/34 (a)   700,000    608,724 
6.750% 9/20/29 (a)   350,000    347,095 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
7.000% 10/12/28 (a)  $675,000   $690,822 
7.500% 9/20/47 (a)   200,000    181,634 
         1,828,275 
Barbados — 0.1%          
Barbados Government International Bonds          
6.500% 10/01/29 (a)   75,000    70,035 
Bermuda — 0.5%          
Bermuda Government International Bonds          
5.000% 7/15/32 (a)   400,000    390,000 
Brazil — 1.1%          
Brazil Notas do Tesouro Nacional Serie F          
10.000% 1/01/29 BRL (e)   650,000    126,225 
10.000% 1/01/31 BRL (e)   3,100,000    598,060 
Brazilian Government International Bonds          
5.000% 1/27/45   240,000    186,823 
         911,108 
Bulgaria — 0.4%          
Bulgaria Government International Bonds          
4.500% 1/27/33 EUR (a) (e)   310,000    334,509 
Chile — 0.7%          
Chile Government International Bonds          
3.500% 1/31/34   200,000    176,018 
4.000% 1/31/52   200,000    162,892 
4.950% 1/05/36 (f)   200,000    197,321 
         536,231 
Colombia — 3.2%          
Colombia Government International Bonds          
3.000% 1/30/30   600,000    465,920 
3.125% 4/15/31   400,000    301,200 
4.125% 5/15/51   725,000    432,510 
4.500% 1/28/26   200,000    190,235 
5.000% 6/15/45   350,000    243,003 
5.625% 2/26/44   400,000    297,103 
Colombia TES          
7.000% 3/26/31 COP (e)   3,359,800,000    678,811 
         2,608,782 
Costa Rica — 0.2%          
Costa Rica Government International Bonds          
5.625% 4/30/43 (a)   200,000    171,464 
Dominican Republic — 4.7%          
Dominican Republic International Bonds          
4.500% 1/30/30 (a)   355,000    310,678 
4.875% 9/23/32 (a)   650,000    552,431 
4.875% 9/23/32 (a)   1,075,000    913,636 
5.500% 2/22/29 (a)   165,000    154,180 
5.875% 1/30/60 (a)   1,175,000    907,617 
6.500% 2/15/48 (a)   300,000    258,475 
6.850% 1/27/45 (a)   625,000    565,747 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
7.050% 2/03/31 (a)  $150,000   $149,398 
         3,812,162 
Ecuador — 1.1%          
Ecuador Government International Bonds          
0.000% 7/31/30 (a)   165,446    47,629 
1.500% STEP 7/31/40 (a)   408,900    126,146 
2.500% STEP 7/31/35 (a)   50,000    17,226 
2.500% STEP 7/31/35 (a)   828,550    285,459 
5.500% STEP 7/31/30 (a)   927,100    445,776 
         922,236 
Egypt — 1.1%          
Egypt Government International Bonds          
5.875% 2/16/31 (a)   200,000    109,640 
7.600% 3/01/29 (a)   275,000    177,403 
8.500% 1/31/47 (a)   550,000    290,895 
8.500% 1/31/47 (a)   640,000    338,496 
         916,434 
El Salvador — 1.1%          
El Salvador Government International Bonds          
5.875% 1/30/25 (a)   590,000    520,334 
6.375% 1/18/27 (a)   125,000    86,714 
7.650% 6/15/35 (a)   100,000    58,654 
7.650% 6/15/35 (a)   360,000    211,154 
         876,856 
Ghana — 0.2%          
Ghana Government International Bonds          
10.750% 10/14/30 (a)   200,000    133,720 
Guatemala — 1.2%          
Guatemala Government Bonds          
4.875% 2/13/28 (a)   400,000    379,711 
5.250% 8/10/29 (a)   200,000    190,061 
5.375% 4/24/32 (a)   200,000    189,378 
Guatemala Government International Bonds          
6.600% 6/13/36 (a)   200,000    201,109 
         960,259 
India — 2.0%          
Export-Import Bank of India          
2.250% 1/13/31 (a)   200,000    160,853 
2.250% 1/13/31 (a)   205,000    164,874 
3.250% 1/15/30 (a)   1,500,000    1,321,815 
         1,647,542 
Indonesia — 6.0%          
Indonesia Government International Bonds          
4.550% 1/11/28   200,000    197,238 
4.625% 4/15/43 (a)   1,400,000    1,325,218 
Indonesia Treasury Bonds          
6.125% 5/15/28 IDR (e)   8,304,000,000    556,094 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Perusahaan Penerbit SBSN Indonesia III          
2.800% 6/23/30 (a)  $650,000   $573,088 
3.800% 6/23/50 (a)   200,000    157,581 
4.450% 2/20/29 (a)   775,000    761,374 
4.550% 3/29/26 (a)   1,350,000    1,338,595 
         4,909,188 
Ivory Coast — 2.8%          
Ivory Coast Government International Bonds          
4.875% 1/30/32 EUR (a) (e)   250,000    211,928 
6.125% 6/15/33 (a)   1,925,000    1,684,298 
6.625% 3/22/48 EUR (a) (e)   525,000    405,049 
         2,301,275 
Jamaica — 1.2%          
Jamaica Government International Bonds          
6.750% 4/28/28   200,000    208,517 
8.000% 3/15/39   500,000    595,515 
8.000% 3/15/39   175,000    208,430 
         1,012,462 
Jordan — 2.1%          
Jordan Government International Bonds          
5.850% 7/07/30 (a)   1,200,000    1,098,000 
7.500% 1/13/29 (a) (c)   400,000    399,240 
7.750% 1/15/28 (a)   240,000    244,099 
         1,741,339 
Kenya — 0.6%          
Kenya Government International Bonds          
7.250% 2/28/28 (a)   600,000    519,010 
Mexico — 1.1%          
Mexico Government International Bonds          
6.350% 2/09/35   380,000    399,491 
7.750% 5/29/31 MXN (e)   9,700,000    535,741 
         935,232 
Morocco — 2.1%          
Morocco Government International Bonds          
3.000% 12/15/32 (a)   600,000    474,000 
3.000% 12/15/32 (a)   425,000    335,750 
4.000% 12/15/50 (a)   1,000,000    672,000 
6.500% 9/08/33 (a)   240,000    246,600 
         1,728,350 
Nigeria — 0.8%          
Nigeria Government International Bonds          
7.875% 2/16/32 (a)   750,000    627,849 
Oman — 3.6%          
Oman Government International Bonds          
4.750% 6/15/26 (a)   600,000    582,761 
4.750% 6/15/26 (a)   350,000    339,944 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
5.375% 3/08/27 (a)  $200,000   $196,140 
5.625% 1/17/28 (a)   200,000    197,669 
6.000% 8/01/29 (a)   200,000    199,802 
6.500% 3/08/47 (a)   390,000    362,700 
6.750% 10/28/27 (a)   200,000    206,520 
6.750% 10/28/27 (a)   400,000    413,040 
6.750% 1/17/48 (a)   300,000    287,743 
7.000% 1/25/51 (a)   200,000    197,638 
         2,983,957 
Pakistan — 0.3%          
Pakistan Government International Bonds          
7.875% 3/31/36 (a)   562,000    255,710 
Panama — 3.0%          
Pakistan Government International Bonds          
2.252% 9/29/32 (c)   1,050,000    801,325 
4.500% 1/19/63   360,000    262,754 
6.400% 2/14/35   1,350,000    1,406,469 
         2,470,548 
Paraguay — 1.6%          
Pakistan Government International Bonds          
4.950% 4/28/31 (a)   400,000    383,745 
5.400% 3/30/50 (a)   200,000    170,604 
5.400% 3/30/50 (a)   600,000    511,813 
Paraguay Government International Bonds          
5.850% 8/21/33 (a) (f)   200,000    199,970 
         1,266,132 
Peru — 1.1%          
Peruvian Government International Bonds          
2.780% 12/01/60   670,000    408,070 
3.300% 3/11/41   300,000    230,898 
3.550% 3/10/51   130,000    97,177 
6.150% 8/12/32 PEN (a) (e)   530,000    139,429 
         875,574 
Philippines — 1.0%          
Philippines Government International Bonds          
2.650% 12/10/45   900,000    604,802 
4.625% 7/17/28   200,000    200,247 
         805,049 
Poland — 0.5%          
Poland Government International Bonds          
3.875% 2/14/33 EUR (a) (e)   230,000    248,757 
5.500% 4/04/53   120,000    120,673 
         369,430 
Qatar — 1.4%          
Qatar Government International Bonds          
4.400% 4/16/50 (a)   200,000    181,750 
4.400% 4/16/50 (a)   200,000    181,750 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
4.817% 3/14/49 (a)  $800,000   $767,936 
         1,131,436 
Republic of Korea — 0.5%          
Export-Import Bank of Korea          
5.000% 1/11/28   200,000    200,485 
5.125% 1/11/33   200,000    204,390 
         404,875 
Romania — 1.8%          
Romania Government International Bonds          
2.625% 12/02/40 EUR (a) (e)   50,000    33,084 
2.875% 4/13/42 EUR (a) (e)   125,000    83,545 
3.000% 2/14/31 (a)   174,000    144,018 
3.000% 2/14/31 (a)   300,000    248,307 
3.375% 1/28/50 EUR (a) (e)   450,000    306,699 
4.000% 2/14/51 (a)   160,000    114,000 
4.000% 2/14/51 (a)   722,000    514,425 
         1,444,078 
Saudi Arabia — 1.0%          
Saudi Government International Bonds          
2.750% 2/03/32 (a)   200,000    172,001 
3.750% 1/21/55 (a)   400,000    301,856 
5.000% 4/17/49 (a)   400,000    371,696 
         845,553 
Senegal — 2.3%          
Senegal Government International Bonds          
4.750% 3/13/28 EUR (a) (e)   300,000    281,205 
6.250% 5/23/33 (a)   200,000    166,954 
6.250% 5/23/33 (a)   1,750,000    1,460,851 
         1,909,010 
Serbia — 1.3%          
Senegal Government International Bonds          
2.125% 12/01/30 (a)   1,100,000    843,850 
6.250% 5/26/28 (a)   240,000    238,800 
         1,082,650 
South Africa — 1.7%          
South Africa Government Bonds          
8.000% 1/31/30 ZAR (e)   5,835,000    273,703 
South Africa Government International Bonds          
5.650% 9/27/47   210,000    148,167 
5.875% 4/20/32   425,000    375,912 
6.250% 3/08/41   400,000    323,000 
7.300% 4/20/52   360,000    301,990 
         1,422,772 
Sri Lanka — 1.3%          
Sri Lanka Government International Bonds          
6.125% 6/03/25 (a)   200,000    93,911 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
6.125% 6/03/25 (a)  $500,000   $234,777 
6.825% 7/18/26 (a)   200,000    92,997 
6.850% 11/03/25 (a)   1,400,000    656,634 
         1,078,319 
Suriname — 0.6%          
Suriname Government International Bonds          
9.250% 10/26/26 (a)   631,000    523,730 
Turkey — 2.6%          
Turkey Government International Bonds          
4.250% 4/14/26   200,000    178,445 
4.875% 10/09/26   400,000    356,440 
4.875% 4/16/43   450,000    288,081 
6.000% 1/14/41   350,000    256,980 
8.600% 9/24/27   275,000    270,050 
9.375% 3/14/29   325,000    325,504 
9.375% 1/19/33   230,000    230,277 
9.875% 1/15/28   200,000    203,564 
         2,109,341 
Uruguay — 0.5%          
Uruguay Government International Bonds          
5.750% 10/28/34   355,000    383,273 
Venezuela — 0.2%          
Venezuela Government International Bonds          
7.750% 10/13/19 (a) (d)   1,000,000    52,500 
9.250% 9/15/27 (d)   300,000    25,500 
11.750% 10/21/26 (a) (d)   300,000    26,250 
12.750% 8/23/22 (a) (d)   255,000    21,675 
         125,925 
Zambia — 0.5%          
Zambia Government International Bonds          
5.375% 9/20/22 (a) (d)   825,000    429,000 
           
TOTAL SOVEREIGN DEBT OBLIGATIONS
(Cost $65,378,230)
        56,716,061 
           
TOTAL BONDS & NOTES
(Cost $91,863,262)
        77,937,793 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $91,863,262)
        77,937,793 
           
           
   Number of
Shares
    
SHORT-TERM INVESTMENTS — 4.8%          
Investment of Cash Collateral from Securities Loaned — 1.1%          
State Street Navigator Securities Lending Government Money Market Portfolio (g)   859,575    859,575 
Mutual Fund — 2.3%          
T. Rowe Price Government Reserve Investment Fund   1,913,825    1,913,825 

 

 

 

 

MassMutual Select T. Rowe Price Emerging Markets Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Repurchase Agreement — 1.2%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (h)  $1,002,123   $1,002,123 
U.S. Treasury Bill — 0.2%          
U.S. Treasury Bills          
4.858% 8/31/23 (i) (j)   120,000    118,985 
5.088% 8/31/23 (i) (j)   35,000    34,704 
         153,689 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $3,929,277)
        3,929,212 
           
TOTAL INVESTMENTS — 100.0%
(Cost $95,792,539) (k)
        81,867,005 
           
Other Assets/(Liabilities) — (0.0)%        (4,679) 
           
NET ASSETS — 100.0%       $81,862,326 

 

Abbreviation Legend

STEP Step Up Bond
VRN Variable Rate Note

 

Notes to Portfolio of Investments

 

Percentages are stated as a percent of net assets.

(a) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $58,208,515 or 71.11% of net assets.
(b) Security is perpetual and has no stated maturity date.
(c) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $1,558,666 or 1.90% of net assets. The Fund received $737,715 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(d) Security is currently in default due to bankruptcy or failure to make payment of principal or interest of the issuer. Income is not being accrued. At June 30, 2023, these securities amounted to a value of $1,053,179 or 1.29% of net assets.
(e) The principal amount of the security is in foreign currency. The market value is in U.S. dollars.
(f) A portion of this security is purchased on a when-issued, delayed-delivery or forward commitment basis.
(g) Represents investment of security lending cash collateral. (Note 2).
(h) Maturity value of $1,002,250. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,022,232.
(i) The rate shown represents yield-to-maturity.
(j) All or a portion of this security is pledged/held as collateral for open derivatives.
(k) See Note 3 for aggregate cost for federal tax purposes.

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Bank of America N.A.  9/05/23  USD  81,418   BRL  394,552   $(66) 
Barclays Bank PLC  7/14/23  MXN  1,759,256   USD  $102,648   (48) 
Barclays Bank PLC  8/25/23  USD  99,185   EUR  91,000    (363) 
Barclays Bank PLC  10/13/23  USD  100,898   MXN  1,759,256    31 
BNP Paribas SA  7/14/23  ZAR  1,879,686   USD  97,028    2,756 
BNP Paribas SA  7/14/23  MXN  380,051   USD  21,865    300 
BNP Paribas SA  8/25/23  USD  3,160,773   EUR  2,887,908    1,565 
BNP Paribas SA  9/08/23  USD  110,154   COP  503,283,894    (8,351) 
Citibank N.A.  7/07/23  USD  127,346   PEN  481,000    (5,218) 
Citibank N.A.  7/07/23  IDR  770,437,805   USD  51,373    14 
Citibank N.A.  7/14/23  USD  102,106   MXN  1,871,972    (7,068) 
Citibank N.A.  8/25/23  USD  139,874   EUR  130,000    (2,339) 
Citibank N.A.  9/08/23  USD  250,559   COP  1,132,388,762    (16,076) 
Citibank N.A.  10/06/23  USD  51,304   IDR  770,437,805    (48) 
Goldman Sachs International  7/07/23  IDR  672,759,336   USD  45,020    (148) 
Goldman Sachs International  7/14/23  MXN  3,283,863   USD  191,462    54 
Goldman Sachs International  9/08/23  USD  57,075   COP  243,939,000    (363) 
Goldman Sachs International  10/06/23  USD  44,975   IDR  672,759,336    133 
Goldman Sachs International  10/13/23  USD  188,221   MXN  3,283,863    (58) 
HSBC Bank USA  7/07/23  USD  95,565   IDR  1,443,197,141    (694) 
HSBC Bank USA  7/14/23  USD  118,597   MXN  2,183,967    (8,773) 
HSBC Bank USA  9/05/23  USD  247,067   BRL  1,250,602    (11,210) 
Morgan Stanley & Co. LLC  7/14/23  USD  278,516   MXN  5,120,394    (20,108) 
Morgan Stanley & Co. LLC  7/14/23  MXN  2,111,108   USD  122,985    136 
Morgan Stanley & Co. LLC  9/05/23  USD  247,067   BRL  1,250,602    (11,210) 
Morgan Stanley & Co. LLC  9/08/23  USD  147,434   COP  671,045,193    (10,572) 
Morgan Stanley & Co. LLC  10/13/23  USD  120,884   MXN  2,111,108    (156) 
UBS AG  7/07/23  PEN  481,000   USD  132,855    (291) 
UBS AG  7/14/23  USD  398,983   ZAR  7,354,861    8,547 
UBS AG  9/08/23  USD  83,270   COP  377,462,921    (5,608) 
UBS AG  10/06/23  USD  131,980   PEN  481,000    322
                    $(94,910)

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
U.S. Treasury Ultra Bond  9/20/23   29   $3,908,924  $41,420 
Short               
U.S. Treasury Note 10 Year  9/20/23   49   $(5,582,931)   $81,915 

 

Currency Legend

BRL Brazilian Real
COP Colombian Peso
EUR Euro
IDR Indonesian Rupiah
MXN Mexican Peso
PEN Peruvian New Sol
USD U.S. Dollar
ZAR South African Rand

