NPORT-EX 2 equity.htm
Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)
Argentina – 0.2%
MercadoLibre, Inc.* 608 $387
Austria – 0.1%
Erste Group Bank A.G. 10,384 264
Brazil – 5.9%
Ambev S.A. ADR 1,062,963 2,668
Arezzo Industria e Comercio S.A. 31,200 416
Banco do Brasil S.A. 82,900 528
BB Seguridade Participacoes S.A. 226,300 1,124
CSN Mineracao S.A. 48,800 36
Hapvida Participacoes e Investimentos S.A.* 132,400 138
Hypera S.A.* 384,500 2,797
Localiza Rent a Car S.A. 105,100 1,052
Lojas Renner S.A.* 107,800 465
Suzano S.A. 333,153 3,171
TOTVS S.A.* 49,000 218
Vale S.A. 81,300 1,190
WEG S.A. 201,900 1,021
XP, Inc., Class A* 10,200 183
    15,007
Canada – 0.2%
First Quantum Minerals Ltd. 26,300 499
China – 26.0%
Airtac International Group 15,000 499
Alibaba Group Holding Ltd.* 336,700 4,803
Alibaba Group Holding Ltd. ADR* 2,778 316
ANTA Sports Products Ltd. 127,400 1,594
Baidu, Inc. ADR* 28,511 4,240
Baidu, Inc., Class A* 114,350 2,149
BYD Co. Ltd., Class H 70,000 2,820
Centre Testing International Group Co. Ltd., Class A 295,000 1,024
China Construction Bank Corp., Class H 2,103,000 1,414
China International Capital Corp. Ltd., Class H 688,400 1,491
China Longyuan Power Group Corp. Ltd., Class H 1,187,000 2,315
China Merchants Bank Co. Ltd., Class H 180,500 1,228
China Vanke Co. Ltd., Class H 426,300 1,089
China Yangtze Power Co. Ltd., Class A 304,900 1,054
Chongqing Brewery Co. Ltd., Class A 80,000 1,755
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
China – 26.0%continued
Contemporary Amperex Technology Co. Ltd., Class A 5,300 $424
Country Garden Holdings Co. Ltd. 321,000 202
Country Garden Services Holdings Co. Ltd. 156,500 712
Dongfeng Motor Group Co. Ltd., Class H 2,227,464 1,695
East Money Information Co. Ltd., Class A 369,300 1,404
Inner Mongolia Yili Industrial Group Co. Ltd., Class A 60,800 354
JD.com, Inc., Class A 124,995 4,042
Jiumaojiu International Holdings Ltd. 383,000 1,037
LONGi Green Energy Technology Co. Ltd., Class A 112,980 1,125
Luzhou Laojiao Co. Ltd., Class A 19,200 709
Meituan, Class B* 114,600 2,896
NARI Technology Co. Ltd., Class A 418,680 1,693
NetEase, Inc. 67,200 1,258
NetEase, Inc. ADR 4,440 413
Pinduoduo, Inc. ADR* 16,060 992
Ping An Insurance Group Co. of China Ltd., Class H 345,500 2,391
Shenzhen Inovance Technology Co. Ltd., Class A 96,500 951
Shenzhen Inovance Technology Co. Ltd., Class A (Hong Kong Exchange) 167,292 1,648
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A 9,900 464
Silergy Corp. 1,200 96
Sungrow Power Supply Co. Ltd., Class A 54,499 803
Tencent Holdings Ltd. 110,400 5,014
Topsports International Holdings Ltd. 48,516 44
Trip.com Group Ltd. ADR* 16,040 440
Want Want China Holdings Ltd. 2,034,969 1,775
Wuxi Lead Intelligent Equipment Co. Ltd., Class A 119,800 1,135
XPeng, Inc. ADR* 43,500 1,381
Yadea Group Holdings Ltd. 80,000 157
Yunnan Botanee Bio-Technology Group Co. Ltd., Class A 48,048 1,564
Yunnan Energy New Material Co. Ltd., Class A 30,200 1,133
    65,743
 
NORTHERN FUNDS QUARTERLY REPORT     1    EQUITY FUNDS

Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
Denmark – 0.2%
Novo Nordisk A/S, Class B 5,040 $559
Egypt – 0.5%
Commercial International Bank Egypt S.A.E. 679,220 1,347
France – 0.6%
LVMH Moet Hennessy Louis Vuitton S.E. 764 471
Teleperformance 3,494 1,075
    1,546
Germany – 0.2%
Bayer A.G. (Registered) 7,938 472
Greece – 0.2%
OPAP S.A. 40,490 582
Hong Kong – 1.5%
AIA Group Ltd. 251,000 2,757
Bosideng International Holdings Ltd. 984,000 612
SITC International Holdings Co. Ltd. 144,000 408
    3,777
India – 10.7%
Apollo Hospitals Enterprise Ltd. 6,034 282
Axis Bank Ltd.* 128,446 1,038
Bajaj Finance Ltd. 13,122 900
Bharat Electronics Ltd. 37,404 111
Bharti Airtel Ltd.* 214,408 1,862
HDFC Bank Ltd. 77,958 1,334
HDFC Bank Ltd. ADR 23,543 1,294
Hero MotoCorp Ltd. 89,109 3,074
Housing Development Finance Corp. Ltd. 85,288 2,351
ICICI Bank Ltd. ADR 44,233 785
Infosys Ltd. 10,703 199
Infosys Ltd. ADR 149,311 2,764
Reliance Industries Ltd. 183,139 6,030
Tata Consultancy Services Ltd. 122,193 5,064
    27,088
Indonesia – 3.0%
Astra International Tbk PT 6,424,408 2,855
Bank Central Asia Tbk PT 3,910,800 1,905
Bank Mandiri Persero Tbk PT 1,973,000 1,053
Sumber Alfaria Trijaya Tbk PT 2,396,000 328
Telkom Indonesia Persero Tbk PT 3,991,600 1,073
Vale Indonesia Tbk PT* 658,000 250
    7,464
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
Japan – 0.4%
Inpex Corp. 100,300 $1,082
Malaysia – 0.6%
Petronas Chemicals Group Bhd. 394,900 807
Public Bank Bhd. 802,400 796
    1,603
Mexico – 5.3%
Alfa S.A.B. de C.V., Class A 2,197,354 1,563
America Movil S.A.B. de C.V., Class L ADR 188,117 3,843
Grupo Aeroportuario del Pacifico S.A.B. de C.V., Class B 12,500 175
Grupo Aeroportuario del Sureste S.A.B. de C.V., Series B 9,960 196
Grupo Financiero Banorte S.A.B. de C.V., Series O 242,300 1,354
Grupo Mexico S.A.B. de C.V., Series B 150,697 628
Nemak S.A.B. de C.V.* 942,524 188
Wal-Mart de Mexico S.A.B. de C.V. 1,600,275 5,507
    13,454
Netherlands – 0.1%
ASML Holding N.V. 422 204
Norway – 0.0%
Norsk Hydro ASA 15,000 85
Peru – 1.1%
Cia de Minas Buenaventura S.A.A. ADR 107,606 710
Credicorp Ltd. 16,926 2,030
    2,740
Poland – 0.1%
Dino Polska S.A.* 3,778 270
Russia – 0.0%
Gazprom PJSC(2) 66,340
LUKOIL PJSC(2) 9,885
Moscow Exchange
MICEX-RTS PJSC(2) *
426,740
   
Saudi Arabia – 1.1%
Al Rajhi Bank 20,978 462
Alinma Bank 36,618 327
Saudi Arabian Oil Co. 15,610 161
Saudi National Bank (The) 77,150 1,357
Saudi Telecom Co. 13,116 340
    2,647
 
EQUITY FUNDS    2    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
Singapore – 0.4%
DBS Group Holdings Ltd. 50,900 $1,089
South Africa – 5.8%
Absa Group Ltd. 100,361 956
AngloGold Ashanti Ltd. 59,342 875
Aspen Pharmacare Holdings Ltd. 61,724 529
Bid Corp. Ltd. 86,067 1,638
Bidvest Group (The) Ltd. 275,964 3,556
Capitec Bank Holdings Ltd. 6,100 745
Clicks Group Ltd. 66,075 1,115
FirstRand Ltd. 364,992 1,402
Shoprite Holdings Ltd. 70,432 858
Standard Bank Group Ltd. 195,361 1,866
Truworths International Ltd. 338,741 1,062
    14,602
South Korea – 11.7%
Amorepacific Corp. 13,751 1,380
Hana Financial Group, Inc. 38,002 1,154
Hyundai Mobis Co. Ltd. 7,083 1,087
Hyundai Motor Co. 31,615 4,399
Kia Corp. 2,803 167
Korea Shipbuilding & Offshore Engineering Co. Ltd.* 18,817 1,362
LG H&H Co. Ltd. 2,468 1,294
NAVER Corp. 2,451 455
Orion Corp. 16,627 1,333
POSCO Holdings, Inc. 10,278 1,829
Samsung Biologics Co. Ltd.* 1,309 797
Samsung Electronics Co. Ltd. 213,079 9,334
Samsung SDI Co. Ltd. 1,263 518
Shinhan Financial Group Co. Ltd. 78,332 2,241
SK Hynix, Inc. 2,015 141
SK Telecom Co. Ltd. 49,254 1,975
S-Oil Corp. 1,808 144
    29,610
Switzerland – 0.3%
Nestle S.A. (Registered) 6,805 798
Taiwan – 7.6%
ASPEED Technology, Inc. 1,430 91
Chailease Holding Co. Ltd. 120,750 847
Chunghwa Telecom Co. Ltd. 243,000 999
CTBC Financial Holding Co. Ltd. 1,096,000 931
Delta Electronics, Inc. 41,500 307
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
Taiwan – 7.6%continued
Far EasTone Telecommunications Co. Ltd. 414,000 $1,163
Hon Hai Precision Industry Co. Ltd. 1,256,796 4,598
MediaTek, Inc. 8,700 190
Taiwan Semiconductor Manufacturing Co. Ltd. 388,000 6,180
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 49,330 4,033
    19,339
Thailand – 1.6%
Airports of Thailand PCL NVDR* 153,900 309
Bangkok Dusit Medical Services PCL NVDR 658,400 466
Bumrungrad Hospital PCL NVDR 87,900 445
CP ALL PCL (Registered) 662,000 1,124
Kasikornbank PCL NVDR 90,400 386
PTT Exploration & Production PCL NVDR 299,200 1,347
    4,077
Turkey – 0.7%
Turkiye Petrol Rafinerileri A.S.* 111,873 1,775
United Arab Emirates – 2.2%
Dubai Islamic Bank PJSC 464,718 729
Emaar Properties PJSC 2,099,211 2,977
First Abu Dhabi Bank PJSC 359,223 1,838
    5,544
United Kingdom – 1.3%
Anglo American PLC 29,375 1,049
AstraZeneca PLC ADR 7,800 515
BAE Systems PLC 60,487 612
Diageo PLC 9,428 407
Reckitt Benckiser Group PLC 3,382 254
Shell PLC (London Exchange) 20,390 532
    3,369
United States – 2.0%
Copa Holdings S.A., Class A* 5,200 330
Danaher Corp. 414 105
Estee Lauder (The) Cos., Inc., Class A 2,025 516
Microsoft Corp. 4,051 1,040
Samsonite International S.A.* 184,200 372
Schlumberger N.V. 9,800 350
Tenaris S.A. ADR 92,895 2,387
    5,100
 
NORTHERN FUNDS QUARTERLY REPORT     3    EQUITY FUNDS

Schedule of Investments
ACTIVE M EMERGING MARKETS EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 91.7% (1)continued
Uruguay – 0.1%
Globant S.A.* 1,243 $216
Total Common Stocks    
(Cost $225,355)   232,339
     
PARTICIPATION (EQUITY LINKED) NOTES – 0.7%
United Kingdom – 0.7%
Alinama Bank, Issued by HSBC PLC, Expires 4/4/24 110,907 987
Leejam Sports Co., Issued by HSBC Bank PLC, Expires 1/17/23 19,294 461
Saudi Arabian Oil Co., Issued by HSBC Bank PLC, Expires 2/28/24 30,167 312
    1,760
Total Participation (Equity Linked) Notes    
(Cost $1,928)   1,760
     
PREFERRED STOCKS – 2.1%
Brazil – 1.7%
Banco Bradesco S.A. ADR, 1.07%(3) 272,156 887
Itau Unibanco Holding S.A., 0.86%(3) 263,700 1,144
Itau Unibanco Holding S.A. ADR, 0.74%(3) 559,257 2,394
    4,425
Chile – 0.2%
Sociedad Quimica y Minera de Chile S.A. ADR, 3.11%(3) 4,972 415
South Korea – 0.2%
Samsung Electronics Co. Ltd., 2.78%(3) 12,542 503
Total Preferred Stocks    
(Cost $5,628)   5,343
     
INVESTMENT COMPANIES – 2.2%
iShares Core S&P 500 ETF 7,500 2,844
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(4) (5) 2,635,043 2,635
Total Investment Companies    
(Cost $6,008)   5,479
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.8%
U.S. Treasury Bill,
1.82%, 11/25/22(6) (7)
$1,990 $1,973
Total Short-Term Investments    
(Cost $1,975)   1,973
     
Total Investments – 97.5%    
(Cost $240,894)   246,894
Other Assets less Liabilities – 2.5%   6,447
Net Assets – 100.0%   $253,341
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
(4) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(5) 7-day current yield as of June 30, 2022 is disclosed.
(6) Discount rate at the time of purchase.
(7) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
ETF – Exchange-Traded Fund
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI Emerging Markets Index (United States Dollar) 76 $3,810 Long 9/22 $14
 
EQUITY FUNDS    4    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 17.7%
Hong Kong Dollar 17.5
Korean Won 11.9
Indian Rupee 8.8
Taiwan Dollar 6.3
South African Rand 5.8
Brazilian Real 5.3
Chinese Yuan Renminbi 5.2
All other currencies less than 5% 19.0
Total Investments 97.5
Other Assets less Liabilities 2.5
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Argentina $387 $$— $387
Brazil 15,007 15,007
Canada 499 499
China 7,782 57,961 65,743
India 4,843 22,245 27,088
Mexico 13,454 13,454
Peru 2,740 2,740
Taiwan 4,033 15,306 19,339
United Kingdom 515 2,854 3,369
United States 4,728 372 5,100
Uruguay 216 216
All Other Countries(1) 79,397 79,397
Total Common Stocks 54,204 178,135 232,339
Participation (Equity Linked) Notes 1,760 1,760
Preferred Stocks:        
South Korea 503 503
All Other Countries(1) 4,840 4,840
Total Preferred Stocks 4,840 503 5,343
Investment Companies 5,479 5,479
Short-Term Investments 1,973 1,973
Total Investments $64,523 $182,371 $— $246,894
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $14 $$— $14
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $17,729 $71,161 $86,255 $7 $2,635 2,635,043
NORTHERN FUNDS QUARTERLY REPORT     5    EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)
Argentina – 0.2%
MercadoLibre, Inc.* 1,014 $646
YPF S.A. ADR* 32,427 105
    751
Australia – 2.4%
Allkem Ltd.* 76,330 543
Atlassian Corp. PLC, Class A* 10,497 1,967
Bank of Queensland Ltd. 52,835 243
Beach Energy Ltd. 369,885 438
Charter Hall Group 33,393 250
CSL Ltd. 27,204 5,055
CSR Ltd. 55,951 157
Elders Ltd. 48,148 419
Iluka Resources Ltd. 44,706 291
Incitec Pivot Ltd. 114,563 264
JB Hi-Fi Ltd. 8,866 236
Nine Entertainment Co. Holdings Ltd. 165,080 208
OceanaGold Corp.* 30,467 58
OZ Minerals Ltd. 14,492 177
Pendal Group Ltd. 56,769 173
Seven Group Holdings Ltd. 18,469 212
Shopping Centres Australasia Property Group 148,200 281
Super Retail Group Ltd. 27,978 164
Technology One Ltd. 36,301 269
    11,405
Austria – 0.2%
ams-OSRAM A.G.* 37,451 338
Erste Group Bank A.G. 28,259 718
    1,056
Belgium – 0.2%
Ageas S.A./N.V. 23,877 1,051
Brazil – 0.6%
Atacadao S.A. 63,473 202
Cia de Saneamento Basico do Estado de Sao Paulo* 141,891 1,139
Telefonica Brasil S.A. 89,445 810
Ultrapar Participacoes S.A. 211,346 498
    2,649
Canada – 4.9%
Alimentation Couche-Tard, Inc. 23,866 931
ARC Resources Ltd. 96,306 1,214
ATS Automation Tooling Systems, Inc.* 13,649 375
AutoCanada, Inc.* 8,165 156
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Canada – 4.9%continued
Ballard Power Systems, Inc.* 6,857 $43
Barrick Gold Corp. 71,688 1,268
Boardwalk Real Estate Investment Trust 9,807 319
BRP, Inc. 8,106 499
Cameco Corp. 28,515 599
Canadian National Railway Co. 18,999 2,137
Canadian Pacific Railway Ltd. 89,510 6,251
Canfor Corp.* 11,327 198
Celestica, Inc.* 31,913 310
Descartes Systems Group (The), Inc.* 4,229 263
Dundee Precious Metals, Inc. 41,583 207
Element Fleet Management Corp. 27,750 289
Finning International, Inc. 19,457 410
Headwater Exploration, Inc.* 41,170 173
Kinross Gold Corp. 141,067 505
Laurentian Bank of Canada 6,355 191
Lululemon Athletica, Inc.* 13,412 3,656
Methanex Corp. 7,022 268
Parex Resources, Inc. 21,999 373
Shopify, Inc., Class A* 55,780 1,743
Stella-Jones, Inc. 7,279 184
TransAlta Corp. 10,350 118
Tricon Residential, Inc. 37,897 384
Vermilion Energy, Inc. 10,706 204
Yamana Gold, Inc. 37,269 173
    23,441
China – 1.9%
Beijing Capital International Airport Co. Ltd., Class H* 1,154,000 788
Dongfeng Motor Group Co. Ltd., Class H 1,340,646 1,020
Li Ning Co. Ltd. 317,000 2,997
Shenzhou International Group Holdings Ltd. 215,300 2,646
Tencent Holdings Ltd. 40,000 1,817
    9,268
Denmark – 1.5%
DSV A/S 12,536 1,756
Jyske Bank A/S (Registered)* 5,370 263
Novo Nordisk A/S, Class B 46,042 5,110
    7,129
Finland – 0.6%
Nokia OYJ 293,095 1,365
TietoEVRY OYJ 10,753 266
 
EQUITY FUNDS    6    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Finland – 0.6%continued
Valmet OYJ 14,964 $368
Wartsila OYJ Abp 98,042 764
    2,763
France – 10.9%
Air Liquide S.A. 14,825 2,004
Alstom S.A. 94,058 2,153
Amundi S.A.(2) 505 28
Arkema S.A. 2,780 251
AXA S.A. 164,427 3,737
BNP Paribas S.A. 47,230 2,249
Carrefour S.A. 96,758 1,717
Cie de Saint-Gobain 38,363 1,666
Criteo S.A. ADR* 7,729 189
Danone S.A. 46,212 2,597
Dassault Aviation S.A. 4,672 729
Dassault Systemes S.E. 8,869 329
Edenred 5,153 244
Eiffage S.A. 5,746 522
Elis S.A. 21,682 292
Engie S.A. 151,796 1,762
Faurecia S.E.* 11,553 233
Ipsen S.A. 1,681 159
Kering S.A. 1,310 681
Klepierre S.A.* 21,210 408
La Francaise des Jeux S.A.E.M.(2) 7,048 245
LVMH Moet Hennessy Louis Vuitton S.E. 9,334 5,760
Nexans S.A. 3,477 272
Nexity S.A. 9,048 244
Orange S.A. 115,710 1,361
Pernod Ricard S.A. 22,464 4,161
Renault S.A.* 30,944 783
Rexel S.A.* 54,428 838
Sanofi 27,761 2,807
Schneider Electric S.E. 20,382 2,415
SCOR S.E. 24,053 517
Societe Generale S.A. 56,045 1,229
SOITEC* 2,160 311
Sopra Steria Group 2,522 380
SPIE S.A. 15,291 334
TotalEnergies S.E. 104,046 5,484
Valeo 35,248 690
Vallourec S.A.* 36,631 438
Vinci S.A. 17,898 1,608
    51,827
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Germany – 5.2%
adidas A.G. 9,927 $1,756
AIXTRON S.E. 10,972 278
Aurubis A.G. 3,520 239
Bayer A.G. (Registered) 24,642 1,464
Bechtle A.G. 6,629 271
CECONOMY A.G. 74,629 208
Continental A.G. 12,136 846
Daimler Truck Holding A.G.* 46,838 1,223
Dermapharm Holding S.E. 3,205 160
Deutsche Pfandbriefbank A.G. 32,447 292
Deutsche Telekom A.G. (Registered) 57,246 1,137
DWS Group GmbH & Co. KGaA 8,117 212
Freenet A.G. 12,433 308
Fresenius S.E. & Co. KGaA 50,541 1,531
GEA Group A.G. 7,986 275
Gerresheimer A.G. 4,245 276
HeidelbergCement A.G. 29,021 1,394
HUGO BOSS A.G. 4,541 240
K+S A.G. (Registered) 13,078 318
LANXESS A.G. 5,939 213
Mercedes-Benz Group A.G. 15,697 908
ProSiebenSat.1 Media S.E. 24,821 229
Rheinmetall A.G. 3,054 705
RTL Group S.A. 14,370 600
RWE A.G. 54,720 2,017
SAP S.E. 48,341 4,404
Siemens A.G. (Registered) 4,225 430
Siemens Healthineers A.G.(2) 45,431 2,309
TAG Immobilien A.G. 15,181 173
United Internet A.G. (Registered) 9,369 267
VERBIO Vereinigte BioEnergie A.G. 2,992 151
    24,834
Hong Kong – 1.7%
AIA Group Ltd. 483,711 5,313
ASM Pacific Technology Ltd. 27,000 230
China High Precision Automation Group Ltd.(3) * 982,000
CK Asset Holdings Ltd. 197,052 1,396
Hysan Development Co. Ltd. 75,000 226
LK Technology Holdings Ltd. 192,500 370
Pacific Basin Shipping Ltd. 659,000 255
 
NORTHERN FUNDS QUARTERLY REPORT     7    EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Hong Kong – 1.7%continued
United Laboratories International Holdings (The) Ltd. 212,000 $126
WH Group Ltd.(2) 561,627 434
    8,350
Indonesia – 0.3%
Bank Mandiri Persero Tbk PT 2,548,390 1,361
Ireland – 5.4%
Accenture PLC, Class A 23,686 6,577
AIB Group PLC 271,882 625
Bank of Ireland Group PLC 73,240 463
Bank of Ireland Group PLC (London Exchange) 179,742 1,132
Dalata Hotel Group PLC* 60,781 221
Experian PLC 170,333 4,993
Glanbia PLC 25,246 273
ICON PLC* 36,915 8,000
Medtronic PLC 21,454 1,926
Ryanair Holdings PLC ADR* 25,845 1,738
    25,948
Israel – 0.1%
Inmode Ltd.* 9,060 203
Perion Network Ltd.* 19,050 347
Radware Ltd.* 7,668 166
    716
Italy – 3.7%
Assicurazioni Generali S.p.A. 70,480 1,129
Banco BPM S.p.A. 76,899 221
BPER Banca 330,542 544
Buzzi Unicem S.p.A. 14,378 236
Enel S.p.A. 582,332 3,201
Eni S.p.A. 170,181 2,022
Ferrari N.V. 22,292 4,111
Iren S.p.A. 117,766 258
Reply S.p.A. 3,285 400
UniCredit S.p.A. 552,402 5,297
    17,419
Japan – 12.6%
Alfresa Holdings Corp. 38,873 523
Alps Alpine Co. Ltd. 48,649 494
ASKUL Corp. 15,800 189
BayCurrent Consulting, Inc. 1,200 320
Benesse Holdings, Inc. 2,917 47
CKD Corp. 16,000 204
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Japan – 12.6%continued
Daihen Corp. 6,500 $201
Dai-ichi Life Holdings, Inc. 71,769 1,325
DeNA Co. Ltd. 36,970 515
DMG Mori Co. Ltd. 13,900 172
Ebara Corp. 4,700 176
Eiken Chemical Co. Ltd. 15,400 202
Eisai Co. Ltd. 7,646 323
FANUC Corp. 20,300 3,182
Fuji Media Holdings, Inc. 24,510 208
Fuji Soft, Inc. 4,700 269
Fujikura Ltd. 33,000 187
FULLCAST Holdings Co. Ltd. 10,800 173
GungHo Online Entertainment, Inc. 13,000 230
H.U. Group Holdings, Inc. 13,200 287
Hino Motors Ltd. 139,074 715
Honda Motor Co. Ltd. 97,751 2,365
INFRONEER Holdings, Inc.* 28,900 206
Inpex Corp. 90,408 976
Internet Initiative Japan, Inc. 15,500 543
Invincible Investment Corp. 609 179
Isuzu Motors Ltd. 94,534 1,042
Japan Airlines Co. Ltd.* 58,853 1,031
Jeol Ltd. 4,200 162
JGC Holdings Corp. 73,580 956
Kamigumi Co. Ltd. 24,110 467
Kaneka Corp. 8,000 197
Kenedix Office Investment Corp. 43 216
Keyence Corp. 9,320 3,190
Kirin Holdings Co. Ltd. 60,033 946
Komeri Co. Ltd. 9,700 189
Kumagai Gumi Co. Ltd. 9,000 183
Lasertec Corp. 23,200 2,739
Makita Corp. 30,907 771
Mitsubishi Estate Co. Ltd. 88,020 1,278
Mitsubishi Heavy Industries Ltd. 18,320 641
Mitsubishi UFJ Financial Group, Inc. 348,834 1,866
Morinaga Milk Industry Co. Ltd. 4,800 172
MS&AD Insurance Group Holdings, Inc. 45,365 1,391
Murata Manufacturing Co. Ltd. 26,500 1,435
NEC Networks & System Integration Corp. 17,400 235
Nikon Corp. 59,296 686
Nippon Accommodations Fund, Inc. 47 236
 
EQUITY FUNDS    8    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Japan – 12.6%continued
Nippon Electric Glass Co. Ltd. 17,800 $339
Nippon Suisan Kaisha Ltd. 62,000 262
Nippon Television Holdings, Inc. 45,882 408
Nissan Motor Co. Ltd. 223,398 871
Nomura Holdings, Inc. 107,303 392
North Pacific Bank Ltd. 88,300 145
Ono Pharmaceutical Co. Ltd. 71,588 1,838
Open House Group Co. Ltd. 11,100 442
Outsourcing, Inc. 21,100 161
Rengo Co. Ltd. 43,400 235
Resona Holdings, Inc. 401,587 1,504
Resorttrust, Inc. 14,300 234
Sankyo Co. Ltd. 7,500 227
Sankyu, Inc. 6,000 173
Sanwa Holdings Corp. 22,400 215
Sawai Group Holdings Co. Ltd. 6,300 191
Shimamura Co. Ltd. 12,884 1,131
Shinko Electric Industries Co. Ltd. 19,500 499
Stanley Electric Co. Ltd. 36,885 606
Starts Corp., Inc. 9,500 195
Subaru Corp. 63,562 1,131
Sumitomo Electric Industries Ltd. 100,753 1,114
Sumitomo Forestry Co. Ltd. 17,800 253
Sumitomo Heavy Industries Ltd. 30,173 667
Sumitomo Mitsui Financial Group, Inc. 78,081 2,319
Sumitomo Mitsui Trust Holdings, Inc. 44,147 1,360
Sumitomo Rubber Industries Ltd. 46,241 395
Suzuken Co. Ltd. 7,800 220
T&D Holdings, Inc. 147,341 1,761
Taiheiyo Cement Corp. 29,821 444
Taiyo Yuden Co. Ltd. 7,700 262
Takeda Pharmaceutical Co. Ltd. 53,872 1,514
Takeuchi Manufacturing Co. Ltd. 11,500 197
TechnoPro Holdings, Inc. 10,100 203
THK Co. Ltd. 40,186 755
Tokyo Ohka Kogyo Co. Ltd. 3,500 171
Tokyo Seimitsu Co. Ltd. 6,300 206
Tokyotokeiba Co. Ltd. 4,600 133
Toyo Tire Corp. 23,900 299
Tsuruha Holdings, Inc. 10,787 586
Ushio, Inc. 19,600 243
Valor Holdings Co. Ltd. 11,000 148
West Holdings Corp. 6,700 180
Yamato Holdings Co. Ltd. 67,300 1,076
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Japan – 12.6%continued
Zenkoku Hosho Co. Ltd. 7,900 $248
Zeon Corp. 15,200 147
    60,340
Macau – 0.5%
Sands China Ltd.* 892,800 2,180
Malaysia – 0.1%
CIMB Group Holdings Bhd. 566,557 638
Mexico – 0.1%
America Movil S.A.B. de C.V., Class L ADR 13,811 282
Netherlands – 4.7%
Aalberts N.V. 6,558 258
ABN AMRO Bank N.V. - C.V.A. 86,475 972
Adyen N.V.(2) * 2,612 3,840
Akzo Nobel N.V. 26,521 1,752
Argenx S.E. ADR* 1,203 456
ASM International N.V. 10,026 2,532
ASML Holding N.V. 2,430 1,173
ASML Holding N.V. (Registered) 9,178 4,368
ASR Nederland N.V. 10,606 431
BE Semiconductor Industries N.V. 4,094 197
Euronext N.V. 3,223 264
Fugro N.V.* 29,397 371
ING Groep N.V. 279,757 2,776
Koninklijke Philips N.V. 112,801 2,448
PostNL N.V. 102,906 314
Signify N.V. 12,135 406
VEON Ltd. ADR(4) * 172,707 79
    22,637
Norway – 0.1%
Norsk Hydro ASA 28,513 161
Sparebanken Vest 20,889 185
    346
Russia – 0.0%
Gazprom PJSC ADR(3) (4) 54,380
LUKOIL PJSC ADR(3) (4) 4,766
Mobile TeleSystems PJSC ADR(3) (4) 64,508
Sberbank of Russia PJSC (Moscow Exchange)(3) (4) * 186,456
   
 
NORTHERN FUNDS QUARTERLY REPORT     9    EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Singapore – 0.1%
Frasers Logistics & Commercial Trust 334,000 $320
Sembcorp Industries Ltd. 185,000 380
    700
South Africa – 0.2%
MTN Group Ltd. 25,132 204
Old Mutual Ltd. 772,999 525
    729
South Korea – 2.8%
Cosmax, Inc. 2,076 91
Coway Co. Ltd. 19,364 954
Daeduck Electronics Co. Ltd./New 3,585 72
Dentium Co. Ltd. 1,244 82
Hankook Tire & Technology Co. Ltd. 18,522 471
Hyundai Mobis Co. Ltd. 5,825 894
JYP Entertainment Corp. 6,282 234
KB Financial Group, Inc. 35,248 1,309
KCC Corp. 740 164
KT Corp. ADR 101,101 1,411
LEENO Industrial, Inc. 1,908 191
LG Innotek Co. Ltd. 1,246 328
Lotte Chilsung Beverage Co. Ltd. 1,992 269
LOTTE Fine Chemical Co. Ltd. 4,092 207
LX Semicon Co. Ltd. 3,005 221
Osstem Implant Co. Ltd. 2,741 212
Partron Co. Ltd. 25,191 164
PharmaResearch Co. Ltd. 3,269 170
Samsung Electronics Co. Ltd. 67,989 2,978
Samsung Engineering Co. Ltd.* 18,950 316
Shinhan Financial Group Co. Ltd. 52,873 1,513
SK Hynix, Inc. 13,097 916
Youngone Corp. 5,187 154
    13,321
Spain – 3.6%
Acerinox S.A. 29,922 290
Aena S.M.E. S.A.* 13,332 1,696
Amadeus IT Group S.A.* 132,111 7,423
Applus Services S.A. 25,996 180
Banco Bilbao Vizcaya Argentaria S.A. 145,546 661
Bankinter S.A. 72,452 452
CaixaBank S.A. 622,741 2,167
Cia de Distribucion Integral Logista Holdings S.A. 14,764 289
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Spain – 3.6%continued
Corp. ACCIONA Energias Renovables S.A. 6,385 $246
Iberdrola S.A. 114,823 1,191
Industria de Diseno Textil S.A. 74,301 1,683
Laboratorios Farmaceuticos Rovi S.A. 6,837 421
Merlin Properties Socimi S.A. 24,591 237
    16,936
Sweden – 2.3%
Atlas Copco AB, Class A 183,218 1,714
Cibus Nordic Real Estate AB 11,046 171
Dometic Group AB 23,897 140
Evolution AB 58,657 5,341
Intrum AB 11,790 225
Saab AB, Class B 5,151 213
SKF AB, Class B 68,102 1,003
Swedbank AB, Class A 124,902 1,580
Trelleborg AB, Class B 12,134 245
Wihlborgs Fastigheter AB 37,006 259
    10,891
Switzerland – 7.7%
Adecco Group A.G. (Registered) 44,829 1,525
Alcon, Inc. 62,061 4,335
Bucher Industries A.G. (Registered) 952 333
Cie Financiere Richemont S.A., Class A (Registered) 4,279 456
Forbo Holding A.G. (Registered) 157 209
Galenica A.G. 5,242 403
Holcim A.G.* 35,684 1,528
Julius Baer Group Ltd. 11,714 541
Lonza Group A.G. (Registered) 4,090 2,181
Nestle S.A. (Registered) 35,844 4,205
Novartis A.G. (Registered) 71,792 6,073
PSP Swiss Property A.G. (Registered) 4,157 462
Roche Holding A.G. (Genusschein) 8,562 2,858
Siegfried Holding A.G. (Registered)* 333 213
Sika A.G. (Registered) 16,700 3,853
Sulzer A.G. (Registered) 3,778 235
Swatch Group (The) A.G. (Bearer) 4,006 951
Swissquote Group Holding S.A. (Registered) 1,963 200
Tecan Group A.G. (Registered) 848 248
Temenos A.G. (Registered) 12,450 1,063
UBS Group A.G. (Registered) 164,598 2,657
 
EQUITY FUNDS    10    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Switzerland – 7.7%continued
Vontobel Holding A.G. (Registered) 6,050 $425
Zurich Insurance Group A.G. 4,115 1,791
    36,745
Taiwan – 0.9%
Catcher Technology Co. Ltd. 158,719 886
Hon Hai Precision Industry Co. Ltd. 290,538 1,063
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 27,532 2,251
    4,200
Thailand – 0.4%
Kasikornbank PCL (Registered) 76,047 324
Kasikornbank PCL NVDR 317,005 1,352
    1,676
Turkey – 0.1%
Turk Telekomunikasyon A.S. 643,579 339
Turkcell Iletisim Hizmetleri A.S. 353,613 343
    682
United Kingdom – 14.0%
888 Holdings PLC 103,050 212
Abcam PLC* 17,155 247
Airtel Africa PLC 140,835 232
Anglo American PLC 34,506 1,232
AstraZeneca PLC 52,748 6,914
Atlantica Sustainable Infrastructure PLC 7,360 237
Babcock International Group PLC* 139,395 526
BAE Systems PLC 50,787 514
Barclays PLC 1,106,955 2,072
BP PLC 950,540 4,477
British American Tobacco PLC 37,036 1,587
British Land (The) Co. PLC 117,563 640
BT Group PLC 562,992 1,278
Bunzl PLC 26,860 889
Capricorn Energy PLC* 109,427 291
Centrica PLC* 518,221 508
Compass Group PLC 119,654 2,450
Computacenter PLC 15,456 442
Cranswick PLC 6,400 240
CVS Group PLC 11,233 226
Drax Group PLC 30,079 236
easyJet PLC* 214,271 958
Endeavour Mining PLC 35,714 739
Ferguson PLC 21,583 2,417
Future PLC 12,805 271
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
United Kingdom – 14.0%continued
GSK PLC 60,985 $1,311
IG Group Holdings PLC 28,437 240
IMI PLC 23,413 334
Inchcape PLC 36,973 313
J Sainsbury PLC 305,174 758
Kingfisher PLC 176,816 526
Land Securities Group PLC 80,750 653
LondonMetric Property PLC 104,663 291
Man Group PLC/Jersey 85,792 261
Marks & Spencer Group PLC* 247,954 411
Micro Focus International PLC 48,558 165
OSB Group PLC 57,759 341
Pets at Home Group PLC 51,931 195
Prudential PLC 278,571 3,465
Reckitt Benckiser Group PLC 40,090 3,011
Redrow PLC 49,380 294
RELX PLC 48,879 1,327
RELX PLC (London Exchange) 48,958 1,322
Rolls-Royce Holdings PLC* 3,872,827 3,917
RS GROUP PLC 27,217 288
Safestore Holdings PLC 32,156 416
Sage Group (The) PLC 287,120 2,221
Savills PLC 16,505 204
Serco Group PLC 179,683 381
Shell PLC 46,143 1,197
Shell PLC (London Exchange) 173,229 4,521
Spirent Communications PLC 81,367 246
Standard Chartered PLC 265,386 2,001
Tate & Lyle PLC 24,867 227
Travis Perkins PLC 14,024 166
Tritax Big Box REIT PLC 79,862 177
Unilever PLC (London Exchange) 83,332 3,793
Virgin Money UK PLC 89,223 142
Vistry Group PLC 23,846 243
WPP PLC 157,673 1,585
    66,778
United States – 4.5%
Aon PLC, Class A 30,290 8,169
EPAM Systems, Inc.* 7,966 2,348
International Game Technology PLC 13,153 244
Mettler-Toledo International, Inc.* 2,233 2,565
Reliance Worldwide Corp. Ltd. 74,699 209
ResMed, Inc. 19,286 4,043
 
NORTHERN FUNDS QUARTERLY REPORT     11    EQUITY FUNDS

Schedule of Investments
ACTIVE M INTERNATIONAL EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
United States – 4.5%continued
SSR Mining, Inc. 9,567 $160
STERIS PLC 18,804 3,876
    21,614
Uruguay – 0.1%
Globant S.A.* 3,940 686
Total Common Stocks    
(Cost $423,179)   451,349
     
PREFERRED STOCKS – 0.2% (1)
Germany – 0.2%
Henkel A.G. & Co. KGaA, 3.15%(5) 15,076 929
Total Preferred Stocks    
(Cost $1,154)   929
     
INVESTMENT COMPANIES – 2.7%
iShares Core MSCI EAFE ETF 7,037 414
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(6) (7) 11,413,372 11,413
Vanguard FTSE Developed Markets ETF 23,355 953
Total Investment Companies    
(Cost $12,947)   12,780
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.9%
U.S. Treasury Bill,
1.82%, 11/25/22(8) (9)
$4,460 $4,423
Total Short-Term Investments    
(Cost $4,427)   4,423
     
Total Investments – 98.4%    
(Cost $441,707)   469,481
Other Assets less Liabilities – 1.6%   7,510
Net Assets – 100.0%   $476,991
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(3) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(4) Restricted security that has been deemed illiquid. At June 30, 2022, the value of these restricted illiquid securities amounted to approximately $79,000 or 0.0% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Gazprom PJSC ADR,
0.41%
9/27/17-12/29/21 $242
LUKOIL PJSC ADR,
3.26%
9/27/17-2/9/22 254
Mobile TeleSystems PJSC ADR,
0.72%
1/28/22-2/11/22 498
Sberbank of Russia PJSC (Moscow Exchange),
385.50%
1/3/19-11/25/20 625
VEON Ltd. ADR,
0.24%
11/22/19-2/9/22 376
    
(5) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
(6) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(7) 7-day current yield as of June 30, 2022 is disclosed.
(8) Discount rate at the time of purchase.
(9) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
EAFE – Europe, Australasia and the Far East
 
ETF – Exchange-Traded Fund
 
FTSE – Financial Times Stock Exchange
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
 
REIT – Real Estate Investment Trust
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI EAFE Index (United States Dollar) 83 $7,705 Long 09/22 $(129)
 
EQUITY FUNDS    12    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
Euro 29.1%
United States Dollar 17.4
British Pound 14.4
Japanese Yen 12.6
Swiss Franc 7.8
All other currencies less than 5% 17.1
Total Investments 98.4
Other Assets less Liabilities 1.6
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Argentina $751 $$— $751
Australia 2,025 9,380 11,405
Brazil 2,649 2,649
Canada 23,441 23,441
France 189 51,638 51,827
Germany 1,394 23,440 24,834
Hong Kong 255 8,095 8,350
Ireland 18,241 7,707 25,948
Israel 716 716
Mexico 282 282
Netherlands 5,100 17,537 22,637
South Korea 1,623 11,698 13,321
Taiwan 2,251 1,949 4,200
United Kingdom 976 65,802 66,778
United States 21,405 209 21,614
Uruguay 686 686
All Other Countries(1) 171,910 171,910
Total Common Stocks 81,984 369,365 451,349
Preferred Stocks 929 929
Investment Companies 12,780 12,780
Short-Term Investments 4,423 4,423
Total Investments $94,764 $374,717 $— $469,481
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(129) $$— $(129)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $35,464 $65,873 $89,924 $15 $11,413 11,413,372
NORTHERN FUNDS QUARTERLY REPORT     13    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)
Australia – 0.0%
MMG Ltd.* 744,000 $277
Brazil – 3.4%
Ambev S.A. 1,150,060 2,940
Americanas S.A.* 153,707 396
Atacadao S.A. 111,900 356
B3 S.A. - Brasil Bolsa Balcao 1,487,395 3,129
Banco Bradesco S.A. 380,277 1,043
Banco BTG Pactual S.A.* 292,600 1,252
Banco do Brasil S.A. 208,744 1,330
Banco Santander Brasil S.A. 91,236 501
BB Seguridade Participacoes S.A. 170,101 845
BRF S.A.* 145,120 377
CCR S.A. 289,700 696
Centrais Eletricas Brasileiras S.A. 257,100 2,268
Cia de Saneamento Basico do Estado de Sao Paulo* 83,571 671
Cia Siderurgica Nacional S.A. 165,690 488
Cosan S.A. 296,088 1,029
CPFL Energia S.A. 56,900 336
Energisa S.A. 47,900 369
Engie Brasil Energia S.A. 52,247 411
Equatorial Energia S.A. 246,870 1,079
Hapvida Participacoes e Investimentos S.A.* 1,129,384 1,178
Hypera S.A.* 100,058 728
JBS S.A. 202,036 1,222
Klabin S.A. 190,441 735
Localiza Rent a Car S.A. 146,266 1,464
Lojas Renner S.A.* 241,746 1,043
Magazine Luiza S.A.* 739,600 334
Natura & Co. Holding S.A. 214,101 552
Petro Rio S.A.* 172,000 722
Petroleo Brasileiro S.A. 897,134 5,239
Raia Drogasil S.A. 260,692 959
Rede D'Or Sao Luiz S.A. 97,300 539
Rumo S.A. 311,594 949
Suzano S.A. 181,885 1,731
Telefonica Brasil S.A. 123,173 1,115
TIM S.A.* 206,595 504
TOTVS S.A.* 132,955 592
Ultrapar Participacoes S.A. 170,248 401
Vale S.A. 972,013 14,231
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Brazil – 3.4%continued
Vibra Energia S.A. 283,300 $903
WEG S.A. 407,248 2,058
    56,715
Chile – 0.3%
Banco de Chile 10,917,897 993
Banco de Credito e Inversiones S.A. 12,280 360
Banco Santander Chile 15,996,645 646
Cencosud S.A. 334,360 426
Cia Cervecerias Unidas S.A. 35,749 226
Cia Sud Americana de Vapores S.A. 3,744,431 335
Empresas CMPC S.A. 269,838 448
Empresas Copec S.A. 93,505 690
Enel Americas S.A. 6,129,482 582
Enel Chile S.A. 6,209,246 140
Falabella S.A. 178,955 419
    5,265
China – 31.8%
360 DigiTech, Inc. ADR 21,969 380
360 Security Technology, Inc., Class A 112,500 143
37 Interactive Entertainment Network Technology Group Co. Ltd., Class A 24,100 77
3SBio, Inc. 355,000 283
AAC Technologies Holdings, Inc. 175,000 404
Advanced Micro-Fabrication Equipment, Inc. China, Class A* 10,146 177
AECC Aero-Engine Control Co. Ltd., Class A 19,700 83
AECC Aviation Power Co. Ltd., Class A 42,100 288
Agricultural Bank of China Ltd., Class A 1,255,300 567
Agricultural Bank of China Ltd., Class H 7,073,367 2,682
Aier Eye Hospital Group Co. Ltd., Class A 81,415 546
Air China Ltd., Class A* 107,800 187
Air China Ltd., Class H* 440,705 384
Airtac International Group 33,765 1,124
Alibaba Group Holding Ltd.* 3,690,480 52,644
A-Living Smart City Services Co. Ltd. 137,000 224
Aluminum Corp. of China Ltd., Class A* 210,100 150
Aluminum Corp. of China Ltd., Class H 911,435 351
Amlogic Shanghai Co. Ltd., Class A* 6,175 93
Angel Yeast Co. Ltd., Class A 7,700 56
Anhui Conch Cement Co. Ltd., Class A 66,700 352
Anhui Conch Cement Co. Ltd., Class H 292,075 1,277
Anhui Gujing Distillery Co. Ltd., Class A 5,200 194
 
EQUITY FUNDS    14    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Anhui Gujing Distillery Co. Ltd., Class B 28,000 $437
Anhui Honglu Steel Construction Group Co. Ltd., Class A 2,990 15
Anhui Kouzi Distillery Co. Ltd., Class A 9,600 84
Anhui Yingjia Distillery Co. Ltd., Class A 9,500 93
Anjoy Foods Group Co. Ltd., Class A 4,100 103
ANTA Sports Products Ltd. 296,632 3,712
Apeloa Pharmaceutical Co. Ltd., Class A 9,400 29
Asia - Potash International Investment Guangzhou Co. Ltd., Class A* 11,600 60
Asymchem Laboratories Tianjin Co. Ltd., Class A 3,100 134
Autohome, Inc. ADR 17,871 703
Avary Holding Shenzhen Co. Ltd., Class A 34,700 157
AVIC Electromechanical Systems Co. Ltd., Class A 56,100 104
AVIC Industry-Finance Holdings Co. Ltd., Class A 127,300 66
AviChina Industry & Technology Co. Ltd., Class H 576,313 335
AVICOPTER PLC, Class A 9,300 63
Baidu, Inc., Class A* 549,032 10,320
Bank of Beijing Co. Ltd., Class A 358,100 243
Bank of Changsha Co. Ltd., Class A 50,200 60
Bank of Chengdu Co. Ltd., Class A 54,800 136
Bank of China Ltd., Class A 531,800 259
Bank of China Ltd., Class H* 19,274,652 7,722
Bank of Communications Co. Ltd., Class A 560,200 417
Bank of Communications Co. Ltd., Class H 2,136,117 1,476
Bank of Hangzhou Co. Ltd., Class A 82,420 185
Bank of Jiangsu Co. Ltd., Class A 195,044 208
Bank of Nanjing Co. Ltd., Class A 147,996 230
Bank of Ningbo Co. Ltd., Class A 98,350 527
Bank of Shanghai Co. Ltd., Class A 234,371 229
Baoshan Iron & Steel Co. Ltd., Class A 332,796 300
BBMG Corp., Class A 139,100 58
Beijing Capital International Airport Co. Ltd., Class H* 450,000 307
Beijing Dabeinong Technology Group Co. Ltd., Class A* 40,700 48
Beijing Easpring Material Technology Co. Ltd., Class A 6,500 88
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Beijing Enlight Media Co. Ltd., Class A 44,100 $62
Beijing Kingsoft Office Software, Inc., Class A 7,466 220
Beijing New Building Materials PLC, Class A 20,100 104
Beijing Originwater Technology Co. Ltd., Class A 56,200 44
Beijing Roborock Technology Co. Ltd., Class A 1,075 99
Beijing Shiji Information Technology Co. Ltd., Class A 11,900 28
Beijing Shunxin Agriculture Co. Ltd., Class A 2,400 10
Beijing Sinnet Technology Co. Ltd., Class A 23,000 36
Beijing Tiantan Biological Products Corp. Ltd., Class A 12,240 44
Beijing United Information Technology Co. Ltd., Class A 8,555 113
Beijing Wantai Biological Pharmacy Enterprise Co. Ltd., Class A 7,970 185
Beijing Yuanliu Hongyuan Electronic Technology Co. Ltd., Class A 1,900 38
Beijing-Shanghai High Speed Railway Co. Ltd., Class A 586,200 440
Betta Pharmaceuticals Co. Ltd., Class A 6,800 62
BGI Genomics Co. Ltd., Class A 7,800 84
Bilibili, Inc., Class Z* 42,571 1,101
Bloomage Biotechnology Corp. Ltd., Class A 4,950 105
BOC International China Co. Ltd., Class A 52,000 104
BOE Technology Group Co. Ltd., Class A 511,700 301
BTG Hotels Group Co. Ltd., Class A 18,600 69
BYD Co. Ltd., Class A 26,100 1,308
BYD Co. Ltd., Class H 200,699 8,084
BYD Electronic International Co. Ltd. 154,000 485
By-health Co. Ltd., Class A 27,200 88
Caitong Securities Co. Ltd., Class A 80,210 94
CanSino Biologics, Inc., Class A* 1,522 45
CanSino Biologics, Inc., Class H* 23,200 238
CECEP Solar Energy Co. Ltd., Class A 45,600 57
CECEP Wind-Power Corp., Class A 77,400 56
CGN Power Co. Ltd., Class H 2,490,000 607
Chacha Food Co. Ltd., Class A 3,900 33
 
NORTHERN FUNDS QUARTERLY REPORT     15    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Changchun High & New Technology Industry Group, Inc., Class A 6,800 $238
Changjiang Securities Co. Ltd., Class A 129,400 115
Changzhou Xingyu Automotive Lighting Systems Co. Ltd., Class A 2,700 69
Chaozhou Three-Circle Group Co. Ltd., Class A 30,900 139
Chengtun Mining Group Co. Ltd., Class A 38,900 45
Chengxin Lithium Group Co. Ltd., Class A 13,600 123
Chifeng Jilong Gold Mining Co. Ltd., Class A* 19,100 45
China Baoan Group Co. Ltd., Class A 19,900 40
China Cinda Asset Management Co. Ltd., Class H 2,339,000 367
China CITIC Bank Corp. Ltd., Class H 2,127,286 956
China Coal Energy Co. Ltd., Class H 500,000 429
China Communications Services Corp. Ltd., Class H 517,035 228
China Conch Venture Holdings Ltd. 400,500 873
China Construction Bank Corp., Class A 152,900 139
China Construction Bank Corp., Class H 23,355,693 15,703
China CSSC Holdings Ltd., Class A 57,900 164
China Eastern Airlines Corp. Ltd., Class A* 145,900 120
China Energy Engineering Corp. Ltd.* 425,400 151
China Everbright Bank Co. Ltd., Class A 582,700 262
China Everbright Bank Co. Ltd., Class H 824,000 267
China Evergrande Group 1,126,411 149
China Feihe Ltd. 845,000 973
China Galaxy Securities Co. Ltd., Class A 73,900 107
China Galaxy Securities Co. Ltd., Class H 840,500 486
China Great Wall Securities Co. Ltd., Class A 72,100 110
China Greatwall Technology Group Co. Ltd., Class A 30,000 49
China Hongqiao Group Ltd. 543,500 624
China International Capital Corp. Ltd., Class A 12,400 83
China International Capital Corp. Ltd., Class H 379,200 821
China Jushi Co. Ltd., Class A 51,222 133
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
China Lesso Group Holdings Ltd. 274,000 $415
China Life Insurance Co. Ltd., Class A 43,900 204
China Life Insurance Co. Ltd., Class H 1,799,544 3,123
China Literature Ltd.* 106,200 523
China Longyuan Power Group Corp. Ltd., Class H 799,473 1,559
China Medical System Holdings Ltd. 328,000 513
China Meheco Co. Ltd., Class A 22,960 51
China Meidong Auto Holdings Ltd. 136,000 429
China Merchants Bank Co. Ltd., Class A 304,279 1,921
China Merchants Bank Co. Ltd., Class H 946,933 6,441
China Merchants Securities Co. Ltd., Class A 119,110 257
China Merchants Shekou Industrial Zone Holdings Co. Ltd., Class A 114,700 231
China Minmetals Rare Earth Co. Ltd., Class A 14,300 67
China Minsheng Banking Corp. Ltd., Class A 531,740 296
China Minsheng Banking Corp. Ltd., Class H 1,524,654 545
China National Building Material Co. Ltd., Class H 944,000 1,011
China National Chemical Engineering Co. Ltd., Class A 72,500 102
China National Nuclear Power Co. Ltd., Class A 268,298 276
China Northern Rare Earth Group High-Tech Co. Ltd., Class A 56,400 297
China Oilfield Services Ltd., Class H 440,757 437
China Pacific Insurance Group Co. Ltd., Class A 95,300 335
China Pacific Insurance Group Co. Ltd., Class H 645,137 1,581
China Petroleum & Chemical Corp., Class A 490,700 299
China Petroleum & Chemical Corp., Class H 6,248,628 2,808
China Railway Group Ltd., Class A 312,500 287
China Railway Group Ltd., Class H 998,827 622
China Railway Signal & Communication Corp. Ltd., Class A 110,341 75
China Resources Microelectronics Ltd., Class A 17,447 154
China Resources Mixc Lifestyle Services Ltd. 167,200 840
 
EQUITY FUNDS    16    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
China Resources Sanjiu Medical & Pharmaceutical Co. Ltd., Class A 15,200 $102
China Shenhua Energy Co. Ltd., Class A 99,600 494
China Shenhua Energy Co. Ltd., Class H 818,636 2,373
China Southern Airlines Co. Ltd., Class A* 176,800 193
China Southern Airlines Co. Ltd., Class H* 468,530 271
China State Construction Engineering Corp. Ltd., Class A 626,080 498
China Suntien Green Energy Corp. Ltd., Class H 396,000 205
China Three Gorges Renewables Group Co. Ltd., Class A 418,300 394
China Tourism Group Duty Free Corp. Ltd., Class A 28,600 999
China Tower Corp. Ltd., Class H 10,766,000 1,387
China United Network Communications Ltd., Class A 473,700 245
China Vanke Co. Ltd., Class A 149,700 461
China Vanke Co. Ltd., Class H 408,172 1,042
China Yangtze Power Co. Ltd., Class A 332,200 1,148
China Zhenhua Group Science & Technology Co. Ltd., Class A 10,000 203
China Zheshang Bank Co. Ltd., Class A 194,100 96
Chinasoft International Ltd.* 680,000 694
Chongqing Brewery Co. Ltd., Class A 5,300 116
Chongqing Changan Automobile Co. Ltd., Class A 109,668 284
Chongqing Fuling Zhacai Group Co. Ltd., Class A 7,500 39
Chongqing Rural Commercial Bank Co. Ltd., Class A 136,800 76
Chongqing Zhifei Biological Products Co. Ltd., Class A 22,400 372
CIFI Ever Sunshine Services Group Ltd. 180,000 233
CIFI Holdings Group Co. Ltd. 1,002,581 510
CITIC Ltd. 1,452,803 1,475
CITIC Securities Co. Ltd., Class A 177,145 574
CITIC Securities Co. Ltd., Class H 508,900 1,140
CMOC Group Ltd., Class A 236,400 203
CMOC Group Ltd., Class H 891,000 507
CNGR Advanced Material Co. Ltd., Class A 4,100 76
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
CNNC Hua Yuan Titanium Dioxide Co. Ltd., Class A 44,225 $47
Contemporary Amperex Technology Co. Ltd., Class A 34,500 2,763
COSCO SHIPPING Development Co. Ltd., Class A 118,200 53
COSCO SHIPPING Energy Transportation Co. Ltd., Class A 28,200 44
COSCO SHIPPING Holdings Co. Ltd., Class A 177,680 370
COSCO SHIPPING Holdings Co. Ltd., Class H 783,650 1,096
Country Garden Holdings Co. Ltd. 2,005,886 1,264
Country Garden Services Holdings Co. Ltd. 489,000 2,225
CRRC Corp. Ltd., Class A 349,300 272
CRRC Corp. Ltd., Class H 1,021,000 380
CSC Financial Co. Ltd., Class A 66,300 287
CSPC Pharmaceutical Group Ltd. 2,181,360 2,171
Daan Gene Co. Ltd., Class A 24,160 62
Dali Foods Group Co. Ltd. 493,500 263
Daqin Railway Co. Ltd., Class A 194,400 191
Daqo New Energy Corp. ADR* 14,351 1,024
DaShenLin Pharmaceutical Group Co. Ltd., Class A 6,744 32
DHC Software Co. Ltd., Class A 8,000 8
Do-Fluoride New Materials Co. Ltd., Class A 11,200 82
Dong-E-E-Jiao Co. Ltd., Class A 11,200 62
Dongfang Electric Corp. Ltd., Class A 42,400 104
Dongfeng Motor Group Co. Ltd., Class H 651,169 496
Dongxing Securities Co. Ltd., Class A 68,400 91
Dongyue Group Ltd. 361,000 453
East Money Information Co. Ltd., Class A 194,820 741
Ecovacs Robotics Co. Ltd., Class A 5,100 93
ENN Energy Holdings Ltd. 192,879 3,173
ENN Natural Gas Co. Ltd., Class A 31,600 88
Eve Energy Co. Ltd., Class A* 28,496 416
Everbright Securities Co. Ltd., Class A 41,698 99
Fangda Carbon New Material Co. Ltd., Class A* 55,582 63
FAW Jiefang Group Co. Ltd., Class A 17,300 24
Fiberhome Telecommunication Technologies Co. Ltd., Class A 3,400 7
 
NORTHERN FUNDS QUARTERLY REPORT     17    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
First Capital Securities Co. Ltd., Class A 72,300 $69
Flat Glass Group Co. Ltd., Class A 26,000 148
Flat Glass Group Co. Ltd., Class H* 103,000 367
Focus Media Information Technology Co. Ltd., Class A 243,600 246
Foshan Haitian Flavouring & Food Co. Ltd., Class A 54,836 741
Fosun International Ltd. 586,365 543
Founder Securities Co. Ltd., Class A 133,500 134
Foxconn Industrial Internet Co. Ltd., Class A 149,900 220
Fujian Sunner Development Co. Ltd., Class A 20,900 60
Fuyao Glass Industry Group Co. Ltd., Class A 33,492 209
Fuyao Glass Industry Group Co. Ltd., Class H 141,600 729
Ganfeng Lithium Co. Ltd., Class A 16,600 369
Ganfeng Lithium Co. Ltd., Class H 85,120 954
G-bits Network Technology Xiamen Co. Ltd., Class A 1,300 75
GCL System Integration Technology Co. Ltd., Class A* 78,000 43
GD Power Development Co. Ltd., Class A 268,600 157
GDS Holdings Ltd., Class A* 177,080 749
GEM Co. Ltd., Class A 78,800 107
Gemdale Corp., Class A 56,900 115
Genscript Biotech Corp.* 282,000 1,025
GF Securities Co. Ltd., Class A 82,593 231
GF Securities Co. Ltd., Class H 279,400 370
Giant Network Group Co. Ltd., Class A 7,600 10
Gigadevice Semiconductor Beijing, Inc., Class A 8,880 189
Ginlong Technologies Co. Ltd., Class A 4,650 148
GoerTek, Inc., Class A 49,700 250
Gotion High-tech Co. Ltd., Class A 19,400 133
Great Wall Motor Co. Ltd., Class A 34,400 191
Great Wall Motor Co. Ltd., Class H 751,296 1,554
Gree Electric Appliances, Inc. of Zhuhai, Class A 39,000 197
Greentown China Holdings Ltd. 216,500 449
Greentown Service Group Co. Ltd. 326,000 370
GRG Banking Equipment Co. Ltd., Class A 71,600 99
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Guangdong Haid Group Co. Ltd., Class A 22,900 $205
Guangdong Kinlong Hardware Products Co. Ltd., Class A 3,400 66
Guanghui Energy Co. Ltd., Class A 102,200 160
Guangzhou Automobile Group Co. Ltd., Class A 72,700 166
Guangzhou Automobile Group Co. Ltd., Class H 721,664 700
Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd., Class A 21,900 103
Guangzhou Haige Communications Group, Inc. Co., Class A 64,500 88
Guangzhou Kingmed Diagnostics Group Co. Ltd., Class A 7,000 86
Guangzhou Shiyuan Electronic Technology Co. Ltd., Class A 8,200 93
Guangzhou Tinci Materials Technology Co. Ltd., Class A 28,480 265
Guangzhou Yuexiu Financial Holdings Group Co. Ltd., Class A 37,347 39
Guolian Securities Co. Ltd., Class A 59,300 109
Guosen Securities Co. Ltd., Class A 104,800 150
Guotai Junan Securities Co. Ltd., Class A 102,800 234
Guoyuan Securities Co. Ltd., Class A 79,560 74
Haidilao International Holding Ltd.* 274,000 655
Haier Smart Home Co. Ltd., Class A 97,997 403
Haier Smart Home Co. Ltd., Class H 553,400 2,079
Haitian International Holdings Ltd. 159,000 407
Haitong Securities Co. Ltd., Class A 156,600 230
Haitong Securities Co. Ltd., Class H 668,033 491
Hangzhou First Applied Material Co. Ltd., Class A 18,684 183
Hangzhou Lion Electronics Co. Ltd., Class A 10,000 101
Hangzhou Oxygen Plant Group Co. Ltd., Class A 16,400 77
Hangzhou Robam Appliances Co. Ltd., Class A 7,600 41
Hangzhou Silan Microelectronics Co. Ltd., Class A 17,200 134
Hangzhou Tigermed Consulting Co. Ltd., Class A 2,400 41
Hangzhou Tigermed Consulting Co. Ltd., Class H 36,000 417
 
EQUITY FUNDS    18    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Hansoh Pharmaceutical Group Co. Ltd. 306,000 $618
Heilongjiang Agriculture Co. Ltd., Class A 30,600 68
Henan Shenhuo Coal & Power Co. Ltd., Class A 34,200 67
Henan Shuanghui Investment & Development Co. Ltd., Class A 52,300 229
Hengan International Group Co. Ltd. 155,398 730
Hengli Petrochemical Co. Ltd., Class A 84,760 282
Hengtong Optic-electric Co. Ltd., Class A 50,100 109
Hengyi Petrochemical Co. Ltd., Class A 57,330 90
Hesteel Co. Ltd., Class A 142,400 48
Hithink RoyalFlush Information Network Co. Ltd., Class A 9,300 134
Hongfa Technology Co. Ltd., Class A 10,780 68
Hoshine Silicon Industry Co. Ltd., Class A 9,600 170
Hua Hong Semiconductor Ltd.* 143,000 516
Huadian Power International Corp. Ltd., Class A 121,800 72
Huadong Medicine Co. Ltd., Class A 22,720 154
Huafon Chemical Co. Ltd., Class A 78,500 99
Huagong Tech Co. Ltd., Class A 3,100 11
Huaibei Mining Holdings Co. Ltd., Class A 38,100 83
Hualan Biological Engineering, Inc., Class A 29,570 101
Huaneng Power International, Inc., Class A 184,300 194
Huaneng Power International, Inc., Class H 842,501 424
Huatai Securities Co. Ltd., Class A 125,200 266
Huatai Securities Co. Ltd., Class H 357,200 535
Huaxi Securities Co. Ltd., Class A 7,200 8
Huaxia Bank Co. Ltd., Class A 156,390 122
Huaxin Cement Co. Ltd., Class A 10,700 31
Huayu Automotive Systems Co. Ltd., Class A 42,200 145
Huazhu Group Ltd. ADR 47,499 1,810
Hubei Xingfa Chemicals Group Co. Ltd., Class A 17,300 114
Huizhou Desay Sv Automotive Co. Ltd., Class A 7,900 175
Humanwell Healthcare Group Co. Ltd., Class A 13,900 33
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Hunan Valin Steel Co. Ltd., Class A 105,500 $80
Hundsun Technologies, Inc., Class A 18,189 118
Hygeia Healthcare Holdings Co. Ltd. 81,200 542
Iflytek Co. Ltd., Class A 40,200 248
Imeik Technology Development Co. Ltd., Class A 2,400 215
Industrial & Commercial Bank of China Ltd., Class A 873,600 623
Industrial & Commercial Bank of China Ltd., Class H 13,749,023 8,173
Industrial Bank Co. Ltd., Class A 293,200 873
Industrial Securities Co. Ltd., Class A 133,000 140
Ingenic Semiconductor Co. Ltd., Class A 4,400 70
Inner Mongolia BaoTou Steel Union Co. Ltd., Class A 602,400 212
Inner Mongolia Dian Tou Energy Corp. Ltd., Class A 29,200 63
Inner Mongolia ERDOS Resources Co. Ltd., Class A 18,200 49
Inner Mongolia Junzheng Energy & Chemical Industry Group Co. Ltd., Class A 68,300 50
Inner Mongolia Yili Industrial Group Co. Ltd., Class A 95,700 557
Inner Mongolia Yitai Coal Co. Ltd., Class B 262,200 429
Inner Mongolia Yuan Xing Energy Co. Ltd., Class A 53,900 85
Innovent Biologics, Inc.* 250,000 1,139
Inspur Electronic Information Industry Co. Ltd., Class A 23,456 93
Intco Medical Technology Co. Ltd., Class A 10,620 40
iQIYI, Inc. ADR* 83,783 352
JA Solar Technology Co. Ltd., Class A 34,440 406
Jafron Biomedical Co. Ltd., Class A 13,500 103
Jason Furniture Hangzhou Co. Ltd., Class A 8,450 72
JCET Group Co. Ltd., Class A 37,900 153
JD Health International, Inc.* 272,850 2,194
JD.com, Inc., Class A 487,666 15,768
Jiangsu Eastern Shenghong Co. Ltd., Class A 54,800 139
Jiangsu Expressway Co. Ltd., Class H 336,000 338
Jiangsu Hengli Hydraulic Co. Ltd., Class A 16,468 152
 
NORTHERN FUNDS QUARTERLY REPORT     19    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Jiangsu Hengrui Medicine Co. Ltd., Class A 92,885 $516
Jiangsu King's Luck Brewery JSC Ltd., Class A 17,800 136
Jiangsu Yanghe Brewery Joint-Stock Co. Ltd., Class A 23,900 655
Jiangsu Yangnong Chemical Co. Ltd., Class A 5,300 106
Jiangsu Yoke Technology Co. Ltd., Class A 7,700 64
Jiangsu Yuyue Medical Equipment & Supply Co. Ltd., Class A 8,300 32
Jiangsu Zhongtian Technology Co. Ltd., Class A* 52,400 182
Jiangxi Copper Co. Ltd., Class A 33,099 88
Jiangxi Copper Co. Ltd., Class H 265,000 367
Jiangxi Special Electric Motor Co. Ltd., Class A* 26,300 99
Jiangxi Zhengbang Technology Co. Ltd., Class A* 7,500 7
Jinke Properties Group Co. Ltd., Class A 89,000 38
Jinxin Fertility Group Ltd. 375,000 347
JiuGui Liquor Co. Ltd., Class A 3,600 100
Jiumaojiu International Holdings Ltd. 179,000 485
Jizhong Energy Resources Co. Ltd., Class A 54,400 61
Joincare Pharmaceutical Group Industry Co. Ltd., Class A 34,700 64
Joinn Laboratories China Co. Ltd., Class A 2,520 43
Jointown Pharmaceutical Group Co. Ltd., Class A 23,300 41
Jonjee Hi-Tech Industrial And Commercial Holding Co. Ltd., Class A* 4,900 25
Juewei Food Co. Ltd., Class A 6,300 54
Kangmei Pharmaceutical Co. Ltd.(2) * 5,336
Kanzhun Ltd. ADR* 19,832 521
KE Holdings, Inc. ADR* 78,297 1,405
Keda Industrial Group Co. Ltd. 29,800 92
Kingdee International Software Group Co. Ltd.* 634,000 1,520
Kingfa Sci & Tech Co. Ltd., Class A 43,600 62
Kingsoft Corp. Ltd. 231,903 909
Kuaishou Technology* 424,600 4,762
Kuang-Chi Technologies Co. Ltd., Class A* 35,800 92
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Kunlun Tech Co. Ltd., Class A 19,700 $47
Kweichow Moutai Co. Ltd., Class A 18,395 5,643
LB Group Co. Ltd., Class A 29,400 88
Lenovo Group Ltd. 1,796,000 1,682
Lens Technology Co. Ltd., Class A 60,300 100
Lepu Medical Technology Beijing Co. Ltd., Class A 17,300 48
Li Auto, Inc. ADR* 133,041 5,097
Li Ning Co. Ltd. 573,500 5,421
Liaoning Port Co. Ltd., Class A 253,500 65
Lingyi iTech Guangdong Co., Class A* 118,000 88
Livzon Pharmaceutical Group, Inc., Class A 10,600 57
Logan Group Co. Ltd.(2) 383,000 111
Longfor Group Holdings Ltd. 441,731 2,128
LONGi Green Energy Technology Co. Ltd., Class A 110,771 1,103
Lufax Holding Ltd. ADR 205,256 1,232
Luoyang Xinqianglian Slewing Bearing Co. Ltd., Class A 4,080 54
Luxi Chemical Group Co. Ltd., Class A* 17,200 44
Luxshare Precision Industry Co. Ltd., Class A 111,605 565
Luzhou Laojiao Co. Ltd., Class A 20,600 761
Maanshan Iron & Steel Co. Ltd., Class A 92,100 52
Mango Excellent Media Co. Ltd., Class A* 22,070 110
Maxscend Microelectronics Co. Ltd., Class A 6,880 139
Meinian Onehealth Healthcare Holdings Co. Ltd., Class A* 21,176 18
Meituan, Class B* 995,300 25,151
Metallurgical Corp. of China Ltd., Class A 281,200 147
Microport Scientific Corp.* 157,200 466
Ming Yang Smart Energy Group Ltd., Class A 32,200 163
Ming Yuan Cloud Group Holdings Ltd. 157,000 256
Minth Group Ltd. 180,000 493
Montage Technology Co. Ltd., Class A 13,959 126
Muyuan Foods Co. Ltd., Class A 73,578 608
Nanjing King-Friend Biochemical Pharmaceutical Co. Ltd., Class A 20,904 88
Nanjing Securities Co. Ltd., Class A 54,800 68
NARI Technology Co. Ltd., Class A 102,722 415
 
EQUITY FUNDS    20    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
National Silicon Industry Group Co. Ltd., Class A* 33,524 $115
NAURA Technology Group Co. Ltd., Class A 7,400 306
NavInfo Co. Ltd., Class A 33,500 76
NetEase, Inc. 504,075 9,434
New China Life Insurance Co. Ltd., Class A 36,100 174
New China Life Insurance Co. Ltd., Class H 203,652 579
New Hope Liuhe Co. Ltd., Class A* 53,500 122
New Oriental Education & Technology Group, Inc.* 356,120 729
Ninestar Corp., Class A 20,400 154
Ningbo Deye Technology Co. Ltd., Class A 2,200 92
Ningbo Joyson Electronic Corp., Class A(3) * 200
Ningbo Orient Wires & Cables Co. Ltd., Class A 10,500 121
Ningbo Ronbay New Energy Technology Co. Ltd., Class A 7,198 140
Ningbo Shanshan Co. Ltd., Class A 24,200 108
Ningbo Tuopu Group Co. Ltd., Class A 16,700 171
Ningxia Baofeng Energy Group Co. Ltd., Class A 85,100 187
NIO, Inc. ADR* 319,477 6,939
Nongfu Spring Co. Ltd., Class H 430,200 2,501
North Industries Group Red Arrow Co. Ltd., Class A* 21,100 92
Northeast Securities Co. Ltd., Class A 40,300 42
Offshore Oil Engineering Co. Ltd., Class A 50,500 31
OFILM Group Co. Ltd., Class A* 45,000 45
Oppein Home Group, Inc., Class A 8,620 194
Orient Securities Co. Ltd., Class A 102,839 157
Ovctek China, Inc., Class A 8,900 76
Pangang Group Vanadium Titanium & Resources Co. Ltd., Class A* 131,000 74
People's Insurance Co. Group of China (The) Ltd., Class A 161,000 122
People's Insurance Co. Group of China (The) Ltd., Class H 1,907,535 584
Perfect World Co. Ltd., Class A 15,050 32
PetroChina Co. Ltd., Class A 314,400 248
PetroChina Co. Ltd., Class H 5,131,438 2,415
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Pharmaron Beijing Co. Ltd., Class A 12,750 $182
Pharmaron Beijing Co. Ltd., Class H 46,950 472
PICC Property & Casualty Co. Ltd., Class H 1,677,359 1,749
Pinduoduo, Inc. ADR* 106,756 6,598
Ping An Bank Co. Ltd., Class A* 273,500 613
Ping An Healthcare and Technology Co. Ltd.* 126,100 382
Ping An Insurance Group Co. of China Ltd., Class A 160,435 1,120
Ping An Insurance Group Co. of China Ltd., Class H 1,537,406 10,641
Pingdingshan Tianan Coal Mining Co. Ltd., Class A 34,900 71
Poly Developments and Holdings Group Co. Ltd., Class A 186,800 489
Pop Mart International Group Ltd. 138,000 669
Postal Savings Bank of China Co. Ltd., Class A 402,100 324
Postal Savings Bank of China Co. Ltd., Class H 1,922,000 1,535
Power Construction Corp. of China Ltd., Class A 240,000 283
Proya Cosmetics Co. Ltd., Class A 1,700 42
Qingdao Rural Commercial Bank Corp., Class A 80,300 40
Raytron Technology Co. Ltd., Class A 7,223 43
Riyue Heavy Industry Co. Ltd., Class A 15,700 60
RLX Technology, Inc. ADR* 111,696 238
Rongsheng Petro Chemical Co. Ltd., Class A 150,900 348
SAIC Motor Corp. Ltd., Class A 105,093 280
Sailun Group Co. Ltd., Class A 48,300 81
Sangfor Technologies, Inc., Class A 6,700 104
Sany Heavy Equipment International Holdings Co. Ltd. 256,000 275
Sany Heavy Industry Co. Ltd., Class A 126,400 360
Satellite Chemical Co. Ltd., Class A 31,258 121
SDIC Power Holdings Co. Ltd., Class A 114,300 179
Sealand Securities Co. Ltd., Class A 95,440 52
Seazen Group Ltd.* 457,714 231
Seazen Holdings Co. Ltd., Class A 38,194 146
SF Holding Co. Ltd., Class A 72,000 601
SG Micro Corp., Class A 4,500 122
Shaanxi Coal Industry Co. Ltd., Class A 135,300 430
 
NORTHERN FUNDS QUARTERLY REPORT     21    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Shan Xi Hua Yang Group New Energy Co. Ltd., Class A 37,400 $86
Shandong Buchang Pharmaceuticals Co. Ltd., Class A 6,956 21
Shandong Gold Mining Co. Ltd., Class A 45,337 124
Shandong Gold Mining Co. Ltd., Class H 195,750 339
Shandong Hualu Hengsheng Chemical Co. Ltd., Class A 27,340 119
Shandong Linglong Tyre Co. Ltd., Class A 17,500 66
Shandong Nanshan Aluminum Co. Ltd., Class A 188,800 104
Shandong Sun Paper Industry JSC Ltd., Class A 32,500 60
Shandong Weigao Group Medical Polymer Co. Ltd., Class H 584,116 689
Shanghai Bairun Investment Holding Group Co. Ltd., Class A 17,640 79
Shanghai Baosight Software Co. Ltd., Class A 13,000 106
Shanghai Baosight Software Co. Ltd., Class B 89,900 380
Shanghai Construction Group Co. Ltd., Class A 87,900 40
Shanghai Electric Group Co. Ltd., Class A 161,200 99
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class A 35,400 233
Shanghai Fosun Pharmaceutical Group Co. Ltd., Class H 113,500 421
Shanghai Friendess Electronic Technology Corp. Ltd., Class A 2,567 85
Shanghai International Airport Co. Ltd., Class A* 10,200 87
Shanghai International Port Group Co. Ltd., Class A 106,500 93
Shanghai Jinjiang International Hotels Co. Ltd., Class A 13,800 130
Shanghai Junshi Biosciences Co. Ltd., Class A* 9,421 106
Shanghai Lingang Holdings Corp. Ltd., Class A 43,980 89
Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd., Class B 292,801 258
Shanghai M&G Stationery, Inc., Class A 10,400 87
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Shanghai Medicilon, Inc., Class A 1,218 $62
Shanghai Pharmaceuticals Holding Co. Ltd., Class A 47,600 129
Shanghai Pharmaceuticals Holding Co. Ltd., Class H 168,047 279
Shanghai Pudong Development Bank Co. Ltd., Class A 428,192 513
Shanghai Putailai New Energy Technology Co. Ltd., Class A 22,960 290
Shanghai RAAS Blood Products Co. Ltd., Class A 94,600 84
Shanghai Yuyuan Tourist Mart Group Co. Ltd., Class A 54,500 77
Shanghai Zhangjiang High-Tech Park Development Co. Ltd., Class A 23,500 44
Shanxi Coking Coal Energy Group Co. Ltd., Class A 75,920 153
Shanxi Lu'an Environmental Energy Development Co. Ltd., Class A 36,200 79
Shanxi Meijin Energy Co. Ltd., Class A 56,000 102
Shanxi Securities Co. Ltd., Class A 100,630 86
Shanxi Taigang Stainless Steel Co. Ltd., Class A 43,700 36
Shanxi Xinghuacun Fen Wine Factory Co. Ltd., Class A 18,360 892
Shenghe Resources Holding Co. Ltd., Class A 15,300 52
Shengyi Technology Co. Ltd., Class A 26,300 67
Shennan Circuits Co. Ltd., Class A 8,380 118
Shenwan Hongyuan Group Co. Ltd., Class A 302,200 194
Shenzhen Capchem Technology Co. Ltd., Class A 6,660 52
Shenzhen Dynanonic Co. Ltd., Class A 2,400 147
Shenzhen Energy Group Co. Ltd., Class A 106,655 102
Shenzhen Inovance Technology Co. Ltd., Class A 38,000 374
Shenzhen Kangtai Biological Products Co. Ltd., Class A 11,360 77
Shenzhen Kedali Industry Co. Ltd., Class A 5,400 129
Shenzhen Mindray Bio-Medical Electronics Co. Ltd., Class A 17,700 830
Shenzhen New Industries Biomedical Engineering Co. Ltd., Class A 9,800 66
 
