NPORT-EX 2 NPORT_CF8C_80101514_1024.htm

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—10.0%          
Ameriquest Mortgage Securities, Inc. Asset-Backed Pass-Through Certificates,          
Series 2005-R1, Class M4,          
1 mo. USD Term SOFR + 1.224%,          
5.962%, due 03/25/351  $143,573   $140,995 
Amortizing Residential Collateral Trust,          
Series 2004-1, Class A5,          
1 mo. USD Term SOFR + 1.114%,          
5.852%, due 10/25/341   72,603    72,121 
Anchorage Capital CLO 28 Ltd.,          
Series 2024-28A, Class A,          
3 mo. USD Term SOFR + 1.700%,          
6.317%, due 04/20/371,2   500,000    503,252 
Apex Credit CLO Ltd.,          
Series 2024-1A, Class A1,          
3 mo. USD Term SOFR + 1.800%,          
6.417%, due 04/20/361,2   500,000    502,622 
Bear Stearns Asset-Backed Securities Trust,          
Series 2004-2, Class M1,          
1 mo. USD Term SOFR + 1.314%,          
6.052%, due 08/25/341   1,183,260    1,187,023 
Chase Funding Trust,          
Series 2002-3, Class 2A1,          
1 mo. USD Term SOFR + 0.754%,          
5.492%, due 08/25/321   117,725    115,590 
Series 2002-4, Class 2A1,          
1 mo. USD Term SOFR + 0.854%,          
5.592%, due 10/25/321   4,878    4,804 
Countrywide Asset-Backed Certificates,          
Series 2004-2, Class 3A4,          
1 mo. USD Term SOFR + 0.614%,          
5.352%, due 07/25/341   56,118    55,260 
Countrywide Asset-Backed Certificates Trust,          
Series 2004-4, Class M1,          
1 mo. USD Term SOFR + 0.834%,          
5.572%, due 07/25/341   18,745    18,977 
Series 2004-6, Class M1,          
1 mo. USD Term SOFR + 1.014%,          
5.752%, due 10/25/341   45,701    45,660 
Diameter Capital CLO 6 Ltd.,          
Series 2024-6A, Class A1,          
3 mo. USD Term SOFR + 1.610%,          
6.266%, due 04/15/371,2   700,000    703,879 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Dryden Senior Loan Fund,          
Series 2017-47A, Class A1R,          
3 mo. USD Term SOFR + 1.242%,          
5.898%, due 04/15/281,2  $182,769   $182,843 
EMC Mortgage Loan Trust,          
Series 2003-A, Class A2,          
1 mo. USD Term SOFR + 1.614%,          
6.352%, due 08/25/401,2   45,190    45,544 
EquiFirst Loan Securitization Trust,          
Series 2007-1, Class A1,          
1 mo. USD Term SOFR + 0.284%,          
5.022%, due 04/25/371,2   1,045,563    961,039 
Gallatin CLO VIII Ltd.,          
Series 2017-1A, Class A1R,          
3 mo. USD Term SOFR + 1.352%,          
6.008%, due 07/15/311,2   1,227,632    1,229,062 
Generate CLO 3 Ltd.,          
Series 3A, Class A2R,          
3 mo. USD Term SOFR + 1.830%,          
6.447%, due 10/20/361,2   700,000    706,296 
KGS-Alpha SBA COOF Trust,          
Series 2012-5, Class A,          
1.029%, due 04/25/381,2,3,4   4,442,884    90,817 
KKR CLO 28 Ltd.,          
Series 28A, Class AR,          
3 mo. USD Term SOFR + 1.440%,          
6.087%, due 02/09/351,2   500,000    500,228 
Madison Park Funding XXIX Ltd.,          
Series 2018-29A, Class AR,          
3 mo. USD Term SOFR + 1.180%,          
5.812%, due 10/18/301,2   2,080,310    2,083,574 
Marathon CLO 14 Ltd.,          
Series 2019-2A, Class A1AR,          
3 mo. USD Term SOFR + 1.380%,          
5.997%, due 01/20/331,2   400,000    400,177 
Option One Mortgage Loan Trust,          
Series 2007-4, Class 2A2,          
1 mo. USD Term SOFR + 0.294%,          
5.032%, due 04/25/371   44,655    25,312 
Palmer Square CLO Ltd.,          
Series 2022-1A, Class A,          
3 mo. USD Term SOFR + 1.320%,          
5.937%, due 04/20/351,2   150,000    150,207 
PRET LLC,          
Series 2021-RN2, Class A1,          
4.744%, due 07/25/511,2   3,110,216    3,027,036 
Series 2022-RN1, Class A1,          
3.721%, due 07/25/511,2   1,155,135    1,147,089 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Renaissance Home Equity Loan Trust,          
Series 2003-2, Class A,          
1 mo. USD Term SOFR + 0.994%,          
3.819%, due 08/25/331  $94,548   $86,888 
Residential Asset Securities Corporation Trust,          
Series 2005-KS11, Class M2,          
1 mo. USD Term SOFR + 0.744%,          
5.482%, due 12/25/351   3,544    3,540 
Saxon Asset Securities Trust,          
Series 2005-3, Class M3,          
1 mo. USD Term SOFR + 0.864%,          
0.939%, due 11/25/351   281,925    276,878 
Soundview Home Loan Trust,          
Series 2007-OPT1, Class 1A1,          
1 mo. USD Term SOFR + 0.314%,          
5.052%, due 06/25/371   522,937    358,519 
Structured Asset Securities Corp. Mortgage Loan Trust,          
Series 2006-EQ1A, Class A1,          
1 mo. USD Term SOFR + 0.384%,          
5.122%, due 07/25/361,2   6,325    6,313 
Structured Asset Securities Corp. Trust,          
Series 2005-AR1, Class M2,          
1 mo. USD Term SOFR + 0.804%,          
5.542%, due 09/25/351   747,127    709,552 
Sycamore Tree CLO Ltd.,          
Series 2023-2A, Class AR,          
3 mo. USD Term SOFR + 1.680%,          
6.297%, due 01/20/371,2   400,000    401,976 
TCW CLO Ltd.,          
Series 2024-1A, Class A1,          
3 mo. USD Term SOFR + 1.600%,          
6.247%, due 01/16/371,2   500,000    500,617 
Trinitas CLO XII Ltd.,          
Series 2020-12A, Class A1R,          
3 mo. USD Term SOFR + 1.370%,          
5.996%, due 04/25/331,2   500,000    500,257 
Venture 33 CLO Ltd.,          
Series 2018-33A, Class A1LR,          
3 mo. USD Term SOFR + 1.322%,          
5.978%, due 07/15/311,2   369,562    369,654 
Venture 36 CLO Ltd.,          
Series 2019-36A, Class A1AR,          
3 mo. USD Term SOFR + 1.392%,          
6.009%, due 04/20/321,2   754,682    755,425 
Total asset-backed securities          
(cost—$17,821,637)        17,869,026 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—18.6%          
Adjustable Rate Mortgage Trust,          
Series 2005-8, Class 3A21,          
5.227%, due 11/25/351  $249,768   $176,402 
BCAP LLC Trust,          
Series 2010-RR1, Class 1A4,          
4.559%, due 03/26/371,2   48,818    39,066 
Series 2013-RR1, Class 3A4,          
6.000%, due 10/26/371,2   125,162    84,583 
Bear Stearns ARM Trust,          
Series 2002-11, Class 1A2,          
3.250%, due 02/25/331   1,197    901 
Series 2004-2, Class 12A2,          
4.360%, due 05/25/341   18,724    17,075 
Bear Stearns Asset-Backed Securities I Trust,          
Series 2004-AC3, Class A2,          
5.500%, due 06/25/341   291,074    286,459 
Bear Stearns Asset-Backed Securities Trust,          
Series 2003-AC5, Class A1,          
5.750%, due 10/25/331   101,008    109,737 
Chevy Chase Funding LLC Mortgage-Backed Certificates,          
Series 2004-1A, Class A1,          
1 mo. USD Term SOFR + 0.394%,          
5.132%, due 01/25/351,2   8,399    8,022 
CHL Mortgage Pass-Through Trust,          
Series 2003-HYB1, Class 1A1,          
4.538%, due 05/19/331   2,555    2,330 
Series 2007-15, Class 2A2,          
6.500%, due 09/25/37   23,848    8,676 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,          
Series KJ45, Class A2,          
4.660%, due 01/25/31   600,000    595,414 
Federal Home Loan Mortgage Corp. REMICS,          
Series 2614, Class WO,          
0.000%, due 05/15/335   295,460    252,726 
Series 4839, Class UO,          
0.000%, due 08/15/565   394,714    270,273 
Series 4836, Class PO,          
0.000%, due 10/15/585   699,369    499,473 
Series 4255, Class SN,          
(2.667)* 30 day USD SOFR Average + 11.961%,          
0.000%, due 05/15/351   278,356    262,815 
Series 4263, Class SD,          
(2.667)* 30 day USD SOFR Average + 11.961%,          
0.000%, due 11/15/431   305,858    254,150 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 4265, Class ES,          
(3.200)* 30 day USD SOFR Average + 13.394%,          
0.000%, due 11/15/431  $828,981   $708,341 
Series 3621, Class WI,          
0.319%, due 05/15/371   19,622    1,472 
Series 3635, Class IB,          
0.331%, due 10/15/371   34,882    2,500 
Series 3598, Class JI,          
0.491%, due 10/15/371   12,440    675 
Series 4367, Class GS,          
0.907%, due 03/15/371   33,090    2,019 
Series 4076, Class SW,          
(1.000)* 30 day USD SOFR Average + 5.936%,          
0.926%, due 07/15/421   863,197    80,903 
Series 4438, Class WI,          
0.928%, due 11/15/381   92,816    6,852 
Series 4338, Class SB,          
0.967%, due 10/15/411   52,040    3,408 
Series 4463, Class IO,          
1.019%, due 02/15/381   54,561    4,054 
Series 3684, Class JI,          
1.039%, due 11/15/361   99,573    5,105 
Series 4156, Class SA,          
(1.000)* 30 day USD SOFR Average + 6.086%,          
1.076%, due 01/15/331   498,927    37,635 
Series 3962, Class KS,          
1.081%, due 06/15/381   79,789    7,145 
Series 4394, Class WI,          
1.089%, due 08/15/411   28,006    2,159 
Series 3339, Class LI,          
(1.000)* 30 day USD SOFR Average + 6.366%,          
1.356%, due 07/15/371   455,803    39,117 
Series 4324, Class IO,          
1.436%, due 08/15/361   34,649    2,035 
Series 5034, Class MI,          
2.000%, due 11/25/50   642,116    82,192 
Series 4182, Class YI,          
2.500%, due 03/15/28   665,344    19,883 
Series 2513, Class AS,          
(1.000)* 30 day USD SOFR Average + 7.886%,          
2.876%, due 02/15/321   96,566    10,136 
Series 4037, Class PI,          
3.000%, due 04/15/27   42,868    152 
Series 4100, Class HI,          
3.000%, due 08/15/27   53,465    1,444 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 4182, Class QI,          
3.000%, due 02/15/33  $39,250   $2,121 
Series 4165, Class TI,          
3.000%, due 12/15/42   447,507    26,195 
Series 4544, Class IP,          
4.000%, due 01/15/46   878,067    159,217 
Series 3442, Class MT,          
30 day USD SOFR Average + 0.114%,          
5.124%, due 07/15/341   24,408    22,746 
Series 2411, Class FJ,          
30 day USD SOFR Average + 0.464%,          
5.474%, due 12/15/291   4,369    4,355 
Series 3864, Class NT,          
(9.167)* 30 day USD SOFR Average + 59.451%,          
5.500%, due 03/15/391   181,440    181,683 
Series 4940, Class FE,          
30 day USD SOFR Average + 0.664%,          
5.521%, due 01/25/501   232,313    227,855 
Series 3096, Class FL,          
30 day USD SOFR Average + 0.514%,          
5.524%, due 01/15/361   47,951    47,295 
Series 3114, Class PF,          
30 day USD SOFR Average + 0.514%,          
5.524%, due 02/15/361   286,178    283,009 
Series 3153, Class UF,          
30 day USD SOFR Average + 0.544%,          
5.554%, due 05/15/361   71,452    71,046 
Series 2400, Class FQ,          
30 day USD SOFR Average + 0.614%,          
5.624%, due 01/15/321   10,769    10,770 
Series 4068, Class UF,          
30 day USD SOFR Average + 0.614%,          
5.624%, due 06/15/421   368,718    363,915 
Series 3667, Class FW,          
30 day USD SOFR Average + 0.664%,          
5.674%, due 02/15/381   5,148    5,115 
Series 4832, Class FW,          
30 day USD SOFR Average + 0.464%,          
5.811%, due 04/15/381   635,588    625,642 
Series 4945, Class F,          
30 day USD SOFR Average + 0.614%,          
5.961%, due 12/15/461   97,289    97,588 
Series 3671, Class FQ,          
30 day USD SOFR Average + 0.964%,          
5.974%, due 12/15/361   421,338    424,178 
Series 2136, Class GD,          
7.000%, due 03/15/29   381    29 
Series 2178, Class PI,          
7.500%, due 08/15/29   2,663    285 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 1775, Class Z,          
8.500%, due 03/15/25  $33   $34 
Federal Home Loan Mortgage Corp. STRIPS,          
Series 389, Class C40,          
2.500%, due 10/15/52   4,431,698    682,105 
Series 303, Class C19,          
3.500%, due 01/15/43   371,535    62,937 
Series 345, Class C13,          
3.500%, due 08/15/45   546,171    83,965 
Series 326, Class F2,          
30 day USD SOFR Average + 0.664%,          
5.674%, due 03/15/441   222,201    220,197 
Series 330, Class F4,          
30 day USD SOFR Average + 0.464%,          
5.811%, due 10/15/371   141,698    139,272 
Federal Home Loan Mortgage Corp. Whole Loan Securities Trust,          
Series 2015-SC02, Class 1A,          
3.000%, due 09/25/45   188,010    164,327 
Series 2017-SC01, Class 1A,          
3.000%, due 12/25/46   334,944    282,092 
Series 2017-SC01, Class 2A,          
3.500%, due 12/25/46   374,304    325,445 
Federal National Mortgage Association Interest STRIPS,          
Series 419, Class C3,          
3.000%, due 11/25/43   79,687    10,971 
Series 413, Class 111,          
4.000%, due 07/25/421   401,499    57,470 
Series 386, Class 14,          
6.500%, due 04/25/38   28,511    7,777 
Federal National Mortgage Association REMICS,          
Series 2012-111, Class HS,          
(0.833)* 30 day USD SOFR Average + 3.571%,          
0.000%, due 10/25/421   36,376    23,065 
Series 2022-3, Class SD,          
(1.000)* 30 day USD SOFR Average + 2.550%,          
0.000%, due 02/25/521   3,700,256    18,965 
Series 2015-73, Class ES,          
(2.333)* 30 day USD SOFR Average + 9.066%,          
0.000%, due 10/25/451   176,805    105,287 
Series 2014-84, Class AI,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
0.200%, due 02/25/431   225,663    1,471 
Series 2014-43, Class BS,          
0.717%, due 07/25/441   165,482    8,070 
Series 2012-77, Class IO,          
0.744%, due 07/25/521   88,039    4,588 
Series 2014-42, Class SA,          
0.754%, due 07/25/441   94,344    4,039 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2016-76, Class CS,          
0.896%, due 10/25/461  $34,879   $1,645 
Series 2015-64, Class KS,          
0.898%, due 09/25/451   93,374    6,131 
Series 2016-17, Class CS,          
0.909%, due 04/25/461   69,587    3,743 
Series 2015-10, Class SA,          
0.949%, due 03/25/451   187,479    11,298 
Series 2014-92, Class SB,          
0.967%, due 01/25/451   86,633    5,265 
Series 2019-62, Class SN,          
(1.000)* 30 day USD SOFR Average + 5.886%,          
1.029%, due 11/25/491   185,170    21,285 
Series 2014-45, Class SA,          
1.047%, due 08/25/441   79,750    4,495 
Series 2015-19, Class AI,          
1.069%, due 04/25/551   152,826    8,040 
Series 2014-47, Class BI,          
1.163%, due 08/25/541   157,145    8,648 
Series 2013-28, Class YS,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
1.179%, due 07/25/421   316,620    36,385 
Series 2013-34, Class PS,          
(1.000)* 30 day USD SOFR Average + 6.036%,          
1.179%, due 08/25/421   268,140    20,323 
Series 2015-50, Class SB,          
1.214%, due 07/25/451   495,086    25,518 
Series 2012-134, Class BH,          
1.250%, due 12/25/27   2,171,987    2,080,871 
Series 2020-70, Class IO,          
1.364%, due 10/25/501   8,536,053    419,481 
Series 2015-58, Class AI,          
1.392%, due 08/25/551   93,022    5,304 
Series 2010-76, Class SA,          
(1.000)* 30 day USD SOFR Average + 6.386%,          
1.529%, due 07/25/401   339,782    25,079 
Series 2021-3, Class TI,          
2.500%, due 02/25/51   819,330    139,466 
Series 2013-30, Class GI,          
3.000%, due 01/25/43   581,569    44,960 
Series 2013-45, Class IK,          
3.000%, due 02/25/43   433,043    42,299 
Series 2013-30, Class JI,          
3.000%, due 04/25/43   229,868    27,533 
Series 2013-116, Class IY,          
3.000%, due 09/25/43   168,905    10,590 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2016-14, Class IO,          
3.000%, due 03/25/46  $296,229   $36,685 
Series 2016-20, Class EI,          
3.000%, due 04/25/46   106,700    12,946 
Series 2016-52, Class PI,          
3.000%, due 04/25/46   261,365    29,374 
Series 2016-64, Class IA,          
3.000%, due 05/25/46   251,239    29,878 
Series 2018-28, Class CA,          
3.000%, due 05/25/48   209,551    184,233 
Series 2016-63, Class YI,          
3.500%, due 04/25/46   43,153    3,242 
Series 2015-47, Class GI,          
4.000%, due 06/25/44   30,019    2,116 
Series 2020-54, Class WF,          
30 day USD SOFR Average + 0.564%,          
4.029%, due 08/25/501   396,479    383,794 
Series 2012-122, Class LI,          
4.500%, due 07/25/41   181,017    11,845 
Series 2018-85, Class FE,          
30 day USD SOFR Average + 0.414%,          
5.271%, due 12/25/481   1,300,926    1,276,833 
Series 2007-67, Class FB,          
30 day USD SOFR Average + 0.434%,          
5.291%, due 07/25/371   26,582    26,089 
Series 2012-128, Class FK,          
30 day USD SOFR Average + 0.464%,          
5.321%, due 11/25/421   110,786    108,504 
Series 2002-60, Class F1,          
30 day USD SOFR Average + 0.514%,          
5.371%, due 06/25/321   32,485    32,272 
Series 2019-10, Class FA,          
30 day USD SOFR Average + 0.514%,          
5.371%, due 03/25/491   2,063,268    2,032,749 
Series 2012-90, Class FB,          
30 day USD SOFR Average + 0.554%,          
5.411%, due 08/25/421   37,788    37,220 
Series 2010-141, Class FA,          
30 day USD SOFR Average + 0.614%,          
5.471%, due 12/25/401   102,566    101,332 
Series 2009-33, Class FB,          
30 day USD SOFR Average + 0.934%,          
5.791%, due 03/25/371   236,495    237,661 
Series 2024-38, Class FA,          
30 day USD SOFR Average + 0.800%,          
6.147%, due 01/25/511   1,788,275    1,789,758 
Series 2024-10, Class AF,          
30 day USD SOFR Average + 0.900%,          
6.247%, due 12/25/501   788,574    786,707 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Federal National Mortgage Association-ACES,          
Series 2020-M33, Class X2,          
2.242%, due 01/25/311  $584,851   $44,297 
Series 2016-M11, Class AL,          
2.944%, due 07/25/39   441,098    392,930 
Fremont Home Loan Trust,          
Series 2004-A, Class M1,          
1 mo. USD Term SOFR + 0.939%,          
5.677%, due 01/25/341   275,704    264,222 
Government National Mortgage Association REMICS,          
Series 2007-18, Class CO,          
0.000%, due 03/20/355   10,765    10,026 
Series 2015-166, Class SA,          
0.000%, due 06/20/421   125,494    4,965 
Series 2015-180, Class SA,          
0.000%, due 06/20/421   136,261    5,331 
Series 2015-127, Class AS,          
0.000%, due 06/20/431   127,960    4,720 
Series 2016-138, Class WI,          
0.000%, due 08/20/451   118,240    4,750 
Series 2016-180, Class WI,          
0.000%, due 09/20/451   220,904    8,547 
Series 2017-15, Class WI,          
0.000%, due 11/20/451   131,339    5,460 
Series 2017-57, Class WI,          
0.000%, due 12/20/451   55,967    2,040 
Series 2015-126, Class GS,          
(2.333)* 1 mo. USD Term SOFR + 9.066%,          
0.000%, due 09/20/451   323,052    195,639 
Series 2013-77, Class GI,          
3.000%, due 02/20/43   649,467    58,218 
Series 2017-H23, Class MA,          
3.000%, due 11/20/67   577,450    556,267 
Series 2014-158, Class IA,          
3.500%, due 10/20/29   177,140    8,855 
Series 2013-23, Class IP,          
3.500%, due 08/20/42   529,221    63,232 
Series 2015-165, Class IB,          
3.500%, due 11/20/42   133,577    12,876 
Series 2016-118, Class IE,          
3.500%, due 09/20/46   28,294    4,801 
Series 2024-H07, Class FC,          
30 day USD SOFR Average + 0.650%,          
5.540%, due 02/20/741   906,769    904,044 
Series 2024-H07, Class JF,          
30 day USD SOFR Average + 0.790%,          
5.680%, due 04/20/741   501,137    500,780 
Series 2010-H01, Class FA,          
1 mo. USD Term SOFR + 0.934%,          
5.790%, due 01/20/601   313,979    314,601 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2024-H01, Class FB,          
30 day USD SOFR Average + 0.900%,          
5.790%, due 01/20/741  $999,538   $1,005,437 
Series 2024-H02, Class FH,          
30 day USD SOFR Average + 0.930%,          
5.820%, due 01/20/741   2,008,297    2,023,433 
Series 2024-H02, Class FJ,          
30 day USD SOFR Average + 1.000%,          
5.890%, due 12/20/731   1,481,748    1,484,785 
Series 2013-H19, Class DF,          
1 mo. USD Term SOFR + 0.764%,          
5.960%, due 05/20/631   172,355    171,804 
Series 2015-H30, Class FA,          
1 mo. USD Term SOFR + 0.794%,          
5.990%, due 08/20/611   3,248    3,242 
Series 2015-H29, Class FJ,          
1 mo. USD Term SOFR + 0.794%,          
5.990%, due 11/20/651   822,942    821,806 
Series 2015-H29, Class FA,          
1 mo. USD Term SOFR + 0.814%,          
6.010%, due 10/20/651   707    705 
Series 2013-H23, Class TA,          
1 mo. USD Term SOFR + 0.834%,          
6.030%, due 09/20/631   57,569    57,612 
Series 2015-H27, Class FA,          
1 mo. USD Term SOFR + 0.864%,          
6.060%, due 09/20/651   1,045,587    1,045,005 
Series 2016-H14, Class FA,          
1 mo. USD Term SOFR + 0.914%,          
6.110%, due 06/20/661   209,557    209,550 
Series 2013-H20, Class FB,          
1 mo. USD Term SOFR + 1.114%,          
6.310%, due 08/20/631   101,182    101,746 
GS Mortgage-Backed Securities Trust,          
Series 2022-MM1, Class A2,          
2.500%, due 07/25/521,2   1,473,336    1,190,063 
GSR Mortgage Loan Trust,          
Series 2004-14, Class 2A1,          
1 mo. USD Term SOFR + 0.444%,          
5.182%, due 12/25/341   887    864 
IndyMac INDX Mortgage Loan Trust,          
Series 2005-AR2, Class 2A1A,          
1 mo. USD Term SOFR + 0.754%,          
5.492%, due 02/25/351   135,557    124,679 
JP Morgan Alternative Loan Trust,          
Series 2008-R4, Class 2A1,          
1 mo. USD Term SOFR + 0.614%,          
5.470%, due 06/27/371,2   407,029    255,720 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
JP Morgan Mortgage Trust,          
Series 2019-6, Class A11,          
1 mo. USD Term SOFR + 1.014%,          
5.752%, due 12/25/491,2  $303,991   $290,372 
Series 2019-INV2, Class A11,          
1 mo. USD Term SOFR + 1.014%,          
5.752%, due 02/25/501,2   447,858    427,539 
Merrill Lynch Mortgage Investors Trust,          
Series 2004-A, Class A1,          
1 mo. USD Term SOFR + 0.574%,          
5.312%, due 04/25/291   8,939    8,226 
Series 2004-1, Class 2A2,          
5.810%, due 12/25/341   47,997    45,094 
Morgan Stanley Mortgage Loan Trust,          
Series 2004-11AR, Class 1A1,          
1 mo. USD Term SOFR + 0.434%,          
5.172%, due 01/25/351   13,177    12,278 
Morgan Stanley Re-REMICS Trust,          
Series 2010-R4, Class 4B,          
1 mo. USD Term SOFR + 0.344%,          
3.410%, due 02/26/371,2   89,166    76,156 
Mortgage Equity Conversion Asset Trust,          
Series 2007-FF3, Class A,          
1 yr. CMT + 0.500%,          
4.770%, due 05/25/421,2   876,659    824,065 
OBX Trust,          
Series 2022-INV2, Class A1,          
3.000%, due 01/25/521,2   519,655    437,647 
Residential Asset Securitization Trust,          
Series 2006-A7CB, Class 1A1,          
1 mo. USD Term SOFR + 0.614%,          
5.352%, due 07/25/361   191,331    122,726 
Sequoia Mortgage Trust 11,          
Series 11, Class A,          
1 mo. USD Term SOFR + 1.014%,          
5.774%, due 12/20/321   71,624    62,770 
Sequoia Mortgage Trust 5,          
Series 5, Class A,          
1 mo. USD Term SOFR + 0.814%,          
5.574%, due 10/19/261   18,311    17,849 
Structured Adjustable Rate Mortgage Loan Trust,          
Series 2007-4, Class 1A2,          
1 mo. USD Term SOFR + 0.554%,          
5.292%, due 05/25/371   77,832    67,867 
Structured Asset Mortgage Investments II Trust,          
Series 2006-AR3, Class 11A1,          
1 mo. USD Term SOFR + 0.534%,          
5.272%, due 04/25/361   135,948    121,243 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Thornburg Mortgage Securities Trust,          
Series 2005-1, Class A3,          
5.459%, due 04/25/451  $16,597   $15,936 
WaMu Mortgage Pass-Through Certificates Trust,          
Series 2003-AR9, Class 2A,          
6.803%, due 09/25/331   26,973    25,962 
Total mortgage-backed securities          
(cost—$37,359,297)        33,130,829 
           
U.S. government agency obligations: 175.6%          
Federal Home Loan Mortgage Corp.          
1.500%, due 04/01/37   830,901    720,476 
2.000%, due 04/01/36   631,869    567,051 
2.500%, due 01/01/31   54,870    52,470 
2.500%, due 11/01/31   22,457    21,353 
2.500%, due 07/01/32   37,617    35,503 
2.500%, due 08/01/32   174,578    164,423 
2.500%, due 09/01/32   230,767    217,228 
2.500%, due 11/01/32   7,272    6,848 
2.500%, due 12/01/32   212,637    199,814 
2.500%, due 01/01/33   52,955    49,740 
2.500%, due 12/01/50   1,011,234    838,778 
2.500%, due 08/01/51   4,584,307    3,855,053 
2.500%, due 09/01/51   786,007    659,315 
2.500%, due 03/01/52   1,229,914    1,026,528 
2.500%, due 04/01/52   91,586    76,403 
3.000%, due 10/01/26   6,330    6,228 
3.000%, due 11/01/26   33,886    33,345 
3.000%, due 01/01/27   184,950    181,886 
3.000%, due 02/01/32   77,536    74,438 
3.000%, due 04/01/32   400,741    384,082 
3.000%, due 05/01/32   270,487    259,080 
3.000%, due 07/01/32   146,636    140,343 
3.000%, due 10/01/32   153,609    146,844 
3.000%, due 11/01/32   268,411    256,496 
3.000%, due 01/01/33   591,293    563,709 
3.000%, due 08/01/37   350,000    326,794 
3.000%, due 02/01/40   982,123    894,280 
3.000%, due 06/01/42   1,412,953    1,259,250 
3.000%, due 07/01/42   163,125    145,380 
3.000%, due 08/01/42   56,836    50,654 
3.000%, due 04/01/43   110,414    98,730 
3.000%, due 05/01/43   65,516    58,579 
3.000%, due 12/01/44   127,971    113,099 
3.000%, due 08/01/46   131,690    114,806 
3.000%, due 12/01/46   610,308    538,039 
3.000%, due 06/01/50   488,824    429,742 
3.000%, due 04/01/51   1,476,972    1,271,806 
3.000%, due 06/01/51   736,885    634,524 
.000%, due 07/01/51   5,014,551    4,371,077 
3.000%, due 10/01/51   141,905    123,970 
3.000%, due 12/01/51   1,195,529    1,029,458 
3.000%, due 03/01/52   969,394    839,924 
3.000%, due 04/01/52   1,725,451    1,493,314 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
3.050%, due 03/01/32  $221,351   $196,106 
3.500%, due 09/01/32   157,803    152,988 
3.500%, due 12/01/33   93,784    90,378 
3.500%, due 06/01/34   56,810    54,584 
3.500%, due 07/01/34   23,521    22,599 
3.500%, due 03/01/35   349,355    335,664 
3.500%, due 04/01/35   185,251    177,899 
3.500%, due 03/01/42   784    723 
3.500%, due 07/01/43   611    563 
3.500%, due 05/01/48   584,008    530,322 
3.500%, due 02/01/50   240,979    216,500 
4.000%, due 01/01/37   131,515    127,084 
4.000%, due 03/01/43   464,942    441,040 
4.000%, due 07/01/43   71,647    67,964 
4.000%, due 08/01/44   1,065,238    1,015,396 
4.000%, due 11/01/47   116,705    109,669 
4.000%, due 01/01/48   324,494    304,912 
4.000%, due 02/01/48   16,458    15,464 
4.000%, due 03/01/48   10,277    9,645 
4.000%, due 04/01/48   25,255    23,705 
4.000%, due 06/01/48   104,010    97,075 
4.000%, due 10/01/48   1,473,748    1,383,291 
4.000%, due 12/01/48   137,016    127,881 
4.000%, due 04/01/49   500,120    468,459 
4.500%, due 09/01/34   419,345    415,609 
4.500%, due 01/01/36   9,545    9,453 
4.500%, due 05/01/37   1,053    1,036 
4.500%, due 05/01/38   25,447    25,012 
4.500%, due 12/01/42   123,677    119,408 
4.500%, due 01/01/43   152,051    146,802 
4.500%, due 02/01/43   233,558    225,496 
4.500%, due 06/01/43   364,102    350,646 
4.500%, due 02/01/49   37,171    35,857 
4.500%, due 06/01/50   277,833    267,265 
4.500%, due 12/01/52   447,328    427,673 
4.500%, due 03/01/53   475,471    454,240 
4.500%, due 06/01/53   192,665    183,706 
5.000%, due 10/01/25   2,187    2,182 
5.000%, due 11/01/27   1,168    1,169 
5.000%, due 09/01/33   53,497    53,885 
5.000%, due 06/01/34   2,780    2,800 
5.000%, due 04/01/35   16,758    16,879 
5.000%, due 05/01/35   27,857    28,060 
5.000%, due 07/01/35   48,027    48,376 
5.000%, due 08/01/35   7,692    7,748 
5.000%, due 10/01/35   7,163    7,216 
5.000%, due 12/01/35   211    212 
5.000%, due 07/01/38   111,991    112,597 
5.000%, due 11/01/38   71,009    71,437 
5.000%, due 06/01/39   16,463    16,552 
5.000%, due 03/01/40   1,793    1,800 
5.000%, due 07/01/40   79,611    79,896 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
5.000%, due 09/01/40  $73,603   $73,924 
5.000%, due 11/01/40   21,032    21,106 
5.000%, due 02/01/41   85,184    85,380 
5.000%, due 03/01/41   16,898    16,936 
5.000%, due 04/01/41   39,477    39,566 
5.000%, due 05/01/41   26,200    26,260 
5.000%, due 07/01/41   16,226    16,263 
5.000%, due 08/01/44   15,971    16,066 
5.000%, due 03/01/49   562,323    557,528 
5.000%, due 02/01/53   533,338    522,048 
5.000%, due 03/01/53   283,397    277,198 
5.000%, due 05/01/53   637,545    621,067 
5.000%, due 06/01/53   1,374,490    1,348,244 
5.000%, due 08/01/53   393,484    385,237 
5.500%, due 02/01/32   457    465 
5.500%, due 12/01/32   904    924 
5.500%, due 02/01/33   20,891    21,352 
5.500%, due 05/01/33   214    219 
5.500%, due 06/01/33   84,512    86,388 
5.500%, due 12/01/33   15,646    15,991 
5.500%, due 12/01/34   13,211    13,516 
5.500%, due 06/01/35   215,811    220,806 
5.500%, due 07/01/35   1,710    1,747 
5.500%, due 10/01/35   81,140    83,102 
5.500%, due 12/01/35   22,817    23,368 
5.500%, due 06/01/36   125,266    128,164 
5.500%, due 12/01/36   184,154    188,773 
5.500%, due 03/01/37   20,328    20,845 
5.500%, due 07/01/37   30,769    31,548 
5.500%, due 10/01/37   967    991 
5.500%, due 04/01/38   37,491    38,432 
5.500%, due 05/01/38   4,093    4,201 
5.500%, due 12/01/38   637    654 
5.500%, due 01/01/39   18,016    18,473 
5.500%, due 09/01/39   57,667    59,128 
5.500%, due 02/01/40   2,353    2,415 
5.500%, due 03/01/40   2,272    2,332 
5.500%, due 05/01/40   33,342    34,229 
5.500%, due 03/01/41   35,111    36,044 
6.000%, due 11/01/37   368,481    386,175 
1 yr. CMT + 2.137%,          
6.262%, due 01/01/281   1,682    1,686 
1 yr. CMT + 2.415%,          
6.578%, due 01/01/291   7,976    7,991 
1 yr. USD RFUCCT + 1.772%,          
6.616%, due 10/01/391   411,778    418,618 
1 yr. CMT + 2.415%,          
6.619%, due 11/01/251   4,587    4,572 
1 yr. CMT + 2.525%,          
6.650%, due 12/01/291   1,061    1,076 
1 yr. CMT + 2.150%,          
6.734%, due 11/01/271   15,473    15,504 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
1 yr. CMT + 2.625%,          
6.750%, due 01/01/301  $12,428   $12,608 
1 yr. CMT + 2.282%,          
6.837%, due 07/01/281   22,650    22,778 
1 yr. CMT + 2.219%,          
6.954%, due 11/01/291   19,771    19,894 
7.000%, due 08/01/25   5    5 
1 yr. USD RFUCCT + 1.765%,          
7.049%, due 11/01/361   151,714    154,816 
1 yr. CMT + 2.282%,          
7.157%, due 06/01/281   6,686    6,717 
1 yr. USD RFUCCT + 1.861%,          
7.311%, due 11/01/411   427,165    438,585 
1 yr. CMT + 2.250%,          
7.345%, due 09/01/341   186,754    192,606 
1 yr. CMT + 2.441%,          
7.377%, due 10/01/271   10,966    11,040 
1 yr. CMT + 2.546%,          
7.580%, due 10/01/271   2,977    2,992 
Federal National Mortgage Association          
1.500%, due 08/01/51   472,337    356,999 
2.000%, due 05/01/28   55,886    53,602 
2.000%, due 09/01/31   55,489    51,868 
2.000%, due 11/01/31   176,244    165,010 
2.000%, due 01/01/32   30,841    28,854 
2.500%, due 06/01/28   33,745    32,804 
2.500%, due 07/01/28   337,357    326,789 
2.500%, due 08/01/28   110,222    106,757 
2.500%, due 09/01/30   10,286    9,850 
2.500%, due 11/01/30   13,765    13,163 
2.500%, due 01/01/33   169,976    159,201 
2.500%, due 11/01/50   393,790    326,648 
2.500%, due 01/01/51   1,061,110    880,107 
2.500%, due 02/01/51   485,665    404,993 
2.500%, due 04/01/51   1,400,775    1,169,124 
2.500%, due 09/01/51   1,580,056    1,321,976 
2.500%, due 01/01/52   1,565,127    1,304,521 
2.500%, due 03/01/52   698,808    583,252 
2.500%, due 04/01/52   1,269,118    1,059,250 
3.000%, due 10/01/26   8,350    8,210 
3.000%, due 11/01/26   173,416    170,497 
3.000%, due 12/01/26   16,358    16,076 
3.000%, due 01/01/27   171,373    168,343 
3.000%, due 02/01/27   34,809    34,176 
3.000%, due 05/01/28   39,337    38,433 
3.000%, due 02/01/30   47,611    46,317 
3.000%, due 04/01/30   20,466    19,798 
3.000%, due 05/01/30   24,927    24,111 
3.000%, due 10/01/30   8,048    7,762 
3.000%, due 04/01/31   569,782    551,881 
3.000%, due 02/01/32   76,272    73,199 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
3.000%, due 03/01/32  $74,500   $71,342 
3.000%, due 04/01/32   367,037    351,380 
3.000%, due 05/01/32   111,022    106,241 
3.000%, due 07/01/32   219,421    209,753 
3.000%, due 08/01/32   95,232    90,991 
3.000%, due 11/01/32   190,795    182,094 
3.000%, due 01/01/38   242,875    223,833 
3.000%, due 04/01/38   231,344    210,196 
3.000%, due 05/01/42   167,205    148,675 
3.000%, due 06/01/42   173,676    154,818 
3.000%, due 07/01/42   335,080    298,629 
3.000%, due 01/01/43   888,284    794,043 
3.000%, due 04/01/43   273,765    244,580 
3.000%, due 05/01/43   287,697    257,026 
3.000%, due 06/01/43   37,802    33,772 
3.000%, due 09/01/43   24,766    22,126 
3.000%, due 11/01/46   1,065,043    951,191 
3.000%, due 12/01/46   2,481,089    2,192,553 
3.000%, due 02/01/47   201,878    180,357 
3.000%, due 09/01/49   759,568    655,377 
3.000%, due 11/01/49   210,763    185,496 
3.000%, due 02/01/50   1,501,951    1,295,929 
3.000%, due 03/01/50   3,320,005    2,903,852 
3.000%, due 07/01/50   557,998    481,772 
3.000%, due 12/01/50   429,331    370,433 
3.000%, due 02/01/51   1,858,312    1,600,174 
3.000%, due 04/01/51   3,158,248    2,720,428 
3.000%, due 05/01/51   3,301,134    2,842,574 
3.000%, due 08/01/51   419,869    361,488 
3.000%, due 10/01/51   168,008    144,670 
3.000%, due 12/01/51   402,918    346,949 
3.000%, due 02/01/52   116,871    101,655 
3.000%, due 04/01/52   1,680,618    1,447,795 
3.000%, due 07/01/52   432,849    374,800 
3.000%, due 02/01/57   529,349    448,877 
3.000%, due 05/01/58   545,311    462,295 
3.500%, due 11/01/25   15,765    15,624 
3.500%, due 08/01/26   73,067    72,273 
3.500%, due 06/01/28   60,668    59,708 
3.500%, due 08/01/29   12,016    11,788 
3.500%, due 09/01/32   208,855    206,303 
3.500%, due 11/01/33   39,091    37,669 
3.500%, due 02/01/34   57,989    55,866 
3.500%, due 01/01/35   114,066    109,596 
3.500%, due 02/01/35   108,743    104,482 
3.500%, due 04/01/35   102,899    98,815 
3.500%, due 05/01/35   629,576    607,426 
3.500%, due 03/01/42   157,007    144,847 
3.500%, due 04/01/42   10,649    9,809 
3.500%, due 07/01/42   277    256 
3.500%, due 09/01/42   56,575    52,194 
3.500%, due 12/01/42   637,286    588,789 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
3.500%, due 03/01/43  $402,548   $370,808 
3.500%, due 05/01/43   1,698    1,564 
3.500%, due 07/01/43   2,304,955    2,122,717 
3.500%, due 08/01/43   5,440,438    5,011,065 
3.500%, due 01/01/44   76,464    70,543 
3.500%, due 06/01/45   1,247,696    1,138,333 
3.500%, due 08/01/45   20,068    18,309 
3.500%, due 10/01/45   7,174    6,571 
3.500%, due 09/01/46   498,009    456,804 
3.500%, due 02/01/47   1,416,486    1,302,199 
3.500%, due 08/01/47   138,830    126,560 
3.500%, due 09/01/47   182,932    167,475 
3.500%, due 11/01/47   248,651    226,641 
3.500%, due 12/01/47   240,854    219,565 
3.500%, due 02/01/48   222,535    200,752 
3.500%, due 03/01/48   797,168    719,150 
3.500%, due 02/01/50   88,444    79,460 
3.500%, due 03/01/50   3,715,722    3,337,339 
3.500%, due 04/01/50   324,277    291,222 
3.500%, due 06/01/56   681,225    607,076 
3.500%, due 01/01/57   630,703    560,805 
3.500%, due 01/01/59   913,733    808,621 
3.575%, due 02/01/26   500,000    492,838 
4.000%, due 07/01/25   173    172 
4.000%, due 09/01/25   140    139 
4.000%, due 10/01/25   228    227 
4.000%, due 11/01/25   678    673 
4.000%, due 01/01/26   16,848    16,724 
4.000%, due 02/01/26   28,734    28,509 
4.000%, due 03/01/26   4,771    4,734 
4.000%, due 04/01/26   74,230    73,651 
4.000%, due 08/01/32   782    766 
4.000%, due 06/01/33   32,559    31,946 
4.000%, due 07/01/33   109,907    107,347 
4.000%, due 08/01/33   648,204    635,206 
4.000%, due 07/01/34   326,725    318,558 
4.000%, due 07/01/35   611,129    596,754 
4.000%, due 04/01/37   523,791    506,270 
4.000%, due 03/01/38   370,651    358,760 
4.000%, due 07/01/38   448,205    430,924 
4.000%, due 08/01/38   201,085    193,417 
4.000%, due 09/01/38   247,095    237,567 
4.000%, due 05/01/39   42,080    40,158 
4.000%, due 09/01/39   115,745    110,722 
4.000%, due 09/01/40   845,084    806,677 
4.000%, due 12/01/40   655,906    627,222 
4.000%, due 11/01/41   268,431    256,676 
4.000%, due 12/01/41   317,195    303,305 
4.000%, due 07/01/42   1,449,547    1,383,585 
4.000%, due 09/01/42   2,080,062    1,982,725 
4.000%, due 10/01/42   1,778,813    1,695,574 
4.000%, due 08/01/44   87,541    83,843 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
4.000%, due 12/01/44  $2,556   $2,415 
4.000%, due 06/01/45   9,766    9,220 
4.000%, due 08/01/45   724,482    683,976 
4.000%, due 02/01/47   65,659    61,815 
4.000%, due 03/01/47   27,988    26,274 
4.000%, due 04/01/47   105,429    99,159 
4.000%, due 05/01/47   189,986    178,655 
4.000%, due 06/01/47   4,607    4,336 
4.000%, due 11/01/47   22,452    21,071 
4.000%, due 01/01/48   87,757    82,361 
4.000%, due 02/01/48   183,754    171,454 
4.000%, due 03/01/48   91,932    85,899 
4.000%, due 12/01/48   206,653    192,635 
4.000%, due 06/01/49   674,841    632,609 
4.490%, due 04/01/33   300,000    295,259 
4.500%, due 06/01/29   6,109    6,047 
4.500%, due 06/01/35   12,122    11,992 
4.500%, due 12/01/38   128,929    127,271 
4.500%, due 01/01/39   487    478 
4.500%, due 02/01/39   51,360    50,533 
4.500%, due 03/01/39   3,012    2,957 
4.500%, due 06/01/39   21,037    20,657 
4.500%, due 07/01/39   1,495    1,468 
4.500%, due 08/01/39   52,440    51,491 
4.500%, due 10/01/39   1,649    1,619 
4.500%, due 12/01/39   122,608    120,392 
4.500%, due 01/01/40   1,290    1,267 
4.500%, due 02/01/40   1,281    1,258 
4.500%, due 03/01/40   28,364    27,779 
4.500%, due 08/01/40   21,623    21,178 
4.500%, due 11/01/40   226,725    222,048 
4.500%, due 07/01/41   150,132    146,828 
4.500%, due 08/01/41   269,631    263,704 
4.500%, due 01/01/42   740,141    724,889 
4.500%, due 08/01/42   1,889    1,846 
4.500%, due 09/01/42   89,982    86,718 
4.500%, due 05/01/43   487,856    469,847 
4.500%, due 06/01/43   985,063    948,657 
4.500%, due 07/01/43   1,767,008    1,700,080 
4.500%, due 09/01/43   110,278    107,699 
4.500%, due 11/01/43   27,124    26,490 
4.500%, due 07/01/44   105,661    103,080 
4.500%, due 12/01/44   761    742 
4.500%, due 09/01/48   137,533    132,671 
4.500%, due 01/01/49   122,935    118,663 
4.500%, due 07/01/52   2,880,943    2,741,540 
4.500%, due 05/01/53   119,219    113,644 
4.500%, due 07/01/53   174,670    166,673 
4.500%, due 08/01/53   4,222,156    4,053,742 
4.500%, due 04/01/59   630,526    600,919 
4.700%, due 04/01/33   313,000    311,439 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
1 yr. CMT + 2.100%,          
4.813%, due 05/01/301  $9,772   $9,796 
5.000%, due 03/01/25   256    255 
5.000%, due 05/01/37   3,260    3,275 
5.000%, due 09/01/37   6,348    6,379 
5.000%, due 06/01/38   31,416    31,547 
5.000%, due 06/01/48   86,115    85,103 
5.000%, due 07/01/48   34,935    34,619 
5.000%, due 03/01/49   27,702    27,366 
5.000%, due 06/01/53   762,768    746,960 
5.000%, due 08/01/53   87,349    85,518 
5.500%, due 11/01/327   18,419    18,795 
5.500%, due 12/01/337   434    443 
5.500%, due 04/01/347   9,872    10,089 
5.500%, due 01/01/357   56,981    58,230 
5.500%, due 05/01/377   61,299    62,780 
5.500%, due 07/01/377   29,801    30,521 
5.500%, due 06/01/387   51,745    53,060 
5.500%, due 11/01/397   120,862    123,935 
5.500%, due 07/01/407   142,015    145,625 
5.500%, due 02/01/427   80,725    82,678 
5.500%, due 08/01/537   439,844    437,160 
5.610%, due 10/01/28   883,000    904,794 
5.810%, due 06/01/31   1,700,000    1,773,712 
6.000%, due 12/01/327   3,432    3,558 
6.000%, due 02/01/33   6,066    6,289 
6.000%, due 09/01/34   40,471    41,963 
6.000%, due 05/01/35   8,980    9,357 
6.000%, due 06/01/35   4,882    5,087 
6.000%, due 07/01/35   14,520    15,131 
6.000%, due 09/01/35   568    592 
6.000%, due 01/01/36   8,344    8,692 
6.000%, due 06/01/36   180    188 
6.000%, due 09/01/36   13,757    14,399 
6.000%, due 12/01/36   46,484    48,651 
6.000%, due 03/01/37   2,947    3,085 
6.000%, due 10/01/37   15,983    16,730 
6.000%, due 11/01/38   122,684    128,430 
6.000%, due 05/01/39   15,835    16,577 
6.000%, due 11/01/40   168,097    175,952 
6.000%, due 05/01/49   291,550    293,769 
6.000%, due 01/01/53   481,354    484,565 
1 yr. USD RFUCCT + 1.790%,          
6.283%, due 02/01/421   55,599    56,821 
1 yr. USD MTA + 1.200%,          
6.323%, due 03/01/441   57,284    56,783 
6.500%, due 10/01/36   179,158    190,435 
6.500%, due 02/01/37   2,466    2,622 
6.500%, due 07/01/37   25,073    26,719 
6.500%, due 08/01/37   11,565    12,327 
6.500%, due 09/01/37   12,327    13,136 
6.500%, due 12/01/37   34,156    36,398 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
6.500%, due 05/01/40  $367,542   $391,073 
1 yr. CMT + 2.130%,          
6.564%, due 09/01/411   83,187    84,874 
1 yr. CMT + 2.285%,          
6.597%, due 05/01/351   59,087    60,612 
1 yr. CMT + 2.502%,          
6.627%, due 12/01/271   6,186    6,246 
1 yr. CMT + 2.243%,          
7.000%, due 01/01/361   121,482    125,350 
1 yr. USD RFUCCT + 1.729%,          
7.023%, due 05/01/381   359,471    365,872 
1 yr. CMT + 2.241%,          
7.074%, due 10/01/371   579,730    598,537 
1 yr. CMT + 2.095%,          
7.220%, due 09/01/261   3    3 
Government National Mortgage Association          
2.500%, due 09/20/51   5,130,478    4,354,722 
3.000%, due 11/15/42   26,902    24,094 
3.000%, due 01/20/43   397,846    357,734 
3.000%, due 02/15/43   366,815    323,147 
3.000%, due 02/20/43   402,272    361,714 
3.000%, due 05/15/43   349,772    312,131 
3.000%, due 06/15/43   110,193    98,336 
3.000%, due 07/15/43   21,062    18,796 
3.000%, due 11/20/43   82,368    73,783 
3.000%, due 01/15/45   249,722    219,147 
3.000%, due 02/15/45   18,427    16,170 
3.000%, due 07/15/45   349,751    306,916 
3.000%, due 10/15/45   632,550    558,100 
3.000%, due 09/20/47   418,246    370,808 
3.000%, due 02/20/48   255,357    226,676 
3.000%, due 04/20/50   1,522,688    1,342,118 
3.000%, due 10/20/51   147,692    129,693 
3.000%, due 05/20/52   872,624    765,579 
3.000%, due 09/20/52   426,949    374,575 
3.000%, due 02/20/53   858,564    755,052 
3.500%, due 11/15/42   215,358    199,002 
3.500%, due 03/15/45   101,184    91,808 
3.500%, due 04/15/45   99,278    90,700 
3.500%, due 04/20/45   3,204    2,933 
3.500%, due 11/20/45   502,063    459,586 
3.500%, due 12/20/45   195,070    178,574 
3.500%, due 04/20/46   298,132    272,583 
3.500%, due 05/20/46   345,804    316,152 
3.500%, due 04/20/47   292,596    266,925 
3.500%, due 07/20/47   2,046,463    1,870,123 
3.500%, due 08/20/47   214,880    196,027 
3.500%, due 09/20/47   80,912    73,813 
3.500%, due 10/20/47   2,802,257    2,553,321 
3.500%, due 11/20/47   276,316    252,073 
3.500%, due 12/20/47   71,358    65,097 
3.500%, due 01/20/48   1,265,540    1,154,504 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
3.500%, due 02/20/48  $1,066,502   $972,923 
3.500%, due 03/20/48   1,599,587    1,459,220 
3.500%, due 09/20/48   447,800    408,533 
3.500%, due 06/20/49   1,840,074    1,667,209 
3.500%, due 02/20/53   348,541    316,398 
1 yr. CMT + 1.500%,          
3.625%, due 08/20/251   626    623 
1 yr. CMT + 1.500%,          
3.625%, due 09/20/251   1,041    1,035 
1 yr. CMT + 1.500%,          
3.625%, due 08/20/261   2,390    2,373 
1 yr. CMT + 1.500%,          
3.625%, due 07/20/271   1,073    1,067 
1 yr. CMT + 1.500%,          
3.625%, due 07/20/301   8,010    8,006 
3.750%, due 05/20/30   258,631    254,130 
4.000%, due 12/20/40   109,355    104,049 
4.000%, due 07/20/41   41,720    39,995 
4.000%, due 12/15/41   602,271    576,930 
4.000%, due 01/15/47   35,744    33,680 
4.000%, due 02/15/47   168,008    158,307 
4.000%, due 04/15/47   307,391    288,793 
4.000%, due 05/15/47   56,288    53,013 
4.000%, due 06/15/47   25,219    23,751 
4.000%, due 07/15/47   49,610    46,724 
4.000%, due 08/15/47   85,616    80,633 
4.000%, due 12/15/47   14,183    13,358 
4.000%, due 12/20/47   54,022    50,915 
4.000%, due 01/20/48   139,217    131,206 
4.000%, due 03/20/48   180,087    169,392 
4.000%, due 04/20/48   402,901    378,756 
4.000%, due 05/20/48   112,343    105,698 
4.000%, due 06/20/48   137,761    129,612 
4.000%, due 07/20/48   41,572    39,105 
4.000%, due 07/15/49   15,833    14,812 
1 yr. CMT + 1.500%,          
4.000%, due 09/20/261   300    299 
1 yr. CMT + 1.500%,          
4.000%, due 08/20/271   4,024    4,007 
1 yr. CMT + 1.500%,          
4.000%, due 07/20/301   3,460    3,476 
1 yr. CMT + 1.500%,          
4.000%, due 08/20/301   13,393    13,387 
4.500%, due 09/15/39   185,709    182,146 
4.500%, due 06/15/40   91,501    89,744 
4.500%, due 07/20/40   15,914    15,609 
4.500%, due 08/20/40   11,497    11,278 
4.500%, due 09/20/40   47,986    47,068 
4.500%, due 10/20/40   12,925    12,678 
4.500%, due 01/20/41   61,714    60,533 
4.500%, due 02/20/41   15,114    14,822 
4.500%, due 03/20/41   92,234    90,457 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
4.500%, due 04/20/41  $12,259   $12,022 
4.500%, due 06/20/41   105,998    103,954 
4.500%, due 07/20/41   27,340    26,813 
4.500%, due 09/20/41   2,726    2,674 
4.500%, due 12/20/41   24,427    23,956 
4.500%, due 05/20/43   5,481    5,376 
4.500%, due 07/20/43   3,864    3,790 
4.500%, due 10/20/44   52,929    51,318 
4.500%, due 08/20/45   64,733    63,134 
4.500%, due 12/15/45   6,972    6,738 
4.500%, due 08/15/46   7,711    7,453 
4.500%, due 09/15/46   134,851    130,341 
4.500%, due 10/15/46   112,983    109,203 
4.500%, due 01/15/47   198,998    192,349 
4.500%, due 04/20/48   18,416    17,810 
4.500%, due 05/20/48   51,878    50,170 
4.500%, due 06/20/48   127,073    122,802 
4.500%, due 10/20/48   164,413    157,660 
4.500%, due 01/20/49   123,283    118,941 
4.500%, due 02/20/49   214,641    207,426 
1 yr. CMT + 1.500%,          
4.500%, due 07/20/301   3,114    3,120 
1 yr. CMT + 1.500%,          
4.500%, due 08/20/301   886    887 
1 yr. CMT + 1.500%,          
4.500%, due 10/20/301   2,770    2,770 
1 yr. CMT + 1.500%,          
4.625%, due 01/20/251   28    28 
1 yr. CMT + 1.500%,          
4.625%, due 02/20/251   59    59 
1 yr. CMT + 1.500%,          
4.625%, due 03/20/251   317    315 
1 yr. CMT + 1.500%,          
4.625%, due 03/20/261   854    850 
1 yr. CMT + 1.500%,          
4.625%, due 01/20/271   17,495    17,415 
1 yr. CMT + 1.500%,          
4.625%, due 02/20/271   1,199    1,194 
1 yr. CMT + 1.500%,          
4.625%, due 01/20/281   1,821    1,814 
1 yr. CMT + 1.500%,          
4.625%, due 02/20/281   741    739 
1 yr. CMT + 1.500%,          
4.875%, due 04/20/261   10,051    9,999 
1 yr. CMT + 1.500%,          
4.875%, due 06/20/261   3,426    3,409 
1 yr. CMT + 1.500%,          
4.875%, due 04/20/271   2,888    2,876 
1 yr. CMT + 1.500%,          
4.875%, due 04/20/301   1,591    1,593 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
U.S. government agency obligations—(continued)          
1 yr. CMT + 1.500%,          
4.875%, due 05/20/301  $16,285   $16,325 
5.000%, due 12/20/33   58,620    59,109 
5.000%, due 01/20/34   30,406    30,660 
5.000%, due 12/15/34   5,067    5,063 
5.000%, due 02/20/38   42,362    42,619 
5.000%, due 04/15/38   46,048    46,653 
5.000%, due 04/20/38   49,465    49,757 
5.000%, due 12/15/39   3,235    3,251 
5.000%, due 05/15/40   75,618    75,996 
5.000%, due 05/15/41   30,169    30,319 
5.000%, due 08/20/41   6,883    6,916 
5.000%, due 12/20/42   8,541    8,589 
5.000%, due 08/20/43   741,292    744,886 
5.000%, due 09/20/48   73,705    72,806 
5.000%, due 10/20/48   128,305    126,797 
5.000%, due 11/20/48   177,790    175,424 
5.000%, due 12/20/48   160,624    158,486 
1 yr. CMT + 1.500%,          
5.000%, due 05/20/251   140    139 
1 yr. CMT + 1.500%,          
5.000%, due 04/20/271   521    519 
1 yr. CMT + 1.500%,          
5.000%, due 04/20/301   1,478    1,475 
1 yr. CMT + 1.500%,          
5.000%, due 05/20/301   61,036    61,197 
5.500%, due 08/15/35   9,032    9,325 
5.500%, due 02/15/38   790    819 
5.500%, due 04/15/38   72,638    75,457 
5.500%, due 05/15/38   74,887    77,855 
5.500%, due 06/15/38   43,766    45,519 
5.500%, due 10/15/38   204,316    212,183 
5.500%, due 11/15/38   10,436    10,851 
5.500%, due 12/15/38   2,359    2,450 
5.500%, due 03/15/39   26,367    27,122 
5.500%, due 05/15/39   18,526    19,249 
5.500%, due 09/15/39   96,955    100,783 
5.500%, due 01/15/40   3,466    3,566 
5.500%, due 03/15/40   121,447    125,813 
5.500%, due 09/20/48   11,602    11,655 
1 yr. CMT + 1.500%,          
5.500%, due 05/20/251   434    432 
1 yr. CMT + 1.500%,          
5.500%, due 06/20/251   695    692 
6.000%, due 10/20/38   902    948 
6.500%, due 02/15/29   62    63 
6.500%, due 09/20/32   548    568 
6.500%, due 01/15/36   7,227    7,386 
6.500%, due 09/15/36   68,417    71,918 
6.500%, due 02/15/37   1,056    1,093 
6.500%, due 04/15/37   4,245    4,535 
6.500%, due 01/15/38   4,751    5,025 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  Face     
   amount   Value 
U.S. government agency obligations—(continued)          
6.500%, due 06/15/38  $11,735   $12,486 
6.500%, due 07/15/38   79    79 
6.500%, due 11/15/38   1,837    2,005 
6.500%, due 12/20/38   4,405    4,706 
9.000%, due 04/20/25   66    66 
9.000%, due 12/20/26   638    641 
9.000%, due 01/20/27   3,029    3,048 
9.000%, due 09/20/30   654    667 
9.000%, due 10/20/30   1,972    2,053 
9.000%, due 11/20/30   2,324    2,366 
Government National Mortgage Association, TBA          
2.000%   10,200,000    8,323,996 
2.500%   3,200,000    2,712,870 
3.000%   20,600,000    18,071,659 
4.000%   4,550,000    4,238,470 
4.500%   9,860,000    9,409,309 
5.000%   6,000,000    5,853,102 
5.500%   1,500,000    1,489,396 
6.500%   1,000,000    1,015,586 
Uniform Mortgage-Backed Security, TBA          
1.500%   3,000,000    2,265,336 
2.000%   37,250,000    29,699,936 
2.500%   9,850,000    8,156,795 
3.000%7   1,000,000    933,757 
3.500%   1,500,000    1,429,626 
4.000%7   1,000,000    966,656 
4.500%7   3,000,000    2,948,427 
5.000%   2,200,000    2,195,912 
5.500%7   1,000,000    1,009,220 
6.000%   42,000,000    42,251,743 
6.500%   8,750,000    8,929,600 
7.000%   1,100,000    1,138,588 
Total U.S. government agency obligations
(cost—$330,340,472)
        312,717,365 
           
U.S. Treasury obligations: 3.4%          
U.S. Treasury Inflation-Indexed Bonds, 2.375%, due 01/15/257   500,997    499,352 
U.S. Treasury Inflation-Indexed Notes, 0.250%, due 01/15/25   5,582,976    5,541,834 
Total U.S. Treasury obligations          
(cost—$5,941,353)        6,041,186 
           
Short-term U.S. treasury obligations—2.0%          
U.S. Treasury Bills          
4.591% due 01/23/257,8   344,000    340,447 
4.602% due 01/23/257,8   324,000    320,646 
4.614% due 12/19/247,8   346,000    343,923 
4.628% due 01/16/257,8   1,427,000    1,413,397 
4.634% due 01/16/257,8   445,000    440,753 
4.634% due 01/16/257,8   165,000    163,425 
4.731% due 12/03/247,8   198,000    197,184 
4.762% due 12/03/247,8   273,000    271,868 
Total short-term U.S. treasury obligations          
(cost—$3,491,643)        3,491,643 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Number of        
    shares     Value  
Short-term investments—3.3%            
Investment companies: 1.3%                
State Street Institutional U.S. Government Money Market Fund, 4.824%                
(cost $2,331,166)     2,331,166     $ 2,331,166  
Total Short-term investments                
(cost—$5,822,809)             5,822,809  

 

   Number of
contracts
  Notional
amount
    
Options Purchased: 0.0%†
Put options: 0.0%†
UMBS TBA strike @ 96.789, expires 12/05/24 (Counterparty: MSCI)   2,500,000  USD241,975,000   17,869 
UMBS TBA strike @ 98.305, expires 12/05/24 (Counterparty: MSCI)   2,500,000  USD245,750,000   9,500 
UMBS TBA strike @ 97.641, expires 12/05/24 (Counterparty: BOA)   2,000,000  USD195,280,000    4,901 
UMBS TBA strike @ 99.266, expires 01/07/25 (Counterparty: JPMCB)   2,000,000  USD198,540,000    6,427 
UMBS TBA strike @ 98.891, expires 12/05/24 (Counterparty: JPMCB)   2,000,000  USD197,780,000    2,739 
UMBS TBA strike @ 97.414, expires 01/07/25 (Counterparty: GS)   500,000  USD48,705,000    1,855 
UMBS TBA strike @ 97.422, expires 01/07/25 (Counterparty: GS)   2,000,000  USD194,840,000    7,448 
Total Put options           50,739 
Total Options Purchased
(cost—$30,976)
           50,739 
              
Swaptions Purchased: 0.2%
Put swaptions: 0.2%
1 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 12/16/24 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/18/25   4,300,000  USD4,300,000    87 
1 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 12/16/24 (Counterparty: DB; pay floating rate); underlying swap terminates 12/18/25  10,000,000  USD10,000,000    17 
1 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 01/21/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 01/23/26  16,400,000  USD16,400,000    159 
10 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 01/28/25 (Counterparty: DB; pay floating rate); underlying swap terminates 01/30/35   6,800,000  USD6,800,000    1,321 
1 Year USD SOFR Interest Rate Swap strike @ 5.250, expires 03/03/25 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 03/05/26   8,000,000  USD8,000,000    498 
1 Year USD SOFR Interest Rate Swap strike @ 5.300, expires 03/13/25 (Counterparty: GSI; pay floating rate); underlying swap terminates 03/17/26   3,000,000  USD3,000,000    194 
10 Year USD SOFR Interest Rate Swap strike @ 4.250, expires 11/29/24 (Counterparty: DB; pay floating rate); underlying swap terminates 12/03/34   4,200,000  USD4,200,000    7,847 
1 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 03/25/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 03/27/26  14,000,000  USD14,000,000    2,446 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
   Value 
Swaptions Purchased—(continued)
Put swaptions—(continued)
1 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/25/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 09/29/26  14,300,000  USD14,300,000   $10,741 
10 Year USD SOFR Interest Rate Swap strike @ 6.000, expires 10/17/25 (Counterparty: GSI; pay floating rate); underlying swap terminates 10/21/35   5,500,000  USD5,500,000    11,868 
1 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 10/17/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 10/21/26   5,500,000  USD5,500,000    2,361 
10 Year USD SOFR Interest Rate Swap strike @ 6.000, expires 10/17/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 10/21/35   2,500,000  USD2,500,000    5,395 
1 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 10/17/25 (Counterparty: BNP; pay floating rate); underlying swap terminates 10/21/26   2,500,000  USD2,500,000    1,073 
1 Year USD SOFR Interest Rate Swap strike @ 5.500, expires 11/03/25 (Counterparty: DB; pay floating rate); underlying swap terminates 11/05/26   2,700,000  USD2,700,000    1,284 
7 Year USD SOFR Interest Rate Swap strike @ 4.483, expires 11/25/24 (Counterparty: BNP; pay floating rate); underlying swap terminates 11/27/31   3,300,000  USD3,300,000    1,270 
7 Year USD SOFR Interest Rate Swap strike @ 4.530, expires 12/03/24 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/05/31   2,000,000  USD2,000,000    878 
7 Year USD SOFR Interest Rate Swap strike @ 4.372, expires 12/05/24 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/09/31   1,000,000  USD1,000,000    983 
7 Year USD SOFR Interest Rate Swap strike @ 4.313, expires 06/08/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/10/33   2,000,000  USD2,000,000    36,038 
7 Year USD SOFR Interest Rate Swap strike @ 3.480, expires 02/05/25 (Counterparty: BB; pay floating rate); underlying swap terminates 02/07/32   3,300,000  USD3,300,000    78,065 
1 Year USD SOFR Interest Rate Swap strike @ 4.308, expires 05/14/25 (Counterparty: JPMCB; pay floating rate); underlying swap terminates 05/16/26  12,600,000  USD12,600,000    16,299 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
   Value 
Swaptions Purchased—(continued)
Put swaptions—(continued)
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/10/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 09/12/35   7,100,000  USD7,100,000   $43,813 
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/11/25 (Counterparty: BOA; pay floating rate); underlying swap terminates 09/15/35   3,800,000  USD3,800,000    23,608 
1 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/12/25 (Counterparty: BB; pay floating rate); underlying swap terminates 09/16/26  11,200,000  USD11,200,000    7,839 
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/12/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 09/16/35   3,300,000  USD 3,300,000    20,624 
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 03/13/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 03/17/35   8,300,000  USD 8,300,000    13,664 
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/16/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 09/18/35   3,300,000  USD3,300,000    20,873 
10 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 09/26/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 09/30/35   4,300,000  USD4,300,000    28,514 
1 Year USD SOFR Interest Rate Swap strike @ 5.000, expires 10/24/25 (Counterparty: BB; pay floating rate); underlying swap terminates 10/28/26   7,500,000  USD7,500,000    6,524 
10 Year USD SOFR Interest Rate Swap strike @ 4.125, expires 12/05/24 (Counterparty: BOA; pay floating rate); underlying swap terminates 12/09/34   5,600,000  USD5,600,000    20,830 
10 Year USD SOFR Interest Rate Swap strike @ 4.225, expires 12/05/24 (Counterparty: BOA; pay floating rate); underlying swap terminates 12/09/34   5,600,000  USD5,600,000    14,020 
1 Year USD SOFR Interest Rate Swap strike @ 4.750, expires 10/31/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 11/04/26   4,000,000  USD4,000,000    54 
Total put swaptions           379,187 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Swaptions Purchased—(continued)
Call swaptions: 0.0%†
7 Year USD SOFR Interest Rate Swap strike @ 2.500, expires 03/10/25 (Counterparty: GSI; pay floating rate); underlying swap terminates 03/12/32   2,200,000   USD 2,200,000   $2,359 
7 Year USD SOFR Interest Rate Swap strike @ 3.483, expires 11/25/24 (Counterparty: BNP; pay floating rate); underlying swap terminates 11/27/31   3,300,000   USD 3,300,000    10,433 
7 Year USD SOFR Interest Rate Swap strike @ 3.530, expires 12/03/24 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/05/31   2,000,000   USD 2,000,000    8,982 
7 Year USD SOFR Interest Rate Swap strike @ 3.372, expires 12/05/24 (Counterparty: MSCI; pay floating rate); underlying swap terminates 12/09/31   1,000,000   USD 1,000,000    2,678 
7 Year USD SOFR Interest Rate Swap strike @ 3.348, expires 12/06/24 (Counterparty: BNP; pay floating rate); underlying swap terminates 12/10/31   2,000,000   USD 2,000,000    5,073 
7 Year USD SOFR Interest Rate Swap strike @ 3.313, expires 06/08/26 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/10/33   2,000,000   USD 2,000,000    41,562 
7 Year USD SOFR Interest Rate Swap strike @ 2.870, expires 01/21/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 01/23/32   4,400,000   USD 4,400,000    5,880 
7 Year USD SOFR Interest Rate Swap strike @ 2.780, expires 02/05/25 (Counterparty: BB; pay floating rate); underlying swap terminates 02/07/32   3,300,000   USD 3,300,000    4,512 
5 Year USD SOFR Interest Rate Swap strike @ 2.450, expires 11/07/24 (Counterparty: GS; pay floating rate); underlying swap terminates 11/12/29   2,200,000   USD 2,200,000    1 
Total call swaptions             81,480 
Total Swaptions Purchased
(cost—$743,540)
             460,667 
Total investments before investments sold short
(cost—$398,060,084)—211.1%
             376,092,621 

 

   Number of
shares
     
Investments sold short: (48.0)%          
U.S. government agency obligations: (48.0)%          
Government National Mortgage Association, TBA          
3.500%  $(1,400,000)   (1,265,083)
Uniform Mortgage-Backed Security, TBA          
3.000%   (44,150,000)   (38,018,316)
3.500%   (19,750,000)   (17,662,385)
4.000%   (3,500,000)   (3,383,303)

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
U.S. government agency obligations—(continued)        
4.000%  $(3,625,000)  $(3,350,576)
4.500%   (1,100,000)   (1,081,008)
4.500%   (14,900,000)   (14,146,745)
5.000%   (2,600,000)   (2,524,785)
5.500%   (4,150,000)   (4,107,521)
Total U.S. government agency obligations
(cost—$(87,374,180))
        (85,539,722)
Total investments sold short
(Proceeds—$(87,374,180))
        (85,539,722)
Total investments
(cost—$310,685,904)—163.1%
        290,552,899 
Liabilities in excess of other assets—(63.1)%        (112,447,856)
Net assets—100.0%       $178,105,043 

 

   Face
amount
    
Reverse Repurchase Agreement: (21.0)%          
Reverse repurchase agreement dated 10/11/24 with Citigroup, Inc., 5.000% to be repurchased 11/8/24 for $(5,985,171), collateralized by $4,649,340 Government Mortgage Association Obligations, 3.500% to 4.000% due 07/20/47 to 10/01/48 and $1,767,009 Federal National Mortgage Association Obligations, 4.500% due 7/1/43: (value—$6,416,349); proceeds:  $(5,961,986)  $(5,961,986)
Reverse repurchase agreement dated 10/11/24 with Wells Fargo, 4.990% to be repurchased 11/8/24 for $(31,517,798), collateralized by $5,130,478 Government Mortgage Association Obligations, 2.500% due 9/20/51 and $30,033,227 Federal National Mortgage Association Obligations, 2.500% to 4.500% due 9/1/42 to 8/1/53: (value—$35,163,705); proceeds:  $(31,395,947)  $(31,395,947)
Total Reverse Repurchase Agreement
(cost—$(37,357,933))
        (37,357,933)

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Options written

 

Notional
amount
   Number of
contracts
  Call options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
USD413,560,000   4,000,000  UMBS TBA, strike @ 103.391  JPMCB  11/07/24  $2,891   $   $2,891 
USD49,915,000   500,000  UMBS TBA, strike @ 99.832  JPMCB  11/07/24   957    (40)   917 
USD99,800,000   1,000,000  UMBS TBA, strike @ 99.797  CITI  11/07/24   1,875    (86)   1,789 
USD298,140,000   3,000,000  UMBS TBA, strike @ 99.375  BOA  11/07/24   9,609    (646)   8,963 
USD742,275,000   7,500,000  UMBS TBA, strike @ 98.969  CITI  12/05/24   16,406    (14,128)   2,278 
Total           $31,738   $(14,900)  $16,838 

 

Notional
amount
   Number of
contracts
  Put options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
USD192,780,000   2,000,000  UMBS TBA, strike @ 96.391  GS  11/07/24  $9,219   $(4,991)  $4,228 
USD193,660,000   2,000,000  UMBS TBA, strike @ 96.828  CITI  11/07/24   7,500    (7,652)   (152)
USD712,275,000   7,500,000  UMBS TBA, strike @ 94.969  CITI  12/05/24   21,387    (20,625)   762 
Total        $38,106   $(33,268)  $4,838 
Total options written        $69,844   $(48,168)  $21,676 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Swaptions written

 

Notional
amount
(000)
  Number of
contracts
  Put Swaptions  Counterparty  Pay/
receive
floating
rate
  Expiration
date
  Premiums
received
   Current
value
   Unrealized
appreciation
(depreciation)
 
USD1,900  1,900,000  7 Year USD SOFR Interest Rate Swap strike @ 4.013 terminating 12/09/31  BOA  Pay  12/05/24  $3,990   $(7,778)  $(3,788)
USD2,000  2,000,000  10 Year USD SOFR Interest Rate Swap strike @ 4.005 terminating 12/09/34  GSI  Pay  12/05/24   6,600    (11,730)   (5,130)
USD1,200  1,200,000  7 Year USD SOFR Interest Rate Swap strike @ 4.142 terminating 01/09/32  MSCI  Pay  01/07/25   3,540    (5,163)   (1,623)
USD1,300  1,300,000  10 Year USD SOFR Interest Rate Swap strike @ 4.145 terminating 12/09/34  BOA  Pay  12/05/24   3,836    (4,473)   (637)
USD1,500  1,500,000  7 Year USD SOFR Interest Rate Swap strike @ 4.209 terminating 12/09/31  BOA  Pay  12/05/24   2,887    (2,874)   13 
USD1,700  1,700,000  10 Year USD SOFR Interest Rate Swap strike @ 4.088 terminating 01/09/35  BOA  Pay  01/07/25   9,520    (11,839)   (2,319)
Total                 $30,373   $(43,857)  $(13,484)

 

Futures contracts

 

Number of
contracts
    Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
                     
Interest rate futures buy contracts:
22   USD 3 Month SOFR Futures  March 2027  $5,341,053   $5,298,150   $(42,903)
U.S. Treasury futures buy contracts:
136   USD U.S. Treasury Note 10 Year Futures  December 2024  $15,534,472   $15,023,750   $(510,722)
1   USD U.S. Treasury Note 5 Year Futures  December 2024   109,610    107,234    (2,376)
Total           $20,985,135   $20,429,134   $(556,001)
Interest rate futures sell contracts:
72   USD 3 Month SOFR Futures  June 2025  $(17,270,973)  $(17,268,300)  $2,673 
22   USD 3 Month SOFR Futures  March 2026   (5,342,108)   (5,298,700)   43,408 
34   USD 30 Day Federal Funds Futures  October 2024   (13,448,040)   (13,483,495)   (35,455)
43   USD 30 Day Federal Funds Futures  January 2025   (17,131,864)   (17,132,391)   (527)
U.S. Treasury futures sell contracts:
15   USD U.S. Treasury Note 2 Year Futures  December 2024  $(3,112,012)  $(3,089,180)  $22,832 
Total  $(56,304,997)  $(56,272,066)  $32,931 
Net unrealized appreciation (depreciation)            $(523,070)

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by
the
portfolio9
  Payments
received by
the
portfolio9
   Value   Unrealized
appreciation
(depreciation)
 
USD3,400  04/17/25  Annual  1 day USD SOFR  3.750%    $(39,901)  $(39,901)
USD3,400  04/18/25  Annual  1 day USD SOFR  3.750     (39,790)   (39,790)
USD6,600  04/24/25  Annual  1 day USD SOFR  4.000     (59,536)   (59,536)
USD3,600  04/25/25  Annual  1 day USD SOFR  4.000     (32,357)   (32,357)
USD18,600  06/21/25  Annual  3.750%  1 day USD SOFR     176,034    121,283 
USD1,700  06/21/26  Annual  3.500  1 day USD SOFR     24,447    24,595 
USD5,000  12/18/26  Annual  1 day USD SOFR  3.750     (11,908)   (42,167)
USD3,000  12/21/27  Annual  2.000  1 day USD SOFR     249,499    117,388 
USD4,400  03/20/29  Annual  4.250  1 day USD SOFR     (49,039)   69,766 
USD4,200  04/10/29  Annual  1 day USD SOFR  3.940     (7,298)   (7,298)
USD17,500  06/15/29  Annual  1 day USD SOFR  1.750     (1,748,157)   (878,377)
USD2,300  11/09/29  Annual  3.205  1 day USD SOFR     107,739    107,739 
USD2,300  11/09/29  Annual  3.218  1 day USD SOFR     106,146    106,146 
USD2,400  11/09/29  Annual  3.217  1 day USD SOFR     110,827    110,827 
USD4,200  12/18/29  Annual  1 day USD SOFR  3.750     (598)   (57,553)
USD1,300  12/21/29  Annual  2.000  1 day USD SOFR     145,585    61,848 
USD1,400  03/08/30  Annual  3.513  1 day USD SOFR     34,235    34,235 
USD1,400  03/08/30  Annual  3.513  1 day USD SOFR     34,273    34,273 
USD500  03/08/30  Annual  3.635  1 day USD SOFR     8,890    8,890 
USD2,900  04/10/30  Annual  1 day USD SOFR  3.560     (59,159)   (59,159)
USD2,900  05/08/30  Annual  1 day USD SOFR  3.560     (55,499)   (55,499)
USD400  05/08/30  Annual  1 day USD SOFR  3.550     (7,954)   (7,954)
USD6,400  06/21/30  Annual  3.000  1 day USD SOFR     307,572    238,792 
USD350  07/10/30  Annual  1 day USD SOFR  3.740     (2,287)   (2,287)
USD2,200  10/06/30  Annual  1 day USD SOFR  4.123     39,286    39,286 
USD4,900  10/10/30  Annual  4.185  1 day USD SOFR     (104,334)   (104,334)

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by
the
portfolio9
  Payments
received by
the
portfolio9
   Value   Unrealized
appreciation
(depreciation)
 
USD1,300  10/10/30  Annual  1 day USD SOFR  4.145%    $24,898   $24,898 
USD3,000  10/10/30  Annual  1 day USD SOFR  4.135     55,853    55,853 
USD3,200  10/10/30  Annual  1 day USD SOFR  4.118     56,580    56,580 
USD3,900  10/10/30  Annual  1 day USD SOFR  4.155     76,782    76,782 
USD500  10/10/30  Annual  1 day USD SOFR  4.320     14,258    14,258 
USD3,700  11/08/30  Annual  1 day USD SOFR  4.012     658    658 
USD4,000  11/08/30  Annual  1 day USD SOFR  4.180     43,379    43,379 
USD1,000  11/08/30  Annual  1 day USD SOFR  4.192     11,607    11,607 
USD7,000  12/20/30  Annual  3.500%  1 day USD SOFR     217,798    211,270 
USD2,200  12/22/30  Annual  3.550  1 day USD SOFR     59,698    59,698 
USD4,300  01/10/31  Annual  1 day USD SOFR  3.705     (71,591)   (71,591)
USD1,100  03/12/31  Annual  3.710  1 day USD SOFR     15,059    15,059 
USD1,200  04/08/31  Annual  1 day USD SOFR  3.990     5,973    5,973 
USD1,800  04/08/31  Annual  1 day USD SOFR  3.959     5,473    5,473 
USD2,200  04/09/31  Annual  3.013  1 day USD SOFR     123,313    123,313 
USD2,300  04/15/31  Annual  3.170  1 day USD SOFR     105,642    105,642 
USD1,600  04/26/31  Annual  3.232  1 day USD SOFR     66,515    66,515 
USD5,100  06/10/31  Annual  1 day USD SOFR  3.916     15,496    15,496 
USD7,600  06/20/31  Annual  3.750  1 day USD SOFR     55,780    (35,434)
USD1,400  06/08/32  Annual  2.451  1 day USD SOFR     137,219    137,219 
USD7,100  06/15/32  Annual  1.750  1 day USD SOFR     1,043,624    293,090 
USD500  06/15/32  Annual  1.750  1 day USD SOFR     73,245    45,012 
USD4,000  06/15/32  Annual  2.55  1 day USD SOFR     362,259    362,259 
USD2,300  09/16/32  Annual  2.998  1 day USD SOFR     125,976    125,976 
USD5,500  10/06/32  Annual  3.275  1 day USD SOFR     192,112    192,112 
USD2,800  11/28/32  Annual  3.368  1 day USD SOFR     128,448    128,448 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency  
  Payments
made by
the
portfolio9
  Payments
received by
the
portfolio9
   Value   Unrealized
appreciation
(depreciation)
 
USD600  12/21/32  Annual  2.000%  1 day USD SOFR    $91,626   $31,707 
USD1,400  03/08/33  Annual  3.453  1 day USD SOFR     48,665    48,665 
USD3,100  03/08/33  Annual  3.505  1 day USD SOFR     95,095    95,095 
USD1,000  03/08/33  Annual  1 day USD SOFR  3.510%     (30,287)   (30,287)
USD700  06/08/33  Annual  3.260  1 day USD SOFR     31,753    31,753 
USD5,600  12/20/33  Annual  1 day USD SOFR  3.500     (209,882)   (51,189)
USD8,500  06/20/34  Annual  3.750  1 day USD SOFR     72,332    (178,512)
USD4,500  12/18/34  Annual  3.750  1 day USD SOFR     9,630    92,771 
USD3,200  12/20/53  Annual  3.500  1 day USD SOFR     290,110    100,507 
USD600  06/20/54  Annual  3.500  1 day USD SOFR     20,335    (13,799)
USD1,000  12/18/54  Annual  3.500  1 day USD SOFR     25,347    37,070 
USD16,000  02/02/25  At Maturity  4.600  1 day USD SOFR     93,541    93,541 
USD29,500  02/05/25  At Maturity  4.1  1 day USD SOFR     297,935    297,935 
USD29,500  02/05/25  At Maturity  1 day USD SOFR  4.600     (151,233)   (151,233)
USD27,500  02/06/25  At Maturity  4.600  1 day USD SOFR     140,321    140,321 
USD5,900  05/30/25  At Maturity  5.000  1 day USD SOFR     (12,482)   (12,482)
USD8,500  06/18/25  At Maturity  5.000  1 day USD SOFR     21,364    21,364 
USD27,000  03/03/25  Quarterly  1.350  1 day USD SOFR     481,898    481,898 
USD8,900  05/04/25  Quarterly  1.500  1 day USD SOFR     193,917    193,917 
Total                $3,582,755   $2,987,443 

 

 

 

 

PACE Mortgage-Backed Securities Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                
Asset-backed securities  $   $17,778,209   $90,817   $17,869,026 
Mortgage-backed securities       33,130,829        33,130,829 
U.S. government agency obligations       312,717,365        312,717,365 
U.S. Treasury obligations       6,041,186        6,041,186 
Short-term investments       2,331,166        2,331,166 
Short-term U.S. treasury obligations       3,491,643        3,491,643 
Options purchased       50,739        50,739 
Swaptions Purchased       460,667        460,667 
Futures contracts   68,913            68,913 
Swap agreements       6,276,047        6,276,047 
Total  $68,913   $382,277,851   $90,817   $382,437,581 
                     
Liabilities                    
Investments sold short                    
U.S. government agency obligations  $   $(85,539,722)  $   $(85,539,722)
Reverse Repurchase Agreement       (37,357,933)       (37,357,933)
Options written       (48,168)       (48,168)
Swaptions written       (43,857)       (43,857)
Futures contracts   (591,983)           (591,983)
Swap agreements       (2,693,292)       (2,693,292)
Total  $(591,983)  $(125,682,972)  $   $(126,274,955)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

1 Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
2  Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $18,401,140, represented 10.3% of the Portfolios net assets at period end.
3  Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4  Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5  Zero coupon bond.
6  In U.S. dollars unless otherwise indicated.
7  Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
8 Rates shown reflect yield at October 31, 2024.
9 Payments made or received are based on the notional amount.