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 99.4%          
           
COMMON STOCK — 98.7%          
Basic Materials — 1.0%          
Chemicals — 0.8%          
Air Products & Chemicals, Inc.   313   $93,753 
CF Industries Holdings, Inc.   3,217    223,324 
FMC Corp.   899    93,802 
Linde PLC   26,926    10,260,960 
Nutrien Ltd.   142,702    8,426,553 
RPM International, Inc.   1,841    165,193 
Sherwin-Williams Co.   1,690    448,729 
         19,712,314 
Iron & Steel — 0.0%          
Steel Dynamics, Inc.   900    98,037 
Mining — 0.2%          
Freeport-McMoRan, Inc.   112,559    4,502,360 
Newmont Corp.   2,400    102,384 
         4,604,744 
         24,415,095 
Communications — 13.7%          
Advertising — 0.2%          
Trade Desk, Inc. Class A (a)   64,508    4,981,308 
Internet — 12.2%          
Alphabet, Inc. Class A (a)   446,248    53,415,886 
Alphabet, Inc. Class C (a)   364,098    44,044,935 
Amazon.com, Inc. (a)   731,414    95,347,129 
Booking Holdings, Inc. (a)   6,216    16,785,251 
Coupang, Inc. (a)   288,027    5,011,670 
Gen Digital, Inc.   19,800    367,290 
Match Group, Inc. (a)   64,618    2,704,263 
Meta Platforms, Inc. Class A (a)   123,214    35,359,954 
Netflix, Inc. (a)   32,659    14,385,963 
Pinterest, Inc. Class A (a)   232,195    6,348,211 
Shopify, Inc. Class A (a)   81,357    5,255,662 
Spotify Technology SA (a)   31,885    5,119,137 
         284,145,351 
Media — 0.2%          
Charter Communications, Inc. Class A (a)   520    191,033 
Comcast Corp. Class A   6,124    254,452 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Walt Disney Co. (a)   51,069   $4,559,440 
         5,004,925 
Telecommunications — 1.1%          
Arista Networks, Inc. (a)   1,645    266,589 
AT&T, Inc.   6,851    109,273 
Cisco Systems, Inc.   4,881    252,543 
T-Mobile U.S., Inc. (a)   143,334    19,909,092 
Verizon Communications, Inc.   153,088    5,693,343 
         26,230,840 
         320,362,424 
Consumer, Cyclical — 6.2%          
Airlines — 0.0%          
Alaska Air Group, Inc. (a)   800    42,544 
Southwest Airlines Co.   4,761    172,396 
United Airlines Holdings, Inc. (a)   2,400    131,688 
         346,628 
Apparel — 0.1%          
NIKE, Inc. Class B   8,505    938,697 
Auto Manufacturers — 2.0%          
Cummins, Inc.   31,099    7,624,231 
Ferrari NV   23,771    7,730,567 
General Motors Co.   103,515    3,991,538 
PACCAR, Inc.   2,821    235,977 
Rivian Automotive, Inc. Class A (a) (b)   512,038    8,530,553 
Tesla, Inc. (a)   70,263    18,392,745 
         46,505,611 
Auto Parts & Equipment — 0.0%          
Aptiv PLC (a)   2,595    264,924 
Magna International, Inc. (b)   2,582    145,728 
         410,652 
Distribution & Wholesale — 0.0%          
Copart, Inc. (a)   1,996    182,055 
Home Builders — 0.0%          
NVR, Inc. (a)   51    323,881 
Leisure Time — 0.0%          
Royal Caribbean Cruises Ltd. (a)   2,662    276,156 
Lodging — 0.3%          
Hilton Worldwide Holdings, Inc.   2,566    373,481 
Las Vegas Sands Corp. (a)   102,154    5,924,932 
Marriott International, Inc. Class A   798    146,585 
Wynn Resorts Ltd.   2,093    221,042 
         6,666,040 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Retail — 3.8%          
AutoZone, Inc. (a)   2,446   $6,098,759 
Bath & Body Works, Inc.   33,746    1,265,475 
Best Buy Co., Inc.   33,586    2,752,373 
Burlington Stores, Inc. (a)   1,530    240,807 
Chipotle Mexican Grill, Inc. (a)   4,952    10,592,328 
Costco Wholesale Corp.   2,226    1,198,434 
Dollar General Corp.   1,687    286,419 
Dollar Tree, Inc. (a)   1,551    222,568 
Floor & Decor Holdings, Inc. Class A (a)   28,603    2,973,568 
Genuine Parts Co.   800    135,384 
Home Depot, Inc.   16,747    5,202,288 
Lowe's Cos., Inc.   1,870    422,059 
Lululemon Athletica, Inc. (a)   6,718    2,542,763 
McDonald's Corp.   44,345    13,232,991 
O'Reilly Automotive, Inc. (a)   3,906    3,731,402 
Ross Stores, Inc.   63,630    7,134,832 
Starbucks Corp.   5,123    507,484 
Target Corp.   37,090    4,892,171 
TJX Cos., Inc.   41,395    3,509,882 
Ulta Beauty, Inc. (a)   19,256    9,061,777 
Walmart, Inc.   81,436    12,800,110 
         88,803,874 
         144,453,594 
Consumer, Non-cyclical — 21.2%          
Agriculture — 0.9%          
Altria Group, Inc.   7,203    326,296 
Darling Ingredients, Inc. (a)   1,454    92,751 
Philip Morris International, Inc.   206,438    20,152,477 
         20,571,524 
Beverages — 1.1%          
Coca-Cola Co.   145,368    8,754,061 
Constellation Brands, Inc. Class A   27,005    6,646,741 
Keurig Dr Pepper, Inc.   11,772    368,110 
Monster Beverage Corp. (a)   7,068    405,986 
PepsiCo, Inc.   45,772    8,477,890 
         24,652,788 
Biotechnology — 1.5%          
Amgen, Inc.   47,143    10,466,689 
Apellis Pharmaceuticals, Inc. (a)   1,100    100,210 
Argenx SE ADR (a)   12,348    4,812,386 
Biogen, Inc. (a)   821    233,862 
Gilead Sciences, Inc.   3,937    303,425 
Illumina, Inc. (a)   713    133,680 
Legend Biotech Corp. ADR (a)   20,045    1,383,706 
Moderna, Inc. (a)   732    88,938 
Regeneron Pharmaceuticals, Inc. (a)   10,704    7,691,252 
Vertex Pharmaceuticals, Inc. (a)   27,801    9,783,450 
         34,997,598 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Commercial Services — 1.1%          
Ant International Co. Ltd., Class C (Acquired 6/07/18, Cost $1,171,890) (a) (c) (d) (e)   307,471   $541,149 
Booz Allen Hamilton Holding Corp.   34,583    3,859,463 
Cintas Corp.   5,319    2,643,969 
CoStar Group, Inc. (a)   1,003    89,267 
FleetCor Technologies, Inc. (a)   17,475    4,387,623 
Global Payments, Inc.   25,545    2,516,693 
MarketAxess Holdings, Inc.   400    104,568 
Moody's Corp.   1,106    384,578 
S&P Global, Inc.   1,493    598,529 
Service Corp. International   52,551    3,394,269 
TransUnion   64,286    5,035,522 
United Rentals, Inc.   133    59,234 
Verisk Analytics, Inc.   12,997    2,937,712 
WillScot Mobile Mini Holdings Corp. (a)   835    39,905 
         26,592,481 
Cosmetics & Personal Care — 1.6%          
Colgate-Palmolive Co.   36,477    2,810,188 
elf Beauty, Inc. (a)   900    102,807 
Estee Lauder Cos., Inc. Class A   21,869    4,294,634 
Kenvue, Inc. (a)   204,151    5,393,669 
Procter & Gamble Co.   164,352    24,938,773 
         37,540,071 
Food — 1.6%          
General Mills, Inc.   91,102    6,987,523 
Hershey Co.   13,923    3,476,573 
Kraft Heinz Co.   167,412    5,943,126 
Mondelez International, Inc. Class A   278,987    20,349,312 
Sysco Corp.   3,218    238,776 
Tyson Foods, Inc. Class A   1,500    76,560 
         37,071,870 
Health Care – Products — 3.2%          
Abbott Laboratories   5,242    571,483 
Align Technology, Inc. (a)   5,822    2,058,892 
Avantor, Inc. (a)   151,636    3,114,603 
Baxter International, Inc.   8,200    373,592 
Boston Scientific Corp. (a)   2,620    141,716 
Danaher Corp.   67,497    16,199,280 
Dentsply Sirona, Inc.   3,700    148,074 
GE HealthCare Technologies, Inc. (a)   105,710    8,587,880 
Intuitive Surgical, Inc. (a)   44,037    15,058,012 
Medtronic PLC   55,759    4,912,368 
Steris PLC   13,127    2,953,313 
Stryker Corp.   12,911    3,939,017 
Teleflex, Inc.   1,500    363,045 
Thermo Fisher Scientific, Inc.   29,451    15,366,059 
West Pharmaceutical Services, Inc.   288    110,151 
Zimmer Biomet Holdings, Inc.   3,116    453,690 
         74,351,175 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Health Care – Services — 4.5%          
Charles River Laboratories International, Inc. (a)   664   $139,606 
Elevance Health, Inc.   75,397    33,498,133 
HCA Healthcare, Inc.   46,565    14,131,547 
Humana, Inc.   31,593    14,126,178 
ICON PLC (a)   400    100,080 
IQVIA Holdings, Inc. (a)   483    108,564 
Molina Healthcare, Inc. (a)   11,925    3,592,287 
Quest Diagnostics, Inc.   18,059    2,538,373 
UnitedHealth Group, Inc.   77,194    37,102,524 
         105,337,292 
Household Products & Wares — 0.0%          
Avery Dennison Corp.   904    155,307 
Kimberly-Clark Corp.   582    80,351 
         235,658 
Pharmaceuticals — 5.7%          
AbbVie, Inc.   9,729    1,310,788 
AmerisourceBergen Corp.   126,037    24,253,300 
AstraZeneca PLC Sponsored ADR   132,286    9,467,709 
Becton Dickinson & Co.   40,314    10,643,299 
Bristol-Myers Squibb Co.   2,033    130,010 
Cigna Group   29,966    8,408,459 
Dexcom, Inc. (a)   3,514    451,584 
Eli Lilly & Co.   60,915    28,567,917 
Johnson & Johnson   145,517    24,085,974 
McKesson Corp.   11,764    5,026,875 
Merck & Co., Inc.   146,353    16,887,673 
Novo Nordisk AS Sponsored ADR   2,249    363,956 
Pfizer, Inc.   14,062    515,794 
Viatris, Inc.   39,531    394,519 
Zoetis, Inc.   20,808    3,583,346 
         134,091,203 
         495,441,660 
Energy — 3.8%          
Energy – Alternate Sources — 0.0%          
Enphase Energy, Inc. (a)   465    77,878 
First Solar, Inc. (a)   358    68,052 
SolarEdge Technologies, Inc. (a)   415    111,656 
         257,586 
Oil & Gas — 2.8%          
Chesapeake Energy Corp.   700    58,576 
Chevron Corp.   112,970    17,775,830 
ConocoPhillips   9,553    989,786 
EOG Resources, Inc.   4,345    497,242 
EQT Corp.   266,838    10,975,047 
Exxon Mobil Corp.   220,501    23,648,732 
Hess Corp.   2,793    379,708 
Marathon Petroleum Corp.   3,514    409,732 
Pioneer Natural Resources Co.   1,004    208,009 
Range Resources Corp.   233,592    6,867,605 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Southwestern Energy Co. (a)   388,575   $2,335,336 
Suncor Energy, Inc. (b)   4,300    126,076 
Valero Energy Corp.   1,300    152,490 
         64,424,169 
Oil & Gas Services — 0.4%          
Halliburton Co.   43,720    1,442,323 
Nov, Inc.   71,146    1,141,182 
Schlumberger NV   151,700    7,451,504 
         10,035,009 
Pipelines — 0.6%          
Kinder Morgan, Inc.   480,884    8,280,822 
Williams Cos., Inc.   163,890    5,347,731 
         13,628,553 
         88,345,317 
Financial — 14.3%          
Banks — 4.5%          
Bank of America Corp.   774,222    22,212,429 
Citigroup, Inc.   8,615    396,635 
East West Bancorp, Inc.   25,718    1,357,653 
Fifth Third Bancorp   13,678    358,500 
Goldman Sachs Group, Inc.   27,870    8,989,190 
Huntington Bancshares, Inc.   24,790    267,236 
JP Morgan Chase & Co.   225,954    32,862,750 
Morgan Stanley   8,120    693,448 
PNC Financial Services Group, Inc.   105,911    13,339,491 
Regions Financial Corp.   2,700    48,114 
The Bank of New York Mellon Corp.   6,007    267,432 
Truist Financial Corp.   2,300    69,805 
U.S. Bancorp   250,673    8,282,236 
Wells Fargo & Co.   387,105    16,521,641 
Western Alliance Bancorp   1,700    61,999 
         105,728,559 
Diversified Financial Services — 3.4%          
American Express Co.   59,004    10,278,497 
Apollo Global Management, Inc.   3,519    270,294 
BlackRock, Inc.   334    230,841 
Capital One Financial Corp.   894    97,777 
Cboe Global Markets, Inc.   18,428    2,543,248 
Charles Schwab Corp.   70,702    4,007,389 
CME Group, Inc.   1,665    308,508 
Discover Financial Services   1,000    116,850 
Intercontinental Exchange, Inc.   4,316    488,053 
Maplebear, Inc., (Non-Voting) (Acquired 8/07/20, Cost $14,781) (a) (c) (d) (e)   319    10,368 
Maplebear, Inc., (Voting) (Acquired 8/07/20, Cost $282,637) (a) (c) (d) (e)   6,100    198,250 
Mastercard, Inc. Class A   59,177    23,274,314 
Visa, Inc. Class A   157,338    37,364,628 
         79,189,017 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Insurance — 5.1%          
American International Group, Inc.   13,984   $804,639 
Berkshire Hathaway, Inc. Class B (a)   91,109    31,068,169 
Chubb Ltd.   106,663    20,539,027 
Corebridge Financial, Inc.   189,443    3,345,563 
Equitable Holdings, Inc.   14,124    383,608 
Hartford Financial Services Group, Inc.   110,469    7,955,978 
Marsh & McLennan Cos., Inc.   2,098    394,592 
MetLife, Inc.   321,810    18,191,919 
Progressive Corp.   133,423    17,661,203 
RenaissanceRe Holdings Ltd.   1,690    315,219 
The Allstate Corp.   75,122    8,191,303 
Travelers Cos., Inc.   59,961    10,412,827 
         119,264,047 
Private Equity — 0.0%          
Ares Management Corp. Class A   2,490    239,912 
Real Estate Investment Trusts (REITS) — 1.3%          
American Homes 4 Rent Class A   3,182    112,802 
American Tower Corp.   2,055    398,547 
AvalonBay Communities, Inc.   1,150    217,660 
Equinix, Inc.   544    426,463 
Equity LifeStyle Properties, Inc.   67,099    4,488,252 
Essex Property Trust, Inc.   606    141,986 
Extra Space Storage, Inc.   1,091    162,395 
Life Storage, Inc.   20,834    2,770,089 
Prologis, Inc.   50,070    6,140,084 
Public Storage   32,475    9,478,803 
Rexford Industrial Realty, Inc.   4,993    260,734 
SBA Communications Corp.   1,651    382,636 
Simon Property Group, Inc.   1,549    178,879 
Sun Communities, Inc.   675    88,060 
Welltower, Inc.   3,774    305,279 
Weyerhaeuser Co.   143,592    4,811,768 
         30,364,437 
         334,785,972 
Industrial — 8.5%          
Aerospace & Defense — 1.2%          
Airbus SE   33,614    4,859,083 
Boeing Co. (a)   2,399    506,573 
General Dynamics Corp.   27,197    5,851,435 
Howmet Aerospace, Inc.   900    44,604 
L3 Harris Technologies, Inc.   64,263    12,580,767 
Northrop Grumman Corp.   8,611    3,924,894 
Raytheon Technologies Corp.   5,240    513,310 
TransDigm Group, Inc.   574    513,254 
         28,793,920 
Building Materials — 0.5%          
Carrier Global Corp.   188,942    9,392,307 
Johnson Controls International PLC   2,069    140,982 
Trane Technologies PLC   675    129,100 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Vulcan Materials Co.   1,159   $261,285 
West Fraser Timber Co. Ltd.   2,486    213,746 
         10,137,420 
Electrical Components & Equipment — 0.6%          
AMETEK, Inc.   78,075    12,638,781 
Emerson Electric Co.   900    81,351 
         12,720,132 
Electronics — 1.4%          
Agilent Technologies, Inc.   23,509    2,826,957 
Amphenol Corp. Class A   53,310    4,528,684 
Honeywell International, Inc.   32,873    6,821,147 
Hubbell, Inc.   27,053    8,969,693 
TE Connectivity Ltd.   66,986    9,388,758 
Trimble, Inc. (a)   4,253    225,154 
         32,760,393 
Environmental Controls — 0.0%          
Republic Services, Inc.   1,085    166,189 
Waste Connections, Inc.   2,561    366,044 
         532,233 
Hand & Machine Tools — 0.0%          
Stanley Black & Decker, Inc.   6,167    577,910 
Machinery – Construction & Mining — 0.0%          
Caterpillar, Inc.   864    212,587 
Machinery – Diversified — 0.6%          
Deere & Co.   5,652    2,290,134 
Dover Corp.   11,852    1,749,948 
Ingersoll Rand, Inc.   6,604    431,637 
Otis Worldwide Corp.   3,648    324,709 
Rockwell Automation, Inc.   470    154,842 
Westinghouse Air Brake Technologies Corp.   88,938    9,753,830 
         14,705,100 
Miscellaneous - Manufacturing — 2.1%          
3M Co.   1,600    160,144 
Eaton Corp. PLC   71,918    14,462,710 
General Electric Co.   164,617    18,083,177 
Siemens AG Registered   26,910    4,479,130 
Teledyne Technologies, Inc. (a)   26,016    10,695,438 
         47,880,599 
Packaging & Containers — 0.0%          
Ball Corp.   4,263    248,149 
Packaging Corp. of America   597    78,900 
Sealed Air Corp.   2,591    103,640 
WestRock Co.   3,887    112,995 
         543,684 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Shipbuilding — 0.0%          
Huntington Ingalls Industries, Inc.   800   $182,080 
Transportation — 2.1%          
Canadian Pacific Kansas City Ltd. (b)   1,038    83,839 
CSX Corp.   560,646    19,118,029 
FedEx Corp.   11,566    2,867,211 
JB Hunt Transport Services, Inc.   1,652    299,062 
Norfolk Southern Corp.   24,560    5,569,226 
Old Dominion Freight Line, Inc.   25,096    9,279,246 
Saia, Inc. (a)   914    312,963 
Union Pacific Corp.   53,517    10,950,648 
         48,480,224 
         197,526,282 
Technology — 28.0%          
Commercial Services — 0.0%          
Celonis SE (Acquired 6/17/21, Cost $435,243) (a) (c) (d) (e)   1,177    262,565 
Computers — 6.3%          
Accenture PLC Class A   50,783    15,670,618 
Apple, Inc.   679,415    131,786,128 
Cognizant Technology Solutions Corp. Class A   1,657    108,169 
Fortinet, Inc. (a)   6,138    463,971 
Pure Storage, Inc. Class A (a)   12,340    454,359 
Western Digital Corp. (a)   5,067    192,191 
         148,675,436 
Semiconductors — 8.9%          
Advanced Micro Devices, Inc. (a)   125,512    14,297,072 
Analog Devices, Inc.   8,905    1,734,783 
Applied Materials, Inc.   92,930    13,432,102 
ASML Holding NV   18,556    13,448,461 
Broadcom, Inc.   22,423    19,450,383 
Entegris, Inc.   2,530    280,375 
Intel Corp.   13,800    461,472 
KLA Corp.   13,643    6,617,128 
Lam Research Corp.   30,286    19,469,658 
Lattice Semiconductor Corp. (a)   1,973    189,546 
Marvell Technology, Inc.   83,452    4,988,760 
Micron Technology, Inc.   198,424    12,522,539 
Monolithic Power Systems, Inc.   621    335,483 
NVIDIA Corp.   170,536    72,140,139 
NXP Semiconductor NV   21,711    4,443,807 
ON Semiconductor Corp. (a)   4,385    414,733 
QUALCOMM, Inc.   32,741    3,897,489 
Skyworks Solutions, Inc.   24,880    2,753,967 
Texas Instruments, Inc.   93,007    16,743,120 
         207,621,017 
Software — 12.8%          
Activision Blizzard, Inc. (a)   4,208    354,734 
Adobe, Inc. (a)   7,491    3,663,024 
Atlassian Corp. Class A Class A (a)   12,178    2,043,590 
Autodesk, Inc. (a)   10,795    2,208,765 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Broadridge Financial Solutions, Inc.   19,008   $3,148,295 
Cadence Design Systems, Inc. (a)   11,678    2,738,725 
Canva, Inc. (Acquired 12/17/21-12/22/21, Cost $872,531) (a) (c) (d) (e)   512    363,300 
Ceridian HCM Holding, Inc. (a)   46,952    3,144,376 
DocuSign, Inc. (a)   7,627    389,663 
Dynatrace, Inc. (a)   88,803    4,570,690 
Epic Games, Inc. (Acquired 6/18/20-3/29/21, Cost $2,322,065) (a) (c) (d) (e)   3,487    2,408,297 
Fair Isaac Corp. (a)   104    84,158 
Fidelity National Information Services, Inc.   61,444    3,360,987 
Fiserv, Inc. (a)   263,639    33,258,060 
Intuit, Inc.   42,905    19,658,642 
Microsoft Corp.   516,497    175,887,888 
MongoDB, Inc. (a)   6,047    2,485,257 
MSCI, Inc.   400    187,716 
Roper Technologies, Inc.   22,113    10,631,930 
Salesforce, Inc. (a)   60,167    12,710,880 
ServiceNow, Inc. (a)   24,462    13,746,910 
Stripe, Inc., Class B (Acquired 12/17/19, Cost $295,694) (a) (c) (d) (e)   18,846    379,370 
Synopsys, Inc. (a)   1,638    713,202 
The Descartes Systems Group, Inc. (a)   1,883    150,847 
Zoom Video Communications, Inc. Class A (a)   770    52,268 
         298,341,574 
         654,900,592 
Utilities — 2.0%          
Electric — 2.0%          
Ameren Corp.   26,814    2,189,899 
CMS Energy Corp.   5,411    317,896 
Constellation Energy Corp.   114,872    10,516,532 
Dominion Energy, Inc.   15,669    811,498 
DTE Energy Co.   13,784    1,516,516 
Entergy Corp.   19,953    1,942,824 
Evergy, Inc.   55,184    3,223,849 
FirstEnergy Corp.   63,764    2,479,144 
NextEra Energy, Inc.   112,367    8,337,631 
PG&E Corp. (a)   44,569    770,152 
Sempra Energy   1,510    219,841 
Southern Co.   194,566    13,668,260 
WEC Energy Group, Inc.   453    39,973 
Xcel Energy, Inc.   987    61,362 
         46,095,377 
           
TOTAL COMMON STOCK
(Cost $2,035,201,720)
        2,306,326,313 
           
PREFERRED STOCK — 0.7%          
Consumer, Cyclical — 0.3%          
Auto Manufacturers — 0.3%          
Dr Ing hc F Porsche AG 0.888%          
(f)   39,721    4,929,981 
Nuro, Inc., Series C, (Acquired 10/30/20-3/02/21, Cost $1,236,023)          
(a) (c) (d) (e)   94,681    587,022 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Nuro, Inc., Series D, (Acquired 10/29/21, Cost $487,977)          
(a) (c) (d) (e)   23,409   $145,136 
Waymo LLC., Series A-2, (Acquired 5/08/20, Cost $748,934)          
(a) (c) (d) (e)   8,722    332,657 
         5,994,796 
Consumer, Non-cyclical — 0.1%          
Commercial Services — 0.1%          
Redwood Materials, Inc., Series C, (Acquired 5/28/21, Cost $1,059,705)          
(a) (c) (d) (e)   22,355    1,067,135 
Redwood Materials, Inc., Series D, (Acquired 6/17/22, Cost $50,373)          
(a) (c) (d) (e)   1,241    59,240 
         1,126,375 
Financial — 0.0%          
Investment Companies — 0.0%          
Maplebear, Inc., Series A, (Acquired 11/18/20, Cost $53,081)          
(a) (c) (d) (e)   870    28,275 
Maplebear, Inc., Series G, (Acquired 7/02/20, Cost $599,129)          
(a) (c) (d) (e)   12,458    404,885 
Maplebear, Inc., Series I, (Acquired 2/26/21, Cost $240,750)          
(a) (c) (d) (e)   1,926    62,595 
         495,755 
Industrial — 0.2%          
Electrical Components & Equipment — 0.0%          
Sila Nanotechnologies, Inc., Series F (Acquired 1/07/21, Cost $760,988) (a) (c) (d) (e)   18,438    373,923 
Electronics — 0.2%          
GM Cruise Holdings, LLC, Class F (Acquired 5/07/19, Cost $921,625) (a) (c) (d) (e)   50,500    857,490 
GM Cruise Holdings, LLC, Class G (Acquired 1/21/21, Cost $979,851) (a) (c) (d) (e)   37,186    631,418 
Sartorius AG 0.4538%   10,785    3,698,444 
         5,187,352 
         5,561,275 
Technology — 0.1%          
Software — 0.1%          
Canva, Inc., Series A (Acquired 12/17/21, Cost $49,421) (a) (c) (d) (e)   29    20,578 
Canva, Inc., Series A-3 (Acquired 12/17/21, Cost $13,633) (a) (c) (d) (e)   8    5,677 
Celonis SE, Series D (Acquired 6/17/21-10/04/22, Cost $1,306,468) (a) (c) (d) (e)   3,533    788,142 
Formagrid, Inc., Series F (Acquired 12/08/21, Cost $1,130,824) (a) (c) (d) (e)   6,038    396,153 

 

 

 

 

MassMutual Select T. Rowe Price Large Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Rappi, Inc., Series E (Acquired 9/08/20-9/24/20, Cost $1,092,516) (a) (c) (d) (e)   18,286   $658,479 
         1,869,029 
           
TOTAL PREFERRED STOCK
(Cost $18,020,026)
        15,047,230 
           
TOTAL EQUITIES
(Cost $2,053,221,746)
        2,321,373,543 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $2,053,221,746)
        2,321,373,543 
           
SHORT-TERM INVESTMENTS — 0.6%          
Investment of Cash Collateral from Securities Loaned — 0.0%          
State Street Navigator Securities Lending Government Money Market Portfolio (g)   125,153    125,153 
Mutual Fund — 0.5%          
T. Rowe Price Government Reserve Investment Fund   12,259,269    12,259,269 

 

   Principal
Amount
    
Repurchase Agreement — 0.1%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (h)  $997,710   997,710 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $13,382,132)
        13,382,132 
           
TOTAL INVESTMENTS — 100.0%
(Cost $2,066,603,878) (i)
        2,334,755,675 
           
Other Assets/(Liabilities) — 0.0%        1,098,296 
           
NET ASSETS — 100.0%       $2,335,853,971 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $4,591,681 or 0.20% of net assets. The Fund received $4,602,268 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Investment is valued using significant unobservable inputs.
(d) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $10,582,104 or 0.45% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(e) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $10,582,104 or 0.45% of net assets.
(f) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $4,929,981 or 0.21% of net assets.
(g) Represents investment of security lending cash collateral. (Note 2).
(h) Maturity value of $997,837. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,017,683.
(i) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Principal
Amount
   Value 
BONDS & NOTES — 94.6%          
           
CORPORATE DEBT — 0.2%          
Health Care – Services — 0.2%          
Health Care Service Corp. A Mutual Legal Reserve Co.          
1.500% 6/01/25 (a)  $545,000   $499,231 
           
TOTAL CORPORATE DEBT
(Cost $516,314)
        499,231 
           
MUNICIPAL OBLIGATIONS — 0.4%          
California State University, Revenue Bond          
0.563% 11/01/24   125,000    117,222 
City & County of Denver Co. Airport System Revenue          
Revenue Bond, 0.877% 11/15/23   20,000    19,662 
Revenue Bond, 1.115% 11/15/24   30,000    28,287 
City of Atlanta GA Water & Wastewater Revenue          
Revenue Bond, 0.407% 11/01/23   15,000    14,747 
Revenue Bond, 0.616% 11/01/24   15,000    14,056 
Dallas Area Rapid Transit          
Revenue Bond, 0.541% 12/01/23   10,000    9,794 
Revenue Bond, 0.761% 12/01/24   10,000    9,368 
State of Illinois, General Obligation          
2.840% 10/01/23   485,000    481,375 
Tobacco Settlement Finance Authority, Revenue Bond          
1.497% 6/01/24   65,000    62,391 
         756,902 
           
TOTAL MUNICIPAL OBLIGATIONS
(Cost $775,000)
        756,902 
           
NON-U.S. GOVERNMENT AGENCY OBLIGATIONS — 0.1%          
Other Asset-Backed Securities — 0.1%          
BRE Grand Islander Timeshare Issuer LLC, Series 2019-A, Class A          
3.280% 9/26/33 (a)   33,414    30,896 
Elara HGV Timeshare Issuer LLC, Series 2016-A, Class A          
2.730% 4/25/28 (a)   137,003    135,621 
Sierra Timeshare Receivables Funding LLC, Series 2019-3A, Class A          
2.340% 8/20/36 (a)   28,504    27,607 
         194,124 
Whole Loan Collateral Collateralized Mortgage Obligations — 0.0%          
OBX Trust, Series 2020-EXP1, Class 2A1, 1 mo. USD LIBOR + .750%          
5.900% FRN 2/25/60 (a)   17,351    16,036 
Sequoia Mortgage Trust          
Series 2017-CH1, Class A2, 3.500% VRN 8/25/47 (a) (b)   11,741    10,660 
Series 2017-CH1, Class A13, 4.000% VRN 8/25/47 (a) (b)   31,921    29,644 
Series 2018-CH2, Class A3, 4.000% VRN 6/25/48 (a) (b)   7,888    7,222 

 

 

 

 

MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
Series 2018-CH3, Class A2, 4.000% VRN 8/25/48 (a) (b)  $2,684   $2,571 
Series 2018-CH4, Class A2, 4.000% VRN 10/25/48 (a) (b)   411    407 
         66,540 
           
TOTAL NON-U.S. GOVERNMENT AGENCY OBLIGATIONS
(Cost $271,503)
        260,664 
           
U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES (C) — 0.2%          
Collateralized Mortgage Obligations — 0.0%          
Government National Mortgage Association
Series 2019-65, Class B 3.500% 5/20/49
   47,522    44,132 
Whole Loans — 0.2%          
Federal National Mortgage Association Connecticut Avenue Securities Trust          
Series 2018-C03, Class 1EB2, 1 mo. USD LIBOR + .850% 6.000% FRN 10/25/30   168,809    168,623 
Series 2018-C03, Class 1ED2, 1 mo. USD LIBOR + .850% 6.000% FRN 10/25/30   9,521    9,476 
Series 2017-C05, Class 1ED3, 1 mo. USD LIBOR + 1.200% 6.350% FRN 1/25/30   6,799    6,790 
Series 2017-C06, Class 1M2B, 1 mo. USD LIBOR + 2.650% 7.800% FRN 2/25/30   110,210    111,537 
         296,426 
           
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES
(Cost $346,680)
        340,558 
           
U.S. TREASURY OBLIGATIONS — 93.7%          
U.S. Treasury Bonds & Notes — 93.7%          
U.S. Treasury Inflation Index          
0.125% 10/15/24   13,914,021    13,420,644 
0.125% 4/15/25 (d)   16,253,755    15,461,702 
0.125% 10/15/25   12,242,038    11,605,548 
0.125% 4/15/26   8,043,829    7,542,111 
0.125% 7/15/26   16,296,829    15,307,083 
0.125% 10/15/26   14,007,741    13,094,228 
0.125% 4/15/27   18,552,255    17,170,257 
0.250% 1/15/25   13,525,207    12,965,311 
0.375% 7/15/25   12,030,462    11,512,236 
0.375% 1/15/27   11,504,174    10,793,364 
0.375% 7/15/27   8,216,214    7,701,177 
0.625% 1/15/26   9,171,597    8,744,813 
1.250% 4/15/28   21,027,202    20,343,818 
1.625% 10/15/27   20,117,477    19,819,840 
         185,482,132 
           
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $194,140,269)
        185,482,132 
           
TOTAL BONDS & NOTES
(Cost $196,049,766)
        187,339,487 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $196,049,766)
        187,339,487 
           

 

 

 

 

MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
SHORT-TERM INVESTMENTS — 5.3%          
           
Mutual Fund — 4.8%          
T. Rowe Price Government Reserve Investment Fund  9,541,025   $9,541,025 
           
   Principal
Amount
      
Repurchase Agreement — 0.5%        
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (e)  $945,902   945,902 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $10,486,927)
        10,486,927 
           
TOTAL INVESTMENTS — 99.9%
(Cost $206,536,693) (f)
        197,826,414 
           
Other Assets/(Liabilities) — 0.1%        157,932 
           
NET ASSETS — 100.0%       $197,984,346 

 

Abbreviation Legend

FRN Floating Rate Note
VRN Variable Rate Note

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $759,895 or 0.38% of net assets.
(b) 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 above. The rates shown are the current interest rates at June 30, 2023.
(c) May contain securities that are issued by a U.S. Government Agency, but are unsecured and are not guaranteed by a U.S. Government Agency.
(d) All or a portion of this security is pledged/held as collateral for open derivatives.
(e) Maturity value of $946,022. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $964,876.
(f) See Note 3 for aggregate cost for federal tax purposes.