EQUITY FUNDS    22    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Shenzhen Overseas Chinese Town Co. Ltd., Class A 112,400 $109
Shenzhen S.C. New Energy Technology Corp., Class A 5,300 71
Shenzhen Salubris Pharmaceuticals Co. Ltd., Class A 18,000 76
Shenzhen Senior Technology Material Co. Ltd., Class A 17,231 75
Shenzhen Sunlord Electronics Co. Ltd., Class A 3,400 14
Shenzhen Transsion Holdings Co. Ltd., Class A 10,391 139
Shenzhou International Group Holdings Ltd. 199,400 2,451
Shijiazhuang Yiling Pharmaceutical Co. Ltd., Class A 26,740 97
Sichuan Chuantou Energy Co. Ltd., Class A 78,100 139
Sichuan Hebang Biotechnology Co. Ltd., Class A 135,700 86
Sichuan Kelun Pharmaceutical Co. Ltd., Class A 13,800 39
Sichuan New Energy Power Co. Ltd.* 18,700 62
Sichuan Road & Bridge Co. Ltd., Class A 73,500 116
Sichuan Swellfun Co. Ltd., Class A 4,700 65
Sichuan Yahua Industrial Group Co. Ltd., Class A 17,300 85
Sieyuan Electric Co. Ltd., Class A 11,000 59
Silergy Corp. 20,000 1,595
Sinolink Securities Co. Ltd., Class A 81,000 109
Sinoma Science & Technology Co. Ltd., Class A 26,300 108
Sinomine Resource Group Co. Ltd., Class A 7,000 97
Sinopec Shanghai Petrochemical Co. Ltd., Class A 115,300 55
Sinopharm Group Co. Ltd., Class H 321,114 785
Sinotrans Ltd., Class A 75,400 44
Sinotruk Hong Kong Ltd. 162,500 230
Skshu Paint Co. Ltd., Class A* 6,300 122
Smoore International Holdings Ltd. 438,000 1,380
Songcheng Performance Development Co. Ltd., Class A 43,200 99
SooChow Securities Co. Ltd., Class A 45,943 48
Southwest Securities Co. Ltd., Class A 103,600 62
StarPower Semiconductor Ltd., Class A 2,600 150
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Sunac China Holdings Ltd.(2) 889,000 $401
Sungrow Power Supply Co. Ltd., Class A 23,300 343
Sunny Optical Technology Group Co. Ltd. 172,225 2,802
Sunwoda Electronic Co. Ltd., Class A 18,800 89
Suzhou Dongshan Precision Manufacturing Co. Ltd., Class A 14,800 51
Suzhou Maxwell Technologies Co. Ltd., Class A 2,080 153
Suzhou TA&A Ultra Clean Technology Co. Ltd., Class A 9,200 120
TAL Education Group ADR* 103,065 502
Tangshan Jidong Cement Co. Ltd., Class A 41,000 65
TBEA Co. Ltd., Class A 53,100 218
TCL Technology Group Corp., Class A 185,000 133
TCL Zhonghuan Renewable Energy Technology Co. Ltd., Class A 49,500 435
Tencent Holdings Ltd. 1,517,589 68,919
Tencent Music Entertainment Group ADR* 174,070 874
Thunder Software Technology Co. Ltd., Class A 4,600 90
Tianjin 712 Communication & Broadcasting Co. Ltd., Class A 12,200 57
Tianma Microelectronics Co. Ltd., Class A 25,400 38
Tianshan Aluminum Group Co. Ltd., Class A 36,700 36
Tianshui Huatian Technology Co. Ltd., Class A 27,200 38
Tibet Summit Resources Co. Ltd., Class A* 13,100 56
Tingyi Cayman Islands Holding Corp. 476,435 817
Titan Wind Energy Suzhou Co. Ltd., Class A 26,600 66
Toly Bread Co. Ltd., Class A 18,032 45
Tongcheng Travel Holdings Ltd.* 299,200 658
TongFu Microelectronics Co. Ltd., Class A* 22,400 52
Tongkun Group Co. Ltd., Class A 24,900 59
Tongling Nonferrous Metals Group Co. Ltd., Class A 159,700 78
Tongwei Co. Ltd., Class A 64,900 582
Topchoice Medical Corp., Class A* 3,300 86
Topsports International Holdings Ltd. 467,000 425
 
NORTHERN FUNDS QUARTERLY REPORT     23    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Transfar Zhilian Co. Ltd., Class A 83,600 $81
TravelSky Technology Ltd., Class H 212,000 419
Trina Solar Co. Ltd., Class A 32,237 314
Trip.com Group Ltd. ADR* 132,033 3,624
Tsingtao Brewery Co. Ltd., Class A 12,000 187
Tsingtao Brewery Co. Ltd., Class H 149,767 1,562
Unigroup Guoxin Microelectronics Co. Ltd., Class A* 8,700 247
Uni-President China Holdings Ltd. 291,000 250
Unisplendour Corp. Ltd., Class A 32,948 96
Vipshop Holdings Ltd. ADR* 109,947 1,087
Walvax Biotechnology Co. Ltd., Class A 20,500 148
Wanhua Chemical Group Co. Ltd., Class A 48,800 708
Want Want China Holdings Ltd. 1,153,870 1,006
Weibo Corp. ADR* 17,609 407
Weichai Power Co. Ltd., Class A 124,500 233
Weichai Power Co. Ltd., Class H 452,812 731
Weihai Guangwei Composites Co. Ltd., Class A 4,000 35
Wens Foodstuffs Group Co. Ltd., Class A 96,200 306
Western Mining Co. Ltd., Class A 37,500 66
Western Securities Co. Ltd., Class A 61,100 60
Western Superconducting Technologies Co. Ltd., Class A 6,181 85
Westone Information Industry, Inc., Class A 12,900 83
Will Semiconductor Co. Ltd. Shanghai, Class A 12,100 313
Wingtech Technology Co. Ltd., Class A 19,400 247
Winning Health Technology Group Co. Ltd., Class A 12,330 16
Wuchan Zhongda Group Co. Ltd., Class A 119,900 92
Wuhan Guide Infrared Co. Ltd., Class A 57,643 111
Wuliangye Yibin Co. Ltd., Class A 55,700 1,683
WUS Printed Circuit Kunshan Co. Ltd., Class A 28,980 64
WuXi AppTec Co. Ltd., Class A 40,992 638
WuXi AppTec Co. Ltd., Class H 82,411 1,100
Wuxi Biologics Cayman, Inc.* 872,000 8,032
Wuxi Lead Intelligent Equipment Co. Ltd., Class A 12,480 118
Wuxi Shangji Automation Co. Ltd., Class A 3,920 92
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
XCMG Construction Machinery Co. Ltd., Class A 140,900 $114
Xiamen C & D, Inc., Class A 26,300 52
Xiamen Faratronic Co. Ltd., Class A 3,200 98
Xiamen Intretech, Inc., Class A 13,260 43
Xiamen Tungsten Co. Ltd., Class A 10,500 34
Xiaomi Corp., Class B* 3,716,800 6,495
Xinjiang Goldwind Science & Technology Co. Ltd., Class A 42,100 94
Xinjiang Goldwind Science & Technology Co. Ltd., Class H 184,436 346
Xinjiang Zhongtai Chemical Co. Ltd., Class A 38,600 45
Xinyi Solar Holdings Ltd. 1,178,318 1,817
XPeng, Inc. ADR* 102,975 3,268
Xtep International Holdings Ltd. 322,000 585
Yadea Group Holdings Ltd. 286,000 562
Yangzhou Yangjie Electronic Technology Co. Ltd., Class A 7,600 81
Yankuang Energy Group Co. Ltd., Class A 31,800 187
Yankuang Energy Group Co. Ltd., Class H 381,138 1,210
Yantai Jereh Oilfield Services Group Co. Ltd., Class A 9,100 55
Yealink Network Technology Corp. Ltd., Class A 14,400 164
Yifeng Pharmacy Chain Co. Ltd., Class A 13,156 104
Yihai International Holding Ltd.* 119,000 436
Yihai Kerry Arawana Holdings Co. Ltd., Class A* 21,600 175
Yintai Gold Co. Ltd., Class A 20,100 29
YongXing Special Materials Technology Co. Ltd., Class A 6,200 141
Yonyou Network Technology Co. Ltd., Class A 42,835 139
Youngor Group Co. Ltd., Class A 48,800 48
Youngy Co. Ltd., Class A* 3,700 85
YTO Express Group Co. Ltd., Class A 54,800 167
Yuan Longping High-tech Agriculture Co. Ltd., Class A* 34,600 86
Yum China Holdings, Inc. 103,572 5,023
Yunda Holding Co. Ltd., Class A 41,450 106
Yunnan Aluminium Co. Ltd., Class A 53,200 79
Yunnan Baiyao Group Co. Ltd., Class A 29,600 268
 
EQUITY FUNDS    24    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Yunnan Botanee Bio-Technology Group Co. Ltd., Class A 4,300 $140
Yunnan Energy New Material Co. Ltd., Class A 13,000 488
Yunnan Tin Co. Ltd., Class A 37,500 94
Zai Lab Ltd. ADR* 21,193 735
Zhangzhou Pientzehuang Pharmaceutical Co. Ltd., Class A 8,593 459
Zhaojin Mining Industry Co. Ltd., Class H* 283,500 245
Zhefu Holding Group Co. Ltd., Class A 87,100 62
Zhejiang Century Huatong Group Co. Ltd., Class A* 132,760 96
Zhejiang China Commodities City Group Co. Ltd., Class A 39,700 33
Zhejiang Chint Electrics Co. Ltd., Class A 28,994 156
Zhejiang Dahua Technology Co. Ltd., Class A 48,500 119
Zhejiang Dingli Machinery Co. Ltd., Class A 8,340 63
Zhejiang Expressway Co. Ltd., Class H* 331,294 307
Zhejiang HangKe Technology, Inc. Co., Class A 6,423 67
Zhejiang Huahai Pharmaceutical Co. Ltd., Class A 23,210 79
Zhejiang Huayou Cobalt Co. Ltd., Class A 24,115 345
Zhejiang Jingsheng Mechanical & Electrical Co. Ltd., Class A 17,200 174
Zhejiang Jiuzhou Pharmaceutical Co. Ltd., Class A 8,500 66
Zhejiang Juhua Co. Ltd., Class A 24,800 49
Zhejiang NHU Co. Ltd., Class A 42,448 145
Zhejiang Orient Gene Biotech Co. Ltd., Class A 2,786 48
Zhejiang Semir Garment Co. Ltd., Class A 38,700 34
Zhejiang Supor Co. Ltd., Class A 4,700 40
Zhejiang Weiming Environment Protection Co. Ltd., Class A 23,500 117
Zhejiang Weixing New Building Materials Co. Ltd., Class A 27,000 97
Zhejiang Wolwo Bio-Pharmaceutical Co. Ltd., Class A 3,900 30
Zhejiang Yongtai Technology Co. Ltd., Class A 13,500 67
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
China – 31.8%continued
Zheshang Securities Co. Ltd., Class A 75,700 $129
ZhongAn Online P&C Insurance Co. Ltd., Class H* 174,100 579
Zhongji Innolight Co. Ltd., Class A 12,900 60
Zhongsheng Group Holdings Ltd. 142,000 1,003
Zhongtai Securities Co. Ltd., Class A 56,700 65
Zhuzhou CRRC Times Electric Co. Ltd. 131,674 652
Zhuzhou CRRC Times Electric Co. Ltd., Class A 9,219 90
Zhuzhou Hongda Electronics Corp. Ltd., Class A 5,400 49
Zhuzhou Kibing Group Co. Ltd., Class A 24,300 46
Zibo Qixiang Tengda Chemical Co. Ltd., Class A* 40,400 49
Zijin Mining Group Co. Ltd., Class A 291,600 408
Zijin Mining Group Co. Ltd., Class H 1,402,162 1,743
Zoomlion Heavy Industry Science and Technology Co. Ltd., Class A 111,600 103
Zoomlion Heavy Industry Science and Technology Co. Ltd., Class H 307,400 165
ZTE Corp., Class A 61,800 236
ZTE Corp., Class H 180,117 421
ZTO Express Cayman, Inc. ADR 102,707 2,819
    526,196
Colombia – 0.1%
Bancolombia S.A. 63,837 523
Ecopetrol S.A. 1,217,820 662
Interconexion Electrica S.A. ESP 111,749 562
    1,747
Czech Republic – 0.2%
CEZ A.S. 39,236 1,768
Komercni Banka A.S. 17,937 506
Moneta Money Bank A.S. 77,906 284
    2,558
Egypt – 0.1%
Commercial International Bank Egypt S.A.E. 401,143 796
Eastern Co. S.A.E. 208,647 114
Egyptian Financial Group-Hermes Holding Co.* 142,538 90
    1,000
Greece – 0.2%
Alpha Services and Holdings S.A.* 591,147 520
 
NORTHERN FUNDS QUARTERLY REPORT     25    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Greece – 0.2%continued
Eurobank Ergasias Services and Holdings S.A.* 630,688 $562
FF Group(2) * 18,664
Hellenic Telecommunications Organization S.A. 48,952 853
JUMBO S.A. 28,312 412
Mytilineos S.A. 24,053 355
National Bank of Greece S.A.* 133,184 398
OPAP S.A. 45,897 659
Public Power Corp. S.A.* 47,478 263
    4,022
Hong Kong – 2.2%
Alibaba Health Information Technology Ltd.* 1,160,000 820
Alibaba Pictures Group Ltd.* 2,910,000 286
Beijing Enterprises Holdings Ltd. 112,771 402
Beijing Enterprises Water Group Ltd. 995,886 301
Bosideng International Holdings Ltd. 808,000 503
Brilliance China Automotive Holdings Ltd.* 869,944 400
China Everbright Environment Group Ltd. 882,629 522
China Gas Holdings Ltd. 744,495 1,151
China Huishan Dairy Holdings Co. Ltd.(2) * 1,922,380
China Jinmao Holdings Group Ltd. 1,357,791 372
China Mengniu Dairy Co. Ltd.* 769,870 3,848
China Merchants Port Holdings Co. Ltd. 324,329 556
China Overseas Land & Investment Ltd. 931,695 2,981
China Overseas Property Holdings Ltd. 335,000 364
China Power International Development Ltd. 1,261,000 803
China Resources Beer Holdings Co. Ltd. 394,948 2,997
China Resources Cement Holdings Ltd. 576,000 388
China Resources Gas Group Ltd. 225,958 1,063
China Resources Land Ltd. 777,432 3,677
China Resources Power Holdings Co. Ltd. 455,735 944
China Ruyi Holdings Ltd.* 1,136,000 417
China State Construction International Holdings Ltd. 495,600 549
China Taiping Insurance Holdings Co. Ltd. 350,904 434
China Traditional Chinese Medicine Holdings Co. Ltd. 700,000 433
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Hong Kong – 2.2%continued
COSCO SHIPPING Ports Ltd. 461,886 $326
Far East Horizon Ltd. 372,000 312
Geely Automobile Holdings Ltd. 1,475,641 3,372
Guangdong Investment Ltd. 686,514 727
Hopson Development Holdings Ltd. 199,320 305
HUTCHMED China Ltd. ADR* 23,480 297
Kingboard Holdings Ltd. 161,500 611
Kingboard Laminates Holdings Ltd. 235,500 291
Kunlun Energy Co. Ltd. 941,230 772
Nine Dragons Paper Holdings Ltd. 408,923 347
Orient Overseas International Ltd. 32,000 851
Shanghai Industrial Urban Development Group Ltd.(3) 1
Shenzhen International Holdings Ltd. 265,774 262
Shimao Group Holdings Ltd.(2) 354,903 169
Sino Biopharmaceutical Ltd. 2,494,750 1,607
Vinda International Holdings Ltd. 85,000 218
Wharf Holdings (The) Ltd. 298,000 1,087
Yuexiu Property Co. Ltd. 305,600 392
    36,157
Hungary – 0.2%
MOL Hungarian Oil & Gas PLC 98,145 760
OTP Bank Nyrt. 54,120 1,212
Richter Gedeon Nyrt. 32,954 597
    2,569
India – 12.2%
ACC Ltd. 17,735 477
Adani Enterprises Ltd. 66,823 1,856
Adani Green Energy Ltd.* 76,006 1,861
Adani Ports & Special Economic Zone Ltd. 123,544 1,053
Adani Power Ltd.* 188,168 628
Adani Total Gas Ltd. 66,858 2,028
Adani Transmission Ltd.* 66,824 2,116
Ambuja Cements Ltd. 144,428 665
Apollo Hospitals Enterprise Ltd. 24,472 1,143
Asian Paints Ltd. 93,221 3,188
AU Small Finance Bank Ltd.(4) * 38,192 287
Aurobindo Pharma Ltd. 63,672 414
Avenue Supermarts Ltd.* 40,043 1,730
Axis Bank Ltd.* 550,581 4,451
Bajaj Auto Ltd. 16,882 796
Bajaj Finance Ltd. 65,887 4,518
Bajaj Finserv Ltd. 9,249 1,283
 
EQUITY FUNDS    26    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
India – 12.2%continued
Balkrishna Industries Ltd. 18,594 $507
Bandhan Bank Ltd. 155,888 521
Berger Paints India Ltd. 59,087 426
Bharat Electronics Ltd. 295,386 877
Bharat Forge Ltd. 60,826 503
Bharat Petroleum Corp. Ltd. 209,787 820
Bharti Airtel Ltd.* 533,701 4,635
Biocon Ltd. 100,591 393
Britannia Industries Ltd. 26,320 1,157
Cholamandalam Investment and Finance Co. Ltd. 98,773 776
Cipla Ltd. 118,124 1,373
Coal India Ltd. 385,664 908
Colgate-Palmolive India Ltd. 29,022 547
Container Corp. of India Ltd. 65,704 495
Dabur India Ltd. 153,938 968
Divi's Laboratories Ltd. 32,103 1,478
DLF Ltd. 148,759 590
Dr. Reddy's Laboratories Ltd. 28,166 1,568
Eicher Motors Ltd. 32,650 1,158
GAIL India Ltd. 392,330 672
Godrej Consumer Products Ltd.* 99,544 956
Godrej Properties Ltd.* 30,025 451
Grasim Industries Ltd. 64,163 1,075
Havells India Ltd. 62,469 870
HCL Technologies Ltd. 263,293 3,251
HDFC Life Insurance Co. Ltd. 228,606 1,595
Hero MotoCorp Ltd. 26,513 915
Hindalco Industries Ltd. 326,614 1,404
Hindustan Petroleum Corp. Ltd. 153,379 422
Hindustan Unilever Ltd. 199,894 5,656
Housing Development Finance Corp. Ltd. 418,572 11,538
ICICI Bank Ltd. 1,248,841 11,213
ICICI Lombard General Insurance Co. Ltd. 57,891 823
ICICI Prudential Life Insurance Co. Ltd. 89,391 555
Indian Oil Corp. Ltd. 675,492 636
Indian Railway Catering & Tourism Corp. Ltd. 56,402 412
Indraprastha Gas Ltd. 76,377 345
Indus Towers Ltd. 171,528 455
Info Edge India Ltd. 17,041 813
Infosys Ltd. 817,361 15,211
InterGlobe Aviation Ltd.* 23,426 478
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
India – 12.2%continued
ITC Ltd. 716,791 $2,486
Jindal Steel & Power Ltd. 98,766 413
JSW Steel Ltd. 174,839 1,252
Jubilant Foodworks Ltd. 99,125 645
Kotak Mahindra Bank Ltd. 134,931 2,845
Larsen & Toubro Infotech Ltd. 13,271 670
Larsen & Toubro Ltd. 166,747 3,297
Lupin Ltd. 49,003 380
Mahindra & Mahindra Ltd. 210,597 2,920
Marico Ltd. 127,094 770
Maruti Suzuki India Ltd. 29,277 3,147
Mindtree Ltd. 16,441 603
Mphasis Ltd. 20,900 609
MRF Ltd. 432 388
Muthoot Finance Ltd. 28,688 355
Nestle India Ltd. 8,128 1,799
NTPC Ltd. 938,223 1,699
Oil & Natural Gas Corp. Ltd. 610,112 1,169
Page Industries Ltd. 1,484 756
Petronet LNG Ltd. 190,074 524
PI Industries Ltd. 18,337 595
Pidilite Industries Ltd. 37,218 987
Piramal Enterprises Ltd. 29,453 619
Power Grid Corp. of India Ltd. 762,645 2,049
Reliance Industries Ltd. 739,893 24,362
Samvardhana Motherson International Ltd. 314,517 472
SBI Cards & Payment Services Ltd. 57,160 557
SBI Life Insurance Co. Ltd. 112,294 1,540
Shree Cement Ltd. 2,739 660
Shriram Transport Finance Co. Ltd. 46,073 756
Siemens Ltd. 17,278 526
SRF Ltd. 36,029 1,030
State Bank of India 432,295 2,556
Sun Pharmaceutical Industries Ltd. 232,626 2,446
Tata Consultancy Services Ltd. 224,325 9,297
Tata Consumer Products Ltd. 133,902 1,199
Tata Elxsi Ltd. 8,310 862
Tata Motors Ltd.* 403,103 2,109
Tata Power (The) Co. Ltd. 349,235 897
Tata Steel Ltd. 177,632 1,954
Tech Mahindra Ltd. 141,147 1,791
Titan Co. Ltd. 86,182 2,121
Torrent Pharmaceuticals Ltd. 12,015 436
 
NORTHERN FUNDS QUARTERLY REPORT     27    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
India – 12.2%continued
Trent Ltd. 46,180 $629
UltraTech Cement Ltd. 24,864 1,768
United Spirits Ltd.* 74,036 713
UPL Ltd. 120,320 965
Vedanta Ltd. 179,839 509
Wipro Ltd. 330,581 1,745
Yes Bank Ltd.* 2,640,668 423
Zomato Ltd.* 380,466 260
    201,500
Indonesia – 1.8%
Adaro Energy Indonesia Tbk PT 3,506,720 672
Adaro Minerals Indonesia Tbk PT* 1,984,600 211
Aneka Tambang Tbk 2,100,900 253
Astra International Tbk PT 4,912,760 2,183
Bank Central Asia Tbk PT 13,471,060 6,564
Bank Jago Tbk PT* 981,600 603
Bank Mandiri Persero Tbk PT 4,490,710 2,397
Bank Negara Indonesia Persero Tbk PT 1,771,309 934
Bank Rakyat Indonesia Persero Tbk PT 16,582,465 4,625
Barito Pacific Tbk PT 6,494,500 329
Charoen Pokphand Indonesia Tbk PT 1,801,335 725
Gudang Garam Tbk PT 124,115 260
Indah Kiat Pulp & Paper Corp. Tbk PT 698,300 356
Indofood CBP Sukses Makmur Tbk PT 641,700 412
Indofood Sukses Makmur Tbk PT 1,057,371 501
Kalbe Farma Tbk PT 5,122,780 571
Merdeka Copper Gold Tbk PT* 2,962,063 794
Sarana Menara Nusantara Tbk PT 5,931,400 438
Semen Indonesia Persero Tbk PT 728,655 349
Sumber Alfaria Trijaya Tbk PT 4,057,800 556
Telkom Indonesia Persero Tbk PT 12,040,162 3,236
Tower Bersama Infrastructure Tbk PT 1,989,700 393
Unilever Indonesia Tbk PT 1,783,540 571
United Tractors Tbk PT 402,771 766
Vale Indonesia Tbk PT* 604,500 230
    28,929
Kuwait – 0.8%
Agility Public Warehousing Co. K.S.C. 364,936 969
Boubyan Bank K.S.C.P. 316,598 798
Gulf Bank K.S.C.P. 393,173 409
Kuwait Finance House K.S.C.P. 1,237,131 3,514
Mabanee Co. KPSC 161,030 395
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Kuwait – 0.8%continued
Mobile Telecommunications Co. K.S.C.P. 525,907 $1,019
National Bank of Kuwait S.A.K.P. 1,741,062 5,921
    13,025
Malaysia – 1.4%
AMMB Holdings Bhd. 471,537 399
Axiata Group Bhd. 671,603 431
CIMB Group Holdings Bhd. 1,618,042 1,822
Dialog Group Bhd. 892,544 432
DiGi.Com Bhd. 755,900 601
Genting Bhd. 508,200 524
Genting Malaysia Bhd. 662,100 427
HAP Seng Consolidated Bhd. 172,800 280
Hartalega Holdings Bhd. 449,800 312
Hong Leong Bank Bhd. 154,298 717
Hong Leong Financial Group Bhd. 53,028 223
IHH Healthcare Bhd. 434,400 638
Inari Amertron Bhd. 643,200 384
IOI Corp. Bhd. 600,540 523
Kuala Lumpur Kepong Bhd. 103,192 514
Malayan Banking Bhd. 1,160,576 2,262
Malaysia Airports Holdings Bhd.* 162,293 243
Maxis Bhd. 534,451 400
MISC Bhd. 314,660 507
MR DIY Group M Bhd. 582,300 274
Nestle Malaysia Bhd. 18,100 544
Petronas Chemicals Group Bhd. 581,100 1,187
Petronas Dagangan Bhd. 77,100 370
Petronas Gas Bhd. 197,600 737
PPB Group Bhd. 145,500 524
Press Metal Aluminium Holdings Bhd. 883,800 955
Public Bank Bhd. 3,536,205 3,507
QL Resources Bhd. 271,050 320
RHB Bank Bhd. 361,615 470
Sime Darby Bhd. 616,028 298
Sime Darby Plantation Bhd. 505,165 497
Telekom Malaysia Bhd. 247,886 295
Tenaga Nasional Bhd. 627,950 1,137
Top Glove Corp. Bhd. 1,315,900 311
    23,065
Mexico – 2.0%
Alfa S.A.B. de C.V., Class A 716,437 509
America Movil S.A.B. de C.V., Series L 6,860,049 7,021
Arca Continental S.A.B. de C.V. 106,341 701
 
EQUITY FUNDS    28    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Mexico – 2.0%continued
Cemex S.A.B. de C.V., Series CPO* 3,685,952 $1,439
Coca-Cola Femsa S.A.B. de C.V. 129,522 718
Fibra Uno Administracion S.A. de C.V. 766,501 765
Fomento Economico Mexicano S.A.B. de C.V., Series UBD 473,443 3,195
Gruma S.A.B. de C.V., Class B 49,575 547
Grupo Aeroportuario del Pacifico S.A.B. de C.V., Class B 89,267 1,248
Grupo Aeroportuario del Sureste S.A.B. de C.V., Series B 47,551 937
Grupo Bimbo S.A.B. de C.V., Series A 329,154 1,076
Grupo Carso S.A.B. de C.V., Series A1 105,306 390
Grupo Financiero Banorte S.A.B. de C.V., Series O 631,704 3,531
Grupo Financiero Inbursa S.A.B. de C.V., Series O* 513,633 822
Grupo Mexico S.A.B. de C.V., Series B 755,039 3,147
Grupo Televisa S.A.B., Series CPO 584,214 957
Industrias Penoles S.A.B. de C.V. 32,724 303
Kimberly-Clark de Mexico S.A.B. de C.V., Class A 370,127 502
Operadora De Sites Mexicanos S.A.B. de C.V., Class A 311,800 361
Orbia Advance Corp. S.A.B. de C.V. 244,880 575
Promotora y Operadora de Infraestructura S.A.B. de C.V. 58,780 432
Wal-Mart de Mexico S.A.B. de C.V. 1,275,627 4,390
    33,566
Peru – 0.2%
Cia de Minas Buenaventura S.A.A. ADR 53,908 356
Credicorp Ltd. 17,366 2,082
Southern Copper Corp. 20,289 1,011
    3,449
Philippines – 0.7%
Aboitiz Equity Ventures, Inc. 408,219 353
AC Energy Corp. 2,008,431 293
Ayala Corp. 59,037 644
Ayala Land, Inc. 1,785,160 827
Bank of the Philippine Islands 436,206 673
BDO Unibank, Inc. 499,859 1,004
Converge Information and Communications Technology Solutions, Inc.* 547,600 210
Globe Telecom, Inc. 6,350 262
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Philippines – 0.7%continued
GT Capital Holdings, Inc. 18,112 $161
International Container Terminal Services, Inc. 249,200 834
JG Summit Holdings, Inc. 729,763 645
Jollibee Foods Corp. 105,773 392
Manila Electric Co. 56,430 369
Metro Pacific Investments Corp. 2,054,400 132
Metropolitan Bank & Trust Co. 430,259 374
Monde Nissin Corp.* 1,537,300 363
PLDT, Inc. 21,195 647
SM Investments Corp. 58,132 827
SM Prime Holdings, Inc. 2,808,613 1,867
Universal Robina Corp. 231,840 467
    11,344
Poland – 0.6%
Allegro.eu S.A.* 82,186 439
Bank Polska Kasa Opieki S.A. 46,382 848
CD Projekt S.A. 15,802 338
Cyfrowy Polsat S.A. 60,914 289
Dino Polska S.A.* 12,112 865
KGHM Polska Miedz S.A. 33,973 905
LPP S.A. 263 530
mBank S.A.* 3,976 200
Orange Polska S.A. 147,201 206
PGE Polska Grupa Energetyczna S.A.* 214,318 511
Polski Koncern Naftowy ORLEN S.A. 72,719 1,115
Polskie Gornictwo Naftowe i Gazownictwo S.A. 425,847 543
Powszechna Kasa Oszczednosci Bank Polski S.A.* 212,312 1,332
Powszechny Zaklad Ubezpieczen S.A. 147,487 989
Santander Bank Polska S.A. 8,701 454
    9,564
Qatar – 1.0%
Barwa Real Estate Co. 427,234 392
Commercial Bank PSQC (The) 482,260 908
Industries Qatar QSC 370,424 1,627
Masraf Al Rayan QSC 1,352,999 1,536
Mesaieed Petrochemical Holding Co. 1,090,651 746
Ooredoo QPSC 184,532 390
Qatar Electricity & Water Co. QSC 105,482 508
Qatar Fuel QSC 117,357 575
Qatar Gas Transport Co. Ltd. 627,881 645
Qatar International Islamic Bank QSC 176,158 516
 
NORTHERN FUNDS QUARTERLY REPORT     29    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Qatar – 1.0%continued
Qatar Islamic Bank S.A.Q. 402,765 $2,465
Qatar National Bank QPSC 1,125,782 6,183
    16,491
Romania – 0.0%
NEPI Rockcastle S.A. 111,010 593
Russia – 0.0%
Alrosa PJSC(2) (5) 695,290
Gazprom PJSC(2) 3,218,050
Gazprom PJSC ADR(2) 134
Inter RAO UES PJSC(2) 10,354,623
LUKOIL PJSC(2) 112,883
Magnit PJSC(2) 2,287
Magnit PJSC GDR (Registered)(2) 82,678
MMC Norilsk Nickel PJSC(2) 17,106
Mobile TeleSystems PJSC ADR(2) 121,420
Moscow Exchange
MICEX-RTS PJSC(2) *
419,576
Novatek PJSC GDR (Registered)(2) 24,702
Novolipetsk Steel PJSC(2) 408,255
Ozon Holdings PLC ADR(2) * 13,658
PhosAgro PJSC(2) * 224
PhosAgro PJSC GDR (Registered)(2) 34,779
Polymetal International PLC(2) 97,434
Polyus PJSC(2) 9,359
Rosneft Oil Co. PJSC(2) 318,005
Sberbank of Russia PJSC(2) (5) * 2,882,082
Sberbank of Russia PJSC (Moscow Exchange)(2) (5) * 56,000
Severstal PAO(2) (5) 55,330
Severstal PAO GDR (Registered)(2) (5) 1,839
Surgutneftegas PJSC(2) 1,902,467
Surgutneftegas PJSC ADR(2) 4,629
Tatneft PJSC(2) 386,254
TCS Group Holding PLC GDR (Registered)(2) * 32,689
United Co. RUSAL International PJSC(2) * 832,063
VK Co. Ltd. GDR(2) * 30,900
VTB Bank PJSC(2) (5) 800,566,738
VTB Bank PJSC GDR(2) (4) (5) 11,036
VTB Bank PJSC GDR (Registered)(2) (5) 43,343
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Russia – 0.0%continued
X5 Retail Group N.V. GDR (Registered)(2) 32,705 $—
Yandex N.V., Class A(2) * 83,223
   
Saudi Arabia – 4.1%
ACWA Power Co.* 19,485 776
Advanced Petrochemical Co. 30,369 416
Al Rajhi Bank 476,369 10,492
Alinma Bank 237,461 2,119
Almarai Co. JSC 60,116 840
Arab National Bank 149,806 1,178
Bank AlBilad* 117,771 1,375
Bank Al-Jazira 95,960 571
Banque Saudi Fransi 143,163 1,811
Bupa Arabia for Cooperative Insurance Co. 14,724 627
Dar Al Arkan Real Estate Development Co.* 118,293 340
Dr. Sulaiman Al Habib Medical Services Group Co. 21,313 1,103
Elm Co. 5,854 398
Emaar Economic City* 94,791 250
Etihad Etisalat Co. 92,016 860
Jarir Marketing Co. 14,798 642
Mobile Telecommunications Co. Saudi Arabia* 107,840 324
Mouwasat Medical Services Co. 12,277 698
National Industrialization Co.* 80,450 346
Rabigh Refining & Petrochemical Co.* 96,998 442
Riyad Bank 327,051 2,802
SABIC Agri-Nutrients Co. 51,998 1,911
Sahara International Petrochemical Co. 87,254 1,170
Saudi Arabian Mining Co.* 212,754 2,832
Saudi Arabian Oil Co. 586,834 6,072
Saudi Basic Industries Corp. 218,267 5,914
Saudi British Bank (The) 224,562 2,440
Saudi Electricity Co. 200,762 1,299
Saudi Industrial Investment Group 93,249 710
Saudi Investment Bank (The) 119,082 619
Saudi Kayan Petrochemical Co.* 177,022 746
Saudi National Bank (The) 532,990 9,377
Saudi Research & Media Group* 9,082 455
Saudi Tadawul Group Holding Co. 8,805 444
Saudi Telecom Co. 145,910 3,781
 
EQUITY FUNDS    30    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Saudi Arabia – 4.1%continued
Savola Group (The) 64,216 $575
Yanbu National Petrochemical Co. 62,684 845
    67,600
Singapore – 0.0%
BOC Aviation Ltd. 51,600 435
JOYY, Inc. ADR 13,141 392
    827
South Africa – 3.4%
Absa Group Ltd. 196,055 1,867
African Rainbow Minerals Ltd. 26,637 351
Anglo American Platinum Ltd. 12,898 1,132
AngloGold Ashanti Ltd. 101,915 1,503
Aspen Pharmacare Holdings Ltd. 94,216 807
Bid Corp. Ltd. 81,781 1,556
Bidvest Group (The) Ltd. 70,975 915
Capitec Bank Holdings Ltd. 21,194 2,588
Clicks Group Ltd. 59,479 1,004
Discovery Ltd.* 121,078 955
Exxaro Resources Ltd. 60,379 737
FirstRand Ltd. 1,226,456 4,713
Foschini Group (The) Ltd. 80,860 607
Gold Fields Ltd. 216,469 2,021
Growthpoint Properties Ltd. 827,225 628
Harmony Gold Mining Co. Ltd. 135,883 424
Impala Platinum Holdings Ltd. 204,120 2,274
Kumba Iron Ore Ltd. 16,235 527
Mr Price Group Ltd. 62,468 682
MTN Group Ltd. 412,450 3,353
MultiChoice Group 90,343 643
Naspers Ltd., Class N 52,981 7,750
Nedbank Group Ltd. 111,321 1,420
Northam Platinum Holdings Ltd.* 83,614 880
Old Mutual Ltd. 1,199,353 814
Pepkor Holdings Ltd. 406,762 478
Reinet Investments S.C.A. 32,529 571
Remgro Ltd. 127,989 1,023
Sanlam Ltd. 432,104 1,406
Sasol Ltd.* 137,682 3,181
Shoprite Holdings Ltd. 121,518 1,480
Sibanye Stillwater Ltd. 682,719 1,697
SPAR Group (The) Ltd. 46,152 394
Standard Bank Group Ltd. 326,383 3,117
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
South Africa – 3.4%continued
Vodacom Group Ltd. 156,197 $1,261
Woolworths Holdings Ltd. 238,502 796
    55,555
South Korea – 10.2%
Alteogen, Inc.* 7,237 341
Amorepacific Corp. 7,121 715
AMOREPACIFIC Group 7,059 203
BGF retail Co. Ltd. 1,886 275
Celltrion Healthcare Co. Ltd. 20,701 1,095
Celltrion Pharm, Inc.* 3,772 229
Celltrion, Inc. 23,966 3,303
Cheil Worldwide, Inc. 17,369 318
CJ CheilJedang Corp. 2,028 593
CJ Corp. 3,342 200
CJ ENM Co. Ltd. 2,933 212
CJ Logistics Corp.* 2,158 190
Coway Co. Ltd. 13,869 683
DB Insurance Co. Ltd. 11,217 530
Doosan Bobcat, Inc. 13,155 294
Doosan Enerbility Co. Ltd.* 97,444 1,458
Ecopro B.M. Co. Ltd. 12,408 1,089
E-MART, Inc. 5,111 416
F&F Co. Ltd./New 4,191 435
Green Cross Corp. 1,658 216
GS Engineering & Construction Corp. 16,727 407
GS Holdings Corp. 10,631 343
Hana Financial Group, Inc. 72,820 2,211
Hankook Tire & Technology Co. Ltd. 17,580 447
Hanmi Pharm Co. Ltd. 1,516 360
Hanon Systems 45,017 349
Hanwha Solutions Corp.* 27,738 812
HD Hyundai Co. Ltd. 11,442 524
HLB, Inc.* 23,137 633
HMM Co. Ltd. 65,418 1,241
Hotel Shilla Co. Ltd. 7,376 405
HYBE Co. Ltd.* 3,918 441
Hyundai Engineering & Construction Co. Ltd. 19,094 609
Hyundai Glovis Co. Ltd. 4,499 623
Hyundai Heavy Industries Co. Ltd.* 4,295 474
Hyundai Mobis Co. Ltd. 14,848 2,278
Hyundai Motor Co. 33,506 4,662
Hyundai Steel Co. 21,287 528
Iljin Materials Co. Ltd. 5,720 309
 
NORTHERN FUNDS QUARTERLY REPORT     31    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
South Korea – 10.2%continued
Industrial Bank of Korea 63,344 $470
Kakao Corp. 75,860 4,090
Kakao Games Corp.* 8,204 316
KakaoBank Corp.* 28,947 677
Kangwon Land, Inc.* 24,053 471
KB Financial Group, Inc. 95,816 3,558
Kia Corp. 63,957 3,816
Korea Aerospace Industries Ltd. 17,930 744
Korea Electric Power Corp.* 62,195 1,088
Korea Investment Holdings Co. Ltd. 10,473 498
Korea Shipbuilding & Offshore Engineering Co. Ltd.* 10,311 746
Korea Zinc Co. Ltd. 2,050 770
Korean Air Lines Co. Ltd.* 42,149 820
Krafton, Inc.* 5,970 1,010
KT&G Corp. 26,658 1,687
Kumho Petrochemical Co. Ltd. 4,449 477
L&F Co. Ltd.* 5,592 902
LG Chem Ltd. 11,982 4,768
LG Corp. 22,967 1,382
LG Display Co. Ltd. 56,188 628
LG Electronics, Inc. 26,257 1,790
LG Energy Solution Ltd.* 5,119 1,467
LG H&H Co. Ltd. 2,273 1,191
LG Innotek Co. Ltd. 3,520 927
LG Uplus Corp. 50,332 495
Lotte Chemical Corp. 4,260 592
Lotte Shopping Co. Ltd. 2,720 218
Meritz Financial Group, Inc. 7,649 153
Meritz Fire & Marine Insurance Co. Ltd. 8,739 224
Meritz Securities Co. Ltd. 64,881 227
Mirae Asset Securities Co. Ltd. 67,236 343
NAVER Corp. 31,882 5,915
NCSoft Corp. 3,993 1,076
Netmarble Corp. 5,056 269
NH Investment & Securities Co. Ltd. 32,897 230
Orion Corp. 6,069 486
Pan Ocean Co. Ltd. 67,215 308
Pearl Abyss Corp.* 7,463 295
POSCO Chemical Co. Ltd. 6,584 544
POSCO Holdings, Inc. 19,080 3,395
S-1 Corp. 4,075 202
Samsung Biologics Co. Ltd.* 4,316 2,628
Samsung C&T Corp. 20,377 1,934
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
South Korea – 10.2%continued
Samsung Electro-Mechanics Co. Ltd. 13,572 $1,360
Samsung Electronics Co. Ltd. 1,161,010 50,858
Samsung Engineering Co. Ltd.* 37,555 627
Samsung Fire & Marine Insurance Co. Ltd. 7,424 1,155
Samsung Heavy Industries Co. Ltd.* 148,669 696
Samsung Life Insurance Co. Ltd. 19,420 938
Samsung SDI Co. Ltd. 13,372 5,488
Samsung SDS Co. Ltd. 8,347 838
Samsung Securities Co. Ltd. 14,997 387
SD Biosensor, Inc. 8,476 254
Seegene, Inc. 9,540 266
Shinhan Financial Group Co. Ltd. 112,644 3,223
SK Biopharmaceuticals Co. Ltd.* 7,692 445
SK Bioscience Co. Ltd.* 5,580 432
SK Chemicals Co. Ltd. 2,873 204
SK Hynix, Inc. 132,598 9,275
SK IE Technology Co. Ltd.* 6,328 479
SK Innovation Co. Ltd.* 13,480 1,999
SK Square Co. Ltd.* 23,677 710
SK Telecom Co. Ltd. 6,808 273
SK, Inc. 8,997 1,497
SKC Co. Ltd. 5,052 518
S-Oil Corp. 10,865 867
Woori Financial Group, Inc. 125,697 1,174
Yuhan Corp. 12,318 532
    168,773
Taiwan – 13.6%
Accton Technology Corp. 120,000 971
Acer, Inc. 693,800 507
Advantech Co. Ltd. 103,793 1,209
ASE Technology Holding Co. Ltd. 802,928 2,068
Asia Cement Corp. 582,567 858
ASMedia Technology, Inc. 7,000 262
Asustek Computer, Inc. 171,546 1,790
AUO Corp. 1,984,215 1,088
Catcher Technology Co. Ltd. 167,111 933
Cathay Financial Holding Co. Ltd. 1,920,212 3,289
Chailease Holding Co. Ltd. 333,790 2,343
Chang Hwa Commercial Bank Ltd. 1,145,586 669
Cheng Shin Rubber Industry Co. Ltd. 455,184 542
China Airlines Ltd.* 674,000 533
China Development Financial Holding Corp. 3,760,143 1,857
 
EQUITY FUNDS    32    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Taiwan – 13.6%continued
China Steel Corp. 2,861,156 $2,736
Chunghwa Telecom Co. Ltd. 920,493 3,785
Compal Electronics, Inc. 1,066,759 820
CTBC Financial Holding Co. Ltd. 4,265,878 3,625
Delta Electronics, Inc. 471,343 3,492
E Ink Holdings, Inc. 209,000 1,319
E.Sun Financial Holding Co. Ltd. 2,920,348 2,846
Eclat Textile Co. Ltd. 47,182 660
eMemory Technology, Inc. 16,000 551
Eva Airways Corp.* 618,000 657
Evergreen Marine Corp. Taiwan Ltd. 617,891 1,756
Far Eastern New Century Corp. 797,789 855
Far EasTone Telecommunications Co. Ltd. 389,345 1,094
Feng TAY Enterprise Co. Ltd. 102,928 607
First Financial Holding Co. Ltd. 2,518,478 2,226
Formosa Chemicals & Fibre Corp. 855,499 2,148
Formosa Petrochemical Corp. 278,487 878
Formosa Plastics Corp. 1,006,682 3,672
Fubon Financial Holding Co. Ltd. 1,719,453 3,455
Giant Manufacturing Co. Ltd. 69,483 560
Globalwafers Co. Ltd. 52,000 788
Hon Hai Precision Industry Co. Ltd. 3,031,942 11,091
Hotai Motor Co. Ltd. 71,900 1,478
Hua Nan Financial Holdings Co. Ltd. 2,083,022 1,582
Innolux Corp. 2,445,900 994
Inventec Corp. 596,314 503
Largan Precision Co. Ltd. 24,835 1,442
Lite-On Technology Corp. 481,964 936
MediaTek, Inc. 369,334 8,044
Mega Financial Holding Co. Ltd. 2,671,543 3,173
Micro-Star International Co. Ltd. 160,000 610
momo.com, Inc. 15,600 335
Nan Ya Plastics Corp. 1,158,951 3,233
Nan Ya Printed Circuit Board Corp. 56,000 487
Nanya Technology Corp. 297,071 493
Nien Made Enterprise Co. Ltd. 46,000 454
Novatek Microelectronics Corp. 140,850 1,423
Pegatron Corp. 496,594 951
Pou Chen Corp. 545,093 540
Powerchip Semiconductor Manufacturing Corp.* 648,000 873
President Chain Store Corp. 138,220 1,266
Quanta Computer, Inc. 653,576 1,750
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Taiwan – 13.6%continued
Realtek Semiconductor Corp. 111,457 $1,359
Ruentex Development Co. Ltd. 275,989 681
Shanghai Commercial & Savings Bank (The) Ltd. 872,359 1,560
Shin Kong Financial Holding Co. Ltd. 2,864,907 845
SinoPac Financial Holdings Co. Ltd. 2,451,792 1,386
Synnex Technology International Corp. 320,940 574
Taishin Financial Holding Co. Ltd. 2,492,789 1,365
Taiwan Cement Corp. 1,335,824 1,774
Taiwan Cooperative Financial Holding Co. Ltd. 2,319,816 2,093
Taiwan High Speed Rail Corp. 516,000 487
Taiwan Mobile Co. Ltd. 419,076 1,525
Taiwan Semiconductor Manufacturing Co. Ltd. 5,986,749 95,349
Unimicron Technology Corp. 305,000 1,617
Uni-President Enterprises Corp. 1,172,150 2,642
United Microelectronics Corp. 2,884,043 3,779
Vanguard International Semiconductor Corp. 222,000 570
Voltronic Power Technology Corp. 16,000 777
Walsin Lihwa Corp. 586,000 710
Wan Hai Lines Ltd. 148,700 596
Win Semiconductors Corp. 80,000 517
Winbond Electronics Corp. 717,000 524
Wiwynn Corp. 21,000 490
WPG Holdings Ltd. 382,290 711
Ya Hsin Industrial Co. Ltd.(2) * 121,548
Yageo Corp. 103,377 1,066
Yang Ming Marine Transport Corp. 418,000 1,155
Yuanta Financial Holding Co. Ltd. 2,343,846 1,552
Zhen Ding Technology Holding Ltd. 171,850 595
    225,406
Thailand – 1.8%
Advanced Info Service PCL (Registered) 194,000 1,067
Advanced Info Service PCL NVDR 96,399 531
Airports of Thailand PCL NVDR* 1,038,300 2,087
Asset World Corp. PCL NVDR 1,960,900 271
B Grimm Power PCL NVDR (Registered) 224,600 223
Bangkok Commercial Asset Management PCL NVDR (Registered) 424,900 209
Bangkok Dusit Medical Services PCL NVDR 2,516,100 1,780
 
NORTHERN FUNDS QUARTERLY REPORT     33    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Thailand – 1.8%continued
Bangkok Expressway & Metro PCL NVDR (Registered) 1,985,998 $492
Berli Jucker PCL NVDR 295,700 272
BTS Group Holdings PCL NVDR 1,897,900 459
Bumrungrad Hospital PCL NVDR 115,187 584
Carabao Group PCL NVDR 69,200 209
Central Pattana PCL NVDR 490,200 847
Central Retail Corp. PCL NVDR (Registered) 427,958 424
Charoen Pokphand Foods PCL NVDR 951,557 700
CP ALL PCL (Registered) 905,200 1,536
CP ALL PCL NVDR 510,336 867
Delta Electronics Thailand PCL NVDR 76,100 716
Electricity Generating PCL NVDR 57,100 285
Energy Absolute PCL NVDR 409,600 946
Global Power Synergy PCL NVDR 158,300 289
Gulf Energy Development PCL NVDR (Registered) 712,550 939
Home Product Center PCL NVDR 1,389,104 501
Indorama Ventures PCL NVDR 429,947 573
Intouch Holdings PCL NVDR 273,500 531
JMT Network Services PCL NVDR 156,100 324
Krung Thai Bank PCL (Registered) 699,750 307
Krung Thai Bank PCL NVDR 175,093 77
Krungthai Card PCL NVDR 210,000 339
Land & Houses PCL NVDR 2,054,400 486
Minor International PCL NVDR* 775,730 746
Muangthai Capital PCL NVDR (Registered) 207,700 252
Osotspa PCL NVDR 365,600 355
PTT Exploration & Production PCL (Registered) 242,500 1,094
PTT Exploration & Production PCL NVDR 95,343 429
PTT Global Chemical PCL (Registered) 189,814 244
PTT Global Chemical PCL NVDR 347,576 448
PTT Oil & Retail Business PCL NVDR 717,300 517
PTT PCL (Registered) 1,835,000 1,765
PTT PCL NVDR 587,500 567
Ratch Group PCL NVDR 266,600 289
SCB X PCL (Registered) 195,100 574
SCB X PCL NVDR 29,776 88
SCG Packaging PCL NVDR 307,200 483
Siam Cement (The) PCL (Registered) 51,000 540
Siam Cement (The) PCL NVDR 137,598 1,457
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
Thailand – 1.8%continued
Srisawad Corp. PCL NVDR 174,500 $240
Thai Oil PCL (Registered) 97,800 142
Thai Oil PCL NVDR 158,195 232
Thai Union Group PCL NVDR 693,700 336
True Corp. PCL NVDR 2,772,852 361
    30,030
Turkey – 0.3%
Akbank T.A.S. 789,089 380
Anadolu Efes Biracilik Ve Malt Sanayii A.S.(3) 1
Aselsan Elektronik Sanayi Ve Ticaret A.S. 148,621 204
BIM Birlesik Magazalar A.S. 118,914 577
Eregli Demir ve Celik Fabrikalari T.A.S. 351,123 572
Ford Otomotiv Sanayi A.S. 17,538 281
Haci Omer Sabanci Holding A.S. 233,905 265
Is Gayrimenkul Yatirim Ortakligi A.S.(3) * 1
KOC Holding A.S. 193,586 425
Turk Hava Yollari A.O.* 128,160 360
Turkcell Iletisim Hizmetleri A.S. 279,000 271
Turkiye Is Bankasi A.S., Class C 892,053 234
Turkiye Petrol Rafinerileri A.S.* 31,203 495
Turkiye Sise ve Cam Fabrikalari A.S. 311,150 402
    4,466
United Arab Emirates – 1.2%
Abu Dhabi Commercial Bank PJSC 674,592 1,628
Abu Dhabi Islamic Bank PJSC 357,071 730
Abu Dhabi National Oil Co. for Distribution PJSC 758,723 872
Aldar Properties PJSC 936,328 1,136
Dubai Islamic Bank PJSC 684,530 1,074
Emaar Properties PJSC 973,676 1,381
Emirates NBD Bank PJSC 457,923 1,647
Emirates Telecommunications Group Co. PJSC 845,360 6,013
First Abu Dhabi Bank PJSC 1,073,234 5,491
    19,972
United States – 0.2%
BeiGene Ltd. ADR* 11,501 1,862
 
EQUITY FUNDS    34    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.0% (1)continued
United States – 0.2%continued
Legend Biotech Corp. ADR* 11,287 $621
Parade Technologies Ltd. 18,000 690
    3,173
Total Common Stocks    
(Cost $1,138,300)   1,553,834
     
PREFERRED STOCKS – 2.0% (1)
Brazil – 1.2%
Banco Bradesco S.A., 1.14%(6) 1,305,194 4,287
Braskem S.A., Class A, 4.56%(6) 48,400 344
Centrais Eletricas Brasileiras S.A., Class B, 6.59%(6) 60,541 540
Cia Energetica de Minas Gerais, 2.21%(6) 325,610 649
Gerdau S.A., 3.58%(6) 284,361 1,217
Itau Unibanco Holding S.A., 0.86%(6) 1,176,698 5,104
Itausa S.A., 0.91%(6) 1,122,065 1,788
Petroleo Brasileiro S.A., 20.44%(6) 1,167,361 6,228
    20,157
Chile – 0.2%
Sociedad Quimica y Minera de Chile S.A., Class B, 2.98%(6) 34,696 2,893
Colombia – 0.0%
Bancolombia S.A., 9.84%(6) 107,389 833
Russia – 0.0%
Surgutneftegas PJSC, 13.53%(2) (6) 1,903,637
South Korea – 0.6%
Hyundai Motor Co., 5.8%(6) 5,872 394
Hyundai Motor Co. (2nd Preferred), 5.82%(6) 8,986 607
LG Chem Ltd., 5.01%(6) 1,950 361
LG H&H Co. Ltd., 3.69%(6) 509 128
Samsung Electronics Co. Ltd., 2.78%(6) 199,392 8,000
    9,490
Total Preferred Stocks    
(Cost $29,524)   33,373
     
  NUMBER
OF SHARES
VALUE
(000S)
RIGHTS – 0.0%
Taiwan – 0.0%
Taishin Financial Holding Co. Ltd.(2) * 49,000 $—
Walsin Lihwa Corp.* 40,986 4
    4
Total Rights    
(Cost $—)   4
     
INVESTMENT COMPANIES – 3.3%
iShares Core MSCI Emerging Markets ETF 454,000 22,273
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(7) (8) 30,983,205 30,983
Total Investment Companies    
(Cost $53,797)   53,256
     
Total Investments – 99.3%    
(Cost $1,221,621)   1,640,467
Other Assets less Liabilities – 0.7%   12,192
Net Assets – 100.0%   $1,652,659
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Value rounds to less than one thousand.
(4) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(5) Restricted security that has been deemed illiquid. At June 30, 2022, the value of these restricted illiquid securities amounted to approximately$0 or 0.0% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Alrosa PJSC 5/30/14-8/20/20 $775
Sberbank of Russia PJSC 5/7/09-6/17/21 5,525
Sberbank of Russia PJSC (Moscow Exchange) 3/7/07-8/29/08 193
Severstal PAO 2/26/10-3/25/21 815
Severstal PAO GDR (Registered) 7/30/09 12
VTB Bank PJSC 4/21/16-8/20/20 818
VTB Bank PJSC GDR 5/11/07-10/28/09 80
VTB Bank PJSC GDR (Registered) 4/2/09-7/30/09 91
    
(6) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
 
NORTHERN FUNDS QUARTERLY REPORT     35    EQUITY FUNDS

Schedule of Investments
EMERGING MARKETS EQUITY INDEX FUNDcontinued  
(7) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(8) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
CPO – Certificado de Participación Ordinario
 
ETF – Exchange-Traded Fund
 
GDR – Global Depositary Receipt
 
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had outstanding forward foreign currency exchange contracts as follows:
COUNTERPARTY CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Citibank
Indian Rupee
27,953 United States Dollar 356 9/21/22 $4
Citibank
Korean Won
1,717,399 United States Dollar 1,353 9/21/22 18
Citibank
South African Rand
1,583 United States Dollar 99 9/21/22 3
Citibank
United States Dollar
80 Hong Kong Dollar 626 9/21/22 —*
Goldman Sachs
Brazillian Real
10,432 United States Dollar 2,066 9/21/22 120
Goldman Sachs
Taiwan Dollar
9,279 United States Dollar 316 9/21/22 2
Subtotal Appreciation         147
Total           $147
    
* Amount rounds to less than one thousand.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI Emerging Markets Index (United States Dollar) 977 $48,982 Long 9/22 $(133)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
Hong Kong Dollar 25.6%
Taiwan Dollar 13.8
Indian Rupee 12.2
Korean Won 10.8
United States Dollar 6.4
Chinese Yuan Renminbi 5.5
All other currencies less than 5% 25.0
Total Investments 99.3
Other Assets less Liabilities 0.7
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Brazil $56,715 $$$56,715
Chile 5,265 5,265
China 44,638 481,046 512 526,196
Colombia 1,747 1,747
Egypt 204 796 1,000
Hong Kong 297 35,691 169 36,157
Mexico 33,566 33,566
Peru 3,449 3,449
Singapore 392 435 827
Thailand 1,155 28,875 30,030
United States 2,483 690 3,173
All Other Countries(1) 855,709 855,709
Total Common Stocks 149,911 1,403,242 681 1,553,834
 
EQUITY FUNDS    36    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Preferred Stocks:        
South Korea $$9,490 $$9,490
All Other Countries(1) 23,883 23,883
Total Preferred Stocks 23,883 9,490 33,373
Rights 4 4
Investment Companies 53,256 53,256
Total Investments $227,054 $1,412,732 $681 $1,640,467
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Forward Foreign Currency Exchange Contracts $$147 $$147
Futures Contracts (133) (133)
    
(1) Classifications as defined in the Schedule of Investments.
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $41,401 $117,977 $128,395 $32 $30,983 30,983,205
NORTHERN FUNDS QUARTERLY REPORT     37    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)
Australia – 4.2%
Abacus Property Group 232,513 $412
Arena REIT 230,478 677
BGP Holdings PLC(2) (3) * 6,535,576
BWP Trust 324,795 872
Centuria Industrial REIT 382,105 740
Centuria Office REIT 233,215 274
Charter Hall Long Wale REIT 407,894 1,201
Charter Hall Retail REIT 352,984 916
Charter Hall Social Infrastructure REIT 232,836 542
Dexus 705,382 4,319
Dexus Industria REIT 139,153 262
GDI Property Group Partnership 294,983 185
Goodman Group 1,099,576 13,527
GPT Group (The) 1,252,093 3,643
Growthpoint Properties Australia Ltd. 165,907 390
Home Consortium Ltd. 58,697 183
HomeCo Daily Needs REIT 939,385 829
Ingenia Communities Group 227,416 624
Irongate Group 353,437 464
Lifestyle Communities Ltd. 60,281 565
Mirvac Group 2,544,940 3,466
National Storage REIT 686,810 1,013
Scentre Group 3,409,454 6,088
Shopping Centres Australasia Property Group 752,821 1,428
Stockland 1,564,246 3,899
Vicinity Centres 2,543,195 3,223
Waypoint REIT Ltd. 490,076 784
    50,526
Austria – 0.1%
CA Immobilien Anlagen A.G. 29,413 933
IMMOFINANZ A.G.* 22,797 346
S IMMO A.G. 22,072 526
    1,805
Belgium – 1.0%
Aedifica S.A. 23,957 2,298
Befimmo S.A. 14,444 715
Cofinimmo S.A. 20,052 2,178
Immobel S.A. 2,619 166
Intervest Offices & Warehouses N.V. 15,421 404
Montea N.V. 7,510 719
Retail Estates N.V. 7,152 476
Shurgard Self Storage S.A. 18,146 846
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Belgium – 1.0%continued
Warehouses De Pauw - C.V.A. 97,994 $3,083
Xior Student Housing N.V. 15,225 663
    11,548
Brazil – 0.2%
Aliansce Sonae Shopping Centers S.A. 81,400 249
BR Malls Participacoes S.A. 517,213 745
BR Properties S.A. 133,452 225
Iguatemi S.A. 120,000 411
Iguatemi S.A. (Brazil Stock Exchange) 128,800 57
JHSF Participacoes S.A. 221,263 246
LOG Commercial Properties e Participacoes S.A. 35,800 125
Multiplan Empreendimentos Imobiliarios S.A.* 183,772 771
    2,829
Canada – 1.6%
Allied Properties Real Estate Investment Trust 42,296 1,091
Artis Real Estate Investment Trust 42,298 386
Boardwalk Real Estate Investment Trust 15,374 500
BSR Real Estate Investment Trust 18,776 281
Canadian Apartment Properties REIT 54,265 1,890
Choice Properties Real Estate Investment Trust 110,030 1,201
City Office REIT, Inc. 29,333 380
Crombie Real Estate Investment Trust 32,736 410
CT Real Estate Investment Trust 35,325 455
Dream Industrial Real Estate Investment Trust 78,244 734
Dream Office Real Estate Investment Trust 15,964 240
First Capital Real Estate Investment Trust 73,854 860
Granite Real Estate Investment Trust 21,996 1,349
H&R Real Estate Investment Trust 92,690 897
InterRent Real Estate Investment Trust 46,178 430
Killam Apartment Real Estate Investment Trust 37,669 502
Minto Apartment Real Estate Investment Trust 10,902 124
Morguard North American Residential Real Estate Investment Trust 11,716 149
Nexus Industrial REIT 14,139 106
NorthWest Healthcare Properties Real Estate Investment Trust 72,468 679
Primaris Real Estate Investment Trust 29,782 283
 
EQUITY FUNDS    38    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Canada – 1.6%continued
RioCan Real Estate Investment Trust 96,227 $1,497
Slate Grocery REIT, Class U 19,272 218
SmartCentres Real Estate Investment Trust 49,888 1,065
StorageVault Canada, Inc. 143,552 661
Summit Industrial Income REIT 59,851 796
Tricon Residential, Inc. 167,773 1,701
    18,885
Chile – 0.1%
Cencosud Shopping S.A. 310,380 283
Parque Arauco S.A. 299,139 233
Plaza S.A. 258,122 200
    716
China – 2.1%
Agile Group Holdings Ltd. 613,226 249
China Aoyuan Group Ltd.(2) 767,000 90
China Evergrande Group 2,512,000 332
China Merchants Shekou Industrial Zone Holdings Co. Ltd., Class A 316,100 636
China SCE Group Holdings Ltd. 675,000 95
China Vanke Co. Ltd., Class A 397,540 1,223
China Vanke Co. Ltd., Class H 1,092,841 2,791
CIFI Holdings Group Co. Ltd. 2,558,632 1,301
Country Garden Holdings Co. Ltd. 5,197,672 3,276
Datang Group Holdings Ltd.* 233,000 104
Dexin China Holdings Co. Ltd.* 542,000 188
Ganglong China Property Group Ltd. 280,000 162
Gemdale Corp., Class A 181,000 364
Greenland Hong Kong Holdings Ltd. 346,000 68
Greentown China Holdings Ltd. 565,000 1,173
Guangzhou R&F Properties Co. Ltd., Class H 937,402 248
Huijing Holdings Co. Ltd. 520,000 119
Jinke Properties Group Co. Ltd., Class A 235,600 101
Kaisa Group Holdings Ltd.(2) * 1,510,428 145
KWG Group Holdings Ltd.* 629,094 204
Logan Group Co. Ltd.(2) 937,000 272
Longfor Group Holdings Ltd. 1,184,000 5,705
Midea Real Estate Holding Ltd. 195,600 317
Nam Tai Property, Inc.(2) * 6,697 27
Poly Developments and Holdings Group Co. Ltd., Class A 474,500 1,242
Powerlong Real Estate Holdings Ltd. 636,000 108
Radiance Holdings Group Co. Ltd. 549,000 324
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
China – 2.1%continued
Redco Properties Group Ltd.* 476,000 $122
Redsun Properties Group Ltd. 661,000 216
Ronshine China Holdings Ltd.* 130,500 32
Seazen Group Ltd.* 1,195,904 604
Seazen Holdings Co. Ltd., Class A 85,400 326
Shanghai Jinqiao Export Processing Zone Development Co. Ltd., Class B 172,216 176
Shanghai Lingang Holdings Corp. Ltd., Class A 66,600 135
Shanghai Lujiazui Finance & Trade Zone Development Co. Ltd., Class B 694,251 611
Shanghai Zhangjiang High-Tech Park Development Co. Ltd., Class A 41,800 78
Shui On Land Ltd. 2,029,277 276
Sino-Ocean Group Holding Ltd. 1,907,000 327
Skyfame Realty Holdings Ltd. 1,348,000 17
SOHO China Ltd.* 1,105,256 210
Sunac China Holdings Ltd.(2) 2,210,050 997
Sunkwan Properties Group Ltd.* 368,000 59
Yincheng International Holding Co. Ltd.* 266,000 115
Yuzhou Group Holdings Co. Ltd. 674,531 41
Zhenro Properties Group Ltd.* 797,000 60
Zhongliang Holdings Group Co. Ltd. 348,500 59
    25,325
Egypt – 0.0%
Talaat Moustafa Group 651,171 243
Finland – 0.2%
Citycon OYJ* 50,673 344
Kojamo OYJ 88,334 1,524
    1,868
France – 1.2%
Altarea S.C.A. 2,535 347
Carmila S.A.* 35,399 501
Covivio 30,833 1,727
Gecina S.A. 30,131 2,835
ICADE 22,732 1,117
Klepierre S.A.* 140,674 2,709
Mercialys S.A. 44,570 363
Nexity S.A. 25,905 698
Unibail-Rodamco-Westfield* 76,947 3,927
    14,224
Germany – 2.0%
ADLER Group S.A.* 42,086 166
 
NORTHERN FUNDS QUARTERLY REPORT     39    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Germany – 2.0%continued
Aroundtown S.A. 652,394 $2,075
Deutsche EuroShop A.G. 31,811 739
DIC Asset A.G. 30,192 334
Grand City Properties S.A. 62,536 844
Hamborner REIT A.G. 48,171 431
Instone Real Estate Group S.E. 27,585 329
LEG Immobilien S.E. 47,862 3,968
Sirius Real Estate Ltd. 768,890 835
TAG Immobilien A.G. 95,161 1,086
Vonovia S.E. 456,474 14,067
    24,874
Greece – 0.0%
LAMDA Development S.A.* 40,165 237
Hong Kong – 7.0%
C&D International Investment Group Ltd. 316,234 856
Champion REIT 1,722,846 767
China Jinmao Holdings Group Ltd. 3,610,000 990
China Merchants Land Ltd.* 94,000 8
China Overseas Grand Oceans Group Ltd. 1,044,500 556
China Overseas Land & Investment Ltd. 2,495,042 7,982
China Resources Land Ltd. 2,088,155 9,876
China South City Holdings Ltd. 2,842,000 239
Chinese Estates Holdings Ltd.* 198,500 57
CK Asset Holdings Ltd. 1,313,500 9,304
Cosmopolitan International Holdings Ltd.* 990,000 210
Far East Consortium International Ltd. 678,807 216
Fortune Real Estate Investment Trust 979,000 812
Gemdale Properties & Investment Corp. Ltd. 3,134,000 284
Hang Lung Group Ltd. 527,000 1,000
Hang Lung Properties Ltd. 1,309,452 2,485
Henderson Land Development Co. Ltd. 948,555 3,570
Hongkong Land Holdings Ltd. 749,018 3,766
Hopson Development Holdings Ltd. 489,269 749
Hysan Development Co. Ltd. 404,045 1,217
Jiayuan International Group Ltd.* 578,303 32
K Wah International Holdings Ltd. 674,802 249
Kerry Properties Ltd. 382,599 1,064
Link REIT 1,381,826 11,285
Poly Property Group Co. Ltd. 857,000 207
Prosperity REIT 862,000 264
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Hong Kong – 7.0%continued
Road King Infrastructure Ltd. 65,000 $46
Shanghai Industrial Urban Development Group Ltd. 600,000 52
Shenzhen Investment Ltd. 1,429,191 285
Shimao Group Holdings Ltd.(2) 817,369 390
Shun Tak Holdings Ltd.* 578,000 117
Sino Land Co. Ltd. 2,246,299 3,317
Sun Hung Kai Properties Ltd. 945,925 11,193
Sunlight Real Estate Investment Trust 692,000 322
Swire Properties Ltd. 753,200 1,872
Wharf Holdings (The) Ltd. 789,317 2,879
Wharf Real Estate Investment Co. Ltd. 1,091,317 5,203
Yuexiu Property Co. Ltd. 875,288 1,124
Yuexiu Real Estate Investment Trust 1,363,940 532
Zensun Enterprises Ltd.* 306,000 121
    85,498
India – 0.7%
Brigade Enterprises Ltd. 70,718 398
Brookfield India Real Estate Trust 69,503 288
DLF Ltd. 412,598 1,637
Embassy Office Parks REIT 275,687 1,307
Godrej Properties Ltd.* 81,533 1,224
Indiabulls Real Estate Ltd.* 264,551 205
Mahindra Lifespace Developers Ltd.* 46,585 241
Mindspace Business Parks REIT 94,704 420
NESCO Ltd. 4,831 34
Oberoi Realty Ltd.* 87,036 814
Phoenix Mills (The) Ltd. 64,697 971
Prestige Estates Projects Ltd. 95,589 469
Sunteck Realty Ltd. 36,522 230
    8,238
Indonesia – 0.1%
Ciputra Development Tbk PT 6,406,936 370
Lippo Karawaci Tbk PT* 19,216,210 145
Pakuwon Jati Tbk PT* 11,677,340 370
Rimo International Lestari Tbk PT* 42,545,100 71
Summarecon Agung Tbk PT* 6,767,396 259
    1,215
Ireland – 0.0%
Irish Residential Properties REIT PLC 315,643 419
Israel – 0.8%
AFI Properties Ltd. 5,934 286
Africa Israel Residences Ltd. 3,876 200
 
EQUITY FUNDS    40    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Israel – 0.8%continued
Amot Investments Ltd. 153,227 $925
Azrieli Group Ltd. 27,699 1,950
Blue Square Real Estate Ltd. 3,725 258
Electra Real Estate Ltd. 15,939 225
Israel Canada T.R Ltd. 76,659 297
Israel Land Development - Urban Renewal Ltd. 10,105 155
Isras Investment Co. Ltd. 1,184 227
Mega Or Holdings Ltd. 16,291 491
Melisron Ltd.* 15,205 1,020
Mivne Real Estate KD Ltd. 411,119 1,202
Prashkovsky Investments and Construction Ltd. 4,581 143
Property & Building Corp. Ltd.* 2,040 161
Reit 1 Ltd. 124,414 653
Sella Capital Real Estate Ltd. 127,414 348
Summit Real Estate Holdings Ltd. 25,887 414
YH Dimri Construction & Development Ltd. 5,366 411
    9,366
Italy – 0.0%
Immobiliare Grande Distribuzione SIIQ S.p.A. 28,578 106
Japan – 9.7%
Activia Properties, Inc. 451 1,342
Advance Logistics Investment Corp. 395 438
Advance Residence Investment Corp. 875 2,328
Aeon Mall Co. Ltd. 70,066 857
AEON REIT Investment Corp. 1,064 1,201
Comforia Residential REIT, Inc. 414 1,022
CRE Logistics REIT, Inc. 348 484
Daiwa House Industry Co. Ltd. 393,800 9,185
Daiwa House REIT Investment Corp. 1,426 3,233
Daiwa Office Investment Corp. 208 1,067
Daiwa Securities Living Investments Corp. 1,267 1,112
Frontier Real Estate Investment Corp. 325 1,253
Fukuoka REIT Corp. 444 551
Global One Real Estate Investment Corp. 671 525
GLP J-REIT 2,788 3,408
Goldcrest Co. Ltd. 11,400 145
Hankyu Hanshin REIT, Inc. 427 470
Heiwa Real Estate Co. Ltd. 20,900 600
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Japan – 9.7%continued
Heiwa Real Estate REIT, Inc. 595 $641
Hoshino Resorts REIT, Inc. 150 725
Hulic Co. Ltd. 245,740 1,903
Hulic REIT, Inc. 897 1,056
Ichigo Office REIT Investment Corp. 823 511
Ichigo, Inc. 155,400 359
Industrial & Infrastructure Fund Investment Corp. 1,261 1,669
Invincible Investment Corp. 3,935 1,157
Japan Excellent, Inc. 766 692
Japan Hotel REIT Investment Corp. 2,902 1,451
Japan Logistics Fund, Inc. 544 1,257
Japan Metropolitan Fund Invest 4,576 3,566
Japan Prime Realty Investment Corp. 548 1,610
Japan Real Estate Investment Corp. 813 3,739
Katitas Co. Ltd. 32,200 694
Keihanshin Building Co. Ltd. 20,000 194
Kenedix Office Investment Corp. 274 1,374
Kenedix Residential Next Investment Corp. 642 1,028
Kenedix Retail REIT Corp. 404 819
LaSalle Logiport REIT 1,197 1,469
Leopalace21 Corp.* 102,200 216
Mirai Corp. 1,036 381
Mitsubishi Estate Co. Ltd. 772,180 11,213
Mitsubishi Estate Logistics REIT Investment Corp. 291 987
Mitsui Fudosan Co. Ltd. 595,162 12,807
Mitsui Fudosan Logistics Park, Inc. 353 1,335
Mori Hills REIT Investment Corp. 1,045 1,173
Mori Trust Hotel Reit, Inc. 233 216
Mori Trust Sogo Reit, Inc. 643 673
Nippon Accommodations Fund, Inc. 320 1,608
Nippon Building Fund, Inc. 1,014 5,045
Nippon Prologis REIT, Inc. 1,395 3,431
NIPPON REIT Investment Corp. 291 781
Nomura Real Estate Holdings, Inc. 76,100 1,866
Nomura Real Estate Master Fund, Inc. 2,764 3,451
NTT UD REIT Investment Corp. 914 996
One REIT, Inc. 165 327
Orix JREIT, Inc. 1,715 2,324
SAMTY Co. Ltd. 13,000 193
Samty Residential Investment Corp. 227 227
Sekisui House Reit, Inc. 2,701 1,601
 
NORTHERN FUNDS QUARTERLY REPORT     41    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Japan – 9.7%continued
SOSiLA Logistics REIT, Inc. 455 $486
Star Asia Investment Corp. 1,037 469
Starts Proceed Investment Corp. 148 264
Sumitomo Realty & Development Co. Ltd. 200,525 5,300
Sun Frontier Fudousan Co. Ltd. 18,700 154
Takara Leben Real Estate Investment Corp. 377 326
TKP Corp.* 6,600 86
TOC Co. Ltd. 19,100 101
Tokyo Tatemono Co. Ltd. 126,500 1,744
Tokyu REIT, Inc. 580 850
Tosei Corp. 20,800 193
United Urban Investment Corp. 1,935 2,026
    117,985
Kuwait – 0.1%
Mabanee Co. KPSC 424,753 1,043
National Real Estate Co. KPSC* 679,734 355
    1,398
Malaysia – 0.2%
Axis Real Estate Investment Trust 980,400 427
IGB Real Estate Investment Trust 1,111,200 403
IOI Properties Group Bhd. 879,300 200
Mah Sing Group Bhd. 556,400 76
Matrix Concepts Holdings Bhd. 323,200 173
Sime Darby Property Bhd. 1,331,200 136
SP Setia Bhd. Group 969,669 150
Sunway Real Estate Investment Trust 1,247,000 422
YTL Hospitality REIT 202,300 43
    2,030
Mexico – 0.4%
Concentradora Fibra Danhos S.A. de C.V. 169,853 191
Corp. Inmobiliaria Vesta S.A.B. de C.V. 384,400 717
Fibra Uno Administracion S.A. de C.V. 2,085,533 2,080
Macquarie Mexico Real Estate Management S.A. de C.V. 518,189 657
PLA Administradora Industrial S de RL de C.V. 528,800 710
Prologis Property Mexico S.A. de C.V. 328,891 863
    5,218
Netherlands – 0.1%
Eurocommercial Properties N.V. 27,602 597
NSI N.V. 14,101 486
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Netherlands – 0.1%continued
Vastned Retail N.V. 6,377 $143
Wereldhave N.V. 21,245 321
    1,547
New Zealand – 0.2%
Argosy Property Ltd. 516,836 399
Goodman Property Trust 655,529 819
Kiwi Property Group Ltd. 1,032,365 628
Precinct Properties New Zealand Ltd. 878,193 751
    2,597
Norway – 0.1%
Entra ASA 40,472 511
Selvaag Bolig ASA 31,182 113
    624
Philippines – 0.7%
AREIT, Inc. 316,600 201
Ayala Land, Inc. 4,785,281 2,216
Filinvest REIT Corp. 1,412,400 175
Megaworld Corp. 5,864,001 230
MREIT, Inc. 655,400 181
RL Commercial REIT, Inc. 2,689,900 304
Robinsons Land Corp. 1,140,096 357
SM Prime Holdings, Inc. 7,617,053 5,063
Vista Land & Lifescapes, Inc. 1,500,400 54
    8,781
Qatar – 0.1%
Barwa Real Estate Co. 1,301,592 1,194
United Development Co. QSC 1,189,543 455
    1,649
Romania – 0.1%
NEPI Rockcastle S.A. 291,519 1,558
Russia – 0.0%
LSR Group PJSC(2) * 30,351
Saudi Arabia – 0.2%
Arriyadh Development Co. 62,018 373
Dar Al Arkan Real Estate Development Co.* 364,223 1,046
Emaar Economic City* 273,980 722
Jadwa REIT Saudi Fund 104,692 327
Saudi Real Estate Co.* 131,688 470
    2,938
Singapore – 3.1%
AIMS APAC REIT 352,900 343
 
EQUITY FUNDS    42    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Singapore – 3.1%continued
Ascendas India Trust 570,300 $481
Ascendas Real Estate Investment Trust 2,207,034 4,530
Ascott Residence Trust 1,296,714 1,065
CapitaLand China Trust 809,927 671
CapitaLand Integrated Commercial Trust 3,482,014 5,443
CDL Hospitality Trusts 544,953 499
City Developments Ltd. 267,100 1,568
Cromwell European Real Estate Investment Trust 215,971 441
Digital Core REIT Management Pte Ltd.* 497,300 383
ESR-LOGOS REIT 3,234,496 944
Far East Hospitality Trust 564,603 260
Frasers Centrepoint Trust 692,809 1,143
Frasers Hospitality Trust 402,000 203
Frasers Logistics & Commercial Trust 1,885,146 1,807
Keppel DC REIT 888,334 1,260
Keppel Pacific Oak U.S. REIT 577,000 404
Keppel REIT 1,274,720 1,000
Lendlease Global Commercial REIT 1,136,466 651
Manulife U.S. Real Estate Investment Trust 1,048,503 598
Mapletree Commercial Trust 703,554 927
Mapletree Industrial Trust 1,326,832 2,485
Mapletree Logistics Trust 2,111,191 2,556
Mapletree North Asia Commercial Trust 1,563,800 1,351
OUE Commercial Real Estate Investment Trust 1,414,800 392
OUE Ltd. 195,100 180
Parkway Life Real Estate Investment Trust 268,600 942
Prime U.S. REIT 363,100 245
Sasseur Real Estate Investment Trust 364,000 204
SPH REIT 1,421,900 957
Starhill Global REIT 990,090 414
Suntec Real Estate Investment Trust 1,482,291 1,730
UOL Group Ltd. 295,697 1,568
Yanlord Land Group Ltd. 358,300 274
    37,919
South Africa – 0.5%
Equites Property Fund Ltd. 447,506 486
Fortress REIT Ltd., Class A 757,686 498
Fortress REIT Ltd., Class B* 652,521 143
Growthpoint Properties Ltd. 2,265,355 1,719
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
South Africa – 0.5%continued
Hyprop Investments Ltd. 229,770 $470
Investec Property Fund Ltd. 429,880 277
Redefine Properties Ltd. 4,462,796 1,007
Resilient REIT Ltd. 205,281 674
Vukile Property Fund Ltd. 473,856 370
    5,644
South Korea – 0.1%
Dongwon Development Co. Ltd. 28,359 91
ESR Kendall Square REIT Co. Ltd. 87,082 379
JR Global Reit 70,463 263
LOTTE REIT Co. Ltd. 80,509 334
SK D&D Co. Ltd. 6,930 138
SK REITs Co. Ltd. 32,980 146
    1,351
Spain – 0.3%
Inmobiliaria Colonial Socimi S.A.* 192,396 1,231
Lar Espana Real Estate Socimi S.A. 42,362 210
Merlin Properties Socimi S.A. 215,181 2,077
    3,518
Sweden – 1.4%
Atrium Ljungberg AB, Class B 30,961 406
Castellum AB 170,442 2,192
Catena AB 19,541 710
Cibus Nordic Real Estate AB 29,625 457
Corem Property Group AB, Class B 368,305 413
Dios Fastigheter AB 59,554 414
Fabege AB 173,332 1,638
Fastighets AB Balder, Class B* 413,895 1,985
Hufvudstaden AB, Class A 76,957 851
K-fast Holding AB* 30,895 61
Nyfosa AB 106,382 796
Pandox AB* 60,974 684
Platzer Fastigheter Holding AB, Class B 41,898 271
Sagax AB, Class B 125,404 2,316
Samhallsbyggnadsbolaget i Norden AB 684,242 1,141
Samhallsbyggnadsbolaget i Norden AB, Class D 101,948 155
Wallenstam AB, Class B 223,242 977
Wihlborgs Fastigheter AB 185,946 1,301
    16,768
Switzerland – 1.0%
Allreal Holding A.G. (Registered) 10,024 1,663
 
