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Treasurer XXXX NPORT-EX 2 55700_0000934563.htm

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 99.68%
     Aerospace & Defense — 1.46% 
 3,065   HEICO Corp.  $496 
 1,057   L3Harris Technologies, Inc.   184 
 5,411   Lockheed Martin Corp.   2,213 
 747   Northrop Grumman Corp.   329 
 18,437   RTX Corp.   1,327 
 5,412   The Boeing Co.(a)   1,037 
 4,420   TransDigm Group, Inc.(a)   3,727 
         9,313 
           
     Air Freight & Logistics — 0.63% 
 305   Expeditors International of Washington, Inc.   35 
 4,786   FedEx Corp.   1,268 
 1,886   GXO Logistics, Inc.(a)   111 
 16,845   United Parcel Service, Inc., Class - B   2,625 
         4,039 
           
     Automobile Components — 2.12% 
 7,064   General Motors Co.   233 
 585   Gentex Corp.   19 
 12,500   Lear Corp.   1,678 
 117,723   Lucid Group, Inc.(a)   658 
 55,879   Rivian Automotive, Inc., Class - A(a)   1,357 
 36,457   Tesla, Inc.(a)   9,122 
 37,827   The Goodyear Tire & Rubber Co.(a)   470 
         13,537 
           
     Banks — 3.37%     
 225,733   Bank of America Corp.   6,181 
 16,687   Bank OZK   619 
 7,844   Citigroup, Inc.   323 
 1,826   Citizens Financial Group, Inc.   49 
 5,616   Columbia Banking System, Inc.   114 
 15,989   Comerica, Inc.   664 
 656   Commerce Bancshares, Inc.   31 
 1,552   Cullen/Frost Bankers, Inc.   142 
 3,013   East West Bancorp, Inc.   159 
 13,076   Fifth Third Bancorp   331 
 591   First Citizens BancShares, Inc., Class - A   816 
 6,815   First Hawaiian, Inc.   123 
 41,225   Huntington Bancshares, Inc.   429 
 52,407   JPMorgan Chase & Co.   7,600 
 3,497   M&T Bank Corp.   442 
 42,174   Synovus Financial Corp.   1,172 
 8,270   The PNC Financial Services Group, Inc.   1,015 
 13,406   Wells Fargo & Co.   548 
 16,779   Western Alliance Bancorp   771 
         21,529 
           
     Beverages — 1.78%     
 4,600   Brown-Forman Corp., Class - B   265 
 2,846   Constellation Brands, Inc., Class - A   715 
 6,891   Keurig Dr. Pepper, Inc.   218 
 9,060   Monster Beverage Corp.(a)   480 
 28,839   PepsiCo, Inc.   4,886 
 85,987   The Coca-Cola Co.   4,814 
         11,378 
           
     Biotechnology — 2.55%     
 34,760   AbbVie, Inc.   5,180 
 2,223   Alnylam Pharmaceuticals, Inc.(a)   394 
 14,171   Amgen, Inc.   3,809 
 8,247   Seagen, Inc.(a)   1,750 
 17,938   United Therapeutics Corp.(a)   4,052 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Biotechnology (continued)     
 3,143   Vertex Pharmaceuticals, Inc.(a)  $1,093 
         16,278 
           
     Broadline Retail — 3.24%     
 154,380   Amazon.com, Inc.(a)   19,624 
 15,760   eBay, Inc.   695 
 5,126   Ollie's Bargain Outlet Holdings, Inc.(a)   396 
         20,715 
           
     Building Products — 0.70% 
 10,045   A.O. Smith Corp.   664 
 21,311   Carrier Global Corp.   1,176 
 13,273   Johnson Controls International PLC   706 
 6,549   Masco Corp.   350 
 7,831   Trane Technologies PLC   1,590 
         4,486 
           
     Capital Markets — 2.46% 
 4,496   Affiliated Managers Group, Inc.   586 
 2,506   Ameriprise Financial, Inc.   826 
 2,656   Ares Management Corp., Class - A   273 
 4,582   BlackRock, Inc.   2,962 
 1,669   CME Group, Inc.   334 
 7,651   Coinbase Global, Inc., Class - A(a)   574 
 4,721   Evercore, Inc.   651 
 16,955   Franklin Resources, Inc.   417 
 2,293   Interactive Brokers Group, Inc.   198 
 3,061   Intercontinental Exchange, Inc.   337 
 9,972   Invesco Ltd.   145 
 17,093   Jefferies Financial Group, Inc.   626 
 9,493   KKR & Co., Inc.   585 
 20,369   Morgan Stanley   1,664 
 686   Morningstar, Inc.   161 
 1,887   Nasdaq, Inc.   92 
 269   S&P Global, Inc.   98 
 7,695   State Street Corp.   515 
 7,780   T. Rowe Price Group, Inc.   816 
 25,629   The Charles Schwab Corp.   1,407 
 7,506   The Goldman Sachs Group, Inc.   2,429 
         15,696 
           
     Chemicals — 1.63%     
 7,464   Air Products & Chemicals, Inc.   2,116 
 4,923   Axalta Coating Systems Ltd.(a)   132 
 1,640   Celanese Corp.   206 
 30,439   CF Industries Holdings, Inc.   2,611 
 9,311   Corteva, Inc.   476 
 9,217   Dow, Inc.   475 
 13,063   DuPont de Nemours, Inc.   974 
 1,619   Linde PLC   603 
 7,173   LyondellBasell Industries N.V., Class - A   679 
 24,876   Olin Corp.   1,243 
 6,716   PPG Industries, Inc.   872 
         10,387 
           
     Commercial Services & Supplies — 1.35% 
 11,948   Clean Harbors, Inc.(a)   2,000 
 109,396   Copart, Inc.(a)   4,713 
 1,577   RB Global, Inc.   99 
 1,270   Republic Services, Inc.   181 
 2,747   Stericycle, Inc.(a)   123 
 9,682   Waste Management, Inc.   1,476 
         8,592 

 

 

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Communications Equipment — 0.80% 
 90,637   Cisco Systems, Inc.  $4,872 
 774   Motorola Solutions, Inc.   211 
         5,083 
           
     Construction & Engineering — 0.12% 
 3,578   AECOM   297 
 841   Arcosa, Inc.   60 
 2,295   Quanta Services, Inc.   430 
         787 
           
     Construction Materials — 0.17% 
 1,351   Martin Marietta Materials, Inc.   554 
 2,578   Vulcan Materials Co.   521 
         1,075 
           
     Consumer Finance — 0.97%     
 20,855   American Express Co.   3,112 
 20,025   Capital One Financial Corp.   1,943 
 6,409   Discover Financial Services   555 
 14,450   OneMain Holdings, Inc.   579 
         6,189 
           
     Consumer Staples Distribution & Retail — 1.80% 
 3,254   Casey's General Stores, Inc.   884 
 2,691   Costco Wholesale Corp.   1,520 
 952   Dollar General Corp.   101 
 4,169   Dollar Tree, Inc.(a)   444 
 9,412   Sysco Corp.   622 
 17,745   Target Corp.   1,961 
 9,040   The Kroger Co.   405 
 34,781   Walmart, Inc.   5,562 
         11,499 
           
     Containers & Packaging — 0.33%     
 262   AptarGroup, Inc.   33 
 27   Avery Dennison Corp.   5 
 22,939   Ball Corp.   1,142 
 10,608   International Paper Co.   376 
 2,050   Packaging Corp. of America   315 
 2,320   Silgan Holdings, Inc.   100 
 2,452   Sonoco Products Co.   133 
         2,104 
           
     Distributors — 0.09%     
 3,827   Genuine Parts Co.   553 
           
     Diversified Consumer Services — 0.08% 
 7,498   H&R Block, Inc.   323 
 3,097   Service Corp. International   177 
         500 
           
     Diversified REITs — 0.02%     
 1,385   Federal Realty Investment Trust   126 
           
     Diversified Telecommunication Services — 0.25% 
 4,671   GCI Liberty, Inc.(a)(b)    
 48,780   Verizon Communications, Inc.   1,581 
         1,581 
           
     Electric Utilities — 1.37%     
 1,604   Alliant Energy Corp.   78 
 30,034   American Electric Power Co., Inc.   2,259 
 3,035   Constellation Energy Corp.   331 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Electric Utilities (continued)     
 7,685   Duke Energy Corp.  $678 
 1,914   Edison International   121 
 9,746   Eversource Energy   567 
 9,106   Exelon Corp.   344 
 35,480   NextEra Energy, Inc.   2,033 
 32,159   The Southern Co.   2,081 
 4,017   Xcel Energy, Inc.   230 
         8,722 
           
     Electrical Equipment — 0.83%     
 3,350   AMETEK, Inc.   495 
 12,355   Eaton Corp. PLC   2,635 
 16,658   Emerson Electric Co.   1,609 
 3,984   Regal Rexnord Corp.   569 
         5,308 
           
     Electronic Equipment, Instruments & Components — 0.02% 
 1,050   Keysight Technologies, Inc.(a)   139 
           
     Energy Equipment & Services — 0.71% 
 26,930   Halliburton Co.   1,091 
 6,095   Helmerich & Payne, Inc.   257 
 23,556   Patterson-UTI Energy, Inc.   326 
 42,009   Schlumberger N.V.   2,449 
 21,429   TechnipFMC PLC   436 
         4,559 
           
     Entertainment — 0.83%     
 2,063   Activision Blizzard, Inc.   193 
 430   Atlanta Braves Holdings, Inc.(a)   15 
 14,871   Liberty Media Corp.-Liberty Formula One(a)   926 
 636   Liberty Media Corp.-Liberty Live(a)   20 
 4,935   Netflix, Inc.(a)   1,864 
 28,322   The Walt Disney Co.(a)   2,296 
         5,314 
           
     Financial Services — 3.58%     
 8,213   Apollo Global Management, Inc.   737 
 23,433   Berkshire Hathaway, Inc., Class - B(a)   8,208 
 14,613   Equitable Holdings, Inc.   415 
 3,316   Fiserv, Inc.(a)   375 
 4,425   Global Payments, Inc.   511 
 18,311   Mastercard, Inc., Class - A   7,249 
 23,246   Visa, Inc., Class - A   5,347 
 43   WEX, Inc.(a)   8 
         22,850 
           
     Food Products — 0.77%     
 13,782   Archer-Daniels-Midland Co.   1,040 
 3,437   Campbell Soup Co.   141 
 16,807   Conagra Brands, Inc.   461 
 5,689   Flowers Foods, Inc.   126 
 12,760   General Mills, Inc.   817 
 2,450   Hormel Foods Corp.   93 
 10,284   Kellogg Co.   612 
 9,502   Mondelez International, Inc., Class - A   659 
 1,277   Post Holdings, Inc.(a)   109 
 1,964   The Hershey Co.   393 
 13,887   The Kraft Heinz Co.   467 
         4,918 

 

 

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Gas Utilities — 0.01%     
 808   Atmos Energy Corp.  $86 
           
     Ground Transportation — 1.16% 
 4,011   CSX Corp.   123 
 2,655   Knight-Swift Transportation Holdings, Inc.   133 
 5,345   Norfolk Southern Corp.   1,053 
 1,462   Old Dominion Freight Line, Inc.   598 
 1,886   RXO, Inc.(a)   37 
 7,527   Ryder System, Inc.   805 
 13,196   Uber Technologies, Inc.(a)   607 
 327   U-Haul Holding Co.(a)   18 
 2,943   U-Haul Holding Co.   154 
 18,473   Union Pacific Corp.   3,762 
 1,886   XPO, Inc.(a)   141 
         7,431 
           
     Health Care Equipment & Supplies — 2.13% 
 48,674   Abbott Laboratories   4,713 
 5,533   Align Technology, Inc.(a)   1,689 
 4,797   Becton Dickinson & Co.   1,240 
 5,314   Dexcom, Inc.(a)   496 
 9,953   Edwards Lifesciences Corp.(a)   690 
 1,648   Enovis Corp.(a)   87 
 2,648   GE HealthCare Technologies, Inc.   180 
 1,653   IDEXX Laboratories, Inc.(a)   723 
 2,647   Intuitive Surgical, Inc.(a)   774 
 28,708   Medtronic PLC   2,250 
 1,434   Penumbra, Inc.(a)   347 
 1,498   STERIS PLC   329 
 352   Teleflex, Inc.   69 
         13,587 
           
     Health Care Providers & Services — 3.02% 
 3,127   AmerisourceBergen Corp.   563 
 24,101   Centene Corp.(a)   1,660 
 14,322   CVS Health Corp.   1,000 
 4,252   Elevance Health, Inc.   1,851 
 4,756   HCA Healthcare, Inc.   1,170 
 2,789   Humana, Inc.   1,357 
 2,131   Laboratory Corp. of America Holdings   428 
 4,072   McKesson Corp.   1,771 
 992   Molina Healthcare, Inc.(a)   325 
 2,928   Quest Diagnostics, Inc.   357 
 11,241   The Cigna Group   3,216 
 11,048   UnitedHealth Group, Inc.   5,570 
         19,268 
           
     Health Care REITs — 0.07% 
 5,701   Welltower, Inc.   467 
           
     Health Care Technology — 0.38% 
 11,861   Veeva Systems, Inc., Class - A(a)   2,413 
           
     Hotels, Restaurants & Leisure — 2.07% 
 3,359   Airbnb, Inc., Class - A(a)   461 
 7,828   Caesars Entertainment, Inc.(a)   363 
 2,249   Darden Restaurants, Inc.   322 
 23,594   DraftKings, Inc.(a)   695 
 148   Hilton Worldwide Holdings, Inc.   22 
 3,826   Hyatt Hotels Corp., Class - A   406 
 1,434   Marriott International, Inc., Class - A   282 
 20,166   McDonald's Corp.   5,312 
 51,410   Norwegian Cruise Line Holdings Ltd.(a)   847 
 16,947   Royal Caribbean Cruises Ltd.(a)   1,561 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Hotels, Restaurants & Leisure (continued) 
 30,827   Starbucks Corp.  $2,814 
 546   Vail Resorts, Inc.   121 
         13,206 
           
     Household Durables — 0.50% 
 3,443   D.R. Horton, Inc.   370 
 3,121   Garmin Ltd.   328 
 3,252   Leggett & Platt, Inc.   83 
 6,964   Lennar Corp., Class - A   782 
 83   Lennar Corp., Class - B   8 
 4,132   PulteGroup, Inc.   306 
 17,676   Toll Brothers, Inc.   1,307 
         3,184 
           
     Household Products — 1.58% 
 2,171   Church & Dwight Co., Inc.   199 
 16,240   Kimberly-Clark Corp.   1,963 
 1,218   The Clorox Co.   160 
 53,465   The Procter & Gamble Co.   7,798 
         10,120 
           
     Industrial Conglomerates — 0.60% 
 7,946   General Electric Co.   878 
 16,050   Honeywell International, Inc.   2,966 
         3,844 
           
     Industrial REITs — 0.59% 
 35,435   Americold Realty Trust, Inc.   1,078 
 20,968   Prologis, Inc.   2,352 
 6,543   Rexford Industrial Realty, Inc.   323 
         3,753 
           
     Insurance — 2.09%     
 23,465   Aflac, Inc.   1,801 
 560   Aon PLC, Class - A   182 
 3,589   Arthur J. Gallagher & Co.   818 
 1,195   Assurant, Inc.   172 
 1,709   Brown & Brown, Inc.   119 
 3,252   Cincinnati Financial Corp.   333 
 52,976   Fidelity National Financial, Inc.   2,188 
 27,206   Lincoln National Corp.   672 
 2,577   Marsh & McLennan Cos., Inc.   490 
 26,353   MetLife, Inc.   1,658 
 7,077   Old Republic International Corp.   191 
 6,114   Prudential Financial, Inc.   580 
 3,014   RenaissanceRe Holdings Ltd.   597 
 26,534   The Allstate Corp.   2,955 
 2,945   The Progressive Corp.   410 
 3,246   W.R. Berkley Corp.   206 
         13,372 
           
     Interactive Media & Services — 5.89% 
 125,340   Alphabet, Inc., Class - A(a)   16,403 
 91,660   Alphabet, Inc., Class - C(a)   12,085 
 7,722   IAC, Inc.(a)   389 
 29,177   Meta Platforms, Inc., Class - A(a)   8,759 
         37,636 
           
     IT Services — 1.16%     
 2,831   Accenture PLC, Class - A   869 
 3,168   Akamai Technologies, Inc.(a)   338 
 1,853   Cognizant Technology Solutions Corp., Class - A   126 
 8,471   EPAM Systems, Inc.(a)   2,165 

 

 

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     IT Services (continued)     
 13,957   GoDaddy, Inc., Class - A(a)  $1,040 
 2,117   International Business Machines Corp.   297 
 13,322   Okta, Inc.(a)   1,086 
 4,262   Snowflake, Inc., Class - A(a)   651 
 4,247   VeriSign, Inc.(a)   860 
         7,432 
           
     Leisure Products — 0.12%     
 1,780   Brunswick Corp.   141 
 1,159   Hasbro, Inc.   77 
 10,271   Mattel, Inc.(a)   226 
 3,276   Polaris, Inc.   341 
         785 
           
     Life Sciences Tools & Services — 1.11% 
 4,371   Agilent Technologies, Inc.   489 
 398   Bio-Rad Laboratories, Inc., Class - A(a)   143 
 1,294   Bruker Corp.   81 
 438   Charles River Laboratories International, Inc.(a)   86 
 3,501   Danaher Corp.   869 
 2,131   Fortrea Holdings, Inc.(a)   61 
 710   IQVIA Holdings, Inc.(a)   140 
 2,796   Mettler-Toledo International, Inc.(a)   3,097 
 2,339   QIAGEN N.V.(a)   95 
 485   Revvity, Inc.   54 
 3,456   Thermo Fisher Scientific, Inc.   1,748 
 720   Waters Corp.(a)   197 
         7,060 
           
     Machinery — 1.69%     
 11,054   AGCO Corp.   1,307 
 12,196   Caterpillar, Inc.   3,330 
 5,428   Cummins, Inc.   1,240 
 53   Donaldson Co., Inc.   3 
 4,752   Dover Corp.   663 
 1,648   Esab Corp.   116 
 28   IDEX Corp.   6 
 6,910   Ingersoll Rand, Inc.   440 
 1,442   ITT, Inc.   141 
 1,244   Nordson Corp.   278 
 17,062   Oshkosh Corp.   1,628 
 7,507   Otis Worldwide Corp.   603 
 1,693   Parker-Hannifin Corp.   659 
 2,490   The Timken Co.   183 
 1,711   Westinghouse Air Brake Technologies Corp.   182 
 485   Xylem, Inc.   44 
         10,823 
           
     Media — 0.72%     
 84,982   Comcast Corp., Class - A   3,767 
 4,889   Fox Corp., Class - A   153 
 3,789   Omnicom Group, Inc.   282 
 14,641   The Interpublic Group of Cos., Inc.   420 
         4,622 
           
     Metals & Mining — 0.57%     
 49,484   Alcoa Corp.   1,438 
 18,550   Newmont Corp.   685 
 8,225   Nucor Corp.   1,286 
 1,912   Steel Dynamics, Inc.   205 
         3,614 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Mortgage Real Estate Investment Trusts  — 0.09% 
 46,913   AGNC Investment Corp.  $443 
 15,165   Rithm Capital Corp.   141 
         584 
           
     Multi-Utilities — 0.67%     
 2,674   Ameren Corp.   200 
 1,937   CMS Energy Corp.   103 
 1,642   Consolidated Edison, Inc.   140 
 1,144   Dominion Energy, Inc.   51 
 1,043   DTE Energy Co.   104 
 72,854   NiSource, Inc.   1,799 
 5,865   Public Service Enterprise Group, Inc.   334 
 1,902   Sempra Energy   129 
 17,371   WEC Energy Group, Inc.   1,399 
         4,259 
           
     Oil, Gas & Consumable Fuels — 3.75% 
 19,551   Antero Midstream Corp.   234 
 7,263   Cheniere Energy, Inc.   1,205 
 19,851   Chevron Corp.   3,347 
 5,077   ConocoPhillips   608 
 63,641   Coterra Energy, Inc.   1,721 
 30,851   Devon Energy Corp.   1,472 
 521   DT Midstream, Inc.   28 
 3,995   EOG Resources, Inc.   506 
 7,396   EQT Corp.   300 
 48,580   Exxon Mobil Corp.   5,713 
 16,993   Hess Corp.   2,600 
 11,538   Marathon Petroleum Corp.   1,746 
 26,124   Occidental Petroleum Corp.   1,695 
 6,401   ONEOK, Inc.   406 
 6,951   Targa Resources Corp.   596 
 41,203   The Williams Cos., Inc.   1,388 
 2,242   Valero Energy Corp.   318 
 2,011   Vitesse Energy, Inc.   46 
         23,929 
           
     Paper & Forest Products — 0.01%     
 964   Sylvamo Corp.   42 
           
     Passenger Airlines — 0.14%     
 8,716   Alaska Air Group, Inc.(a)   323 
 28,157   American Airlines Group, Inc.(a)   361 
 2,097   Copa Holdings SA, Class - A   187 
         871 
           
     Personal Care Products — 0.04%     
 1,700   The Estee Lauder Cos., Inc.   246 
           
     Pharmaceuticals — 4.21%     
 30,890   Bristol-Myers Squibb Co.   1,793 
 15,767   Eli Lilly & Co.   8,469 
 1,000   Jazz Pharmaceuticals PLC(a)   129 
 44,819   Johnson & Johnson   6,981 
 58,424   Merck & Co., Inc.   6,015 
 6,434   Organon & Co.   112 
 99,288   Pfizer, Inc.   3,293 
 8,046   Viatris, Inc.   79 
         26,871 
           
     Professional Services — 1.27%     
 26,820   CoStar Group, Inc.(a)   2,062 
 1,081   Equifax, Inc.   198 

 

 

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Professional Services (continued)     
 717   Jacobs Solutions, Inc.  $98 
 1,829   Leidos Holdings, Inc.   169 
 6,910   Paychex, Inc.   797 
 8,321   Paycom Software, Inc.   2,157 
 825   Robert Half International, Inc.   60 
 10,910   Verisk Analytics, Inc.   2,578 
         8,119 
           
     Real Estate Management & Development — 0.12% 
 1,691   CBRE Group, Inc., Class - A(a)   125 
 4,563   Howard Hughes Holdings, Inc.(a)   338 
 2,009   Jones Lang LaSalle, Inc.(a)   284 
         747 
           
     Residential REITs — 0.32%     
 3,688   American Homes 4 Rent, Class - A   124 
 7,024   Camden Property Trust   665 
 2,122   Equity LifeStyle Properties, Inc.   135 
 507   Essex Property Trust, Inc.   108 
 10,627   Invitation Homes, Inc.   337 
 2,029   Mid-America Apartment Communities, Inc.   261 
 1,913   Sun Communities, Inc.   226 
 4,609   UDR, Inc.   164 
         2,020 
           
     Retail REITs — 0.30%     
 27,975   Brixmor Property Group, Inc.   581 
 19,277   Realty Income Corp.   963 
 35,601   The Macerich Co.   388 
         1,932 
           
     Semiconductors & Semiconductor Equipment — 6.06% 
 11,746   Advanced Micro Devices, Inc.(a)   1,208 
 3,728   Analog Devices, Inc.   653 
 21,151   Applied Materials, Inc.   2,928 
 2,918   Broadcom, Inc.   2,424 
 63,964   Intel Corp.   2,274 
 3,090   KLA Corp.   1,417 
 1,129   Lam Research Corp.   708 
 6,026   Marvell Technology, Inc.   326 
 2,758   Micron Technology, Inc.   188 
 47,156   NVIDIA Corp.   20,512 
 7,270   QUALCOMM, Inc.   807 
 3,842   Skyworks Solutions, Inc.   379 
 23,905   Texas Instruments, Inc.   3,801 
 6,964   Universal Display Corp.   1,093 
         38,718 
           
     Software — 10.77%     
 12,361   Adobe, Inc.(a)   6,302 
 10,190   Autodesk, Inc.(a)   2,108 
 512   Dolby Laboratories, Inc., Class - A   41 
 27,227   Manhattan Associates, Inc.(a)   5,382 
 137,229   Microsoft Corp.   43,329 
 56,988   Oracle Corp.   6,036 
 41   Roper Technologies, Inc.   20 
 3,137   Salesforce, Inc.(a)   636 
 8,243   ServiceNow, Inc.(a)   4,608 
 668   Synopsys, Inc.(a)   307 
         68,769 
           
     Specialized REITs — 0.92%     
 5,297   American Tower Corp.   871 
 2,473   Crown Castle, Inc.   228 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Specialized REITs (continued)     
 5,913   CubeSmart  $225 
 9,861   Digital Realty Trust, Inc.   1,193 
 1,956   Equinix, Inc.   1,421 
 5,142   Extra Space Storage, Inc.   625 
 5,259   Iron Mountain, Inc.   313 
 846   Lamar Advertising Co., Class - A   71 
 2,688   Public Storage   708 
 8,362   VICI Properties, Inc.   243 
         5,898 
           
     Specialty Retail — 2.38%     
 2,829   AutoNation, Inc.(a)   428 
 22   AutoZone, Inc.(a)   56 
 6,524   Bath & Body Works, Inc.   221 
 7,757   Best Buy Co., Inc.   539 
 4,609   Dick's Sporting Goods, Inc.   500 
 923   Five Below, Inc.(a)   149 
 36,426   Floor & Decor Holdings, Inc., Class - A(a)   3,297 
 3,541   Lowe's Cos., Inc.   736 
 7,287   Penske Automotive Group, Inc.   1,217 
 17,296   The Home Depot, Inc.   5,225 
 21,249   The TJX Cos., Inc.   1,889 
 2,059   Tractor Supply Co.   418 
 2,174   Victoria's Secret & Co.(a)   36 
 3,016   Williams-Sonoma, Inc.   469 
         15,180 
           
     Technology Hardware, Storage & Peripherals — 7.64% 
 271,276   Apple, Inc.   46,444 
 83,952   HP, Inc.   2,158 
 2,448   NetApp, Inc.   186 
         48,788 
           
     Textiles, Apparel & Luxury Goods — 0.26% 
 6,619   Capri Holdings Ltd.(a)   348 
 9,230   NIKE, Inc., Class - B   883 
 1,533   Ralph Lauren Corp.   178 
 7,801   Tapestry, Inc.   224 
         1,633 
           
     Tobacco — 0.33%     
 36,600   Altria Group, Inc.   1,539 
 6,325   Philip Morris International, Inc.   586 
         2,125 
           
     Trading Companies & Distributors — 0.37% 
 13,428   Fastenal Co.   734 
 1,130   Watsco, Inc.   427 
 8,335   WESCO International, Inc.   1,198 
         2,359 
           
     Water Utilities — 0.02%     
 1,178   American Water Works Co., Inc.   146 
           
     Wireless Telecommunication Services — 0.52% 
 23,667   T-Mobile US, Inc.   3,315 
           
     Total Common Stocks   636,511 

 

 

HC CAPITAL TRUST

The Value Equity Portfolio

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Investment Company — 0.39%     
 2,472,751   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(c)  $2,473 
           
     Total Investment Company   2,473 
           
     Total Investments (cost $285,965) — 100.07%   638,984 
     Liabilities in excess of other assets — (0.07)%   (421)
           
     Net Assets - 100.00%  $638,563 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

(a) Represents non-income producing security.
(b) Security was valued using significant unobservable inputs as of September 30, 2023.
(c) Annualized 7-day yield as of period-end.
   

REIT—Real Estate Investment Trust

 

As of September 30, 2023, 100% of the Portfolio's net assets were managed by Parametric Portfolio Associates, LLC.

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 99.37%
     Aerospace & Defense — 0.74%     
 5,461   General Dynamics Corp.  $1,207 
 391   HEICO Corp.   63 
 728   HEICO Corp., Class - A   94 
 4,826   L3Harris Technologies, Inc.   840 
 1,511   Northrop Grumman Corp.   665 
 33,522   RTX Corp.   2,414 
 475   TransDigm Group, Inc.(a)   400 
         5,683 
           
     Air Freight & Logistics — 0.09% 
 4,946   Expeditors International of Washington, Inc.   567 
 1,658   GXO Logistics, Inc.(a)   97 
         664 
           
     Automobile Components — 2.28% 
 71,725   Ford Motor Co.   891 
 12,720   Mobileye Global, Inc., Class - A(a)   529 
 77,833   Rivian Automotive, Inc., Class - A(a)   1,890 
 56,731   Tesla, Inc.(a)   14,194 
         17,504 
           
     Automobiles — 0.15%     
 123,477   Dr. Ing hc F Porsche AG, ADR   1,150 
           
     Banks — 1.50%     
 10,612   Bank of America Corp.   291 
 13,206   Bank OZK   490 
 13,240   Citizens Financial Group, Inc.   355 
 40,559   Comerica, Inc.   1,685 
 1,150   Cullen/Frost Bankers, Inc.   105 
 29,928   East West Bancorp, Inc.   1,578 
 86,090   First Horizon Corp.   949 
 36,888   Huntington Bancshares, Inc.   384 
 23,824   JPMorgan Chase & Co.   3,454 
 106,556   Regions Financial Corp.   1,832 
 10,848   Zions Bancorp NA   378 
         11,501 
           
     Beverages — 1.36%     
 7,236   Brown-Forman Corp., Class - B   417 
 17,862   Monster Beverage Corp.(a)   946 
 29,046   PepsiCo, Inc.   4,922 
 74,917   The Coca-Cola Co.   4,194 
         10,479 
           
     Biotechnology — 1.80%     
 9,107   Alnylam Pharmaceuticals, Inc.(a)   1,613 
 15,151   Amgen, Inc.   4,071 
 1,817   Argenx SE, ADR(a)   893 
 19,253   Moderna, Inc.(a)   1,989 
 14,430   Natera, Inc.(a)   639 
 800   Neurocrine Biosciences, Inc.(a)   90 
 2,019   Regeneron Pharmaceuticals, Inc.(a)   1,662 
 1,014   Seagen, Inc.(a)   215 
 7,673   Vertex Pharmaceuticals, Inc.(a)   2,668 
         13,840 
           
     Broadline Retail — 4.93%     
 269,190   Amazon.com, Inc.(a)   34,219 
 2,900   MercadoLibre, Inc.(a)   3,677 
         37,896 
           
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Building Products — 0.26%     
 404   Armstrong World Industries, Inc.  $29 
 17,452   Carrier Global Corp.   963 
 48,582   Resideo Technologies, Inc.(a)   768 
 1,218   Trane Technologies PLC   247 
         2,007 
           
     Capital Markets — 2.28%     
 2,335   Cboe Global Markets, Inc.   365 
 6,242   CME Group, Inc.   1,250 
 1,203   FactSet Research Systems, Inc.   526 
 2,582   Intercontinental Exchange, Inc.   284 
 143,372   Invesco Ltd.   2,082 
 18,395   Janus Henderson Group PLC   475 
 713   LPL Financial Holdings, Inc.   169 
 349   MarketAxess Holdings, Inc.   75 
 3,942   Moody's Corp.   1,247 
 31,488   Morgan Stanley   2,572 
 390   Morningstar, Inc.   91 
 838   MSCI, Inc.   430 
 36,398   Robinhood Markets, Inc., Class - A(a)   357 
 9,901   S&P Global, Inc.   3,617 
 2,032   T. Rowe Price Group, Inc.   213 
 16,324   The Charles Schwab Corp.   896 
 8,763   The Goldman Sachs Group, Inc.   2,835 
         17,484 
           
     Chemicals — 1.57%     
 3,430   Air Products & Chemicals, Inc.   972 
 13,075   CF Industries Holdings, Inc.   1,121 
 30,407   Ecolab, Inc.   5,151 
 999   FMC Corp.   67 
 28,629   LyondellBasell Industries N.V., Class - A   2,711 
 19,809   The Chemours Co.   556 
 5,811   The Scotts Miracle-Gro Co.   300 
 4,752   The Sherwin-Williams Co.   1,212 
         12,090 
           
     Commercial Services & Supplies — 0.26% 
 1,845   Cintas Corp.   887 
 26,608   Copart, Inc.(a)   1,147 
         2,034 
           
     Communications Equipment — 0.85% 
 4,776   Arista Networks, Inc.(a)   878 
 101,754   Cisco Systems, Inc.   5,470 
 825   F5, Inc.(a)   133 
 153   Motorola Solutions, Inc.   42 
         6,523 
           
     Construction & Engineering — 0.01%     
 374   Quanta Services, Inc.   70 
           
     Consumer Finance — 0.26%     
 95   Credit Acceptance Corp.(a)   44 
 141,214   SLM Corp.   1,923 
         1,967 
           
     Consumer Staples Distribution & Retail — 1.91% 
 16,376   Costco Wholesale Corp.   9,252 
 939   Dollar General Corp.   99 
 4,517   Dollar Tree, Inc.(a)   481 
 8,706   Sysco Corp.   575 
 1,413   Walgreens Boots Alliance, Inc.   31 

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Consumer Staples Distribution & Retail (continued)     
 26,416   Walmart, Inc.  $4,225 
         14,663 
           
     Containers & Packaging — 0.14% 
 1,280   AptarGroup, Inc.   160 
 747   Avery Dennison Corp.   136 
 841   Packaging Corp. of America   129 
 14,972   Silgan Holdings, Inc.   646 
         1,071 
           
     Distributors — 0.07%     
 2,966   Genuine Parts Co.   428 
 381   Pool Corp.   136 
         564 
           
     Diversified Consumer Services — 0.01% 
 1,727   Service Corp. International   99 
           
     Diversified Telecommunication Services — 0.04% 
 19,117   Frontier Communications Parent, Inc.(a)   299 
 4,099   GCI Liberty, Inc.(a)(b)    
         299 
           
     Electric Utilities — 0.67%     
 15,796   Edison International   1,000 
 60,365   FirstEnergy Corp.   2,063 
 4,256   NextEra Energy, Inc.   244 
 36,550   NRG Energy, Inc.   1,408 
 12,422   OGE Energy Corp.   414 
         5,129 
           
     Electrical Equipment — 0.35%     
 5,157   AMETEK, Inc.   762 
 13,294   Emerson Electric Co.   1,284 
 1,210   Hubbell, Inc.   379 
 931   Rockwell Automation, Inc.   266 
         2,691 
           
     Electronic Equipment, Instruments & Components — 0.15% 
 12,210   Amphenol Corp., Class - A   1,026 
 2,343   Vontier Corp.   72 
 376   Zebra Technologies Corp.(a)   89 
         1,187 
           
     Entertainment — 0.67%     
 11,711   Netflix, Inc.(a)   4,422 
 9,543   Roku, Inc.(a)   674 
 248   The Walt Disney Co.(a)   20 
         5,116 
           
     Financial Services — 5.15%     
 18,726   Berkshire Hathaway, Inc., Class - B(a)   6,560 
 34,972   Equitable Holdings, Inc.   993 
 756   Fiserv, Inc.(a)   85 
 1,270   FleetCor Technologies, Inc.(a)   324 
 7,975   Global Payments, Inc.   920 
 18,980   Mastercard, Inc., Class - A   7,514 
 34,688   PayPal Holdings, Inc.(a)   2,028 
 82,895   Visa, Inc., Class - A   19,067 
 31,527   Voya Financial, Inc.   2,095 
         39,586 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Food Products — 0.90%     
 70,463   Conagra Brands, Inc.  $1,932 
 5,224   Hormel Foods Corp.   199 
 413   Lamb Weston Holdings, Inc.   38 
 5,092   McCormick & Co., Inc./MD   385 
 56,218   Mondelez International, Inc., Class - A   3,901 
 1,045   The Hershey Co.   209 
 2,332   The J.M. Smucker Co.   287 
         6,951 
           
     Gas Utilities — 0.22%     
 33,223   National Fuel Gas Co.   1,725 
           
     Ground Transportation — 1.68%     
 124,263   CSX Corp.   3,821 
 1,274   Landstar System, Inc.   225 
 562   Old Dominion Freight Line, Inc.   230 
 70,316   Uber Technologies, Inc.(a)   3,234 
 916   U-Haul Holding Co.(a)   50 
 8,244   U-Haul Holding Co.   432 
 24,231   Union Pacific Corp.   4,934 
         12,926 
           
     Health Care Equipment & Supplies — 2.27% 
 34,185   Abbott Laboratories   3,312 
 10,657   Baxter International, Inc.   402 
 4,799   Becton Dickinson & Co.   1,241 
 10,892   Boston Scientific Corp.(a)   575 
 9,583   Dexcom, Inc.(a)   894 
 15,477   Edwards Lifesciences Corp.(a)   1,072 
 1,344   Embecta Corp.   20 
 3,887   GE HealthCare Technologies, Inc.   264 
 2,690   IDEXX Laboratories, Inc.(a)   1,176 
 16,722   Intuitive Surgical, Inc.(a)   4,888 
 4,072   ResMed, Inc.   602 
 9,642   Stryker Corp.   2,635 
 3,346   Zimmer Biomet Holdings, Inc.   375 
         17,456 
           
     Health Care Providers & Services — 2.68% 
 22,388   Acadia Healthcare Co., Inc.(a)   1,574 
 1,650   Centene Corp.(a)   114 
 22,394   CVS Health Corp.   1,564 
 5,215   Elevance Health, Inc.   2,271 
 3,283   Henry Schein, Inc.(a)   244 
 1,952   Laboratory Corp. of America Holdings   392 
 4,595   McKesson Corp.   1,998 
 2,799   Quest Diagnostics, Inc.   341 
 23,980   UnitedHealth Group, Inc.   12,090 
         20,588 
           
     Health Care REITs — 0.27%     
 10,405   Omega Healthcare Investors, Inc.   345 
 40,605   Ventas, Inc.   1,711 
         2,056 
           
     Health Care Technology — 0.07%     
 2,596   Veeva Systems, Inc., Class - A(a)   528 
           
     Hotels, Restaurants & Leisure — 2.36% 
 14,944   Airbnb, Inc., Class - A(a)   2,050 
 1,179   Booking Holdings, Inc.(a)   3,636 
 31,802   Carnival Corp.(a)   436 
 568   Chipotle Mexican Grill, Inc.(a)   1,040 
 1,046   Choice Hotels International, Inc.   128 

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Hotels, Restaurants & Leisure (continued) 
 9,093   Marriott International, Inc., Class - A  $1,788 
 98,020   Starbucks Corp.   8,947 
 310   Vail Resorts, Inc.   69 
         18,094 
           
     Household Durables — 0.03%     
 2,470   Garmin Ltd.   260 
           
     Household Products — 1.09%     
 5,143   Church & Dwight Co., Inc.   471 
 9,514   Colgate-Palmolive Co.   677 
 7,129   Kimberly-Clark Corp.   862 
 2,554   The Clorox Co.   335 
 41,123   The Procter & Gamble Co.   5,997 
         8,342 
           
     Independent Power and Renewable Electricity Producers — 0.22% 
 51,268   Vistra Corp.   1,701 
           
     Industrial Conglomerates — 0.42% 
 12,543   3M Co.   1,174 
 11,662   General Electric Co.   1,290 
 4,278   Honeywell International, Inc.   790 
         3,254 
           
     Insurance — 2.10%     
 9,715   Aflac, Inc.   746 
 7,992   Aon PLC, Class - A   2,592 
 1,155   Arthur J. Gallagher & Co.   263 
 16,505   Axis Capital Holdings Ltd.   930 
 11,297   Chubb Ltd.   2,353 
 171   Erie Indemnity Co., Class - A   50 
 43,476   Lincoln National Corp.   1,073 
 11,845   Marsh & McLennan Cos., Inc.   2,254 
 22,534   Principal Financial Group, Inc.   1,624 
 4,893   Prudential Financial, Inc.   464 
 7,591   Reinsurance Group of America, Inc.   1,102 
 5,565   The Progressive Corp.   775 
 6,974   The Travelers Cos., Inc.   1,139 
 15,794   Unum Group   777 
         16,142 
           
     Interactive Media & Services — 6.44% 
 114,616   Alphabet, Inc., Class - A(a)   14,999 
 156,306   Alphabet, Inc., Class - C(a)   20,609 
 646   IAC, Inc.(a)   33 
 1,412   Match Group, Inc.(a)   55 
 45,879   Meta Platforms, Inc., Class - A(a)   13,773 
         49,469 
           
     IT Services — 1.22%     
 12,354   Accenture PLC, Class - A   3,795 
 2,241   Cognizant Technology Solutions Corp., Class - A   152 
 5,940   MongoDB, Inc.(a)   2,054 
 18,740   Okta, Inc.(a)   1,527 
 12,281   Snowflake, Inc., Class - A(a)   1,876 
         9,404 
           
     Leisure Products — 0.02%     
 1,422   Polaris, Inc.   148 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Life Sciences Tools & Services — 1.25% 
 4,564   Bio-Techne Corp.  $311 
 440   Bruker Corp.   27 
 11,718   Danaher Corp.   2,907 
 1,952   Fortrea Holdings, Inc.(a)   56 
 758   Mettler-Toledo International, Inc.(a)   840 
 239   Revvity, Inc.   26 
 9,568   Thermo Fisher Scientific, Inc.   4,843 
 2,297   Waters Corp.(a)   630 
         9,640 
           
     Machinery — 1.64%     
 9,555   Caterpillar, Inc.   2,608 
 4,840   Deere & Co.   1,827 
 3,369   Dover Corp.   470 
 5,857   Fortive Corp.   434 
 1,569   Graco, Inc.   114 
 2,179   IDEX Corp.   453 
 8,257   Illinois Tool Works, Inc.   1,902 
 6,973   Ingersoll Rand, Inc.   444 
 506   Nordson Corp.   113 
 8,726   Otis Worldwide Corp.   701 
 11,372   The Middleby Corp.(a)   1,456 
 927   The Toro Co.   77 
 14,765   Westinghouse Air Brake Technologies Corp.   1,569 
 4,438   Xylem, Inc.   404 
         12,572 
           
     Media — 0.70%     
 478   Cable One, Inc.   294 
 257,637   DISH Network Corp., Class - A(a)   1,511 
 11,755   Liberty Media Corp.-Liberty SiriusXM(a)   299 
 4,935   Omnicom Group, Inc.   368 
 104,588   Paramount Global, Class - B   1,349 
 17,241   The Interpublic Group of Cos., Inc.   494 
 13,683   The Trade Desk, Inc., Class - A(a)   1,069 
         5,384 
           
     Metals & Mining — 0.05%     
 12,963   United States Steel Corp.   421 
           
     Mortgage Real Estate Investment Trusts  — 0.27% 
 183,185   Rithm Capital Corp.   1,702 
 20,515   Starwood Property Trust, Inc.   397 
         2,099 
           
     Multi-Utilities — 0.50%     
 84,210   CenterPoint Energy, Inc.   2,261 
 15,797   DTE Energy Co.   1,568 
         3,829 
           
     Oil, Gas & Consumable Fuels — 3.31% 
 54,988   Antero Midstream Corp.   659 
 24,368   ConocoPhillips   2,919 
 79,339   Devon Energy Corp.   3,785 
 7,898   DT Midstream, Inc.   418 
 21,212   EQT Corp.   861 
 31,930   Exxon Mobil Corp.   3,754 
 114,575   Marathon Oil Corp.   3,065 
 13,944   ONEOK, Inc.   884 
 4,640   Pioneer Natural Resources Co.   1,065 
 95,111   Range Resources Corp.   3,083 
 28,597   Targa Resources Corp.   2,451 

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Oil, Gas & Consumable Fuels (continued) 
 73,536   The Williams Cos., Inc.  $2,477 
         25,421 
           
     Passenger Airlines — 0.14%     
 10,129   Alaska Air Group, Inc.(a)   376 
 18,665   Delta Air Lines, Inc.   690 
         1,066 
           
     Personal Care Products — 0.37%     
 23,041   L'Oreal SA, ADR   1,909 
 6,209   The Estee Lauder Cos., Inc.   898 
         2,807 
           
     Pharmaceuticals — 4.63%     
 37,487   AstraZeneca PLC, ADR   2,539 
 32,406   Eli Lilly & Co.   17,406 
 31,287   Johnson & Johnson   4,873 
 55,581   Merck & Co., Inc.   5,722 
 43,596   Novo Nordisk A/S, ADR   3,965 
 5,558   Organon & Co.   96 
 11,882   Viatris, Inc.   117 
 4,740   Zoetis, Inc.   825 
         35,543 
           
     Professional Services — 2.00%     
 55,077   Automatic Data Processing, Inc.   13,250 
 2,371   Broadridge Financial Solutions, Inc.   425 
 3,010   CoStar Group, Inc.(a)   231 
 2,353   Equifax, Inc.   431 
 1,598   Jack Henry & Associates, Inc.   242 
 1,391   SS&C Technologies Holdings, Inc.   73 
 2,931   Verisk Analytics, Inc.   692 
         15,344 
           
     Real Estate Management & Development — 0.01% 
 1,272   CBRE Group, Inc., Class - A(a)   94 
           
     Residential REITs — 0.01%     
 1,608   Equity LifeStyle Properties, Inc.   102 
           
     Retail REITs — 0.08%     
 52,271   SITE Centers Corp.   645 
           
     Semiconductors & Semiconductor Equipment — 7.67% 
 121,355   Advanced Micro Devices, Inc.(a)   12,478 
 8,866   Analog Devices, Inc.   1,552 
 6,209   Applied Materials, Inc.   860 
 13,431   ARM Holdings PLC, ADR(a)   719 
 2,254   ASML Holding N.V., NYS   1,327 
 8,693   Broadcom, Inc.   7,220 
 4,234   First Solar, Inc.(a)   684 
 63,448   Intel Corp.   2,256 
 1,378   KLA Corp.   632 
 1,153   Lam Research Corp.   723 
 28,189   Marvell Technology, Inc.   1,526 
 3,708   Microchip Technology, Inc.   289 
 20,662   Micron Technology, Inc.   1,405 
 54,000   NVIDIA Corp.   23,489 
 3,257   ON Semiconductor Corp.(a)   303 
 30,091   QUALCOMM, Inc.   3,342 
         58,805 
           
     Software — 12.93%     
 12,173   Adobe, Inc.(a)   6,207 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Software (continued)     
 1,974   ANSYS, Inc.(a)  $587 
 908   Atlassian Corp., Class - A(a)   183 
 9,583   Cadence Design Systems, Inc.(a)   2,245 
 8,581   Crowdstrike Holdings, Inc., Class - A(a)   1,436 
 6,515   Fortinet, Inc.(a)   382 
 1,124   HubSpot, Inc.(a)   554 
 5,422   Intuit, Inc.   2,770 
 187,901   Microsoft Corp.   59,332 
 63,347   Oracle Corp.   6,710 
 1,131   Palo Alto Networks, Inc.(a)   265 
 2,476   Roper Technologies, Inc.   1,199 
 73,299   Salesforce, Inc.(a)   14,863 
 3,662   ServiceNow, Inc.(a)   2,047 
 151   Synopsys, Inc.(a)   69 
 1,628   VMware, Inc., Class - A(a)   271 
 566   Workday, Inc., Class - A(a)   122 
         99,242 
           
     Specialized REITs — 1.73%     
 9,920   American Tower Corp.   1,631 
 16,012   Equinix, Inc.   11,629 
         13,260 
           
     Specialty Retail — 3.39%     
 854   Advance Auto Parts, Inc.   48 
 597   AutoZone, Inc.(a)   1,516 
 5,882   Best Buy Co., Inc.   409 
 376   Burlington Stores, Inc.(a)   51 
 41,191   Lowe's Cos., Inc.   8,561 
 3,982   O'Reilly Automotive, Inc.(a)   3,619 
 9,045   Ross Stores, Inc.   1,022 
 10,308   The Home Depot, Inc.   3,114 
 66,781   The TJX Cos., Inc.   5,936 
 1,256   Tractor Supply Co.   255 
 3,810   Ulta Beauty, Inc.(a)   1,522 
         26,053 
           
     Technology Hardware, Storage & Peripherals — 6.99% 
 313,000   Apple, Inc.   53,589 
           
     Textiles, Apparel & Luxury Goods — 1.67% 
 1   Kontoor Brands, Inc.    
 10,941   Lululemon Athletica, Inc.(a)   4,219 
 24,331   LVMH Moet Hennessy Louis Vuitton SE, ADR   3,677 
 51,001   NIKE, Inc., Class - B   4,876 
 4,000   V.F. Corp.   71 
         12,843 
           
     Tobacco — 0.21%     
 17,508   Philip Morris International, Inc.   1,621 
           
     Trading Companies & Distributors — 0.33% 
 23,095   Air Lease Corp.   910 
 14,448   Fastenal Co.   789 
 1,221   W.W. Grainger, Inc.   845 
         2,544 
           
     Total Common Stocks   763,265 

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Investment Companies — 0.12%     
 945,040   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(c)  $945 
           
     Total Investment Companies   945 
           
     Total Investments (cost $242,390) — 99.49%   764,210 
     Other assets in excess of liabilities — 0.51%   3,950 
           
     Net Assets - 100.00%  $768,160 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

(a) Represents non-income producing security.
(b) Security was valued using significant unobservable inputs as of September 30, 2023.
(c) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt

REIT—Real Estate Investment Trust

 

 

HC CAPITAL TRUST

The Growth Equity Portfolio

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Growth Equity Portfolio  Jennison Associates, LLC   Parametric Portfolio Associates, LLC   Total 
Common Stocks   23.47%   75.90%   99.37%
Investment Companies   -    0.12%   0.12%
Other Assets (Liabilities)   0.43%   0.08%   0.51%
     Total Net Assets   23.90%   76.10%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category.

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 81.37%
     Aerospace & Defense — 1.13%     
 1,894   Axon Enterprise, Inc.(a)  $377 
 692   BWX Technologies, Inc.   52 
 290   Curtiss-Wright Corp.   57 
 10,104   General Dynamics Corp.   2,233 
 1,180   HEICO Corp.   191 
 2,065   HEICO Corp., Class - A   266 
 636   Hexcel Corp.   41 
 10,505   Howmet Aerospace, Inc.   486 
 5,326   Huntington Ingalls Industries, Inc.   1,090 
 10,523   L3Harris Technologies, Inc.   1,832 
 8,685   Lockheed Martin Corp.   3,552 
 373   Mercury Systems, Inc.(a)   14 
 6,549   Northrop Grumman Corp.   2,883 
 46,135   RTX Corp.   3,320 
 791   Spirit AeroSystems Holdings, Inc., Class - A(a)   13 
 5,456   Textron, Inc.   426 
 15,326   The Boeing Co.(a)   2,938 
 7,715   TransDigm Group, Inc.(a)   6,504 
 440   Woodward, Inc.   55 
         26,330 
           
     Air Freight & Logistics — 0.27% 
 9,372   C.H. Robinson Worldwide, Inc.   807 
 6,203   Expeditors International of Washington, Inc.   711 
 6,399   FedEx Corp.   1,696 
 884   GXO Logistics, Inc.(a)   52 
 20,197   United Parcel Service, Inc., Class - B   3,147 
         6,413 
           
     Automobile Components — 1.46%     
 7,550   Aptiv PLC(a)   744 
 6,321   BorgWarner, Inc.   255 
 106,057   Ford Motor Co.   1,318 
 37,507   General Motors Co.   1,237 
 1,782   Gentex Corp.   58 
 1,020   Harley-Davidson, Inc.   34 
 1,589   Lear Corp.   213 
 23,319   Lucid Group, Inc.^(a)   130 
 6,533   Mobileye Global, Inc., Class - A(a)   271 
 354   Phinia, Inc.   9 
 1,955   QuantumScape Corp.(a)   13 
 17,704   Rivian Automotive, Inc., Class - A(a)   430 
 116,875   Tesla, Inc.(a)   29,245 
 392   Thor Industries, Inc.   37 
         33,994 
           
     Automobiles — 0.03%     
 63,215   Dr. Ing hc F Porsche AG, ADR   589 
           
     Banks — 1.55%     
 192,098   Bank of America Corp.   5,260 
 848   Bank OZK   31 
 220   BOK Financial Corp.   18 
 52,548   Citigroup, Inc.   2,162 
 13,090   Citizens Financial Group, Inc.   351 
 1,570   Columbia Banking System, Inc.   32 
 991   Comerica, Inc.   41 
 862   Commerce Bancshares, Inc.   41 
 442   Cullen/Frost Bankers, Inc.   40 
 1,073   East West Bancorp, Inc.   57 
 18,420   Fifth Third Bancorp   467 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Banks (continued)     
 295   First Citizens BancShares, Inc., Class - A  $408 
 969   First Hawaiian, Inc.   17 
 14,390   First Horizon Corp.   158 
 2,714   FNB Corp.   29 
 39,002   Huntington Bancshares, Inc.   405 
 80,611   JPMorgan Chase & Co.   11,690 
 25,184   KeyCorp   271 
 5,364   M&T Bank Corp.   678 
 5,373   New York Community Bancorp, Inc.   61 
 17,436   NU Holdings Ltd., Class - A(a)   126 
 568   Pinnacle Financial Partners, Inc.   38 
 534   Popular, Inc.   34 
 664   Prosperity Bancshares, Inc.   36 
 25,327   Regions Financial Corp.   436 
 1,092   Synovus Financial Corp.   30 
 10,776   The PNC Financial Services Group, Inc.   1,323 
 35,909   Truist Financial Corp.   1,027 
 44,028   U.S. Bancorp   1,456 
 4,696   Webster Financial Corp.   189 
 223,479   Wells Fargo & Co.   9,132 
 802   Western Alliance Bancorp   37 
 454   Wintrust Financial Corp.   34 
 1,117   Zions Bancorp NA   39 
         36,154 
           
     Beverages — 1.15%     
 345   Brown-Forman Corp., Class - A   20 
 17,919   Brown-Forman Corp., Class - B   1,033 
 411   Celsius Holdings, Inc.(a)   71 
 7,424   Constellation Brands, Inc., Class - A   1,866 
 48,020   Fomento Economico Mexicano SAB de CV, ADR   5,242 
 55,386   Keurig Dr. Pepper, Inc.   1,748 
 20,103   Molson Coors Beverage Co., Class - B   1,278 
 26,333   Monster Beverage Corp.(a)   1,394 
 42,586   PepsiCo, Inc.   7,217 
 72   The Boston Beer Co., Inc., Class - A(a)   28 
 125,337   The Coca-Cola Co.   7,016 
         26,913 
           
     Biotechnology — 1.43%     
 55,026   AbbVie, Inc.   8,200 
 3,354   Alnylam Pharmaceuticals, Inc.(a)   594 
 18,419   Amgen, Inc.   4,949 
 753   Apellis Pharmaceuticals, Inc.(a)   29 
 933   Argenx SE, ADR(a)   459 
 3,900   Biogen, Inc.(a)   1,003 
 9,474   BioMarin Pharmaceutical, Inc.(a)   839 
 4,862   Exact Sciences Corp.(a)   332 
 2,426   Exelixis, Inc.(a)   53 
 46,694   Gilead Sciences, Inc.   3,499 
 5,908   Horizon Therapeutics PLC(a)   683 
 17,172   Incyte Corp.(a)   992 
 1,071   Ionis Pharmaceuticals, Inc.(a)   49 
 269   Karuna Therapeutics, Inc.(a)   45 
 338   Mirati Therapeutics, Inc.(a)   15 
 8,844   Moderna, Inc.(a)   914 
 782   Natera, Inc.(a)   35 
 10,413   Neurocrine Biosciences, Inc.(a)   1,172 
 3,842   Regeneron Pharmaceuticals, Inc.(a)   3,161 
 2,631   Roivant Sciences Ltd.(a)   31 
 676   Sarepta Therapeutics, Inc.(a)   82 
 3,791   Seagen, Inc.(a)   805 
 506   Ultragenyx Pharmaceutical, Inc.(a)   18 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Biotechnology (continued)     
 5,622   United Therapeutics Corp.(a)  $1,270 
 11,980   Vertex Pharmaceuticals, Inc.(a)   4,166 
         33,395 
           
     Broadline Retail — 2.23%     
 57,839   Alibaba Group Holding Ltd., ADR(a)   5,017 
 337,719   Amazon.com, Inc.(a)   42,929 
 8,281   Coupang, Inc.(a)   141 
 14,427   eBay, Inc.   636 
 3,320   Etsy, Inc.(a)   215 
 834   Kohl's Corp.   17 
 2,044   Macy's, Inc.   24 
 2,364   MercadoLibre, Inc.(a)   2,998 
 848   Nordstrom, Inc.   13 
 473   Ollie's Bargain Outlet Holdings, Inc.(a)   37 
         52,027 
           
     Building Products — 0.27%     
 3,344   A.O. Smith Corp.   221 
 472   Advanced Drainage Systems, Inc.   54 
 2,370   Allegion PLC   247 
 344   Armstrong World Industries, Inc.   25 
 3,465   Builders FirstSource, Inc.(a)   432 
 2,001   Carlisle Cos., Inc.   519 
 22,532   Carrier Global Corp.   1,244 
 3,427   Fortune Brands Innovations, Inc.   213 
 834   Hayward Holdings, Inc.(a)   12 
 18,553   Johnson Controls International PLC   987 
 865   Lennox International, Inc.   324 
 6,090   Masco Corp.   325 
 2,436   Owens Corning   332 
 941   The AZEK Co., Inc.(a)   28 
 6,157   Trane Technologies PLC   1,249 
 835   Trex Co., Inc.(a)   51 
         6,263 
           
     Capital Markets — 2.40%     
 269   Affiliated Managers Group, Inc.   35 
 2,824   Ameriprise Financial, Inc.   931 
 4,337   Ares Management Corp., Class - A   447 
 4,040   BlackRock, Inc.   2,612 
 19,067   Blackstone, Inc.   2,043 
 3,200   Blue Owl Capital, Inc.   41 
 9,433   Cboe Global Markets, Inc.   1,473 
 28,682   CME Group, Inc.   5,743 
 4,532   Coinbase Global, Inc., Class - A(a)   341 
 277   Evercore, Inc.   38 
 9,647   FactSet Research Systems, Inc.   4,219 
 8,030   Franklin Resources, Inc.   197 
 375   Houlihan Lokey, Inc.   40 
 754   Interactive Brokers Group, Inc.   65 
 65,774   Intercontinental Exchange, Inc.   7,236 
 9,563   Invesco Ltd.   139 
 1,031   Janus Henderson Group PLC   27 
 1,500   Jefferies Financial Group, Inc.   55 
 16,618   KKR & Co., Inc.   1,024 
 826   Lazard Ltd., Class - A   26 
 2,104   LPL Financial Holdings, Inc.   500 
 1,855   MarketAxess Holdings, Inc.   396 
 18,297   Moody's Corp.   5,785 
 33,447   Morgan Stanley   2,732 
 189   Morningstar, Inc.   44 
 2,146   MSCI, Inc.   1,101 
 12,655   Nasdaq, Inc.   615 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Capital Markets (continued)     
 5,617   Northern Trust Corp.  $390 
 5,402   Raymond James Financial, Inc.   542 
 13,397   Robinhood Markets, Inc., Class - A(a)   131 
 23,078   S&P Global, Inc.   8,433 
 5,895   SEI Investments Co.   355 
 9,019   State Street Corp.   604 
 775   Stifel Financial Corp.   48 
 6,032   T. Rowe Price Group, Inc.   633 
 20,843   The Bank of New York Mellon Corp.   889 
 5,781   The Carlyle Group, Inc.   174 
 40,449   The Charles Schwab Corp.   2,220 
 10,434   The Goldman Sachs Group, Inc.   3,376 
 484   TPG, Inc.   15 
 6,873   Tradeweb Markets, Inc., Class - A   551 
 715   Virtu Financial, Inc., Class - A   12 
 2,509   XP, Inc., Class - A   58 
         56,336 
           
     Chemicals — 1.79%     
 7,524   Air Products & Chemicals, Inc.   2,132 
 3,167   Albemarle Corp.   539 
 384   Ashland, Inc.   31 
 1,675   Axalta Coating Systems Ltd.(a)   45 
 2,754   Celanese Corp.   346 
 14,768   CF Industries Holdings, Inc.   1,266 
 31,616   Corteva, Inc.   1,618 
 24,475   Dow, Inc.   1,263 
 12,400   DuPont de Nemours, Inc.   925 
 3,232   Eastman Chemical Co.   248 
 6,868   Ecolab, Inc.   1,163 
 1,710   Element Solutions, Inc.   34 
 9,409   FMC Corp.   630 
 11,599   Ginkgo Bioworks Holdings, Inc.(a)   21 
 1,319   Huntsman Corp.   32 
 6,891   International Flavors & Fragrances, Inc.   470 
 57,209   Linde PLC   21,300 
 8,539   LyondellBasell Industries N.V., Class - A   809 
 43   NewMarket Corp.   20 
 975   Olin Corp.   49 
 6,353   PPG Industries, Inc.   824 
 5,650   RPM International, Inc.   536 
 1,117   The Chemours Co.   31 
 8,959   The Mosaic Co.   319 
 306   The Scotts Miracle-Gro Co.   16 
 27,295   The Sherwin-Williams Co.   6,961 
 995   Westlake Corp.   124 
         41,752 
           
     Commercial Services & Supplies — 0.40% 
 2,438   Cintas Corp.   1,173 
 387   Clean Harbors, Inc.(a)   65 
 23,182   Copart, Inc.(a)   999 
 472   Driven Brands Holdings, Inc.(a)   6 
 280   MSA Safety, Inc.   44 
 1,372   RB Global, Inc.   86 
 11,925   Republic Services, Inc.   1,700 
 25,431   Rollins, Inc.   950 
 695   Stericycle, Inc.(a)   31 
 399   Tetra Tech, Inc.   61 
 11,470   Waste Connections, Inc.   1,541 
 17,040   Waste Management, Inc.   2,595 
         9,251 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Communications Equipment — 0.41% 
 6,994   Arista Networks, Inc.(a)  $1,287 
 1,117   Ciena Corp.(a)   53 
 116,619   Cisco Systems, Inc.   6,270 
 1,634   F5, Inc.(a)   263 
 8,656   Juniper Networks, Inc.   240 
 517   Lumentum Holdings, Inc.(a)   23 
 5,114   Motorola Solutions, Inc.   1,392 
 31   Ubiquiti, Inc.   5 
 551   Viasat, Inc.(a)   10 
         9,543 
           
     Construction & Engineering — 0.07% 
 3,563   AECOM   296 
 354   EMCOR Group, Inc.   74 
 462   MasTec, Inc.(a)   33 
 1,532   MDU Resources Group, Inc.   30 
 3,902   Quanta Services, Inc.   731 
 159   Valmont Industries, Inc.   38 
 9,620   WillScot Mobile Mini Holdings Corp.(a)   400 
         1,602 
           
     Construction Materials — 0.06%     
 271   Eagle Materials, Inc.   45 
 1,674   Martin Marietta Materials, Inc.   687 
 3,588   Vulcan Materials Co.   725 
         1,457 
           
     Consumer Finance — 0.20%     
 7,304   Ally Financial, Inc.   195 
 16,756   American Express Co.   2,500 
 10,300   Capital One Financial Corp.   999 
 50   Credit Acceptance Corp.(a)   23 
 6,854   Discover Financial Services   594 
 870   OneMain Holdings, Inc.   35 
 1,816   SLM Corp.   25 
 6,931   SoFi Technologies, Inc.(a)   55 
 11,580   Synchrony Financial   354 
         4,780 
           
     Consumer Staples Distribution & Retail — 1.28% 
 9,291   Albertsons Cos., Inc., Class - A   212 
 1,016   BJ's Wholesale Club Holdings, Inc.(a)   73 
 281   Casey's General Stores, Inc.   76 
 16,052   Costco Wholesale Corp.   9,068 
 11,174   Dollar General Corp.   1,182 
 9,725   Dollar Tree, Inc.(a)   1,036 
 669   Grocery Outlet Holding Corp.(a)   19 
 1,153   Performance Food Group Co.(a)   68 
 18,025   Sysco Corp.   1,191 
 12,456   Target Corp.   1,378 
 42,482   The Kroger Co.   1,901 
 134,071   U.S. Foods Holding Corp.(a)   5,322 
 41,083   Walgreens Boots Alliance, Inc.   914 
 46,099   Walmart, Inc.   7,371 
         29,811 
           
     Containers & Packaging — 0.43%     
 82,736   Amcor PLC   758 
 497   AptarGroup, Inc.   62 
 1,131   Ardagh Metal Packaging SA   4 
 2,186   Avery Dennison Corp.   399 
 13,700   Ball Corp.   682 
 922   Berry Global Group, Inc.   57 
 63,720   Crown Holdings, Inc.   5,638 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Containers & Packaging (continued)     
 2,319   Graphic Packaging Holding Co.  $52 
 22,547   International Paper Co.   799 
 6,549   Packaging Corp. of America   1,005 
 7,899   Sealed Air Corp.   260 
 638   Silgan Holdings, Inc.   28 
 738   Sonoco Products Co.   40 
 6,916   Westrock Co.   248 
         10,032 
           
     Distributors — 0.21%     
 7,311   Genuine Parts Co.   1,056 
 7,203   LKQ Corp.   357 
 9,510   Pool Corp.   3,386 
         4,799 
           
     Diversified Consumer Services — 0.01% 
 1,585   ADT, Inc.   10 
 436   Bright Horizons Family Solutions, Inc.(a)   36 
 232   Grand Canyon Education, Inc.(a)   27 
 1,154   H&R Block, Inc.   50 
 605   Mister Car Wash, Inc.(a)   3 
 1,134   Service Corp. International   64 
         190 
           
     Diversified REITs — 0.13%     
 31,074   American Assets Trust, Inc.   604 
 162,143   Empire State Realty Trust, Inc.   1,303 
 609   Federal Realty Investment Trust   55 
 19,395   WP Carey, Inc.   1,050 
         3,012 
           
     Diversified Telecommunication Services — 0.40% 
 269,556   AT&T, Inc.   4,048 
 1,857   Frontier Communications Parent, Inc.(a)   29 
 942   Iridium Communications, Inc.   43 
 6,828   Liberty Global PLC, Class - A(a)   117 
 12,810   Liberty Global PLC, Class - C(a)   238 
 147,890   Verizon Communications, Inc.   4,793 
         9,268 
           
     Electric Utilities — 1.43%     
 27,601   Alliant Energy Corp.   1,337 
 27,571   American Electric Power Co., Inc.   2,074 
 538   Avangrid, Inc.   16 
 59,306   Constellation Energy Corp.   6,470 
 32,888   Duke Energy Corp.   2,904 
 22,163   Edison International   1,403 
 15,571   Entergy Corp.   1,440 
 24,329   Evergy, Inc.   1,233 
 24,681   Eversource Energy   1,435 
 47,345   Exelon Corp.   1,789 
 41,591   FirstEnergy Corp.   1,422 
 825   Hawaiian Electric Industries, Inc.   10 
 382   IDACORP, Inc.   36 
 63,684   NextEra Energy, Inc.   3,649 
 13,586   NRG Energy, Inc.   523 
 1,514   OGE Energy Corp.   50 
 87,465   PG&E Corp.(a)   1,410 
 856   Pinnacle West Capital Corp.   63 
 54,772   PPL Corp.   1,291 
 45,297   The Southern Co.   2,931 
 32,033   Xcel Energy, Inc.   1,833 
         33,319 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Electrical Equipment — 0.31%     
 243   Acuity Brands, Inc.  $41 
 7,425   AMETEK, Inc.   1,097 
 1,919   ChargePoint Holdings, Inc.(a)   10 
 10,765   Eaton Corp. PLC   2,296 
 16,593   Emerson Electric Co.   1,602 
 1,668   Generac Holdings, Inc.(a)   182 
 2,402   Hubbell, Inc.   753 
 1,253   nVent Electric PLC   66 
 3,939   Plug Power, Inc.(a)   30 
 494   Regal Rexnord Corp.   71 
 3,104   Rockwell Automation, Inc.   887 
 4,102   Sensata Technologies Holding PLC   155 
 1,580   Sunrun, Inc.(a)   20 
 2,442   Vertiv Holdings Co.   91 
         7,301 
           
     Electronic Equipment, Instruments & Components — 0.40% 
 15,973   Amphenol Corp., Class - A   1,342 
 1,554   Arrow Electronics, Inc.(a)   195 
 690   Avnet, Inc.   33 
 3,647   CDW Corp.   737 
 4,669   Cognex Corp.   198 
 900   Coherent Corp.(a)   29 
 21,459   Corning, Inc.   654 
 120,363   Halma PLC   2,836 
 226   IPG Photonics Corp.   23 
 3,524   Jabil, Inc.   447 
 4,806   Keysight Technologies, Inc.(a)   635 
 183   Littelfuse, Inc.   45 
 992   National Instruments Corp.   59 
 314   TD SYNNEX Corp.   31 
 6,121   TE Connectivity Ltd.   757 
 1,267   Teledyne Technologies, Inc.(a)   517 
 6,682   Trimble, Inc.(a)   360 
 1,197   Vontier Corp.   37 
 1,394   Zebra Technologies Corp.(a)   329 
         9,264 
           
     Energy Equipment & Services — 0.22% 
 38,998   Baker Hughes Co.   1,377 
 24,349   Halliburton Co.   986 
 2,968   NOV, Inc.   62 
 44,430   Schlumberger N.V.   2,591 
 3,316   TechnipFMC PLC   67 
         5,083 
           
     Entertainment — 1.17%     
 21,178   Activision Blizzard, Inc.   1,983 
 444   AMC Entertainment Holdings, Inc.(a)   4 
 13,706   Electronic Arts, Inc.   1,651 
 5,310   Liberty Media Corp.-Liberty Formula One(a)   331 
 159   Liberty Media Corp.-Liberty Formula One(a)   9 
 355   Liberty Media Corp.-Liberty Live(a)   11 
 148   Liberty Media Corp.-Liberty Live(a)   5 
 4,315   Live Nation Entertainment, Inc.(a)   358 
 141   Madison Square Garden Sports Corp.   25 
 28,602   Netflix, Inc.(a)   10,800 
 178   Playtika Holding Corp.(a)   2 
 11,651   ROBLOX Corp., Class - A(a)   337 
 3,325   Roku, Inc.(a)   234 
 39,844   Spotify Technology SA(a)   6,162 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Entertainment (continued)     
 5,463   Take-Two Interactive Software, Inc.(a)  $767 
 49,347   The Walt Disney Co.(a)   3,999 
 326   TKO Group Holdings, Inc.   27 
 61,659   Warner Bros. Discovery, Inc.(a)   670 
         27,375 
           
     Financial Services — 4.66%     
 1,678   Affirm Holdings, Inc.(a)   36 
 77,615   Apollo Global Management, Inc.   6,967 
 40,852   Berkshire Hathaway, Inc., Class - B(a)   14,311 
 61,394   Block, Inc.(a)   2,717 
 1,119   Corebridge Financial, Inc.   22 
 9,663   Equitable Holdings, Inc.   275 
 358   Euronet Worldwide, Inc.(a)   28 
 112,556   Fidelity National Information Services, Inc.   6,221 
 137,884   Fiserv, Inc.(a)   15,576 
 1,907   FleetCor Technologies, Inc.(a)   487 
 24,003   Global Payments, Inc.   2,771 
 58,003   Mastercard, Inc., Class - A   22,963 
 2,240   MGIC Investment Corp.   37 
 29,116   PayPal Holdings, Inc.(a)   1,702 
 860   Rocket Cos., Inc., Class - A(a)   7 
 383   Shift4 Payments, Inc., Class - A(a)   21 
 380   TFS Financial Corp.   4 
 2,823   The Western Union Co.   37 
 181,728   Toast, Inc., Class - A(a)   3,404 
 703   UWM Holdings Corp.   3 
 135,891   Visa, Inc., Class - A   31,256 
 738   Voya Financial, Inc.   49 
 330   WEX, Inc.(a)   62 
         108,956 
           
     Food Products — 1.22%     
 23,999   Archer-Daniels-Midland Co.   1,809 
 10,865   Bunge Ltd.   1,176 
 32,521   Campbell Soup Co.   1,336 
 50,638   Conagra Brands, Inc.   1,389 
 4,315   Darling Ingredients, Inc.(a)   225 
 1,421   Flowers Foods, Inc.   32 
 345   Freshpet, Inc.(a)   23 
 32,260   General Mills, Inc.   2,064 
 37,516   Hormel Foods Corp.   1,427 
 497   Ingredion, Inc.   49 
 25,931   Kellogg Co.   1,543 
 66,680   Lamb Weston Holdings, Inc.   6,166 
 18,998   McCormick & Co., Inc./MD   1,437 
 49,625   Mondelez International, Inc., Class - A   3,444 
 353   Pilgrim's Pride Corp.(a)   8 
 409   Post Holdings, Inc.(a)   35 
 2   Seaboard Corp.   8 
 9,132   The Hershey Co.   1,826 
 10,931   The J.M. Smucker Co.   1,344 
 56,082   The Kraft Heinz Co.   1,886 
 25,120   Tyson Foods, Inc., Class - A   1,269 
         28,496 
           
     Gas Utilities — 0.09%     
 13,129   Atmos Energy Corp.   1,390 
 665   National Fuel Gas Co.   35 
 25,558   UGI Corp.   588 
         2,013 
           
     Ground Transportation — 1.18%     
 154   Avis Budget Group, Inc.(a)   28 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Ground Transportation (continued)     
 67,242   Canadian Pacific Kansas City Ltd.  $5,003 
 32,441   Canadian Pacific Kansas City Ltd.   2,412 
 63,164   CSX Corp.   1,943 
 1,015   Hertz Global Holdings, Inc.(a)   12 
 3,277   JB Hunt Transport Services, Inc.   618 
 10,070   Knight-Swift Transportation Holdings, Inc.   505 
 271   Landstar System, Inc.   48 
 2,316   Lyft, Inc., Class - A(a)   24 
 8,202   Norfolk Southern Corp.   1,615 
 2,669   Old Dominion Freight Line, Inc.   1,092 
 346   Ryder System, Inc.   37 
 201   Saia, Inc.(a)   80 
 410   Schneider National, Inc., Class - B   11 
 216,834   Uber Technologies, Inc.(a)   9,972 
 68   U-Haul Holding Co.(a)   4 
 2,510   U-Haul Holding Co.   131 
 18,870   Union Pacific Corp.   3,843 
 860   XPO, Inc.(a)   64 
         27,442 
           
     Health Care Equipment & Supplies — 1.57% 
 52,240   Abbott Laboratories   5,059 
 1,994   Align Technology, Inc.(a)   609 
 35,497   Baxter International, Inc.   1,340 
 11,410   Becton Dickinson & Co.   2,950 
 49,403   Boston Scientific Corp.(a)   2,608 
 11,550   DENTSPLY SIRONA, Inc.   395 
 15,379   Dexcom, Inc.(a)   1,435 
 16,346   Edwards Lifesciences Corp.(a)   1,132 
 384   Enovis Corp.(a)   20 
 1,234   Envista Holdings Corp.(a)   34 
 10,903   GE HealthCare Technologies, Inc.   742 
 897   Globus Medical, Inc.(a)   45 
 16,107   Hologic, Inc.(a)   1,117 
 153   ICU Medical, Inc.(a)   18 
 8,088   IDEXX Laboratories, Inc.(a)   3,537 
 217   Inspire Medical Systems, Inc.(a)   43 
 12,645   Insulet Corp.(a)   2,016 
 549   Integra LifeSciences Holdings Corp.(a)   21 
 13,639   Intuitive Surgical, Inc.(a)   3,987 
 360   Masimo Corp.(a)   32 
 44,136   Medtronic PLC   3,458 
 784   Novocure Ltd.(a)   13 
 270   Penumbra, Inc.(a)   65 
 403   QuidelOrtho Corp.(a)   29 
 5,333   ResMed, Inc.   789 
 274   Shockwave Medical, Inc.(a)   55 
 3,926   STERIS PLC   862 
 9,331   Stryker Corp.   2,550 
 484   Tandem Diabetes Care, Inc.(a)   10 
 1,266   Teleflex, Inc.   249 
 1,331   The Cooper Cos., Inc.   423 
 8,534   Zimmer Biomet Holdings, Inc.   958 
         36,601 
           
     Health Care Providers & Services — 2.32% 
 675   Acadia Healthcare Co., Inc.(a)   47 
 1,974   agilon health, Inc.(a)   35 
 243   Amedisys, Inc.(a)   23 
 9,930   AmerisourceBergen Corp.   1,787 
 16,821   Cardinal Health, Inc.   1,460 
 27,757   Centene Corp.(a)   1,911 
 111   Chemed Corp.   58 
 47,330   CVS Health Corp.   3,304 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Health Care Providers & Services (continued) 
 9,889   DaVita, Inc.(a)  $935 
 8,185   Elevance Health, Inc.   3,564 
 743   Encompass Health Corp.   50 
 5,559   HCA Healthcare, Inc.   1,368 
 12,837   Henry Schein, Inc.(a)   954 
 5,360   Humana, Inc.   2,608 
 5,858   Laboratory Corp. of America Holdings   1,178 
 5,923   McKesson Corp.   2,576 
 3,703   Molina Healthcare, Inc.(a)   1,214 
 893   Premier, Inc., Class - A   19 
 11,083   Quest Diagnostics, Inc.   1,351 
 1,155   R1 RCM, Inc.(a)   17 
 762   Tenet Healthcare Corp.(a)   50 
 29,393   The Cigna Group   8,409 
 41,639   UnitedHealth Group, Inc.   20,992 
 2,698   Universal Health Services, Inc., Class - B   340 
         54,250 
           
     Health Care REITs — 0.47%     
 78,433   CareTrust REIT, Inc.   1,608 
 57,075   Healthcare Realty Trust, Inc.   871 
 40,786   Healthpeak Properties, Inc.   748 
 4,504   Medical Properties Trust, Inc.   25 
 52,320   Omega Healthcare Investors, Inc.   1,735 
 23,177   Ventas, Inc.   977 
 60,877   Welltower, Inc.   4,987 
         10,951 
           
     Health Care Technology — 0.16% 
 881   Certara, Inc.(a)   13 
 848   Doximity, Inc., Class - A(a)   18 
 1,218   Teladoc Health, Inc.(a)   23 
 17,805   Veeva Systems, Inc., Class - A(a)   3,622 
         3,676 
           
     Hotel & Resort REITs — 0.05% 
 19,182   Host Hotels & Resorts, Inc.   308 
 1,690   Park Hotels & Resorts, Inc.   21 
 11,410   Ryman Hospitality Properties, Inc.   950 
         1,279 
           
     Hotels, Restaurants & Leisure — 2.17% 
 18,754   Airbnb, Inc., Class - A(a)   2,574 
 6,596   Aramark   229 
 1,000   Booking Holdings, Inc.(a)   3,084 
 555   Boyd Gaming Corp.   34 
 5,756   Caesars Entertainment, Inc.(a)   267 
 27,022   Carnival Corp.(a)   371 
 122   Cava Group, Inc.(a)   4 
 3,957   Chipotle Mexican Grill, Inc.(a)   7,248 
 17,717   Choice Hotels International, Inc.   2,170 
 541   Churchill Downs, Inc.   63 
 3,256   Darden Restaurants, Inc.   467 
 2,789   Domino's Pizza, Inc.   1,057 
 7,201   DoorDash, Inc., Class - A(a)   572 
 11,251   DraftKings, Inc.(a)   331 
 3,863   Expedia Group, Inc.(a)   398 
 41,900   Hilton Worldwide Holdings, Inc.   6,292 
 10,023   Hyatt Hotels Corp., Class - A   1,063 
 106,062   Las Vegas Sands Corp.   4,862 
 10,512   Marriott International, Inc., Class - A   2,066 
 284   Marriott Vacations Worldwide Corp.   29 
 23,027   McDonald's Corp.   6,066 
 7,934   MGM Resorts International   291 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Hotels, Restaurants & Leisure (continued) 
 3,172   Norwegian Cruise Line Holdings Ltd.(a)  $52 
 1,172   Penn Entertainment, Inc.(a)   27 
 633   Planet Fitness, Inc., Class - A(a)   31 
 6,241   Royal Caribbean Cruises Ltd.(a)   575 
 30,827   Starbucks Corp.   2,814 
 505   Texas Roadhouse, Inc.   49 
 1,293   The Wendy's Co.   26 
 560   Travel + Leisure Co.   21 
 1,087   Vail Resorts, Inc.   242 
 226   Wingstop, Inc.   41 
 635   Wyndham Hotels & Resorts, Inc.   44 
 60,188   Wynn Resorts Ltd.   5,561 
 12,778   Yum! Brands, Inc.   1,596 
         50,617 
           
     Household Durables — 0.78%     
 59,507   D.R. Horton, Inc.   6,395 
 4,142   Garmin Ltd.   436 
 1,009   Leggett & Platt, Inc.   26 
 28,433   Lennar Corp., Class - A   3,191 
 112   Lennar Corp., Class - B   11 
 11,283   Meritage Homes Corp.   1,381 
 1,453   Mohawk Industries, Inc.(a)   124 
 2,863   Newell Brands, Inc.   26 
 87   NVR, Inc.(a)   519 
 6,025   PulteGroup, Inc.   446 
 120,720   Tempur Sealy International, Inc.   5,232 
 836   Toll Brothers, Inc.   62 
 242   TopBuild Corp.(a)   61 
 1,468   Whirlpool Corp.   196 
         18,106 
           
     Household Products — 0.78%     
 18,821   Church & Dwight Co., Inc.   1,725 
 36,437   Colgate-Palmolive Co.   2,591 
 18,333   Kimberly-Clark Corp.   2,216 
 412   Reynolds Consumer Products, Inc.   11 
 302   Spectrum Brands Holdings, Inc.   24 
 10,732   The Clorox Co.   1,407 
 70,538   The Procter & Gamble Co.   10,287 
         18,261 
           
     Independent Power and Renewable Electricity Producers — 0.05% 
 968   Brookfield Renewable Corp., Class - A   23 
 261   Clearway Energy, Inc., Class - A   5 
 618   Clearway Energy, Inc., Class - C   13 
 18,042   The AES Corp.   274 
 27,140   Vistra Corp.   901 
         1,216 
           
     Industrial Conglomerates — 0.38%     
 21,711   3M Co.   2,033 
 29,374   General Electric Co.   3,248 
 19,732   Honeywell International, Inc.   3,644 
         8,925 
           
     Industrial REITs — 0.59%     
 2,038   Americold Realty Trust, Inc.   62 
 15,102   EastGroup Properties, Inc.   2,515 
 999   First Industrial Realty Trust, Inc.   48 
 52,605   Plymouth Industrial REIT, Inc.   1,102 
 88,163   Prologis, Inc.   9,892 
 1,483   Rexford Industrial Realty, Inc.   73 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Industrial REITs (continued)     
 1,356   STAG Industrial, Inc.  $47 
         13,739 
           
     Insurance — 2.12%     
 24,140   Aflac, Inc.   1,853 
 7,275   American Financial Group, Inc.   812 
 19,623   American International Group, Inc.   1,189 
 7,102   Aon PLC, Class - A   2,303 
 18,832   Arch Capital Group Ltd.(a)   1,501 
 20,428   Arthur J. Gallagher & Co.   4,657 
 7,384   Assurant, Inc.   1,060 
 437   Assured Guaranty Ltd.   26 
 590   Axis Capital Holdings Ltd.   33 
 514   Brighthouse Financial, Inc.(a)   25 
 9,113   Brown & Brown, Inc.   636 
 15,060   Chubb Ltd.   3,136 
 7,779   Cincinnati Financial Corp.   795 
 207   CNA Financial Corp.   8 
 3,549   Erie Indemnity Co., Class - A   1,042 
 3,239   Everest Group Ltd.   1,204 
 6,991   Fidelity National Financial, Inc.   288 
 765   First American Financial Corp.   43 
 7,408   Globe Life, Inc.   806 
 482   Kemper Corp.   20 
 165   Kinsale Capital Group, Inc.   68 
 1,287   Lincoln National Corp.   32 
 14,046   Loews Corp.   890 
 2,890   Markel Group, Inc.(a)   4,256 
 49,243   Marsh & McLennan Cos., Inc.   9,372 
 20,750   MetLife, Inc.   1,306 
 2,054   Old Republic International Corp.   55 
 278   Primerica, Inc.   54 
 6,549   Principal Financial Group, Inc.   472 
 9,873   Prudential Financial, Inc.   937 
 507   Reinsurance Group of America, Inc.   74 
 374   RenaissanceRe Holdings Ltd.   74 
 304   RLI Corp.   41 
 692   Ryan Specialty Holdings, Inc.(a)   33 
 14,924   The Allstate Corp.   1,662 
 268   The Hanover Insurance Group, Inc.   30 
 17,092   The Hartford Financial Services Group, Inc.   1,212 
 23,300   The Progressive Corp.   3,246 
 11,848   The Travelers Cos., Inc.   1,935 
 1,503   Unum Group   74 
 19,106   W.R. Berkley Corp.   1,213 
 19   White Mountains Insurance Group Ltd.   28 
 5,103   Willis Towers Watson PLC   1,066 
         49,567 
           
     Interactive Media & Services — 4.23% 
 270,094   Alphabet, Inc., Class - A(a)   35,345 
 159,794   Alphabet, Inc., Class - C(a)   21,069 
 545,251   Auto Trader Group PLC   4,096 
 583   IAC, Inc.(a)   29 
 7,522   Match Group, Inc.(a)   295 
 88,521   Meta Platforms, Inc., Class - A(a)   26,575 
 222,795   Pinterest, Inc., Class - A(a)   6,022 
 76,177   Scout24 SE-   5,281 
 19,787   Snap, Inc., Class - A(a)   176 
 775   TripAdvisor, Inc.(a)   13 
 7,464   ZoomInfo Technologies, Inc.(a)   123 
         99,024 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     IT Services — 1.03%     
 17,043   Accenture PLC, Class - A  $5,234 
 7,867   Akamai Technologies, Inc.(a)   838 
 901   Amdocs Ltd.   76 
 7,497   Cloudflare, Inc., Class - A(a)   472 
 13,700   Cognizant Technology Solutions Corp., Class - A   928 
 1,745   DXC Technology Co.(a)   36 
 1,542   EPAM Systems, Inc.(a)   394 
 2,120   Gartner, Inc.(a)   728 
 309   Globant SA(a)   61 
 80,155   GoDaddy, Inc., Class - A(a)   5,971 
 31,149   International Business Machines Corp.   4,370 
 1,550   Kyndryl Holdings, Inc.(a)   23 
 4,923   MongoDB, Inc.(a)   1,703 
 4,155   Okta, Inc.(a)   338 
 13,697   Snowflake, Inc., Class - A(a)   2,093 
 4,637   Twilio, Inc., Class - A(a)   272 
 2,505   VeriSign, Inc.(a)   508 
         24,045 
           
     Leisure Products — 0.03%     
 548   Brunswick Corp.   43 
 7,596   Hasbro, Inc.   502 
 2,666   Mattel, Inc.(a)   59 
 2,337   Peloton Interactive, Inc., Class - A(a)   12 
 417   Polaris, Inc.   43 
 654   YETI Holdings, Inc.(a)   32 
         691 
           
     Life Sciences Tools & Services — 1.87% 
 698   10X Genomics, Inc., Class - A(a)   29 
 52,112   Agilent Technologies, Inc.   5,827 
 18,268   Avantor, Inc.(a)   385 
 518   Azenta, Inc.(a)   26 
 595   Bio-Rad Laboratories, Inc., Class - A(a)   213 
 4,237   Bio-Techne Corp.   288 
 813   Bruker Corp.   51 
 1,380   Charles River Laboratories International, Inc.(a)   271 
 45,392   Danaher Corp.   11,262 
 29,248   Eurofins Scientific SE   1,648 
 672   Fortrea Holdings, Inc.(a)   19 
 616   ICON PLC(a)   152 
 4,265   Illumina, Inc.(a)   586 
 5,007   IQVIA Holdings, Inc.(a)   985 
 833   Maravai LifeSciences Holdings, Inc., Class - A(a)   8 
 176   Medpace Holdings, Inc.(a)   43 
 3,041   Mettler-Toledo International, Inc.(a)   3,369 
 1,720   QIAGEN N.V.(a)   70 
 1,448   Repligen Corp.(a)   231 
 3,396   Revvity, Inc.   376 
 13,422   Sartorius Stedim Biotech   3,193 
 750   Sotera Health Co.(a)   11 
 26,463   Thermo Fisher Scientific, Inc.   13,394 
 2,106   Waters Corp.(a)   577 
 2,005   West Pharmaceutical Services, Inc.   752 
         43,766 
           
     Machinery — 1.03%     
 471   AGCO Corp.   56 
 699   Allison Transmission Holdings, Inc.   41 
 15,461   Caterpillar, Inc.   4,222 
 7,386   CNH Industrial N.V.   89 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Machinery (continued)     
 357   Crane Co.  $32 
 357   Crane NXT Co.   20 
 5,589   Cummins, Inc.   1,276 
 8,461   Deere & Co.   3,193 
 921   Donaldson Co., Inc.   55 
 3,783   Dover Corp.   527 
 430   Esab Corp.   30 
 987   Flowserve Corp.   39 
 9,568   Fortive Corp.   709 
 912   Gates Industrial Corp. PLC(a)   11 
 4,544   Graco, Inc.   331 
 11,525   IDEX Corp.   2,398 
 9,490   Illinois Tool Works, Inc.   2,186 
 10,941   Ingersoll Rand, Inc.   697 
 633   ITT, Inc.   62 
 425   Lincoln Electric Holdings, Inc.   77 
 1,432   Nordson Corp.   320 
 498   Oshkosh Corp.   48 
 15,018   Otis Worldwide Corp.   1,206 
 20,258   PACCAR, Inc.   1,722 
 3,464   Parker-Hannifin Corp.   1,349 
 4,441   Pentair PLC   288 
 214   RBC Bearings, Inc.(a)   50 
 3,326   Snap-on, Inc.   848 
 4,144   Stanley Black & Decker, Inc.   347 
 406   The Middleby Corp.(a)   52 
 464   The Timken Co.   34 
 7,615   The Toro Co.   633 
 4,847   Westinghouse Air Brake Technologies Corp.   515 
 6,432   Xylem, Inc.   585 
         24,048 
           
     Marine Transportation — 0.00% 
 453   Kirby Corp.(a)   38 
           
     Media — 0.54%     
 44   Cable One, Inc.   27 
 3,329   Charter Communications, Inc., Class - A(a)   1,464 
 119,191   Comcast Corp., Class - A   5,285 
 1,900   DISH Network Corp., Class - A(a)   11 
 26,505   Fox Corp., Class - A   827 
 22,680   Fox Corp., Class - B   656 
 132   Liberty Broadband Corp., Class - A(a)   12 
 4,591   Liberty Broadband Corp., Class - C(a)   419 
 4,393   Liberty Media Corp.-Liberty SiriusXM(a)   112 
 569   Liberty Media Corp.-Liberty SiriusXM(a)   14 
 10,330   News Corp., Class - A   207 
 897   News Corp., Class - B   19 
 258   Nexstar Media Group, Inc.   37 
 10,787   Omnicom Group, Inc.   804 
 70   Paramount Global, Class - A   1 
 13,858   Paramount Global, Class - B   178 
 170,485   Sirius XM Holdings, Inc.^   771 
 10,445   The Interpublic Group of Cos., Inc.   299 
 1,232   The New York Times Co., Class - A   51 
 18,981   The Trade Desk, Inc., Class - A(a)   1,483 
         12,677 
           
     Metals & Mining — 0.25%     
 1,341   Alcoa Corp.   39 
 13,846   Cleveland-Cliffs, Inc.(a)   217 
 38,668   Freeport-McMoRan, Inc.   1,440 
 785   MP Materials Corp.(a)   15 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Metals & Mining (continued)     
 47,467   Newmont Corp.  $1,755 
 6,785   Nucor Corp.   1,061 
 2,406   Reliance Steel & Aluminum Co.   631 
 497   Royal Gold, Inc.   53 
 648   Southern Copper Corp.   49 
 1,562   SSR Mining, Inc.   21 
 4,345   Steel Dynamics, Inc.   466 
 1,703   United States Steel Corp.   55 
         5,802 
           
     Mortgage Real Estate Investment Trusts  — 0.03% 
 4,327   AGNC Investment Corp.   41 
 26,380   Annaly Capital Management, Inc.   496 
 3,639   Rithm Capital Corp.   34 
 2,215   Starwood Property Trust, Inc.   43 
         614 
           
     Multi-Utilities — 0.81%     
 20,500   Ameren Corp.   1,534 
 47,227   CenterPoint Energy, Inc.   1,268 
 52,550   CMS Energy Corp.   2,791 
 22,230   Consolidated Edison, Inc.   1,901 
 45,141   Dominion Energy, Inc.   2,016 
 15,514   DTE Energy Co.   1,541 
 49,256   NiSource, Inc.   1,215 
 28,640   Public Service Enterprise Group, Inc.   1,630 
 29,382   Sempra Energy   1,999 
 37,020   WEC Energy Group, Inc.   2,982 
         18,877 
           
     Office REITs — 0.13%     
 6,331   Alexandria Real Estate Equities, Inc.   634 
 4,100   Boston Properties, Inc.   244 
 1,145   Cousins Properties, Inc.   23 
 788   Highwoods Properties, Inc.   16 
 27,856   Kilroy Realty Corp.   881 
 34,228   SL Green Realty Corp.   1,277 
 1,338   Vornado Realty Trust   30 
         3,105 
           
     Oil, Gas & Consumable Fuels — 2.22% 
 2,550   Antero Midstream Corp.   31 
 2,151   Antero Resources Corp.(a)   55 
 8,332   APA Corp.   342 
 11,108   Cheniere Energy, Inc.   1,843 
 7,542   Chesapeake Energy Corp.   651 
 53,071   Chevron Corp.   8,948 
 35,794   ConocoPhillips   4,288 
 45,458   Coterra Energy, Inc.   1,229 
 17,317   Devon Energy Corp.   826 
 4,705   Diamondback Energy, Inc.   728 
 735   DT Midstream, Inc.   39 
 17,772   EOG Resources, Inc.   2,253 
 12,265   EQT Corp.   498 
 116,024   Exxon Mobil Corp.   13,643 
 8,090   Hess Corp.   1,237 
 11,138   HF Sinclair Corp.   634 
 95,698   Kinder Morgan, Inc.   1,587 
 16,725   Marathon Oil Corp.   448 
 13,036   Marathon Petroleum Corp.   1,973 
 418   New Fortress Energy, Inc.   14 
 18,275   Occidental Petroleum Corp.   1,186 
 14,125   ONEOK, Inc.   896 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Oil, Gas & Consumable Fuels (continued) 
 6,910   Ovintiv, Inc.  $329 
 16,789   Phillips 66   2,017 
 6,300   Pioneer Natural Resources Co.   1,446 
 1,786   Range Resources Corp.   58 
 8,345   Southwestern Energy Co.(a)   54 
 5,854   Targa Resources Corp.   502 
 164   Texas Pacific Land Corp.   299 
 54,630   The Williams Cos., Inc.   1,840 
 12,975   Valero Energy Corp.   1,838 
         51,732 
           
     Paper & Forest Products — 0.00% 
 485   Louisiana-Pacific Corp.   27 
           
     Passenger Airlines — 0.03%     
 949   Alaska Air Group, Inc.(a)   35 
 4,899   American Airlines Group, Inc.(a)   63 
 7,977   Delta Air Lines, Inc.   294 
 7,396   Southwest Airlines Co.   201 
 2,474   United Airlines Holdings, Inc.(a)   105 
         698 
           
     Personal Care Products — 0.12%     
 2,665   Coty, Inc., Class - A(a)   29 
 43,029   Kenvue, Inc.   864 
 11,800   L'Oreal SA, ADR   978 
 943   Olaplex Holdings, Inc.(a)   2 
 6,247   The Estee Lauder Cos., Inc.   903 
         2,776 
           
     Pharmaceuticals — 2.34%     
 19,257   AstraZeneca PLC, ADR   1,304 
 75,418   Bristol-Myers Squibb Co.   4,377 
 4,864   Catalent, Inc.(a)   222 
 3,702   Elanco Animal Health, Inc.(a)   42 
 30,560   Eli Lilly & Co.   16,414 
 6,432   Jazz Pharmaceuticals PLC(a)   832 
 71,610   Johnson & Johnson   11,153 
 79,291   Merck & Co., Inc.   8,163 
 22,326   Novo Nordisk A/S, ADR   2,030 
 1,927   Organon & Co.   33 
 1,019   Perrigo Co. PLC   33 
 183,152   Pfizer, Inc.   6,076 
 36,378   Royalty Pharma PLC, Class - A   988 
 76,222   Viatris, Inc.   751 
 12,484   Zoetis, Inc.   2,172 
         54,590 
           
     Professional Services — 2.05%     
 11,984   Automatic Data Processing, Inc.   2,884 
 10,966   Booz Allen Hamilton Holding Corp.   1,198 
 3,175   Broadridge Financial Solutions, Inc.   568 
 171   CACI International, Inc., Class - A(a)   54 
 100,849   Ceridian HCM Holding, Inc.(a)   6,842 
 757,251   Clarivate PLC(a)   5,081 
 322   Concentrix Corp.   26 
 64,637   CoStar Group, Inc.(a)   4,970 
 1,907   Dun & Bradstreet Holdings, Inc.   19 
 3,306   Equifax, Inc.   606 
 256   FTI Consulting, Inc.(a)   46 
 1,353   Genpact Ltd.   49 
 5,858   Jack Henry & Associates, Inc.   885 
 4,520   Jacobs Solutions, Inc.   617 
 1,034   KBR, Inc.   61 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Professional Services (continued)     
 13,053   Leidos Holdings, Inc.  $1,203 
 381   ManpowerGroup, Inc.   28 
 8,761   Paychex, Inc.   1,010 
 23,596   Paycom Software, Inc.   6,117 
 461   Paycor HCM, Inc.(a)   11 
 19,461   Paylocity Holding Corp.(a)   3,536 
 2,890   Robert Half International, Inc.   212 
 417   Science Applications International Corp.   44 
 101,851   SS&C Technologies Holdings, Inc.   5,351 
 73,298   TransUnion   5,262 
 5,475   Verisk Analytics, Inc.   1,294 
         47,974 
           
     Real Estate Management & Development — 0.33% 
 21,029   CBRE Group, Inc., Class - A(a)   1,553 
 28,752   Corp. Inmobiliaria Vesta Sab de CV, ADR   945 
 254   Howard Hughes Holdings, Inc.(a)   19 
 362   Jones Lang LaSalle, Inc.(a)   51 
 77,519   Tricon Residential, Inc.   574 
 427   Zillow Group, Inc., Class - A(a)   19 
 100,175   Zillow Group, Inc., Class - C(a)   4,624 
         7,785 
           
     Residential REITs — 1.35%     
 158,322   American Homes 4 Rent, Class - A   5,333 
 1,135   Apartment Income REIT Corp.   35 
 52,515   AvalonBay Communities, Inc.   9,018 
 9,554   Camden Property Trust   904 
 13,918   Equity LifeStyle Properties, Inc.   887 
 16,860   Equity Residential   990 
 12,460   Essex Property Trust, Inc.   2,643 
 97,435   Invitation Homes, Inc.   3,088 
 7,556   Mid-America Apartment Communities, Inc.   972 
 31,747   Sun Communities, Inc.   3,757 
 67,556   UDR, Inc.   2,410 
 85,877   Veris Residential, Inc.   1,417 
         31,454 
           
     Retail REITs — 0.48%     
 672   Agree Realty Corp.   37 
 112,499   Brixmor Property Group, Inc.   2,338 
 30,482   Getty Realty Corp.   845 
 16,616   Kimco Realty Corp.   293 
 22,311   Kite Realty Group Trust   478 
 1,373   NNN REIT, Inc.   49 
 38,327   Phillips Edison & Co., Inc.   1,285 
 33,240   Realty Income Corp.   1,660 
 6,037   Regency Centers Corp.   358 
 22,228   Simon Property Group, Inc.   2,402 
 1,055   Spirit Realty Capital, Inc.   35 
 59,655   Tanger Factory Outlet Centers, Inc.   1,348 
         11,128 
           
     Semiconductors & Semiconductor Equipment — 4.44% 
 69,012   Advanced Micro Devices, Inc.(a)   7,096 
 503   Allegro MicroSystems, Inc.(a)   16 
 13,581   Analog Devices, Inc.   2,378 
 60,815   Applied Materials, Inc.   8,420 
 6,898   ARM Holdings PLC, ADR(a)   369 
 5,375   ASML Holding N.V., NYS   3,164 
 13,814   Broadcom, Inc.   11,474 
 416   Cirrus Logic, Inc.(a)   31 
 3,668   Enphase Energy, Inc.(a)   441 
 4,035   Entegris, Inc.   379 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Semiconductors & Semiconductor Equipment (continued) 
 2,783   First Solar, Inc.(a)  $449 
 592   GLOBALFOUNDRIES, Inc.(a)   34 
 112,665   Intel Corp.   4,006 
 3,706   KLA Corp.   1,700 
 3,629   Lam Research Corp.   2,274 
 3,713   Lattice Semiconductor Corp.(a)   319 
 23,163   Marvell Technology, Inc.   1,254 
 14,646   Microchip Technology, Inc.   1,143 
 36,233   Micron Technology, Inc.   2,465 
 501   MKS Instruments, Inc.   43 
 1,219   Monolithic Power Systems, Inc.   563 
 104,011   NVIDIA Corp.   45,245 
 5,049   NXP Semiconductors N.V.   1,009 
 11,665   ON Semiconductor Corp.(a)   1,084 
 2,678   Qorvo, Inc.(a)   255 
 30,094   QUALCOMM, Inc.   3,342 
 4,302   Skyworks Solutions, Inc.   424 
 1,095   SolarEdge Technologies, Inc.(a)   142 
 4,202   Teradyne, Inc.   422 
 24,508   Texas Instruments, Inc.   3,897 
 353   Universal Display Corp.   55 
 3,344   Wolfspeed, Inc.(a)   128 
         104,021 
           
     Software — 10.06%     
 28,087   Adobe, Inc.(a)   14,321 
 455   Alteryx, Inc., Class - A(a)   17 
 14,358   ANSYS, Inc.(a)   4,271 
 20,013   Appfolio, Inc., Class - A(a)   3,655 
 1,660   AppLovin Corp., Class - A(a)   66 
 1,971   Aspen Technology, Inc.(a)   403 
 4,052   Atlassian Corp., Class - A(a)   816 
 5,780   Autodesk, Inc.(a)   1,196 
 5,572   Bentley Systems, Inc., Class - B   280 
 2,638   BILL Holdings, Inc.(a)   286 
 25,414   Cadence Design Systems, Inc.(a)   5,954 
 1,519   CCC Intelligent Solutions Holdings, Inc.(a)   20 
 4,606   Confluent, Inc., Class - A(a)   136 
 10,342   Crowdstrike Holdings, Inc., Class - A(a)   1,731 
 64,363   Dassault Systemes SE   2,390 
 6,970   Datadog, Inc., Class - A(a)   635 
 5,440   DocuSign, Inc.(a)   229 
 449   Dolby Laboratories, Inc., Class - A   36 
 849   DoubleVerify Holdings, Inc.(a)   24 
 7,015   Dropbox, Inc., Class - A(a)   191 
 6,505   Dynatrace, Inc.(a)   304 
 587   Elastic N.V.(a)   48 
 670   Fair Isaac Corp.(a)   582 
 531   Five9, Inc.(a)   34 
 17,932   Fortinet, Inc.(a)   1,052 
 46,414   Gen Digital, Inc.   821 
 663   Gitlab, Inc., Class - A(a)   30 
 622   Guidewire Software, Inc.(a)   56 
 701   HashiCorp, Inc., Class - A(a)   16 
 1,839   HubSpot, Inc.(a)   905 
 279   Informatica, Inc., Class - A(a)   6 
 18,721   Intuit, Inc.   9,566 
 37,626   Kinaxis, Inc.(a)   4,244 
 1,680   Manhattan Associates, Inc.(a)   332 
 312,492   Microsoft Corp.   98,672 
 102,767   Money Forward, Inc.(a)   3,281 
 528   nCino, Inc.(a)   17 
 974   NCR Corp.(a)   26 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Software (continued)     
 404   New Relic, Inc.(a)  $35 
 1,742   Nutanix, Inc., Class - A(a)   61 
 92,624   Oracle Corp.   9,811 
 49,359   Palantir Technologies, Inc., Class - A(a)   790 
 32,778   Palo Alto Networks, Inc.(a)   7,684 
 314   Pegasystems, Inc.   14 
 47,144   Procore Technologies, Inc.(a)   3,080 
 2,990   PTC, Inc.(a)   423 
 646   RingCentral, Inc., Class - A(a)   19 
 12,390   Roper Technologies, Inc.   6,000 
 60,808   Salesforce, Inc.(a)   12,330 
 1,448   SentinelOne, Inc., Class - A(a)   24 
 7,382   ServiceNow, Inc.(a)   4,126 
 964   Smartsheet, Inc., Class - A(a)   39 
 4,269   Splunk, Inc.(a)   625 
 4,110   Synopsys, Inc.(a)   1,886 
 776   Teradata Corp.(a)   35 
 43,039   The Descartes Systems Group, Inc.(a)   3,159 
 929,184   The Sage Group PLC   11,180 
 16,930   Tyler Technologies, Inc.(a)   6,537 
 9,881   UiPath, Inc., Class - A(a)   169 
 6,594   Unity Software, Inc.(a)   207 
 6,227   VMware, Inc., Class - A(a)   1,037 
 29,201   Workday, Inc., Class - A(a)   6,274 
 28,893   Xero Ltd.(a)   2,077 
 6,499   Zoom Video Communications, Inc., Class - A(a)   454 
 2,362   Zscaler, Inc.(a)   368 
         235,093 
           
     Specialized REITs — 1.67%     
 23,621   American Tower Corp.   3,884 
 17,554   Crown Castle, Inc.   1,615 
 36,978   CubeSmart   1,410 
 29,236   Digital Realty Trust, Inc.   3,538 
 24,537   EPR Properties   1,019 
 16,753   Equinix, Inc.   12,168 
 9,605   Extra Space Storage, Inc.   1,168 
 19,021   Gaming and Leisure Properties, Inc.   866 
 51,390   Iron Mountain, Inc.   3,055 
 656   Lamar Advertising Co., Class - A   55 
 603   National Storage Affiliates Trust   19 
 18,246   Public Storage   4,809 
 1,105   Rayonier, Inc.   31 
 4,985   SBA Communications Corp.   998 
 117,103   VICI Properties, Inc.   3,407 
 29,473   Weyerhaeuser Co.   904 
         38,946 
           
     Specialty Retail — 1.40%     
 4,227   Advance Auto Parts, Inc.   236 
 230   AutoNation, Inc.(a)   35 
 830   AutoZone, Inc.(a)   2,108 
 5,953   Bath & Body Works, Inc.   202 
 5,288   Best Buy Co., Inc.   367 
 1,752   Burlington Stores, Inc.(a)   237 
 4,275   CarMax, Inc.(a)   303 
 2,444   Chewy, Inc., Class - A(a)   45 
 1,674   Dick's Sporting Goods, Inc.   181 
 414   Five Below, Inc.(a)   67 
 783   Floor & Decor Holdings, Inc., Class - A(a)   71 
 2,036   GameStop Corp., Class - A(a)   34 
 206   Lithia Motors, Inc.   61 
 15,907   Lowe's Cos., Inc.   3,306 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Specialty Retail (continued)     
 149   Murphy USA, Inc.  $51 
 3,630   O'Reilly Automotive, Inc.(a)   3,300 
 152   Penske Automotive Group, Inc.   25 
 610   Petco Health & Wellness Co., Inc.(a)   2 
 123   Restoration Hardware Co.(a)   33 
 9,168   Ross Stores, Inc.   1,036 
 1,475   The Gap, Inc.   16 
 30,420   The Home Depot, Inc.   9,191 
 107,926   The TJX Cos., Inc.   9,591 
 4,369   Tractor Supply Co.   887 
 2,658   Ulta Beauty, Inc.(a)   1,062 
 1,302   Valvoline, Inc.   42 
 615   Victoria's Secret & Co.(a)   10 
 598   Wayfair, Inc., Class - A(a)   36 
 503   Williams-Sonoma, Inc.   78 
         32,613 
           
     Technology Hardware, Storage & Peripherals — 3.79%     
 500,831   Apple, Inc.   85,746 
 4,989   Dell Technologies, Inc., Class - C   344 
 34,867   Hewlett Packard Enterprise Co.   605 
 23,758   HP, Inc.   611 
 5,743   NetApp, Inc.   436 
 2,163   Pure Storage, Inc., Class - A(a)   77 
 3,632   Seagate Technology Holdings PLC   240 
 919   Super Micro Computer, Inc.(a)   252 
 8,646   Western Digital Corp.(a)   395 
         88,706 
           
     Textiles, Apparel & Luxury Goods — 0.41% 
 930   Capri Holdings Ltd.(a)   49 
 283   Carter's, Inc.   20 
 273   Columbia Sportswear Co.   20 
 459   Crocs, Inc.(a)   40 
 711   Deckers Outdoor Corp.(a)   366 
 7,448   Lululemon Athletica, Inc.(a)   2,872 
 12,495   LVMH Moet Hennessy Louis Vuitton SE, ADR   1,888 
 41,018   NIKE, Inc., Class - B   3,921 
 478   PVH Corp.   37 
 307   Ralph Lauren Corp.   36 
 1,015   Skechers USA, Inc., Class - A(a)   50 
 1,791   Tapestry, Inc.   51 
 1,429   Under Armour, Inc., Class - A(a)   10 
 1,440   Under Armour, Inc., Class - C(a)   9 
 9,114   V.F. Corp.   161 
         9,530 
           
     Tobacco — 0.34%     
 73,607   Altria Group, Inc.   3,095 
 53,182   Philip Morris International, Inc.   4,924 
         8,019 
           
     Trading Companies & Distributors — 0.51% 
 788   Air Lease Corp.   31 
 640   Core & Main, Inc., Class - A(a)   18 
 46,231   Fastenal Co.   2,527 
 40,400   Ferguson PLC   6,645 
 350   MSC Industrial Direct Co., Inc.   34 
 337   SiteOne Landscape Supply, Inc.(a)   55 
 1,856   United Rentals, Inc.   825 
 1,863   W.W. Grainger, Inc.   1,289 
 899   Watsco, Inc.   339 

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Trading Companies & Distributors (continued) 
 338   WESCO International, Inc.  $49 
         11,812 
           
     Water Utilities — 0.10%     
 10,696   American Water Works Co., Inc.   1,324 
 27,389   Essential Utilities, Inc.   941 
         2,265 
           
     Wireless Telecommunication Services — 0.35% 
 58,189   T-Mobile US, Inc.   8,149 
           
     Total Common Stocks   1,900,353 
           
     Contingent Right — 0.00%     
     Biotechnology — 0.00%     
 14   Oncternal Therapeutics, Inc. CVR, 12/31/49(a)(b)(c)    
           