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Citibank N.A.  7/21/23  AUD  1,190,000   USD  792,088   $988 
Citibank N.A.  7/21/23  USD  491,198   AUD  725,000    8,022 
Citibank N.A.  8/25/23  USD  220,417   GBP  175,000    (1,888) 
Goldman Sachs International  7/21/23  USD  517,924   AUD  775,000    1,425 
Goldman Sachs International  8/25/23  USD  789,467   GBP  620,000    1,874 
HSBC Bank USA  8/25/23  USD  694,186   EUR  635,000    (468) 
JP Morgan Chase Bank  8/25/23  EUR  635,000   USD  700,079    (5,425) 
UBS AG  8/25/23  GBP  645,000   USD  819,127   224
                    $4,752

 

Centrally Cleared Credit Default Swaps - Sell Protection††
Reference
Obligation/ Index
  Rate Received by Fund  Payment Frequency   Termination Date   Credit Rating   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
CDX.NA.IG Series 40†  1.000%   Quarterly    6/20/28    NR*   USD   3,972,000   $59,425   $48,854   $10,571 

 

Centrally Cleared Interest Rate Swaps
Paid by the Fund  Received by the Fund                        
Rate/ Reference  Frequency  Rate/ Reference   Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
Fixed 3.135%  Maturity   U.S. Consumer Price Index    Maturity    8/03/23   USD   4,650,000   $303,972   $   $303,972
Fixed 2.960%  Maturity   U.S. Consumer Price Index    Maturity    8/02/24   USD   1,376,000    86,307        86,307
Fixed 2.953%  Maturity   U.S. Consumer Price Index    Maturity    8/03/24   USD   3,133,000    196,331        196,331
Fixed 3.113%  Maturity   U.S. Consumer Price Index    Maturity    8/22/24   USD   1,370,000    (6,477)        (6,477)
Fixed 3.129%  Maturity   U.S. Consumer Price Index    Maturity    8/22/24   USD   1,370,000    (6,916)        (6,916) 
                             $573,217   $   $573,217 
* Rating represents a weighted average of the ratings of all securities included in the underlying index for the credit default swap. Ratings used in the weighted average are from Moody's Investors Service, Inc., S&P Global Ratings, or Fitch Ratings, whichever is the highest for each constituent. All ratings are as of the report date and do not reflect subsequent changes.
Payment is based on a percentage of the index. Reference entities are a number of individual issuers comprising the index.
†† For each credit derivative with sold protection, the credit ratings of the entities referenced, as rated by any rating organization, are included in the equivalent S&P Global Ratings. The reference entity rating represents the likelihood of a potential payment by the Fund if the referenced entity experiences a credit event as of period end. Notional amounts represent the maximum potential amount of future payments (undiscounted) the Fund could be required to make under the credit derivatives with sold protection.

 

Currency Legend

AUD Australian Dollar
EUR Euro
GBP British Pound
USD U.S. Dollar

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments

 

   Number of
Shares
   Value 
EQUITIES — 94.8%          
           
COMMON STOCK — 94.2%          
Australia — 9.9%          
Allkem Ltd. (a)   28,510   $308,018 
ALS Ltd.   83,146    620,917 
Bellevue Gold Ltd. (a) (b)   337,641    288,453 
BHP Group Ltd.   265,132    7,910,751 
BlueScope Steel Ltd.   26,517    365,828 
Capricorn Metals Ltd. (a)   90,257    245,668 
Emerald Resources NL (a) (b)   421,640    576,559 
Glencore PLC   458,844    2,602,810 
Goodman Group   84,367    1,130,146 
IGO Ltd.   49,074    500,879 
Newcrest Mining Ltd.   97,660    1,744,890 
Northern Star Resources Ltd.   379,589    3,081,527 
Pilbara Minerals Ltd. (b)   88,782    292,781 
Red 5 Ltd. (a) (b)   2,006,132    256,532 
Rio Tinto Ltd.   33,967    2,614,049 
Rio Tinto PLC   32,464    2,062,422 
Scentre Group   384,576    679,249 
South32 Ltd.   276,200    696,579 
         25,978,058 
Austria — 0.4%          
OMV AG   14,895    631,128 
voestalpine AG   15,011    539,425 
         1,170,553 
Belgium — 0.5%          
Shurgard Self Storage Ltd.   15,287    698,067 
Warehouses De Pauw CVA   22,027    604,221 
         1,302,288 
Bosnia and Herzegowina — 0.2%          
Adriatic Metals PLC (a)   199,427    423,722 
Brazil — 1.1%          
ERO Copper Corp. (a)   68,044    1,376,546 
Minerva SA   205,811    456,909 
Suzano SA   49,213    454,492 
Wheaton Precious Metals Corp.   16,385    708,584 
         2,996,531 
Burkina Faso — 0.5%          
Endeavour Mining PLC   51,490    1,234,050 
Canada — 9.5%          
Agnico Eagle Mines Ltd.   11,948    597,161 
Agnico Eagle Mines Ltd.   45,766    2,285,277 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Barrick Gold Corp.   70,277   $1,189,790 
Calibre Mining Corp. (a)   216,688    227,361 
Cameco Corp.   40,600    1,271,998 
Canadian Apartment Properties REIT   18,121    695,704 
Canadian National Railway Co.   6,270    759,263 
Canadian Natural Resources Ltd.   17,990    1,011,432 
Canadian Pacific Kansas City Ltd. (b)   9,333    753,826 
Filo Corp. (a)   12,121    236,152 
Franco-Nevada Corp.   27,820    3,965,046 
Granite Real Estate Investment Trust   9,901    585,801 
Ivanhoe Mines Ltd. Class A (a) (b)   128,253    1,171,437 
K92 Mining, Inc. (a)   80,622    349,935 
Karora Resources, Inc. (a)   182,564    558,131 
Kinross Gold Corp.   36,660    174,868 
MAG Silver Corp. (a)   39,200    436,688 
Nutrien Ltd.   17,177    1,014,302 
Orla Mining Ltd. (a)   85,968    360,809 
Osisko Mining, Inc. (a)   205,442    499,357 
Skeena Resources Ltd. (a)   29,354    141,591 
StorageVault Canada, Inc. (b)   85,518    377,641 
Suncor Energy, Inc. (b)   46,136    1,353,346 
Teck Resources Ltd. Class B   42,562    1,791,860 
Toromont Industries Ltd.   11,533    947,452 
Tourmaline Oil Corp. (b)   7,421    349,665 
Wesdome Gold Mines Ltd. (a)   210,711    1,097,495 
West Fraser Timber Co. Ltd.   2,397    205,928 
Whitecap Resources, Inc. (b)   72,230    505,433 
         24,914,749 
Chile — 0.1%          
Antofagasta PLC   8,494    158,293 
China — 0.1%          
H World Group Ltd. (a)   87,500    338,526 
Egypt — 0.1%          
Centamin PLC   256,969    298,851 
Faeroe Islands — 0.2%          
Bakkafrost PF   7,594    454,344 
Finland — 0.5%          
Kojamo OYJ   24,026    225,957 
Metso Oyj   85,813    1,033,773 
         1,259,730 
France — 1.3%          
Gecina SA   7,340    781,935 
TotalEnergies SE   46,590    2,670,188 
         3,452,123 
Germany — 0.2%          
Covestro AG (a) (c)   11,583    601,452 
Ghana — 0.2%          
Kosmos Energy Ltd. (a)   110,875    664,141 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Hong Kong — 1.0%          
Hongkong Land Holdings Ltd.   56,000   $218,785 
Kerry Properties Ltd.   165,000    342,151 
Sun Hung Kai Properties Ltd.   96,000    1,210,834 
Wharf Real Estate Investment Co. Ltd.   152,000    760,767 
         2,532,537 
India — 0.1%          
Nexus Select Trust (a)   176,649    230,296 
Japan — 2.5%          
Hoshino Resorts REIT, Inc.   90    386,364 
Industrial & Infrastructure Fund Investment Corp.   400    421,590 
Invincible Investment Corp.   1,451    576,974 
Katitas Co. Ltd.   31,900    549,099 
Kyoritsu Maintenance Co. Ltd.   5,300    201,685 
Mitsui Fudosan Co. Ltd.   73,500    1,466,476 
Mitsui Fudosan Logistics Park, Inc.   193    670,339 
Nippon Steel Corp.   64,900    1,362,349 
Sumitomo Metal Mining Co. Ltd.   13,300    428,671 
Tokyo Tatemono Co. Ltd.   25,800    332,896 
Tokyu REIT, Inc.   210    280,156 
         6,676,599 
Kazakhstan — 0.3%          
NAC Kazatomprom JSC GDR   31,180    837,289 
Luxembourg — 0.4%          
ArcelorMittal SA   39,624    1,079,536 
Mexico — 0.7%          
Grupo Mexico SAB de CV Series B   105,451    507,018 
Southern Copper Corp.   17,683    1,268,578 
         1,775,596 
Netherlands — 1.1%          
Akzo Nobel NV   6,686    546,317 
Shell PLC   78,896    2,349,017 
         2,895,334 
Norway — 1.1%          
Equinor ASA   48,960    1,422,274 
Norsk Hydro ASA   256,769    1,526,178 
         2,948,452 
Portugal — 0.2%          
Galp Energia SGPS SA   40,043    468,198 
Republic of Korea — 0.4%          
Korea Zinc Co. Ltd.   544    202,149 
POSCO Holdings, Inc.   2,872    852,279 
         1,054,428 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Russia — 0.0%          
Alrosa PJSC (a) (d) (e)   688,100   $ 
MMC Norlisk Nickel PJSC (d) (e)   2,654     
Polyus PJSC (a) (d) (e)   2,282     
          
Singapore — 0.4%          
CapitaLand Integrated Commercial Trust   662,400    936,887 
South Africa — 1.8%          
Anglo American Platinum Ltd.   10,397    470,122 
Anglo American PLC   120,007    3,401,526 
Impala Platinum Holdings Ltd.   41,164    275,355 
Northam Platinum Holdings Ltd. (a)   70,790    472,647 
Sibanye Stillwater Ltd.   119,545    184,626 
         4,804,276 
Spain — 0.3%          
Cellnex Telecom SA (c)   15,424    625,291 
Iberdrola SA   18,437    240,822 
         866,113 
Sweden — 1.2%          
Boliden AB   9,887    286,184 
Epiroc AB Class A   28,986    549,044 
Epiroc AB Class B   25,847    418,046 
Sandvik AB   82,461    1,610,183 
Svenska Cellulosa AB SCA Class B   28,105    358,520 
         3,221,977 
United Kingdom — 2.6%          
Big Yellow Group PLC   33,106    451,630 
BP PLC Sponsored ADR   42,937    1,515,247 
Central Asia Metals PLC   202,379    463,379 
Derwent London PLC   13,914    362,171 
Great Portland Estates PLC   77,821    411,251 
InterContinental Hotels Group PLC   6,807    470,066 
Persimmon PLC   25,380    330,876 
Segro PLC   58,379    532,244 
TechnipFMC PLC (a)   72,612    1,206,811 
UNITE Group PLC   34,467    381,390 
Weir Group PLC   28,920    645,617 
         6,770,682 
United States — 54.1%          
Acadia Realty Trust   93,811    1,349,940 
Air Products & Chemicals, Inc.   2,136    639,796 
Alaska Air Group, Inc. (a)   7,499    398,797 
Alexandria Real Estate Equities, Inc.   14,274    1,619,956 
Allegiant Travel Co. (a)   4,823    609,048 
Ameren Corp.   5,716    466,826 
American Homes 4 Rent Class A   67,207    2,382,488 
American Tower Corp.   19,573    3,795,988 
Apartment Income REIT Corp.   5,794    209,106 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Apple Hospitality REIT, Inc.   73,256   $1,106,898 
AvalonBay Communities, Inc.   17,472    3,306,925 
Avery Dennison Corp.   1,892    325,046 
Baker Hughes Co.   27,141    857,927 
Ball Corp.   9,738    566,849 
Cactus, Inc. Class A   8,608    364,291 
Camden Property Trust   13,669    1,488,144 
Carrier Global Corp.   8,609    427,953 
CF Industries Holdings, Inc.   9,003    624,988 
ChampionX Corp.   19,100    592,864 
Chesapeake Energy Corp.   12,234    1,023,741 
Chevron Corp.   12,015    1,890,560 
CMS Energy Corp.   6,313    370,889 
Comstock Resources, Inc.   28,362    328,999 
ConocoPhillips   23,110    2,394,427 
Crown Castle, Inc.   11,600    1,321,704 
CSX Corp.   22,121    754,326 
CubeSmart   49,491    2,210,268 
Cummins, Inc.   1,681    412,114 
Darling Ingredients, Inc. (a)   16,181    1,032,186 
Delta Air Lines, Inc. (a)   19,479    926,032 
Dominion Energy, Inc.   7,048    365,016 
Douglas Emmett, Inc. (b)   49,830    626,363 
EastGroup Properties, Inc.   9,582    1,663,435 
EOG Resources, Inc.   15,672    1,793,504 
EQT Corp.   33,918    1,395,047 
Equinix, Inc.   8,379    6,568,633 
Equitrans Midstream Corp.   8,658    82,771 
Equity LifeStyle Properties, Inc.   61,345    4,103,367 
Equity Residential   47,527    3,135,356 
Essex Property Trust, Inc.   10,374    2,430,628 
Extra Space Storage, Inc.   3,401    506,239 
Exxon Mobil Corp.   24,486    2,626,124 
Federal Realty Investment Trust   1,739    168,283 
FirstEnergy Corp.   9,437    366,911 
FMC Corp.   6,240    651,082 
Freeport-McMoRan, Inc.   33,410    1,336,400 
Frontier Group Holdings, Inc. (a)   61,005    589,918 
Gaming & Leisure Properties, Inc.   22,326    1,081,918 
Halliburton Co.   11,972    394,956 
Healthcare Realty Trust, Inc.   51,587    972,931 
Hess Corp.   16,138    2,193,961 
Hilton Worldwide Holdings, Inc.   4,045    588,750 
Host Hotels & Resorts, Inc.   30,205    508,350 
Hubbell, Inc.   2,465    817,295 
Ivanhoe Electric, Inc. (a)   34,947    455,709 
JetBlue Airways Corp. (a)   33,313    295,153 
Kilroy Realty Corp.   18,916    569,182 
Kimco Realty Corp.   25,517    503,195 
Life Storage, Inc.   8,509    1,131,357 
Linde PLC   3,785    1,442,388 
Magnolia Oil & Gas Corp. Class A   24,576    513,638 
Marathon Petroleum Corp.   7,647    891,640 
Marriott International, Inc. Class A   1,289    236,776 
Martin Marietta Materials, Inc.   771    355,963 
Newmont Corp.   97,699    4,167,839 
NextEra Energy, Inc.   10,193    756,321 
Noble Corp. PLC (a)   8,391    346,632 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Norfolk Southern Corp.   5,079   $1,151,714 
Nucor Corp.   19,244    3,155,631 
Packaging Corp. of America   4,357    575,821 
Pebblebrook Hotel Trust (b)   21,194    295,444 
PG&E Corp. (a)   27,779    480,021 
Pioneer Natural Resources Co.   6,019    1,247,016 
PotlatchDeltic Corp.   8,281    437,651 
Prologis, Inc.   65,449    8,026,011 
Public Storage   15,863    4,630,093 
Quanta Services, Inc.   2,825    554,971 
Range Resources Corp.   37,304    1,096,738 
Rayonier, Inc.   35,570    1,116,898 
Regency Centers Corp.   50,852    3,141,128 
Reliance Steel & Aluminum Co.   10,061    2,732,467 
Rexford Industrial Realty, Inc.   45,076    2,353,869 
Royal Gold, Inc.   1,925    220,952 
RPM International, Inc.   6,329    567,901 
SBA Communications Corp.   11,101    2,572,768 
Schlumberger NV   28,520    1,400,902 
Schneider Electric SE   3,145    573,230 
Sherwin-Williams Co.   2,386    633,531 
Shoals Technologies Group, Inc. Class A (a)   18,007    460,259 
Simon Property Group, Inc.   32,021    3,697,785 
SL Green Realty Corp. (b)   5,632    169,242 
SolarEdge Technologies, Inc. (a)   2,492    670,473 
Southern Co.   12,225    858,806 
Southwest Airlines Co.   17,240    624,260 
Southwestern Energy Co. (a)   119,996    721,176 
Steel Dynamics, Inc.   23,051    2,510,945 
Sun Communities, Inc.   6,421    837,684 
Sun Country Airlines Holdings, Inc. (a)   36,393    818,115 
Terreno Realty Corp.   36,235    2,177,724 
Union Pacific Corp.   5,038    1,030,876 
United Airlines Holdings, Inc. (a)   15,440    847,193 
Valero Energy Corp.   7,685    901,451 
Ventas, Inc.   41,229    1,948,895 
Vulcan Materials Co.   5,419    1,221,659 
Warrior Met Coal, Inc.   4,977    193,854 
Welltower, Inc.   46,369    3,750,788 
WestRock Co.   10,389    302,008 
Weyerhaeuser Co.   36,846    1,234,709 
Williams Cos., Inc.   3,389    110,583 
         142,485,349 
Vietnam — 0.5%          
Hoa Phat Group JSC   1,158,800    1,284,826 
Zambia — 0.7%          
First Quantum Minerals Ltd.   80,723    1,909,688 
           
TOTAL COMMON STOCK
(Cost $258,069,494)
        248,025,474 
           
PREFERRED STOCK — 0.6%          
United States — 0.6%          
Jetti Holdings, Inc., Series C, (Acquired 5/24/21-6/30/21, Cost $130,426)          
(a) (d) (e) (f)   2,253    299,406 

 

 

 

 

MassMutual Select T. Rowe Price Real Assets Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
KoBold Metals, Inc., Series B-1, (Acquired 1/10/22, Cost $670,800)          
(a) (d) (e) (f)   24,472   $1,046,944 
Lilac Solutions, Inc., Series B, (Acquired 9/08/21, Cost $329,342)          
(a) (d) (e) (f)   25,087    342,438 
         1,688,788 
           
TOTAL PREFERRED STOCK
(Cost $1,130,568)
        1,688,788 
           
TOTAL EQUITIES
(Cost $259,200,062)
        249,714,262 
           
           
MUTUAL FUNDS — 0.6%          
United States — 0.6%          
SPDR S&P Oil & Gas Exploration & Production ETF (b)   6,166    794,366 
VanEck Oil Services ETF (b)   2,574    740,282 
         1,534,648 
           
TOTAL MUTUAL FUNDS
(Cost $1,339,781)
        1,534,648 
           
TOTAL PURCHASED
OPTIONS(#) — 0.1%
(Cost $106,318)
        274,258 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $260,646,161)
        251,523,168 
           
           
SHORT-TERM INVESTMENTS — 4.6%          
Investment of Cash Collateral from Securities Loaned — 1.1%          
State Street Navigator Securities Lending Government Money Market Portfolio (g)   2,919,396    2,919,396 
Mutual Fund — 2.5%          
T. Rowe Price Government Reserve Investment Fund   6,538,488    6,538,488 
           
   Principal
Amount
    
Repurchase Agreement — 0.4%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (h)  $1,028,172    1,028,172 
U.S. Treasury Bill — 0.6%          
U.S. Treasury Bills          
5.317% 11/09/23 (i) (j)   1,612,000    1,582,040 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $12,068,022)
        12,068,096 
           
TOTAL INVESTMENTS — 100.1%
(Cost $272,714,183) (k)
        263,591,264 
           
Other Assets/(Liabilities) — (0.1)%        (150,810) 
           
NET ASSETS — 100.0%       $263,440,454 

 

Abbreviation Legend

ADR American Depositary Receipt
ETF Exchange-Traded Fund
GDR Global Depositary Receipt
REIT Real Estate Investment Trust

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $7,696,539 or 2.92% of net assets. The Fund received $5,088,375 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(c) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $1,226,743 or 0.47% of net assets.
(d) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $1,688,788 or 0.64% of net assets.
(e) Investment is valued using significant unobservable inputs.
(f) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $1,688,788 or 0.64% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(g) Represents investment of security lending cash collateral. (Note 2).
(h) Maturity value of $1,028,302. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,048,834.
(i) The rate shown represents yield-to-maturity.
(j) All or a portion of this security is pledged/held as collateral for open derivatives.
(k) See Note 3 for aggregate cost for federal tax purposes.

 

(#) OTC Options Purchased
Description  Counterparty  Expiration Date   Exercise Price   No. of Contracts   Notional
Amount
  Value   Premiums Paid (Received)   Unrealized Appreciation (Depreciation) 
Call       
S&P 500 Index  Morgan Stanley & Co. LLC   8/18/23    15,100.00    3   USD   4,530,000   $145,258   $63,618   $81,640
S&P 500 Index  Morgan Stanley & Co. LLC   8/18/23    15,750.00    7   USD   11,025,000    129,000    42,700    86,300 
                             $274,258   $106,318   $167,940

 

Forward contracts
Counterparty  Settlement Date  Currency Purchased  Currency Sold  Unrealized Appreciation (Depreciation) 
Bank of America N.A.  7/14/23  CAD  1,912,000   USD  1,432,346   $11,135 
Bank of America N.A.  7/14/23  PLN  4,122,000   USD  996,657    16,673 
BNP Paribas SA  7/14/23  JPY  318,197,799   USD  2,290,371    (82,231) 
Citibank N.A.  7/14/23  IDR  14,253,589,000   USD  956,039    (5,411) 
Citibank N.A.  7/14/23  AUD  904,307   USD  607,992    (5,438) 
Deutsche Bank AG  7/14/23  NOK  11,199,430   USD  1,042,272    1,444 
Deutsche Bank AG  7/14/23  INR  117,945,921   USD  1,426,785    10,496 
Goldman Sachs International  7/05/23  BRL  14,152,932   USD  2,805,422    150,372 
Goldman Sachs International  7/05/23  USD  2,936,780   BRL  14,152,932    (19,013) 
UBS AG  7/14/23  CHF  904,809   USD  1,005,377    6,429 
Wells Fargo Bank N.A.  7/05/23  BRL  14,152,932   USD  2,936,780    19,013 
Wells Fargo Bank N.A.  7/05/23  USD  2,947,115   BRL  14,152,932    (8,678) 
Wells Fargo Bank N.A.  7/14/23  GBP  1,358,000   USD  1,709,749    15,005 
Wells Fargo Bank N.A.  8/02/23  BRL  8,535,483   USD  1,768,206    5,635
                    $115,431

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
Topix Index  9/07/23   7   $1,070,430  $39,519 
Nasdaq 100 E Mini Index  9/15/23   6    1,770,154   70,286 
Xae Energy  9/15/23   13    1,109,524   4,706 
Xap Consumer Staples  9/15/23   23    1,702,287   30,763 
S&P ASX 200 Index  9/21/23   12    1,424,511    6,579 
                $151,853 
Short               
Euro Stoxx 50 Index  9/15/23   52   $(2,464,876)  $(47,111) 
U.S. Treasury Note 10 Year  9/20/23   27    (3,083,024)   51,852 
U.S. Treasury Ultra Bond  9/20/23   9    (1,211,751)    (14,218) 
                $(9,477) 

 

Centrally Cleared Interest Rate Swaps
Paid by the Fund  Received by the Fund                      
Rate/ Reference  Frequency  Rate/ Reference   Frequency   Termination Date   Notional
Amount
  Value   Upfront
Premium
Paid/
(Received)
   Unrealized Appreciation (Depreciation) 
12-Month USD SOFR  Annually   Fixed 5.610%    Annually    3/10/24   USD   3,625,000   $2,897   $   $2,897 

 

Currency Legend

AUD Australian Dollar
BRL Brazilian Real
CAD Canadian Dollar
CHF Swiss Franc
EUR Euro
GBP British Pound
IDR Indonesian Rupiah
INR Indian Rupee
JPY Japanese Yen
NOK Norwegian Krone
PLN Polish Zloty
USD U.S. Dollar