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value  
Asset-backed securities—23.7%
Adams Outdoor Advertising LP,          
Series 2023-1, Class A2,          
6.967%, due 07/15/531  $760,000   $791,528 
Aligned Data Centers Issuer LLC,          
Series 2022-1A, Class A2,          
6.350%, due 10/15/471   2,300,000    2,316,080 
Antares CLO Ltd.,          
Series 2019-1A, Class BR,          
3 mo. USD Term SOFR + 3.350%,          
7.967%, due 01/20/361,2   1,730,000    1,761,557 
Avis Budget Rental Car Funding AESOP LLC,          
Series 2023-4A, Class A,          
5.490%, due 06/20/291   1,620,000    1,645,964 
BHG Securitization Trust,          
Series 2022-C, Class B,          
5.930%, due 10/17/351   1,750,000    1,754,297 
Business Jet Securities LLC,          
Series 2024-2A, Class A,          
5.364%, due 09/15/391   1,163,611    1,143,521 
Capital Automotive REIT,          
Series 2024-2A, Class A2,          
5.250%, due 05/15/541   1,124,115    1,114,572 
CARS-DB7 LP,          
Series 2023-1A, Class A2,          
6.500%, due 09/15/531   887,813    901,536 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
CLI Funding VIII LLC,          
Series 2023-1A, Class A,          
6.310%, due 06/18/481  $889,845   $893,944 
Cogent Ipv4 LLC,          
Series 2024-1A, Class A2,          
7.924%, due 05/25/541   1,830,000    1,878,535 
College Avenue Student Loans LLC,          
Series 2021-A, Class A1,          
1 mo. USD Term SOFR + 1.214%,          
5.952%, due 07/25/511,2   43,347    42,857 
Series 2021-B, Class A2,          
1.760%, due 06/25/521   57,488    51,083 
Series 2021-C, Class A1,          
1 mo. USD Term SOFR + 1.014%,          
5.752%, due 07/26/551,2   175,160    171,841 
Series 2021-C, Class B,          
2.720%, due 07/26/551   77,573    69,246 
Series 2021-C, Class A2,          
2.320%, due 07/26/551   88,234    78,792 
Credit Acceptance Auto Loan Trust,          
Series 2021-4, Class A,          
1.260%, due 10/15/301   27,996    27,949 
Series 2022-1A, Class A,          
4.600%, due 06/15/321   291,273    290,791 
Series 2022-3A, Class C,          
8.450%, due 02/15/331   2,300,000    2,388,853 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value  
Asset-backed securities—(continued)          
DataBank Issuer LLC,          
Series 2023-1A, Class A2,          
5.116%, due 02/25/531  $995,000   $972,400 
Edgeconnex Data Centers Issuer LLC,          
Series 2024-1, Class A2,          
6.000%, due 07/27/541,3   835,975    832,368 
EDvestinU Private Education Loan Issue No. 3 LLC,          
Series 2021-A, Class A,          
1.800%, due 11/25/451   49,770    45,371 
Golub Capital Partners ABS Funding Ltd.,          
Series 2022-1A, Class A2B,          
6.580%, due 07/22/301   1,897,355    1,855,036 
GoodLeap Sustainable Home Solutions Trust,          
Series 2021-4GS, Class A,          
1.930%, due 07/20/481   160,390    125,635 
Series 2021-5CS, Class A,          
2.310%, due 10/20/481   89,801    71,980 
Lendmark Funding Trust,          
Series 2021-1A, Class A,          
1.900%, due 11/20/311   210,000    196,117 
Series 2024-2A, Class A,          
4.470%, due 02/21/341   1,280,000    1,256,365 
Mariner Finance Issuance Trust,          
Series 2021-AA, Class A,          
1.860%, due 03/20/361   180,000    170,215 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
MCF CLO 10 Ltd.,          
Series 2023-1A, Class C,          
3 mo. USD Term SOFR + 4.200%,          
8.856%, due 04/15/351,2  $630,000   $635,436 
Mosaic Solar Loan Trust,          
Series 2022-1A, Class A,          
2.640%, due 01/20/531   145,379    125,758 
Navient Private Education Refi Loan Trust,          
Series 2019-D, Class A2B,          
1 mo. USD Term SOFR + 1.164%,          
5.968%, due 12/15/591,2   100,626    100,672 
Series 2020-IA, Class B,          
2.950%, due 04/15/691   100,000    84,204 
Series 2021-A, Class A,          
0.840%, due 05/15/691   43,580    39,165 
Series 2021-DA, Class A,          
U.S. (Fed) Prime Rate + -1.990%,          
6.010%, due 04/15/601,2   206,137    203,876 
Navient Student Loan Trust,          
Series 2018-EA, Class A2,          
4.000%, due 12/15/591   10,971    10,889 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Nelnet Student Loan Trust,          
Series 2021-A, Class APT2,          
1.360%, due 04/20/621  $306,587   $281,646 
Series 2021-BA, Class AFL,          
1 mo. USD Term SOFR + 0.894%,          
5.654%, due 04/20/621,2   435,444    432,498 
Series 2021-CA, Class AFL,          
1 mo. USD Term SOFR + 0.854%,          
5.614%, due 04/20/621,2   276,205    274,063 
New Economy Assets Phase 1 Sponsor LLC,          
Series 2021-1, Class A1,          
1.910%, due 10/20/611   1,150,000    1,050,796 
NextGear Floorplan Master Owner Trust,          
Series 2023-1A, Class A2,          
5.740%, due 03/15/281   1,740,000    1,762,182 
NFAS2 LLC,          
Series 2022-1, Class B,          
7.590%, due 09/15/281   1,090,000    1,095,459 
NMEF Funding LLC,          
Series 2022-B, Class A2,          
6.070%, due 06/15/291   826,256    830,836 
OnDeck Asset Securitization Trust IV LLC,          
Series 2024-1A, Class A,          
6.270%, due 06/17/311   1,090,000    1,101,581 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
OneMain Financial Issuance Trust,          
Series 2022-3A, Class A,          
5.940%, due 05/15/341  $1,610,000   $1,621,679 
Oportun Issuance Trust,          
Series 2022-3, Class B,          
8.533%, due 01/08/301   250,341    250,557 
Oxford Finance Funding Trust,          
Series 2023-1A, Class B,          
7.879%, due 02/15/311   1,970,000    1,942,037 
Prodigy Finance DAC,          
Series 2021-1A, Class A,          
1 mo. USD Term SOFR + 1.364%,          
6.102%, due 07/25/511,2   85,213    84,754 
Regional Management Issuance Trust,          
Series 2021-2, Class A,          
1.900%, due 08/15/331   245,000    227,302 
Series 2022-2B, Class B,          
8.510%, due 11/17/321   2,360,000    2,396,064 
Republic Finance Issuance Trust,          
Series 2024-A, Class A,          
5.910%, due 08/20/321   1,490,000    1,497,665 
Retained Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2A,          
5.000%, due 09/15/481   1,370,000    1,347,256 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Santander Drive Auto Receivables Trust,          
Series 2022-7, Class C,          
6.690%, due 03/17/31  $2,200,000   $2,262,284 
Sesac Finance LLC,          
Series 2019-1, Class A2,          
5.216%, due 07/25/491   113,700    112,429 
SLM Private Education Loan Trust,          
Series 2010-C, Class A5,          
1 mo. USD Term SOFR + 4.864%,          
9.668%, due 10/15/411,2   293,149    306,877 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
SMB Private Education Loan Trust,          
Series 2017-B, Class A2B,          
1 mo. USD Term SOFR + 0.864%,          
5.668%, due 10/15/351,2  $30,089   $30,045 
Series 2018-A, Class A2B,          
1 mo. USD Term SOFR + 0.914%,          
5.718%, due 02/15/361,2   131,075    130,738 
Series 2018-C, Class A2B,          
1 mo. USD Term SOFR + 0.864%,          
5.668%, due 11/15/351,2   180,336    179,788 
Series 2021-A, Class A2A1,          
1 mo. USD Term SOFR + 0.844%,          
5.630%, due 01/15/531,2   373,388    368,204 
Series 2021-A, Class B,          
2.310%, due 01/15/531   84,442    80,524 
Series 2021-C, Class APT1,          
1.390%, due 01/15/531   118,612    106,330 
SoFi Professional Loan Program LLC,          
Series 2018-A, Class A2B,          
2.950%, due 02/25/421   19,354    19,142 
Series 2020-C, Class AFX,          
1.950%, due 02/15/461   65,257    60,409 
Stack Infrastructure Issuer LLC,          
Series 2023-1A, Class A2,          
5.900%, due 03/25/481   740,000    744,658 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Asset-backed securities—(continued)          
Store Master Funding I-VII XIV XIX XX,          
Series 2021-1A, Class A1,          
2.120%, due 06/20/511  $1,003,000   $888,812 
TierPoint Issuer LLC,          
Series 2023-1A, Class A2,          
6.000%, due 06/25/531   790,000    791,923 
Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2,          
6.316%, due 03/16/481   1,070,000    1,080,344 
Willis Engine Structured Trust VII,          
Series 2023-A, Class A,          
8.000%, due 10/15/481   535,776    561,655 
Total asset-backed securities          
(cost—$47,375,217)        47,968,970 
           
Corporate bonds—42.5%
Agriculture: 0.4%
Cargill, Inc.          
5.125%, due 10/11/321   810,000    825,140 
           
Airlines: 0.2%          
Air Canada Pass-Through Trust          
Series 2017-1, Class AA,          
3.300%, due 01/15/301   38,797    35,951 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Airlines—(continued)
American Airlines Pass-Through Trust          
Series 2016-3, Class AA,          
3.000%, due 10/15/28  $80,369   $75,067 
Series 2016-1, Class AA,          
3.575%, due 01/15/28   43,359    41,779 
Series 2017-1, Class AA,          
3.650%, due 02/15/29   26,189    25,090 
Delta Air Lines Pass-Through Trust          
Series 2020-1, Class AA,          
2.000%, due 06/10/28   49,453    45,976 
United Airlines Pass-Through Trust          
Series 2019-2, Class AA,          
2.700%, due 05/01/32   40,397    35,798 
Series 2015-1, Class AA,          
3.450%, due 12/01/27   28,819    27,576 
Series 2018-1, Class AA,          
3.500%, due 03/01/30   14,200    13,254 
Series 2019-1, Class AA,          
4.150%, due 08/25/31   51,053    48,631 
         349,122 
Banks: 14.3%          
ASB Bank Ltd.          
(fixed, converts to FRN on 06/17/27),          
5.284%, due 06/17/321,2   1,500,000    1,493,377 
5.398%, due 11/29/271   1,260,000    1,286,106 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Banks—(continued)
Bank of America Corp.        
(fixed, converts to FRN on 01/20/27),          
3.824%, due 01/20/282  $840,000   $822,931 
Bank of New York Mellon Corp.          
(fixed, converts to FRN on 02/07/27),          
3.442%, due 02/07/282   1,400,000    1,362,392 
Bank of New Zealand          
4.846%, due 02/07/281   1,075,000    1,077,534 
Comerica Bank          
4.000%, due 07/27/25   800,000    791,996 
(fixed, converts to FRN on 08/25/32),          
5.332%, due 08/25/332,5   1,280,000    1,207,488 
Fifth Third Bancorp          
(fixed, converts to FRN on 07/28/29),          
4.772%, due 07/28/302   25,000    24,610 
(fixed, converts to FRN on 10/27/27),          
6.361%, due 10/27/282   1,885,000    1,954,718 
HSBC Holdings PLC          
(fixed, converts to FRN on 06/04/30),          
2.848%, due 06/04/312   1,800,000    1,595,964 
(fixed, converts to FRN on 11/03/27),          
7.390%, due 11/03/282   905,000    964,102 
Huntington Bancshares, Inc.          
(fixed, converts to FRN on 08/04/27),          
4.443%, due 08/04/282   647,000    639,405 
Huntington National Bank          
5.650%, due 01/10/30   1,240,000    1,266,503 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Banks—(continued)
ING Groep NV          
(fixed, converts to FRN on 03/28/25),          
3.869%, due 03/28/262  $1,400,000   $1,392,137 
JPMorgan Chase & Co.          
(fixed, converts to FRN on 02/01/27),          
3.782%, due 02/01/282   793,000    776,071 
KeyBank NA          
5.850%, due 11/15/275   1,080,000    1,106,300 
Lloyds Banking Group PLC          
(fixed, converts to FRN on 03/18/27),          
3.750%, due 03/18/282   1,420,000    1,382,954 
(fixed, converts to FRN on 11/15/32),          
7.953%, due 11/15/332   610,000    692,026 
Morgan Stanley          
(fixed, converts to FRN on 10/18/32),          
6.342%, due 10/18/332   885,000    952,475 
NatWest Group PLC          
1 day USD SOFR + 1.300%,          
6.367%, due 11/15/282   940,000    947,458 
(fixed, converts to FRN on 11/10/25),          
7.472%, due 11/10/262   1,030,000    1,054,573 
Santander Holdings USA, Inc.          
(fixed, converts to FRN on 09/09/25),          
5.807%, due 09/09/262   855,000    857,969 
(fixed, converts to FRN on 03/09/28),          
6.499%, due 03/09/292   755,000    778,110 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Banks—(continued)
Skandinaviska Enskilda Banken AB          
5.375%, due 03/05/291  $680,000   $691,392 
State Street Corp.          
(fixed, converts to FRN on 11/04/27),          
5.820%, due 11/04/282   555,000    571,650 
Truist Financial Corp.          
(fixed, converts to FRN on 06/06/27),          
4.123%, due 06/06/282   1,370,000    1,346,656 
(fixed, converts to FRN on 10/28/32),          
6.123%, due 10/28/332   580,000    607,574 
Wells Fargo & Co.          
(fixed, converts to FRN on 03/02/32),          
3.350%, due 03/02/332   1,525,000    1,355,017 
         28,999,488 
Commercial services: 1.1%          
Ashtead Capital, Inc.          
5.500%, due 08/11/321,5   1,500,000    1,495,447 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.          
8.250%, due 01/15/301,5   625,000    638,513 
         2,133,960 
Diversified financial services: 2.9%          
Ally Financial, Inc.          
(fixed, converts to FRN on 01/03/29),          
6.848%, due 01/03/302   1,005,000    1,044,545 
Bread Financial Holdings, Inc.          
9.750%, due 03/15/291   1,410,000    1,489,296 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Diversified financial services—(continued)          
Brightsphere Investment Group, Inc.          
4.800%, due 07/27/26  $585,000   $572,363 
Capital One Financial Corp.          
(fixed, converts to FRN on 05/10/27),          
4.927%, due 05/10/282   1,400,000    1,402,324 
(fixed, converts to FRN on 05/10/32),          
5.268%, due 05/10/332   164,000    161,572 
Oxford Finance LLC/Oxford Finance Co-Issuer II, Inc.          
6.375%, due 02/01/271   1,250,000    1,231,331 
         5,901,431 
Electric: 2.6%          
Alexander Funding Trust II          
7.467%, due 07/31/281   1,145,000    1,212,752 
Atlantica Sustainable Infrastructure PLC          
4.125%, due 06/15/281   1,110,000    1,058,491 
Duke Energy Florida LLC          
5.950%, due 11/15/52   880,000    929,101 
Edison International          
Series A,          
(fixed, converts to FRN on 03/15/26),          
5.375%, due 03/15/262,6   1,360,000    1,346,459 
MidAmerican Energy Co.          
3.650%, due 04/15/29   204,000    195,686 
Southern California Edison Co.          
5.950%, due 11/01/32   585,000    619,012 
         5,361,501 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Energy-Alternate Sources: 0.5%          
NextEra Energy Partners LP          
2.500%, due 06/15/261,5  $1,180,000   $1,102,905 
           
Gas: 0.4%          
Southern California Gas Co.          
5.050%, due 09/01/34   850,000    847,847 
           
Healthcare-services: 0.5%          
CommonSpirit Health          
6.073%, due 11/01/27   965,000    998,697 
           
Insurance: 9.8%          
American National Group, Inc.          
5.750%, due 10/01/29   465,000    466,175 
Athene Global Funding          
4.721%, due 10/08/291   675,000    662,716 
Athene Holding Ltd.          
6.650%, due 02/01/33   1,175,000    1,264,291 
Corebridge Financial, Inc.          
(fixed, converts to FRN on 12/15/27),          
6.875%, due 12/15/522   1,280,000    1,310,160 
Enstar Finance LLC          
(fixed, converts to FRN on 01/15/27),          
5.500%, due 01/15/422   1,655,000    1,551,557 
(fixed, converts to FRN on 09/01/25),          
5.750%, due 09/01/402,5   125,000    122,871 
Enstar Group Ltd.          
4.950%, due 06/01/29   1,400,000    1,381,730 
F&G Annuities & Life, Inc.          
7.400%, due 01/13/28   2,110,000    2,193,556 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Insurance—(continued)
Global Atlantic Fin Co.          
7.950%, due 06/15/331  $1,065,000   $1,189,108 
(fixed, converts to FRN on 10/15/29),          
7.950%, due 10/15/541,2   395,000    409,849 
Metropolitan Life Global Funding I          
4.300%, due 08/25/291   845,000    825,990 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen          
(fixed, converts to FRN on 05/23/32),          
5.875%, due 05/23/421,2   800,000    819,384 
Reinsurance Group of America, Inc.          
6.000%, due 09/15/33   1,125,000    1,173,806 
RenaissanceRe Holdings Ltd.          
5.750%, due 06/05/33   1,645,000    1,669,852 
SiriusPoint Ltd.          
7.000%, due 04/05/29   795,000    816,614 
Stewart Information Services Corp.          
3.600%, due 11/15/31   1,700,000    1,466,596 
Swiss Re Finance Luxembourg SA          
(fixed, converts to FRN on 04/02/29),          
5.000%, due 04/02/491,2   2,600,000    2,587,182 
         19,911,437 
Investment companies: 3.8%          
BlackRock TCP Capital Corp.          
6.950%, due 05/30/295   1,025,000    1,030,585 
Blackstone Private Credit Fund          
3.250%, due 03/15/27   209,000    197,950 
7.300%, due 11/27/281   1,525,000    1,600,664 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Investment companies—(continued)          
Blue Owl Credit Income Corp.          
7.750%, due 09/16/27  $710,000   $739,613 
FS KKR Capital Corp.          
7.875%, due 01/15/29   1,830,000    1,943,875 
HA Sustainable Infrastructure Capital, Inc.          
6.375%, due 07/01/341   1,085,000    1,080,047 
Oaktree Strategic Credit Fund          
6.500%, due 07/23/295   1,060,000    1,056,678 
         7,649,412 
Media: 0.5%          
CCO Holdings LLC/CCO Holdings Capital Corp.          
7.375%, due 03/01/311   1,005,000    1,022,036 
           
Oil & gas: 0.5%          
Sunoco LP          
7.000%, due 05/01/291   915,000    943,895 
           
Real estate investment trusts: 3.4%          
Arbor Realty SR, Inc.          
Series QIB,          
8.500%, due 10/15/271   1,790,000    1,752,311 
HAT Holdings I LLC/HAT Holdings II LLC          
3.375%, due 06/15/261   1,515,000    1,462,739 
SBA Tower Trust          
6.599%, due 01/15/281   2,300,000    2,350,101 
Scentre Group Trust 1/Scentre Group Trust 2          
4.375%, due 05/28/301   1,363,000    1,318,589 
         6,883,740 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Corporate bonds—(continued)
Retail: 0.4%
Macy's Retail Holdings LLC          
5.875%, due 03/15/301,5  $865,000   $836,585 
           
Semiconductors: 0.7%          
ams-OSRAM AG          
12.250%, due 03/30/291   1,400,000    1,453,523 
           
Telecommunications: 0.5%          
Connect Finco SARL/Connect U.S. Finco LLC          
9.000%, due 09/15/291   1,050,000    997,341 
Total corporate bonds          
(cost—$84,046,199)        86,218,060 
           
Loan assignments—13.4%          
Aerospace & defense: 0.4%          
Propulsion BC Finco SARL          
3 mo. USD Term SOFR + 3.250%,          
7.867%, due 09/14/292   868,371    870,724 
           
Agriculture: 0.3%          
A-AG U.S. GSI Bidco, Inc.          
0.000%, due 10/08/312,7   525,000    523,687 
           
Airlines: 0.6%          
United Airlines, Inc.          
3 mo. USD Term SOFR + 2.750%,          
7.385%, due 02/22/312   1,169,125    1,169,955 
           
Chemicals: 0.5%          
INEOS Enterprises Holdings U.S. Finco LLC          
3 mo. USD Term SOFR + 3.750%,          
8.907%, due 07/08/302   1,027,238    1,028,522 
           
Commercial services: 1.4%          
Priority Holdings LLC          
3 mo. USD Term SOFR + 4.750%,          
9.807%, due 05/16/312   1,057,350    1,053,712 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Loan assignments—(continued)
Commercial services—(continued)          
System One Holdings LLC          
3 mo. USD Term SOFR + 3.750%,          
8.504%, due 03/02/282  $1,721,396   $1,723,548 
         2,777,260 
Diversified financial services: 0.6%          
LendingTree, Inc.          
1 mo. USD Term SOFR + 4.000%,          
8.799%, due 09/15/282   1,223,103    1,217,367 
           
Electric: 0.8%          
Eastern Power LLC          
1 mo. USD Term SOFR + 5.250%,          
9.935%, due 04/03/282   1,539,563    1,539,763 
           
Environmental control: 0.3%          
Tidal Waste & Recycling Holdings LLC          
0.000%, due 10/03/312,7   622,000    622,000 
           
Health care products: 0.8%          
Medline Borrower LP          
1 mo. USD Term SOFR + 2.750%,          
7.435%, due 10/23/282   1,106,902    1,107,644 
Sotera Health Holdings LLC          
3 mo. USD Term SOFR + 3.250%,          
7.835%, due 05/30/312   620,000    620,391 
         1,728,035 
Healthcare-services: 1.0%          
IQVIA, Inc.          
3 mo. USD Term SOFR + 2.000%,          
6.604%, due 01/02/312   992,500    994,674 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Loan assignments—(continued)
Healthcare-services—(continued)
MPH Acquisition Holdings LLC          
2021 Term Loan B,          
3 mo. USD Term SOFR + 4.250%,          
9.569%, due 09/01/282  $1,273,737   $953,354 
         1,948,028 
Home Furnishings: 0.9%          
Whirlpool Corp.          
1 mo. USD Term SOFR + 1.125%,          
5.910%, due 09/23/252,3,4   1,855,000    1,852,681 
           
Investment companies: 0.5%          
MIP V Waste Holdings LLC          
1 mo. USD Term SOFR + 3.000%,          
7.685%, due 12/08/282   1,115,001    1,115,470 
           
Media: 0.5%          
Midcontinent Communications          
1 mo. USD Term SOFR + 2.500%,          
7.286%, due 08/16/312   1,070,000    1,074,012 
           
Pharmaceuticals: 0.6%          
Jazz Financing Lux SARL          
1 mo. USD Term SOFR + 2.250%,          
6.935%, due 05/05/282   1,163,280    1,163,175 
           
Pipelines: 2.4%          
AL NGPL Holdings LLC          
3 mo. USD Term SOFR + 2.500%,          
7.090%, due 04/17/282   1,114,104    1,115,029 
BCP Renaissance Parent LLC          
3 mo. USD Term SOFR + 3.250%,          
7.854%, due 10/31/282   1,016,819    1,016,819 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Loan assignments—(continued)
Pipelines—(continued)
Rockpoint Gas Storage Partners LP          
3 mo. USD Term SOFR + 3.500%,          
8.363%, due 09/12/312  $1,600,000   $1,595,008 
UGI Energy Services LLC          
1 mo. USD Term SOFR + 2.500%,          
7.185%, due 02/22/302   1,161,254    1,160,836 
         4,887,692 
Real estate investment trusts: 0.4%          
Starwood Property Trust, Inc.          
1 mo. USD Term SOFR + 2.750%,          
7.435%, due 11/18/272   751,613    753,492 
           
Software: 0.6%          
Central Parent, Inc.          
3 mo. USD Term SOFR + 3.250%,          
7.854%, due 07/06/292   1,141,375    1,131,844 
           
Telecommunications: 0.8%          
Connect Finco SARL          
1 mo. USD Term SOFR + 3.500%,          
8.185%, due 12/11/262   299,007    296,977 
Iridium Satellite LLC          
1 mo. USD Term SOFR + 2.250%,          
6.935%, due 09/20/302   1,083,800    1,070,122 
Lumen Technologies, Inc.          
1 mo. USD Term SOFR + 6.000%,          
10.685%, due 06/01/282   322,906    317,775 
         1,684,874 
Total loan assignments          
(cost—$27,224,347)        27,088,581 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—11.2%
Arbor Multifamily Mortgage Securities Trust,          
Series 2020-MF1, Class A5,          
2.756%, due 05/15/531  $465,000   $417,227 
Bank,          
Series 2022-BNK42, Class A5,          
4.493%, due 06/15/552   220,000    211,147 
BBCMS Mortgage Trust,          
Series 2019-C3, Class B,          
4.096%, due 05/15/52   90,000    82,523 
Benchmark Mortgage Trust,          
Series 2019-B15, Class B,          
3.564%, due 12/15/72   210,000    172,681 
Series 2019-B15, Class C,          
3.720%, due 12/15/722   111,000    85,186 
Series 2022-B35, Class A5,          
4.444%, due 05/15/552   270,000    254,074 
BX Commercial Mortgage Trust,          
Series 2021-XL2, Class A,          
1 mo. USD Term SOFR + 0.803%,          
5.607%, due 10/15/381,2   201,881    200,746 
Series 2021-CIP, Class A,          
1 mo. USD Term SOFR + 1.035%,          
5.840%, due 12/15/381,2   213,356    211,889 
BX Trust,          
Series 2022-CLS, Class B,          
6.300%, due 10/13/271   2,020,000    1,922,935 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Series 2022-GPA, Class B,          
1 mo. USD Term SOFR + 2.664%,          
7.450%, due 08/15/411,2  $981,468   $981,468 
Series 2022-GPA, Class C,          
1 mo. USD Term SOFR + 3.213%,          
7.999%, due 08/15/421,2   932,395    932,395 
Cantor Commercial Real Estate Lending,          
Series 2019-CF3, Class B,          
3.500%, due 01/15/532   101,000    82,902 
CD Mortgage Trust,          
Series 2017-CD3, Class A4,          
3.631%, due 02/10/50   300,000    282,012 
Citigroup Commercial Mortgage Trust,          
Series 2023-PRM3, Class B,          
6.360%, due 07/10/281,2   880,000    896,925 
COMM Mortgage Trust,          
Series 2015-CR25, Class A3,          
3.505%, due 08/10/48   219,019    217,211 
CRSO Trust          
7.658%, due 07/10/282   880,000    910,346 
DC Commercial Mortgage Trust,          
Series 2023-DC, Class B,          
6.804%, due 09/12/401   660,000    681,304 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
Extended Stay America Trust,          
Series 2021-ESH, Class A,          
1 mo. USD Term SOFR + 1.194%,          
5.999%, due 07/15/381,2  $364,431   $364,431 
Federal Home Loan Mortgage Corp. Multifamily Structured Pass-Through Certificates,          
Series K121, Class X1,          
1.019%, due 10/25/302   1,174,602    55,388 
Series KL06, Class XFX,          
1.364%, due 12/25/292   720,000    32,980 
Series K142, Class A2,          
2.400%, due 03/25/32   385,000    331,456 
Series K144, Class A2,          
2.450%, due 04/25/32   270,000    232,616 
Series K145, Class A2,          
2.580%, due 05/25/32   605,000    525,263 
Series KC02, Class A2,          
3.370%, due 07/25/25   465,825    461,160 
Federal Home Loan Mortgage Corp. Multifamily WI Certificates,          
Series K146, Class A2,          
2.920%, due 07/25/32   170,000    151,183 
Federal National Mortgage Association-ACES,          
Series 2022-M5, Class A3,          
2.353%, due 01/01/342   325,000    268,294 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
FRESB Mortgage Trust,          
Series 2019-SB60, Class A10H,          
3.500%, due 01/25/392  $154,745   $145,559 
JP Morgan Chase Commercial Mortgage Securities Trust,          
Series 2021-MHC, Class A,          
1 mo. USD Term SOFR + 1.164%,          
5.969%, due 04/15/381,2   85,041    84,934 
Series 2022-ACB, Class A,          
30 day USD SOFR Average + 1.400%,          
6.410%, due 03/15/391,2   360,000    360,000 
MF1 Trust,          
Series 2021-W10, Class A,          
1 mo. USD Term SOFR + 1.070%,          
5.856%, due 12/15/341,2   100,000    98,908 
Series 2021-W10, Class B,          
1 mo. USD Term SOFR + 1.370%,          
6.156%, due 12/15/341,2   370,000    363,449 
Morgan Stanley Capital I Trust,          
Series 2015-MS1, Class A4,          
3.779%, due 05/15/482   520,000    514,358 
MTN Commercial Mortgage Trust,          
Series 2022-LPFL, Class A,          
1 mo. USD Term SOFR + 1.397%,          
6.207%, due 03/15/391,2   2,000,000    1,988,750 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Mortgage-backed securities—(continued)          
OAKST Commercial Mortgage Trust,          
Series 2023-NLP, Class A,          
6.095%, due 03/15/401,2  $2,050,000   $2,070,846 
One Bryant Park Trust,          
Series 2019-OBP, Class A,          
2.516%, due 09/15/541   2,300,000    2,006,119 
SCOTT Trust,          
Series 2023-SFS, Class A,          
5.910%, due 03/10/401   870,000    883,556 
Taubman Centers Commercial Mortgage Trust,          
Series 2022-DPM, Class A,          
1 mo. USD Term SOFR + 2.186%,          
6.990%, due 05/15/371,2   260,000    261,136 
Wells Fargo Commercial Mortgage Trust,          
Series 2018-C46, Class A4,          
4.152%, due 08/15/51   135,000    129,951 
Series 2018-C44, Class A5,          
4.212%, due 05/15/51   445,000    431,370 
WMRK Commercial Mortgage Trust,          
Series 2022-WMRK, Class C,          
1 mo. USD Term SOFR + 4.083%,          
8.869%, due 11/15/271,2   2,330,000    2,336,553 
Total mortgage-backed securities          
(cost—$22,941,143)        22,641,231 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—0.4%
California: 0.1%
Los Angeles Department of Water & Power Power System Revenue, Revenue Bonds,        
6.574%, due 07/01/45  $145,000   $162,129 
State of California, GO Bonds,          
7.550%, due 04/01/39   70,000    84,848 
         246,977 
Michigan: 0.0%†          
University of Michigan, Revenue Bonds,          
Series B,          
3.504%, due 04/01/52   93,000    71,754 
           
Minnesota: 0.0%†          
University of Minnesota, Revenue Bonds,          
4.048%, due 04/01/52   78,000    66,338 
           
New Jersey: 0.1%          
New Jersey Transportation Trust Fund Authority, Build America Bonds, Revenue Bonds,          
Series B,          
6.561%, due 12/15/40   105,000    114,863 
New Jersey Turnpike Authority, Taxable Refunding, Revenue Bonds,          
Series B,          
2.782%, due 01/01/40   25,000    18,910 
         133,773 
New York: 0.1%          
New York State Dormitory Authority, Personal Income Tax, Refunding, Revenue Bonds,          

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Municipal bonds—(continued)
New York—(continued)          
Series C,          
2.052%, due 03/15/30  $120,000   $105,795 
Series C,          
2.152%, due 03/15/31   165,000    142,399 
         248,194 
Texas: 0.1%          
City of Houston TX, GO Bonds,          
3.961%, due 03/01/47   85,000    73,102 
State of Texas, Public Finance Authority, Taxable Refunding, GO Bonds,          
Series B,          
2.754%, due 10/01/41   50,000    37,060 
         110,162 
Total municipal bonds          
(cost—$1,041,603)        877,198 

 

   Number of
shares
     
Preferred stocks: 1.1%
Capital markets: 1.1%          
CION Investment Corp.   36,000    923,400 
Trinity Capital, Inc.   50,000    1,267,000 
         2,190,400 
Total preferred stocks
(cost—$2,150,000)
        2,190,400 

 

   Face     
   amount     
U.S. Treasury obligations: 3.7%          
U.S. Treasury Bonds          
1.375% due 08/15/50   6,450,000    3,336,363 
3.625% due 02/15/53   1,775,000    1,523,380 
3.875% due 02/15/43   475,000    434,347 
U.S. Treasury Notes,          
3.500%, due 09/30/29   2,270,000    2,204,560 
Total U.S. Treasury obligations          
(cost—$7,981,044)        7,498,650 

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of     
   shares   Value 
Common stocks: 1.2%
Mortgage real estate investment: 1.2%          
Ellington Financial, Inc.,Series C2,6          
(cost—$2,335,000)   93,400   $2,399,446 

 

   Face
amount
     
Short-term U.S. treasury obligations—1.2%          
U.S. Treasury Bills          
4.462% due 04/10/258  $1,200,000    1,176,879 
5.149% due 01/23/258   1,300,000    1,286,705 
Total short-term U.S. treasury obligations
(cost—$2,462,211)
        2,463,584 

 

   Number of
shares
     
Short-term investments—2.6%
Investment companies: 1.4%          
State Street Institutional U.S. Government Money Market Fund, 4.824%8
(cost $2,772,451)
   2,772,451    2,772,451 
Total Short-term investments
(cost—$5,234,662)
        5,236,035 

 

   Number of     
   shares   Value 
Investment of cash collateral from securities loaned—3.6%
Money market funds: 3.6%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%8          
(cost—$7,384,913)   7,384,913   $7,384,913 
Total investments          
(cost—$207,714,128)9—103.4%        209,503,484 
Liabilities in excess of other assets—(3.4)%        (6,889,599)
Net assets—100.0%       $202,613,885 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
                   
U.S. Treasury futures buy contracts:
87   USD  U.S. Long Bond Futures  December 2024  $10,856,872   $10,263,281   $(593,591)
131   USD  U.S. Treasury Note 10 Year Futures  December 2024   14,977,750    14,471,406    (506,344)
15   USD  U.S. Treasury Note 2 Year Futures  December 2024   3,115,349    3,089,180    (26,169)
153   USD  Ultra U.S. Treasury Bond Futures  December 2024   20,514,640    19,220,625    (1,294,015)
233   USD  Ultra U.S. Treasury Note 10 Year Futures  December 2024   27,598,192    26,503,750    (1,094,442)
Total            $77,062,803   $73,548,242   $(3,514,561)

 

 

 

 

PACE Intermediate Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
                   
U.S. Treasury futures sell contracts:
191  USD  U.S. Treasury Note 5 Year Futures  December 2024   (20,970,791)   (20,481,765)  $489,026 
Total           $(20,970,791)  $(20,481,765)  $489,026 
Net unrealized appreciation (depreciation)               $(3,025,535)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Assets                        
Common stocks   $ 2,399,446     $     $     $ 2,399,446  
Preferred stocks     2,190,400                   2,190,400  
Asset-backed securities           47,968,970             47,968,970  
Corporate bonds           86,218,060             86,218,060  
Loan assignments           25,235,900       1,852,681       27,088,581  
Mortgage-backed securities           22,641,231             22,641,231  
Municipal bonds           877,198             877,198  
U.S. Treasury obligations           7,498,650             7,498,650  
Short-term investments           2,772,451             2,772,451  
Short-term U.S. treasury obligations           2,463,584             2,463,584  
Investment of cash collateral from securities loaned           7,384,913             7,384,913  
Futures contracts     489,026                   489,026  
Total   $ 5,078,872     $ 203,060,957     $ 1,852,681     $ 209,992,510  
                                 
Liabilities                                
Futures contracts   $ (3,514,561 )   $     $     $ (3,514,561 )
Total   $ (3,514,561 )   $     $     $ (3,514,561 )

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
1 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $97,720,552, represented 48.2% of the Portfolios net assets at period end.
2 Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
3 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5 Security, or portion thereof, was on loan at the period end.
6 Perpetual investment. Date shown reflects the next call date.
7 Position is unsettled. Contract rate was not determined at October 31, 2024 and does not take effect until settlement.
8 Rates shown reflect yield at October 31, 2024.
9 Includes $8,336,578 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $7,384,913 and non-cash collateral of $1,145,391.

 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—16.4%          
Accredited Mortgage Loan Trust,          
Series 2004-2, Class A1,          
1 mo. USD Term SOFR + 0.404%,          
5.432%, due 07/25/342   254,301   $249,169 
Adams Outdoor Advertising LP,          
Series 2023-1, Class A2,          
6.967%, due 07/15/533   980,000    1,020,654 
Aligned Data Centers Issuer LLC,          
Series 2022-1A, Class A2,          
6.350%, due 10/15/473   3,000,000    3,020,973 
Ally Bank Auto Credit-Linked Notes,          
Series 2024-A, Class D,          
6.315%, due 05/17/323   210,589    212,444 
Series 2024-B, Class E,          
6.678%, due 09/15/323,4   250,000    249,917 
Antares CLO Ltd.,          
Series 2019-1A, Class BR,          
3 mo. USD Term SOFR + 3.350%,          
7.967%, due 01/20/362,3   2,270,000    2,311,407 
Avis Budget Rental Car Funding AESOP LLC,          
Series 2023-2A, Class C,          
6.180%, due 10/20/273   135,000    135,126 
Series 2023-4A, Class A,          
5.490%, due 06/20/293   2,100,000    2,133,657 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Bayview Opportunity Master Fund VII LLC,          
Series 2024-EDU1, Class D,          
30 day USD SOFR Average + 2.750%,          
7.607%, due 06/25/472,3   16,821   $17,010 
Series 2024-EDU1, Class C,          
30 day USD SOFR Average + 1.800%,          
6.657%, due 06/25/472,3   38,953    38,953 
Beacon Container Finance II LLC,          
Series 2021-1A, Class A,          
2.250%, due 10/22/463   93,100    84,073 
BHG Securitization Trust,          
Series 2022-C, Class B,          
5.930%, due 10/17/353   2,340,000    2,345,746 
Blue Stream Issuer LLC,          
Series 2024-1A, Class A2,          
5.408%, due 11/20/543,4   104,000    104,000 
BPCRE Ltd.,          
Series 2022-FL2, Class A,          
1 mo. USD Term SOFR + 2.400%,          
7.159%, due 01/16/372,3   196,772    195,911 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Business Jet Securities LLC,          
Series 2024-1A, Class B,          
6.924%, due 05/15/393   92,211   $93,911 
Series 2024-1A, Class A,          
6.197%, due 05/15/393   107,886    109,114 
Series 2024-2A, Class A,          
5.364%, due 09/15/393   1,508,750    1,482,701 
Capital Automotive REIT,          
Series 2024-2A, Class A2,          
5.250%, due 05/15/543   1,452,396    1,440,067 
CARS-DB7 LP,          
Series 2023-1A, Class A2,          
6.500%, due 09/15/533   1,164,021    1,182,015 
CCG Receivables Trust,          
Series 2024-1, Class C,          
5.220%, due 03/15/323   100,000    99,268 
CHEC Loan Trust,          
Series 2004-2, Class M1,          
1 mo. USD Term SOFR + 1.074%,          
5.812%, due 06/25/342   185,600    187,394 
CLI Funding VIII LLC,          
Series 2023-1A, Class A,          
6.310%, due 06/18/483   1,130,103    1,135,309 
Cogent Ipv4 LLC,          
Series 2024-1A, Class A2,          
7.924%, due 05/25/543   2,360,000    2,422,591 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Compass Datacenters Issuer II LLC,          
Series 2024-1A, Class B,          
7.000%, due 02/25/493   102,000   $102,765 
Credit Acceptance Auto Loan Trust,          
Series 2022-3A, Class C,          
8.450%, due 02/15/333   3,050,000    3,167,827 
Crockett Partners Equipment Co. IIA LLC,          
Series 2024-1C, Class B,          
6.780%, due 01/20/313   94,752    95,269 
Series 2024-1C, Class A,          
6.050%, due 01/20/313   94,752    95,309 
CyrusOne Data Centers Issuer I LLC,          
Series 2023-1A, Class A2,          
4.300%, due 04/20/483   58,000    55,681 
DataBank Issuer LLC,          
Series 2023-1A, Class A2,          
5.116%, due 02/25/533   1,285,000    1,255,813 
Dell Equipment Finance Trust,          
Series 2024-1, Class C,          
5.730%, due 03/22/303   100,000    100,977 
Delta Funding Home Equity Loan Trust,          
Series 1999-3, Class A1A,          
1 mo. USD Term SOFR + 0.934%,          
5.738%, due 09/15/292   23,580    22,816 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Edgeconnex Data Centers Issuer LLC,          
Series 2024-1, Class A2,          
6.000%, due 07/27/543   1,084,777   $1,080,097 
ELFI Graduate Loan Program LLC,          
Series 2024-A, Class A,          
5.560%, due 08/25/493   97,537    98,033 
First Franklin Mortgage Loan Trust,          
Series 2006-FF13, Class A2D,          
1 mo. USD Term SOFR + 0.594%,          
5.332%, due 10/25/362   951,961    623,857 
Foundation Finance Trust,          
Series 2024-2A, Class D,          
6.590%, due 03/15/503   100,000    100,141 
Frontier Issuer LLC,          
Series 2023-1, Class A2,          
6.600%, due 08/20/533   139,000    141,676 
Series 2024-1, Class B,          
7.020%, due 06/20/543   97,000    99,909 
FS Rialto Issuer LLC,          
Series 2022-FL4, Class A,          
30 day USD SOFR Average + 1.900%,          
6.773%, due 01/19/392,3   501,784    501,940 
GLS Auto Receivables Issuer Trust,          
Series 2024-1A, Class D,          
5.950%, due 12/17/293   61,000    61,760 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
GLS Auto Select Receivables Trust,          
Series 2024-4A, Class D,          
5.280%, due 10/15/313   34,000   $33,378 
Series 2024-4A, Class C,          
4.750%, due 11/15/303   33,000    32,432 
GoldenTree Loan Management U.S. CLO 4 Ltd.,          
Series 2019-4A, Class ARR,          
3 mo. USD Term SOFR + 1.150%,          
5.785%, due 04/24/312,3   371,379    371,650 
Golub Capital Partners ABS Funding Ltd.,          
Series 2022-1A, Class A2B,          
6.580%, due 07/22/303   2,562,919    2,505,755 
Gracie Point International Funding LLC,          
Series 2024-1A, Class C,          
90 day USD SOFR Average + 3.500%,          
8.868%, due 03/01/282,3   100,000    100,473 
Series 2024-1A, Class A,          
90 day USD SOFR Average + 1.700%,          
7.068%, due 03/01/282,3   108,000    108,340 
GSAMP Trust,          
Series 2006-HE4, Class A1,          
1 mo. USD Term SOFR + 0.394%,          
5.132%, due 06/25/362   460,983    448,285 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
HGI CRE CLO Ltd.,          
Series 2022-FL3, Class A,          
30 day USD SOFR Average + 1.700%,          
6.693%, due 04/20/372,3   707,991   $707,549 
Hilton Grand Vacations Trust,          
Series 2022-1D, Class D,          
6.790%, due 06/20/343   48,191    46,867 
Series 2022-2A, Class B,          
4.740%, due 01/25/373   50,818    50,150 
Series 2024-1B, Class C,          
6.620%, due 09/15/393   50,645    50,816 
Series 2024-1B, Class B,          
5.990%, due 09/15/393   21,705    21,724 
Series 2024-2A, Class C,          
5.990%, due 03/25/383   114,406    114,801 
HPEFS Equipment Trust,          
Series 2024-2A, Class D,          
5.820%, due 04/20/323   114,000    115,424 
Huntington Bank Auto Credit-Linked Notes,          
Series 2024-1, Class B1,          
6.153%, due 05/20/323   213,174    215,365 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
JP Morgan Mortgage Trust,          
Series 2023-HE3, Class M1,          
30 day USD SOFR Average + 2.100%,          
6.973%, due 05/25/542,3   95,000   $95,707 
Series 2024-HE1, Class M2,          
30 day USD SOFR Average + 2.400%,          
7.290%, due 08/25/542,3   36,000    36,268 
Series 2024-HE1, Class M1,          
30 day USD SOFR Average + 2.000%,          
6.890%, due 08/25/542,3   47,000    47,233 
KREF Ltd.,          
Series 2022-FL3, Class A,          
1 mo. USD Term SOFR + 1.450%,          
6.209%, due 02/17/392,3   588,313    586,657 
Lendmark Funding Trust,          
Series 2024-2A, Class A,          
4.470%, due 02/21/343   1,640,000    1,609,717 
LoanCore Issuer Ltd.,          
Series 2021-CRE6, Class A,          
1 mo. USD Term SOFR + 1.414%,          
6.218%, due 11/15/382,3   322,307    320,913 
M360 Ltd.,          
Series 2021-CRE3, Class A,          
1 mo. USD Term SOFR + 1.614%,          
6.374%, due 11/22/382,3   316,703    316,064 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
MCF CLO 10 Ltd.,          
Series 2023-1A, Class C,          
3 mo. USD Term SOFR + 4.200%,          
8.856%, due 04/15/352,3   820,000   $827,075 
MetroNet Infrastructure Issuer LLC,          
Series 2022-1A, Class A2,          
6.350%, due 10/20/523   173,643    176,993 
MF1 Ltd.,          
Series 2022-FL8, Class A,          
1 mo. USD Term SOFR + 1.350%,          
6.109%, due 02/19/372,3   581,198    578,640 
Morgan Stanley ABS Capital I, Inc. Trust,          
Series 2005-HE1, Class M2,          
1 mo. USD Term SOFR + 0.819%,          
5.557%, due 12/25/342   122,828    117,842 
MVW LLC,          
Series 2022-1A, Class B,          
4.400%, due 11/21/393   87,889    86,143 
Series 2023-2A, Class C,          
7.060%, due 11/20/403   81,442    83,088 
Series 2024-2A, Class C,          
4.920%, due 03/20/423   100,000    97,947 
Series 2024-2A, Class B,          
4.580%, due 03/20/423   125,000    122,343 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Navient Private Education Refi Loan Trust,          
Series 2021-BA, Class A,          
0.940%, due 07/15/693   40,820   $36,529 
Series 2021-EA, Class A,          
0.970%, due 12/16/693   207,362    181,510 
Series 2021-FA, Class A,          
1.110%, due 02/18/703   443,232    387,194 
Series 2021-GA, Class A,          
1.580%, due 04/15/703   165,936    146,636 
Series 2024-A, Class A,          
5.660%, due 10/15/723   221,999    225,594 
New Economy Assets Phase 1 Sponsor LLC,          
Series 2021-1, Class A1,          
1.910%, due 10/20/613   1,500,000    1,370,604 
NextGear Floorplan Master Owner Trust,          
Series 2023-1A, Class A2,          
5.740%, due 03/15/283   2,250,000    2,278,684 
NFAS2 LLC,          
Series 2022-1, Class B,          
7.590%, due 09/15/283   1,460,000    1,467,312 
NMEF Funding LLC,          
Series 2022-B, Class A2,          
6.070%, due 06/15/293   1,103,988    1,110,109 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
OnDeck Asset Securitization Trust IV LLC,          
Series 2024-1A, Class A,          
6.270%, due 06/17/313   1,410,000   $1,424,982 
OneMain Financial Issuance Trust,          
Series 2022-3A, Class A,          
5.940%, due 05/15/343   2,120,000    2,135,378 
Oportun Issuance Trust,          
Series 2022-3, Class B,          
8.533%, due 01/08/303   332,330    332,617 
Oxford Finance Funding Trust,          
Series 2023-1A, Class B,          
7.879%, due 02/15/313   2,560,000    2,523,663 
Pagaya AI Debt Trust,          
Series 2024-3, Class A,          
6.258%, due 10/15/313   296,427    298,897 
Prestige Auto Receivables Trust,          
Series 2021-1A, Class D,          
2.080%, due 02/15/283   179,000    171,674 
Regional Management Issuance Trust,          
Series 2022-2B, Class B,          
8.510%, due 11/17/323   3,140,000    3,187,984 
Republic Finance Issuance Trust,          
Series 2024-A, Class A,          
5.910%, due 08/20/323   1,920,000    1,929,877 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Residential Asset Securities Corporation Trust,          
Series 2005-KS11, Class M2,          
1 mo. USD Term SOFR + 0.744%,          
5.482%, due 12/25/352   9,747   $9,734 
Retained Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2A,          
5.000%, due 09/15/483   1,790,000    1,760,283 
Santander Drive Auto Receivables Trust,          
Series 2022-7, Class C,          
6.690%, due 03/17/31   3,000,000    3,084,933 
Series 2023-5, Class A2,          
6.310%, due 07/15/27   185,236    185,713 
Series 2024-1, Class C,          
5.450%, due 03/15/30   50,000    50,329 
Saxon Asset Securities Trust,          
Series 2004-1, Class M1,          
1 mo. USD Term SOFR + 0.909%,          
2.055%, due 03/25/352   50,824    45,154 
Series 2006-1, Class M1,          
1 mo. USD Term SOFR + 0.579%,          
5.317%, due 03/25/362   656,597    630,633 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
SFS Auto Receivables Securitization Trust,          
Series 2024-1A, Class C,          
5.510%, due 01/20/323   68,000   $68,713 
Series 2024-1A, Class A2,          
5.350%, due 06/21/273   298,740    299,329 
Sierra Timeshare Receivables Funding LLC,          
Series 2021-2A, Class C,          
1.950%, due 09/20/383   43,762    41,685 
Series 2021-2A, Class B,          
1.800%, due 09/20/383   18,543    17,756 
Series 2022-2A, Class B,          
5.040%, due 06/20/403   82,730    81,746 
Series 2023-2A, Class C,          
7.300%, due 04/20/403   65,947    66,885 
Series 2023-3A, Class C,          
7.120%, due 09/20/403   75,702    76,944 
Series 2024-1A, Class C,          
5.940%, due 01/20/433   76,966    76,612 
Series 2024-2A, Class C,          
5.830%, due 06/20/413   99,556    98,508 
Series 2024-3A, Class C,          
5.320%, due 08/20/413   210,000    208,685 
SoFi Professional Loan Program LLC,          
Series 2019-C, Class BFX,          
3.050%, due 11/16/483   158,000    135,855 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Sotheby's Artfi Master Trust,          
Series 2024-1A, Class A1,          
6.430%, due 12/22/313   171,000   $172,874 
Stack Infrastructure Issuer LLC,          
Series 2023-1A, Class A2,          
5.900%, due 03/25/483   950,000    955,980 
Series 2023-3A, Class A2,          
5.900%, due 10/25/483   124,000    125,016 
Store Master Funding I-VII XIV XIX XX,          
Series 2021-1A, Class A1,          
2.120%, due 06/20/513   1,347,167    1,193,796 
Structured Asset Securities Corp.,          
Series 2005-WF1, Class M1,          
1 mo. USD Term SOFR + 0.774%,          
5.512%, due 02/25/352   268    466 
Structured Asset Securities Corp. Mortgage Pass-Through Certificates,          
Series 2001-SB1, Class A2,          
3.375%, due 08/25/31   15,067    15,004 
Subway Funding LLC,          
Series 2024-1A, Class A2I,          
6.028%, due 07/30/543   100,000    100,714 
TAL Advantage VII LLC,          
Series 2020-1A, Class A,          
2.050%, due 09/20/453   57,125    52,885 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
TierPoint Issuer LLC,          
Series 2023-1A, Class A2,          
6.000%, due 06/25/533   1,020,000   $1,022,483 
TIF Funding III LLC,          
Series 2024-1A, Class C,          
6.310%, due 04/20/493   95,625    94,578 
Series 2024-1A, Class B,          
5.580%, due 04/20/493   104,231    103,521 
Towd Point Mortgage Trust,          
Series 2024-CES1, Class A1B,          
6.049%, due 01/25/642,3   85,782    85,412 
Series 2024-CES1, Class A1A,          
5.848%, due 01/25/642,3   124,385    124,297 
Series 2024-CES2, Class A1A,          
6.125%, due 02/25/642,3   196,802    197,196 
Trafigura Securitisation Finance PLC,          
Series 2024-1A, Class B,          
7.290%, due 11/15/273   200,000    200,011 
U.S. Bank NA,          
Series 2023-1, Class B,          
6.789%, due 08/25/323   149,831    151,616 
U.S. Small Business Administration,          
Series 2005-20H, Class 1,          
5.110%, due 08/01/25   11,712    11,673 
Series 2007-20D, Class 1,          
5.320%, due 04/01/27   81,413    80,566 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Asset-backed securities—(continued)          
Vantage Data Centers Issuer LLC,          
Series 2023-1A, Class A2,          
6.316%, due 03/16/483   1,370,000   $1,383,245 
VMC Finance LLC,          
Series 2022-FL5, Class A,          
30 day USD SOFR Average + 1.900%,          
6.790%, due 02/18/392,3   430,008    429,053 
Willis Engine Structured Trust VII,          
Series 2023-A, Class A,          
8.000%, due 10/15/483   702,658    736,597 
Ziply Fiber Issuer LLC,          
Series 2024-1A, Class B,          
7.810%, due 04/20/543   155,000    159,440 
Total asset-backed securities
(cost—$70,287,610)
        71,446,083 
         
Corporate bonds—45.5%
Aerospace & defense: 0.6%          
Boeing Co.          
2.196%, due 02/04/26   100,000    96,304 
2.700%, due 02/01/27   100,000    94,396 
2.750%, due 02/01/26   300,000    290,864 
3.450%, due 11/01/28   200,000    185,153 
5.930%, due 05/01/60   100,000    93,209 
L3Harris Technologies, Inc.          
5.400%, due 07/31/33   110,000    111,602 
Rolls-Royce PLC          
5.750%, due 10/15/273   200,000    204,043 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Aerospace & defense—(continued)          
RTX Corp.          
5.750%, due 11/08/26   100,000   $102,127 
TransDigm, Inc.          
6.375%, due 03/01/293   55,000    55,827 
6.625%, due 03/01/323   35,000    35,593 
6.750%, due 08/15/283   560,000    572,018 
6.875%, due 12/15/303   530,000    543,292 
         2,384,428 
Agriculture: 0.4%          
BAT Capital Corp.          
6.343%, due 08/02/30   200,000    211,051 
Cargill, Inc.          
5.125%, due 10/11/323   1,085,000    1,105,280 
Imperial Brands Finance PLC          
3.500%, due 07/26/263   200,000    194,925 
5.875%, due 07/01/343   200,000    201,780 
         1,713,036 
Airlines: 0.1%          
American Airlines Pass-Through Trust          
Series 2016-2, Class AA,          
3.200%, due 06/15/28   195,600    184,144 
Series 2015-2, Class AA,          
3.600%, due 09/22/27   179,194    172,367 
JetBlue Pass-Through Trust          
Series 2019-1, Class A,          
2.950%, due 05/15/28   237,816    213,182 
Spirit Airlines Pass-Through Trust          
Series 2015-1A,          
4.100%, due 04/01/28   51,495    47,679 
         617,372 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Apparel: 0.1%
Birkenstock Financing SARL           
5.250%, due 04/30/295   EUR100,000   $111,087 
Tapestry, Inc.           
7.700%, due 11/27/30    100,000    102,070 
          213,157 
Auto manufacturers: 0.6%
American Honda Finance Corp.           
1 day USD SOFR Index + 0.670%,           
5.514%, due 01/10/252    200,000    200,169 
Daimler Truck Finance North America LLC           
2.000%, due 12/14/263    200,000    189,146 
Ford Motor Credit Co. LLC           
3.375%, due 11/13/25    200,000    196,172 
5.800%, due 03/05/27    200,000    201,762 
Hyundai Capital America           
5.250%, due 01/08/273    200,000    201,477 
5.875%, due 04/07/253    200,000    200,601 
5.950%, due 09/21/263    100,000    101,833 
Jaguar Land Rover Automotive PLC           
4.500%, due 07/15/285   EUR100,000    109,341 
Nissan Motor Acceptance Co. LLC           
2.000%, due 03/09/263    100,000    95,085 
2.750%, due 03/09/283    200,000    179,936 
Nissan Motor Co. Ltd.           
3.522%, due 09/17/253    200,000    196,217 
4.810%, due 09/17/303    200,000    184,751 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Auto manufacturers—(continued)
Volkswagen Bank GmbH           
2.500%, due 07/31/265  EUR 700,000   $749,394 
          2,805,884 
Auto parts & equipment: 0.0%†
Adient Global Holdings Ltd.           
8.250%, due 04/15/313,6    105,000    108,772 
ZF Europe Finance BV           
3.000%, due 10/23/295,6  EUR 100,000    97,082 
          205,854 
Banks: 13.6%
ABN AMRO Bank NV           
(fixed, converts to FRN on 10/13/25),           
6.575%, due 10/13/262,3    200,000    202,364 
ASB Bank Ltd.           
(fixed, converts to FRN on 06/17/27),           
5.284%, due 06/17/322,3    1,700,000    1,692,494 
5.398%, due 11/29/273    1,680,000    1,714,807 
Australia & New Zealand Banking Group Ltd.           
5.671%, due 10/03/25    250,000    252,701 
Banco Santander SA           
4.379%, due 04/12/28    200,000    195,955 
5.147%, due 08/18/25    200,000    200,328 
Bangkok Bank PCL           
5.650%, due 07/05/343    25,000    25,570 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Bank of America Corp.          
(fixed, converts to FRN on 04/29/30),          
2.592%, due 04/29/312   200,000   $176,723 
(fixed, converts to FRN on 02/04/32),          
2.972%, due 02/04/332   270,000    234,236 
(fixed, converts to FRN on 04/24/27),          
3.705%, due 04/24/282   100,000    97,441 
(fixed, converts to FRN on 01/20/27),          
3.824%, due 01/20/282   200,000    195,936 
Series MM,          
(fixed, converts to FRN on 01/28/25),          
4.300%, due 01/28/252,6,7   20,000    19,846 
Series RR,          
(fixed, converts to FRN on 01/27/27),          
4.375%, due 01/27/272,6,7   200,000    192,640 
(fixed, converts to FRN on 04/27/27),          
4.376%, due 04/27/282   250,000    247,519 
(fixed, converts to FRN on 07/22/27),          
4.948%, due 07/22/282   90,000    90,360 
(fixed, converts to FRN on 01/20/26),          
5.080%, due 01/20/272   200,000    200,516 
(fixed, converts to FRN on 01/23/34),          
5.468%, due 01/23/352   130,000    131,932 
(fixed, converts to FRN on 09/15/28),          
5.819%, due 09/15/292   200,000    206,440 
Series AA,          
(fixed, converts to FRN on 03/17/25),          
6.100%, due 03/17/252,7   140,000    139,818 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Bank of Montreal          
5.300%, due 06/05/26   105,000   $106,146 
Bank of New York Mellon Corp.          
(fixed, converts to FRN on 02/07/27),          
3.442%, due 02/07/282   1,760,000    1,712,721 
Series I,          
(fixed, converts to FRN on 12/20/26),          
3.750%, due 12/20/262,7   170,000    160,391 
(fixed, converts to FRN on 03/14/29),          
4.975%, due 03/14/302   200,000    201,449 
Bank of New Zealand          
4.846%, due 02/07/283   1,390,000    1,393,277 
Bank of Nova Scotia          
5.350%, due 12/07/26   170,000    172,694 
Banque Federative du Credit Mutuel SA          
4.753%, due 07/13/273   200,000    199,878 
5.896%, due 07/13/263   200,000    203,787 
Barclays PLC          
4.836%, due 05/09/28   270,000    266,589 
(fixed, converts to FRN on 05/16/28),          
4.972%, due 05/16/292   200,000    199,068 
(fixed, converts to FRN on 11/02/32),          
7.437%, due 11/02/332   400,000    448,831 
(fixed, converts to FRN on 09/15/29),          
8.000%, due 03/15/292,7   200,000    206,722 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
BNP Paribas SA          
3.375%, due 01/09/253   200,000   $199,319 
(fixed, converts to FRN on 01/12/27),          
4.625%, due 01/12/272,3,7   200,000    186,877 
(fixed, converts to FRN on 05/20/29),          
5.497%, due 05/20/302,3   200,000    202,817 
BPCE SA          
(fixed, converts to FRN on 10/19/28),          
6.714%, due 10/19/292,3   250,000    262,899 
CaixaBank SA          
(fixed, converts to FRN on 03/15/29),          
5.673%, due 03/15/302,3   200,000    203,267 
Citibank NA          
5.864%, due 09/29/25   100,000    101,082 
Citigroup, Inc.          
Series X,          
(fixed, converts to FRN on 02/18/26),          
3.875%, due 02/18/262,7   128,000    123,707 
(fixed, converts to FRN on 01/10/27),          
3.887%, due 01/10/282   430,000    421,505 
Citizens Financial Group, Inc.          
Series B,          
3 mo. USD Term SOFR + 3.265%,          
7.854%, due 01/06/252,7   60,000    59,669 
Series C,          
3 mo. USD Term SOFR + 3.419%,          
8.008%, due 01/06/252,7   80,000    79,510 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Comerica Bank          
4.000%, due 07/27/25   1,020,000   $1,009,794 
(fixed, converts to FRN on 08/25/32),          
5.332%, due 08/25/332,6   1,690,000    1,594,262 
Danske Bank AS          
(fixed, converts to FRN on 03/01/29),          
5.705%, due 03/01/302,3   200,000    204,062 
Deutsche Bank AG          
(fixed, converts to FRN on 11/26/24),          
3.961%, due 11/26/252   200,000    199,737 
(fixed, converts to FRN on 09/11/34),          
5.403%, due 09/11/352   150,000    145,628 
(fixed, converts to FRN on 02/08/27),          
5.706%, due 02/08/282   200,000    202,112 
(fixed, converts to FRN on 11/20/28),          
6.819%, due 11/20/292   200,000    210,822 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Fifth Third Bancorp          
(fixed, converts to FRN on 11/01/26),          
1.707%, due 11/01/272   40,000   $37,650 
(fixed, converts to FRN on 04/25/32),          
4.337%, due 04/25/332   105,000    98,266 
(fixed, converts to FRN on 07/28/29),          
4.772%, due 07/28/302   35,000    34,453 
(fixed, converts to FRN on 10/27/27),          
6.361%, due 10/27/282   2,430,000    2,519,875 
Series H,          
3 mo. USD Term SOFR + 3.295%,          
7.898%, due 12/01/242,7   115,000    114,535 
Goldman Sachs Bank USA          
1 day USD SOFR + 0.770%,          
5.642%, due 03/18/272   200,000    200,268 
1 day USD SOFR + 0.750%,          
5.782%, due 05/21/272   250,000    250,172 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Goldman Sachs Group, Inc.          
(fixed, converts to FRN on 10/21/26),          
1.948%, due 10/21/272   100,000   $94,547 
(fixed, converts to FRN on 04/22/31),          
2.615%, due 04/22/322   245,000    210,913 
3.500%, due 04/01/25   100,000    99,429 
Series U,          
(fixed, converts to FRN on 08/10/26),          
3.650%, due 08/10/262,7   45,000    42,830 
Series T,          
(fixed, converts to FRN on 05/10/26),          
3.800%, due 05/10/262,7   20,000    19,151 
Series V,          
(fixed, converts to FRN on 11/10/26),          
4.125%, due 11/10/262,7   50,000    47,878 
Series Y,          
(fixed, converts to FRN on 11/10/34),          
6.125%, due 11/10/342,7   70,000    69,430 
3 mo. USD Term SOFR + 2.012%,          
6.629%, due 10/28/272   200,000    204,820 
Series X,          
(fixed, converts to FRN on 05/10/29),          
7.500%, due 05/10/292,7   125,000    131,069 
Grupo Aval Ltd.          
4.375%, due 02/04/303   70,000    61,207 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
HSBC Holdings PLC          
(fixed, converts to FRN on 06/04/30),          
2.848%, due 06/04/312   2,000,000   $1,773,293 
(fixed, converts to FRN on 09/09/31),          
4.700%, due 03/09/312,7   200,000    177,784 
(fixed, converts to FRN on 08/11/32),          
5.402%, due 08/11/332   200,000    201,587 
(fixed, converts to FRN on 03/09/33),          
6.254%, due 03/09/342   600,000    635,766 
(fixed, converts to FRN on 11/03/27),          
7.390%, due 11/03/282   1,205,000    1,283,693 
Huntington Bancshares, Inc.          
(fixed, converts to FRN on 08/04/27),          
4.443%, due 08/04/282   830,000    820,257 
Series G,          
(fixed, converts to FRN on 10/15/27),          
4.450%, due 10/15/272,6,7   50,000    47,804 
Series F,          
(fixed, converts to FRN on 07/15/30),          
5.625%, due 07/15/302,6,7   19,000    18,922 
(fixed, converts to FRN on 02/02/34),          
5.709%, due 02/02/352   85,000    85,979 
Huntington National Bank          
5.650%, due 01/10/30   1,645,000    1,680,159 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
ING Groep NV          
(fixed, converts to FRN on 03/28/25),          
3.869%, due 03/28/262   1,800,000   $1,789,891 
(fixed, converts to FRN on 11/16/27),          
3.875%, due 05/16/272,7   227,000    201,656 
(fixed, converts to FRN on 03/19/29),          
5.335%, due 03/19/302   200,000    202,533 
(fixed, converts to FRN on 11/16/26),          
5.750%, due 11/16/262,6,7   200,000    197,735 
1 day USD SOFR Index + 1.560%,          
6.472%, due 09/11/272   200,000    202,928 
Intesa Sanpaolo SpA          
Series XR,          
4.000%, due 09/23/293   200,000    188,590 
7.200%, due 11/28/333   200,000    220,617 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
JPMorgan Chase & Co.          
(fixed, converts to FRN on 09/22/26),          
1.470%, due 09/22/272   200,000   $188,135 
(fixed, converts to FRN on 06/01/27),          
2.182%, due 06/01/282   250,000    234,147 
(fixed, converts to FRN on 02/24/27),          
2.947%, due 02/24/282   200,000    192,003 
(fixed, converts to FRN on 04/22/51),          
3.328%, due 04/22/522   105,000    75,981 
(fixed, converts to FRN on 01/23/28),          
3.509%, due 01/23/292   200,000    192,215 
(fixed, converts to FRN on 01/29/26),          
3.960%, due 01/29/272   100,000    98,982 
Series HH,          
(fixed, converts to FRN on 02/01/25),          
4.600%, due 02/01/252,7   16,000    15,923 
(fixed, converts to FRN on 07/24/28),          
5.299%, due 07/24/292   200,000    202,969 
(fixed, converts to FRN on 10/22/26),          
6.070%, due 10/22/272   200,000    205,115 
Series CC,          
3 mo. USD Term SOFR + 2.842%,          
7.413%, due 02/01/252,7   45,000    45,402 
KeyBank NA          
5.850%, due 11/15/276   1,435,000    1,469,944 
Lloyds Bank PLC          
7.500%, due 04/02/322,5   800,000    531,025 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Lloyds Banking Group PLC          
(fixed, converts to FRN on 03/18/27),          
3.750%, due 03/18/282   1,785,000   $1,738,431 
(fixed, converts to FRN on 11/15/32),          
7.953%, due 11/15/332   810,000    918,920 
(fixed, converts to FRN on 03/27/30),          
8.000%, due 09/27/292,7   200,000    208,432 
M&T Bank Corp.          
Series I,          
(fixed, converts to FRN on 09/01/26),          
3.500%, due 09/01/262,7   190,000    172,864 
(fixed, converts to FRN on 03/13/31),          
6.082%, due 03/13/322   45,000    46,508 
Series G,          
(fixed, converts to FRN on 08/01/29),          
7.014%, due 02/01/252,7   56,000    55,768 
Mitsubishi UFJ Financial Group, Inc.          
2.193%, due 02/25/25   200,000    198,332 
Mizuho Financial Group, Inc.          
(fixed, converts to FRN on 05/22/29),          
3.261%, due 05/22/302   200,000    186,546 
(fixed, converts to FRN on 07/10/29),          
5.382%, due 07/10/302   200,000    203,379 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Banks—(continued)
Morgan Stanley           
3.591%, due 07/22/282    300,000   $290,793 
(fixed, converts to FRN on 03/21/29),           
3.790%, due 03/21/302   EUR100,000    110,468 
(fixed, converts to FRN on 02/01/28),           
5.123%, due 02/01/292    200,000    201,608 
(fixed, converts to FRN on 07/20/28),           
5.449%, due 07/20/292    200,000    203,861 
(fixed, converts to FRN on 01/18/34),           
5.466%, due 01/18/352    45,000    45,587 
(fixed, converts to FRN on 04/19/34),           
5.831%, due 04/19/352    70,000    72,752 
(fixed, converts to FRN on 10/18/32),           
6.342%, due 10/18/332    1,380,000    1,485,215 
Morgan Stanley Bank NA           
(fixed, converts to FRN on 05/26/27),           
5.504%, due 05/26/282    250,000    254,337 
1 day USD SOFR + 1.080%,           
5.923%, due 01/14/282    250,000    252,047 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
NatWest Group PLC          
(fixed, converts to FRN on 11/28/30),          
3.032%, due 11/28/352   550,000   $476,981 
(fixed, converts to FRN on 05/22/27),          
3.073%, due 05/22/282   200,000    191,380 
(fixed, converts to FRN on 03/02/33),          
6.016%, due 03/02/342   200,000    209,086 
1 day USD SOFR + 1.300%,          
6.367%, due 11/15/282   1,220,000    1,229,679 
(fixed, converts to FRN on 11/10/25),          
7.472%, due 11/10/262   1,370,000    1,402,685 
Nordea Bank Abp          
1.500%, due 09/30/263   200,000    188,489 
PNC Financial Services Group, Inc.          
Series T,          
(fixed, converts to FRN on 09/15/26),          
3.400%, due 09/15/262,7   304,000    280,211 
Series S,          
(fixed, converts to FRN on 11/01/26),          
5.000%, due 11/01/262,7   22,000    21,730 
Series W,          
(fixed, converts to FRN on 03/15/30),          
6.250%, due 03/15/302,6,7   75,000    75,082 
(fixed, converts to FRN on 10/20/33),          
6.875%, due 10/20/342   85,000    94,464 
Royal Bank of Canada          
4.950%, due 04/25/25   140,000    140,181 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Santander Holdings USA, Inc.          
(fixed, converts to FRN on 01/06/27),          
2.490%, due 01/06/282   1,200,000   $1,131,433 
(fixed, converts to FRN on 09/09/25),          
5.807%, due 09/09/262,6   1,140,000    1,143,959 
(fixed, converts to FRN on 03/09/28),          
6.499%, due 03/09/292   1,145,000    1,180,048 
Santander U.K. Group Holdings PLC          
(fixed, converts to FRN on 01/10/28),          
6.534%, due 01/10/292   100,000    103,977 
(fixed, converts to FRN on 11/21/25),          
6.833%, due 11/21/262   400,000    406,444 
Skandinaviska Enskilda Banken AB          
(fixed, converts to FRN on 05/13/25),          
5.125%, due 05/13/252,5,7   200,000    198,500 
5.375%, due 03/05/293   885,000    899,827 
Societe Generale SA          
(fixed, converts to FRN on 01/10/33),          
6.691%, due 01/10/342,3   300,000    316,324 
Standard Chartered PLC          
(fixed, converts to FRN on 07/06/26),          
6.187%, due 07/06/272,3,6   100,000    101,749 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
State Street Corp.          
(fixed, converts to FRN on 02/06/25),          
1.746%, due 02/06/262   115,000   $113,907 
(fixed, converts to FRN on 03/30/25),          
2.901%, due 03/30/262   80,000    79,289 
(fixed, converts to FRN on 11/04/27),          
5.820%, due 11/04/282   740,000    762,199 
Sumitomo Mitsui Financial Group, Inc.          
1.902%, due 09/17/28   200,000    179,574 
2.632%, due 07/14/26   145,000    140,292 
3.010%, due 10/19/26   50,000    48,482 
5.316%, due 07/09/296   200,000    204,126 
Svenska Handelsbanken AB          
5.250%, due 06/15/263   250,000    253,002 
Toronto-Dominion Bank          
3.766%, due 06/06/25   100,000    99,401 
5.532%, due 07/17/26   85,000    86,149 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Banks—(continued)          
Truist Financial Corp.          
(fixed, converts to FRN on 06/06/27),          
4.123%, due 06/06/282   1,720,000   $1,690,693 
Series Q,          
(fixed, converts to FRN on 09/01/30),          
5.100%, due 03/01/302,7   15,000    14,560 
(fixed, converts to FRN on 01/26/33),          
5.122%, due 01/26/342   200,000    196,004 
(fixed, converts to FRN on 06/08/33),          
5.867%, due 06/08/342   170,000    174,812 
(fixed, converts to FRN on 10/28/32),          
6.123%, due 10/28/332   770,000    806,607 
Series N,          
(fixed, converts to FRN on 09/01/29),          
6.669%, due 03/01/252,7   110,000    109,413 
Series L,          
3 mo. USD Term SOFR + 3.364%,          
8.310%, due 12/15/242,6,7   73,000    73,040 
U.S. Bancorp          
Series N,          
(fixed, converts to FRN on 01/15/27),          
3.700%, due 01/15/272,6,7   310,000    290,550 
(fixed, converts to FRN on 02/01/33),          
4.839%, due 02/01/342   200,000    193,583 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Banks—(continued)
Wells Fargo & Co.           
(fixed, converts to FRN on 06/17/26),           
3.196%, due 06/17/272    200,000   $195,015 
(fixed, converts to FRN on 03/02/32),           
3.350%, due 03/02/332    1,915,000    1,701,546 
Series BB,           
(fixed, converts to FRN on 03/15/26),           
3.900%, due 03/15/262,7    60,000    58,109 
(fixed, converts to FRN on 07/25/28),           
5.574%, due 07/25/292    200,000    204,241 
(fixed, converts to FRN on 10/23/33),           
6.491%, due 10/23/342    130,000    140,469 
(fixed, converts to FRN on 09/15/28),           
7.625%, due 09/15/282,6,7    50,000    53,740 
Wells Fargo Bank NA           
5.450%, due 08/07/26    100,000    101,494 
5.550%, due 08/01/25    100,000    100,596 
Westpac Banking Corp.           
5.512%, due 11/17/25    145,000    146,577 
          58,969,323 
Beverages: 0.1%
Constellation Brands, Inc.           
4.800%, due 01/15/29    100,000    99,936 
JDE Peet's NV           
4.500%, due 01/23/345   EUR200,000    227,084 
          327,020 
Biotechnology: 0.1%
Amgen, Inc.           
5.750%, due 03/02/63    240,000    240,347 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Biotechnology—(continued)          
Regeneron Pharmaceuticals, Inc.          
1.750%, due 09/15/30   300,000   $251,982 
         492,329 
Building Materials: 0.1%          
EMRLD Borrower LP/Emerald Co-Issuer, Inc.          
6.625%, due 12/15/303   245,000    249,171 
           
Chemicals: 0.1%          
International Flavors & Fragrances, Inc.          
2.300%, due 11/01/303   200,000    171,294 
Olympus Water U.S. Holding Corp.          
4.250%, due 10/01/283,6   65,000    61,178 
9.750%, due 11/15/283   165,000    175,050 
Sociedad Quimica y Minera de Chile SA          
5.500%, due 09/10/343   20,000    19,210 
         426,732 
Commercial services: 0.9%          
Ashtead Capital, Inc.          
5.500%, due 08/11/323   1,700,000    1,694,840 
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.          
8.250%, due 01/15/303,6   805,000    822,405 
Block, Inc.          
6.500%, due 05/15/323   200,000    203,553 
Boost Newco Borrower LLC          
7.500%, due 01/15/313   235,000    247,742 
CoStar Group, Inc.          
2.800%, due 07/15/303   200,000    174,429 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Commercial services—(continued)
Duke University           
Series 2020,           
2.682%, due 10/01/44    300,000   $218,012 
Emory University           
Series 2020,           
2.143%, due 09/01/30    200,000    173,660 
Equifax, Inc.           
4.800%, due 09/15/29    200,000    198,318 
HealthEquity, Inc.           
4.500%, due 10/01/293    275,000    262,078 
Verisure Midholding AB           
5.250%, due 02/15/295   EUR100,000    108,570 
          4,103,607 
Computers: 0.0%†
Hewlett Packard Enterprise Co.           
5.000%, due 10/15/34    65,000    63,076 
            
Construction materials: 0.0%†
Cemex SAB de CV           
(fixed, converts to FRN on 06/14/28),           
9.125%, due 03/14/282,3,7    45,000    47,939 
            
Diversified financial services: 2.3%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust           
4.450%, due 04/03/26    200,000    198,536 
5.100%, due 01/19/29    50,000    50,129 
Ally Financial, Inc.           
2.200%, due 11/02/28    200,000    177,722 
Series C,           
(fixed, converts to FRN on 05/15/28),           
4.700%, due 05/15/282,7    104,000    84,379 
(fixed, converts to FRN on 01/03/29),           
6.848%, due 01/03/302    1,285,000    1,335,563 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Diversified financial services—(continued)          
American Express Co.          
Series D,          
(fixed, converts to FRN on 09/15/26),          
3.550%, due 09/15/262,7   140,000   $132,517 
(fixed, converts to FRN on 04/23/26),          
5.645%, due 04/23/272   200,000    202,512 
(fixed, converts to FRN on 10/30/25),          
6.338%, due 10/30/262   200,000    202,794 
Aviation Capital Group LLC          
5.375%, due 07/15/293   200,000    201,175 
6.250%, due 04/15/283   200,000    206,430 
Avolon Holdings Funding Ltd.          
5.750%, due 03/01/293   200,000    202,584 
Bread Financial Holdings, Inc.          
9.750%, due 03/15/293   1,805,000    1,906,510 
Brightsphere Investment Group, Inc.          
4.800%, due 07/27/26   755,000    738,690 
Capital One Financial Corp.          
(fixed, converts to FRN on 05/10/27),          
4.927%, due 05/10/282   1,700,000    1,702,822 
(fixed, converts to FRN on 02/01/29),          
5.700%, due 02/01/302,6   125,000    127,444 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Diversified financial services—(continued)          
Charles Schwab Corp.          
Series I,          
(fixed, converts to FRN on 06/01/26),          
4.000%, due 06/01/262,7   132,000   $126,680 
Series H,          
(fixed, converts to FRN on 12/01/30),          
4.000%, due 12/01/302,7   256,000    223,032 
Series K,          
(fixed, converts to FRN on 06/01/27),          
5.000%, due 06/01/272,6,7   55,000    53,581 
Series G,          
(fixed, converts to FRN on 06/01/25),          
5.375%, due 06/01/252,7   15,000    14,922 
Lazard Group LLC          
4.375%, due 03/11/29   100,000    97,635 
Lehman Brothers Holdings, Inc.          
0.000%, due 01/24/138   4,500,000    3,150 
0.000%, due 12/30/138   1,900,000    1,330 
0.000%, due 12/30/498   900,000    630 
Navient Corp.          
5.500%, due 03/15/29   25,000    23,815 
Series A,          
5.625%, due 01/25/25   100,000    98,824 
Nomura Holdings, Inc.          
1 day USD SOFR + 1.250%,          
6.106%, due 07/02/272   200,000    201,532 
Oxford Finance LLC/Oxford Finance Co-Issuer II, Inc.          
6.375%, due 02/01/273   1,660,000    1,635,208 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Diversified financial services—(continued)          
XP, Inc.          
6.750%, due 07/02/293   35,000   $35,131 
         9,985,277 
Electric: 5.8%          
Adani Electricity Mumbai Ltd.          
3.949%, due 02/12/303   262,000    230,560 
AES Corp.          
2.450%, due 01/15/316   200,000    168,223 
Alexander Funding Trust II          
7.467%, due 07/31/283   1,475,000    1,562,279 
Algonquin Power & Utilities Corp.          
5.365%, due 06/15/26   200,000    201,116 
Alliant Energy Finance LLC          
5.950%, due 03/30/293   100,000    103,491 
Alpha Generation LLC          
6.750%, due 10/15/323   150,000    152,107 
Ameren Corp.          
5.000%, due 01/15/29   200,000    201,015 
American Electric Power Co., Inc.          
5.950%, due 11/01/32   195,000    205,103 
(fixed, converts to FRN on 12/15/29),          
7.050%, due 12/15/542   135,000    139,738 
Appalachian Power Co.          
Series AA,          
2.700%, due 04/01/31   200,000    174,451 
Atlantica Sustainable Infrastructure PLC          
4.125%, due 06/15/283   1,495,000    1,425,625 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Electric—(continued)
AusNet Services Holdings Pty. Ltd.           
(fixed, converts to FRN on 09/11/26),           
1.625%, due 03/11/812,5   EUR100,000   $104,315 
Avangrid, Inc.           
3.800%, due 06/01/29    200,000    190,988 
Black Hills Corp.           
2.500%, due 06/15/30    200,000    174,494 
Calpine Corp.           
3.750%, due 03/01/313    55,000    49,563 
4.625%, due 02/01/293    318,000    301,541 
5.000%, due 02/01/313    319,000    301,053 
5.125%, due 03/15/283    35,000    34,207 
CenterPoint Energy Houston Electric LLC           
5.200%, due 10/01/286    200,000    203,781 
CenterPoint Energy, Inc.           
(fixed, converts to FRN on 05/15/30),           
6.700%, due 05/15/552    80,000    79,819 
Constellation Energy Generation LLC           
6.125%, due 01/15/34    200,000    213,429 
6.500%, due 10/01/53    50,000    55,014 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Dominion Energy, Inc.          
Series C,          
2.250%, due 08/15/31   200,000   $168,404 
Series C,          
(fixed, converts to FRN on 04/15/27),          
4.350%, due 01/15/272,7   60,000    58,254 
5.375%, due 11/15/32   270,000    274,567 
Series B,          
(fixed, converts to FRN on 06/01/34),          
7.000%, due 06/01/542   155,000    164,920 
DTE Energy Co.          
5.100%, due 03/01/29   300,000    302,346 
Duke Energy Corp.          
(fixed, converts to FRN on 09/01/34),          
6.450%, due 09/01/542   70,000    71,146 
Duke Energy Florida LLC          
5.950%, due 11/15/52   1,175,000    1,240,561 
Duke Energy Progress LLC          
2.000%, due 08/15/31   1,200,000    1,005,934 
Edison International          
Series B,          
(fixed, converts to FRN on 03/15/27),          
5.000%, due 12/15/262,7   235,000    228,724 
Series A,          
(fixed, converts to FRN on 03/15/26),          
5.375%, due 03/15/262,7   1,810,000    1,791,978 
5.450%, due 06/15/29   200,000    203,374 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Electric—(continued)
Electricite de France SA           
(fixed, converts to FRN on 09/17/35),           
7.375%, due 06/17/352,5,7   GBP100,000   $131,846 
(fixed, converts to FRN on 12/06/28),           
7.500%, due 09/06/282,5,7   EUR200,000    238,478 
Elia Group SA           
(fixed, converts to FRN on 06/15/28),           
5.850%, due 03/15/282,5,7    100,000    114,241 
Enel Finance America LLC           
7.100%, due 10/14/273    500,000    529,919 
EPH Financing International AS           
6.651%, due 11/13/285   EUR200,000    233,318 
Eversource Energy           
5.950%, due 02/01/29    100,000    103,846 
Exelon Corp.           
2.750%, due 03/15/27    200,000    191,423 
5.150%, due 03/15/29    200,000    202,732 
Georgia Power Co.           
5.004%, due 02/23/27    200,000    202,208 
1 day USD SOFR Index + 0.750%,           
5.857%, due 05/08/252    200,000    200,600 
IPALCO Enterprises, Inc.           
4.250%, due 05/01/30    200,000    189,153 
Lightning Power LLC           
7.250%, due 08/15/323    95,000    98,832 
MidAmerican Energy Co.           
3.650%, due 04/15/29    1,400,000    1,342,943 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Electric—(continued)
Monongahela Power Co.           
3.550%, due 05/15/273,6    1,800,000   $1,744,664 
National Rural Utilities Cooperative Finance Corp.           
4.800%, due 03/15/28    100,000    100,681 
New York State Electric & Gas Corp.           
2.150%, due 10/01/313,6    1,400,000    1,148,042 
NextEra Energy Capital Holdings, Inc.           
3.550%, due 05/01/27    300,000    292,531 
5.749%, due 09/01/25    165,000    166,182 
Niagara Mohawk Power Corp.           
4.278%, due 12/15/283    300,000    291,391 
NRG Energy, Inc.           
3.625%, due 02/15/313    60,000    53,121 
3.875%, due 02/15/323    3,000    2,664 
5.250%, due 06/15/293    60,000    58,632 
6.000%, due 02/01/333    25,000    24,862 
(fixed, converts to FRN on 03/15/28),           
10.250%, due 03/15/282,3,7    320,000    353,151 
Orsted AS           
(fixed, converts to FRN on 12/08/28),           
5.250%, due 09/08/282,5   EUR200,000    224,392 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Electric—(continued)          
Pacific Gas & Electric Co.          
3.150%, due 01/01/26   100,000   $97,802 
4.300%, due 03/15/45   425,000    343,873 
4.950%, due 07/01/50   52,830    46,330 
5.550%, due 05/15/29   200,000    203,806 
6.400%, due 06/15/33   200,000    212,842 
6.950%, due 03/15/34   100,000    110,895 
PacifiCorp          
2.700%, due 09/15/30   100,000    88,403 
5.100%, due 02/15/29   200,000    202,440 
Pinnacle West Capital Corp.          
1 day USD SOFR + 0.820%,          
5.750%, due 06/10/262   200,000    200,752 
Sempra          
(fixed, converts to FRN on 10/01/34),          
6.400%, due 10/01/542   70,000    69,754 
Southern California Edison Co.          
5.150%, due 06/01/29   200,000    203,070 
5.850%, due 11/01/27   100,000    103,366 
5.950%, due 11/01/32   775,000    820,058 
Southern Co.          
Series A,          
3.700%, due 04/30/30   200,000    188,578 
Series B,          
(fixed, converts to FRN on 01/15/26),          
4.000%, due 01/15/512   435,000    425,828 
Southwestern Electric Power Co.          
Series M,          
4.100%, due 09/15/28   200,000    195,107 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Electric—(continued)
SSE PLC           
(fixed, converts to FRN on 04/21/28),           
4.000%, due 01/21/282,5,7   EUR100,000   $108,912 
Vattenfall AB           
(fixed, converts to FRN on 08/17/28),           
6.875%, due 08/17/832,5   GBP100,000    132,381 
Vistra Operations Co. LLC           
4.375%, due 05/01/293    30,000    28,557 
5.000%, due 07/31/273    640,000    631,581 
5.500%, due 09/01/263    10,000    9,970 
6.875%, due 04/15/323    550,000    568,730 
WEC Energy Group, Inc.           
1.800%, due 10/15/30    200,000    168,593 
          25,183,600 
Electronics: 0.1%
Arrow Electronics, Inc.           
5.150%, due 08/21/29    200,000    199,083 
Honeywell International, Inc.           
4.125%, due 11/02/34   EUR200,000    228,389 
TD SYNNEX Corp.           
6.100%, due 04/12/34    100,000    103,386 
          530,858 
Energy-Alternate Sources: 0.3%
FS Luxembourg SARL           
8.875%, due 02/12/313    40,000    40,823 
NextEra Energy Partners LP           
2.500%, due 06/15/263,6    1,540,000    1,439,384 
          1,480,207 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Engineering & construction: 0.1%
Abertis Infraestructuras Finance BV           
(fixed, converts to FRN on 02/24/26),           
3.248%, due 11/24/252,5,7   EUR100,000   $107,785 
Sydney Airport Finance Co. Pty. Ltd.           
3.375%, due 04/30/253    300,000    297,355 
          405,140 
Entertainment: 0.4%
Banijay Entertainment SAS           
7.000%, due 05/01/295   EUR100,000    113,942 
Churchill Downs, Inc.           
6.750%, due 05/01/313    225,000    229,066 
Cirsa Finance International SARL           
7.875%, due 07/31/285   EUR200,000    230,603 
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.           
4.875%, due 05/01/293    225,000    212,409 
Warnermedia Holdings, Inc.           
4.054%, due 03/15/296    300,000    280,263 
5.050%, due 03/15/42    635,000    506,756 
          1,573,039 
Environmental control: 0.0%†
Ambipar Lux SARL           
9.875%, due 02/06/313    20,000    20,469 
            
Food: 0.2%
Bellis Acquisition Co. PLC           
8.125%, due 05/14/305   GBP100,000    127,413 
Campbell Soup Co.           
5.400%, due 03/21/346    120,000    121,367 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Food—(continued)
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL           
6.500%, due 12/01/52    45,000   $46,272 
Kroger Co.           
5.400%, due 01/15/49    115,000    111,580 
Minerva Luxembourg SA           
8.875%, due 09/13/333    45,000    47,025 
Post Holdings, Inc.           
6.250%, due 02/15/323    75,000    75,833 
Sysco Corp.           
6.600%, due 04/01/50    184,000    206,705 
          736,195 
Forest products & paper: 0.0%†
Celulosa Arauco y Constitucion SA           
4.200%, due 01/29/303,6    25,000    23,234 
            
Gas: 0.5%
APA Infrastructure Ltd.           
(fixed, converts to FRN on 02/09/29),           
7.125%, due 11/09/832,5   EUR100,000    118,750 
National Fuel Gas Co.           
2.950%, due 03/01/31    300,000    260,277 
NiSource, Inc.           
3.600%, due 05/01/30    200,000    187,150 
Southern California Gas Co.           
2.950%, due 04/15/27    100,000    96,237 
5.050%, due 09/01/34    1,100,000    1,097,214 
Southwest Gas Corp.           
4.050%, due 03/15/32    200,000    185,766 
          1,945,394 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Healthcare-products: 0.1%          
Medline Borrower LP          
3.875%, due 04/01/293   395,000   $369,511 
Zimmer Biomet Holdings, Inc.          
5.350%, due 12/01/28   200,000    203,947 
         573,458 
Healthcare-services: 0.5%          
Centene Corp.          
2.625%, due 08/01/31   300,000    249,635 
CommonSpirit Health          
6.073%, due 11/01/27   1,290,000    1,335,046 
HCA, Inc.          
3.125%, due 03/15/27   200,000    192,362 
4.125%, due 06/15/29   49,000    47,191 
5.450%, due 04/01/31   60,000    60,670 
5.500%, due 06/01/33   95,000    95,420 
Icon Investments Six DAC          
5.809%, due 05/08/27   200,000    203,977 
         2,184,301 
Holding companies-divers: 0.0%†          
Benteler International AG          
10.500%, due 05/15/283   90,000    93,041 
           
Insurance: 7.2%          
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer          
4.250%, due 10/15/273   50,000    47,421 
6.750%, due 04/15/283   435,000    437,049 
7.000%, due 01/15/313   215,000    216,448 
American National Group, Inc.          
5.750%, due 10/01/29   600,000    601,516 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Aon North America, Inc.          
5.450%, due 03/01/34   90,000   $91,365 
Athene Global Funding          
4.721%, due 10/08/293   870,000    854,168 
5.583%, due 01/09/293   200,000    202,870 
5.684%, due 02/23/263   200,000    201,584 
1 day USD SOFR Index + 1.030%,          
6.037%, due 08/27/262,3   100,000    100,139 
Athene Holding Ltd.          
6.650%, due 02/01/33   1,555,000    1,673,168 
Corebridge Financial, Inc.          
5.750%, due 01/15/34   95,000    97,253 
(fixed, converts to FRN on 12/15/27),          
6.875%, due 12/15/522   1,690,000    1,729,821 
Corebridge Global Funding          
5.750%, due 07/02/263   100,000    101,724 
Enstar Finance LLC          
(fixed, converts to FRN on 01/15/27),          
5.500%, due 01/15/422   2,165,000    2,029,681 
(fixed, converts to FRN on 09/01/25),          
5.750%, due 09/01/402,6   130,000    127,785 
Enstar Group Ltd.          
4.950%, due 06/01/29   1,850,000    1,825,857 
Equitable Holdings, Inc.          
4.350%, due 04/20/28   300,000    294,228 
F&G Annuities & Life, Inc.          
7.400%, due 01/13/28   2,715,000    2,822,514 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
F&G Global Funding          
5.875%, due 06/10/273   100,000   $101,533 
Fidelity National Financial, Inc.          
3.400%, due 06/15/30   200,000    181,363 
Global Atlantic Fin Co.          
7.950%, due 06/15/333   1,360,000    1,518,486 
(fixed, converts to FRN on 10/15/29),          
7.950%, due 10/15/542,3   600,000    622,556 
HUB International Ltd.          
7.250%, due 06/15/303   520,000    537,380 
Liberty Mutual Group, Inc.          
(fixed, converts to FRN on 12/15/26),          
4.125%, due 12/15/512,3   110,000    103,802 
MassMutual Global Funding II          
1 day USD SOFR + 0.980%,          
5.824%, due 07/10/262,3   200,000    201,966 
Metropolitan Life Global Funding I          
4.300%, due 08/25/293   1,120,000    1,094,803 
5.000%, due 01/06/263   150,000    150,631 
Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen          
(fixed, converts to FRN on 05/23/32),          
5.875%, due 05/23/422,3   1,000,000    1,024,230 
Mutual of Omaha Cos Global Funding          
5.350%, due 04/09/273   250,000    253,180 
New York Life Global Funding          
0.850%, due 01/15/263   125,000    119,540 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Northwestern Mutual Global Funding          
0.800%, due 01/14/263   53,000   $50,680 
4.350%, due 09/15/273   985,000    980,802 
Pacific Life Global Funding II          
5.500%, due 07/18/283   100,000    102,264 
Panther Escrow Issuer LLC          
7.125%, due 06/01/313   130,000    133,104 
Principal Life Global Funding II          
1.500%, due 11/17/263   145,000    136,532 
Protective Life Global Funding          
5.215%, due 06/12/293   200,000    203,854 
Prudential Financial, Inc.          
(fixed, converts to FRN on 02/28/32),          
5.125%, due 03/01/522   70,000    67,645 
(fixed, converts to FRN on 03/15/34),          
6.500%, due 03/15/542   50,000    52,155 
Reinsurance Group of America, Inc.          
6.000%, due 09/15/33   1,445,000    1,507,688 
RenaissanceRe Holdings Ltd.          
5.750%, due 06/05/33   2,105,000    2,136,801 
RGA Global Funding          
6.000%, due 11/21/283   200,000    207,605 
SiriusPoint Ltd.          
7.000%, due 04/05/29   1,025,000    1,052,868 
Stewart Information Services Corp.          
3.600%, due 11/15/31   2,000,000    1,725,407 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Insurance—(continued)          
Swiss Re Finance Luxembourg SA          
(fixed, converts to FRN on 04/02/29),          
5.000%, due 04/02/492,3   3,400,000   $3,383,238 
         31,104,704 
Internet: 0.1%          
Expedia Group, Inc.          
3.800%, due 02/15/28   100,000    96,800 
6.250%, due 05/01/253   196,000    196,306 
Uber Technologies, Inc.          
5.350%, due 09/15/54   180,000    171,662 
         464,768 
Investment companies: 2.6%          
Abu Dhabi Developmental Holding Co. PJSC          
4.375%, due 10/02/313   200,000    193,438 
BlackRock TCP Capital Corp.          
6.950%, due 05/30/296   1,325,000    1,332,219 
Blackstone Private Credit Fund          
7.300%, due 11/27/283   1,975,000    2,072,991 
Blue Owl Capital Corp.          
2.875%, due 06/11/28   1,100,000    993,559 
Blue Owl Credit Income Corp.          
7.750%, due 09/16/27   950,000    989,623 
FS KKR Capital Corp.          
7.875%, due 01/15/29   2,390,000    2,538,722 
Golub Capital BDC, Inc.          
7.050%, due 12/05/28   200,000    207,956 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Investment companies—(continued)
HA Sustainable Infrastructure Capital, Inc.           
6.375%, due 07/01/343    1,400,000   $1,393,610 
Oaktree Strategic Credit Fund           
6.500%, due 07/23/296    1,365,000    1,360,722 
          11,082,840 
Iron & steel: 0.1%
CSN Inova Ventures           
6.750%, due 01/28/283,6    145,000    138,611 
Metinvest BV           
7.650%, due 10/01/273    25,000    16,750 
7.750%, due 10/17/293    110,000    69,850 
Vale Overseas Ltd.           
6.400%, due 06/28/54    20,000    20,069 
          245,280 
Lodging: 0.2%
Las Vegas Sands Corp.           
6.000%, due 08/15/29    200,000    204,024 
6.200%, due 08/15/34    55,000    56,059 
Marriott International, Inc.           
5.550%, due 10/15/28    200,000    205,791 
Melco Resorts Finance Ltd.           
5.625%, due 07/17/273    105,000    101,817 
Wynn Macau Ltd.           
5.500%, due 01/15/263    75,000    74,130 
          641,821 
Machinery-diversified: 0.1%
Ingersoll Rand, Inc.           
5.700%, due 08/14/33    25,000    25,977 
TK Elevator Midco GmbH           
4.375%, due 07/15/275   EUR200,000    216,053 
          242,030 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Media: 0.7%
CCO Holdings LLC/CCO Holdings Capital Corp.           
4.500%, due 08/15/303    190,000   $169,696 
4.750%, due 03/01/303    65,000    59,129 
4.750%, due 02/01/323    120,000    103,746 
7.375%, due 03/01/313    1,300,000    1,322,037 
Charter Communications Operating LLC/Charter Communications Operating Capital           
2.250%, due 01/15/29    200,000    175,664 
3.500%, due 06/01/41    200,000    136,898 
3.900%, due 06/01/52    100,000    64,292 
4.800%, due 03/01/50    565,000    423,908 
Fox Corp.           
5.576%, due 01/25/496    310,000    294,271 
6.500%, due 10/13/33    170,000    181,017 
          2,930,658 
Mining: 0.0%†
Corp. Nacional del Cobre de Chile           
3.150%, due 01/14/303    125,000    112,109 
            