     Total Contingent Right    
           
     Exchange-Traded Funds — 4.38%     
 1,583,300   Invesco S&P 500 Low Volatility ETF   93,082 
 8,594   iShares Russell 1000 ETF   2,019 
 16,960   SPDR S&P 500 ETF Trust   7,250 
           
     Total Exchange-Traded Funds   102,351 
           
     Investment Companies — 13.13%     
 898,067   Federated Hermes Treasury Obligations Fund, Institutional Shares, 4.99%^^(d)   898 
 305,776,573   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)   305,777 
           
     Total Investment Companies   306,675 
           
     Total Investments (cost $1,779,409) — 98.88%   2,309,379 
     Other assets in excess of liabilities — 1.12%   26,142 
           
     Net Assets - 100.00%  $2,335,521 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt

ETF—Exchange-Traded Fund

REIT—Real Estate Investment Trust

 

 

HC CAPITAL TRUST

The Institutional U.S. Equity Portfolio

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Institutional U.S. Equity Portfolio  Echo Street Capital Management LLC   Jennison Associates, LLC   Mellon Investments Corporation   Parametric Portfolio Associates, LLC   Wellington Management Company,
LLP
   HC Capital Solutions   Rhumbline Advisers   Total 
Common Stocks   11.76%   3.98%   50.13%   -    2.64%   -    12.86%   81.37%
Contingent Right   -    -    0.00%   -    -    -    -    0.00%
Exchange-Traded Funds   0.31%   -    -    3.99%   -    -    0.08%   4.38%
Investment Companies   -    -    0.07%   13.00%   0.03%   -    0.03%   13.13%
 Other Assets (Liabilities)   0.05%   0.06%   0.11%   0.86%   0.01%   0.02%   0.01%   1.12%
     Total Net Assets   12.12%   4.04%   50.31%   17.85%   2.68%   0.02%   12.98%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*

 

Description  Number of
Contracts
   Expiration Date   Notional Amount
(000)
   Value and Unrealized Appreciation/ (Depreciation)
(000)
 
E-Mini S&P 500 Future   1,671    12/15/23   $361,395   $(6,270)
Russell 2000 Mini Index Future   115    12/15/23    10,342    (27)
             $371,737   $(6,297)
                     
  Total Unrealized Appreciation   $ 
  Total Unrealized Depreciation    (6,297)
  Total Net Unrealized Appreciation/(Depreciation)   $(6,297)

 

* Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 99.20%
     Aerospace & Defense — 0.73%     
 347   AAR Corp.(a)  $21 
 176   AeroVironment, Inc.(a)    20 
 700   Curtiss-Wright Corp.    136 
 716   Kaman Corp.    14 
 9,052   Kratos Defense & Security Solutions, Inc.(a)    136 
 64   Moog, Inc., Class - A    7 
 4,777   Redwire Corp.^(a)    14 
 4,770   Triumph Group, Inc.(a)    37 
 2,533   V2X, Inc.(a)    131 
         516 
           
     Air Freight & Logistics — 0.14%     
 670   Air Transport Services Group, Inc.(a)    14 
 538   Forward Air Corp.    37 
 586   Hub Group, Inc., Class - A(a)    46 
         97 
           
     Automobile Components — 1.75%     
 1,571   Adient PLC(a)    58 
 2,008   American Axle & Manufacturing Holdings, Inc.(a)    15 
 25,347   Dana, Inc.    372 
 554   Dorman Products, Inc.    42 
 10,286   Modine Manufacturing Co.(a)    470 
 930   Patrick Industries, Inc.    70 
 817   Stoneridge, Inc.(a)    16 
 1,818   The Goodyear Tire & Rubber Co.(a)    23 
 872   Visteon Corp.(a)    120 
 522   Winnebago Industries, Inc.    31 
 216   XPEL, Inc.(a)    17 
         1,234 
           
     Banks — 9.00%     
 1,715   Ameris Bancorp    66 
 1,712   Axos Financial, Inc.(a)    65 
 813   Banc of California, Inc.    10 
 1,048   BancFirst Corp.    91 
 4,378   Bank of Marin Bancorp    80 
 6,654   BankUnited, Inc.    151 
 1,471   Bankwell Financial Group, Inc.    36 
 1,775   Banner Corp.    75 
 2,204   BCB Bancorp, Inc.    25 
 4,171   Berkshire Hills Bancorp, Inc.    84 
 418   Byline Bancorp, Inc.    8 
 5,139   Cadence Bank    109 
 2,951   Cathay General Bancorp    103 
 1,054   Central Valley Community Bancorp    15 
 3,735   Columbia Banking System, Inc.    76 
 3,488   Columbia Financial, Inc.(a)    55 
 2,630   ConnectOne Bancorp, Inc.    47 
 777   Cullen/Frost Bankers, Inc.    71 
 9,064   CVB Financial Corp.    150 
 3,447   Dime Community Bancshares, Inc.    69 
 2,962   Eastern Bankshares, Inc.    37 
 3,279   Enterprise Financial Services Corp.    123 
 6,060   FB Financial Corp.    172 
 24,739   First Bancorp    332 
 952   First Bancorp    27 
 2,341   First Bank    25 
 3,516   First Busey Corp.    68 
 14,222   First Commonwealth Financial Corp.    174 
 3,478   First Financial Bancorp    68 
 22,418   First Foundation, Inc.    136 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Banks (continued)     
 5,034   First Horizon Corp.   $55 
 6,998   First Merchants Corp.    194 
 1,201   Flushing Financial Corp.    16 
 6,458   Fulton Financial Corp.    78 
 3,205   Hancock Whitney Corp.    119 
 2,946   Heartland Financial USA, Inc.    87 
 868   Hilltop Holdings, Inc.    25 
 24,005   HomeStreet, Inc.    186 
 4,173   Hope Bancorp, Inc.    37 
 1,707   Horizon Bancorp, Inc.    18 
 3,570   Independent Bank Corp.    175 
 2,151   Independent Bank Group, Inc.    85 
 129   International Bancshares Corp.    6 
 774   Lakeland Financial Corp.    37 
 2,021   Live Oak Bancshares, Inc.    59 
 1,295   Midland States Bancorp, Inc.    27 
 1,147   National Bank Holdings Corp., Class - A    34 
 2,678   New York Community Bancorp, Inc.    30 
 1,622   Northrim BanCorp, Inc.    64 
 3,969   Northwest Bancshares, Inc.    41 
 3,649   OFG Bancorp    109 
 2,194   Old Second Bancorp, Inc.    30 
 1,149   Orrstown Financial Services, Inc.    24 
 2,911   Pacific Premier Bancorp, Inc.    63 
 146   Park National Corp.    14 
 155   Pathward Financial, Inc.    7 
 569   Peoples Bancorp, Inc.    14 
 1,889   Pinnacle Financial Partners, Inc.    127 
 4,394   Popular, Inc.    276 
 3,750   Provident Bancorp, Inc.(a)    36 
 3,124   Provident Financial Services, Inc.    48 
 2,649   Sandy Spring Bancorp, Inc.    57 
 990   ServisFirst Bancshares, Inc.    52 
 709   Stellar Bancorp, Inc.    15 
 3,405   Sterling Bancorp, Inc.(a)    20 
 2,745   Stock Yards Bancorp, Inc.    108 
 510   Texas Capital Bancshares, Inc.(a)    30 
 19,123   The Bancorp, Inc.(a)    659 
 2,444   The Bank of N.T. Butterfield & Son Ltd.    66 
 2,060   The First of Long Island Corp.    24 
 3,235   Towne Bank    74 
 1,745   TriCo Bancshares    56 
 240   Triumph Financial, Inc.(a)    16 
 5,375   Trustmark Corp.    117 
 2,275   United Bankshares, Inc.    63 
 3,391   United Community Banks, Inc.    86 
 2,879   Veritex Holdings, Inc.    52 
 4,326   WesBanco, Inc.    106 
 623   Western New England Bancorp, Inc.    4 
 963   Wintrust Financial Corp.    73 
 247   WSFS Financial Corp.    9 
         6,356 
           
     Beverages — 0.35%     
 440   Celsius Holdings, Inc.(a)    76 
 13,069   The Duckhorn Portfolio, Inc.(a)    133 
 341   The Vita Coco Co., Inc.(a)    9 
 11,584   Zevia PBC, Class - A(a)    26 
         244 
           
     Biotechnology — 6.36%     
 10,565   2seventy bio, Inc.(a)    41 
 15,105   4D Molecular Therapeutics, Inc.(a)    192 
 2,932   Actinium Pharmaceuticals, Inc.(a)    17 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Biotechnology (continued)     
 3,641   Acumen Pharmaceuticals, Inc.(a)   $15 
 12,852   Adicet Bio, Inc.(a)    18 
 564   AnaptysBio, Inc.(a)    10 
 1,323   Anavex Life Sciences Corp.(a)    9 
 11,704   Annexon, Inc.(a)    28 
 468   Apellis Pharmaceuticals, Inc.(a)    18 
 1,184   Apogee Therapeutics, Inc.(a)    25 
 450   Arcellx, Inc.(a)    16 
 850   Arcus Biosciences, Inc.(a)    15 
 1,118   Arrowhead Pharmaceuticals, Inc.(a)    30 
 5,353   Beam Therapeutics, Inc.(a)    129 
 11,191   BioAtla, Inc.(a)    19 
 14,518   BioCryst Pharmaceuticals, Inc.(a)    103 
 421   Biohaven Ltd.(a)    11 
 7,731   BioVie, Inc.^(a)    26 
 29,713   Bioxcel Therapeutics, Inc.(a)    75 
 5,683   Bluebird Bio, Inc.(a)    17 
 18,086   Bridgebio Pharma, Inc.(a)    476 
 3,012   Celldex Therapeutics, Inc.(a)    83 
 16,043   Cogent Biosciences, Inc.(a)    156 
 20,729   Cue Biopharma, Inc.(a)    48 
 467   Cytokinetics, Inc.(a)    14 
 1,291   Day One Biopharmaceuticals, Inc.(a)    16 
 43,963   Design Therapeutics, Inc.(a)    104 
 5,831   Dynavax Technologies Corp.(a)    86 
 10,449   Emergent BioSolutions, Inc.(a)    36 
 24,292   EQRx, Inc.(a)    54 
 9,723   Gritstone bio, Inc.(a)    17 
 4,978   Halozyme Therapeutics, Inc.(a)    190 
 653   Horizon Therapeutics PLC(a)    76 
 3,251   ImmunoGen, Inc.(a)    52 
 928   Intellia Therapeutics, Inc.(a)    29 
 14,080   Kezar Life Sciences, Inc.(a)    17 
 442   Kiniksa Pharmaceuticals Ltd., Class - A(a)    8 
 14,285   Kodiak Sciences, Inc.(a)    26 
 388   Krystal Biotech, Inc.(a)    45 
 4,749   Larimar Therapeutics, Inc.(a)    19 
 45,403   MacroGenics, Inc.(a)    212 
 2,208   Madrigal Pharmaceuticals, Inc.(a)    322 
 4,216   MannKind Corp.(a)    17 
 4,130   Myriad Genetics, Inc.(a)    66 
 432   Natera, Inc.(a)    19 
 30,739   Nkarta, Inc.(a)    43 
 612   Nuvalent, Inc., Class - A(a)    28 
 14,025   Ocean Biomedical, Inc.(a)    55 
 6,995   Olema Pharmaceuticals, Inc.(a)    86 
 2,087   PDL BioPharma, Inc.(a)    3 
 4,863   PDS Biotechnology Corp.(a)    25 
 13,757   Poseida Therapeutics, Inc.(a)    33 
 33,454   Protalix BioTherapeutics, Inc.^(a)    56 
 2,729   Prothena Corp. PLC(a)    132 
 322   RAPT Therapeutics, Inc.(a)    5 
 2,329   Recursion Pharmaceuticals, Inc., Class - A(a)    18 
 2,459   Rocket Pharmaceuticals, Inc.(a)    50 
 4,877   Sage Therapeutics, Inc.(a)    100 
 7,383   Summit Therapeutics, Inc.(a)    14 
 2,137   Syndax Pharmaceuticals, Inc.(a)    31 
 4,621   Twist Bioscience Corp.(a)    94 
 604   United Therapeutics Corp.(a)    136 
 3,598   Vaxcyte, Inc.(a)    183 
 1,839   Vericel Corp.(a)    62 
 16,422   Viking Therapeutics, Inc.(a)    182 
 6,070   Vir Biotechnology, Inc.(a)    57 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Biotechnology (continued)     
 1,004   XOMA Corp.(a)   $14 
 14,136   Y-mAbs Therapeutics, Inc.(a)    77 
         4,486 
           
     Broadline Retail — 0.74%     
 31,300   Big Lots, Inc.    160 
 331   Etsy, Inc.(a)    21 
 15,740   Groupon, Inc.^(a)    241 
 8,527   Macy's, Inc.    99 
         521 
           
     Building Products — 1.84%     
 1,948   Apogee Enterprises, Inc.    92 
 2,770   AZZ, Inc.    126 
 2,808   Builders FirstSource, Inc.(a)    349 
 354   CSW Industrials, Inc.    62 
 441   Gibraltar Industries, Inc.(a)    30 
 1,230   Griffon Corp.    49 
 443   Insteel Industries, Inc.    14 
 841   Masonite International Corp.(a)    78 
 3,356   Trex Co., Inc.(a)    207 
 2,155   UFP Industries, Inc.    221 
 2,342   Zurn Elkay Water Solutions Corp.    66 
         1,294 
           
     Capital Markets — 1.78%     
 1,338   Artisan Partners Asset Management, Inc., Class - A    50 
 646   B. Riley Financial, Inc.    26 
 13,347   BGC Group, Inc., Class - A    70 
 1,179   Brightsphere Investment Group, Inc.    23 
 979   Cohen & Steers, Inc.    61 
 1,749   Evercore, Inc.    241 
 3,056   Federated Hermes, Inc.    104 
 184   Hamilton Lane, Inc., Class - A    17 
 75   Houlihan Lokey, Inc.    8 
 671   LPL Financial Holdings, Inc.    159 
 128   Moelis & Co., Class - A    6 
 242   Piper Sandler Cos.    35 
 437   PJT Partners, Inc., Class - A    35 
 1,512   Stifel Financial Corp.    93 
 411   StoneX Group, Inc.(a)    40 
 2,045   Victory Capital Holdings, Inc., Class - A    68 
 751   Virtus Investment Partners, Inc.    152 
 9,720   WisdomTree, Inc.    68 
         1,256 
           
     Chemicals — 1.41%     
 828   Avient Corp.    29 
 695   Balchem Corp.    86 
 48   Cabot Corp.    3 
 1,324   Chase Corp.    168 
 3,052   FMC Corp.    205 
 158   Huntsman Corp.    4 
 1,018   Innospec, Inc.    104 
 8,091   Livent Corp.(a)    149 
 617   Minerals Technologies, Inc.    34 
 129   NewMarket Corp.    59 
 1,544   Orion SA    33 
 1,511   Sensient Technologies Corp.    88 
 2,355   Tronox Holdings PLC    32 
         994 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Commercial Services & Supplies — 1.14% 
 1,375   ABM Industries, Inc.   $55 
 2,183   Brady Corp., Class - A    120 
 1,307   Casella Waste Systems, Inc.(a)    100 
 5,910   CoreCivic, Inc.(a)    66 
 4,994   HNI Corp.    174 
 6,592   MillerKnoll, Inc.    161 
 919   OPENLANE, Inc.(a)    14 
 5,037   Quad/Graphics, Inc.(a)    25 
 142   SP Plus Corp.(a)    5 
 5,041   Steelcase, Inc., Class - A    56 
 1,472   The GEO Group, Inc.(a)    12 
 85   UniFirst Corp.    14 
 48   VSE Corp.    2 
         804 
           
     Communications Equipment — 0.21% 
 835   Calix, Inc.(a)    38 
 673   Clearfield, Inc.(a)    19 
 7,058   Comtech Telecommunications Corp.    62 
 5,452   KVH Industries, Inc.(a)    28 
         147 
           
     Construction & Engineering — 1.90% 
 4,051   AECOM    336 
 1,546   Ameresco, Inc., Class - A(a)    60 
 1,585   Dycom Industries, Inc.(a)    141 
 1,160   EMCOR Group, Inc.    244 
 2,153   Fluor Corp.(a)    79 
 3,323   Granite Construction, Inc.    126 
 2,960   MasTec, Inc.(a)    213 
 117   MYR Group, Inc.(a)    16 
 2,938   WillScot Mobile Mini Holdings Corp.(a)    122 
         1,337 
           
     Construction Materials — 0.61%     
 1,759   Eagle Materials, Inc.    293 
 4,373   Summit Materials, Inc., Class - A(a)    136 
         429 
           
     Consumer Finance — 0.22%     
 465   Bread Financial Holdings, Inc.    16 
 2,878   Consumer Portfolio Services, Inc.(a)    26 
 288   Encore Capital Group, Inc.(a)    14 
 2,149   Green Dot Corp., Class - A(a)    30 
 3,434   LendingClub Corp.(a)    21 
 875   Navient Corp.    15 
 351   Nelnet, Inc., Class - A    31 
         153 
           
     Consumer Staples Distribution & Retail — 0.88% 
 2,670   BJ's Wholesale Club Holdings, Inc.(a)    190 
 205   Casey's General Stores, Inc.    56 
 1,696   Ingles Markets, Inc., Class - A    128 
 828   Performance Food Group Co.(a)    49 
 202   PriceSmart, Inc.    15 
 1,063   SpartanNash Co.    23 
 1,208   The Andersons, Inc.    62 
 3,462   United Natural Foods, Inc.(a)    49 
 714   Weis Markets, Inc.    45 
         617 
           
     Containers & Packaging — 0.37%     
 693   AptarGroup, Inc.    86 
 2,133   Graphic Packaging Holding Co.    48 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Containers & Packaging (continued)     
 3,245   Myers Industries, Inc.   $58 
 2,746   TriMas Corp.    68 
         260 
           
     Diversified Consumer Services — 0.96% 
 3,247   Adtalem Global Education, Inc.(a)    139 
 4,561   Coursera, Inc.(a)    85 
 17,039   Perdoceo Education Corp.    291 
 2,069   Strategic Education, Inc.    156 
 782   Universal Technical Institute, Inc.(a)    7 
         678 
           
     Diversified REITs — 0.24%     
 2,565   Alexander & Baldwin, Inc.    43 
 4,784   American Assets Trust, Inc.    93 
 6,595   City Office REIT, Inc.    28 
 264   Essential Properties Realty Trust, Inc.    6 
         170 
           
     Diversified Telecommunication Services — 0.34% 
 3,094   IDT Corp., Class - B(a)    68 
 256   Iridium Communications, Inc.    12 
 19,781   Liberty Latin America Ltd., Class - C(a)    161 
         241 
           
     Electric Utilities — 0.62%     
 1,876   ALLETE, Inc.    99 
 3,048   Genie Energy Ltd., Class - B    45 
 3,096   MGE Energy, Inc.    212 
 528   Otter Tail Corp.    40 
 185   PNM Resources, Inc.    8 
 464   Portland General Electric Co.    19 
 2,034   Via Renewables, Inc.    15 
         438 
           
     Electrical Equipment — 1.32%     
 8,245   Array Technologies, Inc.(a)    183 
 1,099   Bloom Energy Corp., Class - A(a)    15 
 30,604   Dragonfly Energy Holdings Corp.(a)    47 
 2,360   EnerSys    223 
 7,897   Enovix Corp.(a)    99 
 395   NEXTracker, Inc., Class - A(a)    16 
 1,604   Plug Power, Inc.^(a)    12 
 522   Regal Rexnord Corp.    75 
 6,744   Shoals Technologies Group, Inc., Class - A(a)    123 
 3,233   Sunrun, Inc.(a)    41 
 29,485   TPI Composites, Inc.(a)    78 
 294   Vicor Corp.(a)    17 
         929 
           
     Electronic Equipment, Instruments & Components — 3.11%
 809   Advanced Energy Industries, Inc.    83 
 13,790   Akoustis Technologies, Inc.(a)    10 
 1,155   Arlo Technologies, Inc.(a)    12 
 521   Badger Meter, Inc.    75 
 544   Belden, Inc.    53 
 824   ePlus, Inc.(a)    52 
 2,761   Fabrinet(a)    461 
 13,681   Flex Ltd.(a)    369 
 1,005   Insight Enterprises, Inc.(a)    146 
 548   IPG Photonics Corp.    56 
 5,296   Iteris, Inc.(a)    22 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Electronic Equipment, Instruments & Components (continued)
 3,288   Jabil, Inc.   $417 
 414   Kimball Electronics, Inc.(a)    11 
 6,172   Knowles Corp.(a)    91 
 368   Littelfuse, Inc.    91 
 1,319   Methode Electronics, Inc.    30 
 2,099   Mirion Technologies, Inc.(a)    16 
 111   Novanta, Inc.(a)    16 
 2,062   PC Connection, Inc.    110 
 51   Plexus Corp.(a)    5 
 4,447   Richardson Electronics Ltd.    49 
 86   Sanmina Corp.(a)    5 
 34   TD SYNNEX Corp.    3 
 801   TTM Technologies, Inc.(a)    10 
         2,193 
           
     Energy Equipment & Services — 2.89% 
 1,120   AESI Holdings, Inc.    25 
 7,609   Archrock, Inc.    96 
 1,233   Bristow Group, Inc.(a)    35 
 460   Cactus, Inc., Class - A    23 
 4,798   ChampionX Corp.    171 
 13,231   Diamond Offshore Drilling, Inc.(a)    194 
 2,676   DMC Global, Inc.(a)    65 
 12,375   Expro Group Holdings N.V.(a)    287 
 3,134   Helmerich & Payne, Inc.    132 
 1,981   KLX Energy Services Holdings, Inc.^(a)    23 
 5,195   Liberty Energy, Inc.    96 
 1,228   Nabors Industries Ltd.(a)    151 
 449   Noble Corp. PLC    23 
 1,775   Oceaneering International, Inc.(a)    46 
 16,833   Patterson-UTI Energy, Inc.    233 
 2,633   ProPetro Holding Corp.(a)    28 
 2,487   Ranger Energy Services, Inc.    35 
 7,617   Solaris Oilfield Infrastructure, Inc., Class - A    81 
 4,093   Tidewater, Inc.(a)    292 
         2,036 
           
     Entertainment — 0.24%     
 2,567   Atlanta Braves Holdings, Inc.(a)    91 
 1,640   Atlanta Braves Holdings, Inc.(a)    64 
 682   Cinemark Holdings, Inc.(a)    13 
         168 
           
     Financial Services — 1.26%     
 23,967   AvidXchange Holdings, Inc.(a)    226 
 9,701   Cannae Holdings, Inc.(a)    181 
 2,141   EVERTEC, Inc.    80 
 47   Federal Agricultural Mortgage Corp., Class - C    7 
 27,335   Finance of America Cos., Inc., Class - A(a)    35 
 2,400   Flywire Corp.(a)    77 
 2,889   Marqeta, Inc., Class - A(a)    17 
 228   MGIC Investment Corp.    4 
 1,030   Mr Cooper Group, Inc.(a)    55 
 1,123   Paymentus Holdings, Inc., Class - A(a)    19 
 2,840   Payoneer Global, Inc.(a)    17 
 871   PennyMac Financial Services, Inc.    58 
 496   Remitly Global, Inc.(a)    13 
 928   Walker & Dunlop, Inc.    69 
 155   WEX, Inc.(a)    29 
         887 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Food Products — 1.19%     
 645   Alico, Inc.   $16 
 1,587   Darling Ingredients, Inc.(a)    83 
 1,059   Fresh Del Monte Produce, Inc.    27 
 365   Freshpet, Inc.(a)    24 
 682   J & J Snack Foods Corp.    112 
 2,078   John B. Sanfilippo & Son, Inc.    205 
 1,427   Mission Produce, Inc.(a)    14 
 5,504   Sovos Brands, Inc.(a)    124 
 1,116   The Simply Good Foods Co.(a)    39 
 1,580   Tootsie Roll Industries, Inc.    47 
 786   TreeHouse Foods, Inc.(a)    34 
 8,399   Utz Brands, Inc.    113 
         838 
           
     Gas Utilities — 0.62%     
 1,764   Chesapeake Utilities Corp.    172 
 329   New Jersey Resources Corp.    13 
 4,660   Northwest Natural Holding Co.    179 
 442   Spire, Inc.    25 
 2,134   UGI Corp.    49 
         438 
           
     Ground Transportation — 0.87%     
 168   ArcBest Corp.    17 
 119   Avis Budget Group, Inc.(a)    21 
 3,062   Heartland Express, Inc.    45 
 4,344   Knight-Swift Transportation Holdings, Inc.    218 
 412   P.A.M. Transportation Services, Inc.    9 
 752   Saia, Inc.(a)    300 
         610 
           
     Health Care Equipment & Supplies — 3.71% 
 334   AtriCure, Inc.(a)    15 
 1,077   Axonics, Inc.(a)    60 
 19,913   Beyond Air, Inc.^(a)    46 
 42   CONMED Corp.    4 
 18,392   Cutera, Inc.(a)    111 
 799   CVRx, Inc.(a)    12 
 698   Glaukos Corp.(a)    53 
 434   Haemonetics Corp.(a)    39 
 6,831   Inogen, Inc.(a)    36 
 883   Inspire Medical Systems, Inc.(a)    175 
 1,147   Insulet Corp.(a)    183 
 479   Integer Holdings Corp.(a)    38 
 933   iRhythm Technologies, Inc.(a)    88 
 511   Lantheus Holdings, Inc.(a)    36 
 1,261   LeMaitre Vascular, Inc.    69 
 158   LENSAR, Inc.(a)     
 4,151   Merit Medical Systems, Inc.(a)    287 
 4,046   Neogen Corp.(a)    75 
 1,347   Omnicell, Inc.(a)    61 
 49,211   OraSure Technologies, Inc.(a)    292 
 5,925   Paragon 28, Inc.(a)    74 
 1,123   PROCEPT BioRobotics Corp.(a)    37 
 138   Shockwave Medical, Inc.(a)    27 
 492   SI-BONE, Inc.(a)    10 
 1,272   STAAR Surgical Co.(a)    51 
 19,385   Tactile Systems Technology, Inc.(a)    272 
 1,621   Tandem Diabetes Care, Inc.(a)    34 
 1,072   The Cooper Cos., Inc.    342 
 391   TransMedics Group, Inc.(a)    21 
 7,594   Zimvie, Inc.(a)    71 
         2,619 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Health Care Providers & Services — 2.28% 
 3,094   Acadia Healthcare Co., Inc.(a)   $217 
 6,430   AdaptHealth Corp.(a)    59 
 1,676   Addus HomeCare Corp.(a)    143 
 9,348   Alignment Healthcare, Inc.(a)    65 
 590   AMN Healthcare Services, Inc.(a)    50 
 3,253   Apollo Medical Holdings, Inc.(a)    100 
 6,483   CareMax, Inc.(a)    14 
 13   Chemed Corp.    7 
 153   CorVel Corp.(a)    30 
 47   Encompass Health Corp.    3 
 23   Enhabit, Inc.(a)     
 3,805   Hims & Hers Health, Inc.(a)    24 
 14,120   LifeStance Health Group, Inc.(a)    97 
 1,122   NeoGenomics, Inc.(a)    14 
 18,701   OPKO Health, Inc.(a)    30 
 495   Option Care Health, Inc.(a)    16 
 4,974   Owens & Minor, Inc.(a)    80 
 3,683   Patterson Cos., Inc.    109 
 2,681   Quipt Home Medical Corp.(a)    14 
 2,950   RadNet, Inc.(a)    83 
 1,380   Select Medical Holdings Corp.    35 
 435   Surgery Partners, Inc.(a)    13 
 2,414   Tenet Healthcare Corp.(a)    159 
 195   The Ensign Group, Inc.    18 
 5,921   The Joint Corp.(a)    53 
 1,918   US Physical Therapy, Inc.    176 
         1,609 
           
     Health Care REITs — 0.53%     
 9,184   CareTrust REIT, Inc.    188 
 6,912   Global Medical REIT, Inc.    62 
 1,014   LTC Properties, Inc.    33 
 6,550   Sabra Health Care REIT, Inc.    91 
         374 
           
     Health Care Technology — 0.59%     
 1,328   Evolent Health, Inc., Class - A(a)    36 
 2,703   NextGen Healthcare, Inc.(a)    64 
 879   Phreesia, Inc.(a)    16 
 9,828   Schrodinger, Inc.(a)    278 
 1,791   Veradigm, Inc.(a)    24 
         418 
           
     Hotel & Resort REITs — 0.98%     
 4,816   Chatham Lodging Trust    46 
 9,262   DiamondRock Hospitality Co.    74 
 6,232   Hersha Hospitality Trust, Class - A    61 
 1,144   Pebblebrook Hotel Trust    16 
 14,385   RLJ Lodging Trust    141 
 1,766   Ryman Hospitality Properties, Inc.    147 
 7,641   Summit Hotel Properties, Inc.    44 
 13,659   Xenia Hotels & Resorts, Inc.    162 
         691 
           
     Hotels, Restaurants & Leisure — 2.30% 
 162   BJ's Restaurants, Inc.(a)    4 
 805   Bloomin' Brands, Inc.    20 
 5,300   Boyd Gaming Corp.    323 
 363   Caesars Entertainment, Inc.(a)    17 
 398   Chuy's Holdings, Inc.(a)    14 
 1,221   Dave & Buster's Entertainment, Inc.(a)    45 
 1,018   Dine Brands Global, Inc.    50 
 7,017   Fiesta Restaurant Group, Inc.(a)    59 
 2,169   First Watch Restaurant Group, Inc.(a)    38 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Hotels, Restaurants & Leisure (continued) 
 4,640   Full House Resorts, Inc.(a)   $20 
 428   Golden Entertainment, Inc.    15 
 1,218   Hilton Grand Vacations, Inc.(a)    50 
 181   Jack in the Box, Inc.    12 
 6,830   Krispy Kreme, Inc.    85 
 999   Light & Wonder, Inc.(a)    71 
 3,896   Lindblad Expeditions Holdings, Inc.(a)    28 
 15,636   Noodles & Co.(a)    38 
 731   Papa John's International, Inc.    50 
 3,005   Planet Fitness, Inc., Class - A(a)    148 
 3,075   PlayAGS, Inc.(a)    20 
 9,363   Red Robin Gourmet Burgers, Inc.(a)    75 
 3,161   Red Rock Resorts, Inc., Class - A    130 
 1,371   Sweetgreen, Inc., Class - A(a)    16 
 581   Texas Roadhouse, Inc.    56 
 145   Vail Resorts, Inc.    32 
 1,153   Wingstop, Inc.    207 
         1,623 
           
     Household Durables — 1.59%     
 1,563   Century Communities, Inc.    104 
 4,095   Dream Finders Homes, Inc., Class - A(a)    91 
 4,688   Green Brick Partners, Inc.(a)    195 
 891   Hamilton Beach Brands Holding Co., Class - A    11 
 163   Helen of Troy Ltd.(a)    19 
 370   Installed Building Products, Inc.    46 
 748   LGI Homes, Inc.(a)    74 
 2,390   M/I Homes, Inc.(a)    202 
 937   MDC Holdings, Inc.    39 
 1,111   Meritage Homes Corp.    136 
 147   Skyline Champion Corp.(a)    9 
 584   The Lovesac Co.(a)    12 
 428   TopBuild Corp.(a)    108 
 2,166   Tri Pointe Homes, Inc.(a)    59 
 1,813   VOXX International Corp.(a)    14 
         1,119 
           
     Household Products — 0.28%     
 1,992   Central Garden & Pet Co.(a)    88 
 1,246   Central Garden & Pet Co., Class - A(a)    50 
 1,019   Oil-Dri Corp. of America    63 
         201 
           
     Independent Power and Renewable Electricity Producers — 0.27% 
 1,499   Clearway Energy, Inc., Class - C    32 
 7,956   Montauk Renewables, Inc.(a)    72 
 8,447   Sunnova Energy International, Inc.(a)    89 
         193 
           
     Industrial REITs — 0.61%     
 1,133   EastGroup Properties, Inc.    189 
 1,744   Innovative Industrial Properties, Inc.    132 
 1,990   LXP Industrial Trust    18 
 2,707   STAG Industrial, Inc.    93 
         432 
           
     Insurance — 2.17%     
 689   Ambac Financial Group, Inc.(a)    8 
 2,133   American Equity Investment Life Holding Co.    114 
 3,379   CNO Financial Group, Inc.    80 
 658   Enstar Group Ltd.(a)    159 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Insurance (continued)     
 35   Everest Group Ltd.   $13 
 3,462   Goosehead Insurance, Inc., Class - A(a)    258 
 3,539   Horace Mann Educators Corp.    104 
 655   Kinsale Capital Group, Inc.    272 
 8,901   Maiden Holdings Ltd.(a)    16 
 357   Palomar Holdings, Inc.(a)    18 
 3,554   Root, Inc., Class - A(a)    34 
 372   Selective Insurance Group, Inc.    38 
 3,408   Stewart Information Services Corp.    149 
 4,197   W.R. Berkley Corp.    267 
         1,530 
           
     Interactive Media & Services — 0.67% 
 8,635   DHI Group, Inc.(a)    26 
 4,134   Grindr, Inc.(a)    24 
 2,757   Outbrain, Inc.(a)    13 
 2,211   Shutterstock, Inc.    84 
 18,443   TrueCar, Inc.(a)    38 
 6,760   Yelp, Inc.(a)    282 
 53   Ziff Davis, Inc.(a)    3 
         470 
           
     IT Services — 0.09%     
 12,999   Brightcove, Inc.(a)    42 
 915   Fastly, Inc., Class - A(a)    18 
 135   The Hackett Group, Inc.    3 
         63 
           
     Leisure Products — 0.37%     
 324   American Outdoor Brands, Inc.(a)    3 
 77   Johnson Outdoors, Inc., Class - A    4 
 356   MasterCraft Boat Holdings, Inc.(a)    8 
 4,682   Mattel, Inc.(a)    103 
 1,298   Smith & Wesson Brands, Inc.    17 
 925   Topgolf Callaway Brands Corp.(a)    13 
 1,299   Vista Outdoor, Inc.(a)    43 
 1,461   YETI Holdings, Inc.(a)    70 
         261 
           
     Life Sciences Tools & Services — 0.76% 
 75   Azenta, Inc.(a)    4 
 325   BioLife Solutions, Inc.(a)    4 
 102   Bruker Corp.    6 
 9,145   Codexis, Inc.(a)    17 
 599   Medpace Holdings, Inc.(a)    145 
 11,539   NanoString Technologies, Inc.(a)    20 
 29,118   Pacific Biosciences of California, Inc.(a)    244 
 493   Repligen Corp.(a)    78 
 7,970   Seer, Inc.(a)    18 
         536 
           
     Machinery — 3.28%     
 68   Albany International Corp.    6 
 1,637   Astec Industries, Inc.    77 
 1,248   Chart Industries, Inc.(a)    212 
 1,644   Columbus McKinnon Corp.    57 
 1,328   ESCO Technologies, Inc.    139 
 1,773   Federal Signal Corp.    106 
 141   Franklin Electric Co., Inc.    13 
 2,085   Greenbrier Cos., Inc.    83 
 1,862   Helios Technologies, Inc.    103 
 3,968   Hillenbrand, Inc.    168 
 332   IDEX Corp.    69 
 1,076   ITT, Inc.    105 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Machinery (continued)     
 819   John Bean Technologies Corp.   $86 
 217   Kadant, Inc.    49 
 939   Kornit Digital Ltd.(a)    18 
 771   Lincoln Electric Holdings, Inc.    140 
 118   Mueller Industries, Inc.    9 
 16,478   Mueller Water Products, Inc., Class - A    209 
 47   Oshkosh Corp.    4 
 1,730   Proto Labs, Inc.(a)    46 
 21   RBC Bearings, Inc.(a)    5 
 1,356   SPX Technologies, Inc.(a)    110 
 948   Standex International Corp.    138 
 2,819   Tennant Co.    209 
 2,067   Terex Corp.    119 
 1,198   Trinity Industries, Inc.    29 
         2,309 
           
     Marine Transportation — 0.76%     
 16,292   Costamare, Inc.    157 
 12,844   Golden Ocean Group Ltd.    101 
 2,101   Kirby Corp.(a)    174 
 1,166   Matson, Inc.    103 
         535 
           
     Media — 1.20%     
 9,684   Advantage Solutions, Inc.(a)    28 
 23,868   Cardlytics, Inc.(a)    393 
 15,050   Integral Ad Science Holding Corp.(a)    179 
 710   John Wiley & Sons, Inc., Class - A    26 
 13,858   Magnite, Inc.(a)    104 
 1,827   Scholastic Corp.    70 
 2,249   TEGNA, Inc.    33 
 1,572   Townsquare Media, Inc., Class - A    14 
         847 
           
     Metals & Mining — 2.09%     
 1,382   Alcoa Corp.    40 
 17,566   ATI, Inc.(a)    724 
 1,962   Carpenter Technology Corp.    132 
 7,216   Dakota Gold Corp.(a)    19 
 759   Haynes International, Inc.    35 
 9,750   Hecla Mining Co.    38 
 1,022   Ivanhoe Electric, Inc.(a)    12 
 191   Materion Corp.    19 
 25,514   Novagold Resources, Inc.(a)    98 
 12,760   PolyMet Mining Corp.(a)    27 
 2,916   Ryerson Holding Corp.    85 
 5,772   TimkenSteel Corp.(a)    125 
 137   Warrior Met Coal, Inc.    7 
 1,868   Worthington Industries, Inc.    115 
         1,476 
           
     Mortgage Real Estate Investment Trusts  — 1.71% 
 11,254   Apollo Commercial Real Estate Finance, Inc.    114 
 17,446   Arbor Realty Trust, Inc.^    264 
 4,822   Arlington Asset Investment Corp., Class - A(a)    21 
 7,810   BrightSpire Capital, Inc.    49 
 15,923   Chimera Investment Corp.    87 
 15,126   Claros Mortgage Trust, Inc.    168 
 1,873   Hannon Armstrong Sustainable Infrastructure Capital, Inc.    40 
 8,799   Ladder Capital Corp.    90 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Mortgage Real Estate Investment Trusts (continued) 
 1,597   MFA Financial, Inc.   $15 
 14,159   PennyMac Mortgage Investment Trust    176 
 18,302   Ready Capital Corp.    185 
         1,209 
           
     Multi-Utilities — 0.16%     
 2,305   Avista Corp.    75 
 891   Unitil Corp.    38 
         113 
           
     Office REITs — 0.18%     
 2,446   COPT Defense Properties    58 
 10,063   Hudson Pacific Properties, Inc.    67 
         125 
           
     Oil, Gas & Consumable Fuels — 5.65% 
 3,497   Antero Resources Corp.(a)    89 
 1,094   Arch Resources, Inc.    187 
 21,728   Baytex Energy Corp.    96 
 8,761   Berry Corp.    72 
 2,300   California Resources Corp.    129 
 3,626   Callon Petroleum Co.(a)    142 
 87   Chord Energy Corp.    14 
 543   Civitas Resources, Inc.    44 
 3,414   Clean Energy Fuels Corp.(a)    13 
 8,222   CNX Resources Corp.(a)    186 
 9,016   Comstock Resources, Inc.    99 
 2,431   CONSOL Energy, Inc.    254 
 3,996   Crescent Energy Co., Class A    51 
 5,132   Delek US Holdings, Inc.    146 
 2,880   DHT Holdings, Inc.    30 
 8,623   Earthstone Energy, Inc., Class - A(a)    175 
 6,443   Encore Energy Corp.(a)    21 
 24,166   Energy Fuels, Inc.(a)    199 
 2,568   Evolution Petroleum Corp.    18 
 908   FLEX LNG Ltd.    27 
 2,312   Golar LNG Ltd.    56 
 1,636   Green Plains, Inc.(a)    49 
 2,159   Gulfport Energy Corp.(a)    255 
 1,421   HighPeak Energy, Inc.^    24 
 635   International Seaways, Inc.    29 
 4,980   Kinetik Holdings, Inc.    168 
 20,751   Kosmos Energy Ltd.(a)    170 
 268   Matador Resources Co.    16 
 306   Murphy Oil Corp.    14 
 21,248   Navigator Holdings Ltd.    313 
 2,578   Nordic American Tankers Ltd.    11 
 3,747   Ovintiv, Inc.    178 
 592   Par Pacific Holdings, Inc.(a)    21 
 1,094   Peabody Energy Corp.    28 
 2,500   Permian Resources Corp.    35 
 2,186   Range Resources Corp.    71 
 156   REX American Resources Corp.(a)    6 
 588   Scorpio Tankers, Inc.    32 
 9,204   SFL Corp. Ltd.    103 
 2,200   Sitio Royalties Corp., Class - A    53 
 419   SM Energy Co.    17 
 30,524   Southwestern Energy Co.(a)    197 
 1,128   Talos Energy, Inc.(a)    19 
 450   Vital Energy, Inc.(a)    25 
 4,426   World Kinect Corp.    99 
         3,981 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Paper & Forest Products — 0.10%     
 19,405   Glatfelter Corp.(a)   $39 
 716   Sylvamo Corp.    31 
         70 
           
     Passenger Airlines — 0.26%     
 24,579   Controladora Vuela Cia de Aviacion SAB de CV, ADR(a)    167 
 817   Spirit Airlines, Inc.    13 
         180 
           
     Personal Care Products — 0.73%     
 3,023   e.l.f. Beauty, Inc.(a)    331 
 2,135   Herbalife Ltd.(a)    30 
 853   Inter Parfums, Inc.    115 
 198   Medifast, Inc.    15 
 406   USANA Health Sciences, Inc.(a)    24 
         515 
           
     Pharmaceuticals — 1.53%     
 5,164   Amphastar Pharmaceuticals, Inc.(a)    236 
 5,509   Amylyx Pharmaceuticals, Inc.(a)    101 
 166   ANI Pharmaceuticals, Inc.(a)    10 
 15,827   Athira Pharma, Inc.(a)    32 
 11,197   Cara Therapeutics, Inc.(a)    19 
 376   Corcept Therapeutics, Inc.(a)    10 
 2,328   Harmony Biosciences Holdings, Inc.(a)    76 
 1,228   Harrow Health, Inc.(a)    18 
 1,949   Innoviva, Inc.(a)    25 
 711   Intra-Cellular Therapies, Inc.(a)    37 
 990   Ligand Pharmaceuticals, Inc.(a)    59 
 16,911   Nuvation Bio, Inc.(a)    23 
 5,295   Pacira BioSciences, Inc.(a)    162 
 1,062   Phibro Animal Health Corp., Class - A    14 
 3,964   Pliant Therapeutics, Inc.(a)    69 
 1,583   Prestige Consumer Healthcare, Inc.(a)    91 
 1,709   Supernus Pharmaceuticals, Inc.(a)    47 
 3,582   Verrica Pharmaceuticals, Inc.(a)    14 
 6,581   Zevra Therapeutics, Inc.(a)    32 
         1,075 
           
     Professional Services — 2.13%     
 917   ASGN, Inc.(a)    75 
 3,150   Asure Software, Inc.(a)    30 
 62   Booz Allen Hamilton Holding Corp.    7 
 20   CACI International, Inc., Class - A(a)    6 
 1,815   CBIZ, Inc.(a)    94 
 34   Concentrix Corp.    3 
 19,677   Conduent, Inc.(a)    68 
 1,882   CSG Systems International, Inc.    96 
 2,570   ExlService Holdings, Inc.(a)    72 
 217   Huron Consulting Group, Inc.(a)    23 
 373   ICF International, Inc.    45 
 254   Jack Henry & Associates, Inc.    38 
 5,909   KBR, Inc.    348 
 594   Kelly Services, Inc., Class - A    11 
 1,348   Kforce, Inc.    80 
 1,998   Korn Ferry    95 
 1,668   Legalzoom.com, Inc.(a)    18 
 979   Maximus, Inc.    73 
 12,570   Mistras Group, Inc.(a)    69 
 1,018   Science Applications International Corp.    107 
 3,115   TTEC Holdings, Inc.    82 
 1,649   Upwork, Inc.(a)    19 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Professional Services (continued)     
 2,286   Verra Mobility Corp.(a)   $43 
         1,502 
           
     Real Estate Management & Development — 0.76% 
 683   BBX Capital, Inc.(a)    5 
 19,492   Compass, Inc., Class - A(a)    57 
 4,937   Cushman & Wakefield PLC(a)    38 
 2,814   DigitalBridge Group, Inc.    49 
 17,768   Douglas Elliman, Inc.    40 
 14,871   eXp World Holdings, Inc.    241 
 821   Marcus & Millichap, Inc.    24 
 6,938   Newmark Group, Inc., Class - A    45 
 1,525   The RMR Group, Inc., Class - A    37 
         536 
           
     Residential REITs — 0.41%     
 468   Centerspace    28 
 12,354   Clipper Realty, Inc.    64 
 7,683   Elme Communities    104 
 2,757   Independence Realty Trust, Inc.    39 
 3,365   Veris Residential, Inc.    56 
         291 
           
     Retail REITs — 2.24%     
 12,453   Acadia Realty Trust    179 
 664   CBL & Associates Properties, Inc.    14 
 6,338   Getty Realty Corp.    176 
 7,936   InvenTrust Properties Corp.    189 
 3,897   Kite Realty Group Trust    83 
 10,604   NETSTREIT Corp.    165 
 14,942   Retail Opportunity Investments Corp.    185 
 384   Saul Centers, Inc.    14 
 6,561   SITE Centers Corp.    81 
 11,883   Tanger Factory Outlet Centers, Inc.    269 
 7,560   The Macerich Co.    82 
 9,261   Urban Edge Properties    141 
         1,578 
           
     Semiconductors & Semiconductor Equipment — 3.20% 
 485   Alpha & Omega Semiconductor Ltd.(a)    14 
 3,622   Amkor Technology, Inc.    82 
 2,361   Atomera, Inc.^(a)    15 
 3,010   AXT, Inc.(a)    7 
 55   Cirrus Logic, Inc.(a)    4 
 1,496   Credo Technology Group Holding Ltd.(a)    23 
 169   Diodes, Inc.(a)    13 
 3,557   FormFactor, Inc.(a)    124 
 188   Impinj, Inc.(a)    10 
 684   Lattice Semiconductor Corp.(a)    59 
 9,557   MACOM Technology Solutions Holdings, Inc.(a)    781 
 2,797   MaxLinear, Inc.(a)    62 
 624   MKS Instruments, Inc.    54 
 631   Onto Innovation, Inc.(a)    80 
 2,203   Power Integrations, Inc.    168 
 2,745   Qorvo, Inc.(a)    263 
 2,076   Semtech Corp.(a)    53 
 1,083   Silicon Laboratories, Inc.(a)    126 
 799   Synaptics, Inc.(a)    71 
 1,179   Universal Display Corp.    185 
 2,283   Veeco Instruments, Inc.(a)    64 
         2,258 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
    Software — 5.36%
 5,814   A10 Networks, Inc.   $87 
 1,294   Agilysys, Inc.(a)    86 
 649   Alarm.com Holdings, Inc.(a)    40 
 1,591   Alkami Technology, Inc.(a)    29 
 829   Altair Engineering, Inc., Class - A(a)    52 
 9,583   Amplitude, Inc., Class - A(a)    111 
 289   Appfolio, Inc., Class - A(a)    53 
 4,688   Appian Corp., Class - A(a)    214 
 6,689   AvePoint, Inc.(a)    45 
 101   BlackLine, Inc.(a)    6 
 1,089   Box, Inc., Class - A(a)    26 
 574   CommVault Systems, Inc.(a)    39 
 356   Couchbase, Inc.(a)    6 
 313   Digimarc Corp.(a)    10 
 34   Dolby Laboratories, Inc., Class - A    3 
 19,931   E2open Parent Holdings, Inc.(a)    90 
 3,738   EverCommerce, Inc.(a)    37 
 846   Guidewire Software, Inc.(a)    76 
 3,676   InterDigital, Inc.    294 
 5,003   Jamf Holding Corp.(a)    88 
 1,284   LiveRamp Holdings, Inc.(a)    37 
 2,965   MeridianLink, Inc.(a)    51 
 722   MicroStrategy, Inc.(a)    237 
 6,215   Model N, Inc.(a)    152 
 16,199   N-able, Inc.(a)    209 
 55,831   NextNav, Inc.(a)    286 
 647   PowerSchool Holdings, Inc.(a)    15 
 674   Progress Software Corp.    35 
 5,413   PROS Holdings, Inc.(a)    187 
 868   PTC, Inc.(a)    123 
 680   Qualys, Inc.(a)    104 
 11,757   Riot Platforms, Inc.(a)    110 
 3,998   Sapiens International Corp. N.V.    114 
 311   Sprout Social, Inc., Class - A(a)    16 
 831   SPS Commerce, Inc.(a)    142 
 781   Tenable Holdings, Inc.(a)    35 
 979   Verint Systems, Inc.(a)    23 
 11,841   Veritone, Inc.(a)    31 
 18,867   Weave Communications, Inc.(a)    154 
 1,438   Workiva, Inc.(a)    146 
 21,286   Zeta Global Holdings Corp., Class - A(a)    178 
         3,777 
           
     Specialized REITs — 0.24%     
 681   Farmland Partners, Inc.    7 
 2,615   Four Corners Property Trust, Inc.    58 
 1,574   National Storage Affiliates Trust    50 
 1,185   PotlatchDeltic Corp.    54 
         169 
           
     Specialty Retail — 2.44%     
 1,447   American Eagle Outfitters, Inc.    24 
 520   Asbury Automotive Group, Inc.(a)    120 
 3,328   Boot Barn Holdings, Inc.(a)    270 
 790   Camping World Holdings, Inc., Class - A    16 
 1,779   Floor & Decor Holdings, Inc., Class - A(a)    161 
 1,806   Genesco, Inc.(a)    56 
 72   Group 1 Automotive, Inc.    19 
 16,672   GrowGeneration Corp., Class - C(a)    49 
 1,362   Guess?, Inc.    29 
 607   Lands' End, Inc.(a)    5 
 334   Lithia Motors, Inc.    99 
 324   Murphy USA, Inc.    111 
 53   Penske Automotive Group, Inc.    9 

 

 

HC CAPITAL TRUST

The Small Capitalization-Mid Capitalization Equity Portfolio

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Specialty Retail (continued)     
 231   Restoration Hardware Co.(a)   $61 
 2,610   RumbleON, Inc., Class - B(a)    16 
 708   Shoe Carnival, Inc.    17 
 158   Signet Jewelers Ltd.    11 
 845   Sonic Automotive, Inc., Class - A    40 
 16,684   Sportsman's Warehouse Holdings, Inc.(a)    75 
 468   The Aaron's Co., Inc.    5 
 5,179   The Buckle, Inc.    173 
 4,209   The Cato Corp., Class - A    32 
 1,633   The ODP Corp.(a)    75 
 10,683   Tile Shop Holdings, Inc.(a)    59 
 5,911   Upbound Group, Inc.    174 
 1,101   Warby Parker, Inc., Class - A(a)    14 
         1,720 
           
     Technology Hardware, Storage & Peripherals — 0.54% 
 1,912   Avid Technology, Inc.(a)    51 
 12,109   Intevac, Inc.(a)    38 
 613   Super Micro Computer, Inc.(a)    168 
 13,554   Turtle Beach Corp.(a)    123 
         380 
           
     Textiles, Apparel & Luxury Goods — 0.70% 
 47   Columbia Sportswear Co.    3 
 1,065   Crocs, Inc.(a)    94 
 47,323   Fossil Group, Inc.(a)    97 
 792   G-III Apparel Group Ltd.(a)    20 
 2,897   Kontoor Brands, Inc.    127 
 1,475   Oxford Industries, Inc.    143 
 412   Steven Madden Ltd.    13 
         497 
           
     Tobacco — 0.21%     
 2,449   Universal Corp.    116 
 2,760   Vector Group Ltd.    29 
         145 
           
     Trading Companies & Distributors — 1.98% 
 63   Applied Industrial Technologies, Inc.    10 
 5,077   Beacon Roofing Supply, Inc.(a)    391 
 563   Boise Cascade Co.    58 
 10,001   Custom Truck One Source, Inc.(a)    62 
 200   DXP Enterprises, Inc.(a)    7 
 192   GMS, Inc.(a)    12 
 1,021   Herc Holdings, Inc.    121 
 749   McGrath RentCorp    75 
 22,107   MRC Global, Inc.(a)    227 
 2,039   NOW, Inc.(a)    24 
 2,367   Rush Enterprises, Inc., Class - A    97 
 548   SiteOne Landscape Supply, Inc.(a)    90 
 3,875   Textainer Group Holdings Ltd.    144 
 295   Veritiv Corp.    50 
 166   WESCO International, Inc.    24 
         1,392 
           
     Water Utilities — 0.72%     
 161   American States Water Co.    13 
 1,709   Cadiz, Inc.(a)    6 
 1,134   California Water Service Group    54 
 602   Global Water Resources, Inc.    6 
 2,588   Middlesex Water Co.    171 
 3,252   SJW Group    194 

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Water Utilities (continued)     
 1,752   The York Water Co.   $66 
         510 
           
     Wireless Telecommunication Services — 0.33% 
 4,510   Gogo, Inc.(a)    54 
 2,631   Shenandoah Telecommunications Co.    54 
 6,927   Telephone and Data Systems, Inc.    127 
         235 
           
     Total Common Stocks    69,935 
           
     Contingent Rights — 0.09%     
     Biotechnology — 0.00%     
 1   Tobira Therapeutics, Inc. CVR, 12/31/18(a)(b)     
           
     Health Care Equipment & Supplies — 0.00% 
 56   ABIOMED, Inc. CVR, 01/02/26(a)     
           
     Health Care Providers & Services — 0.00% 
 5,589   Xeris BioPharma Hold CVR, 10/06/49(a)    1 
           
     Metals & Mining — 0.09%     
 108,208   Pan American Silver Corp. CVR, 12/31/49(a)    58 
           
     Pharmaceuticals — 0.00%     
 15,971   Paratek Pharmaceuticals, Inc. CVR, 01/01/26(a)    1 
           
     Total Contingent Rights    60 
           
     Investment Companies — 1.47%     
 602,047   Federated Hermes Treasury Obligations Fund, Institutional Shares, 4.99%^^(c)    602 
 437,328   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(c)    437 
           
     Total Investment Companies    1,039 
           
     Total Investments (cost $41,692) — 100.76%    71,034 
     Liabilities in excess of other assets — (0.76)%    (533)
           
     Net Assets - 100.00%  $70,501 
           
Amounts designated as "—" are $0 or have been rounded to $0. 

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Represents non-income producing security.
(b) Security was valued using significant unobservable inputs as of September 30, 2023.
(c) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt
REIT—Real Estate Investment Trust
 

As of June 30, 2023, 100% of the Portfolio’s net assets were managed by Parametric Portfolio Associates, LLC.

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 99.39%
    Australia — 1.98%
 693   Ampol Ltd. (Oil, Gas & Consumable Fuels)   $15 
 8,826   ANZ Group Holdings Ltd. (Banks)    145 
 2,941   APA Group (Gas Utilities)    16 
 1,807   Aristocrat Leisure Ltd. (Hotels, Restaurants & Leisure)    47 
 485   ASX Ltd. (Capital Markets)    18 
 4,501   Aurizon Holdings Ltd. (Ground Transportation)    10 
 14,834   BHP Group Ltd. (Metals & Mining)    416 
 1,230   BlueScope Steel Ltd. (Metals & Mining)    15 
 4,202   Brambles Ltd. (Commercial Services & Supplies)    39 
 201   Cochlear Ltd. (Health Care Equipment & Supplies)    33 
 4,121   Coles Group Ltd. (Consumer Staples Distribution & Retail)    41 
 4,931   Commonwealth Bank of Australia (Banks)    314 
 1,781   Computershare Ltd. (Professional Services)    30 
 1,412   CSL Ltd. (Biotechnology)    227 
 2,615   Dexus (Diversified REITs)    12 
 504   EBOS Group Ltd. (Health Care Providers & Services)    10 
 4,675   Endeavour Group Ltd. (Consumer Staples Distribution & Retail)    16 
 5,009   Fortescue Metals Group Ltd. (Metals & Mining)    67 
 5,131   Goodman Group (Industrial REITs)    70 
 478   IDP Education Ltd. (Diversified Consumer Services)    7 
 2,118   IGO Ltd. (Metals & Mining)    17 
 7,323   Insurance Australia Group Ltd. (Insurance)    27 
 1,593   Lendlease Corp. Ltd. (Real Estate Management & Development)(b)    7 
 1,092   Macquarie Group Ltd. (Capital Markets)    117 
 7,667   Medibank Pvt. Ltd. (Insurance)    17 
 567   Mineral Resources Ltd. (Metals & Mining)    24 
 9,646   Mirvac Group (Diversified REITs)    13 
 9,220   National Australia Bank Ltd. (Banks)    171 
 2,685   Newcrest Mining Ltd. (Metals & Mining)    42 
 3,549   Northern Star Resources Ltd. (Metals & Mining)    24 
 1,407   Orica Ltd. (Chemicals)    14 
 5,227   Origin Energy Ltd. (Electric Utilities)    29 
 7,966   Pilbara Minerals Ltd. (Metals & Mining)    22 
 2,446   Qantas Airways Ltd. (Passenger Airlines)(a)    8 
 4,431   QBE Insurance Group Ltd. (Insurance)    44 
 582   Ramsay Health Care Ltd. (Health Care Providers & Services)    19 
 172   REA Group Ltd. (Interactive Media & Services)    17 
 687   Reece Ltd. (Trading Companies & Distributors)    8 
 1,061   Rio Tinto Ltd. (Metals & Mining)    77 
 9,869   Santos Ltd. (Oil, Gas & Consumable Fuels)(b)    50 
 19,287   Scentre Group (Retail REITs)    30 
 923   SEEK Ltd. (Interactive Media & Services)    13 
 1,187   Sonic Healthcare Ltd. (Health Care Providers & Services)    23 
 14,614   South32 Ltd. (Metals & Mining)    32 
 7,299   Stockland (Diversified REITs)    18 
 3,312   Suncorp Group Ltd. (Insurance)   30 
 13,370   Telstra Group Ltd. (Diversified Telecommunication Services)    33 
 5,218   The GPT Group (Diversified REITs)    13 
 7,602   The Lottery Corp. Ltd. (Hotels, Restaurants & Leisure)    23 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Australia (continued)     
 9,510   Transurban Group (Transportation Infrastructure)   $77 
 2,004   Treasury Wine Estates Ltd. (Beverages)    16 
 8,881   Vicinity Ltd. (Diversified REITs)(b)    10 
 760   Washington H Soul Pattinson & Co. Ltd. (Oil, Gas & Consumable Fuels)    16 
 3,447   Wesfarmers Ltd. (Broadline Retail)    117 
 10,302   Westpac Banking Corp. (Banks)    139 
 500   WiseTech Global Ltd. (Software)    21 
 5,565   Woodside Energy Group Ltd. (Oil, Gas & Consumable Fuels)    129 
 3,627   Woolworths Group Ltd. (Consumer Staples Distribution & Retail)    87 
         3,122 
           
     Austria — 0.05%     
 1,031   Erste Group Bank AG (Banks)(b)    35 
 383   OMV AG (Oil, Gas & Consumable Fuels)    18 
 241   Verbund AG (Electric Utilities)    20 
 246   voestalpine AG (Metals & Mining)    7 
         80 
           
     Belgium — 0.21%     
 444   Ageas SA/N.V. (Insurance)    18 
 2,573   Anheuser-Busch InBev SA/N.V. (Beverages)    143 
 58   D’ieteren Group (Distributors)    10 
 67   Elia Group SA/N.V. (Electric Utilities)(b)    7 
 366   Groupe Bruxelles Lambert N.V. (Financial Services)    27 
 752   KBC Group N.V. (Banks)    47 
 31   Sofina SA (Financial Services)    6 
 183   Solvay SA, Class – A (Chemicals)    20 
 384   UCB SA (Pharmaceuticals)    31 
 491   Umicore SA (Chemicals)(b)    12 
 360   Warehouses De Pauw CVA (Industrial REITs)    9 
         330 
           
     Bermuda — 0.08%     
 1,078   Arch Capital Group Ltd. (Insurance)(a)    86 
 126   Everest Group Ltd. (Insurance)    47 
         133 
           
     Canada — 3.35%     
 1,481   Agnico Eagle Mines Ltd. (Metals & Mining)    67 
 400   Air Canada (Passenger Airlines)(a)(b)    6 
 1,765   Algonquin Power & Utilities Corp. (Multi-Utilities)    10 
 2,361   Alimentation Couche-Tard, Inc. (Consumer Staples Distribution & Retail)    120 
 800   AltaGas Ltd. (Gas Utilities)    15 
 1,804   ARC Resources Ltd. (Oil, Gas & Consumable Fuels)    29 
 2,070   Bank of Montreal (Banks)    175 
 5,246   Barrick Gold Corp. (Metals & Mining)    76 
 200   BCE, Inc. (Diversified Telecommunication Services)    8 
 1,043   Brookfield Asset Management Ltd., Class – A (Capital Markets)    35 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Canada (continued)     
 4,169   Brookfield Corp. (Capital Markets)   $130 
 92   BRP, Inc. (Leisure Products)    7 
 1,136   CAE, Inc. (Aerospace & Defense)(a)    27 
 1,280   Cameco Corp. (Oil, Gas & Consumable Fuels)    51 
 200   Canadian Apartment Properties REIT (Residential REITs)(b)    7 
 2,659   Canadian Imperial Bank of Commerce (Banks)    103 
 1,660   Canadian National Railway Co. (Ground Transportation)    180 
 3,258   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)    211 
 2,726   Canadian Pacific Kansas City Ltd. (Ground Transportation)    203 
 143   Canadian Tire Corp. Ltd., Class – A (Broadline Retail)    15 
 300   Canadian Utilities Ltd., Class – A (Multi-Utilities)    6 
 471   CCL Industries, Inc., Class – B (Containers & Packaging)(b)    20 
 4,230   Cenovus Energy, Inc. (Oil, Gas & Consumable Fuels)    88 
 624   CGI, Inc. (IT Services)(a)    62 
 60   Constellation Software, Inc. (Software)    124 
 844   Dollarama, Inc. (Broadline Retail)    58 
 1,216   Element Fleet Management Corp. (Financial Services)(b)    17 
 868   Emera, Inc. (Electric Utilities)    30 
 400   Empire Co. Ltd., Class – A (Consumer Staples Distribution & Retail)    11 
 6,188   Enbridge, Inc. (Oil, Gas & Consumable Fuels)    205 
 1,756   First Quantum Minerals Ltd. (Metals & Mining)    41 
 100   FirstService Corp. (Real Estate Management & Development)    15 
 1,451   Fortis, Inc. (Electric Utilities)    55 
 562   Franco-Nevada Corp. (Metals & Mining)    75 
 195   George Weston Ltd. (Consumer Staples Distribution & Retail)    22 
 500   Gildan Activewear, Inc. (Textiles, Apparel & Luxury Goods)    14 
 817   Great-West Lifeco, Inc. (Insurance)    23 
 1,006   Hydro One Ltd. (Electric Utilities)(b)    26 
 300   iA Financial Corp., Inc. (Insurance)    19 
 200   IGM Financial, Inc. (Capital Markets)    5 
 622   Imperial Oil Ltd. (Oil, Gas & Consumable Fuels)    38 
 501   Intact Financial Corp. (Insurance)(b)    73 
 1,879   Ivanhoe Mines Ltd. (Metals & Mining)(a)    16 
 600   Keyera Corp. (Oil, Gas & Consumable Fuels)    14 
 4,230   Kinross Gold Corp. (Metals & Mining)    19 
 474   Loblaw Cos. Ltd. (Consumer Staples Distribution & Retail)    40 
 339   Lululemon Athletica, Inc. (Textiles, Apparel & Luxury Goods)(a)    131 
 2,272   Lundin Mining Corp. (Metals & Mining)(b)    17 
 821   Magna International, Inc. (Automobile Components)    44 
 5,479   Manulife Financial Corp. (Insurance)    100 
 713   Metro, Inc. (Consumer Staples Distribution & Retail)    37 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Canada (continued)     
 972   National Bank of Canada (Banks)   $65 
 858   Northland Power, Inc. (Independent Power and Renewable Electricity Producers)    14 
 1,476   Nutrien Ltd. (Chemicals)    91 
 150   Nuvei Corp. (Financial Services)(b)    2 
 200   Onex Corp. (Financial Services)    12 
 700   Open Text Corp. (Software)(b)    25 
 990   Pan American Silver Corp. (Metals & Mining)    14 
 400   Parkland Corp. (Oil, Gas & Consumable Fuels)(b)    12 
 1,854   Pembina Pipeline Corp. (Oil, Gas & Consumable Fuels)    56 
 1,727   Power Corp. of Canada (Insurance)    44 
 500   Quebecor, Inc., Class – B (Media)    11 
 547   RB Global, Inc. (Commercial Services & Supplies)    34 
 877   Restaurant Brands International, Inc. (Hotels, Restaurants & Leisure)    58 
 300   RioCan Real Estate Investment Trust (Diversified REITs)(b)    4 
 1,078   Rogers Communications, Inc., Class - B (Wireless Telecommunication Services)    41 
 4,104   Royal Bank of Canada (Banks)    358 
 691   Saputo, Inc. (Food Products)(b)    14 
 3,509   Shopify, Inc., Class – A (IT Services)(a)    192 
 339   Stantec, Inc. (Construction & Engineering)    22 
 1,726   Sun Life Financial, Inc. (Insurance)    84 
 3,924   Suncor Energy, Inc. (Oil, Gas & Consumable Fuels)    135 
 3,016   TC Energy Corp. (Oil, Gas & Consumable Fuels)    104 
 1,352   Teck Resources Ltd., Class – B (Metals & Mining)    58 
 1,570   TELUS Corp. (Diversified Telecommunication Services)    26 
 250   TFI International, Inc. (Ground Transportation)    32 
 3,488   The Bank of Nova Scotia (Banks)    156 
 271   The Descartes Systems Group, Inc. (Software)(a)    20 
 5,430   The Toronto-Dominion Bank (Banks)    326 
 459   Thomson Reuters Corp. (Professional Services)    56 
 836   TMX Group Ltd. (Capital Markets)    18 
 200   Toromont Industries Ltd. (Trading Companies & Distributors)    16 
 945   Tourmaline Oil Corp. (Oil, Gas & Consumable Fuels)    48 
 749   Waste Connections, Inc. (Commercial Services & Supplies)    101 
 136   West Fraser Timber Co. Ltd. (Paper & Forest Products)    10 
 1,343   Wheaton Precious Metals Corp. (Metals & Mining)    55 
 367   WSP Global, Inc. (Construction & Engineering)    52 
         5,286 
           
     Cayman Islands — 0.01%     
 7,600   Sands China Ltd. (Hotels, Restaurants & Leisure)(a)    23 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
    Chile — 0.01%
 1,322   Antofagasta PLC (Metals & Mining)   $23 
           
     Denmark — 0.90%     
 8   A.P. Moller – Maersk A/S, Class – A (Marine Transportation)    14 
 16   A.P. Moller – Maersk A/S, Class – B (Marine Transportation)    29 
 296   Carlsberg A/S, Class – B (Beverages)    37 
 263   Chr Hansen Holding A/S (Chemicals)(b)    16 
 364   Coloplast A/S, Class – B (Health Care Equipment & Supplies)    39 
 2,041   Danske Bank A/S (Banks)    47 
 292   Demant A/S (Health Care Equipment & Supplies)(a)    12 
 551   DSV A/S (Air Freight & Logistics)    104 
 193   Genmab A/S (Biotechnology)(a)(b)    68 
 9,685   Novo Nordisk A/S, Class – B (Pharmaceuticals)    883 
 658   Novozymes A/S, B shares (Chemicals)    26 
 568   Orsted A/S (Electric Utilities)(b)    31 
 245   Pandora A/S (Textiles, Apparel & Luxury Goods)    25 
 18   ROCKWOOL A/S, Class – B (Building Products)    4 
 1,216   Tryg A/S (Insurance)(b)    22 
 2,997   Vestas Wind Systems A/S (Electrical Equipment)(a)    64 
         1,421 
           
     Finland — 0.31%     
 360   Elisa Oyj (Diversified Telecommunication Services)    17 
 1,491   Fortum Oyj (Electric Utilities)    17 
 684   Kesko Oyj, Class – B (Consumer Staples Distribution & Retail)    12 
 1,007   Kone Oyj, Class – B (Machinery)    42 
 2,057   Metso Oyj (Machinery)(b)    22 
 1,268   Neste Oyj (Oil, Gas & Consumable Fuels)    43 
 16,330   Nokia Oyj (Communications Equipment)    61 
 9,631   Nordea Bank Abp (Banks)    105 
 243   Orion Oyj, Class – B (Pharmaceuticals)    10 
 1,387   Sampo Oyj, A Shares (Insurance)    60 
 2,063   Stora Enso Oyj, Registered Shares (Paper & Forest Products)    26 
 1,655   UPM-Kymmene Oyj (Paper & Forest Products)    57 
 1,231   Wartsila Oyj Abp (Machinery)    14 
         486 
           
     France — 3.19%     
 434   Accor SA (Hotels, Restaurants & Leisure)    15 
 91   Aeroports de Paris (Transportation Infrastructure)    11 
 1,541   Air Liquide SA (Chemicals)    260 
 1,742   Airbus SE (Aerospace & Defense)    233 
 834   Alstom SA (Machinery)    20 
 152   Amundi SA (Capital Markets)(b)    9 
 151   Arkema SA (Chemicals)    15 
 5,434   AXA SA (Insurance)    161 
 104   BioMerieux (Health Care Equipment & Supplies)    10 
 3,078   BNP Paribas SA (Banks)    196 
 566   Bouygues SA (Construction & Engineering)    20 
 910   Bureau Veritas SA (Professional Services)(b)    23 
 494   Capgemini SE (IT Services)    86 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     France (continued)     
 1,803   Carrefour SA (Consumer Staples Distribution & Retail)(b)   $31 
 1,382   Cie de Saint-Gobain (Building Products)    83 
 2,057   Cie Generale des Etablissements Michelin SCA (Automobile Components)    63 
 124   Covivio SA (Diversified REITs)    5 
 3,673   Credit Agricole SA (Banks)    45 
 1,918   Danone SA (Food Products)    106 
 1,989   Dassault Systemes SE (Software)    74 
 755   Edenred (Financial Services)    47 
 195   Eiffage SA (Construction & Engineering)(b)    19 
 5,423   Engie SA (Multi-Utilities)    83 
 856   EssilorLuxottica SA (Health Care Equipment & Supplies)    149 
 78   Eurazeo SE (Financial Services)    5 
 116   Gecina SA (Office REITs)(b)    12 
 828   Getlink SE (Transportation Infrastructure)    13 
 95   Hermes International SCA (Textiles, Apparel & Luxury Goods)    173 
 127   Ipsen SA (Pharmaceuticals)    17 
 225   Kering SA (Textiles, Apparel & Luxury Goods)    102 
 568   Klepierre SA (Retail REITs)    14 
 256   La Francaise des Jeux SAEM (Hotels, Restaurants & Leisure)    8 
 787   Legrand SA (Electrical Equipment)    72 
 704   L’Oreal SA (Personal Care Products)    292 
 814   LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)    613 
 5,633   Orange SA (Diversified Telecommunication Services)(b)    65 
 603   Pernod Ricard SA (Beverages)    100 
 689   Publicis Groupe SA (Media)    52 
 49   Remy Cointreau SA (Beverages)    6 
 593   Renault SA (Automobile Components)    24 
 1,017   Safran SA (Aerospace & Defense)    159 
 3,374   Sanofi (Pharmaceuticals)    362 
 88   Sartorius Stedim Biotech (Life Sciences Tools & Services)    21 
 1,606   Schneider Electric SE (Electrical Equipment)(b)    265 
 55   SEB SA (Household Durables)    5 
 2,177   Societe Generale SA (Banks)    53 
 270   Sodexo SA (Hotels, Restaurants & Leisure)    28 
 197   Teleperformance (Professional Services)    25 
 316   Thales SA (Aerospace & Defense)    44 
 6,625   TotalEnergies SE (Oil, Gas & Consumable Fuels)    435 
 305   Unibail-Rodamco-Westfield (Retail REITs)(a)    15 
 595   Valeo (Automobile Components)    10 
 2,067   Veolia Environnement SA (Multi-Utilities)    60 
 1,568   Vinci SA (Construction & Engineering)    173 
 2,649   Vivendi SE (Media)    23 
 71   Wendel SE (Financial Services)    6 
 762   Worldline SA (Financial Services)(a)(b)    21 
         5,037 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
    Germany — 2.22%
 482   adidas AG (Textiles, Apparel & Luxury Goods)   $85 
 1,185   Allianz SE, Registered Shares (Insurance)    282 
 2,663   BASF SE (Chemicals)    121 
 2,887   Bayer AG, Registered Shares (Pharmaceuticals)    139 
 936   Bayerische Motoren Werke AG (Automobile Components)    95 
 121   Bayerische Motoren Werke AG, Preference Shares (Automobiles)    11 
 275   Bechtle AG (IT Services)    13 
 306   Beiersdorf AG (Personal Care Products)    39 
 478   Brenntag SE (Trading Companies & Distributors)    37 
 99   Carl Zeiss Meditec AG, Class – BR (Health Care Equipment & Supplies)    9 
 3,162   Commerzbank AG (Banks)    36 
 363   Continental AG (Automobile Components)    26 
 585   Covestro AG (Chemicals)(a)    31 
 1,467   Daimler Truck Holding AG (Machinery)    51 
 541   Delivery Hero SE (Hotels, Restaurants & Leisure)(a)(b)    15 
 5,823   Deutsche Bank AG, Registered Shares (Capital Markets)    64 
 559   Deutsche Boerse AG (Capital Markets)    97 
 2,156   Deutsche Lufthansa AG, Registered Shares (Passenger Airlines)(a)(b)    17 
 9,509   Deutsche Telekom AG (Diversified Telecommunication Services)(b)    199 
 2,987   DHL Group (Air Freight & Logistics)    121 
 340   Dr. Ing. H.c. F. Porsche AG, Preference Shares (Automobiles)(b)    32 
 6,704   E.ON SE (Multi-Utilities)    79 
 515   Evonik Industries AG (Chemicals)    9 
 614   Fresenius Medical Care AG & Co. KgaA (Health Care Providers & Services)    26 
 1,272   Fresenius SE & Co. KgaA (Health Care Providers & Services)    40 
 419   GEA Group AG (Machinery)    15 
 179   Hannover Rueck SE (Insurance)    39 
 438   Heidelberg Materials AG (Construction Materials)    34 
 459   HelloFresh SE (Consumer Staples Distribution & Retail)(a)    14 
 263   Henkel AG & Co. KgaA (Household Products)    17 
 564   Henkel AG & Co. KgaA, Preference Shares (Household Products)    40 
 3,852   Infineon Technologies AG (Semiconductors & Semiconductor Equipment)(b)    128 
 186   Knorr-Bremse AG (Machinery)    12 
 193   LEG Immobilien SE (Real Estate Management & Development)(a)    13 
 2,364   Mercedes-Benz Group AG (Automobile Components)    165 
 384   Merck KgaA (Pharmaceuticals)    64 
 166   MTU Aero Engines AG (Aerospace & Defense)    30 
 408   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares (Insurance)    159 
 126   Nemetschek SE (Software)    8 
 330   Puma SE (Textiles, Apparel & Luxury Goods)(b)    20 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Germany (continued)     
 20   Rational AG (Machinery)   $13 
 129   Rheinmetall AG (Aerospace & Defense)    33 
 1,905   RWE AG (Independent Power and Renewable Electricity Producers)    71 
 3,061   SAP SE (Software)    395 
 80   Sartorius AG, Preference Shares (Life Sciences Tools & Services)    27 
 221   Scout24 SE (Interactive Media & Services)(b)    15 
 2,230   Siemens AG, Registered Shares (Industrial Conglomerates)    318 
 1,573   Siemens Energy AG (Electrical Equipment)(a)(b)    20 
 848   Siemens Healthineers AG (Health Care Equipment & Supplies)    43 
 408   Symrise AG (Chemicals)(b)    39 
 195   Talanx AG (Insurance)    12 
 3,385   Telefonica Deutschland Holding AG (Diversified Telecommunication Services)    6 
 2,200   Vonovia SE (Real Estate Management & Development)    53 
 48   Wacker Chemie AG (Chemicals)    7 
 708   Zalando SE (Specialty Retail)(a)(b)    16 
         3,500 
           
     Hong Kong — 0.66%     
 34,200   AIA Group Ltd. (Insurance)    276 
 11,500   BOC Hong Kong Holdings Ltd. (Banks)    31 
 4,200   Budweiser Brewing Co. APAC Ltd. (Beverages)(b)    8 
 6,500   CK Asset Holdings Ltd. (Real Estate Management & Development)    34 
 8,500   CK Hutchison Holdings Ltd. (Industrial Conglomerates)    45 
 1,500   CK Infrastructure Holdings Ltd. (Electric Utilities)    7 
 5,000   CLP Holdings Ltd. (Electric Utilities)    37 
 4,200   ESR Group Ltd. (Real Estate Management & Development)    6 
 128   Futu Holdings Ltd., ADR (Capital Markets)(a)    7 
 7,000   Galaxy Entertainment Group Ltd. (Hotels, Restaurants & Leisure)    42 
 5,000   Hang Lung Properties Ltd. (Real Estate Management & Development)    7 
 2,000   Hang Seng Bank Ltd. (Banks)    25 
 4,000   Henderson Land Development Co. Ltd. (Real Estate Management & Development)    11 
 11,000   HKT Trust & HKT Ltd. (Diversified Telecommunication Services)(b)    11 
 35,665   Hong Kong & China Gas Co. Ltd. (Gas Utilities)    25 
 3,549   Hong Kong Exchanges & Clearing Ltd. (Capital Markets)    131 
 3,800   Hongkong Land Holdings Ltd. (Real Estate Management & Development)    14 
 8,111   Link REIT (Retail REITs)    40 
 4,000   MTR Corp. Ltd. (Ground Transportation)    16 
 4,000   New World Development Co. Ltd. (Real Estate Management & Development)    8 
 3,500   Power Assets Holdings Ltd. (Electric Utilities)    17 
 8,158   Prudential PLC (Insurance)    88 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Hong Kong (continued)     
 8,518   Sino Land Co. Ltd. (Real Estate Management & Development)   $10 
 4,500   Sun Hung Kai Properties Ltd. (Real Estate Management & Development)    48 
 1,000   Swire Pacific Ltd., Class – A (Real Estate Management & Development)    7 
 3,000   Swire Properties Ltd. (Real Estate Management & Development)    6 
 4,000   Techtronic Industries Co. Ltd. (Machinery)    39 
 31,450   WH Group Ltd. (Food Products)(b)    16 
 6,000   Wharf Real Estate Investment Co. Ltd. (Real Estate Management & Development)    23 
         1,035 
           
     Ireland (Republic of) — 1.05%     
 1,867   Accenture PLC, Class – A (IT Services)    574 
 193   AerCap Holdings N.V. (Trading Companies & Distributors)(a)    12 
 322   AerCap Holdings N.V. (Trading Companies & Distributors)(a)    20 
 4,074   AIB Group PLC (Banks)    18 
 234   Allegion PLC (Building Products)    24 
 805   Aptiv PLC (Automobile Components)(a)    79 
 3,225   Bank of Ireland Group PLC (Banks)    32 
 2,168   CRH PLC (Construction Materials)    120 
 276   DCC PLC (Industrial Conglomerates)(b)    15 
 2,704   Experian PLC (Professional Services)    88 
 520   Flutter Entertainment PLC (Hotels, Restaurants & Leisure)(a)    85 
 1,311   James Hardie Industries PLC (Construction Materials)(a)    34 
 487   Kerry Group PLC, Class – A (Food Products)(b)    41 
 465   Kingspan Group PLC (Building Products)    35 
 3,948   Medtronic PLC (Health Care Equipment & Supplies)    309 
 840   Smurfit Kappa Group PLC (Containers & Packaging)(b)    28 
 669   Trane Technologies PLC (Building Products)    136 
         1,650 
           
     Israel — 0.20%     
 101   Azrieli Group Ltd. (Real Estate Management & Development)    5 
 3,649   Bank Hapoalim BM (Banks)    33 
 4,740   Bank Leumi Le-Israel BM (Banks)    39 
 288   Check Point Software Technologies Ltd. (Software)(a)    38 
 125   CyberArk Software Ltd. (Software)(a)    20 
 84   Elbit Systems Ltd. (Aerospace & Defense)    17 
 2,505   ICL Group Ltd. (Chemicals)    14 
 1   Isracard Ltd. (Consumer Finance)     
 4,694   Israel Discount Bank Ltd., Class – A (Banks)    25 
 444   Mizrahi Tefahot Bank Ltd. (Banks)    16 
 66   Monday.com Ltd. (Software)(a)    11 
 181   Nice Ltd. (Software)(a)    31 
 174   SolarEdge Technologies, Inc. (Semiconductors & Semiconductor Equipment)(a)    23 
 3,391   Teva Pharmaceutical Industries Ltd., ADR (Pharmaceuticals)(a)    35 
 136   Wix.com Ltd. (IT Services)(a)    12 
         319 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
    Italy — 0.59%
 466   Amplifon SpA (Health Care Providers & Services)   $14 
 2,886   Assicurazioni Generali SpA (Insurance)    59 
 1,427   Davide Campari-Milano N.V., Class – M (Beverages)    17 
           
 54   DiaSorin SpA (Health Care Equipment & Supplies)    5 
 23,895   Enel SpA (Electric Utilities)(b)    146 
 6,796   Eni SpA (Oil, Gas & Consumable Fuels)    109 
 366   Ferrari N.V. (Automobiles)    108 
 1,831   FinecoBank Banca Fineco SpA (Banks)    22 
 1,050   Infrastrutture Wireless Italiane SpA (Diversified Telecommunication Services)(b)    12 
 47,333   Intesa Sanpaolo SpA (Banks)(b)    121 
 1,412   Mediobanca Banca di Credito Finanziario SpA (Banks)    19 
 614   Moncler SpA (Textiles, Apparel & Luxury Goods)    36 
 2,061   Nexi SpA (Professional Services)(a)    13 
 1,363   Poste Italiane SpA (Insurance)    14 
 880   Prysmian SpA (Electrical Equipment)    35 
 257   Recordati Industria Chimica e Farmaceutica SpA (Pharmaceuticals)    12 
 5,318   Snam SpA (Gas Utilities)    25 
 25,056   Telecom Italia SpA/Milano (Diversified Telecommunication Services)(a)    8 
 4,220   Terna – Rete Elettrica Nazionale (Electric Utilities)    32 
 5,373   UniCredit SpA (Banks)    128 
         935 
           
     Japan — 6.23%     
 2,400   Advantest Corp. (Semiconductors & Semiconductor Equipment)(b)    67 
 2,100   Aeon Co. Ltd. (Consumer Staples Distribution & Retail)    42 
 500   AGC, Inc. (Building Products)    18 
 400   Aisin Corp. (Automobile Components)    15 
 1,400   Ajinomoto Co., Inc. (Food Products)    54 
 300   ANA Holdings, Inc. (Passenger Airlines)(a)(b)    6 
 1,500   Asahi Group Holdings Ltd. (Beverages)(b)    56 
 500   Asahi Intecc Co. Ltd. (Health Care Equipment & Supplies)    9 
 3,200   Asahi Kasei Corp. (Chemicals)    20 
 5,500   Astellas Pharma, Inc. (Pharmaceuticals)    76 
 300   Azbil Corp. (Electronic Equipment, Instruments & Components)    9 
 500   BayCurrent Consulting, Inc. (Professional Services)    17 
 1,700   Bridgestone Corp. (Automobile Components)    66 
 800   Brother Industries Ltd. (Technology Hardware, Storage & Peripherals)    13 
 3,000   Canon, Inc. (Technology Hardware, Storage & Peripherals)    72 
 600   Capcom Co. Ltd. (Entertainment)    22 
 2,000   Central Japan Railway Co. (Ground Transportation)    49 
 1,600   Chubu Electric Power Co., Inc. (Electric Utilities)    20 
 2,000   Chugai Pharmaceutical Co. Ltd. (Pharmaceuticals)    62 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 2,800   Concordia Financial Group Ltd. (Banks)  $13 
 1,100   CyberAgent, Inc. (Media)   6 
 600   Dai Nippon Printing Co. Ltd. (Commercial Services & Supplies)   16 
 1,000   Daifuku Co. Ltd. (Machinery)   19 
 2,800   Dai-ichi Life Holdings, Inc. (Insurance)   58 
 5,400   Daiichi Sankyo Co. Ltd. (Pharmaceuticals)   148 
           
 800   Daikin Industries Ltd. (Building Products)   125 
 200   Daito Trust Construction Co. Ltd. (Real Estate Management & Development)   21 
 2,000   Daiwa House Industry Co. Ltd. (Real Estate Management & Development)   54 
 5   Daiwa House REIT Investment Corp. (Diversified REITs)   9 
 3,800   Daiwa Securities Group, Inc. (Capital Markets)   22 
 5,200   Denso Corp. (Automobile Components)   83 
 500   Dentsu Group, Inc. (Media)   15 
 300   Disco Corp. (Semiconductors & Semiconductor Equipment)   55 
 1,000   East Japan Railway Co. (Ground Transportation)   57 
 800   Eisai Co. Ltd. (Pharmaceuticals)   44 
 7,800   ENEOS Holdings, Inc. (Oil, Gas & Consumable Fuels)   31 
 2,900   FANUC Corp. (Machinery)   75 
 500   Fast Retailing Co. Ltd. (Specialty Retail)   109 
 300   Fuji Electric Co. Ltd. (Electrical Equipment)   14 
 1,100   FUJIFILM Holdings Corp. (Technology Hardware, Storage & Peripherals)   64 
 500   Fujitsu Ltd. (IT Services)(b)   59 
 15   GLP J-Reit (Industrial REITs)(b)   13 
 100   GMO Payment Gateway, Inc. (Financial Services)   5 
 600   Hakuhodo DY Holdings, Inc. (Media)   5 
 500   Hamamatsu Photonics KK (Electronic Equipment, Instruments & Components)   21 
 600   Hankyu Hanshin Holdings, Inc. (Ground Transportation)   20 
 100   Hikari Tsushin, Inc. (Specialty Retail)   15 
 100   Hirose Electric Co. Ltd. (Electronic Equipment, Instruments & Components)   12 
 300   Hitachi Construction Machinery Co. Ltd. (Machinery)   9 
 2,800   Hitachi Ltd. (Industrial Conglomerates)   174 
 13,800   Honda Motor Co. Ltd. (Automobile Components)   155 
 400   Hoshizaki Corp. (Machinery)   14 
 1,100   Hoya Corp. (Health Care Equipment & Supplies)   113 
 800   Hulic Co. Ltd. (Real Estate Management & Development)(b)   7 
 300   Ibiden Co. Ltd. (Electronic Equipment, Instruments & Components)   16 
 500   Idemitsu Kosan Co. Ltd. (Oil, Gas & Consumable Fuels)(b)   11 
 400   Iida Group Holdings Co. Ltd. (Household Durables)   7 
 3,000   Inpex Corp. (Oil, Gas & Consumable Fuels)   45 
 1,500   Isuzu Motors Ltd. (Automobile Components)   19 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 3,500   ITOCHU Corp. (Trading Companies & Distributors)  $126 
 400   Japan Airlines Co. Ltd. (Passenger Airlines)(b)   8 
 1,300   Japan Exchange Group, Inc. (Capital Markets)   24 
 18   Japan Metropolitan Fund Invest (Retail REITs)   12 
 4,400   Japan Post Bank Co. Ltd. (Banks)(b)   38 
           
 6,600   Japan Post Holdings Co. Ltd. (Insurance)(b)   53 
 500   Japan Post Insurance Co. Ltd. (Insurance)(b)   8 
 3   Japan Real Estate Investment Corp. (Office REITs)   12 
 1,600   JFE Holdings, Inc. (Metals & Mining)(b)   23 
 500   JSR Corp. (Chemicals)   13 
 1,100   Kajima Corp. (Construction & Engineering)   18 
 1,400   Kao Corp. (Personal Care Products)   52 
 500   Kawasaki Kisen Kaisha Ltd. (Marine Transportation)   17 
 4,500   KDDI Corp. (Wireless Telecommunication Services)   138 
 300   Keio Corp. (Ground Transportation)   10 
 300   Keisei Electric Railway Co. Ltd. (Ground Transportation)   10 
 600   Keyence Corp. (Electronic Equipment, Instruments & Components)   222 
 400   Kikkoman Corp. (Food Products)   21 
 700   Kintetsu Group Holdings Co. Ltd. (Ground Transportation)   20 
 2,800   Kirin Holdings Co. Ltd. (Beverages)   39 
 100   Kobayashi Pharmaceutical Co. Ltd. (Personal Care Products)   4 
 300   Kobe Bussan Co. Ltd. (Consumer Staples Distribution & Retail)   7 
 300   Koei Tecmo Holdings Co. Ltd. (Entertainment)   4 
 500   Koito Manufacturing Co. Ltd. (Automobile Components)   8 
 2,800   Komatsu Ltd. (Machinery)   76 
 300   Konami Group Corp. (Entertainment)   16 
 100   Kose Corp. (Personal Care Products)   7 
 3,200   Kubota Corp. (Machinery)   47 
 400   Kurita Water Industries Ltd. (Machinery)   14 
 1,000   Kyocera Corp. (Electronic Equipment, Instruments & Components)   51 
 700   Kyowa Kirin Co. Ltd. (Pharmaceuticals)   12 
 700   Lixil Corp. (Building Products)   8 
 700   Makita Corp. (Machinery)   17 
 4,500   Marubeni Corp. (Trading Companies & Distributors)   70 
 900   MatsukiyoCocokara & Co. (Consumer Staples Distribution & Retail)   16 
 1,500   Mazda Motor Corp. (Automobile Components)   17 
 200   McDonald’s Holdings Co. Japan Ltd. (Hotels, Restaurants & Leisure)   8 
 600   MEIJI Holdings Co. Ltd. (Food Products)   15 
 900   MINEBEA MITSUMI, Inc. (Machinery)   15 
 700   MISUMI Group, Inc. (Machinery)   11 
 3,200   Mitsubishi Chemical Group Corp. (Chemicals)   20 
 3,300   Mitsubishi Corp. (Trading Companies & Distributors)   157 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 5,700   Mitsubishi Electric Corp. (Electrical Equipment)  $70 
 3,200   Mitsubishi Estate Co. Ltd. (Real Estate Management & Development)   42 
 3,200   Mitsubishi HC Capital, Inc. (Financial Services)   21 
 1,000   Mitsubishi Heavy Industries Ltd. (Machinery)   56 
 33,400   Mitsubishi UFJ Financial Group, Inc. (Banks)   284 
 3,900   Mitsui & Co. Ltd. (Trading Companies & Distributors)   141 
 400   Mitsui Chemicals, Inc. (Chemicals)   10 
 2,800   Mitsui Fudosan Co. Ltd. (Real Estate Management & Development)   62 
 900   Mitsui O.S.K. Lines Ltd. (Marine Transportation)   25 
 7,140   Mizuho Financial Group, Inc. (Banks)   121 
 600   MonotaRO Co. Ltd. (Trading Companies & Distributors)   6 
 1,300   MS&AD Insurance Group Holdings, Inc. (Insurance)   48 
 5,100   Murata Manufacturing Co. Ltd. (Electronic Equipment, Instruments & Components)   93 
 700   NEC Corp. (IT Services)   39 
 1,200   Nexon Co. Ltd. (Entertainment)   21 
 600   NGK Insulators Ltd. (Machinery)   8 
 1,300   NIDEC Corp. (Electrical Equipment)   60 
 3,100   Nintendo Co. Ltd. (Entertainment)   129 
 4   Nippon Building Fund, Inc. (Diversified REITs)   16 
 200   NIPPON EXPRESS HOLDINGS, INC. (Air Freight & Logistics)   10 
 3,000   Nippon Paint Holdings Co. Ltd. (Chemicals)(b)   20 
 5   Nippon Prologis REIT, Inc. (Industrial REITs)(b)   9 
 600   Nippon Sanso Holdings Corp. (Chemicals)   14 
 2,500   Nippon Steel Corp. (Metals & Mining)(b)   59 
 89,600   Nippon Telegraph & Telephone Corp. (Diversified Telecommunication Services)   106 
 1,500   Nippon Yusen KK (Marine Transportation)   39 
 300   Nissan Chemical Corp. (Chemicals)   13 
 7,400   Nissan Motor Co. Ltd. (Automobile Components)   33 
 200   Nissin Foods Holdings Co. Ltd. (Food Products)(b)   17 
 300   Nitori Holdings Co. Ltd. (Specialty Retail)   33 
 500   Nitto Denko Corp. (Chemicals)   33 
 8,500   Nomura Holdings, Inc. (Capital Markets)   34 
 400   Nomura Real Estate Holdings, Inc. (Real Estate Management & Development)   10 
 11   Nomura Real Estate Master Fund, Inc. (Diversified REITs)   12 
 1,200   Nomura Research Institute Ltd. (IT Services)   31 
 1,600   NTT Data Group Corp. (IT Services)   21 
 1,500   Obayashi Corp. (Construction & Engineering)   13 
 200   Obic Co. Ltd. (IT Services)   30 
 1,200   Odakyu Electric Railway Co. Ltd. (Ground Transportation)   18 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 2,400   Oji Holdings Corp. (Paper & Forest Products)  $10 
 3,700   Olympus Corp. (Health Care Equipment & Supplies)   48 
 500   Omron Corp. (Electronic Equipment, Instruments & Components)   22 
 1,300   Ono Pharmaceutical Co. Ltd. (Pharmaceuticals)   25 
 200   Open House Group Co. Ltd. (Household Durables)(b)   7 
 100   Oracle Corp. Japan (Software)   7 
 3,200   Oriental Land Co. Ltd. (Hotels, Restaurants & Leisure)   105 
 3,600   ORIX Corp. (Financial Services)   67 
 1,000   Osaka Gas Co. Ltd. (Gas Utilities)   16 
 300   Otsuka Corp. (IT Services)   13 
 1,200   Otsuka Holdings Co. Ltd. (Pharmaceuticals)   43 
 1,000   Pan Pacific International Holdings Corp. (Broadline Retail)   21 
 6,600   Panasonic Holdings Corp. (Household Durables)   75 
 5,000   Persol Holdings Co. Ltd. (Professional Services)(b)   8 
 5,500   Rakuten Group, Inc. (Broadline Retail)(b)   23 
 4,300   Recruit Holdings Co. Ltd. (Professional Services)   132 
 3,800   Renesas Electronics Corp. (Semiconductors & Semiconductor Equipment)(a)(b)   58 
 6,500   Resona Holdings, Inc. (Banks)   36 
 1,600   Ricoh Co. Ltd. (Technology Hardware, Storage & Peripherals)   14 
 1,200   Rohm Co. Ltd. (Semiconductors & Semiconductor Equipment)   23 
 600   SBI Holdings, Inc. (Capital Markets)   13 
 300   SCSK Corp. (IT Services)   5 
 700   Secom Co. Ltd. (Commercial Services & Supplies)   47 
 600   Seiko Epson Corp. (Technology Hardware, Storage & Peripherals)   9 
 1,000   Sekisui Chemical Co. Ltd. (Household Durables)   14 
 2,000   Sekisui House Ltd. (Household Durables)   40 
 2,300   Seven & i Holdings Co. Ltd. (Consumer Staples Distribution & Retail)   90 
 800   SG Holdings Co. Ltd. (Air Freight & Logistics)   10 
 500   Sharp Corp. (Household Durables)(b)   3 
 800   Shimadzu Corp. (Electronic Equipment, Instruments & Components)   21 
 200   Shimano, Inc. (Leisure Products)   27 
 1,400   Shimizu Corp. (Construction & Engineering)   10 
 5,400   Shin-Etsu Chemical Co. Ltd. (Chemicals)   157 
 900   Shionogi & Co. Ltd. (Pharmaceuticals)   40 
 1,200   Shiseido Co. Ltd. (Personal Care Products)   42 
 1,000   Shizuoka Financial Group, Inc. (Banks)   8 
 200   SMC Corp. (Machinery)   90 
 8,600   SoftBank Corp. (Wireless Telecommunication Services)   97 
 3,000   SoftBank Group Corp. (Wireless Telecommunication Services)   126 
 800   Sompo Holdings, Inc. (Insurance)   34 
 3,700   Sony Group Corp. (Household Durables)   304 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 200   Square Enix Holdings Co. Ltd. (Entertainment)  $7 
 2,000   Subaru Corp. (Automobile Components)   39 
 800   SUMCO Corp. (Semiconductors & Semiconductor Equipment)(b)   10 
 3,600   Sumitomo Chemical Co. Ltd. (Chemicals)   10 
 2,900   Sumitomo Corp. (Trading Companies & Distributors)   58 
 1,900   Sumitomo Electric Industries Ltd. (Automobile Components)   23 
 600   Sumitomo Metal Mining Co. Ltd. (Metals & Mining)   18 
 3,800   Sumitomo Mitsui Financial Group, Inc. (Banks)   187 
 1,000   Sumitomo Mitsui Trust Holdings, Inc. (Banks)   38 
 700   Sumitomo Realty & Development Co. Ltd. (Real Estate Management & Development)   18 
 300   Suntory Beverage & Food Ltd. (Beverages)   9 
 1,200   Suzuki Motor Corp. (Automobile Components)   48 
 500   Sysmex Corp. (Health Care Equipment & Supplies)   24 
 1,300   T&D Holdings, Inc. (Insurance)   21 
 500   Taisei Corp. (Construction & Engineering)   18 
 4,700   Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals)   146 
 1,200   TDK Corp. (Electronic Equipment, Instruments & Components)   44 
 2,000   Terumo Corp. (Health Care Equipment & Supplies)   53 
 1,200   The Chiba Bank Ltd. (Banks)   9 
 2,300   The Kansai Electric Power Co., Inc. (Electric Utilities)   32 
 800   TIS, Inc. (IT Services)   18 
 500   Tobu Railway Co. Ltd. (Ground Transportation)   13 
 300   Toho Co. Ltd. (Entertainment)   10 
 5,300   Tokio Marine Holdings, Inc. (Insurance)   123 
 1,400   Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)   191 
 1,000   Tokyo Gas Co. Ltd. (Gas Utilities)   23 
 1,900   Tokyu Corp. (Ground Transportation)   22 
 600   TOPPAN Holdings, Inc. (Commercial Services & Supplies)   14 
 3,400   Toray Industries, Inc. (Chemicals)   18 
 1,300   Toshiba Corp. (Industrial Conglomerates)(a)   40 
 600   Tosoh Corp. (Chemicals)   8 
 300   TOTO Ltd. (Building Products)   8 
 400   Toyota Industries Corp. (Machinery)   31 
 31,100   Toyota Motor Corp. (Automobile Components)   559 
 700   Toyota Tsusho Corp. (Trading Companies & Distributors)   41 
 400   Trend Micro, Inc. (Software)   15 
 1,200   Unicharm Corp. (Household Products)   42 
 500   USS Co. Ltd. (Specialty Retail)   8 
 200   Welcia Holdings Co. Ltd. (Consumer Staples Distribution & Retail)   3 
 700   West Japan Railway Co. (Ground Transportation)(b)   29 
 800   Yakult Honsha Co. Ltd. (Food Products)   19 
 300   Yamaha Corp. (Leisure Products)   8 
 800   Yamaha Motor Co. Ltd. (Automobile Components)  21 
 800   Yamato Holdings Co. Ltd. (Air Freight & Logistics)   13 
 800   Yaskawa Electric Corp. (Machinery)   29 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Japan (continued)     
 600  

Yokogawa Electric Corp. (Electronic Equipment, Instruments & Components)

  $12 
 6,700   Z Holdings Corp. (Interactive Media & Services)   19 
 300   Zensho Holdings Co. Ltd. (Hotels, Restaurants & Leisure)   13 
 300   ZOZO, Inc. (Specialty Retail)(b)   5 
         9,829 
           
     Luxembourg — 0.06%     
 1,581   ArcelorMittal SA (Metals & Mining)   39 
 422   Eurofins Scientific SE (Life Sciences Tools & Services)   24 
 1,520   Tenaris SA (Energy Equipment & Services)   24 
         87 
           
     Netherlands — 1.39%     
 1,034   ABN AMRO Bank N.V. (Banks)(b)   15 
 64   Adyen N.V. (Professional Services)(a)(b)   47 
 4,651   Aegon Ltd. (Insurance)   22 
 461   Akzo Nobel N.V. (Chemicals)   33 
 163   Argenx SE (Biotechnology)(a)   80 
 137   ASM International N.V. (Semiconductors & Semiconductor Equipment)   57 
 1,189   ASML Holding N.V. (Semiconductors & Semiconductor Equipment)(b)   699 
 524   ASR Nederland N.V. (Insurance)   20 
 225   BE Semiconductor Industries N.V. (Semiconductors & Semiconductor Equipment)   22 
 214   Euronext N.V. (Capital Markets)   15 
 337   EXOR N.V. (Financial Services)   30 
 1,523   Ferrovial SE (Construction & Engineering)   47 
 366   Heineken Holding N.V. (Beverages)   28 
 877   Heineken N.V. (Beverages)   77 
 178   IMCD N.V. (Trading Companies & Distributors)(b)   23 
 10,643   ING Groep N.V. (Banks)   140 
 425   JDE Peet’s N.V. (Food Products)(b)   12 
 3,007   Koninklijke Ahold Delhaize N.V. (Consumer Staples Distribution & Retail)   91 
 10,003   Koninklijke KPN N.V. (Diversified Telecommunication Services)   33 
 2,755   Koninklijke Philips N.V. (Health Care Equipment & Supplies)(a)   55 
 734   NN Group N.V. (Insurance)   24 
 761   NXP Semiconductors N.V. (Semiconductors & Semiconductor Equipment)   151 
 248   OCI N.V. (Chemicals)(b)   7 
 4,561   Prosus N.V. (Broadline Retail)(a)(b)   134 
 697   QIAGEN N.V. (Life Sciences Tools & Services)(a)   28 
 276   Randstad N.V. (Professional Services)   15 
 6,592   Stellantis N.V. (Automobile Components)   126 
 2,441   Universal Music Group N.V. (Entertainment)   64 
 751   Wolters Kluwer N.V. (Professional Services)   91 
         2,186 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     New Zealand — 0.07%     
 4,769   Auckland International Airport Ltd. (Transportation Infrastructure)  $23 
 1,455   Fisher & Paykel Healthcare Corp. Ltd. (Health Care Equipment & Supplies)   19 
 1,764   Mercury NZ Ltd. (Electric Utilities)   6 
 2,860   Meridian Energy Ltd. (Independent Power and Renewable Electricity Producers)   9 
 5,100   Spark New Zealand Ltd. (Diversified Telecommunication Services)   15 
 443   Xero Ltd. (Software)(a)   31 
         103 
           
     Norway — 0.20%     
 1,377   Adevinta ASA (Interactive Media & Services)(a)   14 
 1,069   Aker BP ASA (Oil, Gas & Consumable Fuels)   30 
 3,016   DNB Bank ASA (Banks)   60 
 2,721   Equinor ASA (Oil, Gas & Consumable Fuels)   88 
 485   Gjensidige Forsikring ASA (Insurance)   7 
 217   Kongsberg Gruppen ASA (Aerospace & Defense)   9 
 1,453   Mowi ASA (Food Products)(b)   26 
 3,388   Norsk Hydro ASA (Metals & Mining)   21 
 1,866   Orkla ASA (Food Products)   14 
 241   Salmar ASA (Food Products)   12 
 1,828   Telenor ASA (Diversified Telecommunication Services)   21 
 438   Yara International ASA (Chemicals)   17 
         319 
           
     Portugal — 0.05%     
 9,123   EDP- Energias de Portugal SA (Electric Utilities)   38 
 1,681   Galp Energia SGPS SA (Oil, Gas & Consumable Fuels)(b)   25 
 752   Jeronimo Martins SGPS SA (Consumer Staples Distribution & Retail)(b)   17 
         80 
           
     Singapore — 0.37%     
 8,441   CapitaLand Ascendas REIT (Industrial REITs)   17 
 12,356   CapitaLand Integrated Commercial Trust (Retail REITs)   17 
 6,700   CapitaLand Investment Ltd. (Real Estate Management & Development)   15 
 1,000   City Developments Ltd. (Real Estate Management & Development)   5 
 5,461   DBS Group Holdings Ltd. (Banks)   135 
 15,700   Genting Singapore Ltd. (Hotels, Restaurants & Leisure)   10 
 5,748   Grab Holdings Ltd. (Ground Transportation)(a)   20 
 300   Jardine Cycle & Carriage Ltd. (Industrial Conglomerates)   7 
 4,100   Keppel Corp. Ltd. (Industrial Conglomerates)   20 
 6,014   Mapletree Logistics Trust (Industrial REITs)   7 
 5,600   Mapletree Pan Asia Commercial Trust (Retail REITs)   6 
 10,390   Oversea-Chinese Banking Corp. Ltd. (Banks)   97 
 136,048   Seatrium Ltd. (Machinery)(a)   13 
 2,700   Sembcorp Industries Ltd. (Multi-Utilities)   10 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Singapore (continued)     
 4,400   Singapore Airlines Ltd. (Passenger Airlines)(b)  $21 
 3,300   Singapore Exchange Ltd. (Capital Markets)   23 
 4,100   Singapore Technologies Engineering Ltd. (Aerospace & Defense)   12 
 25,100   Singapore Telecommunications Ltd. (Diversified Telecommunication Services)   44 
 3,800   United Overseas Bank Ltd. (Banks)   79 
 1,000   UOL Group Ltd. (Real Estate Management & Development)   5 
 5,000   Wilmar International Ltd. (Food Products)   14 
         577 
           
     Spain — 0.71%     
 54   Acciona SA (Electric Utilities)   7 
 680   ACS Actividades deConstruccion y Servicios SA (Construction & Engineering)   24 
 231   Aena SME SA (Transportation Infrastructure)   35 
 1,338   Amadeus IT Group SA (Professional Services)   81 
 17,574   Banco Bilbao Vizcaya Argentaria SA (Banks)   142 
 48,087   Banco Santander SA (Banks)(b)   183 
 12,123   CaixaBank SA (Banks)   48 
 1,686   Cellnex Telecom SA (Diversified Telecommunication Services)(b)   59 
 262   Corp. ACCIONA Energias Renovables SA (Independent Power and Renewable Electricity Producers)   7 
 712   EDP Renovaveis SA (Independent Power and Renewable Electricity Producers)   12 
 585   Enagas SA (Gas Utilities)(b)   10 
 802   Endesa SA (Electric Utilities)   16 
 1,194   Grifols SA (Biotechnology)(a)   15 
 18,129   Iberdrola SA (Electric Utilities)   203 
 3,229   Industria de Diseno Textil SA (Specialty Retail)   120 
 262   Naturgy Energy Group SA (Gas Utilities)   7 
 1,081   Redeia Corp. SA (Electric Utilities)   17 
 3,991   Repsol SA (Oil, Gas & Consumable Fuels)   66 
 15,668   Telefonica SA (Diversified Telecommunication Services)   64 
         1,116 
           
     Sweden — 0.80%     
 779   Alfa Laval AB (Machinery)   27 
 3,086   Assa Abloy AB, Class–- B (Building Products)   67 
 7,773   Atlas Copco AB, Class–- A (Machinery)   105 
 4,700   Atlas Copco AB, Class–- B (Machinery)   55 
 1,237   Beijer Ref AB (Trading Companies & Distributors)   13 
 666   Boliden AB (Metals & Mining)   19 
 2,092   Epiroc AB, Class–- A (Machinery)   40 
 1,066   Epiroc AB, Class–- B (Machinery)   17 
 1,104   EQT AB (Capital Markets)   22 
 1,896   Essity AB, Class–- B (Household Products)   41 
 546   Evolution AB (Hotels, Restaurants & Leisure)(b)   55 
 1,608   Fastighets AB Balder, B shares (Real Estate Management & Development)(a)   7 
 571   Getinge AB, B shares (Health Care Equipment & Supplies)   10 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Sweden (continued)     
 2,002   H & M Hennes & Mauritz AB, Class–- B (Specialty Retail)  $28 
 6,182   Hexagon AB, Class–- B (Electronic Equipment, Instruments & Components)   53 
 172   Holmen AB, B shares (Paper & Forest Products)   7 
 854   Husqvarna AB, B shares (Machinery)   7 
 282   Industrivarden AB, Class–- A (Financial Services)(b)   7 
 451   Industrivarden AB, Class–- C (Financial Services)   12 
 910   Indutrade AB (Machinery)   17 
 321   Investment AB Latour, Class–- B (Industrial Conglomerates)   6 
 5,230   Investor AB, Class–- B (Financial Services)   100 
 169   L E Lundbergforetagen AB, Class–- B (Financial Services)   7 
 580   Lifco AB, Class–- B (Industrial Conglomerates)   10 
 4,601   Nibe Industrier AB, Class–- B (Building Products)   30 
 316   Saab AB, Class–- B (Aerospace & Defense)   16 
 678   Sagax AB, Class–- B (Real Estate Management & Development)   13 
 3,271   Sandvik AB (Machinery)   60 
 1,789   Securitas AB, Class–- B (Commercial Services & Supplies)   14 
 4,874   Skandinaviska Enskilda Banken AB, Class–- A (Banks)   58 
 933   Skanska AB, Class–- B (Construction & Engineering)   15 
 888   SKF AB, B shares (Machinery)   15 
 2,064   Svenska Cellulosa AB SCA, Class–- B (Paper & Forest Products)   28 
 4,521   Svenska Handelsbanken AB, Class–- A (Banks)   40 
 2,539   Swedbank AB, Class–- A (Banks)   47 
 409   Swedish Orphan Biovitrum AB (Biotechnology)(a)   8 
 1,442   Tele2 AB, B shares (Wireless Telecommunication Services)   11 
 9,054   Telefonaktiebolaget LM Ericsson, Class–- B (Communications Equipment)   44 
 6,801   Telia Co. AB (Diversified Telecommunication Services)(b)   14 
 648   Volvo AB, Class–- A (Machinery)   13 
 4,503   Volvo AB, Class–- B (Machinery)   93 
 1,383   Volvo Car AB, Class–- B (Automobile Components)(a)   6 
         1,257 
           