NORTHERN FUNDS QUARTERLY REPORT     43    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
Switzerland – 1.0%continued
Intershop Holding A.G. 735 $475
IWG PLC* 478,934 1,092
Mobimo Holding A.G. (Registered) 4,534 1,102
PSP Swiss Property A.G. (Registered) 29,947 3,332
Swiss Prime Site A.G. (Registered) 49,988 4,387
    12,051
Taiwan – 0.4%
Cathay Real Estate Development Co. Ltd. 370,000 217
Chong Hong Construction Co. Ltd. 121,000 299
Farglory Land Development Co. Ltd. 158,000 332
Highwealth Construction Corp. 529,800 805
Huaku Development Co. Ltd. 156,000 466
Kindom Development Co. Ltd. 229,900 252
Prince Housing & Development Corp. 696,000 278
Ruentex Development Co. Ltd. 755,300 1,863
    4,512
Thailand – 0.5%
Amata Corp. PCL NVDR 599,935 311
AP Thailand PCL (Registered) 441,405 125
AP Thailand PCL NVDR 1,109,404 314
Central Pattana PCL (Registered) 581,626 1,003
Central Pattana PCL NVDR 747,798 1,292
Land & Houses PCL NVDR 5,486,300 1,297
Origin Property PCL NVDR 475,400 136
Pruksa Holding PCL NVDR 509,300 189
Quality Houses PCL NVDR 5,105,700 304
Sansiri PCL NVDR 7,774,766 222
SC Asset Corp. PCL (Registered) 747,984 69
SC Asset Corp. PCL NVDR 332,924 30
Singha Estate PCL NVDR* 1,939,300 106
Supalai PCL (Registered) 280,445 148
Supalai PCL NVDR 627,300 330
WHA Corp. PCL NVDR 5,754,100 499
    6,375
Turkey – 0.0%
Is Gayrimenkul Yatirim Ortakligi A.S.* 280,360 239
United Arab Emirates – 0.3%
Aldar Properties PJSC 2,515,170 3,051
United Kingdom – 3.9%
Assura PLC 1,913,396 1,524
Balanced Commercial Property Trust Ltd. 522,854 711
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
United Kingdom – 3.9%continued
Big Yellow Group PLC 113,067 $1,807
British Land (The) Co. PLC 578,118 3,149
Capital & Counties Properties PLC 477,670 816
Civitas Social Housing PLC 413,766 396
CLS Holdings PLC 121,818 300
Custodian REIT PLC 283,762 345
Derwent London PLC 66,011 2,100
Empiric Student Property PLC 378,385 396
Grainger PLC 471,537 1,615
Great Portland Estates PLC 137,829 962
Hammerson PLC 2,215,540 512
Helical PLC 78,607 358
Home Reit PLC 521,146 721
Impact Healthcare REIT PLC 165,981 236
Land Securities Group PLC 462,467 3,741
LondonMetric Property PLC 596,857 1,660
LXI REIT PLC 631,342 1,094
Picton Property Income (The) Ltd. 370,240 399
Primary Health Properties PLC 813,353 1,350
PRS REIT (The) PLC 308,566 397
Regional REIT Ltd. 275,257 243
Safestore Holdings PLC 139,484 1,803
Secure Income REIT PLC 180,311 1,034
Segro PLC 787,876 9,369
Shaftesbury PLC 125,291 797
Supermarket Income Reit PLC 631,445 921
Target Healthcare REIT PLC 427,222 564
Tritax Big Box REIT PLC 1,223,227 2,704
UK Commercial Property REIT Ltd. 543,366 496
UNITE Group (The) PLC 219,671 2,847
Urban Logistics REIT PLC 307,605 605
Warehouse Reit PLC 269,511 484
Watkin Jones PLC 147,740 396
Workspace Group PLC 90,018 609
    47,461
United States – 53.5%
Acadia Realty Trust 58,377 912
Agree Realty Corp. 47,089 3,397
Alexander's, Inc. 1,406 312
Alexandria Real Estate Equities, Inc. 99,543 14,437
American Assets Trust, Inc. 34,491 1,024
American Campus Communities, Inc. 92,568 5,968
American Homes 4 Rent, Class A 205,057 7,267
Americold Realty Trust, Inc. 174,255 5,235
 
EQUITY FUNDS    44    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
United States – 53.5%continued
Apartment Income REIT Corp. 102,560 $4,266
Apartment Investment and Management Co., Class A* 98,237 629
Apple Hospitality REIT, Inc. 141,384 2,074
AvalonBay Communities, Inc. 91,715 17,816
Bluerock Residential Growth REIT, Inc. 19,183 504
Boston Properties, Inc. 97,513 8,677
Brandywine Realty Trust 111,535 1,075
Brixmor Property Group, Inc. 193,586 3,912
Broadstone Net Lease, Inc. 107,000 2,195
Camden Property Trust 64,526 8,677
CareTrust REIT, Inc. 61,650 1,137
CBL & Associates Properties, Inc.* 7,998 188
Centerspace 9,908 808
Chatham Lodging Trust* 30,450 318
Community Healthcare Trust, Inc. 14,616 529
Corporate Office Properties Trust 75,115 1,967
Cousins Properties, Inc. 96,381 2,817
CubeSmart 147,137 6,286
DiamondRock Hospitality Co.* 135,012 1,108
Digital Realty Trust, Inc. 186,066 24,157
DigitalBridge Group, Inc.* 368,904 1,800
Diversified Healthcare Trust 132,572 241
Douglas Emmett, Inc. 115,035 2,574
Duke Realty Corp. 251,278 13,808
Eagle Hospitality Trust* 496,400 34
Easterly Government Properties, Inc. 55,882 1,064
EastGroup Properties, Inc. 27,149 4,190
Empire State Realty Trust, Inc., Class A 89,736 631
Equinix, Inc. 59,332 38,982
Equity Commonwealth* 73,388 2,020
Equity Commonwealth - (Fractional Shares)(2) * 75,000
Equity LifeStyle Properties, Inc. 116,044 8,178
Equity Residential 234,144 16,910
Essex Property Trust, Inc. 42,937 11,228
Extra Space Storage, Inc. 87,653 14,911
Federal Realty OP L.P. 46,349 4,437
First Industrial Realty Trust, Inc. 86,271 4,096
Four Corners Property Trust, Inc. 52,868 1,406
Franklin Street Properties Corp. 61,084 255
FRP Holdings, Inc.* 4,275 258
Getty Realty Corp. 26,626 706
Gladstone Commercial Corp. 24,823 468
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
United States – 53.5%continued
Global Medical REIT, Inc. 40,510 $455
Global Net Lease, Inc. 66,565 943
Healthcare Realty Trust, Inc. 99,381 2,703
Healthcare Trust of America, Inc., Class A 144,274 4,027
Healthpeak Properties, Inc. 353,536 9,160
Highwoods Properties, Inc. 67,796 2,318
Host Hotels & Resorts, Inc. 467,638 7,333
Howard Hughes (The) Corp.* 27,054 1,841
Hudson Pacific Properties, Inc. 98,850 1,467
Independence Realty Trust, Inc. 144,664 2,999
Indus Realty Trust, Inc. 2,533 150
Industrial Logistics Properties Trust 39,143 551
Innovative Industrial Properties, Inc. 16,219 1,782
InvenTrust Properties Corp. 44,274 1,142
Invitation Homes, Inc. 399,059 14,198
Iron Mountain, Inc. 190,304 9,266
JBG SMITH Properties 74,688 1,766
Kennedy-Wilson Holdings, Inc. 78,871 1,494
Kilroy Realty Corp. 68,942 3,608
Kimco Realty Corp. 403,902 7,985
Kite Realty Group Trust 143,397 2,479
Life Storage, Inc. 55,144 6,157
LTC Properties, Inc. 26,224 1,007
LXP Industrial Trust 188,417 2,024
Macerich (The) Co. 136,339 1,187
Medical Properties Trust, Inc. 390,746 5,967
Mid-America Apartment Communities, Inc. 75,780 13,236
National Health Investors, Inc. 29,926 1,814
National Retail Properties, Inc. 114,388 4,919
National Storage Affiliates Trust 57,389 2,873
Necessity Retail REIT (The), Inc. 80,992 590
NETSTREIT Corp. 26,928 508
NexPoint Residential Trust, Inc. 15,239 953
Office Properties Income Trust 31,509 629
Omega Healthcare Investors, Inc. 155,601 4,386
One Liberty Properties, Inc. 11,349 295
Orion Office REIT, Inc. 34,394 377
Paramount Group, Inc. 115,741 837
Park Hotels & Resorts, Inc. 152,430 2,068
Pebblebrook Hotel Trust 84,967 1,408
Phillips Edison & Co., Inc. 73,789 2,465
Physicians Realty Trust 150,311 2,623
 
NORTHERN FUNDS QUARTERLY REPORT     45    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
United States – 53.5%continued
Piedmont Office Realty Trust, Inc., Class A 80,897 $1,061
Plymouth Industrial REIT, Inc. 21,353 375
Prologis, Inc. 484,350 56,984
PS Business Parks, Inc. 13,762 2,576
Public Storage 103,246 32,282
Realty Income Corp. 387,094 26,423
Regency Centers Corp. 101,160 6,000
Retail Opportunity Investments Corp. 83,009 1,310
Rexford Industrial Realty, Inc. 105,704 6,087
RLJ Lodging Trust 106,421 1,174
RPT Realty 57,283 563
Ryman Hospitality Properties, Inc.* 33,728 2,564
Sabra Health Care REIT, Inc. 149,258 2,085
Saul Centers, Inc. 10,164 479
Seritage Growth Properties, Class A* 22,147 115
Service Properties Trust 95,499 499
Simon Property Group, Inc. 214,442 20,355
SITE Centers Corp. 122,257 1,647
SL Green Realty Corp. 42,402 1,957
Spirit Realty Capital, Inc. 82,077 3,101
St. Joe (The) Co. 21,034 832
STAG Industrial, Inc. 116,646 3,602
STORE Capital Corp. 158,936 4,145
Summit Hotel Properties, Inc.* 66,412 483
Sun Communities, Inc. 75,960 12,105
Sunstone Hotel Investors, Inc.* 142,838 1,417
Tanger Factory Outlet Centers, Inc. 68,831 979
Terreno Realty Corp. 49,971 2,785
UDR, Inc. 209,258 9,634
UMH Properties, Inc. 33,411 590
Universal Health Realty Income Trust 8,060 429
Urban Edge Properties 78,005 1,186
Urstadt Biddle Properties, Inc., Class A 20,907 339
Ventas, Inc. 261,007 13,424
Veris Residential, Inc.* 49,707 658
Vornado Realty Trust 105,766 3,024
Washington Real Estate Investment Trust 57,500 1,225
Welltower, Inc. 292,900 24,120
WeWork, Inc., Class A* 111,395 559
Whitestone REIT 28,904 311
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.2% (1)continued
United States – 53.5%continued
WP Carey, Inc. 124,858 $10,346
Xenia Hotels & Resorts, Inc.* 74,442 1,082
    650,791
Total Common Stocks    
(Cost $924,665)   1,193,927
     
RIGHTS – 0.0%
South Korea – 0.0%
JR Global Reit(4) * 13,520
Total Rights    
(Cost $—)  
     
INVESTMENT COMPANIES – 0.9%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(5) (6) 10,195,850 10,196
Total Investment Companies    
(Cost $10,196)   10,196
     
Total Investments – 99.1%    
(Cost $934,861)   1,204,123
Other Assets less Liabilities – 0.9%   11,419
Net Assets – 100.0%   $1,215,542
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Restricted security that has been deemed illiquid. At June 30, 2022, the value of this restricted illiquid security amounted to approximately$0 or 0.0% of net assets. Additional information on this restricted illiquid security is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
BGP Holdings PLC 12/2/09 $—
    
(4) Value rounds to less than one thousand.
(5) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(6) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
EAFE – Europe, Australasia and the Far East
 
 
EQUITY FUNDS    46    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
MSCI – Morgan Stanley Capital International
 
NVDR – Non-Voting Depositary Receipt
 
REIT – Real Estate Investment Trust
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had outstanding forward foreign currency exchange contracts as follows:
COUNTERPARTY CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
BNP
British Pound
263 United States Dollar 322 9/21/22 $—*
BNP
Canadian Dollar
80 United States Dollar 62 9/21/22 —*
UBS
Japanese Yen
55,130 United States Dollar 414 9/21/22 5
Subtotal Appreciation         5
BNP
Euro
1,291 United States Dollar 1,359 9/21/22 (2)
BNP
Swiss Franc
390 United States Dollar 396 9/21/22 (15)
BNP
United States Dollar
17 Swedish Krona 169 9/21/22 —*
Citibank
Hong Kong Dollar
1,144 United States Dollar 146 9/21/22 —*
Citibank
United States Dollar
187 Singapore Dollar 259 9/21/22 —*
JPMorgan Chase
Norwegian Krone
590 United States Dollar 60 9/21/22 —*
JPMorgan Chase
United States Dollar
258 Australian Dollar 366 9/21/22 (6)
Subtotal Depreciation         (23)
Total           $(18)
    
* Amounts round to less than a thousand.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 (United States Dollar) 16 $3,032 Long 9/22 $(32)
E-Mini S&P MidCap 400 (United States Dollar) 33 7,484 Long 9/22 (266)
MSCI EAFE Index (United States Dollar) 40 3,713 Long 9/22 18
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
MSCI Emerging Markets Index (United States Dollar) 76 $3,810 Long 9/22 $11
S&P/TSX 60 Index (Canadian Dollar) 24 4,260 Long 9/22 (188)
Total         $(457)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 54.9%
Japanese Yen 9.7
Hong Kong Dollar 8.4
All other currencies less than 5% 26.1
Total Investments 99.1
Other Assets less Liabilities 0.9
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Brazil $2,829 $$$2,829
Canada 18,885 18,885
Chile 716 716
China 23,794 1,531 25,325
Hong Kong 85,108 390 85,498
 
NORTHERN FUNDS QUARTERLY REPORT     47    EQUITY FUNDS

Schedule of Investments
GLOBAL REAL ESTATE INDEX FUNDcontinued June 30, 2022 (UNAUDITED)
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Mexico $5,218 $$$5,218
United States 650,757 34 650,791
All Other Countries(1) 404,665 404,665
Total Common Stocks 678,405 513,601 1,921 1,193,927
Rights —*
Investment Companies 10,196 10,196
Total Investments $688,601 $513,601 $1,921 $1,204,123
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Forward Foreign Currency Exchange Contracts $$5 $$5
Futures Contracts 11 11
Liabilities        
Forward Foreign Currency Exchange Contracts (23) (23)
Futures Contracts (468) (468)
Total Other Financial Instruments $(457) $(18) $$(475)
    
(1) Classifications as defined in the Schedule of Investments.
* Amounts round to less than a thousand.
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $23,490 $21,838 $35,132 $10 $10,196 10,195,850
EQUITY FUNDS    48    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)
Argentina – 0.1%
MercadoLibre, Inc.* 2,263 $1,441
Australia – 2.2%
APA Group 59,589 463
Aristocrat Leisure Ltd. 29,434 699
ASX Ltd. 9,750 550
Aurizon Holdings Ltd. 89,894 236
Australia & New Zealand Banking Group Ltd. 139,903 2,129
BlueScope Steel Ltd. 24,874 273
Brambles Ltd. 72,176 533
Cochlear Ltd. 3,317 455
Coles Group Ltd. 65,667 808
Commonwealth Bank of Australia 85,009 5,306
Computershare Ltd. 27,449 467
Dexus 53,616 328
Domino's Pizza Enterprises Ltd. 3,016 141
Endeavour Group Ltd. 66,229 346
Evolution Mining Ltd. 94,808 153
Fortescue Metals Group Ltd. 84,516 1,040
Goodman Group 84,236 1,036
GPT Group (The) 95,452 278
IDP Education Ltd. 10,385 171
Lendlease Corp. Ltd. 34,511 217
Macquarie Group Ltd. 18,230 2,072
Mineral Resources Ltd. 8,143 276
Mirvac Group 198,273 270
Newcrest Mining Ltd. 44,136 628
Northern Star Resources Ltd. 57,840 267
Orica Ltd. 19,275 209
QBE Insurance Group Ltd. 74,457 625
Ramsay Health Care Ltd. 8,996 455
REA Group Ltd. 2,769 213
Santos Ltd. 159,013 811
Scentre Group 257,011 459
SEEK Ltd. 16,340 237
Sonic Healthcare Ltd. 22,972 524
Stockland 118,228 295
Suncorp Group Ltd. 62,118 471
Telstra Corp. Ltd. 209,857 557
Transurban Group 153,881 1,528
Vicinity Centres 189,539 240
Woodside Energy Group Ltd. 93,951 2,057
    27,823
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Austria – 0.1%
OMV A.G. 7,273 $342
Verbund A.G. 3,334 326
voestalpine A.G. 5,796 123
    791
Belgium – 0.1%
D'ieteren Group 1,228 180
KBC Group N.V. 12,523 703
Solvay S.A., Class A 3,723 302
Umicore S.A. 10,263 359
    1,544
Canada – 3.7%
Agnico Eagle Mines Ltd. 22,911 1,049
Alimentation Couche-Tard, Inc. 42,205 1,646
Aurora Cannabis, Inc.(2) *
Bank of Montreal 32,316 3,108
Bank of Nova Scotia (The) 60,553 3,584
Brookfield Asset Management, Inc., Class A 70,446 3,134
CAE, Inc.* 15,364 379
Cameco Corp. 19,216 404
Canadian Apartment Properties REIT 4,009 140
Canadian National Railway Co. 29,650 3,335
Canadian Tire Corp. Ltd., Class A 2,733 345
Enbridge, Inc. 101,161 4,272
FirstService Corp. 1,913 232
Fortis, Inc. 23,318 1,102
Gildan Activewear, Inc. 9,318 268
Hydro One Ltd. 16,404 441
Intact Financial Corp. 8,806 1,242
Ivanhoe Mines Ltd., Class A* 30,369 175
Keyera Corp. 10,691 244
Kinross Gold Corp. 59,959 213
Lululemon Athletica, Inc.* 5,874 1,601
Lundin Mining Corp. 32,275 205
Magna International, Inc. 14,307 786
Metro, Inc. 12,212 655
National Bank of Canada 16,907 1,109
Northland Power, Inc. 11,287 336
Nutrien Ltd. 27,475 2,188
Open Text Corp. 13,543 512
Parkland Corp. 7,685 209
Pembina Pipeline Corp. 27,840 984
Power Corp. of Canada 27,461 707
Ritchie Bros. Auctioneers, Inc. 5,347 348
 
NORTHERN FUNDS QUARTERLY REPORT     49    EQUITY FUNDS

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Canada – 3.7%continued
Rogers Communications, Inc., Class B 17,923 $859
Shopify, Inc., Class A* 56,920 1,779
TELUS Corp. 1,105 25
TELUS Corp. (Toronto Exchange) 21,544 480
Thomson Reuters Corp. 8,481 884
Toromont Industries Ltd. 4,246 343
Toronto-Dominion Bank (The) 90,772 5,952
Wheaton Precious Metals Corp. 22,244 801
    46,076
Chile – 0.0%
Antofagasta PLC 19,087 268
Denmark – 1.3%
AP Moller - Maersk A/S, Class A 160 371
AP Moller - Maersk A/S, Class B 263 618
Chr Hansen Holding A/S 5,286 386
Coloplast A/S, Class B 5,809 663
Demant A/S* 5,098 191
Genmab A/S* 3,281 1,064
GN Store Nord A/S 6,648 235
Novo Nordisk A/S, Class B 83,866 9,308
Novozymes A/S, Class B 10,257 618
Orsted A/S(3) 9,442 987
Pandora A/S 4,770 301
Vestas Wind Systems A/S 50,379 1,068
    15,810
Finland – 0.5%
Elisa OYJ 7,222 406
Kesko OYJ, Class B 13,335 315
Neste OYJ 21,130 936
Nordea Bank Abp 164,991 1,453
Orion OYJ, Class B 4,940 221
Sampo OYJ, Class A 25,051 1,091
Stora Enso OYJ (Registered) 27,722 435
UPM-Kymmene OYJ 26,685 816
Wartsila OYJ Abp 23,048 180
    5,853
France – 2.9%
Accor S.A.* 8,383 230
Air Liquide S.A. 26,040 3,520
Alstom S.A. 15,354 351
AXA S.A. 96,576 2,195
BioMerieux 2,051 200
BNP Paribas S.A. 55,368 2,636
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
France – 2.9%continued
Bouygues S.A. 11,428 $353
Bureau Veritas S.A. 14,777 379
Carrefour S.A. 30,133 535
Cie Generale des Etablissements Michelin S.C.A. 33,793 929
Covivio 2,554 143
Danone S.A. 32,581 1,831
Eiffage S.A. 4,277 388
EssilorLuxottica S.A. 14,321 2,166
Gecina S.A. 2,162 203
Kering S.A. 3,733 1,940
Klepierre S.A.* 10,572 204
L'Oreal S.A. 12,005 4,148
Orange S.A. 99,523 1,170
Publicis Groupe S.A. 11,525 569
Schneider Electric S.E. 26,937 3,191
SEB S.A. 1,312 127
Societe Generale S.A. 39,456 865
Teleperformance 2,937 904
TotalEnergies S.E. 123,514 6,511
Unibail-Rodamco-Westfield* 5,780 295
Valeo 10,401 204
Vivendi S.E. 37,105 379
Worldline S.A.(3) * 11,684 432
    36,998
Germany – 1.6%
adidas A.G. 8,652 1,530
Allianz S.E. (Registered) 20,355 3,886
Bayerische Motoren Werke A.G. 16,557 1,275
Beiersdorf A.G. 5,074 518
Brenntag S.E. 7,507 489
Carl Zeiss Meditec A.G. (Bearer) 2,002 239
Commerzbank A.G.* 52,149 365
Delivery Hero S.E.(3) * 7,876 295
Deutsche Boerse A.G. 9,476 1,585
Evonik Industries A.G. 10,556 225
GEA Group A.G. 7,719 266
HeidelbergCement A.G. 7,224 347
HelloFresh S.E.* 7,976 258
Henkel A.G. & Co. KGaA 5,063 310
LEG Immobilien S.E. 3,723 309
Merck KGaA 6,465 1,091
MTU Aero Engines A.G. 2,708 493
Puma S.E. 5,388 355
 
EQUITY FUNDS    50    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Germany – 1.6%continued
SAP S.E. 52,059 $4,743
Symrise A.G. 6,507 708
Telefonica Deutschland Holding A.G. 48,018 138
Zalando S.E.(3) * 11,005 288
    19,713
Hong Kong – 0.8%
AIA Group Ltd. 602,800 6,621
BOC Hong Kong Holdings Ltd. 184,500 730
Chow Tai Fook Jewellery Group Ltd. 97,200 183
CK Infrastructure Holdings Ltd. 32,000 197
Hang Seng Bank Ltd. 37,778 667
HKT Trust & HKT Ltd. 197,000 265
Hong Kong & China Gas Co. Ltd. 546,463 589
MTR Corp. Ltd. 77,626 406
Sino Land Co. Ltd. 164,000 242
Swire Pacific Ltd., Class A 25,000 150
Swire Properties Ltd. 58,278 145
WH Group Ltd.(3) 405,500 314
    10,509
Ireland – 1.3%
Accenture PLC, Class A 31,477 8,740
Allegion PLC 4,320 423
Aptiv PLC* 13,532 1,205
CRH PLC 38,365 1,328
DCC PLC 4,954 310
James Hardie Industries PLC - CDI 21,858 479
Jazz Pharmaceuticals PLC* 3,085 481
Kerry Group PLC, Class A 7,990 765
Kingspan Group PLC 7,495 451
Smurfit Kappa Group PLC 12,218 412
Trane Technologies PLC 11,695 1,519
    16,113
Israel – 0.1%
Bank Leumi Le-Israel B.M. 76,604 686
Kornit Digital Ltd.* 2,495 79
    765
Italy – 0.4%
Amplifon S.p.A. 6,088 187
Enel S.p.A. 405,692 2,230
Intesa Sanpaolo S.p.A. 823,243 1,548
Nexi S.p.A.(3) * 25,924 216
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Italy – 0.4%continued
Prysmian S.p.A. 12,704 $351
Tenaris S.A. 22,918 294
    4,826
Japan – 6.2%
Aeon Co. Ltd. 32,100 557
Ajinomoto Co., Inc. 22,700 552
ANA Holdings, Inc.* 8,600 159
Asahi Kasei Corp. 64,200 491
Astellas Pharma, Inc. 93,100 1,451
Azbil Corp. 6,000 158
Bridgestone Corp. 28,300 1,033
Chubu Electric Power Co., Inc. 31,200 314
Chugai Pharmaceutical Co. Ltd. 33,230 850
Dai Nippon Printing Co. Ltd. 11,200 242
Daifuku Co. Ltd. 5,200 298
Dai-ichi Life Holdings, Inc. 49,700 918
Daiichi Sankyo Co. Ltd. 87,400 2,206
Daikin Industries Ltd. 12,500 2,006
Daiwa House Industry Co. Ltd. 30,300 707
Denso Corp. 21,600 1,149
Eisai Co. Ltd. 12,305 520
FANUC Corp. 9,600 1,505
Fast Retailing Co. Ltd. 2,900 1,517
FUJIFILM Holdings Corp. 17,700 950
Fujitsu Ltd. 9,800 1,227
Hankyu Hanshin Holdings, Inc. 11,300 308
Hikari Tsushin, Inc. 1,000 103
Hirose Electric Co. Ltd. 1,500 198
Hitachi Construction Machinery Co. Ltd. 5,600 124
Hitachi Metals Ltd.* 9,900 150
Hoshizaki Corp. 5,400 161
Hoya Corp. 18,500 1,581
Hulic Co. Ltd. 18,900 146
Ibiden Co. Ltd. 5,700 159
Inpex Corp. 51,100 552
Isuzu Motors Ltd. 29,300 323
Ito En Ltd. 2,600 116
ITOCHU Corp. 59,400 1,606
Japan Real Estate Investment Corp. 61 281
JFE Holdings, Inc. 23,900 251
JSR Corp. 8,800 229
Kajima Corp. 20,300 233
Kao Corp. 23,900 965
 
NORTHERN FUNDS QUARTERLY REPORT     51    EQUITY FUNDS

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Japan – 6.2%continued
KDDI Corp. 80,500 $2,546
Keio Corp. 5,300 190
Kikkoman Corp. 7,400 393
Komatsu Ltd. 46,300 1,031
Kubota Corp. 50,000 748
Kurita Water Industries Ltd. 5,500 200
Lixil Corp. 14,500 272
Marubeni Corp. 76,700 692
Mazda Motor Corp. 28,500 233
McDonald's Holdings Co. Japan Ltd. 4,000 146
MEIJI Holdings Co. Ltd. 5,900 290
Mitsubishi Chemical Holdings Corp. 63,700 345
Mitsubishi Estate Co. Ltd. 58,700 852
Mitsui & Co. Ltd. 69,800 1,541
Mitsui Chemicals, Inc. 9,000 192
MS&AD Insurance Group Holdings, Inc. 22,000 675
Murata Manufacturing Co. Ltd. 28,745 1,557
Nintendo Co. Ltd. 5,500 2,377
Nippon Building Fund, Inc. 79 393
NIPPON EXPRESS HOLDINGS, Inc. 3,800 207
Nippon Paint Holdings Co. Ltd. 41,800 312
Nippon Prologis REIT, Inc. 105 258
Nippon Steel Corp. 40,800 569
Nippon Yusen K.K. 7,900 542
Nissin Foods Holdings Co. Ltd. 3,100 214
Nitori Holdings Co. Ltd. 4,100 389
Nitto Denko Corp. 7,200 466
Nomura Holdings, Inc. 146,900 537
Nomura Real Estate Holdings, Inc. 6,000 147
Nomura Research Institute Ltd. 17,076 455
NTT Data Corp. 30,600 420
Obayashi Corp. 32,300 235
Odakyu Electric Railway Co. Ltd. 14,600 197
Omron Corp. 9,100 463
Open House Group Co. Ltd. 4,000 159
Oriental Land Co. Ltd. 10,000 1,393
ORIX Corp. 59,900 1,006
Osaka Gas Co. Ltd. 18,700 359
Pan Pacific International Holdings Corp. 18,200 291
Panasonic Corp. 109,100 883
Rakuten Group, Inc. 42,400 191
Recruit Holdings Co. Ltd. 72,000 2,123
Rohm Co. Ltd. 4,300 298
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Japan – 6.2%continued
SCSK Corp. 8,200 $138
Sekisui Chemical Co. Ltd. 18,400 252
Sekisui House Ltd. 31,300 548
Seven & i Holdings Co. Ltd. 37,700 1,461
SG Holdings Co. Ltd. 13,900 235
Sharp Corp. 12,200 94
Shimadzu Corp. 11,800 373
Shimizu Corp. 28,500 158
Shin-Etsu Chemical Co. Ltd. 18,700 2,111
Shionogi & Co. Ltd. 13,200 667
SoftBank Corp. 143,600 1,594
Sompo Holdings, Inc. 15,400 679
Sony Group Corp. 62,900 5,140
Sumitomo Chemical Co. Ltd. 74,000 289
Sumitomo Electric Industries Ltd. 36,400 403
Sumitomo Metal Mining Co. Ltd. 12,500 392
Sumitomo Mitsui Trust Holdings, Inc. 16,600 511
Sumitomo Realty & Development Co. Ltd. 15,000 396
Suntory Beverage & Food Ltd. 7,200 272
Sysmex Corp. 8,242 497
Taisei Corp. 9,500 296
TDK Corp. 19,400 600
Terumo Corp. 32,000 965
Tobu Railway Co. Ltd. 9,200 210
Tokyo Electron Ltd. 7,400 2,400
Tokyo Gas Co. Ltd. 19,500 403
Tokyu Corp. 26,300 310
Toray Industries, Inc. 67,000 376
Tosoh Corp. 12,500 155
TOTO Ltd. 6,900 228
Unicharm Corp. 19,800 663
USS Co. Ltd. 11,000 190
West Japan Railway Co. 11,200 412
Yamaha Corp. 6,800 280
Yamaha Motor Co. Ltd. 15,000 275
Yaskawa Electric Corp. 12,000 387
Yokogawa Electric Corp. 11,200 184
Z Holdings Corp. 129,600 379
ZOZO, Inc. 6,300 114
    78,120
Jersey – 0.0%
Novocure Ltd.* 4,516 314
 
EQUITY FUNDS    52    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Netherlands – 1.8%
Akzo Nobel N.V. 9,014 $596
ASML Holding N.V. 20,247 9,772
IMCD N.V. 2,820 390
ING Groep N.V. 194,702 1,932
JDE Peet's N.V. 4,887 139
Koninklijke Ahold Delhaize N.V. 52,185 1,360
Koninklijke DSM N.V. 8,680 1,254
Koninklijke KPN N.V. 162,381 579
NN Group N.V. 13,925 637
NXP Semiconductors N.V. 13,094 1,938
Prosus N.V.* 41,387 2,735
Randstad N.V. 6,024 294
Wolters Kluwer N.V. 13,082 1,273
    22,899
New Zealand – 0.1%
Auckland International Airport Ltd.* 61,662 276
Fisher & Paykel Healthcare Corp. Ltd. 28,490 355
Mercury NZ Ltd. 35,178 124
Meridian Energy Ltd. 61,195 179
Spark New Zealand Ltd. 93,900 282
Xero Ltd.* 6,545 348
    1,564
Norway – 0.4%
Aker BP ASA 15,426 533
DNB Bank ASA 46,734 841
Equinor ASA 48,794 1,697
Gjensidige Forsikring ASA 10,207 207
Mowi ASA 20,406 466
Norsk Hydro ASA 67,958 383
Orkla ASA 36,648 294
Salmar ASA 2,965 209
Telenor ASA 34,986 466
    5,096
Portugal – 0.0%
Banco Espirito Santo S.A. (Registered)(4) * 29,034
Galp Energia SGPS S.A. 24,272 285
Jeronimo Martins SGPS S.A. 13,458 292
    577
Singapore – 0.3%
CapitaLand Integrated Commercial Trust 259,273 405
Capitaland Investment Ltd. 132,358 365
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Singapore – 0.3%continued
City Developments Ltd. 21,100 $124
Grab Holdings Ltd., Class A* 53,475 135
Keppel Corp. Ltd. 71,300 334
Singapore Airlines Ltd.* 68,900 253
Singapore Exchange Ltd. 42,000 286
United Overseas Bank Ltd. 58,900 1,115
UOL Group Ltd. 25,082 133
    3,150
Spain – 0.6%
Banco Bilbao Vizcaya Argentaria S.A. 332,662 1,510
Iberdrola S.A. 288,754 2,996
Industria de Diseno Textil S.A. 54,484 1,234
Naturgy Energy Group S.A. 7,161 206
Red Electrica Corp. S.A. 20,100 381
Repsol S.A. 72,702 1,070
    7,397
Sweden – 0.8%
Alfa Laval AB 15,240 368
Assa Abloy AB, Class B 49,230 1,054
Atlas Copco AB, Class A 136,205 1,275
Atlas Copco AB, Class B 76,120 638
Boliden AB 13,873 441
Electrolux AB, Class B 11,819 159
Epiroc AB, Class A 32,314 499
Epiroc AB, Class B 19,274 261
EQT AB 14,534 302
Essity AB, Class B 29,746 777
Hennes & Mauritz AB, Class B 35,430 424
Holmen AB, Class B 4,696 191
Husqvarna AB, Class B 19,762 145
Nibe Industrier AB, Class B 74,411 559
Sandvik AB 52,558 853
SKF AB, Class B 19,428 286
Svenska Cellulosa AB S.C.A., Class B 30,422 455
Tele2 AB, Class B 28,385 323
Telefonaktiebolaget LM Ericsson, Class B 145,685 1,087
Telia Co. AB 129,229 495
    10,592
Switzerland – 2.7%
ABB Ltd. (Registered) 81,908 2,189
Adecco Group A.G. (Registered) 8,208 279
 
NORTHERN FUNDS QUARTERLY REPORT     53    EQUITY FUNDS

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
Switzerland – 2.7%continued
Chocoladefabriken Lindt & Spruengli A.G. (Participation Certificate) 52 $529
Chocoladefabriken Lindt & Spruengli A.G. (Registered) 6 629
Chubb Ltd. 21,224 4,172
Cie Financiere Richemont S.A., Class A (Registered) 26,016 2,771
Clariant A.G. (Registered)* 10,405 199
Coca-Cola HBC A.G. - CDI 9,510 211
Geberit A.G. (Registered) 1,819 875
Givaudan S.A. (Registered) 460 1,626
Kuehne + Nagel International A.G. (Registered) 2,669 632
Lonza Group A.G. (Registered) 3,713 1,980
Roche Holding A.G. (Genusschein) 34,983 11,678
SGS S.A. (Registered) 314 719
Sika A.G. (Registered) 7,265 1,676
Sonova Holding A.G. (Registered) 2,688 856
Straumann Holding A.G. (Registered) 5,496 661
Swiss Life Holding A.G. (Registered) 1,586 773
Swiss Re A.G. 15,067 1,169
Temenos A.G. (Registered) 3,121 266
Vifor Pharma A.G.* 2,315 401
    34,291
United Kingdom – 5.5%
Abrdn PLC 109,625 214
Amcor PLC 74,802 930
Ashtead Group PLC 22,256 934
Associated British Foods PLC 18,022 348
AstraZeneca PLC 77,187 10,118
Barratt Developments PLC 52,489 293
Berkeley Group Holdings PLC* 5,268 239
British Land (The) Co. PLC 43,288 236
BT Group PLC 340,322 772
Bunzl PLC 16,641 551
Burberry Group PLC 20,154 403
CNH Industrial N.V. 51,464 597
Coca-Cola Europacific Partners PLC 10,191 526
Compass Group PLC 89,218 1,827
Croda International PLC 7,000 552
Ferguson PLC 10,923 1,223
GSK PLC 253,297 5,446
HSBC Holdings PLC 1,008,509 6,579
Informa PLC* 72,912 470
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United Kingdom – 5.5%continued
InterContinental Hotels Group PLC 9,314 $494
Intertek Group PLC 7,831 401
J Sainsbury PLC 86,975 216
Johnson Matthey PLC 9,178 215
Kingfisher PLC 101,266 301
Land Securities Group PLC 35,050 283
Legal & General Group PLC 300,105 876
Linde PLC (New York Exchange) 25,532 7,341
Lloyds Banking Group PLC 3,538,440 1,825
Mondi PLC 24,304 431
National Grid PLC 181,658 2,328
Next PLC 6,462 461
Ocado Group PLC* 29,204 278
Pearson PLC 33,544 306
Pentair PLC 7,987 366
Persimmon PLC 15,945 362
Prudential PLC 137,289 1,708
Reckitt Benckiser Group PLC 35,622 2,676
RELX PLC (London Exchange) 96,361 2,602
Rentokil Initial PLC 93,666 541
Schroders PLC 6,488 211
Segro PLC 60,095 715
Spirax-Sarco Engineering PLC 3,563 429
St. James's Place PLC 27,350 368
Taylor Wimpey PLC 177,026 252
Tesco PLC 380,851 1,185
Unilever PLC (London Exchange) 127,608 5,808
Vodafone Group PLC 1,343,434 2,072
Whitbread PLC 10,190 308
Willis Towers Watson PLC 5,873 1,159
WPP PLC 56,395 567
    69,343
United States – 64.6%
3M Co. 28,488 3,687
A.O. Smith Corp. 6,466 354
ABIOMED, Inc.* 2,296 568
Adobe, Inc.* 23,499 8,602
Advance Auto Parts, Inc. 2,981 516
Aflac, Inc. 30,827 1,706
Agilent Technologies, Inc. 14,990 1,780
Align Technology, Inc.* 3,745 886
Allstate (The) Corp. 13,784 1,747
Ally Financial, Inc. 16,336 547
Alphabet, Inc., Class A* 14,980 32,645
 
EQUITY FUNDS    54    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Alphabet, Inc., Class C* 14,146 $30,944
AMERCO 476 228
American Express Co. 32,160 4,458
American International Group, Inc. 40,681 2,080
American Tower Corp. 22,710 5,804
American Water Works Co., Inc. 9,072 1,350
Ameriprise Financial, Inc. 5,557 1,321
AmerisourceBergen Corp. 7,826 1,107
Amgen, Inc. 27,728 6,746
Annaly Capital Management, Inc. 76,348 451
ANSYS, Inc.* 4,385 1,049
Applied Materials, Inc. 44,008 4,004
Arch Capital Group Ltd.* 19,014 865
Arthur J. Gallagher & Co. 10,406 1,697
Assurant, Inc. 2,728 472
Atmos Energy Corp. 6,689 750
Autodesk, Inc.* 10,978 1,888
Automatic Data Processing, Inc. 20,930 4,396
Baker Hughes Co. 47,557 1,373
Ball Corp. 16,079 1,106
Bank of New York Mellon (The) Corp. 38,113 1,590
Baxter International, Inc. 25,059 1,610
Best Buy Co., Inc. 10,672 696
Biogen, Inc.* 7,324 1,494
BioMarin Pharmaceutical, Inc.* 9,192 762
Bio-Techne Corp. 1,971 683
BlackRock, Inc. 7,577 4,615
BorgWarner, Inc. 11,737 392
Boston Properties, Inc. 7,477 665
Bristol-Myers Squibb Co. 108,587 8,361
Bunge Ltd. 7,079 642
Burlington Stores, Inc.* 3,345 456
C.H. Robinson Worldwide, Inc. 6,424 651
Cable One, Inc. 264 340
Cadence Design Systems, Inc.* 13,845 2,077
Campbell Soup Co. 10,376 499
Cardinal Health, Inc. 13,616 712
Carlyle Group (The), Inc. 9,739 308
CarMax, Inc.* 8,080 731
Carrier Global Corp. 42,868 1,529
Catalent, Inc.* 8,506 913
Caterpillar, Inc. 26,704 4,774
Cboe Global Markets, Inc. 5,340 604
CBRE Group, Inc., Class A* 16,746 1,233
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Celanese Corp. 5,296 $623
Charles Schwab (The) Corp. 72,196 4,561
Cheniere Energy, Inc. 11,444 1,522
Cigna Corp. 15,994 4,215
Cisco Systems, Inc. 206,899 8,822
Citizens Financial Group, Inc. 24,798 885
Citrix Systems, Inc. 6,166 599
Clorox (The) Co. 6,141 866
CME Group, Inc. 17,904 3,665
Coca-Cola (The) Co. 205,063 12,901
Cognex Corp. 8,553 364
Colgate-Palmolive Co. 39,764 3,187
Conagra Brands, Inc. 23,961 820
Consolidated Edison, Inc. 17,650 1,679
Copart, Inc.* 10,704 1,163
Crown Castle International Corp. 21,531 3,625
CSX Corp. 109,287 3,176
Cummins, Inc. 7,117 1,377
DaVita, Inc.* 2,853 228
Deere & Co. 14,523 4,349
Delta Air Lines, Inc.* 7,568 219
DENTSPLY SIRONA, Inc. 10,534 376
Dexcom, Inc.* 19,373 1,444
Discover Financial Services 14,086 1,332
Dover Corp. 7,244 879
Eaton Corp. PLC 19,877 2,504
eBay, Inc. 29,337 1,222
Ecolab, Inc. 12,877 1,980
Edison International 19,015 1,203
Edwards Lifesciences Corp.* 31,066 2,954
Elanco Animal Health, Inc.* 20,962 411
Electronic Arts, Inc. 14,015 1,705
Elevance Health, Inc. 12,026 5,804
Eli Lilly & Co. 40,317 13,072
Equinix, Inc. 4,522 2,971
Equitable Holdings, Inc. 19,246 502
Essential Utilities, Inc. 12,067 553
Estee Lauder (The) Cos., Inc., Class A 11,589 2,951
Eversource Energy 17,173 1,451
Expeditors International of Washington, Inc. 8,459 824
FactSet Research Systems, Inc. 1,884 725
Fastenal Co. 28,703 1,433
First Republic Bank 8,822 1,272
 
NORTHERN FUNDS QUARTERLY REPORT     55    EQUITY FUNDS

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Fortive Corp. 17,076 $929
Fortune Brands Home & Security, Inc. 6,546 392
Franklin Resources, Inc. 14,530 339
Generac Holdings, Inc.* 3,186 671
General Mills, Inc. 30,076 2,269
Genuine Parts Co. 7,110 946
Gilead Sciences, Inc. 62,395 3,857
Guidewire Software, Inc.* 3,989 283
Halliburton Co. 44,956 1,410
Hartford Financial Services Group (The), Inc. 16,332 1,069
Hasbro, Inc. 6,650 544
HCA Healthcare, Inc. 12,122 2,037
Healthpeak Properties, Inc. 26,344 683
Hewlett Packard Enterprise Co. 64,915 861
Hilton Worldwide Holdings, Inc. 13,952 1,555
Hologic, Inc.* 12,483 865
Home Depot (The), Inc. 52,008 14,264
Hormel Foods Corp. 14,935 707
HP, Inc. 52,521 1,722
HubSpot, Inc.* 2,215 666
Humana, Inc. 6,312 2,954
Huntington Bancshares, Inc. 71,909 865
IDEX Corp. 3,781 687
IDEXX Laboratories, Inc.* 4,208 1,476
Illinois Tool Works, Inc. 15,596 2,842
Illumina, Inc.* 7,833 1,444
Ingersoll Rand, Inc. 20,053 844
Insulet Corp.* 3,468 756
Intel Corp. 202,771 7,586
Intercontinental Exchange, Inc. 28,007 2,634
International Business Machines Corp. 44,795 6,325
International Flavors & Fragrances, Inc. 12,715 1,515
International Paper Co. 17,842 746
Interpublic Group of (The) Cos., Inc. 19,963 550
Intuit, Inc. 13,408 5,168
Invesco Ltd. 17,266 278
JB Hunt Transport Services, Inc. 4,116 648
Johnson & Johnson 130,877 23,232
Johnson Controls International PLC 35,153 1,683
Kellogg Co. 12,774 911
Keurig Dr. Pepper, Inc. 38,960 1,379
KeyCorp 46,470 801
Keysight Technologies, Inc.* 9,140 1,260
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Kimberly-Clark Corp. 16,791 $2,269
Kinder Morgan, Inc. 101,864 1,707
Knight-Swift Transportation Holdings, Inc. 7,797 361
Kroger (The) Co. 34,801 1,647
Laboratory Corp. of America Holdings 4,584 1,074
Lam Research Corp. 6,950 2,962
Lear Corp. 2,956 372
Lennox International, Inc. 1,696 350
Lincoln National Corp. 8,335 390
LKQ Corp. 13,365 656
Loews Corp. 10,286 610
Lowe's Cos., Inc. 33,382 5,831
LPL Financial Holdings, Inc. 3,924 724
Lumen Technologies, Inc. 45,026 491
Marathon Petroleum Corp. 28,198 2,318
MarketAxess Holdings, Inc. 1,836 470
Marsh & McLennan Cos., Inc. 25,028 3,886
Martin Marietta Materials, Inc. 3,128 936
Masco Corp. 11,740 594
Mastercard, Inc., Class A 43,468 13,713
McCormick & Co., Inc. (Non Voting) 12,273 1,022
McDonald's Corp. 37,023 9,140
Merck & Co., Inc. 125,897 11,478
Mettler-Toledo International, Inc.* 1,138 1,307
Microsoft Corp. 354,683 91,093
Moody's Corp. 8,308 2,260
Morgan Stanley 66,544 5,061
Mosaic (The) Co. 18,379 868
Motorola Solutions, Inc. 8,387 1,758
Nasdaq, Inc. 5,693 868
Newell Brands, Inc. 20,356 388
Newmont Corp. 39,782 2,374
NIKE, Inc., Class B 63,560 6,496
Norfolk Southern Corp. 11,948 2,716
Northern Trust Corp.(5) 9,866 952
NortonLifeLock, Inc. 28,496 626
Nucor Corp. 13,423 1,401
NVIDIA Corp. 124,519 18,876
Old Dominion Freight Line, Inc. 4,870 1,248
ONEOK, Inc. 22,351 1,240
Otis Worldwide Corp. 21,237 1,501
Owens Corning 4,887 363
PepsiCo, Inc. 68,889 11,481
 
EQUITY FUNDS    56    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Phillips 66 23,937 $1,963
Plug Power, Inc.* 25,447 422
PNC Financial Services Group (The), Inc. 20,845 3,289
Pool Corp. 2,013 707
PPG Industries, Inc. 11,782 1,347
Principal Financial Group, Inc. 13,113 876
Procter & Gamble (The) Co. 119,349 17,161
Progressive (The) Corp. 29,099 3,383
Prologis, Inc. 36,871 4,338
Prudential Financial, Inc. 18,787 1,798
Quanta Services, Inc. 7,047 883
Quest Diagnostics, Inc. 6,011 799
Raymond James Financial, Inc. 9,734 870
Regions Financial Corp. 46,093 864
Republic Services, Inc. 11,029 1,443
ResMed, Inc. 7,299 1,530
Rivian Automotive, Inc., Class A* 8,884 229
Robert Half International, Inc. 5,338 400
Rockwell Automation, Inc. 5,803 1,157
Rollins, Inc. 10,880 380
Roper Technologies, Inc. 5,269 2,079
S&P Global, Inc. 17,645 5,947
Salesforce, Inc.* 49,081 8,100
SBA Communications Corp. 5,426 1,737
Schlumberger N.V. 70,518 2,522
Sempra Energy 15,741 2,365
ServiceNow, Inc.* 9,972 4,742
Sherwin-Williams (The) Co. 12,326 2,760
Sirius XM Holdings, Inc. 38,788 238
Snap-on, Inc. 2,601 512
Splunk, Inc.* 7,779 688
State Street Corp. 18,287 1,127
Steel Dynamics, Inc. 9,515 629
STERIS PLC 4,945 1,019
SVB Financial Group* 2,934 1,159
Synchrony Financial 26,107 721
T. Rowe Price Group, Inc. 11,397 1,295
Take-Two Interactive Software, Inc.* 8,063 988
Targa Resources Corp. 10,678 637
Target Corp. 23,872 3,371
Teladoc Health, Inc.* 7,892 262
Teleflex, Inc. 2,358 580
Tesla, Inc.* 43,755 29,465
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.1% (1)continued
United States – 64.6%continued
Texas Instruments, Inc. 45,958 $7,061
Thermo Fisher Scientific, Inc. 19,487 10,587
TJX (The) Cos., Inc. 59,459 3,321
Tractor Supply Co. 5,629 1,091
Travelers (The) Cos., Inc. 12,025 2,034
Trimble, Inc.* 12,664 737
Truist Financial Corp. 66,173 3,139
U.S. Bancorp 70,169 3,229
UGI Corp. 10,522 406
Ulta Beauty, Inc.* 2,706 1,043
Union Pacific Corp. 31,720 6,765
United Parcel Service, Inc., Class B 36,486 6,660
United Rentals, Inc.* 3,628 881
Vail Resorts, Inc. 2,043 445
Valero Energy Corp. 20,407 2,169
Ventas, Inc. 20,027 1,030
Verizon Communications, Inc. 209,059 10,610
Vertex Pharmaceuticals, Inc.* 12,681 3,573
VF Corp. 16,520 730
Visa, Inc., Class A 82,594 16,262
VMware, Inc., Class A 10,441 1,190
W.W. Grainger, Inc. 2,258 1,026
Walt Disney (The) Co.* 90,752 8,567
Warner Bros. Discovery, Inc.* 111,120 1,491
Waters Corp.* 3,019 999
Webster Financial Corp. 8,905 375
Welltower, Inc. 22,346 1,840
West Pharmaceutical Services, Inc. 3,713 1,123
Western Union (The) Co. 20,109 331
Westrock Co. 12,892 514
Weyerhaeuser Co. 37,244 1,234
Williams (The) Cos., Inc. 60,684 1,894
Xylem, Inc. 8,865 693
Zebra Technologies Corp., Class A* 2,657 781
Zendesk, Inc.* 5,973 442
Zoetis, Inc. 23,533 4,045
ZoomInfo Technologies, Inc.* 12,892 429
    811,938
Total Common Stocks    
(Cost $1,071,360)   1,233,811
     
 
NORTHERN FUNDS QUARTERLY REPORT     57    EQUITY FUNDS

Schedule of Investments
GLOBAL SUSTAINABILITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
PREFERRED STOCKS – 0.0% (1)
Germany – 0.0%
Bayerische Motoren Werke A.G., 8.62%(6) 2,775 $196
Henkel A.G. & Co. KGaA, 3.15%(6) 9,103 561
    757
Total Preferred Stocks    
(Cost $946)   757
     
INVESTMENT COMPANIES – 1.0%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(7) (8) 12,251,669 12,252
Total Investment Companies    
(Cost $12,252)   12,252
     
Total Investments – 99.1%    
(Cost $1,084,558)   1,246,820
Other Assets less Liabilities – 0.9%   11,032
Net Assets – 100.0%   $1,257,852
    
(1) Adjustment factors were provided by an independent evaluation service to determine the value of certain foreign securities.
(2) Value rounds to less than one thousand.
(3) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(4) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(5) Investment in affiliate.
(6) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
(7) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(8) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
CDI – CREST Depository Interest
 
FTSE – Financial Times Stock Exchange
 
MSCI – Morgan Stanley Capital International
 
REIT – Real Estate Investment Trust
 
S&P – Standard & Poor's
 
TSX – Toronto Stock Exchange
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had outstanding forward foreign currency exchange contracts as follows:
COUNTERPARTY CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
BNP
United States Dollar
51 Danish Krone 361 9/21/22 $—*
JPMorgan Chase
Australian Dollar
212 United States Dollar 149 9/21/22 3
Subtotal Appreciation         3
BNP
Euro
70 United States Dollar 74 9/21/22 —*
BNP
Swiss Franc
313 United States Dollar 317 9/21/22 (11)
BNP
United States Dollar
410 British Pound 336 9/21/22 (1)
BNP
United States Dollar
239 Canadian Dollar 307 9/21/22 (1)
BNP
United States Dollar
33 Swedish Krona 332 9/21/22 —*
Citibank
Hong Kong Dollar
913 United States Dollar 117 9/21/22 —*
UBS
United States Dollar
78 Japanese Yen 10,390 9/21/22 (1)
Subtotal Depreciation         (14)
Total           $(11)
    
* Amounts round to less than a thousand.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 (United States Dollar) 78 $14,779 Long 09/22 $(260)
Euro Stoxx 50 (Euro) 74 2,668 Long 09/22 (36)
FTSE 100 Index (British Pound) 13 1,127 Long 09/22 (5)
S&P/TSX 60 Index (Canadian Dollar) 1 178 Long 09/22 (14)
SPI 200 Index (Australian Dollar) 8 892 Long 09/22 (43)
Topix Index (Japanese Yen) 11 1,516 Long 09/22 (29)
Total         $(387)
 
EQUITY FUNDS    58    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 68.1%
Euro 8.1
Japanese Yen 6.2
All other currencies less than 5% 16.7
Total Investments 99.1
Other Assets less Liabilities 0.9
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Argentina $1,441 $$— $1,441
Canada 46,076 46,076
Germany 1,055 18,658 19,713
Ireland 12,368 3,745 16,113
Israel 79 686 765
Jersey 314 314
Netherlands 1,938 20,961 22,899
Singapore 135 3,015 3,150
Switzerland 4,172 30,119 34,291
United Kingdom 10,322 59,021 69,343
United States 811,938 811,938
All Other Countries(1) 207,768 207,768
Total Common Stocks 889,838 343,973 1,233,811
Preferred Stocks 757 757
Investment Companies 12,252 12,252
Total Investments $902,090 $344,730 $— $1,246,820
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Forward Foreign Currency Exchange Contracts $$3 $— $3
Liabilities        
Forward Foreign Currency Exchange Contracts (14) (14)
Futures Contracts (387) (387)
Total Other Financial Instruments $(387) $(11) $— $(398)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $14,982 $84,478 $87,208 $$19 $12,252 12,251,669
Northern Trust Corp. 1,112 31 (191) 7 952 9,866
Total $16,094 $84,509 $87,208 $(191) $26 $13,204 12,261,535
NORTHERN FUNDS QUARTERLY REPORT     59    EQUITY FUNDS

Schedule of Investments
GLOBAL TACTICAL ASSET ALLOCATION FUND  
  NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 100.0%
FlexShares® Credit-Scored U.S. Corporate Bond Index Fund(1) 59,124 $2,803
FlexShares® Credit-Scored U.S. Long Corporate Bond Index Fund(1) 17,882 802
FlexShares® Developed Markets ex-U.S. Quality Low Volatility Index Fund(1) 95,393 2,267
FlexShares® Disciplined Duration MBS Index Fund(1) 311,212 6,609
FlexShares® Global Quality Real Estate Index Fund(1) 38,923 2,216
FlexShares® High Yield Value-Scored Bond Index Fund(1) 330,951 13,367
FlexShares® iBoxx 5-Year Target Duration TIPS Index Fund(1) 136,534 3,443
FlexShares® International Quality Dividend Index Fund(1) 262,691 5,367
FlexShares® Morningstar Developed Markets ex-U.S. Factor Tilt Index Fund(1) 91,893 5,299
FlexShares® Morningstar Emerging Markets Factor Tilt Index Fund(1) 89,389 4,384
FlexShares® Morningstar Global Upstream Natural Resources Index Fund(1) 151,118 5,995
FlexShares® Morningstar U.S. Market Factor Tilt Index Fund(1) 82,944 12,045
FlexShares® Quality Dividend Index Fund(1) 198,022 10,046
FlexShares® STOXX Global Broad Infrastructure Index Fund(1) 85,709 4,429
FlexShares® U.S. Quality Low Volatility Index Fund(1) 173,409 8,528
iShares 10+ Year Investment Grade Corporate Bond ETF 30,217 1,611
iShares 1-5 Year Investment Grade Corporate Bond ETF 120,863 6,110
iShares 20+ Year Treasury Bond ETF 33,026 3,794
iShares 3-7 Year Treasury Bond ETF 35,707 4,261
iShares 5-10 Year Investment Grade Corporate Bond ETF 40,985 2,093
iShares 7-10 Year Treasury Bond ETF 19,717 2,017
  NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES - 100.0%continued
iShares MBS ETF 38,654 $3,768
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(1) (2) 866,116 866
Total Investment Companies    
(Cost $116,177)   112,120
     
Total Investments – 100.0%  
(Cost $116,177) 112,120
Liabilities less Other Assets – (0.0%) (15)
NET ASSETS – 100.0% $112,105
    
(1) Investment in affiliated fund. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds and FlexShares Trust.
(2) 7-day current yield as of June 30, 2022 is disclosed.
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
ETF - Exchange-Traded Fund
 
MBS - Mortgage Backed Securities
 
TIPS - Treasury Inflation Protected Securities
Percentages shown are based on Net Assets.
 
EQUITY FUNDS    60    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
At June 30, 2022, the asset class weightings for the Fund were:
ASSET CLASS WEIGHT INVESTMENT VEHICLE
U.S. Equity 10.7% FlexShares® Morningstar U.S. Market Factor Tilt Index Fund
U.S. Equity 9.0 FlexShares® Quality Dividend Index Fund
U.S. Equity 7.6 FlexShares® U.S. Quality Low Volatility Index Fund
Non U.S. Equity - Developed 4.8 FlexShares® International Quality Dividend Index Fund
Non U.S. Equity - Developed 4.7 FlexShares® Morningstar Developed Markets ex-U.S. Factor Tilt Index Fund
Non U.S. Equity - Developed 2.0 FlexShares® Developed Markets ex-U.S. Quality Low Volatility Index Fund
Non U.S. Equity - Emerging Markets 3.9 FlexShares® Morningstar Emerging Markets Factor Tilt Index Fund
Global Real Estate 2.0 FlexShares® Global Quality Real Estate Index Fund
U.S. Bonds - High Yield 11.9 FlexShares® High Yield Value-Scored Bond Index Fund
U.S. Bonds - Investment Grade 5.9 FlexShares® Disciplined Duration MBS Index Fund
U.S. Bonds - Investment Grade 5.4 iShares 1-5 Year Investment Grade Corporate Bond ETF
U.S. Bonds - Investment Grade 3.8 iShares 3-7 Year Treasury Bond ETF
U.S. Bonds - Investment Grade 3.4 iShares 20+ Year Treasury Bond ETF
U.S. Bonds - Investment Grade 3.4 iShares MBS ETF
U.S. Bonds - Investment Grade 3.1 FlexShares® iBoxx 5-Year Target Duration TIPS Index Fund
U.S. Bonds - Investment Grade 2.5 FlexShares® Credit-Scored U.S. Corporate Bond Index Fund
U.S. Bonds - Investment Grade 1.9 iShares 5-10 Year Investment Grade Corporate Bond ETF
U.S. Bonds - Investment Grade 1.8 iShares 7-10 Year Treasury Bond ETF
U.S. Bonds - Investment Grade 1.4 iShares 10+ Year Investment Grade Corporate Bond ETF
U.S. Bonds - Investment Grade 0.7 FlexShares® Credit-Scored U.S. Long Corporate Bond Index Fund
Global Infrastructure 4.0 FlexShares® STOXX Global Broad Infrastructure Index Fund
Commodities/Natural Resources 5.3 FlexShares® Morningstar Global Upstream Natural Resources Index Fund
Cash 0.8 Northern Institutional Funds - U.S. Government Portfolio (Shares)
Total 100.0%  
At June 30, 2022, the security types for the Fund were:
Security Type % of Net Assets
Investment Companies 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Investment Companies $112,120 $— $— $112,120
 
NORTHERN FUNDS QUARTERLY REPORT     61    EQUITY FUNDS

Schedule of Investments
GLOBAL TACTICAL ASSET ALLOCATION FUNDcontinued June 30, 2022 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
FlexShares® Credit-Scored U.S. Corporate Bond Index Fund $6,315 $$3,327 $35 $(220) $23 $2,803 59,124
FlexShares® Credit-Scored U.S. Long Corporate Bond Index Fund 910 130 99 (102) (37) 9 802 17,882
FlexShares® Developed Markets ex-U.S. Quality Low Volatility Index Fund 2,567 35 (265) —* 33 2,267 95,393
FlexShares® Disciplined Duration MBS Index Fund 5,418 1,736 318 (190) (37) 43 6,609 311,212
FlexShares® Global Quality Real Estate Index Fund 2,546 193 34 (492) 3 16 2,216 38,923
FlexShares® High Yield Value-Scored Bond Index Fund 15,424 246 341 (1,929) (33) 235 13,367 330,951
FlexShares® iBoxx 5-Year Target Duration TIPS Index Fund 3,851 49 197 (252) (8) 96 3,443 136,534
FlexShares® International Quality Dividend Index Fund 6,435 161 (915) 8 120 5,367 262,691
FlexShares® Morningstar Developed Markets ex-U.S. Factor Tilt Index Fund 6,423 17 180 (986) 25 97 5,299 91,893
FlexShares® Morningstar Emerging Markets Factor Tilt Index Fund 5,139 152 (618) 15 50 4,384 89,389
FlexShares® Morningstar Global Upstream Natural Resources Index Fund 7,655 583 (1,225) 148 93 5,995 151,118
FlexShares® Morningstar U.S. Market Factor Tilt Index Fund 15,919 238 1,555 (2,925) 368 49 12,045 82,944
FlexShares® Quality Dividend Index Fund 11,778 131 170 (1,709) 16 64 10,046 198,022
FlexShares® Ready Access Variable Income Fund 2,548 2,547 2 (3) 1
FlexShares® STOXX Global Broad Infrastructure Index Fund 2,557 2,284 21 (396) 5 40 4,429 85,709
FlexShares® U.S. Quality Low Volatility Index Fund 10,538 952 (1,243) 185 31 8,528 173,409
Northern Institutional Funds - U.S. Government Portfolio (Shares) 16 11,890 11,040 1 866 866,116
Total $106,039 $16,914 $21,712 $(13,210) $435 $1,001 $88,466 2,991,310
    
* Amount rounds to less than one thousand.
EQUITY FUNDS    62    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
INCOME EQUITY FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.2%
Aerospace & Defense – 1.3%
Lockheed Martin Corp. 4,082 $1,755
Air Freight & Logistics – 1.4%
United Parcel Service, Inc., Class B 10,926 1,994
Automobiles – 1.1%
Tesla, Inc.(1) * 2,205 1,485
Banks – 3.5%
Bank of Hawaii Corp. 5,628 419
Citigroup, Inc. 37,279 1,714
First Hawaiian, Inc. 17,666 401
JPMorgan Chase & Co. 20,352 2,292
    4,826
Beverages – 1.5%
Coca-Cola (The) Co. 31,142 1,959
PepsiCo, Inc. 1,063 177
    2,136
Biotechnology – 4.4%
AbbVie, Inc. 17,432 2,670
Amgen, Inc. 7,581 1,845
Gilead Sciences, Inc. 26,475 1,636
    6,151
Capital Markets – 1.5%
Ameriprise Financial, Inc. 3,194 759
Bank of New York Mellon (The) Corp. 19,521 814
Janus Henderson Group PLC 13,655 321
Jefferies Financial Group, Inc. 6,892 191
    2,085
Chemicals – 2.0%
CF Industries Holdings, Inc. 9,031 774
Chemours (The) Co. 15,082 483
Dow, Inc. 15,739 812
LyondellBasell Industries N.V., Class A 8,956 784
    2,853
Communications Equipment – 1.4%
Cisco Systems, Inc. 46,084 1,965
Ubiquiti, Inc. 39 10
    1,975
Consumer Finance – 1.9%
Ally Financial, Inc. 5,266 176
American Express Co. 11,262 1,561
Discover Financial Services 3,125 296
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Consumer Finance – 1.9%continued
OneMain Holdings, Inc. 10,134 $379
Synchrony Financial 8,095 224
    2,636
Containers & Packaging – 0.4%
International Paper Co. 14,701 615
Diversified Financial Services – 0.6%
Berkshire Hathaway, Inc., Class B* 3,146 859
Diversified Telecommunication Services – 2.5%
AT&T, Inc. 55,499 1,163
Lumen Technologies, Inc. 74,340 811
Verizon Communications, Inc. 31,083 1,578
    3,552
Electric Utilities – 1.6%
Evergy, Inc. 7,590 495
Exelon Corp. 19,874 901
PPL Corp. 29,868 810
    2,206
Electrical Equipment – 0.7%
Emerson Electric Co. 12,196 970
Entertainment – 0.5%
Activision Blizzard, Inc. 5,328 415
Warner Bros. Discovery, Inc.* 13,425 180
World Wrestling Entertainment, Inc., Class A 1,761 110
    705
Equity Real Estate Investment Trusts – 3.7%
Apartment Income REIT Corp. 8,890 370
Brixmor Property Group, Inc. 18,756 379
Cousins Properties, Inc. 11,916 348
Digital Realty Trust, Inc. 6,485 842
Extra Space Storage, Inc. 2,011 342
Healthpeak Properties, Inc. 23,989 622
Highwoods Properties, Inc. 10,443 357
Iron Mountain, Inc. 15,643 762
Mid-America Apartment Communities, Inc. 4,288 749
Simon Property Group, Inc. 1,412 134
SL Green Realty Corp. 5,992 276
    5,181
Food & Staples Retailing – 0.2%
Costco Wholesale Corp. 462 221
 
NORTHERN FUNDS QUARTERLY REPORT     63    EQUITY FUNDS

Schedule of Investments
INCOME EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Food Products – 0.7%
General Mills, Inc. 12,815 $967
Health Care Equipment & Supplies – 1.1%
Abbott Laboratories 14,580 1,584
Health Care Providers & Services – 1.4%
Cardinal Health, Inc. 13,231 692
UnitedHealth Group, Inc. 2,393 1,229
    1,921
Hotels, Restaurants & Leisure – 1.2%
Starbucks Corp. 14,811 1,131
Wyndham Hotels & Resorts, Inc. 2,365 156
Yum! Brands, Inc. 3,834 435
    1,722
Household Durables – 0.1%
Newell Brands, Inc. 6,483 124
Household Products – 2.3%
Clorox (The) Co. 3,217 453
Colgate-Palmolive Co. 17,205 1,379
Procter & Gamble (The) Co. 9,616 1,383
    3,215
Industrial Conglomerates – 1.1%
3M Co. 12,054 1,560
Insurance – 3.2%
Aflac, Inc. 15,038 832
Allstate (The) Corp. 5,267 668
MetLife, Inc. 14,810 930
Principal Financial Group, Inc. 10,110 675
Prudential Financial, Inc. 8,444 808
Unum Group 15,387 523
    4,436
Interactive Media & Services – 3.4%
Alphabet, Inc., Class A(1) * 1,941 4,230
Meta Platforms, Inc., Class A(1) * 3,281 529
    4,759
Internet & Direct Marketing Retail – 2.3%
Amazon.com, Inc.(1) * 27,240 2,893
eBay, Inc. 8,230 343
    3,236
IT Services – 4.0%
Accenture PLC, Class A 2,568 713
International Business Machines Corp. 16,246 2,294
Mastercard, Inc., Class A 3,943 1,244
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
IT Services – 4.0%continued
Visa, Inc., Class A 4,851 $955
Western Union (The) Co. 25,580 421
    5,627
Machinery – 1.2%
Cummins, Inc. 2,895 560
Illinois Tool Works, Inc. 5,847 1,066
    1,626
Media – 1.5%
Comcast Corp., Class A 5,582 219
Interpublic Group of (The) Cos., Inc. 24,529 675
Nexstar Media Group, Inc., Class A 522 85
Omnicom Group, Inc. 10,687 680
Sirius XM Holdings, Inc. 68,043 417
    2,076
Metals & Mining – 0.4%
Freeport-McMoRan, Inc. 6,763 198
Southern Copper Corp. 6,224 310
    508
Mortgage Real Estate Investment Trusts – 0.6%
AGNC Investment Corp. 36,943 409
Annaly Capital Management, Inc. 68,914 407
Starwood Property Trust, Inc. 2,010 42
    858
Multiline Retail – 0.3%
Target Corp. 2,926 413
Multi-Utilities – 0.7%
Public Service Enterprise Group, Inc. 13,266 839
WEC Energy Group, Inc. 1,996 201
    1,040
Oil, Gas & Consumable Fuels – 4.7%
Antero Midstream Corp. 44,636 404
Chevron Corp. 3,199 463
Devon Energy Corp. 16,094 887
Exxon Mobil Corp. 31,361 2,686
Kinder Morgan, Inc. 41,983 704
ONEOK, Inc. 13,234 735
Targa Resources Corp. 6,291 375
Texas Pacific Land Corp. 54 80
Williams (The) Cos., Inc. 8,779 274
    6,608
Pharmaceuticals – 7.1%
Bristol-Myers Squibb Co. 653 50
 
EQUITY FUNDS    64    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Pharmaceuticals – 7.1%continued
Eli Lilly & Co. 8,893 $2,883
Johnson & Johnson 19,405 3,445
Merck & Co., Inc. 961 88
Organon & Co. 14,948 504
Pfizer, Inc. 55,141 2,891
    9,861
Road & Rail – 1.1%
Old Dominion Freight Line, Inc. 3,041 779
Union Pacific Corp. 3,866 825
    1,604
Semiconductors & Semiconductor Equipment – 6.9%
Applied Materials, Inc. 2,536 231
Broadcom, Inc. 4,330 2,104
Intel Corp. 5,697 213
KLA Corp. 2,317 739
Lam Research Corp. 2,832 1,207
Microchip Technology, Inc. 13,309 773
NVIDIA Corp.(1) 4,828 732
QUALCOMM, Inc. 15,111 1,930
Texas Instruments, Inc. 11,357 1,745
    9,674
Software – 7.5%
Intuit, Inc. 3,039 1,171
Microsoft Corp. 29,263 7,516
Oracle Corp. 24,834 1,735
    10,422
Specialty Retail – 3.1%
Best Buy Co., Inc. 9,886 645
Dick's Sporting Goods, Inc. 762 57
Home Depot (The), Inc. 8,735 2,396
Lowe's Cos., Inc. 4,507 787
Williams-Sonoma, Inc. 3,429 380
    4,265
Technology Hardware, Storage & Peripherals – 8.7%
Apple, Inc.(1) 74,033 10,122
HP, Inc. 27,048 886
NetApp, Inc. 8,336 544
Seagate Technology Holdings PLC 7,445 532
    12,084
Textiles, Apparel & Luxury Goods – 1.0%
Hanesbrands, Inc. 1,808 19
NIKE, Inc., Class B 551 56
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.2%continued
Textiles, Apparel & Luxury Goods – 1.0%continued
Ralph Lauren Corp. 7,436 $667
Tapestry, Inc. 23,570 719
    1,461
Thrifts & Mortgage Finance – 0.2%
TFS Financial Corp. 23,666 325
Tobacco – 2.8%
Altria Group, Inc. 38,464 1,606
Philip Morris International, Inc. 23,300 2,301
    3,907
Trading Companies & Distributors – 0.4%
Fastenal Co. 10,488 524
Total Common Stocks    
(Cost $109,078)   138,612
     
INVESTMENT COMPANIES – 0.7%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(2) (3) 890,489 890
Total Investment Companies    
(Cost $890)   890
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
1.82%, 11/25/22(4) (5)
$165 $164
Total Short-Term Investments  
(Cost $164) 164
     
Total Investments – 100.0%  
(Cost $110,132) 139,666
Other Assets less Liabilities – 0.0% 40
NET ASSETS – 100.0% $139,706
    
(1) Security represents underlying investment on open written option contracts.
(2) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(3) 7-day current yield as of June 30, 2022 is disclosed.
(4) Discount rate at the time of purchase.
(5) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT - Real Estate Investment Trust
 
NORTHERN FUNDS QUARTERLY REPORT     65    EQUITY FUNDS

Schedule of Investments
INCOME EQUITY FUNDcontinued June 30, 2022 (UNAUDITED)
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 5 $947 Long 9/22 $1
At June 30, 2022, the Fund had open written call options as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000S)
VALUE
(000S)
Alphabet, Inc., Exp. Date 7/15/22, Strike Price $2,700.00 (19) $(4,140) $(3)
Amazon.com, Inc., Exp. Date 7/15/22, Strike Price $135.00 (272) (2,889) (1)
Apple, Inc., Exp. Date 7/15/22, Strike Price $160.00 (370) (5,059) (2)
Meta Platforms, Inc., Exp. Date 7/15/22, Strike Price $225.00 (32) (516) —*
NVIDIA Corp., Exp. Date 7/15/22, Strike Price $215.00 (48) (728) —*
Tesla, Inc., Exp. Date 7/15/22, Strike Price $950.00 (22) (1,481) (1)
Total Written Options Contracts     $(7)
(Premiums Received (000s) $16)      
    
* Amount rounds to less than one thousand.
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 99.2%
Security Type(1) % of Net Assets
Investment Companies 0.7%
Short-Term Investments 0.1%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $138,612 $$— $138,612
Investment Companies 890 890
Short-Term Investments 164 164
Total Investments $139,502 $164 $— $139,666
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $1 $$— $1
Liabilities        
Written Options (7) (7)
Total Other Financial Instruments $(6) $$— $(6)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $1,445 $3,409 $3,964 $1 $890 890,489
EQUITY FUNDS    66    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
INTERNATIONAL EQUITY FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)
Australia – 5.8%
Aristocrat Leisure Ltd. 21,103 $501
Australia & New Zealand Banking Group Ltd. 81,891 1,246
BHP Group Ltd. 19,585 564
Brambles Ltd. 54,704 404
Coles Group Ltd. 35,252 434
CSL Ltd. 1,045 194
Fortescue Metals Group Ltd. 68,395 841
Lottery (The) Corp. Ltd.* 16,900 53
National Australia Bank Ltd. 2,618 50
Origin Energy Ltd. 37,559 150
Sonic Healthcare Ltd. 9,959 227
Stockland 188,463 470
Tabcorp Holdings Ltd. 17,529 13
Telstra Corp. Ltd. 289,690 769
Wesfarmers Ltd. 8,614 249
Woodside Energy Group Ltd. 3,538 77
    6,242
Austria – 0.3%
Erste Group Bank A.G. 6,852 174
voestalpine A.G. 7,131 152
    326
Belgium – 0.6%
Ageas S.A./N.V. 6,049 266
Proximus S.A.DP 24,922 368
    634
Canada – 11.0%
AltaGas Ltd. 7,513 158
Canadian Apartment Properties REIT 9,649 336
Canadian National Railway Co. 7,700 866
Canadian Natural Resources Ltd. 26,984 1,450
Canadian Tire Corp. Ltd., Class A 542 68
Canadian Utilities Ltd., Class A 4,926 147
CGI, Inc.* 9,843 784
Constellation Software, Inc. 86 128
Emera, Inc. 1,744 82
Fairfax Financial Holdings Ltd. 2,003 1,061
Fortis, Inc. 747 35
Hydro One Ltd. 6,826 184
IGM Financial, Inc. 34,599 927
Loblaw Cos. Ltd. 2,690 243
Lundin Mining Corp. 59,563 378
Manulife Financial Corp. 37,816 656
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
Canada – 11.0%continued
National Bank of Canada 7,804 $512
Nutrien Ltd. 3,324 265
Royal Bank of Canada 11,824 1,145
Suncor Energy, Inc. 28,890 1,014
TFI International, Inc. 11,102 891
West Fraser Timber Co. Ltd. 8,032 616
    11,946
Denmark – 2.1%
AP Moller - Maersk A/S, Class B 206 484
Carlsberg A/S, Class B 5,111 652
Novo Nordisk A/S, Class B 7,007 778
Orsted A/S(2) 88 9
Pandora A/S 5,507 348
    2,271
Finland – 0.5%
Fortum OYJ 10,222 154
Kesko OYJ, Class B 12,275 290
Wartsila OYJ Abp 18,665 145
    589
France – 9.1%
BNP Paribas S.A. 25,171 1,198
Capgemini S.E. 6,040 1,044
Carrefour S.A. 9,816 174
Cie de Saint-Gobain 18,269 794
Cie Generale des Etablissements Michelin S.C.A. 30,296 833
Dassault Aviation S.A. 1,503 235
Engie S.A. 22,791 264
Gecina S.A. 2,022 190
Ipsen S.A. 2,116 200
La Francaise des Jeux S.A.E.M.(2) 2,650 92
L'Oreal S.A. 2,989 1,033
LVMH Moet Hennessy Louis Vuitton S.E. 1,131 698
Publicis Groupe S.A. 13,264 655
Sanofi 12,002 1,214
Societe Generale S.A. 8,632 189
TotalEnergies S.E. 19,481 1,027
Veolia Environnement S.A.* 145 4
    9,844
Germany – 5.6%
Bayerische Motoren Werke A.G. 9,257 713
Covestro A.G.(2) 14,431 499
Deutsche Bank A.G. (Registered) 16,260 142
 
NORTHERN FUNDS QUARTERLY REPORT     67    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
Germany – 5.6%continued
Deutsche Post A.G. (Registered) 25,787 $966
E.ON S.E. 5,549 46
Fresenius Medical Care A.G. & Co. KGaA 2,287 114
GEA Group A.G. 16,098 555
Mercedes-Benz Group A.G. 17,829 1,032
Merck KGaA 5,653 954
RWE A.G. 2,359 87
SAP S.E. 3,399 310
Siemens A.G. (Registered) 6,028 613
Uniper S.E. 5,769 85
    6,116
Hong Kong – 2.8%
BOC Hong Kong Holdings Ltd. 278,495 1,102
Chow Tai Fook Jewellery Group Ltd. 96,314 181
CK Asset Holdings Ltd. 112,492 797
CK Infrastructure Holdings Ltd. 22,477 138
CLP Holdings Ltd. 6,098 51
Hang Seng Bank Ltd. 8,709 154
Jardine Matheson Holdings Ltd. 1,300 68
Power Assets Holdings Ltd. 26,657 168
Sun Hung Kai Properties Ltd. 34,031 403
    3,062
Ireland – 1.2%
CRH PLC 13,036 451
DCC PLC 13,222 826
    1,277
Israel – 1.7%
Bank Leumi Le-Israel B.M. 38,137 341
Check Point Software Technologies Ltd.* 7,518 916
Inmode Ltd.* 21,763 488
Wix.com Ltd.* 1,177 77
    1,822
Italy – 0.5%
Enel S.p.A. 75,147 413
Poste Italiane S.p.A.(2) 9,169 86
    499
Japan – 20.1%
Bridgestone Corp. 17,110 625
Brother Industries Ltd. 35,322 621
Canon, Inc. 2,400 55
Dai Nippon Printing Co. Ltd. 10,200 220
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
Japan – 20.1%continued
Daito Trust Construction Co. Ltd. 5,020 $433
Daiwa House Industry Co. Ltd. 19,500 455
Disco Corp. 3,800 895
FUJIFILM Holdings Corp. 3,300 177
Honda Motor Co. Ltd. 18,100 438
Hoya Corp. 9,700 829
Iida Group Holdings Co. Ltd. 46,800 721
Isuzu Motors Ltd. 87,700 967
ITOCHU Corp. 42,727 1,155
Itochu Techno-Solutions Corp. 1,500 37
Japan Post Bank Co. Ltd. 86,600 674
Japan Post Insurance Co. Ltd. 44,800 717
Japan Tobacco, Inc. 800 14
KDDI Corp. 35,419 1,120
Lawson, Inc. 2,400 80
Marubeni Corp. 9,900 89
MEIJI Holdings Co. Ltd. 9,700 476
MINEBEA MITSUMI, Inc. 200 3
Mitsubishi Corp. 500 15
Mitsubishi Electric Corp. 73,000 781
Mitsubishi UFJ Financial Group, Inc. 98,400 526
Mitsui & Co. Ltd. 14,800 327
NGK Insulators Ltd. 1,100 15
Nintendo Co. Ltd. 1,500 648
Nippon Telegraph & Telephone Corp. 12,534 360
Nippon Yusen K.K. 5,200 357
Ono Pharmaceutical Co. Ltd. 27,100 696
Open House Group Co. Ltd. 1,300 52
Otsuka Corp. 600 18
Persol Holdings Co. Ltd. 44,500 810
Ryohin Keikaku Co. Ltd. 31,300 319
SCSK Corp. 12,400 209
Secom Co. Ltd. 100 6
Sekisui House Ltd. 17,700 310
SG Holdings Co. Ltd. 6,800 115
Sompo Holdings, Inc. 9,600 423
Sumitomo Chemical Co. Ltd. 179,100 699
Sumitomo Corp. 22,200 304
Sumitomo Mitsui Financial Group, Inc. 9,700 288
Suntory Beverage & Food Ltd. 17,576 665
Takeda Pharmaceutical Co. Ltd. 6,400 180
Tokyo Gas Co. Ltd. 6,200 128
TOPPAN, Inc. 31,700 530
Tosoh Corp. 46,444 577
 