Office & business equipment: 0.0%†
Zebra Technologies Corp.           
6.500%, due 06/01/323    55,000    56,271 
            
Oil & gas: 0.6%
3R Lux SARL           
9.750%, due 02/05/313    40,000    41,350 
BP Capital Markets PLC           
(fixed, converts to FRN on 06/22/26),           
3.250%, due 03/22/262,5,7   EUR200,000    215,821 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Continental Resources, Inc.          
5.750%, due 01/15/313   200,000   $200,223 
Crescent Energy Finance LLC          
7.375%, due 01/15/333   20,000    19,399 
Devon Energy Corp.          
5.750%, due 09/15/54   135,000    125,632 
Diamondback Energy, Inc.          
5.750%, due 04/18/54   65,000    63,136 
6.250%, due 03/15/53   85,000    87,834 
Ecopetrol SA          
4.625%, due 11/02/31   50,000    41,200 
5.875%, due 05/28/45   65,000    45,662 
FORESEA Holding SA          
7.500%, due 06/15/305   20,272    19,359 
Geopark Ltd.          
5.500%, due 01/17/273   70,000    65,953 
Gran Tierra Energy, Inc.          
9.500%, due 10/15/293   45,000    41,400 
KazMunayGas National Co. JSC          
5.750%, due 04/19/473   65,000    57,174 
6.375%, due 10/24/483   50,000    47,390 
Medco Bell Pte. Ltd.          
6.375%, due 01/30/273   55,000    54,759 
Pertamina Persero PT          
6.450%, due 05/30/443   40,000    42,486 
Petrobras Global Finance BV          
6.000%, due 01/13/35   20,000    19,374 
6.500%, due 07/03/33   40,000    40,704 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Oil & gas—(continued)
Petroleos Mexicanos           
6.350%, due 02/12/48    85,000   $58,055 
6.750%, due 09/21/47    55,000    39,240 
Pioneer Natural Resources Co.           
5.100%, due 03/29/26    100,000    100,750 
Raizen Fuels Finance SA           
6.950%, due 03/05/543    30,000    30,469 
Saudi Arabian Oil Co.           
5.750%, due 07/17/543    30,000    28,865 
SierraCol Energy Andina LLC           
6.000%, due 06/15/283    30,000    27,214 
Sunoco LP           
7.000%, due 05/01/293    1,185,000    1,222,421 
          2,735,870 
Packaging & containers: 0.1%
Mauser Packaging Solutions Holding Co.           
7.875%, due 04/15/273    280,000    287,700 
WRKCo, Inc.           
4.650%, due 03/15/26    200,000    199,128 
4.900%, due 03/15/29    100,000    99,694 
          586,522 
Pharmaceuticals: 0.7%
Bayer AG           
(fixed, converts to FRN on 09/25/30),           
5.375%, due 03/25/822,5   EUR100,000    107,875 
Bayer U.S. Finance LLC           
6.125%, due 11/21/263    400,000    408,738 
Cigna Group           
4.375%, due 10/15/28    200,000    196,429 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Pharmaceuticals—(continued)
CVS Pass-Through Trust           
Series 2013,           
4.704%, due 01/10/363    2,288,544   $2,105,297 
Pfizer Investment Enterprises Pte. Ltd.           
4.750%, due 05/19/33    200,000    197,040 
Teva Pharmaceutical Finance Netherlands II BV           
4.375%, due 05/09/30   EUR200,000    215,947 
          3,231,326 
Pipelines: 1.1%
Antero Midstream Partners LP/Antero Midstream Finance Corp.           
5.375%, due 06/15/293    90,000    87,656 
6.625%, due 02/01/323    315,000    318,499 
Cheniere Energy Partners LP           
3.250%, due 01/31/32    200,000    174,036 
CQP Holdco LP/BIP-V Chinook Holdco LLC           
5.500%, due 06/15/313    110,000    104,676 
7.500%, due 12/15/333    355,000    375,597 
Eastern Energy Gas Holdings LLC           
5.650%, due 10/15/54    40,000    39,086 
Enbridge, Inc.           
5.300%, due 04/05/29    200,000    202,930 
Series NC5,           
(fixed, converts to FRN on 01/15/29),           
8.250%, due 01/15/842    100,000    105,633 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
Energy Transfer LP          
5.250%, due 04/15/29   200,000   $201,769 
5.250%, due 07/01/29   200,000    201,986 
5.950%, due 05/15/54   150,000    147,750 
6.100%, due 12/01/28   200,000    208,550 
EnLink Midstream LLC          
5.375%, due 06/01/29   200,000    201,612 
Greensaif Pipelines Bidco SARL          
5.853%, due 02/23/363   200,000    200,314 
Kinder Morgan, Inc.          
5.550%, due 06/01/45   100,000    94,676 
7.750%, due 01/15/32   200,000    229,128 
MPLX LP          
4.700%, due 04/15/48   378,000    316,792 
5.000%, due 03/01/33   200,000    194,574 
ONEOK, Inc.          
5.050%, due 11/01/34   300,000    291,084 
5.650%, due 11/01/28   200,000    205,378 
5.850%, due 01/15/26   200,000    202,033 
Venture Global Calcasieu Pass LLC          
3.875%, due 08/15/293   100,000    92,204 
Venture Global LNG, Inc.          
8.125%, due 06/01/283   25,000    25,944 
8.375%, due 06/01/313   25,000    25,967 
9.500%, due 02/01/293   25,000    27,633 
9.875%, due 02/01/323   25,000    27,288 
Western Midstream Operating LP          
6.350%, due 01/15/29   200,000    208,061 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Pipelines—(continued)
Williams Cos., Inc.           
4.800%, due 11/15/29    200,000   $198,860 
          4,709,716 
Private Equity : 0.0%
Carlyle Finance Subsidiary LLC           
3.500%, due 09/19/293    200,000    187,482 
            
Real estate: 0.1%
CBRE Services, Inc.           
5.500%, due 04/01/29    200,000    205,290 
CPI Property Group SA           
(fixed, converts to FRN on 10/16/25),           
4.875%, due 07/16/252,5,7   EUR100,000    97,898 
Heimstaden Bostad AB           
(fixed, converts to FRN on 01/29/28),           
3.000%, due 10/29/272,5,7    100,000    95,180 
Newmark Group, Inc.           
7.500%, due 01/12/29    200,000    211,745 
          610,113 
Real estate investment trusts: 2.2%
Arbor Realty SR, Inc.           
Series QIB,           
8.500%, due 10/15/273    2,395,000    2,344,573 
HAT Holdings I LLC/HAT Holdings II LLC           
3.375%, due 06/15/263    1,900,000    1,834,459 
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer           
7.000%, due 02/01/303    65,000    66,585 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Real estate investment trusts—(continued)
RHP Hotel Properties LP/RHP Finance Corp.           
4.750%, due 10/15/27    60,000   $58,732 
6.500%, due 04/01/323    230,000    232,729 
7.250%, due 07/15/283    35,000    36,303 
SBA Tower Trust           
6.599%, due 01/15/283    3,100,000    3,167,527 
Scentre Group Trust 1/Scentre Group Trust 2           
4.375%, due 05/28/303    1,715,000    1,659,119 
          9,400,027 
Retail: 0.3%
Ceconomy AG           
6.250%, due 07/15/295   EUR100,000    111,224 
Cougar JV Subsidiary LLC           
8.000%, due 05/15/323    65,000    67,952 
Eroski S Coop           
10.625%, due 04/30/295   EUR100,000    117,137 
Macy's Retail Holdings LLC           
5.875%, due 03/15/303,6    1,127,000    1,089,979 
McDonald's Corp.           
3.625%, due 09/01/49    130,000    97,007 
          1,483,299 
Savings & loans: 0.1%
Nationwide Building Society           
(fixed, converts to FRN on 02/16/27),           
2.972%, due 02/16/282,3,6    200,000    190,956 
(fixed, converts to FRN on 10/18/26),           
6.557%, due 10/18/272,3    250,000    257,588 
          448,544 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Semiconductors: 0.9%          
ams-OSRAM AG          
12.250%, due 03/30/293,6   1,800,000   $1,868,816 
Broadcom, Inc.          
3.137%, due 11/15/353   847,000    695,945 
4.926%, due 05/15/373   268,000    257,003 
5.050%, due 07/12/29   200,000    201,706 
Foundry JV Holdco LLC          
6.250%, due 01/25/353   200,000    204,538 
Intel Corp.          
3.250%, due 11/15/49   25,000    15,963 
4.750%, due 03/25/50   50,000    40,916 
4.900%, due 08/05/52   40,000    33,210 
5.600%, due 02/21/54   85,000    78,619 
5.700%, due 02/10/53   30,000    28,037 
Marvell Technology, Inc.          
5.950%, due 09/15/33   185,000    193,637 
Micron Technology, Inc.          
4.975%, due 02/06/26   200,000    200,616 
         3,819,006 
Shipbuilding: 0.0%          
Huntington Ingalls Industries, Inc.          
2.043%, due 08/16/28   200,000    180,542 
           
Software: 0.3%          
Fiserv, Inc.          
5.450%, due 03/15/34   200,000    202,994 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Software—(continued)
Oracle Corp.           
2.875%, due 03/25/31    200,000   $177,112 
3.850%, due 04/01/60    200,000    141,849 
3.950%, due 03/25/51    215,000    163,916 
4.200%, due 09/27/29    200,000    194,827 
4.650%, due 05/06/30    100,000    99,328 
UKG, Inc.           
6.875%, due 02/01/313    255,000    261,250 
          1,241,276 
Telecommunications: 1.1%
Altice France SA           
5.875%, due 02/01/273   EUR200,000    175,194 
AT&T, Inc.           
3.500%, due 09/15/53    490,000    341,493 
British Telecommunications PLC           
(fixed, converts to FRN on 12/20/28),           
8.375%, due 12/20/832,5   GBP230,000    318,757 
C&W Senior Finance Ltd.           
6.875%, due 09/15/273    45,000    44,606 
Connect Finco SARL/Connect U.S. Finco LLC           
9.000%, due 09/15/293    1,350,000    1,282,295 
Crown Castle Towers LLC           
4.241%, due 07/15/283    81,000    78,344 
Iliad Holding SASU           
5.625%, due 10/15/285   EUR200,000    221,196 
Lorca Telecom Bondco SA           
4.000%, due 09/18/275    200,000    217,240 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Telecommunications—(continued)
Motorola Solutions, Inc.           
2.300%, due 11/15/30    200,000   $172,005 
Optics Bidco SpA           
7.875%, due 07/31/285   EUR200,000    245,641 
Oztel Holdings SPC Ltd.           
6.625%, due 04/24/283    110,000    114,194 
Rogers Communications, Inc.           
3.800%, due 03/15/32    114,000    103,912 
T-Mobile USA, Inc.           
2.050%, due 02/15/28    100,000    91,886 
2.550%, due 02/15/31    200,000    173,920 
3.400%, due 10/15/52    370,000    257,157 
4.500%, due 04/15/50    205,000    174,072 
Verizon Communications, Inc.           
2.987%, due 10/30/56    210,000    129,918 
5.500%, due 02/23/54    55,000    54,712 
Vodafone Group PLC           
4.875%, due 06/19/49    275,000    242,732 
5.750%, due 06/28/54    70,000    69,391 
(fixed, converts to FRN on 08/30/29),           
6.500%, due 08/30/842,5,6   EUR100,000    118,619 
          4,627,284 
Transportation: 0.0%†
MV24 Capital BV           
6.748%, due 06/01/343    31,532    30,672 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)
Water: 0.0%
Veolia Environnement SA           
(fixed, converts to FRN on 02/22/29),           
5.993%, due 11/22/282,5,7   EUR100,000   $116,021 
Total corporate bonds
(cost—$199,231,769)
        197,641,322 
          
Loan assignments—8.1%
Aerospace & defense: 0.3%
Propulsion BC Finco SARL           
3 mo. USD Term SOFR + 3.250%,           
7.867%, due 09/14/292    1,126,402    1,129,454 
            
Agriculture: 0.2%
A-AG U.S. GSI Bidco, Inc.           
0.000%, due 10/08/312,9    675,000    673,313 
            
Airlines: 0.3%
United Airlines, Inc.           
3 mo. USD Term SOFR + 2.750%,           
7.385%, due 02/22/312    1,517,375    1,518,452 
            
Chemicals: 0.3%
INEOS Enterprises Holdings U.S. Finco LLC           
3 mo. USD Term SOFR + 3.750%,           
8.907%, due 07/08/302    1,329,950    1,331,612 
            
Commercial services: 0.8%
Priority Holdings LLC           
3 mo. USD Term SOFR + 4.750%,           
9.807%, due 05/16/312    1,366,575    1,361,874 
System One Holdings LLC           
3 mo. USD Term SOFR + 3.750%,           
8.504%, due 03/02/282    2,224,906    2,227,687 
          3,589,561 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Diversified financial services: 0.4%          
LendingTree, Inc.          
1 mo. USD Term SOFR + 4.000%,          
8.799%, due 09/15/282   1,586,595   $1,579,154 
           
Electric: 0.5%          
Eastern Power LLC          
1 mo. USD Term SOFR + 5.250%,          
9.935%, due 04/03/282   1,987,167    1,987,426 
Lightstone Holdco LLC          
2022 Extended Term Loan B,          
3 mo. USD Term SOFR + 5.750%,          
10.335%, due 01/29/272   87,898    88,808 
2022 Extended Term Loan C,          
3 mo. USD Term SOFR + 5.750%,          
10.335%, due 01/29/272   4,971    5,023 
         2,081,257 
Environmental control: 0.2%          
Tidal Waste & Recycling Holdings LLC          
0.000%, due 10/03/312,9   798,000    798,000 
           
Health care products: 0.5%          
Medline Borrower LP          
1 mo. USD Term SOFR + 2.750%,          
7.435%, due 10/23/282   1,455,041    1,456,016 
Sotera Health Holdings LLC          
3 mo. USD Term SOFR + 3.250%,          
7.835%, due 05/30/312   800,000    800,504 
         2,256,520 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Healthcare-services: 0.6%          
IQVIA, Inc.          
3 mo. USD Term SOFR + 2.000%,          
6.604%, due 01/02/312   1,230,700   $1,233,395 
MPH Acquisition Holdings LLC          
2021 Term Loan B,          
3 mo. USD Term SOFR + 4.250%,          
9.569%, due 09/01/282   1,665,657    1,246,694 
         2,480,089 
Home Furnishings: 0.6%          
Whirlpool Corp.          
1 mo. USD Term SOFR + 1.125%,          
5.910%, due 09/23/252,10,11   2,400,000    2,397,000 
           
Investment companies: 0.3%          
MIP V Waste Holdings LLC          
1 mo. USD Term SOFR + 3.000%,          
7.685%, due 12/08/282   1,434,275    1,434,877 
           
Media: 0.3%          
Midcontinent Communications          
1 mo. USD Term SOFR + 2.500%,          
7.286%, due 08/16/312   1,380,000    1,385,175 
           
Pharmaceuticals: 0.3%          
Jazz Financing Lux SARL          
1 mo. USD Term SOFR + 2.250%,          
6.935%, due 05/05/282   1,524,972    1,524,835 
           
Pipelines: 1.5%          
AL NGPL Holdings LLC          
3 mo. USD Term SOFR + 2.500%,          
7.090%, due 04/17/282   1,426,426    1,427,610 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Pipelines—(continued)          
BCP Renaissance Parent LLC          
3 mo. USD Term SOFR + 3.250%,          
7.854%, due 10/31/282   1,326,706   $1,326,707 
Rockpoint Gas Storage Partners LP          
3 mo. USD Term SOFR + 3.500%,          
8.363%, due 09/12/312,9   2,050,000    2,043,604 
UGI Energy Services LLC          
1 mo. USD Term SOFR + 2.500%,          
7.185%, due 02/22/302   1,523,840    1,523,291 
         6,321,212 
Real estate investment trusts: 0.2%          
Starwood Property Trust, Inc.          
1 mo. USD Term SOFR + 2.750%,          
7.435%, due 11/18/272   1,002,150    1,004,655 
           
Software: 0.3%          
Central Parent, Inc.          
3 mo. USD Term SOFR + 3.250%,          
7.854%, due 07/06/292   1,488,750    1,476,319 
Polaris Newco LLC          
USD Term Loan B,          
3 mo. USD Term SOFR + 4.000%,          
8.847%, due 06/02/282   9,798    9,724 
         1,486,043 
Telecommunications: 0.5%          
Connect Finco SARL          
1 mo. USD Term SOFR + 3.500%,          
8.185%, due 12/11/262   382,965    380,365 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Telecommunications—(continued)          
Iridium Satellite LLC          
1 mo. USD Term SOFR + 2.250%,          
6.935%, due 09/20/302   1,385,680   $1,368,193 
Lumen Technologies, Inc.          
1 mo. USD Term SOFR + 6.000%,          
10.685%, due 06/01/282   416,342    409,726 
         2,158,284 

Total loan assignments

(cost—$35,323,621)

        35,149,493 
           
Mortgage-backed securities—10.8%          
1211 Avenue of the Americas Trust,          
Series 2015-1211, Class B,          
4.092%, due 08/10/352,3   124,000    121,169 
Adjustable Rate Mortgage Trust,          
Series 2005-5, Class 2A1,          
5.706%, due 09/25/352   27,022    23,431 
BAMLL Trust,          
Series 2024-BHP, Class B,          
1 mo. USD Term SOFR + 2.900%,          
7.704%, due 08/15/392,3   136,000    136,447 
Banc of America Funding Trust,          
Series 2005-D, Class A1,          
5.599%, due 05/25/352   130,869    120,179 
Bank,          
Series 2021-BN38, Class C,          
3.218%, due 12/15/642   51,000    39,829 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2019-BN17, Class C,          
4.507%, due 04/15/522   72,000   $65,100 
Bank of America Mortgage Trust,          
Series 2002-G, Class 1A3,          
5.750%, due 07/20/322   64    61 
Bank5,          
Series 2024-5YR5, Class B,          
6.539%, due 02/15/292   37,000    37,839 
Series 2023-5YR3, Class C,          
7.315%, due 09/15/562   43,000    44,773 
BBCMS Mortgage Trust,          
Series 2022-C17, Class XA,          
1.150%, due 09/15/552   1,298,067    93,882 
BCP Trust,          
Series 2021-330N, Class A,          
1 mo. USD Term SOFR + 0.913%,          
5.718%, due 06/15/382,3   500,000    463,054 
Bear Stearns ALT-A Trust,          
Series 2006-1, Class 21A2,          
4.684%, due 02/25/362   244,745    166,184 
Series 2004-9, Class 2A1,          
4.961%, due 09/25/342   45,045    39,723 
Series 2005-7, Class 22A1,          
5.239%, due 09/25/352   237,826    139,908 
Bear Stearns ARM Trust,          
Series 2004-7, Class 1A1,          
0.000%, due 10/25/342   37,638    32,277 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2004-6, Class 2A1,          
4.136%, due 09/25/342   156,848   $141,835 
Series 2004-3, Class 1A2,          
5.259%, due 07/25/342   35,082    32,714 
Series 2003-5, Class 2A1,          
5.371%, due 08/25/332   35,313    32,459 
Series 2003-1, Class 6A1,          
6.500%, due 04/25/332   2,963    2,953 
Benchmark Mortgage Trust,          
Series 2020-B19, Class AS,          
2.148%, due 09/15/53   53,000    42,193 
Series 2020-B19, Class B,          
2.351%, due 09/15/53   47,000    34,909 
Series 2020-B17, Class C,          
3.371%, due 03/15/532   90,000    66,163 
Series 2020-IG2, Class UBRC,          
3.509%, due 09/15/482,3   100,000    94,375 
Series 2020-B16, Class C,          
3.653%, due 02/15/532   59,000    46,067 
Series 2023-B40, Class C,          
7.406%, due 12/15/562   41,000    43,454 
BPR Trust,          
Series 2022-OANA, Class D,          
1 mo. USD Term SOFR + 3.695%,          
8.499%, due 04/15/372,3   156,979    157,371 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
BX Commercial Mortgage Trust,          
Series 2021-VOLT, Class D,          
1 mo. USD Term SOFR + 1.764%,          
6.568%, due 09/15/362,3   228,071   $226,218 
Series 2024-KING, Class C,          
1 mo. USD Term SOFR + 1.940%,          
6.744%, due 05/15/342,3   105,000    104,770 
Series 2024-MF, Class C,          
1 mo. USD Term SOFR + 1.941%,          
6.745%, due 02/15/392,3   143,444    142,861 
Series 2024-KING, Class D,          
1 mo. USD Term SOFR + 2.490%,          
7.294%, due 05/15/342,3   120,000    119,700 
Series 2024-XL5, Class D,          
1 mo. USD Term SOFR + 2.690%,          
7.494%, due 03/15/412,3   150,705    150,657 
Series 2023-XL3, Class D,          
1 mo. USD Term SOFR + 3.589%,          
8.393%, due 12/09/402,3   77,459    77,508 
BX Trust,          
Series 2019-OC11, Class D,          
3.944%, due 12/09/412,3   100,000    90,598 
Series 2022-CLS, Class B,          
6.300%, due 10/13/273   2,700,000    2,570,259 
Series 2024-BIO, Class C,          
1 mo. USD Term SOFR + 2.640%,          
7.444%, due 02/15/412,3   100,000    98,469 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2022-GPA, Class B,          
1 mo. USD Term SOFR + 2.664%,          
7.450%, due 08/15/412,3   1,315,167   $1,315,167 
Series 2024-VLT4, Class E,          
1 mo. USD Term SOFR + 2.889%,          
7.693%, due 07/15/292,3   136,000    136,214 
Series 2022-GPA, Class C,          
1 mo. USD Term SOFR + 3.213%,          
7.999%, due 08/15/422,3   1,256,279    1,256,279 
CAMB Commercial Mortgage Trust,          
Series 2019-LIFE, Class D,          
1 mo. USD Term SOFR + 2.047%,          
6.851%, due 12/15/372,3   127,000    126,841 
Series 2019-LIFE, Class F,          
1 mo. USD Term SOFR + 2.847%,          
7.651%, due 12/15/372,3   100,000    99,097 
Chase Home Lending Mortgage Trust,          
Series 2024-2, Class A6A,          
6.000%, due 02/25/552,3   114,976    114,876 
Series 2024-3, Class A6,          
6.000%, due 02/25/552,3   179,806    179,542 
Series 2024-4, Class A6,          
6.000%, due 03/25/552,3   184,788    184,689 
Chase Mortgage Finance Trust,          
Series 2005-S3, Class A10,          
5.500%, due 11/25/35   718,063    513,031 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2007-S6, Class 2A1,          
5.500%, due 12/25/49   469,807   $178,645 
CHL Mortgage Pass-Through Trust,          
Series 2005-HYB9, Class 5A1,          
1 yr. USD Term SOFR + 2.465%,          
6.248%, due 02/20/362   82,322    74,648 
Citigroup Commercial Mortgage Trust,          
Series 2015-GC27, Class XA,          
1.135%, due 02/10/482   914,844    216 
Series 2017-P8, Class C,          
4.255%, due 09/15/502   68,000    59,470 
Series 2023-SMRT, Class C,          
5.852%, due 10/12/402,3   100,000    99,599 
Series 2023-PRM3, Class C,          
6.360%, due 07/10/282,3   100,000    101,108 
Series 2023-PRM3, Class B,          
6.360%, due 07/10/282,3   1,120,000    1,141,541 
Citigroup Mortgage Loan Trust, Inc.,          
Series 2005-6, Class A3,          
1 yr. CMT + 1.800%,          
6.830%, due 09/25/352   347    338 
Series 2005-4, Class A,          
6.851%, due 08/25/352   46,897    46,283 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2005-6, Class A2,          
1 yr. CMT + 2.150%,          
6.938%, due 09/25/352   4,348   $4,227 
Series 2005-11, Class A1A,          
1 yr. CMT + 2.400%,          
7.410%, due 05/25/352   18,658    18,369 
COMM Mortgage Trust,          
Series 2014-UBS3, Class XA,          
0.646%, due 06/10/472   204,319    2 
Series 2024-277P, Class B,          
6.999%, due 08/10/442,3   134,000    138,329 
CONE Trust,          
Series 2024-DFW1, Class A,          
1 mo. USD Term SOFR + 1.642%,          
6.446%, due 08/15/412,3   54,000    54,000 
Series 2024-DFW1, Class D,          
1 mo. USD Term SOFR + 3.040%,          
7.844%, due 08/15/412,3   57,000    57,000 
Countrywide Alternative Loan Trust,          
Series 2006-14CB, Class A1,          
6.000%, due 06/25/36   1,146,303    628,613 
Series 2006-41CB, Class 1A9,          
6.000%, due 01/25/37   289,582    148,330 
Series 2005-62, Class 2A1,          
1 yr. USD MTA + 1.000%,          
6.061%, due 12/25/352   71,063    59,594 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2003-J3, Class 2A1,          
6.250%, due 12/25/33   8,472   $8,927 
CRSO Trust          
7.658%, due 07/10/282   1,130,000    1,168,968 
DC Commercial Mortgage Trust,          
Series 2023-DC, Class B,          
6.804%, due 09/12/403   860,000    887,760 
DSLA Mortgage Loan Trust,          
Series 2005-AR4, Class 2A1A,          
1 mo. USD Term SOFR + 0.634%,          
5.394%, due 08/19/452   98,753    82,595 
EFMT,          
Series 2024-INV2, Class A3,          
5.441%, due 10/25/692,3   99,591    98,413 
Series 2024-INV2, Class M1,          
5.726%, due 10/25/692,3   100,000    97,946 
Eleven Madison Trust Mortgage Trust,          
Series 2015-11MD, Class A,          
3.555%, due 09/10/352,3   155,000    150,756 
ELM Trust,          
Series 2024-ELM, Class D10,          
6.626%, due 06/10/392,3   100,000    101,023 
Series 2024-ELM, Class D15,          
6.674%, due 06/10/392,3   100,000    101,140 
Fashion Show Mall LLC,          
Series 2024-SHOW, Class C,          
6.276%, due 10/10/412,3   100,000    97,539 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Federal Home Loan Mortgage Corp. Multiclass Certificates,          
Series 2020-RR04, Class X,          
2.126%, due 02/27/292   3,460,000   $230,831 
Federal Home Loan Mortgage Corp. REMICS,          
Series 2764, Class LZ,          
4.500%, due 03/15/34   182,454    180,643 
Series 2921, Class PG,          
5.000%, due 01/15/35   404,319    398,866 
Series 2764, Class ZG,          
5.500%, due 03/15/34   132,096    135,310 
Series 2400, Class FQ,          
30 day USD SOFR Average + 0.614%,          
5.624%, due 01/15/322   3,586    3,586 
Series 2983, Class TZ,          
6.000%, due 05/15/35   436,234    453,560 
Series 3149, Class CZ,          
6.000%, due 05/15/36   528,448    551,220 
Series 5474, Class FB,          
30 day USD SOFR Average + 1.150%,          
6.058%, due 11/25/542   275,000    273,692 
Series 5471, Class FK,          
30 day USD SOFR Average + 1.150%,          
6.150%, due 08/25/542   275,000    273,559 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 5475, Class FA,          
30 day USD SOFR Average + 1.100%,          
6.251%, due 11/25/542   250,000   $249,084 
Federal Home Loan Mortgage Corp. STACR REMICS Trust,          
Series 2021-DNA7, Class M2,          
30 day USD SOFR Average + 1.800%,          
6.657%, due 11/25/412,3   130,000    131,057 
Series 2024-HQA1, Class M2,          
30 day USD SOFR Average + 2.000%,          
6.857%, due 03/25/442,3   210,000    210,951 
Series 2022-DNA1, Class M2,          
30 day USD SOFR Average + 2.500%,          
7.357%, due 01/25/422,3   417,000    424,560 
Series 2022-DNA3, Class M1B,          
30 day USD SOFR Average + 2.900%,          
7.757%, due 04/25/422,3   210,000    217,239 
Series 2022-DNA4, Class M1B,          
30 day USD SOFR Average + 3.350%,          
8.207%, due 05/25/422,3   436,000    453,985 
Series 2021-DNA6, Class B1,          
30 day USD SOFR Average + 3.400%,          
8.257%, due 10/25/412,3   200,000    205,898 
Series 2022-DNA6, Class M1B,          
30 day USD SOFR Average + 3.700%,          
8.557%, due 09/25/422,3   178,000    187,558 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2022-DNA2, Class M2,          
30 day USD SOFR Average + 3.750%,          
8.607%, due 02/25/422,3   439,000   $459,560 
Series 2022-DNA3, Class M2,          
30 day USD SOFR Average + 4.350%,          
9.207%, due 04/25/422,3   111,000    118,262 
Series 2022-DNA5, Class M1B,          
30 day USD SOFR Average + 4.500%,          
9.357%, due 06/25/422,3   192,000    206,282 
Series 2022-HQA1, Class M2,          
30 day USD SOFR Average + 5.250%,          
10.107%, due 03/25/422,3   383,000    412,654 
Series 2022-HQA1, Class B1,          
30 day USD SOFR Average + 7.000%,          
11.857%, due 03/25/422,3   200,000    220,958 
Federal Home Loan Mortgage Corp. Structured Pass-Through Certificates,          
Series T-54, Class 2A,          
6.500%, due 02/25/43   300,210    302,380 
Series T-58, Class 2A,          
6.500%, due 09/25/43   136,170    137,055 
Federal National Mortgage Association Connecticut Avenue Securities Trust,          
Series 2022-R04, Class 1M2,          
30 day USD SOFR Average + 3.100%,          
7.957%, due 03/25/422,3   191,000    198,378 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2022-R01, Class 1B1,          
30 day USD SOFR Average + 3.150%,          
8.007%, due 12/25/412,3   178,000   $182,450 
Series 2023-R02, Class 1M2,          
30 day USD SOFR Average + 3.350%,          
8.207%, due 01/25/432,3   144,000    152,256 
Series 2022-R03, Class 1M2,          
30 day USD SOFR Average + 3.500%,          
8.357%, due 03/25/422,3   475,000    498,364 
Series 2023-R01, Class 1M2,          
30 day USD SOFR Average + 3.750%,          
8.607%, due 12/25/422,3   133,000    141,811 
Series 2022-R08, Class 1B1,          
30 day USD SOFR Average + 5.600%,          
10.457%, due 07/25/422,3   336,000    367,181 
Federal National Mortgage Association REMICS,          
Series 2006-65, Class GD,          
6.000%, due 07/25/26   9,605    9,621 
Series 2003-64, Class AH,          
6.000%, due 07/25/33   544,486    558,227 
Series 2024-40, Class FA,          
30 day USD SOFR Average + 1.150%,          
6.007%, due 03/25/542   244,312    243,022 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2024-67, Class FA,          
30 day USD SOFR Average + 1.170%,          
6.027%, due 09/25/542   268,341   $268,296 
Series 2024-76, Class JF,          
30 day USD SOFR Average + 1.250%,          
6.363%, due 11/25/542   275,000    276,075 
Federal National Mortgage Association REMICS Trust,          
Series 1999-W4, Class A9,          
6.250%, due 02/25/29   42,667    42,929 
Federal National Mortgage Association Trust,          
Series 2004-W8, Class 2A,          
6.500%, due 06/25/44   138,778    140,456 
First Horizon Mortgage Pass-Through Trust,          
Series 2005-AR3, Class 2A1,          
6.745%, due 08/25/352   7,749    5,385 
Government National Mortgage Association REMICS,          
Series 2020-86, Class WK,          
1.000%, due 06/20/50   216,012    162,315 
Series 2021-119, Class NC,          
1.500%, due 07/20/51   200,073    162,395 
Series 2021-103, Class HE,          
2.000%, due 06/20/51   196,159    160,531 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2018-38, Class WF,          
1 mo. USD Term SOFR + 0.414%,          
5.259%, due 10/20/432   585,063   $561,147 
Series 2017-182, Class FW,          
1 mo. USD Term SOFR + 0.464%,          
5.309%, due 05/20/472   192,476    183,525 
Series 2015-H20, Class FB,          
1 mo. USD Term SOFR + 0.714%,          
5.910%, due 08/20/652   483,453    482,258 
Great Wolf Trust,          
Series 2024-WOLF, Class D,          
1 mo. USD Term SOFR + 2.890%,          
7.694%, due 03/15/392,3   110,000    110,344 
GS Mortgage Securities Trust,          
Series 2019-GC42, Class C,          
3.701%, due 09/10/522   122,000    100,254 
Series 2015-GS1, Class AS,          
4.037%, due 11/10/482   169,000    158,951 
Series 2016-GS2, Class C,          
4.697%, due 05/10/492   70,000    66,815 
GSR Mortgage Loan Trust,          
Series 2005-AR6, Class 2A1,          
5.252%, due 09/25/352   75,023    70,809 
HarborView Mortgage Loan Trust,          
Series 2005-4, Class 3A1,          
5.082%, due 07/19/352   103,123    76,228 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2004-11, Class 3A1A,          
1 mo. USD Term SOFR + 0.814%,          
5.574%, due 01/19/352   14,044   $13,121 
Hilton USA Trust,          
Series 2016-HHV, Class E,          
4.194%, due 11/05/382,3   100,000    95,219 
JP Morgan Chase Commercial Mortgage Securities Trust,          
Series 2016-NINE, Class B,          
2.854%, due 09/06/382,3   125,000    117,548 
Series 2022-OPO, Class D,          
3.450%, due 01/05/392,3   144,000    113,040 
JP Morgan Mortgage Trust,          
Series 2005-A8, Class 1A1,          
5.638%, due 11/25/352   244,682    195,450 
Series 2024-2, Class A6A,          
6.000%, due 08/25/542,3   130,675    130,427 
Series 2024-4, Class A6A,          
6.000%, due 10/25/542,3   156,890    156,739 
Series 2006-A4, Class 2A2,          
6.046%, due 06/25/362   121,503    85,323 
LHOME Mortgage Trust,          
Series 2024-RTL4, Class A1,          
5.921%, due 07/25/392,3   217,000    217,329 
Manhattan West Mortgage Trust,          
Series 2020-1MW, Class D,          
2.335%, due 09/10/392,3   100,000    88,834 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
MED Commercial Mortgage Trust,          
Series 2024-MOB, Class C,          
1 mo. USD Term SOFR + 2.291%,          
7.095%, due 05/15/412,3   100,000   $99,250 
Morgan Stanley Bank of America Merrill Lynch Trust,          
Series 2017-C33, Class C,          
4.558%, due 05/15/502   103,000    96,071 
Morgan Stanley Capital I Trust,          
Series 2017-H1, Class B,          
4.075%, due 06/15/50   19,000    17,761 
Series 2017-H1, Class C,          
4.281%, due 06/15/502   50,000    44,132 
Series 2018-L1, Class AS,          
4.637%, due 10/15/512   63,000    61,044 
Series 2018-H4, Class C,          
5.051%, due 12/15/512   80,000    70,903 
Series 2021-230P, Class B,          
1 mo. USD Term SOFR + 1.563%,          
6.367%, due 12/15/382,3   63,000    59,240 
Morgan Stanley Residential Mortgage Loan Trust,          
Series 2024-NQM3, Class M1,          
5.609%, due 07/25/692,3,10   100,000    97,962 
Series 2024-3, Class A2,          
6.000%, due 07/25/542,3   141,247    141,316 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
MSWF Commercial Mortgage Trust,          
Series 2023-1, Class C,          
6.683%, due 05/15/562   42,000   $43,444 
Series 2023-2, Class C,          
7.018%, due 12/15/562   32,000    33,640 
MTN Commercial Mortgage Trust,          
Series 2022-LPFL, Class A,          
1 mo. USD Term SOFR + 1.397%,          
6.207%, due 03/15/392,3   2,650,000    2,635,094 
NAAC Reperforming Loan REMICS Trust Certificates,          
Series 2004-R3, Class A1,          
6.500%, due 02/25/353   339,682    285,097 
New Residential Mortgage Loan Trust,          
Series 2024-RTL2, Class A1,          
5.443%, due 09/25/392,3   226,000    222,114 
NYMT Loan Trust,          
Series 2024-INV1, Class A3,          
5.834%, due 06/25/692,3   109,000    108,300 
OAKST Commercial Mortgage Trust,          
Series 2023-NLP, Class A,          
6.095%, due 03/15/402,3   2,640,000    2,666,846 
OBX Trust,          
Series 2021-NQM4, Class A1,          
1.957%, due 10/25/612,3   273,452    228,397 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
One Bryant Park Trust,          
Series 2019-OBP, Class A,          
2.516%, due 09/15/543   3,100,000   $2,703,899 
One Market Plaza Trust,          
Series 2017-1MKT, Class A,          
3.614%, due 02/10/323   73,045    67,833 
Series 2017-1MKT, Class C,          
4.016%, due 02/10/323   100,000    88,020 
ONE Mortgage Trust,          
Series 2021-PARK, Class E,          
1 mo. USD Term SOFR + 1.864%,          
6.669%, due 03/15/362,3   150,000    141,609 
ONNI Commercial Mortgage Trust,          
Series 2024-APT, Class C,          
6.430%, due 07/15/392,3   136,000    135,691 
ORL Trust,          
Series 2023-GLKS, Class D,          
1 mo. USD Term SOFR + 4.301%,          
9.105%, due 10/19/362,3   128,000    128,000 
Reperforming Loan Trust REMICS,          
Series 2003-R4, Class 2A,          
4.756%, due 01/25/342,3   339,781    294,235 
Series 2006-R1, Class AF1,          
1 mo. USD Term SOFR + 0.454%,          
5.192%, due 01/25/362,3   241,925    224,759 
RFMSI Trust,          
Series 2004-S9, Class 1A23,          
5.500%, due 12/25/34   143,111    133,719 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
ROCK Trust,          
Series 2024-CNTR, Class D,          
7.109%, due 11/13/413   209,000   $211,266 
SCOTT Trust,          
Series 2023-SFS, Class A,          
5.910%, due 03/10/403   1,125,000    1,142,529 
Sequoia Mortgage Trust,          
Series 2007-3, Class 1A1,          
1 mo. USD Term SOFR + 0.514%,          
5.274%, due 07/20/362   36,035    31,176 
Series 2024-4, Class A10,          
6.000%, due 05/25/542,3   191,960    191,814 
SG Residential Mortgage Trust,          
Series 2021-2, Class A1,          
1.737%, due 12/25/612,3   442,045    365,019 
Structured Adjustable Rate Mortgage Loan Trust,          
Series 2004-8, Class 3A,          
6.530%, due 07/25/342   117,192    112,628 
Structured Asset Mortgage Investments II Trust,          
Series 2006-AR3, Class 11A1,          
1 mo. USD Term SOFR + 0.534%,          
5.272%, due 04/25/362   299,086    266,734 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Structured Asset Mortgage Investments Trust,          
Series 2002-AR3, Class A1,          
1 mo. USD Term SOFR + 0.774%,          
5.534%, due 09/19/322   12,296   $11,783 
Thornburg Mortgage Securities Trust,          
Series 2007-4, Class 2A1,          
4.654%, due 09/25/372   78,479    77,360 
Towd Point Mortgage Trust,          
Series 2022-4, Class A1,          
3.750%, due 09/25/623   210,158    197,388 
Verus Securitization Trust,          
Series 2021-6, Class A1,          
1.630%, due 10/25/662,3   359,069    303,427 
Series 2021-6, Class A3,          
1.887%, due 10/25/662,3   211,193    179,061 
Series 2022-4, Class A3,          
4.740%, due 04/25/672,3   107,382    103,546 
Series 2024-7, Class A1,          
5.095%, due 09/25/692,3   127,137    126,191 
Series 2024-7, Class A3,          
5.400%, due 09/25/692,3   99,326    98,457 
WaMu Mortgage Pass-Through Certificates Trust,          
Series 2006-AR2, Class 2A1,          
3.901%, due 03/25/362   309,180    277,999 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
Series 2005-AR13, Class A1A1,          
1 mo. USD Term SOFR + 0.694%,          
5.432%, due 10/25/452   158,433   $154,417 
Series 2006-AR9, Class 1A,          
1 yr. USD MTA + 1.000%,          
6.061%, due 08/25/462   210,732    190,614 
Series 2002-AR6, Class A,          
1 yr. USD MTA + 1.400%,          
6.461%, due 06/25/422   4,055    3,705 
Wells Fargo Commercial Mortgage Trust,          
Series 2016-NXS6, Class B,          
3.811%, due 11/15/49   143,000    135,056 
Series 2017-C39, Class C,          
4.118%, due 09/15/50   76,000    68,082 
Series 2015-NXS4, Class C,          
4.671%, due 12/15/482   54,000    51,665 
Series 2024-1CHI, Class C,          
6.226%, due 07/15/352,3   132,000    131,660 
WFRBS Commercial Mortgage Trust,          
Series 2014-C22, Class XA,          
0.339%, due 09/15/572   892,586    9 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Mortgage-backed securities—(continued)          
WMRK Commercial Mortgage Trust,          
Series 2022-WMRK, Class C,          
1 mo. USD Term SOFR + 4.083%,          
8.869%, due 11/15/272,3   3,100,000   $3,108,719 
Total mortgage-backed securities
(cost—$47,642,045)
       46,730,988 
          
Municipal bonds—0.4%          
California: 0.0%          
Golden State Tobacco Securitization Corp., Revenue Bonds,          
Series A-1,          
3.714%, due 06/01/41   200,000    152,931 
           
Florida: 0.1%          
State Board of Administration Finance Corp., Florida Hurricane Catastrophe Fund, Revenue Bonds,          
Series A,          
5.526%, due 07/01/34   200,000    203,297 
           
Illinois: 0.3%          
Sales Tax Securitization Corp. Second Lien, Refunding, Revenue Bonds,          
Series B,          
3.057%, due 01/01/34   1,400,000    1,214,512 
           
New York: 0.0%          
New York City Transitional Finance Authority, Future Tax, Revenue Bonds,          
Series C-2,          
4.375%, due 05/01/37   200,000    190,437 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Municipal bonds—(continued)          
Texas: 0.0%          
Texas Natural Gas Securitization Finance Corp., Revenue Bonds,          
Series 2023-1,Class A1          
5.102%, due 04/01/35   92,691   $94,080 
Total municipal bonds
(cost—$1,902,273)
       1,855,257 
           
Non-U.S. government agency obligations: 0.8%          
Angola: 0.0%          
Angola Government International Bonds          
8.750%, due 04/14/323   10,000    9,039 
9.375%, due 05/08/483   35,000    29,827 
        38,866 
Brazil: 0.1%          
Brazil Government International Bonds          
6.125%, due 03/15/34   70,000    69,336 
Brazil Letras do Tesouro Nacional          
0.000%, due 04/01/2512  BRL800,000    132,232 
        201,568 
Colombia: 0.0%          
Colombia Government International Bonds          
3.000%, due 01/30/30   50,000    41,575 
           
Costa Rica: 0.0%          
Costa Rica Government International Bonds          
7.158%, due 03/12/455   30,000    31,331 
           
Dominican Republic: 0.0%          
Dominican Republic International Bonds          
6.850%, due 01/27/453   110,000    111,595 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
El Salvador: 0.0%          
El Salvador Government International Bonds          
9.500%, due 07/15/523   25,000   $23,625 
           
Guatemala: 0.0%          
Guatemala Government Bonds          
3.700%, due 10/07/333   45,000    37,167 
6.550%, due 02/06/373   15,000    15,060 
        52,227 
Indonesia: 0.1%          
Indonesia Government International Bonds          
4.625%, due 04/15/433   165,000    153,863 
           
Israel: 0.1%          
Israel Government International Bonds          
5.500%, due 03/12/34   200,000    194,000 
           
Japan: 0.1%          
Japan Bank for International Cooperation          
2.875%, due 07/21/27   300,000    288,258 
Japan International Cooperation Agency          
2.750%, due 04/27/27   300,000    287,684 
        575,942 
Mexico: 0.0%          
Mexico Government International Bonds          
4.400%, due 02/12/52   175,000    124,688 
           
Mongolia: 0.0%          
Mongolia Government International Bonds          
5.125%, due 04/07/263   55,000    54,175 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
Oman: 0.0%          
Oman Government International Bonds          
6.500%, due 03/08/473   30,000   $30,187 
7.000%, due 01/25/513   70,000    74,594 
        104,781 
Panama: 0.0%          
Panama Government International Bonds          
2.252%, due 09/29/32   80,000    58,520 
           
Paraguay: 0.1%          
Paraguay Government International Bonds          
3.849%, due 06/28/333   40,000    35,487 
4.950%, due 04/28/313   70,000    68,097 
5.400%, due 03/30/503   60,000    53,119 
        156,703 
Poland: 0.0%          
Republic of Poland Government International Bonds          
5.125%, due 09/18/34   100,000    98,828 
           
Qatar: 0.0%          
Qatar Government International Bonds          
4.400%, due 04/16/503   60,000    53,100 
           
Romania: 0.1%          
Romania Government International Bonds          
3.000%, due 02/14/315   104,000    87,945 
3.625%, due 03/27/323   50,000    42,891 
4.000%, due 02/14/513   60,000    40,387 
5.375%, due 03/22/313  EUR  250,000    275,198 
        446,421 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Non-U.S. government agency obligations—(continued)          
Saudi Arabia: 0.1%          
Saudi Government International Bonds          
3.250%, due 11/17/513   120,000   $78,713 
3.750%, due 01/21/553   50,000    35,109 
4.875%, due 07/18/333   200,000    197,937 
5.000%, due 01/18/533   200,000    175,563 
        487,322 
South Africa: 0.0%          
Republic of South Africa Government International Bonds          
5.650%, due 09/27/47   90,000    70,312 
5.750%, due 09/30/49   45,000    35,044 
        105,356 
United Kingdom: 0.1%          
U.K. Gilts          
4.375%, due 07/31/545  GBP  265,000    314,937 
           
Uruguay: 0.0%          
Uruguay Government International Bonds          
5.100%, due 06/18/50   95,000    90,155 
Total non-U.S. government agency obligations
(cost $3,826,666)
       3,519,578 

 

   Number of
shares
     
Preferred stocks: 0.6%
Capital markets: 0.6%          
CION Investment Corp.*   48,000    1,231,200 
Trinity Capital, Inc.   50,000    1,267,000 
         2,498,200 
Total preferred stocks
(cost—$2,450,000)
        2,498,200 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

 

   Face     
   amount1   Value 
U.S. government agency obligations: 8.6%          
Federal Home Loan Mortgage Corp.          
2.500%, due 02/01/51   50,557   $41,931 
2.500%, due 10/01/53   142,567    118,387 
3.500%, due 05/01/52  484,561   433,778 
3.500%, due 07/01/52   76,649    68,798 
3.500%, due 11/01/52   494,580    442,594 
4.000%, due 04/01/52   499,700    462,733 
4.000%, due 10/01/52   94,584    87,643 
4.500%, due 08/01/52   976,470    928,869 
4.500%, due 10/01/52   220,994    210,781 
5.000%, due 10/01/52   214,683    209,023 
5.000%, due 11/01/52   293,180    285,463 
5.000%, due 12/01/52   420,272    408,932 
5.000%, due 02/01/53   217,077    211,085 
5.000%, due 04/01/53   403,723    392,242 
5.000%, due 05/01/53   642,267    624,117 
5.000%, due 03/01/54   199,360    193,688 
5.500%, due 04/01/53   514,115    509,946 
5.500%, due 07/01/53   818,085    811,377 
5.500%, due 08/01/53   382,593    380,393 
5.500%, due 10/01/53   282,865    280,312 
5.500%, due 11/01/53   231,023    229,281 
5.500%, due 12/01/53   435,473    431,516 
5.500%, due 03/01/54   121,034    120,435 
5.500%, due 06/01/54   291,255    288,756 
6.000%, due 06/01/53   205,121    207,188 
6.000%, due 07/01/53   418,848    421,849 
6.000%, due 08/01/53   176,524    177,681 
6.000%, due 10/01/53   296,655    298,599 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
U.S. government agency obligations—(continued)          
6.000%, due 12/01/53   58,279   $58,661 
6.000%, due 02/01/54   193,616    194,885 
6.000%, due 03/01/54   204,676    206,003 
6.000%, due 09/01/54   220,713    222,144 
7.645%, due 05/01/25   89,926    89,926 
Federal National Mortgage Association          
2.500%, due 09/01/51   402,193    335,358 
2.500%, due 10/01/51   470,985    391,540 
2.500%, due 12/01/51   529,439    439,806 
3.000%, due 02/01/52   949,392    822,060 
3.000%, due 06/01/52   83,869    72,491 
3.000%, due 07/01/52   147,406    127,031 
3.000%, due 03/01/53   45,325    39,060 
3.500%, due 07/01/52   26,548    23,764 
3.750%, due 11/01/262,10,11   2,015    2,015 
4.000%, due 06/01/52   498,147    462,398 
4.000%, due 10/01/52   474,939    440,276 
4.500%, due 10/01/52   233,039    221,944 
4.500%, due 05/01/53   361,539    344,105 
1 yr. CMT + 2.100%,          
4.813%, due 05/01/302   9,772    9,796 
5.000%, due 10/01/52   260,364    253,272 
5.000%, due 12/01/52   503,668    490,077 
5.000%, due 02/01/53   435,150    423,757 
5.000%, due 03/01/53   382,379    371,690 
5.000%, due 04/01/53   413,447    402,375 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
U.S. government agency obligations—(continued)          
5.000%, due 05/01/53   90,499   $87,928 
5.000%, due 06/01/53   645,665    627,461 
5.000%, due 07/01/53   184,854    180,478 
5.188%, due 11/01/342   1,100,037    1,100,037 
5.500%, due 01/01/53   416,044    412,850 
5.500%, due 02/01/53   213,516    211,832 
5.500%, due 03/01/53   58,140    57,689 
5.500%, due 06/01/53   133,823    132,758 
5.500%, due 07/01/53   283,308    280,804 
5.500%, due 09/01/53   287,553    284,976 
5.500%, due 10/01/53   69,280    68,655 
5.500%, due 02/01/54   212,243    210,276 
5.500%, due 03/01/54   188,351    186,559 
5.500%, due 06/01/54   458,822    454,688 
5.500%, due 07/01/54   147,090    145,930 
1 yr. USD RFUCCT + 1.603%,          
5.978%, due 12/01/352   12,104    12,196 
6.000%, due 06/01/53   389,944    392,822 
6.000%, due 07/01/53   436,629    439,490 
6.000%, due 08/01/53   43,901    44,188 
6.000%, due 09/01/53   319,864    321,960 
6.000%, due 10/01/53   318,658    320,746 
6.000%, due 12/01/53   58,258    58,640 
6.000%, due 02/01/54   126,854    128,531 
1 yr. USD RFUCCT + 1.780%,          
6.030%, due 11/01/352   2,789    2,820 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
U.S. government agency obligations—(continued)          
1 yr. USD RFUCCT + 1.830%,          
6.205%, due 03/01/362   13,109   $13,282 
1 yr. USD RFUCCT + 1.912%,          
6.287%, due 02/01/362   8,468    8,600 
1 yr. USD RFUCCT + 1.815%,          
6.323%, due 03/01/362   14,432    14,610 
1 yr. CMT + 2.405%,          
6.655%, due 05/01/272   135    134 
6 mo. USD RFUCCT + 1.538%,          
6.663%, due 01/01/362   2,420    2,440 
1 yr. CMT + 2.229%,          
6.868%, due 04/01/272   2,472    2,487 
Government National Mortgage Association          
1 yr. CMT + 1.500%,          
3.625%, due 07/20/252   132    132 
1 yr. CMT + 1.500%,          
4.625%, due 01/20/262   246    245 
1 yr. CMT + 1.500%,          
4.875%, due 05/20/262   850    846 
5.000%, due 12/20/49   40,407    39,867 
Uniform Mortgage-Backed Security, TBA          
3.500%   800,000    715,438 
4.000%   5,000,000    4,621,350 
4.500%   1,500,000    1,424,169 
5.000%13   2,300,000    2,234,054 
5.500%   6,000,000    5,938,584 
6.000%   600,000    603,738 
Total U.S. government agency obligations
(cost—$38,068,169)
       37,506,121 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
U.S. Treasury obligations: 11.3%          
U.S. Treasury Bonds          
1.375% due 08/15/50   9,020,000   $4,665,736 
1.625% due 11/15/50   2,000,000    1,105,391 
2.250% due 08/15/49   300,000    195,609 
2.375% due 02/15/42   600,000    442,031 
2.375% due 11/15/49   100,000    66,949 
2.875% due 08/15/45   500,000    383,477 
2.875% due 05/15/49   200,000    148,891 
2.875% due 05/15/52   750,000    554,004 
3.000% due 11/15/44   500,000    393,926 
3.000% due 02/15/49   400,000    305,203 
3.000% due 08/15/52   2,400,000    1,819,875 
3.250% due 05/15/42   11,000,000    9,257,187 
3.375% due 11/15/48   100,000    81,805 
3.625% due 02/15/53   9,695,000    8,320,658 
3.875% due 02/15/43   300,000    274,324 
3.875% due 05/15/43   400,000    364,766 
4.250% due 08/15/54   300,000    288,703 
4.375% due 08/15/43   300,000    292,559 
4.625% due 05/15/44   100,000    100,500 
4.625% due 05/15/54   200,000    204,656 
U.S. Treasury Inflation-Indexed Bonds          
0.125% due 02/15/51   120,909    71,587 
0.750% due 02/15/45   401,034    306,605 
1.000% due 02/15/46   332,133    264,377 
1.000% due 02/15/49   125,097    96,918 
1.500% due 02/15/53   529,495    454,276 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
U.S. Treasury obligations—(continued)          
2.125% due 02/15/54   205,138   $202,971 
U.S. Treasury Inflation-Indexed Notes          
0.125% due 10/15/25   121,320    119,082 
0.125% due 07/15/31   704,694    629,976 
0.125% due 01/15/32   340,677    300,456 
0.250% due 01/15/25   1,063,232    1,055,397 
0.375% due 07/15/25   1,194,669    1,179,879 
0.625% due 01/15/26   132,480    129,960 
0.625% due 07/15/32   812,573    740,419 
1.250% due 04/15/28   1,469,258    1,438,840 
1.875% due 07/15/34   1,078,440    1,070,821 
2.125% due 04/15/29   859,973    869,080 
U.S. Treasury Notes          
0.500% due 08/31/27   5,900,000    5,331,664 
2.625% due 07/31/2913   700,000    653,953 
3.500% due 09/30/29   4,865,000    4,724,751 
4.250% due 12/31/2413   283,000    282,823 
Total U.S. Treasury obligations
(cost—$51,962,601)
       49,190,085 

 

   Number of
shares
     
Common stocks: 0.7%
Mortgage real estate investment: 0.7%          
Ellington Financial, Inc.,Series C2,7
(cost—$3,025,000)
   121,000    3,108,490 
           
Exchange traded funds: 0.4%          
Invesco Senior Loan ETF6
(cost—$1,676,021)
   73,013    1,532,543 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount   Value 
Short-term U.S. treasury obligations—0.6%          
U.S. Treasury Bills          
4.462% due 04/10/2514  $1,300,000   $1,274,952 
5.149% due 01/23/2514   1,450,000    1,435,171 
Total short-term U.S. treasury obligations
(cost—$2,708,586)
       2,710,123 

 

   Number of      
  shares      
Short-term investments—3.1%          
Investment companies: 2.5%          
State Street Institutional U.S. Government Money Market Fund, 4.824%14
(cost $10,554,906)
   10,554,906    10,554,906 
Total Short-term investments
(cost—$13,263,492)
       13,265,029 
           
Investment of cash collateral from securities loaned—2.9%          
Money market funds: 2.9%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%14
(cost—$12,545,493)
   12,545,493    12,545,493 

 

   Number of
contracts
   Notional
amount
    
Options Purchased: 0.0%
Call options: 0.0%
Call USD vs. Put CNH strike @ 7.400, expires 12/06/24 (Counterparty: BNP)   100,000  USD  740,000   89 
Call USD vs. Put CNH strike @ 7.375, expires 02/14/25 (Counterparty: HSBC)   100,000   USD  738,000   317 
Call USD vs. Put CNH strike @ 7.325, expires 12/06/24 (Counterparty: BNP)   100,000   USD  733,000   181 
Total Call options           587 

  

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
  Value 
Options Purchased—(continued)             
Put options: 0.0%             
CDX.NA.IG.S42 strike @ 0.600, expires 11/20/24 (Counterparty: BNP)   600,000   USD  360,000  $145 
CDX.NA.IG.S42 strike @ 0.600, expires 11/20/24 (Counterparty: GSI)   600,000   USD  360,000   145 
Total Put options          290 
              
Total Options Purchased
(cost—$33,890)
          877 
              
Swaptions Purchased: 0.0%             
Put swaptions: 0.0%             
30 Year USD SOFR Interest Rate Swap strike @ 4.329, expires 05/29/25 (Counterparty: MSCI; pay floating rate); underlying swap terminates 06/02/55   200,000   USD  200,000   3,242 
                
Call swaptions: 0.0%             
1 Year USD SOFR Interest Rate Swap strike @ 2.050, expires 02/19/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 02/21/26   900,000   USD  900,000   1,024 
5 Year USD SOFR Interest Rate Swap strike @ 2.930, expires 03/06/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 03/06/30   625,000   USD  625,000   1,197 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/06/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/06/26   1,700,000   USD  1,700,000   1,016 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
  Value 
Swaptions Purchased—(continued)             
Call swaptions—(continued)             
5 Year USD SOFR Interest Rate Swap strike @ 2.960, expires 03/10/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 03/10/30   500,000   USD  500,000  $1,054 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/10/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/10/26   2,500,000   USD  2,500,000   1,557 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/11/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/11/26   1,700,000   USD  1,700,000   1,077 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/12/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/12/26   2,500,000   USD  2,500,000   1,612 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/13/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/13/26   2,500,000   USD  2,500,000   1,640 
1 Year USD SOFR Interest Rate Swap strike @ 3.250, expires 03/18/25 (Counterparty: GS; pay floating rate); underlying swap terminates 03/18/26   2,500,000   USD  2,500,000   1,732 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
  Value 
Swaptions Purchased—(continued)             
Call swaptions—(continued)             
5 Year USD SOFR Interest Rate Swap strike @ 2.940, expires 03/24/25 (Counterparty: CITI; pay floating rate); underlying swap terminates 03/24/30   500,000   USD  500,000  $1,174 
Total call swaptions          13,083 
Total Swaptions Purchased
(cost—$18,239)
          16,325 
Total investments before investments sold short
(cost—$481,256,889)—109.6%
          476,005,884 

 

   Number of
shares
     
Investments sold short: (0.2)%
U.S. government agency obligations: (0.2)%          
Uniform Mortgage-Backed Security, TBA 5.000%  $(700,000)  $(679,750)
Total investments sold short
(Proceeds—$(680,578))
        (679,750)
Total investments
(cost—$480,576,311)15—109.4%
        475,326,134 
Liabilities in excess of other assets—(9.4)%        (40,873,748)
Net assets—100.0%       $434,452,386 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Options written

 

Notional
amount

 

Number of
contracts

   

Call options

 

Counterparty

 

Expiration
date

 

Premiums
received

  

Current
Value

  

Unrealized
appreciation
(depreciation)

 
USD (225,000) (2,000)   U.S. Treasury Note 10 Year Futures, strike @ 112.500  GSI  11/22/24  $551   $(594)  $(43)

 

Notional
amount

 

Number of
contracts

  

Put options

 

Counterparty

 

Expiration
date

 

Premiums
received

  

Current
Value

  

Unrealized
appreciation
(depreciation)

 
USD 960,000  1,200,000   CDX.NA.IG.S42, strike @ 0.800  BNP  11/20/24  $1,081   $(56)  $1,025 
USD 960,000  1,200,000   CDX.NA.IG.S42, strike @ 0.800  GSI  11/20/24   1,199    (55)   1,144 
USD 217,000  2,000   U.S. Treasury Note 10 Year Futures, strike @ 108.500  GSI  11/22/24   797    (656)   141 
Total            $3,077   $(767)  $2,310 
Total options written            $3,628   $(1,361)  $2,267 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Swaptions written  

 

Notional
amount
(000)

 

Number of
contracts

  

Call Swaptions

 

Counterparty

 

Pay/
receive
floating
rate

 

Expiration
date

 

Premiums
received

  

Current
value

  

Unrealized
appreciation
(depreciation)

 
EUR 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 2.050 terminating 02/21/35  CITI  Pay  02/19/25  $746   $(532)  $214 
GBP 200  200,000   10 Year USD SOFR Interest Rate Swap strike @ 3.243 terminating 03/06/35  GS  Pay  03/06/25   1    (952)   (951)
EUR 700  700,000   5 Year USD SOFR Interest Rate Swap strike @ 1.958 terminating 03/10/30  CITI  Pay  03/06/25   4,127    (2,710)   1,417 
EUR 700  700,000   5 Year USD SOFR Interest Rate Swap strike @ 2.008 terminating 03/12/30  CITI  Pay  03/10/25   3,925    (3,196)   729 
GBP 300  300,000   10 Year USD SOFR Interest Rate Swap strike @ 3.255 terminating 03/10/35  GS  Pay  03/10/25       (1,515)   (1,515)
GBP 200  200,000   10 Year USD SOFR Interest Rate Swap strike @ 3.250 terminating 03/11/35  GS  Pay  03/11/25       (1,012)   (1,012)
GBP 300  300,000   10 Year USD SOFR Interest Rate Swap strike @ 3.245 terminating 03/12/35  GS  Pay  03/12/25       (1,520)   (1,520)
GBP 300  300,000   10 Year USD SOFR Interest Rate Swap strike @ 3.250 terminating 03/13/35  GS  Pay  03/13/25       (1,561)   (1,561)
GBP 300  300,000   10 Year USD SOFR Interest Rate Swap strike @ 3.250 terminating 03/18/35  GS  Pay  03/18/25       (1,626)   (1,626)
EUR 600  600,000   5 Year USD SOFR Interest Rate Swap strike @ 1.948 terminating 03/26/30  CITI  Pay  03/24/25   3,382    (2,563)   819 
EUR 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 2.140 terminating 11/05/34  BOA  Pay  11/01/24   265        265 
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.115 terminating 11/06/34  GS  Pay  11/04/24   355        355 
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.366 terminating 11/14/34  MSCI  Pay  11/12/24   397    (110)   287 
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.365 terminating 11/20/34  GS  Pay  11/18/24   414    (172)   242 
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.460 terminating 11/26/34  GS  Pay  11/22/24   463    (331)   132 

  

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)

 

Number of
contracts

  

Call Swaptions

 

Counterparty

 

Pay/
receive
floating
rate

 

Expiration
date

 

Premiums
received

  

Current
value

  

Unrealized
appreciation
(depreciation)

 
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.470 terminating 11/27/34  GS  Pay  11/25/24  $451   $(360)  $91 
Total               $14,526   $(18,160)  $(3,634)

 

      

Put Swaptions

                     
EUR 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 2.410 terminating 11/05/34  BOA  Pay  11/01/24  $264   $(289)  $(25)
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.515 terminating 11/06/34  GS  Pay  11/04/24   355    (2,217)   (1,862)
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.866 terminating 11/14/34  MSCI  Pay  11/12/24   396    (633)   (237)
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.865 terminating 11/20/34  GS  Pay  11/18/24   414    (754)   (340)
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.960 terminating 11/26/34  GS  Pay  11/22/24   464    (565)   (101)
USD 100  100,000   10 Year USD SOFR Interest Rate Swap strike @ 3.970 terminating 11/27/34  GS  Pay  11/25/24   451    (557)   (106)
Total               $2,344   $(5,015)  $(2,671)
Total swaptions written               $16,870   $(23,175)  $(6,305)

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
                   
Index futures buy contracts:
4  EUR Euro Bund 10 Year Index Futures  December 2024  $578,781   $573,462   $(5,319)
18  EUR EURO Schatz 2 Year Index Futures  December 2024   2,087,751    2,085,999    (1,752)
Interest rate futures buy contracts:
12  CAD Canadian Bond 10 Year Futures  December 2024  $1,068,735   $1,051,373   $(17,362)
3  GBP United Kingdom Long Gilt Bond Futures  December 2024   369,954    363,780    (6,174)
U.S. Treasury futures buy contracts:
103  USD U.S. Long Bond Futures  December 2024  $12,855,094   $12,150,781   $(704,313)
315  USD U.S. Treasury Note 10 Year Futures  December 2024   35,873,566    34,797,656    (1,075,910)
110  USD U.S. Treasury Note 2 Year Futures  December 2024   22,888,042    22,653,984    (234,058)
156  USD U.S. Treasury Note 5 Year Futures  December 2024   17,022,257    16,728,563    (293,694)
234  USD Ultra U.S. Treasury Bond Futures  December 2024   31,375,332    29,396,250    (1,979,082)

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
135  USD Ultra U.S. Treasury Note 10 Year Futures  December 2024  $15,981,454   $15,356,250   $(625,204)
Total          $140,100,966   $135,158,098   $(4,942,868)
Index futures sell contracts:
5  EUR EURO BOBL 5 Year Index Future  December 2024  $(646,765)  $(642,588)  $4,177 
U.S. Treasury futures sell contracts:
210  USD U.S. Treasury Note 5 Year Futures  December 2024  $(23,056,892)  $(22,519,219)  $537,673 
44  USD Ultra U.S. Treasury Bond Futures  December 2024   (5,949,556)   (5,527,500)   422,056 
37  USD Ultra U.S. Treasury Note 10 Year Futures  December 2024   (4,382,425)   (4,208,750)   173,675 
Total          $(34,035,638)  $(32,898,057)  $1,137,581 
Net unrealized appreciation (depreciation)              $(3,805,287)

 

OTC credit default swap agreements on credit indices—sell protection17

 

Referenced obligations

 

Implied

credit
spread as of
October 31, 2024*

 

Notional
amount
(000)

 

Maturity
date

 

Payment
frequency

 

Payments
received by
the

Portfolio16

  

Upfront
payments
received
(made)

 

Value

 

Unrealized
appreciation
(depreciation)

 
iTraxx Europe Crossover S40  N/A  EUR 100  12/20/28  Quarterly   (5.000)%  $(13,386) $18,399  $5,013 
iTraxx Europe Crossover S40  N/A  EUR 200  12/20/28  Quarterly   (5.000)   (26,496)  36,812   10,316 
iTraxx Europe Crossover S42  N/A  EUR 200  12/20/29  Quarterly   (5.000)   (42,249)  40,844   (1,405)
Total                   $(82,131) $96,055  $13,924 

 

* Implied credit spreads, represented in absolute terms, used in determining the market value of credit default swap agreements on corporate issues or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular reference entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the reference entity’s credit soundness and greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Centrally cleared credit default swap agreements on corporate issues—sell protection17

 

Referenced obligations 

Implied

credit
spread as of
October 31, 2024*

  Notional
amount
(000)
  Maturity
date
  Payment
frequency
 

Payments
made by
the
Portfolio16

   Upfront
payments
received
(made)
  Value  Unrealized
appreciation
(depreciation)
 
AT&T, Inc., 3.800%, due 06/20/28  N/A  USD 400,000 06/20/28  Quarterly   1.000   $(1,143) $7,467  $8,610 
Boeing Co., 2.600%, due 06/20/26  N/A  USD 100,000  06/20/26  Quarterly   1.000    278   585   307 
Boeing Co., 2.600%, due 12/20/29  N/A  USD 300,000  12/20/29  Quarterly   1.000    (5,669)  (3,193)  2,476 
T-Mobile USA, Inc., 4.750%, due 06/20/28  N/A  USD 200,000  06/20/28  Quarterly   5.000    25,041   32,997   7,956 
Verizon Communications, Inc., 4.125%, due 06/20/28  N/A  USD 400,000  06/20/28  Quarterly   1.000    (771)  7,626   8,397 
Verizon Communications, Inc., 4.125%, due 06/20/28  N/A 

USD

100,000

  12/20/28  Quarterly   1.000    (196)  1,968   2,164 
Total                   $17,540  $47,450  $29,910 

 

* Implied credit spreads, represented in absolute terms, used in determining the market value of credit default swap agreements on corporate issues or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular reference entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the reference entity’s credit soundness and greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
 

Payments
made by
the
portfolio
16

  

Payments
received by
the
portfolio
16

   Value   Unrealized
appreciation
(depreciation)
 
AUD 500  09/20/33  Semi-annual  6 Month AUD Bank Bill Swap   4.500%   $(549)  $6,220 
AUD 300  03/20/34  Semi-annual  6 Month AUD Bank Bill Swap   4.500     (690)   7,178 
AUD 500  09/18/34  Semi-annual  6 mo. AUD Bank Bill Swap   4.500     (1,694)   (3,909)
AUD 300  03/19/35  Semi-annual  6 mo. AUD Bank Bill Swap   4.00     (9,091)   (8,770)
BRL 4,300  01/04/27  At Maturity  1 day BRL CDI   11.548     (13,552)   (13,552)
BRL 1,050  01/04/27  At Maturity  1 day BRL CDI   11.528     (3,396)   (3,396)
CAD 1,100  06/01/32  Semi-annual  3.500%   1 dayCAD CORRA     (25,634)   (17,129)
CAD 300  12/20/33  Semi-annual  3.750    1 dayCAD CORRA     (11,883)   (10,795)
CNY 17,200  12/18/25  Quarterly  7 day CNY Repo Fixing   1.500     (3,812)   (782)
CNY 3,600  12/18/29  Quarterly  1.500    7 dayCNY RepoFixing     6,459    (510)
EUR 200  03/09/33  Annual  6 Month EURIBOR   2.547     4,709    4,709 
EUR 2,200  03/19/35  Annual  6 mo. EURIBOR   2.500     21,758    2,483 
EUR 100  08/13/29  Semi-annual  2.700    6 mo.EURIBOR     (1,339)   (1,339)
EUR 100  08/14/29  Semi-annual  2.650    6 mo.EURIBOR     (1,080)   (1,080)
EUR 100  09/25/29  Semi-annual  2.300    6 mo.EURIBOR     513    513 
EUR 1,000  03/19/55  Semi-annual  2.250    6 mo.EURIBOR     (22,079)   (19,652)
GBP 400  09/18/29  Annual  1 day GBP SONIA   4.000     (1,861)   (8,596)
USD 400  05/31/28  Annual  3.807    1 day USD SOFR     2,754    2,754 
USD 200  06/20/29  Annual  3.750    1 day USD SOFR     1,457    2,910 
USD 800  12/18/29  Annual  3.750    1 day USD SOFR     114    15,147 
USD 100  10/31/30  Annual  3.727    1 day USD SOFR     1,286    1,286 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
 

Payments
made by
the
portfolio
16

  

Payments
received by
the
portfolio
16

   Value   Unrealized
appreciation
(depreciation)
 
USD 100  10/31/30  Annual  3.722%   1 day USD SOFR    $1,316   $1,316 
USD 200  10/31/30  Annual  3.739    1 day USD SOFR     2,424    2,424 
USD 100  10/31/30  Annual  3.732    1 day USD SOFR     1,257    1,257 
USD 675  04/30/31  Annual  3.694    1 day USD SOFR     4,824    4,824 
USD 300  06/30/31  Annual  3.350    1 day USD SOFR     7,162    7,609 
USD 300  07/02/31  Annual  3.300    1 day USD SOFR     8,021    12,283 
USD 100  07/05/31  Annual  3.100    1 day USD SOFR     3,827    4,017 
USD 300  06/15/32  Annual  1.750    1 day USD SOFR     44,097    8,832 
USD 1,200  06/21/33  Annual  3.000    1 day USD SOFR     77,864    59,067 
USD 1,690  08/15/33  Annual  3.687    1 day USD SOFR     16,161    16,161 
USD 700  08/15/33  Annual  3.734    1 day USD SOFR     4,180    4,180 
USD 300  08/15/33  Annual  3.763    1 day USD SOFR     1,129    1,129 
USD 200  08/15/33  Annual  3.753    1 day USD SOFR     908    908 
USD 700  08/15/33  Annual  3.717    1 day USD SOFR     5,107    5,107 
USD 300  08/15/33  Annual  3.745    1 day USD SOFR     1,543    1,543 
USD 300  08/15/33  Annual  3.754    1 day USD SOFR     1,334    1,334 
USD 100  11/22/33  Annual  4.250    1 day USD SOFR     (2,651)   (2,651)
USD 100  12/19/33  Annual  3.950    1 day USD SOFR     (177)   (177)
USD 600  12/20/33  Annual  3.500    1 day USD SOFR     22,047    19,212 
USD 100  01/08/34  Annual  3.648    1 day USD SOFR     2,332    2,332 
USD 100  01/08/34  Annual  3.670    1 day USD SOFR     2,139    2,139 
USD 100  01/09/34  Annual  3.594    1 day USD SOFR     2,784    2,784 
USD 100  08/05/34  Annual  3.850    1 day USD SOFR     (256)   (256)
USD 100  08/06/34  Annual  3.795    1 day USD SOFR     200    200 
USD 100  08/07/34  Annual  3.645    1 day USD SOFR     1,450    1,450 
USD 100  08/07/34  Annual  3.715    1 day USD SOFR     864    864 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
 

Payments
made by
the
portfolio
16

  

Payments
received by
the
portfolio
16

   Value   Unrealized
appreciation
(depreciation)
 
USD 100  08/13/34  Annual  3.679%   1 day USD SOFR    $1,139   $1,139 
USD 100  08/19/34  Annual  3.595    1 day USD SOFR     1,815    1,815 
USD 100  08/21/34  Annual  3.558    1 day USD SOFR     2,114    2,114 
USD 100  08/22/34  Annual  3.613    1 day USD SOFR     1,650    1,650 
USD 100  08/28/34  Annual  3.565    1 day USD SOFR     2,024    2,024 
USD 100  08/28/34  Annual  3.599    1 day USD SOFR     1,741    1,741 
USD 100  08/28/34  Annual  3.611    1 day USD SOFR     1,641    1,641 
USD 100  08/28/34  Annual  3.643    1 day USD SOFR     1,374    1,374 
USD 300  02/18/35  Annual  4.095    1 day USD SOFR     (8,412)   (8,412)
USD 1,800  06/20/54  Annual  3.500    1 day USD SOFR     62,513    17,802 
USD 200  12/18/54  Annual  3.500    1 day USD SOFR     5,069    341 
USD 1,600  05/31/25  At Maturity  5.160    1 day USD SOFR     (5,914)   (5,879)
USD 800  12/18/25  At Maturity  3.500    1 day USD SOFR     4,324    4,009 
Total                $223,354   $132,937 

 

OTC credit default swap agreements on corporate issues—sell protection17

 

Counterparty  Referenced
obligations
  Notional
amount
(000)
  Maturity
date
  Payment
frequency
 

Payments
made by
the

Portfolio16

   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
JPMCB  Banco do Brasil SA, 4.625%, due 12/20/24  USD 100  12/20/24  Quarterly   (1.000)  $(165)  $197   $362 

 

Forward foreign currency contracts

 

Counterparty

 

Sell

  

Purchase

  

Settlement
date

 

Unrealized
appreciation
(depreciation)

 
BB  USD 17,867   TRY 673,684   01/06/25  $599 
BB  USD 27,352   TRY 1,031,141   01/09/25   815 
BB  USD 27,798   TRY 1,046,588   01/23/25   339 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty

 

Sell

  

Purchase

  

Settlement
date

 

Unrealized
appreciation
(depreciation)

 
BB  USD 62,219   TRY 2,350,058   01/27/25  $678 
BB  USD 157,058   CNH 1,121,159   02/18/25   1,474 
BB  EUR 3,100,000   USD 3,465,508   11/04/24   93,483 
BB  USD 217,549   AUD 316,000   11/04/24   (9,590)
BB  USD 96,693   TRY 3,600,946   11/19/24   6,865 
BB  USD 92,991   TRY 3,502,597   11/25/24   7,065 
BB  USD 28,768   TRY 1,083,604   11/26/24   2,152 
BB  USD 55,849   TRY 2,081,326   11/29/24   3,343 
BB  USD 12,133   TRY 455,182   12/13/24   630 
BNP  BRL 569,303   USD 101,273   01/03/25   3,449 
BNP  TWD 498,308   USD 15,694   01/22/25   27 
BNP  CAD 362,000   USD 267,936   11/04/24   7,917 
BNP  USD 215,073   EUR 199,000   11/04/24   1,389 
BNP  USD 1,205,459   GBP 928,000   11/04/24   (8,849)
BNP  USD 19,893   JPY 3,034,577   11/05/24   79 
BNP  TWD 451,180   USD 14,218   11/18/24   118 
BNP  TWD 460,410   USD 14,360   11/18/24   (29)
BNP  USD 15,694   TWD 502,554   11/18/24   12 
BNP  USD 34,000   TWD 1,062,311   11/18/24   (800)
BNP  CNH 398,794   USD 56,103   11/20/24   43 
BNP  USD 451,212   CNH 3,198,000   11/20/24   (1,659)
BNP  GBP 928,000   USD 1,205,412   12/03/24   8,852 
BNP  JPY 3,023,622   USD 19,893   12/03/24   (79)
BNP  CNH 9,320,115   USD 1,295,000   12/10/24   (16,850)
BNP  USD 285,560   CNH 2,047,894   12/10/24   2,691 
BNP  USD 41,389   MXN 834,034   12/11/24   28 
BNP  USD 56,103   CNH 398,031   12/18/24   (49)
BNP  USD 184   MXN 3,595   12/18/24   (6)
BOA  CNH 1,121,746   USD 157,058   02/18/25   (1,557)
BOA  USD 84,413   EUR 76,000   11/04/24   (1,744)
BOA  USD 212,785   GBP 164,000   11/04/24   (1,315)
BOA  JPY 8,200,000   USD 57,309   11/05/24   3,340 
BOA  CNH 397,159   USD 55,769   11/20/24   (61)
BOA  USD 55,769   CNH 396,406   12/18/24   57 
CITI  EUR 3,652,011   USD 4,076,079   01/16/25   90,956 
CITI  GBP 450,000   USD 602,764   01/16/25   22,623 
CITI  JPY 384,930   USD 2,725   01/16/25   167 
CITI  USD 233,810   JPY 33,000,000   01/16/25   (14,508)
CITI  USD 844,476   MXN 16,941,377   01/16/25   (8,145)
CITI  TWD 742,535   USD 23,413   01/22/25   67 
CITI  USD 325,754   BRL 1,882,860   02/04/25   (3,758)
CITI  BRL 1,861,360   USD 325,754   11/04/24   3,770 
CITI  USD 331,472   BRL 1,861,360   11/04/24   (9,487)
CITI  TWD 2,781,350   USD 87,604   11/18/24   682 
CITI  TWD 945,361   USD 29,436   11/18/24   (109)
CITI  USD 15,474   TWD 495,810   11/18/24   21 
CITI  USD 7,939   TWD 252,937   11/18/24   (34)
CITI  CNH 404,565   USD 56,773   11/20/24   (98)
CITI  USD 750,000   CNH 5,399,540   12/10/24   10,011 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty

 

Sell

 

Purchase

  

Settlement
date

 

Unrealized
appreciation
(depreciation)

 
CITI  USD 56,773   CNH 403,791   12/18/24  $93 
DB  USD 112,055   MXN 2,267,039   02/13/25   (639)
GS  USD 50,474   MXN 1,027,646   02/11/25   46 
GS  BRL 800,000   USD 143,432   04/02/25   7,817 
GS  USD 11,266   JPY 1,723,022   11/05/24   74 
GS  TWD 493,669   USD 15,682   11/18/24   254 
GS  USD 49,000   TWD 1,533,689   11/18/24   (1,068)
GS  MYR 102,998   USD 24,065   11/20/24   524 
GS  JPY 1,716,791   USD 11,266   12/03/24   (74)
GSI  HUF 1,062,600   USD 2,949   01/16/25   128 
GSI  JPY 29,827,067   USD 211,750   01/16/25   13,535 
GSI  USD 2,969   HUF 1,062,600   01/16/25   (148)
GSI  USD 214,515   JPY 30,501,775   01/16/25   (11,815)
GSI  USD 218,554   MXN 4,390,000   01/16/25   (1,836)
GSI  USD 165,000   BRL 907,632   11/08/24   (8,094)
HSBC  AUD 362,000   USD 241,012   11/04/24   2,780 
HSBC  EUR 50,000   USD 54,317   11/04/24   (71)
HSBC  GBP 928,000   USD 1,241,150   11/04/24   44,540 
HSBC  USD 495,808   EUR 459,000   11/04/24   3,469 
HSBC  TWD 477,967   USD 14,980   11/18/24   42 
HSBC  TWD 279,302   USD 8,660   11/18/24   (69)
HSBC  CNH 54,000   USD 7,578   11/20/24   (13)
HSBC  AUD 46,000   USD 30,205   12/03/24   (77)
JPMCB  USD 24,414   TRY 1,087,400   05/06/25   2,045 
JPMCB  USD 25,024   TRY 1,112,198   05/08/25   1,987 
JPMCB  USD 2,830,476   EUR 2,615,000   11/04/24   13,990 
JPMCB  USD 25,893   TRY 958,679   11/06/24   2,038 
JPMCB  USD 24,414   TRY 905,027   11/07/24   1,931 
JPMCB  USD 43,955   TRY 1,734,634   11/08/24   6,497 
JPMCB  TWD 463,574   USD 14,266   11/18/24   (222)
JPMCB  USD 45,459   TRY 1,704,053   11/21/24   3,438 
JPMCB  USD 30,172   TRY 1,134,467   11/26/24   2,199 
JPMCB  EUR 2,615,000   USD 2,833,868   12/03/24   (13,957)
JPMCB  USD 21,563   TRY 812,891   12/04/24   1,427 
JPMCB  CNH 2,048,865   USD 285,560   12/10/24   (2,827)
JPMCB  USD 34,175   TRY 1,289,937   12/11/24   2,063 
JPMCB  USD 24,620   TRY 923,264   12/17/24   1,169 
JPMCB  USD 36,098   TRY 1,360,339   12/19/24   1,828 
Net unrealized appreciation (depreciation)             $268,019 

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

  

Other significant
observable inputs
(Level 2)

  

Unobservable
inputs
(Level 3)

  

Total

 
Assets                
Common stocks  $3,108,490   $   $   $3,108,490 
Preferred stocks   2,498,200            2,498,200 
Exchange traded funds   1,532,543            1,532,543 
Asset-backed securities       71,446,083        71,446,083 
Corporate bonds       197,641,322        197,641,322 
Loan assignments       32,752,493    2,397,000    35,149,493 
Mortgage-backed securities       46,730,988        46,730,988 
Municipal bonds       1,855,257        1,855,257 
Non-U.S. government agency obligations       3,519,578        3,519,578 
U.S. government agency obligations       37,504,106    2,015    37,506,121 
U.S. Treasury obligations       49,190,085        49,190,085 
Short-term investments                    
Investment companies       10,554,906        10,554,906 
Short-term U.S. treasury obligations       2,710,123        2,710,123 
Options purchased       877        877 
Investment of cash collateral from securities loaned       12,545,493        12,545,493 
Swaptions Purchased       16,325        16,325 
Futures contracts   1,137,581            1,137,581 
Swap agreements       484,319        484,319 
Forward foreign currency contracts       387,656        387,656 
Total  $8,276,814   $467,339,611   $2,399,015   $478,015,440 
                     
Liabilities                    
Investments sold short                    
U.S. government agency obligations  $   $(679,750)  $   $(679,750)
Options written   (1,250)   (111)       (1,361)
Swaptions written       (23,175)       (23,175)
Futures contracts   (4,942,868)           (4,942,868)
Swap agreements       (117,263)       (117,263)
Forward foreign currency contracts       (119,637)       (119,637)
Total  $(4,944,118)  $(939,936)  $   $(5,884,054)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

 

 

PACE Strategic Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.
* Non–income producing security.
1 In U.S. dollars unless otherwise indicated.
2 Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
3 Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $176,118,409, represented 40.5% of the Portfolios net assets at period end.
4 Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
5 Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
6 Security, or portion thereof, was on loan at the period end.
7 Perpetual investment. Date shown reflects the next call date.
8 Bond interest in default.
9 Position is unsettled. Contract rate was not determined at October 31, 2024 and does not take effect until settlement.
10 Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
11 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
12 Zero coupon bond.
13 Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
14 Rates shown reflect yield at October 31, 2024.
15 Includes $17,158,376 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $12,545,493 and non-cash collateral of $5,028,038.
16 Payments made or received are based on the notional amount.
17 If the Portfolio is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced obligation or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced obligation.