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
EQUITIES — 96.3%          
           
COMMON STOCK — 94.8%          
Basic Materials — 1.9%          
Chemicals — 0.8%          
Element Solutions, Inc.   110,024   $2,112,461 
Hawkins, Inc.   6,580    313,800 
HB Fuller Co.   4,922    351,972 
Orion Engineered Carbons SA   21,401    454,129 
Quaker Chemical Corp.   7,265    1,415,949 
RPM International, Inc.   14,100    1,265,193 
         5,913,504 
Iron & Steel — 0.3%          
Carpenter Technology Corp.   6,886    386,511 
Haynes International, Inc.   10,383    527,664 
Reliance Steel & Aluminum Co.   3,662    994,563 
Steel Dynamics, Inc.   939    102,285 
         2,011,023 
Mining — 0.8%          
Cameco Corp.   53,328    1,670,766 
Compass Minerals International, Inc.   4,000    136,000 
Constellium SE (a)   109,139    1,877,191 
ERO Copper Corp. (a)   16,123    326,172 
Franco-Nevada Corp.   11,184    1,594,000 
Freeport-McMoRan, Inc.   22,251    890,040 
         6,494,169 
         14,418,696 
Communications — 3.3%          
Advertising — 0.6%          
Advantage Solutions, Inc. (a)   71,050    166,257 
Boston Omaha Corp. Class A (a)   7,796    146,721 
Trade Desk, Inc. Class A (a)   52,100    4,023,162 
         4,336,140 
Internet — 0.6%          
Deliveroo PLC (a) (b)   159,333    231,764 
Farfetch Ltd. Class A (a) (c)   64,280    388,251 
Figs, Inc. Class A (a)   51,669    427,303 
Match Group, Inc. (a)   9,000    376,650 
Open Lending Corp. Class A (a)   106,887    1,123,382 
Opendoor Technologies, Inc. (a) (c)   76,013    305,572 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Rover Group, Inc., Earnout Shares 16.00 (Acquired 8/02/21, Cost $0) (a) (d) (e) (f)   15,883   $532 
Spotify Technology SA (a)   11,200    1,798,160 
         4,651,614 
Media — 1.3%          
DISH Network Corp. Class A (a)   43,189    284,615 
Liberty Media Corp-Liberty Formula One Class C (a)   26,400    1,987,392 
News Corp. Class A   222,225    4,333,387 
News Corp. Class B   19,141    377,461 
Nexstar Media Group, Inc. Class A   680    113,254 
Paramount Global Class B   54,863    872,870 
Saga Communications, Inc. Class A   1,641    35,052 
Scholastic Corp.   36,535    1,420,846 
The New York Times Co. Class A   14,715    579,477 
         10,004,354 
Telecommunications — 0.8%          
Arista Networks, Inc. (a)   6,702    1,086,126 
Corning, Inc.   103,752    3,635,470 
Credo Technology Group Holding Ltd. (a)   22,186    384,705 
DigitalBridge Group, Inc. (c)   34,670    509,996 
ESC GCI Liberty Inc (a) (d) (f)   29,375     
Frontier Communications Parent, Inc. (a)   8,027    149,624 
Infinera Corp. (a) (c)   21,088    101,855 
Viavi Solutions, Inc. (a)   32,770    371,284 
         6,239,060 
         25,231,168 
Consumer, Cyclical — 11.3%          
Airlines — 0.9%          
Allegiant Travel Co. (a)   10,277    1,297,780 
Southwest Airlines Co.   150,064    5,433,817 
Sun Country Airlines Holdings, Inc. (a)   13,319    299,411 
         7,031,008 
Apparel — 0.5%          
Canada Goose Holdings, Inc. (a) (c)   5,794    103,133 
Ralph Lauren Corp.   22,006    2,713,340 
Skechers USA, Inc. Class A (a)   13,106    690,162 
Steven Madden Ltd.   16,680    545,269 
         4,051,904 
Auto Manufacturers — 0.7%          
Blue Bird Corp. (a)   9,563    214,976 
General Motors Co.   71,166    2,744,161 
PACCAR, Inc.   17,380    1,453,837 
Rivian Automotive, Inc. Class A (a) (c)   39,403    656,454 
         5,069,428 
Auto Parts & Equipment — 0.2%          
Dorman Products, Inc. (a)   7,158    564,265 
Mobileye Global, Inc. Class A (a)   3,216    123,559 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
The Shyft Group, Inc.   9,604   $211,864 
Visteon Corp. (a)   2,148    308,474 
         1,208,162 
Distribution & Wholesale — 0.7%          
Pool Corp.   328    122,882 
Rush Enterprises, Inc. Class A   14,202    862,630 
SiteOne Landscape Supply, Inc. (a)   24,184    4,047,434 
         5,032,946 
Entertainment — 0.4%          
Caesars Entertainment, Inc. (a)   10,534    536,918 
Madison Square Garden Entertainment Corp. (a)   17,757    596,991 
Marriott Vacations Worldwide Corp.   6,756    829,096 
Red Rock Resorts, Inc. Class A   8,701    407,033 
SeaWorld Entertainment, Inc. (a)   995    55,730 
Sphere Entertainment Co (a)   18,457    505,537 
Vail Resorts, Inc.   400    100,704 
         3,032,009 
Food Services — 0.2%          
Compass Group PLC   64,351    1,800,106 
Home Builders — 0.4%          
Cavco Industries, Inc. (a)   1,085    320,075 
Installed Building Products, Inc.   2,100    294,336 
LCI Industries   3,834    484,464 
Meritage Home Corp.   8,973    1,276,589 
NVR, Inc. (a)   39    247,674 
Skyline Champion Corp. (a)   10,696    700,053 
         3,323,191 
Housewares — 0.2%          
Scotts Miracle-Gro Co.   19,116    1,198,382 
Leisure Time — 0.0%          
Peloton Interactive, Inc. Class A (a) (c)   22,814    175,440 
Rad Power Bikes, Inc., Class A (Acquired 1/22/21, Cost $69,082) (a) (d) (e) (f)   14,321    8,593 
         184,033 
Lodging — 0.9%          
Hilton Worldwide Holdings, Inc.   22,100    3,216,655 
MGM Resorts International   69,711    3,061,707 
Wyndham Hotels & Resorts, Inc.   10,523    721,562 
         6,999,924 
Retail — 6.2%          
Academy Sports & Outdoors, Inc.   5,741    310,301 
Advance Auto Parts, Inc.   17,677    1,242,693 
Asbury Automotive Group, Inc. (a)   1,806    434,199 
Bath & Body Works, Inc.   92,174    3,456,525 
Beacon Roofing Supply, Inc. (a)   25,373    2,105,452 
Best Buy Co., Inc.   19,492    1,597,369 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
BJ's Restaurants, Inc. (a)   24,684   $784,951 
Burlington Stores, Inc. (a)   40,730    6,410,495 
Caleres, Inc.   30,557    731,229 
Casey's General Stores, Inc.   8,100    1,975,428 
Cava Group, Inc. (a)   12,206    499,836 
Chipotle Mexican Grill, Inc. (a)   420    898,380 
Chuy's Holdings, Inc. (a)   16,192    660,957 
Dollar General Corp.   11,347    1,926,494 
Dollar Tree, Inc. (a)   18,677    2,680,150 
Domino's Pizza, Inc.   7,450    2,510,576 
Dutch Bros, Inc. Class A (a) (c)   4,000    113,800 
Fiesta Restaurant Group, Inc. (a)   31,292    248,458 
Five Below, Inc. (a)   23,198    4,559,335 
Floor & Decor Holdings, Inc. Class A (a)   21,783    2,264,561 
Framebridge Future Contingency Payments (Acquired 5/19/20, Cost $10,553) (a) (d) (e) (f)   10,553    4,749 
Group 1 Automotive, Inc.   1,841    475,162 
Hibbett, Inc.   3,006    109,088 
Jack in the Box, Inc.   414    40,377 
Kohl's Corp.   18,502    426,471 
Lululemon Athletica, Inc. (a)   1,800    681,300 
Moncler SpA   636    44,007 
O'Reilly Automotive, Inc. (a)   1,100    1,050,830 
Ollie's Bargain Outlet Holdings, Inc. (a)   23,127    1,339,747 
Papa John's International, Inc.   26,822    1,980,268 
Petco Health & Wellness Co., Inc. (a)   34,599    307,931 
RH (a)   1,324    436,377 
Ross Stores, Inc.   15,200    1,704,376 
Savers Value Village, Inc. (a)   10,016    237,379 
The Children's Place, Inc. (a) (c)   4,815    111,756 
Tractor Supply Co.   3,064    677,450 
Warby Parker, Inc. Class A (a)   38,622    451,491 
Wingstop, Inc.   2,535    507,406 
Winmark Corp.   159    52,863 
Yum! Brands, Inc.   12,400    1,718,020 
         47,768,237 
Textiles — 0.0%          
UniFirst Corp.   1,662    257,627 
         86,956,957 
Consumer, Non-cyclical — 25.5%          
Agriculture — 0.2%          
Bunge Ltd.   13,455    1,269,479 
Pax Labs, Inc., Class A (Acquired 4/18/19, Cost $218,578) (a) (d) (e) (f)   58,048    27,863 
         1,297,342 
Beverages — 0.9%          
Coca-Cola Consolidated, Inc.   1,780    1,132,116 
Constellation Brands, Inc. Class A   10,771    2,651,066 
Monster Beverage Corp. (a)   18,674    1,072,634 
The Boston Beer Co., Inc. Class A (a)   5,420    1,671,745 
         6,527,561 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Biotechnology — 4.7%          
ACADIA Pharmaceuticals, Inc. (a)   7,285   $174,476 
Akero Therapeutics, Inc. (a)   5,956    278,086 
Allakos, Inc. (a)   8,058    35,133 
Allogene Therapeutics, Inc. (a)   6,469    32,151 
Alnylam Pharmaceuticals, Inc. (a)   17,280    3,282,163 
Apellis Pharmaceuticals, Inc. (a)   36,708    3,344,099 
Arcellx, Inc. (a)   1,429    45,185 
Argenx SE ADR (a)   8,921    3,476,781 
Avid Bioservices, Inc. (a)   27,573    385,195 
Avidity Biosciences, Inc. (a)   12,418    137,716 
BeiGene Ltd. ADR (a)   1,065    189,889 
Biogen, Inc. (a)   4,700    1,338,795 
Blueprint Medicines Corp. (a)   24,300    1,535,760 
C4 Therapeutics, Inc. (a)   6,196    17,039 
Cerevel Therapeutics Holdings, Inc. (a)   21,737    691,019 
Certara, Inc. (a)   25,097    457,016 
Contra Abiomed, Inc. Sponsored ADR (a)   46,744    1,143,826 
Crinetics Pharmaceuticals, Inc. (a)   9,212    166,000 
CRISPR Therapeutics AG (a) (c)   16,181    908,401 
CureVac NV (a)   5,242    54,622 
Cytokinetics, Inc. (a)   12,478    407,032 
Day One Biopharmaceuticals, Inc. (a)   4,857    57,993 
Denali Therapeutics, Inc. (a)   9,991    294,834 
Disc Medicine, Inc. (a) (c)   378    16,783 
Entrada Therapeutics, Inc. (a) (c)   6,271    94,943 
Generation Bio Co. (a)   41,483    228,156 
Guardant Health, Inc. (a)   14,310    512,298 
HilleVax, Inc. (a)   9,886    169,940 
Icosavax, Inc. (a)   32,037    318,127 
Ideaya Biosciences, Inc. (a)   5,993    140,835 
IGM Biosciences, Inc. (a) (c)   6,399    59,063 
Immatics NV (a)   16,250    187,525 
Immunocore Holdings PLC ADR (a)   1,030    61,759 
Insmed, Inc. (a)   74,036    1,562,160 
Intellia Therapeutics, Inc. (a)   3,531    143,994 
Ionis Pharmaceuticals, Inc. (a)   61,294    2,514,893 
Karuna Therapeutics, Inc. (a)   12,157    2,636,245 
Keros Therapeutics, Inc. (a)   3,128    125,683 
Kymera Therapeutics, Inc. (a)   22,518    517,689 
Legend Biotech Corp. ADR (a)   1,470    101,474 
MacroGenics, Inc. (a)   39,685    212,315 
Mirati Therapeutics, Inc. (a)   1,706    61,638 
Monte Rosa Therapeutics, Inc. (a)   7,261    49,738 
MoonLake Immunotherapeutics (a) (c)   10,748    548,148 
MorphoSys AG ADR (a)   51,780    386,797 
NeoGenomics, Inc. (a)   37,374    600,600 
Nkarta, Inc. (a)   32,940    72,139 
Nurix Therapeutics, Inc. (a)   5,116    51,109 
Nuvalent, Inc., Class A (a)   1,032    43,519 
Olink Holding AB ADR (a) (c)   19,273    361,369 
Pliant Therapeutics, Inc. (a) (c)   5,015    90,872 
Prime Medicine, Inc. (a)   4,440    65,046 
Prothena Corp. PLC (a)   12,965    885,250 
PTC Therapeutics, Inc. (a)   1,416    57,589 
RAPT Therapeutics, Inc. (a)   14,930    279,191 
Relay Therapeutics, Inc. (a)   27,600    346,656 
Replimune Group, Inc. (a)   14,943    346,976 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Revolution Medicines, Inc. (a)   6,645   $177,754 
Rocket Pharmaceuticals, Inc. (a)   2,287    45,443 
Sage Therapeutics, Inc. (a)   1,750    82,285 
Sana Biotechnology, Inc. (a) (c)   7,859    46,840 
Scholar Rock Holding Corp. (a)   29,639    223,478 
Seagen, Inc. (a)   2,100    404,166 
Seer, Inc. (a)   10,158    43,375 
Senti Biosciences, Inc. (a)   6,069    3,785 
SpringWorks Therapeutics, Inc. (a)   1,213    31,805 
Structure Therapeutics, Inc. ADR (a)   7,042    292,736 
Syndax Pharmaceuticals, Inc. (a)   7,327    153,354 
Tenaya Therapeutics, Inc. (a)   18,293    107,380 
Ultragenyx Pharmaceutical, Inc. (a)   4,590    211,737 
Ventyx Biosciences, Inc. (a)   12,464    408,819 
Verve Therapeutics, Inc. (a)   13,871    260,081 
Xencor, Inc. (a)   29,409    734,343 
Zai Lab Ltd. ADR (a)   3,399    94,254 
Zentalis Pharmaceuticals, Inc. (a) (c)   17,059    481,234 
         36,106,599 
Commercial Services — 5.9%          
Altus Group Ltd.   3,533    117,158 
Ashtead Group PLC   19,962    1,386,160 
Booz Allen Hamilton Holding Corp.   22,507    2,511,781 
Bright Horizons Family Solutions, Inc. (a)   45,154    4,174,487 
Clarivate PLC (a)   48,482    462,033 
CoStar Group, Inc. (a)   30,965    2,755,885 
Equifax, Inc.   13,200    3,105,960 
FleetCor Technologies, Inc. (a)   25,891    6,500,712 
FTI Consulting, Inc. (a)   2,371    450,964 
Global Payments, Inc.   23,883    2,352,953 
Green Dot Corp. Class A (a)   28,325    530,811 
Herc Holdings, Inc.   2,560    350,336 
Huron Consulting Group, Inc. (a)   3,014    255,919 
Legalzoom.com Inc. (a)   19,453    234,992 
MarketAxess Holdings, Inc.   4,775    1,248,281 
Monro, Inc.   32,495    1,320,272 
Morningstar, Inc.   845    165,679 
Multiplan Corp. (a) (c)   193,383    408,038 
Paylocity Holding Corp. (a)   24,098    4,446,804 
PROG Holdings, Inc. (a)   15,380    494,006 
Rent the Runway, Inc. Class A (a)   33,301    65,936 
Rentokil Initial PLC   173,133    1,352,295 
SEACOR Marine Holdings, Inc. (a)   41,333    472,436 
Strategic Education, Inc.   31,542    2,139,809 
Toast, Inc., Class A (a)   57,310    1,293,487 
TransUnion   28,000    2,193,240 
United Rentals, Inc.   3,800    1,692,406 
Verisk Analytics, Inc.   7,800    1,763,034 
WillScot Mobile Mini Holdings Corp. (a)   32,456    1,551,072 
         45,796,946 
Cosmetics & Personal Care — 0.1%          
elf Beauty, Inc. (a)   2,125    242,739 
Kenvue, Inc. (a)   24,460    646,233 
         888,972 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Food — 2.1%          
Cava Group Inc., Lockup Shares (Acquired 6/23/20-3/26/21, Cost $988,480) (a) (e) (f)   95,343   $3,904,296 
Flowers Foods, Inc.   125,628    3,125,625 
Nomad Foods Ltd. (a)   60,378    1,057,822 
Post Holdings, Inc. (a)   14,257    1,235,369 
Sprouts Farmers Market, Inc. (a)   3,275    120,291 
Sysco Corp.   32,868    2,438,805 
The Simply Good Foods Co. (a)   20,691    757,084 
TreeHouse Foods, Inc. (a)   26,878    1,354,114 
Tyson Foods, Inc. Class A   39,758    2,029,248 
Utz Brands, Inc. (c)   32,745    535,708 
         16,558,362 
Health Care – Products — 6.7%          
10X Genomics, Inc. Class A (a)   7,600    424,384 
Adaptive Biotechnologies Corp. (a)   7,194    48,272 
Alcon, Inc.   22,200    1,822,842 
Atrion Corp.   803    454,257 
Avanos Medical, Inc. (a)   10,655    272,342 
Avantor, Inc. (a)   122,500    2,516,150 
Baxter International, Inc.   54,568    2,486,118 
Bio-Techne Corp.   8,314    678,672 
Bruker Corp.   55,749    4,120,966 
Dentsply Sirona, Inc.   67,366    2,695,987 
Embecta Corp.   38,651    834,862 
Enovis Corp. (a)   23,133    1,483,288 
Exact Sciences Corp. (a)   10,500    985,950 
Gyroscope Therapeutics, Milestone Payment 1 (Acquired 2/18/22, Cost $31,900) (a) (d) (e) (f)   31,900    15,631 
Gyroscope Therapeutics, Milestone Payment 2 (Acquired 2/18/22, Cost $21,260) (a) (d) (e) (f)   21,260    5,740 
Gyroscope Therapeutics, Milestone Payment 3 (Acquired 2/18/22, Cost $21,260) (a) (d) (e) (f)   21,260    5,528 
Hologic, Inc. (a)   76,100    6,161,817 
ICU Medical, Inc. (a)   10,724    1,910,909 
Koninklijke Philips NV   94,599    2,047,155 
Lantheus Holdings, Inc. (a)   7,002    587,608 
Masimo Corp. (a)   3,800    625,290 
Neogen Corp. (a)   32,809    713,596 
Novocure Ltd. (a)   8,602    356,983 
Pacific Biosciences of California, Inc. (a)   42,147    560,555 
Penumbra, Inc. (a)   1,648    567,011 
PROCEPT BioRobotics Corp. (a)   21,129    746,910 
Quidelortho Corp. (a)   29,880    2,475,857 
Repligen Corp. (a)   10,823    1,531,021 
Sartorius Stedim Biotech   976    243,899 
Shockwave Medical, Inc. (a)   755    215,484 
Teleflex, Inc.   22,473    5,439,140 
The Cooper Cos., Inc.   6,700    2,568,981 
Utah Medical Products, Inc.   2,710    252,572 
West Pharmaceutical Services, Inc.   10,608    4,057,242 
Zimmer Biomet Holdings, Inc.   13,756    2,002,874 
         51,915,893 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Health Care – Services — 3.1%          
Acadia Healthcare Co., Inc. (a)   29,200   $2,325,488 
Agiliti, Inc. (a) (c)   18,868    311,322 
agilon health, Inc. (a)   54,145    938,874 
Catalent, Inc. (a)   58,135    2,520,734 
Centene Corp. (a)   20,529    1,384,681 
Charles River Laboratories International, Inc. (a)   13,248    2,785,392 
dentalcorp Holdings Ltd. (a) (c)   18,724    103,744 
Eurofins Scientific SE (c)   7,950    504,973 
Ginkgo Bioworks, Inc., Earnout Shares 15.00 (Acquired 9/17/21, Cost $0) (a) (d) (e) (f)   874    422 
Ginkgo Bioworks, Inc., Earnout Shares 17.50 (Acquired 9/17/21, Cost $0) (a) (d) (e) (f)   874    373 
Ginkgo Bioworks, Inc., Earnout Shares 20.00 (Acquired 9/17/21, Cost $0) (a) (d) (e) (f)   874    332 
Innovage Holding Corp. (a)   41,043    307,823 
ModivCare, Inc. (a)   8,873    401,148 
Molina Healthcare, Inc. (a)   12,323    3,712,181 
Select Medical Holdings Corp.   208,300    6,636,438 
Sotera Health Co. (a)   4,000    75,360 
The Ensign Group, Inc.   8,270    789,454 
The Pennant Group, Inc. (a)   28,922    355,162 
U.S. Physical Therapy, Inc.   5,729    695,443 
         23,849,344 
Household Products & Wares — 0.6%          
Avery Dennison Corp.   14,500    2,491,100 
Kimberly-Clark Corp.   7,139    985,610 
Reynolds Consumer Products, Inc.   37,816    1,068,302 
         4,545,012 
Pharmaceuticals — 1.2%          
Agios Pharmaceuticals, Inc. (a)   7,849    222,284 
Arvinas, Inc. (a)   4,730    117,399 
Ascendis Pharma AS ADR (a)   23,345    2,083,541 
BellRing Brands, Inc. (a)   33,839    1,238,507 
Capsule, Corp. (Acquired 4/07/21, Cost $72,342) (a) (d) (e) (f)   4,992    14,634 
Cardinal Health, Inc.   15,303    1,447,205 
Centessa Pharmaceuticals PLC ADR (a) (c)   3,637    22,513 
Elanco Animal Health, Inc. (a)   61,064    614,304 
Immuneering Corp. Class A (a)   5,460    55,364 
Leap Therapeutics Holdback Shares (Acquired 2/09/23, Cost $5,223) (a) (e) (f)   400    1,127 
Leap Therapeutics, Inc. (a)   1,256    3,932 
Longboard Pharmaceuticals, Inc. (a)   3,060    22,460 
Lyell Immunopharma, Inc. (a) (c)   7,678    24,416 
Morphic Holding, Inc. (a)   9,442    541,310 
Neurocrine Biosciences, Inc. (a)   1,238    116,743 
Option Care Health, Inc. (a)   28,708    932,723 
Reata Pharmaceuticals, Inc. Class A (a)   575    58,627 
Repare Therapeutics, Inc. (a)   13,913    147,200 
Vaxcyte, Inc. (a)   11,309    564,772 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Viatris, Inc.   119,499   $1,192,600 
         9,421,661 
         196,907,692 
Diversified — 0.0%          
Holding Company – Diversified — 0.0%          
Conyers Park III Acquisition Corp. (a)   31,244    319,314 
Energy — 4.0%          
Energy – Alternate Sources — 0.2%          
NextEra Energy Partners LP (c)   10,244    600,708 
REX American Resources Corp. (a)   4,238    147,525 
Shoals Technologies Group, Inc. Class A (a)   17,800    454,968 
         1,203,201 
Oil & Gas — 1.8%          
Advantage Energy Ltd. (a)   51,592    336,872 
Coterra Energy, Inc.   40,400    1,022,120 
Devon Energy Corp.   20,678    999,575 
Diamondback Energy, Inc.   7,711    1,012,917 
EQT Corp.   24,500    1,007,685 
Imperial Oil Ltd.   16,728    855,804 
Kimbell Royalty Partners LP   9,040    132,978 
Magnolia Oil & Gas Corp. Class A   111,858    2,337,832 
Matador Resources Co.   24,509    1,282,311 
Pioneer Natural Resources Co.   8,366    1,733,268 
Range Resources Corp.   33,580    987,252 
Southwestern Energy Co. (a)   63,700    382,837 
Suncor Energy, Inc.   56,384    1,653,179 
Venture Global LNG, Inc., Series B (Acquired 3/08/18, Cost $33,220) (a) (d) (e) (f)   11    198,000 
Venture Global LNG, Inc., Series C (Acquired 3/08/18, Cost $27,180) (a) (d) (e) (f)   9    162,000 
         14,104,630 
Oil & Gas Services — 1.8%          
Aris Water Solutions, Inc. Class A (c)   27,070    279,362 
Baker Hughes Co.   33,711    1,065,605 
ChampionX Corp.   28,249    876,849 
Enerflex Ltd.   82,133    559,230 
Expro Group Holdings NV (a)   93,090    1,649,555 
Liberty Energy, Inc.   66,764    892,635 
NexTier Oilfield Solutions, Inc. (a)   63,474    567,457 
Ranger Energy Services, Inc. (a)   21,820    223,437 
TechnipFMC PLC (a)   297,302    4,941,159 
Tidewater, Inc. (a)   56,157    3,113,344 
         14,168,633 
Pipelines — 0.2%          
Cheniere Energy, Inc.   9,200    1,401,712 
         30,878,176 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Financial — 14.6%          
Banks — 4.3%          
BankUnited, Inc.   54,235   $1,168,764 
Blue Foundry Bancorp (a)   20,556    207,821 
Burke & Herbert Financial Services Corp.   823    52,837 
Cadence Bank   23,228    456,198 
Cathay General Bancorp   7,227    232,637 
Coastal Financial Corp. (a)   6,370    239,831 
Columbia Banking System, Inc.   72,036    1,460,890 
CRB Group, Inc. (Acquired 4/14/22, Cost $73,283) (a) (d) (e) (f)   697    53,920 
CrossFirst Bankshares, Inc. (a)   41,562    415,620 
Dime Community Bancshares, Inc.   14,559    256,675 
Dogwood State Bank, (Non-Voting) (Acquired 5/06/19, Cost $53,690) (a) (d) (e) (f)   5,369    107,380 
Dogwood State Bank, (Voting) (Acquired 5/06/19, Cost $26,370) (a) (d) (e) (f)   2,637    52,740 
East West Bancorp, Inc.   27,774    1,466,190 
Eastern Bankshares, Inc.   92,134    1,130,484 
Equity Bancshares, Inc. Class A   9,517    216,797 
Farmers & Merchants Bank of Long Beach/Long Beach CA   31    168,330 
FB Financial Corp.   31,767    891,064 
Fifth Third Bancorp   128,231    3,360,935 
Five Star Bancorp   9,617    215,132 
HarborOne Bancorp, Inc.   32,374    281,006 
Heritage Commerce Corp.   38,877    321,902 
Home BancShares, Inc.   59,256    1,351,037 
Independent Bank Corp.   5,969    265,680 
Independent Bank Group, Inc.   9,504    328,173 
John Marshall Bancorp, Inc.   11,949    240,056 
Kearny Financial Corp.   48,462    341,657 
Live Oak Bancshares, Inc.   45,059    1,185,502 
Metropolitan Bank Holding Corp. (a) (c)   6,216    215,882 
National Bank Holdings Corp. Class A   22,710    659,498 
Origin Bancorp, Inc.   27,630    809,559 
Pinnacle Financial Partners, Inc.   26,991    1,529,040 
Ponce Financial Group, Inc. (a)   21,067    183,072 
Popular, Inc.   61,950    3,749,214 
Preferred Bank   10,861    597,246 
Provident Bancorp, Inc.   13,162    108,981 
Sandy Spring Bancorp, Inc.   17,986    407,923 
Southern First Bancshares, Inc. (a)   5,100    126,225 
SouthState Corp.   26,663    1,754,425 
Texas Capital Bancshares, Inc. (a)   20,696    1,065,844 
The First Bancshares, Inc.   23,018    594,785 
Towne Bank   28,270    656,995 
Veritex Holdings, Inc.   28,406    509,320 
Walker & Dunlop, Inc.   7,880    623,229 
Webster Financial Corp.   65,112    2,457,978 
Western Alliance Bancorp   22,463    819,226 
         33,337,700 
Diversified Financial Services — 2.7%          
Air Lease Corp.   16,887    706,721 
Apollo Global Management, Inc.   27,718    2,129,020 
Assetmark Financial Holdings, Inc. (a)   16,596    492,237 
Cboe Global Markets, Inc.   8,439    1,164,666 
Columbia Financial, Inc. (a) (c)   12,050    208,345 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Encore Capital Group, Inc. (a)   8,436   $410,158 
Grasshopper Bancorp, Inc. (Acquired 5/02/19, Cost $83,390) (a) (d) (e) (f)   8,339    20,097 
Hannon Armstrong Sustainable Infrastructure Capital, Inc. (c)   35,013    875,325 
Houlihan Lokey, Inc.   9,716    955,180 
Intercontinental Exchange, Inc.   19,300    2,182,444 
NerdWallet, Inc. Class A Class A (a)   13,732    129,218 
OneMain Holdings, Inc.   37,799    1,651,438 
OTC Markets Group, Inc. Class A   4,941    284,602 
PennyMac Financial Services, Inc.   35,992    2,530,598 
PRA Group, Inc. (a)   23,679    541,065 
Radian Group, Inc.   43,870    1,109,034 
Raymond James Financial, Inc.   12,250    1,271,182 
Stash Financial, Inc. (Acquired 1/06/21-1/26/21, Cost $15,690) (a) (d) (e) (f)   487    7,096 
StepStone Group, Inc. Class A   26,180    649,526 
TMX Group Ltd.   20,550    462,423 
Tradeweb Markets, Inc. Class A   28,100    1,924,288 
Virtus Investment Partners, Inc.   3,090    610,182 
Voya Financial, Inc.   3,487    250,053 
         20,564,898 
Insurance — 2.7%          
Assurant, Inc.   31,901    4,010,594 
Axis Capital Holdings Ltd.   32,873    1,769,554 
BRP Group, Inc. Class A (a)   12,692    314,508 
CNA Financial Corp.   40,051    1,546,770 
Corebridge Financial, Inc.   44,092    778,665 
Essent Group Ltd.   6,736    315,245 
Jackson Financial, Inc., Class A   37,630    1,151,854 
James River Group Holdings Ltd.   26,453    483,032 
Kemper Corp.   53,151    2,565,067 
Markel Group, Inc. (a)   250    345,795 
Palomar Holdings, Inc. (a)   3,253    188,804 
ProAssurance Corp.   28,484    429,824 
RenaissanceRe Holdings Ltd.   10,655    1,987,371 
Ryan Specialty Holdings, Inc. (a) (c)   13,469    604,623 
Selective Insurance Group, Inc.   18,772    1,801,173 
Skyward Specialty Insurance Group, Inc. (a)   4,226    107,340 
The Allstate Corp.   11,386    1,241,529 
The First American Financial Corp.   10,158    579,209 
The Hanover Insurance Group, Inc.   5,990    677,050 
White Mountains Insurance Group Ltd.   72    100,001 
         20,998,008 
Private Equity — 0.4%          
KKR & Co., Inc.   46,000    2,576,000 
P10, Inc. Class A   29,684    335,429 
         2,911,429 
Real Estate — 0.7%          
FirstService Corp.   16,770    2,584,089 
McGrath RentCorp   5,738    530,650 
St. Joe Co.   21,026    1,016,397 
Tricon Residential, Inc.   135,934    1,197,579 
         5,328,715 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Real Estate Investment Trusts (REITS) — 3.6%          
Apartment Investment & Management Co. Class A   164,697   $1,403,218 
Apple Hospitality REIT, Inc.   44,799    676,913 
Community Healthcare Trust, Inc.   7,332    242,103 
CubeSmart   39,060    1,744,420 
Digital Realty Trust, Inc.   10,841    1,234,465 
Douglas Emmett, Inc. (c)   27,423    344,707 
EastGroup Properties, Inc.   14,269    2,477,098 
Elme Communities   4,268    70,166 
Equity Residential   28,361    1,870,975 
Essential Properties Realty Trust, Inc.   28,337    667,053 
Flagship Communities REIT   8,813    143,211 
Independence Realty Trust, Inc.   57,178    1,041,783 
JBG SMITH Properties   18,464    277,699 
NETSTREIT Corp.   24,661    440,692 
NexPoint Residential Trust, Inc.   6,879    312,857 
Pebblebrook Hotel Trust (c)   45,883    639,609 
PennyMac Mortgage Investment Trust (c)   43,392    584,924 
PotlatchDeltic Corp.   13,067    690,591 
Rayonier, Inc.   48,348    1,518,127 
Regency Centers Corp.   27,578    1,703,493 
Rexford Industrial Realty, Inc.   60,077    3,137,221 
Safehold, Inc. (c)   18,044    428,184 
Saul Centers, Inc.   15,394    566,961 
SBA Communications Corp.   4,468    1,035,504 
Simon Property Group, Inc.   4,451    514,001 
Terreno Realty Corp.   29,334    1,762,973 
UMH Properties, Inc.   15,434    246,635 
Vornado Realty Trust   46,875    850,313 
Weyerhaeuser Co.   41,725    1,398,205 
         28,024,101 
Savings & Loans — 0.2%          
Capitol Federal Financial, Inc.   35,411    218,486 
FS Bancorp, Inc.   7,917    238,064 
Pacific Premier Bancorp, Inc.   28,809    595,770 
WSFS Financial Corp.   19,553    737,539 
         1,789,859 
         112,954,710 
Industrial — 17.0%          
Aerospace & Defense — 0.8%          
Bombardier, Inc. Class B (a) (c)   5,200    256,359 
Bombas LLC. (Acquired 2/12/21, Cost $183,470) (a) (d) (e) (f)   41,514    145,714 
L3 Harris Technologies, Inc.   5,375    1,052,264 
Rolls-Royce Holdings PLC (a)   965,401    1,854,161 
Spirit AeroSystems Holdings, Inc. Class A   83,899    2,449,012 
Triumph Group, Inc. (a)   29,436    364,123 
         6,121,633 
Building Materials — 1.6%          
Armstrong World Industries, Inc.   5,298    389,192 
Fortune Brands Innovations, Inc.   15,878    1,142,422 
JELD-WEN Holding, Inc. (a)   11,832    207,533 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Martin Marietta Materials, Inc.   6,131   $2,830,621 
SPX Technologies, Inc. (a)   20,076    1,705,858 
Summit Materials, Inc. Class A (a)   45,580    1,725,203 
Trane Technologies PLC   6,941    1,327,536 
UFP Industries, Inc.   13,678    1,327,450 
Vulcan Materials Co.   7,244    1,633,087 
West Fraser Timber Co. Ltd.   4,079    350,429 
West Fraser Timber Co. Ltd.   511    43,936 
         12,683,267 
Electrical Components & Equipment — 0.6%          
Belden, Inc.   7,354    703,410 
Insteel Industries, Inc.   4,552    141,659 
Littelfuse, Inc.   9,066    2,641,017 
Novanta, Inc. (a)   5,629    1,036,299 
         4,522,385 
Electronics — 2.6%          
Agilent Technologies, Inc.   34,700    4,172,675 
Amphenol Corp. Class A   19,300    1,639,536 
Atmus Filtration Technologies, Inc. (a)   2,139    46,972 
Brady Corp. Class A   14,027    667,264 
CTS Corp.   18,957    808,137 
Fortive Corp.   42,400    3,170,248 
Hubbell, Inc.   5,593    1,854,415 
Keysight Technologies, Inc. (a)   18,400    3,081,080 
Knowles Corp. (a)   17,832    322,046 
Mirion Technologies, Inc. (a)   136,068    1,149,775 
Napco Security Technologies, Inc.   10,889    377,304 
TE Connectivity Ltd.   11,690    1,638,470 
Vontier Corp.   46,647    1,502,500 
         20,430,422 
Environmental Controls — 0.3%          
Casella Waste Systems, Inc. Class A (a)   5,342    483,184 
Stericycle, Inc. (a)   9,807    455,437 
Tetra Tech, Inc.   4,525    740,924 
Waste Connections, Inc.   4,900    700,357 
         2,379,902 
Hand & Machine Tools — 0.8%          
Cadre Holdings, Inc.   7,823    170,541 
Enerpac Tool Group Corp.   27,588    744,876 
MSA Safety, Inc.   2,906    505,529 
Stanley Black & Decker, Inc.   50,193    4,703,586 
         6,124,532 
Machinery – Construction & Mining — 0.1%          
BWX Technologies, Inc.   12,500    894,625 
Machinery – Diversified — 3.6%          
Alamo Group, Inc.   3,054    561,661 
ATS Corp. (a) (c)   3,188    146,935 
Cactus, Inc. Class A   21,709    918,725 
Cognex Corp.   17,800    997,156 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Crane Co.   400   $35,649 
CSW Industrials, Inc.   8,252    1,371,400 
Esab Corp.   60,553    4,029,197 
Graco, Inc.   8,625    744,769 
Hydrofarm Holdings Group, Inc. (a)   6,021    4,708 
IDEX Corp.   14,901    3,207,589 
Ingersoll Rand, Inc.   135,160    8,834,058 
Marel HF   27,870    88,840 
Mueller Water Products, Inc. Class A   44,381    720,304 
Rockwell Automation, Inc.   2,953    972,866 
The Middleby Corp. (a)   13,120    1,939,530 
Thermon Group Holdings, Inc. (a)   22,927    609,858 
Toro Co.   18,900    1,921,185 
Zurn Elkay Water Solutions Corp. Class C   31,259    840,554 
         27,944,984 
Metal Fabricate & Hardware — 0.7%          
AZZ, Inc.   15,949    693,144 
Helios Technologies, Inc.   21,826    1,442,480 
RBC Bearings, Inc. (a)   11,111    2,416,309 
Strattec Security Corp. (a)   3,912    71,198 
Valmont Industries, Inc.   2,000    582,100 
Xometry, Inc. Class A (a)   21,065    446,157 
         5,651,388 
Miscellaneous - Manufacturing — 2.1%          
Alstom SA   50,488    1,507,051 
EnPro Industries, Inc.   3,800    507,414 
ESCO Technologies, Inc.   13,061    1,353,511 
Federal Signal Corp.   17,166    1,099,139 
John Bean Technologies Corp.   7,454    904,170 
Myers Industries, Inc.   19,983    388,270 
Teledyne Technologies, Inc. (a)   8,778    3,608,724 
Textron, Inc.   95,795    6,478,616 
         15,846,895 
Packaging & Containers — 1.4%          
Ball Corp.   111,765    6,505,841 
Clearwater Paper Corp. (a)   15,050    471,366 
Sealed Air Corp.   37,400    1,496,000 
WestRock Co.   72,131    2,096,848 
         10,570,055 
Shipbuilding — 0.2%          
Huntington Ingalls Industries, Inc.   6,943    1,580,227 
Transportation — 2.2%          
International Seaways, Inc.   3,371    128,907 
JB Hunt Transport Services, Inc.   36,165    6,546,949 
Landstar System, Inc.   8,453    1,627,541 
Matson, Inc.   2,822    219,354 
Norfolk Southern Corp.   9,194    2,084,832 
Old Dominion Freight Line, Inc.   7,109    2,628,552 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Saia, Inc. (a)   9,807   $3,358,015 
         16,594,150 
         131,344,465 
Technology — 14.2%          
Commercial Services — 0.0%          
Socure, Inc. (Acquired 12/22/21, Cost $62,185) (a) (d) (e) (f)   3,870    28,948 
Computers — 2.2%          
Apiture, Inc. (Acquired 7/01/20-6/30/22, Cost $97,636) (a) (d) (e) (f)   6,130    108,869 
Coalition, Inc. (Acquired 9/13/21, Cost $4,230) (a) (d) (e) (f)   256    4,321 
Conduent, Inc. (a)   77,483    263,442 
Crowdstrike Holdings, Inc. Class A (a)   17,562    2,579,331 
Endava PLC Sponsored ADR (a)   26,898    1,393,047 
Fortinet, Inc. (a)   28,200    2,131,638 
Globant SA (a)   12,717    2,285,499 
PAR Technology Corp. (a) (c)   25,984    855,653 
Parsons Corp. (a)   28,672    1,380,270 
Pure Storage, Inc. Class A (a)   41,356    1,522,728 
Western Digital Corp. (a)   119,888    4,547,352 
Zscaler, Inc. (a)   216    31,601 
         17,103,751 
Office & Business Equipment — 0.1%          
Zebra Technologies Corp. Class A (a)   1,960    579,827 
Semiconductors — 4.2%          
Entegris, Inc.   28,729    3,183,748 
KLA Corp.   4,459    2,162,704 
Lattice Semiconductor Corp. (a)   35,524    3,412,791 
MACOM Technology Solutions Holdings, Inc. (a)   12,450    815,848 
Marvell Technology, Inc.   145,383    8,690,996 
MaxLinear, Inc. (a)   4,855    153,224 
Microchip Technology, Inc.   80,100    7,176,159 
MKS Instruments, Inc.   29,923    3,234,676 
Monolithic Power Systems, Inc.   2,096    1,132,322 
NXP Semiconductor NV   3,200    654,976 
Onto Innovation, Inc. (a)   12,436    1,448,421 
SiTime Corp. (a)   2,300    271,331 
         32,337,196 
Software — 7.7%          
Agilysys, Inc. (a)   7,358    505,053 
Alignment Healthcare, Inc. (a)   88,184    507,058 
Amplitude, Inc. Class A Class A (a)   37,144    408,584 
Atlassian Corp. Class A Class A (a)   16,140    2,708,453 
Bill Holdings, Inc. (a)   33,993    3,972,082 
Black Knight, Inc. (a)   28,068    1,676,502 
Braze, Inc. Class A (a)   4,000    175,160 
Broadridge Financial Solutions, Inc.   10,900    1,805,367 
CCC Intelligent Solutions Holdings, Inc. (a)   114,686    1,285,630 
Ceridian HCM Holding, Inc. (a)   42,367    2,837,318 
Checkr, Inc. (Acquired 6/29/18-12/02/19, Cost $116,452) (a) (d) (e) (f)   15,444    83,398 
Clear Secure, Inc. Class A (c)   49,646    1,150,298 
Confluent, Inc. Class A (a)   15,746    555,991 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Databricks, Inc. (Acquired 7/24/20-8/28/20, Cost $24,732) (a) (d) (e) (f)   1,545   $113,032 
Datadog, Inc. Class A (a)   8,886    874,205 
DoubleVerify Holdings, Inc. (a)   44,667    1,738,440 
Doximity, Inc. Class A (a)   23,051    784,195 
Duolingo, Inc. (a)   5,457    780,024 
Dynatrace, Inc. (a)   4,592    236,350 
Envestnet, Inc. (a)   8,522    505,781 
Fair Isaac Corp. (a)   2,400    1,942,104 
Five9, Inc. (a)   12,798    1,055,195 
Gusto, Inc. (Acquired 8/18/20-11/09/20, Cost $204,799) (a) (d) (e) (f)   15,332    288,702 
HashiCorp, Inc. Class A (a)   4,100    107,338 
HubSpot, Inc. (a)   4,438    2,361,415 
Manhattan Associates, Inc. (a)   3,489    697,381 
Monday.com Ltd. (a)   8,467    1,449,720 
MongoDB, Inc. (a)   6,952    2,857,202 
MSCI, Inc.   109    51,153 
nCino, Inc. (a)   7,775    234,183 
Outset Medical, Inc. (a)   22,338    488,532 
Paycom Software, Inc.   729    234,184 
Paycor HCM, Inc. (a) (c)   31,387    742,930 
Phreesia, Inc. (a)   12,893    399,812 
Privia Health Group, Inc. (a)   34,239    893,980 
Procore Technologies, Inc. (a)   29,994    1,951,710 
PTC, Inc. (a)   14,800    2,106,040 
Roper Technologies, Inc.   9,295    4,469,036 
ServiceTitan, Inc. (Acquired 11/09/18-5/04/21, Cost $29,280) (a) (d) (e) (f)   637    46,444 
SS&C Technologies Holdings, Inc.   41,651    2,524,051 
Synopsys, Inc. (a)   3,831    1,668,056 
Tanium, Inc., Class B (Acquired 9/24/20, Cost $30,277) (a) (d) (e) (f)   2,657    11,717 
The Descartes Systems Group, Inc. (a)   29,846    2,390,963 
Themis Solutions, Inc. (Acquired 4/14/21, Cost $108,219) (a) (d) (e) (f)   4,820    85,892 
Veeva Systems, Inc. Class A (a)   28,272    5,590,222 
Verra Mobility Corp. (a)   48,906    964,426 
Vimeo, Inc. (a)   83,922    345,759 
Workiva, Inc. (a)   11,028    1,121,106 
         59,782,174 
         109,831,896 
Utilities — 3.0%          
Electric — 2.4%          
Ameren Corp.   31,013    2,532,832 
CenterPoint Energy, Inc.   55,570    1,619,865 
Constellation Energy Corp.   16,436    1,504,716 
Evergy, Inc.   31,344    1,831,115 
FirstEnergy Corp.   97,177    3,778,242 
IDACORP, Inc.   21,861    2,242,939 
MGE Energy, Inc.   18,620    1,473,029 
NorthWestern Corp.   14,046    797,252 
PG&E Corp. (a)   139,410    2,409,005 
PNM Resources, Inc.   10,543    475,489 
         18,664,484 
Gas — 0.4%          
Chesapeake Utilities Corp.   11,125    1,323,875 
ONE Gas, Inc.   14,696    1,128,800 
RGC Resources, Inc.   4,623    92,598 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Southwest Gas Holdings, Inc.   14,482   $921,779 
         3,467,052 
Water — 0.2%          
Artesian Resources Corp. Class A   4,937    233,125 
California Water Service Group   16,129    832,740 
Middlesex Water Co.   1,924    155,190 
         1,221,055 
         23,352,591 
           