EQUITY FUNDS    68    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
Japan – 20.1%continued
Toyo Suisan Kaisha Ltd. 16,600 $647
Toyota Motor Corp. 3,300 51
Trend Micro, Inc. 12,900 628
Yamaha Motor Co. Ltd. 16,500 303
    21,788
Jordan – 0.1%
Hikma Pharmaceuticals PLC 5,475 108
Netherlands – 4.4%
Aegon N.V. 162,701 709
ASM International N.V. 1,107 280
ASML Holding N.V. 1,067 515
Heineken N.V. 9,224 845
ING Groep N.V. 18,029 179
Koninklijke Ahold Delhaize N.V. 18,450 481
NN Group N.V. 21,285 973
Randstad N.V. 15,623 762
    4,744
New Zealand – 0.1%
Fisher & Paykel Healthcare Corp. Ltd. 10,133 126
Norway – 1.5%
Equinor ASA 9,433 328
Norsk Hydro ASA 74,987 423
Yara International ASA 21,653 908
    1,659
Portugal – 0.6%
Jeronimo Martins SGPS S.A. 27,187 591
Singapore – 2.2%
Oversea-Chinese Banking Corp. Ltd. 71,500 587
Singapore Technologies Engineering Ltd. 287,900 847
United Overseas Bank Ltd. 51,000 966
    2,400
Spain – 2.1%
Banco Bilbao Vizcaya Argentaria S.A. 230,862 1,048
Endesa S.A. 6,828 129
Iberdrola S.A. 50,594 525
Industria de Diseno Textil S.A. 11,534 261
Naturgy Energy Group S.A. 5,432 156
Repsol S.A. 13,213 195
    2,314
Sweden – 2.0%
Boliden AB 7,051 224
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
Sweden – 2.0%continued
Getinge AB, Class B 20,153 $466
Hexagon AB, Class B 60,573 630
Husqvarna AB, Class B 48,052 354
Industrivarden AB, Class C 677 15
Sandvik AB 7,609 123
Securitas AB, Class B 6,801 59
Skanska AB, Class B 22,530 346
    2,217
Switzerland – 10.1%
ABB Ltd. (Registered) 9,802 262
Cie Financiere Richemont S.A., Class A (Registered) 12,290 1,309
Coca-Cola HBC A.G. - CDI 15,779 350
Holcim A.G.* 2,539 109
Kuehne + Nagel International A.G. (Registered) 1,013 240
Logitech International S.A. (Registered) 6,679 348
Nestle S.A. (Registered) 14,100 1,654
Novartis A.G. (Registered) 18,436 1,560
Roche Holding A.G. (Genusschein) 6,929 2,313
STMicroelectronics N.V. 14,252 453
Swisscom A.G. (Registered) 1,698 940
UBS Group A.G. (Registered) 87,688 1,415
    10,953
United Kingdom – 12.8%
3i Group PLC 64,554 872
Anglo American PLC 25,236 901
AstraZeneca PLC 1,641 215
Barclays PLC 551,000 1,032
Barratt Developments PLC 7,431 41
Berkeley Group Holdings PLC* 10,969 498
British American Tobacco PLC 26,302 1,127
BT Group PLC 23,399 53
Bunzl PLC 2,867 95
CNH Industrial N.V. 48,967 568
Diageo PLC 4,522 195
Ferguson PLC 2,057 230
GSK PLC 85,780 1,845
HSBC Holdings PLC 86,936 567
Imperial Brands PLC 32,668 730
InterContinental Hotels Group PLC 163 9
J Sainsbury PLC 132,050 328
National Grid PLC 27,388 351
NatWest Group PLC 145,004 386
 
NORTHERN FUNDS QUARTERLY REPORT     69    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.2% (1)continued
United Kingdom – 12.8%continued
Persimmon PLC 9,297 $211
Rio Tinto PLC 7,492 448
Sage Group (The) PLC 47,367 366
Segro PLC 9,216 110
Shell PLC 88,992 2,322
SSE PLC 5,622 111
United Utilities Group PLC 1,248 16
WPP PLC 23,698 238
    13,865
Total Common Stocks    
(Cost $114,195)   105,393
     
PREFERRED STOCKS – 0.0% (1) (3)
Germany – 0.0%
Volkswagen A.G., 5.9%(4) 219 29
Total Preferred Stocks    
(Cost $36)   29
     
INVESTMENT COMPANIES – 0.9%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(5) (6) 989,396 989
Total Investment Companies    
(Cost $989)   989
     
Total Investments – 98.1%    
(Cost $115,220)   106,411
Other Assets less Liabilities – 1.9%   2,072
Net Assets – 100.0%   $108,483
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(3) Rounds to less than 0.1%.
(4) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
(5) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(6) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
CDI – CREST Depository Interest
 
FTSE – Financial Times Stock Exchange
 
REIT – Real Estate Investment Trust
 
S&P – Standard & Poor's
 
TSX – Toronto Stock Exchange
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Euro Stoxx 50 (Euro) 38 $1,370 Long 9/22 $(20)
FTSE 100 Index (British Pound) 5 433 Long 9/22 (2)
S&P/TSX 60 Index (Canadian Dollar) 2 355 Long 9/22 (14)
SPI 200 Index (Australian Dollar) 2 223 Long 9/22 (3)
Yen Denominated Nikkei 225 (Japanese Yen) 7 681 Long 9/22 (14)
Total         $(53)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
Euro 25.0%
Japanese Yen 20.1
British Pound 13.4
Canadian Dollar 11.0
Swiss Franc 9.4
Australian Dollar 5.8
All other currencies less than 5% 13.4
Total Investments 98.1
Other Assets less Liabilities 1.9
Net Assets 100.0%
 
EQUITY FUNDS    70    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Australia $53 $6,189 $— $6,242
Canada 11,946 11,946
Germany 499 5,617 6,116
Israel 1,481 341 1,822
All Other Countries(1) 79,267 79,267
Total Common Stocks 13,979 91,414 105,393
Preferred Stocks 29 29
Investment Companies 989 989
Total Investments $14,968 $91,443 $— $106,411
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(53) $$— $(53)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $1,627 $8,088 $8,726 $1 $989 989,396
NORTHERN FUNDS QUARTERLY REPORT     71    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)
Australia – 7.6%
Ampol Ltd. 69,317 $1,629
APA Group 344,798 2,681
Aristocrat Leisure Ltd. 177,958 4,226
ASX Ltd. 56,844 3,208
Aurizon Holdings Ltd. 550,770 1,447
Australia & New Zealand Banking Group Ltd. 818,581 12,455
BGP Holdings PLC(2) (3) * 1,085,479
BHP Group Ltd. 1,484,790 42,766
BlueScope Steel Ltd. 135,203 1,483
Brambles Ltd. 421,643 3,115
Cochlear Ltd. 18,971 2,604
Coles Group Ltd. 396,978 4,882
Commonwealth Bank of Australia 500,575 31,247
Computershare Ltd. 158,865 2,704
CSL Ltd. 141,157 26,228
Dexus 308,968 1,892
Domino's Pizza Enterprises Ltd. 18,304 858
Endeavour Group Ltd. 404,469 2,114
Evolution Mining Ltd. 530,325 853
Fortescue Metals Group Ltd. 501,700 6,171
Goodman Group 496,326 6,106
GPT Group (The) 568,328 1,654
IDP Education Ltd. 63,087 1,036
Insurance Australia Group Ltd. 744,012 2,240
Lendlease Corp. Ltd. 205,647 1,294
Lottery (The) Corp. Ltd.* 631,301 1,970
Macquarie Group Ltd. 106,021 12,050
Medibank Pvt Ltd. 831,013 1,865
Mineral Resources Ltd. 51,356 1,738
Mirvac Group 1,079,625 1,470
National Australia Bank Ltd. 947,296 17,915
Newcrest Mining Ltd. 263,788 3,751
Northern Star Resources Ltd. 351,125 1,619
Orica Ltd. 124,071 1,348
Origin Energy Ltd. 528,236 2,104
Qantas Airways Ltd.* 258,118 797
QBE Insurance Group Ltd. 436,252 3,661
Ramsay Health Care Ltd. 53,728 2,717
REA Group Ltd. 14,975 1,154
Reece Ltd. 67,484 643
Rio Tinto Ltd. 109,212 7,824
Santos Ltd. 948,622 4,836
Scentre Group 1,525,891 2,725
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Australia – 7.6%continued
SEEK Ltd. 101,806 $1,477
Sonic Healthcare Ltd. 134,715 3,071
South32 Ltd. 1,360,206 3,755
Stockland 713,700 1,779
Suncorp Group Ltd. 367,302 2,785
Telstra Corp. Ltd. 1,195,099 3,174
Transurban Group 905,310 8,991
Treasury Wine Estates Ltd. 218,594 1,711
Vicinity Centres 1,159,071 1,469
Washington H Soul Pattinson & Co. Ltd. 64,896 1,055
Wesfarmers Ltd. 330,816 9,575
Westpac Banking Corp. 1,025,957 13,817
WiseTech Global Ltd. 43,985 1,141
Woodside Energy Group Ltd. 550,776 12,061
Woolworths Group Ltd. 356,192 8,750
    309,691
Austria – 0.2%
Erste Group Bank A.G. 99,606 2,530
OMV A.G. 43,901 2,062
Verbund A.G. 20,745 2,031
voestalpine A.G. 32,794 698
    7,321
Belgium – 0.9%
Ageas S.A./N.V. 48,963 2,156
Anheuser-Busch InBev S.A./N.V. 255,490 13,782
D'ieteren Group 7,417 1,086
Elia Group S.A./N.V. 9,912 1,406
Groupe Bruxelles Lambert S.A. 28,402 2,373
KBC Group N.V. 74,041 4,159
Proximus S.A.DP 47,525 701
Sofina S.A. 4,582 937
Solvay S.A., Class A 21,631 1,755
UCB S.A. 37,323 3,161
Umicore S.A. 62,033 2,168
Warehouses De Pauw - C.V.A. 40,752 1,282
    34,966
Chile – 0.0%
Antofagasta PLC 119,332 1,678
Denmark – 2.7%
AP Moller - Maersk A/S, Class A 937 2,173
AP Moller - Maersk A/S, Class B 1,580 3,711
Carlsberg A/S, Class B 29,586 3,774
Chr Hansen Holding A/S 31,126 2,271
 
EQUITY FUNDS    72    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Denmark – 2.7%continued
Coloplast A/S, Class B 34,708 $3,964
Danske Bank A/S 201,675 2,858
Demant A/S* 29,618 1,112
DSV A/S 55,884 7,825
Genmab A/S* 19,289 6,257
GN Store Nord A/S 36,969 1,304
Novo Nordisk A/S, Class B 493,888 54,817
Novozymes A/S, Class B 60,716 3,656
Orsted A/S(4) 55,534 5,807
Pandora A/S 27,234 1,721
ROCKWOOL A/S, Class B 2,523 570
Tryg A/S 105,104 2,362
Vestas Wind Systems A/S 296,692 6,287
    110,469
Finland – 1.2%
Elisa OYJ 42,730 2,402
Fortum OYJ 126,684 1,903
Kesko OYJ, Class B 82,698 1,952
Kone OYJ, Class B 100,704 4,815
Neste OYJ 125,401 5,556
Nokia OYJ 1,583,758 7,378
Nordea Bank Abp 965,728 8,505
Orion OYJ, Class B 32,054 1,432
Sampo OYJ, Class A 146,682 6,388
Stora Enso OYJ (Registered) 163,061 2,560
UPM-Kymmene OYJ 157,703 4,824
Wartsila OYJ Abp 143,640 1,120
    48,835
France – 10.7%
Accor S.A.* 49,672 1,364
Aeroports de Paris* 8,862 1,129
Air Liquide S.A. 153,575 20,757
Airbus S.E. 172,554 16,943
Alstom S.A. 92,524 2,118
Amundi S.A.(4) 17,965 994
Arkema S.A. 16,887 1,522
AXA S.A. 567,170 12,889
BioMerieux 12,093 1,181
BNP Paribas S.A. 324,780 15,464
Bollore S.E. 259,867 1,212
Bouygues S.A. 67,027 2,073
Bureau Veritas S.A. 86,342 2,214
Capgemini S.E. 47,408 8,198
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
France – 10.7%continued
Carrefour S.A. 183,696 $3,259
Cie de Saint-Gobain 144,666 6,284
Cie Generale des Etablissements Michelin S.C.A. 200,048 5,501
Covivio 14,503 812
Credit Agricole S.A. 364,290 3,337
Danone S.A. 192,386 10,812
Dassault Aviation S.A. 7,105 1,109
Dassault Systemes S.E. 194,318 7,200
Edenred 73,770 3,496
Eiffage S.A. 24,227 2,200
Electricite de France S.A. 171,532 1,404
Engie S.A. 532,024 6,175
EssilorLuxottica S.A. 84,774 12,823
Eurazeo S.E. 13,451 840
Eurofins Scientific S.E. 39,784 3,145
Gecina S.A. 13,585 1,278
Getlink S.E. 130,287 2,308
Hermes International 9,353 10,566
Ipsen S.A. 11,509 1,087
Kering S.A. 22,048 11,455
Klepierre S.A.* 61,320 1,181
La Francaise des Jeux S.A.E.M.(4) 31,791 1,108
Legrand S.A. 78,735 5,860
L'Oreal S.A. 70,613 24,397
LVMH Moet Hennessy Louis Vuitton S.E. 81,488 50,289
Orange S.A. 589,161 6,928
Pernod Ricard S.A. 61,259 11,347
Publicis Groupe S.A. 67,791 3,347
Remy Cointreau S.A. 6,587 1,160
Renault S.A.* 58,542 1,482
Safran S.A. 100,468 10,051
Sanofi 333,765 33,752
Sartorius Stedim Biotech 8,084 2,559
Schneider Electric S.E. 158,466 18,773
SEB S.A. 7,739 747
Societe Generale S.A. 236,633 5,190
Sodexo S.A. 25,779 1,829
Teleperformance 17,218 5,297
Thales S.A. 31,625 3,879
TotalEnergies S.E. 726,633 38,302
Ubisoft Entertainment S.A.* 27,475 1,214
Unibail-Rodamco-Westfield* 26,509 1,353
Unibail-Rodamco-Westfield - CDI* 142,686 371
 
NORTHERN FUNDS QUARTERLY REPORT     73    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
France – 10.7%continued
Valeo 61,312 $1,200
Veolia Environnement S.A.* 194,973 4,824
Vinci S.A. 156,291 14,041
Vivendi S.E. 214,889 2,193
Wendel S.E. 7,692 650
Worldline S.A.(4) * 70,739 2,617
    439,090
Germany – 7.1%
adidas A.G. 50,286 8,894
Allianz S.E. (Registered) 119,914 22,891
Aroundtown S.A. 300,026 954
BASF S.E. 268,791 11,697
Bayer A.G. (Registered) 287,865 17,103
Bayerische Motoren Werke A.G. 97,553 7,510
Bechtle A.G. 24,288 993
Beiersdorf A.G. 29,537 3,017
Brenntag S.E. 44,842 2,919
Carl Zeiss Meditec A.G. (Bearer) 12,046 1,439
Commerzbank A.G.* 317,318 2,223
Continental A.G. 32,687 2,278
Covestro A.G.(4) 56,023 1,936
Daimler Truck Holding A.G.* 133,826 3,493
Delivery Hero S.E.(4) * 49,256 1,846
Deutsche Bank A.G. (Registered) 614,061 5,351
Deutsche Boerse A.G. 55,925 9,354
Deutsche Lufthansa A.G. (Registered)* 178,894 1,043
Deutsche Post A.G. (Registered) 291,417 10,918
Deutsche Telekom A.G. (Registered) 949,050 18,843
E.ON S.E. 664,002 5,571
Evonik Industries A.G. 62,685 1,338
Fresenius Medical Care A.G. & Co. KGaA 60,269 3,010
Fresenius S.E. & Co. KGaA 123,633 3,746
GEA Group A.G. 46,687 1,609
Hannover Rueck S.E. 17,514 2,541
HeidelbergCement A.G. 42,318 2,033
HelloFresh S.E.* 47,772 1,546
Henkel A.G. & Co. KGaA 29,981 1,835
Infineon Technologies A.G. 378,890 9,167
KION Group A.G. 21,944 910
Knorr-Bremse A.G. 22,233 1,268
LEG Immobilien S.E. 22,075 1,830
Mercedes-Benz Group A.G. 235,016 13,600
Merck KGaA 37,943 6,404
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Germany – 7.1%continued
MTU Aero Engines A.G. 15,788 $2,874
Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen (Registered) 40,866 9,604
Nemetschek S.E. 17,415 1,054
Puma S.E. 30,086 1,981
Rational A.G. 1,462 850
Rheinmetall A.G. 12,932 2,986
RWE A.G. 189,894 6,999
SAP S.E. 305,807 27,860
Scout24 S.E.(4) 24,469 1,257
Siemens A.G. (Registered) 224,192 22,818
Siemens Energy A.G. 129,561 1,900
Siemens Healthineers A.G.(4) 83,738 4,257
Symrise A.G. 39,350 4,282
Telefonica Deutschland Holding A.G. 290,382 834
Uniper S.E. 29,407 436
United Internet A.G. (Registered) 28,710 819
Volkswagen A.G. 9,093 1,657
Vonovia S.E. 203,019 6,257
Zalando S.E.(4) * 65,911 1,724
    291,559
Hong Kong – 3.3%
AIA Group Ltd. 3,540,686 38,891
BOC Hong Kong Holdings Ltd. 1,098,608 4,348
Budweiser Brewing Co. APAC Ltd.(4) 521,100 1,563
Chow Tai Fook Jewellery Group Ltd. 600,000 1,129
CK Asset Holdings Ltd. 595,638 4,219
CK Hutchison Holdings Ltd. 794,138 5,401
CK Infrastructure Holdings Ltd. 166,353 1,022
CLP Holdings Ltd. 488,014 4,051
ESR Group Ltd.* 598,200 1,619
Futu Holdings Ltd. ADR* 17,399 908
Galaxy Entertainment Group Ltd. 645,148 3,861
Hang Lung Properties Ltd. 603,501 1,145
Hang Seng Bank Ltd. 227,979 4,028
Henderson Land Development Co. Ltd. 437,929 1,648
HK Electric Investments & HK Electric Investments Ltd. 832,227 764
HKT Trust & HKT Ltd. 1,151,220 1,547
Hong Kong & China Gas Co. Ltd. 3,343,005 3,601
Hong Kong Exchanges & Clearing Ltd. 354,596 17,701
Hongkong Land Holdings Ltd. 346,700 1,743
Jardine Matheson Holdings Ltd. 64,100 3,374
 
EQUITY FUNDS    74    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Hong Kong – 3.3%continued
Link REIT 618,778 $5,054
MTR Corp. Ltd. 443,636 2,318
New World Development Co. Ltd. 458,111 1,654
Power Assets Holdings Ltd. 407,817 2,569
Sino Land Co. Ltd. 1,026,165 1,515
SITC International Holdings Co. Ltd. 405,000 1,148
Sun Hung Kai Properties Ltd. 426,758 5,050
Swire Pacific Ltd., Class A 143,551 863
Swire Properties Ltd. 340,587 847
Techtronic Industries Co. Ltd. 402,333 4,206
WH Group Ltd.(4) 2,452,713 1,898
Wharf Real Estate Investment Co. Ltd. 484,766 2,311
Xinyi Glass Holdings Ltd. 532,000 1,280
    133,276
Ireland – 0.9%
AerCap Holdings N.V.* 40,475 1,657
CRH PLC 224,671 7,777
DCC PLC 29,770 1,860
Experian PLC 271,321 7,954
Flutter Entertainment PLC - CDI* 48,693 4,930
Irish Bank Resolution Corp. Ltd.(2) * 99,788
James Hardie Industries PLC - CDI 131,314 2,876
Kerry Group PLC, Class A 46,365 4,441
Kingspan Group PLC 45,714 2,750
Smurfit Kappa Group PLC 71,858 2,425
    36,670
Israel – 0.7%
Azrieli Group Ltd. 12,362 870
Bank Hapoalim B.M. 384,925 3,235
Bank Leumi Le-Israel B.M. 428,649 3,836
Check Point Software Technologies Ltd.* 30,133 3,670
CyberArk Software Ltd.* 11,912 1,524
Elbit Systems Ltd. 7,883 1,807
ICL Group Ltd. 205,724 1,879
Israel Discount Bank Ltd., Class A 355,469 1,861
Kornit Digital Ltd.* 13,593 431
Mizrahi Tefahot Bank Ltd. 43,080 1,433
Nice Ltd.* 18,675 3,599
Teva Pharmaceutical Industries Ltd. ADR* 326,950 2,459
Tower Semiconductor Ltd.* 32,538 1,520
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Israel – 0.7%continued
Wix.com Ltd.* 16,691 $1,094
ZIM Integrated Shipping Services Ltd. 24,907 1,176
    30,394
Italy – 1.9%
Amplifon S.p.A. 36,670 1,129
Assicurazioni Generali S.p.A. 328,350 5,259
Atlantia S.p.A. 146,013 3,427
Davide Campari-Milano N.V. 155,838 1,645
DiaSorin S.p.A. 7,857 1,032
Enel S.p.A. 2,393,622 13,156
Eni S.p.A. 741,989 8,815
Ferrari N.V. 17,627 3,251
Ferrari N.V. (New York Exchange) 19,445 3,568
FinecoBank Banca Fineco S.p.A. 177,882 2,144
Infrastrutture Wireless Italiane S.p.A.(4) 96,117 978
Intesa Sanpaolo S.p.A. 4,811,695 9,047
Mediobanca Banca di Credito Finanziario S.p.A. 184,960 1,610
Moncler S.p.A. 60,221 2,601
Nexi S.p.A.(4) * 146,191 1,217
Poste Italiane S.p.A.(4) 158,553 1,490
Prysmian S.p.A. 72,878 2,011
Recordati Industria Chimica e Farmaceutica S.p.A. 31,359 1,370
Snam S.p.A. 598,439 3,141
Telecom Italia S.p.A.* 3,047,503 799
Tenaris S.A. 140,576 1,806
Terna - Rete Elettrica Nazionale 410,139 3,224
UniCredit S.p.A. 620,930 5,954
    78,674
Japan – 21.7%
Advantest Corp. 56,000 2,976
Aeon Co. Ltd. 195,100 3,387
AGC, Inc. 56,400 1,985
Aisin Corp. 44,800 1,388
Ajinomoto Co., Inc. 138,300 3,365
ANA Holdings, Inc.* 46,800 863
Asahi Group Holdings Ltd. 133,400 4,373
Asahi Intecc Co. Ltd. 65,000 980
Asahi Kasei Corp. 361,900 2,766
Astellas Pharma, Inc. 546,700 8,518
Azbil Corp. 32,700 860
Bandai Namco Holdings, Inc. 59,300 4,190
Bridgestone Corp. 167,500 6,115
 
NORTHERN FUNDS QUARTERLY REPORT     75    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
Brother Industries Ltd. 69,500 $1,223
Canon, Inc. 296,700 6,750
Capcom Co. Ltd. 52,700 1,281
Central Japan Railway Co. 42,500 4,906
Chiba Bank (The) Ltd. 154,000 842
Chubu Electric Power Co., Inc. 194,200 1,956
Chugai Pharmaceutical Co. Ltd. 197,965 5,066
Concordia Financial Group Ltd. 320,400 1,110
CyberAgent, Inc. 128,100 1,277
Dai Nippon Printing Co. Ltd. 66,700 1,439
Daifuku Co. Ltd. 30,800 1,764
Dai-ichi Life Holdings, Inc. 295,200 5,450
Daiichi Sankyo Co. Ltd. 513,700 12,968
Daikin Industries Ltd. 72,700 11,668
Daito Trust Construction Co. Ltd. 18,600 1,604
Daiwa House Industry Co. Ltd. 178,500 4,163
Daiwa House REIT Investment Corp. 640 1,451
Daiwa Securities Group, Inc. 384,400 1,718
Denso Corp. 126,000 6,702
Dentsu Group, Inc. 63,018 1,894
Disco Corp. 8,700 2,049
East Japan Railway Co. 89,912 4,600
Eisai Co. Ltd. 74,700 3,154
ENEOS Holdings, Inc. 910,997 3,439
FANUC Corp. 55,700 8,731
Fast Retailing Co. Ltd. 17,000 8,890
Fuji Electric Co. Ltd. 38,600 1,601
FUJIFILM Holdings Corp. 105,000 5,638
Fujitsu Ltd. 57,800 7,235
GLP J-REIT 1,264 1,545
GMO Payment Gateway, Inc. 12,500 881
Hakuhodo DY Holdings, Inc. 69,000 634
Hamamatsu Photonics K.K. 42,370 1,647
Hankyu Hanshin Holdings, Inc. 67,000 1,828
Hikari Tsushin, Inc. 5,800 595
Hirose Electric Co. Ltd. 8,328 1,100
Hitachi Construction Machinery Co. Ltd. 29,900 663
Hitachi Ltd. 283,800 13,447
Hitachi Metals Ltd.* 63,000 953
Honda Motor Co. Ltd. 479,000 11,587
Hoshizaki Corp. 32,200 961
Hoya Corp. 108,100 9,241
Hulic Co. Ltd. 108,100 837
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
Ibiden Co. Ltd. 32,200 $900
Idemitsu Kosan Co. Ltd. 62,488 1,501
Iida Group Holdings Co. Ltd. 41,264 636
Inpex Corp. 304,800 3,290
Isuzu Motors Ltd. 175,400 1,934
Ito En Ltd. 15,900 712
ITOCHU Corp. 349,000 9,439
Itochu Techno-Solutions Corp. 27,600 673
Japan Airlines Co. Ltd.* 42,200 739
Japan Exchange Group, Inc. 147,200 2,126
Japan Metropolitan Fund Invest 2,099 1,636
Japan Post Bank Co. Ltd. 120,500 937
Japan Post Holdings Co. Ltd. 729,000 5,209
Japan Post Insurance Co. Ltd. 58,100 930
Japan Real Estate Investment Corp. 359 1,651
Japan Tobacco, Inc. 347,000 6,002
JFE Holdings, Inc. 142,800 1,502
JSR Corp. 53,700 1,395
Kajima Corp. 129,800 1,490
Kakaku.com, Inc. 39,200 647
Kansai Electric Power (The) Co., Inc. 202,000 2,001
Kao Corp. 137,300 5,541
KDDI Corp. 475,700 15,042
Keio Corp. 30,300 1,085
Keisei Electric Railway Co. Ltd. 37,600 1,037
Keyence Corp. 57,056 19,526
Kikkoman Corp. 43,100 2,289
Kintetsu Group Holdings Co. Ltd. 51,300 1,596
Kirin Holdings Co. Ltd. 243,000 3,830
Kobayashi Pharmaceutical Co. Ltd. 16,000 987
Kobe Bussan Co. Ltd. 43,600 1,067
Koei Tecmo Holdings Co. Ltd. 18,720 605
Koito Manufacturing Co. Ltd. 31,414 998
Komatsu Ltd. 273,900 6,097
Konami Holdings Corp. 27,600 1,529
Kose Corp. 9,600 874
Kubota Corp. 296,500 4,435
Kurita Water Industries Ltd. 28,900 1,051
Kyocera Corp. 95,400 5,106
Kyowa Kirin Co. Ltd. 75,100 1,689
Lasertec Corp. 22,500 2,657
Lixil Corp. 87,900 1,647
M3, Inc. 131,400 3,781
Makita Corp. 65,000 1,622
 
EQUITY FUNDS    76    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
Marubeni Corp. 458,500 $4,139
Mazda Motor Corp. 167,700 1,373
McDonald's Holdings Co. Japan Ltd. 24,200 881
MEIJI Holdings Co. Ltd. 32,426 1,592
MINEBEA MITSUMI, Inc. 109,100 1,860
MISUMI Group, Inc. 82,100 1,733
Mitsubishi Chemical Holdings Corp. 373,300 2,024
Mitsubishi Corp. 371,200 11,038
Mitsubishi Electric Corp. 559,800 5,992
Mitsubishi Estate Co. Ltd. 342,500 4,974
Mitsubishi HC Capital, Inc. 188,300 869
Mitsubishi Heavy Industries Ltd. 94,700 3,315
Mitsubishi UFJ Financial Group, Inc. 3,501,295 18,734
Mitsui & Co. Ltd. 408,000 9,010
Mitsui Chemicals, Inc. 55,200 1,177
Mitsui Fudosan Co. Ltd. 267,900 5,765
Mitsui OSK Lines Ltd. 100,900 2,317
Mizuho Financial Group, Inc. 711,218 8,087
MonotaRO Co. Ltd. 75,300 1,120
MS&AD Insurance Group Holdings, Inc. 131,843 4,042
Murata Manufacturing Co. Ltd. 167,891 9,093
NEC Corp. 71,000 2,760
Nexon Co. Ltd. 147,700 3,026
NGK Insulators Ltd. 74,300 1,002
Nidec Corp. 130,200 8,051
Nihon M&A Center, Inc. 91,200 971
Nintendo Co. Ltd. 32,500 14,046
Nippon Building Fund, Inc. 442 2,199
NIPPON EXPRESS HOLDINGS, Inc. 22,800 1,239
Nippon Paint Holdings Co. Ltd. 241,300 1,800
Nippon Prologis REIT, Inc. 608 1,495
Nippon Sanso Holdings Corp. 51,400 820
Nippon Shinyaku Co. Ltd. 14,100 858
Nippon Steel Corp. 239,761 3,346
Nippon Telegraph & Telephone Corp. 351,712 10,098
Nippon Yusen K.K. 48,100 3,300
Nissan Chemical Corp. 38,300 1,766
Nissan Motor Co. Ltd. 684,400 2,668
Nisshin Seifun Group, Inc. 56,505 662
Nissin Foods Holdings Co. Ltd. 19,000 1,312
Nitori Holdings Co. Ltd. 23,800 2,259
Nitto Denko Corp. 41,700 2,701
Nomura Holdings, Inc. 838,900 3,068
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
Nomura Real Estate Holdings, Inc. 32,700 $802
Nomura Real Estate Master Fund, Inc. 1,254 1,566
Nomura Research Institute Ltd. 99,222 2,642
NTT Data Corp. 186,200 2,557
Obayashi Corp. 194,800 1,415
Obic Co. Ltd. 20,500 2,902
Odakyu Electric Railway Co. Ltd. 87,200 1,174
Oji Holdings Corp. 235,200 1,020
Olympus Corp. 365,600 7,353
Omron Corp. 55,400 2,817
Ono Pharmaceutical Co. Ltd. 108,500 2,785
Open House Group Co. Ltd. 24,600 980
Oracle Corp. Japan 10,900 630
Oriental Land Co. Ltd. 58,500 8,147
ORIX Corp. 348,200 5,845
Osaka Gas Co. Ltd. 113,000 2,170
Otsuka Corp. 34,200 1,010
Otsuka Holdings Co. Ltd. 113,515 4,033
Pan Pacific International Holdings Corp. 113,000 1,804
Panasonic Corp. 648,800 5,249
Persol Holdings Co. Ltd. 52,700 959
Rakuten Group, Inc. 261,700 1,182
Recruit Holdings Co. Ltd. 421,700 12,436
Renesas Electronics Corp.* 337,400 3,044
Resona Holdings, Inc. 628,910 2,356
Ricoh Co. Ltd. 169,800 1,321
Rohm Co. Ltd. 26,600 1,842
SBI Holdings, Inc. 73,960 1,448
SCSK Corp. 45,500 766
Secom Co. Ltd. 62,200 3,845
Seiko Epson Corp. 81,000 1,147
Sekisui Chemical Co. Ltd. 114,300 1,566
Sekisui House Ltd. 178,400 3,122
Seven & i Holdings Co. Ltd. 221,200 8,575
SG Holdings Co. Ltd. 86,500 1,460
Sharp Corp. 74,000 573
Shimadzu Corp. 70,400 2,228
Shimano, Inc. 21,300 3,603
Shimizu Corp. 164,100 908
Shin-Etsu Chemical Co. Ltd. 109,500 12,361
Shionogi & Co. Ltd. 77,700 3,928
Shiseido Co. Ltd. 117,400 4,717
Shizuoka Bank (The) Ltd. 123,300 741
SMC Corp. 16,900 7,541
 
NORTHERN FUNDS QUARTERLY REPORT     77    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
SoftBank Corp. 845,800 $9,388
SoftBank Group Corp. 352,800 13,634
Sompo Holdings, Inc. 93,245 4,114
Sony Group Corp. 369,800 30,221
Square Enix Holdings Co. Ltd. 25,700 1,139
Subaru Corp. 180,800 3,216
SUMCO Corp. 100,100 1,288
Sumitomo Chemical Co. Ltd. 449,700 1,756
Sumitomo Corp. 327,700 4,482
Sumitomo Electric Industries Ltd. 199,500 2,206
Sumitomo Metal Mining Co. Ltd. 73,300 2,297
Sumitomo Mitsui Financial Group, Inc. 383,542 11,391
Sumitomo Mitsui Trust Holdings, Inc. 96,819 2,983
Sumitomo Realty & Development Co. Ltd. 90,000 2,379
Suntory Beverage & Food Ltd. 41,800 1,581
Suzuki Motor Corp. 109,600 3,448
Sysmex Corp. 49,798 3,001
T&D Holdings, Inc. 154,300 1,844
Taisei Corp. 57,700 1,798
Takeda Pharmaceutical Co. Ltd. 439,566 12,353
TDK Corp. 115,600 3,575
Terumo Corp. 189,900 5,726
TIS, Inc. 66,600 1,746
Tobu Railway Co. Ltd. 56,400 1,290
Toho Co. Ltd. 33,000 1,194
Tokio Marine Holdings, Inc. 184,400 10,746
Tokyo Electric Power Co. Holdings, Inc.* 452,500 1,892
Tokyo Electron Ltd. 43,800 14,207
Tokyo Gas Co. Ltd. 116,900 2,419
Tokyu Corp. 153,500 1,809
TOPPAN, Inc. 77,000 1,287
Toray Industries, Inc. 394,900 2,217
Toshiba Corp. 114,400 4,653
Tosoh Corp. 77,100 958
TOTO Ltd. 42,900 1,418
Toyota Industries Corp. 43,300 2,684
Toyota Motor Corp. 3,113,220 47,946
Toyota Tsusho Corp. 62,200 2,033
Trend Micro, Inc. 40,100 1,952
Unicharm Corp. 120,000 4,018
USS Co. Ltd. 64,300 1,112
Welcia Holdings Co. Ltd. 27,100 543
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Japan – 21.7%continued
West Japan Railway Co. 64,300 $2,367
Yakult Honsha Co. Ltd. 36,900 2,130
Yamaha Corp. 40,100 1,651
Yamaha Motor Co. Ltd. 89,100 1,634
Yamato Holdings Co. Ltd. 88,600 1,416
Yaskawa Electric Corp. 70,300 2,267
Yokogawa Electric Corp. 68,100 1,117
Z Holdings Corp. 793,500 2,321
ZOZO, Inc. 37,200 671
    890,365
Jordan – 0.0%
Hikma Pharmaceuticals PLC 52,388 1,032
Macau – 0.1%
Sands China Ltd.* 721,099 1,761
Netherlands – 4.5%
ABN AMRO Bank N.V. - C.V.A. 126,801 1,426
Adyen N.V.(4) * 6,281 9,233
Aegon N.V. 532,484 2,321
Akzo Nobel N.V. 53,952 3,564
ArcelorMittal S.A. 177,539 4,031
Argenx S.E.* 14,326 5,407
ASM International N.V. 13,870 3,503
ASML Holding N.V. 119,315 57,585
Euronext N.V. 25,722 2,107
EXOR N.V. 31,421 1,972
Heineken Holding N.V. 30,294 2,216
Heineken N.V. 75,357 6,901
IMCD N.V. 16,387 2,264
ING Groep N.V. 1,146,588 11,379
JDE Peet's N.V. 28,152 804
Just Eat Takeaway.com N.V.* 54,494 871
Koninklijke Ahold Delhaize N.V. 308,051 8,028
Koninklijke DSM N.V. 51,017 7,370
Koninklijke KPN N.V. 965,709 3,445
Koninklijke Philips N.V. 257,892 5,596
NN Group N.V. 82,753 3,785
OCI N.V. 31,429 1,036
Prosus N.V.* 242,360 16,017
QIAGEN N.V.* 66,427 3,120
Randstad N.V. 34,425 1,679
Stellantis N.V. 465,853 5,802
Stellantis N.V. (New York Exchange) 173,310 2,142
 
EQUITY FUNDS    78    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Netherlands – 4.5%continued
Universal Music Group N.V. 215,267 $4,349
Wolters Kluwer N.V. 77,429 7,532
    185,485
New Zealand – 0.2%
Auckland International Airport Ltd.* 358,943 1,608
Fisher & Paykel Healthcare Corp. Ltd. 167,074 2,081
Mercury NZ Ltd. 216,235 763
Meridian Energy Ltd. 386,420 1,128
Spark New Zealand Ltd. 528,543 1,584
Xero Ltd.* 40,326 2,146
    9,310
Norway – 0.8%
Adevinta ASA* 83,749 610
Aker BP ASA 94,761 3,275
DNB Bank ASA 274,735 4,945
Equinor ASA 287,570 10,003
Gjensidige Forsikring ASA 59,937 1,217
Kongsberg Gruppen ASA 27,717 997
Mowi ASA 123,839 2,825
Norsk Hydro ASA 398,883 2,249
Orkla ASA 224,183 1,794
Salmar ASA 18,011 1,271
Telenor ASA 200,808 2,675
Yara International ASA 49,834 2,091
    33,952
Portugal – 0.2%
Banco Espirito Santo S.A. (Registered)(2) * 882,815
EDP - Energias de Portugal S.A. 821,168 3,838
Galp Energia SGPS S.A. 141,287 1,656
Jeronimo Martins SGPS S.A. 86,149 1,873
    7,367
Singapore – 1.4%
Ascendas Real Estate Investment Trust 1,020,192 2,094
CapitaLand Integrated Commercial Trust 1,548,616 2,421
Capitaland Investment Ltd. 719,462 1,981
City Developments Ltd. 123,700 726
DBS Group Holdings Ltd. 532,605 11,400
Genting Singapore Ltd. 1,582,580 821
Grab Holdings Ltd., Class A* 326,581 826
Keppel Corp. Ltd. 402,550 1,882
Mapletree Commercial Trust 683,900 902
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Singapore – 1.4%continued
Mapletree Logistics Trust 971,787 $1,176
Oversea-Chinese Banking Corp. Ltd. 991,951 8,145
Sea Ltd. ADR* 106,084 7,093
Singapore Airlines Ltd.* 401,935 1,478
Singapore Exchange Ltd. 254,700 1,736
Singapore Technologies Engineering Ltd. 440,300 1,296
Singapore Telecommunications Ltd. 2,440,025 4,447
United Overseas Bank Ltd. 345,349 6,538
UOL Group Ltd. 122,280 648
Venture Corp. Ltd. 81,100 972
Wilmar International Ltd. 580,000 1,688
    58,270
Spain – 2.5%
Acciona S.A. 7,436 1,374
ACS Actividades de Construccion y Servicios S.A. 66,775 1,620
Aena S.M.E. S.A.* 22,313 2,838
Amadeus IT Group S.A.* 133,025 7,474
Banco Bilbao Vizcaya Argentaria S.A. 1,963,996 8,914
Banco Santander S.A. 5,110,854 14,412
CaixaBank S.A. 1,318,695 4,589
Cellnex Telecom S.A.* 157,147 6,122
EDP Renovaveis S.A. 86,724 2,049
Enagas S.A. 72,079 1,592
Endesa S.A. 95,483 1,802
Ferrovial S.A. 142,881 3,644
Grifols S.A. 89,490 1,693
Iberdrola S.A. 1,689,926 17,536
Industria de Diseno Textil S.A. 322,304 7,299
Naturgy Energy Group S.A. 43,483 1,253
Red Electrica Corp. S.A. 113,053 2,140
Repsol S.A. 426,510 6,280
Siemens Gamesa Renewable Energy S.A.* 71,300 1,346
Telefonica S.A. 1,564,836 7,976
    101,953
Sweden – 3.1%
Alfa Laval AB 88,267 2,130
Assa Abloy AB, Class B 294,697 6,306
Atlas Copco AB, Class A 777,838 7,279
Atlas Copco AB, Class B 461,716 3,867
Boliden AB 80,395 2,557
Electrolux AB, Class B 67,610 911
 
NORTHERN FUNDS QUARTERLY REPORT     79    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Sweden – 3.1%continued
Embracer Group AB* 188,740 $1,441
Epiroc AB, Class A 199,526 3,084
Epiroc AB, Class B 111,843 1,513
EQT AB 87,692 1,823
Essity AB, Class B 179,072 4,675
Evolution AB 54,144 4,930
Fastighets AB Balder, Class B* 191,166 917
Getinge AB, Class B 65,425 1,513
Hennes & Mauritz AB, Class B 213,503 2,552
Hexagon AB, Class B 567,836 5,904
Holmen AB, Class B 28,056 1,139
Husqvarna AB, Class B 123,626 910
Industrivarden AB, Class A 35,290 795
Industrivarden AB, Class C 47,561 1,059
Indutrade AB 82,568 1,508
Investment AB Latour, Class B 43,691 865
Investor AB, Class A 145,759 2,619
Investor AB, Class B 535,480 8,813
Kinnevik AB, Class B* 73,763 1,190
L E Lundbergforetagen AB, Class B 22,433 913
Lifco AB, Class B 68,727 1,105
Nibe Industrier AB, Class B 451,273 3,392
Sagax AB, Class B 57,072 1,054
Sandvik AB 308,545 5,009
Securitas AB, Class B 91,348 793
Sinch AB* 157,666 511
Skandinaviska Enskilda Banken AB, Class A 481,173 4,728
Skanska AB, Class B 97,142 1,491
SKF AB, Class B 113,684 1,675
Svenska Cellulosa AB S.C.A., Class B 178,894 2,675
Svenska Handelsbanken AB, Class A 430,310 3,681
Swedbank AB, Class A 268,342 3,395
Swedish Match AB 468,268 4,781
Swedish Orphan Biovitrum AB* 50,667 1,097
Tele2 AB, Class B 149,665 1,705
Telefonaktiebolaget LM Ericsson, Class B 853,720 6,372
Telia Co. AB 775,279 2,970
Volvo AB, Class A 61,781 995
Volvo AB, Class B 444,974 6,897
Volvo Car AB, Class B* 176,529 1,172
    126,711
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Switzerland – 10.8%
ABB Ltd. (Registered) 483,237 $12,915
Adecco Group A.G. (Registered) 48,522 1,651
Alcon, Inc. 146,757 10,252
Bachem Holding A.G., Class B (Registered) 9,370 651
Baloise Holding A.G. (Registered) 13,314 2,185
Barry Callebaut A.G. (Registered) 1,018 2,280
Chocoladefabriken Lindt & Spruengli A.G. (Participation Certificate) 309 3,143
Chocoladefabriken Lindt & Spruengli A.G. (Registered) 32 3,355
Cie Financiere Richemont S.A., Class A (Registered) 152,876 16,281
Clariant A.G. (Registered)* 61,024 1,163
Coca-Cola HBC A.G. - CDI 60,332 1,340
Credit Suisse Group A.G. (Registered) 786,175 4,476
EMS-Chemie Holding A.G. (Registered) 2,120 1,579
Geberit A.G. (Registered) 10,598 5,097
Givaudan S.A. (Registered) 2,718 9,606
Glencore PLC* 2,892,277 15,673
Holcim A.G.* 123,298 5,281
Holcim A.G. (OTC US Exchange)* 38,348 1,648
Julius Baer Group Ltd. 63,794 2,947
Kuehne + Nagel International A.G. (Registered) 16,129 3,819
Logitech International S.A. (Registered) 51,268 2,669
Lonza Group A.G. (Registered) 21,914 11,685
Nestle S.A. (Registered) 826,813 97,003
Novartis A.G. (Registered) 642,720 54,369
Partners Group Holding A.G. 6,634 5,985
Roche Holding A.G. (Bearer) 7,618 2,941
Roche Holding A.G. (Genusschein) 206,510 68,939
Schindler Holding A.G. (Participation Certificate) 12,209 2,229
Schindler Holding A.G. (Registered) 6,195 1,115
SGS S.A. (Registered) 1,829 4,190
Sika A.G. (Registered) 42,484 9,801
Sonova Holding A.G. (Registered) 15,734 5,011
STMicroelectronics N.V. 198,411 6,308
Straumann Holding A.G. (Registered) 32,014 3,851
Swatch Group (The) A.G. (Bearer) 8,382 1,989
Swatch Group (The) A.G. (Registered) 16,434 730
Swiss Life Holding A.G. (Registered) 9,307 4,537
Swiss Prime Site A.G. (Registered) 22,746 1,996
Swiss Re A.G. 88,221 6,842
 
EQUITY FUNDS    80    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
Switzerland – 10.8%continued
Swisscom A.G. (Registered) 7,658 $4,239
Temenos A.G. (Registered) 18,841 1,608
UBS Group A.G. (Registered) 1,037,277 16,744
VAT Group A.G. 7,731 1,846
Vifor Pharma A.G.* 13,529 2,345
Zurich Insurance Group A.G. 44,100 19,195
    443,509
United Kingdom – 15.1%
3i Group PLC 285,885 3,862
Abrdn PLC 661,578 1,289
Admiral Group PLC 54,346 1,485
Anglo American PLC 371,478 13,264
Ashtead Group PLC 130,069 5,456
Associated British Foods PLC 102,489 1,981
AstraZeneca PLC 454,933 59,633
Auto Trader Group PLC(4) 279,279 1,889
AVEVA Group PLC 33,903 926
Aviva PLC 827,878 4,045
BAE Systems PLC 920,288 9,308
Barclays PLC 4,900,607 9,175
Barratt Developments PLC 289,942 1,616
Berkeley Group Holdings PLC* 33,040 1,499
BP PLC 5,704,155 26,866
British American Tobacco PLC 638,610 27,369
British Land (The) Co. PLC 263,252 1,434
BT Group PLC 2,066,364 4,689
Bunzl PLC 100,359 3,324
Burberry Group PLC 119,332 2,387
CNH Industrial N.V. 302,033 3,506
Coca-Cola Europacific Partners PLC 59,614 3,077
Compass Group PLC 522,029 10,687
Croda International PLC 41,072 3,239
Diageo PLC 679,687 29,323
Entain PLC* 174,765 2,652
Ferguson PLC 64,081 7,175
GSK PLC 1,493,615 32,116
Halma PLC 112,064 2,763
Hargreaves Lansdown PLC 108,563 1,042
HSBC Holdings PLC 5,944,610 38,782
Imperial Brands PLC 266,694 5,961
Informa PLC* 444,172 2,862
InterContinental Hotels Group PLC 53,706 2,847
Intertek Group PLC 48,117 2,466
J Sainsbury PLC 494,001 1,227
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
United Kingdom – 15.1%continued
JD Sports Fashion PLC 772,306 $1,086
Johnson Matthey PLC 55,225 1,296
Kingfisher PLC 607,895 1,808
Land Securities Group PLC 211,559 1,711
Legal & General Group PLC 1,741,053 5,082
Lloyds Banking Group PLC 20,851,422 10,755
London Stock Exchange Group PLC 96,840 9,002
M&G PLC 749,696 1,777
Melrose Industries PLC 1,239,903 2,264
Mondi PLC 143,339 2,543
National Grid PLC 1,070,375 13,717
NatWest Group PLC 1,669,017 4,440
Next PLC 38,830 2,772
Ocado Group PLC* 148,957 1,417
Pearson PLC 203,163 1,856
Persimmon PLC 92,030 2,089
Phoenix Group Holdings PLC 224,737 1,617
Prudential PLC 806,657 10,034
Reckitt Benckiser Group PLC 211,040 15,851
RELX PLC (London Exchange) 569,966 15,391
Rentokil Initial PLC 539,744 3,120
Rio Tinto PLC 329,071 19,677
Rolls-Royce Holdings PLC* 2,496,240 2,525
Sage Group (The) PLC 297,510 2,301
Schroders PLC 36,730 1,196
Segro PLC 356,852 4,244
Severn Trent PLC 74,475 2,466
Shell PLC 2,232,002 58,245
Smith & Nephew PLC 259,648 3,630
Smiths Group PLC 115,800 1,975
Spirax-Sarco Engineering PLC 21,727 2,615
SSE PLC 314,921 6,226
St. James's Place PLC 154,848 2,081
Standard Chartered PLC 762,739 5,751
Taylor Wimpey PLC 1,042,287 1,482
Tesco PLC 2,247,023 6,989
Unilever PLC 752,044 34,229
United Utilities Group PLC 196,781 2,444
Vodafone Group PLC 7,900,275 12,187
 
NORTHERN FUNDS QUARTERLY REPORT     81    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 97.6% (1)continued
United Kingdom – 15.1%continued
Whitbread PLC 56,603 $1,710
WPP PLC 331,082 3,327
    616,150
Total Common Stocks    
(Cost $3,022,969)   3,998,488
     
PREFERRED STOCKS – 0.4% (1)
Germany – 0.4%
Bayerische Motoren Werke A.G., 8.62%(5) 15,945 1,130
Henkel A.G. & Co. KGaA, 3.15%(5) 51,719 3,186
Porsche Automobil Holding S.E., 4.04%(5) 45,367 3,001
Sartorius A.G., 0.38%(5) 7,323 2,558
Volkswagen A.G., 5.9%(5) 54,363 7,259
    17,134
Total Preferred Stocks    
(Cost $14,434)   17,134
     
INVESTMENT COMPANIES – 1.1%
iShares Core MSCI EAFE ETF 430,000 25,306
iShares MSCI EAFE ETF 191,300 11,954
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(6) (7) 6,444,853 6,445
Total Investment Companies    
(Cost $44,305)   43,705
     
Total Investments – 99.1%    
(Cost $3,081,708)   4,059,327
Other Assets less Liabilities – 0.9%   36,248
Net Assets – 100.0%   $4,095,575
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Restricted security that has been deemed illiquid. At June 30, 2022, the value of this restricted illiquid security amounted to approximately$0 or 0.0% of net assets. Additional information on this restricted illiquid security is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
BGP Holdings PLC 12/2/09 $—
    
(4) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(5) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
(6) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(7) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
ADR – American Depositary Receipt
 
CDI – CREST Depository Interest
 
EAFE – Europe, Australasia and the Far East
 
ETF – Exchange-Traded Fund
 
FTSE – Financial Times Stock Exchange
 
MSCI – Morgan Stanley Capital International
 
REIT – Real Estate Investment Trust
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had outstanding forward foreign currency exchange contracts as follows:
COUNTERPARTY CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
BNP
United States Dollar
6,641 Euro 6,308 9/21/22 $10
BNP
United States Dollar
134 Swiss Franc 132 9/21/22 5
Citibank
United States Dollar
328 Hong Kong Dollar 2,566 9/21/22 —*
JPMorgan Chase
Euro
1,940 United States Dollar 2,052 9/21/22 7
JPMorgan Chase
United States Dollar
219 Norwegian Krone 2,153 9/21/22 —*
Subtotal Appreciation         22
BNP
Danish Krone
71 United States Dollar 10 9/21/22 —*
BNP
United States Dollar
4,689 British Pound 3,840 9/21/22 (7)
BNP
United States Dollar
129 New Zealand Dollar 205 9/21/22 (1)
BNP
United States Dollar
2,006 Swedish Krona 20,282 9/21/22 (16)
 
EQUITY FUNDS    82    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
COUNTERPARTY CONTRACTS
TO
DELIVER
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
IN
EXCHANGE
FOR
CURRENCY
AMOUNT
(LOCAL
CURRENCY)
(000s)
SETTLEMENT
DATE
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Citibank
United States Dollar
53 Singapore Dollar 73 9/21/22 $—*
JPMorgan Chase
United States Dollar
1,676 Australian Dollar 2,375 9/21/22 (36)
UBS
United States Dollar
2,838 Japanese Yen 378,110 9/21/22 (34)
Subtotal Depreciation         (94)
Total           $(72)
    
* Amounts round to less than a thousand.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
Euro Stoxx 50 (Euro) 454 $16,371 Long 9/22 $(276)
FTSE 100 Index (British Pound) 105 9,102 Long 9/22 (60)
Hang Seng Index (Hong Kong Dollar) 7 970 Long 7/22 (3)
SPI 200 Index (Australian Dollar) 47 5,240 Long 9/22 (311)
Topix Index (Japanese Yen) 71 9,788 Long 9/22 (278)
Total         $(928)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
Euro 30.1%
Japanese Yen 21.7
British Pound 15.6
Swiss Franc 10.2
Australian Dollar 7.7
All other currencies less than 5% 13.8
Total Investments 99.1
Other Assets less Liabilities 0.9
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Australia $1,970 $307,721 $— $309,691
Germany 19,948 271,611 291,559
Hong Kong 908 132,368 133,276
Ireland 1,657 35,013 36,670
Israel 10,354 20,040 30,394
Italy 3,568 75,106 78,674
Netherlands 2,142 183,343 185,485
Singapore 7,919 50,351 58,270
United Kingdom 3,077 613,073 616,150
All Other Countries(1) 2,258,319 2,258,319
Total Common Stocks 51,543 3,946,945 3,998,488
Preferred Stocks 17,134 17,134
Investment Companies 43,705 43,705
Total Investments $95,248 $3,964,079 $— $4,059,327
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Forward Foreign Currency Exchange Contracts $$22 $— $22
Liabilities        
Forward Foreign Currency Exchange Contracts (94) (94)
Futures Contracts (928) (928)
Total Other Financial Instruments $(928) $(72) $— $(1,000)
    
(1) Classifications as defined in the Schedule of Investments.
 
NORTHERN FUNDS QUARTERLY REPORT     83    EQUITY FUNDS

Schedule of Investments
INTERNATIONAL EQUITY INDEX FUNDcontinued June 30, 2022 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $9,601 $72,484 $75,640 $10 $6,445 6,444,853
EQUITY FUNDS    84    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
LARGE CAP CORE FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.6%
Aerospace & Defense – 1.6%
General Dynamics Corp. 9,167 $2,028
Lockheed Martin Corp. 3,797 1,633
Northrop Grumman Corp. 263 126
    3,787
Air Freight & Logistics – 1.5%
Expeditors International of Washington, Inc. 8,971 874
United Parcel Service, Inc., Class B 14,850 2,711
    3,585
Automobiles – 1.5%
Harley-Davidson, Inc. 8,563 271
Tesla, Inc.* 4,916 3,311
    3,582
Banks – 3.2%
Bank of America Corp. 61,096 1,902
Citigroup, Inc. 30,015 1,380
Fifth Third Bancorp 25,479 856
JPMorgan Chase & Co. 11,872 1,337
U.S. Bancorp 7,001 322
Wells Fargo & Co. 51,379 2,013
    7,810
Beverages – 0.9%
Coca-Cola (The) Co. 31,627 1,990
PepsiCo, Inc. 1,005 167
    2,157
Biotechnology – 2.3%
AbbVie, Inc. 10,534 1,613
Amgen, Inc. 11,408 2,776
Regeneron Pharmaceuticals, Inc.* 1,813 1,072
    5,461
Building Products – 0.2%
A.O. Smith Corp. 9,076 496
Capital Markets – 2.5%
Ameriprise Financial, Inc. 3,177 755
Bank of New York Mellon (The) Corp. 43,508 1,815
Goldman Sachs Group (The), Inc. 5,791 1,720
Jefferies Financial Group, Inc. 50,377 1,391
Virtu Financial, Inc., Class A 18,865 442
    6,123
Chemicals – 2.0%
CF Industries Holdings, Inc. 1,711 147
Chemours (The) Co. 1,521 49
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Chemicals – 2.0%continued
Dow, Inc. 35,109 $1,812
Huntsman Corp. 9,220 261
Olin Corp. 29,434 1,362
Westlake Corp. 12,848 1,259
    4,890
Communications Equipment – 1.1%
Cisco Systems, Inc. 64,645 2,757
Consumer Finance – 0.8%
Discover Financial Services 9,185 869
SLM Corp. 72,690 1,158
    2,027
Diversified Financial Services – 1.8%
Berkshire Hathaway, Inc., Class B* 9,920 2,708
Voya Financial, Inc. 25,916 1,543
    4,251
Diversified Telecommunication Services – 0.8%
Verizon Communications, Inc. 39,430 2,001
Electric Utilities – 1.9%
Constellation Energy Corp. 13,684 784
Edison International 952 60
Entergy Corp. 193 22
Exelon Corp. 41,053 1,860
FirstEnergy Corp. 22,170 851
IDACORP, Inc. 4,642 492
NRG Energy, Inc. 11,593 442
    4,511
Electrical Equipment – 0.8%
Acuity Brands, Inc. 8,944 1,378
Emerson Electric Co. 8,090 643
    2,021
Electronic Equipment, Instruments & Components – 0.5%
Arrow Electronics, Inc.* 11,297 1,266
Entertainment – 0.7%
Activision Blizzard, Inc. 5,966 465
Electronic Arts, Inc. 1,922 234
Liberty Media Corp.-Liberty Formula One, Class C* 2,588 164
Netflix, Inc.* 960 168
World Wrestling Entertainment, Inc., Class A 9,348 584
    1,615
 
NORTHERN FUNDS QUARTERLY REPORT     85    EQUITY FUNDS

Schedule of Investments
LARGE CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Equity Real Estate Investment Trusts – 2.3%
Equity Residential 15,792 $1,141
Host Hotels & Resorts, Inc. 30,950 485
Lamar Advertising Co., Class A 3,787 333
Rayonier, Inc. 42,838 1,601
Simon Property Group, Inc. 3,916 372
Weyerhaeuser Co. 53,448 1,770
    5,702
Food & Staples Retailing – 1.2%
Albertsons Cos., Inc., Class A 2,040 55
Costco Wholesale Corp. 318 152
Kroger (The) Co. 35,291 1,670
Walmart, Inc. 9,260 1,126
    3,003
Food Products – 1.9%
Archer-Daniels-Midland Co. 4,978 386
General Mills, Inc. 30,510 2,302
Tyson Foods, Inc., Class A 22,024 1,896
    4,584
Health Care Equipment & Supplies – 2.4%
Abbott Laboratories 27,886 3,030
Envista Holdings Corp.* 4,817 185
Hologic, Inc.* 7,340 509
ICU Medical, Inc.* 1,338 220
IDEXX Laboratories, Inc.* 3,225 1,131
Medtronic PLC 7,914 710
    5,785
Health Care Providers & Services – 3.8%
HCA Healthcare, Inc. 3,937 662
Laboratory Corp. of America Holdings 7,368 1,727
McKesson Corp. 2,106 687
Quest Diagnostics, Inc. 7,483 995
UnitedHealth Group, Inc. 10,008 5,140
    9,211
Hotels, Restaurants & Leisure – 1.1%
Booking Holdings, Inc.* 185 323
Boyd Gaming Corp. 11,440 569
McDonald's Corp. 4,322 1,067
Starbucks Corp. 6,503 497
Yum! Brands, Inc. 2,545 289
    2,745
Household Durables – 0.4%
NVR, Inc.* 258 1,033
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Household Products – 1.4%
Colgate-Palmolive Co. 11,948 $958
Procter & Gamble (The) Co. 17,088 2,457
    3,415
Independent Power & Renewable Electricity Producers – 0.6%
AES (The) Corp. 64,256 1,350
Industrial Conglomerates – 0.8%
3M Co. 14,171 1,834
Insurance – 2.1%
Aflac, Inc. 32,315 1,788
Brighthouse Financial, Inc.* 26,875 1,102
MetLife, Inc. 31,320 1,967
Prudential Financial, Inc. 1,472 141
    4,998
Interactive Media & Services – 5.8%
Alphabet, Inc., Class A* 4,988 10,870
Meta Platforms, Inc., Class A* 19,966 3,220
    14,090
Internet & Direct Marketing Retail – 2.9%
Amazon.com, Inc.* 59,800 6,351
eBay, Inc. 17,927 747
    7,098
IT Services – 4.8%
Accenture PLC, Class A 9,691 2,691
Automatic Data Processing, Inc. 2,838 596
Cognizant Technology Solutions Corp., Class A 24,579 1,659
Concentrix Corp. 5,437 737
Gartner, Inc.* 2,078 503
International Business Machines Corp. 6,697 946
Mastercard, Inc., Class A 2,596 819
Paychex, Inc. 10,894 1,240
SS&C Technologies Holdings, Inc. 22,584 1,311
Visa, Inc., Class A 5,969 1,175
    11,677
Life Sciences Tools & Services – 1.7%
Danaher Corp. 180 46
IQVIA Holdings, Inc.* 559 121
Mettler-Toledo International, Inc.* 902 1,036
Thermo Fisher Scientific, Inc. 1,611 875
Waters Corp.* 5,959 1,973
    4,051
 
EQUITY FUNDS    86    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Machinery – 1.9%
Allison Transmission Holdings, Inc. 33,599 $1,292
Crane Holdings Co. 17,735 1,553
Snap-on, Inc. 8,568 1,688
    4,533
Media – 1.7%
Comcast Corp., Class A 8,875 348
Fox Corp., Class A 29,778 958
Interpublic Group of (The) Cos., Inc. 30,344 835
Nexstar Media Group, Inc., Class A 2,306 376
Omnicom Group, Inc. 24,560 1,562
    4,079
Metals & Mining – 0.5%
Cleveland-Cliffs, Inc.* 5,398 83
Nucor Corp. 11,601 1,211
    1,294
Multiline Retail – 0.6%
Kohl's Corp. 11,092 396
Target Corp. 7,698 1,087
    1,483
Multi-Utilities – 0.5%
Ameren Corp. 2,457 222
Public Service Enterprise Group, Inc. 15,895 1,006
    1,228
Oil, Gas & Consumable Fuels – 4.5%
Chevron Corp. 4,974 720
Continental Resources, Inc. 1,075 70
EOG Resources, Inc. 2,690 297
Exxon Mobil Corp. 52,883 4,529
Marathon Oil Corp. 78,590 1,767
Marathon Petroleum Corp. 15,008 1,234
Occidental Petroleum Corp. 38,072 2,242
    10,859
Pharmaceuticals – 5.1%
Bristol-Myers Squibb Co. 38,844 2,991
Eli Lilly & Co. 242 79
Johnson & Johnson 29,600 5,254
Merck & Co., Inc. 1,801 164
Pfizer, Inc. 74,722 3,918
    12,406
Professional Services – 0.5%
Robert Half International, Inc. 17,193 1,288
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Real Estate Management & Development – 0.5%
CBRE Group, Inc., Class A* 15,565 $1,146
Road & Rail – 0.7%
Landstar System, Inc. 12,525 1,821
Semiconductors & Semiconductor Equipment – 5.5%
Advanced Micro Devices, Inc.* 2,454 188
Applied Materials, Inc. 13,402 1,219
Broadcom, Inc. 6,085 2,956
KLA Corp. 5,485 1,750
Lam Research Corp. 85 36
Microchip Technology, Inc. 11,942 694
NVIDIA Corp. 12,501 1,895
QUALCOMM, Inc. 16,628 2,124
Texas Instruments, Inc. 15,836 2,433
    13,295
Software – 7.4%
Adobe, Inc.* 2,836 1,038
Microsoft Corp. 61,884 15,894
NortonLifeLock, Inc. 8,863 194
Oracle Corp. 10,543 737
Teradata Corp.* 1,819 67
    17,930
Specialty Retail – 2.9%
AutoNation, Inc.* 4,168 466
AutoZone, Inc.* 995 2,138
Bath & Body Works, Inc. 9,920 267
Dick's Sporting Goods, Inc. 6,212 468
Home Depot (The), Inc. 7,635 2,094
Lowe's Cos., Inc. 944 165
O'Reilly Automotive, Inc.* 812 513
Williams-Sonoma, Inc. 7,522 835
    6,946
Technology Hardware, Storage & Peripherals – 7.5%
Apple, Inc. 126,012 17,228
HP, Inc. 18,304 600
NetApp, Inc. 1,901 124
Seagate Technology Holdings PLC 3,311 237
    18,189
Textiles, Apparel & Luxury Goods – 0.8%
Ralph Lauren Corp. 9,635 864
Tapestry, Inc. 36,697 1,120
    1,984
 
NORTHERN FUNDS QUARTERLY REPORT     87    EQUITY FUNDS

Schedule of Investments
LARGE CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.6%continued
Tobacco – 1.5%
Altria Group, Inc. 25,765 $1,076
Philip Morris International, Inc. 26,318 2,599
    3,675
Trading Companies & Distributors – 0.2%
W.W. Grainger, Inc. 977 444
Total Common Stocks    
(Cost $185,261)   241,516
     
INVESTMENT COMPANIES – 0.3%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(1) (2) 808,082 808
Total Investment Companies    
(Cost $808)   808
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
1.82%, 11/25/22(3) (4)
$215 $213
Total Short-Term Investments  
(Cost $213) 213
     
Total Investments – 100.0%  
(Cost $186,282) 242,537
Liabilities less Other Assets – (0.0%) (15)
NET ASSETS – 100.0% $242,522
    
(1) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(2) 7-day current yield as of June 30, 2022 is disclosed.
(3) Discount rate at the time of purchase.
(4) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 5 $947 Long 9/22 $—*
    
* Amount rounds to less than one thousand.
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 99.6%
Investment Companies 0.3%
Short-Term Investments 0.1%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $241,516 $$— $241,516
Investment Companies 808 808
Short-Term Investments 213 213
Total Investments $242,324 $213 $— $242,537
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $—* $$— $—*
    
(1) Classifications as defined in the Schedule of Investments.
* Amount rounds to less than one thousand.
 
EQUITY FUNDS    88    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $811 $5,840 $5,843 $1 $808 808,082
NORTHERN FUNDS QUARTERLY REPORT     89    EQUITY FUNDS

Schedule of Investments
LARGE CAP VALUE FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.1%
Aerospace & Defense – 1.8%
Curtiss-Wright Corp. 1,106 $146
General Dynamics Corp. 3,557 787
Raytheon Technologies Corp. 1,473 142
    1,075
Air Freight & Logistics – 0.5%
Expeditors International of Washington, Inc. 3,123 304
Auto Components – 0.2%
Gentex Corp. 5,190 145
Banks – 8.2%
Bank of America Corp. 38,084 1,186
Citigroup, Inc. 14,712 677
Fifth Third Bancorp 760 25
JPMorgan Chase & Co. 13,231 1,490
Prosperity Bancshares, Inc. 4,759 325
SVB Financial Group* 917 362
U.S. Bancorp 16,753 771
    4,836
Biotechnology – 2.7%
Biogen, Inc.* 2,371 484
Gilead Sciences, Inc. 13,979 864
Horizon Therapeutics PLC* 2,726 217
    1,565
Building Products – 0.8%
Builders FirstSource, Inc.* 2,787 150
Carrier Global Corp. 9,715 346
    496
Capital Markets – 2.4%
Affiliated Managers Group, Inc. 2,571 300
Bank of New York Mellon (The) Corp. 11,943 498
Goldman Sachs Group (The), Inc. 784 233
Jefferies Financial Group, Inc. 10,093 279
Morgan Stanley 592 45
State Street Corp. 756 46
    1,401
Chemicals – 2.4%
Dow, Inc. 11,072 571
Eastman Chemical Co. 2,948 265
LyondellBasell Industries N.V., Class A 3,692 323
Olin Corp. 5,412 250
    1,409
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Communications Equipment – 2.0%
Cisco Systems, Inc. 27,897 $1,190
Construction & Engineering – 0.2%
AECOM 2,043 133
Consumer Finance – 1.4%
Capital One Financial Corp. 5,249 547
Synchrony Financial 9,606 265
    812
Containers & Packaging – 0.5%
International Paper Co. 6,370 266
Diversified Consumer Services – 0.6%
Grand Canyon Education, Inc.* 3,769 355
Diversified Financial Services – 2.3%
Berkshire Hathaway, Inc., Class B* 4,923 1,344
Electric Utilities – 3.7%
Duke Energy Corp. 5,369 576
Entergy Corp. 3,319 374
Evergy, Inc. 5,324 347
Exelon Corp. 9,688 439
Pinnacle West Capital Corp. 1,369 100
PPL Corp. 13,156 357
    2,193
Electrical Equipment – 0.9%
Acuity Brands, Inc. 1,218 188
Hubbell, Inc. 1,875 335
    523
Electronic Equipment, Instruments & Components – 0.9%
Trimble, Inc.* 4,080 238
Zebra Technologies Corp., Class A* 959 282
    520
Entertainment – 1.5%
Liberty Media Corp.-Liberty Formula One, Class C* 3,287 209
Walt Disney (The) Co.* 2,652 250
Warner Bros. Discovery, Inc.* 30,086 404
    863
Equity Real Estate Investment Trusts – 4.7%
Brixmor Property Group, Inc. 8,208 166
Cousins Properties, Inc. 8,734 255
Equity Residential 5,973 431
Healthpeak Properties, Inc. 12,686 329
Host Hotels & Resorts, Inc. 17,995 282
Kilroy Realty Corp. 3,052 160
 
EQUITY FUNDS    90    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Equity Real Estate Investment Trusts – 4.7%continued
Medical Properties Trust, Inc. 19,456 $297
National Retail Properties, Inc. 1,139 49
Regency Centers Corp. 5,311 315
SL Green Realty Corp. 2,262 104
WP Carey, Inc. 4,434 368
    2,756
Food & Staples Retailing – 3.1%
Albertsons Cos., Inc., Class A 9,200 246
Kroger (The) Co. 11,849 561
Walmart, Inc. 8,425 1,024
    1,831
Food Products – 2.8%
Campbell Soup Co. 7,458 358
Flowers Foods, Inc. 3,315 87
General Mills, Inc. 9,785 738
Kraft Heinz (The) Co. 6,384 244
Tyson Foods, Inc., Class A 2,751 237
    1,664
Health Care Equipment & Supplies – 2.3%
Becton Dickinson and Co. 1,280 316
Envista Holdings Corp.* 3,072 118
Medtronic PLC 6,893 619
QuidelOrtho Corp.* 1,683 163
Teleflex, Inc. 460 113
    1,329
Health Care Providers & Services – 4.9%
CVS Health Corp. 3,606 334
Elevance Health, Inc. 1,675 808
Henry Schein, Inc.* 3,633 279
Laboratory Corp. of America Holdings 1,538 361
Molina Healthcare, Inc.* 630 176
UnitedHealth Group, Inc. 1,865 958
    2,916
Hotels, Restaurants & Leisure – 3.6%
Booking Holdings, Inc.* 143 250
Choice Hotels International, Inc. 187 21
Domino's Pizza, Inc. 740 288
McDonald's Corp. 3,279 810
Starbucks Corp. 2,802 214
Wyndham Hotels & Resorts, Inc. 2,797 184
Yum! Brands, Inc. 3,412 387
    2,154
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Household Durables – 0.7%
NVR, Inc.* 76 $304
Whirlpool Corp. 526 82
    386
Household Products – 1.1%
Procter & Gamble (The) Co. 4,504 648
Independent Power & Renewable Electricity Producers – 0.3%
Vistra Corp. 7,745 177
Industrial Conglomerates – 0.0%
General Electric Co. 29 2
Insurance – 5.3%
Aflac, Inc. 10,444 578
Alleghany Corp.* 280 233
American International Group, Inc. 1,585 81
Assured Guaranty Ltd. 1,298 73
Brighthouse Financial, Inc.* 662 27
Globe Life, Inc. 3,621 353
GoHealth, Inc., Class A* 153,964 92
Lincoln National Corp. 1,430 67
Loews Corp. 5,633 334
MetLife, Inc. 11,330 711
Prudential Financial, Inc. 6,037 578
    3,127
IT Services – 2.9%
Cognizant Technology Solutions Corp., Class A 8,540 576
Fidelity National Information Services, Inc. 1,352 124
Genpact Ltd. 5,484 232
Global Payments, Inc. 440 49
International Business Machines Corp. 5,220 737
    1,718
Life Sciences Tools & Services – 1.5%
Danaher Corp. 918 232
QIAGEN N.V. (New York Exchange)* 7,392 349
Thermo Fisher Scientific, Inc. 583 317
    898
Machinery – 3.6%
Crane Holdings Co. 3,597 315
Cummins, Inc. 2,270 439
Dover Corp. 2,530 307
Oshkosh Corp. 3,706 304
 
NORTHERN FUNDS QUARTERLY REPORT     91    EQUITY FUNDS

Schedule of Investments
LARGE CAP VALUE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Machinery – 3.6%continued
Parker-Hannifin Corp. 1,697 $418
Snap-on, Inc. 1,650 325
    2,108
Media – 3.2%
Comcast Corp., Class A 29,206 1,146
Fox Corp., Class A 4,115 132
Interpublic Group of (The) Cos., Inc. 11,397 314
Liberty Media Corp.-Liberty SiriusXM, Class A* 211 8
Nexstar Media Group, Inc., Class A 1,948 317
    1,917
Metals & Mining – 1.4%
Cleveland-Cliffs, Inc.* 7,446 115
Freeport-McMoRan, Inc. 8,450 247
Nucor Corp. 4,414 461
    823
Multi-Utilities – 0.7%
Consolidated Edison, Inc. 4,400 418
Oil, Gas & Consumable Fuels – 6.9%
Chevron Corp. 9,006 1,304
Exxon Mobil Corp. 19,869 1,701
Marathon Petroleum Corp. 5,043 415
Occidental Petroleum Corp. 11,503 677
    4,097
Pharmaceuticals – 8.6%
Bristol-Myers Squibb Co. 15,635 1,204
Johnson & Johnson 5,841 1,037
Merck & Co., Inc. 13,853 1,263
Pfizer, Inc. 30,364 1,592
    5,096
Professional Services – 0.5%
ManpowerGroup, Inc. 1,480 113
Science Applications International Corp. 2,018 188
    301
Real Estate Management & Development – 0.6%
Jones Lang LaSalle, Inc.* 1,874 328
Road & Rail – 1.7%
Norfolk Southern Corp. 3,194 726
XPO Logistics, Inc.* 6,291 303
    1,029
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Semiconductors & Semiconductor Equipment – 1.6%
Intel Corp. 6,245 $234
Microchip Technology, Inc. 4,788 278
NXP Semiconductors N.V. 287 43
Qorvo, Inc.* 183 17
Skyworks Solutions, Inc. 922 85
Teradyne, Inc. 3,008 269
    926
Software – 2.7%
ANSYS, Inc.* 1,423 341
Intuit, Inc. 561 216
Roper Technologies, Inc. 1,700 671
Synopsys, Inc.* 1,193 362
    1,590
Specialty Retail – 0.8%
AutoNation, Inc.* 1,101 123
Dick's Sporting Goods, Inc. 397 30
Williams-Sonoma, Inc. 2,622 291
    444
Textiles, Apparel & Luxury Goods – 0.1%
Deckers Outdoor Corp.* 80 20
Tapestry, Inc. 1,207 37
    57
Thrifts & Mortgage Finance – 0.5%
MGIC Investment Corp. 24,298 306
Total Common Stocks    
(Cost $59,647)   58,476
     
INVESTMENT COMPANIES – 0.7%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(1) (2) 426,494 426
Total Investment Companies    
(Cost $426)   426
    
 
EQUITY FUNDS    92    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.2%
U.S. Treasury Bill,
1.82%, 11/25/22(3) (4)
$150 $149
Total Short-Term Investments  
(Cost $149) 149
     
Total Investments – 100.0%  
(Cost $60,222) 59,051
Liabilities less Other Assets – (0.0%) (21)
NET ASSETS – 100.0% $59,030
    
(1) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(2) 7-day current yield as of June 30, 2022 is disclosed.
(3) Discount rate at the time of purchase.
(4) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 2 $379 Long 9/22 $2
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 99.1%
Investment Companies 0.7%
Short-Term Investments 0.2%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $58,476 $$— $58,476
Investment Companies 426 426
Short-Term Investments 149 149
Total Investments $58,902 $149 $— $59,051
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $2 $$— $2
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $403 $1,951 $1,928 $1 $426 426,494
NORTHERN FUNDS QUARTERLY REPORT     93    EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.5%
Aerospace & Defense – 1.3%
Axon Enterprise, Inc.* 72,123 $6,720
Curtiss-Wright Corp. 39,094 5,163
Hexcel Corp. 84,809 4,436
Mercury Systems, Inc.* 58,815 3,783
Woodward, Inc. 60,991 5,641
    25,743
Air Freight & Logistics – 0.2%
GXO Logistics, Inc.* 102,260 4,425
Airlines – 0.1%
JetBlue Airways Corp.* 327,789 2,744
Auto Components – 1.4%
Adient PLC* 94,937 2,813
Dana, Inc. 142,983 2,012
Fox Factory Holding Corp.* 42,237 3,402
Gentex Corp. 238,101 6,660
Goodyear Tire & Rubber (The) Co.* 283,060 3,031
Lear Corp. 60,212 7,580
Visteon Corp.* 28,704 2,973
    28,471
Automobiles – 0.4%
Harley-Davidson, Inc. 149,932 4,747
Thor Industries, Inc. 55,235 4,128
    8,875
Banks – 6.9%
Associated Banc-Corp 150,135 2,741
Bank of Hawaii Corp. 40,327 3,000
Bank OZK 113,348 4,254
Cadence Bank 184,272 4,327
Cathay General Bancorp 75,878 2,971
Commerce Bancshares, Inc. 110,619 7,262
Cullen/Frost Bankers, Inc. 57,426 6,687
East West Bancorp, Inc. 143,017 9,267
First Financial Bankshares, Inc. 129,093 5,069
First Horizon Corp. 542,194 11,852
FNB Corp. 338,427 3,675
Fulton Financial Corp. 162,194 2,344
Glacier Bancorp, Inc. 109,100 5,174
Hancock Whitney Corp. 87,472 3,878
Home BancShares, Inc. 192,707 4,003
International Bancshares Corp. 52,906 2,120
Old National Bancorp 294,188 4,351
PacWest Bancorp 117,654 3,137
Pinnacle Financial Partners, Inc. 76,821 5,555
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Banks – 6.9%continued
Prosperity Bancshares, Inc. 92,759 $6,333
Synovus Financial Corp. 146,131 5,268
Texas Capital Bancshares, Inc.* 51,872 2,731
UMB Financial Corp. 43,205 3,720
Umpqua Holdings Corp. 217,643 3,650
United Bankshares, Inc. 136,362 4,782
Valley National Bancorp 422,111 4,394
Washington Federal, Inc. 65,060 1,953
Webster Financial Corp. 179,405 7,562
Wintrust Financial Corp. 60,924 4,883
    136,943
Beverages – 0.1%
Boston Beer (The) Co., Inc., Class A* 9,404 2,849
Biotechnology – 1.9%
Arrowhead Pharmaceuticals, Inc.* 105,881 3,728
Exelixis, Inc.* 325,946 6,786
Halozyme Therapeutics, Inc.* 140,142 6,166
Neurocrine Biosciences, Inc.* 96,953 9,451
United Therapeutics Corp.* 45,936 10,825
    36,956
Building Products – 2.4%
Builders FirstSource, Inc.* 175,210 9,409
Carlisle Cos., Inc. 52,389 12,501
Lennox International, Inc. 33,552 6,931
Owens Corning 98,509 7,320
Simpson Manufacturing Co., Inc. 43,333 4,360
Trex Co., Inc.* 114,753 6,245
    46,766
Capital Markets – 1.9%
Affiliated Managers Group, Inc. 39,350 4,588
Evercore, Inc., Class A 41,354 3,871
Federated Hermes, Inc. 93,659 2,978
Interactive Brokers Group, Inc., Class A 87,891 4,835
Janus Henderson Group PLC 168,428 3,960
Jefferies Financial Group, Inc. 194,792 5,380
SEI Investments Co. 104,910 5,667
Stifel Financial Corp. 108,270 6,065
    37,344
Chemicals – 2.7%
Ashland Global Holdings, Inc. 51,580 5,315
Avient Corp. 93,109 3,732
Cabot Corp. 57,499 3,668
Chemours (The) Co. 158,024 5,060
 