     Switzerland — 3.15%     
 4,722   ABB Ltd., Registered Shares (Electrical Equipment)   169 
 513   Adecco Group AG (Professional Services)   21 
 1,469   Alcon, Inc. (Health Care Equipment & Supplies)(b)   113 
 75   Bachem Holding AG (Life Sciences Tools & Services)   6 
 117   Baloise Holding AG, Registered Shares (Insurance)   17 
 109   Banque Cantonale Vaudoise, Registered Shares (Banks)   11 
 13   Barry Callebaut AG, Registered Shares (Food Products)(b)  21 
 77   BKW AG (Electric Utilities)   14 
 6   Chocoladefabriken Lindt & Spruengli AG, Class–- PC (Food Products)   67 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Switzerland (continued)     
 1,242   Chubb Ltd. (Insurance)  $259 
 1,538   Cie Financiere Richemont SA, Registered Shares (Textiles, Apparel & Luxury Goods)   187 
 541   Clariant AG, Registered Shares (Chemicals)   9 
 683   Coca-Cola HBC AG (Beverages)   19 
 596   DSM-Firmenich AG (Chemicals)   50 
 214   Dufry AG, Registered Shares (Specialty Retail)(a)(b)   8 
 23   EMS-Chemie Holding AG (Chemicals)   16 
 475   Garmin Ltd. (Household Durables)   50 
 107   Geberit AG, Registered Shares (Building Products)   53 
 28   Givaudan SA, Registered Shares (Chemicals)   91 
 31,673   Glencore PLC (Metals & Mining)(b)   180 
 86   Helvetia Holding AG, Registered Shares (Insurance)   12 
 1,549   Holcim AG (Construction Materials)(b)   99 
 652   Julius Baer Group Ltd. (Capital Markets)   42 
 163   Kuehne + Nagel International AG, Registered Shares (Marine Transportation)   46 
 491   Logitech International SA, Registered Shares (Technology Hardware, Storage & Peripherals)   34 
 218   Lonza Group AG, Registered Shares (Life Sciences Tools & Services)(b)   101 
 7,883   Nestle SA, Registered Shares (Food Products)   892 
 6,035   Novartis AG, Registered Shares (Pharmaceuticals)   617 
 67   Partners Group Holding AG (Capital Markets)   75 
 96   Roche Holding AG (Pharmaceuticals)   28 
 2,069   Roche Holding AG (Pharmaceuticals)   565 
 142   Schindler Holding AG (Machinery)   28 
 50   Schindler Holding AG, Registered Shares (Machinery)   10 
 461   SGS SA, Registered Shares (Professional Services)(b)   39 
 945   SIG Group AG (Containers & Packaging)(b)   23 
 432   Sika AG, Registered Shares (Chemicals)(b)   109 
 139   Sonova Holding AG (Health Care Equipment & Supplies)(b)   33 
 2,005   STMicroelectronics N.V. (Semiconductors & Semiconductor Equipment)   86 
 338   Straumann Holding AG, Registered Shares (Health Care Equipment & Supplies)   43 
 94   Swiss Life Holding AG (Insurance)   59 
 190   Swiss Prime Site AG, Registered Shares (Real Estate Management & Development)   17 
 889   Swiss Re AG (Insurance)   91 
 79   Swisscom AG, Registered Shares (Diversified Telecommunication Services)   47 
 164   Temenos AG, Registered Shares (Software)   11 
 108   The Swatch Group AG (Textiles, Apparel & Luxury Goods)   5 
 98   The Swatch Group AG (Textiles, Apparel & Luxury Goods)   25 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     Switzerland (continued)     
 9,650   UBS Group AG (Capital Markets)  $238 
 80   VAT Group AG (Machinery)   29 
 443   Zurich Insurance Group AG (Insurance)   203 
         4,968 
     United Arab Emirates — 0.00%     
 339   NMC Health PLC (Health Care Providers & Services)(a)(c)    
           
     United Kingdom — 3.94%     
 2,840   3i Group PLC (Capital Markets)   71 
 5,849   abrdn PLC (Capital Markets)   11 
 654   Admiral Group PLC (Insurance)   19 
 978   Amcor PLC (Containers & Packaging)   9 
 3,739   Amcor PLC (Containers & Packaging)   34 
 3,854   Anglo American PLC (Metals & Mining)   106 
 1,287   Ashtead Group PLC (Trading Companies & Distributors)   78 
 902   Associated British Foods PLC (Food Products)   23 
 4,557   AstraZeneca PLC (Pharmaceuticals)(b)   614 
 2,623   Auto Trader Group PLC (Interactive Media & Services)(b)   20 
 8,845   Aviva PLC (Insurance)   42 
 8,941   BAE Systems PLC (Aerospace & Defense)   109 
 46,181   Barclays PLC (Banks)(b)   89 
 2,421   Barratt Developments PLC (Household Durables)(b)   13 
 399   Berkeley Group Holdings PLC (Household Durables)   20 
 51,789   BP PLC (Oil, Gas & Consumable Fuels)   334 
 21,107   BT Group PLC (Diversified Telecommunication Services)   30 
 987   Bunzl PLC (Trading Companies & Distributors)   35 
 1,017   Burberry Group PLC (Textiles, Apparel & Luxury Goods)(b)   24 
 17,106   Centrica PLC (Multi-Utilities)(b)   32 
 861   Clarivate PLC (Professional Services)(a)   6 
 3,046   CNH Industrial N.V. (Machinery)   37 
 623   Coca-Cola Europacific Partners PLC (Beverages)   39 
 5,133   Compass Group PLC (Hotels, Restaurants & Leisure)   125 
 433   Croda International PLC (Chemicals)(b)   26 
 6,559   Diageo PLC (Beverages)   242 
 466   Endeavour Mining PLC (Metals & Mining)   9 
 1,947   Entain PLC (Hotels, Restaurants & Leisure)(b)   22 
 486   Ferguson PLC (Trading Companies & Distributors)   80 
 113   Ferguson PLC (Trading Companies & Distributors)   19 
 11,941   GSK PLC (Pharmaceuticals)   216 
 16,291   Haleon PLC (Personal Care Products)(b)   68 
 1,158   Halma PLC (Electronic Equipment, Instruments & Components)   27 
 823   Hargreaves Lansdown PLC (Capital Markets)   8 
 509   Hikma Pharmaceuticals PLC (Pharmaceuticals)(b)   13 
 58,338   HSBC Holdings PLC (Banks)   456 
 3,731   Informa PLC (Media)   34 
 538   InterContinental Hotels Group PLC (Hotels, Restaurants & Leisure)   40 
 498   Intertek Group PLC (Professional Services)   25 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United Kingdom (continued)     
 4,095   J Sainsbury PLC (Consumer Staples Distribution & Retail)  $13 
 6,250   JD Sports Fashion PLC (Specialty Retail)   11 
 474   Johnson Matthey PLC (Chemicals)   9 
 5,956   Kingfisher PLC (Specialty Retail)   16 
 1,659   Land Securities Group PLC (Diversified REITs)   12 
 18,863   Legal & General Group PLC (Insurance)   51 
 718   Liberty Global PLC, Class – C (Diversified Telecommunication Services)(a)   13 
 195,960   Lloyds Banking Group PLC (Banks)   105 
 1,249   London Stock Exchange Group PLC (Capital Markets)(b)   125 
 6,041   M&G PLC (Financial Services)   14 
 4,007   Melrose Industries PLC (Aerospace & Defense)   23 
 1,214   Mondi PLC (Paper & Forest Products)   20 
 10,823   National Grid PLC (Multi-Utilities)   129 
 16,954   NatWest Group PLC (Banks)(b)   48 
 383   Next PLC (Broadline Retail)   34 
 1,748   Ocado Group PLC (Consumer Staples Distribution & Retail)(a)(b)   13 
 1,722   Pearson PLC (Diversified Consumer Services)   18 
 488   Pentair PLC (Machinery)   32 
 795   Persimmon PLC (Household Durables)   10 
 2,089   Phoenix Group Holdings PLC (Insurance)   12 
 2,107   Reckitt Benckiser Group PLC (Household Products)   149 
 5,559   RELX PLC (Professional Services)   188 
 7,480   Rentokil Initial PLC (Commercial Services & Supplies)   56 
 3,347   Rio Tinto PLC (Metals & Mining)   210 
 24,584   Rolls-Royce Holdings PLC (Aerospace & Defense)(a)   66 
 1,911   Schroders PLC (Capital Markets)   9 
 3,908   Segro PLC (Diversified REITs)   34 
 626   Severn Trent PLC (Water Utilities)(b)   18 
 19,752   Shell PLC (Oil, Gas & Consumable Fuels)   625 
 2,631   Smith & Nephew PLC (Health Care Equipment & Supplies)   33 
 939   Smiths Group PLC (Industrial Conglomerates)   18 
 227   Spirax-Sarco Engineering PLC (Machinery)   26 
 3,275   SSE PLC (Electric Utilities)   64 
 1,736   St. James’s Place PLC (Capital Markets)   18 
 7,078   Standard Chartered PLC (Banks)   65 
 7,703   Taylor Wimpey PLC (Household Durables)(b)   11 
 22,102   Tesco PLC (Consumer Staples Distribution & Retail)   71 
 3,118   The Sage Group PLC (Software)   38 
 7,377   Unilever PLC (Personal Care Products)   365 
 2,365   United Utilities Group PLC (Water Utilities)   27 
 69,908   Vodafone Group PLC (Wireless Telecommunication Services)   66 
 669   Whitbread PLC (Hotels, Restaurants & Leisure)   28 
 310   Willis Towers Watson PLC (Insurance)   65 
 1,866   Wise PLC, Class – A (Professional Services)(a)   16 
 3,407   WPP PLC (Media)   30 
         6,209 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States — 67.50%     
 1,634   3M Co. (Industrial Conglomerates)  $153 
 352   A.O. Smith Corp. (Building Products)   23 
 5,112   Abbott Laboratories (Health Care Equipment & Supplies)   495 
 5,225   AbbVie, Inc. (Biotechnology)   779 
 2,331   Activision Blizzard, Inc. (Entertainment)   218 
 1,349   Adobe, Inc. (Software)(a)   688 
 4,763   Advanced Micro Devices, Inc. (Semiconductors & Semiconductor Equipment)(a)   490 
 400   AECOM (Construction & Engineering)   33 
 1,696   Aflac, Inc. (Insurance)   130 
 864   Agilent Technologies, Inc. (Life Sciences Tools & Services)   97 
 649   Air Products & Chemicals, Inc. (Chemicals)   184 
 1,211   Airbnb, Inc., Class – A (Hotels, Restaurants & Leisure)(a)   166 
 463   Akamai Technologies, Inc. (IT Services)(a)   49 
 346   Albemarle Corp. (Chemicals)   59 
 868   Albertsons Cos., Inc., Class – A (Consumer Staples Distribution & Retail)   20 
 505   Alexandria Real Estate Equities, Inc. (Office REITs)   51 
 214   Align Technology, Inc. (Health Care Equipment & Supplies)(a)   65 
 800   Alliant Energy Corp. (Electric Utilities)   39 
 662   Ally Financial, Inc. (Consumer Finance)   18 
 364   Alnylam Pharmaceuticals, Inc. (Biotechnology)(a)   64 
 17,620   Alphabet, Inc., Class – A (Interactive Media & Services)(a)   2,306 
 15,615   Alphabet, Inc., Class – C (Interactive Media & Services)(a)   2,059 
 27,307   Amazon.com, Inc. (Broadline Retail)(a)   3,472 
 783   Ameren Corp. (Multi-Utilities)   59 
 1,510   American Electric Power Co., Inc. (Electric Utilities)   114 
 1,842   American Express Co. (Consumer Finance)   275 
 987   American Homes 4 Rent, Class – A (Residential REITs)   33 
 2,157   American International Group, Inc. (Insurance)   131 
 1,368   American Tower Corp. (Specialized REITs)   225 
 581   American Water Works Co., Inc. (Water Utilities)   72 
 310   Ameriprise Financial, Inc. (Capital Markets)   102 
 522   AmerisourceBergen Corp. (Health Care Providers & Services)   94 
 662   AMETEK, Inc. (Electrical Equipment)   98 
 1,577   Amgen, Inc. (Biotechnology)   424 
 1,774   Amphenol Corp., Class – A (Electronic Equipment, Instruments & Components)   149 
 1,472   Analog Devices, Inc. (Semiconductors & Semiconductor Equipment)   258 
 1,546   Annaly Capital Management, Inc. (Mortgage Real Estate Investment Trusts)   29 
 256   ANSYS, Inc. (Software)(a)   76 
 608   Aon PLC, Class – A (Insurance)   197 
 935   APA Corp. (Oil, Gas & Consumable Fuels)   38 
 1,171   Apollo Global Management, Inc. (Financial Services)   105 
 46,450   Apple, Inc. (Technology Hardware, Storage & Peripherals)   7,954 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 2,462   Applied Materials, Inc. (Semiconductors & Semiconductor Equipment)  $341 
 759   Aramark (Hotels, Restaurants & Leisure)   26 
 1,604   Archer-Daniels-Midland Co. (Food Products)   121 
 464   Ares Management Corp., Class – A (Capital Markets)   48 
 793   Arista Networks, Inc. (Communications Equipment)(a)   146 
 176   Arrow Electronics, Inc. (Electronic Equipment, Instruments & Components)(a)   22 
 638   Arthur J. Gallagher & Co. (Insurance)   145 
 95   Aspen Technology, Inc. (Software)(a)   19 
 147   Assurant, Inc. (Insurance)   21 
 21,426   AT&T, Inc. (Diversified Telecommunication Services)   322 
 442   Atlassian Corp., Class – A (Software)(a)   89 
 424   Atmos Energy Corp. (Gas Utilities)   45 
 635   Autodesk, Inc. (Software)(a)   131 
 1,212   Automatic Data Processing, Inc. (Professional Services)   292 
 54   AutoZone, Inc. (Specialty Retail)(a)   137 
 415   AvalonBay Communities, Inc. (Residential REITs)   71 
 2,035   Avantor, Inc. (Life Sciences Tools & Services)(a)   43 
 257   Avery Dennison Corp. (Containers & Packaging)   47 
 204   Axon Enterprise, Inc. (Aerospace & Defense)(a)   41 
 2,953   Baker Hughes Co. (Energy Equipment & Services)   104 
 944   Ball Corp. (Containers & Packaging)   47 
 21,034   Bank of America Corp. (Banks)   576 
 680   Bath & Body Works, Inc. (Specialty Retail)   23 
 1,504   Baxter International, Inc. (Health Care Equipment & Supplies)   57 
 853   Becton Dickinson & Co. (Health Care Equipment & Supplies)   221 
 684   Bentley Systems, Inc., Class – B (Software)   34 
 3,815   Berkshire Hathaway, Inc., Class – B (Financial Services)(a)   1,336 
 598   Best Buy Co., Inc. (Specialty Retail)   42 
 289   BILL Holdings, Inc. (Software)(a)   31 
 421   Biogen, Inc. (Biotechnology)(a)   108 
 552   BioMarin Pharmaceutical, Inc. (Biotechnology)(a)   49 
 68   Bio-Rad Laboratories, Inc., Class – A (Life Sciences Tools & Services)(a)   24 
 466   Bio-Techne Corp. (Life Sciences Tools & Services)   32 
 438   BlackRock, Inc. (Capital Markets)   283 
 2,066   Blackstone, Inc. (Capital Markets)   221 
 1,596   Block, Inc. (Financial Services)(a)   71 
 110   Booking Holdings, Inc. (Hotels, Restaurants & Leisure)(a)   339 
 389   Booz Allen Hamilton Holding Corp. (Professional Services)   43 
 755   BorgWarner, Inc. (Automobile Components)   30 
 473   Boston Properties, Inc. (Office REITs)   28 
 4,322   Boston Scientific Corp. (Health Care Equipment & Supplies)(a)   228 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 6,271   Bristol-Myers Squibb Co. (Pharmaceuticals)  $364 
 1,218   Broadcom, Inc. (Semiconductors & Semiconductor Equipment)   1,012 
 346   Broadridge Financial Solutions, Inc. (Professional Services)   62 
 300   Brookfield Renewable Corp., Class – A (Independent Power and Renewable Electricity Producers)(b)   7 
 703   Brown & Brown, Inc. (Insurance)   49 
 900   Brown-Forman Corp., Class – B (Beverages)   52 
 404   Builders FirstSource, Inc. (Building Products)(a)   50 
 445   Bunge Ltd. (Food Products)   48 
 197   Burlington Stores, Inc. (Specialty Retail)(a)   27 
 349   C.H. Robinson Worldwide, Inc. (Air Freight & Logistics)   30 
 798   Cadence Design Systems, Inc. (Software)(a)   187 
 668   Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)(a)   31 
 353   Camden Property Trust (Residential REITs)   33 
 579   Campbell Soup Co. (Food Products)   24 
 1,123   Capital One Financial Corp. (Consumer Finance)   109 
 760   Cardinal Health, Inc. (Health Care Providers & Services)   66 
 154   Carlisle Cos., Inc. (Building Products)   40 
 472   CarMax, Inc. (Specialty Retail)(a)   33 
 2,449   Carrier Global Corp. (Building Products)   135 
 555   Catalent, Inc. (Pharmaceuticals)(a)   25 
 1,530   Caterpillar, Inc. (Machinery)   418 
 315   Cboe Global Markets, Inc. (Capital Markets)   49 
 931   CBRE Group, Inc., Class – A (Real Estate Management & Development)(a)   69 
 399   CDW Corp. (Electronic Equipment, Instruments & Components)   81 
 280   Celanese Corp. (Chemicals)   35 
 1,632   Centene Corp. (Health Care Providers & Services)(a)   112 
 1,903   CenterPoint Energy, Inc. (Multi-Utilities)   51 
 449   Ceridian HCM Holding, Inc. (Professional Services)(a)   30 
 584   CF Industries Holdings, Inc. (Chemicals)   50 
 156   Charles River Laboratories International, Inc. (Life Sciences Tools & Services)(a)   31 
 288   Charter Communications, Inc., Class – A (Media)(a)   127 
 708   Cheniere Energy, Inc. (Oil, Gas & Consumable Fuels)   118 
 341   Chesapeake Energy Corp. (Oil, Gas & Consumable Fuels)   29 
 5,378   Chevron Corp. (Oil, Gas & Consumable Fuels)   907 
 524   Chewy, Inc., Class – A (Specialty Retail)(a)   10 
 81   Chipotle Mexican Grill, Inc. (Hotels, Restaurants & Leisure)(a)   148 
 709   Church & Dwight Co., Inc. (Household Products)   65 
 464   Cincinnati Financial Corp. (Insurance)   47 
 265   Cintas Corp. (Commercial Services & Supplies)   127 
 12,086   Cisco Systems, Inc. (Communications Equipment)   650 
 5,722   Citigroup, Inc. (Banks)   235 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 1,484   Citizens Financial Group, Inc. (Banks)  $40 
 1,794   Cleveland-Cliffs, Inc. (Metals & Mining)(a)   28 
 805   Cloudflare, Inc., Class – A (IT Services)(a)   51 
 1,082   CME Group, Inc. (Capital Markets)   217 
 886   CMS Energy Corp. (Multi-Utilities)   47 
 430   Cognex Corp. (Electronic Equipment, Instruments & Components)   18 
 1,492   Cognizant Technology Solutions Corp., Class – A (IT Services)   101 
 487   Coinbase Global, Inc., Class – A (Capital Markets)(a)   37 
 2,393   Colgate-Palmolive Co. (Household Products)   170 
 12,302   Comcast Corp., Class – A (Media)   545 
 1,427   Conagra Brands, Inc. (Food Products)   39 
 3,573   ConocoPhillips (Oil, Gas & Consumable Fuels)   428 
 1,065   Consolidated Edison, Inc. (Multi-Utilities)   91 
 483   Constellation Brands, Inc., Class – A (Beverages)   121 
 1,001   Constellation Energy Corp. (Electric Utilities)   109 
 2,502   Copart, Inc. (Commercial Services & Supplies)(a)   108 
 2,365   Corning, Inc. (Electronic Equipment, Instruments & Components)   72 
 2,104   Corteva, Inc. (Chemicals)   108 
 1,194   CoStar Group, Inc. (Professional Services)(a)   92 
 1,305   Costco Wholesale Corp. (Consumer Staples Distribution & Retail)   737 
 2,250   Coterra Energy, Inc. (Oil, Gas & Consumable Fuels)   61 
 657   Crowdstrike Holdings, Inc., Class – A (Software)(a)   110 
 1,282   Crown Castle, Inc. (Specialized REITs)   118 
 370   Crown Holdings, Inc. (Containers & Packaging)   33 
 5,986   CSX Corp. (Ground Transportation)   184 
 411   Cummins, Inc. (Machinery)   94 
 3,861   CVS Health Corp. (Health Care Providers & Services)   270 
 907   D.R. Horton, Inc. (Household Durables)   97 
 2,076   Danaher Corp. (Life Sciences Tools & Services)   515 
 363   Darden Restaurants, Inc. (Hotels, Restaurants & Leisure)   52 
 481   Darling Ingredients, Inc. (Food Products)(a)   25 
 736   Datadog, Inc., Class – A (Software)(a)   67 
 173   DaVita, Inc. (Health Care Providers & Services)(a)   16 
 79   Deckers Outdoor Corp. (Textiles, Apparel & Luxury Goods)(a)   41 
 821   Deere & Co. (Machinery)   310 
 755   Dell Technologies, Inc., Class – C (Technology Hardware, Storage & Peripherals)   52 
 418   Delta Air Lines, Inc. (Passenger Airlines)   15 
 561   DENTSPLY SIRONA, Inc. (Health Care Equipment & Supplies)   19 
 1,934   Devon Energy Corp. (Oil, Gas & Consumable Fuels)   92 
 1,133   Dexcom, Inc. (Health Care Equipment & Supplies)(a)   106 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 508   Diamondback Energy, Inc. (Oil, Gas & Consumable Fuels)  $79 
 185   Dick’s Sporting Goods, Inc. (Specialty Retail)   20 
 855   Digital Realty Trust, Inc. (Specialized REITs)   103 
 754   Discover Financial Services (Consumer Finance)   65 
 612   DocuSign, Inc. (Software)(a)   26 
 643   Dollar General Corp. (Consumer Staples Distribution & Retail)   68 
 623   Dollar Tree, Inc. (Consumer Staples Distribution & Retail)(a)   66 
 2,472   Dominion Energy, Inc. (Multi-Utilities)   110 
 104   Domino’s Pizza, Inc. (Hotels, Restaurants & Leisure)   39 
 759   DoorDash, Inc., Class – A (Hotels, Restaurants & Leisure)(a)   60 
 411   Dover Corp. (Machinery)   57 
 2,107   Dow, Inc. (Chemicals)   109 
 1,255   DraftKings, Inc. (Hotels, Restaurants & Leisure)(a)   37 
 766   Dropbox, Inc., Class – A (Software)(a)   21 
 617   DTE Energy Co. (Multi-Utilities)   61 
 2,254   Duke Energy Corp. (Electric Utilities)   199 
 1,356   DuPont de Nemours, Inc. (Chemicals)   101 
 772   Dynatrace, Inc. (Software)(a)   36 
 394   Eastman Chemical Co. (Chemicals)   30 
 1,176   Eaton Corp. PLC (Electrical Equipment)   251 
 1,596   eBay, Inc. (Broadline Retail)   70 
 751   Ecolab, Inc. (Chemicals)   127 
 1,122   Edison International (Electric Utilities)   71 
 1,771   Edwards Lifesciences Corp. (Health Care Equipment & Supplies)(a)   123 
 779   Electronic Arts, Inc. (Entertainment)   94 
 703   Elevance Health, Inc. (Health Care Providers & Services)   306 
 2,393   Eli Lilly & Co. (Pharmaceuticals)   1,285 
 1,667   Emerson Electric Co. (Electrical Equipment)   161 
 403   Enphase Energy, Inc. (Semiconductors & Semiconductor Equipment)(a)   48 
 440   Entegris, Inc. (Semiconductors & Semiconductor Equipment)   41 
 638   Entergy Corp. (Electric Utilities)   59 
 1,711   EOG Resources, Inc. (Oil, Gas & Consumable Fuels)   217 
 171   EPAM Systems, Inc. (IT Services)(a)   44 
 1,061   EQT Corp. (Oil, Gas & Consumable Fuels)   43 
 359   Equifax, Inc. (Professional Services)   66 
 280   Equinix, Inc. (Specialized REITs)   203 
 940   Equitable Holdings, Inc. (Financial Services)   27 
 554   Equity LifeStyle Properties, Inc. (Residential REITs)   35 
 1,075   Equity Residential (Residential REITs)   63 
 812   Essential Utilities, Inc. (Water Utilities)   28 
 196   Essex Property Trust, Inc. (Residential REITs)   42 
 385   Etsy, Inc. (Broadline Retail)(a)   25 
 721   Evergy, Inc. (Electric Utilities)   37 
 1,042   Eversource Energy (Electric Utilities)   61 
 524   Exact Sciences Corp. (Biotechnology)(a)   36 
 2,902   Exelon Corp. (Electric Utilities)   110 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 454   Expeditors International of Washington, Inc. (Air Freight & Logistics)  $52 
 624   Extra Space Storage, Inc. (Specialized REITs)   76 
 11,941   Exxon Mobil Corp. (Oil, Gas & Consumable Fuels)   1,404 
 153   F5, Inc. (Communications Equipment)(a)   25 
 111   FactSet Research Systems, Inc. (Capital Markets)   49 
 74   Fair Isaac Corp. (Software)(a)   64 
 1,641   Fastenal Co. (Trading Companies & Distributors)   90 
 699   FedEx Corp. (Air Freight & Logistics)   185 
 676   Fidelity National Financial, Inc. (Insurance)   28 
 1,759   Fidelity National Information Services, Inc. (Financial Services)   97 
 2,086   Fifth Third Bancorp (Banks)   53 
 32   First Citizens BancShares, Inc., Class – A (Banks)   44 
 1,647   First Horizon Corp. (Banks)   18 
 297   First Solar, Inc. (Semiconductors & Semiconductor Equipment)(a)   48 
 1,607   FirstEnergy Corp. (Electric Utilities)   55 
 1,818   Fiserv, Inc. (Financial Services)(a)   205 
 208   FleetCor Technologies, Inc. (Financial Services)(a)   53 
 331   FMC Corp. (Chemicals)   22 
 11,513   Ford Motor Co. (Automobile Components)   143 
 1,948   Fortinet, Inc. (Software)(a)   114 
 1,031   Fortive Corp. (Machinery)   76 
 336   Fortune Brands Innovations, Inc. (Building Products)   21 
 1,024   Fox Corp., Class – A (Media)   32 
 244   Fox Corp., Class – B (Media)   7 
 748   Franklin Resources, Inc. (Capital Markets)   18 
 4,226   Freeport-McMoRan, Inc. (Metals & Mining)   158 
 233   Gartner, Inc. (IT Services)(a)   80 
 1,196   GE HealthCare Technologies, Inc. (Health Care Equipment & Supplies)   81 
 1,748   Gen Digital, Inc. (Software)   31 
 195   Generac Holdings, Inc. (Electrical Equipment)(a)   21 
 685   General Dynamics Corp. (Aerospace & Defense)   151 
 3,242   General Electric Co. (Industrial Conglomerates)   358 
 1,713   General Mills, Inc. (Food Products)   110 
 4,105   General Motors Co. (Automobile Components)   135 
 414   Genuine Parts Co. (Distributors)   60 
 3,690   Gilead Sciences, Inc. (Biotechnology)   277 
 778   Global Payments, Inc. (Financial Services)   90 
 456   GoDaddy, Inc., Class – A (IT Services)(a)   34 
 486   Graco, Inc. (Machinery)   35 
 2,649   Halliburton Co. (Energy Equipment & Services)   107 
 403   Hasbro, Inc. (Leisure Products)   27 
 606   HCA Healthcare, Inc. (Health Care Providers & Services)   149 
 1,518   Healthcare Realty Trust, Inc. (Health Care REITs)   23 
 1,845   Healthpeak Properties, Inc. (Health Care REITs)   34 
 133   HEICO Corp. (Aerospace & Defense)   22 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 225   HEICO Corp., Class – A (Aerospace & Defense)  $29 
 391   Henry Schein, Inc. (Health Care Providers & Services)(a)   29 
 809   Hess Corp. (Oil, Gas & Consumable Fuels)   124 
 3,805   Hewlett Packard Enterprise Co. (Technology Hardware, Storage & Peripherals)   66 
 472   HF Sinclair Corp. (Oil, Gas & Consumable Fuels)   27 
 789   Hilton Worldwide Holdings, Inc. (Hotels, Restaurants & Leisure)   118 
 727   Hologic, Inc. (Health Care Equipment & Supplies)(a)   50 
 1,945   Honeywell International, Inc. (Industrial Conglomerates)   359 
 637   Horizon Therapeutics PLC (Biotechnology)(a)   74 
 911   Hormel Foods Corp. (Food Products)   35 
 2,156   Host Hotels & Resorts, Inc. (Hotel & Resort REITs)   35 
 1,180   Howmet Aerospace, Inc. (Aerospace & Defense)   55 
 2,600   HP, Inc. (Technology Hardware, Storage & Peripherals)   67 
 155   Hubbell, Inc. (Electrical Equipment)   49 
 139   HubSpot, Inc. (Software)(a)   68 
 366   Humana, Inc. (Health Care Providers & Services)   178 
 4,354   Huntington Bancshares, Inc. (Banks)   45 
 122   Huntington Ingalls Industries, Inc. (Aerospace & Defense)   25 
 114   Hyatt Hotels Corp., Class – A (Hotels, Restaurants & Leisure)   12 
 222   IDEX Corp. (Machinery)   46 
 242   IDEXX Laboratories, Inc. (Health Care Equipment & Supplies)(a)   106 
 907   Illinois Tool Works, Inc. (Machinery)   209 
 465   Illumina, Inc. (Life Sciences Tools & Services)(a)   64 
 560   Incyte Corp. (Biotechnology)(a)   32 
 1,189   Ingersoll Rand, Inc. (Machinery)   76 
 205   Insulet Corp. (Health Care Equipment & Supplies)(a)   33 
 12,383   Intel Corp. (Semiconductors & Semiconductor Equipment)   440 
 1,703   Intercontinental Exchange, Inc. (Capital Markets)   187 
 2,689   International Business Machines Corp. (IT Services)   377 
 759   International Flavors & Fragrances, Inc. (Chemicals)   52 
 1,039   International Paper Co. (Containers & Packaging)   37 
 836   Intuit, Inc. (Software)   427 
 1,049   Intuitive Surgical, Inc. (Health Care Equipment & Supplies)(a)   307 
 902   Invesco Ltd. (Capital Markets)   13 
 1,844   Invitation Homes, Inc. (Residential REITs)   58 
 545   IQVIA Holdings, Inc. (Life Sciences Tools & Services)(a)   107 
 858   Iron Mountain, Inc. (Specialized REITs)   51 
 393   Jabil, Inc. (Electronic Equipment, Instruments & Components)   50 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 221   Jack Henry & Associates, Inc. (Professional Services)  $33 
 374   Jacobs Solutions, Inc. (Professional Services)   51 
 152   Jazz Pharmaceuticals PLC (Pharmaceuticals)(a)   20 
 43   Jazz Pharmaceuticals PLC (Pharmaceuticals)(a)   6 
 246   JB Hunt Transport Services, Inc. (Ground Transportation)   46 
 7,114   Johnson & Johnson (Pharmaceuticals)   1,108 
 2,015   Johnson Controls International PLC (Building Products)   107 
 8,620   JPMorgan Chase & Co. (Banks)   1,250 
 967   Juniper Networks, Inc. (Communications Equipment)   27 
 802   Kellogg Co. (Food Products)   48 
 2,697   Keurig Dr. Pepper, Inc. (Beverages)   85 
 2,950   KeyCorp (Banks)   32 
 537   Keysight Technologies, Inc. (Electronic Equipment, Instruments & Components)(a)   71 
 985   Kimberly-Clark Corp. (Household Products)   119 
 2,069   Kimco Realty Corp. (Retail REITs)   36 
 5,984   Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels)   99 
 1,781   KKR & Co., Inc. (Capital Markets)   110 
 404   KLA Corp. (Semiconductors & Semiconductor Equipment)   185 
 490   Knight-Swift Transportation Holdings, Inc. (Ground Transportation)   25 
 561   L3Harris Technologies, Inc. (Aerospace & Defense)   98 
 264   Laboratory Corp. of America Holdings (Health Care Providers & Services)   53 
 394   Lam Research Corp. (Semiconductors & Semiconductor Equipment)   247 
 429   Lamb Weston Holdings, Inc. (Food Products)   40 
 1,025   Las Vegas Sands Corp. (Hotels, Restaurants & Leisure)   47 
 403   Lattice Semiconductor Corp. (Semiconductors & Semiconductor Equipment)(a)   35 
 199   Lear Corp. (Automobile Components)   27 
 388   Leidos Holdings, Inc. (Professional Services)   36 
 746   Lennar Corp., Class – A (Household Durables)   84 
 100   Lennox International, Inc. (Building Products)   37 
 1,449   Linde PLC (Chemicals)   540 
 487   Live Nation Entertainment, Inc. (Entertainment)(a)   40 
 802   LKQ Corp. (Distributors)   40 
 674   Lockheed Martin Corp. (Aerospace & Defense)   276 
 591   Loews Corp. (Insurance)   37 
 1,742   Lowe’s Cos., Inc. (Specialty Retail)   362 
 233   LPL Financial Holdings, Inc. (Capital Markets)   55 
 2,807   Lucid Group, Inc. (Automobile Components)(a)   16 
 779   LyondellBasell Industries N.V., Class – A (Chemicals)   74 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 503   M&T Bank Corp. (Banks)  $64 
 188   Manhattan Associates, Inc. (Software)(a)   37 
 1,882   Marathon Oil Corp. (Oil, Gas & Consumable Fuels)   50 
 1,251   Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)   189 
 116   MarketAxess Holdings, Inc. (Capital Markets)   25 
 772   Marriott International, Inc., Class – A (Hotels, Restaurants & Leisure)   152 
 1,474   Marsh & McLennan Cos., Inc. (Insurance)   281 
 180   Martin Marietta Materials, Inc. (Construction Materials)   74 
 2,509   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment)   136 
 619   Masco Corp. (Building Products)   33 
 2,499   Mastercard, Inc., Class – A (Financial Services)   989 
 844   Match Group, Inc. (Interactive Media & Services)(a)   33 
 741   McCormick & Co., Inc./MD (Food Products)   56 
 2,152   McDonald’s Corp. (Hotels, Restaurants & Leisure)   567 
 408   McKesson Corp. (Health Care Providers & Services)   177 
 7,485   Merck & Co., Inc. (Pharmaceuticals)   771 
 1,937   MetLife, Inc. (Insurance)   122 
 64   Mettler-Toledo International, Inc. (Life Sciences Tools & Services)(a)   71 
 916   MGM Resorts International (Hotels, Restaurants & Leisure)   34 
 1,594   Microchip Technology, Inc. (Semiconductors & Semiconductor Equipment)   124 
 3,294   Micron Technology, Inc. (Semiconductors & Semiconductor Equipment)   224 
 20,892   Microsoft Corp. (Software)   6,598 
 373   Mid-America Apartment Communities, Inc. (Residential REITs)   48 
 960   Moderna, Inc. (Biotechnology)(a)   99 
 144   Mohawk Industries, Inc. (Household Durables)(a)   12 
 171   Molina Healthcare, Inc. (Health Care Providers & Services)(a)   56 
 568   Molson Coors Beverage Co., Class – B (Beverages)   36 
 4,038   Mondelez International, Inc., Class – A (Food Products)   280 
 206   MongoDB, Inc. (IT Services)(a)   71 
 131   Monolithic Power Systems, Inc. (Semiconductors & Semiconductor Equipment)   61 
 2,279   Monster Beverage Corp. (Beverages)(a)   121 
 479   Moody’s Corp. (Capital Markets)   151 
 3,666   Morgan Stanley (Capital Markets)   299 
 504   Motorola Solutions, Inc. (Communications Equipment)   137 
 1,014   Nasdaq, Inc. (Capital Markets)   49 
 631   NetApp, Inc. (Technology Hardware, Storage & Peripherals)   48 
 1,312   Netflix, Inc. (Entertainment)(a)   495 
 289   Neurocrine Biosciences, Inc. (Biotechnology)(a)   33 
 2,354   Newmont Corp. (Metals & Mining)   87 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 1,230   News Corp., Class – A (Media)  $25 
 5,916   NextEra Energy, Inc. (Electric Utilities)   339 
 3,609   NIKE, Inc., Class – B (Textiles, Apparel & Luxury Goods)   345 
 1,317   NiSource, Inc. (Multi-Utilities)   33 
 154   Nordson Corp. (Machinery)   34 
 669   Norfolk Southern Corp. (Ground Transportation)   132 
 640   Northern Trust Corp. (Capital Markets)   44 
 422   Northrop Grumman Corp. (Aerospace & Defense)   186 
 739   Nucor Corp. (Metals & Mining)   116 
 7,320   NVIDIA Corp. (Semiconductors & Semiconductor Equipment)   3,184 
 10   NVR, Inc. (Household Durables)(a)   60 
 1,974   Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)   128 
 457   Okta, Inc. (IT Services)(a)   37 
 288   Old Dominion Freight Line, Inc. (Ground Transportation)   118 
 598   Omnicom Group, Inc. (Media)   45 
 1,257   ON Semiconductor Corp. (Semiconductors & Semiconductor Equipment)(a)   117 
 1,530   ONEOK, Inc. (Oil, Gas & Consumable Fuels)   97 
 4,780   Oracle Corp. (Software)   506 
 180   O’Reilly Automotive, Inc. (Specialty Retail)(a)   164 
 1,202   Otis Worldwide Corp. (Machinery)   97 
 730   Ovintiv, Inc. (Oil, Gas & Consumable Fuels)   35 
 250   Owens Corning (Building Products)   34 
 1,504   PACCAR, Inc. (Machinery)   128 
 243   Packaging Corp. of America (Containers & Packaging)   37 
 911   Palo Alto Networks, Inc. (Software)(a)   214 
 1,520   Paramount Global, Class – B (Media)   20 
 374   Parker-Hannifin Corp. (Machinery)   146 
 954   Paychex, Inc. (Professional Services)   110 
 162   Paycom Software, Inc. (Professional Services)   42 
 128   Paylocity Holding Corp. (Professional Services)(a)   23 
 3,128   PayPal Holdings, Inc. (Financial Services)(a)   183 
 4,058   PepsiCo, Inc. (Beverages)   688 
 16,612   Pfizer, Inc. (Pharmaceuticals)   551 
 5,692   PG&E Corp. (Electric Utilities)(a)   92 
 1,348   Phillips 66 (Oil, Gas & Consumable Fuels)   162 
 683   Pioneer Natural Resources Co. (Oil, Gas & Consumable Fuels)   157 
 117   Pool Corp. (Distributors)   42 
 693   PPG Industries, Inc. (Chemicals)   90 
 2,211   PPL Corp. (Electric Utilities)   52 
 723   Principal Financial Group, Inc. (Insurance)   52 
 2,700   Prologis, Inc. (Industrial REITs)   303 
 1,093   Prudential Financial, Inc. (Insurance)   104 
 337   PTC, Inc. (Software)(a)   48 
 1,468   Public Service Enterprise Group, Inc. (Multi-Utilities)   84 
 463   Public Storage (Specialized REITs)   122 
 667   PulteGroup, Inc. (Household Durables)   49 
 304   Qorvo, Inc. (Semiconductors & Semiconductor Equipment)(a)   29 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 3,328   QUALCOMM, Inc. (Semiconductors & Semiconductor Equipment)  $370 
 420   Quanta Services, Inc. (Construction & Engineering)   79 
 329   Quest Diagnostics, Inc. (Health Care Providers & Services)   40 
 609   Raymond James Financial, Inc. (Capital Markets)   61 
 1,998   Realty Income Corp. (Retail REITs)   100 
 563   Regency Centers Corp. (Retail REITs)   33 
 319   Regeneron Pharmaceuticals, Inc. (Biotechnology)(a)   263 
 2,806   Regions Financial Corp. (Banks)   48 
 175   Reliance Steel & Aluminum Co. (Metals & Mining)   46 
 158   Repligen Corp. (Life Sciences Tools & Services)(a)   25 
 671   Republic Services, Inc. (Commercial Services & Supplies)   96 
 430   ResMed, Inc. (Health Care Equipment & Supplies)   64 
 374   Revvity, Inc. (Life Sciences Tools & Services)   41 
 1,908   Rivian Automotive, Inc., Class – A (Automobile Components)(a)   46 
 298   Robert Half International, Inc. (Professional Services)   22 
 1,364   Robinhood Markets, Inc., Class – A (Capital Markets)(a)   13 
 334   Rockwell Automation, Inc. (Electrical Equipment)   95 
 369   Roku, Inc. (Entertainment)(a)   26 
 918   Rollins, Inc. (Commercial Services & Supplies)   34 
 311   Roper Technologies, Inc. (Software)   151 
 1,011   Ross Stores, Inc. (Specialty Retail)   114 
 677   Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)(a)   62 
 1,170   Royalty Pharma PLC, Class – A (Pharmaceuticals)   32 
 384   RPM International, Inc. (Chemicals)   36 
 4,280   RTX Corp. (Aerospace & Defense)   308 
 979   S&P Global, Inc. (Capital Markets)   358 
 2,880   Salesforce, Inc. (Software)(a)   584 
 322   SBA Communications Corp. (Specialized REITs)   64 
 4,276   Schlumberger N.V. (Energy Equipment & Services)   249 
 567   Seagate Technology Holdings PLC (Technology Hardware, Storage & Peripherals)   37 
 411   Seagen, Inc. (Biotechnology)(a)   87 
 371   Sealed Air Corp. (Containers & Packaging)   12 
 1,944   Sempra Energy (Multi-Utilities)   132 
 377   Sensata Technologies Holding PLC (Electrical Equipment)   14 
 597   ServiceNow, Inc. (Software)(a)   334 
 978   Simon Property Group, Inc. (Retail REITs)   106 
 2,495   Sirius XM Holdings, Inc. (Media)   11 
 468   Skyworks Solutions, Inc. (Semiconductors & Semiconductor Equipment)   46 
 3,340   Snap, Inc., Class – A (Interactive Media & Services)(a)   30 
 153   Snap-on, Inc. (Machinery)   39 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 765   Snowflake, Inc., Class – A (IT Services)(a)  $117 
 410   Southwest Airlines Co. (Passenger Airlines)   11 
 471   Splunk, Inc. (Software)(a)   69 
 459   Stanley Black & Decker, Inc. (Machinery)   38 
 3,360   Starbucks Corp. (Hotels, Restaurants & Leisure)   307 
 1,005   State Street Corp. (Capital Markets)   67 
 482   Steel Dynamics, Inc. (Metals & Mining)   52 
 293   STERIS PLC (Health Care Equipment & Supplies)   64 
 1,016   Stryker Corp. (Health Care Equipment & Supplies)   278 
 387   Sun Communities, Inc. (Residential REITs)   46 
 1,291   Synchrony Financial (Consumer Finance)   39 
 446   Synopsys, Inc. (Software)(a)   205 
 1,505   Sysco Corp. (Consumer Staples Distribution & Retail)   99 
 671   T. Rowe Price Group, Inc. (Capital Markets)   70 
 499   Take-Two Interactive Software, Inc. (Entertainment)(a)   70 
 647   Targa Resources Corp. (Oil, Gas & Consumable Fuels)   55 
 1,350   Target Corp. (Consumer Staples Distribution & Retail)   149 
 919   TE Connectivity Ltd. (Electronic Equipment, Instruments & Components)   114 
 142   Teledyne Technologies, Inc. (Electronic Equipment, Instruments & Components)(a)   58 
 143   Teleflex, Inc. (Health Care Equipment & Supplies)   28 
 456   Teradyne, Inc. (Semiconductors & Semiconductor Equipment)   46 
 8,449   Tesla, Inc. (Automobile Components)(a)   2,114 
 2,660   Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment)   423 
 18   Texas Pacific Land Corp. (Oil, Gas & Consumable Fuels)   33 
 619   Textron, Inc. (Aerospace & Defense)   48 
 2,030   The AES Corp. (Independent Power and Renewable Electricity Producers)   31 
 779   The Allstate Corp. (Insurance)   87 
 2,393   The Bank of New York Mellon Corp. (Capital Markets)   102 
 1,699   The Boeing Co. (Aerospace & Defense)(a)   326 
 677   The Carlyle Group, Inc. (Capital Markets)   20 
 4,507   The Charles Schwab Corp. (Capital Markets)   247 
 868   The Cigna Group (Health Care Providers & Services)   248 
 362   The Clorox Co. (Household Products)   47 
 12,223   The Coca-Cola Co. (Beverages)   684 
 146   The Cooper Cos., Inc. (Health Care Equipment & Supplies)   46 
 682   The Estee Lauder Cos., Inc. (Personal Care Products)   99 
 976   The Goldman Sachs Group, Inc. (Capital Markets)   316 
 929   The Hartford Financial Services Group, Inc. (Insurance)   66 
 428   The Hershey Co. (Food Products)   86 
 2,974   The Home Depot, Inc. (Specialty Retail)   899 
 1,159   The Interpublic Group of Cos., Inc. (Media)   33 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 313   The J.M. Smucker Co. (Food Products)  $38 
 2,602   The Kraft Heinz Co. (Food Products)   88 
 1,986   The Kroger Co. (Consumer Staples Distribution & Retail)   89 
 996   The Mosaic Co. (Chemicals)   35 
 1,163   The PNC Financial Services Group, Inc. (Banks)   143 
 6,937   The Procter & Gamble Co. (Household Products)   1,012 
 1,765   The Progressive Corp. (Insurance)   246 
 717   The Sherwin-Williams Co. (Chemicals)   183 
 3,181   The Southern Co. (Electric Utilities)   206 
 3,381   The TJX Cos., Inc. (Specialty Retail)   301 
 309   The Toro Co. (Machinery)   26 
 669   The Travelers Cos., Inc. (Insurance)   109 
 5,360   The Walt Disney Co. (Entertainment)(a)   434 
 3,573   The Williams Cos., Inc. (Oil, Gas & Consumable Fuels)   120 
 1,143   Thermo Fisher Scientific, Inc. (Life Sciences Tools & Services)   579 
 1,614   T-Mobile US, Inc. (Wireless Telecommunication Services)   226 
 927   Toast, Inc., Class – A (Financial Services)(a)   17 
 326   Tractor Supply Co. (Specialty Retail)   66 
 328   Tradeweb Markets, Inc., Class – A (Capital Markets)   26 
 160   TransDigm Group, Inc. (Aerospace & Defense)(a)   135 
 576   TransUnion (Professional Services)   41 
 756   Trimble, Inc. (Electronic Equipment, Instruments & Components)(a)   41 
 3,844   Truist Financial Corp. (Banks)   110 
 557   Twilio, Inc., Class – A (IT Services)(a)   33 
 126   Tyler Technologies, Inc. (Software)(a)   49 
 861   Tyson Foods, Inc., Class – A (Food Products)   43 
 4,519   U.S. Bancorp (Banks)   149 
 5,438   Uber Technologies, Inc. (Ground Transportation)(a)   250 
 1,007   UDR, Inc. (Residential REITs)   36 
 303   U-Haul Holding Co. (Ground Transportation)   16 
 1,134   UiPath, Inc., Class – A (Software)(a)   19 
 148   Ulta Beauty, Inc. (Specialty Retail)(a)   59 
 1,816   Union Pacific Corp. (Ground Transportation)   370 
 2,155   United Parcel Service, Inc., Class – B (Air Freight & Logistics)   336 
 203   United Rentals, Inc. (Trading Companies & Distributors)   90 
 135   United Therapeutics Corp. (Biotechnology)(a)   30 
 2,761   UnitedHealth Group, Inc. (Health Care Providers & Services)   1,392 
 700   Unity Software, Inc. (Software)(a)   22 
 797   V.F. Corp. (Textiles, Apparel & Luxury Goods)   14 
 131   Vail Resorts, Inc. (Hotels, Restaurants & Leisure)   29 
 1,077   Valero Energy Corp. (Oil, Gas & Consumable Fuels)   153 
 427   Veeva Systems, Inc., Class – A (Health Care Technology)(a)   87 
Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 1,208   Ventas, Inc. (Health Care REITs)  $51 
 281   VeriSign, Inc. (IT Services)(a)   57 
 422   Verisk Analytics, Inc. (Professional Services)   100 
 12,503   Verizon Communications, Inc. (Diversified Telecommunication Services)   405 
 760   Vertex Pharmaceuticals, Inc. (Biotechnology)(a)   264 
 3,592   Viatris, Inc. (Pharmaceuticals)   35 
 2,995   VICI Properties, Inc. (Specialized REITs)   87 
 4,775   Visa, Inc., Class – A (Financial Services)   1,098 
 1,037   Vistra Corp. (Independent Power and Renewable Electricity Producers)   34 
 690   Vmware, Inc., Class – A (Software)(a)   115 
 385   Vulcan Materials Co. (Construction Materials)   78 
 639   W.R. Berkley Corp. (Insurance)   41 
 131   W.W. Grainger, Inc. (Trading Companies & Distributors)   91 
 2,219   Walgreens Boots Alliance, Inc. (Consumer Staples Distribution & Retail)   49 
 4,379   Walmart, Inc. (Consumer Staples Distribution & Retail)   700 
 6,856   Warner Bros. Discovery, Inc. (Entertainment)(a)   74 
 1,208   Waste Management, Inc. (Commercial Services & Supplies)   184 
 175   Waters Corp. (Life Sciences Tools & Services)(a)   48 
 96   Watsco, Inc. (Trading Companies & Distributors)   36 
 547   Webster Financial Corp. (Banks)   22 
 940   WEC Energy Group, Inc. (Multi-Utilities)   76 
 10,851   Wells Fargo & Co. (Banks)   443 
 1,462   Welltower, Inc. (Health Care REITs)   120 
 217   West Pharmaceutical Services, Inc. (Life Sciences Tools & Services)   81 
 954   Western Digital Corp. (Technology Hardware, Storage & Peripherals)(a)   44 
 536   Westinghouse Air Brake Technologies Corp. (Machinery)   57 
 121   Westlake Corp. (Chemicals)   15 
 868   Westrock Co. (Containers & Packaging)   31 
 2,170   Weyerhaeuser Co. (Specialized REITs)   67 
 180   Whirlpool Corp. (Household Durables)   24 
 399   Wolfspeed, Inc. (Semiconductors & Semiconductor Equipment)(a)   15 
 599   Workday, Inc., Class – A (Software)(a)   129 
 681   WP Carey, Inc. (Diversified REITs)   37 
 328   Wynn Resorts Ltd. (Hotels, Restaurants & Leisure)   30 
 1,615   Xcel Energy, Inc. (Electric Utilities)   92 
 704   Xylem, Inc. (Machinery)   64 
 821   Yum! Brands, Inc. (Hotels, Restaurants & Leisure)   103 
 151   Zebra Technologies Corp. (Electronic Equipment, Instruments & Components)(a)   36 
 384   Zillow Group, Inc., Class – C (Real Estate Management & Development)(a)   18 
 613   Zimmer Biomet Holdings, Inc. (Health Care Equipment & Supplies)   69 
 1,351   Zoetis, Inc. (Pharmaceuticals)   235 

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks (continued)
     United States (continued)     
 710   Zoom Video Communications, Inc., Class – A (Software)(a)  $50 
 859   ZoomInfo Technologies, Inc. (Interactive Media & Services)(a)   14 
 259   Zscaler, Inc. (Software)(a)   40 
         106,421 
           
     Uruguay — 0.11%     
 136   MercadoLibre, Inc. (Broadline Retail)(a)   172 
           
     Total Common Stocks   156,704 
           
     Warrant — 0.00%     
     Canada — 0.00%     
 60   Constellation Software, Inc., 3/31/40 (Software)(a)(c)    
           
     Total Warrant    
           
     Investment Company — 0.29%     
 451,966   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)   452 
           
     Total Investment Company   452 
           
     Total Investments (cost $122,479) — 99.68%   157,156 
     Other assets in excess of liabilities — 0.32%   506 
           
     Net Assets – 100.00%  $157,662 

 

Amounts designated as “—" are $0 or have been rounded to $0.

 

(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt

REIT—Real Estate Investment Trust

 

 

HC CAPITAL TRUST

The ESG Growth Portfolio

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The ESG Growth Portfolio  Mellon Investments Corporation   Parametric Portfolio Associates, LLC   Total 
Common Stocks   99.39%   -    99.39%
Warrant   0.00%   -    0.00%
Investment Company   0.01%   0.28%   0.29%
Other Assets (Liabilities)   0.25%   0.07%   0.32%
     Total Net Assets   99.65%   0.35%   100.00%

 

Amounts designated “s "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*

 

Description  Number of
Contracts
   Expiration Date   Notional Amount
(000)
   Value and Unrealized Appreciation/ (Depreciation)
(000)
 
MSCI EAFE Index Future   2    12/15/23   $204   $(7)
             $204   $(7)
                           
  Total Unrealized Appreciation   $ 
  Total Unrealized Depreciation    (7)
  Total Net Unrealized Appreciation/(Depreciation)   $(7)
                                
* Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 99.63%
    Australia — 2.01%
 109   Ampol Ltd. (Oil, Gas & Consumable Fuels)  $2 
 1,657   ANZ Group Holdings Ltd. (Banks)   27 
 503   APA Group (Gas Utilities)   3 
 361   Aristocrat Leisure Ltd. (Hotels, Restaurants & Leisure)   9 
 125   ASX Ltd. (Capital Markets)   5 
 630   Aurizon Holdings Ltd. (Ground Transportation)   1 
 2,826   BHP Group Ltd. (Metals & Mining)   80 
 248   BlueScope Steel Ltd. (Metals & Mining)   3 
 785   Brambles Ltd. (Commercial Services & Supplies)   7 
 35   Cochlear Ltd. (Health Care Equipment & Supplies)   6 
 780   Coles Group Ltd. (Consumer Staples Distribution & Retail)   8 
 934   Commonwealth Bank of Australia (Banks)   61 
 306   Computershare Ltd. (Professional Services)   5 
 551   Dexus (Diversified REITs)   3 
 102   EBOS Group Ltd. (Health Care Providers & Services)   2 
 980   Endeavour Group Ltd. (Consumer Staples Distribution & Retail)   3 
 982   Fortescue Metals Group Ltd. (Metals & Mining)   13 
 976   Goodman Group (Industrial REITs)   13 
 115   IDP Education Ltd. (Diversified Consumer Services)   2 
 356   IGO Ltd. (Metals & Mining)   3 
 1,294   Insurance Australia Group Ltd. (Insurance)   5 
 364   Lendlease Corp. Ltd. (Real Estate Management & Development)(b)   2 
 209   Macquarie Group Ltd. (Capital Markets)   22 
 1,579   Medibank Pvt. Ltd. (Insurance)   3 
 96   Mineral Resources Ltd. (Metals & Mining)   4 
 2,016   Mirvac Group (Diversified REITs)   3 
 1,788   National Australia Bank Ltd. (Banks)   33 
 499   Newcrest Mining Ltd. (Metals & Mining)   8 
 709   Northern Star Resources Ltd. (Metals & Mining)   5 
 194   Orica Ltd. (Chemicals)   2 
 902   Origin Energy Ltd. (Electric Utilities)   5 
 1,631   Pilbara Minerals Ltd. (Metals & Mining)   4 
 503   Qantas Airways Ltd. (Passenger Airlines)(a)   2 
 889   QBE Insurance Group Ltd. (Insurance)   9 
 29   REA Group Ltd. (Interactive Media & Services)   3 
 114   Reece Ltd. (Trading Companies & Distributors)   1 
 209   Rio Tinto Ltd. (Metals & Mining)   15 
 1,699   Santos Ltd. (Oil, Gas & Consumable Fuels)(b)   9 
 3,327   Scentre Group (Retail REITs)   5 
 244   SEEK Ltd. (Interactive Media & Services)   3 
 239   Sonic Healthcare Ltd. (Health Care Providers & Services)   5 
 2,127   South32 Ltd. (Metals & Mining)   5 
 1,290   Stockland (Diversified REITs)   3 
 658   Suncorp Group Ltd. (Insurance)   6 
 2,429   Telstra Group Ltd. (Diversified Telecommunication Services)   6 
 912   The GPT Group (Diversified REITs)   2 
 1,446   The Lottery Corp. Ltd. (Hotels, Restaurants & Leisure)   4 
 1,743   Transurban Group (Transportation Infrastructure)  14 
 413   Treasury Wine Estates Ltd. (Beverages)   3 
 2,104   Vicinity Ltd. (Diversified REITs)(b)   2 
 117   Washington H Soul Pattinson & Co. Ltd. (Oil, Gas & Consumable Fuels)   2 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Australia (continued)     
 610   Wesfarmers Ltd. (Broadline Retail)  $21 
 1,998   Westpac Banking Corp. (Banks)   27 
 84   WiseTech Global Ltd. (Software)   3 
 1,080   Woodside Energy Group Ltd. (Oil, Gas & Consumable Fuels)   25 
 685   Woolworths Group Ltd. (Consumer Staples Distribution & Retail)   16 
         543 
           
     Austria — 0.06%     
 183   Erste Group Bank AG (Banks)(b)   5 
 74   OMV AG (Oil, Gas & Consumable Fuels)   4 
 47   Verbund AG (Electric Utilities)   4 
 57   voestalpine AG (Metals & Mining)   2 
         15 
           
     Belgium — 0.24%     
 91   Ageas SA/N.V. (Insurance)   4 
 470   Anheuser-Busch InBev SA/N.V. (Beverages)   25 
 16   D'ieteren Group (Distributors)   3 
 17   Elia Group SA/N.V. (Electric Utilities)(b)   2 
 51   Groupe Bruxelles Lambert N.V. (Financial Services)   4 
 149   KBC Group N.V. (Banks)   9 
 9   Sofina SA (Financial Services)   2 
 39   Solvay SA, Cla–s – A (Chemicals)   4 
 67   UCB SA (Pharmaceuticals)   5 
 108   Umicore SA (Chemicals)(b)   3 
 108   Warehouses De Pauw CVA (Industrial REITs)   3 
         64 
           
     Bermuda — 0.09%     
 209   Arch Capital Group Ltd. (Insurance)(a)   17 
 24   Everest Group Ltd. (Insurance)   9 
         26 
           
     Canada — 3.75%     
 276   Agnico Eagle Mines Ltd. (Metals & Mining)   13 
 100   Air Canada (Passenger Airlines)(a)(b)   1 
 343   Algonquin Power & Utilities Corp. (Multi-Utilities)   2 
 448   Alimentation Couche-Tard, Inc. (Consumer Staples Distribution & Retail)   23 
 144   AltaGas Ltd. (Gas Utilities)   3 
 353   ARC Resources Ltd. (Oil, Gas & Consumable Fuels)   6 
 404   Bank of Montreal (Banks)   34 
 997   Barrick Gold Corp. (Metals & Mining)   14 
 1   BCE, Inc. (Diversified Telecommunication Services)    
 196   Brookfield Asset Management Ltd., Cla–s – A (Capital Markets)   7 
 783   Brookfield Corp. (Capital Markets)   24 
 22   BRP, Inc. (Leisure Products)   2 
 240   Cameco Corp. (Oil, Gas & Consumable Fuels)   10 
 46   Canadian Apartment Properties REIT (Residential REITs)(b)   2 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Canada (continued)     
 515   Canadian Imperial Bank of Commerce (Banks)  $20 
 325   Canadian National Railway Co. (Ground Transportation)   35 
 623   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)   40 
 515   Canadian Pacific Kansas City Ltd. (Ground Transportation)   38 
 31   Canadian Tire Corp. Ltd., Class – A (Broadline Retail)   3 
 110   Canadian Utilities Ltd., Class – A (Multi-Utilities)   2 
 81   CCL Industries, Inc., Class – B (Containers & Packaging)(b)   3 
 794   Cenovus Energy, Inc. (Oil, Gas & Consumable Fuels)   17 
 114   CGI, Inc. (IT Services)(a)   11 
 11   Constellation Software, Inc. (Software)   23 
 162   Dollarama, Inc. (Broadline Retail)   11 
 204   Element Fleet Management Corp. (Financial Services)(b)   3 
 151   Emera, Inc. (Electric Utilities)   5 
 85   Empire Co. Ltd., Class – A (Consumer Staples Distribution & Retail)   2 
 1,209   Enbridge, Inc. (Oil, Gas & Consumable Fuels)   40 
 12   Fairfax Financial Holdings Ltd. (Insurance)   10 
 346   First Quantum Minerals Ltd. (Metals & Mining)   8 
 20   FirstService Corp. (Real Estate Management & Development)   3 
 277   Fortis, Inc. (Electric Utilities)   11 
 114   Franco-Nevada Corp. (Metals & Mining)   15 
 40   George Weston Ltd. (Consumer Staples Distribution & Retail)   4 
 127   GFL Environmental, Inc. (Commercial Services & Supplies)   4 
 97   Gildan Activewear, Inc. (Textiles, Apparel & Luxury Goods)   3 
 157   Great-West Lifeco, Inc. (Insurance)   4 
 166   Hydro One Ltd. (Electric Utilities)(b)   4 
 53   iA Financial Corp., Inc. (Insurance)   3 
 50   IGM Financial, Inc. (Capital Markets)   1 
 120   Imperial Oil Ltd. (Oil, Gas & Consumable Fuels)   7 
 100   Intact Financial Corp. (Insurance)(b)   15 
 339   Ivanhoe Mines Ltd. (Metals & Mining)(a)   3 
 121   Keyera Corp. (Oil, Gas & Consumable Fuels)   3 
 776   Kinross Gold Corp. (Metals & Mining)   4 
 87   Loblaw Cos. Ltd. (Consumer Staples Distribution & Retail)   7 
 65   Lululemon Athletica, Inc. (Textiles, Apparel & Luxury Goods)(a)   25 
 340   Lundin Mining Corp. (Metals & Mining)(b)   3 
 150   Magna International, Inc. (Automobile Components)   8 
 1,024   Manulife Financial Corp. (Insurance)   19 
 127   Metro, Inc. (Consumer Staples Distribution & Retail)   7 
 185   National Bank of Canada (Banks)   12 
 158   Northland Power, Inc. (Independent Power and Renewable Electricity Producers)   3 
 283   Nutrien Ltd. (Chemicals)   17 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Canada (continued)     
 31   Nuvei Corp. (Financial Services)  $ 
 42   Onex Corp. (Financial Services)   2 
 151   Open Text Corp. (Software)(b)   5 
 198   Pan American Silver Corp. (Metals & Mining)   3 
 80   Parkland Corp. (Oil, Gas & Consumable Fuels)(b)   2 
 333   Pembina Pipeline Corp. (Oil, Gas & Consumable Fuels)   10 
 328   Power Corp. of Canada (Insurance)   8 
 78   Quebecor, Inc., Class – B (Media)   2 
 100   RB Global, Inc. (Commercial Services & Supplies)   6 
 169   Restaurant Brands International, Inc. (Hotels, Restaurants & Leisure)   11 
 72   RioCan Real Estate Investment Trust (Diversified REITs)(b)   1 
 185   Rogers Communications, Inc., Class – B (Wireless Telecommunication Services)   7 
 789   Royal Bank of Canada (Banks)   70 
 141   Saputo, Inc. (Food Products)(b)   3 
 670   Shopify, Inc., Class - A (IT Services)(a)   37 
 56   Stantec, Inc. (Construction & Engineering)   4 
 328   Sun Life Financial, Inc. (Insurance)   16 
 742   Suncor Energy, Inc. (Oil, Gas & Consumable Fuels)   26 
 567   TC Energy Corp. (Oil, Gas & Consumable Fuels)   20 
 258   Teck Resources Ltd., Class - B (Metals & Mining)   11 
 184   TELUS Corp. (Diversified Telecommunication Services)   3 
 43   TFI International, Inc. (Ground Transportation)   6 
 679   The Bank of Nova Scotia (Banks)   30 
 42   The Descartes Systems Group, Inc. (Software)(a)   3 
 1,040   The Toronto-Dominion Bank (Banks)   63 
 90   Thomson Reuters Corp. (Professional Services)   11 
 140   TMX Group Ltd. (Capital Markets)   3 
 47   Toromont Industries Ltd. (Trading Companies & Distributors)   4 
 177   Tourmaline Oil Corp. (Oil, Gas & Consumable Fuels)   9 
 145   Waste Connections, Inc. (Commercial Services & Supplies)   19 
 37   West Fraser Timber Co. Ltd. (Paper & Forest Products)   3 
 271   Wheaton Precious Metals Corp. (Metals & Mining)   11 
 73   WSP Global, Inc. (Construction & Engineering)   10 
         1,016 
           
     Cayman Islands — 0.01%     
 1,200   Sands China Ltd. (Hotels, Restaurants & Leisure)(a)   4 
           
     Chile — 0.02%     
 254   Antofagasta PLC (Metals & Mining)   4 
           
     Denmark — 0.33%     
 2   A.P. Moll–r - Maersk A/S, Cla–s - A (Marine Transportation)   4 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Denmark (continued)     
 2   A.P. Moll–r - Maersk A/S, Cla–s - B (Marine Transportation)  $4 
 54   Carlsberg A/S, Cla–s - B (Beverages)   7 
 55   Chr Hansen Holding A/S (Chemicals)(b)   3 
 80   Coloplast A/S, Class - B (Health Care Equipment & Supplies)   8 
 370   Danske Bank A/S (Banks)   9 
 51   Demant A/S (Health Care Equipment & Supplies)(a)   2 
 103   DSV A/S (Air Freight & Logistics)   19 
 130   Novozymes A/S, B shares (Chemicals)   5 
 114   Orsted A/S (Electric Utilities)(b)   6 
 50   Pandora A/S (Textiles, Apparel & Luxury Goods)   5 
 5   ROCKWOOL A/S, Class - B (Building Products)   1 
 192   Tryg A/S (Insurance)   4 
 560   Vestas Wind Systems A/S (Electrical Equipment)(a)   12 
         89 
           
     Finland — 0.33%     
 73   Elisa Oyj (Diversified Telecommunication Services)   3 
 234   Fortum Oyj (Electric Utilities)   3 
 138   Kesko Oyj, Class - B (Consumer Staples Distribution & Retail)   2 
 202   Kone Oyj, Class - B (Machinery)   9 
 372   Metso Oyj (Machinery)(b)   4 
 249   Neste Oyj (Oil, Gas & Consumable Fuels)^   8 
 3,035   Nokia Oyj (Communications Equipment)   11 
 1,851   Nordea Bank Abp (Banks)   20 
 271   Sampo Oyj, A Shares (Insurance)   12 
 299   Stora Enso Oyj, Registered Shares (Paper & Forest Products)   4 
 314   UPM-Kymmene Oyj (Paper & Forest Products)   11 
 235   Wartsila Oyj Abp (Machinery)   3 
         90 
           
     France — 2.98%     
 84   Accor SA (Hotels, Restaurants & Leisure)   3 
 16   Aeroports de Paris (Transportation Infrastructure)   2 
 298   Air Liquide SA (Chemicals)   50 
 181   Alstom SA (Machinery)   4 
 30   Amundi SA (Capital Markets)   2 
 31   Arkema SA (Chemicals)   3 
 1,029   AXA SA (Insurance)   31 
 22   BioMerieux (Health Care Equipment & Supplies)   2 
 591   BNP Paribas SA (Banks)   38 
 481   Bollore SE (Entertainment)   3 
 107   Bouygues SA (Construction & Engineering)   4 
 163   Bureau Veritas SA (Professional Services)(b)   4 
 90   Capgemini SE (IT Services)   16 
 320   Carrefour SA (Consumer Staples Distribution & Retail)(b)   5 
 257   Cie de Saint-Gobain (Building Products)   15 
 387   Cie Generale des Etablissements Michelin SCA (Automobile Components)   12 
 27   Covivio SA (Diversified REITs)   1 
 642   Credit Agricole SA (Banks)   8 
 365   Danone SA (Food Products)   20 
 379   Dassault Systemes SE (Software)   14 
 133   Edenred (Financial Services)   8 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     France (continued)     
 43   Eiffage SA (Construction & Engineering)(b)  $4 
 1,038   Engie SA (Multi-Utilities)   16 
 166   EssilorLuxottica SA (Health Care Equipment & Supplies)   29 
 23   Eurazeo SE (Financial Services)   1 
 23   Gecina SA (Office REITs)(b)   2 
 218   Getlink SE (Transportation Infrastructure)   3 
 18   Hermes International SCA (Textiles, Apparel & Luxury Goods)   33 
 17   Ipsen SA (Pharmaceuticals)   2 
 40   Kering SA (Textiles, Apparel & Luxury Goods)   18 
 138   Klepierre SA (Retail REITs)   3 
 59   La Francaise des Jeux SAEM (Hotels, Restaurants & Leisure)   2 
 153   Legrand SA (Electrical Equipment)   14 
 134   L’Oreal SA (Personal Care Products)   56 
 155   LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)   118 
 1,041   Orange SA (Diversified Telecommunication Services)(b)   12 
 118   Pernod Ricard SA (Beverages)   20 
 136   Publicis Groupe SA (Media)   10 
 17   Remy Cointreau SA (Beverages)^   2 
 99   Renault SA (Automobile Components)   4 
 309   Schneider Electric SE (Electrical Equipment)(b)   51 
 16   SEB SA (Household Durables)   1 
 426   Societe Generale SA (Banks)   10 
 54   Sodexo SA (Hotels, Restaurants & Leisure)   6 
 35   Teleperformance (Professional Services)   4 
 1,265   TotalEnergies SE (Oil, Gas & Consumable Fuels)   84 
 66   Unibail-Rodamco-Westfield (Retail REITs)(a)   3 
 119   Valeo (Automobile Components)   2 
 376   Veolia Environnement SA (Multi-Utilities)   11 
 299   Vinci SA (Construction & Engineering)   33 
 387   Vivendi SE (Media)   3 
 15   Wendel SE (Financial Services)   1 
 148   Worldline SA (Financial Services)(a)   4 
         807 
           
     Germany — 2.02%     
 90   adidas AG (Textiles, Apparel & Luxury Goods)   16 
 225   Allianz SE, Registered Shares (Insurance)   54 
 514   BASF SE (Chemicals)   23 
 174   Bayerische Motoren Werke AG (Automobile Components)   18 
 34   Bayerische Motoren Werke AG, Preference Shares (Automobiles)   3 
 45   Bechtle AG (IT Services)   2 
 81   Brenntag SE (Trading Companies & Distributors)   6 
 23   Carl Zeiss Meditec AG, Class – BR (Health Care Equipment & Supplies)   2 
 632   Commerzbank AG (Banks)   7 
 57   Continental AG (Automobile Components)   4 
 107   Covestro AG (Chemicals)(a)   6 
 273   Daimler Truck Holding AG (Machinery)   9 
 111   Delivery Hero SE (Hotels, Restaurants & Leisure)(a)   3 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Germany (continued)     
 1,061   Deutsche Bank AG, Registered Shares (Capital Markets)  $12 
 108   Deutsche Boerse AG (Capital Markets)   19 
 304   Deutsche Lufthansa AG, Registered Shares (Passenger Airlines)(a)(b)   2 
 1,827   Deutsche Telekom AG (Diversified Telecommunication Services)(b)   38 
 540   DHL Group (Air Freight & Logistics)   22 
 65   Dr. Ing. H.c. F. Porsche AG, Preference Shares (Automobiles)(b)   6 
 1,218   E.ON SE (Multi-Utilities)   14 
 105   Evonik Industries AG (Chemicals)   2 
 108   Fresenius Medical Care AG & Co. KgaA (Health Care Providers & Services)   5 
 61   GEA Group AG (Machinery)   2 
 37   Hannover Rueck SE (Insurance)   8 
 76   Heidelberg Materials AG (Construction Materials)   6 
 88   HelloFresh SE (Consumer Staples Distribution & Retail)(a)   3 
 70   Henkel AG & Co. KgaA (Household Products)   4 
 75   Henkel AG & Co. KgaA, Preference Shares (Household Products)   5 
 748   Infineon Technologies AG (Semiconductors & Semiconductor Equipment)(b)   25 
 41   Knorr-Bremse AG (Machinery)   3 
 41   LEG Immobilien SE (Real Estate Management & Development)(a)   3 
 459   Mercedes-Benz Group AG (Automobile Components)   32 
 34   MTU Aero Engines AG (Aerospace & Defense)   6 
 76   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares (Insurance)   30 
 35   Nemetschek SE (Software)   2 
 79   Porsche Automobil Holding SE, Preference Shares (Automobile Components)   4 
 61   Puma SE (Textiles, Apparel & Luxury Goods)(b)   4 
 3   Rational AG (Machinery)   2 
 366   RWE AG (Independent Power and Renewable Electricity Producers)   14 
 580   SAP SE (Software)   75 
 49   Scout24 SE (Interactive Media & Services)   3 
 305   Siemens Energy AG (Electrical Equipment)(a)(b)   4 
 81   Symrise AG (Chemicals)(b)   8 
 30   Talanx AG (Insurance)   2 
 627   Telefonica Deutschland Holding AG (Diversified Telecommunication Services)   1 
 16   Volkswagen AG (Automobiles)   2 
 117   Volkswagen AG, Preference Shares (Automobile Components)   13 
 423   Vonovia SE (Real Estate Management & Development)   10 
 10   Wacker Chemie AG (Chemicals)   1 
 121   Zalando SE (Specialty Retail)(a)   3 
         548 
           
     Hong Kong — 0.76%     
 6,492   AIA Group Ltd. (Insurance)   54 
 2,000   BOC Hong Kong Holdings Ltd. (Banks)   5 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Hong Kong (continued)     
 1,100   Budweiser Brewing Co. APAC Ltd. (Beverages)(b)  $2 
 1,000   CK Asset Holdings Ltd. (Real Estate Management & Development)   5 
 1,500   CK Hutchison Holdings Ltd. (Industrial Conglomerates)   8 
 500   CK Infrastructure Holdings Ltd. (Electric Utilities)   2 
 1,000   CLP Holdings Ltd. (Electric Utilities)   7 
 1,000   ESR Group Ltd. (Real Estate Management & Development)   1 
 30   Futu Holdings Ltd., ADR (Capital Markets)(a)   2 
 1,000   Galaxy Entertainment Group Ltd. (Hotels, Restaurants & Leisure)   6 
 1,000   Hang Lung Properties Ltd. (Real Estate Management & Development)   1 
 400   Hang Seng Bank Ltd. (Banks)   5 
 1,000   Henderson Land Development Co. Ltd. (Real Estate Management & Development)   3 
 2,000   HKT Trust & HKT Ltd. (Diversified Telecommunication Services)(b)   2 
 5,985   Hong Kong & China Gas Co. Ltd. (Gas Utilities)   4 
 723   Hong Kong Exchanges & Clearing Ltd. (Capital Markets)   28 
 700   Hongkong Land Holdings Ltd. (Real Estate Management & Development)   2 
 100   Jardine Matheson Holdings Ltd. (Industrial Conglomerates)   5 
 1,566   Link REIT (Retail REITs)   8 
 1,000   MTR Corp. Ltd. (Ground Transportation)   4 
 1,250   New World Development Co. Ltd. (Real Estate Management & Development)   2 
 779   Power Assets Holdings Ltd. (Electric Utilities)   4 
 1,481   Prudential PLC (Insurance)   16 
 2,129   Sino Land Co. Ltd. (Real Estate Management & Development)   2 
 1,000   SITC International Holdings Co. Ltd. (Marine Transportation)   2 
 1,000   Sun Hung Kai Properties Ltd. (Real Estate Management & Development)   11 
 139   Swire Pacific Ltd., Class – A (Real Estate Management & Development)   1 
 600   Swire Properties Ltd. (Real Estate Management & Development)   1 
 757   Techtronic Industries Co. Ltd. (Machinery)   7 
 4,728   WH Group Ltd. (Food Products)   2 
 1,000   Wharf Real Estate Investment Co. Ltd. (Real Estate Management & Development)   4 
 1,000   Xinyi Glass Holdings Ltd. (Building Products)   1 
         207 
           
     Ireland (Republic of) — 1.12%     
 353   Accenture PLC, Class – A (IT Services)   109 
 92   AerCap Holdings N.V. (Trading Companies & Distributors)(a)   6 
 770   AIB Group PLC (Banks)   3 
 50   Allegion PLC (Building Products)   5 
 162   Aptiv PLC (Automobile Components)(a)   16 
 599   Bank of Ireland Group PLC (Banks)   6 
 421   CRH PLC (Construction Materials)   23 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Ireland (Republic of) (continued)     
 504   Experian PLC (Professional Services)  $16 
 100   Flutter Entertainment PLC (Hotels, Restaurants & Leisure)(a)   16 
 259   James Hardie Industries PLC (Construction Materials)(a)   7 
 83   Kingspan Group PLC (Building Products)   6 
 747   Medtronic PLC (Health Care Equipment & Supplies)   60 
 130   Smurfit Kappa Group PLC (Containers & Packaging)(b)   4 
 130   Trane Technologies PLC (Building Products)   26 
         303 
           
     Israel — 0.19%     
 16   Azrieli Group Ltd. (Real Estate Management & Development)   1 
 672   Bank Hapoalim BM (Banks)   6 
 842   Bank Leumi Le-Israel BM (Banks)   7 
 56   Check Point Software Technologies Ltd. (Software)(a)   6 
 23   CyberArk Software Ltd. (Software)(a)   4 
 56   Global-e Online Ltd. (Broadline Retail)(a)   2 
 362   ICL Group Ltd. (Chemicals)   2 
    Isracard Ltd. (Consumer Finance)    
 727   Israel Discount Bank Ltd., Class – A (Banks)   4 
 97   Mizrahi Tefahot Bank Ltd. (Banks)   4 
 13   Monday.com Ltd. (Software)(a)   2 
 34   Nice Ltd. (Software)(a)   6 
 33   SolarEdge Technologies, Inc. (Semiconductors & Semiconductor Equipment)(a)   4 
 28   Wix.com Ltd. (IT Services)(a)   3 
         51 
           
     Italy — 0.67%     
 62   Amplifon SpA (Health Care Providers & Services)   2 
 615   Assicurazioni Generali SpA (Insurance)   13 
 265   Davide Campari-Milano N.V., Class – M (Beverages)   3 
 13   DiaSorin SpA (Health Care Equipment & Supplies)   1 
 4,456   Enel SpA (Electric Utilities)(b)   28 
 1,359   Eni SpA (Oil, Gas & Consumable Fuels)   22 
 73   Ferrari N.V. (Automobiles)   22 
 344   FinecoBank Banca Fineco SpA (Banks)   4 
 208   Infrastrutture Wireless Italiane SpA (Diversified Telecommunication Services)(b)   2 
 8,539   Intesa Sanpaolo SpA (Banks)(b)   22 
 318   Mediobanca Banca di Credito Finanziario SpA (Banks)   4 
 123   Moncler SpA (Textiles, Apparel & Luxury Goods)   7 
 360   Nexi SpA (Professional Services)(a)   2 
 367   Poste Italiane SpA (Insurance)   4 
 133   Prysmian SpA (Electrical Equipment)   5 
 49   Recordati Industria Chimica e Farmaceutica SpA (Pharmaceuticals)   2 
 1,265   Snam SpA (Gas Utilities)   6 
 4,827   Telecom Italia SpA/Milano (Diversified Telecommunication Services)(a)   2 
 946   Terna – Rete Elettrica Nazionale (Electric Utilities)   7 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Italy (continued)     
 1,054   UniCredit SpA (Banks)  $25 
         183 
           
     Japan — 6.27%     
 400   Advantest Corp. (Semiconductors & Semiconductor Equipment)(b)   11 
 400   Aeon Co. Ltd. (Consumer Staples Distribution & Retail)   8 
 100   AGC, Inc. (Building Products)   4 
 100   Aisin Corp. (Automobile Components)   4 
 100   ANA Holdings, Inc. (Passenger Airlines)(a)(b)   2 
 100   Asahi Intecc Co. Ltd. (Health Care Equipment & Supplies)   2 
 800   Asahi Kasei Corp. (Chemicals)   5 
 100   Azbil Corp. (Electronic Equipment, Instruments & Components)   3 
 300   Bandai Namco Holdings, Inc. (Leisure Products)   6 
 100   BayCurrent Consulting, Inc. (Professional Services)   3 
 333   Bridgestone Corp. (Automobile Components)   13 
 100   Brother Industries Ltd. (Technology Hardware, Storage & Peripherals)   2 
 600   Canon, Inc. (Technology Hardware, Storage & Peripherals)   14 
 100   Capcom Co. Ltd. (Entertainment)   4 
 500   Central Japan Railway Co. (Ground Transportation)   12 
 400   Chubu Electric Power Co., Inc. (Electric Utilities)   5 
 700   Concordia Financial Group Ltd. (Banks)   3 
 300   CyberAgent, Inc. (Media)   2 
 100   Dai Nippon Printing Co. Ltd. (Commercial Services & Supplies)   3 
 190   Daifuku Co. Ltd. (Machinery)   4 
 586   Dai-ichi Life Holdings, Inc. (Insurance)   12 
 120   Daikin Industries Ltd. (Building Products)   19 
 300   Daiwa House Industry Co. Ltd. (Real Estate Management & Development)   8 
 1   Daiwa House REIT Investment Corp. (Diversified REITs)   2 
 900   Daiwa Securities Group, Inc. (Capital Markets)   5 
 1,024   Denso Corp. (Automobile Components)   16 
 100   Dentsu Group, Inc. (Media)   3 
 5   Disco Corp. (Semiconductors & Semiconductor Equipment)   1 
 200   East Japan Railway Co. (Ground Transportation)   11 
 1,700   ENEOS Holdings, Inc. (Oil, Gas & Consumable Fuels)   7 
 545   FANUC Corp. (Machinery)   14 
 100   Fast Retailing Co. Ltd. (Specialty Retail)   22 
 100   Fuji Electric Co. Ltd. (Electrical Equipment)   5 
 200   FUJIFILM Holdings Corp. (Technology Hardware, Storage & Peripherals)   12 
 152   Fujitsu Ltd. (IT Services)(b)   18 
 3   GLP J-Reit (Industrial REITs)(b)   3 
 100   Hakuhodo DY Holdings, Inc. (Media)   1 
 100   Hamamatsu Photonics KK (Electronic Equipment, Instruments & Components)   4 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 100   Hankyu Hanshin Holdings, Inc. (Ground Transportation)  $3 
 27   Hikari Tsushin, Inc. (Specialty Retail)   4 
 42   Hirose Electric Co. Ltd. (Electronic Equipment, Instruments & Components)   5 
 100   Hitachi Construction Machinery Co. Ltd. (Machinery)   3 
 2,700   Honda Motor Co. Ltd. (Automobile Components)   30 
 100   Hoshizaki Corp. (Machinery)   3 
 200   Hoya Corp. (Health Care Equipment & Supplies)   20 
 200   Hulic Co. Ltd. (Real Estate Management & Development)(b)   2 
 100   Ibiden Co. Ltd. (Electronic Equipment, Instruments & Components)   5 
 52   Idemitsu Kosan Co. Ltd. (Oil, Gas & Consumable Fuels)(b)   1 
 100   Iida Group Holdings Co. Ltd. (Household Durables)   2 
 600   Inpex Corp. (Oil, Gas & Consumable Fuels)   9 
 300   Isuzu Motors Ltd. (Automobile Components)   4 
 700   ITOCHU Corp. (Trading Companies & Distributors)   25 
 48   Japan Airlines Co. Ltd. (Passenger Airlines)(b)   1 
 300   Japan Exchange Group, Inc. (Capital Markets)   6 
 4   Japan Metropolitan Fund Invest (Retail REITs)   3 
 800   Japan Post Bank Co. Ltd. (Banks)(b)   7 
 1,400   Japan Post Holdings Co. Ltd. (Insurance)(b)   11 
 100   Japan Post Insurance Co. Ltd. (Insurance)(b)   2 
 1   Japan Real Estate Investment Corp. (Office REITs)   4 
 300   JFE Holdings, Inc. (Metals & Mining)(b)   4 
 200   Kajima Corp. (Construction & Engineering)   3 
 227   Kao Corp. (Personal Care Products)   8 
 100   Kawasaki Kisen Kaisha Ltd. (Marine Transportation)   3 
 874   KDDI Corp. (Wireless Telecommunication Services)   27 
 32   Keio Corp. (Ground Transportation)   1 
 100   Keisei Electric Railway Co. Ltd. (Ground Transportation)   3 
 134   Keyence Corp. (Electronic Equipment, Instruments & Components)   51 
 100   Kikkoman Corp. (Food Products)   5 
 100   Kintetsu Group Holdings Co. Ltd. (Ground Transportation)   3 
 500   Kirin Holdings Co. Ltd. (Beverages)   7 
 100   Kobe Bussan Co. Ltd. (Consumer Staples Distribution & Retail)   2 
 100   Koei Tecmo Holdings Co. Ltd. (Entertainment)   1 
 168   Koito Manufacturing Co. Ltd. (Automobile Components)   3 
 500   Komatsu Ltd. (Machinery)   13 
 100   Konami Group Corp. (Entertainment)   5 
 43   Kose Corp. (Personal Care Products)   3 
 600   Kubota Corp. (Machinery)   9 
 100   Kurita Water Industries Ltd. (Machinery)   3 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 200   Kyocera Corp. (Electronic Equipment, Instruments & Components)  $10 
 200   Kyowa Kirin Co. Ltd. (Pharmaceuticals)   3 
 200   Lixil Corp. (Building Products)   2 
 300   M3, Inc. (Health Care Technology)   5 
 100   Makita Corp. (Machinery)   2 
 800   Marubeni Corp. (Trading Companies & Distributors)   12 
 300   MatsukiyoCocokara & Co. (Consumer Staples Distribution & Retail)   5 
 300   Mazda Motor Corp. (Automobile Components)   3 
 200   MINEBEA MITSUMI, Inc. (Machinery)   3 
 200   MISUMI Group, Inc. (Machinery)   3 
 700   Mitsubishi Corp. (Trading Companies & Distributors)   33 
 1,100   Mitsubishi Electric Corp. (Electrical Equipment)   14 
 600   Mitsubishi Estate Co. Ltd. (Real Estate Management & Development)   8 
 500   Mitsubishi HC Capital, Inc. (Financial Services)   3 
 200   Mitsubishi Heavy Industries Ltd. (Machinery)   11 
 5,979   Mitsubishi UFJ Financial Group, Inc. (Banks)   52 
 800   Mitsui & Co. Ltd. (Trading Companies & Distributors)   29 
 100   Mitsui Chemicals, Inc. (Chemicals)   3 
 500   Mitsui Fudosan Co. Ltd. (Real Estate Management & Development)   11 
 200   Mitsui O.S.K. Lines Ltd. (Marine Transportation)   5 
 1,410   Mizuho Financial Group, Inc. (Banks)   24 
 200   MonotaRO Co. Ltd. (Trading Companies & Distributors)   2 
 230   MS&AD Insurance Group Holdings, Inc. (Insurance)   8 
 1,011   Murata Manufacturing Co. Ltd. (Electronic Equipment, Instruments & Components)   18 
 130   NEC Corp. (IT Services)   7 
 200   Nexon Co. Ltd. (Entertainment)   4 
 100   NGK Insulators Ltd. (Machinery)   1 
 200   NIDEC Corp. (Electrical Equipment)   9 
 650   Nintendo Co. Ltd. (Entertainment)   27 
 1   Nippon Building Fund, Inc. (Diversified REITs)   4 
 600   Nippon Paint Holdings Co. Ltd. (Chemicals)(b)   4 
 1   Nippon Prologis REIT, Inc. (Industrial REITs)(b)   2 
 100   Nippon Sanso Holdings Corp. (Chemicals)   2 
 500   Nippon Steel Corp. (Metals & Mining)(b)   12 
 17,950   Nippon Telegraph & Telephone Corp. (Diversified Telecommunication Services)   21 
 300   Nippon Yusen KK (Marine Transportation)   8 
 1,300   Nissan Motor Co. Ltd. (Automobile Components)   6 
 100   Nitto Denko Corp. (Chemicals)   7 
 2,000   Nomura Holdings, Inc. (Capital Markets)   8 
 100   Nomura Real Estate Holdings, Inc. (Real Estate Management & Development)   3 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 3   Nomura Real Estate Master Fund, Inc. (Diversified REITs)  $3 
 235   Nomura Research Institute Ltd. (IT Services)   6 
 400   NTT Data Group Corp. (IT Services)   5 
 400   Obayashi Corp. (Construction & Engineering)   4 
 200   Odakyu Electric Railway Co. Ltd. (Ground Transportation)   3 
 500   Oji Holdings Corp. (Paper & Forest Products)   2 
 700   Olympus Corp. (Health Care Equipment & Supplies)   9 
 147   Omron Corp. (Electronic Equipment, Instruments & Components)   7 
 49   Oracle Corp. Japan (Software)   4 
 600   Oriental Land Co. Ltd. (Hotels, Restaurants & Leisure)   20 
 700   ORIX Corp. (Financial Services)   13 
 200   Osaka Gas Co. Ltd. (Gas Utilities)   3 
 34   Otsuka Corp. (IT Services)   1 
 168   Pan Pacific International Holdings Corp. (Broadline Retail)   4 
 1,300   Panasonic Holdings Corp. (Household Durables)   15 
 1,000   Persol Holdings Co. Ltd. (Professional Services)(b)   2 
 1,000   Rakuten Group, Inc. (Broadline Retail)(b)   4 
 800   Recruit Holdings Co. Ltd. (Professional Services)   24 
 700   Renesas Electronics Corp. (Semiconductors & Semiconductor Equipment)(a)(b)   11 
 1,300   Resona Holdings, Inc. (Banks)   7 
 400   Ricoh Co. Ltd. (Technology Hardware, Storage & Peripherals)   3 
 84   Rohm Co. Ltd. (Semiconductors & Semiconductor Equipment)   2 
 200   SBI Holdings, Inc. (Capital Markets)   4 
 100   SCSK Corp. (IT Services)   2 
 100   Secom Co. Ltd. (Commercial Services & Supplies)   7 
 200   Seiko Epson Corp. (Technology Hardware, Storage & Peripherals)   3 
 200   Sekisui Chemical Co. Ltd. (Household Durables)   3 
 300   Sekisui House Ltd. (Household Durables)   6 
 467   Seven & I Holdings Co. Ltd. (Consumer Staples Distribution & Retail)   18 
 200   SG Holdings Co. Ltd. (Air Freight & Logistics)   3 
 300   Sharp Corp. (Household Durables)(b)   2 
 300   Shimizu Corp. (Construction & Engineering)   2 
 1,000   Shin-Etsu Chemical Co. Ltd. (Chemicals)   29 
 300   Shizuoka Financial Group, Inc. (Banks)   2 
 1,700   SoftBank Corp. (Wireless Telecommunication Services)   19 
 618   SoftBank Group Corp. (Wireless Telecommunication Services)   26 
 200   Sompo Holdings, Inc. (Insurance)   9 
 700   Sony Group Corp. (Household Durables)   58 
 100   Square Enix Holdings Co. Ltd. (Entertainment)   3 
 400   Subaru Corp. (Automobile Components)   8 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 200   SUMCO Corp. (Semiconductors & Semiconductor Equipment)(b)  $3 
 600   Sumitomo Corp. (Trading Companies & Distributors)   12 
 400   Sumitomo Electric Industries Ltd. (Automobile Components)   5 
 100   Sumitomo Metal Mining Co. Ltd. (Metals & Mining)   3 
 700   Sumitomo Mitsui Financial Group, Inc. (Banks)   34 
 223   Sumitomo Mitsui Trust Holdings, Inc. (Banks)   8 
 200   Sumitomo Realty & Development Co. Ltd. (Real Estate Management & Development)   5 
 100   Suntory Beverage & Food Ltd. (Beverages)   3 
 200   Suzuki Motor Corp. (Automobile Components)   8 
 300   T&D Holdings, Inc. (Insurance)   5 
 100   Taisei Corp. (Construction & Engineering)   4 
 200   TDK Corp. (Electronic Equipment, Instruments & Components)   7 
 400   Terumo Corp. (Health Care Equipment & Supplies)   11 
 400   The Chiba Bank Ltd. (Banks)   3 
 400   The Kansai Electric Power Co., Inc. (Electric Utilities)   6 
 100   TIS, Inc. (IT Services)   2 
 145   Tobu Railway Co. Ltd. (Ground Transportation)   4 
 45   Toho Co. Ltd. (Entertainment)   2 
 993   Tokio Marine Holdings, Inc. (Insurance)   23 
 900   Tokyo Electric Power Co. Holdings, Inc. (Electric Utilities)(a)   4 
 300   Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)   41 
 200   Tokyo Gas Co. Ltd. (Gas Utilities)   5 
 300   Tokyu Corp. (Ground Transportation)   3 
 100   TOPPAN Holdings, Inc. (Commercial Services & Supplies)   2 
 800   Toray Industries, Inc. (Chemicals)   4 
 200   Toshiba Corp. (Industrial Conglomerates)(a)   6 
 100   Tosoh Corp. (Chemicals)   1 
 100   TOTO Ltd. (Building Products)   3 
 100   Toyota Industries Corp. (Machinery)   8 
 5,650   Toyota Motor Corp. (Automobile Components)   102 
 100   Trend Micro, Inc. (Software)   4 
 200   Unicharm Corp. (Household Products)   7 
 100   USS Co. Ltd. (Specialty Retail)   2 
 200   Yakult Honsha Co. Ltd. (Food Products)   5 
 100   Yamaha Corp. (Leisure Products)   3 
 200   Yamaha Motor Co. Ltd. (Automobile Components)   5 
 200   Yamato Holdings Co. Ltd. (Air Freight & Logistics)   3 
 100   Yaskawa Electric Corp. (Machinery)   4 
 100   Yokogawa Electric Corp. (Electronic Equipment, Instruments & Components)   2 
 1,500   Z Holdings Corp. (Interactive Media & Services)   4 
 100   Zensho Holdings Co. Ltd. (Hotels, Restaurants & Leisure)   4 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 100   ZOZO, Inc. (Specialty Retail)(b)  $2 
         1,699 
           
     Luxembourg — 0.04%     
 257   ArcelorMittal SA (Metals & Mining)   7 
 259   Tenaris SA (Energy Equipment & Services)   4 
         11 
           
     Netherlands — 1.52%     
 224   ABN AMRO Bank N.V. (Banks)(b)   3 
 13   Adyen N.V. (Professional Services)(a)(b)   10 
 893   Aegon Ltd. (Insurance)   4 
 91   Akzo Nobel N.V. (Chemicals)   7 
 32   Argenx SE (Biotechnology)(a)   16 
 28   ASM International N.V. (Semiconductors & Semiconductor Equipment)   12 
 226   ASML Holding N.V. (Semiconductors & Semiconductor Equipment)(b)   132 
 102   ASR Nederland N.V. (Insurance)   4 
 41   BE Semiconductor Industries N.V. (Semiconductors & Semiconductor Equipment)   4 
 44   Euronext N.V. (Capital Markets)   3 
 62   EXOR N.V. (Financial Services)   5 
 305   Ferrovial SE (Construction & Engineering)   9 
 71   Heineken Holding N.V. (Beverages)   5 
 150   Heineken N.V. (Beverages)   13 
 31   IMCD N.V. (Trading Companies & Distributors)(b)   4 
 2,017   ING Groep N.V. (Banks)   27 
 59   JDE Pee’’s N.V. (Food Products)(b)   2 
 538   Koninklijke Ahold Delhaize N.V. (Consumer Staples Distribution & Retail)   16 
 1,770   Koninklijke KPN N.V. (Diversified Telecommunication Services)   6 
 547   Koninklijke Philips N.V. (Health Care Equipment & Supplies)(a)   11 
 152   NN Group N.V. (Insurance)   5 
 148   NXP Semiconductors N.V. (Semiconductors & Semiconductor Equipment)   30 
 51   OCI N.V. (Chemicals)(b)   1 
 841   Prosus N.V. (Broadline Retail)(a)(b)   25 
 66   Randstad N.V. (Professional Services)   4 
 1,266   Stellantis N.V. (Automobile Components)   24 
 479   Universal Music Group N.V. (Entertainment)   12 
 148   Wolters Kluwer N.V. (Professional Services)   18 
         412 
           
     New Zealand — 0.07%     
 657   Auckland International Airport Ltd. (Transportation Infrastructure)   3 
 304   Fisher & Paykel Healthcare Corp. Ltd. (Health Care Equipment & Supplies)   4 
 634   Mercury NZ Ltd. (Electric Utilities)   2 
 828   Meridian Energy Ltd. (Independent Power and Renewable Electricity Producers)   3 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     New Zealand (continued)     
 1,066   Spark New Zealand Ltd. (Diversified Telecommunication Services)  $3 
 68   Xero Ltd. (Software)(a)   5 
         20 
           
     Norway — 0.22%     
 161   Adevinta ASA (Interactive Media & Services)(a)   2 
 168   Aker BP ASA (Oil, Gas & Consumable Fuels)  5 
 533   DNB Bank ASA (Banks)   11 
 526   Equinor ASA (Oil, Gas & Consumable Fuels)   16 
 121   Gjensidige Forsikring ASA (Insurance)   2 
 274   Mowi ASA (Food Products)(b)   5 
 716   Norsk Hydro ASA (Metals & Mining)   4 
 382   Orkla ASA (Food Products)   3 
 47   Salmar ASA (Food Products)   2 
 373   Telenor ASA (Diversified Telecommunication Services)   4 
 93   Yara International ASA (Chemicals)   4 
         58 
           
     Portugal — 0.06%     
 1,828   EDP - Energias de Portugal SA (Electric Utilities)   7 
 282   Galp Energia SGPS SA (Oil, Gas & Consumable Fuels)(b)   4 
 157   Jeronimo Martins SGPS SA (Consumer Staples Distribution & Retail)(b   4 
         15 
           
     Singapore — 0.42%     
 2,350   CapitaLand Ascendas REIT (Industrial REITs)   5 
 2,740   CapitaLand Integrated Commercial Trust (Retail REITs)   4 
 1,500   CapitaLand Investment Ltd. (Real Estate Management & Development)   3 
 400   City Developments Ltd. (Real Estate Management & Development)   2 
 1,024   DBS Group Holdings Ltd. (Banks)   26 
 3,300   Genting Singapore Ltd. (Hotels, Restaurants & Leisure)   2 
 888   Grab Holdings Ltd. (Ground Transportation)(a)   3 
 600   Keppel Corp. Ltd. (Industrial Conglomerates)   3 
 1,659   Mapletree Logistics Trust (Industrial REITs)   2 
 1,200   Mapletree Pan Asia Commercial Trust (Retail REITs)   1 
 1,435   Oversea-Chinese Banking Corp. Ltd. (Banks)   13 
 212   Sea Ltd., ADR (Entertainment)(a)   9 
 26,285   Seatrium Ltd. (Machinery)(a)   3 
 500   Sembcorp Industries Ltd. (Multi-Utilities)   2 
 900   Singapore Airlines Ltd. (Passenger Airlines)(b)   4 
 500   Singapore Exchange Ltd. (Capital Markets)   4 
 5,100   Singapore Telecommunications Ltd. (Diversified Telecommunication Services)   9 
 700   United Overseas Bank Ltd. (Banks)   15 
 300   UOL Group Ltd. (Real Estate Management & Development)   1 
 900   Wilmar International Ltd. (Food Products)   2 
         113 
           
     Spain — 0.77%     
 18   Acciona SA (Electric Utilities)   2 
 115   ACS Actividades de Construccion y Servicios SA (Construction & Engineering)   4 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Spain (continued)     
 38   Aena SME SA (Transportation Infrastructure)  $6 
 261   Amadeus IT Group SA (Professional Services)   16 
 3,322   Banco Bilbao Vizcaya Argentaria SA (Banks)   27 
 9,004   Banco SantanderSA (Banks)(b)   34 
 2,355   CaixaBank SA (Banks)   9 
 321   Cellnex Telecom SA (Diversified Telecommunication Services)(b)   11 
 33   Corp. ACCIONA Energias Renovables SA (Independent Power and Renewable Electricity Producers)   1 
 152   EDP Renovaveis SA (Independent Power and Renewable Electricity Producers)   2 
 121   Enagas SA (Gas Utilities)(b)   2 
 189   Endesa SA (Electric Utilities)   4 
 3,350   Iberdrola SA (Electric Utilities)   38 
 607   Industria de Diseno Textil SA (Specialty Retail)   23 
 70   Naturgy Energy Group SA (Gas Utilities)   2 
 223   Redeia Corp. SA (Electric Utilities)   4 
 695   Repsol SA (Oil, Gas & Consumable Fuels)   11 
 2,938   Telefonica SA (Diversified Telecommunication Services)   12 
         208 
           
     Sweden — 0.87%     
 156   Alfa Laval AB (Machinery)   5 
 564   Assa Abloy AB, Class – B (Building Products)   12 
 1,476   Atlas Copco AB, Class – A (Machinery)   21 
 914   Atlas Copco AB, Class – B (Machinery)   11 
 225   Beijer Ref AB (Trading Companies & Distributors)   2 
 165   Boliden AB (Metals & Mining)   5 
 348   Epiroc AB, Class – A (Machinery)   7 
 289   Epiroc AB, Class – B (Machinery)   5 
 195   EQT AB (Capital Markets)   4 
 365   Essity AB, Class – B (Household Products)   8 
 104   Evolution AB (Hotels, Restaurants & Leisure)(b)   10 
 306   Fastighets AB Balder, B shares (Real Estate Management & Development)(a)   1 
 120   Getinge AB, B shares (Health Care Equipment & Supplies)   2 
 377   H & M Hennes & Mauritz AB, Class – B (Specialty Retail)   5 
 1,114   Hexagon AB, Class – B (Electronic Equipment, Instruments & Components)   9 
 74   Holmen AB, B shares (Paper & Forest Products)   3 
 214   Husqvarna AB, B shares (Machinery)   2 
 144   Industrivarden AB, Class – A (Financial Services)(b)   4 
 20   Industrivarden AB, Class – C (Financial Services)   1 
 155   Indutrade AB (Machinery)   3 
 81   Investment AB Latour, Class – B (Industrial Conglomerates)   1 
 963   Investor AB, Class – B (Financial Services)   18 
 50   L E Lundbergforetagen AB, Class – B (Financial Services)   2 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Sweden (continued)     
 127   Lifco AB, Class – B (Industrial Conglomerates)  $2 
 848   Nibe Industrier AB, Class – B (Building Products)   6 
 95   Sagax AB, Class – B (Real Estate Management & Development)   2 
 565   Sandvik AB (Machinery)   10 
 280   Securitas AB, Class – B (Commercial Services & Supplies)   2 
 913   Skandinaviska Enskilda Banken AB, Class – A (Banks)   11 
 234   Skanska AB, Class – B (Construction & Engineering)   4 
 191   SKF AB, B shares (Machinery)   3 
 308   Svenska Cellulosa AB SCA, Class – B (Paper & Forest Products)   4 
 873   Svenska Handelsbanken AB, Class – A (Banks)   8 
 476   Swedbank AB, Class – A (Banks)   9 
 264   Tele2 AB, B shares (Wireless Telecommunication Services)   2 
 1,729   Telefonaktiebolaget LM Ericsson, Class – B (Communications Equipment)^   8 
 1,249   Telia Co. AB (Diversified Telecommunication Services)(b)   3 
 207   Volvo AB, Class – A (Machinery)   4 
 718   Volvo AB, Class – B (Machinery)   15 
 325   Volvo Car AB, Class – B (Automobile Components)(a)   1 
         235 
           
     Switzerland — 2.54%     
 916   ABB Ltd., Registered Shares (Electrical Equipment)   33 
 82   Adecco Group AG (Professional Services)(b)   3 
 286   Alcon, Inc. (Health Care Equipment & Supplies)   22 
 24   Baloise Holding AG, Registered Shares (Insurance)   3 
 16   Banque Cantonale Vaudoise, Registered Shares (Banks)   2 
 2   Barry Callebaut AG, Registered Shares (Food Products)(b)   3 
 14   BKW AG (Electric Utilities)   2 
 1   Chocoladefabriken Lindt & Spruengli AG, Class – PC (Food Products)   11 
 233   Chubb Ltd. (Insurance)   49 
 288   Cie Financiere Richemont SA, Registered Shares (Textiles, Apparel & Luxury Goods)   35 
 100   Clariant AG, Registered Shares (Chemicals)   2 
 114   Coca-Cola HBC AG (Beverages)   3 
 103   DSM-Firmenich AG (Chemicals)   9 
 66   Dufry AG, Registered Shares (Specialty Retail)(a)(b)   3 
 5   EMS-Chemie Holding AG (Chemicals)   3 
 86   Garmin Ltd. (Household Durables)   9 
 18   Geberit AG, Registered Shares (Building Products)   9 
 5   Givaudan SA, Registered Shares (Chemicals)   16 
 5,960   Glencore PLC (Metals & Mining)(b)   34 
 23   Helvetia Holding AG, Registered Shares (Insurance)   3 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Switzerland (continued)     
 299   Holcim AG (Construction Materials)(b)  $19 
 119   Julius Baer Group Ltd. (Capital Markets)   8 
 32   Kuehne + Nagel International AG, Registered Shares (Marine Transportation)   9 
 96   Logitech International SA, Registered Shares (Technology Hardware, Storage & Peripherals)   7 
 1,488   Nestle SA, Registered Shares (Food Products)   167 
 13   Partners Group Holding AG (Capital Markets)   15 
 18   Schindler Holding AG (Machinery)   4 
 19   Schindler Holding AG, Registered Shares (Machinery)   4 
 88   SGS SA, Registered Shares (Professional Services)(b)   7 
 197   SIG Group AG (Containers & Packaging)(b)   5 
 79   Sika AG, Registered Shares (Chemicals)(b)   20 
 27   Sonova Holding AG (Health Care Equipment & Supplies)(b)   6 
 404   STMicroelectronics N.V. (Semiconductors & Semiconductor Equipment)   17 
 67   Straumann Holding AG, Registered Shares (Health Care Equipment & Supplies)   9 
 16   Swiss Life Holding AG (Insurance)   10 
 51   Swiss Prime Site AG, Registered Shares (Real Estate Management & Development)   5 
 171   Swiss Re AG (Insurance)   18 
 13   Swisscom AG, Registered Shares (Diversified Telecommunication Services)   8 
 35   Temenos AG, Registered Shares (Software)   2 
 15   The Swatch Group AG (Textiles, Apparel & Luxury Goods)   4 
 39   The Swatch Group AG (Textiles, Apparel & Luxury Goods)   2 
 1,845   UBS Group AG (Capital Markets)   45 
 14   VAT Group AG (Machinery)   5 
 82   Zurich Insurance Group AG (Insurance)   38 
         688 
           
     United Arab Emirates — 0.00%     
 118   NMC Health PLC (Health Care Providers & Services)(a)(c)    
           
     United Kingdom — 3.54%     
 582   3i Group PLC (Capital Markets)   15 
 1,208   abrdn PLC (Capital Markets)   2 
 108   Admiral Group PLC (Insurance)   3 
 898   Amcor PLC (Containers & Packaging)   8 
 721   Anglo American PLC (Metals & Mining)   20 
 254   Ashtead Group PLC (Trading Companies & Distributors)   15 
 190   Associated British Foods PLC (Food Products)   5 
 483   Auto Trader Group PLC (Interactive Media & Services)(b)   4 
 1,441   Aviva PLC (Insurance)   7 
 8,715   Barclays PLC (Banks)(b)   17 
 471   Barratt Developments PLC (Household Durables)(b)   3 
 53   Berkeley Group Holdings PLC (Household Durables)   3 
 9,759   BP PLC (Oil, Gas & Consumable Fuels)   63 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United Kingdom (continued)     
 3,974   BT Group PLC (Diversified Telecommunication Services)  $6 
 188   Bunzl PLC (Trading Companies & Distributors)   7 
 214   Burberry Group PLC (Textiles, Apparel & Luxury Goods)(b)   5 
 3,224   Centrica PLC (Multi-Utilities)(b)   6 
 182   Clarivate PLC (Professional Services)(a)   1 
 632   CNH Industrial N.V. (Machinery)   8 
 128   Coca-Cola Europacific Partners PLC (Beverages)   8 
 961   Compass Group PLC (Hotels, Restaurants & Leisure)   23 
 86   Croda International PLC (Chemicals)(b)   5 
 1,226   Diageo PLC (Beverages)   45 
 96   Endeavour Mining PLC (Metals & Mining)   2 
 367   Entain PLC (Hotels, Restaurants & Leisure)   4 
 119   Ferguson PLC (Trading Companies & Distributors)(b)   20 
 3,148   Haleon PLC (Personal Care Products)(b)   13 
 214   Halma PLC (Electronic Equipment, Instruments & Components)   5 
 176   Hargreaves Lansdown PLC (Capital Markets)   2 
 11,110   HSBC Holdings PLC (Banks)   86 
 810   Informa PLC (Media)   7 
 96   InterContinental Hotels Group PLC (Hotels, Restaurants & Leisure)   7 
 103   Intertek Group PLC (Professional Services)   5 
 842   J Sainsbury PLC (Consumer Staples Distribution & Retail)   3 
 1,475   JD Sports Fashion PLC (Specialty Retail)   3 
 83   Johnson Matthey PLC (Chemicals)   2 
 1,028   Kingfisher PLC (Specialty Retail)   3 
 371   Land Securities Group PLC (Diversified REITs)   3 
 3,513   Legal & General Group PLC (Insurance)   9 
 148   Liberty Global PLC, Class – C (Diversified Telecommunication Services)(a)   3 
 35,323   Lloyds Banking Group PLC (Banks)   19 
 243   London Stock Exchange Group PLC (Capital Markets)(b)   24 
 1,248   M&G PLC (Financial Services)   3 
 267   Mondi PLC (Paper & Forest Products)   4 
 2,080   National Grid PLC (Multi-Utilities)   25 
 3,431   NatWest Group PLC (Banks)(b)   10 
 71   Next PLC (Broadline Retail)   6 
 363   Ocado Group PLC (Consumer Staples Distribution & Retail)(a)(b)   3 
 399   Pearson PLC (Diversified Consumer Services)   4 
 93   Pentair PLC (Machinery)   6 
 224   Persimmon PLC (Household Durables)   3 
 381   Phoenix Group Holdings PLC (Insurance)   2 
 1,071   RELX PLC (Professional Services)   36 
 1,488   Rentokil Initial PLC (Commercial Services & Supplies)   11 
 626   Rio Tinto PLC (Metals & Mining)   39 
 400   Schroders PLC (Capital Markets)   2 
 641   Segro PLC (Diversified REITs)   6 
 130   Severn Trent PLC (Water Utilities)(b)   4 
 3,771   Shell PLC (Oil, Gas & Consumable Fuels)   118 
 458   Smith & Nephew PLC (Health Care Equipment & Supplies)   6 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United Kingdom (continued)     
 219   Smiths Group PLC (Industrial Conglomerates)  $4 
 38   Spirax-Sarco Engineering PLC (Machinery)   4 
 624   SSE PLC (Electric Utilities)   12 
 360   St. James’s Place PLC (Capital Markets)   4 
 1,373   Standard Chartered PLC (Banks)   13 
 1,778   Taylor Wimpey PLC (Household Durables)(b)   3 
 4,044   Tesco PLC (Consumer Staples Distribution & Retail)   13 
 545   The Sage Group PLC (Software)   7 
 1,399   Unilever PLC (Personal Care Products)   69 
 407   United Utilities Group PLC (Water Utilities)   5 
 13,027   Vodafone Group PLC (Wireless Telecommunication Services)   12 
 107   Whitbread PLC (Hotels, Restaurants & Leisure)   5 
 59   Willis Towers Watson PLC (Insurance)   12 
 409   Wise PLC, Class - A (Professional Services)(a)   3 
 616   WPP PLC (Media)   5 
         958 
           