TOTAL COMMON STOCK
(Cost $652,404,698)
        732,195,665 
           
PREFERRED STOCK — 1.5%          
Communications — 0.1%          
Internet — 0.1%          
1661, Inc., Series F (Acquired 5/28/21, Cost $288,836) (a) (d) (e) (f)   49,629    91,317 
Evolve Vacation Rental Network, Inc., Series 8 (Acquired 3/29/18-6/15/18, Cost $44,816) (a) (d) (e) (f)   5,266    101,897 
Evolve Vacation Rental Network, Inc., Series 9 (Acquired 5/29/20, Cost $20,111) (a) (d) (e) (f)   3,470    67,145 
Minted, Inc., Series E (Acquired 10/30/18, Cost $113,257) (a) (d) (e) (f)   8,410    71,737 
SecurityScorecard, Inc., Series E (Acquired 3/05/21, Cost $262,495) (a) (d) (e) (f)   51,969    265,042 
         597,138 
         597,138 
Consumer, Cyclical — 0.0%          
Auto Manufacturers — 0.0%          
Nuro, Inc., Series C, (Acquired 10/30/20-3/02/21, Cost $282,254) (a) (d) (e) (f)   21,621    134,050 
Nuro, Inc., Series D, (Acquired 10/29/21, Cost $252,025) (a) (d) (e) (f)   12,090    74,958 
         209,008 
Leisure Time — 0.0%          
Rad Power Bikes, Inc., Series C, (Acquired 1/22/21, Cost $69,082) (a) (d) (e) (f)   14,321    33,082 
Rad Power Bikes, Inc., Series D, (Acquired 9/16/21, Cost $107,722) (a) (d) (e) (f)   11,240    47,433 
         80,515 
Retail — 0.0%          
OfferUp, Inc., Series F, (Acquired 7/01/20, Cost $9,217) (a) (d) (e) (f)   4,025    2,777 
Consumer, Non-cyclical — 0.6%          
Agriculture — 0.1%          
Farmer's Business Network, Inc., Series E, (Acquired 2/11/19, Cost $191,081) (a) (d) (e) (f)   8,198    410,146 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Farmer's Business Network, Inc., Series F, (Acquired 7/31/20, Cost $172,258) (a) (d) (e) (f)   5,211   $260,706 
         670,852 
         670,852 
Biotechnology — 0.3%          
Genesis Therapeutics, Inc., Series A, (Acquired 11/24/20, Cost $25,262) (a) (d) (e) (f)   4,946    25,262 
Inscripta, Inc., Series E, (Acquired 3/30/21, Cost $148,812) (a) (d) (e) (f)   16,853    49,042 
Insitro, Inc., Series B, (Acquired 5/21/20, Cost $34,456) (a) (d) (e) (f)   5,530    101,150 
Insitro, Inc., Series C, (Acquired 4/07/21, Cost $62,208) (a) (d) (e) (f)   3,401    62,208 
Kardium, Inc., Series D-5, (Acquired 11/29/18, Cost $29,906) (a) (d) (e) (f)   30,866    31,355 
Kardium, Inc., Series D-6, (Acquired 1/08/21, Cost $145,349) (a) (d) (e) (f)   143,083    145,349 
Laronde, Inc., Series B, (Acquired 7/28/21, Cost $109,340) (a) (d) (e) (f)   3,905    21,868 
National Resilience, Inc., Series B, (Acquired 10/23/20, Cost $263,720) (a) (d) (e) (f)   19,306    1,172,453 
National Resilience, Inc., Series C, (Acquired 6/09/21, Cost $315,045) (a) (d) (e) (f)   7,094    430,819 
Tessera Therapeutics, Inc., Series C, (Acquired 2/25/22, Cost $34,499) (a) (d) (e) (f)   1,687    34,499 
Treeline Biosciences, Inc., Series A, (Acquired 4/09/21, Cost $40,640) (a) (d) (e) (f)   5,192    40,640 
         2,114,645 
         2,114,645 
Commercial Services — 0.0%          
Honor Technology, Inc., Series D, (Acquired 10/16/20, Cost $225,290) (a) (d) (e) (f)   93,556    101,976 
Honor Technology, Inc., Series E, (Acquired 9/29/21, Cost $116,646) (a) (d) (e) (f)   36,897    40,218 
Redwood Materials, Inc., Series C, (Acquired 5/28/21, Cost $214,074) (a) (d) (e) (f)   4,516    215,575 
         357,769 
         357,769 
Health Care – Products — 0.1%          
Cleerly, Inc. Series C, (Acquired 7/08/22, Cost $200,211) (a) (d) (e) (f)   16,995    200,211 
Ring Therapeutics, Inc., Series B, (Acquired 4/12/21, Cost $50,885) (a) (d) (e) (f)   5,531    50,885 
Tempus Labs, Inc., Series D, (Acquired 3/16/18, Cost $21,326) (a) (d) (e) (f)   2,275    89,590 
Tempus Labs, Inc., Series E, (Acquired 8/23/18, Cost $29,149) (a) (d) (e) (f)   1,741    72,112 
Tempus Labs, Inc., Series F, (Acquired 4/30/19, Cost $17,059) (a) (d) (e) (f)   689    29,420 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Tempus Labs, Inc., Series G, (Acquired 2/06/20, Cost $19,176) (a) (d) (e) (f)   500   $22,100 
Tempus Labs, Inc., Series G-2, (Acquired 11/19/20, Cost $26,075) (a) (d) (e) (f)   455    16,407 
         480,725 
         480,725 
Health Care – Services — 0.1%          
Caris Life Sciences, Inc., Series C, (Acquired 8/14/20, Cost $125,312) (a) (d) (e) (f)   45,403    242,906 
Caris Life Sciences, Inc., Series D, (Acquired 5/11/21, Cost $378,132) (a) (d) (e) (f)   46,683    249,754 
         492,660 
         492,660 
Pharmaceuticals — 0.0%          
Capsule, Corp., Series 1 D, (Acquired 4/07/21, Cost $72,328) (a) (d) (e) (f)   4,991    14,631 
Haul Hub, Inc., Series B, (Acquired 2/14/20-3/03/21, Cost $108,854) (a) (d) (e) (f)   7,466    90,264 
Haul Hub, Inc., Series C, (Acquired 4/14/22, Cost $43,061) (a) (d) (e) (f)   2,282    27,589 
         132,484 
         132,484 
         4,249,135 
Financial — 0.1%          
Banks — 0.0%          
CRB Group, Inc., Series D, (Acquired 1/28/22, Cost $255,280) (a) (d) (e) (f)   2,428    187,830 
Diversified Financial Services — 0.1%          
Color Health, Inc., Series D, (Acquired 12/17/20, Cost $43,490) (a) (d) (e) (f)   1,155    47,240 
Color Health, Inc., Series D-1, (Acquired 1/13/20, Cost $56,632) (a) (d) (e) (f)   2,655    108,590 
Color Health, Inc., Series E, (Acquired 10/26/21, Cost $15,095) (a) (d) (e) (f)   151    6,176 
Convoy, Inc., Series C, (Acquired 9/14/18, Cost $127,740) (a) (d) (e) (f)   17,990    93,188 
Convoy, Inc., Series D, (Acquired 10/30/19, Cost $417,858) (a) (d) (e) (f)   30,861    159,860 
Convoy, Inc., Series E, (Acquired 9/30/21, Cost $72,706) (a) (d) (e) (f)   4,407    22,828 
Stash Financial, Inc., Series F, (Acquired 4/24/20, Cost $126,801) (a) (d) (e) (f)   5,060    73,724 
Stash Financial, Inc., Series G, (Acquired 1/26/21, Cost $174,908) (a) (d) (e) (f)   4,667    67,998 
         579,604 