EQUITY FUNDS    94    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Chemicals – 2.7%continued
Ingevity Corp.* 38,739 $2,446
Minerals Technologies, Inc. 32,845 2,015
NewMarket Corp. 6,795 2,045
Olin Corp. 140,901 6,521
RPM International, Inc. 130,543 10,276
Scotts Miracle-Gro (The) Co. 40,539 3,202
Sensient Technologies Corp. 42,549 3,428
Valvoline, Inc. 180,377 5,200
    52,908
Commercial Services & Supplies – 1.5%
Brink's (The) Co. 47,029 2,855
Clean Harbors, Inc.* 50,285 4,408
IAA, Inc.* 134,634 4,412
MillerKnoll, Inc. 77,711 2,041
MSA Safety, Inc. 36,735 4,448
Stericycle, Inc.* 92,404 4,052
Tetra Tech, Inc. 54,236 7,406
    29,622
Communications Equipment – 0.8%
Calix, Inc.* 57,039 1,947
Ciena Corp.* 153,423 7,012
Lumentum Holdings, Inc.* 70,133 5,570
Viasat, Inc.* 74,313 2,276
    16,805
Construction & Engineering – 1.8%
AECOM 142,441 9,290
Dycom Industries, Inc.* 30,283 2,818
EMCOR Group, Inc. 51,997 5,354
Fluor Corp.* 143,605 3,495
MasTec, Inc.* 57,380 4,112
MDU Resources Group, Inc. 204,452 5,518
Valmont Industries, Inc. 21,477 4,824
    35,411
Construction Materials – 0.2%
Eagle Materials, Inc. 39,737 4,369
Consumer Finance – 0.5%
FirstCash Holdings, Inc. 39,403 2,739
Navient Corp. 151,709 2,123
SLM Corp. 273,927 4,366
    9,228
Containers & Packaging – 0.9%
AptarGroup, Inc. 66,000 6,812
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Containers & Packaging – 0.9%continued
Greif, Inc., Class A 27,393 $1,709
Silgan Holdings, Inc. 85,216 3,523
Sonoco Products Co. 98,023 5,591
    17,635
Diversified Consumer Services – 1.1%
Graham Holdings Co., Class B 4,014 2,275
Grand Canyon Education, Inc.* 32,333 3,046
H&R Block, Inc. 162,233 5,730
Service Corp. International 160,939 11,124
    22,175
Diversified Financial Services – 0.3%
Voya Financial, Inc. 102,811 6,120
Diversified Telecommunication Services – 0.2%
Iridium Communications, Inc.* 128,583 4,830
Electric Utilities – 1.5%
ALLETE, Inc. 58,133 3,417
Hawaiian Electric Industries, Inc. 110,067 4,502
IDACORP, Inc. 50,817 5,382
OGE Energy Corp. 202,656 7,814
PNM Resources, Inc. 86,116 4,115
Portland General Electric Co. 90,008 4,350
    29,580
Electrical Equipment – 1.8%
Acuity Brands, Inc. 35,138 5,413
EnerSys 42,174 2,487
Hubbell, Inc. 54,143 9,669
nVent Electric PLC 169,089 5,297
Regal Rexnord Corp. 67,493 7,662
Sunrun, Inc.* 213,712 4,992
Vicor Corp.* 21,305 1,166
    36,686
Electronic Equipment, Instruments & Components – 3.3%
Arrow Electronics, Inc.* 67,023 7,513
Avnet, Inc. 99,425 4,263
Belden, Inc. 45,292 2,413
Cognex Corp. 174,974 7,440
Coherent, Inc.* 25,167 6,700
II-VI, Inc.* 107,102 5,457
IPG Photonics Corp.* 35,462 3,338
Jabil, Inc. 142,268 7,286
Littelfuse, Inc. 24,895 6,324
National Instruments Corp. 131,707 4,113
 
NORTHERN FUNDS QUARTERLY REPORT     95    EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Electronic Equipment, Instruments & Components – 3.3%continued
TD SYNNEX Corp. 41,475 $3,778
Vishay Intertechnology, Inc. 134,973 2,405
Vontier Corp. 161,515 3,713
    64,743
Energy Equipment & Services – 0.5%
ChampionX Corp. 206,937 4,108
NOV, Inc. 398,815 6,744
    10,852
Entertainment – 0.1%
World Wrestling Entertainment, Inc., Class A 44,168 2,760
Equity Real Estate Investment Trusts – 8.7%
American Campus Communities, Inc. 141,486 9,122
Apartment Income REIT Corp. 158,086 6,577
Brixmor Property Group, Inc. 304,316 6,150
Corporate Office Properties Trust 114,790 3,006
Cousins Properties, Inc. 149,411 4,367
Douglas Emmett, Inc. 179,003 4,006
EastGroup Properties, Inc. 42,333 6,533
EPR Properties 75,144 3,527
First Industrial Realty Trust, Inc. 134,084 6,366
Healthcare Realty Trust, Inc. 154,439 4,201
Highwoods Properties, Inc. 105,443 3,605
Hudson Pacific Properties, Inc. 144,425 2,143
Independence Realty Trust, Inc. 221,948 4,601
JBG SMITH Properties 108,661 2,569
Kilroy Realty Corp. 105,625 5,527
Kite Realty Group Trust 219,779 3,800
Lamar Advertising Co., Class A 87,681 7,713
Life Storage, Inc. 85,575 9,555
Macerich (The) Co. 220,248 1,918
Medical Properties Trust, Inc. 608,717 9,295
National Retail Properties, Inc. 177,125 7,617
National Storage Affiliates Trust 85,706 4,291
Omega Healthcare Investors, Inc. 236,761 6,674
Park Hotels & Resorts, Inc. 234,037 3,176
Pebblebrook Hotel Trust 134,304 2,226
Physicians Realty Trust 229,547 4,006
PotlatchDeltic Corp. 69,488 3,071
PS Business Parks, Inc. 20,551 3,846
Rayonier, Inc. 148,705 5,559
Rayonier, Inc. - (Fractional Shares)(1) 50,000
Rexford Industrial Realty, Inc. 167,342 9,637
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Equity Real Estate Investment Trusts – 8.7%continued
Sabra Health Care REIT, Inc. 235,672 $3,292
SL Green Realty Corp. 64,244 2,965
Spirit Realty Capital, Inc. 136,588 5,160
STORE Capital Corp. 256,461 6,689
    172,790
Food & Staples Retailing – 1.5%
BJ's Wholesale Club Holdings, Inc.* 136,900 8,532
Casey's General Stores, Inc. 37,361 6,911
Grocery Outlet Holding Corp.* 89,430 3,812
Performance Food Group Co.* 155,965 7,171
Sprouts Farmers Market, Inc.* 111,963 2,835
    29,261
Food Products – 1.8%
Darling Ingredients, Inc.* 163,708 9,790
Flowers Foods, Inc. 200,606 5,280
Hain Celestial Group (The), Inc.* 89,523 2,125
Ingredion, Inc. 67,292 5,932
Lancaster Colony Corp. 19,790 2,549
Pilgrim's Pride Corp.* 49,587 1,549
Post Holdings, Inc.* 56,893 4,685
Sanderson Farms, Inc. 21,590 4,653
    36,563
Gas Utilities – 1.7%
National Fuel Gas Co. 92,901 6,136
New Jersey Resources Corp. 97,910 4,360
ONE Gas, Inc. 55,065 4,471
Southwest Gas Holdings, Inc. 67,936 5,916
Spire, Inc. 53,110 3,950
UGI Corp. 211,556 8,168
    33,001
Health Care Equipment & Supplies – 3.3%
Enovis Corp.* 48,014 2,641
Envista Holdings Corp.* 165,229 6,368
Globus Medical, Inc., Class A* 79,637 4,471
Haemonetics Corp.* 51,194 3,337
ICU Medical, Inc.* 20,475 3,366
Inari Medical, Inc.* 34,868 2,370
Integra LifeSciences Holdings Corp.* 71,757 3,877
LivaNova PLC* 53,533 3,344
Masimo Corp.* 51,863 6,777
Neogen Corp.* 107,712 2,595
NuVasive, Inc.* 53,213 2,616
Penumbra, Inc.* 36,053 4,489
 
EQUITY FUNDS    96    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Health Care Equipment & Supplies – 3.3%continued
QuidelOrtho Corp.* 50,278 $4,886
Shockwave Medical, Inc.* 36,364 6,952
STAAR Surgical Co.* 47,876 3,396
Tandem Diabetes Care, Inc.* 65,191 3,858
    65,343
Health Care Providers & Services – 2.5%
Acadia Healthcare Co., Inc.* 91,979 6,221
Amedisys, Inc.* 32,676 3,435
Chemed Corp. 15,199 7,134
Encompass Health Corp. 100,373 5,626
HealthEquity, Inc.* 85,734 5,263
LHC Group, Inc.* 31,556 4,915
Option Care Health, Inc.* 141,249 3,925
Patterson Cos., Inc. 86,869 2,632
Progyny, Inc.* 72,672 2,111
R1 RCM, Inc.* 137,225 2,876
Tenet Healthcare Corp.* 109,462 5,753
    49,891
Hotels, Restaurants & Leisure – 2.5%
Boyd Gaming Corp. 80,319 3,996
Choice Hotels International, Inc. 33,026 3,687
Churchill Downs, Inc. 34,542 6,616
Cracker Barrel Old Country Store, Inc. 23,148 1,933
Light & Wonder, Inc.* 96,122 4,517
Marriott Vacations Worldwide Corp. 41,657 4,840
Papa John's International, Inc. 32,439 2,709
Six Flags Entertainment Corp.* 77,364 1,679
Texas Roadhouse, Inc. 68,514 5,015
Travel + Leisure Co. 85,677 3,326
Wendy's (The) Co. 174,947 3,303
Wingstop, Inc. 29,812 2,229
Wyndham Hotels & Resorts, Inc. 93,055 6,115
    49,965
Household Durables – 1.4%
Helen of Troy Ltd.* 23,914 3,884
KB Home 88,759 2,526
Leggett & Platt, Inc. 134,185 4,640
Taylor Morrison Home Corp.* 119,743 2,797
Tempur Sealy International, Inc. 178,800 3,821
Toll Brothers, Inc. 110,942 4,948
TopBuild Corp.* 32,973 5,512
    28,128
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Household Products – 0.1%
Energizer Holdings, Inc. 65,138 $1,847
Insurance – 4.5%
Alleghany Corp.* 13,639 11,363
American Financial Group, Inc. 67,283 9,339
Brighthouse Financial, Inc.* 76,427 3,135
CNO Financial Group, Inc. 118,803 2,149
First American Financial Corp. 109,158 5,777
Hanover Insurance Group (The), Inc. 35,985 5,263
Kemper Corp. 59,999 2,874
Kinsale Capital Group, Inc. 21,705 4,984
Mercury General Corp. 27,533 1,220
Old Republic International Corp. 288,526 6,451
Primerica, Inc. 39,160 4,687
Reinsurance Group of America, Inc. 67,471 7,914
RenaissanceRe Holdings Ltd. 44,876 7,017
RLI Corp. 40,587 4,732
Selective Insurance Group, Inc. 60,635 5,272
Unum Group 204,206 6,947
    89,124
Interactive Media & Services – 0.3%
TripAdvisor, Inc.* 102,785 1,829
Ziff Davis, Inc.* 47,400 3,533
    5,362
IT Services – 2.1%
Bread Financial Holdings, Inc. 49,671 1,841
Concentrix Corp. 43,296 5,873
Euronet Worldwide, Inc.* 50,828 5,113
Genpact Ltd. 171,519 7,265
Kyndryl Holdings, Inc.* 178,727 1,748
Maximus, Inc. 61,599 3,851
Sabre Corp.* 334,724 1,951
Western Union (The) Co. 388,444 6,398
WEX, Inc.* 45,302 7,047
    41,087
Leisure Products – 1.2%
Brunswick Corp. 77,015 5,035
Callaway Golf Co.* 119,051 2,429
Mattel, Inc.* 357,731 7,988
Polaris, Inc. 56,347 5,594
YETI Holdings, Inc.* 86,410 3,739
    24,785
Life Sciences Tools & Services – 1.7%
Azenta, Inc. 75,391 5,436
 
NORTHERN FUNDS QUARTERLY REPORT     97    EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Life Sciences Tools & Services – 1.7%continued
Bruker Corp. 100,618 $6,315
Medpace Holdings, Inc.* 27,431 4,105
Repligen Corp.* 51,920 8,432
Sotera Health Co.* 101,523 1,989
Syneos Health, Inc.* 103,249 7,401
    33,678
Machinery – 4.2%
AGCO Corp. 61,539 6,074
Chart Industries, Inc.* 36,430 6,098
Crane Holdings Co. 48,507 4,247
Donaldson Co., Inc. 124,304 5,984
Esab Corp. 45,470 1,989
Flowserve Corp. 131,078 3,753
Graco, Inc. 170,587 10,134
ITT, Inc. 84,859 5,706
Kennametal, Inc. 84,722 1,968
Lincoln Electric Holdings, Inc. 58,972 7,275
Middleby (The) Corp.* 55,214 6,922
Oshkosh Corp. 66,736 5,482
Terex Corp. 71,005 1,943
Timken (The) Co. 67,970 3,606
Toro (The) Co. 105,318 7,982
Watts Water Technologies, Inc., Class A 27,972 3,436
    82,599
Marine – 0.2%
Kirby Corp.* 60,500 3,681
Media – 0.9%
Cable One, Inc. 4,944 6,374
John Wiley & Sons, Inc., Class A 43,282 2,067
New York Times (The) Co., Class A 167,548 4,675
TEGNA, Inc. 224,147 4,700
    17,816
Metals & Mining – 2.8%
Alcoa Corp. 185,902 8,473
Cleveland-Cliffs, Inc.* 481,131 7,395
Commercial Metals Co. 122,902 4,068
Reliance Steel & Aluminum Co. 62,798 10,667
Royal Gold, Inc. 66,643 7,116
Steel Dynamics, Inc. 181,649 12,016
United States Steel Corp. 262,063 4,694
Worthington Industries, Inc. 31,735 1,400
    55,829
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Multiline Retail – 0.8%
Kohl's Corp. 130,708 $4,665
Macy's, Inc. 286,646 5,252
Nordstrom, Inc. 113,930 2,407
Ollie's Bargain Outlet Holdings, Inc.* 59,510 3,496
    15,820
Multi-Utilities – 0.4%
Black Hills Corp. 65,977 4,801
NorthWestern Corp. 54,206 3,194
    7,995
Oil, Gas & Consumable Fuels – 3.4%
Antero Midstream Corp. 331,953 3,004
CNX Resources Corp.* 198,681 3,270
DT Midstream, Inc. 98,390 4,823
EQT Corp. 299,617 10,307
Equitrans Midstream Corp. 407,087 2,589
HF Sinclair Corp. 151,794 6,855
Matador Resources Co. 112,760 5,254
Murphy Oil Corp. 148,401 4,480
PDC Energy, Inc. 96,859 5,968
Range Resources Corp.* 263,031 6,510
Targa Resources Corp. 230,953 13,781
    66,841
Paper & Forest Products – 0.2%
Louisiana-Pacific Corp. 83,525 4,377
Personal Products – 0.4%
BellRing Brands, Inc.* 111,539 2,776
Coty, Inc., Class A* 343,775 2,754
Nu Skin Enterprises, Inc., Class A 50,092 2,169
    7,699
Pharmaceuticals – 0.8%
Jazz Pharmaceuticals PLC* 63,212 9,861
Perrigo Co. PLC 135,244 5,487
    15,348
Professional Services – 1.9%
ASGN, Inc.* 52,018 4,695
CACI International, Inc., Class A* 23,782 6,701
FTI Consulting, Inc.* 35,034 6,336
Insperity, Inc. 36,336 3,627
KBR, Inc. 141,738 6,859
 
EQUITY FUNDS    98    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Professional Services – 1.9%continued
ManpowerGroup, Inc. 53,698 $4,103
Science Applications International Corp. 56,771 5,285
    37,606
Real Estate Management & Development – 0.4%
Jones Lang LaSalle, Inc.* 49,582 8,670
Road & Rail – 1.7%
Avis Budget Group, Inc.* 34,835 5,124
Knight-Swift Transportation Holdings, Inc. 164,727 7,625
Landstar System, Inc. 37,334 5,429
Ryder System, Inc. 52,093 3,702
Saia, Inc.* 26,539 4,989
Werner Enterprises, Inc. 60,618 2,336
XPO Logistics, Inc.* 99,397 4,787
    33,992
Semiconductors & Semiconductor Equipment – 3.2%
Amkor Technology, Inc. 103,095 1,747
Cirrus Logic, Inc.* 57,514 4,172
CMC Materials, Inc. 28,773 5,021
First Solar, Inc.* 99,752 6,796
Lattice Semiconductor Corp.* 138,517 6,718
MKS Instruments, Inc. 55,998 5,747
Power Integrations, Inc. 58,570 4,393
Semtech Corp.* 63,648 3,499
Silicon Laboratories, Inc.* 37,196 5,216
SiTime Corp.* 15,906 2,593
SunPower Corp.* 82,660 1,307
Synaptics, Inc.* 39,812 4,700
Universal Display Corp. 43,654 4,415
Wolfspeed, Inc.* 124,540 7,902
    64,226
Software – 3.4%
ACI Worldwide, Inc.* 114,899 2,975
Aspen Technology, Inc.* 28,468 5,229
Blackbaud, Inc.* 46,560 2,704
CDK Global, Inc. 118,623 6,497
CommVault Systems, Inc.* 45,572 2,866
Envestnet, Inc.* 56,348 2,973
Fair Isaac Corp.* 26,294 10,541
Manhattan Associates, Inc.* 63,688 7,299
NCR Corp.* 139,030 4,325
Paylocity Holding Corp.* 39,947 6,968
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Software – 3.4%continued
Qualys, Inc.* 33,571 $4,235
Sailpoint Technologies Holdings, Inc.* 95,816 6,006
Teradata Corp.* 106,680 3,948
    66,566
Specialty Retail – 2.8%
American Eagle Outfitters, Inc. 153,261 1,713
AutoNation, Inc.* 36,234 4,050
Dick's Sporting Goods, Inc. 59,092 4,454
Five Below, Inc.* 55,883 6,339
Foot Locker, Inc. 83,505 2,108
GameStop Corp., Class A* 62,287 7,618
Gap (The), Inc. 216,359 1,783
Lithia Motors, Inc. 29,149 8,010
Murphy U.S.A., Inc. 22,641 5,272
RH* 17,898 3,799
Victoria's Secret & Co.* 67,776 1,896
Williams-Sonoma, Inc. 71,050 7,883
    54,925
Technology Hardware, Storage & Peripherals – 0.1%
Xerox Holdings Corp. 118,761 1,764
Textiles, Apparel & Luxury Goods – 1.7%
Capri Holdings Ltd.* 149,874 6,146
Carter's, Inc. 40,321 2,842
Columbia Sportswear Co. 33,276 2,382
Crocs, Inc.* 62,826 3,058
Deckers Outdoor Corp.* 27,426 7,003
Hanesbrands, Inc. 349,711 3,599
Skechers U.S.A., Inc., Class A* 137,158 4,880
Under Armour, Inc., Class A* 193,874 1,615
Under Armour, Inc., Class C* 208,354 1,579
    33,104
Thrifts & Mortgage Finance – 0.6%
Essent Group Ltd. 109,562 4,262
MGIC Investment Corp. 315,438 3,975
New York Community Bancorp, Inc. 468,913 4,281
    12,518
Trading Companies & Distributors – 1.0%
GATX Corp. 35,893 3,379
MSC Industrial Direct Co., Inc., Class A 47,328 3,555
Univar Solutions, Inc.* 172,101 4,280
Watsco, Inc. 33,409 7,979
    19,193
 
NORTHERN FUNDS QUARTERLY REPORT     99    EQUITY FUNDS

Schedule of Investments
MID CAP INDEX FUNDcontinued June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.5%continued
Water Utilities – 0.5%
Essential Utilities, Inc. 232,081 $10,641
Total Common Stocks    
(Cost $1,518,460)   1,956,875
     
INVESTMENT COMPANIES – 1.1%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(2) (3) 22,769,020 22,769
Total Investment Companies    
(Cost $22,769)   22,769
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.3%
U.S. Treasury Bill,
1.82%, 11/25/22(4) (5)
$5,565 $5,519
Total Short-Term Investments  
(Cost $5,523) 5,519
     
Total Investments – 99.9%  
(Cost $1,546,752) 1,985,163
Other Assets less Liabilities – 0.1% 1,679
NET ASSETS – 100.0% $1,986,842
    
(1) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(2) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(3) 7-day current yield as of June 30, 2022 is disclosed.
(4) Discount rate at the time of purchase.
(5) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT - Real Estate Investment Trust
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P MidCap 400 130 $29,484 Long 9/22 $26
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 98.5%
Investment Companies 1.1%
Short-Term Investments 0.3%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $1,956,875 $$— $1,956,875
Investment Companies 22,769 22,769
Short-Term Investments 5,519 5,519
Total Investments $1,979,644 $5,519 $— $1,985,163
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $26 $$— $26
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $52,517 $51,131 $80,879 $26 $22,769 22,769,020
EQUITY FUNDS    100    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)
Australia – 5.9%
Atlas Arteria Ltd. 3,079,077 $17,116
Aurizon Holdings Ltd. 2,851,972 7,495
Transurban Group 3,841,639 38,151
    62,762
Austria – 0.5%
ANDRITZ A.G. 138,133 5,569
Brazil – 0.7%
CCR S.A. 2,445,300 5,873
Cia de Saneamento de Minas Gerais-COPASA 726,969 1,602
    7,475
Canada – 4.2%
Ag Growth International, Inc. 186,183 4,294
Canadian National Railway Co. 55,680 6,263
Emera, Inc. 222,608 10,428
Hydro One Ltd. 412,887 11,102
Northland Power, Inc. 155,755 4,637
Pembina Pipeline Corp. 214,500 7,582
    44,306
China – 0.7%
Jiangsu Expressway Co. Ltd., Class H 7,496,000 7,550
Denmark – 1.2%
Orsted A/S(2) 120,171 12,566
France – 6.0%
Eutelsat Communications S.A. 410,400 4,637
Getlink S.E. 172,243 3,051
Rubis S.C.A. 297,335 6,991
SES S.A. 714,775 6,282
Veolia Environnement S.A.* 533,694 13,203
Vinci S.A. 333,797 29,988
    64,152
Germany – 1.8%
E.ON S.E. 848,141 7,116
Friedrich Vorwerk Group S.E. 70,581 1,900
RWE A.G. 267,432 9,857
    18,873
Hong Kong – 3.4%
Beijing Enterprises Water Group Ltd. 6,720,000 2,032
China Everbright Environment Group Ltd. 6,178,000 3,653
China Gas Holdings Ltd. 2,197,400 3,397
China Water Affairs Group Ltd. 5,201,732 4,847
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
Hong Kong – 3.4%continued
CK Infrastructure Holdings Ltd. 664,000 $4,080
Guangdong Investment Ltd. 9,604,000 10,172
Power Assets Holdings Ltd. 1,261,320 7,945
    36,126
Ireland – 1.0%
Greencoat Renewables PLC 8,479,100 10,486
Italy – 8.4%
Atlantia S.p.A. 630,714 14,803
Enel S.p.A. 2,625,272 14,429
Hera S.p.A. 2,648,531 7,688
Infrastrutture Wireless Italiane S.p.A.(2) 436,620 4,442
Italgas S.p.A. 1,415,432 8,266
Snam S.p.A. 4,238,399 22,246
Terna - Rete Elettrica Nazionale 2,232,362 17,545
    89,419
Japan – 1.0%
Kurita Water Industries Ltd. 167,400 6,089
West Japan Railway Co. 126,000 4,638
    10,727
Mexico – 1.2%
Grupo Aeroportuario del Sureste S.A.B. de C.V., Series B 387,763 7,644
Promotora y Operadora de Infraestructura S.A.B. de C.V. 721,906 5,308
    12,952
Netherlands – 0.2%
Arcadis N.V. 56,882 1,926
Portugal – 0.3%
REN - Redes Energeticas Nacionais SGPS S.A. 1,068,408 3,221
Spain – 5.9%
Aena S.M.E. S.A.* 123,890 15,756
Ferrovial S.A. 1,015,030 25,884
Iberdrola S.A. 1,604,190 16,646
Red Electrica Corp. S.A. 263,111 4,982
    63,268
Switzerland – 1.6%
Flughafen Zurich A.G. (Registered)* 84,113 12,725
Landis+Gyr Group A.G.* 78,173 4,101
    16,826
United Kingdom – 8.9%
Atlantica Sustainable Infrastructure PLC 126,646 4,086
 
NORTHERN FUNDS QUARTERLY REPORT     101    EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
United Kingdom – 8.9%continued
Costain Group PLC* 1,279,344 $533
National Grid PLC 2,549,489 32,672
Pennon Group PLC 833,630 9,698
Severn Trent PLC 294,185 9,742
SSE PLC 717,624 14,187
United Utilities Group PLC 1,519,742 18,877
VH Global Sustainable Energy Opportunities PLC 3,653,503 4,871
    94,666
United States – 41.7%
AECOM 57,114 3,725
Alexandria Real Estate Equities, Inc. 44,076 6,392
Alliant Energy Corp. 123,877 7,260
Ameren Corp. 33,991 3,071
American Tower Corp. 76,255 19,490
American Water Works Co., Inc. 26,093 3,882
Avista Corp. 70,937 3,087
Bunge Ltd. 65,730 5,961
CenterPoint Energy, Inc. 337,252 9,976
Cheniere Energy, Inc. 73,909 9,832
Consolidated Edison, Inc. 114,458 10,885
Consolidated Water Co. Ltd. 131,498 1,907
CSX Corp. 1,106,769 32,163
Dominion Energy, Inc. 263,049 20,994
DT Midstream, Inc. 169,675 8,317
Entergy Corp. 146,340 16,484
Equinix, Inc. 16,385 10,765
Essential Utilities, Inc. 243,880 11,182
Evergy, Inc. 166,824 10,885
First Solar, Inc.* 27,174 1,851
FirstEnergy Corp. 319,365 12,260
Fluence Energy, Inc.* 254,113 2,409
Gladstone Land Corp. 51,017 1,131
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 114,521 4,336
NextEra Energy, Inc. 583,374 45,188
Norfolk Southern Corp. 167,926 38,168
NorthWestern Corp. 108,286 6,381
Ormat Technologies, Inc. 98,035 7,681
Pinnacle West Capital Corp. 308,351 22,547
PPL Corp. 458,552 12,441
Quanta Services, Inc. 14,610 1,831
Republic Services, Inc. 34,156 4,470
SBA Communications Corp. 63,098 20,195
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 94.6% (1)continued
United States – 41.7%continued
Sempra Energy 97,306 $14,622
Shoals Technologies Group, Inc., Class A* 104,827 1,728
SJW Group 40,183 2,508
Targa Resources Corp. 83,544 4,985
Union Pacific Corp. 44,800 9,555
Valmont Industries, Inc. 20,888 4,692
Welltower, Inc. 125,781 10,358
Willdan Group, Inc.* 126,149 3,479
Xcel Energy, Inc. 206,946 14,644
    443,718
Total Common Stocks    
(Cost $1,006,949)   1,006,588
     
INVESTMENT COMPANIES – 4.3%
International Public Partnerships Ltd. 2,748,735 5,449
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(3) (4) 32,704,329 32,704
Renewables Infrastructure Group (The) Ltd. 4,323,916 7,127
Total Investment Companies    
(Cost $46,296)   45,280
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.4%
U.S. Treasury Bill,
1.82%, 11/25/22(5) (6)
$4,180 $4,145
Total Short-Term Investments    
(Cost $4,149)   4,145
     
Total Investments – 99.3%    
(Cost $1,057,394)   1,056,013
Other Assets less Liabilities – 0.7%   7,821
Net Assets – 100.0%   $1,063,834
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(3) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(4) 7-day current yield as of June 30, 2022 is disclosed.
(5) Discount rate at the time of purchase.
 
EQUITY FUNDS    102    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
(6) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
EAFE – Europe, Australasia and the Far East
 
MSCI – Morgan Stanley Capital International
 
S&P – Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 (United States Dollar) 39 $7,390 Long 9/22 $(15)
MSCI EAFE Index (United States Dollar) 64 5,941 Long 9/22 (9)
Total         $(24)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 45.6%
Euro 24.1
British Pound 9.7
Australian Dollar 5.9
All other currencies less than 5% 14.0
Total Investments 99.3
Other Assets less Liabilities 0.7
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Brazil $7,475 $$— $7,475
Canada 44,306 44,306
Mexico 12,952 12,952
United Kingdom 4,086 90,580 94,666
United States 443,718 443,718
All Other Countries(1) 403,471 403,471
Total Common Stocks 512,537 494,051 1,006,588
Investment Companies 32,704 12,576 45,280
Short-Term Investments 4,145 4,145
Total Investments $545,241 $510,772 $— $1,056,013
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(24) $$— $(24)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $39,055 $167,387 $173,738 $49 $32,704 32,704,329
NORTHERN FUNDS QUARTERLY REPORT     103    EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL REAL ESTATE FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.3% (1)
Australia – 3.9%
BGP Holdings PLC(2) (3) * 3,277,404 $—
Goodman Group 243,479 2,995
National Storage REIT 1,084,978 1,600
Rural Funds Group 107,332 187
Stockland 230,728 575
Vicinity Centres 672,078 852
    6,209
Belgium – 1.2%
Shurgard Self Storage S.A. 29,988 1,398
VGP N.V. 2,859 456
Warehouses De Pauw - C.V.A. 2,640 83
    1,937
Canada – 2.9%
Allied Properties Real Estate Investment Trust 25,311 653
Brookfield Asset Management, Inc., Class A 33,257 1,479
Granite Real Estate Investment Trust 31,331 1,922
Tricon Residential, Inc. 59,363 602
    4,656
China – 1.1%
ESR Group Ltd.* 649,800 1,759
France – 0.3%
Gecina S.A. 5,126 482
Germany – 3.4%
LEG Immobilien S.E. 20,492 1,699
Vonovia S.E. 125,232 3,859
    5,558
Hong Kong – 4.2%
CK Asset Holdings Ltd. 176,500 1,250
Hang Lung Properties Ltd. 347,000 659
Link REIT 124,900 1,020
Sino Land Co. Ltd. 1,075,683 1,589
Swire Properties Ltd. 875,400 2,176
    6,694
India – 0.7%
Embassy Office Parks REIT 229,681 1,088
Japan – 6.4%
Activia Properties, Inc. 152 452
Advance Residence Investment Corp. 162 431
Heiwa Real Estate Co. Ltd. 13,200 379
Hulic REIT, Inc. 425 500
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.3% (1)continued
Japan – 6.4%continued
Industrial & Infrastructure Fund Investment Corp. 276 $365
Japan Hotel REIT Investment Corp. 1,612 806
Japan Logistics Fund, Inc. 509 1,176
Japan Metropolitan Fund Invest 913 712
Katitas Co. Ltd. 89,800 1,936
LaSalle Logiport REIT 312 383
Mitsui Fudosan Co. Ltd. 71,300 1,534
Orix JREIT, Inc. 428 580
Star Asia Investment Corp. 1,460 661
Tokyu Fudosan Holdings Corp. 74,400 392
    10,307
Mexico – 0.5%
Corp. Inmobiliaria Vesta S.A.B. de C.V. 435,119 811
Netherlands – 0.2%
CTP N.V. 34,501 398
Singapore – 3.4%
Ascendas India Trust 948,300 799
CapitaLand Integrated Commercial Trust 710,887 1,111
Capitaland Investment Ltd. 735,700 2,026
CDL Hospitality Trusts 8,379 8
City Developments Ltd. 95,600 561
Mapletree Logistics Trust 339,410 411
Parkway Life Real Estate Investment Trust 175,000 614
    5,530
Spain – 1.8%
Cellnex Telecom S.A.* 59,118 2,303
Merlin Properties Socimi S.A. 64,566 623
    2,926
Sweden – 0.4%
Fastighets AB Balder, Class B* 127,160 610
United Kingdom – 6.7%
Big Yellow Group PLC 109,672 1,753
Grainger PLC 558,932 1,914
Helical PLC 84,772 386
Helios Towers PLC* 861,967 1,269
Land Securities Group PLC 85,000 687
Safestore Holdings PLC 31,544 408
Segro PLC 95,256 1,133
Shaftesbury PLC 268,397 1,706
 
EQUITY FUNDS    104    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.3% (1)continued
United Kingdom – 6.7%continued
UNITE Group (The) PLC 103,210 $1,338
Workspace Group PLC 32,000 217
    10,811
United States – 59.2%
Agree Realty Corp. 19,817 1,429
Alexandria Real Estate Equities, Inc. 29,951 4,344
American Homes 4 Rent, Class A 78,944 2,798
American Tower Corp. 6,514 1,665
AvalonBay Communities, Inc. 12,082 2,347
Boston Properties, Inc. 12,478 1,110
Brixmor Property Group, Inc. 89,572 1,810
CubeSmart 46,029 1,966
Digital Realty Trust, Inc. 17,739 2,303
Douglas Emmett, Inc. 37,254 834
Encompass Health Corp. 28,029 1,571
Equinix, Inc. 6,612 4,344
Equity LifeStyle Properties, Inc. 59,348 4,182
Essex Property Trust, Inc. 6,846 1,790
Extra Space Storage, Inc. 18,243 3,104
First Industrial Realty Trust, Inc. 27,332 1,298
Healthcare Trust of America, Inc., Class A 30,340 847
Host Hotels & Resorts, Inc. 56,977 893
Invitation Homes, Inc. 69,170 2,461
Life Storage, Inc. 18,228 2,035
Mid-America Apartment Communities, Inc. 11,805 2,062
National Retail Properties, Inc. 84,018 3,613
Park Hotels & Resorts, Inc. 97,490 1,323
Phillips Edison & Co., Inc. 61,702 2,062
Prologis, Inc. 83,301 9,800
Rayonier, Inc. 61,394 2,295
Rexford Industrial Realty, Inc. 31,472 1,813
SBA Communications Corp. 6,869 2,198
Simon Property Group, Inc. 28,833 2,737
SITE Centers Corp. 63,020 849
Spirit Realty Capital, Inc. 56,280 2,126
STAG Industrial, Inc. 41,509 1,282
Sun Communities, Inc. 32,844 5,234
UDR, Inc. 49,049 2,258
Urban Edge Properties 94,541 1,438
VICI Properties, Inc. 151,631 4,517
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 96.3% (1)continued
United States – 59.2%continued
Welltower, Inc. 55,918 $4,605
Weyerhaeuser Co. 58,900 1,951
    95,294
Total Common Stocks    
(Cost $152,011)   155,070
     
INVESTMENT COMPANIES – 3.0%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(4) (5) 4,806,000 4,806
Total Investment Companies    
(Cost $4,806)   4,806
     
Total Investments – 99.3%    
(Cost $156,817)   159,876
Other Assets less Liabilities – 0.7%   1,201
Net Assets – 100.0%   $161,077
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Restricted security that has been deemed illiquid. At June 30, 2022, the value of this restricted illiquid security amounted to $0 or 0.0% of net assets. Additional information on this restricted illiquid security is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
BGP Holdings PLC 12/2/09 $—
    
(4) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(5) 7-day current yield as of June 30, 2022 is disclosed.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT – Real Estate Investment Trust
Percentages shown are based on Net Assets.
 
NORTHERN FUNDS QUARTERLY REPORT     105    EQUITY FUNDS

Schedule of Investments
MULTI-MANAGER GLOBAL REAL ESTATE FUNDcontinued June 30, 2022 (UNAUDITED)
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 62.1%
Euro 7.0
British Pound 6.7
Japanese Yen 6.4
Hong Kong Dollar 5.3
All other currencies less than 5% 11.8
Total Investments 99.3
Other Assets less Liabilities 0.7
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund
adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Canada $4,656 $$— $4,656
Mexico 811 811
United States 95,294 95,294
All Other Countries(1) 54,309 54,309
Total Common Stocks 100,761 54,309 155,070
Investment Companies 4,806 4,806
Total Investments $105,567 $54,309 $— $159,876
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $6,523 $31,821 $33,538 $7 $4,806 4,806,000
EQUITY FUNDS    106    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
NORTHERN ENGAGE360TM FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)
Australia – 0.6%
Macquarie Group Ltd. 9,124 $1,037
Mirvac Group 496,125 676
    1,713
Austria – 0.3%
Erste Group Bank A.G. 26,724 679
Brazil – 0.3%
WEG S.A. 132,186 668
Canada – 2.4%
Brookfield Asset Management, Inc., Class A 33,509 1,490
Cameco Corp. 73,300 1,541
Canadian Pacific Railway Ltd. 19,432 1,357
Magna International, Inc. 28,500 1,565
Shopify, Inc., Class A* 9,090 284
    6,237
China – 2.5%
Alibaba Group Holding Ltd. ADR* 11,292 1,283
BYD Co. Ltd., Class H 41,330 1,665
Ping An Insurance Group Co. of China Ltd., Class H 178,368 1,234
Trip.com Group Ltd. ADR* 31,323 860
Weichai Power Co. Ltd., Class H 417,644 674
Xinyi Solar Holdings Ltd. 490,730 757
    6,473
Denmark – 1.0%
Novo Nordisk A/S, Class B 10,962 1,217
Orsted A/S(2) 8,952 936
Vestas Wind Systems A/S 26,824 568
    2,721
Finland – 0.4%
Sampo OYJ, Class A 24,462 1,065
France – 3.3%
AXA S.A. 68,795 1,563
Cie Generale des Etablissements Michelin S.C.A. 56,236 1,546
LVMH Moet Hennessy Louis Vuitton S.E. 2,400 1,481
Schneider Electric S.E. 10,092 1,196
TotalEnergies S.E. 41,500 2,188
Valeo 34,712 679
    8,653
Germany – 4.6%
adidas A.G. 5,310 939
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
Germany – 4.6%continued
BioNTech S.E. ADR 5,098 $760
Deutsche Telekom A.G. (Registered) 85,764 1,703
Infineon Technologies A.G. 33,718 816
Muenchener Rueckversicherungs-Gesellschaft A.G. in Muenchen (Registered) 6,700 1,574
Nemetschek S.E. 22,900 1,386
Rational A.G. 1,800 1,047
SAP S.E. 14,924 1,360
SAP S.E. ADR 8,990 816
Symrise A.G. 13,000 1,415
Vonovia S.E. 14,617 450
    12,266
Hong Kong – 1.1%
AIA Group Ltd. 160,800 1,766
China Traditional Chinese Medicine Holdings Co. Ltd. 1,670,572 1,034
    2,800
India – 0.5%
HDFC Bank Ltd. ADR 24,329 1,337
Indonesia – 0.9%
Bank Rakyat Indonesia Persero Tbk PT 4,273,878 1,192
Telkom Indonesia Persero Tbk PT 4,363,199 1,173
    2,365
Ireland – 0.9%
Kerry Group PLC, Class A 9,606 920
Medtronic PLC 16,800 1,508
    2,428
Japan – 7.9%
Daikin Industries Ltd. 6,176 991
Eisai Co. Ltd. 14,530 614
FANUC Corp. 7,300 1,144
Hoya Corp. 10,614 907
KDDI Corp. 52,200 1,651
Kubota Corp. 90,500 1,354
Kurita Water Industries Ltd. 27,756 1,010
Marui Group Co. Ltd. 58,700 1,028
Mitsubishi UFJ Financial Group, Inc. 136,700 731
Nidec Corp. 16,200 1,002
ORIX Corp. 83,616 1,404
Otsuka Holdings Co. Ltd. 43,600 1,549
Pan Pacific International Holdings Corp. 50,800 811
Recruit Holdings Co. Ltd. 19,752 582
 
NORTHERN FUNDS QUARTERLY REPORT     107    EQUITY FUNDS

Schedule of Investments
NORTHERN ENGAGE360TM FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
Japan – 7.9%continued
Shimano, Inc. 5,570 $942
Shiseido Co. Ltd. 18,968 762
Sony Group Corp. 36,614 2,992
TDK Corp. 24,536 759
Yamaha Corp. 16,620 684
    20,917
Netherlands – 1.5%
Core Laboratories N.V. 21,784 432
Heineken N.V. 13,400 1,227
ING Groep N.V. 123,430 1,225
Koninklijke Ahold Delhaize N.V. 42,416 1,105
    3,989
Russia – 0.0%
Moscow Exchange
MICEX-RTS PJSC(3) *
51,540
Singapore – 1.3%
DBS Group Holdings Ltd. 83,600 1,789
Oversea-Chinese Banking Corp. Ltd. 192,638 1,582
Sea Ltd. ADR* 788 53
    3,424
South Africa – 0.4%
Naspers Ltd., Class N 7,630 1,116
South Korea – 1.2%
LG Chem Ltd. 3,246 1,292
SK Hynix, Inc. 14,209 994
SK Telecom Co. Ltd. ADR 35,915 801
    3,087
Sweden – 1.0%
Assa Abloy AB, Class B 46,403 993
Atlas Copco AB, Class B 84,388 707
Essity AB, Class B 32,772 856
Spotify Technology S.A.* 1,060 99
    2,655
Switzerland – 1.7%
Alcon, Inc. 23,900 1,669
CRISPR Therapeutics A.G.* 12,878 783
Roche Holding A.G. (Genusschein) 6,478 2,163
    4,615
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
Taiwan – 1.1%
Delta Electronics, Inc. 140,084 $1,038
Taiwan Semiconductor Manufacturing Co. Ltd. ADR 24,040 1,965
    3,003
Thailand – 0.4%
Kasikornbank PCL (Registered) 240,492 1,026
United Kingdom – 4.3%
Barratt Developments PLC 153,367 855
Croda International PLC 10,561 833
Dechra Pharmaceuticals PLC 17,802 750
DS Smith PLC 172,918 584
GSK PLC 91,700 1,972
Linde PLC (New York Exchange) 4,305 1,238
Manchester United PLC, Class A 29,711 330
nVent Electric PLC 14,521 455
Rentokil Initial PLC 268,300 1,551
Spirax-Sarco Engineering PLC 5,588 672
SSE PLC 31,512 623
Unilever PLC 34,894 1,589
    11,452
United States – 54.1%
10X Genomics, Inc., Class A* 3,773 171
2U, Inc.* 16,103 169
Activision Blizzard, Inc. 8,501 662
Adobe, Inc.* 11,194 4,098
ADT, Inc. 14,751 91
Aflac, Inc. 9,083 503
Air Products and Chemicals, Inc. 10,112 2,432
Akamai Technologies, Inc.* 4,912 449
Albemarle Corp. 4,949 1,034
Alexandria Real Estate Equities, Inc. 2,578 374
Alphabet, Inc., Class C* 1,022 2,236
Amazon.com, Inc.* 15,619 1,659
American Tower Corp. 11,544 2,950
Amgen, Inc. 8,100 1,971
Amphenol Corp., Class A 17,717 1,141
Apple, Inc. 14,161 1,936
Applied Materials, Inc. 7,264 661
Autodesk, Inc.* 2,597 447
Automatic Data Processing, Inc. 3,403 715
Avnet, Inc. 18,108 776
Axalta Coating Systems Ltd.* 22,604 500
Bank of America Corp. 12,316 383
 
EQUITY FUNDS    108    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
United States – 54.1%continued
Becton Dickinson and Co. 2,344 $578
Berkshire Hathaway, Inc., Class B* 6,137 1,675
Block, Inc.* 11,378 699
BOK Financial Corp. 9,142 691
BorgWarner, Inc. 14,598 487
Broadridge Financial Solutions, Inc. 3,468 494
Cardinal Health, Inc. 7,685 402
CarMax, Inc.* 4,760 431
Carnival PLC* 38,183 295
CBRE Group, Inc., Class A* 14,163 1,043
Charles River Laboratories International, Inc.* 4,447 951
Charles Schwab (The) Corp. 40,033 2,529
Coca-Cola (The) Co. 29,200 1,837
Coinbase Global, Inc., Class A* 9,075 427
Corning, Inc. 11,135 351
D.R. Horton, Inc. 6,421 425
Danaher Corp. 8,600 2,180
Darden Restaurants, Inc. 4,874 551
Dolby Laboratories, Inc., Class A 21,500 1,539
DraftKings, Inc., Class A* 20,172 235
Duke Energy Corp. 3,853 413
EastGroup Properties, Inc. 3,346 516
Ecolab, Inc. 3,628 558
Editas Medicine, Inc.* 5,249 62
Elevance Health, Inc. 2,269 1,095
Emergent BioSolutions, Inc.* 8,183 254
Envista Holdings Corp.* 8,848 341
EverQuote, Inc., Class A* 36,881 326
Exact Sciences Corp.* 14,549 573
Exxon Mobil Corp. 8,351 715
FactSet Research Systems, Inc. 1,875 721
Fate Therapeutics, Inc.* 5,930 147
First American Financial Corp. 7,273 385
First Republic Bank 13,150 1,896
FirstCash Holdings, Inc. 22,500 1,564
Flex Ltd.* 27,209 394
FMC Corp. 17,900 1,915
Fortive Corp. 18,904 1,028
General Dynamics Corp. 6,800 1,504
Gentex Corp. 14,733 412
Ginkgo Bioworks Holdings, Inc.* 67,292 160
Global Payments, Inc. 5,999 664
Goldman Sachs Group (The), Inc. 3,955 1,175
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
United States – 54.1%continued
GXO Logistics, Inc.* 30,097 $1,302
Hackett Group (The), Inc. 29,364 557
Hexcel Corp. 15,999 837
Hologic, Inc.* 10,235 709
Honeywell International, Inc. 17,207 2,991
Houlihan Lokey, Inc. 1,423 112
Humana, Inc. 1,181 553
Huntington Ingalls Industries, Inc. 2,334 508
Intel Corp. 6,168 231
Intellia Therapeutics, Inc.* 19,237 996
Interpublic Group of (The) Cos., Inc. 17,190 473
Intuit, Inc. 6,033 2,325
Invitae Corp.* 45,028 110
J.M. Smucker (The) Co. 2,033 260
Johnson & Johnson 13,367 2,373
JPMorgan Chase & Co. 4,705 530
Kennametal, Inc. 22,397 520
Keysight Technologies, Inc.* 2,036 281
Kimball Electronics, Inc.* 26,581 534
KKR & Co., Inc. 9,070 420
Knowles Corp.* 18,051 313
Laboratory Corp. of America Holdings 2,694 631
Lazard Ltd., Class A 17,399 564
Lennar Corp., Class A 31,400 2,216
Littelfuse, Inc. 1,558 396
Lumentum Holdings, Inc.* 7,742 615
M&T Bank Corp. 3,115 496
Madison Square Garden Entertainment Corp.* 11,760 619
Madison Square Garden Sports Corp.* 2,155 325
Markel Corp.* 1,854 2,398
Martin Marietta Materials, Inc. 7,300 2,184
Mattel, Inc.* 30,611 684
Meta Platforms, Inc., Class A* 3,014 486
Mettler-Toledo International, Inc.* 1,221 1,403
Microchip Technology, Inc. 74,085 4,303
Microsoft Corp. 21,426 5,503
Mohawk Industries, Inc.* 3,677 456
Molson Coors Beverage Co., Class B 5,581 304
Moody's Corp. 6,274 1,706
Morgan Stanley 5,652 430
NIKE, Inc., Class B 10,635 1,087
Norfolk Southern Corp. 3,056 695
 
NORTHERN FUNDS QUARTERLY REPORT     109    EQUITY FUNDS

Schedule of Investments
NORTHERN ENGAGE360TM FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
United States – 54.1%continued
NOV, Inc. 9,842 $166
NVIDIA Corp. 694 105
Omnicom Group, Inc. 2,781 177
Oshkosh Corp. 21,100 1,733
Pacific Biosciences of California, Inc.* 14,570 64
PagerDuty, Inc.* 17,878 443
Palantir Technologies, Inc., Class A* 8,443 77
Parsons Corp.* 18,849 762
PayPal Holdings, Inc.* 10,109 706
PepsiCo, Inc. 7,659 1,276
PPG Industries, Inc. 3,478 398
Procter & Gamble (The) Co. 9,800 1,409
Progressive (The) Corp. 8,810 1,024
QUALCOMM, Inc. 14,000 1,788
Raymond James Financial, Inc. 8,745 782
RenaissanceRe Holdings Ltd. 2,915 456
Resideo Technologies, Inc.* 17,784 345
Robinhood Markets, Inc., Class A* 31,687 260
ROBLOX Corp., Class A* 6,568 216
Roku, Inc.* 11,104 912
Roper Technologies, Inc. 2,689 1,061
Royal Caribbean Cruises Ltd.* 6,983 244
RPM International, Inc. 18,900 1,488
Ryder System, Inc. 7,405 526
Salesforce, Inc.* 6,191 1,022
Schlumberger N.V. 16,852 603
Sealed Air Corp. 8,089 467
Snap-on, Inc. 1,720 339
Southern (The) Co. 5,915 422
Stanley Black & Decker, Inc. 4,832 507
Starbucks Corp. 6,799 519
Stericycle, Inc.* 9,088 398
Stifel Financial Corp. 10,151 569
Stratasys Ltd.* 18,709 351
Syneos Health, Inc.* 5,868 421
Synopsys, Inc.* 3,421 1,039
Sysco Corp. 7,611 645
TechTarget, Inc.* 11,229 738
Teladoc Health, Inc.* 16,228 539
Tesla, Inc.* 1,758 1,184
TJX (The) Cos., Inc. 9,842 550
TransDigm Group, Inc.* 3,773 2,025
TuSimple Holdings, Inc., Class A* 16,069 116
Twilio, Inc., Class A* 5,077 425
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 93.7% (1)continued
United States – 54.1%continued
U.S. Bancorp 19,204 $884
UiPath, Inc., Class A* 23,074 420
Union Pacific Corp. 3,562 760
Unity Software, Inc.* 9,698 357
Vail Resorts, Inc. 997 217
Veracyte, Inc.* 8,297 165
Visa, Inc., Class A 8,228 1,620
Vontier Corp. 45,774 1,052
Walgreens Boots Alliance, Inc. 12,848 487
Walt Disney (The) Co.* 16,538 1,561
Zimmer Biomet Holdings, Inc. 3,415 359
Zoom Video Communications, Inc., Class A* 8,615 930
    142,541
Total Common Stocks    
(Cost $267,063)   247,230
     
PREFERRED STOCKS – 1.6% (1)
Brazil – 0.3%
Itau Unibanco Holding S.A. ADR, 0.74%(4) 201,015 861
Chile – 0.5%
Sociedad Quimica y Minera de Chile S.A. ADR, 3.11%(4) 14,426 1,205
South Korea – 0.8%
Samsung Electronics Co. Ltd., 2.78%(4) 51,200 2,054
Total Preferred Stocks    
(Cost $4,463)   4,120
     
Total Investments – 95.3%    
(Cost $271,526)   251,350
Other Assets less Liabilities – 4.7%   12,360
Net Assets – 100.0%   $263,710
    
(1) Adjustment factors obtained from an independent evaluation service were used to determine the value of certain foreign securities.
(2) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(3) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(4) Current yield is disclosed. Dividends are calculated based on a percentage of the issuer's net income.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
 
EQUITY FUNDS    110    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
ADR – American Depositary Receipt
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund’s investments were denominated in the following currencies:
CONCENTRATION BY CURRENCY % OF NET
ASSETS
United States Dollar 60.8%
Euro 10.3
Japanese Yen 7.9
All other currencies less than 5% 16.3
Total Investments 95.3
Other Assets less Liabilities 4.7
Net Assets 100.0%
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices). The Fund adjusted the price of certain foreign equity securities held in its portfolio on June 30, 2022 using adjustment factors designed to reflect more accurately the fair value of the securities. The fair valuation of these securities resulted in their categorization as Level 2 investments.
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund’s investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Brazil $668 $$— $668
Canada 6,237 6,237
China 2,143 4,330 6,473
Germany 2,991 9,275 12,266
India 1,337 1,337
Ireland 1,508 920 2,428
Netherlands 432 3,557 3,989
Singapore 53 3,371 3,424
South Korea 801 2,286 3,087
Sweden 99 2,556 2,655
Switzerland 783 3,832 4,615
Taiwan 1,965 1,038 3,003
United Kingdom 2,023 9,429 11,452
United States 142,246 295 142,541
All Other Countries(1) 43,055 43,055
Total Common Stocks 163,286 83,944 247,230
Preferred Stocks:        
South Korea 2,054 2,054
All Other Countries(1) 2,066 2,066
Total Preferred Stocks 2,066 2,054 4,120
Total Investments $165,352 $85,998 $— $251,350
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $11,672 $19,504 $31,176 $10 $—
NORTHERN FUNDS QUARTERLY REPORT     111    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.8%
Aerospace & Defense – 0.9%
AAR Corp.* 7,391 $309
Aerojet Rocketdyne Holdings, Inc.* 14,560 591
AeroVironment, Inc.* 5,776 475
Astronics Corp.* 2,504 25
Astronics Corp., Class B* 3,668 35
Ducommun, Inc.* 3,254 140
Kaman Corp. 5,362 168
Maxar Technologies, Inc. 12,486 326
Mercury Systems, Inc.* 9,546 614
Moog, Inc., Class A 5,037 400
National Presto Industries, Inc. 1,332 87
Park Aerospace Corp. 2,783 36
Parsons Corp.* 2,373 96
Spirit AeroSystems Holdings, Inc., Class A 17,900 524
Vectrus, Inc.* 4,385 147
    3,973
Air Freight & Logistics – 0.3%
Air T, Inc.* 753 12
Air Transport Services Group, Inc.* 10,000 287
Atlas Air Worldwide Holdings, Inc.* 4,567 282
Forward Air Corp. 7,131 656
    1,237
Airlines – 0.3%
Allegiant Travel Co.* 3,217 364
Copa Holdings S.A., Class A* 6,525 413
Hawaiian Holdings, Inc.* 10,043 144
SkyWest, Inc.* 11,723 249
    1,170
Auto Components – 1.2%
Adient PLC* 17,391 515
American Axle & Manufacturing Holdings, Inc.* 7,068 53
Dana, Inc. 27,028 380
Dorman Products, Inc.* 7,116 781
Gentherm, Inc.* 8,629 539
Goodyear Tire & Rubber (The) Co.* 55,642 596
LCI Industries 7,368 824
Modine Manufacturing Co.* 2,561 27
Motorcar Parts of America, Inc.* 5,230 69
Patrick Industries, Inc. 4,692 243
Standard Motor Products, Inc. 4,563 205
Stoneridge, Inc.* 4,709 81
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Auto Components – 1.2%continued
Tenneco, Inc., Class A* 9,641 $165
Visteon Corp.* 5,208 540
XPEL, Inc.* 3,049 140
    5,158
Automobiles – 0.1%
Winnebago Industries, Inc. 8,847 429
Workhorse Group, Inc.* 20,683 54
    483
Banks – 9.4%
1st Source Corp. 5,374 244
Allegiance Bancshares, Inc. 2,339 88
Amalgamated Financial Corp. 6,170 122
American National Bankshares, Inc. 2,604 90
Ameris Bancorp 14,292 574
Ames National Corp. 2,507 56
Arrow Financial Corp. 5,337 170
Associated Banc-Corp 22,141 404
Atlantic Union Bankshares Corp. 16,728 567
Banc of California, Inc. 6,556 116
BancFirst Corp. 4,513 432
Bancorp (The), Inc.* 7,140 139
Bank First Corp. 3,348 254
Bank of Hawaii Corp. 6,869 511
Bank of Marin Bancorp 3,624 115
Bank of NT Butterfield & Son (The) Ltd. 9,878 308
Bank of South Carolina Corp. 5,364 93
Bank7 Corp. 9,046 207
BankFinancial Corp. 1,787 17
BankUnited, Inc. 13,656 486
Bankwell Financial Group, Inc. 7,690 239
Banner Corp. 8,682 488
Bar Harbor Bankshares 1,937 50
BCB Bancorp, Inc. 508 9
Berkshire Bancorp, Inc.* 121 1
Brookline Bancorp, Inc. 23,044 307
Burke & Herbert Bank & Trust Co. 20 41
C&F Financial Corp. 467 21
Cadence Bank 35,390 831
Cambridge Bancorp 899 74
Camden National Corp. 3,943 174
Capital City Bank Group, Inc. 3,998 112
Cathay General Bancorp 16,098 630
CBTX, Inc. 3,740 99
 
EQUITY FUNDS    112    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Banks – 9.4%continued
Central Pacific Financial Corp. 675 $14
Citizens & Northern Corp. 774 19
City Holding Co. 3,893 311
Columbia Banking System, Inc. 13,283 381
Commercial National Financial Corp. 121 2
Community Bank System, Inc. 9,630 609
Community Financial (The) Corp. 3,455 127
Community Trust Bancorp, Inc. 2,938 119
ConnectOne Bancorp, Inc. 2,356 58
Customers Bancorp, Inc.* 7,254 246
CVB Financial Corp. 20,872 518
Dime Community Bancshares, Inc. 4,651 138
Eagle Bancorp, Inc. 6,743 320
Eagle Financial Services, Inc. 100 4
Eastern Bankshares, Inc. 25,191 465
Enterprise Bancorp, Inc. 2,022 65
Enterprise Financial Services Corp. 5,503 228
Equity Bancshares, Inc., Class A 3,418 100
FB Financial Corp. 2,445 96
Financial Institutions, Inc. 4,428 115
Finward Bancorp 689 26
First Bancorp 7,850 274
First BanCorp (New York Exchange) 30,494 394
First Bancorp (The), Inc. 825 25
First Bancshares (The), Inc. 4,919 141
First Busey Corp. 11,491 263
First Commonwealth Financial Corp. 29,559 397
First Community Bankshares, Inc. 1,777 52
First Financial Bankshares, Inc. 27,923 1,097
First Financial Corp. 2,764 123
First Financial Northwest, Inc. 699 11
First Foundation, Inc. 5,309 109
First Hawaiian, Inc. 19,224 437
First Internet Bancorp 1,662 61
First Interstate BancSystem, Inc., Class A 18,179 693
First Merchants Corp. 10,676 380
First Mid Bancshares, Inc. 37 1
First Northwest Bancorp 521 8
First of Long Island (The) Corp. 3,635 64
First Savings Financial Group, Inc. 9,378 225
First United Corp. 7,959 149
Flushing Financial Corp. 4,414 94
FNB Corp. 59,010 641
Fulton Financial Corp. 29,237 422
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Banks – 9.4%continued
German American Bancorp, Inc. 5,454 $186
Glacier Bancorp, Inc. 19,238 912
Great Southern Bancorp, Inc. 1,715 100
Hancock Whitney Corp. 17,099 758
Hanmi Financial Corp. 3,790 85
Hawthorn Bancshares, Inc. 1,457 37
Heartland Financial U.S.A., Inc. 5,911 246
Heritage Financial Corp. 8,306 209
Hilltop Holdings, Inc. 14,689 392
Home BancShares, Inc. 28,504 592
HomeStreet, Inc. 4,275 148
HomeTrust Bancshares, Inc. 1,342 34
Hope Bancorp, Inc. 22,426 310
Independent Bank Corp. 9,590 762
Independent Bank Group, Inc. 10,601 720
International Bancshares Corp. 12,561 503
Investar Holding Corp. 10,430 228
Lakeland Bancorp, Inc. 7,540 110
Lakeland Financial Corp. 4,841 322
Landmark Bancorp, Inc. 1,393 35
Malvern Bancorp, Inc.(1) * 9
Mercantile Bank Corp. 5,228 167
Meta Financial Group, Inc. 10,324 399
Metropolitan Bank Holding Corp.* 200 14
MidWestOne Financial Group, Inc. 564 17
National Bank Holdings Corp., Class A 6,425 246
National Bankshares, Inc. 1,755 55
NBT Bancorp, Inc. 10,737 404
Nicolet Bankshares, Inc.* 3,099 224
Northrim BanCorp, Inc. 1,649 66
Norwood Financial Corp. 1,084 26
OceanFirst Financial Corp. 9,536 182
OFG Bancorp 6,948 176
Ohio Valley Banc Corp. 745 22
Old National Bancorp 28,039 415
Old Second Bancorp, Inc. 2,613 35
Pacific Premier Bancorp, Inc. 20,275 593
PacWest Bancorp 17,900 477
Park National Corp. 3,044 369
Peapack-Gladstone Financial Corp. 4,259 126
Penns Woods Bancorp, Inc. 150 3
Peoples Bancorp, Inc. 6,468 172
Peoples Financial Corp. 236 4
Peoples Financial Services Corp. 413 23
 
NORTHERN FUNDS QUARTERLY REPORT     113    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Banks – 9.4%continued
Preferred Bank 3,911 $266
Premier Financial Corp. 10,223 259
Primis Financial Corp. 669 9
QCR Holdings, Inc. 2,188 118
Renasant Corp. 12,295 354
Republic Bancorp, Inc., Class A 4,135 200
Republic First Bancorp, Inc.* 3,187 12
Sandy Spring Bancorp, Inc. 5,278 206
Seacoast Banking Corp. of Florida 10,821 358
ServisFirst Bancshares, Inc. 13,098 1,034
Shore Bancshares, Inc. 1,492 28
Sierra Bancorp 810 18
Silvergate Capital Corp., Class A* 3,315 177
Simmons First National Corp., Class A 19,404 413
Southern BancShares NC, Inc. 5 23
Southern First Bancshares, Inc.* 4,590 200
Southside Bancshares, Inc. 5,055 189
Stock Yards Bancorp, Inc. 6,372 381
Texas Capital Bancshares, Inc.* 7,142 376
Tompkins Financial Corp. 3,473 250
Towne Bank 10,289 279
TriCo Bancshares 5,072 231
Triumph Bancorp, Inc.* 6,479 405
Trustmark Corp. 12,934 378
UMB Financial Corp. 8,869 764
Umpqua Holdings Corp. 32,483 545
Union Bankshares, Inc. 5,790 151
United Bancorp, Inc. 498 8
United Bankshares, Inc. 19,045 668
United Community Banks, Inc. 15,328 463
Univest Financial Corp. 5,330 136
Valley National Bancorp 58,734 611
Veritex Holdings, Inc. 8,287 242
Virginia National Bankshares Corp. 105 3
Washington Trust Bancorp, Inc. 3,261 158
WesBanco, Inc. 15,264 484
West BanCorp, Inc. 2,798 68
Westamerica BanCorp 6,194 345
    39,805
Beverages – 0.5%
Celsius Holdings, Inc.* 6,497 424
Coca-Cola Consolidated, Inc. 1,593 898
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Beverages – 0.5%continued
MGP Ingredients, Inc. 3,455 $346
National Beverage Corp. 6,954 340
    2,008
Biotechnology – 4.5%
2seventy bio, Inc.* 3,756 50
Acumen Pharmaceuticals, Inc.* 1,062 5
ADMA Biologics, Inc.* 22,321 44
Affimed N.V.* 9,905 27
Akebia Therapeutics, Inc.* 24,361 9
Akero Therapeutics, Inc.* 4,153 39
Albireo Pharma, Inc.* 7,574 150
Alector, Inc.* 6,697 68
Alkermes PLC* 26,782 798
Allogene Therapeutics, Inc.* 11,402 130
Allovir, Inc.* 2,098 8
Altimmune, Inc.* 13,346 156
Amicus Therapeutics, Inc.* 63,001 677
AnaptysBio, Inc.* 11,208 228
Anavex Life Sciences Corp.* 11,604 116
Anika Therapeutics, Inc.* 5,546 124
Anixa Biosciences, Inc.* 3,567 11
Applied Molecular Transport, Inc.* 6,595 19
Arcus Biosciences, Inc.* 10,399 264
Arcutis Biotherapeutics, Inc.* 4,906 105
Ardelyx, Inc.* 9,301 5
Assembly Biosciences, Inc.* 549 1
Atara Biotherapeutics, Inc.* 11,811 92
Aurinia Pharmaceuticals, Inc.* 21,041 211
Avid Bioservices, Inc.* 9,337 142
Avidity Biosciences, Inc.* 4,917 71
Bioxcel Therapeutics, Inc.* 7,716 102
Bluebird Bio, Inc.* 11,269 47
Calyxt, Inc.* 5,877 1
Capricor Therapeutics, Inc.* 23,578 82
CASI Pharmaceuticals, Inc.* 3,766 11
Catalyst Pharmaceuticals, Inc.* 34,533 242
Celcuity, Inc.* 9,194 84
Celldex Therapeutics, Inc.* 5,217 141
Coherus Biosciences, Inc.* 11,714 85
Concert Pharmaceuticals, Inc.* 20,813 88
Crinetics Pharmaceuticals, Inc.* 4,837 90
Cue Biopharma, Inc.* 1,743 4
Curis, Inc.* 11,480 11
Cytokinetics, Inc.* 12,074 474
 
EQUITY FUNDS    114    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Biotechnology – 4.5%continued
Deciphera Pharmaceuticals, Inc.* 6,359 $84
DermTech, Inc.* 7,118 39
DiaMedica Therapeutics, Inc.* 21,056 43
Dyadic International, Inc.* 16,460 50
Dynavax Technologies Corp.* 19,064 240
Eagle Pharmaceuticals, Inc.* 2,149 95
Eiger BioPharmaceuticals, Inc.* 20,040 126
Emergent BioSolutions, Inc.* 10,525 327
Enanta Pharmaceuticals, Inc.* 5,556 263
Essa Pharma, Inc.* 4,375 14
Evelo Biosciences, Inc.* 9,413 20
Forma Therapeutics Holdings, Inc.* 2,747 19
G1 Therapeutics, Inc.* 11,767 58
Geron Corp.* 7,700 12
GlycoMimetics, Inc.* 7,284 4
Gossamer Bio, Inc.* 29,442 246
Graphite Bio, Inc.* 9,037 25
Halozyme Therapeutics, Inc.* 23,574 1,037
Harpoon Therapeutics, Inc.* 5,932 11
Heron Therapeutics, Inc.* 7,810 22
Homology Medicines, Inc.* 8,100 16
Ideaya Biosciences, Inc.* 5,366 74
IGM Biosciences, Inc.* 9,179 165
Imago Biosciences, Inc.* 5,449 73
Immatics N.V.* 10,233 89
ImmuCell Corp.* 2,514 22
Immuneering Corp., Class A* 567 3
Immunic, Inc.* 7,815 27
ImmunoGen, Inc.* 31,399 141
Inhibrx, Inc.* 2,948 33
Insmed, Inc.* 17,236 340
Intellia Therapeutics, Inc.* 11,263 583
Ironwood Pharmaceuticals, Inc.* 43,281 499
iTeos Therapeutics, Inc.* 7,702 159
IVERIC bio, Inc.* 14,486 139
KalVista Pharmaceuticals, Inc.* 18,655 184
Karyopharm Therapeutics, Inc.* 12,037 54
Keros Therapeutics, Inc.* 2,652 73
Kronos Bio, Inc.* 6,246 23
Krystal Biotech, Inc.* 3,094 203
Kura Oncology, Inc.* 17,730 325
La Jolla Pharmaceutical Co.* 1,889 6
Lexicon Pharmaceuticals, Inc.* 3,347 6
Ligand Pharmaceuticals, Inc.* 4,590 410
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Biotechnology – 4.5%continued
MacroGenics, Inc.* 10,996 $32
Magenta Therapeutics, Inc.* 10,083 12
MannKind Corp.* 38,117 145
MediciNova, Inc.* 27,967 71
MeiraGTx Holdings PLC* 13,802 104
Merrimack Pharmaceuticals, Inc.* 261 2
Mersana Therapeutics, Inc.* 10,039 46
Merus N.V.* 12,616 286
MiMedx Group, Inc.* 16,968 59
Mirati Therapeutics, Inc.* 258 17
Mirum Pharmaceuticals, Inc.* 13,541 264
Monopar Therapeutics, Inc.* 13,197 29
Morphic Holding, Inc.* 4,949 107
Myriad Genetics, Inc.* 20,081 365
Natera, Inc.* 13,800 489
Nkarta, Inc.* 6,299 78
Northwest Biotherapeutics, Inc.* 102,918 65
Omega Therapeutics, Inc.* 2,302 9
Organogenesis Holdings, Inc.* 8,883 43
ORIC Pharmaceuticals, Inc.* 6,894 31
Oyster Point Pharma, Inc.* 3,410 15
PDL BioPharma, Inc.(2) * 24,608 38
Praxis Precision Medicines, Inc.* 17,252 42
Precision BioSciences, Inc.* 11,667 19
Protagonist Therapeutics, Inc.* 5,830 46
Prothena Corp. PLC* 9,209 250
Radius Health, Inc.* 8,494 88
RAPT Therapeutics, Inc.* 5,042 92
REGENXBIO, Inc.* 6,433 159
Repare Therapeutics, Inc.* 3,977 56
Replimune Group, Inc.* 8,500 149
Rezolute, Inc.* 11,535 37
Rhythm Pharmaceuticals, Inc.* 9,262 38
Rigel Pharmaceuticals, Inc.* 23,489 27
Rocket Pharmaceuticals, Inc.* 621 9
Sage Therapeutics, Inc.* 11,972 387
Sangamo Therapeutics, Inc.* 23,430 97
Savara, Inc.* 3,800 6
Sierra Oncology, Inc.* 14,288 786
Sinovac Biotech Ltd.(2) * 1,587
Spectrum Pharmaceuticals, Inc.* 16,231 13
Spero Therapeutics, Inc.* 6,662 5
SpringWorks Therapeutics, Inc.* 8,616 212
Sutro Biopharma, Inc.* 2,807 15
 
NORTHERN FUNDS QUARTERLY REPORT     115    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Biotechnology – 4.5%continued
Syndax Pharmaceuticals, Inc.* 12,635 $243
TCR2 Therapeutics, Inc.* 5,608 16
Tenaya Therapeutics, Inc.* 6,645 37
Ultragenyx Pharmaceutical, Inc.* 12,472 744
uniQure N.V.* 7,505 140
UroGen Pharma Ltd.* 7,653 63
Vanda Pharmaceuticals, Inc.* 10,706 117
Vaxart, Inc.* 13,350 47
Vaxcyte, Inc.* 5,701 124
VBI Vaccines, Inc.* 29,902 24
Veracyte, Inc.* 12,530 249
Vericel Corp.* 8,414 212
Viking Therapeutics, Inc.* 2,902 8
Viridian Therapeutics, Inc.* 8,353 97
Voyager Therapeutics, Inc.* 10,460 62
XBiotech, Inc. 6,970 39
Xencor, Inc.* 10,490 287
Xenon Pharmaceuticals, Inc.* 8,453 257
XOMA Corp.* 8,660 193
    19,193
Building Products – 1.4%
AAON, Inc. 8,514 466
American Woodmark Corp.* 2,921 132
Apogee Enterprises, Inc. 6,986 274
AZEK (The) Co., Inc.* 19,500 326
Caesarstone Ltd. 6,170 56
Cornerstone Building Brands, Inc.* 262 6
CSW Industrials, Inc. 2,694 278
Gibraltar Industries, Inc.* 7,085 275
Griffon Corp. 10,835 304
Insteel Industries, Inc. 6,120 206
JELD-WEN Holding, Inc.* 13,490 197
Masonite International Corp.* 5,388 414
PGT Innovations, Inc.* 13,897 231
Quanex Building Products Corp. 6,083 138
Resideo Technologies, Inc.* 24,925 484
Simpson Manufacturing Co., Inc. 8,935 899
UFP Industries, Inc. 12,705 866
Zurn Water Solutions Corp. 21,363 582
    6,134
Capital Markets – 2.0%
ArrowMark Financial Corp. 3,639 70
Artisan Partners Asset Management, Inc., Class A 8,711 310
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Capital Markets – 2.0%continued
Associated Capital Group, Inc., Class A 2,828 $101
B. Riley Financial, Inc. 1,727 73
BGC Partners, Inc., Class A 52,979 179
Blucora, Inc.* 9,414 174
Cohen & Steers, Inc. 5,578 355
Cowen, Inc., Class A 291 7
Diamond Hill Investment Group, Inc. 948 165
Donnelley Financial Solutions, Inc.(1) * 1
Evercore, Inc., Class A 6,870 643
Federated Hermes, Inc. 17,133 545
Freedom Holding Corp.* 5,339 237
GAMCO Investors, Inc., Class A 5,069 106
Hamilton Lane, Inc., Class A 5,432 365
Hercules Capital, Inc. 22,011 297
Houlihan Lokey, Inc. 8,060 636
Lazard Ltd., Class A 14,600 473
Main Street Capital Corp. 10,963 422
Moelis & Co., Class A 11,731 462
Piper Sandler Cos. 4,017 455
PJT Partners, Inc., Class A 4,546 319
Prospect Capital Corp. 51,627 361
Pzena Investment Management, Inc., Class A 4,621 30
Safeguard Scientifics, Inc.* 826 3
Saratoga Investment Corp. 4,223 101
Siebert Financial Corp.* 919 1
Sixth Street Specialty Lending, Inc. 10,111 187
StoneX Group, Inc.* 4,261 333
Victory Capital Holdings, Inc., Class A 12,435 300
Virtu Financial, Inc., Class A 15,400 360
Virtus Investment Partners, Inc. 1,187 203
Westwood Holdings Group, Inc. 496 7
WisdomTree Investments, Inc. 4,036 20
    8,300
Chemicals – 2.5%
Advanced Emissions Solutions, Inc.* 838 4
AdvanSix, Inc. 4,801 161
American Vanguard Corp. 4,002 90
Aspen Aerogels, Inc.* 5,000 49
Avient Corp. 16,042 643
Balchem Corp. 6,581 854
Cabot Corp. 11,634 742
Chase Corp. 2,575 200
Element Solutions, Inc. 33,466 596
 
EQUITY FUNDS    116    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Chemicals – 2.5%continued
FutureFuel Corp. 7,054 $51
GCP Applied Technologies, Inc.* 9,787 306
H.B. Fuller Co. 13,178 794
Hawkins, Inc. 8,250 297
Ingevity Corp.* 8,478 535
Innospec, Inc. 4,935 473
Koppers Holdings, Inc. 8,542 193
Kronos Worldwide, Inc. 700 13
Livent Corp.* 29,213 663
LSB Industries, Inc.(1) * 24
Minerals Technologies, Inc. 7,839 481
NewMarket Corp. 1,064 320
Orion Engineered Carbons S.A. 8,740 136
Quaker Chemical Corp. 3,960 592
Schweitzer-Mauduit International, Inc. 9,250 232
Sensient Technologies Corp. 9,158 738
Stepan Co. 4,987 505
Tredegar Corp. 6,521 65
Trinseo PLC 10,424 401
Tronox Holdings PLC, Class A 20,456 344
    10,478
Commercial Services & Supplies – 1.5%
ABM Industries, Inc. 12,892 560
ACCO Brands Corp. 20,762 136
Brady Corp., Class A 10,478 495
Brink's (The) Co. 9,921 602
Casella Waste Systems, Inc., Class A* 8,947 650
CECO Environmental Corp.* 206 1
Cimpress PLC* 5,283 206
CompX International, Inc.(1) 1
CoreCivic, Inc.* 22,505 250
Deluxe Corp. 7,361 160
Ennis, Inc. 4,775 97
Healthcare Services Group, Inc. 15,610 272
Heritage-Crystal Clean, Inc.* 508 14
HNI Corp. 8,343 289
Interface, Inc. 9,636 121
KAR Auction Services, Inc.* 26,692 394
Kimball International, Inc., Class B 3,682 28
Matthews International Corp., Class A 5,352 153
MillerKnoll, Inc. 16,542 435
NL Industries, Inc. 100 1
Pitney Bowes, Inc. 29,108 105
Quad/Graphics, Inc.* 254 1
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Commercial Services & Supplies – 1.5%continued
SP Plus Corp.* 4,529 $139
Steelcase, Inc., Class A 17,115 184
Tetra Tech, Inc. 1,456 199
UniFirst Corp. 3,033 522
Viad Corp.* 4,561 126
Virco Mfg. Corp.* 1,676 6
VSE Corp. 4,716 177
    6,323
Communications Equipment – 1.0%
ADTRAN, Inc. 9,824 172
Applied Optoelectronics, Inc.* 5,804 9
AudioCodes Ltd. 5,523 122
Aviat Networks, Inc.* 2,996 75
BK Technologies Corp. 1,835 5
CalAmp Corp.* 2,461 10
Calix, Inc.* 6,758 231
Clearfield, Inc.* 4,684 290
CommScope Holding Co., Inc.* 37,663 230
Comtech Telecommunications Corp. 7,170 65
Digi International, Inc.* 9,001 218
EMCORE Corp.* 12,695 39
Extreme Networks, Inc.* 13,970 125
Harmonic, Inc.* 13,082 113
Infinera Corp.* 17,187 92
Inseego Corp.* 3,235 6
Ituran Location and Control Ltd. 4,071 100
KVH Industries, Inc.* 6,178 54
NETGEAR, Inc.* 5,981 111
NetScout Systems, Inc.* 14,721 498
PCTEL, Inc.* 14,020 57
Plantronics, Inc.* 6,954 276
Radware Ltd.* 7,520 163
Silicom Ltd.* 5,262 177
Viasat, Inc.* 9,828 301
Viavi Solutions, Inc.* 40,274 533
    4,072
Construction & Engineering – 1.4%
Ameresco, Inc., Class A* 5,500 251
API Group Corp.(3) * 31,157 466
Arcosa, Inc. 10,230 475
Argan, Inc. 4,104 153
Comfort Systems U.S.A., Inc. 10,092 839
Dycom Industries, Inc.* 5,758 536
 