     United States — 68.61%     
 308   3M Co. (Industrial Conglomerates)   29 
 72   A.O. Smith Corp. (Building Products)   5 
 438   Activision Blizzard, Inc. (Entertainment)   41 
 256   Adobe, Inc. (Software)(a)   131 
 904   Advanced Micro Devices, Inc. (Semiconductors & Semiconductor Equipment)(a)   93 
 74   AECOM (Construction & Engineering)   6 
 321   Aflac, Inc. (Insurance)   25 
 154   Agilent Technologies, Inc. (Life Sciences Tools & Services)   17 
 125   Air Products & Chemicals, Inc. (Chemicals)   35 
 237   Airbnb, Inc., Class - A (Hotels, Restaurants & Leisure)(a)   33 
 86   Akamai Technologies, Inc. (IT Services)(a)   9 
 65   Albemarle Corp. (Chemicals)   11 
 193   Albertsons Cos., Inc., Class - A (Consumer Staples Distribution & Retail)   4 
 95   Alexandria Real Estate Equities, Inc. (Office REITs)   10 
 43   Align Technology, Inc. (Health Care Equipment & Supplies)(a)   13 
 138   Alliant Energy Corp. (Electric Utilities)   7 
 137   Ally Financial, Inc. (Consumer Finance)   4 
 73   Alnylam Pharmaceuticals, Inc. (Biotechnology)(a)   13 
 3,344   Alphabet, Inc., Class - A (Interactive Media & Services)(a)   438 
 2,975   Alphabet, Inc., Class - C (Interactive Media & Services)(a)   392 
 5,197   Amazon.com, Inc. (Broadline Retail)(a)   662 
 147   Ameren Corp. (Multi-Utilities)   11 
 287   American Electric Power Co., Inc. (Electric Utilities)   22 
 353   American Express Co. (Consumer Finance)   53 
 45   American Financial Group, Inc. (Insurance)   5 
 192   American Homes 4 Rent, Class - A (Residential REITs)   6 
 397   American International Group, Inc. (Insurance)   24 
 261   American Tower Corp. (Specialized REITs)   43 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 112   American Water Works Co., Inc. (Water Utilities)  $14 
 60   Ameriprise Financial, Inc. (Capital Markets)   20 
 98   AmerisourceBergen Corp. (Health Care Providers & Services)   18 
 133   AMETEK, Inc. (Electrical Equipment)   20 
 335   Amphenol Corp., Class - A (Electronic Equipment, Instruments & Components)   28 
 281   Analog Devices, Inc. (Semiconductors & Semiconductor Equipment)   49 
 259   Annaly Capital Management, Inc. (Mortgage Real Estate Investment Trusts)   5 
 47   ANSYS, Inc. (Software)(a)   14 
 115   Aon PLC, Class - A (Insurance)   37 
 174   APA Corp. (Oil, Gas & Consumable Fuels)   7 
 226   Apollo Global Management, Inc. (Financial Services)   20 
 8,857   Apple, Inc. (Technology Hardware, Storage & Peripherals)   1,517 
 471   Applied Materials, Inc. (Semiconductors & Semiconductor Equipment)   65 
 150   Aramark (Hotels, Restaurants & Leisure)   5 
 302   Archer-Daniels-Midland Co. (Food Products)   23 
 90   Ares Management Corp., Class - A (Capital Markets)   9 
 151   Arista Networks, Inc. (Communications Equipment)(a)   28 
 33   Arrow Electronics, Inc. (Electronic Equipment, Instruments & Components)(a)   4 
 120   Arthur J. Gallagher & Co. (Insurance)   27 
 19   Aspen Technology, Inc. (Software)(a)   4 
 30   Assurant, Inc. (Insurance)   4 
 4,014   AT&T, Inc. (Diversified Telecommunication Services)   60 
 84   Atlassian Corp., Class - A (Software)(a)   17 
 81   Atmos Energy Corp. (Gas Utilities)   9 
 116   Autodesk, Inc. (Software)(a)   24 
 230   Automatic Data Processing, Inc. (Professional Services)   55 
 10   AutoZone, Inc. (Specialty Retail)(a)   25 
 81   AvalonBay Communities, Inc. (Residential REITs)   14 
 367   Avantor, Inc. (Life Sciences Tools & Services)(a)   8 
 44   Avery Dennison Corp. (Containers & Packaging)   8 
 39   Axon Enterprise, Inc. (Aerospace & Defense)(a)   8 
 568   Baker Hughes Co. (Energy Equipment & Services)   20 
 183   Ball Corp. (Containers & Packaging)   9 
 4,029   Bank of America Corp. (Banks)   110 
 141   Bath & Body Works, Inc. (Specialty Retail)   5 
 274   Baxter International, Inc. (Health Care Equipment & Supplies)   10 
 120   Bentley Systems, Inc., Class - B (Software)   6 
 727   Berkshire Hathaway, Inc., Class - B (Financial Services)(a)   255 
 105   Best Buy Co., Inc. (Specialty Retail)   7 
 59   BILL Holdings, Inc. (Software)(a)   6 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 98   Bio-Techne Corp. (Life Sciences Tools & Services)  $7 
 84   BlackRock, Inc. (Capital Markets)   54 
 397   Blackstone, Inc. (Capital Markets)   43 
 315   Block, Inc. (Financial Services)(a)   14 
 21   Booking Holdings, Inc. (Hotels, Restaurants & Leisure)(a)   65 
 71   Booz Allen Hamilton Holding Corp. (Professional Services)   8 
 123   BorgWarner, Inc. (Automobile Components)   5 
 80   Boston Properties, Inc. (Office REITs)   5 
 812   Boston Scientific Corp. (Health Care Equipment & Supplies)(a)   43 
 233   Broadcom, Inc. (Semiconductors & Semiconductor Equipment)   194 
 69   Broadridge Financial Solutions, Inc. (Professional Services)   12 
 63   Brookfield Renewable Corp., Class - A (Independent Power and Renewable Electricity Producers)(b)   2 
 135   Brown & Brown, Inc. (Insurance)   9 
 178   Brown-Forman Corp., Class - B (Beverages)   10 
 74   Builders FirstSource, Inc. (Building Products)(a)   9 
 85   Bunge Ltd. (Food Products)   9 
 40   Burlington Stores, Inc. (Specialty Retail)(a)   5 
 69   C.H. Robinson Worldwide, Inc. (Air Freight & Logistics)   6 
 151   Cadence Design Systems, Inc. (Software)(a)   35 
 129   Caesars Entertainment, Inc. (Hotels, Restaurants & Leisure)(a)   6 
 61   Camden Property Trust (Residential REITs)   6 
 104   Campbell Soup Co. (Food Products)   4 
 220   Capital One Financial Corp. (Consumer Finance)   21 
 148   Cardinal Health, Inc. (Health Care Providers & Services)   13 
 31   Carlisle Cos., Inc. (Building Products)   8 
 94   CarMax, Inc. (Specialty Retail)(a)   7 
 594   Carnival Corp. (Hotels, Restaurants & Leisure)(a)   8 
 470   Carrier Global Corp. (Building Products)   26 
 290   Caterpillar, Inc. (Machinery)   79 
 58   Cboe Global Markets, Inc. (Capital Markets)   9 
 184   CBRE Group, Inc., Class - A (Real Estate Management & Development)(a)   14 
 75   CDW Corp. (Electronic Equipment, Instruments & Components)   15 
 57   Celanese Corp. (Chemicals)   7 
 310   Centene Corp. (Health Care Providers & Services)(a)   21 
 368   CenterPoint Energy, Inc. (Multi-Utilities)   10 
 88   Ceridian HCM Holding, Inc. (Professional Services)(a)   6 
 112   CF Industries Holdings, Inc. (Chemicals)   10 
 55   Charter Communications, Inc., Class - A (Media)(a)   24 
 141   Cheniere Energy, Inc. (Oil, Gas & Consumable Fuels)   23 
 65   Chesapeake Energy Corp. (Oil, Gas & Consumable Fuels)   6 
 1,022   Chevron Corp. (Oil, Gas & Consumable Fuels)   172 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 57   Chewy, Inc., Class - A (Specialty Retail)(a)  $1 
 15   Chipotle Mexican Grill, Inc. (Hotels, Restaurants & Leisure)(a)   27 
 90   Cincinnati Financial Corp. (Insurance)   9 
 53   Cintas Corp. (Commercial Services & Supplies)   25 
 2,272   Cisco Systems, Inc. (Communications Equipment)   122 
 1,082   Citigroup, Inc. (Banks)   45 
 253   Citizens Financial Group, Inc. (Banks)   7 
 328   Cleveland-Cliffs, Inc. (Metals & Mining)(a)   5 
 155   Cloudflare, Inc., Class - A (IT Services)(a)   10 
 202   CME Group, Inc. (Capital Markets)   40 
 159   CMS Energy Corp. (Multi-Utilities)   8 
 90   Cognex Corp. (Electronic Equipment, Instruments & Components)   4 
 273   Cognizant Technology Solutions Corp., Class - A (IT Services)   18 
 93   Coinbase Global, Inc., Class - A (Capital Markets)(a)   7 
 452   Colgate-Palmolive Co. (Household Products)   32 
 2,334   Comcast Corp., Class - A (Media)   103 
 284   Conagra Brands, Inc. (Food Products)   8 
 98   Confluent, Inc., Class - A (Software)(a)   3 
 682   ConocoPhillips (Oil, Gas & Consumable Fuels)   82 
 199   Consolidated Edison, Inc. (Multi-Utilities)   17 
 94   Constellation Brands, Inc., Class - A (Beverages)   24 
 186   Constellation Energy Corp. (Electric Utilities)   20 
 484   Copart, Inc. (Commercial Services & Supplies)(a)   21 
 407   Corteva, Inc. (Chemicals)   21 
 234   CoStar Group, Inc. (Professional Services)(a)   18 
 249   Costco Wholesale Corp. (Consumer Staples Distribution & Retail)   141 
 424   Coterra Energy, Inc. (Oil, Gas & Consumable Fuels)   11 
 127   Crowdstrike Holdings, Inc., Class - A (Software)(a)   21 
 249   Crown Castle, Inc. (Specialized REITs)   23 
 62   Crown Holdings, Inc. (Containers & Packaging)   5 
 1,145   CSX Corp. (Ground Transportation)   35 
 78   Cummins, Inc. (Machinery)   18 
 722   CVS Health Corp. (Health Care Providers & Services)   50 
 170   D.R. Horton, Inc. (Household Durables)   18 
 70   Darden Restaurants, Inc. (Hotels, Restaurants & Leisure)   10 
 86   Darling Ingredients, Inc. (Food Products)(a)   4 
 145   Datadog, Inc., Class - A (Software)(a)   13 
 30   DaVita, Inc. (Health Care Providers & Services)(a)   3 
 14   Deckers Outdoor Corp. (Textiles, Apparel & Luxury Goods)(a)   7 
 156   Deere & Co. (Machinery)   59 
 144   Dell Technologies, Inc., Class - C (Technology Hardware, Storage & Peripherals)   10 
 79   Delta Air Lines, Inc. (Passenger Airlines)   3 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 109   DENTSPLY SIRONA, Inc. (Health Care Equipment & Supplies)  $4 
 351   Devon Energy Corp. (Oil, Gas & Consumable Fuels)   17 
 222   Dexcom, Inc. (Health Care Equipment & Supplies)(a)   21 
 96   Diamondback Energy, Inc. (Oil, Gas & Consumable Fuels)   15 
 38   Dick's Sporting Goods, Inc. (Specialty Retail)   4 
 167   Digital Realty Trust, Inc. (Specialized REITs)   20 
 140   Discover Financial Services (Consumer Finance)   12 
 124   DocuSign, Inc. (Software)(a)   5 
 129   Dollar General Corp. (Consumer Staples Distribution & Retail)   14 
 124   Dollar Tree, Inc. (Consumer Staples Distribution & Retail)(a)   13 
 464   Dominion Energy, Inc. (Multi-Utilities)   21 
 20   Domino's Pizza, Inc. (Hotels, Restaurants & Leisure)   8 
 148   DoorDash, Inc., Class - A (Hotels, Restaurants & Leisure)(a)   12 
 75   Dover Corp. (Machinery)   10 
 406   Dow, Inc. (Chemicals)   21 
 248   DraftKings, Inc. (Hotels, Restaurants & Leisure)(a)   7 
 162   Dropbox, Inc., Class - A (Software)(a)   4 
 112   DTE Energy Co. (Multi-Utilities)   11 
 436   Duke Energy Corp. (Electric Utilities)   38 
 254   DuPont de Nemours, Inc. (Chemicals)   19 
 130   Dynatrace, Inc. (Software)(a)   6 
 70   Eastman Chemical Co. (Chemicals)   5 
 227   Eaton Corp. PLC (Electrical Equipment)   48 
 300   eBay, Inc. (Broadline Retail)   13 
 146   Ecolab, Inc. (Chemicals)   25 
 216   Edison International (Electric Utilities)   14 
 335   Edwards Lifesciences Corp. (Health Care Equipment & Supplies)(a)   23 
 142   Electronic Arts, Inc. (Entertainment)   17 
 134   Elevance Health, Inc. (Health Care Providers & Services)   58 
 323   Emerson Electric Co. (Electrical Equipment)   31 
 81   Enphase Energy, Inc. (Semiconductors & Semiconductor Equipment)(a)   10 
 84   Entegris, Inc. (Semiconductors & Semiconductor Equipment)   8 
 118   Entergy Corp. (Electric Utilities)   11 
 328   EOG Resources, Inc. (Oil, Gas & Consumable Fuels)   42 
 34   EPAM Systems, Inc. (IT Services)(a)   9 
 207   EQT Corp. (Oil, Gas & Consumable Fuels)   8 
 68   Equifax, Inc. (Professional Services)   12 
 53   Equinix, Inc. (Specialized REITs)   38 
 179   Equitable Holdings, Inc. (Financial Services)   5 
 100   Equity LifeStyle Properties, Inc. (Residential REITs)   6 
 202   Equity Residential (Residential REITs)   12 
 15   Erie Indemnity Co., Class - A (Insurance)   4 
 147   Essential Utilities, Inc. (Water Utilities)   5 
 36   Essex Property Trust, Inc. (Residential REITs)   8 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 75   Etsy, Inc. (Broadline Retail)(a)  $5 
 119   Evergy, Inc. (Electric Utilities)   6 
 194   Eversource Energy (Electric Utilities)   11 
 107   Exact Sciences Corp. (Biotechnology)(a)   7 
 571   Exelon Corp. (Electric Utilities)   22 
 83   Expedia Group, Inc. (Hotels, Restaurants & Leisure)(a)   9 
 88   Expeditors International of Washington, Inc. (Air Freight & Logistics)   10 
 118   Extra Space Storage, Inc. (Specialized REITs)   14 
 2,278   Exxon Mobil Corp. (Oil, Gas & Consumable Fuels)   268 
 33   F5, Inc. (Communications Equipment)(a)   5 
 23   FactSet Research Systems, Inc. (Capital Markets)   10 
 14   Fair Isaac Corp. (Software)(a)   12 
 327   Fastenal Co. (Trading Companies & Distributors)   18 
 133   FedEx Corp. (Air Freight & Logistics)   35 
 142   Fidelity National Financial, Inc. (Insurance)   6 
 326   Fidelity National Information Services, Inc. (Financial Services)   18 
 365   Fifth Third Bancorp (Banks)   9 
 6   First Citizens BancShares, Inc., Class - A (Banks)   8 
 343   First Horizon Corp. (Banks)   4 
 57   First Solar, Inc. (Semiconductors & Semiconductor Equipment)(a)   9 
 315   FirstEnergy Corp. (Electric Utilities)   11 
 342   Fiserv, Inc. (Financial Services)(a)   39 
 41   FleetCor Technologies, Inc. (Financial Services)(a)   10 
 77   FMC Corp. (Chemicals)   5 
 2,229   Ford Motor Co. (Automobile Components)   28 
 382   Fortinet, Inc. (Software)(a)   22 
 200   Fortive Corp. (Machinery)   15 
 67   Fortune Brands Innovations, Inc. (Building Products)   4 
 111   Fox Corp., Class - A (Media)   3 
 112   Fox Corp., Class - B (Media)   3 
 144   Franklin Resources, Inc. (Capital Markets)   4 
 797   Freeport-McMoRan, Inc. (Metals & Mining)   30 
 145   Gaming and Leisure Properties, Inc. (Specialized REITs)   7 
 43   Gartner, Inc. (IT Services)(a)   15 
 236   GE HealthCare Technologies, Inc. (Health Care Equipment & Supplies)   16 
 357   Gen Digital, Inc. (Software)   6 
 33   Generac Holdings, Inc. (Electrical Equipment)(a)   4 
 340   General Mills, Inc. (Food Products)   22 
 794   General Motors Co. (Automobile Components)   26 
 77   Genuine Parts Co. (Distributors)   11 
 145   Global Payments, Inc. (Financial Services)   17 
 49   Globe Life, Inc. (Insurance)   5 
 87   GoDaddy, Inc., Class - A (IT Services)(a)   6 
 105   Graco, Inc. (Machinery)   8 
 505   Halliburton Co. (Energy Equipment & Services)   20 
 79   Hasbro, Inc. (Leisure Products)   5 
 117   HCA Healthcare, Inc. (Health Care Providers & Services)   29 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 234   Healthcare Realty Trust, Inc. (Health Care REITs)  $4 
 281   Healthpeak Properties, Inc. (Health Care REITs)   5 
 31   HEICO Corp. (Aerospace & Defense)   5 
 39   HEICO Corp., Class - A (Aerospace & Defense)   5 
 72   Henry Schein, Inc. (Health Care Providers & Services)(a)   5 
 158   Hess Corp. (Oil, Gas & Consumable Fuels)   24 
 724   Hewlett Packard Enterprise Co. (Technology Hardware, Storage & Peripherals)   13 
 90   HF Sinclair Corp. (Oil, Gas & Consumable Fuels)   5 
 146   Hilton Worldwide Holdings, Inc. (Hotels, Restaurants & Leisure)   22 
 131   Hologic, Inc. (Health Care Equipment & Supplies)(a)   9 
 126   Horizon Therapeutics PLC (Biotechnology)(a)   15 
 187   Hormel Foods Corp. (Food Products)   7 
 376   Host Hotels & Resorts, Inc. (Hotel & Resort REITs)   6 
 212   Howmet Aerospace, Inc. (Aerospace & Defense)   10 
 521   HP, Inc. (Technology Hardware, Storage & Peripherals)   13 
 31   Hubbell, Inc. (Electrical Equipment)   10 
 27   HubSpot, Inc. (Software)(a)   13 
 71   Humana, Inc. (Health Care Providers & Services)   35 
 756   Huntington Bancshares, Inc. (Banks)   8 
 32   Hyatt Hotels Corp., Class - A (Hotels, Restaurants & Leisure)   3 
 45   IDEX Corp. (Machinery)   9 
 48   IDEXX Laboratories, Inc. (Health Care Equipment & Supplies)(a)   21 
 172   Illinois Tool Works, Inc. (Machinery)   40 
 114   Incyte Corp. (Biotechnology)(a)   7 
 217   Ingersoll Rand, Inc. (Machinery)   14 
 40   Insulet Corp. (Health Care Equipment & Supplies)(a)   6 
 2,349   Intel Corp. (Semiconductors & Semiconductor Equipment)   84 
 324   Intercontinental Exchange, Inc. (Capital Markets)   36 
 510   International Business Machines Corp. (IT Services)   72 
 140   International Flavors & Fragrances, Inc. (Chemicals)   10 
 201   International Paper Co. (Containers & Packaging)   7 
 157   Intuit, Inc. (Software)   80 
 196   Intuitive Surgical, Inc. (Health Care Equipment & Supplies)(a)   57 
 187   Invesco Ltd. (Capital Markets)   3 
 349   Invitation Homes, Inc. (Residential REITs)   11 
 99   IQVIA Holdings, Inc. (Life Sciences Tools & Services)(a)   19 
 165   Iron Mountain, Inc. (Specialized REITs)   10 
 69   Jabil, Inc. (Electronic Equipment, Instruments & Components)   9 
 39   Jack Henry & Associates, Inc. (Professional Services)   6 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 70   Jacobs Solutions, Inc. (Professional Services)  $10 
 40   Jazz Pharmaceuticals PLC (Pharmaceuticals)(a)   5 
 44   JB Hunt Transport Services, Inc. (Ground Transportation)   8 
 397   Johnson Controls International PLC (Building Products)   21 
 1,646   JPMorgan Chase & Co. (Banks)   239 
 165   Juniper Networks, Inc. (Communications Equipment)   5 
 155   Kellogg Co. (Food Products)   9 
 838   Kenvue, Inc. (Personal Care Products)   17 
 531   Keurig Dr. Pepper, Inc. (Beverages)   17 
 555   KeyCorp (Banks)   6 
 102   Keysight Technologies, Inc. (Electronic Equipment, Instruments & Components)(a)   13 
 192   Kimberly-Clark Corp. (Household Products)   23 
 310   Kimco Realty Corp. (Retail REITs)   5 
 1,135   Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels)   19 
 325   KKR & Co., Inc. (Capital Markets)   20 
 79   KLA Corp. (Semiconductors & Semiconductor Equipment)   36 
 81   Knight-Swift Transportation Holdings, Inc. (Ground Transportation)   4 
 50   Laboratory Corp. of America Holdings (Health Care Providers & Services)   10 
 75   Lam Research Corp. (Semiconductors & Semiconductor Equipment)   47 
 80   Lamb Weston Holdings, Inc. (Food Products)   7 
 206   Las Vegas Sands Corp. (Hotels, Restaurants & Leisure)   9 
 75   Lattice Semiconductor Corp. (Semiconductors & Semiconductor Equipment)(a)   6 
 34   Lear Corp. (Automobile Components)   5 
 147   Lennar Corp., Class - A (Household Durables)   16 
 19   Lennox International, Inc. (Building Products)   7 
 72   Liberty Broadband Corp., Class - C (Media)(a)   7 
 114   Liberty Media Corp.-Liberty Formula One (Entertainment)(a)   7 
 117   Liberty Media Corp.-Liberty SiriusXM (Media)(a)   3 
 276   Linde PLC (Chemicals)   103 
 93   Live Nation Entertainment, Inc. (Entertainment)(a)   8 
 152   LKQ Corp. (Distributors)   8 
 102   Loews Corp. (Insurance)   6 
 332   Lowe's Cos., Inc. (Specialty Retail)   69 
 44   LPL Financial Holdings, Inc. (Capital Markets)   10 
 483   Lucid Group, Inc. (Automobile Components)^(a)   3 
 147   LyondellBasell Industries N.V., Class - A (Chemicals)   14 
 95   M&T Bank Corp. (Banks)   12 
 35   Manhattan Associates, Inc. (Software)(a)   7 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 351   Marathon Oil Corp. (Oil, Gas & Consumable Fuels)  $9 
 239   Marathon Petroleum Corp. (Oil, Gas & Consumable Fuels)   36 
 7   Markel Group, Inc. (Insurance)(a)   10 
 23   MarketAxess Holdings, Inc. (Capital Markets)   5 
 143   Marriott International, Inc., Class - A (Hotels, Restaurants & Leisure)   28 
 278   Marsh & McLennan Cos., Inc. (Insurance)   53 
 35   Martin Marietta Materials, Inc. (Construction Materials)   14 
 479   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment)   26 
 131   Masco Corp. (Building Products)   7 
 476   Mastercard, Inc., Class - A (Financial Services)   188 
 143   Match Group, Inc. (Interactive Media & Services)(a)   6 
 145   McCormick & Co., Inc./MD (Food Products)   11 
 412   McDonald's Corp. (Hotels, Restaurants & Leisure)   109 
 76   McKesson Corp. (Health Care Providers & Services)   33 
 1,245   Meta Platforms, Inc., Class - A (Interactive Media & Services)(a)   374 
 364   MetLife, Inc. (Insurance)   23 
 13   Mettler-Toledo International, Inc. (Life Sciences Tools & Services)(a)   14 
 141   MGM Resorts International (Hotels, Restaurants & Leisure)   5 
 312   Microchip Technology, Inc. (Semiconductors & Semiconductor Equipment)   24 
 616   Micron Technology, Inc. (Semiconductors & Semiconductor Equipment)   42 
 3,976   Microsoft Corp. (Software)   1,256 
 66   Mid-America Apartment Communities, Inc. (Residential REITs)   8 
 30   Mohawk Industries, Inc. (Household Durables)(a)   3 
 33   Molina Healthcare, Inc. (Health Care Providers & Services)(a)   11 
 103   Molson Coors Beverage Co., Class - B (Beverages)   7 
 760   Mondelez International, Inc., Class - A (Food Products)   53 
 41   MongoDB, Inc. (IT Services)(a)   14 
 26   Monolithic Power Systems, Inc. (Semiconductors & Semiconductor Equipment)   12 
 446   Monster Beverage Corp. (Beverages)(a)   24 
 93   Moody's Corp. (Capital Markets)   29 
 698   Morgan Stanley (Capital Markets)   57 
 95   Motorola Solutions, Inc. (Communications Equipment)   26 
 46   MSCI, Inc. (Capital Markets)   24 
 197   Nasdaq, Inc. (Capital Markets)   10 
 118   NetApp, Inc. (Technology Hardware, Storage & Peripherals)   9 
 250   Netflix, Inc. (Entertainment)(a)   94 
 59   Neurocrine Biosciences, Inc. (Biotechnology)(a)   7 
 450   Newmont Corp. (Metals & Mining)   17 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 235   News Corp., Class - A (Media)  $5 
 1,135   NextEra Energy, Inc. (Electric Utilities)   65 
 688   NIKE, Inc., Class - B (Textiles, Apparel & Luxury Goods)   66 
 229   NiSource, Inc. (Multi-Utilities)   6 
 29   Nordson Corp. (Machinery)   6 
 131   Norfolk Southern Corp. (Ground Transportation)   26 
 120   Northern Trust Corp. (Capital Markets)   8 
 124   NRG Energy, Inc. (Electric Utilities)   5 
 140   Nucor Corp. (Metals & Mining)   22 
 1,391   NVIDIA Corp. (Semiconductors & Semiconductor Equipment)   606 
 2   NVR, Inc. (Household Durables)(a)   12 
 377   Occidental Petroleum Corp. (Oil, Gas & Consumable Fuels)   24 
 92   Okta, Inc. (IT Services)(a)   7 
 55   Old Dominion Freight Line, Inc. (Ground Transportation)   23 
 107   Omnicom Group, Inc. (Media)   8 
 245   ON Semiconductor Corp. (Semiconductors & Semiconductor Equipment)(a)   23 
 243   ONEOK, Inc. (Oil, Gas & Consumable Fuels)   15 
 914   Oracle Corp. (Software)   97 
 35   O'Reilly Automotive, Inc. (Specialty Retail)(a)   32 
 220   Otis Worldwide Corp. (Machinery)   18 
 147   Ovintiv, Inc. (Oil, Gas & Consumable Fuels)   7 
 54   Owens Corning (Building Products)   7 
 297   PACCAR, Inc. (Machinery)   25 
 48   Packaging Corp. of America (Containers & Packaging)   7 
 1,031   Palantir Technologies, Inc., Class - A (Software)(a)   16 
 171   Palo Alto Networks, Inc. (Software)(a)   40 
 291   Paramount Global, Class - B (Media)   4 
 71   Parker-Hannifin Corp. (Machinery)   28 
 183   Paychex, Inc. (Professional Services)   21 
 30   Paycom Software, Inc. (Professional Services)   8 
 26   Paylocity Holding Corp. (Professional Services)(a)   5 
 590   PayPal Holdings, Inc. (Financial Services)(a)   34 
 773   PepsiCo, Inc. (Beverages)   131 
 1,066   PG&E Corp. (Electric Utilities)(a)   17 
 259   Phillips 66 (Oil, Gas & Consumable Fuels)   31 
 344   Pinterest, Inc., Class - A (Interactive Media & Services)(a)   9 
 131   Pioneer Natural Resources Co. (Oil, Gas & Consumable Fuels)   30 
 21   Pool Corp. (Distributors)   7 
 133   PPG Industries, Inc. (Chemicals)   17 
 402   PPL Corp. (Electric Utilities)   9 
 134   Principal Financial Group, Inc. (Insurance)   10 
 518   Prologis, Inc. (Industrial REITs)   58 
 205   Prudential Financial, Inc. (Insurance)   19 
 57   PTC, Inc. (Software)(a)   8 
 288   Public Service Enterprise Group, Inc. (Multi-Utilities)   16 
 91   Public Storage (Specialized REITs)   24 
 131   PulteGroup, Inc. (Household Durables)   10 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 54   Qorvo, Inc. (Semiconductors & Semiconductor Equipment)(a)  $5 
 625   QUALCOMM, Inc. (Semiconductors & Semiconductor Equipment)   69 
 82   Quanta Services, Inc. (Construction & Engineering)   15 
 62   Quest Diagnostics, Inc. (Health Care Providers & Services)   8 
 114   Raymond James Financial, Inc. (Capital Markets)   11 
 364   Realty Income Corp. (Retail REITs)   18 
 95   Regency Centers Corp. (Retail REITs)   6 
 559   Regions Financial Corp. (Banks)   10 
 34   Reliance Steel & Aluminum Co. (Metals & Mining)   9 
 29   Repligen Corp. (Life Sciences Tools & Services)(a)   5 
 127   Republic Services, Inc. (Commercial Services & Supplies)   18 
 79   ResMed, Inc. (Health Care Equipment & Supplies)   12 
 361   Rivian Automotive, Inc., Class - A (Automobile Components)(a)   9 
 59   Robert Half International, Inc. (Professional Services)   4 
 282   Robinhood Markets, Inc., Class - A (Capital Markets)(a)   3 
 255   ROBLOX Corp., Class - A (Entertainment)(a)   7 
 65   Rockwell Automation, Inc. (Electrical Equipment)   19 
 71   Roku, Inc. (Entertainment)(a)   5 
 169   Rollins, Inc. (Commercial Services & Supplies)   6 
 60   Roper Technologies, Inc. (Software)   29 
 191   Ross Stores, Inc. (Specialty Retail)   22 
 136   Royal Caribbean Cruises Ltd. (Hotels, Restaurants & Leisure)(a)   13 
 207   Royalty Pharma PLC, Class - A (Pharmaceuticals)   6 
 79   RPM International, Inc. (Chemicals)   7 
 183   S&P Global, Inc. (Capital Markets)   67 
 546   Salesforce, Inc. (Software)(a)   111 
 61   SBA Communications Corp. (Specialized REITs)   12 
 802   Schlumberger N.V. (Energy Equipment & Services)   47 
 99   Seagate Technology Holdings PLC (Technology Hardware, Storage & Peripherals)   7 
 81   Seagen, Inc. (Biotechnology)(a)   17 
 75   Sealed Air Corp. (Containers & Packaging)   2 
 64   SEI Investments Co. (Capital Markets)   4 
 352   Sempra Energy (Multi-Utilities)   24 
 95   Sensata Technologies Holding PLC (Electrical Equipment)   4 
 113   ServiceNow, Inc. (Software)(a)   63 
 187   Simon Property Group, Inc. (Retail REITs)   20 
 400   Sirius XM Holdings, Inc. (Media)^   2 
 94   Skyworks Solutions, Inc. (Semiconductors & Semiconductor Equipment)   9 
 568   Snap, Inc., Class - A (Interactive Media & Services)(a)   5 
 29   Snap-on, Inc. (Machinery)   7 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 150   Snowflake, Inc., Class - A (IT Services)(a)  $23 
 105   Southwest Airlines Co. (Passenger Airlines)   3 
 87   Splunk, Inc. (Software)(a)   13 
 122   SS&C Technologies Holdings, Inc. (Professional Services)   6 
 91   Stanley Black & Decker, Inc. (Machinery)   8 
 639   Starbucks Corp. (Hotels, Restaurants & Leisure)   58 
 195   State Street Corp. (Capital Markets)   13 
 93   Steel Dynamics, Inc. (Metals & Mining)   10 
 55   STERIS PLC (Health Care Equipment & Supplies)   12 
 193   Stryker Corp. (Health Care Equipment & Supplies)   53 
 67   Sun Communities, Inc. (Residential REITs)   8 
 27   Super Micro Computer, Inc. (Technology Hardware, Storage & Peripherals)(a)   7 
 256   Synchrony Financial (Consumer Finance)   8 
 85   Synopsys, Inc. (Software)(a)   39 
 273   Sysco Corp. (Consumer Staples Distribution & Retail)   18 
 129   T. Rowe Price Group, Inc. (Capital Markets)   14 
 95   Take-Two Interactive Software, Inc. (Entertainment)(a)   13 
 111   Targa Resources Corp. (Oil, Gas & Consumable Fuels)   10 
 265   Target Corp. (Consumer Staples Distribution & Retail)   29 
 162   TE Connectivity Ltd. (Electronic Equipment, Instruments & Components)   20 
 26   Teledyne Technologies, Inc. (Electronic Equipment, Instruments & Components)(a)   11 
 24   Teleflex, Inc. (Health Care Equipment & Supplies)   5 
 94   Teradyne, Inc. (Semiconductors & Semiconductor Equipment)   9 
 1,606   Tesla, Inc. (Automobile Components)(a)   402 
 512   Texas Instruments, Inc. (Semiconductors & Semiconductor Equipment)   81 
 3   Texas Pacific Land Corp. (Oil, Gas & Consumable Fuels)   5 
 364   The AES Corp. (Independent Power and Renewable Electricity Producers)   6 
 151   The Allstate Corp. (Insurance)   17 
 425   The Bank of New York Mellon Corp. (Capital Markets)   18 
 130   The Carlyle Group, Inc. (Capital Markets)   4 
 842   The Charles Schwab Corp. (Capital Markets)   46 
 167   The Cigna Group (Health Care Providers & Services)   48 
 73   The Clorox Co. (Household Products)   10 
 2,292   The Coca-Cola Co. (Beverages)   128 
 127   The Estee Lauder Cos., Inc. (Personal Care Products)   18 
 186   The Goldman Sachs Group, Inc. (Capital Markets)   60 
 166   The Hartford Financial Services Group, Inc. (Insurance)   12 
 81   The Hershey Co. (Food Products)   16 
 568   The Home Depot, Inc. (Specialty Retail)   172 
 236   The Interpublic Group of Cos., Inc. (Media)   7 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (continued) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 53   The J.M. Smucker Co. (Food Products)  $7 
 490   The Kraft Heinz Co. (Food Products)   16 
 397   The Kroger Co. (Consumer Staples Distribution & Retail)   18 
 186   The Mosaic Co. (Chemicals)   7 
 225   The PNC Financial Services Group, Inc. (Banks)   28 
 330   The Progressive Corp. (Insurance)   46 
 137   The Sherwin-Williams Co. (Chemicals)   35 
 616   The Southern Co. (Electric Utilities)   40 
 651   The TJX Cos., Inc. (Specialty Retail)   58 
 62   The Toro Co. (Machinery)   5 
 255   The Trade Desk, Inc., Class - A (Media)(a)   20 
 127   The Travelers Cos., Inc. (Insurance)   21 
 1,020   The Walt Disney Co. (Entertainment)(a)   83 
 691   The Williams Cos., Inc. (Oil, Gas & Consumable Fuels)   23 
 302   T-Mobile US, Inc. (Wireless Telecommunication Services)   42 
 200   Toast, Inc., Class - A (Financial Services)(a)   4 
 62   Tractor Supply Co. (Specialty Retail)   13 
 65   Tradeweb Markets, Inc., Class - A (Capital Markets)   5 
 31   TransDigm Group, Inc. (Aerospace & Defense)(a)   26 
 116   TransUnion (Professional Services)   8 
 143   Trimble, Inc. (Electronic Equipment, Instruments & Components)(a)   8 
 788   Truist Financial Corp. (Banks)   23 
 93   Twilio, Inc., Class - A (IT Services)(a)   5 
 23   Tyler Technologies, Inc. (Software)(a)   9 
 153   Tyson Foods, Inc., Class - A (Food Products)   8 
 847   U.S. Bancorp (Banks)   28 
 1,019   Uber Technologies, Inc. (Ground Transportation)(a)   47 
 175   UDR, Inc. (Residential REITs)   6 
 45   U-Haul Holding Co. (Ground Transportation)   2 
 184   UiPath, Inc., Class - A (Software)(a)   3 
 30   Ulta Beauty, Inc. (Specialty Retail)(a)   12 
 342   Union Pacific Corp. (Ground Transportation)   70 
 403   United Parcel Service, Inc., Class - B (Air Freight & Logistics)   63 
 39   United Rentals, Inc. (Trading Companies & Distributors)   17 
 27   United Therapeutics Corp. (Biotechnology)(a)   6 
 525   UnitedHealth Group, Inc. (Health Care Providers & Services)   265 
 142   Unity Software, Inc. (Software)(a)   4 
 34   Universal Health Services, Inc., Class - B (Health Care Providers & Services)   4 
 208   V.F. Corp. (Textiles, Apparel & Luxury Goods)   4 
 25   Vail Resorts, Inc. (Hotels, Restaurants & Leisure)   6 
 203   Valero Energy Corp. (Oil, Gas & Consumable Fuels)   29 
 85   Veeva Systems, Inc., Class - A (Health Care Technology)(a)   17 
 229   Ventas, Inc. (Health Care REITs)   10 
 54   VeriSign, Inc. (IT Services)(a)   11 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 83   Verisk Analytics, Inc. (Professional Services)  $20 
 2,354   Verizon Communications, Inc. (Diversified Telecommunication Services)   76 
 561   VICI Properties, Inc. (Specialized REITs)   16 
 910   Visa, Inc., Class - A (Financial Services)   209 
 181   Vistra Corp. (Independent Power and Renewable Electricity Producers)   6 
 132   VMware, Inc., Class - A (Software)(a)   22 
 75   Vulcan Materials Co. (Construction Materials)   15 
 125   W.R. Berkley Corp. (Insurance)   8 
 26   W.W. Grainger, Inc. (Trading Companies & Distributors)   18 
 415   Walgreens Boots Alliance, Inc. (Consumer Staples Distribution & Retail)   9 
 834   Walmart, Inc. (Consumer Staples Distribution & Retail)   133 
 1,278   Warner Bros. Discovery, Inc. (Entertainment)(a)   14 
 229   Waste Management, Inc. (Commercial Services & Supplies)   35 
 32   Waters Corp. (Life Sciences Tools & Services)(a)   9 
 20   Watsco, Inc. (Trading Companies & Distributors)   8 
 93   Webster Financial Corp. (Banks)   4 
 181   WEC Energy Group, Inc. (Multi-Utilities)   15 
 2,066   Wells Fargo & Co. (Banks)   84 
 277   Welltower, Inc. (Health Care REITs)   23 
 41   West Pharmaceutical Services, Inc. (Life Sciences Tools & Services)   15 
 183   Western Digital Corp. (Technology Hardware, Storage & Peripherals)(a)   8 
 108   Westinghouse Air Brake Technologies Corp. (Machinery)   11 
 19   Westlake Corp. (Chemicals)   2 
 137   Westrock Co. (Containers & Packaging)   5 
 418   Weyerhaeuser Co. (Specialized REITs)   13 
 31   Whirlpool Corp. (Household Durables)   4 
 66   Wolfspeed, Inc. (Semiconductors & Semiconductor Equipment)(a)   3 
 113   Workday, Inc., Class - A (Software)(a)   24 
 123   WP Carey, Inc. (Diversified REITs)   7 
 55   Wynn Resorts Ltd. (Hotels, Restaurants & Leisure)   5 
 306   Xcel Energy, Inc. (Electric Utilities)   18 
 138   Xylem, Inc. (Machinery)   13 
 164   Yum! Brands, Inc. (Hotels, Restaurants & Leisure)   20 
 30   Zebra Technologies Corp. (Electronic Equipment, Instruments & Components)(a)   7 
 80   Zillow Group, Inc., Class - C (Real Estate Management & Development)(a)   4 
 122   Zimmer Biomet Holdings, Inc. (Health Care Equipment & Supplies)   14 
 258   Zoetis, Inc. (Pharmaceuticals)   45 
 129   Zoom Video Communications, Inc., Class - A (Software)(a)   9 
 144   ZoomInfo Technologies, Inc. (Interactive Media & Services)(a)   2 
 47   Zscaler, Inc. (Software)(a)   7 
         18,573 

 

 

HC CAPITAL TRUST  

The Catholic SRI Growth Portfolio  

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited) 

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Uruguay — 0.12%     
 25   MercadoLibre, Inc. (Broadline Retail)(a)  $32 
     Total Common Stocks   26,972 
           
     Warrant — 0.00%     
     Canada — 0.00%     
 12   Constellation Software, Inc., 3/31/40 (Software)(a)(c)    
     Total Warrant    
           
     Investment Companies — 0.14%     
 24,181   Federated Hermes Treasury Obligations Fund, Institutional Shares, 4.99%^^(d)   24 
 14,754   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)   15 
     Total Investment Companies   39 
           
     Total Investments (cost $18,582) — 99.77%   27,011 
     Other assets in excess of liabilities — 0.23%   62 
           
     Net Assets - 100.00%  $27,073 

      

Amounts designated as "—" are $0 or have been rounded to $0.

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt
REIT—Real Estate Investment Trust
 

As of September 30, 2023, 100% of the Portfolio’s net assets were managed by Mellon Investments Corporation.

 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 87.71%
    Australia — 5.46%
 15,521   Ampol Ltd. (Oil, Gas & Consumable Fuels)   $335 
 153,655   ANZ Group Holdings Ltd. (Banks)    2,520 
 35,958   APA Group (Gas Utilities)    191 
 21,823   Aristocrat Leisure Ltd. (Hotels, Restaurants & Leisure)    570 
 82,839   Bendigo & Adelaide Bank Ltd. (Banks)    472 
 85,014   BHP Group Ltd. (Metals & Mining)    2,413 
 70,201   BHP Group Ltd. (Metals & Mining)    1,972 
 43,919   Commonwealth Bank of Australia (Banks)    2,805 
 53,824   Fortescue Metals Group Ltd. (Metals & Mining)    715 
 68,557   Goodman Group (Industrial REITs)    939 
 7,899   Macquarie Group Ltd. (Capital Markets)    846 
 104,574   Medibank Pvt. Ltd. (Insurance)    231 
 174,147   National Australia Bank Ltd. (Banks)    3,231 
 41,245   Qantas Airways Ltd. (Passenger Airlines)(a)    137 
 55,092   QBE Insurance Group Ltd. (Insurance)    552 
 16,336   Rio Tinto Ltd. (Metals & Mining)    1,178 
 150,128   Santos Ltd. (Oil, Gas & Consumable Fuels)(b)    757 
 205,252   Scentre Group (Retail REITs)    322 
 90,538   Stockland (Diversified REITs)    227 
 18,427   Suncorp Group Ltd. (Insurance)    164 
 562,458   Tabcorp Holdings Ltd. (Hotels, Restaurants & Leisure)    339 
 562,458   The Lottery Corp. Ltd. (Hotels, Restaurants & Leisure)    1,699 
 44,996   Treasury Wine Estates Ltd. (Beverages)    355 
 63,839   Wesfarmers Ltd. (Broadline Retail)    2,160 
 148,167   Westpac Banking Corp. (Banks)    2,002 
 28,099   Woodside Energy Group Ltd. (Oil, Gas & Consumable Fuels)    653 
 35,740   Worley Ltd. (Energy Equipment & Services)    397 
         28,182 
           
     Austria — 0.20%     
 23,927   Erste Group Bank AG (Banks)(b)    826 
 4,792   OMV AG (Oil, Gas & Consumable Fuels)    229 
         1,055 
           
     Belgium — 0.50%     
 40,660   Anheuser-Busch InBev SA/N.V. (Beverages)    2,254 
 4,129   Groupe Bruxelles Lambert N.V. (Financial Services)    307 
         2,561 
           
     Canada — 9.44%     
 30,089   Air Canada (Passenger Airlines)(a)    429 
 166,444   Algonquin Power & Utilities Corp. (Multi-Utilities)    985 
 50,883   Alimentation Couche-Tard, Inc. (Consumer Staples Distribution & Retail)    2,584 
 8,987   AltaGas Ltd. (Gas Utilities)    172 
 45,514   Bank of Montreal (Banks)    3,839 
 9,632   CAE, Inc. (Aerospace & Defense)(a)    225 
 31,854   Cameco Corp. (Oil, Gas & Consumable Fuels)    1,264 
 55,707   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)    3,603 
 3,130   Canadian Pacific Kansas City Ltd. (Ground Transportation)    233 
 11,085   Canadian Tire Corp. Ltd., Class - A (Broadline Retail)    1,192 
 3,259   CCL Industries, Inc., Class - B (Containers & Packaging)(b)    137 
 125,033   Cenovus Energy, Inc. (Oil, Gas & Consumable Fuels)    2,604 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Canada (continued)     
 835   Constellation Software, Inc. (Software)   $1,724 
 11,192   Dollarama, Inc. (Broadline Retail)    771 
 21,559   Enbridge, Inc. (Oil, Gas & Consumable Fuels)    715 
 1,023   Fairfax Financial Holdings Ltd. (Insurance)    835 
 17,917   First Quantum Minerals Ltd. (Metals & Mining)    423 
 7,691   Franco-Nevada Corp. (Metals & Mining)    1,027 
 24,142   GFL Environmental, Inc. (Commercial Services & Supplies)    767 
 64,358   Great-West Lifeco, Inc. (Insurance)    1,842 
 27,914   H&R Real Estate Investment Trust (Diversified REITs)    190 
 12,464   Hydro One Ltd. (Electric Utilities)(b)    317 
 5,430   Intact Financial Corp. (Insurance)(b)    792 
 56,358   Keyera Corp. (Oil, Gas & Consumable Fuels)    1,323 
 2,505   Lumine Group, Inc. (Software)(a)    37 
 28,660   Magna International, Inc. (Automobile Components)    1,536 
 8,370   Manulife Financial Corp. (Insurance)    153 
 15,818   Methanex Corp. (Chemicals)    713 
 18,402   National Bank of Canada (Banks)    1,223 
 3,339   Nutrien Ltd. (Chemicals)    206 
 1,984   Onex Corp. (Financial Services)    117 
 7,732   Pembina Pipeline Corp. (Oil, Gas & Consumable Fuels)    233 
 66,482   Power Corp. of Canada (Insurance)    1,693 
 6,978   Primaris Real Estate Investment Trust (Retail REITs)    69 
 4,162   RB Global, Inc. (Commercial Services & Supplies)    261 
 1,726   Restaurant Brands International, Inc. (Hotels, Restaurants & Leisure)    115 
 67,963   RioCan Real Estate Investment Trust (Diversified REITs)    904 
 2,933   Rogers Communications, Inc., Class - B (Wireless Telecommunication Services)    113 
 12,373   Royal Bank of Canada (Banks)    1,081 
 52,851   Shopify, Inc., Class - A (IT Services)(a)    2,885 
 52,951   Sun Life Financial, Inc. (Insurance)    2,584 
 5,745   Suncor Energy, Inc. (Oil, Gas & Consumable Fuels)    198 
 18,439   Teck Resources Ltd., Class - B (Metals & Mining)    794 
 72,937   TELUS Corp. (Diversified Telecommunication Services)    1,191 
 12,498   The Toronto-Dominion Bank (Banks)    753 
 22,457   Thomson Reuters Corp. (Professional Services)    2,748 
 28,308   Wheaton Precious Metals Corp. (Metals & Mining)    1,149 
         48,749 
           
     Denmark — 2.85%     
 2,246   DSV A/S (Air Freight & Logistics)    419 
 7,565   Genmab A/S (Biotechnology)(a)(b)    2,679 
 127,453   Novo Nordisk A/S, Class - B (Pharmaceuticals)    11,606 
         14,704 
           
     Finland — 1.02%     
 8,545   Fortum Oyj (Electric Utilities)    99 
 231,473   Nokia Oyj (Communications Equipment)    870 
 278,699   Nordea Bank Abp (Banks)    3,057 
 3,545   Orion Oyj, Class - B (Pharmaceuticals)    139 
 4,385   Sampo Oyj, A Shares (Insurance)    190 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Finland (continued)     
 44,232   Stora Enso Oyj, Registered Shares (Paper & Forest Products)   $554 
 10,204   UPM-Kymmene Oyj (Paper & Forest Products)    349 
         5,258 
           
     France — 9.48%     
 2,427   Aeroports de Paris (Transportation Infrastructure)    286 
 21,951   Air Liquide SA (Chemicals)    3,697 
 23,149   Airbus SE (Aerospace & Defense)    3,098 
 47,723   AXA SA (Insurance)    1,416 
 1,813   BioMerieux (Health Care Equipment & Supplies)    175 
 46,563   BNP Paribas SA (Banks)    2,960 
 4,957   Bouygues SA (Construction & Engineering)    173 
 1,044   Capgemini SE (IT Services)    182 
 7,205   Carrefour SA (Consumer Staples Distribution & Retail)(b)    124 
 3,697   Cie de Saint-Gobain (Building Products)    221 
 99,973   Credit Agricole SA (Banks)    1,229 
 19,644   Dassault Systemes SE (Software)    730 
 1,749   Eiffage SA (Construction & Engineering)(b)    166 
 25,532   Engie SA (Multi-Utilities)    392 
 18,607   EssilorLuxottica SA (Health Care Equipment & Supplies)    3,236 
 2,933   Eurazeo SE (Financial Services)    175 
 1,743   Euroapi SA (Pharmaceuticals)(a)    22 
 1,233   Gecina SA (Office REITs)(b)    126 
 2,454   Hermes International SCA (Textiles, Apparel & Luxury Goods)    4,473 
 10,109   L'Oreal SA (Personal Care Products)    4,189 
 5,264   LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)    3,973 
 8,063   Pernod Ricard SA (Beverages)    1,342 
 8,075   Publicis Groupe SA (Media)    611 
 7,261   Renault SA (Automobile Components)    297 
 40,016   Sanofi (Pharmaceuticals)    4,296 
 34,976   Schneider Electric SE (Electrical Equipment)(b)    5,762 
 100,509   Societe Generale SA (Banks)    2,432 
 4,176   Thales SA (Aerospace & Defense)    587 
 26,862   TotalEnergies SE (Oil, Gas & Consumable Fuels)    1,766 
 7,086   Unibail-Rodamco-Westfield (Retail REITs)(a)    348 
 15,933   Veolia Environnement SA (Multi-Utilities)    460 
         48,944 
           
     Germany — 6.36%     
 13,053   adidas AG (Textiles, Apparel & Luxury Goods)    2,289 
 10,077   Allianz SE, Registered Shares (Insurance)    2,398 
 1,793   Bayerische Motoren Werke AG (Automobile Components)    182 
 1,065   Beiersdorf AG (Personal Care Products)    137 
 33,975   Commerzbank AG (Banks)    386 
 2,692   Covestro AG (Chemicals)(a)(b)    145 
 1,439   Daimler Truck Holding AG (Machinery)    50 
 113,622   Deutsche Bank AG, Registered Shares (Capital Markets)    1,249 
 21,575   Deutsche Boerse AG (Capital Markets)    3,725 
 128,506   Deutsche Telekom AG (Diversified Telecommunication Services)(b)    2,695 
 69,579   DHL Group (Air Freight & Logistics)    2,823 
 6,746   Fraport AG Frankfurt Airport Services Worldwide (Transportation Infrastructure)(a)    357 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Germany (continued)     
 6,983   GEA Group AG (Machinery)   $257 
 1,115   Hannover Rueck SE (Insurance)    245 
 82,230   Infineon Technologies AG (Semiconductors & Semiconductor Equipment)(b)    2,723 
 2,540   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares (Insurance)    989 
 18,514   RWE AG (Independent Power and Renewable Electricity Producers)    687 
 42,196   SAP SE (Software)    5,461 
 1,461   Sartorius AG, Preference Shares (Life Sciences Tools & Services)    495 
 28,228   Siemens AG, Registered Shares (Industrial Conglomerates)    4,033 
 8,525   Symrise AG (Chemicals)(b)    811 
 6,109   Volkswagen AG, Preference Shares (Automobile Components)    702 
         32,839 
           
     Hong Kong — 1.57%     
 483,480   AIA Group Ltd. (Insurance)    3,909 
 75,055   BOC Hong Kong Holdings Ltd. (Banks)    205 
 334,000   China Common Rich Renewable Energy Investment Ltd. (Independent Power and Renewable Electricity Producers)(a)(c)     
 189,000   CK Asset Holdings Ltd. (Real Estate Management & Development)    993 
 14,500   CLP Holdings Ltd. (Electric Utilities)    107 
 73,000   Galaxy Entertainment Group Ltd. (Hotels, Restaurants & Leisure)    437 
 15,506   Hang Seng Bank Ltd. (Banks)    192 
 9,100   Jardine Matheson Holdings Ltd. (Industrial Conglomerates)    422 
 225,917   Link REIT (Retail REITs)    1,105 
 14,472   Pacific Century Premium Developments Ltd. (Real Estate Management & Development)(a)    1 
 121,391   PCCW Ltd. (Diversified Telecommunication Services)    55 
 24,000   Swire Pacific Ltd., Class - A (Real Estate Management & Development)    162 
 52,000   Techtronic Industries Co. Ltd. (Machinery)    502 
         8,090 
           
     Ireland (Republic of) — 1.24%     
 8,728   AerCap Holdings N.V. (Trading Companies & Distributors)(a)    547 
 332,317   Bank of Ireland Group PLC (Banks)    3,248 
 24,053   CRH PLC (Construction Materials)    1,326 
 25,494   Experian PLC (Professional Services)    834 
 16,821   James Hardie Industries PLC (Construction Materials)(a)    440 
         6,395 
           
     Israel — 0.30%     
 862   CyberArk Software Ltd. (Software)(a)    141 
 7,198   Nice Ltd., ADR (Software)(a)    1,223 
 1,228   Nice Ltd. (Software)(a)    210 
         1,574 
           
     Italy — 1.43%     
 3,755   Amplifon SpA (Health Care Providers & Services)    111 
 69,888   Assicurazioni Generali SpA (Insurance)    1,426 
 47,935   Enel SpA (Electric Utilities)    294 
 1,561   Ferrari N.V. (Automobiles)    460 
 157,139   Intesa Sanpaolo SpA (Banks)(b)    402 
 7,820   Iveco Group N.V. (Machinery)(a)    73 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Italy (continued)     
 168,665   Mediobanca Banca di Credito Finanziario SpA (Banks)   $2,224 
 7,356   Moncler SpA (Textiles, Apparel & Luxury Goods)    426 
 10,481   Poste Italiane SpA (Insurance)(b)    110 
 110,979   Snam SpA (Gas Utilities)    521 
 180,455   Terna - Rete Elettrica Nazionale (Electric Utilities)    1,357 
         7,404 
           
     Japan — 17.81%     
 8,800   Advantest Corp. (Semiconductors & Semiconductor Equipment)(b)    245 
 19,900   Aeon Co. Ltd. (Consumer Staples Distribution & Retail)    394 
 6,845   AGC, Inc. (Building Products)    240 
 4,500   Aisin Corp. (Automobile Components)    170 
 27,300   Ajinomoto Co., Inc. (Food Products)    1,053 
 15,300   Amada Co. Ltd. (Machinery)    154 
 5,100   ANA Holdings, Inc. (Passenger Airlines)(a)(b)    107 
 16,500   Asahi Group Holdings Ltd. (Beverages)(b)    616 
 5,900   Asahi Intecc Co. Ltd. (Health Care Equipment & Supplies)    106 
 103,600   Astellas Pharma, Inc. (Pharmaceuticals)    1,434 
 3,900   Azbil Corp. (Electronic Equipment, Instruments & Components)    119 
 21,100   Bandai Namco Holdings, Inc. (Leisure Products)    429 
 15,200   Bridgestone Corp. (Automobile Components)    592 
 38,300   Canon, Inc. (Technology Hardware, Storage & Peripherals)    923 
 4,300   Capcom Co. Ltd. (Entertainment)    155 
 4,500   Central Japan Railway Co. (Ground Transportation)    109 
 11,800   Chubu Electric Power Co., Inc. (Electric Utilities)    150 
 293,700   Concordia Financial Group Ltd. (Banks)    1,338 
 13,388   Dai Nippon Printing Co. Ltd. (Commercial Services & Supplies)    348 
 58,800   Daifuku Co. Ltd. (Machinery)    1,110 
 40,900   Dai-ichi Life Holdings, Inc. (Insurance)    844 
 1,979   Daito Trust Construction Co. Ltd. (Real Estate Management & Development)    208 
 15,550   Daiwa House Industry Co. Ltd. (Real Estate Management & Development)    417 
 12,000   Denso Corp. (Automobile Components)    193 
 4,800   Dentsu Group, Inc. (Media)    141 
 7,700   Eisai Co. Ltd. (Pharmaceuticals)    427 
 30,000   ENEOS Holdings, Inc. (Oil, Gas & Consumable Fuels)    118 
 3,900   Fuji Electric Co. Ltd. (Electrical Equipment)    176 
 8,400   FUJIFILM Holdings Corp. (Technology Hardware, Storage & Peripherals)    486 
 10,900   Fujitsu Ltd. (IT Services)(b)    1,282 
 37,100   Hitachi Ltd. (Industrial Conglomerates)    2,300 
 48,300   Honda Motor Co. Ltd. (Automobile Components)    543 
 3,600   Hoshizaki Corp. (Machinery)    125 
 20,700   Hoya Corp. (Health Care Equipment & Supplies)    2,120 
 8,800   Iida Group Holdings Co. Ltd. (Household Durables)    146 
 39,100   Inpex Corp. (Oil, Gas & Consumable Fuels)    587 
 22,100   Isetan Mitsukoshi Holdings Ltd. (Broadline Retail)    256 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 21,000   Isuzu Motors Ltd. (Automobile Components)   $264 
 92,317   ITOCHU Corp. (Trading Companies & Distributors)    3,334 
 24,200   Japan Airlines Co. Ltd. (Passenger Airlines)(b)    470 
 70,600   Japan Exchange Group, Inc. (Capital Markets)    1,308 
 8,300   Japan Post Insurance Co. Ltd. (Insurance)(b)    140 
 5,554   JSR Corp. (Chemicals)    149 
 9,200   Kawasaki Heavy Industries Ltd. (Machinery)    223 
 101,200   KDDI Corp. (Wireless Telecommunication Services)    3,098 
 33,900   Keio Corp. (Ground Transportation)    1,166 
 6,500   Keyence Corp. (Electronic Equipment, Instruments & Components)    2,404 
 4,400   Kikkoman Corp. (Food Products)    231 
 8,145   Komatsu Ltd. (Machinery)    220 
 12,300   Kose Corp. (Personal Care Products)    892 
 6,000   Lasertec Corp. (Semiconductors & Semiconductor Equipment)    933 
 22,200   Makita Corp. (Machinery)    548 
 63,300   Marubeni Corp. (Trading Companies & Distributors)    987 
 43,300   Mazda Motor Corp. (Automobile Components)    492 
 6,700   MEIJI Holdings Co. Ltd. (Food Products)    167 
 57,145   Mitsubishi Corp. (Trading Companies & Distributors)    2,723 
 34,200   Mitsubishi Estate Co. Ltd. (Real Estate Management & Development)    446 
 9,700   Mitsubishi Heavy Industries Ltd. (Machinery)    541 
 432,200   Mitsubishi UFJ Financial Group, Inc. (Banks)    3,662 
 131,788   Mitsui & Co. Ltd. (Trading Companies & Distributors)    4,780 
 36,100   Mitsui Fudosan Co. Ltd. (Real Estate Management & Development)    795 
 16,600   Mitsui O.S.K. Lines Ltd. (Marine Transportation)    456 
 109,800   Murata Manufacturing Co. Ltd. (Electronic Equipment, Instruments & Components)    2,003 
 14,700   NEC Corp. (IT Services)    812 
 20,600   Nexon Co. Ltd. (Entertainment)    368 
 19,200   Nikon Corp. (Household Durables)    202 
 2,800   NIPPON EXPRESS HOLDINGS, INC. (Air Freight & Logistics)    146 
 6,300   Nippon Sanso Holdings Corp. (Chemicals)    149 
 35,500   Nippon Shinyaku Co. Ltd. (Pharmaceuticals)    1,499 
 30,800   Nippon Steel Corp. (Metals & Mining)(b)    722 
 910,000   Nippon Telegraph & Telephone Corp. (Diversified Telecommunication Services)    1,077 
 70,600   Nissan Motor Co. Ltd. (Automobile Components)    312 
 8,800   Nisshin Seifun Group, Inc. (Food Products)    112 
 4,600   Nomura Real Estate Holdings, Inc. (Real Estate Management & Development)    116 
 129   Nomura Real Estate Master Fund, Inc. (Diversified REITs)    145 
 17,800   Nomura Research Institute Ltd. (IT Services)    463 
 2,400   Obic Co. Ltd. (IT Services)    364 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 89,200   Odakyu Electric Railway Co. Ltd. (Ground Transportation)   $1,333 
 10,400   Omron Corp. (Electronic Equipment, Instruments & Components)    463 
 10,800   ORIX Corp. (Financial Services)    202 
 28,800   Otsuka Holdings Co. Ltd. (Pharmaceuticals)    1,023 
 12,700   Pan Pacific International Holdings Corp. (Broadline Retail)    267 
 156,600   Panasonic Holdings Corp. (Household Durables)    1,768 
 243,800   Rakuten Group, Inc. (Broadline Retail)(b)    1,002 
 43,800   Recruit Holdings Co. Ltd. (Professional Services)    1,340 
 22,400   Rohm Co. Ltd. (Semiconductors & Semiconductor Equipment)    421 
 19,600   SBI Holdings, Inc. (Capital Markets)    413 
 35,552   Sekisui House Ltd. (Household Durables)    708 
 46,500   Shin-Etsu Chemical Co. Ltd. (Chemicals)    1,351 
 12,800   Sompo Holdings, Inc. (Insurance)    549 
 7,100   Sony Group Corp. (Household Durables)    581 
 23,900   Subaru Corp. (Automobile Components)    465 
 14,148   Sumitomo Mitsui Financial Group, Inc. (Banks)    695 
 4,800   Sumitomo Realty & Development Co. Ltd. (Real Estate Management & Development)    125 
 3,000   Suzuki Motor Corp. (Automobile Components)    121 
 8,500   T&D Holdings, Inc. (Insurance)    140 
 25,000   Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals)    775 
 8,700   Terumo Corp. (Health Care Equipment & Supplies)    230 
 2,900   The Bank of Kyoto Ltd. (Banks)    163 
 22,400   The Chiba Bank Ltd. (Banks)    163 
 29,700   Tokio Marine Holdings, Inc. (Insurance)    688 
 80,800   Tokyo Electric Power Co. Holdings, Inc. (Electric Utilities)(a)    360 
 26,400   Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)    3,607 
 25,700   Tokyu Fudosan Holdings Corp. (Real Estate Management & Development)    158 
 14,700   Toshiba Corp. (Industrial Conglomerates)(a)    453 
 17,900   Toyota Industries Corp. (Machinery)    1,409 
 485,000   Toyota Motor Corp. (Automobile Components)    8,701 
 6,770   Toyota Tsusho Corp. (Trading Companies & Distributors)    398 
 6,427   Trend Micro, Inc. (Software)    243 
 46,400   Unicharm Corp. (Household Products)    1,641 
 7,500   West Japan Railway Co. (Ground Transportation)(b)    310 
 3,400   Yakult Honsha Co. Ltd. (Food Products)    83 
 8,700   Yamato Holdings Co. Ltd. (Air Freight & Logistics)    142 
 72,900   Z Holdings Corp. (Interactive Media & Services)    202 
 5,700   ZOZO, Inc. (Specialty Retail)(b)    104 
         91,877 
           
     Luxembourg — 0.43%     
 27,423   ArcelorMittal SA (Metals & Mining)    686 
 96,377   Tenaris SA (Energy Equipment & Services)    1,523 
         2,209 
           
     Netherlands — 3.71%     
 57,506   ABN AMRO Bank N.V. (Banks)(b)    813 
 73,595   Aegon Ltd. (Insurance)    355 
 24,788   Akzo Nobel N.V. (Chemicals)   1,787 
 728   Argenx SE (Biotechnology)(a)    356 
 10,915   ASML Holding N.V. (Semiconductors & Semiconductor Equipment)(b)    6,424 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Netherlands (continued)     
 15,440    DSM BV (Chemicals)  $1,525 
 4,144   EXOR N.V. (Financial Services)    366 
 14,622   ING Groep N.V. (Banks)    193 
 61,918   Koninklijke Ahold Delhaize N.V. (Consumer Staples Distribution & Retail)    1,866 
 78,125   Prosus N.V. (Broadline Retail)(a)(b)    2,301 
 87,671   Stellantis N.V. (Automobile Components)    1,679 
 1,552   Topicus.com, Inc. (Software)(a)    103 
 11,488   Wolters Kluwer N.V. (Professional Services)    1,391 
         19,159 
           
     New Zealand — 0.08%     
 55,967   Auckland International Airport Ltd. (Transportation Infrastructure)    265 
 57,025   Spark New Zealand Ltd. (Diversified Telecommunication Services)    164 
         429 
           
     Norway — 0.78%     
 11,596   DNB Bank ASA (Banks)    233 
 105,375   Equinor ASA (Oil, Gas & Consumable Fuels)    3,454 
 20,518   Mowi ASA (Food Products)(b)    363 
         4,050 
           
     Portugal — 0.27%     
 338,113   EDP - Energias de Portugal SA (Electric Utilities)    1,406 
           
     Singapore — 0.83%     
 232,772   CapitaLand Ascendas REIT (Industrial REITs)    467 
 3,306   CapitaLand Ascott Trust (Hotel & Resort REITs)    2 
 175,970   CapitaLand Integrated Commercial Trust (Retail REITs)    238 
 58,000   CapitaLand Investment Ltd. (Real Estate Management & Development)    131 
 57,800   DBS Group Holdings Ltd. (Banks)    1,420 
 14,500   Oversea-Chinese Banking Corp. Ltd. (Banks)    136 
 58,700   Singapore Airlines Ltd. (Passenger Airlines)(b)    277 
 18,700   Singapore Exchange Ltd. (Capital Markets)    133 
 67,900   Singapore Telecommunications Ltd. (Diversified Telecommunication Services)    120 
 6,600   United Overseas Bank Ltd. (Banks)    137 
 457,800   Wilmar International Ltd. (Food Products)    1,246 
         4,307 
           
     South Africa — 0.01%     
 4,663   Thungela Resources Ltd. (Oil, Gas & Consumable Fuels)    43 
           
     South Korea — 0.04%     
 4,504   Samsung Electronics Co. Ltd. (Technology Hardware, Storage & Peripherals)    228 
           
     Spain — 1.90%     
 4,412   ACS Actividades de Construccion y Servicios SA (Construction & Engineering)    159 
 1,451   Aena SME SA (Transportation Infrastructure)(b)    218 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Spain (continued)     
 10,177   Amadeus IT Group SA (Professional Services)   $615 
 620,640   Banco Bilbao Vizcaya Argentaria SA (Banks)    5,021 
 28,433   Bankinter SA (Banks)    181 
 62,673   CaixaBank SA (Banks)    250 
 246,056   Iberdrola SA (Electric Utilities)    2,752 
 11,872   Naturgy Energy Group SA (Gas Utilities)    323 
 17,963   Repsol SA (Oil, Gas & Consumable Fuels)    295 
         9,814 
           
     Sweden — 1.64%     
 1,283   Alleima AB (Metals & Mining)    7 
 10,590   Assa Abloy AB, Class – B (Building Products)    230 
 90,968   Atlas Copco AB, Class - A (Machinery)    1,222 
 59,272   Atlas Copco AB, Class - B (Machinery)    693 
 24,108   L E Lundbergforetagen AB, Class - B (Financial Services)    1,006 
 5,141   Sagax AB, Class - B (Real Estate Management & Development)    98 
 11,977   Securitas AB, Class - B (Commercial Services & Supplies)    95 
 51,934   Skandinaviska Enskilda Banken AB, Class - A (Banks)    619 
 32,522   Swedbank AB, Class - A (Banks)    598 
 134,852   Tele2 AB, B shares (Wireless Telecommunication Services)    1,032 
 221,609   Telia Co. AB (Diversified Telecommunication Services)(b)    457 
 117,701   Volvo AB, Class - B (Machinery)    2,425 
         8,482 
           
     Switzerland — 8.49%     
 135,931   ABB Ltd., Registered Shares (Electrical Equipment)    4,853 
 6,796   Accelleron Industries AG (Electrical Equipment)    176 
 8,475   Alcon, Inc. (Health Care Equipment & Supplies)    654 
 1,838   Baloise Holding AG, Registered Shares (Insurance)    266 
 44   Chocoladefabriken Lindt & Spruengli AG, Class - PC (Food Products)    489 
 19,821   Cie Financiere Richemont SA, Registered Shares (Textiles, Apparel & Luxury Goods)    2,415 
 13,970   Coca-Cola HBC AG (Beverages)    382 
 761   EMS-Chemie Holding AG (Chemicals)    516 
 387,007   Glencore PLC (Metals & Mining)(b)    2,203 
 5,080   Kuehne + Nagel International AG, Registered Shares (Marine Transportation)    1,444 
 4,844   Logitech International SA, Registered Shares (Technology Hardware, Storage & Peripherals)    333 
 4,467   Lonza Group AG, Registered Shares (Life Sciences Tools & Services)(b)    2,067 
 8,432   Medacta Group SA (Health Care Equipment & Supplies)(b)    1,065 
 77,294   Nestle SA, Registered Shares (Food Products)    8,752 
 67,717   Novartis AG, Registered Shares (Pharmaceuticals)    6,918 
 441   Partners Group Holding AG (Capital Markets)    495 
 12,047   Roche Holding AG (Pharmaceuticals)    3,290 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Switzerland (continued)     
 2,775   SGS SA, Registered Shares (Professional Services)(b)   $233 
 491   Sonova Holding AG (Health Care Equipment & Supplies)(b)    116 
 1,212   Swisscom AG, Registered Shares (Diversified Telecommunication Services)    720 
 1,098   The Swatch Group AG (Textiles, Apparel & Luxury Goods)    281 
 191,523   UBS Group AG (Capital Markets)    4,719 
 3,139   Zurich Insurance Group AG (Insurance)    1,437 
         43,824 
           
     United Kingdom — 11.27%     
 38,163   3i Group PLC (Capital Markets)    960 
 5,633   Admiral Group PLC (Insurance)    163 
 46,639   Anglo American PLC (Metals & Mining)    1,280 
 17,119   Ashtead Group PLC (Trading Companies & Distributors)    1,038 
 53,176   AstraZeneca PLC (Pharmaceuticals)(b)    7,170 
 31,506   Auto Trader Group PLC (Interactive Media & Services)(b)    237 
 221,258   Aviva PLC (Insurance)    1,047 
 121,738   BAE Systems PLC (Aerospace & Defense)    1,479 
 274,792   Barclays PLC (Banks)(b)    530 
 114,063   BP PLC (Oil, Gas & Consumable Fuels)    735 
 51,346   British American Tobacco PLC (Tobacco)    1,612 
 12,788   Bunzl PLC (Trading Companies & Distributors)    455 
 44,208   Burberry Group PLC (Textiles, Apparel & Luxury Goods)(b)    1,024 
 425,346   Centrica PLC (Multi-Utilities)(b)    800 
 39,102   CNH Industrial N.V. (Machinery)    475 
 10,781   Coca-Cola Europacific Partners PLC (Beverages)    674 
 68,973   Compass Group PLC (Hotels, Restaurants & Leisure)    1,679 
 40,786   Diageo PLC (Beverages)    1,503 
 38,064   Entain PLC (Hotels, Restaurants & Leisure)(b)    432 
 176,859   Haleon PLC (Personal Care Products)(b)    733 
 254,357   HSBC Holdings PLC (Banks)    1,990 
 90,451   Imperial Brands PLC (Tobacco)    1,835 
 242,896   Informa PLC (Media)    2,218 
 6,566   InterContinental Hotels Group PLC (Hotels, Restaurants & Leisure)    486 
 480,645   J Sainsbury PLC (Consumer Staples Distribution & Retail)    1,480 
 114,719   Kingfisher PLC (Specialty Retail)    311 
 26,793   Land Securities Group PLC (Diversified REITs)    192 
 152,198   Legal & General Group PLC (Insurance)    411 
 2,269   London Stock Exchange Group PLC (Capital Markets)(b)    227 
 93,766   M&G PLC (Financial Services)    225 
 14,782   Mondi PLC (Paper & Forest Products)    247 
 129,651   National Grid PLC (Multi-Utilities)    1,550 
 4,989   Next PLC (Broadline Retail)    442 
 101,197   Ocado Group PLC (Consumer Staples Distribution & Retail)(a)(b)    736 
 16,942   Pearson PLC (Diversified Consumer Services)    179 
 56,944   RELX PLC (Professional Services)    1,921 
 66,751   Rio Tinto PLC (Metals & Mining)    4,191 
 8,382   Severn Trent PLC (Water Utilities)(b)    242 
 298,341   Shell PLC (Oil, Gas & Consumable Fuels)    9,453 

 

 

 

HC CAPITAL TRUST 

The International Equity Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United Kingdom (continued)     
 12,142   Smiths Group PLC (Industrial Conglomerates)   $239 
 44,660   SSE PLC (Electric Utilities)    875 
 33,934   The Sage Group PLC (Software)    408 
 18,373   The Weir Group PLC (Machinery)    424 
 55,598   Unilever PLC (Personal Care Products)    2,750 
 10,568   United Utilities Group PLC (Water Utilities)    122 
 4,958   Whitbread PLC (Hotels, Restaurants & Leisure)    209 
 87,061   WPP PLC (Media)    776 
         58,165 
           
     United States — 0.60%     
 8,324   Linde PLC (Chemicals)    3,097 
     Total Common Stocks    452,845 
           
     Warrant — 0.00%     
     Canada — 0.00%     
 835   Constellation Software, Inc., 3/31/40 (Software)(a)(c)     
     Total Warrant     
           
     Investment Company — 10.14%     
 52,376,515   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)    52,377 
     Total Investment Company    52,377 
           

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*

Shares   Security Description  Value
(000)
 
     Total Investments (cost $321,726) — 97.85%   $505,222 
     Other assets in excess of liabilities — 2.15%    11,087 
           
     Net Assets - 100.00%  $516,309 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

ADR—American Depositary Receipt
REIT—Real Estate Investment Trust
 

As of September 30, 2023, 100% of the Portfolio's net assets were managed by Parametric Portfolio Associates, LLC.


 

Description  Number of
Contracts
  Expiration Date   Notional Amount
(000)
    Value and Unrealized Appreciation/ (Depreciation)
(000)
 
MSCI EAFE Index Future   561  12/15/23  $57,264   $(1,276)
         $57,264   $(1,276)
                 
  Total Unrealized Appreciation       $ 
  Total Unrealized Depreciation        (1,276)
  Total Net Unrealized Appreciation/(Depreciation)   $(1,276)

 

* Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
    Common Stocks — 58.42%
    Australia — 3.62%
 4,667   Ampol Ltd. (Oil, Gas & Consumable Fuels)   $101 
 64,457   ANZ Group Holdings Ltd. (Banks)    1,057 
 60,829   APA Group (Gas Utilities)    323 
 12,428   Aristocrat Leisure Ltd. (Hotels, Restaurants & Leisure)    325 
 8,220   ASX Ltd. (Capital Markets)    300 
 76,862   Aurizon Holdings Ltd. (Ground Transportation)    172 
 108,290   BHP Group Ltd. (Metals & Mining)    3,040 
 9,452   BlueScope Steel Ltd. (Metals & Mining)    117 
 47,697   Brambles Ltd. (Commercial Services & Supplies)    439 
 1,873   Cochlear Ltd. (Health Care Equipment & Supplies)    307 
 47,294   Coles Group Ltd. (Consumer Staples Distribution & Retail)    472 
 35,682   Commonwealth Bank of Australia (Banks)    2,279 
 19,785   Computershare Ltd. (Professional Services)    330 
 10,833   CSL Ltd. (Biotechnology)    1,745 
 38,829   Dexus (Diversified REITs)    181 
 3,158   EBOS Group Ltd. (Health Care Providers & Services)    65 
 82,102   Endeavour Group Ltd. (Consumer Staples Distribution & Retail)    277 
 35,442   Fortescue Metals Group Ltd. (Metals & Mining)    471 
 36,082   Goodman Group (Industrial REITs)    494 
 5,294   IDP Education Ltd. (Diversified Consumer Services)    72 
 14,776   IGO Ltd. (Metals & Mining)    119 
 80,752   Insurance Australia Group Ltd. (Insurance)    293 
 23,298   Lendlease Corp. Ltd. (Real Estate Management & Development) (b)    107 
 7,770   Macquarie Group Ltd. (Capital Markets)    832 
 159,100   Medibank Pvt. Ltd. (Insurance)    351 
 3,696   Mineral Resources Ltd. (Metals & Mining)    159 
 85,546   Mirvac Group (Diversified REITs)    116 
 67,368   National Australia Bank Ltd. (Banks)    1,250 
 30,294   Newcrest Mining Ltd. (Metals & Mining)    477 
 38,057   Northern Star Resources Ltd. (Metals & Mining)    252 
 9,744   Orica Ltd. (Chemicals)    97 
 37,296   Origin Energy Ltd. (Electric Utilities)    210 
 58,369   Pilbara Minerals Ltd. (Metals & Mining)    159 
 20,036   Qantas Airways Ltd. (Passenger Airlines)(a)    66 
 31,074   QBE Insurance Group Ltd. (Insurance)    311 
 7,422   Ramsay Health Care Ltd. (Health Care Providers & Services)    247 
 1,150   REA Group Ltd. (Interactive Media & Services)    114 
 4,902   Reece Ltd. (Trading Companies & Distributors)    58 
 7,907   Rio Tinto Ltd. (Metals & Mining)    570 
 69,772   Santos Ltd. (Oil, Gas & Consumable Fuels) (b)    352 
 112,940   Scentre Group (Retail REITs)    177 
 7,966   SEEK Ltd. (Interactive Media & Services)    113 
 16,699   Sonic Healthcare Ltd. (Health Care Providers & Services)    319 
 96,004   South32 Ltd. (Metals & Mining)    207 
 52,015   Stockland (Diversified REITs)    130 
 32,455   Suncorp Group Ltd. (Insurance)    289 
 156,931   Telstra Group Ltd. (Diversified Telecommunication Services)    388 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Australia (continued)     
 65,160   The GPT Group (Diversified REITs)   $162 
 115,173   The Lottery Corp. Ltd. (Hotels, Restaurants & Leisure)    348 
 80,813   Transurban Group (Transportation Infrastructure)    657 
 34,642   Treasury Wine Estates Ltd. (Beverages)    273 
 83,889   Vicinity Ltd. (Diversified REITs) (b)    91 
 6,205   Washington H Soul Pattinson & Co. Ltd. (Oil, Gas & Consumable Fuels)    129 
 25,256   Wesfarmers Ltd. (Broadline Retail)    855 
 75,327   Westpac Banking Corp. (Banks)    1,018 
 3,486   WiseTech Global Ltd. (Software)    145 
 40,168   Woodside Energy Group Ltd. (Oil, Gas & Consumable Fuels)    934 
 33,232   Woolworths Group Ltd. (Consumer Staples Distribution & Retail)    795 
         25,737 
           
     Austria — 0.08%     
 7,182   Erste Group Bank AG (Banks) (b)    249 
 3,193   OMV AG (Oil, Gas & Consumable Fuels)    152 
 1,476   Verbund AG (Electric Utilities)    120 
 2,516   voestalpine AG (Metals & Mining)    68 
         589 
           
     Belgium — 0.40%     
 3,275   Ageas SA/N.V. (Insurance)    135 
 18,569   Anheuser-Busch InBev SA/N.V. (Beverages)    1,030 
 707   D'ieteren Group (Distributors)    119 
 1,973   Elia Group SA/N.V. (Electric Utilities) (b)    193 
 2,046   Groupe Bruxelles Lambert N.V. (Financial Services)    152 
 5,235   KBC Group N.V. (Banks)    327 
 10   Lotus Bakeries N.V. (Food Products) (b)    81 
 334   Sofina SA (Financial Services)    67 
 1,525   Solvay SA, Class - A (Chemicals)    169 
 4,015   UCB SA (Pharmaceuticals)    328 
 4,241   Umicore SA (Chemicals) (b)    100 
 6,752   Warehouses De Pauw CVA (Industrial REITs)    167 
         2,868 
           
     Canada — 1.06%     
 1,462   Agnico Eagle Mines Ltd. (Metals & Mining)    66 
 21,898   Algonquin Power & Utilities Corp. (Multi-Utilities)    130 
 969   Alimentation Couche-Tard, Inc. (Consumer Staples Distribution & Retail)    49 
 2,261   AltaGas Ltd. (Gas Utilities)    43 
 7,590   Barrick Gold Corp. (Metals & Mining)    110 
 4,684   BCE, Inc. (Diversified Telecommunication Services)    179 
 1,723   Canadian Apartment Properties REIT (Residential REITs) (b)    57 
 13,097   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels)    848 
 9,879   Canadian Pacific Kansas City Ltd. (Ground Transportation)    735 
 273   Canadian Tire Corp. Ltd., Class - A (Broadline Retail)    29 
 9,303   Canadian Utilities Ltd., Class - A (Multi-Utilities)    197 
 1,772   CCL Industries, Inc., Class - B (Containers & Packaging) (b)    74 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Canada (continued)     
 40,585   Cenovus Energy, Inc. (Oil, Gas & Consumable Fuels)   $846 
 894   CGI, Inc. (IT Services)(a)    88 
 2,185   Dollarama, Inc. (Broadline Retail)    151 
 6,254   Emera, Inc. (Electric Utilities)    218 
 8,395   Empire Co. Ltd., Class - A (Consumer Staples Distribution & Retail)    228 
 137   Fairfax Financial Holdings Ltd. (Insurance)    112 
 6,275   Fortis, Inc. (Electric Utilities)    239 
 753   Franco-Nevada Corp. (Metals & Mining)    101 
 1,863   George Weston Ltd. (Consumer Staples Distribution & Retail)    207 
 4,338   Great-West Lifeco, Inc. (Insurance)    124 
 9,203   Hydro One Ltd. (Electric Utilities)(b)    234 
 1,309   Intact Financial Corp. (Insurance) (b)    191 
 2,779   Loblaw Cos. Ltd. (Consumer Staples Distribution & Retail)    236 
 4,312   Metro, Inc. (Consumer Staples Distribution & Retail)    224 
 10,561   Northland Power, Inc. (Independent Power and Renewable Electricity Producers)    172 
 3,407   Power Corp. of Canada (Insurance)    87 
 7,004   Quebecor, Inc., Class - B (Media)    150 
 2,547   RB Global, Inc. (Commercial Services & Supplies)    159 
 1,859   Restaurant Brands International, Inc. (Hotels, Restaurants & Leisure)    124 
 4,886   Rogers Communications, Inc., Class - B (Wireless Telecommunication Services)    188 
 780   Royal Bank of Canada (Banks)    68 
 7,793   Saputo, Inc. (Food Products) (b)    163 
 865   Sun Life Financial, Inc. (Insurance)    42 
 8,813   TELUS Corp. (Diversified Telecommunication Services)    144 
 555   The Bank of Nova Scotia (Banks)    25 
 1,503   The Descartes Systems Group, Inc. (Software)(a)    110 
 1,695   Thomson Reuters Corp. (Professional Services)    207 
 7,504   TMX Group Ltd. (Capital Markets)    161 
 656   Toromont Industries Ltd. (Trading Companies & Distributors)    53 
         7,569 
           
     Cayman Islands — 0.02%     
 55,060   Sands China Ltd. (Hotels, Restaurants & Leisure)(a)    167 
           
     Chile — 0.02%     
 8,529   Antofagasta PLC (Metals & Mining)    148 
           
     Denmark — 1.86%     
 67   A.P. Moller - Maersk A/S, Class - A (Marine Transportation)    119 
 152   A.P. Moller - Maersk A/S, Class - B (Marine Transportation)    273 
 4,495   Carlsberg A/S, Class - B (Beverages)    567 
 2,287   Chr Hansen Holding A/S (Chemicals) (b)    140 
 4,800   Coloplast A/S, Class - B (Health Care Equipment & Supplies)    508 
 32,471   Danske Bank A/S (Banks)    754 
 2,368   Demant A/S (Health Care Equipment & Supplies)(a)    98 
 3,969   DSV A/S (Air Freight & Logistics)    740 
 1,405   Genmab A/S (Biotechnology)(a) (b)    498 
 78,384   Novo Nordisk A/S, Class - B (Pharmaceuticals)    7,137 
 7,725   Novozymes A/S, B shares (Chemicals)    311 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Denmark (continued)     
 4,473   Orsted A/S (Electric Utilities)(b)   $243 
 1,866   Pandora A/S (Textiles, Apparel & Luxury Goods)    193 
 193   ROCKWOOL A/S, Class - B (Building Products)    47 
 22,604   Tryg A/S (Insurance) (b)    413 
 54,263   Vestas Wind Systems A/S (Electrical Equipment)(a)    1,161 
         13,202 
           
     Finland — 0.55%     
 5,503   Elisa Oyj (Diversified Telecommunication Services)    255 
 9,629   Fortum Oyj (Electric Utilities)^    112 
 10,049   Kesko Oyj, Class - B (Consumer Staples Distribution & Retail)    180 
 7,815   Kone Oyj, Class - B (Machinery)    330 
 13,507   Metso Oyj (Machinery) (b)    142 
 9,044   Neste Oyj (Oil, Gas & Consumable Fuels)^    306 
 113,258   Nokia Oyj (Communications Equipment)    426 
 75,658   Nordea Bank Abp (Banks)    830 
 5,044   Orion Oyj, Class - B (Pharmaceuticals)    198 
 11,320   Sampo Oyj, A Shares (Insurance)    489 
 12,295   Stora Enso Oyj, Registered Shares (Paper & Forest Products)    154 
 11,171   UPM-Kymmene Oyj (Paper & Forest Products)    382 
 10,263   Wartsila Oyj Abp (Machinery)    116 
         3,920 
           
     France — 6.87%     
 3,706   Accor SA (Hotels, Restaurants & Leisure)    125 
 582   Aeroports de Paris (Transportation Infrastructure)    69 
 11,756   Air Liquide SA (Chemicals)    1,980 
 12,619   Airbus SE (Aerospace & Defense)    1,689 
 6,209   Alstom SA (Machinery)    148 
 1,326   Amundi SA (Capital Markets)    74 
 1,288   Arkema SA (Chemicals)    127 
 39,368   AXA SA (Insurance)    1,168 
 4,321   BioMerieux (Health Care Equipment & Supplies)    418 
 22,394   BNP Paribas SA (Banks)    1,424 
 45,452   Bollore SE (Entertainment)    244 
 8,404   Bouygues SA (Construction & Engineering)    293 
 11,178   Bureau Veritas SA (Professional Services) (b)    278 
 3,493   Capgemini SE (IT Services)    609 
 29,961   Carrefour SA (Consumer Staples Distribution & Retail) (b)    515 
 10,004   Cie de Saint-Gobain (Building Products)    599 
 14,199   Cie Generale des Etablissements Michelin SCA (Automobile Components)    435 
 1,112   Covivio SA (Diversified REITs)    49 
 26,240   Credit Agricole SA (Banks)    323 
 18,237   Danone SA (Food Products)    1,005 
 1,676   Dassault Aviation SA (Aerospace & Defense) (b)    316 
 36,580   Dassault Systemes SE (Software)    1,358 
 8,220   Edenred (Financial Services)    514 
 1,723   Eiffage SA (Construction & Engineering) (b)    164 
 44,518   Engie SA (Multi-Utilities)    682 
 10,336   EssilorLuxottica SA (Health Care Equipment & Supplies)    1,798 
 945   Eurazeo SE (Financial Services)    56 
 1,488   Gecina SA (Office REITs) (b)    151 
 16,536   Getlink SE (Transportation Infrastructure)    264 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     France (continued)     
 1,059   Hermes International SCA (Textiles, Apparel & Luxury Goods)   $1,930 
 3,173   Ipsen SA (Pharmaceuticals)    416 
 1,585   Kering SA (Textiles, Apparel & Luxury Goods)    720 
 4,664   Klepierre SA (Retail REITs)    114 
 8,695   La Francaise des Jeux SAEM (Hotels, Restaurants & Leisure)    282 
 14,422   Legrand SA (Electrical Equipment)    1,325 
 7,009   L'Oreal SA (Personal Care Products)    2,904 
 6,820   LVMH Moet Hennessy Louis Vuitton SE (Textiles, Apparel & Luxury Goods)    5,146 
 74,137   Orange SA (Diversified Telecommunication Services) (b)    850 
 8,580   Pernod Ricard SA (Beverages)    1,429 
 4,903   Publicis Groupe SA (Media)    371 
 1,780   Remy Cointreau SA (Beverages)^    217 
 4,148   Renault SA (Automobile Components)    170 
 7,307   Safran SA (Aerospace & Defense)    1,145 
 34,829   Sanofi (Pharmaceuticals)    3,739 
 1,291   Sartorius Stedim Biotech (Life Sciences Tools & Services)    307 
 16,295   Schneider Electric SE (Electrical Equipment) (b)    2,684 
 2,238   SEB SA (Household Durables)    208 
 15,282   Societe Generale SA (Banks)    370 
 1,826   Sodexo SA (Hotels, Restaurants & Leisure)    188 
 3,140   Teleperformance (Professional Services)    395 
 4,176   Thales SA (Aerospace & Defense)    587 
 61,496   TotalEnergies SE (Oil, Gas & Consumable Fuels)    4,042 
 2,557   Unibail-Rodamco-Westfield (Retail REITs)(a)    126 
 4,470   Valeo (Automobile Components)    77 
 14,381   Veolia Environnement SA (Multi-Utilities)    416 
 11,361   Vinci SA (Construction & Engineering)    1,257 
 43,695   Vivendi SE (Media)    382 
 577   Wendel SE (Financial Services)    46 
 4,959   Worldline SA (Financial Services)(a)    139 
         48,857 
           
     Germany — 4.76%     
 7,431   adidas AG (Textiles, Apparel & Luxury Goods)    1,303 
 8,586   Allianz SE, Registered Shares (Insurance)    2,043 
 19,223   BASF SE (Chemicals)    870 
 23,006   Bayer AG, Registered Shares (Pharmaceuticals)    1,104 
 6,482   Bayerische Motoren Werke AG (Automobile Components)    658 
 1,288   Bayerische Motoren Werke AG, Preference Shares (Automobiles)    120 
 1,776   Bechtle AG (IT Services)    83 
 4,195   Beiersdorf AG (Personal Care Products)    541 
 3,679   Brenntag SE (Trading Companies & Distributors)    285 
 1,403   Carl Zeiss Meditec AG, Class - BR (Health Care Equipment & Supplies)    122 
 93,385   Commerzbank AG (Banks)    1,060 
 2,385   Continental AG (Automobile Components)    168 
 4,145   Covestro AG (Chemicals)(a)(    223 
 10,374   Daimler Truck Holding AG (Machinery)    359 
 3,686   Delivery Hero SE (Hotels, Restaurants & Leisure)(a)    105 
 41,340   Deutsche Bank AG, Registered Shares (Capital Markets)    454 
 5,414   Deutsche Boerse AG (Capital Markets)    935 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Germany (continued)     
 14,076   Deutsche Lufthansa AG, Registered Shares (Passenger Airlines)(a) (b)   $111 
 78,361   Deutsche Telekom AG (Diversified Telecommunication Services) (b)    1,643 
 21,270   DHL Group (Air Freight & Logistics)    863 
 2,383   Dr. Ing. h.c. F. Porsche AG, Preference Shares (Automobiles)    224 
 62,851   E.ON SE (Multi-Utilities)    743 
 4,094   Evonik Industries AG (Chemicals)    75 
 8,532   Fresenius Medical Care AG & Co. KGaA (Health Care Providers & Services)    367 
 12,921   Fresenius SE & Co. KGaA (Health Care Providers & Services)    401 
 5,758   GEA Group AG (Machinery)    212 
 1,748   Hannover Rueck SE (Insurance)    384 
 3,140   Heidelberg Materials AG (Construction Materials)    243 
 3,547   HelloFresh SE (Consumer Staples Distribution & Retail)(a)    105 
 2,119   Henkel AG & Co. KGaA (Household Products)    134 
 6,724   Henkel AG & Co. KGaA, Preference Shares (Household Products)    479 
 49,624   Infineon Technologies AG (Semiconductors & Semiconductor Equipment) (b)    1,643 
 2,344   Knorr-Bremse AG (Machinery)    149 
 3,977   LEG Immobilien SE (Real Estate Management & Development)(a)    273 
 17,286   Mercedes-Benz Group AG (Automobile Components)    1,203 
 3,726   Merck KGaA (Pharmaceuticals)    621 
 1,118   MTU Aero Engines AG (Aerospace & Defense)    202 
 2,968   Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen, Registered Shares (Insurance)    1,156 
 1,267   Nemetschek SE (Software)    77 
 3,320   Porsche Automobil Holding SE, Preference Shares (Automobile Components)    163 
 2,289   Puma SE (Textiles, Apparel & Luxury Goods) (b)    142 
 168   Rational AG (Machinery)    106 
 1,731   Rheinmetall AG (Aerospace & Defense)    445 
 36,918   RWE AG (Independent Power and Renewable Electricity Producers)    1,370 
 28,015   SAP SE (Software)    3,627 
 765   Sartorius AG, Preference Shares (Life Sciences Tools & Services)    259 
 3,797   Scout24 SE (Interactive Media & Services)    263 
 21,464   Siemens AG, Registered Shares (Industrial Conglomerates)    3,067 
 10,874   Siemens Energy AG (Electrical Equipment)(a)(b)    142 
 8,832   Siemens Healthineers AG (Health Care Equipment & Supplies)    447 
 5,455   Symrise AG (Chemicals) (b)    520 
 2,472   Talanx AG (Insurance)    156 
 146,459   Telefonica Deutschland Holding AG (Diversified Telecommunication Services)    262 
 640   Volkswagen AG (Automobiles)    84 
 4,408   Volkswagen AG, Preference Shares (Automobile Components)    506 
 15,420   Vonovia SE (Real Estate Management & Development)    369 
 383   Wacker Chemie AG (Chemicals)    55 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Germany (continued)     
 4,937   Zalando SE (Specialty Retail)(a)   $110 
         33,834 
           
     Hong Kong — 1.42%     
 333,118   AIA Group Ltd. (Insurance)    2,694 
 97,195   BOC Hong Kong Holdings Ltd. (Banks)    265 
 38,300   Budweiser Brewing Co. APAC Ltd. (Beverages)    75 
 588,000   China Common Rich Renewable Energy Investment Ltd. (Independent Power and Renewable Electricity Producers)(a)(c)     
 41,200   CK Asset Holdings Ltd. (Real Estate Management & Development)    216 
 56,410   CK Hutchison Holdings Ltd. (Industrial Conglomerates)    299 
 34,000   CK Infrastructure Holdings Ltd. (Electric Utilities)    161 
 52,719   CLP Holdings Ltd. (Electric Utilities)    390 
 49,800   ESR Group Ltd. (Real Estate Management & Development)    70 
 1,293   Futu Holdings Ltd., ADR (Capital Markets)(a)    75 
 46,000   Galaxy Entertainment Group Ltd. (Hotels, Restaurants & Leisure)    275 
 47,720   Hang Lung Properties Ltd. (Real Estate Management & Development)    65 
 19,639   Hang Seng Bank Ltd. (Banks)    243 
 28,845   Henderson Land Development Co. Ltd. (Real Estate Management & Development)    76 
 206,550   HKT Trust & HKT Ltd. (Diversified Telecommunication Services) (b)    215 
 352,247   Hong Kong & China Gas Co. Ltd. (Gas Utilities)    245 
 25,500   Hong Kong Exchanges & Clearing Ltd. (Capital Markets)    946 
 45,740   Hongkong Land Holdings Ltd. (Real Estate Management & Development)    163 
 5,700   Jardine Matheson Holdings Ltd. (Industrial Conglomerates)    264 
 68,534   Link REIT (Retail REITs)    335 
 55,000   MTR Corp. Ltd. (Ground Transportation)    217 
 31,310   New World Development Co. Ltd. (Real Estate Management & Development)    61 
 53,868   Power Assets Holdings Ltd. (Electric Utilities)    260 
 121,396   Prudential PLC (Insurance)    1,305 
 117,328   Sino Land Co. Ltd. (Real Estate Management & Development)    132 
 29,000   SITC International Holdings Co. Ltd. (Marine Transportation)    49 
 30,360   Sun Hung Kai Properties Ltd. (Real Estate Management & Development)    324 
 9,430   Swire Pacific Ltd., Class - A (Real Estate Management & Development)    64 
 39,200   Swire Properties Ltd. (Real Estate Management & Development)    82 
 29,000   Techtronic Industries Co. Ltd. (Machinery)    280 
 180,856   WH Group Ltd. (Food Products)    95 
 36,000   Wharf Real Estate Investment Co. Ltd. (Real Estate Management & Development)    139 
 39,000   Xinyi Glass Holdings Ltd. (Building Products)    50 
         10,130 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Ireland (Republic of) — 0.86%     
 3,292   AerCap Holdings N.V. (Trading Companies & Distributors)(a)   $206 
 300   AerCap Holdings N.V. (Trading Companies & Distributors)(a)    19 
 30,791   AIB Group PLC (Banks)    138 
 22,252   Bank of Ireland Group PLC (Banks)    217 
 29,225   CRH PLC (Construction Materials)    1,611 
 3,118   DCC PLC (Industrial Conglomerates) (b)    175 
 44,117   Experian PLC (Professional Services)    1,443 
 3,757   Flutter Entertainment PLC (Hotels, Restaurants & Leisure)(a)    613 
 9,216   James Hardie Industries PLC (Construction Materials)(a)    241 
 3,409   Kerry Group PLC, Class - A (Food Products) (b)    285 
 3,205   Kingspan Group PLC (Building Products)    239 
 7,992   Ryanair Holdings PLC, ADR (Passenger Airlines)(a)    777 
 5,626   Smurfit Kappa Group PLC (Containers & Packaging) (b)    187 
         6,151 
           
     Israel — 0.34%     
 1,661   Azrieli Group Ltd. (Real Estate Management & Development)    86 
 26,580   Bank Hapoalim BM (Banks)    237 
 32,264   Bank Leumi Le-Israel BM (Banks)    268 
 2,506   Check Point Software Technologies Ltd. (Software)(a)    334 
 947   CyberArk Software Ltd. (Software)(a)    155 
 1,005   Elbit Systems Ltd. (Aerospace & Defense)    199 
 1,806   Global-e Online Ltd. (Broadline Retail)(a)    72 
 26,740   ICL Group Ltd. (Chemicals)    148 
 1   Isracard Ltd. (Consumer Finance)     
 25,890   Israel Discount Bank Ltd., Class - A (Banks)    140 
 3,229   Mizrahi Tefahot Bank Ltd. (Banks)    117 
 458   Monday.com Ltd. (Software)(a)    73 
 1,465   Nice Ltd. (Software)(a)    250 
 24,245   Teva Pharmaceutical Industries Ltd., ADR (Pharmaceuticals)(a)    247 
 1,198   Wix.com Ltd. (IT Services)(a)    110 
         2,436 
           
     Italy — 1.61%     
 5,429   Amplifon SpA (Health Care Providers & Services)    161 
 23,833   Assicurazioni Generali SpA (Insurance)    487 
 79,811   Davide Campari-Milano N.V., Class - M (Beverages)    939 
 2,627   DiaSorin SpA (Health Care Equipment & Supplies)    239 
 173,874   Enel SpA (Electric Utilities) (b)    1,067 
 50,273   Eni SpA (Oil, Gas & Consumable Fuels)    807 
 2,892   Ferrari N.V. (Automobiles)    852 
 2,471   Ferrari N.V. (Automobiles)    730 
 69,065   FinecoBank Banca Fineco SpA (Banks)    834 
 23,107   Infrastrutture Wireless Italiane SpA (Diversified Telecommunication Services)(b)    275 
 630,077   Intesa Sanpaolo SpA (Banks) (b)    1,613 
 12,205   Mediobanca Banca di Credito Finanziario SpA (Banks)    161 
 15,629   Moncler SpA (Textiles, Apparel & Luxury Goods)    905 
 11,607   Nexi SpA (Professional Services)(a)    71 
 11,327   Poste Italiane SpA (Insurance)    119 
 6,299   Prysmian SpA (Electrical Equipment)    253 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Italy (continued)     
 4,257   Recordati Industria Chimica e Farmaceutica SpA (Pharmaceuticals)   $201 
 71,385   Snam SpA (Gas Utilities)    335 
 216,022   Telecom Italia SpA/Milano (Diversified Telecommunication Services)(a)    67 
 51,335   Terna - Rete Elettrica Nazionale (Electric Utilities)    386 
 39,320   UniCredit SpA (Banks)    937 
         11,439 
           
     Japan — 11.90%     
 16,400   Advantest Corp. (Semiconductors & Semiconductor Equipment) (b)    458 
 18,100   Aeon Co. Ltd. (Consumer Staples Distribution & Retail)    358 
 4,165   AGC, Inc. (Building Products)    146 
 3,200   Aisin Corp. (Automobile Components)    121 
 12,500   Ajinomoto Co., Inc. (Food Products)    482 
 6,400   ANA Holdings, Inc. (Passenger Airlines)(a) (b)    134 
 10,100   Asahi Group Holdings Ltd. (Beverages) (b)    377 
 4,700   Asahi Intecc Co. Ltd. (Health Care Equipment & Supplies)    84 
 25,710   Asahi Kasei Corp. (Chemicals)    162 
 41,690   Astellas Pharma, Inc. (Pharmaceuticals)    577 
 2,500   Azbil Corp. (Electronic Equipment, Instruments & Components)    76 
 12,900   Bandai Namco Holdings, Inc. (Leisure Products)    262 
 2,900   BayCurrent Consulting, Inc. (Professional Services)    97 
 12,160   Bridgestone Corp. (Automobile Components)    474 
 5,100   Brother Industries Ltd. (Technology Hardware, Storage & Peripherals)    82 
 24,947   Canon, Inc. (Technology Hardware, Storage & Peripherals)    601 
 6,600   Capcom Co. Ltd. (Entertainment)    238 
 19,500   Central Japan Railway Co. (Ground Transportation)    474 
 27,000   Chubu Electric Power Co., Inc. (Electric Utilities)    344 
 14,500   Chugai Pharmaceutical Co. Ltd. (Pharmaceuticals)    447 
 23,600   Concordia Financial Group Ltd. (Banks)    108 
 9,300   CyberAgent, Inc. (Media)^    50 
 4,439   Dai Nippon Printing Co. Ltd. (Commercial Services & Supplies)    116 
 6,600   Daifuku Co. Ltd. (Machinery)    125 
 19,900   Dai-ichi Life Holdings, Inc. (Insurance)    411 
 39,600   Daiichi Sankyo Co. Ltd. (Pharmaceuticals)    1,083 
 5,600   Daikin Industries Ltd. (Building Products)    878 
 2,247   Daito Trust Construction Co. Ltd. (Real Estate Management & Development)    237 
 12,530   Daiwa House Industry Co. Ltd. (Real Estate Management & Development)    336 
 136   Daiwa House REIT Investment Corp. (Diversified REITs)    240 
 34,900   Daiwa Securities Group, Inc. (Capital Markets)    202 
 36,400   Denso Corp. (Automobile Components)    584 
 4,270   Dentsu Group, Inc. (Media)    126 
 2,000   Disco Corp. (Semiconductors & Semiconductor Equipment)    370 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 8,600   East Japan Railway Co. (Ground Transportation)  $492 
 7,100   Eisai Co. Ltd. (Pharmaceuticals)   394 
 97,178   ENEOS Holdings, Inc. (Oil, Gas & Consumable
Fuels)
   382 
 20,400   FANUC Corp. (Machinery)   531 
 3,700    Fast Retailing Co. Ltd. (Specialty Retail)   806 
 2,800    Fuji Electric Co. Ltd. (Electrical Equipment)  126 
 7,910   FUJIFILM Holdings Corp. (Technology Hardware, Storage & Peripherals)    458 
 3,750   Fujitsu Ltd. (IT Services) (b)    441 
 287   GLP J-Reit (Industrial REITs) (b)    256 
 900   GMO Payment Gateway, Inc. (Financial Services)    49 
 4,000   Hakuhodo DY Holdings, Inc. (Media)    33 
 3,000   Hamamatsu Photonics KK (Electronic Equipment, Instruments & Components)    126 
 6,400   Hankyu Hanshin Holdings, Inc. (Ground Transportation)    219 
 400   Hikari Tsushin, Inc. (Specialty Retail)    61 
 580   Hirose Electric Co. Ltd. (Electronic Equipment, Instruments & Components)    67 
 2,200   Hitachi Construction Machinery Co. Ltd. (Machinery)    67 
 20,280   Hitachi Ltd. (Industrial Conglomerates)    1,256 
 98,262   Honda Motor Co. Ltd. (Automobile Components)    1,105 
 2,400   Hoshizaki Corp. (Machinery)    83 
 7,600   Hoya Corp. (Health Care Equipment & Supplies)    778 
 8,300   Hulic Co. Ltd. (Real Estate Management & Development) (b)    74 
 2,400   Ibiden Co. Ltd. (Electronic Equipment, Instruments & Components)    127 
 10,059   Idemitsu Kosan Co. Ltd. (Oil, Gas & Consumable Fuels) (b)    231 
 3,100   Iida Group Holdings Co. Ltd. (Household Durables)^    51 
 22,600   Inpex Corp. (Oil, Gas & Consumable Fuels)    339 
 12,470   Isuzu Motors Ltd. (Automobile Components)    157 
 25,458   ITOCHU Corp. (Trading Companies & Distributors)    920 
 4,900   Japan Airlines Co. Ltd. (Passenger Airlines) (b)    95 
 11,100   Japan Exchange Group, Inc. (Capital Markets)    206 
 356   Japan Metropolitan Fund Invest (Retail REITs)    231 
 49,700   Japan Post Bank Co. Ltd. (Banks) (b)    433 
 66,660   Japan Post Holdings Co. Ltd. (Insurance) (b) (b)   534 
 10,500   Japan Post Insurance Co. Ltd. (Insurance)^ (b) (b)   176 
 70   Japan Real Estate Investment Corp. (Office REITs)    273 
 32,927   Japan Tobacco, Inc. (Tobacco)    757 
 10,700   JFE Holdings, Inc. (Metals & Mining)^ (b)    157 
 3,833   JSR Corp. (Chemicals)    103 
 11,900   Kajima Corp. (Construction & Engineering)    194 
 13,800   Kao Corp. (Personal Care Products)    511 
 2,900   Kawasaki Kisen Kaisha Ltd. (Marine Transportation)^    99 
 37,100   KDDI Corp. (Wireless Telecommunication Services)    1,135 
 4,100   Keio Corp. (Ground Transportation)    141 
 2,800   Keisei Electric Railway Co. Ltd. (Ground Transportation)    97 
           

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 6,100   Keyence Corp. (Electronic Equipment, Instruments & Components)   $2,255 
 3,000   Kikkoman Corp. (Food Products)    157 
 6,400   Kintetsu Group Holdings Co. Ltd. (Ground Transportation)    182 
 27,510   Kirin Holdings Co. Ltd. (Beverages)    386 
 3,900   Kobayashi Pharmaceutical Co. Ltd. (Personal Care Products)    174 
 8,900   Kobe Bussan Co. Ltd. (Consumer Staples Distribution & Retail)    208 
 7,420   Koei Tecmo Holdings Co. Ltd. (Entertainment)    105 
 4,500   Koito Manufacturing Co. Ltd. (Automobile Components)^    68 
 19,790   Komatsu Ltd. (Machinery)    534 
 2,000   Konami Group Corp. (Entertainment)    105 
 700   Kose Corp. (Personal Care Products)    51 
 21,200   Kubota Corp. (Machinery)    312 
 2,300   Kurita Water Industries Ltd. (Machinery)    80 
 6,720   Kyocera Corp. (Electronic Equipment, Instruments & Components)    341 
 10,000   Kyowa Kirin Co. Ltd. (Pharmaceuticals)    174 
 1,600   Lasertec Corp. (Semiconductors & Semiconductor Equipment)    249 
 6,245   Lixil Corp. (Building Products)^    73 
 9,600   M3, Inc. (Health Care Technology)    174 
 4,900   Makita Corp. (Machinery)    121 
 30,971   Marubeni Corp. (Trading Companies & Distributors)    483 
 12,300   MatsukiyoCocokara & Co. (Consumer Staples Distribution & Retail)    220 
 12,350   Mazda Motor Corp. (Automobile Components)    140 
 6,400   McDonald's Holdings Co. Japan Ltd. (Hotels, Restaurants & Leisure)    245 
 11,400   MEIJI Holdings Co. Ltd. (Food Products)    283 
 7,300   MINEBEA MITSUMI, Inc. (Machinery)    119 
 6,400   MISUMI Group, Inc. (Machinery)    100 
 27,710   Mitsubishi Chemical Group Corp. (Chemicals)    175 
 24,740   Mitsubishi Corp. (Trading Companies & Distributors)    1,178 
 41,290   Mitsubishi Electric Corp. (Electrical Equipment)    510 
 28,800   Mitsubishi Estate Co. Ltd. (Real Estate Management & Development)    376 
 27,700   Mitsubishi HC Capital, Inc. (Financial Services)    184 
 6,897   Mitsubishi Heavy Industries Ltd. (Machinery)    385 
 345,882   Mitsubishi UFJ Financial Group, Inc. (Banks)    2,931 
 27,866   Mitsui & Co. Ltd. (Trading Companies & Distributors)    1,010 
 3,950   Mitsui Chemicals, Inc. (Chemicals)    102 
 19,000   Mitsui Fudosan Co. Ltd. (Real Estate Management & Development)    419 
 9,000   Mitsui O.S.K. Lines Ltd. (Marine Transportation)    247 
 57,652   Mizuho Financial Group, Inc. (Banks)    979 
 7,800   MonotaRO Co. Ltd. (Trading Companies & Distributors)    84 
 10,300   MS&AD Insurance Group Holdings, Inc. (Insurance)    377 
 36,600   Murata Manufacturing Co. Ltd. (Electronic Equipment, Instruments & Components)    668 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 5,230   NEC Corp. (IT Services)   $289 
 7,600   Nexon Co. Ltd. (Entertainment)    136 
 5,200   NGK Insulators Ltd. (Machinery)    69 
 9,200   NIDEC Corp. (Electrical Equipment)    425 
 25,100   Nintendo Co. Ltd. (Entertainment)    1,043 
 75   Nippon Building Fund, Inc. (Diversified REITs)    304 
 1,500   NIPPON EXPRESS HOLDINGS, INC. (Air Freight & Logistics)    78 
 19,900   Nippon Paint Holdings Co. Ltd. (Chemicals)(b) (b)   134 
 135   Nippon Prologis REIT, Inc. (Industrial REITs) (b)    252 
 3,800   Nippon Sanso Holdings Corp. (Chemicals)    90 
 1,500   Nippon Shinyaku Co. Ltd. (Pharmaceuticals)    63 
 18,300   Nippon Steel Corp. (Metals & Mining)^ (b)    429 
 767,100   Nippon Telegraph & Telephone Corp. (Diversified Telecommunication Services)    908 
 10,400   Nippon Yusen KK (Marine Transportation)^    270 
 2,500   Nissan Chemical Corp. (Chemicals)    106 
 50,300   Nissan Motor Co. Ltd. (Automobile Components)    222 
 12,600   Nisshin Seifun Group, Inc. (Food Products)    161 
 3,300   Nissin Foods Holdings Co. Ltd. (Food Products) (b)    274 
 3,000   Nitori Holdings Co. Ltd. (Specialty Retail)    335 
 3,160   Nitto Denko Corp. (Chemicals)    207 
 72,300   Nomura Holdings, Inc. (Capital Markets)    290 
 2,600   Nomura Real Estate Holdings, Inc. (Real Estate Management & Development)    65 
 237   Nomura Real Estate Master Fund, Inc. (Diversified REITs)    265 
 9,420   Nomura Research Institute Ltd. (IT Services)    245 
 12,900   NTT Data Group Corp. (IT Services)    173 
 19,500   Obayashi Corp. (Construction & Engineering)    172 
 2,000   Obic Co. Ltd. (IT Services)    303 
 10,000   Odakyu Electric Railway Co. Ltd. (Ground Transportation)    150 
 44,100   Oji Holdings Corp. (Paper & Forest Products)^    186 
 26,800   Olympus Corp. (Health Care Equipment & Supplies)    348 
 3,800   Omron Corp. (Electronic Equipment, Instruments & Components)    169 
 14,100   Ono Pharmaceutical Co. Ltd. (Pharmaceuticals)    270 
 1,600   Open House Group Co. Ltd. (Household Durables) (b)    54 
 2,200   Oracle Corp. Japan (Software)    163 
 24,900   Oriental Land Co. Ltd. (Hotels, Restaurants & Leisure)    817 
 25,000   ORIX Corp. (Financial Services)    467 
 18,345   Osaka Gas Co. Ltd. (Gas Utilities)    302 
 5,000   Otsuka Corp. (IT Services)    212 
 10,000   Otsuka Holdings Co. Ltd. (Pharmaceuticals)    355 
 12,100   Pan Pacific International Holdings Corp. (Broadline Retail)    254 
 47,100   Panasonic Holdings Corp. (Household Durables)    532 
 38,000   Persol Holdings Co. Ltd. (Professional Services) (b)    62 
 31,600   Rakuten Group, Inc. (Broadline Retail) (b)    130 
           