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
Insurance — 0.0%          
Go Maps, Inc., Series B-1, (Acquired 5/15/19-7/29/20, Cost $9,665) (a) (d) (e) (f)   755   $3,767 
Investment Companies — 0.0%          
Maplebear, Inc., Series E, (Acquired 11/19/21, Cost $348,680) (a) (d) (e) (f)   2,900    94,250 
Maplebear, Inc., Series I, (Acquired 2/26/21, Cost $58,500) (a) (d) (e) (f)   468    15,210 
         109,460 
         880,661 
Industrial — 0.2%          
Aerospace & Defense — 0.0%          
ABL Space Systems Company, Series B (Acquired 3/24/21, Cost $328,985) (a) (d) (e) (f)   7,305    234,564 
Electrical Components & Equipment — 0.1%          
CelLink, Inc., Series D (Acquired 1/20/22, Cost $223,836) (a) (d) (e) (f)   10,749    143,069 
Sila Nanotechnologies, Inc., Series F (Acquired 1/07/21, Cost $505,509) (a) (d) (e) (f)   12,248    248,389 
         391,458 
Electronics — 0.1%          
Sartorius AG 0.4538%   2,515    862,455 
         1,488,477 
Technology — 0.5%          
Computers — 0.0%          
Coalition, Inc., Series E (Acquired 9/07/21, Cost $253,711) (a) (d) (e) (f)   15,355    259,192 
Mesosphere, Inc., Series D (Acquired 5/04/18, Cost $72,584) (a) (d) (e) (f)   6,566    4,071 
         263,263 
Software — 0.5%          
Checkr, Inc., Series C (Acquired 4/10/18, Cost $106,628) (a) (d) (e) (f)   23,433    126,538 
Checkr, Inc., Series D (Acquired 9/06/19, Cost $308,786) (a) (d) (e) (f)   30,627    165,386 
Databricks, Inc., Series F (Acquired 10/22/19, Cost $104,923) (a) (d) (e) (f)   7,329    536,190 
Databricks, Inc., Series G (Acquired 2/01/21, Cost $50,195) (a) (d) (e) (f)   849    62,113 
Databricks, Inc., Series H (Acquired 8/31/21, Cost $114,856) (a) (d) (e) (f)   1,563    114,349 
DTX Company, Series A-1 (Acquired 2/04/22, Cost $31,212) (a) (d) (e) (f)   17,154    4,803 
Eikon Therapeutics, Inc., Series B (Acquired 12/03/21, Cost $89,186) (a) (d) (e) (f)   5,042    108,398 
Epirus, Inc., Series C-2 (Acquired 1/28/21, Cost $324,592) (a) (d) (e) (f)   58,131    292,399 
Flexe, Inc., Series C (Acquired 11/18/20, Cost $134,849) (a) (d) (e) (f)   11,083    199,272 
Flexe, Inc., Series D (Acquired 4/07/22, Cost $73,849) (a) (d) (e) (f)   3,621    65,106 
Gusto, Inc., Series B (Acquired 8/18/20, Cost $49,238) (a) (d) (e) (f)   3,644    68,617 
Gusto, Inc., Series B-2 (Acquired 8/18/20, Cost $91,936) (a) (d) (e) (f)   6,804    128,119 
Gusto, Inc., Series C (Acquired 7/16/18, Cost $84,209) (a) (d) (e) (f)   11,076    208,561 
Gusto, Inc., Series D (Acquired 7/16/19, Cost $187,638) (a) (d) (e) (f)   14,095    265,409 
JetClosing, Inc., Series A (Acquired 5/25/18, Cost $22,781) (a) (d) (e) (f)   11,678     
JetClosing, Inc., Series B-1 (Acquired 7/13/20-2/25/21, Cost $36,276) (a) (d) (e) (f)   27,130     
JetClosing, Inc., Series B-2 (Acquired 2/06/20, Cost $5,769) (a) (d) (e) (f)   5,185     

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
KoBold Metals, Inc., Series B-1 (Acquired 1/10/22, Cost $244,807) (a) (d) (e) (f)   8,931   $382,080 
Seismic Software, Inc., Series E (Acquired 12/13/18, Cost $117,981) (a) (d) (e) (f)   18,715    159,639 
Seismic Software, Inc., Series F (Acquired 9/25/20, Cost $18,592) (a) (d) (e) (f)   2,115    18,041 
ServiceTitan, Inc., Series A-1 (Acquired 11/09/18, Cost $263) (a) (d) (e) (f)   10    729 
ServiceTitan, Inc., Series D (Acquired 11/09/18, Cost $124,743) (a) (d) (e) (f)   4,744    345,885 
ServiceTitan, Inc., Series E (Acquired 4/23/20, Cost $7,435) (a) (d) (e) (f)   220    16,040 
ServiceTitan, Inc., Series F (Acquired 3/25/21, Cost $25,650) (a) (d) (e) (f)   239    17,425 
Socure, Inc., Series A (Acquired 12/22/21, Cost $75,555) (a) (d) (e) (f)   4,702    35,171 
Socure, Inc., Series A-1 (Acquired 12/22/21, Cost $62,025) (a) (d) (e) (f)   3,860    28,873 
Socure, Inc., Series B (Acquired 12/22/21, Cost $1,109) (a) (d) (e) (f)   69    516 
Socure, Inc., Series E (Acquired 10/27/21, Cost $143,750) (a) (d) (e) (f)   8,946    66,916 
Themis Solutions, Inc., Series AA (Acquired 4/14/21, Cost $24,473) (a) (d) (e) (f)   1,090    19,424 
Themis Solutions, Inc., Series AB (Acquired 4/14/21, Cost $2,694) (a) (d) (e) (f)   120    2,138 
Themis Solutions, Inc., Series B (Acquired 4/14/21, Cost $2,694) (a) (d) (e) (f)   120    2,138 
Themis Solutions, Inc., Series E (Acquired 4/14/21, Cost $309,164) (a) (d) (e) (f)   13,770    245,381 
         3,685,656 
         3,948,919 
           
TOTAL PREFERRED STOCK
(Cost $11,415,701)
        11,456,630 
           
TOTAL EQUITIES
(Cost $663,820,399)
        743,652,295 
           
           
   Principal
Amount
    
BONDS & NOTES — 0.0%          
CORPORATE DEBT — 0.0%          
Diversified Financial Services — 0.0%          
PRA Group, Inc.          
5.000% 10/01/29 (b)  $18,000    13,625 
7.375% 9/01/25 (b)   83,000    78,901 
         92,526 
           
TOTAL CORPORATE DEBT
(Cost $91,730)
        92,526 
           
TOTAL BONDS & NOTES
(Cost $91,730)
        92,526 
           

 

 

 

 

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund —  Portfolio of Investments (Continued)

 

   Number of
Shares
   Value 
WARRANTS — 0.0%          
           
Communications — 0.0%          
Advertising — 0.0%          
Advantage Solutions, Inc., Expires 10/28/25, Strike 11.5 (a)   3,668   $477 
Consumer, Non-cyclical — 0.0%          
Pharmaceuticals — 0.0%          
EQRx, Inc., (a)   1,166    187 
Financial — 0.0%          
Banks — 0.0%          
Dogwood State Bank (Acquired 5/06/19, Cost $0) (a) (d) (e) (f)   800    8,328 
Diversified Financial Services — 0.0%          
Grasshopper Bancorp, Inc. (Acquired 10/15/18, Cost $0) (a) (d) (e) (f)   1,432    229 
Insurance — 0.0%          
Hagerty, Inc. (a) (d) (f)   3,040    6,387 
         14,944 
           
TOTAL WARRANTS
(Cost $11,320)
        15,608 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $663,923,449)
        743,760,429 
           
SHORT-TERM INVESTMENTS — 4.0%          
Investment of Cash Collateral from Securities Loaned — 0.2%          
State Street Navigator Securities Lending Government Money Market Portfolio (g)   1,700,611    1,700,611 
Mutual Fund — 3.6%          
T. Rowe Price Government Reserve Investment Fund   27,645,353    27,645,353 

 

   Principal
Amount
    
Repurchase Agreement — 0.2%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (h)  $1,447,304   1,447,304 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $30,793,268)
        30,793,268 
           
TOTAL INVESTMENTS — 100.3%
(Cost $694,716,717) (i)
        774,553,697 
           
Other Assets/(Liabilities) — (0.3)%        (2,250,033) 
           
NET ASSETS — 100.0%       $772,303,664 

 

Abbreviation Legend

ADR American Depositary Receipt

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Non-income producing security.
(b) Security is exempt from registration under Regulation S or Rule 144A of the Securities Act of 1933. These securities are considered restricted and may be resold in transactions exempt from registration. At June 30, 2023, the aggregate market value of these securities amounted to $324,290 or 0.04% of net assets.
(c) Denotes all or a portion of security on loan. The total value of securities on loan as of June 30, 2023, was $11,666,968 or 1.51% of net assets. The Fund received $10,311,089 of non-cash collateral (U.S. Treasury and/or Agency obligations) related to securities lending activity. This amount is not reflected on the Portfolio of Investments. (Note 2).
(d) Investment is valued using significant unobservable inputs.
(e) Restricted security. Certain securities are restricted as to resale. At June 30, 2023, these securities amounted to a value of $16,110,822 or 2.09% of net assets. The Fund generally bears the costs, if any, associated with the disposition of restricted securities.
(f) This security is fair valued in good faith in accordance with procedures approved by the Board of Trustees. At June 30, 2023, these securities amounted to a value of $16,117,209 or 2.09% of net assets.
(g) Represents investment of security lending cash collateral. (Note 2).
(h) Maturity value of $1,447,487. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $1,476,338.
(i) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Principal
Amount
   Value 
BONDS & NOTES — 97.6%          
           
U.S. Government Agency Obligations and Instrumentalities (a) — 0.4%          
Collateralized Mortgage Obligations — 0.1%          
Government National Mortgage Association
Series 2020-7, Class KE 2.500% 1/20/50
  $167,224   $145,760 
Pass-Through Securities — 0.3%          
Government National Mortgage Association II          
Pool #MA4484 3.000% 6/20/32   116,277    109,847 
Pool #MA6381 3.000% 1/20/35   62,501    58,576 
Pool #MA6630 3.000% 5/20/35   28,920    27,004 
Pool #MA4588 4.500% 7/20/47   100,939    99,410 
Pool #MA4781 5.000% 10/20/47   45,608    45,913 
Pool #MA4840 5.000% 11/20/47   35,929    36,159 
Pool #MA5653 5.000% 12/20/48   111,100    110,803 
Pool #MA5820 5.500% 3/20/49   14,996    15,191 
         502,903 
           
TOTAL U.S. GOVERNMENT AGENCY OBLIGATIONS AND INSTRUMENTALITIES
(Cost $713,321)
        648,663 
           
U.S. TREASURY OBLIGATIONS — 97.2%          
U.S. Treasury Bonds & Notes — 97.2%          
U.S. Treasury Bonds          
1.125% 5/15/40   2,790,000    1,806,073 
1.125% 8/15/40   5,170,000    3,320,227 
1.250% 5/15/50   659,300    370,241 
1.375% 11/15/40   6,110,000    4,083,149 
1.375% 8/15/50   4,585,000    2,661,034 
1.625% 11/15/50   3,580,000    2,219,612 
1.750% 8/15/41   6,940,000    4,871,281 
1.875% 2/15/41   7,480,000    5,424,535 
1.875% 2/15/51   5,115,000    3,381,594 
1.875% 11/15/51   4,775,000    3,146,989 
2.000% 11/15/41   7,760,000    5,673,576 
2.000% 2/15/50 (b)   3,535,000    2,420,597 
2.000% 8/15/51   3,700,000    2,517,605 
2.250% 5/15/41   7,690,000    5,916,802 
2.250% 8/15/49   2,550,000    1,851,789 
2.250% 2/15/52   11,895,000    8,583,773 
2.375% 2/15/42   4,495,000    3,497,758 
2.375% 11/15/49   2,220,000    1,656,201 
2.375% 5/15/51   2,440,000    1,811,294 
2.875% 5/15/49   2,480,000    2,048,884 
2.875% 5/15/52   3,985,000    3,297,352 
3.000% 2/15/49   2,480,000    2,096,038 

 

 

 

 

MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund —  Portfolio of Investments (Continued)

 

   Principal
Amount
   Value 
3.000% 8/15/52  $5,555,000   $4,716,176 
3.250% 5/15/42   1,945,000    1,733,817 
3.375% 8/15/42   5,560,000    5,041,919 
3.375% 11/15/48   2,330,000    2,103,140 
3.625% 2/15/53   14,910,000    14,289,236 
3.625% 5/15/53   8,925,000    8,585,450 
3.875% 2/15/43   23,040,000    22,446,870 
3.875% 5/15/43   9,120,000    8,904,696 
4.000% 11/15/42   7,395,000    7,342,717 
4.000% 11/15/52   3,958,700    4,060,517 
         151,880,942 
           
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $183,687,495)
        151,880,942 
           
TOTAL BONDS & NOTES
(Cost $184,400,816)
        152,529,605 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $184,400,816)
        152,529,605 
           
           
   Number of
Shares
    
SHORT-TERM INVESTMENTS — 1.5%          
Mutual Fund — 0.9%          
T. Rowe Price Government Reserve Investment Fund   1,458,203    1,458,203 
           
   Principal
Amount
    
Repurchase Agreement — 0.6%          
Fixed Income Clearing Corp., Repurchase Agreement, dated 6/30/23, 1.520%, due 7/03/23 (c)  $924,064    924,064 
           
TOTAL SHORT-TERM INVESTMENTS
(Cost $2,382,267)
        2,382,267 
           
TOTAL INVESTMENTS — 99.1%
(Cost $186,783,083) (d)
        154,911,872 
           
Other Assets/(Liabilities) — 0.9%        1,368,422 
           
NET ASSETS — 100.0%       $156,280,294 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) May contain securities that are issued by a U.S. Government Agency, but are unsecured and are not guaranteed by a U.S. Government Agency.
(b) All or a portion of this security is pledged/held as collateral for open derivatives.
(c) Maturity value of $924,181. Collateralized by U.S. Government Agency obligations with a rate of 4.250%, maturity date of 10/15/25, and an aggregate market value, including accrued interest, of $942,625.
(d) See Note 3 for aggregate cost for federal tax purposes.

 

Futures contracts               
   Expiration
Date
  Number of
Contracts
   Notional
Amount
   Value/ Net
Unrealized
Appreciation
(Depreciation)
 
Long               
U.S. Treasury Ultra Bond  9/20/23   23   $3,133,318   $(287) 

 

 

 

MassMutual Select T. Rowe Price Retirement Balanced Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 39.9%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   1,933,875   $20,189,651 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   2,401,273    29,943,873 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   309,910    3,421,409 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   831,384    10,076,379 
MM S&P 500 Index Fund, Class I (a)   449,323    6,820,727 
         70,452,039 
Fixed Income Funds — 60.1%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   4,273,311    36,066,744 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   987,940    7,350,272 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   3,708,849    33,676,352 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   1,144,345    6,248,122 
State Street Institutional U.S. Government Money Market Fund   6,917,842    6,917,842 
T. Rowe Price Dynamic Global Bond Fund, Class I   845,688    6,731,675 
T. Rowe Price Institutional Floating Rate Fund   287,925    2,683,457 
T. Rowe Price Institutional High Yield Fund   878,060    6,603,011 
         106,277,475 
           
TOTAL MUTUAL FUNDS
(Cost $197,781,333)
        176,729,514 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $197,781,333)
        176,729,514 
           
TOTAL INVESTMENTS — 100.0%
(Cost $197,781,333) (b)
        176,729,514 
           
Other Assets/(Liabilities) — (0.0)%        (64,458) 
           
NET ASSETS — 100.0%       $176,665,056 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2005 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 42.4%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   228,758   $2,388,230 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   287,152    3,580,786 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   37,722    416,453 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   98,995    1,199,819 
MM S&P 500 Index Fund, Class I (a)   53,979    819,404 
         8,404,692 
Fixed Income Funds — 57.6%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   476,003    4,017,464 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   104,843    780,032 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   355,216    3,225,362 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   133,736    730,201 
State Street Institutional U.S. Government Money Market Fund   879,472    879,472 
T. Rowe Price Dynamic Global Bond Fund, Class I   94,815    754,725 
T. Rowe Price Institutional Floating Rate Fund   32,012    298,350 
T. Rowe Price Institutional High Yield Fund   96,396    724,902 
         11,410,508 
           
TOTAL MUTUAL FUNDS
(Cost $21,660,207)
        19,815,200 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $21,660,207)
        19,815,200 
           
TOTAL INVESTMENTS — 100.0%
(Cost $21,660,207) (b)
        19,815,200 
           
Other Assets/(Liabilities) — (0.0)%        (7,417) 
           
NET ASSETS — 100.0%       $19,807,783 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2010 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 46.0%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   1,289,355   $13,460,868 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   1,614,405    20,131,625 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   208,771    2,304,827 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   561,800    6,809,019 
MM S&P 500 Index Fund, Class I (a)   303,853    4,612,493 
         47,318,832 
Fixed Income Funds — 54.0%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   2,374,328    20,039,330 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   523,208    3,892,669 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   1,621,319    14,721,572 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   687,864    3,755,738 
State Street Institutional U.S. Government Money Market Fund   4,339,053    4,339,053 
T. Rowe Price Dynamic Global Bond Fund, Class I   474,521    3,777,184 
T. Rowe Price Institutional Floating Rate Fund   157,592    1,468,759 
T. Rowe Price Institutional High Yield Fund   473,146    3,558,059 
         55,552,364 
           
TOTAL MUTUAL FUNDS
(Cost $115,435,685)
        102,871,196 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $115,435,685)
        102,871,196 
           
TOTAL INVESTMENTS — 100.0%
(Cost $115,435,685) (b)
        102,871,196 
           
Other Assets/(Liabilities) — (0.0)%        (40,717) 
           
NET ASSETS — 100.0%       $102,830,479 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2015 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 49.0%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   1,496,898   $15,627,616 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   1,867,351    23,285,861 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   238,304    2,630,875 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   646,511    7,835,712 
MM S&P 500 Index Fund, Class I (a)   328,507    4,986,742 
         54,366,806 
Fixed Income Funds — 51.0%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   2,487,322    20,993,000 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   531,413    3,953,715 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   1,510,598    13,716,232 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   736,443    4,020,978 
State Street Institutional U.S. Government Money Market Fund   4,735,912    4,735,912 
T. Rowe Price Dynamic Global Bond Fund, Class I   498,782    3,970,307 
T. Rowe Price Institutional Floating Rate Fund   164,096    1,529,370 
T. Rowe Price Institutional High Yield Fund   492,101    3,700,600 
         56,620,114 
           
TOTAL MUTUAL FUNDS
(Cost $123,308,165)
        110,986,920 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $123,308,165)
        110,986,920 
           
TOTAL INVESTMENTS — 100.0%
(Cost $123,308,165) (b)
        110,986,920 
           
Other Assets/(Liabilities) — (0.0)%        (35,465) 
           
NET ASSETS — 100.0%       $110,951,455 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2020 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 52.4%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   7,574,027   $79,072,844 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   9,499,404    118,457,567 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   1,192,181    13,161,681 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   3,263,413    39,552,569 
MM S&P 500 Index Fund, Class I (a)   1,566,433    23,778,449 
         274,023,110 
Fixed Income Funds — 47.6%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   11,232,833    94,805,110 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   2,359,127    17,551,902 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   5,998,164    54,463,332 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   3,438,222    18,772,693 
State Street Institutional U.S. Government Money Market Fund   21,823,817    21,823,817 
T. Rowe Price Dynamic Global Bond Fund, Class I   2,255,494    17,953,736 
T. Rowe Price Institutional Floating Rate Fund   729,037    6,794,627 
T. Rowe Price Institutional High Yield Fund   2,200,057    16,544,427 
         248,709,644 
           
TOTAL MUTUAL FUNDS
(Cost $572,597,970)
        522,732,754 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $572,597,970)
        522,732,754 
           
TOTAL INVESTMENTS — 100.0%
(Cost $572,597,970) (b)
        522,732,754 
           
Other Assets/(Liabilities) — (0.0)%        (241,891) 
           
NET ASSETS — 100.0%       $522,490,863 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2025 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 58.8%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   8,911,408   $93,035,096 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   11,384,487    141,964,557 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   1,404,477    15,505,428 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   3,882,319    47,053,708 
MM S&P 500 Index Fund, Class I (a)   1,921,014    29,160,992 
         326,719,781 
Fixed Income Funds — 41.2%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   10,796,530    91,122,714 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   2,021,895    15,042,896 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   4,537,627    41,201,650 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   3,743,190    20,437,816 
State Street Institutional U.S. Government Money Market Fund   22,963,780    22,963,780 
T. Rowe Price Dynamic Global Bond Fund, Class I   2,174,622    17,309,993 
T. Rowe Price Institutional Floating Rate Fund   649,695    6,055,160 
T. Rowe Price Institutional High Yield Fund   2,007,863    15,099,130 
         229,233,139 
           
TOTAL MUTUAL FUNDS
(Cost $609,862,984)
        555,952,920 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $609,862,984)
        555,952,920 
           
TOTAL INVESTMENTS — 100.0%
(Cost $609,862,984) (b)
        555,952,920 
           
Other Assets/(Liabilities) — (0.0)%        (237,043) 
           
NET ASSETS — 100.0%       $555,715,877 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2030 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 69.5%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   25,401,161   $265,188,117 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   32,227,764    401,880,214 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   4,045,724    44,664,789 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   11,026,663    133,643,150 
MM S&P 500 Index Fund, Class I (a)   5,638,082    85,586,081 
         930,962,351 
Fixed Income Funds — 30.5%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   21,208,519    178,999,900 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   3,202,610    23,827,415 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   4,019,688    36,498,766 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   9,136,520    49,885,401 
State Street Institutional U.S. Government Money Market Fund   50,140,455    50,140,455 
T. Rowe Price Dynamic Global Bond Fund, Class I   4,188,528    33,340,683 
T. Rowe Price Institutional Floating Rate Fund   1,105,870    10,306,708 
T. Rowe Price Institutional High Yield Fund   3,447,380    25,924,300 
         408,923,628 
           
TOTAL MUTUAL FUNDS
(Cost $1,412,540,419)
        1,339,885,979 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,412,540,419)
        1,339,885,979 
           
TOTAL INVESTMENTS — 100.0%
(Cost $1,412,540,419) (b)
        1,339,885,979 
           
Other Assets/(Liabilities) — (0.0)%        (662,433) 
           
NET ASSETS — 100.0%       $1,339,223,546 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2035 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 80.6%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   16,105,227   $168,138,572 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   20,457,504    255,105,075 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   2,595,227    28,651,307 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   6,974,666    84,532,950 
MM S&P 500 Index Fund, Class I (a)   3,927,144    59,614,044 
         596,041,948 
Fixed Income Funds — 19.4%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   7,921,899    66,860,830 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   907,987    6,755,426 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   5,938    53,914 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   4,097,505    22,372,377 
State Street Institutional U.S. Government Money Market Fund   23,426,761    23,426,761 
T. Rowe Price Dynamic Global Bond Fund, Class I   1,557,849    12,400,475 
T. Rowe Price Institutional Floating Rate Fund   347,223    3,236,122 
T. Rowe Price Institutional High Yield Fund   1,114,233    8,379,033 
         143,484,938 
           
TOTAL MUTUAL FUNDS
(Cost $778,153,327)
        739,526,886 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $778,153,327)
        739,526,886 
           
TOTAL INVESTMENTS — 100.0%
(Cost $778,153,327) (b)
        739,526,886 
           
Other Assets/(Liabilities) — (0.0)%        (348,346) 
           
NET ASSETS — 100.0%       $739,178,540 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2040 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 89.8%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   30,610,490   $319,573,515 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   38,501,348    480,111,806 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   4,944,875    54,591,415 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   13,119,351    159,006,534 
MM S&P 500 Index Fund, Class I (a)   7,670,646    116,440,405 
         1,129,723,675 
Fixed Income Funds — 10.3%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   6,408,314    54,086,167 
MassMutual Select T. Rowe Price Emerging Markets Bond Fund, Class I (a)   371,439    2,763,506 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   26,617    241,681 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   3,860,468    21,078,157 
State Street Institutional U.S. Government Money Market Fund   34,047,096    34,047,096 
T. Rowe Price Dynamic Global Bond Fund, Class I   1,229,220    9,784,593 
T. Rowe Price Institutional Floating Rate Fund   207,599    1,934,822 
T. Rowe Price Institutional High Yield Fund   756,648    5,689,994 
         129,626,016 
           
TOTAL MUTUAL FUNDS
(Cost $1,294,487,626)
        1,259,349,691 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,294,487,626)
        1,259,349,691 
           
TOTAL INVESTMENTS — 100.1%
(Cost $1,294,487,626) (b)
        1,259,349,691 
           
Other Assets/(Liabilities) — (0.1)%        (650,091) 
           
NET ASSETS — 100.0%       $1,258,699,600 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2045 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 95.2%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   15,545,743   $162,297,553 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   19,637,412    244,878,528 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   2,524,155    27,866,673 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   6,626,706    80,315,677 
MM S&P 500 Index Fund, Class I (a)   3,891,666    59,075,484 
         574,433,915 
Fixed Income Funds — 4.8%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   1,081,580    9,128,534 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   7,470    67,827 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   854,970    4,668,138 
State Street Institutional U.S. Government Money Market Fund   13,952,603    13,952,603 
T. Rowe Price Dynamic Global Bond Fund, Class I   193,127    1,537,293 
         29,354,395 
           
TOTAL MUTUAL FUNDS
(Cost $624,805,227)
        603,788,310 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $624,805,227)
        603,788,310 
           
TOTAL INVESTMENTS — 100.0%
(Cost $624,805,227) (b)
        603,788,310 
           
Other Assets/(Liabilities) — (0.0)%        (292,402) 
           
NET ASSETS — 100.0%       $603,495,908 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2050 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 96.8%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   23,357,943   $243,856,924 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   29,514,147    368,041,413 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   3,798,095    41,930,970 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   9,933,216    120,390,576 
MM S&P 500 Index Fund, Class I (a)   5,932,469    90,054,879 
         864,274,762 
Fixed Income Funds — 3.3%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   624,894    5,274,106 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   11,669    105,955 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   504,210    2,752,985 
State Street Institutional U.S. Government Money Market Fund   20,237,772    20,237,772 
T. Rowe Price Dynamic Global Bond Fund, Class I   113,186    900,961 
         29,271,779 
           
TOTAL MUTUAL FUNDS
(Cost $914,555,983)
        893,546,541 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $914,555,983)
        893,546,541 
           
TOTAL INVESTMENTS — 100.1%
(Cost $914,555,983) (b)
        893,546,541 
           
Other Assets/(Liabilities) — (0.1)%        (472,914) 
           
NET ASSETS — 100.0%       $893,073,627 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2055 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.0%          
           
Equity Funds — 97.3%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   10,283,886   $107,363,771 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   12,979,445    161,853,684 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   1,667,270    18,406,661 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   4,398,902    53,314,690 
MM S&P 500 Index Fund, Class I (a)   2,574,010    39,073,471 
         380,012,277 
Fixed Income Funds — 2.7%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   256,025    2,160,852 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   2,508    22,773 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   198,171    1,082,014 
State Street Institutional U.S. Government Money Market Fund   6,932,088    6,932,088 
T. Rowe Price Dynamic Global Bond Fund, Class I   51,148    407,137 
         10,604,864 
           
TOTAL MUTUAL FUNDS
(Cost $405,539,646)
        390,617,141 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $405,539,646)
        390,617,141 
           
TOTAL INVESTMENTS — 100.0%
(Cost $405,539,646) (b)
        390,617,141 
           
Other Assets/(Liabilities) — (0.0)%        (192,037) 
           
NET ASSETS — 100.0%       $390,425,104 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2060 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 100.1%          
           
Equity Funds — 97.4%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   5,508,089   $57,504,447 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   6,955,886    86,739,900 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   898,935    9,924,239 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   2,349,238    28,472,766 
MM S&P 500 Index Fund, Class I (a)   1,389,088    21,086,354 
         203,727,706 
Fixed Income Funds — 2.7%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   144,605    1,220,467 
MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund, Class I (a)   1,207    10,958 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   104,652    571,399 
State Street Institutional U.S. Government Money Market Fund   3,655,917    3,655,917 
T. Rowe Price Dynamic Global Bond Fund, Class I   26,059    207,431 
         5,666,172 
           
TOTAL MUTUAL FUNDS
(Cost $218,381,070)
        209,393,878 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $218,381,070)
        209,393,878 
           
TOTAL INVESTMENTS — 100.1%
(Cost $218,381,070) (b)
        209,393,878 
           
Other Assets/(Liabilities) — (0.1)%        (106,050) 
           
NET ASSETS — 100.0%       $209,287,828 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

MassMutual Select T. Rowe Price Retirement 2065 Fund —  Portfolio of Investments

 

June 30, 2023 (Unaudited)

 

   Number of
Shares
   Value 
MUTUAL FUNDS — 99.9%          
           
Equity Funds — 97.2%          
MassMutual Select T. Rowe Price International Equity Fund, Class I (a)   27,858   $290,838 
MassMutual Select T. Rowe Price Large Cap Blend Fund, Class I (a)   35,203    438,980 
MassMutual Select T. Rowe Price Real Assets Fund, Class I (a)   4,541    50,131 
MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund, Class I (a)   11,841    143,516 
MM S&P 500 Index Fund, Class I (a)   7,104    107,835 
         1,031,300 
Fixed Income Funds — 2.7%          
MassMutual Select T. Rowe Price Bond Asset Fund, Class I (a)   704    5,943 
MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund, Class I (a)   534    2,914 
State Street Institutional U.S. Government Money Market Fund   19,230    19,230 
T. Rowe Price Dynamic Global Bond Fund, Class I   137    1,092 
         29,179 
           
TOTAL MUTUAL FUNDS
(Cost $1,016,185)
        1,060,479 
           
TOTAL LONG-TERM INVESTMENTS
(Cost $1,016,185)
        1,060,479 
           
TOTAL INVESTMENTS — 99.9%
(Cost $1,016,185) (b)
        1,060,479 
           
Other Assets/(Liabilities) — 0.1%        840 
           
NET ASSETS — 100.0%       $1,061,319 

 

Notes to Portfolio of Investments

Percentages are stated as a percent of net assets.