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—98.7%
Alabama: 3.7%
County of Jefferson AL Sewer Revenue, Refunding, Revenue Bonds,        
5.000%, due 10/01/32  $1,000,000   $1,095,365 
5.000%, due 10/01/39   1,000,000    1,078,932 
County of Jefferson AL Sewer Revenue, Revenue Bonds,          
5.000%, due 10/01/38   1,000,000    1,082,623 
5.250%, due 10/01/40   750,000    819,334 
Lower Alabama Gas District, Gas Project, Revenue Bonds,          
4.000%, due 12/01/501   2,500,000    2,508,986 
         6,585,240 
Arizona: 3.2%          
Arizona Industrial Development Authority, Equitable School Revolving Fund LLC Obligated Group, Revenue Bonds,          
Series A,          
4.000%, due 11/01/35   2,000,000    2,019,695 
Arizona Industrial Development Authority, Revenue Bonds,        
Series 2019-2,Class A          
3.625%, due 05/20/33   908,013    862,142 
Chandler Industrial Development Authority, Intel Corp., Revenue Bonds,        
4.000%, due 06/01/491   750,000    750,167 
City of Phoenix Civic Improvement Corp., City of Phoenix AZ Airport, Revenue Bonds, AMT,        
Series B,        
5.000%, due 07/01/30  1,000,000   1,058,156 
Salt Verde Financial Corp., Revenue Bonds,          
5.000%, due 12/01/32   1,000,000    1,074,959 
         5,765,119 
Arkansas: 0.8%          
City of Fort Smith AR Water & Sewer, Refunding, Revenue Bonds,          
5.000%, due 10/01/34   1,320,000    1,393,495 
           
California: 1.4%          
California Housing Finance Agency, Revenue Bonds,           
Series 2021-1,Class A          
3.500%, due 11/20/35   1,418,118    1,359,728 
San Francisco City & County Airport Comm-San Francisco International Airport, Refunding, Revenue Bonds,          
Series A- SAN FRANCIS, 5.000%, due 05/01/39   1,000,000    1,073,396 
         2,433,124 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Colorado: 0.1%
Colorado Heakth Facilities Authority, AdventHealth Obligated Group, Refunding, Revenue Bonds,          
Series B,          
5.000%, due 11/15/491  $140,000   $145,742 
           
Connecticut: 1.5%          
State of Connecticut Special Tax, Revenue Bonds,          
Series A,          
4.000%, due 05/01/36   1,000,000    1,020,117 
Series A,          
4.000%, due 05/01/39   1,650,000    1,666,805 
         2,686,922 
District of Columbia: 0.9%          
District of Columbia, Income Tax Revenue, Revenue Bonds,          
Series A,          
5.000%, due 07/01/41   1,500,000    1,638,058 
           
Florida: 3.6%          
Central Florida Expressway Authority Senior Lien, Revenue Bonds, (AGM),          
Series D,          
5.000%, due 07/01/35   1,500,000    1,658,232 
City of Jacksonville FL, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 10/01/39   750,000    831,262 
County of Miami-Dade FL Water & Sewer System, Revenue Bonds,          
Series B,          
5.000%, due 10/01/40  1,250,000   1,387,957 
County of Polk FL Utility System, Refunding, Revenue Bonds,          
5.000%, due 10/01/35   625,000    685,077 
JEA Electric System, Refunding, Revenue Bonds,          
Series 3A,          
5.000%, due 10/01/34   1,630,000    1,770,367 
         6,332,895 
Georgia: 3.6%          
Fulton County Development Authority of Georgia, WellStar Health System, Revenue Bonds,          
Series A,          
5.000%, due 04/01/36   1,000,000    1,029,228 
Georgia Ports Authority, Revenue Bonds,          
5.000%, due 07/01/41   1,500,000    1,639,480 
Main Street Natural Gas, Inc., Revenue Bonds,          
Series A,          
5.500%, due 09/15/28   1,500,000    1,596,598 
Series C,          
5.000%, due 09/01/531   1,000,000    1,063,620 

 

 

 

  

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Georgia—(continued)
Municipal Electric Authority of Georgia, Plant Vogtle Unis 3&4 Project, Revenue Bonds,        
Series A,        
5.000%, due 01/01/33  $1,000,000   $1,048,836 
         6,377,762 
Hawaii: 0.6%          
Hawaii Airports System, Revenue Bonds, AMT,          
Series A,          
5.000%, due 07/01/29   1,000,000    1,048,325 
           
Illinois: 8.7%          
Chicago Midway International Airport, Revenue Bonds,          
Series C,           
5.000%, due 01/01/34   1,500,000    1,611,505 
Chicago O'Hare International Airport Senior Lien, Refunding, Revenue Bonds,          
Series B,          
5.000%, due 01/01/35   1,000,000    1,010,929 
City of Chicago IL Wastewater Transmission Revenue, Refunding, Revenue Bonds, (BAM),          
Series A,          
5.000%, due 01/01/38   1,700,000    1,908,667 
City of Chicago IL, GO Bonds,          
Series A,          
5.000%, due 01/01/44   500,000    512,577 
City of Chicago IL, Refunding, GO Bonds,          
Series A,          
4.000%, due 01/01/35  1,250,000   1,241,459 
Illinois County of Cook Sales Tax, Refunding, Revenue Bonds,          
5.000%, due 11/15/35   2,500,000    2,610,003 
Illinois Finance Authority, University of Chicago, Refunded, Revenue Bonds,          
Series A,          
5.250%, due 04/01/43   900,000    1,002,076 
Illinois Municipal Electric Agency, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 02/01/32   2,500,000    2,523,058 
Regional Transportation Authority, Revenue Bonds, (NATL),          
6.500%, due 07/01/30   1,000,000    1,128,974 
Sales Tax Securitization Corp. Second Lien, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/36   1,770,000    1,892,317 
         15,441,565 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Indiana: 5.8%
Indiana Finance Authority First Lien, CWA Authority, Inc., Refunding, Revenue Bonds,          
Series 1,          
4.000%, due 10/01/36  $2,020,000   $2,056,830 
Indiana Finance Authority, Indiana University Health Inc Obligated Group, Revenue Bonds,          
Series B,          
2.250%, due 12/01/581   5,250,000    5,186,716 
Indiana Finance Authority, Marion County Capital Improvement Board, Refunding, Revenue Bonds,          
Series A,          
5.250%, due 02/01/35   1,000,000    1,009,424 
Richmond Hospital Authority, Reid Hospital & Health Care Services, Inc., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/30   2,055,000    2,058,063 
         10,311,033 
Iowa: 0.3%          
Iowa Tobacco Settlement Authority, Refunding, Revenue Bonds,          
Series A-2,Class 1          
5.000%, due 06/01/33   500,000    538,714 
           
Kentucky: 1.8%          
Kentucky Public Energy Authority, Revenue Bonds,          
Series A,          
4.000%, due 12/01/501  1,000,000   1,004,605 
Series A-1,          
5.250%, due 04/01/541   2,000,000    2,171,906 
         3,176,511 
Louisiana: 2.5%          
Jefferson Sales Tax District, Revenue Bonds, (AGM),          
Series B,          
4.000%, due 12/01/32   1,895,000    1,943,732 
New Orleans Aviation Board, Louis Armstrong New Orleans International Airport, Revenue Bonds, AMT, (AGM),          
Series B,          
5.000%, due 01/01/28   1,500,000    1,503,277 
Parish of St John the Baptist LA, Marathon Oil Corp, Refunding, Revenue Bonds,          
Series A-3,          
2.200%, due 06/01/371   1,000,000    977,156 
         4,424,165 
Massachusetts: 1.2%          
Commonwealth of Massachusetts, GO Bonds,          
Series D,          
4.000%, due 05/01/34   2,000,000    2,038,021 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited) 

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Michigan: 2.5%
Detroit Downtown Development Authority, Catalyst Development Area, Refunding, Tax Allocation Bonds,          
5.000%, due 07/01/38  $1,000,000   $1,093,067 
Michigan State Strategic Fund Improvement Project, State of Michigan Department of Transportation, Revenue Bonds, AMT,          
Series P3,          
5.000%, due 06/30/32   3,300,000    3,414,925 
         4,507,992 
Missouri: 1.1%          
Missouri State Health & Educational Facilities Authority, Coxhealth, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 11/15/34   2,000,000    2,018,690 
           
Nebraska: 0.8%          
Nebraska Public Power District, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/31   1,300,000    1,376,671 
           
Nevada: 0.3%          
City of Reno Reno First Lien, County of Washoe NV Sales Tax Revenue, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 06/01/33   500,000    527,294 
           
New Jersey: 4.1%          
New Jersey Health Care Facilities Financing Authority, Valley Health System, Revenue Bonds,          
5.000%, due 07/01/33  1,000,000   1,068,437 
Tobacco Settlement Financing Corp., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 06/01/34   6,000,000    6,259,885 
         7,328,322 
New Mexico: 1.2%          
New Mexico Educational Assistance Foundation, Refunding, Revenue Bonds,          
Series 1A,          
5.000%, due 09/01/28   2,000,000    2,093,449 
           
New York: 7.8%          
City Of New York NY, GO Bonds,          
Series B, Subseries B-1,          
5.250%, due 10/01/41   1,180,000    1,305,463 
City of New York, Refunding, GO Bonds,          
Series A-1,          
5.000%, due 08/01/32   1,270,000    1,396,518 
New York State Dormitory Authority, Personal Income Tax, Refunding, Revenue Bonds,          
Series E,          
4.000%, due 03/15/42   2,860,000    2,819,502 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
New York—(continued)          
New York State Urban Development Corp., Personal Income Tax, Revenue Bonds,          
Series A,          
4.000%, due 03/15/39  $2,190,000   $2,208,357 
New York Transportation Development Corp., JFK International Air Terminal LLC, Revenue Bonds, AMT,          
5.000%, due 12/01/35   2,000,000    2,112,467 
5.000%, due 12/01/36   1,000,000    1,053,004 
New York Transportation Development Corp., JFK NTO LLC, Revenue Bonds, (AGM),          
4.250%, due 06/30/42   1,000,000    976,481 
New York Transportation Development Corp., Laguardia Gateway Partners LLC, Revenue Bonds, AMT,          
Series A-P3,          
5.000%, due 07/01/34   1,000,000    1,001,198 
TSASC, Inc., Refunding, Revenue Bonds,          
Series A,          
5.000%, due 06/01/34   1,000,000    1,031,157 
         13,904,147 
North Carolina: 0.9%          
Charlotte NC Airport Revenue, Revenue Bonds,          
Series B,          
5.000%, due 07/01/36   1,540,000    1,640,716 
           
North Dakota: 0.8%          
North Dakota Housing Finance Agency, Revenue Bonds,          
Series C,          
5.000%, due 07/01/42  1,330,000   1,406,474 
           
Ohio: 3.0%          
Ohio Water Development Authority Water Pollution Control Loan Fund, Revenue Bonds,          
Series A,          
5.000%, due 12/01/41   1,500,000    1,676,196 
Ohio Water Development Authority, Revenue Bonds,          
Series A,          
5.000%, due 12/01/39   1,500,000    1,684,403 
State of Ohio, Cleveland Clinic Health System Obligated Group, Revenue Bonds,          
Series C,          
2.750%, due 01/01/521   1,980,000    1,938,906 
         5,299,505 
Oklahoma: 0.4%          
Oklahoma Municipal Power Authority, Power Supply System, Revenue Bonds, (AGM),          
Series A,          
4.000%, due 01/01/33   650,000    667,028 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Pennsylvania: 9.5%
Allegheny County Hospital Development Authority, Allegheny Health Network Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 04/01/29  $3,190,000   $3,354,137 
Commonwealth Financing Authority, Tobacco Master Settlement Payment, Revenue Bonds,          
5.000%, due 06/01/31   1,500,000    1,587,863 
Pennsylvania Economic Development Financing Authority, The Penndot Major Bridges, Revenue Bonds,          
5.000%, due 06/30/34   2,200,000    2,337,745 
Pennsylvania Housing Finance Agency, Refunding, Revenue Bonds,          
Series 134B,          
5.000%, due 10/01/27   1,250,000    1,288,811 
Philadelphia Airport PA, Refunding, Revenue Bonds, AMT,          
Series B,          
5.000%, due 07/01/32   1,250,000    1,286,260 
Philadelphia Authority for Industrial Development, Revenue Bonds,          
5.000%, due 05/01/38   2,300,000    2,548,207 
Philadelphia School District Prerefunded, GO Bonds, (State Aid Withholding),          
Series F,          
5.000%, due 09/01/30  10,000   10,378 
Philadelphia School District, GO Bonds, (State Aid Withholding),          
Series A,          
4.000%, due 09/01/35   1,500,000    1,514,646 
Series A,          
5.000%, due 09/01/31   1,000,000    1,049,921 
Southeastern Pennsylvania Transportation Authority,Revenue Bonds,          
5.250%, due 06/01/40   1,750,000    1,941,596 
         16,919,564 
Rhode Island: 1.9%          
Rhode Island Health and Educational Building Corp., State of Rhode Island, Revenue Bonds, (Short-Term Appropriation),          
4.000%, due 05/15/42   2,300,000    2,244,427 
Rhode Island Student Loan Authority, Student Loan, Revenue Bonds, AMT,          
Series A-SENIOR BONDS,          
5.000%, due 12/01/30   1,125,000    1,188,332 
         3,432,759 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

  

   Face    
   amount   Value 
Municipal bonds—(continued)
South Carolina: 0.9%          
Piedmont Municipal Power Agency, Catawba Project Power Sales, Refunding, Revenue Bonds,          
Series B,          
4.000%, due 01/01/34  $1,500,000   $1,507,870 
           
Tennessee: 4.0%          
Metropolitan Government Nashville & Davidson County Health & Educational Facilities Board, Lipscomb University, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 10/01/35   1,350,000    1,399,848 
Metropolitan Government of Nashville & Davidson County TN, GO Bonds,          
4.000%, due 07/01/33   1,500,000    1,525,702 
Series C,          
4.000%, due 01/01/32   3,000,000    3,146,209 
Tennessee Energy Acquisition Corp., Revenue Bonds,          
Series A,          
5.250%, due 09/01/26   1,000,000    1,021,670 
         7,093,429 
Texas: 11.1%          
Board of Regents of the University of Texas System, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 08/15/37   1,000,000    1,137,720 
Brazos Higher Education Authority, Inc., Student Loan Program, Revenue Bonds, AMT,          
Series 1A,          
5.000%, due 04/01/30  1,000,000   1,053,806 
Central Texas Turnpike System, Refunding, Revenue Bonds,          
Series C,          
5.000%, due 08/15/37   2,500,000    2,767,029 
City of El Paso TX, GO Bonds,          
5.000%, due 08/15/34   2,000,000    2,043,524 
Dayton Independent School District, GO Bonds, (PSF-GTD),          
4.000%, due 02/15/40   1,400,000    1,387,711 
Garland Independent School District, GO Bonds, (PSF-GTD),          
Series A,          
5.000%, due 02/15/42   2,000,000    2,182,009 
Harris County Cultural Education Facilities Finance Corp., Texas Children's Hospital, Refunding, Revenue Bonds,          
Series A,          
4.000%, due 10/01/35   1,750,000    1,746,622 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Texas—(continued)
Harris County-Houston Sports Authority Senior Lien, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 11/15/29  $1,000,000   $1,001,005 
Katy Independent School District, CIB, Refunding, GO Bonds, (PSF-GTD),          
Series A,          
3.000%, due 02/15/32   2,375,000    2,270,273 
Midland Independent School District, GO Bonds, (PSF-GTD),          
5.000%, due 02/15/37   1,680,000    1,869,247 
Plano Independent School District, GO Bonds,          
5.000%, due 02/15/43   1,000,000    1,077,313 
Texas Municipal Gas Acquisition & Supply Corp. IV, Revenue Bonds,          
Series B,          
5.500%, due 01/01/541   1,000,000    1,119,036 
         19,655,295 
Virginia: 1.4%          
Virginia Small Business Financing Authority, Capital Beltway Express LLC, Refunding, Revenue Bonds,          
5.000%, due 12/31/42   1,000,000    1,046,860 
Winchester Economic Development Authority, Valley Health Obligated Group, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 01/01/39  1,350,000   1,486,784 
         2,533,644 
Washington: 3.9%          
Energy Northwest, Bonneville Power Administration, Refunding, Revenue Bonds,          
Series A,          
5.000%, due 07/01/35   1,250,000    1,399,147 
Grant County Public Utility District No. 2 Electric Revenue, Refunding, Revenue Bonds,          
Series R,          
2.000%, due 01/01/441   1,000,000    982,592 
Port of Seattle, Revenue Bonds, AMT,          
Series C,          
5.000%, due 04/01/32   1,000,000    1,000,474 
State of Washington, GO Bonds,          
Series B,          
5.000%, due 02/01/43   1,000,000    1,087,953 
State of Washington, Refunding, GO Bonds,          
Series R-2022-C,          
4.000%, due 07/01/36   1,500,000    1,542,738 

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face    
   amount   Value 
Municipal bonds—(continued)
Washington—(continued)
Washington State Housing Finance Commission, Revenue Bonds,          
Series A-1,          
3.500%, due 12/20/35  $948,674   $892,530 
         6,905,434 
Wisconsin: 3.4%          
City of Milwaukee WI , GO Bonds, (AGM),          
Series B4,          
5.000%, due 04/01/35   2,000,000    2,218,637 
Public Finance Authority KU, Campus Development Corp. project, University of Kansas, Revenue Bonds,          
5.000%, due 03/01/34   1,500,000    1,527,746 
Public Finance Authority, Duke Energy Progress LLC, Refunding, Revenue Bonds,          
Series A-2,          
3.700%, due 10/01/461   2,330,000    2,309,805 
         6,056,188 
Total municipal bonds
(cost—$179,770,540)
        175,211,162 

 

   Number of
shares
      
Short-term investments—0.2%          
Investment companies: 0.2%          
State Street Institutional U.S. Government Money Market Fund, 4.824%2
(cost $393,982)
   393,982   $393,982 

Total investments
(cost—$180,164,522)—98.9%

      175,605,144 
Other assets in excess of liabilities—1.1%        2,023,423 
Net assets—100.0%       $177,628,567 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE Municipal Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description 

 

Unadjusted 

quoted prices in 

active market for 

identical investments 

(Level 1) 

  

Other significant 

observable inputs 

(Level 2)

  

Unobservable 

inputs 

(Level 3) 

  

Total 

 
Assets                                          
Municipal bonds  $   $175,211,162   $   $175,211,162 
Short-term investments       393,982        393,982 
Total  $   $175,605,144   $   $175,605,144 

  

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

 

Portfolio footnotes

  

1Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
2Rates shown reflect yield at October 31, 2024.

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face        
    amount1    Value 
Asset-backed securities: 1.1%
United States: 1.1%       
Credit Acceptance Auto Loan Trust,       
Series 2024-1A, Class A,            
5.680%, due 03/15/342     571,000   $576,987 
GM Financial Automobile Leasing Trust,            
Series 2024-1, Class A3,            
5.090%, due 03/22/27     438,000    440,525 
Merchants Fleet Funding LLC,            
Series 2024-1A, Class A,            
5.820%, due 04/20/372     408,000    411,931 
Tesla Auto Lease Trust,            
Series 2024-A, Class A3,            
5.300%, due 06/21/272     219,000    220,210 
Toyota Lease Owner Trust,            
Series 2024-A, Class A3,            
5.250%, due 04/20/272     331,000    333,685 
Total asset-backed securities
(cost—$1,966,815)
          1,983,338 
             
Corporate bonds: 38.5%
Australia: 2.1%
Glencore Funding LLC            
5.634%, due 04/04/342     461,000    468,138 
6.375%, due 10/06/302     87,000    92,422 
Santos Finance Ltd.            
6.875%, due 09/19/332     152,000    163,198 
Westpac Banking Corp.            
1.079%, due 04/05/273    EUR 2,950,000    3,087,785 
           3,811,543 
Belgium: 0.3%
KBC Group NV            
(fixed, converts to FRN on 03/05/29),            
8.000%, due 09/05/283,4,5    EUR 200,000    235,507 
(fixed, converts to FRN on 10/16/29),            
4.932%, due 10/16/302,4     225,000    222,574 
           458,081 
Brazil: 0.2%
Braskem Netherlands Finance BV            
4.500%, due 01/31/302,6     429,000    372,265 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face      
    amount1    Value 
Corporate bonds—(continued)
Canada: 4.8%
Bank of Montreal          
0.125%, due 01/26/273    EUR 3,100,000   $3,188,384 
Emera, Inc.            
Series 16-A, (fixed, converts to FRN on 06/15/26),            
6.750%, due 06/15/764     95,000    95,117 
Enbridge, Inc.            
5.300%, due 04/05/29     260,000    263,810 
(fixed, converts to FRN on 01/15/28),            
7.375%, due 01/15/834     530,000    540,388 
Series 2017-A,(fixed, converts to FRN on 07/15/27),            
5.500%, due 07/15/774     190,000    184,309 
Toronto-Dominion Bank            
0.864%, due 03/24/273    EUR 2,950,000    3,074,732 
3.666%, due 09/08/313    EUR 700,000    798,899 
(fixed, converts to FRN on 10/31/27),            
8.125%, due 10/31/824     275,000    289,755 
Transcanada Trust            
(fixed, converts to FRN on 09/15/29),            
5.500%, due 09/15/794     160,000    153,701 
           8,589,095 
Denmark: 0.6%
Danske Bank AS            
(fixed, converts to FRN on 03/01/29),            
5.705%, due 03/01/302,4     230,000    234,671 
(fixed, converts to FRN on 06/21/29),            
4.750%, due 06/21/303,4    EUR 350,000    402,519 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face      
    amount1    Value 
Corporate bonds—(continued)
Denmark—(continued)
(fixed, converts to FRN on 09/11/25),            
1.621%, due 09/11/262,4     460,000   $446,047 
           1,083,237 
France: 2.7%
Alstom SA            
(fixed, converts to FRN on 08/29/29),            
5.868%, due 05/29/293,4,5    EUR 100,000    113,047 
BNP Paribas SA            
(fixed, converts to FRN on 08/16/29),            
7.750%, due 08/16/292,4,5     425,000    440,145 
BPCE SA            
0.500%, due 02/24/273    EUR 100,000    102,493 
4.375%, due 07/13/283    EUR 600,000    674,715 
(fixed, converts to FRN on 01/18/26),            
5.975%, due 01/18/272,4,6     370,000    373,494 
(fixed, converts to FRN on 10/19/28),            
6.714%, due 10/19/292,4     830,000    872,824 
(fixed, converts to FRN on 10/19/33),            
7.003%, due 10/19/342,4     250,000    272,709 
Credit Agricole SA            
(fixed, converts to FRN on 09/11/27),            
4.631%, due 09/11/282,4     250,000    247,996 
(fixed, converts to FRN on 10/03/28),            
6.316%, due 10/03/292,4,6     355,000    371,215 
Electricite de France SA            
6.900%, due 05/23/532,6     200,000    222,139 
(fixed, converts to FRN on 06/01/28),            
2.625%, due 12/01/273,4,5    EUR 400,000    408,472 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face      
    amount1    Value 
Corporate bonds—(continued)
France—(continued)
(fixed, converts to FRN on 09/15/30),            
3.375%, due 06/15/303,4,5    EUR 200,000   $200,603 
Engie SA            
(fixed, converts to FRN on 06/14/30),            
4.750%, due 03/14/303,4,5    EUR 200,000    223,728 
TotalEnergies Capital SA            
5.275%, due 09/10/546     100,000   95,964 
TotalEnergies SE            
(fixed, converts to FRN on 09/04/30),            
2.000%, due 06/04/303,4,5    EUR 250,000    242,704 
           4,862,248 
Germany: 1.2%
Commerzbank AG            
(fixed, converts to FRN on 04/09/32),            
7.875%, due 10/09/313,4,5    EUR 200,000    235,226 
(fixed, converts to FRN on 12/05/25),            
4.000%, due 12/05/303,4    EUR 800,000    871,853 
Deutsche Bank AG            
(fixed, converts to FRN on 11/20/28),            
6.819%, due 11/20/294     185,000    195,010 
RWE Finance U.S. LLC            
5.875%, due 04/16/342     150,000    152,516 
Volkswagen Leasing GmbH            
0.625%, due 07/19/293    EUR 200,000    189,347 
Vonovia SE            
0.625%, due 12/14/293    EUR 400,000    378,928 
5.000%, due 11/23/303    EUR 100,000    117,032 
           2,139,912 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face      
    amount1    Value 
Corporate bonds—(continued)
Hong Kong: 0.1%
Melco Resorts Finance Ltd.            
5.250%, due 04/26/262     200,000   $195,746 
             
India: 0.2%
Muthoot Finance Ltd.            
7.125%, due 02/14/282     340,000    345,610 
             
Indonesia: 0.1%
Perusahaan Perseroan Persero PT Perusahaan Listrik Negara            
5.450%, due 05/21/283     202,000    204,714 
             
Ireland: 2.2%
AerCap Ireland Capital DAC/AerCap Global Aviation Trust            
3.300%, due 01/30/32     150,000    131,887 
5.750%, due 06/06/286     175,000    179,557 
AIB Group PLC            
(fixed, converts to FRN on 04/04/27),            
2.250%, due 04/04/283,4    EUR 500,000    531,752 
(fixed, converts to FRN on 04/30/30),            
7.125%, due 10/30/293,4,5    EUR 200,000    225,980 
Avolon Holdings Funding Ltd.            
2.875%, due 02/15/252     385,000    381,878 
4.250%, due 04/15/262     1,105,000    1,087,276 
5.750%, due 03/01/292     741,000    750,574 
5.750%, due 11/15/292     165,000    167,568 
6.375%, due 05/04/282     155,000    159,724 
Bank of Ireland Group PLC            
(fixed, converts to FRN on 07/04/30),            
5.000%, due 07/04/313,4    EUR 300,000    350,779 
           3,966,975 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face      
    amount1    Value 
Corporate bonds—(continued)
Italy: 1.3%
Enel Finance International NV            
5.500%, due 06/15/522,6     200,000   $191,630 
Enel SpA            
(fixed, converts to FRN on 07/16/28),            
6.375%, due 04/16/283,4,5   EUR 300,000    349,270 
Intesa Sanpaolo SpA            
5.250%, due 01/13/303   EUR 300,000    356,079 
6.625%, due 06/20/332     405,000    429,757 
UniCredit SpA            
0.850%, due 01/19/313   EUR 350,000    325,298 
(fixed, converts to FRN on 01/17/28),            
4.800%, due 01/17/293,4   EUR 400,000    456,500 
(fixed, converts to FRN on 06/03/26),            
7.500%, due 06/03/263,4,5   EUR 200,000    225,708 
           2,334,242 
Japan: 0.5%
Rakuten Group, Inc.            
11.250%, due 02/15/272     248,000    269,700 
Takeda Pharmaceutical Co. Ltd.            
5.300%, due 07/05/346     200,000    202,667 
5.650%, due 07/05/546     200,000    203,206 
5.800%, due 07/05/64     200,000    203,195 
           878,768 
Mexico: 0.7%
Petroleos Mexicanos            
5.950%, due 01/28/316     900,000    774,000 
6.700%, due 02/16/32     530,000    470,211 
           1,244,211 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
Netherlands: 0.4%
Cooperatieve Rabobank UA            
(fixed, converts to FRN on 12/01/26),            
0.375%, due 12/01/273,4    EUR 100,000   $102,888 
ING Groep NV            
(fixed, converts to FRN on 11/16/26),            
5.750%, due 11/16/264,5,6     580,000    573,431 
           676,319 
New Zealand: 0.7%
Westpac Securities NZ Ltd.            
3.750%, due 04/20/283    EUR 1,039,000    1,163,851 
             
Norway: 0.5%
Aker BP ASA            
5.600%, due 06/13/282     205,000    208,673 
6.000%, due 06/13/332     205,000    209,406 
DNB Bank ASA            
(fixed, converts to FRN on 11/05/29),            
4.853%, due 11/05/302,4,7     400,000    398,838 
           816,917 
Spain: 1.7%
Banco Bilbao Vizcaya Argentaria SA            
(fixed, converts to FRN on 09/19/29),            
9.375%, due 03/19/294,5     200,000    216,554 
Banco Santander SA            
6.607%, due 11/07/28     400,000    424,562 
(fixed, converts to FRN on 05/21/29),            
9.625%, due 11/21/284,5     400,000    437,265 
CaixaBank SA            
(fixed, converts to FRN on 03/15/29),            
5.673%, due 03/15/302,4     415,000    421,780 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
Spain—(continued)
(fixed, converts to FRN on 07/16/30),            
7.500%, due 01/16/303,4,5    EUR 400,000   $466,265 
(fixed, converts to FRN on 07/19/28),            
5.000%, due 07/19/293,4    EUR 400,000    460,300 
(fixed, converts to FRN on 09/13/33),            
6.840%, due 09/13/342,4     230,000    248,661 
Iberdrola Finanzas SA            
(fixed, converts to FRN on 07/25/28),            
4.875%, due 04/25/283,4,5    EUR 200,000    223,886 
Telefonica Europe BV            
(fixed, converts to FRN on 11/23/28),            
7.125%, due 08/23/283,4,5    EUR 100,000    119,687 
           3,018,960 
Turkey: 0.1%
Turkiye Varlik Fonu Yonetimi AS            
8.250%, due 02/14/293     210,000    220,229 
             
United Kingdom: 4.8%
BAT Capital Corp.            
4.540%, due 08/15/47     157,000    125,764 
Eversholt Funding PLC            
6.359%, due 12/02/253    GBP 301,000    392,304 
Gatwick Funding Ltd.            
6.125%, due 03/02/263    GBP 100,000    130,559 
Heathrow Funding Ltd.            
1.125%, due 10/08/303    EUR 300,000    284,822 
6.450%, due 12/10/313    GBP 350,000    474,138 
6.750%, due 12/03/263    GBP 478,000    634,208 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United Kingdom—(continued)
HSBC Holdings PLC            
(fixed, converts to FRN on 03/04/29),            
5.546%, due 03/04/304     440,000   $447,220 
(fixed, converts to FRN on 06/17/31),            
4.600%, due 12/17/304,5,6     365,000    322,352 
(fixed, converts to FRN on 09/11/34),            
6.950%, due 03/11/344,5     200,000    199,163 
Lloyds Banking Group PLC            
(fixed, converts to FRN on 08/07/26),            
5.985%, due 08/07/274     240,000    244,448 
(fixed, converts to FRN on 09/27/31),            
6.750%, due 09/27/314,5,6     275,000    263,703 
Nationwide Building Society            
2.000%, due 04/28/273    EUR 300,000    318,821 
(fixed, converts to FRN on 12/20/27),            
5.750%, due 06/20/273,4,5    GBP 200,000    247,895 
NatWest Group PLC            
(fixed, converts to FRN on 05/10/34),            
8.125%, due 11/10/334,5,6     275,000    294,680 
(fixed, converts to FRN on 06/29/26),            
6.000%, due 12/29/254,5,6     370,000    369,261 
(fixed, converts to FRN on 09/06/27),            
4.067%, due 09/06/283,4    EUR 505,000    562,619 
(fixed, converts to FRN on 11/10/25),            
7.472%, due 11/10/264     425,000    435,139 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United Kingdom—(continued)
Santander U.K. Group Holdings PLC            
(fixed, converts to FRN on 11/21/25),            
6.833%, due 11/21/264     814,000   $827,114 
Segro Capital SARL            
1.250%, due 03/23/263    EUR 200,000    212,090 
Standard Chartered PLC            
(fixed, converts to FRN on 01/12/27),            
2.608%, due 01/12/282,4     343,000    325,147 
(fixed, converts to FRN on 02/08/27),            
6.750%, due 02/08/282,4     819,000    847,984 
(fixed, converts to FRN on 02/15/28),            
7.750%, due 08/15/272,4,5     200,000    205,500 
(fixed, converts to FRN on 09/23/26),            
1.200%, due 09/23/313,4    EUR 200,000    207,482 
(fixed, converts to FRN on 10/15/29),            
5.005%, due 10/15/302,4     200,000    197,627 
           8,570,040 
United States: 13.3%
AbbVie, Inc.            
4.050%, due 11/21/39     81,000    71,181 
4.250%, due 11/21/49     230,000    195,307 
Accenture Capital, Inc.            
4.500%, due 10/04/34     90,000    86,996 
Ameren Illinois Co.            
5.900%, due 12/01/52     40,000    42,767 
American Airlines Pass-Through Trust            
Series 2016-3, Class A,            
3.250%, due 10/15/28     49,820    45,453 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United States—(continued)
Series 2017-2, Class A,            
3.600%, due 10/15/29     61,579   $56,256 
Bank of America Corp.            
(fixed, converts to FRN on 04/25/28),            
5.202%, due 04/25/294,6     325,000    328,192 
(fixed, converts to FRN on 09/15/28),            
5.819%, due 09/15/294     905,000    934,141 
(fixed, converts to FRN on 10/20/31),            
2.572%, due 10/20/324     311,000    264,448 
Baxter International, Inc.            
2.539%, due 02/01/326     370,000    311,133 
Berry Global, Inc.            
5.650%, due 01/15/342     130,000    129,810 
Boeing Co.            
6.858%, due 05/01/542     215,000    230,529 
BP Capital Markets PLC            
(fixed, converts to FRN on 03/01/34),            
6.450%, due 12/01/334,5,6     280,000    292,194 
(fixed, converts to FRN on 06/22/29),            
3.625%, due 03/22/293,4,5    EUR 200,000    213,761 
Broadcom, Inc.            
3.137%, due 11/15/352     80,000    65,733 
3.419%, due 04/15/332     180,000    158,593 
Cadence Design Systems, Inc.            
4.700%, due 09/10/34     240,000    234,178 
Cencora, Inc.            
2.700%, due 03/15/316     337,000    294,981 
2.800%, due 05/15/306     76,000    68,333 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

      Face     
      amount1    Value 
Corporate bonds—(continued)              
United States—(continued)              
5.125%, due 02/15/34       169,000   $167,888 
CF Industries, Inc.              
4.950%, due 06/01/43       159,000    142,875 
Charter Communications Operating LLC/Charter Communications Operating Capital              
2.250%, due 01/15/29       250,000    219,580 
3.500%, due 06/01/41       275,000    188,234 
Cheniere Energy Partners LP              
4.500%, due 10/01/29       440,000    423,636 
Citigroup, Inc.              
(fixed, converts to FRN on 02/13/29),              
5.174%, due 02/13/304       580,000    583,900 
(fixed, converts to FRN on 03/20/29),              
3.980%, due 03/20/304       460,000    440,913 
(fixed, converts to FRN on 05/01/31),              
2.561%, due 05/01/324       210,000    179,713 
Columbia Pipelines Operating Co. LLC              
5.927%, due 08/15/302,6       65,000    67,546 
6.036%, due 11/15/332       230,000    238,179 
Comcast Corp.              
2.937%, due 11/01/56       300,000    185,364 
ConocoPhillips Co.              
5.550%, due 03/15/54       130,000    129,759 
Constellation Energy Generation LLC              
6.250%, due 10/01/39       175,000    186,509 
6.500%, due 10/01/53       80,000    88,023 
Duke Energy Corp.              
5.800%, due 06/15/54       55,000    55,136 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

      Face     
      amount1    Value 
Corporate bonds—(continued)
United States—(continued)              
Edison International              
5.450%, due 06/15/29       295,000   $299,976 
(fixed, converts to FRN on 06/15/28),              
8.125%, due 06/15/534       175,000    183,601 
Series A,(fixed, converts to FRN on 03/15/26),              
5.375%, due 03/15/264,5       205,000    202,959 
Energy Transfer LP              
5.550%, due 02/15/28       402,000    410,517 
5.600%, due 09/01/346       80,000    80,592 
5.750%, due 02/15/33       225,000    229,363 
(fixed, converts to FRN on 10/01/29),              
7.125%, due 10/01/544       355,000    358,775 
EnLink Midstream LLC              
6.500%, due 09/01/302,6       245,000    258,027 
Entergy Arkansas LLC              
5.750%, due 06/01/54       45,000    46,466 
Entergy Corp.              
(fixed, converts to FRN on 12/01/29),              
7.125%, due 12/01/544       85,000    86,902 
Entergy Texas, Inc.              
5.550%, due 09/15/54       30,000    29,844 
Enterprise Products Operating LLC              
(fixed, converts to FRN on 02/15/28),              
5.375%, due 02/15/784       74,000    71,018 
Fifth Third Bancorp              
(fixed, converts to FRN on 07/28/29),              
4.772%, due 07/28/304       105,000    103,360 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United States—(continued)
(fixed, converts to FRN on 09/06/29),            
4.895%, due 09/06/304     80,000   $79,091 
FirstEnergy Transmission LLC            
2.866%, due 09/15/282     210,000    195,196 
Ford Motor Credit Co. LLC            
4.867%, due 08/03/27    EUR 677,000    759,388 
5.800%, due 03/08/29     270,000    270,269 
General Electric Co.            
4.125%, due 09/19/353    EUR 88,000    99,325 
Goldman Sachs Group, Inc.            
(fixed, converts to FRN on 04/25/29),            
5.727%, due 04/25/304     345,000    354,704 
(fixed, converts to FRN on 05/01/28),            
4.223%, due 05/01/294     665,000    649,848 
(fixed, converts to FRN on 07/23/29),            
5.049%, due 07/23/304     310,000    310,716 
(fixed, converts to FRN on 07/23/34),            
5.330%, due 07/23/354     110,000    109,876 
(fixed, converts to FRN on 10/21/26),            
1.948%, due 10/21/274     280,000    264,732 
(fixed, converts to FRN on 10/23/29),            
4.692%, due 10/23/304     290,000    286,208 
(fixed, converts to FRN on 10/23/34),            
5.016%, due 10/23/354     130,000    126,933 
HCA, Inc.            
3.500%, due 09/01/30     117,000    107,314 
3.500%, due 07/15/51     190,000    129,396 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

      Face     
      amount1    Value 
Corporate bonds—(continued)
United States—(continued)              
4.625%, due 03/15/52       105,000   $86,300 
5.250%, due 06/15/49       10,000    9,062 
5.450%, due 09/15/34       235,000    233,332 
5.950%, due 09/15/54       6,000    5,985 
Hyundai Capital America              
4.875%, due 11/01/277       360,000    359,931 
ITC Holdings Corp.              
2.950%, due 05/14/302       45,000    40,514 
5.400%, due 06/01/332       370,000    371,640 
JBS USA Holding Lux SARL/JBS USA Food Co./JBS Lux Co. SARL              
7.250%, due 11/15/532       120,000    134,687 
Jersey Central Power & Light Co.              
2.750%, due 03/01/322       330,000    281,811 
KeyCorp              
(fixed, converts to FRN on 03/06/34),              
6.401%, due 03/06/354       141,000    148,780 
Kroger Co.              
5.000%, due 09/15/34       135,000    132,787 
5.500%, due 09/15/54       75,000    72,833 
Marvell Technology, Inc.              
2.950%, due 04/15/31       79,000    69,872 
5.750%, due 02/15/29       67,000    68,980 
5.950%, due 09/15/33       109,000    114,089 
Meta Platforms, Inc.              
5.400%, due 08/15/54       120,000    120,549 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United States—(continued)
Monongahela Power Co.            
5.850%, due 02/15/342     60,000   $61,862 
Morgan Stanley            
(fixed, converts to FRN on 04/19/34),            
5.831%, due 04/19/354     170,000    176,684 
(fixed, converts to FRN on 07/20/28),            
5.449%, due 07/20/294     655,000    667,644 
(fixed, converts to FRN on 07/21/33),            
5.424%, due 07/21/344     250,000    252,577 
(fixed, converts to FRN on 10/18/29),            
4.654%, due 10/18/304     480,000    473,380 
Netflix, Inc.            
4.625%, due 05/15/29    EUR 700,000    809,403 
NextEra Energy Capital Holdings, Inc.            
(fixed, converts to FRN on 06/15/34),            
6.750%, due 06/15/544     365,000    382,204 
NiSource, Inc.            
(fixed, converts to FRN on 11/30/29),            
6.950%, due 11/30/544     190,000    194,697 
Occidental Petroleum Corp.            
4.625%, due 06/15/45     85,000    67,100 
5.375%, due 01/01/32     50,000    49,366 
Pacific Gas & Electric Co.            
5.800%, due 05/15/34     265,000    272,529 
6.150%, due 01/15/33     210,000    219,744 
6.750%, due 01/15/53     143,000    156,406 
6.950%, due 03/15/34     240,000    266,149 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United States—(continued)
PNC Financial Services Group, Inc.            
(fixed, converts to FRN on 10/21/31),            
4.812%, due 10/21/324     155,000   $151,964 
Prologis Euro Finance LLC            
1.000%, due 02/06/35    EUR 200,000    166,965 
Prudential Financial, Inc.            
(fixed, converts to FRN on 03/15/34),            
6.500%, due 03/15/544     124,000    129,344 
Realty Income Corp.            
5.125%, due 07/06/34    EUR 100,000    119,906 
San Diego Gas & Electric Co.            
5.350%, due 04/01/53     170,000    166,151 
Solventum Corp.            
5.450%, due 03/13/312     290,000    292,436 
Southern Co. Gas Capital Corp.            
5.750%, due 09/15/33     100,000    104,060 
Series 20-A, 1.750%, due 01/15/31     220,000    181,996 
Take-Two Interactive Software, Inc.            
5.600%, due 06/12/34     40,000    40,679 
T-Mobile USA, Inc.            
3.375%, due 04/15/29     320,000    300,448 
U.S. Bancorp            
(fixed, converts to FRN on 01/23/34),            
5.678%, due 01/23/354     65,000    66,628 
Uber Technologies, Inc.            
4.800%, due 09/15/34     245,000    237,506 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Corporate bonds—(continued)
United States—(continued)
Virginia Electric & Power Co.            
5.000%, due 01/15/34     180,000   $178,412 
5.550%, due 08/15/54     20,000    20,178 
Vistra Operations Co. LLC            
3.700%, due 01/30/272     209,000    203,090 
6.000%, due 04/15/342     65,000    67,079 
Warnermedia Holdings, Inc.            
4.054%, due 03/15/29     245,000    228,882 
4.279%, due 03/15/32     300,000    262,900 
5.050%, due 03/15/42     355,000    283,305 
Wells Fargo & Co.            
(fixed, converts to FRN on 04/22/27),            
5.707%, due 04/22/284     460,000    468,926 
(fixed, converts to FRN on 07/25/33),            
5.557%, due 07/25/344     106,000    107,793 
(fixed, converts to FRN on 10/23/28),            
6.303%, due 10/23/294     38,000    39,822 
WPC Eurobond BV            
1.350%, due 04/15/28    EUR 200,000    203,265 
           23,748,269 
Total corporate bonds
(cost—$67,169,657)
          68,701,232 
            
Mortgage-backed securities: 2.5%
Spain: 0.1%
Fondo de Titulizacion de Activos Santander Hipotecario 2, Series 2, Class A,            
3 mo. EURIBOR + 0.150%,            
3.358%, due 01/18/493,4    EUR 215,199    231,248 
           231,248 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Mortgage-backed securities—(continued)
United Kingdom: 0.5%
Gemgarto PLC, Series 2021-1A, Class A,            
1 day GBP SONIA + 0.590%,            
5.570%, due 12/16/672,4    GBP 141,853   $182,804 
Silverstone Master Issuer PLC, Series 2022-1A, Class 2A,            
1 day GBP SONIA + 0.290%,            
5.270%, due 01/21/702,4    GBP 600,000    771,086 
           953,890 
United States: 1.9%
Angel Oak Mortgage Trust, Series 2020-1, Class A1,            
2.466%, due 12/25/592,4     58,137    55,794 
Citigroup Commercial Mortgage Trust, Series 2015-GC33, Class B,            
4.575%, due 09/10/584     470,000    430,888 
CSAIL Commercial Mortgage Trust, Series 2016-C6, Class C,            
4.918%, due 01/15/494     320,000    294,776 
Federal National Mortgage Association REMICS, Series 2021-86, Class T,            
2.500%, due 09/25/48     1,510,155    1,325,023 
GS Mortgage Securities Trust, Series 2017-GS6, Class C,            
4.322%, due 05/10/504     350,000    265,353 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

      Face     
      amount1    Value 
Mortgage-backed securities—(continued)
United States—(continued)              
OBX Trust              
Series 2020-EXP1, Class 2A1, 1 mo. USD Term SOFR + 0.864%,              
5.602%, due 02/25/602,4       66,278   $64,147 
Series 2023-NQM1, Class A1,              
6.120%, due 11/25/622,4       189,775    190,336 
Starwood Mortgage Residential Trust, Series 2020-1, Class A1,              
2.275%, due 02/25/502,4       13,869    13,188 
UBS Commercial Mortgage Trust              
Series 2017-C1, Class C,              
4.430%, due 11/15/504       360,000    326,108 
Series 2018-C11, Class B,              
4.713%, due 06/15/514       440,000    391,973 
Verus Securitization Trust, Series 2020-1, Class A1,              
3.417%, due 01/25/602,4       49,018    47,715 
             3,405,301 
Total mortgage-backed securities
(cost—$5,009,855)
           4,590,439 
               
Non-U.S. government agency obligations: 38.0%              
Bahrain: 0.3%              
Bahrain Government International Bonds              
6.750%, due 09/20/293       545,000    557,262 
               
Bermuda: 0.5%              
Bermuda Government International Bonds              
4.750%, due 02/15/292       910,000    894,139 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Non-U.S. government agency obligations—(continued)          
Brazil: 0.4%
Brazil Government International Bonds            
3.875%, due 06/12/30     725,000   $659,199 
             
Canada: 3.6%
Hydro-Quebec Series 19,            
6.500%, due 02/15/35    CAD 750,000    652,789 
Province of British Columbia            
2.800%, due 06/18/48    CAD 300,000    168,477 
Province of Ontario            
3.650%, due 06/02/33    CAD 3,430,000    2,441,388 
Province of Quebec            
3.600%, due 09/01/33    CAD 3,360,000    2,377,954 
5.000%, due 12/01/41    CAD 1,100,000    863,978 
           6,504,586 
China: 9.3%
China Government Bonds            
Series INBK, 2.120%, due 06/25/31    CNY 60,000,000    8,486,465 
Series INBK, 2.280%, due 03/25/31    CNY 50,000,000    7,134,927 
4.500%, due 05/22/343    CNY 6,000,000    994,647 
           16,616,039 
Colombia: 0.6%
Colombia Government International Bonds            
3.250%, due 04/22/32     950,000    732,925 
7.750%, due 11/07/367     330,000    324,152 
           1,057,077 
Dominican Republic: 0.4%
Dominican Republic International Bonds            
4.875%, due 09/23/323     720,000    655,920 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Non-U.S. government agency obligations—(continued)          
France: 3.0%
French Republic Government Bonds OAT            
Series OAT, 0.000%, due 05/25/323,8    EUR 3,050,000   $2,668,591 
Series OAT, 2.000%, due 11/25/323    EUR 2,650,000    2,683,521 
           5,352,112 
Germany: 2.3%
Bundesrepublik Deutschland Bundesanleihe            
2.500%, due 08/15/543    EUR 3,887,697    4,145,703 
             
Hungary: 1.0%
Hungary Government Bonds Series 35/A,            
7.000%, due 10/24/35    HUF 248,510,000    663,799 
Hungary Government International Bonds            
5.500%, due 03/26/362     321,000    309,264 
6.125%, due 05/22/282     291,000    298,275 
6.125%, due 05/22/283     500,000    512,500 
           1,783,838 
Indonesia: 0.8%
Indonesia Treasury Bonds Series FR73,            
8.750%, due 05/15/31     IDR 19,821,000,000    1,389,175 
             
Israel: 0.8%
Israel Government International Bonds            
Series 5Y, 5.375%, due 03/12/29     480,000    480,900 
Series 10Y, 5.500%, due 03/12/34     967,000    937,990 
           1,418,890 
Italy: 0.8%
Italy Buoni Poliennali del Tesoro Series 7Y,            
3.500%, due 02/15/313    EUR 1,300,000    1,435,569 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Non-U.S. government agency obligations—(continued)          
Japan: 3.4%
Japan Government Ten Year Bonds Series 370,            
0.500%, due 03/20/33    JPY 199,400,000   $1,284,394 
Japan Government Thirty Year Bonds Series 74,            
1.000%, due 03/20/52    JPY 369,600,000    1,863,325 
Japan Government Twenty Year Bonds            
Series 183, 1.400%, due 12/20/42    JPY 224,900,000    1,417,267 
Series 186, 1.500%, due 09/20/43    JPY 240,500,000    1,527,461 
           6,092,447 
Mexico: 1.5%
Mexico Bonos Series M,            
7.750%, due 05/29/31    MXN 46,000,000    2,059,563 
Mexico Government International Bonds            
4.490%, due 05/25/32    EUR 496,000    539,632 
           2,599,195 
Morocco: 0.2%
Morocco Government International Bonds            
2.375%, due 12/15/272     340,000    309,740 
             
Romania: 0.4%
Romania Government International Bonds            
1.750%, due 07/13/303    EUR 810,000    750,290 
             
South Korea: 1.3%
Korea Treasury Bonds Series 3406,            
3.500%, due 06/10/34    KRW 3,193,870,000    2,388,204 
             
Spain: 3.5%
Spain Government Bonds            
3.150%, due 04/30/333    EUR 1,400,000    1,544,779 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face      
    amount1    Value 
Non-U.S. government agency obligations—(continued)          
Spain—(continued)
3.550%, due 10/31/333    EUR 4,200,000   $4,760,428 
           6,305,207 
Supranationals: 1.0%
Banque Ouest Africaine de Developpement            
2.750%, due 01/22/332    EUR 227,000    205,410 
4.700%, due 10/22/313     850,000    773,500 
European Union            
3.000%, due 03/04/533    EUR 866,628    880,533 
           1,859,443 
Turkey: 0.4%
Republic of Turkiye            
6.500%, due 01/03/35     657,000    622,507 
             
United Kingdom: 2.5%
U.K. Gilts            
1.250%, due 07/31/513    GBP 700,000    420,691 
1.625%, due 10/22/283    GBP 1,105,000    1,295,752 
3.750%, due 10/22/533    GBP 1,600,000    1,705,273 
4.375%, due 07/31/543    GBP 880,000    1,045,828 
           4,467,544 
Total non-U.S. government agency obligations
(cost—$70,193,571)
          67,864,086 
            
U.S. government agency obligations: 15.2%
United States: 15.2%            
Federal Home Loan Mortgage Corp.            
4.500%, due 09/01/52     1,737,872    1,653,280 
5.000%, due 01/01/53     904,517    880,111 
5.500%, due 05/01/53     3,718,883    3,686,475 
6.000%, due 06/01/53     520,686    524,098 
6.000%, due 07/01/53     864,149    870,340 
6.000%, due 08/01/53     1,473,977    1,483,636 
6.000%, due 07/01/54     612,474    619,548 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

      Face     
      amount1    Value 
U.S. government agency obligations—(continued)              
United States—(continued)              
Federal National Mortgage Association              
2.500%, due 07/01/51       3,408,737   $2,856,166 
2.500%, due 02/01/52       713,186    592,002 
2.500%, due 05/01/52       774,146    648,174 
3.000%, due 08/01/51       1,788,963    1,562,841 
3.000%, due 11/01/51       1,842,997    1,605,184 
3.000%, due 01/01/52       1,536,381    1,342,200 
3.000%, due 03/01/52       726,949    632,033 
3.000%, due 05/01/52       1,046,649    902,099 
3.000%, due 07/01/52       857,635    739,089 
3.500%, due 04/01/52       4,212,678    3,806,482 
3.500%, due 05/01/58       1,208,056    1,086,422 
6.500%, due 10/01/53       1,575,194    1,607,703 
Total U.S. government agency obligations
(cost—$27,724,252)
           27,097,883 

 

      Face     
      amount1    Value 
U.S. Treasury obligations: 2.0%
United States: 2.0%              
U.S. Treasury Notes,              
3.750%, due 08/31/26       3,550,000   $3,522,959 
Total U.S. Treasury obligations
(cost—$3,562,494)
           3,522,959 

 

      Number of     
      shares     
Short-term investments: 1.7%              
Investment companies: 1.7%              
State Street Institutional U.S. Government Money Market Fund, 4.824%9
(cost $3,008,703)
      3,008,703    3,008,703 
               
Investment of cash collateral from securities loaned—3.0%              
Money market funds—3.0%              
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%9
(cost $5,427,225)
      5,427,225    5,427,225 
Total investments
(cost $184,062,572)10—102.0%
           182,195,865 
Liabilities in excess of other assets—(2.0)%            (3,638,702)
Net assets—100.0%           $178,557,163 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Futures contracts

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
                   
Interest rate futures buy contracts:
67  EUR  3 Month Euro Euribor Futures  June 2025  $17,855,364   $17,827,173   $(28,191)
67  EUR  3 Month Euro Euribor Futures  September 2025   17,881,796    17,839,016    (42,780)
75  USD  3 Month SOFR Futures  December 2025   18,197,011    18,052,500    (144,511)
26  AUD  Australian Bond 10 Year Futures  December 2024   2,001,656    1,913,727    (87,929)
60  EUR  Eurex Short-term Euro-BTP Futures  December 2024   6,979,506    6,974,870    (4,636)
156  EUR  EURO Schatz 2 Year Index Futures  December 2024   18,100,898    18,078,664    (22,234)
64  EUR  Italian Government Bond Futures  December 2024   8,358,211    8,322,592    (35,619)
4  JPY  Japan Government Bond 10 Year Futures  December 2024   3,796,250    3,795,972    (278)
8  GBP  United Kingdom Long Gilt Bond Futures  December 2024   1,023,371    970,080    (53,291)
U.S. Treasury futures buy contracts:
56  USD  U.S. Long Bond Futures  December 2024  $6,993,433   $6,606,250   $(387,183)

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
125  USD  U.S. Treasury Note 2 Year Futures  December 2024  $26,069,422   $25,743,164   $(326,258)
Total           $127,256,918   $126,124,008   $(1,132,910)
Index futures sell contracts:
33  EUR  EURO Bobl 5 Year Index Future  December 2024  $(4,281,099)  $(4,241,082)  $40,017 
Interest rate futures sell contracts:
67  EUR  3 Month Euro Euribor Futures  March 2027  $(17,853,384)  $(17,811,687)  $41,697 
67  EUR  3 Month Euro Euribor Futures  December 2026   (17,860,957)   (17,816,241)   44,716 
75  USD  3 Month SOFR Futures  June 2027   (18,184,514)   (18,060,937)   123,577 
28  CAD  Canadian Bond 10 Year Futures  December 2024   (2,503,429)   (2,453,205)   50,224 
26  EUR  Euro Bund 10 Year Futures  December 2024   (3,776,921)   (3,727,501)   49,420 
8  EUR  German Euro Buxl 30 Year Futures  December 2024   (1,173,978)   (1,151,797)   22,181 
U.S. Treasury futures sell contracts:
44  USD  U.S. Treasury Note 10 Year Futures  December 2024  $(5,036,736)  $(4,860,625)  $176,111 
36  USD  U.S. Treasury Note 5 Year Futures  December 2024   (3,893,273)   (3,860,438)   32,835 
25  USD  Ultra U.S. Treasury Bond Futures  December 2024   (3,318,633)   (3,140,625)   178,008 
86  USD  Ultra U.S. Treasury Note 10 Year Futures  December 2024   (9,980,979)   (9,782,500)   198,479 
Total           $(87,863,903)  $(86,906,638)  $957,265 
Net unrealized appreciation (depreciation)                     $(175,645)

 

Forward foreign currency contracts

 

Counterparty  Sell   Purchase   Settlement
date
   Unrealized
appreciation
(depreciation)
 
BB  USD 342,588   TRY 14,681,607    01/22/25   $52,570 
BB  EUR 50,000   USD 55,013    11/25/24    579 
BB  EUR 108,139   USD 117,079    11/25/24    (650)
BB  GBP 796,091   USD 1,035,128    11/25/24    8,638 
BB  SEK 2,341,517   USD 225,734    11/25/24    5,744 
BB  USD 38,415   CNY 270,872    11/25/24    (286)
BB  USD 206,318   EUR 190,000    11/25/24    533 
BB  USD 454,152   GBP 349,231    11/25/24    (3,850)
BB  USD 159,425   RON 726,166    11/25/24    (718)
BNP  AUD 72,106   USD 47,888    11/25/24    424 
BNP  CAD 625,436   EUR 417,037    11/25/24    4,495 
BNP  CNY 857,160   USD 120,298    11/25/24    (360)
BNP  EUR 417,364   PLN 1,806,727    11/25/24    (3,283)
BNP  EUR 749,000   USD 813,976    11/25/24    (1,450)
BNP  HUF 395,327,101   USD 1,075,728    11/25/24    23,356 
BNP  JPY 18,553,605   USD 124,507    11/25/24    2,081 
BNP  USD 457,620   AUD 680,178    11/25/24    (9,894)
BNP  USD 45,408   CAD 62,445    11/25/24    (525)
BNP  USD 458,078   CHF 389,729    11/25/24    (5,739)
BNP  USD 388,410   DKK 2,646,151    11/25/24    (2,133)
BNP  USD 92,918   EUR 85,000    11/25/24    (379)
BNP  USD 456,693   JPY 67,556,742    11/25/24    (10,921)
BNP  USD 455,823   NZD 750,670    11/25/24    (7,087)
CITI  AUD 679,131   EUR 416,552    11/25/24    6,457 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty  Sell   Purchase   Settlement
date
   Unrealized
appreciation
(depreciation)
 
CITI  AUD 36,000   USD 23,902    11/25/24   $205 
CITI  CAD 629,052   USD 457,027    11/25/24    4,901 
CITI  EUR 1,346,714   USD 1,470,914    11/25/24    4,765 
CITI  EUR 163,859   USD 178,043    11/25/24    (348)
CITI  GBP 344,343   JPY 68,185,091    11/25/24    5,919 
CITI  GBP 349,340   USD 455,729    11/25/24    5,285 
CITI  JPY 68,004,250   GBP 351,057    11/25/24    3,931 
CITI  JPY 68,142,790   USD 456,672    11/25/24    7,033 
CITI  USD 6,533   CAD 9,000    11/25/24    (64)
CITI  USD 84,204   EUR 78,000    11/25/24    713 
CITI  USD 1,633,358   EUR 1,494,533    11/25/24    (6,279)
CITI  USD 518,737   GBP 398,082    11/25/24    (5,446)
CITI  USD 801,632   JPY 117,792,662    11/25/24    (24,379)
CITI  USD 458,070   NZD 748,004    11/25/24    (10,928)
CITI  USD 228,863   ZAR 4,043,333    11/25/24    73 
GSI  TRY 11,081,434   USD 267,603    01/22/25    (30,656)
GSI  EUR 2,920,632   USD 3,202,146    11/25/24    22,493 
GSI  JPY 68,669,035   EUR 414,622    11/25/24    (1,719)
GSI  SGD 599,793   USD 457,027    11/25/24    2,381 
GSI  USD 801,640   JPY 117,732,858    11/25/24    (24,781)
GSI  USD 1,448,261   MXN 29,029,905    11/25/24    (2,765)
GSI  USD 914,419   SEK 9,472,802    11/25/24    (24,430)
GSI  USD 2,275,300   SGD 2,966,538    11/25/24    (26,650)
HSBC  AUD 20,000   USD 13,570    11/25/24    405 
HSBC  CAD 33,600   USD 24,396    11/25/24    246 
HSBC  CNY 788,199   USD 111,858    11/25/24    908 
HSBC  EUR 1,459,680   USD 1,603,842    11/25/24    14,708 
HSBC  GBP 246,962   USD 321,323    11/25/24    2,888 
HSBC  JPY 5,167,800   USD 35,066    11/25/24    967 
HSBC  USD 69,530   CAD 94,468    11/25/24    (1,632)
HSBC  USD 456,893   EUR 420,000    11/25/24    355 
HSBC  USD 19,432   GBP 15,000    11/25/24    (91)
MSCI  TRY 3,600,173   USD 88,871    01/22/25    (8,028)
MSCI  AUD 1,407,355   USD 946,411    11/25/24    20,020 
MSCI  CAD 8,200   USD 5,954    11/25/24    61 
MSCI  CNY 445,965   USD 63,125    11/25/24    349 
MSCI  EUR 226,866   USD 246,538    11/25/24    (448)
MSCI  GBP 44,954   USD 58,856    11/25/24    892 
MSCI  HUF 411,617   USD 1,096    11/25/24    1 
MSCI  JPY 17,216,529   USD 113,429    11/25/24    (174)
MSCI  MXN 53,888,995   USD 2,770,774    11/25/24    87,460 
MSCI  THB 30,227,573   USD 912,944    11/25/24    15,965 
MSCI  USD 4,438,910   AUD 6,593,443    11/25/24    (98,781)
MSCI  USD 552,470   CHF 472,846    11/25/24    (3,661)
MSCI  USD 260,167   CZK 6,012,490    11/25/24    (1,775)
MSCI  USD 25,252   EUR 23,000    11/25/24    (212)
MSCI  USD 1,273,968   GBP 975,650    11/25/24    (15,954)
MSCI  USD 51,824   HUF 19,397,397    11/25/24    (188)
MSCI  USD 310,159   ILS 1,165,259    11/25/24    1,983 

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty  Sell   Purchase   Settlement
date
   Unrealized
appreciation
(depreciation)
 
MSCI  USD 10,333,000   JPY 1,535,506,579   11/25/24   $(200,981)
MSCI  USD 146,507   NOK 1,572,230   11/25/24    (3,560)
MSCI  USD 399,163   PLN 1,568,446   11/25/24    (7,560)
MSCI  USD 1,556,642   THB 51,610,470   11/25/24    (25,144)
SSB  CAD 1,887,439   USD 1,369,599   11/25/24    13,018 
SSB  USD 798,285   NZD 1,310,599   11/25/24    (14,834)
TDB  EUR 417,230   CHF 388,990   11/25/24    (2,752)
Net unrealized appreciation (depreciation)              $(268,693)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Asset-backed securities  $   $1,983,338   $   $1,983,338 
Corporate bonds       68,701,232        68,701,232 
Mortgage-backed securities       4,590,439        4,590,439 
Non-U.S. government agency obligations       67,864,086        67,864,086 
U.S. government agency obligations       27,097,883        27,097,883 
U.S. Treasury obligations       3,522,959        3,522,959 
Short-term investments       3,008,703        3,008,703 
Investment of cash collateral from securities loaned       5,427,225        5,427,225 
Futures contracts   957,265            957,265 
Forward foreign currency contracts       322,802        322,802 
Total  $957,265   $182,518,667   $   $183,475,932 
                     
Liabilities                    
Futures contracts  $(1,132,910)  $   $   $(1,132,910)
Forward foreign currency contracts       (591,495)       (591,495)
Total  $(1,132,910)  $(591,495)  $        —   $(1,724,405)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

 

 

PACE Global Fixed Income Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

 

Portfolio footnotes

 

1In U.S. dollars unless otherwise indicated.
2Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $19,676,875, represented 11.0% of the Portfolios net assets at period end.
3Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
4Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
5Perpetual investment. Date shown reflects the next call date.
6Security, or portion thereof, was on loan at the period end.
7Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
8Zero coupon bond.
9Rates shown reflect yield at October 31, 2024.
10Includes $5,625,838 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $5,427,225 and non-cash collateral of $332,357.

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face
amount1
   Value 
Corporate bonds—95.9%
Advertising: 0.7%
Advantage Sales & Marketing, Inc.          
6.500%, due 11/15/282   75,000   $70,200 
Clear Channel Outdoor Holdings, Inc.          
5.125%, due 08/15/272   75,000    72,710 
7.500%, due 06/01/292   125,000    106,826 
7.750%, due 04/15/282   200,000    178,002 
7.875%, due 04/01/302   100,000    101,959 
Lamar Media Corp.          
3.750%, due 02/15/28    25,000    23,764 
Outfront Media Capital LLC/Outfront Media Capital Corp.          
4.250%, due 01/15/292   125,000    117,220 
4.625%, due 03/15/302   175,000    162,788 
5.000%, due 08/15/272   200,000    196,973 
Summer BC Holdco B SARL          
5.750%, due 10/31/263  EUR275,000    298,077 
         1,328,519 
Aerospace & defense: 1.6%
AAR Escrow Issuer LLC          
6.750%, due 03/15/292   50,000    51,111 
Boeing Co.          
6.528%, due 05/01/342   75,000    79,076 
Bombardier, Inc.          
6.000%, due 02/15/282   175,000    174,804 
7.250%, due 07/01/312   50,000    51,658 
7.500%, due 02/01/292   100,000    104,125 
7.875%, due 04/15/272   305,000    305,601 
Evander Gold Mines Ltd.          
10.000%, due 04/19/264,5,6  EUR106,300    0 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face
amount1
   Value 
Corporate bonds—(continued)
Aerospace & defense—(continued)          
Spirit AeroSystems, Inc.          
4.600%, due 06/15/28    125,000   $119,261 
9.375%, due 11/30/292   100,000    107,851 
9.750%, due 11/15/302   150,000    166,511 
TransDigm, Inc.          
4.625%, due 01/15/29    175,000    166,185 
4.875%, due 05/01/29    100,000    95,511 
5.500%, due 11/15/27    750,000    743,439 
6.000%, due 01/15/332   100,000    99,126 
6.375%, due 03/01/292   50,000    50,752 
6.625%, due 03/01/322   100,000    101,693 
6.750%, due 08/15/282   275,000    280,902 
6.875%, due 12/15/302   75,000    76,881 
7.125%, due 12/01/312   100,000    103,477 
Triumph Group, Inc.          
9.000%, due 03/15/282   80,000    83,346 
         2,961,310 
Agriculture: 0.2%          
Darling Ingredients, Inc.          
5.250%, due 04/15/272   75,000    74,274 
6.000%, due 06/15/302   100,000    99,312 
MHP Lux SA          
6.250%, due 09/19/293   200,000    156,500 
         330,086 
Airlines: 0.9%          
Allegiant Travel Co.          
7.250%, due 08/15/272   50,000    49,250 
American Airlines, Inc.          
7.250%, due 02/15/282   100,000    101,645 
8.500%, due 05/15/292   150,000    157,640 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face
amount1
   Value 
Corporate bonds—(continued)
Airlines—(continued)
American Airlines, Inc./AAdvantage Loyalty IP Ltd.          
5.500%, due 04/20/262   112,500   $112,162 
5.750%, due 04/20/292   275,000    272,315 
Grupo Aeromexico SAB de CV          
8.250%, due 11/15/292,7   300,000    299,250 
JetBlue Airways Corp./JetBlue Loyalty LP          
9.875%, due 09/20/312   175,000    181,854 
Latam Airlines Group SA          
7.875%, due 04/15/302   275,000    275,344 
Transportes Aereos Portugueses SA          
5.125%, due 11/15/292  EUR100,000    108,449 
United Airlines Pass-Through Trust Series 2020-1, Class A,          
5.875%, due 10/15/27   22,746    23,257 
United Airlines, Inc.          
4.625%, due 04/15/292   150,000    143,566 
         1,724,732 
Apparel: 0.3%
Crocs, Inc.          
4.125%, due 08/15/312   175,000    153,295 
4.250%, due 03/15/292   25,000    22,930 
CT Investment GmbH          
6.375%, due 04/15/302  EUR200,000    224,294 
Hanesbrands, Inc.          
9.000%, due 02/15/312   50,000    53,573 
Kontoor Brands, Inc.          
4.125%, due 11/15/292   75,000    69,903 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face
amount1
   Value 
Corporate bonds—(continued)
Apparel—(continued)
Takko Fashion GmbH          
10.250%, due 04/15/302,7  EUR100,000   $110,951 
         634,946 
Auto manufacturers: 0.2%
Allison Transmission, Inc.          
3.750%, due 01/30/312   25,000    22,187 
4.750%, due 10/01/272   75,000    73,143 
Jaguar Land Rover Automotive PLC          
5.875%, due 01/15/282   200,000    197,765 
JB Poindexter & Co., Inc.          
8.750%, due 12/15/312   75,000    78,690 
Wabash National Corp.          
4.500%, due 10/15/282   25,000    22,754 
         394,539 
Auto parts & equipment: 2.4%
Adient Global Holdings Ltd.          
7.000%, due 04/15/282   25,000    25,415 
8.250%, due 04/15/312   25,000    25,898 
Adler Pelzer Holding GmbH          
9.500%, due 04/01/272  EUR200,000    205,933 
9.500%, due 04/01/273   100,000    102,966 
American Axle & Manufacturing, Inc.          
5.000%, due 10/01/29   25,000    22,619 
Clarios Global LP/Clarios U.S. Finance Co.          
6.250%, due 05/15/262   25,000    25,050 
8.500%, due 05/15/272   25,000    25,134 
Dana, Inc.          
4.500%, due 02/15/32   25,000    21,384 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Auto parts & equipment—(continued)
Dealer Tire LLC/DT Issuer LLC                
8.000%, due 02/01/282     150,000     $ 147,934  
Dornoch Debt Merger Sub, Inc.                
6.625%, due 10/15/292     275,000       230,137  
Forvia SE                
2.750%, due 02/15/273   EUR 350,000       365,008  
Goodyear Tire & Rubber Co.                
5.000%, due 07/15/29     75,000       67,905  
5.250%, due 04/30/31     25,000       21,959  
5.250%, due 07/15/31     275,000       241,741  
7.000%, due 03/15/28     25,000       25,452  
9.500%, due 05/31/25     31,000       31,099  
Grupo Antolin-Irausa SA                
3.500%, due 04/30/283   EUR 100,000       81,059  
10.375%, due 01/30/302     125,000       117,681  
IHO Verwaltungs GmbH                
8.750% Cash or 9.500% PIK,                
8.750%, due 05/15/282,8     225,000       259,827  
6.750% cash or 7.500% PIK,                
6.750%, due 11/15/292,8     100,000       110,271  
7.750% Cash or 8.500% PIK,                
7.750%, due 11/15/302,8     200,000       200,008  
8.000% Cash or 8.750% PIK,                
8.000%, due 11/15/322,8     200,000       200,654  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Auto parts & equipment—(continued)                
Iochpe-Maxion Austria GmbH/Maxion Wheels de Mexico S de Real de CV                
5.000%, due 05/07/283     200,000     $ 185,000  
Mahle GmbH                
6.500%, due 05/02/312   EUR 100,000       105,784  
Nemak SAB de CV                
2.250%, due 07/20/282     125,000       121,375  
3.625%, due 06/28/313     200,000       158,376  
Phinia, Inc.                
6.625%, due 10/15/322     50,000       49,835  
6.750%, due 04/15/292     25,000       25,520  
Schaeffler AG                
4.500%, due 03/28/303   EUR 200,000       215,915  
4.750%, due 08/14/293     100,000       110,729  
Standard Profil Automotive GmbH                
6.250%, due 04/30/263     100,000       79,754  
Tenneco, Inc.                
8.000%, due 11/17/282     150,000       138,900  
ZF Europe Finance BV                
6.125%, due 03/13/293   EUR 300,000       333,602  
ZF Finance GmbH                
5.750%, due 08/03/263     100,000       111,447  
ZF North America Capital, Inc.                
6.875%, due 04/14/282     150,000       151,296  
6.875%, due 04/23/322     150,000       146,536  
              4,489,203  
Banks: 1.4%                
Access Bank PLC                
6.125%, due 09/21/263     200,000       190,312  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Banks—(continued)
Banco BPM SpA                
(fixed, converts to FRN on 01/19/27),                
3.375%, due 01/19/323,6   EUR   200,000     $ 214,909  
Barclays PLC                
(fixed, converts to FRN on 06/15/25),                
7.125%, due 06/15/256,9   GBP   200,000       257,890  
Citigroup, Inc.                
Series V, (fixed, converts to FRN on 01/30/25),                
4.700%, due 01/30/256,9     175,000       173,863  
Commerzbank AG                
(fixed, converts to FRN on 12/29/26),                
1.375%, due 12/29/313,6   EUR   200,000       207,152  
(fixed, converts to FRN on 12/05/25),                
4.000%, due 12/05/303,6     100,000       108,982  
(fixed, converts to FRN on 12/06/27),                
6.500%, due 12/06/323,6     100,000       116,177  
Deutsche Bank AG                
(fixed, converts to FRN on 05/19/26),                
5.625%, due 05/19/313,6     100,000       111,121  
Freedom Mortgage Corp.                
6.625%, due 01/15/272     250,000       247,052  
7.625%, due 05/01/262     75,000       75,270  
12.000%, due 10/01/282     25,000       27,011  
12.250%, due 10/01/302     25,000       27,535  
Goldman Sachs Group, Inc.                
Series R,                
(fixed, converts to FRN on 02/10/25),                
4.950%, due 02/10/256,9     75,000       74,546  

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Banks—(continued)
Intesa Sanpaolo SpA                
2.925%, due 10/14/303   EUR   250,000     $ 257,262  
JPMorgan Chase & Co.                
Series HH,                
(fixed, converts to FRN on 02/01/25),                
4.600%, due 02/01/256,9     75,000       74,640  
UniCredit SpA                
(fixed, converts to FRN on 01/15/27),                
2.731%, due 01/15/323,6   EUR   325,000       345,390  
              2,509,112  
Beverages: 0.2%                
Primo Water Holdings, Inc.                
3.875%, due 10/31/283     200,000       213,482  
4.375%, due 04/30/292     150,000       141,319  
Triton Water Holdings, Inc.                
6.250%, due 04/01/292     100,000       98,781  
              453,582  
Biotechnology: 0.1%                
Grifols SA                
3.875%, due 10/15/283   EUR   100,000       98,799  
                 
Building Materials: 1.9%                
AmeriTex HoldCo Intermediate LLC                
10.250%, due 10/15/282     50,000       52,609  
Builders FirstSource, Inc.                
4.250%, due 02/01/322     300,000       268,376  
5.000%, due 03/01/302     100,000       95,536  
6.375%, due 06/15/322     225,000       226,271  
Cemex SAB de CV                
(fixed, converts to FRN on 09/08/26),                
5.125%, due 06/08/263,6,9     600,000       582,366  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Building Materials—(continued)
EMRLD Borrower LP/Emerald Co-Issuer, Inc.                
6.375%, due 12/15/302   EUR   125,000     $ 142,770  
6.625%, due 12/15/302     100,000       101,702  
Griffon Corp.                
5.750%, due 03/01/28     250,000       245,502  
Knife River Corp.                
7.750%, due 05/01/312     50,000       52,381  
Masterbrand, Inc.                
7.000%, due 07/15/322     25,000       25,608  
Miter Brands Acquisition Holdco, Inc./MIWD Borrower LLC                
6.750%, due 04/01/322     75,000       76,294  
MIWD Holdco II LLC/MIWD Finance Corp.                
5.500%, due 02/01/302     75,000       71,657  
New Enterprise Stone & Lime Co., Inc.                
5.250%, due 07/15/282     75,000       72,575  
9.750%, due 07/15/282     100,000       101,512  
Oscar AcquisitionCo LLC/Oscar Finance, Inc.                
9.500%, due 04/15/302     50,000       48,849  
Project Grand U.K. PLC                
9.000%, due 06/01/292   EUR   100,000       112,528  
Sisecam U.K. PLC                
8.250%, due 05/02/292     200,000       204,876  
Smyrna Ready Mix Concrete LLC                
6.000%, due 11/01/282     225,000       223,147  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)                
Building Materials—(continued)                
Standard Industries, Inc.                
4.375%, due 07/15/302     175,000     $ 160,818  
5.000%, due 02/15/272     125,000       122,411  
6.500%, due 08/15/322     50,000       50,311  
Summit Materials LLC/Summit Materials Finance Corp.                
5.250%, due 01/15/292     100,000       99,139  
6.500%, due 03/15/272     50,000       49,992  
7.250%, due 01/15/312     45,000       46,753  
Victoria PLC                
3.625%, due 08/24/263   EUR   100,000       97,354  
West China Cement Ltd.                
4.950%, due 07/08/263     200,000       151,329  
Wilsonart LLC                
11.000%, due 08/15/322     75,000       73,857  
              3,556,523  
Chemicals: 3.6%
ASP Unifrax Holdings, Inc.                
5.850% Cash or 7.100% PIK,                
7.100%, due 09/30/292,8     19,750       11,652  
Avient Corp.                
6.250%, due 11/01/312     50,000       50,146  
7.125%, due 08/01/302     125,000       128,548  
Braskem Netherlands Finance BV                
4.500%, due 01/31/303     450,000       390,487  
8.000%, due 10/15/342     400,000       399,000  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Chemicals—(continued)
Chemours Co.                
4.000%, due 05/15/26   EUR   200,000     $ 215,897  
4.625%, due 11/15/292     50,000       43,410  
5.375%, due 05/15/27     75,000       72,212  
5.750%, due 11/15/282     175,000       161,537  
Consolidated Energy Finance SA                
5.000%, due 10/15/282   EUR   225,000       202,207  
Herens Midco SARL                
5.250%, due 05/15/293     200,000       164,365  
INEOS Quattro Finance 2 PLC                
6.750%, due 04/15/302     100,000       110,034  
8.500%, due 03/15/292     200,000       231,147  
Innophos Holdings, Inc.                
9.375%, due 02/15/282     100,000       94,167  
Iris Holdings, Inc.                
8.750% Cash or 9.500% PIK,                
8.750%, due 02/15/262,8     125,000       116,430  
Italmatch Chemicals SpA                
10.000%, due 02/06/282   EUR   125,000       144,144  
Mativ Holdings, Inc.                
8.000%, due 10/01/292     50,000       50,878  
Methanex Corp.                
5.125%, due 10/15/27     75,000       72,990  
Minerals Technologies, Inc.                
5.000%, due 07/01/282     100,000       96,750  
Nobian Finance BV                
3.625%, due 07/15/263   EUR   125,000       134,330  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Chemicals—(continued)
NOVA Chemicals Corp.                
4.250%, due 05/15/292     50,000     $ 45,551  
5.250%, due 06/01/272     75,000       73,612  
8.500%, due 11/15/282     125,000       132,532  
9.000%, due 02/15/302     150,000       159,761  
OCP SA                
6.875%, due 04/25/443     500,000       491,405  
7.500%, due 05/02/542     200,000       206,876  
Olin Corp.                
5.625%, due 08/01/29     150,000       147,885  
Olympus Water U.S. Holding Corp.                
5.375%, due 10/01/293   EUR   225,000       232,548  
6.250%, due 10/01/292     200,000       190,749  
9.625%, due 11/15/283   EUR   125,000       145,102  
9.750%, due 11/15/282     200,000       212,182  
Polar U.S. Borrower LLC/Schenectady International Group, Inc.                
6.750%, due 05/15/262     125,000       59,062  
Rain Carbon, Inc.                
12.250%, due 09/01/292     50,000       53,310  
Sasol Financing USA LLC                
4.500%, due 11/08/273     200,000       180,060  
SCIH Salt Holdings, Inc.                
4.875%, due 05/01/282     25,000       23,938  
6.625%, due 05/01/292     150,000       145,625  
SCIL IV LLC/SCIL USA Holdings LLC                
9.500%, due 07/15/282   EUR   150,000       175,400  
9.500%, due 07/15/283,10     100,000       116,933  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Chemicals—(continued)
Synthomer PLC                
7.375%, due 05/02/292     125,000     $ 141,571  
7.375%, due 05/02/293     100,000       113,256  
Trinseo Materials Operating SCA/Trinseo Materials Finance, Inc.                
5.125%, due 04/01/292     240,000       128,751  
5.375%, due 09/01/252     46,000       41,389  
Tronox, Inc.                
4.625%, due 03/15/292     150,000       136,093  
UPL Corp. Ltd.                
(fixed, converts to FRN on 05/27/25),                
5.250%, due 02/27/253,6,9     200,000       157,876  
WR Grace Holdings LLC                
4.875%, due 06/15/272     125,000       122,655  
5.625%, due 08/15/292     125,000       115,458  
7.375%, due 03/01/312     50,000       51,677  
              6,691,588  
Coal: 0.0%†
Cloud Peak Energy Resources LLC/Cloud Peak Energy Finance Corp.                
3.000%, due 03/15/244,5,11     550,000       5,500  
Coronado Finance Pty. Ltd.                
9.250%, due 10/01/292     25,000       25,576  
Murray Energy Corp.                
9.000% Cash and 3.000% PIK,                
12.000%, due 04/15/242,4,5,8,12     1,268,693       0  
              31,076  
Commercial services: 4.2%
ADT Security Corp.                
4.125%, due 08/01/292     25,000       23,376  
4.875%, due 07/15/322     150,000       139,789  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Commercial services—(continued)
Adtalem Global Education, Inc.                
5.500%, due 03/01/282     81,000     $ 79,291  
Allied Universal Holdco LLC                
7.875%, due 02/15/312     25,000       25,442  
Allied Universal Holdco LLC/Allied Universal Finance Corp.                
6.000%, due 06/01/292     200,000       183,000  
9.750%, due 07/15/272     250,000       250,602  
Allied Universal Holdco LLC/Allied Universal Finance Corp./Atlas Luxco 4 SARL                
3.625%, due 06/01/282   EUR   100,000       102,405  
4.625%, due 06/01/282     200,000       187,262  
4.875%, due 06/01/283   GBP   150,000       177,022  
Alta Equipment Group, Inc.                
9.000%, due 06/01/292     50,000       44,407  
AMN Healthcare, Inc.                
4.000%, due 04/15/292     250,000       230,400  
4.625%, due 10/01/272     25,000       24,088  
APCOA Group GmbH                
6.000%, due 04/15/312   EUR   200,000       216,723  
APi Group DE, Inc.                
4.125%, due 07/15/292     175,000       161,408  
Arena Luxembourg Finance SARL                
1.875%, due 02/01/283   EUR   125,000       129,170  
Avis Budget Car Rental LLC/Avis Budget Finance, Inc.                
5.375%, due 03/01/292     200,000       186,146  
5.750%, due 07/15/272     25,000       24,540  
5.750%, due 07/15/272     25,000       24,386  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Commercial services—(continued)
Avis Budget Finance PLC                
7.250%, due 07/31/302   EUR   200,000     $ 218,692  
BCP V Modular Services Finance II PLC                
4.750%, due 11/30/283     100,000       105,005  
BCP V Modular Services Finance PLC                
6.750%, due 11/30/293     150,000       141,543  
Belron U.K. Finance PLC                
4.625%, due 10/15/292     200,000       220,528  
Block, Inc.                
6.500%, due 05/15/322     75,000       76,332  
Boels Topholding BV                
5.750%, due 05/15/302   EUR   100,000       112,194  
5.750%, due 05/15/303     100,000       112,194  
Boost Newco Borrower LLC/GTCR W Dutch Finance Sub BV                
8.500%, due 01/15/313   GBP   100,000       139,087  
Brink's Co.                
6.500%, due 06/15/292     75,000       76,504  
6.750%, due 06/15/322     100,000       101,840  
Carriage Services, Inc.                
4.250%, due 05/15/292     75,000       68,538  
Champions Financing, Inc.                
8.750%, due 02/15/292     25,000       25,238  
CPI CG, Inc.                
10.000%, due 07/15/292     50,000       52,375  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Commercial services—(continued)
EquipmentShare.com, Inc.                
8.000%, due 03/15/332     125,000     $ 126,205  
GEO Group, Inc.                
8.625%, due 04/15/29     75,000       78,450  
10.250%, due 04/15/31     100,000       107,181  
Herc Holdings, Inc.                
6.625%, due 06/15/292     75,000       76,737  
Hertz Corp.                
3.000%, due 01/15/282     50,000       8,375  
4.625%, due 12/01/262     25,000       18,886  
La Financiere Atalian                
3.500% Cash and 5.000% PIK,                
8.500%, due 06/30/288   EUR   323,201       164,115  
Loxam SAS                
6.375%, due 05/31/292     100,000       113,746  
Matthews International Corp.                
8.625%, due 10/01/272     100,000       103,148  
Mavis Tire Express Services Topco Corp.                
6.500%, due 05/15/292     325,000       311,465  
Mundys SpA                
1.875%, due 02/12/283   EUR   225,000       233,012  
Neptune Bidco U.S., Inc.                
9.290%, due 04/15/292     275,000       256,995  
NESCO Holdings II, Inc.                
5.500%, due 04/15/292     125,000       116,328  
Paysafe Finance PLC/Paysafe Holdings U.S. Corp.                
4.000%, due 06/15/292     100,000       92,301  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Commercial services—(continued)
Prime Security Services Borrower LLC/Prime Finance, Inc.                
6.250%, due 01/15/282     75,000     $ 74,920  
PROG Holdings, Inc.                
6.000%, due 11/15/292     25,000       24,164  
Q-Park Holding I BV                
5.125%, due 02/15/302   EUR   100,000       111,219  
Rekeep SpA                
7.250%, due 02/01/263     175,000       183,218  
RR Donnelley & Sons Co.                
9.500%, due 08/01/292     75,000       75,529  
10.875%, due 08/01/292     75,000       73,944  
Service Corp. International                
3.375%, due 08/15/30     25,000       22,155  
4.000%, due 05/15/31     225,000       202,918  
5.750%, due 10/15/32     100,000       98,233  
United Rentals North America, Inc.                
3.750%, due 01/15/32     75,000       66,505  
3.875%, due 02/15/31     125,000       113,399  
4.000%, due 07/15/30     225,000       207,788  
5.250%, due 01/15/30     275,000       270,669  
5.500%, due 05/15/27     25,000       24,952  
6.125%, due 03/15/342     25,000       25,209  
Verisure Holding AB                
7.125%, due 02/01/282   EUR   125,000       141,408  
9.250%, due 10/15/273     80,000       91,240  
Verisure Midholding AB                
5.250%, due 02/15/293     100,000       108,571  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Commercial services—(continued)
Vortex Opco LLC                
8.000%, due 04/30/302     78,375     $ 29,391  
WASH Multifamily Acquisition, Inc.                
5.750%, due 04/15/262     100,000       99,753  
Williams Scotsman, Inc.                
4.625%, due 08/15/282     75,000       71,694  
6.125%, due 06/15/252     60,000       59,908  
6.625%, due 06/15/292     50,000       50,759  
              7,694,017  
Computers: 0.7%
Amentum Holdings, Inc.                
7.250%, due 08/01/322     75,000       77,683  
ASGN, Inc.                
4.625%, due 05/15/282     175,000       167,110  
CA Magnum Holdings                
5.375%, due 10/31/263     200,000       196,250  
Exela Intermediate LLC/Exela Finance, Inc.                
5.75% Cash and 5.75% PIK,                
11.500%, due 04/15/262,8     162,951       26,887  
Insight Enterprises, Inc.                
6.625%, due 05/15/322     25,000       25,558  
McAfee Corp.                
7.375%, due 02/15/302     75,000       72,307  
NCR Atleos Corp.                
9.500%, due 04/01/292     200,000       220,121  
NCR Voyix Corp.                
5.000%, due 10/01/282     125,000       120,246  
5.125%, due 04/15/292     88,000       84,101  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Computers—(continued)
Seagate HDD Cayman                
4.125%, due 01/15/31     80,000     $ 71,942  
9.625%, due 12/01/32     226,125       257,710  
Western Digital Corp.                
4.750%, due 02/15/26     50,000       49,412  
              1,369,327  
Construction materials: 0.1%
JELD-WEN, Inc.                
7.000%, due 09/01/322     50,000       49,552  
Limak Cimento Sanayi ve Ticaret AS                
9.750%, due 07/25/293     200,000       194,000  
              243,552  
Cosmetics/Personal Care: 0.1%
Coty, Inc.                
5.750%, due 09/15/282   EUR   100,000       113,350  
                 