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 30,600   Recruit Holdings Co. Ltd. (Professional Services)   $936 
 27,300   Renesas Electronics Corp. (Semiconductors & Semiconductor Equipment)(a) (b)    417 
 61,785   Resona Holdings, Inc. (Banks)    341 
 11,200   Ricoh Co. Ltd. (Technology Hardware, Storage & Peripherals)    97 
 7,480   Rohm Co. Ltd. (Semiconductors & Semiconductor Equipment)    141 
 5,300   SBI Holdings, Inc. (Capital Markets)    112 
 5,800   SCSK Corp. (IT Services)    101 
 6,400   Secom Co. Ltd. (Commercial Services & Supplies)    434 
 6,069   Seiko Epson Corp. (Technology Hardware, Storage & Peripherals)^    95 
 8,200   Sekisui Chemical Co. Ltd. (Household Durables)    118 
 16,025   Sekisui House Ltd. (Household Durables)    319 
 18,230   Seven & i Holdings Co. Ltd. (Consumer Staples Distribution & Retail)    714 
 11,900   SG Holdings Co. Ltd. (Air Freight & Logistics)    152 
 11,700   Sharp Corp. (Household Durables) (b)    73 
 5,100   Shimadzu Corp. (Electronic Equipment, Instruments & Components)    135 
 1,600   Shimano, Inc. (Leisure Products)    214 
 20,200   Shimizu Corp. (Construction & Engineering)    140 
 38,725   Shin-Etsu Chemical Co. Ltd. (Chemicals)    1,124 
 7,900   Shionogi & Co. Ltd. (Pharmaceuticals)    352 
 8,400   Shiseido Co. Ltd. (Personal Care Products)    294 
 25,500   Shizuoka Financial Group, Inc. (Banks)    208 
 1,300   SMC Corp. (Machinery)    583 
 76,054   SoftBank Corp. (Wireless Telecommunication Services)    861 
 21,900   SoftBank Group Corp. (Wireless Telecommunication Services)    923 
 7,460   Sompo Holdings, Inc. (Insurance)    320 
 36,200   Sony Group Corp. (Household Durables)    2,960 
 5,200   Square Enix Holdings Co. Ltd. (Entertainment)    178 
 13,254   Subaru Corp. (Automobile Components)    258 
 7,600   SUMCO Corp. (Semiconductors & Semiconductor Equipment) (b)    99 
 32,260   Sumitomo Chemical Co. Ltd. (Chemicals)    88 
 22,740   Sumitomo Corp. (Trading Companies & Distributors)^    454 
 14,720   Sumitomo Electric Industries Ltd. (Automobile Components)    177 
 5,100   Sumitomo Metal Mining Co. Ltd. (Metals & Mining)    150 
 28,403   Sumitomo Mitsui Financial Group, Inc. (Banks)^    1,395 
 9,300   Sumitomo Mitsui Trust Holdings, Inc. (Banks)    350 
 6,200   Sumitomo Realty & Development Co. Ltd. (Real Estate Management & Development)    161 
 7,100   Suntory Beverage & Food Ltd. (Beverages)    216 
 8,100   Suzuki Motor Corp. (Automobile Components)    326 
 3,700   Sysmex Corp. (Health Care Equipment & Supplies)    176 
 10,800   T&D Holdings, Inc. (Insurance)    178 
 6,150   Taisei Corp. (Construction & Engineering)    216 
 38,145   Takeda Pharmaceutical Co. Ltd. (Pharmaceuticals)    1,182 
 8,300   TDK Corp. (Electronic Equipment, Instruments & Components)   307 
 14,100   Terumo Corp. (Health Care Equipment & Supplies)    373 
 16,000   The Chiba Bank Ltd. (Banks)    117 
 27,710   The Kansai Electric Power Co., Inc. (Electric Utilities)    384 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Japan (continued)     
 4,900    TIS, Inc. (IT Services)  $108 
 7,700   Tobu Railway Co. Ltd. (Ground Transportation)    198 
 4,300   Toho Co. Ltd. (Entertainment)    147 
 38,420   Tokio Marine Holdings, Inc. (Insurance)    890 
 61,100   Tokyo Electric Power Co. Holdings, Inc. (Electric Utilities)(a)    273 
 10,180   Tokyo Electron Ltd. (Semiconductors & Semiconductor Equipment)    1,390 
 15,500   Tokyo Gas Co. Ltd. (Gas Utilities)    352 
 14,400   Tokyu Corp. (Ground Transportation)    166 
 5,200   TOPPAN Holdings, Inc. (Commercial Services & Supplies)    124 
 30,100   Toray Industries, Inc. (Chemicals)    157 
 6,900   Toshiba Corp. (Industrial Conglomerates)(a)    213 
 5,600   Tosoh Corp. (Chemicals)    72 
 2,800   TOTO Ltd. (Building Products)    72 
 3,200   Toyota Industries Corp. (Machinery)    252 
 226,300   Toyota Motor Corp. (Automobile Components)    4,059 
 4,600   Toyota Tsusho Corp. (Trading Companies & Distributors)    271 
 5,500   Trend Micro, Inc. (Software)    208 
 12,000   Unicharm Corp. (Household Products)    425 
 8,600   USS Co. Ltd. (Specialty Retail)    142 
 10,100   Welcia Holdings Co. Ltd. (Consumer Staples Distribution & Retail)    175 
 6,900   West Japan Railway Co. (Ground Transportation) (b)    285 
 11,800   Yakult Honsha Co. Ltd. (Food Products)    287 
 3,000   Yamaha Corp. (Leisure Products)    82 
 6,100   Yamaha Motor Co. Ltd. (Automobile Components)    160 
 13,300   Yamato Holdings Co. Ltd. (Air Freight & Logistics)^    217 
 5,200   Yaskawa Electric Corp. (Machinery)    187 
 4,900   Yokogawa Electric Corp. (Electronic Equipment, Instruments & Components)    95 
 57,900   Z Holdings Corp. (Interactive Media & Services)    161 
 1,900   Zensho Holdings Co. Ltd. (Hotels, Restaurants & Leisure)^    83 
 7,200   ZOZO, Inc. (Specialty Retail) (b)    132 
         84,706 
           
     Luxembourg — 0.23%     
 40,739   ArcelorMittal SA (Metals & Mining)    1,019 
 7,802   Eurofins Scientific SE (Life Sciences Tools & Services)    440 
 10,238   Tenaris SA (Energy Equipment & Services)    162 
         1,621 
           
     Netherlands — 2.90%     
 12,428   ABN AMRO Bank N.V. (Banks)    176 
 939   Adyen N.V. (Professional Services)(a)(b)    696 
 44,717   Aegon Ltd. (Insurance)    216 
 3,801   Akzo Nobel N.V. (Chemicals)    274 
 1,329   Argenx SE (Biotechnology)(a)    650 
 981   ASM International N.V. (Semiconductors & Semiconductor Equipment)    410 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Netherlands (continued)     
 9,814   ASML Holding N.V. (Semiconductors & Semiconductor Equipment) (b)   $5,776 
 3,404   ASR Nederland N.V. (Insurance)    127 
 1,596   BE Semiconductor Industries N.V. (Semiconductors & Semiconductor Equipment)    156 
 5,733   Euronext N.V. (Capital Markets)    399 
 2,231   EXOR N.V. (Financial Services)    197 
 10,888   Ferrovial SE (Construction & Engineering)    333 
 4,726   Heineken Holding N.V. (Beverages)    356 
 16,094   Heineken N.V. (Beverages)    1,419 
 1,169   IMCD N.V. (Trading Companies & Distributors) (b)    148 
 77,322   ING Groep N.V. (Banks)    1,018 
 14,072   JDE Peet's N.V. (Food Products) (b)    393 
 29,345   Koninklijke Ahold Delhaize N.V. (Consumer Staples Distribution & Retail)    885 
 170,831   Koninklijke KPN N.V. (Diversified Telecommunication Services)    563 
 19,878   Koninklijke Philips N.V. (Health Care Equipment & Supplies)(a)    397 
 8,346   NN Group N.V. (Insurance)    268 
 12,320   OCI N.V. (Chemicals) (b)    343 
 32,672   Prosus N.V. (Broadline Retail)(a) (b)    962 
 11,235   QIAGEN N.V. (Life Sciences Tools & Services)(a)    453 
 2,592   Randstad N.V. (Professional Services)    143 
 43,098   Stellantis N.V. (Automobiles)    824 
 47,699   Stellantis N.V. (Automobile Components)    913 
 17,602   Universal Music Group N.V. (Entertainment)    459 
 13,711   Wolters Kluwer N.V. (Professional Services)    1,660 
         20,614 
           
     New Zealand — 0.11%     
 25,333   Auckland International Airport Ltd. (Transportation Infrastructure)    120 
 12,606   Fisher & Paykel Healthcare Corp. Ltd. (Health Care Equipment & Supplies)    162 
 14,981   Mercury NZ Ltd. (Electric Utilities)    55 
 27,865   Meridian Energy Ltd. (Independent Power and Renewable Electricity Producers)    86 
 40,576   Spark New Zealand Ltd. (Diversified Telecommunication Services)    117 
 3,015   Xero Ltd. (Software)(a)    216 
         756 
           
     Norway — 0.48%     
 6,318   Adevinta ASA (Interactive Media & Services)(a)    62 
 6,851   Aker BP ASA (Oil, Gas & Consumable Fuels)    189 
 19,469   DNB Bank ASA (Banks)    391 
 45,049   Equinor ASA (Oil, Gas & Consumable Fuels)    1,479 
 8,384   Gjensidige Forsikring ASA (Insurance)    123 
 2,950   Kongsberg Gruppen ASA (Aerospace & Defense)    121 
 9,859   Mowi ASA (Food Products) (b)    174 
 27,809   Norsk Hydro ASA (Metals & Mining)    174 
 28,897   Orkla ASA (Food Products)    216 
 2,201   Salmar ASA (Food Products)    111 
 21,968   Telenor ASA (Diversified Telecommunication Services)    249 
 3,344   Yara International ASA (Chemicals)    126 
         3,415 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Portugal – 0.08%     
 67,084   EDP - Energias de Portugal SA (Electric Utilities)   $278 
 10,867   Galp Energia SGPS SA (Oil, Gas & Consumable Fuels) (b)    161 
 6,126   Jeronimo Martins SGPS SA (Consumer Staples Distribution & Retail) (b)    138 
         577 
           
     Singapore — 0.74%     
 110,538   CapitaLand Ascendas REIT (Industrial REITs)    222 
 115,024   CapitaLand Integrated Commercial Trust (Retail REITs)    155 
 56,400   CapitaLand Investment Ltd. (Real Estate Management & Development)    127 
 10,900   City Developments Ltd. (Real Estate Management & Development)    53 
 39,131   DBS Group Holdings Ltd. (Banks)    960 
 172,500   Genting Singapore Ltd. (Hotels, Restaurants & Leisure)    107 
 39,246   Grab Holdings Ltd. (Ground Transportation)(a)    139 
 5,600   Jardine Cycle & Carriage Ltd. (Industrial Conglomerates)    131 
 31,600   Keppel Corp. Ltd. (Industrial Conglomerates)    157 
 143,190   Mapletree Logistics Trust (Industrial REITs)    176 
 51,100   Mapletree Pan Asia Commercial Trust (Retail REITs)    53 
 72,437   Oversea-Chinese Banking Corp. Ltd. (Banks)    678 
 7,729   Sea Ltd., ADR (Entertainment)(a)    340 
 920,887   Seatrium Ltd. (Machinery)(a)    90 
 17,600   Sembcorp Industries Ltd. (Multi-Utilities)    65 
 29,800   Singapore Airlines Ltd. (Passenger Airlines) (b)    141 
 35,400   Singapore Exchange Ltd. (Capital Markets)    252 
 71,900   Singapore Technologies Engineering Ltd. (Aerospace & Defense)    205 
 207,240   Singapore Telecommunications Ltd. (Diversified Telecommunication Services)    367 
 26,600   United Overseas Bank Ltd. (Banks)    554 
 10,100   UOL Group Ltd. (Real Estate Management & Development)    47 
 9,500   Venture Corp. Ltd. (Electronic Equipment, Instruments & Components)    86 
 56,600   Wilmar International Ltd. (Food Products)    154 
         5,259 
           
     South Korea — 0.11%     
 622   Samsung Electronics Co. Ltd., GDR (Technology Hardware, Storage & Peripherals)(    784 
           
     Spain — 1.39%     
 731   Acciona SA (Electric Utilities)    93 
 4,763   ACS Actividades de Construccion y Servicios SA (Construction & Engineering)    171 
 1,626   Aena SME SA (Transportation Infrastructure)    245 
 20,793   Amadeus IT Group SA (Professional Services)    1,256 
 127,785   Banco Bilbao Vizcaya Argentaria SA (Banks)    1,034 
 345,069   Banco Santander SA (Banks) (b)    1,314 
 88,602   CaixaBank SA (Banks)    353 
           

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Spain (continued)     
 18,360   Cellnex Telecom SA (Diversified Telecommunication Services)(b)   $638 
 7,040   Corp. ACCIONA Energias Renovables SA (Independent Power and Renewable Electricity Producers)    182 
 6,192   EDP Renovaveis SA (Independent Power and Renewable Electricity Producers)    101 
 16,062   Enagas SA (Gas Utilities) (b)    266 
 11,745   Endesa SA (Electric Utilities)    239 
 10,116   Grifols SA (Biotechnology)(a)    131 
 141,212   Iberdrola SA (Electric Utilities)    1,579 
 23,114   Industria de Diseno Textil SA (Specialty Retail)    860 
 6,000   Naturgy Energy Group SA (Gas Utilities)    163 
 21,640   Redeia Corp. SA (Electric Utilities)    341 
 27,783   Repsol SA (Oil, Gas & Consumable Fuels)    457 
 108,785   Telefonica SA (Diversified Telecommunication Services)    444 
         9,867 
           
     Sweden — 1.70%     
 6,011   Alfa Laval AB (Machinery)    206 
 21,421   Assa Abloy AB, Class - B (Building Products)    466 
 58,189   Atlas Copco AB, Class - A (Machinery)    781 
 32,668   Atlas Copco AB, Class - B (Machinery)    382 
 8,377   Autoliv, Inc. (Automobile Components)    807 
 8,154   Beijer Ref AB (Trading Companies & Distributors)    86 
 7,274   Boliden AB (Metals & Mining)    209 
 55,836   Epiroc AB, Class - A (Machinery)    1,060 
 8,455   Epiroc AB, Class - B (Machinery)    135 
 7,587   EQT AB (Capital Markets)    150 
 18,446   Essity AB, Class - B (Household Products)    398 
 3,905   Evolution AB (Hotels, Restaurants & Leisure)    394 
 13,679   Fastighets AB Balder, B shares (Real Estate Management & Development)(a)    61 
 8,990   Getinge AB, B shares (Health Care Equipment & Supplies)    158 
 14,109   H & M Hennes & Mauritz AB, Class - B (Specialty Retail)    200 
 44,699   Hexagon AB, Class - B (Electronic Equipment, Instruments & Components)    381 
 4,857   Holmen AB, B shares (Paper & Forest Products)    189 
 9,097   Husqvarna AB, B shares (Machinery)    69 
 2,827   Industrivarden AB, Class - A (Financial Services) (b)    75 
 4,409   Industrivarden AB, Class - C (Financial Services)    116 
 5,924   Indutrade AB (Machinery)    109 
 3,210   Investment AB Latour, Class - B (Industrial Conglomerates)    56 
 36,850   Investor AB, Class - B (Financial Services)    706 
 2,498   L E Lundbergforetagen AB, Class - B (Financial Services)    104 
 4,621   Lifco AB, Class - B (Industrial Conglomerates)    81 
 31,718   Nibe Industrier AB, Class - B (Building Products)    207 
 4,030   Saab AB, Class - B (Aerospace & Defense)    206 
 4,205   Sagax AB, Class - B (Real Estate Management & Development)    80 
 22,315   Sandvik AB (Machinery)    411 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Sweden (continued)     
 17,699   Securitas AB, Class – B (Commercial Services & Supplies)   $140 
 37,901   Skandinaviska Enskilda Banken AB, Class - A (Banks)    452 
 7,376   Skanska AB, Class - B (Construction & Engineering)    121 
 7,765   SKF AB, B shares (Machinery)    129 
 19,257   Svenska Cellulosa AB SCA, Class - B (Paper & Forest Products)    264 
 42,973   Svenska Handelsbanken AB, Class - A (Banks)    383 
 23,352   Swedbank AB, Class - A (Banks)    430 
 10,293   Swedish Orphan Biovitrum AB (Biotechnology)(a)    211 
 29,545   Tele2 AB, B shares (Wireless Telecommunication Services)    226 
 82,133   Telefonaktiebolaget LM Ericsson, Class - B (Communications Equipment)^    400 
 125,575   Telia Co. AB (Diversified Telecommunication Services) (b)    260 
 4,341   Volvo AB, Class - A (Machinery)    90 
 32,071   Volvo AB, Class - B (Machinery)    661 
 12,919   Volvo Car AB, Class - B (Automobile Components)(a)    52 
         12,102 
           
     Switzerland — 6.29%     
 34,070   ABB Ltd., Registered Shares (Electrical Equipment)    1,216 
 3,469   Adecco Group AG (Professional Services)(b)    143 
 20,307   Alcon, Inc. (Health Care Equipment & Supplies)    1,567 
 720   Bachem Holding AG (Life Sciences Tools & Services)    53 
 3,207   Baloise Holding AG, Registered Shares (Insurance)    464 
 4,699   Banque Cantonale Vaudoise, Registered Shares (Banks)    491 
 286   Barry Callebaut AG, Registered Shares (Food Products) (b)    454 
 2,693   BKW AG (Electric Utilities)    475 
 4   Chocoladefabriken Lindt & Spruengli AG (Food Products)    438 
 22   Chocoladefabriken Lindt & Spruengli AG, Class - PC (Food Products)    245 
 16,554   Cie Financiere Richemont SA, Registered Shares (Textiles, Apparel & Luxury Goods)    2,016 
 4,678   Clariant AG, Registered Shares (Chemicals)    74 
 4,692   Coca-Cola HBC AG (Beverages)    128 
 3,901   DSM-Firmenich AG (Chemicals)    330 
 2,088   Dufry AG, Registered Shares (Specialty Retail)(a) (b)    79 
 140   EMS-Chemie Holding AG (Chemicals)    95 
 751   Geberit AG, Registered Shares (Building Products)    375 
 222   Givaudan SA, Registered Shares (Chemicals)    723 
 226,110   Glencore PLC (Metals & Mining) (b)    1,287 
 1,817   Helvetia Holding AG, Registered Shares (Insurance)    254 
 11,896   Holcim AG (Construction Materials) (b)    762 
 4,475   Julius Baer Group Ltd. (Capital Markets)    287 
 1,481   Kuehne + Nagel International AG, Registered Shares (Marine Transportation)    421 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Switzerland (continued)     
 3,586   Logitech International SA, Registered Shares (Technology Hardware, Storage & Peripherals)   $247 
 2,984   Lonza Group AG, Registered Shares (Life Sciences Tools & Services) (b)    1,381 
 66,554   Nestle SA, Registered Shares (Food Products)    7,537 
 54,545   Novartis AG, Registered Shares (Pharmaceuticals)    5,573 
 484   Partners Group Holding AG (Capital Markets)    543 
 3,118   Roche Holding AG (Pharmaceuticals)    916 
 15,621   Roche Holding AG (Pharmaceuticals)    4,266 
 1,142   Schindler Holding AG (Machinery)    228 
 509   Schindler Holding AG, Registered Shares (Machinery)    98 
 5,788   SGS SA, Registered Shares (Professional Services) (b)    486 
 16,443   SIG Group AG (Containers & Packaging) (b)    405 
 5,827   Sika AG, Registered Shares (Chemicals) (b)    1,476 
 1,125   Sonova Holding AG (Health Care Equipment & Supplies) (b)    266 
 31,436   STMicroelectronics N.V. (Semiconductors & Semiconductor Equipment)    1,356 
 2,336   Straumann Holding AG, Registered Shares (Health Care Equipment & Supplies)    297 
 645   Swiss Life Holding AG (Insurance)    401 
 5,975   Swiss Prime Site AG, Registered Shares (Real Estate Management & Development)    547 
 7,764   Swiss Re AG (Insurance)    798 
 1,315   Swisscom AG, Registered Shares (Diversified Telecommunication Services)    781 
 1,379   Temenos AG, Registered Shares (Software)    96 
 598   The Swatch Group AG (Textiles, Apparel & Luxury Goods)    153 
 1,141   The Swatch Group AG (Textiles, Apparel & Luxury Goods)    56 
 103,642   UBS Group AG (Capital Markets)    2,553 
 557   VAT Group AG (Machinery)    199 
 3,711   Zurich Insurance Group AG (Insurance)    1,699 
         44,735 
           
     Taiwan — 0.10%     
 8,570   Taiwan Semiconductor Manufacturing Co. Ltd., ADR (Semiconductors & Semiconductor Equipment)    745 
           
     United Kingdom — 8.80%     
 20,808   3i Group PLC (Capital Markets)    524 
 42,449   abrdn PLC (Capital Markets)    80 
 12,085   Admiral Group PLC (Insurance)    350 
 26,928   Anglo American PLC (Metals & Mining)    739 
 9,529   Ashtead Group PLC (Trading Companies & Distributors)    578 
 7,323   Associated British Foods PLC (Food Products)    184 
 40,196   AstraZeneca PLC (Pharmaceuticals) (b)    5,420 
 39,910   Auto Trader Group PLC (Interactive Media & Services)(b)    300 
 58,667   Aviva PLC (Insurance)    278 
 83,702   BAE Systems PLC (Aerospace & Defense)    1,016 
 764,065   Barclays PLC (Banks) (b)    1,472 
 20,601   Barratt Developments PLC (Household Durables) (b)    110 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United Kingdom (continued)     
 3,238   Berkeley Group Holdings PLC (Household Durables)   $161 
 501,168   BP PLC (Oil, Gas & Consumable Fuels)    3,230 
 49,487   British American Tobacco PLC (Tobacco)    1,554 
 138,810   BT Group PLC (Diversified Telecommunication Services)    197 
 15,743   Bunzl PLC (Trading Companies & Distributors)    560 
 8,054   Burberry Group PLC (Textiles, Apparel & Luxury Goods) (b)    187 
 135,454   Centrica PLC (Multi-Utilities) (b)    255 
 78,710   CNH Industrial N.V. (Machinery)    955 
 6,519   Coca-Cola Europacific Partners PLC (Beverages)    408 
 67,992   Compass Group PLC (Hotels, Restaurants & Leisure)    1,655 
 5,941   Croda International PLC (Chemicals) (b)    355 
 68,625   Diageo PLC (Beverages)    2,530 
 17,117   Endeavour Mining PLC (Metals & Mining)    330 
 13,508   Entain PLC (Hotels, Restaurants & Leisure) (b)    153 
 142,395   GSK PLC (Pharmaceuticals)    2,576 
 221,536   Haleon PLC (Personal Care Products) (b)    918 
 11,553   Halma PLC (Electronic Equipment, Instruments & Components)    272 
 7,712   Hargreaves Lansdown PLC (Capital Markets)    73 
 10,491   Hikma Pharmaceuticals PLC (Pharmaceuticals) (b)    266 
 421,586   HSBC Holdings PLC (Banks)    3,299 
 23,531   Imperial Brands PLC (Tobacco)    477 
 116,303   Informa PLC (Media)    1,062 
 3,670   InterContinental Hotels Group PLC (Hotels, Restaurants & Leisure)    271 
 6,231   Intertek Group PLC (Professional Services)    312 
 113,496   J Sainsbury PLC (Consumer Staples Distribution & Retail)    349 
 56,070   JD Sports Fashion PLC (Specialty Retail)    102 
 3,970   Johnson Matthey PLC (Chemicals)    79 
 91,283   Kingfisher PLC (Specialty Retail)    248 
 14,172   Land Securities Group PLC (Diversified REITs)    102 
 127,794   Legal & General Group PLC (Insurance)    345 
 1,390,038   Lloyds Banking Group PLC (Banks)    747 
 19,537   London Stock Exchange Group PLC (Capital Markets) (b)    1,957 
 46,682   M&G PLC (Financial Services)    112 
 28,892   Melrose Industries PLC (Aerospace & Defense)    165 
 10,527   Mondi PLC (Paper & Forest Products)    176 
 102,695   National Grid PLC (Multi-Utilities)    1,228 
 391,192   NatWest Group PLC (Banks) (b)    1,119 
 2,685   Next PLC (Broadline Retail)    238 
 18,668   Ocado Group PLC (Consumer Staples Distribution & Retail)(a) (b)    136 
 25,025   Pearson PLC (Diversified Consumer Services)    264 
 6,326   Persimmon PLC (Household Durables)    83 
 16,260   Phoenix Group Holdings PLC (Insurance)    95 
 19,882   Reckitt Benckiser Group PLC (Household Products)    1,402 
 68,768   RELX PLC (Professional Services)    2,320 
 84,029   Rentokil Initial PLC (Commercial Services & Supplies)    624 
 37,826   Rio Tinto PLC (Metals & Mining)    2,374 
 180,355   Rolls-Royce Holdings PLC (Aerospace & Defense)(a)    483 

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     United Kingdom (continued)     
 19,339   Schroders PLC (Capital Markets)   $96 
 49,259   Segro PLC (Diversified REITs)    431 
 15,340   Severn Trent PLC (Water Utilities) (b)    443 
 169,275   Shell PLC (Oil, Gas & Consumable Fuels)    5,363 
 21,614   Smith & Nephew PLC (Health Care Equipment & Supplies)    268 
 7,389   Smiths Group PLC (Industrial Conglomerates)    145 
 2,398   Spirax-Sarco Engineering PLC (Machinery)    277 
 31,488   SSE PLC (Electric Utilities)    616 
 11,795   St. James's Place PLC (Capital Markets)    119 
 51,497   Standard Chartered PLC (Banks)    474 
 76,573   Taylor Wimpey PLC (Household Durables) (b)    109 
 230,174   Tesco PLC (Consumer Staples Distribution & Retail)    740 
 43,693   The Sage Group PLC (Software)    526 
 75,313   Unilever PLC (Personal Care Products)    3,725 
 37,571   United Utilities Group PLC (Water Utilities)    434 
 568,642   Vodafone Group PLC (Wireless Telecommunication Services)    533 
 4,370   Whitbread PLC (Hotels, Restaurants & Leisure)    184 
 12,917   Wise PLC, Class - A (Professional Services)(a)    108 
 22,414   WPP PLC (Media)    200 
         62,646 
           
     United States — 0.12%     
 3,085   Brookfield Renewable Corp., Class - A (Independent Power and Renewable Electricity Producers) (b)    74 
 2,071   Linde PLC (Chemicals)    771 
         845 
           
     Total Common Stocks    415,719 
           
     Exchange-Traded Fund — 0.02%     
 1,667   iShares MSCI EAFE ETF    115 
           
     Total Exchange-Traded Fund    115 
           
     Investment Companies — 39.98%     
 1,037,868   Aberdeen New Dawn Investment Trust PLC    3,153 
 281,229   Aberforth Smaller Companies Trust PLC    4,204 
 516,982   Abrdn UK Smaller Cos Growth Trust PLC    2,599 
 122,104   Argo Investments Ltd.    680 
 115,844   ASA Gold and Precious Metals Ltd.    1,544 
 223,851   Australian Foundation Investment Co. Ltd.    987 
 1,614,892   AVI Japan Opportunity Trust PLC    2,273 
 2,244,534   Baillie Gifford European Growth Trust PLC    2,275 
 1,235,802   Baillie Gifford Shin Nippon PLC    1,927 
 1,016,942   Baillie Gifford UK Growth Trust PLC    1,933 
 344,747   Bellevue Healthcare Trust PLC    578 
 146,683   BlackRock Greater Europe Investment Trust PLC    890 
 272,380   BlackRock Health Sciences Term Trust    3,925 
 498,965   BlackRock Innovation and Growth Term Trust    3,473 
 181,428   BlackRock Science and Technology Term Trust    2,994 
 548,029   European Opportunities Trust PLC    5,351 
 801,964   Federated Hermes Treasury Obligations Fund, Institutional Shares, 4.99%^^(d)    802 
 422,147   Fidelity Emerging Markets Ltd.    3,064 
 1,828,198   Fidelity Japan Trust PLC    3,628 
 1,012,300   Fidelity Special Values PLC    3,360 
 2,118,994   Henderson European Focus Trust PLC    4,033 
 1,628,376   Henderson EuroTrust PLC    2,677 
Shares   Security Description  Value
(000)
 
     Investment Companies (continued)     
 849,919   Japan Smaller Capitalization Fund, Inc.   $6,043 
 1,862,113   JPMorgan European Discovery Trust PLC    8,374 
 7,782,827   JPMorgan European Growth & Income PLC    8,593 
 859,938   JPMorgan Japan Small Cap Growth & Income PLC    3,179 
 1,459,143   JPMorgan Japanese Investment Trust PLC    8,183 
 94,834   JPMorgan US Smaller Cos. Investment Trust PLC    407 
 1,670,107   Mercantile Investment Trust PLC    3,965 
 165,010   Morgan Stanley China A Share Fund, Inc.    2,056 
 633,490   Neuberger Berman Energy Infrastructure and Income Fund, Inc.    4,358 
 436,017   Neuberger Berman Next Generation Connectivity Fund, Inc.    4,543 
 749,267   Oakley Capital Investments Ltd.    4,095 
 2,376,770   Polar Capital Global Financials Trust PLC    4,049 
 190,094   Polar Capital Global Healthcare Trust PLC    737 
 2,396,500   Regal Asian Investments Ltd.^    2,873 
 2,692,880   Schroder Japan Trust PLC    7,802 
 10,089,219   Schroders Capital Global Innovation Trust    1,852 
 219,097   Smithson Investment Trust PLC    3,484 
 122,019,118   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)    122,019 
 895,841   Strategic Equity Capital PLC    3,360 
 1,151,235   Temple Bar Investment Trust PLC    3,300 
 1,841,780   Templeton Emerging Markets Investment Trust PLC    3,289 
 455,445   The Baillie Gifford Japan Trust PLC    3,851 
 586,536   The Edinburgh Investment Trust PLC    4,757 
 1,725,905   The European Smaller Cos.    3,107 
 256,163   The Monks Investment Trust PLC    2,933 
 229,330   The New Germany Fund, Inc.    1,874 
 964,156   WAM Global Ltd.    1,232 
 1,008,150   Worldwide Healthcare Trust PLC/Fund    3,793 
           
     Total Investment Companies    284,458 
           
     Total Investments (cost $639,529) — 98.42%    700,292 
     Other assets in excess of liabilities — 1.58%    11,224 
           
     Net Assets - 100.00%  $711,516 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

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

 

 

 

HC CAPITAL TRUST 

The Institutional International Equity Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited) 

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Institutional International Equity Portfolio  City of London Investment Management  Company, Limited   Mellon Investments Corporation   Parametric Portfolio Associates, LLC   HC Capital Solutions   Total 
Common Stocks   -    58.42%   -    -    58.42%
Exchange-Traded Funds   -    0.02%   -    -    0.02%
Investment Companies   22.89%   0.17%   16.90%   0.02%   39.98%
Other Assets (Liabilities)   0.03%   0.37%   0.65%   0.53%   1.58%
     Total Net Assets   22.92%   58.98%   17.55%   0.55%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*

 

Description  Number of
Contracts
  Expiration Date   Notional Amount
(000)
    Value and Unrealized Appreciation/ (Depreciation)
(000)
 
MSCI EAFE Index Future   1,285  12/15/23  $131,166   $(4,038)
         $131,166   $(4,038)
                 
  Total Unrealized Appreciation       $ 
  Total Unrealized Depreciation        (4,038)
  Total Net Unrealized Appreciation/(Depreciation)   $(4,038)
                 
* Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks — 78.27%     
     Brazil — 4.14%     
 429,922   Ambev SA (Beverages)   $1,122 
 435,636   B3 SA - Brasil Bolsa Balcao (Capital Markets)    1,065 
 230,432   Banco Bradesco SA (Banks)    581 
 514,150   Banco Bradesco SA, Preference Shares (Banks) (b)    1,463 
 90,794   Banco do Brasil SA (Banks)    852 
 159,261   BB Seguridade Participacoes SA (Insurance)    989 
 91,542   Centrais Eletricas Brasileiras SA (Electric Utilities)    672 
 444,892   Cia Energetica de Minas Gerais, Preference Shares (Electric Utilities)    1,099 
 98,100   Cia Siderurgica Nacional SA (Metals & Mining)    237 
 25,620   Gerdau SA, Preference Shares (Metals & Mining)    123 
 193,344   Hapvida Participacoes e Investimentos S/A (Health Care Providers & Services)(a)    181 
 414,005   Itau Unibanco Holding SA, Preference Shares (Banks)    2,242 
 64,365   JBS S/A (Food Products)    231 
 144,200   Klabin SA (Containers & Packaging)    683 
 103,765   Localiza Rent a Car SA (Ground Transportation)    1,209 
 153,824   Lojas Renner SA (Specialty Retail)    410 
 462,500   Magazine Luiza SA (Broadline Retail)(a)    195 
 97,849   Natura & Co. Holding SA (Personal Care Products)(a) (b)    284 
 695,182   Petroleo Brasileiro SA (Oil, Gas & Consumable Fuels) (b)    5,243 
 32,857   Petroleo Brasileiro SA, Preference Shares (Oil, Gas & Consumable Fuels)    227 
 93,520   PRIO SA (Oil, Gas & Consumable Fuels)(a)    875 
 223,600   Raia Drogasil SA (Consumer Staples Distribution & Retail)    1,229 
 108,800   Rumo SA (Ground Transportation) (b)    494 
 41,400   Suzano SA (Paper & Forest Products)    447 
 203,702   TIM SA (Wireless Telecommunication Services)    604 
 225,652   Vale SA (Metals & Mining)    3,035 
 243,850   WEG SA (Electrical Equipment)    1,760 
         27,552 
           
     Chile — 0.45%     
 23,065   Banco de Credito e Inversiones SA (Banks)    591 
 293,158   Empresas CMPC SA (Paper & Forest Products)    540 
 7,657,528   Enel Americas SA (Electric Utilities)(a)    880 
 7,027,795   Enel Chile SA (Electric Utilities)    427 
 47,236   Falabella SA (Broadline Retail)    106 
 7,697   Sociedad Quimica y Minera de Chile SA, Preference Shares (Chemicals)    458 
         3,002 
           
     China — 20.70%     
 77,365   360 Security Technology, Inc., Class - A (Software)(a)    104 
 7,995   3peak, Inc., Class - A (Semiconductors & Semiconductor Equipment)    200 
 14,000   AAC Technologies Holdings, Inc. (Electronic Equipment, Instruments & Components)    24 
 2,150,000   Agricultural Bank of China Ltd., H Shares (Banks)    800 
 75,400   Air China Ltd., Class - A (Passenger Airlines)(a)    84 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 700,000   Air China Ltd., H Shares (Passenger Airlines)(a)   $471 
 1,302,618   Alibaba Group Holding Ltd. (Broadline Retail)(a)    14,125 
 314,000   Aluminum Corp of China Ltd., H Shares (Metals & Mining)    175 
 155,700   Aluminum Corp. of China Ltd., Class - A (Metals & Mining)    134 
 6,300   Anjoy Foods Group Co. Ltd., Class - A (Food Products)    107 
 111,000   ANTA Sports Products Ltd. (Textiles, Apparel & Luxury Goods)    1,242 
 5,814   Autohome, Inc., ADR (Interactive Media & Services)    176 
 177,126   Baidu, Inc. (Interactive Media & Services)(a)    2,981 
 5,524,100   Bank of China Ltd., H Shares (Banks)    1,925 
 1,399,000   Bank of Communications Co. Ltd., H Shares (Banks)    845 
 281,350   Beijing Dabeinong Technology Group Co. Ltd., Class - A (Food Products)    260 
 144,823   Beijing Shiji Information Technology Co. Ltd., Class - A (Software)(a)    227 
 9,449   Bilibili, Inc., ADR (Entertainment)(a)    130 
 4,040   Bilibili, Inc., Class - Z (Entertainment)(a)    56 
 32,000   BYD Co. Ltd. (Automobile Components) (b)    986 
 70,553   BYD Co. Ltd., Class - A (Automobiles)    2,307 
 115,500   BYD Electronic International Co. Ltd. (Communications Equipment)    525 
 60,100   Chengxin Lithium Group Co. Ltd., Class - A (Chemicals)    185 
 432,000   China Cinda Asset Management Co. Ltd., H Shares (Capital Markets)(b)    43 
 134,900   China Communications Services Corp. Ltd., H Shares (Construction & Engineering)    57 
 545,000   China Conch Venture Holdings Ltd. (Construction & Engineering)    464 
 8,731,350   China Construction Bank Corp., H Shares (Banks)    4,909 
 1,641,000   China Everbright Bank Co. Ltd., H Shares (Banks)    491 
 110,000   China Feihe Ltd. (Food Products)    65 
 69,200   China Galaxy Securities Co. Ltd., Class - A (Capital Markets)    105 
 174,000   China Galaxy Securities Co. Ltd., H Shares (Capital Markets)    89 
 53,600   China International Capital Corp. Ltd., Class - A (Capital Markets)    276 
 50,800   China International Capital Corp. Ltd., H Shares (Capital Markets)    93 
 1,115,000   China Life Insurance Co. Ltd., H Shares (Insurance)    1,728 
 108,200   China Literature Ltd. (Entertainment)(a)(b)    394 
 290,000   China Longyuan Power Group Corp. Ltd., H Shares (Independent Power and Renewable Electricity Producers)    252 
 77,800   China Merchants Bank Co. Ltd., Class - A (Banks)    354 
 410,500   China Merchants Bank Co. Ltd., H Shares (Banks)    1,704 
 1,030,000   China National Building Material Co. Ltd., H Shares (Construction Materials) (b)    539 
 80,850   China Northern Rare Earth Group High-Tech Co. Ltd., Class - A (Metals & Mining)    242 

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 584,800   China Petroleum & Chemical Corp., Class - A (Oil, Gas & Consumable Fuels)   $486 
 1,643,400   China Petroleum & Chemical Corp., H Shares (Oil, Gas & Consumable Fuels)    894 
 479,000   China Shenhua Energy Co. Ltd., H Shares (Oil, Gas & Consumable Fuels)    1,550 
 846,000   China Southern Airlines Co. Ltd., H Shares (Passenger Airlines)(a)    410 
 9,400   China Tourism Group Duty Free Corp. Ltd., Class - A (Specialty Retail)    138 
 5,316,000   China Tower Corp. Ltd., H Shares (Diversified Telecommunication Services)    508 
 71,100   China Vanke Co. Ltd., H Shares (Real Estate Management & Development) (b)    78 
 12,400   Chongqing Brewery Co. Ltd., Class - A (Beverages)    145 
 51,000   Chongqing Changan Automobile Co. Ltd., Class - A (Automobiles)    95 
 55,650   Chongqing Zhifei Biological Products Co. Ltd., Class - A (Biotechnology)    371 
 189,765   CITIC Securities Co. Ltd., Class - A (Capital Markets)    567 
 83,000   CITIC Securities Co. Ltd., H Shares (Capital Markets)    168 
 285,000   CMOC Group Ltd., H Shares (Metals & Mining)    182 
 23,040   Contemporary Amperex Technology Co. Ltd., Class - A (Electrical Equipment)    644 
 482,430   COSCO SHIPPING Holdings Co. Ltd., Class - A (Marine Transportation)    649 
 124,800   COSCO SHIPPING Holdings Co. Ltd., H Shares (Marine Transportation)    128 
 1,222,000   Country Garden Holdings Co. Ltd. (Real Estate Management & Development)^(a)    141 
 195,678   Country Garden Services Holdings Co. Ltd. (Real Estate Management & Development)    200 
 118,100   CSC Financial Co. Ltd., Class - A (Capital Markets)    400 
 288,000   CSPC Pharmaceutical Group Ltd. (Pharmaceuticals) (b)    211 
 4,307   Daqo New Energy Corp., ADR (Semiconductors & Semiconductor Equipment)(a)    130 
 73,400   Dongfang Electric Corp. Ltd., Class - A (Electrical Equipment)    157 
 202,590   East Money Information Co. Ltd., Class - A (Capital Markets)    425 
 79,300   ENN Energy Holdings Ltd. (Gas Utilities)    653 
 55,623   Eve Energy Co. Ltd., Class - A (Electrical Equipment)    345 
 85,400   Fangda Carbon New Material Co. Ltd., Class - A (Electrical Equipment)(a)    68 
 450,300   Focus Media Information Technology Co. Ltd., Class - A (Media)    442 
 58,660   Foshan Haitian Flavouring & Food Co. Ltd., Class - A (Food Products)    307 
 67,000   Fosun International Ltd. (Industrial Conglomerates)    42 
 25,400   Fujian Sunner Development Co. Ltd., Class - A (Food Products)    67 
 83,704   GDS Holdings Ltd., Class - A (IT Services)(a)    115 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 110,000   Genscript Biotech Corp. (Life Sciences Tools & Services)(a) (b)   $288 
 112,200   GF Securities Co. Ltd., Class - A (Capital Markets)    226 
 85,000   GF Securities Co. Ltd., H Shares (Capital Markets)    114 
 2,400   Ginlong Technologies Co. Ltd., Class - A (Electrical Equipment)    26 
 276,500   Great Wall Motor Co. Ltd. (Automobile Components)    328 
 37,800   Gree Electric Appliances, Inc. of Zhuhai, Class - A (Household Durables)    189 
 157,000   Guanghui Energy Co. Ltd., Class - A (Oil, Gas & Consumable Fuels)    164 
 598,000   Guangzhou Automobile Group Co. Ltd., H Shares (Automobile Components)    295 
 12,766   H World Group Ltd., ADR (Hotels, Restaurants & Leisure)(a)    503 
 162,000   Haidilao International Holding Ltd. (Hotels, Restaurants & Leisure)    432 
 111,100   Haier Smart Home Co. Ltd., Class - A (Household Durables)    361 
 211,800   Haier Smart Home Co. Ltd., H Shares (Household Durables)    662 
 100   Haitong Securities Co. Ltd., Class - A (Capital Markets)     
 88,400   Haitong Securities Co. Ltd., H Shares (Capital Markets)    53 
 160,500   Hengan International Group Co. Ltd. (Personal Care Products)    511 
 45,000   Hengli Petrochemical Co. Ltd., Class - A (Chemicals)(a)    89 
 10,100   Hithink RoyalFlush Information Network Co. Ltd., Class - A (Capital Markets)    208 
 137,000   Hua Hong Semiconductor Ltd. (Semiconductors & Semiconductor Equipment)(a)(b)    344 
 25,200   Huadong Medicine Co. Ltd., Class - A (Health Care Providers & Services)    146 
 352,000   Huaneng Power International, Inc., H Shares (Independent Power and Renewable Electricity Producers)(a)(b)    170 
 100   Huatai Securities Co. Ltd., Class - A (Capital Markets)     
 59,000   Huatai Securities Co. Ltd., H Shares (Capital Markets)    75 
 89,400   Iflytek Co. Ltd., Class - A (Software)    623 
 6,214,440   Industrial & Commercial Bank of China Ltd., H Shares (Banks)    2,981 
 222,200   Inner Mongolia BaoTou Steel Union Co. Ltd., Class - A (Metals & Mining)(a)    52 
 128,500   Innovent Biologics, Inc. (Biotechnology)(a)    624 
 23,184   Inspur Electronic Information Industry Co. Ltd., Class - A (Technology Hardware, Storage & Peripherals)    119 
 22,650   iQIYI, Inc., ADR (Entertainment)(a)    107 
 84,050   JD Health International, Inc. (Consumer Staples Distribution & Retail)(a)    432 
 177,057   JD.com, Inc. (Broadline Retail)    2,576 
 1,180,000   Jiangsu Expressway Co. Ltd., H Shares (Transportation Infrastructure)    1,064 
 31   Jiangsu Hengrui Pharmaceuticals Co. Ltd., Class - A (Pharmaceuticals)     
 14,100   Juewei Food Co. Ltd., Class - A (Food Products)    73 
 12,389   Kanzhun Ltd., ADR (Interactive Media & Services)(a)    188 

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 54,155   KE Holdings, Inc., ADR (Real Estate Management & Development)   $840 
 421,000   Kingdee International Software Group Co. Ltd. (Software)(a)    515 
 62,000   Kingsoft Corp. Ltd. (Entertainment) (b)    223 
 197,500   Kuaishou Technology, Class - W (Media)(a)    1,571 
 5,400   Kweichow Moutai Co. Ltd., Class - A (Beverages)    1,339 
 124,000   Lenovo Group Ltd. (Technology Hardware, Storage & Peripherals)    127 
 46,500   Lens Technology Co. Ltd., Class - A (Electronic Equipment, Instruments & Components)    78 
 101,414   Li Auto, Inc., Class - A (Automobiles)(a)    1,810 
 229,000   Li Ning Co. Ltd. (Textiles, Apparel & Luxury Goods)    956 
 131,819   Luxshare Precision Industry Co. Ltd., Class - A (Electronic Equipment, Instruments & Components)    541 
 218,160   Meinian Onehealth Healthcare Holdings Co. Ltd., Class - A (Health Care Providers & Services)(a)    204 
 401,828   Meituan, Class - W (Hotels, Restaurants & Leisure)(a)    5,818 
 59,000   Microport Scientific Corp. (Health Care Equipment & Supplies)(a)    89 
 7,806   MINISO Group Holding Ltd., ADR (Broadline Retail)    202 
 7,280   Muyuan Foods Co. Ltd., Class - A (Food Products)    38 
 168,600   NetEase, Inc. (Entertainment)    3,381 
 20,200   New China Life Insurance Co. Ltd., Class - A (Insurance)    102 
 171,200   New China Life Insurance Co. Ltd., H Shares (Insurance)    411 
 121,600   New Oriental Education & Technology Group, Inc. (Diversified Consumer Services)(a)    720 
 121,605   NIO, Inc., ADR (Automobiles)(a)    1,099 
 23,520   Ovctek China, Inc., Class - A (Health Care Equipment & Supplies)    83 
 111,600   Perfect World Co. Ltd., Class - A (Entertainment)    202 
 456,300   PetroChina Co. Ltd., Class - A (Oil, Gas & Consumable Fuels)    499 
 1,264,000   PetroChina Co. Ltd., H Shares (Oil, Gas & Consumable Fuels)    947 
 330,000   PICC Property & Casualty Co. Ltd., H Shares (Insurance)    423 
 751,517   Ping An Insurance Group Co. of China Ltd. (Insurance)    4,262 
 345,600   Rongsheng Petrochemical Co. Ltd., Class - A (Chemicals)    565 
 45,700   SAIC Motor Corp. Ltd., Class - A (Automobiles)    93 
 16,300   Seres Group Co. Ltd., Class - A (Automobiles)(a)    125 
 120,299   Shandong Buchang Pharmaceuticals Co. Ltd., Class - A (Pharmaceuticals)    296 
 136,100   Shanghai Electric Group Co. Ltd., Class - A (Electrical Equipment)(a)    87 
 9,000   Shanghai Junshi Biosciences Co. Ltd., Class - A (Biotechnology)(a)    47 
 921,300   Shanghai Pharmaceuticals Holding Co. Ltd., H Shares (Health Care Providers & Services)    1,435 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 6,090   Shanghai Putailai New Energy Technology Co. Ltd., Class - A (Chemicals)   $24 
 82,200   Shanxi Meijin Energy Co. Ltd., Class - A (Metals & Mining)(a)    79 
 57,920   Shenzhen Kangtai Biological Products Co. Ltd., Class - A (Biotechnology)(a)    233 
 99,700   Shenzhou International Group Holdings Ltd. (Textiles, Apparel & Luxury Goods) (b)    948 
 26,100   Sichuan Kelun Pharmaceutical Co. Ltd., Class - A (Pharmaceuticals)    104 
 18,700   Sichuan New Energy Power Co. Ltd., Class - A (Trading Companies & Distributors)(a)    31 
 50,000   Silergy Corp. (Semiconductors & Semiconductor Equipment)    474 
 169,000   Smoore International Holdings Ltd. (Tobacco)    153 
 233,617   Songcheng Performance Development Co. Ltd., Class - A (Hotels, Restaurants & Leisure)    392 
 5,000   StarPower Semiconductor Ltd., Class - A (Semiconductors & Semiconductor Equipment)    123 
 124,127   Sunny Optical Technology Group Co. Ltd. (Electronic Equipment, Instruments & Components)    860 
 30,900   Suzhou Dongshan Precision Manufacturing Co. Ltd., Class - A (Electronic Equipment, Instruments & Components)    73 
 13,568   Suzhou Maxwell Technologies Co. Ltd., Class - A (Electrical Equipment)    236 
 45,497   TAL Education Group, ADR (Diversified Consumer Services)(a)    414 
 525,386   Tencent Holdings Ltd. (Interactive Media & Services) (b)    20,368 
 55,429   Tencent Music Entertainment Group, ADR (Entertainment)(a)    354 
 38,100   Trip.com Group Ltd. (Hotels, Restaurants & Leisure)(a)    1,343 
 30,940   Unisplendour Corp. Ltd., Class - A (Electronic Equipment, Instruments & Components)(a)    100 
 40,691   Vipshop Holdings Ltd., ADR (Broadline Retail)(a)    651 
 81,675   Walvax Biotechnology Co. Ltd., Class - A (Biotechnology)    264 
 8,500   Weibo Corp., ADR (Interactive Media & Services)    107 
 50,500   Weichai Power Co. Ltd., Class - A (Machinery)    87 
 54,000   Weichai Power Co. Ltd., H Shares (Machinery)    73 
 44,260   Wens Foodstuffs Group Co. Ltd., Class - A (Food Products)    106 
 134,279   Wuhan Guide Infrared Co. Ltd., Class - A (Electronic Equipment, Instruments & Components)    140 
 19,900   Wuliangye Yibin Co. Ltd., Class - A (Beverages)    429 
 30,360   WUS Printed Circuit Kunshan Co. Ltd., Class - A (Electronic Equipment, Instruments & Components)    94 
 27,200   WuXi AppTec Co. Ltd., Class - A (Life Sciences Tools & Services)    323 
           

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     China (continued)     
 30,340   WuXi AppTec Co. Ltd., H Shares (Life Sciences Tools & Services)^   $362 
 323,500   Wuxi Biologics Cayman, Inc. (Life Sciences Tools & Services)(a)    1,880 
 1,203,000   Xiaomi Corp., Class - W (Technology Hardware, Storage & Peripherals)(a)(b)    1,885 
 51,700   Xinjiang Goldwind Science & Technology Co. Ltd., Class - A (Electrical Equipment)    65 
 468,481   Xinyi Solar Holdings Ltd. (Semiconductors & Semiconductor Equipment)    348 
 98,064   XPeng, Inc., A Shares (Automobiles)(a)    896 
 366,000   Yadea Group Holdings Ltd. (Automobile Components)(b)    678 
 30,900   Yankuang Energy Group Co. Ltd., Class - A (Oil, Gas & Consumable Fuels)    86 
 219,000   Yankuang Energy Group Co. Ltd., H Shares (Oil, Gas & Consumable Fuels)    413 
 60,970   Yealink Network Technology Corp. Ltd., Class - A (Communications Equipment)    298 
 61,000   Yihai International Holding Ltd. (Food Products)    105 
 76,440   Yintai Gold Co. Ltd., Class - A (Metals & Mining)    148 
 124,076   Yonyou Network Technology Co. Ltd., Class - A (Software)    283 
 45,851   Yum China Holdings, Inc. (Hotels, Restaurants & Leisure)    2,555 
 27,030   Yunda Holding Co. Ltd., Class - A (Air Freight & Logistics)    37 
 10,800   Yunnan Energy New Material Co. Ltd., Class - A (Chemicals)    89 
 73,000   Zai Lab Ltd. (Biotechnology)(a)    179 
 13,100   Zhangzhou Pientzehuang Pharmaceutical Co. Ltd., Class - A (Pharmaceuticals)    495 
 51,400   Zhejiang Century Huatong Group Co. Ltd., Class - A (Entertainment)(a)    34 
 13,440   Zhejiang Dingli Machinery Co. Ltd., Class - A (Machinery)    97 
 1,094,000   Zhejiang Expressway Co. Ltd., H Shares (Transportation Infrastructure)    814 
 8,200   Zhejiang Supor Co. Ltd., Class - A (Household Durables)    55 
 75,900   Zheshang Securities Co. Ltd., Class - A (Capital Markets)    105 
 29,200   ZhongAn Online P&C Insurance Co. Ltd., H Shares (Insurance)(a)    86 
 15,300   Zhongji Innolight Co. Ltd., Class - A (Communications Equipment)    244 
 63,500   Zhongsheng Group Holdings Ltd. (Specialty Retail)    178 
 530,500   Zijin Mining Group Co. Ltd., Class - A (Metals & Mining)    883 
 218,000   Zijin Mining Group Co. Ltd., H Shares (Metals & Mining)    330 
 325,100   Zoomlion Heavy Industry Science and Technology Co. Ltd., Class - A (Machinery)    306 
 169,800   ZTE Corp., Class - A (Communications Equipment)    762 
 96,000   ZTE Corp., H Shares (Communications Equipment)    289 
 27,491   ZTO Express Cayman, Inc., ADR (Air Freight & Logistics)    664 
         137,973 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Cyprus — 0.00%     
 7,712   TCS Group Holding PLC, GDR (Banks)(a)(c)   $ 
           
     Czech Republic — 0.10%     
 190,434   Moneta Money Bank A/S (Banks)(b)    692 
           
     Egypt — 0.09%     
 294,053   Commercial International Bank Egypt SAE (Banks)    572 
           
     Greece — 0.27%     
 51,559   Alpha Services and Holdings SA (Banks)    68 
 116,923   Hellenic Telecommunications Organization SA (Diversified Telecommunication Services)    1,705 
         1,773 
           
     Hong Kong — 1.39%     
 348,000   Alibaba Health Information Technology Ltd. (Consumer Staples Distribution & Retail)(a)(b)    215 
 1,039,733   Beijing Enterprises Water Group Ltd. (Water Utilities) (b)    226 
 712,182   China Everbright Environment Group Ltd. (Commercial Services & Supplies)    245 
 1,674,121   China Jinmao Holdings Group Ltd. (Real Estate Management & Development)    215 
 126,000   China Mengniu Dairy Co. Ltd. (Food Products) (b)    420 
 270,000   China Overseas Land & Investment Ltd. (Real Estate Management & Development)    558 
 102,000   China Resources Beer Holdings Co. Ltd. (Beverages)    557 
 910,000   China Resources Cement Holdings Ltd. (Construction Materials) (b)    233 
 633,761   China Resources Land Ltd. (Real Estate Management & Development)    2,516 
 500,143   China Resources Power Holdings Co. Ltd. (Independent Power and Renewable Electricity Producers)    952 
 532,000   China Ruyi Holdings Ltd. (Entertainment)(a)    137 
 112,000   China State Construction International Holdings Ltd. (Construction & Engineering)    118 
 79,400   China Taiping Insurance Holdings Co. Ltd. (Insurance) (b)    79 
 1,172,000   Far East Horizon Ltd. (Financial Services)    843 
 1,688,000   GCL Technology Holdings Ltd. (Semiconductors & Semiconductor Equipment)    313 
 536,000   Geely Automobile Holdings Ltd. (Automobiles) (b)    629 
 122,500   Kingboard Holdings Ltd. (Electronic Equipment, Instruments & Components)    274 
 332,000   Kingboard Laminates Holdings Ltd. (Electronic Equipment, Instruments & Components) (b)    234 
 735,000   Sino Biopharmaceutical Ltd. (Pharmaceuticals)(b)    265 
 209,600   Yuexiu Property Co. Ltd. (Real Estate Management & Development)    241 
         9,270 
           
     Hungary — 0.27%     
 62,779   MOL Hungarian Oil & Gas PLC (Oil, Gas & Consumable Fuels)    476 
 172   OTP Bank Nyrt (Banks)    6 

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Hungary (continued)     
 54,565   Richter Gedeon Nyrt (Pharmaceuticals)   $1,323 
         1,805 
           
     India — 12.02%     
 15,407   Adani Enterprises Ltd. (Trading Companies & Distributors)    446 
 32,957   Adani Green Energy Ltd. (Independent Power and Renewable Electricity Producers)(a)    392 
 123,743   Adani Ports & Special Economic Zone Ltd. (Transportation Infrastructure)    1,227 
 96,565   Adani Power Ltd. (Independent Power and Renewable Electricity Producers)(a)    439 
 212,891   Ambuja Cements Ltd. (Construction Materials)    1,085 
 8,752   Apollo Hospitals Enterprise Ltd. (Health Care Providers & Services)    540 
 25,951   Asian Paints Ltd. (Chemicals)    986 
 34,614   Aurobindo Pharma Ltd. (Pharmaceuticals) (b)    380 
 56,857   Avenue Supermarts Ltd. (Consumer Staples Distribution & Retail)(a)(b)    2,511 
 259,886   Axis Bank Ltd. (Banks) (b)    3,235 
 17,379   Bajaj Auto Ltd. (Automobile Components)    1,057 
 34,104   Bajaj Finance Ltd. (Consumer Finance) (b)    3,199 
 77,010   Bajaj Finserv Ltd. (Financial Services)    1,424 
 216,368   Bharat Petroleum Corp. Ltd. (Oil, Gas & Consumable Fuels) (b)    903 
 8,699   Bharti Airtel Ltd. (Wireless Telecommunication Services) (b)    97 
 8,842,285   Chennai Super Kings Cricket Ltd. (Entertainment)(a)(c)     
 75,285   Cholamandalam Investment and Finance Co. Ltd. (Consumer Finance)    1,101 
 603,311   Coal India Ltd. (Oil, Gas & Consumable Fuels) (b)    2,140 
 33,142   Dr. Reddy's Laboratories Ltd., ADR (Pharmaceuticals)    2,216 
 17,545   Eicher Motors Ltd. (Automobiles) (b)    727 
 478,101   GAIL India Ltd. (Gas Utilities)    715 
 138,532   HCL Technologies Ltd. (IT Services)    2,053 
 228,795   HDFC Bank Ltd. (Banks)    4,197 
 46,133   Hindustan Unilever Ltd. (Personal Care Products) (b)    1,368 
 495,827   ICICI Bank Ltd. (Banks) (b)    5,682 
 3,542   Info Edge India Ltd. (Interactive Media & Services)    177 
 233,876   Infosys Ltd. (IT Services)    4,019 
 17,988   InterGlobe Aviation Ltd. (Passenger Airlines)(a)    515 
 480,232   ITC Ltd. (Tobacco) (b)    2,566 
 296,119   Jio Financial Services Ltd. (Financial Services)(a)    824 
 29,227   Kotak Mahindra Bank Ltd. (Banks) (b)    609 
 5,740   Larsen & Toubro Ltd. (Construction & Engineering) (b)    209 
 32,674   Mahindra & Mahindra Ltd. (Automobile Components)    610 
 2,948   Maruti Suzuki India Ltd. (Automobiles)    376 
 543,033   NTPC Ltd. (Independent Power and Renewable Electricity Producers) (b)    1,603 
 231,740   Oil & Natural Gas Corp. Ltd. (Oil, Gas & Consumable Fuels) (b)    534 
 31,703   Pidilite Industries Ltd. (Chemicals)    930 
 296,119   Reliance Industries Ltd. (Oil, Gas & Consumable Fuels)    8,339 
 30,301   SBI Life Insurance Co. Ltd. (Insurance)    475 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     India (continued)     
 5,875   Shree Cement Ltd. (Construction Materials) (b)   $1,798 
 234,732   State Bank of India (Banks) (b)    1,686 
 66,808   Tata Consultancy Services Ltd. (IT Services) (b)    2,829 
 191,775   Tata Motors Ltd. (Automobile Components) (b)    1,451 
 1,867,110   Tata Steel Ltd. (Metals & Mining)    2,888 
 38,639   Titan Co. Ltd. (Textiles, Apparel & Luxury Goods)    1,462 
 12,941   Trent Ltd. (Specialty Retail)    323 
 22,694   UltraTech Cement Ltd. (Construction Materials)    2,251 
 222,144   United Spirits Ltd. (Beverages)(a)    2,688 
 172,397   Vedanta Ltd. (Metals & Mining) (b)    460 
 345,442   Wipro Ltd. (IT Services) (b)    1,682 
 1,074,947   Yes Bank Ltd. (Banks)(a) (b)    223 
 391,468   Zomato Ltd. (Hotels, Restaurants & Leisure)(a) (b)    477 
         80,124 
           
     Indonesia — 1.71%     
 360,200   Aneka Tambang Tbk (Metals & Mining)    42 
 32,225,600   GoTo Gojek Tokopedia Tbk PT (Broadline Retail)(a)    176 
 2,110,400   PT Astra International Tbk (Automobile Components)    848 
 4,904,385   PT Bank Central Asia Tbk (Banks)    2,796 
 5,393,700   PT Bank Rakyat Indonesia Persero Tbk (Banks)    1,822 
 833,271   PT Barito Pacific Tbk (Chemicals)    70 
 1,875,600   PT Charoen Pokphand Indonesia Tbk (Food Products)(a)    658 
 345,000   PT Indah Kiat Pulp & Paper Tbk (Paper & Forest Products)    247 
 2,093,700   PT Indofood Sukses Makmur Tbk (Food Products)    897 
 17,899,235   PT Kalbe Farma Tbk (Pharmaceuticals)    2,030 
 237,400   PT Merdeka Copper Gold Tbk (Metals & Mining)(a) (b)    44 
 621,400   PT Semen Indonesia Persero Tbk (Construction Materials)    258 
 5,748,850   PT Telkom Indonesia Persero Tbk (Diversified Telecommunication Services) (b)    1,394 
 63,800   PT United Tractors Tbk (Oil, Gas & Consumable Fuels)    116 
         11,398 
           
     Ireland (Republic of) — 0.71%     
 48,284   PDD Holdings, Inc., ADR (Broadline Retail)(a)    4,735 
           
     Kuwait — 0.27%     
 346,467   Boubyan Bank KSCP (Banks)    677 
 469,648   Kuwait Finance House KSCP (Banks)    1,112 
         1,789 
           
     Malaysia — 1.66%     
 241,900   AMMB Holdings Berhad (Banks)    191 
 60,200   CELCOMDIGI Berhad (Wireless Telecommunication Services)    56 
 1,488,900   Dialog Group Berhad (Energy Equipment & Services)    671 
 1,093,800   IHH Healthcare Berhad (Health Care Providers & Services)    1,360 
 1,283,100   IOI Corp. Berhad (Food Products)    1,086 
 378,796   Malayan Banking Berhad (Banks)    709 
           

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Malaysia (continued)     
 1,199,000   Malaysia Airports Holdings Berhad (Transportation Infrastructure)   $1,821 
 581,500   Maxis Berhad (Wireless Telecommunication Services) (b)    500 
 15,300   Petronas Gas Berhad (Gas Utilities)    55 
 949,200   Press Metal Aluminium Holdings Berhad (Metals & Mining) (b)    951 
 1,142,400   Public Bank Berhad (Banks)    987 
 1,262,600   QL Resources Berhad (Food Products)    1,469 
 558,900   Sime Darby Berhad (Industrial Conglomerates)    263 
 1,028,100   Sime Darby Plantation Berhad (Food Products)    936 
         11,055 
           
    Mexico — 2.11%    
 1,291,300   America Movil SAB de CV, Class - B (Wireless Telecommunication Services)    1,118 
 1,050,300   Cemex SAB de CV (Construction Materials)(a)    685 
 138,800   Coca-Cola Femsa SAB de CV (Beverages)    1,090 
 156,300   Fibra Uno Administracion SA de CV (Diversified REITs) (b)    261 
 365,140   Fomento Economico Mexicano SAB de CV (Beverages)    3,987 
 43,945   Grupo Aeroportuario del Sureste SAB de CV, Class - B (Transportation Infrastructure)    1,076 
 142,198   Grupo Bimbo SAB de CV, Class - A (Food Products)    686 
 152,000   Grupo Financiero Banorte SAB de CV, Class - O (Banks)    1,275 
 404,517   Grupo Mexico SAB de CV, Class - B (Metals & Mining)    1,915 
 255,700   Grupo Televisa SAB (Media)    155 
 454,300   Kimberly-Clark de Mexico SAB de CV, Class - A (Household Products)    905 
 439,825   Orbia Advance Corp SAB de CV (Chemicals)    914 
         14,067 
           
     Peru — 0.33%     
 109,508   Cia de Minas Buenaventura SAA, ADR (Metals & Mining)    933 
 9,691   Credicorp Ltd. (Banks)    1,240 
         2,173 
           
     Philippines — 0.89%     
 1,181,140   Aboitiz Equity Ventures, Inc. (Industrial Conglomerates)(b)    1,047 
 1,797,673   Metropolitan Bank & Trust Co. (Banks)    1,715 
 17,765   PLDT, Inc. (Wireless Telecommunication Services)    369 
 187,693   SM Investments Corp. (Industrial Conglomerates)    2,797 
         5,928 
           
     Poland — 0.38%     
 97,123   Bank Polska Kasa Opieki SA (Banks)(b)    2,234 
 3,287   CD Projekt SA (Entertainment)    94 
 3,670   KGHM Polska Miedz SA (Metals & Mining)    94 
 13,430   Powszechny Zaklad Ubezpieczen SA (Insurance) (b)    127 
         2,549 
           
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Qatar — 0.82%     
 46,759   Industries Qatar QSC (Industrial Conglomerates)   $176 
 962,524   Masraf Al Rayan QSC (Banks)    590 
 370,757   Mesaieed Petrochemical Holding Co. (Chemicals)    189 
 121,012   Qatar Fuel QSC (Oil, Gas & Consumable Fuels)    549 
 55,762   Qatar International Islamic Bank QSC (Banks)   147 
 187,807   Qatar Islamic Bank SAQ (Banks)    958 
 508,820   Qatar National Bank QPSC (Banks)    2,154 
 459,841   The Commercial Bank PSQC (Banks)    682 
         5,445 
           
     Russia — 0.00%     
 877,850   Gazprom PJSC (Oil, Gas & Consumable Fuels)(c)     
 280,855   Gazprom PJSC, ADR (Oil, Gas & Consumable Fuels)(a)(c)     
 23,471   LUKOIL PJSC (Oil, Gas & Consumable Fuels)(c)     
 32,986   LUKOIL PJSC (Oil, Gas & Consumable Fuels)(c)     
 102,050   Novatek PJSC (Oil, Gas & Consumable Fuels)(c)     
 38,369   Polymetal International PLC (Metals & Mining)(a)(c)     
 3,734   Polyus PJSC (Metals & Mining)(a)(c)     
 357,956   Sberbank of Russia PJSC (Banks)(c)     
 113,164   Severstal PAO, GDR (Metals & Mining)(a)(c)     
 125,880   Tatneft PJSC (Oil, Gas & Consumable Fuels)(c)     
 766,486   The Moscow Exchange (Capital Markets)(c)     
 814,600,000   VTB Bank PJSC (Banks)(a)(c)     
 31,318   Yandex N.V., Class - A (Interactive Media & Services)(a)(c)     
          
           
     Saudi Arabia — 3.22%     
 159,310   Al Rajhi Bank (Banks)    2,887 
 4,497   Almarai Co. JSC (Food Products)    76 
 77,181   Banque Saudi Fransi (Banks)    752 
 21,193   Bupa Arabia for Cooperative Insurance Co. (Insurance)    1,175 
 285,772   Dar Al Arkan Real Estate Development Co. (Real Estate Management & Development)(a)    1,202 
 1,354   Dr. Sulaiman Al Habib Medical Services Group Co. (Health Care Providers & Services)    85 
 11,068   Elm Co. (IT Services)    2,302 
 17,324   Mobile Telecommunications Co. Saudi Arabia (Wireless Telecommunication Services)    61 
 172,781   Riyad Bank (Banks)    1,279 
 49,704   SABIC Agri-Nutrients Co. (Chemicals)    1,764 
 46,591   Sahara International Petrochemical Co. (Chemicals)    470 
 249,566   Saudi Arabian Mining Co. (Metals & Mining)(a)    2,688 
 71,146   Saudi Awwal Bank (Banks) (b)    655 
 62,760   Saudi Basic Industries Corp. (Chemicals)    1,382 
 72,167   Saudi Industrial Investment Group (Chemicals)    458 
 110,340   Saudi Kayan Petrochemical Co. (Chemicals)(a)    368 
 6,543   Saudi Tadawul Group Holding Co. (Capital Markets)    337 
           

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Saudi Arabia (continued)     
 121,265   Saudi Telecom Co. (Diversified Telecommunication Services)(b)   $1,216 
 221,316   The Saudi National Bank (Banks)    1,936 
 37,378   The Savola Group (Food Products)    359 
         21,452 
           
     Singapore - 0.01%     
 1,500   JOYY, Inc., ADR (Interactive Media & Services)    57 
           
     South Africa — 2.52%     
 43,142   Absa Group Ltd. (Banks)    398 
 7,411   Anglo American Platinum Ltd. (Metals & Mining)    277 
 11,124   Aspen Pharmacare Holdings Ltd. (Pharmaceuticals)    101 
 61,875   Bid Corp. Ltd. (Consumer Staples Distribution & Retail)    1,380 
 6,145   Capitec Bank Holdings Ltd. (Banks)    556 
 229,901   Discovery Ltd. (Insurance) (b)    1,666 
 583,993   FirstRand Ltd. (Financial Services)    1,967 
 57,103   Gold Fields Ltd. (Metals & Mining) (b)    619 
 399,656   Growthpoint Properties Ltd. (Diversified REITs) (b)    223 
 48,655   Impala Platinum Holdings Ltd. (Metals & Mining)    254 
 270,984   MTN Group Ltd. (Wireless Telecommunication Services)    1,616 
 19,542   Naspers Ltd., Class - N (Broadline Retail)(a)    3,128 
 20,893   Nedbank Group Ltd. (Banks) (b)    223 
 144,156   Old Mutual Ltd. (Insurance)    92 
 15,002   Remgro Ltd. (Financial Services)    118 
 34,236   Sanlam Ltd. (Insurance) (b)    119 
 54,300   Sasol Ltd. (Chemicals)    746 
 9,822   Shoprite Holdings Ltd. (Consumer Staples Distribution & Retail)    124 
 455,387   Sibanye Stillwater Ltd. (Metals & Mining)    699 
 198,044   Standard Bank Group Ltd. (Banks)    1,922 
 31,869   The Bidvest Group Ltd. (Industrial Conglomerates)    459 
 22,743   Woolworths Holdings Ltd. (Broadline Retail) (b)    82 
         16,769 
           
     South Korea — 9.42%     
 2,121   Amorepacific Corp. (Personal Care Products)    192 
 7,593   Celltrion Healthcare Co. Ltd. (Health Care Providers & Services) (b)    354 
 9,397   Celltrion, Inc. (Biotechnology) (b)    970 
 2,884   CJ CheilJedang Corp. (Food Products)    655 
 22,426   Coway Co. Ltd. (Household Durables)    685 
 10,846   DB Insurance Co. Ltd. (Insurance) (b)    719 
 56,450   Doosan Enerbility Co. Ltd. (Electrical Equipment)(a) (b)    687 
 1,553   Ecopro Co. Ltd. (Chemicals)    1,031 
 1,990   GS Holdings Corp. (Industrial Conglomerates)    59 
 14,221   Hana Financial Group, Inc. (Banks)    446 
 2,925   Hankook Tire & Technology Co. Ltd. (Automobile Components)    86 
 25,998   Hanon Systems (Automobile Components)    181 
 6,585   Hanwha Solutions Corp. (Chemicals)(a)    145 
 9,376   HD Korea Shipbuilding & Offshore Engineering Co. Ltd. (Machinery)(a)    771 
 9,227   HLB, Inc. (Health Care Equipment & Supplies)(a)    205 
 16,423   HMM Co. Ltd. (Marine Transportation)    198 
 5,698   Hotel Shilla Co. Ltd. (Specialty Retail)    357 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     South Korea (continued)     
 20,595   Hyundai Engineering & Construction Co. Ltd. (Construction & Engineering)   $553 
 8,869   Hyundai Mobis Co. Ltd. (Automobile Components)    1,579 
 5,485   Hyundai Motor Co. (Automobile Components)    776 
 6,687   Hyundai Motor Co., Preference Shares (Automobiles)    520 
 11,127   Hyundai Motor Co., Series 2, Preference Shares (Automobiles)    872 
 11,325   Industrial Bank of Korea (Banks)    94 
 18,004   Kakao Corp. (Interactive Media & Services)    588 
 16,639   KakaoBank Corp. (Banks)    288 
 61,371   Kangwon Land, Inc. (Hotels, Restaurants & Leisure)    687 
 27,540   KB Financial Group, Inc. (Banks) (b)    1,123 
 25,407   Kia Corp. (Automobile Components)    1,529 
 77,662   Korea Electric Power Corp. (Electric Utilities)(a)    1,033 
 2,360   Krafton, Inc. (Entertainment)(a)    263 
 17,714   KT&G Corp. (Tobacco) (b)    1,131 
 7,095   Kumho Petrochemical Co. Ltd. (Chemicals)    704 
 929   L&F Co. Ltd. (Electronic Equipment, Instruments & Components)    119 
 3,143   LG Chem Ltd. (Chemicals)    1,151 
 1,665   LG Chem Ltd., Preference Shares (Chemicals)    383 
 25,780   LG Display Co. Ltd. (Electronic Equipment, Instruments & Components)    250 
 4,131   LG Electronics, Inc. (Household Durables)    308 
 2,766   LG Energy Solution Ltd. (Electrical Equipment)(a)    976 
 1,179   LG H&H Co. Ltd. (Personal Care Products)    389 
 2,237   LG Innotek Co. Ltd. (Electronic Equipment, Instruments & Components)    405 
 65,000   Mirae Asset Securities Co. Ltd. (Capital Markets)    311 
 11,210   NAVER Corp. (Interactive Media & Services)    1,676 
 138,644   Pan Ocean Co. Ltd. (Marine Transportation)    508 
 7,647   Pearl Abyss Corp. (Entertainment)(a)    264 
 3,222   POSCO Future M Co. Ltd. (Construction Materials)    852 
 6,030   POSCO Holdings, Inc. (Metals & Mining)    2,376 
 2,116   Samsung Biologics Co. Ltd. (Life Sciences Tools & Services)(a)    1,068 
 5,357   Samsung Electro-Mechanics Co. Ltd. (Electronic Equipment, Instruments & Components)    544 
 368,770   Samsung Electronics Co. Ltd. (Technology Hardware, Storage & Peripherals)    18,645 
 57,211   Samsung Electronics Co. Ltd., Preference Shares (Technology Hardware, Storage & Peripherals)    2,305 
 54,624   Samsung Engineering Co. Ltd. (Construction & Engineering)(a)(b)    1,223 
 7,638   Samsung Fire & Marine Insurance Co. Ltd. (Insurance)    1,469 
 4,007   Samsung SDI Co. Ltd. (Electronic Equipment, Instruments & Components)    1,515 
 44,912   Shinhan Financial Group Co. Ltd. (Banks)    1,182 
 45,837   SK Hynix, Inc. (Semiconductors & Semiconductor Equipment)    3,880 
 433   SK IE Technology Co. Ltd. (Chemicals)(a)    24 
 6,875   SK Innovation Co. Ltd. (Oil, Gas & Consumable Fuels)(a)    754 

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     South Korea (continued)     
 18,697   SK Square Co. Ltd. (Semiconductors & Semiconductor Equipment)(a)   $587 
 10,357   Woori Financial Group, Inc. (Banks)    94 
         62,739 
           
     Taiwan — 11.40%     
 46,904   Airtac International Group (Machinery)    1,425 
 378,672   ASE Technology Holding Co. Ltd. (Semiconductors & Semiconductor Equipment)    1,293 
 532,971   Asia Cement Corp. (Construction Materials)    657 
 79,000   Asustek Computer, Inc. (Technology Hardware, Storage & Peripherals)    899 
 110,000   Catcher Technology Co. Ltd. (Technology Hardware, Storage & Peripherals)    623 
 1,021,000   Cheng Shin Rubber Industry Co. Ltd. (Automobile Components)    1,345 
 4,428,000   China Development Financial Holding Corp. (Insurance)(a)    1,619 
 280,000   Chunghwa Telecom Co. Ltd. (Diversified Telecommunication Services)    1,007 
 972,000   Compal Electronics, Inc. (Technology Hardware, Storage & Peripherals)    926 
 174,000   Delta Electronics, Inc. (Electronic Equipment, Instruments & Components)    1,753 
 25,000   E Ink Holdings, Inc. (Electronic Equipment, Instruments & Components)    139 
 63,000   Eclat Textile Co. Ltd. (Textiles, Apparel & Luxury Goods)    951 
 12,000   eMemory Technology, Inc. (Semiconductors & Semiconductor Equipment)    754 
 94,000   Evergreen Marine Corp. Taiwan Ltd. (Marine Transportation)    338 
 649,000   Far EasTone Telecommunications Co. Ltd. (Wireless Telecommunication Services)    1,462 
 785,759   Fubon Financial Holding Co. Ltd. (Insurance)    1,480 
 37,000   Globalwafers Co. Ltd. (Semiconductors & Semiconductor Equipment)    522 
 946,000   Hon Hai Precision Industry Co. Ltd. (Electronic Equipment, Instruments & Components)    3,049 
 937,127   Innolux Corp. (Electronic Equipment, Instruments & Components)(a)    382 
 438,000   Inventec Corp. (Technology Hardware, Storage & Peripherals)    668 
 10,000   Largan Precision Co. Ltd. (Electronic Equipment, Instruments & Components)    663 
 364,554   Lite-On Technology Corp. (Technology Hardware, Storage & Peripherals)    1,377 
 84,962   MediaTek, Inc. (Semiconductors & Semiconductor Equipment)    1,943 
 2,571,364   Mega Financial Holding Co. Ltd. (Banks)    3,006 
 28,000   Nan Ya Printed Circuit Board Corp. (Electronic Equipment, Instruments & Components)    232 
 185,000   Nanya Technology Corp. (Semiconductors & Semiconductor Equipment) (b)    377 
 58,000   Novatek Microelectronics Corp. (Semiconductors & Semiconductor Equipment)    762 
 569,000   Pegatron Corp. (Technology Hardware, Storage & Peripherals)    1,351 
 436,620   Pou Chen Corp. (Textiles, Apparel & Luxury Goods)    388 
Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Taiwan (continued)     
 246,000   Quanta Computer, Inc. (Technology Hardware, Storage & Peripherals)   $1,841 
 776,908   Ruentex Development Co. Ltd. (Real Estate Management & Development)    848 
 782,900   Synnex Technology International Corp. (Electronic Equipment, Instruments & Components)    1,555 
 675,110   Taiwan Cement Corp. (Construction Materials)    696 
 276,000   Taiwan Mobile Co. Ltd. (Wireless Telecommunication Services)    809 
 1,934,000   Taiwan Semiconductor Manufacturing Co. Ltd. (Semiconductors & Semiconductor Equipment)    31,540 
 470,369   The Shanghai Commercial & Savings Bank Ltd. (Banks)    631 
 116,000   Unimicron Technology Corp. (Electronic Equipment, Instruments & Components)    626 
 500,000   United Microelectronics Corp. (Semiconductors & Semiconductor Equipment)    702 
 546,000   Winbond Electronics Corp. (Semiconductors & Semiconductor Equipment)    429 
 104,000   Wistron Corp. (Technology Hardware, Storage & Peripherals)    329 
 638,400   WPG Holdings Ltd. (Electronic Equipment, Instruments & Components)    1,199 
 43,775   Yageo Corp. (Electronic Equipment, Instruments & Components)    713 
 241,000   Yang Ming Marine Transport Corp. (Marine Transportation)    340 
 2,986,987   Yuanta Financial Holding Co. Ltd. (Financial Services)    2,321 
         75,970 
           
     Thailand — 1.73%     
 264,700   Advanced Info Service PCL, Class - F (Wireless Telecommunication Services)    1,658 
 379,300   Airports of Thailand PCL (Transportation Infrastructure)(a)    726 
 691,100   Berli Jucker PCL (Consumer Staples Distribution & Retail)    582 
 728,100   BTS Group Holdings PCL (Ground Transportation)    150 
 171,633   Central Retail Corp. PCL (Broadline Retail)    182 
 455,000   Delta Electronics Thailand PCL - NVDR (Electronic Equipment, Instruments & Components)    1,029 
 688,700   Energy Absolute PCL (Independent Power and Renewable Electricity Producers)    962 
 1,418,800   Gulf Energy Development PCL (Independent Power and Renewable Electricity Producers)    1,769 
 89,800   Indorama Ventures PCL - NVDR (Chemicals)    64 
 1,724,700   Krung Thai Bank PCL, Class - F (Banks)    900 
 682,900   Minor International PCL (Hotels, Restaurants & Leisure)    584 
 93,800   Muangthai Capital PCL (Consumer Finance)    92 
 272,575   PTT Exploration & Production PCL, Class - F (Oil, Gas & Consumable Fuels)    1,280 
 429,142   PTT Global Chemical PCL, Class - F (Chemicals)    407 
 361,600   SCB X PCL - NVDR (Banks)    1,016 
 98,100   Thai Oil PCL (Oil, Gas & Consumable Fuels)    135 
         11,536 
           

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Shares   Security Description  Value
(000)
 
     Common Stocks (continued)     
     Turkey — 0.55%     
 159,726   Akbank TAS (Banks)   $195 
 871,550   Aselsan Elektronik Sanayi Ve Ticaret A/S (Aerospace & Defense)    1,296 
 39,242   BIM Birlesik Magazalar A/S (Consumer Staples Distribution & Retail)    393 
 266,822   Eregli Demir ve Celik Fabrikalari TAS (Metals & Mining)(a)    432 
 1   Kardemir Karabuk Demir Celik Sanayi ve Ticaret A/S (Metals & Mining)     
 131,853   Sasa Polyester Sanayi A/S (Chemicals)(a)    237 
 482,245   Turkcell Iletisim Hizmetleri A/S (Wireless Telecommunication Services)(a)    936 
 32,414   Turkiye Petrol Rafinerileri A/S (Oil, Gas & Consumable Fuels)    188 
         3,677 
           
     United Arab Emirates — 0.79%     
 443,740   Abu Dhabi Commercial Bank PJSC (Banks)    1,045 
 775,182   Dubai Islamic Bank PJSC (Banks)    1,235 
 163,297   Emirates Telecommunications Group Co. PJSC (Diversified Telecommunication Services)    909 
 517,479   First Abu Dhabi Bank PJSC (Banks)    1,916 
 154,208   Multiply Group PJSC (Industrial Conglomerates)(a)    168 
         5,273 
           
     United Kingdom — 0.12%     
 48,147   Anglogold Ashanti PLC (Metals & Mining)    774 
           
     United States — 0.20%     
 52,000   BeiGene Ltd. (Biotechnology)(a)    718 
 2,593   Legend Biotech Corp., ADR (Biotechnology)(a)    174 

 

 Shares   Security Description   Value
(000)
 
     Common Stocks (continued)     
     United States (continued)     
 5,000   Parade Technologies Ltd. (Semiconductors & Semiconductor Equipment)    153 
 3,561   Southern Copper Corp. (Metals & Mining)   $268 
         1,313 
           
     Total Common Stocks    521,462 
           
     Rights — 0.00%     
     Brazil — 0.00%     
 760   Localiza Rent a Car S/A, 11/13/23 (Ground Transportation)(a)    2 
           
     Chile — 0.00%     
 2,993   Banco de Credito e Inversiones SA, 10/23/23 (Banks)(a)    3 
           
     Total Rights    5 
           
     Investment Companies — 21.52%     
 99,174   Federated Hermes Treasury Obligations Fund, Institutional Shares, 4.99%^^(d)    99 
 143,293,488   State Street Institutional Treasury Plus Money Market Fund, Trust Class, 5.23%(d)    143,293 
           
     Total Investment Companies    143,392 
           
     Total Investments (cost $650,240) — 99.79%    664,859 
     Other assets in excess of liabilities — 0.21%    1,372 
           
     Net Assets - 100.00%  $666,231 

 


Amounts designated as "—" are $0 or have been rounded to $0.
 
^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Represents non-income producing security.
(b) Represents a security purchased under Rule 144A or Section 4(2) and is exempt from registration under the Securities Act of 1933, as amended, or is otherwise restricted to resale. Certain of these securities may be resold in transactions exempt from registration, normally to qualified institutional buyers. These securities have been deemed liquid by the Specialist Manager.
(c) Security was valued using significant unobservable inputs as of September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

ADR—American Depositary Receipt
GDR—Global Depositary Receipt  
NVDR—Non-Voting Depository Receipt  
REIT—Real Estate Investment Trust  
   

 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Emerging Markets Portfolio  Mellon Investments Corporation   Parametric Portfolio Associates, LLC   XY Investments (HK) Limited   Total 
Common Stocks   78.27%   -    -    78.27%
Rights   0.00%   -    -    0.00%
Investment Companies   0.43%   13.48%   7.61%   21.52%
Other Assets (Liabilities)   0.08%   0.42%   -0.29%   0.21%
     Total Net Assets   78.78%   13.90%   7.32%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.
 
Futures Contracts Purchased*                
Description  Number of
Contracts
  Expiration Date   Notional Amount
(000)
    Value and Unrealized Appreciation/ (Depreciation)
(000)
 
MSCI Emerging Markets Index Future   2,037  12/15/23  $97,318   $(1,694)
         $97,318   $(1,694)
                 
  Total Unrealized Appreciation       $ 
  Total Unrealized Depreciation        (1,694)
  Total Net Unrealized Appreciation/(Depreciation)   $(1,694)

 

*Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  360 Security Technology, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity  $63   $   $   $ 
Receive    0.07%  Actions Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   16             
Receive    0.60%  ADD Industry Zhejiang Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Advanced Micro-Fabrication Equipment, Inc. China A-shares  Morgan Stanley  2/5/24  At Maturity   200    11        11 
Receive    0.60%  Agricultural Bank of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   221    7        7 
Receive    0.60%  Aier Eye Hospital Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   415    (11)       (11)
Receive    0.60%  Aluminum Corp. of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   96    (5)       (5)
Receive    0.60%  Amoy Diagnostics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Anhui Anke Biotechnology Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Anhui Co.nch Cement Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   30             
Receive    0.07%  Anhui Fuhuang Steel Structure Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Anhui Gujing Distillery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   80    2        2 
Receive    0.60%  Anhui Hengyuan Co.al Industry and Electricity Power Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9             
Receive    0.07%  AnHui Higasket Plastics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   204    1        1 
Receive    0.60%  Anhui Jiuhuashan Tourism Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.07%  Anhui Tongyuan Environment Energy Saving Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   127    (2)       (2)
Receive    0.07%  Anhui Wanyi Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9             
Receive    0.60%  Anhui Xinhua Media Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Anhui Yingjia Distillery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Anji Foodstuff Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Anjoy Foods Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   14    (1)       (1)
Receive    0.60%  Anker Innovations Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   139    24        24 
Receive    0.60%  Apeloa Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  APT Medical, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   79    5        5 
Receive    0.60%  Avary Holding Shenzhen Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   50             
Receive    0.51%  AVE Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   111    3        3 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Bank of Beijing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $229   $2   $   $2 
Receive    0.60%  Bank of Chengdu Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   119    (1)       (1)
Receive    0.60%  Bank of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Bank of Hangzhou Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   65    (4)       (4)
Receive    0.60%  Bank of Jiangsu Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1,218    (69)       (69)
Receive    0.60%  Bank of Nanjing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   19    (1)       (1)
Receive    0.60%  Bank of Ningbo Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   6             
Receive    0.07%  Beijing Bohui Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   95    (2)       (2)
Receive    0.55%  Beijing Inhand Networks Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   170    (3)       (3)
Receive    0.60%  Beijing Kingsoft Office Software, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   344    (39)       (39)
Receive    0.53%  Beijing LongRuan Technologies, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   37    3        3 
Receive    0.60%  Beijing New Building Materials PLC A-shares  Morgan Stanley  2/5/24  At Maturity   191    2        2 
Receive    0.60%  Beijing Oriental Yuhong Waterproof Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   44    (2)       (2)
Receive    0.60%  Beijing Roborock Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   23    1        1 
Receive    0.60%  Beijing Ultrapower Software Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   30    1        1 
Receive    0.60%  Beijing Yanjing Brewery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.07%  But one Information Corp. Xi an A-shares  Morgan Stanley  2/5/24  At Maturity   682    (1)       (1)
Receive    0.60%  BYD Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   700    (67)       (67)
Receive    0.60%  By-health Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   74    (1)       (1)
Receive    0.44%  Cachet Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   17             
Receive    0.60%  Caitong Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   96    (1)       (1)
Receive    0.60%  CGN Power Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   84    (1)       (1)
Receive    0.55%  Changchun Eurasia Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   135    1        1 
Receive    0.60%  Changchun High & New Technology Industry Group, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   164    1        1 
Receive    0.60%  Changhong Huayi Co.mpressor Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.53%  Changhong Meiling Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   42             
Receive    0.60%  Chaozhou Three-Circle Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   63    (2)       (2)
Receive    0.60%  Chengdu Jiafaantai Education Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18    1        1 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.07%  Chengdu Tangyuan Electrical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $3   $   $   $ 
Receive    0.60%  China CITIC Bank Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   76    2        2 
Receive    0.60%  China Coal Energy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  China Everbright Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   29             
Receive    0.60%  China Merchants Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   897    (27)       (27)
Receive    0.60%  China Merchants Shekou Industrial Zone Holdings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   110    (13)       (13)
Receive    0.60%  China National Chemical Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   133    (8)       (8)
Receive    0.60%  China National Nuclear Power Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   202             
Receive    0.60%  China Pacific Insurance Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   151    1        1 
Receive    0.60%  China Petroleum & Chemical Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   331    (5)       (5)
Receive    0.60%  China Railway Group Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   616    (51)       (51)
Receive    0.60%  China Resources Sanjiu Medical & Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   6             
Receive    0.60%  China Shenhua Energy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   189    2        2 
Receive    0.60%  China State Construction Engineering Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   694    (62)       (62)
Receive    0.60%  China Tourism Group Duty Free Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   133    (18)       (18)
Receive    0.60%  China United Network Co.mmunications Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   257    (8)       (8)
Receive    0.60%  China Vanke Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   19    (1)       (1)
Receive    0.60%  China Zhenhua Group Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   140    (10)       (10)
Receive    0.60%  Chongqing Brewery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   163    (8)       (8)
Receive    0.60%  Chongqing Taiji Industry Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  CIMC Vehicles Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   44    (4)       (4)
Receive    0.60%  CITIC Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   481    (13)       (13)
Receive    0.60%  CNOOC Energy Technology & Services Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   132    2        2 
Receive    0.60%  COFCO Capital Holdings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   32             
Receive    0.60%  Contemporary Amperex Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1,385    (235)       (235)
Receive    0.60%  COSCO SHIPPING Energy Transportation Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  COSCO SHIPPING Holdings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   33    (1)       (1)

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.07%  Cre8 Direct Ningbo Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $140   $4   $   $4 
Receive    0.60%  CRRC Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   7             
Receive    0.07%  Daoming Optics&Chemical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Daqin Railway Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   55             
Receive    0.60%  DaShenLin Pharmaceutical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  East Money Information Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   123    (3)       (3)
Receive    0.60%  Eastroc Beverage Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   177    (4)       (4)
Receive    0.60%  Edifier Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.52%  Elite Color Environmental Resources Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   225    2        2 
Receive    0.60%  Eve Energy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   67             
Receive    0.60%  Everbright Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   26             
Receive    0.60%  Eyebright Medical Technology Beijing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.60%  FiboCo.m Wireless, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   83    (1)       (1)
Receive    0.60%  Focus Media Information Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   307    4        4 
Receive    0.60%  Foshan Haitian Flavouring & Food Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.60%  FoxCo.nn Industrial Internet Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   186    (14)       (14)
Receive    0.38%  Fujian Sanmu Group Co. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Fujian SBS Zipper Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.48%  Fujian Yanjing Huiquan Brewery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   21             
Receive    0.60%  Fuyao Glass Industry Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   165    (5)       (5)
Receive    0.60%  Ganfeng Lithium Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   15    (1)       (1)
Receive    0.60%  G-bits Network Technology Xiamen Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   25             
Receive    0.60%  GD Power Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   67    (1)       (1)
Receive    0.60%  Gemdale Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  GF Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   58    (2)       (2)
Receive    0.60%  Giant Network Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   108    (6)       (6)
Receive    0.60%  Goldcup Electric Apparatus Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   158    1        1 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  GoodWe Technologies Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $14   $(1)  $   $(1)
Receive    0.60%  Gree Electric Appliances, Inc. of Zhuhai A-shares  Morgan Stanley  2/5/24  At Maturity   378    (3)       (3)
Receive    0.60%  GRG Banking Equipment Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   71    (1)       (1)
Receive    0.07%  GuangDong GenSho Logistics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   124    4        4 
Receive    0.60%  Guangdong Hongxing Industrial Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.07%  Guangdong JingYi Metal Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   136    1        1 
Receive    0.07%  Guangdong Real-Design Intelligent Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.50%  Guangdong Tengen Industrial Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   35             
Receive    0.51%  Guangdong Yantang Dairy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   43             
Receive    0.60%  Guangzhou Baiyunshan Pharmaceutical Holdings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   70    1        1 
Receive    0.07%  Guangzhou Devotion Thermal Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   28    1        1 
Receive    0.50%  Guangzhou Tech-Long Packaging Machinery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   66    2        2 
Receive    0.60%  Guilin Seamild Foods Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Guosen Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   458    (8)       (8)
Receive    0.60%  Guotai Junan Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   428    (10)       (10)
Receive    0.60%  Guoyuan Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   11             
Receive    0.60%  Haier Smart Home Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   132    (2)       (2)
Receive    0.60%  Hailir Pesticides and Chemicals Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Haitong Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   138    (2)       (2)
Receive    0.07%  Hangzhou Huaguang Advanced Welding Materials Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   46             
Receive    0.07%  Hangzhou IECHO Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   121    7        7 
Receive    0.60%  Hangzhou Robam Appliances Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Hangzhou Star Shuaier Electric Appliance Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity                
Receive    0.60%  Hangzhou Tigermed Co.nsulting Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.07%  Hangzhou Todaytec Digital Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   84    7        7 
Receive    0.40%  Hangzhou Toka Ink Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.54%  Hangzhou Xili Intelligent Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   29    3        3 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Hangzhou XZB Tech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $1   $   $   $ 
Receive    0.49%  Harbin Xinguang Optic-Electronics Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.51%  Hefei GoCo.m Information Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   12             
Receive    0.07%  Hefei Jingsong Intelligent Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   45    1        1 
Receive    0.60%  Henan Shenhuo Coal & Power Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.60%  Henan Shuanghui Investment & Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   7             
Receive    0.60%  Hengdian Group DMEGC Magnetics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   61             
Receive    0.07%  Henglin Home Furnishings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   139             
Receive    0.60%  Hithink RoyalFlush Information Network Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   136    (16)       (16)
Receive    0.60%  HL Corp. Shenzhen A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Huadong Medicine Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Huakai Yibai Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Huatai Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   622    23        23 
Receive    0.60%  Huaxia Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   307    7        7 
Receive    0.60%  Huayu Automotive Systems Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   451    (1)       (1)
Receive    0.07%  Hubei Forbon Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   228    (2)       (2)
Receive    0.60%  Hubei Jumpcan Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   305    16        16 
Receive    0.07%  Hubei Kailong Chemical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   7             
Receive    0.60%  Huizhou Desay Sv Automotive Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   61    1        1 
Receive    0.48%  Hunan Investment Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   25             
Receive    0.07%  Hunan Resun Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   71             
Receive    0.60%  Hunan Valin Steel Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   246    (2)       (2)
Receive    0.60%  Hundsun Technologies, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   443    (112)       (112)
Receive    0.53%  Hygon Information Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   39    (1)       (1)
Receive    0.60%  Imeik Technology Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   346    (51)       (51)
Receive    0.60%  Impulse Qingdao Health Tech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Industrial & Commercial Bank of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   139    1        1 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Industrial Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $823   $(4)  $   $(4)
Receive    0.60%  Industrial Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   315    (26)       (26)
Receive    0.60%  Inner Mongolia Yili Industrial Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   265    (9)       (9)
Receive    0.60%  JCET Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   14             
Receive    0.38%  JDM JingDa Machine Ningbo Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18             
Receive    0.07%  Jiangsu Beiren Smart Manufacturing Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   42    2        2 
Receive    0.60%  Jiangsu Boiln Plastics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.07%  Jiangsu Chinagreen Biological Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   24    (1)       (1)
Receive    0.48%  Jiangsu Feymer Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   73             
Receive    0.60%  Jiangsu Financial Leasing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   103    6        6 
Receive    0.60%  Jiangsu Hengrui Pharmaceuticals Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   254    18        18 
Receive    0.55%  Jiangsu Huaxin New Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   386    16        16 
Receive    0.56%  Jiangsu Jingyuan Environmental Protection Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   241    (2)       (2)
Receive    0.60%  Jiangsu King's Luck Brewery JSC Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   122    1        1 
Receive    0.60%  Jiangsu Linyang Energy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   27             
Receive    0.54%  Jiangsu Maysta Chemical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   104             
Receive    0.60%  Jiangsu Pacific Quartz Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   114    8        8 
Receive    0.60%  Jiangsu Rainbow Heavy Industries Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   128    3        3 
Receive    0.48%  Jiangsu Rutong Petro-Machinery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   43    4        4 
Receive    0.45%  Jiangsu Wujin Stainless Steel Pipe Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18             
Receive    0.07%  Jiangsu Xiehe Electronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Jiangsu Yanghe Brewery Joint-Stock Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   71    (3)       (3)
Receive    0.60%  Jiangsu Yuyue Medical Equipment & Supply Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   43             
Receive    0.60%  Jiangsu Zhongtian Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   84    3        3 
Receive    0.07%  Jiangxi Changyun Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   365    13        13 
Receive    0.07%  JinGuan Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   8             
Receive    0.50%  Jinhong Fashion Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   16             

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Jinhua Chunguang Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $5   $   $   $ 
Receive    0.60%  Jinko Solar Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   118    (6)       (6)
Receive    0.60%  Jinzai Food Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Joincare Pharmaceutical Group Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.07%  Kale Environment Technology Shanghai Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   17             
Receive    0.60%  Kehua Data Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Kingnet Network Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   19    (1)       (1)
Receive    0.60%  Kweichow Moutai Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2,058    (134)       (134)
Receive    0.60%  Lens Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   19             
Receive    0.60%  Leyard Optoelectronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   24             
Receive    0.60%  LEYSEN Jewelry, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.07%  Liaoning Kelong Fine Chemical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   105             
Receive    0.60%  Lingyi iTech Guangdong Co. A-shares  Morgan Stanley  2/5/24  At Maturity   233    (9)       (9)
Receive    0.60%  Livzon Pharmaceutical Group, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   168    14        14 
Receive    0.60%  LONGi Green Energy Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   246    (7)       (7)
Receive    0.60%  Luxshare Precision Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   545    (27)       (27)
Receive    0.54%  Luyan Pharma Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   106    8        8 
Receive    0.60%  Luzhou Laojiao Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   607    (14)       (14)
Receive    0.60%  Mango Excellent Media Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   51    (2)       (2)
Receive    0.60%  Maxscend Microelectronics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   62    (2)       (2)
Receive    0.60%  Metallurgical Corp. of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   482    (35)       (35)
Receive    0.60%  Midea Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   661    (28)       (28)
Receive    0.60%  Montage Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   53    (2)       (2)
Receive    0.55%  Mudanjiang Hengfeng Paper Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   55    (2)       (2)
Receive    0.60%  Muyuan Foods Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   117    (8)       (8)
Receive    0.07%  Nanjing Julong Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.07%  Nanjing Textiles Import & Export Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   74             

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.55%  Nanjing Wondux Environmental Protection Technology Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $49   $(4)  $   $(4)
Receive    0.60%  Nantong Jianghai Capacitor Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  NARI Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   6             
Receive    0.60%  NAURA Technology Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   328    (47)       (47)
Receive    0.60%  New China Life Insurance Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  New Hope Dairy Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   23    (1)       (1)
Receive    0.60%  New Trend International Logis-Tech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   40    1        1 
Receive    0.60%  Newland Digital Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Ninebot Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   49    2        2 
Receive    0.60%  Ningbo Bohui Chemical Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Ningbo Boway Alloy Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   114    2        2 
Receive    0.60%  Ningbo Deye Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   158    (36)       (36)
Receive    0.51%  Ningbo GQY Video & TeleCo.m JSC Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   82    1        1 
Receive    0.44%  Ningbo Henghe Precision Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   15    1        1 
Receive    0.60%  Ningbo Huaxiang Electronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   38             
Receive    0.60%  Ningbo Sanxing Medical Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   38    4        4 
Receive    0.60%  Ningbo Tuopu Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   76    4        4 
Receive    0.07%  Ningbo United Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   74             
Receive    0.60%  Ningbo Zhongbai Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.52%  Niutech Environment Technology Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   99    1        1 
Receive    0.60%  Offshore Oil Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   62             
Receive    0.60%  Pan Asian Microvent Tech Jiangsu Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   23             
Receive    0.60%  People's Insurance Co. Group of China Ltd./The A-shares  Morgan Stanley  2/5/24  At Maturity   14             
Receive    0.60%  PetroChina Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   357    3        3 
Receive    0.60%  Pharmaron Beijing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Piesat Information Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2    (1)       (1)
Receive    0.60%  Ping An Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Ping An Insurance Group Co. of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $1,124   $(41)  $   $(41)
Receive    0.60%  Poly Developments and Holdings Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   336    (23)       (23)
Receive    0.45%  Polyrocks Chemical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Power Construction Corp. of China Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   148    (12)       (12)
Receive    0.60%  Qianhe Condiment and Food Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Qingdao Gaoce Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   47    1        1 
Receive    0.60%  Raytron Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   289    (10)       (10)
Receive    0.50%  Risuntek, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   61    2        2 
Receive    0.07%  Ruitai Materials Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   186    (5)       (5)
Receive    0.60%  SAIC Motor Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   439    (2)       (2)
Receive    0.60%  Sailun Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   28    1        1 
Receive    0.60%  Sany Heavy Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   243    (10)       (10)
Receive    0.60%  Shaanxi Co.al Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   46    5        5 
Receive    0.07%  Shahe Industrial Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   110    (6)       (6)
Receive    0.54%  Shandong Hongyu Agricultural Machinery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   51             
Receive    0.60%  Shandong Hualu Hengsheng Chemical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   10             
Receive    0.60%  Shandong Kehui Power Automation Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   193    (6)       (6)
Receive    0.60%  Shandong Pharmaceutical Glass Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   10    1        1 
Receive    0.38%  Shandong Shanda Oumasoft Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Shanghai Bairun Investment Holding Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Shanghai Baosight Software Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   35    (1)       (1)
Receive    0.07%  Shanghai CEO Environmental Protection Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.56%  Shanghai Chuangli Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   347    1        1 
Receive    0.60%  Shanghai Construction Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   211    (10)       (10)
Receive    0.60%  Shanghai Fosun Pharmaceutical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  Shanghai Gentech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   26    1        1 
Receive    0.60%  Shanghai Hanbell Precise Machinery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   41             

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.51%  Shanghai Huaming Intelligent Terminal Equipment Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $44   $1   $   $1 
Receive    0.60%  Shanghai Pharmaceuticals Holding Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   143    (5)       (5)
Receive    0.60%  Shanghai Pudong Construction Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.07%  Shanghai Rightongene Biotechnology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   102    2        2 
Receive    0.60%  Shanghai Rongtai Health Technology Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Shanghai Rural Commercial Bank Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   135    1        1 
Receive    0.60%  Shanghai Shuixing Home Textile Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   7             
Receive    0.07%  Shanghai Smith Adhesive New Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   10             
Receive    0.54%  Shanghai Sunglow Packaging Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   28    1        1 
Receive    0.60%  Shanghai Yuyuan Tourist Mart Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   125    (1)       (1)
Receive    0.07%  Shanxi Huhua Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   58             
Receive    0.60%  Shanxi Lu'an Environmental Energy Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   82    2        2 
Receive    0.60%  Shanxi Xinghuacun Fen Wine Factory Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   207    42        42 
Receive    0.54%  Shenke Slide Bearing Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   130    2        2 
Receive    0.07%  Shenzhen Absen Optoelectronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   29             
Receive    0.50%  Shenzhen FriendCom Technology Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   50             
Receive    0.60%  Shenzhen Huijie Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Shenzhen Inovance Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   260    (4)       (4)
Receive    0.53%  Shenzhen Jasic Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   32    1        1 
Receive    0.46%  Shenzhen King Explorer Science And Technology Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   20             
Receive    0.60%  Shenzhen Laibao Hi-tech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   96    2        2 
Receive    0.07%  Shenzhen Longood Intelligent Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   83    9        9 
Receive    0.45%  Shenzhen Magic Design & DeCo.ration Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9             
Receive    0.60%  Shenzhen Mindray Bio-Medical Electronics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   783    (72)       (72)
Receive    0.60%  Shenzhen New Industries Biomedical Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   77    2        2 
Receive    0.60%  Shenzhen SC New Energy Technology Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   95    (4)       (4)
Receive    0.54%  Shenzhen Sine Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   77    4        4 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Shenzhen Sinexcel Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $20   $   $   $ 
Receive    0.60%  Shenzhen Sunlord Electronics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   49    5        5 
Receive    0.60%  Shenzhen Tagen Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   22             
Receive    0.60%  Shenzhen Transsion Holdings Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   236    11        11 
Receive    0.52%  Shenzhen Xunjiexing Technology Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   10             
Receive    0.53%  Sichuan Dowell Science and Technology, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   285    16        16 
Receive    0.07%  Sichuan Fulin Transportation Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   126             
Receive    0.60%  Sichuan Kelun Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   8             
Receive    0.40%  Sichuan Kexin Mechanical and Electrical Equipment Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   13    1        1 
Receive    0.48%  Sichuan Tianwei Electronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   70             
Receive    0.07%  Sichuan Zhongguang Lightning Protection Technologies Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   4             
Receive    0.60%  Sinoma International Engineering Co. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.60%  Smo Clinplus Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.60%  SooChow Securities Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   17             
Receive    0.60%  Sungrow Power Supply Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   425    (5)       (5)
Receive    0.43%  Sunny Loan Top Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.60%  Sunwoda Electronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   13    1        1 
Receive    0.60%  SUPCo.N Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   185    (5)       (5)
Receive    0.40%  Super-Dragon Engineering Plastics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18    1        1 
Receive    0.07%  Suzhou Architecture Research Institute Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   121    1        1 
Receive    0.60%  Suzhou Dongshan Precision Manufacturing Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   95    (6)       (6)
Receive    0.07%  Suzhou Iron Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.40%  Suzhou Longjie Special Fiber Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   7             
Receive    0.60%  Suzhou TFC Optical Co.mmunication Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9    3        3 
Receive    0.49%  Suzhou Xianglou New Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.60%  SYoung Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   5             
Receive    0.49%  Tangshan Jidong Equipment and Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   43    1        1 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Tasly Pharmaceutical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $16   $1   $   $1 
Receive    0.60%  TBEA Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  TCL Zhonghuan Renewable Energy Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   226    (30)       (30)
Receive    0.60%  Tian Di Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   146    1        1 
Receive    0.60%  Tianjin Guifaxiang 18th Street Mahua Food Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.07%  Tianjin Jinbin Development Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.49%  Tianjin Keyvia Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   11             
Receive    0.07%  Tianshui Zhongxing Bio-technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18             
Receive    0.45%  TJK Machinery Tianjin Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   27    9        9 
Receive    0.60%  Tongkun Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9             
Receive    0.60%  Tongwei Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   284    (21)       (21)
Receive    0.07%  Touchstone International Medical Science Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   333    (6)       (6)
Receive    0.60%  Trina Solar Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   280    (48)       (48)
Receive    0.60%  Tsingtao Brewery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   24    (1)       (1)
Receive    0.60%  UE Furniture Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   6             
Receive    0.60%  Unigroup Guoxin Microelectronics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   323    (18)       (18)
Receive    0.60%  Unisplendour Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   95    (6)       (6)
Receive    0.60%  Universal Scientific Industrial Shanghai Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   20    1        1 
Receive    0.60%  Wangsu Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   9             
Receive    0.60%  Wanhua Chemical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   139    (10)       (10)
Receive    0.51%  Ways Electron Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   36             
Receive    0.60%  Weichai Power Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   174    (6)       (6)
Receive    0.51%  Weihai Baihe Biology Technological Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   101    (2)       (2)
Receive    0.60%  Wens Foodstuffs Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   49             
Receive    0.60%  Western Mining Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   98    5        5 
Receive    0.50%  Wetown Electric Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   26             
Receive    0.60%  Wolong Electric Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   32    1        1 

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.60%  Wuchan Zhongda Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $181   $(4)  $   $(4)
Receive    0.07%  Wuhan Citms Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   11             
Receive    0.60%  Wuhan Sante Cableways Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.07%  Wuhan Xingtu Xinke Electronics Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   28    1        1 
Receive    0.60%  Wuliangye Yibin Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   547    (51)       (51)
Receive    0.60%  WuXi AppTec Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   397    63        63 
Receive    0.50%  Wuxi Hodgen Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   43    1        1 
Receive    0.60%  Wuxi Lead Intelligent Equipment Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   189    (15)       (15)
Receive    0.50%  Wuxi Lihu Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   112    2        2 
Receive    0.60%  XCMG Construction Machinery Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   85    (3)       (3)
Receive    0.60%  Xiamen C & D, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   16             
Receive    0.60%  Xiamen Faratronic Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   36    (5)       (5)
Receive    0.60%  Xiamen Jihong Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Yealink Network Technology Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   3             
Receive    0.60%  Youcare Pharmaceutical Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   8    1        1 
Receive    0.60%  Yunnan Baiyao Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   167             
Receive    0.07%  Yunnan Bowin Technology Industry Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   177    1        1 
Receive    0.60%  Yunnan Copper Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   168    (1)       (1)
Receive    0.60%  Yutong Bus Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   17             
Receive    0.60%  Zhangzhou Pientzehuang Pharmaceutical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   8             
Receive    0.49%  Zhejiang Biyi Electric Appliance Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   55    2        2 
Receive    0.07%  Zhejiang Cayi Vacuum Container Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   27             
Receive    0.60%  Zhejiang Dahua Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   119    9        9 
Receive    0.07%  Zhejiang Dayuan Pumps Industrial Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   52    (1)       (1)
Receive    0.55%  Zhejiang Dibay Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   56    1        1 
Receive    0.07%  Zhejiang Giuseppe Garment Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   147    1        1 
Receive    0.07%  Zhejiang Hisun Biomaterials Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   35             

 

 

HC CAPITAL TRUST 

The Emerging Markets Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Total Return Swap Agreements (continued)

 

Pay/Receive(a)    Financing Rate   Description  Counterparty  Expiration
Date
  Payment Frequency  Notional
Amount
(000)
   Value
(000)
   Upfront Premiums Paid/(Received)
(000)
   Unrealized Appreciation/ (Depreciation)
(000)
 
Receive    0.07%  Zhejiang Huilong New Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity  $145   $(2)  $   $(2)
Receive    0.60%  Zhejiang Jingsheng Mechanical & Electrical Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   584    (141)       (141)
Receive    0.07%  Zhejiang Linuo Flow Co.ntrol Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   161    6        6 
Receive    0.60%  Zhejiang Meorient Co.mmerce & Exhibition, Inc. A-shares  Morgan Stanley  2/5/24  At Maturity   101             
Receive    0.56%  Zhejiang Risun Intelligent Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   95    (2)       (2)
Receive    0.60%  Zhejiang Sanhua Intelligent Co.ntrols Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   108    5        5 
Receive    0.60%  Zhejiang Shuanghuan Driveline Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   2             
Receive    0.07%  Zhejiang Walrus New Material Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   87             
Receive    0.07%  Zhejiang Youpon Integrated Ceiling Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   18             
Receive    0.60%  Zhengzhou Coal Mining Machinery Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   330    10        10 
Receive    0.07%  Zhengzhou Jiean Hi-Tech Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   48    1        1 
Receive    0.55%  Zhenhai Petrochemical Engineering Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   115             
Receive    0.60%  Zhongji Innolight Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   257    (9)       (9)
Receive    0.60%  Zhongjin Gold Corp. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   62    (1)       (1)
Receive    0.60%  Zhongjing Food Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   1             
Receive    0.48%  Zhuhai Comleader Information Science & Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   170             
Receive    0.60%  Zhuhai Huafa Properties Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   105    (10)       (10)
Receive    0.60%  Zhuzhou CRRC Times Electric Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   69             
Receive    0.60%  Zijin Mining Group Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   470    (3)       (3)
Receive    0.60%  Zoomlion Heavy Industry Science and Technology Co. Ltd. A-shares  Morgan Stanley  2/5/24  At Maturity   184             
Receive    0.60%  ZTE Corp. A-shares  Morgan Stanley  2/5/24  At Maturity   618    (83)       (83)
Receive    0.60%  ZWSOFT Co. Ltd. Guangzhou A-shares  Morgan Stanley  2/5/24  At Maturity   32    (3)       (3)
                          $(1,531)  $   $(1,531)
                                       
                  Total swap agreements at value (assets)    $516 
                  Total swap agreements at value (liabilities)     (2,047)
                  Net swap agreements at value    $(1,531)

 

Amounts Designated as "—" are $0 or have been rounded to $0

 

(a) Receive represents that the Portfolio receives payments for any positive return on the underlying reference.  The Portfolio makes payments for any negative return on such underlying reference.  Pay represents that the Portfolio receives payments for any negative return on the underlying reference.  The Portfolio makes payments for any positive return on such underlying reference.