(a) Affiliated issuer.
(b) See Note 3 for aggregate cost for federal tax purposes.

 

 

 

Notes to Portfolio of Investments (Unaudited)

 

1. The Funds

MassMutual Select Funds (the “Trust”) is registered under the Investment Company Act of 1940, as amended, as an open-end management investment company. The Trust is organized under the laws of the Commonwealth of Massachusetts as a Massachusetts business trust pursuant to an Agreement and Declaration of Trust dated May 28, 1993, as amended and restated as of November 21, 2011, as it may be further amended from time to time. As of June 30, 2023, the Trust consists of the following series (each individually referred to as a “Fund” or collectively as the “Funds”):

 

MassMutual Total Return Bond Fund (“Total Return Bond Fund”)

MassMutual Strategic Bond Fund (“Strategic Bond Fund”)

MassMutual Diversified Value Fund (“Diversified Value Fund”)

MassMutual Fundamental Value Fund (“Fundamental Value Fund”)

MM S&P 500® Index Fund (“S&P 500 Index Fund”)

MassMutual Equity Opportunities Fund (“Equity Opportunities Fund”)

MassMutual Fundamental Growth Fund (“Fundamental Growth Fund”)

MassMutual Blue Chip Growth Fund (“Blue Chip Growth Fund”)

MassMutual Growth Opportunities Fund (“Growth Opportunities Fund”)

MassMutual Mid Cap Value Fund (“Mid Cap Value Fund”)

MassMutual Small Cap Value Equity Fund (“Small Cap Value Equity Fund”)

MassMutual Small Company Value Fund (“Small Company Value Fund”)

MassMutual Mid Cap Growth Fund (“Mid Cap Growth Fund”)

MassMutual Small Cap Growth Equity Fund (“Small Cap Growth Equity Fund”)

MassMutual Overseas Fund (“Overseas Fund”)

MassMutual Select T. Rowe Price International Equity Fund (“MM Select T. Rowe Price International Equity Fund”)

MassMutual 20/80 Allocation Fund (“20/80 Allocation Fund”)

MassMutual 40/60 Allocation Fund (“40/60 Allocation Fund”)

MassMutual 60/40 Allocation Fund (“60/40 Allocation Fund”)

MassMutual 80/20 Allocation Fund (“80/20 Allocation Fund”)

MassMutual RetireSMARTSM by JPMorgan In Retirement Fund (“MM RetireSMART by JPMorgan In Retirement Fund”)

MassMutual RetireSMARTSM by JPMorgan 2020 Fund (“MM RetireSMART by JPMorgan 2020 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2025 Fund (“MM RetireSMART by JPMorgan 2025 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2030 Fund (“MM RetireSMART by JPMorgan 2030 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2035 Fund (“MM RetireSMART by JPMorgan 2035 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2040 Fund (“MM RetireSMART by JPMorgan 2040 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2045 Fund (“MM RetireSMART by JPMorgan 2045 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2050 Fund (“MM RetireSMART by JPMorgan 2050 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2055 Fund (“MM RetireSMART by JPMorgan 2055 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2060 Fund (“MM RetireSMART by JPMorgan 2060 Fund”)

MassMutual RetireSMARTSM by JPMorgan 2065 Fund (“MM RetireSMART by JPMorgan 2065 Fund”)

MM Equity Asset Fund (“Equity Asset Fund”)

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

MassMutual Select T. Rowe Price Bond Asset Fund (“MM Select T. Rowe Price Bond Asset Fund”)

MassMutual Select T. Rowe Price Emerging Markets Bond Fund (“MM Select T. Rowe Price Emerging Markets Bond Fund”)

MassMutual Select T. Rowe Price Large Cap Blend Fund (“MM Select T. Rowe Price Large Cap Blend Fund”)

MassMutual Select T. Rowe Price Limited Duration Inflation Focused Bond Fund (“MM Select T. Rowe Price Limited Duration Inflation Focused Bond Fund”)

MassMutual Select T. Rowe Price Real Assets Fund (“MM Select T. Rowe Price Real Assets Fund”)

MassMutual Select T. Rowe Price Small and Mid Cap Blend Fund (“MM Select T. Rowe Price Small and Mid Cap Blend Fund”)

MassMutual Select T. Rowe Price U.S. Treasury Long-Term Index Fund (“MM Select T. Rowe Price U.S. Treasury Long-Term Index Fund”)

MassMutual Select T. Rowe Price Retirement Balanced Fund (“MM Select T. Rowe Price Retirement Balanced Fund”)

MassMutual Select T. Rowe Price Retirement 2005 Fund (“MM Select T. Rowe Price Retirement 2005 Fund”)

MassMutual Select T. Rowe Price Retirement 2010 Fund (“MM Select T. Rowe Price Retirement 2010 Fund”)

MassMutual Select T. Rowe Price Retirement 2015 Fund (“MM Select T. Rowe Price Retirement 2015 Fund”)

MassMutual Select T. Rowe Price Retirement 2020 Fund (“MM Select T. Rowe Price Retirement 2020 Fund”)

MassMutual Select T. Rowe Price Retirement 2025 Fund (“MM Select T. Rowe Price Retirement 2025 Fund”)

MassMutual Select T. Rowe Price Retirement 2030 Fund (“MM Select T. Rowe Price Retirement 2030 Fund”)

MassMutual Select T. Rowe Price Retirement 2035 Fund (“MM Select T. Rowe Price Retirement 2035 Fund”)

MassMutual Select T. Rowe Price Retirement 2040 Fund (“MM Select T. Rowe Price Retirement 2040 Fund”)

MassMutual Select T. Rowe Price Retirement 2045 Fund (“MM Select T. Rowe Price Retirement 2045 Fund”)

MassMutual Select T. Rowe Price Retirement 2050 Fund (“MM Select T. Rowe Price Retirement 2050 Fund”)

MassMutual Select T. Rowe Price Retirement 2055 Fund (“MM Select T. Rowe Price Retirement 2055 Fund”)

MassMutual Select T. Rowe Price Retirement 2060 Fund (“MM Select T. Rowe Price Retirement 2060 Fund”)

MassMutual Select T. Rowe Price Retirement 2065 Fund (“MM Select T. Rowe Price Retirement 2065 Fund”)

 

The 20/80 Allocation Fund, 40/60 Allocation Fund, 60/40 Allocation Fund, and 80/20 Allocation Fund (the “MM Target Allocation Funds”) invest their investable assets in shares of MassMutual Funds advised by MML Investment Advisers, LLC (“MML Advisers”) and non-affiliated mutual funds (together, the “MM Target Allocation Underlying Funds”).

 

The MM RetireSMART by JPMorgan In Retirement Fund, MM RetireSMART by JPMorgan 2020 Fund, MM RetireSMART by JPMorgan 2025 Fund, MM RetireSMART by JPMorgan 2030 Fund, MM RetireSMART by JPMorgan 2035 Fund, MM RetireSMART by JPMorgan 2040 Fund, MM RetireSMART by JPMorgan 2045 Fund, MM RetireSMART by JPMorgan 2050 Fund, MM RetireSMART by JPMorgan 2055 Fund, MM RetireSMART by JPMorgan 2060 Fund, and MM RetireSMART by JPMorgan 2065 Fund (the “MM RetireSMART by JPMorgan Funds”) invest their investable assets in shares of MassMutual Funds, J.P. Morgan Funds advised by J.P. Morgan Investment Management Inc. (“J.P. Morgan”) or its affiliates, and non-affiliated mutual funds (together, the “MM RetireSMART by JPMorgan Underlying Funds”).

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

The MM Select T. Rowe Price Retirement Balanced Fund, MM Select T. Rowe Price Retirement 2005 Fund, MM Select T. Rowe Price Retirement 2010 Fund, MM Select T. Rowe Price Retirement 2015 Fund, MM Select T. Rowe Price Retirement 2020 Fund, MM Select T. Rowe Price Retirement 2025 Fund, MM Select T. Rowe Price Retirement 2030 Fund, MM Select T. Rowe Price Retirement 2035 Fund, MM Select T. Rowe Price Retirement 2040 Fund, MM Select T. Rowe Price Retirement 2045 Fund, MM Select T. Rowe Price Retirement 2050 Fund, MM Select T. Rowe Price Retirement 2055 Fund, MM Select T. Rowe Price Retirement 2060 Fund, and MM Select T. Rowe Price Retirement 2065 Fund (the “MM Select T. Rowe Price Retirement Funds”) invest their investable assets primarily in shares of MassMutual Funds and T. Rowe Price Funds (together, the “MM Select T. Rowe Price Underlying Funds”). The MM Target Allocation Underlying Funds, MM RetireSMART by JPMorgan Underlying Funds, and MM Select T. Rowe Price Underlying Funds are hereinafter collectively referred to as the (“Underlying Funds”).

 

2. Significant Accounting Policies 

Each Fund is an investment company and accordingly follows the investment company accounting and reporting guidance of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification Topic 946, Financial Services – Investment Companies.

 

Investment Valuation

The net asset value of each Fund’s shares is determined once daily as of the close of regular trading on the New York Stock Exchange (“NYSE”), on each day the NYSE is open for trading (a “business day”). The NYSE normally closes at 4:00 p.m. Eastern Time, but may close earlier on some days. If the NYSE is scheduled to close early, the business day will be considered to end as of the time of the NYSE’s scheduled close. A Fund will not treat an intraday disruption in NYSE trading or other event that causes an unscheduled closing of the NYSE as a close of business of the NYSE for these purposes; instead, MML Advisers will determine the fair value of a Fund’s securities in accordance with MML Advisers’ fair valuation policy and procedures. On holidays and other days when the NYSE is closed, each Fund’s net asset value generally is not calculated and the Funds do not anticipate accepting buy or sell orders. However, the value of each Fund’s assets may still be affected on such days to the extent that a Fund or an Underlying Fund holds foreign securities that trade on days that foreign securities markets are open.

 

The net asset value of each of the MM Target Allocation Funds, MM RetireSMART by JPMorgan Funds, and MM Select T. Rowe Price Retirement Funds is based upon the net asset value(s) of its corresponding Underlying Funds. Shares of the Underlying Funds are valued at their closing net asset values as reported on each business day.

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

The Prospectuses and Statements of Additional Information (“SAIs”) for the Underlying Funds explain the valuation methods for the Underlying Funds, including the circumstances under which the Underlying Funds may use fair value pricing and the effects of doing so. Such Prospectuses and SAIs are available on the Securities and Exchange Commission’s (“SEC”) EDGAR database on its website at http://www.sec.gov.

 

Equity securities and derivative contracts that are actively traded on a national securities exchange or contract market are valued on the basis of information furnished by a pricing service, which provides the last reported sale price, or, in the case of futures contracts, the settlement price, for securities or derivatives listed on the exchange or contract market or the official closing price on the NASDAQ National Market System (“NASDAQ System”), or in the case of over-the-counter (“OTC”) securities for which an official closing price is unavailable or not reported on the NASDAQ System, the last reported bid price. Portfolio securities traded on more than one national securities exchange are valued at the last price at the close of the exchange representing the principal market for such securities. Debt securities are valued on the basis of valuations furnished by a pricing service, which generally determines valuations taking into account factors such as institutional-size trading in similar securities, yield, quality, coupon rate, maturity, type of issue, trading characteristics, and other market data. Shares of other open-end mutual funds are valued at their closing net asset values as reported on each business day.

 

Investments for which market quotations are readily available are marked to market daily based on those quotations. Market quotations may be provided by third-party vendors or market makers, and may be determined on the basis of a variety of factors, such as broker quotations, financial modeling, and other market data, such as market indexes and yield curves, counterparty information, and foreign exchange rates. U.S. Government and agency securities may be valued on the basis of market quotations or using a model that may incorporate market observable data such as reported sales of similar securities, broker quotes, yields, bids, offers, quoted market prices, and reference data. The fair values of OTC derivative contracts, including forward, swap, and option contracts related to interest rates, foreign currencies, credit standing of reference entities, equity prices, or commodity prices, may be based on market quotations or may be modeled using a series of techniques, including simulation models, depending on the contract and the terms of the transaction. The fair values of asset-backed securities and mortgage-backed securities are estimated based on models that consider the estimated cash flows of each debt tranche of the issuer, established benchmark yield, and estimated tranche-specific spread to the benchmark yield based on the unique attributes of the tranche, including, but not limited to, prepayment speed assumptions and attributes of the collateral. 

 

The Board of Trustees (“Trustees”) have designated MML Advisers as the Funds’ “valuation designee,” responsible for determining the fair value, in good faith, of securities and other instruments held by the Funds for which market quotations are not readily available or for which such market quotations or values are considered by MML Advisers or a subadviser to be unreliable (including, for example, certain foreign securities, thinly-traded securities, certain restricted securities, certain initial public offerings, or securities whose values may have been affected by a significant event). It is possible that a significant amount of a Fund’s assets will be subject to fair valuation in accordance with MML Advisers’ fair valuation policy and procedures. The fair value determined for an investment by MML Advisers may differ from recent market prices for the investment and may be significantly different from the value realized upon the sale of such investment.

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

The Funds and certain Underlying Funds may invest in securities that are traded principally in foreign markets and that trade on weekends and other days when the Funds do not price their shares. As a result, the values of the Funds’ portfolio securities may change on days when the prices of the Funds’ shares are not calculated. The prices of the Funds’ shares will reflect any such changes when the prices of the Funds’ shares are next calculated, which is the next business day.  The Funds may use fair value pricing more frequently for securities primarily traded in foreign markets because, among other things, most foreign markets close well before the Funds value their securities. The earlier close of these foreign markets gives rise to the possibility that significant events, including broad market moves, may have occurred in the interim. The Funds’ investments may be priced based on fair values provided by a third-party vendor, based on certain factors and methodologies applied by such vendor, in the event that there is movement in the U.S. market, between the close of the foreign market and the time the Funds calculate their net asset values. All assets and liabilities expressed in foreign currencies are converted into U.S. dollars at the mean between the buying and selling rates of such currencies against the U.S. dollar at the end of each business day. 

 

Investments in equity or debt issued by privately held companies or funds (“Private Company” or collectively, the “Private Companies”) and any other investments fair valued using significant unobservable inputs may be fair valued using one or a combination of, but not limited to, the following inputs: 

 

Market approach: (i) recent market transactions, including subsequent rounds of financing, in the underlying investment or comparable issuers; (ii) recapitalizations and other transactions across the capital structure; and (iii) market multiples of comparable issuers. 

 

Income approach: (i) future cash flows discounted to present value and adjusted as appropriate for liquidity, credit, and/or market risks; (ii) quoted prices for similar investments or assets in active markets; and (iii) other risk factors, such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks, recovery rates, liquidation amounts, and/or default rates.

 

Cost approach: (i) audited or unaudited financial statements, investor communications, and financial or operational metrics issued by the Private Company; (ii) changes in the valuation of relevant indexes or publicly traded companies comparable to the Private Company; (iii) relevant news and other public sources; and (iv) known secondary market transactions in the Private Company's interests and merger or acquisition activity in companies comparable to the Private Company. 

 

Investments in series of preferred stock issued by Private Companies are typically valued utilizing the Market approach in determining the enterprise value of the company. Such investments often contain rights and preferences that differ from other series of preferred and common stock of the same issuer. Valuation techniques such as the current value method (“CVM”), an option pricing model (“OPM”), a probability weighted expected return model (“PWERM”), or a hybrid of those techniques are used in allocating enterprise value of the company, as deemed appropriate under the circumstances. The CVM allocates value among the various parts of a company’s capital structure assuming that the value of convertible preferred stock is represented by the most favorable claim the preferred stockholders have on the enterprise value as of the valuation date. The use of OPM and PWERM techniques involve a determination of the exit scenarios of the investment in order to appropriately allocate the enterprise value of the company among the various parts of its capital structure.

 

The Private Companies are not subject to the public company disclosure, timing, and reporting standards as other investments held by a Fund. Typically, the most recently available information for a Private Company is as of a date that is earlier than the date a Fund is calculating its net asset value. This factor may result in a difference between the value of the investment and the price a Fund could receive upon the sale of the investment.

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

Fair value is defined as the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. A three-tier hierarchy is utilized to maximize the use of observable market data inputs and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk, for example, the risk inherent in a particular valuation technique used to measure fair value (such as a pricing model) and/or the risk inherent in the inputs to the valuation technique. Inputs may be observable or unobservable. Observable inputs are inputs that reflect the assumptions market participants would use in pricing the asset or liability and are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs are inputs that reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability and are 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. The inputs or methodology used for valuing investments are not necessarily an indication of the risk associated with investing in those investments and the determination of the significance of a particular input to the fair value measurement in its entirety requires judgment and consideration of factors specific to each security.

 

Level 1 – quoted prices (unadjusted) in active markets for identical investments that the Funds can access at the measurement date

 

Level 2 – other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.) 

 

Level 3 – significant unobservable inputs, to the extent observable inputs are not available (including the Funds' own assumptions in determining the fair value of investments)

 

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 marketplace, the liquidity of markets, and other characteristics particular to the security. 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 in determining fair value is greatest for instruments categorized in Level 3.

 

Changes in valuation techniques may result in transfers in or out of an investment’s assigned Level within the hierarchy. In addition, in periods of market dislocation, the observability of prices and inputs may be reduced for many instruments. This condition, as well as changes related to liquidity of investments, could cause a security to be reclassified between Levels.

 

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 falls is determined based on the lowest Level input that is significant to the overall fair value measurement.

 

The Fundamental Value Fund, Fundamental Growth Fund, Growth Opportunities Fund, Small Cap Value Equity Fund, and Small Cap Growth Equity Fund characterized all long-term investments at Level 1, and all short-term investments at Level 2, except for the State Street Navigator Securities Lending Government Money Market Portfolio which was characterized at Level 1, as of June 30, 2023. The MM Target Allocation Funds, MM RetireSMART by JPMorgan Funds, and the MM Select T. Rowe Price Retirement Funds characterized all investments at Level 1, as of June 30, 2023. For each Fund noted in the preceding sentences, the level classification by major category of investments is the same as the category presentation in the Portfolio of Investments. 

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

  

The following is the aggregate value by input level, as of June 30, 2023, for the remaining Funds' investments:   

 

Total Return Bond Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Bank Loans  $   $15,007,297   $   $15,007,297 
Corporate Debt       223,410,365    +   223,410,365 
Municipal Obligations       4,068,700        4,068,700 
Non-U.S. Government Agency Obligations       118,937,879        118,937,879 
Sovereign Debt Obligations       4,696,461        4,696,461 
U.S. Government Agency Obligations and Instrumentalities       314,064,758        314,064,758 
U.S. Treasury Obligations       216,388,118        216,388,118 
Common Stock   356,860            356,860 
Rights           +    
Short-Term Investments   5,263,660    56,630,145        61,893,805 
Unfunded Bank Loan Commitments**        140        140 
Total Investments  $5,620,520   $953,203,863   $   $958,824,383 
                     
Asset Derivatives                    
Forward Contracts  $   $11,413   $   $11,413 
Futures Contracts   77,777            77,777 
Swap Agreements       137,428        137,428 
Total  $77,777   $148,841   $   $226,618 
                     
Liability Derivatives                    
Forward Contracts  $   $(21,546)  $   $(21,546)
Futures Contracts   (3,849,791)           (3,849,791)
Total  $(3,849,791)  $(21,546)  $   $(3,871,337)
Notes to Portfolio of Investments (Unaudited) (Continued)

  

Strategic Bond Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Bank Loans  $   $7,336,614   $   $7,336,614 
Corporate Debt       113,605,772        113,605,772 
Municipal Obligations       50,217        50,217 
Non-U.S. Government Agency Obligations       25,858,338        25,858,338 
Sovereign Debt Obligations       18,907,312        18,907,312 
U.S. Government Agency Obligations and Instrumentalities       146,399,497    202,430    146,601,927 
U.S. Treasury Obligations       103,860,674        103,860,674 
Purchased Options   452,667    17,457        470,124 
Short-Term Investments   5,062,800    6,391,113        11,453,913 
Total Investments  $5,515,467   $422,426,994   $202,430   $428,144,891 
                     
Liability Investments                    
Unfunded Loan Commitments**  $   $(1,600)  $   $(1,600)
                     
Asset Derivatives                    
Forward Contracts  $   $233,954   $   $233,954 
Futures Contracts   3,176,862            3,176,862 
Swap Agreements       2,364,908        2,364,908 
Total  $3,176,862   $2,598,862   $   $5,775,724 
                     
Liability Derivatives                    
Forward Contracts  $   $(877,502)  $   $(877,502)
Futures Contracts   (3,328,843)           (3,328,843)
Swap Agreements       (1,123,627)       (1,123,627)
Written Options   (721,670)           (721,670)
Total  $(4,050,513)  $(2,001,129)  $   $(6,051,642)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Diversified Value Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $285,254,123   $5,587,438*  $   $290,841,561 
Preferred Stock       3,066,431*       3,066,431 
Mutual Funds   3,709,005            3,709,005 
Short-Term Investments   107    3,471,928        3,472,035 
Total Investments  $288,963,235   $12,125,797   $   $301,089,032 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

S&P 500 Index Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $2,563,447,587   $   $   $2,563,447,587 
Short-Term Investments       5,967,110        5,967,110 
Total Investments  $2,563,447,587   $5,967,110   $   $2,569,414,697 
                     
Asset Derivatives                    
Futures Contracts  $155,434   $   $   $155,434 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Equity Opportunities Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $618,757,609   $9,118,212*  $   $627,875,821 
Preferred Stock       4,956,654*       4,956,654 
Short-Term Investments   162    10,233,504        10,233,666 
Total Investments  $ 618,757,771   $24,308,370   $   $643,066,141 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Blue Chip Growth Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $2,454,945,749   $4,903,513*  $3,010,379   $2,462,859,641 
Preferred Stock           3,961,029    3,961,029 
Corporate Debt       2,902,757        2,902,757 
Short-Term Investments   103    23,830,987        23,831,090 
Total Investments  $2,454,945,852   $31,637,257   $6,971,408   $2,493,554,517 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Mid Cap Value Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $108,514,363   $3,351,913*  $   $111,866,276 
Preferred Stock       379,220*       379,220 
Mutual Funds   539,314            539,314 
Short-Term Investments   32,240    2,679,056        2,711,296 
Total Investments  $109,085,917   $6,410,189   $   $115,496,106 
                     
Asset Derivatives                    
Forward Contracts  $   $2,099   $   $2,099 
                     
Liability Derivatives                    
Forward Contracts  $   $(129)  $   $(129)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Small Company Value Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $206,640,532   $371,710*  $   $207,012,242 
Short-Term Investments   2,424,090    1,292,037        3,716,127 
Total Investments  $209,064,622   $1,663,747   $   $210,728,369 
                     
