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 |
Schedule of Investments |
ACTIVE M EMERGING MARKETS EQUITY FUND continued |
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 |
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 |
Schedule of Investments |
ACTIVE M EMERGING MARKETS EQUITY FUND continued |
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 |
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 |
June 30, 2022 (UNAUDITED) |
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% |
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. |
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 |
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 |
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 |
Schedule of Investments |
ACTIVE M INTERNATIONAL EQUITY FUND continued |
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 |
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 | — |
— |
Schedule of Investments |
ACTIVE M INTERNATIONAL EQUITY FUND continued |
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 |
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 |
Schedule of Investments |
ACTIVE M INTERNATIONAL EQUITY FUND continued |
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 |
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) |
June 30, 2022 (UNAUDITED) |
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% |
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. |
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 |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
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 |
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. |
Schedule of Investments |
EMERGING MARKETS EQUITY INDEX FUND continued |
(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 |
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. |
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) |
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% |
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 |
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. |
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 |
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 |
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 |
Schedule of Investments |
GLOBAL REAL ESTATE INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL REAL ESTATE INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL REAL ESTATE INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL REAL ESTATE INDEX FUND continued |
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 |
June 30, 2022 (UNAUDITED) |
MSCI – Morgan Stanley Capital International |
NVDR – Non-Voting Depositary Receipt |
REIT – Real Estate Investment Trust |
S&P – Standard & Poor's |
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. |
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) |
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% |
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 |
Schedule of Investments |
GLOBAL REAL ESTATE INDEX FUND continued | 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. |
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 |
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 |
Schedule of Investments |
GLOBAL SUSTAINABILITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL SUSTAINABILITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL SUSTAINABILITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
GLOBAL SUSTAINABILITY INDEX FUND continued |
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 |
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 | |
Schedule of Investments |
GLOBAL SUSTAINABILITY INDEX FUND continued |
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 |
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. |
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) |
June 30, 2022 (UNAUDITED) |
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% |
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. |
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 |
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 |
June 30, 2022 (UNAUDITED) |
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% |
Security Type | % of Net Assets |
Investment Companies | 100.0% |
INVESTMENTS | LEVEL 1 (000s) | LEVEL 2 (000s) | LEVEL 3 (000s) | TOTAL (000s) |
Investment Companies | $112,120 | $— | $— | $112,120 |
Schedule of Investments |
GLOBAL TACTICAL ASSET ALLOCATION FUND continued | June 30, 2022 (UNAUDITED) |
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. |
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 |
Schedule of Investments |
INCOME EQUITY FUND continued |
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 |
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 |
Schedule of Investments |
INCOME EQUITY FUND continued | June 30, 2022 (UNAUDITED) |
S&P - Standard & Poor's |
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 |
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. |
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. |
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. |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY FUND continued |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY FUND continued |
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 |
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) |
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% |
June 30, 2022 (UNAUDITED) |
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. |
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 |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued |
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 |
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 |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued |
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 |
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) |
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. |
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) |
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% |
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. |
Schedule of Investments |
INTERNATIONAL EQUITY INDEX FUND continued | June 30, 2022 (UNAUDITED) |
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 |
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 |
Schedule of Investments |
LARGE CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
LARGE CAP CORE FUND continued |
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 |
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. |
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. |
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. |
June 30, 2022 (UNAUDITED) |
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 |
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 |
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 |
Schedule of Investments |
LARGE CAP VALUE FUND continued |
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 |
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 |
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 |
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. |
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. |
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 |
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 |
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 |
Schedule of Investments |
MID CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
MID CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
MID CAP INDEX FUND continued | 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 |
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 |
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. |
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. |
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 |
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 |
Schedule of Investments |
MULTI-MANAGER GLOBAL LISTED INFRASTRUCTURE FUND continued |
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. |
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 |
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) |
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% |
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. |
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 |
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 |
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 |
Schedule of Investments |
MULTI-MANAGER GLOBAL REAL ESTATE FUND continued | June 30, 2022 (UNAUDITED) |
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% |
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. |
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 |
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 |
Schedule of Investments |
NORTHERN ENGAGE360TM FUND continued |
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 |
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 |
Schedule of Investments |
NORTHERN ENGAGE360TM FUND continued |
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: |
June 30, 2022 (UNAUDITED) |
ADR – American Depositary Receipt |
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% |
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. |
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 | $— | — |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 | — |
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 |
Schedule of Investments |
SMALL CAP CORE FUND continued |
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 |
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) |
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% |
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. |
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. |
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 |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP INDEX FUND continued |
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 | |
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 |
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) |
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. |
Schedule of Investments |
SMALL CAP INDEX FUND continued | June 30, 2022 (UNAUDITED) |
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. |
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 |
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 |
Schedule of Investments |
SMALL CAP VALUE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP VALUE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP VALUE FUND continued |
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 |
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 |
Schedule of Investments |
SMALL CAP VALUE FUND continued | 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 |
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) |
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. |
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. |
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 |
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 |
Schedule of Investments |
STOCK INDEX FUND continued |
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 |
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 |
Schedule of Investments |
STOCK INDEX FUND continued |
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 |
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 |
Schedule of Investments |
STOCK INDEX FUND continued |
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 |
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 |
Schedule of Investments |
STOCK INDEX FUND continued |
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 |
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 |
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. |
June 30, 2022 (UNAUDITED) |
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. |
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 |
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 |
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 |
Schedule of Investments |
U.S. QUALITY ESG FUND continued |
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 |
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 |
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) |
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. |
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. |
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 |