NORTHERN FUNDS QUARTERLY REPORT     117    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Construction & Engineering – 1.4%continued
EMCOR Group, Inc. 10,544 $1,086
Fluor Corp.* 25,024 609
Granite Construction, Inc. 11,015 321
Great Lakes Dredge & Dock Corp.* 4,135 54
IES Holdings, Inc.* 1,476 44
Matrix Service Co.* 3,570 18
MYR Group, Inc.* 3,319 292
Northwest Pipe Co.* 5,235 157
NV5 Global, Inc.* 2,756 322
Primoris Services Corp. 7,161 156
Sterling Infrastructure, Inc.* 7,763 170
Tutor Perini Corp.* 2,067 18
WillScot Mobile Mini Holdings Corp.* 5,577 181
    6,148
Construction Materials – 0.2%
Summit Materials, Inc., Class A* 26,977 628
United States Lime & Minerals, Inc. 1,409 149
    777
Consumer Finance – 0.8%
Atlanticus Holdings Corp.* 1,361 48
Curo Group Holdings Corp. 193 1
Encore Capital Group, Inc.* 7,077 409
Enova International, Inc.* 5,073 146
EZCORP, Inc., Class A* 2,900 22
FirstCash Holdings, Inc. 8,309 578
Green Dot Corp., Class A* 11,622 292
LendingClub Corp.* 9,389 110
Navient Corp. 34,846 487
Nelnet, Inc., Class A 7,037 600
PRA Group, Inc.* 10,543 383
PROG Holdings, Inc.* 14,922 246
Regional Management Corp. 300 11
World Acceptance Corp.* 1,716 193
    3,526
Containers & Packaging – 0.4%
Greif, Inc., Class A 5,079 317
Myers Industries, Inc. 3,648 83
O-I Glass, Inc.* 23,511 329
Silgan Holdings, Inc. 11,649 482
TriMas Corp. 9,908 274
    1,485
Distributors – 0.0%
Weyco Group, Inc. 3,226 79
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Diversified Consumer Services – 0.8%
2U, Inc.* 11,932 $125
Adtalem Global Education, Inc.* 13,235 476
Afya Ltd., Class A* 17,646 176
American Public Education, Inc.* 5,334 86
Chegg, Inc.* 18,900 355
Graham Holdings Co., Class B 960 544
Grand Canyon Education, Inc.* 7,690 724
Laureate Education, Inc. 20,753 240
Perdoceo Education Corp.* 9,982 118
Strategic Education, Inc. 4,401 311
Stride, Inc.* 6,608 269
WW International, Inc.* 7,993 51
    3,475
Diversified Financial Services – 0.2%
A-Mark Precious Metals, Inc. 10,202 329
Banco Latinoamericano de Comercio Exterior S.A., Class E 7,766 103
California First Leasing Corp. 1,558 27
Cannae Holdings, Inc.* 13,391 259
Jackson Financial, Inc., Class A 11,600 310
    1,028
Diversified Telecommunication Services – 0.5%
Anterix, Inc.* 5,005 206
ATN International, Inc. 2,889 135
Bandwidth, Inc., Class A* 3,251 61
Cogent Communications Holdings, Inc. 7,953 483
Consolidated Communications Holdings, Inc.* 12,083 85
IDT Corp., Class B* 5,201 131
Iridium Communications, Inc.* 21,876 822
Liberty Latin America Ltd., Class C* 16,292 127
LICT Corp.* 6 134
Telesat Corp.* 2,945 33
    2,217
Electric Utilities – 0.9%
ALLETE, Inc. 12,644 743
MGE Energy, Inc. 8,837 688
Otter Tail Corp. 10,738 721
PNM Resources, Inc. 15,192 726
Portland General Electric Co. 19,584 946
    3,824
Electrical Equipment – 0.7%
Allied Motion Technologies, Inc. 4,380 100
 
EQUITY FUNDS    118    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Electrical Equipment – 0.7%continued
Atkore, Inc.* 9,262 $769
AZZ, Inc. 4,963 202
Encore Wire Corp. 4,096 426
EnerSys 8,340 492
GrafTech International Ltd. 29,433 208
Powell Industries, Inc. 4,638 108
Preformed Line Products Co. 1,994 123
Thermon Group Holdings, Inc.* 3,319 47
TPI Composites, Inc.* 6,099 76
Ultralife Corp.* 846 4
Vicor Corp.* 6,126 335
    2,890
Electronic Equipment, Instruments & Components – 2.7%
Advanced Energy Industries, Inc. 6,971 509
Arlo Technologies, Inc.* 3,150 20
Avnet, Inc. 15,777 677
Badger Meter, Inc. 5,704 461
Bel Fuse, Inc., Class B 2,854 44
Belden, Inc. 7,441 396
Benchmark Electronics, Inc. 9,244 209
CTS Corp. 5,143 175
Daktronics, Inc.* 2,559 8
ePlus, Inc.* 10,288 546
Fabrinet* 8,222 667
FARO Technologies, Inc.* 3,753 116
Frequency Electronics, Inc.* 6,758 49
Hollysys Automation Technologies Ltd. 9,246 137
II-VI, Inc.* 16,595 845
Insight Enterprises, Inc.* 9,112 786
Itron, Inc.* 8,857 438
Kimball Electronics, Inc.* 5,368 108
Knowles Corp.* 14,968 259
Methode Electronics, Inc. 7,243 268
nLight, Inc.* 11,607 119
Novanta, Inc.* 7,154 868
OSI Systems, Inc.* 5,442 465
PAR Technology Corp.* 3,629 136
PC Connection, Inc. 6,667 294
Plexus Corp.* 6,246 490
Rogers Corp.* 3,630 951
Sanmina Corp.* 13,470 549
ScanSource, Inc.* 4,800 149
TTM Technologies, Inc.* 12,856 161
Vishay Intertechnology, Inc. 21,667 386
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Electronic Equipment, Instruments & Components – 2.7%continued
Vishay Precision Group, Inc.* 6,945 $202
Wayside Technology Group, Inc. 5,770 192
    11,680
Energy Equipment & Services – 1.4%
Bristow Group, Inc.* 6,760 158
Cactus, Inc., Class A 11,256 453
ChampionX Corp. 33,160 658
DMC Global, Inc.* 5,585 101
Dril-Quip, Inc.* 6,539 169
ENGlobal Corp.* 6,201 6
Exterran Corp.* 8,734 38
Geospace Technologies Corp.* 9,097 43
Gulf Island Fabrication, Inc.* 5,334 18
Helix Energy Solutions Group, Inc.* 38,160 118
Helmerich & Payne, Inc. 18,091 779
Liberty Energy, Inc.* 25,100 320
MIND Technology, Inc.* 3,700 3
Nabors Industries Ltd.* 1,858 249
Natural Gas Services Group, Inc.* 6,526 72
NexTier Oilfield Solutions, Inc.* 21,313 203
Oceaneering International, Inc.* 17,607 188
Patterson-UTI Energy, Inc. 41,605 656
ProPetro Holding Corp.* 5,315 53
Solaris Oilfield Infrastructure, Inc., Class A 7,129 78
TechnipFMC PLC* 74,113 499
TETRA Technologies, Inc.* 12,106 49
Tidewater, Inc.* 9,460 199
Transocean Ltd.* 100,322 334
U.S. Silica Holdings, Inc.* 9,033 103
Valaris Ltd.* 10,600 448
    5,995
Entertainment – 0.3%
IMAX Corp.* 6,960 118
Liberty Media Corp.-Liberty Braves, Class C* 20,339 488
Lions Gate Entertainment Corp., Class A* 13,669 127
LiveOne, Inc.* 5,784 5
Marcus (The) Corp.* 2,354 35
Reading International, Inc., Class A* 4,251 15
Sciplay Corp., Class A* 23,578 329
    1,117
 
NORTHERN FUNDS QUARTERLY REPORT     119    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Equity Real Estate Investment Trusts – 6.4%
Acadia Realty Trust 16,922 $264
Agree Realty Corp. 13,545 977
Alexander & Baldwin, Inc. 12,703 228
Alexander's, Inc. 675 150
American Assets Trust, Inc. 8,841 263
Apple Hospitality REIT, Inc. 41,368 607
Armada Hoffler Properties, Inc. 5,384 69
Bluerock Residential Growth REIT, Inc. 9,023 237
Braemar Hotels & Resorts, Inc. 4,823 21
Brandywine Realty Trust 32,903 317
Broadstone Net Lease, Inc. 23,865 489
BRT Apartments Corp. 3,060 66
CareTrust REIT, Inc. 18,591 343
CatchMark Timber Trust, Inc., Class A 14,836 149
Cedar Realty Trust, Inc. 8,497 245
Centerspace 2,005 163
Chatham Lodging Trust* 6,946 73
City Office REIT, Inc. 14,297 185
Community Healthcare Trust, Inc. 4,448 161
Corporate Office Properties Trust 18,959 497
Creative Media & Community Trust Corp. 934 7
CTO Realty Growth, Inc. 3,955 242
DiamondRock Hospitality Co.* 43,889 360
Diversified Healthcare Trust 37,810 69
Easterly Government Properties, Inc. 13,897 265
EastGroup Properties, Inc. 7,544 1,164
Empire State Realty Trust, Inc., Class A 25,370 178
EPR Properties 12,463 585
Equity Commonwealth* 19,755 544
Essential Properties Realty Trust, Inc. 16,583 356
Four Corners Property Trust, Inc. 15,463 411
Franklin Street Properties Corp. 16,025 67
Getty Realty Corp. 7,316 194
Gladstone Commercial Corp. 7,214 136
Gladstone Land Corp. 15,568 345
Global Medical REIT, Inc. 9,766 110
Global Net Lease, Inc. 19,328 274
Healthcare Realty Trust, Inc. 28,169 766
Hersha Hospitality Trust* 8,591 84
Hudson Pacific Properties, Inc. 24,793 368
Independence Realty Trust, Inc. 17,068 354
Indus Realty Trust, Inc. 3,615 215
Industrial Logistics Properties Trust 11,002 155
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Equity Real Estate Investment Trusts – 6.4%continued
InvenTrust Properties Corp. 12,300 $317
iStar, Inc. 18,471 253
JBG SMITH Properties 20,948 495
Kite Realty Group Trust 37,771 653
LTC Properties, Inc. 8,246 317
LXP Industrial Trust 44,784 481
Macerich (The) Co. 27,878 243
National Health Investors, Inc. 8,281 502
National Storage Affiliates Trust 11,121 557
Necessity Retail REIT (The), Inc. 19,848 144
NexPoint Residential Trust, Inc. 3,894 243
One Liberty Properties, Inc. 6,319 164
Outfront Media, Inc. 28,323 480
Paramount Group, Inc. 34,100 247
Pebblebrook Hotel Trust 25,326 420
Phillips Edison & Co., Inc. 20,800 695
Physicians Realty Trust 37,247 650
Piedmont Office Realty Trust, Inc., Class A 23,603 310
Plymouth Industrial REIT, Inc. 5,859 103
PotlatchDeltic Corp. 12,820 567
PS Business Parks, Inc. 4,010 750
Retail Opportunity Investments Corp. 21,774 344
RLJ Lodging Trust 34,226 377
RPT Realty 16,207 159
Sabra Health Care REIT, Inc. 40,271 563
Saul Centers, Inc. 2,379 112
Service Properties Trust 32,177 168
SITE Centers Corp. 22,978 309
Sotherly Hotels, Inc.* 2,334 4
STAG Industrial, Inc. 27,858 860
Summit Hotel Properties, Inc.* 13,482 98
Sunstone Hotel Investors, Inc.* 44,683 443
Tanger Factory Outlet Centers, Inc. 15,238 217
Terreno Realty Corp. 13,566 756
UMH Properties, Inc. 8,454 149
Urban Edge Properties 21,578 328
Urstadt Biddle Properties, Inc., Class A 8,986 146
Veris Residential, Inc.* 14,792 196
Washington Real Estate Investment Trust 14,745 314
Whitestone REIT 10,730 115
Xenia Hotels & Resorts, Inc.* 20,800 302
    27,304
 
EQUITY FUNDS    120    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Food & Staples Retailing – 1.1%
Andersons (The), Inc. 4,166 $137
BJ's Wholesale Club Holdings, Inc.* 3,404 212
Chefs' Warehouse (The), Inc.* 1,575 61
Grocery Outlet Holding Corp.* 14,584 622
Ingles Markets, Inc., Class A 5,769 501
Performance Food Group Co.* 28,644 1,317
PriceSmart, Inc. 4,320 309
Rite Aid Corp.* 8,565 58
SpartanNash Co. 7,251 219
Sprouts Farmers Market, Inc.* 25,358 642
United Natural Foods, Inc.* 7,327 289
Village Super Market, Inc., Class A 1,471 34
Weis Markets, Inc. 4,874 363
    4,764
Food Products – 1.5%
Adecoagro S.A. 1,368 12
Alico, Inc. 6,440 229
B&G Foods, Inc. 13,863 330
Bridgford Foods Corp.* 3,905 51
Calavo Growers, Inc. 2,990 125
Cal-Maine Foods, Inc. 7,729 382
Farmer Bros. Co.* 6,412 30
Fresh Del Monte Produce, Inc. 4,310 127
Hain Celestial Group (The), Inc.* 14,054 334
Hostess Brands, Inc.* 25,018 531
J&J Snack Foods Corp. 3,505 490
John B. Sanfilippo & Son, Inc. 1,422 103
Lancaster Colony Corp. 4,081 526
Landec Corp.* 3,059 30
Sanderson Farms, Inc. 4,624 997
Seaboard Corp. 133 516
Seneca Foods Corp., Class A* 3,840 213
Simply Good Foods (The) Co.* 17,069 645
Tootsie Roll Industries, Inc. 11,240 397
TreeHouse Foods, Inc.* 8,618 360
    6,428
Gas Utilities – 1.3%
Chesapeake Utilities Corp. 4,470 579
Macquarie Infrastructure Holdings LLC 12,728 50
New Jersey Resources Corp. 20,889 930
Northwest Natural Holding Co. 8,011 425
ONE Gas, Inc. 12,021 976
RGC Resources, Inc. 921 18
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Gas Utilities – 1.3%continued
South Jersey Industries, Inc. 20,594 $703
Southwest Gas Holdings, Inc. 12,123 1,056
Spire, Inc. 11,838 880
    5,617
Health Care Equipment & Supplies – 4.2%
Accuray, Inc.* 1,300 3
Alphatec Holdings, Inc.* 18,668 122
AngioDynamics, Inc.* 11,304 219
Apollo Endosurgery, Inc.* 48,090 176
Apyx Medical Corp.* 4,253 25
Artivion, Inc.* 9,324 176
AtriCure, Inc.* 10,508 429
Atrion Corp. 263 165
Avanos Medical, Inc.* 12,640 346
Axogen, Inc.* 6,232 51
Axonics, Inc.* 8,126 460
Beyond Air, Inc.* 14,828 99
BioLife Solutions, Inc.* 10,867 150
BioSig Technologies, Inc.(1) * 500
Bioventus, Inc., Class A* 5,162 35
Cardiovascular Systems, Inc.* 12,577 181
Cerus Corp.* 49,955 264
Chembio Diagnostics, Inc.* 13,839 9
CONMED Corp. 6,040 578
CryoPort, Inc.* 5,949 184
Cutera, Inc.* 7,818 293
Daxor Corp.(1) * 37
Electromed, Inc.* 5,043 49
Enovis Corp.* 8,100 445
Establishment Labs Holdings, Inc.* 5,022 273
FONAR Corp.* 9,642 146
Glaukos Corp.* 7,237 329
Haemonetics Corp.* 8,175 533
Heska Corp.* 4,138 391
ICU Medical, Inc.* 3,216 529
Inari Medical, Inc.* 5,495 374
Inmode Ltd.* 12,652 284
Inogen, Inc.* 2,735 66
Integer Holdings Corp.* 8,177 578
Invacare Corp.* 3,727 5
iRadimed Corp. 7,647 260
Kewaunee Scientific Corp.* 2,502 41
Lantheus Holdings, Inc.* 13,187 871
LeMaitre Vascular, Inc. 10,133 462
 
NORTHERN FUNDS QUARTERLY REPORT     121    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Health Care Equipment & Supplies – 4.2%continued
LENSAR, Inc.* 1,867 $12
LivaNova PLC* 10,096 631
Meridian Bioscience, Inc.* 14,023 427
Merit Medical Systems, Inc.* 13,220 717
Mesa Laboratories, Inc. 817 167
Natus Medical, Inc.* 6,973 228
Neogen Corp.* 20,612 497
NuVasive, Inc.* 9,445 464
Omnicell, Inc.* 9,374 1,066
OraSure Technologies, Inc.* 18,029 49
Orthofix Medical, Inc.* 6,523 154
OrthoPediatrics Corp.* 3,161 136
Pro-Dex, Inc.* 5,339 86
Pulse Biosciences, Inc.* 17,697 27
Retractable Technologies, Inc.* 17,052 65
SeaSpine Holdings Corp.* 17,104 97
Semler Scientific, Inc.* 3,949 111
Shockwave Medical, Inc.* 5,626 1,076
SI-BONE, Inc.* 6,604 87
Sientra, Inc.(1) * 113
SmileDirectClub, Inc.* 21,260 22
STAAR Surgical Co.* 8,673 615
Surmodics, Inc.* 5,429 202
Tactile Systems Technology, Inc.* 1,991 15
TransMedics Group, Inc.* 9,992 314
UFP Technologies, Inc.* 3,815 304
Utah Medical Products, Inc. 3,298 283
Vapotherm, Inc.* 3,263 8
Varex Imaging Corp.* 6,055 130
ViewRay, Inc.* 21,928 58
Zynex, Inc. 9,864 79
    17,728
Health Care Providers & Services – 3.4%
1Life Healthcare, Inc.* 19,490 153
Acadia Healthcare Co., Inc.* 14,810 1,002
Addus HomeCare Corp.* 4,020 335
AlerisLife, Inc.* 3,314 4
Amedisys, Inc.* 5,170 543
AMN Healthcare Services, Inc.* 10,115 1,110
Apollo Medical Holdings, Inc.* 9,758 377
Brookdale Senior Living, Inc.* 40,343 183
CareMax, Inc.* 13,024 47
Castle Biosciences, Inc.* 2,669 59
Clover Health Investments Corp.* 66,876 143
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Health Care Providers & Services – 3.4%continued
Community Health Systems, Inc.* 20,815 $78
CorVel Corp.* 5,123 754
Covetrus, Inc.* 21,408 444
Cross Country Healthcare, Inc.* 13,345 278
Cryo-Cell International, Inc.* 750 4
Ensign Group (The), Inc. 12,711 934
Enzo Biochem, Inc.* 7,284 15
Fulgent Genetics, Inc.* 6,228 340
Global Cord Blood Corp.* 6,346 19
Hanger, Inc.* 6,922 99
HealthEquity, Inc.* 12,814 787
Joint (The) Corp.* 3,837 59
LHC Group, Inc.* 5,763 898
ModivCare, Inc.* 3,434 290
National HealthCare Corp. 4,345 304
National Research Corp. 3,538 135
OPKO Health, Inc.* 94,237 238
Option Care Health, Inc.* 20,876 580
Owens & Minor, Inc. 10,071 317
Patterson Cos., Inc. 23,245 704
Pennant Group (The), Inc.* 5,367 69
PetIQ, Inc.* 7,148 120
Premier, Inc., Class A 12,313 439
Progyny, Inc.* 10,474 304
R1 RCM, Inc.* 20,406 428
RadNet, Inc.* 9,282 160
Select Medical Holdings Corp. 24,358 575
Sonida Senior Living, Inc.* 35 1
Surgery Partners, Inc.* 12,793 370
Tenet Healthcare Corp.* 3,058 161
U.S. Physical Therapy, Inc. 3,436 375
    14,235
Health Care Technology – 0.8%
Allscripts Healthcare Solutions, Inc.* 36,281 538
American Well Corp., Class A* 32,483 140
CareCloud, Inc.* 13,493 46
Computer Programs and Systems, Inc.* 9,221 295
Evolent Health, Inc., Class A* 20,075 617
HealthStream, Inc.* 4,785 104
Inspire Medical Systems, Inc.* 4,189 765
Multiplan Corp.* 64,732 355
NextGen Healthcare, Inc.* 11,447 200
 
EQUITY FUNDS    122    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Health Care Technology – 0.8%continued
OptimizeRx Corp.* 5,220 $143
Simulations Plus, Inc. 4,666 230
    3,433
Hotels, Restaurants & Leisure – 1.6%
Arcos Dorados Holdings, Inc., Class A 37,841 255
BBQ Holdings, Inc.* 174 2
Biglari Holdings, Inc., Class B* 860 105
BJ's Restaurants, Inc.* 5,545 120
Brinker International, Inc.* 5,700 126
Carrols Restaurant Group, Inc. 300 1
Chuy's Holdings, Inc.* 2,743 55
Cracker Barrel Old Country Store, Inc. 5,094 425
Dave & Buster's Entertainment, Inc.* 10,795 354
Denny's Corp.* 15,386 134
Despegar.com Corp.* 7,242 59
Dine Brands Global, Inc. 2,219 144
Drive Shack, Inc.* 8,625 12
El Pollo Loco Holdings, Inc.(1) * 15
Everi Holdings, Inc.* 12,087 197
Fiesta Restaurant Group, Inc.* 1,335 9
Golden Entertainment, Inc.* 1,684 67
Hilton Grand Vacations, Inc.* 14,752 527
International Game Technology PLC 15,517 288
Jack in the Box, Inc. 4,405 247
Light & Wonder, Inc.* 16,135 758
Monarch Casino & Resort, Inc.* 932 55
Nathan's Famous, Inc. 1,507 88
Papa John's International, Inc. 5,135 429
Red Robin Gourmet Burgers, Inc.* 4,400 35
Red Rock Resorts, Inc., Class A 12,296 410
Ruth's Hospitality Group, Inc. 3,046 49
Shake Shack, Inc., Class A* 4,879 193
Texas Roadhouse, Inc. 13,167 964
Town Sports International Holdings, Inc.(1) * 1,105
Travel + Leisure Co. 15,550 604
    6,712
Household Durables – 1.4%
Beazer Homes U.S.A., Inc.* 5,187 63
Cavco Industries, Inc.* 1,953 383
Century Communities, Inc. 3,721 167
Ethan Allen Interiors, Inc. 4,433 90
Flexsteel Industries, Inc. 4,687 84
GoPro, Inc., Class A* 15,619 86
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Household Durables – 1.4%continued
Hamilton Beach Brands Holding Co., Class A 2,899 $36
Helen of Troy Ltd.* 4,955 805
Hooker Furnishings Corp. 1,660 26
Installed Building Products, Inc. 4,791 398
iRobot Corp.* 5,884 216
KB Home 16,240 462
La-Z-Boy, Inc. 9,887 234
Lifetime Brands, Inc. 587 6
M/I Homes, Inc.* 4,233 168
MDC Holdings, Inc. 11,995 388
Meritage Homes Corp.* 6,707 486
Nobility Homes, Inc. 876 25
Skyline Champion Corp.* 10,583 502
Sonos, Inc.* 17,546 317
Taylor Morrison Home Corp.* 24,700 577
Tri Pointe Homes, Inc.* 23,744 401
Universal Electronics, Inc.* 3,746 96
VOXX International Corp.* 1,446 13
    6,029
Household Products – 0.5%
Central Garden & Pet Co.* 200 9
Central Garden & Pet Co., Class A* 7,970 319
Energizer Holdings, Inc. 11,269 319
Oil-Dri Corp. of America 3,095 95
Spectrum Brands Holdings, Inc. 9,998 820
WD-40 Co. 2,758 555
    2,117
Independent Power & Renewable Electricity Producers – 0.4%
Atlantica Sustainable Infrastructure PLC 19,357 625
Brookfield Renewable Corp., Class A 8,309 296
Clearway Energy, Inc., Class A 1,131 36
Clearway Energy, Inc., Class C 17,743 618
    1,575
Insurance – 2.5%
Ambac Financial Group, Inc.* 8,441 96
American Equity Investment Life Holding Co. 21,966 803
AMERISAFE, Inc. 3,533 184
Argo Group International Holdings Ltd. 9,753 360
Assured Guaranty Ltd. 10,739 599
Atlantic American Corp. 6,792 18
Brighthouse Financial, Inc.* 12,728 522
 
NORTHERN FUNDS QUARTERLY REPORT     123    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Insurance – 2.5%continued
Citizens, Inc.* 6,196 $26
CNO Financial Group, Inc. 40,830 739
Donegal Group, Inc., Class A 5,400 92
Employers Holdings, Inc. 9,617 403
Enstar Group Ltd.* 1,757 376
Genworth Financial, Inc., Class A* 70,088 247
Greenlight Capital Re Ltd., Class A* 14,699 114
Investors Title Co. 692 109
Kansas City Life Insurance Co. 1,868 61
Kemper Corp. 9,900 474
Kinsale Capital Group, Inc. 3,907 897
MBIA, Inc.* 19,856 245
Mercury General Corp. 4,489 199
National Western Life Group, Inc., Class A 957 194
Palomar Holdings, Inc.* 3,708 239
ProAssurance Corp. 13,273 314
RLI Corp. 8,246 961
Safety Insurance Group, Inc. 2,567 249
Selective Insurance Group, Inc. 11,377 989
SiriusPoint Ltd.* 15,911 86
SiriusPoint Ltd. (OTC US Exchange)* 463 4
Stewart Information Services Corp. 3,179 158
United Fire Group, Inc. 4,671 160
Universal Insurance Holdings, Inc. 4,946 64
White Mountains Insurance Group Ltd. 452 563
    10,545
Interactive Media & Services – 0.8%
Angi, Inc.* 83,900 384
Bumble, Inc., Class A* 14,300 402
Cargurus, Inc.* 16,036 345
Cars.com, Inc.* 6,293 59
EverQuote, Inc., Class A* 4,662 41
Liberty TripAdvisor Holdings, Inc., Class A* 6,201 5
Nextdoor Holdings, Inc.* 64,600 214
QuinStreet, Inc.* 17,418 175
Travelzoo* 5,357 32
TripAdvisor, Inc.* 17,000 303
Yelp, Inc.* 16,153 449
Ziff Davis, Inc.* 8,713 649
ZipRecruiter, Inc., Class A* 13,200 196
    3,254
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Internet & Direct Marketing Retail – 0.2%
1-800-Flowers.com, Inc., Class A* 8,770 $83
Liquidity Services, Inc.* 5,236 70
Overstock.com, Inc.* 4,821 121
PetMed Express, Inc. 4,787 95
Quotient Technology, Inc.* 6,947 21
Revolve Group, Inc.* 12,198 316
Shutterstock, Inc. 1,341 77
    783
IT Services – 1.6%
Actua Corp.(2) * 8,828
BM Technologies, Inc.* 1,134 7
Brightcove, Inc.* 9,262 59
Cass Information Systems, Inc. 3,083 104
Computer Services, Inc. 4,050 150
Computer Task Group, Inc.* 140 1
Conduent, Inc.* 28,170 122
CSG Systems International, Inc. 7,734 462
EVERTEC, Inc. 11,695 431
Evo Payments, Inc., Class A* 7,818 184
ExlService Holdings, Inc.* 6,300 928
Hackett Group (The), Inc. 10,003 190
I3 Verticals, Inc., Class A* 4,071 102
Information Services Group, Inc. 11,023 74
Marqeta, Inc., Class A* 67,100 544
Maximus, Inc. 15,859 991
Perficient, Inc.* 8,149 747
StarTek, Inc.* 835 2
Switch, Inc., Class A 6,344 212
TTEC Holdings, Inc. 4,282 291
Tucows, Inc., Class A* 1,705 76
Unisys Corp.* 4,568 55
Verra Mobility Corp.* 25,950 408
Wix.com Ltd.* 8,400 551
    6,691
Leisure Products – 0.4%
Acushnet Holdings Corp. 6,673 278
American Outdoor Brands, Inc.* 2,656 25
Callaway Golf Co.* 16,842 343
Clarus Corp. 5,413 103
Escalade, Inc. 5,211 68
Johnson Outdoors, Inc., Class A 3,349 205
Malibu Boats, Inc., Class A* 4,004 211
 
EQUITY FUNDS    124    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Leisure Products – 0.4%continued
Marine Products Corp. 7,809 $74
Sturm Ruger & Co., Inc. 2,776 177
    1,484
Life Sciences Tools & Services – 0.3%
Alpha Teknova, Inc.* 2,185 18
Champions Oncology, Inc.* 4,406 36
Codexis, Inc.* 10,004 105
Harvard Bioscience, Inc.* 17,208 62
Medpace Holdings, Inc.* 5,623 841
Nautilus Biotechnology, Inc.* 20,067 54
NeoGenomics, Inc.* 20,087 164
Personalis, Inc.* 7,563 26
Rapid Micro Biosystems, Inc., Class A* 2,571 11
Singular Genomics Systems, Inc.* 8,383 32
Standard BioTools, Inc.* 16,180 26
    1,375
Machinery – 3.9%
Alamo Group, Inc. 2,352 274
Albany International Corp., Class A 6,461 509
Altra Industrial Motion Corp. 14,397 507
Astec Industries, Inc. 5,770 235
Barnes Group, Inc. 11,794 367
Chart Industries, Inc.* 8,786 1,471
CIRCOR International, Inc.* 2,467 40
Columbus McKinnon Corp. 3,276 93
Conrad Industries, Inc.* 100 2
Douglas Dynamics, Inc. 4,546 131
Eastern (The) Co. 1,665 34
Enerpac Tool Group Corp. 12,541 239
EnPro Industries, Inc. 4,031 330
Esab Corp. 8,700 381
ESCO Technologies, Inc. 5,707 390
Evoqua Water Technologies Corp.* 14,958 486
Federal Signal Corp. 16,085 573
Franklin Electric Co., Inc. 9,583 702
Gorman-Rupp (The) Co. 6,591 187
Graham Corp. 2,512 17
Greenbrier (The) Cos., Inc. 5,159 186
Helios Technologies, Inc. 4,001 265
Hillenbrand, Inc. 14,638 600
Hurco Cos., Inc. 1,123 28
Hyster-Yale Materials Handling, Inc. 2,391 77
John Bean Technologies Corp. 6,139 678
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Machinery – 3.9%continued
Kadant, Inc. 1,968 $359
Kennametal, Inc. 17,894 416
L.B. Foster Co., Class A* 1,584 20
Lindsay Corp. 2,080 276
Meritor, Inc.* 17,189 624
Miller Industries, Inc. 3,185 72
Mueller Industries, Inc. 11,880 633
Mueller Water Products, Inc., Class A 34,105 400
Omega Flex, Inc. 1,628 175
Proto Labs, Inc.* 5,696 273
RBC Bearings, Inc.* 4,972 920
Shyft Group (The), Inc. 3,505 65
SPX Corp.* 10,850 573
Standex International Corp. 4,170 354
Taylor Devices, Inc.* 1,662 14
Tennant Co. 4,016 238
Terex Corp. 11,376 311
Titan International, Inc.* 11,906 180
Trinity Industries, Inc. 19,172 464
Twin Disc, Inc.* 356 3
Wabash National Corp. 6,758 92
Watts Water Technologies, Inc., Class A 6,124 752
Welbilt, Inc.* 21,182 504
    16,520
Marine – 0.5%
Danaos Corp. 3,686 233
Golden Ocean Group Ltd. 21,714 253
Kirby Corp.* 10,341 629
Matson, Inc. 10,504 765
Star Bulk Carriers Corp. 17,978 449
    2,329
Media – 0.8%
AMC Networks, Inc., Class A* 7,970 232
Boston Omaha Corp., Class A(1) * 1
comScore, Inc.* 11,616 24
Cumulus Media, Inc., Class A* 300 2
Daily Journal Corp.* 332 86
EW Scripps (The) Co., Class A* 9,722 121
Gannett Co., Inc.* 12,191 35
Gray Television, Inc. 23,772 402
iHeartMedia, Inc., Class A* 18,296 145
John Wiley & Sons, Inc., Class A 9,645 461
Magnite, Inc.* 12,159 108
 
NORTHERN FUNDS QUARTERLY REPORT     125    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Media – 0.8%continued
Marchex, Inc., Class B(1) * 179 $—
Saga Communications, Inc., Class A 1,396 35
Scholastic Corp. 7,170 258
Sinclair Broadcast Group, Inc., Class A 11,464 234
TechTarget, Inc.* 4,387 288
TEGNA, Inc. 41,593 872
    3,303
Metals & Mining – 1.3%
Alpha Metallurgical Resources, Inc. 4,298 555
Arconic Corp.* 19,490 547
Carpenter Technology Corp. 11,479 320
Coeur Mining, Inc.* 48,365 147
Commercial Metals Co. 23,737 786
Compass Minerals International, Inc. 8,874 314
Constellium S.E.* 27,720 366
Ferroglobe PLC* 22,656 135
Fortitude Gold Corp. 2,348 14
Gold Resource Corp. 8,089 13
Haynes International, Inc. 2,371 78
Hecla Mining Co. 93,755 368
Kaiser Aluminum Corp. 3,022 239
Materion Corp. 7,084 522
McEwen Mining, Inc.* 23,720 10
Nexa Resources S.A. 22,291 134
Olympic Steel, Inc. 3,230 83
Piedmont Lithium, Inc.* 1,800 66
Schnitzer Steel Industries, Inc., Class A 2,938 96
Synalloy Corp.* 108 2
Universal Stainless & Alloy Products, Inc.* 1,504 11
Warrior Met Coal, Inc. 12,211 374
Worthington Industries, Inc. 12,528 552
    5,732
Mortgage Real Estate Investment Trusts – 0.9%
ACRES Commercial Realty Corp.* 136 1
Apollo Commercial Real Estate Finance, Inc. 33,215 347
Arbor Realty Trust, Inc. 25,986 341
Arlington Asset Investment Corp., Class A(1) * 10
ARMOUR Residential REIT, Inc. 7,473 53
Blackstone Mortgage Trust, Inc., Class A 25,462 705
BrightSpire Capital, Inc. 11,919 90
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Mortgage Real Estate Investment Trusts – 0.9%continued
Chimera Investment Corp. 34,994 $309
Dynex Capital, Inc. 3,644 58
Ellington Residential Mortgage REIT 540 4
Franklin BSP Realty Trust, Inc. 8,829 119
Granite Point Mortgage Trust, Inc. 6,103 58
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 13,821 523
Invesco Mortgage Capital, Inc. 2,318 34
Ladder Capital Corp. 27,383 289
New Residential Investment Corp. 63,772 594
New York Mortgage Trust, Inc. 46,078 127
Ready Capital Corp. 4,562 54
Redwood Trust, Inc. 11,649 90
Two Harbors Investment Corp. 34,195 170
    3,966
Multiline Retail – 0.3%
Big Lots, Inc. 8,945 188
Dillard's, Inc., Class A 1,538 339
Macy's, Inc. 8,359 153
Ollie's Bargain Outlet Holdings, Inc.* 9,600 564
    1,244
Multi-Utilities – 0.4%
Avista Corp. 13,954 607
NorthWestern Corp. 11,879 700
Unitil Corp. 3,654 215
    1,522
Oil, Gas & Consumable Fuels – 3.5%
Adams Resources & Energy, Inc. 4,747 153
Alto Ingredients, Inc.* 9,940 37
Antero Resources Corp.* 4,360 134
Arch Resources, Inc. 2,367 339
Ardmore Shipping Corp.* 23,527 164
California Resources Corp. 13,789 531
Callon Petroleum Co.* 4,557 179
Chesapeake Energy Corp. 2,043 166
Civitas Resources, Inc. 12,850 672
Clean Energy Fuels Corp.* 14,369 64
CNX Resources Corp.* 27,300 449
Comstock Resources, Inc.* 9,230 111
CONSOL Energy, Inc.* 5,414 267
Crescent Energy Co., Class A 2,204 28
CVR Energy, Inc. 7,398 248
Delek U.S. Holdings, Inc.* 12,219 316
 
EQUITY FUNDS    126    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Oil, Gas & Consumable Fuels – 3.5%continued
Denbury, Inc.* 8,220 $493
DHT Holdings, Inc. 35,919 220
Dorian LPG Ltd. 1,334 20
Earthstone Energy, Inc., Class A* 13,429 183
Equitrans Midstream Corp. 66,784 425
Evolution Petroleum Corp. 17,822 97
Frontline Ltd.* 29,617 262
Golar LNG Ltd.* 22,893 521
Green Plains, Inc.* 15,960 434
Gulfport Energy Corp.* 1,795 143
Hallador Energy Co.* 12,397 67
HighPeak Energy, Inc. 8,830 226
International Seaways, Inc. 10,211 216
Kosmos Energy Ltd.* 67,263 416
Laredo Petroleum, Inc.* 2,802 193
Magnolia Oil & Gas Corp., Class A 22,804 479
Matador Resources Co. 18,031 840
Murphy Oil Corp. 25,060 757
NACCO Industries, Inc., Class A 2,782 105
Navigator Holdings Ltd.* 15,734 178
Nordic American Tankers Ltd. 13,985 30
Northern Oil and Gas, Inc. 3,671 93
Oasis Petroleum, Inc. 3,497 425
Overseas Shipholding Group, Inc., Class A* 8,366 17
Ovintiv, Inc. 3,267 144
Par Pacific Holdings, Inc.* 304 5
PBF Energy, Inc., Class A* 16,608 482
PDC Energy, Inc. 2,443 151
Peabody Energy Corp.* 5,607 120
PrimeEnergy Resources Corp.* 1,558 122
Range Resources Corp.* 5,593 138
Ranger Oil Corp., Class A* 5,205 171
REX American Resources Corp.* 4,001 339
Riviera Resources, Inc.(2) * 6,246
Scorpio Tankers, Inc. 12,831 443
SFL Corp. Ltd. 20,985 199
SM Energy Co. 14,056 481
Southwestern Energy Co.* 21,513 134
Teekay Corp.* 6,791 20
Teekay Tankers Ltd., Class A* 1,000 18
Uranium Energy Corp.* 4,700 14
VAALCO Energy, Inc. 15,452 107
Voc Energy Trust 2,500 16
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Oil, Gas & Consumable Fuels – 3.5%continued
W&T Offshore, Inc.* 42,508 $184
Whiting Petroleum Corp. 6,497 442
World Fuel Services Corp. 12,628 258
    14,686
Paper & Forest Products – 0.1%
Clearwater Paper Corp.* 3,700 124
Glatfelter Corp. 7,954 55
Mercer International, Inc. 6,200 82
Neenah, Inc. 5,006 171
Resolute Forest Products, Inc.* 12,015 153
    585
Personal Products – 0.5%
Edgewell Personal Care Co. 11,083 382
Inter Parfums, Inc. 3,670 268
Mannatech, Inc. 3,951 66
Medifast, Inc. 3,802 686
Natural Alternatives International, Inc.* 729 8
Nature's Sunshine Products, Inc.* 3,623 39
Nu Skin Enterprises, Inc., Class A 13,780 597
United-Guardian, Inc. 502 7
USANA Health Sciences, Inc.* 2,359 171
    2,224
Pharmaceuticals – 1.5%
Aerie Pharmaceuticals, Inc.* 6,793 51
Amneal Pharmaceuticals, Inc.* 35,482 113
Amphastar Pharmaceuticals, Inc.* 12,766 444
ANI Pharmaceuticals, Inc.* 3,586 106
Arvinas, Inc.* 279 12
ATAI Life Sciences N.V.* 25,330 92
Atea Pharmaceuticals, Inc.* 10,454 74
Axsome Therapeutics, Inc.* 4,518 173
Bausch Health Cos., Inc.* 58,100 486
Cara Therapeutics, Inc.* 10,431 95
Collegium Pharmaceutical, Inc.* 15,797 280
Corcept Therapeutics, Inc.* 29,900 711
CorMedix, Inc.* 3,180 13
Cumberland Pharmaceuticals, Inc.* 232 1
Endo International PLC* 34,020 16
Esperion Therapeutics, Inc.* 6,126 39
Fulcrum Therapeutics, Inc.* 5,339 26
Harmony Biosciences Holdings, Inc.* 3,588 175
Harrow Health, Inc.* 16,905 123
Innoviva, Inc.* 27,378 404
 
NORTHERN FUNDS QUARTERLY REPORT     127    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Pharmaceuticals – 1.5%continued
Intra-Cellular Therapies, Inc.* 13,370 $763
Kaleido Biosciences, Inc.* 14,235 1
Ocular Therapeutix, Inc.* 395 2
Omeros Corp.* 15,724 43
Opiant Pharmaceuticals, Inc.* 10,056 121
Optinose, Inc.* 249 1
Oramed Pharmaceuticals, Inc.* 4,253 19
Otonomy, Inc.* 400 1
Pacira BioSciences, Inc.* 11,513 671
Paratek Pharmaceuticals, Inc.* 11,893 23
Phibro Animal Health Corp., Class A 9,579 183
Prestige Consumer Healthcare, Inc.* 12,374 728
Provention Bio, Inc.* 8,304 33
Relmada Therapeutics, Inc.* 2,076 39
Satsuma Pharmaceuticals, Inc.* 3,331 14
scPharmaceuticals, Inc.* 12,604 61
Supernus Pharmaceuticals, Inc.* 9,929 287
Verrica Pharmaceuticals, Inc.* 8,008 15
WaVe Life Sciences Ltd.* 200 1
Zynerba Pharmaceuticals, Inc.* 16,629 19
    6,459
Professional Services – 2.0%
Alight, Inc., Class A* 58,100 392
ASGN, Inc.* 9,944 897
Barrett Business Services, Inc. 3,801 277
CBIZ, Inc.* 23,219 928
CRA International, Inc. 3,941 352
Exponent, Inc. 11,676 1,068
Forrester Research, Inc.* 6,452 309
Franklin Covey Co.* 4,919 227
Heidrick & Struggles International, Inc. 6,566 212
Huron Consulting Group, Inc.* 3,844 250
ICF International, Inc. 3,832 364
Insperity, Inc. 7,588 758
KBR, Inc. 3,954 191
Kelly Services, Inc., Class A 4,941 98
Kforce, Inc. 6,914 424
Korn Ferry 11,258 653
ManTech International Corp., Class A 6,053 578
Mistras Group, Inc.* 1,067 6
Resources Connection, Inc. 7,843 160
TrueBlue, Inc.* 7,431 133
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Professional Services – 2.0%continued
Where Food Comes From, Inc. 275 $3
Willdan Group, Inc.* 2,920 81
    8,361
Real Estate Management & Development – 0.6%
Altisource Asset Management Corp.* 512 5
American Realty Investors, Inc.* 1,744 25
Anywhere Real Estate, Inc.* 12,654 124
Cushman & Wakefield PLC* 21,459 327
DigitalBridge Group, Inc.* 88,195 430
Douglas Elliman, Inc. 4,645 22
eXp World Holdings, Inc. 10,474 123
Forestar Group, Inc.* 10,712 147
FRP Holdings, Inc.* 1,132 68
Kennedy-Wilson Holdings, Inc. 20,535 389
Newmark Group, Inc., Class A 22,904 222
RE/MAX Holdings, Inc., Class A 6,062 149
RMR Group (The), Inc., Class A 81 2
St. Joe (The) Co. 6,200 245
Stratus Properties, Inc.* 114 4
Tejon Ranch Co.* 8,144 127
Transcontinental Realty Investors, Inc.* 405 16
    2,425
Road & Rail – 0.8%
ArcBest Corp. 5,382 379
Avis Budget Group, Inc.* 1,039 153
Covenant Logistics Group, Inc. 6,472 162
Heartland Express, Inc. 15,218 212
Marten Transport Ltd. 10,657 179
P.A.M. Transportation Services, Inc.* 5,232 143
Patriot Transportation Holding, Inc. 465 4
Ryder System, Inc. 9,016 641
Saia, Inc.* 5,176 973
U.S.A. Truck, Inc.* 500 16
Universal Logistics Holdings, Inc. 4,446 121
Werner Enterprises, Inc. 9,606 370
    3,353
Semiconductors & Semiconductor Equipment – 2.7%
ACM Research, Inc., Class A* 11,124 187
Alpha & Omega Semiconductor Ltd.* 5,517 184
Ambarella, Inc.* 6,162 403
Amkor Technology, Inc. 21,614 366
Axcelis Technologies, Inc.* 11,523 632
Canadian Solar, Inc.* 9,867 307
 
EQUITY FUNDS    128    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Semiconductors & Semiconductor Equipment – 2.7%continued
CEVA, Inc.* 4,842 $163
Cohu, Inc.* 5,021 139
CyberOptics Corp.* 2,292 80
Diodes, Inc.* 8,835 571
FormFactor, Inc.* 14,412 558
Ichor Holdings Ltd.* 2,473 64
Impinj, Inc.* 4,187 246
Kopin Corp.* 14,152 16
Kulicke & Soffa Industries, Inc. 12,294 526
Lattice Semiconductor Corp.* 3,922 190
MACOM Technology Solutions Holdings, Inc.* 10,123 467
MagnaChip Semiconductor Corp.* 1,772 26
MaxLinear, Inc.* 12,768 434
Meta Materials, Inc.* 1,350 1
Nova Ltd.* 3,094 274
NVE Corp. 1,985 93
Onto Innovation, Inc.* 9,162 639
PDF Solutions, Inc.* 15,204 327
Photronics, Inc.* 6,937 135
Power Integrations, Inc. 9,998 750
Rambus, Inc.* 20,203 434
Semtech Corp.* 12,681 697
Silicon Laboratories, Inc.* 7,826 1,097
SMART Global Holdings, Inc.* 15,338 251
Synaptics, Inc.* 6,853 809
Ultra Clean Holdings, Inc.* 12,845 383
Veeco Instruments, Inc.* 10,038 195
    11,644
Software – 4.1%
ACI Worldwide, Inc.* 22,129 573
Agilysys, Inc.* 5,598 265
Alarm.com Holdings, Inc.* 6,436 398
Altair Engineering, Inc., Class A* 7,480 393
Alteryx, Inc., Class A* 9,300 450
American Software, Inc., Class A 6,859 111
Appfolio, Inc., Class A* 3,504 318
Aware, Inc.* 683 2
Benefitfocus, Inc.* 5,043 39
Blackbaud, Inc.* 9,610 558
Blackline, Inc.* 9,192 612
Box, Inc., Class A* 25,369 638
Braze, Inc., Class A* 14,400 522
Cerence, Inc.* 5,966 150
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Software – 4.1%continued
ChannelAdvisor Corp.* 1,934 $28
CommVault Systems, Inc.* 7,592 477
Consensus Cloud Solutions, Inc.* 2,904 127
Digimarc Corp.* 4,957 70
Digital Turbine, Inc.* 14,763 258
Domo, Inc., Class B* 5,329 148
Ebix, Inc. 6,870 116
eGain Corp.* 2,854 28
Envestnet, Inc.* 8,562 452
Everbridge, Inc.* 5,966 166
InterDigital, Inc. 7,434 452
LiveRamp Holdings, Inc.* 10,341 267
Mandiant, Inc.* 27,704 604
MicroStrategy, Inc., Class A* 1,385 228
Model N, Inc.* 7,358 188
Momentive Global, Inc.* 23,075 203
New Relic, Inc.* 8,750 438
Nutanix, Inc., Class A* 32,700 478
OneSpan, Inc.* 12,448 148
Park City Group, Inc.(1) * 33
Progress Software Corp. 8,865 402
Q2 Holdings, Inc.* 9,049 349
Qualys, Inc.* 6,372 804
Rapid7, Inc.* 8,774 586
Sailpoint Technologies Holdings, Inc.* 14,791 927
Sapiens International Corp. N.V. 10,074 244
SecureWorks Corp., Class A* 5,710 62
ShotSpotter, Inc.* 4,377 118
SPS Commerce, Inc.* 8,290 937
Synchronoss Technologies, Inc.* 1,500 2
Tenable Holdings, Inc.* 12,302 559
Upland Software, Inc.* 2,604 38
Varonis Systems, Inc.* 16,156 474
Verint Systems, Inc.* 12,549 531
VirnetX Holding Corp.(1) * 398
Vonage Holdings Corp.* 43,462 819
Workiva, Inc.* 6,834 451
Xperi Holding Corp. 18,368 265
    17,473
Specialty Retail – 2.4%
Aaron's (The) Co., Inc. 7,461 109
Abercrombie & Fitch Co., Class A* 10,862 184
Academy Sports & Outdoors, Inc. 10,341 368
American Eagle Outfitters, Inc. 30,632 342
 
NORTHERN FUNDS QUARTERLY REPORT     129    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Specialty Retail – 2.4%continued
America's Car-Mart, Inc.* 2,111 $212
Asbury Automotive Group, Inc.* 3,277 555
Bed Bath & Beyond, Inc.* 21,148 105
Big 5 Sporting Goods Corp. 6,597 74
Boot Barn Holdings, Inc.* 4,283 295
Buckle (The), Inc. 5,971 165
Caleres, Inc. 9,214 242
Camping World Holdings, Inc., Class A 7,159 155
Cato (The) Corp., Class A 1,673 19
Chico's FAS, Inc.* 7,973 40
Children's Place (The), Inc.* 4,936 192
Citi Trends, Inc.* 5,987 142
Conn's, Inc.* 2,429 19
Designer Brands, Inc., Class A 7,137 93
Express, Inc.* 4,300 8
Foot Locker, Inc. 12,600 318
Genesco, Inc.* 3,420 171
Group 1 Automotive, Inc. 3,918 665
GrowGeneration Corp.* 9,016 32
Guess?, Inc. 9,302 159
Haverty Furniture Cos., Inc. 4,564 106
Hibbett, Inc. 4,599 201
Leslie's, Inc.* 24,200 367
LL Flooring Holdings, Inc.* 8,089 76
Monro, Inc. 6,804 292
Murphy U.S.A., Inc. 4,923 1,146
National Vision Holdings, Inc.* 12,896 355
ODP (The) Corp.* 6,668 202
Rent-A-Center, Inc. 9,721 189
Sally Beauty Holdings, Inc.* 24,687 294
Shoe Carnival, Inc. 11,280 244
Signet Jewelers Ltd. 8,801 470
Sleep Number Corp.* 4,057 126
Sonic Automotive, Inc., Class A 9,957 365
Urban Outfitters, Inc.* 9,895 185
Victoria's Secret & Co.* 12,600 352
Winmark Corp. 1,026 201
Zumiez, Inc.* 7,198 187
    10,022
Technology Hardware, Storage & Peripherals – 0.2%
AstroNova, Inc.* 12,866 154
Avid Technology, Inc.* 5,786 150
Diebold Nixdorf, Inc.* 7,843 18
Immersion Corp.* 7,850 42
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Technology Hardware, Storage & Peripherals – 0.2%continued
Stratasys Ltd.* 8,992 $168
Super Micro Computer, Inc.* 7,791 314
TransAct Technologies, Inc.* 376 2
    848
Textiles, Apparel & Luxury Goods – 0.8%
Carter's, Inc. 6,100 430
Crocs, Inc.* 13,458 655
Culp, Inc. 198 1
Delta Apparel, Inc.* 5,509 156
Fossil Group, Inc.* 1,728 9
G-III Apparel Group Ltd.* 8,222 166
Kontoor Brands, Inc. 8,126 271
Movado Group, Inc. 3,284 101
Oxford Industries, Inc. 4,955 440
Rocky Brands, Inc. 4,478 153
Steven Madden Ltd. 16,605 535
Superior Group of Cos., Inc. 4,274 76
Unifi, Inc.* 692 10
Vera Bradley, Inc.* 5,660 24
Wolverine World Wide, Inc. 16,698 337
    3,364
Thrifts & Mortgage Finance – 1.6%
Axos Financial, Inc.* 13,815 495
Capitol Federal Financial, Inc. 24,826 228
ESSA Bancorp, Inc. 924 15
Essent Group Ltd. 20,427 795
Federal Agricultural Mortgage Corp., Class C 1,324 129
Flagstar Bancorp, Inc. 8,619 306
FS Bancorp, Inc. 232 7
Hingham Institution For Savings (The) 690 196
Home Bancorp, Inc. 3,070 105
Kearny Financial Corp. 21,431 238
Kentucky First Federal Bancorp 724 6
Lake Shore Bancorp, Inc. 300 4
MGIC Investment Corp. 61,470 774
Mr Cooper Group, Inc.* 10,857 399
NASB Financial, Inc. 907 53
NMI Holdings, Inc., Class A* 12,477 208
Northeast Community Bancorp, Inc. 1,201 14
Northfield Bancorp, Inc. 16,252 212
Ocwen Financial Corp.* 25 1
PennyMac Financial Services, Inc. 6,885 301
Provident Bancorp, Inc.(1) 18
 
EQUITY FUNDS    130    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Thrifts & Mortgage Finance – 1.6%continued
Prudential Bancorp, Inc. 1,050 $16
Radian Group, Inc. 35,671 701
TrustCo Bank Corp. NY 1,798 55
Walker & Dunlop, Inc. 8,220 792
Waterstone Financial, Inc. 3,743 64
Western New England Bancorp, Inc. 4,227 31
WSFS Financial Corp. 17,269 692
    6,837
Tobacco – 0.1%
Universal Corp. 5,769 349
Vector Group Ltd. 9,290 98
    447
Trading Companies & Distributors – 1.7%
Applied Industrial Technologies, Inc. 9,407 905
Beacon Roofing Supply, Inc.* 14,115 725
BlueLinx Holdings, Inc.* 3,360 225
Boise Cascade Co. 8,726 519
Distribution Solutions Group, Inc.* 4,227 217
EVI Industries, Inc.* 1,645 16
GATX Corp. 6,960 655
Global Industrial Co. 6,789 229
GMS, Inc.* 8,625 384
H&E Equipment Services, Inc. 3,335 97
Herc Holdings, Inc. 5,035 454
McGrath RentCorp 6,232 474
MRC Global, Inc.* 16,785 167
NOW, Inc.* 11,043 108
Rush Enterprises, Inc., Class A 16,149 778
Textainer Group Holdings Ltd. 3,226 88
Titan Machinery, Inc.* 787 18
Transcat, Inc.* 4,188 238
Triton International Ltd. 13,033 686
Veritiv Corp.* 1,033 112
WESCO International, Inc.* 1,469 157
Willis Lease Finance Corp.* 1,750 66
    7,318
Transportation Infrastructure – 0.1%
Atlas Corp. 45,080 483
Water Utilities – 0.6%
American States Water Co. 8,400 685
Artesian Resources Corp., Class A 4,357 214
California Water Service Group 10,918 606
Consolidated Water Co. Ltd. 9,897 144
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.8%continued
Water Utilities – 0.6%continued
Middlesex Water Co. 6,168 $541
SJW Group 5,542 346
York Water (The) Co. 3,620 146
    2,682
Wireless Telecommunication Services – 0.1%
Shenandoah Telecommunications Co. 9,851 219
Spok Holdings, Inc. 13,337 84
Telephone and Data Systems, Inc. 18,799 297
    600
Total Common Stocks    
(Cost $298,562)   407,076
     
MASTER LIMITED PARTNERSHIPS – 0.0%
Marine – 0.0%
Navios Maritime Partners L.P. 77 2
Total Master Limited Partnerships    
(Cost $4)   2
     
PREFERRED STOCKS – 0.0%
Industrial Conglomerates – 0.0%
Steel Partners Holdings L.P.,6.00% 2,675 61
Real Estate Management & Development – 0.0%
Brookfield Property Preferred L.P.,6.25% 1,033 21
Semiconductors & Semiconductor Equipment – 0.0%
Meta Materials, Inc.* 2,700 4
Total Preferred Stocks    
(Cost $94)   86
     
RIGHTS – 0.0%
Biotechnology – 0.0%
Achillion Pharmaceuticals, Inc. (Contingent Value Rights)(2) (4) * 23,500 13
Adamas Pharmaceuticals, Inc. (Contingent Value Rights)(2) (4) * 15,090
Flexion Therapeutics, Inc. (Contingent Value Rights)(2) (4) * 9,753
Progenics Pharmaceuticals, Inc. (Contingent Value Rights)(2) * 10,111
Sinovac Biotech Ltd.(2) * 1,587
Tobira Therapeutics, Inc.
(Contingent Value Rights)(2) (4) *
16,926 129
    142
 
NORTHERN FUNDS QUARTERLY REPORT     131    EQUITY FUNDS

Schedule of Investments
SMALL CAP CORE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
RIGHTS - 0.0%continued
Health Care Equipment & Supplies – 0.0%
American Medical Alert Corp.(2) * 13,109 $—
Pharmaceuticals – 0.0%
Dova Pharmaceuticals, Inc. (Contingent Value Rights)(2) * 4,020
Zogenix, Inc.
(Contingent Value Rights)(2) (4) *
9,037 9
    9
Total Rights    
(Cost $142)   151
    
  NUMBER
OF WARRANTS
VALUE
(000S)
WARRANTS – 0.0%
Nabors Industries Ltd., Exp. 6/11/26, Strike $166.67* 743 $24
Tidewater, Inc., Class A, Exp. 7/31/23, Strike $0.00(1) * 10
Tidewater, Inc., Class B, Exp. 7/31/23, Strike $0.00(1) * 11
Total Warrants    
(Cost $—)   24
    
  NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 3.8%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(5) (6) 16,216,833 $16,217
Total Investment Companies    
(Cost $16,217)   16,217
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.4%
U.S. Treasury Bill,
1.82%, 11/25/22(7) (8)
$1,517 $1,504
Total Short-Term Investments  
(Cost $1,505) 1,504
     
Total Investments – 100.0%  
(Cost $316,524) 425,060
Other Assets less Liabilities – 0.0% 88
NET ASSETS – 100.0% $425,148
    
(1) Value rounds to less than one thousand.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(4) Restricted security that has been deemed illiquid. At June 30, 2022, the value of these restricted illiquid securities amounted to approximately$151,000 or 0.0% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Achillion Pharmaceuticals, Inc. (Contingent Value Rights) 1/29/20 $—
Adamas Pharmaceuticals, Inc. (Contingent Value Rights) 11/26/21
Flexion Therapeutics, Inc. (Contingent Value Rights) 11/22/21
Tobira Therapeutics, Inc.
(Contingent Value Rights)
11/2/16 131
Zogenix, Inc.
(Contingent Value Rights)
3/8/22 9
    
(5) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(6) 7-day current yield as of June 30, 2022 is disclosed.
(7) Discount rate at the time of purchase.
(8) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT - Real Estate Investment Trust
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell 2000 Index 207 $17,678 Long 9/22 $(752)
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 95.8%
Master Limited Partnerships 0.0%
Preferred stocks 0.0%
Rights 0.0%
Warrants 0.0%
Investment Companies 3.8%
 
EQUITY FUNDS    132    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
Security Type(1) % of Net Assets
Short-Term Investments 0.4%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Banks $39,740 $65 $$39,805
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Biotechnology $19,155 $$38 $19,193
Machinery 16,518 2 16,520
All Other Industries(1) 331,558 331,558
Total Common Stocks 406,971 67 38 407,076
Master Limited Partnerships 2 2
Preferred Stocks(1) 86 86
Rights(1) 151 151
Warrants 24 24
Investment Companies 16,217 16,217
Short-Term Investments 1,504 1,504
Total Investments $423,300 $1,571 $189 $425,060
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(752) $$$(752)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $17,127 $20,884 $21,794 $18 $16,217 16,216,833
NORTHERN FUNDS QUARTERLY REPORT     133    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 98.9%
Aerospace & Defense – 0.9%
AAR Corp.* 18,001 $753
Aerojet Rocketdyne Holdings, Inc.* 42,257 1,716
AeroVironment, Inc.* 12,368 1,017
AerSale Corp.* 8,525 124
Archer Aviation, Inc., Class A* 66,276 204
Astra Space, Inc.* 76,567 100
Astronics Corp.* 13,313 135
Cadre Holdings, Inc. 8,789 173
Ducommun, Inc.* 5,935 256
Kaman Corp. 14,921 466
Kratos Defense & Security Solutions, Inc.* 65,791 913
Maxar Technologies, Inc. 38,718 1,010
Momentus, Inc.* 29,009 63
Moog, Inc., Class A 15,243 1,210
National Presto Industries, Inc. 2,729 179
Park Aerospace Corp. 10,432 133
Parsons Corp.* 17,912 724
Redwire Corp.* 10,294 31
Rocket Lab U.S.A., Inc.* 113,516 430
Terran Orbital Corp.* 12,745 58
Triumph Group, Inc.* 34,101 453
Vectrus, Inc.* 6,131 205
Virgin Galactic Holdings, Inc.* 121,510 732
    11,085
Air Freight & Logistics – 0.4%
Air Transport Services Group, Inc.* 31,447 904
Atlas Air Worldwide Holdings, Inc.* 14,913 920
Forward Air Corp. 14,312 1,316
Hub Group, Inc., Class A* 17,892 1,269
Radiant Logistics, Inc.* 20,176 150
    4,559
Airlines – 0.4%
Allegiant Travel Co.* 8,255 934
Blade Air Mobility, Inc.* 29,875 133
Frontier Group Holdings, Inc.* 19,880 186
Hawaiian Holdings, Inc.* 26,977 386
Joby Aviation, Inc.* 133,702 656
SkyWest, Inc.* 26,581 565
Spirit Airlines, Inc.* 58,049 1,384
Sun Country Airlines Holdings, Inc.* 17,534 322
Wheels Up Experience, Inc.* 84,750 165
    4,731
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Auto Components – 1.3%
Adient PLC* 50,544 $1,498
American Axle & Manufacturing Holdings, Inc.* 60,179 453
Dana, Inc. 68,735 967
Dorman Products, Inc.* 14,030 1,539
Fox Factory Holding Corp.* 22,584 1,819
Gentherm, Inc.* 17,636 1,101
Goodyear Tire & Rubber (The) Co.* 149,397 1,600
Holley, Inc.* 27,374 287
LCI Industries 13,229 1,480
Luminar Technologies, Inc.* 127,092 754
Modine Manufacturing Co.* 26,495 279
Motorcar Parts of America, Inc.* 9,948 130
Patrick Industries, Inc. 11,693 606
Solid Power, Inc.* 30,211 162
Standard Motor Products, Inc. 10,951 493
Stoneridge, Inc.* 13,874 238
Tenneco, Inc., Class A* 43,939 754
Visteon Corp.* 14,811 1,534
XPEL, Inc.* 11,464 527
    16,221
Automobiles – 0.2%
Canoo, Inc.* 61,353 114
Cenntro Electric Group Ltd.* 97,982 148
Faraday Future Intelligent Electric, Inc.* 52,860 137
Fisker, Inc.* 86,537 742
Lordstown Motors Corp., Class A* 85,748 135
Mullen Automotive, Inc.* 8,065 8
Winnebago Industries, Inc. 17,061 829
Workhorse Group, Inc.* 78,082 203
    2,316
Banks – 9.5%
1st Source Corp. 8,591 390
ACNB Corp. 4,498 134
Allegiance Bancshares, Inc. 10,382 392
Amalgamated Financial Corp. 7,533 149
Amerant Bancorp, Inc. 14,947 420
American National Bankshares, Inc. 5,524 191
Ameris Bancorp 35,234 1,416
Arrow Financial Corp. 7,327 233
Associated Banc-Corp 79,451 1,451
Atlantic Union Bankshares Corp. 39,875 1,353
Banc of California, Inc. 29,274 516
BancFirst Corp. 10,467 1,002
 
EQUITY FUNDS    134    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 9.5%continued
Bancorp (The), Inc.* 29,669 $579
Bank First Corp. 3,448 261
Bank of Marin Bancorp 8,385 266
Bank of NT Butterfield & Son (The) Ltd. 26,470 826
BankUnited, Inc. 43,501 1,547
Bankwell Financial Group, Inc. 2,999 93
Banner Corp. 18,202 1,023
Bar Harbor Bankshares 7,868 203
BayCom Corp. 6,840 141
BCB Bancorp, Inc. 7,649 130
Berkshire Hills Bancorp, Inc. 24,575 609
Blue Ridge Bankshares, Inc. 9,058 139
Brookline Bancorp, Inc. 40,414 538
Business First Bancshares, Inc. 11,267 240
Byline Bancorp, Inc. 13,089 312
Cadence Bank 97,577 2,291
Cambridge Bancorp 3,637 301
Camden National Corp. 7,662 338
Capital Bancorp, Inc. 4,787 104
Capital City Bank Group, Inc. 7,129 199
Capstar Financial Holdings, Inc. 10,827 212
Carter Bankshares, Inc.* 12,938 171
Cathay General Bancorp 38,338 1,501
CBTX, Inc. 9,788 260
Central Pacific Financial Corp. 14,406 309
Citizens & Northern Corp. 8,032 194
City Holding Co. 7,838 626
Civista Bancshares, Inc. 7,695 164
CNB Financial Corp. 8,578 207
Coastal Financial Corp.* 5,541 211
Colony Bankcorp, Inc. 8,716 132
Columbia Banking System, Inc. 41,948 1,202
Community Bank System, Inc. 28,428 1,799
Community Trust Bancorp, Inc. 8,354 338
ConnectOne Bancorp, Inc. 19,761 483
CrossFirst Bankshares, Inc.* 24,264 320
Customers Bancorp, Inc.* 16,502 559
CVB Financial Corp. 71,975 1,786
Dime Community Bancshares, Inc. 17,757 526
Eagle Bancorp, Inc. 16,879 800
Eastern Bankshares, Inc. 85,633 1,581
Enterprise Bancorp, Inc. 4,959 160
Enterprise Financial Services Corp. 18,781 779
Equity Bancshares, Inc., Class A 8,180 239
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 9.5%continued
Esquire Financial Holdings, Inc. 3,684 $123
Farmers & Merchants Bancorp, Inc. 6,446 214
Farmers National Banc Corp. 16,750 251
FB Financial Corp. 19,296 757
Financial Institutions, Inc. 8,043 209
First Bancorp 18,738 654
First BanCorp (New York Exchange) 104,399 1,348
First Bancorp (The), Inc. 5,178 156
First Bancshares (The), Inc. 10,482 300
First Bank 8,256 115
First Busey Corp. 27,445 627
First Business Financial Services, Inc. 4,272 133
First Commonwealth Financial Corp. 49,727 667
First Community Bankshares, Inc. 8,702 256
First Financial Bancorp 49,628 963
First Financial Bankshares, Inc. 69,196 2,717
First Financial Corp. 6,129 273
First Foundation, Inc. 27,312 559
First Guaranty Bancshares, Inc. 3,227 78
First Internet Bancorp 4,830 178
First Interstate BancSystem, Inc., Class A 49,885 1,901
First Merchants Corp. 30,475 1,086
First Mid Bancshares, Inc. 9,925 354
First of Long Island (The) Corp. 11,866 208
First Western Financial, Inc.* 4,202 114
Five Star Bancorp 6,690 177
Flushing Financial Corp. 15,326 326
Fulton Financial Corp. 86,400 1,248
FVCBankcorp, Inc.* 6,358 120
German American Bancorp, Inc. 14,739 504
Glacier Bancorp, Inc. 59,184 2,807
Great Southern Bancorp, Inc. 5,107 299
Guaranty Bancshares, Inc. 4,406 160
Hancock Whitney Corp. 45,892 2,034
Hanmi Financial Corp. 16,115 362
HarborOne Bancorp, Inc. 24,287 335
HBT Financial, Inc. 5,352 96
Heartland Financial U.S.A., Inc. 21,875 909
Heritage Commerce Corp. 31,277 334
Heritage Financial Corp. 18,422 463
Hilltop Holdings, Inc. 32,658 871
Home BancShares, Inc. 101,242 2,103
HomeStreet, Inc. 9,559 331
HomeTrust Bancshares, Inc. 7,763 194
 
NORTHERN FUNDS QUARTERLY REPORT     135    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 9.5%continued
Hope Bancorp, Inc. 61,712 $854
Horizon Bancorp, Inc. 21,458 374
Independent Bank Corp. 24,862 1,975
Independent Bank Corp. (NASDAQ Exchange) 10,710 206
Independent Bank Group, Inc. 19,566 1,329
International Bancshares Corp. 28,963 1,161
John Marshall Bancorp, Inc. 6,065 137
Lakeland Bancorp, Inc. 33,029 483
Lakeland Financial Corp. 13,064 868
Live Oak Bancshares, Inc. 17,410 590
Macatawa Bank Corp. 13,788 122
Mercantile Bank Corp. 8,200 262
Meta Financial Group, Inc. 15,446 597
Metrocity Bankshares, Inc. 9,937 202
Metropolitan Bank Holding Corp.* 5,486 381
Mid Penn Bancorp, Inc. 7,631 206
Midland States Bancorp, Inc. 11,274 271
MidWestOne Financial Group, Inc. 7,534 224
MVB Financial Corp. 5,450 170
National Bank Holdings Corp., Class A 15,560 595
NBT Bancorp, Inc. 22,270 837
Nicolet Bankshares, Inc.* 6,543 473
Northeast Bank 3,578 131
Northwest Bancshares, Inc. 64,698 828
OceanFirst Financial Corp. 30,915 591
OFG Bancorp 25,355 644
Old National Bancorp 156,139 2,309
Old Second Bancorp, Inc. 22,547 302
Origin Bancorp, Inc. 11,962 464
Orrstown Financial Services, Inc. 5,649 137
Pacific Premier Bancorp, Inc. 49,913 1,459
Park National Corp. 7,640 926
Parke Bancorp, Inc. 5,378 113
PCB Bancorp 6,194 116
Peapack-Gladstone Financial Corp. 9,258 275
Peoples Bancorp, Inc. 14,814 394
Peoples Financial Services Corp. 3,725 208
Preferred Bank 7,299 496
Premier Financial Corp. 18,860 478
Primis Financial Corp. 11,795 161
Professional Holding Corp., Class A* 6,879 138
QCR Holdings, Inc. 8,821 476
RBB Bancorp 8,019 166
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Banks – 9.5%continued
Red River Bancshares, Inc. 2,357 $127
Renasant Corp. 29,148 840
Republic Bancorp, Inc., Class A 4,702 227
Republic First Bancorp, Inc.* 25,987 99
S&T Bancorp, Inc. 20,803 571
Sandy Spring Bancorp, Inc. 23,573 921
Seacoast Banking Corp. of Florida 32,216 1,064
ServisFirst Bancshares, Inc. 26,710 2,108
Shore Bancshares, Inc. 9,466 175
Sierra Bancorp 7,318 159
Silvergate Capital Corp., Class A* 16,687 893
Simmons First National Corp., Class A 66,622 1,416
SmartFinancial, Inc. 8,261 200
South Plains Financial, Inc. 5,406 130
Southern First Bancshares, Inc.* 3,996 174
Southside Bancshares, Inc. 16,284 609
SouthState Corp. 39,921 3,080
Stock Yards Bancorp, Inc. 15,242 912
Summit Financial Group, Inc. 5,835 162
Texas Capital Bancshares, Inc.* 27,075 1,425
Third Coast Bancshares, Inc.* 6,800 149
Tompkins Financial Corp. 7,483 540
Towne Bank 35,857 974
TriCo Bancshares 16,853 769
Triumph Bancorp, Inc.* 12,783 800
Trustmark Corp. 32,617 952
UMB Financial Corp. 23,442 2,018
United Bankshares, Inc. 70,543 2,474
United Community Banks, Inc. 56,597 1,709
Unity Bancorp, Inc. 3,749 99
Univest Financial Corp. 15,538 395
USCB Financial Holdings, Inc.* 5,737 66
Valley National Bancorp 229,358 2,388
Veritex Holdings, Inc. 27,960 818
Washington Federal, Inc. 34,511 1,036
Washington Trust Bancorp, Inc. 9,196 445
WesBanco, Inc. 31,085 986
West BanCorp, Inc. 8,710 212
Westamerica BanCorp 13,870 772
    116,283
Beverages – 0.5%
Celsius Holdings, Inc.* 29,117 1,900
Coca-Cola Consolidated, Inc. 2,501 1,410
Duckhorn Portfolio (The), Inc.* 19,565 412
 
EQUITY FUNDS    136    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Beverages – 0.5%continued
MGP Ingredients, Inc. 7,473 $748
National Beverage Corp. 12,573 615
Primo Water Corp. 83,905 1,123
Vintage Wine Estates, Inc.* 17,244 136
Vita Coco (The) Co., Inc.* 14,843 145
    6,489
Biotechnology – 7.1%
2seventy bio, Inc.* 19,891 263
4D Molecular Therapeutics, Inc.* 16,120 113
Aadi Bioscience, Inc.* 7,695 95
ACADIA Pharmaceuticals, Inc.* 63,986 902
Adagio Therapeutics, Inc.* 27,281 89
Adicet Bio, Inc.* 15,052 220
ADMA Biologics, Inc.* 98,836 196
Aerovate Therapeutics, Inc.* 4,877 76
Affimed N.V.* 75,622 209
Agenus, Inc.* 143,707 279
Agios Pharmaceuticals, Inc.* 29,032 644
Akero Therapeutics, Inc.* 14,897 141
Albireo Pharma, Inc.* 9,060 180
Alector, Inc.* 33,090 336
Alkermes PLC* 86,783 2,585
Allogene Therapeutics, Inc.* 42,413 484
Allovir, Inc.* 16,300 64
Alpine Immune Sciences, Inc.* 8,297 71
ALX Oncology Holdings, Inc.* 11,397 92
Amicus Therapeutics, Inc.* 146,788 1,577
AnaptysBio, Inc.* 10,866 221
Anavex Life Sciences Corp.* 36,488 365
Anika Therapeutics, Inc.* 7,743 173
Apellis Pharmaceuticals, Inc.* 48,398 2,189
Arbutus Biopharma Corp.* 57,423 156
Arcellx, Inc.* 5,223 94
Arcturus Therapeutics Holdings, Inc.* 12,293 193
Arcus Biosciences, Inc.* 27,335 693
Arcutis Biotherapeutics, Inc.* 18,636 397
Arrowhead Pharmaceuticals, Inc.* 54,778 1,929
Atara Biotherapeutics, Inc.* 48,842 380
Aura Biosciences, Inc.* 9,741 138
Aurinia Pharmaceuticals, Inc.* 71,395 718
Avid Bioservices, Inc.* 32,499 496
Avidity Biosciences, Inc.* 26,006 378
Beam Therapeutics, Inc.* 33,826 1,309
BioCryst Pharmaceuticals, Inc.* 98,835 1,046
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 7.1%continued
Biohaven Pharmaceutical Holding Co. Ltd.* 33,161 $4,832
Bioxcel Therapeutics, Inc.* 10,158 134
Bluebird Bio, Inc.* 38,437 159
Blueprint Medicines Corp.* 31,802 1,606
Bridgebio Pharma, Inc.* 55,645 505
C4 Therapeutics, Inc.* 22,366 169
CareDx, Inc.* 27,093 582
Caribou Biosciences, Inc.* 28,715 156
Catalyst Pharmaceuticals, Inc.* 50,933 357
Celldex Therapeutics, Inc.* 24,386 657
Celularity, Inc.* 8,240 28
Century Therapeutics, Inc.* 10,704 90
Cerevel Therapeutics Holdings, Inc.* 28,920 765
ChemoCentryx, Inc.* 33,638 834
Chimerix, Inc.* 44,725 93
Chinook Therapeutics, Inc.* 23,242 406
Cogent Biosciences, Inc.* 23,731 214
Coherus Biosciences, Inc.* 39,145 283
Crinetics Pharmaceuticals, Inc.* 28,001 522
CTI BioPharma Corp.* 49,283 294
Cullinan Oncology, Inc.* 15,859 203
Cytokinetics, Inc.* 43,702 1,717
Day One Biopharmaceuticals, Inc.* 12,437 223
Deciphera Pharmaceuticals, Inc.* 23,968 315
Denali Therapeutics, Inc.* 52,436 1,543
Design Therapeutics, Inc.* 18,028 252
Dynavax Technologies Corp.* 62,986 793
Dyne Therapeutics, Inc.* 16,606 114
Eagle Pharmaceuticals, Inc.* 5,506 245
Editas Medicine, Inc.* 36,763 435
Eiger BioPharmaceuticals, Inc.* 21,783 137
Emergent BioSolutions, Inc.* 26,733 830
Enanta Pharmaceuticals, Inc.* 10,421 493
Enochian Biosciences, Inc.* 10,465 20
EQRx, Inc.* 72,758 341
Erasca, Inc.* 34,289 191
Fate Therapeutics, Inc.* 44,288 1,097
FibroGen, Inc.* 46,544 492
Foghorn Therapeutics, Inc.* 10,743 146
Forma Therapeutics Holdings, Inc.* 19,557 135
Gelesis Holdings, Inc.* 5,066 8
Generation Bio Co.* 24,746 162
Geron Corp.* 191,044 296
 
NORTHERN FUNDS QUARTERLY REPORT     137    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 7.1%continued
Global Blood Therapeutics, Inc.* 33,167 $1,060
Gossamer Bio, Inc.* 33,501 280
GreenLight Biosciences Holdings PBC* 7,421 16
Halozyme Therapeutics, Inc.* 72,232 3,178
Heron Therapeutics, Inc.* 54,731 153
HilleVax, Inc.* 6,884 75
Humacyte, Inc.* 9,341 30
Icosavax, Inc.* 11,811 68
Ideaya Biosciences, Inc.* 18,918 261
IGM Biosciences, Inc.* 5,318 96
Imago Biosciences, Inc.* 13,994 187
ImmunityBio, Inc.* 43,529 162
ImmunoGen, Inc.* 114,260 514
Immunovant, Inc.* 20,879 81
Inhibrx, Inc.* 15,414 175
Inovio Pharmaceuticals, Inc.* 116,932 202
Insmed, Inc.* 63,452 1,251
Instil Bio, Inc.* 37,007 171
Intellia Therapeutics, Inc.* 40,139 2,078
Intercept Pharmaceuticals, Inc.* 13,006 180
Iovance Biotherapeutics, Inc.* 80,245 886
Ironwood Pharmaceuticals, Inc.* 72,718 838
iTeos Therapeutics, Inc.* 12,519 258
IVERIC bio, Inc.* 62,182 598
Janux Therapeutics, Inc.* 9,121 111
Jounce Therapeutics, Inc.* 22,380 68
KalVista Pharmaceuticals, Inc.* 13,015 128
Karuna Therapeutics, Inc.* 13,988 1,770
Karyopharm Therapeutics, Inc.* 40,788 184
Keros Therapeutics, Inc.* 8,931 247
Kezar Life Sciences, Inc.* 24,731 205
Kiniksa Pharmaceuticals Ltd., Class A* 16,617 161
Kinnate Biopharma, Inc.* 15,541 196
Kodiak Sciences, Inc.* 17,733 135
Kronos Bio, Inc.* 21,454 78
Krystal Biotech, Inc.* 11,148 732
Kura Oncology, Inc.* 33,763 619
Kymera Therapeutics, Inc.* 20,120 396
Lexicon Pharmaceuticals, Inc.* 38,969 72
Ligand Pharmaceuticals, Inc.* 8,047 718
Lyell Immunopharma, Inc.* 92,085 600
MacroGenics, Inc.* 31,611 93
Madrigal Pharmaceuticals, Inc.* 6,775 485
MannKind Corp.* 132,451 505
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 7.1%continued
MeiraGTx Holdings PLC* 15,795 $120
Mersana Therapeutics, Inc.* 46,622 215
MiMedx Group, Inc.* 59,995 208
Mirum Pharmaceuticals, Inc.* 8,446 164
Monte Rosa Therapeutics, Inc.* 15,027 145
Morphic Holding, Inc.* 13,692 297
Myriad Genetics, Inc.* 42,310 769
Nkarta, Inc.* 17,246 212
Nurix Therapeutics, Inc.* 23,589 299
Nuvalent, Inc., Class A* 8,996 122
Ocugen, Inc.* 113,871 258
Organogenesis Holdings, Inc.* 36,841 180
Outlook Therapeutics, Inc.* 64,409 66
Pardes Biosciences, Inc.* 15,044 46
PepGen, Inc.* 4,423 44
PMV Pharmaceuticals, Inc.* 19,588 279
Point Biopharma Global, Inc.* 39,401 268
Praxis Precision Medicines, Inc.* 20,761 51
Precigen, Inc.* 52,469 70
Prometheus Biosciences, Inc.* 15,573 440
Protagonist Therapeutics, Inc.* 24,377 193
Prothena Corp. PLC* 18,879 513
PTC Therapeutics, Inc.* 37,391 1,498
Radius Health, Inc.* 24,861 258
Rallybio Corp.* 8,467 64
RAPT Therapeutics, Inc.* 13,833 252
Recursion Pharmaceuticals, Inc., Class A* 71,966 586
REGENXBIO, Inc.* 21,336 527
Relay Therapeutics, Inc.* 40,714 682
Replimune Group, Inc.* 16,043 280
REVOLUTION Medicines, Inc.* 33,536 654
Rigel Pharmaceuticals, Inc.* 90,436 102
Rocket Pharmaceuticals, Inc.* 23,278 320
Sage Therapeutics, Inc.* 27,721 895
Sana Biotechnology, Inc.* 47,636 306
Sangamo Therapeutics, Inc.* 63,648 264
Seres Therapeutics, Inc.* 36,878 126
Sierra Oncology, Inc.* 7,882 433
Sorrento Therapeutics, Inc.* 202,339 407
SpringWorks Therapeutics, Inc.* 18,474 455
Stoke Therapeutics, Inc.* 11,935 158
Sutro Biopharma, Inc.* 23,967 125
Syndax Pharmaceuticals, Inc.* 27,535 530
 