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Asset Backed Securities — 0.20%             
$15   Capital One Multi-Asset Execution Trust, Series 2021-A2, Class - A2    1.39   7/15/30  $13 
 10   Carvana Auto Receivables Trust, Series 2022-P2, Class - A4, Callable 10/10/27 @ 200.00    4.68   2/10/28   10 
 10   CNH Equipment Trust, Series 2022-C, Class - A3, Callable 10/15/26 @ 200.00    5.15   4/17/28   10 
 10   Ford Credit Auto Lease Trust, Series 2023-A, Class - A3, Callable 8/15/25 @ 100.00    4.94   3/15/26   10 
 10   GM Financial Consumer Automobile Receivables Trust, Series 2023-1, Class - A3, Callable 10/16/26 @ 100.00    4.66   2/16/28   10 
 20   Hyundai Auto Receivables Trust, Series 2022-A, Class - A3, Callable 6/15/26 @ 100.00    2.22   10/15/26   19 
 10   Hyundai Auto Receivables Trust, Series 2022-C, Class - A4, Callable 2/15/27 @ 100.00    5.52   10/16/28   10 
 40   Synchrony Card Funding LLC, Series 2022-A1, Class - A, Callable 4/15/25 @ 100.00    3.37   4/15/28   38 
 10   Toyota Auto Receivables Owner Trust, Series 2023-A, Class - A3, Callable 2/15/27 @ 200.00    4.63   9/15/27   10 
 10   World Omni Auto Receivables Trust, Series 2021-C, Class - A4, Callable 8/15/25 @ 100.00    0.64   9/15/27   9 
 5   World Omni Auto Receivables Trust, Series 2023-B, Class - A3, Callable 8/15/26 @ 100.00    4.66   5/15/28   5 
     Total Asset Backed Securities            144 
                   
     Collateralized Mortgage Obligations — 0.84%             
 20   Bank, Series 2019-BN21, Class - A5, Callable 10/15/29 @ 100.00    2.85   10/17/52   17 
 21   Bank, Series 2017-BNK9, Class - ASB, Callable 12/15/29 @ 100.00    3.47   11/15/54   20 
 25   Bank, Series 2022-BNK41, Class - A4    3.92(a)  4/15/65   21 
 20   BBCMS Mortgage Trust, Series 2020-C7, Class - AS, Callable 4/15/30 @ 100.00    2.44   4/15/53   15 
 10   Benchmark Mortgage Trust, Series 2020-IG1, Class - AS, Callable 1/15/30 @ 100.00    2.91(a)  9/15/43   7 
 10   Benchmark Mortgage Trust, Series 2019-B9, Class - A5, Callable 2/15/29 @ 100.00    4.02   3/15/52   9 
 17   Citigroup Commercial Mortgage Trust, Series 2015-GC27, Class - A4, Callable 1/10/25 @ 100.00    2.88   2/10/48   17 
 15   Citigroup Commercial Mortgage Trust, Series 2020-GC46, Class - AS, Callable 2/15/30 @ 100.00    2.92   2/15/53   11 
 10   Citigroup Commercial Mortgage Trust, Series 2019-C7, Class - A4, Callable 12/15/29 @ 100.00    3.10   12/15/72   8 
 25   COMM Mortgage Trust, Series 2015-LC19, Class - A4, Callable 1/10/27 @ 100.00    3.18   2/10/48   24 
 20   COMM Mortgage Trust, Series 2015-DC1, Class - A5, Callable 2/10/25 @ 100.00    3.35   2/10/48   19 
 10   Fannie Mae-ACES, Series 2020-M52, Class - A2    1.36(a)  10/25/30   8 
 20   Fannie Mae-ACES, Series 2020-M14, Class - A2    1.78   5/25/30   16 
 8   Fannie Mae-ACES, Series 2015-M8, Class - A2    2.90(a)  1/25/25   8 
 17   Fannie Mae-ACES, Series 2018-M1, Class - A2    3.09(a)  12/25/27   16 
 16   Fannie Mae-ACES, Series 2017-M12, Class - A2    3.16(a)  6/25/27   15 
 20   Fannie Mae-ACES, Series 2019-M5, Class - A2    3.27   2/25/29   18 
 25   Fannie Mae-ACES, Series 2018-M10, Class - A2    3.47(a)  7/25/28   23 
 20   Freddie Mac Multifamily Structured Pass Through Certificates, Series K112, Class - A2    1.31   5/25/30   16 
 20   Freddie Mac Multifamily Structured Pass Through Certificates, Series K1516, Class - A2    1.72   5/25/35   13 
 25   Freddie Mac Multifamily Structured Pass Through Certificates, Series K126, Class - A2    2.07   1/25/31   20 
 15   Freddie Mac Multifamily Structured Pass Through Certificates, Series K749, Class - A2    2.12(a)  3/25/29   13 
 10   Freddie Mac Multifamily Structured Pass Through Certificates, Series K1521, Class - A2    2.18   8/25/36   7 
 25   Freddie Mac Multifamily Structured Pass Through Certificates, Series K052, Class - A2    3.15   11/25/25   24 
 50   Freddie Mac Multifamily Structured Pass Through Certificates, Series K091, Class - A2    3.51   3/25/29   47 
 20   Freddie Mac Multifamily Structured Pass Through Certificates, Series K152, Class - A2    3.78   11/25/32   18 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Collateralized Mortgage Obligations (continued)             
$25   GS Mortgage Securities Trust, Series 2018-GS9, Class - A4, Callable 3/10/28 @ 100.00    3.99(a)  3/10/51  $23 
 25   JPMDB Commercial Mortgage Securities Trust, Series 2016-C4, Class - A3, Callable 4/15/27 @ 100.00    3.14   12/15/49   22 
 25   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C19, Class - A4, Callable 10/15/26 @ 100.00    3.53   12/15/47   25 
 25   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2017-C33, Class - A5, Callable 5/15/27 @ 100.00    3.60   5/15/50   23 
 25   SG Commercial Mortgage Securities Trust, Series 2016-C5, Class - A4, Callable 7/10/26 @ 100.00    3.06   10/10/48   23 
 20   Wells Fargo Commercial Mortgage Trust, Series 2022- C62, Class - A4, Callable 4/15/32 @ 100.00    4.00(a)  4/15/55   17 
 25   Wells Fargo Commercial Mortgage Trust, Series 2018-C47, Class - A4, Callable 10/15/28 @ 100.00    4.44   9/15/61   23 
     Total Collateralized Mortgage Obligations            586 
                   
     U.S. Government Agency Mortgages — 12.50%             
 21   Fannie Mae, Pool #MA4236    1.50   1/1/51   15 
 20   Fannie Mae, Pool #CA7695    1.50   11/1/50   14 
 15   Fannie Mae, Pool #BQ5781    1.50   11/1/35   13 
 22   Fannie Mae, Pool #MA4445    1.50   10/1/41   16 
 41   Fannie Mae, Pool #MA4441    1.50   10/1/36   34 
 20   Fannie Mae, Pool #MA4122    1.50   9/1/35   17 
 43   Fannie Mae, Pool #MA4343    1.50   5/1/51   31 
 21   Fannie Mae, Pool #FS1327    1.50   6/1/36   18 
 16   Fannie Mae, Pool #MA4205    1.50   12/1/35   14 
 21   Fannie Mae, Pool #MA4342    1.50   5/1/41   16 
 20   Fannie Mae, Pool #CA7696    1.50   11/1/50   14 
 21   Fannie Mae, Pool #MA4280    1.50   3/1/51   15 
 41   Fannie Mae, Pool #FM6579    1.50   3/1/51   30 
 22   Fannie Mae, Pool #FS0317    2.00   2/1/42   18 
 26   Fannie Mae, Pool #FM3755    2.00   9/1/35   22 
 39   Fannie Mae, Pool #MA4255    2.00   2/1/51   30 
 36   Fannie Mae, Pool #MA4303    2.00   4/1/36   31 
 41   Fannie Mae, Pool #MA4305    2.00   4/1/51   31 
 22   Fannie Mae, Pool #FM9579    2.00   7/1/51   16 
 7   Fannie Mae, Pool #AS2673    2.00   5/1/29   6 
 42   Fannie Mae, Pool #FM6448    2.00   3/1/51   32 
 21   Fannie Mae, Pool #CB0684    2.00   6/1/51   16 
 21   Fannie Mae, Pool #CB0497    2.00   5/1/51   16 
 43   Fannie Mae, Pool #CB0325    2.00   4/1/51   33 
 21   Fannie Mae, Pool #BR0948    2.00   4/1/51   16 
 38   Fannie Mae, Pool #FM4788    2.00   11/1/50   29 
 21   Fannie Mae, Pool #MA4474    2.00   11/1/41   17 
 17   Fannie Mae, Pool #MA4176    2.00   11/1/40   14 
 20   Fannie Mae, Pool #CA8893    2.00   2/1/51   15 
 18   Fannie Mae, Pool #CA7224    2.00   10/1/50   14 
 22   Fannie Mae, Pool #MA4602    2.00   5/1/37   19 
 45   Fannie Mae, Pool #MA4511    2.00   1/1/52   35 
 23   Fannie Mae, Pool #FS1621    2.00   7/1/51   17 
 22   Fannie Mae, Pool #MA4437    2.00   10/1/51   17 
 19   Fannie Mae, Pool #MA4360    2.00   6/1/36   16 
 22   Fannie Mae, Pool #BU7103    2.00   12/1/51   17 
 35   Fannie Mae, Pool #CA9183    2.00   2/1/36   30 
 20   Fannie Mae, Pool #CA7833    2.00   11/1/50   15 
 44   Fannie Mae, Pool #FM7411    2.00   5/1/51   34 
 20   Fannie Mae, Pool #BR4094    2.00   1/1/51   16 
 39   Fannie Mae, Pool #CA8110    2.00   12/1/50   30 
 14   Fannie Mae, Pool #FM4039    2.00   10/1/35   12 
 39   Fannie Mae, Pool #BQ8341    2.00   12/1/50   30 
 23   Fannie Mae, Pool #FM4969    2.00   12/1/50   18 
 39   Fannie Mae, Pool #MA4237    2.00   1/1/51   29 
 19   Fannie Mae, Pool #MA4208    2.00   12/1/50   14 
 22   Fannie Mae, Pool #BT0240    2.00   9/1/51   17 
 18   Fannie Mae, Pool #CA7225    2.00   10/1/50   14 
 19   Fannie Mae, Pool #MA4403    2.00   8/1/36   16 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$30   Fannie Mae, Pool #MA4128    2.00   9/1/40  $25 
 21   Fannie Mae, Pool #BQ9685    2.00   1/1/51   16 
 42   Fannie Mae, Pool #BR4435    2.00   4/1/51   32 
 21   Fannie Mae, Pool #FM6559    2.00   3/1/51   16 
 40   Fannie Mae, Pool #BQ3004    2.00   10/1/50   30 
 20   Fannie Mae, Pool #CA8687    2.00   1/1/51   15 
 40   Fannie Mae, Pool #CA8850    2.00   2/1/51   31 
 20   Fannie Mae, Pool #FM5308    2.00   12/1/50   15 
 38   Fannie Mae, Pool #BQ7777    2.00   3/1/36   32 
 37   Fannie Mae, Pool #BP9370    2.00   7/1/50   28 
 18   Fannie Mae, Pool #MA4182    2.00   11/1/50   14 
 19   Fannie Mae, Pool #CA8118    2.00   12/1/50   15 
 42   Fannie Mae, Pool #MA4325    2.00   5/1/51   32 
 40   Fannie Mae, Pool #MA4281    2.00   3/1/51   30 
 21   Fannie Mae, Pool #MA4119    2.00   9/1/50   16 
 10   Fannie Mae, Pool #AS8893    2.50   2/1/32   9 
 23   Fannie Mae, Pool #BU1451    2.50   1/1/52   18 
 21   Fannie Mae, Pool #FM8997    2.50   10/1/51   17 
 21   Fannie Mae, Pool #BU5917    2.50   12/1/51   17 
 14   Fannie Mae, Pool #BQ0329    2.50   7/1/50   11 
 11   Fannie Mae, Pool #MA4075    2.50   7/1/35   10 
 7   Fannie Mae, Pool #MA3990    2.50   4/1/50   6 
 40   Fannie Mae, Pool #BR7857    2.50   5/1/51   32 
 15   Fannie Mae, Pool #BP5878    2.50   6/1/50   12 
 17   Fannie Mae, Pool #CA8131    2.50   12/1/50   14 
 20   Fannie Mae, Pool #MA4423    2.50   9/1/41   17 
 20   Fannie Mae, Pool #FM9033    2.50   10/1/51   16 
 20   Fannie Mae, Pool #FM2881    2.50   4/1/50   16 
 23   Fannie Mae, Pool #CB1828    2.50   10/1/51   18 
 7   Fannie Mae, Pool #MA3965    2.50   3/1/40   6 
 16   Fannie Mae, Pool #MA4256    2.50   2/1/51   13 
 12   Fannie Mae, Pool #MA4078    2.50   7/1/50   10 
 14   Fannie Mae, Pool #MA2854    2.50   12/1/46   11 
 22   Fannie Mae, Pool #FS1340    2.50   3/1/52   18 
 11   Fannie Mae, Pool #AU6677    2.50   9/1/28   10 
 10   Fannie Mae, Pool #BD8046    2.50   9/1/31   9 
 5   Fannie Mae, Pool #MA3154    2.50   10/1/32   5 
 22   Fannie Mae, Pool #FM9543    2.50   12/1/51   17 
 6   Fannie Mae, Pool #MA3827    2.50   11/1/34   5 
 22   Fannie Mae, Pool #CB2868    2.50   2/1/52   17 
 13   Fannie Mae, Pool #BC9041    2.50   11/1/31   12 
 4   Fannie Mae, Pool #MA2789    2.50   10/1/36   4 
 15   Fannie Mae, Pool #MA4183    2.50   11/1/50   12 
 15   Fannie Mae, Pool #MA4159    2.50   10/1/50   12 
 13   Fannie Mae, Pool #MA4096    2.50   8/1/50   10 
 14   Fannie Mae, Pool #AB7391    2.50   12/1/42   11 
 7   Fannie Mae, Pool #MA1277    2.50   12/1/27   7 
 14   Fannie Mae, Pool #AP4742    2.50   8/1/27   13 
 12   Fannie Mae, Pool #BK2588    2.50   5/1/50   10 
 21   Fannie Mae, Pool #MA4414    2.50   9/1/51   17 
 7   Fannie Mae, Pool #MA3930    2.50   2/1/35   6 
 23   Fannie Mae, Pool #FS0235    2.50   1/1/52   19 
 6   Fannie Mae, Pool #MA3765    2.50   9/1/49   5 
 16   Fannie Mae, Pool #FM4231    2.50   9/1/50   12 
 23   Fannie Mae, Pool #FS0547    2.50   2/1/52   18 
 20   Fannie Mae, Pool #MA4399    2.50   8/1/51   16 
 17   Fannie Mae, Pool #BQ5110    2.50   11/1/50   14 
 23   Fannie Mae, Pool #CA6074    2.50   6/1/50   18 
 8   Fannie Mae, Pool #MA3902    2.50   1/1/50   6 
 21   Fannie Mae, Pool #CB1131    2.50   7/1/51   16 
 30   Fannie Mae, Pool #FM4638    2.50   10/1/50   23 
 20   Fannie Mae, Pool #BO4657    2.50   11/1/49   16 
 22   Fannie Mae, Pool #FM8745    2.50   9/1/51   17 
 10   Fannie Mae, Pool #FM3395    3.00   6/1/50   8 
 5   Fannie Mae, Pool #MA3831    3.00   11/1/39   4 
 6   Fannie Mae, Pool #AS8074    3.00   10/1/46   5 
 8   Fannie Mae, Pool #BO6219    3.00   12/1/49   7 
 10   Fannie Mae, Pool #AL9263    3.00   10/1/46   8 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$6   Fannie Mae, Pool #BO8947    3.00   1/1/50  $5 
 9   Fannie Mae, Pool #BO9169    3.00   12/1/49   8 
 6   Fannie Mae, Pool #BO2201    3.00   9/1/49   5 
 19   Fannie Mae, Pool #AQ7920    3.00   12/1/42   16 
 6   Fannie Mae, Pool #FM1370    3.00   4/1/46   5 
 22   Fannie Mae, Pool #CB2759    3.00   2/1/52   18 
 17   Fannie Mae, Pool #MA2246    3.00   4/1/30   15 
 23   Fannie Mae, Pool #BU1241    3.00   3/1/52   19 
 9   Fannie Mae, Pool #MA4048    3.00   6/1/50   7 
 9   Fannie Mae, Pool #BP1932    3.00   4/1/50   8 
 26   Fannie Mae, Pool #AS8483    3.00   12/1/46   22 
 23   Fannie Mae, Pool #CB3364    3.00   4/1/52   19 
 11   Fannie Mae, Pool #AS8276    3.00   11/1/46   9 
 8   Fannie Mae, Pool #CA5423    3.00   3/1/50   6 
 4   Fannie Mae, Pool #MA3339    3.00   4/1/33   4 
 28   Fannie Mae, Pool #AO0752    3.00   4/1/42   24 
 5   Fannie Mae, Pool #MA3237    3.00   1/1/48   4 
 13   Fannie Mae, Pool #BC9003    3.00   11/1/46   11 
 27   Fannie Mae, Pool #AB7099    3.00   11/1/42   23 
 5   Fannie Mae, Pool #MA3127    3.00   9/1/37   4 
 8   Fannie Mae, Pool #MA1307    3.00   1/1/33   7 
 4   Fannie Mae, Pool #FM1585    3.00   9/1/49   3 
 6   Fannie Mae, Pool #MA3377    3.00   5/1/48   5 
 23   Fannie Mae, Pool #FS2122    3.00   3/1/52   19 
 5   Fannie Mae, Pool #AB2047    3.00   1/1/26   4 
 6   Fannie Mae, Pool #MA3871    3.00   12/1/49   5 
 11   Fannie Mae, Pool #BP6466    3.00   7/1/50   9 
 9   Fannie Mae, Pool #BO7242    3.00   1/1/50   8 
 22   Fannie Mae, Pool #BU8883    3.00   3/1/52   19 
 8   Fannie Mae, Pool #CA5668    3.00   5/1/50   7 
 6   Fannie Mae, Pool #MA3890    3.00   1/1/40   5 
 9   Fannie Mae, Pool #AU3353    3.00   8/1/43   8 
 20   Fannie Mae, Pool #AB8897    3.00   4/1/43   17 
 8   Fannie Mae, Pool #MA3897    3.00   1/1/35   7 
 6   Fannie Mae, Pool #MA2863    3.00   1/1/47   5 
 5   Fannie Mae, Pool #BN7703    3.00   8/1/49   4 
 4   Fannie Mae, Pool #MA2523    3.00   2/1/36   4 
 8   Fannie Mae, Pool #MA3738    3.00   8/1/34   7 
 6   Fannie Mae, Pool #MA3905    3.00   1/1/50   5 
 6   Fannie Mae, Pool #MA2897    3.00   2/1/37   6 
 12   Fannie Mae, Pool #MA3834    3.00   11/1/49   10 
 13   Fannie Mae, Pool #MA3991    3.00   4/1/50   11 
 22   Fannie Mae, Pool #CB3172    3.00   3/1/52   18 
 8   Fannie Mae, Pool #CA5519    3.00   4/1/50   7 
 14   Fannie Mae, Pool #MA3937    3.00   2/1/50   12 
 7   Fannie Mae, Pool #AL9996    3.00   4/1/32   7 
 9   Fannie Mae, Pool #MA4079    3.00   7/1/50   8 
 7   Fannie Mae, Pool #AZ2936    3.00   9/1/45   6 
 8   Fannie Mae, Pool #FM4317    3.00   9/1/50   7 
 4   Fannie Mae, Pool #FM1299    3.00   7/1/49   4 
 4   Fannie Mae, Pool #MA3774    3.00   9/1/49   4 
 9   Fannie Mae, Pool #MA3802    3.00   10/1/49   8 
 5   Fannie Mae, Pool #FM2132    3.00   1/1/50   4 
 6   Fannie Mae, Pool #BO3192    3.00   10/1/49   5 
 4   Fannie Mae, Pool #MA3744    3.00   8/1/49   3 
 4   Fannie Mae, Pool #MA3691    3.00   7/1/49   3 
 13   Fannie Mae, Pool #BC4764    3.00   10/1/46   11 
 23   Fannie Mae, Pool #AS0302    3.00   8/1/43   19 
 3   Fannie Mae, Pool #MA3494    3.50   10/1/48   2 
 8   Fannie Mae, Pool #BP1947    3.50   4/1/50   7 
 3   Fannie Mae, Pool #CA4026    3.50   5/1/49   2 
 6   Fannie Mae, Pool #MA3520    3.50   11/1/48   5 
 13   Fannie Mae, Pool #MA2125    3.50   12/1/44   12 
 9   Fannie Mae, Pool #BC2926    3.50   3/1/46   8 
 5   Fannie Mae, Pool #BK9038    3.50   10/1/33   5 
 8   Fannie Mae, Pool #MA2706    3.50   8/1/46   7 
 4   Fannie Mae, Pool #MA3059    3.50   7/1/37   4 
 5   Fannie Mae, Pool #BC0443    3.50   12/1/45   5 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$3   Fannie Mae, Pool #MA3597    3.50   2/1/49  $2 
 9   Fannie Mae, Pool #MA1980    3.50   8/1/44   8 
 5   Fannie Mae, Pool #FM1001    3.50   11/1/48   4 
 5   Fannie Mae, Pool #FM1566    3.50   11/1/48   4 
 46   Fannie Mae, Pool #MA4600    3.50   5/1/52   40 
 9   Fannie Mae, Pool #AZ0862    3.50   7/1/45   8 
 3   Fannie Mae, Pool #MA3637    3.50   4/1/49   2 
 3   Fannie Mae, Pool #BA1893    3.50   8/1/45   3 
 3   Fannie Mae, Pool #AS4236    3.50   1/1/45   3 
 3   Fannie Mae, Pool #BM5485    3.50   2/1/49   2 
 4   Fannie Mae, Pool #AS6394    3.50   12/1/45   3 
 26   Fannie Mae, Pool #AQ0546    3.50   11/1/42   23 
 4   Fannie Mae, Pool #MA3775    3.50   9/1/49   3 
 5   Fannie Mae, Pool #AL1717    3.50   5/1/27   5 
 6   Fannie Mae, Pool #AS7491    3.50   7/1/46   5 
 5   Fannie Mae, Pool #BD5046    3.50   2/1/47   4 
 6   Fannie Mae, Pool #AS7388    3.50   6/1/46   5 
 5   Fannie Mae, Pool #BJ3716    3.50   12/1/47   5 
 4   Fannie Mae, Pool #MA3057    3.50   7/1/47   4 
 9   Fannie Mae, Pool #BJ4916    3.50   3/1/48   8 
 3   Fannie Mae, Pool #MA3663    3.50   5/1/49   3 
 5   Fannie Mae, Pool #ZM4908    3.50   11/1/47   4 
 2   Fannie Mae, Pool #MA3614    3.50   3/1/49   2 
 5   Fannie Mae, Pool #BM2000    3.50   5/1/47   5 
 7   Fannie Mae, Pool #MA3026    3.50   6/1/47   6 
 23   Fannie Mae, Pool #MA4654    3.50   7/1/52   20 
 10   Fannie Mae, Pool #BM1568    3.50   7/1/47   9 
 7   Fannie Mae, Pool #AS0024    3.50   7/1/43   6 
 10   Fannie Mae, Pool #MA3243    3.50   1/1/38   9 
 12   Fannie Mae, Pool #AS4771    3.50   4/1/45   10 
 4   Fannie Mae, Pool #MA3305    3.50   3/1/48   4 
 7   Fannie Mae, Pool #BC1158    3.50   2/1/46   6 
 4   Fannie Mae, Pool #MA3148    3.50   10/1/47   4 
 4   Fannie Mae, Pool #AB2052    3.50   1/1/26   4 
 5   Fannie Mae, Pool #MA3210    3.50   12/1/47   4 
 4   Fannie Mae, Pool #MA2522    3.50   2/1/46   3 
 3   Fannie Mae, Pool #MA3692    3.50   7/1/49   3 
 6   Fannie Mae, Pool #AS6102    3.50   11/1/45   6 
 4   Fannie Mae, Pool #MA3835    3.50   11/1/49   4 
 8   Fannie Mae, Pool #MA3182    3.50   11/1/47   7 
 6   Fannie Mae, Pool #FM1911    3.50   7/1/48   6 
 3   Fannie Mae, Pool #FM0020    3.50   7/1/49   3 
 23   Fannie Mae, Pool #BU8723    3.50   6/1/52   20 
 3   Fannie Mae, Pool #MA3745    3.50   8/1/49   3 
 5   Fannie Mae, Pool #MA3906    3.50   1/1/50   4 
 4   Fannie Mae, Pool #BM4703    3.50   2/1/48   4 
 4   Fannie Mae, Pool #MA2415    4.00   10/1/45   3 
 5   Fannie Mae, Pool #AS7558    4.00   7/1/46   4 
 9   Fannie Mae, Pool #BM1066    4.00   2/1/47   9 
 4   Fannie Mae, Pool #MA3746    4.00   8/1/49   3 
 3   Fannie Mae, Pool #BM4991    4.00   9/1/48   3 
 4   Fannie Mae, Pool #AS7600    4.00   7/1/46   4 
 3   Fannie Mae, Pool #MA3638    4.00   4/1/49   2 
 7   Fannie Mae, Pool #MA3121    4.00   9/1/47   7 
 9   Fannie Mae, Pool #AS3468    4.00   10/1/44   8 
 4   Fannie Mae, Pool #MA3183    4.00   11/1/47   3 
 4   Fannie Mae, Pool #MA3277    4.00   2/1/48   3 
 4   Fannie Mae, Pool #CA0183    4.00   8/1/47   3 
 7   Fannie Mae, Pool #MA2995    4.00   5/1/47   6 
 6   Fannie Mae, Pool #BM2002    4.00   10/1/47   6 
 5   Fannie Mae, Pool #AS9831    4.00   6/1/47   5 
 2   Fannie Mae, Pool #MA3592    4.00   2/1/49   2 
 5   Fannie Mae, Pool #AH6242    4.00   4/1/26   5 
 4   Fannie Mae, Pool #AZ7362    4.00   11/1/45   4 
 3   Fannie Mae, Pool #BN0334    4.00   12/1/48   3 
 6   Fannie Mae, Pool #AS9314    4.00   3/1/47   5 
 8   Fannie Mae, Pool #AS3467    4.00   10/1/44   7 
 3   Fannie Mae, Pool #AS8532    4.00   12/1/46   3 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$4   Fannie Mae, Pool #FM1960    4.00   5/1/49  $4 
 3   Fannie Mae, Pool #FM1571    4.00   12/1/48   3 
 3   Fannie Mae, Pool #MA3563    4.00   1/1/49   3 
 3   Fannie Mae, Pool #BK0920    4.00   7/1/48   3 
 2   Fannie Mae, Pool #MA3615    4.00   3/1/49   2 
 24   Fannie Mae, Pool #MA4732    4.00   9/1/52   21 
 4   Fannie Mae, Pool #BM4306    4.00   9/1/25   4 
 3   Fannie Mae, Pool #BK0909    4.00   7/1/48   3 
 11   Fannie Mae, Pool #BK7943    4.00   11/1/48   10 
 3   Fannie Mae, Pool #FM1415    4.00   12/1/48   3 
 15   Fannie Mae, Pool #AO2959    4.00   5/1/42   14 
 2   Fannie Mae, Pool #MA3521    4.00   11/1/48   2 
 5   Fannie Mae, Pool #BN6677    4.00   6/1/49   4 
 8   Fannie Mae, Pool #AX0841    4.00   9/1/44   8 
 3   Fannie Mae, Pool #CA2316    4.00   7/1/48   2 
 5   Fannie Mae, Pool #MA3804    4.00   10/1/49   5 
 3   Fannie Mae, Pool #BD7060    4.00   3/1/47   3 
 8   Fannie Mae, Pool #AS8823    4.00   2/1/47   7 
 3   Fannie Mae, Pool #FM0021    4.00   3/1/49   3 
 7   Fannie Mae, Pool #AU8849    4.00   11/1/43   6 
 10   Fannie Mae, Pool #AS9394    4.50   4/1/47   10 
 2   Fannie Mae, Pool #BN4309    4.50   1/1/49   2 
 5   Fannie Mae, Pool #AS2751    4.50   6/1/44   4 
 3   Fannie Mae, Pool #CA0623    4.50   10/1/47   3 
 45   Fannie Mae, Pool #BV7928    4.50   8/1/52   42 
 21   Fannie Mae, Pool #AE0217    4.50   8/1/40   20 
 11   Fannie Mae, Pool #MA3184    4.50   11/1/47   10 
 4   Fannie Mae, Pool #CA1711    4.50   5/1/48   3 
 4   Fannie Mae, Pool #BM3286    4.50   11/1/47   4 
 6   Fannie Mae, Pool #MA3747    4.50   8/1/49   6 
 3   Fannie Mae, Pool #BK4850    4.50   5/1/48   3 
 17   Fannie Mae, Pool #AE0954    4.50   2/1/41   16 
 3   Fannie Mae, Pool #MA3639    4.50   4/1/49   3 
 2   Fannie Mae, Pool #BK6328    4.50   6/1/48   2 
    Fannie Mae, Pool #930998    4.50   4/1/29    
 2   Fannie Mae, Pool #MA3537    4.50   12/1/48   2 
 4   Fannie Mae, Pool #725027    5.00   11/1/33   4 
 25   Fannie Mae, Pool #MA5071    5.00   7/1/53   23 
 23   Fannie Mae, Pool #MA4761    5.00   9/1/52   22 
 3   Fannie Mae, Pool #890603    5.00   8/1/41   3 
 19   Fannie Mae, Pool #889117    5.00   10/1/35   19 
 4   Fannie Mae, Pool #BM3904    5.00   5/1/48   4 
 9   Fannie Mae, Pool #725238    5.00   3/1/34   9 
 24   Fannie Mae, Pool #MA5072    5.50   7/1/53   24 
 23   Fannie Mae, Pool #FS3360    5.50   12/1/52   23 
 48   Fannie Mae, Pool #MA5010    5.50   5/1/53   46 
 4   Fannie Mae, Pool #890221    5.50   12/1/33   4 
 10   Fannie Mae, Pool #959451    6.00   12/1/37   10 
 50   Fannie Mae, 15 YR TBA    1.50   10/25/38   42 
 25   Fannie Mae, 15 YR TBA    4.50   10/25/38   24 
 25   Fannie Mae, 15 YR TBA    5.00   11/25/34   24 
 25   Fannie Mae, 30 YR TBA    3.50   10/25/53   21 
 25   Fannie Mae, 30 YR TBA    4.00   10/25/53   22 
 25   Fannie Mae, 30 YR TBA    4.50   10/25/53   23 
 75   Fannie Mae, 30 YR TBA    5.00   10/25/53   70 
 25   Fannie Mae, 30 YR TBA    5.50   11/25/52   24 
 50   Fannie Mae, 30 YR TBA    5.50   10/25/53   47 
 25   Fannie Mae, 30 YR TBA    6.00   11/25/53   25 
 50   Fannie Mae, 30 YR TBA    6.00   10/25/53   48 
 75   Fannie Mae, 30 YR TBA    6.50   10/25/53   74 
 21   Freddie Mac, Pool #RB5110    1.50   5/1/41   16 
 43   Freddie Mac, Pool #SD8154    1.50   7/1/51   31 
 42   Freddie Mac, Pool #QC0962    1.50   4/1/51   30 
 18   Freddie Mac, Pool #SB8097    1.50   4/1/36   15 
 22   Freddie Mac, Pool #SB8144    1.50   3/1/37   18 
 17   Freddie Mac, Pool #SB8088    1.50   2/1/36   14 
 21   Freddie Mac, Pool #QN9521    1.50   2/1/37   18 
 20   Freddie Mac, Pool #RB5114    2.00   6/1/41   16 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$21   Freddie Mac, Pool #SD8079    2.00   7/1/50  $16 
 22   Freddie Mac, Pool #SD8098    2.00   10/1/50   16 
 45   Freddie Mac, Pool #SD8188    2.00   1/1/52   35 
 46   Freddie Mac, Pool #SD8193    2.00   2/1/52   35 
 21   Freddie Mac, Pool #RB5121    2.00   8/1/41   17 
 23   Freddie Mac, Pool #SD8199    2.00   3/1/52   18 
 22   Freddie Mac, Pool #QC3597    2.00   6/1/51   16 
 38   Freddie Mac, Pool #SD8113    2.00   12/1/50   29 
 40   Freddie Mac, Pool #SD7537    2.00   3/1/51   31 
 21   Freddie Mac, Pool #SD8146    2.00   5/1/51   16 
 18   Freddie Mac, Pool #RA3205    2.00   8/1/50   14 
 41   Freddie Mac, Pool #QC0423    2.00   4/1/51   31 
 42   Freddie Mac, Pool #QC1333    2.00   5/1/51   32 
 39   Freddie Mac, Pool #SD8128    2.00   2/1/51   30 
 22   Freddie Mac, Pool #QC7473    2.00   9/1/51   17 
 45   Freddie Mac, Pool #QD1254    2.00   11/1/51   35 
 40   Freddie Mac, Pool #SB8128    2.00   11/1/36   34 
 40   Freddie Mac, Pool #QB7708    2.00   1/1/51   30 
 19   Freddie Mac, Pool #QB3926    2.00   10/1/50   14 
 16   Freddie Mac, Pool #RC1727    2.00   12/1/35   14 
 42   Freddie Mac, Pool #QB6893    2.00   12/1/50   32 
 43   Freddie Mac, Pool #QC3697    2.00   6/1/51   32 
 43   Freddie Mac, Pool #SD8160    2.00   8/1/51   33 
 31   Freddie Mac, Pool #SB8079    2.00   12/1/35   27 
 13   Freddie Mac, Pool #SB8061    2.00   9/1/35   11 
 23   Freddie Mac, Pool #QD5748    2.00   2/1/52   17 
 19   Freddie Mac, Pool #SD8121    2.00   1/1/51   15 
 45   Freddie Mac, Pool #SD8177    2.00   11/1/51   34 
 18   Freddie Mac, Pool #RB5095    2.00   1/1/41   15 
 22   Freddie Mac, Pool #RA5155    2.00   5/1/51   17 
 19   Freddie Mac, Pool #SB8115    2.00   8/1/36   16 
 18   Freddie Mac, Pool #RA3575    2.00   9/1/50   14 
 19   Freddie Mac, Pool #SB8510    2.00   2/1/36   16 
 21   Freddie Mac, Pool #RA5040    2.00   4/1/51   16 
 18   Freddie Mac, Pool #SB8107    2.00   6/1/36   16 
 21   Freddie Mac, Pool #RA5257    2.00   5/1/51   16 
 20   Freddie Mac, Pool #RA4214    2.00   12/1/50   15 
 21   Freddie Mac, Pool #RA3328    2.00   8/1/50   16 
 22   Freddie Mac, Pool #SD8172    2.00   10/1/51   17 
 21   Freddie Mac, Pool #QC7457    2.50   9/1/51   17 
 7   Freddie Mac, Pool #ZS8692    2.50   4/1/33   6 
 21   Freddie Mac, Pool #SD8167    2.50   9/1/51   17 
 15   Freddie Mac, Pool #ZS4687    2.50   11/1/46   12 
 32   Freddie Mac, Pool #RA2643    2.50   6/1/50   25 
 14   Freddie Mac, Pool #RA2897    2.50   6/1/50   12 
 27   Freddie Mac, Pool #SB8045    2.50   5/1/35   24 
 21   Freddie Mac, Pool #SB0301    2.50   4/1/35   19 
 20   Freddie Mac, Pool #RA3528    2.50   9/1/50   16 
 41   Freddie Mac, Pool #RA5832    2.50   9/1/51   33 
 5   Freddie Mac, Pool #G18687    2.50   5/1/33   5 
 20   Freddie Mac, Pool #RA5286    2.50   5/1/51   16 
 44   Freddie Mac, Pool #SD8183    2.50   12/1/51   35 
 45   Freddie Mac, Pool #SD8194    2.50   2/1/52   36 
 7   Freddie Mac, Pool #G07445    2.50   7/1/43   6 
 22   Freddie Mac, Pool #RA6019    2.50   10/1/51   17 
 23   Freddie Mac, Pool #SD8205    2.50   4/1/52   18 
 20   Freddie Mac, Pool #QC2031    2.50   5/1/51   16 
 31   Freddie Mac, Pool #RA2634    2.50   5/1/50   24 
 22   Freddie Mac, Pool #RA6621    2.50   1/1/52   18 
 20   Freddie Mac, Pool #SD8151    2.50   6/1/51   16 
 22   Freddie Mac, Pool #RA6815    2.50   2/1/52   17 
 11   Freddie Mac, Pool #G18470    2.50   6/1/28   10 
 23   Freddie Mac, Pool #RA6136    2.50   10/1/51   18 
 14   Freddie Mac, Pool #SD8099    2.50   10/1/50   12 
 16   Freddie Mac, Pool #QB3703    2.50   9/1/50   12 
 11   Freddie Mac, Pool #G18485    2.50   10/1/28   10 
 16   Freddie Mac, Pool #SD8129    2.50   2/1/51   13 
 22   Freddie Mac, Pool #RA5802    2.50   9/1/51   18 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$7   Freddie Mac, Pool #RB5043    2.50   4/1/40  $6 
 17   Freddie Mac, Pool #RA4527    2.50   2/1/51   13 
 13   Freddie Mac, Pool #RA2595    2.50   5/1/50   10 
 15   Freddie Mac, Pool #QB3287    2.50   8/1/50   12 
 31   Freddie Mac, Pool #SD8114    2.50   12/1/50   25 
 38   Freddie Mac, Pool #SD8141    2.50   4/1/51   30 
 21   Freddie Mac, Pool #SD8021    2.50   9/1/49   17 
 11   Freddie Mac, Pool #RB5054    2.50   6/1/40   9 
 45   Freddie Mac, Pool #SD1011    2.50   4/1/52   36 
 22   Freddie Mac, Pool #SD8189    2.50   1/1/52   18 
 16   Freddie Mac, Pool #SD8122    2.50   1/1/51   13 
 23   Freddie Mac, Pool #QE2352    2.50   5/1/52   19 
 19   Freddie Mac, Pool #SD8147    2.50   5/1/51   15 
 45   Freddie Mac, Pool #RA6493    2.50   12/1/51   36 
 13   Freddie Mac, Pool #SD8083    2.50   8/1/50   10 
 6   Freddie Mac, Pool #J36428    3.00   2/1/32   6 
 12   Freddie Mac, Pool #G08737    3.00   12/1/46   10 
 4   Freddie Mac, Pool #G18601    3.00   5/1/31   4 
 7   Freddie Mac, Pool #G61680    3.00   4/1/47   6 
 3   Freddie Mac, Pool #G18518    3.00   7/1/29   3 
 22   Freddie Mac, Pool #QD9881    3.00   3/1/52   18 
 5   Freddie Mac, Pool #ZS4688    3.00   11/1/46   5 
 5   Freddie Mac, Pool #QA1033    3.00   7/1/49   4 
 7   Freddie Mac, Pool #SB8046    3.00   5/1/35   7 
 9   Freddie Mac, Pool #SD8074    3.00   7/1/50   8 
 14   Freddie Mac, Pool #ZA2304    3.00   6/1/33   13 
 24   Freddie Mac, Pool #ZS4511    3.00   3/1/43   20 
 12   Freddie Mac, Pool #SD8030    3.00   12/1/49   10 
 8   Freddie Mac, Pool #G15145    3.00   7/1/29   7 
 34   Freddie Mac, Pool #ZS4522    3.00   7/1/43   29 
 6   Freddie Mac, Pool #ZM2089    3.00   11/1/46   5 
 8   Freddie Mac, Pool #QA8065    3.00   3/1/50   7 
 10   Freddie Mac, Pool #ZS4658    3.00   4/1/46   9 
 15   Freddie Mac, Pool #ZS4606    3.00   3/1/45   13 
 39   Freddie Mac, Pool #SD8174    3.00   10/1/51   32 
 14   Freddie Mac, Pool #ZS4706    3.00   3/1/47   12 
 16   Freddie Mac, Pool #G60989    3.00   12/1/46   14 
 7   Freddie Mac, Pool #SD8056    3.00   4/1/50   5 
 5   Freddie Mac, Pool #G08803    3.00   3/1/48   4 
 4   Freddie Mac, Pool #G08635    3.00   4/1/45   4 
 13   Freddie Mac, Pool #QB1382    3.00   7/1/50   11 
 10   Freddie Mac, Pool #G18663    3.00   10/1/32   9 
 10   Freddie Mac, Pool #QA9049    3.00   4/1/50   8 
 7   Freddie Mac, Pool #ZS4651    3.50   3/1/46   6 
 6   Freddie Mac, Pool #Q43933    3.50   10/1/46   5 
 23   Freddie Mac, Pool #SD8038    3.50   1/1/50   20 
 4   Freddie Mac, Pool #ZS4659    3.50   4/1/46   3 
 15   Freddie Mac, Pool #G08636    3.50   4/1/45   13 
 8   Freddie Mac, Pool #SB8007    3.50   9/1/34   7 
 2   Freddie Mac, Pool #J14069    3.50   1/1/26   2 
 5   Freddie Mac, Pool #V83453    3.50   10/1/47   4 
 7   Freddie Mac, Pool #G08784    3.50   10/1/47   6 
 8   Freddie Mac, Pool #G61148    3.50   9/1/47   7 
 17   Freddie Mac, Pool #G08554    3.50   10/1/43   15 
 7   Freddie Mac, Pool #G08761    3.50   5/1/47   6 
 6   Freddie Mac, Pool #SD8011    3.50   9/1/49   5 
 5   Freddie Mac, Pool #G08620    3.50   12/1/44   4 
 7   Freddie Mac, Pool #G08687    3.50   1/1/46   6 
 4   Freddie Mac, Pool #ZS4713    3.50   4/1/47   3 
 3   Freddie Mac, Pool #Q57871    3.50   8/1/48   3 
 4   Freddie Mac, Pool #ZA5052    3.50   11/1/47   4 
 11   Freddie Mac, Pool #ZS4618    3.50   6/1/45   10 
 3   Freddie Mac, Pool #ZS4771    3.50   6/1/48   3 
 7   Freddie Mac, Pool #G08698    3.50   3/1/46   6 
 4   Freddie Mac, Pool #ZS4599    3.50   1/1/45   3 
 14   Freddie Mac, Pool #ZS4642    3.50   12/1/45   12 
 4   Freddie Mac, Pool #SD8001    3.50   7/1/49   3 
 8   Freddie Mac, Pool #RA2469    3.50   4/1/50   7 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$8   Freddie Mac, Pool #RA1508    3.50   10/1/49  $7 
 6   Freddie Mac, Pool #J30284    3.50   11/1/29   5 
 3   Freddie Mac, Pool #G08627    3.50   2/1/45   3 
 23   Freddie Mac, Pool #SD8214    3.50   5/1/52   20 
 3   Freddie Mac, Pool #G08770    3.50   7/1/47   3 
 4   Freddie Mac, Pool #G08801    4.00   2/1/48   4 
 7   Freddie Mac, Pool #G08775    4.00   8/1/47   6 
 5   Freddie Mac, Pool #C91395    4.00   9/1/31   5 
 5   Freddie Mac, Pool #SD0290    4.00   4/1/50   4 
 3   Freddie Mac, Pool #ZT2106    4.00   3/1/49   3 
 24   Freddie Mac, Pool #QE5462    4.00   7/1/52   21 
 7   Freddie Mac, Pool #SD8070    4.00   6/1/50   7 
 12   Freddie Mac, Pool #G08637    4.00   4/1/45   11 
 7   Freddie Mac, Pool #ZA4988    4.00   8/1/47   6 
 7   Freddie Mac, Pool #ZS4708    4.00   3/1/47   6 
 9   Freddie Mac, Pool #G08567    4.00   1/1/44   8 
 4   Freddie Mac, Pool #G08771    4.00   7/1/47   4 
 5   Freddie Mac, Pool #ZT1320    4.00   11/1/48   4 
 9   Freddie Mac, Pool #A96286    4.00   1/1/41   8 
 47   Freddie Mac, Pool #SD8244    4.00   9/1/52   42 
 2   Freddie Mac, Pool #ZA6946    4.00   5/1/49   2 
 3   Freddie Mac, Pool #ZT1840    4.00   9/1/48   2 
 10   Freddie Mac, Pool #G08606    4.00   9/1/44   9 
 14   Freddie Mac, Pool #ZL7781    4.00   2/1/44   13 
 8   Freddie Mac, Pool #ZS4631    4.00   9/1/45   7 
 48   Freddie Mac, Pool #SD8286    4.00   1/1/53   43 
 7   Freddie Mac, Pool #Q58680    4.00   9/1/48   6 
 24   Freddie Mac, Pool #SD8266    4.50   11/1/52   22 
 25   Freddie Mac, Pool #SD8340    4.50   7/1/53   23 
 48   Freddie Mac, Pool #SD8306    4.50   3/1/53   44 
 4   Freddie Mac, Pool #G08781    4.50   9/1/47   3 
 17   Freddie Mac, Pool #A97692    4.50   3/1/41   16 
 13   Freddie Mac, Pool #G01890    4.50   10/1/35   12 
 5   Freddie Mac, Pool #Q58217    4.50   9/1/48   4 
 4   Freddie Mac, Pool #C09059    4.50   3/1/44   4 
 5   Freddie Mac, Pool #Q52321    4.50   11/1/47   5 
 3   Freddie Mac, Pool #ZS4774    4.50   5/1/48   3 
 23   Freddie Mac, Pool #SD8245    4.50   9/1/52   21 
 49   Freddie Mac, Pool #SD8341    5.00   7/1/53   45 
 24   Freddie Mac, Pool #SD8288    5.00   1/1/53   23 
 24   Freddie Mac, Pool #SD8323    5.00   5/1/53   23 
 3   Freddie Mac, Pool #G08838    5.00   9/1/48   3 
 8   Freddie Mac, Pool #G04817    5.00   9/1/38   8 
 7   Freddie Mac, Pool #ZT1779    5.00   3/1/49   6 
 8   Freddie Mac, Pool #G01962    5.00   12/1/35   8 
 9   Freddie Mac, Pool #G05904    5.00   9/1/39   9 
 24   Freddie Mac, Pool #SD8331    5.50   6/1/53   23 
 13   Freddie Mac, Pool #G01665    5.50   3/1/34   13 
 24   Freddie Mac, Pool #SD8300    5.50   2/1/53   23 
 24   Freddie Mac, Pool #SD8342    5.50   7/1/53   24 
 9   Freddie Mac, Pool #G02794    6.00   5/1/37   9 
 25   Freddie Mac, Pool #SD8350    6.00   8/1/53   24 
 24   Freddie Mac, Pool #SD8325    6.00   5/1/53   24 
 1   Freddie Mac, Pool #C90989    6.00   9/1/26   1 
 21   Government National Mortgage Association, Pool #MA7588    2.00   9/20/51   17 
 40   Government National Mortgage Association, Pool #MA7471    2.00   7/20/51   32 
 19   Government National Mortgage Association, Pool #MA7366    2.00   5/20/51   15 
 22   Government National Mortgage Association, Pool #MA7766    2.00   12/20/51   17 
 22   Government National Mortgage Association, Pool #MA7826    2.00   1/20/52   18 
 43   Government National Mortgage Association, Pool #MA7704    2.00   11/20/51   34 
 37   Government National Mortgage Association, Pool #MA7254    2.00   3/20/51   29 
 18   Government National Mortgage Association, Pool #MA7051    2.00   12/20/50   14 
 34   Government National Mortgage Association, Pool #MA6930    2.00   10/20/50   27 
 23   Government National Mortgage Association, Pool #MA8041    2.00   5/20/52   18 
 22   Government National Mortgage Association, Pool #MA7880    2.00   2/20/52   18 
 23   Government National Mortgage Association, Pool #MA7935    2.00   3/20/52   18 
 20   Government National Mortgage Association, Pool #MA7417    2.00   6/20/51   15 
 19   Government National Mortgage Association, Pool #MA7311    2.00   4/20/51   15 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$21   Government National Mortgage Association, Pool #MA6994    2.00   11/20/50  $16 
 33   Government National Mortgage Association, Pool #MA6864    2.00   9/20/50   26 
 18   Government National Mortgage Association, Pool #MA7135    2.00   1/20/51   14 
 23   Government National Mortgage Association, Pool #MA7986    2.00   4/20/52   18 
 34   Government National Mortgage Association, Pool #MA7255    2.50   3/20/51   28 
 14   Government National Mortgage Association, Pool #MA6995    2.50   11/20/50   11 
 14   Government National Mortgage Association, Pool #MA6931    2.50   10/20/50   11 
 32   Government National Mortgage Association, Pool #MA7193    2.50   2/20/51   26 
 24   Government National Mortgage Association, Pool #MA6819    2.50   8/20/50   20 
 7   Government National Mortgage Association, Pool #MA6540    2.50   3/20/50   6 
 40   Government National Mortgage Association, Pool #MA7472    2.50   7/20/51   33 
 43   Government National Mortgage Association, Pool #MA7767    2.50   12/20/51   35 
 18   Government National Mortgage Association, Pool #MA7136    2.50   1/20/51   15 
 43   Government National Mortgage Association, Pool #MA6709    2.50   6/20/50   35 
 18   Government National Mortgage Association, Pool #MA7312    2.50   4/20/51   15 
 10   Government National Mortgage Association, Pool #MA6655    2.50   5/20/50   8 
 22   Government National Mortgage Association, Pool #MA7936    2.50   3/20/52   18 
 19   Government National Mortgage Association, Pool #MA7418    2.50   6/20/51   16 
 34   Government National Mortgage Association, Pool #MA6865    2.50   9/20/50   28 
 5   Government National Mortgage Association, Pool #MA4355    2.50   4/20/32   5 
 2   Government National Mortgage Association, Pool #AA8341    2.50   2/15/28   2 
 21   Government National Mortgage Association, Pool #MA7589    2.50   9/20/51   17 
 23   Government National Mortgage Association, Pool #MA8042    2.50   5/20/52   19 
 41   Government National Mortgage Association, Pool #MA7534    2.50   8/20/51   33 
 4   Government National Mortgage Association, Pool #MA1155    2.50   7/20/43   4 
 42   Government National Mortgage Association, Pool #MA7649    2.50   10/20/51   35 
 23   Government National Mortgage Association, Pool #MA8098    3.00   6/20/52   20 
 6   Government National Mortgage Association, Pool #MA6283    3.00   11/20/49   5 
 8   Government National Mortgage Association, Pool #MA4836    3.00   11/20/47   7 
 5   Government National Mortgage Association, Pool #MA4068    3.00   11/20/46   5 
 6   Government National Mortgage Association, Pool #MA6089    3.00   8/20/49   5 
 8   Government National Mortgage Association, Pool #MA4195    3.00   1/20/47   6 
 9   Government National Mortgage Association, Pool #MA3936    3.00   9/20/46   7 
 9   Government National Mortgage Association, Pool #MA6710    3.00   6/20/50   7 
 18   Government National Mortgage Association, Pool #MA6766    3.00   7/20/50   16 
 5   Government National Mortgage Association, Pool #MA3873    3.00   8/20/46   4 
 4   Government National Mortgage Association, Pool #MA5815    3.00   3/20/49   4 
 7   Government National Mortgage Association, Pool #MA6599    3.00   4/20/50   6 
 8   Government National Mortgage Association, Pool #MA3662    3.00   5/20/46   7 
 17   Government National Mortgage Association, Pool #MA6656    3.00   5/20/50   14 
 12   Government National Mortgage Association, Pool #MA6474    3.00   2/20/50   10 
 10   Government National Mortgage Association, Pool #MA4320    3.00   3/20/47   8 
 12   Government National Mortgage Association, Pool #MA5018    3.00   2/20/48   11 
 5   Government National Mortgage Association, Pool #MA4261    3.00   2/20/47   4 
 8   Government National Mortgage Association, Pool #MA3802    3.00   7/20/46   7 
 7   Government National Mortgage Association, Pool #MA3243    3.00   11/20/45   6 
 7   Government National Mortgage Association, Pool #MA4126    3.00   12/20/46   6 
 10   Government National Mortgage Association, Pool #MA3735    3.00   6/20/46   9 
 14   Government National Mortgage Association, Pool #MA4899    3.00   12/20/47   12 
 12   Government National Mortgage Association, Pool #MA4003    3.00   10/20/46   11 
 21   Government National Mortgage Association, Pool #MA6218    3.00   10/20/49   18 
 7   Government National Mortgage Association, Pool #MA2960    3.00   7/20/45   6 
 15   Government National Mortgage Association, Pool #MA1011    3.00   5/20/43   13 
 8   Government National Mortgage Association, Pool #AA5897    3.00   12/15/42   7 
 15   Government National Mortgage Association, Pool #MA0851    3.00   3/20/43   13 
 6   Government National Mortgage Association, Pool #MA6338    3.00   12/20/49   5 
 6   Government National Mortgage Association, Pool #MA6409    3.00   1/20/50   5 
 5   Government National Mortgage Association, Pool #MA0205    3.00   7/20/27   4 
 22   Government National Mortgage Association, Pool #MA7828    3.00   1/20/52   18 
 11   Government National Mortgage Association, Pool #MA3375    3.00   1/20/46   9 
 3   Government National Mortgage Association, Pool #MA3596    3.00   4/20/46   3 
 10   Government National Mortgage Association, Pool #MA6820    3.00   8/20/50   9 
 10   Government National Mortgage Association, Pool #MA2520    3.00   1/20/45   9 
 8   Government National Mortgage Association, Pool #MA4321    3.50   3/20/47   7 
 16   Government National Mortgage Association, Pool #MA1157    3.50   7/20/43   15 
 4   Government National Mortgage Association, Pool #AB9211    3.50   11/15/42   3 
 7   Government National Mortgage Association, Pool #MA3105    3.50   9/20/45   6 
 8   Government National Mortgage Association, Pool #MA2223    3.50   9/20/44   7 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$6   Government National Mortgage Association, Pool #MA5019    3.50   2/20/48  $5 
 7   Government National Mortgage Association, Pool #MA4586    3.50   7/20/47   6 
 8   Government National Mortgage Association, Pool #MA4510    3.50   6/20/47   7 
 8   Government National Mortgage Association, Pool #MA4652    3.50   8/20/47   7 
 23   Government National Mortgage Association, Pool #MA8199    3.50   8/20/52   20 
 4   Government National Mortgage Association, Pool #MA3454    3.50   2/20/46   3 
 7   Government National Mortgage Association, Pool #MA3376    3.50   1/20/46   6 
 7   Government National Mortgage Association, Pool #MA3597    3.50   4/20/46   6 
 10   Government National Mortgage Association, Pool #MA3173    3.50   10/20/45   9 
 8   Government National Mortgage Association, Pool #MA4382    3.50   4/20/47   7 
 3   Government National Mortgage Association, Pool #MA5762    3.50   2/20/49   3 
 6   Government National Mortgage Association, Pool #MA5875    3.50   4/20/49   6 
 5   Government National Mortgage Association, Pool #MA5191    3.50   5/20/48   4 
 8   Government National Mortgage Association, Pool #MA3874    3.50   8/20/46   7 
 7   Government National Mortgage Association, Pool #MA3803    3.50   7/20/46   6 
 4   Government National Mortgage Association, Pool #MA1574    3.50   1/20/29   3 
 7   Government National Mortgage Association, Pool #MA3310    3.50   12/20/45   6 
 14   Government National Mortgage Association, Pool #MA0699    3.50   1/20/43   12 
 8   Government National Mortgage Association, Pool #MA2371    3.50   11/20/44   7 
 5   Government National Mortgage Association, Pool #MA2826    3.50   5/20/45   5 
 5   Government National Mortgage Association, Pool #AC3938    3.50   1/15/43   4 
 4   Government National Mortgage Association, Pool #MA4778    3.50   10/20/47   4 
 7   Government National Mortgage Association, Pool #MA3736    3.50   6/20/46   6 
 4   Government National Mortgage Association, Pool #MA4837    3.50   11/20/47   4 
 6   Government National Mortgage Association, Pool #MA2961    3.50   7/20/45   5 
 8   Government National Mortgage Association, Pool #MA4004    3.50   10/20/46   7 
 5   Government National Mortgage Association, Pool #MA3244    3.50   11/20/45   5 
 9   Government National Mortgage Association, Pool #MA4127    3.50   12/20/46   8 
 4   Government National Mortgage Association, Pool #MA6219    3.50   10/20/49   4 
 4   Government National Mortgage Association, Pool #MA6339    3.50   12/20/49   4 
 3   Government National Mortgage Association, Pool #MA5466    4.00   9/20/48   3 
 3   Government National Mortgage Association, Pool #MA5986    4.00   6/20/49   3 
 6   Government National Mortgage Association, Pool #MA1996    4.00   6/20/44   6 
 3   Government National Mortgage Association, Pool #MA4322    4.00   3/20/47   3 
 8   Government National Mortgage Association, Pool #MA6091    4.00   8/20/49   7 
 9   Government National Mortgage Association, Pool #MA3737    4.00   6/20/46   9 
 3   Government National Mortgage Association, Pool #MA3377    4.00   1/20/46   3 
 3   Government National Mortgage Association, Pool #MA5651    4.00   12/20/48   3 
 3   Government National Mortgage Association, Pool #MA5710    4.00   1/20/49   2 
 3   Government National Mortgage Association, Pool #MA4263    4.00   2/20/47   3 
 7   Government National Mortgage Association, Pool #MA6040    4.00   7/20/49   6 
 3   Government National Mortgage Association, Pool #MA5876    4.00   4/20/49   2 
 24   Government National Mortgage Association, Pool #MA8200    4.00   8/20/52   21 
 4   Government National Mortgage Association, Pool #MA3522    4.00   3/20/46   4 
 3   Government National Mortgage Association, Pool #MA4653    4.00   8/20/47   3 
 27   Government National Mortgage Association, Pool #MA1091    4.00   6/20/43   25 
 3   Government National Mortgage Association, Pool #MA5595    4.00   11/20/48   3 
 6   Government National Mortgage Association, Pool #MA4511    4.00   6/20/47   6 
 3   Government National Mortgage Association, Pool #MA3245    4.00   11/20/45   3 
 3   Government National Mortgage Association, Pool #MA1762    4.50   3/20/44   3 
 14   Government National Mortgage Association, Pool #721760    4.50   8/15/40   14 
 23   Government National Mortgage Association, Pool #4801    4.50   9/20/40   22 
 5   Government National Mortgage Association, Pool #MA5399    4.50   8/20/48   5 
 2   Government National Mortgage Association, Pool #MA5818    4.50   3/20/49   2 
 8   Government National Mortgage Association, Pool #MA5987    4.50   6/20/49   8 
 2   Government National Mortgage Association, Pool #MA5193    4.50   5/20/48   2 
 5   Government National Mortgage Association, Pool #MA5764    4.50   2/20/49   5 
 25   Government National Mortgage Association, Pool #MA8877    4.50   5/20/53   23 
 6   Government National Mortgage Association, Pool #MA2756    4.50   4/20/45   6 
 5   Government National Mortgage Association, Pool #MA2373    4.50   11/20/44   4 
 25   Government National Mortgage Association, Pool #MA8724    4.50   3/20/53   23 
 3   Government National Mortgage Association, Pool #MA4721    4.50   9/20/47   3 
 2   Government National Mortgage Association, Pool #MA5596    4.50   11/20/48   2 
 2   Government National Mortgage Association, Pool #MA5653    5.00   12/20/48   2 
 25   Government National Mortgage Association, Pool #MA8800    5.00   4/20/53   23 
 25   Government National Mortgage Association, Pool #MA9016    5.00   7/20/53   24 
 3   Government National Mortgage Association, Pool #MA5933    5.00   5/20/49   3 
 11   Government National Mortgage Association, Pool #697946    5.00   3/15/39   11 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$2   Government National Mortgage Association, Pool #MA5530    5.00   10/20/48  $2 
 3   Government National Mortgage Association, Pool #MA5988    5.00   6/20/49   3 
 14   Government National Mortgage Association, Pool #4559    5.00   10/20/39   14 
 25   Government National Mortgage Association, Pool #MA9017    5.50   7/20/53   24 
 25   Government National Mortgage Association, 30 YR TBA    2.00   10/20/53   20 
 50   Government National Mortgage Association, 30 YR TBA    3.50   10/20/53   44 
 50   Government National Mortgage Association, 30 YR TBA    4.00   10/20/53   44 
 25   Government National Mortgage Association, 30 YR TBA    4.50   10/20/53   23 
 50   Government National Mortgage Association, 30 YR TBA    5.00   10/20/53   46 
 75   Government National Mortgage Association, 30 YR TBA    5.50   10/20/53   72 
 50   Government National Mortgage Association, 30 YR TBA    6.00   10/20/53   49 
 25   Government National Mortgage Association, 30 YR TBA    6.50   11/20/53   25 
     Total U.S. Government Agency Mortgages            8,764 
                   
     U.S. Government Agency Securities — 0.76%             
 25   Fannie Mae    0.50   6/17/25   23 
 25   Fannie Mae    0.75   10/8/27   21 
 25   Fannie Mae, Callable 12/18/23 @ 100.00    0.88   12/18/26   22 
 25   Fannie Mae    1.63   1/7/25   24 
 10   Fannie Mae    5.63   7/15/37   11 
 20   Fannie Mae    6.63   11/15/30   22 
 75   Federal Farm Credit Bank    0.88   11/18/24   70 
 28   Federal Farm Credit Bank, Callable 10/13/23 @ 200.00    1.55   7/26/30   22 
 15   Federal Home Loan Bank    2.50   6/12/26   14 
 40   Federal Home Loan Bank    2.75   12/13/24   39 
 25   Federal Home Loan Bank    3.25   11/16/28   23 
 55   Federal Home Loan Bank    4.38   3/13/26   54 
 25   Federal Home Loan Bank    5.00   2/28/25   25 
 10   Freddie Mac    0.00(b)  11/15/38   5 
 50   Freddie Mac    0.38   7/21/25   46 
 5   Freddie Mac    0.38   9/23/25   5 
 40   Freddie Mac, Callable 2/23/24 @ 200.00    5.85   8/23/27   40 
 15   Freddie Mac    6.25   7/15/32   17 
 10   Freddie Mac    6.75   3/15/31   11 
 5   Tennessee Valley Authority    3.50   12/15/42   4 
 25   Tennessee Valley Authority    3.88   3/15/28   24 
 10   Tennessee Valley Authority    4.25   9/15/52   8 
     Total U.S. Government Agency Securities            530 
                   
     Corporate Bonds — 14.89%             
 145   AbbVie, Inc. (Biotechnology)      4.40   11/6/42   120 
 25   Air Products & Chemicals, Inc. (Chemicals), Callable 11/15/39 @ 100.00     2.70   5/15/40   17 
 125   Amgen, Inc. (Biotechnology), Callable 2/1/25 @ 100.00     3.13   5/1/25   120 
 80   Amgen, Inc. (Biotechnology), Callable 8/21/39 @ 100.00     3.15   2/21/40   56 
 40   Amgen, Inc. (Biotechnology), Callable 12/15/50 @ 100.00     4.66   6/15/51   33 
 220   Anheuser-Busch InBev Worldwide, Inc. (Beverages)      4.95   1/15/42   199 
 140   Apple, Inc. (Technology Hardware, Storage & Peripherals), Callable 8/23/45 @ 100.00     4.65   2/23/46   125 
 95   Aptiv PLC/Aptiv Corp. (Automobile Components), Callable 10/16/23 @ 100.00     2.40   2/18/25   90 
 148   AT&T, Inc. (Diversified Telecommunication Services), Callable 3/15/55 @ 100.00     3.55   9/15/55   90 
 115   AT&T, Inc. (Diversified Telecommunication Services), Callable 12/1/28 @ 100.00     4.35   3/1/29   107 
 55   AT&T, Inc. (Diversified Telecommunication Services), Callable 9/9/48 @ 100.00     4.55   3/9/49   42 
 95   Atmos Energy Corp. (Gas Utilities), Callable 7/15/42 @ 100.00     4.15   1/15/43   76 
 470   Bank of America Corp. (Banks), Callable 4/22/31 @ 100.00     2.69 (SOFR + 132 bps)(c)   4/22/32   370 
 90   Bank of America Corp., MTN  (Banks), Callable 2/7/29 @ 100.00     3.97 (TSFR3M + 147 bps)(c)   2/7/30   81 
 95   Berkshire Hathaway Energy Co. (Multi-Utilities), Callable 8/1/44 @ 100.00     4.50   2/1/45   76 
 55   BP Capital Markets America, Inc. (Financial Services), Callable 8/24/49 @ 100.00     3.00   2/24/50   34 
 70   Bristol-Myers Squibb Co. (Pharmaceuticals), Callable 4/26/49 @ 100.00     4.25   10/26/49   56 
                   

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$137   Brown & Brown, Inc. (Insurance), Callable 12/15/30 @ 100.00     2.38   3/15/31  $107 
 75   Bunge Ltd. Finance Corp. (Consumer Staples Distribution & Retail), Callable 2/14/31 @ 100.00     2.75   5/14/31   60 
 125   Capital One Financial Corp. (Consumer Finance), Callable 2/1/28 @ 100.00     5.47 (SOFR + 208 bps)(c)   2/1/29   119 
 190   Charter Communications Operating LLC/Charter Communications Operating Capital (Media), Callable 12/30/28 @ 100.00     5.05   3/30/29   178 
 185   Citigroup, Inc. (Banks), Callable 3/17/32 @ 100.00     3.79 (SOFR + 194 bps)(c)   3/17/33   155 
 175   Citigroup, Inc. (Banks), Callable 3/31/30 @ 100.00     4.41 (SOFR + 391 bps)(c)   3/31/31   157 
 155   Collins Aerospace (Aerospace & Defense), Callable 12/15/26 @ 100.00     3.50   3/15/27   143 
 100   Comcast Corp. (Media), Callable 5/1/49 @ 100.00     4.00   11/1/49   74 
 25   Comcast Corp. (Media)      4.65   7/15/42   21 
 20   Consolidated Edison Co. of New York, Inc., Series 2008-B (Multi-Utilities)      6.75   4/1/38   21 
 115   Constellation Brands, Inc. (Beverages), Callable 2/1/30 @ 100.00     2.88   5/1/30   97 
 115   CSX Corp. (Ground Transportation)      6.22   4/30/40   118 
 120   CVS Health Corp. (Health Care Providers & Services), Callable 9/25/37 @ 100.00     4.78   3/25/38   103 
 60   CVS Health Corp. (Health Care Providers & Services), Callable 1/20/45 @ 100.00     5.13   7/20/45   51 
 70   Dell International LLC/EMC Corp. (Technology Hardware, Storage & Peripherals), Callable 8/1/26 @ 100.00     4.90   10/1/26   68 
 93   Devon Energy Corp. (Oil, Gas & Consumable Fuels), Callable 1/15/41 @ 100.00     5.60   7/15/41   82 
 60   Digital Realty Trust LP (Specialized REITs), Callable 4/15/28 @ 100.00     4.45   7/15/28   56 
 35   Duke Energy Carolinas LLC (Electric Utilities), Callable 6/15/41 @ 100.00     4.25   12/15/41   28 
 25   Duke Energy Progress LLC (Electric Utilities), Callable 2/15/45 @ 100.00     4.20   8/15/45   19 
 225   Eastern Energy Gas Holdings LLC (Multi-Utilities), Callable 9/15/24 @ 100.00     3.60   12/15/24   218 
 50   EIDP, Inc. (Chemicals), Callable 2/15/33 @ 100.00     4.80   5/15/33   46 
 40   Elevance Health, Inc. (Health Care Providers & Services), Callable 2/15/30 @ 100.00     2.25   5/15/30   32 
 60   Elevance Health, Inc. (Health Care Providers & Services)      4.65   1/15/43   50 
 95   Energy Transfer LP (Oil, Gas & Consumable Fuels), Callable 7/15/42 @ 100.00     4.95   1/15/43   74 
 5   Energy Transfer LP (Oil, Gas & Consumable Fuels), Callable 3/15/28 @ 100.00     4.95   6/15/28   5 
 139   Enterprise Products Operating LLC (Oil, Gas & Consumable Fuels), Callable 9/15/43 @ 100.00     4.85   3/15/44   119 
 164   FedEx Corp. Pass Through Trust, Series 2020-1, Class - AA (Air Freight & Logistics)      1.88   2/20/34   130 
 45   Fiserv, Inc. (Financial Services), Callable 12/2/32 @ 100.00     5.60   3/2/33   44 
 45   General Motors Co. (Automobiles), Callable 9/1/25 @ 100.00     6.13   10/1/25   45 
 55   General Motors Financial Co., Inc. (Consumer Finance), Callable 1/26/25 @ 100.00     2.90   2/26/25   53 
 125   General Motors Financial Co., Inc. (Specialty Retail), Callable 2/6/30 @ 100.00     5.85   4/6/30   120 
 70   Georgia Power Co. (Electric Utilities)      4.30   3/15/42   56 
 46   Gilead Sciences, Inc. (Biotechnology), Callable 8/1/44 @ 100.00     4.50   2/1/45   38 
 150   HCA, Inc. (Health Care Providers & Services)      5.38   2/1/25   148 
 35   HCA, Inc. (Health Care Providers & Services), Callable 3/1/33 @ 100.00     5.50   6/1/33   33 
 40   Intel Corp. (Semiconductors & Semiconductor Equipment), Callable 6/8/47 @ 100.00     3.73   12/8/47   28 
 100   Intel Corp. (Semiconductors & Semiconductor Equipment), Callable 11/10/32 @ 100.00     5.20   2/10/33   97 
 50   International Business Machines Corp. (IT Services)      4.00   6/20/42   39 
 40   International Paper Co. (Containers & Packaging), Callable 5/15/41 @ 100.00     6.00   11/15/41   38 
 115   JPMorgan Chase & Co. (Banks), Callable 4/22/31 @ 100.00     2.58 (TSFR3M + 125 bps)(c)   4/22/32   91 
 500   JPMorgan Chase & Co. (Banks), Callable 4/23/28 @ 100.00     4.01 (TSFR3M + 138 bps)(c)   4/23/29   460 
 100   Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels), Callable 12/1/44 @ 100.00     5.55   6/1/45   86 
 80   Lincoln National Corp. (Insurance), Callable 10/15/30 @ 100.00     3.40   1/15/31   65 
 105   Lincoln National Corp. (Insurance), Callable 12/1/27 @ 100.00     3.80   3/1/28   95 
 70   Lowe's Cos., Inc. (Specialty Retail), Callable 1/15/33 @ 100.00     5.00   4/15/33   66 
 20   LYB International Finance BV (Chemicals), Callable 9/15/43 @ 100.00     4.88   3/15/44   16 
 70   Martin Marietta Materials, Inc., Series CB (Construction Materials), Callable 12/15/29 @ 100.00     2.50   3/15/30   57 
 80   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 1/15/31 @ 100.00     2.95   4/15/31   65 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$25   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 6/15/33 @ 100.00     5.95   9/15/33  $25 
 190   Microchip Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 11/6/23 @ 101.06     4.25   9/1/25   184 
 110   Microsoft Corp. (Software), Callable 2/8/46 @ 100.00     3.70   8/8/46   86 
 55   Mohawk Industries, Inc. (Household Durables), Callable 2/15/30 @ 100.00     3.63   5/15/30   48 
 405   Morgan Stanley, MTN  (Capital Markets), Callable 7/20/26 @ 100.00     1.51 (SOFR + 86 bps)(c)   7/20/27   357 
 225   Morgan Stanley, MTN  (Capital Markets), Callable 1/23/29 @ 100.00     4.43 (TSFR3M + 189 bps)(c)   1/23/30   208 
 95   National Rural Utilities Cooperative Finance Corp. (Financial Services), Callable 7/15/32 @ 100.00     5.80   1/15/33   95 
 80   NextEra Energy Capital Holdings, Inc. (Electric Utilities), Callable 11/28/32 @ 100.00     5.05   2/28/33   74 
 40   NextEra Energy Capital Holdings, Inc. (Electric Utilities), Callable 8/28/52 @ 100.00     5.25   2/28/53   35 
 85   NNN REIT, Inc. (Retail REITs), Callable 1/15/30 @ 100.00     2.50   4/15/30   69 
 75   Northrop Grumman Corp. (Aerospace & Defense), Callable 4/15/47 @ 100.00     4.03   10/15/47   57 
 50   Nucor Corp. (Metals & Mining), Callable 2/1/43 @ 100.00     5.20   8/1/43   46 
 20   Oklahoma Gas and Electric Co. (Electric Utilities), Callable 7/15/32 @ 100.00     5.40   1/15/33   19 
 60   Oklahoma Gas and Electric Co. (Electric Utilities), Callable 10/1/52 @ 100.00     5.60   4/1/53   56 
 70   Oracle Corp. (Software), Callable 11/15/44 @ 100.00     4.13   5/15/45   51 
 165   Ovintiv Exploration, Inc. (Oil, Gas & Consumable Fuels), Callable 10/1/25 @ 100.00     5.38   1/1/26   163 
 100   Pfizer Investment Enterprises Pte Ltd. (Capital Markets), Callable 11/19/42 @ 100.00     5.11   5/19/43   92 
 80   Philip Morris International, Inc. (Tobacco)      4.50   3/20/42   64 
 70   Principal Financial Group, Inc. (Insurance), Callable 3/15/30 @ 100.00     2.13   6/15/30   56 
 85   Progress Energy, Inc. (Electric Utilities)      6.00   12/1/39   82 
 55   Prudential Financial, Inc. (Insurance)      4.60   5/15/44   46 
 15   Prudential Financial, Inc. (Insurance)      6.63   6/21/40   15 
 30   Public Service Electric & Gas Co. (Electric Utilities), Callable 3/1/42 @ 100.00     3.65   9/1/42   23 
 50   Raytheon Technologies Corp. (Aerospace & Defense)      4.50   6/1/42   41 
 95   Reliance Steel & Aluminum Co. (Metals & Mining), Callable 7/15/25 @ 100.00     1.30   8/15/25   87 
 70   Reliance Steel & Aluminum Co. (Metals & Mining), Callable 5/15/30 @ 100.00     2.15   8/15/30   55 
 70   RELX Capital, Inc. (Professional Services), Callable 2/22/30 @ 100.00     3.00   5/22/30   60 
 45   Roper Technologies, Inc. (Software), Callable 3/30/30 @ 100.00     2.00   6/30/30   36 
 70   Sabra Health Care LP (Health Care REITs), Callable 9/1/31 @ 100.00     3.20   12/1/31   52 
 80   Southern Co. Gas Capital Corp. (Electric Utilities), Callable 11/30/46 @ 100.00     4.40   5/30/47   61 
 55   Southwest Airlines Co. (Passenger Airlines), Callable 4/15/27 @ 100.00     5.13   6/15/27   54 
 150   TCI Communications, Inc. (Media)      7.88   2/15/26   157 
 420   The Goldman Sachs Group, Inc. (Capital Markets), Callable 6/5/27 @ 100.00     3.69 (TSFR3M + 177 bps)(c)   6/5/28   388 
 55   The Home Depot, Inc. (Specialty Retail), Callable 6/6/48 @ 100.00     4.50   12/6/48   46 
 40   The Home Depot, Inc. (Specialty Retail), Callable 3/15/40 @ 100.00     5.40   9/15/40   38 
 125   The Interpublic Group of Cos., Inc. (Media)      4.20   4/15/24   124 
 25   The Interpublic Group of Cos., Inc. (Media), Callable 4/1/48 @ 100.00     5.40   10/1/48   21 
 60   The Travelers Cos., Inc. (Insurance)      5.35   11/1/40   57 
 90   The Walt Disney Co. (Entertainment), Callable 3/15/44 @ 100.00     4.75   9/15/44   76 
 80   T-Mobile US, Inc. (Wireless Telecommunication Services), Callable 10/16/23 @ 101.13     2.25   2/15/26   74 
 60   T-Mobile US, Inc. (Wireless Telecommunication Services), Callable 7/15/52 @ 100.00     5.65   1/15/53   55 
 25   UDR, Inc. (Residential REITs), Callable 5/15/31 @ 100.00     3.00   8/15/31   20 
 45   UnitedHealth Group, Inc. (Health Care Providers & Services), Callable 5/15/41 @ 100.00     4.63   11/15/41   38 
 35   UnitedHealth Group, Inc. (Health Care Providers & Services)      4.75   7/15/45   30 
 70   Valero Energy Corp. (Oil, Gas & Consumable Fuels)      6.63   6/15/37   72 
 25   Ventas Realty LP (Health Care REITs), Callable 11/1/24 @ 100.00     3.50   2/1/25   24 
 120   Ventas Realty LP (Diversified REITs), Callable 2/1/24 @ 100.00     3.75   5/1/24   118 
 40   Ventas Realty LP (Real Estate Management & Development), Callable 10/15/28 @ 100.00     4.40   1/15/29   37 
 40   Verizon Communications, Inc. (Diversified Telecommunication Services), Callable 12/15/31 @ 100.00     2.36   3/15/32   30 
 207   Verizon Communications, Inc. (Diversified Telecommunication Services), Callable 9/22/40 @ 100.00     3.40   3/22/41   147 
 55   Verizon Communications, Inc. (Diversified Telecommunication Services)      4.33   9/21/28   52 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$85   Virginia Electric and Power Co., Series B (Electric Utilities), Callable 3/15/47 @ 100.00     3.80   9/15/47  $61 
 80   Warnermedia Holdings, Inc. (Diversified Telecommunication Services), Callable 12/15/31 @ 100.00     4.28   3/15/32   68 
 220   Wells Fargo & Co., MTN  (Banks), Callable 10/30/29 @ 100.00     2.88 (TSFR3M + 143 bps)(c)   10/30/30   183 
 210   Wells Fargo & Co., MTN  (Banks), Callable 5/22/27 @ 100.00     3.58 (TSFR3M + 157 bps)(c)   5/22/28   192 
 55   Wells Fargo & Co. (Banks), Callable 7/25/32 @ 100.00     4.90 (SOFR + 210 bps)(c)   7/25/33   50 
 55   WestRock MWV LLC (Containers & Packaging)      8.20   1/15/30   61 
 55   XTO Energy, Inc. (Oil, Gas & Consumable Fuels)      6.75   8/1/37   59 
     Total Corporate Bonds            10,438 
                   
     U.S. Treasury Obligations — 29.07%             
 15   U.S. Treasury Bond    1.13   5/15/40   9 
 8   U.S. Treasury Bond    1.13   8/15/40   5 
 125   U.S. Treasury Bond    1.25   5/15/50   59 
 145   U.S. Treasury Bond    1.38   8/15/50   71 
 133   U.S. Treasury Bond    1.38   11/15/40   79 
 140   U.S. Treasury Bond    1.63   11/15/50   73 
 100   U.S. Treasury Bond    1.75   8/15/41   62 
 156   U.S. Treasury Bond    1.88   2/15/51   87 
 148   U.S. Treasury Bond    1.88   11/15/51   83 
 140   U.S. Treasury Bond    1.88   2/15/41   90 
 145   U.S. Treasury Bond    2.00   11/15/41   94 
 106   U.S. Treasury Bond    2.00   2/15/50   62 
 159   U.S. Treasury Bond    2.00   8/15/51   92 
 100   U.S. Treasury Bond    2.25   5/15/41   69 
 117   U.S. Treasury Bond    2.25   8/15/46   74 
 173   U.S. Treasury Bond    2.25   2/15/52   106 
 101   U.S. Treasury Bond    2.25   8/15/49   63 
 110   U.S. Treasury Bond    2.38   2/15/42   76 
 96   U.S. Treasury Bond    2.38   11/15/49   61 
 110   U.S. Treasury Bond    2.38   5/15/51   70 
 75   U.S. Treasury Bond    2.50   5/15/46   50 
 80   U.S. Treasury Bond    2.50   2/15/46   54 
 60   U.S. Treasury Bond    2.50   2/15/45   41 
 10   U.S. Treasury Bond    2.75   11/15/42   7 
 55   U.S. Treasury Bond    2.75   8/15/47   38 
 80   U.S. Treasury Bond    2.75   11/15/47   56 
 147   U.S. Treasury Bond    2.88   5/15/52   104 
 50   U.S. Treasury Bond    2.88   8/15/45   36 
 94   U.S. Treasury Bond    2.88   5/15/49   67 
 65   U.S. Treasury Bond    2.88   11/15/46   47 
 75   U.S. Treasury Bond    2.88   5/15/43   56 
 95   U.S. Treasury Bond    3.00   8/15/48   69 
 50   U.S. Treasury Bond    3.00   2/15/48   37 
 90   U.S. Treasury Bond    3.00   2/15/49   66 
 115   U.S. Treasury Bond    3.00   8/15/52   84 
 50   U.S. Treasury Bond    3.00   11/15/45   37 
 75   U.S. Treasury Bond    3.00   2/15/47   55 
 55   U.S. Treasury Bond    3.00   5/15/47   40 
 45   U.S. Treasury Bond    3.00   5/15/45   33 
 100   U.S. Treasury Bond    3.00   11/15/44   75 
 90   U.S. Treasury Bond    3.13   2/15/43   70 
 22   U.S. Treasury Bond    3.13   8/15/44   17 
 80   U.S. Treasury Bond    3.13   5/15/48   60 
 25   U.S. Treasury Bond    3.13   11/15/41   20 
 125   U.S. Treasury Bond    3.25   5/15/42   100 
 75   U.S. Treasury Bond    3.38   5/15/44   60 
 10   U.S. Treasury Bond    3.38   8/15/42   8 
 30   U.S. Treasury Bond    3.38   11/15/48   24 
 8   U.S. Treasury Bond    3.50   2/15/39   7 
 75   U.S. Treasury Bond    3.63   8/15/43   63 
 100   U.S. Treasury Bond    3.63   2/15/44   83 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$100   U.S. Treasury Bond    3.63   5/15/53  $83 
 98   U.S. Treasury Bond    3.63   2/15/53   81 
 75   U.S. Treasury Bond    3.75   11/15/43   64 
 33   U.S. Treasury Bond    3.75   8/15/41   29 
 30   U.S. Treasury Bond    3.88   2/15/43   26 
 25   U.S. Treasury Bond    3.88   5/15/43   22 
 10   U.S. Treasury Bond    3.88   8/15/40   9 
 73   U.S. Treasury Bond    4.00   11/15/52   65 
 25   U.S. Treasury Bond    4.00   11/15/42   22 
 50   U.S. Treasury Bond    4.13   8/15/53   45 
 100   U.S. Treasury Bond    4.25   11/15/40   93 
 30   U.S. Treasury Bond    4.38   8/15/43   28 
 25   U.S. Treasury Bond    4.38   2/15/38   24 
 15   U.S. Treasury Bond    4.38   5/15/40   14 
 25   U.S. Treasury Bond    4.38   11/15/39   24 
 35   U.S. Treasury Bond    4.38   5/15/41   33 
 65   U.S. Treasury Bond    4.50   2/15/36   65 
 35   U.S. Treasury Bond    4.63   2/15/40   34 
 25   U.S. Treasury Bond    4.75   2/15/37   25 
 70   U.S. Treasury Bond    4.75   2/15/41   69 
 40   U.S. Treasury Bond    5.00   5/15/37   42 
 20   U.S. Treasury Bond    5.25   2/15/29   20 
 40   U.S. Treasury Bond    5.38   2/15/31   42 
 25   U.S. Treasury Bond    6.00   2/15/26   25 
 60   U.S. Treasury Bond    6.13   11/15/27   63 
 25   U.S. Treasury Bond    6.13   8/15/29   27 
 35   U.S. Treasury Bond    6.25   5/15/30   38 
 15   U.S. Treasury Bond    6.50   11/15/26   16 
 15   U.S. Treasury Bond    7.63   2/15/25   15 
 55   U.S. Treasury Note    0.25   9/30/25   50 
 60   U.S. Treasury Note    0.25   8/31/25   55 
 30   U.S. Treasury Note    0.25   7/31/25   27 
 75   U.S. Treasury Note    0.25   10/31/25   68 
 50   U.S. Treasury Note    0.25   5/31/25   46 
 82   U.S. Treasury Note    0.38   1/31/26   74 
 60   U.S. Treasury Note    0.38   11/30/25   54 
 25   U.S. Treasury Note    0.38   12/31/25   23 
 80   U.S. Treasury Note    0.38   4/30/25   74 
 35   U.S. Treasury Note    0.38   9/30/27   30 
 115   U.S. Treasury Note    0.38   7/31/27   98 
 130   U.S. Treasury Note    0.50   2/28/26   117 
 105   U.S. Treasury Note    0.50   6/30/27   90 
 100   U.S. Treasury Note    0.50   10/31/27   85 
 5   U.S. Treasury Note    0.50   4/30/27   4 
 100   U.S. Treasury Note    0.50   8/31/27   85 
 195   U.S. Treasury Note    0.63   5/15/30   151 
 80   U.S. Treasury Note    0.63   12/31/27   68 
 120   U.S. Treasury Note    0.63   10/15/24   114 
 140   U.S. Treasury Note    0.63   7/31/26   125 
 85   U.S. Treasury Note    0.63   11/30/27   72 
 5   U.S. Treasury Note    0.63   3/31/27   4 
 250   U.S. Treasury Note    0.63   8/15/30   192 
 120   U.S. Treasury Note    0.75   1/31/28   102 
 150   U.S. Treasury Note    0.75   5/31/26   135 
 125   U.S. Treasury Note    0.75   4/30/26   113 
 100   U.S. Treasury Note    0.75   11/15/24   95 
 42   U.S. Treasury Note    0.75   8/31/26   37 
 145   U.S. Treasury Note    0.75   3/31/26   131 
 60   U.S. Treasury Note    0.88   6/30/26   54 
 145   U.S. Treasury Note    0.88   9/30/26   129 
 185   U.S. Treasury Note    0.88   11/15/30   144 
 135   U.S. Treasury Note    1.00   12/15/24   128 
 85   U.S. Treasury Note    1.00   7/31/28   72 
 10   U.S. Treasury Note    1.13   2/28/27   9 
 70   U.S. Treasury Note    1.13   2/28/25   66 
 135   U.S. Treasury Note    1.13   1/15/25   128 
 155   U.S. Treasury Note    1.13   2/29/28   133 
 145   U.S. Treasury Note    1.13   10/31/26   130 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$251   U.S. Treasury Note    1.13   2/15/31  $197 
 125   U.S. Treasury Note    1.13   8/31/28   106 
 65   U.S. Treasury Note    1.25   6/30/28   56 
 145   U.S. Treasury Note    1.25   12/31/26   130 
 130   U.S. Treasury Note    1.25   3/31/28   112 
 90   U.S. Treasury Note    1.25   4/30/28   77 
 270   U.S. Treasury Note    1.25   8/15/31   210 
 100   U.S. Treasury Note    1.25   5/31/28   86 
 120   U.S. Treasury Note    1.25   9/30/28   102 
 150   U.S. Treasury Note    1.25   11/30/26   135 
 80   U.S. Treasury Note    1.38   12/31/28   68 
 197   U.S. Treasury Note    1.38   11/15/31   154 
 120   U.S. Treasury Note    1.38   10/31/28   102 
 63   U.S. Treasury Note    1.50   2/15/30   52 
 185   U.S. Treasury Note    1.50   1/31/27   167 
 85   U.S. Treasury Note    1.50   2/15/25   81 
 85   U.S. Treasury Note    1.50   11/30/28   73 
 90   U.S. Treasury Note    1.50   11/30/24   86 
 140   U.S. Treasury Note    1.50   8/15/26   128 
 195   U.S. Treasury Note    1.63   5/15/31   158 
 60   U.S. Treasury Note    1.63   2/15/26   56 
 130   U.S. Treasury Note    1.63   5/15/26   120 
 130   U.S. Treasury Note    1.63   8/15/29   110 
 70   U.S. Treasury Note    1.63   9/30/26   64 
 88   U.S. Treasury Note    1.75   12/31/24   84 
 20   U.S. Treasury Note    1.75   12/31/26   18 
 75   U.S. Treasury Note    1.75   3/15/25   71 
 120   U.S. Treasury Note    1.75   11/15/29   102 
 90   U.S. Treasury Note    1.75   1/31/29   78 
 25   U.S. Treasury Note    1.88   6/30/26   23 
 75   U.S. Treasury Note    1.88   7/31/26   69 
 75   U.S. Treasury Note    1.88   2/28/29   65 
 180   U.S. Treasury Note    1.88   2/28/27   164 
 247   U.S. Treasury Note    1.88   2/15/32   200 
 160   U.S. Treasury Note    2.00   11/15/26   147 
 140   U.S. Treasury Note    2.00   8/15/25   132 
 170   U.S. Treasury Note    2.00   2/15/25   163 
 85   U.S. Treasury Note    2.13   5/15/25   81 
 50   U.S. Treasury Note    2.13   11/30/24   48 
 85   U.S. Treasury Note    2.13   5/31/26   79 
 165   U.S. Treasury Note    2.25   2/15/27   152 
 125   U.S. Treasury Note    2.25   11/15/24   121 
 150   U.S. Treasury Note    2.25   11/15/27   136 
 95   U.S. Treasury Note    2.25   11/15/25   90 
 160   U.S. Treasury Note    2.25   8/15/27   146 
 55   U.S. Treasury Note    2.25   10/31/24   53 
 80   U.S. Treasury Note    2.25   3/31/26   75 
 55   U.S. Treasury Note    2.25   12/31/24   53 
 80   U.S. Treasury Note    2.38   4/30/26   75 
 120   U.S. Treasury Note    2.38   5/15/29   107 
 140   U.S. Treasury Note    2.38   5/15/27   129 
 70   U.S. Treasury Note    2.38   3/31/29   62 
 80   U.S. Treasury Note    2.50   3/31/27   74 
 60   U.S. Treasury Note    2.50   2/28/26   57 
 45   U.S. Treasury Note    2.63   5/31/27   42 
 75   U.S. Treasury Note    2.63   3/31/25   72 
 90   U.S. Treasury Note    2.63   12/31/25   86 
 165   U.S. Treasury Note    2.63   2/15/29   149 
 55   U.S. Treasury Note    2.63   7/31/29   49 
 85   U.S. Treasury Note    2.63   1/31/26   81 
 70   U.S. Treasury Note    2.63   4/15/25   67 
 60   U.S. Treasury Note    2.75   5/31/29   54 
 90   U.S. Treasury Note    2.75   6/30/25   86 
 218   U.S. Treasury Note    2.75   8/15/32   189 
 66   U.S. Treasury Note    2.75   7/31/27   61 
 85   U.S. Treasury Note    2.75   8/31/25   81 
 75   U.S. Treasury Note    2.75   4/30/27   70 
 65   U.S. Treasury Note    2.75   5/15/25   63 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$105   U.S. Treasury Note    2.75   2/15/28  $97 
 90   U.S. Treasury Note    2.75   2/28/25   87 
 65   U.S. Treasury Note    2.88   4/30/29   59 
 90   U.S. Treasury Note    2.88   4/30/25   87 
 125   U.S. Treasury Note    2.88   8/15/28   115 
 238   U.S. Treasury Note    2.88   5/15/32   208 
 160   U.S. Treasury Note    2.88   5/15/28   148 
 90   U.S. Treasury Note    2.88   11/30/25   86 
 75   U.S. Treasury Note    2.88   7/31/25   72 
 65   U.S. Treasury Note    2.88   6/15/25   63 
 85   U.S. Treasury Note    3.00   9/30/25   82 
 85   U.S. Treasury Note    3.00   10/31/25   82 
 60   U.S. Treasury Note    3.00   7/15/25   58 
 140   U.S. Treasury Note    3.13   11/15/28   130 
 65   U.S. Treasury Note    3.13   8/31/27   61 
 55   U.S. Treasury Note    3.13   8/31/29   51 
 60   U.S. Treasury Note    3.13   8/15/25   58 
 70   U.S. Treasury Note    3.25   6/30/27   67 
 60   U.S. Treasury Note    3.25   6/30/29   56 
 195   U.S. Treasury Note    3.38   5/15/33   177 
 70   U.S. Treasury Note    3.50   4/30/30   66 
 170   U.S. Treasury Note    3.50   2/15/33   156 
 70   U.S. Treasury Note    3.50   1/31/30   66 
 90   U.S. Treasury Note    3.50   1/31/28   86 
 85   U.S. Treasury Note    3.50   9/15/25   83 
 85   U.S. Treasury Note    3.50   4/30/28   81 
 80   U.S. Treasury Note    3.63   5/15/26   78 
 70   U.S. Treasury Note    3.63   3/31/30   66 
 90   U.S. Treasury Note    3.63   5/31/28   86 
 90   U.S. Treasury Note    3.63   3/31/28   86 
 70   U.S. Treasury Note    3.75   5/31/30   66 
 70   U.S. Treasury Note    3.75   6/30/30   66 
 80   U.S. Treasury Note    3.75   4/15/26   78 
 135   U.S. Treasury Note    3.88   8/15/33   128 
 85   U.S. Treasury Note    3.88   3/31/25   83 
 85   U.S. Treasury Note    3.88   4/30/25   83 
 75   U.S. Treasury Note    3.88   11/30/29   72 
 75   U.S. Treasury Note    3.88   12/31/29   72 
 90   U.S. Treasury Note    3.88   12/31/27   87 
 80   U.S. Treasury Note    3.88   1/15/26   78 
 75   U.S. Treasury Note    3.88   9/30/29   72 
 90   U.S. Treasury Note    3.88   11/30/27   87 
 105   U.S. Treasury Note    4.00   10/31/29   101 
 80   U.S. Treasury Note    4.00   2/15/26   78 
 85   U.S. Treasury Note    4.00   12/15/25   83 
 40   U.S. Treasury Note    4.00   2/29/28   39 
 45   U.S. Treasury Note    4.00   7/31/30   43 
 85   U.S. Treasury Note    4.00   6/30/28   83 
 70   U.S. Treasury Note    4.00   2/28/30   68 
 80   U.S. Treasury Note    4.13   6/15/26   79 
 85   U.S. Treasury Note    4.13   7/31/28   83 
 90   U.S. Treasury Note    4.13   10/31/27   88 
 90   U.S. Treasury Note    4.13   9/30/27   88 
 85   U.S. Treasury Note    4.13   1/31/25   84 
 142   U.S. Treasury Note    4.13   11/15/32   137 
 70   U.S. Treasury Note    4.13   8/31/30   68 
 85   U.S. Treasury Note    4.25   12/31/24   84 
 85   U.S. Treasury Note    4.25   10/15/25   84 
 85   U.S. Treasury Note    4.25   5/31/25   84 
 90   U.S. Treasury Note    4.38   10/31/24   89 
 85   U.S. Treasury Note    4.38   8/15/26   84 
 95   U.S. Treasury Note    4.38   8/31/28   94 
 80   U.S. Treasury Note    4.50   7/15/26   79 
 85   U.S. Treasury Note    4.50   11/15/25   84 
 90   U.S. Treasury Note    4.50   11/30/24   89 
 90   U.S. Treasury Note    4.63   9/15/26   90 
 85   U.S. Treasury Note    4.63   6/30/25   84 
 100   U.S. Treasury Note    4.63   9/30/28   100 

 

 

HC CAPITAL TRUST 

The Core Fixed Income Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$85   U.S. Treasury Note    4.63   2/28/25  $84 
 80   U.S. Treasury Note    4.63   3/15/26   79 
 75   U.S. Treasury Note    4.63   9/30/30   75 
 85   U.S. Treasury Note    4.75   7/31/25   84 
 90   U.S. Treasury Note    5.00   8/31/25   90 
 95   U.S. Treasury Note    5.00   9/30/25   95 
     Total U.S. Treasury Obligations            20,382 
                   
     Yankee Dollars — 1.58%             
 45   America Movil SAB de CV (Wireless Telecommunication Services)      6.13   11/15/37   46 
 35   BHP Billiton Finance USA Ltd. (Metals & Mining)      5.00   9/30/43   32 
 64   British Telecommunications PLC (Diversified Telecommunication Services)      9.63   12/15/30   75 
 170   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels), Callable 6/15/25 @ 100.00     2.05   7/15/25   160 
 45   Canadian Pacific Railway Co. (Transportation Infrastructure)      7.13   10/15/31   48 
 40   Deutsche Telekom International Finance BV (Diversified Telecommunication Services)      8.75   6/15/30   46 
 90   Diageo Capital PLC (Financial Services)      5.88   9/30/36   91 
 80   Enbridge, Inc. (Oil, Gas & Consumable Fuels), Callable 2/1/51 @ 100.00     3.40   8/1/51   50 
 105   Equinor ASA (Oil, Gas & Consumable Fuels)      5.10   8/17/40   98 
 75   Iberdrola International BV (Electric Utilities)      5.81   3/15/25   75 
 80   Iberdrola International BV (Electric Utilities)      6.75   7/15/36   84 
 40   Nutrien Ltd. (Chemicals), Callable 2/13/30 @ 100.00     2.95   5/13/30   33 
 60   Orange SA (Diversified Telecommunication Services)      9.00   3/1/31   71 
 70   Shell International Finance BV (Financial Services)      4.55   8/12/43   59 
 35   Telefonica Emisiones SA (Diversified Telecommunication Services)      7.05   6/20/36   36 
 70   The Toronto-Dominion Bank (Banks)      3.20   3/10/32   57 
 25   Vodafone Group PLC (Wireless Telecommunication Services)      4.13   5/30/25   24 
 25   Vodafone Group PLC (Wireless Telecommunication Services)      6.15   2/27/37   25 
     Total Yankee Dollars            1,110 
                   
Shares                 
     Exchange-Traded Fund — 33.86%             
 415,524   Vanguard Intermediate-Term Treasury ETF            23,746 
     Total Exchange-Traded Fund            23,746 
                   
     Investment Companies — 6.96%             
 111,704   State Street Institutional Treasury Money Market Fund, Premier Class    5.28(d)      112 
 4,770,362   State Street Institutional Treasury Plus Money Market Fund, Trust Class    5.23(d)      4,770 
     Total Investment Companies            4,882 
                   
     Total Investments (cost $76,751) — 100.66%            70,582 
     Liabilities in excess of other assets — (0.66)%            (460)
     Net Assets — 100.00%           $70,122 

 

Amounts designated as "—" are $0 or have been rounded to $0.                             

 

(a) The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security.  The rate disclosed is the rate in effect on September 30, 2023.
(b) Zero Coupon Security. Effective rate shown is as of September 30, 2023.
(c) Variable Rate Security. The rate disclosed is the rate in effect on September 30, 2023.
(d) Annualized 7-day yield as of period-end.

 

bps—Basis Points
ETF—Exchange-Traded Fund
MTN—Medium Term Note
REIT—Real Estate Investment Trust
SOFR—Secured Overnight Financing Rate
TBA—To Be Announced purchase or sale commitment. Security is subject to delayed delivery
TSFR3M—3 Month SOFR

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Core Fixed Income Portfolio  Agincourt Capital Management, LLC   Mellon Investments Corporation   Parametric Portfolio Associates, LLC   HC Capital Solutions   Total 
Asset Backed Securities   -    0.20%   -    -    0.20%
Collateralized Mortgage Obligations   -    0.84%   -    -    0.84%
U.S. Government Agency Mortgages   -    12.50%   -    -    12.50%
U.S. Government Agency Securities   -    0.76%   -    -    0.76%
Corporate Bonds   14.89%   -    -    -    14.89%
U.S. Treasury Obligations   -    29.07%   -    -    29.07%
Yankee Dollars   1.58%   -    -    -    1.58%
Exchange Traded Fund   -    -    33.86%   -    33.86%
Investment Companies   0.16%   1.13%   0.55%   5.12%   6.96%
Other Assets (Liabilities)   0.19%   -0.85%   -    -    -0.66%
     Total Net Assets   16.82%   43.65%   34.41%   5.12%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

 

HC CAPITAL TRUST 

The Corporate Opportunities Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Shares   Security Description  Rate %   Value
(000)
 
     Common Stock — 0.00%          
 1,740,900   ACC Claims Holding LLC (Financial Services) ^(a)(b)        $ 
     Total Common Stock          
                
     Investment Companies — 97.85%          
 129,168   Apollo Senior Floating Rate Fund, Inc.         1,736 
 111,376   Apollo Tactical Income Fund, Inc.         1,489 
 89,037   BlackRock Debt Strategies Fund, Inc.         914 
 241,483   BlackRock Floating Rate Income Trust         2,912 
 374,047   Blackstone Strategic Credit Term Fund         4,111 
 233,055   Eaton Vance, Ltd. Duration Income Fund         2,107 
 1,177,000   Federated Hermes Treasury Obligations Fund, Institutional Shares^^    4.99(c)   1,177 
 102,040   First Trust High Income Long/Short Fund         1,094 
 293,165   First Trust High Yield Opportunities 2027 Term Fund         3,905 
 370,522   First Trust Senior Floating Rate Income Fund II         3,705 
 427,113   Franklin, Ltd. Duration Income Trust         2,601 
 793,163   Nuveen Credit Strategies Income Fund         4,013 
 531,802   Nuveen Floating Rate Income Fund Closed End Fund         4,367 
 341,503   PGIM Global High Yield Fund, Inc.         3,681 
 312,695   PGIM High Yield Bond Fund, Inc.         3,684 
 300,138   PGIM Short Duration High Yield Opportunities Fund         4,350 
 139,911,427   State Street Institutional Treasury Plus Money Market Fund, Trust Class    5.23(c)   139,911 
 1,338,196   State Street Institutional U.S. Government Money Market Fund, Administrative Class    5.04(c)   1,338 
 296,034   Western Asset Diversified Income Fund         3,919 
 403,530   Western Asset High Income Opportunity Fund, Inc.         1,469 
 227,736   Western Asset High Yield Defined Opportunity Fund, Inc.         2,617 
     Total Investment Companies         195,100 
                
     Total Investments (cost $196,384) — 97.85%         195,100 
     Other assets in excess of liabilities — 2.15%         4,281 
     Net Assets — 100.00%        $199,381 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending.
(a) Escrow security due to bankruptcy.
(b) Security was valued using significant unobservable inputs as of September 30, 2023.
(c) Annualized 7-day yield as of period-end.

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Corporate Opportunities Portfolio  City of London Investment Management Company, Limited   Parametric Portfolio Associates, LLC   HC Capital Solutions   Total 
Common Stock   -    -    0.00%   0.00%
Investment Companies   27.09%   70.16%   0.60%   97.85%
Other Assets (Liabilities)   0.38%   2.34%   -0.57%   2.15%
     Total Net Assets   27.47%   72.50%   0.03%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category.