Distribution & wholesale: 0.5%
American Builders & Contractors Supply Co., Inc.                
4.000%, due 01/15/282     50,000       47,521  
Azelis Finance NV                
5.750%, due 03/15/283   EUR   300,000       336,771  
BCPE Empire Holdings, Inc.                
7.625%, due 05/01/272     175,000       176,040  
Li & Fung Ltd.                
5.250%, due 05/03/253,9     200,000       109,123  
OPENLANE, Inc.                
5.125%, due 06/01/252     16,000       15,905  
Resideo Funding, Inc.                
4.000%, due 09/01/292     50,000       45,894  
6.500%, due 07/15/322     50,000       50,321  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Distribution & wholesale—(continued)
Ritchie Bros Holdings, Inc.                
6.750%, due 03/15/282     50,000     $ 51,271  
7.750%, due 03/15/312     25,000       26,340  
Velocity Vehicle Group LLC                
8.000%, due 06/01/292     25,000       25,757  
Windsor Holdings III LLC                
8.500%, due 06/15/302     50,000       52,621  
              937,564  
Diversified financial services: 3.7%
4finance SA                
10.750%, due 10/26/26   EUR   200,000       213,832  
AG Issuer LLC                
6.250%, due 03/01/282     100,000       97,913  
AG TTMT Escrow Issuer LLC                
8.625%, due 09/30/272     25,000       25,828  
Ally Financial, Inc.                
Series B,                
(fixed, converts to FRN on 05/15/26),                
4.700%, due 05/15/266,9     100,000       89,962  
6.700%, due 02/14/33     75,000       75,317  
Azorra Finance Ltd.                
7.750%, due 04/15/302     50,000       49,405  
Bracken MidCo1 PLC                
6.750% Cash or 7.500% PIK,                
6.750%, due 11/01/273,8   GBP   100,000       126,044  
Bread Financial Holdings, Inc.                
9.750%, due 03/15/292     75,000       79,218  
Bubbles Holdco SPA                
3 mo. EURIBOR + 4.250%,                
7.496%, due 09/30/312,6   EUR   100,000       108,366  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Diversified financial services—(continued)
Coinbase Global, Inc.                
0.500%, due 06/01/26     25,000     $ 24,106  
3.375%, due 10/01/282     325,000       288,875  
3.625%, due 10/01/312     275,000       229,334  
Credito Real SAB de CV SOFOM ER                
5.000%, due 02/01/273,12   EUR   275,000       27,164  
doValue SpA                
3.375%, due 07/31/262     150,000       158,561  
Enova International, Inc.                
9.125%, due 08/01/292     25,000       25,664  
Focus Financial Partners LLC                
6.750%, due 09/15/312     50,000       49,672  
Freedom Mortgage Holdings LLC                
9.250%, due 02/01/292     75,000       76,809  
Garfunkelux Holdco 3 SA                
7.750%, due 11/01/253   GBP   225,000       183,650  
GGAM Finance Ltd.                
5.875%, due 03/15/302     75,000       73,969  
6.875%, due 04/15/292     25,000       25,477  
8.000%, due 02/15/272     25,000       25,828  
goeasy Ltd.                
6.875%, due 05/15/302,7     75,000       76,191  
7.625%, due 07/01/292     150,000       154,052  
9.250%, due 12/01/282     50,000       53,316  
Hightower Holding LLC                
9.125%, due 01/31/302     50,000       52,716  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Diversified financial services—(continued)                
International Personal Finance PLC                
9.750%, due 11/12/25   EUR   100,000     $ 109,591  
Intrum AB                
9.250%, due 03/15/283     100,000       80,645  
Jane Street Group/JSG Finance, Inc.                
4.500%, due 11/15/292     75,000       70,962  
6.125%, due 11/01/322     100,000       100,065  
Jefferson Capital Holdings LLC                
6.000%, due 08/15/262     100,000       99,654  
9.500%, due 02/15/292     100,000       106,366  
Jerrold Finco PLC                
7.875%, due 04/15/302   GBP   100,000       132,310  
Macquarie Airfinance Holdings Ltd.                
6.500%, due 03/26/312     25,000       25,971  
Midcap Financial Issuer Trust                
6.500%, due 05/01/282     200,000       189,038  
Nationstar Mortgage Holdings, Inc.                
5.125%, due 12/15/302     75,000       70,213  
5.500%, due 08/15/282     100,000       97,578  
5.750%, due 11/15/312     50,000       47,823  
6.000%, due 01/15/272     75,000       74,728  
7.125%, due 02/01/322     50,000       51,120  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Diversified financial services—(continued)                
Navient Corp.                
5.000%, due 03/15/27     231,000     $ 227,094  
5.500%, due 03/15/29     125,000       119,077  
Series A,                
5.625%, due 08/01/33     150,000       129,438  
6.750%, due 06/15/26     150,000       152,865  
9.375%, due 07/25/30     75,000       81,655  
11.500%, due 03/15/31     100,000       112,240  
Newday Bondco PLC                
13.250%, due 12/15/263   GBP     92,700       128,079  
OneMain Finance Corp.                
3.875%, due 09/15/28     25,000       23,043  
4.000%, due 09/15/30     75,000       66,022  
5.375%, due 11/15/29     25,000       23,959  
6.625%, due 01/15/28     75,000       76,177  
7.125%, due 03/15/26     100,000       102,449  
7.125%, due 11/15/31     50,000       50,572  
7.500%, due 05/15/31     100,000       102,265  
7.875%, due 03/15/30     250,000       260,262  
ONEMAIN FINANCE Corp.                
6.625%, due 05/15/29     50,000       50,000  
PennyMac Financial Services, Inc.                
4.250%, due 02/15/292     175,000       163,236  
5.750%, due 09/15/312     75,000       71,601  
7.875%, due 12/15/292     125,000       130,872  
PHH Escrow Issuer LLC                
9.875%, due 11/01/292,7     50,000       49,000  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Diversified financial services—(continued)
PRA Group, Inc.                
8.375%, due 02/01/282     100,000     $ 102,826  
Rocket Mortgage LLC/Rocket Mortgage Co-Issuer, Inc.                
3.625%, due 03/01/292     75,000       69,081  
3.875%, due 03/01/312     75,000       66,799  
4.000%, due 10/15/332     250,000       215,614  
StoneX Group, Inc.                
7.875%, due 03/01/312     25,000       26,300  
Synchrony Financial                
7.250%, due 02/02/33     75,000       76,791  
Titanium 2l Bondco SARL                
6.250%, due 01/14/318   EUR   215,800       83,942  
VFH Parent LLC/Valor Co-Issuer, Inc.                
7.500%, due 06/15/312     25,000       25,671  
VistaJet Malta Finance PLC/Vista Management Holding, Inc.                
6.375%, due 02/01/302     100,000       85,599  
7.875%, due 05/01/272     175,000       170,357  
World Acceptance Corp.                
7.000%, due 11/01/262     100,000       98,985  
              6,789,204  
Electric: 3.4%
AES Andes SA                
(fixed, converts to FRN on 04/07/25),                
6.350%, due 10/07/793,6     200,000       198,208  
AES Corp.                
(fixed, converts to FRN on 01/15/30),                
7.600%, due 01/15/556     75,000       77,727  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Electric—(continued)
AES Espana BV                
5.700%, due 05/04/282     400,000     $ 379,876  
Alpha Generation LLC                
6.750%, due 10/15/322     100,000       101,405  
American Electric Power Co., Inc.                
(fixed, converts to FRN on 12/15/34),                
6.950%, due 12/15/546     50,000       52,334  
(fixed, converts to FRN on 12/15/29),                
7.050%, due 12/15/546     75,000       77,632  
Aydem Yenilenebilir Enerji AS                
7.750%, due 02/02/273     300,000       297,844  
California Buyer Ltd./Atlantica Sustainable Infrastructure PLC                
5.625%, due 02/15/322,7   EUR   125,000       139,206  
Calpine Corp.                
4.500%, due 02/15/282     25,000       24,079  
5.000%, due 02/01/312     100,000       94,374  
5.125%, due 03/15/282     325,000       317,634  
Clearway Energy Operating LLC                
3.750%, due 01/15/322     50,000       44,307  
4.750%, due 03/15/282     50,000       48,500  
ContourGlobal Power Holdings SA                
3.125%, due 01/01/282   EUR   100,000       103,893  
3.125%, due 01/01/283     200,000       207,786  
Electricidad Firme de Mexico Holdings SA de CV                
4.900%, due 11/20/262     200,000       193,162  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Electric—(continued)
Electricite de France SA                
(fixed, converts to FRN on 01/29/25),                
5.375%, due 01/29/253,6,9   EUR   100,000     $ 109,060  
Energia Group Roi Financeco DAC                
6.875%, due 07/31/282     250,000       284,691  
Eskom Holdings SOC Ltd.                
6.350%, due 08/10/283     200,000       199,750  
Instituto Costarricense de Electricidad                
6.375%, due 05/15/433     200,000       185,250  
Investment Energy Resources Ltd.                
6.250%, due 04/26/292     200,000       192,892  
Leeward Renewable Energy Operations LLC                
4.250%, due 07/01/292     50,000       46,784  
Lightning Power LLC                
7.250%, due 08/15/322     100,000       104,034  
Mong Duong Finance Holdings BV                
5.125%, due 05/07/292     316,230       307,338  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Electric—(continued)
NRG Energy, Inc.                
3.375%, due 02/15/292     50,000     $ 45,592  
3.625%, due 02/15/312     25,000       22,134  
5.250%, due 06/15/292     150,000       146,580  
5.750%, due 01/15/28     25,000       25,013  
5.750%, due 07/15/292     175,000       174,562  
6.000%, due 02/01/332     75,000       74,585  
6.250%, due 11/01/342     75,000     74,921  
(fixed, converts to FRN on 03/15/28),                
10.250%, due 03/15/282,6,9     125,000       137,950  
PG&E Corp.                
5.000%, due 07/01/28     150,000       146,302  
(fixed, converts to FRN on 03/15/30),                
7.375%, due 03/15/556     25,000       25,823  
Pike Corp.                
8.625%, due 01/31/312     25,000       26,562  
RRI Energy, Inc.                
3.000%, due 06/15/174,5,12     75,000       0  
Talen Energy Supply LLC                
8.625%, due 06/01/302     125,000       134,841  
Termocandelaria Power SA                
7.750%, due 09/17/312     200,000       200,500  
TransAlta Corp.                
7.750%, due 11/15/29     50,000       52,800  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Electric—(continued)
Vistra Corp.                
(fixed, converts to FRN on 12/15/26),                
7.000%, due 12/15/262,6,9     175,000     $ 176,478  
(fixed, converts to FRN on 10/15/26),                
8.000%, due 10/15/262,6,9     125,000       128,395  
Vistra Operations Co. LLC                
4.375%, due 05/01/292     100,000       95,190  
5.000%, due 07/31/272     50,000       49,342  
5.500%, due 09/01/262     275,000       274,170  
5.625%, due 02/15/272     75,000       74,806  
6.875%, due 04/15/322     150,000       155,108  
7.750%, due 10/15/312     150,000       158,456  
              6,187,876  
Electrical components & equipment: 0.3%
Belden, Inc.                
3.375%, due 07/15/313   EUR   300,000       309,139  
Energizer Holdings, Inc.                
6.500%, due 12/31/272     50,000       50,570  
EnerSys                
6.625%, due 01/15/322     25,000       25,676  
Nexans SA                
4.125%, due 05/29/293   EUR   100,000       110,698  
Senvion Holding GmbH                
3.875%, due 10/25/223,12     400,000       1,088  
WESCO Distribution, Inc.                
6.625%, due 03/15/322     25,000       25,619  
              522,790  
Electronics: 0.7%
Coherent Corp.                
5.000%, due 12/15/292     225,000       215,843  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Electronics—(continued)
EquipmentShare.com, Inc.                
8.625%, due 05/15/322     100,000     $ 103,161  
Imola Merger Corp.                
4.750%, due 05/15/292     600,000       580,031  
Sensata Technologies BV                
4.000%, due 04/15/292     200,000       187,020  
Sensata Technologies, Inc.                
3.750%, due 02/15/312     75,000       66,938  
TTM Technologies, Inc.                
4.000%, due 03/01/292     200,000       186,982  
              1,339,975  
Energy-Alternate Sources: 0.6%                
Continuum Energy Aura Pte. Ltd.                
9.500%, due 02/24/273     400,000       419,125  
Greenko Power II Ltd.                
4.300%, due 12/13/282     216,875       202,271  
ReNew Pvt Ltd.                
5.875%, due 03/05/272     299,000       292,646  
TerraForm Power Operating LLC                
4.750%, due 01/15/302     125,000       116,629  
5.000%, due 01/31/282     50,000       48,851  
              1,079,522  
Engineering & construction: 1.1%                
Aeropuertos Argentina 2000 SA                
8.500%, due 08/01/313     100,000       103,552  
Aeropuertos Dominicanos Siglo XXI SA                
7.000%, due 06/30/343     200,000       204,000  
Arcosa, Inc.                
6.875%, due 08/15/322     50,000       51,318  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Engineering & construction—(continued)                
IHS Holding Ltd.                
5.625%, due 11/29/263     200,000     $ 195,908  
6.250%, due 11/29/283     350,000       328,055  
Kingston Airport Revenue Finance Ltd.                
6.750%, due 12/15/362     400,000       404,948  
OHL Operaciones SA                
5.100% Cash or 4.650% PIK,                
9.750%, due 03/31/262,8   EUR   101,350       104,731  
Sarens Finance Co. NV                
5.750%, due 02/21/273     338,000       365,039  
TopBuild Corp.                
4.125%, due 02/15/322     75,000       66,862  
Weekley Homes LLC/Weekley Finance Corp.                
4.875%, due 09/15/282     200,000       191,104  
              2,015,517  
Entertainment: 3.4%                
888 Acquisitions Ltd.                
10.750%, due 05/15/303   GBP   200,000       257,890  
Affinity Interactive                
6.875%, due 12/15/272     150,000       122,836  
Allwyn Entertainment Financing U.K. PLC                
7.250%, due 04/30/302   EUR   125,000       143,957  
AMC Entertainment Holdings, Inc.                
5.875%, due 11/15/26     25,000       22,334  
7.500%, due 02/15/292     125,000       107,839  
10.000% Cash or 12.000% PIK,                
10.000%, due 06/15/262,8     74,932       75,163  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Entertainment—(continued)
Boyne USA, Inc.                
4.750%, due 05/15/292     50,000     $ 47,681  
Caesars Entertainment, Inc.                
4.625%, due 10/15/292     250,000       234,385  
6.000%, due 10/15/322     50,000       48,771  
6.500%, due 02/15/322     50,000       50,706  
Cedar Fair LP/Canada's Wonderland Co./Magnum Management Corp./Millennium Op                
5.250%, due 07/15/29     25,000       24,082  
6.500%, due 10/01/28     200,000       201,697  
Churchill Downs, Inc.                
4.750%, due 01/15/282     25,000       24,254  
5.500%, due 04/01/272     150,000       149,106  
5.750%, due 04/01/302     125,000       123,057  
Cinemark USA, Inc.                
5.250%, due 07/15/282     50,000       49,059  
7.000%, due 08/01/322     50,000       51,252  
Cirsa Finance International SARL                
6.500%, due 03/15/293   EUR   100,000       114,388  
Codere Finance 2 Luxembourg SA                
8.000% Cash or 3.000% PIK,                
11.000%, due 09/30/263,8     100,556       47,580  
8.000% Cash or 3.000% PIK,                
11.000%, due 09/30/262,8     61,563       29,130  
13.000%, due 06/30/253     6,555       7,023  
Empire Resorts, Inc.                
7.750%, due 11/01/263     300,000       285,750  
Everi Holdings, Inc.                
5.000%, due 07/15/292     50,000       49,610  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Entertainment—(continued)
Great Canadian Gaming Corp.                
8.750%, due 11/15/292,7     50,000     $ 50,000  
IGT Lottery Holdings BV                
4.250%, due 03/15/302   EUR   100,000       109,396  
Inter Media & Communication SpA                
6.750%, due 02/09/273     247,847       274,718  
6.750%, due 02/09/272     99,139       109,887  
International Game Technology PLC                
4.125%, due 04/15/262     200,000       197,125  
Jacobs Entertainment, Inc.                
6.750%, due 02/15/292     225,000       221,458  
LHMC Finco 2 SARL                
7.250% Cash or 8.000% PIK,                
7.250%, due 10/02/253,8   EUR   202,018       219,749  
Light & Wonder International, Inc.                
7.000%, due 05/15/282     175,000       175,743  
7.250%, due 11/15/292     25,000       25,561  
Lions Gate Capital Holdings LLC                
5.500%, due 04/15/292     50,000       36,077  
Live Nation Entertainment, Inc.                
3.750%, due 01/15/282     125,000       118,422  
4.750%, due 10/15/272     150,000       145,975  
5.625%, due 03/15/262     225,000       224,063  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Entertainment—(continued)
Lottomatica SpA                
5.375%, due 06/01/302   EUR   100,000     $ 112,665  
3 mo. EURIBOR + 3.250%,                
6.755%, due 06/01/312,6     100,000       109,407  
7.125%, due 06/01/282     100,000       114,457  
Melco Resorts Finance Ltd.                
7.625%, due 04/17/322     200,000       202,530  
Midwest Gaming Borrower LLC/Midwest Gaming Finance Corp.                
4.875%, due 05/01/292     125,000       118,005  
Mohegan Tribal Gaming Authority                
8.000%, due 02/01/262     150,000       148,991  
Motion Finco SARL                
7.375%, due 06/15/302   EUR   225,000       244,795  
Penn Entertainment, Inc.                
4.125%, due 07/01/292     225,000       202,278  
Playtech PLC                
4.250%, due 03/07/263   EUR   125,000       135,815  
Premier Entertainment Sub LLC/Premier Entertainment Finance Corp.                
5.625%, due 09/01/292     125,000       88,438  
5.875%, due 09/01/312     125,000       80,648  
Raptor Acquisition Corp./Raptor Co-Issuer LLC                
4.875%, due 11/01/262     75,000       74,374  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Entertainment—(continued)
Scientific Games Holdings LP/Scientific Games U.S. FinCo, Inc.                
6.625%, due 03/01/302     50,000     $ 48,745  
SeaWorld Parks & Entertainment, Inc.                
5.250%, due 08/15/292     150,000       144,060  
Six Flags Entertainment Corp.                
5.500%, due 04/15/272     25,000       24,851  
Wynn Resorts Finance LLC/Wynn Resorts Capital Corp.                
5.125%, due 10/01/292     125,000       121,353  
6.250%, due 03/15/332     75,000       74,649  
7.125%, due 02/15/312     75,000       78,899  
              6,300,684  
Environmental control: 0.3%
Clean Harbors, Inc.                
6.375%, due 02/01/312     50,000       50,376  
GFL Environmental, Inc.                
6.750%, due 01/15/312     50,000       51,481  
Madison IAQ LLC                
5.875%, due 06/30/292     100,000       94,847  
Paprec Holding SA                
7.250%, due 11/17/292   EUR   100,000       114,914  
7.250%, due 11/17/293     125,000       143,642  
Reworld Holding Corp.                
5.000%, due 09/01/30     100,000       91,898  
              547,158  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Food: 1.8%
Albertsons Cos., Inc./Safeway, Inc./New Albertsons LP/Albertsons LLC                
3.500%, due 03/15/292     25,000     $ 23,098  
4.625%, due 01/15/272     175,000       171,691  
4.875%, due 02/15/302     175,000       170,451  
5.875%, due 02/15/282     50,000       50,080  
6.500%, due 02/15/282     150,000       153,497  
B&G Foods, Inc.                
8.000%, due 09/15/282     75,000       77,917  
Boparan Finance PLC                
7.625%, due 11/30/253   GBP   125,000       160,778  
C&S Group Enterprises LLC                
5.000%, due 12/15/282     50,000       41,386  
Chobani Holdco II LLC                
8.750% Cash or 9.500% PIK,                
8.750%, due 10/01/292,8     25,000       25,791  
Chobani LLC/Chobani Finance Corp., Inc.                
7.625%, due 07/01/292     50,000       52,126  
Ingles Markets, Inc.                
4.000%, due 06/15/312     175,000       156,139  
KeHE Distributors LLC/KeHE Finance Corp./NextWave Distribution, Inc.                
9.000%, due 02/15/292     175,000       181,206  
Kroger Co.                
5.000%, due 09/15/34     100,000       98,361  
5.650%, due 09/15/64     25,000       24,294  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Food—(continued)
Lamb Weston Holdings, Inc.                
4.125%, due 01/31/302     75,000     $ 69,634  
4.375%, due 01/31/322     125,000       114,515  
Minerva Luxembourg SA                
4.375%, due 03/18/313     200,000       168,250  
Performance Food Group, Inc.                
4.250%, due 08/01/292     125,000       116,997  
5.500%, due 10/15/272     50,000       49,576  
6.125%, due 09/15/322     50,000       50,209  
Pilgrim's Pride Corp.                
6.250%, due 07/01/33     75,000       77,855  
Post Holdings, Inc.                
4.500%, due 09/15/312     50,000       45,518  
4.625%, due 04/15/302     350,000       327,105  
5.500%, due 12/15/292     75,000       73,149  
5.625%, due 01/15/282     10,000       10,082  
6.250%, due 10/15/342     25,000       24,724  
Rallye SA                
Series COFP,                
5.250%, due 02/28/323   EUR   800,000       421  
Simmons Foods, Inc./Simmons Prepared Foods, Inc./Simmons Pet Food, Inc./Simmons Feed                
4.625%, due 03/01/292     175,000       162,108  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Food—(continued)
U.S. Foods, Inc.                
4.750%, due 02/15/292     200,000     $ 192,667  
5.750%, due 04/15/332     25,000       24,620  
6.875%, due 09/15/282     50,000       51,396  
7.250%, due 01/15/322     50,000       51,951  
Ulker Biskuvi Sanayi AS                
7.875%, due 07/08/312     200,000       204,500  
United Natural Foods, Inc.                
6.750%, due 10/15/282     25,000       24,125  
Viking Baked Goods Acquisition Corp.                
8.625%, due 11/01/312,7     75,000       74,761  
              3,300,978  
Food service: 0.1%                
Aramark Services, Inc.                
5.000%, due 02/01/282     25,000       24,549  
TKC Holdings, Inc.                
10.500%, due 05/15/292     100,000       101,014  
              125,563  
Forest products & paper: 0.1%                
Appcion                
9.000%, due 06/01/252,4,5,11,12     650,000       6,500  
Domtar Corp.                
6.750%, due 10/01/282     83,000       75,892  
Mercer International, Inc.                
5.125%, due 02/01/29     50,000       43,152  
12.875%, due 10/01/282     25,000       26,471  
              152,015  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Gas: 0.4%
AmeriGas Partners LP/AmeriGas Finance Corp.                
5.500%, due 05/20/25     19,000     $ 18,936  
5.750%, due 05/20/27     150,000       144,670  
5.875%, due 08/20/26     50,000       48,993  
EP Infrastructure AS                
1.698%, due 07/30/263   EUR   100,000       104,411  
2.045%, due 10/09/283     150,000       149,840  
UGI International LLC                
2.500%, due 12/01/293     175,000       174,728  
              641,578  
Hand & machine tools: 0.2%
Dynamo Newco II GmbH                
6.250%, due 10/15/312     150,000       164,133  
IMA Industria Macchine Automatiche SpA                
3.750%, due 01/15/283     100,000       106,230  
Werner FinCo LP/Werner FinCo, Inc.                
11.500%, due 06/15/282     25,000       27,792  
8.750% Cash and 5.750% PIK,                
14.500%, due 10/15/282,8     134,571       137,472  
              435,627  
Healthcare-products: 0.9%
Avantor Funding, Inc.                
3.875%, due 07/15/283   EUR   100,000       108,344  
3.875%, due 11/01/292     100,000       92,231  
4.625%, due 07/15/282     225,000       217,557  
Bausch & Lomb Corp.                
8.375%, due 10/01/282     175,000       183,605  
Embecta Corp.                
5.000%, due 02/15/302     25,000       22,629  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Healthcare-products—(continued)
Marcolin SpA                
6.125%, due 11/15/263   EUR   200,000     $ 218,094  
Medline Borrower LP                
5.250%, due 10/01/292     375,000       363,226  
RAY Financing LLC                
6.500%, due 07/15/312   EUR   250,000       281,455  
Sotera Health Holdings LLC                
7.375%, due 06/01/312     100,000       102,406  
              1,589,547  
Healthcare-services: 2.9%
Acadia Healthcare Co., Inc.                
5.000%, due 04/15/292     100,000       93,907  
5.500%, due 07/01/282     125,000       121,269  
AHP Health Partners, Inc.                
5.750%, due 07/15/292     100,000       96,926  
Catalent Pharma Solutions, Inc.                
2.375%, due 03/01/283   EUR   175,000       185,784  
3.125%, due 02/15/292     50,000       48,542  
Charles River Laboratories International, Inc.                
4.000%, due 03/15/312     82,000       73,289  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Healthcare-services—(continued)
CHS/Community Health Systems, Inc.                
4.750%, due 02/15/312     250,000     $ 208,492  
5.250%, due 05/15/302     125,000       109,092  
5.625%, due 03/15/272     175,000       170,671  
6.000%, due 01/15/292     75,000       70,630  
6.125%, due 04/01/302     150,000       117,447  
6.875%, due 04/01/282     23,000       19,084  
6.875%, due 04/15/292     250,000       211,138  
8.000%, due 12/15/272     250,000       249,591  
10.875%, due 01/15/322     300,000       321,514  
Concentra Escrow Issuer Corp.                
6.875%, due 07/15/322     100,000       102,618  
DaVita, Inc.                
4.625%, due 06/01/302     150,000       138,093  
Encompass Health Corp.                
4.750%, due 02/01/30     125,000       120,226  
Fortrea Holdings, Inc.                
7.500%, due 07/01/302     25,000       24,584  
IQVIA, Inc.                
2.250%, due 03/15/293   EUR   200,000       204,867  
6.500%, due 05/15/302     200,000       205,446  
LifePoint Health, Inc.                
5.375%, due 01/15/292     100,000       91,500  
10.000%, due 06/01/322     125,000       133,370  
11.000%, due 10/15/302     75,000       83,603  
ModivCare, Inc.                
5.000%, due 10/01/292     75,000       51,065  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Healthcare-services—(continued)
Molina Healthcare, Inc.                
3.875%, due 11/15/302     75,000     $ 67,912  
3.875%, due 05/15/322     75,000       66,488  
4.375%, due 06/15/282     150,000       143,919  
MPH Acquisition Holdings LLC                
5.500%, due 09/01/282     200,000       135,877  
Radiology Partners, Inc.                
4.275% Cash and 3.500% PIK,                
7.775%, due 01/31/292,8     90,625       89,266  
Select Medical Corp.                
6.250%, due 08/15/262     125,000       125,262  
Surgery Center Holdings, Inc.                
7.250%, due 04/15/322     75,000       77,010  
Tenet Healthcare Corp.                
4.250%, due 06/01/29     50,000       47,301  
4.375%, due 01/15/30     75,000       70,315  
5.125%, due 11/01/27     175,000       173,521  
6.125%, due 10/01/28     450,000       449,572  
6.125%, due 06/15/30     275,000       276,287  
6.250%, due 02/01/27     50,000       50,038  
6.750%, due 05/15/31     250,000       255,574  
U.S. Acute Care Solutions LLC                
9.750%, due 05/15/292     75,000       76,498  
              5,357,588  
Holding companies-divers: 0.1%
ProGroup AG                
5.375%, due 04/15/312   EUR   100,000       104,924  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Home builders: 1.5%
Adams Homes, Inc.                
9.250%, due 10/15/282     175,000     $ 183,090  
Ashton Woods USA LLC/Ashton Woods Finance Co.                
4.625%, due 08/01/292     75,000       70,100  
4.625%, due 04/01/302     150,000       138,145  
6.625%, due 01/15/282     100,000       99,978  
Beazer Homes USA, Inc.                
5.875%, due 10/15/27     50,000       49,748  
7.250%, due 10/15/29     100,000       101,651  
7.500%, due 03/15/312     25,000       25,701  
Brookfield Residential Properties, Inc./Brookfield Residential U.S. LLC                
4.875%, due 02/15/302     25,000       23,251  
5.000%, due 06/15/292     125,000       118,171  
Century Communities, Inc.                
3.875%, due 08/15/292     75,000       68,220  
Dream Finders Homes, Inc.                
8.250%, due 08/15/282     100,000       104,628  
Empire Communities Corp.                
9.750%, due 05/01/292     75,000       78,362  
Forestar Group, Inc.                
3.850%, due 05/15/262     100,000       97,462  
5.000%, due 03/01/282     125,000       119,617  
Installed Building Products, Inc.                
5.750%, due 02/01/282     150,000       148,906  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Home builders—(continued)
KB Home                
4.000%, due 06/15/31     125,000     $ 113,001  
6.875%, due 06/15/27     25,000       25,822  
7.250%, due 07/15/30     75,000       77,690  
LGI Homes, Inc.                
4.000%, due 07/15/292     25,000       22,381  
8.750%, due 12/15/282     100,000       105,349  
Maison Finco PLC                
6.000%, due 10/31/273   GBP   100,000       124,553  
Mattamy Group Corp.                
4.625%, due 03/01/302     125,000       116,730  
Miller Homes Group Finco PLC                
7.000%, due 05/15/293   GBP   100,000       126,250  
Shea Homes LP/Shea Homes Funding Corp.                
4.750%, due 02/15/28     100,000       95,398  
4.750%, due 04/01/29     125,000       118,552  
STL Holding Co. LLC                
8.750%, due 02/15/292     75,000       79,659  
Thor Industries, Inc.                
4.000%, due 10/15/292     75,000       68,451  
Tri Pointe Homes, Inc.                
5.700%, due 06/15/28     75,000       74,524  
Winnebago Industries, Inc.                
6.250%, due 07/15/282     100,000       99,404  
              2,674,794  
Home furnishings: 0.2%
Arcelik AS                
8.500%, due 09/25/283     200,000       209,200  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Home furnishings—(continued)                
Tempur Sealy International, Inc.                
4.000%, due 04/15/292     125,000     $ 115,179  
              324,379  
Household products: 0.1%                
Edgewell Personal Care Co.                
4.125%, due 04/01/292     175,000       163,380  
5.500%, due 06/01/282     75,000       73,895  
Perrigo Finance Unlimited Co.                
6.125%, due 09/30/32     25,000       24,687  
              261,962  
Household products/wares: 0.1%                
Central Garden & Pet Co.                
4.125%, due 04/30/312     100,000       89,727  
                 
Housewares: 0.4%                
Newell Brands, Inc.                
5.700%, due 04/01/26     200,000       200,447  
6.375%, due 09/15/27     75,000       75,798  
6.625%, due 09/15/29     50,000       50,697  
6.875%, due 04/01/36     125,000       124,392  
7.000%, due 04/01/46     50,000       46,401  
Scotts Miracle-Gro Co.                
4.000%, due 04/01/31     125,000       111,904  
4.375%, due 02/01/32     50,000       45,240  
              654,879  
Insurance: 0.7%                
Acrisure LLC/Acrisure Finance, Inc.                
6.000%, due 08/01/292     275,000       260,240  
8.250%, due 02/01/292     100,000       101,628  
8.500%, due 06/15/292     25,000       25,689  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Insurance—(continued)
Alliant Holdings Intermediate LLC/Alliant Holdings Co-Issuer                
7.375%, due 10/01/322     50,000     $ 49,566  
AmWINS Group, Inc.                
6.375%, due 02/15/292     25,000       25,123  
APH Somerset Investor 2 LLC/APH2 Somerset Investor 2 LLC/APH3 Somerset Inves                
7.875%, due 11/01/292     100,000       99,900  
AssuredPartners, Inc.                
5.625%, due 01/15/292     100,000       94,622  
Baldwin Insurance Group Holdings LLC/Baldwin Insurance Group Holdings Finance                
7.125%, due 05/15/312     75,000       76,493  
FWD Group Holdings Ltd.                
(fixed, converts to FRN on 06/15/27),                
8.045%, due 12/15/243,6,9     300,000       300,099  
HUB International Ltd.                
5.625%, due 12/01/292     25,000       24,209  
7.250%, due 06/15/302     150,000       155,014  
Ryan Specialty LLC                
5.875%, due 08/01/322     50,000       49,833  
              1,262,416  
Internet: 0.8%                
Cogent Communications Group LLC                
7.000%, due 06/15/272     125,000       126,326  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Internet—(continued)
Cogent Communications Group, Inc./Cogent Communications Finance, Inc.                
7.000%, due 06/15/272     50,000     $ 50,279  
Gen Digital, Inc.                
6.750%, due 09/30/272     50,000       50,859  
7.125%, due 09/30/302     150,000       155,237  
Go Daddy Operating Co. LLC/GD Finance Co., Inc.                
5.250%, due 12/01/272     175,000       172,956  
iliad SA                
5.375%, due 05/02/313   EUR   300,000       340,864  
Match Group Holdings II LLC                
4.125%, due 08/01/302     75,000       68,197  
Millennium Escrow Corp.                
6.625%, due 08/01/262     75,000       48,243  
United Group BV                
4.000%, due 11/15/273   EUR   100,000       107,153  
6.500%, due 10/31/312     175,000       190,737  
Wayfair LLC                
7.250%, due 10/31/292     50,000       50,596  
Ziff Davis, Inc.                
4.625%, due 10/15/302     69,000       63,139  
              1,424,586  
Investment companies: 0.7%                
Compass Group Diversified Holdings LLC                
5.000%, due 01/15/322     75,000       68,863  
5.250%, due 04/15/292     125,000       120,181  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Investment companies—(continued)                
Huarong Finance 2019 Co. Ltd.                
(fixed, converts to FRN on 09/30/25),                
4.250%, due 09/30/253,6,9     250,000     $ 246,108  
Icahn Enterprises LP/Icahn Enterprises Finance Corp.                
4.375%, due 02/01/29     50,000       41,710  
5.250%, due 05/15/27     125,000       116,451  
6.250%, due 05/15/26     225,000       221,149  
9.000%, due 06/15/30     50,000       48,288  
9.750%, due 01/15/29     75,000       74,944  
Linx Capital Ltd.                
15.200%, due 04/01/252,8   EUR   455,357       411,111  
              1,348,805  
Iron & steel: 1.3%                
Algoma Steel, Inc.                
9.125%, due 04/15/292     50,000       51,165  
ATI, Inc.                
4.875%, due 10/01/29     75,000       71,040  
5.125%, due 10/01/31     100,000       94,407  
7.250%, due 08/15/30     50,000       51,815  
Baffinland Iron Mines Corp./Baffinland Iron Mines LP                
8.750%, due 07/15/262     175,000       158,408  
Big River Steel LLC/BRS Finance Corp.                
6.625%, due 01/31/292     140,000       141,335  
Carpenter Technology Corp.                
6.375%, due 07/15/28     200,000       200,155  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Iron & steel—(continued)
Cleveland-Cliffs, Inc.                
4.875%, due 03/01/312     50,000     $ 46,138  
5.875%, due 06/01/27     225,000       224,854  
7.000%, due 03/15/322     25,000       25,028  
Commercial Metals Co.                
4.125%, due 01/15/30     50,000       46,399  
4.375%, due 03/15/32     50,000       45,998  
Infrabuild Australia Pty. Ltd.                
14.500%, due 11/15/282     50,000       49,194  
Metinvest BV                
7.750%, due 10/17/293     200,000       127,000  
Mineral Resources Ltd.                
8.000%, due 11/01/272     100,000       102,540  
8.125%, due 05/01/272     148,000       149,054  
9.250%, due 10/01/282     50,000       52,639  
Samarco Mineracao SA                
9.000% PIK,                
9.000%, due 06/30/313,8     675,490       638,899  
TMS International Corp.                
6.250%, due 04/15/292     25,000       24,187  
              2,300,255  
IT services: 0.1%
Almaviva-The Italian Innovation Co. SpA                
5.000%, due 10/30/302   EUR   100,000       108,688  
 
Leisure time: 3.7%
Acushnet Co.                
7.375%, due 10/15/282     25,000       26,070  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Leisure time—(continued)                
Carnival Corp.                
5.750%, due 03/01/272     700,000     $ 702,097  
5.750%, due 01/15/302   EUR   175,000       202,080  
5.750%, due 01/15/303     100,000       115,813  
6.000%, due 05/01/292     350,000       350,573  
6.650%, due 01/15/28     100,000       101,907  
7.625%, due 03/01/262     425,000       427,972  
10.500%, due 06/01/302     25,000       26,973  
Carnival PLC                
1.000%, due 10/28/29   EUR   275,000       258,793  
Codere New Holdco SA                
3.000%, due 11/30/273,4,5,8,11     125,662       205  
Deuce Finco PLC                
5.500%, due 06/15/272   GBP   125,000       157,595  
Life Time, Inc.                
5.750%, due 01/15/262     275,000       274,849  
6.000%, due 11/15/312,7     225,000       224,045  
8.000%, due 04/15/262     425,000       427,086  
Lindblad Expeditions LLC                
6.750%, due 02/15/272     50,000       50,236  
MajorDrive Holdings IV LLC                
6.375%, due 06/01/292     125,000       119,855  
NCL Corp. Ltd.                
5.875%, due 03/15/262     400,000       399,562  
5.875%, due 02/15/272     50,000       49,948  
7.750%, due 02/15/292     100,000       106,078  
8.125%, due 01/15/292     25,000       26,504  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Leisure time—(continued)
NCL Finance Ltd.                
6.125%, due 03/15/282     100,000     $ 100,612  
Pinnacle Bidco PLC                
8.250%, due 10/11/283   EUR   100,000       115,642  
10.000%, due 10/11/283   GBP   200,000       275,080  
Royal Caribbean Cruises Ltd.                
5.375%, due 07/15/272     500,000       499,083  
5.500%, due 08/31/262     75,000       75,084  
5.625%, due 09/30/312     125,000       124,489  
6.000%, due 02/01/332     100,000       100,614  
6.250%, due 03/15/322     25,000       25,488  
7.500%, due 10/15/27     100,000       105,987  
TUI AG                
5.875%, due 03/15/292   EUR   100,000       113,543  
5.875%, due 03/15/293     200,000       227,085  
TUI Cruises GmbH                
6.250%, due 04/15/292     100,000       113,968  
6.250%, due 04/15/293     100,000       113,968  
Viking Cruises Ltd.                
5.875%, due 09/15/272     375,000       372,574  
6.250%, due 05/15/252     75,000       74,988  
7.000%, due 02/15/292     100,000       100,782  
Viking Ocean Cruises Ship VII Ltd.                
5.625%, due 02/15/292     75,000       73,963  
VOC Escrow Ltd.                
5.000%, due 02/15/282     150,000       145,817  
              6,807,008  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Lodging: 2.2%
Boyd Gaming Corp.                
4.750%, due 12/01/27     25,000     $ 24,530  
4.750%, due 06/15/312     250,000       233,322  
Fortune Star BVI Ltd.                
3.950%, due 10/02/263   EUR   100,000       101,882  
Full House Resorts, Inc.                
8.250%, due 02/15/282     100,000       99,819  
Hilton Domestic Operating Co., Inc.                
4.000%, due 05/01/312     325,000       296,047  
4.875%, due 01/15/30     50,000       48,447  
5.750%, due 05/01/282     125,000       125,287  
5.875%, due 03/15/332     75,000       75,157  
6.125%, due 04/01/322     75,000       75,749  
Hilton Grand Vacations Borrower Escrow LLC/Hilton Grand Vacations Borrower Escrow, Inc.                
4.875%, due 07/01/312     200,000       178,726  
5.000%, due 06/01/292     200,000       187,174  
Melco Resorts Finance Ltd.                
5.250%, due 04/26/262     300,000       293,619  
MGM Resorts International                
4.750%, due 10/15/28     100,000       96,666  
5.500%, due 04/15/27     75,000       74,840  
6.500%, due 04/15/32     100,000       100,010  
Motel One GmbH/Muenchen                
7.750%, due 04/02/313   EUR   150,000       173,177  
Sani/Ikos Financial Holdings 1 SARL                
7.250%, due 07/31/302     100,000       113,289  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Lodging—(continued)
Station Casinos LLC                
4.500%, due 02/15/282     25,000     $ 23,861  
4.625%, due 12/01/312     50,000       45,434  
Studio City Finance Ltd.                
5.000%, due 01/15/292     200,000       180,258  
5.000%, due 01/15/293     250,000       225,323  
Travel & Leisure Co.                
4.625%, due 03/01/302     75,000       69,923  
6.625%, due 07/31/262     100,000       100,845  
TVL Finance PLC                
10.250%, due 04/28/282   GBP   200,000       268,302  
Wynn Las Vegas LLC/Wynn Las Vegas Capital Corp.                
5.250%, due 05/15/272     150,000       148,879  
Wynn Macau Ltd.                
5.500%, due 01/15/263     300,000       296,520  
5.500%, due 10/01/273     400,000       386,750  
              4,043,836  
Machinery-construction & mining: 0.2%                
BWX Technologies, Inc.                
4.125%, due 04/15/292     75,000       71,047  
Manitowoc Co., Inc.                
9.250%, due 10/01/312     50,000       50,770  
Terex Corp.                
5.000%, due 05/15/292     150,000       144,185  
Vertiv Group Corp.                
4.125%, due 11/15/282     50,000       47,583  
              313,585  
Machinery-diversified: 0.8%                
ATS Corp.                
4.125%, due 12/15/282     25,000       23,437  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Machinery-diversified—(continued)
Chart Industries, Inc.                
7.500%, due 01/01/302     125,000     $ 130,010  
9.500%, due 01/01/312     125,000       134,380  
Galapagos SA                
5.375%, due 06/15/213,12   EUR     27,500       150  
GrafTech Global Enterprises, Inc.                
9.875%, due 12/15/282     75,000       62,903  
Husky Injection Molding Systems Ltd./Titan Co-Borrower LLC                
9.000%, due 02/15/292     75,000       77,164  
Mangrove Luxco III SARL                
3 mo. EURIBOR + 5.000%,                
8.179%, due 07/15/292,6   EUR   125,000       137,396  
Omnia Della Toffola SpA                
3 mo. EURIBOR + 4.250%,                
7.353%, due 11/05/312,6,7     125,000       133,973  
OT Merger Corp.                
7.875%, due 10/15/292     50,000       21,750  
Selecta Group BV                
3.500% Cash or 4.500% PIK,                
8.000%, due 04/01/262,8   EUR   207,887       224,518  
10.000%, due 07/01/262,8     93,367       91,455  
9.250% Cash or 10.000% PIK,                
10.000%, due 07/01/263,8     77,583       75,994  
TK Elevator Holdco GmbH                
6.625%, due 07/15/283     90,000       97,907  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

    Face
amount1
    Value  
Corporate bonds—(continued)
Machinery-diversified—(continued)
TK Elevator Midco GmbH                
4.375%, due 07/15/273     300,000     $ 324,080  
              1,535,117  
Media: 5.0%                
Altice Financing SA                
2.250%, due 01/15/253     100,000       107,687  
3.000%, due 01/15/283     275,000       250,896  
4.250%, due 08/15/293     275,000       247,157  
5.000%, due 01/15/282     200,000       169,129  
AMC Networks, Inc.                
4.250%, due 02/15/29     200,000       138,040  
10.250%, due 01/15/292     25,000       25,750  
Audacy Capital LLC                
6.750%, due 03/31/292,12     75,000       2,063  
CCO Holdings LLC/CCO Holdings Capital Corp.                
4.250%, due 02/01/312     225,000       195,252  
4.250%, due 01/15/342     475,000       379,482  
4.500%, due 06/01/332     725,000       602,906  
4.750%, due 03/01/302     175,000       159,192  
4.750%, due 02/01/322     625,000       540,344  
5.000%, due 02/01/282     150,000       145,179  
5.375%, due 06/01/292     25,000       23,864  
6.375%, due 09/01/292     200,000       198,025  
7.375%, due 03/01/312     100,000       101,695  

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Media—(continued)          
CSC Holdings LLC          
4.500%, due 11/15/312  $400,000   $293,224 
5.000%, due 11/15/312   200,000    97,749 
11.250%, due 05/15/282   400,000    390,008 
11.750%, due 01/31/292   200,000    195,108 
Directv Financing LLC/Directv Financing Co-Obligor, Inc.          
5.875%, due 08/15/272   250,000    240,707 
DISH DBS Corp.          
5.125%, due 06/01/29   125,000    83,153 
5.250%, due 12/01/262   75,000    69,417 
5.750%, due 12/01/282   150,000    131,057 
7.375%, due 07/01/28   175,000    128,216 
7.750%, due 07/01/26   100,000    84,589 
DISH Network Corp.          
11.750%, due 11/15/272   250,000    263,155 
Gray Television, Inc.          
4.750%, due 10/15/302   150,000    94,315 
5.375%, due 11/15/312   125,000    75,377 
7.000%, due 05/15/272   25,000    24,324 
iHeartCommunications, Inc.          
4.750%, due 01/15/282   50,000    30,674 
5.250%, due 08/15/272   150,000    100,892 
6.375%, due 05/01/26   30,291    25,630 
8.375%, due 05/01/27   75,000    38,886 
Liberty Interactive LLC          
8.250%, due 02/01/30   50,000    25,616 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Media—(continued)          
McGraw-Hill Education, Inc.          
8.000%, due 08/01/292   125,000   $125,822 
Midcontinent Communications          
8.000%, due 08/15/322   50,000    50,892 
News Corp.          
3.875%, due 05/15/292   200,000    186,121 
5.125%, due 02/15/322   200,000    191,658 
Nexstar Media, Inc.          
4.750%, due 11/01/282   25,000    23,503 
Scripps Escrow II, Inc.          
5.375%, due 01/15/312   75,000    45,055 
Scripps Escrow, Inc.          
5.875%, due 07/15/272   25,000    21,972 
Sinclair Television Group, Inc.          
4.125%, due 12/01/302   100,000    76,625 
5.125%, due 02/15/272   100,000    88,668 
Sirius XM Radio, Inc.          
3.875%, due 09/01/312   350,000    300,767 
4.000%, due 07/15/282   125,000    116,784 
5.000%, due 08/01/272   50,000    48,998 
5.500%, due 07/01/292   150,000    145,514 
Sunrise FinCo I BV          
4.875%, due 07/15/312   400,000    366,000 
TEGNA, Inc.          
4.625%, due 03/15/28   25,000    23,475 
5.000%, due 09/15/29   25,000    23,339 
Univision Communications, Inc.          
4.500%, due 05/01/292   475,000    421,690 
7.375%, due 06/30/302   125,000    120,006 
8.000%, due 08/15/282   25,000    25,406 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Media—(continued)          
UPCB Finance VII Ltd.,3          
3.625%, due 06/15/29  EUR 225,000   $239,215 
Virgin Media Finance PLC          
5.000%, due 07/15/302   200,000    171,931 
Virgin Media Secured Finance PLC          
4.125%, due 08/15/303  GBP 200,000    221,786 
Virgin Media Vendor Financing Notes III DAC          
4.875%, due 07/15/283   100,000    120,241 
VZ Vendor Financing II BV          
2.875%, due 01/15/292  EUR 200,000    199,507 
Ziggo Bond Co. BV          
6.000%, due 01/15/272   200,000    199,536 
         9,233,269 
Metal fabricate/hardware: 0.1%          
Park-Ohio Industries, Inc.          
6.625%, due 04/15/27   175,000    170,733 
Roller Bearing Co. of America, Inc.          
4.375%, due 10/15/292   75,000    70,469 
         241,202 
Mining: 2.0%          
Aris Mining Corp.          
8.000%, due 10/31/292   200,000    200,737 
Arsenal AIC Parent LLC          
8.000%, due 10/01/302   150,000    157,668 
11.500%, due 10/01/312   50,000    55,637 
Coeur Mining, Inc.          
5.125%, due 02/15/292   100,000    95,349 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Mining—(continued)          
Constellium SE          
3.125%, due 07/15/292  EUR 275,000   $281,243 
3.125%, due 07/15/293   100,000    102,270 
5.375%, due 08/15/322   175,000    188,929 
First Quantum Minerals Ltd.          
6.875%, due 10/15/273   500,000    494,195 
8.625%, due 06/01/312   200,000    201,500 
FMG Resources August 2006 Pty. Ltd.          
4.375%, due 04/01/312   275,000    250,348 
5.875%, due 04/15/302   150,000    149,282 
6.125%, due 04/15/322   150,000    150,495 
Freeport-McMoRan, Inc.          
5.450%, due 03/15/43   50,000    47,985 
Hudbay Minerals, Inc.          
4.500%, due 04/01/262   75,000    74,064 
IAMGOLD Corp.          
5.750%, due 10/15/282   50,000    48,628 
Kaiser Aluminum Corp.          
4.625%, due 03/01/282   125,000    119,093 
Novelis Corp.          
3.250%, due 11/15/262   100,000    96,212 
3.875%, due 08/15/312   25,000    21,955 
4.750%, due 01/30/302   25,000    23,422 
Novelis Sheet Ingot GmbH          
3.375%, due 04/15/293  EUR 100,000    103,787 
Taseko Mines Ltd.          
8.250%, due 05/01/302   50,000    51,667 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Mining—(continued)          
Vedanta Resources Ltd.          
13.875%, due 12/09/283   376,000   $383,520 
WE Soda Investments Holding PLC          
9.500%, due 10/06/283   300,000    309,937 
         3,607,923 
Miscellaneous manufacturers: 0.4%          
Amsted Industries, Inc.          
4.625%, due 05/15/302   25,000    23,320 
CTEC II GmbH          
5.250%, due 02/15/303  EUR 200,000    200,777 
FXI Holdings, Inc.          
12.250%, due 11/15/262   234,000    232,755 
12.250%, due 11/15/262   94,000    93,100 
LSB Industries, Inc.          
6.250%, due 10/15/282   25,000    24,186 
Trinity Industries, Inc.          
7.750%, due 07/15/282   150,000    155,088 
         729,226 
Office & business equipment: 0.1%          
Xerox Holdings Corp.          
5.000%, due 08/15/252   51,000    50,026 
8.875%, due 11/30/292   25,000    21,762 
Zebra Technologies Corp.          
6.500%, due 06/01/322   50,000    51,156 
         122,944 
Oil & gas: 9.4%          
Aethon United BR LP/Aethon United Finance Corp.          
7.500%, due 10/01/292   100,000    100,693 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Antero Resources Corp.          
7.625%, due 02/01/292   49,000   $50,251 
Ascent Resources Utica Holdings LLC/ARU Finance Corp.          
6.625%, due 10/15/322   50,000    49,526 
8.250%, due 12/31/282   25,000    25,509 
9.000%, due 11/01/272   150,000    178,030 
Baytex Energy Corp.          
8.500%, due 04/30/302   150,000    152,628 
California Resources Corp.          
8.250%, due 06/15/292   100,000    100,993 
Chord Energy Corp.          
6.375%, due 06/01/262   75,000    75,161 
CITGO Petroleum Corp.          
7.000%, due 06/15/252   150,000    150,046 
8.375%, due 01/15/292   250,000    260,054 
Civitas Resources, Inc.          
5.000%, due 10/15/262   175,000    171,875 
8.375%, due 07/01/282   25,000    25,837 
8.625%, due 11/01/302   50,000    52,528 
CNX Resources Corp.          
6.000%, due 01/15/292   125,000    123,937 
7.250%, due 03/01/322   25,000    25,760 
7.375%, due 01/15/312   25,000    25,698 
Comstock Resources, Inc.          
5.875%, due 01/15/302   100,000    91,366 
6.750%, due 03/01/292   100,000    95,767 
Cosan Overseas Ltd.          
8.250%, due 02/05/253,9   300,000    303,810 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Crescent Energy Finance LLC          
7.375%, due 01/15/332   75,000   $72,748 
7.625%, due 04/01/322   25,000    24,684 
9.250%, due 02/15/282   75,000    78,703 
Ecopetrol SA          
4.625%, due 11/02/31   450,000    370,800 
5.875%, due 05/28/45   500,000    351,250 
8.375%, due 01/19/36   200,000    194,900 
8.625%, due 01/19/29   200,000    211,420 
Encino Acquisition Partners Holdings LLC          
8.750%, due 05/01/312   25,000    25,662 
Energean Israel Finance Ltd.          
4.875%, due 03/30/263   300,000    290,814 
5.875%, due 03/30/313   75,000    63,818 
Expand Energy Corp.          
5.500%, due 02/01/262   50,000    49,912 
6.750%, due 04/15/292   250,000    252,730 
8.375%, due 09/15/28   125,000    128,590 
FORESEA Holding SA          
7.500%, due 06/15/303   200,000    190,989 
Global Marine, Inc.          
7.000%, due 06/01/28   150,000    141,329 
Gran Tierra Energy, Inc.          
9.500%, due 10/15/293   200,000    184,000 
Gulfport Energy Operating Corp.          
6.750%, due 09/01/292   25,000    25,129 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Hilcorp Energy I LP/Hilcorp Finance Co.          
6.000%, due 04/15/302   100,000   $95,381 
6.000%, due 02/01/312   175,000    165,455 
6.250%, due 11/01/282   75,000    73,176 
6.875%, due 05/15/342   25,000    23,930 
7.250%, due 02/15/352   100,000    98,096 
Kraken Oil & Gas Partners LLC          
7.625%, due 08/15/292   75,000    74,098 
Leviathan Bond Ltd.          
6.125%, due 06/30/253   75,000    74,039 
Magnolia Oil & Gas Operating LLC/Magnolia Oil & Gas Finance Corp.          
6.000%, due 08/01/262   175,000    174,666 
Matador Resources Co.          
6.250%, due 04/15/332   125,000    122,329 
6.500%, due 04/15/322   25,000    24,759 
6.875%, due 04/15/282   75,000    76,356 
MC Brazil Downstream Trading SARL          
7.250%, due 06/30/313   233,949    197,043 
Medco Laurel Tree Pte. Ltd.          
6.950%, due 11/12/282   400,000    397,796 
MEG Energy Corp.          
5.875%, due 02/01/292   75,000    73,529 
Moss Creek Resources Holdings, Inc.          
8.250%, due 09/01/312   25,000    24,495 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Murphy Oil Corp.          
6.000%, due 10/01/32   25,000   $24,063 
Nabors Industries Ltd.          
7.500%, due 01/15/282   100,000    95,132 
Nabors Industries, Inc.          
8.875%, due 08/15/312   75,000    70,907 
NewCo Holding USD 20 SARL          
9.375%, due 11/07/292,7   200,000    199,500 
Noble Finance II LLC          
8.000%, due 04/15/302   100,000    101,364 
Northern Oil & Gas, Inc.          
8.125%, due 03/01/282   200,000    201,941 
8.750%, due 06/15/312   100,000    103,460 
Parkland Corp.          
4.500%, due 10/01/292   250,000    232,247 
4.625%, due 05/01/302   100,000    91,913 
5.875%, due 07/15/272   100,000    98,955 
PBF Holding Co. LLC/PBF Finance Corp.          
6.000%, due 02/15/28   275,000    266,912 
7.875%, due 09/15/302   100,000    99,829 
Permian Resources Operating LLC          
5.375%, due 01/15/262   200,000    199,035 
7.000%, due 01/15/322   200,000    204,019 
8.000%, due 04/15/272   100,000    102,775 
Petrobras Global Finance BV          
6.500%, due 07/03/33   200,000    203,522 
6.850%, due 06/05/15   400,000    370,800 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Petroleos Mexicanos          
2.750%, due 04/21/273  EUR 475,000   $476,638 
4.750%, due 02/26/293   275,000    276,098 
5.950%, due 01/28/31   720,000    619,200 
6.500%, due 03/13/27   675,000    660,751 
6.500%, due 06/02/41   1,250,000    925,437 
6.625%, due 11/30/243,9   100,000    66,360 
6.625%, due 06/15/35   350,000    285,512 
6.700%, due 02/16/32   700,000    621,033 
6.750%, due 09/21/47   479,000    341,743 
6.950%, due 01/28/60   250,000    178,125 
7.690%, due 01/23/50   1,000,000    776,900 
10.000%, due 02/07/33   100,000    105,540 
Precision Drilling Corp.          
6.875%, due 01/15/292   100,000    99,494 
7.125%, due 01/15/262   40,000    39,942 
Puma International Financing SA          
7.750%, due 04/25/293   200,000    204,986 
Range Resources Corp.          
8.250%, due 01/15/29   125,000    128,787 
Sanchez Energy Corp.          
6.125%, due 01/15/23   325,000    4,875 
7.750%, due 06/15/2112   475,000    7,125 
Saturn Oil & Gas, Inc.          
9.625%, due 06/15/292   47,000    46,414 
SM Energy Co.          
6.750%, due 09/15/26   100,000    100,210 
6.750%, due 08/01/292   75,000    74,538 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Sunoco LP/Sunoco Finance Corp.          
4.500%, due 04/30/30   25,000   $23,462 
6.000%, due 04/15/27   150,000    150,157 
7.000%, due 09/15/282   75,000    77,084 
Talos Production, Inc.          
9.000%, due 02/01/292   75,000    77,245 
9.375%, due 02/01/312   125,000    128,700 
Teine Energy Ltd.          
6.875%, due 04/15/292   125,000    122,943 
TGNR Intermediate Holdings LLC          
5.500%, due 10/15/292   25,000    23,602 
Transocean Aquila Ltd.          
8.000%, due 09/30/282   45,385    46,585 
Transocean Titan Financing Ltd.          
8.375%, due 02/01/282   50,000    51,445 
Transocean, Inc.          
6.800%, due 03/15/38   250,000    207,420 
7.500%, due 04/15/31   125,000    116,617 
8.000%, due 02/01/272   86,000    85,751 
8.250%, due 05/15/292   75,000    75,346 
8.500%, due 05/15/312   25,000    25,192 
8.750%, due 02/15/302   3,187    3,303 
9.350%, due 12/15/41   125,000    112,892 
Trident Energy Finance PLC          
12.500%, due 11/30/292   300,000    315,187 
Valaris Ltd.          
8.375%, due 04/30/302   25,000    25,365 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas—(continued)          
Vermilion Energy, Inc.          
6.875%, due 05/01/302   125,000   $123,524 
Viper Energy, Inc.          
5.375%, due 11/01/272   75,000    74,148 
Vital Energy, Inc.          
7.750%, due 07/31/292   100,000    98,127 
7.875%, due 04/15/322   20,000    19,220 
9.750%, due 10/15/30   75,000    79,133 
Wildfire Intermediate Holdings LLC          
7.500%, due 10/15/292   50,000    48,493 
YPF SA          
6.950%, due 07/21/273   69,000    67,461 
8.500%, due 03/23/253   25,000    24,986 
         17,321,565 
Oil & gas services: 1.1%          
Archrock Partners LP/Archrock Partners Finance Corp.          
6.250%, due 04/01/282   175,000    175,324 
6.875%, due 04/01/272   27,000    27,081 
Bristow Group, Inc.          
6.875%, due 03/01/282   100,000    99,310 
Enerflex Ltd.          
9.000%, due 10/15/272   90,000    93,425 
Helix Energy Solutions Group, Inc.          
9.750%, due 03/01/292   125,000    133,318 
Kodiak Gas Services LLC          
7.250%, due 02/15/292   50,000    51,396 
Nine Energy Service, Inc.          
13.000%, due 02/01/28   150,000    98,250 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Oil & gas services—(continued)          
Oceaneering International, Inc.          
6.000%, due 02/01/28   25,000   $24,563 
OHI Group SA          
13.000%, due 07/22/292   200,000    197,000 
Star Holding LLC          
8.750%, due 08/01/312   50,000    47,550 
USA Compression Partners LP/USA Compression Finance Corp.          
6.875%, due 09/01/27   75,000    75,357 
7.125%, due 03/15/292   125,000    127,312 
Weatherford International Ltd.          
8.625%, due 04/30/302   525,000    542,693 
Yinson Boronia Production BV          
8.947%, due 07/31/422   300,000    317,370 
         2,009,949 
Packaging & containers: 2.1%          
ARD Finance SA          
5.000% Cash or 5.750% PIK,          
5.000%, due 06/30/273,8  EUR 175,000    36,986 
6.500% Cash or 7.250% PIK,          
6.500%, due 06/30/272,8   400,000    84,500 
Ardagh Metal Packaging Finance USA LLC/Ardagh Metal Packaging Finance PLC          
2.000%, due 09/01/283  EUR 300,000    297,413 
6.000%, due 06/15/272   200,000    199,434 
Ardagh Packaging Finance PLC/Ardagh Holdings USA, Inc.          
2.125%, due 08/15/263  EUR 100,000    91,942 
5.250%, due 08/15/272   200,000    120,000 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Packaging & containers—(continued)          
Ball Corp.          
3.125%, due 09/15/31   125,000   $108,028 
6.875%, due 03/15/28   125,000    128,488 
Berry Global, Inc.          
4.500%, due 02/15/262   50,000    49,329 
5.625%, due 07/15/272   75,000    74,874 
Clydesdale Acquisition Holdings, Inc.          
6.625%, due 04/15/292   25,000    25,118 
Crown Americas LLC/Crown Americas Capital Corp. VI          
4.750%, due 02/01/26   50,000    49,633 
Crown Cork & Seal Co., Inc.          
7.375%, due 12/15/26   100,000    103,842 
Crown European Holdings SACA          
4.500%, due 01/15/302  EUR 100,000    111,554 
4.500%, due 01/15/303   200,000    223,108 
Fiber Bidco SpA          
6.125%, due 06/15/312   200,000    217,550 
Graphic Packaging International LLC          
2.625%, due 02/01/293   225,000    231,194 
4.750%, due 07/15/272   25,000    24,508 
6.375%, due 07/15/322   25,000    25,223 
Guala Closures SpA          
3.250%, due 06/15/283  EUR 250,000    255,956 
Kleopatra Holdings 2 SCA          
6.500%, due 09/01/263   125,000    105,805 
LABL, Inc.          
10.500%, due 07/15/272   50,000    49,500 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Packaging & containers—(continued)          
Mauser Packaging Solutions Holding Co.          
9.250%, due 04/15/272   75,000   $76,700 
OI European Group BV          
4.750%, due 02/15/302   225,000    203,839 
5.250%, due 06/01/292  EUR 100,000    109,395 
5.250%, due 06/01/293   100,000    109,395 
Owens-Brockway Glass Container, Inc.          
6.625%, due 05/13/272   163,000    162,194 
7.250%, due 05/15/312   100,000    98,352 
7.375%, due 06/01/322   25,000    24,460 
Sealed Air Corp.          
4.000%, due 12/01/272   51,000    48,813 
5.000%, due 04/15/292   75,000    72,448 
6.500%, due 07/15/322   50,000    50,751 
Sealed Air Corp./Sealed Air Corp. U.S.          
6.125%, due 02/01/282   25,000    25,266 
7.250%, due 02/15/312   50,000    51,911 
Trident TPI Holdings, Inc.          
12.750%, due 12/31/282   25,000    27,431 
TriMas Corp.          
4.125%, due 04/15/292   150,000    139,975 
         3,814,915 
Pharmaceuticals: 2.1%          
Bausch Health Americas, Inc.          
8.500%, due 01/31/272   25,000    20,063 
9.250%, due 04/01/262   25,000    24,197 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pharmaceuticals—(continued)          
Bausch Health Cos., Inc.          
5.000%, due 01/30/282   75,000   $48,000 
5.250%, due 01/30/302   125,000    68,762 
5.250%, due 02/15/312   125,000    67,500 
5.500%, due 11/01/252   125,000    122,672 
5.750%, due 08/15/272   50,000    41,267 
6.125%, due 02/01/272   150,000    135,397 
7.000%, due 01/15/282   75,000    50,437 
7.250%, due 05/30/292   150,000    94,500 
9.000%, due 12/15/252   75,000    73,540 
BellRing Brands, Inc.          
7.000%, due 03/15/302   175,000    182,121 
Endo Finance Holdings, Inc.          
8.500%, due 04/15/312   25,000    26,731 
Endo Luxembourg Finance SARL          
6.125%, due 04/01/292,4,5,7,11   125,000    0 
Grifols SA          
1.625%, due 02/15/253  EUR 132,978    143,015 
7.500%, due 05/01/303   225,000    255,757 
Gruenenthal GmbH          
6.750%, due 05/15/303   100,000    115,964 
Herbalife Nutrition Ltd./HLF Financing, Inc.          
7.875%, due 09/01/252   62,000    61,757 
HLF Financing SARL LLC/Herbalife International, Inc.          
4.875%, due 06/01/292   25,000    17,135 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pharmaceuticals—(continued)          
Mallinckrodt International Finance SA/Mallinckrodt CB LLC          
14.750%, due 11/14/282   24,504   $26,766 
Neopharmed Gentili SpA          
7.125%, due 04/08/303  EUR 175,000    199,451 
Nidda Healthcare Holding GmbH          
7.500%, due 08/21/263   165,149    185,416 
Organon & Co./Organon Foreign Debt Co-Issuer BV          
4.125%, due 04/30/282   200,000    189,502 
5.125%, due 04/30/312   200,000    182,401 
Owens & Minor, Inc.          
4.500%, due 03/31/292   125,000    112,483 
6.625%, due 04/01/302   25,000    23,862 
P&L Development LLC/PLD Finance Corp.          
7.750%, due 11/15/252   31,000    31,155 
9.000% Cash or 3.500% PIK,          
12.000%, due 05/15/292,8   98,982    99,617 
Par Pharmaceutical, Inc.          
7.500%, due 04/01/272,4,5,11   198,000    0 
Prestige Brands, Inc.          
3.750%, due 04/01/312   25,000    22,285 
5.125%, due 01/15/282   100,000    97,918 
Rossini SARL          
6.750%, due 12/31/292  EUR 100,000    114,343 
6.750%, due 12/31/293   100,000    114,343 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pharmaceuticals—(continued)          
Teva Pharmaceutical Finance Netherlands II BV          
4.375%, due 05/09/30   200,000   $215,947 
7.375%, due 09/15/29   150,000    183,762 
7.875%, due 09/15/31   300,000    388,327 
Teva Pharmaceutical Finance Netherlands III BV          
4.100%, due 10/01/46   200,000    140,136 
         3,876,529 
Pipelines: 3.9%          
Antero Midstream Partners LP/Antero Midstream Finance Corp.          
5.375%, due 06/15/292   25,000    24,349 
5.750%, due 03/01/272   150,000    149,720 
6.625%, due 02/01/322   75,000    75,833 
Blue Racer Midstream LLC/Blue Racer Finance Corp.          
7.000%, due 07/15/292   75,000    76,940 
7.250%, due 07/15/322   25,000    25,825 
Buckeye Partners LP          
5.850%, due 11/15/43   50,000    43,219 
6.875%, due 07/01/292   100,000    101,644 
CQP Holdco LP/BIP-V Chinook Holdco LLC          
5.500%, due 06/15/312   250,000    237,899 
Delek Logistics Partners LP/Delek Logistics Finance Corp.          
7.125%, due 06/01/282   100,000    99,064 
8.625%, due 03/15/292   225,000    230,859 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
DT Midstream, Inc.          
4.125%, due 06/15/292   25,000   $23,476 
4.375%, due 06/15/312   75,000    68,994 
Energy Transfer LP          
(fixed, converts to FRN on 10/01/29),          
7.125%, due 10/01/546   75,000    75,797 
(fixed, converts to FRN on 05/15/29),          
8.000%, due 05/15/546   25,000    26,490 
EnLink Midstream Partners LP          
5.050%, due 04/01/45   75,000    65,214 
5.450%, due 06/01/47   125,000    114,079 
5.600%, due 04/01/44   150,000    140,251 
EQM Midstream Partners LP          
4.500%, due 01/15/292   225,000    216,593 
4.750%, due 01/15/312   300,000    285,185 
5.500%, due 07/15/28   100,000    99,253 
6.500%, due 07/01/272   25,000    25,572 
6.500%, due 07/15/48   75,000    75,476 
7.500%, due 06/01/272   75,000    76,684 
7.500%, due 06/01/302   75,000    80,656 
Galaxy Pipeline Assets Bidco Ltd.          
1.750%, due 09/30/273   96,476    91,411 
Genesis Energy LP/Genesis Energy Finance Corp.          
7.750%, due 02/01/28   25,000    25,252 
7.875%, due 05/15/32   100,000    99,930 
8.000%, due 01/15/27   50,000    50,888 
8.875%, due 04/15/30   50,000    51,503 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
Harvest Midstream I LP          
7.500%, due 09/01/282   200,000   $202,319 
7.500%, due 05/15/322   75,000    76,791 
Hess Midstream Operations LP          
5.125%, due 06/15/282   225,000    220,176 
5.500%, due 10/15/302   50,000    48,854 
6.500%, due 06/01/292   50,000    50,830 
Howard Midstream Energy Partners LLC          
7.375%, due 07/15/322   150,000    153,034 
8.875%, due 07/15/282   100,000    105,506 
ITT Holdings LLC          
6.500%, due 08/01/292   150,000    138,614 
Kinetik Holdings LP          
5.875%, due 06/15/302   125,000    124,038 
Martin Midstream Partners LP/Martin Midstream Finance Corp.          
11.500%, due 02/15/282   150,000    163,415 
New Fortress Energy, Inc.          
6.500%, due 09/30/262   75,000    69,474 
6.750%, due 09/15/252   129,000    128,753 
8.750%, due 03/15/292   25,000    20,870 
NGL Energy Operating LLC/NGL Energy Finance Corp.          
8.125%, due 02/15/292   225,000    226,453 
8.375%, due 02/15/322   125,000    125,980 
Northriver Midstream Finance LP          
6.750%, due 07/15/322   125,000    128,280 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
NuStar Logistics LP          
5.625%, due 04/28/27   25,000   $24,806 
6.375%, due 10/01/30   125,000    126,411 
Plains All American Pipeline LP          
Series B,          
3 mo. USD Term SOFR + 4.372%,          
9.490%, due 12/01/246,9   150,000    149,010 
Prairie Acquiror LP          
9.000%, due 08/01/292   75,000    76,038 
Rockies Express Pipeline LLC          
3.600%, due 05/15/252   25,000    24,656 
4.800%, due 05/15/302   50,000    46,241 
4.950%, due 07/15/292   25,000    23,484 
6.875%, due 04/15/402   100,000    94,813 
7.500%, due 07/15/382   25,000    25,377 
South Bow Canadian Infrastructure Holdings Ltd.          
(fixed, converts to FRN on 03/01/35),          
7.500%, due 03/01/552,6   50,000    51,927 
(fixed, converts to FRN on 03/01/30),          
7.625%, due 03/01/552,6   75,000    77,227 
Summit Midstream Holdings LLC          
8.625%, due 10/31/292   50,000    51,658 
Tallgrass Energy Partners LP/Tallgrass Energy Finance Corp.          
6.000%, due 12/31/302   125,000    117,314 
6.000%, due 09/01/312   100,000    92,761 
7.375%, due 02/15/292   75,000    75,247 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Pipelines—(continued)          
Venture Global Calcasieu Pass LLC          
3.875%, due 11/01/332   150,000   $130,322 
4.125%, due 08/15/312   25,000    22,786 
6.250%, due 01/15/302   100,000    102,216 
Venture Global LNG, Inc.          
8.125%, due 06/01/282   300,000    311,335 
8.375%, due 06/01/312   150,000    155,803 
(fixed, converts to FRN on 09/30/29),          
9.000%, due 09/30/292,6,9   100,000    99,993 
9.500%, due 02/01/292   200,000    221,061 
9.875%, due 02/01/322   250,000    272,882 
Western Midstream Operating LP          
5.300%, due 03/01/48   75,000    65,181 
         7,179,992 
Real estate: 2.7%          
Alpha Star Holding VIII Ltd.          
8.375%, due 04/12/273   200,000    206,750 
Anywhere Real Estate Group LLC/Anywhere Co-Issuer Corp.          
7.000%, due 04/15/302   194,400    170,351 
Anywhere Real Estate Group LLC/Realogy Co-Issuer Corp.          
5.250%, due 04/15/302   50,000    38,132 
5.750%, due 01/15/292   75,000    61,781 
CPI Property Group SA          
Steps Up to 4.000% on 01/22/2025,          
2.750%, due 01/22/283  GBP 100,000    116,489 
7.000%, due 05/07/293  EUR 250,000    289,580 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Real estate—(continued)          
FEC Finance Ltd.          
(fixed, converts to FRN on 10/18/29),          
12.764%, due 12/18/243,6,9   300,000   $300,410 
Greystar Real Estate Partners LLC          
7.750%, due 09/01/302   75,000    78,584 
Heimstaden Bostad AB          
(fixed, converts to FRN on 05/01/27),          
2.625%, due 02/01/273,6,9  EUR 300,000    288,112 
Heimstaden Bostad Treasury BV          
1.625%, due 10/13/313   500,000    457,543 
Howard Hughes Corp.          
4.125%, due 02/01/292   125,000    115,113 
5.375%, due 08/01/282   250,000    243,045 
Kennedy-Wilson, Inc.          
4.750%, due 02/01/30   50,000    44,724 
MAF Global Securities Ltd.          
(fixed, converts to FRN on 03/20/26),          
6.375%, due 03/20/263,6,9   200,000    199,125 
NEINOR HOMES SLU          
5.875%, due 02/15/307  EUR 100,000    108,449 
Newmark Group, Inc.          
7.500%, due 01/12/29   25,000    26,468 
NWD Finance BVI Ltd.          
6.250%, due 03/07/253,9   300,000    164,779 
Pakuwon Jati Tbk. PT          
4.875%, due 04/29/283   200,000    194,000 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Real estate—(continued)          
Peach Property Finance GmbH          
4.375%, due 11/15/253  EUR 300,000   $300,284 
PHM Group Holding OY          
4.750%, due 06/18/263   250,000    269,808 
Pingan Real Estate Capital Ltd.          
3.450%, due 07/29/263   200,000    181,385 
Ronshine China Holdings Ltd.,12          
8.100%, due 06/09/233   50,000    500 
Samhallsbyggnadsbolaget i Norden AB          
2.375%, due 09/04/263  EUR 200,000    187,909 
(fixed, converts to FRN on 03/14/26),          
2.625%, due 12/14/253,6,9   200,000    91,480 
SBB Treasury OYJ          
1.125%, due 11/26/293   150,000    116,049 
Signa Development Finance SCS          
5.500%, due 07/23/263   100,000    16,860 
5.500%, due 07/23/262,12   200,000    33,720 
Vanke Real Estate Hong Kong Co. Ltd.          
3.975%, due 11/09/273   200,000    130,500 
Vivion Investments SARL          
8.000%, due 02/28/293,8  EUR 200,000    213,708 
Yanlord Land HK Co. Ltd.          
5.125%, due 05/20/263   400,000    376,876 
         5,022,514 
Real estate investment trusts: 2.3%          
Alexandrite Monnet U.K. Holdco PLC          
10.500%, due 05/15/293  EUR 100,000    117,869 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Real estate investment trusts—(continued)          
Blackstone Mortgage Trust, Inc.          
3.750%, due 01/15/272   225,000   $210,404 
Diversified Healthcare Trust          
9.750%, due 06/15/25   88,000    87,898 
Emirates REIT Sukuk II Ltd.          
11.000%, due 12/12/253   131,090    131,300 
Iron Mountain Information Management Services, Inc.          
5.000%, due 07/15/322   325,000    306,310 
Iron Mountain, Inc.          
4.500%, due 02/15/312   200,000    185,707 
4.875%, due 09/15/272   125,000    122,855 
4.875%, due 09/15/292   75,000    72,229 
5.000%, due 07/15/282   50,000    48,724 
5.250%, due 07/15/302   250,000    241,716 
Ladder Capital Finance Holdings LLLP/Ladder Capital Finance Corp.          
4.250%, due 02/01/272   25,000    24,206 
4.750%, due 06/15/292   50,000    47,636 
7.000%, due 07/15/312   25,000    25,929 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Real estate investment trusts—(continued)          
MPT Operating Partnership LP/MPT Finance Corp.          
0.993%, due 10/15/26  EUR 100,000   $92,176 
3.375%, due 04/24/30  GBP 100,000    88,005 
3.500%, due 03/15/31   250,000    177,037 
4.625%, due 08/01/29   50,000    38,886 
5.000%, due 10/15/27   175,000    154,444 
5.250%, due 08/01/26   100,000    94,587 
Park Intermediate Holdings LLC/PK Domestic Property LLC/PK Finance Co-Issuer          
4.875%, due 05/15/292   125,000    119,062 
5.875%, due 10/01/282   50,000    49,479 
7.000%, due 02/01/302   50,000    51,219 
Pebblebrook Hotel LP/PEB Finance Corp.          
6.375%, due 10/15/292   50,000    49,934 
RHP Hotel Properties LP/RHP Finance Corp.          
4.500%, due 02/15/292   100,000    95,744 
6.500%, due 04/01/322   100,000    101,187 
7.250%, due 07/15/282   50,000    51,861 
Rithm Capital Corp.          
8.000%, due 04/01/292   75,000    74,838 
RLJ Lodging Trust LP          
3.750%, due 07/01/262   100,000    96,854 
4.000%, due 09/15/292   200,000    180,255 
SBA Communications Corp.          
3.875%, due 02/15/27   25,000    24,196 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Real estate investment trusts—(continued)          
Service Properties Trust          
4.375%, due 02/15/30   50,000   $37,842 
4.750%, due 10/01/26   125,000    118,128 
4.950%, due 02/15/27   25,000    23,286 
4.950%, due 10/01/29   75,000    59,944 
5.250%, due 02/15/26   150,000    145,485 
Starwood Property Trust, Inc.          
6.000%, due 04/15/302   125,000    122,528 
Uniti Group LP/Uniti Group Finance 2019, Inc./CSL Capital LLC          
4.750%, due 04/15/282   75,000    68,943 
6.500%, due 02/15/292   125,000    107,614 
10.500%, due 02/15/282   250,000    266,292 
XHR LP          
4.875%, due 06/01/292   75,000    70,399 
6.375%, due 08/15/252   125,000    124,950 
         4,307,958 
Retail: 3.8%          
1011778 BC ULC/New Red Finance, Inc.          
3.875%, due 01/15/282   25,000    23,829 
4.000%, due 10/15/302   500,000    451,575 
4.375%, due 01/15/282   50,000    48,088 
6.125%, due 06/15/292   75,000    76,309 
Arko Corp.          
5.125%, due 11/15/292   50,000    46,059 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Retail—(continued)          
Asbury Automotive Group, Inc.          
4.500%, due 03/01/28   15,000   $14,479 
4.625%, due 11/15/292   50,000    46,816 
4.750%, due 03/01/30   25,000    23,526 
5.000%, due 02/15/322   25,000    23,030 
Bath & Body Works, Inc.          
6.625%, due 10/01/302   100,000    100,129 
6.750%, due 07/01/36   275,000    276,482 
BCPE Ulysses Intermediate, Inc.          
7.750% Cash or 8.500% PIK,          
7.750%, due 04/01/272,8   100,000    97,428 
Beacon Roofing Supply, Inc.          
4.125%, due 05/15/292   125,000    116,220 
4.500%, due 11/15/262   175,000    171,514 
6.500%, due 08/01/302   100,000    101,647 
Bertrand Franchise Finance SAS          
6.500%, due 07/18/303  EUR 200,000    225,991 
Brinker International, Inc.          
8.250%, due 07/15/302   25,000    26,612 
Carvana Co.          
13.000% PIK,          
13.000%, due 06/01/302,8   53,250    58,056 
14.000% PIK,          
14.000%, due 06/01/312,8   133,750    159,461 
CEC Entertainment LLC          
6.750%, due 05/01/262   50,000    49,706 
Ceconomy AG          
6.250%, due 07/15/292  EUR 125,000    139,029 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Retail—(continued)          
Dufry One BV          
3.375%, due 04/15/28   250,000   $267,907 
4.750%, due 04/18/313   100,000    111,720 
Eroski S Coop          
10.625%, due 04/30/292   150,000    175,706 
Evergreen Acqco 1 LP/TVI, Inc.          
9.750%, due 04/26/282   40,000    42,088 
Ferrellgas LP/Ferrellgas Finance Corp.          
5.375%, due 04/01/262   175,000    173,775 
5.875%, due 04/01/292   175,000    163,336 
Fertitta Entertainment LLC/Fertitta Entertainment Finance Co., Inc.          
6.750%, due 01/15/302   200,000    181,896 
FirstCash, Inc.          
4.625%, due 09/01/282   125,000    118,398 
5.625%, due 01/01/302   75,000    72,812 
6.875%, due 03/01/322   100,000    101,140 
Foundation Building Materials, Inc.          
6.000%, due 03/01/292   100,000    88,353 
Gap, Inc.          
3.625%, due 10/01/292   25,000    22,436 
3.875%, due 10/01/312   25,000    21,483 
Global Auto Holdings Ltd./AAG FH U.K. Ltd.          
8.750%, due 01/15/322   200,000    181,784 
Group 1 Automotive, Inc.          
6.375%, due 01/15/302   25,000    25,112 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Retail—(continued)          
Ken Garff Automotive LLC          
4.875%, due 09/15/282   75,000   $72,725 
LBM Acquisition LLC          
6.250%, due 01/15/292   150,000    138,337 
LCM Investments Holdings II LLC          
4.875%, due 05/01/292   200,000    188,987 
8.250%, due 08/01/312   75,000    78,330 
Lithia Motors, Inc.          
3.875%, due 06/01/292   200,000    183,541 
4.625%, due 12/15/272   150,000    145,548 
Macy's Retail Holdings LLC          
4.500%, due 12/15/34   50,000    41,760 
5.125%, due 01/15/42   150,000    115,407 
5.875%, due 04/01/292   41,000    40,062 
5.875%, due 03/15/302   25,000    24,179 
6.375%, due 03/15/37   75,000    65,739 
Michaels Cos., Inc.          
7.875%, due 05/01/292   50,000    26,368 
Murphy Oil USA, Inc.          
3.750%, due 02/15/312   25,000    22,215 
4.750%, due 09/15/29   50,000    47,786 
Nordstrom, Inc.          
4.375%, due 04/01/30   50,000    45,322 
Patrick Industries, Inc.          
4.750%, due 05/01/292   100,000    94,585 
Punch Finance PLC          
6.125%, due 06/30/262  GBP 125,000    159,755 
6.125%, due 06/30/263   100,000    127,804 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Retail—(continued)          
QVC, Inc.          
4.450%, due 02/15/25   100,000   $99,187 
5.450%, due 08/15/34   125,000    82,111 
Raising Cane's Restaurants LLC          
9.375%, due 05/01/292   50,000    53,744 
Rite Aid Corp.          
8.000%, due 11/15/262,4,5,12   103,000    27,738 
12.324%, due 11/15/26   5,282    5,057 
Sally Holdings LLC/Sally Capital, Inc.          
6.750%, due 03/01/32   50,000    50,623 
Sizzling Platter LLC/Sizzling Platter Finance Corp.          
8.500%, due 11/28/252   200,000    200,229 
Sonic Automotive, Inc.          
4.625%, due 11/15/292   75,000    68,871 
4.875%, due 11/15/312   75,000    67,436 
Staples, Inc.          
10.750%, due 09/01/292   100,000    96,698 
12.750%, due 01/15/302   219,659    174,569 
Suburban Propane Partners LP/Suburban Energy Finance Corp.          
5.000%, due 06/01/312   75,000    68,787 
Superior Plus LP/Superior General Partner, Inc.          
4.500%, due 03/15/292   125,000    115,335 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Retail—(continued)          
Victra Holdings LLC/Victra Finance Corp.          
7.750%, due 02/15/262   13,000   $13,094 
8.750%, due 09/15/292   25,000    26,098 
Yum! Brands, Inc.          
4.750%, due 01/15/302   25,000    24,190 
5.375%, due 04/01/32   225,000    218,995 
         7,035,144 
Savings & loans: 0.0%          
Washington Mutual, Inc.          
0.000%, due 09/21/494,12,13   500,000    6,063 
           
Semiconductors: 0.3%          
Amkor Technology, Inc.          
6.625%, due 09/15/272   50,000    50,153 
ams-OSRAM AG          
10.500%, due 03/30/293  EUR 100,000    110,243 
BE Semiconductor Industries NV          
4.500%, due 07/15/312   125,000    139,550 
Entegris, Inc.          
5.950%, due 06/15/302   25,000    24,973 
ON Semiconductor Corp.          
3.875%, due 09/01/282   175,000    164,097 
Synaptics, Inc.          
4.000%, due 06/15/292   125,000    114,667 
         603,683 
Software: 1.7%          
Alteryx, Inc.          
8.750%, due 03/15/282   50,000    51,109 
AthenaHealth Group, Inc.          
6.500%, due 02/15/302   350,000    331,019 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Software—(continued)          
Castle U.S. Holding Corp.          
9.500%, due 02/15/282   225,000   $101,250 
Cloud Software Group, Inc.          
6.500%, due 03/31/292   375,000    366,211 
9.000%, due 09/30/292   600,000    599,945 
Dun & Bradstreet Corp.          
5.000%, due 12/15/292   50,000    48,991 
Dye & Durham Ltd.          
8.625%, due 04/15/292   25,000    26,501 
Elastic NV          
4.125%, due 07/15/292   75,000    69,403 
Helios Software Holdings, Inc./ION Corporate Solutions Finance SARL          
7.875%, due 05/01/292  EUR 125,000    137,566 
Open Text Corp.          
3.875%, due 02/15/282   25,000    23,515 
3.875%, due 12/01/292   150,000    136,846 
Open Text Holdings, Inc.          
4.125%, due 02/15/302   125,000    114,756 
4.125%, due 12/01/312   275,000    246,979 
Playtika Holding Corp.          
4.250%, due 03/15/292   125,000    112,767 
ROBLOX Corp.          
3.875%, due 05/01/302   50,000    45,252 
Rocket Software, Inc.          
6.500%, due 02/15/292   25,000    23,247 
SS&C Technologies, Inc.          
5.500%, due 09/30/272   275,000    273,907 
6.500%, due 06/01/322   50,000    50,897 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Software—(continued)          
Twilio, Inc.          
3.875%, due 03/15/31   100,000   $90,205 
UKG, Inc.          
6.875%, due 02/01/312   175,000    179,289 
Veritas U.S., Inc./Veritas Bermuda Ltd.          
7.500%, due 09/01/252   100,000    95,172 
         3,124,827 
Telecommunications: 5.8%          
Africell Holding Ltd.          
10.500%, due 10/23/292   250,000    249,560 
Altice France Holding SA          
4.000%, due 02/15/283  EUR 200,000    51,940 
6.000%, due 02/15/282   400,000    108,411 
8.000%, due 05/15/273  EUR 175,000    52,660 
10.500%, due 05/15/272   400,000    121,611 
Altice France SA          
3.375%, due 01/15/283  EUR 400,000    332,308 
5.125%, due 07/15/292   375,000    280,482 
5.500%, due 10/15/292   200,000    149,748 
Axian Telecom          
7.375%, due 02/16/273   200,000    200,938 
C&W Senior Finance Ltd.          
6.875%, due 09/15/273   120,000    118,787 
Ciena Corp.          
4.000%, due 01/31/302   50,000    46,139 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
CommScope LLC          
4.750%, due 09/01/292   50,000   $42,750 
6.000%, due 03/01/262   50,000    48,810 
7.125%, due 07/01/282   25,000    21,744 
8.250%, due 03/01/272   25,000    23,673 
CommScope Technologies LLC          
6.000%, due 06/15/252   61,000    59,780 
CT Trust          
5.125%, due 02/03/323   350,000    317,187 
Digicel Group Holdings Ltd.          
Series 1B,          
0.000%, due 12/31/302,4,13   60,603    1,818 
Series 3A,          
0.000%, due 12/31/302,4,5,13   376    188 
Series 3B,          
0.000%, due 12/31/302,4,13   46,129    461 
Digicel Intermediate Holdings Ltd./Digicel International Finance Ltd./Difl U.S.          
9.000% Cash and 1.500% PIK,          
12.000%, due 05/25/278   401,766    404,277 
Embarq Corp.          
7.995%, due 06/01/36   100,000    42,819 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
Frontier Communications Holdings LLC          
5.000%, due 05/01/282   150,000   $147,458 
5.875%, due 10/15/272   75,000    74,839 
5.875%, due 11/01/29   17,911    17,500 
6.000%, due 01/15/302   100,000    97,861 
6.750%, due 05/01/292   275,000    273,552 
8.625%, due 03/15/312   150,000    160,772 
8.750%, due 05/15/302   100,000    105,863 
GoTo Group, Inc.          
5.500%, due 05/01/282   48,510    37,399 
5.500%, due 05/01/282   66,990    21,068 
Hughes Satellite Systems Corp.          
6.625%, due 08/01/26   125,000    108,138 
Iliad Holding SASU          
6.875%, due 04/15/312  EUR 125,000    144,647 
Intelsat Jackson Holdings SA          
6.500%, due 03/15/302   50,000    46,979 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
Level 3 Financing, Inc.          
3.625%, due 01/15/292   25,000   $18,746 
3.875%, due 10/15/302   75,000    56,999 
4.000%, due 04/15/312   25,000    18,875 
4.250%, due 07/01/282   100,000    83,125 
4.500%, due 04/01/302   100,000    79,994 
4.625%, due 09/15/272   100,000    90,750 
4.875%, due 06/15/292   100,000    85,500 
10.000%, due 10/15/322   50,000    49,542 
10.500%, due 04/15/292   50,000    55,668 
10.500%, due 05/15/302   96,000    105,000 
10.750%, due 12/15/302   50,000    55,868 
11.000%, due 11/15/292   25,000    28,210 
Liberty Costa Rica Senior Secured Finance          
10.875%, due 01/15/312   200,000    215,664 
Lorca Telecom Bondco SA          
4.000%, due 09/18/272  EUR 225,000    244,395 
Lumen Technologies, Inc.          
4.000%, due 02/15/272   25,000    22,500 
4.125%, due 04/15/292   21,160    18,515 
4.125%, due 04/15/302   21,162    17,935 
4.500%, due 01/15/292   25,000    19,500 
10.000%, due 10/15/322   125,000    124,531 
Nokia of America Corp.          
6.450%, due 03/15/29   175,000    175,930 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
Odido Holding BV          
3.750%, due 01/15/293  EUR 175,000   $185,671 
Optics Bidco SpA          
1.625%, due 01/18/29   284,000    285,072 
3.625%, due 05/25/263   50,000    54,520 
5.250%, due 03/17/55   100,000    107,862 
Series 2034,          
6.000%, due 09/30/342   200,000    194,958 
7.875%, due 07/31/283  EUR 200,000    245,641 
SoftBank Group Corp.          
3.125%, due 09/19/253   375,000    403,542 
3.875%, due 07/06/323   300,000    300,219 
TalkTalk Telecom Group Ltd.          
3.875%, due 02/20/253  GBP 100,000    79,946 
Telecom Italia Capital SA          
6.375%, due 11/15/33   75,000    75,795 
7.200%, due 07/18/36   50,000    50,701 
Telecom Italia SpA          
1.625%, due 01/18/293  EUR 141,000    142,408 
7.875%, due 07/31/283   100,000    122,753 
Telecommunications Services of Trinidad & Tobago Ltd.          
8.875%, due 10/18/293   400,000    401,776 
Telesat Canada/Telesat LLC          
4.875%, due 06/01/272   50,000    21,789 
5.625%, due 12/06/262   125,000    55,343 
6.500%, due 10/15/272   75,000    23,190 
Turkcell Iletisim Hizmetleri AS          
5.800%, due 04/11/283   400,000    388,625 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Telecommunications—(continued)          
Viasat, Inc.          
6.500%, due 07/15/282   25,000   $18,855 
7.500%, due 05/30/312   50,000    32,803 
Vmed O2 U.K. Financing I PLC          
4.250%, due 01/31/312   200,000    172,534 
4.750%, due 07/15/312   200,000    173,206 
5.625%, due 04/15/322  EUR 125,000    135,975 
5.625%, due 04/15/323   100,000    108,780 
Vodafone Group PLC          
(fixed, converts to FRN on 08/27/26),          
2.625%, due 08/27/803,6   225,000    240,650 
(fixed, converts to FRN on 08/27/30),          
3.000%, due 08/27/803,6   100,000    101,052 
(fixed, converts to FRN on 10/03/28),          
4.200%, due 10/03/783,6   125,000    137,561 
(fixed, converts to FRN on 04/04/29),          
7.000%, due 04/04/796   175,000    183,297 
Windstream Services LLC/Windstream Escrow Finance Corp.          
7.750%, due 08/15/282   125,000    125,692 
8.250%, due 10/01/312   50,000    50,625 
Zayo Group Holdings, Inc.          
4.000%, due 03/01/272   200,000    178,002 
6.125%, due 03/01/282   75,000    64,382 
Zegona Finance PLC          
6.750%, due 07/15/293  EUR 200,000    228,699 
         10,571,338 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Toys/Games/Hobbies: 0.1%          
Mattel, Inc.          
5.450%, due 11/01/41   25,000   $22,895 
5.875%, due 12/15/272   100,000    101,014 
         123,909 
Transportation: 0.6%          
Cargo Aircraft Management, Inc.          
4.750%, due 02/01/282   25,000    23,852 
Edge Finco PLC          
8.125%, due 08/15/312  GBP 200,000    260,534 
First Student Bidco, Inc./First Transit Parent, Inc.          
4.000%, due 07/31/292   25,000    23,014 
Genesee & Wyoming, Inc.          
6.250%, due 04/15/322   100,000    100,874 
Rand Parent LLC          
8.500%, due 02/15/302   100,000    99,780 
Seaspan Corp.          
5.500%, due 08/01/292   175,000    164,937 
Transnet SOC Ltd.          
8.250%, due 02/06/283   200,000    203,687 
Watco Cos. LLC/Watco Finance Corp.          
7.125%, due 08/01/322   100,000    103,104 
XPO, Inc.          
6.250%, due 06/01/282   50,000    50,756 
7.125%, due 06/01/312   50,000    51,752 
7.125%, due 02/01/322   50,000    51,942 
         1,134,232 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Corporate bonds—(continued)          
Trucking & leasing: 0.3%          
Fortress Transportation & Infrastructure Investors LLC          
5.500%, due 05/01/282   75,000   $73,527 
5.875%, due 04/15/332   100,000    97,496 
7.000%, due 05/01/312   75,000    77,131 
7.000%, due 06/15/322   225,000    230,851 
7.875%, due 12/01/302   25,000    26,337 
         505,342 
Water: 0.2%          
Solaris Midstream Holdings LLC          
7.625%, due 04/01/262   175,000    175,933 
Thames Water Utilities Finance PLC          
2.375%, due 04/22/403  GBP 100,000    97,005 
7.750%, due 04/30/443   100,000    105,255 
         378,193 
Total corporate bonds          
(cost—$186,380,713)        176,153,125 
           
Loan assignments—1.0%          
Advertising: 0.1%          
Clear Channel International BV          
6 mo. USD Term SOFR + 7.500%,          
7.500%, due 04/01/276   175,000    171,500 
           
Commercial services: 0.0%          
Vortex Opco LLC          
3 mo. USD Term SOFR + 6.250%,          
11.003%, due 04/30/306   18,000    18,551 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Computers: 0.2%          
Amentum Government Services Holdings LLC          
1 mo. USD Term SOFR + 2.250%,          
6.935%, due 09/29/316   125,000   $124,906 
Diebold Nixdorf, Inc.          
2023 Exit Term Loan,          
1 mo. USD Term SOFR + 7.500%,          
12.304%, due 08/11/286   162,746    165,221 
Vericast Corp.          
3 mo. USD Term SOFR + 7.750%,          
12.354%, due 06/15/306   133,225    126,897 
         417,024 
Diversified financial services: 0.1%          
Mulhacen Pte. Ltd.          
EUR 1st Lien Term Loan,          
6 mo. EURIBOR + 10.000%,          
10.000%, due 08/01/266  EUR 123,745    53,841 
EUR 2nd Lien Term Loan,          
6 mo. EURIBOR + 8.000%,          
8.000%, due 12/01/266   259,267    32,785 
         86,626 
Electric: 0.0%          
Lightning Power LLC          
3 mo. USD Term SOFR + 3.250%,          
8.346%, due 08/18/316   50,000    50,090 
NRG Energy, Inc.          
0.000%, due 04/16/316,14   25,000    25,009 
         75,099 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Entertainment: 0.2%          
Allen Media LLC          
2021 Term Loan B,          
3 mo. USD Term SOFR + 5.500%,          
10.254%, due 02/10/276   70,749   $45,943 
Great Canadian Gaming Corp.          
2021 Term Loan,          
3 mo. USD Term SOFR + 4.000%,          
9.015%, due 11/01/266   97,750    97,554 
Scientific Games Holdings LP          
3 mo. USD Term SOFR + 3.000%,          
7.590%, due 04/04/296   147,750    147,082 
         290,579 
Food: 0.1%          
Northeast Grocery, Inc.          
Term Loan B,          
3 mo. USD Term SOFR + 7.500%,          
12.596%, due 12/13/286   167,518    168,216 
           
Forest Products, Paper: 0.0%          
Glatfelter Corp.          
0.000%, due 11/04/316,14   75,000    74,204 
           
Healthcare-services: 0.0%          
LifePoint Health, Inc.          
3 mo. USD Term SOFR + 4.000%,          
8.632%, due 05/17/316   24,938    24,957 
           
Internet: 0.0%          
Endure Digital, Inc.          
Term Loan,          
1 mo. USD Term SOFR + 3.500%,          
8.471%, due 02/10/286   72,562    65,778 
           
Leisure time: 0.0%          
Life Time Fitness, Inc.          
0.000%, due 10/22/316,14   50,000    49,938 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Machinery-diversified: 0.0%          
Titan Acquisition Ltd.          
2024 Term Loan B,          
6 mo. USD Term SOFR + 5.000%,          
10.326%, due 02/15/296   24,937   $24,947 
           
Pharmaceuticals: 0.0%          
Mallinckrodt International Finance SA          
2023 First Out Term Loan,          
1 mo. USD Term SOFR + 7.500%,          
12.245%, due 11/14/286   9,357    9,924 
           
Retail: 0.0%          
MI Windows & Doors LLC          
2024 Term Loan B2,          
1 mo. USD Term SOFR + 3.000%,          
7.685%, due 03/28/316   49,875    49,994 
           
Software: 0.1%          
Athenahealth Group, Inc.          
2022 Term Loan B,          
1 mo. USD Term SOFR + 3.250%,          
7.935%, due 02/15/296   87,143    86,798 
           
Telecommunications: 0.2%          
Altice France SA          
2023 USD Term Loan B14,          
3 mo. USD Term SOFR + 5.500%,          
10.147%, due 08/15/286   160,445    128,069 
Consolidated Communications, Inc.          
2021 Term Loan B,          
1 mo. USD Term SOFR + 3.500%,          
8.300%, due 10/02/276   150,000    147,432 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face     
   amount1   Value 
Loan assignments—(continued)          
Telecommunications—(continued)          
Windstream Services LLC          
3 mo. USD Term SOFR + 4.750%,          
9.707%, due 10/01/316   25,000   $25,094 
         300,595 
Total loan assignments          
(cost—$2,251,941)        1,914,730 
           
Non-U.S. government agency obligations: 0.1%          
Argentina: 0.1%          
Bonos Para La Reconstruccion De Una Argentina Libre          
3.000%, due 05/31/26   250,000    221,713 
           
Ukraine: 0.0%          
Ukreximbank Via Biz Finance PLC          
9.750%, due 01/22/253   25,750    24,279 
           
Total non-U.S. government agency obligations          
(cost $241,445)        245,992 

 

   Number of
shares
     
Preferred stocks: 0.0%          
Machinery: 0.0%          
Selecta Group BV*,4Class A1   21,852    6,893 
Selecta Group BV*,4Class A2   43,703    13,786 
         20,679 
Total preferred stocks
(cost—$19,205)
        20,679 

 

   Face
amount
     
Warrants: 0.0%          
Air Methods Corp.*,4,5   389    0 
Air Methods Corp.*,4,5   184    0 
Chaparral Energy, Inc. expires 10/01/25*,4,5   9    0 
Curo Group Holdings LLC expires 08/01/28*,4,5   1,440    0 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Face
amount1
   Value 
Warrants—(continued)          
Intelsat SA expires 02/17/27*,4   1   $2 
Linx Synthetic expires 12/31/49*,4,5  EUR 2    29,587 
Total warrants
(cost—$166,198)
        29,589 

 

   Number of
shares
     
Common stocks: 0.6%          
Aerospace & defense: 0.0%          
Evander Gold Mines Ltd.*,4,5   2,750    0 
           
Chemicals: 0.0%          
Cornerstone CS*,4,5   1,205    4,217 
           
Consumer finance: 0.0%          
Curo Group Holdings LLC*,4   824    4,120 
           
Energy equipment & services: 0.0%          
Nine Energy Service, Inc.*,10   750    720 
Parker Drilling Co.*   921    18,420 
         19,140 
Financial services: 0.1%          
SPN*,2,4   1,482    89,661 
           
Gas utilities: 0.0%          
Ferrellgas Partners LP, Class B   324    52,974 
           
Health care providers & services: 0.0%          
Air Methods Corp.*,4   70    2,012 
           
IT services: 0.2%          
Carnelian Point Holdings LP4,5   140    1,875 
Carnelian Point Holdings LP*,4,5   9,478    126,910 
Carnelian Point Holdings LP*,4,5   14,851    198,855 
         327,640 
         327,640 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Leisure products: 0.0%          
Codere New Topco SA*,4,5  EUR 4,367   $0 
Teide 10 S.L.*,4   5,444,137    44,414 
         44,414 
Media: 0.0%          
iHeartMedia, Inc., Class A*   1,347    2,667 
           
Metals & mining: 0.0%          
Aleris International, Inc.*,4,5   795    15,900 
Cloud Peak Energy, Inc.*,4,5   66    0 
Petra Diamonds Ltd.*  GBP 54,100    24,974 
         40,874 
Oil, gas & consumable fuels: 0.0%          
California Resources Corp.   64    3,326 
           
Paper & forest products: 0.0%          
Hardwood Holdings LLC*,4   936    29,952 
           
Pharmaceuticals: 0.1%          
Endo, Inc.*   3,821    97,474 
Mallinckrodt PLC*,4   459    34,425 
         131,899 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Technology hardware, storage & peripherals: 0.1%          
Diebold Nixdorf, Inc.*   2,093   $96,864 
           
Wireless telecommunication services: 0.1%          
Intelsat SA*,4   5,083    153,761 
Total common stocks
(cost—$1,637,245)
        1,003,521 
           
Investment companies: 0.0%          
Endo GUC Trust5       
(cost—$0)  $25,821    0 
           
Short-term investments—0.8%          
Investment companies: 0.8%          
State Street Institutional U.S. Government Money Market Fund, 4.824%15
(cost $1,429,337)
   1,429,337    1,429,337 
           
Investment of cash collateral from securities loaned—0.1%          
Money market funds: 0.1%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%15
(cost—$123,167)
   123,167    123,167 
Total investments
(cost—$192,249,251)16—98.5%
        180,920,140 
Other assets in excess of liabilities—1.5%        2,749,184 
Net assets—100.0%       $183,669,324 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Forward foreign currency contracts

 

Counterparty  Sell   Purchase   Settlement
date
  Unrealized
appreciation
(depreciation)
 
SSB  EUR 32,355,030   USD 35,822,195   11/08/24  $621,998 
SSB  GBP 3,548,851   USD 4,710,681   11/08/24   134,637 
SSB  USD 136,000   EUR 125,478   11/08/24   511 
SSB  USD 196,000   EUR 178,607   11/08/24   (1,687)
SSB  USD 109,000   GBP 83,491   11/08/24   (1,342)
Net unrealized appreciation (depreciation)               $754,117 

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $297,419   $358,345   $347,757   $1,003,521 
Preferred stocks       20,679        20,679 
Investment companies                
Warrants       2    29,587    29,589 
Corporate bonds       176,112,994    40,131    176,153,125 
Loan assignments       1,914,730        1,914,730 
Non-U.S. government agency obligations       245,992        245,992 
Short-term investments       1,429,337        1,429,337 
Investment of cash collateral from securities loaned       123,167        123,167 
Forward foreign currency contracts       757,146        757,146 
Total  $297,419   $180,962,392   $417,475   $181,677,286 
                     
Liabilities                    
Forward foreign currency contracts  $   $(3,029)  $   $(3,029)
Total  $   $(3,029)  $   $(3,029)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
*Non–income producing security.
1In U.S. dollars unless otherwise indicated.
2Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $109,655,294, represented 59.7% of the Portfolios net assets at period end.
3Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
4Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
5Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
6Floating or variable rate securities. The rates disclosed are as of October 31, 2024. For securities based on a published reference rate and spread, the reference rate and spread are indicated within the description. Variable rate securities with a floor or ceiling feature are disclosed at the inherent rate, where applicable. Certain variable rate securities are not based on a published reference rate and spread, but are determined by the issuer or agent and are based on current market conditions; these securities do not indicate a reference rate and spread in the description.
7Security purchased on a when–issued basis. When–issued refers to a transaction made conditionally because a security, although authorized, has not yet been issued.
8Payment–in–kind security for which interest may be paid in cash or additional principal, at the discretion of the issuer.
9Perpetual investment. Date shown reflects the next call date.