Asset Derivatives                    
Forward Contracts  $   $1,890   $   $1,890 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Mid Cap Growth Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $5,183,859,073   $   $27,792,000   $5,211,651,073 
Preferred Stock           18,205,578    18,205,578 
Short-Term Investments   5,516,277    144,670,496        150,186,773 
Total Investments  $5,189,375,350   $144,670,496   $45,997,578   $5,380,043,424 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Overseas Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock*                    
Australia  $   $5,810,734   $   $5,810,734 
Belgium       4,808,565        4,808,565 
Canada   15,332,363            15,332,363 
China   2,698,081    12,118,861        14,816,942 
Denmark       11,262,740        11,262,740 
France       81,009,878        81,009,878 
Germany       75,338,125        75,338,125 
Hong Kong       12,256,873        12,256,873 
India       7,745,066        7,745,066 
Indonesia       197,975        197,975 
Ireland   7,156,373            7,156,373 
Israel   3,854,022            3,854,022 
Italy       12,663,836        12,663,836 
Japan       51,756,529        51,756,529 
Luxembourg       1,759,465        1,759,465 
Netherlands       15,680,388        15,680,388 
Portugal       2,107,214        2,107,214 
Republic of Korea       5,153,315        5,153,315 
Singapore       3,551,777        3,551,777 
Spain       6,434,762        6,434,762 
Sweden       6,095,694        6,095,694 
Switzerland       33,906,093        33,906,093 
Taiwan   3,616,266            3,616,266 
United Kingdom   1,589,898    50,674,536        52,264,434 
United States   4,595,444    40,633,111        45,228,555 
Preferred Stock*                    
Republic of Korea       2,931,865        2,931,865 
Short-Term Investments   1,789,182    4,757,432        6,546,614 
Total Investments  $40,631,629   $448,654,834   $   $489,286,463 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price International Equity Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock*                    
Australia  $   $36,065,059   $   $36,065,059 
Austria       9,202,608        9,202,608 
Belgium       4,047,375        4,047,375 
Brazil   32,325,873            32,325,873 
Canada   59,139,117            59,139,117 
Chile   3,565,230    2,507,966        6,073,196 
China   35,866,325    122,404,146        158,270,471 
Denmark   4,542,406    10,524,956        15,067,362 
Finland       8,850,578        8,850,578 
France       104,819,616        104,819,616 
Germany       93,308,845        93,308,845 
Guatemala       1,319,986        1,319,986 
Hong Kong       22,359,302        22,359,302 
Hungary       6,612,362        6,612,362 
India   2,295,144    63,768,568        66,063,712 
Indonesia       11,170,124        11,170,124 
Ireland   2,445,901    2,059,153        4,505,054 
Italy   1,664,098    27,700,637        29,364,735 
Japan       215,819,165        215,819,165 
Luxembourg       4,359,111        4,359,111 
Malaysia       3,001,360        3,001,360 
Mexico   12,659,645    1,405,682        14,065,327 
Mongolia       4,473,976        4,473,976 
Netherlands   3,417,629    72,330,794        75,748,423 
Norway       12,130,020        12,130,020 
Peru   744,844            744,844 
Philippines   872,131    5,460,537        6,332,668 
Poland       2,020,488        2,020,488 
Portugal       9,492,532        9,492,532 
Republic of Korea   1,531,444    54,669,834        56,201,278 
Russia           +    
Saudi Arabia       13,502,013        13,502,013 
Singapore   2,275,807    10,538,755        12,814,562 
South Africa       7,448,474        7,448,474 
Spain       13,562,272        13,562,272 
Sweden   918,994    22,685,161        23,604,155 
Switzerland       55,978,146        55,978,146 
Taiwan       57,170,272        57,170,272 
Thailand   4,671,407    4,567,753        9,239,160 
United Arab Emirates       1,281,835        1,281,835 
United Kingdom   21,906,403    113,539,647        135,446,050 
United States   22,400,230    72,847,132    271,765    95,519,127 
Preferred Stock*                    
Brazil   2,652,572            2,652,572 
Germany       9,409,261        9,409,261 
United States           16,320    16,320 
Rights           +    
Short-Term Investments   37,102,493    1,094,313        38,196,806 
Total Investments  $252,997,693   $1,295,509,814   $288,085   $1,548,795,592 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

Equity Asset Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $337,776,410   $2,570*  $   $337,778,980 
Rights               —+    
Short-Term Investments       3,341,964        3,341,964 
Total Investments  $337,776,410   $3,344,534   $   $341,120,944 
                     
Asset Derivatives                    
Futures Contracts  $73,516   $   $   $73,516 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Bond Asset Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Bank Loans  $   $4,974,956   $   $4,974,956 
Corporate Debt       134,582,125        134,582,125 
Municipal Obligations       351,731        351,731 
Non-U.S. Government Agency Obligations       36,402,110        36,402,110 
Sovereign Debt Obligations       107,290,519        107,290,519 
U.S. Government Agency Obligations and Instrumentalities       154,268,977        154,268,977 
U.S. Treasury Obligations       120,573,554        120,573,554 
Purchased Options       738        738 
Short-Term Investments   66,031,356    5,426,927        71,458,283 
Total Investments  $66,031,356   $563,871,637   $   $629,902,993 
                     
Liability Investments                    
Unfunded Loan Commitments**  $   $(445)  $   $(445)
                     
Asset Derivatives                    
Forward Contracts  $   $3,598,885   $   $3,598,885 
Futures Contracts   90,607            90,607 
Swap Agreements       804,966        804,966 
Total  $90,607   $4,403,851   $   $4,494,458 
                     
Liability Derivatives                    
Forward Contracts  $   $(1,395,713)  $   $(1,395,713)
Futures Contracts   (778,825)           (778,825)
Swap Agreements       (1,282,042)       (1,282,042)
Total  $(778,825)  $(2,677,755)  $   $(3,456,580)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Emerging Markets Bond Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Corporate Debt  $   $21,221,732   $   $21,221,732 
Sovereign Debt Obligations       56,716,061        56,716,061 
Short-Term Investments   2,773,400    1,155,812        3,929,212 
Total Investments  $2,773,400   $79,093,605   $   $81,867,005 
                     
Asset Derivatives                    
Forward Contracts  $   $13,858   $   $13,858 
Futures Contracts  123,335         123,335 
Total  $123,335   $13,858   $   $137,193 
                     
Liability Derivatives                    
Forward Contracts  $   $(108,768)  $   $(108,768)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Large Cap Blend Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $2,292,824,801   $9,338,213*  $4,163,299   $2,306,326,313 
Preferred Stock       8,628,425*   6,418,805    15,047,230 
Short-Term Investments   12,384,422    997,710        13,382,132 
Total Investments  $2,305,209,223   $18,964,348   $10,582,104   $2,334,755,675 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Limited Duration Inflation Focused Bond Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Corporate Debt  $   $499,231   $   $499,231 
Municipal Obligations       756,902        756,902 
Non-U.S. Government Agency Obligations       260,664        260,664 
U.S. Government Agency Obligations and Instrumentalities       340,558        340,558 
U.S. Treasury Obligations       185,482,132        185,482,132 
Short-Term Investments   9,541,025    945,902        10,486,927 
Total Investments  $9,541,025   $188,285,389   $   $197,826,414 
                     
Asset Derivatives                    
Forward Contracts  $   $12,533   $   $12,533 
Swap Agreements       646,035        646,035 
Total  $   $658,568   $   $658,568 
                     
Liability Derivatives                    
Forward Contracts  $   $(7,781)  $   $(7,781)
Swap Agreements       (13,393)       (13,393)
Total  $   $(21,174)  $   $(21,174)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Real Assets Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock*                    
Australia  $   $25,978,058   $   $25,978,058 
Austria       1,170,553        1,170,553 
Belgium       1,302,288        1,302,288 
Bosnia and Herzegowina       423,722        423,722 
Brazil   2,996,531            2,996,531 
Burkina Faso   1,234,050            1,234,050 
Canada   24,914,749            24,914,749 
Chile       158,293        158,293 
China       338,526        338,526 
Egypt       298,851        298,851 
Faeroe Islands       454,344        454,344 
Finland       1,259,730        1,259,730 
France       3,452,123        3,452,123 
Germany       601,452        601,452 
Ghana   664,141            664,141 
Hong Kong       2,532,537        2,532,537 
India   230,296            230,296 
Japan       6,676,599        6,676,599 
Kazakhstan       837,289        837,289 
Luxembourg       1,079,536        1,079,536 
Mexico   1,775,596            1,775,596 
Netherlands       2,895,334        2,895,334 
Norway       2,948,452        2,948,452 
Portugal       468,198        468,198 
Republic of Korea       1,054,428        1,054,428 
Russia           +    
Singapore       936,887        936,887 
South Africa       4,804,276        4,804,276 
Spain       866,113        866,113 
Sweden       3,221,977        3,221,977 
United Kingdom   2,722,058    4,048,624        6,770,682 
United States   141,912,119    573,230        142,485,349 
Vietnam   1,284,826            1,284,826 
Zambia   1,909,688            1,909,688 
Preferred Stock                    
United States           1,688,788    1,688,788 
Mutual Funds   1,534,648            1,534,648 
Purchased Options       274,258        274,258 
Short-Term Investments   9,457,884    2,610,212        12,068,096 
Total Investments  $190,636,586   $71,265,890   $1,688,788   $263,591,264 
                     
Asset Derivatives                    
Forward Contracts  $   $236,202   $   $236,202 
Futures Contracts   203,705            203,705 
Swap Agreements       2,897        2,897 
Total  $203,705   $239,099   $   $442,804 
                     
Liability Derivatives                    
Forward Contracts  $   $(120,771)  $   $(120,771)
Futures Contracts   (61,329)           (61,329)
Total  $(61,329)  $(120,771)  $   $(182,100)
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price Small and Mid Cap Blend Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
Common Stock  $715,342,562   $15,250,436*  $1,602,667   $732,195,665 
Preferred Stock       862,455*   10,594,175    11,456,630 
Corporate Debt       92,526        92,526 
Warrants   664        14,944    15,608 
Short-Term Investments   29,345,964    1,447,304        30,793,268 
Total Investments  $744,689,190   $17,652,721   $12,211,786   $774,553,697 
Notes to Portfolio of Investments (Unaudited) (Continued)

 

MM Select T. Rowe Price U.S. Treasury Long-Term Index Fund
 
Asset Investments  Level 1   Level 2   Level 3   Total 
U.S. Government Agency Obligations and Instrumentalities  $   $648,663   $   $648,663 
U.S. Treasury Obligations       151,880,942        151,880,942 
Short-Term Investments   1,458,203    924,064        2,382,267 
Total Investments  $1,458,203   $153,453,669   $   $154,911,872 
                     
Liability Derivatives                    
Futures Contracts  $(287)  $   $   $(287)

 

*Includes foreign equity securities whose values were adjusted to reflect market trading of comparable securities or other correlated instruments after the close of trading in their respective foreign markets, as applicable.
**Unfunded bank loan commitments are valued at the unrealized appreciation (depreciation) on the commitment.
+Represents a security at $0 value as of June 30, 2023.

Notes to Portfolio of Investments (Unaudited) (Continued)

 

Derivative Instruments

Derivatives are financial instruments whose values are based on the values of one or more underlying indicators, such as a security, asset, currency, interest rate, or index. Derivative transactions can create investment leverage and may be highly volatile. Losses from derivatives can be substantially greater than the derivatives' original cost and can sometimes be unlimited. A Fund may not be able to close out a derivative transaction at a favorable time or price.

 

Please refer to the Funds’ most recent Annual/Semiannual reports and Prospectus(es) and Statement(s) of Additional Information which can be found on the SEC's EDGAR database on its website at http://www.sec.gov for more information regarding the derivatives and other investments held by the Fund(s).

 

Securities Lending

Each Fund, other than the MM Target Allocation Funds, MM RetireSMART by JPMorgan Funds, and MM Select T. Rowe Price Retirement Funds may lend its securities; however, lending cannot exceed 33% of the total assets of the Fund taken at current value. The Funds’ securities lending activities are governed by a Securities Lending Agency Agreement (“Lending Agreement”) between each Fund and the lending agent (“Agent”). The Lending Agreement authorizes the Agent to lend portfolio securities held by a Fund to approved borrowers (each, a “Borrower”).

 

Each Fund expects that in connection with any securities on loan, the loan will be secured continuously by collateral consisting of cash (U.S. currency) and/or securities (U.S. Treasury and Agency obligations) adjusted daily to have value at least equal to the current market value of the securities loaned. The market value of the loaned securities is determined at the close of business of a Fund and any additional collateral is delivered to the Fund the next business day. The Funds bear the risk of loss with respect to the investment of cash collateral. As with other extensions of credit, the Funds may bear the risk of delay in recovery of the loaned securities or even loss of rights in the collateral should the Borrower of the securities fail financially. Pursuant to the Lending Agreement, the Agent has provided indemnification to the Funds in the event of default by a Borrower with respect to a loan. The Funds receive compensation for lending their securities in the form of a securities loan fee paid by the Borrower, as well as a share of the income earned on investment of the cash collateral received for the loaned securities. At June 30, 2023, the Funds' collateral was equal to or greater than 100% of the market value of securities on loan and all of the Funds’ cash collateral was invested in the State Street Navigator Securities Lending Government Money Market Portfolio.

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

Subject to the terms of the Lending Agreement and the agreement between the Agent and the applicable Borrower (“Borrowing Agreement”), security loans can be terminated by the Agent, the Fund, or the Borrower and the related securities must be returned within the earlier of the customary settlement period for such securities or the period of time specified in the Borrowing Agreement.

 

Accounting for Investment Transactions

Investment transactions are accounted for on the trade date. Realized gains and losses on sales of investments and unrealized appreciation and depreciation of investments are computed by the specific identification cost method. Proceeds received from litigation, if any, are included in realized gains on investment transactions for any investments that are no longer held in the portfolio and as a reduction in cost for investments that continue to be held in the portfolio. Interest income, adjusted for amortization of discounts and premiums on debt securities, is earned from the settlement date and is recorded on the accrual basis. Dividend income is recorded on the ex-dividend date. Withholding taxes on foreign interest, dividends, and capital gains have been provided for in accordance with the applicable country's tax rules and rates. Foreign dividend income is recorded on the ex-dividend date or as soon as practicable after the Fund determines the existence of a dividend declaration after exercising reasonable due diligence. Distributions received on securities that represent a return of capital or capital gains are recorded as a reduction of cost of investments and/or as a realized gain.

 

Foreign Currency Translation

The books and records of the Funds are maintained in U.S. dollars. The market values of foreign currencies, foreign securities, and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars at the mean of the buying and selling rates of such currencies against the U.S. dollar at the end of each business day. Purchases and sales of foreign securities and income and expense items are translated at the rates of exchange prevailing on the respective dates of such transactions. The Funds do not isolate that portion of the results of operations arising from changes in the exchange rates from that portion arising from changes in the market prices of securities. Net realized foreign currency gains and losses resulting from changes in exchange rates include foreign currency gains and losses between trade date and settlement date on investment securities transactions, foreign currency transactions, and the difference between the amounts of dividends or interest recorded on the books of the Funds and the amount actually received.

 

Foreign Securities

The MM Select T. Rowe Price Real Assets Fund invests a significant amount of its assets in foreign securities and each of the Overseas Fund, MM Select T. Rowe Price International Equity Fund, and MM Select T. Rowe Price Emerging Markets Bond Fund invests substantially all of its assets in foreign securities. The other Funds and certain Underlying Funds may also invest in foreign securities. Foreign securities, including American Depositary Receipts, are subject to additional risks compared to securities of U.S. issuers, including international trade, currency, political, regulatory, public health, and diplomatic risks. In addition, fluctuations in currency exchange rates may favorably or unfavorably affect the values of foreign securities and the price of a Fund’s shares. Emerging markets securities are subject to greater risks than securities issued in developed foreign markets, including less liquidity, less stringent investor protection and disclosure standards, less reliable settlement practices, greater price volatility, higher relative rates of inflation, greater political, economic, and social instability, greater custody and operational risks, greater risk of new or inconsistent government treatment of or restrictions on issuers and instruments, and greater volatility in currency exchange rates, and are more susceptible to environmental problems.

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

Federal Income Tax

It is each Fund's intent to continue to comply with the provisions of Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to a regulated investment company. Under such provisions, the Funds would not be subject to federal income taxes on their ordinary income and net realized capital gains to the extent they are distributed or deemed to have been distributed to their shareholders. Therefore, the Funds have not made any provision for federal income tax.

 

Dividends and Distributions to Shareholders

Dividends from net investment income and distributions of any net realized capital gains of each Fund are declared and paid annually and at other times as may be required to satisfy tax or regulatory requirements.

 

Distributions to shareholders are recorded on the ex-dividend date. Income and capital gain distributions are determined in accordance with income tax regulations, which may differ from generally accepted accounting principles. As a result, net investment income and net realized capital gains on investment transactions for a reporting period may differ significantly from distributions during such period.

 

3. Federal Income Tax Information

At June 30, 2023, the aggregate cost of investments and the unrealized appreciation (depreciation) in the value of all investments owned by the Fund(s), as computed on a federal income tax basis, were as follows: 

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

  Federal Income
Tax Cost
  Tax Basis
Unrealized
Appreciation
  Tax Basis
Unrealized
(Depreciation)
  Net Unrealized
Appreciation
(Depreciation)
 
Total Return Bond Fund $1,001,560,057  $2,806,630  $(45,542,444) $(42,735,814)
Strategic Bond Fund  458,844,639   1,694,000   (32,393,748)  (30,699,748)
Diversified Value Fund  258,181,804   50,161,462   (7,254,234)  42,907,228 
Fundamental Value Fund  387,874,045   87,383,434   (15,581,397)  71,802,037 
S&P 500 Index Fund  1,375,076,915   1,261,683,034   (67,345,252)  1,194,337,782 
Equity Opportunities Fund  535,412,847   116,843,949   (9,190,655)  107,653,294 
Fundamental Growth Fund  27,166,471   4,244,070   (1,562,115)  2,681,955 
Blue Chip Growth Fund  1,604,584,682   981,542,662   (92,572,827)  888,969,835 
Growth Opportunities Fund  151,925,609   35,652,854   (12,109,741)  23,543,113 
Mid Cap Value Fund  112,854,973   8,957,837   (6,316,704)  2,641,133 
Small Cap Value Equity Fund  50,623,435   10,013,842   (3,667,268)  6,346,574 
Small Company Value Fund  221,614,678   18,710,980   (29,597,289)  (10,886,309)
Mid Cap Growth Fund  4,372,391,293   1,212,210,669   (204,558,538)  1,007,652,131 
Small Cap Growth Equity Fund  716,366,375   117,259,530   (34,898,150)  82,361,380 
Overseas Fund  414,189,354   92,831,213   (17,734,104)  75,097,109 
MM Select T. Rowe Price International Equity Fund  1,437,584,333   215,555,471   (104,344,212)  111,211,259 
20/80 Allocation Fund  190,946,454   683,726   (19,172,904)  (18,489,178)
40/60 Allocation Fund  197,283,119   1,427,217   (20,625,517)  (19,198,300)
60/40 Allocation Fund  182,970,606   1,604,512   (14,251,789)  (12,647,277)
80/20 Allocation Fund  137,147,769   1,962,504   (8,219,545)  (6,257,041)
MM RetireSMART by JPMorgan In Retirement Fund  86,879,323   575,889   (6,341,588)  (5,765,699)
MM RetireSMART by JPMorgan 2020 Fund  163,640,486   1,194,244   (11,631,058)  (10,436,814)
MM RetireSMART by JPMorgan 2025 Fund  156,101,634   907,085   (11,501,068)  (10,593,983)
MM RetireSMART by JPMorgan 2030 Fund  362,962,844   2,803,194   (26,131,994)  (23,328,800)
MM RetireSMART by JPMorgan 2035 Fund  165,144,290   987,649   (9,273,074)  (8,285,425)
MM RetireSMART by JPMorgan 2040 Fund  274,078,604   2,671,552   (14,929,619)  (12,258,067)
MM RetireSMART by JPMorgan 2045 Fund  123,168,347   795,906   (5,429,706)  (4,633,800)
MM RetireSMART by JPMorgan 2050 Fund  206,236,593   1,273,031   (9,517,390)  (8,244,359)
MM RetireSMART by JPMorgan 2055 Fund  65,509,383   528,952   (2,264,944)  (1,735,992)
MM RetireSMART by JPMorgan 2060 Fund  22,256,504   407,073   (398,103)  8,970 
MM RetireSMART by JPMorgan 2065 Fund  1,032,537   44,537   (9,411)  35,126 
Equity Asset Fund  266,548,735   81,251,104   (6,678,895)  74,572,209 
MM Select T. Rowe Price Bond Asset Fund  667,224,418   2,271,997   (39,593,422)  (37,321,425)
MM Select T. Rowe Price Emerging Markets Bond Fund  95,792,539   705,279   (14,630,813)  (13,925,534)
MM Select T. Rowe Price Large Cap Blend Fund  2,066,603,878   326,535,554   (58,383,757)  268,151,797 
MM Select T. Rowe Price Limited Duration Inflation Focused Bond Fund  206,536,693      (8,710,279)  (8,710,279)
MM Select T. Rowe Price Real Assets Fund  272,714,183   11,672,770   (20,795,689)  (9,122,919)
MM Select T. Rowe Price Small and Mid Cap Blend Fund  694,716,717   131,019,082   (51,182,102)  79,836,980 
MM Select T. Rowe Price U.S. Treasury Long-Term Index Fund  186,783,083   161,907   (32,033,118)  (31,871,211)
MM Select T. Rowe Price Retirement Balanced Fund  197,781,333   1,015,109   (22,066,928)  (21,051,819)
MM Select T. Rowe Price Retirement 2005 Fund  21,660,207      (1,845,007)  (1,845,007)
MM Select T. Rowe Price Retirement 2010 Fund  115,435,685   706,547   (13,271,036)  (12,564,489)
MM Select T. Rowe Price Retirement 2015 Fund  123,308,165   526,383   (12,847,628)  (12,321,245)
MM Select T. Rowe Price Retirement 2020 Fund  572,597,970   4,268,028   (54,133,244)  (49,865,216)
MM Select T. Rowe Price Retirement 2025 Fund  609,862,984   1,628,517   (55,538,581)  (53,910,064)
MM Select T. Rowe Price Retirement 2030 Fund  1,412,540,419   15,601,630   (88,256,070)  (72,654,440)
MM Select T. Rowe Price Retirement 2035 Fund  778,153,327   5,680,325   (44,306,766)  (38,626,441)
MM Select T. Rowe Price Retirement 2040 Fund  1,294,487,626   14,221,193   (49,359,128)  (35,137,935)
MM Select T. Rowe Price Retirement 2045 Fund  624,805,227   5,409,345   (26,426,262)  (21,016,917)
MM Select T. Rowe Price Retirement 2050 Fund  914,555,983   9,590,126   (30,599,568)  (21,009,442)
MM Select T. Rowe Price Retirement 2055 Fund  405,539,646   2,991,207   (17,913,712)  (14,922,505)
MM Select T. Rowe Price Retirement 2060 Fund  218,381,070   1,101,042   (10,088,234)  (8,987,192)
MM Select T. Rowe Price Retirement 2065 Fund  1,016,185   48,572   (4,278)  44,294 

 

 

 

Notes to Portfolio of Investments (Unaudited) (Continued)

 

4. New Accounting Pronouncements

In June 2022, FASB issued Accounting Standards Update 2022-03 — Fair Value Measurement (Topic 820) — Fair Value Measurement of Equity Securities Subject to Contractual Sale Restrictions (“ASU 2022-03”). ASU 2022-03 clarifies the guidance in Topic 820 to indicate that a contractual sale restriction should not be considered in the fair value of an equity security subject to such a restriction, and requires entities with investments in equity securities subject to contractual sale restrictions to disclose certain qualitative and quantitative information about such securities. ASU 2022-03 is effective for fiscal years, and interim periods within those fiscal years, beginning after December 15, 2023, and allows for early adoption. ASU 2022-03 will only be applicable to an equity security in which the contractual arrangement that restricts its sale is executed or modified on or after the adoption date. Management is currently evaluating the impact of applying this update.

 

5. Coronavirus (COVID-19) Pandemic 

The global pandemic outbreak of the novel coronavirus known as COVID-19 and efforts to contain its spread have produced, and may continue to produce, substantial market volatility, severe market dislocations and liquidity constraints in many markets, exchange trading suspensions and closures, higher default rates, and global business disruption, and they may result in future significant adverse effects. Such factors, and the effects of other infectious illness outbreaks, epidemics, or pandemics, may have a significant adverse effect on a Fund’s performance and have the potential to impair the ability of a Fund’s investment adviser, subadviser, or other service providers to serve the Fund and could lead to disruptions that negatively impact the Fund.

 

6. Russia-Ukraine War 

In February 2022, Russia commenced a large-scale military attack on Ukraine. The outbreak of hostilities between the two countries could result in more widespread conflict and could have a severe adverse effect on the regional and the global financial markets and economies. One or more of the Funds or Underlying Funds hold positions in securities or other instruments that are economically tied to Russia. Investments in Russia are subject to political, economic, legal, market, and currency risks, as well as the risks related to the economic sanctions on Russia, Russian individuals, and Russian corporate and banking entities imposed by the United States, other countries, and certain international organizations. Such sanctions — which affect companies in many sectors, including energy, financial services, and defense, among others — could adversely affect the global energy and financial markets and, thus, could affect the value of a Fund’s or an Underlying Fund's investments, even beyond any direct exposure the Fund or the Underlying Fund may have to Russian issuers or the adjoining geographic regions. These sanctions and any other intergovernmental actions (including retaliatory actions by the Russian government) may also result in a decline in the value and liquidity of Russian securities and a weakening of the ruble, and will impair a Fund's or an Underlying Fund's ability to buy, sell, receive, or deliver Russian securities. In addition, certain transactions have been or may be prohibited and/or existing investments have or may become illiquid (e.g., because transacting in certain existing investments is prohibited), which could cause a Fund or an Underlying Fund to sell other portfolio holdings at a disadvantageous time or price in order to meet shareholder redemptions.