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*

 

Description  Number of
Contracts
   Expiration Date   Notional Amount
(000)
   Value and Unrealized Appreciation/ (Depreciation)
(000)
 
5 Year US Treasury Note Future    835   12/29/23   $87,975   $(894)
E-Mini S&P 500 Future    261   12/15/23    56,448    (2,606)
            $144,423   $(3,500)
           
    Total Unrealized Appreciation    $ 
    Total Unrealized Depreciation     (3,500)
    Total Net Unrealized Appreciation/(Depreciation)    $(3,500)

 

   
*Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Securities — 1.13%             
$200   Fannie Mae    0.38   8/25/25  $183 
 650   Fannie Mae    0.50   6/17/25   600 
 400   Fannie Mae    0.50   11/7/25   364 
 150   Fannie Mae    0.63   4/22/25   140 
 550   Fannie Mae    0.75   10/8/27   470 
 100   Fannie Mae, Callable 12/18/23 @ 100.00    0.88   12/18/26   88 
 200   Fannie Mae    0.88   8/5/30   154 
 100   Fannie Mae    1.88   9/24/26   92 
 150   Fannie Mae    2.13   4/24/26   140 
 95   Fannie Mae    6.25   5/15/29   102 
 160   Fannie Mae    6.63   11/15/30   177 
 180   Fannie Mae    7.25   5/15/30   204 
 500   Federal Farm Credit Bank    0.88   11/18/24   475 
 250   Federal Farm Credit Bank    1.13   1/6/25   237 
 75   Federal Farm Credit Bank, Callable 10/13/23 @ 100.00    1.24   12/23/30   57 
 468   Federal Farm Credit Bank, Callable 10/13/23 @ 100.00    1.55   7/26/30   370 
 250   Federal Farm Credit Bank    1.75   2/14/25   238 
 300   Federal Farm Credit Bank    4.38   7/6/26   295 
 100   Federal Farm Credit Bank    4.50   8/14/26   99 
 200   Federal Farm Credit Bank    4.75   5/28/26   199 
 300   Federal Home Loan Bank    0.38   9/4/25   274 
 700   Federal Home Loan Bank    0.50   4/14/25   652 
 70   Federal Home Loan Bank, Callable 10/27/23 @ 100.00    1.00   7/27/26   63 
 100   Federal Home Loan Bank    1.25   12/21/26   89 
 300   Federal Home Loan Bank    3.25   6/9/28   281 
 800   Federal Home Loan Bank, Series 2, Callable 11/28/23 @ 100.00    4.00   8/28/25   781 
 300   Federal Home Loan Bank    4.00   6/30/28   291 
 200   Federal Home Loan Bank    4.38   6/12/26   197 
 165   Federal Home Loan Bank    5.50   7/15/36   174 
 100   Freddie Mac, Series 1    0.00(a)  11/15/38   46 
 650   Freddie Mac    0.38   7/21/25   597 
 500   Freddie Mac    0.38   9/23/25   456 
 400   Freddie Mac, Callable 10/27/23 @ 100.00    0.80   10/27/26   352 
 350   Freddie Mac    1.50   2/12/25   332 
 27   Freddie Mac, Callable 11/28/23 @ 100.00    4.20   8/28/25   26 
 250   Freddie Mac    6.25   7/15/32   275 
 180   Freddie Mac    6.75   3/15/31   201 
 85   Tennessee Valley Authority    5.25   9/15/39   83 
 200   Tennessee Valley Authority    5.38   4/1/56   199 
 100   Tennessee Valley Authority    5.88   4/1/36   106 
 140   Tennessee Valley Authority    6.15   1/15/38   151 
     Total U.S. Government Agency Securities            10,310 
                   
     U.S. Treasury Obligations — 44.71%             
 1,500   U.S. Treasury Bond    1.13   5/15/40   860 
 2,625   U.S. Treasury Bond    1.13   8/15/40   1,491 
 2,610   U.S. Treasury Bond    1.25   5/15/50   1,232 
 1,965   U.S. Treasury Bond    1.38   11/15/40   1,161 
 2,580   U.S. Treasury Bond    1.38   8/15/50   1,259 
 2,820   U.S. Treasury Bond    1.63   11/15/50   1,477 
 2,625   U.S. Treasury Bond    1.75   8/15/41   1,634 
 2,975   U.S. Treasury Bond    1.88   11/15/51   1,659 
 2,695   U.S. Treasury Bond    1.88   2/15/51   1,511 
 2,140   U.S. Treasury Bond    1.88   2/15/41   1,380 
 4,335   U.S. Treasury Bond    2.00   8/15/51   2,503 
 3,320   U.S. Treasury Bond    2.00   11/15/41   2,154 
 1,370   U.S. Treasury Bond    2.00   2/15/50   800 
 3,010   U.S. Treasury Bond    2.25   2/15/52   1,848 
 1,750   U.S. Treasury Bond    2.25   5/15/41   1,200 
 1,260   U.S. Treasury Bond    2.25   8/15/46   799 
 1,250   U.S. Treasury Bond    2.25   8/15/49   778 
 1,880   U.S. Treasury Bond    2.38   2/15/42   1,299 
 3,860   U.S. Treasury Bond    2.38   5/15/51   2,449 
 3,000   U.S. Treasury Bond    2.38   11/15/49   1,920 
 2,015   U.S. Treasury Bond    2.50   2/15/45   1,368 
 800   U.S. Treasury Bond    2.50   5/15/46   536 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$1,135   U.S. Treasury Bond    2.50   2/15/46  $761 
 1,110   U.S. Treasury Bond    2.75   8/15/47   775 
 2,320   U.S. Treasury Bond    2.75   11/15/47   1,617 
 450   U.S. Treasury Bond    2.75   8/15/42   329 
 1,995   U.S. Treasury Bond    2.75   11/15/42   1,455 
 2,000   U.S. Treasury Bond    2.88   5/15/49   1,427 
 780   U.S. Treasury Bond    2.88   8/15/45   565 
 2,095   U.S. Treasury Bond    2.88   5/15/52   1,486 
 955   U.S. Treasury Bond    2.88   11/15/46   686 
 1,766   U.S. Treasury Bond    2.88   5/15/43   1,307 
 1,125   U.S. Treasury Bond    3.00   5/15/42   861 
 440   U.S. Treasury Bond    3.00   2/15/47   323 
 1,645   U.S. Treasury Bond    3.00   2/15/49   1,203 
 670   U.S. Treasury Bond    3.00   11/15/45   495 
 1,010   U.S. Treasury Bond    3.00   5/15/45   750 
 1,460   U.S. Treasury Bond    3.00   8/15/48   1,067 
 1,370   U.S. Treasury Bond    3.00   2/15/48   1,002 
 1,075   U.S. Treasury Bond    3.00   5/15/47   788 
 955   U.S. Treasury Bond    3.00   11/15/44   712 
 2,270   U.S. Treasury Bond    3.00   8/15/52   1,655 
 1,000   U.S. Treasury Bond    3.13   11/15/41   786 
 1,030   U.S. Treasury Bond    3.13   5/15/48   772 
 1,230   U.S. Treasury Bond    3.13   8/15/44   939 
 1,177   U.S. Treasury Bond    3.13   2/15/43   911 
 1,000   U.S. Treasury Bond    3.13   2/15/42   783 
 850   U.S. Treasury Bond    3.25   5/15/42   677 
 1,130   U.S. Treasury Bond    3.38   5/15/44   901 
 2,900   U.S. Treasury Bond    3.38   11/15/48   2,275 
 1,315   U.S. Treasury Bond    3.38   8/15/42   1,066 
 40   U.S. Treasury Bond    3.50   2/15/39   35 
 1,905   U.S. Treasury Bond    3.63   5/15/53   1,578 
 2,100   U.S. Treasury Bond    3.63   2/15/53   1,738 
 1,470   U.S. Treasury Bond    3.63   8/15/43   1,226 
 1,030   U.S. Treasury Bond    3.63   2/15/44   856 
 920   U.S. Treasury Bond    3.75   11/15/43   781 
 150   U.S. Treasury Bond    3.88   5/15/43   130 
 225   U.S. Treasury Bond    3.88   8/15/40   200 
 875   U.S. Treasury Bond    3.88   2/15/43   762 
 925   U.S. Treasury Bond    4.00   11/15/52   820 
 915   U.S. Treasury Bond    4.13   8/15/53   831 
 30   U.S. Treasury Bond    4.25   5/15/39   28 
 550   U.S. Treasury Bond    4.25   11/15/40   511 
 855   U.S. Treasury Bond    4.38   11/15/39   813 
 530   U.S. Treasury Bond    4.38   2/15/38   513 
 551   U.S. Treasury Bond    4.38   5/15/41   519 
 163   U.S. Treasury Bond    4.38   5/15/40   154 
 255   U.S. Treasury Bond    4.50   5/15/38   249 
 1,025   U.S. Treasury Bond    4.50   2/15/36   1,022 
 1,150   U.S. Treasury Bond    4.50   8/15/39   1,114 
 673   U.S. Treasury Bond    4.63   2/15/40   659 
 520   U.S. Treasury Bond    4.75   2/15/37   529 
 1,500   U.S. Treasury Bond    4.75   2/15/41   1,483 
 235   U.S. Treasury Bond    5.00   5/15/37   244 
 425   U.S. Treasury Bond    5.25   2/15/29   435 
 282   U.S. Treasury Bond    5.25   11/15/28   289 
 1,274   U.S. Treasury Bond    5.38   2/15/31   1,332 
 400   U.S. Treasury Bond    5.50   8/15/28   414 
 85   U.S. Treasury Bond    6.00   2/15/26   87 
 265   U.S. Treasury Bond    6.13   11/15/27   279 
 280   U.S. Treasury Bond    6.13   8/15/29   301 
 1,090   U.S. Treasury Bond    6.25   5/15/30   1,187 
 100   U.S. Treasury Bond    6.38   8/15/27   105 
 218   U.S. Treasury Bond    6.50   11/15/26   228 
 1,000   U.S. Treasury Bond    6.63   2/15/27   1,054 
 200   U.S. Treasury Bond    6.75   8/15/26   209 
 300   U.S. Treasury Bond    6.88   8/15/25   308 
 295   U.S. Treasury Bond    7.63   2/15/25   303 
 1,580   U.S. Treasury Note    0.25   7/31/25   1,446 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$2,680   U.S. Treasury Note    0.25   10/31/25  $2,429 
 1,145   U.S. Treasury Note    0.25   9/30/25   1,042 
 3,105   U.S. Treasury Note    0.25   8/31/25   2,832 
 2,525   U.S. Treasury Note    0.25   5/31/25   2,328 
 1,675   U.S. Treasury Note    0.25   6/30/25   1,539 
 3,415   U.S. Treasury Note    0.38   9/30/27   2,882 
 2,075   U.S. Treasury Note    0.38   7/31/27   1,762 
 2,100   U.S. Treasury Note    0.38   1/31/26   1,890 
 610   U.S. Treasury Note    0.38   9/15/24   581 
 2,500   U.S. Treasury Note    0.38   11/30/25   2,264 
 1,895   U.S. Treasury Note    0.38   12/31/25   1,713 
 3,120   U.S. Treasury Note    0.38   8/15/24   2,984 
 1,560   U.S. Treasury Note    0.38   4/30/25   1,446 
 2,175   U.S. Treasury Note    0.50   2/28/26   1,958 
 1,905   U.S. Treasury Note    0.50   3/31/25   1,775 
 1,900   U.S. Treasury Note    0.50   6/30/27   1,627 
 2,600   U.S. Treasury Note    0.50   5/31/27   2,234 
 3,090   U.S. Treasury Note    0.50   8/31/27   2,629 
 2,425   U.S. Treasury Note    0.50   10/31/27   2,051 
 1,885   U.S. Treasury Note    0.50   4/30/27   1,625 
 2,720   U.S. Treasury Note    0.63   5/15/30   2,105 
 1,575   U.S. Treasury Note    0.63   3/31/27   1,368 
 3,895   U.S. Treasury Note    0.63   8/15/30   2,989 
 2,885   U.S. Treasury Note    0.63   11/30/27   2,446 
 2,925   U.S. Treasury Note    0.63   10/15/24   2,784 
 2,800   U.S. Treasury Note    0.63   12/31/27   2,368 
 1,635   U.S. Treasury Note    0.63   7/31/26   1,455 
 3,090   U.S. Treasury Note    0.75   3/31/26   2,794 
 3,470   U.S. Treasury Note    0.75   4/30/26   3,126 
 2,960   U.S. Treasury Note    0.75   11/15/24   2,811 
 2,800   U.S. Treasury Note    0.75   5/31/26   2,514 
 4,025   U.S. Treasury Note    0.75   1/31/28   3,412 
 1,845   U.S. Treasury Note    0.75   8/31/26   1,643 
 4,830   U.S. Treasury Note    0.88   11/15/30   3,757 
 2,295   U.S. Treasury Note    0.88   6/30/26   2,065 
 1,615   U.S. Treasury Note    0.88   9/30/26   1,441 
 3,365   U.S. Treasury Note    1.00   7/31/28   2,838 
 2,975   U.S. Treasury Note    1.00   12/15/24   2,824 
 3,775   U.S. Treasury Note    1.13   10/31/26   3,382 
 2,780   U.S. Treasury Note    1.13   1/15/25   2,635 
 3,635   U.S. Treasury Note    1.13   8/31/28   3,078 
 2,135   U.S. Treasury Note    1.13   2/28/25   2,015 
 650   U.S. Treasury Note    1.13   2/28/27   577 
 5,490   U.S. Treasury Note    1.13   2/15/31   4,329 
 2,465   U.S. Treasury Note    1.13   2/29/28   2,121 
 3,195   U.S. Treasury Note    1.25   11/30/26   2,867 
 3,390   U.S. Treasury Note    1.25   5/31/28   2,911 
 3,510   U.S. Treasury Note    1.25   4/30/28   3,022 
 5,385   U.S. Treasury Note    1.25   8/15/31   4,209 
 2,460   U.S. Treasury Note    1.25   3/31/28   2,123 
 2,185   U.S. Treasury Note    1.25   9/30/28   1,857 
 3,515   U.S. Treasury Note    1.25   6/30/28   3,010 
 2,000   U.S. Treasury Note    1.25   12/31/26   1,792 
 4,500   U.S. Treasury Note    1.38   11/15/31   3,527 
 1,205   U.S. Treasury Note    1.38   1/31/25   1,144 
 450   U.S. Treasury Note    1.38   8/31/26   408 
 3,470   U.S. Treasury Note    1.38   12/31/28   2,947 
 3,525   U.S. Treasury Note    1.38   10/31/28   3,007 
 3,370   U.S. Treasury Note    1.50   2/15/25   3,200 
 370   U.S. Treasury Note    1.50   10/31/24   355 
 1,000   U.S. Treasury Note    1.50   8/15/26   912 
 2,400   U.S. Treasury Note    1.50   11/30/24   2,295 
 3,530   U.S. Treasury Note    1.50   11/30/28   3,025 
 4,105   U.S. Treasury Note    1.50   1/31/27   3,696 
 1,810   U.S. Treasury Note    1.50   2/15/30   1,500 
 3,500   U.S. Treasury Note    1.63   5/15/26   3,221 
 600   U.S. Treasury Note    1.63   9/30/26   548 
 1,000   U.S. Treasury Note    1.63   10/31/26   910 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$945   U.S. Treasury Note    1.63   11/30/26  $858 
 2,930   U.S. Treasury Note    1.63   8/15/29   2,486 
 1,400   U.S. Treasury Note    1.63   2/15/26   1,297 
 4,455   U.S. Treasury Note    1.63   5/15/31   3,616 
 1,100   U.S. Treasury Note    1.75   12/31/26   1,001 
 1,890   U.S. Treasury Note    1.75   11/15/29   1,607 
 3,320   U.S. Treasury Note    1.75   1/31/29   2,869 
 1,160   U.S. Treasury Note    1.75   12/31/24   1,110 
 1,095   U.S. Treasury Note    1.75   3/15/25   1,041 
 410   U.S. Treasury Note    1.88   6/30/26   379 
 490   U.S. Treasury Note    1.88   8/31/24   474 
 3,100   U.S. Treasury Note    1.88   2/15/32   2,518 
 2,390   U.S. Treasury Note    1.88   7/31/26   2,205 
 3,200   U.S. Treasury Note    1.88   2/28/29   2,779 
 1,650   U.S. Treasury Note    1.88   2/28/27   1,502 
 2,971   U.S. Treasury Note    2.00   2/15/25   2,841 
 2,575   U.S. Treasury Note    2.00   8/15/25   2,432 
 2,885   U.S. Treasury Note    2.00   11/15/26   2,653 
 290   U.S. Treasury Note    2.13   7/31/24   282 
 2,985   U.S. Treasury Note    2.13   5/15/25   2,842 
 1,430   U.S. Treasury Note    2.13   5/31/26   1,333 
 445   U.S. Treasury Note    2.13   11/30/24   429 
 1,785   U.S. Treasury Note    2.25   2/15/27   1,647 
 2,500   U.S. Treasury Note    2.25   3/31/26   2,346 
 795   U.S. Treasury Note    2.25   12/31/24   765 
 1,135   U.S. Treasury Note    2.25   11/15/24   1,096 
 790   U.S. Treasury Note    2.25   10/31/24   764 
 1,775   U.S. Treasury Note    2.25   11/15/27   1,614 
 2,575   U.S. Treasury Note    2.25   8/15/27   2,353 
 1,675   U.S. Treasury Note    2.25   11/15/25   1,582 
 475   U.S. Treasury Note    2.38   8/15/24   462 
 3,200   U.S. Treasury Note    2.38   3/31/29   2,849 
 130   U.S. Treasury Note    2.38   4/30/26   122 
 2,615   U.S. Treasury Note    2.38   5/15/29   2,323 
 2,510   U.S. Treasury Note    2.38   5/15/27   2,315 
 2,000   U.S. Treasury Note    2.50   3/31/27   1,858 
 990   U.S. Treasury Note    2.50   1/31/25   954 
 3,585   U.S. Treasury Note    2.63   2/15/29   3,243 
 1,205   U.S. Treasury Note    2.63   12/31/25   1,145 
 2,120   U.S. Treasury Note    2.63   4/15/25   2,039 
 955   U.S. Treasury Note    2.63   3/31/25   919 
 1,250   U.S. Treasury Note    2.63   5/31/27   1,162 
 1,055   U.S. Treasury Note    2.63   1/31/26   1,001 
 2,065   U.S. Treasury Note    2.63   7/31/29   1,853 
 850   U.S. Treasury Note    2.75   6/30/25   816 
 3,000   U.S. Treasury Note    2.75   5/31/29   2,718 
 1,280   U.S. Treasury Note    2.75   8/31/25   1,225 
 1,525   U.S. Treasury Note    2.75   5/15/25   1,467 
 750   U.S. Treasury Note    2.75   4/30/27   701 
 2,500   U.S. Treasury Note    2.75   2/28/25   2,413 
 2,825   U.S. Treasury Note    2.75   2/15/28   2,612 
 4,160   U.S. Treasury Note    2.75   8/15/32   3,602 
 3,000   U.S. Treasury Note    2.88   4/30/29   2,739 
 3,610   U.S. Treasury Note    2.88   5/15/32   3,169 
 540   U.S. Treasury Note    2.88   7/31/25   519 
 1,505   U.S. Treasury Note    2.88   5/31/25   1,449 
 1,500   U.S. Treasury Note    2.88   4/30/25   1,446 
 3,380   U.S. Treasury Note    2.88   8/15/28   3,121 
 2,005   U.S. Treasury Note    2.88   6/15/25   1,930 
 2,995   U.S. Treasury Note    2.88   5/15/28   2,775 
 800   U.S. Treasury Note    2.88   11/30/25   765 
 2,585   U.S. Treasury Note    3.00   7/15/25   2,490 
 1,415   U.S. Treasury Note    3.00   9/30/25   1,360 
 880   U.S. Treasury Note    3.00   10/31/25   845 
 1,930   U.S. Treasury Note    3.13   8/15/25   1,862 
 3,430   U.S. Treasury Note    3.13   11/15/28   3,194 
 2,000   U.S. Treasury Note    3.13   8/31/29   1,843 
 2,200   U.S. Treasury Note    3.25   6/30/27   2,090 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Treasury Obligations (continued)             
$1,700   U.S. Treasury Note    3.25   6/30/29  $1,580 
 4,400   U.S. Treasury Note    3.38   5/15/33   3,992 
 1,245   U.S. Treasury Note    3.50   1/31/30   1,167 
 5,000   U.S. Treasury Note    3.50   2/15/33   4,588 
 2,200   U.S. Treasury Note    3.50   1/31/28   2,100 
 1,905   U.S. Treasury Note    3.50   9/15/25   1,849 
 1,580   U.S. Treasury Note    3.63   5/15/26   1,532 
 1,545   U.S. Treasury Note    3.75   4/15/26   1,503 
 2,635   U.S. Treasury Note    3.88   8/15/33   2,490 
 265   U.S. Treasury Note    3.88   11/30/29   254 
 1,500   U.S. Treasury Note    3.88   4/30/25   1,469 
 1,325   U.S. Treasury Note    3.88   12/31/29   1,269 
 800   U.S. Treasury Note    3.88   9/30/29   768 
 1,740   U.S. Treasury Note    3.88   1/15/26   1,699 
 1,725   U.S. Treasury Note    4.00   12/15/25   1,689 
 1,900   U.S. Treasury Note    4.00   2/15/26   1,860 
 1,000   U.S. Treasury Note    4.00   2/29/28   974 
 3,720   U.S. Treasury Note    4.13   11/15/32   3,588 
 1,580   U.S. Treasury Note    4.13   6/15/26   1,551 
 1,835   U.S. Treasury Note    4.25   10/15/25   1,806 
 1,670   U.S. Treasury Note    4.38   8/15/26   1,649 
 795   U.S. Treasury Note    4.38   10/31/24   786 
 1,765   U.S. Treasury Note    4.50   11/15/25   1,746 
 1,590   U.S. Treasury Note    4.50   7/15/26   1,575 
 1,750   U.S. Treasury Note    4.63   9/15/26   1,741 
 1,555   U.S. Treasury Note    4.63   3/15/26   1,544 
 125   U.S. Treasury Note    4.63   2/28/25   124 
     Total U.S. Treasury Obligations            406,428 
                   
Shares                 
     Exchange-Traded Funds — 52.33%             
 6,531,963   Vanguard Intermediate-Term Treasury ETF            373,302 
 2,164,856   Vanguard Short-Term Inflation-Protected Securities ETF            102,354 
     Total Exchange-Traded Funds            475,656 
                   
     Investment Company — 1.22%             
 11,108,684   State Street Institutional Treasury Plus Money Market Fund, Trust Class    5.23(b)      11,109 
     Total Investment Company            11,109 
                   
     Total Investments (cost $957,141) — 99.39%            903,503 
     Other assets in excess of liabilities — 0.61%            5,548 
     Net Assets — 100.00%           $909,051 

 

(a) Zero Coupon Security. Effective rate shown is as of September 30, 2023.
(b) Annualized 7-day yield as of period-end.

 

ETF—Exchange-Traded Fund

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The U.S. Government Fixed Income Securities Portfolio  Mellon Investments Corporation   Parametric Portfolio Associates, LLC   Total 
U.S. Government Agency Securities   1.13%   -    1.13%
U.S. Treasury Obligations   44.71%   -    44.71%
Exchange-Traded Fund   -    52.33%   52.33%
Investment Company   -    1.22%   1.22%
Other Assets (Liabilities)   0.25%   0.36%   0.61%
     Total Net Assets   46.09%   53.91%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

 

HC CAPITAL TRUST 

The U.S. Government Fixed Income Securities Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

The following table reflects the open derivative positions held by the Portfolio as of September 30, 2023.

 

Futures Contracts Purchased*            

 

Description    Number of
Contracts
   Expiration Date    Notional Amount
(000)
   Value and Unrealized Appreciation/ (Depreciation)
(000)
 
10 Year US Treasury Note Future    741    12/19/23    $80,074   $(1,319)
               $80,074   $(1,319)
                       
     Total Unrealized Appreciation    $ 
     Total Unrealized Depreciation     (1,319)
     Total Net Unrealized Appreciation/(Depreciation)    $(1,319)

 

* Cash has been pledged as collateral for futures contracts held by the Portfolio.

 

Options on Futures Contracts

 

Exchange-traded options on futures contacts written as of September 30, 2023 were as follows:

 

Description    Put/Call   Number of Contracts   Notional Amount
(000)
   Exercise Price   Expiration Date  Value
(000)
 
10 Year US Treasury Note Future Option    Put    150   $802   $107.00   10/27/23  $(70)
10 Year US Treasury Note Future Option    Put    100    539    108.00   10/27/23   (84)
10 Year US Treasury Note Future Option    Put    100    533    106.50   10/27/23   (33)
10 Year US Treasury Note Future Option    Put    100    538    107.50   10/27/23   (64)
10 Year US Treasury Note Future Option    Put    150    802    107.00   11/24/23   (127)
10 Year US Treasury Note Future Option    Put    50    264    105.50   11/24/23   (23)
10 Year US Treasury Note Future Option    Put    100    530    106.00   11/24/23   (56)
10 Year US Treasury Note Future Option    Put    100    533    106.50   11/24/23   (69)
                          $(526)
 
 

HC CAPITAL TRUST 

The U.S. Corporate Fixed Income Securities Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds — 75.04%             
$2,694   AbbVie, Inc. (Biotechnology)    4.40   11/6/42  $2,231 
 232   Air Products & Chemicals, Inc. (Chemicals), Callable 11/15/39 @ 100.00     2.70   5/15/40   159 
 530   Alabama Power Co., Series B (Electric Utilities), Callable 6/1/47 @ 100.00     3.70   12/1/47   374 
 155   Alabama Power Co. (Electric Utilities), Callable 2/15/44 @ 100.00     4.15   8/15/44   120 
 2,315   Amgen, Inc. (Biotechnology), Callable 2/1/25 @ 100.00     3.13   5/1/25   2,222 
 1,435   Amgen, Inc. (Biotechnology), Callable 8/21/39 @ 100.00     3.15   2/21/40   1,008 
 810   Amgen, Inc. (Biotechnology), Callable 12/15/50 @ 100.00     4.66   6/15/51   660 
 1,790   Anheuser-Busch Cos. LLC/Anheuser-Busch InBev Worldwide, Inc. (Beverages), Callable 8/1/45 @ 100.00     4.90   2/1/46   1,559 
 1,880   Anheuser-Busch InBev Worldwide, Inc. (Beverages)    4.95   1/15/42   1,703 
 2,275   Apple, Inc. (Technology Hardware, Storage & Peripherals), Callable 8/23/45 @ 100.00     4.65   2/23/46   2,036 
 1,730   Aptiv PLC/Aptiv Corp. (Automobile Components), Callable 10/16/23 @ 100.00     2.40   2/18/25   1,644 
 2,519   AT&T, Inc. (Diversified Telecommunication Services), Callable 3/15/55 @ 100.00     3.55   9/15/55   1,536 
 1,425   AT&T, Inc. (Diversified Telecommunication Services), Callable 12/1/28 @ 100.00     4.35   3/1/29   1,329 
 875   AT&T, Inc. (Diversified Telecommunication Services), Callable 9/9/48 @ 100.00     4.55   3/9/49   667 
 255   Atmos Energy Corp. (Gas Utilities), Callable 4/15/44 @ 100.00     4.13   10/15/44   200 
 1,145   Atmos Energy Corp. (Gas Utilities), Callable 7/15/42 @ 100.00     4.15   1/15/43   916 
 5,805   Bank of America Corp. (Banks), Callable 4/22/31 @ 100.00     2.69 (SOFR + 132 bps)(a)   4/22/32   4,568 
 5,225   Bank of America Corp., MTN (Banks), Callable 2/7/29 @ 100.00     3.97 (TSFR3M + 147 bps)(a)   2/7/30   4,711 
 1,665   Berkshire Hathaway Energy Co. (Multi-Utilities), Callable 8/1/44 @ 100.00     4.50   2/1/45   1,332 
 1,000   BP Capital Markets America, Inc. (Financial Services), Callable 8/24/49 @ 100.00     3.00   2/24/50   622 
 1,245   Bristol-Myers Squibb Co. (Pharmaceuticals), Callable 4/26/49 @ 100.00     4.25   10/26/49   987 
 2,705   Brown & Brown, Inc. (Insurance), Callable 12/15/30 @ 100.00     2.38   3/15/31   2,109 
 705   Bunge Ltd. Finance Corp. (Consumer Staples Distribution & Retail), Callable 2/14/31 @ 100.00     2.75   5/14/31   568 
 1,305   Bunge Ltd. Finance Corp. (Food Products), Callable 5/15/26 @ 100.00     3.25   8/15/26   1,220 
 3,000   Capital One Financial Corp. (Consumer Finance), Callable 2/1/28 @ 100.00     5.47 (SOFR + 208 bps)(a)   2/1/29   2,855 
 500   Capital One NA (Banks), Callable 1/28/25 @ 100.00     2.28 (SOFR + 91 bps)(a)   1/28/26   473 
 3,930   Charter Communications Operating LLC/Charter Communications Operating Capital (Media), Callable 12/30/28 @ 100.00     5.05   3/30/29   3,673 
 2,885   Citigroup, Inc. (Banks), Callable 3/17/32 @ 100.00     3.79 (SOFR + 194 bps)(a)   3/17/33   2,411 
 3,650   Citigroup, Inc. (Banks), Callable 3/31/30 @ 100.00     4.41 (SOFR + 391 bps)(a)   3/31/31   3,273 
 1,244   Collins Aerospace (Aerospace & Defense), Callable 12/15/26 @ 100.00 ^    3.50   3/15/27   1,149 
 395   Comcast Corp. (Media), Callable 5/1/49 @ 100.00     4.00   11/1/49   293 
 295   Comcast Corp. (Media)    4.65   7/15/42   248 
 2,185   Comcast Corp. (Media)    4.75   3/1/44   1,829 
 175   Consolidated Edison Co. of New York, Inc., Series 2008-B (Multi-Utilities)    6.75   4/1/38   186 
 2,165   Constellation Brands, Inc. (Beverages), Callable 2/1/30 @ 100.00     2.88   5/1/30   1,818 
 2,050   CSX Corp. (Ground Transportation)    6.22   4/30/40   2,100 
 2,415   CVS Health Corp. (Health Care Providers & Services), Callable 9/25/37 @ 100.00     4.78   3/25/38   2,079 
 1,130   CVS Health Corp. (Health Care Providers & Services), Callable 1/20/45 @ 100.00     5.13   7/20/45   954 
 1,230   Dell International LLC/EMC Corp. (Technology Hardware, Storage & Peripherals), Callable 8/1/26 @ 100.00     4.90   10/1/26   1,194 
 1,565   Devon Energy Corp. (Oil, Gas & Consumable Fuels), Callable 1/15/41 @ 100.00     5.60   7/15/41   1,385 
 315   Devon Energy Corp. (Oil, Gas & Consumable Fuels), Callable 9/15/25 @ 100.00     5.85   12/15/25   313 
 1,093   Digital Realty Trust LP (Specialized REITs), Callable 4/15/28 @ 100.00     4.45   7/15/28   1,024 
 805   Eastern Energy Gas Holdings LLC, Series B (Multi-Utilities), Callable 8/15/29 @ 100.00     3.00   11/15/29   685 

 

 

HC CAPITAL TRUST 

The U.S. Corporate Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$1,830   Eastern Energy Gas Holdings LLC (Multi-Utilities), Callable 9/15/24 @ 100.00     3.60   12/15/24  $1,774 
 685   EIDP, Inc. (Chemicals), Callable 4/15/30 @ 100.00     2.30   7/15/30   558 
 600   Elevance Health, Inc. (Health Care Providers & Services)    4.63   5/15/42   500 
 735   Elevance Health, Inc. (Health Care Providers & Services)    4.65   1/15/43   617 
 1,625   Energy Transfer LP (Oil, Gas & Consumable Fuels), Callable 7/15/42 @ 100.00     4.95   1/15/43   1,269 
 800   Energy Transfer LP (Oil, Gas & Consumable Fuels), Callable 3/15/28 @ 100.00     4.95   6/15/28   766 
 2,497   Enterprise Products Operating LLC (Oil, Gas & Consumable Fuels), Callable 9/15/43 @ 100.00     4.85   3/15/44   2,143 
 1,818   FedEx Corp. Pass Through Trust, Series 2020-1, Class - AA (Air Freight & Logistics)    1.88   2/20/34   1,440 
 990   Fiserv, Inc. (Financial Services), Callable 12/2/32 @ 100.00     5.60   3/2/33   958 
 780   General Motors Co. (Automobiles), Callable 9/1/25 @ 100.00     6.13   10/1/25   778 
 1,815   General Motors Financial Co., Inc. (Consumer Finance), Callable 1/26/25 @ 100.00     2.90   2/26/25   1,735 
 2,055   General Motors Financial Co., Inc. (Specialty Retail), Callable 2/6/30 @ 100.00     5.85   4/6/30   1,970 
 1,165   Georgia Power Co. (Electric Utilities)    4.30   3/15/42   938 
 1,155   Gilead Sciences, Inc. (Biotechnology), Callable 8/1/44 @ 100.00     4.50   2/1/45   957 
 2,785   HCA, Inc. (Health Care Providers & Services)    5.38   2/1/25   2,750 
 590   HCA, Inc. (Health Care Providers & Services), Callable 3/1/33 @ 100.00     5.50   6/1/33   558 
 722   Intel Corp. (Semiconductors & Semiconductor Equipment), Callable 6/8/47 @ 100.00     3.73   12/8/47   512 
 1,540   Intel Corp. (Semiconductors & Semiconductor Equipment), Callable 11/10/32 @ 100.00     5.20   2/10/33   1,487 
 1,300   International Business Machines Corp. (IT Services)    3.00   5/15/24   1,278 
 765   International Business Machines Corp. (IT Services)    4.00   6/20/42   595 
 795   International Paper Co. (Containers & Packaging), Callable 5/15/41 @ 100.00     6.00   11/15/41   761 
 2,105   JPMorgan Chase & Co. (Banks), Callable 4/22/31 @ 100.00     2.58 (TSFR3M + 125 bps)(a)   4/22/32   1,669 
 3,018   JPMorgan Chase & Co. (Banks), Callable 5/6/29 @ 100.00     3.70 (TSFR3M + 142 bps)(a)   5/6/30   2,676 
 5,900   JPMorgan Chase & Co. (Banks), Callable 4/23/28 @ 100.00     4.01 (TSFR3M + 138 bps)(a)   4/23/29   5,416 
 1,665   Kinder Morgan, Inc. (Oil, Gas & Consumable Fuels), Callable 12/1/44 @ 100.00     5.55   6/1/45   1,425 
 1,365   Lincoln National Corp. (Insurance), Callable 10/15/30 @ 100.00 ^    3.40   1/15/31   1,107 
 2,000   Lincoln National Corp. (Insurance), Callable 12/1/27 @ 100.00 ^    3.80   3/1/28   1,813 
 1,200   Lowe's Cos., Inc. (Specialty Retail), Callable 1/15/33 @ 100.00     5.00   4/15/33   1,127 
 200   LYB International Finance BV (Chemicals), Callable 9/15/43 @ 100.00     4.88   3/15/44   160 
 1,295   Martin Marietta Materials, Inc., Series CB (Construction Materials), Callable 12/15/29 @ 100.00     2.50   3/15/30   1,060 
 1,275   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 2/15/28 @ 100.00     2.45   4/15/28   1,101 
 810   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 1/15/31 @ 100.00     2.95   4/15/31   657 
 205   Marvell Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 6/15/33 @ 100.00     5.95   9/15/33   201 
 3,589   Microchip Technology, Inc. (Semiconductors & Semiconductor Equipment), Callable 11/6/23 @ 101.06     4.25   9/1/25   3,473 
 1,720   Microsoft Corp. (Software), Callable 2/8/46 @ 100.00     3.70   8/8/46   1,352 
 960   Mohawk Industries, Inc. (Household Durables), Callable 2/15/30 @ 100.00 ^    3.63   5/15/30   838 
 5,250   Morgan Stanley, MTN (Capital Markets), Callable 7/20/26 @ 100.00     1.51 (SOFR + 86 bps)(a)   7/20/27   4,623 
 5,085   Morgan Stanley, MTN (Capital Markets), Callable 1/23/29 @ 100.00     4.43 (TSFR3M + 189 bps)(a)   1/23/30   4,703 
 1,838   National Rural Utilities Cooperative Finance Corp. (Financial Services), Callable 7/15/32 @ 100.00     5.80   1/15/33   1,832 
 450   Netflix, Inc. (Entertainment)    5.88   2/15/25   449 
 1,490   NextEra Energy Capital Holdings, Inc. (Electric Utilities), Callable 11/28/32 @ 100.00     5.05   2/28/33   1,387 
 760   NextEra Energy Capital Holdings, Inc. (Electric Utilities), Callable 8/28/52 @ 100.00     5.25   2/28/53   657 
 1,580   NNN REIT, Inc. (Retail REITs), Callable 1/15/30 @ 100.00     2.50   4/15/30   1,284 
 1,395   Northrop Grumman Corp. (Aerospace & Defense), Callable 4/15/47 @ 100.00     4.03   10/15/47   1,066 
 1,056   Nucor Corp. (Metals & Mining), Callable 2/1/43 @ 100.00     5.20   8/1/43   961 

 

 

HC CAPITAL TRUST 

The U.S. Corporate Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$400   Oklahoma Gas and Electric Co. (Electric Utilities), Callable 7/15/32 @ 100.00     5.40   1/15/33  $388 
 1,100   Oklahoma Gas and Electric Co. (Electric Utilities), Callable 10/1/52 @ 100.00     5.60   4/1/53   1,031 
 1,460   Oracle Corp. (Software), Callable 11/15/44 @ 100.00     4.13   5/15/45   1,053 
 3,175   Ovintiv Exploration, Inc. (Oil, Gas & Consumable Fuels), Callable 10/1/25 @ 100.00     5.38   1/1/26   3,127 
 900   Pfizer Investment Enterprises Pte Ltd. (Capital Markets), Callable 11/19/42 @ 100.00     5.11   5/19/43   826 
 850   Pfizer, Inc. (Pharmaceuticals), Callable 3/15/38 @ 100.00     4.10   9/15/38   717 
 1,435   Philip Morris International, Inc. (Tobacco)    4.50   3/20/42   1,141 
 1,290   Principal Financial Group, Inc. (Insurance), Callable 3/15/30 @ 100.00     2.13   6/15/30   1,027 
 2,534   Progress Energy, Inc. (Electric Utilities)    6.00   12/1/39   2,455 
 1,095   Prudential Financial, Inc. (Insurance)    4.60   5/15/44   906 
 152   Prudential Financial, Inc. (Insurance)    6.63   6/21/40   156 
 265   Public Service Electric & Gas Co. (Electric Utilities), Callable 3/1/42 @ 100.00     3.65   9/1/42   200 
 674   Raytheon Technologies Corp. (Aerospace & Defense)    4.50   6/1/42   552 
 1,739   Reliance Steel & Aluminum Co. (Metals & Mining), Callable 7/15/25 @ 100.00     1.30   8/15/25   1,597 
 1,460   Reliance Steel & Aluminum Co. (Metals & Mining), Callable 5/15/30 @ 100.00     2.15   8/15/30   1,149 
 831   RELX Capital, Inc. (Professional Services), Callable 2/22/30 @ 100.00     3.00   5/22/30   712 
 425   Roper Technologies, Inc. (Software), Callable 3/30/30 @ 100.00     2.00   6/30/30   336 
 930   Sabra Health Care LP (Health Care REITs), Callable 9/1/31 @ 100.00     3.20   12/1/31   697 
 959   Sabra Health Care LP (Health Care REITs), Callable 5/15/26 @ 100.00     5.13   8/15/26   918 
 920   Southern Co. Gas Capital Corp. (Electric Utilities), Callable 11/30/46 @ 100.00     4.40   5/30/47   703 
 1,095   Southwest Airlines Co. (Passenger Airlines), Callable 4/15/27 @ 100.00     5.13   6/15/27   1,068 
 7,140   The Goldman Sachs Group, Inc. (Capital Markets), Callable 6/5/27 @ 100.00     3.69 (TSFR3M + 177 bps)(a)   6/5/28   6,588 
 345   The Home Depot, Inc. (Specialty Retail), Callable 6/6/48 @ 100.00     4.50   12/6/48   288 
 1,210   The Home Depot, Inc. (Specialty Retail), Callable 3/15/40 @ 100.00     5.40   9/15/40   1,150 
 1,065   The Interpublic Group of Cos., Inc. (Media) ^    4.20   4/15/24   1,053 
 2   The Interpublic Group of Cos., Inc. (Media), Callable 12/30/29 @ 100.00     4.75   3/30/30   2 
 575   The Interpublic Group of Cos., Inc. (Media), Callable 4/1/48 @ 100.00     5.40   10/1/48   492 
 475   The Travelers Cos., Inc. (Insurance)    5.35   11/1/40   449 
 901   The Travelers Cos., Inc. (Insurance)    6.25   6/15/37   950 
 1,485   The Walt Disney Co. (Entertainment), Callable 3/15/44 @ 100.00     4.75   9/15/44   1,260 
 720   T-Mobile US, Inc. (Wireless Telecommunication Services), Callable 10/16/23 @ 101.13     2.25   2/15/26   663 
 1,210   T-Mobile US, Inc. (Wireless Telecommunication Services), Callable 7/15/52 @ 100.00     5.65   1/15/53   1,102 
 435   UDR, Inc. (Residential REITs), Callable 5/15/31 @ 100.00     3.00   8/15/31   354 
 810   UnitedHealth Group, Inc. (Health Care Providers & Services), Callable 5/15/41 @ 100.00     4.63   11/15/41   692 
 905   UnitedHealth Group, Inc. (Health Care Providers & Services)    4.75   7/15/45   786 
 1,190   Valero Energy Corp. (Oil, Gas & Consumable Fuels)    6.63   6/15/37   1,218 
 475   Ventas Realty LP (Health Care REITs), Callable 11/1/24 @ 100.00     3.50   2/1/25   457 
 670   Ventas Realty LP (Diversified REITs), Callable 2/1/24 @ 100.00     3.75   5/1/24   661 
 945   Ventas Realty LP (Real Estate Management & Development), Callable 10/15/28 @ 100.00     4.40   1/15/29   873 
 715   Verizon Communications, Inc. (Diversified Telecommunication Services), Callable 12/15/31 @ 100.00     2.36   3/15/32   544 
 3,830   Verizon Communications, Inc. (Diversified Telecommunication Services), Callable 9/22/40 @ 100.00     3.40   3/22/41   2,727 
 510   Verizon Communications, Inc. (Diversified Telecommunication Services)    4.33   9/21/28   479 
 625   Virginia Electric and Power Co., Series B (Electric Utilities), Callable 3/15/47 @ 100.00     3.80   9/15/47   452 
 820   Virginia Electric and Power Co., Series D (Electric Utilities), Callable 2/15/43 @ 100.00     4.65   8/15/43   676 
 1,455   Warnermedia Holdings, Inc. (Diversified Telecommunication Services), Callable 12/15/31 @ 100.00     4.28   3/15/32   1,235 
 5,380   Wells Fargo & Co., MTN (Banks), Callable 10/30/29 @ 100.00     2.88 (TSFR3M + 143 bps)(a)   10/30/30   4,479 
 2,190   Wells Fargo & Co., MTN (Banks), Callable 5/22/27 @ 100.00     3.58 (TSFR3M + 157 bps)(a)   5/22/28   2,005 
 875   Wells Fargo & Co. (Banks), Callable 7/25/32 @ 100.00     4.90 (SOFR + 210 bps)(a)   7/25/33   789 
 340   WestRock MWV LLC (Containers & Packaging)    8.20   1/15/30   376 

 

 

HC CAPITAL TRUST 

The U.S. Corporate Fixed Income Securities Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Corporate Bonds (continued)             
$3,045   WRKCo, Inc. (Containers & Packaging), Callable 1/15/26 @ 100.00     4.65   3/15/26  $2,954 
 1,146   XTO Energy, Inc. (Oil, Gas & Consumable Fuels)    6.75   8/1/37   1,231 
     Total Corporate Bonds            185,548 
                   
     Yankee Dollars — 7.98%             
 850   America Movil SAB de CV (Wireless Telecommunication Services)    6.13   11/15/37   861 
 645   BHP Billiton Finance USA Ltd. (Metals & Mining)    5.00   9/30/43   581 
 1,246   British Telecommunications PLC (Diversified Telecommunication Services)    9.63   12/15/30   1,467 
 880   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels), Callable 6/15/25 @ 100.00     2.05   7/15/25   821 
 2,504   Canadian Natural Resources Ltd. (Oil, Gas & Consumable Fuels), Callable 3/1/27 @ 100.00     3.85   6/1/27   2,339 
 935   Canadian Pacific Railway Co. (Transportation Infrastructure)    7.13   10/15/31   1,004 
 836   Deutsche Telekom International Finance BV (Diversified Telecommunication Services)    8.75   6/15/30   959 
 1,010   Diageo Capital PLC (Financial Services)    5.88   9/30/36   1,027 
 1,365   Enbridge, Inc. (Oil, Gas & Consumable Fuels), Callable 2/1/51 @ 100.00     3.40   8/1/51   852 
 1   Enbridge, Inc. (Oil, Gas & Consumable Fuels), Callable 4/15/27 @ 100.00     3.70   7/15/27   1 
 560   Equinor ASA (Oil, Gas & Consumable Fuels)    3.95   5/15/43   444 
 825   Equinor ASA (Oil, Gas & Consumable Fuels)    5.10   8/17/40   770 
 1,375   Iberdrola International BV (Electric Utilities)    5.81   3/15/25   1,369 
 1,490   Iberdrola International BV (Electric Utilities)    6.75   7/15/36   1,569 
 1,012   Nutrien Ltd. (Chemicals), Callable 2/13/30 @ 100.00     2.95   5/13/30   843 
 1,143   Orange SA (Diversified Telecommunication Services)    9.00   3/1/31   1,350 
 1,445   Shell International Finance BV (Financial Services)    4.55   8/12/43   1,227 
 850   Telefonica Emisiones SA (Diversified Telecommunication Services)    4.67   3/6/38   684 
 805   The Toronto-Dominion Bank (Banks)    3.20   3/10/32   658 
 475   Vodafone Group PLC (Wireless Telecommunication Services)    4.13   5/30/25   463 
 456   Vodafone Group PLC (Wireless Telecommunication Services)    6.15   2/27/37   451 
     Total Yankee Dollars            19,740 
                   
Shares                 
     Exchange-Traded Fund — 15.60%             
 513,200   Vanguard Short-Term Corporate Bond ETF            38,567 
     Total Exchange-Traded Fund            38,567 
                   
     Investment Companies — 1.79%             
 3,047,493   Federated Hermes Treasury Obligations Fund, Institutional Shares^^    4.99(b)      3,047 
 937,322   State Street Institutional Treasury Money Market Fund, Premier Class    5.28(b)      937 
 433,981   State Street Institutional Treasury Plus Money Market Fund, Trust Class    5.23(b)      434 
     Total Investment Companies            4,418 
                   
     Total Investments (cost $279,425) — 100.41%            248,273 
     Liabilities in excess of other assets — (0.41)%            (1,021)
     Net Assets — 100.00%           $247,252 

 

^ All or part of this security was on loan as of September 30, 2023.
^^ Purchased with cash collateral held from securities lending. The value of the collateral could include collateral held for securities that were sold on or before September 30, 2023.
(a) Variable Rate Security. The rate disclosed is the rate in effect on September 30, 2023.
(b) Annualized 7-day yield as of period-end.

 

bps—Basis Points
ETF—Exchange-Traded Fund
MTN—Medium Term Note
REIT—Real Estate Investment Trust
SOFR—Secured Overnight Financing Rate
TSFR3M—3 Month SOFR

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The U.S. Corporate Fixed Income Securities Portfolio  Agincourt Capital Management, LLC   Parametric Portfolio Associates   HC Capital Solutions   Total 
Corporate Bonds   75.04%   -    -    75.04%
Yankee Dollars   7.98%   -    -    7.98%
Exchange-Traded Funds   -    15.60%   -    15.60%
Investment Companies   1.62%   0.03%   0.14%   1.79%
Other Assets (Liabilities)   -0.65%   -    0.24%   -0.41%
     Total Net Assets   83.99%   15.63%   0.38%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category. 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Asset Backed Securities — 1.47%             
$150   American Express Credit Account Master Trust, Series 2021-1, Class - A   0.90   11/15/26  $143 
 100   American Express Credit Account Master Trust, Series 2022-2, Class - A   3.39   5/15/27   97 
 200   American Express Credit Account Master Trust, Series 2023-1, Class - A   4.87   5/15/28   197 
 150   American Express Credit Account Master Trust, Series 2022-4, Class - A   4.95   10/15/27   148 
 100   BA Credit Card Trust, Series 2022-A1, Class - A1   3.53   11/15/27   97 
 100   Barclays Dryrock Issuance Trust, Series 2022-1, Class - A   3.07   2/15/28   96 
 140   Capital One Multi-Asset Execution Trust, Series 2021-A2, Class - A2   1.39   7/15/30   117 
 200   Capital One Multi-Asset Execution Trust, Series 2022-A2, Class - A   3.49   5/15/27   193 
 100   Capital One Prime Auto Receivables Trust, Series 2022-1, Class - A3, Callable 4/15/26 @ 100.00   3.17   4/15/27   96 
 100   CarMax Auto Owner Trust, Series 2023-1, Class - A3, Callable 7/15/26 @ 100.00   4.75   10/15/27   98 
 75   Carvana Auto Receivables Trust, Series 2022-P2, Class - A4, Callable 10/10/27 @ 200.00   4.68   2/10/28   73 
 100   CNH Equipment Trust, Series 2022-C, Class - A3, Callable 10/15/26 @ 200.00   5.15   4/17/28   99 
 150   GM Financial Consumer Automobile Receivables Trust, Series 2023-1, Class - A3, Callable 10/16/26 @ 100.00   4.66   2/16/28   147 
 100   Honda Auto Receivables Owner Trust, Series 2021-1, Class - A4, Callable 7/21/24 @ 100.00   0.42   1/21/28   96 
 100   Hyundai Auto Receivables Trust, Series 2022-A, Class - A3, Callable 6/15/26 @ 100.00   2.22   10/15/26   97 
 100   Hyundai Auto Receivables Trust, Series 2022-B, Class - A3, Callable 7/15/26 @ 100.00   3.72   11/16/26   97 
 150   Mercedes-Benz Auto Receivables Trust, Series 2023-1, Class - A3, Callable 9/15/26 @ 100.00   4.51   11/15/27   147 
 100   Nissan Auto Receivables Owner Trust, Series 2023-A, Class - A3, Callable 12/15/26 @ 100.00   4.91   11/15/27   99 
 100   Synchrony Card Funding LLC, Series 2022-A1, Class - A, Callable 4/15/25 @ 100.00   3.37   4/15/28   96 
 100   Toyota Auto Receivables Owner Trust, Series 2021-A, Class - A4, Callable 2/15/25 @ 100.00   0.39   6/15/26   94 
 100   Toyota Auto Receivables Owner Trust, Series 2022-C, Class - A3, Callable 9/15/26 @ 100.00   3.76   4/15/27   97 
 85   Toyota Auto Receivables Owner Trust, Series 2023-A, Class - A3, Callable 2/15/27 @ 200.00   4.63   9/15/27   83 
 150   Verizon Master Trust, Series 2022-2, Class - A, Callable 1/20/25 @ 200.00   1.53   7/20/28   142 
 200   World Omni Auto Receivables Trust, Series 2021-C, Class - A4, Callable 8/15/25 @ 100.00   0.64   9/15/27   183 
 75   World Omni Auto Receivables Trust, Series 2023-B, Class - A3, Callable 8/15/26 @ 100.00   4.66   5/15/28   74 
     Total Asset Backed Securities           2,906 
                   
     Collateralized Mortgage Obligations — 5.65%             
 150   Bank, Series 2020-BN26, Class - A4, Callable 3/15/30 @ 100.00   2.40   3/15/63   120 
 300   Bank, Series 2021-BN37, Class - A5, Callable 11/15/31 @ 100.00   2.62(a)  11/15/64   236 
 100   Bank, Series 2019-BN21, Class - A5, Callable 10/15/29 @ 100.00   2.85   10/17/52   83 
 100   Bank, Series 2019-BN19, Class - A3, Callable 7/15/29 @ 100.00   3.18   8/15/61   82 
 213   Bank, Series 2017-BNK9, Class - ASB, Callable 12/15/29 @ 100.00   3.47   11/15/54   203 
 300   Bank, Series 2018-BN10, Class - A5, Callable 2/15/28 @ 100.00   3.69   2/15/61   274 
 100   Bank, Series 2019-BN17, Class - A4, Callable 4/15/29 @ 100.00   3.71   4/15/52   90 
 150   Bank, Series 2022-BNK41, Class - A4   3.92(a)  4/15/65   129 
 60   BBCMS Mortgage Trust, Series 2020-C7, Class - AS, Callable 4/15/30 @ 100.00   2.44   4/15/53   46 
 400   BBCMS Mortgage Trust, Series 2022-C15, Class - A5, Callable 4/15/32 @ 200.00   3.66(a)  4/15/55   340 
 100   Benchmark Mortgage Trust, Series 2020-IG1, Class - AS, Callable 1/15/30 @ 100.00   2.91(a)  9/15/43   68 
 200   Benchmark Mortgage Trust, Series 2022-B33, Class - A5, Callable 3/15/32 @ 100.00   3.46   3/15/55   169 
 250   Benchmark Mortgage Trust, Series 2019-B9, Class - A5, Callable 2/15/29 @ 100.00   4.02   3/15/52   222 
 200   Benchmark Mortgage Trust, Series 2018-B6, Class - A4, Callable 10/10/28 @ 100.00   4.26   10/10/51   181 
 157   Citigroup Commercial Mortgage Trust, Series 2015-GC27, Class - A4, Callable 1/10/25 @ 100.00   2.88   2/10/48   153 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Collateralized Mortgage Obligations (continued)             
$100   Citigroup Commercial Mortgage Trust, Series 2020-GC46, Class - AS, Callable 2/15/30 @ 100.00   2.92   2/15/53  $75 
 150   Citigroup Commercial Mortgage Trust, Series 2019-C7, Class - A4, Callable 12/15/29 @ 100.00   3.10   12/15/72   126 
 100   Citigroup Commercial Mortgage Trust, Series 2016-GC37, Class - A4, Callable 3/10/26 @ 100.00   3.31   4/10/49   93 
 100   Citigroup Commercial Mortgage Trust, Series 2016-GC36, Class - A5, Callable 2/10/26 @ 100.00   3.62   2/10/49   93 
 183   COMM Mortgage Trust, Series 2015-LC19, Class - A4, Callable 1/10/27 @ 100.00   3.18   2/10/48   175 
 80   COMM Mortgage Trust, Series 2015-DC1, Class - A5, Callable 2/10/25 @ 100.00   3.35   2/10/48   77 
 100   CSAIL Commercial Mortgage Trust, Series 2016-C7, Class - ASB, Callable 11/15/26 @ 100.00   3.31   11/15/49   96 
 197   Fannie Mae-ACES, Series 2020-M8, Class - A2   1.82   2/25/30   162 
 168   Fannie Mae-ACES, Series 2017-M7, Class - A2   2.96(a)  2/25/27   157 
 96   Fannie Mae-ACES, Series 2017-M11, Class - A2   2.98   8/25/29   86 
 177   Fannie Mae-ACES, Series 2022-M11, Class - A2   3.04(a)  10/25/27   164 
 197   Fannie Mae-ACES, Series 2017-M12, Class - A2   3.16(a)  6/25/27   184 
 170   Fannie Mae-ACES, Series 2017- M15, Class - ATS2   3.20(a)  11/25/27   158 
 239   Fannie Mae-ACES, Series 2018-M14, Class - A2   3.70(a)  8/25/28   223 
 182   Fannie Mae-ACES, Series 2019-M2, Class - A2   3.75(a)  11/25/28   170 
 300   Freddie Mac Multifamily Structured Pass Through Certificates, Series K117, Class - A2   1.41   8/25/30   235 
 300   Freddie Mac Multifamily Structured Pass Through Certificates, Series K1516, Class - A2   1.72   5/25/35   201 
 96   Freddie Mac Multifamily Structured Pass Through Certificates, Series K106, Class - A1   1.78   10/25/29   84 
 390   Freddie Mac Multifamily Structured Pass Through Certificates, Series K126, Class - A2   2.07   1/25/31   316 
 200   Freddie Mac Multifamily Structured Pass Through Certificates, Series K133, Class - A2   2.10   9/25/31   159 
 150   Freddie Mac Multifamily Structured Pass Through Certificates, Series K749, Class - A2   2.12(a)  3/25/29   129 
 300   Freddie Mac Multifamily Structured Pass Through Certificates, Series K749, Class - AM   2.12   4/25/29   256 
 100   Freddie Mac Multifamily Structured Pass Through Certificates, Series K136, Class - A2   2.13   11/25/31   80 
 300   Freddie Mac Multifamily Structured Pass Through Certificates, Series K1521, Class - A2   2.18   8/25/36   208 
 45   Freddie Mac Multifamily Structured Pass Through Certificates, Series K099, Class - A1   2.26   6/25/29   40 
 51   Freddie Mac Multifamily Structured Pass Through Certificates, Series K058, Class - A1   2.34   7/25/26   49 
 350   Freddie Mac Multifamily Structured Pass Through Certificates, Series K055, Class - A2   2.67   3/25/26   329 
 75   Freddie Mac Multifamily Structured Pass Through Certificates, Series K1514, Class - A2   2.86   10/25/34   60 
 200   Freddie Mac Multifamily Structured Pass Through Certificates, Series K147, Class - A2   3.00   6/25/32   169 
 100   Freddie Mac Multifamily Structured Pass Through Certificates, Series K092, Class - A2   3.30   4/25/29   91 
 100   Freddie Mac Multifamily Structured Pass Through Certificates, Series K047, Class - A2   3.33(a)  5/25/25   97 
 250   Freddie Mac Multifamily Structured Pass Through Certificates, Series K091, Class - A2   3.51   3/25/29   231 
 250   Freddie Mac Multifamily Structured Pass Through Certificates, Series K087, Class - A2   3.77   12/25/28   235 
 150   Freddie Mac Multifamily Structured Pass Through Certificates, Series K152, Class - A2   3.78   11/25/32   134 
 500   Freddie Mac Multifamily Structured Pass Through Certificates, Series K077, Class - A2   3.85   5/25/28   472 
 400   Freddie Mac Multifamily Structured Pass Through Certificates, Series K081, Class - A2   3.90(a)  8/25/28   379 
 224   GS Mortgage Securities Trust, Series 2016-GS2, Class - A3, Callable 5/10/26 @ 100.00   2.79   5/10/49   207 
 200   GS Mortgage Securities Trust, Series 2019-GC42, Class - A4, Callable 9/10/29 @ 100.00   3.00   9/10/52   170 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Collateralized Mortgage Obligations (continued)             
$100   GS Mortgage Securities Trust, Series 2020-GC45, Class - AS, Callable 1/13/30 @ 100.00   3.17(a)  2/13/53  $80 
 250   GS Mortgage Securities Trust, Series 2017-GS5, Class - A4, Callable 3/10/27 @ 100.00   3.67   3/10/50   225 
 100   GS Mortgage Securities Trust, Series 2018-GS10, Class - A5, Callable 7/10/28 @ 100.00   4.16(a)  7/10/51   91 
 137   JPMBB Commercial Mortgage Securities Trust, Series 2014-C24, Class - A5, Callable 10/15/25 @ 100.00   3.64   11/15/47   132 
 183   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2015-C20, Class - A4, Callable 11/15/26 @ 100.00   3.25   2/15/48   175 
 200   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2014-C19, Class - A4, Callable 10/15/26 @ 100.00   3.53   12/15/47   193 
 200   Morgan Stanley Bank of America Merrill Lynch Trust, Series 2017-C33, Class - A5, Callable 5/15/27 @ 100.00   3.60   5/15/50   184 
 200   Morgan Stanley Capital I Trust, Series 2017-H1, Class - A4, Callable 6/15/27 @ 100.00   3.26   6/15/50   181 
 100   SG Commercial Mortgage Securities Trust, Series 2016-C5, Class - A4, Callable 7/10/26 @ 100.00   3.06   10/10/48   91 
 122   Wells Fargo Commercial Mortgage Trust, Series 2019-C53, Class - A4, Callable 10/15/29 @ 100.00   3.04   10/15/52   103 
 500   Wells Fargo Commercial Mortgage Trust, Series 2016-C34, Class - A4, Callable 5/15/26 @ 100.00   3.10   6/15/49   458 
 183   Wells Fargo Commercial Mortgage Trust, Series 2015-C30, Class - A4, Callable 8/15/25 @ 100.00   3.66   9/15/58   174 
 124   Wells Fargo Commercial Mortgage Trust, Series 2015-P2, Class - A4, Callable 12/15/25 @ 100.00   3.81   12/15/48   117 
 142   Wells Fargo Commercial Mortgage Trust, Series 2015-C26, Class - C, Callable 2/15/25 @ 100.00   4.07   2/15/48   130 
 100   Wells Fargo Commercial Mortgage Trust, Series 2018-C47, Class - A4, Callable 10/15/28 @ 100.00   4.44   9/15/61   93 
     Total Collateralized Mortgage Obligations           11,193 
                   