 

 

 

 

PACE High Yield Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

10Security, or portion thereof, was on loan at the period end.
11This security is considered restricted. At period end, the value of restricted security was $28,105, represented 0.0% of the Fund’s net assets.

 

The table below provides further information:

 

Restricted security  Acquisition
date
  Acquisition
cost
   Acquisition cost
as a percentage
of net asset
   Value at
10/31/24
   Value as a
percentage of
net assets
 
Aleris International, Inc.  01/10/17  $13,981    0.0%  $15,900    0.0%
Appcion  08/23/18   650,000    0.3    6,500    0.0 
Cloud Peak Energy Resources LLC/Cloud Peak Energy Finance Corp.  09/02/20   550,000    0.3    5,500    0.0 
Codere New Holdco SA  12/01/21   141,227    0.1    205    0.0 
Endo Luxembourg Finance SARL  04/24/24       0.0    0    0.0 
Par Pharmaceutical, Inc.  04/24/24       0.0    0    0.0 

 

12Bond interest in default.
13Zero coupon bond.
14Position is unsettled. Contract rate was not determined at October 31, 2024 and does not take effect until settlement.
15Rates shown reflect yield at October 31, 2024.
16Includes $120,509 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $123,167 and non-cash collateral of $0.

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks: 96.7%
Aerospace & defense: 1.8%
Boeing Co.*   10,397   $1,552,376 
General Dynamics Corp.   35,500    10,352,155 
RTX Corp.   18,321    2,216,658 
         14,121,189 
Air freight & logistics: 0.4%
FedEx Corp.   12,210    3,343,708 
           
Automobile components: 0.7%
Adient PLC*   16,044    313,339 
Aptiv PLC*   21,975    1,248,839 
BorgWarner, Inc.   23,513    790,742 
Magna International, Inc.1   72,729    2,870,614 
         5,223,534 
Automobiles: 1.2%
General Motors Co.   95,140    4,829,307 
Harley-Davidson, Inc.   142,432    4,550,702 
         9,380,009 
Banks: 7.3%
Bank of America Corp.   30,789    1,287,596 
Citigroup, Inc.   259,761    16,668,863 
Citizens Financial Group, Inc.   55,529    2,338,881 
First Citizens BancShares, Inc., Class A   389    753,629 
JPMorgan Chase & Co.   67,505    14,980,710 
Regions Financial Corp.   497,125    11,866,374 
Truist Financial Corp.   26,800    1,153,740 
U.S. Bancorp   59,372    2,868,261 
Wells Fargo & Co.   78,840    5,118,293 
         57,036,347 
Beverages: 1.2%
Anheuser-Busch InBev SA, ADR   18,800    1,116,156 
Keurig Dr. Pepper, Inc.   259,102    8,537,411 
         9,653,567 
Biotechnology: 2.1%
Gilead Sciences, Inc.   187,944    16,693,186 
           
Broadline retail: 1.2%
Alibaba Group Holding Ltd., ADR   98,294    9,630,845 
           
Building products: 1.1%
Johnson Controls International PLC   111,613    8,432,362 
           
Capital markets: 7.5%
ARES Management Corp., Class A   66,741    11,191,131 
Bank of New York Mellon Corp.   215,902    16,270,374 
Charles Schwab Corp.   216,848    15,359,344 
Goldman Sachs Group, Inc.   1,624    840,891 
Raymond James Financial, Inc.   84,117    12,467,822 
State Street Corp.   34,005    3,155,664 
         59,285,226 
Chemicals: 2.9%
Axalta Coating Systems Ltd.*   339,670    12,880,286 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Chemicals—(continued)
Celanese Corp.1   64,972   $8,184,523 
Olin Corp.   44,351    1,819,722 
         22,884,531 
Communications equipment: 2.9%
Cisco Systems, Inc.   202,510    11,091,473 
F5, Inc.*   26,600    6,221,208 
Telefonaktiebolaget LM Ericsson, ADR1   654,061    5,481,031 
         22,793,712 
Construction & engineering: 0.1%
Fluor Corp.*   13,127    686,280 
           
Construction materials: 1.9%
Heidelberg Materials AG   134,938    14,854,014 
           
Consumer finance: 2.1%
American Express Co.   52,312    14,128,425 
Capital One Financial Corp.   5,747    935,554 
Discover Financial Services   7,438    1,104,022 
         16,168,001 
Electric utilities: 2.0%
PPL Corp.   486,640    15,844,998 
           
Electrical equipment: 1.0%
Emerson Electric Co.   73,455    7,952,973 
           
Electronic equipment, instruments & components: 1.2%
Corning, Inc.   103,587    4,929,705 
TE Connectivity PLC   29,530    4,353,313 
         9,283,018 
Energy equipment & services: 0.9%
Baker Hughes Co.   65,317    2,487,271 
Halliburton Co.   20,621    572,027 
NOV, Inc.   191,604    2,971,778 
Schlumberger NV   17,497    701,105 
         6,732,181 
Entertainment: 0.1%
Warner Bros Discovery, Inc.*   122,210    993,567 
           
Financial services: 2.5%
Berkshire Hathaway, Inc., Class B*   33,449    15,082,823 
Corebridge Financial, Inc.   55,263    1,755,706 
Fidelity National Information Services, Inc.   34,677    3,111,567 
         19,950,096 
Food products: 2.1%
Conagra Brands, Inc.   37,800    1,093,932 
Danone SA   181,230    12,951,632 
Kraft Heinz Co.   75,500    2,526,230 
         16,571,794 
Ground transportation: 0.2%
Norfolk Southern Corp.   5,000    1,252,150 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Health care equipment & supplies: 1.1%
GE HealthCare Technologies, Inc.   35,963   $3,141,368 
Medtronic PLC   39,837    3,555,452 
Solventum Corp.*   11,500    834,670 
Zimmer Biomet Holdings, Inc.   10,238    1,094,647 
         8,626,137 
Health care providers & services: 7.6%
Centene Corp.*   29,219    1,819,175 
Cigna Group   4,697    1,478,663 
CVS Health Corp.   61,714    3,484,372 
Elevance Health, Inc.   56,452    22,905,964 
HCA Healthcare, Inc.   2,947    1,057,207 
Henry Schein, Inc.*,1   191,660    13,460,282 
Humana, Inc.   7,321    1,887,573 
Labcorp Holdings, Inc.   3,306    754,661 
UnitedHealth Group, Inc.   23,387    13,201,961 
         60,049,858 
Hotels, restaurants & leisure: 1.9%
Aramark   376,034    14,225,366 
Booking Holdings, Inc.   221    1,033,451 
         15,258,817 
Insurance: 7.5%
American International Group, Inc.   214,698    16,291,284 
Aon PLC, Class A   14,080    5,165,530 
Everest Group Ltd.   11,523    4,097,694 
Hartford Financial Services Group, Inc.   20,865    2,304,331 
Marsh & McLennan Cos., Inc.   42,595    9,295,933 
MetLife, Inc.   123,788    9,707,455 
Progressive Corp.   50,210    12,192,494 
         59,054,721 
Interactive media & services: 3.9%
Alphabet, Inc., Class A   99,924    17,097,996 
Meta Platforms, Inc., Class A   23,420    13,292,723 
         30,390,719 
IT services: 0.1%
Cognizant Technology Solutions Corp., Class A   9,852    734,861 
           
Machinery: 3.8%
CNH Industrial NV   148,845    1,671,529 
Cummins, Inc.   7,593    2,497,945 
Deere & Co.   1,900    768,911 
PACCAR, Inc.   156,621    16,332,438 
Snap-on, Inc.   23,390    7,721,741 
Timken Co.   9,137    758,371 
         29,750,935 
Media: 0.9%
Comcast Corp., Class A   92,999    4,061,266 
Omnicom Group, Inc.   8,300    838,300 

 

 

 

 

PACE Large Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Media—(continued)
Paramount Global, Class B   39,342   $430,402 
WPP PLC, ADR   33,300    1,747,917 
         7,077,885 
Metals & mining: 1.4%
Rio Tinto PLC, ADR   174,062    11,294,883 
           
Multi-utilities: 2.0%
Dominion Energy, Inc.   51,800    3,083,654 
Sempra   154,543    12,884,250 
         15,967,904 
Oil, gas & consumable fuels: 5.7%
APA Corp.1   119,012    2,808,683 
Cenovus Energy, Inc.   50,303    808,369 
ConocoPhillips   123,179    13,493,028 
Coterra Energy, Inc.   297,610    7,118,831 
EQT Corp.   319,445    11,672,520 
Marathon Oil Corp.   54,603    1,512,503 
Murphy Oil Corp.   41,859    1,317,722 
Ovintiv, Inc.   73,920    2,897,664 
Shell PLC, ADR   48,762    3,293,873 
         44,923,193 
Passenger airlines: 0.6%
Southwest Airlines Co.1   164,179    5,020,594 
           
Personal care products: 2.5%
Kenvue, Inc.   363,313    8,330,767 
Unilever PLC, ADR1   182,783    11,133,313 
         19,464,080 
Pharmaceuticals: 3.8%
GSK PLC, ADR1   17,964    660,357 
Merck & Co., Inc.   144,308    14,765,595 
Pfizer, Inc.   484,037    13,698,247 
Sanofi SA, ADR   14,814    783,364 
         29,907,563 
Semiconductors & semiconductor equipment: 2.2%
Lam Research Corp.   87,180    6,481,833 
Micron Technology, Inc.   12,799    1,275,420 
NXP Semiconductors NV   40,983    9,610,514 
         17,367,767 
Software: 0.6%
Workday, Inc., Class A*   20,200    4,723,770 
           
Specialized REITs: 3.1%
Crown Castle, Inc.   109,187    11,736,511 
Gaming & Leisure Properties, Inc.   249,748    12,534,852 
         24,271,363 
Specialty retail: 1.0%
Tractor Supply Co.   30,336    8,054,511 
           
Technology hardware, storage & peripherals: 1.3%
Samsung Electronics Co. Ltd.   243,985    10,466,603 

 

 

 

 

PACE Large Co Value Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Tobacco: 1.3%
Philip Morris International, Inc.   75,667   $10,041,011 
Total common stocks
(cost—$652,637,898)
        761,214,463 
           
Short term investments: 3.5%
Investment companies: 3.5%          
State Street Institutional U.S. Government Money Market Fund, 4.824%2
(cost—$27,973,541)
   27,973,541    27,973,541 
           
Investment of cash collateral from securities loaned: 0.9%
Money market funds: 0.9%
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%2
(cost $7,312,418)
   7,312,418   7,312,418 
Total Investments
(cost—$687,923,857)3—101.1%
        796,500,422 
Liabilities in excess of other assets—(1.1)%        (8,917,570)
Net Assets—100.0%       $787,582,852 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

  

Other significant
observable inputs
(Level 2)

  

Unobservable
inputs
(Level 3)

  

Total

 
Assets                
Common stocks  $761,214,463   $   $   $761,214,463 
Short-term investments       27,973,541        27,973,541 
Investment of cash collateral from securities loaned       7,312,418        7,312,418 
Total  $761,214,463   $35,285,959   $   $796,500,422 

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

*Non–income producing security.
1Security, or portion thereof, was on loan at the period end.
2Rates shown reflect yield at October 31, 2024.
3Includes $30,974,069 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $7,312,418 and non-cash collateral of $24,772,651.

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks: 96.7%          
Aerospace & defense: 0.8%          
TransDigm Group, Inc.   4,647   $6,051,788 
           
Automobiles: 0.7%          
Tesla, Inc.*   23,113    5,774,783 
           
Beverages: 1.2%          
Celsius Holdings, Inc.*   29,278    880,682 
Coca-Cola Co.   123,958    8,095,697 
Monster Beverage Corp.*   11,472    604,345 
         9,580,724 
Biotechnology: 0.7%          
Regeneron Pharmaceuticals, Inc.*   6,171    5,172,532 
           
Broadline retail: 8.8%          
Alibaba Group Holding Ltd., ADR   13,492    1,321,946 
Amazon.com, Inc.*   345,301    64,364,107 
MercadoLibre, Inc.*   2,267    4,618,287 
         70,304,340 
Building products: 0.6%          
Trane Technologies PLC   13,682    5,064,529 
           
Capital markets: 3.2%          
Blackstone, Inc.   30,909    5,184,985 
Goldman Sachs Group, Inc.   8,954    4,636,292 
Intercontinental Exchange, Inc.   6,473    1,008,946 
KKR & Co., Inc.   42,308    5,848,658 
MSCI, Inc.   15,455    8,827,896 
State Street Corp.   2,634    244,435 
         25,751,212 
Communications equipment: 0.6%          
Arista Networks, Inc.*   13,033    5,036,473 
           
Construction & engineering: 0.5%          
Quanta Services, Inc.   12,898    3,890,424 
           
Consumer staples distribution & retail: 0.3%          
Walmart, Inc.   27,508    2,254,281 
           
Diversified telecommunication services: 0.6%          
AT&T, Inc.   159,220    3,588,819 
Verizon Communications, Inc.   37,563    1,582,529 
         5,171,348 
Electric utilities: 0.9%          
American Electric Power Co., Inc.   22,929    2,264,239 
Duke Energy Corp.   14,554    1,677,640 
NextEra Energy, Inc.   19,498    1,545,216 
Southern Co.   19,401    1,766,073 
         7,253,168 
Electrical equipment: 1.0%          
Eaton Corp. PLC   15,271    5,063,558 
Vertiv Holdings Co., Class A   26,458    2,891,595 
         7,955,153 
Electronic equipment, instruments & components: 0.4%          
Amphenol Corp., Class A   45,342    3,038,821 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Entertainment: 4.2%          
Netflix, Inc.*   37,103   $28,050,981 
Spotify Technology SA*   13,228    5,094,103 
         33,145,084 
Financial services: 6.4%          
Berkshire Hathaway, Inc., Class B*   10,427    4,701,743 
Block, Inc.*   7,508    542,979 
Mastercard, Inc., Class A   53,128    26,542,217 
PayPal Holdings, Inc.*   37,259    2,954,639 
Visa, Inc., Class A   56,886    16,488,407 
         51,229,985 
Ground transportation: 0.6%          
Uber Technologies, Inc.*   62,923    4,533,602 
           
Health care equipment & supplies: 3.1%          
Abbott Laboratories   112,616    12,767,276 
Edwards Lifesciences Corp.*   12,555    841,311 
Intuitive Surgical, Inc.*   21,772    10,969,604 
         24,578,191 
Health care providers & services: 1.9%          
Cigna Group   7,442    2,342,816 
McKesson Corp.   7,160    3,584,224 
UnitedHealth Group, Inc.   15,605    8,809,023 
         14,736,063 
Hotels, restaurants & leisure: 3.1%          
Airbnb, Inc., Class A*   64,057    8,634,243 
Booking Holdings, Inc.   598    2,796,398 
Chipotle Mexican Grill, Inc.*   23,338    1,301,560 
DoorDash, Inc., Class A*   30,235    4,737,824 
McDonald's Corp.   14,799    4,322,936 
Starbucks Corp.   29,834    2,914,782 
         24,707,743 
Household durables: 1.2%          
DR Horton, Inc.   54,560    9,220,640 
           
Household products: 0.2%          
Procter & Gamble Co.   8,983    1,483,812 
           
Industrial conglomerates: 0.5%          
3M Co.   32,130    4,127,741 
           
Insurance: 0.5%          
Allstate Corp.   10,244    1,910,711 
Progressive Corp.   8,958    2,175,271 
         4,085,982 
Interactive media & services: 8.9%          
Alphabet, Inc., Class C   212,146    36,635,493 
Meta Platforms, Inc., Class A   60,013    34,062,178 
         70,697,671 
IT services: 3.1%          
Accenture PLC, Class A   25,183    8,683,602 
International Business Machines Corp.   21,918    4,530,889 
MongoDB, Inc.*   2,364    639,226 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
IT services—(continued)          
Shopify, Inc., Class A*   135,379   $10,587,991 
         24,441,708 
Life sciences tools & services: 1.4%          
Thermo Fisher Scientific, Inc.   20,837    11,383,670 
           
Media: 0.3%          
Trade Desk, Inc., Class A*   17,259    2,074,704 
           
Metals & mining: 0.1%          
Freeport-McMoRan, Inc.   20,338    915,617 
           
Multi-utilities: 0.2%          
CMS Energy Corp.   22,427    1,561,143 
           
Oil, gas & consumable fuels: 0.6%          
Cheniere Energy, Inc.   3,949    755,760 
ConocoPhillips   17,684    1,937,105 
Exxon Mobil Corp.   13,703    1,600,236 
Targa Resources Corp.   5,007    835,969 
         5,129,070 
Pharmaceuticals: 6.3%          
Eli Lilly & Co.   39,504    32,778,049 
Johnson & Johnson   9,649    1,542,489 
Novo Nordisk AS, ADR   72,852    8,155,781 
Zoetis, Inc.   41,960    7,501,609 
         49,977,928 
Real estate management & development: 0.3%          
CoStar Group, Inc.*   34,349    2,500,264 
           
Semiconductors & semiconductor equipment: 9.0%          
Advanced Micro Devices, Inc.*   4,270    615,179 
ASML Holding NV, Registered Shares   758    509,793 
Broadcom, Inc.   70,764    12,013,604 
Lam Research Corp.   24,636    1,831,687 
NVIDIA Corp.   394,891    52,425,729 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   22,911    4,365,462 
         71,761,454 
Software: 18.4%          
Adobe, Inc.*   22,695    10,850,025 
AppLovin Corp., Class A*   15,633    2,648,074 
Fair Isaac Corp.*   1,670    3,328,494 

 

 

 

 

PACE Large Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Software—(continued)          
HubSpot, Inc.*   3,967   $2,200,852 
Intuit, Inc.   6,760    4,125,628 
Microsoft Corp.   161,677    65,697,449 
Oracle Corp.   122,246    20,517,769 
Palo Alto Networks, Inc.*   7,270    2,619,599 
Salesforce, Inc.   2,418    704,533 
ServiceNow, Inc.*   25,859    24,126,188 
Synopsys, Inc.*   4,560    2,342,062 
Workday, Inc., Class A*   29,691    6,943,240 
         146,103,913 
Specialty retail: 0.7%          
AutoZone, Inc.*   1,122    3,376,098 
Home Depot, Inc.   5,877    2,314,069 
         5,690,167 
Technology hardware, storage & peripherals: 4.1%          
Apple, Inc.   146,084    33,001,836 
           
Tobacco: 0.9%          
British American Tobacco PLC   46,327    1,620,518 
Philip Morris International, Inc.   41,450    5,500,415 
         7,120,933 
Trading companies & distributors: 0.4%          
WW Grainger, Inc.   2,974    3,298,850 
Total common stocks
(cost—$552,897,501)
        769,807,347 
           
Short term investments: 3.3%          
Investment companies: 3.3%          
State Street Institutional U.S. Government Money Market Fund, 4.824%1                
(cost—$26,354,902)   26,354,902    26,354,902 
Total Investments
(cost—$579,252,403)—100.0%
        796,162,249 
Liabilities in excess of other assets—(0.0) %        (366,257)
Net Assets—100.0%       $795,795,992 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE Large Co Growth Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $769,807,347   $   $       —   $769,807,347 
Short-term investments       26,354,902        26,354,902 
Total  $769,807,347   $26,354,902   $   $796,162,249 

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

 Amount represents less than 0.05% or (0.05)%.
* Non–income producing security.
1 Rates shown reflect yield at October 31, 2024.

 

 

  

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks: 98.8%
Aerospace & defense: 0.5%
Textron, Inc.   18,870   $1,517,525 
           
Automobile components: 2.7%
Gentex Corp.   62,540    1,895,587 
Goodyear Tire & Rubber Co.*,1   111,522    893,291 
LCI Industries   20,348    2,264,326 
Lear Corp.   16,724    1,601,490 
Visteon Corp.*   13,155    1,187,239 
         7,841,933 
Automobiles: 1.1%
Thor Industries, Inc.1   29,885    3,110,431 
           
Banks: 6.8%
Atlantic Union Bankshares Corp.   35,200    1,330,560 
Bank of Hawaii Corp.   21,236    1,533,876 
Bank OZK   33,438    1,462,913 
Columbia Banking System, Inc.   77,632    2,213,288 
First Horizon Corp.   112,350    1,947,025 
Flagstar Financial, Inc.1   94,370    955,024 
Glacier Bancorp, Inc.   40,800    2,127,720 
Independent Bank Corp.   25,630    1,612,127 
Prosperity Bancshares, Inc.   23,320    1,707,024 
SouthState Corp.   19,550    1,906,712 
Valley National Bancorp   152,250    1,441,808 
Veritex Holdings, Inc.   53,500    1,444,500 
         19,682,577 
Beverages: 0.5%
National Beverage Corp.   34,083    1,540,211 
           
Biotechnology: 0.6%
United Therapeutics Corp.*   4,635    1,733,351 
           
Building products: 3.9%
Armstrong World Industries, Inc.   13,892    1,938,629 
Builders FirstSource, Inc.*   7,631    1,307,953 
Lennox International, Inc.   5,323    3,207,480 
Owens Corning   7,400    1,308,246 
Resideo Technologies, Inc.*   91,426    1,798,350 
Zurn Elkay Water Solutions Corp.1   47,544    1,716,338 
         11,276,996 
Capital markets: 2.7%
Artisan Partners Asset Management, Inc., Class A   25,650    1,131,165 
Houlihan Lokey, Inc.   10,679    1,845,011 
Invesco Ltd.   97,526    1,691,101 
Janus Henderson Group PLC   19,998    826,117 
LPL Financial Holdings, Inc.   8,102    2,286,222 
         7,779,616 
Chemicals: 3.9%
Axalta Coating Systems Ltd.*   33,749    1,279,762 
Chemours Co.   126,712    2,301,090 
HB Fuller Co.   25,411    1,859,577 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Chemicals—(continued)          
Huntsman Corp.   64,213   $1,412,686 
Ingevity Corp.*   30,300    1,266,237 
Olin Corp.   40,638    1,667,377 
Scotts Miracle-Gro Co.   17,729    1,542,069 
         11,328,798 
Commercial services & supplies: 1.0%
Brink's Co.   13,000    1,336,270 
Clean Harbors, Inc.*   6,435    1,488,158 
         2,824,428 
Communications equipment: 0.7%
Ciena Corp.*   20,623    1,309,767 
Juniper Networks, Inc.   14,962    582,022 
         1,891,789 
Construction & engineering: 0.4%
Fluor Corp.*   23,600    1,233,808 
           
Construction materials: 0.5%
Summit Materials, Inc., Class A*   32,603    1,545,708 
           
Consumer finance: 0.5%
Navient Corp.   48,972    696,871 
SLM Corp.   33,592    740,032 
         1,436,903 
Consumer staples distribution & retail: 2.0%
BJ's Wholesale Club Holdings, Inc.*   34,552    2,927,591 
Casey's General Stores, Inc.   3,348    1,319,179 
Performance Food Group Co.*   20,428    1,659,775 
         5,906,545 
Containers & packaging: 0.5%
Berry Global Group, Inc.   21,519    1,516,014 
           
Diversified REITs: 0.5%
WP Carey, Inc.   27,272    1,519,596 
           
Diversified telecommunication services: 1.0%
Iridium Communications, Inc.   53,250    1,561,823 
Liberty Global Ltd., Class A*   71,489    1,416,197 
         2,978,020 
Electric utilities: 1.1%
Evergy, Inc.   25,900    1,565,396 
Pinnacle West Capital Corp.   17,900    1,571,799 
         3,137,195 
Electrical equipment: 0.5%
Sensata Technologies Holding PLC   39,949    1,371,849 
           
Electronic equipment, instruments & components: 3.6%
Arrow Electronics, Inc.*   11,364    1,348,566 
Belden, Inc.   8,720    992,946 
Flex Ltd.*   32,332    1,120,950 
IPG Photonics Corp.*   17,361    1,405,547 
Jabil, Inc.   12,000    1,477,080 
TD SYNNEX Corp.   13,199    1,522,505 

 

 

 

 

PACE Small/Medium Co Value Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

  

   Number of
shares
   Value 
Common stocks—(continued)
Electronic equipment, instruments & components—(continued)
Zebra Technologies Corp., Class A*   6,704   $2,560,727 
         10,428,321 
Energy equipment & services: 2.1%
Cactus, Inc., Class A   22,650    1,342,918 
Helmerich & Payne, Inc.1   71,736    2,410,329 
Noble Corp. PLC   17,115    547,338 
Patterson-UTI Energy, Inc.   227,604    1,745,723 
         6,046,308 
Entertainment: 1.2%
Cinemark Holdings, Inc.*   43,970    1,308,108 
Liberty Media Corp.-Liberty Formula One, Class C*   18,550    1,481,032 
Lions Gate Entertainment Corp., Class B*   104,603    737,451 
         3,526,591 
Financial services: 2.0%
Jack Henry & Associates, Inc.   12,070    2,195,895 
MGIC Investment Corp.   75,225    1,883,634 
Voya Financial, Inc.   16,330    1,311,299 
Walker & Dunlop, Inc.   4,736    517,976 
         5,908,804 
Food products: 0.4%
Post Holdings, Inc.*   10,810    1,180,560 
           
Gas utilities: 1.8%
National Fuel Gas Co.   28,830    1,745,080 
UGI Corp.   140,354    3,355,864 
         5,100,944 
Ground transportation: 2.3%
Knight-Swift Transportation Holdings, Inc.   30,975    1,613,178 
Landstar System, Inc.   11,073    1,946,301 
Ryder System, Inc.   9,653    1,412,041 
Saia, Inc.*   3,528    1,723,816 
         6,695,336 
Health care equipment & supplies: 1.0%
Globus Medical, Inc., Class A*   18,025    1,325,559 
LivaNova PLC*   27,515    1,420,324 
         2,745,883 
Health care providers & services: 2.0%
CorVel Corp.*   5,699    1,697,276 
Encompass Health Corp.   14,300    1,422,278 
Select Medical Holdings Corp.   35,000    1,122,800 
Tenet Healthcare Corp.*   9,970    1,545,550 
         5,787,904 
Hotel & resort REITs: 0.4%
Host Hotels & Resorts, Inc.   71,416    1,231,212 
           
Hotels, restaurants & leisure: 3.8%
Bloomin' Brands, Inc.   61,500    1,020,285 

 

 

 

 

PACE Small/Medium Co Value Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Hotels, restaurants & leisure—(continued)
Caesars Entertainment, Inc.*   81,646   $3,269,922 
Churchill Downs, Inc.   8,350    1,169,835 
Marriott Vacations Worldwide Corp.   18,950    1,459,719 
Norwegian Cruise Line Holdings Ltd.*   88,650    2,246,391 
Wynn Resorts Ltd.   17,850    1,713,957 
         10,880,109 
Household durables: 2.2%
Mohawk Industries, Inc.*   20,669    2,775,227 
Newell Brands, Inc.   315,435    2,775,828 
TopBuild Corp.*   2,437    861,187 
         6,412,242 
Household products: 0.9%
Reynolds Consumer Products, Inc.   24,135    650,438 
WD-40 Co.1   7,615    1,995,663 
         2,646,101 
Industrial REITs: 0.7%
First Industrial Realty Trust, Inc.   39,000    2,047,110 
           
Insurance: 4.0%
American Financial Group, Inc.   8,600    1,108,798 
Assurant, Inc.   6,190    1,186,623 
Brighthouse Financial, Inc.*   25,960    1,227,908 
First American Financial Corp.   54,591    3,502,012 
Lincoln National Corp.   34,480    1,198,180 
Unum Group   21,000    1,347,780 
W.R. Berkley Corp.   36,564    2,090,364 
         11,661,665 
IT services: 1.2%
Amdocs Ltd.   37,818    3,318,340 
           
Leisure products: 1.1%
Brunswick Corp.1   14,000    1,116,360 
Polaris, Inc.   29,682    2,075,069 
         3,191,429 
Machinery: 6.1%
AGCO Corp.   15,594    1,556,905 
Chart Industries, Inc.*   9,942    1,200,198 
Graco, Inc.   24,292    1,978,583 
ITT, Inc.   13,250    1,856,590 
John Bean Technologies Corp.1   9,863    1,098,936 
Kadant, Inc.1   5,766    1,920,424 
Oshkosh Corp.   12,809    1,309,592 
Pentair PLC   17,080    1,692,970 
RBC Bearings, Inc.*   8,587    2,407,365 
Terex Corp.1   21,563    1,115,023 
Toro Co.   17,900    1,440,592 
         17,577,178 
Marine transportation: 0.5%
Kirby Corp.*   12,640    1,450,566 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Metals & mining: 3.2%
Alcoa Corp.   80,637   $3,232,737 
ATI, Inc.*   25,225    1,329,610 
Cleveland-Cliffs, Inc.*   115,150    1,494,647 
Commercial Metals Co.   29,900    1,608,620 
Reliance, Inc.   5,400    1,546,236 
         9,211,850 
Mortgage real estate investment: 1.0%
AGNC Investment Corp.1   136,300    1,268,953 
Annaly Capital Management, Inc.   84,000    1,596,840 
         2,865,793 
Office REITs: 1.1%
Highwoods Properties, Inc.   49,550    1,661,907 
Kilroy Realty Corp.   36,500    1,468,030 
         3,129,937 
Oil, gas & consumable fuels: 2.7%
Antero Resources Corp.*   34,100    882,508 
California Resources Corp.   44,118    2,292,813 
Chord Energy Corp.   6,570    821,907 
Civitas Resources, Inc.   19,900    970,921 
Ovintiv, Inc.   22,100    866,320 
PBF Energy, Inc., Class A   28,145    802,695 
Permian Resources Corp.   74,700    1,018,161 
         7,655,325 
Passenger airlines: 1.4%
Alaska Air Group, Inc.*   53,941    2,584,313 
SkyWest, Inc.*   15,379    1,464,081 
         4,048,394 
Personal care products: 0.4%
Coty, Inc., Class A*   138,149    1,027,829 
           
Pharmaceuticals: 1.7%
Jazz Pharmaceuticals PLC*   23,745    2,612,662 
Perrigo Co. PLC   41,000    1,050,830 
Prestige Consumer Healthcare, Inc.*   17,700    1,305,375 
         4,968,867 
Professional services: 7.6%
Alight, Inc., Class A*   255,199    1,768,529 
Amentum Holdings, Inc.*   7,700    228,998 
Broadridge Financial Solutions, Inc.   11,853    2,499,323 
CACI International, Inc., Class A*   5,225    2,887,126 
Genpact Ltd.   37,833    1,444,086 
Jacobs Solutions, Inc.   7,700    1,082,466 
Kelly Services, Inc., Class A   63,445    1,268,265 
Korn Ferry   42,171    2,979,381 
ManpowerGroup, Inc.   50,216    3,156,076 
Robert Half, Inc.   20,234    1,378,138 
TransUnion   31,293    3,169,981 
         21,862,369 

 

 

 

 

PACE Small/Medium Co Value Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Real estate management & development: 0.6%
Cushman & Wakefield PLC*   123,000   $1,666,650 
           
Residential REITs: 0.6%
Camden Property Trust   15,400    1,783,166 
           
Retail REITs: 0.6%
Federal Realty Investment Trust   15,025    1,665,371 
           
Semiconductors & semiconductor equipment: 2.4%
Diodes, Inc.*,1   18,550    1,084,804 
Ichor Holdings Ltd.*   38,671    1,054,171 
Kulicke & Soffa Industries, Inc.1   25,000    1,121,500 
MKS Instruments, Inc.   11,000    1,092,630 
Synaptics, Inc.*   16,477    1,131,476 
Teradyne, Inc.   14,791    1,570,952 
         7,055,533 
Software: 0.6%
Dolby Laboratories, Inc., Class A   22,436    1,635,584 
           
Specialized REITs: 1.2%
Gaming & Leisure Properties, Inc.   43,750    2,195,812 
Lamar Advertising Co., Class A   10,206    1,347,192 
         3,543,004 
Specialty retail: 2.0%
American Eagle Outfitters, Inc.1   55,625    1,089,694 
Sally Beauty Holdings, Inc.*,1   100,500    1,306,500 
Victoria's Secret & Co.*   112,367    3,400,225 
         5,796,419 
Textiles, apparel & luxury goods: 2.1%
Capri Holdings Ltd.*   164,781    3,252,777 
Carter's, Inc.   10,956    599,293 
PVH Corp.   14,815    1,458,685 
Steven Madden Ltd.   19,400    872,418 
         6,183,173 
Trading companies & distributors: 0.9%
WESCO International, Inc.   13,235    2,540,723 
Total common stocks
(cost—$255,700,849)
        285,649,883 
           
Short term investments: 1.3%
Investment companies: 1.3%          
State Street Institutional U.S. Government Money Market Fund, 4.824%2
(cost—$3,734,659)
  3,734,659    3,734,659 

 

 

 

 

PACE Small/Medium Co Value Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited) 

 

Investment of cash collateral from securities loaned: 4.1%
Money market funds: 4.1%
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%2
(cost $11,801,349)
   11,801,349   $11,801,349 
Total Investments
(cost—$271,236,857)3—104.2%
        301,185,891 
Liabilities in excess of other assets—(4.2)%        (12,254,494)
Net Assets—100.0%       $288,931,397 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

  

Other significant
observable inputs
(Level 2)

  

Unobservable
inputs
(Level 3)

  

Total

 
Assets                
Common stocks  $285,649,883   $   $   $285,649,883 
Short-term investments       3,734,659        3,734,659 
Investment of cash collateral from securities loaned       11,801,349        11,801,349 
Total  $285,649,883   $15,536,008   $   $301,185,891 

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

*Non–income producing security.
1Security, or portion thereof, was on loan at the period end.
2Rates shown reflect yield at October 31, 2024.
3Includes $13,241,792 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $11,801,349 and non-cash collateral of $2,042,524.

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks: 99.5%
Aerospace & defense: 0.9%
Axon Enterprise, Inc.*   3,290   $1,393,315 
Embraer SA, ADR*   3,968    133,007 
Loar Holdings, Inc.*,1   3,747    322,917 
Moog, Inc., Class A   3,046    574,476 
Standardaero, Inc.*   79    2,279 
         2,425,994 
Automobile components: 0.3%
Modine Manufacturing Co.*   6,850    806,725 
           
Banks: 0.2%
Live Oak Bancshares, Inc.   3,860    153,280 
Popular, Inc.   3,594    320,693 
         473,973 
Beverages: 0.2%
Boston Beer Co., Inc., Class A*   2,262    658,400 
           
Biotechnology: 7.4%
ACADIA Pharmaceuticals, Inc.*   21,676    316,253 
ADMA Biologics, Inc.*   105,877    1,726,854 
Aduro Biotech, Inc.*,2,3   9,389    0 
Akebia Therapeutics, Inc.*,1   36,441    60,492 
Aldeyra Therapeutics, Inc.*   14,572    76,649 
Alector, Inc.*   42,113    207,196 
AnaptysBio, Inc.*   2,606    56,368 
Applied Therapeutics, Inc.*   36,735    324,737 
Arcellx, Inc.*   5,474    461,294 
Arcturus Therapeutics Holdings, Inc.*,1   3,095    54,874 
Arcus Biosciences, Inc.*   1,000    15,300 
Arcutis Biotherapeutics, Inc.*   5,849    48,605 
ARS Pharmaceuticals, Inc.*,1   24,882    366,263 
Avid Bioservices, Inc.*,1   51,948    517,402 
BioCryst Pharmaceuticals, Inc.*   44,856    359,297 
Biomea Fusion, Inc.*,1   6,379    59,771 
Blueprint Medicines Corp.*   15,641    1,368,744 
CareDx, Inc.*   29,378    650,135 
Catalyst Pharmaceuticals, Inc.*   47,629    1,038,312 
Crinetics Pharmaceuticals, Inc.*   11,036    617,575 
CytomX Therapeutics, Inc.*   45,356    45,161 
Exelixis, Inc.*   67,984    2,257,069 
Foghorn Therapeutics, Inc.*   2,543    19,378 
Gossamer Bio, Inc.*   75,773    66,529 
Insmed, Inc.*   7,566    509,040 
Ionis Pharmaceuticals, Inc.*   7,280    279,479 
Ironwood Pharmaceuticals, Inc.*   39,500    156,025 
MacroGenics, Inc.*,1   7,754    28,380 
MannKind Corp.*,1   143,911    1,017,451 
Mersana Therapeutics, Inc.*,1   23,900    43,259 
Natera, Inc.*   4,505    544,925 
Neurocrine Biosciences, Inc.*   11,677    1,404,393 
PTC Therapeutics, Inc.*   21,807    870,535 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Biotechnology—(continued)
Rigel Pharmaceuticals, Inc.*   11,967   $163,110 
Sarepta Therapeutics, Inc.*   13,516    1,703,016 
Summit Therapeutics, Inc.*,1   9,976    185,454 
TScan Therapeutics, Inc.*   2,900    13,166 
Ultragenyx Pharmaceutical, Inc.*   17,997    917,667 
Vaxcyte, Inc.*   5,701    606,301 
Viking Therapeutics, Inc.*   5,315    385,550 
         19,542,009 
Broadline retail: 0.0%
Etsy, Inc.*   583    29,989 
Groupon, Inc.*,1   5,434    55,753 
         85,742 
Building products: 2.5%
Apogee Enterprises, Inc.   12,355    924,648 
AZEK Co., Inc.*   32,478    1,429,032 
CSW Industrials, Inc.   3,768    1,330,481 
Insteel Industries, Inc.   2,540    68,504 
Lennox International, Inc.   916    551,954 
Tecnoglass, Inc.1   7,647    524,049 
Trex Co., Inc.*   25,957    1,839,053 
         6,667,721 
Capital markets: 1.5%
Marex Group PLC   6,372    167,838 
Perella Weinberg Partners   24,099    487,523 
Piper Sandler Cos.   4,113    1,166,611 
StoneX Group, Inc.*   11,290    1,016,552 
TPG, Inc.   15,720    1,063,930 
         3,902,454 
Chemicals: 0.1%
Orion SA   24,857    372,606 
           
Commercial services & supplies: 2.6%
ACV Auctions, Inc., Class A*   99,210    1,715,341 
CECO Environmental Corp.*   21,998    523,552 
RB Global, Inc.   49,332    4,180,394 
VSE Corp.1   3,899    400,115 
         6,819,402 
Communications equipment: 0.4%
Calix, Inc.*   13,285    470,023 
Extreme Networks, Inc.*   24,360    363,695 
Lumentum Holdings, Inc.*   3,947    252,095 
         1,085,813 
Construction & engineering: 3.6%
Argan, Inc.   5,523    729,257 
Comfort Systems USA, Inc.   89    34,803 
Construction Partners, Inc., Class A*   5,088    400,578 
Dycom Industries, Inc.*   3,320    578,776 
Fluor Corp.*   31,496    1,646,611 
Limbach Holdings, Inc.*,1   13,094    994,751 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Construction & engineering—(continued)
MYR Group, Inc.*   8,543   $1,119,133 
Primoris Services Corp.   4,812    301,327 
Sterling Infrastructure, Inc.*   11,790    1,820,965 
WillScot Holdings Corp.*   53,755    1,781,441 
         9,407,642 
Construction materials: 0.4%
Eagle Materials, Inc.   2,858    815,845 
Knife River Corp.*   2,039    198,435 
         1,014,280 
Consumer finance: 1.3%
Ally Financial, Inc.   32,309    1,132,430 
LendingTree, Inc.*   16,151    921,091 
Moneylion, Inc.*   9,514    408,817 
NerdWallet, Inc., Class A*   18,995    279,037 
PROG Holdings, Inc.   13,690    597,842 
Regional Management Corp.   940    26,997 
         3,366,214 
Consumer staples distribution & retail: 0.1%
Guardian Pharmacy Services, Inc., Class A*   9,241    165,506 
Sprouts Farmers Market, Inc.*   1,229    157,841 
         323,347 
Containers & packaging: 0.1%
Ardagh Metal Packaging SA   101,080    371,974 
           
Diversified consumer services: 3.0%
Adtalem Global Education, Inc.*   3,661    296,248 
Carriage Services, Inc.   6,117    228,714 
Coursera, Inc.*   4,741    32,950 
Duolingo, Inc.*   5,211    1,526,667 
Grand Canyon Education, Inc.*   29,692    4,071,070 
Lincoln Educational Services Corp.*   29,956    397,816 
Stride, Inc.*,1   11,337    1,057,515 
Udemy, Inc.*,1   23,820    186,749 
         7,797,729 
Diversified telecommunication services: 0.2%
Bandwidth, Inc., Class A*   21,224    413,868 
           
Electric utilities: 0.7%
NRG Energy, Inc.   20,413    1,845,335 
           
Electrical equipment: 0.0%
Allient, Inc.   2,523    43,623 
           
Electronic equipment, instruments & components: 1.6%
Celestica, Inc.*   2,453    167,785 
Climb Global Solutions, Inc.   870    89,079 
Cognex Corp.   40,421    1,626,137 
Coherent Corp.*   5,180    478,839 
Fabrinet*   2,213    533,267 
Napco Security Technologies, Inc.   16,408    631,380 
PAR Technology Corp.*   1,808    106,654 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Electronic equipment, instruments & components—(continued)
Powerfleet, Inc. NJ*,1   143,976   $724,199 
         4,357,340 
Energy equipment & services: 0.5%
Helix Energy Solutions Group, Inc.*   13,337    123,367 
Kodiak Gas Services, Inc.   19,242    613,435 
Newpark Resources, Inc.*   24,104    160,533 
Weatherford International PLC   4,802    379,358 
         1,276,693 
Entertainment: 0.4%
Eventbrite, Inc., Class A*   84,979    271,933 
Madison Square Garden Entertainment Corp.*   13,813    576,140 
Roku, Inc.*   3,415    218,833 
         1,066,906 
Financial services: 1.6%
AvidXchange Holdings, Inc.*   128,811    1,061,403 
International Money Express, Inc.*   10,012    176,111 
NCR Atleos Corp.*,1   20,046    524,804 
Payoneer Global, Inc.*   142,400    1,227,488 
PennyMac Financial Services, Inc.   7,846    782,089 
Sezzle, Inc.*   2,348    504,022 
         4,275,917 
Food products: 3.1%
Calavo Growers, Inc.   11,367    302,135 
Freshpet, Inc.*   36,484    4,835,589 
Mama's Creations, Inc.*   134,830    1,004,484 
Pilgrim's Pride Corp.*   15,626    756,923 
Vital Farms, Inc.*   17,586    609,883 
WK Kellogg Co.   42,208    701,919 
         8,210,933 
Ground transportation: 2.2%
ArcBest Corp.   5,935    618,308 
Lyft, Inc., Class A*   94,937    1,231,333 
RXO, Inc.*   11,382    320,859 
Saia, Inc.*   3,501    1,710,624 
U-Haul Holding Co.*,1   4,717    345,898 
XPO, Inc.*   11,650    1,520,674 
         5,747,696 
Health care equipment & supplies: 4.1%
Accuray, Inc.*   28,056    48,537 
Artivion, Inc.*   10,894    286,839 
AtriCure, Inc.*,1   28,449    943,938 
Axogen, Inc.*   23,070    322,980 
Bioventus, Inc., Class A*   6,400    86,848 
Ceribell, Inc.*   40    1,052 
Embecta Corp.   5,883    82,833 
Glaukos Corp.*   16,323    2,158,717 
Inspire Medical Systems, Inc.*   12,150    2,369,736 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Health care equipment & supplies—(continued)
iRadimed Corp.   6,739   $332,031 
Masimo Corp.*   3,112    448,159 
Neogen Corp.*,1   44,651    637,616 
OrthoPediatrics Corp.*   21,377    567,132 
Penumbra, Inc.*   2,066    472,845 
Pulmonx Corp.*   10,400    65,000 
RxSight, Inc.*   9,946    503,864 
Semler Scientific, Inc.*   4,069    119,547 
Sight Sciences, Inc.*   4,954    24,770 
Tandem Diabetes Care, Inc.*   17,492    548,724 
UFP Technologies, Inc.*   3,343    892,581 
         10,913,749 
Health care providers & services: 6.9%
Astrana Health, Inc.*   8,360    449,601 
Aveanna Healthcare Holdings, Inc.*   14,133    65,718 
Castle Biosciences, Inc.*   18,307    634,704 
Chemed Corp.   4,069    2,198,236 
DaVita, Inc.*   7,560    1,056,964 
Ensign Group, Inc.   25,977    4,026,175 
GeneDx Holdings Corp.*   18,919    1,545,493 
Option Care Health, Inc.*   50,104    1,154,396 
Pennant Group, Inc.*   53,112    1,697,991 
Privia Health Group, Inc.*   134,494    2,469,310 
RadNet, Inc.*   26,672    1,734,747 
U.S. Physical Therapy, Inc.   15,634    1,253,534 
         18,286,869 
Health care technology: 1.5%
Certara, Inc.*   62,537    637,877 
Doximity, Inc., Class A*   61,878    2,582,788 
GoodRx Holdings, Inc., Class A*,1   8,354    51,126 
Phreesia, Inc.*   36,271    663,397 
         3,935,188 
Hotel & resort REITs: 0.1%
Ryman Hospitality Properties, Inc.   1,704    182,413 
           
Hotels, restaurants & leisure: 2.4%
Brinker International, Inc.*   11,752    1,207,048 
Cava Group, Inc.*   1,550    207,018 
Despegar.com Corp.*   11,968    172,818 
Genius Sports Ltd.*,1   55,204    378,147 
Kura Sushi USA, Inc., Class A*   2,909    290,376 
Lindblad Expeditions Holdings, Inc.*   14,921    141,004 
Rush Street Interactive, Inc.*   103,732    1,122,380 
Sweetgreen, Inc., Class A*,1   18,015    650,342 
Wingstop, Inc.   4,944    1,422,339 
Wynn Resorts Ltd.   6,586    632,388 
         6,223,860 
Household durables: 1.8%
Cavco Industries, Inc.*   3,700    1,516,242 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Household durables—(continued)
Champion Homes, Inc.*   16,037   $1,414,945 
Green Brick Partners, Inc.*   5,776    398,602 
SharkNinja, Inc.   6,588    607,479 
Sonos, Inc.*   71,780    899,403 
         4,836,671 
Insurance: 4.0%
Bowhead Specialty Holdings, Inc.*   5,433    158,155 
Everest Group Ltd.   1,535    545,861 
Goosehead Insurance, Inc., Class A*,1   15,876    1,728,896 
Kinsale Capital Group, Inc.   10,088    4,318,774 
Oscar Health, Inc., Class A*   32,783    550,754 
Palomar Holdings, Inc.*   3,112    279,364 
RLI Corp.   3,612    563,364 
Ryan Specialty Holdings, Inc.   15,709    1,034,752 
Skyward Specialty Insurance Group, Inc.*   27,311    1,207,419 
Universal Insurance Holdings, Inc.   9,600    191,424 
         10,578,763 
Interactive media & services: 0.4%
EverQuote, Inc., Class A*   10,714    192,638 
TripAdvisor, Inc.*   8,950    143,558 
Yelp, Inc.*   12,273    419,000 
ZipRecruiter, Inc., Class A*   41,549    385,159 
         1,140,355 
IT services: 3.0%
BigCommerce Holdings, Inc.*,1   20,641    108,159 
Core Scientific, Inc.*   11,509    152,955 
Couchbase, Inc.*   15,575    250,290 
DigitalOcean Holdings, Inc.*,1   26,149    1,034,977 
EPAM Systems, Inc.*   609    114,888 
Globant SA*   21,055    4,419,234 
Grid Dynamics Holdings, Inc.*   78,541    1,250,373 
Twilio, Inc., Class A*   1,416    114,200 
Wix.com Ltd.*   2,816    470,610 
         7,915,686 
Life sciences tools & services: 3.0%
BioLife Solutions, Inc.*   33,552    785,117 
Codexis, Inc.*   66,004    207,253 
Fortrea Holdings, Inc.*,1   14,470    243,385 
Medpace Holdings, Inc.*   11,211    3,522,720 
Repligen Corp.*   16,728    2,246,068 
Stevanato Group SpA1   55,556    1,056,120 
         8,060,663 
Machinery: 3.3%
Atmus Filtration Technologies, Inc.   19,882    774,205 
Blue Bird Corp.*   3,244    136,605 
Helios Technologies, Inc.   6,252    288,405 
Hillman Solutions Corp.*   166,541    1,765,335 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Machinery—(continued)
Hyster-Yale, Inc.   5,487   $348,260 
Kadant, Inc.1   9,374    3,122,104 
Kornit Digital Ltd.*   61,713    1,412,611 
Mayville Engineering Co., Inc.*   3,660    74,920 
REV Group, Inc.   16,819    445,703 
Shyft Group, Inc.   21,417    276,708 
         8,644,856 
Media: 0.4%
Cardlytics, Inc.*,1   8,473    36,518 
Integral Ad Science Holding Corp.*   38,004    449,967 
Magnite, Inc.*   10,966    136,856 
PubMatic, Inc., Class A*   30,296    445,503 
         1,068,844 
Metals & mining: 0.2%
Carpenter Technology Corp.   1,901    284,199 
Century Aluminum Co.*   16,346    288,507 
         572,706 
Mortgage real estate investment: 0.0%
Angel Oak Mortgage REIT, Inc.   1,500    13,530 
           
Oil, gas & consumable fuels: 0.6%
CVR Energy, Inc.1   21,623    343,806 
Magnolia Oil & Gas Corp., Class A   36,580    924,743 
World Kinect Corp.   13,676    357,627 
         1,626,176 
Paper & forest products: 0.9%
Louisiana-Pacific Corp.   10,724    1,060,604 
Sylvamo Corp.   15,014    1,276,490 
         2,337,094 
Personal care products: 0.2%
Beauty Health Co.*,1   89,142    143,964 
Herbalife Ltd.*,1   15,776    119,109 
Honest Co., Inc.*   36,432    135,527 
         398,600 
Pharmaceuticals: 1.5%
Biote Corp., Class A*   5,500    28,050 
Corcept Therapeutics, Inc.*   46,982    2,300,709 
Harrow, Inc.*   8,490    382,559 
Intra-Cellular Therapies, Inc.*   3,016    255,606 
Ligand Pharmaceuticals, Inc.*   6,557    693,075 
Marinus Pharmaceuticals, Inc.*   2,350    712 
Phibro Animal Health Corp., Class A   10,100    233,512 
         3,894,223 
Professional services: 4.8%
Barrett Business Services, Inc.   8,708    315,142 
CRA International, Inc.   2,291    417,283 
Exponent, Inc.   18,436    1,739,990 
Insperity, Inc.   12,053    949,415 
KBR, Inc.   20,773    1,391,999 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Professional services—(continued)
Kforce, Inc.   7,491   $432,905 
Legalzoom.com, Inc.*   51,308    368,391 
Parsons Corp.*,1   1,285    138,986 
Paycom Software, Inc.   928    193,980 
Paycor HCM, Inc.*   119,445    1,802,425 
Paylocity Holding Corp.*   17,918    3,307,125 
TriNet Group, Inc.   13,032    1,106,286 
Willdan Group, Inc.*   11,989    567,200 
         12,731,127 
Real estate management & development: 0.9%
Compass, Inc., Class A*   137,274    871,690 
Cushman & Wakefield PLC*   47,815    647,893 
eXp World Holdings, Inc.1   16,541    220,326 
Real Brokerage, Inc.*   57,397    313,388 
Redfin Corp.*,1   38,156    395,678 
         2,448,975 
Semiconductors & semiconductor equipment: 2.1%
ACM Research, Inc., Class A*   45,354    852,428 
Ambarella, Inc.*   9,875    554,876 
Credo Technology Group Holding Ltd.*   12,788    482,108 
MaxLinear, Inc.*   11,466    148,714 
Onto Innovation, Inc.*   781    154,896 
Power Integrations, Inc.   27,022    1,632,939 
Semtech Corp.*   14,013    619,235 
Silicon Laboratories, Inc.*   8,112    842,512 
SiTime Corp.*   1,597    269,909 
         5,557,617 
Software: 18.0%
A10 Networks, Inc.   37,133    543,998 
Alarm.com Holdings, Inc.*   34,920    1,862,284 
Alkami Technology, Inc.*   69,640    2,549,520 
Amplitude, Inc., Class A*,1   17,443    156,813 
Appfolio, Inc., Class A*   1,013    210,572 
Arteris, Inc.*   8,290    56,455 
AvePoint, Inc.*   75,900    921,426 
BlackLine, Inc.*   38,716    2,143,705 
Blend Labs, Inc., Class A*   152,364    553,081 
Box, Inc., Class A*   52,074    1,653,870 
CCC Intelligent Solutions Holdings, Inc.*   203,552    2,118,976 
Cellebrite DI Ltd.*   23,952    434,729 
Confluent, Inc., Class A*   51,823    1,356,208 
CyberArk Software Ltd.*   2,401    663,925 
Descartes Systems Group, Inc.*   37,231    3,869,418 
Domo, Inc., Class B*   29,478    234,350 
DoubleVerify Holdings, Inc.*   81,598    1,391,246 
Dropbox, Inc., Class A*   52,854    1,366,276 
Elastic NV*   1,327    106,465 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Software—(continued)
Gitlab, Inc., Class A*   17,972   $965,995 
Guidewire Software, Inc.*   17,644    3,286,371 
Jamf Holding Corp.*   79,185    1,317,638 
Kaltura, Inc.*   5,354    6,800 
Manhattan Associates, Inc.*   8,819    2,322,572 
Meridianlink, Inc.*   15,958    350,438 
Nutanix, Inc., Class A*   31,104    1,931,558 
Ooma, Inc.*   32,664    390,661 
Pegasystems, Inc.   5,799    460,673 
Procore Technologies, Inc.*   24,750    1,624,838 
PROS Holdings, Inc.*   45,331    897,554 
Red Violet, Inc.*   6,603    198,618 
SEMrush Holdings, Inc., Class A*   16,009    209,878 
SentinelOne, Inc., Class A*   40,307    1,039,518 
SimilarWeb Ltd.*   40,549    353,182 
SPS Commerce, Inc.*   23,837    3,933,105 
Teradata Corp.*   21,491    692,655 
Varonis Systems, Inc.*   9,474    477,205 
Weave Communications, Inc.*   21,114    296,018 
Workiva, Inc.*   38,838    3,097,719 
Yext, Inc.*   54,505    394,616 
Zeta Global Holdings Corp., Class A*   41,769    1,156,166 
         47,597,095 
Specialty retail: 2.4%
Boot Barn Holdings, Inc.*   2,618    326,072 
Dick's Sporting Goods, Inc.   2,469    483,307 
Five Below, Inc.*   29,065    2,755,071 

Floor & Decor Holdings, Inc., Class A*,1

   19,961    2,056,981 
ThredUp, Inc., Class A*   7,200    4,439 
Upbound Group, Inc.   7,862    229,885 
Warby Parker, Inc., Class A*   21,529    364,486 
         6,220,241 
Technology hardware, storage & peripherals: 0.3%
CompoSecure, Inc., Class A   31,145    470,601 

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)
Technology hardware, storage & peripherals—(continued)
CPI Card Group, Inc.*   200   $4,300 
Pure Storage, Inc., Class A*   7,367    368,718 
         843,619 
Textiles, apparel & luxury goods: 0.2%
Superior Group of Cos., Inc.   6,712    99,002 
Wolverine World Wide, Inc.   22,216    341,904 
         440,906 
Trading companies & distributors: 1.6%
FTAI Aviation Ltd.   11,487    1,544,312 
Herc Holdings, Inc.   6,935    1,450,386 
Karat Packaging, Inc.   3,408    90,994 
Transcat, Inc.*   13,270    1,268,214 
         4,353,906 
Total common stocks
(cost—$235,306,302)
        263,184,068 
           
Short term investments: 0.6%
Investment companies: 0.6%          
State Street Institutional U.S. Government Money Market Fund, 4.824%4
(cost—$1,471,618)
  1,471,618    1,471,618 
           
Investment of cash collateral from securities loaned: 3.0%
Money market funds: 3.0%
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%4
(cost $8,048,037)
   8,048,037    8,048,037 
Total Investments
(cost—$244,825,957)5—103.1%
        272,703,723 
Liabilities in excess of other assets—(3.1)%        (8,304,406)
Net Assets—100.0%       $264,399,317 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE Small/Medium Co Growth Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

 

Other significant
observable inputs
(Level 2)

 

Unobservable
inputs
(Level 3)

 

Total

 
Assets             
Common stocks  $263,184,068  $  $0  $263,184,068 
Short-term investments      1,471,618      1,471,618 
Investment of cash collateral from securities loaned      8,048,037      8,048,037 
Total  $263,184,068  $9,519,655  $0  $272,703,723 

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
*Non–income producing security.
1Security, or portion thereof, was on loan at the period end.
2Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
3Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
4Rates shown reflect yield at October 31, 2024.
5Includes $15,070,817 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $8,048,037 and non-cash collateral of $7,541,128.

 

 

 

 

PACE International Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—111.7%          
Australia—4.0%          
Aurizon Holdings Ltd.   1,391,333   $3,094,850 
BHP Group Ltd.   90,157    2,529,930 
CAR Group Ltd.   62,697    1,558,837 
Cochlear Ltd.   1,863    347,239 
Computershare Ltd.   230,754    4,006,046 
Glencore PLC*   147,674    773,670 
Goodman Group   47,297    1,140,462 
GPT Group   140,706    438,917 
Northern Star Resources Ltd.   295,305    3,445,652 
Qantas Airways Ltd.*   136,301    724,773 
REA Group Ltd.1   4,233    632,139 
Rio Tinto PLC   47,705    3,085,505 
Transurban Group   30,558    255,601 
Wesfarmers Ltd.   32,438    1,436,256 
WiseTech Global Ltd.   34,839    2,711,870 
Woolworths Group Ltd.   96,434    1,901,358 
         28,083,105 
Austria—0.8%          
ANDRITZ AG   57,385    3,454,976 
Erste Group Bank AG   28,197    1,586,932 
voestalpine AG   31,806    659,073 
         5,700,981 
Belgium—0.1%          
Warehouses De Pauw CVA 1   21,011    498,690 
           
Brazil—0.1%          
Yara International ASA   11,780    354,250 
           
Canada—1.7%          
Constellation Software, Inc.   2,387    7,198,699 
Fairfax Financial Holdings Ltd.   3,936    4,891,201 
         12,089,900 
China—3.2%          
Alibaba Group Holding Ltd., ADR   23,614    2,313,700 
BeiGene Ltd., ADR*   21,512    4,359,192 
BOC Hong Kong Holdings Ltd.   592,000    1,934,217 
KE Holdings, Inc., ADR   203,638    4,465,781 
Prosus NV   146,461    6,172,580 
SITC International Holdings Co. Ltd.   501,000    1,417,785 
Wuxi Biologics Cayman, Inc.*,2   753,793    1,584,360 
         22,247,615 
Denmark—4.9%          
AP Moller - Maersk AS, Class B   452    711,837 
Carlsberg AS, Class B   11,827    1,302,087 
Coloplast AS, Class B   38,867    4,846,934 
Danske Bank AS   9,456    278,809 
Demant AS*   6,685    245,262 
Genmab AS*   33,145    7,416,573 
Novo Nordisk AS, ADR   49,915    5,587,984 
Novo Nordisk AS, Class B   95,471    10,623,589 

 

 

 

 

PACE International Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Denmark—(continued)          
Rockwool AS, Class B   2,241   $965,319 
Tryg AS   35,115    826,958 
Vestas Wind Systems AS*   72,710    1,368,796 
         34,174,148 
Finland—1.4%          
Nordea Bank Abp   452,946    5,303,829 
Orion OYJ, Class B   25,365    1,231,928 
Wartsila OYJ Abp1   179,469    3,418,256 
         9,954,013 
France—7.0%          
Aeroports de Paris SA   3,534    418,239 
Air Liquide SA   5,072    908,440 
AXA SA   18,299    687,111 
Bouygues SA   179,547    5,747,745 
Bureau Veritas SA1   33,122    1,046,266 
Capgemini SE   2,813    487,127 
Cie de Saint-Gobain SA   3,571    322,324 
Covivio SA1   21,477    1,221,812 
Credit Agricole SA   156,052    2,390,866 
Dassault Systemes SE   67,576    2,312,492 
Eiffage SA   11,537    1,072,469 
Hermes International SCA   1,018    2,296,601 
Kering SA1   14,247    3,546,528 
Klepierre SA   23,054    736,260 
Legrand SA   790    89,026 
L'Oreal SA   9,607    3,597,417 
LVMH Moet Hennessy Louis Vuitton SE   997    661,320 
Pernod Ricard SA1   18,382    2,284,431 
Publicis Groupe SA   8,586    912,648 
Safran SA   22,747    5,141,605 
SEB SA   4,131    433,173 
Teleperformance SE1   11,156    1,175,875 
Thales SA   18,879    3,042,354 
TotalEnergies SE   12,497    780,273 
Vinci SA   64,128    7,163,861 
         48,476,263 
Germany—7.4%          
Allianz SE, Registered Shares   25,650    8,074,487 
BASF SE   16,774    814,589 
Carl Zeiss Meditec AG   2,063    129,256 
Commerzbank AG   28,253    501,857 
Continental AG   85,627    5,333,240 
CTS Eventim AG & Co. KGaA   2,347    246,232 
Deutsche Post AG   151,579    6,089,020 
E.ON SE   15,421    208,252 
Evonik Industries AG   383,105    8,430,294 
Fresenius Medical Care AG   29,982    1,171,130 

 

 

 

 

PACE International Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Germany—(continued)          
Fresenius SE & Co. KGaA*   10,814   $394,293 
GEA Group AG   14,454    711,907 
Hannover Rueck SE   5,590    1,468,446 
Heidelberg Materials AG   30,160    3,320,021 
Knorr-Bremse AG   4,279    351,879 
LEG Immobilien SE   23,397    2,209,576 
Nemetschek SE   15,809    1,710,166 
Puma SE   12,890    585,801 
Rational AG   1,647    1,612,372 
Rheinmetall AG   311    160,079 
SAP SE   14,920    3,486,038 
Talanx AG   23,175    1,788,550 
Vonovia SE   92,810    3,044,775 
         51,842,260 
Hong Kong—2.8%          
AIA Group Ltd.   779,400    6,160,730 
Hong Kong & China Gas Co. Ltd.   2,057,000    1,595,517 
Hong Kong Exchanges & Clearing Ltd.   96,331    3,851,208 
Jardine Matheson Holdings Ltd.   92,900    3,576,650 
WH Group Ltd.2   5,208,689    4,060,233 
         19,244,338 
India—1.4%          
HDFC Bank Ltd., ADR   78,082    4,921,508 
Tata Consultancy Services Ltd.   102,673    4,845,652 
         9,767,160 
Indonesia—0.6%          
Bank Rakyat Indonesia Persero Tbk. PT   12,818,445    3,920,264 
           
Ireland—0.1%          
Kingspan Group PLC   10,477    919,116 
           
Israel—1.5%          
Bank Hapoalim BM   342,483    3,581,198 
Bank Leumi Le-Israel BM   386,918    3,945,363 
Israel Discount Bank Ltd., Class A   481,425    2,839,228 
         10,365,789 
Italy—5.8%          
Amplifon SpA1   5,141    143,718 
Banco BPM SpA   161,519    1,088,589 
Coca-Cola HBC AG1   90,945    3,177,993 
Enel SpA   1,044,266    7,917,224 
Eni SpA   139,200    2,121,624 
FinecoBank Banca Fineco SpA1   209,813    3,351,470 
Intesa Sanpaolo SpA   1,384,784    5,930,298 
Moncler SpA1   39,114    2,167,306 
Prysmian SpA   841    59,297 
Recordati Industria Chimica e Farmaceutica SpA1   25,228    1,429,715 

 

 

 

 

PACE International Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Italy—(continued)          
Ryanair Holdings PLC1   52,547   $2,325,730 
Snam SpA1   1,423,501    6,840,889 
UniCredit SpA   79,738    3,528,380 
         40,082,233 
Japan—25.6%          
Asics Corp.   66,800    1,193,203 
Astellas Pharma, Inc.1   113,800    1,344,793 
Brother Industries Ltd.   64,900    1,286,125 
Canon, Inc.   87,100    2,868,556 
Capcom Co. Ltd.   17,000    342,596 
Daifuku Co. Ltd.   28,000    540,134 
Dai-ichi Life Holdings, Inc.   47,600    1,210,520 
Daiichi Sankyo Co. Ltd.   44,900    1,471,942 
Daito Trust Construction Co. Ltd.   15,600    1,733,105 
Dentsu Group, Inc.1   21,300    663,645 
Disco Corp.   2,300    673,167 
FANUC Corp.1   177,656    4,813,806 
Fast Retailing Co. Ltd.   13,100    4,269,527 
Fuji Electric Co. Ltd.   17,400    910,425 
FUJIFILM Holdings Corp.   294,900    7,140,563 
Fujitsu Ltd.   388,400    7,574,235 
Hitachi Ltd.   265,300    6,851,634 
Honda Motor Co. Ltd.   371,500    3,808,156 
Hoya Corp.   11,900    1,623,190 
Ibiden Co. Ltd.   44,700    1,461,855 
Inpex Corp.   88,800    1,176,772 
Isuzu Motors Ltd.1   162,200    2,131,317 
ITOCHU Corp.   11,800    594,349 
Japan Post Bank Co. Ltd.1   10,000    90,299 
Japan Tobacco, Inc.   47,000    1,324,253 
Kao Corp.   140,600    6,273,977 
Kawasaki Kisen Kaisha Ltd.   145,400    2,034,011 
KDDI Corp.   211,700    6,657,250 
Keyence Corp.   14,836    6,813,585 
Komatsu Ltd.   8,700    229,668 
Konami Group Corp.   18,500    1,715,579 
Kyocera Corp.   232,400    2,405,984 
Kyowa Kirin Co. Ltd.1   38,100    632,660 
Lasertec Corp.1   9,600    1,483,217 
Makita Corp.   62,900    2,091,837 
Marubeni Corp.   82,100    1,255,221 
Mazda Motor Corp.   41,100    299,580 
Minebea Mitsumi, Inc.1   192,700    3,490,262 
Mitsubishi Electric Corp.1   177,500    2,789,136 
Mitsubishi Heavy Industries Ltd.   48,200    695,686 
Mitsubishi UFJ Financial Group, Inc.   215,100    2,305,452 
MonotaRO Co. Ltd.1   22,800    347,762 
MS&AD Insurance Group Holdings, Inc.   64,000    1,448,572 

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Japan—(continued)          
Murata Manufacturing Co. Ltd.   114,100   $2,032,833 
NEC Corp.   11,500    1,001,728 
Nexon Co. Ltd.1   97,600    1,721,200 
NIDEC Corp.1   43,800    886,724 
Nintendo Co. Ltd.   21,500    1,152,544 
Nippon Telegraph & Telephone Corp.   3,752,200    3,647,492 
Nippon Yusen KK   55,000    1,859,879 
Nitto Denko Corp.   135,000    2,273,249 
Nomura Real Estate Holdings, Inc.   16,900    423,334 
Obayashi Corp.1   22,100    274,977 
Ono Pharmaceutical Co. Ltd.1   99,800    1,256,203 
ORIX Corp.   10,000    215,217 
Osaka Gas Co. Ltd.   54,900    1,185,875 
Otsuka Corp.   66,500    1,503,844 
Pan Pacific International Holdings Corp.   69,200    1,743,436 
Panasonic Holdings Corp.   371,800    3,029,409 
Recruit Holdings Co. Ltd.   82,957    5,204,877 
SCSK Corp.   56,400    1,064,228 
Secom Co. Ltd.1   149,600    5,376,896 
Sekisui House Ltd.   24,600    601,643 
Shimadzu Corp.1   13,700    410,441 
Shimano, Inc.   3,700    554,367 
Shin-Etsu Chemical Co. Ltd.   15,200    575,727 
Shionogi & Co. Ltd.   106,200    1,530,024 
SoftBank Corp.   12,000    15,227 
Sompo Holdings, Inc.   15,600    341,282 
Sony Group Corp.   407,500    7,304,372 
Sumitomo Corp.   61,500    1,313,463 
Sumitomo Metal Mining Co. Ltd.1   100,400    2,835,438 
Sumitomo Mitsui Financial Group, Inc.   160,500    3,457,394 
Sumitomo Mitsui Trust Group, Inc.   10,000    222,325 
Suzuki Motor Corp.   452,303    4,591,795 
TDK Corp.   29,000    351,668 
Tokio Marine Holdings, Inc.   92,700    3,397,088 
Tokyo Electron Ltd.   16,600    2,556,535 
Toray Industries, Inc.   212,400    1,168,941 
Toyota Industries Corp.1   54,800    3,889,812 
Trend Micro, Inc.   33,700    1,790,132 
Unicharm Corp.1   70,200    2,269,002 
Yokogawa Electric Corp.   86,300    1,951,605 
ZOZO, Inc.1   32,600    1,066,570 
         178,116,402 
Jordan—0.1%          
Hikma Pharmaceuticals PLC   39,870    953,663 
           
Luxembourg—0.1%          
Eurofins Scientific SE 1   9,202    452,228 

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Macau—0.2%          
Galaxy Entertainment Group Ltd.   203,000   $902,182 
Sands China Ltd.*   301,600    768,926 
         1,671,108 
Netherlands—4.0%          
Adyen NV*,1,2   4,537    6,940,754 
ASM International NV   4,636    2,582,927 
ASML Holding NV   4,761    3,217,056 
ASML Holding NV, Registered Shares   6,351    4,271,365 
BE Semiconductor Industries NV1   6,447    686,826 
Koninklijke Ahold Delhaize NV1   109,630    3,614,468 
Koninklijke Philips NV*   245,079    6,430,022 
NN Group NV   6,789    333,716 
         28,077,134 
New Zealand—0.2%          
Xero Ltd.*   16,103    1,584,309 
           
Norway—1.6%          
Aker BP ASA   26,713    569,705 
DNB Bank ASA   238,282    4,921,517 
Equinor ASA   3,473    83,366 
Gjensidige Forsikring ASA   12,293    221,829 
Kongsberg Gruppen ASA   12,624    1,314,020 
Norsk Hydro ASA   262,473    1,615,372 
Telenor ASA   213,419    2,621,126 
         11,346,935 
Poland—0.1%          
InPost SA*   42,653    831,877 
           
Singapore—5.6%          
DBS Group Holdings Ltd.   367,871    10,770,082 
Grab Holdings Ltd., Class A*   19,753    80,592 
Oversea-Chinese Banking Corp. Ltd.   231,000    2,657,243 
Sea Ltd., ADR*   66,216    6,227,615 
Singapore Exchange Ltd.   314,700    2,704,919 
Singapore Technologies Engineering Ltd.   546,700    1,879,605 
Singapore Telecommunications Ltd.   1,998,700    4,737,547 
United Overseas Bank Ltd.   409,898    9,982,824 
         39,040,427 
South Africa—0.2%          
Anglo American PLC   37,168    1,150,231 
           
Spain—2.9%          
ACS Actividades de Construccion y Servicios SA   28,607    1,369,159 
Amadeus IT Group SA   23,288    1,687,079 
Banco Bilbao Vizcaya Argentaria SA   109,471    1,089,555 
Banco Santander SA1   1,605,393    7,844,227 
CaixaBank SA1   92,132    560,211 
Endesa SA   92,760    1,998,318 

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Spain—(continued)          
Industria de Diseno Textil SA1   103,200   $5,870,978 
         20,419,527 
Sweden—2.5%          
AddTech AB, Class B   6,448    178,772 
Alfa Laval AB   40,723    1,796,016 
Assa Abloy AB, Class B   156,024    4,874,949 
Atlas Copco AB, Class A   190,588    3,137,546 
Epiroc AB, Class A1   2,118    41,229 
Sagax AB, Class B1   60,070    1,436,554 
Skandinaviska Enskilda Banken AB, Class A   173,408    2,448,647 
Volvo AB, Class B   134,721    3,498,721 
         17,412,434 
Switzerland—5.1%          
ABB Ltd., Registered Shares   93,017    5,159,532 
Lonza Group AG, Registered Shares   950    585,919 
Novartis AG, Registered Shares   111,062    12,063,709 
Partners Group Holding AG   305    421,359 
Sandoz Group AG   63,932    2,913,235 
Schindler Holding AG   1,173    341,488 
SGS SA, Registered Shares   16,939    1,794,822 
Sika AG, Registered Shares   7,132    1,986,273 
Swiss Prime Site AG, Registered Shares1   26,840    2,910,736 
Temenos AG, Registered Shares1   44,565    3,083,503 
Zurich Insurance Group AG   6,975    4,125,795 
         35,386,371 
Taiwan—1.0%          
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   35,136    6,694,814 
           
United Kingdom—11.5%          
Associated British Foods PLC   133,643    3,827,362 
AstraZeneca PLC   40,994    5,836,773 
BAE Systems PLC   233,013    3,755,735 
British American Tobacco PLC   86,182    2,994,885 
CK Hutchison Holdings Ltd.   935,500    4,921,721 
Compass Group PLC   91,115    2,954,831 
DCC PLC   20,063    1,268,677 
Halma PLC   4,220    134,677 
HSBC Holdings PLC   440,429    4,041,826 
Imperial Brands PLC   262,035    7,896,284 
Informa PLC   3,531    36,816 
InterContinental Hotels Group PLC   12,869    1,420,773 
JD Sports Fashion PLC   341,384    545,845 
Kingfisher PLC1   931,787    3,514,368 
Land Securities Group PLC   202,318    1,569,188 
Lloyds Banking Group PLC   11,801,361    8,126,024 
Next PLC   4,201    530,323 
Persimmon PLC   80,449    1,521,793 

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United Kingdom—(continued)          
RELX PLC   46,979   $2,156,545 
Rolls-Royce Holdings PLC*   164,376    1,134,806 
Smiths Group PLC   29,146    574,634 
SSE PLC1   325,237    7,385,230 
Tesco PLC   204,581    902,714 
Unilever PLC   4,896    298,612 
United Utilities Group PLC   148,767    1,961,438 
Vodafone Group PLC   5,139,249    4,772,627 
Whitbread PLC   7,218    280,428 
WPP PLC1   581,830    6,105,462 
         80,470,397 
United States—8.2%          
Atlassian Corp., Class A*   27,948    5,269,316 
BP PLC   801,713    3,893,693 
Brookfield Renewable Corp., Class A1   147,121    4,498,960 
Experian PLC   30,440    1,482,506 
GSK PLC   409,111    7,345,834 
James Hardie Industries PLC, CDI*   29,491    948,276 
Nestle SA, Registered Shares   42,031    3,970,690 
Roche Holding AG   20,126    6,243,710 
Sanofi SA   61,902    6,538,794 
Shell PLC   270,932    9,008,079 
Swiss Re AG   5,232    670,396 
Waste Connections, Inc.   40,058    7,080,251 
         56,950,505 
Total common stocks
(cost—$661,266,316)
        778,278,487 
           
Warrant: 0.0%          
Canada: 0.0%          
Constellation Software, Inc. expires 03/31/40*,1,3,4
(cost—$0)
   2,948    0 
           
Short-term investments: 0.8%          
Investment companies: 0.8%          
State Street Institutional U.S. Government Money Market Fund, 4.824%5                
(cost $5,870,406)   5,870,406    5,870,406 

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investment of cash collateral from securities loaned—10.6%          
Money market funds—10.6%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%5
(cost $73,835,255)
   73,835,255   $73,835,255 
Total investments before investments sold short
(Cost—$740,971,977)—123.1
        857,984,148 
           
Investments sold short: (13.3)%          
Common stocks—(13.1)%          
Australia—(1.3)%          
ANZ Group Holdings Ltd.   (27,811)   (570,120)
APA Group   (366,358)   (1,680,468)
BlueScope Steel Ltd.   (164,526)   (2,199,056)
Mineral Resources Ltd.   (3,510)   (91,011)
Mirvac Group   (190,260)   (267,950)
SEEK Ltd.   (12,476)   (204,769)
Suncorp Group Ltd.   (41,666)   (491,374)
Treasury Wine Estates Ltd.   (73,011)   (544,390)
Washington H Soul Pattinson & Co. Ltd.   (85,845)   (1,890,874)
Woodside Energy Group Ltd.   (91,754)   (1,435,915)
         (9,375,927)
Belgium—(0.5)%          
D'ieteren Group   (3,757)   (811,205)
Sofina SA   (2,382)   (581,943)
Syensqo SA   (11,212)   (866,271)
UCB SA   (4,843)   (931,378)
         (3,190,797)
China—(0.1)%          
Wharf Holdings Ltd.   (27,000)   (76,408)
Wilmar International Ltd.   (346,900)   (840,651)
         (917,059)
Denmark—(1.0)%          
Coloplast AS, Class B   (3,327)   (414,896)
DSV AS   (16,147)   (3,509,475)
Zealand Pharma AS   (23,889)   (2,753,710)
         (6,678,081)
France—(0.3)%          
Kering SA   (2,040)   (507,820)
Sartorius Stedim Biotech   (6,520)   (1,299,987)
Sodexo SA   (457)   (39,669)
         (1,847,476)

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Germany—(0.0)%          
Merck KGaA   (635)  $(104,990)
           
Hong Kong—(0.8)%          
CK Asset Holdings Ltd.   (225,000)   (921,811)
Henderson Land Development Co. Ltd.   (24,000)   (77,334)
HKT Trust & HKT Ltd.   (333,000)   (413,782)
Hongkong Land Holdings Ltd.   (409,400)   (1,764,514)
Prudential PLC   (32,516)   (270,266)
Sino Land Co. Ltd.   (1,492,055)   (1,493,187)
Swire Pacific Ltd., Class A   (85,500)   (718,723)
         (5,659,617)
Ireland—(0.1)%          
Kerry Group PLC, Class A   (9,511)   (946,621)
           
Italy—(0.7)%          
Eni SpA   (244,885)   (3,732,427)
Telecom Italia SpA   (3,625,221)   (917,614)
         (4,650,041)
Japan—(3.7)%          
Aeon Co. Ltd.   (47,700)   (1,174,135)
AGC, Inc.   (2,300)   (71,177)
Bandai Namco Holdings, Inc.   (5,700)   (120,873)
Central Japan Railway Co.   (3,200)   (67,142)
Daikin Industries Ltd.   (1,000)   (122,746)
East Japan Railway Co.   (10,000)   (202,053)
FUJIFILM Holdings Corp.   (94,300)   (2,283,334)
Hamamatsu Photonics KK   (55,800)   (748,272)
Hankyu Hanshin Holdings, Inc.   (5,300)   (145,040)
Hikari Tsushin, Inc.   (6,600)   (1,350,928)
Hitachi Construction Machinery Co. Ltd.   (39,100)   (863,370)
Idemitsu Kosan Co. Ltd.   (158,200)   (1,090,137)
Japan Exchange Group, Inc.   (59,400)   (709,563)
JFE Holdings, Inc.   (6,200)   (75,490)
Keisei Electric Railway Co. Ltd.   (53,700)   (1,410,889)
MatsukiyoCocokara & Co.   (16,400)   (225,589)
McDonald's Holdings Co. Japan Ltd.   (14,700)   (624,997)
MEIJI Holdings Co. Ltd.   (30,300)   (707,944)
Mitsui Chemicals, Inc.   (1,300)   (30,126)
Nippon Prologis REIT, Inc.   (392)   (632,092)
Nissan Motor Co. Ltd.   (372,600)   (1,008,379)
Nissin Foods Holdings Co. Ltd.   (1,200)   (32,539)
NTT Data Group Corp.   (46,100)   (741,532)
Olympus Corp.   (30,600)   (545,882)
Omron Corp.   (12,400)   (497,828)
Renesas Electronics Corp.   (34,500)   (479,104)
Resona Holdings, Inc.   (61,300)   (411,518)
Ricoh Co. Ltd.   (32,900)   (362,151)
Rohm Co. Ltd.   (61,400)   (693,649)

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Japan—(continued)          
SoftBank Group Corp.   (9,400)  $(587,608)
SUMCO Corp.   (15,600)   (153,289)
Sumitomo Metal Mining Co. Ltd.   (49,000)   (1,383,829)
Taisei Corp.   (32,500)   (1,382,223)
Tokyo Gas Co. Ltd.   (56,900)   (1,411,453)
Tokyu Corp.   (62,600)   (777,453)
TOPPAN Holdings, Inc.   (24,800)   (736,786)
Yaskawa Electric Corp.   (24,800)   (727,155)
Zensho Holdings Co. Ltd.   (29,400)   (1,487,995)
         (26,076,270)
Netherlands—(0.3)%          
Heineken NV   (15,573)   (1,278,934)
OCI NV   (41,752)   (507,067)
         (1,786,001)
New Zealand—(0.2)%          
Fisher & Paykel Healthcare Corp. Ltd.   (31,636)   (680,529)
Mercury NZ Ltd.   (193,447)   (764,270)
         (1,444,799)
Norway—(0.0)%          
Salmar ASA   (3,839)   (194,739)
           
Portugal—(0.4)%          
Galp Energia SGPS SA   (150,487)   (2,565,057)
           
Singapore—(0.3)%          
Keppel Ltd.   (374,000)   (1,812,647)
Singapore Airlines Ltd.   (48,100)   (235,309)
         (2,047,956)
Spain—(0.2)%          
Redeia Corp. SA   (79,816)   (1,475,937)
           
Sweden—(1.3)%          
EQT AB   (66,508)   (1,928,845)
Fastighets AB Balder, Class B   (12,732)   (98,491)
H & M Hennes & Mauritz AB, Class B   (25,590)   (380,083)
Investor AB, Class B   (123,426)   (3,492,101)
Securitas AB, Class B   (66,212)   (776,804)
Skanska AB, Class B   (36,308)   (736,755)
Svenska Cellulosa AB SCA, Class B   (144,604)   (1,911,622)
         (9,324,701)

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Switzerland—(0.6)%          
Clariant AG, Registered Shares   (80,071)  $(1,111,749)
Kuehne & Nagel International AG, Registered Shares   (2,689)   (671,355)
Swatch Group AG   (2,271)   (464,299)
Swiss Life Holding AG, Registered Shares   (2,096)   (1,709,713)
         (3,957,116)
United Kingdom—(0.7)%          
Croda International PLC   (14,183)   (677,581)
Diageo PLC   (933)   (28,861)
Entain PLC   (101,311)   (973,235)
Melrose Industries PLC   (48,895)   (299,476)
National Grid PLC   (2,754)   (34,666)
Pearson PLC   (81,733)   (1,200,927)
Rentokil Initial PLC   (134,982)   (674,454)
WPP PLC   (99,092)   (1,039,827)
         (4,929,027)
United States—(0.6)%          
Haleon PLC   (272,140)   (1,306,793)
Qiagen NV   (9,477)   (402,551)
Stellantis NV   (176,817)   (2,422,622)
Tenaris SA   (5,685)   (93,655)
         (4,225,621)
Total common stocks
(cost—$(92,452,496))
        (91,397,833)
           
Preferred stocks: (0.2)%          
Sartorius AG
(cost—$(1,389,255))
   (4,252)   (1,099,389)
Total investments sold short
(proceeds—$(93,841,751))
        (92,497,222)
Total investments
(cost $647,130,226)6—109.8%
        765,486,926 
Liabilities in excess of other assets—(9.8)%        (68,500,456)
Net assets—100.0%       $696,986,470 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE International Equity Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description  Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
   Other significant
observable inputs
(Level 2)
   Unobservable
inputs
(Level 3)
   Total 
Assets                    
Common stocks  $778,278,487   $   $        —   $778,278,487 
Warrant           0     
Short-term investments       5,870,406        5,870,406 
Investment of cash collateral from securities loaned       73,835,255        73,835,255 
Total  $778,278,487   $79,705,661   $0   $857,984,148 
                     
Liabilities                    
Investments sold short                    
Common stocks  $(91,397,833)  $   $   $(91,397,833)
Preferred stocks   (1,099,389)           (1,099,389)
Total  $(92,497,222)  $   $   $(92,497,222)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
*Non–income producing security.
1Security, or portion thereof, was on loan at the period end.
2Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $12,585,347, represented 1.8% of the Portfolios net assets at period end.
3Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5Rates shown reflect yield at October 31, 2024.
6Includes $73,514,310 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $73,835,255 and non-cash collateral of $3,769,681.