EQUITY FUNDS    138    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Biotechnology – 7.1%continued
Talaris Therapeutics, Inc.* 11,840 $53
Tango Therapeutics, Inc.* 24,782 112
Tenaya Therapeutics, Inc.* 14,477 82
TG Therapeutics, Inc.* 70,588 300
Travere Therapeutics, Inc.* 32,422 786
Turning Point Therapeutics, Inc.* 24,365 1,833
Twist Bioscience Corp.* 29,874 1,044
Tyra Biosciences, Inc.* 6,960 50
Vanda Pharmaceuticals, Inc.* 29,738 324
Vaxart, Inc.* 65,879 231
Vaxcyte, Inc.* 28,050 610
VBI Vaccines, Inc.* 104,322 84
Vera Therapeutics, Inc.* 7,312 100
Veracyte, Inc.* 38,126 759
Vericel Corp.* 25,110 632
Verve Therapeutics, Inc.* 19,534 298
Vir Biotechnology, Inc.* 38,597 983
Viridian Therapeutics, Inc.* 13,723 159
VistaGen Therapeutics, Inc.* 102,321 90
Xencor, Inc.* 30,543 836
Y-mAbs Therapeutics, Inc.* 19,534 296
Zentalis Pharmaceuticals, Inc.* 20,446 575
    86,784
Building Products – 1.3%
AAON, Inc. 23,350 1,279
American Woodmark Corp.* 8,798 396
Apogee Enterprises, Inc. 11,833 464
Caesarstone Ltd. 11,898 109
Cornerstone Building Brands, Inc.* 33,676 825
CSW Industrials, Inc. 7,984 823
Gibraltar Industries, Inc.* 17,532 679
Griffon Corp. 24,523 687
Insteel Industries, Inc. 9,963 335
Janus International Group, Inc.* 43,480 393
JELD-WEN Holding, Inc.* 45,899 670
Masonite International Corp.* 12,007 923
PGT Innovations, Inc.* 31,488 524
Quanex Building Products Corp. 17,632 401
Resideo Technologies, Inc.* 76,989 1,495
Simpson Manufacturing Co., Inc. 23,082 2,322
UFP Industries, Inc. 32,411 2,208
View, Inc.* 59,525 96
Zurn Water Solutions Corp. 66,089 1,800
    16,429
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Capital Markets – 1.5%
Artisan Partners Asset Management, Inc., Class A 32,002 $1,138
Assetmark Financial Holdings, Inc.* 11,476 215
Associated Capital Group, Inc., Class A 917 33
B. Riley Financial, Inc. 10,806 457
Bakkt Holdings, Inc.* 30,244 63
BGC Partners, Inc., Class A 170,141 573
Blucora, Inc.* 25,091 463
Brightsphere Investment Group, Inc. 17,214 310
Cohen & Steers, Inc. 13,495 858
Cowen, Inc., Class A 13,990 331
Diamond Hill Investment Group, Inc. 1,608 279
Donnelley Financial Solutions, Inc.* 14,739 432
Federated Hermes, Inc. 46,743 1,486
Focus Financial Partners, Inc., Class A* 30,885 1,052
GAMCO Investors, Inc., Class A 2,531 53
GCM Grosvenor, Inc., Class A 22,769 156
Hamilton Lane, Inc., Class A 18,795 1,263
Houlihan Lokey, Inc. 27,155 2,143
Manning & Napier, Inc. 8,446 105
MarketWise, Inc.* 9,064 33
Moelis & Co., Class A 34,331 1,351
Open Lending Corp., Class A* 56,164 575
Oppenheimer Holdings, Inc., Class A 4,689 155
Perella Weinberg Partners 24,800 145
Piper Sandler Cos. 9,243 1,048
PJT Partners, Inc., Class A 12,782 898
Pzena Investment Management, Inc., Class A 8,992 59
Sculptor Capital Management, Inc. 13,969 117
Silvercrest Asset Management Group, Inc., Class A 5,278 87
StepStone Group, Inc., Class A 28,060 730
StoneX Group, Inc.* 9,162 715
Value Line, Inc. 523 34
Victory Capital Holdings, Inc., Class A 8,784 212
Virtus Investment Partners, Inc. 3,799 650
WisdomTree Investments, Inc. 72,522 368
    18,587
Chemicals – 2.2%
AdvanSix, Inc. 14,489 485
American Vanguard Corp. 15,542 347
Amyris, Inc.* 104,792 194
Aspen Aerogels, Inc.* 14,577 144
 
NORTHERN FUNDS QUARTERLY REPORT     139    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Chemicals – 2.2%continued
Avient Corp. 48,464 $1,942
Balchem Corp. 16,963 2,201
Cabot Corp. 29,610 1,889
Chase Corp. 4,048 315
Danimer Scientific, Inc.* 48,239 220
Diversey Holdings Ltd.* 41,602 275
Ecovyst, Inc. 34,077 336
FutureFuel Corp. 13,714 100
GCP Applied Technologies, Inc.* 26,499 829
H.B. Fuller Co. 28,259 1,701
Hawkins, Inc. 10,321 372
Ingevity Corp.* 20,716 1,308
Innospec, Inc. 13,182 1,263
Intrepid Potash, Inc.* 5,927 268
Koppers Holdings, Inc. 10,946 248
Kronos Worldwide, Inc. 11,795 217
Livent Corp.* 86,286 1,958
LSB Industries, Inc.* 16,881 234
Minerals Technologies, Inc. 17,456 1,071
Origin Materials, Inc.* 56,634 290
Orion Engineered Carbons S.A. 32,204 500
Perimeter Solutions S.A.* 64,866 703
PureCycle Technologies, Inc.* 56,569 420
Quaker Chemical Corp. 7,212 1,078
Rayonier Advanced Materials, Inc.* 32,302 85
Schweitzer-Mauduit International, Inc. 16,803 422
Sensient Technologies Corp. 22,335 1,799
Stepan Co. 11,373 1,153
Tredegar Corp. 14,450 144
Trinseo PLC 19,252 740
Tronox Holdings PLC, Class A 62,285 1,046
Valhi, Inc. 1,312 59
    26,356
Commercial Services & Supplies – 1.5%
ABM Industries, Inc. 35,699 1,550
ACCO Brands Corp. 50,256 328
ACV Auctions, Inc., Class A* 60,028 393
Aris Water Solution, Inc., Class A 11,720 196
Brady Corp., Class A 25,016 1,182
BrightView Holdings, Inc.* 23,661 284
Brink's (The) Co. 24,711 1,500
Casella Waste Systems, Inc., Class A* 26,584 1,932
Cimpress PLC* 9,391 365
CompX International, Inc. 808 19
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Commercial Services & Supplies – 1.5%continued
CoreCivic, Inc.* 64,272 $714
Deluxe Corp. 23,012 499
Ennis, Inc. 13,549 274
GEO Group (The), Inc.* 63,044 416
Harsco Corp.* 41,822 297
Healthcare Services Group, Inc. 39,466 687
Heritage-Crystal Clean, Inc.* 8,353 225
HNI Corp. 22,491 780
Interface, Inc. 31,202 391
KAR Auction Services, Inc.* 64,193 948
Kimball International, Inc., Class B 19,043 146
Li-Cycle Holdings Corp.* 70,408 484
Matthews International Corp., Class A 16,284 467
MillerKnoll, Inc. 40,440 1,062
Montrose Environmental Group, Inc.* 14,622 494
NL Industries, Inc. 4,265 42
Pitney Bowes, Inc. 92,169 334
Quad/Graphics, Inc.* 18,547 51
SP Plus Corp.* 12,361 380
Steelcase, Inc., Class A 45,893 492
UniFirst Corp. 7,972 1,373
Viad Corp.* 10,812 299
VSE Corp. 5,645 212
    18,816
Communications Equipment – 0.8%
ADTRAN, Inc. 25,977 455
Aviat Networks, Inc.* 5,835 146
Calix, Inc.* 30,277 1,034
Cambium Networks Corp.* 6,281 92
Casa Systems, Inc.* 18,999 75
Clearfield, Inc.* 6,126 380
CommScope Holding Co., Inc.* 109,189 668
Comtech Telecommunications Corp. 13,716 124
Digi International, Inc.* 18,187 441
DZS, Inc.* 9,411 153
Extreme Networks, Inc.* 68,036 607
Harmonic, Inc.* 48,914 424
Infinera Corp.* 100,799 540
Inseego Corp.* 44,679 84
NETGEAR, Inc.* 15,071 279
NetScout Systems, Inc.* 37,572 1,272
Ondas Holdings, Inc.* 18,187 98
Plantronics, Inc.* 22,518 894
 
EQUITY FUNDS    140    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Communications Equipment – 0.8%continued
Ribbon Communications, Inc.* 38,902 $118
Viavi Solutions, Inc.* 121,132 1,603
    9,487
Construction & Engineering – 1.3%
Ameresco, Inc., Class A* 16,985 774
API Group Corp.(1) * 110,221 1,650
Arcosa, Inc. 25,791 1,197
Argan, Inc. 7,462 278
Comfort Systems U.S.A., Inc. 18,871 1,569
Concrete Pumping Holdings, Inc.* 14,333 87
Construction Partners, Inc., Class A* 21,235 445
Dycom Industries, Inc.* 15,375 1,431
EMCOR Group, Inc. 26,990 2,779
Fluor Corp.* 75,782 1,845
Granite Construction, Inc. 24,242 706
Great Lakes Dredge & Dock Corp.* 34,799 456
IES Holdings, Inc.* 4,616 139
Infrastructure and Energy Alternatives, Inc.* 16,192 130
MYR Group, Inc.* 8,911 785
Northwest Pipe Co.* 5,193 155
NV5 Global, Inc.* 7,207 841
Primoris Services Corp. 28,244 615
Sterling Infrastructure, Inc.* 15,594 342
Tutor Perini Corp.* 22,277 196
    16,420
Construction Materials – 0.1%
Summit Materials, Inc., Class A* 63,144 1,471
United States Lime & Minerals, Inc. 1,082 114
    1,585
Consumer Finance – 0.7%
Atlanticus Holdings Corp.* 2,293 81
Consumer Portfolio Services, Inc.* 7,619 78
Curo Group Holdings Corp. 11,797 65
Encore Capital Group, Inc.* 12,794 739
Enova International, Inc.* 16,950 488
EZCORP, Inc., Class A* 26,615 200
FirstCash Holdings, Inc. 20,550 1,428
Green Dot Corp., Class A* 25,857 649
LendingClub Corp.* 53,882 630
LendingTree, Inc.* 5,585 245
Moneylion, Inc.* 76,916 102
Navient Corp. 61,841 865
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Consumer Finance – 0.7%continued
Nelnet, Inc., Class A 7,951 $678
NerdWallet, Inc., Class A* 13,637 108
Oportun Financial Corp.* 14,809 122
OppFi, Inc.* 7,164 24
PRA Group, Inc.* 21,130 768
PROG Holdings, Inc.* 28,819 476
Regional Management Corp. 4,081 153
Sunlight Financial Holdings, Inc.* 12,931 38
World Acceptance Corp.* 2,165 243
    8,180
Containers & Packaging – 0.3%
Cryptyde, Inc.* 9,771 20
Greif, Inc., Class A 13,755 858
Greif, Inc., Class B 2,870 179
Myers Industries, Inc. 19,321 439
O-I Glass, Inc.* 82,874 1,160
Pactiv Evergreen, Inc. 22,757 226
Ranpak Holdings Corp.* 23,129 162
TriMas Corp. 22,567 625
    3,669
Distributors – 0.0%
Funko, Inc., Class A* 16,950 378
Weyco Group, Inc. 3,147 77
    455
Diversified Consumer Services – 1.0%
2U, Inc.* 39,558 414
Adtalem Global Education, Inc.* 23,888 859
American Public Education, Inc.* 9,954 161
Beachbody (The) Co., Inc.* 55,713 67
Carriage Services, Inc. 7,163 284
Chegg, Inc.* 66,222 1,244
Coursera, Inc.* 60,035 851
Duolingo, Inc.* 12,533 1,097
European Wax Center, Inc., Class A 11,252 198
Frontdoor, Inc.* 44,067 1,061
Graham Holdings Co., Class B 2,003 1,135
Laureate Education, Inc. 60,331 698
Nerdy, Inc.* 28,859 62
OneSpaWorld Holdings Ltd.* 35,347 253
Perdoceo Education Corp.* 36,336 428
PowerSchool Holdings, Inc., Class A* 24,277 293
Rover Group, Inc.* 49,355 186
StoneMor, Inc.* 14,567 50
 
NORTHERN FUNDS QUARTERLY REPORT     141    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Diversified Consumer Services – 1.0%continued
Strategic Education, Inc. 12,247 $864
Stride, Inc.* 21,610 882
Udemy, Inc.* 38,414 392
Universal Technical Institute, Inc.* 17,238 123
Vivint Smart Home, Inc.* 51,035 178
WW International, Inc.* 29,092 186
    11,966
Diversified Financial Services – 0.3%
Alerus Financial Corp. 8,068 192
A-Mark Precious Metals, Inc. 9,586 309
Banco Latinoamericano de Comercio Exterior S.A., Class E 14,650 195
Cannae Holdings, Inc.* 40,244 778
Compass Diversified Holdings 32,252 691
Jackson Financial, Inc., Class A 40,211 1,076
SWK Holdings Corp.* 1,897 33
    3,274
Diversified Telecommunication Services – 0.6%
Anterix, Inc.* 6,460 265
ATN International, Inc. 5,821 273
Bandwidth, Inc., Class A* 12,252 231
Charge Enterprises, Inc.* 57,565 275
Cogent Communications Holdings, Inc. 22,898 1,391
Consolidated Communications Holdings, Inc.* 39,643 278
EchoStar Corp., Class A* 18,773 362
Globalstar, Inc.* 364,184 448
IDT Corp., Class B* 7,646 192
Iridium Communications, Inc.* 67,809 2,547
Liberty Latin America Ltd., Class A* 20,544 160
Liberty Latin America Ltd., Class C* 81,494 635
Ooma, Inc.* 12,174 144
Radius Global Infrastructure, Inc., Class A* 39,759 607
Starry Group Holdings, Inc., Class A* 12,651 52
    7,860
Electric Utilities – 0.8%
ALLETE, Inc. 30,519 1,794
MGE Energy, Inc. 19,382 1,508
Otter Tail Corp. 21,899 1,470
PNM Resources, Inc. 45,502 2,174
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Electric Utilities – 0.8%continued
Portland General Electric Co. 47,643 $2,303
Via Renewables, Inc. 6,390 49
    9,298
Electrical Equipment – 1.1%
Allied Motion Technologies, Inc. 6,899 158
Array Technologies, Inc.* 80,270 884
Atkore, Inc.* 22,897 1,901
AZZ, Inc. 13,062 533
Babcock & Wilcox Enterprises, Inc.* 31,708 191
Blink Charging Co.* 19,543 323
Bloom Energy Corp., Class A* 86,688 1,430
Encore Wire Corp. 10,136 1,053
Energy Vault Holdings, Inc.* 13,392 134
EnerSys 22,034 1,299
Enovix Corp.* 57,911 516
ESS Tech, Inc.* 42,926 121
Fluence Energy, Inc.* 19,122 181
FTC Solar, Inc.* 22,096 80
FuelCell Energy, Inc.* 196,678 738
GrafTech International Ltd. 104,624 740
Heliogen, Inc.* 10,179 21
NuScale Power Corp.* 9,123 91
Powell Industries, Inc. 4,781 112
Preformed Line Products Co. 1,331 82
Shoals Technologies Group, Inc., Class A* 59,548 981
Stem, Inc.* 76,720 549
Thermon Group Holdings, Inc.* 17,641 248
TPI Composites, Inc.* 19,323 242
Vicor Corp.* 11,719 641
    13,249
Electronic Equipment, Instruments & Components – 2.2%
908 Devices, Inc.* 11,744 242
Advanced Energy Industries, Inc. 20,003 1,460
Aeva Technologies, Inc.* 51,566 161
AEye, Inc.* 14,058 27
Akoustis Technologies, Inc.* 27,965 103
Arlo Technologies, Inc.* 45,135 283
Badger Meter, Inc. 15,579 1,260
Belden, Inc. 23,366 1,245
Benchmark Electronics, Inc. 18,612 420
Cepton, Inc.* 4,119 6
CTS Corp. 16,880 575
ePlus, Inc.* 14,117 750
 
EQUITY FUNDS    142    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Electronic Equipment, Instruments & Components – 2.2%continued
Evolv Technologies Holdings, Inc.* 44,748 $119
Fabrinet* 19,661 1,595
FARO Technologies, Inc.* 9,742 300
Focus Universal, Inc.* 9,421 108
Identiv, Inc.* 11,866 137
Insight Enterprises, Inc.* 16,717 1,442
Itron, Inc.* 24,021 1,187
Kimball Electronics, Inc.* 12,767 257
Knowles Corp.* 47,689 826
Lightwave Logic, Inc.* 59,494 389
Methode Electronics, Inc. 19,303 715
MicroVision, Inc.* 88,145 339
Mirion Technologies, Inc.* 72,926 420
Napco Security Technologies, Inc.* 15,642 322
nLight, Inc.* 23,298 238
Novanta, Inc.* 18,912 2,293
OSI Systems, Inc.* 8,625 737
Ouster, Inc.* 72,680 118
PAR Technology Corp.* 14,114 529
PC Connection, Inc. 6,004 265
Plexus Corp.* 14,621 1,148
Rogers Corp.* 9,989 2,618
Sanmina Corp.* 31,970 1,302
ScanSource, Inc.* 13,591 423
SmartRent, Inc.* 63,340 286
TTM Technologies, Inc.* 53,974 675
Velodyne Lidar, Inc.* 102,762 98
Vishay Intertechnology, Inc. 70,432 1,255
Vishay Precision Group, Inc.* 6,576 192
    26,865
Energy Equipment & Services – 1.6%
Archrock, Inc. 72,068 596
Borr Drilling Ltd.* 71,541 330
Bristow Group, Inc.* 12,601 295
Cactus, Inc., Class A 31,380 1,264
ChampionX Corp. 108,784 2,159
Diamond Offshore Drilling, Inc.* 53,178 313
DMC Global, Inc.* 9,994 180
Dril-Quip, Inc.* 18,153 468
Expro Group Holdings N.V.* 41,268 475
Helix Energy Solutions Group, Inc.* 76,124 236
Helmerich & Payne, Inc. 54,731 2,357
Liberty Energy, Inc.* 76,004 970
Nabors Industries Ltd.* 4,825 646
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Energy Equipment & Services – 1.6%continued
National Energy Services Reunited Corp.* 20,021 $136
Newpark Resources, Inc.* 45,110 139
NexTier Oilfield Solutions, Inc.* 93,502 889
Noble Corp.* 20,030 508
Oceaneering International, Inc.* 53,248 569
Oil States International, Inc.* 32,457 176
Patterson-UTI Energy, Inc. 114,211 1,800
ProPetro Holding Corp.* 46,498 465
RPC, Inc.* 39,575 273
Select Energy Services, Inc., Class A* 38,008 259
Solaris Oilfield Infrastructure, Inc., Class A 16,860 183
TETRA Technologies, Inc.* 66,752 271
Tidewater, Inc.* 20,288 428
U.S. Silica Holdings, Inc.* 39,455 451
Valaris Ltd.* 32,433 1,370
Weatherford International PLC* 37,632 797
    19,003
Entertainment – 0.3%
Cinemark Holdings, Inc.* 58,011 871
IMAX Corp.* 26,124 441
Liberty Media Corp.-Liberty Braves, Class A* 5,307 133
Liberty Media Corp.-Liberty Braves, Class C* 20,152 484
Lions Gate Entertainment Corp., Class A* 31,016 289
Lions Gate Entertainment Corp., Class B* 62,130 549
Madison Square Garden Entertainment Corp.* 13,713 722
Marcus (The) Corp.* 12,619 186
Playstudios, Inc.* 42,183 180
Redbox Entertainment, Inc.* 3,481 26
Reservoir Media, Inc.* 10,874 71
Skillz, Inc.* 162,685 202
    4,154
Equity Real Estate Investment Trusts – 6.5%
Acadia Realty Trust 49,592 775
Agree Realty Corp. 39,551 2,853
Alexander & Baldwin, Inc. 38,564 692
Alexander's, Inc. 1,136 252
American Assets Trust, Inc. 26,289 781
 
NORTHERN FUNDS QUARTERLY REPORT     143    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Equity Real Estate Investment Trusts – 6.5%continued
Apartment Investment and Management Co., Class A* 79,750 $510
Apple Hospitality REIT, Inc. 114,545 1,680
Armada Hoffler Properties, Inc. 35,727 459
Ashford Hospitality Trust, Inc.* 18,315 110
Bluerock Residential Growth REIT, Inc. 15,261 401
Braemar Hotels & Resorts, Inc. 36,446 156
Brandywine Realty Trust 90,368 871
Broadstone Net Lease, Inc. 90,113 1,848
BRT Apartments Corp. 6,306 136
CareTrust REIT, Inc. 51,413 948
CatchMark Timber Trust, Inc., Class A 26,080 262
CBL & Associates Properties, Inc.* 14,178 333
Cedar Realty Trust, Inc. 5,720 165
Centerspace 8,176 667
Chatham Lodging Trust* 25,519 267
City Office REIT, Inc. 22,726 294
Clipper Realty, Inc. 6,531 50
Community Healthcare Trust, Inc. 12,619 457
Corporate Office Properties Trust 59,984 1,571
CTO Realty Growth, Inc. 3,100 190
DiamondRock Hospitality Co.* 111,672 917
Diversified Healthcare Trust 126,630 230
Easterly Government Properties, Inc. 48,539 924
Empire State Realty Trust, Inc., Class A 73,550 517
Equity Commonwealth* 57,453 1,582
Essential Properties Realty Trust, Inc. 69,496 1,494
Farmland Partners, Inc. 24,379 336
Four Corners Property Trust, Inc. 42,670 1,135
Franklin Street Properties Corp. 52,572 219
Getty Realty Corp. 22,483 596
Gladstone Commercial Corp. 20,463 386
Gladstone Land Corp. 17,086 379
Global Medical REIT, Inc. 32,689 367
Global Net Lease, Inc. 55,485 786
Healthcare Realty Trust, Inc. 80,560 2,191
Hersha Hospitality Trust* 16,723 164
Independence Realty Trust, Inc. 118,011 2,446
Indus Realty Trust, Inc. 2,842 169
Industrial Logistics Properties Trust 34,592 487
Innovative Industrial Properties, Inc. 14,784 1,624
InvenTrust Properties Corp. 36,076 930
iStar, Inc. 35,278 484
Kite Realty Group Trust 115,988 2,005
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Equity Real Estate Investment Trusts – 6.5%continued
LTC Properties, Inc. 20,731 $796
LXP Industrial Trust 150,623 1,618
Macerich (The) Co. 114,676 999
National Health Investors, Inc. 23,499 1,424
Necessity Retail REIT (The), Inc. 71,154 518
NETSTREIT Corp. 25,615 483
NexPoint Residential Trust, Inc. 12,048 753
Office Properties Income Trust 25,521 509
One Liberty Properties, Inc. 8,687 226
Orion Office REIT, Inc. 30,375 333
Outfront Media, Inc. 77,956 1,321
Paramount Group, Inc. 99,366 718
Pebblebrook Hotel Trust 69,154 1,146
Phillips Edison & Co., Inc. 60,879 2,034
Physicians Realty Trust 119,783 2,090
Piedmont Office Realty Trust, Inc., Class A 65,452 859
Plymouth Industrial REIT, Inc. 20,052 352
Postal Realty Trust, Inc., Class A 9,486 141
PotlatchDeltic Corp. 36,367 1,607
PS Business Parks, Inc. 10,749 2,012
Retail Opportunity Investments Corp. 64,194 1,013
RLJ Lodging Trust 87,547 966
RPT Realty 44,438 437
Ryman Hospitality Properties, Inc.* 28,651 2,178
Sabra Health Care REIT, Inc. 122,893 1,717
Safehold, Inc. 11,556 409
Saul Centers, Inc. 6,285 296
Service Properties Trust 87,455 457
SITE Centers Corp. 103,692 1,397
STAG Industrial, Inc. 96,051 2,966
Summit Hotel Properties, Inc.* 55,769 405
Sunstone Hotel Investors, Inc.* 114,479 1,136
Tanger Factory Outlet Centers, Inc. 53,987 768
Terreno Realty Corp. 39,572 2,205
UMH Properties, Inc. 26,358 466
Uniti Group, Inc. 126,340 1,190
Universal Health Realty Income Trust 6,822 363
Urban Edge Properties 60,911 926
Urstadt Biddle Properties, Inc., Class A 15,825 256
Veris Residential, Inc.* 45,868 607
Washington Real Estate Investment Trust 46,545 992
 
EQUITY FUNDS    144    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Equity Real Estate Investment Trusts – 6.5%continued
Whitestone REIT 24,945 $268
Xenia Hotels & Resorts, Inc.* 60,898 885
    79,338
Food & Staples Retailing – 0.6%
Andersons (The), Inc. 17,032 562
Chefs' Warehouse (The), Inc.* 18,154 706
HF Foods Group, Inc.* 19,258 101
Ingles Markets, Inc., Class A 7,572 657
Natural Grocers by Vitamin Cottage, Inc. 4,944 79
PriceSmart, Inc. 13,100 938
Rite Aid Corp.* 29,054 196
SpartanNash Co. 19,020 574
Sprouts Farmers Market, Inc.* 58,426 1,479
United Natural Foods, Inc.* 30,942 1,219
Village Super Market, Inc., Class A 4,486 102
Weis Markets, Inc. 8,751 652
    7,265
Food Products – 1.4%
Alico, Inc. 3,335 119
AppHarvest, Inc.* 38,590 135
B&G Foods, Inc. 36,210 861
Benson Hill, Inc.* 91,095 250
Beyond Meat, Inc.* 32,686 783
BRC, Inc., Class A* 13,661 111
Calavo Growers, Inc. 9,186 383
Cal-Maine Foods, Inc. 20,185 997
Fresh Del Monte Produce, Inc. 16,249 480
Hain Celestial Group (The), Inc.* 40,032 950
Hostess Brands, Inc.* 73,402 1,557
J&J Snack Foods Corp. 8,094 1,130
John B. Sanfilippo & Son, Inc. 4,753 345
Lancaster Colony Corp. 10,360 1,334
Landec Corp.* 13,950 139
Local Bounti Corp.* 9,963 32
Mission Produce, Inc.* 21,337 304
Sanderson Farms, Inc. 11,396 2,456
Seneca Foods Corp., Class A* 3,108 173
Simply Good Foods (The) Co.* 47,940 1,811
Sovos Brands, Inc.* 15,156 241
SunOpta, Inc.* 51,991 405
Tattooed Chef, Inc.* 26,087 164
Tootsie Roll Industries, Inc. 8,099 286
TreeHouse Foods, Inc.* 27,079 1,132
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Food Products – 1.4%continued
Utz Brands, Inc. 34,984 $483
Vital Farms, Inc.* 15,895 139
Whole Earth Brands, Inc.* 21,644 134
    17,334
Gas Utilities – 1.3%
Brookfield Infrastructure Corp., Class A 52,090 2,214
Chesapeake Utilities Corp. 9,270 1,201
New Jersey Resources Corp. 51,257 2,282
Northwest Natural Holding Co. 18,164 965
ONE Gas, Inc. 28,631 2,325
South Jersey Industries, Inc. 65,391 2,232
Southwest Gas Holdings, Inc. 35,148 3,061
Spire, Inc. 27,150 2,019
    16,299
Health Care Equipment & Supplies – 3.7%
Alphatec Holdings, Inc.* 37,502 245
AngioDynamics, Inc.* 19,806 383
Artivion, Inc.* 20,719 391
AtriCure, Inc.* 24,264 991
Atrion Corp. 732 460
Avanos Medical, Inc.* 25,085 686
Axogen, Inc.* 21,375 175
Axonics, Inc.* 24,954 1,414
BioLife Solutions, Inc.* 17,940 248
Bioventus, Inc., Class A* 16,816 115
Butterfly Network, Inc.* 70,739 217
Cardiovascular Systems, Inc.* 21,141 304
Cerus Corp.* 91,883 486
CONMED Corp. 15,017 1,438
CryoPort, Inc.* 23,709 735
Cue Health, Inc.* 57,364 184
Cutera, Inc.* 8,832 331
Embecta Corp.* 30,533 773
Figs, Inc., Class A* 67,891 619
Glaukos Corp.* 24,354 1,106
Haemonetics Corp.* 27,036 1,762
Heska Corp.* 5,137 486
Inari Medical, Inc.* 25,682 1,746
Inogen, Inc.* 12,234 296
Integer Holdings Corp.* 17,536 1,239
iRadimed Corp. 3,792 129
iRhythm Technologies, Inc.* 15,887 1,716
Lantheus Holdings, Inc.* 36,376 2,402
 
NORTHERN FUNDS QUARTERLY REPORT     145    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Equipment & Supplies – 3.7%continued
LeMaitre Vascular, Inc. 10,359 $472
LivaNova PLC* 28,578 1,785
Meridian Bioscience, Inc.* 22,883 696
Merit Medical Systems, Inc.* 29,751 1,615
Mesa Laboratories, Inc. 2,680 547
Nano-X Imaging Ltd.* 22,373 253
Natus Medical, Inc.* 18,270 599
Neogen Corp.* 57,616 1,388
Nevro Corp.* 18,578 814
NuVasive, Inc.* 27,871 1,370
Omnicell, Inc.* 23,378 2,659
OraSure Technologies, Inc.* 39,508 107
Orthofix Medical, Inc.* 10,333 243
OrthoPediatrics Corp.* 7,653 330
Outset Medical, Inc.* 25,578 380
Owlet, Inc.* 8,733 15
Paragon 28, Inc.* 24,542 390
PROCEPT BioRobotics Corp.* 13,627 446
Pulmonx Corp.* 18,199 268
RxSight, Inc.* 10,957 154
SeaSpine Holdings Corp.* 18,855 107
Senseonics Holdings, Inc.* 243,807 251
Shockwave Medical, Inc.* 18,953 3,623
SI-BONE, Inc.* 18,017 238
Sight Sciences, Inc.* 11,458 103
Silk Road Medical, Inc.* 18,395 669
STAAR Surgical Co.* 25,527 1,811
Surmodics, Inc.* 7,235 269
Tactile Systems Technology, Inc.* 10,596 77
Tenon Medical, Inc.* 1,976 4
TransMedics Group, Inc.* 14,312 450
Treace Medical Concepts, Inc.* 17,748 255
UFP Technologies, Inc.* 3,636 289
Utah Medical Products, Inc. 1,832 157
Varex Imaging Corp.* 20,559 440
Vicarious Surgical, Inc.* 29,025 85
ViewRay, Inc.* 78,793 209
Zimvie, Inc.* 11,074 177
Zynex, Inc. 12,137 97
    44,919
Health Care Providers & Services – 2.9%
1Life Healthcare, Inc.* 95,988 753
23andMe Holding Co., Class A* 91,489 227
Accolade, Inc.* 31,078 230
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Providers & Services – 2.9%continued
AdaptHealth Corp.* 38,447 $694
Addus HomeCare Corp.* 8,225 685
Agiliti, Inc.* 14,607 300
AirSculpt Technologies, Inc.* 6,570 39
Alignment Healthcare, Inc.* 44,897 512
AMN Healthcare Services, Inc.* 23,809 2,612
Apollo Medical Holdings, Inc.* 20,723 800
ATI Physical Therapy, Inc.* 39,802 56
Aveanna Healthcare Holdings, Inc.* 23,690 54
Brookdale Senior Living, Inc.* 99,007 449
Cano Health, Inc.* 86,172 377
CareMax, Inc.* 31,738 115
Castle Biosciences, Inc.* 12,655 278
Clover Health Investments Corp.* 203,088 435
Community Health Systems, Inc.* 66,263 248
CorVel Corp.* 4,783 704
Covetrus, Inc.* 56,306 1,168
Cross Country Healthcare, Inc.* 19,538 407
DocGo, Inc.* 42,861 306
Ensign Group (The), Inc. 28,702 2,109
Fulgent Genetics, Inc.* 11,498 627
Hanger, Inc.* 20,092 288
HealthEquity, Inc.* 44,192 2,713
Hims & Hers Health, Inc.* 64,600 293
Innovage Holding Corp.* 9,916 43
Invitae Corp.* 122,443 299
Joint (The) Corp.* 7,633 117
LHC Group, Inc.* 15,877 2,473
LifeStance Health Group, Inc.* 38,388 213
MEDNAX, Inc.* 45,743 961
ModivCare, Inc.* 6,726 568
National HealthCare Corp. 6,693 468
National Research Corp. 7,583 290
Oncology Institute (The), Inc.* 9,985 50
OPKO Health, Inc.* 214,837 543
Option Care Health, Inc.* 76,472 2,125
Owens & Minor, Inc. 39,286 1,236
P3 Health Partners, Inc.* 13,501 50
Patterson Cos., Inc. 46,398 1,406
Pennant Group (The), Inc.* 13,884 178
PetIQ, Inc.* 14,567 245
Privia Health Group, Inc.* 23,083 672
Progyny, Inc.* 39,818 1,157
R1 RCM, Inc.* 71,947 1,508
 
EQUITY FUNDS    146    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Health Care Providers & Services – 2.9%continued
RadNet, Inc.* 26,053 $450
Select Medical Holdings Corp. 57,503 1,358
Sema4 Holdings Corp.* 84,110 106
Surgery Partners, Inc.* 21,120 611
U.S. Physical Therapy, Inc. 6,841 747
    35,353
Health Care Technology – 0.8%
Allscripts Healthcare Solutions, Inc.* 60,651 899
American Well Corp., Class A* 122,107 527
Babylon Holdings Ltd., Class A* 57,933 57
Computer Programs and Systems, Inc.* 7,628 244
Convey Health Solutions Holdings, Inc.* 8,590 89
Evolent Health, Inc., Class A* 43,718 1,343
Health Catalyst, Inc.* 28,906 419
HealthStream, Inc.* 12,872 279
Inspire Medical Systems, Inc.* 14,479 2,645
Multiplan Corp.* 201,165 1,104
NextGen Healthcare, Inc.* 29,628 517
Nutex Health, Inc.* 20,621 66
OptimizeRx Corp.* 9,485 260
Phreesia, Inc.* 26,146 654
Schrodinger, Inc.* 28,729 759
Sharecare, Inc.* 32,649 52
Simulations Plus, Inc. 8,350 412
    10,326
Hotels, Restaurants & Leisure – 2.0%
Accel Entertainment, Inc.* 31,320 333
Bally's Corp.* 21,230 420
Biglari Holdings, Inc., Class B* 390 48
BJ's Restaurants, Inc.* 12,067 262
Bloomin' Brands, Inc. 47,006 781
Bluegreen Vacations Holding Corp. 6,831 170
Bowlero Corp.* 20,714 219
Brinker International, Inc.* 23,131 510
Century Casinos, Inc.* 14,384 104
Cheesecake Factory (The), Inc. 26,497 700
Chuy's Holdings, Inc.* 10,042 200
Cracker Barrel Old Country Store, Inc. 12,351 1,031
Dave & Buster's Entertainment, Inc.* 22,865 750
Denny's Corp.* 31,988 278
Dine Brands Global, Inc. 8,408 547
El Pollo Loco Holdings, Inc.* 10,561 104
Everi Holdings, Inc.* 46,705 762
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Hotels, Restaurants & Leisure – 2.0%continued
F45 Training Holdings, Inc.* 19,270 $76
First Watch Restaurant Group, Inc.* 5,281 76
Full House Resorts, Inc.* 17,325 105
Golden Entertainment, Inc.* 10,893 431
Hilton Grand Vacations, Inc.* 47,756 1,706
Inspirato, Inc.* 5,469 25
Inspired Entertainment, Inc.* 11,790 102
International Game Technology PLC 53,061 985
Jack in the Box, Inc. 11,274 632
Krispy Kreme, Inc. 38,240 520
Kura Sushi U.S.A., Inc., Class A* 2,422 120
Life Time Group Holdings, Inc.* 22,392 288
Light & Wonder, Inc.* 52,103 2,448
Lindblad Expeditions Holdings, Inc.* 16,959 137
Monarch Casino & Resort, Inc.* 7,083 416
NEOGAMES S.A.* 6,997 94
Noodles & Co.* 21,437 101
ONE Group Hospitality (The), Inc.* 12,121 89
Papa John's International, Inc. 17,588 1,469
Portillo's, Inc., Class A* 10,593 173
RCI Hospitality Holdings, Inc. 4,710 228
Red Rock Resorts, Inc., Class A 28,417 948
Rush Street Interactive, Inc.* 32,339 151
Ruth's Hospitality Group, Inc. 17,390 283
SeaWorld Entertainment, Inc.* 24,069 1,063
Shake Shack, Inc., Class A* 19,965 788
Sonder Holdings, Inc.* 23,262 24
Sweetgreen, Inc., Class A* 7,224 84
Target Hospitality Corp.* 16,271 93
Texas Roadhouse, Inc. 36,407 2,665
Vacasa, Inc., Class A* 21,772 63
Wingstop, Inc. 15,961 1,193
Xponential Fitness, Inc., Class A* 9,031 113
    24,908
Household Durables – 1.5%
Aterian, Inc.* 32,409 70
Beazer Homes U.S.A., Inc.* 15,714 190
Cavco Industries, Inc.* 4,887 958
Century Communities, Inc. 15,577 700
Dream Finders Homes, Inc., Class A* 11,155 119
Ethan Allen Interiors, Inc. 12,063 244
GoPro, Inc., Class A* 69,449 384
Green Brick Partners, Inc.* 15,211 298
Helen of Troy Ltd.* 12,657 2,056
 
NORTHERN FUNDS QUARTERLY REPORT     147    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Household Durables – 1.5%continued
Hovnanian Enterprises, Inc., Class A* 2,738 $117
Installed Building Products, Inc. 12,889 1,072
iRobot Corp.* 14,293 525
KB Home 42,625 1,213
Landsea Homes Corp.* 5,757 38
La-Z-Boy, Inc. 22,900 543
Legacy Housing Corp.* 4,665 61
LGI Homes, Inc.* 11,111 966
Lifetime Brands, Inc. 6,622 73
Lovesac (The) Co.* 7,416 204
M/I Homes, Inc.* 14,632 580
MDC Holdings, Inc. 30,462 984
Meritage Homes Corp.* 19,341 1,402
Purple Innovation, Inc.* 29,227 89
Skyline Champion Corp.* 28,399 1,347
Snap One Holdings Corp.* 9,562 88
Sonos, Inc.* 67,945 1,226
Taylor Morrison Home Corp.* 61,518 1,437
Traeger, Inc.* 16,653 71
Tri Pointe Homes, Inc.* 54,685 922
Tupperware Brands Corp.* 24,228 154
Universal Electronics, Inc.* 6,457 165
Vizio Holding Corp., Class A* 36,128 246
Vuzix Corp.* 31,572 224
Weber, Inc., Class A 14,398 104
    18,870
Household Products – 0.3%
Central Garden & Pet Co.* 5,275 224
Central Garden & Pet Co., Class A* 21,675 867
Energizer Holdings, Inc. 35,499 1,007
WD-40 Co. 7,272 1,464
    3,562
Independent Power & Renewable Electricity Producers – 0.4%
Altus Power, Inc.* 22,301 141
Clearway Energy, Inc., Class A 18,534 592
Clearway Energy, Inc., Class C 43,677 1,522
Montauk Renewables, Inc.* 34,283 345
Ormat Technologies, Inc. 24,149 1,892
Sunnova Energy International, Inc.* 52,860 974
    5,466
Industrial Conglomerates – 0.0%
Brookfield Business Corp., Class A 13,830 318
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Insurance – 2.1%
Ambac Financial Group, Inc.* 24,203 $275
American Equity Investment Life Holding Co. 41,489 1,517
AMERISAFE, Inc. 10,180 529
Argo Group International Holdings Ltd. 16,912 623
Bright Health Group, Inc.* 102,773 187
BRP Group, Inc., Class A* 31,131 752
CNO Financial Group, Inc. 61,241 1,108
Crawford & Co., Class A 8,923 70
Donegal Group, Inc., Class A 7,841 134
eHealth, Inc.* 12,975 121
Employers Holdings, Inc. 14,716 616
Enstar Group Ltd.* 6,159 1,318
Genworth Financial, Inc., Class A* 271,029 957
Goosehead Insurance, Inc., Class A 10,142 463
Greenlight Capital Re Ltd., Class A* 13,901 107
HCI Group, Inc. 3,848 261
Hippo Holdings, Inc.* 135,514 119
Horace Mann Educators Corp. 22,152 850
Investors Title Co. 687 108
James River Group Holdings Ltd. 19,575 485
Kinsale Capital Group, Inc. 11,524 2,646
Lemonade, Inc.* 21,434 391
MBIA, Inc.* 25,570 316
Mercury General Corp. 14,254 631
National Western Life Group, Inc., Class A 1,210 245
NI Holdings, Inc.* 4,425 73
Oscar Health, Inc., Class A* 62,895 267
Palomar Holdings, Inc.* 12,928 833
ProAssurance Corp. 28,712 678
RLI Corp. 20,792 2,424
Root, Inc., Class A* 74,367 89
Safety Insurance Group, Inc. 7,582 736
Selective Insurance Group, Inc. 31,779 2,763
Selectquote, Inc.* 71,189 177
SiriusPoint Ltd.* 49,077 266
Stewart Information Services Corp. 14,287 711
Tiptree, Inc. 12,519 133
Trean Insurance Group, Inc.* 12,036 75
Trupanion, Inc.* 20,761 1,251
United Fire Group, Inc. 11,309 387
Universal Insurance Holdings, Inc. 13,938 182
    25,874
 
EQUITY FUNDS    148    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Interactive Media & Services – 0.7%
Arena Group Holdings (The), Inc.* 6,037 $54
Bumble, Inc., Class A* 45,928 1,293
Cargurus, Inc.* 54,334 1,168
Cars.com, Inc.* 36,665 346
DHI Group, Inc.* 22,763 113
Eventbrite, Inc., Class A* 41,043 422
EverQuote, Inc., Class A* 10,270 91
fuboTV, Inc.* 94,832 234
Leafly Holdings, Inc.* 2,320 10
MediaAlpha, Inc., Class A* 12,654 125
Outbrain, Inc.* 21,263 107
QuinStreet, Inc.* 27,749 279
TrueCar, Inc.* 49,418 128
Vimeo, Inc.* 76,209 459
Wejo Group Ltd.* 12,164 14
Yelp, Inc.* 36,625 1,017
Ziff Davis, Inc.* 24,326 1,813
ZipRecruiter, Inc., Class A* 42,539 630
    8,303
Internet & Direct Marketing Retail – 0.5%
1-800-Flowers.com, Inc., Class A* 14,230 135
1stdibs.com, Inc.* 12,431 71
aka Brands Holding Corp.* 6,739 19
BARK, Inc.* 27,399 35
Boxed, Inc.* 6,123 11
CarParts.com, Inc.* 27,011 188
ContextLogic, Inc., Class A* 302,992 485
Duluth Holdings, Inc., Class B* 6,969 67
Groupon, Inc.* 11,478 130
Lands' End, Inc.* 7,945 84
Liquidity Services, Inc.* 13,164 177
Lulu's Fashion Lounge Holdings, Inc.* 3,040 33
Overstock.com, Inc.* 22,676 567
PetMed Express, Inc. 10,746 214
Porch Group, Inc.* 43,661 112
Poshmark, Inc., Class A* 24,468 247
Quotient Technology, Inc.* 47,566 141
Qurate Retail, Inc., Class A 186,401 535
RealReal (The), Inc.* 46,000 115
Rent the Runway, Inc., Class A* 24,880 76
Revolve Group, Inc.* 21,738 563
RumbleON, Inc., Class B* 5,513 81
Shutterstock, Inc. 12,912 740
Stitch Fix, Inc., Class A* 43,270 214
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Internet & Direct Marketing Retail – 0.5%continued
ThredUp, Inc., Class A* 31,249 $78
Vivid Seats, Inc., Class A 13,171 98
Xometry, Inc., Class A* 17,986 610
    5,826
IT Services – 2.2%
AvidXchange Holdings, Inc.* 78,038 479
BigCommerce Holdings, Inc., Class 1* 34,140 553
Bread Financial Holdings, Inc. 26,663 988
Brightcove, Inc.* 21,714 137
Cantaloupe, Inc.* 31,096 174
Cass Information Systems, Inc. 7,158 242
Cerberus Cyber Sentinel Corp.* 24,308 88
Conduent, Inc.* 90,392 391
Core Scientific, Inc.* 116,481 174
CSG Systems International, Inc. 17,042 1,017
Cyxtera Technologies, Inc.* 22,662 257
DigitalOcean Holdings, Inc.* 40,629 1,680
Edgio, Inc.* 73,086 169
EVERTEC, Inc. 32,000 1,180
Evo Payments, Inc., Class A* 25,175 592
ExlService Holdings, Inc.* 17,241 2,540
Fastly, Inc., Class A* 59,401 690
Flywire Corp.* 29,429 519
Grid Dynamics Holdings, Inc.* 25,875 435
Hackett Group (The), Inc. 14,353 272
I3 Verticals, Inc., Class A* 11,820 296
IBEX Holdings Ltd.* 2,856 48
Information Services Group, Inc. 18,917 128
International Money Express, Inc.* 17,298 354
Marqeta, Inc., Class A* 231,130 1,875
Maximus, Inc. 32,706 2,044
MoneyGram International, Inc.* 49,928 499
Paya Holdings, Inc.* 46,517 306
Payoneer Global, Inc.* 115,239 452
Paysafe Ltd.* 180,038 351
Perficient, Inc.* 18,190 1,668
PFSweb, Inc.* 8,793 103
Priority Technology Holdings, Inc.* 9,532 32
Rackspace Technology, Inc.* 30,662 220
Remitly Global, Inc.* 44,778 343
Repay Holdings Corp.* 46,640 599
Sabre Corp.* 173,621 1,012
SolarWinds Corp. 25,715 264
Squarespace, Inc., Class A* 16,682 349
 
NORTHERN FUNDS QUARTERLY REPORT     149    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
IT Services – 2.2%continued
StoneCo Ltd., Class A* 147,554 $1,136
TTEC Holdings, Inc. 10,022 680
Tucows, Inc., Class A* 5,249 234
Unisys Corp.* 35,257 424
Verra Mobility Corp.* 77,797 1,222
    27,216
Leisure Products – 0.5%
Acushnet Holdings Corp. 18,244 760
AMMO, Inc.* 46,506 179
Callaway Golf Co.* 74,496 1,520
Clarus Corp. 15,365 292
Johnson Outdoors, Inc., Class A 2,846 174
Latham Group, Inc.* 23,356 162
Malibu Boats, Inc., Class A* 11,046 582
Marine Products Corp. 4,517 43
MasterCraft Boat Holdings, Inc.* 9,744 205
Smith & Wesson Brands, Inc. 24,185 318
Solo Brands, Inc., Class A* 11,713 48
Sturm Ruger & Co., Inc. 9,183 584
Vinco Ventures, Inc.* 97,705 135
Vista Outdoor, Inc.* 29,753 830
    5,832
Life Sciences Tools & Services – 0.7%
AbCellera Biologics, Inc.* 110,229 1,174
Absci Corp.* 27,996 93
Adaptive Biotechnologies Corp.* 59,310 480
Akoya Biosciences, Inc.* 8,388 108
Alpha Teknova, Inc.* 3,037 25
Berkeley Lights, Inc.* 29,723 148
Bionano Genomics, Inc.* 154,751 214
Codexis, Inc.* 32,760 343
Cytek Biosciences, Inc.* 60,780 652
Inotiv, Inc.* 9,413 90
MaxCyte, Inc.* 46,297 219
Medpace Holdings, Inc.* 14,661 2,194
NanoString Technologies, Inc.* 24,765 314
Nautilus Biotechnology, Inc.* 25,309 68
NeoGenomics, Inc.* 66,096 539
Pacific Biosciences of California, Inc.* 120,231 531
Quanterix Corp.* 18,065 292
Quantum-Si, Inc.* 48,617 113
Science 37 Holdings, Inc.* 33,134 67
Seer, Inc.* 27,435 246
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Life Sciences Tools & Services – 0.7%continued
Singular Genomics Systems, Inc.* 29,631 $113
SomaLogic, Inc.* 79,600 360
    8,383
Machinery – 3.8%
Alamo Group, Inc. 5,358 624
Albany International Corp., Class A 16,815 1,325
Altra Industrial Motion Corp. 34,611 1,220
Astec Industries, Inc. 12,156 496
Barnes Group, Inc. 26,070 812
Berkshire Grey, Inc.* 25,966 38
Blue Bird Corp.* 9,205 85
Chart Industries, Inc.* 19,556 3,273
CIRCOR International, Inc.* 9,839 161
Columbus McKinnon Corp. 14,918 423
Desktop Metal, Inc., Class A* 140,761 310
Douglas Dynamics, Inc. 11,976 344
Energy Recovery, Inc.* 29,707 577
Enerpac Tool Group Corp. 32,416 616
EnPro Industries, Inc. 11,082 908
ESCO Technologies, Inc. 13,721 938
Evoqua Water Technologies Corp.* 62,630 2,036
Fathom Digital Manufacturing C* 5,372 21
Federal Signal Corp. 31,807 1,132
Franklin Electric Co., Inc. 24,545 1,798
Gorman-Rupp (The) Co. 12,113 343
Greenbrier (The) Cos., Inc. 16,953 610
Helios Technologies, Inc. 17,323 1,148
Hillenbrand, Inc. 38,669 1,584
Hillman Solutions Corp.* 71,648 619
Hydrofarm Holdings Group, Inc.* 23,237 81
Hyliion Holdings Corp.* 70,641 227
Hyster-Yale Materials Handling, Inc. 5,771 186
Hyzon Motors, Inc.* 46,728 137
John Bean Technologies Corp. 16,841 1,860
Kadant, Inc. 6,179 1,127
Kennametal, Inc. 44,019 1,023
Lightning eMotors, Inc.* 20,831 58
Lindsay Corp. 5,860 778
Luxfer Holdings PLC 14,874 225
Manitowoc (The) Co., Inc.* 18,478 195
Markforged Holding Corp.* 58,608 108
Meritor, Inc.* 37,391 1,358
Microvast Holdings, Inc.* 90,761 201
Miller Industries, Inc. 5,905 134
 
EQUITY FUNDS    150    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Machinery – 3.8%continued
Mueller Industries, Inc. 29,790 $1,587
Mueller Water Products, Inc., Class A 83,029 974
Nikola Corp.* 155,443 740
Omega Flex, Inc. 1,759 189
Proterra, Inc.* 117,702 546
Proto Labs, Inc.* 14,656 701
RBC Bearings, Inc.* 15,186 2,809
REV Group, Inc. 18,547 202
Sarcos Technology and Robotics Corp.* 40,382 107
Shyft Group (The), Inc. 18,381 342
SPX Corp.* 23,575 1,246
Standex International Corp. 6,356 539
Tennant Co. 9,867 585
Terex Corp. 36,291 993
Titan International, Inc.* 27,241 411
Trinity Industries, Inc. 44,455 1,077
Velo3D, Inc.* 29,975 41
Wabash National Corp. 25,896 352
Watts Water Technologies, Inc., Class A 14,570 1,790
Welbilt, Inc.* 70,016 1,667
Xos, Inc.* 29,109 53
    46,090
Marine – 0.3%
Costamare, Inc. 28,758 348
Eagle Bulk Shipping, Inc. 7,144 370
Eneti, Inc. 12,184 75
Genco Shipping & Trading Ltd. 19,518 377
Golden Ocean Group Ltd. 65,355 761
Matson, Inc. 21,346 1,556
Safe Bulkers, Inc. 39,007 149
    3,636
Media – 1.0%
AdTheorent Holding Co., Inc.* 8,523 26
Advantage Solutions, Inc.* 43,921 167
AMC Networks, Inc., Class A* 16,103 469
Audacy, Inc.* 65,195 62
Boston Omaha Corp., Class A* 10,900 225
Cardlytics, Inc.* 17,659 394
Clear Channel Outdoor Holdings, Inc.* 192,849 206
Cumulus Media, Inc., Class A* 9,833 76
Daily Journal Corp.* 643 166
Entravision Communications Corp., Class A 31,595 144
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Media – 1.0%continued
EW Scripps (The) Co., Class A* 31,291 $390
Gambling.com Group Ltd.* 4,625 36
Gannett Co., Inc.* 76,367 222
Gray Television, Inc. 45,015 760
iHeartMedia, Inc., Class A* 64,169 506
Innovid Corp.* 11,904 20
Integral Ad Science Holding Corp.* 20,312 202
John Wiley & Sons, Inc., Class A 22,862 1,092
Loyalty Ventures, Inc.* 10,677 38
Magnite, Inc.* 69,676 619
PubMatic, Inc., Class A* 22,213 353
Scholastic Corp. 14,696 529
Sinclair Broadcast Group, Inc., Class A 22,175 452
Stagwell, Inc.* 41,564 226
TechTarget, Inc.* 14,594 959
TEGNA, Inc. 118,617 2,487
Thryv Holdings, Inc.* 13,526 303
Urban One, Inc.* 4,404 24
Urban One, Inc.* 6,383 27
WideOpenWest, Inc.* 28,643 522
    11,702
Metals & Mining – 1.4%
5E Advanced Materials, Inc.* 17,193 209
Allegheny Technologies, Inc.* 66,078 1,501
Alpha Metallurgical Resources, Inc. 9,522 1,230
Arconic Corp.* 56,330 1,580
Carpenter Technology Corp. 25,437 710
Century Aluminum Co.* 27,870 205
Coeur Mining, Inc.* 148,330 451
Commercial Metals Co. 64,421 2,132
Compass Minerals International, Inc. 18,259 646
Constellium S.E.* 66,078 873
Dakota Gold Corp.* 27,038 91
Haynes International, Inc. 6,503 213
Hecla Mining Co. 284,732 1,116
Hycroft Mining Holding Corp.* 80,359 89
Kaiser Aluminum Corp. 8,431 667
Materion Corp. 10,871 802
Novagold Resources, Inc.* 127,330 612
Olympic Steel, Inc. 5,081 131
Piedmont Lithium, Inc.* 9,243 337
PolyMet Mining Corp.* 15,446 43
Ramaco Resources, Inc. 11,936 157
Ryerson Holding Corp. 8,899 189
 
NORTHERN FUNDS QUARTERLY REPORT     151    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Metals & Mining – 1.4%continued
Schnitzer Steel Industries, Inc., Class A 13,797 $453
SunCoke Energy, Inc. 44,338 302
TimkenSteel Corp.* 24,693 462
Warrior Met Coal, Inc. 27,418 839
Worthington Industries, Inc. 16,934 747
    16,787
Mortgage Real Estate Investment Trusts – 1.4%
AFC Gamma, Inc. 8,541 131
Angel Oak Mortgage, Inc. 6,347 82
Apollo Commercial Real Estate Finance, Inc. 74,898 782
Arbor Realty Trust, Inc. 82,699 1,084
Ares Commercial Real Estate Corp. 23,912 292
ARMOUR Residential REIT, Inc. 54,661 385
Blackstone Mortgage Trust, Inc., Class A 90,654 2,508
BrightSpire Capital, Inc. 50,715 383
Broadmark Realty Capital, Inc. 69,289 465
Chicago Atlantic Real Estate Finance, Inc. 3,731 56
Chimera Investment Corp. 126,637 1,117
Claros Mortgage Trust, Inc. 48,970 820
Dynex Capital, Inc. 19,261 307
Ellington Financial, Inc. 30,253 444
Franklin BSP Realty Trust, Inc. 44,815 604
Granite Point Mortgage Trust, Inc. 28,433 272
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 45,371 1,718
Invesco Mortgage Capital, Inc. 17,677 259
KKR Real Estate Finance Trust, Inc. 27,541 481
Ladder Capital Corp. 60,485 638
MFA Financial, Inc. 54,640 587
New York Mortgage Trust, Inc. 202,400 559
Nexpoint Real Estate Finance, Inc. 4,172 85
Orchid Island Capital, Inc. 94,743 270
PennyMac Mortgage Investment Trust 48,965 677
Ready Capital Corp. 39,418 470
Redwood Trust, Inc. 63,981 493
TPG RE Finance Trust, Inc. 36,701 331
Two Harbors Investment Corp. 183,964 916
    17,216
Multiline Retail – 0.1%
Big Lots, Inc. 14,914 313
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Multiline Retail – 0.1%continued
Dillard's, Inc., Class A 2,293 $506
Franchise Group, Inc. 14,659 514
    1,333
Multi-Utilities – 0.5%
Avista Corp. 38,544 1,677
Black Hills Corp. 34,614 2,519
NorthWestern Corp. 28,941 1,706
PNM Resources, Inc. - (Fractional Shares)(2) 50,000
Unitil Corp. 8,433 495
    6,397
Oil, Gas & Consumable Fuels – 4.0%
Aemetis, Inc.* 15,754 77
Alto Ingredients, Inc.* 38,231 142
Amplify Energy Corp.* 18,993 124
Arch Resources, Inc. 8,112 1,161
Archaea Energy, Inc.* 31,720 493
Ardmore Shipping Corp.* 18,560 129
Battalion Oil Corp.* 1,338 11
Berry Corp. 42,676 325
Brigham Minerals, Inc., Class A 27,153 669
California Resources Corp. 41,658 1,604
Callon Petroleum Co.* 26,189 1,027
Centennial Resource Development, Inc., Class A* 109,520 655
Centrus Energy Corp., Class A* 5,670 140
Civitas Resources, Inc. 39,262 2,053
Clean Energy Fuels Corp.* 90,249 404
CNX Resources Corp.* 102,633 1,689
Comstock Resources, Inc.* 48,806 590
CONSOL Energy, Inc.* 18,275 902
Crescent Energy Co., Class A 17,301 216
CVR Energy, Inc. 15,744 527
Delek U.S. Holdings, Inc.* 37,528 970
Denbury, Inc.* 27,032 1,622
DHT Holdings, Inc. 74,708 458
Dorian LPG Ltd. 16,350 249
Earthstone Energy, Inc., Class A* 23,018 314
Empire Petroleum Corp.* 3,603 43
Energy Fuels, Inc.* 83,067 408
Equitrans Midstream Corp. 218,892 1,392
Excelerate Energy, Inc., Class A* 9,876 197
FLEX LNG Ltd. 15,179 416
Frontline Ltd.* 66,390 588
 
EQUITY FUNDS    152    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Oil, Gas & Consumable Fuels – 4.0%continued
Gevo, Inc.* 104,776 $246
Golar LNG Ltd.* 53,743 1,223
Green Plains, Inc.* 28,073 763
Gulfport Energy Corp.* 6,338 504
HighPeak Energy, Inc. 3,410 87
International Seaways, Inc. 26,231 556
Kinetik Holdings, Inc. 8,813 301
Kosmos Energy Ltd.* 240,389 1,488
Laredo Petroleum, Inc.* 9,087 626
Magnolia Oil & Gas Corp., Class A 88,841 1,865
Matador Resources Co. 59,933 2,792
Murphy Oil Corp. 78,477 2,369
NACCO Industries, Inc., Class A 2,158 82
NextDecade Corp.* 16,453 73
Nordic American Tankers Ltd. 101,253 216
Northern Oil and Gas, Inc. 34,925 882
Oasis Petroleum, Inc. 10,468 1,273
Par Pacific Holdings, Inc.* 26,035 406
PBF Energy, Inc., Class A* 51,541 1,496
Peabody Energy Corp.* 62,682 1,337
Ranger Oil Corp., Class A* 11,325 372
REX American Resources Corp.* 2,804 238
Riley Exploration Permian, Inc. 5,533 134
Ring Energy, Inc.* 46,031 122
SandRidge Energy, Inc.* 16,921 265
Scorpio Tankers, Inc. 26,423 912
SFL Corp. Ltd. 61,147 580
SilverBow Resources, Inc.* 6,248 177
Sitio Royalties Corp. 6,210 144
SM Energy Co. 64,488 2,205
Talos Energy, Inc.* 35,219 545
Teekay Corp.* 36,694 106
Teekay Tankers Ltd., Class A* 12,171 215
Tellurian, Inc.* 271,630 809
Uranium Energy Corp.* 148,780 458
Ur-Energy, Inc.* 111,501 118
VAALCO Energy, Inc. 31,125 216
Vertex Energy, Inc.* 28,786 303
W&T Offshore, Inc.* 50,190 217
Whiting Petroleum Corp. 20,948 1,425
World Fuel Services Corp. 33,228 680
    48,421
Paper & Forest Products – 0.1%
Clearwater Paper Corp.* 8,963 301
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Paper & Forest Products – 0.1%continued
Glatfelter Corp. 23,421 $161
Neenah, Inc. 8,952 306
Resolute Forest Products, Inc.* 24,462 312
Sylvamo Corp. 18,901 618
    1,698
Personal Products – 0.7%
Beauty Health (The) Co.* 53,099 683
BellRing Brands, Inc.* 62,265 1,550
Edgewell Personal Care Co. 28,626 988
elf Beauty, Inc.* 25,775 791
Herbalife Nutrition Ltd.* 52,735 1,078
Honest (The) Co., Inc.* 34,590 101
Inter Parfums, Inc. 9,556 698
Medifast, Inc. 6,051 1,092
Nature's Sunshine Products, Inc.* 7,236 77
Nu Skin Enterprises, Inc., Class A 26,585 1,151
Thorne HealthTech, Inc.* 7,257 35
USANA Health Sciences, Inc.* 5,980 433
Veru, Inc.* 34,592 391
    9,068
Pharmaceuticals – 1.5%
Aclaris Therapeutics, Inc.* 31,838 444
Aerie Pharmaceuticals, Inc.* 24,891 187
Amneal Pharmaceuticals, Inc.* 55,077 175
Amphastar Pharmaceuticals, Inc.* 20,360 708
Amylyx Pharmaceuticals, Inc.* 6,097 117
AN2 Therapeutics, Inc.* 2,446 19
ANI Pharmaceuticals, Inc.* 6,697 199
Arvinas, Inc.* 25,884 1,089
Atea Pharmaceuticals, Inc.* 40,597 288
Athira Pharma, Inc.* 17,820 54
Axsome Therapeutics, Inc.* 15,369 589
Cara Therapeutics, Inc.* 23,828 218
Cassava Sciences, Inc.* 20,299 571
CinCor Pharma, Inc.* 7,124 134
Collegium Pharmaceutical, Inc.* 18,050 320
Corcept Therapeutics, Inc.* 45,360 1,079
DICE Therapeutics, Inc.* 15,103 234
Edgewise Therapeutics, Inc.* 15,805 126
Endo International PLC* 126,563 59
Esperion Therapeutics, Inc.* 33,515 213
Evolus, Inc.* 18,824 218
EyePoint Pharmaceuticals, Inc.* 14,067 111
 
NORTHERN FUNDS QUARTERLY REPORT     153    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Pharmaceuticals – 1.5%continued
Fulcrum Therapeutics, Inc.* 18,141 $89
Harmony Biosciences Holdings, Inc.* 13,946 680
Innoviva, Inc.* 33,633 496
Intra-Cellular Therapies, Inc.* 48,767 2,784
Liquidia Corp.* 25,369 111
Nektar Therapeutics* 96,488 367
NGM Biopharmaceuticals, Inc.* 20,855 267
Nuvation Bio, Inc.* 61,914 201
Ocular Therapeutix, Inc.* 40,938 165
Pacira BioSciences, Inc.* 23,894 1,393
Phathom Pharmaceuticals, Inc.* 12,240 103
Phibro Animal Health Corp., Class A 10,746 206
Prestige Consumer Healthcare, Inc.* 26,754 1,573
Provention Bio, Inc.* 29,360 117
Reata Pharmaceuticals, Inc., Class A* 14,714 447
Relmada Therapeutics, Inc.* 14,566 277
Revance Therapeutics, Inc.* 37,306 516
SIGA Technologies, Inc. 25,052 290
Supernus Pharmaceuticals, Inc.* 26,070 754
Tarsus Pharmaceuticals, Inc.* 9,638 141
Theravance Biopharma, Inc.* 34,238 310
Theseus Pharmaceuticals, Inc.* 9,017 50
Tricida, Inc.* 17,712 171
Ventyx Biosciences, Inc.* 11,917 146
Xeris Biopharma Holdings, Inc.* 70,380 108
    18,914
Professional Services – 1.8%
Alight, Inc., Class A* 180,758 1,220
ASGN, Inc.* 26,714 2,411
Atlas Technical Consultants, Inc.* 9,489 50
Barrett Business Services, Inc. 3,830 279
CBIZ, Inc.* 26,164 1,045
CRA International, Inc. 3,805 340
Exponent, Inc. 27,447 2,511
First Advantage Corp.* 31,259 396
Forrester Research, Inc.* 6,016 288
Franklin Covey Co.* 6,689 309
Heidrick & Struggles International, Inc. 10,368 335
HireRight Holdings Corp.* 11,290 160
Huron Consulting Group, Inc.* 11,197 728
ICF International, Inc. 9,827 934
Insperity, Inc. 19,319 1,929
Kelly Services, Inc., Class A 18,726 371
Kforce, Inc. 10,854 666
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Professional Services – 1.8%continued
Korn Ferry 28,524 $1,655
Legalzoom.com, Inc.* 52,150 573
ManTech International Corp., Class A 15,916 1,519
Planet Labs PBC* 82,768 358
Red Violet, Inc.* 5,042 96
Resources Connection, Inc. 17,022 347
Skillsoft Corp.* 43,218 152
Spire Global, Inc.* 66,562 77
Sterling Check Corp.* 12,605 206
TriNet Group, Inc.* 19,938 1,548
TrueBlue, Inc.* 17,441 312
Upwork, Inc.* 63,829 1,320
Willdan Group, Inc.* 6,154 170
    22,305
Real Estate Management & Development – 0.8%
American Realty Investors, Inc.* 794 11
Anywhere Real Estate, Inc.* 61,685 606
Compass, Inc., Class A* 138,756 501
Cushman & Wakefield PLC* 84,638 1,290
DigitalBridge Group, Inc.* 314,791 1,536
Doma Holdings, Inc.* 72,892 75
Douglas Elliman, Inc. 40,734 195
eXp World Holdings, Inc. 36,519 430
Forestar Group, Inc.* 9,811 134
FRP Holdings, Inc.* 3,588 216
Kennedy-Wilson Holdings, Inc. 62,873 1,191
Marcus & Millichap, Inc. 13,236 490
Newmark Group, Inc., Class A 78,689 761
Offerpad Solutions, Inc.* 36,334 79
RE/MAX Holdings, Inc., Class A 10,058 247
Redfin Corp.* 55,707 459
RMR Group (The), Inc., Class A 8,148 231
Seritage Growth Properties, Class A* 23,388 122
St. Joe (The) Co. 18,343 726
Stratus Properties, Inc.* 3,137 101
Tejon Ranch Co.* 11,063 172
Transcontinental Realty Investors, Inc.* 668 27
    9,600
Road & Rail – 0.6%
ArcBest Corp. 13,019 916
Bird Global, Inc., Class A* 91,275 40
Covenant Logistics Group, Inc. 5,892 148
Daseke, Inc.* 21,347 136
 
EQUITY FUNDS    154    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Road & Rail – 0.6%continued
Heartland Express, Inc. 24,881 $346
Marten Transport Ltd. 31,403 528
P.A.M. Transportation Services, Inc.* 3,510 96
Saia, Inc.* 14,142 2,659
TuSimple Holdings, Inc., Class A* 74,483 539
Universal Logistics Holdings, Inc. 3,878 106
Werner Enterprises, Inc. 34,609 1,334
    6,848
Semiconductors & Semiconductor Equipment – 2.8%
ACM Research, Inc., Class A* 25,525 430
Alpha & Omega Semiconductor Ltd.* 11,654 388
Ambarella, Inc.* 19,394 1,269
Amkor Technology, Inc. 54,038 916
Atomera, Inc.* 10,699 100
Axcelis Technologies, Inc.* 17,398 954
AXT, Inc.* 21,548 126
CEVA, Inc.* 12,144 408
CMC Materials, Inc. 15,196 2,652
Cohu, Inc.* 25,580 710
Credo Technology Group Holding Ltd.* 12,507 146
CyberOptics Corp.* 3,815 133
Diodes, Inc.* 23,704 1,531
FormFactor, Inc.* 41,547 1,609
Ichor Holdings Ltd.* 14,939 388
Impinj, Inc.* 11,190 656
indie Semiconductor, Inc., Class A* 53,122 303
Kulicke & Soffa Industries, Inc. 30,946 1,325
MACOM Technology Solutions Holdings, Inc.* 26,872 1,239
MaxLinear, Inc.* 38,242 1,299
Meta Materials, Inc.(3) *
NeoPhotonics Corp.* 27,990 440
Onto Innovation, Inc.* 26,396 1,841
PDF Solutions, Inc.* 16,087 346
Photronics, Inc.* 31,910 622
Power Integrations, Inc. 30,791 2,310
Rambus, Inc.* 58,358 1,254
Rigetti Computing, Inc.* 17,060 63
Rockley Photonics Holdings Ltd.* 54,257 118
Semtech Corp.* 33,702 1,853
Silicon Laboratories, Inc.* 19,327 2,710
SiTime Corp.* 8,528 1,390
SkyWater Technology, Inc.* 5,760 35
SMART Global Holdings, Inc.* 26,148 428
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Semiconductors & Semiconductor Equipment – 2.8%continued
SunPower Corp.* 43,684 $691
Synaptics, Inc.* 21,121 2,493
Transphorm, Inc.* 11,414 43
Ultra Clean Holdings, Inc.* 24,046 716
Veeco Instruments, Inc.* 26,578 516
    34,451
Software – 5.3%
8x8, Inc.* 58,518 301
A10 Networks, Inc. 35,090 505
ACI Worldwide, Inc.* 60,976 1,579
Agilysys, Inc.* 10,415 492
Alarm.com Holdings, Inc.* 25,605 1,584
Alkami Technology, Inc.* 19,092 265
Altair Engineering, Inc., Class A* 27,667 1,452
American Software, Inc., Class A 16,661 269
Amplitude, Inc., Class A* 29,766 425
Appfolio, Inc., Class A* 10,141 919
Appian Corp.* 21,313 1,009
Applied Blockchain, Inc.* 4,245 4
Arteris, Inc.* 9,005 63
Asana, Inc., Class A* 39,205 689
Avaya Holdings Corp.* 43,748 98
AvePoint, Inc.* 68,559 298
Benefitfocus, Inc.* 13,878 108
Blackbaud, Inc.* 24,728 1,436
Blackline, Inc.* 29,406 1,958
Blend Labs, Inc., Class A* 98,479 232
Box, Inc., Class A* 68,730 1,728
BTRS Holdings, Inc., Class 1* 53,390 266
C3.ai, Inc., Class A* 36,637 669
Cerence, Inc.* 20,921 528
ChannelAdvisor Corp.* 15,944 232
Cipher Mining, Inc.* 20,769 28
Cleanspark, Inc.* 21,467 84
Clear Secure, Inc., Class A* 33,122 662
CommVault Systems, Inc.* 23,704 1,491
Consensus Cloud Solutions, Inc.* 8,511 372
Couchbase, Inc.* 14,105 232
CS Disco, Inc.* 11,833 213
Cvent Holding Corp.* 44,751 207
Digimarc Corp.* 7,359 104
Digital Turbine, Inc.* 49,035 857
Domo, Inc., Class B* 16,173 450
Duck Creek Technologies, Inc.* 41,117 611
 
NORTHERN FUNDS QUARTERLY REPORT     155    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Software – 5.3%continued
E2open Parent Holdings, Inc.* 106,063 $825
Ebix, Inc. 14,030 237
eGain Corp.* 10,870 106
Enfusion, Inc., Class A* 13,555 138
EngageSmart, Inc.* 18,575 299
Envestnet, Inc.* 29,267 1,544
Everbridge, Inc.* 21,073 588
EverCommerce, Inc.* 12,857 116
ForgeRock, Inc., Class A* 14,843 318
Greenidge Generation Holdings, Inc.* 6,811 17
GTY Technology Holdings, Inc.* 21,715 136
Instructure Holdings, Inc.* 9,214 209
Intapp, Inc.* 7,501 110
InterDigital, Inc. 16,453 1,000
IronNet, Inc.* 34,498 76
Kaleyra, Inc.* 15,678 32
KnowBe4, Inc., Class A* 38,775 606
Latch, Inc.* 37,441 43
LivePerson, Inc.* 37,445 529
LiveRamp Holdings, Inc.* 35,711 922
LiveVox Holdings, Inc.* 11,822 20
Marathon Digital Holdings, Inc.* 53,752 287
Matterport, Inc.* 116,534 426
MeridianLink, Inc.* 12,093 202
MicroStrategy, Inc., Class A* 5,009 823
Mitek Systems, Inc.* 22,474 208
Model N, Inc.* 19,200 491
Momentive Global, Inc.* 70,507 620
N-able, Inc.* 36,299 327
NextNav, Inc.* 25,968 59
Olo, Inc., Class A* 47,870 472
ON24, Inc.* 22,145 210
OneSpan, Inc.* 21,318 254
PagerDuty, Inc.* 45,372 1,124
Ping Identity Holding Corp.* 41,145 746
Progress Software Corp. 23,276 1,054
PROS Holdings, Inc.* 21,835 573
Q2 Holdings, Inc.* 29,726 1,146
Qualys, Inc.* 20,784 2,622
Rapid7, Inc.* 30,923 2,066
Rimini Street, Inc.* 25,902 156
Riot Blockchain, Inc.* 62,333 261
Sailpoint Technologies Holdings, Inc.* 49,580 3,108
Sapiens International Corp. N.V. 16,360 396
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Software – 5.3%continued
SecureWorks Corp., Class A* 5,222 $57
ShotSpotter, Inc.* 4,752 128
Sprout Social, Inc., Class A* 24,464 1,421
SPS Commerce, Inc.* 19,308 2,183
Sumo Logic, Inc.* 45,490 341
Telos Corp.* 28,677 232
Tenable Holdings, Inc.* 58,522 2,657
Terawulf, Inc.* 11,348 14
Upland Software, Inc.* 15,511 225
UserTesting, Inc.* 25,180 126
Varonis Systems, Inc.* 58,000 1,701
Verint Systems, Inc.* 33,874 1,435
Veritone, Inc.* 16,644 109
Viant Technology, Inc., Class A* 7,454 38
Vonage Holdings Corp.* 136,814 2,578
Weave Communications, Inc.* 2,452 7
WM Technology, Inc.* 38,201 126
Workiva, Inc.* 25,382 1,675
Xperi Holding Corp. 55,478 801
Yext, Inc.* 63,974 306
Zeta Global Holdings Corp., Class A* 16,566 75
Zuora, Inc., Class A* 60,094 538
    64,695
Specialty Retail – 2.2%
Aaron's (The) Co., Inc. 16,128 235
Abercrombie & Fitch Co., Class A* 26,421 447
Academy Sports & Outdoors, Inc. 44,659 1,587
American Eagle Outfitters, Inc. 82,083 918
America's Car-Mart, Inc.* 3,169 319
Arko Corp. 45,073 368
Asbury Automotive Group, Inc.* 11,793 1,997
Bed Bath & Beyond, Inc.* 42,431 211
Big 5 Sporting Goods Corp. 11,494 129
Boot Barn Holdings, Inc.* 15,715 1,083
Buckle (The), Inc. 16,079 445
Build-A-Bear Workshop, Inc. 7,550 124
Caleres, Inc. 19,399 509
Camping World Holdings, Inc., Class A 20,489 442
Cato (The) Corp., Class A 9,787 114
Chico's FAS, Inc.* 65,470 325
Children's Place (The), Inc.* 6,999 272
Citi Trends, Inc.* 4,518 107
Conn's, Inc.* 6,945 56
Container Store Group (The), Inc.* 17,563 109
 
EQUITY FUNDS    156    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Specialty Retail – 2.2%continued
Designer Brands, Inc., Class A 30,779 $402
Destination XL Group, Inc.* 31,811 108
EVgo, Inc.* 36,174 217
Express, Inc.* 34,197 67
Foot Locker, Inc. 44,235 1,117
Genesco, Inc.* 6,978 348
Group 1 Automotive, Inc. 8,559 1,453
GrowGeneration Corp.* 30,590 110
Guess?, Inc. 18,125 309
Haverty Furniture Cos., Inc. 8,039 186
Hibbett, Inc. 6,840 299
JOANN, Inc. 5,792 45
LL Flooring Holdings, Inc.* 15,324 144
MarineMax, Inc.* 11,264 407
Monro, Inc. 17,725 760
Murphy U.S.A., Inc. 11,929 2,778
National Vision Holdings, Inc.* 43,208 1,188
ODP (The) Corp.* 22,886 692
OneWater Marine, Inc., Class A* 5,837 193
Party City Holdco, Inc.* 57,587 76
Rent-A-Center, Inc. 28,262 550
Sally Beauty Holdings, Inc.* 57,022 680
Shoe Carnival, Inc. 9,389 203
Signet Jewelers Ltd. 24,839 1,328
Sleep Number Corp.* 11,493 356
Sonic Automotive, Inc., Class A 10,728 393
Sportsman's Warehouse Holdings, Inc.* 23,144 222
Tile Shop Holdings, Inc. 19,363 59
Tilly's, Inc., Class A 12,518 88
Torrid Holdings, Inc.* 7,918 34
TravelCenters of America, Inc.* 6,756 233
Urban Outfitters, Inc.* 35,103 655
Volta, Inc.* 65,028 84
Warby Parker, Inc., Class A* 44,429 500
Winmark Corp. 1,517 297
Zumiez, Inc.* 8,330 217
    26,595
Technology Hardware, Storage & Peripherals – 0.3%
3D Systems Corp.* 67,295 653
Avid Technology, Inc.* 19,063 495
CompoSecure, Inc.* 4,133 21
Corsair Gaming, Inc.* 20,393 268
Diebold Nixdorf, Inc.* 39,740 90
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Technology Hardware, Storage & Peripherals – 0.3%continued
Eastman Kodak Co.* 30,432 $141
IonQ, Inc.* 63,251 277
Super Micro Computer, Inc.* 24,173 975
Turtle Beach Corp.* 8,386 103
Xerox Holdings Corp. 60,877 904
    3,927
Textiles, Apparel & Luxury Goods – 0.6%
Allbirds, Inc., Class A* 50,242 197
Crocs, Inc.* 32,305 1,572
Ermenegildo Zegna Holditalia S.p.A.* 25,163 266
Fossil Group, Inc.* 24,824 128
G-III Apparel Group Ltd.* 23,242 470
Kontoor Brands, Inc. 30,024 1,002
Movado Group, Inc. 8,335 258
Oxford Industries, Inc. 8,264 733
PLBY Group, Inc.* 16,647 107
Rocky Brands, Inc. 3,639 124
Steven Madden Ltd. 42,030 1,354
Superior Group of Cos., Inc. 6,230 111
Unifi, Inc.* 7,320 103
Wolverine World Wide, Inc. 42,613 859
    7,284
Thrifts & Mortgage Finance – 1.4%
Axos Financial, Inc.* 30,514 1,094
Blue Foundry Bancorp* 13,960 167
Bridgewater Bancshares, Inc.* 10,986 177
Capitol Federal Financial, Inc. 69,240 636
Columbia Financial, Inc.* 18,419 402
Enact Holdings, Inc. 16,000 344
Essent Group Ltd. 56,104 2,182
Federal Agricultural Mortgage Corp., Class C 4,849 473
Finance of America Cos., Inc., Class A* 20,687 32
Flagstar Bancorp, Inc. 27,839 987
Greene County Bancorp, Inc. 1,802 82
Hingham Institution For Savings (The) 777 220
Home Bancorp, Inc. 3,891 133
Home Point Capital, Inc. 3,894 15
Kearny Financial Corp. 33,006 367
Luther Burbank Corp. 7,908 103
Merchants Bancorp 8,375 190
Mr Cooper Group, Inc.* 38,653 1,420
NMI Holdings, Inc., Class A* 45,008 749
Northfield Bancorp, Inc. 23,290 303
 