     U.S. Government Agency Mortgages — 86.48%             
 363   Fannie Mae, Pool #MA4417   1.50   9/1/36   303 
 131   Fannie Mae, Pool #FM9249   1.50   10/1/41   100 
 20   Fannie Mae, Pool #MA4181   1.50   11/1/50   14 
 384   Fannie Mae, Pool #MA4304   1.50   4/1/51   275 
 338   Fannie Mae, Pool #CB0310   1.50   4/1/36   281 
 86   Fannie Mae, Pool #MA4445   1.50   10/1/41   66 
 435   Fannie Mae, Pool #MA4354   1.50   6/1/51   313 
 390   Fannie Mae, Pool #MA4343   1.50   5/1/51   280 
 448   Fannie Mae, Pool #MA4397   1.50   8/1/51   321 
 142   Fannie Mae, Pool #MA4310   1.50   4/1/41   108 
 379   Fannie Mae, Pool #CA7696   1.50   11/1/50   272 
 401   Fannie Mae, Pool #MA4280   1.50   3/1/51   287 
 247   Fannie Mae, Pool #BQ5781   1.50   11/1/35   207 
 175   Fannie Mae, Pool #MA4266   1.50   2/1/41   133 
 408   Fannie Mae, Pool #CB0711   1.50   6/1/51   296 
 42   Fannie Mae, Pool #MA4342   1.50   5/1/41   32 
 79   Fannie Mae, Pool #MA4286   1.50   3/1/41   60 
 372   Fannie Mae, Pool #FM6579   1.50   3/1/51   269 
 133   Fannie Mae, Pool #FS2037   1.50   5/1/37   110 
 168   Fannie Mae, Pool #MA4386   1.50   7/1/41   128 
 320   Fannie Mae, Pool #MA4236   1.50   1/1/51   230 
 378   Fannie Mae, Pool #CA7695   1.50   11/1/50   272 
 95   Fannie Mae, Pool #BT2055   1.50   3/1/37   79 
 105   Fannie Mae, Pool #MA4122   1.50   9/1/35   87 
 370   Fannie Mae, Pool #MA4441   1.50   10/1/36   308 
 305   Fannie Mae, Pool #BQ3141   1.50   10/1/35   255 
 200   Fannie Mae, Pool #MA4302   1.50   4/1/36   167 
 286   Fannie Mae, Pool #FS1327   1.50   6/1/36   239 
 354   Fannie Mae, Pool #MA4360   2.00   6/1/36   304 
 351   Fannie Mae, Pool #BQ8341   2.00   12/1/50   267 
 9   Fannie Mae, Pool #CA0052   2.00   7/1/32   8 
 312   Fannie Mae, Pool #CA7224   2.00   10/1/50   237 
 318   Fannie Mae, Pool #CA9183   2.00   2/1/36   274 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$400   Fannie Mae, Pool #CB0497   2.00   5/1/51  $308 
 363   Fannie Mae, Pool #CA8850   2.00   2/1/51   278 
 397   Fannie Mae, Pool #CB0684   2.00   6/1/51   304 
 380   Fannie Mae, Pool #FM5308   2.00   12/1/50   290 
 41   Fannie Mae, Pool #MA4071   2.00   7/1/40   33 
 30   Fannie Mae, Pool #MA4093   2.00   8/1/40   24 
 425   Fannie Mae, Pool #FM9441   2.00   4/1/51   324 
 147   Fannie Mae, Pool #MA4204   2.00   12/1/40   119 
 447   Fannie Mae, Pool #FS1334   2.00   11/1/51   342 
 390   Fannie Mae, Pool #CB0325   2.00   4/1/51   299 
 419   Fannie Mae, Pool #BT0240   2.00   9/1/51   319 
 237   Fannie Mae, Pool #FM5044   2.00   12/1/50   182 
 377   Fannie Mae, Pool #FM6448   2.00   3/1/51   290 
 324   Fannie Mae, Pool #BP9370   2.00   7/1/50   247 
 356   Fannie Mae, Pool #BQ3004   2.00   10/1/50   271 
 338   Fannie Mae, Pool #BQ7777   2.00   3/1/36   290 
 15   Fannie Mae, Pool #AY4232   2.00   5/1/30   13 
 358   Fannie Mae, Pool #MA4602   2.00   5/1/37   306 
 443   Fannie Mae, Pool #MA4536   2.00   2/1/37   379 
 43   Fannie Mae, Pool #FM9724   2.00   11/1/36   37 
 398   Fannie Mae, Pool #CA8687   2.00   1/1/51   306 
 230   Fannie Mae, Pool #BR4435   2.00   4/1/51   175 
 211   Fannie Mae, Pool #CA8118   2.00   12/1/50   161 
 230   Fannie Mae, Pool #MA4325   2.00   5/1/51   175 
 365   Fannie Mae, Pool #FM6852   2.00   5/1/51   281 
 124   Fannie Mae, Pool #FM5453   2.00   1/1/41   101 
 65   Fannie Mae, Pool #BU8781   2.00   4/1/37   55 
 458   Fannie Mae, Pool #BR0948   2.00   4/1/51   348 
 250   Fannie Mae, Pool #MA4355   2.00   6/1/51   191 
 134   Fannie Mae, Pool #MA4287   2.00   3/1/41   108 
 169   Fannie Mae, Pool #MA4333   2.00   5/1/41   135 
 89   Fannie Mae, Pool #FS0317   2.00   2/1/42   71 
 255   Fannie Mae, Pool #FS0355   2.00   9/1/51   194 
 455   Fannie Mae, Pool #BK8461   2.00   1/1/51   346 
 183   Fannie Mae, Pool #BQ5160   2.00   12/1/50   140 
 458   Fannie Mae, Pool #CA8933   2.00   2/1/51   353 
 441   Fannie Mae, Pool #FM4969   2.00   12/1/50   341 
 358   Fannie Mae, Pool #MA4281   2.00   3/1/51   274 
 369   Fannie Mae, Pool #BQ9685   2.00   1/1/51   281 
 38   Fannie Mae, Pool #MA2906   2.00   2/1/32   33 
 321   Fannie Mae, Pool #MA4303   2.00   4/1/36   275 
 271   Fannie Mae, Pool #FS1621   2.00   7/1/51   206 
 170   Fannie Mae, Pool #MA4176   2.00   11/1/40   137 
 147   Fannie Mae, Pool #BP6626   2.00   8/1/50   112 
 365   Fannie Mae, Pool #MA4128   2.00   9/1/40   296 
 86   Fannie Mae, Pool #MA4474   2.00   11/1/41   69 
 293   Fannie Mae, Pool #BU7103   2.00   12/1/51   223 
 81   Fannie Mae, Pool #AS1058   2.00   11/1/28   74 
 13   Fannie Mae, Pool #BJ4362   2.00   11/1/32   11 
 14   Fannie Mae, Pool #AS0001   2.00   7/1/28   13 
 286   Fannie Mae, Pool #FM3755   2.00   9/1/35   246 
 263   Fannie Mae, Pool #MA4208   2.00   12/1/50   201 
 332   Fannie Mae, Pool #CA7225   2.00   10/1/50   252 
 450   Fannie Mae, Pool #FM7411   2.00   5/1/51   342 
 429   Fannie Mae, Pool #MA4378   2.00   7/1/51   326 
 454   Fannie Mae, Pool #MA4511   2.00   1/1/52   345 
 359   Fannie Mae, Pool #BR2176   2.00   7/1/36   308 
 390   Fannie Mae, Pool #CA7833   2.00   11/1/50   301 
 226   Fannie Mae, Pool #MA4437   2.00   10/1/51   172 
 411   Fannie Mae, Pool #FM9579   2.00   7/1/51   313 
 239   Fannie Mae, Pool #MA4119   2.00   9/1/50   183 
 451   Fannie Mae, Pool #MA4158   2.00   10/1/50   344 
 368   Fannie Mae, Pool #MA4305   2.00   4/1/51   280 
 425   Fannie Mae, Pool #FM9704   2.00   12/1/51   327 
 509   Fannie Mae, Pool #BR4094   2.00   1/1/51   388 
 382   Fannie Mae, Pool #MA4442   2.00   10/1/36   327 
 327   Fannie Mae, Pool #MA4403   2.00   8/1/36   280 
 490   Fannie Mae, Pool #BQ5112   2.00   11/1/50   374 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$352   Fannie Mae, Pool #MA4255   2.00   2/1/51  $268 
 347   Fannie Mae, Pool #MA4237   2.00   1/1/51   265 
 403   Fannie Mae, Pool #CB1620   2.00   9/1/51   309 
 406   Fannie Mae, Pool #MA4182   2.00   11/1/50   310 
 114   Fannie Mae, Pool #MA4155   2.00   10/1/35   98 
 424   Fannie Mae, Pool #CB1787   2.00   10/1/51   325 
 219   Fannie Mae, Pool #FM4039   2.00   10/1/35   189 
 391   Fannie Mae, Pool #CA8110   2.00   12/1/50   301 
 443   Fannie Mae, Pool #CA8252   2.00   12/1/45   338 
 365   Fannie Mae, Pool #FM6555   2.00   4/1/51   281 
 461   Fannie Mae, Pool #CA9273   2.00   2/1/51   354 
 495   Fannie Mae, Pool #FM4788   2.00   11/1/50   380 
 45   Fannie Mae, Pool #FS0547   2.50   2/1/52   36 
 417   Fannie Mae, Pool #FS0030   2.50   4/1/51   331 
 237   Fannie Mae, Pool #BP5878   2.50   6/1/50   189 
 99   Fannie Mae, Pool #MA3765   2.50   9/1/49   79 
 112   Fannie Mae, Pool #FS1340   2.50   3/1/52   89 
 48   Fannie Mae, Pool #AS8892   2.50   2/1/32   43 
 19   Fannie Mae, Pool #BJ3742   2.50   12/1/32   17 
 4   Fannie Mae, Pool #MA2789   2.50   10/1/36   4 
 18   Fannie Mae, Pool #MA2868   2.50   1/1/32   16 
 35   Fannie Mae, Pool #AS8246   2.50   11/1/31   31 
 13   Fannie Mae, Pool #AS8437   2.50   12/1/36   11 
 180   Fannie Mae, Pool #MA4075   2.50   7/1/35   159 
 27   Fannie Mae, Pool #MA3801   2.50   10/1/49   21 
 29   Fannie Mae, Pool #AT2717   2.50   5/1/43   24 
 257   Fannie Mae, Pool #MA4256   2.50   2/1/51   204 
 11   Fannie Mae, Pool #MA3830   2.50   11/1/39   9 
 47   Fannie Mae, Pool #MA3764   2.50   9/1/34   42 
 249   Fannie Mae, Pool #FM4231   2.50   9/1/50   199 
 7   Fannie Mae, Pool #MA2888   2.50   1/1/47   6 
 28   Fannie Mae, Pool #BJ3944   2.50   1/1/33   25 
 55   Fannie Mae, Pool #BE3032   2.50   1/1/32   49 
 466   Fannie Mae, Pool #FS0235   2.50   1/1/52   370 
 388   Fannie Mae, Pool #MA4517   2.50   1/1/37   343 
 143   Fannie Mae, Pool #BQ0329   2.50   7/1/50   114 
 87   Fannie Mae, Pool #MA3154   2.50   10/1/32   77 
 405   Fannie Mae, Pool #FM9033   2.50   10/1/51   324 
 431   Fannie Mae, Pool #CB1828   2.50   10/1/51   342 
 460   Fannie Mae, Pool #CA9289   2.50   2/1/51   366 
 285   Fannie Mae, Pool #FM3878   2.50   7/1/50   230 
 138   Fannie Mae, Pool #MA3990   2.50   4/1/50   110 
 418   Fannie Mae, Pool #CB1784   2.50   10/1/51   331 
 20   Fannie Mae, Pool #MA3737   2.50   8/1/34   18 
 6   Fannie Mae, Pool #AS8172   2.50   10/1/36   5 
 74   Fannie Mae, Pool #AB7391   2.50   12/1/42   61 
 241   Fannie Mae, Pool #MA4078   2.50   7/1/50   192 
 461   Fannie Mae, Pool #CB2523   2.50   1/1/52   369 
 64   Fannie Mae, Pool #MA4053   2.50   6/1/35   57 
 64   Fannie Mae, Pool #AP4742   2.50   8/1/27   58 
 46   Fannie Mae, Pool #MA3896   2.50   1/1/35   41 
 243   Fannie Mae, Pool #MA4096   2.50   8/1/50   194 
 119   Fannie Mae, Pool #MA4099   2.50   8/1/35   105 
 453   Fannie Mae, Pool #FM8745   2.50   9/1/51   360 
 8   Fannie Mae, Pool #MA2854   2.50   12/1/46   7 
 62   Fannie Mae, Pool #MA3965   2.50   3/1/40   52 
 59   Fannie Mae, Pool #AS4946   2.50   5/1/30   53 
 91   Fannie Mae, Pool #MA3827   2.50   11/1/34   81 
 29   Fannie Mae, Pool #MA3217   2.50   12/1/32   26 
 409   Fannie Mae, Pool #CB1556   2.50   9/1/51   327 
 295   Fannie Mae, Pool #FM4638   2.50   10/1/50   234 
 308   Fannie Mae, Pool #FM4309   2.50   9/1/50   246 
 9   Fannie Mae, Pool #MA3788   2.50   9/1/39   7 
 140   Fannie Mae, Pool #MA3902   2.50   1/1/50   113 
 223   Fannie Mae, Pool #MA4210   2.50   12/1/50   178 
 428   Fannie Mae, Pool #BU1451   2.50   1/1/52   340 
 151   Fannie Mae, Pool #MA2730   2.50   8/1/46   123 
 232   Fannie Mae, Pool #FM2881   2.50   4/1/50   187 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$65   Fannie Mae, Pool #FM3296   2.50   5/1/35  $58 
 47   Fannie Mae, Pool #MA3955   2.50   3/1/35   41 
 25   Fannie Mae, Pool #MA4016   2.50   5/1/40   21 
 157   Fannie Mae, Pool #MA3246   2.50   1/1/33   139 
 291   Fannie Mae, Pool #CA7237   2.50   10/1/50   232 
 246   Fannie Mae, Pool #CA6304   2.50   7/1/50   196 
 227   Fannie Mae, Pool #CA6074   2.50   6/1/50   181 
 329   Fannie Mae, Pool #BQ5110   2.50   11/1/50   263 
 401   Fannie Mae, Pool #BU5917   2.50   12/1/51   323 
 407   Fannie Mae, Pool #FM8997   2.50   10/1/51   326 
 298   Fannie Mae, Pool #CA8955   2.50   2/1/51   239 
 20   Fannie Mae, Pool #AS4660   2.50   3/1/30   18 
 18   Fannie Mae, Pool #AS0513   2.50   8/1/43   15 
 9   Fannie Mae, Pool #MA1511   2.50   7/1/33   8 
 16   Fannie Mae, Pool #MA1270   2.50   11/1/32   14 
 50   Fannie Mae, Pool #AU2619   2.50   8/1/28   46 
 230   Fannie Mae, Pool #BK2588   2.50   5/1/50   184 
 14   Fannie Mae, Pool #AZ6458   2.50   7/1/30   12 
 389   Fannie Mae, Pool #MA4399   2.50   8/1/51   310 
 23   Fannie Mae, Pool #MA3282   2.50   2/1/33   21 
 58   Fannie Mae, Pool #BC9041   2.50   11/1/31   52 
 22   Fannie Mae, Pool #FM9543   2.50   12/1/51   17 
 74   Fannie Mae, Pool #MA1277   2.50   12/1/27   67 
 21   Fannie Mae, Pool #CB2979   2.50   2/1/37   18 
 76   Fannie Mae, Pool #MA1210   2.50   10/1/27   69 
 266   Fannie Mae, Pool #FM3494   2.50   4/1/48   218 
 215   Fannie Mae, Pool #FM3027   2.50   12/1/46   172 
 325   Fannie Mae, Pool #CA8131   2.50   12/1/50   260 
 60   Fannie Mae, Pool #AO3019   2.50   5/1/27   54 
 51   Fannie Mae, Pool #AU6387   2.50   11/1/28   47 
 175   Fannie Mae, Pool #MA4414   2.50   9/1/51   139 
 210   Fannie Mae, Pool #CA8132   2.50   12/1/50   168 
 324   Fannie Mae, Pool #MA4541   2.50   2/1/42   264 
 215   Fannie Mae, Pool #CB1131   2.50   7/1/51   170 
 229   Fannie Mae, Pool #BO4657   2.50   11/1/49   183 
 26   Fannie Mae, Pool #AU5334   2.50   11/1/28   24 
 395   Fannie Mae, Pool #CB0415   2.50   5/1/51   314 
 364   Fannie Mae, Pool #BR7857   2.50   5/1/51   290 
 239   Fannie Mae, Pool #MA4159   2.50   10/1/50   191 
 180   Fannie Mae, Pool #MA4183   2.50   11/1/50   144 
 256   Fannie Mae, Pool #CA6075   2.50   6/1/50   204 
 11   Fannie Mae, Pool #BA4786   3.00   2/1/31   10 
 16   Fannie Mae, Pool #MA2579   3.00   4/1/36   14 
 21   Fannie Mae, Pool #AQ3223   3.00   11/1/27   20 
 77   Fannie Mae, Pool #AS8276   3.00   11/1/46   65 
 455   Fannie Mae, Pool #CA5229   3.00   2/1/50   378 
 17   Fannie Mae, Pool #MA2832   3.00   12/1/36   15 
 74   Fannie Mae, Pool #MA2833   3.00   12/1/46   62 
 443   Fannie Mae, Pool #CB2755   3.00   2/1/52   369 
 125   Fannie Mae, Pool #AT0682   3.00   4/1/43   106 
 114   Fannie Mae, Pool #AB8897   3.00   4/1/43   97 
 23   Fannie Mae, Pool #AS8424   3.00   12/1/36   20 
 113   Fannie Mae, Pool #AL9865   3.00   2/1/47   95 
 90   Fannie Mae, Pool #BC9003   3.00   11/1/46   76 
 79   Fannie Mae, Pool #AU3735   3.00   8/1/43   67 
 23   Fannie Mae, Pool #MA3090   3.00   8/1/32   21 
 17   Fannie Mae, Pool #BM1370   3.00   4/1/37   14 
 112   Fannie Mae, Pool #MA2737   3.00   9/1/46   94 
 109   Fannie Mae, Pool #AS8414   3.00   11/1/46   92 
 32   Fannie Mae, Pool #MA2773   3.00   10/1/36   27 
 83   Fannie Mae, Pool #MA2895   3.00   2/1/47   70 
 25   Fannie Mae, Pool #MA3934   3.00   2/1/40   21 
 37   Fannie Mae, Pool #CA3788   3.00   7/1/49   31 
 27   Fannie Mae, Pool #BD5076   3.00   2/1/32   25 
 111   Fannie Mae, Pool #MA3905   3.00   1/1/50   93 
 40   Fannie Mae, Pool #BE4400   3.00   1/1/47   33 
 55   Fannie Mae, Pool #AS8521   3.00   12/1/46   47 
 66   Fannie Mae, Pool #AS4884   3.00   5/1/45   56 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$16   Fannie Mae, Pool #AT1575   3.00   5/1/43  $13 
 77   Fannie Mae, Pool #MA2863   3.00   1/1/47   65 
 10   Fannie Mae, Pool #AZ4358   3.00   7/1/30   9 
 15   Fannie Mae, Pool #BC4276   3.00   4/1/46   12 
 31   Fannie Mae, Pool #MA2425   3.00   10/1/30   29 
 35   Fannie Mae, Pool #AZ0538   3.00   9/1/30   32 
 22   Fannie Mae, Pool #CA4860   3.00   12/1/49   19 
 89   Fannie Mae, Pool #MA3082   3.00   7/1/47   75 
 5   Fannie Mae, Pool #MA3100   3.00   8/1/37   4 
 51   Fannie Mae, Pool #MA3179   3.00   11/1/47   43 
 15   Fannie Mae, Pool #BK1015   3.00   2/1/33   14 
 13   Fannie Mae, Pool #MA3185   3.00   11/1/37   11 
 21   Fannie Mae, Pool #MA3247   3.00   1/1/33   19 
 43   Fannie Mae, Pool #AS7908   3.00   9/1/46   36 
 65   Fannie Mae, Pool #AY4829   3.00   5/1/45   55 
 77   Fannie Mae, Pool #MA2246   3.00   4/1/30   71 
 413   Fannie Mae, Pool #BU8883   3.00   3/1/52   342 
 21   Fannie Mae, Pool #AU7890   3.00   9/1/28   20 
 68   Fannie Mae, Pool #MA3960   3.00   3/1/50   57 
 19   Fannie Mae, Pool #MA3958   3.00   3/1/40   16 
 37   Fannie Mae, Pool #CA3754   3.00   6/1/34   34 
 17   Fannie Mae, Pool #MA3897   3.00   1/1/35   16 
 96   Fannie Mae, Pool #CA5729   3.00   5/1/50   80 
 191   Fannie Mae, Pool #FS0831   3.00   3/1/52   159 
 27   Fannie Mae, Pool #MA2149   3.00   1/1/30   24 
 103   Fannie Mae, Pool #MA3871   3.00   12/1/49   86 
 21   Fannie Mae, Pool #CA5423   3.00   3/1/50   18 
 23   Fannie Mae, Pool #AS2312   3.00   5/1/29   21 
 18   Fannie Mae, Pool #AS3117   3.00   8/1/29   16 
 168   Fannie Mae, Pool #BP1932   3.00   4/1/50   140 
 26   Fannie Mae, Pool #MA3060   3.00   7/1/32   24 
 4   Fannie Mae, Pool #FM1585   3.00   9/1/49   3 
 150   Fannie Mae, Pool #MA4020   3.00   5/1/50   125 
 26   Fannie Mae, Pool #AS8483   3.00   12/1/46   22 
 208   Fannie Mae, Pool #AO0752   3.00   4/1/42   176 
 34   Fannie Mae, Pool #AB4483   3.00   2/1/27   31 
 65   Fannie Mae, Pool #BE1901   3.00   12/1/46   55 
 20   Fannie Mae, Pool #BJ2996   3.00   1/1/33   18 
 18   Fannie Mae, Pool #AW8295   3.00   8/1/29   16 
 46   Fannie Mae, Pool #AS1527   3.00   1/1/29   42 
 24   Fannie Mae, Pool #MA3631   3.00   4/1/34   21 
 417   Fannie Mae, Pool #CB3172   3.00   3/1/52   345 
 74   Fannie Mae, Pool #BD4225   3.00   11/1/46   62 
 34   Fannie Mae, Pool #MA3991   3.00   4/1/50   28 
 139   Fannie Mae, Pool #BO6219   3.00   12/1/49   116 
 75   Fannie Mae, Pool #BO7242   3.00   1/1/50   62 
 105   Fannie Mae, Pool #BO8947   3.00   1/1/50   88 
 37   Fannie Mae, Pool #BO9169   3.00   12/1/49   31 
 12   Fannie Mae, Pool #MA1058   3.00   5/1/32   10 
 133   Fannie Mae, Pool #BP6466   3.00   7/1/50   110 
 8   Fannie Mae, Pool #MA2065   3.00   10/1/34   7 
 55   Fannie Mae, Pool #CA5519   3.00   4/1/50   46 
 191   Fannie Mae, Pool #FM3395   3.00   6/1/50   160 
 33   Fannie Mae, Pool #FM4317   3.00   9/1/50   27 
 28   Fannie Mae, Pool #AL8861   3.00   7/1/31   25 
 39   Fannie Mae, Pool #AS8186   3.00   10/1/46   33 
 122   Fannie Mae, Pool #AT7620   3.00   6/1/43   103 
 374   Fannie Mae, Pool #CB3364   3.00   4/1/52   309 
 366   Fannie Mae, Pool #CB2759   3.00   2/1/52   303 
 15   Fannie Mae, Pool #AS4334   3.00   1/1/45   13 
 46   Fannie Mae, Pool #MA1401   3.00   4/1/33   40 
 43   Fannie Mae, Pool #MA3147   3.00   10/1/47   37 
 61   Fannie Mae, Pool #AS4333   3.00   1/1/45   52 
 22   Fannie Mae, Pool #MA3304   3.00   3/1/48   19 
 28   Fannie Mae, Pool #MA2230   3.00   4/1/35   24 
 315   Fannie Mae, Pool #AB7099   3.00   11/1/42   268 
 136   Fannie Mae, Pool #CA5668   3.00   5/1/50   114 
 168   Fannie Mae, Pool #MA4048   3.00   6/1/50   140 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$37   Fannie Mae, Pool #MA3127   3.00   9/1/37  $32 
 372   Fannie Mae, Pool #AP6375   3.00   9/1/42   316 
 6   Fannie Mae, Pool #AK0006   3.00   1/1/27   6 
 30   Fannie Mae, Pool #MA2523   3.00   2/1/36   26 
 55   Fannie Mae, Pool #FM2132   3.00   1/1/50   46 
 9   Fannie Mae, Pool #MA2287   3.00   6/1/35   8 
 118   Fannie Mae, Pool #BO2201   3.00   9/1/49   99 
 31   Fannie Mae, Pool #AW7383   3.00   8/1/29   29 
 49   Fannie Mae, Pool #AY4200   3.00   5/1/45   42 
 346   Fannie Mae, Pool #FS2122   3.00   3/1/52   287 
 102   Fannie Mae, Pool #AT2014   3.00   4/1/43   87 
 147   Fannie Mae, Pool #AP2465   3.00   8/1/42   125 
 92   Fannie Mae, Pool #BC4764   3.00   10/1/46   78 
 25   Fannie Mae, Pool #MA3331   3.00   4/1/48   21 
 329   Fannie Mae, Pool #AQ7920   3.00   12/1/42   280 
 6   Fannie Mae, Pool #MA3738   3.00   8/1/34   5 
 7   Fannie Mae, Pool #AX8309   3.00   11/1/29   7 
 31   Fannie Mae, Pool #MA3744   3.00   8/1/49   26 
 6   Fannie Mae, Pool #MA3802   3.00   10/1/49   5 
 22   Fannie Mae, Pool #MA3339   3.00   4/1/33   20 
 175   Fannie Mae, Pool #AP6493   3.00   9/1/42   149 
 75   Fannie Mae, Pool #AS8784   3.00   2/1/47   63 
 25   Fannie Mae, Pool #AS8438   3.00   12/1/36   21 
 20   Fannie Mae, Pool #MA3237   3.00   1/1/48   17 
 63   Fannie Mae, Pool #AK3302   3.00   3/1/27   59 
 64   Fannie Mae, Pool #BD5545   3.00   10/1/46   54 
 7   Fannie Mae, Pool #AL9848   3.00   3/1/47   6 
 11   Fannie Mae, Pool #AS8056   3.00   10/1/46   10 
 50   Fannie Mae, Pool #AS7238   3.00   5/1/46   42 
 13   Fannie Mae, Pool #MA2897   3.00   2/1/37   11 
 205   Fannie Mae, Pool #MA3834   3.00   11/1/49   172 
 235   Fannie Mae, Pool #FS1374   3.00   3/1/52   195 
 188   Fannie Mae, Pool #MA4579   3.00   4/1/52   156 
 30   Fannie Mae, Pool #MA3831   3.00   11/1/39   26 
 82   Fannie Mae, Pool #MA3774   3.00   9/1/49   68 
 113   Fannie Mae, Pool #AS7904   3.00   9/1/46   95 
 73   Fannie Mae, Pool #MA3106   3.00   8/1/47   61 
 107   Fannie Mae, Pool #MA3937   3.00   2/1/50   90 
 28   Fannie Mae, Pool #AL9996   3.00   4/1/32   26 
 85   Fannie Mae, Pool #AS0196   3.00   8/1/28   80 
 67   Fannie Mae, Pool #FM1134   3.00   4/1/48   57 
 12   Fannie Mae, Pool #MA2087   3.00   11/1/34   10 
 16   Fannie Mae, Pool #MA2961   3.00   4/1/37   14 
 10   Fannie Mae, Pool #MA3218   3.00   12/1/32   9 
 8   Fannie Mae, Pool #MA3657   3.00   5/1/34   7 
 123   Fannie Mae, Pool #MA2956   3.00   4/1/47   103 
 9   Fannie Mae, Pool #MA3078   3.00   7/1/37   8 
 47   Fannie Mae, Pool #MA1527   3.00   8/1/33   42 
 252   Fannie Mae, Pool #BU1241   3.00   3/1/52   209 
 21   Fannie Mae, Pool #BE3861   3.00   1/1/47   17 
 92   Fannie Mae, Pool #BN7703   3.00   8/1/49   77 
 98   Fannie Mae, Pool #BO3192   3.00   10/1/49   82 
 442   Fannie Mae, Pool #CB2756   3.00   2/1/52   368 
 17   Fannie Mae, Pool #BE9547   3.00   4/1/47   14 
 120   Fannie Mae, Pool #FM1370   3.00   4/1/46   101 
 133   Fannie Mae, Pool #BD2446   3.00   1/1/47   112 
 56   Fannie Mae, Pool #FM1552   3.00   12/1/47   47 
 106   Fannie Mae, Pool #MA1307   3.00   1/1/33   94 
 47   Fannie Mae, Pool #BD5787   3.00   9/1/46   40 
 23   Fannie Mae, Pool #MA1338   3.00   2/1/33   21 
 5   Fannie Mae, Pool #BA0826   3.00   10/1/30   5 
 113   Fannie Mae, Pool #MA4079   3.00   7/1/50   94 
 92   Fannie Mae, Pool #MA2806   3.00   11/1/46   78 
 12   Fannie Mae, Pool #AR7426   3.00   7/1/43   11 
 79   Fannie Mae, Pool #BM4703   3.50   2/1/48   70 
 4   Fannie Mae, Pool #AL8776   3.50   7/1/46   3 
 18   Fannie Mae, Pool #AS5892   3.50   10/1/45   16 
 23   Fannie Mae, Pool #BC7633   3.50   6/1/46   20 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$21   Fannie Mae, Pool #MA3597   3.50   2/1/49  $18 
 26   Fannie Mae, Pool #AZ6383   3.50   9/1/45   23 
 9   Fannie Mae, Pool #CA0234   3.50   8/1/47   7 
 24   Fannie Mae, Pool #BC0163   3.50   1/1/46   21 
 58   Fannie Mae, Pool #CA0487   3.50   10/1/47   51 
 348   Fannie Mae, Pool #BU8723   3.50   6/1/52   300 
 35   Fannie Mae, Pool #BC3126   3.50   1/1/46   31 
 51   Fannie Mae, Pool #AY5303   3.50   3/1/45   45 
 5   Fannie Mae, Pool #MA2996   3.50   5/1/37   4 
 154   Fannie Mae, Pool #BM1568   3.50   7/1/47   137 
 68   Fannie Mae, Pool #BD5046   3.50   2/1/47   60 
 80   Fannie Mae, Pool #AS3133   3.50   8/1/44   71 
 58   Fannie Mae, Pool #MA1982   3.50   8/1/34   52 
 61   Fannie Mae, Pool #MA2125   3.50   12/1/44   53 
 56   Fannie Mae, Pool #AO4385   3.50   6/1/42   49 
 8   Fannie Mae, Pool #AS2081   3.50   4/1/29   8 
 19   Fannie Mae, Pool #MA3614   3.50   3/1/49   17 
 22   Fannie Mae, Pool #AX7655   3.50   1/1/45   20 
 15   Fannie Mae, Pool #MA3637   3.50   4/1/49   13 
 6   Fannie Mae, Pool #BM5446   3.50   2/1/49   5 
 75   Fannie Mae, Pool #BC1158   3.50   2/1/46   66 
 69   Fannie Mae, Pool #AL1717   3.50   5/1/27   65 
 20   Fannie Mae, Pool #BA1893   3.50   8/1/45   17 
 25   Fannie Mae, Pool #AY8856   3.50   9/1/45   22 
 37   Fannie Mae, Pool #AY3913   3.50   2/1/45   33 
 37   Fannie Mae, Pool #AY3802   3.50   2/1/45   33 
 8   Fannie Mae, Pool #MA3152   3.50   10/1/37   7 
 54   Fannie Mae, Pool #AS4771   3.50   4/1/45   47 
 55   Fannie Mae, Pool #MA3026   3.50   6/1/47   48 
 5   Fannie Mae, Pool #MA2909   3.50   2/1/37   5 
 58   Fannie Mae, Pool #AS0024   3.50   7/1/43   52 
 328   Fannie Mae, Pool #AO2548   3.50   4/1/42   291 
 38   Fannie Mae, Pool #AS5068   3.50   6/1/45   33 
 16   Fannie Mae, Pool #AE0981   3.50   3/1/41   15 
 56   Fannie Mae, Pool #FM3387   3.50   3/1/35   52 
 258   Fannie Mae, Pool #AB6017   3.50   8/1/42   229 
 24   Fannie Mae, Pool #MA2389   3.50   9/1/35   22 
 139   Fannie Mae, Pool #ZM4908   3.50   11/1/47   121 
 59   Fannie Mae, Pool #MA3663   3.50   5/1/49   51 
 25   Fannie Mae, Pool #MA3775   3.50   9/1/49   21 
 31   Fannie Mae, Pool #AS5696   3.50   8/1/45   28 
 11   Fannie Mae, Pool #MA3835   3.50   11/1/49   10 
 20   Fannie Mae, Pool #AJ4093   3.50   10/1/26   18 
 42   Fannie Mae, Pool #BE3767   3.50   7/1/47   37 
 19   Fannie Mae, Pool #FS1774   3.50   5/1/37   17 
 11   Fannie Mae, Pool #AE5487   3.50   10/1/25   11 
 385   Fannie Mae, Pool #MA4654   3.50   7/1/52   331 
 53   Fannie Mae, Pool #MA3414   3.50   7/1/48   46 
 479   Fannie Mae, Pool #MA4600   3.50   5/1/52   412 
 25   Fannie Mae, Pool #MA2923   3.50   3/1/37   23 
 48   Fannie Mae, Pool #AZ9576   3.50   12/1/45   42 
 119   Fannie Mae, Pool #MA3276   3.50   2/1/48   104 
 71   Fannie Mae, Pool #MA3238   3.50   1/1/48   62 
 3   Fannie Mae, Pool #AJ6181   3.50   12/1/26   3 
 7   Fannie Mae, Pool #BM1231   3.50   11/1/31   6 
 2   Fannie Mae, Pool #BA5031   3.50   1/1/46   1 
 51   Fannie Mae, Pool #AS7491   3.50   7/1/46   45 
 28   Fannie Mae, Pool #BM2001   3.50   12/1/46   25 
 235   Fannie Mae, Pool #CB3601   3.50   5/1/52   203 
 81   Fannie Mae, Pool #BJ2692   3.50   4/1/48   70 
 27   Fannie Mae, Pool #BJ0647   3.50   3/1/48   23 
 11   Fannie Mae, Pool #MA2495   3.50   1/1/46   10 
 99   Fannie Mae, Pool #BH9277   3.50   2/1/48   87 
 82   Fannie Mae, Pool #BH5155   3.50   9/1/47   72 
 104   Fannie Mae, Pool #AO3760   3.50   5/1/42   92 
 18   Fannie Mae, Pool #MA3692   3.50   7/1/49   15 
 30   Fannie Mae, Pool #AS5319   3.50   7/1/45   26 
 76   Fannie Mae, Pool #FM1543   3.50   11/1/48   66 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$68   Fannie Mae, Pool #MA3305   3.50   3/1/48  $59 
 26   Fannie Mae, Pool #AX5201   3.50   10/1/29   25 
 129   Fannie Mae, Pool #AQ0546   3.50   11/1/42   114 
 8   Fannie Mae, Pool #MA3634   3.50   4/1/39   7 
 51   Fannie Mae, Pool #MA3332   3.50   4/1/48   44 
 73   Fannie Mae, Pool #MA1107   3.50   7/1/32   66 
 43   Fannie Mae, Pool #AX2486   3.50   10/1/44   38 
 70   Fannie Mae, Pool #FM1911   3.50   7/1/48   62 
 51   Fannie Mae, Pool #AO4647   3.50   6/1/42   45 
 48   Fannie Mae, Pool #AS7388   3.50   6/1/46   42 
 43   Fannie Mae, Pool #FM1028   3.50   6/1/49   38 
 93   Fannie Mae, Pool #AU1635   3.50   7/1/43   82 
 55   Fannie Mae, Pool #AX9530   3.50   2/1/45   49 
 77   Fannie Mae, Pool #AZ0862   3.50   7/1/45   67 
 44   Fannie Mae, Pool #AO9140   3.50   7/1/42   39 
 8   Fannie Mae, Pool #MA3059   3.50   7/1/37   7 
 50   Fannie Mae, Pool #MA3057   3.50   7/1/47   43 
 54   Fannie Mae, Pool #AU3742   3.50   8/1/43   48 
 7   Fannie Mae, Pool #AK0706   3.50   2/1/27   7 
 5   Fannie Mae, Pool #AV6407   3.50   2/1/29   4 
 25   Fannie Mae, Pool #MA3462   3.50   9/1/33   23 
 47   Fannie Mae, Pool #BM5485   3.50   2/1/49   41 
 77   Fannie Mae, Pool #MA3182   3.50   11/1/47   67 
 141   Fannie Mae, Pool #BP1947   3.50   4/1/50   122 
 65   Fannie Mae, Pool #BM2000   3.50   5/1/47   57 
 45   Fannie Mae, Pool #AS4773   3.50   4/1/45   39 
 5   Fannie Mae, Pool #MA1021   3.50   3/1/27   4 
 39   Fannie Mae, Pool #AS6649   3.50   2/1/46   34 
 73   Fannie Mae, Pool #MA3520   3.50   11/1/48   64 
 71   Fannie Mae, Pool #AY1306   3.50   3/1/45   62 
 19   Fannie Mae, Pool #CA1191   3.50   11/1/47   16 
 58   Fannie Mae, Pool #MA3745   3.50   8/1/49   51 
 37   Fannie Mae, Pool #FM0020   3.50   7/1/49   33 
 78   Fannie Mae, Pool #BH9215   3.50   1/1/48   69 
 25   Fannie Mae, Pool #AS4772   3.50   4/1/45   22 
 8   Fannie Mae, Pool #310139   3.50   11/1/25   7 
 48   Fannie Mae, Pool #MA1980   3.50   8/1/44   42 
 94   Fannie Mae, Pool #BD2436   3.50   1/1/47   82 
 60   Fannie Mae, Pool #FM1001   3.50   11/1/48   52 
 73   Fannie Mae, Pool #MA2292   3.50   6/1/45   64 
 57   Fannie Mae, Pool #FM1566   3.50   11/1/48   50 
 65   Fannie Mae, Pool #AJ8476   3.50   12/1/41   57 
 43   Fannie Mae, Pool #AS7239   3.50   5/1/46   37 
 23   Fannie Mae, Pool #MA3494   3.50   10/1/48   20 
 48   Fannie Mae, Pool #AK7497   3.50   4/1/42   43 
 23   Fannie Mae, Pool #AZ2614   3.50   8/1/45   20 
 61   Fannie Mae, Pool #BK9038   3.50   10/1/33   57 
 4   Fannie Mae, Pool #AX0159   3.50   9/1/29   4 
 8   Fannie Mae, Pool #MA3906   3.50   1/1/50   7 
 21   Fannie Mae, Pool #AP9390   3.50   10/1/42   19 
 53   Fannie Mae, Pool #MA1059   3.50   5/1/32   49 
 44   Fannie Mae, Pool #AY4300   3.50   1/1/45   39 
 268   Fannie Mae, Pool #AO8137   3.50   8/1/42   238 
 9   Fannie Mae, Pool #MA2692   3.50   7/1/36   8 
 32   Fannie Mae, Pool #BE5258   3.50   1/1/47   28 
 21   Fannie Mae, Pool #AY2291   4.00   3/1/45   19 
 59   Fannie Mae, Pool #CA0183   4.00   8/1/47   54 
 85   Fannie Mae, Pool #FM5134   4.00   1/1/49   77 
 57   Fannie Mae, Pool #MA0641   4.00   2/1/31   56 
 4   Fannie Mae, Pool #MA3037   4.00   6/1/37   4 
 30   Fannie Mae, Pool #AS7600   4.00   7/1/46   27 
 55   Fannie Mae, Pool #MA3027   4.00   6/1/47   50 
 51   Fannie Mae, Pool #MA3121   4.00   9/1/47   46 
 88   Fannie Mae, Pool #AS7558   4.00   7/1/46   80 
 11   Fannie Mae, Pool #MA0695   4.00   4/1/31   11 
 33   Fannie Mae, Pool #AC7328   4.00   12/1/39   30 
 27   Fannie Mae, Pool #AS3903   4.00   11/1/44   25 
 117   Fannie Mae, Pool #AY1377   4.00   4/1/45   106 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$14   Fannie Mae, Pool #MA3536   4.00   12/1/48  $12 
 20   Fannie Mae, Pool #AY0025   4.00   2/1/45   18 
 7   Fannie Mae, Pool #AS3448   4.00   9/1/44   6 
 38   Fannie Mae, Pool #MA3615   4.00   3/1/49   34 
 59   Fannie Mae, Pool #MA3804   4.00   10/1/49   52 
 8   Fannie Mae, Pool #AS2117   4.00   4/1/44   8 
 22   Fannie Mae, Pool #MA3638   4.00   4/1/49   20 
 8   Fannie Mae, Pool #BM5525   4.00   3/1/31   7 
 53   Fannie Mae, Pool #BJ9169   4.00   5/1/48   48 
 122   Fannie Mae, Pool #AJ7857   4.00   12/1/41   112 
 7   Fannie Mae, Pool #MA3413   4.00   7/1/38   7 
 26   Fannie Mae, Pool #BC5559   4.00   3/1/46   23 
 72   Fannie Mae, Pool #BK7943   4.00   11/1/48   65 
 11   Fannie Mae, Pool #BJ0639   4.00   3/1/48   10 
 18   Fannie Mae, Pool #AT3872   4.00   6/1/43   17 
 69   Fannie Mae, Pool #MA2995   4.00   5/1/47   62 
 44   Fannie Mae, Pool #FM1960   4.00   5/1/49   40 
 41   Fannie Mae, Pool #AX0841   4.00   9/1/44   38 
 11   Fannie Mae, Pool #MA3216   4.00   12/1/37   11 
 17   Fannie Mae, Pool #MA0493   4.00   8/1/30   17 
 32   Fannie Mae, Pool #AS3467   4.00   10/1/44   30 
 24   Fannie Mae, Pool #BA6910   4.00   2/1/46   22 
 38   Fannie Mae, Pool #AY8981   4.00   8/1/45   35 
 42   Fannie Mae, Pool #AS3293   4.00   9/1/44   38 
 25   Fannie Mae, Pool #AS3468   4.00   10/1/44   23 
 13   Fannie Mae, Pool #BH2623   4.00   8/1/47   12 
 30   Fannie Mae, Pool #CA0237   4.00   8/1/47   27 
 5   Fannie Mae, Pool #MA2655   4.00   6/1/36   5 
 60   Fannie Mae, Pool #MA3183   4.00   11/1/47   54 
 70   Fannie Mae, Pool #AO2959   4.00   5/1/42   64 
 32   Fannie Mae, Pool #AL7347   4.00   9/1/45   29 
 20   Fannie Mae, Pool #MA3521   4.00   11/1/48   18 
 37   Fannie Mae, Pool #FM1571   4.00   12/1/48   33 
 39   Fannie Mae, Pool #FM1415   4.00   12/1/48   35 
 71   Fannie Mae, Pool #AU3753   4.00   8/1/43   65 
 5   Fannie Mae, Pool #AE0375   4.00   7/1/25   5 
 37   Fannie Mae, Pool #BK0909   4.00   7/1/48   33 
 4   Fannie Mae, Pool #AL9742   4.00   7/1/29   4 
 27   Fannie Mae, Pool #BN0594   4.00   12/1/48   25 
 22   Fannie Mae, Pool #BM4991   4.00   9/1/48   20 
 12   Fannie Mae, Pool #MA3427   4.00   7/1/33   12 
 9   Fannie Mae, Pool #AW5109   4.00   8/1/44   8 
 398   Fannie Mae, Pool #FS0016   4.00   6/1/49   360 
 155   Fannie Mae, Pool #AJ7689   4.00   12/1/41   142 
 14   Fannie Mae, Pool #AS8823   4.00   2/1/47   12 
 47   Fannie Mae, Pool #BK7608   4.00   9/1/48   42 
 40   Fannie Mae, Pool #AS8532   4.00   12/1/46   37 
 45   Fannie Mae, Pool #AS9831   4.00   6/1/47   41 
 27   Fannie Mae, Pool #BE8050   4.00   4/1/47   25 
 13   Fannie Mae, Pool #CA2469   4.00   10/1/48   11 
 25   Fannie Mae, Pool #AY1595   4.00   1/1/45   23 
 23   Fannie Mae, Pool #AL4778   4.00   10/1/32   22 
 36   Fannie Mae, Pool #AS7601   4.00   7/1/46   33 
 5   Fannie Mae, Pool #AW9041   4.00   8/1/44   5 
 34   Fannie Mae, Pool #AW5063   4.00   7/1/44   31 
 41   Fannie Mae, Pool #AV2340   4.00   12/1/43   37 
 34   Fannie Mae, Pool #MA3563   4.00   1/1/49   30 
 34   Fannie Mae, Pool #AS2498   4.00   5/1/44   31 
 6   Fannie Mae, Pool #AS7028   4.00   4/1/46   5 
 45   Fannie Mae, Pool #AS3216   4.00   9/1/44   42 
 1   Fannie Mae, Pool #BA0847   4.00   3/1/46   1 
 44   Fannie Mae, Pool #AS9486   4.00   4/1/47   39 
 15   Fannie Mae, Pool #FM1101   4.00   7/1/34   15 
 6   Fannie Mae, Pool #AC2995   4.00   9/1/24   6 
 63   Fannie Mae, Pool #BD7081   4.00   3/1/47   57 
 49   Fannie Mae, Pool #AL8387   4.00   3/1/46   45 
 381   Fannie Mae, Pool #FS3526   4.00   12/1/52   340 
 156   Fannie Mae, Pool #AJ5303   4.00   11/1/41   143 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$91   Fannie Mae, Pool #AH5859   4.00   2/1/41  $84 
 20   Fannie Mae, Pool #MA3244   4.00   1/1/38   19 
 31   Fannie Mae, Pool #BK9697   4.00   12/1/48   28 
 135   Fannie Mae, Pool #AS0531   4.00   9/1/43   124 
 7   Fannie Mae, Pool #BM4306   4.00   9/1/25   7 
 56   Fannie Mae, Pool #MA3211   4.00   12/1/47   51 
 20   Fannie Mae, Pool #CA2474   4.00   7/1/48   18 
 22   Fannie Mae, Pool #BN5258   4.00   2/1/49   20 
 63   Fannie Mae, Pool #MA3746   4.00   8/1/49   56 
 39   Fannie Mae, Pool #CA1894   4.00   6/1/48   35 
 25   Fannie Mae, Pool #BK0915   4.00   7/1/48   22 
 3   Fannie Mae, Pool #CA3084   4.00   2/1/49   2 
 40   Fannie Mae, Pool #MA3277   4.00   2/1/48   36 
 52   Fannie Mae, Pool #BM2002   4.00   10/1/47   47 
 2   Fannie Mae, Pool #AZ8874   4.00   9/1/45   1 
 52   Fannie Mae, Pool #AZ7362   4.00   11/1/45   47 
 236   Fannie Mae, Pool #MA4732   4.00   9/1/52   210 
 11   Fannie Mae, Pool #AH3394   4.00   1/1/41   10 
 33   Fannie Mae, Pool #AH6242   4.00   4/1/26   32 
 7   Fannie Mae, Pool #AL2689   4.00   2/1/27   7 
 299   Fannie Mae, Pool #190405   4.00   10/1/40   275 
 44   Fannie Mae, Pool #MA4797   4.00   11/1/37   41 
 95   Fannie Mae, Pool #BN6677   4.00   6/1/49   86 
 11   Fannie Mae, Pool #MA2455   4.00   11/1/35   10 
 15   Fannie Mae, Pool #MA3592   4.00   2/1/49   14 
 91   Fannie Mae, Pool #AZ8067   4.00   9/1/45   82 
 5   Fannie Mae, Pool #MA2536   4.00   2/1/36   5 
 50   Fannie Mae, Pool #FM0021   4.00   3/1/49   45 
 54   Fannie Mae, Pool #CA1015   4.00   1/1/48   49 
 37   Fannie Mae, Pool #BM5685   4.00   6/1/48   34 
 37   Fannie Mae, Pool #BN0334   4.00   12/1/48   34 
 22   Fannie Mae, Pool #CA0623   4.50   10/1/47   21 
 31   Fannie Mae, Pool #MA0481   4.50   8/1/30   30 
 16   Fannie Mae, Pool #MA3593   4.50   2/1/49   14 
 13   Fannie Mae, Pool #AU5302   4.50   10/1/43   12 
 8   Fannie Mae, Pool #AS0861   4.50   10/1/43   7 
 27   Fannie Mae, Pool #AB1389   4.50   8/1/40   25 
 11   Fannie Mae, Pool #AA0860   4.50   1/1/39   11 
 20   Fannie Mae, Pool #BK5283   4.50   6/1/48   19 
 49   Fannie Mae, Pool #MA3639   4.50   4/1/49   46 
 16   Fannie Mae, Pool #BM1285   4.50   5/1/47   15 
 11   Fannie Mae, Pool #CA1218   4.50   2/1/48   10 
 25   Fannie Mae, Pool #AS1638   4.50   2/1/44   24 
 13   Fannie Mae, Pool #AS8576   4.50   12/1/46   12 
 3   Fannie Mae, Pool #AW7048   4.50   6/1/44   3 
    Fannie Mae, Pool #254954   4.50   10/1/23    
 29   Fannie Mae, Pool #AS2276   4.50   4/1/44   27 
 25   Fannie Mae, Pool #AL5082   4.50   3/1/44   23 
 14   Fannie Mae, Pool #BE6489   4.50   1/1/47   13 
 11   Fannie Mae, Pool #AH6790   4.50   3/1/41   10 
 61   Fannie Mae, Pool #AE0217   4.50   8/1/40   57 
 4   Fannie Mae, Pool #BN0877   4.50   11/1/48   4 
 54   Fannie Mae, Pool #CA1711   4.50   5/1/48   50 
 134   Fannie Mae, Pool #AH7521   4.50   3/1/41   126 
 53   Fannie Mae, Pool #AI4815   4.50   6/1/41   50 
 223   Fannie Mae, Pool #MA3184   4.50   11/1/47   210 
 45   Fannie Mae, Pool #AS8157   4.50   10/1/46   43 
 40   Fannie Mae, Pool #CA0148   4.50   8/1/47   37 
 34   Fannie Mae, Pool #BE5992   4.50   2/1/47   32 
 394   Fannie Mae, Pool #MA5070   4.50   7/1/53   362 
 404   Fannie Mae, Pool #BV7928   4.50   8/1/52   371 
 48   Fannie Mae, Pool #AB3192   4.50   6/1/41   45 
 135   Fannie Mae, Pool #AH9055   4.50   4/1/41   127 
 103   Fannie Mae, Pool #AS9394   4.50   4/1/47   97 
 55   Fannie Mae, Pool #AD8529   4.50   8/1/40   50 
 202   Fannie Mae, Pool #AL1107   4.50   11/1/41   190 
 13   Fannie Mae, Pool #FM3619   4.50   1/1/50   12 
 44   Fannie Mae, Pool #AL4450   4.50   12/1/43   42 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$11   Fannie Mae, Pool #AB1470   4.50   9/1/40  $10 
 9   Fannie Mae, Pool #AL8816   4.50   9/1/45   8 
 22   Fannie Mae, Pool #MA3522   4.50   11/1/48   20 
 2   Fannie Mae, Pool #AA9781   4.50   7/1/24   2 
 4   Fannie Mae, Pool #BK8830   4.50   8/1/48   4 
 55   Fannie Mae, Pool #BK1416   4.50   5/1/48   52 
 19   Fannie Mae, Pool #MA3537   4.50   12/1/48   17 
 23   Fannie Mae, Pool #AS0575   5.00   9/1/43   22 
 332   Fannie Mae, Pool #MA4761   5.00   9/1/52   313 
 9   Fannie Mae, Pool #MA3617   5.00   3/1/49   9 
 12   Fannie Mae, Pool #CA0349   5.00   9/1/47   12 
 3   Fannie Mae, Pool #BM3781   5.00   11/1/30   3 
 21   Fannie Mae, Pool #MA3594   5.00   2/1/49   21 
 25   Fannie Mae, Pool #AL5788   5.00   5/1/42   24 
 20   Fannie Mae, Pool #BM3904   5.00   5/1/48   19 
 12   Fannie Mae, Pool #CA1795   5.00   5/1/48   12 
 12   Fannie Mae, Pool #MA3472   5.00   9/1/48   12 
 258   Fannie Mae, Pool #889117   5.00   10/1/35   253 
 14   Fannie Mae, Pool #725238   5.00   3/1/34   14 
 9   Fannie Mae, Pool #MA3708   5.00   6/1/49   8 
 20   Fannie Mae, Pool #AS0837   5.00   10/1/43   19 
 15   Fannie Mae, Pool #MA3669   5.00   5/1/49   15 
 394   Fannie Mae, Pool #MA5071   5.00   7/1/53   371 
 59   Fannie Mae, Pool #AH5988   5.00   3/1/41   57 
 9   Fannie Mae, Pool #MA3527   5.00   11/1/48   9 
 11   Fannie Mae, Pool #890621   5.00   5/1/42   11 
 11   Fannie Mae, Pool #890603   5.00   8/1/41   11 
 25   Fannie Mae, Pool #836750   5.00   10/1/35   25 
 400   Fannie Mae, Pool #MA5010   5.50   5/1/53   387 
 390   Fannie Mae, Pool #MA5072   5.50   7/1/53   377 
 371   Fannie Mae, Pool #FS3360   5.50   12/1/52   363 
    Fannie Mae, Pool #AL0725   5.50   6/1/24    
 1   Fannie Mae, Pool #A79636   5.50   7/1/38   1 
 2   Fannie Mae, Pool #A69671   5.50   12/1/37   2 
 414   Fannie Mae, Pool #890221   5.50   12/1/33   415 
 6   Fannie Mae, Pool #929451   5.50   5/1/38   6 
 48   Fannie Mae, Pool #CB5704   6.00   2/1/53   47 
 255   Fannie Mae, Pool #725228   6.00   3/1/34   258 
 59   Fannie Mae, Pool #889984   6.50   10/1/38   61 
 125   Fannie Mae, 15 YR TBA   1.50   10/25/38   104 
 175   Fannie Mae, 15 YR TBA   3.00   10/25/38   158 
 100   Fannie Mae, 15 YR TBA   3.50   10/25/38   92 
 100   Fannie Mae, 15 YR TBA   4.00   10/25/38   94 
 25   Fannie Mae, 15 YR TBA   4.50   11/25/37   24 
 150   Fannie Mae, 15 YR TBA   4.50   10/25/38   144 
 25   Fannie Mae, 15 YR TBA   5.00   11/25/34   24 
 125   Fannie Mae, 15 YR TBA   5.00   10/25/38   122 
 100   Fannie Mae, 15 YR TBA   5.50   11/25/31   99 
 50   Fannie Mae, 30 YR TBA   3.00   11/25/53   41 
 100   Fannie Mae, 30 YR TBA   3.00   10/25/53   83 
 125   Fannie Mae, 30 YR TBA   3.50   10/25/53   107 
 25   Fannie Mae, 30 YR TBA   4.00   11/25/53   22 
 225   Fannie Mae, 30 YR TBA   4.00   10/25/53   200 
 650   Fannie Mae, 30 YR TBA   4.50   10/25/53   595 
 25   Fannie Mae, 30 YR TBA   4.50   11/25/53   23 
 175   Fannie Mae, 30 YR TBA   5.00   11/25/53   165 
 2,075   Fannie Mae, 30 YR TBA   5.00   10/25/53   1,956 
 1,700   Fannie Mae, 30 YR TBA   5.50   10/25/53   1,642 
 400   Fannie Mae, 30 YR TBA   5.50   11/25/52   386 
 400   Fannie Mae, 30 YR TBA   6.00   11/25/53   395 
 1,325   Fannie Mae, 30 YR TBA   6.00   10/25/53   1,307 
 925   Fannie Mae, 30 YR TBA   6.50   10/25/53   928 
 350   Fannie Mae, 30 YR TBA   6.50   11/25/53   351 
 50   Fannie Mae, 30 YR TBA   7.00   10/25/53   51 
 358   Freddie Mac, Pool #SB8097   1.50   4/1/36   298 
 419   Freddie Mac, Pool #SB8083   1.50   1/1/36   350 
 397   Freddie Mac, Pool #SB8144   1.50   3/1/37   331 
 319   Freddie Mac, Pool #QN9521   1.50   2/1/37   265 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$182   Freddie Mac, Pool #SD8139   1.50   4/1/51  $131 
 381   Freddie Mac, Pool #QC0962   1.50   4/1/51   273 
 390   Freddie Mac, Pool #SD8154   1.50   7/1/51   280 
 70   Freddie Mac, Pool #SD8082   1.50   10/1/50   50 
 382   Freddie Mac, Pool #SB8106   1.50   6/1/36   318 
 62   Freddie Mac, Pool #RB5110   1.50   5/1/41   47 
 405   Freddie Mac, Pool #SB8088   1.50   2/1/36   338 
 344   Freddie Mac, Pool #SB8115   2.00   8/1/36   295 
 406   Freddie Mac, Pool #SD8098   2.00   10/1/50   310 
 31   Freddie Mac, Pool #G18634   2.00   3/1/32   27 
 421   Freddie Mac, Pool #SD8172   2.00   10/1/51   320 
 420   Freddie Mac, Pool #RA5155   2.00   5/1/51   318 
 348   Freddie Mac, Pool #RA3575   2.00   9/1/50   268 
 242   Freddie Mac, Pool #RB5114   2.00   6/1/41   194 
 459   Freddie Mac, Pool #QB7708   2.00   1/1/51   349 
 94   Freddie Mac, Pool #ZS7735   2.00   1/1/32   83 
 371   Freddie Mac, Pool #QB8064   2.00   1/1/51   282 
 375   Freddie Mac, Pool #QB6893   2.00   12/1/50   286 
 353   Freddie Mac, Pool #QB3926   2.00   10/1/50   269 
 357   Freddie Mac, Pool #QB3716   2.00   9/1/50   272 
 554   Freddie Mac, Pool #SB8128   2.00   11/1/36   474 
 451   Freddie Mac, Pool #SD8182   2.00   12/1/51   343 
 372   Freddie Mac, Pool #RA3205   2.00   8/1/50   287 
 402   Freddie Mac, Pool #RA5040   2.00   4/1/51   309 
 381   Freddie Mac, Pool #RA4214   2.00   12/1/50   291 
 419   Freddie Mac, Pool #QC7473   2.00   9/1/51   319 
 29   Freddie Mac, Pool #J25777   2.00   9/1/28   27 
 414   Freddie Mac, Pool #SD8079   2.00   7/1/50   316 
 251   Freddie Mac, Pool #RA5257   2.00   5/1/51   193 
 12   Freddie Mac, Pool #J25759   2.00   8/1/28   11 
 383   Freddie Mac, Pool #SB8510   2.00   2/1/36   332 
 509   Freddie Mac, Pool #RA3606   2.00   10/1/50   387 
 375   Freddie Mac, Pool #QC1333   2.00   5/1/51   285 
 458   Freddie Mac, Pool #SD8193   2.00   2/1/52   349 
 161   Freddie Mac, Pool #RB5111   2.00   5/1/41   129 
 430   Freddie Mac, Pool #SD0731   2.00   5/1/51   331 
 229   Freddie Mac, Pool #RB5121   2.00   8/1/41   184 
 376   Freddie Mac, Pool #QC1075   2.00   4/1/51   286 
 137   Freddie Mac, Pool #QD3162   2.00   12/1/51   104 
 391   Freddie Mac, Pool #SD8160   2.00   8/1/51   298 
 299   Freddie Mac, Pool #RC1727   2.00   12/1/35   257 
 127   Freddie Mac, Pool #RB5095   2.00   1/1/41   103 
 220   Freddie Mac, Pool #SB8061   2.00   9/1/35   190 
 350   Freddie Mac, Pool #SB8107   2.00   6/1/36   300 
 397   Freddie Mac, Pool #RA3328   2.00   8/1/50   305 
 366   Freddie Mac, Pool #SD8121   2.00   1/1/51   279 
 245   Freddie Mac, Pool #RA6025   2.00   10/1/51   187 
 445   Freddie Mac, Pool #RA6026   2.00   10/1/51   341 
 222   Freddie Mac, Pool #SD7537   2.00   3/1/51   171 
 401   Freddie Mac, Pool #RA5928   2.00   9/1/51   307 
 411   Freddie Mac, Pool #QC3597   2.00   6/1/51   313 
 404   Freddie Mac, Pool #QC3697   2.00   6/1/51   307 
 273   Freddie Mac, Pool #RB5153   2.00   4/1/42   216 
 434   Freddie Mac, Pool #QD0433   2.00   11/1/51   330 
 409   Freddie Mac, Pool #QD1254   2.00   11/1/51   311 
 220   Freddie Mac, Pool #RA5256   2.00   5/1/51   169 
 132   Freddie Mac, Pool #RB5141   2.00   1/1/42   106 
 350   Freddie Mac, Pool #SD8128   2.00   2/1/51   266 
 400   Freddie Mac, Pool #QO0110   2.00   4/1/37   343 
 415   Freddie Mac, Pool #SD8199   2.00   3/1/52   315 
 436   Freddie Mac, Pool #QD5748   2.00   2/1/52   331 
 474   Freddie Mac, Pool #SD8113   2.00   12/1/50   362 
 351   Freddie Mac, Pool #RA4986   2.00   4/1/51   269 
 225   Freddie Mac, Pool #QC0423   2.00   4/1/51   172 
 453   Freddie Mac, Pool #RA6333   2.00   11/1/51   347 
 399   Freddie Mac, Pool #QC6815   2.00   9/1/51   304 
 370   Freddie Mac, Pool #SB8079   2.00   12/1/35   318 
 412   Freddie Mac, Pool #RA6507   2.00   12/1/51   316 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$15   Freddie Mac, Pool #G18547   2.00   3/1/30  $13 
 398   Freddie Mac, Pool #SD8134   2.00   3/1/51   303 
 425   Freddie Mac, Pool #SD8177   2.00   11/1/51   324 
 130   Freddie Mac, Pool #RB5138   2.00   12/1/41   105 
 454   Freddie Mac, Pool #SD8188   2.00   1/1/52   345 
 227   Freddie Mac, Pool #SD8146   2.00   5/1/51   173 
 272   Freddie Mac, Pool #SD8150   2.00   6/1/51   207 
 435   Freddie Mac, Pool #QC6925   2.00   9/1/51   331 
 413   Freddie Mac, Pool #QB9896   2.00   3/1/51   314 
 416   Freddie Mac, Pool #QC4423   2.00   7/1/51   316 
 207   Freddie Mac, Pool #SD8067   2.50   6/1/50   165 
 128   Freddie Mac, Pool #SB0301   2.50   4/1/35   113 
 451   Freddie Mac, Pool #SD8194   2.50   2/1/52   358 
 119   Freddie Mac, Pool #G18611   2.50   9/1/31   106 
 39   Freddie Mac, Pool #ZS8692   2.50   4/1/33   35 
 59   Freddie Mac, Pool #ZS4687   2.50   11/1/46   48 
 338   Freddie Mac, Pool #SD8141   2.50   4/1/51   269 
 332   Freddie Mac, Pool #RA4527   2.50   2/1/51   266 
 54   Freddie Mac, Pool #RB5054   2.50   6/1/40   45 
 12   Freddie Mac, Pool #G18665   2.50   11/1/32   11 
 37   Freddie Mac, Pool #J35643   2.50   11/1/31   34 
 22   Freddie Mac, Pool #RA6815   2.50   2/1/52   17 
 232   Freddie Mac, Pool #QA9142   2.50   5/1/50   185 
 155   Freddie Mac, Pool #QA5290   2.50   12/1/49   124 
 172   Freddie Mac, Pool #RA2645   2.50   6/1/50   137 
 395   Freddie Mac, Pool #RA5802   2.50   9/1/51   317 
 410   Freddie Mac, Pool #RA6019   2.50   10/1/51   329 
 275   Freddie Mac, Pool #SD8099   2.50   10/1/50   220 
 48   Freddie Mac, Pool #ZK8425   2.50   12/1/31   43 
 23   Freddie Mac, Pool #G18704   2.50   6/1/33   21 
 423   Freddie Mac, Pool #RA6340   2.50   11/1/51   339 
 450   Freddie Mac, Pool #SD8147   2.50   5/1/51   358 
 422   Freddie Mac, Pool #SD8189   2.50   1/1/52   336 
 4   Freddie Mac, Pool #J30875   2.50   3/1/30   3 
 297   Freddie Mac, Pool #SD8151   2.50   6/1/51   236 
 281   Freddie Mac, Pool #QB3703   2.50   9/1/50   224 
 375   Freddie Mac, Pool #QC2031   2.50   5/1/51   299 
 295   Freddie Mac, Pool #SD8167   2.50   9/1/51   234 
 292   Freddie Mac, Pool #QB3287   2.50   8/1/50   233 
 311   Freddie Mac, Pool #SD8114   2.50   12/1/50   248 
 136   Freddie Mac, Pool #SB8108   2.50   6/1/36   120 
 245   Freddie Mac, Pool #RA3528   2.50   9/1/50   197 
 313   Freddie Mac, Pool #RA2643   2.50   6/1/50   249 
 116   Freddie Mac, Pool #RB5086   2.50   11/1/40   97 
 467   Freddie Mac, Pool #SD8212   2.50   5/1/52   371 
 392   Freddie Mac, Pool #QC2251   2.50   5/1/51   312 
 157   Freddie Mac, Pool #SD8083   2.50   8/1/50   125 
 34   Freddie Mac, Pool #SB8062   2.50   9/1/35   30 
 139   Freddie Mac, Pool #SD8055   2.50   4/1/50   111 
 304   Freddie Mac, Pool #SD8122   2.50   1/1/51   243 
 282   Freddie Mac, Pool #RA2634   2.50   5/1/50   226 
 235   Freddie Mac, Pool #RA2595   2.50   5/1/50   188 
 339   Freddie Mac, Pool #SD0412   2.50   8/1/50   274 
 96   Freddie Mac, Pool #J38477   2.50   2/1/33   87 
 449   Freddie Mac, Pool #RA6765   2.50   2/1/52   359 
 78   Freddie Mac, Pool #G18680   2.50   3/1/33   70 
 9   Freddie Mac, Pool #G08638   2.50   4/1/45   7 
 44   Freddie Mac, Pool #G18533   2.50   12/1/29   41 
 452   Freddie Mac, Pool #RA6621   2.50   1/1/52   362 
 428   Freddie Mac, Pool #QD5204   2.50   1/1/52   341 
 21   Freddie Mac, Pool #SB8053   2.50   7/1/35   19 
 51   Freddie Mac, Pool #G18470   2.50   6/1/28   47 
 52   Freddie Mac, Pool #RB5072   2.50   9/1/40   44 
 397   Freddie Mac, Pool #SD8183   2.50   12/1/51   315 
 53   Freddie Mac, Pool #G18635   2.50   3/1/32   48 
 31   Freddie Mac, Pool #C09026   2.50   2/1/43   26 
 13   Freddie Mac, Pool #C91904   2.50   11/1/36   11 
 67   Freddie Mac, Pool #J26408   2.50   11/1/28   60 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$87   Freddie Mac, Pool #QE2352   2.50   5/1/52  $69 
 8   Freddie Mac, Pool #G18472   2.50   7/1/28   8 
 374   Freddie Mac, Pool #RA5286   2.50   5/1/51   298 
 9   Freddie Mac, Pool #G08755   2.50   2/1/47   7 
 59   Freddie Mac, Pool #G18568   2.50   9/1/30   53 
 24   Freddie Mac, Pool #Q42878   2.50   9/1/46   19 
 308   Freddie Mac, Pool #SD8129   2.50   2/1/51   245 
 10   Freddie Mac, Pool #ZT2094   2.50   6/1/34   9 
 43   Freddie Mac, Pool #J23440   2.50   4/1/28   40 
 23   Freddie Mac, Pool #J25585   2.50   9/1/28   21 
 250   Freddie Mac, Pool #RB5157   2.50   5/1/42   204 
 406   Freddie Mac, Pool #QC9156   2.50   10/1/51   323 
 317   Freddie Mac, Pool #RA2897   2.50   6/1/50   254 
 36   Freddie Mac, Pool #J18954   2.50   4/1/27   33 
 417   Freddie Mac, Pool #RA6493   2.50   12/1/51   331 
 230   Freddie Mac, Pool #SD8205   2.50   4/1/52   183 
 394   Freddie Mac, Pool #RA5832   2.50   9/1/51   315 
 329   Freddie Mac, Pool #SD0578   2.50   3/1/51   261 
 406   Freddie Mac, Pool #QC7457   2.50   9/1/51   323 
 73   Freddie Mac, Pool #SB8045   2.50   5/1/35   64 
 114   Freddie Mac, Pool #RB5043   2.50   4/1/40   96 
 42   Freddie Mac, Pool #ZS8483   2.50   3/1/28   39 
 426   Freddie Mac, Pool #SD0780   2.50   12/1/51   341 
 347   Freddie Mac, Pool #SD8021   2.50   9/1/49   278 
 59   Freddie Mac, Pool #J37902   2.50   11/1/32   53 
 22   Freddie Mac, Pool #G18485   2.50   10/1/28   21 
 453   Freddie Mac, Pool #SD1011   2.50   4/1/52   360 
 23   Freddie Mac, Pool #RB5162   3.00   6/1/42   19 
 95   Freddie Mac, Pool #SD8242   3.00   9/1/52   79 
 24   Freddie Mac, Pool #J36428   3.00   2/1/32   22 
 31   Freddie Mac, Pool #G08648   3.00   6/1/45   26 
 20   Freddie Mac, Pool #J38675   3.00   3/1/33   19 
 36   Freddie Mac, Pool #G08640   3.00   5/1/45   31 
 12   Freddie Mac, Pool #Q18599   3.00   6/1/43   11 
 22   Freddie Mac, Pool #G18582   3.00   1/1/31   20 
 95   Freddie Mac, Pool #ZS4621   3.00   7/1/45   81 
 22   Freddie Mac, Pool #G30945   3.00   9/1/36   19 
 43   Freddie Mac, Pool #ZT0195   3.00   9/1/46   36 
 7   Freddie Mac, Pool #G30999   3.00   2/1/37   6 
 44   Freddie Mac, Pool #ZS4688   3.00   11/1/46   37 
 16   Freddie Mac, Pool #G18715   3.00   12/1/33   15 
 66   Freddie Mac, Pool #QA8065   3.00   3/1/50   55 
 47   Freddie Mac, Pool #G18518   3.00   7/1/29   43 
 53   Freddie Mac, Pool #J17774   3.00   1/1/27   50 
 116   Freddie Mac, Pool #Q16222   3.00   3/1/43   98 
 348   Freddie Mac, Pool #SD8174   3.00   10/1/51   289 
 53   Freddie Mac, Pool #ZT1323   3.00   10/1/48   44 
 51   Freddie Mac, Pool #Q20067   3.00   7/1/43   43 
 38   Freddie Mac, Pool #C91707   3.00   6/1/33   35 
 58   Freddie Mac, Pool #RA2594   3.00   5/1/50   48 
 70   Freddie Mac, Pool #ZS4693   3.00   12/1/46   59 
 41   Freddie Mac, Pool #ZT0715   3.00   9/1/48   34 
 2   Freddie Mac, Pool #Q39527   3.00   3/1/46   1 
 22   Freddie Mac, Pool #Q19754   3.00   7/1/43   19 
 141   Freddie Mac, Pool #SD8184   3.00   12/1/51   117 
 73   Freddie Mac, Pool #C04422   3.00   12/1/42   62 
 31   Freddie Mac, Pool #ZS8686   3.00   2/1/33   28 
 86   Freddie Mac, Pool #ZA1283   3.00   1/1/43   73 
 54   Freddie Mac, Pool #ZA2313   3.00   9/1/33   50 
 8   Freddie Mac, Pool #C91826   3.00   5/1/35   7 
 55   Freddie Mac, Pool #ZS4706   3.00   3/1/47   46 
 232   Freddie Mac, Pool #Q21065   3.00   8/1/43   197 
 204   Freddie Mac, Pool #QB1382   3.00   7/1/50   170 
 112   Freddie Mac, Pool #ZM2285   3.00   12/1/46   94 
 64   Freddie Mac, Pool #SD8074   3.00   7/1/50   54 
 48   Freddie Mac, Pool #G15145   3.00   7/1/29   44 
 115   Freddie Mac, Pool #QA9049   3.00   4/1/50   96 
 105   Freddie Mac, Pool #SD8024   3.00   11/1/49   88 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$22   Freddie Mac, Pool #G08540   3.00   8/1/43  $19 
 88   Freddie Mac, Pool #ZS4512   3.00   5/1/43   75 
 168   Freddie Mac, Pool #ZS4519   3.00   6/1/43   142 
 104   Freddie Mac, Pool #C04619   3.00   3/1/43   88 
 474   Freddie Mac, Pool #ZS4522   3.00   7/1/43   402 
 69   Freddie Mac, Pool #C91581   3.00   11/1/32   64 
 100   Freddie Mac, Pool #ZS4658   3.00   4/1/46   84 
 3   Freddie Mac, Pool #J17111   3.00   10/1/26   2 
 110   Freddie Mac, Pool #SB8046   3.00   5/1/35   100 
 27   Freddie Mac, Pool #C91819   3.00   4/1/35   24 
 55   Freddie Mac, Pool #ZM2721   3.00   2/1/47   47 
 5   Freddie Mac, Pool #C91949   3.00   9/1/37   4 
 122   Freddie Mac, Pool #G60989   3.00   12/1/46   103 
 15   Freddie Mac, Pool #G18575   3.00   11/1/30   14 
 13   Freddie Mac, Pool #J33135   3.00   11/1/30   12 
 26   Freddie Mac, Pool #C91927   3.00   5/1/37   23 
 13   Freddie Mac, Pool #C91924   3.00   4/1/37   12 
 40   Freddie Mac, Pool #G08783   3.00   10/1/47   33 
 21   Freddie Mac, Pool #C91798   3.00   12/1/34   19 
 41   Freddie Mac, Pool #SD8056   3.00   4/1/50   34 
 28   Freddie Mac, Pool #ZS4703   3.00   2/1/47   23 
 32   Freddie Mac, Pool #ZS4641   3.00   12/1/45   27 
 15   Freddie Mac, Pool #ZT2019   3.00   5/1/34   13 
 13   Freddie Mac, Pool #J38057   3.00   12/1/32   12 
 55   Freddie Mac, Pool #ZS4779   3.00   6/1/48   46 
 361   Freddie Mac, Pool #QD9881   3.00   3/1/52   299 
 19   Freddie Mac, Pool #SD8030   3.00   12/1/49   16 
 5   Freddie Mac, Pool #Q18882   3.00   5/1/43   4 
 14   Freddie Mac, Pool #J38807   3.00   4/1/33   12 
 56   Freddie Mac, Pool #ZM2169   3.00   11/1/46   47 
 12   Freddie Mac, Pool #C91905   3.00   11/1/36   11 
 80   Freddie Mac, Pool #QA1033   3.00   7/1/49   67 
 4   Freddie Mac, Pool #C91809   3.00   2/1/35   3 
 42   Freddie Mac, Pool #G18531   3.00   11/1/29   39 
 5   Freddie Mac, Pool #Q13086   3.00   11/1/42   5 
 76   Freddie Mac, Pool #ZM2089   3.00   11/1/46   64 
 137   Freddie Mac, Pool #ZS4697   3.00   1/1/47   115 
 59   Freddie Mac, Pool #G18514   3.00   6/1/29   55 
 97   Freddie Mac, Pool #Q43734   3.00   10/1/46   83 
 48   Freddie Mac, Pool #G15217   3.00   11/1/29   45 
 4   Freddie Mac, Pool #J14241   3.00   1/1/26   4 
 85   Freddie Mac, Pool #ZS4609   3.00   4/1/45   71 
 40   Freddie Mac, Pool #G18569   3.00   9/1/30   36 
 125   Freddie Mac, Pool #Q45735   3.00   1/1/47   105 
 12   Freddie Mac, Pool #G18534   3.00   12/1/29   11 
 80   Freddie Mac, Pool #G60187   3.00   8/1/45   68 
 81   Freddie Mac, Pool #G18673   3.00   1/1/33   74 
 5   Freddie Mac, Pool #C91939   3.00   6/1/37   4 
 10   Freddie Mac, Pool #C91969   3.00   1/1/38   9 
 12   Freddie Mac, Pool #J29932   3.00   11/1/29   11 
 43   Freddie Mac, Pool #Q41795   3.00   7/1/46   36 
 9   Freddie Mac, Pool #C91943   3.00   7/1/37   8 
 25   Freddie Mac, Pool #ZS4759   3.50   3/1/48   22 
 10   Freddie Mac, Pool #C92003   3.50   7/1/38   9 
 61   Freddie Mac, Pool #ZS4622   3.50   7/1/45   53 
 70   Freddie Mac, Pool #ZS4642   3.50   12/1/45   61 
 9   Freddie Mac, Pool #C91940   3.50   6/1/37   8 
 69   Freddie Mac, Pool #G08641   3.50   5/1/45   60 
 68   Freddie Mac, Pool #ZS4651   3.50   3/1/46   59 
 15   Freddie Mac, Pool #A96409   3.50   1/1/41   13 
 99   Freddie Mac, Pool #ZS4599   3.50   1/1/45   87 
 28   Freddie Mac, Pool #G30776   3.50   7/1/35   25 
 37   Freddie Mac, Pool #Q12052   3.50   10/1/42   33 
 33   Freddie Mac, Pool #Q04087   3.50   10/1/41   29 
 29   Freddie Mac, Pool #G08698   3.50   3/1/46   25 
 98   Freddie Mac, Pool #SD8226   3.50   7/1/52   85 
 35   Freddie Mac, Pool #Q06749   3.50   3/1/42   31 
 44   Freddie Mac, Pool #ZS4704   3.50   2/1/47   39 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$48   Freddie Mac, Pool #SD2253   3.50   12/1/52  $42 
 19   Freddie Mac, Pool #J27494   3.50   2/1/29   18 
 449   Freddie Mac, Pool #SD0968   3.50   4/1/52   392 
 20   Freddie Mac, Pool #G08599   3.50   8/1/44   18 
 89   Freddie Mac, Pool #ZS4618   3.50   6/1/45   78 
 35   Freddie Mac, Pool #J15105   3.50   4/1/26   34 
 59   Freddie Mac, Pool #ZS4713   3.50   4/1/47   52 
 90   Freddie Mac, Pool #G08627   3.50   2/1/45   79 
 85   Freddie Mac, Pool #Q20860   3.50   8/1/43   75 
 35   Freddie Mac, Pool #ZS4771   3.50   6/1/48   31 
 33   Freddie Mac, Pool #G08687   3.50   1/1/46   29 
 2   Freddie Mac, Pool #E02735   3.50   10/1/25   2 
 9   Freddie Mac, Pool #J13582   3.50   11/1/25   9 
 76   Freddie Mac, Pool #G08804   3.50   3/1/48   66 
 21   Freddie Mac, Pool #G08846   3.50   11/1/48   19 
 23   Freddie Mac, Pool #G08813   3.50   5/1/48   20 
 5   Freddie Mac, Pool #C91925   3.50   4/1/37   5 
 7   Freddie Mac, Pool #G08620   3.50   12/1/44   7 
 52   Freddie Mac, Pool #G08761   3.50   5/1/47   45 
 35   Freddie Mac, Pool #Q36040   3.50   9/1/45   31 
 29   Freddie Mac, Pool #Q37449   3.50   11/1/45   25 
 78   Freddie Mac, Pool #G08766   3.50   6/1/47   68 
 55   Freddie Mac, Pool #ZS4630   3.50   9/1/45   48 
 16   Freddie Mac, Pool #RA1508   3.50   10/1/49   14 
 151   Freddie Mac, Pool #RA2469   3.50   4/1/50   132 
 29   Freddie Mac, Pool #Q58422   3.50   9/1/48   26 
 46   Freddie Mac, Pool #C91403   3.50   3/1/32   42 
 50   Freddie Mac, Pool #C91456   3.50   6/1/32   46 
 17   Freddie Mac, Pool #C91950   3.50   9/1/37   15 
 386   Freddie Mac, Pool #SD8221   3.50   6/1/52   332 
 13   Freddie Mac, Pool #C91742   3.50   1/1/34   12 
 286   Freddie Mac, Pool #SD8038   3.50   1/1/50   248 
 52   Freddie Mac, Pool #Q53176   3.50   12/1/47   46 
 12   Freddie Mac, Pool #Q31134   3.50   2/1/45   11 
 11   Freddie Mac, Pool #Q55002   3.50   3/1/48   9 
 32   Freddie Mac, Pool #G08733   3.50   11/1/46   28 
 273   Freddie Mac, Pool #ZS4487   3.50   6/1/42   241 
    Freddie Mac, Pool #J26144   3.50   10/1/23    
 27   Freddie Mac, Pool #SB0031   3.50   10/1/27   26 
 76   Freddie Mac, Pool #QA8794   3.50   4/1/50   66 
 558   Freddie Mac, Pool #SD8214   3.50   5/1/52   480 
 88   Freddie Mac, Pool #SB8183   3.50   10/1/37   81 
 20   Freddie Mac, Pool #G08605   3.50   9/1/44   17 
 36   Freddie Mac, Pool #Q57871   3.50   8/1/48   32 
 49   Freddie Mac, Pool #Q08998   3.50   6/1/42   43 
 62   Freddie Mac, Pool #G08632   3.50   3/1/45   54 
 22   Freddie Mac, Pool #C03920   3.50   5/1/42   20 
 59   Freddie Mac, Pool #Q08903   3.50   6/1/42   52 
 28   Freddie Mac, Pool #ZT1951   3.50   5/1/49   25 
 30   Freddie Mac, Pool #G18707   3.50   9/1/33   28 
 4   Freddie Mac, Pool #C91760   3.50   5/1/34   4 
 66   Freddie Mac, Pool #Q49490   3.50   7/1/47   57 
 61   Freddie Mac, Pool #Q09896   3.50   8/1/42   54 
 37   Freddie Mac, Pool #ZA5128   3.50   12/1/47   32 
 14   Freddie Mac, Pool #ZT0711   3.50   10/1/48   12 
 87   Freddie Mac, Pool #G08562   3.50   1/1/44   77 
 9   Freddie Mac, Pool #ZS4747   3.50   12/1/47   8 
 56   Freddie Mac, Pool #SD8001   3.50   7/1/49   49 
 29   Freddie Mac, Pool #ZS4663   3.50   5/1/46   25 
 121   Freddie Mac, Pool #ZS4536   3.50   10/1/43   107 
 48   Freddie Mac, Pool #Q51461   3.50   10/1/47   42 
 61   Freddie Mac, Pool #G61148   3.50   9/1/47   53 
 40   Freddie Mac, Pool #SD8011   3.50   9/1/49   35 
 26   Freddie Mac, Pool #ZS4659   3.50   4/1/46   22 
 15   Freddie Mac, Pool #SB8007   3.50   9/1/34   14 
 101   Freddie Mac, Pool #G08636   3.50   4/1/45   88 
 188   Freddie Mac, Pool #QE6074   4.00   7/1/52   168 
 6   Freddie Mac, Pool #G14453   4.00   6/1/26   6 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$2   Freddie Mac, Pool #J12435   4.00   6/1/25  $2 
 39   Freddie Mac, Pool #SD8039   4.00   1/1/50   35 
 27   Freddie Mac, Pool #C91738   4.00   11/1/33   25 
 44   Freddie Mac, Pool #ZS4573   4.00   7/1/44   40 
 5   Freddie Mac, Pool #C91923   4.00   3/1/37   5 
 59   Freddie Mac, Pool #ZS4631   4.00   9/1/45   54 
 21   Freddie Mac, Pool #ZT1840   4.00   9/1/48   19 
 80   Freddie Mac, Pool #G06506   4.00   12/1/40   73 
 19   Freddie Mac, Pool #G08836   4.00   9/1/48   17 
 36   Freddie Mac, Pool #ZT1952   4.00   5/1/49   32 
 9   Freddie Mac, Pool #ZT1800   4.00   3/1/34   9 
 389   Freddie Mac, Pool #SD8244   4.00   9/1/52   346 
 386   Freddie Mac, Pool #SD8256   4.00   10/1/52   344 
 7   Freddie Mac, Pool #C92019   4.00   10/1/38   7 
 393   Freddie Mac, Pool #SD8313   4.00   4/1/53   350 
 23   Freddie Mac, Pool #Q34081   4.00   6/1/45   21 
 26   Freddie Mac, Pool #ZT1320   4.00   11/1/48   23 
 75   Freddie Mac, Pool #ZS4627   4.00   8/1/45   68 
 483   Freddie Mac, Pool #SD8286   4.00   1/1/53   431 
 117   Freddie Mac, Pool #SD8070   4.00   6/1/50   105 
 72   Freddie Mac, Pool #ZS4708   4.00   3/1/47   65 
 22   Freddie Mac, Pool #ZA6946   4.00   5/1/49   20 
 35   Freddie Mac, Pool #Q58680   4.00   9/1/48   32 
 48   Freddie Mac, Pool #G08588   4.00   5/1/44   44 
 45   Freddie Mac, Pool #G08616   4.00   11/1/44   41 
 57   Freddie Mac, Pool #ZA4988   4.00   8/1/47   52 
 14   Freddie Mac, Pool #ZS4652   4.00   2/1/46   13 
 41   Freddie Mac, Pool #G08567   4.00   1/1/44   37 
 43   Freddie Mac, Pool #G08618   4.00   12/1/44   40 
 19   Freddie Mac, Pool #G08831   4.00   8/1/48   17 
 63   Freddie Mac, Pool #ZL7781   4.00   2/1/44   58 
 383   Freddie Mac, Pool #QE5462   4.00   7/1/52   343 
 376   Freddie Mac, Pool #SD1132   4.00   6/1/52   336 
 26   Freddie Mac, Pool #C91765   4.00   6/1/34   24 
 9   Freddie Mac, Pool #C91994   4.00   5/1/38   8 
 12   Freddie Mac, Pool #G08672   4.00   10/1/45   11 
 97   Freddie Mac, Pool #SD0290   4.00   4/1/50   88 
 31   Freddie Mac, Pool #G08767   4.00   6/1/47   28 
 3   Freddie Mac, Pool #G08642   4.00   5/1/45   3 
 37   Freddie Mac, Pool #Q27594   4.00   8/1/44   34 
 3   Freddie Mac, Pool #Q27456   4.00   7/1/44   3 
 57   Freddie Mac, Pool #ZS4731   4.00   8/1/47   51 
 224   Freddie Mac, Pool #A96286   4.00   1/1/41   207 
 6   Freddie Mac, Pool #G08633   4.00   3/1/45   6 
 48   Freddie Mac, Pool #G08459   4.00   9/1/41   44 
 26   Freddie Mac, Pool #G08637   4.00   4/1/45   24 
 21   Freddie Mac, Pool #G08483   4.00   3/1/42   19 
 22   Freddie Mac, Pool #G08601   4.00   8/1/44   20 
 32   Freddie Mac, Pool #ZT2106   4.00   3/1/49   29 
 47   Freddie Mac, Pool #G08785   4.00   10/1/47   43 
 38   Freddie Mac, Pool #C09070   4.00   12/1/44   35 
 10   Freddie Mac, Pool #ZN5030   4.00   4/1/49   9 
 386   Freddie Mac, Pool #SD8306   4.50   3/1/53   355 
 385   Freddie Mac, Pool #SD8287   4.50   1/1/53   354 
 23   Freddie Mac, Pool #ZS4781   4.50   7/1/48   21 
 368   Freddie Mac, Pool #QE9161   4.50   9/1/52   338 
 17   Freddie Mac, Pool #Q22671   4.50   11/1/43   16 
 475   Freddie Mac, Pool #A97692   4.50   3/1/41   438 
 24   Freddie Mac, Pool #Q59805   4.50   11/1/48   23 
 389   Freddie Mac, Pool #SD8266   4.50   11/1/52   357 
 45   Freddie Mac, Pool #ZT1711   4.50   2/1/49   42 
 11   Freddie Mac, Pool #G08781   4.50   9/1/47   10 
 40   Freddie Mac, Pool #A97495   4.50   3/1/41   37 
 395   Freddie Mac, Pool #SD8340   4.50   7/1/53   362 
 92   Freddie Mac, Pool #RA7928   4.50   9/1/52   85 
 7   Freddie Mac, Pool #C09059   4.50   3/1/44   7 
 89   Freddie Mac, Pool #SD8002   4.50   7/1/49   83 
 445   Freddie Mac, Pool #SD8245   4.50   9/1/52   408 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$27   Freddie Mac, Pool #Q57957   4.50   8/1/48  $25 
 22   Freddie Mac, Pool #ZT1321   4.50   11/1/48   20 
 14   Freddie Mac, Pool #G08596   4.50   7/1/44   13 
 2   Freddie Mac, Pool #E02862   4.50   3/1/26   2 
 23   Freddie Mac, Pool #G08754   4.50   3/1/47   22 
 18   Freddie Mac, Pool #G60512   4.50   12/1/45   17 
 17   Freddie Mac, Pool #Q25432   4.50   3/1/44   16 
 23   Freddie Mac, Pool #ZS4774   4.50   5/1/48   21 
 35   Freddie Mac, Pool #G08759   4.50   4/1/47   33 
 4   Freddie Mac, Pool #A90437   4.50   1/1/40   4 
 5   Freddie Mac, Pool #SD0093   5.00   10/1/49   5 
 53   Freddie Mac, Pool #ZT1779   5.00   3/1/49   51 
 392   Freddie Mac, Pool #SD8288   5.00   1/1/53   370 
 394   Freddie Mac, Pool #SD8323   5.00   5/1/53   372 
 62   Freddie Mac, Pool #Q00763   5.00   5/1/41   60 
 392   Freddie Mac, Pool #SD8341   5.00   7/1/53   370 
 198   Freddie Mac, Pool #C01598   5.00   8/1/33   188 
 13   Freddie Mac, Pool #G05205   5.00   1/1/39   13 
 386   Freddie Mac, Pool #SD8299   5.00   2/1/53   364 
 398   Freddie Mac, Pool #SD8315   5.00   4/1/53   375 
 6   Freddie Mac, Pool #G08838   5.00   9/1/48   6 
 88   Freddie Mac, Pool #G04913   5.00   3/1/38   86 
 5   Freddie Mac, Pool #G07068   5.00   7/1/41   5 
 1   Freddie Mac, Pool #G06091   5.50   5/1/40   1 
 389   Freddie Mac, Pool #SD8342   5.50   7/1/53   376 
 30   Freddie Mac, Pool #G06031   5.50   3/1/40   30 
 386   Freddie Mac, Pool #SD8331   5.50   6/1/53   373 
 378   Freddie Mac, Pool #SD8300   5.50   2/1/53   366 
 123   Freddie Mac, Pool #G01665   5.50   3/1/34   123 
 24   Freddie Mac, Pool #G03551   6.00   11/1/37   25 
 392   Freddie Mac, Pool #SD8350   6.00   8/1/53   387 
 13   Freddie Mac, Pool #G05709   6.00   6/1/38   13 
 248   Freddie Mac, Pool #SD8325   6.00   5/1/53   245 
 2   Freddie Mac, Pool #A62706   6.00   6/1/37   2 
 114   Freddie Mac, Pool #G02794   6.00   5/1/37   117 
 507   Government National Mortgage Association, Pool #MA7311   2.00   4/20/51   401 
 179   Government National Mortgage Association, Pool #MA6864   2.00   9/20/50   142 
 251   Government National Mortgage Association, Pool #MA7533   2.00   8/20/51   198 
 321   Government National Mortgage Association, Pool #MA7135   2.00   1/20/51   254 
 414   Government National Mortgage Association, Pool #MA7986   2.00   4/20/52   327 
 189   Government National Mortgage Association, Pool #MA7880   2.00   2/20/52   150 
 375   Government National Mortgage Association, Pool #MA8041   2.00   5/20/52   295 
 592   Government National Mortgage Association, Pool #MA7826   2.00   1/20/52   467 
 352   Government National Mortgage Association, Pool #MA7417   2.00   6/20/51   278 
 457   Government National Mortgage Association, Pool #MA7471   2.00   7/20/51   361 
 329   Government National Mortgage Association, Pool #MA7366   2.00   5/20/51   260 
 302   Government National Mortgage Association, Pool #MA6930   2.00   10/20/50   239 
 312   Government National Mortgage Association, Pool #MA6818   2.00   8/20/50   247 
 569   Government National Mortgage Association, Pool #MA7704   2.00   11/20/51   449 
 357   Government National Mortgage Association, Pool #MA7051   2.00   12/20/50   283 
 333   Government National Mortgage Association, Pool #MA7254   2.00   3/20/51   263 
 398   Government National Mortgage Association, Pool #MA7588   2.00   9/20/51   314 
 440   Government National Mortgage Association, Pool #MA7766   2.00   12/20/51   347 
 408   Government National Mortgage Association, Pool #MA6994   2.00   11/20/50   325 
 632   Government National Mortgage Association, Pool #MA7935   2.00   3/20/52   498 
 5   Government National Mortgage Association, Pool #MA4355   2.50   4/20/32   5 
 545   Government National Mortgage Association, Pool #MA7534   2.50   8/20/51   446 
 184   Government National Mortgage Association, Pool #MA7705   2.50   11/20/51   150 
 407   Government National Mortgage Association, Pool #MA7589   2.50   9/20/51   333 
 13   Government National Mortgage Association, Pool #776954   2.50   11/15/42   11 
 441   Government National Mortgage Association, Pool #MA7827   2.50   1/20/52   360 
 18   Government National Mortgage Association, Pool #MA4067   2.50   11/20/46   15 
 368   Government National Mortgage Association, Pool #MA7367   2.50   5/20/51   302 
 10   Government National Mortgage Association, Pool #MA1133   2.50   7/20/28   9 
 16   Government National Mortgage Association, Pool #MA4717   2.50   9/20/47   13 
 174   Government National Mortgage Association, Pool #MA6655   2.50   5/20/50   143 
 403   Government National Mortgage Association, Pool #MA7936   2.50   3/20/52   329 
 11   Government National Mortgage Association, Pool #MA4194   2.50   1/20/47   9 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$6   Government National Mortgage Association, Pool #MA2890   2.50   6/20/45  $5 
 307   Government National Mortgage Association, Pool #MA7193   2.50   2/20/51   252 
 194   Government National Mortgage Association, Pool #MA6819   2.50   8/20/50   160 
 180   Government National Mortgage Association, Pool #MA4260   2.50   2/20/47   150 
 405   Government National Mortgage Association, Pool #MA7881   2.50   2/20/52   331 
 350   Government National Mortgage Association, Pool #MA7418   2.50   6/20/51   287 
 421   Government National Mortgage Association, Pool #MA7052   2.50   12/20/50   346 
 14   Government National Mortgage Association, Pool #AA8341   2.50   2/15/28   13 
 359   Government National Mortgage Association, Pool #MA7472   2.50   7/20/51   294 
 185   Government National Mortgage Association, Pool #MA4125   2.50   12/20/46   154 
 381   Government National Mortgage Association, Pool #MA7649   2.50   10/20/51   311 
 328   Government National Mortgage Association, Pool #MA7312   2.50   4/20/51   269 
 33   Government National Mortgage Association, Pool #MA1283   2.50   9/20/43   28 
 379   Government National Mortgage Association, Pool #MA6865   2.50   9/20/50   311 
 264   Government National Mortgage Association, Pool #MA6995   2.50   11/20/50   217 
 9   Government National Mortgage Association, Pool #MA0908   2.50   4/20/28   9 
 246   Government National Mortgage Association, Pool #MA6931   2.50   10/20/50   202 
 137   Government National Mortgage Association, Pool #MA6540   2.50   3/20/50   113 
 318   Government National Mortgage Association, Pool #MA7255   2.50   3/20/51   260 
 296   Government National Mortgage Association, Pool #MA8042   2.50   5/20/52   241 
 11   Government National Mortgage Association, Pool #MA4424   2.50   5/20/32   9 
 406   Government National Mortgage Association, Pool #MA7987   2.50   4/20/52   332 
 87   Government National Mortgage Association, Pool #MA6598   2.50   4/20/50   72 
 416   Government National Mortgage Association, Pool #MA7136   2.50   1/20/51   341 
 15   Government National Mortgage Association, Pool #MA0601   2.50   12/20/27   14 
 385   Government National Mortgage Association, Pool #MA8147   2.50   7/20/52   315 
 559   Government National Mortgage Association, Pool #MA7767   2.50   12/20/51   457 
 410   Government National Mortgage Association, Pool #MA6709   2.50   6/20/50   337 
 10   Government National Mortgage Association, Pool #711729   2.50   3/15/43   9 
 103   Government National Mortgage Association, Pool #MA2147   3.00   8/20/44   89 
 94   Government National Mortgage Association, Pool #AA6149   3.00   3/20/43   81 
 128   Government National Mortgage Association, Pool #MA6474   3.00   2/20/50   110 
 7   Government National Mortgage Association, Pool #AN5756   3.00   7/15/45   6 
 9   Government National Mortgage Association, Pool #MA2797   3.00   5/20/30   9 
 148   Government National Mortgage Association, Pool #MA4899   3.00   12/20/47   127 
 69   Government National Mortgage Association, Pool #MA3802   3.00   7/20/46   59 
 50   Government National Mortgage Association, Pool #MA2444   3.00   12/20/44   43 
 127   Government National Mortgage Association, Pool #AD8433   3.00   7/15/43   112 
 368   Government National Mortgage Association, Pool #MA7768   3.00   12/20/51   312 
 19   Government National Mortgage Association, Pool #MA1265   3.00   9/20/28   18 
 29   Government National Mortgage Association, Pool #MA4068   3.00   11/20/46   25 
 139   Government National Mortgage Association, Pool #MA4261   3.00   2/20/47   120 
 49   Government National Mortgage Association, Pool #MA3873   3.00   8/20/46   43 
 59   Government National Mortgage Association, Pool #MA4320   3.00   3/20/47   51 
 335   Government National Mortgage Association, Pool #MA6218   3.00   10/20/49   288 
 6   Government National Mortgage Association, Pool #MA1890   3.00   5/20/29   6 
 20   Government National Mortgage Association, Pool #MA3520   3.00   3/20/46   17 
 152   Government National Mortgage Association, Pool #MA5076   3.00   3/20/48   130 
 52   Government National Mortgage Association, Pool #MA3104   3.00   9/20/45   45 
 147   Government National Mortgage Association, Pool #MA4195   3.00   1/20/47   127 
 128   Government National Mortgage Association, Pool #MA0391   3.00   9/20/42   110 
 123   Government National Mortgage Association, Pool #MA3735   3.00   6/20/46   106 
 164   Government National Mortgage Association, Pool #MA4003   3.00   10/20/46   142 
 55   Government National Mortgage Association, Pool #MA3309   3.00   12/20/45   48 
 46   Government National Mortgage Association, Pool #MA2825   3.00   5/20/45   40 
 450   Government National Mortgage Association, Pool #MA0624   3.00   12/20/42   389 
 84   Government National Mortgage Association, Pool #MA1374   3.00   10/20/43   72 
 166   Government National Mortgage Association, Pool #MA4126   3.00   12/20/46   143 
 18   Government National Mortgage Association, Pool #MA2600   3.00   2/20/45   16 
 12   Government National Mortgage Association, Pool #AG0440   3.00   8/15/43   10 
 356   Government National Mortgage Association, Pool #MA7706   3.00   11/20/51   303 
 18   Government National Mortgage Association, Pool #MA6820   3.00   8/20/50   15 
 81   Government National Mortgage Association, Pool #MA2520   3.00   1/20/45   70 
 72   Government National Mortgage Association, Pool #MA4777   3.00   10/20/47   62 
 29   Government National Mortgage Association, Pool #MA0851   3.00   3/20/43   25 
 73   Government National Mortgage Association, Pool #MA4961   3.00   1/20/48   63 
 89   Government National Mortgage Association, Pool #MA4509   3.00   6/20/47   77 
 60   Government National Mortgage Association, Pool #MA3662   3.00   5/20/46   52 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$13   Government National Mortgage Association, Pool #AK7285   3.00   3/15/45  $11 
 136   Government National Mortgage Association, Pool #MA5018   3.00   2/20/48   117 
 4   Government National Mortgage Association, Pool #MA4935   3.00   1/20/33   4 
 100   Government National Mortgage Association, Pool #MA4836   3.00   11/20/47   86 
 15   Government National Mortgage Association, Pool #MA0205   3.00   7/20/27   14 
 55   Government National Mortgage Association, Pool #MA3596   3.00   4/20/46   47 
 77   Government National Mortgage Association, Pool #MA4450   3.00   5/20/47   66 
 61   Government National Mortgage Association, Pool #MA4381   3.00   4/20/47   53 
 17   Government National Mortgage Association, Pool #MA4559   3.00   7/20/32   15 
 79   Government National Mortgage Association, Pool #MA0153   3.00   6/20/42   68 
 96   Government National Mortgage Association, Pool #MA4651   3.00   8/20/47   83 
 4   Government National Mortgage Association, Pool #AL5058   3.00   3/15/45   3 
 44   Government National Mortgage Association, Pool #MA3172   3.00   10/20/45   38 
 71   Government National Mortgage Association, Pool #MA6283   3.00   11/20/49   61 
 122   Government National Mortgage Association, Pool #MA6409   3.00   1/20/50   105 
 71   Government National Mortgage Association, Pool #MA0461   3.00   10/20/42   62 
 44   Government National Mortgage Association, Pool #AA2654   3.00   6/15/43   38 
 69   Government National Mortgage Association, Pool #MA3033   3.00   8/20/45   59 
 47   Government National Mortgage Association, Pool #MA2960   3.00   7/20/45   41 
 112   Government National Mortgage Association, Pool #MA3936   3.00   9/20/46   96 
 3   Government National Mortgage Association, Pool #5276   3.00   1/20/27   3 
 416   Government National Mortgage Association, Pool #MA8098   3.00   6/20/52   353 
 105   Government National Mortgage Association, Pool #MA6338   3.00   12/20/49   90 
 359   Government National Mortgage Association, Pool #MA7828   3.00   1/20/52   306 
 36   Government National Mortgage Association, Pool #MA2753   3.00   4/20/45   31 
 38   Government National Mortgage Association, Pool #779084   3.00   4/15/42   34 
 22   Government National Mortgage Association, Pool #MA3243   3.00   11/20/45   19 
 206   Government National Mortgage Association, Pool #MA6656   3.00   5/20/50   176 
 68   Government National Mortgage Association, Pool #MA6089   3.00   8/20/49   58 
 15   Government National Mortgage Association, Pool #MA6766   3.00   7/20/50   13 
 9   Government National Mortgage Association, Pool #AA2934   3.00   7/15/42   8 
 67   Government National Mortgage Association, Pool #MA6710   3.00   6/20/50   57 
 233   Government National Mortgage Association, Pool #MA6599   3.00   4/20/50   199 
 90   Government National Mortgage Association, Pool #MA3034   3.50   8/20/45   80 
 125   Government National Mortgage Association, Pool #MA2073   3.50   7/20/44   113 
 378   Government National Mortgage Association, Pool #MA8199   3.50   8/20/52   331 
 40   Government National Mortgage Association, Pool #MA1838   3.50   4/20/44   36 
 44   Government National Mortgage Association, Pool #MA5263   3.50   6/20/48   39 
 37   Government National Mortgage Association, Pool #MA2371   3.50   11/20/44   33 
 79   Government National Mortgage Association, Pool #AM4971   3.50   4/20/45   69 
 39   Government National Mortgage Association, Pool #MA3454   3.50   2/20/46   35 
 59   Government National Mortgage Association, Pool #MA4719   3.50   9/20/47   53 
 52   Government National Mortgage Association, Pool #MA2961   3.50   7/20/45   47 
 43   Government National Mortgage Association, Pool #MA2445   3.50   12/20/44   39 
 66   Government National Mortgage Association, Pool #MA2678   3.50   3/20/45   59 
 25   Government National Mortgage Association, Pool #BD5909   3.50   10/15/47   22 
 124   Government National Mortgage Association, Pool #MA1157   3.50   7/20/43   111 
 107   Government National Mortgage Association, Pool #MA0934   3.50   4/20/43   96 
 122   Government National Mortgage Association, Pool #MA1090   3.50   6/20/43   109 
 124   Government National Mortgage Association, Pool #MA0462   3.50   10/20/42   111 
 50   Government National Mortgage Association, Pool #MA3736   3.50   6/20/46   44 
 53   Government National Mortgage Association, Pool #MA3874   3.50   8/20/46   47 
 45   Government National Mortgage Association, Pool #MA4778   3.50   10/20/47   40 
 57   Government National Mortgage Association, Pool #MA3803   3.50   7/20/46   51 
 176   Government National Mortgage Association, Pool #MA2148   3.50   8/20/44   158 
 54   Government National Mortgage Association, Pool #MA3310   3.50   12/20/45   48 
 2   Government National Mortgage Association, Pool #AL8566   3.50   3/15/45   2 
 112   Government National Mortgage Association, Pool #MA5019   3.50   2/20/48   99 
 16   Government National Mortgage Association, Pool #MA3937   3.50   9/20/46   14 
 14   Government National Mortgage Association, Pool #MA6339   3.50   12/20/49   13 
 86   Government National Mortgage Association, Pool #MA0088   3.50   5/20/42   77 
 87   Government National Mortgage Association, Pool #MA4837   3.50   11/20/47   76 
 220   Government National Mortgage Association, Pool #MA0220   3.50   7/20/42   197 
 77   Government National Mortgage Association, Pool #MA2303   3.50   10/20/44   69 
 15   Government National Mortgage Association, Pool #AD2416   3.50   5/15/43   14 
 80   Government National Mortgage Association, Pool #MA3244   3.50   11/20/45   71 
 10   Government National Mortgage Association, Pool #738602   3.50   8/15/26   9 
 48   Government National Mortgage Association, Pool #MA4586   3.50   7/20/47   43 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$39   Government National Mortgage Association, Pool #740798   3.50   1/15/42  $34 
 102   Government National Mortgage Association, Pool #MA3173   3.50   10/20/45   91 
 61   Government National Mortgage Association, Pool #783976   3.50   4/20/43   55 
 7   Government National Mortgage Association, Pool #MA1574   3.50   1/20/29   7 
 65   Government National Mortgage Association, Pool #MA0699   3.50   1/20/43   58 
 47   Government National Mortgage Association, Pool #MA4510   3.50   6/20/47   41 
 72   Government National Mortgage Association, Pool #MA2892   3.50   6/20/45   64 
 69   Government National Mortgage Association, Pool #MA3597   3.50   4/20/46   62 
 44   Government National Mortgage Association, Pool #MA2754   3.50   4/20/45   39 
 31   Government National Mortgage Association, Pool #MA4451   3.50   5/20/47   27 
 9   Government National Mortgage Association, Pool #MA6410   3.50   1/20/50   8 
 72   Government National Mortgage Association, Pool #MA4004   3.50   10/20/46   64 
 86   Government National Mortgage Association, Pool #MA4127   3.50   12/20/46   77 
 9   Government National Mortgage Association, Pool #MA5875   3.50   4/20/49   8 
 14   Government National Mortgage Association, Pool #796271   3.50   7/15/42   12 
 65   Government National Mortgage Association, Pool #MA4069   3.50   11/20/46   58 
 107   Government National Mortgage Association, Pool #MA0852   3.50   3/20/43   96 
 64   Government National Mortgage Association, Pool #MA4262   3.50   2/20/47   57 
 95   Government National Mortgage Association, Pool #MA3521   3.50   3/20/46   85 
 12   Government National Mortgage Association, Pool #MA6711   3.50   6/20/50   11 
 72   Government National Mortgage Association, Pool #MA4382   3.50   4/20/47   64 
 468   Government National Mortgage Association, Pool #MA8149   3.50   7/20/52   410 
 54   Government National Mortgage Association, Pool #MA5077   3.50   3/20/48   48 
 10   Government National Mortgage Association, Pool #MA6475   3.50   2/20/50   9 
 56   Government National Mortgage Association, Pool #MA3663   3.50   5/20/46   50 
 12   Government National Mortgage Association, Pool #MA5762   3.50   2/20/49   10 
 4   Government National Mortgage Association, Pool #MA1266   3.50   9/20/28   4 
 11   Government National Mortgage Association, Pool #MA6219   3.50   10/20/49   10 
 70   Government National Mortgage Association, Pool #MA3376   3.50   1/20/46   62 
 38   Government National Mortgage Association, Pool #AC3938   3.50   1/15/43   34 
 68   Government National Mortgage Association, Pool #MA4321   3.50   3/20/47   61 
 67   Government National Mortgage Association, Pool #MA0022   3.50   4/20/42   60 
 65   Government National Mortgage Association, Pool #MA4900   3.50   12/20/47   58 
 54   Government National Mortgage Association, Pool #778157   3.50   3/15/42   48 
 59   Government National Mortgage Association, Pool #MA5136   3.50   4/20/48   53 
 36   Government National Mortgage Association, Pool #MA1919   3.50   5/20/44   32 
 101   Government National Mortgage Association, Pool #MA4196   3.50   1/20/47   90 
 66   Government National Mortgage Association, Pool #MA4652   3.50   8/20/47   58 
 238   Government National Mortgage Association, Pool #MA8266   3.50   9/20/52   208 
 8   Government National Mortgage Association, Pool #766495   4.00   10/15/41   8 
 30   Government National Mortgage Association, Pool #MA2602   4.00   2/20/45   28 
 49   Government National Mortgage Association, Pool #MA1376   4.00   10/20/43   45 
 65   Government National Mortgage Association, Pool #MA2224   4.00   9/20/44   60 
 155   Government National Mortgage Association, Pool #5139   4.00   8/20/41   144 
 54   Government National Mortgage Association, Pool #MA5595   4.00   11/20/48   50 
 55   Government National Mortgage Association, Pool #MA2304   4.00   10/20/44   51 
 8   Government National Mortgage Association, Pool #MA6040   4.00   7/20/49   8 
 9   Government National Mortgage Association, Pool #779401   4.00   6/15/42   8 
 13   Government National Mortgage Association, Pool #MA6155   4.00   9/20/49   12 
 42   Government National Mortgage Association, Pool #MA5078   4.00   3/20/48   39 
 14   Government National Mortgage Association, Pool #MA6091   4.00   8/20/49   12 
 17   Government National Mortgage Association, Pool #MA5931   4.00   5/20/49   15 
 483   Government National Mortgage Association, Pool #MA8267   4.00   9/20/52   435 
 27   Government National Mortgage Association, Pool #MA3737   4.00   6/20/46   25 
 12   Government National Mortgage Association, Pool #AV6086   4.00   7/15/47   11 
 46   Government National Mortgage Association, Pool #MA0319   4.00   8/20/42   43 
 90   Government National Mortgage Association, Pool #MA4587   4.00   7/20/47   82 
 48   Government National Mortgage Association, Pool #MA4383   4.00   4/20/47   44 
 35   Government National Mortgage Association, Pool #AM8203   4.00   5/15/45   32 
 15   Government National Mortgage Association, Pool #MA3455   4.00   2/20/46   14 
 42   Government National Mortgage Association, Pool #MA3377   4.00   1/20/46   39 
 14   Government National Mortgage Association, Pool #MA5986   4.00   6/20/49   12 
 25   Government National Mortgage Association, Pool #MA2149   4.00   8/20/44   23 
 18   Government National Mortgage Association, Pool #738710   4.00   9/15/41   16 
 26   Government National Mortgage Association, Pool #MA1286   4.00   9/20/43   24 
 13   Government National Mortgage Association, Pool #MA3106   4.00   9/20/45   12 
 76   Government National Mortgage Association, Pool #MA5466   4.00   9/20/48   70 
 12   Government National Mortgage Association, Pool #MA5330   4.00   7/20/48   11 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$50   Government National Mortgage Association, Pool #MA4511   4.00   6/20/47  $46 
 41   Government National Mortgage Association, Pool #MA5710   4.00   1/20/49   38 
 15   Government National Mortgage Association, Pool #MA4322   4.00   3/20/47   14 
 46   Government National Mortgage Association, Pool #MA2522   4.00   1/20/45   42 
 27   Government National Mortgage Association, Pool #MA1996   4.00   6/20/44   25 
 20   Government National Mortgage Association, Pool #MA0155   4.00   6/20/42   19 
 11   Government National Mortgage Association, Pool #4922   4.00   1/20/41   10 
 61   Government National Mortgage Association, Pool #MA1761   4.00   3/20/44   57 
 73   Government National Mortgage Association, Pool #MA2074   4.00   7/20/44   68 
 19   Government National Mortgage Association, Pool #AD5627   4.00   4/15/43   17 
 75   Government National Mortgage Association, Pool #MA1839   4.00   4/20/44   69 
 20   Government National Mortgage Association, Pool #753254   4.00   9/15/43   18 
 41   Government National Mortgage Association, Pool #MA5876   4.00   4/20/49   38 
 43   Government National Mortgage Association, Pool #MA4197   4.00   1/20/47   39 
 35   Government National Mortgage Association, Pool #MA4263   4.00   2/20/47   33 
 23   Government National Mortgage Association, Pool #MA3245   4.00   11/20/45   21 
 389   Government National Mortgage Association, Pool #MA8200   4.00   8/20/52   351 
 46   Government National Mortgage Association, Pool #MA3598   4.00   4/20/46   42 
 18   Government National Mortgage Association, Pool #740068   4.00   9/15/40   17 
 38   Government National Mortgage Association, Pool #MA1678   4.00   2/20/44   35 
 8   Government National Mortgage Association, Pool #MA3174   4.00   10/20/45   7 
 46   Government National Mortgage Association, Pool #AB1483   4.00   8/15/42   43 
 79   Government National Mortgage Association, Pool #MA4452   4.00   5/20/47   73 
 44   Government National Mortgage Association, Pool #713876   4.00   8/15/39   40 
 50   Government National Mortgage Association, Pool #MA1449   4.00   11/20/43   46 
 55   Government National Mortgage Association, Pool #MA4653   4.00   8/20/47   51 
 7   Government National Mortgage Association, Pool #MA5987   4.50   6/20/49   6 
 14   Government National Mortgage Association, Pool #MA4780   4.50   10/20/47   13 
 51   Government National Mortgage Association, Pool #MA2756   4.50   4/20/45   48 
 11   Government National Mortgage Association, Pool #729511   4.50   4/15/40   10 
 393   Government National Mortgage Association, Pool #MA8724   4.50   3/20/53   363 
 3   Government National Mortgage Association, Pool #MA5764   4.50   2/20/49   3 
 9   Government National Mortgage Association, Pool #MA4129   4.50   12/20/46   8 
 95   Government National Mortgage Association, Pool #717148   4.50   5/15/39   90 
 12   Government National Mortgage Association, Pool #MA5711   4.50   1/20/49   11 
 29   Government National Mortgage Association, Pool #MA4512   4.50   6/20/47   27 
 17   Government National Mortgage Association, Pool #MA3805   4.50   7/20/46   16 
 32   Government National Mortgage Association, Pool #MA5818   4.50   3/20/49   30 
 12   Government National Mortgage Association, Pool #MA4721   4.50   9/20/47   11 
 13   Government National Mortgage Association, Pool #738793   4.50   9/15/41   12 
 5   Government National Mortgage Association, Pool #BB7097   4.50   8/15/47   5 
 19   Government National Mortgage Association, Pool #MA1092   4.50   6/20/43   18 
 10   Government National Mortgage Association, Pool #MA5399   4.50   8/20/48   9 
 22   Government National Mortgage Association, Pool #MA5467   4.50   9/20/48   21 
 5   Government National Mortgage Association, Pool #MA5529   4.50   10/20/48   5 
 163   Government National Mortgage Association, Pool #721760   4.50   8/15/40   154 
 58   Government National Mortgage Association, Pool #5260   4.50   12/20/41   55 
 32   Government National Mortgage Association, Pool #MA0701   4.50   1/20/43   31 
 218   Government National Mortgage Association, Pool #4801   4.50   9/20/40   207 
 57   Government National Mortgage Association, Pool #MA1762   4.50   3/20/44   54 
 40   Government National Mortgage Association, Pool #MA4384   4.50   4/20/47   38 
 37   Government National Mortgage Association, Pool #MA5652   4.50   12/20/48   35 
 376   Government National Mortgage Association, Pool #MA8151   4.50   7/20/52   347 
 10   Government National Mortgage Association, Pool #MA5596   4.50   11/20/48   9 
 570   Government National Mortgage Association, Pool #MA8877   4.50   5/20/53   526 
 4   Government National Mortgage Association, Pool #MA5877   4.50   4/20/49   3 
 35   Government National Mortgage Association, Pool #604285   5.00   5/15/33   35 
 399   Government National Mortgage Association, Pool #MA9105   5.00   8/20/53   378 
 9   Government National Mortgage Association, Pool #782468   5.00   11/15/38   9 
 9   Government National Mortgage Association, Pool #MA5765   5.00   2/20/49   8 
 5   Government National Mortgage Association, Pool #MA0465   5.00   10/20/42   5 
 4   Government National Mortgage Association, Pool #MA5712   5.00   1/20/49   4 
 9   Government National Mortgage Association, Pool #MA5530   5.00   10/20/48   9 
 15   Government National Mortgage Association, Pool #675179   5.00   3/15/38   15 
 395   Government National Mortgage Association, Pool #MA8800   5.00   4/20/53   374 
 398   Government National Mortgage Association, Pool #MA9016   5.00   7/20/53   377 
 391   Government National Mortgage Association, Pool #MA8647   5.00   2/20/53   368 
 4   Government National Mortgage Association, Pool #MA5988   5.00   6/20/49   4 

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     U.S. Government Agency Mortgages (continued)             
$9   Government National Mortgage Association, Pool #MA5080   5.00   3/20/48  $9 
 159   Government National Mortgage Association, Pool #4559   5.00   10/20/39   157 
 33   Government National Mortgage Association, Pool #MA2076   5.00   7/20/44   33 
 19   Government National Mortgage Association, Pool #MA4007   5.00   10/20/46   19 
 75   Government National Mortgage Association, Pool #782523   5.00   11/15/35   72 
 9   Government National Mortgage Association, Pool #MA5819   5.00   3/20/49   9 
 4   Government National Mortgage Association, Pool #MA5653   5.00   12/20/48   3 
 9   Government National Mortgage Association, Pool #MA5400   5.00   8/20/48   9 
 10   Government National Mortgage Association, Pool #MA5933   5.00   5/20/49   10 
 23   Government National Mortgage Association, Pool #712690   5.00   4/15/39   22 
 45   Government National Mortgage Association, Pool #694531   5.00   11/15/38   44 
 16   Government National Mortgage Association, Pool #MA5597   5.00   11/20/48   16 
 199   Government National Mortgage Association, Pool #MA8948   5.50   6/20/53   193 
 29   Government National Mortgage Association, Pool #510835   5.50   2/15/35   28 
 246   Government National Mortgage Association, Pool #MA8801   5.50   4/20/53   239 
 51   Government National Mortgage Association, Pool #783284   5.50   6/20/40   52 
 7   Government National Mortgage Association, Pool #MA0466   5.50   10/20/42   7 
 398   Government National Mortgage Association, Pool #MA9017   5.50   7/20/53   387 
 6   Government National Mortgage Association, Pool #658181   5.50   11/15/36   5 
 26   Government National Mortgage Association, Pool #781959   6.00   7/15/35   25 
 29   Government National Mortgage Association, Pool #4245   6.00   9/20/38   29 
 25   Government National Mortgage Association, Pool #4222   6.00   8/20/38   25 
 8   Government National Mortgage Association, Pool #699237   6.50   9/15/38   7 
 1,775   Government National Mortgage Association, 30 YR TBA   2.00   10/20/53   1,398 
 150   Government National Mortgage Association, 30 YR TBA   2.50   10/20/53   122 
 350   Government National Mortgage Association, 30 YR TBA   3.00   10/20/53   296 
 175   Government National Mortgage Association, 30 YR TBA   3.50   10/20/53   153 
 725   Government National Mortgage Association, 30 YR TBA   4.00   10/20/53   652 
 50   Government National Mortgage Association, 30 YR TBA   4.50   11/20/53   46 
 600   Government National Mortgage Association, 30 YR TBA   4.50   10/20/53   554 
 125   Government National Mortgage Association, 30 YR TBA   5.00   11/20/51   118 
 400   Government National Mortgage Association, 30 YR TBA   5.00   10/20/53   379 
 750   Government National Mortgage Association, 30 YR TBA   5.50   10/20/53   727 
 225   Government National Mortgage Association, 30 YR TBA   5.50   11/20/46   218 
 1,100   Government National Mortgage Association, 30 YR TBA   6.00   10/20/53   1,089 
 225   Government National Mortgage Association, 30 YR TBA   6.50   11/20/53   226 
 250   Government National Mortgage Association, 30 YR TBA   6.50   10/20/53   251 
     Total U.S. Government Agency Mortgages           171,343 
                   
     Corporate Bond — 0.10%             
 225   PG&E Wildfire Recovery Funding LLC, Series A-5 (Electric Utilities)   5.10   6/1/52   201 
     Total Corporate Bond           201 
                   
Shares                 
     Investment Company — 14.02%             
 27,779,648   State Street Institutional Treasury Plus Money Market Fund, Trust Class   5.23(b)      27,780 
     Total Investment Company           27,780 
                   
     Total Investments Before TBA Sale Commitments           213,423 
     (cost $245,515) — 107.72%             
                   

Principal Amount (000)

                 
     TBA Sale Commitments (c) — (0.12)%             
$(50)  Fannie Mae, 15 YR TBA   2.50   10/25/38   (44)
 (50)  Fannie Mae, 30 YR TBA   2.00   11/25/53   (38)
 (200)  Fannie Mae, 30 YR TBA   2.00   10/25/53   (152)
                   
     Total TBA Sale Commitments           (234)
                   
     Liabilities in excess of other assets — (7.60)%           (15,067)
     Net Assets — 100.00%          $198,122 

 

Amounts designated as "—" are $0 or have been rounded to $0.

 

(a) The rate for certain asset-backed and mortgage-backed securities may vary based on factors relating to the pool of assets underlying the security. The rate disclosed is the rate in effect on September 30, 2023.

 

 

HC CAPITAL TRUST 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

(b) Annualized 7-day yield as of period-end.
(c) Represents a "to be announced" transaction. The Portfolio has committed to sell securities for which all specific information is not available at this time.

 

TBA—To Be Announced purchase or sale commitment. Security is subject to delayed delivery

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The U.S. Mortgage/Asset Backed Fixed Income Securities Portfolio  Mellon Investments Corporation   HC Capital Solutions   Total 
Asset Backed Securities   1.47%   -    1.47%
Collateralized Mortgage Obligations   5.65%   -    5.65%
U.S. Government Agency Mortgages   86.48%   -    86.48%
Corporate Bond   0.10%   -    0.10%
Investment Company   7.79%   6.23%   14.02%
TBA Sale Commitments   -0.12%   -    -0.12%
Other Assets (Liabilities)   -7.49%   -0.11%   -7.60%
     Total Net Assets   93.88%   6.12%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category.  

 
 

HC CAPITAL TRUST 

The Short-Term Municipal Bond Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds — 98.72%             
     Alabama — 8.20%             
$1,130   Auburn University Revenue, Series A Continuously Callable @100   5.00   6/1/28  $1,144 
 2,315   City of Huntsville AL, GO, Series A   5.00   3/1/27   2,422 
 2,025   County of Baldwin AL, GO Continuously Callable @100   5.00   5/1/25   2,052 
                 5,618 
     Arizona — 9.67%             
 990   Arizona Department of Transportation State Highway Fund Revenue   5.00   7/1/28   1,053 
 1,645   Maricopa County High School District No. 214 Tolleson Union High School, GO, Series B   5.00   7/1/24   1,657 
 2,475   Maricopa County Industrial Development Authority Revenue, Series D   5.00(a)  1/1/46   2,529 
 1,350   Maricopa County Unified School District No. 41 Gilbert, GO, Series C   5.00   7/1/25   1,377 
                 6,616 
     Arkansas — 3.36%             
 2,295   Rogers School District No. 30, GO Continuously Callable @100 (State Aid Withholding)   4.00   2/1/26   2,297 
                   
     District of Columbia — 0.74%             
 500   District of Columbia, GO, Series D   5.00   6/1/24   504 
                   
     Georgia — 1.93%             
 1,300   State of Georgia, GO, Series C   4.00   1/1/27   1,317 
                   
     Illinois — 4.23%             
 1,900   Metropolitan Water Reclamation District of Greater Chicago, GO, Series C   5.00   12/1/24   1,921 
 935   State of Illinois, GO, Series D   5.00   11/1/27   975 
                 2,896 
     Indiana — 3.95%             
 2,660   Indiana Finance Authority Revenue, Series A (Pre-Refunded/Escrowed to Maturity) (Pre-Refunded/Escrowed to Maturity)   5.00   3/1/39   2,699 
                   
     Iowa — 5.36%             
 1,000   City of Ankeny IA, GO, Series A   5.00   6/1/25   1,020 
 2,105   City of Dubuque IA, GO, Series A   2.00   6/1/24   2,079 
 550   Linn-Mar Community School District, GO Continuously Callable @100 (BAM)   5.00   5/1/27   569 
                 3,668 
     Kansas — 6.04%             
 2,540   Kansas Development Finance Authority Revenue, Series D   5.00   4/1/25   2,583 
 1,465   Riley County Unified School District No. 383 Manhattan-Ogden, GO, Series A (Pre-Refunded/Escrowed to Maturity) (Pre-Refunded/Escrowed to Maturity)   5.00   9/1/36   1,547 
                 4,130 
     Maryland — 1.44%             
 900   County of Baltimore MD, GO   5.00   3/1/31   987 
                   
     Massachusetts — 2.33%             
 1,545   Massachusetts School Building Authority Revenue, Series A (Pre-Refunded/Escrowed to Maturity) (Pre-Refunded/Escrowed to Maturity)   5.00   2/15/49   1,594 
                   
     Michigan — 1.51%             
 1,065   Michigan State Housing Development Authority Revenue, Series A-1 Continuously Callable @100   0.65   10/1/24   1,030 
                   
     Missouri — 1.63%             
 1,100   Lindbergh School District, GO   4.00   3/1/27   1,112 
                   
     Nebraska — 3.09%             
 2,060   Nebraska Public Power District Revenue, Series A   5.00   1/1/26   2,113 
                   
     New Jersey — 6.40%             
 1,250   New Jersey Health Care Facilities Financing Authority Revenue, Series A Continuously Callable @100   5.00   7/1/30   1,288 
 3,000   State of New Jersey, GO, Series A   5.00   6/1/26   3,091 
                 4,379 
     New York — 3.51%             
 650   New York City Transitional Finance Authority Future Tax Secured Revenue   5.00   11/1/23   651 
 1,610   New York State Dormitory Authority Revenue, Series A-1   5.00   3/15/31   1,747 
                 2,398 

 

 

HC CAPITAL TRUST 

The Short-Term Municipal Bond Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     North Dakota — 2.00%             
$1,365   City of Bismarck ND, GO, Series Q   4.00   5/1/24  $1,366 
                   
     Oregon — 3.87%             
 1,320   City of Salem OR, GO   5.00   6/1/24   1,331 
 1,250   Oregon State Lottery Revenue, Series A Continuously Callable @100   5.00   4/1/30   1,313 
                 2,644 
     South Dakota — 3.04%             
 1,905   South Dakota Conservancy District Revenue, Series B   5.00   8/1/30   2,076 
                   
     Texas — 7.51%             
 1,550   City of Garland TX Electric Utility System Revenue, Series A   5.00   3/1/24   1,557 
 1,015   Conroe Independent School District, GO (PSF-GTD)   5.00   2/15/25   1,029 
 360   Dallas Area Rapid Transit Revenue, Series A   5.00   12/1/24   365 
 1,150   Round Rock Independent School District, GO (PSF-GTD)   5.00   8/1/25   1,176 
 1,000   Spring Branch Independent School District, GO (PSF-GTD)   5.00   2/1/25   1,016 
                 5,143 
     Utah — 3.50%             
 2,340   Alpine School District/UT, GO, Series A (SCH BD GTY)   4.00   3/15/29   2,391 
                   
     Virginia — 3.71%             
 900   City of Fredericksburg VA, GO, Series A (State Aid Withholding)   5.00   10/1/29   978 
 1,505   Hampton Roads Transportation Accountability Commission Revenue, Series A   5.00   7/1/26   1,556 
                 2,534 
     Washington — 4.60%             
 1,260   County of King WA, GO, Series B   5.00   7/1/25   1,287 
 1,085   King County School District No. 405 Bellevue, GO (SCH BD GTY)   5.00   12/1/24   1,100 
 750   State of Washington, GO, Series R-2022C   4.00   7/1/26   758 
                 3,145 
     West Virginia — 3.08%             
 2,130   Jefferson County Board of Education/WV, GO   2.00   6/1/24   2,104 
                   
     Wisconsin — 4.02%             
 2,700   State of Wisconsin, GO Continuously Callable @100   5.00   5/1/29   2,749 
                   
     Total Municipal Bonds           67,510 
                   
Shares                 
     Investment Company — 0.32%             
 221,682   State Street Institutional Treasury Plus Money Market Fund, Trust Class   5.23(b)      222 
     Total Investment Company           222 
                   
     Total Investments (cost $69,822) — 99.04%           67,732 
     Other assets in excess of liabilities — 0.96%           658 
     Net Assets — 100.00%          $68,390 

 

(a) Interest rate is determined by the Remarketing Agent. The rate disclosed is the rate in effect on September 30, 2023.
(b) Annualized 7-day yield as of period-end.

 

BAM—Build America Mutual
GO—General Obligation
PSF-GTD—Public School Fund Guaranteed
SCH BD GTY—School Board Guaranty

 

As of September 30, 2023, 100% of the Portfolio's net assets were managed by Breckinridge Capital Advisors, Inc.

 
 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds — 95.00%             
     Alabama — 2.03%             
$1,415   Alabama Special Care Facilities Financing Authority-Birmingham AL Revenue Continuously Callable @100   5.00   6/1/29  $1,448 
 1,675   Auburn University Revenue, Series A   5.00   6/1/26   1,729 
 2,895   Black Belt Energy Gas District Revenue, Callable 9/1/31 @ 100.53   4.00(a)  6/1/51   2,716 
 1,500   Black Belt Energy Gas District Revenue, Series B, Callable 9/1/30 @ 100.32   5.25   12/1/53   1,538 
 1,000   The Lower Alabama Gas District Revenue, Callable 9/1/25 @ 100.58   4.00(a)  12/1/50   977 
 1,000   Troy University Revenue, Series A (BAM)   5.00   11/1/26   1,028 
                 9,436 
     Alaska — 0.33%             
 1,495   State of Alaska, GO, Series A Continuously Callable @100   5.00   8/1/29   1,533 
                   
     Arizona — 2.54%             
 1,685   City of Phoenix Civic Improvement Corp. Revenue, Series A Continuously Callable @100   5.00   7/1/32   1,835 
 1,555   City of Phoenix Civic Improvement Corp. Revenue, Series B Continuously Callable @100 (AMT)   5.00   7/1/30   1,603 
 1,000   Maricopa County Union High School District No. 210-Phoenix, GO   5.00   7/1/25   1,022 
 1,215   Northern Arizona University Revenue, Series B (BAM)   5.00   6/1/26   1,252 
 4,000   Salt River Project Agricultural Improvement & Power District Revenue, Series A Continuously Callable @100   5.00   12/1/36   4,052 
 1,000   Salt Verde Financial Corp. Revenue   5.25   12/1/24   1,004 
 1,015   State of Arizona Certificates of Participation, Series A   5.00   10/1/25   1,039 
                 11,807 
     California — 1.53%             
 2,460   Golden State Tobacco Securitization Corp. Revenue, Series A-1   5.00   6/1/26   2,550 
 1,250   State of California, GO   5.00   8/1/24   1,265 
 1,000   State of California, GO Continuously Callable @100   5.00   4/1/35   1,064 
 2,000   State of California, GO Continuously Callable @100   5.00   9/1/33   2,227 
                 7,106 
     Colorado — 3.71%             
 1,225   Board of Governors of Colorado State University System Revenue, Series E-2 (State Intercept)   5.00   3/1/25   1,244 
 1,750   City & County of Denver CO Airport System Revenue, Series A   5.00   11/15/23   1,753 
 3,600   City & County of Denver CO Airport System Revenue, Series A (AMT)   5.00   12/1/25   3,648 
 3,550   Colorado Health Facilities Authority Revenue, Series A   5.00   1/1/25   3,588 
 2,970   Denver City & County School District No. 1, GO, Series A (State Aid Withholding)   5.50   12/1/25   3,081 
 3,740   State of Colorado Certificates of Participation, Series M Continuously Callable @100   5.00   3/15/29   3,934 
                 17,248 
     Connecticut — 0.92%             
 1,085   Connecticut State Health & Educational Facilities Authority Revenue, Series B   5.00   12/1/26   1,117 
 1,500   State of Connecticut Special Tax Revenue, Series D Continuously Callable @100   5.00   11/1/34   1,625 
 465   State of Connecticut, GO, Series E Continuously Callable @100   5.00   9/15/32   496 
 1,000   State of Connecticut, GO, Series A   4.00   1/15/29   1,023 
                 4,261 
     Delaware — 0.15%             
 620   Delaware Transportation Authority Revenue Continuously Callable @100   5.00   7/1/32   675 
                   
     District of Columbia — 2.08%             
 1,500   District of Columbia Revenue   5.00   4/1/25   1,522 
 1,000   District of Columbia, GO, Series D Continuously Callable @100   5.00   6/1/33   1,034 
 2,075   Metropolitan Washington Airports Authority Aviation Revenue, Series A Continuously Callable @100 (AMT)   4.00   10/1/36   1,942 
 2,000   Metropolitan Washington Airports Authority Aviation Revenue, Series A (AMT)   5.00   10/1/29   2,083 
 2,815   Washington Metropolitan Area Transit Authority Dedicated Revenue, Series A   5.00   7/15/31   3,066 
                 9,647 
     Florida — 3.75%             
 2,000   Alachua County Health Facilities Authority Revenue, Callable 6/1/26 @ 100.00   5.00(a)  12/1/37   2,027 
 1,500   Central Florida Expressway Authority Revenue (AGM)   5.00   7/1/30   1,628 
 1,500   County of Lee FL Solid Waste System Revenue (AMT)   5.00   10/1/25   1,521 
 955   County of Polk FL Utility System Revenue   5.00   10/1/27   1,004 
 1,000   Florida Municipal Power Agency Revenue, Series A   5.00   10/1/25   1,023 
 2,030   JEA Electric System Revenue, Series 3A Continuously Callable @100   5.00   10/1/34   2,155 

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     Florida (continued)             
$3,250   Orange County Convention Center/Orlando Revenue, Series B   5.00   10/1/25  $3,307 
 3,295   Orlando Utilities Commission Revenue, Series 2018-A Continuously Callable @100   5.00   10/1/32   3,451 
 1,200   State of Florida, GO, Series A   5.00   7/1/30   1,315 
                 17,431 
     Georgia — 2.38%             
 1,600   Development Authority for Fulton County Revenue, Series A   5.00   7/1/24   1,603 
 5,000   Main Street Natural Gas, Inc. Revenue, Series C, Callable 6/1/26 @ 100.50   4.00(a)  3/1/50   4,864 
 1,000   Savannah Economic Development Authority Revenue   1.90   8/1/24   978 
 1,000   State of Georgia, GO, Series A Continuously Callable @100   3.00   8/1/36   852 
 1,225   State of Georgia, GO, Series C   4.00   1/1/28   1,251 
 1,415   State of Georgia, GO, Series A   5.00   7/1/28   1,511 
                 11,059 
     Illinois — 7.02%             
 455   Chicago O'Hare International Airport Revenue, Series C (AMT)   5.00   1/1/32   470 
 400   Chicago O'Hare International Airport Revenue, Series C Continuously Callable @100 (AMT)   5.00   1/1/33   411 
 730   Chicago O'Hare International Airport Revenue, Series B Continuously Callable @100   5.00   1/1/28   737 
 1,000   Chicago Park District, GO, Series B Continuously Callable @100   5.00   1/1/26   1,003 
 66   City of Chicago IL Certificates of Participation, Series NT Continuously Callable @100   7.46   2/15/26   45 
 1,000   City of Chicago IL Waterworks Revenue, Series 2017-2   5.00   11/1/24   1,007 
 1,000   City of Chicago IL Waterworks Revenue Continuously Callable @100   5.00   11/1/25   1,004 
 2,335   City of Chicago Il, GO, Series A Continuously Callable @100   4.00   1/1/36   2,171 
 1,375   Illinois Finance Authority Revenue, Series B-2, Callable 5/15/26 @ 100.00   5.00(a)  5/15/50   1,390 
 1,635   Illinois State Toll Highway Authority Revenue, Series B   5.00   1/1/25   1,658 
 3,035   Metropolitan Water Reclamation District of Greater Chicago, GO, Series A Continuously Callable @100   5.00   12/1/27   3,136 
 1,725   Metropolitan Water Reclamation District of Greater Chicago, GO, Series B   5.00   12/1/24   1,747 
 1,420   Metropolitan Water Reclamation District of Greater Chicago, GO, Series D   5.00   12/1/30   1,544 
 2,000   Regional Transportation Authority Revenue (AGM)   6.00   6/1/25   2,026 
 3,000   Sales Tax Securitization Corp. Revenue, Series A   5.00   1/1/29   3,126 
 4,600   State of Illinois Sales Tax Revenue, Series A (BAM)   5.00   6/15/25   4,632 
 1,000   State of Illinois, GO, Series D   5.00   7/1/27   1,031 
 2,995   University of Illinois Certificates of Participation, Series B Continuously Callable @100   5.00   10/1/27   3,064 
 2,400   University of Illinois Revenue, Series A   5.00   4/1/25   2,445 
                 32,647 
     Indiana — 1.82%             
 2,500   City of Whiting IN Revenue (AMT)   5.00(a)  12/1/44   2,526 
 2,250   Indiana Finance Authority Revenue, Series B, Callable 1/1/25 @ 100.00   2.25(a)  12/1/58   1,965 
 1,500   Indiana Finance Authority Revenue, Series A   3.13   12/1/24   1,475 
 1,000   Indiana Finance Authority Revenue, Series A   5.00   11/1/24   1,006 
 1,350   Indiana Finance Authority Revenue, Series A Continuously Callable @100   5.00   10/1/34   1,471 
                 8,443 
     Iowa — 0.40%             
 450   Iowa Tobacco Settlement Authority Revenue, Series A-2, Class - 1 Continuously Callable @100   5.00   6/1/32   482 
 1,280   Waukee Community School District, GO, Series A Continuously Callable @100   5.00   6/1/32   1,399 
                 1,881 
     Kentucky — 1.67%             
 1,000   Kentucky Public Energy Authority Revenue, Series A, Callable 1/2/24 @ 100.40   4.00   4/1/24   1,001 
 3,500   Kentucky Public Energy Authority Revenue, Series B, Callable 10/1/24 @ 100.24   4.00(a)  1/1/49   3,455 
 3,560   Kentucky Public Energy Authority Revenue, Series A-1, Callable 5/1/30 @ 100.38   4.00(a)  8/1/52   3,320 
                 7,776 
     Louisiana — 1.06%             
 1,415   Jefferson Sales Tax District Revenue, Series A (AGM)   5.00   12/1/25   1,444 
 2,500   Louisiana Offshore Terminal Authority Revenue   1.65(a)  9/1/33   2,485 
 1,000   Parish of St. John the Baptist LA Revenue   2.10(a)  6/1/37   979 
                 4,908 

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     Maine— 0.22%             
$1,025   Finance Authority of Maine Revenue, Series A-1 (AGM)   5.00   12/1/26  $1,041 
                   
     Maryland — 3.12%             
 2,000   County of Baltimore MD, GO Continuously Callable @100   4.00   3/1/33   2,032 
 860   County of Frederick MD, GO Continuously Callable @100   5.00   4/1/37   942 
 1,190   County of Howard MD, GO, Series A Continuously Callable @100   5.00   8/15/34   1,322 
 2,905   County of Montgomery MD, GO, Series A Continuously Callable @100   4.00   8/1/31   2,977 
 2,090   Maryland State Transportation Authority Passenger Facility Charge Revenue (AMT)   5.00   6/1/28   2,182 
 1,000   State of Maryland Department of Transportation Revenue Continuously Callable @100   4.00   10/1/32   999 
 2,500   State of Maryland Department of Transportation Revenue Continuously Callable @100   5.00   10/1/32   2,723 
 1,240   State of Maryland, GO, Series A Continuously Callable @100   5.00   3/15/31   1,344 
                 14,521 
     Massachusetts — 1.77%             
 780   Commonwealth of Massachusetts, GO, Series A Continuously Callable @100   5.00   5/1/35   863 
 3,000   Commonwealth of Massachusetts, GO, Series A (AMBAC)   5.50   8/1/30   3,321 
 1,000   Massachusetts Educational Financing Authority Revenue (AMT)   5.00   1/1/25   1,006 
 1,400   Massachusetts Educational Financing Authority Revenue, Series B (AMT)   5.00   7/1/29   1,423 
 1,500   Massachusetts Port Authority Revenue, Series A (AMT)   5.00   7/1/32   1,601 
                 8,214 
     Michigan — 3.80%             
 1,810   Great Lakes Water Authority Sewage Disposal System Revenue, Series B   5.00   7/1/24   1,824 
 1,000   Michigan Finance Authority Revenue Continuously Callable @100   5.50   12/1/29   1,023 
 1,100   Michigan Finance Authority Revenue   5.00   10/1/29   1,185 
 1,280   Michigan Finance Authority Revenue, Series B   5.00   10/1/30   1,394 
 6,000   Michigan Finance Authority Revenue, Callable 5/16/26 @ 100.00   5.00(a)  11/15/44   6,090 
 1,450   Michigan State Building Authority Revenue   5.00   4/15/25   1,475 
 1,605   Michigan Strategic Fund Revenue (AMT)   5.00   6/30/25   1,606 
 2,960   Utica Community Schools/MI, GO (Q-SBLF)   5.00   5/1/26   3,051 
                 17,648 
     Minnesota — 2.47%             
 1,000   Minneapolis-St Paul Metropolitan Airports Commission Revenue, Series C   5.00   1/1/26   1,025 
 1,985   Minnesota Housing Finance Agency Revenue, Series B   5.00   8/1/28   2,099 
 1,240   Minnesota Housing Finance Agency Revenue, Series B   5.00   8/1/29   1,322 
 2,195   Minnesota Housing Finance Agency Revenue, Series B   5.00   8/1/30   2,363 
 3,000   State of Minnesota, GO, Series B Continuously Callable @100   5.00   8/1/35   3,316 
 1,260   State of Minnesota, GO, Series E   5.00   8/1/30   1,379 
                 11,504 
     Missouri — 1.11%             
 2,400   Health & Educational Facilities Authority of the State of Missouri Revenue, Series A   5.00   6/1/25   2,435 
 2,505   The Curators of the University of Missouri Revenue, Series B   5.00   11/1/30   2,733 
                 5,168 
     Nebraska — 0.76%             
 1,000   City of Omaha NE Sewer Revenue, Series A Continuously Callable @100   4.00   4/1/31   1,017 
 1,000   City of Omaha NE Sewer Revenue, Series A Continuously Callable @100   4.00   4/1/32   1,013 
 1,350   Omaha Public Power District Revenue, Series B Continuously Callable @100   5.00   2/1/34   1,490 
                 3,520 
     Nevada — 2.46%             
 1,000   Clark County School District, GO, Series A   5.00   6/15/26   1,028 
 2,915   Clark County School District, GO, Series A Continuously Callable @100 (AGM)   5.00   6/15/32   3,129 
 5,435   Las Vegas Valley Water District, GO, Series C Continuously Callable @100   4.00   6/1/34   5,477 
 800   Nevada System of Higher Education Certificates of Participation, Series A Continuously Callable @100   5.00   7/1/26   808 
 1,000   State of Nevada Highway Improvement Revenue   5.00   12/1/24   1,016 
                 11,458 
     New Jersey — 3.03%             
 1,210   New Jersey Economic Development Authority Revenue   5.00   6/15/28   1,268 
 430   New Jersey Economic Development Authority Revenue Continuously Callable @100   5.00   11/1/30   454 
 1,000   New Jersey Economic Development Authority Revenue, Series RRR   5.00   3/1/28   1,041 
 1,000   New Jersey Educational Facilities Authority Revenue, Series C   5.00   3/1/31   1,112 
 1,725   New Jersey Higher Education Student Assistance Authority Revenue, Series B (AMT)   5.00   12/1/29   1,790 

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     New Jersey (continued)             
$1,000   New Jersey Transportation Trust Fund Authority Revenue, Series AA   5.00   6/15/30  $1,067 
 750   New Jersey Transportation Trust Fund Authority Revenue, Series AA Continuously Callable @100   5.00   6/15/36   790 
 4,295   New Jersey Turnpike Authority Revenue, Series A Continuously Callable @100   5.00   1/1/31   4,389 
 1,100   State of New Jersey, GO, Series A   4.00   6/1/31   1,106 
 1,035   Tobacco Settlement Financing Corp. Revenue, Series A Continuously Callable @100   5.00   6/1/33   1,061 
                 14,078 
     New Mexico — 0.80%             
 1,025   Albuquerque Municipal School District No. 12, GO Continuously Callable @100 (State Aid Withholding)   5.00   8/1/29   1,085 
 2,590   New Mexico Educational Assistance Foundation Revenue, Series 1-A (AMT)   5.00   9/1/25   2,627 
                 3,712 
     New York — 7.14%             
 5,000   City of New York NY, GO, Series C   5.00   8/1/28   5,302 
 2,890   City of New York NY, GO, Series 1-A Continuously Callable @100   5.00   4/1/32   3,111 
 1,700   Metropolitan Transportation Authority Revenue, Series B Continuously Callable @100   5.00   11/15/29   1,743 
 3,000   New York City Municipal Water Finance Authority Revenue, Series DD Continuously Callable @100   5.00   6/15/34   3,307 
 900   New York City Municipal Water Finance Authority Revenue, Series EE   5.00   6/15/29   967 
 2,410   New York City Municipal Water Finance Authority Revenue, Series BB-2 Continuously Callable @100   5.00   6/15/27   2,459 
 1,000   New York City Transitional Finance Authority Future Tax Secured Revenue, Series B-1 Continuously Callable @100   5.00   8/1/29   1,004 
 855   New York City Transitional Finance Authority Future Tax Secured Revenue, Series E-1   5.00   11/1/28   912 
 1,500   New York State Dormitory Authority Revenue, Series D   5.00   2/15/25   1,526 
 1,000   New York State Dormitory Authority Revenue, Series A Continuously Callable @100   5.00   2/15/31   1,032 
 4,710   New York State Thruway Authority Revenue, Series A Continuously Callable @100   5.00   3/15/35   5,118 
 1,795   New York Transportation Development Corp. Revenue (AMT)   5.00   12/1/27   1,837 
 4,970   Port Authority of New York & New Jersey Revenue, Series 207 Continuously Callable @100 (AMT)   4.00   3/15/30   4,880 
                 33,198 
     North Carolina — 0.93%             
 1,000   County of Wake NC Revenue   5.00   9/1/28   1,073 
 1,100   County of Wake NC, GO, Series A   5.00   2/1/30   1,197 
 1,000   North Carolina Turnpike Authority Revenue (AGM)   5.00   1/1/24   1,003 
 1,000   The Charlotte-Mecklenburg Hospital Authority Revenue   5.00(a)  1/15/50   1,054 
                 4,327 
     Ohio — 3.71%             
 2,200   American Municipal Power, Inc. Revenue, Series A Continuously Callable @100   5.00   2/15/27   2,204 
 3,000   Buckeye Tobacco Settlement Financing Authority Revenue, Series A-2, Class - 1 Continuously Callable @100   5.00   6/1/32   3,175 
 1,450   City of Columbus OH Sewerage Revenue Continuously Callable @100   5.00   6/1/29   1,501 
 820   City of Columbus OH, GO, Series A Continuously Callable @100   5.00   8/15/34   913 
 1,000   County of Butler OH Revenue, Series X   5.00   5/15/29   1,077 
 360   County of Mahoning OH Revenue Continuously Callable @100 (NATL)   5.50   10/15/25   361 
 800   County of Montgomery OH Revenue Continuously Callable @100   5.00   8/1/33   848 
 500   State of Ohio Revenue, Series A Continuously Callable @100   5.00   1/1/30   524 
 2,000   State of Ohio Revenue   2.75(a)  1/1/52   1,894 
 1,200   State of Ohio, GO, Series V   5.00   5/1/28   1,281 
 700   University of Cincinnati Revenue, Series A   5.00   6/1/25   713 
 1,850   University of Cincinnati Revenue, Series A   5.00   6/1/27   1,935 
 775   University of Cincinnati Revenue, Series A   5.00   6/1/26   800 
                 17,226 
     Oklahoma — 0.90%             
 530   Oklahoma Municipal Power Authority Revenue, Series A Continuously Callable @100 (AGM)   4.00   1/1/32   539 
 2,000   Oklahoma Turnpike Authority Revenue, Series A   5.00   1/1/30   2,165 
 1,345   Oklahoma Water Resources Board Revenue   5.00   4/1/32   1,496 
                 4,200 

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     Oregon — 1.89%             
$1,305   Benton & Linn Counties Consolidated School District No. 509J & 509A Corvallis, GO, Series A (SCH BD GTY)   5.00(a)  6/15/25  $1,332 
 2,500   Multnomah County School District No. 1 Portland/OR, GO (SCH BD GTY)   5.00   6/15/29   2,693 
 2,500   Port of Portland OR Airport Revenue, Series 29 Continuously Callable @100 (AMT)   5.00   7/1/35   2,584 
 2,000   Portland Community College District, GO Continuously Callable @100   5.00   6/15/35   2,199 
                 8,808 
     Pennsylvania — 5.52%             
 1,000   City of Philadelphia PA Water & Wastewater Revenue, Series B (AGM)   5.00   9/1/29   1,071 
 1,000   City of Philadelphia PA Water & Wastewater Revenue, Series B   5.00   11/1/27   1,051 
 2,600   City of Philadelphia PA, GO, Series B Continuously Callable @100   5.00   2/1/30   2,766 
 1,735   City of Philadelphia PA, GO, Series B Continuously Callable @100   5.00   2/1/31   1,842 
 1,000   Commonwealth Financing Authority Revenue Continuously Callable @100   5.00   6/1/32   1,034 
 850   Easton Area School District, GO, Series A (State Aid Withholding)   4.00   4/1/25   853 
 1,860   Luzerne County Industrial Development Authority Revenue, Callable 12/3/29 @ 100.00 (AMT)   2.45(a)  12/1/39   1,626 
 2,500   Pennsylvania Economic Development Financing Authority Revenue (AMT)   0.00(a)(b)  7/1/41   2,455 
 3,625   Pennsylvania Economic Development Financing Authority Revenue Continuously Callable @100 (AMT)   5.00   12/31/33   3,770 
 1,000   Pennsylvania Higher Education Assistance Agency Revenue, Series A (AMT)   5.00   6/1/29   1,036 
 4,075   Pennsylvania Higher Education Assistance Agency Revenue, Series A (AMT)   5.00   6/1/30   4,155 
 625   Pennsylvania Turnpike Commission Revenue, Series B   5.00   12/1/28   664 
 3,225   The School District of Philadelphia, GO, Series A (State Aid Withholding)   5.00   9/1/28   3,354 
                 25,677 
     Rhode Island — 0.56%             
 625   Rhode Island Student Loan Authority Revenue, Series A (AMT)   5.00   12/1/29   660 
 1,875   Rhode Island Student Loan Authority Revenue, Series A (AMT)   5.00   12/1/29   1,956 
                 2,616 
     South Carolina — 1.43%             
 3,680   County of Charleston SC, GO, Series A (State Aid Withholding)   5.00   11/1/26   3,828 
 1,000   Piedmont Municipal Power Agency Revenue, Series B   5.00   1/1/29   1,029 
 1,000   South Carolina Public Service Authority Revenue, Series A   5.00   12/1/31   1,090 
 680   South Carolina Public Service Authority Revenue, Series A   5.00   12/1/27   717 
                 6,664 
     South Dakota — 0.38%             
 1,675   South Dakota Board of Regents Housing & Auxiliary Facilities System Revenue Continuously Callable @100   5.00   4/1/29   1,751 
                   
     Tennessee — 1.40%             
 1,215   County of Hamblen TN, GO   5.00   5/1/29   1,307 
 1,235   Metropolitan Government Nashville & Davidson County Health & Educational Facs Bd Revenue   5.00   5/1/31   1,313 
 1,000   Metropolitan Government Nashville & Davidson County Health & Educational Facs Bd Revenue Continuously Callable @100   5.00   5/1/35   1,053 
 1,350   Metropolitan Government of Nashville & Davidson County TN, GO Continuously Callable @100   4.00   7/1/33   1,365 
 1,500   Tennessee Energy Acquisition Corp. Revenue, Callable 8/1/25 @ 100.22   4.00(a)  11/1/49   1,467 
                 6,505 
     Texas — 12.86%             
 2,000   Aldine Independent School District, GO (PSF-GTD)   5.00   2/15/25   2,031 
 1,230   Arlington Higher Education Finance Corp. Revenue (PSF-GTD)   5.00   8/15/28   1,297 
 1,025   Arlington Higher Education Finance Corp. Revenue (PSF-GTD)   5.00   8/15/27   1,071 
 2,450   City of Dallas TX, GO Continuously Callable @100   5.00   2/15/27   2,479 
 2,500   City of Houston TX Airport System Revenue, Series C (AMT)   5.00   7/1/25   2,508 
 1,550   City of Missouri City TX, GO Continuously Callable @100   5.00   6/15/30   1,609 
 300   City of Pearland TX, GO Continuously Callable @100   5.00   3/1/29   315 
 1,000   City of San Antonio TX Airport System Revenue, Series A (AMT)   5.00   7/1/26   1,024 
 1,750   City of San Antonio TX Airport System Revenue, Series A (AMT)   5.00   7/1/25   1,775 
 1,300   City of San Antonio TX Electric & Gas Systems Revenue, Series B   4.00   2/1/33   1,307 
 950   Clifton Higher Education Finance Corp. Revenue, Series T Continuously Callable @100 (PSF-GTD)   4.00   8/15/34   924 
 2,200   Clifton Higher Education Finance Corp. Revenue (PSF-GTD)   5.00   8/15/25   2,241 
 1,205   Clifton Higher Education Finance Corp. Revenue (PSF-GTD)   5.00   8/15/24   1,215 
 1,250   Conroe Independent School District, GO Continuously Callable @100 (PSF-GTD)   5.00   2/15/30   1,273 
 1,750   County of Harris TX Revenue Continuously Callable @100   5.00   8/15/34   1,769 
 1,545   County of Harris TX Revenue, Series A Continuously Callable @100   5.00   8/15/30   1,585 

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (continued) — September 30, 2023 (Unaudited)

 

Principal Amount (000)   Security Description  Rate %   Maturity Date  Value
(000)
 
     Municipal Bonds (continued)             
     Texas (continued)             
$4,730   Dallas Area Rapid Transit Revenue Continuously Callable @100   5.00   12/1/33  $5,041 
 2,500   Dallas Independent School District, GO, Series A Continuously Callable @100 (PSF-GTD)   5.00   2/15/27   2,535 
 1,650   Harris County Cultural Education Facilities Finance Corp. Revenue   5.00   11/15/25   1,684 
 2,100   Harris County Cultural Education Facilities Finance Corp. Revenue   5.00   11/15/27   2,209 
 1,500   Harris County Cultural Education Facilities Finance Corp. Revenue Continuously Callable @100   5.00   10/1/27   1,535 
 1,220   Love Field Airport Modernization Corp. Revenue Continuously Callable @100   5.00   11/1/28   1,198 
 2,300   Love Field Airport Modernization Corp. Revenue (AMT)   5.00   11/1/25   2,307 
 1,000   Lower Colorado River Authority Revenue   5.00   5/15/26   1,028 
 1,090   Lower Colorado River Authority Revenue (AGM)   5.00   5/15/29   1,157 
 2,180   Lower Colorado River Authority Revenue Continuously Callable @100   5.00   5/15/32   2,322 
 1,000   Lower Colorado River Authority Revenue Continuously Callable @100 (AGM)   5.00   5/15/34   1,089 
 3,475   McKinney Independent School District, GO, Series A Continuously Callable @100 (PSF-GTD)   5.00   2/15/31   3,522 
 250   North Texas Tollway Authority Revenue, Series A Continuously Callable @100   5.00   1/1/25   251 
 1,335   Spring Independent School District, GO   5.00   8/15/30   1,453 
 2,000   Tarrant County Cultural Education Facilities Finance Corp. Revenue, Series A, Callable 1/1/32 @ 100.00   5.00(a)  7/1/53   2,089 
 2,230   University of Houston Revenue, Series C Continuously Callable @100   5.00   2/15/28   2,276 
 1,200   Waller Consolidated Independent School District, GO (BAM)   5.00   2/15/33   1,312 
 1,300   West Harris County Regional Water Authority Revenue   5.00   12/15/27   1,360 
 1,000   West Travis County Public Utility Agency Revenue (BAM)   5.00   8/15/26   1,031 
                 59,822 
     Utah — 0.24%             
 1,090   Utah Transit Authority Revenue   5.00   12/15/26   1,135 
                   
     Virginia — 1.71%             
 1,215   City of Chesapeake VA, GO, Series A Continuously Callable @100   5.00   8/1/31   1,281 
 1,500   City of Richmond VA Public Utility Revenue Continuously Callable @100   5.00   1/15/29   1,558 
 1,000   Fairfax County Industrial Development Authority Revenue, Series A   5.00   5/15/24   1,007 
 850   Hampton Roads Transportation Accountability Commission Revenue, Series A Continuously Callable @100   5.00   7/1/31   929 
 1,065   Loudoun County Economic Development Authority Revenue, Series A   5.00   12/1/27   1,127 
 1,000   Roanoke Economic Development Authority Revenue   5.00   7/1/25   1,024 
 1,000   Virginia Public Building Authority Revenue, Series B (AMT)   5.00   8/1/24   1,007 
                 7,933 
     Washington — 4.18%             
 1,370   King County School District No. 401 Highline, GO Continuously Callable @100 (SCH BD GTY)   5.00   12/1/31   1,414 
 1,050   King County School District No. 405 Bellevue, GO Continuously Callable @100 (SCH BD GTY)   5.00   12/1/29   1,115 
 1,250   King County School District No. 410 Snoqualmie Valley, GO Continuously Callable @100 (SCH BD GTY)   5.00   12/1/27   1,312 
 1,500   Port of Seattle WA Revenue (AMT)   5.00   4/1/26   1,525 
 1,555   Port of Seattle WA Revenue Continuously Callable @100 (AMT)   5.00   8/1/33   1,632 
 7,065   State of Washington, GO, Series R-2017A Continuously Callable @100   5.00   8/1/32   7,276 
 790   State of Washington, GO, Series C   5.00   2/1/32   872 
 1,300   State of Washington, GO, Series C Continuously Callable @100   5.00   2/1/33   1,422 
 1,250   Washington Health Care Facilities Authority Revenue, Series B   5.00   10/1/25   1,259 
 1,600   Washington Health Care Facilities Authority Revenue, Series B1, Callable 2/1/24 @ 100.00   5.00(a)  8/1/49   1,598 
                 19,425 
     Wisconsin — 1.22%             
 3,455   Public Finance Authority Revenue, Series A-2   3.70(a)  10/1/46   3,314 
 1,225   University of Wisconsin Hospitals & Clinics Revenue, Series A   5.00   4/1/26   1,261 
 1,100   Wisconsin Health & Educational Facilities Authority Revenue   4.00   11/15/26   1,102 
                 5,677 
     Total Municipal Bonds           441,686 
                   

 

 

HC CAPITAL TRUST 

The Intermediate Municipal Bond Portfolio 

Portfolio of Investments (concluded) — September 30, 2023 (Unaudited)

 

Shares   Security Description   Rate %    Value
(000)
 
     Investment Companies — 3.80%            
 140,938   BlackRock California Municipal Income Trust       $1,451   
 2,975,513   BlackRock Liquidity Funds MuniCash        2,976 
 103,574   BlackRock Municipal Income Fund, Inc.         1,051 
 70,474   BlackRock MuniYield Fund, Inc.         647 
 112,779   BlackRock MuniYield Quality Fund III, Inc.         1,077 
 71,012   DTF Tax-Free Income 2028 Term Fund, Inc.         758 
 129,929   DWS Municipal Income Trust         1,000 
 149,822   Eaton Vance California Municipal Bond Fund         1,217 
 97,484   Eaton Vance Municipal Bond Fund         873 
 101,260   Federated Hermes Premier Municipal Income Fund         970 
 60,560   Invesco Quality Municipal Income Trust         508 
 181,653   MFS High Income Municipal Trust         567 
 266,347   MFS High Yield Municipal Trust         834 
 99,497   Nuveen AMT-Free Quality Municipal Income Fund         963 
 63,013   Nuveen Municipal Credit Income Fund         657 
 88,986   Nuveen Quality Municipal Income Fund         902 
 39,879   Pioneer Municipal High Income Advantage Fund, Inc.         268 
 64,655   Pioneer Municipal High Income Opportunities Fund, Inc.         617 
 36,627   Western Asset Managed Municipals Fund, Inc.         327 
     Total Investment Companies         17,663 
                 
     Total Investments (cost $488,970) — 98.80%         459,349 
     Other assets in excess of liabilities — 1.20%         5,569 
     Net Assets — 100.00%        $464,918 

 

(a) Interest rate is determined by the Remarketing Agent. The rate disclosed is the rate in effect on September 30, 2023.
(b) Zero Coupon Security. Effective rate shown is as of September 30, 2023.

 

AGM—Assured Guaranty Municipal Corporation
AMBAC—American Municipal Bond Assurance Corporation
AMT—Alternative Minimum Tax
BAM—Build America Mutual
GO—General Obligation
PSF-GTD—Public School Fund Guaranteed
Q-SBLF—Qualified School Bond Loan Fund
SCH BD GTY—School Board Guaranty

 

The following table reflects the percentage of total net assets of the Portfolio attributable to each Specialist Manager as of September 30, 2023.

 

The Intermediate Term Municipal Bond Portfolio  Insight North America LLC   Breckinridge Capital Advisors, Inc   City of London Investment Management, Limited   HC Capital Solutions   Total 
Municipal Bonds   84.24%   10.76%   -    -    95.00%
Investment Company   0.07%   -    3.16%   0.57%   3.80%
Other Assets (Liabilities)   1.06%   0.13%   0.09%   -0.08%   1.20%
     Total Net Assets   85.37%   10.89%   3.25%   0.49%   100.00%

 

Amounts designated as "—" indicate the Specialist Manager did not manage any holdings in that category.