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

  

  

Number of
shares

  

Value

 
Common stocks—98.7%
Argentina—0.5%          
Grupo Financiero Galicia SA, ADR*   15,918   $839,197 
YPF SA, ADR*   45,542    1,116,234 
         1,955,431 
Brazil—8.9%          
Ambev SA   214,000    467,913 
Atacadao SA*   702,800    910,580 
Banco Bradesco SA, ADR   1,145,785    2,830,089 
Banco Bradesco SA   398,420    878,042 
Banco BTG Pactual SA   468,900    2,637,760 
Banco do Brasil SA   481,400    2,192,611 
Cyrela Brazil Realty SA Empreendimentos e Participacoes   153,000    575,381 
Itau Unibanco Holding SA, ADR   456,218    2,760,119 
Lojas Renner SA   351,400    1,128,803 
MercadoLibre, Inc.*   2,979    6,068,759 
Petroleo Brasileiro SA, ADR   311,521    4,189,957 
Raia Drogasil SA   793,344    3,340,309 
Rede D'Or Sao Luiz SA1   185,200    940,593 
Sendas Distribuidora SA*   717,900    930,144 
TOTVS SA   173,900    897,642 
Vale SA   108,800    1,168,006 
WEG SA   402,600    3,768,391 
         35,685,099 
Canada—0.9%          
Ivanhoe Mines Ltd., Class A*   273,341    3,614,183 
           
China—30.2%          
Airtac International Group   39,000    1,088,202 
Alibaba Group Holding Ltd.   526,939    6,408,727 
Alibaba Group Holding Ltd., ADR   16,452    1,611,967 
ANTA Sports Products Ltd.   179,600    1,916,340 
Beijing New Building Materials PLC, Class A   628,400    2,749,164 
Beijing Oriental Yuhong Waterproof Technology Co. Ltd., Class A   1,004,550    2,059,739 
Budweiser Brewing Co. APAC Ltd.1   1,080,800    1,127,499 
BYD Co. Ltd., Class A   49,400    2,035,455 
China Hongqiao Group Ltd.   871,000    1,404,965 
China International Capital Corp. Ltd., Class H1,2   990,183    1,798,457 
China Jushi Co. Ltd., Class A   1,379,156    2,190,167 
China Merchants Shekou Industrial Zone Holdings Co. Ltd., Class A   567,301    900,104 
China Overseas Land & Investment Ltd.   2,225,887    4,254,728 
China Resources Land Ltd.   580,549    1,930,409 
Contemporary Amperex Technology Co. Ltd., Class A   125,620    4,342,542 
Country Garden Services Holdings Co. Ltd.   1,371,152    1,035,318 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)
China—(continued)          
Foxconn Industrial Internet Co. Ltd., Class A   318,200   $1,084,419 
Fuyao Glass Industry Group Co. Ltd., Class A   312,400    2,502,923 
Gree Electric Appliances, Inc. of Zhuhai, Class A   938,200    5,735,484 
Hengli Petrochemical Co. Ltd., Class A   1,206,030    2,328,790 
Huaming Power Equipment Co. Ltd., Class A   627,867    1,510,626 
Kanzhun Ltd., ADR   67,395    980,597 
Kuaishou Technology*,1   547,407    3,232,012 
Li Auto, Inc., ADR*,2   71,957    1,799,645 
Li Auto, Inc., Class A*   136,551    1,886,466 
Li Ning Co. Ltd.   874,500    1,784,074 
Longfor Group Holdings Ltd.1   2,157,500    3,502,354 
Meituan, Class B*,1   215,300    5,054,251 
Midea Group Co. Ltd., Class A   87,897    882,225 
NARI Technology Co. Ltd., Class A   475,000    1,732,941 
PDD Holdings, Inc., ADR*   11,890    1,433,815 
PICC Property & Casualty Co. Ltd., Class H   1,010,000    1,535,638 
Ping An Insurance Group Co. of China Ltd., Class H   626,000    3,877,220 
Ping An Insurance Group Co. of China Ltd., Class A   582,000    4,573,783 
Proya Cosmetics Co. Ltd., Class A   74,200    998,454 
SITC International Holdings Co. Ltd.   508,132    1,437,968 
Sunny Optical Technology Group Co. Ltd.   303,766    1,979,103 
Tencent Holdings Ltd.   336,711    17,523,993 
Tencent Music Entertainment Group   123,198    1,371,194 
Tongwei Co. Ltd., Class A   628,699    2,716,898 
Trip.com Group Ltd., ADR*   63,692    4,101,765 
Trip.com Group Ltd.*   94,250    6,073,918 
Zijin Mining Group Co. Ltd., Class H   1,042,000    2,222,297 
ZTO Express Cayman, Inc.   34,126    788,652 
ZTO Express Cayman, Inc.   2,850    65,878 
         121,571,166 
Ghana—0.1%          
Kosmos Energy Ltd.*   106,270    399,575 
           
Greece—0.6%          
National Bank of Greece SA   151,080    1,179,941 
Piraeus Financial Holdings SA   319,989    1,196,658 
         2,376,599 
Hong Kong—2.3%          
AIA Group Ltd.   361,400    2,856,669 
Futu Holdings Ltd., ADR*   1,844    175,162 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)
Hong Kong—(continued)          
Melco Resorts & Entertainment Ltd., ADR*   255,546   $1,717,269 
Sino Biopharmaceutical Ltd.   2,556,144    1,160,673 
WH Group Ltd.1   4,491,683    3,501,318 
         9,411,091 
Hungary—0.6%          
OTP Bank Nyrt   46,394    2,309,377 
           
India—11.4%          
360 ONE WAM Ltd.   25,706    333,377 
Axis Bank Ltd.   133,034    1,834,540 
Bharat Forge Ltd.   49,645    832,561 
Britannia Industries Ltd.   25,864    1,761,531 
DLF Ltd.   52,054    507,532 
GMR Airports Infrastructure Ltd.*   501,734    473,294 
HDFC Bank Ltd.   211,883    4,373,668 
HDFC Bank Ltd., ADR   43,979    2,771,996 
Hindalco Industries Ltd.   156,978    1,280,765 
ICICI Bank Ltd.   315,780    4,852,954 
Infosys Ltd.   86,096    1,799,250 
InterGlobe Aviation Ltd.*   76,589    3,691,173 
Kotak Mahindra Bank Ltd.   196,807    4,051,704 
Macrotech Developers Ltd.1   120,114    1,723,082 
Mahindra & Mahindra Ltd.   55,353    1,796,173 
MakeMyTrip Ltd.*   13,523    1,372,449 
Manappuram Finance Ltd.   352,778    658,892 
Nestle India Ltd.   48,954    1,317,462 
Pidilite Industries Ltd.   54,977    2,056,810 
Polycab India Ltd.   28,757    2,216,259 
Reliance Industries Ltd.   88,048    1,394,810 
Reliance Industries Ltd.*   88,048    1,394,810 
Tata Consultancy Services Ltd.   66,915    3,158,053 
         45,653,145 
Indonesia—2.2%          
Bank Central Asia Tbk. PT   6,021,700    3,932,617 
Bank Mandiri Persero Tbk. PT   6,822,192    2,912,309 
Bank Rakyat Indonesia Persero Tbk. PT   6,945,314    2,124,084 
         8,969,010 
Luxembourg—0.6%          
Zabka Group SA*   433,987    2,325,656 
           
Macau—1.2%          
Galaxy Entertainment Group Ltd.   491,000    2,182,124 
Sands China Ltd.*,2   1,065,600    2,716,738 
         4,898,862 
Mexico—1.8%          
Cemex SAB de CV, ADR   239,859    1,252,064 
Grupo Aeroportuario del Pacifico SAB de CV, Class B2   55,183    956,860 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)
Mexico—(continued)          
Grupo Financiero Banorte SAB de CV, Class O   301,900   $2,102,188 
Wal-Mart de Mexico SAB de CV   1,046,300    2,877,005 
         7,188,117 
Peru—1.3%          
Credicorp Ltd.   28,819    5,306,442 
           
Russia—0.0%          
Alrosa PJSC3,4   215,380    0 
Rosneft Oil Co. PJSC3,4   126,429    0 
         0 
Saudi Arabia—0.7%          
Saudi Arabian Oil Co.1   405,695    2,916,571 
           
Singapore—0.5%          
Sea Ltd., ADR*   22,341    2,101,171 
           
South Africa—5.3%          
Absa Group Ltd.   212,579    2,033,307 
Capitec Bank Holdings Ltd.   19,662    3,536,227 
Clicks Group Ltd.   84,832    1,810,872 
FirstRand Ltd.2   436,067    1,907,020 
Gold Fields Ltd., ADR2   151,429    2,495,550 
Impala Platinum Holdings Ltd.*   107,025    700,307 
MTN Group Ltd.   1,075,677    5,340,556 
Naspers Ltd., Class N   14,229    3,344,719 
Standard Bank Group Ltd.   17,066    233,832 
         21,402,390 
South Korea—8.4%          
Amorepacific Corp.   12,326    1,041,458 
DB Insurance Co. Ltd.   16,781    1,329,104 
Hana Financial Group, Inc.   56,754    2,463,453 
Hyundai Mobis Co. Ltd.   10,738    1,941,399 
Hyundai Motor Co.   1,101    171,533 
KB Financial Group, Inc.   81,479    5,331,561 
Kia Corp.   18,314    1,219,606 
LG Energy Solution Ltd.*   3,085    910,969 
Samsung Electronics Co. Ltd.   237,433    10,185,531 
Shinhan Financial Group Co. Ltd.   23,131    859,870 
SK Hynix, Inc.   54,632    7,375,320 
WONIK IPS Co. Ltd.*   46,203    932,430 
         33,762,234 
Taiwan—14.9%          
Accton Technology Corp.   107,000    1,843,446 
Advantech Co. Ltd.   134,000    1,338,327 
Alchip Technologies Ltd.   23,000    1,464,419 
ASPEED Technology, Inc.   13,000    1,704,120 
Chailease Holding Co. Ltd.   418,445    1,978,602 
Chroma ATE, Inc.   178,000    2,308,333 
Delta Electronics, Inc.   226,000    2,849,688 
Lotes Co. Ltd.   33,000    1,725,187 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)
Taiwan—(continued)          
MediaTek, Inc.   155,469   $6,259,520 
Sinbon Electronics Co. Ltd.   129,000    1,066,947 
Taiwan Semiconductor Manufacturing Co. Ltd.   509,475    16,378,254 
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   58,503    11,147,162 
Unimicron Technology Corp.   484,000    2,439,638 
Voltronic Power Technology Corp.   32,000    2,127,341 
Yageo Corp.   227,753    3,966,485 
Zhen Ding Technology Holding Ltd.   312,000    1,095,506 
         59,692,975 
Thailand—2.6%          
Bangkok Dusit Medical Services PCL, Class F   2,194,200    1,788,132 
Central Pattana PCL   623,000    1,158,490 
CP ALL PCL   1,283,200    2,405,168 
Kasikornbank PCL   598,300    2,597,450 
SCB X PCL   733,100    2,465,753 
         10,414,993 
Turkey—0.9%          
Akbank TAS   642,735    949,143 
BIM Birlesik Magazalar AS   129,416    1,761,931 
Haci Omer Sabanci Holding AS   410,012    996,162 
         3,707,236 
United Arab Emirates—0.4%          
Aldar Properties PJSC   771,187    1,599,882 
           
United Kingdom—0.3%          
Anglogold Ashanti PLC   40,531    1,126,762 
           
United States—1.0%          
Globant SA*   6,884    1,444,883 
Las Vegas Sands Corp.   50,108    2,598,100 
         4,042,983 

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(continued)          
Vietnam—0.6%          
Hoa Phat Group JSC*   1,524,388   $1,622,074 
Masan Group Corp.*   165,300    500,870 
Vincom Retail JSC*   580,120    409,618 
         2,532,562 
Zambia—0.5%          
First Quantum Minerals Ltd.*   139,534    1,802,863 
Total common stocks
(cost—$360,562,247)
        396,766,375 
           
Preferred stocks—0.3%          
Brazil—0.3%          
Itau Unibanco Holding SA
(cost $1,123,327)
   170,800    1,034,686 
           
Short-term investments: 1.2%          
Investment companies: 1.2%          
State Street Institutional U.S. Government Money Market Fund, 4.824%5
(cost $4,793,394)
   4,793,394    4,793,394 
           
Investment of cash collateral from securities loaned—1.7%          
Money market funds—1.7%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%5
(cost $6,858,857)
   6,858,857    6,858,857 
Total investments
(cost $373,337,825)6—101.9%
        409,453,312 
Liabilities in excess of other assets—(1.9)%        (7,476,602)
Net assets—100.0%       $401,976,710 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE International Emerging Markets Equity Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description

 

Unadjusted
quoted prices in
active market for
identical investments
(Level 1)

 

Other significant
observable inputs
(Level 2)

 

Unobservable
inputs
(Level 3)

 

Total

 
Assets             
Common stocks  $396,766,375  $  $0  $396,766,375 
Preferred stocks   1,034,686         1,034,686 
Short-term investments      4,793,394      4,793,394 
Investment of cash collateral from securities loaned      6,858,857      6,858,857 
Total  $397,801,061  $11,652,251  $           0  $409,453,312

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.
*Non–income producing security.
1Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $27,487,310, represented 6.8% of the Portfolios net assets at period end.
2Security, or portion thereof, was on loan at the period end.
3Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5Rates shown reflect yield at October 31, 2024.
6Includes $8,223,687 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $6,858,857 and non-cash collateral of $2,081,563.

 

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—98.2%
Australia—6.6%          
Charter Hall Group   29,759   $295,920 
Goodman Group   113,739    2,742,564 
National Storage REIT1   530,206    875,811 
Rural Funds Group1   93,204    114,701 
         4,028,996 
Belgium—1.7%          
Shurgard Self Storage Ltd.   23,667    1,006,581 
           
Canada—1.6%          
Canadian Apartment Properties REIT   29,363    978,310 
           
Germany—2.1%          
Vonovia SE   39,765    1,304,552 
           
Hong Kong—0.9%          
Sino Land Co. Ltd.   548,000    548,416 
           
Japan—4.9%          
Japan Metropolitan Fund Invest   961    590,742 
KDX Realty Investment Corp.   314    299,864 
Mitsui Fudosan Co. Ltd.   172,700    1,507,175 
Star Asia Investment Corp.   826    276,711 
Tokyo Tatemono Co. Ltd.   17,800    295,398 
         2,969,890 
Singapore—3.0%          
Capitaland India Trust   451,261    372,491 
CapitaLand Investment Ltd.1   516,500    1,099,103 
Parkway Life Real Estate Investment Trust   118,800    340,071 
         1,811,665 
Spain—1.6%          
Cellnex Telecom SA*,1,2   26,708    979,040 
           
United Kingdom—6.4%          
Big Yellow Group PLC   62,076    966,931 
Derwent London PLC   20,814    587,766 
Grainger PLC   270,670    792,265 
Segro PLC   94,064    952,376 
Shaftesbury Capital PLC   340,338    595,518 
         3,894,856 

United Republic Of Tanzania—1.3% 

          
Helios Towers PLC*,1   567,876    779,112 
           
United States—68.1%          
Alexandria Real Estate Equities, Inc.   11,357    1,266,873 
American Homes 4 Rent, Class A   37,498    1,321,430 
American Tower Corp.   5,069    1,082,434 
BXP, Inc.   17,205    1,386,035 
Cousins Properties, Inc.   11,039    338,125 
Digital Realty Trust, Inc.   13,210    2,354,418 
DigitalBridge Group, Inc.1   11,233    176,246 

 

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investments – October 31, 2024 (unaudited)

 

  

Number of
shares

  

Value

 
Common stocks—(concluded)
United States—(continued)          
Douglas Emmett, Inc.   48,705   $866,462 
Encompass Health Corp.   6,578    654,248 
Equinix, Inc.   3,518    3,194,626 
Equity LifeStyle Properties, Inc.   30,835    2,162,150 
Essex Property Trust, Inc.   5,380    1,527,167 
Extra Space Storage, Inc.   11,748    1,918,448 
Farmland Partners, Inc.1   27,749    324,941 
Federal Realty Investment Trust   15,340    1,700,286 
Highwoods Properties, Inc.   9,918    332,650 
Kimco Realty Corp.   69,331    1,644,531 
Lamar Advertising Co., Class A   7,002    924,264 
Mid-America Apartment Communities, Inc.   15,712    2,377,854 
NNN REIT, Inc.   28,019    1,217,145 
Prologis, Inc.   42,030    4,746,868 
Rayonier, Inc.   34,554    1,079,121 
Rexford Industrial Realty, Inc.   33,147    1,421,675 
Ryman Hospitality Properties, Inc.   7,561    809,405 
SBA Communications Corp.   4,494    1,031,238 
Sun Communities, Inc.   13,290    1,763,317 
Universal Health Services, Inc., Class B   1,677    342,628 
Ventas, Inc.   33,825    2,215,199 
Weyerhaeuser Co.   39,160    1,220,226 
         41,400,010 
Total common stocks
(cost—$59,064,498)
        59,701,428 
           
Short-term investments: 1.9%          
Investment companies: 1.9%          
State Street Institutional U.S. Government Money Market Fund, 4.824%3
(cost—$1,138,363)
   1,138,363    1,138,363 
           

Investment of cash collateral from securities loaned—2.0%

          
Money market funds—2.0%          
State Street Navigator Securities Lending Government Money Market Portfolio, 4.817%3
(cost—$1,228,528)
   1,228,528    1,228,528 
Total investments
(cost—$61,431,389)4—102.1%
        62,068,319 
Liabilities in excess of other assets—(2.1)%        (1,298,076)
Net assets—100.0%       $60,770,243 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

 

 

 

PACE Global Real Estate Securities Investments 

Portfolio of investments – October 31, 2024 (unaudited)

  

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description    Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
    Other significant
observable inputs
(Level 2)
   
    Unobservable
inputs
(Level 3)
    Total   
Assets                            
Common stocks   $ 59,701,428     $     $        —     $ 59,701,428  
Short-term investments           1,138,363             1,138,363  
Investment of cash collateral from securities loaned           1,228,528             1,228,528  
Total   $ 59,701,428     $ 2,366,891     $     $ 62,068,319  

  

At October 31, 2024, there were no transfers in or out of Level 3.

 

 

 

Portfolio footnotes

 

*Non–income producing security.
1Security, or portion thereof, was on loan at the period end.
2Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $979,040, represented 1.6% of the Portfolios net assets at period end.
3Rates shown reflect yield at October 31, 2024.
4Includes $2,853,689 of investments in securities on loan, at value plus accrued interest and dividends, if any. The Fund includes cash collateral of $1,228,528 and non-cash collateral of $1,780,112.

 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—44.5%          
Australia—0.3%          
BHP Group Ltd.   32   $898 
Cochlear Ltd.   103    19,198 
Commonwealth Bank of Australia   175    16,440 
Glencore PLC*   5,015    26,274 
Macquarie Group Ltd.   14    2,133 
REA Group Ltd.   9    1,344 
Rio Tinto Ltd.   12,980    1,019,162 
Rio Tinto PLC   721    46,634 
         1,132,083 
Austria—0.0%          
ANDRITZ AG   577    34,740 
OMV AG   494    20,473 
Raiffeisen Bank International AG   2,091    37,506 
Verbund AG   228    18,650 
         111,369 
Belgium—0.0%          
Ackermans & van Haaren NV   30    6,092 
Groupe Bruxelles Lambert NV   15    1,080 
KBC Group NV   18    1,306 
         8,478 
Bermuda—0.0%          
Hamilton Insurance Group Ltd., Class B*,1   4,052    70,586 
Teekay Corp. Ltd.*   1,030    8,621 
         79,207 
Brazil—0.0%          
Yara International ASA   226    6,796 
           
Canada—7.1%          
ADENTRA, Inc.1   10,720    295,573 
Advantage Energy Ltd.*,1   56,720    354,818 
Ag Growth International, Inc.1   3,720    131,877 
Alamos Gold, Inc., Class A1   9,460    190,903 
Aritzia, Inc.*,1   3,670    118,164 
AtkinsRealis Group, Inc.1   12,590    605,832 
Barrick Gold Corp.   21,000    405,868 
Black Diamond Group Ltd.   145,400    945,071 
Boardwalk Real Estate Investment Trust1   3,770    195,763 
Boralex, Inc., Class A   533    12,812 
Brookfield Business Partners LP1   71,938    1,601,340 
Brookfield Corp.1   19,570    1,037,210 
Brookfield Infrastructure Partners LP1   56,995    1,951,509 
Canadian Imperial Bank of Commerce   6,900    431,687 
Canadian Pacific Kansas City Ltd.1   5,490    423,608 
CCL Industries, Inc., Class B1   8,200    478,331 
Celestica, Inc.*   700    47,902 
Cenovus Energy, Inc.   17,000    273,372 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Canada—(continued)          
Centerra Gold, Inc.   27,400   $193,641 
Chartwell Retirement Residences1   240,948    2,708,253 
Colliers International Group, Inc.1   6,210    947,894 
Computer Modelling Group Ltd.1   13,300    109,277 
Coveo Solutions, Inc.*   50,780    191,471 
Denison Mines Corp.*   13,442    28,287 
Descartes Systems Group, Inc.*,1   2,570    267,100 
DREAM Unlimited Corp., Class A1   18,650    383,756 
Dundee Precious Metals, Inc.1   25,300    257,297 
Element Fleet Management Corp.1   26,470    541,624 
Enerflex Ltd.1   78,530    518,890 
European Residential Real Estate Investment Trust1   270,820    595,187 
Fairfax Financial Holdings Ltd.1   361    448,609 
FirstService Corp.1   940    174,060 
Gildan Activewear, Inc.   36    1,762 
Hammond Power Solutions, Inc.1   1,730    149,933 
Headwater Exploration, Inc.1   72,730    358,335 
Hydro One Ltd.2   98    3,155 
Kelt Exploration Ltd.*,1   60,910    285,663 
Killam Apartment Real Estate Investment Trust1   10,960    147,199 
Kinross Gold Corp.1   12,690    127,915 
Kinross Gold Corp.   84,500    852,677 
Open Text Corp.   9,400    281,929 
Pan American Silver Corp.   69    1,615 
Parkit Enterprise, Inc.*   271,038    130,424 
Parkland Corp.   1,059    24,643 
Pason Systems, Inc.1   74,460    720,348 
Power Corp. of Canada   18,200    575,273 
RB Global, Inc.1   15,730    1,332,960 
Rogers Communications, Inc., Class B1   17,530    636,690 
Royal Bank of Canada   208    25,155 
Shopify, Inc., Class A*   121    9,466 
Suncor Energy, Inc.1   14,870    561,640 
TECSYS, Inc.   10,370    298,658 
Teekay Tankers Ltd., Class A   160    7,629 
TELUS Corp.   70    1,107 
TerraVest Industries, Inc.1   2,695    193,035 
Toronto-Dominion Bank   121    6,689 
West Fraser Timber Co. Ltd.   313    28,269 
West Fraser Timber Co. Ltd.1   1,880    169,952 
         23,799,107 
Cayman Islands—0.0%          
Patria Investments Ltd., Class A   818    9,522 
           
China—0.3%          
BOC Hong Kong Holdings Ltd.   87,000    284,252 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
China—(continued)          
NXP Semiconductors NV1   3,345   $784,402 
         1,068,654 
Denmark—0.3%          
AP Moller - Maersk AS, Class B   198    311,822 
Bavarian Nordic AS*   1,112    34,814 
DSV AS   155    33,689 
ISS AS   624    11,984 
Jyske Bank AS, Registered Shares   128    8,926 
Netcompany Group AS*,2   348    16,543 
NKT AS*   375    34,997 
Novo Nordisk AS, Class B   646    71,884 
Rockwool AS, Class B   754    324,788 
Sydbank AS   101    4,801 
         854,248 
Faeroe Islands—0.0%          
Bakkafrost P   225    13,510 
           
Finland—0.1%          
Cargotec OYJ, Class B   691    41,776 
Fortum OYJ   2,536    37,323 
Kemira OYJ   1,159    24,609 
Konecranes OYJ   410    28,253 
Neste OYJ   48    766 
Nokia OYJ   8,425    39,635 
Nordea Bank Abp   119    1,393 
Valmet OYJ   116    2,966 
Wartsila OYJ Abp   3,737    71,177 
         247,898 
France—0.8%          
Amundi SA2   165    11,935 
Arkema SA   10    874 
AXA SA   80    3,004 
Carrefour SA   52,720    833,527 
Cie de Saint-Gobain SA   136    12,276 
Cie Generale des Etablissements Michelin SCA   821    27,729 
Coface SA   88    1,419 
Dassault Aviation SA   6    1,209 
Dassault Systemes SE   45    1,540 
Engie SA   52,143    874,316 
Hermes International SCA   11    24,816 
Ipsen SA   268    32,621 
La Francaise des Jeux SAEM2   311    13,248 
LVMH Moet Hennessy Louis Vuitton SE   27    17,909 
Nexans SA   64    8,876 
Rexel SA   443    12,134 
Rubis SCA   16,502    403,517 
SCOR SE   40    859 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
France—(continued)          
Sodexo SA   246   $21,353 
TotalEnergies SE   400    24,975 
Vallourec SACA*   1,322    21,642 
Veolia Environnement SA   794    25,193 
Vivendi SE   13,216    140,796 
Wendel SE   268    26,586 
         2,542,354 
Germany—0.6%          
adidas AG   6    1,432 
Bayer AG, Registered Shares   38    1,025 
Bayerische Motoren Werke AG   2,732    214,916 
Deutsche Bank AG, Registered Shares   50,473    857,789 
Deutsche Boerse AG   43    9,995 
Deutsche Lufthansa AG, Registered Shares   436    3,017 
Deutsche Telekom AG, Registered Shares   406    12,286 
E.ON SE   69    932 
Evonik Industries AG   17,054    375,276 
Freenet AG   1,106    32,843 
Fresenius SE & Co. KGaA*   726    26,471 
GEA Group AG   534    26,301 
Hannover Rueck SE   22    5,779 
Heidelberg Materials AG   362    39,849 
HOCHTIEF AG   99    12,104 
Mercedes-Benz Group AG   425    25,750 
Rheinmetall AG   80    41,178 
RWE AG   111    3,594 
SAP SE   103    24,066 
Siemens AG, Registered Shares   818    158,737 
TAG Immobilien AG*   1,571    26,094 
Talanx AG   412    31,797 
Zalando SE*,2   850    25,537 
         1,956,768 
Hong Kong—0.4%          
Swire Pacific Ltd., Class A   67,000    563,210 
WH Group Ltd.2   881,000    686,750 
Yue Yuen Industrial Holdings Ltd.   27,000    56,819 
         1,306,779 
Ireland—0.2%          
Accenture PLC, Class A   67    23,103 
AerCap Holdings NV   5,120    478,976 
AIB Group PLC   4,219    22,460 
Ardmore Shipping Corp.   798    11,260 
Bank of Ireland Group PLC   1,549    14,258 
Glanbia PLC   1,459    24,202 
Kingspan Group PLC   317    27,809 
         602,068 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Israel—0.3%          
Check Point Software Technologies Ltd.*,1   5,149   $891,858 
Sapiens International Corp. NV   252    9,294 
         901,152 
Italy—0.2%          
A2A SpA   5,299    12,104 
Azimut Holding SpA   941    23,297 
Banca Monte dei Paschi di Siena SpA   4,680    25,616 
BPER Banca SpA   2,562    15,606 
Brunello Cucinelli SpA   143    14,124 
Buzzi SpA   930    36,398 
Enel SpA   44,149    334,721 
Eni SpA   12,803    195,138 
Generali   942    26,180 
Hera SpA   9,952    38,105 
Intesa Sanpaolo SpA   1,030    4,411 
Unipol Gruppo SpA   500    6,216 
         731,916 
Japan—1.6%          
Capcom Co. Ltd.   73    1,471 
Central Japan Railway Co.   3,200    67,142 
Chubu Electric Power Co., Inc.   6,600    76,234 
Daikin Industries Ltd.   259    31,791 
Daiseki Co. Ltd.   564    14,532 
ENEOS Holdings, Inc.   59,000    301,485 
Hitachi Ltd.   19,972    515,797 
Hoya Corp.   335    45,695 
Idemitsu Kosan Co. Ltd.   118,000    813,124 
ITOCHU Corp.   304    15,312 
Itochu Enex Co. Ltd.   3,240    34,225 
Konami Group Corp.   47    4,358 
Mitsubishi Electric Corp.   9,460    148,649 
Mitsubishi UFJ Financial Group, Inc.   2,696    28,896 
Mitsui & Co. Ltd.   667    13,881 
Modec, Inc.   6,000    133,474 
MS&AD Insurance Group Holdings, Inc.   35,680    807,579 
Nintendo Co. Ltd.   144    7,719 
Niterra Co. Ltd.   346    9,997 
Osaka Gas Co. Ltd.   51,700    1,116,753 
Panasonic Holdings Corp.   166    1,353 
Recruit Holdings Co. Ltd.   634    39,778 
Sony Group Corp.   1,275    22,854 
Square Enix Holdings Co. Ltd.   33    1,297 
Subaru Corp.   8,300    151,945 
Sumitomo Corp.   26,200    559,556 
Sumitomo Electric Industries Ltd.   11,400    178,758 
Tokio Marine Holdings, Inc.   261    9,565 
Toyota Tsusho Corp.   680    11,829 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Japan—(continued)          
Unicharm Corp.   1,094   $35,360 
         5,200,409 
Jordan—0.0%          
Hikma Pharmaceuticals PLC   1,072    25,641 
           
Luxembourg—0.0%          
ArcelorMittal SA   39    962 
           
Malta—0.0%          
Gambling.com Group Ltd.*   315    3,033 
           
Monaco—0.0%          
Scorpio Tankers, Inc.   173    10,081 
           
Netherlands—0.0%          
ABN AMRO Bank NV2   1,585    26,189 
Adyen NV*,2   1    1,530 
BE Semiconductor Industries NV   81    8,629 
EXOR NV   248    26,221 
Koninklijke Ahold Delhaize NV   769    25,353 
Koninklijke KPN NV   3,021    11,807 
Wolters Kluwer NV   43    7,236 
         106,965 
Norway—0.6%          
Aker Solutions ASA   2,811    13,352 
Mowi ASA   1,538    26,432 
Norsk Hydro ASA   142    874 
Salmar ASA   41    2,080 
Schibsted ASA, Class A   41    1,380 
Seadrill Ltd.*   50,643    1,992,802 
Telenor ASA   987    12,122 
TOMRA Systems ASA   97    1,383 
Var Energi ASA   3,754    11,791 
Wallenius Wilhelmsen ASA   7,400    72,788 
         2,135,004 
Singapore—0.2%          
STMicroelectronics NV   18,772    509,472 
           
Spain—0.3%          
ACS Actividades de Construccion y Servicios SA   65    3,111 
Aena SME SA2   4,080    900,918 
Amadeus IT Group SA   477    34,556 
Banco Santander SA   10,352    50,582 
CaixaBank SA   283    1,721 
Cellnex Telecom SA*,2   1,006    36,877 
EDP Renovaveis SA   146    1,966 
Iberdrola SA   2,733    40,564 
Telefonica SA   4,368    20,497 
         1,090,792 
Sweden—0.7%          
Assa Abloy AB, Class B   242    7,561 
Atlas Copco AB, Class A   505    8,314 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
Sweden—(continued)          
Atlas Copco AB, Class B   96   $1,392 
Avanza Bank Holding AB   1,352    28,120 
Billerud Aktiebolag   1,371    12,141 
Boliden AB   291    9,035 
Castellum AB*   1,248    15,561 
EQT AB   474    13,747 
Essity AB, Class B   8,192    231,277 
H & M Hennes & Mauritz AB, Class B   1,427    21,195 
Nibe Industrier AB, Class B   164    792 
Saab AB, Class B   1,761    36,213 
Securitas AB, Class B   37,609    441,232 
SKF AB, Class B   331    6,254 
Telefonaktiebolaget LM Ericsson, Class B   3,206    26,774 
Telia Co. AB   91,304    265,311 
Volvo AB, Class B   35,065    910,642 
Volvo AB, Class A   6,785    177,672 
         2,213,233 
Switzerland—0.2%          
Adecco Group AG, Registered Shares   16,298    510,710 
DKSH Holding AG   361    25,793 
Kuehne & Nagel International AG, Registered Shares   3    749 
Logitech International SA, Registered Shares   314    25,730 
Novartis AG, Registered Shares   235    25,526 
Schindler Holding AG   367    106,843 
Swiss Life Holding AG, Registered Shares   10    8,157 
Swisscom AG, Registered Shares   10    6,091 
Zurich Insurance Group AG   26    15,379 
         724,978 
Taiwan—0.0%          
Taiwan Semiconductor Manufacturing Co. Ltd., ADR   182    34,678 
           
Thailand—0.0%          
Fabrinet*   38    9,157 
           
United Kingdom—0.5%          
Ashtead Group PLC   17    1,269 
AstraZeneca PLC   253    36,022 
Auto Trader Group PLC2   128    1,385 
Balfour Beatty PLC   4,663    26,744 
Barclays PLC   115,301    353,103 
Big Yellow Group PLC   135    2,103 
BT Group PLC   6,531    11,643 
Compass Group PLC   67    2,173 
Computacenter PLC   890    25,133 
Drax Group PLC   4,681    37,604 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United Kingdom—(continued)          
easyJet PLC   1,843   $12,139 
Future PLC   1,171    13,250 
Grafton Group PLC   1,990    25,701 
Hiscox Ltd.   1,116    15,570 
HSBC Holdings PLC   2,751    25,246 
IG Group Holdings PLC   3,266    37,692 
Inchcape PLC   3,313    30,587 
Intermediate Capital Group PLC   55    1,462 
Intertek Group PLC   22    1,319 
ITV PLC   32,799    31,254 
J Sainsbury PLC   36,649    125,798 
JD Sports Fashion PLC   19,706    31,508 
Johnson Matthey PLC   338    6,485 
Kingfisher PLC   9,593    36,181 
Legal & General Group PLC   9,134    25,570 
London Stock Exchange Group PLC   95    12,881 
M&G PLC   10,918    27,305 
Marks & Spencer Group PLC   7,462    36,159 
National Grid PLC   1,740    21,902 
Pets at Home Group PLC   288    1,100 
Phoenix Group Holdings PLC   4,902    31,048 
QinetiQ Group PLC   1,827    10,813 
Reckitt Benckiser Group PLC   92    5,557 
RELX PLC   267    12,256 
Rightmove PLC   160    1,215 
Safestore Holdings PLC   91    949 
Segro PLC   1,633    16,534 
Serco Group PLC   11,313    25,543 
Smiths Group PLC   952    18,769 
Softcat PLC   68    1,486 
SSE PLC   1,615    36,672 
St. James's Place PLC   591    6,196 
Standard Chartered PLC   25,488    295,921 
Tate & Lyle PLC   2,344    22,669 
Tesco PLC   13,248    58,457 
UNITE Group PLC   89    1,005 
Vodafone Group PLC   225,799    209,691 
         1,771,069 
United States—29.8%          
3M Co.   5,971    767,094 
A.O. Smith Corp.   111    8,336 
A10 Networks, Inc.   650    9,523 
AAON, Inc.   85    9,709 
AbbVie, Inc.   172    35,066 
Abercrombie & Fitch Co., Class A*   63    8,303 
ABIOMED, Inc.*,3   42    74 
Acuity Brands, Inc.   31    9,321 
ADMA Biologics, Inc.*,1   2,079    33,908 
Adobe, Inc.*   48    22,948 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
AECOM   82   $8,758 
AeroVironment, Inc.*   9    1,935 
AES Corp.   5,985    98,693 
Agilysys, Inc.*   84    8,403 
Airbnb, Inc., Class A*   155    20,892 
Akamai Technologies, Inc.*,1   4,321    436,767 
Align Technology, Inc.*   39    7,996 
Alkermes PLC*   331    8,507 
Alliant Energy Corp.   199    11,940 
Allstate Corp.1   6,288    1,172,838 
Alphabet, Inc., Class C1   6,056    1,045,811 
Alphabet, Inc., Class A1   6,487    1,109,991 
Amazon.com, Inc.*,1   2,634    490,978 
AMC Networks, Inc., Class A*,1   11,866    96,115 
Amdocs Ltd.   13    1,141 
Amentum Holdings, Inc.*   141    4,193 
Ameren Corp.   65    5,662 
American Electric Power Co., Inc.   470    46,412 
American Tower Corp.1   5,307    1,133,257 
American Water Works Co., Inc.   250    34,527 
AMETEK, Inc.   263    48,218 
Amgen, Inc.   78    24,972 
Amphenol Corp., Class A   53    3,552 
ANSYS, Inc.*   64    20,506 
Anterix, Inc.*   5,890    191,307 
Aon PLC, Class A   13    4,769 
APA Corp.   42,798    1,010,033 
Apogee Enterprises, Inc.   124    9,280 
Apollo Global Management, Inc.   406    58,164 
Appfolio, Inc., Class A*   42    8,731 
Apple, Inc.1   6,462    1,459,830 
Applied Industrial Technologies, Inc.   27    6,253 
Applied Materials, Inc.1   2,496    453,224 
AptarGroup, Inc.   256    42,985 
Aptiv PLC*   1,154    65,582 
Arch Capital Group Ltd.*   119    11,729 
Arcosa, Inc.   101    9,458 
Argan, Inc.   84    11,091 
Array Technologies, Inc.*   10,159    66,338 
Arthur J Gallagher & Co.   126    35,431 
Artisan Partners Asset Management, Inc., Class A   212    9,349 
AT&T, Inc.1   85,291    1,922,459 
Atkore, Inc.   106    9,091 
Autodesk, Inc.*   26    7,379 
Automatic Data Processing, Inc.   38    10,991 
AvalonBay Communities, Inc.   28    6,205 
Axcelis Technologies, Inc.*   95    8,104 
Badger Meter, Inc.   43    8,602 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Baker Hughes Co.   1,224   $46,610 
Bank of America Corp.1   6,998    292,656 
Bank of New York Mellon Corp.1   16,504    1,243,741 
Bel Fuse, Inc., Class B   114    8,598 
Bel Fuse, Inc., Class A   31    3,142 
BellRing Brands, Inc.*   462    30,413 
Berkshire Hathaway, Inc., Class B*   160    72,147 
Blackrock, Inc.   35    34,336 
Blue Bird Corp.*   200    8,422 
Boeing Co.*   3,379    504,518 
Boise Cascade Co.   66    8,780 
Booking Holdings, Inc.1   57    266,546 
Booz Allen Hamilton Holding Corp.   9    1,635 
Boston Scientific Corp.*   352    29,575 
Box, Inc., Class A*   287    9,115 
Bristol-Myers Squibb Co.   307    17,121 
Broadcom, Inc.   596    101,183 
Broadridge Financial Solutions, Inc.   123    25,936 
Buckle, Inc.   213    9,065 
Build-A-Bear Workshop, Inc.   265    10,094 
Builders FirstSource, Inc.*,1   890    152,546 
Burlington Stores, Inc.*,1   510    126,363 
Cable One, Inc.   2,433    831,015 
Cabot Corp.   55    5,931 
Cactus, Inc., Class A   148    8,775 
Cadence Design Systems, Inc.*   88    24,299 
Cal-Maine Foods, Inc.   110    9,656 
Cardinal Health, Inc.   846    91,808 
Carlisle Cos., Inc.1   1,789    755,369 
Carrier Global Corp.   4,327    314,659 
Carvana Co.*,1   6,320    1,562,999 
Catalyst Pharmaceuticals, Inc.*   452    9,854 
Cavco Industries, Inc.*   21    8,606 
Cboe Global Markets, Inc.   44    9,397 
Celsius Holdings, Inc.*   584    17,567 
Cencora, Inc.1   3,385    772,051 
Centene Corp.*,1   1,572    97,873 
Central Garden & Pet Co.*,1   4,597    157,677 
CH Robinson Worldwide, Inc.1   3,150    324,576 
Champion Homes, Inc.*   99    8,735 
Chemed Corp.   15    8,104 
Chipotle Mexican Grill, Inc.*,1   3,451    192,462 
Chubb Ltd.   155    43,778 
Church & Dwight Co., Inc.   433    43,261 
Cigna Group   176    55,407 
Cirrus Logic, Inc.*,1   3,183    349,557 
Citigroup, Inc.1   12,437    798,082 
CME Group, Inc.   61    13,747 
CNX Resources Corp.*   881    29,980 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Cognizant Technology Solutions Corp., Class A   121   $9,025 
Cohen & Steers, Inc.   94    9,284 
Colgate-Palmolive Co.   50    4,686 
Columbia Sportswear Co.   114    9,174 
Comcast Corp., Class A1   21,912    956,897 
Comfort Systems USA, Inc.   59    23,071 
CommVault Systems, Inc.*   62    9,684 
Consolidated Edison, Inc.   93    9,456 
Consolidated Water Co. Ltd.   364    8,649 
Constellation Energy Corp.   4,720    1,241,171 
Construction Partners, Inc., Class A*   142    11,180 
Corcept Therapeutics, Inc.*   203    9,941 
Corebridge Financial, Inc.1   28,679    911,132 
Corpay, Inc.*   40    13,189 
CorVel Corp.*   30    8,935 
Costco Wholesale Corp.   68    59,444 
Crane Co.   224    35,231 
CRH PLC1   27,890    2,661,543 
Cricut, Inc., Class A   939    6,179 
Crocs, Inc.*   65    7,008 
CSL Ltd.   199    37,580 
CSW Industrials, Inc.   25    8,828 
CVS Health Corp.   265    14,962 
Dave, Inc.*   218    8,406 
DaVita, Inc.*,1   905    126,528 
Deckers Outdoor Corp.*,1   460    74,009 
Devon Energy Corp.   149    5,763 
Diamond Hill Investment Group, Inc.   59    8,904 
Dillard's, Inc., Class A   24    8,916 
DNOW, Inc.*   732    8,660 
DocuSign, Inc.*   144    9,991 
Dolby Laboratories, Inc., Class A   124    9,040 
Dollar Tree, Inc.*   40,289    2,604,281 
Dominion Energy, Inc.1   7,850    467,310 
Domino's Pizza, Inc.1   506    209,347 
Donaldson Co., Inc.   126    9,218 
Donnelley Financial Solutions, Inc.*   47    2,742 
Dorian LPG Ltd.1   3,282    94,686 
Dow, Inc.   67    3,308 
Doximity, Inc., Class A*   218    9,099 
DR Horton, Inc.   253    42,757 
Dropbox, Inc., Class A*   361    9,332 
Duke Energy Corp.   134    15,446 
Eagle Materials, Inc.   21    5,995 
Eastman Chemical Co.1   5,914    621,502 
Eaton Corp. PLC   16    5,305 
eBay, Inc.1   7,136    410,391 
Edison International   6,109    503,382 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Edwards Lifesciences Corp.*   297   $19,902 
Elevance Health, Inc.   144    58,429 
Eli Lilly & Co.   137    113,674 
EMCOR Group, Inc.1   1,962    875,189 
Emerson Electric Co.   34    3,681 
Energy Fuels, Inc.*   3,783    22,850 
Energy Recovery, Inc.*   517    9,234 
Ennis, Inc.   273    5,558 
Enovix Corp.*   29,121    262,235 
Enphase Energy, Inc.*   2,812    233,508 
Entergy Corp.   3,158    488,795 
EPAM Systems, Inc.*   47    8,867 
ePlus, Inc.*   94    8,361 
Equifax, Inc.1   272    72,085 
Equinix, Inc.   51    46,312 
Essent Group Ltd.   146    8,761 
Estee Lauder Cos., Inc., Class A   14    965 
Evercore, Inc., Class A   23    6,076 
Evergy, Inc.   156    9,429 
Eversource Energy   95    6,256 
Exelixis, Inc.*   340    11,288 
Expeditors International of Washington, Inc.1   5,164    614,516 
Experian PLC   88    4,286 
Exponent, Inc.   83    7,834 
Expro Group Holdings NV*   535    6,821 
F5, Inc.*   42    9,823 
FactSet Research Systems, Inc.   2    908 
Fair Isaac Corp.*   8    15,945 
Fastenal Co.   126    9,851 
Federal Signal Corp.   102    8,320 
FedEx Corp.1   1,770    484,714 
FirstEnergy Corp.   574    24,010 
Fiserv, Inc.*   230    45,517 
Flagstar Financial, Inc.   47,704    482,764 
Fluence Energy, Inc.*   7,610    165,517 
Fluor Corp.*   239    12,495 
FormFactor, Inc.*   206    7,824 
Franklin Covey Co.*   75    2,986 
Franklin Electric Co., Inc.   89    8,518 
Frontdoor, Inc.*   124    6,162 
FTI Consulting, Inc.*   42    8,193 
FutureFuel Corp.   558    3,370 
Garmin Ltd.   55    10,909 
GE Vernova, Inc.*   4,658    1,405,132 
Generac Holdings, Inc.*,1   1,570    259,913 
General Electric Co.1   2,460    422,579 
Gentex Corp.   312    9,457 
GFL Environmental, Inc.1   7,230    302,214 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Gibraltar Industries, Inc.*   133   $8,976 
Gilead Sciences, Inc.1   1,141    101,344 
Global Industrial Co.   92    2,441 
Graco, Inc.   108    8,797 
GRAIL, Inc.*   1    14 
Grand Canyon Education, Inc.*   66    9,049 
Granite Construction, Inc.   135    11,347 
GSK PLC   8,184    146,949 
Hackett Group, Inc.   118    2,870 
Hamilton Beach Brands Holding Co., Class A   108    2,986 
Hamilton Lane, Inc., Class A   35    6,287 
Harmony Biosciences Holdings, Inc.*   258    8,290 
Hartford Financial Services Group, Inc.   355    39,206 
Hawkins, Inc.   49    5,238 
Healthcare Realty Trust, Inc.   67,010    1,151,232 
Hecla Mining Co.   232    1,506 
Herc Holdings, Inc.   2,033    425,182 
Hims & Hers Health, Inc.*   625    11,769 
Holcim AG   770    75,863 
Home Depot, Inc.   150    59,062 
Houlihan Lokey, Inc.   56    9,675 
Hubbell, Inc.   9    3,843 
HubSpot, Inc.*   7    3,884 
Hudson Technologies, Inc.*   1,156    8,867 
Humana, Inc.   50    12,891 
Huntington Ingalls Industries, Inc.1   2,110    390,266 
IDEXX Laboratories, Inc.*   19    7,731 
IDT Corp., Class B   226    10,606 
IES Holdings, Inc.*   43    9,403 
Illumina, Inc.*   8    1,153 
Incyte Corp.*,1   3,881    287,660 
Ingersoll Rand, Inc.   377    36,192 
Inmode Ltd.*   561    9,582 
Innospec, Inc.   83    8,946 
Insulet Corp.*   70    16,207 
Interactive Brokers Group, Inc., Class A   220    33,568 
InterDigital, Inc.   63    9,478 
International Business Machines Corp.1   701    144,911 
Intuit, Inc.   37    22,581 
Investors Title Co.   41    9,482 
iRadimed Corp.   63    3,104 
ITT, Inc.   41    5,745 
Jack Henry & Associates, Inc.   52    9,460 
Jackson Financial, Inc., Class A1   113    11,294 
Jacobs Solutions, Inc.   65    9,138 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Janus Henderson Group PLC   155   $6,403 
John B Sanfilippo & Son, Inc.   99    8,168 
Johnson & Johnson   271    43,322 
Johnson Controls International PLC   4,463    337,180 
JPMorgan Chase & Co.   507    112,513 
Karat Packaging, Inc.   120    3,204 
KB Home   419    32,891 
KBR, Inc.   146    9,783 
Kelly Services, Inc., Class A1   4,636    92,674 
Kforce, Inc.   161    9,304 
Kimco Realty Corp.   75,166    1,782,938 
Kinsale Capital Group, Inc.   21    8,990 
KLA Corp.1   334    222,521 
Kontoor Brands, Inc.   116    9,933 
Kraft Heinz Co.1   29,769    996,071 
Kroger Co.   213    11,879 
Kronos Worldwide, Inc.1   8,561    98,794 
Lam Research Corp.   380    28,253 
Lancaster Colony Corp.   52    9,027 
Landstar System, Inc.   51    8,964 
Lantheus Holdings, Inc.*   84    9,227 
Las Vegas Sands Corp.   35,144    1,822,216 
Lattice Semiconductor Corp.*   177    8,967 
Leidos Holdings, Inc.1   1,601    293,239 
LeMaitre Vascular, Inc.   103    9,104 
Lennar Corp., Class A1   1,483    252,555 
Lennar Corp., Class B   54    8,657 
Lennox International, Inc.   10    6,026 
LGI Homes, Inc.*   71    7,211 
Lifeway Foods, Inc.*   375    9,979 
Lincoln Electric Holdings, Inc.   47    9,050 
Lincoln National Corp.1   16,211    563,332 
Logility Supply Chain Solutions, Inc.   283    2,986 
Louisiana-Pacific Corp.   87    8,604 
Lowe's Cos., Inc.   122    31,943 
Lululemon Athletica, Inc.*   68    20,257 
Magnolia Oil & Gas Corp., Class A   350    8,848 
Manhattan Associates, Inc.*   32    8,428 
MarketAxess Holdings, Inc.   34    9,840 
Marqeta, Inc., Class A*   146,935    831,652 
Marsh & McLennan Cos., Inc.   48    10,476 
Masco Corp.1   3,195    255,312 
MasTec, Inc.*   7,365    905,085 
Mastercard, Inc., Class A   122    60,950 
Match Group, Inc.*   36,322    1,308,682 
McDonald's Corp.   70    20,448 
McKesson Corp.   243    121,643 
MDA Space Ltd.*,1   25,230    385,965 
Medifast, Inc.*   501    9,208 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Medpace Holdings, Inc.*   27   $8,484 
Merck & Co., Inc.1   12,329    1,261,503 
Meritage Homes Corp.   42    7,610 
Meta Platforms, Inc., Class A1   2,200    1,248,676 
Mettler-Toledo International, Inc.*   16    20,668 
MGIC Investment Corp.   363    9,090 
Microchip Technology, Inc.   88    6,457 
Micron Technology, Inc.   334    33,283 
Microsoft Corp.1   3,473    1,411,254 
Miller Industries, Inc.1   2,313    151,825 
MiMedx Group, Inc.*   1,587    10,871 
MKS Instruments, Inc.1   561    55,724 
Molina Healthcare, Inc.*   85    27,304 
Molson Coors Beverage Co., Class B1   8,297    451,938 
Monolithic Power Systems, Inc.   9    6,834 
Monster Beverage Corp.*   24    1,264 
Morgan Stanley   81    9,416 
MSCI, Inc.   17    9,710 
Mueller Industries, Inc.   128    10,492 
Murphy USA, Inc.   21    10,257 
Napco Security Technologies, Inc.   228    8,773 
National CineMedia, Inc.*   1,365    9,814 
National Research Corp.   140    2,538 
Nestle SA, Registered Shares   635    59,989 
Netflix, Inc.*   55    41,582 
Neurocrine Biosciences, Inc.*,1   3,806    457,748 
New York Times Co., Class A   168    9,381 
Newmont Corp.   509    23,129 
NextEra Energy, Inc.   6,903    547,063 
NEXTracker, Inc., Class A*   263    10,473 
NIKE, Inc., Class B   80    6,170 
NMI Holdings, Inc.*   228    8,819 
Northern Trust Corp.1   7,260    729,775 
Novanta, Inc.*   7    1,192 
NRG Energy, Inc.1   6,465    584,436 
NVE Corp.   39    2,939 
nVent Electric PLC   101    7,532 
NVIDIA Corp.1   13,493    1,791,331 
NVR, Inc.*   4    36,611 
Okta, Inc.*   13    935 
Old Dominion Freight Line, Inc.   48    9,663 
Omega Flex, Inc.   61    3,118 
Omnicom Group, Inc.   13    1,313 
ON Semiconductor Corp.*   21,804    1,536,964 
Onto Innovation, Inc.*   45    8,925 
Oracle Corp.   299    50,184 
OraSure Technologies, Inc.*   1,496    6,081 
Outfront Media, Inc.1   14,425    256,188 
Owens Corning1   2,578    455,765 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
PACCAR, Inc.1   11,538   $1,203,183 
Palantir Technologies, Inc., Class A*   232    9,642 
Palo Alto Networks, Inc.*   31    11,170 
Park Hotels & Resorts, Inc.1   1,351    18,765 
Parker-Hannifin Corp.1   830    526,278 
Paychex, Inc.   94    13,097 
Paycom Software, Inc.   55    11,497 
PayPal Holdings, Inc.*   105    8,327 
PC Connection, Inc.   125    7,956 
Pegasystems, Inc.1   3,962    314,741 
Penn Entertainment, Inc.*   98,260    1,940,635 
Perdoceo Education Corp.   432    9,655 
PG&E Corp.   27,392    553,866 
Photronics, Inc.*,1   11,154    254,311 
Pinnacle West Capital Corp.   219    19,230 
Piper Sandler Cos.   32    9,076 
PJT Partners, Inc., Class A   43    5,975 
Powell Industries, Inc.   37    9,434 
PPL Corp.   14,477    471,371 
Primoris Services Corp.   96    6,012 
Procter & Gamble Co.   494    81,599 
Progressive Corp.   57    13,841 
Progyny, Inc.*   558    8,398 
Prologis, Inc.   250    28,235 
PTC, Inc.*   7    1,297 
Public Service Enterprise Group, Inc.   146    13,054 
Public Storage   21    6,910 
PulteGroup, Inc.1   2,389    309,447 
QUALCOMM, Inc.1   4,806    782,273 
Qualys, Inc.*   74    8,824 
Quanta Services, Inc.   2,048    617,738 
Rambus, Inc.*   228    10,903 
Red Violet, Inc.*   107    3,219 
Reliance, Inc.   32    9,163 
ReposiTrak, Inc.   158    3,042 
Republic Services, Inc.   107    21,186 
ResMed, Inc.   39    9,456 
REX American Resources Corp.*   202    9,035 
RH*   7,933    2,523,091 
Rhythm Pharmaceuticals, Inc.*   179    8,544 
RLI Corp.   39    6,083 
Robert Half, Inc.   138    9,399 
Roche Holding AG   64    19,855 
Roche Holding AG   514    174,518 
Rollins, Inc.   186    8,768 
Roper Technologies, Inc.   27    14,519 
Royal Gold, Inc.   123    17,965 
Royalty Pharma PLC, Class A1   1,075    29,025 
RPC, Inc.   1,369    7,776 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
S&P Global, Inc.   70   $33,625 
Salesforce, Inc.   132    38,461 
Sanofi SA   109    11,514 
SBA Communications Corp.1   2,637    605,112 
Schlumberger NV   826    33,098 
Schneider Electric SE   240    61,923 
SEI Investments Co.   131    9,794 
Sempra   348    29,013 
ServiceNow, Inc.*   53    49,448 
Shake Shack, Inc., Class A*   14,668    1,784,656 
Sherwin-Williams Co.   132    47,358 
Shutterstock, Inc.1   8,465    271,642 
SIGA Technologies, Inc.1   4,581    33,075 
Simply Good Foods Co.*   35    1,178 
Skyworks Solutions, Inc.1   1,108    97,039 
Snap-on, Inc.   31    10,234 
Southern Co.   105    9,558 
Southwest Airlines Co.   16,278    497,781 
Spotify Technology SA*   16    6,162 
Sprouts Farmers Market, Inc.*   298    38,272 
SPS Commerce, Inc.*   48    7,920 
Starbucks Corp.   351    34,293 
Sterling Infrastructure, Inc.*   155    23,940 
Steven Madden Ltd.   194    8,724 
Structure Therapeutics, Inc., ADR*   305    12,551 
Sunnova Energy International, Inc.*   18,739    113,746 
Super Micro Computer, Inc.*   50    1,456 
Swiss Re AG   23    2,947 
T. Rowe Price Group, Inc.   85    9,338 
Tactile Systems Technology, Inc.*   648    9,402 
Take-Two Interactive Software, Inc.*   174    28,139 
Target Hospitality Corp.*   1,138    8,489 
Taylor Devices, Inc.*   51    2,398 
Taylor Morrison Home Corp.*   270    18,495 
Tecnoglass, Inc.   131    8,977 
Teledyne Technologies, Inc.*   7    3,187 
Teradyne, Inc.   72    7,647 
Tesla, Inc.*   223    55,717 
Tetra Tech, Inc.   257    12,562 
Texas Pacific Land Corp.   9    10,494 
TG Therapeutics, Inc.*   402    10,074 
TJX Cos., Inc.   358    40,465 
TKO Group Holdings, Inc.*   17,881    2,087,964 
T-Mobile U.S., Inc.   34    7,587 
Toll Brothers, Inc.   131    19,184 
Tradeweb Markets, Inc., Class A   72    9,144 
Trane Technologies PLC   164    60,706 
TransUnion1   1,410    142,833 
Travelers Cos., Inc.   160    39,350 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Trex Co., Inc.*   140   $9,919 
Tri Pointe Homes, Inc.*   352    14,231 
Tyler Technologies, Inc.*   3    1,817 
Tyson Foods, Inc., Class A1   6,149    360,270 
U.S. Lime & Minerals, Inc.   94    10,601 
Uber Technologies, Inc.*,1   9,711    699,678 
Ubiquiti, Inc.   40    10,628 
UFP Industries, Inc.   71    8,686 
UFP Technologies, Inc.*   30    8,010 
Ulta Beauty, Inc.*   24    8,856 
Ultra Clean Holdings, Inc.*,1   3,219    107,676 
United Airlines Holdings, Inc.*   3,106    243,076 
United Parcel Service, Inc., Class B   22,876    3,066,757 
United Rentals, Inc.1   1,530    1,243,584 
United Therapeutics Corp.*   26    9,723 
UnitedHealth Group, Inc.   182    102,739 
Universal Display Corp.   45    8,114 
Universal Health Services, Inc., Class B1   3,215    656,857 
USANA Health Sciences, Inc.*   255    9,420 
Utah Medical Products, Inc.   47    2,979 
VAALCO Energy, Inc.   999    5,335 
Veeva Systems, Inc., Class A*   44    9,189 
VeriSign, Inc.*   50    8,842 
Verisk Analytics, Inc.   13    3,571 
Verizon Communications, Inc.1   66,189    2,788,543 
Vertiv Holdings Co., Class A   1,324    144,700 
VF Corp.   92,947    1,924,932 
Viatris, Inc.1   90,418    1,048,849 
Viking Therapeutics, Inc.*   208    15,088 
Virco Mfg. Corp.   655    9,190 
Visa, Inc., Class A   227    65,796 
Visteon Corp.*   101    9,115 
Vita Coco Co., Inc.*   320    9,475 
Vital Farms, Inc.*   877    30,414 
Voya Financial, Inc.   280    22,484 
Walmart, Inc.   2,168    177,668 
Warrior Met Coal, Inc.   153    9,659 
Waste Connections, Inc.   191    33,764 
Waste Management, Inc.   119    25,686 
Watsco, Inc.   18    8,514 
Watts Water Technologies, Inc., Class A   45    8,577 
WD-40 Co.   36    9,435 
WEC Energy Group, Inc.   105    10,031 
West Pharmaceutical Services, Inc.   32    9,854 
WEX, Inc.*   85    14,671 
Williams-Sonoma, Inc.   3,914    524,985 
Winmark Corp.   24    8,949 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Common stocks—(continued)          
United States—(continued)          
Workday, Inc., Class A*   60   $14,031 
WW Grainger, Inc.   9    9,983 
Wynn Resorts Ltd.   10,551    1,013,107 
Xcel Energy, Inc.   4,855    324,363 
Xerox Holdings Corp.1   11,312    92,419 
XPEL, Inc.*,2   222    8,563 
XPO, Inc.*,1   3,550    463,381 
Yelp, Inc.*   269    9,184 
YETI Holdings, Inc.*   235    8,274 
Ziff Davis, Inc.*,1   5,747    265,914 
Zions Bancorp NA   9,625    501,077 
Zoom Video Communications, Inc., Class A*,1   29,903    2,234,950 
         100,175,205 
Total common stocks
(cost—$140,901,430)
        149,382,588 
           
Preferred stocks—0.1%          
Germany—0.1%          
Bayerische Motoren Werke AG   1,137    83,544 
FUCHS SE   588    27,387 
Henkel AG & Co. KGaA   1,745    151,053 
Total preferred stocks
(cost—$265,768)
        261,984 
           
Exchange traded funds: 1.1%          
iShares GSCI Commodity Dynamic Roll Strategy ETF   89,503    2,352,139 
SPDR Gold Shares   4,875    1,235,861 
Xtrackers Harvest CSI 300 China A-Shares ETF   5,765    158,192 
Total exchange traded funds
(cost—$3,674,213)
        3,746,192 
           
Investment companies—9.5%          
AQR Style Premia Alternative Fund, Class R6   593,919    4,721,653 
Carillon Reams Unconstrained Bond Fund, Class I   1,278,154    15,887,455 
Virtus AlphaSimplex Managed Futures Strategy Fund, Class I   1,315,999    11,330,753 
Total investment companies
(cost—$33,599,334)
        31,939,861 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
warrants
   Value 
Warrant: 0.0%          
Canada—0.0%          
Constellation Software, Inc. expires 03/31/40*,3,4       
(cost—$0)   100   $0 

 

   Face
amount
   Value 
Corporate bonds—6.7%          
Israel—0.7%          
Nice Ltd.          
0.000%, due 09/15/256  $2,500,000    2,368,450 
           
United States—6.0%          
Amyris, Inc.          
0.000%, due 11/15/267   525,000    5,906 
Dropbox, Inc.          
0.000%, due 03/01/266   1,500,000    1,448,627 
Pagaya Technologies Ltd.          
6.125%, due 10/01/292   500,000    560,425 
Palo Alto Networks, Inc.          
0.375%, due 06/01/25   4,000,000    14,445,680 
Tandem Diabetes Care, Inc.          
1.500%, due 05/01/25   1,000,000    967,677 
Transocean, Inc.          
4.625%, due 09/30/29   1,800,000    2,676,600 
         20,104,915 
Total corporate bonds          
(cost—$19,870,831)        22,473,365 

 

   Number of
shares
     
Short term investments—34.4%          
Investment companies—34.4%          
State Street Institutional U.S. Government Money Market Fund, 4.824%8          
(cost—$115,395,358)   115,395,358    115,395,358 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
  Value  
Options Purchased: 0.4%               
Call options: 0.3%               
2 Year USD SOFR Interest Rate Swap,strike @3.746, expires 12/20/24 (Counterparty: MSCI)   75,540,000   $283,275,000   $105,446 
Eurex 10 Year Euro BUND Futures,strike @135.500, expires 11/22/24 (Counterparty: MSCI)   29,000    3,929,500    3,470 
Eurex Dow Jones EURO STOXX 50 Dividend Futures,strike @130.000, expires 12/20/24 (Counterparty: JPMCB)   23,300    3,029,000    774,784 
HKG Hang Seng China Enterprises Index Futures,strike @9,000.000, expires 12/20/24 (Counterparty: JPMCB)   4,700    42,300,000    23,578 
HKG Hang Seng Index Futures,strike @23,000.000, expires 11/15/24 (Counterparty: MSCI)   50    1,150,000    431 
Three-Month SOFR Futures,strike @96.000, expires 12/13/24 (Counterparty: MSCI)   87,500    8,400,000    1,312 
Total             909,021 
Put options: 0.1%               
E-mini S&P 500 European Style Week 3 Option,strike @5,400.000, expires 12/20/24 (Counterparty: MSCI)   1,700    9,180,000    90,100 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
  Value  
Options Purchased—(continued)               
EUR/USD vs. Deutsche Boerse AG German Stock Index DAX,strike @18,714.000, expires 12/20/24 (Counterparty: GSI)   75,000   $1,403,550,000   $5,304 
EUR/USD vs. Deutsche Boerse AG German Stock Index DAX,strike @18,714.000, expires 03/21/25 (Counterparty: GSI)   75,000    1,403,550,000    6,442 
EUR/USD vs. S&P 500,strike @6,000.000, expires 01/17/25 (Counterparty: MSCI)   31,000    186,000,000    956 
EUR/USD vs. USD/JPY,strike @110.000, expires 12/02/24 (Counterparty: CITI)   44,000    4,840,000    138 
FVSA index - Mini-Futures on VSTOXX,strike @17.000, expires 12/18/24 (Counterparty: MSCI)   6,400    108,800    10,268 
GBP/USD vs. USD/CHF,strike @13,093.000, expires 12/02/24 (Counterparty: MSCI)   22,000    288,046,000    497 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @2,048.000, expires 01/06/25 (Counterparty: CITI)   209,000    428,032,000    9,395 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @2,048.000, expires 01/15/25 (Counterparty: CITI)   209,000    428,032,000    9,819 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
  Value  
Options Purchased—(continued)               
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @2,048.000, expires 01/29/25 (Counterparty: CITI)   209,000   $428,032,000   $10,882 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @2,048.000, expires 02/12/25 (Counterparty: CITI)   209,000    428,032,000    11,864 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @2,048.000, expires 02/21/25 (Counterparty: CITI)   209,000    428,032,000    12,059 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @21,260.000, expires 03/21/25 (Counterparty: MSCI)   526,000    11,182,760,000    37,128 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @21,260.000, expires 04/04/25 (Counterparty: MSCI)   526,000    11,182,760,000    36,470 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @208.000, expires 05/27/25 (Counterparty: CITI)   209,000    43,472,000    13,771 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @208.000, expires 06/10/25 (Counterparty: CITI)   209,000    43,472,000    13,292 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
  Value  
Options Purchased—(continued)               
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @208.000, expires 06/24/25 (Counterparty: CITI)   209,000   $43,472,000   $13,440 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @208.000, expires 07/08/25 (Counterparty: CITI)   209,000    43,472,000    13,566 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @21,030.000, expires 09/11/25 (Counterparty: MSCI)   522,000    10,977,660,000    34,463 
iShares MSCI USA Equal Weighted ETF vs. EUR/USD,strike @21,030.000, expires 09/25/25 (Counterparty: MSCI)   522,000    10,977,660,000    33,330 
Lyxor MSCI USA ESG Broad CTB DR UCITS ETF vs. EUR/USD,strike @208.000, expires 07/22/25 (Counterparty: CITI)   209,000    43,472,000    13,179 
USD vs. CNY,strike @72,325.000, expires 02/14/25 (Counterparty: MSCI)   52,000    3,760,900,000    1,331 
USD/CNY vs. SOFR,strike @74,008.000, expires 09/03/25 (Counterparty: GSI)   176,203    13,040,431,624    9,053 
USD/CNY vs. SOFR,strike @74,008.000, expires 10/03/25 (Counterparty: GSI)   176,203    13,040,431,624    9,480 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
  Notional
amount
  Value  
Options Purchased—(continued)               
USD/CNY vs. SOFR,strike @74,008.000, expires 11/03/25 (Counterparty: GSI)   176,203   $13,040,431,624   $9,975 
USD/CNY vs. USD/JPY,strike @705.000, expires 12/16/24 (Counterparty: MSCI)   29,000    20,445,000    342 
USD/MXN vs. S&P 500,strike @566,402.000, expires 12/20/24 (Counterparty: MSCI)   62,000    4,116,924,000    5,245 
Total             411,789 
Total Options Purchased
(cost—$836,671)
             1,320,810 

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—0.7%               
Call options—0.2%               
Call EURO STOXX 50 Index,strike @5,000.000, expires 12/17/27 (Counterparty: JPMCB)   510    2,550,000    238,155 
Call USD vs. Put CNY,strike @7.450, expires 07/17/25 (Counterparty: BOA)   3,130,000    23,318,500    16,407 
Call USD vs. Put JPY,strike @171.000, expires 02/14/25 (Counterparty: JPMCB)   168,000    28,728,000    4,001 
Call USD vs. Put JPY,strike @175.000, expires 02/24/25 (Counterparty: JPMCB)   5,908,000    1,033,900,000    2,310 
Call USD vs. Put TWD,strike @33.500, expires 03/28/25 (Counterparty: JPMCB)   2,353,000    78,825,500    8,287 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Call options—(continued)               
Call USD vs. Put CNY,strike @7.625, expires 12/17/24 (Counterparty: JPMCB)   638,000   $4,867,940   $7,338 
Call USD vs. Put CNY,strike @7.450, expires 11/27/24 (Counterparty: JPMCB)   2,894,000    21,560,300    1,068 
Call USD vs. Put JPY,strike @182.500, expires 06/27/25 (Counterparty: JPMCB)   64,000    11,680,000    1,097 
Call AUD vs. Put JPY,strike @115.000, expires 01/02/25 (Counterparty: JPMCB)   50,000    5,750,000    68 
Call USD vs. Put JPY,strike @164.000, expires 12/20/24 (Counterparty: JPMCB)   13,000    2,132,000    501 
Call EURO STOXX 50 Index,strike @5,250.000, expires 12/20/24 (Counterparty: JPMCB)   680    3,570,000    3,920 
Call S&P 500 Index,strike @5,900.000, expires 12/20/24 (Counterparty: JPMCB)   600    3,540,000    38,520 
Call S&P 500 Index,strike @6,100.000, expires 12/20/24 (Counterparty: JPMCB)   900    5,490,000    14,760 
Call S&P 500 Index,strike @6,300.000, expires 12/20/24 (Counterparty: JPMCB)   1,300    8,190,000    4,420 
Call EURO STOXX 50 Index,strike @5,075.000, expires 12/20/24 (Counterparty: JPMCB)   450    2,283,750    12,874 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Call options—(continued)               
Call EURO STOXX 50 Index,strike @5,375.000, expires 12/20/24 (Counterparty: JPMCB)   900   $4,837,500   $1,371 
Call USD vs. Put CNY,strike @7.700, expires 02/04/25 (Counterparty: JPMCB)   4,474,000    34,449,800    1,700 
Call EUR vs. Put USD,strike @1.170, expires 12/20/24 (Counterparty: JPMCB)   88,000    102,960    485 
Call USD vs. Put MXN,strike @21.900, expires 12/06/24 (Counterparty: JPMCB)   45,000    985,500    6,115 
Call USD vs. Put BRL,strike @6.000, expires 11/07/24 (Counterparty: JPMCB)   717,000    4,302,000    1,877 
Call AUD vs. Put USD,strike @0.730, expires 12/23/24 (Counterparty: JPMCB)   103,000    75,190    291 
Call AUD vs. Put NZD,strike @1.200, expires 10/06/25 (Counterparty: JPMCB)   325,000    390,000    9,282 
Call USD vs. Put CNY,strike @7.150, expires 11/18/24 (Counterparty: JPMCB)   2,275,000    16,266,250    16,976 
Call USD vs. Put CNY,strike @7.350, expires 01/27/25 (Counterparty: JPMCB)   2,137,000    15,706,950    6,285 
Call NOK vs. Put SEK,strike @1.008, expires 11/13/24 (Counterparty: JPMCB)   307,000    310,070    84 
Call USD vs. Put CNY,strike @7.125, expires 11/22/24 (Counterparty: JPMCB)   2,301,000    16,406,130    21,086 
Call USD vs. Put CAD,strike @1.388, expires 11/22/24 (Counterparty: JPMCB)   1,148,000    1,595,720    8,670 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Call options—(continued)               
Call USD vs. Put CNY,strike @7.150, expires 12/12/24 (Counterparty: JPMCB)   1,611,000   $11,518,650   $13,434 
Call USD vs. Put CNY,strike @7.250, expires 11/05/24 (Counterparty: JPMCB)   1,437,000    10,418,250    1 
Call USD vs. Put CNY,strike @7.300, expires 07/16/25 (Counterparty: CITI)   781,000    5,701,300    156,172 
Call USD vs. Put CAD,strike @1.500, expires 02/21/25 (Counterparty: JPMCB)   181,000    271,500    3,454 
Call USD vs. Put SGD,strike @1.334, expires 12/17/24 (Counterparty: JPMCB)   1,158,000    1,540,140    6,245 
Call USD vs. Put JPY,strike @159.000, expires 12/12/24 (Counterparty: JPMCB)   44,000    6,996,000    5,234 
Call USD vs. Put JPY,strike @158.000, expires 11/06/24 (Counterparty: JPMCB)   1,058,000    167,164,000    180 
Call USD vs. Put MXN,strike @21.500, expires 11/22/24 (Counterparty: JPMCB)   46,000    989,000    7,741 
Call USD vs. Put CNY,strike @7.200, expires 11/27/24 (Counterparty: JPMCB)   651,000    4,687,200    3,191 
Call USD vs. Put SGD,strike @1.385, expires 04/04/25 (Counterparty: JPMCB)   239,000    332,210    18,072 
Call EUR vs. Put GBP,strike @0.860, expires 12/13/24 (Counterparty: JPMCB)   49,000    42,140    9,281 
Total             650,953 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Put options—0.5%               
Put EURO STOXX 50 Index,strike @5,000.000, expires 12/19/25 (Counterparty: JPMCB)   330   $1,650,000   $146,921 
Put EURO STOXX 50 Index,strike @4,400.000, expires 12/17/27 (Counterparty: JPMCB)   1,840    8,096,000    725,329 
Call INR vs. Put CNY,strike @11.465, expires 06/20/25 (Counterparty: SCB)   46,202,000    529,936,940    24,634 
Call JPY vs. Put USD,strike @110.000, expires 12/02/26 (Counterparty: JPMCB)   292,000    32,120,000    11,845 
Call JPY vs. Put USD,strike @110.000, expires 12/02/26 (Counterparty: JPMCB)   47,000    5,170,000    1,906 
Call TRY vs. Put USD,strike @32.000, expires 01/09/25 (Counterparty: JPMCB)   30,000    960,000    44 
Call TRY vs. Put USD,strike @34.500, expires 02/21/25 (Counterparty: JPMCB)   648,000    22,356,000    1,292 
Call TRY vs. Put USD,strike @35.000, expires 03/04/25 (Counterparty: JPMCB)   657,000    22,995,000    2,201 
Call JPY vs. Put GBP,strike @190.000, expires 11/08/24 (Counterparty: JPMCB)   192,000    36,480,000    19,974 
Put Pagaya Technologies Ltd.,strike @6.000, expires 05/16/25 (Counterparty: MSCI)   12,500    75,000    3,125 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Put options—(continued)               
Put Pagaya Technologies Ltd.,strike @5.000, expires 02/21/25 (Counterparty: MSCI)   12,500   $62,500   $1,250 
Put SPDR S&P 500 ETF Trust,strike @578.000, expires 11/01/24 (Counterparty: WF)   800    462,400    6,864 
Put SPDR S&P 500 ETF Trust,strike @569.000, expires 11/04/24 (Counterparty: GS)   1,400    796,600    4,676 
Call USD vs. Put EUR,strike @1.080, expires 11/15/24 (Counterparty: JPMCB)   248,000    267,840    92,829 
Call USD vs. Put EUR,strike @1.080, expires 11/29/24 (Counterparty: JPMCB)   991,000    1,070,280    367,673 
Call USD vs. Put NZD,strike @0.578, expires 11/22/24 (Counterparty: JPMCB)   443,000    256,940    34,130 
Call USD vs. Put NZD,strike @0.590, expires 11/29/24 (Counterparty: JPMCB)   597,000    352,230    111,885 
Call USD vs. Put EUR,strike @1.050, expires 01/31/25 (Counterparty: JPMCB)   35,000    36,750    4,686 
Call JPY vs. Put USD,strike @120.000, expires 09/03/25 (Counterparty: JPMCB)   44,000    5,280,000    1,255 
Call JPY vs. Put USD,strike @130.000, expires 12/06/24 (Counterparty: JPMCB)   28,000    3,640,000    61 
Call JPY vs. Put USD,strike @120.500, expires 09/09/25 (Counterparty: JPMCB)   176,000    21,208,000    5,448 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Put options—(continued)               
Call JPY vs. Put USD,strike @135.000, expires 12/13/24 (Counterparty: GSI)   15,000   $2,025,000   $205 
Call USD vs. Put GBP,strike @1.280, expires 01/10/25 (Counterparty: JPMCB)   264,000    337,920    126,491 
Call CHF vs. Put EUR,strike @0.910, expires 12/20/24 (Counterparty: JPMCB)   63,000    57,330    6,322 
Call JPY vs. Put USD,strike @146.000, expires 11/05/24 (Counterparty: JPMCB)   1,148,000    167,608,000    21 
Call CHF vs. Put GBP,strike @1.050, expires 02/14/25 (Counterparty: JPMCB)   55,000    57,750    7,867 
Call USD vs. Put GBP,strike @1.220, expires 01/14/25 (Counterparty: JPMCB)   32,000    39,040    3,065 
Call USD vs. Put GBP,strike @1.280, expires 11/14/24 (Counterparty: JPMCB)   966,000    1,236,480    7,075 
Call USD vs. Put GBP,strike @1.291, expires 11/05/24 (Counterparty: JPMCB)   1,154,000    1,488,660    9,827 
Call USD vs. Put EUR,strike @1.078, expires 11/01/24 (Counterparty: JPMCB)   1,008,000    1,088,640    113 
Call USD vs. Put EUR,strike @1.080, expires 11/20/24 (Counterparty: JPMCB)   1,001,000    1,081,080    5,746 
Call TRY vs. Put EUR,strike @37.000, expires 01/29/25 (Counterparty: JPMCB)   49,000    1,813,000    4,101 

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
contracts
   Notional
amount
   Value 
Equity and foreign exchange options purchased—(continued)               
Put options—(continued)               
Call CAD vs. Put USD,strike @1.363, expires 11/27/24 (Counterparty: JPMCB)   3,581,000   $4,870,160   $2,786 
Call USD vs. Put EUR,strike @1.060, expires 11/27/24 (Counterparty: JPMCB)   716,000    758,960    1,296 
Total             1,742,943 
Total equity and foreign exchange options purchased
(cost—$2,253,607)
             2,393,896 
Total Investments before Investments Sold Short
(cost—$316,797,212)—97.4%
             326,914,054 

 

   Number of
shares
     
Investments sold short—(22.6%)          
Common stocks—(19.5%)          
Australia—(0.3%)          
De Grey Mining Ltd.   (419,698)   (421,210)
Liontown Resources Ltd.   (467,334)   (253,731)
Lynas Rare Earths Ltd.   (59,588)   (298,033)
Washington H Soul Pattinson & Co. Ltd.   (9,786)   (215,552)
         (1,188,526)
Canada—(3.0%)          
ARC Resources Ltd.   (4,080)   (67,573)
ATS Corp.   (3,850)   (115,388)
Baytex Energy Corp.   (60,190)   (169,890)
BCE, Inc.   (6,300)   (203,115)
Boston Pizza Royalties Income Fund   (4,430)   (55,138)
CAE, Inc.   (12,860)   (226,287)
Cameco Corp.   (1,600)   (83,611)
Canadian National Railway Co.   (2,900)   (313,150)
Canadian Tire Corp. Ltd.   (2,000)   (212,834)
Cogeco Communications, Inc.   (12,860)   (647,918)
CT Real Estate Investment Trust   (30,230)   (330,666)
Emera, Inc.   (5,560)   (210,045)
Fortis, Inc.   (5,310)   (229,699)
Franco-Nevada Corp.   (1,380)   (183,071)
Granite Real Estate Investment Trust   (2,800)   (152,795)
H&R Real Estate Investment Trust   (37,710)   (286,275)
Hydro One Ltd.   (13,020)   (419,210)
IGM Financial, Inc.   (13,200)   (396,564)
Imperial Oil Ltd.   (8,180)   (610,408)
Intact Financial Corp.   (2,780)   (530,902)
Ivanhoe Mines Ltd.   (5,100)   (67,434)
Kinaxis, Inc.   (1,500)   (166,596)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Canada—(continued)          
Lithium Americas Corp.   (88,401)  $(359,356)
Mattr Corp.   (6,480)   (56,546)
Metro, Inc.   (4,090)   (242,900)
Pet Valu Holdings Ltd.   (6,320)   (115,611)
PrairieSky Royalty Ltd.   (24,930)   (498,833)
Precision Drilling Corp.   (4,850)   (291,310)
RioCan Real Estate Investment Trust   (45,100)   (615,434)
StorageVault Canada, Inc.   (58,700)   (171,587)
TELUS Corp.   (25,020)   (395,511)
Toromont Industries Ltd.   (3,960)   (349,826)
Total Energy Services, Inc.   (13,050)   (90,165)
Trican Well Service Ltd.   (77,750)   (257,985)
Vermilion Energy, Inc.   (14,640)   (136,480)
Whitecap Resources, Inc.   (34,380)   (256,551)
WSP Global, Inc.   (3,400)   (607,719)
         (10,124,383)
Denmark—(0.0%)          
Zealand Pharma AS   (1,215)   (140,054)
           
Finland—(0.2%)          
Neste OYJ   (34,339)   (548,331)
           
France—(0.3%)          
Edenred SE   (5,412)   (173,958)
Sartorius Stedim Biotech   (3,465)   (690,867)
         (864,825)
Germany—(0.2%)          
Mercedes-Benz Group AG   (3,727)   (225,810)
Thyssenkrupp Nucera AG & Co. KGaA   (34,019)   (350,800)
         (576,610)
Israel—(0.1%)          
Mobileye Global, Inc.   (3,655)   (49,744)
Nice Ltd.   (800)   (138,960)
         (188,704)
Japan—(0.2%)          
Astellas Pharma, Inc.   (27,800)   (328,517)
Eisai Co. Ltd.   (3,900)   (132,909)
M3, Inc.   (29,200)   (304,703)
Yakult Honsha Co. Ltd.   (3,100)   (67,697)
         (833,826)
Netherlands—(0.1%)          
OCI NV   (22,137)   (268,848)
           
South Korea—(0.1%)          
Delivery Hero SE   (6,871)   (290,811)
           
Spain—(0.2%)          
Cellnex Telecom SA   (18,631)   (682,960)
           
Sweden—(0.3%)          
EQT AB   (14,407)   (417,827)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Sweden—(continued)          
Nibe Industrier AB   (99,597)  $(480,853)
         (898,680)
Switzerland—(0.0%)          
ABB Ltd.   (1,783)   (98,901)
           
United Kingdom—(0.2%)          
Ashtead Group PLC   (8,252)   (615,875)
Oxford Nanopore Technologies PLC   (45,247)   (78,472)
         (694,347)
United States—(14.2%)          
Advanced Drainage Systems, Inc.   (2,200)   (329,736)
AECOM   (1,210)   (129,228)
Albemarle Corp.   (4,037)   (382,425)
Alcoa Corp.   (12,794)   (512,911)
American Airlines Group, Inc.   (11,660)   (156,244)
American Eagle Outfitters, Inc.   (57,565)   (1,127,698)
American Water Works Co., Inc.   (1,585)   (218,904)
Apple, Inc.   (750)   (169,433)
Applied Digital Corp.   (6,636)   (44,859)
Archer Aviation, Inc.   (44,938)   (141,555)
Armstrong World Industries, Inc.   (127)   (17,723)
Arthur J Gallagher & Co.   (1,094)   (307,633)
Atlassian Corp.   (839)   (158,185)
Badger Meter, Inc.   (2,490)   (498,124)
Ball Corp.   (7,947)   (470,860)
Blackstone Mortgage Trust, Inc.   (2,288)   (41,664)
Boeing Co.   (4,173)   (623,071)
Booking Holdings, Inc.   (30)   (140,288)
Booz Allen Hamilton Holding Corp.   (1,556)   (282,663)
BorgWarner, Inc.   (1,466)   (49,302)
BRP, Inc.   (1,490)   (73,465)
Brunswick Corp.   (1,520)   (121,205)
Campbell Soup Co.   (8,010)   (373,667)
CarMax, Inc.   (3,590)   (259,844)
Caterpillar, Inc.   (683)   (256,945)
CBRE Group, Inc.   (990)   (129,660)
Celsius Holdings, Inc.   (5,635)   (169,501)
CH Robinson Worldwide, Inc.   (1,580)   (162,803)
ChargePoint Holdings, Inc.   (43,588)   (52,306)
Consolidated Edison, Inc.   (6,131)   (623,400)
Copart, Inc.   (8,040)   (413,819)
Corning, Inc.   (4,000)   (190,360)
CoStar Group, Inc.   (4,171)   (303,607)
Cracker Barrel Old Country Store, Inc.   (3,600)   (171,252)
Cushman & Wakefield PLC   (8,230)   (111,517)
Dayforce, Inc.   (4,594)   (325,944)
Deere & Co.   (1,749)   (707,803)
Delta Air Lines, Inc.   (1,220)   (69,808)
Dow, Inc.   (1,846)   (91,155)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
United States—(continued)          
DraftKings, Inc.   (7,844)  $(277,050)
Dropbox, Inc.   (7,800)   (201,630)
DTE Energy Co.   (1,894)   (235,273)
Dycom Industries, Inc.   (1,937)   (337,677)
Energy Fuels, Inc.   (58,600)   (353,953)
Enovix Corp.   (16,605)   (149,528)
Enphase Energy, Inc.   (4,170)   (346,277)
Evercore, Inc.   (2,844)   (751,299)
Evolv Technologies Holdings, Inc.   (20,017)   (43,037)
Exact Sciences Corp.   (6,521)   (449,493)
Expeditors International of Washington, Inc.   (1,440)   (171,360)
EyePoint Pharmaceuticals, Inc.   (26,041)   (306,242)
General Electric Co.   (833)   (143,093)
General Mills, Inc.   (5,230)   (355,745)
Globalstar, Inc.   (77,028)   (80,879)
Goldman Sachs Group, Inc.   (1,465)   (758,562)
Graco, Inc.   (2,770)   (225,617)
Hershey Co.   (960)   (170,477)
Honeywell International, Inc.   (788)   (162,076)
Hub Group, Inc.   (6,470)   (280,733)
Illinois Tool Works, Inc.   (393)   (102,624)
IonQ, Inc.   (26,032)   (391,261)
Joby Aviation, Inc.   (14,490)   (69,552)
Kennametal, Inc.   (9,450)   (239,274)
Kinder Morgan, Inc.   (1,669)   (40,907)
Kohl's Corp.   (6,920)   (127,882)
Korn Ferry   (3,607)   (254,835)
Kraft Heinz Co.   (14,161)   (473,827)
Lennar Corp.   (728)   (123,978)
Lennox International, Inc.   (83)   (50,013)
Lightwave Logic, Inc.   (63,029)   (198,541)
Liquidia Corp.   (2,452)   (26,604)
Lithia Motors, Inc.   (620)   (206,069)
Lockheed Martin Corp.   (433)   (236,440)
Luminar Technologies, Inc.   (118,659)   (92,008)
Magnite, Inc.   (130)   (1,622)
Markel Group, Inc.   (90)   (138,781)
Martin Marietta Materials, Inc.   (1,390)   (823,353)
Masco Corp.   (3,012)   (240,689)
McDonald's Corp.   (630)   (184,029)
Moderna, Inc.   (9,408)   (511,419)
MongoDB, Inc.   (1,974)   (533,770)
MP Materials Corp.   (12,292)   (221,133)
NextDecade Corp.   (13,187)   (77,012)
NuScale Power Corp.   (271)   (5,187)
Oklo, Inc.   (262)   (5,885)
Old Dominion Freight Line, Inc.   (1,920)   (386,534)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
United States—(continued)          
ONEOK, Inc.   (424)  $(41,077)
O'Reilly Automotive, Inc.   (330)   (380,536)
Oshkosh Corp.   (2,284)   (233,516)
Pagaya Technologies Ltd.   (26,800)   (308,736)
Palo Alto Networks, Inc.   (40,320)   (14,528,506)
PepsiCo, Inc.   (840)   (139,507)
Pliant Therapeutics, Inc.   (7,820)   (110,027)
Plug Power, Inc.   (70,186)   (137,565)
Polaris, Inc.   (1,640)   (114,652)
Post Holdings, Inc.   (4,373)   (477,575)
PPL Corp.   (19,767)   (643,614)
Public Service Enterprise Group, Inc.   (1,754)   (156,825)
PureCycle Technologies, Inc.   (12,945)   (168,544)
QuantumScape Corp.   (3,603)   (18,555)
Rivian Automotive, Inc.   (16,772)   (169,397)
RTX Corp.   (2,015)   (243,795)
Rumble, Inc.   (4,667)   (27,255)
Saia, Inc.   (420)   (205,216)
Samsara, Inc.   (4,125)   (197,134)
Schrodinger, Inc.   (5,865)   (103,195)
SEI Investments Co.   (2,450)   (183,162)
Snowflake, Inc.   (2,148)   (246,633)
SolarEdge Technologies, Inc.   (1,419)   (24,208)
Southern Co.   (1,157)   (105,322)
T. Rowe Price Group, Inc.   (1,470)   (161,494)
Talen Energy Corp.   (542)   (98,297)
Terex Corp.   (1,850)   (95,664)
Tesla, Inc.   (271)   (67,709)
Thor Industries, Inc.   (1,640)   (170,691)
Toast, Inc.   (18,314)   (549,969)
Toro Co.   (1,240)   (99,795)
Trane Technologies PLC   (139)   (51,452)
Transocean Ltd.   (392,487)   (1,703,394)
TransUnion   (449)   (45,484)
Ulta Beauty, Inc.   (3,124)   (1,152,694)
United Parcel Service, Inc.   (1,770)   (237,286)
Upstart Holdings, Inc.   (2,274)   (110,698)
Uranium Energy Corp.   (649)   (4,816)
Visa, Inc.   (810)   (234,779)
Vistra Corp.   (869)   (108,590)
Vulcan Materials Co.   (2,650)   (725,914)
Waste Connections, Inc.   (1,050)   (185,612)
WEC Energy Group, Inc.   (2,163)   (206,631)
Williams Cos., Inc.   (939)   (49,175)
Winnebago Industries, Inc.   (1,330)   (74,533)
WK Kellogg Co.   (16,920)   (281,380)
Zillow Group, Inc.   (5,286)   (317,636)
         (47,672,042)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)          
Common stocks—(continued)          
Zambia—(0.1%)          
First Quantum Minerals Ltd.   (30,600)  $(395,370)
Total common stocks
(proceeds—$(60,675,890))
        (65,467,218)
           
Preferred stocks—(0.1%)          
Germany—(0.1%)          
Sartorius AG   (394)  $(101,872)
Dr. Ing hc F Porsche AG   (1,841)   (129,445)
Volkswagen AG   (245)   (23,702)
         (255,019)
Total preferred stocks
(proceeds—$(267,885))
        (255,019)
           
Exchange traded funds: (3.0)%          
BMO S&P 500 Index ETF   (9,200)   (573,468)
iShares MSCI USA Momentum Factor ETF   (2,310)   (467,567)
SPDR S&P 500 ETF Trust   (5,010)   (2,848,886)
Industrial Select Sector SPDR Fund   (13,551)   (1,813,530)
Invesco QQQ Trust   (330)   (159,670)
iShares Russell 2000 ETF   (1,610)   (350,594)
iShares Core S&P/TSX Capped Composite Index ETF   (87,700)   (2,426,891)
SPDR Dow Jones Industrial Average ETF Trust   (1,470)   (613,975)
iShares U.S. Real Estate ETF   (6,290)   (618,370)
iShares MSCI Brazil ETF   (3,190)   (88,618)
iShares S&P/TSX Capped Energy Index ETF   (16,070)   (201,286)
Total exchange traded funds
(proceeds—$(9,169,653))
        (10,162,855)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

   Number of
shares
   Value 
Investments sold short—(continued)                 
Total investments sold short
(proceeds—$(70,113,428))
        (75,885,092)
Other assets in excess of liabilities—25.2%        84,624,409 
Net Assets—100.0%       $335,653,371 

 

For a listing of defined portfolio acronyms that are used throughout the Portfolio of investments as well as the tables that follow, please refer to the Glossary of terms used in the Portfolio of investments.