NORTHERN FUNDS QUARTERLY REPORT     157    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Thrifts & Mortgage Finance – 1.4%continued
PCSB Financial Corp. 6,580 $126
PennyMac Financial Services, Inc. 15,759 689
Pioneer Bancorp, Inc.* 6,018 59
Provident Bancorp, Inc. 7,680 121
Provident Financial Services, Inc. 39,775 885
Radian Group, Inc. 92,259 1,813
Southern Missouri Bancorp, Inc. 4,211 191
Sterling Bancorp, Inc.* 9,115 52
TrustCo Bank Corp. NY 9,989 308
Velocity Financial, Inc.* 4,691 52
Walker & Dunlop, Inc. 16,341 1,574
Waterstone Financial, Inc. 10,716 183
WSFS Financial Corp. 34,291 1,375
    17,504
Tobacco – 0.2%
22nd Century Group, Inc.* 86,174 183
Turning Point Brands, Inc. 8,045 218
Universal Corp. 12,870 779
Vector Group Ltd. 76,544 804
    1,984
Trading Companies & Distributors – 1.4%
Alta Equipment Group, Inc.* 11,170 100
Applied Industrial Technologies, Inc. 20,378 1,960
Beacon Roofing Supply, Inc.* 28,921 1,485
BlueLinx Holdings, Inc.* 5,025 336
Boise Cascade Co. 21,031 1,251
Custom Truck One Source, Inc.* 31,857 178
Distribution Solutions Group, Inc.* 2,621 135
DXP Enterprises, Inc.* 8,106 248
GATX Corp. 18,903 1,780
Global Industrial Co. 6,875 232
GMS, Inc.* 23,028 1,025
H&E Equipment Services, Inc. 16,982 492
Herc Holdings, Inc. 13,687 1,234
Hudson Technologies, Inc.* 22,961 172
Karat Packaging, Inc.* 3,021 51
McGrath RentCorp 12,896 980
MRC Global, Inc.* 43,958 438
NOW, Inc.* 58,720 574
Rush Enterprises, Inc., Class A 22,605 1,090
Rush Enterprises, Inc., Class B 3,632 180
Textainer Group Holdings Ltd. 24,719 678
Titan Machinery, Inc.* 10,880 244
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 98.9%continued
Trading Companies & Distributors – 1.4%continued
Transcat, Inc.* 3,791 $215
Triton International Ltd. 33,876 1,784
Veritiv Corp.* 7,757 842
    17,704
Water Utilities – 0.5%
American States Water Co. 19,653 1,602
Artesian Resources Corp., Class A 4,374 215
California Water Service Group 28,582 1,588
Global Water Resources, Inc. 6,995 92
Middlesex Water Co. 9,244 810
Pure Cycle Corp.* 10,202 108
SJW Group 14,384 898
York Water (The) Co. 7,553 305
    5,618
Wireless Telecommunication Services – 0.2%
Gogo, Inc.* 26,630 431
KORE Group Holdings, Inc.* 18,670 57
Shenandoah Telecommunications Co. 25,784 573
Telephone and Data Systems, Inc. 53,686 848
United States Cellular Corp.* 7,947 230
    2,139
Total Common Stocks    
(Cost $1,001,531)   1,211,429
     
RIGHTS – 0.0%
Biotechnology – 0.0%
Aduro Biotech, Inc.
(Contingent Value Rights)(2) *
7,412
Oncternal Therapeutics, Inc.
(Contingent Value Rights)(2) (4) *
398
Tobira Therapeutics, Inc.
(Contingent Value Rights)(2) (4) *
5,175 39
    39
Pharmaceuticals – 0.0%
Zogenix, Inc.
(Contingent Value Rights)(2) (4) *
30,957 31
Total Rights    
(Cost $71)   70
     
 
EQUITY FUNDS    158    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
OTHER – 0.0%
Escrow DLB Oil & Gas, Inc.(2) * 1,200 $—
Escrow Petrocorp, Inc.(2) * 420
Total Other    
(Cost $—)  
     
INVESTMENT COMPANIES – 0.7%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(5) (6) 8,545,037 8,545
Total Investment Companies    
(Cost $8,545)   8,545
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.4%
U.S. Treasury Bill,
1.82%, 11/25/22(7) (8)
$4,260 $4,225
Total Short-Term Investments  
(Cost $4,228) 4,225
     
Total Investments – 100.0%  
(Cost $1,014,375) 1,224,269
Other Assets less Liabilities – 0.0% 278
NET ASSETS – 100.0% $1,224,547
    
(1) Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Value rounds to less than one thousand.
(4) Restricted security that has been deemed illiquid. At June 30, 2022, the value of these restricted illiquid securities amounted to approximately$70,000 or 0.0% of net assets. Additional information on these restricted illiquid securities is as follows:
    
SECURITY ACQUISITION
AND
ENFORCEABLE
DATE
COST
(000S)
Oncternal Therapeutics, Inc.
(Contingent Value Rights)
6/10/19 $—
Tobira Therapeutics, Inc.
(Contingent Value Rights)
11/2/16 40
Zogenix, Inc.
(Contingent Value Rights)
3/8/22 31
    
(5) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(6) 7-day current yield as of June 30, 2022 is disclosed.
(7) Discount rate at the time of purchase.
(8) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT - Real Estate Investment Trust
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell 2000 Index 149 $12,725 Long 9/22 $(380)
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 98.9%
Rights 0.0%
Other 0.0%
Investment Companies 0.7%
Short-Term Investments 0.4%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
 
NORTHERN FUNDS QUARTERLY REPORT     159    EQUITY FUNDS

Schedule of Investments
SMALL CAP INDEX FUNDcontinued June 30, 2022 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $1,211,429 $$— $1,211,429
Rights(1) 70 70
Investment Companies 8,545 8,545
Short-Term Investments 4,225 4,225
Total Investments $1,219,974 $4,225 $70 $1,224,269
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(380) $$— $(380)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $9,745 $31,309 $32,509 $8 $8,545 8,545,037
EQUITY FUNDS    160    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
SMALL CAP VALUE FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 95.7%
Aerospace & Defense – 0.8%
AAR Corp.* 58,309 $2,440
Moog, Inc., Class A 143,034 11,355
    13,795
Auto Components – 0.5%
Dana, Inc. 152,967 2,152
Modine Manufacturing Co.* 46,891 494
Standard Motor Products, Inc. 137,369 6,180
Visteon Corp.* 3,859 400
    9,226
Banks – 17.4%
1st Source Corp. 16,428 746
Amalgamated Financial Corp. 48,232 954
Arrow Financial Corp. 14,685 467
Atlantic Union Bankshares Corp. 140,842 4,777
BancFirst Corp. 103,981 9,952
Bancorp (The), Inc.* 94,584 1,846
Bank of NT Butterfield & Son (The) Ltd. 50,156 1,564
Banner Corp. 60,269 3,388
Berkshire Hills Bancorp, Inc. 72,928 1,806
Brookline Bancorp, Inc. 176,969 2,355
Cadence Bank 317,599 7,457
Cathay General Bancorp 195,462 7,652
Central Pacific Financial Corp. 75,522 1,620
Citizens Financial Group, Inc. 171,749 6,130
City Holding Co. 110,634 8,837
Civista Bancshares, Inc. 24,348 518
CNB Financial Corp. 31,255 756
Columbia Banking System, Inc. 128,267 3,675
Community Trust Bancorp, Inc. 142,701 5,771
ConnectOne Bancorp, Inc. 59,611 1,457
Customers Bancorp, Inc.* 46,610 1,580
CVB Financial Corp. 218,860 5,430
Dime Community Bancshares, Inc. 29,655 879
Eagle Bancorp, Inc. 81,652 3,871
Enterprise Financial Services Corp. 90,449 3,754
Financial Institutions, Inc. 64,942 1,690
First Bancorp 79,772 2,784
First BanCorp (New York Exchange) 811,443 10,476
First Bancshares (The), Inc. 32,158 920
First Busey Corp. 22,063 504
First Business Financial Services, Inc. 29,777 929
First Commonwealth Financial Corp. 279,900 3,756
First Community Bankshares, Inc. 26,870 790
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Banks – 17.4%continued
First Financial Bancorp 206,937 $4,015
First Financial Corp. 104,720 4,660
First Merchants Corp. 94,409 3,363
First Mid Bancshares, Inc. 25,099 895
Fulton Financial Corp. 217,449 3,142
German American Bancorp, Inc. 57,116 1,952
Glacier Bancorp, Inc. 59,063 2,801
Great Southern Bancorp, Inc. 38,329 2,245
Hancock Whitney Corp. 226,393 10,036
Heritage Financial Corp. 72,257 1,818
Hilltop Holdings, Inc. 135,566 3,614
Home BancShares, Inc. 398,731 8,282
HomeStreet, Inc. 69,648 2,415
Horizon Bancorp, Inc. 65,780 1,146
Independent Bank Corp. 158,557 12,594
Independent Bank Corp. (NASDAQ Exchange) 33,233 641
International Bancshares Corp. 142,722 5,720
Lakeland Bancorp, Inc. 286,844 4,194
Lakeland Financial Corp. 139,801 9,286
Mercantile Bank Corp. 24,353 778
Meta Financial Group, Inc. 40,121 1,551
Metropolitan Bank Holding Corp.* 12,466 865
NBT Bancorp, Inc. 222,631 8,369
Northwest Bancshares, Inc. 449,866 5,758
OFG Bancorp 123,579 3,139
Old Second Bancorp, Inc. 45,061 603
Pacific Premier Bancorp, Inc. 137,911 4,033
Park National Corp. 35,542 4,309
Peapack-Gladstone Financial Corp. 33,997 1,010
Pinnacle Financial Partners, Inc. 47,215 3,414
Preferred Bank 35,601 2,422
Premier Financial Corp. 31,579 801
QCR Holdings, Inc. 23,704 1,280
Renasant Corp. 96,421 2,778
Republic Bancorp, Inc., Class A 28,097 1,356
Sandy Spring Bancorp, Inc. 98,738 3,858
Sierra Bancorp 119,722 2,602
SmartFinancial, Inc. 23,099 558
Southside Bancshares, Inc. 76,600 2,866
SouthState Corp. 109,163 8,422
Summit Financial Group, Inc. 19,693 547
SVB Financial Group(1) * 1
Texas Capital Bancshares, Inc.* 51,902 2,732
 
NORTHERN FUNDS QUARTERLY REPORT     161    EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Banks – 17.4%continued
TriCo Bancshares 128,470 $5,863
Trustmark Corp. 166,407 4,857
UMB Financial Corp. 191,923 16,525
Umpqua Holdings Corp. 399,078 6,693
United Community Banks, Inc. 304,835 9,203
Univest Financial Corp. 67,529 1,718
Valley National Bancorp 682,092 7,101
Veritex Holdings, Inc. 78,002 2,282
Washington Federal, Inc. 197,444 5,927
WesBanco, Inc. 166,114 5,267
    321,397
Biotechnology – 2.7%
AnaptysBio, Inc.* 117,741 2,390
Anika Therapeutics, Inc.* 4,037 90
Arcus Biosciences, Inc.* 154,528 3,916
Catalyst Pharmaceuticals, Inc.* 291,786 2,045
ChemoCentryx, Inc.* 74,050 1,835
Cytokinetics, Inc.* 75,602 2,970
Eagle Pharmaceuticals, Inc.* 43,494 1,932
Emergent BioSolutions, Inc.* 74,050 2,299
Iovance Biotherapeutics, Inc.* 238,700 2,635
Jounce Therapeutics, Inc.* 52,359 159
Kezar Life Sciences, Inc.* 468,437 3,874
Ligand Pharmaceuticals, Inc.* 20,339 1,815
Myriad Genetics, Inc.* 352,722 6,409
PDL BioPharma, Inc.(2) * 1,029,654 1,576
Relay Therapeutics, Inc.* 111,300 1,864
REVOLUTION Medicines, Inc.* 74,050 1,443
Sage Therapeutics, Inc.* 82,500 2,665
Travere Therapeutics, Inc.* 84,219 2,041
Veracyte, Inc.* 113,400 2,257
Vir Biotechnology, Inc.* 114,800 2,924
Xencor, Inc.* 90,900 2,488
    49,627
Building Products – 0.7%
Apogee Enterprises, Inc. 39,904 1,565
Gibraltar Industries, Inc.* 11,412 442
Resideo Technologies, Inc.* 219,217 4,257
UFP Industries, Inc. 81,184 5,532
Zurn Water Solutions Corp. 36,998 1,008
    12,804
Capital Markets – 0.3%
Donnelley Financial Solutions, Inc.* 51,547 1,510
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Capital Markets – 0.3%continued
Raymond James Financial, Inc. 11,211 $1,002
StoneX Group, Inc.* 28,131 2,196
    4,708
Chemicals – 3.3%
American Vanguard Corp. 159,072 3,555
Avient Corp. 183,040 7,336
H.B. Fuller Co. 248,836 14,983
Hawkins, Inc. 31,947 1,151
Innospec, Inc. 110,495 10,584
Minerals Technologies, Inc. 238,121 14,607
Sensient Technologies Corp. 99,948 8,052
Stepan Co. 4,314 437
    60,705
Commercial Services & Supplies – 1.5%
ABM Industries, Inc. 125,359 5,443
ACCO Brands Corp. 483,758 3,159
CECO Environmental Corp.* 35,612 213
Ennis, Inc. 238,846 4,832
KAR Auction Services, Inc.* 193,239 2,854
Matthews International Corp., Class A 27,836 798
NL Industries, Inc. 43,744 432
UniFirst Corp. 52,338 9,011
    26,742
Communications Equipment – 0.5%
ADTRAN, Inc. 56,051 982
Comtech Telecommunications Corp. 37,026 336
Digi International, Inc.* 133,123 3,224
NETGEAR, Inc.* 34,130 632
NetScout Systems, Inc.* 122,738 4,155
    9,329
Construction & Engineering – 1.0%
Arcosa, Inc. 115,532 5,364
Dycom Industries, Inc.* 10,865 1,011
EMCOR Group, Inc. 91,010 9,370
Primoris Services Corp. 90,859 1,977
Sterling Infrastructure, Inc.* 42,045 922
    18,644
Construction Materials – 0.4%
Summit Materials, Inc., Class A* 335,504 7,814
Consumer Finance – 1.5%
Encore Capital Group, Inc.* 135,673 7,838
Enova International, Inc.* 112,725 3,249
 
EQUITY FUNDS    162    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Consumer Finance – 1.5%continued
Navient Corp. 290,541 $4,065
Nelnet, Inc., Class A 82,681 7,048
PROG Holdings, Inc.* 153,793 2,538
Regional Management Corp. 16,971 634
World Acceptance Corp.* 21,669 2,432
    27,804
Containers & Packaging – 0.3%
Myers Industries, Inc. 264,956 6,022
Diversified Consumer Services – 0.1%
Laureate Education, Inc. 188,389 2,180
Diversified Financial Services – 0.0%
Alerus Financial Corp. 25,969 618
Diversified Telecommunication Services – 0.5%
Iridium Communications, Inc.* 241,854 9,084
Electric Utilities – 1.7%
MGE Energy, Inc. 64,763 5,041
Otter Tail Corp. 188,025 12,622
PNM Resources, Inc. 198,691 9,493
Portland General Electric Co. 78,780 3,807
    30,963
Electrical Equipment – 1.0%
AZZ, Inc. 48,539 1,981
Encore Wire Corp. 83,687 8,697
EnerSys 111,742 6,588
Preformed Line Products Co. 12,028 740
Thermon Group Holdings, Inc.* 73,353 1,031
    19,037
Electronic Equipment, Instruments & Components – 3.5%
Arlo Technologies, Inc.* 62,547 392
Belden, Inc. 20,768 1,106
Benchmark Electronics, Inc. 376,525 8,494
CTS Corp. 37,882 1,290
ePlus, Inc.* 26,420 1,404
Insight Enterprises, Inc.* 149,160 12,870
Kimball Electronics, Inc.* 37,931 762
Knowles Corp.* 398,852 6,912
Methode Electronics, Inc. 55,741 2,065
PC Connection, Inc. 229,481 10,109
Plexus Corp.* 18,793 1,475
Sanmina Corp.* 172,655 7,032
ScanSource, Inc.* 37,970 1,182
TTM Technologies, Inc.* 168,598 2,108
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Electronic Equipment, Instruments & Components – 3.5%continued
Vishay Intertechnology, Inc. 365,455 $6,512
Vishay Precision Group, Inc.* 19,043 555
    64,268
Energy Equipment & Services – 1.0%
Archrock, Inc. 228,290 1,888
ChampionX Corp. 371,266 7,370
Nabors Industries Ltd.* 84 11
National Energy Services Reunited Corp.* 131,488 892
Newpark Resources, Inc.* 392,980 1,214
ProPetro Holding Corp.* 272,404 2,724
Transocean Ltd.* 1,164,538 3,878
    17,977
Equity Real Estate Investment Trusts – 10.3%
Agree Realty Corp. 145,400 10,488
Alexander & Baldwin, Inc. 111,679 2,005
American Assets Trust, Inc. 180,289 5,355
Apple Hospitality REIT, Inc. 457,635 6,713
Armada Hoffler Properties, Inc. 116,916 1,501
Brandywine Realty Trust 283,459 2,733
Broadstone Net Lease, Inc. 265,652 5,448
BRT Apartments Corp. 17,546 377
CareTrust REIT, Inc. 212,373 3,916
Centerspace 17,470 1,425
City Office REIT, Inc. 69,633 902
Corporate Office Properties Trust 204,223 5,349
Cousins Properties, Inc. 252,003 7,366
DiamondRock Hospitality Co.* 392,766 3,225
Easterly Government Properties, Inc. 37,518 714
Essential Properties Realty Trust, Inc. 186,691 4,012
Farmland Partners, Inc. 45,338 626
Four Corners Property Trust, Inc. 136,335 3,625
Getty Realty Corp. 86,864 2,302
Global Net Lease, Inc. 63,790 903
Healthcare Realty Trust, Inc. 202,264 5,502
Independence Realty Trust, Inc. 251,347 5,210
Industrial Logistics Properties Trust 98,132 1,382
Innovative Industrial Properties, Inc. 19,925 2,189
InvenTrust Properties Corp. 143,731 3,707
Kite Realty Group Trust 312,694 5,406
LTC Properties, Inc. 111,831 4,293
LXP Industrial Trust 604,672 6,494
National Health Investors, Inc. 114,555 6,943
One Liberty Properties, Inc. 144,723 3,760
 
NORTHERN FUNDS QUARTERLY REPORT     163    EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Equity Real Estate Investment Trusts – 10.3%continued
Pebblebrook Hotel Trust 290,800 $4,819
Physicians Realty Trust 197,932 3,454
Piedmont Office Realty Trust, Inc., Class A 280,196 3,676
PotlatchDeltic Corp. 246,394 10,888
Retail Opportunity Investments Corp. 202,703 3,199
RLJ Lodging Trust 14,520 160
RPT Realty 650,905 6,398
Safehold, Inc. 9,593 339
Saul Centers, Inc. 1,900 89
SITE Centers Corp. 313,665 4,225
STAG Industrial, Inc. 494,205 15,261
Sunstone Hotel Investors, Inc.* 503,800 4,998
Terreno Realty Corp. 125,605 7,000
Urban Edge Properties 203,850 3,101
Washington Real Estate Investment Trust 208,742 4,448
Xenia Hotels & Resorts, Inc.* 288,602 4,193
    190,119
Food & Staples Retailing – 1.5%
Andersons (The), Inc. 296,255 9,774
Ingles Markets, Inc., Class A 52,470 4,552
Performance Food Group Co.* 31,840 1,464
PriceSmart, Inc. 19,864 1,423
SpartanNash Co. 70,972 2,141
United Natural Foods, Inc.* 96,218 3,791
Weis Markets, Inc. 66,531 4,959
    28,104
Food Products – 0.7%
Alico, Inc. 11,363 405
B&G Foods, Inc. 96,247 2,289
Fresh Del Monte Produce, Inc. 76,301 2,253
Hostess Brands, Inc.* 231,403 4,908
Seneca Foods Corp., Class A* 11,414 634
Simply Good Foods (The) Co.* 74,216 2,803
    13,292
Gas Utilities – 1.6%
Chesapeake Utilities Corp. 30,573 3,960
New Jersey Resources Corp. 4,672 208
Northwest Natural Holding Co. 54,479 2,893
South Jersey Industries, Inc. 190,832 6,515
Southwest Gas Holdings, Inc. 102,572 8,932
Spire, Inc. 90,089 6,700
    29,208
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Health Care Equipment & Supplies – 1.5%
AngioDynamics, Inc.* 298,936 $5,784
Avanos Medical, Inc.* 146,526 4,006
Integer Holdings Corp.* 52,132 3,684
Lantheus Holdings, Inc.* 97,893 6,464
Meridian Bioscience, Inc.* 63,267 1,925
Mesa Laboratories, Inc. 8,987 1,833
Natus Medical, Inc.* 70,898 2,323
Varex Imaging Corp.* 57,666 1,233
    27,252
Health Care Providers & Services – 2.3%
1Life Healthcare, Inc.* 285,400 2,238
AdaptHealth Corp.* 59,240 1,069
Covetrus, Inc.* 158,171 3,282
Fulgent Genetics, Inc.* 34,100 1,859
MEDNAX, Inc.* 136,000 2,857
National HealthCare Corp. 65,722 4,594
OPKO Health, Inc.* 1,024,898 2,593
Option Care Health, Inc.* 199,384 5,541
Owens & Minor, Inc. 94,396 2,969
Patterson Cos., Inc. 237,436 7,194
Tenet Healthcare Corp.* 169,798 8,925
    43,121
Health Care Technology – 0.9%
Allscripts Healthcare Solutions, Inc.* 398,989 5,917
Computer Programs and Systems, Inc.* 21,793 697
Evolent Health, Inc., Class A* 108,615 3,335
Multiplan Corp.* 598,200 3,284
NextGen Healthcare, Inc.* 156,933 2,737
    15,970
Hotels, Restaurants & Leisure – 0.8%
Boyd Gaming Corp. 37,845 1,883
Century Casinos, Inc.* 155,734 1,121
International Game Technology PLC 199,802 3,708
Monarch Casino & Resort, Inc.* 57,643 3,382
Papa John's International, Inc. 37,401 3,124
RCI Hospitality Holdings, Inc. 13,713 663
Red Rock Resorts, Inc., Class A 33,434 1,116
    14,997
Household Durables – 2.1%
Beazer Homes U.S.A., Inc.* 179,803 2,170
Century Communities, Inc. 80,333 3,613
Ethan Allen Interiors, Inc. 173,920 3,515
Hooker Furnishings Corp. 104,160 1,620
 
EQUITY FUNDS    164    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Household Durables – 2.1%continued
KB Home 162,710 $4,631
M/I Homes, Inc.* 42,292 1,677
Meritage Homes Corp.* 76,887 5,574
Taylor Morrison Home Corp.* 296,045 6,916
Tri Pointe Homes, Inc.* 551,424 9,302
    39,018
Household Products – 0.1%
Central Garden & Pet Co., Class A* 22,905 916
Independent Power & Renewable Electricity Producers – 0.1%
Ormat Technologies, Inc. 18,038 1,413
Insurance – 4.0%
American Equity Investment Life Holding Co. 438,774 16,046
AMERISAFE, Inc. 99,714 5,186
Argo Group International Holdings Ltd. 48,796 1,799
CNO Financial Group, Inc. 631,310 11,420
Donegal Group, Inc., Class A 35,603 607
Employers Holdings, Inc. 278,465 11,665
Enstar Group Ltd.* 32,475 6,949
Hanover Insurance Group (The), Inc. 15,123 2,212
Kemper Corp. 63,372 3,035
Safety Insurance Group, Inc. 26,192 2,543
Selective Insurance Group, Inc. 91,383 7,945
Stewart Information Services Corp. 35,626 1,772
United Fire Group, Inc. 56,901 1,948
    73,127
Interactive Media & Services – 0.0%
DHI Group, Inc.* 80,605 401
Internet & Direct Marketing Retail – 0.0%
Lands' End, Inc.* 49,158 522
Leisure Products – 0.6%
Acushnet Holdings Corp. 95,099 3,964
Callaway Golf Co.* 194,196 3,962
Vista Outdoor, Inc.* 86,902 2,424
    10,350
Life Sciences Tools & Services – 0.1%
Harvard Bioscience, Inc.* 450,511 1,622
Machinery – 1.9%
Alamo Group, Inc. 28,372 3,303
Altra Industrial Motion Corp. 50,241 1,771
Barnes Group, Inc. 120,008 3,737
Chart Industries, Inc.* 25,496 4,268
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Machinery – 1.9%continued
Columbus McKinnon Corp. 65,847 $1,868
EnPro Industries, Inc. 7,762 636
Hillenbrand, Inc. 6,467 265
Kadant, Inc. 34,397 6,272
Standex International Corp. 83,756 7,101
Terex Corp. 139,579 3,820
Watts Water Technologies, Inc., Class A 19,712 2,422
    35,463
Marine – 0.3%
Costamare, Inc. 106,520 1,289
Matson, Inc. 55,676 4,058
    5,347
Media – 2.1%
EW Scripps (The) Co., Class A* 674,245 8,408
Gray Television, Inc. 138,755 2,344
Scholastic Corp. 127,829 4,598
Sinclair Broadcast Group, Inc., Class A 110,312 2,250
TEGNA, Inc. 1,043,465 21,881
    39,481
Metals & Mining – 1.8%
Arconic Corp.* 228,613 6,413
Commercial Metals Co. 427,903 14,164
Materion Corp. 65,604 4,837
Ramaco Resources, Inc. 64,841 853
Ryerson Holding Corp. 57,283 1,219
Schnitzer Steel Industries, Inc., Class A 72,758 2,389
Warrior Met Coal, Inc. 78,162 2,392
    32,267
Mortgage Real Estate Investment Trusts – 1.3%
Arbor Realty Trust, Inc. 217,565 2,852
Blackstone Mortgage Trust, Inc., Class A 274,589 7,598
Hannon Armstrong Sustainable Infrastructure Capital, Inc. 168,147 6,366
KKR Real Estate Finance Trust, Inc. 176,100 3,073
Ready Capital Corp. 385,200 4,592
    24,481
Multiline Retail – 0.5%
Big Lots, Inc. 58,633 1,230
Dillard's, Inc., Class A 8,709 1,921
Macy's, Inc. 332,009 6,082
    9,233
 
NORTHERN FUNDS QUARTERLY REPORT     165    EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Multi-Utilities – 1.2%
Avista Corp. 105,408 $4,586
Black Hills Corp. 149,065 10,848
NorthWestern Corp. 89,790 5,291
Unitil Corp. 32,928 1,934
    22,659
Oil, Gas & Consumable Fuels – 4.3%
Berry Corp. 283,448 2,160
California Resources Corp. 148,714 5,725
Civitas Resources, Inc. 163,569 8,553
Clean Energy Fuels Corp.* 301,952 1,353
CNX Resources Corp.* 297,397 4,895
Comstock Resources, Inc.* 348,360 4,208
Delek U.S. Holdings, Inc.* 129,257 3,340
DHT Holdings, Inc. 740,935 4,542
Earthstone Energy, Inc., Class A* 45,319 619
Frontline Ltd.* 692,015 6,131
Green Plains, Inc.* 201,634 5,478
International Seaways, Inc. 62,513 1,325
Matador Resources Co. 108,917 5,074
Peabody Energy Corp.* 333,164 7,106
Ranger Oil Corp., Class A* 34,063 1,120
REX American Resources Corp.* 14,344 1,216
Scorpio Tankers, Inc. 81,993 2,830
SM Energy Co. 23 1
Southwestern Energy Co.* 826,174 5,164
Teekay Tankers Ltd., Class A* 95,835 1,690
Whiting Petroleum Corp. 86,592 5,891
    78,421
Paper & Forest Products – 0.1%
Neenah, Inc. 32,272 1,102
Personal Products – 0.0%
Nature's Sunshine Products, Inc.* 29,561 315
Pharmaceuticals – 1.0%
Cara Therapeutics, Inc.* 299,842 2,738
Intra-Cellular Therapies, Inc.* 62,008 3,539
Prestige Consumer Healthcare, Inc.* 145,938 8,581
Supernus Pharmaceuticals, Inc.* 147,342 4,261
    19,119
Professional Services – 2.2%
Barrett Business Services, Inc. 28,016 2,042
CBIZ, Inc.* 199,244 7,962
ICF International, Inc. 68,528 6,510
KBR, Inc. 183,509 8,880
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Professional Services – 2.2%continued
Kforce, Inc. 66,536 $4,081
Korn Ferry 82,174 4,768
ManTech International Corp., Class A 48,591 4,638
Resources Connection, Inc. 48,620 990
TrueBlue, Inc.* 14,769 264
    40,135
Real Estate Management & Development – 0.9%
Kennedy-Wilson Holdings, Inc. 283,100 5,362
Marcus & Millichap, Inc. 35,649 1,319
Newmark Group, Inc., Class A 416,900 4,031
RE/MAX Holdings, Inc., Class A 27,076 664
RMR Group (The), Inc., Class A 27,547 781
St. Joe (The) Co. 103,314 4,087
    16,244
Road & Rail – 0.7%
ArcBest Corp. 141,952 9,989
Werner Enterprises, Inc. 92,591 3,569
    13,558
Semiconductors & Semiconductor Equipment – 2.4%
Amkor Technology, Inc. 506,796 8,590
AXT, Inc.* 62,006 363
Canadian Solar, Inc.* 88,056 2,742
Cohu, Inc.* 100,878 2,799
Diodes, Inc.* 160,036 10,334
Onto Innovation, Inc.* 59,810 4,171
Photronics, Inc.* 438,131 8,535
Rambus, Inc.* 325,943 7,005
    44,539
Software – 0.1%
Ebix, Inc. 82,308 1,391
Specialty Retail – 2.7%
Aaron's (The) Co., Inc. 76,895 1,119
Boot Barn Holdings, Inc.* 71,451 4,924
Buckle (The), Inc. 73,973 2,048
Children's Place (The), Inc.* 23,603 918
Citi Trends, Inc.* 38,875 919
Dick's Sporting Goods, Inc. 29,425 2,218
Genesco, Inc.* 104,568 5,219
Group 1 Automotive, Inc. 43,227 7,340
Haverty Furniture Cos., Inc. 168,506 3,906
Lithia Motors, Inc. 20,248 5,564
ODP (The) Corp.* 183,235 5,541
Shoe Carnival, Inc. 157,840 3,411
 
EQUITY FUNDS    166    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Specialty Retail – 2.7%continued
Sonic Automotive, Inc., Class A 117,358 $4,299
Zumiez, Inc.* 89,179 2,319
    49,745
Textiles, Apparel & Luxury Goods – 0.3%
Movado Group, Inc. 102,588 3,173
Oxford Industries, Inc. 25,601 2,272
Rocky Brands, Inc. 11,102 379
Superior Group of Cos., Inc. 23,249 413
    6,237
Thrifts & Mortgage Finance – 2.2%
Axos Financial, Inc.* 169,807 6,088
Essent Group Ltd. 34,908 1,358
Home Bancorp, Inc. 13,675 467
Luther Burbank Corp. 79,574 1,038
Mr Cooper Group, Inc.* 138,213 5,078
NMI Holdings, Inc., Class A* 23,322 388
PennyMac Financial Services, Inc. 119,070 5,205
Radian Group, Inc. 332,669 6,537
Southern Missouri Bancorp, Inc. 13,857 627
TrustCo Bank Corp. NY 52,852 1,630
Walker & Dunlop, Inc. 57,269 5,517
WSFS Financial Corp. 184,421 7,393
    41,326
Tobacco – 0.7%
Universal Corp. 209,662 12,685
Trading Companies & Distributors – 3.3%
Applied Industrial Technologies, Inc. 28,511 2,742
Beacon Roofing Supply, Inc.* 61,139 3,140
Boise Cascade Co. 139,700 8,311
DXP Enterprises, Inc.* 93,874 2,875
GATX Corp. 63,095 5,941
GMS, Inc.* 63,372 2,820
Herc Holdings, Inc. 45,186 4,074
McGrath RentCorp 93,464 7,103
Rush Enterprises, Inc., Class A 76,450 3,685
Textainer Group Holdings Ltd. 48,735 1,336
Triton International Ltd. 244,536 12,875
WESCO International, Inc.* 55,875 5,984
    60,886
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 95.7%continued
Water Utilities – 0.2%
Artesian Resources Corp., Class A 14,070 $692
SJW Group 48,120 3,003
    3,695
Wireless Telecommunication Services – 0.2%
Telephone and Data Systems, Inc. 95,290 1,505
United States Cellular Corp.* 83,677 2,423
    3,928
Total Common Stocks    
(Cost $1,234,054)   1,764,433
     
OTHER – 0.0%
Escrow DLB Oil & Gas, Inc.(2) * 2,100
Escrow Spirit MTA REIT(2) * 17,083 5
Total Other    
(Cost $5)   5
    
  NUMBER
OF WARRANTS
VALUE
(000S)
WARRANTS – 0.0%
Nabors Industries Ltd., Exp. 6/11/26, Strike $166.67* 6,861 $219
Total Warrants    
(Cost $—)   219
    
  NUMBER
OF SHARES
VALUE
(000S)
INVESTMENT COMPANIES – 4.0%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(3) (4) 74,010,346 $74,010
Total Investment Companies    
(Cost $74,010)   74,010
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.4%
U.S. Treasury Bill,
1.82%, 11/25/22(5) (6)
$7,289 $7,229
Total Short-Term Investments  
(Cost $7,235) 7,229
     
Total Investments – 100.1%  
(Cost $1,315,304) 1,845,896
Liabilities less Other Assets – (0.1%) (1,215)
NET ASSETS – 100.0% $1,844,681
 
NORTHERN FUNDS QUARTERLY REPORT     167    EQUITY FUNDS

Schedule of Investments
SMALL CAP VALUE FUNDcontinued June 30, 2022 (UNAUDITED)
(1) Value rounds to less than one thousand.
(2) Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
(3) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(4) 7-day current yield as of June 30, 2022 is disclosed.
(5) Discount rate at the time of purchase.
(6) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
REIT - Real Estate Investment Trust
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini Russell 2000 Index 741 $63,281 Long 9/22 $(1,588)
E-Mini S&P 500 83 15,726 Long 9/22 (129)
Total         $(1,717)
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 95.7%
Other 0.0%
Warrants 0.0%
Security Type(1) % of Net Assets
Investment Companies 4.0%
Short-Term Investments 0.4%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks:        
Biotechnology $48,051 $$1,576 $49,627
All Other Industries(1) 1,714,806 1,714,806
Total Common Stocks 1,762,857 1,576 1,764,433
Other 5 5
Warrants 219 219
Investment Companies 74,010 74,010
Short-Term Investments 7,229 7,229
Total Investments $1,837,086 $7,229 $1,581 $1,845,896
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(1,717) $$$(1,717)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $88,840 $130,785 $145,615 $59 $74,010 74,010,346
EQUITY FUNDS    168    NORTHERN FUNDS QUARTERLY REPORT

Schedule of Investments
STOCK INDEX FUND June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.5%
Aerospace & Defense – 1.7%
Boeing (The) Co.* 178,405 $24,392
General Dynamics Corp. 74,244 16,426
Howmet Aerospace, Inc. 114,798 3,610
Huntington Ingalls Industries, Inc. 13,725 2,990
L3Harris Technologies, Inc. 61,555 14,878
Lockheed Martin Corp. 75,819 32,599
Northrop Grumman Corp. 46,581 22,292
Raytheon Technologies Corp. 472,200 45,383
Textron, Inc. 66,228 4,045
TransDigm Group, Inc.* 16,122 8,652
    175,267
Air Freight & Logistics – 0.7%
C.H. Robinson Worldwide, Inc. 41,521 4,209
Expeditors International of Washington, Inc. 54,017 5,265
FedEx Corp. 75,028 17,010
United Parcel Service, Inc., Class B 234,751 42,851
    69,335
Airlines – 0.2%
Alaska Air Group, Inc.* 45,039 1,804
American Airlines Group, Inc.* 221,850 2,813
Delta Air Lines, Inc.* 210,253 6,091
Southwest Airlines Co.* 183,139 6,615
United Airlines Holdings, Inc.* 98,558 3,491
    20,814
Auto Components – 0.1%
Aptiv PLC* 84,044 7,486
BorgWarner, Inc. 81,878 2,732
    10,218
Automobiles – 2.0%
Ford Motor Co. 1,239,436 13,795
General Motors Co.* 469,684 14,917
Tesla, Inc.* 267,197 179,936
    208,648
Banks – 3.7%
Bank of America Corp. 2,261,408 70,398
Citigroup, Inc. 621,919 28,602
Citizens Financial Group, Inc. 150,407 5,368
Comerica, Inc. 44,251 3,247
Fifth Third Bancorp 215,854 7,253
First Republic Bank 55,635 8,023
Huntington Bancshares, Inc. 441,340 5,309
JPMorgan Chase & Co. 935,361 105,331
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Banks – 3.7%continued
KeyCorp 286,718 $4,940
M&T Bank Corp. 58,293 9,291
PNC Financial Services Group (The), Inc. 132,605 20,921
Regions Financial Corp. 299,464 5,615
Signature Bank 18,892 3,386
SVB Financial Group* 19,203 7,585
Truist Financial Corp. 420,098 19,925
U.S. Bancorp 430,638 19,818
Wells Fargo & Co. 1,210,886 47,430
Zions Bancorp N.A. 51,966 2,645
    375,087
Beverages – 1.9%
Brown-Forman Corp., Class B 57,514 4,035
Coca-Cola (The) Co. 1,244,328 78,281
Constellation Brands, Inc., Class A 52,650 12,270
Keurig Dr. Pepper, Inc. 240,446 8,509
Molson Coors Beverage Co., Class B 56,041 3,055
Monster Beverage Corp.* 117,300 10,874
PepsiCo, Inc. 441,065 73,508
    190,532
Biotechnology – 2.2%
AbbVie, Inc. 563,520 86,309
Amgen, Inc. 170,771 41,549
Biogen, Inc.* 46,042 9,390
Gilead Sciences, Inc. 395,468 24,444
Incyte Corp.* 56,920 4,324
Moderna, Inc.* 108,485 15,497
Regeneron Pharmaceuticals, Inc.* 34,722 20,525
Vertex Pharmaceuticals, Inc.* 82,147 23,148
    225,186
Building Products – 0.4%
A.O. Smith Corp. 41,125 2,249
Allegion PLC 26,434 2,588
Carrier Global Corp. 275,318 9,818
Fortune Brands Home & Security, Inc. 40,764 2,441
Johnson Controls International PLC 221,560 10,608
Masco Corp. 72,055 3,646
Trane Technologies PLC 72,792 9,453
    40,803
Capital Markets – 2.9%
Ameriprise Financial, Inc. 35,021 8,324
Bank of New York Mellon (The) Corp. 232,961 9,717
 
NORTHERN FUNDS QUARTERLY REPORT     169    EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Capital Markets – 2.9%continued
BlackRock, Inc. 44,957 $27,380
Cboe Global Markets, Inc. 35,626 4,032
Charles Schwab (The) Corp. 482,989 30,515
CME Group, Inc. 113,305 23,193
FactSet Research Systems, Inc. 12,624 4,855
Franklin Resources, Inc. 97,587 2,275
Goldman Sachs Group (The), Inc. 109,937 32,653
Intercontinental Exchange, Inc. 176,795 16,626
Invesco Ltd. 94,723 1,528
MarketAxess Holdings, Inc. 11,252 2,881
Moody's Corp. 50,451 13,721
Morgan Stanley 446,364 33,950
MSCI, Inc. 25,607 10,554
Nasdaq, Inc. 36,140 5,513
Northern Trust Corp.(1) 64,280 6,202
Raymond James Financial, Inc. 59,521 5,322
S&P Global, Inc. 109,767 36,998
State Street Corp. 113,587 7,003
T. Rowe Price Group, Inc. 70,803 8,044
    291,286
Chemicals – 1.8%
Air Products and Chemicals, Inc. 70,158 16,872
Albemarle Corp. 38,194 7,982
Celanese Corp. 32,937 3,874
CF Industries Holdings, Inc. 68,351 5,860
Corteva, Inc. 230,978 12,505
Dow, Inc. 232,536 12,001
DuPont de Nemours, Inc. 161,298 8,965
Eastman Chemical Co. 39,169 3,516
Ecolab, Inc. 77,690 11,946
FMC Corp. 41,952 4,489
International Flavors & Fragrances, Inc. 79,309 9,447
Linde PLC (New York Exchange) 160,752 46,221
LyondellBasell Industries N.V., Class A 80,208 7,015
Mosaic (The) Co. 117,992 5,573
PPG Industries, Inc. 74,982 8,573
Sherwin-Williams (The) Co. 75,595 16,926
    181,765
Commercial Services & Supplies – 0.5%
Cintas Corp. 27,541 10,287
Copart, Inc.* 69,893 7,595
Republic Services, Inc. 67,959 8,894
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Commercial Services & Supplies – 0.5%continued
Rollins, Inc. 68,924 $2,407
Waste Management, Inc. 122,893 18,800
    47,983
Communications Equipment – 0.8%
Arista Networks, Inc.* 70,777 6,635
Cisco Systems, Inc. 1,325,917 56,537
F5, Inc.* 18,788 2,875
Juniper Networks, Inc. 100,624 2,868
Motorola Solutions, Inc. 53,205 11,152
    80,067
Construction & Engineering – 0.1%
Quanta Services, Inc. 47,345 5,934
Construction Materials – 0.1%
Martin Marietta Materials, Inc. 19,393 5,803
Vulcan Materials Co. 40,927 5,816
    11,619
Consumer Finance – 0.5%
American Express Co. 195,161 27,053
Capital One Financial Corp. 126,892 13,221
Discover Financial Services 91,510 8,655
Synchrony Financial 152,836 4,221
    53,150
Containers & Packaging – 0.3%
Amcor PLC 494,763 6,150
Avery Dennison Corp. 25,841 4,183
Ball Corp. 98,646 6,784
International Paper Co. 122,089 5,107
Packaging Corp. of America 31,183 4,287
Sealed Air Corp. 45,967 2,653
Westrock Co. 85,740 3,416
    32,580
Distributors – 0.1%
Genuine Parts Co. 46,570 6,194
LKQ Corp. 86,929 4,267
Pool Corp. 13,320 4,679
    15,140
Diversified Financial Services – 1.5%
Berkshire Hathaway, Inc., Class B* 576,156 157,302
Diversified Telecommunication Services – 1.2%
AT&T, Inc. 2,287,449 47,945
 
EQUITY FUNDS    170    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Diversified Telecommunication Services – 1.2%continued
Lumen Technologies, Inc. 276,367 $3,015
Verizon Communications, Inc. 1,331,609 67,579
    118,539
Electric Utilities – 1.9%
Alliant Energy Corp. 76,129 4,462
American Electric Power Co., Inc. 165,580 15,886
Constellation Energy Corp. 104,002 5,955
Duke Energy Corp. 242,847 26,036
Edison International 117,921 7,457
Entergy Corp. 63,341 7,135
Evergy, Inc. 69,674 4,546
Eversource Energy 107,171 9,053
Exelon Corp. 316,574 14,347
FirstEnergy Corp. 176,135 6,762
NextEra Energy, Inc. 626,654 48,541
NRG Energy, Inc. 71,738 2,738
Pinnacle West Capital Corp. 34,738 2,540
PPL Corp. 226,328 6,140
Southern (The) Co. 341,000 24,317
Xcel Energy, Inc. 176,318 12,476
    198,391
Electrical Equipment – 0.5%
AMETEK, Inc. 71,634 7,872
Eaton Corp. PLC 125,570 15,821
Emerson Electric Co. 186,551 14,838
Generac Holdings, Inc.* 19,484 4,103
Rockwell Automation, Inc. 35,990 7,173
    49,807
Electronic Equipment, Instruments & Components – 0.6%
Amphenol Corp., Class A 187,342 12,061
CDW Corp. 41,735 6,576
Corning, Inc. 235,568 7,423
Keysight Technologies, Inc.* 57,814 7,970
TE Connectivity Ltd. 101,296 11,461
Teledyne Technologies, Inc.* 15,444 5,793
Trimble, Inc.* 76,162 4,435
Zebra Technologies Corp., Class A* 16,697 4,908
    60,627
Energy Equipment & Services – 0.3%
Baker Hughes Co. 294,528 8,503
Halliburton Co. 292,589 9,176
Schlumberger N.V. 444,673 15,901
    33,580
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Entertainment – 1.3%
Activision Blizzard, Inc. 245,989 $19,153
Electronic Arts, Inc. 91,018 11,072
Live Nation Entertainment, Inc.* 41,212 3,403
Netflix, Inc.* 140,178 24,513
Take-Two Interactive Software, Inc.* 49,732 6,094
Walt Disney (The) Co.* 581,462 54,890
Warner Bros. Discovery, Inc.* 688,733 9,243
    128,368
Equity Real Estate Investment Trusts – 2.8%
Alexandria Real Estate Equities, Inc. 45,744 6,634
American Tower Corp. 146,955 37,560
AvalonBay Communities, Inc. 43,662 8,481
Boston Properties, Inc. 43,151 3,840
Camden Property Trust 35,461 4,769
Crown Castle International Corp. 136,463 22,978
Digital Realty Trust, Inc. 88,967 11,551
Duke Realty Corp. 126,065 6,927
Equinix, Inc. 29,267 19,229
Equity Residential 107,138 7,738
Essex Property Trust, Inc. 20,568 5,379
Extra Space Storage, Inc. 42,260 7,189
Federal Realty OP L.P. 20,616 1,974
Healthpeak Properties, Inc. 163,275 4,230
Host Hotels & Resorts, Inc. 221,758 3,477
Iron Mountain, Inc. 96,652 4,706
Kimco Realty Corp. 186,042 3,678
Mid-America Apartment Communities, Inc. 35,955 6,280
Prologis, Inc. 233,685 27,493
Public Storage 48,264 15,091
Realty Income Corp. 194,480 13,275
Regency Centers Corp. 45,852 2,720
SBA Communications Corp. 34,267 10,967
Simon Property Group, Inc. 106,517 10,111
UDR, Inc. 90,463 4,165
Ventas, Inc. 123,084 6,330
VICI Properties, Inc. 313,235 9,331
Vornado Realty Trust 57,517 1,644
Welltower, Inc. 146,979 12,104
Weyerhaeuser Co. 235,660 7,805
    287,656
Food & Staples Retailing – 1.5%
Costco Wholesale Corp. 140,626 67,399
Kroger (The) Co. 211,547 10,013
 
NORTHERN FUNDS QUARTERLY REPORT     171    EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Food & Staples Retailing – 1.5%continued
Sysco Corp. 163,897 $13,884
Walgreens Boots Alliance, Inc. 226,418 8,581
Walmart, Inc. 444,830 54,082
    153,959
Food Products – 1.1%
Archer-Daniels-Midland Co. 179,077 13,896
Campbell Soup Co. 68,777 3,305
Conagra Brands, Inc. 146,276 5,009
General Mills, Inc. 191,679 14,462
Hershey (The) Co. 46,592 10,025
Hormel Foods Corp. 88,818 4,206
J.M. Smucker (The) Co. 36,119 4,624
Kellogg Co. 77,601 5,536
Kraft Heinz (The) Co. 220,173 8,397
Lamb Weston Holdings, Inc. 42,823 3,060
McCormick & Co., Inc. (Non Voting) 82,014 6,828
Mondelez International, Inc., Class A 437,469 27,162
Tyson Foods, Inc., Class A 91,599 7,883
    114,393
Gas Utilities – 0.0%
Atmos Energy Corp. 46,130 5,171
Health Care Equipment & Supplies – 2.7%
Abbott Laboratories 557,661 60,590
ABIOMED, Inc.* 13,618 3,371
Align Technology, Inc.* 22,497 5,324
Baxter International, Inc. 157,157 10,094
Becton Dickinson and Co. 89,810 22,141
Boston Scientific Corp.* 449,051 16,736
Cooper (The) Cos., Inc. 15,535 4,864
DENTSPLY SIRONA, Inc. 62,781 2,243
Dexcom, Inc.* 121,999 9,093
Edwards Lifesciences Corp.* 196,951 18,728
Hologic, Inc.* 82,292 5,703
IDEXX Laboratories, Inc.* 26,966 9,458
Intuitive Surgical, Inc.* 113,134 22,707
Medtronic PLC 424,417 38,091
ResMed, Inc. 45,962 9,635
STERIS PLC 30,865 6,363
Stryker Corp. 106,042 21,095
Teleflex, Inc. 14,265 3,507
Zimmer Biomet Holdings, Inc. 64,759 6,804
    276,547
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Health Care Providers & Services – 3.5%
AmerisourceBergen Corp. 49,396 $6,989
Cardinal Health, Inc. 90,629 4,737
Centene Corp.* 183,407 15,518
Cigna Corp. 101,734 26,809
CVS Health Corp. 414,948 38,449
DaVita, Inc.* 19,224 1,537
Elevance Health, Inc. 77,000 37,159
HCA Healthcare, Inc. 73,484 12,350
Henry Schein, Inc.* 46,619 3,578
Humana, Inc. 40,561 18,985
Laboratory Corp. of America Holdings 29,061 6,811
McKesson Corp. 46,895 15,298
Molina Healthcare, Inc.* 17,890 5,002
Quest Diagnostics, Inc. 37,498 4,986
UnitedHealth Group, Inc. 298,196 153,162
Universal Health Services, Inc., Class B 19,424 1,956
    353,326
Hotels, Restaurants & Leisure – 1.8%
Booking Holdings, Inc.* 12,818 22,419
Caesars Entertainment, Inc.* 63,273 2,423
Carnival Corp.* 237,476 2,054
Chipotle Mexican Grill, Inc.* 8,733 11,416
Darden Restaurants, Inc. 37,930 4,291
Domino's Pizza, Inc. 11,076 4,316
Expedia Group, Inc.* 46,264 4,387
Hilton Worldwide Holdings, Inc. 86,860 9,680
Las Vegas Sands Corp.* 115,590 3,883
Marriott International, Inc., Class A 86,132 11,715
McDonald's Corp. 236,071 58,281
MGM Resorts International 105,715 3,060
Norwegian Cruise Line Holdings Ltd.* 115,979 1,290
Penn National Gaming, Inc.* 45,276 1,377
Royal Caribbean Cruises Ltd.* 76,480 2,670
Starbucks Corp. 362,045 27,657
Wynn Resorts Ltd.* 36,988 2,108
Yum! Brands, Inc. 90,073 10,224
    183,251
Household Durables – 0.3%
D.R. Horton, Inc. 101,748 6,735
Garmin Ltd. 46,415 4,560
Lennar Corp., Class A 82,223 5,803
Mohawk Industries, Inc.* 14,750 1,831
Newell Brands, Inc. 127,905 2,435
 
EQUITY FUNDS    172    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Household Durables – 0.3%continued
NVR, Inc.* 1,030 $4,124
PulteGroup, Inc. 74,039 2,934
Whirlpool Corp. 17,621 2,729
    31,151
Household Products – 1.6%
Church & Dwight Co., Inc. 79,709 7,386
Clorox (The) Co. 39,344 5,547
Colgate-Palmolive Co. 266,477 21,355
Kimberly-Clark Corp. 107,011 14,462
Procter & Gamble (The) Co. 764,656 109,950
    158,700
Independent Power & Renewable Electricity Producers – 0.0%
AES (The) Corp. 207,174 4,353
Industrial Conglomerates – 0.8%
3M Co. 180,334 23,337
General Electric Co. 347,138 22,103
Honeywell International, Inc. 217,555 37,813
    83,253
Insurance – 2.2%
Aflac, Inc. 190,734 10,553
Allstate (The) Corp. 88,701 11,241
American International Group, Inc. 255,869 13,083
Aon PLC, Class A 68,209 18,395
Arthur J. Gallagher & Co. 65,829 10,733
Assurant, Inc. 18,241 3,153
Brown & Brown, Inc. 70,819 4,132
Chubb Ltd. 135,790 26,694
Cincinnati Financial Corp. 49,172 5,850
Everest Re Group Ltd. 12,596 3,530
Globe Life, Inc. 28,238 2,752
Hartford Financial Services Group (The), Inc. 105,653 6,913
Lincoln National Corp. 51,511 2,409
Loews Corp. 65,288 3,869
Marsh & McLennan Cos., Inc. 161,008 24,997
MetLife, Inc. 219,860 13,805
Principal Financial Group, Inc. 74,582 4,981
Progressive (The) Corp. 185,514 21,570
Prudential Financial, Inc. 117,131 11,207
Travelers (The) Cos., Inc. 77,550 13,116
W.R. Berkley Corp. 66,867 4,564
Willis Towers Watson PLC 36,503 7,205
    224,752
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Interactive Media & Services – 5.2%
Alphabet, Inc., Class A* 95,754 $208,673
Alphabet, Inc., Class C* 87,804 192,067
Match Group, Inc.* 93,473 6,514
Meta Platforms, Inc., Class A* 730,678 117,822
Twitter, Inc.* 237,263 8,871
    533,947
Internet & Direct Marketing Retail – 3.0%
Amazon.com, Inc.* 2,784,914 295,786
eBay, Inc. 182,733 7,615
Etsy, Inc.* 37,760 2,764
    306,165
IT Services – 4.4%
Accenture PLC, Class A 202,183 56,136
Akamai Technologies, Inc.* 50,483 4,611
Automatic Data Processing, Inc. 133,850 28,114
Broadridge Financial Solutions, Inc. 35,812 5,105
Cognizant Technology Solutions Corp., Class A 165,509 11,170
DXC Technology Co.* 84,041 2,547
EPAM Systems, Inc.* 18,879 5,565
Fidelity National Information Services, Inc. 192,134 17,613
Fiserv, Inc.* 182,812 16,265
FleetCor Technologies, Inc.* 23,866 5,015
Gartner, Inc.* 25,819 6,244
Global Payments, Inc. 88,550 9,797
International Business Machines Corp. 287,557 40,600
Jack Henry & Associates, Inc. 24,308 4,376
Mastercard, Inc., Class A 273,458 86,271
Paychex, Inc. 101,337 11,539
PayPal Holdings, Inc.* 365,714 25,541
VeriSign, Inc.* 30,431 5,092
Visa, Inc., Class A 524,475 103,264
    444,865
Leisure Products – 0.0%
Hasbro, Inc. 44,175 3,617
Life Sciences Tools & Services – 1.9%
Agilent Technologies, Inc. 94,577 11,233
Bio-Rad Laboratories, Inc., Class A* 6,574 3,254
Bio-Techne Corp. 11,864 4,113
Charles River Laboratories International, Inc.* 17,113 3,662
Danaher Corp. 206,646 52,389
 
NORTHERN FUNDS QUARTERLY REPORT     173    EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Life Sciences Tools & Services – 1.9%continued
Illumina, Inc.* 48,918 $9,019
IQVIA Holdings, Inc.* 59,404 12,890
Mettler-Toledo International, Inc.* 7,205 8,277
PerkinElmer, Inc. 41,570 5,912
Thermo Fisher Scientific, Inc. 124,314 67,537
Waters Corp.* 19,114 6,326
West Pharmaceutical Services, Inc. 23,380 7,069
    191,681
Machinery – 1.5%
Caterpillar, Inc. 170,116 30,410
Cummins, Inc. 43,887 8,493
Deere & Co. 88,749 26,578
Dover Corp. 44,976 5,456
Fortive Corp. 117,595 6,395
IDEX Corp. 24,379 4,428
Illinois Tool Works, Inc. 91,233 16,627
Ingersoll Rand, Inc. 133,670 5,625
Nordson Corp. 16,131 3,266
Otis Worldwide Corp. 137,387 9,709
PACCAR, Inc. 108,655 8,947
Parker-Hannifin Corp. 40,033 9,850
Pentair PLC 48,517 2,221
Snap-on, Inc. 17,973 3,541
Stanley Black & Decker, Inc. 46,688 4,896
Westinghouse Air Brake Technologies Corp. 57,202 4,695
Xylem, Inc. 54,623 4,270
    155,407
Media – 0.9%
Charter Communications, Inc., Class A* 36,867 17,273
Comcast Corp., Class A 1,416,850 55,597
DISH Network Corp., Class A* 90,927 1,630
Fox Corp., Class A 105,323 3,387
Fox Corp., Class B 39,313 1,168
Interpublic Group of (The) Cos., Inc. 132,452 3,647
News Corp., Class A 110,482 1,721
News Corp., Class B 30,384 483
Omnicom Group, Inc. 62,330 3,965
Paramount Global, Class B 185,586 4,580
    93,451
Metals & Mining – 0.4%
Freeport-McMoRan, Inc. 461,977 13,517
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Metals & Mining – 0.4%continued
Newmont Corp. 255,671 $15,256
Nucor Corp. 85,956 8,975
    37,748
Multiline Retail – 0.5%
Dollar General Corp. 73,586 18,061
Dollar Tree, Inc.* 72,913 11,364
Target Corp. 148,455 20,966
    50,391
Multi-Utilities – 1.0%
Ameren Corp. 80,928 7,313
CenterPoint Energy, Inc. 207,428 6,136
CMS Energy Corp. 95,521 6,448
Consolidated Edison, Inc. 114,990 10,935
Dominion Energy, Inc. 256,030 20,434
DTE Energy Co. 63,338 8,028
NiSource, Inc. 136,398 4,022
Public Service Enterprise Group, Inc. 157,579 9,972
Sempra Energy 101,372 15,233
WEC Energy Group, Inc. 102,539 10,319
    98,840
Oil, Gas & Consumable Fuels – 4.0%
APA Corp. 111,041 3,875
Chevron Corp. 623,693 90,298
ConocoPhillips 413,254 37,114
Coterra Energy, Inc. 258,805 6,675
Devon Energy Corp. 198,194 10,922
Diamondback Energy, Inc. 54,188 6,565
EOG Resources, Inc. 185,683 20,507
Exxon Mobil Corp. 1,341,600 114,895
Hess Corp. 88,230 9,347
Kinder Morgan, Inc. 631,771 10,589
Marathon Oil Corp. 232,327 5,223
Marathon Petroleum Corp. 174,124 14,315
Occidental Petroleum Corp. 281,034 16,547
ONEOK, Inc. 145,455 8,073
Phillips 66 151,035 12,383
Pioneer Natural Resources Co. 72,083 16,080
Valero Energy Corp. 129,819 13,797
Williams (The) Cos., Inc. 393,801 12,291
    409,496
Personal Products – 0.2%
Estee Lauder (The) Cos., Inc., Class A 72,892 18,563
 
EQUITY FUNDS    174    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Pharmaceuticals – 4.8%
Bristol-Myers Squibb Co. 679,954 $52,356
Catalent, Inc.* 55,065 5,908
Eli Lilly & Co. 251,527 81,552
Johnson & Johnson 835,751 148,354
Merck & Co., Inc. 806,348 73,515
Organon & Co. 86,721 2,927
Pfizer, Inc. 1,781,957 93,428
Viatris, Inc. 404,582 4,236
Zoetis, Inc. 148,425 25,513
    487,789
Professional Services – 0.3%
Equifax, Inc. 38,504 7,038
Jacobs Engineering Group, Inc. 42,541 5,408
Leidos Holdings, Inc. 43,756 4,407
Nielsen Holdings PLC 123,375 2,865
Robert Half International, Inc. 37,618 2,817
Verisk Analytics, Inc. 50,858 8,803
    31,338
Real Estate Management & Development – 0.1%
CBRE Group, Inc., Class A* 104,555 7,696
Road & Rail – 0.9%
CSX Corp. 698,453 20,297
JB Hunt Transport Services, Inc. 27,920 4,397
Norfolk Southern Corp. 76,709 17,435
Old Dominion Freight Line, Inc. 29,851 7,650
Union Pacific Corp. 200,718 42,809
    92,588
Semiconductors & Semiconductor Equipment – 5.2%
Advanced Micro Devices, Inc.* 517,116 39,544
Analog Devices, Inc. 165,617 24,195
Applied Materials, Inc. 280,717 25,540
Broadcom, Inc. 129,472 62,899
Enphase Energy, Inc.* 44,025 8,595
Intel Corp. 1,305,808 48,850
KLA Corp. 47,366 15,113
Lam Research Corp. 44,014 18,756
Microchip Technology, Inc. 173,538 10,079
Micron Technology, Inc. 351,731 19,444
Monolithic Power Systems, Inc. 13,662 5,247
NVIDIA Corp. 797,658 120,917
NXP Semiconductors N.V. 82,309 12,184
ON Semiconductor Corp.* 141,700 7,129
Qorvo, Inc.* 33,868 3,194
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Semiconductors & Semiconductor Equipment – 5.2%continued
QUALCOMM, Inc. 354,678 $45,307
Skyworks Solutions, Inc. 51,661 4,786
SolarEdge Technologies, Inc.* 18,358 5,024
Teradyne, Inc. 51,333 4,597
Texas Instruments, Inc. 291,992 44,865
    526,265
Software – 8.9%
Adobe, Inc.* 150,823 55,210
ANSYS, Inc.* 27,148 6,496
Autodesk, Inc.* 68,627 11,801
Cadence Design Systems, Inc.* 87,413 13,115
Ceridian HCM Holding, Inc.* 39,392 1,855
Citrix Systems, Inc. 38,687 3,759
Fortinet, Inc.* 214,515 12,137
Intuit, Inc. 89,415 34,464
Microsoft Corp. 2,379,595 611,151
NortonLifeLock, Inc. 175,832 3,861
Oracle Corp. 503,581 35,185
Paycom Software, Inc.* 14,573 4,082
PTC, Inc.* 35,450 3,770
Roper Technologies, Inc. 33,158 13,086
Salesforce, Inc.* 317,207 52,352
ServiceNow, Inc.* 63,322 30,111
Synopsys, Inc.* 48,297 14,668
Tyler Technologies, Inc.* 12,553 4,174
    911,277
Specialty Retail – 2.1%
Advance Auto Parts, Inc. 19,116 3,309
AutoZone, Inc.* 6,414 13,784
Bath & Body Works, Inc. 69,879 1,881
Best Buy Co., Inc. 67,229 4,383
CarMax, Inc.* 50,519 4,571
Home Depot (The), Inc. 329,400 90,345
Lowe's Cos., Inc. 211,412 36,927
O'Reilly Automotive, Inc.* 21,244 13,421
Ross Stores, Inc. 109,091 7,661
TJX (The) Cos., Inc. 372,997 20,832
Tractor Supply Co. 36,621 7,099
Ulta Beauty, Inc.* 17,084 6,586
    210,799
Technology Hardware, Storage & Peripherals – 6.9%
Apple, Inc. 4,891,979 668,831
Hewlett Packard Enterprise Co. 407,929 5,409
 
NORTHERN FUNDS QUARTERLY REPORT     175    EQUITY FUNDS

Schedule of Investments
STOCK INDEX FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.5%continued
Technology Hardware, Storage & Peripherals – 6.9%continued
HP, Inc. 340,939 $11,176
NetApp, Inc. 68,994 4,501
Seagate Technology Holdings PLC 60,202 4,301
Western Digital Corp.* 103,674 4,648
    698,866
Textiles, Apparel & Luxury Goods – 0.5%
NIKE, Inc., Class B 401,752 41,059
PVH Corp. 24,681 1,404
Ralph Lauren Corp. 13,446 1,205
Tapestry, Inc. 73,875 2,255
VF Corp. 107,017 4,727
    50,650
Tobacco – 0.7%
Altria Group, Inc. 574,478 23,996
Philip Morris International, Inc. 491,569 48,537
    72,533
Trading Companies & Distributors – 0.2%
Fastenal Co. 187,173 9,344
United Rentals, Inc.* 22,927 5,569
W.W. Grainger, Inc. 13,657 6,206
    21,119
Water Utilities – 0.1%
American Water Works Co., Inc. 57,314 8,527
Wireless Telecommunication Services – 0.2%
T-Mobile U.S., Inc.* 185,791 24,996
Total Common Stocks    
(Cost $3,586,480)   10,147,154
     
INVESTMENT COMPANIES – 0.3%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(2) (3) 29,056,314 29,056
Total Investment Companies    
(Cost $29,056)   29,056
    
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.2%
U.S. Treasury Bill,
1.82%, 11/25/22(4) (5)
$21,960 $21,778
Total Short-Term Investments  
(Cost $21,797) 21,778
     
Total Investments – 100.0%  
(Cost $3,637,333) 10,197,988
Liabilities less Other Assets – (0.0%) (954)
NET ASSETS – 100.0% $10,197,034
    
(1) Investment in affiliate.
(2) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(3) 7-day current yield as of June 30, 2022 is disclosed.
(4) Discount rate at the time of purchase.
(5) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
MSCI - Morgan Stanley Capital International
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 250 $47,369 Long 9/22 $332
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 99.5%
Investment Companies 0.3%
Short-Term Investments 0.2%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
 
EQUITY FUNDS    176    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $10,147,154 $$— $10,147,154
Investment Companies 29,056 29,056
Short-Term Investments 21,778 21,778
Total Investments $10,176,210 $21,778 $— $10,197,988
OTHER FINANCIAL
INSTRUMENTS
       
Assets        
Futures Contracts $332 $$— $332
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
NET CHANGE
IN UNREALIZED
APPRECIATION
(DEPRECIATION)
(000S)
NET
REALIZED
GAINS
(LOSSES)
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $122,922 $229,981 $323,847 $$$98 $29,056 29,056,314
Northern Trust Corp. 7,937 396 (1,478) 139 47 6,202 64,280
Total $130,859 $229,981 $324,243 $(1,478) $139 $145 $35,258 29,120,594
NORTHERN FUNDS QUARTERLY REPORT     177    EQUITY FUNDS

Schedule of Investments
U.S. QUALITY ESG FUND  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS – 99.1%
Air Freight & Logistics – 0.8%
Expeditors International of Washington, Inc. 26,337 $2,567
United Parcel Service, Inc., Class B 2,858 521
    3,088
Automobiles – 1.6%
Tesla, Inc.* 9,575 6,448
Banks – 3.8%
Bank of Hawaii Corp. 28,934 2,153
Citigroup, Inc. 90,729 4,173
JPMorgan Chase & Co. 66,145 7,448
SVB Financial Group* 4,110 1,623
    15,397
Beverages – 2.8%
Brown-Forman Corp., Class B 17,057 1,197
Coca-Cola (The) Co. 164,523 10,350
    11,547
Biotechnology – 4.7%
AbbVie, Inc. 24,313 3,724
Amgen, Inc. 25,525 6,210
Biogen, Inc.* 10,036 2,047
Gilead Sciences, Inc. 57,409 3,548
Moderna, Inc.* 2,998 428
Vertex Pharmaceuticals, Inc.* 11,635 3,279
    19,236
Building Products – 2.2%
Allegion PLC 23,412 2,292
Johnson Controls International PLC 20,838 998
Lennox International, Inc. 5,353 1,106
Owens Corning 29,582 2,198
Trane Technologies PLC 18,609 2,417
    9,011
Capital Markets – 2.3%
Affiliated Managers Group, Inc. 7,739 902
Ameriprise Financial, Inc. 9,234 2,195
Bank of New York Mellon (The) Corp. 57,833 2,412
BlackRock, Inc. 3,810 2,320
Janus Henderson Group PLC 72,292 1,700
    9,529
Chemicals – 1.2%
Dow, Inc. 47,144 2,433
Sherwin-Williams (The) Co. 10,975 2,458
    4,891
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Commercial Services & Supplies – 0.3%
Rollins, Inc. 32,130 $1,122
Communications Equipment – 0.5%
Cisco Systems, Inc. 45,341 1,933
Construction & Engineering – 0.5%
AECOM 32,395 2,113
Consumer Finance – 2.4%
Ally Financial, Inc. 45,395 1,521
American Express Co. 28,173 3,905
Discover Financial Services 22,940 2,170
SLM Corp. 61,966 988
Synchrony Financial 45,740 1,263
    9,847
Diversified Consumer Services – 0.5%
Terminix Global Holdings, Inc.* 53,620 2,180
Diversified Financial Services – 0.9%
Berkshire Hathaway, Inc., Class B* 7,441 2,031
Voya Financial, Inc. 30,435 1,812
    3,843
Electric Utilities – 0.6%
Exelon Corp. 55,944 2,535
Electrical Equipment – 0.5%
Acuity Brands, Inc. 14,555 2,242
Electronic Equipment, Instruments & Components – 0.2%
Trimble, Inc.* 5,322 310
Zebra Technologies Corp., Class A* 2,193 645
    955
Entertainment – 0.8%
Activision Blizzard, Inc. 10,839 844
Warner Bros. Discovery, Inc.* 11,387 153
World Wrestling Entertainment, Inc., Class A 39,339 2,458
    3,455
Equity Real Estate Investment Trusts – 2.9%
American Tower Corp. 17,642 4,509
Equity Residential 3,498 253
Healthpeak Properties, Inc. 73,981 1,917
Iron Mountain, Inc. 19,273 938
Prologis, Inc. 21,368 2,514
Weyerhaeuser Co. 55,348 1,833
    11,964
 
EQUITY FUNDS    178    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Food Products – 1.4%
General Mills, Inc. 39,250 $2,961
Kellogg Co. 38,232 2,728
    5,689
Health Care Equipment & Supplies – 1.7%
Abbott Laboratories 3,415 371
Edwards Lifesciences Corp.* 10,429 992
Hologic, Inc.* 32,689 2,265
IDEXX Laboratories, Inc.* 5,333 1,871
QuidelOrtho Corp.* 2,057 200
ResMed, Inc. 6,294 1,319
    7,018
Health Care Providers & Services – 2.9%
Amedisys, Inc.* 14,606 1,535
Cardinal Health, Inc. 41,758 2,183
DaVita, Inc.* 6,541 523
Laboratory Corp. of America Holdings 9,254 2,169
McKesson Corp. 6,429 2,097
Quest Diagnostics, Inc. 18,455 2,454
UnitedHealth Group, Inc. 2,005 1,030
    11,991
Health Care Technology – 0.2%
Veeva Systems, Inc., Class A* 3,772 747
Hotels, Restaurants & Leisure – 0.2%
Domino's Pizza, Inc. 1,996 778
Household Products – 3.5%
Clorox (The) Co. 15,621 2,202
Colgate-Palmolive Co. 39,310 3,151
Kimberly-Clark Corp. 22,798 3,081
Procter & Gamble (The) Co. 39,427 5,669
    14,103
Industrial Conglomerates – 0.8%
3M Co. 26,059 3,372
Insurance – 3.4%
Aflac, Inc. 43,818 2,424
Allstate (The) Corp. 15,230 1,930
American International Group, Inc. 9,500 486
Aon PLC, Class A 6,561 1,769
Lincoln National Corp. 13,250 620
MetLife, Inc. 41,815 2,625
Prudential Financial, Inc. 24,790 2,372
Travelers (The) Cos., Inc. 9,399 1,590
    13,816
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Interactive Media & Services – 6.0%
Alphabet, Inc., Class A* 6,730 $14,667
Alphabet, Inc., Class C* 3,181 6,958
Meta Platforms, Inc., Class A* 17,887 2,884
    24,509
Internet & Direct Marketing Retail – 1.4%
Amazon.com, Inc.* 52,850 5,613
IT Services – 5.3%
Accenture PLC, Class A 13,443 3,732
Cognizant Technology Solutions Corp., Class A 3,192 215
International Business Machines Corp. 40,867 5,770
Jack Henry & Associates, Inc. 2,069 373
Mastercard, Inc., Class A 27,398 8,644
Visa, Inc., Class A 11,418 2,248
Western Union (The) Co. 33,515 552
    21,534
Leisure Products – 0.6%
Hasbro, Inc. 29,777 2,438
Life Sciences Tools & Services – 2.0%
Agilent Technologies, Inc. 17,480 2,076
Mettler-Toledo International, Inc.* 1,987 2,282
Waters Corp.* 8,345 2,762
West Pharmaceutical Services, Inc. 3,488 1,055
    8,175
Machinery – 1.9%
Cummins, Inc. 12,670 2,452
Illinois Tool Works, Inc. 10,699 1,950
Pentair PLC 38,436 1,759
Xylem, Inc. 20,252 1,583
    7,744
Media – 1.1%
Interpublic Group of (The) Cos., Inc. 74,445 2,049
New York Times (The) Co., Class A 5,304 148
Sirius XM Holdings, Inc. 377,420 2,314
    4,511
Metals & Mining – 0.1%
Newmont Corp. 6,199 370
Multiline Retail – 0.3%
Kohl's Corp. 8,962 320
Target Corp. 6,157 869
    1,189
 
NORTHERN FUNDS QUARTERLY REPORT     179    EQUITY FUNDS

Schedule of Investments
U.S. QUALITY ESG FUNDcontinued  
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Multi-Utilities – 0.5%
DTE Energy Co. 15,941 $2,021
Oil, Gas & Consumable Fuels – 2.0%
APA Corp. 36,313 1,267
EOG Resources, Inc. 4,309 476
Hess Corp. 2,975 315
Marathon Petroleum Corp. 3,635 299
ONEOK, Inc. 38,425 2,133
Targa Resources Corp. 15,311 914
Texas Pacific Land Corp. 1,742 2,592
    7,996
Pharmaceuticals – 3.5%
Bristol-Myers Squibb Co. 11,546 889
Eli Lilly & Co. 18,004 5,837
Johnson & Johnson 21,917 3,891
Zoetis, Inc. 21,711 3,732
    14,349
Professional Services – 0.9%
Nielsen Holdings PLC 90,161 2,094
Robert Half International, Inc. 22,875 1,713
    3,807
Real Estate Management & Development – 1.1%
CBRE Group, Inc., Class A* 31,448 2,315
Jones Lang LaSalle, Inc.* 11,428 1,998
    4,313
Road & Rail – 0.4%
Landstar System, Inc. 11,901 1,731
Semiconductors & Semiconductor Equipment – 4.4%
Applied Materials, Inc. 26,487 2,410
Enphase Energy, Inc.* 1,224 239
First Solar, Inc.* 6,205 423
Intel Corp. 89,427 3,345
Lam Research Corp. 1,602 682
NVIDIA Corp. 32,421 4,915
Texas Instruments, Inc. 39,258 6,032
    18,046
Software – 10.9%
Adobe, Inc.* 21,546 7,887
Aspen Technology, Inc.* 2,618 481
Autodesk, Inc.* 4,785 823
Cadence Design Systems, Inc.* 14,166 2,126
Intuit, Inc. 9,950 3,835
Manhattan Associates, Inc.* 1,800 206
  NUMBER
OF SHARES
VALUE
(000S)
COMMON STOCKS - 99.1%continued
Software – 10.9%continued
Microsoft Corp. 95,876 $24,624
Oracle Corp. 33,046 2,309
Teradata Corp.* 32,344 1,197
VMware, Inc., Class A 9,231 1,052
    44,540
Specialty Retail – 4.0%
Best Buy Co., Inc. 28,330 1,847
Home Depot (The), Inc. 26,567 7,286
Lowe's Cos., Inc. 25,298 4,419
Ulta Beauty, Inc.* 2,359 909
Williams-Sonoma, Inc. 17,087 1,896
    16,357
Technology Hardware, Storage & Peripherals – 6.9%
Apple, Inc. 190,610 26,060
HP, Inc. 70,850 2,323
    28,383
Textiles, Apparel & Luxury Goods – 1.0%
Carter's, Inc. 10,172 717
Deckers Outdoor Corp.* 906 231
Hanesbrands, Inc. 116,188 1,196
NIKE, Inc., Class B 17,865 1,826
    3,970
Trading Companies & Distributors – 1.2%
Fastenal Co. 47,960 2,394
W.W. Grainger, Inc. 5,131 2,332
    4,726
Total Common Stocks    
(Cost $401,769)   405,172
     
INVESTMENT COMPANIES – 0.3%
Northern Institutional Funds - U.S. Government Portfolio (Shares), 1.12%(1) (2) 1,346,143 1,346
Total Investment Companies    
(Cost $1,346)   1,346
    
 
EQUITY FUNDS    180    NORTHERN FUNDS QUARTERLY REPORT

  June 30, 2022 (UNAUDITED)
  PRINCIPAL AMOUNT (000S) VALUE
(000S)
SHORT-TERM INVESTMENTS – 0.1%
U.S. Treasury Bill,
1.82%, 11/25/22(3) (4)
$480 $476
Total Short-Term Investments  
(Cost $476) 476
     
Total Investments – 99.5%  
(Cost $403,591) 406,994
Other Assets less Liabilities – 0.5% 1,969
NET ASSETS – 100.0% $408,963
    
(1) Investment in affiliated Portfolio. Northern Trust Investments, Inc. is the investment adviser to the Fund and the investment adviser to Northern Institutional Funds.
(2) 7-day current yield as of June 30, 2022 is disclosed.
(3) Discount rate at the time of purchase.
(4) Security pledged as collateral to cover margin requirements for open futures contracts.
* Non-Income Producing Security
    
EXPLANATION OF ABBREVIATIONS AND ACRONYMS USED THROUGHOUT THE SCHEDULE OF INVESTMENTS:
 
S&P - Standard & Poor's
Percentages shown are based on Net Assets.
At June 30, 2022, the Fund had open futures contracts as follows:
TYPE NUMBER OF
CONTRACTS
NOTIONAL
AMOUNT
(000s)
CONTRACT
POSITION
CONTRACT
EXP.
VALUE AND
UNREALIZED
APPRECIATION
(DEPRECIATION)
(000s)
E-Mini S&P 500 19 $3,600 Long 9/22 $(10)
At June 30, 2022, the security types for the Fund were:
Security Type(1) % of Net Assets
Common Stocks 99.1%
Investment Companies 0.3%
Short-Term Investments 0.1%
    
(1) Figures in the above table may not sum to 100% due to the exclusion of other assets and liabilities.
Various inputs are used in determining the value of the Fund’s investments. These inputs are summarized in three levels listed below:
Level 1 - Unadjusted quoted market prices in active markets for identical securities on the measurement date.
Level 2 - Other observable inputs (e.g., quoted prices in active markets for similar securities, securities valuations based on commonly quoted benchmark interest rates and yield curves, maturities, ratings and/or securities indices).
Level 3 - Significant unobservable inputs (e.g., information about assumptions, including risk, market participants would use in pricing a security).
The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities and other financial instruments, if any. The following table summarizes the valuations of the Fund's investments by the above fair value hierarchy as of June 30, 2022:
INVESTMENTS LEVEL 1
(000s)
LEVEL 2
(000s)
LEVEL 3
(000s)
TOTAL
(000s)
Common Stocks(1) $405,172 $$— $405,172
Investment Companies 1,346 1,346
Short-Term Investments 476 476
Total Investments $406,518 $476 $— $406,994
OTHER FINANCIAL
INSTRUMENTS
       
Liabilities        
Futures Contracts $(10) $$— $(10)
    
(1) Classifications as defined in the Schedule of Investments.
 
Transactions in affiliated investments for the three months ended June 30, 2022, were as follows:
AFFILIATE VALUE,
BEGINNING
OF PERIOD
(000S)
PURCHASES
(000S)
SALES
PROCEEDS
(000S)
DIVIDEND
INCOME
(000S)
VALUE,
END OF PERIOD
(000S)
SHARES, END
OF PERIOD
Northern Institutional Funds - U.S. Government Portfolio (Shares) $3,516 $11,646 $13,816 $5 $1,346 1,346,143
NORTHERN FUNDS QUARTERLY REPORT     181    EQUITY FUNDS