 

Options written

 

Notional
amount
  Number of
contracts
   Call options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR 3,262,000   23,300   Call Eurex Dow Jones EURO STOXX 50 Dividend Futures, strike @ 140.000  BNP  12/20/24  $84,398   $(522,352)  $(437,954)
EUR 1,650,000   330   Call EURO STOXX 50 Index, strike @ 5,000.000  JPMCB  12/19/25   131,158    (83,709)   47,449 
GBP 528,783,500   151,081,000   Call 2 Year USD SOFR Interest Rate Swap, strike @ 3.496  MSCI  12/20/24   (1)   (109,470)   (109,471)
HKD 1,200,000   50   Call HKG Hang Seng China Enterprises Index Futures, strike @ 24,000.000  MSCI  11/15/24   747    (206)   541 
HKD 47,000,000   4,700   Call HKG Hang Seng China Enterprises Index Futures, strike @ 10,000.000  JPMCB  12/20/24   47,823    (7,255)   40,568 
Total                  $264,125   $(722,992)  $(458,867)

 

 

 

 

PACE Alternative Strategies Investments

Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
  Number of
contracts
   Put options  Counterparty  Expiration
date
  Premiums
received
   Current
Value
   Unrealized
appreciation
(depreciation)
 
EUR 1,078,560   1,008,000   Call USD vs. Put EUR, strike @ 1.068  JPMCB  11/01/24  $786   $(1)  $785 
EUR 751,800   716,000   Call USD vs. Put EUR, strike @ 1.045  JPMCB  11/27/24   1,085    (432)   653 
EUR 655,500   6,900   Put Eurex Dow Jones EURO STOXX 50 Dividend Futures, strike @ 95.000  JPMCB  12/20/24   31,094    (75)   31,019 
EUR 3,120,000   31,200   Put Eurex Dow Jones EURO STOXX 50 Dividend Futures, strike @ 100.000  JPMCB  12/20/24   106,368    (339)   106,029 
EUR 2,563,000   23,300   Put Eurex Dow Jones EURO STOXX 50 Dividend Futures, strike @ 110.000  BNP  12/20/24   103,602    (253)   103,349 
EUR 108,800   6,400   Put FVSA index - Mini-Futures on VSTOXX, strike @ 17.000  MSCI  01/22/25   10,605    (9,746)   859 
EUR 5,808,000   1,320   Put EURO STOXX 50 Index, strike @ 4,400.000  JPMCB  12/19/25   250,596    (270,941)   (20,345)
EUR 2,550,000   510   Put EURO STOXX 50 Index, strike @ 5,000.000  JPMCB  12/17/27   293,104    (336,125)   (43,021)
GBP 1,217,160   966,000   Call USD vs. Put GBP, strike @ 1.255  JPMCB  11/14/24   1,066    (1,938)   (872)
USD 451,200   800   Put SPDR S&P 500 ETF Trust, strike @ 564.000  WF  11/01/24   696    (616)   80 
Total            $799,002   $(620,466)  $178,536 
Total options written            $1,063,127   $(1,343,458)  $(280,331)

 

Futures contracts

 

Number of
contracts
   Currency  Expiration
date
  Current
notional
amount
   Value   Unrealized
appreciation
(depreciation)
 
Index futures buy contracts:
1   USD CBOE Volatility Index Futures  November 2024  $18,700   $20,958   $2,258 
1   USD E-mini Dow Jones Industrial Average Index Futures  December 2024   210,280    209,735    (545)
3   EUR EURO Schatz 2 Year Index Futures  December 2024   348,832    347,666    (1,166)
30   EUR EURO STOXX 50 Index Futures  December 2024   1,606,998    1,577,455    (29,543)
8   EUR EURO STOXX 50 Index Futures  December 2026   129,050    132,618    3,568 
2   EUR EURO STOXX 600 Index Futures  December 2024   56,399    55,073    (1,326)
4   EUR Euronext CAC 40 Index Futures  November 2024   330,036    320,277    (9,759)
31   GBP FTSE 100 Index Futures  December 2024   3,276,741    3,248,603    (28,138)
1   EUR FTSE MIB Index Futures  December 2024   188,181    185,331    (2,850)
3   ZAR FTSE/JSE Top 40 Index Futures  December 2024   132,333    132,694    361 
7   EUR FVSA index—Mini-Index Futures on VSTOXX  November 2024   14,364    15,000    636 
5   HKD Hang Seng China Enterprises Index Futures  December 2024   241,377    234,786    (6,591)
3   HKD Hang Seng China Enterprises Index Futures  November 2024   143,014    140,486    (2,528)
9   HKD Hang Seng China Enterprises Index Futures  November 2024   1,192,460    1,177,950    (14,510)
24   KRW KOSPI 200 Index Futures  December 2024   1,519,033    1,482,609    (36,424)
2   EUR MEFF Madrid IBEX 35 Index Futures  November 2024   258,368    253,409    (4,959)
5   EUR Mini-DAX Index Futures  December 2024   520,935    520,815    (120)
12   SGD MSCI Singapore Index Futures  November 2024   315,455    308,065    (7,390)
60   JPY OSE Nikkei 225 Mini Index Futures  December 2024   1,506,464    1,542,451    35,987 
1   USD Russell 2000 Value Index Futures  December 2024   114,670    110,430    (4,240)
19   GBP Russell U.K. Mid 150 Net Return Index Futures  December 2024   1,351,548    1,277,362    (74,186)

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Number of
contracts
  Currency  Expiration
date
  Current
notional
amount
   Value  Unrealized
appreciation
(depreciation)
 
20  USD S&P 500 Index Futures  December 2024  $5,810,383   $5,738,500  $(71,883)
3  AUD S&P ASX Share Price Index 200 Futures  December 2024   407,627    403,251   (4,376)
4  CAD S&P/TSX 60 Index Futures  December 2024   829,607    831,572   1,965 
68  USD SGX FTSE China A50 Index Futures  November 2024   921,565    898,892   (22,673)
11  SEK Stockholm OMXS30 Index Futures  November 2024   268,044    261,642   (6,402)
10  JPY TSE TOPIX Index Futures  December 2024   1,747,696    1,773,397   25,701 
Interest rate futures buy contracts:
83  USD Australian Dollar Currency Futures  December 2024  $5,538,356   $5,459,325  $(79,031)
14  CAD Canadian Bond 2 Year Futures  December 2024   1,053,767    1,053,305   (462)
19  EUR Eurex Short-term Euro-BTP Futures  December 2024   2,221,882    2,208,709   (13,173)
9  EUR EURO Bobl 5 Year Index Future  December 2024   1,159,302    1,156,659   (2,643)
34  USD Euro Foreign Exchange Currency Futures  December 2024   4,621,841    4,628,250   6,409 
4  EUR Italian Government Bond Futures  December 2024   526,319    520,162   (6,157)
1  JPY Japan Government Bond 10 Year Futures  December 2024   954,258    948,993   (5,265)
38  USD Japanese Yen Currency Futures  December 2024   3,228,808    3,141,175   (87,633)
5  KRW Korea Treasury Bond 10 Year Futures  December 2024   424,369    421,123   (3,246)
12  KRW Korea Treasury Bond 3 Year Futures  December 2024   923,281    920,435   (2,846)
4  USD New Zealand Dollar Currency Futures  December 2024   239,457    238,820   (637)
7  USD Norwegian Krone Currency Futures  December 2024   1,282,046    1,272,250   (9,796)
21  USD Swedish Krona Currency Futures  December 2024   3,969,010    3,944,850   (24,160)
59  GBP United Kingdom Long Gilt Bond Futures  December 2024   7,320,352    7,154,337   (166,015)
U.S. Treasury futures buy contracts:
110  USD U.S. Treasury Note 10 Year Futures  December 2024  $12,184,854   $12,151,562  $(33,292)
28  USD U.S. Treasury Note 2 Year Futures  December 2024   5,789,406    5,766,469   (22,937)
4  USD Ultra U.S. Treasury Note 10 Year Futures  December 2024   463,406    455,000   (8,406)
Total          $75,360,874   $74,642,451  $(718,423)
Index futures sell contracts:
2  EUR EURO STOXX 50 Index Futures  December 2024  $(106,467)  $(105,164) $1,303 
79  EUR EURO STOXX 600 Index Futures  December 2024   (2,238,604)   (2,175,374)  63,230 
303  EUR EURO STOXX Banks Index Futures  December 2024   (2,378,482)   (2,379,627)  (1,145)
4  EUR Euronext CAC 40 Index Futures  December 2024   (328,901)   (320,951)  7,950 
5  JPY MSCI Emerging Markets Index Futures  December 2024   (930,387)   (901,200)  29,187 
2  GBP Financial Times Stock Index Futures  December 2024   (108,536)   (105,405)  3,131 
17  USD Russell 2000 Value Index Futures  December 2024   (1,881,432)   (1,877,310)  4,122 
16  USD TSE Mini Topix Index Futures  December 2024   (84,531)   (88,670)  (4,139)
Interest rate futures sell contracts:
8  AUD Australian Bond 10 Year Futures  December 2024  $(599,631)  $(588,839) $10,792 
9  AUD Australian Bond 3 Year Futures  December 2024   (626,170)   (625,295)  875 
1  CAD Canadian Bond 10 Year Futures  December 2024   (87,615)   (87,615)   
35  EUR Euro Bund 10 Year Futures  December 2024   (5,051,646)   (5,017,790)  33,856 
5  EUR French Government Bond Futures  December 2024   (682,520)   (677,995)  4,525 
2  EUR German Euro Buxl 30 Year Futures  December 2024   (295,280)   (287,949)  7,331 
U.S. Treasury futures sell contracts:
11  USD British Pound Currency Futures  December 2024  $(891,267)  $(885,569) $5,698 
10  USD Mexican Peso Currency Futures  December 2024   (248,205)   (247,950)  255 
4  USD Swiss Franc Currency Futures  December 2024   (585,699)   (581,350)  4,349 
6  USD U.S. Treasury Note 5 Year Futures  December 2024   (644,258)   (643,406)  852 
7  USD Ultra U.S. Treasury Bond Futures  December 2024   (894,031)   (879,375)  14,656 
Total          $(18,663,662)  $(18,476,834) $186,828 
Net unrealized appreciation (depreciation)              $(531,595)

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Centrally cleared credit default swap agreements on credit indices—buy protection10

 

Referenced obligations  Implied
credit
spread as of
October 31,
2024*
  Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
made by
the
Portfolio9
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
CDX.EM.S42  N/A  USD2,314  12/20/29  Quarterly   1.000%  $(69,725)  $67,197   $(2,528)
CDX.NA.HY.S43  N/A  USD889  12/20/29  Quarterly   5.000    71,368    (66,144)   5,224 
Total                    $1,643   $1,053   $2,696 

 

Centrally cleared credit default swap agreements on credit indices—sell protection11

 

Referenced obligations  Implied
credit
spread as of
October 31,
2024
*
  Notional
amount
(000)
  Maturity
date
  Payment
frequency
  Payments
received by
the
Portfolio9
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
CDX.NA.HY.S43  N/A  USD889  12/20/29  Quarterly   5.000%  $(525 )  $5,129   $ 4,604  
CDX.NA.IG.S43  N/A  USD2,200  12/20/29  Quarterly   1.000    (38,247 )   49,215     10,968  
Total                    $(38,772 )  $54,344   $ 15,572  

 

* Implied credit spreads, represented in absolute terms, used in determining the market value of credit default swap agreements on corporate issues or sovereign issues as of period end serve as an indicator of the current status of the payment/performance risk and represent the likelihood or risk of default for the credit derivative. The implied credit spread of a particular reference entity reflects the cost of buying/selling protection and may include upfront payments required to be made to enter into the agreement. Wider credit spreads represent a deterioration of the reference entity’s credit soundness and greater likelihood or risk of default or other credit event occurring as defined under the terms of the agreement.

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Centrally cleared interest rate swap agreements

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
 
  Payments
made by
the
portfolio9
  Payments
received by
the
portfolio9
      Value     Unrealized
appreciation
(depreciation)
 
AUD 1,649   07/31/26   Semi-annual   1 day GBP SONIA   4.146%       $ (125 )   $ (3,432 )
BRL 137,274   01/02/26   At Maturity   1 day BRL CDI   11.205         (299,268 )     (187,588 )
CHF 462   12/18/34   Annual   1 day CHF SARON   0.738         10,940       8,119  
CNY 222,676   12/18/26   Quarterly   7 day
CNY Repo Fixing
  1.527         (65,595 )     (65,595 )
CNY 91,442   12/18/29   Quarterly   1.630%   7 day CNY RepoFixing         84,729       84,729  
CNY 22,345   12/18/29   Quarterly   7 day CNY Repo Fixing   1.815         6,654       (844 )
EUR 407   10/15/29   At Maturity   1.80   Eurostat Eurozone HICP ex-Tobacco NSA         640       (23 )
GBP 48,585   09/18/26   Annual   1 day GBP SONIA   4.059         (322,763 )     (350,699 )
GBP 24,800   12/18/26   Annual   1 day GBP SONIA   3.550         (392,739 )     (392,739 )
GBP 3,566   12/18/26   Annual   1 day GBP SONIA   3.742         (40,345 )     (28,381 )
INR 27,000   12/18/29   Semi-annual   6 mo. INR MIBOR   6.024         (3,511 )     (3,684 )
JPY 1,579,658   06/19/26   Annual   0.426   1 day JPY TONA         2,676       65  
JPY 3,434,100   06/19/26   Annual   0.447   1 day JPY TONA         (3,731 )     (3,731 )
JPY 2,307,086   09/18/26   Annual   0.534   1 day JPY TONA         (10,321 )     (10,321 )
JPY 2,307,085   09/18/26   Annual   0.490   1 day JPY TONA         3,107       3,107  
JPY 4,219,450   12/18/26   Annual   0.485   1 day JPY TONA         39,909       34,111  
JPY 1,086,000   12/18/26   Annual   0.541   1 day JPY TONA         2,301       2,301  
JPY 720,864   12/18/26   Annual   0.509   1 day JPY TONA         3,431       3,246  
JPY 1,399,955   12/20/28   Annual   0.580   1 day JPY TONA         (19,662 )     (19,662 )
JPY 120,000   03/21/29   Annual   0.584   1 day JPY TONA         (56 )     (56 )
JPY 290,000   06/19/29   Annual   0.550   1 day JPY TONA         6,634       3,935  
JPY 300,000   06/19/29   Annual   0.656   1 day JPY TONA         (3,435 )     (3,435 )
JPY 1,892,000   09/18/29   Annual   0.559   1 day JPY TONA         60,366       60,366  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Notional
amount
(000)
  Maturity
date
  Payment
frequency
 
  Payments
made by
the
portfolio9
  Payments
received by
the
portfolio9
    Value       Unrealized
appreciation
(depreciation)
 
 
KRW 28,800,000   12/18/27   Quarterly   3 mo. KRW COD Rate   2.725%   $ (134,500 )   $ (134,500 )
MXN 28,489   12/16/26   Monthly   28 day TIIE-Banxico   8.934       (20,778 )     (17,353 )
MXN 14,695   12/06/34   Monthly   8.751%   28 day TIIE-Banxico       38,353       10,516  
NOK 17,213   12/18/26   Semi-annual   3.604   6 mo.NOK NIBOR       19,611       11,522  
NOK 7,560   12/18/34   Semi-annual   3.373   6 mo.NOK NIBOR       33,210       6,539  
NZD 8,717   12/18/26   Semi-annual   3 mo. NZD Bank Bill   3.497       (7,155 )     (9,737 )
NZD 503   12/18/29   Semi-annual   3 mo. NZD Bank Bill   3.551       (2,773 )     (2,396 )
NZD 1,086   12/18/34   Semi-annual   3 mo. NZD Bank Bill   3.884       (14,686 )     (10,084 )
PLN   12/18/26   Annual   6 mo. PLN WIBOR   4.706              
PLN 590   12/18/34   Annual   6 mo. PLN WIBOR   4.467       (8,058 )     (1,831 )
SEK 31,519   12/18/26   Annual   3 mo. SEK STIBOR   1.872       (12,774 )     (12,108 )
SEK 10,591   12/18/29   Annual   3 mo. SEK STIBOR   2.292       3,027       (174 )
ZAR 3,508   12/18/34   Quarterly   3 mo. ZAR JIBAR   8.651       (4,264 )     (1,289 )
Total                     $ (1,050,951 )   $ (1,031,106 )

 

OTC Total return swap agreements

 

Counterparty  Notional
amount
(000)
   Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
   Payments
received by
the Portfolio9
   Upfront
payments
received
(made)
   Value   Unrealized
appreciation
(depreciation)
 
BB  USD(4)  01/13/25  Annual  Barclays Short Processed Food CFD    0.000 %  $          —   $18,667   $18,667 
BB  EUR(1)  05/02/25  Annual  0.000 %  BCIIQLYL INDEX         3,507    3,507 
BB  USD(2)  07/18/25  Annual  BCIISTEL SWAP COMP    0.000         3,048    3,048 
BB  EUR1   08/12/25  Annual  0.000    BCIISHDF SWAP COMP         (1,543)   (1,543)

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
BB   USD  2     08/19/25   Annual   0.000 %   Barclays Private Equity Basket CFD     $                $ (3,394 )   $ (3,394 )
BB   USD  (2 )   09/04/25   Annual   0.000     BCIIPRFL INDEX             5,566       5,566  
BB   USD  (2 )   09/09/25   Annual   0.000     BCIISOXE INDEX             4,701       4,701  
BB   USD  1     09/12/25   Annual   0.000     BCIITELC INDEX             (3,098 )     (3,098 )
BB   USD  —     09/15/25   Annual   0.000     BCFUCEME INDEX             658       658  
BB   USD  (4 )   09/19/25   Annual   0.000     BCIISOXD INDEX             11,844       11,844  
BB   EUR  (2 )   12/01/25   Annual   0.000     Forvia SE             87       87  
BB   EUR  —     12/01/25   Annual   0.000     Volkswagen AG             (3 )     (3 )
BB   USD  (3 )   07/21/26   Annual   BCIIACTM SWAP COMP     0.000 %           6,958       6,958  
BB   USD  —     07/21/26   Annual   BCIICAPG SWAP COMP     0.000             4,395       4,395  
BB   USD  (1 )   07/21/26   Annual   BCIICOPP SWAP COMP     0.000             3,505       3,505  
BB   EUR  —     07/21/26   Annual   0.000     BCIEGRWL INDEX             1,311       1,311  
BB   EUR  —     07/21/26   Annual   0.000     BCIEYLDS INDEX             1,598       1,598  
BB   USD  (8 )   08/20/26   Annual   US Discretionary Basket CFD     0.000             32,826       32,826  
BB   USD  3     07/16/27   Annual   0.000     BCIIWMAH SWAP COMP             (17,858 )     (17,858 )
CITI   USD  2     09/25/25   Annual   0.000     CGFCAIEM INDEX             (2,894 )     (2,894 )
CITI   USD  (4 )   10/14/25   Annual   CGFCBVRG SWAP COMP     0.000             26,939       26,939  
CITI   USD  1     07/16/27   Annual   0.000     CGFCAWIN SWAP COMP             (6,479 )     (6,479 )
CITI   USD  (4 )   07/16/27   Annual   CGFOOILP SWAP COMP     0.000             32,158       32,158  
GS   USD  (5 )   07/19/27   Annual   GS Retailers     0.000             13,913       13,913  
GS   USD  1     07/19/27   Annual   0.000     GSMBEXC0 SWAP COMP             (2,548 )     (2,548 )
GS   USD  1     07/19/27   Annual   0.000     Oil Royalties SWAP COMP             5,178       5,178  
GS   USD  (3 )   07/19/27   Annual   GSMBWHEL SWAP COMP     0.000             10,729       10,729  
GS   USD  —     07/19/27   Annual   GS AI At Risk SWAP COMP     0.000             342       342  
GS   USD  (1 )   07/21/27   Annual   World Utilities 08.08.23 SWAP COMP     0.000             2,969       2,969  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
GS   JPY  257     07/23/27   Annual   0.000 %   SMBJDC0BL TRS JPY R E GSMBJDC0 INDEX     $                $ 8,240     $ 8,240  
GS   USD  (4 )   07/29/27   Annual   GSMBHLUX SWAP COMP     0.000 %           16,816       16,816  
GS   USD  2     08/24/27   Annual   0.000     Athleisure DM             (13,015 )     (13,015 )
GS   USD  —     08/31/27   Annual   0.000     GS TMT AI Basket SWAP COMP             (3,471 )     (3,471 )
GS   USD  (1 )   09/01/27   Annual   GSMBLITH SWAP COMP     0.000             438       438  
GS   EUR  1     09/09/27   Annual   0.000     GS EU GRANOLAS SWAP COMP             (4,106 )     (4,106 )
GS   EUR  2     09/30/27   Annual   0.000     GS Custom Luxury (EUR) SWAP COMP             (5,570 )     (5,570 )
GS   USD  1     10/13/27   At Maturity   0.000     Replimune Group, Inc.             (1,291 )     (1,291 )
GS   USD  (1 )   10/13/27   At Maturity   0.000     GS24REPS INDEX             2,459       2,459  
GS   USD  1     10/14/27   Annual   0.000     GSMBATOL INDEX             (1,532 )     (1,532 )
GS   USD  (1 )   10/25/27   Annual   0.000     GSCBICLN INDEX             949       949  
GS   EUR  —     10/28/27   Annual   0.000     Elia Group SA             (266 )     (266 )
GS   USD  1     10/29/27   Annual   0.000     GSXURANI INDEX             (2,358 )     (2,358 )
GS   USD  1     11/02/27   Annual   0.000     GS Power Up America SWAP COMP             (209 )     (209 )
JPMCB   USD  (165 )   09/08/24   At Maturity   CoStar Group, Inc.     4.530             6,355       6,355  
JPMCB   USD  (515 )   09/08/24   At Maturity   International Paper Co.     4.530             (92,325 )     (92,325 )
JPMCB   USD  (1,965 )   09/08/24   At Maturity   Capital One Financial Corp.     4.530             (142,233 )     (142,233 )
JPMCB   USD  (1,691 )   09/08/24   At Maturity   Schlumberger NV     4.530             158,351       158,351  
JPMCB   USD  (793 )   09/08/24   At Maturity   Synopsys, Inc.     4.530             23,070       23,070  
JPMCB   USD  1,691     09/08/24   At Maturity   5.130     ChampionX Corp.             (176,106 )     (176,106 )
JPMCB   USD  718     09/08/24   At Maturity   5.130     Matterport, Inc.             (28,708 )     (28,708 )
JPMCB   USD  1,506     09/08/24   At Maturity   5.130     Catalent, Inc.             (58,292 )     (58,292 )
JPMCB   USD  1,658     09/08/24   At Maturity   5.130     Albertsons Cos., Inc.             (30,568 )     (30,568 )
JPMCB   USD  —     09/08/24   At Maturity   5.660     GCI Liberty, Inc.             329       329  
JPMCB   USD  —     09/08/24   At Maturity   5.610     Chinook Therapeutics, Inc.             11,268       11,268  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
JPMCB   USD  —     09/08/24   At Maturity   0.000 %   Mirati Therapeutics, Inc.     $                $ 14,093     $ 14,093  
JPMCB   USD  (1,778 )   09/08/24   At Maturity   UMB Financial Corp.     4.530 %           (80,281 )     (80,281 )
JPMCB   USD  1,789     09/08/24   At Maturity   5.130     HashiCorp, Inc.             (3,691 )     (3,691 )
JPMCB   CAD  (718 )   09/08/24   At Maturity   National Bank of Canada     3.410             (20,761 )     (20,761 )
JPMCB   USD  (450 )   09/08/24   At Maturity   Boeing Co.     4.530             181       181  
JPMCB   USD  (507 )   09/08/24   At Maturity   Nokia OYJ     4.518             (27,233 )     (27,233 )
JPMCB   USD  (1,483 )   09/08/24   At Maturity   ConocoPhillips     4.530             19,116       19,116  
JPMCB   USD  (529 )   09/08/24   At Maturity   SouthState Corp.     4.530             (6,095 )     (6,095 )
JPMCB   USD  (97 )   09/08/24   At Maturity   Cleveland-Cliffs, Inc.     4.530             (986 )     (986 )
JPMCB   CAD  (511 )   09/08/24   At Maturity   Lundin Mining Corp.     3.410             22,051       22,051  
JPMCB   USD  (647 )   11/08/24   At Maturity   COEUR MINING, Inc.     4.530             25,900       25,900  
JPMCB   USD  (555 )   11/08/24   At Maturity   Atlantic Union Bankshares Corp.     4.530             (19,467 )     (19,467 )
JPMCB   USD  1,427     11/08/24   At Maturity   5.130     Frontier Communications Parentm Inc.             19,020       19,020  
JPMCB   USD  653     11/08/24   At Maturity   5.130     SilverCrest Metals Inc             (27,496 )     (27,496 )
JPMCB   USD  1,146     05/08/25   At Maturity   5.130     Amedisys, Inc.             (25,004 )     (25,004 )
JPMCB   USD  (9 )   08/19/25   Annual   Eva Airways Corp.     0.000             63       63  
JPMCB   USD  (4 )   08/20/25   Annual   Old Media CFD 1.000     0.000             (5,756 )     (5,756 )
JPMCB   USD  (2 )   08/20/25   Annual   JPFUSOEC SWAP COMP     0.000             4,471       4,471  
JPMCB   USD  (1 )   08/20/25   Annual   Inflation Laggards     0.000             2,166       2,166  
JPMCB   USD  —     08/20/25   Annual   Interest Rate Laggards Index     0.000             915       915  
JPMCB   HKD  (8 )   08/27/25   Annual   China Eastern Airlines Corp. Ltd.     0.000             (174 )     (174 )
JPMCB   USD  —     09/02/25   Annual   0.000     New Media CFD 1.000             3,652       3,652  
JPMCB   USD  (1 )   09/02/25   Annual   JPFUNOI1 SWAP COMP     0.000             4,089       4,089  
JPMCB   USD  (1 )   10/07/25   Annual   0.000     JPFUMEBK INDEX             389       389  
JPMCB   EUR  —     10/27/25   Annual   0.000     Hensoldt AG             58       58  
JPMCB   USD  —     11/04/25   Annual   0.000     U.S. Pure Beta Winners Index             1,831       1,831  
JPMCB   EUR  (2 )   11/05/25   Annual   0.000     Valeo SE             2,477       2,477  
JPMCB   EUR  —     11/05/25   Annual   0.000     Rheinmetall AG             (1,272 )     (1,272 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
JPMCB   USD  —     11/05/25   Annual   0.000 %   S&P 500 Equity Real Estate Investment Trusts     $                $ 915     $ 915  
JPMCB   DKK  —     11/05/25   Annual   0.000     Zealand Pharma AS             (707 )     (707 )
JPMCB   SEK  1     11/12/25   Annual   0.000     Saab AB             (90 )     (90 )
JPMCB   USD  (1 )   11/13/25   Annual   0.000     JPFUITSV INDEX             9,172       9,172  
JPMCB   USD  4     11/18/25   Annual   0.000     JPFJCRED INDEX             (8,714 )     (8,714 )
JPMCB   EUR  1     11/19/25   Annual   0.000     CaixaBank SA             141       141  
JPMCB   NOK  1     11/26/25   Annual   0.000     Salmar ASA             (1,090 )     (1,090 )
JPMCB   USD  700     12/22/25   At Maturity   5.130     United States Steel Corp.             62,874       62,874  
JPMCB   USD  2,235     01/12/26   At Maturity   5.130     Juniper Networks, Inc.             5,761       5,761  
JPMCB   USD  1,991     01/12/26   At Maturity   5.130     Axonics, Inc.             (1,415 )     (1,415 )
JPMCB   USD  1,688     01/20/26   At Maturity   5.130     ANSYS, Inc.             (29,969 )     (29,969 )
JPMCB   USD  645     01/30/26   At Maturity   5.130     McGrath RentCorp             3,524       3,524  
JPMCB   USD  1,943     02/23/26   At Maturity   5.130     Discover Financial Services             71,671       71,671  
JPMCB   GBP  523     04/23/26   At Maturity   5.250     DS Smith PLC             96,417       96,417  
JPMCB   USD  1,749     05/01/26   At Maturity   5.130     Heartland Financial USA, Inc.             83,473       83,473  
JPMCB   USD  534     05/22/26   At Maturity   5.130     Independent Bank Group, Inc.             9,122       9,122  
JPMCB   USD  1,511     05/29/26   At Maturity   5.130     Marathon Oil Corp.             (23,620 )     (23,620 )
JPMCB   USD  2,127     06/04/26   At Maturity   5.130     Stericycle, Inc.             20,257       20,257  
JPMCB   CAD  742     06/15/26   At Maturity   4.210     Canadian Western Bank             33,523       33,523  
JPMCB   USD  865     07/02/26   At Maturity   5.130     Spirit AeroSystems Holdings, Inc.             17,167       17,167  
JPMCB   USD  1,506     07/02/26   At Maturity   5.130     Infinera Corp.             15,848       15,848  
JPMCB   GBP  997     07/10/26   At Maturity   5.250     Britvic PLC             1,538       1,538  
JPMCB   CAD  853     07/16/26   At Maturity   4.210     Stelco Holdings, Inc.             9,226       9,226  
JPMCB   BRL  2     07/21/26   Annual   0.000     Optimized Brazil CFD 1.000             (9 )     (9 )
JPMCB   USD  —     07/21/26   Annual   0.000     S&P 500 Consumer Staples Index             (4,793 )     (4,793 )
JPMCB   CAD  1,627     07/31/26   At Maturity   4.210     Filo Corp.             (18,270 )     (18,270 )
JPMCB   USD  1,944     08/17/26   At Maturity   5.130     KELLANOVA             2,172       2,172  
JPMCB   USD  (1 )   08/26/26   Annual   JPFUSHP2 SWAP COMP     0.000 %           726       726  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
JPMCB   EUR  810     10/05/26   At Maturity   3.465 %   COVESTRO AG     $                $ (1,783 )   $ (1,783 )
JPMCB   USD  872     10/13/26   At Maturity   5.130     Arcadium Lithium PLC             (24,863 )     (24,863 )
JPMCB   USD  958     10/15/26   At Maturity   5.130     Longboard Pharmaceuticals. Inc.             14,107       14,107  
JPMCB   USD  559     10/22/26   At Maturity   5.130     SANDY SPRING BANCORP INC             26,362       26,362  
JPMCB   USD  140     11/02/26   At Maturity   0.000     Altair Engineering Inc.                    
JPMCB   HKD  (17 )   07/16/27   Annual   Air China Ltd.     0.000 %           (1,254 )     (1,254 )
JPMCB   USD  —     07/16/27   Annual   0.000     U.S. Pure Size Winners             1,025       1,025  
JPMCB   USD  (1 )   07/16/27   Annual   0.000     JPUSX7 INDEX             1,586       1,586  
MSCI   EUR  (200 )   11/15/24   At Maturity   Iberdrola SA—Rights     3.250             6,027       6,027  
MSCI   EUR  (286 )   11/15/24   At Maturity   STOXX Europe 600 Industrial Goods & Services Index     3.250             5,828       5,828  
MSCI   EUR  (298 )   11/15/24   At Maturity   STOXX Europe 600 Utilities Index     3.250             13,329       13,329  
MSCI   USD  (469 )   11/15/24   At Maturity   Utilities Select Sector SPDR Fund     4.830             4,070       4,070  
MSCI   USD  (313 )   11/15/24   At Maturity   Industrial Select Sector SPDR Fund     4.830             9,844       9,844  
MSCI   USD  (16 )   11/15/24   At Maturity   Ecopro Co. Ltd.     4.830             840       840  
MSCI   USD  (20 )   11/15/24   At Maturity   Ecopro BM Co. Ltd.     4.830             344       344  
MSCI   USD  (41 )   11/15/24   At Maturity   LG Energy Solution Ltd.     4.830             169       169  
MSCI   EUR  (102 )   11/15/24   At Maturity   TotalEnergies     3.250             3,578       3,578  
MSCI   BRL  —     02/20/25   Annual   0.000     Sao Martinho SA             (43 )     (43 )
MSCI   EUR  973     02/24/25   At Maturity   3.991     Veolia Environnement SA             (21,339 )     (21,339 )
MSCI   EUR  387     02/24/25   At Maturity   3.991     Engie SA             (16,111 )     (16,111 )
MSCI   EUR  993     02/24/25   At Maturity   3.250     Siemens Energy AG             78,835       78,835  
MSCI   GBP  335     03/06/25   At Maturity   4.950     Shell PLC             9,424       9,424  
MSCI   GBP  194     03/06/25   At Maturity   4.950     National Grid PLC             (7,758 )     (7,758 )
MSCI   USD  1     07/18/25   Annual   0.000     Shihlin Electric & Engineering Corp.             (293 )     (293 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
MSCI   USD  1     08/20/25   Annual   0.000 %   Taiwan Semiconductor Manufacturing Co. Ltd.     $                $ (960 )   $ (960 )
MSCI   USD  —     08/20/25   Annual   0.000     Elan Microelectronics Corp.             (10 )     (10 )
MSCI   USD  (5 )   08/20/25   Annual   0.000     Thai Oil PCL             1,231       1,231  
MSCI   USD  1     08/27/25   Annual   0.000     Asia Vital Components Co. Ltd.             (1,230 )     (1,230 )
MSCI   USD  —     09/04/25   Annual   0.000     Novatek Microelectronics Corp.             36       36  
MSCI   USD  1     10/07/25   Annual   0.000     Delta Electronics, Inc.             240       240  
MSCI   USD  1     10/20/25   Monthly   0.000     MSCI World Net Return Index             (683 )     (683 )
MSCI   USD  2     10/20/25   Monthly   0.000     Mini Middle East HSFO             172       172  
MSCI   USD  1     07/17/26   Annual   0.000     Gigabyte Technology Co. Ltd.             (279 )     (279 )
MSCI   USD  262     07/20/26   At Maturity   0.000     Cia de Saneamento Basico do Estado de Sao Paulo SABESP             (2,808 )     (2,808 )
MSCI   USD  (1 )   07/20/26   Annual   0.000     TXC Corp.             (64 )     (64 )
MSCI   USD  1     07/20/26   At Maturity   0.000     All Ring Tech Co. Ltd.             34       34  
MSCI   USD  —     07/21/26   Annual   0.000     LS Electric Co. Ltd.             (2,596 )     (2,596 )
MSCI   USD  2     07/21/26   Annual   0.000     Samsung Heavy Industries Co. Ltd.             (1,360 )     (1,360 )
MSCI   USD  —     07/21/26   Annual   0.000     SK Hynix, Inc.             (1,332 )     (1,332 )
MSCI   USD  —     07/21/26   Annual   0.000     Hanwha Ocean Co. Ltd.             (393 )     (393 )
MSCI   USD  —     07/21/26   Annual   0.000     HD Hyundai Electric Co. Ltd.             1,383       1,383  
MSCI   USD  —     07/21/26   Annual   0.000     HD Hyundai Heavy Industries Co. Ltd.             (566 )     (566 )
MSCI   BRL  (1 )   07/21/26   Annual   JBS SA     0.000 %           (509 )     (509 )
MSCI   USD  8     07/21/26   Annual   0.000     ADNOC Drilling Co. PJSC             550       550  
MSCI   USD  4     07/21/26   Annual   0.000     Qatar Gas Transport Co. Ltd.             (133 )     (133 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Notional
amount
(000)
    Maturity
Date
  Payment
frequency
  Payment
made by the
Portfolio9
    Payments
received by
the Portfolio9
    Upfront
payments
received
(made)
    Value     Unrealized
appreciation
(depreciation)
 
MSCI   USD  —     07/21/26   Annual   0.000 %   Banca Transilvania SA     $                $ 27     $ 27  
MSCI   USD  —     07/21/26   Annual   0.000     King Slide Works Co. Ltd.             1,789       1,789  
MSCI   USD  1     07/21/26   Annual   0.000     Chroma ATE, Inc.             267       267  
MSCI   USD  1     07/21/26   Annual   0.000     AURAS Technology Co. Ltd.             (1,431 )     (1,431 )
MSCI   USD  —     07/21/26   Annual   0.000     Alchip Technologies Ltd.             525       525  
MSCI   USD  1     07/21/26   Annual   0.000     Gudeng Precision Industrial Co. Ltd.             (1,012 )     (1,012 )
MSCI   USD  —     07/21/26   Annual   0.000     ASPEED Technology, Inc.             (796 )     (796 )
MSCI   USD  (1 )   07/21/26   Annual   0.000     FLEXium Interconnect, Inc.             8       8  
MSCI   USD  (11 )   07/21/26   Annual   0.000     Star Petroleum Refining PCL             67       67  
MSCI   USD  250     07/16/27   Annual   0.000     MSFPACEAL TRS USD R E MSFPACE INDEX             (96,393 )     (96,393 )
MSCI   USD  —     07/16/27   Annual   0.000     Realtek Semiconductor Corp.             41       41  
MSCI   USD  (2 )   07/20/27   Annual   Acer, Inc.     0.000 %           56       56  
MSCI   USD  —     07/20/27   Annual   0.000     Asustek Computer, Inc.             83       83  
MSCI   USD  —     07/26/27   Annual   0.000     Fortune Electric Co. Ltd.             (793 )     (793 )
MSCI   BRL  —     07/26/27   Annual   0.000     CPFL Energia SA                    
                                $ 0     $ 73,498     $ 73,498  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Forward foreign currency contracts

 

Counterparty   Sell     Purchase     Settlement
date
 

Unrealized
appreciation
(depreciation)

 
BB   USD 106,769     THB 3,596,000     01/03/25   $ 239  
BB   USD 108,719     PEN 408,000     01/10/25     (661 )
BB   CHF 159,800     USD 188,310     01/16/25     1,725  
BB   CHF 9,300     USD 10,832     01/16/25     (26 )
BB   USD 109,395     MYR 469,000     01/17/25     (1,879 )
BB   JPY 16,550,000     USD 111,057     01/24/25     967  
BB   THB 3,665,000     USD 109,003     01/31/25     (258 )
BB   BRL 1,234,000     USD 223,272     11/01/24     9,810  
BB   COP 893,502,000     USD 219,458     11/01/24     17,548  
BB   PEN 410,000     USD 109,385     11/04/24     733  
BB   USD 113,080     HUF 39,982,000     11/04/24     (6,538 )
BB   BRL 1,228,000     USD 218,356     11/08/24     6,066  
BB   CZK 2,484,000     USD 107,681     11/08/24     964  
BB   USD 109,251     HUF 38,948,000     11/08/24     (5,479 )
BB   HUF 39,182,000     USD 108,306     11/15/24     3,947  
BB   MXN 2,069,000     USD 102,945     11/15/24     (256 )
BB   USD 111,678     CHF 94,000     11/15/24     (2,694 )
BB   USD 108,606     HUF 39,182,000     11/15/24     (4,248 )
BB   USD 107,381     MXN 2,069,000     11/15/24     (4,180 )
BB   BRL 1,196,000     USD 212,038     11/18/24     5,544  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
 

Unrealized
appreciation
(depreciation)

 
BB   USD 216,214     BRL 1,196,000     11/18/24   $ (9,720 )
BB   USD 216,048     BRL 1,188,000     11/22/24     (11,024 )
BB   USD 218,734     COP 886,456,000     11/22/24     (18,902 )
BB   HUF 38,778,000     USD 109,586     11/29/24     6,380  
BB   JPY 15,925,000     USD 111,233     11/29/24     6,098  
BB   USD 217,948     BRL 1,208,000     11/29/24     (9,630 )
BB   USD 216,410     COP 884,272,000     11/29/24     (17,278 )
BB   HUF 38,852,000     USD 108,892     12/05/24     5,521  
BB   USD 217,704     BRL 1,228,000     12/05/24     (6,072 )
BB   USD 110,760     CHF 93,000     12/05/24     (2,702 )
BB   USD 111,501     CLP 100,344,000     12/05/24     (7,163 )
BB   USD 110,637     JPY 15,935,000     12/05/24     (5,355 )
BB   USD 108,883     PEN 412,000     12/05/24     256  
BB   CHF 93,000     USD 110,815     12/12/24     2,668  
BB   HUF 39,507,000     USD 109,408     12/12/24     4,334  
BB   THB 3,707,000     USD 110,480     12/12/24     349  
BB   USD 216,624     BRL 1,226,000     12/12/24     (5,486 )
BB   USD 111,310     CLP 103,807,000     12/12/24     (3,372 )
BB   JPY 15,588,000     USD 105,451     12/19/24     2,254  
BNP   TWD 3,516,000     USD 111,753     01/03/25     1,410  
BNP   USD 110,142     TWD 3,516,000     01/03/25     201  
BNP   CNY 776,000     USD 111,318     01/09/25     1,693  
BNP   SEK 6,700     USD 637     01/16/25     5  
BNP   TWD 7,006,000     USD 220,024     01/17/25     (142 )
BNP   EUR 101,000     USD 109,796     01/24/25     (455 )
BNP   TWD 10,519,000     USD 331,527     01/24/25     736  
BNP   USD 216,536     BRL 1,250,000     01/24/25     (2,404 )
BNP   USD 108,370     CLP 100,977,000     10/01/25     (3,760 )
BNP   AUD 168,000     USD 110,190     11/01/24     (371 )
BNP   EUR 101,000     USD 109,882     11/01/24     19  
BNP   USD 112,520     CNY 797,000     11/01/24     (513 )
BNP   USD 115,213     CZK 2,577,000     11/01/24     (4,507 )
BNP   USD 113,829     SGD 148,000     11/01/24     (1,750 )
BNP   USD 114,154     TWD 3,610,000     11/01/24     (1,483 )
BNP   ZAR 2,013,000     USD 112,678     11/01/24     (1,503 )
BNP   TWD 3,506,000     USD 108,456     11/08/24     (1,010 )
BNP   USD 111,466     AUD 165,000     11/08/24     (2,874 )
BNP   USD 108,890     SGD 142,000     11/08/24     (1,336 )
BNP   USD 109,994     TWD 3,506,000     11/08/24     (528 )
BNP   ZAR 1,990,000     USD 110,719     11/08/24     (2,119 )
BNP   COP 891,384,000     USD 210,622     11/12/24     9,378  
BNP   COP 883,034,000     USD 203,696     11/15/24     4,426  
BNP   EUR 100,000     USD 109,630     11/15/24     805  
BNP   NOK 1,173,000     USD 108,895     11/15/24     2,252  
BNP   USD 110,837     TWD 3,536,000     11/15/24     (361 )
BNP   JPY 16,086,000     USD 115,460     11/22/24     9,358  
BNP   USD 111,519     TWD 3,513,000     11/22/24     (1,686 )
BNP   ZAR 1,954,000     USD 110,294     11/22/24     (371 )
BNP   BRL 1,208,000     USD 218,602     11/29/24     10,284  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
 

Unrealized
appreciation
(depreciation)

 
BNP  CNY 783,000    USD 110,819    11/29/24  $568 
BNP  CZK 4,922,000    USD 220,208    11/29/24   8,664 
BNP  SEK 1,120,000    USD 110,356    11/29/24   5,107 
BNP  TWD 3,508,000    USD 111,333    11/29/24   1,581 
BNP  USD 109,188    HUF 38,778,000    11/29/24   (5,982)
BNP  USD 110,761    SEK 1,120,000    11/29/24   (5,513)
BNP  USD 110,307    TWD 3,508,000    11/29/24   (555)
BNP  USD 109,021    ZAR 1,952,000    11/29/24   1,465 
BNP  CNY 778,000    USD 110,241    12/05/24   643 
BNP  TWD 3,507,000    USD 110,369    12/05/24   584 
BNP  USD 109,475    AUD 162,000    12/05/24   (2,828)
BNP  USD 111,306    CNY 778,000    12/05/24   (1,709)
BNP  USD 107,242    COP 455,443,000    12/05/24   (4,771)
BNP  USD 111,035    TWD 3,507,000    12/05/24   (1,250)
BNP  USD 108,468    ZAR 1,954,000    12/05/24   2,074 
BNP  TWD 3,537,000    USD 111,191    12/12/24   400 
BNP  USD 107,240    COP 466,603,000    12/12/24   (2,342)
BNP  USD 110,218    NOK 1,187,000    12/12/24   (2,289)
BNP  TWD 7,072,000    USD 225,286    12/19/24   3,632 
BNP  USD 112,271    JPY 15,588,000    12/19/24   (9,074)
BNP  USD 220,856    TWD 7,072,000    12/19/24   798 
BNP  USD 110,210    ZAR 1,957,000    12/19/24   368 
BNP  CNY 787,000    USD 111,845    12/20/24   846 
BNP  INR 9,289,000    USD 110,150    12/20/24   (118)
BNP  BRL 1,222,000    USD 212,412    12/26/24   2,264 
BNP  TWD 7,054,000    USD 222,544    12/26/24   1,322 
BNP  USD 220,308    BRL 1,222,000    12/26/24   (10,160)
BNP  USD 221,362    TWD 7,054,000    12/26/24   (138)
BNP  USD 214,946    EUR 198,000    12/27/24   920 
BNP  HUF 39,122,000    USD 110,027    12/30/24   6,080 
BOA  USD 104,995    AUD 160,000    01/03/25   360 
BOA  ZAR 3,821,000    USD 214,116    01/03/25   (1,506)
BOA  CNY 769,000    USD 109,756    01/10/25   1,111 
BOA  CZK 2,514,000    USD 109,397    01/10/25   1,182 
BOA  AUD 165,000    USD 108,291    01/31/25   (367)
BOA  KRW 150,651,000    USD 108,924    01/31/25   (730)
BOA  USD 107,557    ZAR 1,924,000    01/31/25   744 
BOA  USD 111,984    CNY 783,000    11/29/24   (1,732)
BOA  USD 111,507    CNY 783,000    12/12/24   (1,143)
BOA  USD 108,415    CZK 2,495,000    12/12/24   (1,137)
BOA  CNY 777,000    USD 111,392    12/27/24   1,741 
CITI  HUF 39,844,000    USD 108,835    01/10/25   3,034 
CITI  USD 108,563    INR 9,156,000    01/10/25   21 
CITI  EUR 1,211,589    USD 1,330,109    01/16/25   8,006 
CITI  EUR 28,600    USD 31,018    01/16/25   (191)
CITI  GBP 43,300    USD 56,232    01/16/25   413 
CITI  USD 1,853    DKK 12,700    01/16/25   6 
CITI  USD 7,057    EUR 6,500    01/16/25   35 
CITI  USD 3,049,748    EUR 2,778,000    01/16/25   (18,358)

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
 

Unrealized
appreciation
(depreciation)

 
CITI  SGD 148,000    USD 110,597    11/01/24  $(1,482)
CITI  USD 109,366    GBP 85,000    11/01/24   238 
CITI  USD 108,920    ZAR 2,013,000    11/01/24   5,261 
CITI  CLP 102,306,000    USD 107,543    11/08/24   1,134 
CITI  EUR 98,000    USD 107,547    11/08/24   929 
CITI  USD 110,107    AUD 165,000    11/15/24   (1,507)
CITI  INR 9,226,000    USD 109,568    12/12/24   8 
CITI  USD 107,996    HUF 39,507,000    12/12/24   (2,922)
DB  BRL 1,204,000    USD 209,228    01/03/25   2,342 
DB  USD 218,964    BRL 1,204,000    01/03/25   (12,078)
DB  AUD 324,000    USD 217,656    01/17/25   4,302 
DB  USD 106,797    MXN 2,111,000    01/17/25   (2,602)
DB  USD 215,105    BRL 1,243,000    01/31/25   (2,404)
DB  INR 9,218,000    USD 109,875    11/29/24   350 
DB  MXN 2,128,000    USD 108,685    11/29/24   2,798 
DB  BRL 1,228,000    USD 224,072    12/05/24   12,440 
DB  USD 108,854    PHP 6,195,000    12/11/24   (2,295)
DB  USD 109,841    INR 9,228,000    12/26/24   (326)
DB  USD 110,184    PLN 423,000    12/27/24   (4,699)
GS  USD 108,825    MXN 2,173,000    01/03/25   (1,326)
GS  THB 3,656,000    USD 109,658    01/10/25   813 
GS  GBP 2,400    USD 3,119    01/16/25   24 
GS  USD 12,734    GBP 9,800    01/16/25   (101)
GS  HUF 39,926,000    USD 108,328    01/17/25   2,350 
GS  THB 3,674,000    USD 110,218    01/27/25   717 
GS  CNY 797,000    USD 110,474    11/01/24   (1,533)
GS  CZK 2,577,000    USD 110,139    11/01/24   (566)
GS  NOK 1,207,000    USD 114,775    11/01/24   5,050 
GS  USD 110,444    CLP 105,020,000    11/04/24   1,210 
GS  AUD 165,000    USD 107,435    11/08/24   (1,157)
GS  HUF 38,948,000    USD 106,845    11/08/24   3,073 
GS  NOK 1,178,000    USD 110,899    11/08/24   3,807 
GS  AUD 165,000    USD 109,063    11/15/24   463 
GS  USD 221,144    CZK 5,016,000    11/15/24   (5,620)
GS  CZK 2,495,000    USD 110,148    11/22/24   2,929 
GS  USD 108,143    MXN 2,057,000    11/22/24   (5,664)
GS  NOK 1,156,000    USD 110,840    11/29/24   5,734 
GS  THB 3,742,000    USD 110,501    11/29/24   (568)
GS  USD 218,534    CZK 4,922,000    11/29/24   (6,990)
GS  USD 107,814    MXN 2,128,000    11/29/24   (1,927)
GS  USD 109,962    NOK 1,156,000    11/29/24   (4,856)
GS  USD 109,422    NOK 1,162,000    12/05/24   (3,768)
GS  CZK 2,495,000    USD 110,072    12/12/24   2,793 
GS  NOK 1,187,000    USD 111,576    12/12/24   3,647 
GS  USD 110,991    THB 3,707,000    12/12/24   (861)
GS  GBP 84,000    USD 109,800    12/19/24   1,495 
GS  USD 106,651    HUF 39,274,000    12/19/24   (2,237)
GS  USD 108,679    THB 3,630,000    12/26/24   (724)
GS  CZK 2,489,000    USD 110,570    12/27/24   3,485 

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell   Purchase     Settlement
date
    Unrealized
appreciation
(depreciation)
 
GSI   COP 464,431,000   USD 105,648     01/03/25     $ 1,500  
GSI   IDR 3,356,084,000   USD 212,156     01/03/25       (1,308 )
GSI   PEN 409,000   USD 108,414     01/03/25       87  
GSI   USD 108,661   COP 464,431,000     01/03/25       (4,513 )
GSI   USD 109,900   PEN 409,000     01/03/25       (1,574 )
GSI   USD 106,579   COP 458,188,000     01/17/25       (4,017 )
GSI   USD 109,671   PHP 6,346,000     01/23/25       (551 )
GSI   INR 9,221,000   USD 109,189     01/24/25       (86 )
GSI   USD 108,799   COP 469,004,000     01/24/25       (3,915 )
GSI   USD 218,370   IDR 3,413,132,000     01/24/25       (1,456 )
GSI   USD 106,691   COP 470,695,000     01/31/25       (1,529 )
GSI   USD 215,996   IDR 3,421,370,000     01/31/25       1,380  
GSI   USD 214,598   BRL 1,198,000     10/01/25       (18,490 )
GSI   USD 107,566   COP 459,674,000     10/01/25       (7,865 )
GSI   IDR 3,581,992,000   USD 230,250     11/01/24       2,024  
GSI   TWD 3,610,000   USD 110,506     11/01/24       (2,166 )
GSI   USD 215,226   COP 893,502,000     11/01/24       (13,316 )
GSI   CLP 105,020,000   USD 109,598     11/04/24       364  
GSI   INR 9,200,000   USD 109,358     11/04/24       (53 )
GSI   PEN 410,000   USD 108,627     11/04/24       (26 )
GSI   USD 115,535   CLP 105,020,000     11/04/24       (6,301 )
GSI   USD 109,413   INR 9,200,000     11/04/24       (2 )
GSI   USD 109,567   PEN 410,000     11/04/24       (915 )
GSI   PHP 6,201,000   USD 109,535     11/07/24       2,830  
GSI   USD 107,141   PHP 6,201,000     11/07/24       (436 )
GSI   IDR 3,467,421,000   USD 222,456     11/08/24       1,553  
GSI   INR 9,001,000   USD 106,985     11/08/24       (49 )
GSI   MYR 480,000   USD 110,210     11/08/24       572  
GSI   USD 213,936   BRL 1,228,000     11/08/24       (1,648 )
GSI   USD 110,479   CLP 102,306,000     11/08/24       (4,070 )
GSI   USD 213,801   IDR 3,467,421,000     11/08/24       7,102  
GSI   USD 108,257   MYR 480,000     11/08/24       1,380  
GSI   USD 212,288   COP 891,384,000     11/12/24       (11,042 )
GSI   IDR 3,447,626,000   USD 222,600     11/15/24       3,000  
GSI   MYR 484,000   USD 111,777     11/15/24       1,185  
GSI   USD 215,406   COP 883,034,000     11/15/24       (16,136 )
GSI   USD 216,804   IDR 3,447,626,000     11/15/24       2,794  
GSI   USD 109,532   MYR 484,000     11/15/24       1,061  
GSI   CLP 101,632,000   USD 108,888     11/18/24       3,191  
GSI   USD 107,027   CLP 101,632,000     11/18/24       (1,329 )
GSI   USD 108,519   INR 9,142,000     11/18/24       150  
GSI   BRL 1,188,000   USD 214,508     11/22/24       9,484  
GSI   CLP 101,490,000   USD 110,344     11/22/24       4,799  
GSI   COP 886,456,000   USD 206,574     11/22/24       6,742  
GSI   INR 9,211,000   USD 109,737     11/22/24       265  
GSI   TWD 3,513,000   USD 111,804     11/22/24       1,971  
GSI   USD 218,460   IDR 3,392,678,000     11/22/24       (2,406 )
GSI   USD 109,577   INR 9,211,000     11/22/24       (104 )
GSI   CLP 99,514,000   USD 109,443     11/29/24       5,961  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
GSI   COP 884,272,000     USD 212,314     11/29/24   $ 13,182  
GSI   IDR 3,407,061,000     USD 224,001     11/29/24     7,077  
GSI   USD 218,766     IDR 3,407,061,000     11/29/24     (1,841 )
GSI   USD 109,454     INR 9,218,000     11/29/24     71  
GSI   CLP 100,344,000     USD 108,322     12/05/24     3,984  
GSI   COP 455,443,000     USD 106,915     12/05/24     4,445  
GSI   PEN 412,000     USD 110,716     12/05/24     1,577  
GSI   USD 217,574     IDR 3,394,814,000     12/05/24     (1,468 )
GSI   USD 108,991     INR 9,180,000     12/05/24     56  
GSI   PHP 6,195,000     USD 109,698     12/11/24     3,139  
GSI   BRL 1,226,000     USD 220,288     12/12/24     9,150  
GSI   CLP 103,807,000     USD 109,286     12/12/24     1,347  
GSI   COP 466,603,000     USD 109,591     12/12/24     4,693  
GSI   MYR 477,000     USD 111,431     12/12/24     2,285  
GSI   USD 218,949     IDR 3,394,587,000     12/12/24     (2,900 )
GSI   USD 110,336     MYR 477,000     12/12/24     (1,190 )
GSI   COP 470,389,000     USD 109,793     12/19/24     4,128  
GSI   USD 219,762     BRL 1,222,000     12/19/24     (9,464 )
GSI   USD 109,217     COP 470,389,000     12/19/24     (3,552 )
GSI   USD 110,986     PEN 420,000     12/19/24     263  
GSI   USD 110,516     INR 9,289,000     12/20/24     (248 )
GSI   COP 458,597,000     USD 106,768     12/26/24     3,834  
GSI   USD 109,726     COP 458,597,000     12/26/24     (6,792 )
GSI   IDR 3,349,994,000     USD 214,592     12/27/24     1,474  
GSI   USD 220,018     IDR 3,349,994,000     12/27/24     (6,900 )
HSBC   CAD 149,000     USD 110,354     01/02/25     3,108  
HSBC   USD 107,447     CAD 149,000     01/02/25     (201 )
HSBC   USD 107,056     CZK 2,511,000     01/03/25     1,006  
HSBC   USD 104,997     HUF 39,497,000     01/03/25     (77 )
HSBC   USD 219,848     IDR 3,356,084,000     01/03/25     (6,386 )
HSBC   JPY 15,866,000     USD 111,744     01/06/25     6,433  
HSBC   CHF 93,000     USD 109,963     01/10/25     1,447  
HSBC   USD 217,016     IDR 3,412,428,000     01/10/25     (24 )
HSBC   KRW 147,087,000     USD 109,670     01/13/25     2,707  
HSBC   TWD 7,032,000     USD 220,496     01/13/25     (398 )
HSBC   DKK 2,300     USD 336     01/16/25     0  
HSBC   NOK 341,600     USD 31,556     01/16/25     494  
HSBC   USD 146     DKK 1,000     01/16/25     0  
HSBC   USD 108,938     PHP 6,296,000     01/16/25     (671 )
HSBC   CNY 776,000     USD 109,612     01/17/25     (86 )
HSBC   THB 3,629,000     USD 109,179     01/17/25     1,089  
HSBC   USD 214,408     BRL 1,218,000     01/17/25     (5,534 )
HSBC   USD 217,024     IDR 3,391,710,000     01/17/25     (1,410 )
HSBC   AUD 164,000     USD 109,692     01/24/25     1,695  
HSBC   HUF 40,555,000     USD 109,168     01/27/25     1,580  
HSBC   CZK 2,550,000     USD 108,787     01/31/25     (1,034 )
HSBC   HUF 40,713,000     USD 108,081     01/31/25     98  
HSBC   USD 114,007     AUD 168,000     11/01/24     (3,446 )
HSBC   USD 216,434     BRL 1,234,000     11/01/24     (2,972 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
HSBC   USD 113,163     EUR 101,000     11/01/24   $ (3,300 )
HSBC   USD 218,804     IDR 3,581,992,000     11/01/24     9,422  
HSBC   INR 9,200,000     USD 109,413     11/04/24     2  
HSBC   USD 115,382     CHF 97,000     11/04/24     (3,055 )
HSBC   USD 109,530     INR 9,200,000     11/04/24     (118 )
HSBC   CHF 92,000     USD 108,860     11/08/24     2,276  
HSBC   USD 108,707     CHF 92,000     11/08/24     (2,123 )
HSBC   USD 108,606     EUR 98,000     11/08/24     (1,988 )
HSBC   USD 106,869     INR 9,001,000     11/08/24     165  
HSBC   CHF 94,000     USD 109,548     11/15/24     564  
HSBC   USD 110,664     EUR 100,000     11/15/24     (1,839 )
HSBC   USD 108,812     NOK 1,173,000     11/15/24     (2,169 )
HSBC   USD 107,935     ZAR 1,980,000     11/15/24     4,270  
HSBC   INR 9,142,000     USD 108,591     11/18/24     (79 )
HSBC   CHF 94,000     USD 110,492     11/22/24     1,426  
HSBC   EUR 99,000     USD 110,152     11/22/24     2,385  
HSBC   IDR 3,392,678,000     USD 220,912     11/22/24     4,858  
HSBC   USD 112,271     CHF 94,000     11/22/24     (3,206 )
HSBC   USD 110,625     CZK 2,495,000     11/22/24     (3,406 )
HSBC   USD 110,057     NOK 1,161,000     11/22/24     (4,500 )
HSBC   AUD 162,000     USD 109,981     11/29/24     3,340  
HSBC   CHF 93,000     USD 110,934     11/29/24     2,947  
HSBC   EUR 196,000     USD 219,864     11/29/24     6,446  
HSBC   USD 110,793     AUD 162,000     11/29/24     (4,152 )
HSBC   USD 114,243     THB 3,742,000     11/29/24     (3,174 )
HSBC   CHF 93,000     USD 110,217     12/05/24     2,159  
HSBC   EUR 198,000     USD 219,662     12/05/24     4,016  
HSBC   IDR 3,394,814,000     USD 222,624     12/05/24     6,518  
HSBC   JPY 15,935,000     USD 111,744     12/05/24     6,462  
HSBC   USD 111,548     KRW 146,480,000     12/05/24     (5,273 )
HSBC   EUR 200,000     USD 221,558     12/12/24     3,660  
HSBC   IDR 3,394,587,000     USD 216,145     12/12/24     96  
HSBC   USD 109,593     CHF 93,000     12/12/24     (1,445 )
HSBC   USD 109,466     INR 9,226,000     12/12/24     93  
HSBC   USD 109,618     KRW 147,309,000     12/12/24     (2,696 )
HSBC   USD 110,250     TWD 3,537,000     12/12/24     541  
HSBC   BRL 1,222,000     USD 215,766     12/19/24     5,468  
HSBC   CHF 94,000     USD 112,603     12/19/24     3,202  
HSBC   CZK 2,507,000     USD 111,226     12/19/24     3,401  
HSBC   IDR 3,401,455,000     USD 217,901     12/19/24     1,460  
HSBC   USD 221,249     IDR 3,401,455,000     12/19/24     (4,807 )
HSBC   USD 110,794     THB 3,689,000     12/19/24     (1,141 )
HSBC   USD 110,951     CNY 787,000     12/20/24     49  
HSBC   USD 107,653     KRW 146,126,000     12/20/24     (1,537 )
HSBC   THB 3,630,000     USD 111,004     12/26/24     3,049  
HSBC   USD 107,937     CAD 149,000     12/27/24     (717 )
HSBC   USD 105,411     HUF 39,122,000     12/30/24     (1,464 )
JPMCB   THB 3,596,000     USD 111,015     01/03/25     4,007  
JPMCB   USD 104,130     JPY 15,866,000     01/06/25     1,181  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
JPMCB   USD 108,926     CNY 776,000     01/09/25   $ 698  
JPMCB   USD 216,600     ZAR 3,820,000     01/10/25     (1,169 )
JPMCB   DKK 751,800     USD 110,686     01/16/25     622  
JPMCB   DKK 42,200     USD 6,169     01/16/25     (9 )
JPMCB   EUR 6,300     USD 6,864     01/16/25     (10 )
JPMCB   SEK 27,200     USD 2,604     01/16/25     41  
JPMCB   SEK 31,000     USD 2,914     01/16/25     (7 )
JPMCB   USD 1,746     CHF 1,500     01/16/25     6  
JPMCB   USD 3,834     DKK 26,400     01/16/25     31  
JPMCB   USD 16,569     EUR 15,200     01/16/25     17  
JPMCB   USD 6,520     SEK 67,700     01/16/25     (140 )
JPMCB   CHF 94,000     USD 110,283     01/17/25     516  
JPMCB   CZK 2,519,000     USD 109,245     01/17/25     796  
JPMCB   USD 217,342     ZAR 3,855,000     01/24/25     (210 )
JPMCB   CHF 94,000     USD 109,381     01/31/25     (555 )
JPMCB   JPY 16,684,000     USD 109,834     01/31/25     (1,241 )
JPMCB   NZD 182,000     USD 108,631     01/31/25     (254 )
JPMCB   GBP 63,730     USD 82,020     02/28/25     (124 )
JPMCB   USD 110,078     NOK 1,207,000     11/01/24     (353 )
JPMCB   USD 774     JPY 117,937     11/05/24     2  
JPMCB   USD 110,284     JPY 16,084,000     11/15/24     (4,290 )
JPMCB   AUD 1,337     USD 884     11/29/24     3  
JPMCB   CNH 4,688,395     USD 658,181     11/29/24     (1,260 )
JPMCB   EUR 3,232     USD 3,500     11/29/24     (18 )
JPMCB   GBP 2,166     USD 2,812     11/29/24     19  
JPMCB   HUF 82,212,485     USD 219,325     11/29/24     519  
JPMCB   HUF 30,175,472     USD 80,000     11/29/24     (311 )
JPMCB   MXN 2,391,972     USD 118,752     11/29/24     (270 )
JPMCB   NOK 329,396     USD 30,000     11/29/24     51  
JPMCB   NOK 2,543,384     USD 230,837     11/29/24     (411 )
JPMCB   PLN 120,089     USD 30,000     11/29/24     21  
JPMCB   PLN 281,904     USD 70,000     11/29/24     (376 )
JPMCB   SEK 105,935     USD 10,000     11/29/24     45  
JPMCB   SEK 1,280,785     USD 120,000     11/29/24     (357 )
JPMCB   SGD 39,680     USD 30,030     11/29/24     (53 )
JPMCB   USD 111,231     JPY 15,925,000     11/29/24     (6,097 )
JPMCB   USD 140,290     PLN 564,406     11/29/24     611  
JPMCB   USD 159,487     SEK 1,689,580     11/29/24     (714 )
JPMCB   USD 848,857     SGD 1,120,851     11/29/24     908  
JPMCB   USD 1,673,940     ZAR 29,652,551     11/29/24     4,432  
JPMCB   USD 133,000     ZAR 2,339,935     11/29/24     (557 )
JPMCB   ZAR 3,897,542     USD 219,559     11/29/24     (1,048 )
JPMCB   THB 3,741,000     USD 109,902     12/06/24     (1,190 )
JPMCB   USD 115,283     THB 3,741,000     12/06/24     (4,192 )
JPMCB   CNY 783,000     USD 110,871     12/12/24     507  
JPMCB   JPY 15,729,000     USD 107,301     12/12/24     3,275  
JPMCB   ZAR 3,938,000     USD 223,861     12/12/24     1,214  
JPMCB   BRL 15,729,447     USD 2,820,794     12/18/24     113,584  
JPMCB   BRL 174,540     USD 30,000     12/18/24     (40 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
JPMCB   CLP 382,358,770     USD 408,915     12/18/24   $ 11,338  
JPMCB   CLP 9,631,600     USD 10,000     12/18/24     (15 )
JPMCB   COP 1,505,624,210     USD 349,764     12/18/24     11,514  
JPMCB   IDR 20,016,006,075     USD 1,292,448     12/18/24     18,751  
JPMCB   IDR 185,314,294     USD 11,770     12/18/24     (22 )
JPMCB   INR 4,453,325     USD 53,000     12/18/24     131  
JPMCB   INR 13,189,066     USD 156,423     12/18/24     (157 )
JPMCB   KRW 2,276,685,132     USD 1,710,365     12/18/24     57,255  
JPMCB   KRW 235,263,590     USD 170,000     12/18/24     (826 )
JPMCB   PHP 13,771,910     USD 239,485     12/18/24     2,608  
JPMCB   PHP 3,497,460     USD 60,000     12/18/24     (156 )
JPMCB   THB 113,165,741     USD 3,409,201     12/18/24     45,678  
JPMCB   THB 6,373,110     USD 189,000     12/18/24     (422 )
JPMCB   TWD 28,801,366     USD 911,632     12/18/24     9,004  
JPMCB   TWD 13,626,036     USD 426,398     12/18/24     (637 )
JPMCB   USD 3,659,358     BRL 20,729,469     12/18/24     (91,585 )
JPMCB   USD 754,743     CLP 700,247,081     12/18/24     (26,623 )
JPMCB   USD 207,161     COP 888,917,290     12/18/24     (7,459 )
JPMCB   USD 34,647     IDR 545,340,992     12/18/24     55  
JPMCB   USD 2,161,343     IDR 33,466,547,621     12/18/24     (31,730 )
JPMCB   USD 209,769     INR 17,681,339     12/18/24     141  
JPMCB   USD 210,000     INR 17,634,856     12/18/24     (641 )
JPMCB   USD 70,000     KRW 96,657,182     12/18/24     183  
JPMCB   USD 1,670,953     KRW 2,221,461,024     12/18/24     (57,941 )
JPMCB   USD 243,524     PHP 13,708,716     12/18/24     (7,734 )
JPMCB   USD 367,522     THB 12,401,214     12/18/24     1,068  
JPMCB   USD 1,812,792     THB 60,068,623     12/18/24     (27,425 )
JPMCB   USD 311,006     TWD 9,956,941     12/18/24     1,042  
JPMCB   USD 1,050,554     TWD 33,115,799     12/18/24     (12,714 )
JPMCB   THB 3,689,000     USD 111,551     12/19/24     1,898  
JPMCB   USD 109,901     CHF 94,000     12/19/24     (501 )
JPMCB   USD 108,577     CZK 2,507,000     12/19/24     (752 )
JPMCB   USD 111,109     GBP 84,000     12/19/24     (2,805 )
JPMCB   ZAR 3,809,000     USD 215,263     12/27/24     188  
JPMCB   GBP 58,473     USD 77,265     12/31/24     1,876  
JPMCB   GBP 44,087     USD 55,812     12/31/24     (1,029 )
MSCI   AUD 160,000     USD 110,711     01/03/25     5,357  
MSCI   CZK 2,511,000     USD 110,679     01/03/25     2,617  
MSCI   HUF 39,497,000     USD 110,135     01/03/25     5,214  
MSCI   MXN 2,173,000     USD 107,147     01/03/25     (352 )
MSCI   USD 219,744     ZAR 3,821,000     01/03/25     (4,123 )
MSCI   INR 9,254,000     USD 109,771     01/06/25     1  
MSCI   AUD 162,000     USD 109,126     01/10/25     2,450  
MSCI   USD 215,910     ZAR 3,838,000     01/17/25     402  
MSCI   CZK 2,559,000     USD 109,959     01/24/25     (231 )
MSCI   KRW 151,266,000     USD 110,320     01/24/25     257  
MSCI   USD 107,837     MXN 2,182,000     01/24/25     (259 )
MSCI   INR 9,126,000     USD 108,107     01/31/25     (2 )
MSCI   USD 106,859     MXN 2,177,000     01/31/25     352  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
MSCI   USD 216,080     CLP 205,097,000     02/04/25   $ (2,843 )
MSCI   GBP 85,000     USD 112,409     11/01/24     2,805  
MSCI   CHF 97,000     USD 110,672     11/04/24     (1,655 )
MSCI   HUF 39,982,000     USD 109,565     11/04/24     3,023  
MSCI   MXN 2,078,000     USD 103,642     11/08/24     (136 )
MSCI   SGD 142,000     USD 107,599     11/08/24     45  
MSCI   USD 109,687     CZK 2,484,000     11/08/24     (2,969 )
MSCI   USD 107,205     NOK 1,178,000     11/08/24     (112 )
MSCI   USD 106,683     ZAR 1,990,000     11/08/24     6,155  
MSCI   CNY 1,850,386     USD 260,685     11/15/24     414  
MSCI   CZK 5,016,000     USD 217,827     11/15/24     2,303  
MSCI   SGD 144,000     USD 109,290     11/15/24     187  
MSCI   USD 101,283     CNY 714,812     11/15/24     (740 )
MSCI   ZAR 1,980,000     USD 110,072     11/15/24     (2,133 )
MSCI   KRW 68,471,958     USD 51,582     11/20/24     1,936  
MSCI   USD 134,526     KRW 181,649,890     11/20/24     (2,819 )
MSCI   MXN 2,057,000     USD 105,182     11/22/24     2,704  
MSCI   NOK 1,161,000     USD 109,895     11/22/24     4,339  
MSCI   USD 109,578     CLP 101,490,000     11/22/24     (4,033 )
MSCI   USD 110,578     EUR 99,000     11/22/24     (2,811 )
MSCI   USD 110,187     HUF 39,087,000     11/22/24     (6,119 )
MSCI   USD 111,313     JPY 16,086,000     11/22/24     (5,211 )
MSCI   USD 108,953     ZAR 1,954,000     11/22/24     1,712  
MSCI   MYR 478,000     USD 115,236     11/29/24     5,936  
MSCI   USD 108,967     CLP 99,514,000     11/29/24     (5,485 )
MSCI   USD 218,920     EUR 196,000     11/29/24     (5,502 )
MSCI   USD 110,553     MYR 478,000     11/29/24     (1,253 )
MSCI   ZAR 1,952,000     USD 112,336     11/29/24     1,850  
MSCI   AUD 162,000     USD 112,081     12/05/24     5,434  
MSCI   CZK 4,957,000     USD 219,029     12/05/24     5,951  
MSCI   KRW 146,480,000     USD 109,811     12/05/24     3,536  
MSCI   NOK 1,162,000     USD 109,529     12/05/24     3,875  
MSCI   USD 218,208     CZK 4,957,000     12/05/24     (5,131 )
MSCI   USD 108,408     HUF 38,852,000     12/05/24     (5,037 )
MSCI   ZAR 1,954,000     USD 112,658     12/05/24     2,116  
MSCI   KRW 147,309,000     USD 110,362     12/12/24     3,440  
MSCI   USD 218,442     ZAR 3,938,000     12/12/24     4,204  
MSCI   EUR 200,000     USD 223,606     12/19/24     5,638  
MSCI   HUF 39,274,000     USD 110,612     12/19/24     6,198  
MSCI   ZAR 1,957,000     USD 110,370     12/19/24     (208 )
MSCI   KRW 146,126,000     USD 111,442     12/20/24     5,326  
MSCI   CAD 149,000     USD 110,525     12/27/24     3,304  
MSCI   EUR 198,000     USD 221,364     12/27/24     5,498  
MSCI   PLN 423,000     USD 105,936     12/27/24     451  
MSCI   USD 109,419     CNY 777,000     12/27/24     231  
MSCI   USD 106,812     CZK 2,489,000     12/27/24     273  
MSCI   USD 218,677     ZAR 3,809,000     12/27/24     (3,603 )
SCB   USD 109,899     INR 9,254,000     01/06/25     (129 )
SCB   EUR 198,000     USD 218,526     01/10/25     2,522  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
SCB   CHF 2,700     USD 3,163     01/16/25   $ 10  
SCB   EUR 2,778,000     USD 3,016,589     01/16/25     (14,802 )
SCB   GBP 528,008     USD 689,308     01/16/25     8,600  
SCB   SEK 6,000     USD 570     01/16/25     4  
SCB   USD 2,927     EUR 2,700     01/16/25     18  
SCB   USD 15,832     GBP 12,200     01/16/25     (105 )
SCB   USD 6,941     SEK 73,100     01/16/25     (52 )
SCB   EUR 200,000     USD 219,062     01/17/25     810  
SCB   USD 220,470     CLP 208,896,000     01/24/25     (3,274 )
SCB   USD 108,391     PHP 6,325,000     01/30/25     361  
SCB   INR 9,180,000     USD 109,209     12/05/24     161  
SCB   USD 220,428     EUR 200,000     12/12/24     (2,532 )
SCB   PEN 420,000     USD 111,341     12/19/24     92  
SCB   USD 218,752     EUR 200,000     12/19/24     (786 )
SCB   PEN 417,000     USD 110,763     12/26/24     313  
SCB   USD 110,686     PEN 417,000     12/26/24     (236 )
SG   EUR 198,000     USD 220,794     01/03/25     4,858  
SG   USD 214,370     EUR 198,000     01/03/25     1,566  
SG   USD 108,827     PLN 429,000     01/10/25     (1,906 )
SG   EUR 11,900     USD 13,000     01/16/25     15  
SG   SEK 1,324,215     USD 128,086     01/16/25     3,302  
SG   USD 6,336     EUR 5,800     01/16/25     (7 )
SG   USD 108,425     PLN 428,000     01/17/25     (1,779 )
SG   CHF 95,000     USD 110,936     01/24/25     (85 )
SG   EUR 101,000     USD 109,489     01/31/25     (795 )
SG   USD 105,740     MXN 2,078,000     11/08/24     (1,963 )
SG   JPY 16,084,000     USD 113,356     11/15/24     7,362  
SG   TWD 3,536,000     USD 110,402     11/15/24     (74 )
SG   USD 110,744     SGD 144,000     11/15/24     (1,641 )
SG   HUF 39,087,000     USD 109,522     11/22/24     5,455  
SG   USD 110,449     CHF 93,000     11/29/24     (2,462 )
SG   USD 220,520     EUR 198,000     12/05/24     (4,872 )
SG   USD 111,243     JPY 15,729,000     12/12/24     (7,217 )
SG   INR 9,228,000     USD 109,442     12/26/24     (73 )
SG   CHF 93,000     USD 110,775     12/27/24     2,436  
SG   USD 108,238     CHF 93,000     12/27/24     102  
SSB   USD 5,270     EUR 4,851     11/01/24     7  
SSB   AUD 5,038     USD 3,304     11/04/24     (11 )
SSB   EUR 2,767     USD 3,004     11/04/24     (6 )
SSB   GBP 7,039     USD 9,067     11/04/24     (10 )
SSB   JPY 117,937     USD 774     11/04/24     (2 )
SSB   MXN 30,049     USD 1,498     11/04/24     (3 )
SSB   NOK 185,777     USD 16,862     11/04/24     (27 )
SSB   NZD 7,889     USD 4,699     11/04/24     (16 )
SSB   PLN 33,662     USD 8,395     11/04/24     (15 )
SSB   SEK 78,398     USD 7,335     11/04/24     (24 )
SSB   USD 3,004     EUR 2,767     11/04/24     6  
SSB   USD 9,067     GBP 7,039     11/04/24     10  
SSB   USD 1,498     MXN 30,049     11/04/24     3  

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

Counterparty   Sell     Purchase     Settlement
date
  Unrealized
appreciation
(depreciation)
 
SSB   USD 16,862     NOK 185,777     11/04/24   $ 27  
SSB   USD 4,699     NZD 7,889     11/04/24     16  
SSB   USD 8,395     PLN 33,662     11/04/24     16  
SSB   USD 7,335     SEK 78,398     11/04/24     24  
SSB   USD 242     ZAR 4,273     11/04/24     2  
SSB   ZAR 4,273     USD 242     11/04/24     (1 )
Net unrealized appreciation (depreciation)             $ (13,559 )

 

Fair valuation summary

 

The following is a summary of the fair valuations according to the inputs used as of October 31, 2024 in valuing the Portfolio's investments. In the event a Portfolio holds investments for which fair value is measured using the NAV per share practical expedient (or its equivalent), a separate column will be added to the fair value hierarchy table; this is intended to permit reconciliation to the amounts presented in the Portfolio of investments:

 

Description     Unadjusted
quoted prices in
active market for
identical investments
(Level 1)
 
    Other significant
observable inputs
(Level 2)
 
    Unobservable
inputs
(Level 3)
 
    Total    
Assets                        
Common stocks   $ 149,382,514     $ 74     $     $ 149,382,588  
Preferred stocks     261,984                   261,984  
Exchange traded funds     3,746,192                   3,746,192  
Investment companies     31,939,861                   31,939,861  
Warrant                        
Corporate bonds           22,473,365             22,473,365  
Short-term investments                                
Investment companies           115,395,358             115,395,358  
Options purchased     903,943       416,867             1,320,810  
Equity and foreign exchange options purchased     1,202,185       1,191,711             2,393,896  
Futures contracts     268,997                   268,997  
Swap agreements           1,576,818       25,361       1,602,179  
Forward foreign currency contracts           894,831             894,831  
Total   $ 187,705,676     $ 141,949,024     $ 25,361     $ 329,680,061  
                                 
Liabilities                                
Investments sold short                                
Common stocks   $ (65,467,218 )   $     $     $ (65,467,218 )
Preferred stocks     (255,019 )                 (255,019 )
Exchange traded funds     (10,162,855 )                 (10,162,855 )
Equity options written     (1,231,617 )     (111,841 )           (1,343,458 )
Futures contracts     (800,592 )                 (800,592 )
Swap agreements           (2,524,235 )           (2,524,235 )
Forward foreign currency contracts           (908,390 )           (908,390 )
Total   $ (77,917,301 )   $ (3,544,466 )   $     $ (81,461,767 )

 

 

 

 

PACE Alternative Strategies Investments
Portfolio of investments – October 31, 2024 (unaudited)

 

At October 31, 2024, there were no transfers in or out of Level 3.

 

Securities valued using unobservable inputs, i.e. Level 3, were not considered significant to the Fund.

 

 

Portfolio footnotes

 

Amount represents less than 0.05% or (0.05)%.

* Non–income producing security.
1  Security, or portion thereof, pledged as collateral for investments sold short, written options, futures and/or swap agreements.
2  Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933. These securities are considered liquid, unless noted otherwise, and may be resold in transactions exempt from registrations, normally to qualified institutional buyers. Securities exempt from registration pursuant to Rule 144A, in the amount of $2,293,055, represented 0.7% of the Portfolios net assets at period end.
3  Security fair valued by the Valuation Committee under the direction of the Board of Trustees.
4 Significant unobservable inputs were used in the valuation of this security; i.e. Level 3.
5  In U.S. dollars unless otherwise indicated.
6  Zero coupon bond.
7 Bond interest in default.
8 Rates shown reflect yield at October 31, 2024.
9  Payments made or received are based on the notional amount.

10

If the Portfolio is a buyer of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) receive from the seller of protection an amount equal to the notional amount of the swap and deliver the referenced obligation or underlying securities comprising the referenced obligation or (ii) receive a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced or underlying securities comprising the referenced obligation.

 

11 If the Portfolio is a seller of protection and a credit event occurs, as defined under the terms of that particular swap agreement, the Portfolio will either (i) pay to the buyer of protection an amount equal to the notional amount of the swap and take delivery of the referenced obligation or underlying securities comprising the referenced obligation or (ii) pay a net settlement amount in the form of cash or securities equal to the notional amount of the swap less the recovery value of the referenced obligation or underlying securities comprising the referenced obligation.obligation or underlying securities comprising the referenced obligation.

 

 

 

PACE Select Advisors Trust

Glossary of terms used in the Portfolio of investments
October 31, 2024 (unaudited)

Portfolio acronyms:

ABS  Asset-backed Security

ADR  American Depositary Receipt

AGM  Assured Guaranty Municipal

AID  Anticipation Certificates of Indebtedness

AMBAC  American Municipal Bond Assurance Corporation

AMT  Alternative Minimum Tax

ARM  Adjustable Rate Mortgage

BAM  Build Americal Mutual

BBSW  Bank Bill Swap Rate

BOBL  Bundesobligationen

CDO  Collateralized Debt Obligation

CJSC  Closed Joint Stock Company

CLO  Collateralized Loan Obligation

CMT  Constant Maturity Treasury Index

COFI  Cost of Funds Index

COP  Certificate of Participation

CPI  Consumer Price Index

DAC  Designated Activity Company

DIP  Debtor-in-possession

ETF  Exchange Traded Fund

EURIBOR  Euro Interbank Offered Rate

FHA  Federal Housing Administration

FHLB  Federal Home Loan Bank

FHLMC  Federal Home Loan Mortgage Corporation

FNMA  Federal National Mortgage Association

FRN  Floating Rate Note

GDR  Global Depositary Receipt

GMAC  General Motors Acceptance Corporation

GNMA  Government National Mortgage Association

GO  General Obligation

GSAMP  Goldman Sachs Asset Mortgage Passthrough

GTD  Guaranteed

 

IO  Interest Only

JSC  Joint Stock Company

LIBOR  London Interbank Offered Rate

MGIC  Mortgage Guaranty Insurance Corporation

MTA  Monthly Treasury Average Index

NVDR  Non-Voting Depository Receipt

OAT  Obligation Assimilables du Trésor (French Government Bonds)

OBFR  Overnight Bank Funding Rate

OTC  Over The Counter

PJSC  Private Joint Stock Company

PO  Principal Only

PSF  Permanent School Fund

RASC  Retirement Administration Service Center

RBA IOCR  RBA Interbank Overnight Cash Rate

REIT  Real Estate Investment Trust

REMIC  Real Estate Mortgage Investment Conduit

RFUCCT  Refinitiv USD IBOR Consumer Cash Fallbacks

RPI  Retail Price Index

SBA  Small Business Administration

SIFMA  Municipal Swap Index Yield

SOFR  Secured Overnight Financing Rate

SONIA  Sterling Overnight Index Average

SPDR  Standard and Poor's Depository Receipts

STRIP  Separate Trading of Registered Interest and Principal of Securities

TBA  To-Be-Announced Security

TIPS  Treasury inflation protected securities

UMBS  Uniform Mortgage-Backed Securities

VRD  Variable rate demand notes are payable on demand. The interest rates shown are the current rates as of period end and reset periodically.

 

 

 

 

Currency type abbreviations:

ARS  Argentine Peso

AUD  Australian Dollar

BRL   Brazilian Real

CAD  Canadian Dollar

CHF   Swiss Franc

CLP  Chilean Peso

CNH  Chinese Yuan Renminbi Offshore

CNY   Chinese Yuan Renminbi

COP  Colombian Peso

CZK  Czech Koruna

DKK  Danish Krone

EUR  Euro

GBP  British Pound

HKD  Hong Kong Dollar

HUF  Hungarian Forint

IDR  Indonesian Rupiah

ILS  Israeli Shekel

INR  Indian Rupee

JPY  Japanese Yen

 

KRW  South Korean Won

MXN  Mexican Peso

MYR  Malaysian Ringgit

NOK  Norwegian Krone

NZD  New Zealand Dollar

PEN  Peruvian Sol

PHP  Philippine Peso

PLN  Polish Zloty

RON  Romanian Leu

RUB  Russian Ruble

SEK  Swedish Krona

SGD  Singapore Dollar

THB  Thai Baht

TRY  Turkish Lira

TWD   Taiwan Dollar

USD   United States Dollar

WF   Wells Fargo Investment LLC

ZAR   South African Rand

 

 

 

 

Counterparty acronyms:

ANZ  Australia and New Zealand Banking Group

BB  Barclays Bank PLC

BNP  BNP Paribas

BOA  Bank of America

CIBC  Canadian Imperial Bank of Commerce

CITI  Citibank NA

CSI  Credit Suisse International

DB  Deutsche Bank AG

GS  Goldman Sachs

GSI  Goldman Sachs International

HSBC  HSBC Bank PLC

 

JPMCB  JPMorgan Chase Bank

MSCI  Morgan Stanley & Co. International PLC

NW  National Westminster

RBC  Royal Bank of Canada

RBS  Royal Bank of Scotland PLC

SCB  Standard Chartered Bank

SG  Societe Generale

SSB  State Street Bank and Trust Co.

TD  Toronto-Dominion Bank

WBC  Westpac Banking Corp.

See accompanying notes to financial statements


 

PACE Select Advisors Trust

 

Valuation of investments

 

Each Portfolio generally calculates its net asset value on days that the New York Stock Exchange (“NYSE”) is open. A Portfolio calculates net asset value separately for each class as of the close of regular trading on the NYSE (generally, 4:00 p.m., Eastern time). The NYSE normally is not open, and the Portfolios do not price their shares, on most national holidays and Good Friday. To the extent that a Portfolio’s assets are traded in other markets on days when the NYSE is not open, the value of a Portfolio’s assets may be affected on those days. If trading on the NYSE is halted for the day before 4:00 p.m., Eastern time, a Portfolio’s net asset value per share generally will still be calculated as of the close of regular trading on the NYSE. The time at which a Portfolio calculates its net asset value and until which purchase, sale or exchange orders are accepted may be changed as permitted by the SEC.

 

Each Portfolio calculates its net asset value based on the current market value, where available, for its portfolio investments. The Portfolios normally obtain market values for their investments from independent pricing sources and broker-dealers. Independent pricing sources may use reported last sale prices, official market closing prices, current market quotations or valuations from computerized “evaluation” systems that derive values based on comparable investments. An evaluation system incorporates parameters such as security quality, maturity and coupon, and/ or research and evaluations by its staff, including review of broker-dealer market price quotations, if available, in determining the valuation of the portfolio investments. Investments also may be valued based on appraisals derived from information concerning the investment or similar investments received from recognized dealers in those holdings.

 

Investments traded in the over-the-counter (“OTC”) market and listed on The NASDAQ Stock Market, Inc. (“NASDAQ”) normally are valued at the NASDAQ Official Closing Price. Other OTC securities are valued at the last bid price on the valuation date available prior to valuation. Investments which are listed on US and foreign stock exchanges normally are valued at the market closing price, the last sale price on the day the securities are valued or, lacking any sales on such day, at the last available bid price. Investments listed on foreign stock exchanges may be fair valued based on significant events that have occurred subsequent to the close of the foreign markets. In cases where investments are traded on more than one exchange, the investments are valued on the exchange designated as the primary market by UBS AM. If a market value is not readily available from an independent pricing source for a particular investment, that investment is valued at fair value as determined in good faith by or under the direction of the Board. Foreign currency exchange rates are generally determined as of the close of the NYSE.

 

Certain investments in which the Portfolios invest are traded in markets that close before 4:00 p.m., Eastern time. Normally, developments that occur between the close of the foreign markets and 4:00 p.m., Eastern time, will not be reflected in a Portfolio’s net asset value. However, if any of the Portfolios determine that such developments are so significant that they will materially affect the value of the Portfolio’s investments, the Portfolio may adjust the previous closing prices to reflect what is believed to be the fair value of these investments as of 4:00 p.m., Eastern time.

 

Certain Portfolios may use a systematic fair valuation model provided by an independent third party to value investments principally traded in foreign markets in order to adjust for possible stale pricing that may occur between the close of the foreign exchanges and the time for valuation. The systematic fair valuation model may use calculations based on indices of domestic securities and other appropriate indicators, such as prices of relevant ADRs and futures contracts. If an investment is valued at “fair value,” that value is likely to be different from the last quoted market price for the investment. The use of the fair valuation model may result in securities being transferred between Level 1 and Level 2 of the fair valuation hierarchy at the end of the reporting period.

 

The amortized cost method of valuation, which approximates market value, generally is used to value short-term debt instruments with 60 days or less remaining to maturity, unless the Board determines that this does not represent fair value.

 

Investments in open-end investment companies are valued at the daily closing net asset value of the respective investment company. Pursuant to the Portfolios’ use of the practical expedient within ASC Topic 820, Fair value measurement, investments in investment companies without publicly published prices are also valued at the daily net asset value.

 

 

 

 

All investments quoted in foreign currencies are valued daily in US dollars on the basis of the foreign currency exchange rates prevailing at the time such valuation is determined by the Portfolios’ custodian.

 

Futures contracts are generally valued at the settlement price established each day on the exchange on which they are traded. Forward foreign currency contracts are valued daily using forward exchange rates quoted by independent pricing services.

 

OTC swaps are marked-to-market daily based upon values from third party vendors or quotations from market makers to the extent available. In the event that market quotations are not readily available or deemed unreliable, the swap is valued at fair value as determined in good faith by or under the direction of the Board. Centrally cleared swaps are valued using prices from the counterparty clearing houses.

 

The Board has designated UBS AM as the valuation designee pursuant to Rule 2a-5 under the 1940 Act, and delegated to UBS AM the responsibility for making fair value determinations with respect to portfolio holdings. UBS AM, as the valuation designee, is responsible for periodically assessing any material risks associated with the determination of the fair value of investments; establishing and applying fair value methodologies; testing the appropriateness of fair value methodologies; and overseeing and evaluating third-party pricing services. UBS AM has the Equities, Fixed Income, and Multi-Asset Valuation Committee (the “VC”) to assist with its designated responsibilities as valuation designee with respect to the Portfolios’ portfolio holdings. The VC is comprised of representatives of management. The VC provides reports to the Board at each quarterly meeting regarding any investments that have been fair valued, valued pursuant to standing instructions approved by the VC, or where non-vendor pricing sources had been used to make fair value determinations when sufficient information exists during the prior quarter. Fair valuation determinations are subject to review at least monthly by the VC during scheduled meetings. Pricing decisions, processes, and controls over fair value determinations are subject to internal and external reviews, including annual internal compliance reviews and periodic internal audit reviews.

 

The types of investments for which such fair value pricing may be necessary include, but are not limited to: foreign investments under some circumstances, securities of an issuer that has entered into a restructuring; investments whose trading has been halted or suspended; fixed income securities that are in default and for which there is no current market value quotation; and investments that are restricted as to transfer or resale. The need to fair value a Portfolio’s portfolio investments may also result from low trading volume in foreign markets or thinly traded domestic investments, and when a security that is subject to a trading limit or collar on the exchange or market on which it is primarily traded reaches the “limit up” or “limit down” price and no trading has taken place at that price. Various factors may be reviewed in order to make a good faith determination of an investment’s fair value. These factors include, but are not limited to, fundamental analytical data relating to the investment; the nature and duration of restrictions on disposition of the investment; and the evaluation of forces which influence the market in which the investment is purchased and sold. Valuing investments at fair value involves greater reliance on judgment than valuing investments that have readily available market quotations. Fair value determinations can also involve reliance on quantitative models employed by a fair value pricing service.

 

US generally accepted accounting principles (“US GAAP”) requires disclosure regarding the various inputs that are used in determining the value of each Portfolio’s investments. These inputs are summarized into the three broad levels listed below:

 

Level 1—Unadjusted quoted prices in active markets for identical investments.

 

Level 2—Other significant observable inputs, including but not limited to, quoted prices for similar investments, interest rates, prepayment speeds and credit risks.

 

Level 3—Unobservable inputs inclusive of each Portfolio’s own assumptions in determining the fair value of investments. A fair value hierarchy table has been included near the end of each Portfolio’s portfolio of investments.

 

For more information regarding the Portfolios’ other significant accounting policies, please refer to the Portfolio’s annual report to shareholders dated July 31, 2024.